Certified Semi-annual Shareholder Report for Management Investment Companies (n-csrs)

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

 

FORM N-CSR

 

CERTIFIED SHAREHOLDER REPORT OF REGISTERED MANAGEMENT
INVESTMENT COMPANIES

 

Investment Company Act file number 811-07912

 

Old Westbury Funds, Inc.

 

(Exact name of registrant as specified in charter)

 

760 Moore Rd.

King of Prussia, PA 19406

 

(Address of principal executive offices) (Zip code)

 

Andrew J. McNally

BNY Mellon Investment Servicing (US) Inc.

760 Moore Rd.

King of Prussia, PA 19406

 

(Name and address of agent for service)

 

Registrant’s telephone number, including area code: 800-607-2200

 

Date of fiscal year end: October 31

 

Date of reporting period: April 30, 2013

 

Form N-CSR is to be used by management investment companies to file reports with the Commission not later than 10 days after the transmission to stockholders of any report that is required to be transmitted to stockholders under Rule 30e-1 under the Investment Company Act of 1940 (17 CFR 270.30e-1). The Commission may use the information provided on Form N-CSR in its regulatory, disclosure review, inspection, and policymaking roles.

 

A registrant is required to disclose the information specified by Form N-CSR, and the Commission will make this information public. A registrant is not required to respond to the collection of information contained in Form N-CSR unless the Form displays a currently valid Office of Management and Budget (“OMB”) control number. Please direct comments concerning the accuracy of the information collection burden estimate and any suggestions for reducing the burden to Secretary, Securities and Exchange Commission, 100 F Street, NE, Washington, DC 20549 . The OMB has reviewed this collection of information under the clearance requirements of 44 U.S.C. § 3507.

 

Item 1. Reports to Stockholders.

 

The Report to Shareholders is attached herewith.








Old Westbury Funds, Inc.
Semi-Annual Report




April 30, 2013











(FSC LOGO)

Investment Adviser

 

 

Old Westbury Funds, Inc.

 

Disclosure of Fund Expenses   3
Portfolios of Investments:    
Large Cap Core Fund   5
Large Cap Strategies Fund   7
Global Small & Mid Cap Fund   10
Global Opportunities Fund   14
Real Return Fund   58
Fixed Income Fund   65
Municipal Bond Fund   71
Statements of Assets and Liabilities   90
Statements of Operations   93
Statements of Changes in Net Assets   96
Financial Highlights:    
Large Cap Core Fund   100
Large Cap Strategies Fund   101
Global Small & Mid Cap Fund   102
Global Opportunities Fund   103
Real Return Fund   104
Fixed Income Fund   105
Municipal Bond Fund   106
Notes To Financial Statements   107
Additional Information (Unaudited)   138

 

 

 

This report and the financial statements contained herein are submitted for the general information of the shareholders of the Funds. This report is not authorized for distribution to prospective investors in the Funds unless preceded or accompanied by an effective prospectus.

 

This Page Intentionally Left Blank

 
Old Westbury Funds, Inc.  
Disclosure of Fund Expenses  
  For the Period Ended April 30, 2013 (Unaudited)
   

 

As a shareholder of Old Westbury Funds, Inc., you incur ongoing costs, including management fees and other Fund expenses. This example is intended to help you understand your ongoing costs (in dollars) of investing in the Funds and to compare these costs with the ongoing costs of investing in other mutual funds.

 

The example is based on an investment of $1,000 invested at the beginning of the period and held for the entire period from November 1, 2012 through April 30, 2013.

 

Actual Expenses

 

The table below provides information about actual account values and actual expenses. You may use the information below, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the table under the heading entitled “Actual Expenses Paid During Period” to estimate the expenses you paid on your account during this period.

 

    Actual   Actual   Actual   Actual
    Beginning   Ending   Expenses Paid   Expense Ratio
    Account Value   Account Value   During Period*   During Period
    11/1/12   4/30/13   11/1/12-4/30/13   11/1/12-4/30/13**
Large Cap Core Fund   $ 1,000.00     $ 1,133.90     $ 5.29       1.00 %
Large Cap Strategies Fund     1,000.00       1,132.10       6.08       1.15 %
Global Small & Mid Cap Fund     1,000.00       1,155.70       5.93       1.11 %
Global Opportunities Fund     1,000.00       1,095.40       6.23       1.20 %
Real Return Fund     1,000.00       913.50       5.22       1.10 %
Fixed Income Fund     1,000.00       1,007.70       3.29       0.66 %
Municipal Bond Fund     1,000.00       1,007.80       3.04       0.61 %

 

 
* Expenses are equal to the average account value times the Fund’s annualized expense ratio multiplied by 181/365 to reflect the one-half year period.
** Expense ratios are annualized and reflect existing expense waivers/reimbursements.

3
Old Westbury Funds, Inc.  
Disclosure of Fund Expenses - (Continued)  
  For the Period Ended April 30, 2013 (Unaudited)
   

 

Hypothetical Example for Comparison Purposes

 

The table below provides information about hypothetical account values and hypothetical expenses based on each Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of other funds.

 

    Hypothetical   Hypothetical   Hypothetical   Hypothetical
    Beginning   Ending   Expenses Paid   Expense Ratio
    Account Value   Account Value   During Period*   During Period
    11/1/12   4/30/13   11/1/12-4/30/13   11/1/12-4/30/13**
Large Cap Core Fund   $ 1,000.00     $ 1,019.84     $ 5.01       1.00 %
Large Cap Strategies Fund     1,000.00       1,019.09       5.76       1.15 %
Global Small & Mid Cap Fund     1,000.00       1,019.29       5.56       1.11 %
Global Opportunities Fund     1,000.00       1,018.84       6.01       1.20 %
Real Return Fund     1,000.00       1,019.34       5.51       1.10 %
Fixed Income Fund     1,000.00       1,021.52       3.31       0.66 %
Municipal Bond Fund     1,000.00       1,021.77       3.06       0.61 %

 

 
* Expenses are equal to the average account value times the Fund’s annualized expense ratio multiplied by 181/365 to reflect the one-half year period.
** Expense ratios are annualized and reflect existing expense waivers/reimbursements.

 

Please note that the expenses shown in the tables are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as sales charges (loads), redemption fees, or exchange fees. Therefore, these tables are useful in comparing ongoing costs only, and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher.

4
Old Westbury Funds, Inc.  
Large Cap Core Fund  
Portfolio of Investments April 30, 2013
  (Unaudited)

 

Shares         Value  
COMMON STOCKS — 96.3%        
Banks — 6.5%        
  545,540     BNP Paribas SA - ADR   $ 15,367,862  
  911,280     China Construction Bank Corp. - ADR     15,254,827  
  219,115     Citigroup, Inc.     10,223,906  
  460,465     Nordea Bank AB - ADR     5,525,579  
              46,372,174  
Consumer Discretionary — 16.4%        
  183,990     Coach, Inc.     10,829,651  
  212,240     Daihatsu Motor Co. Ltd. - ADR     8,423,806  
  381,130     Dollar General Corp.(b)     19,853,062  
  226,885     Lowe’s Cos, Inc.     8,716,922  
  330,015     Macy’s, Inc.     14,718,669  
  254,090     Nielsen Holdings NV     8,796,596  
  240,635     Nikon Corp. Plc - ADR     5,221,780  
  208,650     Target Corp.     14,722,343  
  251,100     Viacom, Inc. - Class B     16,067,889  
  237,050     Volkswagen AG - ADR     9,598,155  
              116,948,873  
Consumer Staples — 8.2%        
  199,685     CVS Caremark Corp.     11,617,673  
  203,315     Imperial Tobacco Group Plc - ADR     14,640,713  
  1,080,920     Koninklijke Ahold NV - ADR     17,046,108  
  310,710     Walgreen Co.     15,383,252  
              58,687,746  
Energy — 9.2%    
  119,570     China Petroleum & Chemical Corp. - ADR     13,219,659  
  159,330     ConocoPhillips     9,631,499  
  358,115     ENI SpA - ADR     17,121,478  
  357,515     Marathon Oil Corp.     11,680,015  
  288,165     Total SA - ADR     14,477,410  
              66,130,061  
Health Care — 15.8%        
  291,455     Aetna, Inc.     16,741,175  
  120,695     Johnson & Johnson     10,286,835  
  331,810     Pfizer, Inc.     9,645,717  
  313,125     Sanofi - ADR     16,705,219  
  329,715     Teva Pharmaceutical Industries Ltd. - ADR     12,624,787  
  166,850     Thermo Fisher Scientific, Inc.     13,461,457  
  240,040     UnitedHealth Group, Inc.     14,385,597  
  245,120     Zimmer Holdings, Inc.     18,739,424  
              112,590,211  
Industrials — 5.0%        
  198,785     Embraer SA - ADR     6,943,560  
  112,100     Illinois Tool Works, Inc.     7,237,175  
  567,365     ITOCHU Corp. - ADR     13,974,200  
  179,355     Waste Management, Inc.     7,349,968  
              35,504,903  
Shares         Value  
Information Technology — 9.5%        
  113,590     Accenture Plc - Class A   $ 9,250,770  
  234,660     Avago Technologies Ltd.     7,499,734  
  84,280     International Business Machines Corp.     17,070,071  
  549,875     Microsoft Corp.     18,200,863  
  254,090     QUALCOMM, Inc.     15,657,026  
              67,678,464  
Insurance — 8.1%        
  168,445     ACE Ltd.     15,015,187  
  545,245     Allianz SE - ADR     8,042,364  
  212,985     American International Group, Inc.(b)     8,821,839  
  780,200     Muenchener Rueckversi- cherungs AG - ADR     15,635,207  
  1,173,290     RSA Insurance Group Plc - ADR     10,254,555  
              57,769,152  
Materials — 1.7%        
  58,290     Air Products & Chemicals, Inc.     5,068,898  
  125,850     BHP Billiton Plc -ADR     7,114,301  
              12,183,199  
Real Estate — 0.8%        
  315,220     Wharf Holdings Ltd. - ADR     5,643,068  
Telecommunication Services — 10.6%        
  208,950     CenturyLink, Inc.     7,850,252  
  317,385     China Telecom Corp. Ltd. - ADR     16,345,328  
  1,943,025     KDDI Corp. - ADR     23,607,754  
  688,550     Tele2 AB - ADR     5,818,248  
  585,600     Tim Participacoes SA - ADR     12,215,615  
  319,850     Vodafone Group Plc - ADR     9,784,212  
              75,621,409  
Utilities — 4.5%        
  89,080     DTE Energy Co.     6,492,150  
  246,765     Exelon Corp.     9,256,155  
  388,155     SSE Plc - ADR     9,447,693  
  298,555     Tokyo Gas Co. Ltd. - ADR     6,783,170  
              31,979,168  
Total Common Stocks
(Cost $609,270,321)
    687,108,428  


5
Old Westbury Funds, Inc.  
Large Cap Core Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal            
Amount         Value  
U.S. GOVERNMENT AGENCIES — 2.1%        
         
Federal Home Loan Bank — 2.1%        
$ 15,000,000     0.05%, 05/24/13(c)   $ 14,999,521  
Total U.S. Government Agencies
(Cost $14,999,521)
    14,999,521  
         
Shares              
INVESTMENT COMPANY — 2.9%        
  20,692,800     SEI Daily Income Trust Government II Fund, Class A, 0.01%(d)     20,692,800  
Total Investment Company
(Cost $20,692,800)
    20,692,800  
         
TOTAL INVESTMENTS — 101.3%
(Cost $644,962,642)(a)
    722,800,749  
LIABILITIES IN EXCESS OF OTHER ASSETS — (1.3)%     (9,175,359 )
NET ASSETS — 100.0%   $ 713,625,390  

 

 
(a) Cost for federal income tax purposes is $645,015,879 and net unrealized appreciation of investments is as follows:

 

Unrealized appreciation   $ 89,857,804  
Unrealized depreciation     (12,072,934 )
Net unrealized appreciation   $ 77,784,870  
(b) Non-income producing security.
   
(c) The rate represents the annualized yield at time of purchase.
   
(d) Rate shown represents current yield at April 30, 2013.

 

ADR-American Depositary Receipt

 

Portfolio diversification by Sector (Unaudited)
 
    Percentage
Sector   of Net Assets
Banks     6.5 %
Consumer Discretionary     16.4 %
Consumer Staples     8.2 %
Energy     9.2 %
Health Care     15.8 %
Industrials     5.0 %
Information Technology     9.5 %
Insurance     8.1 %
Materials     1.7 %
Real Estate     0.8 %
Telecommunication Services     10.6 %
Utilities     4.5 %
Other*     3.7 %
      100 %

 

 
* Includes cash and equivalents, U.S. government agencies, investment companies, pending trades and Fund share transactions, interest and dividends receivable, prepaids and accrued expenses payable.


6
Old Westbury Funds, Inc.  
Large Cap Strategies Fund  
Portfolio of Investments April 30, 2013
  (Unaudited)

 

Shares       Value  
COMMON STOCKS — 90.2%        
ARGENTINA — 0.9%        
  574,000   MercadoLibre, Inc.   $ 57,738,660  
BELGIUM — 0.4%        
  445,000   UCB SA(d)     26,301,608  
BRAZIL — 3.0%        
  9,261,000   BM&FBovespa SA     64,247,247  
  914,400   Cielo SA     24,117,400  
   4,449,684    Itau Unibanco Holding SA - ADR        74,888,182   
  648,000   Natura Cosmeticos SA     16,236,031  
  1,444,000   Raia Drogasil SA     15,524,398  
            195,013,258  
CANADA — 0.5%        
  1,732,300   Barrick Gold Corp.     34,149,067  
CHINA — 1.0%        
  546,000   Baidu, Inc. - ADR(b)     46,874,100  
  6,124,000   Tingyi Cayman Islands Holding Corp.       16,927,482  
            63,801,582  
DENMARK — 0.2%        
  488,000   Novozymes A/S - Class B     16,852,555  
FINLAND — 0.9%        
  391,000   Kone Oyj - Class B     34,525,898  
  7,672,315   Nokia Oyj     25,704,726  
            60,230,624  
FRANCE — 1.7%        
  779,023   Renault SA     53,676,904  
  2,569,368   Vivendi SA     58,200,163  
            111,877,067  
GERMANY — 5.0%        
  840,376   Adidas AG     87,763,972  
  1,006,000   Bayerische Motoren Werke AG     92,805,895  
  1,671,000   Deutsche Boerse AG(d)     104,309,589  
  382,900   Siemens AG     39,987,845  
            324,867,301  
INDIA — 1.0%        
  207,000   Asian Paints Ltd.(d)     17,985,159  
  7,504,000   ITC Ltd.(d)     46,129,926  
            64,115,085  
ITALY — 1.9%        
  1,806,900   ENI SpA     43,213,496  
  1,700,425   Fiat Industrial SpA     19,191,448  
  4,421,003   Fiat SpA(b)     26,444,623  
  3,986,000   Prada SpA     35,929,808  
            124,779,375  
JAPAN — 9.0%        
  790,600   Canon, Inc.     28,344,330  
  533,900   East Japan Railway Co.     45,018,803  

Shares       Value  
JAPAN (continued)        
  7,863,000   Hitachi Ltd.   $ 50,169,626  
  2,505,000   Japan Tobacco, Inc.     94,690,722  
  2,734,000   KDDI Corp.     131,252,193  
  270,310   Keyence Corp(d)     85,680,659  
  11,667,300   Mitsubishi UFJ Financial Group, Inc.     79,349,848  
  227,500   Nintendo Co. Ltd.     25,203,878  
  1,002,400   Nippon Telegraph & Telephone Corp.     49,613,582  
            589,323,641  
NETHERLANDS — 3.6%        
  1,040,000   ASML Holding NV     77,344,800  
  524,000   Koninklijke Vopak NV(d)     29,024,851  
  7,993,000   Reed Elsevier NV(d)     129,685,064  
            236,054,715  
PORTUGAL — 0.5%        
  1,276,000   Jeronimo Martins SGPS SA(d)     30,390,555  
RUSSIA — 0.2%        
  435,000   Mail.Ru Group Ltd. - GDR(d)     11,744,999  
SINGAPORE — 1.2%        
  762,000   Jardine Cycle & Carriage Ltd(d)     30,128,603  
  12,526,000   Sembcorp Industries Ltd.(d)     50,746,724  
            80,875,327  
SOUTH AFRICA — 1.1%        
  1,120,000   Naspers Ltd. - Class N     74,949,574  
SOUTH KOREA — 1.2%        
  25,742   Samsung Electronics Co. Ltd.(d)     35,528,775  
   53,140    Samsung Electronics Co. Ltd. Preference Shares        42,027,549   
            77,556,324  
SWITZERLAND — 5.4%        
  1,563,000   Nestle SA     111,618,843  
  529,800   Roche Holding AG     132,421,510  
  17,500   SGS SA     42,291,353  
  819,676   Swiss Re AG     65,191,482  
            351,523,188  
THAILAND — 0.2%        
  10,721,000   CP ALL Public Co. Ltd.(d)     16,072,368  
UNITED KINGDOM — 10.3%        
  6,557,000   ARM Holdings Plc     101,445,747  
  2,083,219   BG Group Plc     35,094,076  
  3,945,613   BP Plc     28,585,273  
  8,466,950   British Sky Broadcasting Group Plc(d)     111,004,034  
  3,117,000   Petrofac Ltd.(d)     65,364,191  
  1,114,132   Rio Tinto Plc     50,517,292  
  6,846,000   Rolls-Royce Holdings Plc(d)     120,166,845  
  814,674,000   Rolls-Royce Holdings Plc Preferred C Shares(d)     1,265,474  
  9,146,731   Tesco Plc     52,022,865  


7
Old Westbury Funds, Inc.  
Large Cap Strategies Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 


Shares
     
Value
 
UNITED KINGDOM (continued)      
  2,211,695   Wolseley Plc(d)   $ 109,353,125  
            674,818,922  
UNITED STATES — 41.0%      
  564,000   Allergan, Inc.     64,042,200  
  272,000   Amazon.com, Inc.(b)     69,036,318  
  201,300   Apple, Inc.     89,125,575  
  1,155,000   Becton Dickinson and Co.     108,916,500  
  192,000   Biogen Idec, Inc.(b)     42,034,560  
  945,000   BioMarin Pharmaceutical, Inc.(b)     61,992,000  
  423,000   Cerner Corp.(b)     40,933,710  
  2,246,200   Chesapeake Energy Corp.     43,890,748  
  1,418,500   Citigroup, Inc.     66,187,210  
  3,145,200   Coca-Cola Co. (The)     133,136,316  
  1,095,500   Colgate-Palmolive Co.     130,813,655  
  1,631,200   Covidien Plc     104,135,808  
  846,300   Deere & Co.     75,574,590  
  1,867,000   Facebook, Inc. - Class A(b)     51,827,920  
  572,000   FMC Technologies, Inc.(b)     31,059,599  
  720,500   Franklin Resources, Inc.     111,432,530  
  4,314,000   General Electric Co.     96,159,060  
  960,800   Gilead Sciences, Inc.(b)     48,654,912  
  68,500   Google, Inc. - Class A(b)     56,483,045  
  2,559,000   Hewlett-Packard Co.     52,715,400  
  69,000   Intuitive Surgical, Inc.(b)     33,968,010  
  1,217,000   JPMorgan Chase & Co.     59,645,170  
  976,000   Las Vegas Sands Corp.     54,900,000  
  140,150   Mastercard, Inc. - Class A     77,493,140  
  1,706,500   Microsoft Corp.     56,485,150  
  577,000   National Oilwell Varco, Inc.     37,631,940  
  755,000   NIKE, Inc. - Class B     48,018,000  
  1,157,000   Occidental Petroleum Corp.     103,273,820  
  2,033,200   Pfizer, Inc.     59,105,124  
  315,000   Praxair, Inc.     36,004,500  
  1,656,000   Salesforce.com, Inc.(b)     68,078,160  
  2,012,300   Schlumberger Ltd.     149,775,489  
  2,616,700   Texas Instruments, Inc.     94,750,707  
  809,900   Union Pacific Corp.     119,832,804  
  535,000   Visa, Inc. - Class A     90,126,100  
  3,053,000   Wells Fargo & Co.     115,952,940  
            2,683,192,710  
Total Common Stocks
(Cost $5,175,327,323)
  5,906,228,505  
EXCHANGE TRADED FUNDS — 5.3%      
  1,742,000   iShares S&P 500 Index Fund     279,347,120  
  5,800,000   iShares MSCI Japan Index Fund     67,860,000  
Total Exchange Traded Funds
(Cost $332,779,380)
  347,207,120  
Principal
Amount
      Value  
U.S. GOVERNMENT AGENCIES — 1.8%      
Federal Home Loan Bank — 1.8%      
$ 20,000,000   0.06%, 05/15/13(c)   $ 19,999,572  
  80,000,000   0.05%, 05/24/13(c)     79,997,445  
  20,000,000   0.05%, 05/24/13(c)     19,999,425  
            119,996,442  
Total U.S. Government Agencies
(Cost $119,996,442)
  119,996,442  
U.S. GOVERNMENT SECURITIES — 0.3%      
U.S. Treasury Bills — 0.3%      
  24,000,000   0.03%, 05/02/13(c)     23,999,977  
Total U.S. Government Securities
(Cost $23,999,977)
  23,999,977  
CASH SWEEP — 2.1%      
  135,495,400   Federated Government Obligations Fund
0.02%(e)
    135,495,400  
Total Cash Sweep
(Cost $135,495,400)
  135,495,400  
TOTAL INVESTMENTS — 99.7%
(Cost $5,787,598,522)(a)
$ 6,532,927,444  
OTHER ASSETS IN EXCESS OF LIABILITIES — 0.3%   17,096,728  
NET ASSETS — 100.0% $ 6,550,024,172  

 

 
(a) Cost for federal income tax purposes is $5,789,749,878 and net unrealized appreciation of investments is as follows:
   
Unrealized appreciation   $ 857,487,559  
Unrealized depreciation     (114,309,993 )
Net unrealized appreciation   $ 743,177,566  

   
(b) Non-income producing security.
   
(c) The rate represents the annualized yield at time of purchase.
   
(d) This security is considered either fully or partially illiquid. These securities or portions thereof have a value of $333,094,604 or 5.1% of net assets.
   
(e) Rate shown represents current yield at April 30, 2013.

 

ADR-American Depositary Receipt


GDR-Global Depositary Receipt


8
Old Westbury Funds, Inc.  
Large Cap Strategies Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Portfolio diversification by Sector (Unaudited)

    Percentage
Sector     of Net Assets
Banks     5.1 %
Consumer Discretionary     12.4 %
Consumer Staples     10.1 %
Diversified Financials     5.2 %
Energy     8.2 %
Health Care     11.0 %
Industrials     12.0 %
Information Technology     19.1 %
Insurance     1.0 %
Materials     2.4 %
Telecommunication Services     3.7 %
Other*     9.8 %
      100.0 %
 
* Includes cash and equivalents, exchange traded funds, U.S. government agencies and securities, pending trades and Fund share transactions, interest and dividends receivable, prepaids and accrued expenses payable.


9
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Condensed Portfolio of Investments April 30, 2013
  (Unaudited)

 

          Percentage of        
Shares         Net Assets (%)     Value  
COMMON STOCKS — 89.3%                
ARGENTINA — 0.0%                
  84,000     Other Securities     0.0     $ 1,144,080  
AUSTRALIA — 2.1%                
  19,105,479     Commonwealth Property Office Fund REIT(b)     0.4       22,975,692  
  731,690     Monadelphous Group Ltd.     0.3       15,876,290  
  46,487,270     Other Securities     1.4       81,808,349  
                      120,660,331  
AUSTRIA — 0.2%                
  565,049     Other Securities     0.2       12,455,313  
BAHAMAS — 0.0%                
  366     Other Securities     0.0       63,682  
BELGIUM — 0.2%                
  537,102     Other Securities     0.2       13,449,554  
BERMUDA — 0.7%                
  1,628,111     Other Securities     0.7       41,852,318  
BRAZIL — 1.0%                
  6,531,157     Other Securities     1.0       54,415,044  
CANADA — 2.0%                
  12,463,378     Other Securities     2.0       115,091,614  
CAYMAN ISLANDS — 0.0%                
  59,150     Other Securities     0.0       63,997  
CHILE — 0.1%                
  66,422,853     Other Securities     0.1       7,247,576  
CHINA — 1.0%                
  98,344,230     Other Securities     1.0       56,813,892  
COLUMBIA — 0.0%                
  1,764     Other Securities     0.0       37,295  
CYPRUS — 0.0%                
  439,278     Other Securities     0.0       790,104  
DENMARK — 0.5%                
  436,495     Chr. Hansen Holding A/S     0.3       15,729,272  
  746,801     Other Securities     0.2       11,759,386  
                      27,488,658  
FINLAND — 0.5%                
  2,046,776     Other Securities     0.5       28,325,794  
FRANCE — 2.1%                
  4,536,824     Other Securities     2.1       119,934,463  
GABON — 0.0%                
  55     Other Securities     0.0       33,680  
GERMANY — 2.5%                
  144,314     MTU Aero Engines Holding AG     0.2       13,653,507  
  617,282     Symrise AG(b)     0.5       26,338,926  
  2,692,895     Other Securities     1.8       99,359,512  
                      139,351,945  
          Percentage of        
Shares         Net Assets (%)     Value  
GIBRALTAR — 0.0%                
  200,199     Other Securities     0.0     $ 428,687  
GREECE — 0.1%                
  1,019,130     Other Securities     0.1       2,468,066  
GUERNSEY — 0.1%                
  896,639     Other Securities     0.1       3,370,255  
HONG KONG — 1.5%                
  323,984,498     Other Securities     1.5       86,573,051  
HUNGARY — 0.0%                
  88,257     Other Securities     0.0       1,235,470  
INDIA — 1.2%                
  18,334,893     Other Securities     1.2       66,385,065  
INDONESIA — 0.5%                
  239,913,978     Other Securities     0.5       29,369,494  
IRELAND — 2.1%                
  2,466,000     Willis Group Holdings Plc(b)     1.7       97,850,880  
  4,213,857     Other Securities     0.4       21,142,755  
                      118,993,635  
ISLE OF MAN — 0.0%                
  21,606     Other Securities     0.0       47,943  
ISRAEL — 1.6%                
  1,662,500     Check Point Software Technologies Ltd.(c)     1.4       77,505,750  
  1,852,979     Other Securities     0.2       14,034,509  
                      91,540,259  
ITALY — 0.5%                
  11,076,245     Other Securities     0.5       26,366,781  
JAPAN — 5.1%                
  38,773,291     Other Securities     5.1       287,437,720  
JERSEY CHANNEL ISLANDS — 0.0%                
  153,630     Other Securities     0.0       560,507  
LIECHTENSTEIN — 0.0%                
  5,470     Other Securities     0.0       312,147  
LUXEMBOURG — 0.2%                
  2,908,323     Other Securities     0.2       13,027,491  
MALAYSIA — 0.7%                
  37,083,078     Other Securities     0.7       42,067,685  
MALTA — 0.0%                
  18,299     Other Securities     0.0       324,985  
MAURITIUS — 0.0%                
  141,022     Other Securities     0.0       313,251  
MEXICO — 0.6%                
  11,266,089     Other Securities     0.6       30,925,848  
MONACO — 0.0%                
  480     Other Securities     0.0       20,892  
MONGOLIA — 0.0%                
  379,000     Other Securities     0.0       112,330  


10
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Condensed Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

  Shares       Percentage of
Net Assets (%)
    Value  
NETHERLANDS — 0.9%          
  528,479   Koninklijke Boskalis Westminster NV   0.4   $ 22,010,389  
  1,812,404   Other Securities   0.5     30,987,542  
                52,997,931  
NEW ZEALAND — 0.4%          
  6,721,470   Other Securities   0.4     21,081,718  
NORWAY — 0.2%            
  2,505,222   Other Securities   0.2     11,157,591  
PAPUA NEW GUINEA — 0.0%          
  162,499   Other Securities   0.0     13,477  
PERU — 0.1%            
  3,070,428   Other Securities   0.1     7,169,514  
PHILIPPINES — 0.3%          
  37,381,601   Other Securities   0.3     16,268,750  
POLAND — 0.1%            
  2,223,329   Other Securities   0.1     6,125,071  
PORTUGAL — 0.1%          
  5,634,057   Other Securities   0.1     3,639,350  
RUSSIA — 0.0%          
  24,397   Other Securities   0.0     194,241  
SINGAPORE — 1.8%          
  10,478,000   CapitaMall Trust REIT   0.3     19,736,105  
  5,235,000   SATS Ltd.(b)   0.2     13,388,203  
  3,970,000   SIA Engineering Co. Ltd.(b)   0.3     16,309,329  
  45,601,114   Other Securities   1.0     55,210,320  
                104,643,957  
SOUTH AFRICA — 0.7%          
  7,079,793   Other Securities   0.7     38,188,651  
SOUTH KOREA — 1.3%            
  3,900,030   Other Securities   1.3     74,665,648  
SPAIN — 0.4%            
  5,212,489   Other Securities   0.4     25,216,236  
SWEDEN — 0.8%            
  4,946,596   Other Securities   0.8     45,564,265  
SWITZERLAND — 1.5%            
  235,000   Allied World Assurance Co. Holdings AG   0.4     21,340,350  
  1,585,838   Other Securities   1.1     60,973,816  
                82,314,166  
TAIWAN — 1.2%            
  85,792,772   Other Securities   1.2     68,805,269  
THAILAND — 0.5%            
  66,468,270   Other Securities   0.5     27,434,528  
TURKEY — 0.2%            
  4,311,767   Other Securities   0.2     10,425,407  
UKRAINE — 0.0%            
  2,491   Other Securities   0.0     45,171  
Shares       Percentage of
Net Assets (%)
  Value  
UNITED ARAB EMIRATES — 0.0%      
  170,720   Other Securities   0.0   $ 1,058,003  
UNITED KINGDOM — 8.8%            
  617,462   Croda International Plc   0.4     23,767,355  
  907,173   De La Rue Plc(b)   0.2     13,126,299  
  1,895,000   Ensco Plc - ADR   1.9     109,303,600  
  2,144,069   Rexam Plc   0.3     17,201,979  
  606,493   Rotork Plc(b)   0.5     27,405,570  
  553,801   Victrex Plc(b)   0.3     13,806,961  
  47,317,718   Other Securities   5.2     297,381,608  
                501,993,372  
UNITED STATES — 42.9%            
  430,000   Actuant Corp. - Class A   0.2     13,459,000  
  1,413,407   Advance Auto Parts, Inc.   2.1     118,556,579  
  1,600,000   Albemarle Corp.(b)   1.7     98,000,000  
  1,820,000   AmerisourceBergen Corp.   1.7     98,498,400  
  125,000   Bio-Rad Laboratories, Inc. - Class A(c)   0.3     14,968,750  
  2,000,000   BMC Software, Inc.(c)   1.6     90,960,000  
  3,291,200   CareFusion Corp.(b)(c)   1.9     110,057,728  
  269,500   CLARCOR, Inc.   0.3     13,933,150  
  2,510,000   Crown Holdings, Inc.(b)(c)   1.9     107,126,800  
  914,000   Energizer Holdings, Inc.   1.6     88,283,260  
  700,000   Fiserv, Inc.(c)   1.1     63,777,000  
  545,000   Flowserve Corp.   1.5     86,175,400  
  350,000   Harris Teeter Supermarkets, Inc.   0.3     14,626,500  
  563,519   Henry Schein, Inc.(c)   0.9     50,942,118  
  710,500   Hubbell, Inc. - Class B(b)   1.2     68,179,580  
  213,000   Lufkin Industries, Inc.   0.3     18,805,770  
  730,400   MSC Industrial Direct Co., Inc. - Class A   1.0     57,555,520  
  2,836,746   NetApp, Inc.(c)   1.7     98,974,068  
  1,828,500   Omnicom Group, Inc.   1.9     109,289,445  
  389,900   Raven Industries, Inc.(b)   0.2     13,081,145  
  400,000   Sensient Technologies Corp.(b)   0.3     15,740,000  
  1,175,255   Tenneco, Inc.(c)   0.8     45,447,111  
  250,000   TreeHouse Foods, Inc.(c)   0.3     15,927,500  
  450,000   Trimas Corp.(b)(c)   0.3     13,725,000  
  1,349,690   Tupperware Brands Corp.(b)   1.9     108,380,107  
  360,000   UMB Financial Corp.(b)   0.3     18,122,400  
  1,570,000   Varian Medical Systems, Inc.(c)   1.8     102,269,800  
  1,131,151   Waters Corp.(b)(c)   1.8     104,518,352  
  206,000   West Pharmaceutical Services, Inc.   0.2     13,155,160  
  1,450,000   Western Digital Corp.   1.4     80,156,000  
  325,000   Wolverine World Wide, Inc.   0.3     15,525,250  
  453,471   Xilinx, Inc.   0.3     17,191,086  
  17,935,889   Other Securities   9.8     559,192,713  
                2,444,600,692  
Total Common Stocks
(Cost $3,857,862,209)
        5,084,703,910  


 

11
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Condensed Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

  Shares       Percentage of
Net Assets (%)
    Value  
INVESTMENT COMPANY — 0.5%        
  29,018,700   SEI Daily Income Trust Government II Fund, Class A, 0.01%(d)   0.5   $ 29,018,700  
Total Investment Company
(Cost $29,018,700)
        29,018,700  
EXCHANGE TRADED FUNDS — 7.6%        
  1,915,400   iShares MSCI EAFE Small Cap Index Fund   1.5     87,208,162  
  1,772,100   iShares MSCI Emerging Markets Index Fund   1.4     76,714,209  
  119,861   iShares MSCI Japan Small Cap Index Fund   0.1     6,495,268  
  161,000   SPDR Russell Nomura Small Cap Japan Fund   0.2     8,351,070  
  1,770,000   SPDR S&P Emerging Markets Small Cap Fund   1.5     86,853,900  
  1,889,800   SPDR S&P International Small Cap Fund   1.0     59,358,618  
  400,000   Vanguard FTSE All World ex-US Small-Cap ETF   0.7     38,712,000  
  400,000   Vanguard Small-Cap ETF   0.6     36,568,000  
  550,000   WisdomTree Japan Hedged Equity Fund   0.5     26,158,000  
  115,000   WisdomTree Japan Small Cap Dividend Fund   0.1     5,953,550  
Total Exchange Traded Funds
(Cost $384,737,775)
        432,372,777  
RIGHTS/WARRANTS — 0.0%            
  1,794,725   Other Rights/Warrants   0.0     210,859  
Total Rights/Warrants
(Cost $16,467)
        210,859  
                   
  Principal
Amount
               
U.S. GOVERNMENT AGENCIES — 0.6%        
Federal Home Loan Bank — 0.6%            
$ 10,000,000   0.02%, 05/20/2013(e)   0.2     9,999,894  
  4,000,000   0.05%, 05/24/2013(e)   0.1     4,000,000  
  20,000,000   0.07%, 05/08/2013(e)   0.3     19,999,728  
Total U.S. Government Agencies
(Cost $33,999,622)
        33,999,622  
  Principal
Amount
      Percentage of
Net Assets (%)
    Value  
U.S. GOVERNMENT SECURITIES — 0.3%        
U.S. Treasury Bills — 0.3%      
$ 9,000,000   0.03%, 05/02/2013(e)   0.2   $ 8,999,990  
  9,000,000   0.04%, 05/16/2013(e)   0.1     8,999,857  
Total U.S. Government Securities
(Cost $17,999,847)
    17,999,847  
                   
  Shares                
CASH SWEEP — 1.0%        
  58,305,154   Citibank - US Dollars on Deposit in Custody Account, 0.02%(d)   1.0     58,305,154  
Total Cash Sweep
 (Cost $58,305,154)
  58,305,154  
                   
TOTAL INVESTMENTS — 99.3%
(Cost $4,381,939,774)(a)
  $ 5,656,610,869  
OTHER ASSETS IN EXCESS OF
LIABILITIES — 0.7%
    41,159,525  
NET ASSETS — 100.0%   $ 5,697,770,394  

 

 

 

(a) Cost for federal income tax purposes is $4,387,247,606 and net unrealized appreciation of investments is as follows:
   
Unrealized appreciation   $ 1,412,737,897  
Unrealized depreciation     (143,374,634 )
Net unrealized appreciation   $ 1,269,363,263  
   
(b) This security is considered either fully or partially illiquid. These securities, or portions thereof have a value of $490,675,680 or 8.61% of net assets.
   
(c) Non-income producing security.
   
(d) Rate shown represents current yield at April 30, 2013.
   
(e) The rate represents the annualized yield at time of purchase.
   
  This Condensed Portfolio of Investments does not reflect the complete portfolio holdings of the Fund. It includes the Fund’s 50 largest holdings and each investment of any issuer that exceeds 1% of the Fund’s net assets. “Other Securities” represent all issues not required to be disclosed under the rules adopted by the U.S. Securities and Exchange Commission (“SEC”). The complete Portfolio of Investments is available (i) without charge, upon request, by calling (800) 607-2200; and (ii) on the SEC’s website at http://www.sec.gov.
   
  Common stocks and Rights with a value of $3,167,969 (cost of $4,668,006) or 0.06% of net assets were fair valued by the Board of Directors.

 

ADR — American Depositary Receipt
   
REIT — Real Estate Investment Trust

12
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Condensed Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Portfolio diversification by Sector (Unaudited)

 

Sector     Percentage of
Net Assets
 
Banks     2.2%  
Consumer Discretionary     13.6%    
Consumer Staples     5.7%    
Diversified Financials     1.4%    
Energy     4.6%    
Health Care     13.1%    
Industrials     17.1%    
Information Technology     13.3%    
Insurance     4.0%    
Materials     9.8%    
Real Estate     2.8%    
Telecommunication Services     0.5%    
Utilities     1.1%    
Other*     10.8%    
Total     100.0%    

 

 
* Includes cash and equivalents, exchange traded funds, rights/warrants, U.S. government agencies and securities, investment companies, pending trades and Fund share transactions, interest and dividends receivable, prepaids and accrued expenses payable.


13
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments April 30, 2013
  (Unaudited)

 

Shares         Value  
COMMON STOCKS — 22.5%        
AUSTRALIA — 0.5%        
  167,623     Amcor Ltd.   $ 1,718,631  
  40,691     ASX Ltd.     1,586,552  
  52,575     Australia & New Zealand Banking Group Ltd.     1,735,422  
  188,060     BC Iron Ltd.     670,668  
  151,246     BHP Billiton Ltd.     5,127,248  
  22,420     Commonwealth Bank of Australia     1,707,183  
  729,770     Emeco Holdings Ltd.     348,014  
  1,603,100     Grange Resources Ltd.     274,219  
  50,460     Iluka Resources Ltd.     468,191  
  113,266     JB Hi-Fi Ltd.     1,878,764  
  55,917     Monadelphous Group Ltd.     1,213,293  
  300,890     NIB Holdings Ltd.     733,041  
  217,310     NRW Holdings Ltd.     292,871  
  1,303,860     Roc Oil Co. Ltd.(b)     615,028  
  181,760     Skilled Group Ltd.     537,027  
  103,988     Sonic Healthcare Ltd.     1,429,484  
  276,240     St Barbara Ltd.(b)     171,827  
  430,677     Tatts Group Ltd.     1,459,997  
  316,016     Telstra Corp Ltd.     1,631,515  
  132,007     UGL Ltd.     1,376,726  
  555,620     UXC Ltd.     679,693  
  1,137,090     Virgin Australia Holdings Ltd.(b)     536,363  
  37,824     Wesfarmers Ltd.     1,700,629  
  52,217     Westpac Banking Corp.     1,829,706  
  175,260     Woolworths Ltd.     6,615,401  
              36,337,493  
BELGIUM — 0.1%        
  34,700     Colruyt SA     1,751,383  
  72,780     D’ieteren SA NV     3,354,668  
              5,106,051  
BERMUDA — 0.3%        
  79,739     Arch Capital Group Ltd.(b)     4,230,951  
  12,460     Everest Re Group Ltd.     1,681,975  
  400,000     Nabors Industries Ltd.     5,916,000  
  56,038     RenaissanceRe Holdings Ltd.     5,261,408  
              17,090,334  
BRAZIL — 0.1%        
  161,520     Brasil Brokers Participacoes SA     570,759  
  25,120     Cia Hering     510,875  
  31,610     Cosan SA Industria e Comercio     745,716  
  66,820     Equatorial Energia SA     707,693  
  45,640     Ez Tec Empreendimentos e Participacoes SA     624,349  
  24,480     Multiplus SA     403,524  
  88,340     OSX Brasil SA(b)     135,551  
              3,698,467  
Shares         Value  
CANADA — 0.8%        
  169,403     Allied Properties Real Estate Investment Trust   $ 5,799,503  
  500,000     Asian Coast Development Ltd.(b)(c)(d)     0  
  49,100     Barrick Gold Corp.     967,915  
  34,141     BCE, Inc.     1,599,200  
  91,785     Boardwalk Real Estate Investment Trust, REIT     6,001,169  
  89,941     Canadian Imperial Bank of Commerce     7,192,959  
  60,699     Canadian National Railway Co.     5,942,471  
  39,738     Dundee Real Estate Investment Trust - Class A, REIT     1,459,828  
  310,543     First Capital Realty Inc(c)     5,998,478  
  57,438     Great-West Lifeco Inc.     1,559,883  
  34,571     IGM Financial Inc.     1,540,416  
  275,124     RioCan Real Estate Investment Trust, REIT     8,058,871  
  314,589     Shaw Communications, Inc. - Class B     7,163,305  
              53,283,998  
CHILE — 0.1%        
  8,065,727     Aguas Andinas SA - Class A     6,422,439  
  47,190     ENTEL Chile SA     909,832  
              7,332,271  
CHINA — 0.2%        
  3,110,415     Bank of China Ltd. - H Shares     1,454,973  
  1,380,000     China BlueChemical Ltd. - H Shares     841,144  
  2,276,507     China CITIC Bank Corp. Ltd. - H Shares     1,281,977  
  1,811,986     China Construction Bank Corp. - H Shares     1,517,742  
  1,351,098     China Petroleum & Chemical Corp. - H Shares     1,478,170  
  1,396,000     Dongyue Group     780,737  
  2,066,243     Industrial & Commercial Bank of China Ltd. - H Shares     1,453,798  
  581,255     Shandong Airlines Co. Ltd. - B Shares(c)     799,959  
  4,826,000     Shanghai Jin Jiang International Hotels Group Co. Ltd. - H Shares(c)     771,150  
  623,110     Shanghai Mechanical and Electrical Industry Co. Ltd. - B Shares     624,356  
  1,233,000     Travelsky Technology Ltd. - H Shares     783,321  
  1,959,000     Yangzijiang Shipbuilding Holdings Ltd.     1,510,960  
  904,584     Yanzhou Coal Mining Co. Ltd. - H Shares     941,868  
  28,020     Zhongpin, Inc.(b)     363,139  
              14,603,294  


14
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
(Unaudited)
 

 

Shares         Value  
FINLAND — 0.1%      
  49,741     Orion Oyj - Class B   $ 1,428*,040  
  204,255     Sampo Oyj - A Shares     8,150,510  
              9,578,550  
FRANCE — 0.5%      
  230,700     Etablissements Maurel et Prom     3,923,841  
  1,049,020     Natixis     4,600,420  
  64,140     Sanofi     7,029,527  
  65,661     Sodexo     5,483,208  
  175,000     Total SA - ADR     8,792,000  
  426,290     UBISOFT Entertainment(b)     4,755,082  
              34,584,078  
GERMANY — 0.1%      
  45,330     Bayerische Motoren Werke AG     4,181,800  
  8,299     Muenchener Rueckversi-
cherungs AG
    1,659,625  
  14,668     Volkswagen AG     2,851,194  
              8,692,619  
HONG KONG — 0.3%      
  1,584,000     AMVIG Holdings Ltd.(c)     612,359  
  199,500     China Mobile Ltd.     2,183,917  
  14,140,000     China Power New Energy
Development Co. Ltd.(b)
    801,737  
  978,000     China Resources Cement
Holdings Ltd.
    563,347  
  1,548,000     Guangdong Investment Ltd.     1,498,100  
  1,100,000     Lee & Man Chemical Co.
Ltd.(c)
    510,299  
  1,728,400     Link REIT (The)     9,788,880  
  794,000     Pacific Textile Holdings Ltd.     980,203  
  2,212,000     Pico Far East Holdings Ltd.(c)     803,830  
  11,160,000     Shougang Concord International
Enterprises Co. Ltd.(b)
    575,247  
  5,375,137     Shougang Fushan Resources
Group Ltd.
    2,098,756  
  1,050,000     TCL Multimedia Technology
Holdings Ltd.
    948,500  
              21,365,175  
INDIA — 0.0%      
  106,290     Gitanjali Gems Ltd.(b)     1,210,611  
  434,500     India Cements Ltd.(c)     663,827  
  185,240     Infotech Enterprises Ltd.(c)     594,384  
              2,468,822  
INDONESIA — 0.0%      
  1,656,500     AKR Corporindo Tbk PT     877,447  
IRELAND — 0.7%      
  1,165,340     Seagate Technology Plc     42,767,978  
  600,000     Warner Chilcott Co. Plc     8,628,000  
              51,395,978  
ISRAEL — 0.1%      
  112,371     Israel Chemicals Ltd.     1,336,541  

 

 

Shares         Value  
ISRAEL (continued)      
  200,000     Teva Pharmaceutical Industries
Ltd. - ADR
  $ 7,658,000  
              8,994,541  
ITALY — 0.3%      
  84,234     Atlantia SpA     1,505,347  
  448,210     Autostrada Torino-Milano
SpA(c)
    5,341,947  
  71,600     DiaSorin SpA     2,685,483  
  453,770     Societa Iniziative Autostradali e
Servizi SpA(c)
    4,105,461  
  1,765,037     Terna Rete Elettrica Nazionale
SpA
    8,261,153  
              21,899,391  
JAPAN — 1.8%      
  30,300     Alfresa Holdings Corp.     1,799,631  
  4,501,000     ANA Holdings, Inc.     9,788,296  
  1     Aoyama Trading Co. Ltd.     30  
  23,000     Arcs Co. Ltd.     455,824  
  227,139     Asahi Glass Co. Ltd.     1,780,112  
  20,000     Asatsu-DK, Inc.     511,463  
  1,000     Bic Camera, Inc.     438,529  
  21,700     Calbee, Inc.     2,145,848  
  43,321     Canon, Inc.     1,553,130  
  13,900     Central Japan Railway Co.     1,675,386  
  71,000     Chugoku Bank Ltd. (The)     1,235,226  
  16,804     Daito Trust Construction Co.
Ltd.
    1,627,222  
  36,000     Doshisha Co. Ltd.     567,226  
  46,000     East Japan Railway Co.     3,878,751  
  37,472     Eisai Co. Ltd.     1,708,602  
  54,000     Elpida Memory, Inc.(b)(c)(d)     0  
  46,900     Exedy Corp.     1,173,883  
  30,400     Fields Corp.     615,890  
  28,000     Fuji Soft, Inc.     747,356  
  83,000     Fujitec Co. Ltd.     897,389  
  34,000     Goldcrest Co. Ltd.     1,117,813  
  22,000     G-Tekt Corp.     692,825  
  8,000     Hakuhodo DY Holdings, Inc.     658,973  
  17,000     Hamakyorex Co. Ltd.     602,503  
  32,800     Hisamitsu Pharmaceutical Co.,
Inc.
    1,927,927  
  106,000     Hokuetsu Kishu Paper Co. Ltd.     470,821  
  1     Hoshizaki Electric Co. Ltd.     33  
  128,691     ITOCHU Corp.     1,590,734  
  31,300     Itochu Techno-Solutions Corp.     1,486,577  
  792     Japan Retail Fund Investment
Corp., REIT
    1,876,719  
  800     Jupiter Telecommunications Co.
Ltd.
    1,006,924  
  1     Kaken Pharmaceutical Co. Ltd.     18  
  27,000     Kato Sangyo Co. Ltd.     572,488  
  606,200     Kewpie Corp.     9,147,255  
  53,000     Konaka Co. Ltd.     733,415  
  12,000     Kusuri No Aoki Co. Ltd.     875,212  
  1     KYORIN Holdings, Inc.     27  


15
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
(Unaudited)
 

 

Shares         Value  
JAPAN (continued)      
  1     Lawson, Inc.   $ 79  
  24,000     Macnica, Inc.     489,922  
  39,400     McDonald’s Holdings Co. Japan
Ltd.
    1,149,040  
  100,896     Mitsui & Co. Ltd.     1,384,817  
  157,000     Mitsui-Soko Co. Ltd.     1,067,764  
  27,000     Nagawa Co. Ltd.(c)     444,530  
  40,000     NET One Systems Co. Ltd.     350,003  
  78,000     NGK Spark Plug Co. Ltd.     1,313,002  
  328,000     Nippon Express Co. Ltd.     1,705,862  
  40,000     Nippon Television Network
Corp.
    706,160  
  121,000     Nissan Tokyo Sales Holdings
Co. Ltd.
    417,049  
  80,900     Nomura Research Institute Ltd.     2,435,672  
  1,024     NTT DOCOMO, Inc.     1,691,173  
  84,000     Okabe Co. Ltd.     869,426  
  25,700     Oracle Corp. Japan     1,100,657  
  22,100     Oriental Land Co. Ltd.     3,572,816  
  295,600     Otsuka Holdings Co. Ltd.     10,643,237  
  15,000     Relo Holdings, Inc.     841,668  
  523,750     Resona Holdings, Inc.     2,793,763  
  126,000     Riken Corp.     507,955  
  17,600     Ryohin Keikaku Co. Ltd.     1,660,973  
  116,000     San-Ai Oil Co. Ltd.(c)     533,087  
  43,400     Santen Pharmaceutical Co. Ltd.     2,172,560  
  90,000     Sanyo Denki Co. Ltd.     683,182  
  18,800     Sawai Pharmaceutical Co. Ltd.     2,426,055  
  31,000     SCSK Corp.     691,009  
  56,000     Showa Corp.     811,694  
  1,000     SKY Perfect JSAT Holdings, Inc.     502,641  
  121,233     Sumitomo Corp.     1,512,226  
  885,100     Sumitomo Osaka Cement Co.
Ltd.
    2,651,169  
  1     Suzuken Co. Ltd.     39  
  69,000     Tadano Ltd.     863,517  
  51,000     Takara Leben Co. Ltd.     1,047,361  
  208,500     Toho Gas Co. Ltd.     1,240,499  
  20,000     Tokai Corp.     610,555  
  12,000     Token Corp.     771,811  
  50,000     Tokyo Broadcasting System
Holdings, Inc.
    790,378  
  888,000     Tokyo Gas Co. Ltd.     5,064,656  
  542,020     TonenGeneral Sekiyu KK     5,471,074  
  253,000     Tosoh Corp.     833,082  
  162,400     Toyo Construction Co. Ltd.     491,440  
  21,000     Toyo Tanso Co. Ltd.     458,409  
  54,000     Tsukui Corp.     802,647  
  1     Unipres Corp.     22  
  24,000     Universal Entertainment Corp.     601,939  
  77,400     West Japan Railway Co.     3,739,591  
  88,400     Yamazaki Baking Co. Ltd.     1,155,271  
  35,000     Yellow Hat Ltd.     700,826  
              127,132,366  
Shares         Value  
JERSEY CHANNEL ISLANDS — 0.0%      
  1,850,620     Highland Gold Mining Ltd.(c)   $ 2,421,902  
LUXEMBOURG — 0.0%      
  44,207     Oriflame Cosmetics SA - SDR     1,600,880  
MALAYSIA — 0.4%      
  680,800     Hap Seng Plantations Holdings
Berhad
    606,399  
  517,567     Malayan Banking Berhad     1,636,481  
  3,595,211     Maxis Berhad     7,988,045  
  1,157,700     Public Bank Berhad     6,247,965  
  499,600     Ta Ann Holdings Berhad(c)     573,083  
  2,194,900     Telekom Malaysia Berhad     3,982,201  
  1,497,699     UMW Holdings Berhad     7,039,308  
              28,073,482  
MEXICO — 0.0%      
  1,258,810     Desarrolladora Homex SAB de
CV(b)
    1,021,164  
NETHERLANDS — 0.1%      
  84,311     Heineken NV     5,953,612  
  43,478     Royal Dutch Shell Plc - B
Shares
    1,521,599  
              7,475,211  
NEW ZEALAND — 0.0%      
  730,620     New Zealand Oil & Gas Ltd.(c)     513,525  
NORWAY — 0.2%      
  366,410     Gjensidige Forsikring ASA     5,902,972  
  224,335     Statoil ASA     5,473,673  
  69,340     Yara International ASA     3,246,649  
              14,623,294  
PAKISTAN — 0.0%      
  568,190     Engro Corp. Ltd.     775,022  
  1,657,640     Fauji Fertilizer Bin Qasim Ltd.     640,553  
  1,246,000     HUB Power Co.     682,917  
              2,098,492  
POLAND — 0.1%      
  70,700     Grupa Lotos SA(b)     849,559  
  13,870     KGHM Polska Miedz SA     649,638  
  346,440     Synthos SA     516,396  
  179,580     Zaklady Chemiczne Police
SA(c)
    1,193,468  
              3,209,061  
PORTUGAL — 0.2%      
  468,125     EDP - Energias de Portugal SA     1,609,058  
  1,332,670     Portucel SA(c)     4,838,701  
  685,980     Portugal Telecom SGPS SA     3,578,374  
              10,026,133  
PUERTO RICO — 0.1%      
  124,680     OFG BanCorp.     2,003,608  


16
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
PUERTO RICO (continued)      
  64,710     Triple-S Management Corp. - Class B(b)   $ 1,166,721  
              3,170,329  
SINGAPORE — 0.7%        
  550,000     Avago Technologies Ltd.     17,578,000  
  5,410,000     Mapletree Commercial Trust, REIT(c)     6,434,724  
  800,000     Metro Holdings Ltd.     597,548  
  6,186,000     Singapore Post Ltd.(c)     6,478,802  
  2,247,024     Singapore Press Holdings Ltd.     8,136,500  
  1,152,000     Stamford Land Corp. Ltd.(c)     556,499  
  1,865,000     StarHub Ltd.     7,162,012  
              46,944,085  
SOUTH AFRICA — 0.3%        
  304,640     Aeci Ltd.(c)     3,408,464  
  1     AngloGold Ashanti Ltd.     19  
  234,488     Bidvest Group Ltd.     6,097,968  
  75,802     Exxaro Resources Ltd.     1,188,791  
  110,719     Foschini Group Ltd. (The)     1,418,921  
  22,600     Gold Fields Ltd.     160,858  
  21,892     Kumba Iron Ore Ltd.     1,154,627  
  1,196,968     Sanlam Ltd.     6,134,569  
  33,305     Sasol Ltd.     1,439,425  
  72,200     Sibanye Gold Ltd.(b)     68,390  
              21,072,032  
SOUTH KOREA — 0.1%        
  67,000     Daishin Securities Co. Ltd.     568,219  
  54,550     Halla Engineering & Construction Corp.     292,241  
  7,930     Kia Motors Corp.     394,592  
  11,510     Korean Air Lines Co. Ltd.(b)     368,930  
  21,401     KT&G Corp.     1,540,996  
  5,030     Kumho Petrochemical Co. Ltd.     435,267  
  3,010     OCI Co. Ltd.     386,738  
  17,440     Seah Besteel Corp.     477,450  
  9,156     SK Telecom Co. Ltd.     1,608,722  
              6,073,155  
SPAIN — 0.1%        
  64,440     Acciona SA     4,221,998  
  124,477     Indra Sistemas SA     1,673,726  
  28,180     Red Electrica Corp. SA     1,498,940  
              7,394,664  
SWEDEN — 0.2%        
  207,246     Investor AB - B Shares     6,107,650  
  61,069     NCC AB - B Shares     1,446,385  
  93,082     Tele2 AB - B Shares     1,595,638  
  220,576     TeliaSonera AB     1,517,576  
              10,667,249  
SWITZERLAND — 0.3%        
  44,200     Allied World Assurance Co. Holdings AG     4,013,802  

Shares         Value  
SWITZERLAND (continued)      
  4,982     Givaudan SA   $ 6,408,337  
  84,998     Nestle SA     6,069,980  
  63,575     PSP Swiss Property AG     5,965,712  
              22,457,831  
TAIWAN — 0.4%        
  854,900     Chunghwa Telecom Co. Ltd.     2,717,187  
  2,002,200     Compal Electronics, Inc.     1,295,813  
  1,699,000     Continental Holdings Corp.(c)     647,660  
  1,289,348     Far Eastern New Century Corp.     1,387,124  
  914,000     Formosa Advanced Technologies Co. Ltd.(c)     684,447  
  563,070     Formosa Chemicals & Fibre Corp.     1,318,384  
  556,031     Formosa Plastics Corp.     1,349,004  
  69,000     HTC Corp.     703,748  
  1     Macronix International     0  
  1,345,000     Micro-Star International Co. Ltd.     628,931  
  654,154     Quanta Computer, Inc.     1,352,107  
  404,386     Radiant Opto-Electronics Corp.     1,644,291  
  500,000     Silicon Motion Technology Corp. - ADR     5,450,000  
  336,989     Simplo Technology Co. Ltd.     1,433,048  
  728,028     Synnex Technology International Corp.     1,230,977  
  1,136,207     Taiwan Cement Corp.     1,509,193  
  427,716     Taiwan Mobile Co. Ltd.     1,557,992  
  408,000     Taiwan Prosperity Chemical Corp.     453,456  
  67,700     TPK Holding Co. Ltd.     1,374,095  
  3,919,163     United Microelectronics Corp.     1,493,988  
  4,444,000     Winbond Electronics Corp.(b)     1,234,779  
  1,329,820     Wistron Corp.     1,349,556  
              30,815,780  
THAILAND — 0.1%        
  408,300     Advanced Info Service Public Co. Ltd. - FOR(c)     3,756,082  
  390,800     Bangchak Petroleum Public Co. Ltd.     482,675  
  121,569     Banpu Public Co. Ltd. - FOR     1,412,437  
              5,651,194  
TURKEY — 0.0%        
  2     Enka Insaat ve Sanayi AS     6  
  1,262,116     Eregli Demir ve Celik Fabrikalari TAS     1,443,223  
  271,730     Koza Anadolu Metal Madencilik Isletmeleri AS(b)     676,009  
              2,119,238  
UNITED KINGDOM — 0.8%        
  77,356     Admiral Group Plc     1,539,262  
  31,727     AstraZeneca Plc     1,647,289  
  143,168     British American Tobacco Plc     7,930,428  


17
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
UNITED KINGDOM (continued)      
  1,377,810     Carphone Warehouse Group Plc(c)   $ 5,029,520  
  198,252     Diageo Plc     6,048,231  
  41,548     Imperial Tobacco Group Plc     1,484,387  
  108,498     Lancashire Holdings Ltd.     1,426,652  
  370,590     Mondi Plc     4,901,711  
  141,249     Pennon Group Plc     1,504,050  
  88,359     Reckitt Benckiser Group Plc     6,445,375  
  87,300     Smith & Nephew Plc     996,037  
  260,307     Tesco Plc     1,480,520  
  148,787     Unilever Plc     6,438,955  
  551,495     Vodafone Group Plc     1,680,776  
  727,109     WM Morrison Supermarkets Plc     3,299,137  
              51,852,330  
UNITED STATES — 12.4%        
  57,725     3M Co.     6,044,385  
  69,500     Abbott Laboratories     2,565,940  
  35,040     Allstate Corp. (The)     1,726,070  
  100,000     American Capital Agency Corp., REIT     3,331,000  
  1,080,640     American International Group, Inc.(b)     44,760,109  
  28,210     America’s Car-Mart, Inc.(b)     1,305,277  
  24,010     Ameriprise Financial, Inc.     1,789,465  
  23,100     Amgen, Inc.     2,407,251  
  15,030     Apache Corp.     1,110,416  
  114,000     Apple, Inc.     50,473,500  
  1,220,060     Applied Materials, Inc.     17,703,071  
  36,940     Arrow Electronics, Inc.(b)     1,449,156  
  26,060     Ascent Capital Group, Inc. - Class A(b)     1,732,729  
  2,950,000     Bank of America Corp.     36,314,500  
  59,420     Bank of New York Mellon Corp. (The)     1,676,832  
  67,150     Becton Dickinson and Co.     6,332,245  
  250,000     Bill Barrett Corp.(b)     4,965,000  
  84,800     Blucora, Inc.(b)     1,252,496  
  96,100     BMC Software, Inc.(b)     4,370,628  
  40,617     Bristol-Myers Squibb Co.     1,613,307  
  219,390     Brocade Communications Systems, Inc.(b)     1,276,850  
  169,390     Brooks Automation, Inc.     1,646,471  
  139,200     Campbell Soup Co.     6,460,272  
  186,840     CapitalSource, Inc.     1,672,218  
  61,340     CF Industries Holdings, Inc.     11,440,523  
  32,300     Chemed Corp.     2,636,326  
  17,940     Chubb Corp. (The)     1,579,976  
  283,600     Cisco Systems, Inc.     5,932,912  
  150,000     Citigroup, Inc.     6,999,000  
  141,505     Clorox Co. (The)     12,204,806  
  136,840     CNO Financial Group, Inc.     1,549,029  
  125,000     Coach, Inc.     7,357,500  
  54,280     Coeur d’Alene Mines Corp.(b)     827,227  
  26,550     Coinstar, Inc.(b)     1,402,106  
  54,623     Colgate-Palmolive Co.     6,522,532  

Shares         Value  
UNITED STATES (continued)      
  85,070     Computer Task Group, Inc.   $ 1,745,636  
  56,018     Consolidated Edison, Inc.     3,565,546  
  25,020     Contango Oil & Gas Co.     941,252  
  400,000     Corning, Inc.     5,800,000  
  76,070     Crocs, Inc.(b)     1,218,641  
  31,861     Darden Restaurants, Inc.     1,644,983  
  52,440     Delek US Holdings, Inc.     1,892,560  
  776,000     Dell, Inc.     10,398,400  
  43,880     Deluxe Corp.     1,673,583  
  272,040     Denny’s Corp.(b)     1,542,467  
  72,580     Destination Maternity Corp.     1,723,775  
  23,003     Digital Realty Trust, Inc., REIT     1,622,172  
  225,000     Dollar General Corp.(b)     11,720,250  
  30,330     Dr Pepper Snapple Group, Inc.     1,481,014  
  21,695     Duke Energy Corp.     1,631,464  
  161,573     El Paso Pipeline Partners LP     6,921,787  
  73,720     Employers Holdings, Inc.     1,669,758  
  26,949     Enterprise Products Partners LP     1,634,457  
  39,050     ePlus, Inc.(c)     1,775,994  
  300,000     Exelis, Inc.     3,351,000  
  1,500     Exelon Corp.     56,265  
  263,300     Family Dollar Stores, Inc.     16,158,721  
  547,300     Freeport-McMoRan Copper & Gold, Inc.     16,654,339  
  72,600     FTI Consulting, Inc.(b)     2,404,512  
  2,700     GameStop Corp. - Class A     94,230  
  139,109     General Mills, Inc.     7,013,876  
  1,725,000     General Motors Co., Escrow Shares(b)(c)(d)     258,750  
  34,795     Genesis Energy LP     1,672,596  
  35,200     Gilead Sciences, Inc.(b)     1,782,528  
  11,500     Goldman Sachs Group, Inc. (The)     1,679,805  
  885,800     Hewlett-Packard Co.     18,247,480  
  166,080     hhgregg, Inc.(b)     2,243,741  
  134,010     HollyFrontier Corp.     6,626,795  
  127,059     IDACORP, Inc.     6,252,573  
  425,000     Intel Corp.     10,178,750  
  175,510     iStar Financial, Inc.(b)     2,049,957  
  32,900     Jack in the Box, Inc.(b)     1,179,465  
  99,900     Kellogg Co.     6,497,496  
  173,093     Kimberly-Clark Corp.     17,861,467  
  150,000     Kohl’s Corp.     7,059,000  
  817,560     Kulicke & Soffa Industries, Inc.(b)     9,450,994  
  17,600     Lancaster Colony Corp.     1,389,168  
  130,290     Landec Corp.(b)     1,747,189  
  48,230     Legacy Reserves LP     1,286,535  
  51,100     Legg Mason, Inc.     1,628,046  
  105,500     Lexmark International, Inc. -
Class A
    3,197,705  
  32,320     Lincoln Electric Holdings, Inc.     1,705,203  
  55,140     Lincoln National Corp.     1,875,311  
  40,508     LINN Energy LLC     1,564,014  
  24,920     Littelfuse, Inc.     1,739,914  
  37,444     Lorillard, Inc.     1,605,973  


18
Old Westbury Funds, Inc.  
G lobal Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
UNITED STATES (continued)      
  47,755     Main Street Capital Corp.   $ 1,435,515  
  93,133     McCormick & Co., Inc.     6,699,988  
  62,465     McDonald’s Corp.     6,380,175  
  39,704     Mercury General Corp.     1,814,870  
  1,125,500     MGM Resorts International(b)     15,892,060  
  525,000     Microsoft Corp.     17,377,500  
  473,500     Morgan Stanley     10,488,025  
  250,000     Mosaic Co. (The)     15,397,500  
  350,000     Myriad Genetics, Inc.(b)     9,747,500  
  57,130     NASDAQ OMX Group, Inc. (The)     1,684,192  
  29,580     National Healthcare Corp.(c)     1,373,399  
  57,060     Nelnet, Inc. - Class A     1,940,040  
  1,134,700     NetApp, Inc.(b)     39,589,683  
  11,890     Netflix, Inc.(b)     2,569,072  
  355,000     Newmont Mining Corp.     11,502,000  
  141,840     Nexstar Broadcasting Group, Inc. - Class A     3,453,804  
  73,450     Northern Oil and Gas, Inc.(b)     946,771  
  20,020     Northrop Grumman Corp.     1,516,315  
  100,000     Nu Skin Enterprises, Inc. - Class A     5,073,000  
  2,314,000     NVIDIA Corp.     31,863,780  
  257,500     Occidental Petroleum Corp.     22,984,450  
  25,411     ONEOK Partners LP     1,374,735  
  39,470     Patterson Cos., Inc.     1,497,887  
  222,870     Paychex, Inc.     8,114,697  
  156,800     People’s United Financial, Inc.     2,063,488  
  81,626     PepsiCo, Inc.     6,731,696  
  125,633     Plains All American Pipeline LP     7,213,847  
  42,670     PPG Industries, Inc.     6,278,464  
  240,000     PPL Corp.(b)     13,680,000  
  78,231     Procter & Gamble Co. (The)     6,005,794  
  47,580     Protective Life Corp.     1,810,895  
  154,920     Provident New York BanCorp.     1,400,477  
  100,000     QUALCOMM, Inc.     6,162,000  
  300,000     Questcor Pharmaceuticals, Inc.     9,222,000  
  106,600     Resources Connection, Inc.     1,210,976  
  45,940     Royal Caribbean Cruises Ltd.     1,678,188  
  135,340     Rudolph Technologies, Inc.(b)     1,579,418  
  187,870     SandRidge Energy, Inc.(b)     965,652  
  40,450     Schweitzer-Mauduit International, Inc.     1,629,731  
  300,000     Select Comfort Corp.(b)     6,366,000  
  19,217     Silver Bay Realty Trust Corp., REIT     366,660  
  560,910     Sirius XM Radio, Inc.     1,822,958  
  83,550     SLM Corp.     1,725,308  
  112,690     Spectrum Pharmaceuticals, Inc.     835,033  
  101,180     St. Jude Medical, Inc.     4,170,640  
  31,500     State Street Corp.     1,841,805  
  20,150     Strayer Education, Inc.     954,304  
  30,600     Sunoco Logistics Partners LP     1,900,566  
  116,960     Systemax, Inc.(c)     1,071,354  
  34,239     TAL International Group, Inc.     1,417,495  
  35,911     Targa Resources Partners LP     1,630,359  

Shares         Value  
UNITED STATES (continued)      
  5,923     Terra Nitrogen Co. LP   $ 1,267,226  
  33,720     Tesoro Corp.     1,800,648  
  2,400     Texas Instruments, Inc.     86,904  
  40,350     Thor Industries, Inc.     1,496,582  
  31,580     Time Warner, Inc.     1,887,852  
  39,600     TJX Cos., Inc.     1,931,292  
  37,520     Transmontaigne Partners LP     1,797,208  
  78,040     Tredegar Corp.     2,309,984  
  393,600     Two Harbors Investment Corp., REIT     4,715,328  
  61,520     Unisys Corp.(b)     1,176,878  
  65,779     United Technologies Corp.     6,004,965  
  24,850     United Therapeutics Corp.(b)     1,659,483  
  100,000     UnitedHealth Group, Inc.     5,993,000  
  32,751     UNS Energy Corp.     1,668,991  
  155,100     Vaalco Energy, Inc.(b)     1,042,272  
  571,520     Vonage Holdings Corp.(b)     1,743,136  
  69,010     W&T Offshore, Inc.     806,037  
  13,700     Wal-Mart Stores, Inc.     1,064,764  
  1,200,000     Weatherford International Ltd.(b)     15,348,000  
  150,000     Western Digital Corp.     8,292,000  
  2,540     White Mountains Insurance Group Ltd.     1,468,907  
  28,371     Williams Partners LP     1,550,475  
  17,900     World Acceptance Corp.(b)     1,590,594  
  36,000     WR Berkley Corp.     1,563,120  
  47,900     Yahoo!, Inc.(b)     1,184,567  
              861,450,541  
Total Common Stocks
(Cost $1,454,359,503)
    1,565,172,447  
EXCHANGE TRADED FUNDS — 1.1%        
UNITED STATES — 1.1%        
  264,800     iShares FTSE China 25 Index Fund     9,993,552  
  384,960     iShares MSCI Canada Index Fund     10,786,579  
  100,000     iShares MSCI EAFE Index Fund     6,194,000  
  180,800     iShares MSCI Emerging Markets Index Fund     7,826,832  
  400,000     iShares MSCI Germany Index Fund     10,188,000  
  100,000     iShares MSCI South Korea Index Fund     5,842,000  
  5,000     SPDR Gold Shares     713,850  
  140,000     SPDR S&P 500 ETF Trust     22,355,200  
Total Exchange Traded Funds
(Cost $64,595,046)
    73,900,013  
PREFERRED STOCKS — 0.0%        
UNITED STATES — 0.0%        
  125,000     Fannie Mae     577,688  


19
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
UNITED STATES (continued)      
  150,000     Freddie Mac   $ 715,875  
Total Preferred Stocks
(Cost $3,898,310)
    1,293,563  
         
Principal
Amount
        Value  
BANK LOANS — 0.7%        
UNITED STATES — 0.7%        
$ 1,000,000     AlixPartners LLP, Initial Loan (Second Lien), 9.50%, 11/30/19(e)   $ 1,021,250  
  139,300     AlixPartners LLP, Refinancing Term Loan B-2, 3.25%, 06/30/19(e)     140,737  
  1,980,000     Allison Transmission, Inc., Term B-3 Loan, 3.25%, 08/23/19(e)     2,007,225  
  4,416,930     Asurion LLC, Incremental Tranche B-1 Term Loan, 3.25%, 05/24/19(e)     4,535,242  
  1,718,125     Bausch & Lomb, Inc., Parent Term Loan, 4.25%, 05/17/19(e)     1,726,447  
  1,492,500     Cannery Casino Resorts LLC, Term Loan (First Lien), 4.75%, 06/12/18(c)(e)     1,522,972  
  7,200,000     Cheasapeake Energy Corp., Term Loan, 4.50%, 12/02/17(e)     7,445,254  
  2,194,500     Compass Investors, Inc., Initial Term Loan, 4.00%, 05/04/14(e)     2,219,188  
  2,905,280     Cumulus Media Holdings, Inc., Second Lien Term Loan, 6.00%, 09/16/19(e)     3,014,228  
  1,246,875     Getty Images, Inc., Initial Term Loan, 3.50%, 10/03/19(e)     1,263,825  
  1,226,300     Infor US, Inc., Tranche B-2 Term Loan, 4.00%, 04/05/18(e)     1,235,115  
  1,250,000     Kronos, Inc., Second Lien Term Loan, 8.50%, 04/26/20(e)     1,318,750  
  5,273,500     McJunkin Red Man Corp., Term Loan, 5.00%, 10/24/19(e)     5,359,194  
  847,875     MGM Resorts International, Term Loan B, 3.25%, 12/20/19(e)     860,239  
  3,000,000     Nuveen Investments, Inc., Second Lien Term Loan, 0.14%, 02/23/19(e)     3,060,000  
  2,244,375     Peninsula Gaming LLC, Term B Loan, 6.75%, 07/03/17(e)     2,274,299  

Principal
Amount
        Value  
UNITED STATES (continued)        
$ 4,150,000     Quintiles Transnational Corp., Term Loan, 7.50%, 02/21/17(e)   $ 4,243,375  
  1,044,890     RBS Global, Inc./Rexnord LLC, Term Loan B, 3.50%, 04/01/18(e)     1,052,936  
  1,240,641     Savers, Inc, New Term Loan, 3.75%, 07/09/19(e)     1,258,217  
  1,500,000     Station Casinos, Inc., Term Loan B, 1.00%, 02/13/20(e)     1,517,187  
  266,053     Valeant Pharmaceuticals International, Inc., Series D-1 Tranche B Term Loan, 2.75%, 02/13/19(e)     268,714  
  2,977,500     WideOpenWest Finance LLC, Term Loan, 3.75%, 07/12/18(e)     3,003,967  
Total Bank Loans
(Cost $48,886,793)
    50,348,361  
CORPORATE BONDS — 20.8%        
AUSTRALIA — 0.1%        
  3,000,000     FMG Resources Pty Ltd., 8.25%, 11/01/19(f)     3,300,000  
  1,050,000     FMG Resources Pty Ltd., 6.88%, 04/01/22(f)     1,126,125  
              4,426,125  
AUSTRIA — 0.0%        
  5,218,800 (g)     A-TEC Industries AG, Cnv., 2.75%, 05/10/14(b)(c)(h)     0  
  8,000,000 (g)     A-TEC Industries AG, Cnv., 8.75%, 10/27/14(b)(c)(h)     0  
              0  
BELGIUM — 0.1%        
  4,000,000     Sofina SA, Cnv., 1.00%, 09/19/16(n)     3,948,000  
BERMUDA — 0.1%        
  7,000,000 (i)   Celestial Nutrifoods Ltd., Cnv., 15.75%, 06/12/12(b)(c)(d)(h)(j)     1,136,640  
  5,500,000     Seadrill Ltd., 5.63%, 09/15/17(f)     5,623,750  
              6,760,390  
CANADA — 0.7%        
  1,500,000     Cascades, Inc., 7.75%, 12/15/17     1,601,250  
  1,250,000     Cascades, Inc., 7.88%, 01/15/20     1,350,000  
  8,500,000     Detour Gold Corp., Cnv., 5.50%, 11/30/17(c)     7,575,625  
  4,750,000     Mood Media Corp., 9.25%, 10/15/20(f)     4,726,250  


20
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
CANADA (continued)      
$ 4,000,000     PetroBakken Energy Ltd., 8.63%, 02/01/20(f)   $ 4,120,000  
  7,000,000     Petrominerales Ltd., Cnv., 3.25%, 06/12/17(n)     5,650,400  
  1,750,000     Precision Drilling Corp., 6.63%, 11/15/20     1,885,625  
  3,250,000     Precision Drilling Corp., 6.50%, 12/15/21     3,518,125  
  1,164,000     Quebecor Media, Inc., 7.75%, 03/15/16     1,185,825  
  4,500,000     Quebecor Media, Inc., 5.75%, 01/15/23(f)     4,691,250  
  7,000,000     Silver Standard Resources, Inc., Cnv., 2.88%, 02/01/33(f)     5,341,875  
  3,000,000     Telesat Canada/Telesat LLC, 6.00%, 05/15/17(f)     3,195,000  
  2,500,000     Videotron Ltd., 9.13%, 04/15/18     2,631,250  
              47,472,475  
CAYMAN ISLANDS — 0.2%        
  4,000,000     Polarcus Ltd., Cnv., 2.88%, 04/27/16     3,950,800  
  4,050,000     UPCB Finance V Ltd., 7.25%, 11/15/21(f)     4,515,750  
  2,950,000     UPCB Finance VI Ltd., 6.88%, 01/15/22(f)     3,237,625  
              11,704,175  
FRANCE — 0.1%        
  3,175,000     Cie Generale de Geophysique-Veritas, 6.50%, 06/01/21     3,365,500  
  225,000     Cie Generale de Geophysique-Veritas, 9.50%, 05/15/16     236,812  
  1,100,000     Cie Generale de Geophysique-Veritas, 7.75%, 05/15/17     1,133,000  
  125,000 (g)   Faurecia SA, Cnv., 4.50%, 01/01/15     3,338,469  
              8,073,781  
GERMANY — 0.0%        
  3,500,000     Unitymedia Hessen GmbH & Co. KG/Unitymedia NRW GmbH, 5.50%, 01/15/23(f)     3,622,500  
HONG KONG — 0.0%        
  9,700,000     China Milk Products Group Ltd., Cnv., 12.86%, 01/05/12(b)(c)(d)(h)(j)     1,133,154  
IRELAND — 0.1%        
  3,000,000     Ardagh Packaging Finance Plc, 9.13%, 10/15/20(f)     3,390,000  

 

Principal
Amount
        Value  
IRELAND (continued)      
$ 600,000     Ardagh Packaging Finance Plc/Ardagh MP Holdings USA, Inc., 7.38%, 10/15/17(f)   $ 660,750  
  2,900,000     Ardagh Packaging Finance Plc/Ardagh MP Holdings USA, Inc., 9.13%, 10/15/20(f)     3,262,500  
              7,313,250  
LUXEMBOURG — 0.2%        
  4,732,000     ArcelorMittal, 5.75%, 08/05/20     5,005,784  
  500,000     Holcim US Finance Sarl & Cie SCS, 6.00%, 12/30/19(f)     587,328  
  2,475,000     Intelsat Jackson Holdings SA, 7.25%, 10/15/20     2,747,250  
  1,700,000     Intelsat Jackson Holdings SA, 7.50%, 04/01/21     1,916,750  
  3,908,000     Intelsat Luxembourg SA, 11.25%, 02/04/17     4,162,020  
  1,250,000     Silver II Borrower/Silver II US Holdings LLC, 7.75%, 12/15/20(f)     1,340,625  
              15,759,757  
NETHERLANDS — 0.3%        
  8,000,000 (g)   Celesio Finance BV, Cnv., 3.75%, 10/29/14     10,846,404  
  3,750,000     Sensata Technologies BV, 6.50%, 05/15/19(f)     4,087,500  
  5,000,000 (g)   Volkswagen International Finance NV, Cnv., 5.50%, 11/09/15(f)     6,781,702  
              21,715,606  
PUERTO RICO — 0.1%        
  4,250,000     Warner Chilcott Co. LLC/Warner Chilcott Finance LLC, 7.75%, 09/15/18     4,611,250  
SOUTH AFRICA — 0.2%        
  119,000,000 (g)   Steinhoff International Holdings Ltd., Cnv., 9.63%, 07/20/15     16,888,226  
SOUTH KOREA — 0.1%        
  28,890,000 (g)   Export-Import Bank of Korea, 1.45%, 05/19/14(f)     4,463,540  
SWITZERLAND — 0.0%        
  2,500,000     Dufry Finance SCA, 5.50%, 10/15/20(f)     2,608,620  
UNITED KINGDOM — 0.2%        
  3,600,000 (g)   TUI Travel Plc, Cnv., 4.90%, 04/27/17     6,249,127  


21
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
UNITED KINGDOM (continued)      
$ 1,700,000     Virgin Media Finance Plc, 4.88%, 02/15/22   $ 1,734,000  
  2,600,000     Virgin Media Finance Plc, 5.25%, 02/15/22     2,652,000  
              10,635,127  
UNITED STATES — 18.3%        
  600,000     Accuray, Inc., Cnv., 3.75%, 08/01/16     522,750  
  2,350,000     ADS Waste Holdings, Inc., 8.25%, 10/01/20(f)     2,567,375  
  15,000,000     Alere, Inc., Cnv., 3.00%, 05/15/16     14,868,750  
  1,500,000     Allbritton Communications Co., 8.00%, 05/15/18     1,627,500  
  3,250,000     Alliance Data Systems Corp., 5.25%, 12/01/17(f)     3,388,125  
  4,250,000     Alliance Data Systems Corp., 6.38%, 04/01/20(f)     4,590,000  
  2,250,000     Allison Transmission, Inc., 7.13%, 05/15/19(f)     2,444,062  
  2,250,000     AMC Networks, Inc., 7.75%, 07/15/21     2,587,500  
  2,750,000     AMC Networks, Inc., 4.75%, 12/15/22     2,825,625  
  5,250,000     AmeriGas Finance LLC/AmeriGas Finance Corp., 7.00%, 05/20/22     5,866,875  
  1,750,000     AmeriGas Partners LP/AmeriGas Finance Corp., 6.25%, 08/20/19     1,894,375  
  7,750,000     Ameristar Casinos, Inc., 7.50%, 04/15/21     8,641,250  
  14,000,000     Annaly Capital Management, Inc., Cnv., REIT, 5.00%, 05/15/15     14,533,750  
  1,000,000     Apollo Investment Corp., Cnv., 5.75%, 01/15/16     1,066,875  
  6,000,000     Ares Capital Corp., Cnv., 5.13%, 06/01/16     6,435,000  
  4,750,000     Ashtead Capital, Inc., 6.50%, 07/15/22(f)     5,236,875  
  4,000,000     Avis Budget Car Rental LLC/Avis Budget Finance, Inc., 8.25%, 01/15/19     4,445,000  
  1,350,000     Belden, Inc., 6.50%, 10/01/20(f)     1,410,750  
  4,400,000     Belden, Inc., 5.50%, 09/01/22(f)     4,532,000  
  3,250,000     Bill Barrett Corp., 7.63%, 10/01/19     3,542,500  
  1,250,000     Bill Barrett Corp., 7.00%, 10/15/22     1,343,750  
  5,650,000     Biomet, Inc., 6.50%, 08/01/20(f)     6,158,500  
Principal
Amount
        Value  
UNITED STATES (continued)      
$ 5,000,000     Blucora, Inc., Cnv., 4.25%, 04/01/19(f)   $ 5,131,250  
  1,250,000     Boise Paper Holdings LLC/Boise Co.-Issuer Co., 8.00%, 04/01/20     1,403,125  
  1,250,000     Boise Paper Holdings LLC/Boise Finance Co., 9.00%, 11/01/17     1,346,875  
  3,200,000     Boyd Gaming Corp., 7.13%, 02/01/16     3,240,000  
  2,050,000     Boyd Gaming Corp., 9.13%, 12/01/18     2,275,500  
  3,050,000     BroadSoft, Inc., Cnv., 1.50%, 07/01/18     3,095,750  
  1,500,000     Building Materials Corp. of America, 6.75%, 05/01/21(f)     1,661,250  
  900,000     Cablevision Systems Corp., 7.75%, 04/15/18     1,024,875  
  1,000,000     Cablevision Systems Corp., 8.00%, 04/15/20     1,150,000  
  5,600,000     Cablevision Systems Corp., 5.88%, 09/15/22     5,670,000  
  10,000,000     Cadence Design Systems, Inc., Series B, Cnv., 1.50%, 12/15/13     10,025,000  
  1,700,000     Calpine Corp., 7.88%, 07/31/20(f)     1,925,250  
  4,800,000     Calpine Corp., 7.50%, 02/15/21(f)     5,424,000  
  5,750,000     Catalent Pharma Solutions, Inc., 7.88%, 10/15/18(f)     5,857,812  
  1,000,000     CBIZ, Inc., Cnv., 4.88%, 10/01/15(f)     1,100,625  
  600,000     CCO Holdings LLC/CCO Holdings Capital Corp., 7.00%, 01/15/19     651,750  
  1,000,000     CCO Holdings LLC/CCO Holdings Capital Corp., 7.38%, 06/01/20     1,122,500  
  3,250,000     CCO Holdings LLC/CCO Holdings Capital Corp., 6.50%, 04/30/21     3,526,250  
  1,225,000     CCO Holdings LLC/CCO Holdings Capital Corp., 6.63%, 01/31/22     1,347,500  
  2,425,000     CCO Holdings LLC/CCO Holdings Capital Corp., 5.25%, 09/30/22     2,470,469  
  1,300,000     CDW LLC/CDW Finance Corp., 8.00%, 12/15/18     1,457,625  
  4,200,000     CDW LLC/CDW Finance Corp., 8.50%, 04/01/19     4,709,250  
  4,000,000     Cedar Fair LP/Canada’s Wonderland Co./Magnum Management Corp., 5.25%, 03/15/21(f)     4,090,000  


22
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
UNITED STATES (continued)      
$ 500,000     Cemex Finance LLC, 9.50%, 12/14/16(f)   $ 537,500  
  1,000,000     Central Garden and Pet Co., 8.25%, 03/01/18     1,046,250  
  5,200,000     CenturyLink, Inc., 5.80%, 03/15/22     5,504,205  
  1,000,000     CenturyLink, Inc., Series S, 6.45%, 06/15/21     1,107,146  
  8,000,000     Cequel Communications Escrow 1 LLC/Cequel Communications Escrow Capital Corp., 6.38%, 09/15/20(f)     8,520,000  
  250,000     Chaparral Energy, Inc., 8.25%, 09/01/21     282,500  
  2,000,000     Chaparral Energy, Inc., 7.63%, 11/15/22     2,210,000  
  6,000,000     Charles River Laboratories International, Inc., Cnv., 2.25%, 06/15/13     5,992,561  
  3,500,000     Choice Hotels International, Inc., 5.75%, 07/01/22     3,920,000  
  1,350,000     CHS/Community Health Systems, Inc., 5.13%, 08/15/18     1,444,500  
  19,000,000     Ciena Corp. Cnv., 0.88%, 06/15/17     17,337,500  
  4,250,000     Cimarex Energy Co., 5.88%, 05/01/22     4,632,500  
  2,500,000     Cincinnati Bell, Inc., 8.25%, 10/15/17     2,675,000  
  950,000     Cincinnati Bell, Inc., 8.75%, 03/15/18     969,000  
  1,200,000     CIT Group, Inc., 4.25%, 08/15/17     1,272,000  
  1,150,000     CIT Group, Inc., 5.25%, 03/15/18     1,270,750  
  1,650,000     CIT Group, Inc., 5.00%, 08/15/22     1,845,243  
  2,000,000     Clean Harbors, Inc., 5.25%, 08/01/20     2,115,000  
  1,500,000     Clean Harbors, Inc., 5.13%, 06/01/21(f)     1,571,250  
  7,000,000     CommScope, Inc., 8.25%, 01/15/19(f)     7,647,500  
  9,500,000     Comtech Telecommunications Corp., Cnv., 3.00%, 05/01/29(c)     9,695,937  
  1,000,000     Crown Castle International Corp., 7.13%, 11/01/19     1,097,500  
  5,750,000     Crown Castle International Corp., 5.25%, 01/15/23     6,023,125  
  500,000     CSC Holdings LLC, 6.75%, 11/15/21     571,250  
Principal
Amount
        Value  
UNITED STATES (continued)  
$ 9,500,000     CSG Systems International, Inc., Cnv., 3.00%, 03/01/17(f)   $ 10,770,625  
  5,000,000     Cumulus Media Holdings, Inc., 7.75%, 05/01/19     5,100,000  
  3,250,000     DaVita, Inc., 6.63%, 11/01/20     3,562,812  
  4,250,000     DaVita, Inc., 5.75%, 08/15/22     4,526,250  
  3,000,000     Del Monte Corp., 7.63%, 02/15/19     3,198,750  
  2,250,000     Delphi Corp., 6.13%, 05/15/21     2,517,187  
  7,000,000     DFC Global Corp., Cnv., 3.25%, 04/15/17(f)     6,912,500  
  7,000,000     Digital River, Inc., Cnv., 2.00%, 11/01/30     6,855,625  
  4,950,000     DISH DBS Corp., 6.75%, 06/01/21     5,346,000  
  4,050,000     DISH DBS Corp., 5.88%, 07/15/22     4,131,000  
  500,000     DISH DBS Corp., 5.00%, 03/15/23(f)     485,000  
  750,000     Eagle Rock Energy Partners LP/Eagle Rock Energy Finance Corp., 8.38%, 06/01/19     808,125  
  18,000,000     Electronic Arts, Inc., Cnv., 0.75%, 07/15/16     17,527,500  
  1,000,000     Endo Health Solutions, Inc., 7.00%, 07/15/19     1,095,000  
  1,500,000     Endo Health Solutions, Inc., 7.00%, 12/15/20     1,646,250  
  2,000,000     Endo Health Solutions, Inc., 7.25%, 01/15/22     2,192,500  
  3,000,000     Equinix, Inc., 7.00%, 07/15/21     3,397,500  
  4,250,000     Exterran Holdings, Inc., 7.25%, 12/01/18     4,584,687  
  1,500,000     Ferrellgas LP/Ferrellgas Finance Corp., 9.13%, 10/01/17     1,605,000  
  1,000,000     Ferrellgas LP/Ferrellgas Finance Corp., 6.50%, 05/01/21     1,052,500  
  5,000,000     Forest City Enterprises, Inc., Cnv., 4.25%, 08/15/18     5,646,875  
  1,841,000     Frac Tech Services LLC/Frac Tech Finance, Inc., 8.13%, 11/15/18(f)     1,969,870  
  2,652,000     Freescale Semiconductor, Inc., 10.13%, 03/15/18(f)     2,937,090  
  900,000     Fresenius Medical Care US Finance II, Inc., 5.63%, 07/31/19(f)     1,005,750  


23
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
UNITED STATES (continued)      
$ 3,400,000     Fresenius Medical Care US Finance II, Inc., 5.88%, 01/31/22(f)   $ 3,893,000  
  2,950,000     Fresenius Medical Care US Finance, Inc., 5.75%, 02/15/21(f)     3,355,625  
  1,100,000     Frontier Communications Corp., 7.13%, 03/15/19     1,201,750  
  2,750,000     Frontier Communications Corp., 8.50%, 04/15/20     3,162,500  
  1,900,000     Frontier Communications Corp., 7.13%, 01/15/23     1,966,500  
  5,000,000     FTI Consulting, Inc., 6.75%, 10/01/20     5,443,750  
  799,000     FTI Consulting, Inc., 6.00%, 11/15/22(f)     852,933  
  2,500,000     GCI, Inc., 6.75%, 06/01/21     2,387,500  
  1,650,000     General Cable Corp., 5.75%, 10/01/22(f)     1,707,750  
  14,500,000     General Cable Corp., Cnv., 0.88%, 11/15/13     14,472,812  
  1,500,000     GenOn Americas Generation LLC, 8.50%, 10/01/21     1,777,500  
  1,150,000     Geo Group, Inc. (The), 7.75%, 10/15/17     1,224,750  
  2,850,000     Geo Group, Inc. (The), 6.63%, 02/15/21     3,156,375  
  3,300,000     Goodyear Tire & Rubber Co. (The), 8.75%, 08/15/20     3,836,250  
  700,000     Goodyear Tire & Rubber Co. (The), 7.00%, 05/15/22     756,875  
  4,000,000     Greenbrier Cos., Inc., Cnv., 3.50%, 04/01/18     4,077,500  
  3,750,000     Griffey Intermediate, Inc./Griffey Finance Sub LLC, 7.00%, 10/15/20(f)     3,796,875  
  2,750,000     Griffon Corp., 7.13%, 04/01/18     2,990,625  
  7,710,000     Griffon Corp., Cnv., 4.00%, 01/15/17(c)(f)     7,902,750  
  4,500,000     H&E Equipment Services, Inc., 7.00%, 09/01/22     4,983,750  
  4,000,000     Hanesbrands, Inc., 6.38%, 12/15/20     4,425,000  
  1,750,000     HCA Holdings, Inc., 6.25%, 02/15/21     1,916,250  
  1,000,000     HCA Holdings, Inc., 7.75%, 05/15/21     1,133,750  
  1,750,000     HCA, Inc., 6.50%, 02/15/20     2,021,250  
  1,100,000     HCA, Inc., 7.50%, 02/15/22     1,314,500  
  2,500,000     HCA, Inc., 5.88%, 03/15/22     2,775,000  
Principal
Amount
        Value  
UNITED STATES (continued)      
$ 2,050,000     HCA, Inc., 4.75%, 05/01/23   $ 2,137,125  
  350,000     HCA, Inc., 5.88%, 05/01/23     380,625  
  3,500,000     HDTFS, Inc., 6.25%, 10/15/22     3,915,625  
  3,000,000     Helix Energy Solutions Group, Inc., 9.50%, 01/15/16(f)     3,086,250  
  3,265,000     Hercules, Inc., Cnv., 6.50%, 06/30/29(c)     2,760,884  
  4,000,000     Hertz Corp. (The), 5.88%, 10/15/20     4,370,000  
  3,000,000     Hiland Partners LP/Hiland Partners Finance Corp., 7.25%, 10/01/20(f)     3,337,500  
  4,500,000     Holly Energy Partners LP/Holly Energy Finance Corp., 6.50%, 03/01/20     4,860,000  
  17,500,000     Hologic, Inc., Cnv., STEP, 2.00%, 03/01/42     17,839,063  
  10,000,000     Hologic, Inc., Cnv., STEP, 2.00%, 12/15/43     10,587,500  
  1,250,000     Hughes Satellite Systems Corp., 6.50%, 06/15/19     1,390,625  
  6,250,000     Hughes Satellite Systems Corp., 7.63%, 06/15/21     7,171,875  
  6,500,000     Iconix Brand Group, Inc., Cnv., 2.50%, 06/01/16     7,507,500  
  15,000,000     Illumina, Inc., Cnv., 0.25%, 03/15/16(f)     15,581,250  
  5,000,000     Infor US, Inc., 9.38%, 04/01/19     5,700,000  
  2,000,000     Ingles Markets, Inc., 8.88%, 05/15/17     2,097,500  
  20,000,000     Integra Lifesciences Holdings Corp., 1.63%, 12/15/16(c)     19,575,000  
  1,850,000     Interactive Data Corp., 10.25%, 08/01/18     2,104,375  
  2,000,000     International Game Technology, 3.25%, 05/01/14     2,167,500  
  3,550,000     Iron Mountain, Inc., 5.75%, 08/15/24     3,656,500  
  2,400,000     Isle of Capri Casinos, Inc., 7.75%, 03/15/19     2,640,000  
  3,600,000     Isle of Capri Casinos, Inc., 8.88%, 06/15/20     3,960,000  
  3,000,000     Jarden Corp., 7.50%, 05/01/17     3,420,000  
  1,000,000     Jarden Corp., 7.50%, 01/15/20     1,098,750  
  2,199,000     Jazz Technologies, Inc., 8.00%, 06/30/15     2,023,080  
  1,650,000     JMC Steel Group, 8.25%, 03/15/18(f)     1,726,313  


24
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
UNITED STATES (continued)      
$ 4,900,000     Jo-Ann Stores, Inc., 8.13%, 03/15/19(f)   $ 5,230,750  
  3,000,000     Key Energy Services, Inc., 6.75%, 03/01/21     3,135,000  
  17,000,000     L-3 Communications Holdings, Inc., Cnv., 3.00%, 08/01/35(c)     17,276,250  
  1,000,000     Lamar Media Corp., 7.88%, 04/15/18     1,092,500  
  1,760,000     Lamar Media Corp., 5.88%, 02/01/22     1,925,000  
  3,500,000     Lamar Media Corp., 5.00%, 05/01/23     3,561,250  
  5,750,000     Level 3 Financing, Inc., 8.13%, 07/01/19     6,339,375  
  2,000,000     Level 3 Financing, Inc., 7.00%, 06/01/20(f)     2,115,000  
  2,500,000     Levi Strauss & Co., 7.63%, 05/15/20     2,778,125  
  3,500,000     Levi Strauss & Co., 6.88%, 05/01/22     3,906,875  
  17,000,000     Liberty Media LLC, Cnv., 4.00%, 11/15/29     12,155,000  
  33,500,000     Liberty Media LLC, Cnv., 3.75%, 02/15/30     23,031,250  
  2,000,000     LIN Television Corp., 6.38%, 01/15/21(f)     2,150,000  
  1,600,000     LINN Energy LLC/LINN Energy Finance Corp., 6.50%, 05/15/19     1,696,000  
  3,900,000     LINN Energy LLC/LINN Energy Finance Corp., 7.75%, 02/01/21     4,270,500  
  16,500,000     Live Nation Entertainment, Inc., Cnv., 2.88%, 07/15/27     16,603,125  
  3,250,000     Lynx I Corp., 5.38%, 04/15/21(f)     3,469,375  
  950,000     Lynx II Corp., 6.38%, 04/15/23(f)     1,028,375  
  1,000,000     MarkWest Energy Partners LP/MarkWest Energy Finance Corp., 6.75%, 11/01/20     1,105,000  
  974,000     MarkWest Energy Partners LP/MarkWest Energy Finance Corp., 6.25%, 06/15/22     1,083,575  
  2,500,000     MarkWest Energy Partners LP/MarkWest Energy Finance Corp., 4.50%, 07/15/23     2,606,250  
  4,250,000     Mead Products LLC/ACCO Brands Corp., 6.75%, 04/30/20(f)     4,515,625  
Principal
Amount
        Value  
UNITED STATES (continued)      
$ 2,400,000     MedAssets, Inc., 8.00%, 11/15/18   $ 2,646,000  
  4,500,000     Mediacom Broadband LLC/Mediacom Broadband Corp., 6.38%, 04/01/23     4,725,000  
  2,000,000     Mediacom LLC/Mediacom Capital Corp., 9.13%, 08/15/19     2,235,000  
  1,000,000     Mediacom LLC/Mediacom Capital Corp., 7.25%, 02/15/22     1,105,000  
  1,750,000     Mentor Graphics Corp., Cnv., 4.00%, 04/01/31     2,063,906  
  12,000,000     Meritor, Inc., Cnv., STEP, 4.00%, 02/15/27     10,620,000  
  1,000,000     MGM Resorts International, 7.50%, 06/01/16     1,127,500  
  900,000     MGM Resorts International, 7.63%, 01/15/17     1,021,500  
  2,000,000     MGM Resorts International, 11.38%, 03/01/18     2,585,000  
  2,500,000     MGM Resorts International, 6.75%, 10/01/20(f)     2,743,750  
  1,000,000     MGM Resorts International, 7.75%, 03/15/22     1,142,500  
  3,250,000     Michael Foods, Inc., 9.75%, 07/15/18     3,644,063  
  2,016,000     Michaels Stores, Inc., 11.38%, 11/01/16     2,111,780  
  2,750,000     Michaels Stores, Inc., 7.75%, 11/01/18     3,021,563  
  9,000,000     Micron Technology, Inc., Cnv., 1.88%, 06/01/27     9,410,625  
  4,800,000     Morgans Hotel Group Co., Cnv., 2.38%, 10/15/14(c)     4,656,000  
  3,250,000     MPT Operating Partnership LP/MPT Finance Corp., REIT, 6.88%, 05/01/21     3,542,500  
  3,600,000     MultiPlan, Inc., 9.88%, 09/01/18(f)     4,054,500  
  1,000,000     NCR Corp., 4.63%, 02/15/21(f)     1,000,000  
  4,000,000     NCR Corp., 5.00%, 07/15/22(f)     4,050,000  
  3,850,000     Nexstar Broadcasting, Inc., 6.88%, 11/15/20(f)     4,100,250  
  150,000     Nexstar Broadcasting, Inc./Mission Broadcasting, Inc., 8.88%, 04/15/17     164,250  
  1,250,000     Nielsen Finance LLC/Nielsen Finance Co., 7.75%, 10/15/18     1,392,188  
  2,000,000     NRG Energy, Inc., 7.88%, 05/15/21     2,265,000  


25
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
UNITED STATES (continued)  
$ 5,500,000     NRG Energy, Inc., 6.63%, 03/15/23(f)   $ 5,995,000  
  6,000,000     Nuance Communications, Inc., 5.38%, 08/15/20(f)     6,240,000  
  13,000,000     Nuance Communications, Inc., Cnv., 2.75%, 11/01/31     13,576,875  
  19,085,000     NuVasive, Inc., Cnv., 2.75%, 07/01/17     18,417,025  
  2,600,000     Oasis Petroleum, Inc., 7.25%, 02/01/19     2,821,000  
  500,000     Oasis Petroleum, Inc., 6.50%, 11/01/21     550,000  
  1,400,000     Oasis Petroleum, Inc., 6.88%, 01/15/23     1,554,000  
  1,500,000     Oil States International, Inc., 6.50%, 06/01/19     1,612,500  
  1,935,000     Omega Healthcare Investors, Inc., 6.75%, 10/15/22     2,152,688  
  11,000,000     Omnicare, Inc., Cnv., 3.25%, 12/15/35     11,220,000  
  19,500,000     Owens-Brockway Glass Container, Inc., Cnv., 3.00%, 06/01/15(f)     19,743,750  
  5,150,000     Peninsula Gaming LLC/Peninsula Gaming Corp., 8.38%, 02/15/18(f)     5,562,000  
  3,000,000     Penn Virginia Resource Partners LP/Penn Virginia Resource Finance Corp., 8.25%, 04/15/18     3,202,500  
  2,000,000     Penn Virginia Resource Partners LP/Penn Virginia Resource Finance Corp. II, 8.38%, 06/01/20     2,162,500  
  6,500,000     Penske Automotive Group, Inc., 5.75%, 10/01/22(f)     6,881,875  
  1,850,000     PH Glatfelter Co., 5.38%, 10/15/20     1,951,750  
  2,000,000     Pinnacle Entertainment, Inc., 8.63%, 08/01/17     2,115,000  
  3,335,000     Pinnacle Entertainment, Inc., 8.75%, 05/15/20     3,693,513  
  1,150,000     PolyOne Corp., 7.38%, 09/15/20     1,290,875  
  350,000     PolyOne Corp., 5.25%, 03/15/23(f)     369,250  
  1,450,000     Prestige Brands, Inc., 8.25%, 04/01/18     1,578,688  
  750,000     Prestige Brands, Inc., 8.13%, 02/01/20     859,688  
  6,000,000     Prospect Capital Corp., Cnv., 5.50%, 08/15/16     6,412,500  
  10,000,000     Prospect Capital Corp., Cnv., 5.75%, 03/15/18(f)     10,525,000  
Principal
Amount
        Value  
UNITED STATES (continued)      
5,000,000  QEP Resources, Inc., 5.38%, 10/01/22   $ 5,325,000  
  1,000,000     Qwest Capital Funding, Inc., 6.50%, 11/15/18(c)     1,129,894  
  300,000     Qwest Corp., 6.75%, 12/01/21     353,074  
  1,750,000     RBS Global, Inc./Rexnord LLC, 8.50%, 05/01/18     1,916,250  
  4,000,000     Regency Energy Partners LP/Regency Energy Finance Corp., 6.50%, 07/15/21     4,480,000  
  2,000,000     Regency Energy Partners LP/Regency Energy Finance Corp., 5.50%, 04/15/23     2,190,000  
  2,500,000     Rent-A-Center, Inc., 6.63%, 11/15/20     2,737,500  
  2,850,000     Reynolds Group Issuer, Inc./Reynolds Group Issuer LLC/Reynolds Group Issuer (Luxembourg) SA, 8.50%, 05/15/18     3,035,250  
  2,550,000     Reynolds Group Issuer, Inc./Reynolds Group Issuer LLC/Reynolds Group Issuer (Luxembourg) SA, 9.00%, 04/15/19     2,754,000  
  1,400,000     Reynolds Group Issuer, Inc./Reynolds Group Issuer LLC/Reynolds Group Issuer (Luxembourg) SA, 9.88%, 08/15/19     1,571,500  
  1,700,000     Reynolds Group Issuer, Inc./Reynolds Group Issuer LLC/Reynolds Group Issuer (Luxembourg) SA, 5.75%, 10/15/20     1,780,750  
  2,000,000     Reynolds Group Issuer, Inc./Reynolds Group Issuer LLC/Reynolds Group Issuer (Luxembourg) SA, 8.25%, 02/15/21     2,122,500  
  5,000,000     Rockwood Specialties Group, Inc., 4.63%, 10/15/20     5,275,000  
  7,000,000     Rovi Corp., Cnv., 2.63%, 02/15/40     7,135,625  
  7,000,000     Royal Gold, Inc., Cnv., 2.88%, 06/15/19     6,868,750  
  3,000,000     RSI Home Products, Inc., 6.88%, 03/01/18(f)     3,131,250  
  12,000,000     Salix Pharmaceuticals Ltd., Cnv., 1.50%, 03/15/19     12,990,000  
  1,000,000     Sally Holdings LLC/Sally Capital, Inc., 6.88%, 11/15/19     1,118,750  


26
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
(Unaudited)
 

 

Principal
Amount
        Value  
UNITED STATES (continued)      
$ 2,250,000     Sally Holdings LLC/Sally Capital, Inc., 5.75%, 06/01/22   $ 2,424,375  
  31,785,000     Savient Pharmaceuticals, Inc., STEP, 3.00%, 05/09/19(c)(d)(f)     18,276,375  
  1,270,000     SBA Communications Corp., 5.63%, 10/01/19(f)     1,336,675  
  5,100,000     SBA Telecommunications, Inc., 5.75%, 07/15/20(f)     5,431,500  
  1,500,000     Scientific Games International, Inc., 9.25%, 06/15/19     1,653,750  
  3,000,000     Scientific Games International, Inc., 6.25%, 09/01/20     3,082,500  
  500,000     SEACOR Holdings, Inc., 7.38%, 10/01/19     545,031  
  4,000,000     SEACOR Holdings, Inc., Cnv., 2.50%, 12/15/27(f)     4,372,500  
  6,250,000     Sequa Corp., 7.00%, 12/15/17(f)     6,343,750  
  4,250,000     SESI LLC, 7.13%, 12/15/21     4,834,375  
  12,000,000     ShengdaTech, Inc., Cnv., 6.50%, 12/15/15(b)(c)(d)(f)(h)     3,600,000  
  3,000,000     Sinclair Television Group, Inc., 6.13%, 10/01/22(f)     3,180,000  
  6,250,000     Sirius XM Radio, Inc., 5.25%, 08/15/22(f)     6,453,125  
  3,500,000     Spectrum Brands Escrow Corp., 6.38%, 11/15/20(f)     3,823,750  
  3,750,000     Spectrum Brands, Inc., 6.75%, 03/15/20     4,087,500  
  1,250,000     Sprint Nextel Corp., 7.00%, 03/01/20(f)     1,421,875  
  3,300,000     Sprint Nextel Corp., 7.00%, 08/15/20     3,613,500  
  3,950,000     Sprint Nextel Corp., 6.00%, 11/15/22     4,117,875  
  1,500,000     Starwood Property Trust, Inc., Cnv., REIT, 4.55%, 03/01/18     1,661,250  
  6,500,000     Starz LLC/Starz Finance Corp., 5.00%, 09/15/19     6,784,375  
  1,550,000     Station Casinos LLC, 7.50%, 03/01/21(f)     1,635,250  
  18,700,000     Stewart Enterprises, Inc., Cnv., 3.13%, 07/15/14     19,424,625  
  11,000,000     Stone Energy Corp., Cnv., 1.75%, 03/01/17(f)     10,106,250  
  2,793,000     Suburban Propane Partners LP/Suburban Energy Finance Corp., 7.50%, 10/01/18     3,044,370  
Principal
Amount
        Value  
UNITED STATES (continued)        
$ 3,324,000     Suburban Propane Partners LP/Suburban Energy Finance Corp., 7.38%, 08/01/21   $ 3,697,950  
  350,000     SunGard Data Systems, Inc., 7.38%, 11/15/18     378,000  
  4,775,000     SunGard Data Systems, Inc., 6.63%, 11/01/19(f)     5,079,406  
  3,125,000     SunGard Data Systems, Inc., 7.63%, 11/15/20     3,453,125  
  5,000,000     TeleCommunication Systems, Inc., Cnv., 4.50%, 11/01/14(c)(f)     4,800,000  
  650,000     Tenet Healthcare Corp., 6.25%, 11/01/18     732,875  
  250,000     Tenet Healthcare Corp., 6.75%, 02/01/20     271,250  
  6,850,000     Tenet Healthcare Corp., 8.00%, 08/01/20     7,706,250  
  13,000,000     TIBCO Software, Inc., Cnv., 2.25%, 05/01/32(f)     12,675,000  
  4,800,000     Titan Machinery, Inc., Cnv., 3.75%, 05/01/19(f)     4,623,000  
  11,575,000     Tower Group, Inc., Cnv., 5.00%, 09/15/14     12,269,500  
  2,100,000     Toys R US Property Co. I LLC, 10.75%, 07/15/17     2,244,375  
  2,900,000     Toys R US Property Co. II LLC, 8.50%, 12/01/17     3,113,875  
  1,400,000     TransDigm, Inc., 7.75%, 12/15/18     1,550,500  
  1,600,000     TransDigm, Inc., 5.50%, 10/15/20(f)     1,708,000  
  2,000,000     TransUnion Holding Co., Inc., 8.13% cash or 8.88% payment-in-kind interest, 06/15/18(f)(k)     2,150,000  
  4,000,000     TransUnion Holding Co., Inc., 9.63%, 06/15/18     4,390,000  
  1,000,000     TransUnion LLC/TransUnion Financing Corp., 11.38%, 06/15/18     1,145,000  
  7,000,000     TTM Technologies, Inc., Cnv., 3.25%, 05/15/15     6,965,000  
  1,500,000     TW Telecom Holdings, Inc., 8.00%, 03/01/18     1,627,500  
  250,000     TW Telecom Holdings, Inc., 5.38%, 10/01/22     261,875  
  2,925,000     Unit Corp., 6.63%, 05/15/21     3,129,750  
  1,600,000     United Rentals North America, Inc., 7.38%, 05/15/20     1,812,000  
  4,900,000     United Rentals North America, Inc., 7.63%, 04/15/22     5,622,750  
  10,000,000     United States Steel Corp., Cnv., 4.00%, 05/15/14     10,243,750  


27
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
(Unaudited)
 

 

Principal
Amount
        Value  
UNITED STATES (continued)        
$ 2,000,000     United States Steel Corp., Cnv., 2.75%, 04/01/19   $ 2,015,000  
  4,000,000     Universal Hospital Services, Inc., 7.63%, 08/15/20     4,330,000  
  1,650,000     Universal Hospital Services, Inc., 7.63%, 08/15/20(f)     1,784,062  
  8,000,000     US Foodservice, 8.50%, 06/30/19(f)     8,700,000  
  850,000     Valeant Pharmaceuticals International, Inc., 6.75%, 10/01/17(f)     922,250  
  2,650,000     Valeant Pharmaceuticals International, Inc., 6.88%, 12/01/18(f)     2,885,188  
  4,000,000     Valeant Pharmaceuticals International, Inc., 6.38%, 10/15/20(f)     4,430,000  
  3,750,000     Vanguard Health Holding Co. II LLC/Vanguard Holding Co. II, Inc., 8.00%, 02/01/18     4,059,375  
  750,000     Vanguard Health Holding Co. II LLC/Vanguard Holding Co. II, Inc., 7.75%, 02/01/19     814,688  
  5,000,000     Vanguard Natural Resources LLC/VNR Finance Corp., 7.88%, 04/01/20     5,425,000  
  6,000,000     ViaSat, Inc., 6.88%, 06/15/20     6,540,000  
  6,000,000     Volcano Corp., Cnv., 1.75%, 12/01/17     5,808,750  
  5,000,000     WebMD Health Corp., Cnv., 2.25%, 03/31/16     4,903,125  
  9,000,000     WebMD Health Corp., Cnv., 2.50%, 01/31/18     8,246,250  
  1,650,000     West Corp., 8.63%, 10/01/18     1,827,375  
  4,825,000     West Corp., 7.88%, 01/15/19     5,259,250  
  1,200,000     Windstream Corp., 7.88%, 11/01/17     1,401,000  
  1,000,000     Windstream Corp., 8.13%, 09/01/18     1,100,000  
  1,550,000     Windstream Corp., 7.00%, 03/15/19     1,586,813  
  750,000     Windstream Corp., 7.75%, 10/15/20     823,125  
  1,000,000     Windstream Corp., 7.50%, 06/01/22     1,102,500  
  1,750,000     XM Satellite Radio, Inc., 7.63%, 11/01/18(f)     1,942,500  
Principal
Amount
        Value  
UNITED STATES (continued)        
$ 2,000,000     Zayo Group LLC/Zayo Capital, Inc., 8.13%, 01/01/20   $ 2,255,000  
              1,273,998,119  
Total Corporate Bonds
(Cost $1,395,310,324)
    1,445,134,095  
GOVERNMENT BONDS — 12.4%        
AUSTRALIA — 0.2%        
  7,390,000 (g)   New South Wales Treasury Corp., 5.50%, 08/01/13     7,709,226  
  685,000 (g)   Queensland Treasury Corp., 6.00%, 08/14/13     716,296  
  3,190,000 (g)   Queensland Treasury Corp., 6.00%, 08/21/13     3,337,204  
              11,762,726  
BRAZIL — 0.3%        
  9,490,000 (g)   Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/15     11,754,471  
  2,400,000 (g)   Brazil Notas do Tesouro Nacional, Series B, 6.00%, 05/15/45     3,529,085  
  3,900,000 (g)   Brazil Notas do Tesouro Nacional, Series F, 10.00%, 01/01/17     2,075,432  
              17,358,988  
CANADA — 0.5%        
  1,284,000 (g)   Canadian Government Bond, 2.50%, 09/01/13     1,280,661  
  6,795,000 (g)   Canadian Government Bond, 1.00%, 02/01/14     6,744,752  
  1,497,000 (g)   Canadian Government Bond, 2.00%, 03/01/14     1,498,144  
  3,578,000 (g)   Canadian Government Bond, 2.25%, 08/01/14     3,607,016  
  7,538,000 (g)   Canadian Government Bond, 1.00%, 11/01/14     7,485,774  
  3,635,000 (g)   Canadian Government Bond, 2.00%, 12/01/14     3,666,968  
  9,838,000 (g)   Canadian Government Bond, 1.00%, 02/01/15     9,772,963  
  811,000 (g)   Canadian Treasury Bill, 9.80%, 08/15/13(j)     802,644  
              34,858,922  
HUNGARY — 0.6%        
  54,500,000 (g)   Hungary Government Bond, 7.50%, 10/24/13     243,318  
  133,100,000 (g)   Hungary Government Bond, 5.50%, 02/12/14     591,373  


28
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
(Unaudited)
 

 

Principal
Amount
        Value  
HUNGARY (continued)        
$ 402,550,000 (g)   Hungary Government Bond, 6.75%, 08/22/14   $ 1,826,944  
  61,000,000 (g)   Hungary Government Bond, 8.00%, 02/12/15     284,969  
  108,050,000 (g)   Hungary Government Bond, 7.75%, 08/24/15     510,597  
  96,000,000 (g)   Hungary Government Bond, 5.50%, 02/12/16     433,805  
  85,800,000 (g)   Hungary Government Bond, 6.75%, 02/24/17     402,018  
  432,110,000 (g)   Hungary Government Bond, 6.75%, 11/24/17     2,041,337  
  84,800,000 (g)   Hungary Government Bond, 6.50%, 06/24/19     401,038  
  39,480,000 (g)   Hungary Government Bond, 7.50%, 11/12/20     197,899  
  54,700,000 (g)   Hungary Government Bond, 7.00%, 06/24/22     268,496  
  520,000 (g)   Hungary Government International Bond, 4.38%, 07/04/17     691,662  
  1,705,000 (g)   Hungary Government International Bond, 5.75%, 06/11/18     2,394,854  
  5,100,000 (g)   Hungary Government International Bond, 6.00%, 01/11/19     7,221,591  
  2,920,000     Hungary Government International Bond, 6.25%, 01/29/20     3,244,850  
  10,537,000 (g)   Hungary Government International Bond, 3.88%, 02/24/20     13,335,516  
  3,930,000     Hungary Government International Bond, 6.38%, 03/29/21     4,396,884  
  32,600,000 (g)   Hungary Treasury Bills, 6.38%, 05/29/13(j)     143,060  
  142,400,000 (g)   Hungary Treasury Bills, 6.31%, 09/18/13(j)     616,469  
  40,490,000 (g)   Hungary Treasury Bills, 5.18%, 01/08/14(j)     172,959  
              39,419,639  
ICELAND — 0.0%        
  1,830,000     Iceland Government International Bond, 5.88%, 05/11/22(f)     2,112,894  
                 
INDONESIA — 0.3%        
  23,560,000,000 (g)   Indonesia Treasury Bond, 9.00%, 09/15/13     2,466,180  
  3,590,000,000 (g)   Indonesia Treasury Bond, 9.00%, 09/15/18     436,733  
  33,800,000,000 (g)   Indonesia Treasury Bond, 12.80%, 06/15/21     5,147,400  
Principal
Amount
        Value  
INDONESIA (continued)        
$ 33,160,000,000 (g)   Indonesia Treasury Bond, 12.90%, 06/15/22   $ 5,190,941  
  1,590,000,000 (g)   Indonesia Treasury Bond, 10.25%, 07/15/22     218,100  
  39,380,000,000 (g)   Indonesia Treasury Bond, 9.50%, 07/15/23     5,261,302  
              18,720,656  
IRELAND — 1.3%        
  542,000 (g)   Ireland Government Bond, 4.50%, 10/18/18     783,924  
  820,000 (g)   Ireland Government Bond, 4.40%, 06/18/19     1,169,036  
  1,874,000 (g)   Ireland Government Bond, 5.90%, 10/18/19     2,881,053  
  3,108,000 (g)   Ireland Government Bond, 4.50%, 04/18/20     4,437,965  
  32,580,000 (g)   Ireland Government Bond, 5.00%, 10/18/20     47,904,824  
  20,545,160 (g)   Ireland Government Bond, 5.40%, 03/13/25     31,014,309  
              88,191,111  
MALAYSIA — 1.7%        
  6,560,000 (g)   Bank Negara Malaysia Monetary Notes, 2.88%, 05/02/13(j)     2,156,122  
  130,000 (g)   Bank Negara Malaysia Monetary Notes, 2.96%, 05/14/13(j)     42,686  
  4,875,000 (g)   Bank Negara Malaysia Monetary Notes, 2.86%, 05/23/13(j)     1,599,543  
  345,000 (g)   Bank Negara Malaysia Monetary Notes, 3.00%, 05/28/13(j)     113,152  
  9,450,000 (g)   Bank Negara Malaysia Monetary Notes, 2.95%, 06/04/13(j)     3,097,615  
  8,020,000 (g)   Bank Negara Malaysia Monetary Notes, 2.85%, 06/11/13(j)     2,627,381  
  20,975,000 (g)   Bank Negara Malaysia Monetary Notes, 2.93%, 06/18/13(j)     6,870,066  
  9,940,000 (g)   Bank Negara Malaysia Monetary Notes, 2.87%, 06/20/13(j)     3,254,011  
  4,790,000 (g)   Bank Negara Malaysia Monetary Notes, 2.95%, 06/27/13(j)     1,567,194  
  3,990,000 (g)   Bank Negara Malaysia Monetary Notes, 2.94%, 07/04/13(j)     1,304,716  


29
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
(Unaudited)
 

 

Principal
Amount
        Value  
MALAYSIA (continued)        
$ 905,000 (g)   Bank Negara Malaysia Monetary Notes, 2.86%, 07/11/13(j)   $ 295,766  
  3,610,000 (g)   Bank Negara Malaysia Monetary Notes, 2.94%, 07/18/13(j)     1,179,136  
  240,000 (g)   Bank Negara Malaysia Monetary Notes, 2.85%, 07/25/13(j)     78,348  
  910,000 (g)   Bank Negara Malaysia Monetary Notes, 2.85%, 08/06/13(j)     296,785  
  1,120,000 (g)   Bank Negara Malaysia Monetary Notes, 2.85%, 08/15/13(j)     365,015  
  490,000 (g)   Bank Negara Malaysia Monetary Notes, 2.85%, 08/27/13(j)     159,600  
  530,000 (g)   Bank Negara Malaysia Monetary Notes, 3.01%, 09/05/13(j)     172,444  
  80,000 (g)   Bank Negara Malaysia Monetary Notes, 2.90%, 09/26/13(j)     25,986  
  170,000 (g)   Bank Negara Malaysia Monetary Notes, 2.98%, 10/08/13(j)     55,167  
  30,000 (g)   Bank Negara Malaysia Monetary Notes, 2.88%, 10/10/13(j)     9,737  
  30,000 (g)   Bank Negara Malaysia Monetary Notes, 2.88%, 10/22/13(j)     9,728  
  150,000 (g)   Bank Negara Malaysia Monetary Notes, 2.89%, 10/31/13(j)     48,587  
  5,080,000 (g)   Bank Negara Malaysia Monetary Notes, 2.90%, 11/19/13(j)     1,642,998  
  22,510,000 (g)   Bank Negara Malaysia Monetary Notes, 2.89%, 12/12/13(j)     7,266,812  
  3,255,000 (g)   Bank Negara Malaysia Monetary Notes, 2.86%, 01/09/14(j)     1,047,923  
  3,010,000 (g)   Bank Negara Malaysia Monetary Notes, 2.86%, 01/16/14(j)     968,930  
  270,000 (g)   Bank Negara Malaysia Monetary Notes, 2.83%, 02/06/14(j)     86,784  
  3,880,000 (g)   Bank Negara Malaysia Monetary Notes, 2.83%, 02/18/14(j)     1,245,944  
Principal
Amount
        Value  
MALAYSIA (continued)        
$ 3,125,000 (g)   Bank Negara Malaysia Monetary Notes, 2.83%, 02/20/14(j)   $ 1,003,342  
  3,105,000 (g)   Bank Negara Malaysia Monetary Notes, 2.86%, 02/25/14(j)     996,532  
  315,000 (g)   Bank Negara Malaysia Monetary Notes, 2.89%, 03/13/14(j)     100,971  
  590,000 (g)   Bank Negara Malaysia Monetary Notes, 2.84%, 03/20/14(j)     189,015  
  945,000 (g)   Malaysia Government Bond, 3.70%, 05/15/13     310,674  
  66,785,000 (g)   Malaysia Government Bond, 3.21%, 05/31/13     21,952,872  
  42,680,000 (g)   Malaysia Government Bond, 3.46%, 07/31/13     14,042,148  
  10,000 (g)   Malaysia Government Bond, 8.00%, 10/30/13     3,367  
  83,590,000 (g)   Malaysia Government Bond, 5.09%, 04/30/14     28,049,617  
  40,565,000 (g)   Malaysia Government Bond, 3.43%, 08/15/14     13,420,462  
  1,170,000 (g)   Malaysia Government Bond, 3.74%, 02/27/15     390,021  
  1,055,000 (g)   Malaysia Government Bond, 3.84%, 08/12/15     353,620  
  490,000 (g)   Malaysia Treasury Bill, 2.88%, 05/03/13(j)     161,052  
  260,000 (g)   Malaysia Treasury Bill, 2.86%, 05/31/13(j)     85,277  
              118,647,146  
MEXICO — 1.2%        
  118,714,000 (g)   Mexican Bonos, 9.00%, 06/20/13     9,840,348  
  264,350,000 (g)   Mexican Bonos, 8.00%, 12/19/13     22,319,410  
  8,832,000 (g)   Mexican Bonos, 7.00%, 06/19/14     751,995  
  204,810,000 (g)   Mexican Bonos, 9.50%, 12/18/14     18,331,493  
  5,803,000 (g)   Mexican Bonos, 6.00%, 06/18/15     497,549  
  130,018,000 (g)   Mexican Bonos, 8.00%, 12/17/15     11,762,280  
  28,711,000 (g)   Mexican Bonos, 6.25%, 06/16/16     2,516,009  
  36,000,000 (g)   Mexican Bonos, 7.25%, 12/15/16     3,280,648  
  23,900,000 (g)   Mexican Bonos, 7.75%, 12/14/17     2,266,371  
  1,059,200 (g)   Mexican Udibonos, 4.50%, 12/18/14     459,484  


30
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
MEXICO (continued)      
$ 2,720,000 (g)   Mexican Udibonos,
5.00%, 06/16/16
  $ 1,254,783  
  2,712,000 (g)   Mexican Udibonos,
3.50%, 12/14/17
    1,243,708  
  1,851,000 (g)   Mexican Udibonos,
4.00%, 06/13/19
    898,682  
  1,465,000 (g)   Mexican Udibonos,
2.50%, 12/10/20
    665,977  
  204,320,000 (g)   Mexico Cetes,
4.58%, 09/19/13(j)
    1,657,808  
  502,372,000 (g)   Mexico Cetes,
4.06%, 01/09/14(j)
    4,025,662  
  282,270,000 (g)   Mexico Cetes,
3.96%, 04/30/14(j)
    2,235,183  
              84,007,390  
NORWAY — 0.0%        
  18,659,000 (g)   Norway Treasury Bill,
1.55%, 09/18/13(j)
    3,216,894  
PHILIPPINES — 0.2%        
  312,450,000 (g)   Philippine Government Bond,
9.13%, 09/04/16
    9,290,522  
  70,000,000 (g)   Philippine Treasury Bill,
1.61%, 05/15/13(j)
    1,700,272  
  18,620,000 (g)   Philippine Treasury Bill,
0.22%, 09/04/13(j)
    452,050  
  61,010,000 (g)   Philippine Treasury Bill,
0.16%, 10/02/13(j)
    1,480,706  
  40,610,000 (g)   Philippine Treasury Bill,
0.55%, 11/13/13(j)
    981,744  
  26,300,000 (g)   Philippine Treasury Bill,
0.46%, 03/05/14(j)
    632,932  
  114,490,000 (g)   Philippine Treasury Bill,
0.21%, 04/02/14(j)
    2,750,792  
              17,289,018  
POLAND — 1.5%        
  14,329,000 (g)   Poland Government Bond,
4.58%, 07/25/13(j)
    4,507,954  
  112,110,000 (g)   Poland Government Bond,
5.00%, 10/24/13
    35,841,423  
  15,080,000 (g)   Poland Government Bond,
3.80%, 01/25/14(j)
    4,675,022  
  90,140,000 (g)   Poland Government Bond,
5.75%, 04/25/14
    29,368,207  
  4,080,000 (g)   Poland Government Bond,
4.00%, 07/25/14(j)
    1,250,528  
  6,380,000 (g)   Poland Government Bond,
5.50%, 04/25/15
    2,129,729  
  5,685,000 (g)   Poland Government Bond,
3.01%, 07/25/15(j)
    1,699,734  
  31,445,000 (g)   Poland Government Bond,
6.25%, 10/24/15
    10,798,288  
Principal
Amount
        Value  
POLAND (continued)        
$ 8,188,000 (g)   Poland Government Bond,
3.98%, 01/25/17(e)
  $ 2,602,923  
  8,307,000 (g)   Poland Government Bond,
3.98%, 01/25/21(e)
    2,620,773  
  24,800,000 (g)   Poland Government Bond,
5.75%, 09/23/22
    9,466,437  
              104,961,018  
RUSSIA — 0.2%        
  8,541,425     Russian Foreign Bond - Eurobond, STEP,
7.50%, 03/31/30(f)
    10,745,113  
SERBIA — 0.1%        
  1,540,000     Republic of Serbia,
5.25%, 11/21/17(f)
    1,625,470  
  3,280,000     Republic of Serbia,
7.25%, 09/28/21(f)
    3,829,400  
              5,454,870  
SINGAPORE —  0.7%        
  4,723,000 (g)   Monetary Authority of Singapore,
0.25%, 07/05/13(j)
    3,833,034  
  32,505,000 (g)   Singapore Government Bond,
2.25%, 07/01/13
    26,479,765  
  12,500,000 (g)   Singapore Government Bond,
0.25%, 02/01/14
    10,153,639  
  1,135,000 (g)   Singapore Treasury Bill,
0.16%, 05/30/13(j)
    921,335  
  1,814,000 (g)   Singapore Treasury Bill,
0.16%, 07/11/13(j)
    1,472,157  
  9,440,000 (g)   Singapore Treasury Bill,
0.24%, 10/04/13(j)
    7,656,501  
              50,516,431  
SLOVENIA — 0.0%        
  2,860,000     Slovenia Government International Bond,
5.50%, 10/26/22(f)
    2,831,400  
SOUTH KOREA — 2.0%        
  3,122,000,000 (g)   Korea Monetary Stabilization Bond,
3.38%, 05/09/13
    2,835,160  
  499,540,000 (g)   Korea Monetary Stabilization Bond,
3.76%, 06/02/13
    453,987  
  2,141,060,000 (g)   Korea Monetary Stabilization Bond,
3.28%, 06/09/13
    1,945,285  
  1,979,360,000 (g)   Korea Monetary Stabilization Bond,
2.58%, 06/11/13(j)
    1,797,298  


31
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
SOUTH KOREA (continued)        
$ 3,194,650,000 (g)   Korea Monetary Stabilization Bond, 3.90%, 08/02/13   $ 2,909,705  
  874,200,000 (g)   Korea Monetary Stabilization Bond, 3.59%, 10/02/13     796,917  
  1,498,640,000 (g)   Korea Monetary Stabilization Bond, 3.48%, 12/02/13     1,367,759  
  31,436,630,000 (g)   Korea Monetary Stabilization Bond, 3.47%, 02/02/14     28,730,619  
  3,028,500,000 (g)   Korea Monetary Stabilization Bond, 3.59%, 04/02/14     2,775,465  
  3,590,530,000 (g)   Korea Monetary Stabilization Bond, 3.28%, 06/02/14     3,285,682  
  11,704,200,000 (g)   Korea Monetary Stabilization Bond, 2.82%, 08/02/14     10,662,778  
  10,385,800,000 (g)   Korea Monetary Stabilization Bond, 2.78%, 10/02/14     9,461,404  
  6,039,800,000 (g)   Korea Monetary Stabilization Bond, 2.84%, 12/02/14     5,509,956  
  2,226,780,000 (g)   Korea Monetary Stabilization Bond, 2.74%, 02/02/15     2,029,552  
  312,000,000 (g)   Korea Monetary Stabilization Bond, 2.47%, 04/02/15     283,017  
  30,242,820,000 (g)   Korea Treasury Bond, 3.75%, 06/10/13     27,492,215  
  41,966,450,000 (g)   Korea Treasury Bond, 3.00%, 12/10/13     38,197,319  
  1,641,520,000 (g)   Korea Treasury Bond, 3.25%, 12/10/14     1,507,380  
              142,041,498  
SRI LANKA — 0.1%        
  13,560,000 (g)   Sri Lanka Government Bonds, Series A, 6.50%, 07/15/15     97,623  
  264,000,000 (g)   Sri Lanka Government Bonds, Series A, 11.00%, 08/01/15     2,081,668  
  385,000,000 (g)   Sri Lanka Government Bonds, Series B, 11.00%, 09/01/15     3,034,031  
              5,213,322  
SWEDEN — 0.9%        
  79,720,000 (g)   Kommuninvest I Sverige AB, 2.25%, 05/05/14     12,467,775  
Principal
Amount
        Value  
SWEDEN (continued)        
$ 81,025,000 (g)   Sweden Government Bond, 1.50%, 08/30/13   $ 12,526,961  
  150,080,000 (g)   Sweden Government Bond, 6.75%, 05/05/14     24,508,262  
  25,930,000 (g)   Sweden Treasury Bill, 0.87%, 06/19/13(j)     3,995,374  
  61,530,000 (g)   Sweden Treasury Bill, 0.87%, 09/18/13(j)     9,460,983  
              62,959,355  
UKRAINE — 0.5%        
  200,000     Financing of Infrastrucural Projects State Enterprise, 7.40%, 04/20/18(f)     189,970  
  100,000     Ukraine Government International Bond, 7.65%, 06/11/13(f)     100,290  
  100,000 (g)   Ukraine Government International Bond, 4.95%, 10/13/15(f)     128,864  
  200,000     Ukraine Government International Bond, 6.25%, 06/17/16(f)     195,500  
  4,230,000     Ukraine Government International Bond, 9.25%, 07/24/17(f)     4,515,525  
  3,250,000     Ukraine Government International Bond, 6.75%, 11/14/17(f)     3,201,250  
  11,500,000     Ukraine Government International Bond, 7.75%, 09/23/20(f)     11,672,500  
  14,270,000     Ukraine Government International Bond, 7.95%, 02/23/21(f)     14,519,725  
  1,580,000     Ukraine Government International Bond, 7.80%, 11/28/22(f)     1,573,917  
              36,097,541  
VENEZUELA — 0.0%        
  2,080,000     Venezuela Government International Bond, 10.75%, 09/19/13     2,121,600  
VIETNAM — 0.1%        
  1,625,000     Vietnam Government International Bond, 6.88%, 01/15/16(f)     1,799,688  
  2,490,000     Vietnam Government International Bond, 6.75%, 01/29/20(f)     2,956,875  
              4,756,563  
Total Government Bonds
(Cost $810,292,613)
    863,284,095  


32
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
ASSET-BACKED SECURITIES — 3.3%        
UNITED STATES — 3.3%        
$ 14,872,071     Asset-Backed Funding Certificates Trust, Series 2006-OPT3, Class A3B, 0.36%, 11/25/36(e)   $ 7,883,527  
  4,975,082     Bear Stearns Asset-Backed Securities Trust, Series 2006-AC2, Class 22A1, 0.55%, 03/25/36(e)     2,022,098  
  4,975,082     Bear Stearns Asset-Backed Securities Trust, Series 2006-AC2, Class 22A3, 0.55%, 03/25/36(e)     2,022,098  
  24,631,907     Bear Stearns Asset-Backed Securities Trust, Series 2006-AQ1, Class 2A2, 0.40%, 10/25/36(e)     11,945,428  
  11,034,535     Bear Stearns Asset-Backed Securities Trust, Series 2007-AC4, Class A1, 0.50%, 02/25/37(e)     6,402,948  
  4,884,740     Carrington Mortgage Loan Trust, Series 2007-FRE1, Class A4, 0.62%, 02/25/37(e)     2,644,728  
  8,250,000     Carrington Mortgage Loan Trust, Series 2007-RFC1, Class A3, 0.34%, 12/25/36(e)     5,266,472  
  5,700,000     Carrington Mortgage Loan Trust, Series 2007-RFC1, Class A4, 0.42%, 12/25/36(e)     3,287,458  
  5,642,064     Conseco Financial Corp., Series 1999-5, Class A5, 7.86%, 03/01/30(e)     4,998,597  
  16,610,332     Countrywide Asset-Backed Certificates, Series 2005-IM3, Class A3, 0.45%, 03/25/36(e)     9,859,267  
  3,512,556     Countrywide Asset-Backed Certificates, Series 2006-11, Class 3AV2, 0.36%, 09/25/46(e)     2,421,457  
  7,800,000     Countrywide Asset-Backed Certificates, Series 2006-20, Class 2A3, 0.35%, 04/25/47(e)     5,930,186  
  4,946,103     Countrywide Asset-Backed Certificates, Series 2006-7, Class 2A3, 0.35%, 04/25/46(e)     4,329,379  
  6,360,000     Countrywide Asset-Backed Certificates, Series 2007-4, Class A2, 5.53%, 04/25/47(e)     6,310,486  
  10,437,179     Credit-Based Asset Servicing & Securitization LLC Trust, Series 2006-CB9, Class A2, 0.31%, 11/25/36(e)     5,343,223  
  3,800,753     Credit-Based Asset Servicing & Securitization LLC Trust, Series 2006-CB9, Class A3, 0.35%, 11/25/36(e)     1,957,455  
  9,773,612     Fieldstone Mortgage Investment Trust, Series 2006-3, Class 2A3, 0.36%, 11/25/36(e)     4,818,070  
Principal
Amount
        Value  
UNITED STATES (continued)        
$ 6,861,438     Fieldstone Mortgage Investment Trust, Series 2006-3, Class 2A4, 0.44%, 11/25/36(e)   $ 3,390,616  
  8,186,955     First Franklin Mortgage Loan Trust Asset Backed Certificates, Series 2007-FF2, Class A2C, 0.35%, 03/25/37(e)     4,626,662  
  10,000,000     Fremont Home Loan Trust, Series 2006-3, Class 2A3, 0.37%, 02/25/37(e)     5,471,127  
  11,186,805     Fremont Home Loan Trust, Series 2006-B, Class 2A3, 0.36%, 08/25/36(e)     4,522,882  
  8,822,955     Fremont Home Loan Trust, Series 2006-E, Class 2A3, 0.35%, 01/25/37(e)     4,522,624  
  6,000,000     GSAA Trust, Series 2005-11, Class 3A5, 0.57%, 10/25/35(e)     4,561,165  
  1,108,500     GSAA Trust, Series 2006-7, Class AF2, 5.99%, 03/25/46(e)     928,851  
  36,390,000     Indymac Residential Asset Backed Trust, Series 2007-B, Class 2A3, 0.40%, 07/25/37(e)     20,979,021  
  6,608,977     Lehman XS Trust, Series 2007-1, Class 2A1, 7.00%, 02/25/37     6,466,515  
  3,068,154     Lehman XS Trust, Series 2007-3, Class 2A1, 0.28%, 03/25/37(e)     2,865,889  
  9,914,495     Mastr Asset Backed Securities Trust, Series 2006-NC3, Class A4, 0.36%, 10/25/36(e)     5,806,002  
  2,145,000     Morgan Stanley ABS Capital I, Series 2006-HE4, Class A4, 0.44%, 06/25/36(e)     1,244,061  
  13,987,150     Morgan Stanley ABS Capital I, Series 2006-HE6, Class A2C, 0.35%, 09/25/36(e)     6,596,947  
  5,000,000     Morgan Stanley ABS Capital I, Series 2007-HE1, Class A2D, 0.43%, 11/25/36(e)     2,839,612  
  12,320,000     Morgan Stanley ABS Capital I, Series 2007-NC3, Class A2B, 0.34%, 05/25/37(e)     6,996,482  
  7,528,367     Morgan Stanley Mortgage Loan Trust, Series 2006-12XS, Class A4, STEP, 6.01%, 10/25/36     4,720,410  
  7,500,000     Nomura Home Equity Loan Inc Home Equity Loan Trust, Series 2006-HE1, Class M1, 0.61%, 02/25/36(e)     5,814,415  
  7,500,000     Nomura Home Equity Loan, Inc., Home Equity Loan Trust, Series 2005-FM1, Class M2, 0.69%, 05/25/35(e)     6,008,902  
  3,103,752     Oakwood Mortgage Investors, Inc., Series 2002-B, Class A4, 7.09%, 06/15/32(e)     3,379,525  


33
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
UNITED STATES (continued)        
$ 11,000,000     Renaissance Home Equity Loan Trust, Series 2007-3, Class AF3, STEP, 7.24%, 09/25/37   $ 6,956,324  
  11,139,608     Residential Asset Mortgage Products, Inc., Series 2006-RS4, Class A3, 0.37%, 07/25/36(e)     10,634,999  
  7,545,490     Securitized Asset Backed Receivables LLC Trust, Series 2006-WM1, Class A2C, 0.49%, 12/25/35(e)     5,714,502  
  4,946,465     Soundview Home Equity Loan Trust, Series 2007-OPT1, Class 2A3, 0.41%, 06/25/37(e)     2,567,070  
  7,923,044     Soundview Home Equity Loan Trust, Series 2007-OPT2, Class 2A2, 0.33%, 07/25/37(e)     7,011,060  
  10,000,000     Soundview Home Loan Trust, Series 2005-4, Class M2, 0.67%, 03/25/36(e)     6,976,885  
Total Asset-Backed Securities
(Cost $203,325,576)
    229,045,425  
NON-AGENCY MORTGAGE-BACKED SECURITIES — 14.2%        
COLLATERALIZED MORTGAGE OBLIGATIONS — 12.7%        
       
  4,205,700     Adjustable Rate Mortgage Trust, Series 2005-3, Class 2A1, 2.85%, 07/25/35(e)     4,006,173  
  988,889     Adjustable Rate Mortgage Trust, Series 2006-1, Class 3A3, 2.96%, 03/25/36(e)     745,328  
  4,842,611     Adjustable Rate Mortgage Trust, Series 2007-1, Class 4A1, 3.17%, 03/25/37(e)     3,737,696  
  7,579,997     Adjustable Rate Mortgage Trust, Series 2007-1, Class 5A31, 0.34%, 03/25/37(e)     5,048,237  
  2,187,760     American Home Mortgage Assets LLC, Series 2007-4, Class A2, 0.39%, 08/25/37(e)     1,884,182  
  6,326,145     American Home Mortgage Assets, Series 2005-1, Class 2A21, 2.87%, 11/25/35(e)     5,115,603  
  5,996,287     American Home Mortgage Assets, Series 2005-1, Class 3A11, 0.47%, 11/25/35(e)     4,786,071  
  4,807,777     American Home Mortgage Investment Trust, Series 2005-4, Class 5A, 2.18%, 11/25/45(e)     3,838,920  
  2,952,963     American Home Mortgage Investment Trust, Series 2006-1, Class 2A3, 2.18%, 12/25/35(e)     2,073,911  
  26,558,803     American Home Mortgage Investment Trust, Series 2007-1, Class GA1C, 0.39%, 05/25/47(e)     19,298,641  
Principal
Amount
        Value  
COLLATERALIZED MORTGAGE
OBLIGATIONS (continued)
       
$ 4,309,236     Banc of America Alternative Loan Trust, Series 2005-9, Class 2CB1, 6.00%, 10/25/35   $ 4,013,287  
  5,840,639     Banc of America Alternative Loan Trust, Series 2005-9, Class 4A2, 5.50%, 10/25/35     5,208,422  
  6,177,237     Banc of America Funding Corp, Series 2007-1, Class TA5, STEP, 6.09%, 01/25/37     5,314,506  
  1,533,737     Banc of America Funding Corp., Series 2005-F, Class 6A1, 5.05%, 09/20/35(e)     1,463,812  
  7,047,107     Banc of America Funding Corp., Series 2005-H, Class 2A1, 3.10%, 11/20/35(e)     6,046,496  
  2,173,804     Banc of America Funding Corp., Series 2006-A, Class 3A2, 2.92%, 02/20/36(e)     1,667,734  
  2,412,112     Banc of America Funding Corp., Series 2006-E, Class 2A1, 3.09%, 06/20/36(e)     1,948,556  
  3,602,321     Banc of America Funding Corp., Series 2006-F, Class 1A1, 2.69%, 07/20/36(e)     3,436,301  
  1,871,375     Banc of America Funding Corp., Series 2007-7, Class 1A1, 6.00%, 08/25/37     1,791,335  
  12,178,970     Banc of America Funding Corp., Series 2007-A, Class 2A1, 0.36%, 02/20/47(e)     10,280,450  
  3,103,180     Banc of America Mortgage Securities, Inc., Series 2005-I, Class 2A5, 3.10%, 10/25/35(e)     2,686,168  
  2,967,937     Banc of America Mortgage Securities, Inc., Series 2005-K, Class 2A1, 3.08%, 12/25/35(e)     2,639,289  
  12,733,801     BCAP LLC Trust, Series 2007-AA2, Class 12A1, 0.41%, 05/25/47(e)     8,370,467  
  2,746,605     BCAP LLC Trust, Series 2007-AA3, Class 1A1B, 0.34%, 04/25/37(e)     2,304,606  
  3,650,053     BCAP LLC Trust, Series 2007-AA3, Class 2A1A, 0.42%, 05/25/47(e)     2,723,656  
  6,464,038     BCAP LLC Trust, Series 2010-RR11, Class 4A1, 5.20%, 03/27/47(e)(f)     5,532,183  
  2,913,991     BCAP LLC Trust, Series 2011-RR2, Class 1A1, 3.11%, 07/25/36(e)(f)     2,734,959  
  4,577,684     BCAP LLC Trust, Series 2011-RR9, Class 7A1, 2.16%, 04/26/37(e)(f)     4,390,347  
  5,662,831     Bear Stearns Adjustable Rate Mortgage Trust, Series 2005-12, Class 23A1, 2.49%, 02/25/36(e)     3,805,384  
  2,722,830     Bear Stearns Adjustable Rate Mortgage Trust, Series 2005-6, Class 5A1, 5.19%, 08/25/35(e)     2,281,597  


34
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
COLLATERALIZED MORTGAGE OBLIGATIONS (continued)        
$ 3,830,685     Bear Stearns Adjustable Rate Mortgage Trust, Series 2006-1, Class A1, 2.37%, 02/25/36(e)   $ 3,708,391  
  1,824,782     Bear Stearns Adjustable Rate Mortgage Trust, Series 2007-3, Class 1A1, 2.99%, 05/25/47(e)     1,520,037  
  11,175,189     Bear Stearns Adjustable Rate Mortgage Trust, Series 2007-4, Class 12A1, 5.56%, 05/25/37(e)     9,980,949  
  5,856,379     Bear Stearns Alt-A Trust, Series 2005-9, Class 26A1, 5.17%, 11/25/35(e)     4,307,561  
  19,235,530     Bear Stearns Alt-A Trust, Series 2007-1, Class 21A1, 2.90%, 01/25/47(e)     13,340,580  
  1,005,867     Citigroup Mortgage Loan Trust, Inc., Series 2005-2, Class 1A1, 2.77%, 05/25/35(e)     914,114  
  2,279,123     Citigroup Mortgage Loan Trust, Inc., Series 2006-AR3, Class 1A1A, 5.78%, 06/25/36(e)     2,052,533  
  1,316,245     Citigroup Mortgage Loan Trust, Inc., Series 2006-AR3, Class 1A2A, 5.63%, 06/25/36(e)     1,246,557  
  5,613,522     Citigroup Mortgage Loan Trust, Inc., Series 2006-AR9, Class 2A, 5.72%, 11/25/36(e)     4,786,917  
  4,340,286     Citigroup Mortgage Loan Trust, Inc., Series 2007-9, Class 1A1, 5.75%, 04/25/47(f)     3,358,380  
  5,464,610     Citigroup Mortgage Loan Trust, Inc., Series 2007-9, Class 1A3, 5.75%, 04/25/47(f)     3,884,728  
  997,046     Citimortgage Alternative Loan Trust, Series 2007-A3, Class 1A7, 5.75%, 03/25/37     849,972  
  1,269,787     Countrywide Alternative Loan Trust, Series 2004-36CB, Class 1A1, 6.00%, 02/25/35     1,209,637  
  6,151,011     Countrywide Alternative Loan Trust, Series 2005-22T1, Class A5, 5.50%, 06/25/35     6,046,804  
  3,058,091     Countrywide Alternative Loan Trust, Series 2005-31, Class 2A1, 0.50%, 08/25/35(e)     2,457,104  
  6,302,418     Countrywide Alternative Loan Trust, Series 2005-36, Class 2A1A, 0.51%, 08/25/35(e)     4,145,778  
  9,936,384     Countrywide Alternative Loan Trust, Series 2005-38, Class A3, 0.55%, 09/25/35(e)     8,484,687  
  8,202,229     Countrywide Alternative Loan Trust, Series 2005-46CB, Class A20, 5.50%, 10/25/35     7,668,414  
Principal
Amount
        Value  
COLLATERALIZED MORTGAGE OBLIGATIONS(continued)        
$ 2,141,173     Countrywide Alternative Loan Trust, Series 2005-50CB, Class 1A1, 5.50%, 11/25/35   $ 1,896,097  
  4,633,160     Countrywide Alternative Loan Trust, Series 2005-63, Class 5A1, 2.78%, 12/25/35(e)     3,829,143  
  302,157     Countrywide Alternative Loan Trust, Series 2005-69, Class A1, 1.18%, 12/25/35(e)     252,188  
  7,382,318     Countrywide Alternative Loan Trust, Series 2005-7CB, Class 2A8, 0.65%, 04/25/35(e)     5,926,499  
  2,999,089     Countrywide Alternative Loan Trust, Series 2005-J14, Class A3, 5.50%, 12/25/35     2,579,396  
  6,244,545     Countrywide Alternative Loan Trust, Series 2005-J3, Class 1A1, 0.75%, 05/25/35(e)     5,292,368  
  8,194,073     Countrywide Alternative Loan Trust, Series 2006-12CB, Class A10, 0.55%, 05/25/36(e)     4,733,831  
  4,622,240     Countrywide Alternative Loan Trust, Series 2006-15CB, Class A1, 6.50%, 06/25/36     3,287,775  
  9,703,551     Countrywide Alternative Loan Trust, Series 2006-20CB, Class A9, 6.00%, 07/25/36     6,628,461  
  4,611,753     Countrywide Alternative Loan Trust, Series 2006-22R, Class 2A1, 6.25%, 05/25/36     2,787,632  
  3,799,163     Countrywide Alternative Loan Trust, Series 2006-24CB, Class A13, 0.55%, 06/25/36(e)     2,519,089  
  3,799,163     Countrywide Alternative Loan Trust, Series 2006-24CB, Class A14, 6.95%, 06/25/36(e)     1,074,826  
  3,916,404     Countrywide Alternative Loan Trust, Series 2006-24CB, Class A15, 5.75%, 06/25/36     3,380,650  
  1,568,625     Countrywide Alternative Loan Trust, Series 2006-25CB, Class A2, 6.00%, 10/25/36     1,317,072  
  3,847,779     Countrywide Alternative Loan Trust, Series 2006-2CB, Class A4, 0.60%, 03/25/36(e)     2,308,853  
  10,808,099     Countrywide Alternative Loan Trust, Series 2006-2CB, Class A6, 5.50%, 03/25/36     8,607,799  
  2,233,788     Countrywide Alternative Loan Trust, Series 2006-2CB, Class A8, 6.00%, 03/25/36     1,845,370  
  4,251,074     Countrywide Alternative Loan Trust, Series 2006-41CB, Class 1A10, 6.00%, 01/25/37     3,592,729  


35
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
COLLATERALIZED MORTGAGE OBLIGATIONS (continued)        
$ 3,079,730     Countrywide Alternative Loan Trust, Series 2006-41CB, Class 1A4, 5.75%, 01/25/37   $ 2,561,595  
  5,667,382     Countrywide Alternative Loan Trust, Series 2006-43CB, Class 1A12, 5.75%, 02/25/37     4,628,083  
  3,732,967     Countrywide Alternative Loan Trust, Series 2006-45T1, Class 2A2, 6.00%, 02/25/37     3,066,792  
  8,535,726     Countrywide Alternative Loan Trust, Series 2006-45T1, Class 2A5, 6.00%, 02/25/37     7,360,284  
  663,835     Countrywide Alternative Loan Trust, Series 2006-6CB, Class 1A10, 5.50%, 05/25/36     564,704  
  1,883,363     Countrywide Alternative Loan Trust, Series 2006-6CB, Class 1A2, 0.60%, 05/25/36(e)     1,277,962  
  10,156,578     Countrywide Alternative Loan Trust, Series 2006-7CB, Class 2A1, 6.50%, 05/25/36     6,824,231  
  2,982,917     Countrywide Alternative Loan Trust, Series 2006-HY12, Class A4, 0.58%, 08/25/36(e)     2,852,422  
  9,729,706     Countrywide Alternative Loan Trust, Series 2006-J7, Class 2A1, 2.50%, 11/20/36(e)     4,973,747  
  9,113,919     Countrywide Alternative Loan Trust, Series 2006-OA10, Class 2A1, 0.39%, 08/25/46(e)     6,012,361  
  2,650,000     Countrywide Alternative Loan Trust, Series 2006-OA16, Class A1D, 0.48%, 10/25/46(e)     1,731,401  
  2,914,490     Countrywide Alternative Loan Trust, Series 2006-OA19, Class A1, 0.38%, 02/20/47(e)     1,917,860  
  3,732,728     Countrywide Alternative Loan Trust, Series 2006-OA2, Class A5, 0.43%, 05/20/46(e)     2,146,657  
  10,627,152     Countrywide Alternative Loan Trust, Series 2006-OA21, Class A1, 0.39%, 03/20/47(e)     7,977,098  
  3,861,530     Countrywide Alternative Loan Trust, Series 2006-OA3, Class 2A1, 0.41%, 05/25/36(e)     2,936,933  
  7,204,963     Countrywide Alternative Loan Trust, Series 2006-OA6, Class 1A1A, 0.41%, 07/25/46(e)     4,897,797  
  12,693,499     Countrywide Alternative Loan Trust, Series 2006-OA7, Class 1A1, 2.03%, 06/25/46(e)     7,891,811  
  13,581,824     Countrywide Alternative Loan Trust, Series 2006-OA8, Class 1A1, 0.39%, 07/25/46(e)     10,732,864  
Principal
Amount
        Value  
COLLATERALIZED MORTGAGE OBLIGATIONS (continued)        
$ 14,273,237     Countrywide Alternative Loan Trust, Series 2006-OC10, Class 2A2A, 0.38%, 11/25/36(e)   $ 10,521,405  
  12,242,326     Countrywide Alternative Loan Trust, Series 2006-OC2, Class 2A3, 0.49%, 02/25/36(e)     7,296,317  
  9,630,417     Countrywide Alternative Loan Trust, Series 2006-OC8, Class 2A2A, 0.32%, 11/25/36(e)     7,062,322  
  5,682,643     Countrywide Alternative Loan Trust, Series 2007-12T1, Class A5, 6.00%, 06/25/37     4,582,842  
  2,914,030     Countrywide Alternative Loan Trust, Series 2007-19, Class 1A34, 6.00%, 08/25/37     2,507,854  
  8,819,701     Countrywide Alternative Loan Trust, Series 2007-19, Class 1A4, 6.00%, 08/25/37     7,454,070  
  9,629,122     Countrywide Alternative Loan Trust, Series 2007-22, Class 2A16, 6.50%, 09/25/37     7,903,980  
  9,739,099     Countrywide Alternative Loan Trust, Series 2007-23CB, Class A1, 6.00%, 09/25/37     8,265,620  
  2,698,872     Countrywide Alternative Loan Trust, Series 2007-9T1, Class 1A8, 6.00%, 05/25/37     2,110,189  
  8,850,711     Countrywide Alternative Loan Trust, Series 2007-HY5R, Class 2A1B, 5.14%, 03/25/47(e)     6,917,647  
  6,772,801     Countrywide Alternative Loan Trust, Series 2007-OA2, Class 2A1, 0.33%, 03/25/47(e)     4,478,196  
  4,500,295     Countrywide Alternative Loan Trust, Series 2008-1R, Class 2A3, 6.00%, 08/25/37     3,459,281  
  1,395,760     Countrywide Home Loan Mortgage Pass Through Trust, Series 2005-17, Class 1A6, 5.50%, 09/25/35     1,331,532  
  4,351,574     Countrywide Home Loan Mortgage Pass Through Trust, Series 2006-17, Class A6, 6.00%, 12/25/36     4,044,510  
  15,311,350     Countrywide Home Loan Mortgage Pass Through Trust, Series 2006-OA4, Class A1, 1.14%, 04/25/46(e)     7,462,375  
  1,297,099     Countrywide Home Loan Mortgage Pass Through Trust, Series 2007-15, Class 1A29, 6.25%, 09/25/37     1,264,768  
  380,512     Countrywide Home Loan Mortgage Pass-Through Trust, Series 2005-15, Class A1, 5.50%, 08/25/35     372,477  


36
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
COLLATERALIZED MORTGAGE OBLIGATIONS (continued)        
$ 872,150     Countrywide Home Loan Mortgage Pass-Through Trust, Series 2005-21, Class 2A2, 5.50%, 10/25/35   $ 860,151  
  6,689,718     Countrywide Home Loan Mortgage Pass-Through Trust, Series 2005-31, Class 2A3, 2.79%, 01/25/36(e)     5,201,072  
  2,522,638     Countrywide Home Loan Mortgage Pass-Through Trust, Series 2005-J3, Class 2A4, 4.50%, 09/25/35     2,423,857  
  8,065,273     Countrywide Home Loan Mortgage Pass-Through Trust, Series 2006-18, Class 2A7, 6.00%, 12/25/36     7,249,063  
  7,896,351     Countrywide Home Loan Mortgage Pass-Through Trust, Series 2006-9, Class A2, 6.00%, 05/25/36     6,920,119  
  6,216,866     Countrywide Home Loan Mortgage Pass-Through Trust, Series 2006-HYB1, Class 2A1, 2.65%, 03/20/36(e)     5,145,410  
  1,306,242     Countrywide Home Loan Mortgage Pass-Through Trust, Series 2006-J2, Class 1A1, 6.00%, 04/25/36     1,162,350  
  1,317,605     Countrywide Home Loan Mortgage Pass-Through Trust, Series 2006-J4, Class A9, 6.25%, 09/25/36     1,129,313  
  740,853     Countrywide Home Loan Mortgage Pass-Through Trust, Series 2006-OA5, Class 3A1, 0.40%, 04/25/46(e)     582,611  
  3,423,426     Countrywide Home Loan Mortgage Pass-Through Trust, Series 2006-R2, Class AF1, 0.62%, 07/25/36(e)(f)     3,056,205  
  3,232,467     Countrywide Home Loan Mortgage Pass-Through Trust, Series 2007-2, Class A16, 6.00%, 03/25/37     2,955,733  
  8,652,960     Countrywide Home Loan Mortgage Pass-Through Trust, Series 2007-21, Class 1A1, 6.25%, 02/25/38     7,932,686  
  7,006,940     Countrywide Home Loan Mortgage Pass-Through Trust, Series 2007-HY1, Class 1A1, 2.92%, 04/25/37(e)     5,724,097  
  1,747,050     Countrywide Home Loan Mortgage Pass-Through Trust, Series 2007-J3, Class A1, 0.70%, 07/25/37(e)     1,054,845  
Principal
Amount
        Value  
COLLATERALIZED MORTGAGE OBLIGATIONS (continued)        
$ 7,523,589     Countrywide Home Loan Mortgage Pass-Through Trust, Series 2005-HYB9, Class 2A1, 2.81%, 02/20/36(e)   $ 6,323,032  
  1,469,123     Credit Suisse Mortgage Capital Certificates, Series 2006-8, Class 1A1, 4.50%, 10/25/21     1,318,108  
  5,742,134     Credit Suisse Mortgage Capital Certificates, Series 2006-9, Class 3A1, 6.00%, 11/25/36     5,827,232  
  7,852,602     Credit Suisse Mortgage Capital Certificates, Series 2007-3, Class 2A10, 6.00%, 04/25/37     6,928,918  
  1,161,982     Credit Suisse Mortgage Capital Certificates, Series 2010-20R, Class 9A1, 2.99%, 01/27/36(e)(f)     1,111,453  
  3,374,262     Credit Suisse Mortgage Capital Certificates, Series 2011-2R, Class 2A1, 2.63%, 07/25/36(e)(f)     3,288,779  
  4,120,267     Credit Suisse Mortgage Capital Certificates, Series 2011-4R, Class 5A1, 4.13%, 05/27/36(e)(f)     3,966,099  
  3,232,092     Credit Suisse Mortgage Capital Certificates, Series 2011-4R, Class 6A1, 2.95%, 05/27/36(e)(f)     3,146,276  
  1,323,097     Credit Suisse Mortgage Capital Certificates, Series 2011-5R, Class 1A1, 2.94%, 07/25/36(e)(f)     1,285,293  
  3,532,311     Credit Suisse Mortgage Capital Certificates, Series 2011-5R, Class 2A1, 2.82%, 08/25/46(e)(f)     3,325,059  
  2,174,657     Credit Suisse Mortgage Capital Certificates, Series 2011-5R, Class 3A1, 5.42%, 09/20/37(e)(f)     2,136,230  
  4,375,361     Credit Suisse Mortgage Capital Certificates, Series 2011-6R, Class 5A1, 2.92%, 09/28/36(e)(f)     4,291,581  
  4,331,320     Credit Suisse Mortgage Capital Certificates, Series 2011-6R, Class 6A1, 2.92%, 08/28/36(e)(f)     4,247,808  
  1,910,305     Deutsche ALT-A Securities, Inc., Alternate Loan Trust, Series 2005-3, Class 4A4, 5.25%, 06/25/35     1,910,605  
  6,291,623     Deutsche ALT-A Securities, Inc., Alternate Loan Trust, Series 2007-1, Class 1A3B, 0.34%, 08/25/37(e)     4,891,677  
  4,329,283     Deutsche ALT-A Securities, Inc., Alternate Loan Trust, Series 2007-QA4, Class 1A1A, 0.39%, 08/25/47(e)     3,487,660  
  12,301,411     Deutsche ALT-A Securities, Inc., Alternate Loan Trust, Series 2007-RMP1, Class A2, 0.35%, 12/25/36(e)     9,085,046  


37
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
COLLATERALIZED MORTGAGE OBLIGATIONS (continued)        
$ 2,270,194     First Horizon Alternative Mortgage Securities, Series 2005-AA7, Class 2A1, 2.36%, 09/25/35(e)   $ 1,952,180  
  7,243,677     First Horizon Alternative Mortgage Securities, Series 2006-AA6, Class 2A1, 2.29%, 11/25/36(e)     5,330,479  
  7,550,644     First Horizon Alternative Mortgage Securities, Series 2006-FA3, Class A9, 6.00%, 07/25/36     6,974,123  
  4,000,000     FREMF Mortgage Trust, Series 2012-K708, Class C, 3.76%, 02/25/45(e)(f)     4,039,990  
  5,000,000     FREMF Mortgage Trust, Series 2012-K709, Class C, 3.74%, 04/01/45(e)(f)     5,035,210  
  1,798,437     GMAC Mortgage Corp. Loan Trust, Series 2005-AR6, Class 2A1, 3.81%, 11/19/35(e)     1,577,924  
  3,144,280     GMAC Mortgage Corp. Loan Trust, Series 2005-AR6, Class 4A1, 5.48%, 11/19/35(e)     3,155,457  
  3,704,836     GMAC Mortgage Corp. Loan Trust, Series 2006-AR1, Class 2A1, 3.51%, 04/19/36(e)     3,212,305  
  5,144,722     Greenpoint Mortgage Funding Trust, Series 2007-AR1, Class 3A2, 0.36%, 02/25/37(e)     3,516,982  
  4,041,227     GSMPS Mortgage Loan Trust, Series 2005-RP1, Class 1AF, 0.55%, 01/25/35(e)(f)     3,566,199  
  3,426,735     GSMPS Mortgage Loan Trust, Series 2006-RP1, Class 1AF1, 0.55%, 01/25/36(e)(f)     2,905,810  
  1,967,033     GSR Mortgage Loan Trust, Series 2005-AR1, Class 2A1, 2.97%, 01/25/35(e)     1,970,563  
  3,100,968     GSR Mortgage Loan Trust, Series 2005-AR3, Class 5A1, 2.88%, 05/25/35(e)     2,830,254  
  2,144,696     GSR Mortgage Loan Trust, Series 2005-AR5, Class 2A4, 2.93%, 10/25/35(e)     2,052,094  
  1,476,497     GSR Mortgage Loan Trust, Series 2006-4F, Class 1A1, 5.00%, 05/25/36     1,355,088  
  2,315,384     GSR Mortgage Loan Trust, Series 2006-9F, Class 9A1, 6.00%, 08/25/21     2,272,124  
  4,998,199     GSR Mortgage Loan Trust, Series 2006-AR1, Class 2A4, 2.78%, 01/25/36(e)     4,341,705  
  3,116,850     GSR Mortgage Loan Trust, Series 2006-AR1, Class 3A1, 3.19%, 01/25/36(e)     2,695,735  
Principal
Amount
        Value  
COLLATERALIZED MORTGAGE OBLIGATIONS (continued)        
$ 3,787,833     GSR Mortgage Loan Trust, Series 2007-4F, Class 3A1, 6.00%, 07/25/37   $ 3,589,649  
  7,625,196     Harborview Mortgage Loan Trust, Series 2006-6, Class 3A1A, 2.78%, 08/19/36(e)     5,284,227  
  2,948,519     Homebanc Mortgage Trust, Series 2005-1, Class A1, 0.45%, 03/25/35(e)     2,523,970  
  6,225,687     Homebanc Mortgage Trust, Series 2005-4, Class A1, 0.47%, 10/25/35(e)     5,441,665  
  2,867,940     Homebanc Mortgage Trust, Series 2006-1, Class 2A1, 2.46%, 04/25/37(e)     1,946,791  
  3,832,492     Homebanc Mortgage Trust, Series 2006-1, Class A1, 0.38%, 12/25/36(e)     3,286,186  
  2,743,327     Homebanc Mortgage Trust, Series 2007-1, Class 13A1, 5.75%, 04/25/47(e)     2,122,863  
  2,964,718     Indymac INDA Mortgage Loan Trust, Series 2006-AR2, Class 4A1, 5.39%, 09/25/36(e)     2,447,124  
  48,760     Indymac INDA Mortgage Loan Trust, Series 2007-AR7, Class 1A1, 3.22%, 11/25/37(e)     45,049  
  5,550,004     Indymac Index Mortgage Loan Trust, Series 2006-AR11, Class 4A1, 2.88%, 06/25/36(e)     4,028,383  
  5,800,382     Indymac Index Mortgage Loan Trust, Series 2006-AR12, Class A1, 0.39%, 09/25/46(e)     4,507,025  
  6,161,479     Indymac Index Mortgage Loan Trust, Series 2006-AR3, Class 3A1A, 2.81%, 04/25/36(e)     4,211,592  
  6,613,126     Indymac Index Mortgage Loan Trust, Series 2006-AR33, Class 2A21, 3.25%, 01/25/37(e)     5,243,589  
  13,113,336     Indymac Index Mortgage Loan Trust, Series 2007-FLX3, Class A1, 0.44%, 06/25/37(e)     11,411,528  
  2,977,882     JPMorgan Alternative Loan Trust, Series 2007-A1, Class 1A1B, 0.26%, 03/25/37(e)     2,647,348  
  9,750,780     JPMorgan Alternative Loan Trust, Series 2007-A1, Class 1A3A, 0.35%, 03/25/37(e)     7,408,447  
  9,123,597     JPMorgan Mortgage Trust, Series 2007-A5, Class 2A1, 1.49%, 10/25/37(e)     6,391,952  
  1,254,680     JPMorgan Mortgage Trust, Series 2007-S2, Class 2A3, 5.50%, 06/25/37     1,208,159  


38
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
COLLATERALIZED MORTGAGE OBLIGATIONS (continued)        
$ 2,503,167     Mastr Adjustable Rate Mortgages Trust, Series 2005-6, Class 5A2, 2.56%, 07/25/35(e)   $ 2,143,088  
  3,071,109     Mastr Reperforming Loan Trust, Series 2005-2, Class 1A1F, 0.55%, 05/25/35(e)(f)     2,693,631  
  2,764,698     Merrill Lynch Mortgage Investors, Inc., Series 2006-AF2, Class AF1, 6.25%, 10/25/36     2,421,022  
  2,195,141     Morgan Stanley Mortgage Loan Trust, Series 2006-2, Class 2A1, 1.10%, 02/25/36(e)     1,834,040  
  16,214,885     Morgan Stanley Re-REMIC Trust, Series 2010-R5, Class 5B, 0.47%, 01/26/37(c)(e)(f)     9,280,333  
  15,594,335     Morgan Stanley Re-REMIC Trust, Series 2010-R5, Class 7B, 0.43%, 05/26/37(e)(f)     9,041,679  
  8,373,310     Prime Mortgage Trust, Series 2006-DR1, Class 2A1, 5.50%, 05/25/35(f)     8,387,372  
  3,532,475     Prime Mortgage Trust, Series 2006-DR1, Class 2A2, 6.00%, 05/25/35(f)     3,589,329  
  6,803,567     Residential Accredit Loans, Inc., Series 2006-QO6, Class A2, 0.43%, 06/25/46(e)     3,442,879  
  5,770,075     Residential Accredit Loans, Inc., Series 2006-QS12, Class 2A4, 6.00%, 09/25/36     4,907,178  
  2,808,688     Residential Accredit Loans, Inc., Series 2006-QS15, Class A1, 6.50%, 10/25/36     2,247,291  
  2,304,725     Residential Accredit Loans, Inc., Series 2007-QS6, Class A1, 0.53%, 04/25/37(e)     1,445,668  
  3,426,724     Residential Asset Securitization Trust, Series 2006-A8, Class 2A3, 6.00%, 08/25/36     2,392,589  
  941,823     Residential Funding Mortgage Securities I, Series 2005-S8, Class A1, 5.50%, 11/25/35     935,504  
  3,162,210     Residential Funding Mortgage Securities I, Series 2005-SA5, Class 2A, 3.35%, 11/25/35(e)     2,661,286  
  554,286     Residential Funding Mortgage Securities I, Series 2006-S11, Class A2, 6.00%, 11/25/36     527,245  
  10,005,902     Residential Funding Mortgage Securities I, Series 2006-SA2, Class 2A1, 3.78%, 08/25/36(e)     7,850,639  
  1,789,772     Residential Funding Mortgage Securities I, Series 2007-S4, Class A2, 6.00%, 04/25/37     1,578,705  
Principal
Amount
        Value  
COLLATERALIZED MORTGAGE OBLIGATIONS (continued)        
$ 7,936,779     Residential Funding Mortgage Securities I, Series 2007-S7, Class A20, 6.00%, 07/25/37   $ 7,825,219  
  4,000,000     Sequoia Mortgage Trust, Series 2013-5, Class A2, 3.00%, 05/25/43(e)(f)     4,060,640  
  5,306,755     Structured Adjustable Rate Mortgage Loan Trust, Series 2005-11, Class 1A1, 2.59%, 05/25/35(e)     4,681,589  
  8,360,916     Structured Adjustable Rate Mortgage Loan Trust, Series 2005-17, Class 5A1, 4.85%, 08/25/35(e)     7,473,572  
  5,372,768     Structured Adjustable Rate Mortgage Loan Trust, Series 2005-19XS, Class 1A1, 0.52%, 10/25/35(e)     4,589,210  
  9,816,144     Structured Adjustable Rate Mortgage Loan Trust, Series 2006-1, Class 8A1, 5.50%, 02/25/36(e)     8,403,050  
  5,738,948     Structured Adjustable Rate Mortgage Loan Trust, Series 2006-9, Class 1A1, 4.51%, 10/25/36(e)     4,177,082  
  10,930,863     Structured Adjustable Rate Mortgage Loan Trust, Series 2006-9, Class 3A1, 4.95%, 10/25/36(e)     8,900,299  
  4,593,341     Structured Adjustable Rate Mortgage Loan Trust, Series 2007-4, Class 1A2, 0.42%, 05/25/37(e)     3,067,174  
  6,168,274     Structured Asset Mortgage Investments, Inc., Series 2006-AR5, Class 4A1, 0.42%, 05/25/46(e)     3,476,695  
  8,897,138     Structured Asset Securities Corp, Series 2005-RF3, Class 1A, 0.55%, 06/25/35(e)(f)     7,473,635  
  13,044,759     Structured Asset Securities Corp., Series 2005-RF2, Class A, 0.55%, 04/25/35(e)(f)     11,406,003  
  1,176,353     Suntrust Adjustable Rate Mortgage Loan Trust, Series 2007-1, Class 2A1, 5.82%, 02/25/37(e)     943,114  
  4,844,815     Suntrust Adjustable Rate Mortgage Loan Trust, Series 2007-2, Class 3A3, 5.45%, 04/25/37(e)     4,300,728  
  1,579,153     Suntrust Adjustable Rate Mortgage Loan Trust, Series 2007-2, Class 4A1, 5.48%, 04/25/37(e)     1,197,473  
  313,700     WaMu Mortgage Pass-Through Certificates, Series 2005-AR16, Class 1A1, 2.49%, 12/25/35(e)     296,252  
  9,444,633     WaMu Mortgage Pass-Through Certificates, Series 2006-AR10, Class 1A1, 2.66%, 09/25/36(e)     7,831,240  
  1,100,638     WaMu Mortgage Pass-Through Certificates, Series 2006-AR8, Class 1A1, 2.67%, 08/25/46(e)     948,144  


39
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
COLLATERALIZED MORTGAGE OBLIGATIONS (continued)        
$ 3,353,680     WaMu Mortgage Pass-Through Certificates, Series 2007-HY7, Class 2A2, 2.53%, 07/25/37(e)   $ 2,651,909  
  6,640,562     WaMu Mortgage Pass-Through Certificates, Series 2007-OA4, Class 1A, 0.95%, 05/25/47(e)     5,851,599  
  3,503,924     Washington Mutual Alternative Mortgage Pass-Through Certificates, Series 2005-10, Class 2A6, 5.50%, 11/25/35     2,971,416  
  7,797,384     Washington Mutual Alternative Mortgage Pass-Through Certificates, Series 2006-2, Class 4CB, 6.00%, 03/25/36     6,293,902  
  6,370,214     Washington Mutual Alternative Mortgage Pass-Through Certificates, Series 2006-5, Class 3A3, STEP, 6.22%, 07/25/36     3,843,214  
  1,505,531     Wells Fargo Mortgage Backed Securities Trust, Series 2006-AR10, Class 3A1, 2.63%, 07/25/36(e)     1,493,476  
  2,710,316     Wells Fargo Mortgage Backed Securities Trust, Series 2006-AR10, Class 5A3, 2.61%, 07/25/36(e)     2,448,227  
  2,035,681     Wells Fargo Mortgage Backed Securities Trust, Series 2006-AR13, Class A2, 2.61%, 09/25/36(e)     1,827,074  
  2,021,291     Wells Fargo Mortgage Backed Securities Trust, Series 2006-AR19, Class A1, 5.41%, 12/25/36(e)     2,056,749  
  2,026,570     Wells Fargo Mortgage Backed Securities Trust, Series 2006-AR8, Class 2A3, 2.72%, 04/25/36(e)     1,875,893  
  1,619,499     Wells Fargo Mortgage Backed Securities Trust, Series 2007-4, Class A4, 6.00%, 04/27/37     1,571,872  
  1,940,096     Wells Fargo Mortgage Backed Securities Trust, Series 2007-6, Class A6, 6.00%, 05/25/37     1,875,073  
  1,363,865     Wells Fargo Mortgage Backed Securities Trust, Series 2007-8, Class 1A16, 6.00%, 07/25/37     1,329,722  
  1,371,421     Wells Fargo Mortgage Backed Securities Trust, Series 2007-AR8, Class A1, 5.99%, 11/25/37(e)     1,233,482  
              884,639,567  
COMMERCIAL MORTGAGE-BACKED SECURITIES — 1.5%        
  6,000,000     Banc of America Merrill Lynch Commercial Mortgage, Inc., Series 2007-2, Class AM, 5.81%, 04/10/49(e)     6,757,302  
Principal
Amount
        Value  
COMMERCIAL MORTGAGE-BACKED SECURITIES (continued)        
$ 10,000,000     Bear Stearns Commercial Mortgage Securities, Series 2007-PW16, Class AM, 5.91%, 06/11/40(e)   $ 11,672,251  
  4,587,000     Citigroup Commercial Mortgage Trust, Series 2008-C7, Class AM, 6.34%, 12/10/49(e)     5,307,742  
  1,000,000     Commercial Mortgage Pass Through Certificates, Series 2013-LC6, Class D, 4.43%, 01/10/23(e)(f)     973,083  
  9,000,000     Greenwich Capital Commercial Funding Corp., Series 2005-GG5, Class AM, 5.31%, 04/10/37(e)     9,667,921  
  2,750,000     GS Mortgage Securities Corp. II, Series 2005-GG4, Class AJ, 4.78%, 07/10/39     2,851,780  
  2,000,000     GS Mortgage Securities Corp. II, Series 2006-GC6, Class AM, 5.62%, 04/10/38(e)     2,215,961  
  2,000,000     GS Mortgage Securities Corp. II, Series 2006-GG8, Class AJ, 5.62%, 11/10/39     2,000,955  
  1,000,000     JP Morgan Chase Commercial Mortgage Securities Trust, Series 2007-CB20, Class B, 6.38%, 02/12/51(e)(f)     932,142  
  5,000,000     JPMorgan Chase Commercial Mortgage Securities Trust, Series 2006-CB14, Class AM, 5.63%, 12/12/44(e)     5,418,921  
  5,380,000     JPMorgan Chase Commercial Mortgage Securities Trust, Series 2007-CB20, Class AJ, 6.28%, 02/12/51(e)     5,642,571  
  2,080,000     LB-UBS Commercial Mortgage Trust, Series 2005-C2, Class AJ, 5.21%, 04/15/30(e)     2,201,578  
  5,000,000     LB-UBS Commercial Mortgage Trust, Series 2006-C4, Class AJ, 6.08%, 06/15/38(e)     5,163,198  
  7,000,000     LB-UBS Commercial Mortgage Trust, Series 2006-C7, Class AM, 5.38%, 11/15/38     7,852,212  
  5,000,000     LB-UBS Commercial Mortgage Trust, Series 2007-C1, Class AM, 5.46%, 02/15/40     5,695,506  
  8,669,000     LB-UBS Commercial Mortgage Trust, Series 2007-C6, Class AMFL, 6.11%, 07/15/40(f)     9,206,716  
  5,000,000     Morgan Stanley Capital I Trust, Series 2007-HQ12, Class AM, 5.76%, 04/12/49(e)     5,513,980  
  8,290,000     Morgan Stanley Capital I Trust, Series 2007-IQ15, Class AM, 6.09%, 06/11/49(e)     9,371,082  


40
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
COMMERCIAL MORTGAGE-BACKED SECURITIES (continued)        
$ 3,333,300     Wachovia Bank Commercial Mortgage Trust, Series 2007-C33, Class AJ,
6.12%, 02/15/51(e)
  $ 3,314,655  
  3,000,000     Wachovia Bank Commercial Mortgage Trust, Series 2007-C33, Class AM,
6.12%, 02/15/51(e)
    3,464,064  
              105,223,620  
Total Non-Agency Mortgage-Backed Securities(Cost $886,667,826)     989,863,187  
U.S. GOVERNMENT AGENCIES — 5.2%        
Federal Farm Credit Bank — 0.0%        
  1,000,000     0.05%, 05/20/13(l)     999,974  
Federal Home Loan Bank — 5.2%        
  35,000,000     0.02%, 05/01/13(l)     35,000,000  
  37,000,000     0.07%, 05/08/13(l)     36,999,532  
  75,000,000     0.06%, 05/15/13(l)     74,998,396  
  9,750,000     0.05%, 05/17/13(l)     9,749,783  
  15,000,000     0.02%, 05/20/13(l)     14,999,842  
  22,900,000     0.05%, 05/22/13(l)     22,899,365  
  160,000,000     0.05%, 05/24/13(l)     159,994,988  
  7,000,000     0.03%, 06/04/13(l)     6,999,802  
Total U.S. Government Agencies
(Cost $362,641,682)
    362,641,682  
U.S. GOVERNMENT SECURITIES — 17.6%        
U.S. Treasury Bills — 17.6%        
  427,000,000     0.03%, 05/02/13(l)     426,999,474  
  25,000,000     0.04%, 05/02/13(l)     24,999,972  
  22,000,000     0.03%, 05/09/13(l)     21,999,853  
  376,000,000     0.04%, 05/16/13(l)     375,993,696  
  50,000,000     0.04%, 05/16/13(l)     49,999,240  
  306,000,000     0.02%, 05/23/13(l)     305,993,177  
  1,000,000     0.03%, 06/06/13(l)     999,975  
  15,000,000     0.13%, 08/22/13(l)     14,997,405  
Total U.S. Government Securities
(Cost $1,221,979,266)
    1,221,982,792  
                 
Shares              
CASH SWEEP — 2.1%        
UNITED STATES — 2.1%        
  149,565,447     Citibank - US Dollars on Deposit in Custody Account, 0.02%(m)     149,565,447  
Total Cash Sweep
(Cost $149,565,447)
    149,565,447  
TOTAL INVESTMENTS — 99.9%
(Cost $6,601,522,386)(a)
  $ 6,952,231,107  
OTHER ASSETS IN EXCESS OF LIABILITIES — 0.1%     8,393,968  
NET ASSETS — 100.0%   $ 6,960,625,075  
               
Principal
Amount
             
SECURITIES SOLD SHORT — (0.1)%        
$ (5,000,000 )   Fannie Mae Mortgage-Backed Securities   $ (5,229,688 )
Total Securities Sold Short
(Proceeds received $(5,204,141))
  $ (5,229,688 )
                 
Contracts           Value  
CALL OPTIONS WRITTEN — (2.1)%        
  (1,000 )   American Capital Agency Corp., Strike $32.00, Expires 01/18/14     (178,000 )
  (3,000 )   American International Group, Inc., Strike $33.00, Expires 01/17/15     (3,375,000 )
  (1,000 )   American International Group, Inc., Strike $35.00, Expires 01/17/15     (1,000,000 )
  (904 )   American International Group, Inc., Strike $36.00, Expires 05/18/13     (497,200 )
  (1,500 )   American International Group, Inc., Strike $37.00, Expires 08/17/13     (802,500 )
  (1,000 )   American International Group, Inc., Strike $38.00, Expires 08/17/13     (460,000 )
  (1,000 )   American International Group, Inc., Strike $39.00, Expires 06/22/13     (320,000 )
  (1,000 )   American International Group, Inc., Strike $40.00, Expires 11/16/13     (410,000 )
  (1,000 )   American International Group, Inc., Strike $45.00, Expires 01/17/15     (510,000 )
  (200 )   Apple, Inc., Strike $360.00, Expires 01/18/14     (1,772,000 )
  (75 )   Apple, Inc., Strike $370.00, Expires 01/18/14     (606,375 )
  (100 )   Apple, Inc., Strike $400.00, Expires 01/18/14     (599,000 )
  (100 )   Apple, Inc., Strike $410.00, Expires 01/18/14     (538,000 )
  (200 )   Apple, Inc., Strike $420.00, Expires 01/18/14     (980,000 )
  (265 )   Apple, Inc., Strike $450.00, Expires 01/17/15     (1,502,550 )
  (100 )   Apple, Inc., Strike $450.00, Expires 01/18/14     (338,500 )
  (100 )   Apple, Inc., Strike $480.00, Expires 01/18/14     (232,000 )


41
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Contracts         Value  
  (4,625 )   Applied Materials, Inc., Strike $10.00, Expires 01/18/14   $ (2,104,375 )
  (6,403 )   Applied Materials, Inc., Strike $12.00, Expires 01/18/14     (1,754,422 )
  (2,000 )   Avago Technologies Ltd., Strike $30.00, Expires 07/20/13     (600,000 )
  (2,000 )   Avago Technologies Ltd., Strike $30.00, Expires 10/19/13     (780,000 )
  (1,500 )   Avago Technologies Ltd., Strike $32.50, Expires 07/20/13     (247,500 )
  (5,000 )   Bank of America Corp., Strike $10.00, Expires 01/17/15     (1,625,000 )
  (17,000 )   Bank of America Corp., Strike $10.00, Expires 01/18/14     (4,539,000 )
  (3,500 )   Bank of America Corp., Strike $11.00, Expires 11/16/13     (619,500 )
  (4,000 )   Bank of America Corp., Strike $12.00, Expires 08/17/13     (348,000 )
  (2,500 )   Bill Barrett Corp., Strike $17.50, Expires 09/21/13     (975,000 )
  (71 )   CF Industries Holdings, Inc., Strike $190.00, Expires 01/18/14     (115,375 )
  (100 )   CF Industries Holdings, Inc., Strike $190.00, Expires 08/17/13     (95,500 )
  (100 )   CF Industries Holdings, Inc., Strike $195.00, Expires 08/17/13     (74,500 )
  (129 )   CF Industries Holdings, Inc., Strike $210.00, Expires 01/18/14     (114,810 )
  (150 )   CF Industries Holdings, Inc., Strike $215.00, Expires 01/18/14     (113,250 )
  (1,351 )   Cisco Systems, Inc., Strike $15.00, Expires 01/18/14     (817,355 )
  (1,485 )   Cisco Systems, Inc., Strike $17.00, Expires 01/17/15     (697,950 )
  (1,500 )   Citigroup, Inc., Strike $30.00, Expires 01/18/14     (2,580,000 )
  (1,000 )   Coach, Inc., Strike $45.00, Expires 01/18/14     (1,470,000 )
  (250 )   Coach, Inc., Strike $50.00, Expires 01/18/14     (267,500 )
  (4,000 )   Corning, Inc., Strike $10.00, Expires 01/17/15     (1,880,000 )
  (2,650 )   Dell, Inc., Strike $10.00, Expires 01/18/14     (940,750 )
  (4,965 )   Dell, Inc., Strike $13.00, Expires 08/17/13     (347,550 )
  (145 )   Dell, Inc., Strike $8.00, Expires 01/18/14     (81,200 )
  (1,000 )   Dollar General Corp., Strike $43.00, Expires 08/17/13     (990,000 )
  (1,250 )   Dollar General Corp., Strike $45.00, Expires 01/18/14     (1,150,000 )
  (3,000 )   Exelis, Inc., Strike $10.00, Expires 07/20/13     (390,000 )
Contracts         Value  
  (15 )   Exelon Corp., Strike $28.00, Expires 07/20/13   $ (14,400 )
  (1,250 )   Family Dollar Stores, Inc., Strike $55.00, Expires 01/18/14     (1,100,000 )
  (1,973 )   Freeport-McMoRan Copper & Gold, Inc., Strike $25.00, Expires 01/18/14     (1,282,450 )
  (3,500 )   Freeport-McMoRan Copper & Gold, Inc., Strike $28.00, Expires 01/18/14     (1,575,000 )
  (10 )   GameStop Corp., Strike $13.00, Expires 01/18/14     (22,050 )
  (17 )   GameStop Corp., Strike $15.00, Expires 01/18/14     (34,085 )
  (11 )   Hewlett-Packard Co., Strike $10.00, Expires 01/18/14     (11,715 )
  (7,220 )   Hewlett-Packard Co., Strike $13.00, Expires 01/18/14     (5,595,500 )
  (1,627 )   Hewlett-Packard Co., Strike $15.00, Expires 01/18/14     (968,065 )
  (1,000 )   HollyFrontier Corp., Strike $48.00, Expires 01/18/14     (660,000 )
  (4,250 )   Intel Corp., Strike $20.00, Expires 01/18/14     (1,763,750 )
  (1,648 )   iShares FTSE China 25 Index Fund, Strike $35.00, Expires 01/18/14     (634,480 )
  (1,000 )   iShares FTSE China 25 Index Fund, Strike $36.00, Expires 08/17/13     (244,000 )
  (1,000 )   iShares MSCI EAFE Index Fund, Strike $47.00, Expires 01/18/14     (1,515,000 )
  (558 )   iShares MSCI Emerging Markets Index Fund, Strike $30.00, Expires 06/22/13     (831,420 )
  (1,250 )   iShares MSCI Emerging Markets Index Fund, Strike $31.00, Expires 06/22/13     (1,737,500 )
  (2,941 )   iShares MSCI Germany Index Fund, Strike $21.00, Expires 01/18/14     (1,382,270 )
  (715 )   iShares MSCI Germany Index Fund, Strike $22.00, Expires 01/18/14     (278,850 )
  (1,000 )   iShares MSCI South Korea Index Fund, Strike $52.00, Expires 10/19/13     (750,000 )
  (1,500 )   Kohl’s Corp., Strike $40.00, Expires 01/18/14     (1,215,000 )
  (7,000 )   Kulicke & Soffa Industries, Inc., Strike $10.00, Expires 10/19/13     (1,435,000 )
  (1,055 )   Lexmark International, Inc., Strike $18.00, Expires 01/18/14     (1,318,750 )
  (5,000 )   MGM Resorts International, Strike $10.00, Expires 01/18/14     (2,225,000 )


42
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Contracts         Value  
  (6,255 )   MGM Resorts International, Strike $11.00, Expires 06/22/13   $ (2,001,600 )
  (5,250 )   Microsoft Corp., Strike $25.00, Expires 01/18/14     (4,278,750 )
  (3,235 )   Morgan Stanley, Strike $17.00, Expires 01/18/14     (1,876,300 )
  (1,500 )   Morgan Stanley, Strike $20.00, Expires 01/18/14     (525,000 )
  (2,500 )   Mosaic Co. (The), Strike $47.50, Expires 01/18/14     (3,850,000 )
  (1,000 )   Myriad Genetics, Inc., Strike $18.00, Expires 08/17/13     (1,020,000 )
  (2,500 )   Myriad Genetics, Inc., Strike $20.00, Expires 08/17/13     (2,125,000 )
  (4,000 )   Nabors Industries Ltd., Strike $13.00, Expires 01/18/14     (1,188,000 )
  (1,500 )   NetApp, Inc., Strike $22.00, Expires 06/22/13     (2,032,500 )
  (2,000 )   NetApp, Inc., Strike $25.00, Expires 01/18/14     (2,130,000 )
  (2,347 )   NetApp, Inc., Strike $30.00, Expires 01/18/14     (1,572,490 )
  (5,500 )   NetApp, Inc., Strike $30.00, Expires 06/22/13     (3,080,000 )
  (3,550 )   Newmont Mining Corp., Strike $30.00, Expires 01/18/14     (1,597,500 )
  (1,000 )   Nu Skin Enterprises, Inc., Strike $35.00, Expires 01/17/15     (1,960,000 )
  (7,916 )   NVIDIA Corp., Strike $10.00, Expires 01/17/15     (3,364,300 )
  (10,224 )   NVIDIA Corp., Strike $10.00, Expires 01/18/14     (3,987,360 )
  (5,000 )   NVIDIA Corp., Strike $11.00, Expires 09/21/13     (1,435,000 )
  (1,500 )   Occidental Petroleum Corp., Strike $67.50, Expires 01/18/14     (3,367,500 )
  (75 )   Occidental Petroleum Corp., Strike $75.00, Expires 01/18/14     (120,375 )
  (500 )   Occidental Petroleum Corp., Strike $77.50, Expires 01/18/14     (705,000 )
  (500 )   Occidental Petroleum Corp., Strike $80.00, Expires 01/18/14     (615,000 )
  (1,000 )   QUALCOMM, Inc., Strike $55.00, Expires 01/18/14     (850,000 )
  (1,861 )   Questcor Pharmaceuticals, Inc., Strike $20.00, Expires 01/18/14     (2,307,640 )
  (1,000 )   Questcor Pharmaceuticals, Inc., Strike $24.00, Expires 07/20/13     (820,000 )
  (139 )   Questcor Pharmaceuticals, Inc., Strike $25.00, Expires 01/18/14     (122,320 )
  (1,500 )   Seagate Technology Plc, Strike $18.00, Expires 01/17/15     (2,835,000 )
Contracts         Value  
  (2,498 )   Seagate Technology Plc, Strike $20.00, Expires 01/18/14   $ (4,196,640 )
  (1,702 )   Seagate Technology Plc, Strike $22.00, Expires 01/18/14     (2,527,470 )
  (1,000 )   Seagate Technology Plc, Strike $25.00, Expires 01/18/14     (1,185,000 )
  (2,000 )   Seagate Technology Plc, Strike $25.00, Expires 09/21/13     (2,350,000 )
  (1,000 )   Seagate Technology Plc, Strike $27.00, Expires 01/18/14     (1,015,000 )
  (1,500 )   Seagate Technology Plc, Strike $32.00, Expires 09/21/13     (870,000 )
  (3,000 )   Select Comfort Corp. Strike $15.00, Expires 09/21/13     (2,070,000 )
  (5,000 )   Silicon Motion Technology Corp., Strike $10.00, Expires 09/21/13     (775,000 )
  (400 )   SPDR S&P 500 ETF Trust, Strike $135.00, Expires 01/18/14     (1,038,800 )
  (500 )   SPDR S&P 500 ETF Trust, Strike $145.00, Expires 01/18/14     (863,000 )
  (673 )   St. Jude Medical, Inc., Strike $32.50, Expires 01/18/14     (632,620 )
  (2,000 )   Teva Pharmaceutical Industries Ltd., Strike $40.00, Expires 01/18/14     (282,000 )
  (24 )   Texas Instruments, Inc., Strike $25.00, Expires 01/18/14     (27,360 )
  (1,750 )   Total SA, Strike $45.00, Expires 01/18/14     (1,085,000 )
  (1,000 )   UnitedHealth Group, Inc., Strike $50.00, Expires 01/18/14     (1,095,000 )
  (2,000 )   Warner Chilcott Plc, Strike $12.00, Expires 07/20/13     (490,000 )
  (4,000 )   Warner Chilcott Plc, Strike $12.00, Expires 10/19/13     (1,140,000 )
  (9,000 )   Weatherford International Ltd., Strike $10.00, Expires 01/18/14     (3,015,000 )
  (3,000 )   Weatherford International Ltd., Strike $10.00, Expires 11/16/13     (960,000 )
  (1,500 )   Western Digital Corp., Strike $40.00, Expires 01/18/14     (2,467,500 )
Total Call Options Written
(Premiums received $(114,702,364))
    (144,285,972 )
STRUCTURED OPTIONS — 1.5%        
  121,330     American International Group, Inc., One call strike $43.27, One written call strike $53.573, One written put strike $43.27 with a barrier level strike of $28.847, Expires 01/16/15, Broker Goldman Sachs Group, Inc.     (419,183 )


43
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Contracts         Value  
  50,000     Basket 50% UKX Index & 50% DAXK Index, One call strike at 100%, One written call strike at 110%, One written put strike at 100% with a barrier level strike at 75%, Expires 08/07/13, Broker JPMorgan Chase & Co.   $ 354,482  
  147,580     Citigroup, Inc., One written call strike $40.30, One written put strike $43.64 with a barrier level strike of $28.36, Expires 02/21/14, Broker Goldman Sachs Group, Inc.     511,979  
  143,308     Citigroup, Inc., One written call strike $41.00, One written put strike $43.64 with a barrier level strike of $28.36, Expires 01/17/14, Broker Goldman Sachs Group, Inc.     503,452  
  2,624     DAXK Index, One call strike $3,808.3, One written call strike $4,569.96, One written put strike $3,808.3 with a barrier level strike of $2,665.81, Expires 09/20/13, Broker Goldman Sachs Group, Inc.     1,017,000  
  2,785     DAXK Index, One call strike $4,014.32, One written call strike $4,616.46, One written put strike $4,014.32 with a barrier level strike of $2,609.308, Expires 10/18/13, Broker Goldman Sachs Group, Inc.     659,678  
  2,455     DAXK Index, One call strike $4,073.41, One written call strike $4,684.42, One written put strike $4,073.41 with a barrier level strike of $2,647.72, Expires 10/18/13, Broker Credit Suisse Group AG     515,000  
  2,455     DAXK Index, One call strike $4,073.41, One written call strike $4,684.42, One written put strike $4,073.41 with a barrier level strike of $2,647.72, Expires 11/15/13, Broker Credit Suisse Group AG     510,157  
  6,028     DAXK Index, One call strike $4,147.00, One written call strike $4,769.05, One written put strike $4,147.00 with a barrier level strike of $2,695.55, Expires 04/17/14, Broker Goldman Sachs Group, Inc.     685,363  
Contracts         Value  
  2,338     DAXK Index, One call strike $4,277.00, One written call strike $4,833.01, One written put strike $4,277.00 with a barrier level strike of $2,993.90, Expires 08/15/14, Broker Goldman Sachs Group, Inc.   $ (296,885 )
  4,319     DAXK Index, One call strike $4,318.75, One written call strike $4,966.5625, One written put strike $4,318.75 with a barrier level strike of $3,023.125, Expires 06/20/14, Broker JPMorgan Chase & Co.     (261,472 )
  1,464     Energy Select Sector SPDR, outperformance call option above Consumer Discretionary SPDR, One written put strike $1,463.78, with a barrier level strike on the S&P 500 Index of $1,024.646, Expires 06/21/13, Broker Citigroup, Inc.     (4,590 )
  858,623     FTSE 100 Index, One call strike $6,541.93, One written call strike $1,330.55 on TOPIX 100 Index, One written put strike $1,214.85 on TOPIX 100 Index with a barrier level strike of $983.45, Expires 07/26/13, Broker Goldman Sachs Group, Inc.     (261,888 )
  10,000     FTSE MIB Index, One call strike $16,163.89, One written call strike $20,204.86, One written put strike $15,542.20 with a barrier level strike of $11,656.65, Expires 06/20/14, Broker Goldman Sachs Group, Inc.     204,175  
  10,000     FTSE MIB Index, One call strike $16,163.89, One written call strike $20,204.86, One written put strike $15,542.20 with a barrier level strike of $11,656.65, Expires 06/20/14, Broker Goldman Sachs Group, Inc.     155,368  
  184,702     iShares MSCI Brazil Index Fund, One call strike $54.1412, One written call strike $62.2624, One written put strike $54.1412 with a barrier level strike of $32.4847, Expires 11/15/13, Broker Citigroup, Inc.     355,674  


44
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Contracts         Value  
  91,950     iShares MSCI Brazil Index Fund, One call strike $54.3776, One written call strike $62.5342, One written put strike $54.3776 with a barrier level strike of $32.6266, Expires 11/15/13, Broker Citigroup, Inc.   $ 172,510  
  183,149     iShares MSCI Brazil Index Fund, One call strike $54.6003, One written call strike $62.7903, One written put strike $54.6003 with a barrier level strike of $39.312, Expires 09/19/14, Broker JPMorgan Chase & Co.     (267,493 )
  93,089     iShares MSCI Brazil Index Fund, One call strike $54.7864, One written call strike $57.4721, One written put strike $56.3978 with a barrier level strike of $48.3410, Expires 07/19/13, Broker Citigroup, Inc.     (45,098 )
  181,225     iShares MSCI Brazil Index Fund, One call strike $55.18, One written call strike $62.35, One written put strike $55.18 with a barrier level strike of $41.39, Expires 08/15/14, Broker UBS AG     (445,028 )
  178,935     iShares MSCI Brazil Index Fund, One call strike $55.8863, One written call strike $63.1515, One written put strike $55.8863 with a barrier level strike of $41.9147, Expires 07/18/14, Broker Citigroup, Inc.     (492,993 )
  177,305     iShares MSCI Brazil Index Fund, One call strike $56.40, One written call strike $62.60, One written put strike $56.40 with a barrier level strike of $41.17, Expires 02/21/14, Broker UBS AG     (229,218 )
  97,599     iShares MSCI EAFE Index Fund, One call strike $51.23, One written call strike $58.91, One written put strike $51.23 with a barrier level strike of $33.30, Expires 01/17/14, Broker UBS AG     542,707  
  189,753     iShares MSCI EAFE Index Fund, One call strike $52.70, One written call strike $57.97, One written put strike $52.70 with a barrier level strike of $31.62, Expires 02/21/14, Broker UBS AG     674,586  
  Contracts           Value  
  94,762     iShares MSCI EAFE Index Fund, One call strike $52.7638, One written call strike $60.6784, One written put strike $52.7638 with a barrier level strike of $34.2965, Expires 02/21/14, Broker Citigroup, Inc.   $ 474,159  
  470,190     iShares MSCI EAFE Index Fund, One call strike $53.17, One written call strike $61.1455, One written put strike $53.17 with a barrier level strike of $34.5605, Expires 09/20/13, Broker Goldman Sachs Group, Inc.     2,763,529  
  1,128,456     iShares MSCI EAFE Index Fund, One call strike $53.17, One written call strike $63.804, One written put strike $53.17 with a barrier level strike of $34.5605, Expires 02/21/14, Broker Goldman Sachs Group, Inc.     6,940,541  
  750,920     iShares MSCI EAFE Index Fund, One call strike $53.268, One written call strike $61.2582, One written put strike $53.268 with a barrier level strike of $37.288, Expires 07/19/13, Broker JPMorgan Chase & Co.     4,800,974  
  93,552     iShares MSCI EAFE Index Fund, One call strike $53.446, One written call strike $61.4629, One written put strike $53.446 with a barrier level strike of $32.0676, Expires 03/21/14, Broker Goldman Sachs Group, Inc.     448,051  
  187,058     iShares MSCI EAFE Index Fund, One call strike $53.4593, One written call strike $58.8052, One written put strike $53.4593 with a barrier level strike of $34.7490, Expires 01/17/14, Broker JPMorgan Chase & Co.     652,947  
  139,070     iShares MSCI EAFE Index Fund, One call strike $53.93, One written call strike $62.02, One written put strike $53.93 with a barrier level strike of $32.358, Expires 03/21/14, Broker Goldman Sachs Group, Inc.     654,965  


45
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Contracts         Value  
  163,026     iShares MSCI EAFE Index Fund, One call strike $54.27, One written call strike $62.4105, One written put strike $54.27 with a barrier level strike of $35.2755, Expires 01/17/14, Broker Citigroup, Inc.   $ 775,215  
  184,150     iShares MSCI EAFE Index Fund, One call strike $54.3036, One written call strike $62.4491, One written put strike $54.3036 with a barrier level strike of $35.2973, Expires 02/21/14, Broker Goldman Sachs Group, Inc.     841,624  
  183,993     iShares MSCI EAFE Index Fund, One call strike $54.35, One written call strike $62.50, One written put strike $54.35 with a barrier level strike of $32.61, Expires 02/21/14, Broker UBS AG     866,878  
  303,495     iShares MSCI EAFE Index Fund, One call strike $54.6556, One written call strike $61.2143, One written put strike $54.6556 with a barrier level strike of $38.2589, Expires 07/19/13, Broker Citigroup, Inc.     1,515,638  
  182,882     iShares MSCI EAFE Index Fund, One call strike $54.68, One written call strike $62.88, One written put strike $54.68 with a barrier level strike of $35.54, Expires 12/20/13, Broker UBS AG     875,368  
  272,777     iShares MSCI EAFE Index Fund, One call strike $54.99, One written call strike $63.24, One written put strike $54.99 with a barrier level strike of $35.74, Expires 03/21/14, Broker UBS AG     1,131,686  
  272,727     iShares MSCI EAFE Index Fund, One call strike $55.00, One written call strike $63.25, One written put strike $55.00 with a barrier level strike of $33.00, Expires 04/17/14, Broker UBS AG     1,132,130  
  90,843     iShares MSCI EAFE Index Fund, One call strike $55.04, One written call strike $63.296, One written put strike $55.04 with a barrier level strike of $33.024, Expires 04/17/14, Broker JPMorgan Chase & Co.     388,235  
Contracts         Value  
  271,730     iShares MSCI EAFE Index Fund, One call strike $55.2019, One written call strike $63.4822, One written put strike $55.2019 with a barrier level strike of $37.5373, Expires 03/21/14, Broker Credit Suisse Group AG   $ 1,044,830  
  178,955     iShares MSCI EAFE Index Fund, One call strike $55.88, One written call strike $62.5856, One written put strike $55.88 with a barrier level strike of $36.322, Expires 04/17/14, Broker JPMorgan Chase & Co.     525,888  
  266,809     iShares MSCI EAFE Index Fund, One call strike $56.22, One written call strike $64.65, One written put strike $56.22 with a barrier level strike of $38.23, Expires 05/16/14, Broker Credit Suisse Group AG     846,874  
  266,714     iShares MSCI EAFE Index Fund, One call strike $56.24, One written call strike $64.68, One written put strike $56.24 with a barrier level strike of $39.37, Expires 05/16/14, Broker UBS AG     781,288  
  177,462     iShares MSCI EAFE Index Fund, One call strike $56.35, One written call strike $67.62, One written put strike $56.35 with a barrier level strike of $36.63, Expires 08/15/14, Broker Credit Suisse Group AG     596,531  
  176,697     iShares MSCI EAFE Index Fund, One call strike $56.5940, One written call strike $65.0831, One written put strike $56.5940 with a barrier level strike of $36.7861, Expires 08/15/14, Broker Citigroup, Inc.     365,653  
  174,767     iShares MSCI EAFE Index Fund, One call strike $57.2191, One written call strike $65.8020, One written put strike $57.2191 with a barrier level strike of $37.1924, Expires 08/15/14, Broker Citigroup, Inc.     317,691  


46
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Contracts         Value  
  173,220     iShares MSCI EAFE Index Fund, One call strike $57.73, One written call strike $68.12, One written put strike $57.73 with a barrier level strike of $41.85, Expires 07/18/14, Broker Credit Suisse Group AG   $ 341,174  
  172,859     iShares MSCI EAFE Index Fund, One call strike $57.8506, One written call strike $66.5282, One written put strike $57.8506 with a barrier level strike of $39.0492, Expires 08/15/14, Broker Citigroup, Inc.     225,112  
  259,023     iShares MSCI EAFE Index Fund, One call strike $57.91, One written call strike $64.69, One written put strike $57.91 with a barrier level strike of $40.54, Expires 08/15/14, Broker UBS AG     334,771  
  345,352     iShares MSCI EAFE Index Fund, One call strike $57.912, One written call strike $67.77, One written put strike $57.912 with a barrier level strike of $40.54, Expires 08/15/14, Broker Goldman Sachs Group, Inc.     510,996  
  85,837     iShares MSCI EAFE Index Fund, One call strike $58.25, One written call strike $64.08, One written put strike $58.25 with a barrier level strike of $40.78, Expires 07/18/14, Broker UBS AG     9,304  
  170,329     iShares MSCI EAFE Index Fund, One call strike $58.71, One written call strike $65.17, One written put strike $58.71 with a barrier level strike of $41.10, Expires 08/15/14, Broker UBS AG     (26,944 )
  423,298     iShares MSCI EAFE Index Fund, One call strike $60.83, One written put strike $50.20 with a barrier level strike of $44.295, Expires 07/29/13, Broker Goldman Sachs Group, Inc.     687,828  
  750,920     iShares MSCI EAFE Index Fund, One call strike $61.2582, One written call strike $53.268, One put strike $53.268 with a barrier level strike of $37.288, Expires 07/19/13, Broker Goldman Sachs Group, Inc.     (4,720,815 )
Contracts         Value   
  337,268     iShares MSCI EAFE Index Fund, One call strike $61.672, One written put strike $51.591 with a barrier level strike of $45.661, Expires 09/20/13, Broker Goldman Sachs Group, Inc.   $ 527,808  
  240,804     iShares MSCI Emerging Markets Index Fund, One call strike $41.5276, One written call strike $47.7567, One written put strike $41.5276 with a barrier level strike of $26.993, Expires 04/17/14, Broker JPMorgan Chase & Co.     340,531  
  354,404     iShares MSCI Emerging Markets Index Fund, One call strike $42.3246, One written call strike $48.25, One written put strike $42.3246 with a barrier level strike of $29.6272, Expires 04/17/14, Broker Citigroup, Inc.     219,546  
   354,244         iShares MSCI Emerging Markets Index Fund, One call strike $42.3437, One written call strike $48.6953, One written put strike $42.3437 with a barrier level strike of $30.9109, Expires 08/15/14, Broker Citigroup, Inc.         (131,765 )
  233,918     iShares MSCI Emerging Markets Index Fund, One call strike $42.75, One written call strike $49.16, One written put strike $42.75 with a barrier level strike of $30.78, Expires 09/19/14, Broker UBS AG     (174,882 )
  230,627     iShares MSCI Emerging Markets Index Fund, One call strike $43.36, One written call strike $49.864, One written put strike $43.36 with a barrier level strike of $30.3520, Expires 05/16/14, Broker JPMorgan Chase & Co.     30,538  
  229,938     iShares MSCI Emerging Markets Index Fund, One call strike $43.49, One written call strike $47.84, One written put strike $43.49 with a barrier level strike of $30.44, Expires 01/17/14, Broker UBS AG     (23,656 )
  457,143     iShares MSCI Emerging Markets Index Fund, One call strike $43.75, One written call strike $48.125, One written put strike $43.75 with a barrier level strike of $32.375, Expires 02/21/14, Broker JPMorgan Chase & Co.     (173,589 )


47
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Contracts         Value  
  334,225     iShares MSCI Emerging Markets Index Fund, One call strike $44.88, One written call strike $51.62, One written put strike $44.88 with a barrier level strike of $32.537, Expires 06/20/14, Broker Goldman Sachs Group, Inc.   $ (469,646 )
  140,193     iShares MSCI Mexico Index Fund, One call strike $71.33, One written call strike $82.03, One written put strike $71.33 with a barrier level strike of $49.93, Expires 05/16/14, Broker UBS AG     40,810  
  137,269     iShares MSCI Mexico Index Fund, One call strike $72.85, One written call strike $83.78, One written put strike $72.85 with a barrier level strike of $54.6375, Expires 07/18/14, Broker Goldman Sachs Group, Inc.     (307,641 )
  137,212     iShares MSCI Mexico Index Fund, One call strike $72.88, One written call strike $80.8968, One written put strike $72.88 with a barrier level strike of $54.66, Expires 02/21/14, Broker JPMorgan Chase & Co.     (130,625 )
  347,175     iShares Silver Trust, One call strike $28.804 with a barrier level strike of $43.207, One written put strike $28.804 with a barrier level strike of $18.722, Expires 08/15/14, Broker Goldman Sachs Group, Inc.     (1,497,822 )
  613,686     iShares Silver Trust, One call strike $32.59 with a barrier level strike of $48.885, One written put strike $32.59 with a barrier level strike of $19.554, Expires 06/20/14, Broker Goldman Sachs Group, Inc.     (4,119,371 )
  236,821     Market Vectors Oil Service ETF, One call strike $42.226, One written call strike $47.7154, One written put strike $42.226 with a barrier level strike of $27.4469, Expires 09/19/14, Broker Goldman Sachs Group, Inc.     (275,492 )
Contracts         Value  
  234,192     Market Vectors Oil Service ETF, One call strike $42.70, One written call strike $46.97, One written put strike $42.70 with a barrier level strike of $29.89, Expires 01/17/14, Broker Goldman Sachs Group, Inc.   $ (60,332 )
  378,215     Market Vectors Russia ETF, One call strike $26.44, One written call strike $31.728, One written put strike $26.44 with a barrier level strike of $18.508, Expires 09/19/14, Broker Goldman Sachs Group, Inc.     (324,029 )
  366,133     Market Vectors Russia ETF, One call strike $27.3125, One written call strike $31.41, One written put strike $27.3125 with a barrier level strike of $17.752, Expires 01/17/14, Broker Goldman Sachs Group, Inc.     (53,823 )
  180,050     Market Vectors Russia ETF, One call strike $27.77, One written call strike $33.324, One written put strike $27.77 with a barrier level strike of $16.662, Expires 12/20/13, Broker Goldman Sachs Group, Inc.     32,032  
  268,529     Market Vectors Russia ETF, One call strike $27.93, One written call strike $33.53, One written put strike $27.93 with a barrier level strike of $16.75, Expires 12/20/13, Broker Goldman Sachs Group, Inc.     21,538  
  177,557     Market Vectors Russia ETF, One call strike $28.16, One written call strike $33.80, One written put strike $28.16 with a barrier level strike of $16.89, Expires 12/20/13, Broker Goldman Sachs Group, Inc.     (7,160 )
  10,000     MSCI EAFE Index, One call strike $1,641.42, One written put strike $1,641.42 with a barrier level strike of $1,329.55, Expires 03/31/14, Broker Goldman Sachs Group, Inc.     917,978  


48
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Contracts           Value  
10,000     Nikkei-225 Index, One call strike $10,629.8287, One written call strike $12,755.7944, Expires 06/18/14, One written put strike $878.5780 on Russell 2000 Index with a barrier level strike of $615.0046, Expires 06/20/14, Broker Citigroup, Inc.   $ 1,086,120  
  2,233     Nikkei-225 Index, One call strike $8,956.00, One written call strike $11,195.00, One written put strike $8,956.00 with a barrier level strike of $6,851.34, Expires 03/14/14, Broker Credit Suisse Group AG     4,431,031  
  1,105     Nikkei-225 Index, One call strike $9,050.00, One written call strike $10,407.50, One written put strike $8,389.35, Expires 12/13/13, Broker JPMorgan Chase & Co.     1,388,236  
  3,984     Nikkei-225 Index, One written call strike $11,596.2396, One written put strike $10,794.00 with a barrier level strike of $8,365.35, Expires 03/14/14, Broker Goldman Sachs Group, Inc.     9,476,020  
  2,218     Nikkei-225 Index, One written call strike $11,905.00, One written put strike $10,487.35 with a barrier level strike of $8,232.572, Expires 04/18/14, Broker Goldman Sachs Group, Inc.     5,240,393  
  12,960     Russell 2000 Index, One call strike $771.58, One written call strike $902.75, One written put strike $771.58 with a barrier level strike of $540.109, Expires 02/21/14, Broker Goldman Sachs Group, Inc.     1,151,618  
  50,730     Russell 2000 Index, One call strike $788.49, One written call strike $946.19, One written put strike $788.49 with a barrier level strike of $551.941, Expires 02/21/14, Broker Goldman Sachs Group, Inc.     5,029,927  
  18,491     Russell 2000 Index, One call strike $811.22, One written call strike $949.14, One written put strike $811.22 with a barrier level strike of $567.853, Expires 04/17/14, Broker Goldman Sachs Group, Inc.     1,327,206  
  Contracts           Value  
  12,189     Russell 2000 Index, One call strike $820.47, One written call strike $943.55, One written put strike $820.47 with a barrier level strike of $574.326, Expires 05/16/14, Broker Goldman Sachs Group, Inc.   $ 688,414  
  12,030     Russell 2000 Index, One call strike $831.26, One written call strike $972.5742, One written put strike $831.26 with a barrier level strike of $581.882, Expires 05/16/14, Broker Goldman Sachs Group, Inc.     742,453  
  17,736     Russell 2000 Index, One call strike $845.75, One written call strike $972.6125, One written put strike $845.75 with a barrier level strike of $592.025, Expires 05/16/14, Broker Goldman Sachs Group, Inc.     859,100  
  5,510     Russell 2000 Index, One call strike $907.50, One written call strike $1,007.325, One written put strike $907.50 with a barrier level strike of $635.25, Expires 07/18/14, Broker Goldman Sachs Group, Inc.     (163 )
  10,921     Russell 2000 Index, One call strike $915.68, One written call strike $1,062.19, One written put strike $915.68 with a barrier level strike of $659.29, Expires 09/19/14, Broker UBS AG     (64,373 )
  10,676     Russell 2000 Index, One call strike $936.65, One written call strike $1,077.15, One written put strike $936.65 with a barrier level strike of $702.4875, Expires 08/15/14, Broker Goldman Sachs Group, Inc.     (179,666 )
  10,663     Russell 2000 Index, One call strike $937.8295, One written call strike $1,059.7474, One written put strike $937.8295 with a barrier level strike of $656.4807, Expires 07/18/14, Broker Goldman Sachs Group, Inc.     (102,793 )
  10,618     Russell 2000 Index, One call strike $941.80, One written call strike $1,083.07, One written put strike $941.80 with a barrier level strike of $659.26, Expires 08/15/14, Broker UBS AG     (161,395 )


49
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

  Contracts           Value  
  10,536     Russell 2000 Index, One call strike $949.1365, One written call strike $1,082.0156, One written put strike $949.1365 with a barrier level strike of $692.87, Expires 08/15/14, Broker JPMorgan Chase & Co.   $ (239,385 )
  10,517     Russell 2000 Index, One call strike $950.85, One written call strike $1,074.50, One written put strike $950.85 with a barrier level strike of $713.13, Expires 07/18/14, Broker Goldman Sachs Group, Inc.     (282,230 )
  10,871     S&P 500 Index, One call strike $1,379.79, One written call strike $1,655.75, One written put strike $1,379.79 with a barrier level strike of $1,034.84, Expires 02/21/14, Broker Credit Suisse Group AG     1,760,462  
  7,160     S&P 500 Index, One call strike $1,396.78, One written call strike $1,676.14, One written put strike $1,396.78 with a barrier level strike of $977.746, Expires 04/17/14, Broker Goldman Sachs Group, Inc.     1,067,614  
  3,578     S&P 500 Index, One call strike $1,397.24, One written call strike $1,676.688, One written put strike $1,397.24 with a barrier level strike of $978.068, Expires 04/17/14, Broker JPMorgan Chase & Co.     530,371  
  109,500     S&P 500 Index, One call strike $1,398.58, One written call strike $1,608.37, One written put strike $1,398.58 with a barrier level strike of $1,006.98, Expires 04/17/14, Broker Credit Suisse Group AG     411,463  
  21,410     S&P 500 Index, One call strike $1,401.20, One written call strike $1,639.404, One written put strike $1,401.20 with a barrier level strike of $980.84, Expires 04/17/14, Broker JPMorgan Chase & Co.     2,760,942  
  Contracts           Value  
  3,568     S&P 500 Index, One call strike $1,401.38 with a barrier level strike when EUR is less than 1.22, One written put strike $1,401.38 with a barrier level strike of $1,051.00, Expires 07/19/13, Broker Goldman Sachs Group, Inc.   $ 22,324  
  7,135     S&P 500 Index, One call strike $1,401.4609, One written call strike $1,555.6216, One written put strike $1,401.4609 with a barrier level strike of $981.0227, Expires 02/21/14, Broker Goldman Sachs Group, Inc.     675,381  
  7,133     S&P 500 Index, One call strike $1,401.86, One written call strike $1,612.14, One written put strike $1,401.86 with a barrier level strike of $1,009.34, Expires 04/21/14, Broker Citigroup, Inc.     799,703  
  3,566     S&P 500 Index, One call strike $1,402.22 with a barrier level strike when EUR is less than 1.23, One written put strike $1,402.22 with a barrier level strike of $764.00, Expires 08/16/13, Broker Goldman Sachs Group, Inc.     48,089  
  10,655     S&P 500 Index, One call strike $1,407.83, One written call strike $1,619.00, One written put strike $1,407.83 with a barrier level strike of $1,055.8725, Expires 03/21/14, Broker Goldman Sachs Group, Inc.     1,224,535  
  10,617     S&P 500 Index, One call strike $1,412.84, One written call strike $1,653.0228, One written put strike $1,412.84 with a barrier level strike of $1,024.3090, Expires 06/20/14, Broker JPMorgan Chase & Co.     1,176,359  
  10,594     S&P 500 Index, One call strike $1,415.9583, One written call strike $1,600.0329, One written put strike $1,415.9583 with a barrier level strike of $1,019.49, Expires 04/17/14, Broker JPMorgan Chase & Co.     999,809  


50
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

  Contracts           Value  
  10,519     S&P 500 Index, One call strike $1,426.00, One written call strike $1,639.9, One written put strike $1,426.00 with a barrier level strike of $1,069.50, Expires 05/16/14, Broker Goldman Sachs Group, Inc.   $ 1,021,497  
  6,999     S&P 500 Index, One call strike $1,428.75, One written call strike $1,600.20, One written put strike $1,428.75 with a barrier level strike of $1,071.56, Expires 05/16/14, Broker UBS AG     509,256  
  6,997     S&P 500 Index, One call strike $1,429.2594, One written call strike $1,643.6483, One written put strike $1,429.2594 with a barrier level strike of $1,036.2131, Expires 05/16/14, Broker Goldman Sachs Group, Inc.     695,965  
  6,974     S&P 500 Index, One call strike $1,433.79, One written call strike $1,577.17, One written put strike $1,433.79 with a barrier level strike of $1,003.65, Expires 01/17/14, Broker Credit Suisse Group AG     590,864  
  10,439     S&P 500 Index, One call strike $1,436.9466, One written call strike $1,652.4886, One written put strike $1,436.9466 with a barrier level strike of $1,005.863, Expires 12/20/13, Broker JPMorgan Chase & Co.     1,303,470  
  6,947     S&P 500 Index, One call strike $1,439.53, One written call strike $1,612.2736, One written put strike $1,439.53 with a barrier level strike of $1,043.6593, Expires 05/16/14, Broker Goldman Sachs Group, Inc.     520,034  
  13,861     S&P 500 Index, One call strike $1,442.91, One written call strike $1,659.3465, One written put strike $1,442.91 with a barrier level strike of $1,010.037, Expires 02/21/14, Broker Goldman Sachs Group, Inc.     1,551,491  
  Contracts           Value  
  13,859     S&P 500 Index, One call strike $1,443.07, One written call strike $1,659.53, One written put strike $1,443.07 with a barrier level strike of $1,010.15, Expires 02/21/14, Broker Credit Suisse Group AG   $ 1,525,489  
  3,460     S&P 500 Index, One call strike $1,445.08, One written call strike $1,661.842, One written put strike $1,445.08 with a barrier level strike of $1,011.556, Expires 03/21/14, Broker Goldman Sachs Group, Inc.     366,958  
  13,771     S&P 500 Index, One call strike $1,452.31, One written call strike $1,742.77, One written put strike $1,452.31 with a barrier level strike of $1,089.23, Expires 03/21/14, Broker UBS AG     1,620,868  
  3,442     S&P 500 Index, One call strike $1,452.50, One written call strike $1,670.3750, One written put strike $1,452.50 with a barrier level strike of $1,016.75, Expires 01/17/14, Broker JPMorgan Chase & Co.     393,834  
  3,437     S&P 500 Index, One call strike $1,454.90, One written call strike $1,600.39, One written put strike $1,454.90 with a barrier level strike of $1,018.43, Expires 11/15/13, Broker JPMorgan Chase & Co.     311,732  
  3,430     S&P 500 Index, One call strike $1,457.70, One written call strike $1,603.47, One written put strike $1,457.70 with a barrier level strike of $1,020.39, Expires 10/18/13, Broker Citigroup, Inc.     324,608  
  6,850     S&P 500 Index, One call strike $1,459.78, One written call strike $1,605.758, One written put strike $1,459.78 with a barrier level strike of $1,021.846, Expires 11/15/13, Broker Citigroup, Inc.     603,173  
  11,032     S&P 500 Index, One call strike $1,461.10, One written call strike $1,607.21, One written put strike $1,461.10 with a barrier level strike of $1,022.77, Expires 12/20/13, Broker Citigroup, Inc.     911,038  


51
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

  Contracts           Value  
  3,729     S&P 500 Index, One call strike $1,461.6163, One written call strike $1,607.778, One written put strike $1,461.6163 with a barrier level strike of $1,023.1314, Expires 12/20/13, Broker Goldman Sachs Group, Inc.   $ 309,709  
  20,512     S&P 500 Index, One call strike $1,462.53, One written call strike $1,681.91, One written put strike $1,462.53 with a barrier level strike of $1,023.771, Expires 10/18/13, Broker Goldman Sachs Group, Inc.     2,514,479  
  5,127     S&P 500 Index, One call strike $1,462.90, One written call strike $1,682.335, One written put strike $1,462.90 with a barrier level strike of $1,024.03, Expires 02/21/14, Broker Citigroup, Inc.     521,107  
  11,072     S&P 500 Index, One call strike $1,463.10, One written call strike $1,609.41, One written put strike $1,463.10 with a barrier level strike of $1,024.17, Expires 12/20/13, Broker JPMorgan Chase & Co.     910,958  
  13,619     S&P 500 Index, One call strike $1,468.49, One written call strike $1,688.76, One written put strike $1,468.49 with a barrier level strike of $1,027.94, Expires 02/21/14, Broker Credit Suisse Group AG     1,354,569  
  10,193     S&P 500 Index, One call strike $1,471.57, One written call strike $1,662.88, One written put strike $1,471.57 with a barrier level strike of $1,103.677, Expires 06/20/14, Broker Goldman Sachs Group, Inc.     604,343  
  6,683     S&P 500 Index, One call strike $1,496.4369, One written call strike $1,646.0806, One written put strike $1,496.4369 with a barrier level strike of $1,122.3277, Expires 03/21/14, Broker Citigroup, Inc.     313,382  
  13,223     S&P 500 Index, One call strike $1,512.57, One written put strike $1,512.57 with a barrier level strike of $1,058.799, Expires 02/27/14, Broker JPMorgan Chase & Co.     (163,902 )
  Contracts           Value  
  13,193     S&P 500 Index, One call strike $1,515.964, One written call strike $1,644.8209, One written put strike $1,515.964 with a barrier level strike of $1,106.654, Expires 01/17/14, Broker JPMorgan Chase & Co.   $ 613,676  
  9,874     S&P 500 Index, One call strike $1,519.11, One written call strike $1,663.4255, One written put strike $1,519.11 with a barrier level strike of $1,124.141, Expires 05/16/14, Broker JPMorgan Chase & Co.     238,637  
  16,451     S&P 500 Index, One call strike $1,519.68, One written call strike $1,641.2544, One written put strike $1,519.68 with a barrier level strike of $1,139.76, Expires 02/21/14, Broker JPMorgan Chase & Co.     521,169  
  6,488     S&P 500 Index, One call strike $1,541.22, One written call strike $1,710.7542, One written put strike $1,541.22 with a barrier level strike of $1,155.915, Expires 06/20/14, Broker Goldman Sachs Group, Inc.     100,977  
  6,445     S&P 500 Index, One call strike $1,551.50, One written call strike $1,722.165, One written put strike $1,551.50 with a barrier level strike of $1,163.625, Expires 07/18/14, Broker JPMorgan Chase & Co.     11,055  
  6,445     S&P 500 Index, One call strike $1,551.65, One written call strike $1,753.3645, One written put strike $1,551.65 with a barrier level strike of $1,132.7045, Expires 07/18/14, Broker Goldman Sachs Group, Inc.     111,955  
  6,437     S&P 500 Index, One call strike $1,553.5211, One written call strike $1,724.4084, One written put strike $1,553.5211 with a barrier level strike of $1,165.1408, Expires 07/18/14, Broker Citigroup, Inc.     4,272  


52
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

  Contracts           Value  
  6,435     S&P 500 Index, One call strike $1,554.10, One written call strike $1,756.13, One written put strike $1,554.10 with a barrier level strike of $1,134.49, Expires 08/15/14, Broker UBS AG   $ 52,622  
  6,408     S&P 500 Index, One call strike $1,560.48, One written call strike $1,732.1328, One written put strike $1,560.48 with a barrier level strike of $1,185.965, Expires 07/18/14, Broker JPMorgan Chase & Co.     (34,906 )
  10,000     S&P 500 Index, One call strike $1,562.24, One written put strike $1,487.85 with a barrier level strike of $1,182.84, Expires 05/30/14, Broker Goldman Sachs Group, Inc.     974,806  
  10,000     S&P 500 Index, One call strike $1,562.24, One written put strike $1,487.85 with a barrier level strike of $1,190.28, Expires 05/16/14, Broker Goldman Sachs Group, Inc.     323,345  
  10,000     S&P 500 Index, One call strike $1,562.24, One written put strike $1,487.85 with a barrier level strike of $1,205.16, Expires 04/21/14, Broker Goldman Sachs Group, Inc.     980,478  
  9,582     S&P 500 Index, One call strike $1,565.50, One written call strike $1,753.36, One written  put strike $1,565.50 with a barrier level strike of $1,174.125, Expires 07/18/14, Broker Goldman Sachs Group, Inc.     7,508  
  6,440     S&P 500 Index, One call strike $1,583.93, One written put strike $1,428.64, Expires 06/21/13, Broker UBS AG     199,224  
  25,720     S&P 500 Index, One call strike $1,586.33, One written put strike $1,430.81, Expires        
        06/21/13, Broker Citigroup, Inc.     751,784  
  19,288     S&P 500 Index, One call strike $1,586.457, One written put strike $1,430.922, Expires 06/21/13, Broker JPMorgan Chase & Co.     569,832  
  15,743     S&P 500 Index, One call strike $1,619.75, One written put strike $1,476.83, Expires 12/20/13, Broker JPMorgan Chase & Co.     167,344  
  Contracts           Value  
  842,120     S&P 500 Index, One call strike $1,621.31, One written call strike $1,356.724 on TOPIX 100 Index, One written put strike $1,238.748 on TOPIX 100 Index with a barrier level strike of $1,002.796, Expires 07/25/13, Broker Goldman Sachs Group, Inc.   $ (355,002 )
  47,678     S&P 500 Index, One call strike $1,670.33 at 106%, One written put strike $2,431.40 at 92% on STOXX 50 Index, Expires 07/10/13, Broker Goldman Sachs Group, Inc.     138,109  
  214,225     SPDR S&P Homebuilders ETF, One call strike $23.34, One written call strike $29.175, One written put strike $23.34 with a barrier level strike of $15.171, Expires 01/17/14, Broker Goldman Sachs Group, Inc.     888,214  
  319,435     SPDR S&P Homebuilders ETF, One call strike $23.479, One written call strike $29.35, One written put strike $23.479 with a barrier level strike of $15.26, Expires 01/17/14, Broker Goldman Sachs Group, Inc.     1,317,134  
  212,224     SPDR S&P Homebuilders ETF, One call strike $23.56, One written call strike $29.45, One written put strike $23.56 with a barrier level strike of $15.31, Expires 01/17/14, Broker UBS AG     879,439  
  384,008     SPDR S&P Homebuilders ETF, One call strike $26.0411, One written call strike $31.2493, One written put strike $26.0411 with a barrier level strike of $15.6247, Expires 02/21/14, Broker Citigroup, Inc.     1,074,933  
  359,998     SPDR S&P Homebuilders ETF, One call strike $27.7779, One written call strike $33.3335, One written put strike $27.7779 with a barrier level strike of $19.4450, Expires 06/20/14, Broker JPMorgan Chase & Co.     459,385  
  331,658     SPDR S&P Homebuilders ETF, One call strike $30.1515, One written call strike $34.0712, One written put strike $30.1515 with a barrier level strike of $21.7091, Expires 07/18/14, Broker Citigroup, Inc.     (289,346 )


53
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

  Contracts           Value  
  190,006     SPDR S&P Oil & Gas Exploration & Production ETF, One call strike $52.63, One written call strike $59.47, One written put strike $52.63 with a barrier level strike of $34.21, Expires 01/17/14, Broker UBS AG   $ 374,531  
  184,843     SPDR S&P Oil & Gas Exploration & Production ETF, One call strike $54.10, One written call strike $64.92, One written put strike $54.10 with a barrier level strike of $32.46, Expires 01/17/14, Broker UBS AG     559,414  
  3,839     STOXX 50 Index, One call strike $2,605.00, Expires 01/19/18, One written put strike $2,605.00 with a barrier level strike of $1,439.2630, Expires 01/16/15, Broker JPMorgan Chase & Co.     667,432  
  3,802     STOXX 50 Index, One call strike $2,630.00, Expires 03/16/18, One written put strike $2,630.00 with a barrier level strike of $1,693.72, Expires 03/20/15, Broker Goldman Sachs Group, Inc.     349,023  
  3,764     STOXX 50 Index, One call strike $2,657.00, Expires 01/19/18, One written put strike $2,657.00 with a barrier level strike of $1,554.3450, Expires 01/16/15, Broker JPMorgan Chase & Co.     455,842  
  5,516     STOXX 50 Index, One call strike $2,719.48, Expires 02/16/18, One written put strike $2,719.48 with a barrier level strike of $1,706.4740, Expires 02/20/15, Broker JPMorgan Chase & Co.     223,336  
  2,051     STOXX50E Index, One call strike $2,437.3112, Expires 12/15/17, One written put strike $2,437.3112 with a barrier level strike of $1,413.641, Expires 12/19/14, Broker Goldman Sachs Group, Inc.     583,011  
  8,061     STOXX50E Index, One call strike $2,481.16, Expires 12/15/17, One written put strike $2,481.16 with a barrier level strike of $1,439.075, Expires 12/19/14, Broker Goldman Sachs Group, Inc.     2,021,092  
  Contracts           Value  
  5,904     STOXX50E Index, One call strike $2,541.16, Expires 12/15/17, One written put strike $2,541.16 with a lower barrier level strike of $1,562.813 and an upper barrier level strike of $2,542.52, Expires 12/19/14, Broker Goldman Sachs Group, Inc.   $ 1,179,622  
  2,596     STOXX50E Index, One call strike $2,595.70, Expires 01/19/18, One written put strike $2,595.70 with a barrier level strike of $1,491.2297, Expires 01/16/15, Broker Citigroup, Inc.     659,083  
  1,920     STOXX50E Index, One call strike $2,605.00, Expires 01/19/18, One written put strike $2,605.00 with a barrier level strike of $1,589.05, Expires 01/16/15, Broker Goldman Sachs Group, Inc.     299,803  
  8,966     TOPIX 100 Index, One call strike $1,115.29, One written call strike $1,260.28, One written put strike $934.20 on Russell 2000 Index with a barrier level strike of $700.65, Expires 08/15/14, Broker Goldman Sachs Group, Inc.     (183,705 )
  8,868     TOPIX 100 Index, One call strike $1,127.60, One written call strike $1,296.74, One written put strike $1,570.70 on S&P 500 Index with a barrier level strike of $1,178.025, Expires 08/15/14, Broker Goldman Sachs Group, Inc.     59,694  
  17,540     TOPIX 100 Index, One call strike $1,140.26, One written call strike $1,311.299, One written put strike $949.35 on Russell 2000 Index with a barrier level strike of $712.00, Expires 08/15/14, Broker Goldman Sachs Group, Inc.     (456,647 )
  13,055     TOPIX 100 Index, One call strike $1,148.97, One written call strike $1,321.32, One written put strike $1,563.83 on S&P 500 Index with a barrier level strike of $1,172.87, Expires 09/19/14, Broker Goldman Sachs Group, Inc.     (30,691 )


54
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Contracts         Value  
  8,696     TOPIX 100 Index, One call strike $1,150.00, One written call strike $1,357.00, One written put strike $1,581.18 on S&P 500 Index with a barrier level strike of $1,185.85, Expires 09/19/14, Broker Goldman Sachs Group, Inc.   $ 21,816  
  7,727     TOPIX 100 Index, One call strike $1,294.17, One written call strike $1,514.18, One written put strike $907.50 on Russell 2000 Index with a  barrier level strike of $630.712, Expires 08/15/14, Broker Goldman Sachs Group, Inc.     156,248  
  12,798     TOPIX 100 Index, One call strike $781.39, One written call strike $898.61, One written put strike $1,413.75 on S&P 500 Index with a barrier level strike of $1,017.899, Expires 04/17/14, Broker Goldman Sachs Group, Inc.     1,178,508  
  17,681     TOPIX 100 Index, One call strike $848.38, One written call strike $1,018.056, One written put strike $1,440.20 on S&P 500 Index with a barrier level strike of $1,080.15, Expires 05/16/14, Broker Goldman Sachs Group, Inc.     2,087,426  
  6,495     TOPIX Index, One call strike $1,010.52, One written call strike $1,162.10, One written put strike $1,539.75 on S&P 500 Index with a barrier level strike of $1,154.81, Expires 06/20/14, Broker UBS AG     500,889  
  6,415     TOPIX Index, One call strike $1,080.30, One written call strike $1,242.345, One written put strike $1,558.85 on S&P 500 Index with a barrier level strike of $1,200.315, Expires 07/11/14, Broker JPMorgan Chase & Co.     201,263  
  6,332     TOPIX Index, One call strike $1,359.60, One written call strike $1,563.54, One written put strike $1,579.31 on S&P 500 Index with a barrier level strike of $1,184.48, Expires 09/19/14, Broker UBS AG     (20,804 )
Contracts         Value  
  3,429 TWSE Index, One call strike
$8,749.55, One written put
strike $7,240.25, Expires
09/18/13, Broker JPMorgan
Chase Bank NA
  $ (134,969 )
Total Structured Options
(Premiums received $(45,159,215))
    105,561,700  

 

FUTURES CONTRACTS: SHORT POSITION

 

          Unrealized  
          Appreciation/  
Contracts       (Depreciation)  
  50     Intercontinental Exchange Crude Oil, November 2013 $ 39,000  
  50     Intercontinental Exchange Crude Oil, January 2014   (8,000 )
        Net unrealized appreciation $ 31,000  
               
  FUTURES CONTRACTS: LONG POSITION      
          Unrealized  
          Appreciation/  
Contracts       (Depreciation)  
  50     Intercontinental Exchange Crude Oil, November 2013 $ 33,726  
  280     Intercontinental Exchange Crude Oil, December 2013   (1,044,950 )
  50     Intercontinental Exchange Crude Oil, January 2014   (7,000 )
        Net unrealized depreciation $ (1,018,224 )

 

 

 

Cash collateral of $288,560 for the open futures contracts is reflected in segregated cash for futures contracts in the Statements of Assets and Liabilities.

    Unrealized  
    Depreciation  
SWAP AGREEMENTS (PURCHASED)        
Equity swap with UBS AG paying
variance of the S&P 500 Index
over the target volatility of 28.60
and receiving variance of the S&P
500 Index under the target
volatility of 28.60, expiring
12/18/15 (Underlying notional
amount $500,000)
  $ (3,821,370 )


55
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

    Unrealized
Appreciation/
(Depreciation)
SWAP AGREEMENTS (WRITTEN)        
Equity swap with BNP Paribas SA  paying an amount if the realized  correlation ratio is over 51% and  receiving an amount if the  realized correlation ratio is under 51%, expiring 12/13/13 (Underlying notional amount JPY 4,625,000)(c)   $ (1,064,241 )
Equity swap with BNP Paribas SA receiving a payment if the dividends on the stocks in the STOXX50E Index are over the target value of 13.9 Euro and paying a payment if the dividends on the stocks in the STOXX50E Index are under the target value of 13.9 Euro, expiring 12/18/15 (Underlying notional amount Euro  100,000)(c)     (5,105,153 )
Equity swap with Citigroup, Inc. paying variance of the S&P 500 Index over the target volatility of 33.30 and receiving variance of the S&P 500 Index under the target volatility of 33.30, expiring 12/15/17 (Underlying notional amount $100,000)     876,385  
Equity swap with JPMorgan Chase & Co. paying variance of the S&P 500 Index over the target volatility of 32.75 and receiving variance of the S&P 500 Index under the target volatility of 32.75, expiring 12/15/17 (Underlying notional amount $250,000)     2,105,603  
Equity swap with JPMorgan Chase & Co. paying variance of the S&P  500 Index over the target volatility  of 33.05 and receiving variance of  the S&P 500 Index under the  target volatility of 33.05, expiring  12/18/15 (Underlying notional amount $500,000)     5,289,997  
Equity swap with JPMorgan Chase &  Co. paying variance of the S&P  500 Index over the target volatility  of 33.05 and receiving variance of  the S&P 500 Index under the  target volatility of 33.05, expiring  12/20/19 (Underlying notional amount $500,000)     3,907,818  
  Unrealized
Appreciation/
(Depreciation)
Equity swap with JPMorgan Chase & Co. paying variance of the S&P 500 Index over the target volatility of 33.30 and receiving variance of the S&P 500 Index under the target volatility of 33.30, expiring 12/15/17 (Underlying notional amount $150,000) $ 1,321,737  
  $ 7,332,146  

 

At April 30, 2013, the Global Opportunities Fund held investments in restricted securities with a fair value of $3,600,000 or 0.05% of net assets, as follows:

 

 

                      04/30/13  
  Acquisition           Acquisition       Carrying Value  
  Cost     Issuer     Date       Per Unit  
$ 12,125,000     ShengdaTech, Inc.,
Cnv.(b)(c)(d)(f)(i)
    01/19/11     $ 30.00  

 

 

 

(a) Cost for federal income tax purposes is $6,617,761,311 and  net unrealized appreciation of investments is as follows:

 

Unrealized appreciation $ 476,030,976  
Unrealized depreciation   (141,561,180 )
Net unrealized appreciation $ 334,469,796  
         
(b) Non-income producing security.
   
(c) This security is considered either fully or partially illiquid. These securities, or portions thereof have a value of $146,538,958 or 2.11% of net assets. Securities which are also exempt from registration under Rule 144A of the Securities Act of 1933, as amended (see (f) below) amount to $43,859,458, or 0.63% of net assets.
   
(d) Fair valued security under procedures established by the Fund’s Board of Directors. The aggregate value of fair valued securities is $25,204,878, which is 0.36% of net assets.
   
(e) Variable rate security. Rate shown is the rate as of April 30, 2013.
   
(f) Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended. The security may be resold in transactions exempt from registration normally to qualified institutional buyers. The aggregate value is $618,729,633, which is 8.89% of net assets. These securities have been determined to be liquid in accordance with procedures adopted by the Fund’s Board of Directors except those also included in footnote (b) above.
   
(g) Investment in non-U.S. Dollars. Principal amount reflects local currency.
   
(h)  Issuer filed for bankruptcy and/or is in default of interest payments.
   
(i)  Principal amount denoted in Singapore Dollars.


56
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

(j)      Zero coupon bond. The rate represents the yield at time of purchase.
   
(k)      Payment-in-kind (“PIK”) security. Income may be paid in additional securities or cash at the discretion of the issuer.
   
(l)      The rate represents the annualized yield at time of purchase.
   
(m)      Rate shown represents current yield at April 30, 2013.
   
(n)      Security offered and sold outside of the United States, and this is exempt from registration under Regulation S of the Securities Act of 1933. It has been deemed liquid under guidelines approved by the Board.

 

ADR American Depositary Receipt  
Cnv. Convertible  
EUR Euro  
FOR Foreign Ownership Restrictions  
JPY Japanese Yen  
REIT Real Estate Investment Trust  
SDR Swedish Depositary Receipt  
STEP Step Coupon Bond  
Portfolio diversification by Sector (Unaudited)  

 

      Percentage  
Sector     of Net Assets  
Asset-Backed Securities     3.3%  
Banks     1.5%  
Collateralized Mortgage Obligations     12.7%  
Commercial Mortgage-Backed Securities     1.5%  
Consumer Discretionary     7.0%  
Consumer Staples     3.0%  
Diversified Financials     1.1%  
Energy     3.6%  
Government Bonds     12.4%  
Health Care     5.3%  
Industrials     4.5%  
Information Technology     8.1%  
Insurance     1.6%  
Materials     3.3%  
Real Estate     1.5%  
Telecommunication Services     2.3%  
U.S. Government Agencies and Securities     22.8%  
Utilities     1.2%  
Other*     3.3%  
      100.0%  

 

 
*      Includes cash and equivalents, exchange traded funds, options, rights/warrants, futures, swap agreements, pending trades and Fund share transactions, interest and dividends receivable, prepaids and accrued expenses payable.


57
Old Westbury Funds, Inc.  
Real Return Fund  
Consolidated Portfolio of Investments April 30, 2013
  (Unaudited)

 

Shares         Value  
COMMON STOCKS — 17.5%        
BERMUDA — 1.2%        
Industrials — 1.2%        
  1,664,344     Nabors Industries Ltd.   $ 24,615,648  
CANADA — 0.4%        
Energy — 0.4%        
  1,150,000     Athabasca Oil Corp.(b)     8,321,505  
NETHERLANDS — 2.1%        
Energy — 2.1%        
  610,000     Royal Dutch Shell Plc - ADR     41,461,700  
UNITED KINGDOM — 0.8%        
Energy — 0.8%        
  1,000,000     Tullow Oil Plc     15,549,033  
UNITED STATES — 13.0%        
Energy — 7.8%        
  170,000     Chevron Corp.     20,741,700  
  575,000     Exxon Mobil Corp.     51,169,250  
  1,300,000     Peabody Energy Corp.     26,078,000  
  800,000     Range Resources Corp.     58,816,000  
              156,804,950  
Materials — 3.1%        
  675,000     Dow Chemical Co. (The)     22,889,250  
  380,000     Monsanto Co.     40,591,600  
              63,480,850  
Real Estate — 2.1%        
  650,000     St. Joe Co. (The)(b)     12,720,500  
  1,000,000     Weyerhaeuser Co., REIT     30,510,000  
              43,230,500  
              263,516,300  
Total Common Stocks
(Cost $341,465,295)
    353,464,186  

 

Number of
Coins
             
COLLECTIBLE COINS — 1.9%        
UNITED STATES — 1.9%        
  67     Various Collectible Coins and  Sets of Coins(c)     37,839,650  
Total Collectible Coins
(Cost $36,337,576)
    37,839,650  

 

Fine Troy
Ounces
             
COMMODITIES — 4.4%        
UNITED STATES — 4.4%        
  60,175     Gold Bullion     88,862,742  
Total Commodities
(Cost $57,245,403)
    88,862,742  
Contracts         Value  
CALL OPTIONS PURCHASED — 0.0%        
Commodities — 0.0%        
  4,000     Chicago Board of Trade Corn No. 2 Yellow, Strike $800.00, Expiring 06/21/13   $ 325,000  
  1,100     Chicago Board of Trade Corn No. 2 Yellow, Strike $800.00, Expiring 06/21/13     89,375  
  1,000     Chicago Board of Trade Corn No. 2 Yellow, Strike $820.00, Expiring 06/21/13     56,250  
  600     New York Mercantile Exchange Natural Gas Futures, Strike $7.00, Expiring 05/28/13     600  
  600     New York Mercantile Exchange Natural Gas Futures, Strike $7.00, Expiring 06/25/13     5,400  
  600     New York Mercantile Exchange Natural Gas Futures, Strike $7.00, Expiring 07/26/13     25,200  
  600     New York Mercantile Exchange Natural Gas Futures, Strike $7.00, Expiring 08/27/13     44,400  
  600     New York Mercantile Exchange Natural Gas Futures, Strike $7.00, Expiring 09/25/13     78,600  
                 
Total Call Options Purchased
(Cost $18,397,720)
    624,825  

 

Principal
Amount
        Value  
ASSET-BACKED SECURITIES — 6.1%        
UNITED STATES — 6.1%        
$ 8,000,000     GCO Education Loan Funding Trust, Series 2006-2A, Class A1AR, 1.49%, 08/27/46(d)     7,440,000  
  8,000,000     GCO Education Loan Funding Trust, Series 2006-2A, Class A3AR, 1.47%, 08/27/46(d)     7,440,000  
  9,450,000     SLM Student Loan Trust, Series 2002-7, Class A10, 2.50%, 03/15/28(d)     9,450,000  
  9,800,000     SLM Student Loan Trust, Series 2002-7, Class A11, 1.75%, 03/15/28(d)     9,800,000  
  2,650,000     SLM Student Loan Trust, Series 2002-7, Class A6, 2.69%, 03/15/28(d)     2,650,000  
  9,950,000     SLM Student Loan Trust, Series 2002-7, Class A7, 1.60%, 03/15/28(d)     9,950,000  
  11,650,000     SLM Student Loan Trust, Series 2002-7, Class A8, 1.98%, 03/15/28(d)     11,650,000  
  5,800,000     SLM Student Loan Trust, Series 2002-7, Class A9, 2.69%, 03/15/28(d)     5,800,000  
  3,350,000     SLM Student Loan Trust, Series 2003-2, Class A6, 2.60%, 09/15/28(d)     3,350,000  


58
Old Westbury Funds, Inc.  
Real Return Fund  
Consolidated Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
UNITED STATES (continued)        
$ 21,850,000     SLM Student Loan Trust, Series  2003-2, Class A7, 1.14%,  09/15/28(d)   $ 21,850,000  
  9,000,000     SLM Student Loan Trust, Series  2003-2, Class A8, 2.69%,  09/15/28(d)     9,000,000  
  21,550,000     SLM Student Loan Trust, Series  2003-2, Class A9, 1.95%,  09/15/28(d)     21,550,000  
  4,000,000     SLM Student Loan Trust, Series  2003-5, Class A9, 1.75%,  06/17/30(d)     3,990,000  
                 
Total Asset-Backed Securities
(Cost $119,534,313)
    123,920,000  
GOVERNMENT BONDS — 13.5%        
AUSTRALIA — 6.9%        
14,000,000(e)   Australia Government Bond,  6.18%, 08/20/20     28,120,606  
62,000,000(e)   New South Wales Treasury  Corp., 4.13%, 11/20/20     84,204,549  
20,000,000(e)   New South Wales Treasury  Corp., 3.22%, 11/20/25     27,764,873  
              140,090,028  
MEXICO — 6.6%        
175,000,000(e)   Mexican Udibonos, 2.00%,  06/09/22     77,477,797  
123,000,000(e)   Mexican Udibonos, 2.50%,  12/10/20     55,914,779  
              133,392,576  
Total Government Bonds
(Cost $252,900,278)
    273,482,604  
U.S. GOVERNMENT AGENCIES — 12.2%        
Federal Farm Credit Bank — 0.1%        
  1,000,000     0.05%, 05/20/13(f)     999,974  
Federal Home Loan Bank — 12.1%        
  37,000,000     0.07%, 05/08/13(f)     36,999,532  
  22,000,000     0.06%, 05/15/13(f)     21,999,529  
  11,250,000     0.05%, 05/17/13(f)     11,249,750  
  20,000,000     0.02%, 05/20/13(f)     19,999,789  
  19,400,000     0.05%, 05/22/13(f)     19,399,463  
  123,000,000     0.05%, 05/24/13(f)     122,996,119  
  12,000,000     0.03%, 06/04/13(f)     11,999,660  
              244,643,842  
Total U.S. Government Agencies
(Cost $245,643,816)
    245,643,816  
U.S. GOVERNMENT SECURITIES — 42.4%        
U.S. Treasury Bills — 42.4%        
  50,000,000     0.03%, 05/02/13(f)     49,999,944  
  40,000,000     0.03%, 05/02/13(f)     39,999,967  
  77,000,000     0.04%, 05/02/13(f)     76,999,915  
Principal
Amount
        Value  
U.S. Treasury Bills (continued)        
$ 100,000,000     0.05%, 05/02/13(f)   $ 99,999,858  
  38,000,000     0.03%, 05/09/13(f)     37,999,747  
  205,000,000     0.04%, 05/16/13(f)     204,996,798  
  35,000,000     0.04%, 05/16/13(f)     34,999,460  
  92,000,000     0.05%, 05/16/13(f)     91,998,199  
  40,000,000     0.02%, 05/23/13(f)     39,999,510  
  40,000,000     0.03%, 05/23/13(f)     39,999,242  
  138,000,000     0.05%, 05/23/13(f)     137,996,037  
  2,000,000     0.03%, 06/06/13(f)     1,999,950  
                 
Total U.S. Government Securities
(Cost $856,988,627)
    856,988,627  

 

Shares            
CASH SWEEP — 0.4%        
  8,513,944     Citibank - US Dollars on Deposit in Custody Account,  0.02%(g)     8,513,944  
Total Cash Sweep
(Cost $8,513,944)
    8,513,944  
TOTAL INVESTMENTS — 98.4%
(Cost $1,937,026,972)(a)
    1,989,340,394  
OTHER ASSETS IN EXCESS OF LIABILITIES — 1.6%     31,861,662  
NET ASSETS — 100.0%   $ 2,021,202,056  

 

Contracts            
CALL OPTIONS WRITTEN — 0.0%        
Commodities — 0.0%        
  (250 )   Chicago Board of Trade Soybean, Strike $1,300.00, Expiring 10/25/13     (529,688 )
Total Call Options Written
(Premiums received $(550,000))
    (529,688 )
PUT OPTIONS WRITTEN — (0.6)%        
Commodities — (0.6)%        
  (2,000 )   New York Mercantile Exchange Natural Gas Futures, Strike $4.20, Expiring 12/26/13     (3,718,000 )
  (500 )   New York Mercantile Exchange Natural Gas Futures, Strike $4.45, Expiring 06/25/13     (1,274,500 )
  (1,000 )   New York Mercantile Exchange Brent Crude Oil, Strike  $90.00, Expiring 11/13/13     (2,300,000 )
  (800 )   New York Mercantile Exchange Brent Crude Oil, Strike $95.00, Expiring 11/13/13     (3,008,000 )
  (250 )   New York Mercantile Exchange Brent Crude Oil, Strike $100.00, Expiring 11/13/13     (1,455,000 )
                 
Total Put Options Written
(Premiums received $(14,526,050))
  $ (11,755,500 )


59
Old Westbury Funds, Inc.  
Real Return Fund  
Consolidated Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

FUTURES CONTRACTS: SHORT POSITIONS    
Contracts         Unrealized
Appreciation/
(Depreciation)
 
  1,000     London Metal Exchange Nickel, May 2013   $ 17,644,500  
  1400     London Metal Exchange Zinc, May 2013     410,775  
  925     London Metal Exchange Aluminum, June 2013     960,144  
  190     London Metal Exchange Copper, June 2013     914,688  
  3,300     Chicago Board of Trade Soybean, July 2013     (3,065,200 )
  611     London Metal Exchange Aluminum, July 2013     567,619  
  30     London Metal Exchange Tin, July 2013     121,800  
  3,000     New York Mercantile Exchange Natural Gas, October 2013     (13,796,000 )
        Net unrealized appreciation   $ 3,758,326  

 

FUTURES CONTRACTS: LONG POSITIONS    
Contracts         Unrealized
Appreciation/
(Depreciation)
 
  978     Eurex Mill Wheat, May 2013   $ 487,689  
  1,000     London Metal Exchange Nickel, May 2013     (9,175,968 )
  1,400     London Metal Exchange Zinc, May 2013     (11,823,338 )
  925     London Metal Exchange Aluminum, June 2013     (1,518,055 )
  300     London Metal Exchange Copper, June 2013     (3,945,613 )
  230     New York Mercantile Exchange Palladium, June 2013     (1,206,405 )
  250     New York Mercantile Exchange Platts for Chicago Ethanol, June 2013     700,875  
  2,400     Chicago Board of Trade Corn, July 2013     (3,319,988 )
  3,580     Intercontinental Exchange Sugar No. 11, July 2013     (734,085 )
  2,300     Kansas City Board of Trade Wheat, July 2013     4,553,613  
  1,861     London Metal Exchange Aluminum, July 2013     (1,469,101 )
  60     London Metal Exchange Tin, July 2013     (765,540 )
  1,000     Minneapolis Grain Exchange Red Spring Wheat, July 2013     988,438  
  400     New York Mercantile Exchange Gasoline, July 2013     (83,580 )
  410     New York Mercantile Exchange Platinum, July 2013     (1,473,540 )
  400     London Metal Exchange Zinc, August 2013     (412,200 )
  3,300     Chicago Board of Trade Soybean, November 2013     1,940,688  
FUTURES CONTRACTS:      
LONG POSITIONS (Concluded)      
Contracts         Unrealized
Appreciation/
(Depreciation)
 
  1,377     Intercontinental Exchange Coffee, December 2013   $ (2,779,203 )
  3,000     New York Mercantile Exchange Natural Gas, January 2014     14,115,250  
  2060     Intercontinental Exchange Sugar No. 11, March 2014     (545,417 )
  150     New York Mercantile Exchange Natural Gas, April 2014     (22,500 )
  150     New York Mercantile Exchange Natural Gas, May 2014     (36,000 )
  150     New York Mercantile Exchange Natural Gas, June 2014     1,500  
  150     New York Mercantile Exchange Natural Gas, July 2014     49,500  
  150     New York Mercantile Exchange Natural Gas, August 2014     75,000  
  150     New York Mercantile Exchange Natural Gas, September 2014     72,000  
  150     New York Mercantile Exchange Natural Gas, October 2014     100,500  
  150     New York Mercantile Exchange Natural Gas, November 2014     199,500  
  150     New York Mercantile Exchange Natural Gas, December 2014     466,500  
  1,730     New York Mercantile Exchange Natural Gas, January 2015(c)     4,755,500  
  50     New York Mercantile Exchange Natural Gas, January 2016(c)     92,250  
  50     New York Mercantile Exchange Natural Gas, February 2016(c)     80,250  
  50     New York Mercantile Exchange Natural Gas, March 2016(c)     39,250  
  50     New York Mercantile Exchange Natural Gas, April 2016(c)     (128,250 )
  50     New York Mercantile Exchange Natural Gas, May 2016(c)     (124,250 )
  50     New York Mercantile Exchange Natural Gas, June 2016(c)     (112,750 )
  50     New York Mercantile Exchange Natural Gas, July 2016(c)     (95,250 )
  50     New York Mercantile Exchange Natural Gas, August 2016     (86,250 )
  50     New York Mercantile Exchange Natural Gas, September 2016(c)     (84,750 )
  50     New York Mercantile Exchange Natural Gas, October 2016(c)     (69,250 )
  50     New York Mercantile Exchange Natural Gas, November 2016(c)     (24,250 )
  50     New York Mercantile Exchange Natural Gas, December 2016(c)     70,750  
        Net unrealized depreciation   $ (11,246,480 )


60
Old Westbury Funds, Inc.  
Real Return Fund  
Consolidated Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

 

 

  Cash collateral of $63,434,333 for the open futures contracts is reflected in segregated cash for futures contracts in the Statements of Assets and Liabilities.

 

    Unrealized
Appreciation/
(Depreciation)
 
SWAP AGREEMENTS (PURCHASED)        
Commodity Index Swap Agreement  with Cargill, Inc. based on the  Baltic Capesize Freight Index (“BCI”) paying a fixed amount per  day and receiving the arithmetic  average of the rates for BCI  Routes published by the Baltic  Exchange, expiring 01/31/14  (Underlying notional amount  $1,053,500)(c)   $ (313,400 )
Commodity Index Swap Agreement  with Cargill, Inc. based on the  Baltic Capesize Freight Index  (“BCI”) paying a fixed amount per  day and receiving the arithmetic  average of the rates for BCI  Routes published by the Baltic  Exchange, expiring 01/31/15  (Underlying notional amount  $948,000)(c)     (80,220 )
Commodity Index Swap Agreement  with Cargill, Inc. based on the  Baltic Capesize Freight Index  (“BCI”) paying a fixed amount per  day and receiving the arithmetic  average of the rates for BCI  Routes published by the Baltic  Exchange, expiring 02/28/14  (Underlying notional amount  $1,053,500)(c)     (313,400 )
Commodity Index Swap Agreement  with Cargill, Inc. based on the  Baltic Capesize Freight Index  (“BCI”) paying a fixed amount per  day and receiving the arithmetic  average of the rates for BCI  Routes published by the Baltic  Exchange, expiring 02/28/15  (Underlying notional amount  $948,000)(c)     (80,220 )
Commodity Index Swap Agreement  with Cargill, Inc. based on the  Baltic Capesize Freight Index  (“BCI”) paying a fixed amount per  day and receiving the arithmetic  average of the rates for BCI  Routes published by the Baltic  Exchange, expiring 03/31/14  (Underlying notional amount  $1,053,500)(c)     (313,400 )
    Unrealized
Appreciation/
(Depreciation)
 
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 03/31/15 (Underlying notional amount $948,000)(c)   $ (80,220 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 04/30/14 (Underlying notional amount $1,053,500)(c)     (313,400 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 04/30/15 (Underlying notional amount $948,000)(c)     (80,220 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 05/31/14 (Underlying notional amount $1,053,500)(c)     (313,400 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 05/31/15 (Underlying notional amount $948,000)(c)     (80,220 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 06/30/14 (Underlying notional amount $1,053,500)(c)     (313,400 )


61
Old Westbury Funds, Inc.  
Real Return Fund  
Consolidated Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

    Unrealized
Appreciation/
(Depreciation)
 
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 06/30/15 (Underlying notional amount $948,000)(c)   $ (80,220 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 07/31/14 (Underlying notional amount $1,053,500)(c)     (313,400 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 07/31/15 (Underlying notional amount $948,000)(c)     (80,220 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 08/31/14 (Underlying notional amount $1,053,500)(c)     (313,400 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 08/31/15 (Underlying notional amount $948,000)(c)     (80,220 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 09/30/14 (Underlying notional amount $1,053,500)(c)     (313,400 )
    Unrealized
Appreciation/
(Depreciation)
 
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 09/30/15 (Underlying notional amount $948,000)(c)   $ (80,220 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 10/31/14 (Underlying notional amount $1,053,500)(c)     (313,400 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 10/31/15 (Underlying notional amount $948,000)(c)     (80,220 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 11/30/14 (Underlying notional amount $1,053,500)(c)     (313,400 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 11/30/15 (Underlying notional amount $948,000)(c)     (80,220 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 12/31/14 (Underlying notional amount $1,053,500)(c)     (313,400 )


62
Old Westbury Funds, Inc.  
Real Return Fund  
Consolidated Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

    Unrealized
Appreciation/
(Depreciation)
 
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Capesize Freight Index (“BCI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BCI Routes published by the Baltic Exchange, expiring 12/31/15 (Underlying notional amount $948,000)(c)   $ (80,220 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Panamax Freight Index (“BPI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BPI Routes published by the Baltic Exchange, expiring 05/31/13 (Underlying notional amount $1,122,865)(c)     (176,305 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Baltic Panamax Freight Index (“BPI”) paying a fixed amount per day and receiving the arithmetic average of the rates for BPI Routes published by the Baltic Exchange, expiring 06/28/13 (Underlying notional amount $1,122,865)(c)     (227,305 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Chicago Board of Trade (“CBOT”) Corn Index, paying a fixed amount per bushel and receiving the closing settlement price of CBOT July 2013 Corn Futures contracts on the termination date, expiring 06/25/13 (Underlying notional amount $150,815,942)     (4,565,942 )
Commodity Index Swap Agreement with Cargill, Inc. based on the European Climate Exchange (ECX) European Union Allowances Futures (EUA) paying a fixed amount per Metric Ton and receiving the closing settlement price of ECX December 2013 EUA Futures contracts on the termination date, expiring 12/16/13 (Underlying notional amount Euro 27,992,970).     (22,484,256 )
    Unrealized
Appreciation/
(Depreciation)
 
Commodity Index Swap Agreement with Cargill, Inc. based on the Kansas City Board of Trade (“KCBT”) Wheat Index paying a fixed amount per bushel and receiving the closing settlement price of KCBT July 2013 Wheat Futures contracts on the termination date, expiring 06/25/13 (Underlying notional amount $300,146,683)   $ 17,271,793  
Commodity Index Swap Agreement with Cargill, Inc. based on the Malaysia Derivatives Exchange (“MDEX”) Palm Oil Index paying a fixed amount per metric ton and receiving the closing settlement price of MDEX July 2013 Palm Oil Futures contracts on the termination date, expiring 06/27/13 (Underlying notional amount MYR 64,516,000)     (542,646 )
    $ (15,448,101 )

 

    Unrealized
Appreciation/
(Depreciation)
 
SWAP AGREEMENTS (WRITTEN)      
Commodity Index Swap Agreement with Cargill, Inc. based on the Chicago Board of Trade (“CBOT”) Wheat Index receiving a fixed amount per bushel and paying the closing settlement price of CBOT July 2013 Wheat Futures contracts on the termination date, expiring 06/25/13 (Underlying notional amount $284,004,363)   $ (9,894,187 )
Commodity Index Swap Agreement with Cargill, Inc. based on the Chicago Board of Trade (“CBOT”) Corn Index, receiving a fixed amount per bushel and paying the closing settlement price of CBOT December 2013 Corn Futures contracts on the termination date, expiring 11/25/13 (Underlying notional amount $27,075,555)     (761,945 )


63
Old Westbury Funds, Inc.  
Real Return Fund  
Consolidated Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

    Unrealized
Appreciation/
(Depreciation)
 
Commodity Index Swap Agreement with Cargill, Inc. based on the European Climate Exchange (ECX) European Union Allowances Futures (EUA) paying a fixed amount per Metric Ton and receiving the closing settlement price of ECX December 2013 EUA Futures contracts on the termination date, expiring 12/16/13 (Underlying notional amount Euro 25,691,203).   $ 19,452,943  
    $ 8,796,811  

 

 

 

(a) Cost for federal income tax purposes is $1,943,151,310 and net unrealized appreciation of investments is as follows:
   
Unrealized appreciation   $ 82,262,371  
Unrealized depreciation     (36,073,287 )
Net unrealized appreciation   $ 46,189,084  

 

(b) Non-income producing security.
   
(c) This security is considered either fully or partially illiquid.  These securities, or portions thereof have a value of  $110,866,283 or 5.49% of net assets.
   
(d) Variable rate security. Rate shown is the rate as of April 30,  2013.
   
(e) Investment in non-U.S. Dollars. Principal amount reflects
  local currency.
   
(f) The rate represents the annualized yield at time of purchase.
   
(g) Rate shown represents current yield at April 30, 2013.

 

ADR — American Depositary Receipt
MYR — Malaysian Ringgit
REIT — Real Estate Investment Trust

 

Portfolio diversification by Sector (Unaudited)      
Sector   Percentage
of Net Assets
Asset-Backed Securities     6.1 %
Collectible Coins     1.9 %
Commodities     4.4 %
Energy     11.1 %
Government Bonds     13.5 %
Industrials     1.2 %
Materials     3.1 %
Real Estate     2.1 %
U.S. Government Agencies and Securities     54.6 %
Other*     2.0 %
      100.0 %

 

 

 

* Includes cash and equivalents, options, futures, swap agreements, pending trades and Fund share transactions, interest and dividends receivable, prepaids and accrued expenses payable.


64
Old Westbury Funds, Inc.  
Fixed Income Fund  
Portfolio of Investments April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
CORPORATE BONDS — 55.9%        
Banks — 17.0%        
$ 3,800,000     Bank of America Corp., 4.50%, 04/01/15   $ 4,030,907  
  3,000,000     Bank of Montreal, 2.63%, 01/25/16(b)     3,166,500  
  540,000     Bank of New York Mellon Corp. (The) MTN, 4.30%, 05/15/14     561,918  
  12,000,000     Bank of New York Mellon Corp. (The) MTN, 0.51%, 03/04/16(c)     11,996,688  
  1,000,000     Canadian Imperial Bank of Commerce Canada, 2.60%, 07/02/15(b)     1,045,500  
  10,500,000     Citigroup, Inc., 1.08%, 04/01/16(c)     10,542,263  
  5,000,000     Commonwealth Bank of Australia, 2.70%, 11/25/14(b)     5,184,000  
  5,000,000     Commonwealth Bank of Australia, 3.25%, 03/17/16(b)     5,345,000  
  2,000,000     Commonwealth Bank of Australia, 2.25%, 03/16/17(b)     2,100,800  
  2,340,000     Credit Suisse New York MTN, 3.50%, 03/23/15     2,464,488  
  1,175,000     Deutsche Bank AG, 3.45%, 03/30/15     1,234,690  
  1,350,000     Deutsche Bank AG, 3.25%, 01/11/16     1,431,932  
  1,045,000     European Investment Bank MTN, 1.25%, 02/14/14     1,053,182  
  500,000     HSBC Bank Plc, 3.10%, 05/24/16(b)     531,890  
  12,295,000     JPMorgan Chase & Co. MTN, 1.41%, 09/22/15(c)     12,500,105  
  1,000,000     JPMorgan Chase & Co. MTN, 1.10%, 10/15/15     1,004,083  
  300,000     KFW, 3.50%, 03/10/14     308,369  
  6,125,000     KFW, 1.25%, 02/15/17     6,271,908  
  300,000     Royal Bank of Canada MTN, 1.15%, 03/13/15     303,714  
  3,000,000     Standard Chartered Plc, 5.50%, 11/18/14(b)     3,207,300  
  5,000,000     Standard Chartered Plc, 3.85%, 04/27/15(b)     5,276,950  
  3,900,000     Toronto-Dominion Bank (The) - MTN, 0.83%, 04/30/18(c)     3,911,505  
  300,000     Wells Fargo & Co. MTN, 1.25%, 02/13/15     303,597  
Principal
Amount
        Value  
Banks (continued)        
$ 3,000,000     Westpac Banking Corp., 2.90%, 09/10/14(b)   $ 3,104,610  
              86,881,899  
Consumer Discretionary — 3.7%        
  2,000,000     Cargill, Inc., 1.90%, 03/01/17(b)     2,037,280  
  1,000,000     Cornell University, 4.35%, 02/01/14     1,034,257  
  200,000     Dartmouth College, 4.75%, 06/01/19     237,264  
  12,000,000     NBCUniversal Media LLC, 2.88%, 04/01/16     12,694,356  
  1,000,000     Snap-On, Inc., 5.85%, 03/01/14     1,035,958  
  2,000,000     Walt Disney Co. (The) - MTN, 1.10%, 12/01/17     2,006,420  
              19,045,535  
Consumer Staples — 5.6%        
  13,985,000     Anheuser-Busch Inbev Finance Inc, 0.80%, 01/15/16     14,045,527  
  1,070,000     Coca-Cola Co. (The), 1.50%, 11/15/15     1,096,328  
  500,000     Coca-Cola Co. (The), 1.80%, 09/01/16     517,924  
  500,000     Heineken NV, 1.40%, 10/01/17(b)     501,322  
  5,665,000     PepsiCo, Inc., 1.25%, 08/13/17     5,705,607  
  2,115,000     Procter & Gamble Co. (The), 3.50%, 02/15/15     2,227,072  
  1,500,000     Unilever Capital Corp., 3.65%, 02/15/14     1,536,600  
  580,000     Wal-Mart Stores, Inc., 3.20%, 05/15/14     597,701  
  2,500,000     Wal-Mart Stores, Inc., 1.50%, 10/25/15     2,562,670  
              28,790,751  
Diversified Financials — 10.6%        
  3,520,000     American Express Credit Corp. MTN, 2.38%, 03/24/17     3,696,271  
  1,000,000     American Honda Finance Corp., 2.50%, 09/21/15(b)     1,041,958  
  1,000,000     American Honda Finance Corp., 2.13%, 02/28/17(b)     1,035,691  
  5,000,000     Caterpillar Financial Services Corp. MTN, 0.53%, 02/26/16(c)     5,007,040  
  4,000,000     CME Group Index Services LLC, 4.40%, 03/15/18(b)     4,520,708  


65
Old Westbury Funds, Inc.  
Fixed Income Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
Diversified Financials (continued)        
$ 3,000,000     Daimler Finance North America LLC, 2.63%, 09/15/16(b)   $ 3,129,690  
  1,455,000     Eksportfinans A/S, 3.00%, 11/17/14     1,453,881  
  2,205,000     Eksportfinans A/S, 2.00%, 09/15/15     2,135,543  
  210,000     Eksportfinans A/S, 2.38%, 05/25/16     201,599  
  500,000     Enel Finance International SA, 3.88%, 10/07/14(b)     515,580  
  2,000,000     FMR LLC, 5.35%, 11/15/21(b)     2,314,818  
  1,500,000     Ford Motor Credit Co. LLC, 4.21%, 04/15/16     1,602,017  
  9,325,000     General Electric Capital Corp, 2.90%, 01/09/17     9,884,714  
  950,000     General Electric Capital Corp. MTN, 3.50%, 06/29/15     1,004,050  
  1,400,000     General Electric Capital Corp. MTN, 2.30%, 04/27/17     1,456,503  
  300,000     Goldman Sachs Group, Inc. (The), 5.13%, 01/15/15     320,639  
  3,000,000     Goldman Sachs Group, Inc. (The), 3.30%, 05/03/15     3,129,750  
  3,000,000     Goldman Sachs Group, Inc. (The), 3.63%, 02/07/16     3,194,595  
  2,500,000     International Finance Corp., 0.63%, 12/21/17     2,486,093  
  2,555,000     PNC Funding Corp., 3.00%, 05/19/14     2,621,289  
  300,000     Toyota Motor Credit Corp. MTN, 1.00%, 02/17/15     303,146  
  1,775,000     Toyota Motor Credit Corp. MTN, 2.80%, 01/11/16     1,875,183  
  1,000,000     USAA Capital Corp., 1.05%, 09/30/14(b)     1,004,741  
              53,935,499  
Energy — 2.5%        
  1,700,000     Occidental Petroleum Corp., 4.13%, 06/01/16     1,873,249  
  5,000,000     Petroleos Mexicanos, 1.95%, 12/20/22     5,143,715  
  1,000,000     Schlumberger Investment SA, 1.25%, 08/01/17(b)     1,005,867  
  1,000,000     Schlumberger Norge AS, 1.95%, 09/14/16(b)     1,036,466  
Principal
Amount
        Value  
Energy (continued)        
$ 3,475,000     Shell International Finance BV, 4.00%, 03/21/14   $ 3,587,420  
              12,646,717  
Health Care — 3.0%        
  820,000     Celgene Corp., 2.45%, 10/15/15     850,506  
  1,000,000     CR Bard, Inc., 1.38%, 01/15/18     1,002,122  
  1,000,000     Express Scripts Holding Co., 2.65%, 02/15/17     1,051,263  
  3,035,000     Johnson & Johnson, 2.15%, 05/15/16     3,181,062  
  415,000     McKesson Corp, 0.95%, 12/04/15     417,004  
  500,000     McKesson Corp., 6.50%, 02/15/14     523,497  
  500,000     Medco Health Solutions, Inc., 2.75%, 09/15/15     520,998  
  1,690,000     Novartis Capital Corp., 4.13%, 02/10/14     1,737,827  
  5,000,000     Takeda Pharmaceutical Co. Ltd., 1.63%, 03/17/17(b)     5,099,605  
  1,000,000     UnitedHealth Group, Inc., 1.40%, 10/15/17     1,009,161  
              15,393,045  
Industrials — 2.9%        
  3,500,000     3M Co. MTN, 1.00%, 06/26/17     3,524,486  
  7,500,000     ADT Corp. (The), 2.25%, 07/15/17(b)     7,593,855  
  3,000,000     BAE Systems Plc, 3.50%, 10/11/16(b)     3,168,480  
  412,975     Federal Express Corp. 2012 Pass Through Trust, 2.63%, 01/15/18(b)     417,770  
  188,000     Tyco International Finance SA, 3.38%, 10/15/15     197,092  
              14,901,683  
Information Technology — 4.5%        
  10,000,000     Apple, Inc., 0.52%, 05/03/18(c)     10,025,000  
  3,165,000     Cisco Systems, Inc., 1.63%, 03/14/14     3,202,224  
  2,150,000     Fiserv, Inc., 3.13%, 06/15/16     2,265,528  
  1,200,000     Intel Corp, 1.35%, 12/15/17     1,208,164  
  3,000,000     International Business Machines Corp, 1.25%, 02/08/18     3,040,686  


66
Old Westbury Funds, Inc.  
Fixed Income Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
Information Technology (continued)        
$ 600,000     International Business Machines Corp., 1.95%, 07/22/16   $ 622,702  
  1,900,000     National Semiconductor Corp., 6.60%, 06/15/17     2,304,216  
  300,000     Texas Instruments, Inc., 1.38%, 05/15/14     303,383  
              22,971,903  
Insurance — 2.0%        
  3,990,000     Berkshire Hathaway Finance Corp., 2.45%, 12/15/15     4,187,629  
  815,000     Berkshire Hathaway, Inc., 1.90%, 01/31/17     844,061  
  5,000,000     New York Life Global Funding, 1.65%, 05/15/17(b)     5,092,685  
              10,124,375  
Materials — 2.2%        
  2,000,000     Air Products & Chemicals, Inc., 1.20%, 10/15/17     2,006,230  
  630,000     Airgas, Inc., 2.85%, 10/01/13     636,042  
  630,000     Airgas, Inc., 4.50%, 09/15/14     661,695  
  1,005,000     Airgas, Inc., 2.95%, 06/15/16     1,058,384  
  1,500,000     Anglo American Capital Plc, 2.15%, 09/27/13(b)     1,507,350  
  1,250,000     Dow Chemical Co. (The), 5.90%, 02/15/15     1,361,914  
  2,710,000     Dow Chemical Co. (The), 2.50%, 02/15/16     2,821,441  
  1,000,000     International Paper Co., 9.38%, 05/15/19     1,385,644  
              11,438,700  
Telecommunication Services — 0.8%        
  4,000,000     America Movil Sab de CV, 2.38%, 09/08/16     4,155,328  
Utilities — 1.1%        
  1,575,000     Dominion Resources, Inc., Series F, 5.25%, 08/01/33     1,845,843  
  1,000,000     Duke Energy Corp., 1.63%, 08/15/17     1,013,994  
  2,485,000     NextEra Energy Capital Holdings, Inc., 2.60%, 09/01/15     2,572,686  
              5,432,523  
Total Corporate Bonds
(Cost $278,553,869)
    285,717,958  
Principal
Amount
        Value  
ASSET-BACKED SECURITIES — 2.2%        
UNITED STATES — 2.2%        
$ 11,850,000     GCO Education Loan Funding Trust, Series 2006-2A, Class A2AR, 1.51%, 08/27/46(c)   $ 11,020,500  
                 
Total Asset-Backed Securities
(Cost $10,521,294)
    11,020,500  
MUNICIPAL BONDS — 7.2%        
California — 0.9%        
  3,850,000     Southern California Public Power Authority Refunding Revenue Bonds, Series B (AGM) 6.93%, 05/15/17     4,734,422  
District Of Columbia — 0.5%        
  1,000,000     District of Columbia Build America Bonds GO 3.64%, 06/01/15     1,057,160  
  1,310,000     District of Columbia Build America Bonds GO 4.16%, 06/01/16     1,435,275  
              2,492,435  
Georgia — 0.7%        
  3,085,000     State of Georgia Taxable School Improvement GO, Series C-3 2.59%, 10/01/17     3,316,591  
Illinois — 0.5%        
  2,600,000     State of Illinois Public Improvements Revenue Bonds 1.56%, 06/15/17     2,653,846  
Maine — 0.1%        
  465,000     State of Maine General Purpose GO, 4.34%, 05/15/13     464,999  
Maryland — 0.0%        
  20,000     State of Maryland Recreational Facilities Improvements COP, Series A 2.52%, 09/01/14     20,461  
  180,000     State of Maryland Recreational Facility Improvements COP, Series A 2.92%, 09/01/15     188,181  
              208,642  
Michigan — 0.2%        
  1,095,000     University of Michigan University and College Improvement Build America Revenue Bonds 1.75%, 04/01/15     1,119,605  


67
Old Westbury Funds, Inc.  
Fixed Income Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
Minnesota — 0.1%        
$ 40,000     Duluth Independent School District No. 709 Build America Bonds COP (School District Credit) 3.50%, 02/01/15   $ 41,640  
  605,000     Duluth Independent School District No. 709 Build America Bonds COP (School District Credit) 4.00%, 02/01/16     646,521  
              688,161  
New Jersey — 1.3%        
  1,500,000     County of Monmouth Build America Bonds GO 3.75%, 11/01/16     1,629,435  
  1,000,000     Morris County Improvement Authority Renewable Energy Revenue Bonds 1.90%, 06/15/15     1,013,070  
  100,000     Morris County Improvement Authority Renewable Energy Revenue Bonds 2.27%, 06/15/16     102,297  
  2,050,000     New Jersey Economic Development Authority Refunding Revenue Bonds 3.50%, 06/15/15     2,131,160  
  1,515,000     New Jersey Economic Development Authority Refunding Revenue Bonds (State Appropriation) 3.61%, 09/01/14     1,568,283  
  160,000     New Jersey Economic Development Authority School Improvement Revenue Bonds, Series FF 3.17%, 09/01/14     163,666  
              6,607,911  
New York — 0.8%        
  2,520,000     Metropolitan Transportation Authority Highway Toll Build America Revenue Bonds 4.28%, 11/15/16     2,736,266  
  110,000     New York State Dormitory Authority University & College Improvements Revenue Bonds, Series G 2.83%, 03/15/16     116,268  
  210,000     New York State Urban Development Corp. State Personal Income Tax Revenue Bonds, Series A-2 5.64%, 12/15/13     216,823  
Principal
Amount
        Value  
New York (continued)        
$ 1,075,000     New York State Urban Development Corp. State Personal Income Tax Revenue Bonds, Series A-2 (AGM) 4.65%, 12/15/13   $ 1,102,843  
              4,172,200  
Ohio — 0.5%        
  2,115,000     Ohio State Build America Revenue Bonds, Series 2 3.64%, 06/15/16     2,269,881  
Oregon — 0.1%        
  500,000     State of Oregon University and College Improvements GO, Series B 2.22%, 08/01/13     501,780  
South Carolina — 0.3%        
  1,050,000     State of South Carolina Refunding GO, Series A 5.00%, 06/01/17     1,235,367  
Washington — 1.2%        
  6,000,000     Energy Northwest Nuclear Power Plants Revenue Bonds, Series E 2.15%, 07/01/18     6,237,660  
Total Municipal Bonds
(Cost $35,198,760)
    36,703,500  
COLLATERALIZED MORTGAGE OBLIGATIONS — 1.1%        
$ 1,431,978     Freddie Mac Mortgage-Linked Amortizing Notes, 2.06%, 01/15/22     1,463,153  
$ 3,926,070     JPMorgan Tax Exempt Pass Through Trust, Series 2012-AMT1, Class A, 3.00%, 01/27/38(b)     4,058,408  
Total Collateralized Mortgage Obligations
(Cost $5,454,215)
    5,521,561  
U.S. GOVERNMENT AGENCIES — 6.8%        
Fannie Mae — 1.0%        
  1,765,000     5.00%, 03/02/15     1,918,124  
  2,705,000     5.00%, 04/15/15     2,954,101  
  200,000     1.63%, 10/26/15     206,265  
  4,617     7.50%, 08/01/25     5,494  
              5,083,984  


68
Old Westbury Funds, Inc.  
Fixed Income Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
Federal Farm Credit Bank — 0.0%      
$ 105,000     3.00%, 09/22/14   $ 109,144  
              109,144  
Federal Home Loan Bank — 1.4%        
  210,000     5.50%, 12/11/13     216,881  
  825,000     3.25%, 09/12/14     859,205  
  870,000     5.25%, 09/12/14     928,888  
  720,000     4.75%, 11/14/14     769,922  
  895,000     2.75%, 12/12/14     931,657  
  200,000     4.50%, 02/18/15     215,185  
  275,000     2.75%, 03/13/15     287,682  
  140,000     3.50%, 03/13/15     148,410  
  2,500,000     2.88%, 06/12/15     2,635,203  
  150,000     5.00%, 12/21/15     168,215  
              7,161,248  
Freddie Mac — 0.1%        
  300,000     2.88%, 02/09/15     313,921  
              313,921  
Ginnie Mae — 0.0%        
  33,433     8.50%, 10/15/17     35,574  
  360     9.00%, 02/15/20     364  
              35,938  
Overseas Private Investment Corp. — 1.9%        
  8,580,466     5.14%, 12/15/23     10,020,054  
              10,020,054  
Private Export Funding Corp. — 1.1%        
  105,000     4.55%, 05/15/15     114,093  
  1,400,000     4.95%, 11/15/15     1,558,007  
  3,000,000     5.00%, 12/15/16     3,458,763  
  500,000     2.25%, 12/15/17     533,614  
              5,664,477  
Small Business Administration — 1.1%        
  974,505     4.73%, 02/10/19     1,053,659  
  1,516,569     4.11%, 03/10/20     1,603,059  
  2,537,634     4.08%, 03/10/21     2,819,648  
              5,476,366  
Tennessee Valley Authority — 0.2%        
  110,000     4.75%, 08/01/13     111,218  
Principal
Amount
        Value  
Tennessee Valley Authority (continued)      
$ 725,000     6.25%, 12/15/17   $ 901,195  
              1,012,413  
Total U.S. Government Agencies
(Cost $32,290,608)
    34,877,545  
U.S. GOVERNMENT SECURITIES — 21.8%        
U.S. Treasury Bills — 3.5%        
  18,200,000     0.13%, 03/06/14(d)     18,184,384  
U.S. Treasury Notes — 18.3%        
  1,175,000     0.25%, 01/31/15     1,176,148  
  10,241,000     0.25%, 02/28/15     10,248,998  
  640,000     0.38%, 01/15/16     641,450  
  54,180,000     7.25%, 08/15/22     81,341,951  
Total U.S. Government Securities
(Cost $110,301,499)
    111,592,931  
GOVERNMENT BONDS — 2.5%        
AUSTRALIA — 0.2%        
  1,000,000     Australia & New Zealand Banking Group Ltd, 0.90%, 02/12/16     1,004,440  
CANADA — 0.8%        
  500,000     Canada Government International Bond, 0.88%, 02/14/17     505,850  
  430,000     Hydro Quebec, 2.00%, 06/30/16     447,415  
  230,000     Province of Ontario Canada, 2.70%, 06/16/15     240,850  
  2,875,000     Province of Ontario Canada, 2.30%, 05/10/16     3,019,325  
              4,213,440  
EGYPT — 0.2%        
  1,000,000     Egypt Government Aid Bonds, 4.45%, 09/15/15     1,095,025  
FRANCE — 0.2%        
  1,000,000     Societe Financement de L’economie Francaise, 2.88%, 09/22/14(b)     1,034,860  
GERMANY — 0.2%        
  1,000,000     Norddeutsche Landesbank Girozentrale, 0.88%, 10/16/15(b)     1,004,400  
JAPAN — 0.4%        
  2,000,000     Development Bank of Japan, 1.63%, 10/05/16(b)     2,066,364  
SOUTH KOREA — 0.4%        
  500,000     Export-Import Bank of Korea, 1.25%, 11/20/15     497,371  


69
Old Westbury Funds, Inc.  
Fixed Income Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
SOUTH KOREA (continued)        
$ 1,400,000     Export-Import Bank of Korea, 4.00%, 01/11/17   $ 1,523,649  
              2,021,020  
UNITED KINGDOM — 0.1%        
        500,000 Bank of England, 1.38%, 03/07/14(b)     504,935  
Total Government Bonds
(Cost $12,477,429)
    12,944,484  

 

Shares            
INVESTMENT COMPANY — 3.7%        
  18,710,000     SEI Daily Income Trust Government II Fund, Class A, 0.00%(e)     18,710,000  
Total Investment Company
(Cost $18,710,000)
    18,710,000  
TOTAL INVESTMENTS — 101.2%
(Cost $503,507,674)(a)
  $ 517,088,479  
LIABILITIES IN EXCESS OF OTHER ASSETS — (1.2)%     (6,223,952 )
NET ASSETS — 100.0%   $ 510,864,527  

 

(a) Cost for federal income tax purposes is $503,507,674 and net unrealized appreciation of investments is as follows:

 

Unrealized appreciation   $ 13,670,963  
Unrealized depreciation     (90,158 )
Net unrealized appreciation   $ 13,580,805  
(b) Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended. The security may be resold in transactions exempt from registration normally to qualified institutional buyers. The security has been determined to be liquid in accordance with procedures adopted by the Fund’s Board of Directors. The aggregate value of these securities is $78,655,383 which is 15.4% of net assets.
   
(c) Variable rate security. Rate shown is the rate as of April 30, 2013.
   
(d) The rate represents the annualized yield at time of purchase.
   
(e) Rate shown represents current yield at April 30, 2013.

 

AGM — Assured Guaranty Municipal Corp.
   
COP — Certificates of Participation
   
GO — General Obligations
   
MTN — Medium Term Note

 

Portfolio diversification by Sector (Unaudited)

 

Sector   Percentage
of Net Assets
U.S. Government Agencies and Securities     28.6 %
Corporate Bonds     55.9  
Municipal Bonds     7.2  
Government Bonds     2.5  
Asset Backed Securities     2.2  
Collateralized Mortgage Obligations     1.1  
Other*     2.5  
      100.0 %

 

 

 

  * Includes cash and equivalents, investment company, pending trades and Fund share transactions, interest and dividends receivable, prepaids and accrued expenses payable.


70
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
MUNICIPAL BONDS — 98.6%        
Alabama — 0.5%
$ 5,000,000     Alabama Federal Aid Highway Finance Authority Revenue Bonds,
5.00%, 09/01/20
  $ 6,120,600  
                 
Arizona — 0.9%
  2,000,000     Arizona Department of Transportation State Highway Fund Refunding Revenue Bonds, Sub-series A,
5.00%, 07/01/21
    2,513,040  
  350,000     Arizona State Board of Regents Revenue Bonds, Series 2008-C, OID,
5.88%, 07/01/24
    419,985  
  2,360,000     Arizona State Board of Regents Revenue Bonds, Series C,
5.00%, 07/01/17
    2,761,672  
  800,000     Arizona State Transportation  Board Grant Anticipation Refunding Revenue Bonds, Series A,
5.00%, 07/01/14
    843,064  
  200,000     Maricopa County Community College District GO, Series C,
5.00%, 07/01/20
    243,145  
  2,875,000     Phoenix Civic Improvement Corp. Refunding Revenue Bonds,
5.00%, 07/01/20
    3,546,974  
              10,327,880  
California — 3.6%
  1,700,000     California State University System Wide Refunding Revenue Bonds, Series A,
5.00%, 11/01/19
    2,088,144  
  5,900,000     City of Los Angeles Solid Waste Resources Revenue Bonds, Series A,
5.00%, 02/01/20
    7,108,084  
  1,250,000     Golden State Tobacco Securitization Corp. Enhanced Asset-Backed Revenue Bonds, Series B, OID,
5.63%, 06/01/13(b)
    1,255,325  
  1,495,000     Golden State Tobacco Securitization Corp. Enhanced-Asset Backed Revenue Bonds, Series 2003 A1, OID,
6.75%, 06/01/13(b)
    1,502,798  
Principal
Amount
        Value  
California (continued)
$ 2,720,000     Golden State Tobacco Securitization Corp. Enhanced-Asset Backed Revenue Bonds, Series B, OID,
5.50%, 06/01/13(b)
  $ 2,731,654  
  720,000     Golden State Tobacco Securitization Corp. Enhanced-Asset Backed Revenue Bonds, Series B, OID,
5.50%, 06/01/13(b)
    722,867  
  3,450,000     Golden State Tobacco Securitization Corp. Enhanced-Asset Backed Revenue Bonds, Series B, OID,
5.63%, 06/01/13(b)(c)
    3,462,297  
  305,000     Golden State Tobacco Securitization Corp. Enhanced-Asset Backed Revenue Bonds, Series B, OID, (AMBAC),
5.00%, 06/01/13(b)(c)
    305,732  
  220,000     Golden State Tobacco Securitization Corp. Enhanced-Asset Backed Revenue Bonds, Series B, OID, (AMBAC),
5.00%, 06/01/13(b)
    220,700  
  5,000,000     Golden State Tobacco Securitization Corp. Enhanced-Asset Backed Revenue Bonds, Series B, OID, (XLCA-ICR),
5.50%, 06/01/13(b)
    5,018,546  
  100,000     Huntington Beach Public Financing Authority Refunding Revenue Bonds,
4.00%, 09/01/18
    113,137  
  1,035,000     Los Rios Community College District 2002 Election GO, Series D,
5.25%, 08/01/23
    1,246,337  
  4,985,000     Southern California Public Power Authority Magnolia Power Project Refunding Revenue Bonds, (Wells Fargo Bank), 0.21%, 07/01/36(d)     4,985,000  
  10,000,000     State of California Refunding GO, Series A, (State GTY),
5.00%, 07/01/22
    11,171,800  


71
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
California (continued)
$ 2,120,000     University of California Regents  Medical Center Refunding  Revenue Bonds, Series G,
4.00%, 05/15/14
  $ 2,196,596  
              44,129,017  
Colorado — 0.7%
  450,000     Denver City & County School District No 1 Refunding GO, Series C (State Aid Withholding),
5.00%, 12/01/23
    576,149  
  1,200,000     Douglas County School District No Re-1 Douglas & Elbert Counties Refunding GO, Series B (AGM, State Aid Withholding),
5.00%, 12/15/14
    1,291,296  
  2,000,000     El Paso County School District No 38 Lewis-Palmer Refunding GO (State Aid Withholding),
4.00%, 12/01/17
    2,286,140  
  1,180,000     Jefferson County School District GO, Series R-1, (State Aid Withholding),
5.00%, 12/15/22
    1,497,727  
  1,000,000     Jefferson County School District GO, Series R-1, (State Aid Withholding),
5.00%, 12/15/23
    1,257,260  
  1,800,000     University of Colorado Refunding Revenue Bonds, Series A (NATL-RE),
4.50%, 06/01/21
    2,031,858  
              8,940,430  
Connecticut — 2.0%
  2,000,000     Connecticut State Health & Educational Facility Authority Refunding Revenue Bonds, Series A-3,
0.88%, 07/01/49(c)(d)
    1,996,740  
  4,700,000     Connecticut State Health & Educational Facility Authority Revenue Bonds, Series A-4,
2.50%, 07/01/49(d)
    4,879,493  
  8,800,000     Connecticut State Health & Educational Facility Authority Revenue Bonds, Series T-2,
0.21%, 07/01/29(d)
    8,800,000  
  8,290,000     State of Connecticut Special Tax Refunding Revenue Bonds,
2.00%, 11/01/13
    8,363,698  
Principal
Amount
        Value  
Connecticut (continued)
$ 750,000     University of Connecticut Revenue Bonds, Series A (GO of University),
5.00%, 01/15/14
  $ 774,953  
              24,814,884  
Delaware — 0.3%
  3,785,000     Delaware Transportation Authority Refunding Revenue Bonds, Series A,
5.00%, 07/01/13
    3,814,334  
District Of Columbia — 0.8%
  5,000,000     District of Columbia Public Improvement Revenue Bonds, Series C,
5.00%, 12/01/19
    6,183,950  
  2,250,000     District of Columbia Refunding Revenue Bonds, Series A,
5.00%, 12/01/20
    2,808,405  
  1,000,000     District of Columbia Water & Sewer Authority Revenue Bonds, Series A,
4.00%, 10/01/13
    1,015,520  
              10,007,875  
Florida — 4.7%
  475,000     Florida State Board of Education Capital Outlay GO, Series E,
4.00%, 06/01/13
    476,505  
  3,000,000     Florida State Board of Education Capital Outlay GO, Series E,
4.60%, 06/01/23
    3,254,790  
  800,000     Florida State Board of Education Lottery Refunding Revenue Bonds, Series A,
5.00%, 07/01/18
    958,336  
  6,000,000     Florida State Board of Education Lottery Refunding Revenue Bonds, Series D,
5.00%, 07/01/14
    6,325,860  
  1,125,000     Florida State Board of Education Lottery Revenue Bonds, Series A (AMBAC),
5.00%, 07/01/13
    1,133,640  
  8,575,000     Florida State Board of Education Lottery Revenue Bonds, Series A, OID,
5.50%, 07/01/27
    10,102,979  
  2,240,000     Florida State Board of Education Lottery Revenue Bonds, Series B, (NATL-RE),
5.00%, 07/01/13
    2,257,203  
  4,165,000     Florida State Board of Governors Refunding Revenue Bonds, Series A,
5.00%, 07/01/16
    4,728,108  


72
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
Florida (continued)
$ 250,000     Hillsborough County Community Investment Tax Revenue Bonds, (AMBAC),
5.00%, 11/01/13
  $ 255,498  
  1,065,000     Hillsborough County Community Investment Tax Revenue Bonds, (AMBAC),
5.00%, 11/01/16
    1,208,573  
  11,700,000     JEA Florida Water & Sewer System Refunding Revenue Bonds, Sub-Series B-1,
0.22%, 10/01/36(d)
    11,700,000  
  450,000     Miami-Dade County Water & Sewer Refunding Revenue Bonds, (XLCA),
5.00%, 10/01/18
    531,752  
  2,000,000     Miami-Dade County Water & Sewer Refunding Revenue Bonds, (XLCA),
5.00%, 10/01/19
    2,350,980  
  1,800,000     Miami-Dade County Water & Sewer Refunding Revenue Bonds, Series B, (AGM),
5.25%, 10/01/16
    2,080,854  
  2,000,000     Orlando Utilities Commission Refunding Revenue Bonds, Series A,
5.00%, 10/01/20
    2,498,760  
  1,000,000     Palm Beach County Refunding Revenue Bonds,
5.00%, 08/01/17
    1,058,590  
  500,000     Palm Beach County Revenue Bonds, Series 2, OID,
5.25%, 11/01/25
    602,635  
  6,010,000     Palm Beach County School District Refunding COP, Series E (AMBAC),
5.38%, 08/01/13
    6,083,983  
              57,609,046  
Georgia — 2.8%
  10,000,000     Bartow County School District School Improvement GO, Series A, (State Aid Withholding),
4.00%, 10/01/15
    10,817,600  
  700,000     County of Forsyth Refunding GO,
5.25%, 03/01/14(b)
    735,791  
  1,000,000     County of Fulton Water & Sewer Refunding Revenue Bonds,
5.00%, 01/01/18
    1,178,210  
  1,250,000     Georgia State Road & Tollway Authority Federal Highway Grant Antic Buildings Revenue Bonds, Series A,
5.00%, 06/01/18
    1,483,300  
Principal
Amount
        Value  
Georgia (continued)
$ 5,000,000     Georgia State Road & Tollway Authority Highway Improvement Revenue Bonds, Series A,
5.00%, 06/01/20
  $ 6,032,250  
  2,185,000     Georgia State Road & Tollway Authority Refunding Revenue Bonds, Series B, (State GTY),
5.00%, 10/01/19
    2,721,811  
  525,000     Gwinnett County Development Authority Refunding COP, Gwinnett Development Schools Project, (NATL-RE),
5.00%, 01/01/15
    561,577  
  630,000     Gwinnett County Development Authority Refunding COP, Gwinnett Development Schools Project, (NATL-RE),
5.25%, 01/01/17
    724,538  
  2,500,000     Private Colleges & Universities Authority Refunding Revenue Bonds, Series B-2,
0.21%, 09/01/35(d)
    2,500,000  
  1,925,000     State of Georgia Refunding GO, Series E-2,
4.00%, 09/01/18
    2,245,647  
  2,860,000     State of Georgia Refunding GO, Series E-2,
4.00%, 09/01/19
    3,382,865  
  1,500,000     State of Georgia School Improvement GO, Series B,
5.00%, 01/01/18
    1,795,275  
              34,178,864  
Hawaii — 0.9%
  8,000,000     City & County of Honolulu Public Improvements Refunding GO, Series B,
5.00%, 11/01/19
    9,876,960  
  1,000,000     City & County of Honolulu Public Improvements Refunding GO, Series B (AGM),
5.50%, 07/01/13
    1,008,620  
  400,000     State of Hawaii Refunding GO, Series DY,
5.00%, 02/01/18
    477,023  
              11,362,603  
Idaho — 0.2%
  1,500,000     Idaho Board Bank Authority Refunding Revenue Bonds, Series D,
5.00%, 09/15/23
    1,884,060  


73
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
Illinois — 2.0%
$ 3,540,000     Chicago Park District Refunding GO, Series C, (AMBAC),
5.00%, 01/01/23
  $ 3,722,062  
  900,000     Chicago Transit Authority Federal Transit Revenue Bonds, (AMBAC),
5.00%, 06/01/21
    1,004,319  
  1,345,000     City of Champaign Parking Facilities Improvements GO, Series 2008,
5.00%, 12/15/17
    1,544,410  
  375,000     City of Chicago Refunding GO, OID, Series B (AMBAC),
5.13%, 01/01/15
    397,785  
  125,000     City of Chicago Refunding GO, OID, Series B (AMBAC),
5.13%, 01/01/15(b)
    128,989  
  1,000,000     Cook County Community College District No. 524 Moraine Valley GO, Series B, (NATL-RE),
5.00%, 12/01/25
    1,195,880  
  9,800,000     Illinois Finance Authority University & College Improvement Revenue Bonds, Series B,
0.22%, 07/01/33(d)
    9,800,000  
  3,500,000     State of Illinois Public Improvement Refunding Revenue Bonds,
5.00%, 06/15/18
    4,198,530  
  780,000     University of Illinois College Improvement Refunding Revenue Bonds, Series A,
5.00%, 04/01/21
    946,600  
  945,000     University of Illinois College Improvement Refunding Revenue Bonds, Series A,
5.00%, 04/01/22
    1,133,868  
              24,072,443  
Indiana — 1.8%
  580,000     Anderson School Building Corp., First Mortgage Refunding Revenue Bonds, (AGM, State Aid Withholding),
5.00%, 01/15/16
    637,072  
  1,050,000     Avon Community School Building Corp., First Mortgage Refunding and Improvement Revenue Bonds, (AMBAC, State Aid Withholding),
5.00%, 07/15/16
    1,193,693  
Principal
Amount
        Value  
Indiana (continued)
$ 650,000     Avon Community School Building Corp., First Mortgage Refunding and Improvement Revenue Bonds, (AMBAC, State Aid Withholding),
5.00%, 01/15/17
  $ 747,013  
  650,000     Decatur Township Marion County Multi-School Building Corp., First Mortgage Revenue Bonds, Series B, (AGM, State Aid Withholding),
5.00%, 07/15/18
    728,078  
  490,000     East Noble Facilities School Building Corp., First Mortgage Refunding Revenue Bonds, (NATL-RE, State Aid Withholding),
5.00%, 07/15/16
    545,654  
  510,000     Evansville Vanderburgh Public Library Leasing Corp., First Mortgage Refunding Revenue Bonds, (AMBAC),
5.25%, 07/15/17
    565,075  
  1,070,000     Griffith Multi-School Building Corp., First Mortgage Refunding Revenue Bonds, (AGM, State Aid Withholding),
5.00%, 01/15/22
    1,154,113  
  905,000     Hammond School Building Corp., First Mortgage Revenue Bonds, (NATL-RE),
5.00%, 07/15/23
    958,739  
  1,400,000     Perry Township Multi School Building Corp. First Mortgage Refunding Revenue Bonds, (State Aid Withholding),
5.00%, 01/10/21
    1,697,808  
  500,000     Plainfield Elementary School Building Corp., First Mortgage Refunding Revenue Bonds, (NATL-RE, School Board Resolution Funding),
5.00%, 07/15/18
    544,959  
  715,000     Portage Township Multi-School Building Corp., First Mortgage Refunding Revenue Bonds, (NATL-RE, School Board Resolution Funding),
5.00%, 01/15/16
    799,127  
  735,000     Portage Township Multi-School Building Corp., First Mortgage Refunding Revenue Bonds, (NATL-RE, School Board Resolution Funding),
5.00%, 07/15/16
    837,341  


74
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
Indiana (continued)
$ 570,000     Portage Township Multi-School Building Corp., First Mortgage Refunding Revenue Bonds, (NATL-RE, School Board Resolution Funding),
5.00%, 07/15/17
  $ 671,004  
  700,000     Purdue University Refunding Revenue Bonds, Series A,
5.00%, 07/01/23
    860,937  
  2,585,000     Purdue University Student Fee Refunding Revenue Bonds, Series Z-1,
5.00%, 07/01/14
    2,726,942  
  3,000,000     Purdue University Student Fee Refunding Revenue Bonds, Series Z-1,
5.00%, 07/01/15
    3,298,680  
  700,000     Tippecanoe County Middle School Building Corp. First Mortgage Refunding Revenue Bonds, (State Aid Withholding),
4.00%, 01/15/14
    717,493  
  1,000,000     Tippecanoe County Middle School Building Corp. First Mortgage Refunding Revenue Bonds, (State Aid Withholding),
4.00%, 01/15/15
    1,048,870  
  765,000     Vigo County School Building Corp., First Mortgage Refunding Revenue Bonds, (AGM, State Aid Withholding),
5.00%, 01/10/16
    848,048  
  1,000,000     Warsaw Multi-School Building Corp. Revenue Bonds, Series B (State Aid Withholding),
5.75%, 07/15/26
    1,134,680  
  175,000     Wayne Township School Building Corp., Marion County First Mortgage Revenue Bonds, (NATL-RE, School Board Resolution Funding),
5.00%, 01/15/15
    185,971  
              21,901,297  
Iowa — 0.2%
  2,000,000     Iowa Finance Authority Water Utilities Improvements Revenue Bonds,
5.00%, 08/01/20
    2,485,000  
Principal
Amount
        Value  
Kansas — 0.5%
$ 5,700,000     Kansas State Department of Transportation Refunding Revenue Bonds, Series C-3,
0.20%, 09/01/19(d)
  $ 5,700,000  
Kentucky — 0.1%
  1,000,000     Kentucky State Property & Buildings Commission Revenue Bonds, Project No. 88, (NATL-RE, FGIC),
5.00%, 11/01/15
    1,109,300  
Louisiana — 0.4%
  2,000,000     Louisiana Public Facilities Authority Hurricane Recovery Program Revenue Bonds, (AMBAC),
5.00%, 06/01/16
    2,197,060  
  2,300,000     State of Louisiana Gasoline & Fuels Tax Refunding Revenue Bonds, Series A-1,
5.00%, 05/01/20
    2,856,784  
              5,053,844  
Maine — 0.2%
  115,000     Maine Health & Higher Educational Facilities Authority Refunding Revenue Bonds, Series B, (AMBAC, State Resolution Funding GTY),
5.00%, 07/01/21(b)
    131,209  
  1,800,000     Maine Health & Higher Educational Facilities Authority University & College Improvements Revenue Bonds, Series A,
5.00%, 07/01/16
    1,990,818  
              2,122,027  
Maryland — 1.8%
  1,300,000     State of Maryland Public Improvements GO, Series A,
5.00%, 08/01/17
    1,538,147  
  1,000,000     State of Maryland Public Improvements GO, Series A,
5.00%, 08/01/17
    1,183,190  
  4,350,000     State of Maryland Public Improvements GO, Series A,
5.00%, 03/15/19
    5,355,720  
  8,000,000     State of Maryland Refunding GO, Series C,
4.00%, 11/01/19
    9,472,320  
  2,960,000     State of Maryland Refunding GO, Series C,
5.00%, 11/01/20
    3,746,916  
              21,296,293  


75
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
Massachusetts — 5.7%
$ 3,600,000     Berkshire Regional Transit Authority Cash Flow Management Revenue Notes,
1.00%, 09/27/13
  $ 3,608,136  
  700,000     City of Springfield Recreational Facilities Improvements GO (NATL-RE, School Board Resolution Funding),
5.25%, 08/01/14
    742,644  
  2,500,000     Commonwealth of Massachusetts Refunding GO, Series B,
3.00%, 01/01/14
    2,546,400  
  1,050,000     Commonwealth of Massachusetts Refunding GO, Series C,
0.21%, 01/01/21(d)
    1,050,000  
  6,000,000     Commonwealth of Massachusetts Special Obligation Federal Highway Grant Refunding Revenue Bonds,
5.00%, 12/15/13
    6,178,140  
  2,000,000     Greater Attleboro-Taunton Regional Transit Authority  Cash Flow Management Revenue Notes,
1.25%, 08/16/13
    2,004,040  
  4,000,000     Massachusetts Bay Transportation Authority Refunding Revenue Bonds, Series A,
5.00%, 07/01/23
    5,115,280  
  10,000,000     Massachusetts Department of Transportation Contract Assistance Refunding Revenue Bonds, Series A7, (State Gty),
0.22%, 01/01/29(d)
    10,000,000  
  7,780,000     Massachusetts State Water Pollution Abatement Trust Refunding Revenue Bonds, Sub-Series 16-B,
5.00%, 08/01/20
    9,794,553  
  500,000     Massachusetts Water Pollution Abatement Trust, Refunding Revenue Bonds, Series A,
5.25%, 08/01/13
    506,205  
  1,100,000     Massachusetts Water Pollution Abatement Trust, Refunding Revenue Bonds, Series A,
5.25%, 08/01/14
    1,168,431  
  3,000,000     Massachusetts Water Resources Authority Refunding Revenue Bonds, Series A,
5.00%, 08/01/22
    3,831,720  
Principal
Amount
        Value  
Massachusetts (continued)
$ 7,000,000     Massachusetts Water Resources Authority Refunding Revenue Bonds, Series C, (GO of Authority),
5.00%, 08/01/23
  $ 8,702,890  
  705,000     Massachusetts Water Resources Authority Refunding Revenue Bonds, Series E, (GO of Authority),
0.23%, 08/01/37(d)
    705,000  
  295,000     Massachusetts Water Resources Authority Revenue Bonds, Series B, (GO of Authority),
5.00%, 08/01/21
    372,175  
  5,000,000     Montachusett Regional Transit Authority Cash Flow Management Revenue Notes,
1.25%, 08/09/13
    5,009,850  
  7,500,000     Southeastern Regional Transit Authority Cash Flow Management Revenue Notes,
1.25%, 08/30/13
    7,518,450  
              68,853,914  
Michigan — 1.9%
  345,000     Clintondale Community Schools Refunding GO, (NATL-RE, Q-SBLF),
5.00%, 05/01/20
    369,981  
  635,000     Dexter Community Schools Refunding GO (Q-SBLF),
4.00%, 05/01/18
    711,441  
  400,000     Hudsonville Public Schools Improvements GO, (Q-SBLF),
5.00%, 05/01/18
    468,175  
  550,000     Hudsonville Public Schools Improvements GO, (Q-SBLF),
5.00%, 05/01/19
    656,134  
  125,000     Jackson Public Schools Refunding GO, (AGM Q-SBLF),
5.00%, 05/01/15
    130,906  
  25,000     Jackson Public Schools Refunding GO, (AGM, Q-SBLF),
5.00%, 05/01/15(b)
    26,181  
  1,125,000     Michigan State Building Authority Refunding Revenue Bonds, Series I-A,
5.00%, 10/15/13
    1,149,176  
  1,335,000     Michigan State Building Authority Refunding Revenue Bonds, Series I-A,
5.00%, 10/15/15
    1,474,881  
  1,375,000     Northville Public Schools Refunding GO, (Q-SBLF),
5.00%, 05/01/18
    1,601,421  


76
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
Michigan (continued)
$ 1,155,000     River Rouge School District Refunding GO, (Q-SBLF),
5.00%, 05/01/16
  $ 1,278,666  
  775,000     River Rouge School District Refunding GO, (Q-SBLF),
5.00%, 05/01/18
    896,559  
  1,160,000     River Rouge School District Refunding GO, (Q-SBLF),
5.00%, 05/01/21
    1,386,583  
  1,000,000     River Rouge School District Refunding GO, (Q-SBLF),
5.00%, 05/01/22
    1,201,150  
  2,000,000     Romulus Community Schools Refunding GO (Q-SBLF),
5.00%, 05/01/22
    2,377,460  
  700,000     State of Michigan Trunk Line Refunding Revenue Bonds, Series A,
5.25%, 11/01/13
    717,458  
  265,000     Stockbridge Community Schools Refunding GO, (AGM, Q-SBLF),
5.00%, 05/01/21
    284,297  
  4,730,000     University of Michigan Refunding Revenue Bonds, Series C,
4.00%, 04/01/19
    5,498,199  
  1,500,000     University of Michigan Revenue Bonds,
0.22%, 04/01/32(d)
    1,500,000  
  1,375,000     Warren Consolidated Schools Refunding GO (Q-SBLF),
5.00%, 05/01/20
    1,657,934  
              23,386,602  
Minnesota — 1.5%
  1,300,000     City of Minneapolis Public Improvements GO,
5.00%, 12/01/17
    1,557,244  
  450,000     Minnesota Public Facilities Authority Clean Water Revenue Bonds, Series B,
5.00%, 03/01/16
    506,381  
  1,845,000     New Prague Independent School District No 721 Crossover Refunding GO, (School District Credit Program),
4.00%, 02/01/19
    2,179,222  
  5,425,000     St. Paul Port Authority Anderson Office Building Refunding Revenue Bonds, Series 3,
5.00%, 12/01/19
    6,640,471  
  5,000,000     St. Paul Port Authority Anderson Office Building Refunding Revenue Bonds, Series 3,
5.00%, 12/01/21
    6,225,950  
Principal
Amount
        Value  
Minnesota (continued)
$ 1,000,000     State of Minnesota Refunding Revenue Bonds, Series B,
5.00%, 03/01/21
  $ 1,253,370  
              18,362,638  
Mississippi — 0.2%
  1,810,000     Mississippi Development Bank Special Obligation Refunding Revenue Bonds, Series D,
5.00%, 08/01/18
    2,111,401  
Missouri — 1.1%
  700,000     County of Jackson Refunding Revenue Bonds,
4.00%, 12/01/18
    789,299  
  1,020,000     County of Jackson Refunding Revenue Bonds,
4.00%, 12/01/21
    1,149,193  
  500,000     County of Jackson Refunding Revenue Bonds,
4.00%, 12/01/22
    562,160  
  500,000     Jackson County Reorganized School District No. 4 Blue Springs Refunding GO, Series B,
5.00%, 03/01/18
    589,370  
  2,225,000     Missouri State Health & Educational Facilities Authority Columbia Arena Project Refunding Revenue Bonds,
5.00%, 10/01/19
    2,734,414  
  1,205,000     Missouri State Highways & Transportation Commission Refunding Revenue Bonds, Senior Lien,
5.00%, 02/01/14
    1,248,091  
  5,000,000     St. Louis School District Direct Deposit Program GO, (State Aid Direct Deposit),
5.00%, 04/01/22
    6,076,100  
              13,148,627  
Nevada — 0.5%
  2,605,000     Clark County Water Reclamation District GO, Series A, 5.25%, 07/01/20     3,153,900  
  3,110,000     Las Vegas Valley Water District Refunding GO, Series A, (NATL-RE, FGIC), 5.00%, 06/01/20     3,372,546  
              6,526,446  


77
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
New Hampshire — 0.7%
$ 2,600,000     New Hampshire Health & Education Facilities Authority Dartmouth College Revenue Bonds,
0.20%, 06/01/32(d)
  $ 2,600,000  
  5,250,000     State of New Hampshire Highway Improvements Revenue,
5.00%, 09/01/19
    6,440,543  
              9,040,543  
New Jersey — 5.2%
  255,000     Denville Township Board of Education Refunding GO, (AGM, School Board Resolution Funding),
4.00%, 02/15/17
    280,633  
  7,000,000     Garden State Preservation Trust Refunding Revenue Bonds, Series A,
5.00%, 11/01/17
    8,332,870  
  600,000     Middlesex County Improvement Authority Open Space Trust Refunding Revenue Bonds (County GTY),
5.00%, 09/15/19
    738,516  
  475,000     Monmouth County Improvement Authority Refunding Revenue Bonds (County GTY, Municipal Government GTY),
5.00%, 12/01/22
    608,171  
  5,000,000     New Jersey Economic
Development Authority School Facilities Construction Refunding Revenue Bonds, Series N-1, (AMBAC),
5.50%, 09/01/24
    6,454,450  
  1,500,000     New Jersey Economic Development Authority School Facilities Construction Refunding Revenue Bonds, Series W,
5.00%, 03/01/18
    1,761,945  
  500,000     New Jersey Economic Development Authority School Facilities Construction Revenue Bonds, Series O,
5.00%, 03/01/18
    542,515  
                 
  11,690,000     New Jersey Economic Development Authority School Facility Construction Refunding Revenue Bonds, Series EE,
5.00%, 09/01/17
    13,687,237  
Principal
Amount
        Value  
New Jersey (continued)
$ 1,000,000     New Jersey Educational Facilities Authority Higher Education Capital Improvement Refunding Revenue Bonds, Series A, (AGM),
5.00%, 09/01/14
  $ 1,059,470  
  1,415,000     New Jersey Educational Facilities Authority Ramapo College Revenue Bonds, Series A,
5.00%, 07/01/14
    1,484,547  
  25,000     New Jersey Environmental Infrastructure Trust Revenue Bonds, Series 2012,
5.00%, 09/01/16(b)
    28,663  
  1,160,000     New Jersey Environmental Infrastructure Trust Revenue Bonds, Series 2013,
5.00%, 09/01/16
    1,329,975  
  15,000     New Jersey Environmental Infrastructure Trust Revenue Bonds, Series A,
5.00%, 09/01/16(b)
    17,198  
  5,105,000     New Jersey Sports & Exposition Authority Refunding Revenue Bonds, Series B (State Appropriation),
5.00%, 09/01/18
    6,036,611  
  40,000     New Jersey Sports & Exposition Authority Refunding Revenue Bonds, Series B (State Appropriation),
5.00%, 09/01/18(b)
    48,605  
  1,300,000     New Jersey State Turnpike Authority Refunding Revenue Bonds, Series B,
5.00%, 01/01/20
    1,582,776  
  1,305,000     New Jersey Transportation Trust Fund Authority Transit Improvement Revenue Bonds, Series A (NATL-RE, FGIC-TCRS),
5.63%, 06/15/13
    1,313,538  
  1,885,000     New Jersey Transportation Trust Fund Authority Transit Improvement Revenue Bonds, Series A, (State Appropriation),
5.00%, 06/15/16
    2,126,337  
  1,375,000     New Jersey Transportation Trust Fund Authority Transportation Systems Refunding Revenue Bonds, Series B, (NATL-RE),
5.50%, 12/15/15
    1,551,949  


78
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal            
Amount         Value  
New Jersey (continued)
$ 2,750,000     New Jersey Transportation Trust Fund Authority Transportation Systems Refunding Revenue Bonds, Series B-5, 5.25%, 12/15/19(c)   $ 3,366,165  
  335,000     New Milford School District Refunding GO, (School Board Resolution Funding), 4.00%, 08/15/15     357,157  
  10,000,000     Tobacco Settlement Financing Corp., Asset Backed Revenue Bonds, OID, 6.25%, 06/01/13(b)     10,045,269  
  345,000     Tobacco Settlement Financing Corp., Asset Backed Revenue Bonds, OID, 6.75%, 06/01/13(b)     346,636  
              63,101,233  
New Mexico — 0.1%
  1,000,000     Gadsden Independent School District No 16 Refunding GO, Series B (State Aid Withholding), 4.00%, 08/15/16     1,104,510  
  250,000     Gadsden Independent School District No 16 Refunding GO, Series B (State Aid Withholding), 4.00%, 08/15/17     282,378  
              1,386,888  
New York — 31.3%
  3,000,000     City of New York Public Improvements GO, Series B2, Sub-Series B9, (JP Morgan Chase Bank), 0.20%, 08/15/23(c)(d)     3,000,000  
  1,355,000     City of New York Public Improvements GO, Series D, 5.00%, 11/01/14(b)     1,450,948  
  545,000     City of New York Public Improvements GO, Series D, 5.00%, 11/01/21     579,864  
  8,470,000     City of New York Public Improvements GO, Sub-Series A-1, 5.00%, 10/01/20     10,528,464  
  2,220,000     City of New York Refunding GO, Series C, 5.00%, 08/01/20     2,751,446  
  1,000,000     City of New York Refunding GO, Series C, 5.00%, 08/01/22     1,258,760  
  2,705,000     City of New York Refunding GO, Series D, 5.00%, 08/01/13(b)     2,736,432  

 

 

Principal            
Amount         Value  
New York (continued)
$ 1,000,000     City of New York Refunding GO, Series E, 5.00%, 08/01/14   $ 1,059,240  
  8,340,000     City of New York Refunding GO, Series E, 5.00%, 08/01/20     10,336,513  
  3,360,000     City of New York Refunding GO, Series I, 5.00%, 08/01/16     3,829,627  
  12,000,000     City of New York Refunding GO, Sub-Series I-1, 5.00%, 08/01/19     14,646,360  
  2,000,000     Erie County Industrial Development Agency Refunding Revenue Bonds, Series B, 5.00%, 05/01/18     2,378,040  
  5,000,000     Erie County Industrial Development Agency Refunding Revenue Bonds, Series B, 5.00%, 05/01/23     6,021,200  
  1,100,000     Erie County Industrial Development Agency Revenue Bonds, Series A (State Aid Withholding), 5.00%, 05/01/13     1,100,000  
  7,000,000     Metropolitan Transportation Authority Refunding Revenue Bonds, Series D, 3.00%, 11/15/13     7,104,440  
  3,500,000     Metropolitan Transportation Authority Refunding Revenue Bonds, Series D, 5.00%, 11/15/18     4,199,580  
  10,000,000     Metropolitan Transportation Authority Refunding Revenue Bonds, Series D, 5.00%, 11/15/21     12,333,800  
  1,000,000     Metropolitan Transportation Authority Refunding Revenue Bonds, Series D-1, 5.00%, 11/01/22(c)     1,235,840  
  10,000,000     Metropolitan Transportation Authority Refunding Revenue Bonds, Series F, 5.00%, 11/15/17     11,783,100  
  1,925,000     Metropolitan Transportation Authority Refunding Revenue Bonds, Series F, 5.00%, 11/15/21     2,374,257  
  9,550,000     Metropolitan Transportation Authority Refunding Revenue Bonds, Series F, 5.00%, 11/15/22     11,810,485  

 

79
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal            
Amount         Value  
New York (continued)
$ 650,000     Metropolitan Transportation Authority Transit Improvements Revenue Bonds, Series A, 3.00%, 11/15/13   $ 659,698  
  2,150,000     Metropolitan Transportation Authority Transit Improvements Revenue Bonds, Series A, 4.00%, 11/15/15     2,336,341  
  1,910,000     Metropolitan Transportation Authority Transit Improvements Revenue Bonds, Series C, 5.00%, 11/15/21     2,355,756  
  1,000,000     Municipal Assistance Corp. For The City of Troy General Resolution Refunding Revenue Bonds, Series A, (GO of Corp.), 4.50%, 01/15/15     1,047,560  
  4,570,000     New York City Health & Hospital Corp. Refunding Revenue Bonds, Series A, (GO of Corp.), 5.00%, 02/15/14     4,737,536  
  2,500,000     New York City Municipal Water Finance Authority Fiscal 2009 Revenue Bonds, Series A, 5.50%, 06/15/21     3,030,525  
  1,635,000     New York City Transitional Finance Authority Building Aid Revenue Bonds, Sub-Series S-1A (State Aid Withholding), 3.00%, 07/15/13     1,644,074  
  9,375,000     New York City Transitional Finance Authority Future Tax Secured Refunding Revenue Bonds, Series A, 5.00%, 11/01/18     11,374,969  
  1,060,000     New York City Transitional Finance Authority Future Tax Secured Refunding Revenue Bonds, Series A-1, 5.00%, 11/01/14     1,134,560  
  1,335,000     New York City Transitional Finance Authority Future Tax Secured Refunding Revenue Bonds, Series B, 5.00%, 11/01/17     1,583,991  
  665,000     New York City Transitional Finance Authority Future Tax Secured Refunding Revenue Bonds, Series B, 5.00%, 11/01/17(b)     792,926  

 

 

Principal            
Amount         Value  
New York (continued)
$ 1,950,000     New York City Transitional Finance Authority Future Tax Secured Refunding Revenue Bonds, Series B, 5.00%, 02/01/18   $ 2,322,489  
  14,775,000     New York City Transitional Finance Authority Future Tax Secured Refunding Revenue Bonds, Sub-Series B, 5.00%, 11/01/21     18,683,135  
  3,025,000     New York City Transitional Finance Authority Future Tax Secured Refunding Revenue Bonds, Sub-Series G, 5.00%, 11/01/18     3,670,323  
  1,045,000     New York City Transitional Finance Authority Future Tax Secured Refunding Revenue Bonds, Sub-Series G, 5.00%, 11/01/19     1,293,125  
  2,425,000     New York City Transitional Finance Authority Future Tax Secured Refunding Revenue Bonds, Sub-Series G, 5.00%, 11/01/21     3,066,437  
  935,000     New York City Transitional Finance Authority Future Tax Secured Refunding Revenue Bonds, Sub-Series H, 5.00%, 11/01/18     1,134,464  
  1,535,000     New York City Transitional Finance Authority Future Tax Secured Refunding Revenue Bonds, Sub-Series H, 5.00%, 11/01/21     1,941,023  
  515,000     New York City Transitional Finance Authority Future Tax Secured Revenue Bonds, Sub-Series, F-1, 5.00%, 02/01/19     627,785  
  4,725,000     New York City Transitional Finance Authority Public Improvement Revenue Bonds, Series B-3, 4.00%, 11/01/13     4,815,106  
  6,300,000     New York City Transitional Finance Authority Public Improvement Revenue Bonds, Series B-3, 5.00%, 11/01/14     6,742,197  
  1,815,000     New York City Transitional Finance Authority Public Improvement Revenue Bonds, Series C, 5.00%, 11/01/17     2,153,516  

 

80
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal            
Amount         Value  
New York (continued)
$ 2,200,000     New York City Transitional Finance Authority Public Improvements Revenue Bonds, Series A-1, 5.00%, 05/01/22   $ 2,683,560  
  3,235,000     New York City Transitional Finance Authority School Improvement Revenue Bonds, Sub-Series S-1A, (State Aid Withholding), 5.00%, 07/15/21     4,006,903  
  7,090,000     New York Local Government Assistance Corp. Refunding Revenue Bonds, Sub-Lien Series B-3V, (GO of Corp.), 0.20%, 04/01/24(d)     7,090,000  
  700,000     New York Local Government Assistance Corp. Refunding Revenue Bonds, Sub-Series A-5-6, 5.00%, 04/01/17     818,286  
  5,100,000     New York Municipal Bond Bank Agency Refunding Revenue Bonds, (State Aid Withholding), 4.00%, 12/01/17     5,814,816  
  10,000,000     New York Municipal Bond Bank Agency Refunding Revenue Bonds, (State Aid Withholding), 5.00%, 12/01/21     12,523,800  
  700,000     New York State Dormitory Authority Cornell University Revenue Bonds, Series A, 0.22%, 07/01/29(d)     700,000  
  900,000     New York State Dormitory Authority Economic Development & Housing Revenue Bonds, Series A, 4.00%, 12/15/16     1,010,340  
  15,000     New York State Dormitory Authority Mental Health Services Facility Refunding Revenue Bonds, (State Appropriation), 5.00%, 08/15/18(b)     18,227  
  1,770,000     New York State Dormitory Authority Mental Health Services Facility Refunding Revenue Bonds, Series A, (State Appropriation), 4.50%, 08/15/17     2,043,589  
  550,000     New York State Dormitory Authority Mental Health Services Facility Revenue Bonds, (NATL-RE, FGIC, State Appropriation), 5.00%, 02/15/16     595,117  

 

 

Principal            
Amount         Value  
New York (continued)
$ 2,485,000     New York State Dormitory Authority Mental Health Services Facility Revenue Bonds, (State Appropriation), 5.00%, 08/15/18   $ 2,975,415  
  2,110,000     New York State Dormitory Authority Refunding Revenue Bonds, 5.00%, 08/15/18     2,489,610  
  15,000,000     New York State Dormitory Authority Refunding Revenue Bonds, Series A, 5.00%, 12/15/20     18,753,000  
  4,000,000     New York State Dormitory Authority Refunding Revenue Bonds, Series D, 5.00%, 02/15/20     4,940,320  
  4,000,000     New York State Dormitory Authority School Improvement Revenue Bonds, Series C, 5.00%, 03/15/17     4,661,640  
  5,000,000     New York State Dormitory Authority University and College Improvements Revenue Bonds, Series C, 5.00%, 03/15/21     6,251,800  
  2,000,000     New York State Environmental Facilities Corp. Refunding Revenue Bonds, Sub-Series A, 5.00%, 06/15/19     2,465,480  
  7,000,000     New York State Thruway Authority Highway Improvement Refunding Revenue Bonds, Series B, 5.00%, 04/01/20     8,430,240  
  6,000,000     New York State Thruway Authority Highway Improvement Revenue Bonds, Series A, 5.00%, 03/15/19     6,743,700  
  5,000,000     New York State Thruway Authority Highway Improvement Revenue Bonds, Series A, 5.00%, 03/15/21     6,025,950  
  1,900,000     New York State Thruway Authority Highway Improvement Revenue Bonds, Series B, 5.00%, 04/01/21     2,247,643  
  400,000     New York State Thruway Authority Refunding Revenue Bonds, Series A, 5.00%, 03/15/17     466,163  

 

81
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal            
Amount         Value  
New York (continued)
$ 8,000,000     New York State Thruway Authority Refunding Revenue Bonds, Series A, 5.00%, 03/15/21   $ 9,914,240  
  5,000,000     New York State Thruway Authority Refunding Revenue Bonds, Series B, 5.00%, 04/01/21     5,957,800  
  925,000     New York State Thruway Authority Refunding Revenue Bonds, Series B (AMBAC), 5.00%, 04/01/19     1,025,575  
  500,000     New York State Urban Development Corp. Refunding Revenue Bonds, Series D, 5.00%, 01/01/15     537,949  
  5,000,000     New York State Urban Development Corp. Refunding Revenue Bonds, Series D, 5.50%, 01/01/19     6,130,200  
  1,000,000     New York State Urban Development Corp. Service Contract Refunding Revenue Bonds, (AGM), 5.00%, 01/01/15     1,075,900  
  10,000,000     Port Authority of New York & New Jersey Refunding Revenue Bonds, 5.00%, 12/01/20     12,401,100  
  16,250,000     Tobacco Settlement Financing Corp. Asset Backed Refunding Revenue Bonds, Series A, 5.00%, 06/01/18     19,371,300  
  6,000,000     Triborough Bridge & Tunnel Authority Highway Improvements Revenue Bonds, Sub-Series B1 (GO of Authority), 5.00%, 11/15/25(d)     6,150,180  
  6,845,000     Triborough Bridge & Tunnel Authority Refunding Revenue Bonds, Series B, 5.00%, 11/15/18     8,335,841  
  6,050,000     Triborough Bridge & Tunnel Authority Refunding Revenue Bonds, Series B, (State Street Bank & Trust), 0.21%, 01/01/32(c)(d)     6,050,000  
  7,890,000     Triborough Bridge & Tunnel Authority Toll Road Refunding Revenue Bonds, Series B, 5.00%, 11/15/23     10,084,919  
              380,456,535  

 

 

Principal            
Amount         Value  
North Carolina — 3.5%
$ 680,000     Appalachian State University Refunding Revenue Bonds, 5.00%, 05/01/20   $ 842,568  
  905,000     Buncombe County Refunding Revenue Bonds, 5.00%, 06/01/21     1,135,721  
  1,355,000     Cabarrus County School Improvement COP, 5.00%, 01/01/21     1,611,447  
  1,005,000     City of Charlotte Equipment Acquisition Refunding COP, 5.00%, 12/01/16     1,157,810  
  2,695,000     City of Charlotte Water & Sewer System Revenue Bonds, Series B, 0.20%, 07/01/36(d)     2,695,000  
  5,000,000     City of Raleigh Combined Enterprise System Water and Sewer Revenue Bonds, Series A, 0.21%, 03/01/35(d)     5,000,000  
  11,300,000     County of Guilford Recreational Facilities GO, Series B, 0.20%, 03/01/25(d)     11,300,000  
  3,015,000     County of Mecklenburg Refunding GO, Series A, 5.00%, 12/01/22     3,921,912  
  615,000     Dare County Refunding Revenue Bonds, Series D, 4.00%, 06/01/17     690,110  
  675,000     Dare County Refunding Revenue Bonds, Series D, 4.00%, 06/01/18     769,257  
  675,000     Dare County Refunding Revenue Bonds, Series D, 5.00%, 06/01/21     842,454  
  685,000     Dare County Refunding Revenue Bonds, Series D, 5.00%, 06/01/23     828,247  
  435,000     Dare County Refunding Revenue Bonds, Series D, 5.00%, 06/01/24     521,651  
  1,285,000     Dare County School Improvements COP, (NATL-RE, FGIC), 5.00%, 06/01/17     1,409,439  
  1,565,000     Johnston County School Improvements GO, (NATL-RE), 5.00%, 02/01/20     1,758,544  
  575,000     North Carolina State University At Raleigh Refunding Revenue Bonds, Series A, 5.00%, 10/01/21     730,865  

 

82
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal            
Amount         Value  
North Carolina (continued)
$ 2,000,000     Orange County Public Facilities Co. Refunding Revenue Bonds, 5.00%, 10/01/21   $ 2,502,760  
  4,615,000     Town of Cary Public Improvements GO, 0.22%, 06/01/27(d)     4,615,000  
              42,332,785  
Ohio — 2.0%
  2,365,000     Ohio State Building Authority Facilities Administration Building Project Refunding Revenue Bonds, Series B, (NATL-RE, FGIC), 5.00%, 10/01/18     2,835,824  
  400,000     Ohio State Department of Administrative Services Knowledge System COP, Series A, (NATL-RE), 5.00%, 09/01/16     431,787  
  1,000,000     State of Ohio Capital Facilities Lease Appropriation Refunding Revenue Bonds, 5.00%, 10/01/17     1,176,910  
  1,000,000     State of Ohio Highway Improvements Revenue Bonds, Series 1, 5.00%, 12/15/21     1,257,060  
  8,880,000     State of Ohio Infrastructure Improvement Refunding GO, Series B, 0.21%, 08/01/17(d)     8,880,000  
  1,300,000     State of Ohio Refunding GO, Series B, 5.00%, 09/15/14     1,384,006  
  6,855,000     State of Ohio School Improvements GO, Series C, 0.20%, 06/15/26(d)     6,855,000  
  1,730,000     University of Cincinnati College & University Refunding Revenue Bonds, Series A, (State Appropriation), 5.00%, 06/01/17     2,002,060  
              24,822,647  
Oregon — 0.6%
  1,300,000     City of Portland Water System Refunding Revenue Bonds, Series A, 5.00%, 05/01/17     1,522,066  
  2,015,000     Lane County School District No 19 Springfield School Improvements GO, Series B, (AGM, School Board GTY), 5.00%, 06/15/17     2,333,954  

 

 

Principal            
Amount         Value  
Oregon (continued)
$ 1,000,000     Multnomah-Clackamas Counties Centennial School District No 28JT Refunding GO, (AGM, School Board GTY), 5.00%, 12/15/19   $ 1,231,700  
  2,000,000     Washington & Multnomah Counties School District No 48J Beaverton Refunding GO, Series B, (School Board GTY), 4.00%, 06/15/19     2,325,440  
              7,413,160  
Pennsylvania — 1.5%
  7,000,000     Pennsylvania Economic Development Financing Authority Refunding Revenue Bonds, Series A, 5.00%, 01/01/18     8,353,030  
  7,000,000     Philadelphia School District Refunding GO, Series C (State Aid Withholding), 5.00%, 09/01/18     8,198,960  
  1,000,000     University of Pittsburgh of the Commonwealth Systems of Higher Education University Capital Project Revenue Bonds, (GO of University), 5.50%, 09/15/37(c)(d)     1,018,810  
              17,570,800  
Puerto Rico — 0.0%
  120,000     Puerto Rico Highway & Transportation Authority Highway Improvements Revenue Bonds OID, Series W, 5.50%, 07/01/15(b)     129,658  
Rhode Island — 0.5%
  3,850,000     Rhode Island Health & Educational Building Corp. Higher Education Brown University Revenue, Series A, 0.20%, 05/01/35(d)     3,850,000  
  705,000     Rhode Island Health & Educational Building Corp. Town of East Greenwich Revenue Bonds, Series A, (Municipal Government GTY), 4.00%, 05/15/18     800,394  
  775,000     State of Rhode Island Energy Conservation COP, Series A, 3.00%, 04/01/14     794,096  
              5,444,490  

 

83
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal            
Amount         Value  
South Carolina — 0.6%
$ 880,000     Lexington County School District No 2 Refunding GO (South Carolina School District), 4.00%, 03/01/17   $ 984,174  
  2,090,000     Lexington County School District No 2 Refunding GO (South Carolina School District), 5.00%, 03/01/18     2,484,111  
  1,635,000     Lexington County School District No 2 Refunding GO (South Carolina School District), 5.00%, 03/01/20     2,021,776  
  330,000     State of South Carolina University & College Improvements GO, Series B, 5.00%, 03/01/19     405,593  
  680,000     State of South Carolina University & College Improvements GO, Series E (State Aid Withholding), 5.00%, 03/01/19     835,768  
              6,731,422  
Tennessee — 0.5%
  1,150,000     City of Knoxville Wastewater System Revenue Bonds, Series B, 5.00%, 04/01/21     1,465,917  
  1,200,000     City of Knoxville Wastewater System Revenue Bonds, Series B, 5.00%, 04/01/22     1,509,132  
  2,895,000     County of Shelby Refunding GO, Series C, 0.22%, 12/01/31(d)     2,895,000  
              5,870,049  
Texas — 8.5%
  1,255,000     Alamo Community College District GO, Series A, (NATL-RE), 5.50%, 08/15/15     1,397,279  
  3,660,000     Alamo Heights Independent School District Refunding GO (PSF-GTD), 5.00%, 02/01/21     4,581,076  
  2,500,000     Aldine Independent School District Refunding GO, (PSF-GTD), 4.50%, 02/15/22     2,787,500  
  1,260,000     Aledo Independent School District School Building GO, Series A, (PSF-GTD), 5.00%, 02/15/20     1,346,285  

 

 

Principal            
Amount         Value  
Texas (continued)
$ 515,000     Arlington Independent School District Improvements GO, Series A, (PSF-GTD), 5.00%, 02/15/14   $ 534,256  
  1,860,000     Austin Community College District Refunding GO, 5.00%, 08/01/20     2,308,148  
  400,000     Beaumont Independent School District Improvements GO, (PSF-GTD), 4.00%, 02/15/18     456,911  
  515,000     City of Denton Certificates of Obligation GO, (NATL-RE), 5.00%, 02/15/14     533,756  
  895,000     City of El Paso Water & Sewer Refunding Revenue Bonds, (NATL-RE), 4.50%, 03/01/14     926,048  
  1,095,000     City of Friendswood Waterworks & Sewer System Refunding Revenue Bonds, (AGM), 5.00%, 03/01/21     1,213,567  
  4,000,000     City of Houston Refunding Public Improvement GO, Series A, (NATL-RE), 5.25%, 03/01/14     4,165,280  
  3,000,000     City of Houston Refunding Public Improvement GO, Series A, (NATL-RE), 5.38%, 03/01/15     3,127,320  
  1,000,000     City of League Waterworks & Sewer GO, Series A, 5.00%, 02/15/22     1,239,620  
  1,775,000     City of Lubbock Public Improvement GO, 5.25%, 02/15/20     2,147,839  
  3,785,000     City of Lubbock Public Improvement GO, 5.00%, 02/15/24     4,539,199  
  1,280,000     City of Richardson Public Improvements GO, (NATL-RE), 5.25%, 02/15/20     1,381,350  
  465,000     City of Rockwall Refunding GO, 4.00%, 08/01/22     513,820  
  1,630,000     City of San Antonio Refunding GO, 5.25%, 08/01/13     1,650,228  
  260,000     Coppell Independent School District School Building GO, (PSF-GTD), 4.00%, 08/15/16     288,605  
  1,000,000     County of Williamson Limited Tax Refunding GO, 5.00%, 02/15/21     1,253,680  

 

84
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal            
Amount         Value  
Texas (continued)
$ 1,095,000     Cypress-Fairbanks Independent School District Refunding GO, Series A, (PSF-GTD), 4.00%, 02/15/17   $ 1,229,236  
  750,000     Dallas Independent School District Refunding GO, (PSF-GTD), 4.25%, 02/15/21     882,540  
  245,000     Deer Park Independent School District Limited Tax GO, (AGM), 5.00%, 02/15/17     283,467  
  250,000     Frisco Independent School District School Building GO, Series A, (PSF-GTD), 6.13%, 08/15/21     317,098  
  350,000     Frisco Independent School District School Building GO, Series B, (NATL-RE), 5.50%, 07/15/13     353,735  
  3,000,000     Garland Independent School District Refunding GO, Series A, 5.00%, 02/15/19     3,646,290  
  700,000     Grapevine Tax Increment Refunding GO, Series A, (NATL-RE), 5.00%, 08/15/17     754,810  
  1,000,000     Grapevine Tax Increment Refunding GO, Series A, (NATL-RE), 5.00%, 08/15/19     1,079,230  
  1,000,000     Harris County Refunding GO, Series C, (AGM), 5.25%, 08/15/19     1,226,060  
  10,000     Hays Consolidated Independent School District GO, (PSF-GTD), 5.25%, 08/15/14(b)     10,630  
  365,000     Hays Consolidated Independent School District GO, (PSF-GTD), 5.25%, 08/15/18     388,221  
  500,000     Hidalgo County Certificates of Obligation GO, (NATL-RE), 4.50%, 08/15/19     556,035  
  1,500,000     Houston Community College System Refunding GO, 5.00%, 02/15/21     1,866,825  
  2,990,000     Houston Community College System Student Fee Revenue Bonds, Senior Lien, (AGM), 5.25%, 04/15/21     3,544,944  
  1,000,000     Houston Community College System University and College Improvements GO, 5.00%, 02/15/21     1,245,380  

 

 

Principal            
Amount         Value  
Texas (continued)
$ 6,000,000     Houston Higher Education Finance Corp. Rice University Project Refunding Revenue Bonds, Series A, (GO of University), 0.22%, 11/15/29(d)   $ 6,000,000  
  385,000     Joshua Independent School District Refunding GO, Series C (PSF-GTD), 5.45%, 02/15/16     416,312  
  1,300,000     Lower Colorado River Authority Refunding Revenue Bonds, 5.00%, 05/15/13     1,302,082  
  4,500,000     Lower Colorado River Authority Refunding Revenue Bonds, 5.00%, 05/15/16     5,091,345  
  1,095,000     Lower Colorado River Authority Refunding Revenue Bonds, Series 2012-2, 5.00%, 05/15/13     1,096,874  
  560,000     McAllen Independent School District Refunding GO, (PSF-GTD), 5.00%, 02/15/16     607,090  
  2,175,000     Mckinney Independent School District Refunding GO, (PSF-GTD), 5.00%, 02/15/20     2,697,435  
  6,500,000     Northside Independent School District, School Improvements GO (PSF-GTD), 1.90%, 08/01/40(d)     6,607,835  
  3,340,000     Pearland Independent School District Refunding GO, (PSF-GTD), 5.00%, 02/15/20     4,134,953  
  525,000     Red Oak Independent School District School Building GO, (PSF-GTD), 5.00%, 08/15/18     614,754  
  500,000     Rockwall Independent School District School Building GO, (PSF-GTD), 4.75%, 02/15/15     539,449  
  1,005,000     San Jacinto Community College District Refunding GO, (AMBAC), 4.25%, 02/15/14     1,034,014  
  495,000     Seagraves Independent School District School Building GO, (PSF-GTD), 4.00%, 02/15/19     568,626  
  1,500,000     Socorro Independent School District Refunding GO, (PSF-GTD), 5.25%, 08/15/13     1,521,570  

 

85
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal            
Amount         Value  
Texas (continued)
$ 2,705,000     Spring Independent School District School Building GO, (PSF-GTD), 5.00%, 02/15/15   $ 2,930,435  
  1,070,000     Texas State Transportation Commission Revenue Bonds, First Tier, 5.00%, 04/01/17     1,248,551  
  1,390,000     Texas State University Systems University and College Improvement Revenue Bonds, 5.00%, 03/15/17     1,617,613  
  1,200,000     Texas Tech University Refunding Revenue Bonds (AMBAC), 5.00%, 08/15/13(b)     1,216,272  
  1,900,000     University of North Texas Refunding Revenue Bonds, 5.00%, 04/15/20     2,337,323  
  4,730,000     University of North Texas Refunding Revenue Bonds, 5.00%, 04/15/21     5,842,543  
  1,610,000     University of Texas Financing Systems Refunding Revenue Bonds, Series E, 5.00%, 08/15/15     1,778,551  
  145,000     Victoria Utility System, Water & Wastewater Authority Refunding Revenue Bonds, (AMBAC), 5.00%, 12/01/17     170,178  
              103,150,073  
Utah — 2.3%
  1,975,000     Alpine School District School Building GO, (School Board GTY), 5.00%, 03/15/21     2,399,902  
  7,600,000     Intermountain Power Agency Refunding Revenue Bonds, Series A, 5.25%, 07/01/13     7,661,636  
  5,590,000     Intermountain Power Agency Refunding Revenue Bonds, Series A, 5.25%, 07/01/13     5,635,335  
  3,145,000     Intermountain Power Agency Refunding Revenue Bonds, Series A, 5.25%, 07/01/13     3,170,506  
  2,250,000     Intermountain Power Agency Refunding Revenue Bonds, Series A, 5.25%, 07/01/13     2,268,248  

 

 

Principal            
Amount         Value  
Utah (continued)
$ 4,680,000     Intermountain Power Agency Refunding Revenue Bonds, Series A, 5.50%, 07/01/13   $ 4,719,827  
  1,805,000     Intermountain Power Agency Refunding Revenue Bonds, Series A, 5.50%, 07/01/13     1,820,361  
  125,000     South Jordan Water Refunding Revenue Bonds, (AMBAC), 5.00%, 11/01/15     138,629  
              27,814,444  
Virginia — 2.6%
  1,000,000     City of Newport News Water Improvement Refunding GO, Series B (State Aid Withholding), 5.25%, 07/01/14     1,057,810  
  155,000     City of Norfolk Water Refunding Revenue Bonds, 5.00%, 11/01/22     196,165  
  1,290,000     City of Roanoke Refunding GO, Series A (State Aid Withholding), 5.00%, 07/15/23     1,657,805  
  600,000     County of Prince William Facilities Refunding COP, 4.00%, 10/01/17     676,374  
  1,350,000     Fairfax County Economic Development Authority Community Services Facilities Project Revenue Bonds, Series A, 4.50%, 03/01/20     1,600,331  
  2,530,000     Virginia College Building Authority Educational Facilities 21st Century College & Equipment Programs Refunding Revenue Bonds, Series C (State Appropriation), 4.00%, 02/01/15     2,691,819  
  6,000,000     Virginia College Building Authority Public Higher Education Refunding Revenue Bonds, Series B (State Appropriation), 5.00%, 09/01/21     7,391,160  
  5,155,000     Virginia College Building Authority Public Higher Education Refunding Revenue Bonds, Series B (State Appropriation), 5.00%, 09/01/22     6,286,523  

 

86
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal            
Amount         Value  
Virginia (continued)
$ 5,000,000     Virginia Commonwealth Transportation Board Transit Improvements Revenue Bonds, 5.00%, 03/15/23   $ 6,208,500  
  750,000     Virginia Public Building Authority Refunding Revenue Bonds, Series B, 5.00%, 08/01/13     758,828  
  1,245,000     Virginia Public Building Authority Revenue Bonds, Series B, 5.00%, 08/01/14     1,318,268  
  1,250,000     Virginia Public Building Authority Revenue Bonds, Series B (State Appropriation), 5.00%, 08/01/21     1,523,988  
              31,367,571  
Washington — 3.0%
  100,000     CDP-King County III Lease King Street Center Project Refunding Revenue Bonds, (NATL-RE), 5.00%, 06/01/17     113,537  
  2,970,000     City of Tacoma Water Improvement Refunding Revenue Bonds, 2.00%, 12/01/13     3,000,146  
  2,525,000     Clark County School District No 117 Camas Refunding GO, (School Board GTY), 5.00%, 12/01/17     2,999,498  
  800,000     Island County School District No 201 Oak Harbor School Improvements GO, (School Board GTY), 5.00%, 12/01/16     914,616  
  1,000,000     Island County School District No 204 Coupeville Refunding GO, (School Board GTY), 5.00%, 12/01/19     1,209,380  
  680,000     King County Public Transportation Sales Tax Refunding GO, 4.00%, 12/01/18     788,793  
  500,000     King County School District No. 1 Seattle School Improvement GO (School Board GTY), 5.00%, 06/01/13     502,000  
  1,000,000     King County School District No. 405 Bellevue School Improvement GO, Series A (School Board GTY), 3.00%, 12/01/13     1,016,340  

 

 

Principal            
Amount         Value  
Washington (continued)
$ 320,000     King County School District No. 401 Highline Refunding GO, (School Board GTY), 5.00%, 12/01/20   $ 391,247  
  1,500,000     King County School District No. 414 Lake Washington GO, (School Board GTY), 5.00%, 12/01/20     1,812,030  
  3,000,000     King County Sewer Improvements GO, Series B, 0.20%, 01/01/40(d)     3,000,000  
  1,315,000     Spokane County School District No 363 West Valley Refunding GO, (School Board GTY), 5.00%, 12/01/18     1,580,656  
  2,000,000     State of Washington Department of Ecology Refunding COP, Series B, (AMBAC), 5.00%, 04/01/16     2,237,520  
  800,000     State of Washington Motor Vehicle Fuel Tax GO, Series E, 5.00%, 02/01/23     993,816  
  5,000,000     State of Washington Motor Vehicle Fuel Tax Refunding GO, Series 2012-B, 5.00%, 07/01/24     6,119,950  
  605,000     State of Washington Refunding GO, Series R-2006A (AMBAC), 5.00%, 07/01/15(b)     665,930  
  745,000     State of Washington Refunding GO, Series R-2006A (AMBAC), 5.00%, 07/01/17     817,988  
  5,000,000     State of Washington Refunding GO, Series R-2012C, 5.00%, 07/01/23     6,264,050  
  2,005,000     University of Washington Refunding Revenue Bonds, 5.00%, 12/01/15     2,240,187  
              36,667,684  
West Virginia — 0.0%
  125,000     West Virginia University Revenue Bonds, Series A, (NATL-RE), 5.50%, 04/01/17     146,574  
Wisconsin — 0.4%
  100,000     Fond Du Lac Refunding GO, (NATL-RE, FGIC), 4.75%, 03/01/15     103,727  

 

87
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal            
Amount         Value  
Wisconsin (continued)
$ 3,500,000      Wisconsin Department of Transportation Refunding Revenue Bonds, Series 2, 5.00%, 07/01/20   $ 4,366,425  
              4,470,152  
Total Municipal Bonds
(Cost $1,151,144,846)
    1,197,236,133  
                 
Shares              
INVESTMENT COMPANY — 1.4%
  16,800,300     SEI Daily Income Trust Government II Fund, Class A, 0.01%(e)   $ 16,800,300  
Total Investment Company
(Cost $16,800,300)
    16,800,300  
         
TOTAL INVESTMENTS — 100.0%
(Cost $1,167,945,146)(a)
    1,214,036,433  
         
OTHER ASSETS IN EXCESS OF LIABILITIES — 0.0%     133,996  
NET ASSETS — 100.0%   $ 1,214,170,429  

 

 

(a) Cost for federal income tax purposes is $ 1,167,945,146 and net unrealized appreciation of investments is as follows:
   
Unrealized appreciation   $ 46,631,069  
Unrealized depreciation     (539,782 )
Net unrealized appreciation   $ 46,091,287  
   
(b) These securities are pre-refunded; the date shown represents the pre-refunded date. Bonds which are pre-refunded are collateralized by U.S. Government securities which are held in escrow and are used to pay principal and interest on the municipal issue and to retire the bonds in full at the earliest refunding date.
   
(c) The security is subject to remarketing prior to its stated maturity, and is subject to mandatory redemption at the stated maturity date.
   
(d) Variable rate security. Rate shown is the rate as of April 30, 2013.
   
(e) Rate shown represents current yield at April 30, 2013.

 

AGM — Assured Guaranty Municipal Corp.
 
AMBAC — Insured by AMBAC Indemnity Corp.
 
COP — Certificates of Participation
 
FGIC — Insured by Financial Guaranty Insurance Corp.
 
GO — General Obligations
 
GTY — Guaranty
 
NATL-RE — Insured by National Public Finance Guarantee Corp.
 
OID — Original Issue Discount
 
PSF-GTD — Permanent School Fund Guarantee
 
Q–SBLF — Qualified-School Bond Loan Fund
 
TCRS — Transferable Custodial Receipts
 
XLCA — XL Capital Insurance
 
XLCA-ICR — XL Capital Insurance-Immediate Credit Recovery

 

88
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Portfolio diversification by State (Unaudited)

 

    Percentage
State     of Net Assets
Alabama     0.5 %
Arizona     0.9 %
California     3.6 %
Colorado     0.7 %
Connecticut     2.0 %
Delaware     0.3 %
District Of Columbia     0.8 %
Florida     4.7 %
Georgia     2.8 %
Hawaii     0.9 %
Idaho     0.2 %
Illinois     2.0 %
Indiana     1.8 %
Iowa     0.2 %
Kansas     0.5 %
Kentucky     0.1 %
Louisiana     0.4 %
Maine     0.2 %
Maryland     1.8 %
Massachusetts     5.7 %
Michigan     1.9 %
Minnesota     1.5 %
Mississippi     0.2 %
Missouri     1.1 %
Nevada     0.5 %
New Hampshire     0.7 %
New Jersey     5.2 %
New Mexico     0.1 %
New York     31.3 %
North Carolina     3.5 %
Ohio     2.0 %
Oregon     0.6 %
Pennsylvania     1.5 %
Puerto Rico     0.0 %
Rhode Island     0.5 %
South Carolina     0.6 %
Tennessee     0.5 %
Texas     8.5 %
Utah     2.3 %
Virginia     2.6 %
Washington     3.0 %
West Virginia     0.0 %
Wisconsin     0.4 %
Other*     1.4 %
      100 %
 
* Includes cash and equivalents, investment companies, pending trades and Fund share transactions, interest and dividends receivable, prepaids and accrued expenses payable.
89
Old Westbury Funds, Inc.  
Statements of Assets and Liabilities  
  April 30, 2013 (Unaudited)
   
 

 

    LARGE CAP CORE
FUND
    LARGE CAP
STRATEGIES
FUND
    GLOBAL
SMALL & MID CAP
FUND
 
ASSETS:                        
Investments, at value   $ 722,800,749     $ 6,532,927,444     $ 5,656,610,869  
Foreign currency, at value (Cost $0, $0, and $6,841,969 respectively)                 6,421,902  
Cash     99       369        
Cash due from broker for foreign currency contracts           4,270,000        
Dividends and interest receivable     1,879,361       23,770,170       10,017,663  
Receivable for Fund shares sold     488,671       3,895,083       1,831,868  
Receivable for investments sold           44,965,038       33,938,412  
Unrealized appreciation on forward foreign currency exchange contracts           352,973        
Prepaid expenses     23,679       47,039       48,497  
Total Assets     725,192,559       6,610,228,116       5,708,869,211  
LIABILITIES:                        
Payable to custodian                 800,258  
Payable for Fund shares redeemed     323,087       784,506       1,187,113  
Payable for investments purchased     10,686,778       46,483,195       3,445,533  
Unrealized depreciation on forward foreign currency exchange contracts           6,535,796       267,021  
Deferred tax liability payable (Note 9)           245,124       57,836  
Accrued expenses and other payables:                        
Investment advisory     354,200       4,371,788       3,693,020  
Administration     38,100       312,402       282,307  
Shareholder servicing fee     113,754       1,040,914       915,415  
Custody     8,531       209,788       132,451  
Legal and Audit     34,250       163,331       184,132  
Other     8,469       57,100       133,731  
Total Liabilities     11,567,169       60,203,944       11,098,817  
NET ASSETS   $ 713,625,390     $ 6,550,024,172     $ 5,697,770,394  
NET ASSETS consist of:                        
Capital paid-in   $ 666,393,562     $ 6,076,005,115     $ 4,221,125,125  
Accumulated undistributed (distributions in excess of) net investment income     2,898,029       32,068,303       (7,070,030 )
Accumulated undistributed net realized gain/(loss) on investments and foreign currency transactions     (33,504,308 )     (296,977,610 )     209,769,902  
Net unrealized appreciation/(depreciation) on investments and foreign currency transactions     77,838,107       738,928,364       1,273,945,397  
NET ASSETS   $ 713,625,390     $ 6,550,024,172     $ 5,697,770,394  
Net Asset Value, maximum offering price and redemption price per share   $ 12.82     $ 10.89     $ 16.01  
Number of shares authorized     2,500,000,000       3,000,000,000       3,500,000,000  
SHARES OF CAPITAL STOCK OUTSTANDING     55,645,796       601,716,090       355,890,451  
INVESTMENTS, AT COST   $ 644,962,642     $ 5,787,598,522     $ 4,381,939,774  

 

See Notes to Financial Statements.

90
Old Westbury Funds, Inc.  
Statements of Assets and Liabilities - (Continued)  
  April 30, 2013 (Unaudited)
   
 

 

    GLOBAL
OPPORTUNITIES
FUND
    REAL
RETURN
FUND a
 
ASSETS:                
Investments, at value   $ 6,952,231,107     $ 1,989,340,394  
Foreign currency, at value (Cost $6,413,351 and $0, respectively)     6,526,668        
Cash     18,037       520  
Segregated cash for futures contracts (Note 4)     288,560       63,434,333  
Due from broker for collateral     10,704,268       3,710,000  
Structured option contracts, at value (premium received $45,159,215 and $0, respectively)     105,561,700        
Dividends and interest receivable     41,366,214       2,092,167  
Receivable for Fund shares sold     2,900,100       1,056,957  
Receivable for investments sold     53,828,733       4,213,849  
Unrealized appreciation on swap contracts     13,501,540       36,724,736  
Unrealized appreciation on forward foreign currency exchange contracts     39,797,754        
Variation margin           1,154,691  
Prepaid expenses     49,150       38,582  
Total Assets     7,226,773,831       2,101,766,229  
LIABILITIES:                
Payable to broker for collateral     46,020,000        
Securities sold short, at value (Proceeds $5,204,141 and $0, respectively)     5,229,688        
Written option contracts, at value (premium received $114,702,364 and $15,076,050, respectively)     144,285,972       12,285,188  
Payable for Fund shares redeemed     1,018,739       71,562  
Payable for investments purchased     21,610,523       22,877,248  
Unrealized depreciation on swap contracts     9,990,764       43,376,026  
Unrealized depreciation on forward foreign currency exchange contracts     29,965,580        
Variation margin     75,000        
Deferred tax liability payable (Note 9)     821,583        
Accrued expenses and other payables:                
Investment advisory     5,099,516       1,316,582  
Administration     351,371       112,739  
Shareholder servicing fee     1,126,140       328,429  
Custody     48,001       18,409  
Legal and Audit     398,525       141,549  
Other     107,354       36,441  
Total Liabilities     266,148,756       80,564,173  
NET ASSETS   $ 6,960,625,075     $ 2,021,202,056  
NET ASSETS consist of:                
Capital paid-in   $ 6,452,446,544     $ 2,659,762,501  
Accumulated undistributed (distributions in excess of) net investment income     56,927,024       (123,259,910 )
Accumulated undistributed net realized loss on investments, futures contracts, swap contracts, written options and foreign currency transactions     (31,970,644 )     (556,275,662 )
Net unrealized appreciation/(depreciation) on investments, securities sold short, futures contracts, swap agreements, written options and foreign currency transactions     483,222,151       40,975,127  
NET ASSETS   $ 6,960,625,075     $ 2,021,202,056  
Net Asset Value, maximum offering price and redemption price per share   $ 8.04     $ 8.73  
Number of shares authorized     3,500,000,000       3,500,000,000  
SHARES OF CAPITAL STOCK OUTSTANDING     866,279,906       231,412,613  
INVESTMENTS, AT COST   $ 6,601,522,386     $ 1,937,026,972  

 

 
a Consolidated Statement of Assets and Liabilities.

 

See Notes to Financial Statements.

91
Old Westbury Funds, Inc.  
Statements of Assets and Liabilities - (Continued)  
  April 30, 2013 (Unaudited)
   
 

 

    FIXED
INCOME
FUND
    MUNICIPAL
BOND
FUND
 
ASSETS:                
Investments, at value   $ 517,088,479     $ 1,214,036,433  
Cash     84       84  
Dividends and interest receivable     3,055,068       13,434,770  
Receivable for fund shares sold     688,155       836,103  
Receivable for investments sold     626,417       10,000,000  
Prepaid expenses     18,523       27,429  
Total Assets     521,476,726       1,238,334,819  
LIABILITIES:                
Payable for Fund shares redeemed     37,665       2,275,334  
Payable for investments purchased     10,273,134       21,233,275  
Accrued expenses and other payables:                
Investment advisory     187,872       409,766  
Administration     29,332       63,709  
Shareholder servicing fee     41,831       99,464  
Custody     6,275       14,919  
Legal and Audit     24,263       45,068  
Other     11,827       22,855  
Total Liabilities     10,612,199       24,164,390  
NET ASSETS   $ 510,864,527     $ 1,214,170,429  
NET ASSETS consist of:                
Capital paid-in   $ 497,201,454     $ 1,163,515,895  
Accumulated undistributed (distributions in excess of) net investment income     (481,086 )     1,256,159  
Accumulated undistributed net realized gain on investments     563,354       3,307,088  
Net unrealized appreciation/(depreciation) on investments     13,580,805       46,091,287  
NET ASSETS   $ 510,864,527     $ 1,214,170,429  
Net Asset Value, maximum offering price and redemption price per share   $ 11.58     $ 12.22  
Number of shares authorized     2,000,000,000       2,000,000,000  
SHARES OF CAPITAL STOCK OUTSTANDING     44,112,758       99,355,580  
INVESTMENTS, AT COST   $ 503,507,674     $ 1,167,945,146  

 

See Notes to Financial Statements.

92
Old Westbury Funds, Inc.  
Statements of Operations  
  For the Period Ended April 30, 2013 (Unaudited)
 

 

    LARGE CAP CORE
FUND
    LARGE CAP
STRATEGIES
FUND
    GLOBAL
SMALL & MID CAP
FUND
 
INVESTMENT INCOME:                        
Interest   $ 3,836     $ 41,970     $ 27,764  
Dividends     8,285,054       70,383,606       48,458,718  
Foreign tax withheld     (365,492 )     (3,151,310 )     (2,143,086 )
Total investment income     7,923,398       67,274,266       46,343,396  
EXPENSES:                        
Investment advisory fees     2,128,756       20,737,127       22,085,011  
Shareholder servicing fees     616,856       4,951,833       5,196,473  
Administration and Accounting fees     151,130       1,135,582       1,191,129  
Custodian fees     172,886       1,069,899       691,673  
Directors fees and expenses     13,156       98,558       113,304  
Insurance premiums     8,713       17,660       19,700  
Interest expense           575       3  
Legal and Audit fees     29,056       164,575       196,212  
Printing and postage fees     3,042       22,726       26,040  
Registration fees     16,360       72,822       27,116  
Transfer agent fees     37,168       237,676       269,466  
Miscellaneous expenses     4,445       25,189       209,983  
Total expenses     3,181,568       28,534,222       30,026,110  
Expenses waived by Adviser and/or Shareholder Servicing Agent (Note 6)     (97,723 )     (60,606 )     (1,185,681 )
Net expenses     3,083,845       28,473,616       28,840,429  
NET INVESTMENT INCOME     4,839,553       38,800,650       17,502,967  
NET REALIZED AND UNREALIZED GAIN/(LOSS) ON INVESTMENTS, FOREIGN CURRENCY TRANSACTIONS, NET OF DEFERRED TAXES:                        
Net realized gains/(loss) on:                        
Investments     22,660,717       88,623,098       214,518,244  
Foreign currency transactions           272,431       (138,091 )
Net change in unrealized appreciation/(depreciation) on:                        
Investments     52,417,343       480,701,558       513,158,696  
Foreign currency transactions           (2,121,274 )     (762,051 )
Deferred taxes on unrealized appreciation           1,094,810       351,452  
Net realized and change in unrealized gain on investments, foreign currency transactions, net of deferred taxes     75,078,060       568,570,623       727,128,250  
NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS   $ 79,917,613     $ 607,371,273     $ 744,631,217  

 

See Notes to Financial Statements.

93
Old Westbury Funds, Inc.  
Statements of Operations - (Continued)  
  For the Period Ended April 30, 2013 (Unaudited)
   
 

 

    GLOBAL
OPPORTUNITIES
FUND
    REAL
RETURN
FUND a
 
INVESTMENT INCOME:                
Interest   $ 102,782,984     $ 6,345,619  
Dividends     20,569,875       4,829,757  
Foreign tax withheld     (2,164,382 )     (377,458 )
Total investment income     121,188,477       10,797,918  
EXPENSES:                
Investment advisory fees     36,307,037       8,637,259  
Shareholder servicing fees     7,075,449       2,032,296  
Administration and Accounting fees     1,617,720       496,638  
Custodian fees     427,930       136,080  
Directors fees and expenses     160,891       47,477  
Insurance premiums     24,630       12,808  
Interest expense     17,333       12,280  
Legal and Audit fees     408,708       136,060  
Printing and postage fees     37,105       10,953  
Registration fees     70,974       18,837  
Transfer agent fees     376,370       115,904  
Miscellaneous expenses     141,617       38,645  
Total expenses     46,665,764       11,695,237  
Expenses waived by Adviser and/or Shareholder Servicing Agent (Note 6)     (4,198,811 )     (500,227 )
Net expenses     42,466,953       11,195,010  
NET INVESTMENT INCOME     78,721,524       (397,092 )
NET REALIZED AND UNREALIZED GAIN/(LOSS) ON INVESTMENTS, SECURITIES SOLD SHORT, FUTURES CONTRACTS, SWAP AGREEMENTS, WRITTEN OPTIONS, FOREIGN CURRENCY TRANSACTIONS, NET OF DEFERRED TAXES:                
Net realized gains/(loss) on:                
Investments     129,827,660       (68,916,575 )
Futures contracts     (4,449,420 )     (73,406,524 )
Swap agreements     16,094,719       (21,032,197 )
Written options and structured options     20,283,060       (22,057,351 )
Foreign currency transactions     37,815,666       (2,330,156 )
Net change in unrealized appreciation/(depreciation) on:                
Investments     249,238,598       764,606  
Securities sold short     (25,547 )      
Futures contracts     2,205,143       (15,235,616 )
Swap agreements     (8,296,081 )     (4,176,787 )
Written options and structured options     104,769,823       20,176,522  
Foreign currency transactions     21,053,413       (2,706 )
Deferred taxes on unrealized appreciation     575,902        
Net realized and change in unrealized gain/(loss) on investments, securities sold short, futures contracts, swap agreements, written options, foreign currency transactions, net of deferred taxes     569,092,936       (186,216,784 )
NET INCREASE/(DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS   $ 647,814,460     $ (186,613,876 )

 

 
a Consolidated Statement of Operations.

 

See Notes to Financial Statements.

94
Old Westbury Funds, Inc.  
Statements of Operations - (Continued)  
  For the Period Ended April 30, 2013 (Unaudited)
   
 

 

    FIXED     MUNICIPAL  
    INCOME     BOND  
    FUND     FUND  
INVESTMENT INCOME:                
Interest   $ 5,019,748     $ 11,669,529  
Dividends     333       1,449  
Total investment income     5,020,081       11,670,978  
EXPENSES:                
Investment advisory fees     1,111,814       2,364,252  
Shareholder servicing fees     494,495       1,138,477  
Administration and Accounting fees     123,624       268,417  
Custodian fees     37,087       85,386  
Directors fees and expenses     11,137       25,132  
Insurance premiums     8,502       9,991  
Legal and Audit fees     20,532       39,392  
Printing and postage fees     2,399       5,750  
Registration fees     15,522       24,682  
Transfer agent fees     32,098       64,065  
Miscellaneous expenses     15,387       28,486  
Total expenses     1,872,597       4,054,030  
Expenses waived by Adviser and/or Shareholder Servicing Agent (Note 6)     (247,248 )     (569,238 )
Net expenses     1,625,349       3,484,792  
NET INVESTMENT INCOME     3,394,732       8,186,186  
NET REALIZED AND UNREALIZED GAIN/(LOSS) ON INVESTMENTS                
Net realized gains/(loss) on:                
Investments     2,959,174       3,308,438  
Net change in unrealized appreciation/(depreciation) on:                
Investments     (2,494,116 )     (2,733,358 )
Net realized and change in unrealized gain (loss) on investments     465,058       575,080  
NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS   $ 3,859,790     $ 8,761,266  

 

See Notes to Financial Statements.

95
Old Westbury Funds, Inc.  
Statements of Changes in Net Assets  
   
   
 

 

    LARGE CAP CORE FUND  
    FOR THE PERIOD
ENDED
APRIL 30,
2013
    FOR THE YEAR
ENDED
OCTOBER 31,
2012
 
    (Unaudited)        
FROM OPERATIONS:                
Net investment income   $ 4,839,553     $ 9,225,549  
Net realized gain/(loss) on investments and foreign currency transactions     22,660,717       10,421,344  
Net change in unrealized appreciation/(depreciation) on investments, foreign currency transactions, net of deferred taxes     52,417,343       3,659,502  
Net increase/(decrease) in net assets resulting from operations     79,917,613       23,306,395  
DISTRIBUTIONS TO SHAREHOLDERS FROM:                
Net investment income     (11,135,002 )     (1,799,045 )
Capital gains            
Net decrease in net assets from distributions     (11,135,002 )     (1,799,045 )
CAPITAL STOCK TRANSACTIONS (DOLLARS):                
Proceeds from sale of capital stock     124,435,998       227,451,155  
Reinvestment of distributions     2,457,809       527,506  
Value of capital stock redeemed     (51,760,986 )     (191,061,660 )
Net increase/(decrease) in net assets resulting from capital stock transactions     75,132,821       36,917,001  
Net increase/(decrease) in net assets     143,915,432       58,424,351  
NET ASSETS:                
Beginning of period     569,709,958       511,285,607  
End of period   $ 713,625,390     $ 569,709,958  
Undistributed (distributions in excess of) net investment income   $ 2,898,029     $ 9,193,478  
CAPITAL SHARE TRANSACTIONS:                
Shares sold     10,383,903       20,630,526  
Shares issued as reinvestment of distributions     215,023       48,798  
Shares redeemed     (4,356,616 )     (17,232,357 )
Net increase/(decrease) in shares outstanding     6,242,310       3,446,967  

 

See Notes to Financial Statements.

96
Old Westbury Funds, Inc.  
Statements of Changes in Net Assets - (Continued)  
   
   
 

 

LARGE CAP STRATEGIES FUND     GLOBAL SMALL & MID CAP FUND  
FOR THE PERIOD
ENDED
APRIL 30,
2013
    FOR THE YEAR
ENDED
OCTOBER 31,
2012
    FOR THE PERIOD
ENDED
APRIL 30,
2013
    FOR THE YEAR
ENDED
OCTOBER 31,
2012
 
(Unaudited)             (Unaudited)          
$ 38,800,650     $ 30,708,125     $ 17,502,967     $ 37,392,195  
  88,895,529       24,595,187       214,380,153       301,023,862  
  479,675,094       183,749,867       512,748,097       9,184,903  
  607,371,273       239,053,179       744,631,217       347,600,960  
  (31,236,691 )     (39,492,778 )     (53,962,533 )     (31,191,443 )
              (217,032,970 )     (218,242,882 )
  (31,236,691 )     (39,492,778 )     (270,995,503 )     (249,434,325 )
  2,033,601,857       2,207,393,313       628,874,036       691,698,417  
  6,248,915       948,386       119,586,897       129,458,271  
  (211,765,112 )     (706,812,556 )     (401,232,980 )     (780,043,597 )
  1,828,085,660       1,501,529,143       347,227,953       41,113,091  
  2,404,220,242       1,701,089,544       820,863,667       139,279,726  
  4,145,803,930       2,444,714,386       4,876,906,727       4,737,627,001  
$ 6,550,024,172     $ 4,145,803,930     $ 5,697,770,394     $ 4,876,906,727  
$ 32,068,303     $ 24,504,344     $ (7,070,030 )   $ 29,389,536  
  194,208,641       236,820,110       41,263,857       47,651,396  
  629,297       108,895       8,253,064       9,666,744  
  (21,015,261 )     (76,962,480 )     (26,689,087 )     (54,591,296 )
  173,822,677       159,966,525       22,827,834       2,726,844  

 

See Notes to Financial Statements.

97
Old Westbury Funds, Inc.  
Statements of Changes in Net Assets - (Continued)  
   
   

 

    GLOBAL OPPORTUNITIES FUND     REAL RETURN FUND a  
    FOR THE PERIOD
ENDED
APRIL 30,
2013
    FOR THE YEAR
ENDED
OCTOBER 31,
2012
    FOR THE PERIOD
ENDED
APRIL 30,
2013
    FOR THE YEAR
ENDED
OCTOBER 31,
2012
 
    (Unaudited)           (Unaudited)        
FROM OPERATIONS:                                
Net investment income (loss)   $ 78,721,524     $ 159,809,632     $ (397,092 )   $ 7,595,894  
Net realized gain/(loss) on investments, swap agreements, futures contracts, written options and foreign currency transactions     199,571,685       34,175,782       (187,742,803 )     (256,608,817 )
Net change in unrealized appreciation/ (depreciation) on investments, securities sold short, futures contracts, written options, swap agreements, foreign currency transactions, net of deferred taxes     369,521,251       241,288,141       1,526,019       64,468,039  
Net increase/(decrease) in net assets resulting from operations     647,814,460       435,273,555       (186,613,876 )     (184,544,884 )
DISTRIBUTIONS TO SHAREHOLDERS FROM:                                
Net investment income     (163,276,522 )     (219,141,690 )     (5,157,087 )     (6,986,284 )
Capital gains                        
Net decrease in net assets from distributions     (163,276,522 )     (219,141,690 )     (5,157,087 )     (6,986,284 )
CAPITAL STOCK TRANSACTIONS (DOLLARS):                                
Proceeds from sale of capital stock     858,508,189       3,236,280,105       259,154,600       623,406,611  
Reinvestment of distributions     33,120,452       49,818,157       1,088,907       1,706,123  
Value of capital stock redeemed     (1,438,683,549 )     (863,081,781 )     (184,198,653 )     (1,044,524,425 )
Net increase/(decrease) in net assets resulting from capital stock transactions     (547,054,908 )     2,423,016,481       76,044,854       (419,411,691 )
Net increase/(decrease) in net assets     (62,516,970 )     2,639,148,346       (115,726,109 )     (610,942,859 )
NET ASSETS:                                
Beginning of period     7,023,142,045       4,383,993,699       2,136,928,165       2,747,871,024  
End of period   $ 6,960,625,075     $ 7,023,142,045     $ 2,021,202,056     $ 2,136,928,165  
Undistributed (distributions in excess of) net investment income   $ 56,927,024     $ 141,482,022     $ (123,259,910 )   $ (117,705,731 )
CAPITAL SHARE TRANSACTIONS:                                
Shares sold     111,148,863       445,049,456       28,242,969       64,888,854  
Shares issued as reinvestment of distributions     4,381,012       7,350,425       115,595       187,486  
Shares redeemed     (184,561,538 )     (123,098,643 )     (19,943,413 )     (110,753,944 )
Net increase/(decrease) in shares outstanding     (69,031,663 )     329,301,238       8,415,151       (45,677,604 )

 

 
a Consolidated Statements of Changes in Net Assets.

 

See Notes to Financial Statements.

98
Old Westbury Funds, Inc.  
Statements of Changes in Net Assets - (Continued)  
   
   

 

FIXED INCOME FUND     MUNICIPAL BOND FUND  
FOR THE PERIOD
ENDED
APRIL 30,
2013
    FOR THE YEAR
ENDED
OCTOBER 31,
2012
    FOR THE PERIOD
ENDED
APRIL 30,
2013
    FOR THE YEAR
ENDED
OCTOBER 31,
2012
 
(Unaudited)           (Unaudited)        
                     
$ 3,394,732     $ 7,962,938     $ 8,186,186     $ 15,838,194  
                             
  2,959,174       6,094,287       3,308,438       10,395,767  
                             
  (2,494,116 )     2,081,185       (2,733,358 )     22,320,353  
  3,859,790       16,138,410       8,761,266       48,554,314  
                             
  (4,698,895 )     (11,049,872 )     (8,269,008 )     (15,863,357 )
  (2,479,758 )     (9,905,390 )     (10,396,746 )     (2,446,002 )
  (7,178,653 )     (20,955,262 )     (18,665,754 )     (18,309,359 )
                             
  60,088,177       114,856,245       242,599,845       323,340,721  
  2,780,607       9,968,752       5,061,754       4,261,508  
  (39,996,670 )     (85,762,113 )     (122,336,419 )     (195,153,277 )
                             
  22,872,114       39,062,884       125,325,180       132,448,952  
  19,553,251       34,246,032       115,420,692       162,693,907  
                             
  491,311,276       457,065,244       1,098,749,737       936,055,830  
$ 510,864,527     $ 491,311,276     $ 1,214,170,429     $ 1,098,749,737  
                             
$ (481,086 )   $ 823,077     $ 1,256,159     $ 1,338,981  
                             
  5,202,544       9,903,721       19,878,689       26,443,791  
  240,344       867,348       412,646       351,244  
  (3,457,715 )     (7,380,916 )     (10,011,909 )     (15,975,282 )
  1,985,173       3,390,153       10,279,426       10,819,753  

 

See Notes to Financial Statements.

99
Old Westbury Funds, Inc.  
Large Cap Core Fund  
Financial Highlights  
   

 

For a Share Outstanding Throughout Each Period.

 

    SIX MONTHS
ENDED
                   
    APRIL 30, 2013     YEAR ENDED OCTOBER 31,  
    (Unaudited)     2012     2011     2010     2009     2008  
Net asset value, beginning of period   $ 11.53     $ 11.13     $ 11.48     $ 10.67     $ 9.99     $ 15.89  
                                                 
Investment operations:                                                
Net investment income     0.09 a     0.19 a     0.06 a     0.05 a     0.07 a     0.09 a
Net realized and unrealized gains/(losses) on investments     1.43       0.25       (0.35 )     0.79       0.65       (5.18 )
Total from investment operations     1.52       0.44       (0.29 )     0.84       0.72       (5.09 )
                                                 
Distributions:                                                
Net investment income     (0.23 )     (0.04 )     (0.06 )     (0.03 )     (0.04 )     (0.09 )
Net realized gains                                   (0.72 )
Total distributions     (0.23 )     (0.04 )     (0.06 )     (0.03 )     (0.04 )     (0.81 )
Net asset value, end of period   $ 12.82     $ 11.53     $ 11.13     $ 11.48     $ 10.67     $ 9.99  
Total return     13.4 % b     3.9 %     (2.6 )%     7.9 %     7.3 %     (33.6 )%
                                                 
Annualized ratios/supplemental data:                                          
Net assets at end of period (000’s)   $ 713,625     $ 569,710     $ 511,286     $ 533,919     $ 417,298     $ 337,109  
Ratio of expenses to average net assets before expense waivers     1.03 % c     1.07 %     1.00 % d     1.01 %     1.03 %     1.03 %
Ratio of expenses to average net assets after
expense waivers
 
 
 
 
 
1.00
 
% c
 
 
 
 
 
1.00
 
%
 
 
 
 
 
1.00
 
%
 
 
 
 
 
1.00
 
%
 
 
 
 
 
1.00
 
%
 
 
 
 
 
1.00
 
%
Ratio of net investment income to average net assets     1.57 % c     1.69 %     0.46 %     0.41 %     0.75 %     0.63 %
Portfolio turnover rate     33 % b     86 %     72 %     64 %     68 %     95 %

 

 
a Calculated using the average shares method for the period.
b Not Annualized.
c Annualized.
d There were no voluntary fee reductions during the period.

 

See Notes to Financial Statements.

100
Old Westbury Funds, Inc.  
Large Cap Strategies Fund  
Financial Highlights  
   

 

For a Share Outstanding Throughout Each Period.

 

    SIX MONTHS
ENDED
APRIL 30, 2013
    YEAR ENDED OCTOBER 31,  
    (Unaudited)     2012     2011     2010     2009     2008  
Net asset value, beginning of period   $ 9.69     $ 9.12     $ 10.11     $ 8.95     $ 7.96     $ 15.04  
                                                 
Investment operations:                                                
Net investment income     0.08 a     0.09 a     0.13 a     0.09 a     0.11 a     0.19 a
Net realized and unrealized gains/(losses) on investments and foreign currency transactions     1.19       0.63       (1.04 )     1.20       1.08       (5.69 )
Total from investment operations     1.27       0.72       (0.91 )     1.29       1.19       (5.50 )
                                                 
Distributions:                                                
Net investment income     (0.07 )     (0.15 )     (0.08 )     (0.13 )     (0.20 )     (0.17 )
Net realized gains                                   (1.41 )
Total distributions     (0.07 )     (0.15 )     (0.08 )     (0.13 )     (0.20 )     (1.58 )
Net asset value, end of period   $ 10.89     $ 9.69     $ 9.12     $ 10.11     $ 8.95     $ 7.96  
Total return     13.2 % b     8.0 %     (9.1 )%     14.6 %     15.5 %     (40.5 )%
                                                 
Annualized ratios/supplemental data:                                          
Net assets at end of period (000’s)   $ 6,550,024     $ 4,145,804     $ 2,444,714     $ 2,598,797     $ 2,044,236     $ 1,699,942  
Ratio of expenses to average net assets before expense waivers     1.15 % c     1.18 %     1.08 %     1.09 %     1.11 %     1.11 %
Ratio of expenses to average net assets after expense waivers     1.15 % c     1.15 %     1.05 %     1.05 %     1.05 %     1.10 %
Ratio of net investment income to average net assets     1.56 % c     0.93 %     1.29 %     1.02 %     1.36 %     1.72 %
Portfolio turnover rate     19 % b     55 %     158 % d     64 %     86 %     66 %

 

 
a Calculated using the average shares method for the period.
b Not Annualized.
c Annualized.
d The significant increase in rate is due to repositioning in October 2011 to reflect change in investment strategy.

 

See Notes to Financial Statements.

101
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Financial Highlights  
   

 

For a Share Outstanding Throughout Each Period.

 

    SIX MONTHS
ENDED
APRIL 30, 2013
    YEAR ENDED OCTOBER 31,  
    (Unaudited)     2012     2011     2010     2009     2008  
Net asset value, beginning of period   $ 14.64     $ 14.34     $ 14.78     $ 12.05     $ 9.83     $ 15.45  
                                                 
Investment operations:                                                
Net investment income     0.05 a     0.11 a     0.09 a     0.04 a     0.02 a     0.08 a
Net realized and unrealized gains/(losses) on investments, foreign currency transactions and deferred taxes     2.14       0.95       0.14       2.79       2.23       (4.53 )
Total from investment operations     2.19       1.06       0.23       2.83       2.25       (4.45 )
                                                 
Distributions:                                                
Net investment income     (0.16 )     (0.10 )     (0.08 )     (0.10 )     (0.03 )     (0.07 )
Net realized gains     (0.66 )     (0.66 )     (0.59 )                 (1.10 )
Total distributions     (0.82 )     (0.76 )     (0.67 )     (0.10 )     (0.03 )     (1.17 )
Net asset value, end of period   $ 16.01     $ 14.64     $ 14.34     $ 14.78     $ 12.05     $ 9.83  
Total return     15.6 % b     8.0 %     1.3 %     23.7 %     22.9 %     (30.4 )%
                                                 
Annualized ratios/supplemental data:                                          
Net assets at end of period (000’s)   $ 5,697,770     $ 4,876,907     $ 4,737,627     $ 4,147,915     $ 3,219,533     $ 2,941,943  
Ratio of expenses to average net assets before expense waivers     1.16 % c,d     1.17 % d     1.18 % d     1.14 % d     1.11 % d     1.12 % d
Ratio of expenses to average net assets after expense waivers     1.11 % c,d     1.11 % d     1.11 % d     1.11 % d     1.11 % d     1.11 % d
Ratio of net investment income to average net assets     0.67 % c     0.78 %     0.62 %     0.34 %     0.21 %     0.66 %
Portfolio turnover rate     12 % b     28 %     37 %     39 %     30 %     36 %

 

 
a Calculated using the average shares method for the period.
b Not Annualized.
c Annualized.
d When counterparties post cash collateral with respect to various swap transactions, the Fund invests the collateral and receives interest income and pays interest expense back to the counterparty. The interest income is included in investment income on the Statements of Operations, and the interest expense is included in the Fund’s overall expense ratio.

 

See Notes to Financial Statements.

102
Old Westbury Funds, Inc.  
Global Opportunities Fund  
Financial Highlights  
   

 

For a Share Outstanding Throughout Each Period.

 

    SIX MONTHS
ENDED
                            PERIOD  
    APRIL 30, 2013     YEAR ENDED OCTOBER 31,     ENDED  
    (Unaudited)     2012     2011     2010     2009     10/31/08 a  
Net asset value, beginning of period   $ 7.51     $ 7.23     $ 7.99     $ 6.98     $ 6.58     $ 10.00  
                                                 
Investment operations:                                                
Net investment income     0.09 b     0.22 b     0.32 b     0.40 b     0.30 b     0.16 b
Net realized and unrealized gains/(losses) on investments, securities sold short, futures contracts, swap agreements, written options, foreign currency transactions and deferred taxes     0.62       0.41       (0.48 )     0.78       0.65       (3.56 )
Total from investment operations     0.71       0.63       (0.16 )     1.18       0.95       (3.40 )
                                                 
Distributions:                                                
Net investment income     (0.18 )     (0.35 )     (0.60 )     (0.17 )     (0.55 )     (0.02 )
Total distributions     (0.18 )     (0.35 )     (0.60 )     (0.17 )     (0.55 )     (0.02 )
Net asset value, end of period   $ 8.04     $ 7.51     $ 7.23     $ 7.99     $ 6.98     $ 6.58  
Total return     9.5 % c     9.4 %     (2.4 )%     17.2 %     16.3 %     (34.0 )% c
                                                 
Annualized ratios/supplemental data:                                          
Net assets at end of period (000’s)   $ 6,960,625     $ 7,023,142     $ 4,383,994     $ 4,033,365     $ 3,017,633     $ 1,168,551  
Ratio of expenses to average net assets before expense waivers     1.32 % d,e     1.35 % e     1.36 % e     1.30 % e     1.33 %e     1.36 % d
Ratio of expenses to average net assets after expense waivers     1.20 % d,e     1.20 % e     1.20 % e     1.20 % e     1.23 % e,f     1.35 % d
Ratio of net investment income to average net assets     2.23 % d     3.09 %     4.07 %     5.46 %     4.70 %     1.98 % d
Portfolio turnover rate     46 % c     122 %     84 %     62 %     111 %     145 % c

 

 
a For the period from November 28, 2007 (commencement of operations) to October 31, 2008.
b Calculated using the average shares method for the period.
c Not Annualized.
d Annualized.
e When counterparties post cash collateral with respect to various swap transactions, the Fund invests the collateral and receives interest income and pays interest expense back to the counterparty. The interest income is included in investment income on the Statements of Operations, and the interest expense is included in the Fund’s overall expense ratio.
f The fund incurred interest expense for the fiscal year ended October 31, 2009. If interest expense had not been incurred, the ratio of annualized operating expenses to average net assets for the fiscal year ended October 31, 2009 would have been 1.22%

 

See Notes to Financial Statements.

103
Old Westbury Funds, Inc.  
Real Return Fund  
Financial highlights  
   

 

For a Share Outstanding Throughout Each Period.

 

    SIX MONTH
ENDED
           
    APRIL 30, 2013 a     YEAR ENDED OCTOBER 31,  
    (Unaudited)     2012 a     2011 a     2010 a     2009 a     2008  
Net asset value, beginning of period   $ 9.58     $ 10.23     $ 10.50     $ 9.52     $ 8.34     $ 13.73  
                                                 
Investment operations:                                                
Net investment income     0.00 b,c     0.03 c     0.00 b,c     0.02 c     0.00 b,c     0.21 c
Net realized and unrealized gains/(losses) on investments, futures contracts, swap agreements, written options and foreign currency transactions     (0.83 )     (0.65 )     0.42       1.05       1.39       (4.50 )
Total from investment operations     (0.83 )     (0.62 )     0.42       1.07       1.39       (4.29 )
                                                 
Distributions:                                                
Net investment income     (0.02 )     (0.03 )     (0.69 )     (0.09 )     (0.21 )     (0.11 )
Net realized gains                                   (0.99 )
Total distributions     (0.02 )     (0.03 )     (0.69 )     (0.09 )     (0.21 )     (1.10 )
Net asset value, end of period   $ 8.73     $ 9.58     $ 10.23     $ 10.50     $ 9.52     $ 8.34  
Total return     (8.7 )% d     (6.1 )%     3.9 %     11.3 %     17.1 %     (34.2 )%
                                                 
Annualized ratios/supplemental data:                                          
Net assets at end of period (000’s)   $ 2,021,202     $ 2,136,928     $ 2,747,871     $ 1,972,934     $ 1,605,227     $ 1,371,944  
Ratio of expenses to average net assets before expense waivers     1.15 % e,f     1.16 % f     1.15 % f     1.10 % f     1.10 % f     1.25 % f
Ratio of expenses to average net assets after expense waivers     1.10 % e,f     1.10 % f     1.10 % f     1.08 % f     1.10 % f     1.08 % f
Ratio of net investment income to average net assets     (0.04 )% e     0.31 %     (0.03 )%     0.18 %     0.00 % g     1.54 %
Portfolio turnover rate     36 % d     83 %     109 %     64 %     75 %     88 %

 

 
a Consolidated Financial Highlights.
b Less than $0.01 or $(0.01) per share.
c Calculated using the average shares method for the period.
d Not Annualized.
e Annualized.
f When counterparties post cash collateral with respect to various swap transactions, the Fund invests the collateral and receives interest income and pays interest expense back to the counterparty. The interest income is included in investment income on the Statements of Operations, and the interest expense is included in the Fund’s overall expense ratio.
g Less than 0.01%.

 

See Notes to Financial Statements.

104
Old Westbury Funds, Inc.  
Fixed Income Fund  
Financial Highlights  
   

 

For a Share Outstanding Throughout Each Period.

 

    SIX MONTHS                                
    ENDED                                
    APRIL 30, 2013     YEAR ENDED OCTOBER 31,  
    (Unaudited)     2012     2011     2010     2009     2008  
Net asset value, beginning of period   $ 11.66     $ 11.80     $ 11.94     $ 11.77     $ 11.08     $ 10.88  
                                                 
Investment operations:                                                
Net investment income     0.08 a     0.20 a     0.27 a     0.31 a     0.38 a     0.44 a
Net realized and unrealized gains/(losses) on investments     0.01       0.20       (0.06 )     0.45       0.83       0.22  
Total from investment operations     0.09       0.40       0.21       0.76       1.21       0.66  
                                                 
Distributions:                                                
Net investment income     (0.11 )     (0.28 )     (0.32 )     (0.48 )     (0.39 )     (0.44 )
Net realized gains     (0.06 )     (0.26 )     (0.03 )     (0.11 )     (0.13 )     (0.02 )
Total distributions     (0.17 )     (0.54 )     (0.35 )     (0.59 )     (0.52 )     (0.46 )
Net asset value, end of period   $ 11.58     $ 11.66     $ 11.80     $ 11.94     $ 11.77     $ 11.08  
Total return     0.8 % b     3.5 %     1.9 %     6.7 %     11.1 %     6.2 %
                                                 
Annualized ratios/supplemental data:                                          
Net assets at end of period (000’s)   $ 510,865     $ 491,311     $ 457,065     $ 427,445     $ 306,888     $ 171,444  
Ratio of expenses to average net assets before expense waivers     0.76 % c     0.76 %     0.76 %     0.78 %     0.80 %     0.82 %
Ratio of expenses to average net assets after expense waivers     0.66 % c     0.66 %     0.66 %     0.68 %     0.70 %     0.70 %
Ratio of net investment income to average net assets     1.37 % c     1.69 %     2.29 %     2.63 %     3.31 %     3.92 %
Portfolio turnover rate     54 % b     64 %     76 %     26 %     37 %     36 %

 

 
a Calculated using the average shares method for the period.
b Not Annualized.
c Annualized.

 

See Notes to Financial Statements.

105
Old Westbury Funds, Inc.  
Municipal Bond Fund  
Financial Highlights  
   

 

For a Share Outstanding Throughout Each Period.

 

    SIX MONTHS                                
    ENDED                                
    APRIL 30, 2013     YEAR ENDED OCTOBER 31,  
    (Unaudited)     2012     2011     2010     2009     2008  
Net asset value, beginning of period   $ 12.33     $ 11.96     $ 12.19     $ 11.76     $ 10.82     $ 11.21  
                                                 
Investment operations:                                                
Net investment income     0.09 a     0.19 a     0.21 a     0.37 a     0.37 a     0.37 a
Net realized and unrealized gains/(losses) on investments     0.01       0.40       (0.16 )     0.49       0.91       (0.41 )
Total from investment operations     0.10       0.59       0.05       0.86       1.28       (0.04 )
                                                 
Distributions:                                                
Net investment income     (0.09 )     (0.19 )     (0.22 )     (0.43 )     (0.34 )     (0.35 )
Net realized gains     (0.12 )     (0.03 )     (0.06 )                  
Total distributions     (0.21 )     (0.22 )     (0.28 )     (0.43 )     (0.34 )     (0.35 )
Net asset value, end of period   $ 12.22     $ 12.33     $ 11.96     $ 12.19     $ 11.76     $ 10.82  
Total return     0.8 % b     5.0 %     0.5 %     7.4 %     12.1 %     (0.5 )%
                                                 
Annualized ratios/supplemental data:                                          
Net assets at end of period (000’s)   $ 1,214,170     $ 1,098,750     $ 936,056     $ 787,486     $ 527,042     $ 226,504  
Ratio of expenses to average net assets before expense waivers     0.71 % c     0.73 %     0.73 %     0.76 %     0.79 %     0.81 %
Ratio of expenses to average net assets after expense waivers     0.61 % c     0.63 %     0.63 %     0.66 %     0.69 %     0.70 %
Ratio of net investment income to average net assets     1.44 % c     1.55 %     1.79 %     3.09 %     3.21 %     3.32 %
Portfolio turnover rate     20 % b     34 %     64 %     20 %     10 %     47 %

 

 
a Calculated using the average shares method for the period.
b Not Annualized.
c Annualized.

 

See Notes to Financial Statements.

106
Old Westbury Funds, Inc.  
Notes To Financial Statements  
  April 30, 2013 (Unaudited)
   
   

 

1. Organization:

 

Old Westbury Funds, Inc. (the “Corporation”) was organized as a Maryland corporation on August 26, 1993 and commenced operations on October 22, 1993. The Corporation is an open-end management investment company registered under the Investment Company Act of 1940, as amended (the “1940 Act”). The Corporation’s Articles of Incorporation permit the Corporation’s Board of Directors (the “Board”) to create an unlimited number of series, each with one or more separate classes of shares. At April 30, 2013, the Corporation consisted of seven separate investment portfolios (each series individually referred to as a “Fund” and collectively as the “Funds”) shown below:

 

Fund Name   Investment Objective
Old Westbury Large Cap Core Fund (“Large Cap Core Fund”)   Long-term capital appreciation.
Old Westbury Large Cap Strategies Fund (“Large Cap Strategies Fund”)   Long-term capital appreciation.
Old Westbury Global Small & Mid Cap Fund (“Global Small & Mid Cap Fund”)   Long-term capital appreciation.
Old Westbury Global Opportunities Fund (“Global Opportunities Fund”)   Long-term capital appreciation.
Old Westbury Real Return Fund (“Real Return Fund”)   Real capital appreciation in inflationary environments.
Old Westbury Fixed Income Fund (“Fixed Income Fund”)   Total return (consisting of current income and capital appreciation).
Old Westbury Municipal Bond Fund (“Municipal Bond Fund”)   Total return (consisting of current income that is exempt from regular federal income tax and capital appreciation).

 

The Corporation has authorized a total of 20 billion shares of common stock (par value $0.001 per share).

 

Under the Corporation’s organizational documents, its Officers and Directors are indemnified against certain liabilities arising out of the performance of their duties for the Corporation. In addition, in the normal course of business, the Corporation enters into contracts with vendors and others that provide for general indemnifications. The Corporation’s maximum exposure under these arrangements is unknown as this would involve future claims that may be made against the Corporation. However, based on experience, the Corporation expects the risk of loss to be remote.

 

2. Basis for Consolidation for the Real Return Fund:

 

The consolidated financial statements of the Real Return Fund include the financial results of its wholly-owned subsidiary (organized under the laws of the Cayman Islands), OWF Real Return Fund, Ltd. (the “Subsidiary”). All material intercompany accounts and transactions have been eliminated. The Subsidiary commenced operations on November 7, 2008. The Real Return Fund commenced reporting on a consolidated basis as of such commencement date in accordance with the accounting rules relating to reporting of a wholly-owned subsidiary. The Real Return Fund seeks to gain exposure to commodities, commodities-related instruments, derivatives and other investments by directly investing in those instruments or through investments in the Subsidiary. The Subsidiary has the same investment goal as the Real Return Fund. The Subsidiary pursues its investment goal by investing in commodities, commodities-related instruments, derivatives and other investments. The Subsidiary (unlike the Real Return Fund) may invest without limitation in these instruments. However, the Subsidiary is otherwise subject to the same fundamental, non-fundamental and certain other investment restrictions as the Real Return Fund. The portion of the Real Return Fund’s or Subsidiary’s assets exposed to any particular commodity, derivative or other investment will vary based on market conditions, but from time to time some exposure could be substantial. To the extent of the Real Return Fund’s investment through the Subsidiary, it will be subject to the risks associated with the commodities, derivatives and other instruments in which the Subsidiary invests. As of April 30, 2013, the Subsidiary represented $360,511,889 or 17.84% of the Real Return Fund’s net assets.

 

3. Significant Accounting Policies:

 

The following is a summary of the significant accounting policies followed by the Corporation in the preparation of its financial statements. The policies are in conformity with accounting principles generally accepted in the U.S. (“U.S. GAAP”). The preparation of financial statements in accordance with U.S. GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities at the date of the financial statements and the reported amounts of income and expenses for the period. Actual results could differ from those estimates.

107

Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
   

 

The Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (“ASC”) is the exclusive reference of authoritative U.S. GAAP recognized by the FASB to be applied by nongovernmental entities. Rules and interpretive releases of the Securities and Exchange Commission (“SEC”) under authority of federal laws are also sources of authoritative GAAP for SEC registrants such as the Corporation.

 

A. Valuation of Investments. Securities listed on an exchange are valued, except as indicated below, at the last sale price reflected at the close of the regular trading session of the exchange on the business day as of which such value is being determined, and securities listed on NASDAQ are valued at the NASDAQ Official Closing Price (“NOCP”). If there has been no sale on such day, the security is valued at the mean of the closing bid and asked prices. If no bid or asked prices are quoted, or if events or circumstances that could materially affect the value of such Funds’ securities have occurred, then the security is valued at a fair value determined in accordance with procedures approved by the Board. Securities traded on more than one national securities exchange are valued at the last sale price on the exchange representing the principal market for such securities. Investments in open-end investment companies are valued at the most recently calculated net asset value (“NAV”).

 

Securities traded in the over-the-counter market are valued at the mean of the current bid and asked prices from such sources as the Board deems appropriate to reflect their fair value.

 

U.S. government obligations and other debt instruments having 60 days or less remaining until maturity at acquisition are valued at amortized cost when such value reflects fair value. Debt instruments having a greater remaining maturity will be valued on the basis of prices obtained from a pricing service approved as reliable by the Board. Pricing Service Vendors base their valuations on a number of factors, including, but not limited to, actual transaction data, benchmark yields, market bids, market offers, quotations from dealers, credit risk spreads, interest rate spreads, proprietary pricing models, cash flows, prepayment information, default rates, delinquency and loss assumptions, collateral characteristics, credit enhancements, specific deal information and other relationships observed in markets of comparable securities.

 

All other investment assets and liabilities, including derivatives, restricted and not readily marketable securities, are valued under procedures established by and under the general supervision and responsibility of the Board designed to reflect, in good faith, the fair value of such investments or other assets and liabilities. Fair value methods can include, but are not limited to, obtaining market quotations from secondary pricing services, broker-dealers, or widely used quotation systems. Real assets (i.e., assets not constituting securities or securities whose value is determined by underlying real assets), including collectibles such as coins, for which there is no readily available market quotation are valued on the basis of appraised value as determined by an independent appraiser selected by the Funds’ investment adviser, Bessemer Investment Management LLC (“BIM”)(“Adviser”). Appraisals are obtained on an ongoing, periodic basis in order to assure current valuations; appraisals generally are obtained not less frequently than quarterly and appraised values may be updated between appraisals on the basis of reported industry benchmarks. Derivative contracts and instruments are valued on the basis of industry-standard pricing information, including counterparty valuation quotations, industry inputs for market standard pricing models and generally available dealer quotations, subject to the review and confirmation by BIM where appropriate.

 

In the event of a change in the S&P 500 Index that is greater than predetermined levels approved by the Board, the Funds may use a pricing service authorized by the Board that has been designated to determine fair value. The Funds that invest in certain foreign securities that trade in non-U.S. markets may use a systematic fair valuation model provided by an independent third party vendor to value its non-U.S. investments. The Funds’ policy is intended to result in a calculation of a Fund’s NAV that fairly reflects security values as of the time of pricing. However, fair values determined pursuant to the Funds’ procedures may not accurately reflect the price that the Fund could obtain for a security if it were to dispose of that security as of the time of pricing. A Fund may fair value foreign securities if significant events that appear likely to affect the value of those securities occur between the time a foreign exchange closes and the time that a Fund prices its shares. Significant events may include: government actions; natural disasters; armed conflict; act of terrorism and similar situations; and significant market fluctuations. In addition, foreign securities held by a Fund may trade on weekends or other days when the Fund does not calculate NAV. As a result, the market value of these investments may change on days when shares of the Fund cannot be bought or sold. Such fair valuations are categorized as Level 2 in the fair value hierarchy. Foreign securities that are valued based on market quotations are categorized as Level 1 in the fair value hierarchy. The Large Cap Strategies Fund, Global Small & Mid Cap Fund and the Global Opportunities Fund utilized a systematic fair valuation model provided by an independent third-party vendor to fair value certain securities 9 days during the six months ended April 30, 2013. As a result on days when the index change exceeds predetermined levels, certain securities held by the Funds were transferred from Level 1 into Level 2. On any subsequent day when such index level is not exceeded, certain securities held by the Funds were transferred from Level 2 back into

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Old Westbury Funds, Inc.  
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  April 30, 2013 (Unaudited)
   
   

 

Level 1. As of April 30, 2013, foreign securities were not fair valued as the change in the S&P 500 Index did not exceed the Funds’ predetermined level. There were no other transfers between Level 1 and Level 2 during the six months ended April 30, 2013.

 

The fair value of investments is determined in accordance with the valuation procedures approved by the Board. The Funds’ Pricing Committee established by the Board (the “Pricing Committee”) reviews pricing methodologies for derivatives and all other types of investments on a quarterly basis. The Pricing Committee is charged with the responsibility to determine the fair value of certain investments for which market quotations are not readily available. These investments are either categorized as Level 2 or 3 depending on the observability of the inputs used. The Pricing Committee may consider one or more factors in determining an investment’s fair value. The factors to be taken into account, to the extent relevant, typically include, but are not limited to: fundamental analytical data, the nature and duration of any restrictions on disposition of the investments, an evaluation of the forces that influence the market in which the investments are purchased and sold, the type of investment, financial statements and company filings, lack of marketability, the cost and date of purchase, recommendation of the Adviser and any other relevant matters. When the fair valuation of investments use significant unobservable inputs, such investments will be categorized as Level 3 in the fair value hierarchy. These valuation methods may require subjective determinations about the value of an investment. While the Funds’ policy is intended to result in a calculation of the Funds’ NAV that fairly reflects investment values as of the time of pricing, the Funds cannot guarantee that values determined by the Pricing Committee would accurately reflect the price that the Funds could obtain for an investment if it were to dispose of that investment as of the time of pricing (for instance, in a forced or distressed sale). The prices used by the Funds may differ from the value that would be realized if the investments were sold.

 

The significant unobservable inputs used in fair value measurement of the Funds’ Level 3 investments may include, where applicable, (i) an estimation of a normalized earnings level or projected cash flows for the company; (ii) the discounts applied to the last available price of the investment or a selection of comparable investments due to the lack of marketability of the investment; (iii) values or bid offers by dealers or other third parties and (iv) the value associated with the latest round of financing. Significant changes in any of those inputs in isolation would result in a significantly lower or higher fair value measurement. Generally, a change in the assumptions used for the normalized earnings level will be accompanied by a directionally similar change in the discounts applied to the list of comparable investments.

 

The Funds’ Pricing Committee employs various methods for calibrating the valuation approach related to investments categorized within Level 3 in the fair value hierarchy. These methods may include regular due diligence of the Funds’ pricing vendors including back testing of trigger related fair value prices, a regular review of key inputs and assumptions, reviews of missing and stale prices and price variance analysis, including investigation of unusual or unexpected pricing changes and reviews of any market related activities. Additionally, the pricing of all fair value holdings is subsequently approved by the Funds’ Board.

 

B. Security Transactions and Related Investment Income. Security transactions are accounted for no later than the first net asset value calculation on the first business day following the trade date. However, for financial reporting purposes, portfolio securities transactions are reported on trade date. Realized gains and losses on security transactions are determined on the identified cost method. Dividend income and other distributions from portfolio securities are recorded on the ex-dividend date, except for certain dividends from foreign securities where the ex-dividend dates may have passed are recorded as soon as the Funds are informed of the dividends. Upon notification from issuers, some of the dividend income received from a real estate investment trust may be redesignated as a reduction of cost of the related investment and/or realized gain. Dividend income is recorded net of foreign taxes withheld where recovery of such taxes is not assured. Interest income is recognized on an accrual basis for each of the Funds and includes where applicable, the amortization of premiums and accretion of discounts.

 

C. Payment-In-Kind Securities. The Funds may invest in payment-in-kind securities (“PIKs”). PIKs give the issuer the option at each interest payment date of making interest payments in either cash or additional debt securities. Those additional debt securities usually have the same terms, including maturity dates and interest rates, and associated risks as the original bonds. The daily market quotations of the original bonds may include the accrued interest (referred to as a dirty price) and require a pro-rata adjustment from the unrealized appreciation or depreciation on investments to interest receivable on the Statement of Assets and Liabilities.

 

For the six months ended April 30, 2013, there were not any in-kind payments received by the Global Opportunities Fund with respect to PIK securities.

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Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
   

 

D. Foreign Currency Transactions. The books and records of the Funds are maintained in U.S. dollars. Investments and other assets and liabilities of the Funds denominated in a foreign currency, if any, are translated into U.S. dollars at current exchange rates as of the date of the Statements of Assets and Liabilities. Purchases and sales of securities, income receipts and expense payments are translated into U.S. dollars at the exchange rate on the dates of the transactions.

 

The Funds do not isolate the portion of operations resulting from changes in foreign exchange rates on investments from fluctuations arising from changes in market prices of securities held. Such fluctuations are included with the net realized and unrealized gain/(loss) on investments, futures contracts, swap agreements, written options and foreign currency transactions in the Statements of Operations.

 

Foreign security and currency transactions may involve certain risks not typically associated with those of U.S. companies, including the level of governmental supervision and regulation of foreign securities markets and the possibility of political and economic instability.

 

E. Securities Sold Short. The Large Cap Strategies Fund, Global Small & Mid Cap Fund, Global Opportunities Fund and Real Return Fund may sell securities short. A short sale is a transaction in which a Fund sells securities it does not own, but has borrowed, in anticipation of a decline in the market price of the securities. A Fund is obligated to replace the borrowed securities at their market price at the time of settlement. A Fund’s obligation to replace the securities borrowed in connection with a short sale will be fully secured by collateral deposited with the broker. Short sales by a Fund involve certain risks and special considerations.

 

The Funds may not always be able to close out a short position on favorable terms. Short sales involve the risk that a Fund will incur a loss by subsequently buying a security at a higher price than the price at which it sold the security short. The amount of such loss is theoretically unlimited (since it is limited only by the increase in value of the security sold short by a Fund). In contrast, the risk of loss from a long position is limited to a Fund’s investment in the long position, since its value cannot fall below zero. Short selling is a form of leverage which may lead to higher volatility of a Fund’s NAV or greater losses for a Fund. To mitigate leverage risk, a Fund will always hold liquid assets (including its long positions) at least equal to its short position exposure, marked-to-market daily.

 

F. Collectibles. The Real Return Fund may invest in collectibles, which are rare objects collected by investors. They can include stamps, coins, books, oriental rugs, antiques, sports and other memorabilia, photographs, art and wine. Collectibles are generally expected to rise in value during inflationary periods when investors are trying to move to assets viewed as an inflation hedge. Generally, collectibles can be expected to drop in value during periods of low inflation. Collectible trading for profit is subject to certain risks and other considerations, including that collectibles: (i) have limited buying and selling markets; (ii) are often bought and sold at auction and subject to buyer and/or seller premiums; (iii) experience periods of high and low demand; (iv) must be insured, physically held and properly maintained; (v) may need to have their authenticity and provenance verified from time to time; and (vi) may not have representative market valuations available. The values of the collectible coins and sets of coins held by the Real Return Fund are appraised on a quarterly basis by an independent professional coin appraiser, who uses market auction data, among other factors, to determine each coin’s and set of coins’ current value. Between these quarterly appraisals, each coin and set of coins is valued weekly via information in the Coin Dealer Newsletter based on the price movement of a basket of like coins identified by BIM. The Real Return Fund does not currently intend to invest more than 5% of its total assets in collectibles. As of April 30, 2013, the Real Return Fund held $37,839,650, or 1.87% of net assets, in collectibles.

 

G. Commodities. The Real Return Fund and its Subsidiary may invest in commodities. In order to gain exposure to the commodities markets, the Real Return Fund, through its Subsidiary, may invest directly in physical commodities in addition to indirect investments in commodities-linked or related instruments. Commodities are assets that have tangible properties, such as oil, agriculture products and precious metals. The value of commodities may be affected by, among other things, changes in overall market movements, commodity index volatility, changes in interest rates, or factors affecting a particular industry or commodity, such as drought, floods, weather, livestock disease, embargoes, tariffs and international economic, political and regulatory developments. These factors may have a larger impact on commodity prices and commodity-linked instruments than on traditional securities. Certain commodities are also subject to limited pricing flexibility because of supply and demand factors. Others are subject to broad price fluctuations as a result of the volatility of the prices for certain raw materials and the instability of supplies of other materials. These additional variables may create additional risks which subject the Fund’s investments to greater volatility than investments in traditional securities.

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Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
   

 

H. Inflation-Protected Securities. The Funds may invest in inflation-protected securities, which unlike traditional debt securities that make fixed or variable principal and interest payments, are structured to provide protection against the negative effects of inflation. The value of the debt securities’ principal is adjusted to track changes in an official inflation measure. For example, the U.S. Treasury currently uses the Consumer Price Index for Urban Consumers as a measure of inflation for Treasury Inflation-Protected Securities (“TIPS”). Other inflation-protected securities may not carry a similar guarantee by their issuer. A Fund may buy TIPS that are designed to provide an investment vehicle that is not vulnerable to inflation. The interest rate paid by TIPS is fixed. The principal value rises or falls semi-annually based on the changes in the published Consumer Price Index. If inflation occurs, the principal and interest payments on TIPS are adjusted to protect investors from inflationary loss. If deflation occurs, the principal and interest payments will be adjusted downward, although the principal will not fall below its face amount at maturity.

 

I. When-Issued and Delayed Delivery Securities. The Funds may purchase or sell securities that they are entitled to receive on a when-issued basis. The Funds may also purchase or sell securities on a delayed delivery basis. When-issued and delayed delivery securities involve risk that the security a Fund buys will lose value prior to its delivery. There is also a risk that the security will not be issued or that the other party to the transaction will not meet its obligation. If this occurs, a Fund loses both the investment opportunity for the assets it set aside to pay for the security and any gain in the security’s price.

 

J. Loan Participations and Assignments. The Global Opportunities Fund, Real Return Fund and Fixed Income Fund may invest in fixed or floating rate loans to U.S. companies, foreign entities, and U.S. subsidiaries of foreign entities made by one or more financial institutions. The rate of interest on a fixed-rate loan is generally a set amount. The rate of interest payable on floating rate loans is the sum of a base lending rate plus a specified spread. Base lending rates are generally the London InterBank Offered Rate, the Certificate of Deposit Rate of a designated U.S. bank, the prime rate of a designated U.S. bank, the Federal Funds rate, or another base lending rate used by commercial lenders. The applicable spread may be fixed at time of issuance or may adjust upward or downward to reflect changes in credit quality of the borrower. A Fund may invest in loans that are investment grade, below investment grade (“junk”), or not rated by any nationally recognized statistical ratings organization. Loans that are rated lower than investment grade typically entail default and other risks greater than those associated with higher-rated loans. Generally, the lower the rating category, the riskier the investment. Typically, a Fund’s investments in loans are expected to take the form of loan participations and assignments of portions of loans from third parties.

 

Currently, the Global Opportunities Fund intends to invest in loans that are below investment grade and, to a lesser extent, unrated loans. The Global Opportunities Fund’s investments in loans are expected in most instances to be in the form of assignments. Generally, when a Fund purchases an assignment of a loan from a lender, it will step into the position of the lender and acquire direct rights against the borrower on the loan. Because assignments are arranged through private negotiations between potential assignees and potential assignors, however, the rights and obligations acquired by a Fund as the purchaser of an assignment may differ from, and be more limited than, those held by the assigning lender. The assignability of certain obligations may be restricted by the governing documentation as to the nature of the assignee such that the only way in which a Fund may acquire an interest in a loan is by purchasing a participation of interest and not an assignment. A Fund may have difficulty disposing of assignments and participation interests given these limitations and other factors.

 

K. Credit Enhancements. Certain obligations held by the Funds have credit enhancement or liquidity features that may, under certain circumstances, provide for repayment of principal and interest on the obligation upon demand date, interest rate reset date or final maturity. These enhancements may include: letters of credit; liquidity guarantees; and third party insurance (i.e., AMBAC and FGIC). The value of the obligations may be affected by changes in credit worthiness of the entities that provide any supporting letters of credit or other credit enhancements. The value of the obligations also will be affected by the exhaustion, termination or expiration of any credit enhancement.

 

L. Restricted and Illiquid Securities. The Funds may purchase securities which are subject to legal or contractual delays, restrictions, and costs on resale. Because of time limitations, the Funds might not be able to dispose of these securities at reasonable prices or at times advantageous to the Funds. Each Fund intends to limit the purchase of securities which have not been determined by BIM to be liquid, together with other securities considered to be illiquid, including repurchase agreements providing for settlement in more than seven days after notice, to not more than 15% of its net assets.

 

M. Distributions to Shareholders. Distributions from net investment income, if any, generally are declared and paid quarterly for the Fixed Income Fund and Municipal Bond Fund and at least annually for the Large Cap Core Fund, Large Cap Strategies Fund, Global Small & Mid Cap Fund, Global Opportunities Fund and Real Return Fund. Distributable net realized capital gains, if any, are declared and distributed at least annually. The amount and timing of dividends and distributions are determined in accordance with federal income tax regulations, which may differ from U.S. GAAP.

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Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
   

 

N. Expenses. Expenses that are directly related to one of the Funds are charged directly to that Fund on an accrual basis. Other operating expenses of the Corporation are prorated to each Fund on an accrual basis utilizing relative net assets or another reasonable basis.

 

4. Market and Credit Risk:

 

In the normal course of business, the Funds invest in securities and enter into transactions where risks exist due to fluctuations in the market (market risk) or failure of the issuer of a security to meet all its obligations (credit risk). The value of securities held by the Funds may decline in response to certain events, including those directly involving the issuers whose securities are owned by the Funds; conditions affecting the general economy; overall market changes; local, regional or global political, social or economic instability; and currency and interest rate and price fluctuations. Similar to credit risk, the Funds may be exposed to counterparty risk, or the risk that an entity with which the Funds have unsettled or open transactions may default. Financial assets, which potentially expose the Funds to credit and counterparty risks, consist principally of investments and cash due from counterparties. The extent of the Funds’ exposure to credit and counterparty risks with respect to these financial assets is generally represented by their value recorded in the Funds’ Statements of Assets and Liabilities.

 

5. Fair Value Measurements:

 

The inputs and valuation techniques used to measure fair value of the Funds’ investments are summarized into three levels as described in the hierarchy below:

 

· Level 1 - quoted prices in active markets for identical securities.

 

· Level 2 - other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit ratings, etc.).

 

· Level 3 - significant unobservable inputs (including the Funds’ own assumptions in determining the fair value of investments).

 

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

 

The summary of inputs used to value the Funds’ investments as of April 30, 2013 is as follows:

 

    Level 1
Quoted Prices
    Level 2
Significant
Observable
Inputs
    Level 3
Significant
Unobservable
Inputs(d)
    Total  
Investments in Securities Assets:                                
Large Cap Core Fund                              
Equity Securities   $ 687,108,428 (a)   $     $     $ 687,108,428  
Investment Company     20,692,800                   20,692,800  
U. S. Government Securities           14,999,521             14,999,521  
Total   $ 707,801,228     $ 14,999,521     $     $ 722,800,749  
                                 
Large Cap Strategies Fund                                
Equity Securities:(b)   $ 5,888,890,663 (a)   $ 16,072,368 (e)   $ 1,265,474 (f)   $ 5,906,228,505  
Exchange Traded Funds     347,207,120                   347,207,120  
U. S. Government Agencies           119,996,442             119,996,442  
U. S. Government Securities           23,999,977             23,999,977  
Cash Sweep     135,495,400                   135,495,400  
112

Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
   

 

    Level 1
Quoted Prices
    Level 2
Significant
Observable
Inputs
    Level 3
Significant
Unobservable
Inputs(d)
    Total  
Other Financial Instruments - Assets*                                
Foreign currency exchange contracts   $     $ 352,973     $     $ 352,973  
Other Financial Instruments - Liabilities*                            
Foreign currency exchange contracts           (6,535,796 )           (6,535,796 )
Total   $ 6,371,593,183     $ 153,885,964     $ 1,265,474     $ 6,526,744,621  
                                 
Global Small & Mid Cap Fund                                
Equity Securities:(b)                                
Argentina   $ 1,144,080     $     $     $ 1,144,080  
Australia     120,558,498       2,935       98,898       120,660,331  
Austria     12,455,313                   12,455,313  
Bahamas     63,682                   63,682  
Belgium     13,449,554                   13,449,554  
Bermuda     41,852,318                   41,852,318  
Brazil     54,415,044                   54,415,044  
Canada     115,089,741             1,873       115,091,614  
Cayman Islands     63,997                   63,997  
Chile     7,247,576                   7,247,576  
China     56,518,367       41,089       254,436       56,813,892  
Columbia     37,295                   37,295  
Cyprus     790,104                   790,104  
Denmark     27,488,658                   27,488,658  
Finland     28,325,794                   28,325,794  
France     119,871,690             62,773       119,934,463  
Gabon     33,680                   33,680  
Germany     139,351,945                   139,351,945  
Gibraltar     428,687                   428,687  
Greece     2,468,061             5       2,468,066  
Guernsey     3,370,255                   3,370,255  
Hong Kong     85,143,014       13,828       1,416,209       86,573,051  
Hungary     1,235,425       45             1,235,470  
India     66,208,425             176,640       66,385,065  
Indonesia     29,286,848             82,646       29,369,494  
Ireland     118,367,996       625,639             118,993,635  
Isle of Man     47,943                   47,943  
Israel     91,540,259                   91,540,259  
Italy     26,366,504             277       26,366,781  
Japan     287,437,720                   287,437,720  
Jersey Channel Islands     560,507                   560,507  
Liechtenstein     312,147                   312,147  
Luxembourg     13,027,491                   13,027,491  
Malaysia     41,368,540             699,145       42,067,685  
Malta     324,985                   324,985  
Mauritius     313,251                   313,251  
Mexico     30,925,848                   30,925,848  
Monaco     20,892                   20,892  
Mongolia     112,330                   112,330  
Netherlands     50,917,349       2,080,582             52,997,931  
New Zealand     21,081,718                   21,081,718  
Norway     11,157,591                   11,157,591  
Papua New Guinea     13,477                   13,477  
113

Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
   

 

    Level 1
Quoted Prices
    Level 2
Significant
Observable
Inputs
    Level 3
Significant
Unobservable
Inputs(d)
    Total  
Peru   $ 7,169,514     $     $     $ 7,169,514  
Philippines     16,268,750                   16,268,750  
Poland     6,125,071                   6,125,071  
Portugal     3,639,350                   3,639,350  
Russia     194,241                   194,241  
Singapore     104,643,957                   104,643,957  
South Africa     38,188,651                   38,188,651  
South Korea     74,593,260             72,388       74,665,648  
Spain     24,996,460       219,776             25,216,236  
Sweden     45,562,645             1,620       45,564,265  
Switzerland     82,314,166                   82,314,166  
Taiwan     68,805,269                   68,805,269  
Thailand     26,272,315       1,162,213             27,434,528  
Turkey     10,425,407                   10,425,407  
Ukraine     45,171                   45,171  
United Arab Emirates     1,058,003                   1,058,003  
United Kingdom     501,693,102             300,270       501,993,372  
United States     2,444,600,692                   2,444,600,692  
Total Equities   $ 5,077,390,623     $ 4,146,107     $ 3,167,180     $ 5,084,703,910  
Exchange Traded Funds     432,372,777                   432,372,777  
Investment Company     29,018,700                   29,018,700  
Rights/Warrants                        
China                 789       789  
Hong Kong     32,767                   32,767  
Israel           2,640             2,640  
Italy           105             105  
Malaysia     123,610                   123,610  
Norway           753             753  
South Korea           5,445             5,445  
Spain     4,790                   4,790  
Switzerland     19,364                   19,364  
Thailand           20,596             20,596  
Total Rights/Warrants   $ 180,531     $ 29,539     $ 789     $ 210,859  
U. S. Government Agencies           33,999,622             33,999,622  
U. S. Government Securities           17,999,847             17,999,847  
Cash Sweep     58,305,154                   58,305,154  
Other financial instruments - Assets*:                                
Foreign currency exchange contracts                        
Other financial instruments - Liabilities*:                                
Foreign currency exchange contracts           (267,021 )           (267,021 )
Total   $ 5,597,267,785     $ 55,908,094     $ 3,167,969     $ 5,656,343,848  
Global Opportunities Fund                          
Equity Securities:(b)                          
Australia   $ 36,337,493     $     $     $ 36,337,493  
Belgium     5,106,051                   5,106,051  
Bermuda     17,090,334                   17,090,334  
Brazil     3,698,467                   3,698,467  
Canada     53,283,998                   53,283,998  
Chile     7,332,271                   7,332,271  
114

Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
   

 

    Level 1
Quoted Prices
    Level 2
Significant
Observable
Inputs
    Level 3
Significant
Unobservable
Inputs(d)
    Total  
China   $ 13,803,335     $     $ 799,959     $ 14,603,294  
Finland     9,578,550                   9,578,550  
France     34,584,078                   34,584,078  
Germany     8,692,619                   8,692,619  
Hong Kong     21,365,175                   21,365,175  
India     2,468,822                   2,468,822  
Indonesia     877,447                   877,447  
Ireland     51,395,978                   51,395,978  
Israel     8,994,541                   8,994,541  
Italy     21,899,391                   21,899,391  
Japan     127,132,366                   127,132,366  
Jersey Channel Islands     2,421,902                   2,421,902  
Luxembourg     1,600,880                   1,600,880  
Malaysia     28,073,482                   28,073,482  
Mexico     1,021,164                   1,021,164  
Netherlands     7,475,211                   7,475,211  
New Zealand     513,525                   513,525  
Norway     14,623,294                   14,623,294  
Pakistan     2,098,492                   2,098,492  
Poland     3,209,061                   3,209,061  
Portugal     10,026,133                   10,026,133  
Puerto Rico     3,170,329                   3,170,329  
Singapore     46,944,085                   46,944,085  
South Africa     21,072,032                   21,072,032  
South Korea     6,073,155                   6,073,155  
Spain     7,394,664                   7,394,664  
Sweden     10,667,249                   10,667,249  
Switzerland     22,457,831                   22,457,831  
Taiwan     30,815,780                   30,815,780  
Thailand     1,895,112       3,756,082             5,651,194  
Turkey     2,119,238                   2,119,238  
United Kingdom     51,852,330                   51,852,330  
United States     861,191,791             258,750       861,450,541  
Total Equities   $ 1,560,357,656     $ 3,756,082     $ 1,058,709     $ 1,565,172,447  
Exchange Traded Funds     73,900,013                   73,900,013  
Preferred Stock     1,293,563 (a)                 1,293,563  
Bank Loans           50,348,361 (a)           50,348,361  
Corporate Bonds           1,420,987,926 (a)     24,146,169 (c)     1,445,134,095  
Government Bonds           863,284,095 (a)           863,284,095  
Asset-Backed Securities           229,045,425 (a)           229,045,425  
Non-Agency Mortgage-Backed Securities           989,863,187 (a)           989,863,187  
U. S. Government Agencies           362,641,682             362,641,682  
U. S. Government Securities           1,221,982,792             1,221,982,792  
Cash Sweep     149,565,447                   149,565,447  
Security Sold Short           (5,229,688 )           (5,229,688 )
                                 
Other financial instruments - Assets*:                                
Commodity contracts     72,726                   72,726  
Equity contracts           136,984,657             136,984,657  
Foreign exchange currency contracts           39,797,754             39,797,754  
115
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
   

 

    Level 1
Quoted Prices
    Level 2
Significant
Observable
Inputs
    Level 3
Significant
Unobservable
Inputs(d)
    Total  
Other financial instruments - Liabilities*:                                
Commodity contracts   $ (1,059,950 )   $     $     $ (1,059,950 )
Equity contracts     (144,285,972 )     (27,912,181 )           (172,198,153 )
Foreign exchange currency contracts           (29,965,580 )           (29,965,580 )
Total   $ 1,639,843,483     $ 5,255,584,512     $ 25,204,878     $ 6,920,632,873  
                                 
Real Return Fund                                
Equity Securities   $ 353,464,186 (a)   $     $     $ 353,464,186  
Exchange Traded Funds                        
Collectible Coins           37,839,650             37,839,650  
Commodities     88,862,742                   88,862,742  
Asset-Backed Securities           123,920,000 (a)           123,920,000  
Government Bonds           273,482,604 (a)           273,482,604  
U. S. Government Agencies           245,643,816             245,643,816  
U. S. Government Securities           856,988,627             856,988,627  
Cash Sweep     8,513,944                   8,513,944  
Other financial instruments - Assets*:                                
Commodity contracts     50,033,404       36,724,736             86,758,140  
Other financial instruments - Liabilities*:                            
Commodity contracts     (69,181,921 )     (43,376,026 )           (112,557,947 )
Total   $ 431,692,355     $ 1,531,223,407     $     $ 1,962,915,762  
                                 
Fixed Income Fund                                
Corporate Bonds   $     $ 285,717,958 (a)   $     $ 285,717,958  
Asset-Backed Securities           11,020,500 (a)           11,020,500  
Municipal Bonds           36,703,500 (a)           36,703,500  
Collateralized Mortgage Obligations           5,521,561 (a)           5,521,561  
U. S. Government Agencies           34,877,545             34,877,545  
U. S. Government Securities           111,592,931             111,592,931  
Government Bonds           12,944,484 (a)           12,944,484  
Investment Company     18,710,000                   18,710,000  
Total   $ 18,710,000     $ 498,378,479     $     $ 517,088,479  
                                 
Municipal Bond Fund                                
Municipal Bonds   $     $ 1,197,236,133 (a)   $     $ 1,197,236,133  
Investment Company     16,800,300                   16,800,300  
Total   $ 16,800,300     $ 1,197,236,133     $     $ 1,214,036,433  

 

 
(a) The breakdown of the Fund’s investments into major categories or countries is disclosed in the respective Fund’s Portfolio of Investments and in footnote 6 for derivatives.
   
(b) In the Large Cap Strategies Fund, Global Small & Mid Cap Fund and Global Opportunities Fund, certain foreign securities were not fair valued at April 30, 2013 as the change in the S&P 500 Index did not exceed the Funds’ predetermined level (see footnote 3. A). See footnote 3. A. regarding transfers between Levels 1 and 2. The Funds have no transfers between Level 1 and Level 2 investments during the reporting period due to exceeding the predetermined level. Certain investments for the Global Small & Mid Cap Fund were transferred into Level 2 in the amount of $2,975,048 and out of Level 2 in the amount of $546,291.
   
(c) Represents securities as disclosed in the Bermuda, Hong Kong and the United States sections of the Fund’s Portfolio of Investments.
   
(d) The Large Cap Strategies Fund, Global Small & Mid Cap Fund and Global Opportunities Fund held certain investments categorized as Level 3 that had a combined fair value as well as a change in NAV less than 1% of NAV for the respective Fund for the period ended April 30, 2013. There were transfers into Level 3 of $0, $1,611,812 and $0 and out of Level 3 in the amount of $0, $580,360 and $0 for the Large Cap Strategies Fund, Global Small & Mid Cap Fund and the Global Opportunities Fund respectively. In addition, there were no significant purchases and sales during the period. As of April 30, 2013, the percentage of NAV was 0.02%, 0.06% and
116

Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
   

 

0.36% for the Large Cap Strategies Fund, Global Small & Mid Cap Fund and Global Opportunities Fund, respectively.

 

(e) Represents a security as disclosed in the Thailand section of the Fund’s Portfolio of Investments.
   
(f) Represents a security as disclosed in the United Kingdom section of the Fund’s Portfolio of Investments.

 

* Other financial instruments are exchange traded options and futures (Level 1), over-the-counter options (Level 2), forwards (Level 2) and swaps (Level 2). Futures, forwards and swaps are valued at the unrealized appreciation/(depreciation) on the instrument and options are shown at market value.

 

The Funds’ policy is to recognize transfers in and transfers out as of the beginning of the period of the event.

 

In December 2011, FASB issued Accounting Standards Update No. 2011-11 “Disclosures about Offsetting Assets and Liabilities” (“ASU 2011-11”). These disclosure requirements are intended to help investors and other financial statement users to better assess the effect or potential effect of offsetting arrangements on a company’s financial position. They also improve transparency in the reporting of how companies mitigate credit risk, including disclosure of related collateral pledged or received. In addition, ASU 2011-11 facilitates comparison between those entities that prepare their financial statements on the basis of US GAAP and those entities that prepare their financial statements on the basis of International Financial Reporting Standards (“IFRS”). ASU 2011-11 requires entities to: disclose both gross and net information about both instruments and transactions eligible for offset in the financial statements; and disclose instruments and transactions subject to an agreement similar to a master netting agreement. ASU 2011-11 is effective for fiscal years beginning on or after January 1, 2013, and interim periods within those annual periods. At this time, management is evaluating the implications of ASU 2011-11 and its impact on the Funds’ financial statement disclosures

 

6. Derivative Instruments:

 

The Funds engage in various portfolio investment strategies utilizing derivatives both to increase the return of the Funds and/or to economically hedge, or protect, their exposure to, for example, interest rate movements, movements in the securities or commodities markets and currency value fluctuations. Derivatives are subject to a number of risks, including changes in the market price of the underlying securities, credit risk with respect to the counterparty to the derivative instruments and the risk of loss due to changes in interest rates. The use of certain derivatives may also have a leveraging effect, which may increase the Fund’s sensitivity to adverse market movements and may exaggerate a loss. Losses may arise if the value of the contract decreases due to, among other potentially adverse events, an unfavorable change in the price of the underlying security or commodity or if the counterparty does not perform under the contract. The use of derivatives can lead to losses because of relatively small adverse movements in the price or value of the underlying security, asset, index or reference rate, which may be magnified by or potentially unlimited as a result of certain features of the derivatives.

 

The primary difference in risks associated with over-the-counter contracts and exchange-traded contracts is credit and liquidity risks. Over-the-counter contracts, as bilateral arrangements, contain credit risk from various counterparties for any unrealized gains for the duration of the contract. The credit risk related to exchange-traded contracts is minimal because the exchanges ensure that their contracts are always honored. The Funds may mitigate counterparty risk on derivatives through master netting agreements included within an International Swaps and Derivatives Association, Inc. (“ISDA”) Master Agreement between a Fund and each of its counterparties. The ISDA Master Agreement allows each Fund to offset with its counterparty certain derivative financial instruments’ payables and/or receivables with collateral held with each counterparty. The amount of collateral moved to/from applicable counterparties is based upon minimum transfer amounts of up to $1,000,000. To the extent amounts due to the Funds from their counterparties are not fully collateralized contractually or otherwise, the Funds bear the risk of loss from counterparty non-performance.

 

The Funds’ maximum risk of loss from counterparty credit risk on over-the-counter derivatives is generally the aggregate net unrealized gain in excess of any collateral pledged by the counterparty to the Funds. For over-the-counter purchased options, the Funds bear the risk of loss in the amount of the premiums paid and positive change in market value of the options should the counterparty not perform under the contracts. Written options by the Funds do not give rise to counterparty credit risk, as written options obligate the Funds to perform and not the counterparty. Certain ISDA Master Agreements allow counterparties to over-the-counter derivatives to terminate or require full collateralization of derivative contracts prior to maturity in the event a Fund’s net assets decline by a stated percentage or a Fund fails to meet the terms of its ISDA Master Agreements, which would cause the Funds to post additional collateral or accelerate payment of any net liability owed to the counterparty. As of April 30, 2013, all derivatives in a net liability position are fully collateralized.

 

When counterparties post cash collateral with respect to various derivative transactions, a Fund invests the collateral and

117
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   

 

receives interest income on the investment and pays interest expense on the collateral to the counterparty. The interest income is included in investment income on the Statements of Operations, and the interest expense is included in a Fund’s overall expenses and expense ratio in the Financial Highlights.

 

The Funds are subject to, among other risks, interest rate risk, equity price risk, commodity risk and foreign currency exchange risk in the normal course of pursuing their investment objectives by investing in various derivative financial instruments, as described below.

 

For open derivative instruments, please see the respective Fund’s Portfolio of Investments or details below:

 

    Fair Values of Derivative Instruments as of April 30, 2013  
    Derivative Assets    Derivative Liabilities  
    Statements of Assets          Statements of Assets        
    and Liabilities          and Liabilities        
Large Cap Strategies Fund   Location      Value    Location      Value  
Foreign currency exchange contracts   Unrealized appreciation on forward foreign currency exchange contracts   $ 352,973   Unrealized depreciation on forward foreign currency exchange contracts   $ 6,535,796  
Total       $ 352,973       $ 6,535,796  
                       
    Statements of Assets          Statements of Assets        
    and Liabilities          and Liabilities        
Global Small & Mid Cap Fund   Location      Value    Location      Value  
Foreign currency exchange contracts   Unrealized appreciation on forward foreign currency exchange contracts   $    Unrealized depreciation on forward foreign currency exchange contracts   $ 267,021  
Total       $       $ 267,021  
                       
    Statements of Assets          Statements of Assets        
    and Liabilities          and Liabilities        
Global Opportunities Fund   Location      Value    Location      Value  
Equity contracts   Unrealized appreciation on swap contracts   $ 13,501,540   Unrealized depreciation on swap contracts   $ 9,990,764  
    Structured option contracts, at value     123,483,117    Written option contracts, at value     144,285,972  
               Structured option contracts, at value     17,921,417  
               Variation Margin     75,000  
Foreign currency exchange contracts   Unrealized appreciation on forward foreign currency exchange contracts     39,797,754    Unrealized depreciation on forward foreign currency exchange contracts     29,965,580  
Total       $ 176,782,411       $ 202,238,733  
                       
    Statements of Assets          Statements of Assets        
    and Liabilities          and Liabilities        
Real Return Fund   Location      Value    Location      Value  
Commodity contracts   Unrealized appreciation on swap contracts   $ 36,724,736   Unrealized depreciation on swap contracts   $ 43,376,026  
               Variation Margin     1,154,691  
    Investments, at value (purchased options)     624,825    Written option contracts, at value     12,285,188  
Total       $ 37,349,561       $ 56,815,905  

 

      The Effect of Derivative Instruments on the Statements of Operations  
      Six Months Ended April 30, 2013  
      Net Realized Gain (Loss) from Derivatives Recognized in Income  
                      Foreign Currency        
Large Cap Strategies Fund   Options   Futures Contracts   Swaps   Exchange Contracts      Total  
Foreign Currency Exchange Contracts   $   $   $   $ 1,465,996   $ 1,465,996  
Equity Contracts                      
Total   $   $   $   $ 1,465,996   $ 1,465,996  
                                 
                      Foreign Currency        
Global Small & Mid Cap Fund   Options   Futures Contracts   Swaps   Exchange Contracts      Total  
Foreign Currency Exchange Contracts   $   $   $   $ (83,431 $ (83,431 )
Total   $   $   $   $ (83,431 $ (83,431 )
                                 
                      Foreign Currency        
Global Opportunities Fund   Options   Futures Contracts   Swaps   Exchange Contracts      Total  
Commodity Contracts   $   $ (1,098,596 $   $   $ (1,098,596 )
118
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   

 

      The Effect of Derivative Instruments on the Statements of Operations  
      Six Months Ended April 30, 2013  
      Net Realized Gain (Loss) from Derivatives Recognized in Income  
Interest Rate Contracts   $     $     $     $     $  
Equity Contracts     105,297,865       (3,350,824 )     16,094,719             118,041,760  
Foreign Currency Exchange Contracts                       37,165,661       37,165,661  
Total   $ 105,297,865     $ (4,449,420 )   $ 16,094,719     $ 37,165,661     $ 154,108,825  
                                         
                              Foreign Currency          
Real Return Fund     Options       Futures Contracts       Swaps       Exchange Contracts       Total  
Commodity Contracts   $ (50,912,422 )   $ (73,406,524 )   $ (21,032,197 )   $     $ (145,351,143
Foreign Currency Exchange Contracts                       (5,924,099 )     (5,924,099 )
Total   $ (50,912,422 )   $ (73,406,524 )   $ (21,032,197 )   $ (5,924,099 )   $ (151,275,242 )
                                         

 

      Net Change in Unrealized Appreciation/Depreciation  
      on Derivatives Recognized in Income  
                        Foreign Currency        
Large Cap Strategies Fund     Options     Futures Contracts     Swaps     Exchange Contracts     Total  
Foreign Currency Exchange Contracts   $   $   $   $ (2,322,381 $ (2,322,381 )
Total   $   $   $   $ (2,322,381 $ (2,322,381 )
                                 
                        Foreign Currency        
Global Small & Mid Cap Fund     Options     Futures Contracts     Swaps     Exchange Contracts     Total  
Foreign Currency Exchange Contracts   $   $   $   $ (394,064 $ (394,064 )
Total   $   $   $   $ (394,064 $ (394,064 )
                                 
                        Foreign Currency        
Global Opportunities Fund     Options     Futures Contracts     Swaps     Exchange Contracts     Total  
Commodity Contracts   $   $ 873,126   $   $   $ 873,126  
Equity Contracts     104,769,823     1,332,017     (9,011,421 )       97,090,419  
Foreign Currency Exchange Contracts             715,340     20,998,937     21,714,277  
Total   $ 104,769,823   $ 2,205,143   $ (8,296,081 )   $20,998,937   $ 119,677,822  
                                 
                        Foreign Currency        
Real Return Fund     Options     Futures Contracts     Swaps     Exchange Contracts     Total  
Commodity Contracts   $ 25,740,465   $ (15,235,616 $ (4,176,787 ) $   $ 6,328,062  
Total   $ 25,740,465   $ (15,235,616 $ (4,176,787 ) $   $ 6,328,062  
                                 

 

For the six months ended April 30, 2013, the quarterly average volume of derivative activities were as follows:

 

      Large Cap Strategies Fund       Global Small & Mid Cap Fund       Global Opportunities Fund       Real Return Fund  
Structured Options (Number of Units)                 20,686,097        
Structured Options (Notional Amounts)   $     $     $ 2,503,983,549     $  
Purchased Options (Cost $)                       27,489,481  
Written Options (Premium Received $)                 116,515,106       16,319,138  
Futures Long Position (Notional Amounts)                 1,257,900       1,190,726,724  
Futures Short Position (Notional Amounts)                 177,500       514,126,310  
Forward Currency Contracts Purchased (U. S. Dollar Amounts)                 1,442,904,457        
Forward Currency Contracts Sold (U. S. Dollar Amounts)     368,536,343       34,516,862       1,420,308,742        
Equity Swaps (Notional Amount in U. S. Dollars)                 2,532,747        
Index Swaps as buyer (Notional Amount in U. S. Dollars)                       563,808,459  
Index Swaps as writer (Notional Amount in U. S. Dollars)                       394,238,600  
119
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Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   

 

A. Futures Contracts. The Funds purchased or sold futures contracts and options on futures contracts to gain exposure to, or hedge against, changes in the value of equity securities (equity risk), interest rates (interest rate risk) or commodity risk.

 

Futures contracts are agreements pursuant to which two parties agree to take or make delivery of an amount of cash equal to the difference between the value of the contract at the close of the last trading day and the price at which the contract was originally written. Upon entering into a futures contract, the Funds are required to pledge to the broker an amount of cash, U.S. government securities, or other assets, equal to a certain percentage of the contract amount. This is known as the initial margin deposit. Subsequent payments, known as variation margin, are made or received by the Funds each day, depending on the daily fluctuations in fair value of the underlying instrument. The Funds recognize an unrealized gain or loss equal to the variation margin. These futures contracts permit the Funds to meet their objectives at a lower cost than investing directly in the underlying instruments or commodities, while permitting the equivalent of an investment in a portfolio of the underlying instruments or commodities. A potential risk to the Funds is that the change in value of the underlying securities or commodities may not correlate to the change in value of the contracts. Listed futures contracts involve minimal counterparty risk since futures contracts are guaranteed against default by the exchange on which they trade.

 

B. Forward Foreign Currency Exchange Contracts. The Funds (except Municipal Bond Fund) entered into forward foreign currency contracts ( “Forward” ) to hedge their exposure to changes in foreign currency exchange rates on foreign portfolio holdings (foreign currency exchange risk). In addition, certain Funds may use a Forward to provide exposure to the foreign currency market. A Forward is an agreement between two parties to purchase or sell a foreign currency at a future date at a negotiated forward rate. A Forward is marked-to-market daily and the change in market value is recorded by the Funds as unrealized appreciation or depreciation until the contract settlement date. The market value of the Forward is determined using the forward rate for the remainder of the outstanding period of the contract, through the delivery date. When a Forward is closed or settled, the Funds record a realized gain or loss equal to the fluctuation in rates during the period a Forward was open. Risks may arise upon entering into these contracts from, for example, the potential inability of the counterparties to meet the terms of their contracts, or if the foreign currency rates change unfavorably.

 

In the event of default by the counterparty to the transaction, the Funds’ maximum amount of loss, as either the buyer or seller, is the unrealized gain of the contract.

 

As of April 30, 2013, the Large Cap Strategies Fund had the following open Forwards:

                              Unrealized  
                        Settlement     Appreciation/  
Currency Purchased   Currency Sold   Counterparty   Date     (Depreciation)  
U. S. Dollar        185,000,000       United Kingdom Pound        120,470,731       Bank of New York Mellon Corp.        05/28/13        $  (5,202,581 )
U. S. Dollar        120,349,630       Euro        92,369,509       Bank of New York Mellon Corp.        06/14/13           (1,333,215 )
U. S. Dollar     126,803,533     Euro     96,000,000     Barclays Plc     05/28/13       352,973  
                                    $ (6,182,823 )

 

As of April 30, 2013, the Global Small & Mid Cap Fund had the following open Forwards:

 

Currency Purchased     Currency Sold     Counterparty   Settlement
Date
  Unrealized
Appreciation/
(Depreciation)
 
U. S. Dollar     26,152,767     Australian Dollar     25,594,500     Citigroup, Inc.   07/31/13   $ (198,964 )
U. S. Dollar     8,841,380     New Zealand Dollar     10,461,500     Citigroup, Inc.   07/31/13     (68,057 )
                                $ (267,021 )
120
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
 

 

As of April 30, 2013, the Global Opportunities Fund had the following open Forwards:

 

                        Unrealized  
                    Settlement   Appreciation/  
Currency Purchased   Currency Sold   Counterparty   Date   (Depreciation)  
Mexican Peso   63,915,000   U.S. Dollar   4,976,835   Bank of New York Mellon Corp.   05/02/13   $ 286,092  
Swedish Krona   164,370,000   U.S. Dollar   25,824,646   Bank of New York Mellon Corp.   05/02/13     (464,172 )
Euro   7,656,669   U.S. Dollar   10,025,719   Bank of New York Mellon Corp.   05/31/13     59,797  
Norwegian Krone   202,663,050   U.S. Dollar   35,389,151   Bank of New York Mellon Corp.   06/03/13     (291,070 )
U.S. Dollar   13,288,841   Japanese Yen   1,218,414,000   Bank of New York Mellon Corp.   06/03/13     788,220  
Norwegian Krone   113,311,800   U.S. Dollar   19,889,731   Bank of New York Mellon Corp.   06/11/13     (271,716 )
U.S. Dollar   35,373,922   Euro   27,004,537   Bank of New York Mellon Corp.   06/11/13     (199,723 )
U.S. Dollar   24,810,566   Swedish Krona   164,370,000   Barclays Plc   05/02/13     (549,908 )
Euro   10,963,630   U.S. Dollar   14,271,358   Barclays Plc   05/06/13     167,770  
U.S. Dollar   3,481,146   Canadian Dollar   3,575,345   Barclays Plc   05/06/13     (67,230 )
Japanese Yen   1,605,540,000   U.S. Dollar   16,152,314   Barclays Plc   05/07/13     317,870  
U.S. Dollar   207,530   Euro   157,000   Barclays Plc   05/07/13     760  
U.S. Dollar   49,733,648   Euro   36,994,071   Barclays Plc   05/14/13     1,009,798  
U.S. Dollar   384,723   Euro   301,000   Barclays Plc   05/21/13     (11,734 )
Singapore Dollar   24,660,000   U.S. Dollar   19,933,716   Barclays Plc   05/22/13     87,453  
Chinese Yuan   62,600,000   U.S. Dollar   10,000,000   Barclays Plc   05/28/13     70,925  
Malaysian Ringgit   45,795,000   U.S. Dollar   14,673,182   Barclays Plc   05/28/13     355,729  
U.S. Dollar   19,619,370   Chinese Yuan   125,150,000   Barclays Plc   05/28/13     (514,436 )
U.S. Dollar   8,676,123   Japanese Yen   806,142,000   Barclays Plc   05/28/13     405,576  
Singapore Dollar   12,245,500   U.S. Dollar   9,833,129   Barclays Plc   06/11/13     108,959  
Mexican Peso   206,752,500   U.S. Dollar   16,532,529   Barclays Plc   06/17/13     426,143  
Norwegian Krone   31,660,000   U.S. Dollar   5,488,780   Barclays Plc   06/17/13     (8,607 )
Swedish Krona   170,610,000   U.S. Dollar   26,525,504   Barclays Plc   06/17/13     (229,650 )
U.S. Dollar   29,242,265   Euro   22,583,620   Barclays Plc   06/17/13     (508,859 )
U.S. Dollar   21,887,303   Japanese Yen   2,103,650,000   Barclays Plc   06/17/13     302,699  
Chinese Yuan   188,460,000   U.S. Dollar   30,000,000   Barclays Plc   07/05/13     322,922  
U.S. Dollar   29,277,614   Chinese Yuan   188,460,000   Barclays Plc   07/05/13     (1,045,308 )
Singapore Dollar   19,060,500   U.S. Dollar   15,353,826   Barclays Plc   07/08/13     121,737  
South African Rand   40,451,500   U.S. Dollar   4,367,139   Barclays Plc   07/08/13     98,226  
U.S. Dollar   18,877,248   Euro   14,646,945   Barclays Plc   07/08/13     (421,259 )
U.S. Dollar   10,000,000   Japanese Yen   985,690,000   Barclays Plc   07/10/13     (115,138 )
U.S. Dollar   893,244   Euro   729,000   Barclays Plc   07/16/13     (67,330 )
U.S. Dollar   1,406,976   Euro   1,143,000   Barclays Plc   07/18/13     (99,132 )
Norwegian Krone   141,953,510   U.S. Dollar   24,358,327   Barclays Plc   07/19/13     182,185  
U.S. Dollar   1,058,395   Euro   857,000   Barclays Plc   07/19/13     (70,865 )
U.S. Dollar   9,040,038   Japanese Yen   886,335,000   Barclays Plc   07/22/13     (56,247 )
U.S. Dollar   24,161,924   South Korean Won   27,172,500,000   Barclays Plc   07/22/13     (447,972 )
Norwegian Krone   16,471,500   Euro   2,187,102   Barclays Plc   07/26/13     (35,339 )
Swedish Krona   164,370,000   U.S. Dollar   24,766,491   Barclays Plc   07/26/13     545,192  
U.S. Dollar   14,279,582   Euro   10,963,630   Barclays Plc   07/26/13     (167,854 )
U.S. Dollar   16,160,118   Japanese Yen   1,605,540,000   Barclays Plc   07/26/13     (317,666 )
Chinese Yuan   126,220,000   U.S. Dollar   20,000,000   Barclays Plc   07/29/13     307,296  
U.S. Dollar   2,065,479   Japanese Yen   185,480,000   Barclays Plc   07/29/13     161,845  
121
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
 

 

                        Unrealized  
                    Settlement   Appreciation/  
Currency Purchased   Currency Sold   Counterparty   Date   (Depreciation)  
U.S. Dollar   60,150   Euro   48,862   Barclays Plc   08/01/13   $ (4,241 )
U.S. Dollar   59,938   Euro   48,730   Barclays Plc   08/01/13     (4,280 )
U.S. Dollar   4,042,130   Euro   2,976,904   Barclays Plc   08/05/13     118,968  
U.S. Dollar   746,555   Euro   603,889   Barclays Plc   08/05/13     (49,290 )
U.S. Dollar   603,091   Japanese Yen   47,210,000   Barclays Plc   08/09/13     118,519  
Singapore Dollar   4,400,417   U.S. Dollar   3,553,882   Barclays Plc   08/13/13     19,030  
U.S. Dollar   1,601,232   Euro   1,290,000   Barclays Plc   08/16/13     (98,966 )
Chinese Yuan   472,350,000   U.S. Dollar   75,000,000   Barclays Plc   08/19/13     986,946  
Singapore Dollar   1,151,000   U.S. Dollar   930,402   Barclays Plc   08/19/13     4,156  
U.S. Dollar   1,789,482   Euro   1,451,000   Barclays Plc   08/19/13     (122,957 )
Euro   15,700,000   U.S. Dollar   20,355,049   Barclays Plc   08/20/13     337,947  
U.S. Dollar   1,595,653   Euro   1,289,000   Barclays Plc   08/20/13     (103,281 )
U.S. Dollar   29,140,351   Euro   23,470,000   Barclays Plc   08/20/13     (1,793,702 )
U.S. Dollar   14,421,087   Euro   11,660,000   Barclays Plc   08/21/13     (947,211 )
U.S. Dollar   29,993,481   Euro   24,200,000   Barclays Plc   08/22/13     (1,903,243 )
U.S. Dollar   928,741   Japanese Yen   73,417,000   Barclays Plc   08/22/13     175,096  
U.S. Dollar   274,916   Euro   219,546   Barclays Plc   08/23/13     (14,459 )
U.S. Dollar   461,014   Euro   368,163   Barclays Plc   08/23/13     (24,246 )
Norwegian Krone   10,525,000   Euro   1,405,376   Barclays Plc   08/26/13     (35,336 )
U.S. Dollar   619,204   Euro   494,240   Barclays Plc   08/26/13     (32,249 )
U.S. Dollar   2,612,299   Japanese Yen   205,823,000   Barclays Plc   08/26/13     499,403  
U.S. Dollar   286,563   Euro   226,362   Barclays Plc   09/10/13     (11,838 )
U.S. Dollar   285,089   Euro   222,087   Barclays Plc   09/12/13     (7,682 )
U.S. Dollar   819,671   Euro   633,122   Barclays Plc   09/16/13     (14,981 )
U.S. Dollar   195,989   Euro   148,781   Barclays Plc   09/19/13     (155 )
U.S. Dollar   468,469   Euro   360,422   Barclays Plc   09/24/13     (6,710 )
U.S. Dollar   174,289   Euro   133,614   Barclays Plc   10/25/13     (1,913 )
Hong Kong Dollar   307,740,000   U.S. Dollar   40,000,000   Barclays Plc   10/28/13     (310,766 )
Hong Kong Dollar   307,196,000   U.S. Dollar   40,000,000   Barclays Plc   10/28/13     (380,926 )
Norwegian Krone   16,471,500   Euro   2,143,889   Barclays Plc   10/31/13     10,009  
U.S. Dollar   423,789   Euro   325,538   Barclays Plc   11/05/13     (5,553 )
Chilean Unidad de Fomento   100,700,000   U.S. Dollar   204,177   Barclays Plc   02/11/14     1,874  
U.S. Dollar   6,200,198   Euro   4,589,000   Barclays Plc   02/11/14     142,341  
U.S. Dollar   1,481,409   Japanese Yen   137,140,000   Barclays Plc   02/25/14     71,024  
U.S. Dollar   2,962,767   Japanese Yen   274,010,000   Barclays Plc   02/27/14     144,710  
U.S. Dollar   1,855,373   Japanese Yen   173,700,000   Barclays Plc   02/27/14     68,955  
Chinese Yuan   154,612,500   U.S. Dollar   25,000,000   Barclays Plc   03/03/14     (180,464 )
U.S. Dollar   24,128,043   Chinese Yuan   154,612,500   Barclays Plc   03/03/14     (691,492 )
Chilean Unidad de Fomento   261,700,000   U.S. Dollar   528,420   Barclays Plc   03/05/14     5,808  
Chinese Yuan   153,487,500   U.S. Dollar   25,000,000   Barclays Plc   03/07/14     (362,113 )
U.S. Dollar   23,974,930   Chinese Yuan   153,487,500   Barclays Plc   03/07/14     (662,957 )
U.S. Dollar   19,020,396   Chinese Yuan   123,100,000   Barclays Plc   03/07/14     (739,675 )
U.S. Dollar   931,875   Euro   712,203   Barclays Plc   03/07/14     (8,506 )
U.S. Dollar   1,473,448   Euro   1,131,038   Barclays Plc   03/10/14     (19,998 )
U.S. Dollar   12,398,492   Euro   9,527,993   Barclays Plc   03/17/14     (183,308 )
U.S. Dollar   377,137   Euro   290,418   Barclays Plc   03/21/14     (6,377 )
U.S. Dollar   1,547,301   Japanese Yen   146,370,000   Barclays Plc   03/24/14     41,547  
Chinese Yuan   61,515,000   U.S. Dollar   10,000,000   Barclays Plc   04/07/14     (128,859 )
U.S. Dollar   9,398,778   Chinese Yuan   61,515,000   Barclays Plc   04/07/14     (472,363 )
U.S. Dollar   808,798   Euro   628,412   Barclays Plc   04/07/14     (21,192 )
122
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
 

 

                        Unrealized  
                    Settlement   Appreciation/  
Currency Purchased   Currency Sold   Counterparty   Date   (Depreciation)  
U.S. Dollar   18,927,250   Chinese Yuan   122,800,000   Barclays Plc   04/21/14   $ (775,172 )
U.S. Dollar   964,912   Euro   732,670   Barclays Plc   04/22/14     (2,917 )
U.S. Dollar   1,332,367   Euro   1,020,033   Barclays Plc   04/25/14     (15,100 )
U.S. Dollar   667,607   Euro   511,890   Barclays Plc   04/30/14     (8,639 )
Canadian Dollar   3,575,345   U.S. Dollar   3,574,645   Citigroup, Inc.   05/06/13     (26,269 )
U.S. Dollar   1,261,586   Japanese Yen   100,093,000   Citigroup, Inc.   05/10/13     234,782  
U.S. Dollar   10,000,001   Euro   7,449,389   Citigroup, Inc.   05/13/13     188,685  
U.S. Dollar   629,425   Japanese Yen   50,022,000   Citigroup, Inc.   05/14/13     116,264  
Australian Dollar   4,806,130   U.S. Dollar   4,919,666   Citigroup, Inc.   05/28/13     51,639  
Mexican Peso   65,453,700   U.S. Dollar   5,084,928   Citigroup, Inc.   05/28/13     292,707  
U.S. Dollar   10,000,001   Euro   7,656,669   Citigroup, Inc.   05/31/13     (85,515 )
Euro   35,119,484   U.S. Dollar   45,845,784   Citigroup, Inc.   06/14/13     418,820  
U.S. Dollar   705,638   Japanese Yen   55,787,000   Citigroup, Inc.   06/14/13     133,242  
Swedish Krona   43,658,433   Euro   4,973,421   Citigroup, Inc.   06/27/13     175,179  
U.S. Dollar   517,244   Euro   398,462   Citigroup, Inc.   07/26/13     (7,834 )
U.S. Dollar   330,937   Euro   265,136   Citigroup, Inc.   08/08/13     (18,485 )
U.S. Dollar   95,867   Euro   76,711   Citigroup, Inc.   08/09/13     (5,232 )
U.S. Dollar   603,389   Japanese Yen   47,220,000   Citigroup, Inc.   08/09/13     118,714  
U.S. Dollar   5,668,619   Japanese Yen   449,157,000   Citigroup, Inc.   08/13/13     1,058,237  
U.S. Dollar   1,855,715   Japanese Yen   146,685,000   Citigroup, Inc.   08/23/13     349,943  
Chilean Unidad de Fomento   974,634,000   U.S. Dollar   2,002,947   Citigroup, Inc.   10/28/13     16,214  
U.S. Dollar   401,706   Japanese Yen   32,085,087   Citigroup, Inc.   11/08/13     72,126  
U.S. Dollar   5,668,619   Japanese Yen   451,214,700   Citigroup, Inc.   11/12/13     1,033,513  
U.S. Dollar   5,668,614   Japanese Yen   450,156,000   Citigroup, Inc.   11/13/13     1,044,333  
U.S. Dollar   596,694   Japanese Yen   47,197,000   Citigroup, Inc.   11/15/13     111,847  
U.S. Dollar   2,193,186   Japanese Yen   177,080,000   Citigroup, Inc.   11/19/13     373,991  
U.S. Dollar   2,458,982   Japanese Yen   198,912,000   Citigroup, Inc.   11/20/13     415,479  
U.S. Dollar   301,207   Japanese Yen   26,280,000   Citigroup, Inc.   01/10/14     31,072  
U.S. Dollar   1,338,202   Euro   999,800   Citigroup, Inc.   01/28/14     18,560  
U.S. Dollar   3,931,156   Euro   2,903,000   Citigroup, Inc.   02/10/14     98,993  
U.S. Dollar   5,925,601   Japanese Yen   547,570,000   Citigroup, Inc.   02/13/14     294,977  
U.S. Dollar   2,962,778   Japanese Yen   273,460,000   Citigroup, Inc.   02/19/14     150,624  
Chilean Unidad de Fomento   422,200,000   U.S. Dollar   858,479   Citigroup, Inc.   02/20/14     4,588  
U.S. Dollar   1,410,966   Euro   1,080,000   Citigroup, Inc.   03/10/14     (15,089 )
U.S. Dollar   24,456,237   Euro   18,838,791   Citigroup, Inc.   03/18/14     (420,791 )
Polish Zloty   10,400,000   Euro   2,434,685   Citigroup, Inc.   03/19/14     18,056  
U.S. Dollar   3,035,336   Japanese Yen   288,190,000   Citigroup, Inc.   03/19/14     70,799  
U.S. Dollar   3,468,343   Japanese Yen   331,140,000   Citigroup, Inc.   03/19/14     61,989  
U.S. Dollar   806,913   Euro   620,368   Citigroup, Inc.   03/26/14     (12,359 )
U.S. Dollar   285,196   Euro   216,000   Credit Suisse Group AG   05/07/13     721  
U.S. Dollar   435,600   Euro   330,000   Deutsche Bank AG   05/06/13     989  
U.S. Dollar   336,095   Euro   255,000   Deutsche Bank AG   05/08/13     255  
Philippines Peso   35,386,000   U.S. Dollar   858,134   Deutsche Bank AG   05/10/13     2,107  
U.S. Dollar   204,909   Euro   157,000   Deutsche Bank AG   05/10/13     (1,866 )
U.S. Dollar   846,018   Japanese Yen   66,920,000   Deutsche Bank AG   05/13/13     159,509  
U.S. Dollar   385,987   Euro   301,000   Deutsche Bank AG   05/20/13     (10,467 )
U.S. Dollar   559,769   Euro   439,000   Deutsche Bank AG   05/21/13     (18,452 )
Indian Rupee   24,142,000   U.S. Dollar   436,115   Deutsche Bank AG   05/28/13     12,921  
Indian Rupee   28,199,500   U.S. Dollar   518,740   Deutsche Bank AG   05/29/13     5,711  
Indian Rupee   37,818,000   U.S. Dollar   691,580   Deutsche Bank AG   06/04/13     11,183  
123
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
 

 

                        Unrealized
                    Settlement   Appreciation/
Currency Purchased   Currency Sold   Counterparty   Date   (Depreciation)  
U.S. Dollar   365,417   Euro   293,760   Deutsche Bank AG   06/05/13   $ (21,543 )
U.S. Dollar   2,102,242   Euro   1,690,000   Deutsche Bank AG   06/05/13     (123,937 )
Indian Rupee   17,072,000   U.S. Dollar   304,521   Deutsche Bank AG   06/06/13     12,633  
Indian Rupee   27,856,000   U.S. Dollar   500,764   Deutsche Bank AG   06/07/13     16,656  
U.S. Dollar   951,967   Euro   760,600   Deutsche Bank AG   06/07/13     (49,959 )
U.S. Dollar   2,127,720   Euro   1,700,000   Deutsche Bank AG   06/07/13     (111,663 )
Indian Rupee   7,542,000   U.S. Dollar   135,350   Deutsche Bank AG   06/11/13     4,662  
U.S. Dollar   686,068   Euro   540,850   Deutsche Bank AG   06/11/13     (26,405 )
U.S. Dollar   100,914   Euro   80,000   Deutsche Bank AG   06/13/13     (4,474 )
U.S. Dollar   478,078   Euro   379,000   Deutsche Bank AG   06/13/13     (21,193 )
Indian Rupee   74,306,000   U.S. Dollar   1,347,246   Deutsche Bank AG   06/17/13     31,012  
Indian Rupee   18,877,000   U.S. Dollar   340,605   Deutsche Bank AG   06/18/13     9,484  
Indian Rupee   17,195,000   U.S. Dollar   311,157   Deutsche Bank AG   06/20/13     7,647  
Singapore Dollar   1,969,400   U.S. Dollar   1,577,287   Deutsche Bank AG   06/21/13     21,677  
South Korean Won   469,000,000   U.S. Dollar   398,488   Deutsche Bank AG   06/27/13     26,693  
U.S. Dollar   410,503   South Korean Won   469,000,000   Deutsche Bank AG   06/27/13     (14,677 )
Indian Rupee   56,904,000   U.S. Dollar   1,027,124   Deutsche Bank AG   07/12/13     24,026  
Indian Rupee   13,777,000   U.S. Dollar   251,670   Deutsche Bank AG   07/22/13     2,354  
U.S. Dollar   775,214   Euro   629,000   Deutsche Bank AG   07/22/13     (53,632 )
U.S. Dollar   702,810   Euro   571,000   Deutsche Bank AG   07/23/13     (49,614 )
Indian Rupee   27,912,000   U.S. Dollar   506,758   Deutsche Bank AG   07/26/13     7,511  
Indian Rupee   28,199,500   U.S. Dollar   513,498   Deutsche Bank AG   07/29/13     5,782  
Indian Rupee   26,507,000   U.S. Dollar   481,477   Deutsche Bank AG   07/31/13     6,478  
U.S. Dollar   3,698,520   Euro   2,975,000   Deutsche Bank AG   07/31/13     (221,975 )
U.S. Dollar   1,499,592   Euro   1,200,000   Deutsche Bank AG   08/09/13     (81,898 )
U.S. Dollar   605,008   Japanese Yen   47,210,000   Deutsche Bank AG   08/12/13     120,424  
Polish Zloty   11,489,000   Euro   2,702,023   Deutsche Bank AG   08/19/13     48,199  
U.S. Dollar   1,151,088   Japanese Yen   90,125,000   Deutsche Bank AG   08/19/13     225,953  
U.S. Dollar   938,867   Japanese Yen   73,510,000   Deutsche Bank AG   08/19/13     184,286  
Chilean Unidad de Fomento   2,167,200,000   U.S. Dollar   4,300,000   Deutsche Bank AG   08/20/13     230,167  
U.S. Dollar   1,008,035   Euro   814,000   Deutsche Bank AG   08/20/13     (64,838 )
Chilean Unidad de Fomento   1,087,040,000   U.S. Dollar   2,150,000   Deutsche Bank AG   08/21/13     121,994  
Chilean Unidad de Fomento   1,083,600,000   U.S. Dollar   2,150,000   Deutsche Bank AG   08/21/13     114,804  
U.S. Dollar   918,451   Japanese Yen   72,553,000   Deutsche Bank AG   08/23/13     173,669  
U.S. Dollar   1,557,604   Japanese Yen   121,842,000   Deutsche Bank AG   08/27/13     306,813  
U.S. Dollar   12,313   Euro   9,797   Deutsche Bank AG   08/28/13     (600 )
U.S. Dollar   278,008   Euro   221,193   Deutsche Bank AG   08/28/13     (13,549 )
U.S. Dollar   150,148   Euro   119,000   Deutsche Bank AG   09/04/13     (6,716 )
U.S. Dollar   329,951   Euro   261,000   Deutsche Bank AG   09/10/13     (14,112 )
U.S. Dollar   694,668   Euro   540,850   Deutsche Bank AG   09/11/13     (18,312 )
U.S. Dollar   24,390,376   Euro   18,919,000   Deutsche Bank AG   09/13/13     (550,156 )
Philippines Peso   29,828,000   U.S. Dollar   713,554   Deutsche Bank AG   09/24/13     12,398  
U.S. Dollar   2,234,056   Euro   1,720,000   Deutsche Bank AG   09/24/13     (33,585 )
U.S. Dollar   1,036,408   Euro   800,000   Deutsche Bank AG   09/26/13     (18,326 )
Chilean Unidad de Fomento   231,460,000   U.S. Dollar   478,223   Deutsche Bank AG   09/30/13     2,941  
Philippines Peso   36,054,000   U.S. Dollar   862,536   Deutsche Bank AG   10/04/13     14,995  
Philippines Peso   8,431,000   U.S. Dollar   202,576   Deutsche Bank AG   10/16/13     2,644  
124
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
 

 

                          Unrealized  
                    Settlement     Appreciation/  
Currency Purchased   Currency Sold   Counterparty   Date     (Depreciation)  
Malaysian Ringgit   1,980,000   U.S. Dollar   638,607   Deutsche Bank AG   10/23/13   $ 5,762  
U.S. Dollar   885,254   Euro   684,003   Deutsche Bank AG   10/31/13     (16,814 )
U.S. Dollar   59,892   Euro   45,895   Deutsche Bank AG   11/04/13     (637 )
U.S. Dollar   9,200,600   Euro   7,160,000   Deutsche Bank AG   11/08/13     (242,759 )
U.S. Dollar   5,370,974   Japanese Yen   425,263,000   Deutsche Bank AG   11/13/13     1,002,410  
U.S. Dollar   235,133   Euro   184,184   Deutsche Bank AG   11/15/13     (7,804 )
Malaysian Ringgit   2,056,560   U.S. Dollar   660,000   Deutsche Bank AG   11/19/13     8,454  
U.S. Dollar   65,212   Euro   50,759   Deutsche Bank AG   11/19/13     (1,741 )
U.S. Dollar   1,765,160   Japanese Yen   143,060,000   Deutsche Bank AG   11/19/13     295,463  
U.S. Dollar   1,021,759   Euro   798,000   Deutsche Bank AG   11/20/13     (30,845 )
U.S. Dollar   873,650   Euro   670,000   Deutsche Bank AG   12/03/13     (10,223 )
Australian Dollar   1,691,000   U.S. Dollar   1,732,345   Deutsche Bank AG   12/13/13     (7,625 )
Malaysian Ringgit   1,633,900   U.S. Dollar   528,206   Deutsche Bank AG   01/08/14     1,711  
U.S. Dollar   1,471,964   Euro   1,111,000   Deutsche Bank AG   01/14/14     5,741  
U.S. Dollar   297,101   Japanese Yen   26,360,000   Deutsche Bank AG   01/16/14     26,126  
U.S. Dollar   1,299,198   Euro   971,000   Deutsche Bank AG   01/17/14     17,701  
U.S. Dollar   3,934,081   Japanese Yen   348,750,000   Deutsche Bank AG   01/17/14     348,965  
Chilean Unidad de Fomento   411,630,000   U.S. Dollar   836,646   Deutsche Bank AG   01/22/14     7,460  
Chilean Unidad de Fomento   583,870,000   U.S. Dollar   1,187,814   Deutsche Bank AG   01/24/14     9,212  
Chilean Unidad de Fomento   363,560,000   U.S. Dollar   739,394   Deutsche Bank AG   01/28/14     5,634  
U.S. Dollar   1,722,223   Japanese Yen   154,225,103   Deutsche Bank AG   01/28/14     136,614  
Chilean Unidad de Fomento   117,450,000   U.S. Dollar   239,376   Deutsche Bank AG   01/29/14     1,283  
Chilean Unidad de Fomento   234,900,000   U.S. Dollar   477,197   Deutsche Bank AG   01/31/14     4,019  
Chilean Unidad de Fomento   219,210,000   U.S. Dollar   443,835   Deutsche Bank AG   02/03/14     5,094  
U.S. Dollar   5,482,688   Euro   4,050,000   Deutsche Bank AG   02/07/14     136,558  
U.S. Dollar   2,120,250   Euro   1,580,000   Deutsche Bank AG   02/11/14     34,520  
U.S. Dollar   834,680   Euro   622,000   Deutsche Bank AG   02/11/14     13,589  
Chilean Unidad de Fomento   100,900,000   U.S. Dollar   204,292   Deutsche Bank AG   02/12/14     2,145  
Chilean Unidad de Fomento   83,490,000   U.S. Dollar   169,361   Deutsche Bank AG   02/14/14     1,420  
Chilean Unidad de Fomento   295,220,000   U.S. Dollar   598,787   Deutsche Bank AG   02/18/14     4,835  
U.S. Dollar   23,067,992   Euro   17,260,000   Deutsche Bank AG   02/19/14     281,641  
Chilean Unidad de Fomento   176,590,000   U.S. Dollar   357,036   Deutsche Bank AG   02/25/14     3,759  
Chilean Unidad de Fomento   202,500,000   U.S. Dollar   409,091   Deutsche Bank AG   02/26/14     4,597  
Chilean Unidad de Fomento   309,490,000   U.S. Dollar   625,738   Deutsche Bank AG   02/27/14     6,452  
U.S. Dollar   3,541,405   Euro   2,677,770   Deutsche Bank AG   02/27/14     5,990  
U.S. Dollar   439,513   Euro   332,330   Deutsche Bank AG   02/27/14     743  
U.S. Dollar   1,002,005   Japanese Yen   91,718,000   Deutsche Bank AG   02/27/14     58,731  
Chilean Unidad de Fomento   68,400,000   U.S. Dollar   138,104   Deutsche Bank AG   02/28/14     1,601  
125
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
 

 

                        Unrealized  
                    Settlement   Appreciation/  
Currency Purchased   Currency Sold   Counterparty   Date   (Depreciation)  
Singapore Dollar   700,000   U.S. Dollar   565,565   Deutsche Bank AG   02/28/14   $ 2,986  
Chilean Unidad de Fomento   225,065,000   U.S. Dollar   454,723   Deutsche Bank AG   03/03/14     4,817  
U.S. Dollar   11,341,939   Euro   8,620,132   Deutsche Bank AG   03/03/14     (39,507 )
Chilean Unidad de Fomento   225,065,000   U.S. Dollar   453,486   Deutsche Bank AG   03/05/14     5,956  
Swedish Krona   84,036,600   Euro   9,836,896   Deutsche Bank AG   03/05/14     (102,723 )
U.S. Dollar   139,368   Euro   107,000   Deutsche Bank AG   03/05/14     (1,911 )
Chilean Unidad de Fomento   245,410,000   U.S. Dollar   494,031   Deutsche Bank AG   03/06/14     6,889  
Chilean Unidad de Fomento   243,930,000   U.S. Dollar   492,539   Deutsche Bank AG   03/07/14     5,307  
U.S. Dollar   2,486,910   Euro   1,900,000   Deutsche Bank AG   03/07/14     (21,818 )
U.S. Dollar   3,778,410   Euro   2,900,000   Deutsche Bank AG   03/12/14     (50,884 )
Chilean Unidad de Fomento   237,320,000   U.S. Dollar   479,822   Deutsche Bank AG   03/13/14     4,223  
Swedish Krona   17,601,656   Euro   2,090,284   Deutsche Bank AG   03/13/14     (61,657 )
Chilean Unidad de Fomento   2,375,135,000   U.S. Dollar   4,814,788   Deutsche Bank AG   03/18/14     27,028  
Hungary Forint   884,944,400   Euro   2,802,430   Deutsche Bank AG   03/19/14     103,850  
U.S. Dollar   1,909,933   Japanese Yen   182,083,500   Deutsche Bank AG   03/19/14     36,886  
U.S. Dollar   1,517,641   Japanese Yen   143,285,000   Deutsche Bank AG   03/24/14     43,624  
U.S. Dollar   799,039   Euro   615,000   Deutsche Bank AG   03/26/14     (13,144 )
U.S. Dollar   194,301   Euro   150,689   Deutsche Bank AG   03/31/14     (4,711 )
U.S. Dollar   608,503   Euro   473,488   Deutsche Bank AG   04/03/14     (16,843 )
Chilean Unidad de Fomento   245,910,000   U.S. Dollar   497,995   Deutsche Bank AG   04/04/14     2,396  
U.S. Dollar   1,774,980   Euro   1,379,000   Deutsche Bank AG   04/04/14     (46,314 )
U.S. Dollar   971,409   Euro   742,242   Deutsche Bank AG   04/11/14     (8,961 )
Swedish Krona   28,478,956   Euro   3,329,898   Deutsche Bank AG   04/22/14     (36,013 )
U.S. Dollar   1,127,202   Euro   860,000   Deutsche Bank AG   04/23/14     (8,835 )
U.S. Dollar   589,879   Euro   475,000   Goldman Sachs Group, Inc.   08/12/13     (36,143 )
U.S. Dollar   1,116,586   Euro   902,000   Goldman Sachs Group, Inc.   08/14/13     (72,216 )
U.S. Dollar   346,509   Japanese Yen   32,163,000   Goldman Sachs Group, Inc.   02/12/14     15,783  
U.S. Dollar   224,064   Japanese Yen   20,855,910   Goldman Sachs Group, Inc.   02/18/14     9,593  
U.S. Dollar   2,962,787   Japanese Yen   274,640,000   Goldman Sachs Group, Inc.   02/19/14     138,498  
U.S. Dollar   2,114,988   Euro   1,580,000   Goldman Sachs Group, Inc.   02/21/14     29,060  
Philippines Peso   17,664,000   U.S. Dollar   429,562   HSBC Holdings Plc   05/14/13     (146 )
Indian Rupee   27,858,000   U.S. Dollar   503,334   HSBC Holdings Plc   05/28/13     14,819  
Indian Rupee   43,702,000   U.S. Dollar   799,327   HSBC Holdings Plc   06/04/13     12,777  
Indian Rupee   7,436,000   U.S. Dollar   133,527   HSBC Holdings Plc   06/11/13     4,517  
Indian Rupee   18,770,000   U.S. Dollar   339,708   HSBC Holdings Plc   06/13/13     8,643  
Indian Rupee   203,451,000   U.S. Dollar   3,689,684   HSBC Holdings Plc   06/19/13     82,934  
Singapore Dollar   1,574,000   U.S. Dollar   1,260,410   HSBC Holdings Plc   06/21/13     17,527  
Indian Rupee   29,446,000   U.S. Dollar   534,711   HSBC Holdings Plc   06/28/13     10,612  
Indian Rupee   19,137,000   U.S. Dollar   347,797   HSBC Holdings Plc   07/29/13     4,602  
Indian Rupee   12,846,000   U.S. Dollar   233,812   HSBC Holdings Plc   07/29/13     2,740  
U.S. Dollar   3,681,117   Euro   2,975,000   HSBC Holdings Plc   08/02/13     (239,441 )
Singapore Dollar   864,000   U.S. Dollar   693,926   HSBC Holdings Plc   08/15/13     7,599  
Singapore Dollar   864,000   U.S. Dollar   693,976   HSBC Holdings Plc   08/19/13     7,551  
U.S. Dollar   3,897,237   Japanese Yen   307,492,000   HSBC Holdings Plc   08/20/13     740,801  
126
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
 

 

                        Unrealized  
                    Settlement   Appreciation/  
Currency Purchased   Currency Sold   Counterparty   Date   (Depreciation)  
U.S. Dollar   1,844,132   Japanese Yen   145,609,000   HSBC Holdings Plc   08/23/13   $ 349,405  
U.S. Dollar   2,998,184   Japanese Yen   234,458,000   HSBC Holdings Plc   08/27/13     591,314  
Philippines Peso   36,100,000   U.S. Dollar   860,795   HSBC Holdings Plc   09/30/13     17,834  
Philippines Peso   28,800,000   U.S. Dollar   690,465   HSBC Holdings Plc   10/03/13     10,503  
Philippines Peso   28,921,000   U.S. Dollar   693,316   HSBC Holdings Plc   10/04/13     10,602  
Philippines Peso   43,117,000   U.S. Dollar   1,036,740   HSBC Holdings Plc   10/07/13     12,718  
Philippines Peso   24,870,000   U.S. Dollar   598,398   HSBC Holdings Plc   10/11/13     6,948  
U.S. Dollar   2,941,900   Euro   2,263,000   HSBC Holdings Plc   10/17/13     (42,198 )
Malaysian Ringgit   2,647,000   U.S. Dollar   859,360   HSBC Holdings Plc   10/22/13     2,128  
Malaysian Ringgit   1,321,026   U.S. Dollar   426,000   HSBC Holdings Plc   10/24/13     3,888  
U.S. Dollar   751,344   Japanese Yen   70,138,000   HSBC Holdings Plc   11/12/13     30,851  
Malaysian Ringgit   1,244,000   U.S. Dollar   398,562   HSBC Holdings Plc   11/20/13     5,764  
U.S. Dollar   462,182   Japanese Yen   37,330,000   HSBC Holdings Plc   11/20/13     78,676  
U.S. Dollar   947,656   Euro   720,487   HSBC Holdings Plc   12/09/13     (2,873 )
U.S. Dollar   1,118,679   Japanese Yen   98,220,000   HSBC Holdings Plc   01/15/14     109,009  
U.S. Dollar   2,231,266   Japanese Yen   199,698,335   HSBC Holdings Plc   01/28/14     178,141  
Singapore Dollar   1,468,000   U.S. Dollar   1,186,646   HSBC Holdings Plc   02/07/14     5,632  
U.S. Dollar   2,509,962   Euro   1,856,000   HSBC Holdings Plc   02/10/14     59,913  
U.S. Dollar   4,444,265   Japanese Yen   413,370,000   HSBC Holdings Plc   02/12/14     193,657  
U.S. Dollar   548,529   Japanese Yen   51,260,000   HSBC Holdings Plc   02/24/14     21,362  
U.S. Dollar   596,376   Japanese Yen   54,300,000   HSBC Holdings Plc   03/04/14     37,897  
Mexican Peso   50,041,430   U.S. Dollar   3,809,198   HSBC Holdings Plc   03/10/14     205,298  
U.S. Dollar   375,840   Euro   288,000   HSBC Holdings Plc   03/10/14     (4,441 )
Singapore Dollar   2,488,300   U.S. Dollar   1,995,109   HSBC Holdings Plc   03/14/14     25,991  
Singapore Dollar   2,091,000   U.S. Dollar   1,676,085   HSBC Holdings Plc   03/19/14     22,330  
U.S. Dollar   9,570,055   Japanese Yen   916,524,148   HSBC Holdings Plc   03/19/14     142,003  
U.S. Dollar   2,440,556   Euro   1,864,543   HSBC Holdings Plc   04/16/14     (22,292 )
U.S. Dollar   5,212,439   Mexican Peso   63,915,000   JPMorgan Chase & Co.   05/02/13     (50,488 )
Philippines Peso   11,388,000   U.S. Dollar   276,100   JPMorgan Chase & Co.   05/10/13     745  
U.S. Dollar   27,565,723   Norwegian Krone   160,325,000   JPMorgan Chase & Co.   05/14/13     (221,736 )
Indian Rupee   46,822,000   U.S. Dollar   853,886   JPMorgan Chase & Co.   05/15/13     18,138  
Chinese Yuan   471,750,000   U.S. Dollar   75,000,000   JPMorgan Chase & Co.   05/20/13     898,162  
Indian Rupee   158,600,000   U.S. Dollar   2,876,341   JPMorgan Chase & Co.   05/21/13     75,670  
Chinese Yuan   62,550,000   U.S. Dollar   10,000,000   JPMorgan Chase & Co.   05/28/13     62,881  
Mexican Peso   276,175,000   U.S. Dollar   21,463,489   JPMorgan Chase & Co.   05/28/13     1,226,874  
Indian Rupee   11,915,000   U.S. Dollar   218,690   JPMorgan Chase & Co.   05/31/13     2,850  
Chinese Yuan   62,700,000   U.S. Dollar   10,000,000   JPMorgan Chase & Co.   06/13/13     87,629  
Indian Rupee   170,209,200   U.S. Dollar   3,079,968   JPMorgan Chase & Co.   06/13/13     78,937  
U.S. Dollar   9,822,967   Chinese Yuan   62,700,000   JPMorgan Chase & Co.   06/13/13     (264,662 )
Indian Rupee   40,031,000   U.S. Dollar   727,142   JPMorgan Chase & Co.   06/17/13     15,369  
Indian Rupee   28,975,000   U.S. Dollar   523,998   JPMorgan Chase & Co.   06/25/13     12,831  
Russian Ruble   297,500,000   U.S. Dollar   9,285,964   JPMorgan Chase & Co.   07/05/13     158,555  
Mexican Peso   200,692,500   U.S. Dollar   16,138,119   JPMorgan Chase & Co.   07/08/13     294,071  
U.S. Dollar   34,904,137   Japanese Yen   3,355,781,500   JPMorgan Chase & Co.   07/08/13     467,611  
U.S. Dollar   10,000,000   Japanese Yen   994,435,000   JPMorgan Chase & Co.   07/16/13     (205,286 )
Indian Rupee   39,295,000   U.S. Dollar   712,266   JPMorgan Chase & Co.   07/18/13     12,801  
Indian Rupee   27,515,000   U.S. Dollar   502,811   JPMorgan Chase & Co.   07/22/13     4,518  
Mexican Peso   63,915,000   U.S. Dollar   5,175,926   JPMorgan Chase & Co.   07/26/13     48,864  
Indian Rupee   23,738,000   U.S. Dollar   432,256   JPMorgan Chase & Co.   07/29/13     4,867  
Indian Rupee   7,860,000   U.S. Dollar   143,126   JPMorgan Chase & Co.   07/29/13     1,612  
Singapore Dollar   6,427,600   U.S. Dollar   5,152,385   JPMorgan Chase & Co.   07/31/13     66,441  
U.S. Dollar   3,693,760   Euro   2,975,000   JPMorgan Chase & Co.   07/31/13     (226,734 )
127
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
 

 

                        Unrealized  
                    Settlement   Appreciation/  
Currency Purchased   Currency Sold   Counterparty   Date   (Depreciation)  
U.S. Dollar   1,963,902   Euro   1,606,300   JPMorgan Chase & Co.   08/06/13   $ (153,003 )
U.S. Dollar   1,977,428   Euro   1,584,300   JPMorgan Chase & Co.   08/09/13     (110,535 )
U.S. Dollar   2,003,668   Euro   1,612,000   JPMorgan Chase & Co.   08/20/13     (120,989 )
U.S. Dollar   932,100   Japanese Yen   73,573,000   JPMorgan Chase & Co.   08/20/13     176,866  
U.S. Dollar   1,856,818   Japanese Yen   146,373,000   JPMorgan Chase & Co.   08/26/13     354,213  
U.S. Dollar   1,441,937   Japanese Yen   112,727,000   JPMorgan Chase & Co.   08/27/13     284,718  
U.S. Dollar   928,779   Euro   737,287   JPMorgan Chase & Co.   08/29/13     (43,054 )
U.S. Dollar   928,786   Japanese Yen   72,717,000   JPMorgan Chase & Co.   08/30/13     182,279  
U.S. Dollar   153,510   Euro   119,000   JPMorgan Chase & Co.   09/13/13     (3,365 )
U.S. Dollar   15,270,462   Euro   11,825,925   JPMorgan Chase & Co.   09/13/13     (319,414 )
Singapore Dollar   1,300,000   U.S. Dollar   1,062,786   JPMorgan Chase & Co.   09/19/13     (7,221 )
Hungary Forint   435,568,000   Euro   1,401,216   JPMorgan Chase & Co.   09/23/13     44,398  
Hungary Forint   348,678,000   Euro   1,120,971   JPMorgan Chase & Co.   09/25/13     36,249  
U.S. Dollar   406,818   Japanese Yen   31,505,000   JPMorgan Chase & Co.   09/30/13     83,309  
Philippines Peso   14,127,000   U.S. Dollar   340,074   JPMorgan Chase & Co.   10/11/13     3,783  
Malaysian Ringgit   6,600,000   U.S. Dollar   2,083,333   JPMorgan Chase & Co.   10/18/13     65,199  
Malaysian Ringgit   1,459,000   U.S. Dollar   469,660   JPMorgan Chase & Co.   10/18/13     5,295  
U.S. Dollar   6,795,203   Japanese Yen   598,110,000   JPMorgan Chase & Co.   10/18/13     652,630  
Singapore Dollar   1,320,000   U.S. Dollar   1,066,667   JPMorgan Chase & Co.   10/21/13     5,170  
Hong Kong Dollar   307,680,000   U.S. Dollar   40,000,000   JPMorgan Chase & Co.   10/28/13     (318,504 )
Hong Kong Dollar   924,576,000   U.S. Dollar   120,000,000   JPMorgan Chase & Co.   10/28/13     (757,415 )
Malaysian Ringgit   1,586,000   U.S. Dollar   512,224   JPMorgan Chase & Co.   10/31/13     3,710  
U.S. Dollar   188,597   Euro   147,287   JPMorgan Chase & Co.   11/12/13     (5,667 )
U.S. Dollar   4,289,375   Japanese Yen   338,110,000   JPMorgan Chase & Co.   11/13/13     816,100  
U.S. Dollar   398,445   Japanese Yen   31,518,000   JPMorgan Chase & Co.   11/13/13     74,673  
U.S. Dollar   231,051   Euro   180,987   JPMorgan Chase & Co.   11/20/13     (7,681 )
U.S. Dollar   885,202   Japanese Yen   71,438,000   JPMorgan Chase & Co.   11/20/13     151,290  
U.S. Dollar   746,640   Euro   572,000   JPMorgan Chase & Co.   12/13/13     (8,021 )
Malaysian Ringgit   334,000   U.S. Dollar   108,848   JPMorgan Chase & Co.   01/16/14     (561 )
U.S. Dollar   7,152,876   Japanese Yen   633,340,000   JPMorgan Chase & Co.   01/17/14     642,203  
Chilean Unidad de Fomento   124,780,000   U.S. Dollar   253,618   JPMorgan Chase & Co.   01/30/14     2,033  
Malaysian Ringgit   2,115,000   U.S. Dollar   680,940   JPMorgan Chase & Co.   01/30/14     4,309  
Malaysian Ringgit   3,515,000   U.S. Dollar   1,116,405   JPMorgan Chase & Co.   02/04/14     22,118  
U.S. Dollar   4,444,226   Japanese Yen   413,149,000   JPMorgan Chase & Co.   02/12/14     195,890  
U.S. Dollar   2,962,819   Japanese Yen   274,200,000   JPMorgan Chase & Co.   02/13/14     143,239  
U.S. Dollar   2,962,783   Japanese Yen   274,330,000   JPMorgan Chase & Co.   02/18/14     141,713  
U.S. Dollar   416,438   Japanese Yen   38,760,000   JPMorgan Chase & Co.   02/18/14     17,850  
U.S. Dollar   2,130,080   Euro   1,593,000   JPMorgan Chase & Co.   02/19/14     27,029  
U.S. Dollar   2,127,945   Euro   1,593,000   JPMorgan Chase & Co.   02/19/14     24,895  
Chilean Unidad de Fomento   91,400,000   U.S. Dollar   185,772   JPMorgan Chase & Co.   02/21/14     1,049  
Chilean Unidad de Fomento   1,619,200,000   U.S. Dollar   3,284,714   JPMorgan Chase & Co.   02/24/14     23,860  
Chinese Yuan   246,800,000   U.S. Dollar   40,000,000   JPMorgan Chase & Co.   02/24/14     (378,879 )
U.S. Dollar   39,268,099   Chinese Yuan   246,800,000   JPMorgan Chase & Co.   02/24/14     (353,022 )
U.S. Dollar   553,383   Japanese Yen   51,300,000   JPMorgan Chase & Co.   02/25/14     25,800  
Chilean Unidad de Fomento   62,400,000   U.S. Dollar   126,150   JPMorgan Chase & Co.   02/28/14     1,300  
U.S. Dollar   597,123   Japanese Yen   54,300,000   JPMorgan Chase & Co.   03/03/14     38,650  
Chinese Yuan   123,100,000   U.S. Dollar   20,000,000   JPMorgan Chase & Co.   03/07/14     (239,929 )
128
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
 

 

                        Unrealized  
                  Settlement   Appreciation/  
Currency Purchased   Currency Sold   Counterparty Date   (Depreciation)  
Chinese Yuan   245,600,000   U.S. Dollar   40,000,000   JPMorgan Chase & Co.   03/10/14   $ (577,437 )
U.S. Dollar   39,083,386   Chinese Yuan   245,600,000   JPMorgan Chase & Co.   03/10/14     (339,177 )
Singapore Dollar   2,807,550   U.S. Dollar   2,246,040   JPMorgan Chase & Co.   03/13/14     34,363  
Chinese Yuan   125,200,000   U.S. Dollar   20,000,000   JPMorgan Chase & Co.   03/17/14     95,012  
U.S. Dollar   19,608,457   Chinese Yuan   125,200,000   JPMorgan Chase & Co.   03/17/14     (486,555 )
Hungary Forint   265,221,440   Euro   840,729   JPMorgan Chase & Co.   03/19/14     30,029  
Hungary Forint   443,723,000   Euro   1,401,216   JPMorgan Chase & Co.   03/20/14     57,182  
Chilean Unidad de Fomento   92,200,000   U.S. Dollar   186,451   JPMorgan Chase & Co.   03/21/14     1,443  
Hungary Forint   441,341,000   Euro   1,401,216   JPMorgan Chase & Co.   03/21/14     46,822  
Chinese Yuan   92,100,000   U.S. Dollar   15,000,000   JPMorgan Chase & Co.   04/14/14     (222,076 )
Chinese Yuan   122,800,000   U.S. Dollar   20,000,000   JPMorgan Chase & Co.   04/21/14     (297,578 )
U.S. Dollar   265,976   Euro   203,185   JPMorgan Chase & Co.   04/22/14     (2,423 )
Chilean Unidad de Fomento   604,651,000   U.S. Dollar   1,217,214   JPMorgan Chase & Co.   04/28/14     10,033  
Hong Kong Dollar   386,050,000   U.S. Dollar   50,000,000   JPMorgan Chase & Co.   09/22/14     (174,657 )
U.S. Dollar   207,246   Euro   157,000   Morgan Stanley   05/07/13     476  
Chilean Unidad de Fomento   101,400,000   U.S. Dollar   198,376   Morgan Stanley   05/13/13     16,493  
Polish Zloty   4,031,000   Euro   895,579   Morgan Stanley   05/24/13     93,736  
U.S. Dollar   853,110   Euro   686,000   Morgan Stanley   06/04/13     (50,528 )
Swedish Krona   13,535,982   Euro   1,553,360   Morgan Stanley   07/16/13     38,111  
Swedish Krona   3,168,850   Euro   363,650   Morgan Stanley   07/16/13     8,922  
Swedish Krona   19,932,831   Euro   2,309,741   Morgan Stanley   07/22/13     26,188  
Chilean Unidad de Fomento   170,020,000   U.S. Dollar   352,629   Morgan Stanley   08/01/13     3,604  
Singapore Dollar   5,152,240   U.S. Dollar   4,141,672   Morgan Stanley   08/01/13     41,641  
Australian Dollar   4,488,527   U.S. Dollar   4,590,012   Morgan Stanley   08/09/13     28,325  
U.S. Dollar   513,533   Euro   403,000   Morgan Stanley   08/15/13     (17,610 )
Chilean Unidad de Fomento   84,970,000   U.S. Dollar   175,395   Morgan Stanley   08/22/13     2,177  
U.S. Dollar   10,231,678   Japanese Yen   807,305,000   Morgan Stanley   11/13/13     1,938,542  
U.S. Dollar   514,158   Euro   403,000   Morgan Stanley   11/15/13     (17,396 )
U.S. Dollar   730,674   Japanese Yen   57,800,000   Morgan Stanley   11/15/13     136,904  
Chilean Unidad de Fomento   198,700,000   U.S. Dollar   403,739   Morgan Stanley   01/13/14     4,158  
Chilean Unidad de Fomento   224,290,000   U.S. Dollar   453,707   Morgan Stanley   02/14/14     5,084  
Chilean Unidad de Fomento   110,250,000   U.S. Dollar   223,020   Morgan Stanley   02/24/14     2,258  
Chilean Unidad de Fomento   234,800,000   U.S. Dollar   474,679   Morgan Stanley   02/26/14     4,994  
Chilean Unidad de Fomento   99,000,000   U.S. Dollar   200,000   Morgan Stanley   03/10/14     1,988  
U.S. Dollar   1,066,308   Euro   816,000   Morgan Stanley   03/10/14     (11,156 )
U.S. Dollar   2,078,085   Japanese Yen   198,800,000   Morgan Stanley   03/19/14     33,080  
Chilean Unidad de Fomento   1,065,040,000   U.S. Dollar   2,177,328   Morgan Stanley   04/14/14     (12,434 )
Chilean Unidad de Fomento   954,280,000   U.S. Dollar   1,937,428   Morgan Stanley   04/21/14     883  
Norwegian Krone   7,600,000   U.S. Dollar   1,381,341   UBS AG   05/02/13     (63,488 )
129
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
 

 

                      Unrealized  
                    Settlement   Appreciation/  
Currency Purchased   Currency Sold   Counterparty   Date   (Depreciation)  
U.S. Dollar   1,287,416   Norwegian Krone   7,600,000   UBS AG   05/02/13   $ (30,438 )
U.S. Dollar   15,000,001   Euro   10,963,630   UBS AG   05/06/13     560,873  
U.S. Dollar   17,217,033   Japanese Yen   1,605,540,000   UBS AG   05/07/13     746,849  
U.S. Dollar   101,808   Euro   78,000   UBS AG   05/10/13     (921 )
U.S. Dollar   632,569   Japanese Yen   50,022,000   UBS AG   05/13/13     119,411  
Norwegian Krone   167,925,000   U.S. Dollar   30,405,773   UBS AG   05/14/13     (1,301,085 )
Australian Dollar   663,000   U.S. Dollar   674,536   UBS AG   05/20/13     11,691  
U.S. Dollar   20,000,001   United Kingdom Pound   12,974,880   UBS AG   05/21/13     (151,565 )
United Kingdom Pound   6,487,440   U.S. Dollar   9,843,393   UBS AG   05/21/13     232,390  
U.S. Dollar   15,000,000   United Kingdom Pound   9,814,313   UBS AG   05/22/13     (242,714 )
Norwegian Krone   13,058,000   Euro   1,763,999   UBS AG   05/23/13     (61,048 )
Australian Dollar   14,482,749   U.S. Dollar   14,817,300   UBS AG   05/28/13     163,183  
U.S. Dollar   19,976,913   Australian Dollar   19,288,879   UBS AG   05/28/13     25,126  
U.S. Dollar   13,193,824   Japanese Yen   1,229,499,500   UBS AG   05/28/13     579,875  
Norwegian Krone   4,080,000   Euro   549,828   UBS AG   06/03/13     (17,667 )
U.S. Dollar   20,363,236   South African Rand   185,000,000   UBS AG   06/04/13     (153,262 )
Swedish Krona   66,042,000   U.S. Dollar   10,393,562   UBS AG   06/11/13     (213,246 )
U.S. Dollar   8,487,167   Japanese Yen   815,812,000   UBS AG   06/14/13     116,628  
Malaysian Ringgit   171,210,010   U.S. Dollar   54,733,783   UBS AG   06/17/13     1,393,654  
Swedish Krona   20,866,000   Euro   2,330,251   UBS AG   06/28/13     145,201  
U.S. Dollar   2,317,680   Euro   1,850,000   UBS AG   06/28/13     (119,653 )
U.S. Dollar   10,000,000   Japanese Yen   988,610,000   UBS AG   07/10/13     (145,103 )
Russian Ruble   148,800,000   U.S. Dollar   4,752,475   UBS AG   07/12/13     (33,740 )
U.S. Dollar   22,357,158   Euro   17,027,927   UBS AG   07/15/13     (79,680 )
Swedish Krona   15,299,180   Euro   1,756,407   UBS AG   07/16/13     42,145  
Swedish Krona   15,274,510   Euro   1,753,635   UBS AG   07/16/13     41,998  
U.S. Dollar   30,122,057   Euro   23,100,000   UBS AG   07/19/13     (316,576 )
U.S. Dollar   19,743,469   Chinese Yuan   126,220,000   UBS AG   07/29/13     (563,827 )
U.S. Dollar   3,662,861   Euro   2,976,000   UBS AG   08/01/13     (258,983 )
U.S. Dollar   10,000,000   Japanese Yen   978,265,000   UBS AG   08/01/13     (40,454 )
U.S. Dollar   1,880,485   Japanese Yen   148,060,000   UBS AG   08/20/13     360,635  
Norwegian Krone   10,525,000   Euro   1,411,009   UBS AG   08/23/13     (42,532 )
Norwegian Krone   10,525,000   Euro   1,411,047   UBS AG   08/23/13     (42,582 )
U.S. Dollar   2,096,498   Euro   1,675,590   UBS AG   08/26/13     (112,078 )
U.S. Dollar   2,109,887   Japanese Yen   166,449,000   UBS AG   08/26/13     401,189  
U.S. Dollar   764,488   Euro   590,886   UBS AG   09/17/13     (14,490 )
Norwegian Krone   4,194,700   Euro   562,632   UBS AG   11/08/13     (19,669 )
U.S. Dollar   403,772   Japanese Yen   31,954,500   UBS AG   11/15/13     75,508  
U.S. Dollar   706,742   Japanese Yen   57,068,000   UBS AG   11/20/13     120,459  
U.S. Dollar   519,212   Euro   395,500   UBS AG   12/09/13     (2,566 )
U.S. Dollar   2,280,240   Euro   1,741,000   UBS AG   01/13/14     (17,394 )
U.S. Dollar   600,603   Japanese Yen   52,560,000   UBS AG   01/14/14     60,309  
U.S. Dollar   300,979   Japanese Yen   26,280,000   UBS AG   01/14/14     30,832  
U.S. Dollar   803,539   Japanese Yen   71,290,000   UBS AG   01/16/14     70,693  
U.S. Dollar   638,585   Japanese Yen   56,700,000   UBS AG   01/16/14     55,721  
U.S. Dollar   1,839,492   Japanese Yen   162,280,000   UBS AG   01/27/14     171,088  
U.S. Dollar   2,947,484   Euro   2,177,000   UBS AG   02/10/14     73,693  
130
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
 

 

                        Unrealized  
                    Settlement   Appreciation/  
Currency Purchased   Currency Sold   Counterparty   Date   (Depreciation)  
U.S. Dollar   2,447,872   Euro   1,825,000   UBS AG   02/13/14   $ 38,677  
U.S. Dollar   659,197   Japanese Yen   60,600,000   UBS AG   03/04/14     35,922  
U.S. Dollar   14,251,671   Chinese Yuan   92,100,000   UBS AG   04/14/14     (526,252 )
                        $ 9,832,174  

 

C. Swap Agreements. The Funds entered into swap agreements, which are agreements involving two parties to exchange the return generated by a security, currency, commodity, interest rate, index, or other measures for the return generated by another instrument, for example, the agreement to pay interest in exchange for a market-linked return based on a notional amount. The Funds entered into total return, interest rate and other swap agreements. Interest rate swap agreements generally involve the agreement by the Funds to pay a counterparty a fixed or floating rate on a fixed notional amount and to receive a fixed or floating rate on a fixed notional amount, but may also involve the agreement to pay or receive payments derived from changes in interest rates. Periodic payments are generally made during the life of the swap agreement according to the terms and conditions of the agreement and at termination or maturity. Total return swap agreements involve the commitments to pay or receive an amount generally determined by reference to a security, index or other measure in exchange for a specific market linked return, based on notional amounts. To the extent that the total return of the security, index or other measure underlying the transaction exceeds or falls short of the offsetting interest rate-based obligation, the Funds receive or make a payment to the counterparty. Payments received or made by a Fund at the expiration or other termination of the swap agreements are recorded in the Statements of Operations as realized gains or losses, respectively. Swap agreements are marked-to-market daily based on dealer-supplied valuations, and changes in value, including the periodic amounts of interest to be paid or received on swaps, are recorded as unrealized appreciation/(depreciation). Risks may exceed amounts recognized on the Statements of Assets and Liabilities. These risks include changes in the returns of the underlying instruments, failure of the counterparties to perform under the contracts’ terms and the possible lack of liquidity with respect to the swap agreements. Details of swap agreements open at period end are included in the Portfolios of Investments under the caption “Swap Agreements”.

 

D. Options . The Funds purchased and wrote (sold) put and call options on equity securities and stock index futures in order to gain exposure to or to protect against changes in the market.

 

Options on swaps (swaptions) are similar to options on securities except that instead of selling or purchasing the right to buy or sell a security, the writer or purchaser of the swaption is granting or buying the right to enter into a previously agreed upon swap agreement at any time before the expiration of the option.

 

A call option gives the purchaser of the option the right (but not the obligation) to buy, and obligates the seller to sell (when the option is exercised), the underlying instrument at the exercise price at any time or at a specified time during the option period. A put option gives the holder the right to sell and obligates the writer to buy the underlying instrument at the exercise price at any time or at a specified time during the option period. When a Fund purchases (writes) an option, an amount equal to the premium paid (received) by a Fund is reflected as an asset (liability). The amount of the asset (liability) is subsequently marked-to-market to reflect the current market value of the option purchased (written). When an instrument is purchased or sold through an exercise of an option, the related premium paid (or received) is added to (or deducted from) the basis of the instrument acquired or deducted from (or added to) the proceeds of the instrument sold. When an option expires (or a Fund enters into a closing transaction), a Fund realizes a gain or loss on the option to the extent of the premiums received or paid (or gain or loss to the extent the cost of the closing transaction exceeds the premium received or paid). When a Fund writes a call option, such option is “covered,” meaning that a Fund holds the underlying instrument subject to being called by the option counterparty, or cash in an amount sufficient to cover the obligation. When a Fund writes a put option, such option is covered by cash in an amount sufficient to cover the obligation.

 

In purchasing and writing options, a Fund bears certain risks, including the market risk of an unfavorable change in the price of the underlying instrument or the risk that a Fund may not be able to enter into a closing transaction due to an illiquid market. Exercise of a written option could result in a Fund purchasing or selling a security at a price different from the current market value.

131
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
   

 

A Fund may execute transactions in both listed and over-the-counter options. Listed options involve minimal counterparty risk since listed options are guaranteed against default by the exchange on which they trade. Transactions in certain over-the-counter options may expose a Fund to the risk of default by the counterparty to the transaction. In the event of default by the counterparty to the over-the-counter option transaction, a Fund’s maximum amount of loss is the premium paid (as purchaser) or the unrealized gain of the contract (as writer).

 

A summary of the Global Opportunities Fund written option transactions for the year is as follows:

 

    Number of
Options
Contracts
    Premiums
Received
 
Contracts outstanding at October 31, 2012   177,040     $ 108,897,117  
Options written   242,093       111,307,269  
Options terminated in closing purchase transactions   (95,446 )     (66,254,329 )
Options exercised   (69,065 )     (32,631,162 )
Options expired   (7,965 )     (6,616,531 )
Contracts outstanding at April 30, 2013   246,657     $ 114,702,364  

 

A summary of the Real Return Fund written option transactions for the year is as follows:

 

    Number of
Options
Contracts
    Premiums
Received
 
Contracts outstanding at October 31, 2012   13,640     $ 16,989,165  
Options written   18,235       64,918,975  
Options terminated in closing purchase transactions   (20,175 )     (64,565,440 )
Options exercised          
Options expired   (6,900 )     (2,266,650 )
Contracts outstanding at April 30, 2013   4,800     $ 15,076,050  

 

The Global Opportunities Fund invests in structured options to increase or decrease its exposure to an underlying index or group of securities (equity risk). These structured options may consist of single or multiple OTC options which are priced as a single security. Structured options may only be exercised at the expiration date, but may be transferred/sold prior to the expiration date. The value of a structured option may either increase or decrease with the underlying index or group of securities, depending on the combination of options used. Structured options are issued in units whereby each unit represents a structure based on a specific index with an initial reference strike price. One type of structure involves the combination of selling a put while buying a call on a specific index. This option would rise in value as the underlying index increases and fall in value as the underlying index decreases. Alternatively, another structure involves the sale of a call and the purchase of a put. This option structure would rise in value as the underlying index decreases and fall in value as the underlying index increases. Upon the exercise of the structured option, the Fund will receive a payment from, or be required to remit a payment to the counterparty, depending on the value of the underlying index at exercise.

 

7. Investment Advisory Fee, Administration Fee and Other Transactions:

 

A. Investment Advisory Fees . The Funds’ investment adviser is BIM, a wholly-owned subsidiary of Bessemer Trust Company, N.A. (“Bessemer”). Bessemer is a subsidiary of The Bessemer Group, Incorporated (“BGI”). The investment advisory fee paid to BIM for advisory services is computed daily and paid monthly in accordance with the following schedule:

 

    First $500 million of
average net assets
  Next $500 million
to $1 billion of
average net assets
  Average net assets
exceeding $1 billion
Large Cap Core Fund   0.70%   0.65%   0.60%
Fixed Income Fund   0.45%   0.40%   0.35%
Municipal Bond Fund   0.45%   0.40%   0.35%

 

  Average net assets
Global Small & Mid Cap Fund 0.85%
132
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
   

 

  Average net assets
Real Return Fund 0.85%

 

    First $1.25 billion of
average net assets
  Next $1.25 billion
to $2.5 billion of
average net assets
  Average net assets
exceeding $2.5 billion
Large Cap Strategies Fund   0.90 %   0.85 %   0.80 %
Global Opportunities Fund   1.10 %   1.05 %   1.00 %

 

BIM has retained Oldfield Partners LLP (“Oldfield”) and Sands Capital Management, LLC (“Sands”) as sub-advisers to each manage a segment of the Large Cap Strategies Fund. Oldfield and Sands are paid for their services directly by BIM.

 

BIM has retained Dimensional Fund Advisors LP (“Dimensional”), Champlain Investment Partners, LLC (“Champlain”) and Mondrian Investment Partners Limited (“Mondrian”) as sub-advisers to each manage segments of the Global Small & Mid Cap Fund. Dimensional, Champlain and Mondrian are paid for their services directly by BIM.

 

BIM has retained Franklin Advisers, Inc. (“Franklin”), Shenkman Capital Management, Inc. (“SCM”) and BlackRock Financial Management, Inc. (“BlackRock”) as sub-advisers to each manage a segment of the Global Opportunities Fund. Franklin, SCM and BlackRock are paid for their services directly by BIM.

 

B. Administration, Fund Accounting, Transfer Agent and Underwriting Fees. The Corporation, on behalf of each Fund, has entered into an administrative oversight, supervision and coordination services agreement (the “Administrative Agreement”) with Bessemer, pursuant to which Bessemer and Bessemer Trust Company (“BTCO”), an affiliate of BIM, provide certain non-advisory services to the Funds, such as the maintenance of records, the provision of supervisory personnel and the monitoring of the other non-advisory service providers. Under the Administrative Agreement, each Fund pays an annual fee of 0.03% of its average daily net assets for such services. BNY Mellon Investment Servicing (US) Inc. (“BNY Mellon”) acts as administrator, fund accounting agent and transfer agent for the Funds pursuant to an Administration and Accounting Services Agreement and a Transfer Agency Services Agreement, respectively. Certain officers of the Funds are also employees of BNY Mellon.

 

The Corporation entered into an Underwriting Agreement with Foreside Funds Distributors LLC for the limited purpose of acting as statutory underwriter to facilitate the registration and distribution of shares of the Funds.

 

C. Distribution and Shareholder Servicing Fees. The Funds have adopted a shareholder servicing plan (the “Shareholder Servicing Plan”) with Bessemer, pursuant to which Bessemer serves as a shareholder servicing agent and provides certain shareholder support services. Bessemer may engage shareholder sub-servicing agents, such as broker/dealers, banks, trust companies, investment advisers, and other financial institutions and intermediaries to provide certain shareholder support services and is solely responsible for paying each such shareholder sub-servicing agent from the fee it receives from each of the Funds. Each Fund pays for shareholder support services an annual fee of 0.20% of its average daily net assets; however, with respect to the Fixed Income Fund and the Municipal Bond Fund, Bessemer has contractually committed to waive its shareholder servicing fee to the extent necessary to maintain a maximum shareholder servicing fee at 0.10% through October 31, 2014. The shareholder servicing fee commitment arrangements may be changed or terminated at any time with the approval of the Board. For the six months ended April 30, 2013, Bessemer waived shareholder servicing fees in the amount of $247,248 with respect to the Fixed Income Fund and $569,238 with respect to the Municipal Bond Fund.

 

D. Custody Fees. The Large Cap Core Fund, Large Cap Strategies Fund, Fixed Income Fund and Municipal Bond Fund have each retained BTCO, a wholly-owned subsidiary of BGI, to serve as their custodian and the Real Return Fund, the Subsidiary and the Global Small & Mid Cap Fund have retained BTCO to serve as their co-custodian. Pursuant to the Funds’ Custody Agreements, BTCO is responsible for maintaining the custody of these Funds securities and cash, except for the Real Return Fund and the Subsidiary for which BTCO is only responsible for the collectible coins or bullions or other forms of precious metals held by the Real Return Fund and the Subsidiary. BTCO serves as custodian for the Global Small & Mid Cap Fund only with respect to equity securities of U.S. companies (other than exchange-traded funds) and securities in the form of depositary receipts directly managed by BIM, income, other payments and distributions issued with respect to such securities, proceeds of the sale of such securities, and cash, cash equivalents and money market instruments received and held by BTCO from time to time on behalf of the Global Small & Mid Cap Fund. For providing these services, BTCO receives a fee calculated and paid monthly at the annual rate of 0.075% of the average daily net assets of the non-U.S. investments and 0.015% of the average daily net assets of the U.S. investments of Large Cap Strategies Fund and 0.015% of the average daily net assets of each of the Large Cap Core Fund, Fixed Income Fund and Municipal Bond Fund or portion thereof for the Global Small & Mid Cap Fund. BTCO receives a fee of 0.10% of the average daily net assets of the portion of the Real Return Fund for which BTCO serves

133
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Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
   

 

as custodian. In addition, BTCO receives from the Real Return Fund and the Subsidiary any transaction costs, such as charges for moving them to auctions and shipping/vault charges, related to the Real Return Fund’s and the Subsidiary’s investments in collectible coins or bullions or other forms of precious metals. The Global Opportunities Fund has retained Citibank, N.A. (“Citibank”) to serve as its custodian and the Global Small & Mid Cap Fund, Real Return Fund and the Subsidiary have retained Citibank to serve as their co-custodian. Citibank is responsible for maintaining the custody of these Funds’ securities and cash, excluding collectible coins or bullions or other forms of precious metals held by the Real Return Fund and the Subsidiary, and assets of the Global Small & Mid Cap Fund managed by the sub-advisers. For providing these services, Citibank receives a fee from each Fund calculated daily and paid monthly based on safekeeping and transaction fees that vary by country.

 

E. Fee Waivers. BIM may voluntarily waive a portion of its advisory fee to limit the Funds’ total expenses. BIM may terminate this voluntary waiver at any time. BIM, however, does not have the ability to recapture fees currently being waived at a later date. BIM has contractually committed through October 31, 2014 to waive its advisory fees to the extent necessary to maintain the net operating expense ratios, excluding fund transaction costs, investment interest expense, dividend expenses associated with securities sold short and acquired fund fees and expenses, if any, of the Large Cap Core Fund at 1.00%, the Large Cap Strategies Fund at 1.15% the Global Small & Mid Cap Fund at 1.11%, the Global Opportunities Fund at 1.20%, the Real Return Fund at 1.10%, the Fixed Income Fund at 0.70% and the Municipal Bond Fund at 0.70%. Any waiver amounts are disclosed in the Statements of Operations. For the six months ended April 30, 2013, BIM waived $97,723 for the Large Cap Core Fund, $60,606 for the Large Cap Strategies Fund, $1,185,681 for the Global Small & Mid Cap Fund, $4,198,811 for the Global Opportunities Fund and $500,227 for the Real Return Fund. The Fixed Income Fund and Municipal Bond Fund had shareholder servicing fee waivers of $247,248, and $569,238, respectively. The contractual advisory fee waivers and the shareholder servicing fee waivers may be changed or terminated at any time with the approval of the Board.

 

F. Board of Directors’ Fees. Each Director who is not an “interested person” of the Corporation (as that term is defined under the 1940 Act) (each, an “Independent Director”) receives from the Funds a total annual retainer of $95,000 (plus $50,000 for serving as the Board’s Chairperson, $10,000 as the Board’s Vice Chairperson, $20,000 as the Audit Committee Chairperson, $15,000 as a member of the Pricing Committee, $10,000 as the Risk Management Liaison and $10,000 each as the Nominating Committee Chairperson and the Governance Committee Chairperson) and receives for attendance at Board and committee meetings the following:

 

    Noticed to be
In-Person
(whether participating
by phone or in-person)
  Noticed to be
telephonic
 
Regular Board Meeting     $ 9,000       $ 4,500    
Special Board Meeting       6,000         3,000    
Audit Committee Meeting       5,000         2,500    
Nominating Committee Meeting       5,000         2,500    
Governance Committee Meeting       5,000         2,500    

 

Each Independent Director is reimbursed for all out-of-pocket expenses relating to attendance at meetings of the Board and any Board committee. Directors who are not Independent Directors, officers or employees of BIM and BNY Mellon do not receive compensation from the Funds. Fees paid are allocated to the Funds on a pro rata basis based on net assets.

 

G. Interest Expense. When cash balances are overdrawn, the Funds are charged by BTCO an overdraft fee equal to 2.25% above the federal funds rate on outstanding balances. Citibank, N.A. charges 2.00% above the London InterBank Offered Rate for any overdrawn cash balances. These amounts, if any, are included in “interest expense” in the Statements of Operations when such expenses are incurred.

134
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
   

 

8. Securities Transactions:

 

Investment transactions for the six months ended April 30, 2013, excluding short-term investments and U.S. Government securities, were as follows:

 

    Purchases     Sales  
Large Cap Core Fund   $ 253,677,344     $ 198,069,638  
Large Cap Strategies Fund     2,567,966,735       923,418,230  
Global Small & Mid Cap Fund     587,872,794       863,859,207  
Global Opportunities Fund     9,761,970,268       2,348,703,397  
Real Return Fund (Consolidated)     417,534,112       708,546,797  
Fixed Income Fund     111,262,813       59,688,166  
Municipal Bond Fund     353,672,969       230,671,314  

 

Purchase and sales of U. S. Government Securities, excluding those with maturity of one year or less during the six months ended April 30, 2013, were as follows:

 

    Purchases     Sales  
Real Return Fund (Consolidated)   $     $ 310,289,382  
Fixed Income Fund     149,069,794       205,307,864  

 

9. Federal Income Taxes:

 

It is the policy of each Fund to qualify as a regulated investment company by complying with the provisions available to certain investment companies as defined in Subchapter M of the Internal Revenue Code of 1986, as amended (the “Code”), and to make distributions from net investment income and net realized capital gains sufficient to relieve it from all, or substantially all, federal income taxes. Federal income tax regulations differ from accounting principles generally accepted in the U.S.; therefore, distributions determined in accordance with tax regulations may differ in amount or character from net investment income and realized gains for financial reporting purposes.

 

By investing in the Subsidiary, the Real Return Fund will gain exposure to commodities and commodity-linked instruments within the limits of Subchapter M of the Code. Subchapter M requires, among other things, that a fund derive at least 90% of gross income from dividends, interest, and gains from the sale of securities (typically referred to as “qualifying income”). The IRS has issued a private letter ruling to the Real Return Fund confirming that Subpart F income derived from its investment in the Subsidiary, which invests in commodities and commodity-linked instruments, will constitute “qualifying income” under Subchapter M of the Code. Based on such ruling, the Real Return Fund will seek to get exposure to commodities and commodity-linked instruments through investments in the Subsidiary.

 

The Funds may be subject to taxes imposed by other countries in which they invest. Such taxes are generally based on income earned as well as capital gains realized. These taxes are accrued and applied to net investment income, net realized gains and net unrealized appreciation, as applicable, as such income and/or gains are earned.

 

In addition to the requirements of the Code, the Funds may also be subject to capital gains tax in India and Thailand on gains realized upon the sale of India and Thailand securities, payable upon repatriation of sales proceeds. The Funds may accrue a deferred tax liability for unrealized gains on India and Thailand securities based on existing tax rates and holding periods of the securities. As of April 30, 2013, the Large Cap Strategies Fund, the Global Small & Mid Cap Fund and the Global Opportunities Fund recorded liabilities of $245,124, $57,836 and $821,583, respectively, in the Statements of Assets and Liabilities as an estimate for potential future India and Thailand capital gain taxes.

135
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
   

 

The tax character of distributions from the Funds during the year ended October 31, 2012 was as follows (amounts in thousands):

 

    Large Cap
Core Fund
  Large Cap Strategies
Fund
  Global
Small & Mid Cap
Fund
  Global
Opportunities
Fund
  Real
Return
Fund
  Fixed
Income
Fund
  Municipal
Bond
Fund
 
Distributions paid from:                                                                        
Ordinary Income     $ 1,799       $ 39,493       $ 31,191       $ 219,142       $ 6,986       $ 11,786       $ 10    
Net Long Term Capital Gains                       218,243                         9,169         2,446    
Total Taxable Distributions       1,799         39,493         249,434         219,142         6,986         20,955         2,456    
Tax Exempt Distributions                                                       15,853    
Total Distributions Paid     $ 1,799       $ 39,493       $ 249,434       $ 219,142       $ 6,986       $ 20,955       $ 18,309    

 

The difference in classification between the amounts reflected above and the Statements of Changes in Net Assets is primarily due to short-term capital gain distributions.

 

As of and during the period ended April 30, 2013, the Funds did not have any liabilities for any uncertain tax positions. The Funds recognize interest and penalties, if any, related to unrecognized tax positions as income tax expense in the Statements of Operations. During the period, the Funds did not incur any interest or penalties. The statute of limitation on each Fund’s U.S. federal income tax returns remains open for each of the four years ended October 31, 2013. The statutes of limitations on each Fund’s state and local tax returns may remain open for an additional year depending upon the jurisdiction.

 

At October 31, 2012, the following Funds had capital loss carryforwards for federal income tax purposes, which will expire on the following date:

 

    October 31,
2017
 
Large Cap Core Fund   $ 56,108,735  
Large Cap Strategies Fund     387,157,678  
Global Opportunities Fund     201,818,046  
Real Return Fund*     245,786,188  

 

The capital loss carryforward will reduce the applicable Fund’s taxable income arising from future net realized gains on investments, if any, to the extent permitted by the Code, and thus will reduce the amount of the distributions to shareholders which would otherwise be necessary to relieve the Funds of any liability for federal tax.

 

* As of October 31, 2012, the Real Return Fund had a short-term and long-term capital loss carryforward of $40,756,011 and $81,990,660, respectively, available to offset future realized capital gains in accordance with the Regulated Investment Company Modernization Act of 2010. These capital loss carryforwards are not subject to expiration and must first be utilized to offset future realized gains of the same character and must be utilized prior to the utilization of the loss carryforwards subject to expiration that are described above.

 

10. Commitments:

 

Global Opportunities Fund may invest in floating rate loan interests. In connection with these investments, Global Opportunities Fund may also enter into bridge loan commitments (“commitments”). Bridge loan commitments may obligate Global Opportunities Fund to furnish temporary financing to a borrower until permanent financing can be arranged. As of April 30, 2013, Global Opportunities Fund had outstanding bridge loan commitments of $5,706,875. In connection with these commitments, Global Opportunities Fund earns a commitment fee, typically set as a percentage of the commitment amount. Such fee income, which is included in interest income in the Statements of Operations, is recognized ratably over the commitment period.

136
Old Westbury Funds, Inc.  
Notes To Financial Statements - (Continued)  
  April 30, 2013 (Unaudited)
   
   

 

11. Subsequent Events:

 

Management has evaluated the impact of all subsequent events on the Funds and has determined that there were no subsequent events requiring recognition.

 

In June 2013, the Financial Accounting Standards Board (the “FASB”) issued guidance that creates a two-tiered approach to assess whether an entity is an investment company. The guidance will also require an investment company to measure noncontrolling ownership interests in other investment companies at fair value and will require additional disclosures relating to investment company status, any changes thereto and information about financial support provided or contractually required to be provided to any of the investment company’s investees. The guidance is effective for financial statements with fiscal years beginning on or after December 15, 2013 and interim periods within those fiscal years. Management is evaluating the impact of this guidance on the Funds’ financial statement disclosures.

137
Additional Information (unaudited)  
   
   
   
   

 

Information on Proxy Voting:

 

The Funds’ proxy voting guidelines, used to determine how to vote proxies relating to portfolio securities and information regarding how the Funds voted proxies relating to portfolio securities during the most recent 12-month period ended June 30 is available (i) without charge, upon request, by calling (800) 607-2200; and (ii) on the SEC’s website at http://www.sec.gov.

 

Information on Form N-Q:

 

The Funds provide a complete list of the Funds’ holdings four times in each fiscal year, at the quarter-ends. For the second and fourth quarters, the Schedule of Investments appear in the Funds semi-annual and annual reports to shareholders. For the first and third quarters, the Funds file the Schedule of Investments with the SEC on Form N-Q. Shareholders can obtain the Funds’ Form N-Q (i) without charge, upon request, by calling (800) 607-2200; and (ii) on the SEC’s website at http://www.sec.gov. The Fund’s N-Q may be reviewed or copied at the SEC Public Reference Room in Washington D.C. Information on the operation of the Public Reference Room may be obtained by calling (800) SEC-0330.

138

Investment Adviser:

Bessemer Investment Management LLC

630 Fifth Avenue

New York, NY 10111

(212) 708-9100

 

Distributor:

Foreside Funds Distributors LLC

400 Berwyn Park

899 Cassatt Road

Berwyn, PA 19312

 

Custodians:

Bessemer Trust Company

100 Woodbridge Center Drive

Woodbridge, NJ 07095

 

Citibank, N.A.

111 Wall Street
New York, NY 10005

 

Administrator:

BNY Mellon Investment Servicing (US) Inc.

760 Moore Road

King of Prussia, PA 19406

 

Transfer Agent:

BNY Mellon Investment Servicing (US) Inc.

760 Moore Road

King of Prussia, PA 19406

 

Independent Registered Public Accounting Firm:

Ernst & Young LLP

5 Times Square

New York, NY 10036

 

Mutual funds are not bank deposits or obligations, are not guaranteed by any bank, and are not insured or guaranteed by the U.S. government, the Federal Deposit Insurance Corporation, the Federal Reserve Board, or any other government agency. Investment in mutual funds involves investment risks, including possible loss of principal.

 

This report is authorized for distribution to prospective investors only when preceded or accompanied by the Funds’ prospectus which contains facts concerning the Funds’ objectives and policies, management fees, expenses and other information.

 

The information in this report is based on data obtained from recognized services and sources and is believed to be reliable. Any opinions, projections, or recommendations in this report are subject to change without notice and are not intended as individual investment advice. Furthermore, Bessemer Investment Management LLC and its affiliates, as agents for their clients, and any of its officers or employees may have a beneficial interest or position in any of the securities mentioned, which may be contrary to any opinion or projection expressed in this report.



 


 

 

 

 

 

 

 

 

 


 

Cusip 680414307

Cusip 680414604

Cusip 680414109

Cusip 680414406

Cusip 680414505

Cusip 680414703

Cusip 680414802

(A21-SAR2012)

(04/12)

 

Item 2. Code of Ethics.

 

Not applicable.

 

Item 3. Audit Committee Financial Expert.

 

Not applicable.

 

Item 4. Principal Accountant Fees and Services.

 

Not applicable.

 

Item 5. Audit Committee of Listed Registrants.

 

Not applicable.

 

Item 6. Investments.

 

(a) The Schedule of Investments in securities of unaffiliated issuers as of the close of reporting period for the Old Westbury Global Small & Mid Cap Fund is listed below. The Schedules of Investments in securities of unaffiliated issuers as of the close of the reporting period for the Old Westbury Large Cap Core Fund, Old Westbury Large Cap Strategies Fund, Old Westbury Global Opportunities Fund, Old Westbury Real Return Fund, Old Westbury Fixed Income Fund and Old Westbury Municipal Bond Fund are included as part of the report to shareholders filed under Item 1 of this form.

 

 
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments April 30, 2013
  (Unaudited)

 

Shares         Value  
COMMON STOCKS — 89.3%        
ARGENTINA — 0.0%        
  84,000     Arcos Dorados Holdings, Inc. - Class A   $ 1,144,080  
AUSTRALIA — 2.1%        
  134,164     ABM Resources NL(b)     4,451  
  13,412     Acrux Ltd.     56,173  
  154,673     Adelaide Brighton Ltd.     545,188  
  96,977     Aditya Birla Minerals Ltd.     34,182  
  69,555     AED Oil Ltd.(b)(c)(d)     0  
  34,185     Ainsworth Game Technology Ltd.     135,025  
  25,514     AJ Lucas Group Ltd.(b)     34,121  
  119,863     Alcyone Resources Ltd.(b)(c)(d)     994  
  54,720     Alkane Resources Ltd.(b)     31,200  
  44,977     Alliance Resources Ltd.(b)     7,227  
  155,725     ALS Ltd.     1,580,497  
  115,610     Altona Mining Ltd.(b)     21,573  
  946,258     Alumina Ltd.(b)     946,650  
  38,166     Amalgamated Holdings Ltd.     339,482  
  102,022     Amcom Telecommunications Ltd.     213,648  
  10,329     Ampella Mining Ltd.(b)     2,142  
  70,717     Ansell Ltd.     1,158,333  
  68,098     Antares Energy Ltd.(b)     26,474  
  38,601     APA Group     260,515  
  171,240     APN News & Media Ltd.     74,560  
  26,421     Aquarius Platinum Ltd.(b)     15,887  
  59,980     Aquila Resources Ltd.(b)     115,035  
  19,603     ARB Corp. Ltd.     264,191  
  31,564     Aristocrat Leisure Ltd.     128,926  
  556,970     Arrium Ltd.     490,799  
  74,907     ASG Group Ltd.     27,180  
  312,628     Atlas Iron Ltd.     270,624  
  58,802     Aurora Oil and Gas Ltd.(b)     185,928  
  100,464     Ausdrill Ltd.     157,789  
  26,143     Ausenco Ltd.     75,074  
  59,521     Austal Ltd.(b)     41,034  
  17,417     Austbrokers Holdings Ltd.     189,951  
  15,319     Austin Engineering Ltd.     80,994  
  114,408     Australian Agricultural Co. Ltd.(b)     138,770  
  859     Australian Education Trust REIT     1,340  
  256,656     Australian Infrastructure Fund     838,136  
  45,583     Australian Pharmaceutical Industries Ltd.     22,919  
  79,373     Automotive Holdings Group Ltd.     334,904  
  228,600     AWE Ltd.(b)     305,716  
  19,409     Bandanna Energy Ltd.(b)     2,716  
  79,793     Bank of Queensland Ltd.     829,695  
  107,928     Bannerman Resources Ltd.(b)     6,713  
  96,629     Bathurst Resources Ltd.(b)     17,030  
  21,519     BC Iron Ltd.     76,742  
  773,400     Beach Energy Ltd.     1,090,425  
  43,477     Beadell Resources Ltd.(b)     31,776  
  4,598     Bell Financial Group Ltd.     3,241  
Shares         Value  
AUSTRALIA (continued)        
  372,904     Bendigo and Adelaide Bank Ltd.   $ 4,275,677  
  100,434     Billabong International Ltd.(b)     49,457  
  22,861     Bionomics Ltd.(b)     9,006  
  2,485     Blackmores Ltd.     72,906  
  2,040     Blackthorn Resources Ltd.(b)     1,163  
  215,158     BlueScope Steel Ltd.(b)     1,104,118  
  158,551     Boom Logistics Ltd.(b)     34,518  
  379,695     Boral Ltd.     1,968,147  
  26,441     Bradken Ltd.     140,894  
  10,640     Bravura Solutions Ltd.(b)     2,261  
  10,942     Breville Group Ltd.     79,178  
  24,551     Brickworks Ltd.     324,767  
  17,627     BT Investment Management Ltd.     64,141  
  26,490     Cabcharge Australia Ltd.     131,269  
  154,604     Caltex Australia Ltd.     3,452,384  
  255,734     Cape Lambert Resources Ltd.(b)     39,768  
  25,142     Cardno Ltd.     169,681  
  490,458     Carnarvon Petroleum Ltd.(b)     25,423  
  68,742     carsales.com Ltd.     689,130  
  129,012     Cash Converters International Ltd.     188,583  
  9,437     Cedar Woods Properties Ltd.     54,200  
  355,160     Central Petroleum Ltd.(b)     44,183  
  189,000     Ceramic Fuel Cells Ltd.(b)     8,621  
  50,912     Chalice Gold Mines Ltd.     8,709  
  178,666     Challenger Ltd.     777,936  
  354,184     Citigold Corp. Ltd.(b)     19,828  
  102,039     Clough Ltd.     124,825  
  84,396     Coal of Africa Ltd.(b)     14,436  
  56,720     Coalspur Mines Ltd.(b)     26,755  
  3,559     Cochlear Ltd.     243,441  
  157,396     Cockatoo Coal Ltd.(b)     10,280  
  119,759     Coffey International Ltd.(b)     29,797  
  19,105,479     Commonwealth Property Office Fund REIT(d)     22,975,692  
  82,958     Cooper Energy Ltd.(b)     36,121  
  19,597     Credit Corp. Group Ltd.     180,611  
  136,841     Cromwell Property Group REIT     148,956  
  17,217     CSG Ltd.     13,030  
  226,536     CSR Ltd. - Placement Shares     476,745  
  4,990     Cudeco Ltd.(b)     19,503  
  220,336     Cue Energy Resources Ltd.(b)     30,837  
  58,899     Dart Energy Ltd.(b)     3,664  
  5,580     Data#3 Ltd.     6,710  
  118,091     David Jones Ltd.     364,826  
  47,635     Decmil Group Ltd.     92,100  
  232,983     Deep Yellow Ltd.(b)     8,937  
  7,518     Devine Ltd.     7,015  
  60,174     Discovery Metals Ltd.(b)(c)(d)     21,210  
  5,787     Domino’s Pizza Enterprises Ltd.     78,652  
  145,245     Downer EDI Ltd.     739,325  
  6,112     Dragon Mining Ltd.(b)     2,788  
  58,868     Drillsearch Energy Ltd.(b)     68,962  


1
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
AUSTRALIA (continued)        
  173,324     DUET Group   $ 442,025  
  142,448     DuluxGroup Ltd.     692,599  
  16,365     DWS Ltd.     25,788  
  308,112     Echo Entertainment Group Ltd.     1,156,298  
  224,451     Elders Ltd.(b)     18,615  
  303,779     Emeco Holdings Ltd.     144,867  
  52,026     Energy Resources of Australia Ltd.(b)     55,553  
  329,666     Energy World Corp. Ltd.(b)     109,365  
  297,730     Envestra Ltd.     324,089  
  26,509     Eservglobal Ltd.(b)     9,619  
  20,763     Euroz Ltd.     22,816  
  88,014     Evolution Mining Ltd.(b)     88,963  
  1,074,060     Fairfax Media Ltd.     723,760  
  3,195     Fantastic Holdings Ltd.     9,606  
  883,731     FAR Ltd.(b)     31,150  
  16,777     Finbar Group Ltd.     25,480  
  45,866     FKP Property Group     78,456  
  29,231     Fleetwood Corp. Ltd.     259,097  
  25,840     Flight Centre Ltd.     1,022,509  
  260,540     Flinders Mines Ltd.(b)     12,965  
  1,523,144     Focus Minerals Ltd.(b)     26,844  
  13,085     Forge Group Ltd.     78,407  
  9,551     G.U.D. Holdings Ltd.     72,182  
  2,973     G8 Education Ltd.     7,490  
  17,506     Galaxy Resources Ltd.(b)(c)     4,174  
  109,137     Gindalbie Metals Ltd.(b)     20,366  
  761,332     Goodman Fielder Ltd.(b)     611,686  
  95,093     GrainCorp Ltd. - Class A     1,263,832  
  140,887     Grange Resources Ltd.     24,099  
  63,776     Great Southern Ltd.(b)(c)(d)     0  
  55,852     Greenland Minerals & Energy Ltd.(b)     15,923  
  53,563     Gryphon Minerals Ltd.(b)     11,383  
  81,204     Gujarat NRE Coking Coal Ltd.(b)     14,732  
  180,274     Gunns Ltd.(b)(c)(d)     0  
  73,089     GWA Group Ltd.     196,248  
  241,775     Harvey Norman Holdings Ltd.     751,944  
  2,523     Hastie Group Ltd.(b)(c)(d)     0  
  48,619     HFA Holdings Ltd.     44,607  
  871,599     Hillgrove Resources Ltd.(b)     67,769  
  42,234     Hills Holdings Ltd.     48,162  
  234,388     Horizon Oil Ltd.(b)     98,411  
  123,936     iiNET Ltd.     792,748  
  14,388     Iluka Resources Ltd.     133,498  
  93,035     Imdex Ltd.     95,003  
  48,706     IMF Australia Ltd.     97,452  
  65,287     Independence Group NL     223,354  
  88,665     Indophil Resources NL(b)     24,359  
  72,251     Infigen Energy(b)     19,849  
  32,314     International Ferro Metals Ltd.(b)     5,019  
  89,852     Intrepid Mines Ltd.(b)     24,685  
  34,328     Invocare Ltd.     415,310  
  143,092     IOOF Holdings Ltd.     1,308,388  
Shares         Value  
AUSTRALIA (continued)        
  32,879     Iress Ltd.   $ 284,956  
  12,036     Iron Ore Holdings Ltd.(b)     10,169  
  679     Ivanhoe Australia Ltd.(b)     127  
  35,560     JB Hi-Fi Ltd.     589,840  
  69,350     Jupiter Mines Ltd.(b)     6,830  
  7,671     Kagara Ltd.(b)(c)(d)     954  
  312,325     Kangaroo Resources Ltd.(b)     9,066  
  32,234     Kingsgate Consolidated Ltd.     72,181  
  28,356     Kingsrose Mining Ltd.     16,756  
  79,680     Leyshon Resources Ltd.(b)     17,347  
  73,973     Linc Energy Ltd.(b)     147,240  
  51,812     Lonestar Resources Ltd.     8,594  
  2,322     Lycopodium Ltd.     12,325  
  20,132     M2 Telecommunications Group Ltd.     117,503  
  427,416     Macmahon Holdings Ltd.     79,758  
  38,335     Macquarie Atlas Roads Group     66,766  
  1,285     Macquarie Telecom Group Ltd.     11,190  
  35,929     Marengo Mining Ltd. - CDI(b)     3,054  
  16,698     McMillan Shakespeare Ltd.     264,163  
  41,936     McPherson’s Ltd.     96,515  
  48,410     Medusa Mining Ltd.     164,110  
  27,057     Melbourne IT Ltd.     61,149  
  121,131     Mermaid Marine Australia Ltd.     484,725  
  110,197     Metals X Ltd.(b)     13,138  
  394,109     Metcash Ltd.     1,671,061  
  90,921     Metgasco Ltd.(b)     5,938  
  76,920     Mincor Resources NL     52,232  
  31,113     Mineral Deposits Ltd.(b)     96,764  
  19,752     Mineral Resources Ltd.     199,650  
  158,007     Mirabela Nickel Ltd.(b)     22,933  
  46,130     Molopo Energy Ltd.(b)     14,347  
  731,690     Monadelphous Group Ltd.     15,876,290  
  59,782     Mortgage Choice Ltd.     127,670  
  221,546     Mount Gibson Iron Ltd.     113,690  
  98,679     Myer Holdings Ltd.     328,384  
  1,050     MyState Ltd.     4,866  
  79,446     Navitas Ltd.     445,576  
  66,974     Neon Energy Ltd.(b)     13,539  
  128,661     New Hope Corp. Ltd.     498,851  
  690,623     Nexus Energy Ltd.(b)     93,076  
  122,821     NIB Holdings Ltd.     299,222  
  252,567     Nido Petroleum Ltd.(b)     5,760  
  69,743     Noble Mineral Resources Ltd.(b)     3,181  
  35,908     Norfolk Group Ltd.     16,752  
  17,851     Northern Iron Ltd.(b)     5,829  
  102,310     Northern Star Resources Ltd.     71,594  
  123,430     NRW Holdings Ltd.     166,348  
  66,006     Nufarm Ltd.     287,399  
  14,318     Oakton Ltd.     18,703  
  122,869     OceanaGold Corp.(b)     265,874  
  9,121     OPUS Group Ltd.(b)     1,277  
  5,532     Orocobre Ltd.(b)     6,997  
  4,066     OrotonGroup Ltd.     29,591  
  121,855     Otto Energy Ltd.(b)     8,590  


2
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
AUSTRALIA (continued)        
  106,170     OZ Minerals Ltd.   $ 473,285  
  259,642     Pacific Brands Ltd.     231,487  
  299,559     Paladin Energy Ltd.(b)     234,467  
  229,815     PanAust Ltd.     552,738  
  104,488     Panoramic Resources Ltd.     31,955  
  175,903     PaperlinX Ltd.(b)     11,306  
  5,565     Patties Foods Ltd.     8,856  
  62,821     Peet Ltd.(b)     91,828  
  182,192     Perilya Ltd.(b)     28,332  
  3,388     Perpetual Ltd.     144,708  
  61,898     Perseus Mining Ltd.(b)     86,950  
  48,159     Platinum Asset Mangement Ltd.     252,128  
  67,411     Platinum Australia Ltd.(b)(d)     2,935  
  139,305     PMP Ltd.     35,382  
  40,384     Premier Investments Ltd.     362,141  
  6,047     Prima Biomed Ltd.(b)     533  
  179,210     Primary Health Care Ltd.     979,097  
  25,653     Prime Media Group Ltd.     29,254  
  117,452     PrimeAg Australia Ltd.     108,977  
  59,530     Programmed Maintenance Services Ltd.     148,732  
  450,196     Qantas Airways Ltd.(b)     886,764  
  156,786     Ramelius Resources Ltd.(b)     32,508  
  26,001     RCR Tomlinson Ltd.     60,919  
  17,371     REA Group Ltd.     560,244  
  30,974     Reckon Ltd.     79,956  
  17,274     Red 5 Ltd.(b)(c)     11,103  
  116,233     Red Fork Energy Ltd.(b)     83,144  
  21,888     Redflex Holdings Ltd.     23,826  
  8,531     Reece Australia Ltd.     205,448  
  33,462     Reed Resources Ltd.(b)     2,949  
  31,163     Regional Express Holdings Ltd.     36,991  
  56,462     Regis Resources Ltd.(b)     220,674  
  9,792     Reject Shop Ltd. (The)     180,491  
  417,250     Resolute Mining Ltd.     413,097  
  15,277     Resource and Investment NL(b)     1,584  
  85,881     Resource Generation Ltd.(b)     21,368  
  25,802     Retail Food Group Ltd.     106,461  
  25,608     Rialto Energy Ltd.(b)     1,513  
  123,127     Ridley Corp. Ltd.     108,499  
  195,967     Roc Oil Co. Ltd.(b)     92,437  
  442     Ruralco Holdings Ltd.     1,256  
  107,335     SAI Global Ltd.     392,798  
  9,571     Salmat Ltd.     20,142  
  130,273     Samson Oil & Gas Ltd.(b)     3,241  
  18,074     Sandfire Resources NL(b)     105,116  
  156,455     Saracen Mineral Holdings Ltd.(b)     23,519  
  30,149     Sedgman Ltd.     23,129  
  21,571     Seek Ltd.     250,014  
  199,708     Senex Energy Ltd.(b)     141,820  
  16,377     Servcorp Ltd.     60,951  
  90,368     Service Stream Ltd.     21,079  
  42,058     Seven Group Holdings Ltd.     405,058  
  4,832,889     Shopping Centres Australasia Property Group, REIT(b)     8,116,607  
Shares         Value  
AUSTRALIA (continued)        
  335,521     Sigma Pharmaceuticals Ltd.   $ 253,919  
  15,184     Silex Systems Ltd.(b)     42,816  
  73,169     Silver Lake Resources Ltd.(b)     79,647  
  9,054     Sirtex Medical Ltd.     91,047  
  36,651     Skilled Group Ltd.     108,289  
  12,616     Slater & Gordon Ltd.     35,182  
  25,349     SMS Management & Technology Ltd.     128,243  
  183,488     Southern Cross Media Group Ltd.     295,795  
  564,987     SP AusNet     735,080  
  439,626     Spark Infrastructure Group     815,810  
  10,795     Specialty Fashion Group Ltd.     13,094  
  353,356     St Barbara Ltd.(b)     219,794  
  29,533     Starpharma Holdings Ltd.(b)     29,851  
  114,859     Straits Resources Ltd.(b)     3,572  
  150,289     STW Communications Group Ltd.     225,916  
  61,546     Sundance Energy Australia Ltd.(b)     59,338  
  322,878     Sundance Resources Ltd.(b)     35,146  
  42,068     Sunland Group Ltd.     63,673  
  65,953     Super Retail Group Ltd.     899,794  
  67,322     Swick Mining Services Ltd.     22,683  
  173,822     Tabcorp Holdings Ltd.     621,694  
  24,145     Talon Petroleum Ltd.(b)     1,302  
  70,902     Tanami Gold NL(b)     6,983  
  105,245     Tap Oil Ltd.(b)     61,646  
  54,903     Tassal Group Ltd.     122,373  
  356,067     Tatts Group Ltd.     1,207,069  
  15,839     Technology One Ltd.     28,407  
  394,805     Ten Network Holdings Ltd.(b)     126,881  
  69,352     TFS Corp. Ltd.(b)     39,543  
  57,103     Thorn Group Ltd.     119,581  
  67,860     Tiger Resources Ltd.(b)     16,884  
  114,980     Toll Holdings Ltd.     679,438  
  188,636     Toro Energy Ltd.(b)     17,796  
  16,986     Tox Free Solutions Ltd.(c)     57,759  
  126,484     TPG Telecom Ltd.     474,676  
  3,635,629     Transfield Services Ltd.(d)     6,011,639  
  372,223     Transpacific Industries Group Ltd.(b)     374,307  
  267,850     Treasury Wine Estates Ltd.     1,621,650  
  35,940     Troy Resources Ltd.     69,674  
  3,189     Trust Co. Ltd. (The)     18,877  
  26,635     UGL Ltd.     277,782  
  79,768     Unity Mining Ltd.(b)     5,127  
  144,020     UXC Ltd.     176,180  
  101,055     Venture Minerals Ltd.(b)     18,857  
  65,384     Village Roadshow Ltd.     352,474  
  521,584     Virgin Australia Holdings Ltd.(b)     246,030  
  521,584     Virgin Australia Holdings Ltd. - CVR Shares(b)(c)(d)     2,704  
  1,251     Warrnambool Cheese & Butter Factory Co. Holding Ltd.     5,577  


3
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
AUSTRALIA (continued)        
  64,022     Washington H. Soul Pattinson & Co. Ltd.   $ 965,042  
  31,829     Watpac Ltd.(b)     24,418  
  51,135     WDS Ltd.     24,650  
  8,040     Webjet Ltd.     36,508  
  43,968     Western Areas NL     125,805  
  5,683     White Energy Co. Ltd.(b)     972  
  56,713     Whitehaven Coal Ltd.     114,649  
  46,555     WHK Group Ltd.     41,507  
  984     Wide Bay Australia Ltd.     5,713  
  1,550     Windimurra Vanadium Ltd.(b)(c)(d)     0  
  31,994     Wotif.com Holdings Ltd.     169,489  
  5,124     YTC Resources Ltd.(b)     1,062  
              120,660,331  
AUSTRIA — 0.2%        
  1,001     Agrana Beteiligungs AG     138,286  
  6,370     AMS AG     593,976  
  26,522     Andritz AG     1,728,245  
  4,521     A-TEC Industries AG(b)(c)(d)     0  
  3,757     Austria Technologie & Systemtechnik AG     31,666  
  868     CA Immobilien Anlagen AG     12,203  
  5,957     CAT Oil AG     67,075  
  255     DO & CO AG     12,677  
  8,152     EVN AG     110,042  
  2,705     Flughafen Wien AG     167,680  
  154,230     IMMOFINANZ AG     630,667  
  9,812     Intercell AG(b)     20,675  
  2,036     Kapsch TrafficCom AG     100,013  
  2,971     Lenzing AG     245,754  
  2,509     Mayr Melnhof Karton AG     269,823  
  902     Oberbank AG     57,375  
  14,426     Oesterreichische Post AG     639,294  
  6,723     Palfinger AG     199,212  
  8,187     POLYTEC Holding AG     69,867  
  15,062     Raiffeisen Bank International AG     531,503  
  6,417     RHI AG     212,075  
  516     Rosenbauer International AG     37,817  
  5,208     S IMMO AG     32,579  
  4,944     Schoeller-Bleckmann Oilfield Equipment AG     483,507  
  4,742     Semperit AG Holding     185,476  
  27,419     Strabag SE     631,374  
  41,501     Telekom Austria AG     284,533  
  7,694     Uniqa Versicherungen AG(b)     102,339  
  8,307     Verbund AG     181,876  
  14,471     Vienna Insurance Group AG Wiener Versicherung Gruppe     766,877  
  98,464     Voestalpine AG     3,073,880  
  40,816     Wienerberger AG     502,587  
  1,597     Wolford AG     43,357  
  25,987     Zumtobel AG     291,003  
              12,455,313  
Shares         Value  
BAHAMAS — 0.0%      
  366     United International Enterprises   $ 63,682  
BELGIUM — 0.2%        
  1,160     Ablynx NV(b)     9,777  
  15,584     Ackermans & van Haaren NV     1,326,425  
  2,240     Aedifica REIT     150,448  
  92,169     Ageas     3,376,847  
  94,914     AGFA - Gevaert NV(b)     171,246  
  22,952     AGFA - Gevaert NV - VVPR Strip(b)(c)(d)     0  
  7,223     Arseus NV     189,866  
  192     Atenor Group SA     8,041  
  43     Banque Nationale de Belgique     156,013  
  2,576     Barco NV     229,161  
  2,364     Cie d’Entreprises CFE     143,833  
  1,433     Cie Immobiliere de Belgique SA     59,503  
  1,305     Cie Maritime Belge SA     25,745  
  2,229     Cofinimmo REIT     268,450  
  265     Colruyt SA     13,375  
  19,625     Deceuninck NV(b)     34,891  
  12,200     Deceuninck NV- VVPR Strip(b)(c)(d)     0  
  35,169     Delhaize Group SA     2,205,097  
  10,786     D’ieteren SA NV     497,162  
  8,676     Econocom Group     65,242  
  7,298     Elia System Operator SA NV     321,780  
  1,538     Euronav NV(b)     6,178  
  1,006     EVS Broadcast Equipment SA     68,230  
  4,996     Exmar NV     47,635  
  1,779     Galapagos NV(b)     46,506  
  1,080     Intervest Offices & Warehouses SA REIT     28,091  
  7,233     Ion Beam Applications(b)     57,629  
  9,443     KBC Groep NV     370,592  
  1,505     Kinepolis Group NV     196,259  
  47     Lotus Bakeries     40,171  
  1,467     Melexis NV     29,810  
  1,546     Mobistar SA     36,872  
  27,345     NV Bekaert SA     880,494  
  36,245     Nyrstar     176,134  
  15,645     Nyrstar - VVPR Strip(b)(c)(d)     0  
  26,826     Option NV(b)     8,832  
  1,265     RealDolmen NV SA(b)     26,422  
  5,901     Recticel SA     46,550  
  136     Retail Estates NV REIT     10,284  
  921     Roularta Media Group NV     16,617  
  5,564     Sioen Industries NV     50,120  
  2,739     Sipef NV     215,129  
  2,628     Telenet Group Holding NV     141,881  
  9,692     Tessenderlo Chemie NV     274,041  
  1,410     Tessenderlo Chemie NV - VVPR Strip(b)(c)(d)     0  
  3,085     ThromboGenics NV(b)     150,689  
  20,569     Umicore     952,156  
  1,563     Van de Velde NV     70,603  


4
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
BELGIUM (continued)        
  3,065     Warehouses De Pauw SCA REIT   $ 195,768  
  460     Wereldhave Belgium NV REIT     52,959  
              13,449,554  
BERMUDA — 0.7%        
  150,000     Alterra Capital Holdings Ltd.     4,882,500  
  21,552     Archer Ltd.(b)     14,090  
  210,000     Argo Group International Holdings Ltd.(d)     8,704,500  
  275,000     Aspen Insurance Holdings Ltd.     10,502,250  
  221,995     Catlin Group Ltd.     1,812,113  
  244,000     Endurance Specialty Holdings Ltd.     11,948,680  
  17,151     Frontline Ltd.(b)     31,824  
  119,817     Golden Ocean Group Ltd.(b)     115,319  
  172,995     Hiscox Ltd.(d)     1,507,529  
  30,201     Northern Offshore Ltd.     51,849  
  165,400     Wilson Sons Ltd. - BDR(d)     2,281,664  
              41,852,318  
BRAZIL — 1.0%        
  88,800     Abril Educacao SA - Units     1,916,917  
  19,400     AES Tiete SA     178,704  
  31,800     AES Tiete SA - Preference Shares     322,331  
  57,100     All America Latina Logistica SA     288,532  
  52,877     Alpargatas SA - Preference Shares     352,293  
  60,500     Arteris SA     669,484  
  142,300     Autometal SA     1,492,167  
  57,117     Banco ABC Brasil SA - Preference Shares     448,771  
  25,800     Banco Daycoval SA - Preference Shares     135,657  
  109,290     Banco do Estado do Rio Grande do Sul - Class B, Preference Shares     920,423  
  3,200     Banco Industrial e Comercial SA - Preference Shares     9,037  
  21,922     Banco Pine SA - Preference Shares     151,643  
  16,200     Banco Sofisa SA - Preference Shares     29,149  
  8,200     Bematech SA     32,993  
  5,929     BHG SA - Brazil Hospitality Group(b)     51,326  
  108,692     BR Malls Participacoes SA     1,280,455  
  31,300     Brasil Brokers Participacoes SA     110,604  
  144,318     Braskem SA - Class A, Preference Shares     1,254,375  
  321,500     Brazil Pharma SA     2,023,084  
  102,611     Brookfield Incorporacoes SA     112,317  
  20,000     CCX Carvao da Colombia SA(b)     39,085  
  5,700     Centrais Eletricas de Santa Catarina SA - Preference Shares     68,232  
Shares         Value  
BRAZIL (continued)        
  15,962     CETIP SA - Mercados Organizados   $ 188,441  
  6,300     Cia de Gas de Sao Paulo - Class A, Preference Shares     169,249  
  350,800     Cia de Locacao das Americas(d)     1,995,304  
  16,400     Cia de Saneamento de Minas Gerais-COPASA     377,878  
  5,300     Cia de Saneamento do Parana - Preference Shares     19,364  
  8,500     Cia de Transmissao de Energia Eletrica Paulista - Preference Shares     148,822  
  46,400     Cia Energetica de Sao Paulo -Class B, Preference Shares     490,496  
  5,950     Cia Energetica do Ceara - Class A, Preference Shares     142,181  
  26,208     Cia Ferro Ligas da Bahia-Ferbasa - Preference Shares     160,464  
  29,100     Cia Hering     591,818  
  27,800     Cia Paranaense de Energia - Class B, Preference Shares     493,126  
  18,300     Cia Providencia Industria e Comercio SA     80,947  
  65,000     Contax Participacoes SA - Preference Shares     172,185  
  11,750     Cremer SA     75,054  
  9,600     CSU Cardsystem SA     17,034  
  36,240     Cyrela Brazil Realty SA Empreendimentos e Participacoes     326,762  
  400     Cyrela Commercial Properties SA Empreendimentos e Participacoes     4,684  
  104,500     Diagnosticos da America SA     575,057  
  4,252     Direcional Engenharia SA     33,578  
  205,436     Duratex SA     1,542,246  
  69,600     EDP - Energias do Brasil SA     424,401  
  21,180     Eletropaulo Metropolitana Eletricidade de Sao Paulo SA - Preference Shares     87,017  
  390,320     Embraer SA     3,406,216  
  14,569     Equatorial Energia SA     154,301  
  3,000     Estacio Participacoes SA     71,223  
  40,293     Eternit SA     192,327  
  6,836     Eucatex SA Industria e Comercio - Preference Shares     26,070  
  69,100     Even Construtora e Incorporadora SA     323,958  
  30,500     Ez Tec Empreendimentos e Participacoes SA     417,236  
  2,900     Fertilizantes Heringer SA(b)     16,799  
  10,123     Fibria Celulose SA(b)     107,820  
  231,300     Fleury SA     2,202,307  
  2,185     Forjas Taurus SA     3,058  
  8,937     Forjas Taurus SA - Preference Shares     11,658  


5
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
BRAZIL (continued)        
  67,000     Gafisa SA(b)   $ 133,950  
  18,200     General Shopping Brasil SA(b)     111,888  
  11,500     Gol-Linhas Aereas Inteligentes SA - Preference Shares(b)     70,871  
  50,800     Grendene SA     579,157  
  3,200     Guararapes Confeccoes SA     166,658  
  64,740     Helbor Empreendimentos SA     320,343  
  33,900     IdeiasNet SA(b)     31,515  
  38,400     Iguatemi Empresa de Shopping Centers SA     459,476  
  24,400     Industrias Romi SA(b)     65,855  
  4,170     Iochpe-Maxion SA     51,397  
  51,534     JHSF Participacoes SA     187,771  
  371,200     JSL SA     2,968,487  
  413,900     Klabin SA - Preference Shares     2,767,953  
  45,596     Kroton Educacional SA     636,737  
  19,000     Light SA     189,929  
  90,200     Linx SA     1,511,636  
  31,500     Localiza Rent a Car SA     559,545  
  36,310     Log-In Logistica Intermodal SA(b)     166,782  
  17,557     Lojas Americanas SA     140,579  
  20,000     Lojas Renner SA     759,215  
  15,800     LPS Brasil Consultoria de Imoveis SA     162,679  
  8,300     M Dias Branco SA     371,203  
  15,048     Magnesita Refratarios SA     54,077  
  230,300     Mahle-Metal Leve SA Industria e Comercio     3,167,740  
  113,290     Marcopolo SA - Preference Shares     753,662  
  44,884     Marfrig Alimentos SA(b)     152,773  
  13,800     Marisa Lojas SA     208,992  
  800     Metalfrio Solutions SA(b)     1,455  
  5,300     Mills Estruturas e Servicos de Engenharia SA     86,808  
  60,000     MPX Energia SA(b)     256,404  
  10,120     MRV Engenharia e Participacoes SA     43,550  
  30,150     Multiplan Empreendimentos Imobiliarios SA     860,611  
  3,300     Multiplus SA     54,397  
  80,100     Odontoprev SA     399,549  
  15,000     OSX Brasil SA(b)     23,016  
  16,300     Parana Banco SA - Preference Shares     118,294  
  55,429     Paranapanema SA(b)     160,684  
  78,052     PDG Realty SA Empreendimentos e Participacoes     87,776  
  17,500     Plascar Participacoes Industriais SA     3,761  
  42,500     Porto Seguro SA     527,227  
  19,150     Positivo Informatica SA(b)     44,028  
  4,600     Profarma Distribuidora de Produtos Farmaceuticos SA     50,351  
  38,309     Raia Drogasil SA     411,859  
Shares         Value  
BRAZIL (continued)        
  57,450     Randon Participacoes SA - Preference Shares   $ 374,721  
  20,100     Restoque Comercio e Confeccoes de Roupas SA     90,517  
  14,700     Rodobens Negocios Imobiliarios SA     107,637  
  95,968     Rossi Residencial SA     161,166  
  22,050     Santos Brasil Participacoes SA - Units     343,080  
  34,100     Sao Martinho SA     479,607  
  13,175     Saraiva SA Livreiros Editores - Preference Shares     218,557  
  16,900     SLC Agricola SA     148,918  
  208,700     Sonae Sierra Brasil SA     2,880,023  
  17,700     Springs Global Participacoes SA(b)     32,113  
  114,673     Sul America SA - Units     856,863  
  64,553     Suzano Papel e Celulose SA - Preference Shares(b)     235,853  
  63,300     Tecnisa SA     284,110  
  2,800     Tempo Participacoes SA     4,856  
  8,800     Tereos Internacional SA     14,207  
  31,000     Totvs SA     582,891  
  5,500     TPI - Triunfo Participacoes e Investimentos SA     31,311  
  7,200     Transmissora Alianca de Energia Eletrica SA - Units     82,985  
  72     Unipar Participacoes SA - Class B, Preference Shares     18  
  18,303     Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao SA     339,485  
  29,216     Viver Inc.orporadora e Construtora SA(b)     9,054  
  24,161     WEG SA     319,772  
              54,415,044  
CANADA — 2.0%        
  19,558     5N Plus, Inc.(b)     36,303  
  3,613     Aastra Technologies Ltd.     67,781  
  15,424     Aberdeen International, Inc.     3,598  
  6,775     Absolute Software Corp.     43,981  
  1,990     Acadian Timber Corp.     28,148  
  89,134     Advantage Oil & Gas Ltd.(b)     353,015  
  21,938     Aecon Group, Inc.     270,020  
  2,700     AG Growth International, Inc.     85,895  
  48,633     AGF Management Ltd. - Class B     555,144  
  91,000     Aimia, Inc.     1,436,200  
  14,401     Ainsworth Lumber Co. Ltd.(b)     55,749  
  19,104     Air Canada - Class A(b)     55,750  
  1,100     Akita Drilling Ltd. - Class A     12,174  
  22,400     Alamos Gold, Inc.     312,837  
  16,728     Alexco Resource Corp.(b)     34,039  
  5,880     Algoma Central Corp.     82,295  
  108,142     Algonquin Power & Utilities Corp.     854,445  


6
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
CANADA (continued)        
  6,088     Alliance Grain Traders, Inc.   $ 72,395  
  43,254     AltaGas Ltd.     1,611,748  
  10,000     Alterra Power Corp.(b)     3,325  
  7,748     Altius Minerals Corp.(b)     82,521  
  11,700     Altus Group Ltd.     97,785  
  80,500     Amerigo Resources Ltd.     47,943  
  2,600     Amica Mature Lifestyles, Inc.     23,743  
  39,396     Anderson Energy Ltd.(b)     6,452  
  27,297     Angle Energy, Inc.(b)     83,453  
  81,625     Antrim Energy, Inc.(b)     13,774  
  47,722     Arsenal Energy, Inc.(b)     19,895  
  7,319     Asanko Gold, Inc.(b)     18,525  
  11,000     Astral Media, Inc. - Class A     535,014  
  13,400     Atco Ltd. - Class I     1,283,405  
  15,436     Atrium Innovations, Inc.(b)     189,838  
  22,663     ATS Automation Tooling Systems, Inc.(b)     228,778  
  12,274     Aura Minerals, Inc.(b)     3,411  
  118,849     AuRico Gold, Inc.     611,085  
  29,800     Aurizon Mines Ltd.(b)     127,784  
  1,900     AutoCanada, Inc.     42,622  
  31,292     Avalon Rare Metals, Inc.(b)     33,235  
  114,786     B2Gold Corp.(b)(d)     288,261  
  800     Badger Daylighting Ltd.     35,114  
  46,861     Ballard Power Systems, Inc.(b)     43,724  
  61,339     Bankers Petroleum Ltd.(b)     153,431  
  39,700     Bellatrix Exploration Ltd.(b)     248,655  
  800     Bengal Energy Ltd.(b)     580  
  39,800     Birchcliff Energy Ltd.(b)     312,095  
  300     Bird Construction, Inc.     3,891  
  15,938     Black Diamond Group Ltd.     334,912  
  117,200     BlackPearl Resources, Inc.(b)     255,933  
  3,240     BMTC Group, Inc. - Class A     48,241  
  10,100     Boardwalk Real Estate Investment Trust, REIT     660,367  
  39,486     Bonavista Energy Corp.     625,144  
  1,300     Bonterra Energy Corp.     63,797  
  11,570     Boralex, Inc. - Class A(b)     115,878  
  72,611     Brigus Gold Corp.(b)     50,452  
  100     Brookfield Real Estate Services, Inc.     1,290  
  2,704     Brookfield Residential Properties, Inc.(b)     64,416  
  4,500     Burcon NutraScience Corp.(b)     11,390  
  47,567     CAE, Inc.     514,174  
  9,996     Calfrac Well Services Ltd.     253,906  
  800     Calian Technologies Ltd.     16,580  
  17,900     Calloway Real Estate Investment Trust     536,760  
  16,191     Calvalley Petroleum, Inc. - Class A(b)     30,857  
  45,544     Canaccord Financial, Inc.     259,941  
  6,031     Canacol Energy Ltd.(b)     14,906  
  4,100     Canada Bread Co. Ltd.(d)     220,862  
  86,000     Canada Lithium Corp.(b)     50,365  
Shares         Value  
CANADA (continued)        
  18,141     Canadian Apartment Properties REIT   $ 468,898  
  15,185     Canadian Energy Services & Technology Corp.     186,449  
  14,224     Canadian Real Estate Investment Trust     673,044  
  84,813     Canadian Western Bank     2,395,928  
  12,328     Canadian ZInc. Corp.(b)     4,834  
  20,232     Canam Group, Inc. - Class A(b)     192,791  
  6,300     CanElson Drilling, Inc.     28,516  
  22,100     Canexus Corp.     206,862  
  44,643     Canfor Corp.(b)     932,343  
  4,755     Canfor Pulp Products, Inc.     44,697  
  5,200     Cangene Corp.(b)     16,156  
  16,000     CanWel Building Materials Group Ltd.     38,751  
  9,688     Canyon Services Group, Inc.     100,876  
  7,707     Capital Power Corp.     168,377  
  32,507     Capstone Infrastructure Corp.     132,616  
  150,362     Capstone Mining Corp.(b)     304,470  
  26,442     Cardero Resource Corp.(b)     5,249  
  53,503     Carpathian Gold, Inc.(b)     12,746  
  36,952     Cascades, Inc.     180,459  
  9,900     Cash Store Financial Services, Inc. (The)     29,579  
  9,078     Cathedral Energy Services Ltd.     37,305  
  16,407     CCL Industries, Inc. - Class B     1,025,346  
  87,500     Celestica, Inc.(b)     755,621  
  34,418     Centerra Gold, Inc.     143,828  
  43,178     Cequence Energy Ltd.(b)     75,003  
  900     Cervus Equipment Corp.     18,376  
  8,900     Chartwell Retirement Residences REIT     100,798  
  70,905     China Gold International Resources Corp. Ltd.(b)     201,289  
  6,908     Chinook Energy, Inc.(b)     8,228  
  2,561     Chorus Aviation, Inc.     9,762  
  7,061     Churchill Corp. (The) - Class A     51,585  
  28,912     Cineplex, Inc.     982,626  
  141,325     Claude Resources, Inc.(b)     40,681  
  7,453     CML HealthCare, Inc.     57,186  
  3,400     Coastal Contacts, Inc.(b)     19,844  
  9,100     Cogeco Cable, Inc.     405,027  
  4,665     Cogeco, Inc.     199,343  
  7,951     Colabor Group, Inc.     53,272  
  28,143     COM DEV International Ltd.(b)     102,521  
  12,775     Cominar Real Estate Investment Trust     304,333  
  10,200     Computer Modelling Group Ltd.     204,111  
  213,762     Connacher Oil and Gas Ltd.(b)     25,886  
  1,907     Constellation Software, Inc.     260,273  
  5,700     Contrans Group, Inc. - Class A     60,878  
  13,103     Copper Mountain Mining Corp.(b)     26,272  
  4,700     Corby Distilleries Ltd. - Class A     94,891  
  24,530     Corridor Resources, Inc.(b)     14,853  


7
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
CANADA (continued)        
  61,673     Corus Entertainment, Inc. - Class B   $ 1,514,507  
  36,243     Cott Corp.     398,243  
  45,445     Crew Energy, Inc.(b)     315,311  
  14,236     Crocotta Energy, Inc.(b)     46,207  
  18,511     Davis & Henderson Corp.     432,527  
  19,795     DeeThree Exploration Ltd.(b)     154,045  
  82,138     Delphi Energy Corp.(b)     108,436  
  123,700     Denison Mines Corp.(b)     153,482  
  17,700     Descartes Systems Group, Inc. (The)(b)     175,691  
  7,343     DHX Media Ltd.     19,971  
  1,159     DirectCash Payments, Inc.     31,062  
  30,931     Dollarama, Inc.     2,265,827  
  20,285     Dominion Diamond Corp.(b)     321,556  
  12,100     Dorel Industries, Inc. - Class B     522,458  
  16,835     DragonWave, Inc.(b)     33,087  
  44,400     Duluth Metals Ltd.(b)     70,955  
  35,286     Dundee Precious Metals, Inc.(b)     226,262  
  8,500     Dundee Real Estate Investment Trust - Class A, REIT     312,259  
  11,964     Dynasty Metals & Mining, Inc.(b)     12,469  
  276,953     Eastern Platinum Ltd.(b)     24,741  
  9,705     Eastmain Resources, Inc.(b)     4,624  
  141     E-L Financial Corp. Ltd.     73,573  
  10,019     Emera, Inc.     366,967  
  16,750     Empire Co. Ltd. - Class A     1,138,890  
  8,287     Enbridge Inc.ome Fund Holdings, Inc.     203,998  
  17,481     Endeavour Silver Corp.(b)     91,270  
  8,281     Enerflex Ltd.     114,255  
  136,814     Energy Fuels, Inc.(b)     17,654  
  86,972     Enerplus Corp.     1,227,596  
  600     Enghouse Systems Ltd.     13,662  
  52,616     Ensign Energy Services, Inc.     885,768  
  29,186     Epsilon Energy Ltd.(b)     122,254  
  9,245     Equal Energy Ltd.     34,412  
  5,842     Equitable Group, Inc.     223,834  
  51,813     Essential Energy Services Trust(b)     106,460  
  1,100     Evertz Technologies Ltd.     17,088  
  49,500     Excellon Resources, Inc.(b)     16,706  
  2,974     Exchange Inc.ome Corp.     80,826  
  5,600     Exco Technologies Ltd.     31,128  
  18,409     EXFO, Inc.(b)     84,238  
  10,300     Extendicare, Inc.     57,560  
  64,225     Finning International, Inc.     1,385,926  
  553     Firm Capital Mortgage Investment Corp.     7,520  
  11,791     First Capital Realty Inc.     227,756  
  30,350     First Majestic Silver Corp.(b)     374,160  
  2,412     First National Financial Corp.     44,507  
  32,470     First Quantum Minerals Ltd.     566,924  
  9,700     FirstService Corp.(b)     320,910  
Shares         Value  
CANADA (continued)        
  8,981     Formation Metals, Inc.(b)   $ 1,114  
  6,417     Fortress Paper Ltd. - Class A(b)     50,574  
  57,167     Fortuna Silver Mines, Inc.(b)     178,177  
  17,852     Fortune Minerals Ltd.(b)     6,556  
  200     Gamehost, Inc.     2,581  
  4,577     Genivar, Inc.     113,579  
  18,685     Genworth MI Canada, Inc.     464,598  
  14,494     Gibson Energy, Inc.     377,654  
  57,000     Gildan Activewear, Inc.     2,291,995  
  2,500     Glentel, Inc.     42,285  
  2,859     GLG Life Tech Corp.(b)(c)(d)     1,873  
  4,565     Gluskin Sheff & Associates, Inc.     80,656  
  10,721     GLV, Inc. - Class A(b)     31,287  
  18,000     GMP Capital, Inc.     95,767  
  4,500     Goldgroup Mining, Inc.(b)     715  
  102,201     Gran Tierra Energy, Inc.(b)     568,093  
  1,700     Granite Real Estate Investment Trust     67,413  
  53,752     Great Canadian Gaming Corp.(b)     500,999  
  61,578     Great Panther Silver Ltd.(b)     61,123  
  6,784     Guardian Capital Group Ltd. - Class A     89,560  
  30,200     Guyana Goldfields, Inc.(b)     53,958  
  2,034     Hanfeng Evergreen, Inc.(b)     2,867  
  22,860     Hemisphere GPS, Inc.(b)     17,472  
  9,300     Heroux-Devtek, Inc.     73,019  
  670     High Liner Foods, Inc.     22,046  
  3,627     HNZ Group, Inc.     79,204  
  13,900     Home Capital Group, Inc.     797,479  
  27,827     Horizon North Logistics, Inc.     164,346  
  74,700     HudBay Minerals, Inc.     593,181  
  80,833     IAMGOLD Corp.     434,073  
  4,936     IBI Group, Inc.     22,538  
  7,800     Imax Corp.(b)     199,365  
  38,486     Imperial Metals Corp.(b)     476,371  
  3,907     Imris, Inc.(b)     12,332  
  3,161     Indigo Books & Music, Inc.     36,051  
  39,500     Industrial Alliance Insurance and Financial Services, Inc.     1,459,318  
  17,479     Innergex Renewable Energy, Inc.     176,620  
  7,700     InnVest Real Estate Investment Trust     38,215  
  23,670     International Forest Products Ltd. - Class A(b)     244,348  
  7,748     International Tower Hill Mines Ltd.(b)     7,768  
  25,626     Intertape Polymer Group, Inc.     284,889  
  21,336     Ithaca Energy, Inc.(b)     34,944  
  19,022     Ivanhoe Energy, Inc.(b)     24,735  
  18,561     Ivernia, Inc.(b)     2,764  
  22,616     Jean Coutu Group PJC, Inc. (The) Class A     376,017  
  16,185     Just Energy Group, Inc.     108,602  
  318,486     Katanga Mining Ltd.(b)     214,969  
  1,300     K-Bro Linen, Inc.     41,938  


 

8
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
CANADA (continued)        
  16,550     Kelt Exploration Ltd.(b)   $ 120,743  
  25,539     Keyera Corp.     1,595,284  
  13,811     Killam Properties, Inc.     173,691  
  4,436     Kingsway Financial Services, Inc.(b)     16,336  
  11,000     Kirkland Lake Gold, Inc.(b)     36,905  
  99,844     Lake Shore Gold Corp.(b)     40,633  
  13,254     Laramide Resources Ltd.(b)     9,209  
  15,057     Laurentian Bank of Canada     660,747  
  1,200     Le Chateau, Inc. - Class A(b)     2,978  
  59,448     Legacy Oil & Gas, Inc.(b)     313,925  
  8,682     Leisureworld Senior Care Corp.     111,083  
  13,400     Leon’s Furniture Ltd.     177,700  
  29,705     Linamar Corp.     703,225  
  7,520     Liquor Stores N.A. Ltd.     133,090  
  34,294     Long Run Exploration Ltd.(b)     147,735  
  226,995     Lundin Mining Corp.(b)     892,253  
  17,647     MacDonald Dettwiler & Associates Ltd.     1,274,676  
  500     Mainstreet Equity Corp.(b)     16,031  
  34,300     Major Drilling Group International     256,369  
  11,156     Manitoba Telecom Services, Inc.     361,661  
  26,564     Maple Leaf Foods, Inc.     351,216  
  27,098     Martinrea International, Inc.(b)     229,437  
  3,900     MBAC Fertilizer Corp.(b)     8,671  
  2,300     Mccoy Corp.     10,136  
  77,075     McEwen Mining - Minera Andes Acquisition Corp.(b)     176,727  
  1,800     Medical Facilities Corp.     26,782  
  2,550     MEGA Brands, Inc.(b)     37,145  
  22,931     Mega Uranium Ltd.(b)     2,618  
  1,400     Melcor Developments Ltd.     24,875  
  38,791     Mercator Minerals Ltd.(b)     10,781  
  29,200     Methanex Corp.     1,237,620  
  13,800     Migao Corp.     18,081  
  5,131     Mood Media Corp.(b)     4,737  
  226,002     Morguard Real Estate Investment Trust(d)     4,107,496  
  14,987     Morneau Shepell, Inc.     198,002  
  100     MTY Food Group, Inc.     2,382  
  44,077     Mullen Group Ltd.     956,398  
  36,382     Nevsun Resources Ltd.     136,146  
  3,004     New Flyer Industries, Inc.     28,774  
  59,400     New Gold, Inc.(b)     476,403  
  13,950     New Millennium Iron Corp.(b)     12,324  
  44,098     Newalta Corp.     607,116  
  22,900     NGEx Resources, Inc.(b)     57,963  
  4,978     Niko Resources Ltd.     32,908  
  7,923     Norbord, Inc.(b)     264,244  
  40,761     Nordion, Inc.     284,835  
  3,099     North American Energy Partners, Inc.(b)     12,489  
  89,018     North American Palladium Ltd.(b)     121,053  
Shares         Value  
CANADA (continued)        
  15,831     North West Co. Inc., (The)   $ 399,448  
  10,624     Northern Dynasty Minerals Ltd.(b)     27,945  
  198,100     Northern Property Real Estate Investment Trust - Units(d)     6,349,346  
  11,568     Northland Power, Inc.     224,482  
  9,813     NorthWest Healthcare Properties Real Estate Investment Trust     127,600  
  46,201     NuVista Energy Ltd.(b)     335,690  
  8,300     Oncolytics Biotech, Inc.(b)     25,375  
  100     Onex Corp.     4,988  
  12,600     Open Text Corp.(b)(e)     823,324  
  1,052     Open Text Corp.(b)(e)     68,790  
  35,400     Oromin Explorations Ltd.(b)     10,541  
  57,165     Orvana Minerals Corp.(b)     43,124  
  81,800     Osisko Mining Corp.(b)     345,079  
  6,230     Paladin Labs, Inc.(b)     310,433  
  65,268     Pan American Silver Corp.     858,406  
  18,300     Paramount Resources Ltd. - Class A(b)     654,836  
  36,051     Parex Resources, Inc.(b)     161,030  
  3,788     Parkland Fuel Corp.     62,604  
  566,214     Pason Systems, Inc.(d)     9,694,964  
  10,486     Patheon, Inc.(b)     46,005  
  152,736     Pengrowth Energy Corp.     779,258  
  780     Perpetual Energy, Inc.(b)     929  
  9,000     Petaquilla Minerals Ltd.(b)     3,573  
  89,188     PetroBakken Energy Ltd.     761,345  
  46,632     Petrobank Energy & Resources Ltd.(b)     31,475  
  31,472     Petrominerales Ltd.     173,690  
  29,553     Peyto Exploration & Development Corp.     850,699  
  113,000     Phoscan Chemical Corp.(b)     28,602  
  2,107     PHX Energy Services Corp.     19,785  
  5,000     Platino Energy Corp.(b)     7,047  
  2,100     Points International Ltd.(b)     36,478  
  100,753     Precision Drilling Corp.(e)     817,065  
  489     Precision Drilling Corp.(e)     3,961  
  13,536     Premium Brands Holdings Corp.     251,923  
  26,230     Primero Mining Corp.(b)     154,914  
  816     Progressive Waste Solutions Ltd.     18,164  
  31,060     Progressive Waste Solutions Ltd. - Placement Shares     692,141  
  20,867     Pulse Seismic, Inc.     64,831  
  500     Pure Technologies Ltd.(b)     2,606  
  9,975     QLT, Inc.(b)     79,606  
  13,700     Quebecor, Inc. - Class B     637,779  
  52,100     Questerre Energy Corp. - Class A(b)     42,406  
  2,000     Reitmans (Canada) Ltd.     16,874  
  16,700     Reitmans (Canada) Ltd. - Class A     146,702  
  72,307     Research In Motion Ltd.(b)     1,184,243  


 

9
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
CANADA (continued)        
  4,400     Richelieu Hardware Ltd.   $ 173,170  
  12,800     Richmont Mines, Inc.(b)     26,681  
  4,375     Ritchie Bros. Auctioneers, Inc.     88,590  
  58,032     RMP Energy, Inc.(b)     221,771  
  3,231     Rock Energy, Inc.(b)     3,688  
  4,730     Rocky Mountain Dealerships, Inc.     59,862  
  20,712     Rogers Sugar, Inc.     128,904  
  58,461     RONA, Inc.     609,301  
  60,389     Russel Metals, Inc.     1,633,431  
  14,890     Sabina Gold & Silver Corp.(b)     17,736  
  55,084     San Gold Corp.(b)     10,662  
  188,000     Sandvine Corp.(b)     382,550  
  29,941     Santonia Energy, Inc.(b)     43,391  
  46,281     Savanna Energy Services Corp.     323,868  
  75,011     SCorp.io Mining Corp.(b)     34,250  
  14,006     Secure Energy Services, Inc.     180,593  
  44,500     SEMAFO, Inc.     84,366  
  26,812     ShawCor Ltd.     1,077,058  
  149,700     Sherritt International Corp.     699,873  
  15,685     Sierra Wireless, Inc.(b)     173,439  
  29,300     Silver Standard Resources, Inc.(b)     210,272  
  2,437     Softchoice Corp.     48,404  
  10,293     Sonde Resources Corp.(b)     11,034  
  120,726     Southern Pacific Resource Corp.(b)     79,090  
  11,543     SouthGobi Resources Ltd.(b)     20,967  
  56,399     Sprott Resource Corp.     241,282  
  55,970     Sprott Resource Lending Corp.     77,223  
  9,346     Sprott, Inc.     29,779  
  33,471     Spyglass Resources Corp.     62,128  
  33,100     St. Andrew Goldfields Ltd.(b)     12,156  
  10,542     Stantec, Inc.     450,791  
  1,490     Stella-Jones, Inc.     120,463  
  16,685     Stornoway Diamond Corp.(b)     9,771  
  2,400     Strad Energy Services Ltd.     7,623  
  26,948     Student Transportation, Inc.     174,402  
  19,100     Sulliden Gold Corp. Ltd.(b)     16,873  
  23,746     SunOpta, Inc.(b)     172,064  
  13,000     Superior Plus Corp.     167,750  
  21,573     Surge Energy, Inc.(b)     65,311  
  1,700     TAG Oil Ltd.(b)     9,281  
  83,489     Taseko Mines Ltd.(b)     196,406  
  29,538     Tembec, Inc.(b)     99,100  
  19,776     Teranga Gold Corp.(b)     17,274  
  45,730     Teranga Gold Corp. - CDI(b)     38,638  
  16,500     Timmins Gold Corp.(b)     38,980  
  4,949     TMX Group Ltd.     260,554  
  25,860     TORC Oil & Gas Ltd.(b)     43,637  
  24,278     Toromont Industries Ltd.     534,986  
  27,765     Torstar Corp. - Class B     186,855  
  22,950     Total Energy Services, Inc.     318,468  
  104,000     TransAlta Corp.     1,528,850  
  29,278     Transcontinental, Inc. - Class A     376,928  
  69,874     TransForce, Inc.     1,378,823  
Shares         Value  
CANADA (continued)        
  33,900     TransGlobe Energy Corp.(b)   $ 268,522  
  41,900     Trican Well Service Ltd.     547,326  
  20,400     Trilogy Energy Corp.     596,337  
  55,100     Trinidad Drilling Ltd.     376,285  
  38,000     Tuscany International Drilling, Inc.(b)     4,526  
  66,765     Twin Butte Energy Ltd.     147,785  
  24,940     Uex Corp.(b)     11,511  
  8,241     Uni-Select, Inc.     169,327  
  198,200     Uranium One, Inc.(b)     550,856  
  2,700     US Silver & Gold, Inc.(b)     2,439  
  4,141     Valener, Inc.     66,383  
  91,129     Veresen, Inc.     1,219,335  
  18,999     Veris Gold Corp.(b)     26,213  
  433     Vermilion Energy, Inc.     22,221  
  7,539     Virginia Mines, Inc.(b)     71,091  
  1,300     Wajax Corp.     44,493  
  32,261     Wesdome Gold Mines Ltd.(b)     17,292  
  11,176     West Fraser Timber Co. Ltd.     975,771  
  500     Western Energy Services Corp.     3,489  
  31,338     Western Forest Products, Inc.(b)     40,127  
  6,300     Westjet Airlines Ltd.     154,709  
  1,500     Whistler Blackcomb Holdings, Inc.     20,026  
  34,591     Whitecap Resources, Inc.     355,026  
  48,887     Wi-Lan, Inc.     193,131  
  11,548     Winpak Ltd.     214,809  
  12,846     Winstar Resources Ltd.(b)     29,200  
  1,816     Xtreme Drilling and Coil Services Corp.(b)     4,597  
  10,676     Zargon Oil & Gas Ltd.     69,305  
              115,091,614  
CAYMAN ISLANDS — 0.0%        
  59,150     Endeavour Mining Corp.(b)     63,997  
CHILE — 0.1%        
  367,736     AES Gener SA     267,047  
  487,853     Aguas Andinas SA - Class A     388,459  
  164,971     Banmedica SA     437,833  
  114,351     Besalco SA     205,174  
  17,632     Cementos BIO BIO SA(b)     23,774  
  2,521     Cia Cervecerias Unidas SA     43,627  
  43,481     Cia General de Electricidad SA     263,130  
  18,733     Cia Sud Americana de Vapores SA(b)     1,671  
  924,504     Colbun SA     284,644  
  58,576,059     Corp.Banca SA     803,485  
  17,867     Cristalerias de Chile SA(d)     183,621  
  114,370     E.CL SA     238,721  
  15,622     Embotelladora Andina SA - Class A, Preference Shares     82,928  
  16,401     Embotelladora Andina SA - Class B, Preference Shares     111,441  
  21,705     Empresas Hites SA     19,818  
  1,299,287     Empresas Iansa SA     85,552  


 

10
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
CHILE (continued)        
  7,303     ENTEL Chile SA   $ 140,803  
  20,702     Forus SA     144,841  
  12,790     Gasco SA     129,000  
  448,016     Inversiones Aguas Metropolitanas SA     951,208  
  6,600     Latam Airlines Group SA - BDR(b)     133,633  
  535,964     Madeco SA     20,849  
  880,181     Masisa SA     80,365  
  952     Molibdenos y Metales SA     16,879  
  134,264     Multiexport Foods SA     36,207  
  97,068     Parque Arauco SA     251,023  
  86,572     PAZ Corp. SA     56,987  
  163,857     Ripley Corp. SA     170,485  
  58,002     SalfaCorp. SA     108,380  
  152,959     Sigdo Koppers SA     402,413  
  20,922     Sociedad Matriz SAAM SA (b)     2,399  
  353,128     Socovesa SA     170,209  
  151,511     Sonda SA     524,393  
  235,571     Vina Concha y Toro SA     460,688  
  853,398     Vina San Pedro Tarapaca SA     5,889  
              7,247,576  
CHINA — 1.0%        
  1,712,500     AAC Technologies Holdings, Inc.     8,352,690  
  250,000     Agile Property Holdings Ltd.     323,447  
  387,000     Airtac International Group     2,052,233  
  570,000     Aluminum Corp. of China Ltd. - H Shares (b)     215,215  
  362,000     Angang Steel Co. Ltd. - H Shares (b)     213,184  
  22,000     Anhui Expressway Co. Ltd. - H Shares     12,190  
  32,000     Anhui Tianda Oil Pipe Co. Ltd. - H Shares     5,732  
  41,000     Anta Sports Products Ltd.     34,342  
  564,000     Anton Oilfield Services Group     449,883  
  639,000     Asia Cement China Holdings Corp.     354,078  
  96,000     Aupu Group Holding Co. Ltd.     9,402  
  98,000     AVIC International Holdings Ltd.(b)     39,654  
  196,000     AviChina Industry & Technology Co. - H Shares     94,715  
  116,000     Baoye Group Co. Ltd. - H Shares     91,483  
  235,000     BBMG Corp. - H Shares     188,663  
  308,000     Beijing Capital International Airport Co. Ltd. - H Shares     213,532  
  374,000     Beijing Capital Land Ltd. - H Shares     136,874  
  33,000     Beijing Jingkelong Co. Ltd. - H Shares     12,120  
  274,000     Beijing North Star Co. Ltd. - H Shares     68,146  
  311,000     Besunyen Holdings Co. Ltd.(b)     14,428  
Shares         Value  
CHINA (continued)        
  34,500     Byd Co. Ltd. - H Shares(b)   $ 123,148  
  247,500     BYD Electronic International Co. Ltd.     131,083  
  247,656     Central China Real Estate Ltd.     84,891  
  32,000     Changshouhua Food Co. Ltd.     21,031  
  89,000     Chaowei Power Holdings Ltd.     41,861  
  321,000     China Aoyuan Property Group Ltd.     73,630  
  143,000     China Automation Group Ltd.     32,064  
  410,857     China BlueChemical Ltd. - H Shares     250,427  
  516,000     China Communications Services Corp. Ltd. - H Shares     377,683  
  545,500     China COSCO Holdings Co. Ltd. - H Shares(b)     230,568  
  121,000     China Datang Corp. Renewable Power Co. Ltd. - H Shares     28,222  
  954,000     China Dongxiang Group Co.     163,505  
  248,000     China Eastern Airlines Corp. Ltd. - H Shares(b)     99,390  
  68,000     China Flooring Holding Co. Ltd.     12,531  
  354,500     China Hongqiao Group Ltd.     205,113  
  181,500     China Huiyuan Juice Group Ltd.(b)     81,627  
  251,000     China ITS Holdings Co. Ltd.(b)     54,339  
  81,000     China Liansu Group Holdings Ltd.     46,136  
  66,000     China Lilang Ltd.     40,569  
  215,000     China Longyuan Power Group Corp. - H Shares     196,987  
  135,000     China Medical System Holdings Ltd.     132,388  
  222     China Mobile Games & Entertainment Group Ltd. - ADR(b)     2,484  
  180,000     China Modern Dairy Holdings Ltd.(b)     62,164  
  272,678     China Molybdenum Co. Ltd. - H Shares     105,415  
  1,200,084     China National Building Material Co. Ltd. - H Shares     1,416,567  
  411,000     China National Materials Co. Ltd. - H Shares     101,689  
  152,000     China Nickel Resources Holding Co. Ltd.     8,814  
  176,000     China Qinfa Group Ltd.     18,824  
  520,000     China Rare Earth Holdings Ltd.     81,081  
  1,241,500     China Rongsheng Heavy Industries Group Holdings Ltd.     180,782  
  87,700     China Sandi Holdings Ltd.(b)(c)(d)     6,668  
  260,000     China SCE Property Holdings Ltd.     65,334  
  491,488     China Shanshui Cement Group Ltd.     278,040  


 

11
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - ( C ontinued) April 30, 2013
  (Unaudited)

 

Shares         Value  
CHINA (continued)        
  246,000     China Shineway Pharmaceutical Group Ltd.   $ 437,466  
  793,093     China Shipping Container Lines Co. Ltd. - H Shares(b)     189,071  
  454,000     China Shipping Development Co. Ltd., H Shares     194,818  
  396,000     China Southern Airlines Co. Ltd. - H Shares     208,202  
  90,000     China Sunshine Paper Holdings Co. Ltd.     9,974  
  153,000     China Suntien Green Energy Corp. Ltd. - H Shares     44,361  
  44,000     China Taifeng Beddings Holdings Ltd.     11,056  
  252,000     China Tontine Wines Group Ltd.     14,775  
  292,000     China Wireless Technologies Ltd.     116,647  
  547,000     China Yurun Food Group Ltd.(b)     325,656  
  138,000     China Zhengtong Auto Services Holdings Ltd.(b)     85,537  
  567,600     China Zhongwang Holdings Ltd.(b)     189,440  
  350,000     Chinasoft International Ltd.(b)     86,596  
  312,000     Chongqing Iron & Steel Co. Ltd. - H Shares(b)     45,030  
  340,000     Chongqing Machinery & Electric Co. Ltd. - H Shares     45,128  
  482,000     Chongqing Rural Commercial Bank - H Shares     262,113  
  127,000     Chu Kong Petroleum & Natural Gas Steel Pipe Holdings Ltd.     62,026  
  158,000     Comtec Solar Systems Group Ltd.(b)     31,151  
  1,867,291     Country Garden Holdings Co. Ltd.(b)     1,058,753  
  3,825,000     CPMC Holdings Ltd.(d)     3,006,707  
  9,286,000     Dalian Port PDA Co. Ltd. - H Shares(d)     2,034,265  
  264,000     Daphne International Holdings Ltd.     274,881  
  63,000     Daqing Dairy Holdings Ltd.(b)(c)(d)     0  
  230,000     Datang International Power Generation Co. Ltd. - H Shares     101,364  
  101,000     Delong Holdings Ltd.(b)     31,570  
  33,600     Dongfang Electric Corp. Ltd. - H Shares     47,195  
  7,400     Dongjiang Environmental Co. Ltd. - H Shares     34,425  
  398,000     Dongyue Group     222,588  
  232,000     ENN Energy Holdings Ltd.     1,342,345  
  1,274,000     Evergrande Real Estate Group Ltd.     520,426  
  724,500     Fantasia Holdings Group Co. Ltd.     112,968  
Shares         Value  
CHINA (continued)        
  416,000     First Tractor Co. Ltd. - H Shares(b)   $ 309,850  
  530,000     Fosun International Ltd.     377,003  
  901,000     Foxconn International Holdings Ltd.(b)     348,318  
  204,000     Golden Eagle Retail Group Ltd.     359,096  
  38,000     Goldpoly New Energy Holdings Ltd.(b)     5,680  
  228,000     Great Wall Technology Co. Ltd. - H Shares     41,133  
  225,500     Greentown China Holdings Ltd.(b)     438,205  
  480,000     Guangshen Railway Co. Ltd. - H Shares     241,851  
  467,753     Guangzhou Automobile Group Co. Ltd. - H Shares     385,768  
  94,000     Guangzhou Pharmaceutical Co. Ltd. - H Shares(b)     307,674  
  184,400     Guangzhou R&F Properties Co. Ltd. - H Shares     333,624  
  18,400     Guangzhou Shipyard International Co. Ltd. - H Shares(b)     16,289  
  56,000     Hainan Meilan International Airport Co. Ltd. - H Shares     48,422  
  2,137,000     Haitian International Holdings Ltd.     3,657,063  
  288,000     Harbin Electric Co. Ltd. - H Shares     220,820  
  439,000     Hidili Industry International Development Ltd.     98,999  
  6,722,000     Hilong Holding Ltd.(d)     2,745,919  
  65,000     Hisense Kelon Electrical Holdings Co. Ltd. - H Shares(b)     45,901  
  473,000     Honghua Group Ltd.     230,400  
  138,000     Huadian Power International Co. - H Shares(b)     75,756  
  162,000     Huaneng Renewables Corp. Ltd.(b)     54,695  
  192,000     Hunan Non-Ferrous Metal Corp. Ltd. - H Shares(b)     55,174  
  285,000     Intime Department Store Group Co. Ltd.     337,880  
  80,000     JES International Holdings Ltd.(b)     10,847  
  122,000     Jiangsu Expressway Co. Ltd. - H Shares     133,631  
  92,000     Jingwei Textile Machinery - H Shares     60,818  
  674,000     Kaisa Group Holdings Ltd.(b)     211,055  
  163,000     Kasen International Holdings Ltd.(b)     35,918  
  458,000     Kingdee International Software Group Co. Ltd.(b)     75,545  
  43,000     Kingsoft Corp. Ltd.     49,482  
  64,000     Leoch International Technology Ltd.     8,825  


12
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - ( C ontinued) April 30, 2013
  (Unaudited)

 

Shares         Value  
CHINA (continued)        
  76,000     Li Heng Chemical Fibre Technologies Ltd.(b)   $ 7,836  
  74,500     Li Ning Co. - 0% Non-Redeemable Registered Notes(b)(d)     41,089  
  214,000     Li Ning Co. Ltd.(b)     118,029  
  103,200     Lianhua Supermarket Holdings Co. Ltd. - H Shares     62,637  
  190,000     Lingbao Gold Co. Ltd. - H Shares     56,069  
  410,000     Lonking Holdings Ltd.     77,666  
  610,000     Maanshan Iron & Steel - H Shares(b)     150,139  
  323,000     Maoye International Holdings Ltd.     69,094  
  934,000     Metallurgical Corp. of China Ltd. - H Shares(b)     190,166  
  3,102,000     Microport Scientific Corp.(d)     1,974,689  
  136,000     MIE Holdings Corp.     31,371  
  146,000     Minth Group Ltd.     261,139  
  34,000     Nanjing Panda Electronics Co. Ltd. - H Shares     14,152  
  348,000     NVC Lighting Holdings Ltd.     85,205  
  96,800     Pacific Online Ltd.     38,669  
  138,000     Pan Asia Environmental Protection Group Ltd.(b)     10,314  
  99,000     Parkson Retail Group Ltd.     53,581  
  556,000     PCD Stores Group Ltd.     83,828  
  131,000     Peak Sport Products Co. Ltd.     23,465  
  430,000     Powerlong Real Estate Holdings Ltd.     103,065  
  402,000     Qingling Motors Co. Ltd. - H Shares     113,967  
  261,000     Qunxing Paper Holdings Co. Ltd.(c)(d)     67,935  
  67,000     Real Gold Mining Ltd.(b)(c)(d)     76,064  
  4,511,430     Renhe Commercial Holdings Co. Ltd.(b)     284,866  
  202,500     Sany Heavy Equipment International Holdings Co. Ltd.     81,155  
  34,500     Sateri Holdings Ltd.     8,091  
  7,285,806     Semiconductor Manufacturing International Corp.(b)     525,770  
  79,500     Shandong Chenming Paper Holdings Ltd. - H Shares     30,836  
  49,600     Shandong Molong Petroleum Machinery Co. Ltd. - H Shares     17,833  
  484,000     Shandong Weigao Group Medical Polymer Co. Ltd. - H Shares     464,656  
  268,000     Shanghai Electric Group Co. Ltd. - H Shares     93,936  
  26,500     Shanghai Fosun Pharmaceutical Group Co. Ltd. - H Shares(b)     47,740  
Shares         Value  
CHINA (continued)        
  396,000     Shanghai Jin Jiang International Hotels Group Co. Ltd. - H Shares   $ 63,277  
  101,500     Shanghai Pharmaceuticals Holding Co. Ltd. - H Shares     209,013  
  222,000     Shanghai Prime Machinery Co. Ltd. - H Shares     26,605  
  310,500     Shengli Oil & Gas Pipe Holdings Ltd.(c)(d)     32,810  
  20,000     Shenguan Holdings Group Ltd.     10,154  
  78,000     Shenzhen Expressway Co. Ltd. - H Shares     32,064  
  162,000     Shenzhou International Group Holdings Ltd.     469,707  
  930,286     Shui On Land Ltd.     309,290  
  116,000     Sichuan Expressway Co. Ltd. - H Shares     35,577  
  174,000     Sihuan Pharmaceutical Holdings Group Ltd.     97,537  
  784,000     Sino Dragon New Energy Holdings Ltd.(b)     12,831  
  73,000     SinoMedia Holding Ltd.     40,544  
  986,986     Sino-Ocean Land Holdings Ltd.     651,195  
  252,000     Sinopec Shanghai Petrochemical Co. Ltd. - H Shares     86,705  
  234,000     Sinopec Yizheng Chemical Fibre Co. Ltd. - H Shares     52,167  
  40,800     Sinopharm Group Co. Ltd. - H Shares     121,188  
  571,000     Sinotrans Ltd. - H Shares     122,145  
  214,000     Sinotruk Hong Kong Ltd.     119,132  
  67,000     SITC International Holdings Co. Ltd.     24,606  
  1,600,500     SOHO China Ltd.     1,381,848  
  111,000     SPG Land Holdings Ltd.(b)(c)(d)     54,641  
  23,000     Springland International Holdings Ltd.     11,974  
  174,000     Sunac China Holdings Ltd.     140,363  
  182,000     Sunny Optical Technology Group Co. Ltd.     241,567  
  554,000     Tiangong International Co. Ltd.     156,345  
  843,000     Tong Ren Tang Technologies Co. Ltd. - H Shares     2,802,704  
  165,500     Travelsky Technology Ltd. - H Shares     105,142  
  201,000     Trony Solar Holdings Co. Ltd.(b)(c)(d)     16,318  
  32,000     Tsingtao Brewery Co. Ltd. - H Shares     214,635  
  182,000     Uni-President China Holdings Ltd.     197,945  
  31,000     Weichai Power Co. Ltd. - H Shares     108,058  
  121,500     Weiqiao Textile Co. Ltd. - H Shares     66,698  
  546,000     West China Cement Ltd.     95,689  


13
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (C ontinued) April 30, 2013
  (Unaudited)

 

Shares         Value  
CHINA (continued)        
  454,000     Winsway Coking Coal Holding Ltd.   $ 42,708  
  14,000     Wumart Stores, Inc. - H Shares     24,536  
  382,000     Xiamen International Port Co. Ltd. - H Shares     51,195  
  5,768,000     Xingda International Holdings Ltd.(d)     2,207,555  
  159,000     Xinhua Winshare Publishing and Media Co. Ltd. - H Shares     89,948  
  54,800     Xinjiang Goldwind Science & Technology Co. Ltd. - H Shares     33,119  
  216,000     Xinjiang Xinxin Mining Industry Co. Ltd. - H Shares     39,803  
  142,000     Xiwang Sugar Holdings Co. Ltd.     12,443  
  81,000     Yantai North Andre Juice Co. - H Shares     32,358  
  201,000     Yashili International Holdings Ltd.     75,892  
  312,000     Yuanda China Holdings Ltd.     28,546  
  159,800     Yuzhou Properties Co.     40,773  
  260,500     Zhaojin Mining Industry Co. Ltd. - H Shares     289,364  
  96,000     Zhejiang Expressway Co. Ltd. - H Shares     75,462  
  40,000     Zhejiang Glass Co. Ltd. - H Shares(b)(c)(d)     0  
  176,000     Zhong An Real Estate Ltd.(b)     26,082  
  16,500     Zhongsheng Group Holdings Ltd.     22,921  
  26,000     Zhuzhou CSR Times Electric Co. Ltd. - H Shares     71,867  
  100,000     ZTE Corp. - H Shares     168,553  
              56,813,892  
COLUMBIA — 0.0%        
  1,764     Pacific Rubiales Energy Corp.     37,295  
CYPRUS — 0.0%        
  279,720     Bank of Cyprus Plc(b)(c)(d)     0  
  28,621     Deep Sea Supply Plc(b)     44,670  
  71,521     ProSafe SE     686,497  
  59,416     Songa Offshore SE(b)     58,937  
              790,104  
DENMARK — 0.5%        
  2,314     ALK-Abello A/S     170,451  
  38,911     Alm Brand A/S(b)     140,217  
  8,231     Amagerbanken A/S(b)(c)(d)     0  
  638     Ambu A/S - Class B     22,540  
  5,855     Auriga Industries - Class B(b)     152,552  
  18,742     Bang & Olufsen A/S(b)     156,263  
  10,357     Bavarian Nordic A/S(b)     125,321  
  1,079     Brodrene Hartmann A/S     24,301  
  436,495     Chr. Hansen Holding A/S     15,729,272  
  7,451     D/S Norden A/S     230,331  
Shares         Value  
DENMARK (continued)        
  7,982     Dalhoff Larsen & Horneman A/S(b)   $ 5,076  
  2,204     DFDS A/S     136,069  
  48,608     DSV A/S     1,223,550  
  6,366     East Asiatic Co. Ltd. A/S(b)     111,327  
  10,095     FLSmidth & Co. A/S     587,215  
  4,979     Genmab A/S(b)     129,816  
  81,337     GN Store Nord A/S     1,485,620  
  4,777     Greentech Energy Systems AS(b)     7,848  
  14,260     H. Lundbeck A/S     284,389  
  2,058     H+H International A/S - Class B(b)     10,143  
  2,374     Harboes Bryggeri A/S - Class B     32,290  
  963     IC Companys A/S     19,307  
  26,312     Jyske Bank A/S(b)     1,023,924  
  18,842     NKT Holding A/S     695,621  
  70     Nordjyske Bank A/S     1,144  
  250     Norresundby Bank A/S     8,236  
  6,068     Pandora A/S     185,220  
  3,031     Parken Sport & Entertainment A/S(b)     45,777  
  664     PER Aarsleff A/S - Class B     64,276  
  1,788     Ringkjoebing Landbobank A/S     293,731  
  2,141     Rockwool International A/S - Class B     282,701  
  906     Royal UNIBREW A/S     82,100  
  7,711     Schouw & Co.     255,394  
  1,682     SimCorp A/S     491,726  
  2,238     Solar A/S - Class B     112,274  
  12,946     Spar Nord Bank A/S(b)     83,241  
  30,004     Sydbank A/S(b)     683,704  
  33     Tivoli A/S     17,575  
  16,761     TK Development A/S(b)     27,831  
  37,860     Topdanmark AS(b)     971,061  
  33,402     TopoTarget A/S(b)     17,111  
  129,120     Topsil Semiconductor Materials(b)     8,895  
  2,520     Tryg A/S     218,209  
  130,586     Vestas Wind Systems A/S(b)     1,131,679  
  2,285     Vestjysk Bank A/S(b)     3,330  
              27,488,658  
FINLAND — 0.5%        
  9,996     Ahlstrom Oyj     151,389  
  379     Aktia Oyj - Class A     3,244  
  2,952     Alma Media Oyj     13,373  
  39,132     Amer Sports Oyj     665,831  
  1,770     Aspo Oyj     13,054  
  1,682     Bank of Aland Plc - Class B     17,056  
  2,196     BasWare Oyj     56,221  
  18,521     Biotie Therapies Oyj(b)     8,781  
  15,775     Cargotec Oyj - Class B     469,720  
  93,179     Citycon Oyj     301,872  
  2,317     Comptel Oyj(b)     1,312  
  4,120     Cramo Oyj     54,258  


14
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - ( C ontinued) April 30, 2013
  (Unaudited)

 

Shares         Value  
FINLAND (continued)        
  7,193     Digia Plc   $ 28,134  
  17,999     Elisa Oyj     341,335  
  29,480     Finnair Oyj     97,059  
  1,799     Finnlines Oyj(b)     15,992  
  12,672     Fiskars Oyj Abp     281,867  
  31,761     F-Secure Oyj     66,924  
  11,600     HKScan Oyj - A Shares     56,065  
  39,467     Huhtamaki Oyj     739,100  
  2,336     Ilkka-Yhtyma Oyj     9,537  
  17,695     Kemira Oyj     267,757  
  1,624     Kesko Oyj - Class A     51,629  
  31,775     Kesko Oyj - Class B     954,091  
  15,462     Konecranes Oyj     560,788  
  4,409     Lassila & Tikanoja Oyj     78,097  
  3,187     Lemminkainen Oyj     62,957  
  54,626     Metsa Board Oyj     169,778  
  112,327     Metso Oyj     4,613,908  
  30,299     Neste Oil Oyj     472,044  
  52,206     Nokian Renkaat Oyj     2,263,339  
  10,195     Okmetic Oyj     59,479  
  5,138     Olvi Oyj - Class A     151,231  
  27,673     Oriola-KD Oyj - Class B     85,279  
  10,430     Orion Oyj - Class A     298,204  
  9,618     Orion Oyj - Class B     276,128  
  79,999     Outokumpu Oyj(b)     55,575  
  9,092     Outotec Oyj     132,669  
  13,413     PKC Group Oyj     329,615  
  132,675     Pohjola Bank Plc - Class A     2,257,465  
  766     Ponsse Oyj     5,992  
  4,495     Poyry Oyj(b)     26,331  
  43,685     Raisio Plc - V Shares     186,976  
  26,580     Ramirent Oyj     263,234  
  6,650     Rapala VMC Oyj     40,811  
  40,697     Rautaruukki Oyj     261,763  
  32,226     Ruukki Group Oyj(b)     17,400  
  267     Saga Furs Oyj     8,414  
  19,281     Sanoma Oyj     156,923  
  740     Sievi Capital Plc     994  
  1,969     SRV Group Plc     8,298  
  2,865     Stockmann Oyj Abp - Class A(d)     43,994  
  8,470     Stockmann Oyj Abp - Class B     122,477  
  284,272     Stora Enso Oyj - Class R     1,974,813  
  163,338     Talvivaara Mining Co. Plc(b)     41,839  
  5,454     Technopolis Oyj     29,305  
  675     Teleste Oyj     3,680  
  8,154     Tieto Oyj     174,607  
  16,032     Tikkurila Oyj     344,148  
  237,954     UPM-Kymmene Oyj     2,488,187  
  2,990     Uponor Oyj     44,260  
  3,176     Vacon Oyj     217,832  
  3,684     Vaisala Oyj - Class A     100,235  
  70,509     Wartsila Oyj Abp     3,460,775  
  93,678     YIT Oyj     1,770,349  
              28,325,794  
Shares         Value  
FRANCE — 2.1%        
  3,657     ABC Arbitrage   $ 20,998  
  24,037     Accor SA     794,554  
  2,633     Aeroports de Paris     238,323  
  542     Affine SA REIT     9,700  
  61,626     Air France-KLM(b)     624,595  
  1,039,619     Alcatel-Lucent(b)     1,425,261  
  902     Ales Groupe     14,373  
  5,620     Altamir Amboise     66,093  
  9,534     Alten SA     343,527  
  85,802     Altran Technologies SA(b)     675,722  
  996     ANF Immobilier REIT     30,169  
  3,847     April     61,910  
  4,970     Archos(b)     16,690  
  46,520     Arkema SA     4,358,359  
  4,828     Assystem     102,622  
  13,833     AtoS     962,788  
  1,591     Audika Groupe     16,196  
  1,151     Aurea SA     6,230  
  600     Avanquest Software(b)     1,217  
  653     Axway Software SA     13,648  
  8,157     Beneteau SA(b)     85,402  
  2,529     Bigben Interactive(b)     23,814  
  3,331     BioMerieux     316,680  
  120,758     Boiron SA(d)     6,843,160  
  3,630     Bollore SA     1,529,770  
  11,728     Bonduelle SCA     299,173  
  2,143     Bongrain SA     145,062  
  13,097     Bourbon SA     357,208  
  267     Boursorama(b)     2,131  
  27,832     Bull(b)     89,434  
  41     Burelle SA     17,872  
  46,254     Cap Gemini SA     2,127,429  
  244     Cegedim SA(b)     7,012  
  2,386     Cegid Group     48,548  
  90     Cie des Alpes     1,802  
  124,773     Cie Generale de Geophysique - Veritas(b)     2,702,240  
  4,096     Ciments Francais SA     223,807  
  10,437     Club Mediterranee SA(b)     177,311  
  32,302     Derichebourg SA(b)     130,556  
  2,118     Devoteam SA     26,080  
  22,092     Edenred     735,498  
  9,356     Eiffage SA     414,122  
  845     Electricite de Strasbourg(d)     103,871  
  3,548     Eramet     378,990  
  482     Esso SA Francaise     30,139  
  26,260     Etablissements Maurel et Prom     446,641  
  374     Etam Developpement SA(b)     9,063  
  50,701     Euler Hermes SA     4,840,876  
  1,377     Euro Disney SCA(b)     8,814  
  9,312     Eutelsat Communications SA     336,202  
  1,226     Exel Industries SA - Class A     58,125  
  1,098     Faiveley Transport SA     66,357  
  16,125     Faurecia     299,425  
  1,000     Fimalac(b)     53,468  
  539     Fleury Michon SA     31,375  


15
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - ( C ontinued) April 30, 2013
  (Unaudited)

 

Shares         Value  
FRANCE (continued)        
  3,002     Fonciere Des Regions REIT   $ 238,791  
  12,718     GameLoft SA(b)     85,420  
  202     Gaumont SA(d)     9,869  
  1,559     Gecina SA REIT     187,471  
  18,917     GFI Informatique SA     80,717  
  2,835     GL Events     59,737  
  257     Groupe Crit     5,067  
  149,815     Groupe Eurotunnel SA     1,254,229  
  922     Groupe Flo     3,424  
  13,154     Groupe Partouche SA(b)     15,071  
  11,400     Groupe Steria SCA     168,298  
  393     Guerbet     51,161  
  5,836     Haulotte Group SA(b)     48,804  
  46,382     Havas SA     283,485  
  23,886     Hi-Media SA(b)     55,678  
  6,307     ICADE REIT     581,420  
  14,838     Imerys SA     972,160  
  145,569     Ingenico     9,755,978  
  1,376     Interparfums SA     43,872  
  1,275     Ipsen SA     45,546  
  173,723     IPSOS(d)     5,822,568  
  6,240     Jacquet Metal Service     71,700  
  27,960     JCDecaux SA     768,474  
  34,994     Klepierre REIT     1,483,949  
  2,912     Korian     63,622  
  33,822     Lagardere SCA     1,256,972  
  936     Laurent-Perrier     75,809  
  1,354     Lectra     8,470  
  1,715     LISI     192,904  
  735     Maisons France Confort     21,285  
  3,691     Manitou BF SA     52,886  
  467     Manutan International     17,466  
  11,766     Maurel & Prom Nigeria SA(b)     54,698  
  320,651     Medica SA(d)     5,937,278  
  174,986     Mersen(d)     4,044,361  
  2,556     METabolic EXplorer SA(b)     8,920  
  6,297     Metropole Television SA     105,402  
  437     Montupet     8,310  
  1,975     Mr Bricolage     23,851  
  1,519     Naturex     117,906  
  186,712     Neopost SA     12,280,999  
  189,055     Nexans SA     8,675,571  
  9,928     Nexity SA     356,939  
  23,253     NicOx SA(b)     79,467  
  873     Norbert Dentressangle SA     67,832  
  7,604     NRJ Group     57,481  
  17,460     Oeneo(c)     62,773  
  7,755     Orpea     337,027  
  19,387     PagesJaunes Groupe(b)     40,851  
  1,855     Parrot SA(b)     47,564  
  69,154     Peugeot SA(b)     553,720  
  1,004     Pierre & Vacances SA     18,934  
  9,912     Plastic Omnium SA     483,897  
  9,806     Rallye SA     387,808  
  14,085     Recylex SA(b)     54,720  
  5,662     Remy Cointreau SA     659,236  
Shares         Value  
FRANCE (continued)        
  92,477     Rexel SA   $ 2,034,462  
  159,079     Rubis SCA(d)     10,220,417  
  4,800     Sa des Ciments Vicat     284,461  
  7,206     Saft Groupe SA     177,367  
  1,023     Sartorius Stedim Biotech     144,963  
  135,370     SCOR SE     4,108,361  
  7,643     SEB SA     554,003  
  1,217     Seche Environnement SA     48,306  
  5,884     Sechilienne-Sidec     108,408  
  3,254     Sequana SA(b)     23,955  
  7,940     Societe BIC SA     847,297  
  7,186     Societe d’Edition de Canal +     50,252  
  3,179     Societe Immobiliere de Location pour l’Industrie et le Commerce REIT     374,323  
  696     Societe Internationale de Plantations d’Heveas SA     55,894  
  40,446     Societe Television Francaise 1     427,881  
  60,657     SOITEC(b)     219,676  
  806     Somfy SA     178,326  
  1,699     Sopra Group SA     130,782  
  243     Spir Communication(b)     3,248  
  101     Stallergenes SA     6,496  
  2,498     Ste Industrielle d’Aviation Latecoere SA(b)     26,417  
  1,492     STEF     78,006  
  28,979     Suez Environnement Co.     416,177  
  1,654     Sword Group     26,378  
  1,013     Synergie SA     11,286  
  18,742     Technicolor SA(b)     77,749  
  15,897     Teleperformance SA     699,666  
  155     Tessi SA     17,351  
  26,644     Thales SA     1,157,230  
  16,096     Theolia SA(b)     28,193  
  82     Thermador Groupe     6,177  
  440     Touax SA     10,112  
  1,421     Transgene SA(b)     16,880  
  2,866     Trigano SA(b)     36,310  
  41,685     UBISOFT Entertainment(b)     464,978  
  694     Union Financiere de France BQE SA     15,263  
  34,483     Valeo SA     2,002,687  
  29,268     Vallourec SA     1,406,682  
  38,306     Veolia Environnement SA     527,929  
  602     Vetoquinol SA     21,208  
  1,404     Viel et Co.     4,401  
  808     Vilmorin & Cie     103,217  
  1,445     Virbac SA     294,964  
  107     VM Materiaux SA     2,078  
  1,131     Vranken - Pommery Monopole SA     30,460  
  11,613     Zodiac Aerospace     1,455,506  
              119,934,463  
GABON — 0.0%        
  55     Total Gabon     33,680  

 

16
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - ( C ontinued) April 30, 2013
  (Unaudited)

 

Shares         Value  
GERMANY — 2.5%        
  11,132     Aareal Bank AG(b)   $ 267,550  
  37,576     ADVA Optical Networking SE(b)     180,573  
  10,093     Air Berlin Plc(b)     29,934  
  18,603     Aixtron SE     265,327  
  1,088     Alba SE(d)     89,553  
  961     Allgeier SE     15,371  
  5,308     Alstria Office REIT AG     64,311  
  67     Amadeus Fire AG     3,988  
  640     AS Creation Tapeten     37,549  
  15,525     Aurubis AG     975,810  
  9,222     Axel Springer AG     388,637  
  8,917     Balda AG     50,637  
  1,501     Bauer AG     42,984  
  4,404     BayWa AG     221,525  
  10,613     Bechtle AG     469,620  
  1,967     Bertrandt AG     226,249  
  125     Bijou Brigitte AG     12,503  
  104,338     Bilfinger SE     10,456,747  
  1,210     Biotest AG     94,176  
  23,015     Borussia Dortmund GmbH & Co. KGaA     99,355  
  5,031     Brenntag AG     857,681  
  3,419     CANCOM SE     74,541  
  16,674     Carl Zeiss Meditec AG     510,653  
  10,615     Celesio AG     210,041  
  2,761     CENIT AG     33,634  
  8,279     CENTROTEC Sustainable AG     171,505  
  3,390     Cewe Color Holding AG     147,774  
  17,476     Comdirect Bank AG     184,604  
  869     CompuGroup Medical AG     20,039  
  7,207     Constantin Medien AG(b)     14,692  
  5,227     COR&FJA AG(b)     5,844  
  7,800     CropEnergies AG     60,092  
  6,999     CTS Eventim AG     270,298  
  7,898     DAB Bank AG     38,381  
  2,014     Delticom AG     98,932  
  3,806     Deutsche Beteiligungs AG     92,402  
  29,358     Deutsche Lufthansa AG     586,905  
  11,565     Deutsche Wohnen AG     203,937  
  33,396     Deutz AG(b)     180,673  
  20,474     Dialog Semiconductor Plc(b)     243,208  
  2,601     Dr Hoenle AG     38,793  
  570     Draegerwerk AG & Co. KGaA     60,653  
  17,862     Drillisch AG     360,848  
  7,490     Duerr AG     854,969  
  4,400     DVB Bank SE(d)     139,070  
  909     Eckert & Ziegler AG     34,297  
  9,177     Elmos Semiconductor AG     95,477  
  216,951     ElringKlinger AG(d)     7,081,415  
  1,475     Envitec Biogas AG(b)     15,054  
  4,231     Euromicron AG     84,695  
  42,200     Evotec AG(b)     151,220  
  99,922     Fielmann AG(d)     9,654,929  
  2,910     First Sensor AG(b)     29,547  

 

Shares         Value  
GERMANY (continued)        
  31,432     Fraport AG Frankfurt Airport Services Worldwide   $ 1,878,477  
  51,919     Freenet AG     1,292,967  
  5,957     Fuchs Petrolub AG     455,014  
  127,975     GEA Group AG     4,328,866  
  3,293     Generali Deutschland Holding AG     440,177  
  6,004     Gerresheimer AG     342,807  
  7,035     Gerry Weber International AG     308,562  
  2,345     Gesco AG     248,357  
  123,955     GFK SE(d)     7,073,302  
  5,545     GFT Technologies AG     25,851  
  8,519     Gigaset AG(b)     10,490  
  33,550     Gildemeister AG     756,204  
  5,876     Grammer AG     186,495  
  3,340     Grenkeleasing AG     267,876  
  5,192     H&R AG     63,193  
  4,973     Hamborner AG REIT     48,549  
  3,184     Hamburger Hafen und Logistik AG     68,516  
  21,554     Hannover Rueckversicherung SE     1,820,081  
  656     Hansa Group AG     2,764  
  1,410     Hawesko Holding AG     77,526  
  64,186     Heidelberger Druckmaschinen AG(b)     140,742  
  24,960     Hochtief AG(b)     1,732,306  
  2,809     Homag Group AG(b)     52,900  
  9,773     Indus Holding AG     322,922  
  502     Init Innovation In Traffic Systems AG     16,065  
  8,503     Intershop Communications AG(b)     18,488  
  2,380     Isra Vision AG     104,201  
  2,131     IVG Immobilien AG(b)     1,790  
  17,344     Jenoptik AG     198,924  
  9,968     Kabel Deutschland Holding AG     947,402  
  35,496     Kloeckner & Co. SE(b)     427,824  
  4,129     Koenig & Bauer AG(b)     99,564  
  17,251     Kontron AG     93,578  
  11,627     Krones AG     808,636  
  210     KSB AG(d)     130,536  
  4,386     KUKA AG(b)     198,122  
  1,466     KWS Saat AG     548,942  
  61,859     Lanxess AG     4,505,028  
  798     Leifheit AG     31,775  
  26,280     Leoni AG     1,186,308  
  4,150     Loewe AG(b)     12,297  
  2,194     LPKF Laser & Electronics AG     57,802  
  141     Manz AG(b)     4,819  
  5,154     Medigene AG(b)     5,369  
  13,301     MLP AG     94,415  
  408     Mobotix AG     8,205  
  9,415     Morphosys AG(b)     427,583  
  144,314     MTU Aero Engines Holding AG     13,653,507  


17
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - ( C ontinued) April 30, 2013
  (Unaudited)

 

Shares         Value  
GERMANY (continued)        
  384     Muehlbauer Holding AG & Co. KGaA   $ 10,615  
  3,842     MVV Energie AG     113,540  
  1,551     Nemetschek AG     91,089  
  2,244     Nexus AG     26,745  
  3,272     Nordex SE(b)     24,600  
  281,883     NORMA Group AG(d)     9,943,287  
  1,021     OHB AG     21,964  
  9,199     Patrizia Immobilien AG(b)     93,149  
  1,728     Pfeiffer Vacuum Technology AG     209,910  
  19,644     PNE Wind AG     69,875  
  21,193     Praktiker AG(b)     30,952  
  375     Progress-Werk Oberkirch AG     16,791  
  1,296     PSI AG Gesellschaft Fuer Produkte und Systeme der Informationstechnologie     27,138  
  2,224     Puma SE     688,877  
  1,608     PVA TePla AG     4,417  
  75,197     QSC AG     242,625  
  870     R Stahl AG     40,674  
  19,877     Rational AG(d)     6,163,380  
  42,668     Rheinmetall AG     2,020,932  
  32,486     Rhoen Klinikum AG     693,931  
  12,812     SAF-Holland SA(b)     106,417  
  6,334     Salzgitter AG     247,911  
  819     Schaltbau Holding AG     40,388  
  2,061     Sedo Holding AG(b)(d)     5,760  
  22,668     SGL Carbon SE     774,079  
  19,326     Singulus Technologies AG(b)     32,069  
  14,802     Sixt AG     321,077  
  1,851     SKW Stahl-Metallurgie Holding AG     30,593  
  113,539     Sky Deutschland AG(b)     651,182  
  97     SMA Solar Technology AG     2,402  
  361     SMT Scharf AG     11,358  
  19,961     Software AG     697,806  
  8,494     Solarworld AG     7,830  
  18,322     Stada Arzneimittel AG     741,972  
  904     STINAG Stuttgart Invest AG(d)     18,846  
  664     STRACTEC Biomedical AG     29,919  
  159     Stroeer Media AG(b)     1,534  
  66,797     Suedzucker AG     2,692,711  
  21,586     Suss Microtec AG(b)     247,037  
  617,282     Symrise AG(d)     26,338,926  
  30,278     TAG Immobilien AG     366,847  
  9,742     Takkt AG     162,553  
  1,753     Telegate AG     18,859  
  2,222     Tipp24 SE(b)     129,019  
  762     Tom Tailor Holding AG     16,242  
  4,964     Tomorrow Focus AG     27,326  
  22,446     TUI AG(b)     237,842  
  34,543     United Internet AG     946,222  
  2,043     Verbio AG(b)     2,793  
  4,342     Vossloh AG     474,611  
  4,343     VTG AG     81,274  

 

Shares         Value  
GERMANY (continued)        
  3,635     Wacker Chemie AG   $ 277,748  
  17,355     Wacker Neuson SE     254,841  
  62     Washtec AG(b)     869  
  1,012     Wincor Nixdorf AG     53,257  
  23,037     Wirecard AG     618,361  
  166     XING AG     8,471  
  275     zooplus AG(b)     15,176  
              139,351,945  
GIBRALTAR — 0.0%        
  23,380     888 Holdings Plc     61,739  
  176,819     Bwin.Party Digital Entertainment Plc     366,948  
              428,687  
GREECE — 0.1%        
  811     Aegean Airlines SA(b)     2,563  
  96     Alapis Holding Industrial and Commercial SA of Pharmaceutical Chemical Products(b)(c)(d)     5  
  147,872     Alpha Bank AE(b)     187,145  
  1,098     Astir Palace Hotel SA(b)     5,611  
  2,153     Athens Water Supply & Sewage Co. SA (The)     16,133  
  7,424     Bank of Greece     131,990  
  57,616     Ellaktor SA(b)     157,066  
  3,374     Folli Follie Group(b)     70,561  
  1,869     Forthnet SA(b)     903  
  5,815     Fourlis Holdings SA(b)     15,929  
  10,782     Frigoglass SA(b)     71,707  
  17,301     GEK Terna Holding Real Estate Construction SA(b)     46,253  
  10,539     Hellenic Exchanges SA Holding Clearing Settlement and Registry     70,646  
  28,693     Hellenic Petroleum SA     317,413  
  19,670     Hellenic Telecommunications Organization SA(b)     170,969  
  31,091     Intralot SA-Integrated Lottery Systems & Services     85,166  
  13,884     JUMBO SA     130,734  
  2,599     Lamda Development SA(b)     17,045  
  6,590     Metka SA     100,065  
  5,531     Motor Oil (Hellas) Corinth Refineries SA     61,040  
  26,955     Mytilineos Holdings SA(b)     166,842  
  266,494     National Bank of Greece SA(b)     222,859  
  1,037     OPAP SA     10,229  
  232,638     Piraeus Bank SA(b)     64,951  
  618     Piraeus Port Authority     15,537  
  22,848     Proton Bank SA(b)(c)(d)     0  
  7,731     Public Power Corp. SA(b)     74,935  
  1,978     S&B Industrial Minerals SA     15,109  
  5,302     Sarantis SA(b)     31,770  
  12,534     T Bank SA(b)(c)(d)     0  
  3,630     Teletypos SA Mega Channel(b)     975  


18
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - ( C ontinued) April 30, 2013
  (Unaudited)

 

Shares         Value  
GREECE (continued)        
  5,987     Terna Energy SA   $ 26,492  
  647     Thessaloniki Port Authority SA     19,350  
  592     Titan Cement Co. SA(b)     10,993  
  31,091     TT Hellenic Postbank SA(b)(c)(d)     0  
  24,240     Viohalco Hellenic Copper and Aluminum Industry SA(b)     149,080  
              2,468,066  
GUERNSEY — 0.1%        
  7,397     Raven Russia Ltd.     8,388  
  803,242     Resolution Ltd.     3,292,722  
  86,000     Tethys Petroleum Ltd.(b)     69,145  
              3,370,255  
HONG KONG — 1.5%        
  220,000     361 Degrees International Ltd.     59,535  
  66,000     Ajisen China Holdings Ltd.     47,628  
  160,000     Alco Holdings Ltd.     32,989  
  44,000     Allan International Holdings Ltd.     14,458  
  30,000     Allied Group Ltd.(d)     105,153  
  1,753,693     Allied Properties HK Ltd.     275,704  
  7,214,000     AMVIG Holdings Ltd.(d)     2,788,864  
  180,000     Anxin-China Holdings Ltd.     37,809  
  1,540,000     Apac Resources Ltd.(b)     29,569  
  84,000     APT Satellite Holdings Ltd.     53,148  
  144,000     Asia Financial Holdings Ltd.     65,318  
  58,000     Asia Satellite Telecommunications Holdings Ltd.     227,960  
  421,877     Asia Standard International Group     78,829  
  258,000     Asian Citrus Holdings Ltd.     109,714  
  406,500     ASM Pacific Technology Ltd.     4,190,641  
  80,000     Associated International Hotels Ltd.(d)     216,491  
  820,000     AVIC International Holding HK Ltd.(b)     34,870  
  89,000     Beijing Development HK Ltd.(b)     19,268  
  84,000     Beijing Enterprises Holdings Ltd.     628,364  
  1,217,000     Beijing Enterprises Water Group Ltd.     368,543  
  244,000     Beijing Properties Holdings Ltd.(b)     14,778  
  504,000     Bel Global Resources Holdings Ltd.(b)(c)(d)     0  
  906,000     Birmingham International Holdings Ltd.(b)(c)(d)     17,746  
  144,000     Bonjour Holdings Ltd.     23,381  
  390,000     Bosideng International Holdings Ltd.     102,524  
  218,000     Bossini International Holdings Ltd.     11,658  
  425,000     Brightoil Petroleum Holdings Ltd.(b)     81,055  

 

Shares         Value  
HONG KONG (continued)        
  668,000     Brilliance China Automotive Holdings Ltd.(b)   $ 817,768  
  6,000     Brilliant Circle Holdings International Ltd.     3,023  
  2,064,354     Brockman Mining Ltd.(b)     119,709  
  1,296,000     Burwill Holdings Ltd.(b)     21,377  
  498,791     C C Land Holdings Ltd.     167,760  
  106,000     Cafe de Coral Holdings Ltd.     336,707  
  23,000     Carnival Group International Holdings Ltd.(b)     1,423  
  718,800     Century City International Holdings Ltd.     52,797  
  240,000     Century Sunshine Group Holdings Ltd.     24,742  
  1,590,446     Champion Technology Holdings Ltd.     24,184  
  276,560     Chaoda Modern Agriculture Holdings Ltd.(b)(d)     13,828  
  835,000     Chaoyue Group Ltd.(b)     39,812  
  180,000     Chen Hsong Holdings     60,540  
  117,988     Cheuk Nang Holdings Ltd.     92,442  
  80,000     Chevalier International Holdings Ltd.     129,276  
  888,000     Chigo Holding Ltd.(b)     25,175  
  684,000     China Aerospace International Holdings Ltd.     73,158  
  648,137     China Agri-Industries Holdings Ltd.     318,216  
  136,000     China All Access Holdings Ltd.     41,886  
  2,392,000     China Billion Resources Ltd.(b)(c)(d)     0  
  336,000     China Chengtong Development Group Ltd.(b)     11,907  
  1,436,000     China Daye Non-Ferrous Metals Mining Ltd.(b)     40,896  
  120,000     China Electronics Corp. Holdings Co. Ltd.(b)     17,165  
  386,000     China Energine International Holdings Ltd.(b)     17,409  
  110,000     China Energy Development Holdings Ltd.(b)     1,559  
  480,000     China Environmental Investment Holdings Ltd.(b)     18,556  
  4,028,000     China Everbright International Ltd.     3,109,182  
  296,000     China Everbright Ltd.     470,692  
  140,000     China Financial Services Holdings Ltd.(b)     11,546  
  76,936     China Flavors & Fragrances Co. Ltd.(b)(d)     10,212  
  322,000     China Foods Ltd.     164,316  
  952,000     China Gas Holdings Ltd.     938,487  
  238,000     China Glass Holdings Ltd.     32,203  
  159,000     China Green Holdings Ltd.(b)     22,128  
  608,000     China Haidian Holdings Ltd.     66,597  
  6,603,000     China High Precision Automation Group Ltd.(c)(d)     1,038,080  


19
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - ( C ontinued) April 30, 2013
  (Unaudited)

 

Shares         Value  
HONG KONG (continued)        
  467,000     China High Speed Transmission Equipment Group Co. Ltd.(b)   $ 225,672  
  870,000     China Household Holdings Ltd.(b)     72,872  
  1,002,000     China Infrastructure Investment Ltd.(b)     19,368  
  8,918,000     China Lumena New Materials Corp.     1,942,156  
  367,000     China Mengniu Dairy Co. Ltd.     1,033,350  
  136,147     China Merchants Holdings International Co. Ltd.     430,714  
  216,000     China Metal International Holdings, Inc.     54,834  
  193,200     China Metal Recycling Holdings Ltd.(c)(d)     234,773  
  1,770,000     China Mining Resources Group Ltd.(b)     13,685  
  492,557     China New Town Development Co. Ltd.(b)     38,718  
  24,000     China Nuclear Industry 23 International Corp. Ltd.(b)     4,515  
  4,700     China Ocean Resources Co. Ltd.(b)     13,251  
  1,060,000     China Oil and Gas Group Ltd.(b)     193,965  
  1,065,000     China Outdoor Media Group Ltd.(b)     7,685  
  421,500     China Overseas Grand Oceans Group Ltd.     662,655  
  460,000     China Power International Development Ltd.     165,976  
  600,000     China Power New Energy Development Co. Ltd.(b)     34,020  
  430,000     China Precious Metal Resources Holdings Co. Ltd.(b)     73,697  
  244,000     China Properties Group Ltd.(b)     60,684  
  308,000     China Public Procurement Ltd.(b)     16,868  
  4,844,000     China Renji Medical Group Ltd.(b)     19,975  
  3,700,000     China Resources and Transportation Group Ltd.(b)     140,654  
  392,000     China Resources Cement Holdings Ltd.     225,800  
  246,000     China Resources Enterprise Ltd.     843,231  
  120,800     China Resources Gas Group Ltd.     338,576  
  2,615,600     China Singyes Solar Technologies Holdings Ltd.     2,268,382  
  1,230,000     China South City Holdings Ltd.     209,223  
  535,000     China Starch Holdings Ltd.     14,616  
  275,440     China State Construction International Holdings Ltd.     401,084  
  970,000     China Strategic Holdings Ltd.(b)     16,250  
  364,400     China Taiping Insurance Holdings Co. Ltd.(b)     620,783  
  8,000     China Tianyi Holdings Ltd.     1,031  

 

Shares         Value  
HONG KONG (continued)        
  296,000     China Ting Group Holdings Ltd.   $ 19,072  
  1,162,000     China Travel International Investment Hong Kong Ltd.     236,588  
  230,000     China Vanadium Titano - Magnetite Mining Co. Ltd.     55,128  
  52,000     China Water Affairs Group Ltd.     15,613  
  1,350,000     China WindPower Group Ltd.     52,190  
  57,000     Chong Hing Bank Ltd.     151,312  
  108,000     Chow Sang Sang Holdings International Ltd.     292,262  
  198,000     Chu Kong Shipping Enterprise Group Co. Ltd.     37,762  
  64,000     Chuang’s China Investments Ltd.     4,124  
  385,500     Chuang’s Consortium International Ltd.(b)     49,180  
  90,000     CIMC Enric Holdings Ltd.     97,421  
  62,000     Citic 21CN Co. Ltd.(b)     3,436  
  412,000     Citic Pacific Ltd.     498,532  
  1,237,000     Citic Resources Holdings Ltd.(b)     156,216  
  258,000     Citic Telecom International Holdings Ltd.     93,756  
  1,018,000     CK Life Sciences International Holdings, Inc.     89,204  
  68,000     Clear Media Ltd.     49,071  
  118,000     Coastal Greenland Ltd.(b)     7,223  
  336,387     Comba Telecom Systems Holdings Ltd.     114,872  
  8,000     Convenience Retail Asia Ltd.     5,649  
  156,000     Cosco International Holdings Ltd.     66,138  
  349,897     COSCO Pacific Ltd.     463,514  
  380,000     Cosmos Machinery Enterprises Ltd.(d)     27,912  
  1,010,000     CP Lotus Corp.(b)     29,284  
  1,238,000     CP Pokphand Co.     132,412  
  42,000     Cross-Harbour Holdings Ltd.     35,504  
  1,689,335     CSI Properties Ltd.     79,458  
  424,000     CSPC Pharmaceutical Group Ltd.(b)     204,347  
  208,000     CST Mining Group Ltd.(b)     2,707  
  37,600     Culture Landmark Investment Ltd.(b)     2,810  
  155,000     Culturecom Holdings Ltd.(b)     33,756  
  183,000     DaChan Food Asia Ltd.     23,110  
  79,000     Dah Chong Hong Holdings Ltd.     72,789  
  187,440     Dah Sing Banking Group Ltd.     275,841  
  62,650     Dah Sing Financial Holdings Ltd.     328,987  
  218,000     Dan Form Holdings Co. Ltd.     26,126  
  132,000     Dawnrays Pharmaceutical Holdings Ltd.     39,803  
  244,000     DBA Telecommunication Asia Holdings Ltd.     147,152  
  160,550     Dickson Concepts International Ltd.     85,446  


20
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - ( C ontinued) April 30, 2013
  (Unaudited)

 

Shares         Value  
HONG KONG (continued)        
  139,000     Digital China Holdings Ltd.   $ 175,180  
  275,000     Dingyi Group Investment Ltd.(b)     13,466  
  104,000     DMX Technologies Group Ltd.     20,265  
  88,000     Dorsett Hospitality International Ltd.     24,268  
  108,000     Dynasty Fine Wines Group Ltd.(b)(c)(d)     20,041  
  64,000     EcoGreen Fine Chemicals Group Ltd.     12,536  
  168,234     EganaGoldpfeil Holdings Ltd.(b)(c)(d)     0  
  62,000     Embry Holdings Ltd.     33,157  
  264,000     Emperor Capital Group Ltd.     12,077  
  325,000     Emperor Entertainment Hotel Ltd.     98,838  
  500,416     Emperor International Holdings Ltd.     139,933  
  42,840,000     Emperor Watch & Jewellery Ltd.(d)     4,361,204  
  950,000     EPI Holdings Ltd.(b)     38,562  
  789,100     Esprit Holdings Ltd.     1,106,346  
  504,000     eSun Holdings Ltd.(b)     81,184  
  596,000     EVA Precision Industrial Holdings Ltd.     102,916  
  9,500     Fairwood Ltd.     20,273  
  478,273     Far East Consortium International Ltd.     153,463  
  576,000     First Pacific Co. Ltd.     797,180  
  598,000     Fook Woo Group Holdings Ltd.(b)(c)(d)     104,802  
  402,982     Fortune Oil Plc     50,203  
  302,000     Fountain SET Holdings Ltd.(b)     37,360  
  1,170,000     Franshion Properties China Ltd.     399,541  
  195,600     Fufeng Group Ltd.     70,324  
  1,643,000     GCL-Poly Energy Holdings Ltd.     332,405  
  490,000     Geely Automobile Holdings Ltd.     246,258  
  498,000     Genting Hong Kong Ltd.(b)(d)     240,653  
  1,444,000     Get Nice Holdings Ltd.     66,988  
  456,000     Giordano International Ltd.     455,991  
  1,839,200     Global Bio-Chem Technology Group Co. Ltd.     158,794  
  128,000     Global Sweeteners Holdings Ltd.(b)     8,247  
  979,000     Glorious Property Holdings Ltd.(b)     152,650  
  168,000     Glorious Sun Enterprises Ltd.     50,009  
  220,000     Gold Peak Industries Holding Ltd.(d)     24,381  
  220,000     Goldbond Group Holdings Ltd.(b)     7,796  
  684,000     Golden Meditech Holdings Ltd.     80,210  
  140,000     Goldin Properties Holdings Ltd.(b)     80,102  
  98,000     Goldlion Holdings Ltd.     51,651  
  3,926,600     GOME Electrical Appliances Holdings Ltd.(b)     394,676  

 

Shares         Value  
HONG KONG (continued)        
  16,000     Good Friend International Holdings, Inc.   $ 5,464  
  219,960     Great Eagle Holdings Ltd.     932,544  
  6,885,000     G-Resources Group Ltd.(b)     323,837  
  924,000     Guangdong Investment Ltd.     894,215  
  184,000     Guangnan Holdings Ltd.     21,340  
  116,000     Guotai Junan International Holdings Ltd.     48,880  
  61,000     Haier Electronics Group Co. Ltd.(b)     108,949  
  226,738     Haitong International Securities Group Ltd.     95,251  
  2,658,000     Hanergy Solar Group Ltd.(b)     191,811  
  468,000     Hao Tian Resources Group Ltd.(b)     25,631  
  114,000     Harbour Centre Development Ltd.(d)     232,403  
  2,439,359     Heng Tai Consumables Group Ltd.(b)     50,295  
  834,000     Hengdeli Holdings Ltd.     242,887  
  483,000     Hi Sun Technology (China) Ltd.(b)     56,017  
  1,318,035     HKC Holdings Ltd.     44,160  
  318,000     HKR International Ltd.     158,997  
  186,000     Hon Kwok Land Investment Co. Ltd.     80,295  
  5,200     Hong Kong Aircraft Engineering Co. Ltd.     74,983  
  50,000     Hong Kong Ferry (Holdings) Co. Ltd.     54,960  
  227,000     Hong Kong Television Network Ltd.     68,742  
  310,151     Hongkong & Shanghai Hotels (The)     504,385  
  727,700     Hongkong Chinese Ltd.     142,536  
  102,500     Hopewell Highway Infrastructure Ltd.     50,589  
  279,000     Hopewell Holdings Ltd.     1,078,587  
  220,000     Hopson Development Holdings Ltd.(b)     366,849  
  376,000     Hsin Chong Construction Group Ltd.     54,752  
  254,400     Hua Han Bio-Pharmaceutical Holdings Ltd.     82,285  
  181,000     Huabao International Holdings Ltd.     83,034  
  536,000     Huafeng Group Holdings Ltd.(b)     13,952  
  259,631     Hung Hing Printing Group Ltd.     42,825  
  524,000     Huscoke Resources Holdings Ltd.(b)     6,752  
  1,402,000     Hutchison Harbour Ring Ltd.     113,820  
  1,441,000     Hutchison Telecommunications Hong Kong Holdings Ltd.     768,766  
  16,000     Hycomm Wireless Ltd.(b)     3,402  
  67,000     Hysan Development Co. Ltd.     331,972  
  1,768,000     Imagi International Holdings Ltd.(b)     19,366  


21
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
HONG KONG (continued)      
  995,000     Inspur International Ltd.   $ 38,466  
  592,500     Interchina Holdings Co.(b)     33,213  
  410,000     IPE Group Ltd.     31,172  
  442,000     IRC Ltd.(b)     56,958  
  398,000     IT Ltd.     145,657  
  99,000     ITC Properties Group Ltd.     41,717  
  72,000     Jinchuan Group International Resources Co. Ltd.(b)     13,268  
  134,000     Jinhui Holdings Ltd.(b)     28,837  
  842,500     Johnson Electric Holdings Ltd.     574,322  
  360,000     Ju Teng International Holdings Ltd.     234,274  
  600,611     K Wah International Holdings Ltd.     328,163  
  1,940,000     Kai Yuan Holdings Ltd.(b)     49,749  
  234,000     Kam Hing International Holdings Ltd.     19,600  
  42,000     Keck Seng Investments     21,270  
  278,000     King Stone Energy Group Ltd.(b)     13,076  
  208,500     Kingboard Chemical Holdings Ltd.     566,916  
  342,500     Kingboard Laminates Holdings Ltd.     153,592  
  196,000     Kingmaker Footwear Holdings Ltd.     34,602  
  1,742,000     Kingston Financial Group Ltd.     139,178  
  206,666     Kingway Brewery Holdings Ltd.     82,292  
  2,280,000     Ko Yo Chemical Group Ltd.(b)     29,675  
  417,000     Kowloon Development Co. Ltd.     552,407  
  368,000     KWG Property Holding Ltd.     254,181  
  2,412,000     Lai Fung Holdings Ltd.     59,677  
  5,146,750     Lai Sun Development Co. Ltd.(b)     154,532  
  520,000     Lai Sun Garment International Ltd.(b)     102,524  
  9,000     Lam Soon Hong Kong Ltd.     5,219  
  116,000     Le Saunda Holdings Ltd.     36,025  
  68,000     Lee & Man Chemical Co. Ltd.     31,546  
  1,271,200     Lee & Man Paper Manufacturing Ltd.     945,191  
  15,000     Lee’s Pharmaceutical Holdings Ltd.     10,129  
  74,000     Lerado Group Holdings Co.     8,296  
  24,500     Lifestyle International Holdings Ltd.     54,114  
  4,995,000     Lijun International Pharmaceutical Holding Ltd.     1,551,252  
  1,924,000     Lippo China Resources Ltd.     52,562  
  102,000     Lippo Ltd.     52,051  
  156,000     Liu Chong Hing Investment Ltd.     233,191  
  62,500     LK Technology Holdings Ltd.     11,678  
  705,600     Loudong General Nice Resources China Holdings Ltd.(b)     48,191  
Shares         Value  
HONG KONG (continued)      
  80,000     L’sea Resources International Holdings Ltd.(b)   $ 3,505  
  170,000     Luen Thai Holdings Ltd.     75,798  
  54,000     Luk Fook Holdings International Ltd.     153,090  
  84,000     Luks Group Vietnam Holdings Co. Ltd.     22,082  
  98,000     Lung Kee (Bermuda) Holdings     40,917  
  1,658,000     Magnificent Estates     96,145  
  59,200     Man Wah Holdings Ltd.     57,597  
  38,000     Man Yue Technology Holdings Ltd.     5,680  
  580,000     Mei Ah Entertainment Group Ltd.(b)     10,015  
  673,000     Melco International Development Ltd.     1,309,549  
  282,000     Midland Holdings Ltd.     130,095  
  108,000     MIN XIN Holdings Ltd.     59,705  
  92,000     Ming Fai International Holdings Ltd.     9,959  
  1,070,000     Ming Fung Jewellery Group Ltd.(b)     39,297  
  310,000     Mingfa Group International Co. Ltd.     95,475  
  690,000     Mingyuan Medicare Development Co. Ltd.(b)     14,227  
  500,000     Minmetals Land Ltd.     71,519  
  42,000     Miramar Hotel & Investment Co. Ltd.     58,885  
  280,000     MMG Ltd.(b)     84,071  
  243,000     Mongolia Energy Corp. Ltd.(b)     10,177  
  6,221,148     Nan Hai Corp. Ltd.(b)     25,654  
  10,000     Natural Beauty Bio-Technology Ltd.     812  
  262,000     Neo-Neon Holdings Ltd.(b)     49,293  
  69,500     NetDragon Websoft, Inc.     102,099  
  872,000     New Century Group Hong Kong Ltd.     17,754  
  8,000     New Focus Auto Tech Holdings Ltd.(b)     722  
  4,175,000     New Smart Energy Group Ltd.(b)     39,812  
  228,500     New Times Energy Corp Ltd(b)     20,906  
  857,100     New World China Land Ltd.     376,631  
  123,000     New World Department Store China Ltd.     63,401  
  604,000     Newocean Energy Holdings Ltd.     376,714  
  434,000     Next Media Ltd.(b)     46,978  
  335,000     Nine Dragons Paper Holdings Ltd.     290,529  
  260,000     North Asia Resources Holdings Ltd.(b)     11,727  
  1,150,000     North Mining Shares Co. Ltd.(b)     56,313  
  625,000     Orange Sky Golden Harvest Entertainment Holdings Ltd.(b)     31,008  


22
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
HONG KONG (continued)      
  68,500     Orient Overseas International Ltd.   $ 406,932  
  291,200     Oriental Watch Holdings     94,938  
  42,000     Overseas Chinese Town Asia Holdings Ltd.     21,270  
  718,164     Pacific Andes International Holdings Ltd.     34,704  
  10,287,000     Pacific Basin Shipping Ltd.(d)     5,872,491  
  236,000     Pacific Textile Holdings Ltd.     291,345  
  323,240     Paliburg Holdings Ltd.     109,550  
  59,000     PAX Global Technology Ltd.(b)     12,165  
  697,000     PCCW Ltd.     354,781  
  48,000     Peace Mark Holdings Ltd.(b)(c)(d)     0  
  477,800     Pearl Oriental Oil Ltd.(b)     24,628  
  296,000     Phoenix Satellite Television Holdings Ltd.     112,524  
  368,000     Pico Far East Holdings Ltd.     133,729  
  990,977     PNG Resources Holdings Ltd.(b)     32,564  
  696,000     Poly Property Group Co. Ltd.(b)     485,217  
  1,200,000     Polytec Asset Holdings Ltd.     153,090  
  109,000     Ports Design Ltd.     85,260  
  927,000     Pou Sheng International Holdings Ltd.(b)     53,755  
  560,000     Prosperity International Holdings (Hong Kong) Ltd.(b)     21,649  
  68,000     Public Financial Holdings Ltd.     34,613  
  2,696,000     PYI Corp. Ltd.     66,356  
  212,000     Real Nutriceutical Group Ltd.     56,277  
  386,200     Regal Hotels International Holdings Ltd.     180,654  
  251,000     Regent Manner International Holdings Ltd.     46,900  
  1,800,000     REXLot Holdings Ltd.     148,451  
  784,000     Richfield Group Holdings Ltd.     28,793  
  96,000     Rising Development Holdings Ltd.(b)     4,639  
  131,625     Royale Furniture Holdings Ltd.     10,686  
  176,000     SA SA International Holdings Ltd.     183,254  
  291,000     Samson Holding Ltd.     53,624  
  92,000     SEA Holdings Ltd.     57,262  
  20,000     SEEC Media Group Ltd.(b)     541  
  155,516     Shanghai Industrial Holdings Ltd.     492,992  
  561,000     Shanghai Industrial Urban Development Group Ltd.(b)     113,499  
  3,660,000     Shanghai Zendai Property Ltd.(b)     70,746  
  150,000     Shenyin Wanguo HK Ltd.     53,736  
  208,000     Shenzhen High-Tech Holdings Ltd.     10,319  
  3,232,500     Shenzhen International Holdings Ltd.     420,717  
  830,380     Shenzhen Investment Ltd.     347,768  
Shares         Value  
HONG KONG (continued)      
  339,129     Shimao Property Holdings Ltd.   $ 730,687  
  2,048,000     Shougang Concord International Enterprises Co. Ltd.(b)     105,565  
  54,000     Shougang Concord Technology Holdings(b)     2,505  
  1,112,000     Shougang Fushan Resources Group Ltd.     434,187  
  709,750     Shun Tak Holdings Ltd.     373,160  
  102,650     Silver Base Group Holdings Ltd.     23,678  
  444,000     Silver Grant International Ltd.     71,519  
  507,000     SIM Technology Group Ltd.(b)     19,273  
  268,000     Sing Tao News Corp. Ltd.     37,644  
  782,000     Singamas Container Holdings Ltd.     191,465  
  28,000     Sino Biopharmaceutical     19,304  
  100,000     Sino Distillery Group Ltd.(b)     7,990  
  5,760,000     Sino Oil And Gas Holdings Ltd.(b)     115,049  
  656,000     Sinofert Holdings Ltd.     142,018  
  374,250     Sinolink Worldwide Holdings Ltd.(b)     29,419  
  276,000     Sinopec Kantons Holdings Ltd.     250,031  
  488,500     Sinotrans Shipping Ltd.     119,605  
  38,000     SIS International Holdings     14,593  
  477,278     Skyworth Digital Holdings Ltd.     393,009  
  106,910     SmarTone Telecommunications Holding Ltd.     190,395  
  407,934     SMI Corp. Ltd.(b)     8,674  
  84,843     SOCAM Development Ltd.     122,233  
  283,000     Solargiga Energy Holdings Ltd(b)     13,493  
  366,000     Solomon Systech International Ltd.(b)     9,999  
  30,000     Soundwill Holdings Ltd.     73,298  
  696,000     South China China Ltd.(b)(d)     71,751  
  360,000     Sparkle Roll Group Ltd.     31,546  
  1,413,428     SRE Group Ltd.(b)     52,820  
  94,000     Stella International Holdings Ltd.     276,786  
  60,500     Stelux Holdings International Ltd.     20,504  
  204,000     Success Universe Group Ltd.(b)     4,732  
  16,000     Sun Hing Vision Group Holdings Ltd.     5,423  
  321,801     Sun Hung Kai & Co. Ltd.     225,173  
  1,430,000     Sun Innovation Holdings Ltd.(b)     26,167  
  1,347,000     Superb Summit International Group Ltd.(b)     56,413  
  435,000     Sustainable Forest Holdings Ltd.(b)     2,971  
  302,000     TAI Cheung Holdings Ltd.     241,284  
  174,000     Tak Sing Alliance Holdings Ltd.     26,234  
  720,000     Talent Property Group Ltd.(b)     14,196  
  6,000     Tan Chong International Ltd.     1,856  
  6,000     Tao Heung Holdings Ltd.     3,789  


23
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
HONG KONG (continued)      
  394,000     TCC International Holdings Ltd.   $ 112,207  
  367,000     TCL Communication Technology Holdings Ltd.     147,554  
  152,000     TCL Multimedia Technology Holdings Ltd.     137,307  
  183,500     Techtronic Industries Co.     438,405  
  61,000     Television Broadcasts Ltd.     459,456  
  108,000     Texhong Textile Group Ltd.     125,255  
  272,000     Texwinca Holdings Ltd.     317,561  
  185,800     Tian An China Investment Co. Ltd.     130,967  
  106,000     Tianjin Development Holdings Ltd.(b)     70,756  
  730,000     Tianjin Port Development Holdings Ltd.     104,418  
  466,000     Tianneng Power International Ltd.     294,847  
  2,380,000     Titan Petrochemicals Group Ltd.(b)(c)(d)     767  
  218,000     Tom Group Ltd.(b)     24,440  
  256,252     Tomson Group Ltd.     69,675  
  1,740,000     Tongda Group Holdings Ltd.     106,506  
  276,000     Town Health International Investments Ltd.(b)     17,072  
  203,000     Towngas China Co. Ltd.     195,148  
  374,000     TPV Technology Ltd.     96,872  
  154,000     Tradelink Electronic Commerce Ltd.     33,935  
  87,600     Transport International Holdings Ltd.     197,548  
  118,000     Trinity Ltd.     46,530  
  394,000     Truly International Holdings Ltd.     210,197  
  128,000     TSC Group Holdings Ltd.(b)     43,381  
  20,000     Tse Sui Luen Jewellery International Ltd.     9,407  
  194,000     Tysan Holdings Ltd.     34,999  
  1,230,000     United Energy Group Ltd.(b)     190,203  
  226,500     United Laboratories International Holdings Ltd. (The)(b)     84,936  
  230,000     Universal Technologies Holdings Ltd.     16,893  
  84,000     Value Convergence Holdings Ltd.(b)     11,041  
  277,000     Value Partners Group Ltd.     169,552  
  188,000     Varitronix International Ltd.     132,760  
  348,000     Vedan International Holdings Ltd.     23,319  
  310,621     Victory City International Holdings Ltd.     48,434  
  20,000     Vinda International Holdings Ltd.     26,134  
  244,000     Vitasoy International Holdings Ltd.     295,561  
  1,098,400     VODone Ltd.     82,095  
  108,000     VST Holdings Ltd.     28,948  
  25,900     VTech Holdings Ltd.     330,419  
Shares         Value  
HONG KONG (continued)      
  1,640,000     Wang On Group Ltd.   $ 25,360  
  136,000     Wasion Group Holdings Ltd.     76,411  
  276,000     Welling Holding Ltd.     61,885  
  96,000     Win Hanverky Holdings Ltd.     12,989  
  48,320     Wing Hang Bank Ltd.     507,786  
  77,000     Wing On Co. International Ltd.(d)     240,124  
  230,000     Wing Tai Properties Ltd.     155,603  
  838,000     Xinyi Glass Holdings Ltd.     573,414  
  148,000     XTEP International Holdings     61,983  
  1,620,000     Yanchang Petroleum International Ltd.(b)     93,941  
  230,000     Yeebo International Holdings(d)     31,121  
  45,000     YGM Trading Ltd.     129,315  
  2,460,000     Yingde Gases Group Co. Ltd.     2,368,021  
  162,000     Yip’s Chemical Holdings Ltd.     176,401  
  152,500     Yue Yuen Industrial Holdings Ltd.     527,648  
  1,754,200     Yuexiu Property Co. Ltd.     519,920  
  230,191     Yuexiu Transport Infrastructure Ltd.     117,763  
  906,000     Yugang International Ltd.(b)     6,188  
  306,000     Zhuhai Holdings Investment Group Ltd.     46,924  
              86,573,051  
HUNGARY — 0.0%        
  2,915     EGIS Pharmaceuticals Plc     230,300  
  40     EMASZ Rt     2,017  
  28,924     FHB Mortgage Bank Plc(b)     45,181  
  57     Fotex Holding SE Co. Ltd.(b)(d)     45  
  50,499     Magyar Telekom Telecommunications Plc     93,326  
  5,822     Richter Gedeon Nyrt     864,601  
              1,235,470  
INDIA — 1.2%        
  355     3M India Ltd.(b)     23,290  
  1,375     Aban Offshore Ltd.     7,821  
  18,184     ABB Ltd.(d)     175,616  
  7,510     ABG Shipyard Ltd.(b)     45,039  
  25,816     ACC Ltd.     588,130  
  176,085     Adani Power Ltd.(b)     159,727  
  25,742     Aditya Birla Nuvo Ltd.     493,568  
  6,786     AIA Engineering Ltd.(b)     39,009  
  3,521     AKZO Nobel India Ltd.     65,303  
  20,592     Alembic Pharmaceuticals Ltd.     43,722  
  36,030     Allahabad Bank     89,354  
  810     Allcargo Logistics Ltd.     1,737  
  188,105     Alok Industries Ltd.     32,611  
  1,082     Alstom India Ltd.     6,449  
  433,717     Amara Raja Batteries Ltd.(d)     2,117,908  
  29,480     Amtek Auto Ltd.     39,513  
  10,632     Anant Raj Ltd.     13,118  
  35,532     Andhra Bank     59,799  
  291     Apar Industries Ltd.(b)     648  


24
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
INDIA (continued)      
  202,005     Apollo Hospitals Enterprise Ltd.(d)   $ 3,113,070  
  43,566     Apollo Tyres Ltd.     77,606  
  110,372     Arvind Ltd.     160,575  
  719,185     Ashok Leyland Ltd.(b)     300,623  
  77,677     Aurobindo Pharma Ltd.(b)     274,173  
  817,315     Bajaj Electricals Ltd.(d)     2,671,994  
  8,626     Bajaj Finance Ltd.     197,009  
  22,536     Bajaj Finserv Ltd.     312,890  
  224,250     Bajaj Hindusthan Ltd.     82,499  
  32,171     Bajaj Holdings and Investment Ltd.(d)     531,587  
  12,115     Balkrishna Industries Ltd.     59,020  
  189,807     Ballarpur Industries Ltd.     61,689  
  2,239     Balmer Lawrie & Co. Ltd.     28,188  
  2,270     Balrampur Chini Mills Ltd.(b)     2,005  
  15,704     Bank of India     95,084  
  11,554     Bank of Maharashtra     12,782  
  4,339     BASF India Ltd.     47,768  
  3,947     Bata India Ltd.     53,582  
  17,377     BEML Ltd.(b)     62,119  
  9,632     BEML Ltd. - Partly Paid Shares(b)     28,942  
  768,295     Berger Paints India Ltd.(d)     2,746,467  
  2,479     Bharat Electronics Ltd.(b)     54,437  
  39,760     Bharat Forge Ltd.(b)     169,992  
  12,744     Bharat Petroleum Corp. Ltd.     96,142  
  60,760     Bhushan Steel Ltd.     514,726  
  4,050     Bhushan Steel Ltd. - Partly Paid Shares(b)(d)     18,794  
  19,899     Biocon Ltd.     105,514  
  11,513     Birla Corp. Ltd.     54,690  
  1,274     Blue Dart Express Ltd.     59,697  
  4,107     Bombay Rayon Fashions Ltd.(b)     18,264  
  10,113     Britannia Industries Ltd.     108,453  
  2,409     Cadila Healthcare Ltd.     34,901  
  15,431     Canara Bank     118,802  
  7,476     Carborundum Universal Ltd.     17,418  
  1,681     Central Bank of India     2,227  
  29,868     Century Plyboards India Ltd.(b)(d)     28,756  
  18,212     Century Textiles & Industries Ltd.     97,724  
  6,433     CESC Ltd.     34,286  
  38,402     Chambal Fertilizers & Chemicals Ltd.     38,085  
  9,705     Cholamandalam Investment and Finance Co. Ltd.     48,095  
  8,372     City Union Bank Ltd.     8,525  
  1,761     City Union Bank Ltd. - Partly Paid Shares(b)     1,379  
  1,594     Clariant Chemicals India Ltd.     13,806  
  1,522     CMC Ltd.     37,761  
  10,128     Colgate-Palmolive India Ltd.     277,298  
  674     Core Education & Technologies Ltd.     685  
Shares         Value  
INDIA (continued)      
  25,373     Coromandel International Ltd.   $ 92,690  
  2,625     Corp Bank     18,437  
  197,092     CRISIL Ltd.(d)     3,274,379  
  60,376     Crompton Greaves Ltd.     102,631  
  17,092     Cummins India Ltd.     162,414  
  128,260     Dabur India Ltd.     356,723  
  2,774     Dalmia Bharat Ltd.     6,687  
  6,484     DB Corp. Ltd.     28,833  
  54,708     DB Realty Ltd.(b)     65,599  
  12,425     Deepak Fertilizers & Petrochemicals Corp. Ltd.     25,196  
  120,805     Dish TV India Ltd.(b)     151,962  
  3,236     Divi’s Laboratories Ltd.     64,987  
  80,935     Edelweiss Financial Services Ltd.     45,309  
  3,496     Educomp Solutions Ltd.     4,213  
  4,564     Eicher Motors Ltd.     250,137  
  25,575     EID Parry India Ltd.     73,623  
  13,381     EIH Ltd.     15,095  
  1,898     Elder Pharmaceuticals Ltd.     13,207  
  275,497     Emami Ltd.(b)(d)     3,277,686  
  4,147     Era Infra Engineering Ltd.     10,384  
  27,309     Escorts Ltd.     28,878  
  49,650     Essar Oil Ltd.(b)     70,409  
  20,708     Essar Ports Ltd.     33,656  
  31,009     Essar Shipping Ltd.(b)     11,258  
  36,761     Exide Industries Ltd.     90,424  
  4,776     FDC Ltd.     7,960  
  60,849     Federal Bank Ltd.(b)     504,920  
  6,289     Federal-Mogul Goetze India Ltd.(b)     23,132  
  3,815     Financial Technologies India Ltd.(b)     57,835  
  1,267,787     Fortis Healthcare Ltd.(b)(d)     2,355,319  
  9,586     Future Capital Holdings Ltd.(b)     30,040  
  29,363     Gammon India Ltd.     12,170  
  32,742     Gateway Distriparks Ltd.     74,795  
  1,177     Gillette India Ltd.     45,580  
  22,442     Gitanjali Gems Ltd.(b)     255,608  
  7,102     GlaxoSmithKline Pharmaceuticals Ltd.     298,215  
  14,696     Glenmark Pharmaceuticals Ltd.     132,252  
  22,105     GMR Infrastructure Ltd.(b)     8,366  
  273     Godfrey Phillips India Ltd.     12,519  
  30,654     Godrej Consumer Products Ltd.     487,215  
  23,771     Godrej Industries Ltd.     137,036  
  4,689     Godrej Properties Ltd.     53,250  
  3,081     Gokul Refoils & Solvent Ltd.(b)     1,201  
  50,128     Great Eastern Shipping Co. Ltd. (The)(d)     200,112  
  17,225     Greaves Cotton Ltd.     22,905  
  2,596     Grindwell Norton Ltd.     12,455  
  16,010     Gruh Finance Ltd.     56,569  
  15,133     Gujarat Alkalies & Chemicals(b)     47,128  
  8,892     Gujarat Flourochemicals Ltd.     49,244  


25
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
INDIA (continued)      
  29,561     Gujarat Mineral Development Corp. Ltd.(b)   $ 84,461  
  26,956     Gujarat Narmada Valley Fertilizers Co. Ltd.(b)     39,532  
  15,068     Gujarat NRE Coke Ltd.(b)     4,822  
  659,082     Gujarat Pipavav Port Ltd.(b)(d)     595,529  
  84,645     Gujarat State Fertilisers & Chemicals Ltd.     86,978  
  52,661     Gujarat State Petronet Ltd.(b)     65,969  
  3,304     Gulf Oil Corp Ltd.(b)     3,796  
  6,229     Havells India Ltd.     76,091  
  2,793     HBL Power Systems Ltd.(b)     490  
  849     HEG Ltd.(b)     2,620  
  27,483     HeidelbergCement India Ltd(b)     19,318  
  18,832     Hexa Tradex Ltd.(b)     8,955  
  137,134     Hexaware Technologies Ltd.     209,640  
  4,530     Himadri Chemicals & Industries(b)     1,137  
  256,737     Hindalco Industries Ltd.     462,579  
  375     Hinduja Ventures Ltd.     2,596  
  248,507     Hindustan Construction Co.(b)     64,992  
  4,729     Hindustan Petroleum Corp. Ltd.(b)     26,662  
  430     Honeywell Automation India Ltd.     19,474  
  50,124     Housing Development & Infrastructure Ltd.(b)     49,757  
  722,385     HSIL Ltd.(d)     1,424,121  
  16,049     HT Media Ltd.     30,972  
  1,883     HTMT Global Solutions Ltd.(b)     9,180  
  49,378     ICRA Ltd.(d)     953,722  
  94,790     IDBI Bank Ltd.     155,113  
  475,747     IDFC Ltd.     1,351,960  
  34,778     India Cements Ltd.     53,134  
  85,322     India Infoline Ltd.     97,113  
  29,515     Indiabulls Housing Finance Ltd.(b)(c)(d)     148,904  
  20,989     Indian Bank     65,879  
  230,293     Indian Hotels Co. Ltd.(d)     244,677  
  29,466     Indian Overseas Bank     34,358  
  10,119     Indraprastha Gas Ltd.(b)     57,187  
  45,438     IndusInd Bank Ltd.     397,383  
  3,468     Info Edge India Ltd.(b)     22,697  
  16,196     Infotech Enterprises Ltd.     51,968  
  40,792     ING Vysya Bank Ltd.(d)     464,525  
  2,118     Ingersoll-Rand India Ltd.     15,697  
  323,988     Ipca Laboratories Ltd.(d)     3,073,661  
  21,385     IRB Infrastructure Developers Ltd.(b)     46,120  
  24,079     IVRCL Infrastructures & Projects Ltd.(b)     8,765  
  16,485     Jagran Prakashan Pvt Ltd.(b)     28,325  
  16,998     Jai Corp. Ltd.     20,388  
  32,475     Jain Irrigation Systems Ltd. - DVR     38,180  
  113,667     Jaiprakash Associates Ltd.     159,524  
Shares         Value  
INDIA (continued)      
  65,559     Jaiprakash Power Ventures Ltd.(b)   $ 31,103  
  7,028     Jammu & Kashmir Bank Ltd.(b)     176,075  
  9,049     Jet Airways India Ltd.(b)     104,369  
  6,226     Jindal Poly Films Ltd.     17,865  
  94,163     Jindal Saw Ltd.     140,069  
  6,613     Jindal Stainless Ltd.(b)     7,290  
  59,420     JM Financial Ltd.     19,445  
  71,518     JSW Energy Ltd.     85,915  
  19,392     JSW Steel Ltd.     250,359  
  138,541     Jubilant Foodworks Ltd.(b)     2,853,340  
  5,000     Jubilant Organosys Ltd.(b)     15,753  
  8,012     Jyothy Laboratories Ltd.     26,543  
  90,563     Kakinada Fertilizers Ltd.(b)(c)(d)     18,844  
  7,830     Kalpataru Power Transmission Ltd.(b)     11,628  
  93,172     Karnataka Bank Ltd.     257,872  
  1,762     Karur Vysya Bank Ltd.     15,206  
  24,476     KPIT Cummins Infosystems Ltd.     46,703  
  3,316     KSB Pumps Ltd.     12,963  
  1,091     Lakshmi Machine Works Ltd.     40,472  
  109,325     LIC Housing Finance Ltd.     498,380  
  21,876     Madras Cements Ltd.     99,937  
  3,444     Mahanagar Telephone Nigam(b)     1,288  
  11,875     Maharashtra Seamless Ltd.(d)     48,018  
  49,550     Mahindra & Mahindra Financial Services Ltd.     207,655  
  531     Mahindra Lifespace Developers Ltd.     4,110  
  3,619     Manaksia Ltd.(b)     2,669  
  60,692     Mangalore Refinery & Petrochemicals Ltd.(b)     53,691  
  60,461     Marico Ltd.     257,376  
  39,550     MAX India Ltd.     156,746  
  1,025     Merck Ltd.     12,032  
  16,192     Monnet Ispat & Energy Ltd.     59,686  
  46,986     Motherson Sumi Systems Ltd.     166,516  
  13,466     Mphasis Ltd.     93,353  
  78     MRF Ltd.     19,515  
  134,813     Nagarjuna Construction Co.(b)     77,998  
  82,330     Nagarjuna Oil Refinery Ltd.(b)     5,700  
  104,110     National Aluminium Co. Ltd.     67,867  
  31,270     NHPC Ltd.     12,421  
  16,197     NIIT Technologies Ltd.     78,022  
  38,070     OMAXE Ltd.(b)     112,631  
  21,234     Opto Circuits India Ltd.(b)     23,262  
  6,434     Oracle Financial Sevices Software Ltd.(b)     315,104  
  21,487     Orchid Chemicals & Pharmaceuticals Ltd.     25,936  
  8,317     Orient Cement Ltd.(b)(c)(d)     8,892  
  8,317     Orient Paper & Industries Ltd.     1,085  
  36,385     Oriental Bank of Commerce     179,517  
  550     Orissa Minerals Development Co. Ltd.     26,895  


26
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
INDIA (continued)        
  14,725     Oswal Chemical & Fertilizers(b)   $ 5,302  
  28,655     Page Industries Ltd.(d)     1,907,271  
  3,860     Peninsula Land Ltd.(b)     3,419  
  104,278     Petronet LNG Ltd.     268,926  
  1,595     Pfizer Ltd.     30,641  
  4,125     Phoenix Mills Ltd.     20,589  
  382,315     Pidilite Industries Ltd.(d)     1,789,554  
  50,534     Pipavav Defence & Offshore Engineering Co. Ltd.(b)     67,460  
  7,053     Plethico Pharmaceuticals Ltd.(b)     31,275  
  40,716     Prism Cement Ltd.     33,540  
  1,195     Procter & Gamble Hygiene & Health Care Ltd.     59,655  
  60,577     PTC India Ltd.     67,104  
  29,314     Punj Lloyd Ltd.(b)     28,740  
  351,616     Radico Khaitan Ltd.(b)(d)     815,227  
  14,719     Rain Commodities Ltd.     12,190  
  24,971     Rajesh Exports Ltd.(b)     58,197  
  919,718     Rallis India Ltd.(d)     2,255,635  
  19,421     Ranbaxy Laboratories Ltd.(b)     162,257  
  22,060     Raymond Ltd.     118,299  
  49,404     Redington India Ltd.     71,995  
  53,752     REI Agro Ltd.(b)     11,833  
  3,937     Reliance Capital Ltd.(b)     25,850  
  121,363     Reliance Communications Ltd.(b)     220,695  
  6,260     Reliance Infrastructure Ltd.     43,457  
  34,343     Rolta India Ltd.     38,955  
  87,447     Ruchi Soya Industries Ltd.     113,442  
  21,104     Rural Electrification Corp. Ltd.(b)     87,558  
  9,422     S Mobility Ltd.(d)     4,433  
  3,688     Sadbhav Engineering Ltd.(b)     7,956  
  612     Sanofi India Ltd.     28,959  
  14,299     Satyam Computer Services Ltd.(b)     28,736  
  86,328     Sesa Goa Ltd.     252,150  
  20,538     Shipping Corp. of India Ltd.(b)     16,293  
  2,527     Shoppers Stop Ltd.     17,435  
  223,438     Shree Renuka Sugars Ltd.(b)     100,241  
  57,652     Shriram Transport Finance Co. Ltd.     778,000  
  55,313     Sintex Industries Ltd.(b)     48,737  
  15,463     SJVN Ltd.     5,729  
  161,819     SKF India Ltd.(d)     1,619,722  
  104     Solar Industries India Ltd.     1,956  
  426,240     South Indian Bank Ltd.     189,405  
  9,842     SRF Ltd.     31,107  
  3,969     State Bank of Bikaner & Jaipur     31,920  
  2,418     Sterlite Technologies Ltd.     1,121  
  97,037     Strides Arcolab Ltd.     1,514,984  
  8,719     Sun TV Network Ltd.(b)     67,108  
  9,094     Sundaram Finance Ltd.     88,506  
  6,405     Supreme Industries Ltd.     38,714  
  163,839     Suzlon Energy Ltd.(b)     43,701  
Shares         Value  
INDIA (continued)        
  38,891     Syndicate Bank   $ 85,152  
  7,242     Tamilnadu Newsprint & Papers Ltd.(b)     12,950  
  32,487     Tata Chemicals Ltd.     194,337  
  4,726     Tata Investment Corp. Ltd.     37,690  
  979     Tata Power Co. Ltd.     1,722  
  99,640     Tata Tea Ltd.(b)     269,726  
  7,182     Tech Mahindra Ltd.     125,953  
  14,853     Time Technoplast Ltd.(b)     10,504  
  10,567     Timken India Ltd.(b)     31,498  
  348     Titagarh Wagons Ltd.     1,096  
  45,835     Titan Industries Ltd.     230,404  
  102,381     Torrent Pharmaceuticals Ltd.(d)     1,309,185  
  25,014     Torrent Power Ltd.     65,972  
  2,157     Trent Ltd.     42,826  
  29,890     Triveni Turbine Ltd.     28,850  
  697     TTK Prestige Ltd.     44,513  
  15,066     Tube Investments of India     44,598  
  37,544     TV18 Broadcast Ltd.(b)     18,746  
  37,709     UCO Bank     48,107  
  10,645     Uflex Ltd.     14,821  
  13,600     Unichem Laboratories Ltd.     42,881  
  58,000     Union Bank of India     261,606  
  236,660     Unitech Ltd.(b)     118,165  
  22,486     United Breweries Ltd.     307,992  
  43,389     United Phosphorus Ltd.(b)     112,026  
  4,366     United Spirits Ltd.     177,336  
  16,860     Usha Martin Ltd.(b)     7,877  
  1,120     Vardhman Special Steels Ltd.(b)     478  
  5,603     Vardhman Textiles Ltd.     28,359  
  23,739     Videocon Industries Ltd.     96,428  
  20,407     Vijaya Bank     19,856  
  11,180     VIP Industries Ltd.     13,171  
  10,213     Voltas Ltd.     16,168  
  902     VST Industries Ltd.     26,061  
  1,793     WABCO India Ltd.     44,955  
  9,149     Welspun Corp. Ltd.     9,017  
  15,809     Wockhardt Ltd.(b)     556,644  
  548     Wyeth Ltd.     8,287  
  31,014     Yes Bank Ltd.     288,604  
  180,211     Zee Entertainment Enterprises Ltd.     768,644  
  14,226     Zee Learn Ltd.(b)     4,650  
  4,219     Zensar Technologies Ltd.     19,218  
  621     Zuari Agro Chemicals Ltd.(b)     1,812  
              66,385,065  
INDONESIA — 0.5%        
  99,000     Adhi Karya Persero Tbk PT     30,293  
  7,335,500     AKR Corporindo Tbk PT     3,885,608  
  421,500     Alam Sutera Realty Tbk PT     45,521  
  1,118,000     Aneka Tambang Persero Tbk PT     158,688  
  94,500     Arwana Citramulia Tbk PT     30,131  
  77,000     Asahimas Flat Glass Tbk PT     66,526  
  165,500     Astra Agro Lestari Tbk PT     301,296  

 


27
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
INDONESIA (continued)        
  42,411,000     Bakrie & Brothers Tbk PT(b)(d)   $ 218,107  
  9,710,000     Bakrie Sumatera Plantations Tbk PT     90,883  
  9,876,000     Bakrie Telecom Tbk PT(b)     50,789  
  1,084,166     Bank Bukopin Tbk PT     102,590  
  505,316     Bank Danamon Indonesia Tbk PT     335,231  
  3,011,250     Bank Pan Indonesia Tbk PT(b)     247,776  
  321,500     Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk PT     40,343  
  13,000     Bank Permata Tbk PT(b)     2,273  
  939,196     Bank Tabungan Negara Persero Tbk PT     143,934  
  107,500     Bank Tabungan Pensiunan Nasional Tbk PT(b)     58,601  
  495,000     Barito Pacific Tbk PT(b)     20,620  
  54,000     Bayan Resources Tbk PT(d)     44,155  
  749,000     Berau Coal Energy Tbk PT     15,793  
  4,004,000     Bhakti Investama Tbk PT     201,796  
  223,000     Bisi International PT     16,973  
  560,000     Budi Acid Jaya Tbk PT(b)     6,739  
  2,663,600     Bumi Serpong Damai PT     473,955  
  4,958,000     Central Proteinaprima Tbk PT(b)(c)(d)     17,848  
  5,595,500     Ciputra Development Tbk PT     794,219  
  554,000     Ciputra Property Tbk PT     66,098  
  238,000     Ciputra Surya Tbk PT     82,006  
  479,000     Citra Marga Nusaphala Persada Tbk PT     90,652  
  11,917,500     Darma Henwa Tbk PT(b)     61,288  
  2,223,500     Delta Dunia Makmur Tbk PT(b)     42,766  
  393,500     Elnusa Tbk PT(b)     9,916  
  25,671,500     Energi Mega Persada Tbk PT(b).     359,097  
  524,500     Exploitasi Energi Indonesia Tbk PT(b)     19,691  
  36,500     Fajar Surya Wisesa Tbk PT(b)     10,042  
  947,000     Gajah Tunggal Tbk PT     282,469  
  24,500     Garda Tujuh Buana Tbk PT(b)     7,938  
  2,161,000     Global Mediacom Tbk PT     483,433  
  1,193,400     Gozco Plantations Tbk PT     17,430  
  684,000     Hanson International Tbk PT(b)     34,473  
  91,500     Harum Energy Tbk PT     39,056  
  3,129,500     Hexindo Adiperkasa Tbk PT(d)     1,561,129  
  1,387,000     Holcim Indonesia Tbk PT     520,705  
  247,000     Indah Kiat Pulp and Paper Corp. Tbk PT(b)     22,102  
  518,500     Indika Energy Tbk PT     59,729  
  17,000     Indo Tambangraya Megah Tbk PT     64,258  
  396,000     Indosat Tbk PT     244,382  
  11,500     Inovisi Infracom Tbk PT(b)     7,511  
  1,594,500     Intiland Development Tbk PT     96,761  
  1,897,500     Japfa Comfeed Indonesia Tbk PT     376,670  
Shares         Value  
INDONESIA (continued)        
  561,000     Jasa Marga Persero Tbk PT   $ 386,598  
  12,459,500     Kawasan Industri Jababeka Tbk PT(b)     384,454  
  48,000     Lippo Cikarang Tbk PT(b)     33,818  
  13,416,750     Lippo Karawaci Tbk PT     1,862,958  
  1,437,300     Matahari Putra Prima Tbk PT     294,186  
  1,047,000     Mayora Indah Tbk PT(d)     3,236,035  
  491,500     Medco Energi Internasional Tbk PT     96,556  
  7,567,500     Media Nusantara Citra Tbk PT     2,432,341  
  272,000     Mitra Adiperkasa Tbk PT     230,805  
  1,688,500     Mitra International Resources Tbk PT(b)     11,289  
  3,558,000     Nippon Indosari Corpindo Tbk PT(d)     2,817,855  
  950,000     Nusantara Infrastructure Tbk PT(b)     24,428  
  1,246,000     Pakuwon Jati Tbk PT     51,903  
  4,283,000     Panin Financial Tbk PT(b)     105,726  
  705,500     Panin Insurance Tbk PT     55,874  
  895,500     Perusahaan Perkebunan London Sumatra Indonesia Tbk PT     140,001  
  827,000     Polychem Indonesia Tbk PT(b)     30,622  
  1,383,000     Ramayana Lestari Sentosa Tbk PT     204,836  
  77,500     Resource Alam Indonesia Tbk PT     16,740  
  7,234,000     Sampoerna Agro Tbk PT(d)     1,450,892  
  5,557,500     Selamat Sempurna Tbk PT(d)     1,557,643  
  7,450,000     Sentul City Tbk PT(b)     218,385  
  117,500     Sinar Mas Agro Resources & Technology Tbk PT(d)     78,555  
  5,000     Sinar Mas Multiartha Tbk PT     2,353  
  467,500     Sugih Energy Tbk PT(b)     19,715  
  1,762,000     Summarecon Agung Tbk PT     471,196  
  225,000     Surya Citra Media Tbk PT(c)     64,798  
  396,500     Surya Semesta Internusa Tbk PT     64,435  
  79,000     Tambang Batubara Bukit Asam Persero Tbk PT     123,914  
  579,000     Tiga Pilar Sejahtera Food Tbk     73,845  
  1,562,000     Timah Persero Tbk PT     228,135  
  21,000     Tower Bersama Infrastructure Tbk PT(b)     12,204  
  410,000     Trada Maritime Tbk PT(b)     61,147  
  4,875,000     Truba Alam Manunggal Engineering PT(b)(d)     25,071  
  1,152,000     Tunas Baru Lampung Tbk PT     57,467  
  539,500     Tunas Ridean Tbk PT     56,045  
  481,500     Vale Indonesia Tbk PT     141,144  
  1,155,500     Wijaya Karya Persero Tbk PT     285,235  
              29,369,494  
IRELAND — 2.1%        
  109,408     Aer Lingus Group Plc     199,125  
  1,865,968     Bank of Ireland(b)     415,298  
  220,453     Beazley Plc     768,779  

 


28
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
IRELAND (continued)        
  154,534     C&C Group Plc(b)   $ 960,584  
  22,410     DCC Plc(b)     820,162  
  49,283     Elan Corp. Plc(b)     568,228  
  11,306     FBD Holdings Plc(b)     183,661  
  692,678     Glanbia Plc(b)     9,259,060  
  53,885     Grafton Group Plc - Units     374,760  
  222,418     Greencore Group Plc     367,950  
  16,165     IFG Group Plc     29,804  
  30,109     Independent News & Media Plc(b)     1,546  
  1,636     Irish Continental Group Plc - Units     44,599  
  126,391     James Hardie Industries Plc - CDI     1,328,638  
  291,661     Kenmare Resources Plc(b)     120,224  
  29,631     Kerry Group Plc - Class A     1,752,503  
  84,255     Kingspan Group Plc(b)(e)     1,017,611  
  6,121     Kingspan Group Plc(e)     73,928  
  12,329     Paddy Power Plc(b)     1,038,336  
  80,334     Smurfit Kappa Group Plc(b)     1,192,320  
  132,882     United Drug Plc(b)     625,639  
  2,466,000     Willis Group Holdings Plc(d)     97,850,880  
              118,993,635  
ISLE OF MAN — 0.0%        
  17,071     Exillon Energy Plc(b)     40,969  
  4,535     Hansard Global Plc     6,974  
              47,943  
ISRAEL — 1.6%        
  36,864     Africa Israel Investments Ltd.(b)     89,265  
  4,663     Airport City Ltd.(b)     28,732  
  2,967     Alon Holdings Blue Square Israel Ltd.(b)     11,156  
  1,293     AL-ROV Israel Ltd.(b)     35,962  
  16,296     AudioCodes Ltd.(b)     64,548  
  2,501     Azrieli Group     72,274  
  28     Bayside Land Corp.     6,208  
  111,791     Bezeq The Israeli Telecommunication Corp. Ltd.     162,152  
  1,289     Biocell Ltd.(b)     9,884  
  409     Ceragon Networks Ltd.(b)     1,578  
  1,662,500     Check Point Software Technologies Ltd.(b)     77,505,750  
  4,796     Clal Biotechnology Industries Ltd.(b)     10,302  
  49,365     Clal Industries Ltd.     196,221  
  7,869     Clal Insurance Enterprise Holdings Ltd.     130,140  
  6,078     Compugen Ltd.(b)     35,858  
  13,567     Delek Automotive Systems Ltd.     145,661  
  694     Delek Group Ltd.     182,550  
  1,042     Delta-Galil Industries Ltd.     15,187  
  692     DS Apex Holdings Ltd.     2,513  
  4,935     Elbit Systems Ltd.     205,797  
  905     Electra Ltd.     110,670  
  1     Electra Real Estate Ltd.(b)     1  
Shares         Value  
ISRAEL (continued)        
  1,670     Elron Electronic Industries Ltd.   $ 9,028  
  509     Equital Ltd.(b)     5,925  
  205     Evogene Ltd.(b)     1,132  
  4,175     EZchip Semiconductor Ltd.(b)     94,168  
  15,405     First International Bank of Israel Ltd.(b)     224,267  
  3,427     Formula Systems (1985) Ltd.(b)     71,675  
  26,484     Frutarom Industries Ltd.     391,387  
  1,557     Gilat Satellite Networks Ltd.(b)     8,769  
  4,055     Given Imaging Ltd.(b)     64,484  
  232     Golf & Co. Ltd.     681  
  1,279     Hadera Paper Ltd.(b)     74,207  
  4,610     Harel Insurance Investments & Financial Services Ltd.     229,150  
  270     Industrial Buildings Corp.     405  
  252,816     Israel Discount Bank Ltd. - Class A(b)     424,040  
  477     Ituran Location & Control Ltd.     7,672  
  4,246     Jerusalem Oil Exploration(b)     110,964  
  5,171     Kamada Ltd.(b)     59,138  
  89     Maabarot Products Ltd.     905  
  4,100     Magic Software Enterprises Ltd.     22,519  
  9,868     Matrix IT Ltd.     49,959  
  1,459     Melisron Ltd.     30,286  
  8,990     Mellanox Technologies Ltd.(b)     468,934  
  9,866     Menorah Mivtachim Holdings Ltd.(b)     104,467  
  158,600     Migdal Insurance & Financial Holding Ltd.     259,644  
  1,673     Mivtach Shamir Holdings Ltd.     43,983  
  61,197     Mizrahi Tefahot Bank Ltd.(b)     625,456  
  7,596     Naphtha Israel Petroleum Corp. Ltd.(b)     38,586  
  736     Neto ME Holdings Ltd.     27,592  
  12,519     NICE Systems Ltd.(b)     438,951  
  200,000     NICE Systems Ltd. - ADR(b)     7,094,000  
  645     Nitsba Holdings 1995 Ltd.(b)     7,501  
  2,068     Nova Measuring Instruments Ltd.(b)     18,476  
  628,921     Oil Refineries Ltd.(b)     329,986  
  6,762     Ormat Industries Ltd.(b)     40,138  
  8,208     Osem Investments Ltd.     166,037  
  9,897     Partner Communications Co. Ltd.     68,244  
  2,872     Paz Oil Co. Ltd.(b)     448,625  
  15,462     Phoenix Holdings Ltd. (The)     46,709  
  1,121     Plasson Industries Ltd.     37,179  
  715     Rami Levi Chain Stores Hashikma Marketing 2006 Ltd.     33,008  
  7,504     REIT 1 Ltd.     16,758  
  68,879     Shikun & Binui Ltd.     144,060  
  13,900     Shufersal Ltd.     50,558  
  6,039     Strauss Group Ltd.     88,858  
  2,366     Tower Semiconductor Ltd.(b)     15,494  

 

29
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
ISRAEL (continued)        
  6,295     Union Bank of Israel(b)   $ 23,845  
              91,540,259  
ITALY — 0.5%        
  155,713     A2A SpA     122,425  
  8,199     ACEA SpA     56,094  
  320,040     Aedes SpA(b)     15,595  
  3,675     Aeroporto di Venezia Marco Polo SAVE SpA     53,480  
  3,797     Alerion Cleanpower SpA     18,002  
  27,658     Amplifon SpA     142,419  
  6,452     Ansaldo STS SpA     66,574  
  45,001     Arnoldo Mondadori Editore SpA(b)     59,857  
  5,010     Ascopiave SpA(b)     9,567  
  9,416     Astaldi SpA     65,040  
  14,058     Autogrill SpA     181,897  
  10,738     Azimut Holding SpA     199,677  
  250,053     Banca Carige SpA     181,778  
  16,412     Banca Generali SpA     338,256  
  1,325     Banca IFIS SpA     13,864  
  1,163,180     Banca Monte dei Paschi di Siena SpA(b)     327,663  
  180,030     Banca Piccolo Credito Valtellinese Scarl     225,236  
  160,306     Banca Popolare dell’Emilia Romagna Scrl     1,357,470  
  6,712     Banca Popolare dell’Etruria e del Lazio(b)     15,291  
  1,724,010     Banca Popolare di Milano Scarl(b)     1,151,111  
  107,950     Banca Popolare di Sondrio Scarl     625,809  
  34,098     Banca Profilo SpA     11,671  
  7,285     Banco di Desio e della Brianza SpA     18,977  
  507,673     Banco Popolare Scarl(b)     732,095  
  3,334     BasicNet SpA     7,341  
  7,670     Biesse SpA(b)     26,141  
  13,563     Brembo SpA     222,022  
  186,475     Brioschi Sviluppo Immobiliare SpA(b)     23,035  
  19,914     Buzzi Unicem SpA     304,481  
  4,217     Caltagirone Editore SpA     4,407  
  22,475     Cementir Holding SpA     63,341  
  389,606     CIR-Compagnie Industriali Riunite SpA     449,982  
  2,627     Credito Bergamasco SpA     44,076  
  29,592     Credito Emiliano SpA     169,135  
  13,731     Danieli & C Officine Meccaniche SpA     350,088  
  4,885     Datalogic SpA     36,252  
  93,104     Davide Campari-Milano SpA     756,524  
  50,118     DeA Capital SpA(b)     87,784  
  23,657     Delclima(b)     26,482  
  23,657     De’Longhi SpA     358,595  
  9,154     DiaSorin SpA     343,337  
Shares         Value  
ITALY (continued)        
  1,977     Ei Towers SpA(b)   $ 69,751  
  1,550     Engineering SpA     63,749  
  24,995     ERG SpA     239,308  
  5,852     Esprinet SpA     28,438  
  15,793     Eurotech SpA(b)     26,393  
  49,066     Falck Renewables SpA     53,988  
  297,242     Fiat SpA(b)     1,777,979  
  177,120     Finmeccanica SpA(b)     921,837  
  151,956     Fondiaria-Sai SpA(b)     310,184  
  457,280     Gemina SpA(b)     873,814  
  10,615     Geox SpA     32,153  
  57,144     Gruppo Editoriale L’Espresso SpA     59,715  
  54,823     Hera SpA     111,548  
  36,611     Immobiliare Grande Distribuzione REIT     39,536  
  182,644     IMMSI SpA     109,707  
  16,260     Indesit Co. SpA     127,732  
  3,035     Industria Macchine Automatiche SpA     72,265  
  198,830     Intek Group SpA(b)     82,483  
  32,568     Interpump Group SpA     286,508  
  132,330     Iren SpA     135,061  
  36,786     Italcementi SpA     228,178  
  4,486     Italmobiliare SpA(b)     91,512  
  40,005     Juventus Football Club SpA(b)     11,327  
  762     Landi Renzo SpA(b)     1,273  
  12,807     Lottomatica Group SpA     326,529  
  29,519     Maire Tecnimont SpA(b)     14,240  
  1,779     Mariella Burani SpA(b)(c)(d)     0  
  9,386     MARR SpA     113,226  
  189,408     Mediaset SpA     489,403  
  197,050     Mediobanca SpA     1,252,372  
  40,338     Mediolanum SpA     271,725  
  145,710     Milano Assicurazioni SpA(b)     95,409  
  7,534     Nice SpA     25,202  
  635,716     Parmalat SpA     1,959,063  
  70,369     Piaggio & C SpA     180,711  
  134,537     Pirelli & C. SpA     1,397,053  
  18,004     Poltrona Frau SpA(b)     25,797  
  324,328     Prelios SpA(b)     31,180  
  96,013     Premafin Finanziaria SpA(b)     22,760  
  11,421     Prysmian SpA     230,577  
  71,976     RCS MediaGroup SpA(b)     69,812  
  30,604     Recordati SpA     315,580  
  125,022     Reno de Medici SpA(b)     19,412  
  490     Reply SpA     19,030  
  70,103     Retelit SpA(b)     46,623  
  29     Sabaf SpA     355  
  82     SAES Getters SpA     817  
  18,803     Safilo Group SpA(b)     308,295  
  119,252     Saras SpA(b)     158,777  
  18,549     Snai SpA(b)     18,981  
  16,282     Societa Cattolica di Assicurazioni SCRL(b)     319,709  

 


30
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
ITALY (continued)        
  3,795     Societa Iniziative Autostradali e Servizi SpA   $ 34,335  
  471     Societa per la Bonifica dei Terreni Ferraresi e Imprese Agricole SpA     23,292  
  3,079     Socotherm SpA(b)(c)(d)     277  
  15,879     Sogefi SpA     46,006  
  12,888     SOL SpA     85,713  
  60,496     Sorin SpA(b)     169,538  
  6,138     Tamburi Investment Partners SpA     12,942  
  305,149     Telecom Italia Media SpA(b)     42,517  
  20,102     Tiscali SpA(b)     1,112  
  3,433     Tod’s SpA     498,224  
  18,881     Trevi Finanziaria Industriale SpA     144,219  
  6,610     Uni Land SpA(b)(c)(d)     0  
  446,071     Unione di Banche Italiane SCPA     1,862,227  
  83,800     Unipol Gruppo Finanziario SpA(b)     286,937  
  2,770     Vianini Lavori SpA     12,585  
  10,354     Vittoria Assicurazioni SpA     88,632  
  13,735     Yoox SpA(b)     257,939  
  11,183     Zignago Vetro SpA     70,338  
              26,366,781  
JAPAN — 5.1%        
  130,000     77 Bank Ltd. (The)     772,119  
  4,700     A&D Co. Ltd.     27,192  
  779     Accordia Golf Co. Ltd.     884,601  
  59,000     Achilles Corp.     84,731  
  56,800     ADEKA Corp.     510,405  
  7,200     Advan Co. Ltd.     91,066  
  4,300     Aeon Delight Co. Ltd.     89,057  
  2,200     Aeon Fantasy Co. Ltd.     40,825  
  800     Agrex, Inc.     7,123  
  8,600     Ahresty Corp.     58,754  
  11,600     Ai Holdings Corp.     115,899  
  22,400     Aica Kogyo Co. Ltd.     451,286  
  3,300     Aichi Bank Ltd. (The)     188,552  
  4,500     Aichi Corp.     21,049  
  84,000     Aichi Steel Corp.     342,945  
  9,000     Aichi Tokei Denki Co. Ltd.     24,558  
  38,100     Aida Engineering Ltd.     314,618  
  6,700     Aigan Co. Ltd.(b)     22,337  
  2,800     Ain Pharmaciez, Inc.     136,862  
  7,400     Aiphone Co. Ltd.     120,847  
  38,000     Air Water, Inc.     613,941  
  11,300     Airport Facilities Co. Ltd.     84,154  
  13,400     Aisan Industry Co. Ltd.     128,522  
  11,300     Aizawa Securities Co. Ltd.     70,940  
  91,000     Akita Bank Ltd. (The)     252,972  
  2,100     Alconix Corp.     42,006  
  10,500     Alfresa Holdings Corp.     623,634  
  79,500     Allied Telesis Holdings KK     72,580  
Shares         Value  
JAPAN (continued)        
  11,100     Alpen Co. Ltd.   $ 231,713  
  3,200     Alpha Corp.     35,123  
  3,360     Alpha Systems, Inc.     48,943  
  30,200     Alpine Electronics, Inc.     307,623  
  86,600     Alps Electric Co. Ltd.     658,261  
  2,500     Alps Logistics Co. Ltd.     27,030  
  1,500     Altech Corp.     16,202  
  139,000     Amada Co. Ltd.     1,112,171  
  16,800     Amano Corp.     179,400  
  5     Amiyaki Tei Co. Ltd.     15,438  
  3,500     Amuse, Inc.     83,295  
  13,000     Anest Iwata Corp.     56,942  
  31,000     Anritsu Corp.     462,687  
  12,400     AOC Holdings, Inc.     43,502  
  1,800     AOI Electronic Co. Ltd.     30,466  
  16,800     AOKI Holdings, Inc.     517,864  
  84,000     Aomori Bank Ltd. (The)     249,885  
  24,100     Aoyama Trading Co. Ltd.     720,145  
  10,600     Arakawa Chemical Industries Ltd.     86,227  
  25,000     Araya Industrial Co. Ltd.     35,903  
  8,700     Arcland Sakamoto Co. Ltd.     185,986  
  17,638     Arcs Co. Ltd.     349,558  
  3,600     Argo Graphics, Inc.     53,916  
  218,200     Ariake Japan Co. Ltd.(d)     5,013,776  
  22,800     Arisawa Manufacturing Co. Ltd.(b)     82,093  
  6,200     Arnest One Corp.     141,891  
  9,900     Arrk Corp.(b)     33,005  
  5,190     As One Corp.     122,556  
  4,000     Asahi Co. Ltd.     67,169  
  20,000     Asahi Diamond Industrial Co. Ltd.     209,468  
  6,850     Asahi Holdings, Inc.     138,567  
  13,000     Asahi Kogyosha Co. Ltd.     43,340  
  3,000     Asahi Net, Inc.     15,356  
  32,000     Asahi Organic Chemicals Industry Co. Ltd.     72,216  
  23,000     Asanuma Corp.(b)     19,111  
  12,400     Asatsu-DK, Inc.     317,107  
  31     Asax Co. Ltd.     69,482  
  24,000     Ashimori Industry Co. Ltd.(b)     35,452  
  18,000     ASKA Pharmaceutical Co. Ltd.     133,497  
  12,000     Asunaro Aoki Construction Co. Ltd.     65,364  
  10,300     Atom Corp.     60,436  
  77,000     Atsugi Co. Ltd.     93,994  
  60,900     Autobacs Seven Co. Ltd.     1,025,776  
  1,300     Avex Group Holdings, Inc.     37,112  
  129,000     Awa Bank Ltd. (The)     762,210  
  9,300     Azbil Corp.     200,529  
  47,000     Bando Chemical Industries Ltd.     144,638  
  5,400     Bank of Iwate Ltd. (The)     232,097  
  26,000     Bank of Kochi Ltd. (The)     40,806  
  64,000     Bank of Nagoya Ltd. (The)     303,308  
  15,100     Bank of Okinawa Ltd. (The)     732,656  


31
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
JAPAN (continued)        
  67,000     Bank of Saga Ltd. (The)   $ 170,447  
  25,200     Bank of the Ryukyus Ltd.     371,983  
  8,100     Belc Co. Ltd.     140,339  
  20,200     Belluna Co. Ltd.     197,887  
  44,000     Best Denki Co. Ltd.(b)     96,589  
  297     Bic Camera, Inc.     130,243  
  500     BML, Inc.     12,869  
  2,100     Bookoff Corp.     15,187  
  27,000     Bunka Shutter Co. Ltd.     153,716  
  500     C Uyemura & Co. Ltd.     20,413  
  4,600     CAC Corp.     47,706  
  63,000     Calsonic Kansei Corp.     299,215  
  20     Can Do Co. Ltd.     36,539  
  8,600     Canon Electronics, Inc.     174,938  
  11,400     Canon Marketing Japan, Inc.     166,056  
  17,100     Casio Computer Co. Ltd.(b)     141,557  
  9,900     Cawachi Ltd.     222,505  
  137,000     Central Glass Co. Ltd.     483,438  
  2,000     Central Security Patrols Co. Ltd.     18,752  
  1,000     Central Sports Co. Ltd.     15,961  
  22,650     Century Tokyo Leasing Corp.     667,755  
  17,700     Chiba Kogyo Bank Ltd. (The)(b)     160,505  
  19,000     Chino Corp.     43,073  
  8,400     Chiyoda Co. Ltd.     242,388  
  4,200     Chiyoda Integre Co. Ltd.     61,437  
  500     Chofu Seisakusho Co. Ltd.     11,576  
  4,600     Chori Co. Ltd.     51,858  
  12,400     Chubu Shiryo Co. Ltd.     71,740  
  40,000     Chuetsu Pulp & Paper Co. Ltd.     61,548  
  153,000     Chugai Mining Co. Ltd.(b)     65,918  
  28,000     Chugai Ro Co. Ltd.     74,104  
  29,000     Chugoku Bank Ltd. (The)     504,529  
  27,000     Chugoku Marine Paints Ltd.     135,990  
  52,000     Chukyo Bank Ltd. (The)     109,884  
  5,500     Chuo Denki Kogyo Co. Ltd.     19,690  
  7,000     Chuo Spring Co. Ltd.     24,199  
  76,900     Citizen Holdings Co. Ltd.     453,583  
  24,700     CKD Corp.     180,148  
  48,000     Clarion Co. Ltd.(b)     67,949  
  11,000     Cleanup Corp.     83,387  
  2,000     CMIC Holdings Co. Ltd.     43,494  
  23,400     CMK Corp.(b)     81,132  
  22,200     Coca-Cola Central Japan Co. Ltd.     334,759  
  15,100     Coca-Cola West Co. Ltd.     280,826  
  11,890     Cocokara Fine, Inc.     448,840  
  4,100     Computer Engineering & Consulting Ltd.     28,725  
  4,400     Computer Institute of Japan Ltd.     19,363  
  71,300     COMSYS Holdings Corp.     943,499  
  4,000     Co-Op Chemical Co. Ltd.(b)     5,416  
  8,600     Corona Corp.     96,776  
  7,000     Cosel Co. Ltd.     80,351  
  234,000     Cosmo Oil Co. Ltd.(b)     556,886  
Shares         Value  
JAPAN (continued)        
  3,500     Cosmos Pharmaceutical Corp.   $ 390,265  
  2,700     Create Medic Co. Ltd.     24,650  
  600     Create SD Holdings Co. Ltd.     26,619  
  5,300     CTI Engineering Co. Ltd.     38,329  
  23     Cybernet Systems Co. Ltd.     7,456  
  22,000     Dai Nippon Toryo Co. Ltd.     40,396  
  6,100     Daibiru Corp.     84,287  
  200,000     Daicel Corp.     1,610,504  
  9,000     Dai-Dan Co. Ltd.     47,730  
  17,000     Daido Kogyo Co. Ltd.     28,948  
  13,000     Daido Metal Co. Ltd.     102,816  
  109,000     Daido Steel Co. Ltd.     592,604  
  7,300     Daidoh Ltd.     50,172  
  33,950     Daiei, Inc. (The)(b)     133,035  
  1,000     Daihatsu Diesel Manufacturing Co. Ltd.     5,211  
  21,000     Daihen Corp.     63,764  
  43,000     Daiho Corp.(b)     56,460  
  22,000     Daiichi Jitsugyo Co. Ltd.     110,807  
  600     Daiichi Kigenso Kagaku-Kogyo Co. Ltd.     11,232  
  28,000     Dai-Ichi Kogyo Seiyaku Co. Ltd.     72,093  
  4,300     Dai-ichi Seiko Co. Ltd.     62,900  
  2,200     Daiichikosho Co. Ltd.     65,423  
  27,000     Daiken Corp.     73,673  
  19,000     Daiki Aluminium Industry Co. Ltd.     41,514  
  2,200     Daiko Clearing Services Corp.     17,287  
  1,700     Daikoku Denki Co. Ltd.     45,183  
  1,000     Daikokutenbussan Co. Ltd.     27,358  
  148,000     Daikyo, Inc.     570,837  
  5,300     Dainichi Co. Ltd.     44,418  
  39,000     Dainichiseika Color & Chemicals Manufacturing Co. Ltd.     181,628  
  26,000     Daio Paper Corp.     155,757  
  44,000     Daisan Bank Ltd. (The)     79,438  
  11,910     Daiseki Co. Ltd.     227,852  
  62,000     Daishi Bank Ltd. (The)     244,858  
  11,000     Daishinku Corp.     34,528  
  26,000     Daiso Co. Ltd.     76,278  
  2,200     Daisyo Corp.     27,984  
  55,000     Daito Bank Ltd. (The)     56,419  
  5,200     Daito Electron Co. Ltd.     23,897  
  13,000     Daiwa Industries Ltd.     81,479  
  91,000     Daiwabo Holdings Co. Ltd.     171,760  
  66     Daiwahouse Residential Investment Corp. REIT     280,966  
  10,400     DC Co. Ltd.     34,671  
  63,060     DCM Holdings Co. Ltd.     622,288  
  211,000     Denki Kagaku Kogyo KK     770,539  
  25,000     Denki Kogyo Co. Ltd.     115,915  
  12,600     Denyo Co. Ltd.     182,243  
  19,000     Descente Ltd.     122,203  
  151,000     DIC Corp.     337,672  


32
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
JAPAN (continued)        
  12     Digital Garage, Inc.   $ 43,945  
  3,200     Disco Corp.     206,473  
  10,700     Doshisha Co. Ltd.     168,592  
  4,574     Doutor Nichires Holdings Co. Ltd.     65,219  
  71,000     Dowa Holdings Co. Ltd.     508,365  
  12     Dr Ci:Labo Co. Ltd.     36,449  
  6     Dream Incubator, Inc.(b)     11,362  
  6,800     DTS Corp.     113,909  
  6,600     Dunlop Sports Co. Ltd.     81,920  
  40,300     Duskin Co. Ltd.     817,699  
  4,400     Dydo Drinco, Inc.     196,789  
  18,000     Dynic Corp.     34,159  
  11,000     Eagle Industry Co. Ltd.     107,647  
  900     Earth Chemical Co. Ltd.     31,805  
  242,000     Ebara Corp.     1,012,833  
  300     Echo Trading Co. Ltd.     2,530  
  35,600     EDION Corp.     166,524  
  66,000     Ehime Bank Ltd. (The)     169,934  
  11,000     Eidai Co. Ltd.     54,275  
  77,000     Eighteenth Bank Ltd. (The)     198,256  
  6,400     Eiken Chemical Co. Ltd.     105,501  
  5,200     Eizo Corp.     89,934  
  2,100     Elematec Corp.     28,241  
  1,900     Enplas Corp.     110,314  
  28     EPS Corp.     44,319  
  17,500     ESPEC Corp.     145,227  
  2,800     Excel Co. Ltd.     28,292  
  12,300     Exedy Corp.     307,863  
  12,000     Ezaki Glico Co. Ltd.     134,667  
  3,100     F&A Aqua Holdings, Inc.     62,041  
  381     Faith, Inc.     45,766  
  3,000     Falco SD Holdings Co. Ltd.     38,006  
  10,100     Fancl Corp.     110,236  
  486,300     FCC Co. Ltd.(d)     12,316,507  
  800     Felissimo Corp.     9,684  
  19,300     Ferrotec Corp.     80,578  
  54,200     FIDEA Holdings Co. Ltd.     137,328  
  3,900     Fields Corp.     79,012  
  5,000     First Baking Co. Ltd.(b)     7,642  
  15,100     Foster Electric Co. Ltd.     205,856  
  4,300     FP Corp.     285,387  
  34,000     France Bed Holdings Co. Ltd.     74,288  
  2,900     F-Tech, Inc.     45,009  
  5,900     Fuji Co. Ltd.     108,153  
  10,600     Fuji Corp. Ltd.     70,243  
  220,000     Fuji Electric Co. Ltd.     751,500  
  7,500     Fuji Electronics Co. Ltd.     95,015  
  13,000     Fuji Kiko Co. Ltd.     45,874  
  16,000     Fuji Kyuko Co. Ltd.     150,177  
  26,600     Fuji Oil Co. Ltd.     421,845  
  7,400     Fuji Soft, Inc.     197,516  
  36,000     Fujibo Holdings, Inc.     101,185  
  5,600     Fujicco Co. Ltd.     64,396  
  12,100     Fujikura Kasei Co. Ltd.     50,021  
  111,000     Fujikura Ltd.     415,602  
Shares         Value  
JAPAN (continued)        
  3,000     Fujikura Rubber Ltd.   $ 9,109  
  8,500     Fujimori Kogyo Co. Ltd.     271,170  
  2,000     Fujita Kanko, Inc.     10,648  
  47,000     Fujitec Co. Ltd.     508,160  
  2,600     Fujitsu Frontech Ltd.     17,335  
  18,000     Fujitsu General Ltd.     175,596  
  7,700     FuKoKu Co. Ltd.     72,352  
  19,000     Fukuda Corp.     76,207  
  81,000     Fukui Bank Ltd. (The)     169,503  
  65,000     Fukushima Bank Ltd. (The)     60,009  
  2,600     Fukushima Industries Corp.     70,464  
  105,000     Fukuyama Transporting Co. Ltd.     584,859  
  7,800     Funai Consulting Ltd.     59,769  
  7,000     Funai Electric Co. Ltd.(b)     86,670  
  48,000     Furukawa Co. Ltd.     61,548  
  201,000     Furukawa Electric Co. Ltd.     507,216  
  55,000     Furukawa-Sky Aluminum Corp.     169,821  
  5,800     Furuno Electric Co. Ltd.     45,872  
  4,000     Furusato Industries Ltd.     40,006  
  13,000     Fuso Pharmaceutical Industries Ltd.     55,075  
  27,700     Futaba Corp.     385,587  
  24,700     Futaba Industrial Co. Ltd.(b)     114,778  
  3     Future Architect, Inc.     1,511  
  14,300     Fuyo General Lease Co. Ltd.     649,833  
  900     G-7 Holdings, Inc.     6,841  
  20,000     Gakken Holdings Co. Ltd.     62,984  
  6,400     Gecoss Corp.     50,092  
  108     Geo Holdings Corp.     128,955  
  12,700     Glory Ltd.     349,011  
  16,800     GMO internet, Inc.     219,898  
  59,000     Godo Steel Ltd.     96,835  
  6,480     Goldcrest Co. Ltd.     213,042  
  32,000     Goldwin, Inc.     185,136  
  2,000     Gourmet Kineya Co. Ltd.     14,136  
  3,100     Gree, Inc.     39,718  
  114,000     GS Yuasa Corp.     482,967  
  36,000     GSI Creos Corp.     52,439  
  500     G-Tekt Corp.     15,746  
  20,900     Gulliver International Co. Ltd.     167,655  
  28,000     Gun-Ei Chemical Industry Co. Ltd.     65,487  
  110,000     Gunma Bank Ltd. (The)     698,466  
  74,000     Gunze Ltd.     192,809  
  6,600     H.I.S. Co. Ltd.     284,351  
  65,000     H2O Retailing Corp.     724,111  
  5,800     Hakudo Co. Ltd.     47,538  
  10,630     Hakuhodo DY Holdings, Inc.     875,611  
  9,600     Hakuto Co. Ltd.     98,083  
  1,400     Hamakyorex Co. Ltd.     49,618  
  600     Hamamatsu Photonics KK     24,650  
  172,000     Hanwa Co. Ltd.     647,525  
  2,000     Happinet Corp.     15,982  
  5,100     Harashin Narus Holdings Co. Ltd.     91,082  


33
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
JAPAN (continued)        
  7,400     Hard Off Corp. Co. Ltd.   $ 49,872  
  8,400     Harima Chemicals Group, Inc.     40,499  
  1,300     Haruyama Trading Co. Ltd.     9,735  
  160,500     Haseko Corp.(b)     233,790  
  93,930     Hazama Ando Corp.     220,649  
  15,600     Heiwa Corp.     323,090  
  15,900     Heiwa Real Estate Co. Ltd.     402,862  
  12,300     Heiwado Co. Ltd.     221,560  
  20,900     Hibiya Engineering Ltd.     204,530  
  4,200     Hiday Hidaka Corp.     85,176  
  10,000     Higashi Nihon House Co. Ltd.     86,885  
  54,000     Higashi-Nippon Bank Ltd. (The)     136,821  
  69,000     Higo Bank Ltd. (The)     467,149  
  14,200     Hikari Tsushin, Inc.     773,473  
  1,300     Hioki EE Corp.     20,803  
  13,000     Hiroshima Bank Ltd. (The)     68,411  
  20,000     Hisaka Works Ltd.     185,875  
  159,000     Hitachi Cable Ltd.(b)     275,642  
  18,900     Hitachi Capital Corp.     470,343  
  11,600     Hitachi Koki Co. Ltd.     100,549  
  11,000     Hitachi Kokusai Electric, Inc.     129,312  
  14,000     Hitachi Medical Corp.     223,029  
  21,800     Hitachi Transport System Ltd.     346,170  
  212,000     Hitachi Zosen Corp.     352,300  
  5,000     Hochiki Corp.     23,850  
  16,000     Hodogaya Chemical Co. Ltd.     36,108  
  20,200     Hogy Medical Co. Ltd.     1,243,268  
  5,000     Hokkaido Coca-Cola Bottling Co. Ltd.     24,722  
  26,100     Hokkaido Electric Power Co., Inc.(b)     330,651  
  10,000     Hokkaido Gas Co. Ltd.     26,158  
  28,000     Hokkan Holdings Ltd.     85,880  
  4,000     Hokko Chemical Industry Co. Ltd.     13,951  
  111,000     Hokkoku Bank Ltd. (The)     470,257  
  107,000     Hokuetsu Bank Ltd. (The)     251,351  
  97,865     Hokuetsu Kishu Paper Co. Ltd.     434,688  
  393,000     Hokuhoku Financial Group, Inc.     915,125  
  8,000     Hokuriku Electric Industry Co. Ltd.     10,012  
  21,100     Hokuriku Electric Power Co.     310,380  
  6,800     Hokuto Corp.     130,999  
  800     H-One Co. Ltd.     9,823  
  7,320     Honeys Co. Ltd.     94,687  
  195,200     Horiba Ltd.     7,048,305  
  9,900     Hoshizaki Electric Co. Ltd.     329,543  
  18,500     Hosiden Corp.     105,514  
  26,000     Hosokawa Micron Corp.     232,569  
  44,500     House Foods Corp.     775,104  
  87,000     Howa Machinery Ltd.     115,125  
  1,000     Hurxley Corp.     7,970  
  200     Hutech Norin Co. Ltd.     2,006  
  67,000     Hyakugo Bank Ltd. (The)     334,708  
Shares         Value  
JAPAN (continued)        
  82,000     Hyakujushi Bank Ltd. (The)   $ 323,845  
  2,000     I Metal Technology Co. Ltd.     3,426  
  39,200     Ibiden Co. Ltd.     685,603  
  7,300     IBJ Leasing Co. Ltd.     256,101  
  2,400     Ichibanya Co. Ltd.     106,970  
  78     Ichigo Group Holdings Co. Ltd.     80,652  
  21,000     Ichikoh Industries Ltd.(b)     31,451  
  7,300     ICHINEN Holdings Co. Ltd.     53,766  
  5,800     Ichiyoshi Securities Co. Ltd.     84,306  
  2,300     Icom, Inc.     56,907  
  9,700     Idec Corp.     86,368  
  20,000     Ihara Chemical Industry Co. Ltd.     136,636  
  19,500     Iino Kaiun Kaisha Ltd.     135,421  
  6,600     Imasen Electric Industrial     76,572  
  10,400     Inaba Denki Sangyo Co. Ltd.     306,394  
  3,200     Inaba Seisakusho Co. Ltd.     46,218  
  21,600     Inabata & Co. Ltd.     169,060  
  10,800     Inageya Co. Ltd.     112,116  
  25     Industrial & Infrastructure Fund Investment Corp. REIT     265,425  
  12,200     Ines Corp.     91,608  
  600     I-Net Corp.     4,450  
  6,200     Information Services International-Dentsu Ltd.     73,139  
  10,300     Innotech Corp.     45,221  
  700     Intage, Inc.     18,727  
  7,000     Internet Initiative Japan, Inc.     281,479  
  16,000     Inui Steamship Co. Ltd.(b)     70,247  
  800     Iriso Electronics Co. Ltd.     17,997  
  1,000     Ise Chemical Corp.     8,309  
  145,000     Ishihara Sangyo Kaisha Ltd.(b)     127,917  
  14,000     Ishizuka Glass Co. Ltd.     27,430  
  31,066     IT Holdings Corp.     466,540  
  4,500     ITC Networks Corp.     40,714  
  14,000     Ito En Ltd.     336,770  
  29,000     Itochu Enex Co. Ltd.     159,748  
  2,000     Itochu-Shokuhin Co. Ltd.     74,268  
  71,000     Itoham Foods, Inc.     326,286  
  13,000     Itoki Corp.     81,479  
  8,400     Iwai Cosmo Holdings, Inc.     129,768  
  11,000     Iwaki & Co. Ltd.     25,049  
  27,000     Iwasaki Electric Co. Ltd.(b)     56,778  
  63,000     Iwatani Corp.     279,828  
  42,000     Iwatsu Electric Co. Ltd.     48,684  
  130,000     Iyo Bank Ltd. (The)     1,360,209  
  20,100     Izumi Co. Ltd.     542,062  
  26,000     Izumiya Co. Ltd.     130,153  
  46,000     Izutsuya Co. Ltd.(b)     51,434  
  900     Jalux, Inc.     8,946  
  98,000     Janome Sewing Machine Co. Ltd.(b)     85,449  
  17,200     Japan Airport Terminal Co. Ltd.     265,362  
  23,000     Japan Aviation Electronics Industry Ltd.     198,184  
  7,600     Japan Carlit Co. Ltd.     52,857  

34
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
JAPAN (continued)        
  3,600     Japan Cash Machine Co. Ltd.   $ 64,995  
  10,400     Japan Digital Laboratory Co. Ltd.     127,806  
  2,900     Japan Electronic Materials Corp.     11,602  
  20,300     Japan Foundation Engineering Co. Ltd.     69,343  
  6,400     Japan Medical Dynamic Marketing, Inc.     20,221  
  4,700     Japan Petroleum Exploration Co.     185,859  
  50,000     Japan Pulp & Paper Co. Ltd.     152,844  
  23,000     Japan Radio Co. Ltd.(b)     87,060  
  92,000     Japan Steel Works Ltd. (The)     466,205  
  22,000     Japan Transcity Corp.     87,337  
  8,000     Japan Vilene Co. Ltd.     40,047  
  38,000     Japan Wool Textile Co. Ltd. (The)     327,825  
  6,500     Jastec Co. Ltd.     46,474  
  10,000     JBCC Holdings, Inc.     93,553  
  13,000     Jidosha Buhin Kogyo Co. Ltd.     66,677  
  3,500     Jimoto Holdings, Inc.     8,473  
  1,400     JK Holdings Co. Ltd.     9,651  
  12,000     JMS Co. Ltd.     46,776  
  41,000     J-Oil Mills, Inc.     127,435  
  20,000     Joshin Denki Co. Ltd.     179,104  
  8,000     JSP Corp.     116,777  
  100,000     Juroku Bank Ltd. (The)     424,681  
  4,000     Justsystems Corp.(b)     24,783  
  32,510     JVC Kenwood Corp.     84,039  
  2,000     Kabuki-Za Co. Ltd.     101,452  
  7,600     Kadokawa Group Holdings, Inc.     238,170  
  7,400     Kaga Electronics Co. Ltd.     60,575  
  20,100     Kagome Co. Ltd.     362,268  
  70,000     Kagoshima Bank Ltd. (The)     511,976  
  22,600     Kakaku.com, Inc.     583,286  
  28,000     Kaken Pharmaceutical Co. Ltd.     496,610  
  5,800     Kameda Seika Co. Ltd.     151,894  
  10,000     Kamei Corp.     101,144  
  91,000     Kamigumi Co. Ltd.     851,331  
  14,000     Kanaden Corp.     90,188  
  10,000     Kanagawa Chuo Kotsu Co. Ltd.     65,549  
  21,000     Kanamoto Co. Ltd.     485,121  
  13,000     Kandenko Co. Ltd.     58,942  
  97,000     Kaneka Corp.     583,085  
  81,000     Kanematsu Corp.(b)     112,171  
  12,300     Kanematsu Electronics Ltd.     152,670  
  16,000     Kanto Natural Gas Development Ltd.     107,832  
  50     Kappa Create Holdings Co. Ltd.(b)     941  
  18,000     Kasai Kogyo Co. Ltd.     88,998  
  16,800     Kasumi Co. Ltd.     120,634  
  5,000     Katakura Industries Co. Ltd.     86,526  
  11,900     Kato Sangyo Co. Ltd.     252,319  
  50,000     Kato Works Co. Ltd.     183,618  
Shares         Value  
JAPAN (continued)        
  2,400     KAWADA Technologies, Inc.   $ 64,330  
  32,000     Kawai Musical Instruments Manufacturing Co. Ltd.     58,430  
  8,000     Kawasaki Kinkai Kisen Kaisha Ltd.     24,537  
  350,000     Kawasaki Kisen Kaisha Ltd.(b)     768,323  
  7,000     Kawasumi Laboratories, Inc.     52,347  
  42,000     Keihan Electric Railway Co. Ltd.     180,520  
  15,900     Keihanshin Building Co. Ltd.     123,958  
  3,000     Keihin Co. Ltd. (The)     6,155  
  10,600     Keihin Corp.     173,106  
  159,000     Keiyo Bank Ltd. (The)     976,981  
  13,300     Keiyo Co. Ltd.     67,261  
  2,000     Kentucky Fried Chicken Japan Ltd.     43,473  
  36,200     Kewpie Corp.     546,240  
  6,525     KEY Coffee, Inc.     102,609  
  11,200     Kimoto Co. Ltd.     89,499  
  49,000     Kinden Corp.     356,875  
  600     King Jim Co. Ltd.     4,862  
  7,000     Kinki Sharyo Co. Ltd.     22,475  
  7,200     Kintetsu World Express, Inc.     258,871  
  18,000     Kinugawa Rubber Industrial Co. Ltd.     94,168  
  5,900     Kisoji Co. Ltd.     117,292  
  13,900     Kissei Pharmaceutical Co. Ltd.     301,427  
  66,000     Kitagawa Iron Works Co. Ltd.     114,418  
  4,400     Kita-Nippon Bank Ltd. (The)     113,154  
  21,000     Kitano Construction Corp.     46,961  
  31,000     Kitz Corp.     178,715  
  281,000     Kiyo Holdings, Inc.     490,024  
  29,600     Koa Corp.     318,515  
  22,000     Koatsu Gas Kogyo Co. Ltd.     120,059  
  8,200     Kobayashi Pharmaceutical Co. Ltd.     447,494  
  4,000     Kobe Steel Ltd.(b)     5,211  
  24,000     Kohnan Shoji Co. Ltd.     294,691  
  1,300     Kohsoku Corp.     11,735  
  13,000     Koike Sanso Kogyo Co. Ltd.     30,271  
  33,000     Koito Manufacturing Co. Ltd.     637,083  
  17,500     Kojima Co. Ltd.     59,599  
  35,700     Kokuyo Co. Ltd.     287,475  
  23,000     KOMAIHALTEC, Inc.     58,276  
  5,000     Komatsu Seiren Co. Ltd.     25,748  
  4,300     Komatsu Wall Industry Co. Ltd.     103,613  
  11,700     Komeri Co. Ltd.     363,656  
  12,300     Komori Corp.     152,165  
  9,800     Konaka Co. Ltd.     135,613  
  7,700     Konami Corp.     175,508  
  9,700     Konishi Co.Ltd.     179,900  
  6,500     Kose Corp.     169,559  
  1,600     Kourakuen Corp.     20,286  
  39,000     Krosaki Harima Corp.     88,014  
  4,200     KRS Corp.     41,877  
  13,828     K’s Holdings Corp.     486,537  


35
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
JAPAN (continued)        
  800     KU Holdings Co. Ltd.   $ 7,713  
  79,000     Kumagai Gumi Co. Ltd.(b)     95,625  
  7,000     Kumiai Chemical Industry Co. Ltd.     46,387  
  2,100     Kura Corp.     37,030  
  96,000     Kurabo Industries Ltd.     180,212  
  46,000     Kureha Corp.     162,322  
  40,000     Kurimoto Ltd.     136,636  
  1,600     Kurita Water Industries Ltd.     32,809  
  23,400     Kuroda Electric Co. Ltd.     310,128  
  72,000     KYB Co. Ltd.     392,183  
  34,000     Kyodo Printing Co. Ltd.     128,697  
  41,000     Kyodo Shiryo Co. Ltd.     50,049  
  7,400     Kyoei Steel Ltd.     141,191  
  5,000     Kyokuto Boeki Kaisha Ltd.(b)     12,566  
  13,600     Kyokuto Kaihatsu Kogyo Co. Ltd.     142,299  
  5,200     Kyokuto Securities Co. Ltd.     97,402  
  26,000     Kyokuyo Co. Ltd.     65,877  
  30,000     KYORIN Holdings, Inc.     801,354  
  4,500     Kyoritsu Maintenance Co. Ltd.     135,852  
  40,000     Kyosan Electric Manufacturing Co. Ltd.     132,533  
  2,400     Kyoto Kimono Yuzen Co. Ltd.     26,293  
  64,000     Kyowa Exeo Corp.     754,331  
  1,600     Kyowa Leather Cloth Co. Ltd.     5,383  
  24,000     Kyudenko Corp.     112,263  
  1,400     Lasertec Corp.     34,165  
  2,700     LEC, Inc.     35,701  
  8,600     Life Corp.     119,889  
  19,500     Lintec Corp.     354,655  
  54,000     Lion Corp.     315,187  
  25,000     Look, Inc.     95,656  
  4,300     Mabuchi Motor Co. Ltd.     232,456  
  4,500     Macnica, Inc.     91,860  
  6,000     MacroMill, Inc.     85,798  
  50,000     Maeda Corp.     239,011  
  47,000     Maeda Road Construction Co. Ltd.     709,207  
  5,000     Maezawa Kasei Industries Co. Ltd.     55,085  
  5,000     Maezawa Kyuso Industries Co. Ltd.     68,780  
  78,000     Makino Milling Machine Co. Ltd.     462,471  
  6,000     Mandom Corp.     219,418  
  4,900     Mars Engineering Corp.     109,375  
  11,900     Marubun Corp.     54,443  
  95,000     Marudai Food Co. Ltd.     314,766  
  14,000     Maruei Department Store Co. Ltd.(b)     16,659  
  13,000     Maruetsu, Inc. (The)     46,540  
  4,000     Marufuji Sheet Piling Co. Ltd.     9,848  
  30,910     Maruha Nichiro Holdings, Inc.     61,830  
  200     Marui Group Co. Ltd.     2,318  
  20,200     Maruichi Steel Tube Ltd.     508,911  
Shares         Value  
JAPAN (continued)        
  22,900     Marusan Securities Co. Ltd.   $ 194,034  
  2,900     Maruwa Co. Ltd.     88,263  
  20,000     Maruyama Manufacturing Co., Inc.     58,471  
  900     Maruzen CHI Holdings Co. Ltd.(b)     2,530  
  25,000     Maruzen Showa Unyu Co. Ltd.     89,501  
  64     Marvelous AQL, Inc.     36,371  
  6,500     Matsuda Sangyo Co. Ltd.     94,081  
  7,000     Matsui Securities Co. Ltd.     87,962  
  22,000     Matsumotokiyoshi Holdings Co. Ltd.     628,733  
  2,700     Matsuya Foods Co. Ltd.     44,979  
  12,000     Max Co. Ltd.     136,760  
  3,700     Maxvalu Tokai Co. Ltd.     50,935  
  2,400     MEC Co. Ltd.     15,756  
  83,500     Medipal Holdings Corp.     1,309,653  
  3,500     Megachips Corp.(b)     52,957  
  7,850     Megane TOP Co. Ltd.     112,977  
  19,000     Megmilk Snow Brand Co. Ltd.     291,768  
  65,000     Meidensha Corp.     194,030  
  3,000     Meiko Electronics Co. Ltd.     21,111  
  6,700     Meiko Network Japan Co. Ltd.     92,921  
  10,700     Meitec Corp.     275,170  
  200     Meito Transportation Co. Ltd.     1,319  
  20,900     Meiwa Corp.     90,045  
  10,100     Meiwa Estate Co. Ltd.(b)     63,925  
  4,500     Melco Holdings, Inc.     74,134  
  63,000     Michinoku Bank Ltd. (The)     152,516  
  44,000     Mie Bank Ltd. (The)     105,616  
  13,700     Mikuni Coca-Cola Bottling Co. Ltd.     162,177  
  2,448     Milbon Co. Ltd.     92,787  
  6,300     Mimasu Semiconductor Industry Co. Ltd.     63,721  
  72,000     Minato Bank Ltd. (The)     132,205  
  52,000     Minebea Co. Ltd.     165,892  
  12,600     Ministop Co. Ltd.     217,270  
  182,700     Miraca Holdings, Inc.     9,108,294  
  12,340     Mirait Holdings Corp.     133,166  
  8,500     Misawa Homes Co. Ltd.     151,890  
  23,300     MISUMI Group, Inc.     710,102  
  4,800     Mitani Corp.     85,429  
  8,000     Mito Securities Co. Ltd.     48,828  
  21,000     Mitsuba Corp.     249,023  
  21,000     Mitsubishi Gas Chemical Co., Inc.     160,271  
  13,000     Mitsubishi Kakoki Kaisha Ltd.(b)     26,537  
  22,000     Mitsubishi Logistics Corp.     392,901  
  18,000     Mitsubishi Nichiyu Forklift Co. Ltd.     70,534  
  83,000     Mitsubishi Paper Mills Ltd.     81,736  
  10,600     Mitsubishi Pencil Co. Ltd.     224,320  
  3,400     Mitsubishi Shokuhin Co. Ltd.     100,132  
  45,000     Mitsubishi Steel Manufacturing Co. Ltd.     96,476  


36
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
JAPAN (continued)        
  18,000     Mitsuboshi Belting Co. Ltd.   $ 96,569  
  321,000     Mitsui Chemicals, Inc.     740,883  
  173,000     Mitsui Engineering &
Shipbuilding Co. Ltd.
    319,434  
  5,300     Mitsui High-Tec, Inc.     37,948  
  14,000     Mitsui Home Co. Ltd.     84,157  
  511     Mitsui Knowledge Industry Co. Ltd.     86,281  
  19,000     Mitsui Matsushima Co. Ltd.     36,642  
  246,000     Mitsui Mining & Smelting Co. Ltd.     552,639  
  66,000     Mitsui Sugar Co. Ltd.     207,170  
  22,000     Mitsui-Soko Co. Ltd.     149,623  
  38,800     Mitsumi Electric Co. Ltd.(b)     221,692  
  10,500     Mitsuuroko Holdings Co. Ltd.     54,070  
  130,300     Miura Co. Ltd.(d)     3,064,860  
  38,000     Miyaji Engineering Group, Inc.(b)     66,267  
  47,000     Miyazaki Bank Ltd. (The)     138,852  
  26,000     Miyoshi Oil & Fat Co. Ltd.     45,074  
  62,000     Mizuno Corp.     264,574  
  19,000     Mochida Pharmaceutical Co. Ltd.     252,593  
  2,200     Modec, Inc.     63,167  
  23     Monex Group, Inc.     10,357  
  45,600     Mori Seiki Co. Ltd.     571,608  
  34,000     Morinaga & Co. Ltd.     72,893  
  145,000     Morinaga Milk Industry Co. Ltd.     426,886  
  14,000     Morita Holdings Corp.     118,336  
  22,000     Mory Industries, Inc.     69,282  
  9,300     MOS Food Services, Inc.     185,456  
  14,500     Moshi Moshi Hotline, Inc.     214,484  
  11,900     Mr Max Corp.     41,992  
  2,000     Murakami Corp.     32,723  
  132,900     Musashi Seimitsu Industry Co. Ltd.     3,202,360  
  21,800     Musashino Bank Ltd. (The)     925,804  
  26,000     Mutoh Holdings Co. Ltd.     64,543  
  2,500     NAC Co. Ltd.     44,289  
  57,000     Nachi-Fujikoshi Corp.     253,762  
  5,500     Nagaileben Co. Ltd.     94,050  
  24,000     Nagano Bank Ltd. (The)     45,299  
  1,000     Nagano Keiki Co. Ltd.     7,324  
  91,400     Nagase & Co. Ltd.     1,168,225  
  7,000     Nagatanien Co. Ltd.     62,974  
  88,000     Nagoya Railroad Co. Ltd.     272,616  
  22,000     Nakabayashi Co. Ltd.     46,489  
  13,000     Nakamuraya Co. Ltd.     56,675  
  27,000     Nakayama Steel Works Ltd.(b)     19,665  
  11,200     Namura Shipbuilding Co. Ltd.     60,547  
  56,000     Nankai Electric Railway Co. Ltd.     224,609  
  85,000     Nanto Bank Ltd. (The)     375,801  
  3,600     Natori Co. Ltd.     34,713  
  16,000     NDS Co. Ltd.     49,567  
  9,600     NEC Capital Solutions Ltd.     354,024  
Shares         Value  
JAPAN (continued)        
  7,400     NEC Fielding Ltd.   $ 97,619  
  4,200     NEC Mobiling Ltd.     239,975  
  19,700     NEC Networks & System
Integration Corp.
    431,648  
  31,800     NET One Systems Co. Ltd.     278,252  
  27,200     Neturen Co. Ltd.     217,075  
  20,000     NGK Spark Plug Co. Ltd.     336,667  
  63,700     NHK Spring Co. Ltd.     688,719  
  26,000     Nice Holdings, Inc.     73,345  
  11,000     Nichia Steel Works Ltd.     37,124  
  38,000     Nichias Corp.     231,933  
  17,000     Nichiban Co. Ltd.     70,975  
  32,700     Nichicon Corp.     343,487  
  3,500     Nichiden Corp.     82,541  
  16,000     Nichiha Corp.     256,039  
  19,100     Nichii Gakkan Co.     194,164  
  22,000     Nichimo Co. Ltd.     47,392  
  125,000     Nichirei Corp.     734,728  
  18,000     Nichireki Co. Ltd.     131,282  
  6,500     Nidec Copal Corp.     53,275  
  5,600     Nidec-Tosok Corp.     46,760  
  466,300     Nifco, Inc.(d)     10,623,709  
  78     NIFTY Corp.     122,419  
  808     Nihon Chouzai Co. Ltd.     21,301  
  5,200     Nihon Dempa Kogyo Co. Ltd.     51,528  
  12,300     Nihon Kohden Corp.     472,519  
  3,000     Nihon M&A Center, Inc.     158,178  
  27,000     Nihon Nohyaku Co. Ltd.     256,747  
  24,000     Nihon Parkerizing Co. Ltd.     487,706  
  2,800     Nihon Plast Co. Ltd.     16,056  
  1,000     Nihon Shokuhin Kako Co. Ltd.     4,001  
  1,100     Nihon Tokushu Toryo Co. Ltd.     4,886  
  2,050     Nihon Trim Co. Ltd.     115,659  
  10,000     Nihon Unisys Ltd.     85,962  
  49,000     Nihon Yamamura Glass Co. Ltd.     97,010  
  29,000     Nikkiso Co. Ltd.     411,120  
  6,000     Nikko Co. Ltd.     23,573  
  55,000     Nippo Corp.     822,588  
  43,000     Nippon Beet Sugar
Manufacturing Co. Ltd.
    80,720  
  47,000     Nippon Carbon Co. Ltd.     109,925  
  8,100     Nippon Ceramic Co. Ltd.     141,336  
  31,000     Nippon Chemical Industrial Co. Ltd.(b)     38,796  
  70,000     Nippon Chemi-Con Corp.(b)     238,396  
  3,000     Nippon Chemiphar Co. Ltd.     19,388  
  115,000     Nippon Coke & Engineering Co. Ltd.     148,638  
  18,000     Nippon Concrete Industries Co. Ltd.     59,086  
  26,000     Nippon Conveyor Co. Ltd.(b)     22,403  
  42,000     Nippon Denko Co. Ltd.     146,484  
  26,000     Nippon Densetsu Kogyo Co. Ltd.     291,512  
  181,000     Nippon Electric Glass Co. Ltd.     920,921  


37
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
JAPAN (continued)        
  400     Nippon Felt Co. Ltd.   $ 1,801  
  600     Nippon Filcon Co. Ltd.     2,622  
  9,700     Nippon Fine Chemical Co. Ltd.     67,662  
  42,000     Nippon Flour Mills Co. Ltd.     195,168  
  26,000     Nippon Formula Feed
Manufacturing Co. Ltd.
    33,338  
  9,200     Nippon Gas Co. Ltd.     114,286  
  11,000     Nippon Hume Corp.     72,555  
  3,100     Nippon Jogesuido Sekkei Co. Ltd.     41,944  
  3,400     Nippon Kanzai Co. Ltd.     55,873  
  60,000     Nippon Kayaku Co. Ltd.     864,133  
  44,000     Nippon Kinzoku Co. Ltd.(b)     55,516  
  56,000     Nippon Koei Co. Ltd.     220,013  
  17,200     Nippon Konpo Unyu Soko Co. Ltd.     265,362  
  25,000     Nippon Koshuha Steel Co. Ltd.(b)     24,363  
  432,900     Nippon Light Metal Holdings Co. Ltd.     510,679  
  66,000     Nippon Paint Co. Ltd.     781,966  
  39,400     Nippon Paper Industries Co. Ltd.(b)     586,847  
  6     Nippon Parking Development Co. Ltd.     487  
  16,000     Nippon Pillar Packing Co. Ltd.     130,974  
  46,000     Nippon Piston Ring Co. Ltd.     88,711  
  54,000     Nippon Road Co. Ltd. (The)     322,388  
  19,000     Nippon Seiki Co. Ltd.     250,449  
  4,000     Nippon Seiro Co. Ltd.     11,489  
  10,000     Nippon Seisen Co. Ltd.     41,647  
  28,000     Nippon Sharyo Ltd.     144,474  
  81,000     Nippon Sheet Glass Co. Ltd.(b)     93,060  
  35,000     Nippon Shinyaku Co. Ltd.     543,212  
  64,000     Nippon Shokubai Co. Ltd.     627,625  
  23,500     Nippon Signal Co. Ltd. (The)     189,234  
  74,000     Nippon Soda Co. Ltd.     343,868  
  28,000     Nippon Steel Trading Co. Ltd.     84,731  
  74,000     Nippon Suisan Kaisha Ltd.     143,468  
  35,000     Nippon Synthetic Chemical Industry Co. Ltd. (The)     335,693  
  26,000     Nippon Thompson Co. Ltd.     129,620  
  3,000     Nippon Tungsten Co. Ltd.     4,678  
  21,000     Nippon Valqua Industries Ltd.     54,070  
  42,000     Nippon Yakin Kogyo Co. Ltd.(b)     57,301  
  32,500     Nipro Corp.     323,716  
  1,000     Nishikawa Rubber Co. Ltd.     19,388  
  119,000     Nishimatsu Construction Co. Ltd.     227,050  
  6,400     Nishimatsuya Chain Co. Ltd.     63,353  
  327,000     Nishi-Nippon City Bank Ltd. (The)     1,090,168  
  73,000     Nishi-Nippon Railroad Co. Ltd .     298,784  
  18,300     Nissan Chemical Industries Ltd.     237,092  
  74,000     Nissan Shatai Co. Ltd.     986,818  
Shares         Value  
JAPAN (continued)        
  30,000     Nissan Tokyo Sales Holdings Co. Ltd.   $ 103,401  
  2,300     Nissei Corp.     20,526  
  2,200     Nissei Plastic Industrial Co. Ltd.     17,377  
  21,000     Nissen Holdings Co. Ltd.     77,550  
  1,800     Nissha Printing Co. Ltd.(b)     28,971  
  8,000     Nisshin Fudosan Co. Ltd.     74,350  
  34,000     Nisshin Oillio Group Ltd. (The)     119,629  
  22,924     Nisshin Steel Holdings Co. Ltd.     192,121  
  40,000     Nisshinbo Holdings, Inc.     290,096  
  34,000     Nissin Corp.     99,749  
  22,000     Nissin Electric Co. Ltd.     109,453  
  18,300     Nissin Kogyo Co. Ltd.     404,164  
  2,600     Nissin Sugar Co. Ltd.     61,316  
  6,500     Nissui Pharmaceutical Co. Ltd.     78,145  
  12,300     Nitta Corp.     275,310  
  8,600     Nittan Valve Co. Ltd.     32,200  
  27,000     Nittetsu Mining Co. Ltd.     130,451  
  125,000     Nitto Boseki Co. Ltd.(b)     439,811  
  17,600     Nitto Kogyo Corp.     261,603  
  4,800     Nitto Kohki Co. Ltd.     91,386  
  9,000     Nitto Seiko Co. Ltd.     34,344  
  3,100     Nittoku Engineering Co. Ltd.     30,655  
  7,400     Noevir Holdings Co. Ltd.     122,669  
  109,000     NOF Corp.     585,895  
  12,000     Nohmi Bosai Ltd.     98,477  
  29,600     NOK Corp.     426,002  
  17,000     Nomura Co. Ltd.     122,593  
  42,000     Noritake Co. Ltd.     113,310  
  8,700     Noritsu Koki Co. Ltd.     62,382  
  13,800     Noritz Corp.     292,322  
  62,900     North Pacific Bank Ltd.     216,796  
  7,700     NS Solutions Corp.     156,156  
  26,000     NS United Kaiun Kaisha Ltd.(b)     48,274  
  3,100     NSD Co. Ltd.     35,202  
  197,000     NTN Corp.     501,164  
  4,500     Obara Group, Inc.     108,524  
  21,000     Obayashi Road Corp.     100,385  
  2,000     OBIC Business Consultants Ltd.     113,864  
  960     Obic Co. Ltd.     252,987  
  32,000     Oenon Holdings, Inc.     90,270  
  117,000     Ogaki Kyoritsu Bank Ltd. (The)     434,467  
  4,300     Ohara, Inc.     29,377  
  900     Ohashi Technica, Inc.     8,078  
  14,038     Oiles Corp.     282,099  
  67,000     Oita Bank Ltd. (The)     261,168  
  33,100     Okabe Co. Ltd.     342,595  
  26,000     Okamoto Industries, Inc.     85,346  
  9,000     Okamoto Machine Tool Works Ltd.(b)     13,479  
  35,000     Okamura Corp.     265,323  
  21,000     Okasan Securities Group, Inc.     263,240  
  3,160     Okinawa Electric Power Co., Inc. (The)     116,695  
  54,000     OKK Corp.     106,909  
  62,000     OKUMA Corp.     483,992  


38
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
JAPAN (continued)        
  77,000     Okumura Corp.   $ 311,207  
  26,000     Okura Industrial Co. Ltd.     114,684  
  14,000     Okuwa Co. Ltd.     152,516  
  6,700     Onoken Co. Ltd.     68,797  
  111,000     Onward Holdings Co. Ltd.     1,037,298  
  1,800     Optex Co. Ltd.     26,681  
  23,000     Organo Corp.     130,471  
  17,000     Origin Electric Co. Ltd.     66,267  
  2,700     Osaka Organic Chemical Industry Ltd.     12,768  
  9,500     Osaka Steel Co. Ltd.     173,950  
  6,500     OSAKA Titanium Technologies Co.     129,153  
  10,000     Osaki Electric Co. Ltd.     52,726  
  25,100     OSG Corp.     381,321  
  5,300     Otsuka Corp.     547,479  
  2,500     Otsuka Kagu Ltd.     27,799  
  6,100     Oyo Corp.     99,930  
  37,000     Pacific Industrial Co. Ltd.     225,071  
  39,000     Pacific Metals Co. Ltd.     195,630  
  2,450     Pack Corp. (The)     49,359  
  4,000     Pal Co. Ltd.     133,149  
  11,150     Paltac Corp.     144,686  
  57,000     PanaHome Corp.     448,469  
  10,500     Panasonic Industrial Devices SUNX Co. Ltd.     49,546  
  1,000     Panasonic Information Systems Co. Ltd.     23,552  
  4,300     Parco Co. Ltd.     56,328  
  10,100     Paris Miki Holdings, Inc.     54,393  
  17,500     Park24 Co. Ltd.     352,747  
  10,000     Pasco Corp.(b)     43,802  
  14     Pasona Group, Inc.     11,187  
  46,000     Penta-Ocean Construction Co. Ltd.     117,967  
  2,700     PIA Corp.     45,339  
  5,700     Pigeon Corp.     489,398  
  66     Pilot Corp.     268,780  
  4,800     Piolax, Inc.     135,012  
  78,700     Pioneer Corp.(b)     161,461  
  10,200     Plenus Co. Ltd.     184,884  
  2,100     Pola Orbis Holdings, Inc.     74,319  
  44,000     Press Kogyo Co. Ltd.     224,773  
  900     Pressance Corp.     38,083  
  1,500     Prestige International, Inc.     19,003  
  47,000     Prima Meat Packers Ltd.     130,656  
  6,800     Pronexus, Inc.     56,361  
  42,100     Raito Kogyo Co. Ltd.     235,796  
  14,000     Rasa Industries Ltd.(b)     19,388  
  13,800     Renesas Electronics Corp.(b)     40,062  
  85,840     Rengo Co. Ltd.     414,737  
  23,200     Renown, Inc.(b)     36,412  
  13,100     Resorttrust, Inc.     446,140  
  3,000     Rheon Automatic Machinery Co. Ltd.     6,955  
  20,000     Rhythm Watch Co. Ltd.     34,672  
Shares         Value  
JAPAN (continued)        
  8,000     Ricoh Leasing Co. Ltd.   $ 245,781  
  4,500     Right On Co. Ltd.     44,684  
  31,000     Riken Corp.     124,973  
  11,400     Riken Keiki Co. Ltd.     78,818  
  7,000     Riken Technos Corp.     19,818  
  2,600     Riken Vitamin Co. Ltd.     62,676  
  4,700     Ringer Hut Co. Ltd.     66,533  
  16,800     Riso Kagaku Corp.     321,403  
  698     Riso Kyoiku Co. Ltd.     69,596  
  4,500     Rock Field Co. Ltd.     89,044  
  32,000     Rohto Pharmaceutical Co. Ltd.     449,382  
  3,000     Roland DG Corp.     44,191  
  55,600     Round One Corp.     465,401  
  8,600     Royal Holdings Co. Ltd.     140,268  
  37,000     Ryobi Ltd.     86,536  
  16,000     Ryoden Trading Co. Ltd.     103,236  
  7,600     Ryohin Keikaku Co. Ltd.     717,239  
  13,800     Ryosan Co. Ltd.     249,854  
  8,400     Ryoyo Electro Corp.     75,741  
  3,500     S Foods, Inc.     35,257  
  2,000     Sagami Chain Co. Ltd.(b)     16,331  
  69,000     Saibu Gas Co. Ltd.     167,749  
  10,000     Saizeriya Co. Ltd.     141,560  
  41,000     Sakai Chemical Industry Co. Ltd.     127,435  
  18,000     Sakai Heavy Industries Ltd.     56,316  
  39,000     Sakai Ovex Co. Ltd.     62,410  
  18,000     Sakata INX Corp.     126,850  
  17,300     Sakata Seed Corp.     236,558  
  4,500     Sala Corp.     24,142  
  3,500     San-A Co. Ltd.     170,719  
  50,000     San-Ai Oil Co. Ltd.     229,779  
  15,000     Sanden Corp.     62,779  
  22,575     Sangetsu Co. Ltd.     646,323  
  69,000     San-In Godo Bank Ltd. (The)     587,475  
  44,000     Sanken Electric Co. Ltd.     205,816  
  17,000     Sanki Engineering Co. Ltd.     96,610  
  50     Sanko Marketing Foods Co. Ltd.     54,060  
  14,000     Sanko Metal Industrial Co. Ltd.     33,031  
  23,200     Sankyo Seiko Co. Ltd.     88,769  
  5,600     Sankyo Tateyama, Inc.(b)     154,354  
  120,000     Sankyu, Inc.     535,467  
  20,600     Sanoh Industrial Co. Ltd.     147,709  
  15,400     Sanshin Electronics Co. Ltd.     96,995  
  68,000     Sanwa Holdings Corp.     412,248  
  21,000     Sanyo Chemical Industries Ltd.     123,865  
  13,000     Sanyo Denki Co. Ltd.     98,682  
  2,000     Sanyo Electric Railway Co. Ltd.     7,509  
  5,400     Sanyo Housing Nagoya Co. Ltd.     75,944  
  35,000     Sanyo Shokai Ltd.     106,273  
  78,000     Sanyo Special Steel Co. Ltd.     316,049  
  69,000     Sapporo Holdings Ltd.     313,556  
  32,000     Sasebo Heavy Industries Co. Ltd.(b)     41,360  
  26,000     Sata Construction Co. Ltd.     25,071  


39
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
JAPAN (continued)        
  4,900     SATO Holdings Corp.   $ 102,639  
  6,300     Sato Shoji Corp.     38,000  
  4,200     Satori Electric Co. Ltd.     22,662  
  4,000     Sawada Holdings Co. Ltd.     48,336  
  4,500     Sawai Pharmaceutical Co. Ltd.     580,705  
  17,000     SAXA Holdings, Inc.     32,610  
  94,280     SBI Holdings, Inc.     1,823,994  
  13,600     Scroll Corp.     39,062  
  21,797     SCSK Corp.     485,868  
  1,600     Secom Joshinetsu Co. Ltd.     39,062  
  4,000     Seibu Electric Industry Co. Ltd.     17,726  
  37,000     Seika Corp.     94,127  
  3,500     Seikagaku Corp.     47,751  
  55,200     Seiko Epson Corp.     632,491  
  26,000     Seiko Holdings Corp.     152,290  
  100     Seiko PMC Corp.     485  
  93,000     Seino Holdings Co. Ltd.     811,848  
  18,700     Seiren Co. Ltd.     124,494  
  32,000     Sekisui Jushi Corp.     443,802  
  35,000     Sekisui Plastics Co. Ltd.     92,271  
  30,000     Senko Co. Ltd.     162,487  
  2,000     Senshu Electric Co. Ltd.     28,517  
  20,720     Senshu Ikeda Holdings, Inc.     109,461  
  9,000     Senshukai Co. Ltd.     82,536  
  377,000     Sharp Corp.(b)     1,307,134  
  30,000     Shibaura Mechatronics Corp.(b)     75,088  
  25,000     Shibusawa Warehouse Co. Ltd. (The)     151,818  
  9,400     Shibuya Kogyo Co. Ltd.     85,529  
  91,000     Shiga Bank Ltd. (The)     640,365  
  59,000     Shikibo Ltd.     85,941  
  61,000     Shikoku Bank Ltd. (The)     185,844  
  25,000     Shikoku Chemicals Corp.     183,618  
  19,400     Shikoku Electric Power Co., Inc.(b)     351,244  
  4,600     Shima Seiki Manufacturing Ltd.     99,470  
  32,149     Shimachu Co. Ltd.     848,534  
  74,000     Shimadzu Corp.     540,473  
  800     Shimane Bank Ltd. (The)     10,668  
  3,600     Shimizu Bank Ltd. (The)     106,650  
  141,000     Shimizu Corp.     566,980  
  2,500     Shimojima Co. Ltd.     25,542  
  4,000     Shin Nippon Air Technologies Co. Ltd.     23,716  
  47,000     Shinagawa Refractories Co. Ltd.     103,657  
  32,000     Shindengen Electric Manufacturing Co. Ltd.     131,302  
  16,600     Shin-Etsu Polymer Co. Ltd.     61,472  
  9,000     Shin-Keisei Electric Railway Co. Ltd.     35,913  
  28,300     Shinko Electric Industries Co. Ltd.     287,398  
  12,100     Shinko Plantech Co. Ltd.     91,229  
  13,300     Shinko Shoji Co. Ltd.     129,200  
  7,000     Shinko Wire Co. Ltd.     10,771  
  41,000     Shinmaywa Industries Ltd.     333,097  

 

Shares         Value  
JAPAN (continued)        
  31,500     Shinnihon Corp.   $ 110,832  
  30,000     Shinsho Corp.     59,701  
  900     Shinwa Co. Ltd.     10,931  
  10,500     Ship Healthcare Holdings, Inc.     403,908  
  34,000     Shiroki Corp.     76,032  
  3,000     Shizuki Electric Co., Inc.     10,586  
  32,500     Shizuoka Gas Co. Ltd.     257,373  
  4,700     SHO-BOND Holdings Co. Ltd.     198,154  
  6,500     Shobunsha Publications, Inc.     40,340  
  26,000     Shochiku Co. Ltd.     261,640  
  500     Shoei Foods Corp.     3,821  
  500     Shofu, Inc.     4,683  
  34,000     Shoko Co. Ltd.     50,921  
  2,000     Showa Aircraft Industry Co. Ltd.     28,722  
  25,600     Showa Corp.     371,060  
  575,600     Showa Denko KK     927,006  
  32,000     Showa Sangyo Co. Ltd.     106,027  
  48,100     Showa Shell Sekiyu KK     385,353  
  11,600     Siix Corp.     174,919  
  60     Simplex Holdings, Inc.     23,296  
  15,000     Sinanen Co. Ltd.     61,394  
  28,000     Sinfonia Technology Co. Ltd.     47,679  
  41,100     Sintokogio Ltd.     371,854  
  1,222     SKY Perfect JSAT Holdings, Inc.     614,228  
  27,000     SMK Corp.     79,489  
  13,500     SNT Corp.     58,994  
  21,400     Sodick Co. Ltd.     128,859  
  6,100     Soft99 Corp.     42,800  
  2,200     Sogo Medical Co. Ltd.     96,928  
  49,188     Sohgo Security Services Co. Ltd.     785,111  
  820,800     Sojitz Corp.     1,288,223  
  50,000     Sotetsu Holdings, Inc.     194,389  
  1,900     Space Co. Ltd.     17,639  
  400     SPK Corp.     7,287  
  17,000     Square Enix Holdings Co. Ltd.     208,042  
  2,700     SRA Holdings, Inc.     30,743  
  10,000     Stanley Electric Co. Ltd.     191,619  
  19,100     Star Micronics Co. Ltd.     221,790  
  2,800     Start Today Co. Ltd.     42,337  
  26,000     Starzen Co. Ltd.     71,211  
  2,300     Stella Chemifa Corp.     45,535  
  2,500     Studio Alice Co. Ltd.     38,391  
  8,000     Sugi Holdings Co. Ltd.     307,329  
  3,800     Sugimoto & Co. Ltd.     33,211  
  8,100     Sumco Corp.     85,001  
  4,800     Sumida Corp.     24,471  
  81,000     Sumikin Bussan Corp.     265,056  
  22,000     Suminoe Textile Co. Ltd.     67,026  
  84,000     Sumitomo Bakelite Co. Ltd.     340,360  
  13,200     Sumitomo Densetsu Co. Ltd.     202,431  
  35,900     Sumitomo Forestry Co. Ltd.     427,184  
  135,000     Sumitomo Heavy Industries Ltd.     598,246  

 

40
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
JAPAN (continued)        
  40,000     Sumitomo Light Metal Industries Ltd.   $ 41,442  
  11,200     Sumitomo Mitsui Construction Co. Ltd.(b)     11,374  
  246,000     Sumitomo Osaka Cement Co. Ltd.     736,852  
  13,900     Sumitomo Pipe & Tube Co. Ltd.     135,742  
  14,000     Sumitomo Precision Products Co. Ltd.     60,461  
  3,140     Sumitomo Real Estate Sales Co. Ltd.     218,062  
  38,000     Sumitomo Seika Chemicals Co. Ltd.     144,617  
  61,000     Sumitomo Warehouse Co. Ltd. (The)     436,765  
  2,000     Suncall Corp.     10,217  
  12,700     Sundrug Co. Ltd.     557,583  
  3,600     Sun-Wa Technos Corp.     32,313  
  23,000     Suzuken Co. Ltd.     894,189  
  112,000     SWCC Showa Holdings Co. Ltd.(b)     116,038  
  62,000     SxL Corp.(b)     110,663  
  5,400     Systena Corp.     47,195  
  2,900     T&K Toka Co. Ltd.     70,652  
  1,900     T. Hasegawa Co. Ltd.     28,007  
  42,000     T. RAD Co. Ltd.     119,772  
  6,000     Tachibana Eletech Co. Ltd.     58,163  
  11,900     Tachi-S Co. Ltd.     219,482  
  69     Tact Home Co. Ltd.     141,631  
  68,000     Tadano Ltd.     851,003  
  10,000     Taihei Dengyo Kaisha Ltd.     60,830  
  46,000     Taihei Kogyo Co. Ltd.     162,794  
  37,000     Taiheiyo Kouhatsu, Inc.     49,720  
  9,600     Taiho Kogyo Co. Ltd.     123,194  
  16,700     Taikisha Ltd.     377,735  
  15,000     Taiko Bank Ltd. (The)     40,468  
  900     Taisei Lamick Co., Ltd.     22,656  
  147,300     Taiyo Holdings Co. Ltd.(d)     4,646,330  
  59,000     Taiyo Nippon Sanso Corp.     390,973  
  10,200     Taiyo Yuden Co. Ltd.     147,426  
  1,600     Takachiho Koheki Co. Ltd.     15,313  
  4,000     Takagi Securities Co. Ltd.     18,259  
  7,100     Takamatsu Construction Group Co. Ltd.     107,864  
  4,000     Takano Co. Ltd.     19,080  
  1,365     Takaoka Toko Holdings Co. Ltd.     18,651  
  65,000     Takara Holdings, Inc.     557,419  
  4,500     Takara Leben Co. Ltd.     92,414  
  4,400     Takara Printing Co. Ltd.     36,244  
  65,000     Takara Standard Co. Ltd.     510,078  
  21,000     Takasago International Corp.     112,017  
  30,400     Takasago Thermal Engineering Co. Ltd.     239,495  
  18,000     Takashima & Co. Ltd.     54,470  
  13,800     Takata Corp.     264,576  

 

Shares         Value  
JAPAN (continued)        
  163     Take And Give Needs Co. Ltd.   $ 33,625  
  12,000     Takihyo Co. Ltd.     54,162  
  15,000     Takiron Co. Ltd.     54,008  
  33,000     Takisawa Machine Tool Co. Ltd.     63,302  
  18,000     Takuma Co. Ltd.     108,940  
  5,900     Tamron Co. Ltd.     129,154  
  34,000     Tamura Corp.     70,452  
  1,000     Tanseisha Co. Ltd.     5,047  
  29,000     Tatsuta Electric Wire and Cable Co. Ltd.     206,750  
  20,000     Tayca Corp.     60,727  
  19,000     TBK Co. Ltd.     114,018  
  2     Techno Medica Co. Ltd.     13,500  
  1,200     Techno Ryowa Ltd.     5,318  
  13,400     Tecmo Koei Holdings Co. Ltd.     120,825  
  394,000     Teijin Ltd.     945,745  
  1,200     Teikoku Electric Manufacturing Co. Ltd.     22,785  
  7,000     Teikoku Sen-I Co. Ltd.     66,564  
  5,000     Teikoku Tsushin Kogyo Co. Ltd.     10,463  
  98,000     Tekken Corp.(b)     135,713  
  5,300     Temp Holdings Co. Ltd.     114,987  
  23,500     THK Co. Ltd.     493,455  
  1,000     Tigers Polymer Corp.     4,196  
  5,000     Titan Kogyo KK     12,002  
  11,000     TKC Corp.     194,532  
  156,000     Toa Corp.(b)     240,037  
  58,000     Toa Oil Co. Ltd.     70,206  
  35,000     Toa Road Corp.     191,004  
  51,000     Toabo Corp.     41,853  
  90,500     Toagosei Co. Ltd.     389,906  
  10,100     Tobishima Corp.(b)     13,262  
  15,000     Tobu Store Co. Ltd.     41,391  
  54,100     TOC Co. Ltd.     425,097  
  3,800     Tocalo Co. Ltd.     55,547  
  40,000     Tochigi Bank Ltd. (The)     162,076  
  127,000     Toda Corp.     373,893  
  15,000     Toda Kogyo Corp.     50,008  
  1,400     Toei Animation Co. Ltd.     34,122  
  17,000     Toei Co. Ltd.     126,081  
  25,000     Toenec Corp.     113,094  
  53,000     Toho Bank Ltd. (The)     165,820  
  8,000     Toho Co. Ltd.     28,969  
  5,000     Toho Holdings Co. Ltd.     114,428  
  90,000     Toho Zinc Co. Ltd.     336,052  
  45,000     Tohoku Bank Ltd. (The)     76,166  
  500     Tohokushinsha Film Corp.     4,949  
  14,000     Tohto Suisan Co. Ltd.     21,111  
  106,000     Tokai Carbon Co. Ltd.     357,737  
  15,600     TOKAI Holdings Corp.     50,888  
  22,000     Tokai Lease Co. Ltd.     43,781  
  26,700     Tokai Rika Co. Ltd.     540,108  
  28,500     Tokai Rubber Industries Ltd.     319,541  

 

41
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
JAPAN (continued)        
  88,000     Tokai Tokyo Financial Holdings, Inc.   $ 797,989  
  1,890     Token Corp.     121,560  
  33,840     Tokushu Tokai Paper Co. Ltd.     73,939  
  37,000     Tokuyama Corp.     99,441  
  14,600     Tokyo Broadcasting System Holdings, Inc.     230,790  
  24     Tokyo Electron Device Ltd.     38,652  
  5,000     Tokyo Energy & Systems, Inc.     24,414  
  40,000     Tokyo Keiki, Inc.     88,629  
  39,800     Tokyo Ohka Kogyo Co. Ltd.     861,445  
  7,000     Tokyo Rakutenchi Co. Ltd.     36,549  
  107,000     Tokyo Rope Manufacturing Co. Ltd.(b)     144,884  
  1,000     Tokyo Sangyo Co. Ltd.     3,211  
  14,700     Tokyo Seimitsu Co. Ltd.     322,847  
  44,500     Tokyo Steel Manufacturing Co. Ltd.     181,223  
  86,000     Tokyo Tatemono Co. Ltd.     794,850  
  32,000     Tokyo Tekko Co. Ltd.     126,050  
  11,000     Tokyo Theaters Co., Inc.     22,568  
  14,200     Tokyo Tomin Bank Ltd. (The)     197,811  
  2,300     Tokyu Community Corp.     119,382  
  31,960     Tokyu Construction Co. Ltd.(b)     77,044  
  5,000     Tokyu Livable, Inc.     122,532  
  27,000     Toli Corp.     60,655  
  28,000     Tomato Bank Ltd.     54,285  
  4,000     Tomen Devices Corp.     72,955  
  7,900     Tomen Electronics Corp.     102,189  
  18,100     Tomoe Corp.     72,411  
  3,300     Tomoe Engineering Co. Ltd.     67,872  
  4,000     Tomoegawa Co. Ltd.     7,263  
  49,000     Tomoku Co. Ltd.     155,316  
  52,600     TOMONY Holdings, Inc.     215,828  
  20,000     Tonami Holdings Co. Ltd.     45,751  
  13,800     Toppan Forms Co. Ltd.     129,244  
  29,000     Topre Corp.     269,518  
  121,000     Topy Industries Ltd.     281,756  
  1,000     Toridoll.Corp.     13,448  
  8,800     Torigoe Co. Ltd. (The)     57,322  
  5,300     Torii Pharmaceutical Co. Ltd.     124,392  
  8,700     Torishima Pump Manufacturing Co. Ltd.     70,592  
  121     Tosei Corp.     146,339  
  67,000     Toshiba Machine Co. Ltd.     408,935  
  17,000     Toshiba Plant Systems & Services Corp.     229,840  
  106,000     Toshiba TEC Corp.     625,224  
  16,000     Tosho Printing Co. Ltd.     50,387  
  225,000     Tosoh Corp.     740,883  
  24,000     Totetsu Kogyo Co. Ltd.     400,800  
  21,000     Tottori Bank Ltd. (The)     46,099  
  3,700     Touei Housing Corp.     78,186  
  113,000     Towa Bank Ltd. (The)     130,984  
  1,900     Towa Corp.     11,714  
  2,800     Towa Pharmaceutical Co. Ltd.     138,729  

 

Shares         Value  
JAPAN (continued)        
  1,500     Toyo Construction Co. Ltd.   $ 4,539  
  8,200     Toyo Corp.     117,678  
  3,000     Toyo Denki Seizo - Toyo Electric Manufacturing Co. Ltd.     10,248  
  90,000     Toyo Engineering Corp.     430,220  
  152,000     Toyo Ink SC Holdings Co. Ltd.     707,883  
  17,000     Toyo Kohan Co. Ltd.     55,978  
  16,000     Toyo Securities Co. Ltd.     65,815  
  37,300     Toyo Seikan Group Holdings Ltd.     510,419  
  2,800     Toyo Tanso Co. Ltd.     61,121  
  111,000     Toyo Tire & Rubber Co. Ltd.     596,646  
  20,000     Toyo Wharf & Warehouse Co. Ltd.     43,904  
  93,000     Toyobo Co. Ltd.     162,179  
  10,100     Toyoda Gosei Co. Ltd.     261,708  
  14,700     Toyota Boshoku Corp.     210,959  
  9,200     TPR Co. Ltd.     164,587  
  1,200     Trancom Co. Ltd.     34,590  
  12,300     Transcosmos, Inc.(b)     171,596  
  5,100     Trusco Nakayama Corp.     105,207  
  7,300     TS Tech Co. Ltd.     221,580  
  37,700     TSI Holdings Co. Ltd.     278,056  
  67,000     Tsubakimoto Chain Co.     358,076  
  6,000     Tsubakimoto Kogyo Co. Ltd.     16,372  
  47,000     Tsudakoma Corp.(b)     101,728  
  34,000     Tsugami Corp.     174,386  
  18,000     Tsukishima Kikai Co. Ltd.     169,134  
  40,133     Tsukuba Bank Ltd.     198,432  
  19,300     Tsumura & Co.     628,584  
  5,300     Tsuruha Holdings, Inc.     515,402  
  7,000     Tsurumi Manufacturing Co. Ltd.     61,107  
  2,400     Tsutsumi Jewelry Co. Ltd.     74,842  
  7,000     TTK Co. Ltd.     32,815  
  8,100     TV Asahi Corp.     168,921  
  200     TV Tokyo Holdings Corp.     2,749  
  245,000     Ube Industries Ltd.     495,102  
  15,000     Ube Material Industries Ltd.     36,006  
  23,000     Uchida Yoko Co. Ltd.     71,960  
  14,000     Ueki Corp.     28,579  
  1,900     UKC Holdings Corp.     44,477  
  14,900     Ulvac, Inc.(b)     116,467  
  36,000     Uniden Corp.(b)     86,044  
  400     Union Tool Co.     8,834  
  8,300     Unipres Corp.     184,671  
  7,300     United Arrows Ltd.     283,059  
  1,800     Universal Entertainment Corp.     45,145  
  166,700     UNY Group Holdings Co. Ltd.     1,185,035  
  7,680     Usen Corp.(b)     12,369  
  14,100     U-Shin Ltd.     102,693  
  27,500     Ushio, Inc.     279,838  
  8,800     Utoc Corp.     30,692  
  16,200     Valor Co. Ltd.     306,102  
  22,600     Vital KSK Holdings, Inc.     204,011  
  5,400     VT Holdings Co. Ltd.     66,416  

 

42
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
JAPAN (continued)        
  32,000     Wacoal Holdings Corp.   $ 352,875  
  5     Wacom Co. Ltd.     22,850  
  33,000     Wakachiku Construction Co. Ltd.(b)     38,591  
  10,000     Wakita & Co. Ltd.     124,840  
  4,900     Warabeya Nichiyo Co. Ltd.     83,237  
  2,800     Watabe Wedding Corp.     25,391  
  6,300     WATAMI Co. Ltd.     114,839  
  3,000     Weathernews, Inc.     73,457  
  100     Welcia Holdings Co. Ltd.     5,262  
  18,000     Wood One Co. Ltd.     59,271  
  20,700     Xebio Co. Ltd.     487,109  
  5,700     Y.A.C. Co. Ltd.     31,866  
  6,300     Yachiyo Bank Ltd. (The)     234,913  
  1,100     Yahagi Construction Co. Ltd.     4,818  
  1,200     Yaizu Suisankagaku Industry Co. Ltd.     10,845  
  2,000     YAMABIKO Corp.     57,034  
  88,000     Yamagata Bank Ltd. (The)     436,006  
  157,000     Yamaguchi Financial Group, Inc.     1,702,303  
  124,300     Yamaha Corp.     1,332,446  
  58,000     Yamanashi Chuo Bank Ltd. (The)     268,923  
  70,000     Yamatane Corp.     150,074  
  5,700     Yamato Kogyo Co. Ltd.     187,983  
  24,000     Yamazaki Baking Co. Ltd.     313,648  
  100     Yamazawa Co. Ltd.     1,583  
  18,200     Yamazen Corp.     115,751  
  2,500     Yaoko Co. Ltd.     108,735  
  34,000     Yaskawa Electric Corp.     414,689  
  5,100     Yasuda Warehouse Co. Ltd. (The)     60,477  
  15,900     Yellow Hat Ltd.     318,375  
  57,000     Yodogawa Steel Works Ltd.     215,172  
  12,000     Yokogawa Bridge Holdings Corp.     126,050  
  25,300     Yokogawa Electric Corp.     256,932  
  22,300     Yokohama Reito Co. Ltd.     200,845  
  3,300     Yokowo Co. Ltd.     19,261  
  5,000     Yomeishu Seizo Co. Ltd.     44,315  
  5,000     Yondenko Corp.     16,772  
  3,200     Yonex Co. Ltd.     17,824  
  8,300     Yorozu Corp.     138,355  
  80     Yoshinoya Holdings Co. Ltd.     93,225  
  56,000     Yuasa Trading Co. Ltd.     118,336  
  27,000     Yuken Kogyo Co. Ltd.     63,979  
  3,000     Yukiguni Maitake Co. Ltd.(b)     8,278  
  10,000     Yurtec Corp.     31,287  
  6,100     Yusen Logistics Co. Ltd.     64,075  
  2,740     Yushin Precision Equipment Co. Ltd.     51,211  
  4,200     Yushiro Chemical Industry Co. Ltd.     40,499  
  7,400     Zenrin Co. Ltd.     95,494  
  21,900     Zensho Holdings Co. Ltd.     290,248  
Shares         Value  
JAPAN (continued)        
  72,000     Zeon Corp.   $ 773,288  
  7,000     ZERIA Pharmaceutical Co. Ltd.     107,637  
  4,000     Zojirushi Corp.     13,500  
  10,700     Zuken, Inc.     76,064  
              287,437,720  
JERSEY CHANNEL ISLANDS — 0.0%        
  5,067     Atrium European Real Estate Ltd.     30,242  
  57,179     Centamin Plc(b)     36,709  
  55,236     Heritage Oil Plc(b)     137,281  
  36,148     Phoenix Group Holdings     356,275  
              560,507  
LIECHTENSTEIN — 0.0%        
  3,313     Liechtensteinische Landesbank AG     139,318  
  2,157     Verwaltungs- und Privat-Bank AG     172,829  
              312,147  
LUXEMBOURG — 0.2%        
  24,382     APERAM     299,360  
  2,734,415     AZ Electronic Materials SA(d)     12,092,643  
  24,534     d’Amico International Shipping SA(b)     15,464  
  1,317     Eurofins Scientific     286,180  
  1,096     GAGFAH SA(b)     14,145  
  22,000     L’Occitane International SA     63,787  
  100,579     Regus Plc     255,912  
              13,027,491  
MALAYSIA — 0.7%        
  61,000     Aeon Co. (M) Berhad     290,715  
  8,520     Aeon Credit Service M Berhad     40,325  
  317,300     Affin Holdings Berhad     369,184  
  608,300     AirAsia Berhad     585,807  
  20,200     Alam Maritim Resources Berhad(b)     6,009  
  739,000     Alliance Financial Group Berhad     1,083,300  
  45,800     Amway (Malaysia) Holdings Berhad     177,630  
  99,800     Ann Joo Resources Berhad     38,050  
  1,315,400     APM Automotive Holdings Berhad(d)     2,204,943  
  2,176,700     Axis Real Estate Investment Trust(d)     2,661,405  
  32,700     Batu Kawan Berhad     195,824  
  95,933     Berjaya Assets Berhad     27,590  
  643,800     Berjaya Corp. Berhad.     110,033  
  206,284     Berjaya Sports Toto Berhad     284,763  
  180,500     BIMB Holdings Berhad     208,235  
  644,400     Bintulu Port Holdings Berhad(d)     1,524,956  
  400     Boustead Heavy Industries Corp. Berhad     276  

 

43
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
MALAYSIA (continued)        
  365,904     Boustead Holdings Berhad   $ 615,753  
  41,100     Bursa Malaysia Berhad     96,587  
  20,000     Cahya Mata Sarawak Berhad     21,956  
  75,100     Carlsberg Brewery-Malaysia Berhad     368,774  
  49,030     CB Industrial Product Holding Berhad     40,288  
  2,200     Dayang Enterprise Holdings Berhad     2,545  
  4,603,552     Dialog Group Berhad     3,586,004  
  129,600     Dijaya Corp. Berhad     64,747  
  209,300     DRB-Hicom Berhad     172,668  
  475,000     Eastern & Oriental Berhad     257,601  
  71,337     ECM Libra Financial Group Berhad     15,709  
  116,100     Evergreen Fibreboard Berhad     18,889  
  20,800     Fraser & Neave Holdings Berhad     124,697  
  739,900     Gamuda Berhad     989,776  
  89,300     Genting Plantations Berhad     251,243  
  58,000     Glomac Berhad     17,919  
  85,200     Green Packet Berhad(b)     9,241  
  76,900     Guinness Anchor Berhad     466,581  
  15,900     Hai-O Enterprise Berhad     11,967  
  499,380     HAP Seng Consolidated Berhad     279,029  
  110,500     Hap Seng Plantations Holdings Berhad     98,424  
  1,617,200     Hartalega Holdings Berhad(d)     2,785,252  
  19,992     Hock Seng LEE Berhad     9,528  
  92,500     Hong Leong Financial Group Berhad     471,241  
  51,500     Hong Leong Industries Berhad     71,262  
  350,930     IGB Corp. Berhad     272,209  
  833,940     IJM Corp. Berhad     1,493,828  
  192,200     IJM Land Berhad     162,983  
  125,900     IJM Plantations Berhad     122,900  
  24,800     JAKS Resources Berhad(b)     2,853  
  32,800     JT International Berhad     69,212  
  99,105     K&N Kenanga Holdings Berhad     17,753  
  44,400     Karambunai Corp. Berhad(b)     1,532  
  89,800     Keck Seng (Malaysia) Berhad     139,607  
  103,900     Kian JOO CAN Factory Berhad     81,276  
  70,600     Kinsteel Berhad(b)     6,845  
  293,400     KLCC Property Holdings Berhad(c)     699,145  
  1,745,750     KPJ Healthcare Berhad     3,482,893  
  105,000     KSK Group Berhad     21,224  
  13,900     KSL Holdings Berhad(b)     9,137  
  370,600     Kulim Malaysia Berhad     436,072  
  52,850     Kumpulan Fima Berhad     33,525  
  87,500     Lafarge Malayan Cement Berhad     285,292  
  157,800     Landmarks Berhad(b)     49,013  
  97,400     Lingkaran Trans Kota Holdings Berhad     142,459  
  142,700     Lion Industries Corp. Berhad     45,495  
  15,500     LPI Capital Berhad     70,304  
Shares         Value  
MALAYSIA (continued)        
  323,173     Mah Sing Group Berhad   $ 241,118  
  121,750     Malayan Flour Mills Berhad     51,221  
  156,054     Malaysia Airports Holdings Berhad     308,774  
  114,500     Malaysia Building Society     103,492  
  58,100     Malaysian Airline System Berhad(b)     12,985  
  78,300     Malaysian Bulk Carriers Berhad     38,088  
  31,313     Malaysian Pacific Industries Berhad     25,730  
  291,250     Malaysian Resources Corp. Berhad     134,975  
  37,180     MBM Resources Berhad     45,215  
  262,400     Media Prima Berhad     206,125  
  434,400     MMC Corp. Berhad     364,082  
  189,500     Muhibbah Engineering M Berhad     69,758  
  489,900     Mulpha International Berhad(b)     61,992  
  17,900     Naim Holdings Berhad     14,708  
  157,000     Nam Cheong Ltd.     33,141  
  710,100     NCB Holdings Berhad(d)     1,068,943  
  3,800     Nestle Malaysia Berhad     77,187  
  102,200     Oriental Holdings Berhad     328,518  
  441,390     OSK Holdings Berhad     232,120  
  4,700     Padini Holdings Berhad     2,765  
  4,300     Panasonic Manufacturing Malaysia Berhad     31,573  
  43,120     Paramount Corp. Berhad     21,117  
  112,459     Parkson Holdings Berhad     155,983  
  43,248     Pelikan International Corp. Berhad     7,321  
  142,800     POS Malaysia Berhad     204,168  
  55,600     Press Metal Berhad     32,711  
  3,005,200     QL Resources Berhad(d)     2,953,344  
  330,240     Sapurakencana Petroleum Berhad(b)     345,165  
  36,200     Sarawak Oil Palms Berhad     66,986  
  2,300     Selangor Properties Berhad     2,948  
  75,100     Shangri-La Hotels (Malaysia) Berhad     125,640  
  28,800     Shell Refining Co. Federation of Malaya Berhad     79,987  
  93,800     Star Publications Malaysia Berhad     74,917  
  18,690     Subur Tiasa Holdings Berhad(d)     11,303  
  332,745     Sunway Berhad     317,160  
  89,164     Ta Ann Holdings Berhad     102,279  
  682,700     TA Enterprise Berhad     113,316  
  195,360     TA Global Berhad     15,089  
  210,800     TAN Chong Motor Holdings Berhad     376,218  
  74,000     TDM Berhad     106,774  
  51,200     TH Plantations Berhad     36,854  
  315,760     Time dotCom Berhad     412,019  
  120,960     Top Glove Corp. Berhad     251,263  
  275,400     Tradewinds Corp. Berhad     97,759  

 

44
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
MALAYSIA (continued)        
  57,200     TSH Resources Berhad   $ 40,421  
  285,308     UEM Land Holdings Berhad(b)     235,373  
  227,200     UMW Holdings Berhad     1,067,859  
  59,900     Unico-Desa Plantations Berhad     21,066  
  128,080     Unisem (M) Berhad     36,203  
  15,000     United Malacca Berhad     35,990  
  38,700     United Plantations Berhad     354,882  
  131,156     Wah Seong Corp. Berhad     70,266  
  2,861,300     Wellcall Holdings Berhad(d)     2,040,763  
  170,700     WTK Holdings Berhad     54,703  
  140,671     YNH Property Berhad     85,535  
  41,000     YTL Land & Development Berhad(b)     12,061  
  654,300     YTL Power International Berhad     324,731  
  25,600     Zhulian Corp. Berhad     22,718  
              42,067,685  
                 
MALTA — 0.0%        
  10,130     Brait SE(b)     41,385  
  8,169     Unibet Group Plc - SDR     283,600  
              324,985  
MAURITIUS — 0.0%        
  141,022     Essar Energy Plc(b)     313,251  
                 
MEXICO — 0.6%        
  1,341,000     Alfa SAB de CV - Series A     3,113,314  
  22,751     Alsea SAB de CV(b)     69,346  
  414,805     Arca Continental SAB de CV     3,394,676  
  1,673,300     Asesor de Activos Prisma SAPI de CV REIT(b)     3,051,058  
  997     Axtel SAB de CV - CPO Shares(b)     331  
  392,900     Bolsa Mexicana de Valores SAB de CV     1,073,637  
  1,391,832     Cemex SAB de CV - CPO Units(b)     1,570,386  
  1,800     Cia Minera Autlan SAB de CV - Series B     1,597  
  83,761     Consorcio ARA SAB de CV(b)     27,593  
  227,687     Controladora Comercial Mexicana SAB de CV - Units     875,885  
  1,650,900     Corp Inmobiliaria Vesta SAB de CV(d)     3,805,596  
  800     Corp. Actinver SAB de CV     875  
  78,869     Corp. GEO SAB de CV - Series B(b)     27,346  
  65,708     Corp. Interamericana de Entretenimiento SAB de CV - Series B(b)(d)     47,215  
  27,300     Corp. Moctezuma SAB de CV     84,987  
  10,362     Desarrolladora Homex SAB de CV(b)     8,406  
  136,820     Empresas ICA SAB de CV(b)     376,353  
  22,800     Financiera Independencia SAB de CV(b)     10,684  
Shares         Value  
MEXICO (continued)        
  138,700     Genomma Lab Internacional SAB de CV - Class B(b)   $ 300,193  
  53,869     Gruma SAB de CV - Series B(b)     267,298  
  109,917     Grupo Aeroportuario del Centro Norte SAB de CV     420,394  
  430,800     Grupo Aeroportuario del Pacifico SAB de CV - Series B     2,491,355  
  164,456     Grupo Aeroportuario del Sureste SAB de CV - Series B     2,041,089  
  1,600     Grupo Carso SAB de CV - Series A1     9,120  
  120,492     Grupo Cementos de Chihuahua SAB de CV(b)(d)     431,962  
  45,878     Grupo Comercial Chedraui SA de CV     174,863  
  55,600     Grupo Famsa SAB de CV(b)     110,584  
  52,600     Grupo Herdez SAB de CV     191,473  
  57,500     Grupo Industrial Maseca SAB de CV - Series B     96,131  
  12,400     Grupo Industrial Saltillo SAB de CV     28,389  
  45,400     Grupo Simec SAB de CV - Series B(b)     209,496  
  264,100     Impulsora del Desarrollo y El Empleo en America Latina SAB de CV(b)     640,115  
  10,860     Industrias Bachoco SAB de CV - Series B     30,785  
  170,175     Industrias CH SAB de CV - Series B(b)     1,370,953  
  11,100     Inmuebles Carso SAB de CV - Series B1(b)     11,061  
  41,776     Kimberly-Clark de Mexico SAB de CV - Class A     146,051  
  1,175,900     Macquarie Mexico Real Estate Management SA de CV REIT(b)     2,842,350  
  100     Medica Sur SAB de CV - Series B     243  
  16,200     Megacable Holdings SAB de CV - CPO Shares     52,900  
  4,857     Mexichem SAB de CV     24,776  
  18,386     OHL Mexico SAB de CV(b)     56,904  
  115,299     Organizacion Soriana SAB de CV - Series B     474,782  
  59,600     Promotora y Operadora de Infraestructura SAB de CV(b)     531,734  
  46,400     Qualitas Controladora SAB de CV     105,049  
  3,209     Sare Holding SAB de CV - Class B(b)     122  
  427,400     TV Azteca SAB de CV - CPO Shares     316,441  
  67,123     Urbi Desarrollos Urbanos SAB de CV(b)     9,950  
              30,925,848  

 

45
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
MONACO — 0.0%        
  480     Societe des Bains de Mer et du Cercle des Etrangers a Monaco   $ 20,892  
MONGOLIA — 0.0%        
  379,000     Mongolian Mining Corp.(b)     112,330  
NETHERLANDS — 0.9%        
  47,325     Aalberts Industries NV     1,060,454  
  9,250     Accell Group NV     168,961  
  16,990     AMG Advanced Metallurgical Group NV(b)     156,401  
  4,482     Amsterdam Commodities NV     99,399  
  5,838     Arcadis NV     161,494  
  42,228     ASM International NV     1,408,935  
  33,735     BE Semiconductor Industries NV     315,434  
  5,643     Beter Bed Holding NV.     105,900  
  36,934     BinckBank NV     283,038  
  5,454     Brunel International NV     231,030  
  1,510     Cinema City International NV(b)     12,496  
  31,340     CSM     701,232  
  22,379     DE Master Blenders 1753 NV(b)     354,843  
  61,642     Delta Lloyd NV.     1,181,161  
  2,240     Exact Holding NV     47,671  
  15,923     Fugro NV - CVA     921,099  
  25,465     Gemalto NV     2,080,582  
  26,837     Grontmij(b)     129,603  
  10,856     Heijmans NV - CVA     99,649  
  654     Hunter Douglas NV     26,708  
  16,012     Kardan NV(b)     10,923  
  5,538     KAS Bank NV - CVA     61,993  
  5,597     Kendrion NV     137,616  
  143,792     Koninklijke BAM Groep NV     636,273  
  528,479     Koninklijke Boskalis Westminster NV     22,010,389  
  14,713     Koninklijke Ten Cate NV     357,202  
  9,491     Koninklijke Vopak NV     525,715  
  68,974     Koninklijke Wessanen NV     241,985  
  7,790     Macintosh Retail Group NV     89,664  
  95     Nederland Apparatenfabriek     3,960  
  1,511     New World Resources Plc - Class A     3,638  
  18,557     Nutreco NV     1,761,293  
  40,204     Ordina NV(b)     66,183  
  104,698     PostNL NV(b)     238,260  
  321,191     QIAGEN NV(b)(e)     6,393,534  
  80,000     QIAGEN NV(b)(e)     1,590,400  
  113,540     Randstad Holding NV     4,727,282  
  16,720     Royal Imtech NV(b)     185,844  
  59,258     SBM Offshore NV(b)     953,647  
  11,287     Sligro Food Group NV.     371,610  
  86,230     SNS REAAL NV(b)(c)(d)     0  
  10,358     Telegraaf Media Groep NV     122,223  
  15,951     TKH Group NV     432,738  
  100,323     TNT Express NV     770,791  

 

 

Shares         Value  
NETHERLANDS (continued)        
  60,046     TomTom NV(b)   $ 270,525  
  9,665     Unit4 NV     329,536  
  43,248     USG People NV     338,145  
  35,647     Wolters Kluwer NV     788,682  
  5,243     Xeikon NV(b)     31,790  
              52,997,931  
NEW ZEALAND — 0.4%        
  30,797     A2 Corp. Ltd.(b)     18,478  
  155,194     Air New Zealand Ltd.     199,536  
  3,210,865     Auckland International Airport Ltd.     8,531,778  
  29,737     Chorus Ltd.     70,095  
  141,294     Contact Energy Ltd.     639,460  
  13,867     Ebos Group Ltd.     115,295  
  42,299     Fisher & Paykel Healthcare Corp. Ltd.     96,080  
  28,085     Freightways Ltd.     108,329  
  6,326     Hallenstein Glasson Holdings Ltd.     30,582  
  38,459     Heartland New Zealand Ltd.     25,713  
  67,426     Infratil Ltd.     133,215  
  13,416     Kathmandu Holdings Ltd.     25,874  
  32,296     Mainfreight Ltd.     291,773  
  33,862     New Zealand Oil & Gas Ltd.     23,800  
  38,630     New Zealand Refining Co. Ltd. (The)     80,130  
  88,172     Nuplex Industries Ltd.     251,670  
  45,243     NZX Ltd.     51,577  
  29,901     PGG Wrightson Ltd.     9,739  
  80,140     Pike River Coal Ltd.(b)(c)(d)     0  
  56,739     Port of Tauranga Ltd.(d)     753,823  
  13,536     Pumpkin Patch Ltd.(b)     13,459  
  18,968     Rakon Ltd.(b)     3,902  
  19,670     Restaurant Brands New Zealand Ltd.     49,906  
  130,479     Ryman Healthcare Ltd.     682,223  
  15,128     Sanford Ltd.     59,648  
  48,111     Skellerup Holdings Ltd.     61,033  
  99,091     Sky Network Television Ltd.     485,832  
  2,004,525     SKYCITY Entertainment Group Ltd.     7,663,059  
  12,028     Steel & Tube Holdings Ltd.     26,805  
  43,254     Tower Ltd.     63,769  
  41,749     TrustPower Ltd.(d)     261,231  
  58,037     Vector Ltd.     138,295  
  34,146     Warehouse Group Ltd. (The)     115,609  
              21,081,718  
NORWAY — 0.2%        
  46,741     ABG Sundal Collier Holding ASA     34,044  
  146     AF Gruppen ASA     1,494  
  31,265     Agasti Holding ASA(b)     6,777  
  11,391     Aker ASA - Class A     351,617  
  8,076     Algeta ASA(b)     273,798  
  34,500     Atea ASA     369,440  

 

46
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
NORWAY (continued)        
  25,321     Austevoll Seafood ASA   $ 167,299  
  5,832     Bonheur ASA     129,960  
  100,901     BW Offshore Ltd.     95,188  
  34,039     BWG Homes ASA(b)     78,508  
  55,760     Cermaq ASA     831,589  
  25,707     Det Norske Oljeselskap ASA(b) .     364,441  
  111,379     DNO International ASA(b)     194,500  
  12,614     DOF ASA(b)     54,030  
  7,264     Ekornes ASA     116,521  
  27,547     Electromagnetic GeoServices ASA(b)     39,889  
  154,310     Eltek ASA     155,474  
  28,834     Evry ASA     41,502  
  142,175     Farstad Shipping ASA(d)     3,007,951  
  15,475     Fred Olsen Energy ASA     673,584  
  7,560     Ganger Rolf ASA     166,500  
  10,278     Grieg Seafood ASA(b)     25,844  
  70,588     Hurtigruten ASA(b)     34,275  
  24,568     Intex Resources ASA(b)     13,420  
  141,659     Kongsberg Automotive Holding ASA(b)     43,236  
  14,697     Kongsberg Gruppen ASA     277,807  
  27,824     Kvaerner ASA     46,852  
  4,486     Leroey Seafood Group ASA     140,029  
  543,531     Marine Harvest ASA(b)     565,540  
  10,381     Nordic Semiconductor ASA(b)     31,504  
  61,696     Norske Skogindustrier ASA(b)     27,604  
  4,652     Norwegian Air Shuttle AS(b)     223,464  
  27,762     Norwegian Energy Co. AS(b)     17,139  
  1,161     Odfjell SE - Class A(b)     5,315  
  23,394     Opera Software ASA.     159,030  
  18,420     Panoro Energy ASA(b)     7,986  
  3,052     PhotoCure ASA(b)     20,006  
  6,386     Q-Free ASA(b)     18,162  
  172,925     Renewable Energy Corp. ASA(b)     47,861  
  1,560     Salmar ASA(b)     15,691  
  31,903     Scana Industrier ASA(b)     2,047  
  17,460     Sevan Drilling AS(b)     10,295  
  5,087     Sevan Marine ASA(b)     15,438  
  67,692     Siem Offshore, Inc.(b)     90,741  
  4,950     Solstad Offshore ASA     86,699  
  46,489     SpareBank 1 SMN     395,034  
  18,362     SpareBank 1 SR Bank ASA     163,989  
  132,805     Storebrand ASA(b)     603,397  
  50,237     Tomra Systems ASA     470,441  
  3,670     TTS Group ASA     5,155  
  28,000     Vard Holdings Ltd.     23,415  
  26,254     Veidekke ASA     207,155  
  12,606     Wilh Wilhelmsen ASA     102,090  
  3,850     Wilh Wilhelmsen Holding ASA     106,824  
              11,157,591  
PAPUA NEW GUINEA — 0.0%        
  162,499     Highlands Pacific Ltd.(b)     13,477  

 

 

Shares         Value  
PERU — 0.1%        
  886,450     Alicorp SA(d)   $ 3,337,184  
  202,338     Copeinca ASA(d)     2,122,856  
  1,981,640     Ferreycorp SAA     1,709,474  
              7,169,514  
PHILIPPINES — 0.3%        
  108,200     Alliance Global Group, Inc.     62,302  
  232,400     Atlas Consolidated Mining & Development     117,160  
  64,367     BDO Unibank, Inc.(b)     143,403  
  120,166     Belle Corp.(b)     18,918  
  89,510     China Banking Corp.     150,271  
  337,200     DMCI Holdings, Inc.     467,378  
  2,243,800     Energy Development Corp.     354,887  
  2,159,375     Filinvest Land, Inc.     107,024  
  409,000     First Gen Corp.(b)     224,076  
  213,520     First Philippine Holdings Corp.     555,069  
  465,000     Global-Estate Resorts, Inc.(b)     28,808  
  15,090     Globe Telecom, Inc.     524,264  
  5,307,700     GMA Holdings, Inc. - PDR(d)     1,286,950  
  237,090     International Container Terminal Services, Inc.     529,939  
  155,000     Jollibee Foods Corp.     483,904  
  93,834     Lafarge Republic, Inc.     24,758  
  1,320,000     Lepanto Consolidated Mining - B Shares(b)     30,787  
  1,379,000     Lopez Holdings Corp.     234,189  
  3,894,100     Manila Water Co., Inc.     3,779,623  
  10,796,696     Megaworld Corp.     1,088,588  
  140,000     Metro Pacific Investments Corp.     20,714  
  300,578     Metropolitan Bank & Trust.     909,183  
  1,369,800     Nickel Asia Corp.     775,421  
  623,000     Pepsi-Cola Products Philippines, Inc.(b)     94,298  
  126,720     Philweb Corp.     43,718  
  135,000     Rizal Commercial Banking Corp.     242,711  
  538,500     Robinsons Land Corp.     336,235  
  171,868     Security Bank Corp.     823,430  
  48,220     Semirara Mining Corp.     351,458  
  832,152     SM Development Corp.     171,849  
  102,600     Union Bank of Philippines.     362,939  
  509,115     Universal Robina Corp.     1,470,694  
  2,843,000     Vista Land & Lifescapes, Inc.     453,802  
              16,268,750  
POLAND — 0.1%        
  9,002     Agora SA     17,663  
  1,432     AmRest Holdings SE(b)     36,708  
  17,254     Asseco Poland SA     234,032  
  26,856     Bank Handlowy w Warszawie SA.     798,919  
  84,867     Bank Millennium SA(b)     129,724  
  375,702     Boryszew SA(b)     53,504  
  6,150     BRE Bank SA(b)     672,640  
  6,112     Budimex SA     149,326  

 

47
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
POLAND (continued)        
  7,771     Ciech SA(b)   $ 53,859  
  1,000     Dom Development SA.     10,444  
  2,276     Emperia Holding SA     39,565  
  14,906     Enea SA(b)     61,325  
  32,056     Eurocash SA     577,238  
  5,542     Farmacol SA(b)     89,097  
  207,050     Getin Holdings SA.     146,121  
  609,243     Getin Noble Bank SA(b)     302,708  
  2,643     Grupa Azoty SA     50,914  
  3,848     Grupa Kety SA     171,707  
  27,433     Grupa Lotos SA(b)     329,646  
  2,830     ING Bank Slaski SA(b)     80,695  
  2,620     Inter Cars SA     81,257  
  2,743     Jastrzebska Spolka Weglowa SA.     72,485  
  10,387     Kopex SA(b)     36,488  
  350     LPP SA.     708,894  
  1,502     Lubelski Wegiel Bogdanka SA     55,615  
  219,284     Netia SA(b)     291,467  
  10,774     Orbis SA     119,849  
  2,139     Pelion SA     39,600  
  93,126     Polimex-Mostostal SA(b)     8,252  
  6,109     Polnord SA(b)     9,125  
  18,559     Rafako SA(b)     17,620  
  158     Stalprodukt SA(b)     8,025  
  363,944     Synthos SA     542,487  
  9,084     Tauron Polska Energia SA     12,103  
  37,193     TVN SA     102,403  
  119     Zaklady Chemiczne Police SA     791  
  1,265      Zaklady Tluszczowe Kruszwica SA.      12,775  
              6,125,071  
PORTUGAL — 0.1%        
  16,720     Altri SGPS SA     43,268  
  97,795     Banco BPI SA(b)     140,382  
  3,828,745     Banco Comercial Portugues SA(b)     529,438  
  1,079,927     Banco Espirito Santo SA(b)     1,235,901  
  31,884     BANIF - Banco Internacional do Funchal SA(b)     5,039  
  39,805     Cimpor Cimentos de Portugal SGPS SA     179,281  
  2,336     Corticeira Amorim SGPS SA     6,122  
  37,265     INAPA - Investimentos Participacoes e Gestao SA(b) .     8,343  
  49,289     Mota-Engil SGPS SA     136,313  
  272     Novabase SGPS SA     1,019  
  87,362     Portucel SA     317,197  
  74,918     Portugal Telecom SGPS SA     390,805  
  39,281     REN - Redes Energeticas Nacionais SGPS SA     119,706  
  15,447     SAG GEST-Solucoes Automovel Globais SGPS SA(b)     5,289  
  21,302     Semapa - Sociedade de Investimento e Gestao     201,425  
  109,476     Sonae.     106,401  
  15,150     Sonae Industria SGPS SA(b)     10,814  

 

 

Shares         Value  
PORTUGAL (continued)        
  66,876     Sonaecom - SGPS SA   $ 156,593  
  11,475     Teixeira Duarte SA(b)     6,800  
  8,732     Zon Multimedia Servicos de Telecomunicacoes e Multimedia SGPS SA     39,214  
              3,639,350  
RUSSIA — 0.0%        
  24,397     Alliance Oil Co. Ltd. - SDR(b)     194,241  
SINGAPORE — 1.8%        
  51,000     Abterra Ltd.(b)     27,535  
  22,000     Amara Holdings Ltd.     10,449  
  5,390,000     Ascendas Real Estate Investment Trust     12,034,180  
  155,400     ASL Marine Holdings Ltd.     85,794  
  123,000     Ausgroup Ltd.     52,428  
  136,000     Banyan Tree Holdings Ltd.(b)     67,906  
  165,000     Biosensors International Group Ltd.(b)     160,753  
  7,400     Bonvests Holdings Ltd.     6,759  
  105,000     Boustead Singapore Ltd.     115,937  
  39,000     Breadtalk Group Ltd.     30,714  
  132,000     Broadway Industrial Group Ltd.     33,222  
  40,000     Bukit Sembawang Estates Ltd.     231,550  
  47,355     Cape Plc     219,389  
  10,478,000     CapitaMall Trust REIT     19,736,105  
  111,000     CH Offshore Ltd.     41,905  
  35,000     China Aviation Oil Singapore Corp. Ltd.     29,268  
  51,000     China Merchants Holdings Pacific Ltd.     37,680  
  192,000     Chip Eng Seng Corp. Ltd.     127,044  
  331,000     ComfortDelGro Corp. Ltd.     533,438  
  137,000     Cosco Corp. Singapore Ltd.     97,325  
  6,000     Creative Technology Ltd.     12,763  
  303,000     CSC Holdings Ltd.     26,814  
  110,000     CSE Global Ltd.     75,465  
  143,000     CWT Ltd.     196,789  
  13,000     Elec & Eltek International Co. Ltd.     30,419  
  14,000     Ellipsiz Ltd.     966  
  15,600     Eu Yan Sang International Ltd.     8,106  
  8,653,400     Ezra Holdings Ltd.(b)     6,709,424  
  100,000     Falcon Energy Group Ltd.(b)     29,228  
  130,121     Far East Orchard Ltd.     235,585  
  179,000     First Resources Ltd.     251,417  
  183,000     FJ Benjamin Holdings Ltd.     39,372  
  28,000     Food Empire Holdings Ltd.     15,004  
  8,000     Forterra Trust - Units(b)     12,795  
  986,000     Fragrance Group Ltd.     196,127  
  654,579     Freight Links Express Holdings Ltd.     46,236  
  306,000     Gallant Venture Ltd.(b)     69,562  
  2,000     GK Goh Holdings Ltd.     1,380  
  985,000     GMG Global Ltd.     91,966  
  89,000     Goodpack Ltd.     121,393  

 

48
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
SINGAPORE (continued)        
  15,000     GP Batteries International Ltd.   $ 13,031  
  80,000     GP Industries Ltd.     31,176  
  164,666     Guocoland Ltd.     302,139  
  111,000     GuocoLeisure Ltd.     78,854  
  167,000     Guthrie GTS Ltd.     103,045  
  21,000     Hanwell Holdings Ltd.     5,115  
  692,875     Healthway Medical Corp. Ltd.(b)     52,878  
  113,000     HG Metal Manufacturing Ltd.     8,899  
  55,000     Hiap Seng Engineering Ltd.     13,619  
  18,000     Hi-P International Ltd.     10,230  
  109,000     Ho Bee Investment Ltd.     190,265  
  274,800     Hong Fok Corp. Ltd.(b)     150,597  
  131,000     Hong Leong Asia Ltd.     172,830  
  137,600     Hotel Properties Ltd.     385,419  
  3,000     Hour Glass Ltd. (The)     4,287  
  126,000     HTL International Holdings Ltd.     31,201  
  65,000     HupSteel Ltd.     12,402  
  126,000     Hwa Hong Corp. Ltd.     37,339  
  4,929,000     Hyflux Ltd.(d)     5,482,447  
  205,000     Indofood Agri Resources Ltd.     177,255  
  92,000     InnoTek Ltd.     22,035  
  112,000     IPC Corp. Ltd.     13,458  
  194,000     Jaya Holdings Ltd.     105,529  
  101,000     Jiutian Chemical Group Ltd.(b)     7,626  
  92,950     Jurong Technologies Industrial Corp. Ltd.(b)(c)(d)     0  
  71,000     K1 Ventures Ltd.     9,281  
  34,000     Keppel Telecommunications & Transportation Ltd.     37,818  
  13,000     K-Green Trust - Units     10,977  
  195,000     LC Development Ltd.     24,064  
  202,000     Lian Beng Group Ltd.     85,281  
  66,000     Low Keng Huat Singapore Ltd .     38,849  
  75,000     Lum Chang Holdings Ltd.     21,008  
  120,000     M1 Ltd.     329,301  
  74,000     Manhattan Resources Ltd.(b)     20,427  
  6,000     Marco Polo Marine Ltd.     2,070  
  274,000     Mercator Lines Singapore Ltd.(d)     25,138  
  351,800     Metro Holdings Ltd.     262,772  
  101,000     Mewah International, Inc.     36,900  
  448,000     Midas Holdings Ltd.     180,044  
  277,000     Neptune Orient Lines Ltd.(b)     246,257  
  25,000     NSL Ltd.     31,156  
  395,000     Oceanus Group Ltd.(b)     16,355  
  408,000     Olam International Ltd.     554,843  
  95,173     OM Holdings Ltd.(b)     38,480  
  32,000     OSIM International Ltd.     51,831  
  514,500     Otto Marine Ltd.(b)     34,670  
  120,000     Overseas Union Enterprise Ltd.     302,996  
  26,000     Pan Pacific Hotels Group Ltd.     48,973  
  60,000     Petra Foods Ltd.     198,750  
  165,000     Popular Holdings Ltd.     37,509  
  106,215     QAF Ltd.     83,647  
  251,250     Raffles Education Corp. Ltd.(b)     65,276  

 

 

Shares         Value  
SINGAPORE (continued)        
  64,965     Raffles Medical Group Ltd.   $ 180,385  
  121,000     Rotary Engineering Ltd.     46,663  
  231,000     Roxy-Pacific Holdings Ltd.     111,590  
  1,594,000     S i2i Ltd.(b)     27,177  
  17,000     San Teh Ltd.     4,624  
  132,000     Sapphire Corp. Ltd.(b)     12,110  
  5,235,000     SATS Ltd.(d)     13,388,203  
  43,000     SBS Transit Ltd.     51,668  
  3,970,000     SIA Engineering Co. Ltd.(d)     16,309,329  
  100,500     Sim Lian Group Ltd.     71,803  
  569,000     Sinarmas Land Ltd.     228,672  
  70,000     Singapore Land Ltd.     502,963  
  346,000     Singapore Post Ltd.     362,377  
  174,000     Singapore Reinsurance Corp. Ltd.(d)     36,730  
  2,337,000     SMRT Corp. Ltd.(d)     2,808,119  
  484,000     Stamford Land Corp. Ltd.     233,807  
  3,260,000     StarHub Ltd.     12,519,120  
  82,000     Sunningdale Tech Ltd.     8,788  
  184,000     SunVic Chemical Holdings Ltd.(b)     65,730  
  115,000     Super Group Ltd.     366,932  
  230,000     Swiber Holdings Ltd.     113,908  
  73,000     Tat Hong Holdings Ltd.     88,309  
  181,000     Tiong Woon Corp. Holding Ltd.     56,576  
  25,540     Triyards Holdings Ltd.(b)     15,655  
  295,143     Tuan Sing Holdings Ltd.     86,264  
  114,000     UMS Holdings Ltd.     43,964  
  116,627     United Engineers Ltd.     297,320  
  103,000     United Envirotech Ltd.     65,227  
  420,000     United Industrial Corp. Ltd.(d)     1,026,386  
  232,000     UOB-Kay Hian Holdings Ltd.     323,975  
  302,000     UOL Group Ltd.     1,748,202  
  71,000     Venture Corp. Ltd.     479,597  
  20,000     WBL Corp. Ltd.     67,387  
  209,812     Wheelock Properties (Singapore) Ltd.     333,873  
  155,420     Wing Tai Holdings Ltd.     275,080  
  1,436     XP Power Ltd.     26,767  
  86,000     Yanlord Land Group Ltd.(b)     98,449  
  26,987     Yeo Hiap Seng Ltd.     56,529  
  37,000     YHI International Ltd.     9,162  
  156,000     Yongnam Holdings Ltd.     37,996  
              104,643,957  
SOUTH AFRICA — 0.7%        
  431,520     Adcock Ingram Holdings Ltd.     2,933,384  
  508     Adcorp Holdings Ltd.     1,630  
  114,293     Advtech Ltd.     84,062  
  59,169     Aeci Ltd.     662,012  
  227,840     Afgri Ltd.     123,905  
  415,886     African Bank Investments Ltd.     1,320,398  
  2,145     African Oxygen Ltd.     4,948  
  44,678     African Rainbow Minerals Ltd.     880,665  
  13,164     Allied Electronics Corp. Ltd.     30,660  
  21,133     Allied Technologies Ltd.     75,385  

 

49
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
SOUTH AFRICA (continued)        
  4,378     ArcelorMittal South Africa Ltd.(b)   $ 11,216  
  419     Argent Industrial Ltd.     271  
  561     Assore Ltd.     18,221  
  11,620     Astral Foods Ltd.     122,370  
  125,307     Aveng Ltd.     411,941  
  128,958     AVI Ltd.     776,033  
  105,076     Barloworld Ltd.     1,100,701  
  25,967     Basil Read Holdings Ltd.(b)     31,831  
  28,795     Blue Label Telecoms Ltd.     24,741  
  32,224     Business Connexion Group Ltd.     19,391  
  8,369     Capitec Bank Holdings Ltd.     203,790  
  2,456     Cashbuild Ltd.     35,580  
  57,968     Caxton and CTP Publishers and Printers Ltd.     112,402  
  185,094     Cipla Medpro South Africa Ltd.     193,891  
  7,765     City Lodge Hotels Ltd.     110,848  
  391,378     Clicks Group Ltd.     2,494,770  
  1,776     Consolidated Infrastructure Group Ltd.(b)     3,598  
  27,334     Coronation Fund Managers Ltd.     163,575  
  107,631     DataTec Ltd.     605,713  
  77,015     Discovery Ltd.     701,533  
  12,341     Distell Group Ltd.     174,247  
  968     Distribution and Warehousing Network Ltd.(b)     858  
  3,822     DRDGOLD Ltd.     2,521  
  382,906     EOH Holdings Ltd.(d)     2,110,069  
  27,664     Eqstra Holdings Ltd.     19,114  
  54,199     Foschini Group Ltd. (The)     694,588  
  10,106     Gijima Group Ltd.(b)     101  
  7,837     Grand Parade Investments Ltd.     3,135  
  106,602     Grindrod Ltd.     223,337  
  556     Group Five Ltd.     2,107  
  44,975     Harmony Gold Mining Co. Ltd.     216,518  
  14,422     Hudaco Industries Ltd.     141,592  
  6,374     Hulamin Ltd.(b)     3,410  
  8,550     Iliad Africa Ltd.     4,754  
  52,630     Illovo Sugar Ltd.     203,458  
  95,843     Imperial Holdings Ltd.     2,122,249  
  61,419     JD Group Ltd.     226,279  
  25,640     JSE Ltd.     219,155  
  182,386     Lewis Group Ltd.     1,199,172  
  59,244     Liberty Holdings Ltd.     788,952  
  70,859     Life Healthcare Group Holdings Ltd.     299,355  
  15,437     Massmart Holdings Ltd.     319,973  
  116,507     Mediclinic International Ltd.     844,574  
  106,290     Merafe Resources Ltd.(b)     9,002  
  20,292     Metair Investments Ltd.     75,732  
  317,966     MMI Holdings Ltd.     811,436  
  76,923     Mondi Ltd.     1,028,240  
  38,912     Mr. Price Group Ltd.     559,299  
  38,126     Murray & Roberts Holdings Ltd.(b)     93,345  
  31,978     Mvelaserve Ltd.(b)     29,507  
Shares         Value  
SOUTH AFRICA (continued)        
  202,370     Nampak Ltd.   $ 743,764  
  221,676     Netcare Ltd.     503,949  
  62,045     Northam Platinum Ltd.(b)     230,175  
  259,789     Oceana Group Ltd.(d)     2,320,687  
  20,617     Omnia Holdings Ltd.     362,322  
  8,480     Palabora Mining Co. Ltd.(b)     100,643  
  50,737     Peregrine Holdings Ltd.     63,326  
  4,111     Petmin Ltd.     1,008  
  38,560     Pick’n Pay Stores Ltd.     182,627  
  17,834     Pinnacle Technology Holdings Ltd.     43,723  
  256,650     Pioneer Foods Ltd.     2,216,568  
  44,385     PPC Ltd.     162,286  
  50,557     PSG Group Ltd.     371,846  
  1,762     Raubex Group Ltd.     3,658  
  17,348     Resilient Property Income Fund Ltd. - Units     114,642  
  55,765     Reunert Ltd.     484,662  
  11,250     Santam Ltd.     220,900  
  124,455     Sappi Ltd.(b)     374,468  
  9,525     Sentula Mining Ltd.(b)     1,433  
  38,542     Spar Group Ltd. (The)     508,968  
  7,238     Spur Corp. Ltd.     24,359  
  16,434     Stefanutti Stocks Holdings Ltd.     15,933  
  175,669     Steinhoff International Holdings Ltd.(b)     468,855  
  14,635     Sun International Ltd.     177,916  
  118,716     Super Group Ltd.(b)     318,966  
  63,720     Telkom SA SOC Ltd.(b)     90,892  
  14,182     Times Media Group Ltd.(b)     26,472  
  17,866     Tongaat Hulett Ltd.     259,822  
  24,146     Trencor Ltd.     170,947  
  3,598     Truworths International Ltd.     35,761  
  46,017     Tsogo Sun Holdings Ltd.     130,767  
  6,989     Vukile Property Fund Ltd. - Units     15,374  
  8,374     Wesizwe Platinum Ltd.(b)     401  
  9,811     Wilson Bayly Holmes-Ovcon Ltd.     168,920  
  191,832     Woolworths Holdings Ltd.     1,495,150  
  211,907     Zeder Investments Ltd.     90,917  
              38,188,651  
SOUTH KOREA — 1.3%        
  4,459     3S Korea Co. Ltd.(b)     29,314  
  705     Actoz Soft Co. Ltd.(b)     37,961  
  4,636     Advanced Process Systems Corp.(b)     56,619  
  850     Aekyung Petrochemical Co. Ltd.     43,222  
  4,302     Agabang & Co.     24,258  
  536     Ahnlab, Inc.     28,326  
  1,511     AK Holdings, Inc.     36,153  
  217     AMOREPACIFIC Corp.     177,336  
  1,882     AMOREPACIFIC Group     714,316  
  1,340     Asia Cement Co. Ltd.     86,632  

 

50
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
SOUTH KOREA (continued)        
  490     Asia Paper Manufacturing Co. Ltd.   $ 10,567  
  32,680     Asiana Airlines, Inc.(b)     155,195  
  921     AtlasBX Co. Ltd.     32,615  
  1,640     AUK Corp.(b)     3,239  
  2,450     Basic House Co. Ltd. (The)(b)     45,494  
  2,891     Binggrae Co. Ltd.     359,636  
  1,230     Bioland Ltd.     20,215  
  48,140     BS Financial Group, Inc.     633,824  
  1,375     Bukwang Pharmaceutical Co. Ltd.     20,538  
  3,300     Busan City Gas Co. Ltd.     85,699  
  2,010     Byucksan Corp.     3,522  
  5,560     Capro Corp.     51,496  
  1,764     Celltrion, Inc.     50,615  
  21,561     Cheil Industries, Inc.     1,857,931  
  19,930     Cheil Worldwide, Inc.(b)     492,233  
  393     Chin Hung International, Inc.(b)     464  
  3,870     Chong Kun Dang Pharm Corp.     215,410  
  73     Chosun Refractories Co. Ltd.     4,971  
  1,970     CJ CGV Co. Ltd.     100,709  
  2,682     CJ CheilJedang Corp.     793,909  
  9,547     CJ Corp.     1,252,648  
  4,976     CJ E&M Corp.(b)     168,081  
  2,137     CJ Korea Express Co. Ltd.(b)     205,686  
  4,679     CNK International Co. Ltd.(b)     19,692  
  1,030     Cosmax, Inc.     51,813  
  6,490     Cosmochemical Co. Ltd.(b)     41,192  
  6,450     Coway Co. Ltd.     326,805  
  329     Crown Confectionery Co. Ltd.     82,601  
  477     CTC BIO, Inc.(b)     14,522  
  4,440     D.I Corp.(b)     37,333  
  3,210     Dae Dong Industrial Co. Ltd.     17,459  
  675     Dae Han Flour Mills Co. Ltd.     99,292  
  16,020     Dae Won Kang Up Co. Ltd.     119,135  
  20,010     Daechang Co. Ltd.     24,256  
  6,690     Daeduck Electronics Co.     73,807  
  7,180     Daeduck GDS Co. Ltd.     146,038  
  4,330     Daegu Department Store     53,865  
  10,500     Daekyo Co. Ltd.     74,557  
  22,484     Daelim Industrial Co. Ltd.     1,572,022  
  9,090     Daesang Corp.     350,790  
  4,530     Daesang Holdings Co. Ltd.     36,403  
  4,240     Daesung Holdings Co. Ltd.     35,227  
  69,215     Daewoo Engineering & Construction Co. Ltd.(b)     475,134  
  13,072     Daewoo International Corp.     458,760  
  40,816     Daewoo Securities Co. Ltd.     403,972  
  29,870     Daewoo Shipbuilding & Marine Engineering Co. Ltd.     717,390  
  844     Daewoong Co. Ltd.     23,757  
  2,740     Daewoong Pharmaceutical Co. Ltd.     182,866  
  12,620     Daishin Securities Co. Ltd.     107,029  
  20,410     Daou Technology, Inc.     371,579  
Shares         Value  
SOUTH KOREA (continued)        
  4,792     Dasan Networks, Inc.(b)   $ 24,932  
  641     Daum Communications Corp.     52,384  
  3,090     DCM Corp.     33,669  
  52,250     DGB Financial Group, Inc.     730,637  
  1,360     Dong Ah Tire & Rubber Co. Ltd.     22,475  
  252     Dong-A Socio Holdings Co. Ltd.     28,603  
  426     Dong-A ST Co. Ltd.(b)     57,636  
  5,230     Dongaone Co. Ltd.     17,381  
  330     Dongbang Transport Logistics Co. Ltd.     857  
  12,536     Dongbu HiTek Co. Ltd.(b)     67,956  
  9,369     Dongbu Insurance Co. Ltd.     378,146  
  12,350     Dongbu Securities Co. Ltd.     43,903  
  9,800     Dongbu Steel Co. Ltd.(b)     27,007  
  754     Dong-IL Corp.     36,902  
  841     Dongil Industries Co. Ltd.     46,582  
  2,987     Dongjin Semichem Co. Ltd.     12,748  
  23,402     Dongkuk Steel Mill Co. Ltd.     244,368  
  7,740     Dongwha Pharmaceutical Co. Ltd.     47,439  
  531     Dongwon F&B Co. Ltd.     65,573  
  496     Dongwon Industries Co. Ltd.     170,693  
  2,003     Dongwon Systems Corp.(b)     16,914  
  10,510     Dongyang Mechatronics Corp.     110,702  
  5,324     Doosan Corp.     594,617  
  6,053     Doosan Heavy Industries & Construction Co. Ltd.     225,071  
  33,690     Doosan Infracore Co. Ltd.(b)     399,214  
  3,738     DRB Holding Co. Ltd.     27,425  
  3,262     DRB Industrial Co. Ltd.     22,155  
  2,470     Duzon Bizon Co. Ltd.     34,203  
  270     E1 Corp.     19,883  
  9,342     Easy Bio, Inc.     49,709  
  3,059     E-Mart Co. Ltd.     597,190  
  2,815     Eugene Corp.     9,100  
  8,099     Eugene Investment & Securities Co. Ltd.(b)     18,128  
  674     Fila Korea Ltd.     43,636  
  12,730     Foosung Co. Ltd.(b)     52,305  
  2,079     Fursys, Inc.     50,403  
  3,200     Global & Yuasa Battery Co. Ltd.     158,068  
  13,216     GNCO Co. Ltd.(b)     26,821  
  101,270     Grand Korea Leisure Co. Ltd.     3,144,860  
  1,229     Green Cross Corp.     168,509  
  9,290     Green Cross Holdings Corp.     144,247  
  23,773     GS Engineering & Construction Corp.     652,986  
  5,230     GS Global Corp.     52,713  
  33,465     GS Holdings     1,653,043  
  384     Gwangju Shinsegae Co. Ltd.     91,354  
  3,280     Halla Engineering & Construction Corp.     17,572  
  12,680     Halla Visteon Climate Control Corp.     342,532  
  15,810     Han Kuk Carbon Co. Ltd.     123,172  

 

51
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
SOUTH KOREA (continued)        
  10,549     Hana Financial Group, Inc.   $ 337,181  
  1,900     Hanall Biopharma Co. Ltd.(b)     13,267  
  1,900     Handok Pharmaceuticals Co. Ltd.     32,434  
  9,530     Handsome Co. Ltd.     285,130  
  859     Hanil Cement Co. Ltd.     39,701  
  11,420     Hanil E-Wha Co. Ltd.     137,915  
  8,977     Hanjin Heavy Industries & Construction Co. Ltd.(b)     64,966  
  4,210     Hanjin Heavy Industries & Construction Holdings Co. Ltd.     25,230  
  22,695     Hanjin Shipping Co. Ltd.(b)     169,806  
  4,620     Hanjin Transportation Co. Ltd.     95,018  
  22     Hankook Shell Oil Co. Ltd.     7,511  
  20,641     Hankook Tire Co. Ltd.     897,761  
  4,718     Hankook Tire Worldwide Co. Ltd.     85,681  
  500     Hankuk Paper Manufacturing Co. Ltd.     12,621  
  2,563     Hanmi Science Co. Ltd.(b)     29,905  
  2,520     Hanmi Semiconductor Co. Ltd.     22,333  
  5,720     Hansol Chemical Co. Ltd.     143,870  
  17,250     Hansol CSN     59,599  
  9,560     Hansol Paper Co.     127,606  
  1,590     Hansol Technics Co. Ltd.(b)     38,332  
  2,020     Hanssem Co. Ltd.     48,606  
  33,385     Hanwha Chemical Corp.     495,637  
  35,410     Hanwha Corp.     1,003,171  
  3,780     Hanwha General Insurance Co. Ltd.(b)     17,676  
  13,193     Hanwha Investment & Securities Co. Ltd.     47,798  
  36,780     Hanwha Life Insurance Co. Ltd.     223,759  
  770     Hanwha Timeworld Co. Ltd.     22,618  
  2,720     Hanyang Securities Co. Ltd.     15,313  
  9,828     Hite Jinro Co. Ltd.     287,799  
  1,510     Hite Jinro Holdings Co. Ltd.     20,155  
  4,676     HMC Investment Securities Co. Ltd.     52,224  
  12,150     Hotel Shilla Co. Ltd.     642,087  
  104,698     Huchems Fine Chemical Corp.     2,186,556  
  3,050     Husteel Co. Ltd.     71,175  
  83,915     Huvitz Co. Ltd.     1,691,558  
  5,070     Hwa Shin Co. Ltd.     56,165  
  1,254     Hy-Lok Corp.     25,620  
  4,977     Hyosung Corp.     250,364  
  5,770     Hyundai BNG Steel Co. Ltd.(b)     62,347  
  1,530     Hyundai Corp.     35,982  
  5,065     Hyundai Department Store Co. Ltd.     735,858  
  18,510     Hyundai Development Co.     379,847  
  1,141     Hyundai Elevator Co. Ltd.(b)     84,334  
  4,090     Hyundai Engineering Plastics Co. Ltd.     24,511  
  29,420     Hyundai Greenfood Co. Ltd.     474,171  
  15,170     Hyundai Hysco Co. Ltd.     424,259  
Shares         Value  
SOUTH KOREA (continued)        
  13,730     Hyundai Marine & Fire Insurance Co. Ltd.   $ 386,480  
  3,820     Hyundai Merchant Marine Co. Ltd.(b)     35,553  
  387     Hyundai Mipo Dockyard     37,952  
  32,001     Hyundai Securities Co. Ltd.     222,290  
  1,121     Hyundai Wia Corp.     144,540  
  4,916     Hyunjin Materials Co. Ltd.     27,497  
  6,050     Il Dong Pharmaceutical Co. Ltd.     70,592  
  2,560     Iljin Display Co. Ltd.     50,791  
  803     Ilshin Spinning Co. Ltd.     72,622  
  266     Ilsung Pharmaceuticals Co. Ltd.     19,009  
  1,628     Ilyang Pharmaceutical Co. Ltd.(b)     54,695  
  37,510     Industrial Bank of Korea     429,153  
  764     Interflex Co. Ltd.(b)     32,189  
  8,362     Interpark Corp.     66,817  
  786     INTOPS Co. Ltd.     23,017  
  2,410     Inzi Controls Co. Ltd.     14,618  
  6,500     INZI Display Co. Ltd.     16,761  
  7,005     IS Dongseo Co. Ltd.(b)     80,144  
  3,810     ISU Chemical Co. Ltd.     67,461  
  10,380     IsuPetasys Co. Ltd.(b)     64,940  
  5,470     Jahwa Electronics Co. Ltd.     139,569  
  3,330     Jeil Pharmaceutical Co.     50,496  
  15,899     Jeonbuk Bank     87,341  
  2,973     JW Pharmaceutical Corp.     49,671  
  24,810     Kangwon Land, Inc.     701,745  
  10,532     KC Tech Co. Ltd.     50,972  
  1,290     KCC Corp.     383,029  
  4,850     Keangnam Enterprises Ltd.(b)     23,297  
  458     KEPCO Engineering & Construction Co., Inc.     36,430  
  5,370     Keyang Electric Machinery Co. Ltd.     12,239  
  1,884     KH Vatec Co. Ltd.(b)     39,517  
  6,150     Kishin Corp.     42,106  
  4,345     KISWIRE Ltd.     144,794  
  2,472     KIWOOM Securities Co. Ltd.     151,512  
  77,400     Kolao Holdings     2,108,417  
  1,846     Kolon Corp.     44,419  
  9,850     Kolon Global Corp.(b)     34,077  
  5,741     Kolon Industries, Inc.     265,859  
  2,401     Komipharm International Co. Ltd.(b)     18,073  
  800     Korea Airport Service Co. Ltd.     19,323  
  2,390     Korea Circuit Co. Ltd.(b)     45,899  
  3,220     Korea Electric Terminal Co. Ltd.     99,995  
  1,721     Korea Gas Corp.     110,483  
  24,360     Korea Investment Holdings Co. Ltd.     1,024,124  
  5,406     Korea Kolmar Co. Ltd.(b)     160,761  
  2,603     Korea Kolmar Holdings Co. Ltd.     39,708  
  1,564     Korea Petrochemical Industrial Co. Ltd.(b)     60,640  

 

52
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
SOUTH KOREA (continued)        
  1,600     Korea United Pharm, Inc.   $ 23,899  
  7,440     Korean Air Lines Co. Ltd.(b)     238,475  
  17,928     Korean Reinsurance Co.     175,813  
  3,712     Kortek Corp.     43,143  
  1,843     KPF     16,350  
  787     KPX Chemical Co. Ltd.     44,234  
  23,310     KTB Investment & Securities Co. Ltd.(b)     79,160  
  1,913     Kukdo Chemical Co. Ltd.     93,105  
  630     Kumho Electric Co. Ltd.     17,533  
  2,220     Kumho Petrochemical Co. Ltd.     192,106  
  3,520     Kumho Tire Co., Inc.(b)     37,875  
  1,030     Kunsul Chemical Industrial Co. Ltd.     25,392  
  30,090     Kwang Dong Pharmaceutical Co. Ltd.     190,436  
  3,380     Kyeryong Construction Industrial Co. Ltd.(b)     27,223  
  2,862     Kyobo Securities Co.     13,072  
  1,380     Kyung Dong Navien Co. Ltd.     19,548  
  92     Kyungbang Ltd.(b)     9,774  
  17,150     Kyung-In Synthetic Corp.     69,765  
  453     LEENO Industrial, Inc.     16,227  
  6,160     LG Fashion Corp.     176,471  
  496     LG Hausys Ltd.     44,362  
  1,907     LG InnoTek Co. Ltd.(b)     154,112  
  6,784     LG International Corp.     218,680  
  909     LG Life Sciences Ltd.(b)     45,314  
  49,440     LG Uplus Corp.(b)     466,881  
  11,910     LIG Insurance Co. Ltd.     244,948  
  2,710     Livart Furniture Co. Ltd.     19,611  
  1,800     Lock & Lock Co. Ltd.     46,173  
  1,169     Lotte Chemical Corp.     172,489  
  497     Lotte Chilsung Beverage Co. Ltd.     775,759  
  536     Lotte Confectionary Co. Ltd.     934,459  
  406     Lotte Food Co. Ltd.     324,417  
  9,473     Lotte Non-Life Insurance Co. Ltd.(b)     28,600  
  2,578     LS Corp.     189,610  
  2,821     LS Industrial Systems Co. Ltd.     159,326  
  39,012     Macquarie Korea Infrastructure Fund     247,257  
  1,074     Macrogen, Inc.(b)     38,521  
  48     Maeil Dairy Industry Co. Ltd.     2,253  
  1,799     Mando Corp.     137,216  
  3,920     Meritz Finance Group, Inc.(b)     14,202  
  9,189     Meritz Fire & Marine Insurance Co. Ltd.     99,708  
  86,760     Meritz Securities Co. Ltd.     112,261  
  22     Mi Chang Oil Industrial Co. Ltd.     1,796  
  5,330     Mirae Asset Securities Co. Ltd.     222,628  
  10,335     MK Electron Co. Ltd.     38,664  
  19,700     Moorim P&P Co. Ltd.     105,002  
  7,820     Moorim Paper Co. Ltd.(b)     17,752  
  8,590     Motonic Corp.     108,808  
Shares         Value  
SOUTH KOREA (continued)        
  3,230     Namhae Chemical Corp.   $ 20,912  
  46     Namyang Dairy Products Co. Ltd.     48,661  
  2,740     National Plastic Co.     10,188  
  2,166     NCSoft Corp.     326,483  
  2,785     Neowiz Games Corp.(b)     44,002  
  933     Neowiz Holdings Corp.(b)     10,929  
  4,422     NEPES Corp.     73,881  
  3,138     Nexen Corp.(d)     236,782  
  2,970     Nexen Tire Corp.     38,834  
  12,850     NH Investment & Securities Co. Ltd.     56,707  
  6,790     NK Co. Ltd.     21,641  
  799     Nong Shim Holdings Co. Ltd.     61,595  
  2,181     NongShim Co. Ltd.     664,420  
  5,249     OCI Co. Ltd.     674,415  
  1,073     OCI Materials Co. Ltd.     30,983  
  804     Orion Corp.     850,504  
  686     Ottogi Corp.     295,878  
  12,196     Poongsan Corp.     295,127  
  2,723     Poongsan Holdings Corp.     57,981  
  242     POSCO Chemtech Co. Ltd.     26,962  
  450     Pulmuone Holdings Co. Ltd.     27,785  
  195,989     Pyeong Hwa Automotive Co. Ltd.(d)     2,918,569  
  9,961     S&T Dynamics Co. Ltd.     118,939  
  3,150     S&T Holdings Co. Ltd.     40,044  
  4,800     S&T Motiv Co. Ltd.     126,178  
  3,832     S1 Corp.     216,426  
  1,110     Sajo Industries Co. Ltd.(b)     45,607  
  4,370     Sam Young Electronics Co. Ltd.     37,736  
  3,017     Sam Yung Trading Co. Ltd.     50,681  
  1,351     Sambu Construction Co. Ltd.(b)     7,593  
  480     Samchully Co. Ltd.     57,532  
  23,040     Samick Musical Instruments Co. Ltd.(b)     31,172  
  4,310     Samick THK Co. Ltd.     25,477  
  5,671     Samjin Pharmaceutical Co. Ltd.     65,912  
  670     Samkwang Glass Co. Ltd.     46,723  
  590     Samlip General Foods Co. Ltd.     18,456  
  2,345     Samsung Electro-Mechanics Co. Ltd.     209,736  
  1,048     Samsung Engineering Co. Ltd.     84,217  
  2,470     Samsung Fine Chemicals Co. Ltd.     119,766  
  11,262     Samsung SDI Co. Ltd.     1,314,053  
  9,571     Samsung Securities Co. Ltd.     439,746  
  2,700     Samsung Techwin Co. Ltd.     167,938  
  1,040     Samyang Foods Co. Ltd.(b)     26,253  
  412     Samyang Genex Co. Ltd.     35,465  
  4,337     Samyang Holdings Corp.     368,604  
  10,570     Savezone I&C Corp.     34,552  
  382,510     SBS Media Holdings Co. Ltd.     2,111,741  
  6,460     Seah Besteel Corp.     176,854  
  485     SeAH Holdings Corp.     46,901  
  1,408     SeAH Steel Corp.     143,830  

 

53
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
SOUTH KOREA (continued)        
  5,840     Sebang Co. Ltd.   $ 94,390  
  42,014     Seegene, Inc.(b)     2,506,420  
  5,490     Sejong Industrial Co. Ltd.     62,313  
  140     Sempio Foods Co.     3,674  
  38,594     Seohee Construction Co. Ltd.(b)     27,264  
  7,340     Seowon Co. Ltd.     18,395  
  14,720     Shin Poong Pharmaceutical Co. Ltd.     69,503  
  1,723     Shinsegae Co. Ltd.     370,008  
  26,713     Shinsung Solar Energy Co. Ltd.(b)(c)     22,364  
  15,480     Shinwon Corp.(b)     18,273  
  2,240     Shinyoung Securities Co. Ltd.     72,714  
  2,162     Silicon Works Co. Ltd.     44,661  
  920     Silla Co. Ltd.     28,528  
  8,123     Simm Tech Co. Ltd.     63,801  
  971     Sindoh Co. Ltd.     67,890  
  26,933     SK Broadband Co. Ltd.(b)     127,903  
  1,483     SK C&C Co. Ltd.     124,425  
  3,755     SK Chemicals Co. Ltd.     159,399  
  1,489     SK Gas Co. Ltd.     105,459  
  8,402     SK Holdings Co. Ltd.     1,209,223  
  91,900     SK Networks Co. Ltd.     609,162  
  73,800     SK Securities Co. Ltd.     65,604  
  8,900     SKC Co. Ltd.     268,301  
  4,390     SL Corp.     58,398  
  924     SM Entertainment Co.(b)     35,532  
  5,310     Songwon Industrial Co. Ltd.     72,565  
  31,976     Soulbrain Co. Ltd.     1,334,148  
  9,930     Ssangyong Cement Industrial Co. Ltd.(b)     60,411  
  8,848     STX Corp. Co. Ltd.     26,231  
  4,620     STX Engine Co. Ltd.(b)     19,612  
  34,580     STX Offshore & Shipbuilding Co. Ltd.(b)     133,604  
  5,270     STX Pan Ocean Co. Ltd(b)     16,174  
  2,270     Suheung Capsule Co. Ltd.     55,652  
  1,940     Sung Jin Geotec Co. Ltd.(b)     19,025  
  214     Sunjin Co. Ltd.     3,449  
  4,250     Tae Kyung Industrial Co. Ltd.     18,852  
  245     Taekwang Industrial Co. Ltd.     224,689  
  2,079     Taewoong Co. Ltd.(b)     48,893  
  23,300     Taeyoung Engineering & Construction Co. Ltd.     128,633  
  8,004     Taihan Electric Wire Co. Ltd.(b)     18,751  
  16,710     Tailim Packaging Industrial Co. Ltd.     50,829  
  2,386     TCC Steel     8,720  
  16,216     Tera Resource Co. Ltd.(b)     14,945  
  10,260     TONGYANG Life Insurance     91,952  
  200     TONGYANG Moolsan Co. Ltd.     1,825  
  11,428     TONGYANG Securities, Inc.     40,937  
  16,668     TONGYANG, Inc.(b)     18,162  
  1,942     Top Engineering Co. Ltd.(b)     10,404  
  1,420     TS Corp.     47,385  
Shares         Value  
SOUTH KOREA (continued)        
  2,047     Unid Co. Ltd.   $ 86,802  
  250     Union Steel     2,826  
  1,758     Unison Co. Ltd.(b)     8,955  
  5,350     Whanin Pharmaceutical Co. Ltd.     66,067  
  11,420     Willbes & Co. (The)(b)     15,502  
  61,970     Woongjin Chemical Co. Ltd.(b)(c)     50,024  
  9,550     Woongjin Energy Co. Ltd.(b)     17,343  
  1,000     Woongjin Thinkbig Co. Ltd.(b)     8,308  
  6,008     Woori Financial Co. Ltd.     121,655  
  35,823     Woori Investment & Securities Co. Ltd.     367,566  
  1,620     Y G-1 Co. Ltd.     17,578  
  250     YESCO Co. Ltd.     9,035  
  6,970     Youlchon Chemical Co. Ltd.     79,744  
  345     Young Poong Corp.     501,226  
  2,294     Young Poong Precision Corp.     23,121  
  4,952     Youngone Corp.     197,846  
  2,598     Youngone Holdings Co. Ltd.     185,420  
  1,184     Yuhan Corp.     225,770  
              74,665,648  
SPAIN — 0.4%        
  12,490     Abengoa SA     33,391  
  49,960     Abengoa SA - B Shares     122,049  
  11,517     Acciona SA     754,574  
  37,960     Acerinox SA     408,830  
  19,671     ACS Actividades de Construccion y Servicios SA     505,809  
  1,811     Adolfo Dominguez SA(b)     9,397  
  1,745     Adveo Group International SA     27,692  
  3,295     Almirall SA     43,567  
  7,961     Amper SA(b)     14,363  
  7,185     Antena 3 de Television SA     43,716  
  3,330     Azkoyen SA(b)     6,074  
  1,177,102     Banco de Sabadell SA     2,447,742  
  30,904     Banco Espanol de Credito SA(b)     142,243  
  872,400     Banco Popular Espanol SA(b)     679,004  
  107,435     Bankinter SA     395,596  
  59,686     Bankinter SA(b)(d)     219,776  
  1,315     Baron de Ley(b)     83,836  
  18,045     Bolsas y Mercados Espanoles SA     489,546  
  20,024     Caja de Ahorros del Mediter-
raneo(b)(c)(d)
    0  
  7,792     Campofrio Food Group SA(b)     51,103  
  5,568     Cementos Portland Valderrivas SA(b)     28,525  
  16,842     Cie Automotive SA     118,331  
  3,901     Codere SA(b)     10,583  
  485     Construcciones y Auxiliar de Ferrocarriles SA     191,616  
  102,721     Deoleo SA(b)     35,849  


54
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
SPAIN (continued)        
  4,433     Dinamia Capital Privado Sociedad de Capital Riesgo SA   $ 29,891  
  52,146     Distribuidora Internacional de Alimentacion SA     404,488  
  11,664     Duro Felguera SA     83,103  
  26,493     Ebro Foods SA     543,237  
  158,336     EDP Renovaveis SA(b)     823,865  
  7,969     Elecnor SA     90,570  
  82,978     Enagas SA     2,210,692  
  68,381     Ence Energia y Celulosa SA     180,109  
  25,768     Ercros SA(b)     14,117  
  43,820     Faes Farma SA     119,746  
  12,842     Fluidra SA     41,604  
  18,668     Fomento de Construcciones y Contratas SA     193,507  
  116,565     Gamesa Corp. Tecnologica SA     456,079  
  31,966     Grupo Catalana Occidente SA     724,079  
  37,122     Grupo Ezentis SA(b)     6,600  
  2,010     Iberpapel Gestion SA     37,827  
  31,331     Indra Sistemas SA     421,279  
  893     Inmobiliaria Colonial SA(b)     1,007  
  5,819     Laboratorios Farmaceuticos Rovi SA     53,184  
  124,222     Mapfre SA     455,610  
  51,556     Mediaset Espana Comunicacion SA(b)     404,732  
  11,410     Melia Hotels International SA     84,524  
  2,756     Miquel y Costas & Miquel SA     83,479  
  43,256     NH Hoteles SA(b)     150,960  
  34,034     Obrascon Huarte Lain SA     1,258,576  
  13,562     Papeles y Cartones de Europa SA     45,723  
  9,252     Pescanova SA(c)(d)     0  
  1,765     Prim SA     11,924  
  126,652     Promotora de Informaciones SA - Class A(b)     37,529  
  1,096,094     Prosegur Cia de Seguridad SA(d)     6,120,446  
  27,657     Realia Business SA(b)     17,119  
  22,104     Red Electrica Corp. SA     1,175,748  
  114,410     Sacyr Vallehermoso SA(b)     238,062  
  26,801     Sociedad Nacional de Industrias Apicaciones Celulosa Espanola SA(b)     13,765  
  12,491     Solaria Energia y Medio Ambiente SA(b)     8,965  
  2,247     Tecnicas Reunidas SA     108,809  
  9,564     Telecomunicaciones y Energia     13,477  
  41,405     Tubacex SA     116,145  
  34,984     Tubos Reunidos SA     75,558  
  8,830     Vidrala SA     294,438  
  15,581     Viscofan SA     809,285  
  7,537     Vocento SA(b)     9,231  
  22,996     Zardoya Otis SA     321,320  
Shares         Value  
SPAIN (continued)      
  30,974     Zeltia SA(b)   $ 62,615  
              25,216,236  
SWEDEN — 0.8%        
  13,070     AarhusKarlshamn AB     685,661  
  24,738     Acando AB     63,362  
  1,487     Active Biotech AB(b)     13,021  
  3,083     AddNode Group AB     19,456  
  2,555     AddTech AB - Class B     87,321  
  307,610     AF AB - B Shares(d)     8,424,680  
  2,158     Arise Windpower AB(b)     8,258  
  794     Atrium Ljungberg AB - B Shares     11,032  
  1,644     Avanza Bank Holding AB     36,210  
  8,149     Axfood AB     358,347  
  14,516     Axis Communications AB     398,453  
  4,907     B&B Tools AB - Class B     59,813  
  15,977     BE Group AB(b)     40,183  
  2,816     Beijer AB G&L - Class B     49,533  
  6,098     Beijer Alma AB     124,198  
  2,038     Beijer Electronics AB     22,484  
  11,117     Betsson AB     325,051  
  17,184     Bilia AB - A Shares     298,285  
  72,372     BillerudKorsnas AB     714,669  
  4,165     BioGaia AB - Class B     144,273  
  24,799     Biotage AB     33,481  
  1,759     Bjoern Borg AB     9,364  
  1,759     Bjoern Borg AB(b)(c)(d)     814  
  293,940     Boliden AB     4,653,296  
  23,579     Bure Equity AB     82,586  
  11,928     Byggmax Group AB     68,649  
  18,040     Castellum AB     269,999  
  2,600     Catena AB     32,896  
  6,345     Cision AB     44,545  
  4,046     Clas Ohlson AB - Class B     54,469  
  10,828     Concordia Maritime AB - Class B     17,710  
  1,753     Connecta AB     11,306  
  19,770     CyberCom Group AB(b)     5,857  
  6,462     Duni AB     61,070  
  4,322     East Capital Explorer AB(b)     31,276  
  55,809     Electrolux AB - Class B     1,580,138  
  123,512     Elekta AB - Class B     1,899,070  
  2,573     Enea AB     18,699  
  36,561     Eniro AB(b)     88,003  
  15,073     Fabege AB     162,799  
  741     Fagerhult AB     19,951  
  6,050     Fastighets AB Balder - Class B(b)     43,687  
  96,813     Getinge AB - Class B     2,914,376  
  9,616     Gunnebo AB     40,802  
  15,931     Hakon Invest AB(b)     430,166  
  22,340     Haldex AB     141,326  
  152,374     Hexagon AB - Class B     4,351,830  
  11,372     Hexpol AB     639,571  
  8,094     HIQ International AB     45,334  


55
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
SWEDEN (continued)        
  8,094     HIQ International AB - Redeemable Shares(b)(d)   $ 2,985  
  440     HMS Networks AB     7,434  
  7,672     Hoganas AB - Class B     366,373  
  22,300     Holmen AB - Class B     622,441  
  7,179     Hufvudstaden AB - Class A     93,821  
  22,054     Husqvarna AB - Class A     127,130  
  112,222     Husqvarna AB - Class B     644,133  
  11,328     Industrial & Financial Systems - Class B     215,861  
  5,489     Indutrade AB     191,406  
  31,357     Intrum Justitia AB     645,908  
  39,593     JM AB     891,920  
  18,518     KappAhl AB(b)     73,146  
  6,105     Klovern AB     27,600  
  18,031     KNOW IT AB     144,670  
  14,357     Kungsleden AB     100,571  
  2,706     Lagercrantz AB - Class B     35,907  
  16,891     Lindab International AB     132,135  
  31,173     Loomis AB - Class B     607,246  
  75,113     Lundin Petroleum AB(b)     1,798,711  
  100,014     Meda AB - Class A     1,194,418  
  4,303     Medivir AB - Class B(b)     45,480  
  7,277     Mekonomen AB     229,615  
  29,549     Micronic Mydata AB(b)     62,690  
  1,715     MQ Holding AB     3,810  
  900     NCC AB - A Shares     21,108  
  39,737     NCC AB - B Shares     941,148  
  2,159     Nederman Holding AB     52,634  
  3,937     Net Entertainment NE AB - Class B(b)     61,658  
  56,096     Net Insight AB - Class B(b)     11,598  
  49,418     New Wave Group AB - Class B     265,350  
  9,358     Nibe Industrier AB - Class B     152,765  
  61,798     Nobia AB     352,802  
  8,614     Nolato AB - Class B     146,202  
  9,195     Nordnet AB - Class B     25,679  
  6,243     Northland Resources SA(b)(c)     806  
  5,718     Orexo AB(b)     49,186  
  2,470     PA Resources AB(b)     8,957  
  55,121     Peab AB     308,560  
  50,315     Pricer AB - Class B     69,871  
  1,152     Proact IT Group AB     13,509  
  23,300     Proffice AB - Class B     79,811  
  97,544     Ratos AB - Class B     935,398  
  4,226     ReadSoft AB - Class B     17,605  
  10,197     Rederi AB Transatlantic(b)     6,152  
  8,898     Rezidor Hotel Group AB(b)     42,149  
  1,980,000     RNB Retail and Brands AB(b)     27,496  
  22,865     Saab AB - Class B     501,678  
  115     Sagax AB - Class A     445  
  1,150     Sagax AB - Class B(b)     3,726  
  48,868     SAS AB(b)     105,939  
  4,652     Sectra AB - Class B     38,043  
  35,215     Securitas AB - Class B     345,029  
  3,842     Semcon AB     34,976  
Shares         Value  
SWEDEN (continued)        
  39,832     Skanska AB - Class B   $ 677,280  
  6,034     SkiStar AB     70,525  
  19,483     SSAB AB - Class A     142,041  
  26,308     SSAB AB - Class B     167,646  
  676     Studsvik AB(b)     3,129  
  8,924     Sweco AB - Class B     107,401  
  21,190     Swedish Orphan Biovitrum AB(b)     135,032  
  2,770     Systemair AB     44,770  
  5,196     TradeDoubler AB     11,705  
  95,263     Trelleborg AB - Class B     1,412,545  
  3,694     Vitrolife AB     35,196  
  8,602     Wallenstam AB - Class B     122,107  
  6,774     Wihlborgs Fastigheter AB     111,837  
              45,564,265  
SWITZERLAND — 1.5%        
  1,011     Acino Holding AG(b)     104,384  
  3,861     Actelion Ltd.     236,070  
  564     Advanced Digital Broadcast Holdings SA(b)     9,099  
  8,701     AFG Arbonia-Forster Holding AG(b)     248,921  
  235,000     Allied World Assurance Co. Holdings AG     21,340,350  
  8,646     Allreal Holding AG     1,265,563  
  55     Alpiq Holding AG     6,980  
  934     ALSO Holding AG     45,203  
  314     APG SGA SA     78,686  
  70,135     Aryzta AG     4,352,323  
  4,837     Ascom Holding AG     62,686  
  323     Autoneum Holding AG     22,198  
  1,807     Bachem Holding AG - Class B     77,057  
  32,904     Baloise Holding AG     3,386,656  
  1,857     Bank Coop AG     100,260  
  277     Banque Cantonale de Geneve     70,606  
  2,108     Banque Cantonale Vaudoise     1,166,451  
  6     Banque Privee Edmond de Rothschild SA     126,995  
  728     Barry Callebaut AG     710,931  
  372     Basilea Pharmaceutica     20,564  
  2,881     Basler Kantonalbank     260,275  
  99     Belimo Holding AG     225,300  
  39     Bell AG     94,585  
  752     Bellevue Group AG     8,452  
  1,916     Berner Kantonalbank AG     534,226  
  344     BKW AG     11,839  
  551     Bobst Group AG(b)     17,778  
  1,198     Bossard Holding AG     176,775  
  3,886     Bucher Industries AG     937,020  
  1,281     Burckhardt Compression Holding AG     523,532  
  36     Carlo Gavazzi Holding AG     8,324  
  74     Centralschweizerische Kraftwerke AG     24,433  
  178     Cham Paper Holding AG(b)     36,565  


56
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
SWITZERLAND (continued)        
  1,088     Charles Voegele Holding AG - Class A(b)   $ 15,153  
  131     Cicor Technologies     3,938  
  893     Cie Financiere Tradition SA     48,021  
  80,593     Clariant AG     1,178,818  
  10,753     Coca-Cola HBC AG - CDI     282,284  
  1,178     Coltene Holding AG     60,813  
  35     Conzzeta AG     65,686  
  3,284     Daetwyler Holding AG     373,680  
  3,873     Dufry AG(b)     516,095  
  830     EFG International AG     11,114  
  1,100     Emmi AG     340,718  
  2,683     EMS-Chemie Holding AG     775,496  
  4,343     Energiedienst Holding AG     165,817  
  18,150     Ferrexpo Plc     50,128  
  2,933     Flughafen Zuerich AG     1,426,596  
  530     Forbo Holding AG     342,009  
  1,617     Galenica AG     1,060,841  
  89,347     GAM Holding AG     1,575,920  
  1,495     Gategroup Holding AG(b)     28,942  
  8,060     Geberit AG     1,968,623  
  3,379     Georg Fischer AG     1,469,091  
  598     Givaudan SA     769,206  
  360     Gurit Holding AG     146,741  
  4,832     Helvetia Holdings AG     2,025,459  
  4,946     Highlight Communications AG     27,416  
  1,239     Huber & Suhner AG     60,498  
  5,293     Implenia AG     290,608  
  249     Inficon Holding AG     77,394  
  187,480     Informa Plc     1,392,041  
  128     Interroll Holding AG     53,551  
  104     Intershop Holdings     35,793  
  178,605     Julius Baer Group Ltd.     7,115,002  
  821     Kaba Holding AG - Class B     321,407  
  1,015     Kardex AG     36,024  
  1,899     Komax Holding AG     204,033  
  3,822     Kudelski SA(b)     48,094  
  734     Kuoni Reisen Holding AG     223,800  
  161     LEM Holding SA     97,660  
  1,026     LifeWatch AG(b)     7,680  
  15     Lindt & Spruengli AG     667,482  
  6,756     Logitech International SA     43,015  
  7,813     Lonza Group AG     544,087  
  1,434     Luzerner Kantonalbank AG     570,639  
  52     Metall Zug AG - Class B     126,449  
  23,083     Meyer Burger Technology AG(b)     141,010  
  20,313     Micronas Semiconductor Holding AG     143,095  
  677     Mikron Holding AG     4,187  
  9,148     Mobilezone Holding AG     88,843  
  3,918     Mobimo Holding AG     880,686  
  726     Nobel Biocare Holding AG     8,120  
  117,608     OC Oerlikon Corp AG(b)     1,359,740  
  587     Orascom Development Holding AG(b)     5,758  
Shares         Value  
SWITZERLAND (continued)        
  417     Orell Fuessli Holding AG   $ 40,139  
  153     Orior AG     8,228  
  4,669     Panalpina Welttransport Holding AG     454,447  
  1,305     Partners Group Holding AG     334,741  
  281     Phoenix Mecano AG     142,117  
  3,798     PSP Swiss Property AG     356,394  
  78     PubliGroupe SA     11,325  
  352     Rieter Holding AG     58,755  
  154     Romande Energie Holding SA(d)     165,627  
  144     Schaffner Holding AG     33,437  
  8,537     Schmolz & Bickenbach AG(b)     25,066  
  456     Schweiter Technologies AG     287,881  
  8,630     Schweizerishe National-Versicherungs-Gesellsschaft AG     411,637  
  588     Siegfried Holding AG     77,595  
  894     Sika AG     2,158,561  
  120     Societa Elettrica Sopracenerina SA     22,263  
  4,650     Sonova Holding AG     506,109  
  1,426     St. Galler Kantonalbank AG     623,817  
  308,724     STMicroelectronics NV     2,683,796  
  671     Straumann Holding AG     87,970  
  14,484     Sulzer AG     2,470,598  
  14,003     Swiss Life Holding AG     2,213,854  
  161,767     Swisslog Holding AG     212,256  
  2,762     Swissquote Group Holding SA     91,789  
  955     Tamedia AG     104,764  
  3,453     Tecan Group AG     321,235  
  5,017     Temenos Group AG(b)     118,707  
  4,883     Tornos Holding AG(b)     23,633  
  1,732     U-Blox AG     93,231  
  43     Valartis Group AG(b)     1,008  
  4,767     Valiant Holding AG     446,554  
  2,865     Valora Holding AG     563,263  
  380     Vaudoise Assurances Holding SA - Class B     142,939  
  47     Vetropack Holding AG     95,233  
  19,476     Von Roll Holding AG(b)     34,771  
  19,524     Vontobel Holding AG     629,942  
  676     VZ Holding AG     96,696  
  3     Walliser Kantonalbank     2,770  
  1,950     Walter Meier AG     117,340  
  915     Ypsomed Holding AG     54,125  
  4,167     Zehnder Group AG     184,194  
  1,427     Zueblin Immobilien Holding AG(b)     3,085  
  52     Zug Estates Holding AG - B Shares(b)     69,684  
  31     Zuger Kantonalbank AG     166,202  
              82,314,166  
TAIWAN — 1.2%      
  51,000     Ability Enterprise Co. Ltd.     46,659  
  119,000     Accton Technology Corp.     72,177  

 

57
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
TAIWAN (continued)        
  708,000     Acer, Inc.(b)   $ 572,167  
  38,000     Achem Technology Corp.     18,928  
  149,497     Action Electronics Co. Ltd.(b)     34,548  
  43,000     A-DATA Technology Co. Ltd.     85,091  
  18,400     Adlink Technology, Inc.     19,827  
  54,060     Advancetek Enterprise Co. Ltd.     52,664  
  79,637     Advantech Co. Ltd.     380,483  
  183,027     AGV Products Corp.(b)     65,119  
  20,000     ALI Corp.     21,381  
  123,000     Alpha Networks, Inc.     80,022  
  134,215     Altek Corp.     86,408  
  120,000     Ambassador Hotel (The)     116,698  
  18,000     AMPOC Far-East Co. Ltd.     17,078  
  161,830     AmTRAN Technology Co. Ltd.     132,427  
  32,000     Anpec Electronics Corp.     20,873  
  32,000     APCB, Inc.     23,638  
  22,552     Apex Biotechnology Corp.     61,668  
  34,320     Apex Science & Engineering     12,327  
  70,000     Ardentec Corp.     47,320  
  83,427     Arima Communications Corp.     39,294  
  79,000     Asia Optical Co., Inc.(b)     74,819  
  141,000     Asia Polymer Corp.     106,304  
  103,100     Asia Vital Components Co. Ltd.     49,608  
  9,000     ASROCK, Inc.     32,478  
  11,000     Aten International Co. Ltd.     18,636  
  12,000     AU Optronics Corp.(b)     5,510  
  56,000     Audix Corp.     51,328  
  19,000     Aurora Corp.     34,701  
  13,000     AV Tech Corp.     40,966  
  47,270     Avermedia Technologies, Inc.     21,223  
  9,000     Avision, Inc.     2,534  
  4,000     AVY Precision Technology, Inc.     6,560  
  17,850     Awea Mechantronic Co. Ltd.     19,083  
  157,595     Bank of Kaohsiung(b)     50,463  
  13,000     Basso Industry Corp.     9,559  
  1,293,350     BES Engineering Corp.     366,811  
  48,000     Biostar Microtech International Corp.     17,891  
  62,000     C Sun Manufacturing Ltd.     43,908  
  76,659     Cameo Communications, Inc.(b)     25,846  
  313,781     Capital Securities Corp.     111,108  
  81,000     Career Technology Manufacturing Co. Ltd.     98,258  
  117,000     Carnival Industrial Corp.(b)     37,583  
  7,000     Cathay Chemical Works     3,487  
  226,000     Cathay No. 1 REIT     154,000  
  23,000     Cathay No. 2 REIT     13,903  
  189,000     Cathay Real Estate Development Co. Ltd.     113,354  
  38,000     Central Reinsurance Co. Ltd.(b)     17,383  
  47,000     ChainQui Construction Development Co. Ltd.     35,355  
  46,000     Champion Building Materials Co. Ltd.     15,899  
Shares         Value  
TAIWAN (continued)        
  10,065     Chang Wah Electromaterials, Inc.   $ 33,798  
  127,000     Charoen Pokphand Enterprise     66,056  
  19,000     Chaun-Choung Technology Corp.     40,624  
  13,000     CHC Resources Corp.     24,139  
  811,920     Cheng Loong Corp.     363,152  
  169,797     Cheng Uei Precision Industry Co. Ltd.     338,305  
  19,000     Chenming Mold Industry Corp.(b)     13,327  
  13,000     Chia Chang Co. Ltd.     16,981  
  380,659     Chia Hsin Cement Corp.     167,680  
  200,226     Chicony Electronics Co. Ltd.     587,543  
  120,120     Chien Kuo Construction Co. Ltd.     58,815  
  13,000     Chilisin Electronics Corp.     7,533  
  418,744     China Airlines Ltd.(b)     159,626  
  103,000     China Chemical & Pharmaceutical Co. Ltd.     76,084  
  984,000     China Development Financial Holding Corp.(b)     272,074  
  14,000     China Ecotek Corp.     39,374  
  48,000     China Electric Manufacturing Corp.     27,568  
  253,000     China General Plastics Corp.(b)     128,163  
  22,000     China Glaze Co. Ltd.     10,213  
  716,391     China Life Insurance Co. Ltd.(b)     727,023  
  1,005,505     China Manmade Fibers Corp.(b)     400,335  
  58,802     China Metal Products     77,906  
  521,391     China Motor Corp.     507,929  
  880,881     China Petrochemical Development Corp.     476,079  
  489,114     China Steel Chemical Corp.     2,378,282  
  77,000     China Steel Structure Co. Ltd.     94,450  
  194,616     China Synthetic Rubber Corp.     209,704  
  96,000     China Wire & Cable Co. Ltd.(b)     36,107  
  28,000     Chinese Maritime Transport Ltd.     33,681  
  96,883     Chin-Poon Industrial Co.     126,225  
  36,000     Chipbond Technology Corp.     91,488  
  17,574     Chong Hong Construction Co.     60,740  
  35,876     Chroma ATE, Inc.     76,950  
  92,000     Chun Yu Works & Co. Ltd.(b)     33,356  
  338,779     Chun Yuan Steel     128,569  
  79,000     Chung Hsin Electric & Machinery Manufacturing Corp.     45,239  
  156,339     Chung Hung Steel Corp.(b)     43,545  
  198,240     Chung Hwa Pulp Corp.(b)     63,209  
  228,000     Chunghwa Picture Tubes Ltd.(b)     14,833  
  153,348     Clevo Co.     294,101  
  749,000     CMC Magnetics Corp.(b)     134,511  
  127,182     Collins Co. Ltd.     48,913  

 

58
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares       Value
TAIWAN (continued)        
  87,150     Compal Communications, Inc.(b)   $ 112,658  
  810,000     Compeq Manufacturing Co.     301,911  
  163,689     Continental Holdings Corp.     62,398  
  179,000     Coretronic Corp.     142,232  
  39,560     Cosmos Bank Taiwan(b)     20,643  
  30,000     Coxon Precise Industrial Co. Ltd.     58,451  
  298,700     CSBC Corp. Taiwan     196,353  
  203,838     CTCI Corp.     407,510  
  11,000     Cyberlink Corp.     36,118  
  15,460     CyberTAN Technology, Inc.     11,525  
  76,000     DA CIN Construction Co. Ltd.     65,539  
  76,000     Darfon Electronics Corp.     69,145  
  66,201     Delpha Construction Co. Ltd.     22,051  
  2,000     Depo Auto Parts Industrial Co. Ltd.     5,354  
  17,000     DFI, Inc.     16,071  
  186,712     D-Link Corp.     109,135  
  42,183     Dynamic Electronics Co. Ltd.     16,009  
  81,000     E Ink Holdings, Inc.     60,108  
  3,069,162     E.Sun Financial Holding Co. Ltd.     1,851,148  
  198,000     Eastern Media International Corp.(b)     25,361  
  85,956     Eclat Textile Co. Ltd.     518,439  
  94,000     Edimax Technology Co. Ltd.(b)     41,407  
  11,000     Edom Technology Co. Ltd.     4,175  
  34,320     Elan Microelectronics Corp.     91,289  
  14,000     E-LIFE MALL Corp.     34,677  
  21,000     Elite Advanced Laser Corp.     51,376  
  27,967     Elite Material Co. Ltd.     28,619  
  38,000     Elite Semiconductor Memory Technology, Inc.     51,440  
  205,789     Elitegroup Computer Systems Co. Ltd.     84,025  
  39,000     ENG Electric Co. Ltd.     38,588  
  160,000     Entie Commercial Bank     90,811  
  36,000     Episil Technologies, Inc.     10,942  
  125,000     Epistar Corp.     220,249  
  210,492     Eternal Chemical Co. Ltd.     181,520  
  111,000     E-Ton Solar Tech Co. Ltd.(b)     44,194  
  28,000     Etron Technology, Inc.(b)     12,619  
  676,609     Eva Airways Corp.(b)     377,142  
  40,000     Everest Textile Co. Ltd.(b)     9,515  
  148,000     Evergreen International Storage & Transport Corp.     96,537  
  428,197     Evergreen Marine Corp. Taiwan Ltd.(b)     250,285  
  194,145     Everlight Chemical Industrial Corp.     137,162  
  51,643     Everlight Electronics Co. Ltd.     83,120  
  1,000     Everspring Industry Co.(b)     646  
  59,373     Excelsior Medical Co. Ltd.     109,645  
  389,190     Far Eastern Department Stores Co. Ltd.     344,194  
  1,015,365     Far Eastern International Bank     414,582  
Shares       Value
TAIWAN (continued)        
  34,797     Faraday Technology Corp.   $ 38,674  
  43,000     Farglory F T Z Investment Holding Co. Ltd.(b)     31,545  
  68,000     Farglory Land Development Co. Ltd.     129,493  
  289,971     Federal Corp.     194,545  
  182,320     Feng Hsin Iron & Steel Co.     327,425  
  36,208     Feng TAY Enterprise Co. Ltd.     59,688  
  91,000     First Copper Technology Co. Ltd.(b)     27,844  
  51,914     First Hotel     33,774  
  119,000     First Insurance Co. Ltd.     80,645  
  81,256     First Steamship Co. Ltd.     60,435  
  54,915     FLEXium Interconnect, Inc.     181,611  
  7,621     Flytech Technology Co. Ltd.     20,065  
  106,761     Forhouse Corp.     52,093  
  13,000     Formosa Advanced Technologies Co. Ltd.     9,735  
  117,000     Formosa Epitaxy, Inc.(b)     83,254  
  10,751     Formosa International Hotels Corp.     117,302  
  48,203     Formosa Oilseed Processing     21,478  
  729,000     Formosa Taffeta Co. Ltd.     692,886  
  347,000     Formosan Rubber Group, Inc.     279,251  
  187,628     Formosan Union Chemical.     96,637  
  33,000     Fortune Electric Co. Ltd.     14,592  
  66,179     Founding Construction & Development Co. Ltd.     47,988  
  86,000     Froch Enterprise Co. Ltd.(b)     26,431  
  100,022     FSP Technology, Inc.     95,067  
  1,710     FU I Industrial     3,019  
  35,000     Fubon No. 1 REIT     22,272  
  89,000     Fubon No. 2 REIT     45,145  
  57,800     Fullerton Technology Co. Ltd.     53,272  
  59,422     Fulltech Fiber Glass Corp.     24,363  
  113,284     Fwusow Industry Co. Ltd.     57,579  
  47,000     G Shank Enterprise Co. Ltd.     26,755  
  49,101     Gemtek Technology Corp.     64,388  
  78,051     Genesis Photonics, Inc.(b)     53,952  
  11,982     Genius Electronic Optical Co. Ltd.     72,066  
  5,662     GeoVision, Inc.     26,092  
  341,000     Getac Technology Corp.     163,498  
  512,143     Giant Manufacturing Co. Ltd.     3,071,609  
  5,000     Giantplus Technology Co. Ltd.(b)     1,598  
  154,781     Gigabyte Technology Co. Ltd.     147,376  
  56,274     Gigastorage Corp.     42,713  
  176,000     Ginko International Co. Ltd.     3,262,131  
  91,297     Gintech Energy Corp.(b)     89,249  
  71,133     Global Brands Manufacture Ltd.     24,344  
  102,000     Globe Union Industrial Corp.     49,597  
  25,000     Gloria Material Technology Corp.     19,357  
  293,770     Gold Circuit Electronics Ltd.(b)     59,825  
  343,852     Goldsun Development & Construction Co. Ltd.     136,902  


59
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares       Value
TAIWAN (continued)        
  18,900     Good Will Instrument Co. Ltd.   $ 11,303  
  886,000     Grand Pacific Petrochemical     451,826  
  19,000     Grape King Industrial Co.     68,243  
  59,000     Great China Metal Industry     69,672  
  66,000     Great Taipei Gas Co. Ltd.     48,865  
  163,036     Great Wall Enterprise Co. Ltd.     136,729  
  67,353     Green Energy Technology, Inc.(b)     56,599  
  27,000     GTM Corp.(b)     14,455  
  71,214     Hannstar Board Corp.     32,335  
  554,000     HannStar Display Corp.(b)     151,115  
  119,115     HannsTouch Solution, Inc.(b)     38,465  
  38,641     Harvatek Corp.     15,581  
  168,000     Hey Song Corp.     222,296  
  145,188     Highwealth Construction Corp.     324,203  
  69,620     Hitron Technology, Inc.     37,863  
  90,300     Hiwin Technologies Corp.     636,433  
  285,448     Ho Tung Chemical Corp.(b)     139,764  
  139,000     Hocheng Corp.     41,165  
  28,800     Holiday Entertainment Co. Ltd.     42,207  
  86,135     Holy Stone Enterprise Co. Ltd.     80,992  
  62,000     Hong Tai Electric Industrial     20,021  
  111,000     Horizon Securities Co. Ltd.(b)     35,506  
  12,000     Howarm Construction Co. Ltd.     8,315  
  166,678     Hsin Kuang Steel Co. Ltd.     104,202  
  63,326     Hsing TA Cement Co.     22,316  
  316,000     HUA ENG Wire & Cable Co. Ltd.(b)     121,530  
  13,479     Huaku Development Co. Ltd.     38,731  
  39,000     Huang Hsiang Construction Co.     103,737  
  138,514     Hung Poo Real Estate Development Corp.     154,650  
  102,000     Hung Sheng Construction Co. Ltd.     84,332  
  47,000     Huxen Corp.     56,536  
  78,000     Hwa Fong Rubber Co. Ltd.(b)     24,236  
  118,341     Ichia Technologies, Inc.(b)     63,758  
  51,000     I-Chiun Precision Industry Co. Ltd.(b)     34,821  
  123,500     ICP Electronics, Inc.     159,439  
  17,000     Infortrend Technology, Inc.     8,871  
  171,000     Innolux Corp.(b)     106,904  
  523,000     Inotera Memories, Inc.(b)     205,571  
  608,155     Inventec Corp.     243,163  
  24,000     I-Sheng Electric Wire & Cable Co. Ltd.     36,595  
  24,000     ITE Technology, Inc.(b)     21,144  
  27,000     Jess-Link Products Co. Ltd.(b)     22,689  
  84,000     Jih Sun Financial Holdings Co. Ltd.     25,133  
  3,090     Johnson Health Tech Co. Ltd.     8,272  
  44,000     Kang Na Hsiung Enterprise Co. Ltd.     22,960  
  35,000     Kaulin Manufacturing Co. Ltd.     26,210  
  134,823     KEE TAI Properties Co. Ltd.     95,023  
  177,949     Kenda Rubber Industrial Co. Ltd.     354,547  
Shares       Value
TAIWAN (continued)        
  24,000     Kenmec Mechanical Engineering Co. Ltd.   $ 9,108  
  87,000     Kerry TJ Logistics Co. Ltd.     116,444  
  217,000     Kindom Construction Co.     233,456  
  204,000     King Slide Works Co. Ltd.     1,624,424  
  353,184     King Yuan Electronics Co. Ltd.     251,317  
  555,185     King’s Town Bank(b)     507,929  
  49,532     King’s Town Construction Co. Ltd.     51,442  
  47,000     Kinik Co.     86,477  
  37,000     Kinko Optical Co. Ltd.     43,254  
  323,343     Kinpo Electronics, Inc.     76,804  
  102,000     Kinsus Interconnect Technology Corp.     355,991  
  16,328     KS Terminals, Inc.     11,453  
  16,000     Kung Long Batteries Industrial Co. Ltd.     35,348  
  40,000     Kung Sing Engineering Corp.     16,807  
  183,000     Kuoyang Construction Co. Ltd.     126,188  
  238,800     Kwong Fong Industries(b)     144,031  
  78,000     KYE Systems Corp.(b)     24,553  
  62,000     L&K Engineering Co. Ltd.     59,454  
  125,280     LAN FA Textile     34,173  
  3,000     Largan Precision Co. Ltd.     81,933  
  66,478     LCY Chemical Corp.     78,728  
  4,828     Leader Electronics, Inc.     3,215  
  282,410     Lealea Enterprise Co. Ltd.     99,043  
  21,826     Ledtech Electronics Corp.     10,946  
  63,000     LEE CHI Enterprises Co. Ltd.     32,234  
  98,638     Leofoo Development Co. Ltd.(b)     46,458  
  66,991     LES Enphants Co. Ltd.     47,896  
  8,500     Lextar Electronics Corp.(b)     9,389  
  316,695     Li Peng Enterprise Co. Ltd.(b)     119,651  
  26,522     Lian Hwa Food Corp.     36,307  
  446,362     Lien Hwa Industrial Corp.     307,789  
  235,000     Lingsen Precision Industries Ltd.     132,184  
  104,000     Lite-On Semiconductor Corp.     60,084  
  97,178     Lite-On Technology Corp.     174,849  
  179,000     Long Bon International Co. Ltd.(b)     151,937  
  249,547     Long Chen Paper Co. Ltd.(b)     78,047  
  12,000     Longwell Co.     10,226  
  2,451     Lotes Co. Ltd.     6,594  
  69,000     Lucky Cement Corp.(b)     16,249  
  30,939     Lumax International Corp. Ltd.     73,594  
  6,000     Lung Yen Life Service Corp.     21,042  
  998,936     Macronix International     272,142  
  27,000     Makalot Industrial Co. Ltd.     114,360  
  67,000     Marketech International Corp.     51,194  
  411,000     Masterlink Securities Corp.     128,263  
  64,152     Mayer Steel Pipe Corp.(b)     25,976  
  9,000     Maywufa Co. Ltd.     4,727  
  75,440     Meiloon Industrial Co. Ltd.     30,931  
  135,360     Mercuries & Associates Ltd.     106,409  


60
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares       Value
TAIWAN (continued)        
  50,600     Merida Industry Co. Ltd.   $ 308,620  
  24,341     Merry Electronics Co. Ltd.     42,476  
  35,000     Microbio Co. Ltd.     40,085  
  55,219     Microelectronics Technology, Inc.(b)     30,966  
  202,404     Micro-Star International Co. Ltd.     94,645  
  64,000     MIN AIK Technology Co. Ltd.     181,079  
  54,590     Mirle Automation Corp.     37,828  
  293,000     Mitac International Corp.     103,749  
  125,822     Mosel Vitelic, Inc.(b)     29,673  
  111,000     Motech Industries Inc.(b)     116,032  
  16,000     MPI Corp.     36,921  
  4,000     Nak Sealing Technologies Corp.     7,400  
  8,000     Namchow Chemical Industrial Ltd.     8,444  
  174,590     Nan Kang Rubber Tire Co. Ltd.     206,169  
  52,383     Nan Ya Printed Circuit Board Corp.     59,994  
  99,902     Nantex Industry Co. Ltd.     67,703  
  127,872     Nanya Technology Corp.(b)     28,164  
  32,000     National Petroleum Co. Ltd.     31,174  
  123,000     Neo Solar Power Corp.(b)     85,023  
  7,326     New Asia Construction & Development Corp.     2,234  
  10,000     New Era Electronics Co. Ltd.     9,318  
  25,848     Nichidenbo Corp.     22,728  
  72,838     Nien Hsing Textile Co. Ltd.     57,259  
  30,000     Novatek Microelectronics Corp.     146,381  
  34,000     Ocean Plastics Co. Ltd.(b)     36,002  
  84,000     OptoTech Corp.     34,156  
  71,000     Orient Semiconductor Electronics Ltd.(b)     12,486  
  214,500     Oriental Union Chemical Corp.     236,581  
  600,000     Pacific Hospital Supply Co. Ltd.(d)     1,992,410  
  99,453     Pan Jit International, Inc.(b)     36,564  
  53,086     Pan-International Industrial(b)     41,912  
  4,200     Paragon Technologies Co. Ltd.     5,878  
  98,746     Phihong Technology Co. Ltd.     76,455  
  6,000     Phison Electronics Corp.     47,269  
  18,890     Phytohealth Corp.(b)     29,220  
  14,000     Pihsiang Machinery Manufacturing Co. Ltd.(b)     15,607  
  7,000     Pixart Imaging, Inc.     15,275  
  21,000     Portwell, Inc.     21,810  
  213,715     Pou Chen Corp.     252,009  
  45,000     Power Quotient International Co. Ltd.(b)     38,882  
  13,000     Powertech Industrial Co. Ltd.(b)     8,039  
  192,200     Powertech Technology, Inc.     343,866  
  603,807     President Securities Corp.(b)     363,160  
  13,000     Prime Electronics Satellitics, Inc.     11,607  
Shares       Value
TAIWAN (continued)        
  336,110     Prince Housing & Development Corp.   $ 240,306  
  121,000     Prodisc Technology, Inc.(b)(c)(d)     0  
  26,000     Promate Electronic Co. Ltd.     23,875  
  34,000     Promise Technology, Inc.(b)     20,853  
  428,520     Qisda Corp.(b)     104,691  
  7,000     Quanta Storage, Inc.     4,708  
  151,084     Quintain Steel Co. Ltd.     36,348  
  147,581     Radiant Opto-Electronics Corp.     600,085  
  381,744     Radium Life Tech Co. Ltd.     318,206  
  40,421     Realtek Semiconductor Corp.     116,420  
  85,562     Rechi Precision Co. Ltd.     85,382  
  29,348     Rexon Industrial Corp. Ltd.(b)     8,144  
  117,000     Rich Development Co. Ltd.     62,441  
  11,370     Richtek Technology Corp.     62,606  
  844,398     Ritek Corp.(b)     112,445  
  209,403     Ruentex Development Co. Ltd.     410,121  
  129,472     Ruentex Industries Ltd.     309,729  
  150,335     Sampo Corp.     51,450  
  31,626     San Fang Chemical Industry Co. Ltd.     28,773  
  702,080     Sanyang Industrial Co. Ltd.(b)     692,279  
  21,000     Sanyo Electric Taiwan Co. Ltd.     25,332  
  17,000     ScinoPharm Taiwan Ltd.     39,516  
  7,000     Senao International Co. Ltd.     21,917  
  37,000     Sercomm Corp.     51,277  
  20,000     Sesoda Corp.     21,449  
  33,000     Sheng Yu Steel Co. Ltd.     19,401  
  16,360     ShenMao Technology, Inc.     17,296  
  20,000     Shih Wei Navigation Co. Ltd.     14,672  
  108,000     Shihlin Electric & Engineering Corp.     130,096  
  32,000     Shihlin Paper Corp.(b)     47,601  
  5,172,000     Shin Kong Financial Holding Co. Ltd.(b)     1,633,337  
  85,000     Shin Kong No.1 REIT     44,729  
  9,000     Shin Zu Shing Co. Ltd.     23,025  
  69,078     Shining Building Business Co. Ltd.(b)     52,197  
  119,000     Shinkong Insurance Co. Ltd.     91,734  
  593,314     Shinkong Synthetic Fibers Corp.     186,165  
  79,000     Shinkong Textile Co. Ltd.     102,257  
  76,000     Shuttle, Inc.(b)     32,319  
  95,000     Sigurd Microelectronics Corp.     99,146  
  182,000     Silicon Integrated Systems Corp.(b)     60,313  
  121     Silitech Technology Corp.     223  
  20,000     Simplo Technology Co. Ltd.     85,050  
  85,000     Sinbon Electronics Co. Ltd.     81,077  
  75,170     Sincere Navigation Corp.     70,173  
  23,000     Singatron Enterprise Co. Ltd.     15,236  
  126,000     Sino-American Silicon Products, Inc.     173,980  
  107,000     Sinon Corp.     52,934  


61
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares       Value
TAIWAN (continued)        
  13,486     Sinphar Pharmaceutical Co. Ltd.   $ 16,953  
  46,443     Sinyi Realty Co.     82,619  
  14,000     Sirtec International Co. Ltd.     21,276  
  20,000     Sitronix Technology Corp.     28,395  
  23,000     Soft-World International Corp.     37,759  
  35,000     Solar Applied Materials Technology Co.     39,196  
  50,000     Solomon Technology Corp.(b)     20,670  
  38,000     Solytech Enterprise Corp.(b)     12,413  
  15,000     Sonix Technology Co. Ltd.     21,373  
  132,000     Southeast Cement Co. Ltd.     64,408  
  2,000     St Shine Optical Co. Ltd.     42,017  
  8,560     Standard Chemical & Pharmaceutical Co.     8,121  
  76,646     Standard Foods Corp.     262,308  
  33,000     Stark Technology, Inc.     28,401  
  22,000     Sunonwealth Electric Machine Industry Co. Ltd.     13,977  
  101,399     Sunplus Technology Co. Ltd.(b)     32,572  
  43,000     Sunrex Technology Corp.     17,266  
  24,000     Sunspring Metal Corp.     37,978  
  48,000     Supreme Electronics Co. Ltd.     25,454  
  83,980     Sweeten Construction Co. Ltd.     61,181  
  52,000     Synnex Technology International Corp.     87,924  
  132,111     TA Chen Stainless Pipe Co. Ltd.     65,357  
  393,666     TA Chong Bank Ltd.(b)     137,394  
  409,340     Ta Ya Electric Wire & Cable     98,063  
  70,000     Tah Hsin Industrial Co. Ltd.     70,565  
  41,217     TA-I Technology Co. Ltd.     22,416  
  374,789     Taichung Commercial Bank     135,885  
  11,000     Taiflex Scientific Co. Ltd.     13,623  
  78,000     Tainan Enterprises Co. Ltd.     97,394  
  909,037     Tainan Spinning Co. Ltd.     446,633  
  1,883,670     Taishin Financial Holding Co. Ltd.     816,989  
  71,716     Taisun Enterprise Co. Ltd.     35,479  
  168,924     Taita Chemical Co. Ltd.     53,232  
  12,000     Taiwan Acceptance Corp.     31,106  
  2,502,107     Taiwan Business Bank(b)     768,979  
  137,088     Taiwan Cogeneration Corp.     91,742  
  127,000     Taiwan Fertilizer Co. Ltd.     303,815  
  103,320     Taiwan Fire & Marine Insurance Co.     77,721  
  65,000     Taiwan FU Hsing Industrial Co. Ltd.     63,652  
  324,223     Taiwan Glass Industrial Corp.     329,584  
  71,468     Taiwan Hon Chuan Enterprise Co. Ltd.     198,576  
  217,734     Taiwan Land Development Corp.(b)     86,689  
  35,958     Taiwan Life Insurance Co. Ltd.(b)     27,171  
  92,150     Taiwan Mask Corp.     32,161  
  82,544     Taiwan Navigation Co. Ltd.     63,631  
  190,032     Taiwan Paiho Ltd.     133,934  
Shares       Value
TAIWAN (continued)        
  95,120     Taiwan Pulp & Paper Corp.   $ 29,330  
  18,360     Taiwan Sakura Corp.     10,296  
  86,117     Taiwan Secom Co. Ltd.     208,931  
  7,000     Taiwan Semiconductor Co. Ltd.     3,676  
  101,000     Taiwan Sogo Shin Kong Security Co. Ltd.     127,824  
  81,429     Taiwan Styrene Monomer(b)     27,592  
  45,000     Taiwan Surface Mounting Technology Co. Ltd.     75,173  
  136,469     Taiwan TEA Corp.     83,235  
  95,000     Taiyen Biotech Co. Ltd.     92,547  
  614,914     Tatung Co. Ltd.(b)     155,229  
  1,553,000     Teco Electric and Machinery Co. Ltd.     1,460,279  
  10,000     Tecom Co. Ltd.(b)     678  
  10,000     Tekcore Co. Ltd.(b)     3,931  
  13,000     Ten Ren Tea Co. Ltd.     21,320  
  29,000     ThaiLin Semiconductor Corp.(b)     13,069  
  17,000     Thinking Electronic Industrial Co. Ltd.     17,915  
  59,049     Thye Ming Industrial Co, Ltd.     63,327  
  513,100     Ton Yi Industrial Corp.     379,887  
  66,180     Tong Yang Industry Co. Ltd.     69,180  
  78,132     Tong-Tai Machine & Tool Co. Ltd.     63,407  
  71,939     Topco Scientific Co. Ltd.     136,507  
  30,518     Topoint Technology Co. Ltd.     18,614  
  24,137     Transcend Information, Inc.     83,423  
  36,122     Tripod Technology Corp.     82,006  
  36,988     Tsann Kuen Enterprise Co. Ltd.     63,794  
  167,802     TSRC Corp.     331,487  
  22,000     TTET Union Corp.     39,882  
  13,000     TTY Biopharm Co. Ltd.     43,081  
  560,315     Tung Ho Steel Enterprise Corp.     546,797  
  27,815     TXC Corp.     43,355  
  48,271     TYC Brother Industrial Co. Ltd.     18,810  
  251,303     Tycoons Group Enterprise(b)     47,686  
  104,253     Tyntek Corp.(b)     25,470  
  26,414     TZE Shin International Co. Ltd.     13,336  
  26,000     U-Ming Marine Transport Corp.     40,526  
  290,288     Unimicron Technology Corp.     305,908  
  288,153     Union Bank of Taiwan(b)     109,844  
  30,769     Union Insurance Co. Ltd.(b)     15,013  
  179,037     Unitech Printed Circuit Board Corp.     58,361  
  134,000     United Integrated Services Co. Ltd.     134,627  
  19,196     Unity Opto Technology Co. Ltd.(b)     18,050  
  283,000     Universal Cement Corp.     174,046  
  137,416     Unizyx Holding Corp.     65,653  
  166,595     UPC Technology Corp.     87,215  
  274,337     USI Corp.     192,423  
  9,000     U-Tech Media Corp.(b)     1,888  
  73,000     Vanguard International Semiconductor Corp.     79,525  


62
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
TAIWAN (continued)        
  56,800     Ve Wong Corp.   $ 39,070  
  27,674     Via Technologies, Inc.(b)     18,989  
  16,000     Visual Photonics Epitaxy Co. Ltd.     19,355  
  83,000     Wafer Works Corp.     47,249  
  117,000     Wah Lee Industrial Corp.     176,420  
  1,020,000     Walsin Lihwa Corp.(b)     316,244  
  235,947     Walsin Technology Corp.(b)     60,442  
  72,000     Walton Advanced Engineering, Inc.(b)     26,105  
  195,300     Wan Hai Lines Ltd.(b)     109,191  
  897,866     Waterland Financial Holdings Co. Ltd.     316,407  
  114,000     Wei Chuan Foods Corp.     177,690  
  46,000     Wei Mon Industry Co. Ltd.     15,899  
  65,100     Weikeng Industrial Co. Ltd.     45,993  
  15,606     Well Shin Technology Co. Ltd.     23,955  
  50,000     Weltrend Semiconductor, Inc.(b)     24,227  
  8,000     Win Semiconductors Corp.     9,501  
  884,977     Winbond Electronics Corp.(b)     245,894  
  579,673     Wintek Corp.(b)     297,575  
  371,479     Wistron Corp.     376,992  
  84,069     Wistron NeWeb Corp.     136,592  
  575,865     WPG Holdings Co. Ltd.     693,684  
  110,348     WT Microelectronics Co. Ltd.     131,616  
  95,000     WUS Printed Circuit Co. Ltd.(b)     38,306  
  12,000     Xxentria Technology Materials Corp.     22,770  
  430,000     Yageo Corp.(b)     136,087  
  1,163,600     Yang Ming Marine Transport Corp.(b)     522,421  
  211,077     YC INOX Co. Ltd.     114,794  
  25,000     YeaShin International Development Co. Ltd.     23,846  
  86,666     Yem Chio Co. Ltd.     59,026  
  431,624     YFY, Inc.     211,337  
  118,159     Yi Jinn Industrial Co. Ltd.(b)     28,827  
  309,596     Yieh Phui Enterprise Co. Ltd.     86,127  
  29,000     Young Fast Optoelectronics Co. Ltd.     52,179  
  352,000     Yulon Motor Co. Ltd.     603,524  
  29,000     Yung Chi Paint & Varnish Manufacturing Co. Ltd.     78,121  
  61,000     YungShin Global Holding Corp.     85,159  
  130,000     Yungtay Engineering Co. Ltd.     310,552  
  92,000     Zenitron Corp.     59,230  
  226,561     Zig Sheng Industrial Co. Ltd.     69,169  
  50,169     Zinwell Corp.     41,904  
  4,000     Zippy Technology Corp.     3,592  
              68,805,269  
THAILAND — 0.5%        
  76,300     AJ Plast Public Co. Ltd. - FOR(d)     34,056  
Shares         Value  
THAILAND (continued)        
  272,500     Amata Corp. Public Co. Ltd. - FOR(d)   $ 213,543  
  413,880     Asian Property Development Public Co. Ltd. - FOR(d)     132,554  
  179,700     Asian Property Development Public Co. Ltd. - NVDR     57,553  
  404,300     Bangchak Petroleum Public Co. Ltd. - FOR     499,348  
  6,500     Bangkok Aviation Fuel Services Public Co. Ltd. - FOR     5,271  
  6,801,000     Bangkok Chain Hospital Public Co. Ltd. - FOR     2,803,819  
  2,151,200     Bangkok Expressway Public Co. Ltd. - FOR(d)     2,931,789  
  22,000     Bangkok Insurance Public Co. Ltd. - FOR(d)     291,584  
  580,100     Bangkokland Public Co. Ltd. - FOR(d)     40,716  
  14,000     Bank of Ayudhya Public Co. Ltd. - FOR     15,622  
  24,100     Banpu Public Co. Ltd. - FOR(d)     280,003  
  6,000     Big C Supercenter Public Co. Ltd. - FOR     47,223  
  62,700     Bumrungrad Hospital Public Co. Ltd. - FOR     175,710  
  1,158,900     CalComp Electronics Public Co. Ltd. - FOR     142,148  
  261,400     Central Plaza Hotel Public Co. Ltd. - FOR(d)     331,760  
  316,500     CH Karnchang Public Co. Ltd. - FOR     296,550  
  2,100     Charoong Thai Wire & Cable Public Co. Ltd. - FOR     1,080  
  307,400     Delta Electronics Thailand Public Co. Ltd. - FOR     397,997  
  31,200     Dynasty Ceramic Public Co. Ltd. - FOR(d)     66,174  
  5,914,800     Eastern Water Resources Development and Management Public Co. Ltd. - FOR(d)     2,861,675  
  52,000     Electricity Generating Public Co. Ltd. - FOR(d)     271,959  
  116,000     Esso Thailand Public Co. Ltd. - FOR     38,140  
  12,801,000     G J Steel Public Co. Ltd. - FOR(b)(d)     56,699  
  1,289,700     G Steel Public Co. Ltd. - FOR(b)     15,380  
  143,500     GFPT Public Co. Ltd. - FOR     41,070  
  135,200     Glow Energy Public Co. Ltd. - FOR     354,698  
  233,500     Hana Microelectronics Public Co. Ltd. - FOR     197,302  
  1,785,800     Hemaraj Land and Development Public Co. Ltd. - FOR(d)     261,633  
  1,362,255     Home Product Center Public Co. Ltd. - FOR(d)     696,212  

 

63
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
THAILAND (continued)        
  63,100     ICC International Public Co. Ltd. - FOR(d)   $ 88,147  
  2,285,000     IRPC Public Co. Ltd. - FOR(d)     319,199  
  664,100     Italian-Thai Development Public Co. Ltd. - FOR(b)(d)     190,066  
  930,500     Jasmine International Public Co. Ltd. - FOR(d)     261,555  
  126,400     KGI Securities Thailand Public Co. Ltd. - FOR(d)     15,418  
  155,100     Khon Kaen Sugar Industry Public Co. Ltd.(d)     66,056  
  81,600     Kiatnakin Bank Public Co. Ltd. - FOR     196,007  
  225,100     Land and Houses Public Co. Ltd. - FOR     100,471  
  452,800     Land and Houses Public Co. Ltd. - NVDR     202,102  
  21,900     Lanna Resources Public Co. Ltd. - FOR     12,759  
  420,630     Loxley Public Co. Ltd. - FOR     96,021  
  85,600     Major Cineplex Group Public Co. Ltd. - FOR(d)     64,747  
  36,900     MBK Public Co. Ltd. - FOR     208,702  
  71,100     MCOT Public Co. Ltd. - FOR(d)     121,124  
  77,000     MCS Steel Public Co. Ltd. - FOR     12,750  
  143,770     Minor International Public Co. Ltd. - FOR(d)     120,502  
  2,094,100     Polyplex Public Co. Ltd. - FOR(d)     877,596  
  240,500     Precious Shipping Public Co. Ltd. - FOR(d)     145,857  
  53,800     Pruksa Real Estate Public Co. Ltd. - FOR(d)     53,617  
  805,141     Quality Houses Public Co. Ltd. - FOR(d)     115,765  
  118,700     Ratchaburi Electricity Generating Holding Public Co. Ltd. - FOR(d)     239,624  
  34,100     Regional Container Lines Public Co. Ltd. - FOR(b)     8,075  
  153,900     Robinson Department Store Public Co. Ltd. - FOR(d)     418,178  
  28,500     Rojana Industrial Park Public Co. Ltd. - FOR     12,138  
  69,300     Saha-Union Public Co. Ltd. - FOR     97,988  
  1,383,400     Sahaviriya Steel Industries Public Co. Ltd. - FOR(b)(d)     27,338  
  276,600     Samart Corp. Public Co. Ltd. - FOR(d)     263,877  
  35,700     Samart Telcoms Public Co. Ltd. - FOR     30,713  
  1,921,500     Sansiri Public Co. Ltd. - FOR     288,061  
  842,500     SC Asset Corp. Public Co. Ltd. - FOR(d)     223,901  
  15,100     Siam City Cement Public Co. Ltd. - FOR(d)     251,066  
Shares         Value  
THAILAND (continued)        
  41,512     Siam Future Development Public Co. Ltd. - FOR   $ 12,871  
  23,300     Siam Makro Public Co. Ltd. - FOR(d)     598,576  
  77,500     Siamgas & Petrochemicals Public Co. Ltd. - FOR(d)     34,327  
  44,000     SNC Former Public Co. Ltd. - FOR     36,579  
  92,818     Somboon Advance Technology Public Co. Ltd. - FOR     90,920  
  44,700     Sri Trang Agro-Industry Public Co. Ltd. - FOR     23,759  
  7,700     STP & I Public Co. Ltd. - FOR     24,530  
  263,800     Supalai Public Co. Ltd. - FOR(d)     184,256  
  1,330,700     Tata Steel Thailand Public Co. Ltd. - FOR(b)     50,326  
  83,900     Thai Airways International Public Co. Ltd. - FOR     84,329  
  22,200     Thai Carbon Black Public Co. Ltd. - FOR     21,179  
  15,000     Thai Central Chemical Public Co. Ltd. - FOR     12,164  
  18,000     Thai Oil Public Co. Ltd. - FOR(d)     40,477  
  18,200     Thai Stanley Electric Public Co. Ltd. - FOR     155,646  
  200,718     Thai Union Frozen Products Public Co. Ltd. - FOR(d)     386,391  
  25,800     Thai Vegetable Oil Public Co. Ltd. - FOR     20,218  
  204,400     Thaicom Public Co. Ltd. - FOR(d)     238,525  
  425,100     Thanachart Capital Public Co. Ltd. - FOR(d)     691,602  
  268,464     Thoresen Thai Agencies Public Co. Ltd. - FOR(b)     163,731  
  4,064,737     Ticon Industrial Connection Public Co. Ltd. - FOR(d)     3,420,750  
  18,500     Tipco Asphalt Public Co. Ltd. - FOR     44,595  
  195,000     Tisco Financial Group Public Co. Ltd. - FOR(d)     365,417  
  5,285,900     TMB Bank Public Co. Ltd. - FOR(d)     493,471  
  137,000     Total Access Communication Public Co. Ltd. - FOR(d)     546,133  
  600,000     TPI Polene Public Co. Ltd. - FOR     306,644  
  1,863,445     True Corp. Public Co. Ltd. - FOR(b)(d)     536,494  
  256,900     Vinythai Public Co. Ltd. - FOR     161,930  
              27,434,528  
TURKEY — 0.2%        
  7,837     Adana Cimento Sanayii T.A.S. - Class A     19,671  
  13,070     Akcansa Cimento AS     78,738  

 


64
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
TURKEY (continued)        
  74,462     Akenerji Elektrik Uretim AS - Placement Shares(b)   $ 69,364  
  16,484     Akfen Holding AS(b)     50,020  
  325     Akmerkez Gayrimenkul Yatirim Ortakligi AS REIT     3,358  
  61,656     Aksa Akrilik Kimya Sanayii     181,589  
  73,605     Aksigorta AS     92,789  
  14,323     Alarko Holding AS     43,302  
  29,526     Albaraka Turk Katilim Bankasi AS(b)     31,951  
  13,283     Altinyildiz Mensucat ve Konfeksiyon Fabrikalari AS(b)     368,612  
  28,087     Anadolu Anonim Tuerk Sigorta Sirketi(b)     20,837  
  21,266     Anadolu Cam Sanayii AS(b)     32,858  
  31,143     Anadolu Hayat Emeklilik AS     100,755  
  24,069     Arcelik AS     187,288  
  128,647     Asya Katilim Bankasi AS(b)     155,718  
  46,890     Aygaz AS     255,799  
  679     Bagfas Bandirma Gubre Fabrik     20,358  
  793     Baticim Bati Anadolu Cimento Sanayii AS     3,388  
  2,472     Borusan Mannesmann Boru Sanayi ve Ticaret AS     47,020  
  21,074     Brisa Bridgestone Sabanci Sanayi ve Ticaret AS     58,776  
  16,881     Bursa Cimento Fabrikasi AS     48,023  
  90,362     Celebi Hava Servisi AS(b)     1,058,491  
  29,087     Cimsa Cimento Sanayi ve Ticaret AS     172,794  
  12,109     Coca-Cola Icecek AS     337,721  
  11,012     Deva Holding AS(b)     13,697  
  259,431     Dogan Sirketler Grubu Holdings AS(b)     175,101  
  5,064     Dogan Yayin Holding AS(b)     2,486  
  55,895     Dogus Otomotiv Servis ve Ticaret AS     356,992  
  13,370     Eczacibasi Yatirim Holding Ortakligi AS     52,205  
  144,670     EIS Eczacibasi Ilac ve Sinai ve Finansal Yatirimlar Sanayi ve Ticaret AS     206,585  
  29,868     Emlak Konut Gayrimenkul Yatirim Ortakligi AS REIT     51,148  
  276,646     Eregli Demir ve Celik Fabrikalari TAS     316,343  
  17,827     Ford Otomotiv Sanayi AS     247,604  
  66,324     Gentas Genel Metal Sanayi ve Ticaret AS     49,204  
  67,762     Global Yatirim Holding AS(b)     68,414  
  276     Goltas Goller Bolgesi Cimento Sanayi ve Ticaret AS     10,161  
  2,500     Goodyear Lastikleri TAS     87,854  
  74,533     GSD Holding AS(b)     58,205  
  5,261     Gubre Fabrikalari TAS(b)     46,367  
  9,201     Hurriyet Gazetecilik AS(b)     4,824  
  170,851     Ihlas Holding AS(b)     78,147  
Shares         Value  
TURKEY (continued)        
  72,512     Ipek Dogal Enerji Kaynaklari Ve Uretim AS(b)   $ 204,664  
  36,246     IS Finansal Kiralama AS(b)     20,622  
  9,126     IS Yatirim Menkul Degerler AS     8,603  
  25,002     Izmir Demir Celik Sanayi AS(b)     41,281  
  23,780     Kardemir Karabuk Demir Celik        
        Sanayi ve Ticaret AS - Class A(b)     35,152  
  10,085     Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS - Class B(b)     23,683  
  118,896     Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS - Class D     133,967  
  428     Kartonsan Karton Sanayi ve Ticaret AS     69,538  
  842     Konya Cimento Sanayii AS     159,218  
  57,679     Kordsa Global Endustriyel Iplik ve Kord Bezi Sanayi ve Ticaret AS     116,790  
  36,000     Koza Anadolu Metal Madencilik Isletmeleri AS(b)     89,561  
  18,103     Mardin Cimento Sanayii ve Ticaret AS     58,365  
  71,042     Menderes Tekstil Sanayi ve Ticaret AS(b)     21,795  
  2,685     Migros Ticaret AS(b)     34,822  
  37,052     NET Holding AS(b)     52,290  
  26,330     Netas Telekomunikasyon AS     157,885  
  5,026     Otokar Otomotiv Ve Savunma Sanayi AS     184,331  
  113,035     Petkim Petrokimya Holding AS(b)     196,720  
  7,882     Pinar SUT Mamulleri Sanayii AS     75,182  
  84,071     Polyester Sanayi AS(b)     53,460  
  82,244     Sarkuysan Elektrolitik Bakir Sanayi ve Ticaret AS     131,664  
  101,183     Sekerbank TAS(b)     116,266  
  131,825     Selcuk Ecza Deposu Ticaret ve Sanayi AS     154,418  
  35,281     Soda Sanayii AS(b)     50,183  
  10,000     TAV Havalimanlari Holding AS(b)     70,562  
  9,602     Tekfen Holding AS     37,278  
  62,692     Tekstil Bankasi AS(b)     59,099  
  20,247     Tofas Turk Otomobil Fabrikasi AS     141,174  
  9,410     Torunlar Gayrimenkul Yatirim Ortakligi AS     22,203  
  158,040     Trakya Cam Sanayi AS(b)     267,111  
  9,741     Turcas Petrol AS     18,854  
  105,728     Turk Hava Yollari AO(b)     439,954  
  379,748     Turkiye Sinai Kalkinma Bankasi AS     546,506  
  346,487     Turkiye Sise ve Cam Fabrikalari AS     587,545  
  70,778     Ulker Biskuvi Sanayi AS     606,019  


65
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
TURKEY (continued)        
  16,077     Vestel Beyaz Esya Sanayi ve Ticaret AS(b)   $ 24,303  
  26,406     Vestel Elektonik Sanayi ve Ticaret AS(b)     33,583  
  11,836     Yapi Kredi Sigorta AS(b)     116,199  
              10,425,407  
UKRAINE — 0.0%        
  2,491     Kernel Holding SA(b)     45,171  
UNITED ARAB EMIRATES — 0.0%        
  90,281     Dragon Oil Plc(b)     877,450  
  80,439     Lamprell Plc     180,553  
              1,058,003  
UNITED KINGDOM — 8.8%        
  929     4imprint Group Plc     7,287  
  278,982     Aberdeen Asset Management Plc     1,944,471  
  7,449     Acal Plc     24,415  
  27,694     Admiral Group Plc     551,067  
  292,869     Afren Plc(b)     610,059  
  51,749     African Barrick Gold Plc     140,673  
  21,716     Aga Rangemaster Group Plc(b)     26,480  
  199,220     Alent Plc(b)     1,049,683  
  139,796     AMEC Plc     2,199,751  
  100,038     Amlin Plc     659,492  
  51,177     Anglo Pacific Group Plc     172,307  
  2,770     Anglo-Eastern Plantations     30,571  
  68,300     Anite Plc     129,859  
  97,903     Ashmore Group Plc     607,094  
  273,530     Ashtead Group Plc     2,496,216  
  18,885     Aveva Group Plc     651,237  
  6,071     Avon Rubber Plc     39,608  
  115,161     Babcock International Group Plc     1,914,073  
  215,301     Balfour Beatty Plc     722,051  
  22,893     BARR (A.G.) Plc     194,873  
  206,507     Barratt Developments Plc(b)     998,260  
  142,558     BBA Aviation Plc     555,599  
  43,519     Bellway Plc     909,223  
  44,135     Berendsen Plc     530,289  
  108,436     Berkeley Group Holdings Plc     3,511,954  
  1,309     Betfair Group Plc     17,588  
  16,127     Big Yellow Group Plc REIT     101,080  
  3,760     Bloomsbury Publishing Plc     6,775  
  1,068,769     Bodycote Plc     8,591,392  
  90,227     Booker Group Plc     166,783  
  20,861     Boot (Henry) Plc     58,328  
  72,968     Bovis Homes Group Plc     870,488  
  5,449     Braemar Shipping Services Plc     33,857  
  9,901     Brammer Plc     54,829  
  81,352     Brewin Dolphin Holdings Plc     264,109  
  67,702     British Land Co. Plc REIT     625,205  
  3,462     British Polythene Industries Plc     29,577  
  22,208     Britvic Plc     151,786  
  71,760     BTG Plc(b)     385,346  
Shares         Value  
UNITED KINGDOM (continued)        
  150,395     Bunzl Plc   $ 2,987,950  
  76,492     Cable & Wireless Communications Plc     50,237  
  373,516     Cairn Energy Plc(b)     1,674,460  
  11     Camellia Plc     1,798  
  56,724     Capita Plc     795,213  
  74,940     Capital & Counties Properties Plc     358,537  
  91,052     Capital & Regional Plc(b)     48,795  
  11,197     Carclo Plc     71,137  
  349,116     Carillion Plc     1,454,447  
  5,800     Centaur Media Plc     4,167  
  3,699     Charles Stanley Group Plc     23,242  
  2,606     Charles Taylor Plc     7,165  
  36,659     Chemring Group Plc     154,376  
  48,647     Chesnara Plc     180,791  
  23,254     Chime Communications Plc     92,652  
  43,740     Cineworld Group Plc     196,697  
  4,407     Clarkson Plc     111,583  
  61,525     Close Brothers Group Plc     992,971  
  78,439     Coalfield Resources Plc(b)     5,178  
  1,870,928     Cobham Plc     7,280,046  
  114,494     Colt Group SA(b)     204,527  
  27,870     Communisis Plc     23,378  
  63,868     Computacenter Plc     444,259  
  29,203     Concentric AB     297,390  
  6,595     Consort Medical Plc     81,955  
  5,190     Costain Group Plc     22,251  
  16,173     Cranswick Plc     265,543  
  4,000     Creston Plc     5,344  
  617,462     Croda International Plc     23,767,355  
  73,400     CSR Plc     562,098  
  102,197     Daily Mail & General Trust Plc - Class A     1,092,184  
  54,059     Dairy Crest Group Plc     386,022  
  39,738     Darty Plc     30,246  
  907,173     De La Rue Plc(d)     13,126,299  
  353,060     Debenhams Plc     456,290  
  7,740     Dechra Pharmaceuticals Plc     86,325  
  34,483     Derwent London Plc REIT     1,236,797  
  29,907     Development Securities Plc     67,361  
  89,965     Devro Plc     461,026  
  4,248     Dialight Plc     85,518  
  5,188     Dignity Plc     110,969  
  1,008,908     Diploma Plc(d)     8,940,803  
  1,041,571     Dixons Retail Plc(b)     567,891  
  981,326     Domino Printing Sciences Plc(d)     10,167,366  
  42,149     Domino’s Pizza Group Plc     426,224  
  295,471     Drax Group Plc     2,815,780  
  167,079     DS Smith Plc     605,489  
  6,273     Dunelm Group Plc     82,338  
  25,606     E2V Technologies Plc     47,332  
  79,189     easyJet Plc     1,374,002  
  230,794     Electrocomponents Plc     861,843  
  229,079     Elementis Plc     937,638  


66
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
UNITED KINGDOM (continued)        
  171,604     EnQuest Plc(b)   $ 343,597  
  1,895,000     Ensco Plc - ADR     109,303,600  
  188,946     Enterprise Inns Plc(b)     287,483  
  14,750     Erinaceous Group Plc(b)(c)(d)     0  
  8,205     Euromoney Institutional Investor Plc     124,903  
  304,900     F&C Asset Management Plc     464,144  
  1,043,379     Fenner Plc     5,698,496  
  74,493     Fiberweb Plc     92,282  
  9,707     Fidessa Group Plc     270,657  
  97,005     Filtrona Plc     1,064,573  
  108     Findel Plc(b)     273  
  135,966     Firstgroup Plc     445,849  
  2,555     Fuller Smith & Turner - Class A     31,750  
  539,467     G4S Plc     2,621,205  
  28,463     Galliford Try Plc     435,719  
  5,558     Games Workshop Group Plc     59,571  
  54,226     Gem Diamonds Ltd.(b)     110,133  
  24,405     Genus Plc     513,674  
  1,388,182     GKN Plc     5,925,602  
  14,268     Go-Ahead Group Plc     343,530  
  38,840     Great Portland Estates Plc REIT .     320,967  
  634,759     Greene King Plc     7,168,241  
  15,572     Greggs Plc     100,262  
  70,960     Halfords Group Plc     380,058  
  1,057,069     Halma Plc     8,218,201  
  84,204     Hammerson Plc REIT     679,497  
  73,847     Hansteen Holdings Plc REIT     97,848  
  16,173     Hardy Oil & Gas Plc(b)     28,702  
  78,688     Hargreaves Lansdown Plc     1,197,243  
  73,639     Hays Plc     106,838  
  7,301     Headlam Group Plc     39,013  
  41,557     Helical Bar Plc     160,090  
  225,834     Henderson Group Plc     578,819  
  71,298     Hikma Pharmaceuticals Plc     1,082,035  
  38,157     Hill & Smith Holdings Plc     254,273  
  337     Hilton Food Group Ltd.     1,861  
  35,750     Hochschild Mining Plc     137,998  
  5,026     Hogg Robinson Group Plc     4,372  
  98,781     Home Retail Group Plc     239,062  
  87,969     Homeserve Plc     286,138  
  211,194     Howden Joinery Group Plc     815,881  
  50,371     Hunting Plc     631,427  
  34,778     Huntsworth Plc     32,413  
  3,454     Hyder Consulting Plc     25,270  
  194,352     ICAP Plc     868,859  
  72,761     IG Group Holdings Plc     608,630  
  51,184     Imagination Technologies Group Plc(b)     338,221  
  102,510     IMI Plc     1,972,908  
  278,543     Inchcape Plc     2,167,701  
  59,469     Inmarsat Plc     667,418  
  497,362     Innovation Group Plc(b)     200,870  
  82,005     InterContinental Hotels Group Plc     2,417,719  
Shares         Value  
UNITED KINGDOM (continued)        
  335,718     International Consolidated Airlines Group(b)   $ 1,418,446  
  1,094,424     Interserve Plc(d)     8,037,711  
  41,164     Intertek Group Plc     2,115,205  
  42,784     Intu Properties Plc REIT     227,753  
  269,086     Invensys Plc     1,607,987  
  240,925     Investec Plc     1,702,796  
  70,424     IP Group Plc(b)     169,559  
  22,429     ITE Group Plc     91,316  
  1,283,644     ITV Plc     2,510,381  
  8,667     James Fisher & Sons Plc     135,302  
  28,273     Jardine Lloyd Thompson Group Plc     372,204  
  63,090     Jazztel Plc(b)     474,423  
  7,378     JD Sports Fashion Plc     97,988  
  26,702     JKX Oil & Gas Plc(b)     28,101  
  4,183     John Menzies Plc     47,400  
  243,164     John Wood Group Plc     2,927,321  
  41,414     Johnson Matthey Plc     1,559,370  
  81,564     Johnston Press Plc(b)     19,321  
  35,089     Jupiter Fund Management Plc     180,141  
  172,730     Kcom Group Plc     227,125  
  19,459     Keller Group Plc     259,798  
  17,238     Kier Group Plc     313,822  
  51,645     Kofax Plc(b)     256,713  
  98,592     Ladbrokes Plc     290,062  
  2,486,999     Laird Plc(d)     8,386,964  
  122,471     Lancashire Holdings Ltd.     1,610,384  
  13,753     Lavendon Group Plc     36,104  
  73,615     London Stock Exchange Group Plc     1,533,432  
  73,366     Londonmetric Property Plc REIT     130,488  
  77,005     Lonmin Plc(b)     321,766  
  43,642     Lookers Plc     63,385  
  22,684     Low & Bonar Plc     25,018  
  1,283     LSL Property Services Plc     6,995  
  354,344     Man Strategic Holdings Plc(b)     562,530  
  6,088     Management Consulting Group Plc     3,026  
  47,388     Marshalls Plc     93,669  
  283,064     Marston’s Plc     636,682  
  939,318     McBride Pharmacy Ltd. - Redeemable B Shares(b)(c)(d)     1,459  
  55,254     McBride Plc     98,274  
  1,244     McKay Securities Plc REIT     2,725  
  28,145     Mears Group Plc     153,235  
  53,040     Mecom Group Plc     35,222  
  300,861     Meggitt Plc     2,189,967  
  98,125     Michael Page International Plc     567,926  
  69,830     Millennium & Copthorne Hotels Plc     613,400  
  49,303     Mitchells & Butlers Plc(b)     256,100  
  165,675     Mitie Group Plc     710,804  
  231,628     Mondi Plc     3,063,691  


67
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
UNITED KINGDOM (continued)        
  125,036     Moneysupermarket.com Group Plc   $ 389,809  
  149,745     Morgan Advanced Materials Plc     608,266  
  15,010     Morgan Sindall Group Plc     134,066  
  15,763     Mothercare Plc(b)     77,619  
  15,625     MWB Group Holdings Plc - Units(b)(c)(d)     0  
  80,593     N Brown Group Plc     558,344  
  136,397     National Express Group Plc     405,735  
  3,594     NCC Group Plc     6,308  
  990,480     New Melrose Plc(b)     3,755,630  
  55,574     Northgate Plc     292,645  
  21,393     Novae Group Plc     155,022  
  9,252     Ocado Group Plc(b)     24,432  
  6,260     Optos Plc(b)     15,729  
  2,971     Oxford Instruments Plc     71,071  
  75,490     Pace Plc     291,163  
  4,258     PayPoint Plc     53,872  
  149,749     Pendragon Plc(b)     54,082  
  135,216     Pennon Group Plc     1,439,809  
  256,487     Persimmon Plc     4,302,872  
  256,487     Persimmon Plc(b)(c)(d)     298,811  
  35,551     Petropavlovsk Plc     80,074  
  36,290     Photo-Me International Plc     43,829  
  131,010     Premier Farnell Plc     430,412  
  8,989     Premier Foods Plc(b)     10,193  
  141,787     Premier Oil Plc(b)     821,293  
  13,395     Provident Financial Plc     338,948  
  279,236     Punch Taverns Plc(b)     44,460  
  78,418     PZ Cussons Plc     486,268  
  144,897     QinetiQ Group Plc     426,293  
  44,169     Quintain Estates & Development Plc(b)     44,425  
  4,954     Rathbone Brothers Plc     112,351  
  3,560     REA Holdings Plc     25,438  
  213     REA Holdings Plc - Preferred Shares(b)     386  
  125,122     Redrow Plc(b)     415,732  
  9,324     Renishaw Plc     238,397  
  47,797     Renold Plc(b)     15,220  
  43,173     Renovo Group Plc(b)     12,993  
  221,069     Rentokil Initial Plc     325,713  
  69,193     Restaurant Group Plc     517,951  
  2,144,069     Rexam Plc     17,201,979  
  9,385     Ricardo Plc     56,563  
  30,878     Rightmove Plc     921,395  
  5,585     RM Plc     6,442  
  26,258     Robert Walters Plc     94,220  
  606,493     Rotork Plc(d)     27,405,570  
  75,411     RPC Group Plc     465,982  
  136,419     RPS Group Plc     528,495  
  1,524,920     RSA Insurance Group Plc     2,636,401  
  12,443     Safestore Holdings Plc     26,480  
  1,014,959     Sage Group Plc (The)     5,320,980  
  67,612     Salamander Energy Plc(b)     191,881  
  45,100     Savills Plc     407,726  
Shares         Value  
UNITED KINGDOM (continued)        
  101,874     Schroders Plc   $ 3,695,044  
  42,407     Schroders Plc - Non Voting     1,218,649  
  35,597     SDL Plc     201,217  
  71,325     Segro Plc REIT     295,152  
  182,318     Senior Plc     722,169  
  912,868     Serco Group Plc     8,770,352  
  102,276     Severfield-Rowen Plc     62,754  
  89,681     Severn Trent Plc     2,536,762  
  94,571     Shaftesbury Plc REIT     892,429  
  269,219     Shanks Group Plc     341,871  
  241,389     SIG Plc     607,813  
  53,086     Smiths Group Plc     1,030,764  
  22,043     Smiths News Plc     61,462  
  79,439     Soco International Plc(b)     467,673  
  10,749     Southern Cross Healthcare Group Plc(b)(c)(d)     0  
  334,896     Spectris Plc     10,976,446  
  15,017     Speedy Hire Plc     11,313  
  273,501     Spirax-Sarco Engineering Plc(d)     11,143,626  
  207,268     Spirent Communications Plc     420,157  
  208,127     Spirit Pub Co. Plc     210,141  
  4,982     Sportech Plc(b)     7,623  
  94,269     Sports Direct International Plc(b)     682,669  
  96,548     St. James’s Place Plc     830,850  
  78,420     St. Modwen Properties Plc     325,730  
  154,395     Stagecoach Group Plc     737,476  
  32,005     Sthree Plc     166,794  
  4,859     Stolt-Nielsen Ltd.     100,272  
  8,341     SuperGroup Plc(b)     89,724  
  30,559     Synergy Health Plc     515,986  
  32,654     Synthomer Plc     101,903  
  14,308     T Clarke Plc     11,557  
  235,743     Talktalk Telecom Group Plc     918,042  
  214,060     Tate & Lyle Plc     2,808,048  
  845,724     Taylor Wimpey Plc     1,221,746  
  5,162     Ted Baker Plc     108,569  
  38,081     Telecity Group Plc     545,688  
  10,616     Telecom Plus Plc     201,182  
  3,226     Topps Tiles Plc     3,420  
  8,024     Torotrak Plc(b)     3,770  
  5,551     Town Centre Securities Plc REIT     17,138  
  85,551     Travis Perkins Plc     1,905,652  
  115,313     Trinity Mirror Plc(b)     161,209  
  1,355,957     TT electronics Plc(d)     3,506,949  
  80,473     Tullett Prebon Plc     305,632  
  25,733     UBM Plc     292,598  
  970     UK Mail Group Plc     6,404  
  411,658     Ultra Electronics Holdings Plc(d)     10,550,908  
  19,240     Unite Group Plc     103,945  
  257,394     United Utilities Group Plc     2,960,689  
  9,569     UTV Media Plc     23,671  
  197,460     Vectura Group Plc(b)     269,918  
  136,756     Vedanta Resources Plc     2,568,278  


68
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
UNITED KINGDOM (continued)        
  199,220     Vesuvius Plc   $ 1,076,915  
  553,801     Victrex Plc(d)     13,806,961  
  11,826     Vitec Group Plc (The)     112,791  
  7,903     Volex Plc     11,877  
  81,025     Weir Group Plc (The)     2,773,958  
  50,439     Wetherspoon (J.D.) Plc     460,303  
  43,316     WH Smith Plc     497,572  
  128,753     Whitbread Plc     5,109,961  
  723,313     William Hill Plc     4,786,358  
  15,003     Wilmington Group Plc     35,190  
  21,070     Wincanton Plc(b)     17,346  
  79,245     Wolfson Microelectronics Plc(b)     252,653  
  32,930     Workspace Group Plc REIT     191,819  
  2,214     WS Atkins Plc     30,986  
  14,163     Xaar Plc     110,000  
  50,294     Xchanging Plc     104,686  
              501,993,372  
UNITED STATES — 42.9%        
  250,000     ABM Industries, Inc.     5,637,500  
  430,000     Actuant Corp. - Class A     13,459,000  
  1,413,407     Advance Auto Parts, Inc.     118,556,579  
  200,000     Advent Software, Inc.(b)     5,808,000  
  35,785     Alacer Gold Corp.     107,272  
  1,600,000     Albemarle Corp.(d)     98,000,000  
  81,000     Altera Corp.     2,592,810  
  1,820,000     AmerisourceBergen Corp.     98,498,400  
  22,000     AMETEK, Inc.     895,620  
  175,000     Amtrust Financial Services, Inc.     5,540,500  
  20,000     ANSYS, Inc.(b)     1,617,200  
  400,000     Approach Resources Inc.(b)     9,488,000  
  218,000     Aptargroup, Inc.     12,229,800  
  78,840     Argonaut Gold, Inc.(b)     499,280  
  80,000     Arthur J Gallagher & Co.     3,396,000  
  31,621     Atna Resources Ltd.(b)     19,460  
  74,000     Avon Products, Inc.     1,713,840  
  30,000     Bard (C.R.), Inc.     2,980,800  
  2,700     Bauer Performance Sports Ltd.(b)     31,062  
  32,000     Beam, Inc.     2,070,720  
  52,000     Bed Bath & Beyond, Inc.(b)     3,577,600  
  125,000     Bio-Rad Laboratories, Inc. - Class A(b)     14,968,750  
  150,000     Bio-Reference Labs, Inc.(b)     3,825,000  
  13,507     Biota Pharmaceuticals, Inc.     56,864  
  2,000,000     BMC Software, Inc.(b)     90,960,000  
  23,400     BNK Petroleum, Inc.(b)     17,420  
  77,039     Boart Longyear Ltd.     76,272  
  350,000     Bottomline Technologies, Inc.(b)     9,170,000  
  150,000     Brady Corp. - Class A     5,082,000  
  160,000     Bryn Mawr Bank Corp.(d)     3,716,800  
  350,000     Cardtronics, Inc.(b)     9,803,500  
  3,291,200     CareFusion Corp.(b)(d)     110,057,728  
  225,000     Casey’s General Stores, Inc.     13,029,750  
  219,000     Cepheid, Inc.(b)     8,350,470  
Shares         Value  
UNITED STATES (continued)        
  16,000     Church & Dwight Co., Inc.   $ 1,022,240  
  269,500     CLARCOR, Inc.     13,933,150  
  29,000     Clorox Co. (The)     2,501,250  
  200,000     Community Bank System, Inc.     5,728,000  
  15,000     Concho Resources, Inc.(b)     1,291,950  
  12,000     Concur Technologies, Inc.(b)     877,320  
  2,510,000     Crown Holdings, Inc.(b)(d)     107,126,800  
  20,000     Cullen/Frost Bankers, Inc.     1,208,200  
  219,000     Denbury Resources, Inc.(b)     3,917,910  
  55,000     Dover Corp.     3,793,900  
  22,000     Edwards Lifesciences Corp.(b)     1,403,380  
  200,000     Elizabeth Arden, Inc.(b)     8,190,000  
  914,000     Energizer Holdings, Inc.     88,283,260  
  216,300     EnPro Industries, Inc.(b)     10,659,264  
  154,000     Esterline Technologies Corp.(b)     11,556,160  
  100,000     FARO Technologies, Inc.(b)     3,879,000  
  35,000     First Republic Bank (California)     1,329,300  
  700,000     Fiserv, Inc.(b)     63,777,000  
  111,900     Flotek Industries, Inc.(b)     1,794,876  
  545,000     Flowserve Corp.     86,175,400  
  186,400     Genomic Health, Inc.(b)     5,659,104  
  144,754     Golden Star Resources Ltd.(b)     156,615  
  223,200     Guidewire Software, Inc.(b)     8,945,856  
  350,000     Harris Teeter Supermarkets, Inc.     14,626,500  
  563,519     Henry Schein, Inc.(b)     50,942,118  
  43,900     HJ Heinz Co.     3,179,238  
  150,000     Hub Group, Inc. - Class A(b)     5,497,500  
  710,500     Hubbell, Inc. - Class B(d)     68,179,580  
  249,000     IDEX Corp.     12,955,470  
  21,000     IHS, Inc. - Class A(b)     2,046,030  
  46,000     Illumina, Inc.(b)     2,975,740  
  100,000     Independent Bank Corp.(d)     3,104,000  
  9,600     Indevus Pharmaceuticals, Inc.(b)(c)(d)     0  
  300,000     Integra LifeScience Holdings Corp.(b)(d)     10,509,000  
  9,184     International Minerals Corp.     26,892  
  67,000     Intuit, Inc.     3,995,880  
  225,000     Jack Henry & Associates, Inc.     10,440,000  
  34,081     Jaguar Mining, Inc.(b)     15,561  
  295,000     John Wiley & Sons, Inc. - Class A     11,260,150  
  225,000     K12, Inc.(b)     5,730,750  
  150,000     Kaydon Corp.     3,576,000  
  36,000     Kellogg Co.     2,341,440  
  500,000     Key Energy Services, Inc.(b)     2,970,000  
  180,000     Kodiak Oil & Gas Corp.(b)     1,409,400  
  22,000     Laboratory Corp. of America Holdings(b)     2,053,920  
  150,000     Lancaster Colony Corp.(d)     11,839,500  
  100,000     Landstar System, Inc.     5,466,000  
  36,000     Life Technologies Corp.(b)     2,652,840  
  200,000     LogMein, Inc.(b)     4,516,000  
  213,000     Lufkin Industries, Inc.     18,805,770  
  350,000     Luminex Corp.(b)(d)     5,820,500  


69
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
UNITED STATES (continued)        
  100,000     MarketAxess Holdings, Inc.   $ 4,232,000  
  450,000     Masimo Corp.     9,027,000  
  19,000     Mead Johnson Nutrition Co.     1,540,710  
  175,000     Measurement Specialties, Inc.(b)(d)     7,484,750  
  50,000     Medidata Solutions, Inc.(b)     3,318,000  
  76,000     MICROS Systems, Inc.(b)     3,223,160  
  200,000     Mistras Group, Inc.(b)(d)     3,790,000  
  58,000     Molson Coors Brewing Co. - Class B     2,992,800  
  123,000     Morningstar, Inc.(d)     8,119,230  
  677     Movie Gallery, Inc.(b)(c)(d)     0  
  730,400     MSC Industrial Direct Co., Inc. - Class A     57,555,520  
  408,000     National Instruments Corp.     11,150,640  
  125,000     Navigators Group, Inc. (The)(b)(d)     7,235,000  
  2,836,746     NetApp, Inc.(b)     98,974,068  
  350,000     Northern Oil and Gas, Inc.(b)     4,511,500  
  71,000     Northern Trust Corp.     3,828,320  
  450,000     NuVasive, Inc.(b)     9,436,500  
  24,000     Oil States International, Inc.(b)     2,144,640  
  1,828,500     Omnicom Group, Inc.     109,289,445  
  100,000     Owens & Minor, Inc.     3,257,000  
  12,000     Pall Corp.     800,520  
  47,000     Parker Hannifin Corp.     4,162,790  
  31,000     Pentair, Ltd.     1,684,850  
  8,000     Perrigo Co.     955,280  
  16,000     PetSmart, Inc.     1,091,840  
  9,000     Pioneer Natural Resources Co.     1,100,070  
  160,800     PROS Holdings, Inc.(b)     4,167,936  
  156,000     Prosperity Bancshares, Inc.     7,166,640  
  146,000     Proto Labs, Inc.(b)     7,457,680  
  300,000     QLIK Technologies, Inc.(b)     7,803,000  
  370,000     Quality Systems, Inc.     6,611,900  
  61,488     Ram Power Corp.(b)     12,207  
  389,900     Raven Industries, Inc.(d)     13,081,145  
  65,000     RBC Bearings, Inc.(b)     3,126,500  
  450,000     RealPage, Inc.(b)(d)     9,180,000  
  52,000     Red Hat, Inc.(b)     2,492,360  
  650,000     Resolute Energy Corp.(b)(d)     5,993,000  
  88,500     Samsonite International SA     217,824  
  400,000     Sensient Technologies Corp.(d)     15,740,000  
  16,000     Sigma-Aldrich Corp.     1,259,040  
  200,000     Silgan Holdings, Inc.     9,574,000  
  68,557     Sims Metal Management Ltd.     686,565  
  350,000     Snyders-Lance, Inc.(d)     8,813,000  
  50,000     Solera Holdings, Inc.     2,879,000  
  87,000     St. Jude Medical, Inc.     3,586,140  
  250,000     STERIS Corp.     10,397,500  
  65,000     Strayer Education, Inc.     3,078,400  
  25,000     T Rowe Price Group, Inc.     1,812,500  
  100,000     Techne Corp.     6,414,000  
  135,000     Teleflex, Inc.     10,547,550  
  1,175,255     Tenneco, Inc.(b)     45,447,111  
  500,000     TETRA Technologies, Inc.(b)     4,565,000  

 

Shares         Value  
UNITED STATES (continued)        
  82,300     Thompson Creek Metals Co., Inc.(b)   $ 245,891  
  124,000     TIBCO Software, Inc.(b)     2,406,840  
  250,000     TreeHouse Foods, Inc.(b)     15,927,500  
  450,000     Trimas Corp.(b)(d)     13,725,000  
  1,349,690     Tupperware Brands Corp.(d)     108,380,107  
  360,000     UMB Financial Corp.(d)     18,122,400  
  39,856     Ur-Energy, Inc.(b)     34,023  
  300,000     UTi Worldwide, Inc.     4,407,000  
  1,570,000     Varian Medical Systems, Inc.(b)     102,269,800  
  300,000     VCA Antech, Inc.(b)     7,230,000  
  26,000     Verisk Analytics, Inc. - Class A(b)     1,593,540  
  300,000     Volcano Corp.(b)     6,087,000  
  17,000     Waddell & Reed Financial, Inc. - Class A     728,790  
  175,000     Washington Trust Bancorp, Inc.(d)     4,681,250  
  500     WaterFurnace Renewable Energy, Inc.     7,961  
  1,131,151     Waters Corp.(b)(d)     104,518,352  
  206,000     West Pharmaceutical Services, Inc.     13,155,160  
  1,450,000     Western Digital Corp.     80,156,000  
  110,000     WEX, Inc.(b)     8,335,800  
  75,000     Whiting Petroleum Corp.(b)     3,337,500  
  325,000     Wolverine World Wide, Inc.     15,525,250  
  150,000     Woodward, Inc.     5,398,500  
  453,471     Xilinx, Inc.     17,191,086  
  28,000     Zimmer Holdings, Inc.     2,140,600  
              2,444,600,692  
  Total Common Stocks
(Cost $3,857,862,209)
    5,084,703,910  
INVESTMENT COMPANY — 0.5%        
  29,018,700     SEI Daily Income Trust
Government II Fund, Class A,
0.01% (f)
    29,018,700  
  Total Investment Company
(Cost $29,018,700)
    29,018,700  
EXCHANGE TRADED FUNDS — 7.6%        
  1,915,400     iShares MSCI EAFE Small Cap Index Fund     87,208,162  
  1,772,100     iShares MSCI Emerging Markets Index Fund     76,714,209  
  119,861     iShares MSCI Japan Small Cap Index Fund     6,495,268  
  161,000     SPDR Russell Nomura Small Cap Japan Fund     8,351,070  
  1,770,000     SPDR S&P Emerging Markets Small Cap Fund     86,853,900  
  1,889,800     SPDR S&P International Small Cap Fund     59,358,618  
  400,000     Vanguard FTSE All World ex-US Small-Cap ETF     38,712,000  


70
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Shares         Value  
  400,000     Vanguard Small-Cap ETF   $ 36,568,000  
  550,000     WisdomTree Japan Hedged Equity Fund     26,158,000  
  115,000     WisdomTree Japan Small Cap Dividend Fund     5,953,550  
  Total Exchange Traded Funds
(Cost $384,737,775)
    432,372,777  
RIGHTS/WARRANTS — 0.0%        
Banks — 0.0%        
  19,500     Tisco Financial Group Public Co. Ltd. Rights, Expire 6/28/13(b)(d)     20,596  
Consumer Discretionary — 0.0%        
  1,710     Centrebet Litigation Rights(b)(c)(d)     0  
  1,710     Centrebet Litigation Units(b)(c)(d)     0  
  159,274     Seat Pagine Gialles SpA Warrants, Expire 9/8/14(b)(d)     105  
              105  
Consumer Staples — 0.0%        
  9,250     Accell Group NV Coupons, Expire 5/17/13(b)(d)     0  
  801     Africa Israel Investments Ltd. Rights, Expire 5/13/13(b)(d)     2,640  
              2,640  
Diversified Financials — 0.0%        
  13     K&N Kenanga Holdings Berhad Rights, Expire 12/13/13(b)(c)(d)     0  
Energy — 0.0%        
  43,424     Samson Oil & Gas Ltd. Rights, Expire 4/30/13(b)(c)(d)     0  
Health Care — 0.0%        
  505     Clal Biotechnology Industries Ltd. Warrants, Expire 8/5/14(b)(c)(d)     0  
  43,820     Faes Farma SA Rights, Expire 5/3/13(b)     4,790  
  97     Green Cross Corp. Rights, Expire 5/30/13(b)(d)     2,781  
  177,380     Hartalega Holdings Berhad Warrants, Expire 5/29/15(b)     87,451  
  9,600     Ligand Pharmaceuticals Contingent Value Rights, Expire 12/23/12(b)(c)(d)     0  
  143,310     Tong Ren Tang Technologies Co. Ltd. - H Shares Rights, Expire 4/30/13(b)(d)     0  
              95,022  

 

Shares         Value  
Industrials — 0.0%        
  47,325     Aalberts Industries NV Coupons, Expire 5/14/13(b)(d)     0  
  212,660     Dialog Group Berhad Warrants, Expire 2/12/17(b)     29,706  
  10,856     Heijmans NV Coupons, Expire 5/7/13(b)(d)     0  
  143,792     Koninklijke BAM Groep NV Coupons, Expire 5/16/13(b)(d)     0  
  14,713     Koninklijke Ten Cate NV Coupons, Expire 5/13/13(b)(d)     0  
  510     Korea Circuit Co. Ltd. Rights, Expire 5/28/13(b)(d)     2,664  
  23,083     Meyer Burger Technology AG Rights, Expire 5/7/13(b)     19,364  
  93,126     Polimex Mostostal Rights, Expire 10/4/13(b)(d)     0  
  100,323     TNT Express NV Coupons, Expire 5/2/13(b)(d)     0  
              51,734  
Information Technology — 0.0%        
  33,735     BE Semiconductor Industries NV Coupons, Expire 5/8/13(b)(d)     0  
Materials — 0.0%        
  1,767     Duluth Exploration Ltd. Special Warrants, Expire 7/31/13(b)(c)(d)     789  
  62,026     Scana Industrier ASA Rights, Expire 4/24/13(b)(d)     753  
  72,500     Sustainable Forest Holdings Ltd. Rights, Expire 4/25/13(b)(c)(d)     0  
              1,542  
Real Estate — 0.0%        
  192     Atenor Group SA Coupons, Expire 5/22/13(b)(d)     0  
  1,080     Intervest Offices & Warehouses SA Coupons, Expire 5/21/13(b)(d)     0  
  48,475     Mah Sing Group Berhad Warrants, Expire 3/18/18(b)     6,453  
  310,095     Shui On Land Ltd. Rights, Expire 5/3/13(b)     32,767  
  3,065     Warehouses De Pauw SCA Coupons, Expire 5/21/13(b)(d)     0  
              39,220  
Telecommunication Services — 0.0%        
  5,008     Loxley Public Co. Ltd. Warrants(b)(d)     0  
  Total Rights/Warrants
(Cost $16,467)
    210,859  


71
Old Westbury Funds, Inc.  
Global Small & Mid Cap Fund  
Portfolio of Investments - (Continued) April 30, 2013
  (Unaudited)

 

Principal
Amount
        Value  
U.S. GOVERNMENT AGENCIES — 0.6%          
Federal Home Loan Bank — 0.6%          
$10,000,000     0.02%, 05/20/2013(g)     $ 9,999,894  
4,000,000     0.05%, 05/24/2013(g)       4,000,000  
20,000,000     0.07%, 05/08/2013(g)       19,999,728  
                 
Total U.S. Government Agencies
(Cost $33,999,622)
      33,999,622  
U.S. GOVERNMENT SECURITIES — 0.3%          
U.S. Treasury Bills — 0.3%          
$9,000,000     0.03%, 05/02/2013(g)       8,999,990  
9,000,000     0.04%, 05/16/2013(g)       8,999,857  
                 
Total U.S. Government Securities
(Cost $17,999,847)
      17,999,847  

 

Shares            
CASH SWEEP — 1.0%        
58,305,154    Citibank - US Dollars on Deposit in Custody Account, 0.02%(f)     58,305,154  
Total Cash Sweep
(Cost $58,305,154)
    58,305,154  
TOTAL INVESTMENTS — 99.3%        
(Cost $4,381,939,774)(a)     5,656,610,869  
OTHER ASSETS IN EXCESS OF LIABILITIES — 0.7%     41,159,525  
NET ASSETS — 100.0%   $ 5,697,770,394  
 
(a)   Cost for federal income tax purposes is $4,387,247,606 and net unrealized appreciation of investments is as follows:
   
Unrealized appreciation $1,412,737,897
Unrealized depreciation (143,374,634)
Net unrealized appreciation $1,269,363,263

 

(b) Non-income producing security.  
(c) Fair valued security under procedures established by the Fund’s Board of Directors. The aggregate value of fair val- ued securities is $3,167,969, which is 0.06% of net assets and the cost is $4,668,006.  
(d) This security is considered either fully or partially illiquid. These securities, or portions thereof have a value of $490,675,680 or 8.61% of net assets.  

 

(e) Securities incorporated in the same country but traded on different exchanges.
(f) Rate shown represents current yield at April 30, 2013.
(g) The rate represents the annualized yield at time of purchase.

 

ADR — American Depositary Receipt
BDR — Brazilian Depositary Receipt
CDI — CHESS Depositary Interests
CPO — Certificate of Participation-Common
CVR — Contingent Value Rights
DVR — Differential Voting Rights
FOR — Foreign Ownership Restrictions
NVDR — Non Voting Depositary Receipt
PDR — Phillippine Depositary Receipt
REIT — Real Estate Investment Trust
SDR — Swedish Depositary Receipt
VVPR — Voter Verified Paper Record

 

Portfolio diversification by Sector (Unaudited)

 

        Percentage
  Sector     of Net Assets
  Banks       2.2 %
  Consumer Discretionary       13.6 %
  Consumer Staples       5.7 %
  Diversified Financials       1.4 %
  Energy       4.6 %
  Health Care       13.1 %
  Industrials       17.1 %
  Information Technology       13.3 %
  Insurance       4.0 %
  Materials       9.8 %
  Real Estate       2.8 %
  Telecommunication Services       0.5 %
  Utilities       1.1 %
  Other*       10.8 %
  Total       100.0 %
 

*       Includes cash and equivalents, exchange traded funds, rights/warrants, U.S. government agencies and securities, investment companies, pending trades and Fund share transactions, interest and dividends receivable, prepaids, and accrued expenses payable.


72
(b) Not applicable.

 

Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.
   
Not applicable.
   
Item 8. Portfolio Managers of Closed-End Management Investment Companies.
   
Not applicable.
   
Item 9. Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.
   
Not applicable.
   
Item 10. Submission of Matters to a Vote of Security Holders.

 

There have been no material changes to the procedures by which the shareholders may recommend nominees to the registrant’s board of directors, where those changes were implemented after the registrant last provided disclosure in response to the requirements of Item 407(c)(2)(iv) of Regulation S-K (17 CFR 229.407) (as required by Item 22(b)(15) of Schedule 14A (17 CFR 240.14a-101)), or this Item.

 

Item 11. Controls and Procedures.

 

(a) The registrant’s principal executive and principal financial officers, or persons performing similar functions, have concluded that the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “1940 Act”) (17 CFR 270.30a-3(c))) are effective, as of a date within 90 days of the filing date of the report that includes the disclosure required by this paragraph, based on their evaluation of these controls and procedures required by Rule 30a-3(b) under the 1940 Act (17 CFR 270.30a-3(b)) and Rules 13a-15(b) or 15d-15(b) under the Securities Exchange Act of 1934, as amended (17 CFR 240.13a-15(b) or 240.15d-15(b)).

 

(b) There were no changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act (17 CFR 270.30a-3(d)) that occurred during the registrant’s second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.

 

Item 12. Exhibits.

 

(a) (1) Not applicable.
     
(a) (2) Certifications pursuant to Rule 30a-2(a) under the 1940 Act (17 CFR 270.30a-2(a)) are attached hereto.

 

(a) (3) Not applicable.

 

(b) Certifications pursuant to Rule 30a-2(b) under the 1940 Act (17 CFR 270.30a-2(b)) are attached hereto.
 

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)     Old Westbury Funds, Inc.  
         
By (Signature and Title)*   /s/ David W. Rossmiller  
      David W. Rossmiller, President  
      (Principal Executive Officer)  
         
Date    6/24/13    

 

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 (Signature and Title)*   /s/ David W. Rossmiller  
      David W. Rossmiller, President  
      (Principal Executive Officer)  
         
Date    6/24/13    

 

By (Signature and Title)*   /s/ Peter C. Artemiou  
      Peter C. Artemiou, Treasurer  
      (Principal Financial Officer)  
         
Date    6/24/13      

 

* Print the name and title of each signing officer under his or her signature.