EquiTrust Investment Management Services

FBL Investment Management Services as of March 31, 2013

Portfolio Holdings for FBL Investment Management Services

FBL Investment Management Services holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing

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                                                                      Item 6:Inv Discretion
             Item 1:              Item 2: Item 3:  Item 4:   Item 5:  (a)Sole(b)Share(c)ShareItem 7Item 8:
                                   Title            Total                    as def.  Other        Voting Auth (Shares)
          Name of Issuer          of Clas  Cusip   Mktvalue  Shares          Instr.V          Mgrs (a)Sole(b)Share(c)None
ALLSTATE CORP                     PFD    020002309    2,094     80,000   x                            x
BANK OF AMERICA                   PFD    060505831    1,522     60,000   x                            x
COBANK                            PFD    19075Q805    5,314     50,000   x                            x
DIAMOND HILL SMALL CAP FD - I     MF     25264S858    1,493     50,829   x                            x
ENTERGY ARKANSAS                  PFD    29364D761    1,012     40,000   x                            x
ENTERGY MISSISSIPPI INC           PFD    29364N850    1,251     50,000   x                            x
FEDERATED CAP APPRECIAT-IS        COM    314172396    2,013     94,065   x                            x
FEDERATED BOND FUND               COM    31420F509    1,049    109,059   x                            x
FEDERATED TOTAL RETURN BD-IS      COM    31428Q101      156     13,738   x                            x
FIFTH STREET FINANCE CORP         PFD    31679B308        0    200,000   x                            x
FIRST AMERICAN                    MF     31846V567   11,252 11,251,554   x                            x
FRANKLIN GROWTH FUND              MF     353496839    2,222     40,799   x                            x
T ROWE PRICE INST LARGE CAP       MF     45775L200    3,371    212,576   x                            x
ISHARES                           MF     464287101    2,029     28,810   x                            x
ISHARES                           MF     464287200   13,524     85,945   x                            x
ISHARES                           COM    464287226      288      2,605   x                            x
ISHARES                           MF     464287242    1,023      8,530   x                            x
ISHARES                           MF     464287465    8,501    144,135   x                            x
ISHARES                           MF     464287564    2,220     26,920   x                            x
ISHARES                           MF     464287598   11,011    135,650   x                            x
ISHARES                           MF     464287614    2,916     40,855   x                            x
ISHARES                           MF     464287630   10,315    123,075   x                            x
ISHARES                           MF     464287648    8,611     80,000   x                            x
ISHARES                           MF     464288588      632      5,857   x                            x
ISHARES                           MF     464288869    1,135     19,355   x                            x
JP MORGAN CHASE & CO              PFD    46625HHA1    1,149      1,000   x                            x
JPMORGAN US TREAS PL  MMK-AG      MF     4812C2$12   85,180 85,180,311   x                            x
JPMORGAN US TREAS PL  MMK-AG      MF     4812C2$J9   59,594 59,594,314   x                            x
M^T BANK CORP                     PFD    55261F708    5,300      5,000   x                            x
MERIDIAN GROWTH FUND INC          MF     589619105    3,300     75,319   x                            x
METLIFE INC                       PFD    59156R504    1,511     60,000   x                            x
NORTHERN INSTL                    MF     665278$PW       56     56,025   x                            x
NORTHERN INSTL                    MF     665278107    6,405  6,405,034   x                            x
PNC FINANCIAL SERVICES            PFD    693475857    6,364    230,000   x                            x
PNC FINANCIAL SERVICES            PFD    693475AJ4    4,527      4,500   x                            x
POWERSHARES                       MF     73935S105    1,317     48,215   x                            x
T ROWE PRICE GROWTH STOCK FUND    MF     741479109    2,485     61,046   x                            x
PRINCIPAL FINANCIAL GROUP         PFD    74251V201    5,985     60,000   x                            x
PRINCIPAL FINANCIAL GROUP         PFD    74251V300    5,304    200,000   x                            x
REINSURANCE GROUP OF AMERICA      PFD    759351703    5,446    200,000   x                            x
STANDARD AND POORS 500 INDEX      COM    78462F103    4,966     31,695   x                            x
SPDR                              MF     78463X509      860     13,177   x                            x
SPDR                              MF     78463X863      978     22,749   x                            x
SPDR                              MF     78463X871      724     23,618   x                            x
SPDR BARCLAYS HIGH YIELD          MF     78464A417    4,152    101,000   x                            x
SOUTHERN CALIFORNIA EDISON        PFD    842400756    1,232     12,186   x                            x
U S BANCORP                       PFD    902973817    7,795    280,000   x                            x
U S BANCORP                       PFD    902973833    5,375    180,000   x                            x
U S BANCORP                       PFD    902973866    1,836      2,000   x                            x
VANGUARD MEGA CAP                 MF     921910816    7,116    118,500   x                            x
VANGUARD                          MF     921943858    1,212     33,273   x                            x
VANGUARD WINDSOR II               MF     922018304    2,674     46,486   x                            x
VANGUARD                          MF     922031794      213     19,664   x                            x
VANGUARD                          MF     922031810      432     42,361   x                            x
VANGUARD INDEX FUNDS MSCI EMER    MF     922042841    1,821     50,935   x                            x
VANGUARD INDEX FUNDS MSCI EMER    MF     922042858    7,314    170,510   x                            x
VANGUARD                          MF     92206C409    6,997     87,100   x                            x
VANGUARD                          MF     92206C870    1,603     18,350   x                            x
VANGUARD                          MF     922908512    1,405     20,904   x                            x
VANGUARD                          MF     922908538    1,298     16,853   x                            x
VANGUARD                          MF     922908553    1,467     20,797   x                            x
VANGUARD                          MF     922908595    1,301     13,020   x                            x
VANGUARD                          MF     922908611    1,318     16,047   x                            x
VANGUARD                          MF     922908736    7,248     93,516   x                            x
VANGUARD                          MF     922908744    2,750     41,971   x                            x
WACHOVIA PFD FUNDING              PFD    92977V206      986     36,000   x                            x
                                                    363,953