0001145549-21-055781.txt : 20210923 0001145549-21-055781.hdr.sgml : 20210923 20210923110332 ACCESSION NUMBER: 0001145549-21-055781 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210731 FILED AS OF DATE: 20210923 PERIOD START: 20211031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: AMERICAN CENTURY MUTUAL FUNDS, INC. CENTRAL INDEX KEY: 0000100334 IRS NUMBER: 446006315 STATE OF INCORPORATION: MD FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-00816 FILM NUMBER: 211271455 BUSINESS ADDRESS: STREET 1: 4500 MAIN STREET CITY: KANSAS CITY STATE: MO ZIP: 64111 BUSINESS PHONE: 816-531-5575 MAIL ADDRESS: STREET 1: 4500 MAIN STREET CITY: KANSAS CITY STATE: MO ZIP: 64111 FORMER COMPANY: FORMER CONFORMED NAME: AMERICAN CENTURY MUTUAL FUNDS INC DATE OF NAME CHANGE: 19970107 FORMER COMPANY: FORMER CONFORMED NAME: TWENTIETH CENTURY INVESTORS INC DATE OF NAME CHANGE: 19920703 0000100334 S000006192 BALANCED FUND C000017045 INVESTOR CLASS TWBIX C000017047 I CLASS ABINX C000189734 R5 CLASS ABGNX NPORT-P 1 primary_doc.xml NPORT-P false 0000100334 XXXXXXXX S000006192 C000017045 C000017047 C000189734 American Century Mutual Funds, Inc. 811-00816 0000100334 549300DMFK0SMVLOE939 4500 Main St Kansas City 64111 816-531-5575 Balanced Fund S000006192 TEE5XU4ZMMYOHLLT7896 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I07WOS4YJ0N7YRFE7309 Raytheon Technologies Corp 4.13 11/16/2028 913017CY3 570000.0000000000 PA USD 661821.5900000000 0.0600625861 Long DBT CORP US N 2 2028-11-16 Fixed 4.125000000000000 N N N N N N Regents of the University of California Medical Center Pooled Revenue N/A Regents of the University of California Medical Center Pooled Revenue 3.26% 05/15/2060 913366KC3 245000.0000000000 PA USD 271406.4200000000 0.0246310663 Long DBT MUN US N 2 2060-05-15 Fixed 3.256000000000000 N N N N N N Universal Health Services Inc 549300YGMGQDO0NMJD09 Universal Health Services Inc 2.65 10/15/2030 913903AV2 330000.0000000000 PA USD 336284.8500000000 0.0305190070 Long DBT CORP US N 2 2030-10-15 Fixed 2.650000000000000 N N N N N N Viatris Inc 254900ZZTSW7NL773X71 Viatris Inc 2.70 06/22/2030 91533BAD2 342000.0000000000 PA USD 351566.9400000000 0.0319059093 Long DBT CORP US N 2 2030-06-22 Fixed 2.700000000000000 N N N N N N Viatris Inc 254900ZZTSW7NL773X71 Viatris Inc 4.00 06/22/2050 91533BAF7 139000.0000000000 PA USD 150913.4500000000 0.0136959148 Long DBT CORP US N 2 2050-06-22 Fixed 4.000000000000000 N N N N N N VSE 2018-A Voi Mortgage LLC 549300E4XED7XGXU7L27 VSE 2018-A Voi Mortgage LLC 3.72 918286AB1 337811.0700000000 PA USD 353999.4200000000 0.0321266652 Long ABS-MBS CORP US N 2 2036-02-20 Fixed 3.720000000000000 N N N N N N VSE 2016-A VOI Mortgage LLC N/A VSE 2016-A VOI Mortgage LLC 2.54 918290AA5 159330.7900000000 PA USD 159459.3100000000 0.0144714810 Long ABS-MBS CORP US N 2 2033-07-20 Fixed 2.540000000000000 N N N N N N Verizon Communications Inc 2S72QS2UO2OESLG6Y829 Verizon Communications Inc 4.33 09/21/2028 92343VER1 298000.0000000000 PA USD 349968.1600000000 0.0317608145 Long DBT CORP US N 2 2028-09-21 Fixed 4.329000000000001 N N N N N N Verizon Communications Inc 2S72QS2UO2OESLG6Y829 Verizon Communications Inc 1.75 01/20/2031 92343VFR0 680000.0000000000 PA USD 661055.8900000000 0.0599930962 Long DBT CORP US N 2 2031-01-20 Fixed 1.750000000000000 N N N N N N Verizon Communications Inc 2S72QS2UO2OESLG6Y829 Verizon Communications Inc 2.65 11/20/2040 92343VFT6 576000.0000000000 PA USD 564708.4700000000 0.0512492364 Long DBT CORP US N 2 2040-11-20 Fixed 2.650000000000000 N N N N N N Verizon Communications Inc 2S72QS2UO2OESLG6Y829 Verizon Communications Inc 2.99 10/30/2056 92343VFW9 215000.0000000000 PA USD 209508.2200000000 0.0190135917 Long DBT CORP US N 2 2056-10-30 Fixed 2.987000000000000 N N N N N N Verus Securitization Trust 2021-R2 N/A Verus Securitization Trust 2021-R2 1.12 92538DAC3 503154.1800000000 PA USD 505781.2500000000 0.0459013885 Long ABS-MBS CORP US N 2 2064-02-25 Variable 1.124000000000000 N N N N N N Verus Securitization Trust 2021-R2 N/A Verus Securitization Trust 2021-R2 1.23 92538DAD1 575373.4700000000 PA USD 578371.7400000000 0.0524892252 Long ABS-MBS CORP US N 2 2064-02-25 Variable 1.227000000000000 N N N N N N ViacomCBS Inc 5KYC8KF17ROCY24M3H09 ViacomCBS Inc 4.38 03/15/2043 92553PAP7 265000.0000000000 PA USD 314068.5700000000 0.0285028032 Long DBT CORP US N 2 2043-03-15 Fixed 4.375000000000000 N N N N N N Virginia Electric and Power Co CQKUMNNZVDJLRYV2PT43 Virginia Electric and Power Co 2.45 12/15/2050 927804GD0 407000.0000000000 PA USD 385182.7400000000 0.0349566588 Long DBT CORP US N 2 2050-12-15 Fixed 2.450000000000000 N N N N N N Vodafone Group PLC 213800TB53ELEUKM7Q61 Vodafone Group PLC 4.13 06/04/2081 92857WBW9 900000.0000000000 PA USD 909000.0000000000 0.0824948772 Long DBT CORP GB N 2 2081-06-04 Variable 4.125000000000000 N N N N N N Vontier Corp N/A Vontier Corp 1.80 04/01/2026 928881AA9 175000.0000000000 PA USD 176058.1300000000 0.0159778810 Long DBT CORP US N 2 2026-04-01 Fixed 1.800000000000000 N N N N N N Vornado Realty LP 549300BMOJ05INE4YK86 Vornado Realty LP 3.40 06/01/2031 929043AL1 454000.0000000000 PA USD 479939.4900000000 0.0435561598 Long DBT CORP US N 2 2031-06-01 Fixed 3.400000000000000 N N N N N N Voya CLO Ltd 254900BX8JWP19STEK83 Voya CLO 2016-4 Ltd 1.68 92915TAS6 1093600.4500000000 PA USD 1092401.3200000000 0.0991391779 Long ABS-CBDO CORP US N 2 2029-07-20 Variable 1.684250000000000 N N N N N N Voya CLO Ltd 5493007ASGBOUR3XJY69 Voya CLO 2013-2 Ltd 1.10 92916WAA7 700000.0000000000 PA USD 696672.8300000000 0.0632254561 Long ABS-CBDO CORP US N 2 2031-04-25 Variable 1.095250000000000 N N N N N N WEC Energy Group Inc 549300IGLYTZUK3PVP70 WEC Energy Group Inc 1.38 10/15/2027 92939UAD8 490000.0000000000 PA USD 487342.4700000000 0.0442280057 Long DBT CORP US N 2 2027-10-15 Fixed 1.375000000000000 N N N N N N Walmart Inc Y87794H0US1R65VBXU25 Walmart Inc 4.05 06/29/2048 931142EC3 210000.0000000000 PA USD 268044.8500000000 0.0243259923 Long DBT CORP US N 2 2048-06-29 Fixed 4.050000000000000 N N N N N N State of Washington 549300X3TODFMUKLQ364 State of Washington 5.14% 08/01/2040 93974CRE2 20000.0000000000 PA USD 28419.7900000000 0.0025791937 Long DBT MUN US N 2 2040-08-01 Fixed 5.140000000000000 N N N N N N Waste Connections Inc 549300HDLRTPBQU69P29 Waste Connections Inc 2.60 02/01/2030 94106BAA9 270000.0000000000 PA USD 284780.1300000000 0.0258447765 Long DBT CORP US N 2 2030-02-01 Fixed 2.600000000000000 N N N N N N Waste Management Inc 549300YX8JIID70NFS41 Waste Management Inc 2.50 11/15/2050 94106LBM0 150000.0000000000 PA USD 144859.9100000000 0.0131465352 Long DBT CORP US N 2 2050-11-15 Fixed 2.500000000000000 N N N N N N Wells Fargo Mortgage Backed Securities 2007-13 Trust N/A Wells Fargo Mortgage Backed Securities 2007-13 Trust 6.00 94985LAA3 668.4700000000 PA USD 682.0200000000 0.0000618957 Long ABS-MBS CORP US N 2 2037-09-25 Fixed 6.000000000000000 N N N N N N Wells Fargo & Co PBLD0EJDB5FWOLXP3B76 Wells Fargo & Co 3.07 04/30/2041 95000U2Q5 605000.0000000000 PA USD 635350.7000000000 0.0576602618 Long DBT CORP US N 2 2041-04-30 Variable 3.068000000000000 N N N N N N Wells Fargo & Co PBLD0EJDB5FWOLXP3B76 Wells Fargo & Co 2.39 06/02/2028 95000U2S1 415000.0000000000 PA USD 434653.9600000000 0.0394463422 Long DBT CORP US N 2 2028-06-02 Variable 2.393000000000000 N N N N N N Welltower Inc T6IZ0MBEG5ACZDTR7D06 Welltower Inc 2.80 06/01/2031 95040QAM6 635000.0000000000 PA USD 671876.7000000000 0.0609751220 Long DBT CORP US N 2 2031-06-01 Fixed 2.800000000000000 N N N N N N Wendy's Funding LLC 5493009DRVSTWJOXUL48 Wendy's Funding LLC 2.37 95058XAK4 800000.0000000000 PA USD 817241.7600000000 0.0741675012 Long ABS-MBS CORP US N 2 2051-06-15 Fixed 2.370000000000000 N N N N N N Western Digital Corp 549300QQXOOYEF89IC56 Western Digital Corp 4.75 02/15/2026 958102AM7 753000.0000000000 PA USD 836771.2500000000 0.0759398697 Long DBT CORP US N 2 2026-02-15 Fixed 4.750000000000000 N N N N N N WestRock Co 549300JEB576INN13W07 WRKCo Inc 3.00 09/15/2024 96145DAB1 201000.0000000000 PA USD 213535.9800000000 0.0193791248 Long DBT CORP US N 2 2024-09-15 Fixed 3.000000000000000 N N N N N N Wind River CLO Ltd N/A THL Credit Wind River 2013-2 CLO Ltd 0.00 97314CAC4 1150000.0000000000 PA USD 1148419.1000000000 0.1042229842 Long ABS-CBDO CORP US N 2 2030-10-18 Variable 0.000000000000000 N N N N N N Xcel Energy Inc LGJNMI9GH8XIDG5RCM61 Xcel Energy Inc 3.40 06/01/2030 98389BAY6 330000.0000000000 PA USD 368100.4000000000 0.0334063777 Long DBT CORP US N 2 2030-06-01 Fixed 3.400000000000000 N N N N N N Zimmer Biomet Holdings Inc 2P2YLDVPES3BXQ1FRB91 Zimmer Biomet Holdings Inc 3.55 03/20/2030 98956PAT9 180000.0000000000 PA USD 200820.2700000000 0.0182251304 Long DBT CORP US N 2 2030-03-20 Fixed 3.550000000000000 N N N N N N S&P 500 EMINI FUTURES N/A S&P500 EMINI FUT Sep21 N/A 50.0000000000 NC USD -31804.2500000000 -0.0028863451 N/A DE CORP US N 1 Goldman Sachs FOR8UP27PHTHYVLBNG30 Long S&P500 EMINI FUT S&P500 EMINI FUT Sep21 2021-09-17 11005554.2500000000 USD -31804.2500000000 N N N CBOT US Long Bond Future N/A US LONG BOND(CBT) Sep21 N/A 36.0000000000 NC USD 218957.2100000000 0.0198711201 N/A DIR UST US N 1 Bank of America B4TYDEB6GKMZO031MB27 Long US LONG BOND(CBT) US LONG BOND(CBT) Sep21 2021-09-21 5710917.7900000000 USD 218957.2100000000 N N N CBOT 10 Year US Treasury Note N/A US 10YR NOTE (CBT)Sep21 N/A -26.0000000000 NC USD -6216.5700000000 -0.0005641751 N/A DIR UST US N 1 Bank of America B4TYDEB6GKMZO031MB27 Short US 10YR NOTE (CBT) US 10YR NOTE (CBT)Sep21 2021-09-21 -3489564.6800000000 USD -6216.5700000000 N N N CBOT 2 Year US Treasury Note N/A US 2YR NOTE (CBT) Sep21 N/A 53.0000000000 NC USD 11591.9800000000 0.0010520121 N/A DIR UST US N 1 Bank of America B4TYDEB6GKMZO031MB27 Long US 2YR NOTE (CBT) US 2YR NOTE (CBT) Sep21 2021-09-30 11683189.2700000000 USD 11591.9800000000 N N N CBOT 5 Year US Treasury Note N/A US 5YR NOTE (CBT) Sep21 N/A 73.0000000000 NC USD 18334.2700000000 0.0016638981 N/A DIR UST US N 1 Bank of America B4TYDEB6GKMZO031MB27 Long US 5YR NOTE (CBT) US 5YR NOTE (CBT) Sep21 2021-09-30 9066173.5800000000 USD 18334.2700000000 N N N CME Ultra Long Term US Treasury N/A US ULTRA BOND CBT Sep21 N/A 10.0000000000 NC USD 9699.2500000000 0.0008802403 N/A DIR UST US N 1 Bank of America B4TYDEB6GKMZO031MB27 Long US ULTRA BOND CBT US ULTRA BOND CBT Sep21 2021-09-21 1985613.2500000000 USD 9699.2500000000 N N N Intercontinental Exchange Inc 5493000F4ZO33MV32P92 MARKIT CDX.NA.HY.36 06/26 SP5000G29 9500000.0000000000 OU Swap Contract Amount USD -879519.0199999996 -0.0798193768 N/A DCR CORP US N 2 2026-06-20 None 0.000000000000000 N N N Bank of America B4TYDEB6GKMZO031MB27 Markit CDX North America High Yield Index Markit CDX North America High Yield Index Series 36 Y 2026-06-20 0.000000000000 USD 888813.250000000000 USD 9500000.0000000000 USD 9294.23 N N N LCH.Clearnet Group Ltd WAM6YERMS7OXFZUOY219 ZC 2.40 02/09/31 SL4Q5YTT0 2000000.0000000000 OU Swap Contract Amount USD 76061.84000000008 0.0069028737 N/A DCO CORP US N 2 2031-02-09 None 0.000000000000000 N N N Bank of America B4TYDEB6GKMZO031MB27 U.S. CPI Urban Consumers NSA Index U.S. CPI Urban Consumers NSA Index Y 2031-02-09 521.600000000093 USD 0.000000000000 USD 2000000.0000000000 USD 75540.24 N N N LCH.Clearnet Group Ltd WAM6YERMS7OXFZUOY219 ZC 2.30 02/24/26 SLPU286T3 4000000.0000000000 OU Swap Contract Amount USD 163876.68000000017 0.0148723725 N/A DCO CORP US N 2 2026-02-24 None 0.000000000000000 N N N Bank of America B4TYDEB6GKMZO031MB27 U.S. CPI Urban Consumers NSA Index U.S. CPI Urban Consumers NSA Index Y 2026-02-24 524.399999999906 USD 0.000000000000 USD 4000000.0000000000 USD 163352.28 N N N LCH.Clearnet Group Ltd WAM6YERMS7OXFZUOY219 ZC 2.33 02/08/26 SLP40POC2 4000000.0000000000 OU Swap Contract Amount USD 160526.95999999996 0.0145683739 N/A DCO CORP US N 2 2026-02-08 None 0.000000000000000 N N N Bank of America B4TYDEB6GKMZO031MB27 U.S. CPI Urban Consumers NSA Index U.S. CPI Urban Consumers NSA Index Y 2026-02-08 524.399999999906 USD 0.000000000000 USD 4000000.0000000000 USD 160002.56 N N N LCH.Clearnet Group Ltd WAM6YERMS7OXFZUOY219 ZC 2.34 02/05/26 SLZE0KK26 4000000.0000000000 OU Swap Contract Amount USD 160021.04000000004 0.0145224599 N/A DCO CORP US N 2 2026-02-05 None 0.000000000000000 N N N Bank of America B4TYDEB6GKMZO031MB27 U.S. CPI Urban Consumers NSA Index U.S. CPI Urban Consumers NSA Index Y 2026-02-05 524.399999999906 USD 0.000000000000 USD 4000000.0000000000 USD 159496.64 N N N LCH.Clearnet Group Ltd WAM6YERMS7OXFZUOY219 ZC 1.78 08/05/24 SL0W0ESZ7 3500000.0000000000 OU Swap Contract Amount USD 189200.7999999998 0.0171706235 N/A DCO CORP US N 2 2024-08-05 None 0.000000000000000 N N N Bank of America B4TYDEB6GKMZO031MB27 U.S. CPI Urban Consumers NSA Index U.S. CPI Urban Consumers NSA Index Y 2024-08-05 0.000000000000 USD 528.350000000093 USD 3500000.0000000000 USD 189729.15 N N N 2021-09-23 American Century Mutual Funds, Inc. Amy R. Bitter Amy R. Bitter Assistant Treasurer XXXX NPORT-EX 2 acvc_balancedfund.htm PART F Document

American Century Investments®
Quarterly Portfolio Holdings
Balanced Fund
July 31, 2021



Balanced - Schedule of Investments
JULY 31, 2021 (UNAUDITED)
Shares/
Principal Amount ($)
Value ($)
COMMON STOCKS — 59.8%


Aerospace and Defense — 0.8%
Huntington Ingalls Industries, Inc.13,843 2,839,614 
Northrop Grumman Corp.16,086 5,839,540 
8,679,154 
Air Freight and Logistics — 0.7%
FedEx Corp.28,831 8,071,238 
Auto Components — 0.3%
Magna International, Inc.44,923 3,765,895 
Automobiles — 1.0%
Ford Motor Co.(1)
428,314 5,974,981 
Tesla, Inc.(1)
7,776 5,343,667 
11,318,648 
Banks — 1.0%
JPMorgan Chase & Co.25,175 3,821,061 
Wells Fargo & Co.146,122 6,712,845 
10,533,906 
Biotechnology — 2.8%
AbbVie, Inc.110,273 12,824,750 
Exelixis, Inc.(1)
149,034 2,511,223 
Incyte Corp.(1)
29,250 2,262,487 
Moderna, Inc.(1)
28,688 10,144,077 
Regeneron Pharmaceuticals, Inc.(1)
5,707 3,279,299 
31,021,836 
Building Products — 1.0%
AO Smith Corp.37,426 2,632,171 
Carrier Global Corp.80,067 4,423,702 
Masco Corp.27,633 1,649,966 
Owens Corning28,244 2,715,943 
11,421,782 
Capital Markets — 1.6%
Cboe Global Markets, Inc.23,702 2,807,976 
Goldman Sachs Group, Inc. (The)6,659 2,496,326 
Morgan Stanley73,416 7,046,468 
T. Rowe Price Group, Inc.25,376 5,180,764 
17,531,534 
Chemicals — 0.9%
Chemours Co. (The)83,144 2,764,538 
Eastman Chemical Co.32,819 3,699,357 
Sherwin-Williams Co. (The)13,291 3,868,080 
10,331,975 
Commercial Services and Supplies — 0.2%
ABM Industries, Inc.41,390 1,924,221 
Communications Equipment — 0.8%
Arista Networks, Inc.(1)
6,153 2,340,540 
Motorola Solutions, Inc.6,137 1,374,197 
Nokia Oyj(1)
860,218 5,285,471 
9,000,208 
Construction and Engineering — 0.4%
EMCOR Group, Inc.19,105 2,327,180 



MasTec, Inc.(1)
23,223 2,350,864 
4,678,044 
Containers and Packaging — 0.3%
WestRock Co.56,845 2,797,342 
Distributors — 0.2%
LKQ Corp.(1)
40,177 2,038,983 
Diversified Financial Services — 0.5%
Berkshire Hathaway, Inc., Class B(1)
18,895 5,258,290 
Diversified Telecommunication Services — 0.2%
Lumen Technologies, Inc.208,170 2,595,880 
Electrical Equipment — 1.1%
Eaton Corp. plc38,707 6,117,641 
nVent Electric plc84,422 2,668,579 
Regal Beloit Corp.22,002 3,239,355 
12,025,575 
Electronic Equipment, Instruments and Components — 0.2%
Cognex Corp.27,209 2,459,966 
Entertainment — 0.7%
Electronic Arts, Inc.36,104 5,197,532 
Take-Two Interactive Software, Inc.(1)
14,728 2,554,130 
7,751,662 
Equity Real Estate Investment Trusts (REITs) — 0.7%
Prologis, Inc.58,370 7,473,695 
Food and Staples Retailing — 0.8%
Kroger Co. (The)126,882 5,164,098 
Walmart, Inc.21,471 3,060,691 
8,224,789 
Food Products — 0.7%
Tyson Foods, Inc., Class A108,102 7,724,969 
Health Care Equipment and Supplies — 1.0%
Danaher Corp.35,641 10,602,841 
Health Care Providers and Services — 3.1%
AMN Healthcare Services, Inc.(1)
44,646 4,489,602 
HCA Healthcare, Inc.35,264 8,752,525 
Humana, Inc.8,165 3,477,147 
McKesson Corp.28,163 5,740,464 
Molina Healthcare, Inc.(1)
15,771 4,305,641 
UnitedHealth Group, Inc.17,625 7,265,377 
34,030,756 
Health Care Technology — 0.2%
Cerner Corp.31,135 2,502,943 
Hotels, Restaurants and Leisure — 0.8%
Starbucks Corp.49,043 5,955,292 
Yum! Brands, Inc.20,101 2,641,070 
8,596,362 
Household Durables — 0.5%
Mohawk Industries, Inc.(1)
26,412 5,147,699 
Household Products — 0.2%
Kimberly-Clark Corp.19,861 2,695,535 
Interactive Media and Services — 4.5%
Alphabet, Inc., Class A(1)
9,107 24,539,085 
Alphabet, Inc., Class C(1)
2,474 6,690,735 
Facebook, Inc., Class A(1)
52,598 18,740,667 
49,970,487 



Internet and Direct Marketing Retail — 1.9%
Amazon.com, Inc.(1)
6,217 20,687,627 
IT Services — 3.7%
Accenture plc, Class A39,061 12,408,898 
Akamai Technologies, Inc.(1)
45,525 5,459,358 
Amdocs Ltd.20,146 1,553,458 
Gartner, Inc.(1)
14,201 3,759,431 
International Business Machines Corp.44,679 6,297,952 
Mastercard, Inc., Class A8,734 3,370,800 
PayPal Holdings, Inc.(1)
28,936 7,972,736 
40,822,633 
Leisure Products — 0.2%
Polaris, Inc.12,443 1,630,904 
Life Sciences Tools and Services — 0.1%
Bruker Corp.17,876 1,470,301 
Machinery — 0.5%
AGCO Corp.17,649 2,331,609 
Timken Co. (The)42,619 3,388,211 
5,719,820 
Media — 1.6%
Altice USA, Inc., Class A(1)
175,499 5,393,084 
Charter Communications, Inc., Class A(1)
5,066 3,769,358 
Comcast Corp., Class A152,047 8,944,925 
18,107,367 
Multiline Retail — 0.9%
Target Corp.39,023 10,186,954 
Paper and Forest Products — 0.1%
Louisiana-Pacific Corp.18,621 1,032,348 
Personal Products — 0.4%
Edgewell Personal Care Co.40,562 1,666,287 
Unilever plc55,580 3,198,716 
4,865,003 
Pharmaceuticals — 1.3%
Bristol-Myers Squibb Co.129,425 8,784,075 
Pfizer, Inc.129,671 5,551,215 
14,335,290 
Professional Services — 0.5%
ManpowerGroup, Inc.32,707 3,878,396 
Robert Half International, Inc.18,748 1,841,241 
5,719,637 
Road and Rail — 0.7%
Landstar System, Inc.7,027 1,103,239 
Ryder System, Inc.47,225 3,596,184 
Werner Enterprises, Inc.72,417 3,310,181 
8,009,604 
Semiconductors and Semiconductor Equipment — 4.0%
Advanced Micro Devices, Inc.(1)
71,945 7,639,839 
Applied Materials, Inc.49,045 6,862,867 
Broadcom, Inc.13,830 6,713,082 
NVIDIA Corp.17,536 3,419,345 
NXP Semiconductors NV36,543 7,542,110 
Qorvo, Inc.(1)
8,789 1,666,306 
QUALCOMM, Inc.49,782 7,457,344 
STMicroelectronics NV, (New York)53,290 2,199,278 
43,500,171 



Software — 8.4%
Adobe, Inc.(1)
18,582 11,551,129 
Autodesk, Inc.(1)
28,663 9,204,549 
Dropbox, Inc., Class A(1)
116,033 3,653,879 
Fortinet, Inc.(1)
26,875 7,316,450 
HubSpot, Inc.(1)
4,443 2,648,117 
Microsoft Corp.145,488 41,450,986 
Oracle Corp. (New York)51,092 4,452,157 
Palo Alto Networks, Inc.(1)
11,898 4,747,897 
salesforce.com, Inc.(1)
30,924 7,481,443 
92,506,607 
Specialty Retail — 4.1%
AutoNation, Inc.(1)
47,190 5,725,563 
AutoZone, Inc.(1)
1,437 2,333,070 
Best Buy Co., Inc.81,373 9,142,257 
Home Depot, Inc. (The)28,178 9,247,738 
L Brands, Inc.25,922 2,075,574 
Lithia Motors, Inc.7,900 2,980,038 
Lowe's Cos., Inc.31,845 6,136,213 
O'Reilly Automotive, Inc.(1)
1,624 980,636 
RH(1)
2,436 1,617,699 
Ross Stores, Inc.26,551 3,257,542 
Williams-Sonoma, Inc.7,643 1,159,443 
44,655,773 
Technology Hardware, Storage and Peripherals — 4.0%
Apple, Inc.228,298 33,299,546 
HP, Inc.99,703 2,878,426 
NetApp, Inc.32,136 2,557,704 
Seagate Technology Holdings plc60,454 5,313,907 
44,049,583 
Textiles, Apparel and Luxury Goods — 0.2%
Crocs, Inc.(1)
12,793 1,737,417 
TOTAL COMMON STOCKS
(Cost $500,090,388)
659,213,254 
U.S. TREASURY SECURITIES — 15.6%


U.S. Treasury Bonds, 5.00%, 5/15/37200,000 298,422 
U.S. Treasury Bonds, 4.625%, 2/15/401,300,000 1,916,129 
U.S. Treasury Bonds, 1.375%, 11/15/40500,000 464,687 
U.S. Treasury Bonds, 1.875%, 2/15/414,500,000 4,552,031 
U.S. Treasury Bonds, 2.25%, 5/15/411,600,000 1,719,125 
U.S. Treasury Bonds, 4.375%, 5/15/411,400,000 2,021,086 
U.S. Treasury Bonds, 3.125%, 11/15/411,000,000 1,228,477 
U.S. Treasury Bonds, 3.00%, 5/15/423,300,000 3,982,559 
U.S. Treasury Bonds, 2.75%, 11/15/422,000,000 2,324,531 
U.S. Treasury Bonds, 2.875%, 5/15/431,300,000 1,541,871 
U.S. Treasury Bonds, 3.625%, 2/15/44300,000 399,516 
U.S. Treasury Bonds, 3.125%, 8/15/44500,000 619,258 
U.S. Treasury Bonds, 3.00%, 11/15/44600,000 728,953 
U.S. Treasury Bonds, 2.50%, 2/15/45(2)
2,900,000 3,245,508 
U.S. Treasury Bonds, 2.75%, 8/15/47200,000 235,625 
U.S. Treasury Bonds, 3.375%, 11/15/48(2)
1,900,000 2,510,449 
U.S. Treasury Bonds, 2.25%, 8/15/491,000,000 1,075,547 
U.S. Treasury Bonds, 2.375%, 11/15/491,900,000 2,099,500 
U.S. Treasury Bonds, 2.00%, 2/15/50900,000 918,492 
U.S. Treasury Bonds, 1.875%, 2/15/512,100,000 2,085,727 



U.S. Treasury Bonds, 2.375%, 5/15/514,000,000 4,438,438 
U.S. Treasury Inflation Indexed Notes, 0.125%, 10/15/253,113,370 3,433,013 
U.S. Treasury Inflation Indexed Notes, 0.25%, 7/15/29842,168 963,995 
U.S. Treasury Inflation Indexed Notes, 0.125%, 7/15/301,050,250 1,194,089 
U.S. Treasury Inflation Indexed Notes, 0.125%, 1/15/31568,931 644,561 
U.S. Treasury Notes, 0.125%, 5/31/22300,000 300,130 
U.S. Treasury Notes, 2.00%, 11/30/22800,000 820,187 
U.S. Treasury Notes, 0.50%, 3/15/237,600,000 7,645,422 
U.S. Treasury Notes, 0.125%, 3/31/237,000,000 6,997,812 
U.S. Treasury Notes, 0.25%, 4/15/23400,000 400,719 
U.S. Treasury Notes, 0.125%, 5/31/232,000,000 1,998,750 
U.S. Treasury Notes, 0.25%, 6/15/23500,000 500,820 
U.S. Treasury Notes, 1.375%, 9/30/232,700,000 2,768,238 
U.S. Treasury Notes, 0.25%, 11/15/235,500,000 5,504,082 
U.S. Treasury Notes, 2.875%, 11/30/236,600,000 7,005,281 
U.S. Treasury Notes, 0.125%, 12/15/233,000,000 2,992,266 
U.S. Treasury Notes, 2.375%, 2/29/241,500,000 1,580,977 
U.S. Treasury Notes, 0.25%, 3/15/2416,000,000 15,989,063 
U.S. Treasury Notes, 0.375%, 4/15/248,500,000 8,517,930 
U.S. Treasury Notes, 0.375%, 7/15/241,500,000 1,501,465 
U.S. Treasury Notes, 1.125%, 2/28/258,700,000 8,903,566 
U.S. Treasury Notes, 0.25%, 5/31/251,000,000 989,961 
U.S. Treasury Notes, 0.25%, 8/31/257,800,000 7,701,586 
U.S. Treasury Notes, 2.625%, 12/31/252,200,000 2,393,617 
U.S. Treasury Notes, 0.50%, 2/28/264,200,000 4,173,750 
U.S. Treasury Notes, 0.875%, 6/30/261,700,000 1,715,539 
U.S. Treasury Notes, 1.375%, 8/31/261,400,000 1,446,484 
U.S. Treasury Notes, 1.625%, 10/31/26100,000 104,586 
U.S. Treasury Notes, 1.75%, 12/31/26700,000 736,969 
U.S. Treasury Notes, 1.50%, 1/31/272,000,000 2,078,672 
U.S. Treasury Notes, 1.125%, 2/28/272,700,000 2,750,625 
U.S. Treasury Notes, 0.625%, 3/31/2710,000,000 9,907,812 
U.S. Treasury Notes, 0.50%, 6/30/27500,000 490,254 
U.S. Treasury Notes, 0.50%, 8/31/271,600,000 1,564,937 
U.S. Treasury Notes, 0.625%, 12/31/273,500,000 3,434,922 
U.S. Treasury Notes, 1.125%, 2/29/282,000,000 2,023,594 
U.S. Treasury Notes, 1.25%, 3/31/28900,000 916,875 
U.S. Treasury Notes, 1.25%, 4/30/285,050,000 5,143,997 
U.S. Treasury Notes, 1.25%, 6/30/281,900,000 1,932,656 
U.S. Treasury Notes, 1.125%, 2/15/31500,000 495,742 
U.S. Treasury Notes, 1.625%, 5/15/314,300,000 4,458,227 
TOTAL U.S. TREASURY SECURITIES
(Cost $166,874,496)
172,529,102 
CORPORATE BONDS — 10.6%


Aerospace and Defense — 0.2%
Boeing Co. (The), 2.20%, 2/4/26420,000 423,894 
Boeing Co. (The), 3.625%, 2/1/31380,000 414,906 
Boeing Co. (The), 5.81%, 5/1/50230,000 314,251 
Lockheed Martin Corp., 3.80%, 3/1/4580,000 95,286 
Raytheon Technologies Corp., 4.125%, 11/16/28570,000 661,822 
Teledyne Technologies, Inc., 2.25%, 4/1/28290,000 300,279 
2,210,438 
Air Freight and Logistics
GXO Logistics, Inc., 2.65%, 7/15/31(3)
335,000 337,295 



Airlines — 0.1%
British Airways 2021-1 Class A Pass Through Trust, 2.90%, 9/15/36(3)
220,000 223,300 
Delta Air Lines, Inc. / SkyMiles IP Ltd., 4.50%, 10/20/25(3)
590,000 634,588 
Southwest Airlines Co., 5.125%, 6/15/27168,000 198,896 
1,056,784 
Automobiles — 0.3%
Ford Motor Credit Co. LLC, 2.98%, 8/3/22400,000 406,012 
Ford Motor Credit Co. LLC, 3.35%, 11/1/22310,000 317,766 
General Motors Co., 5.15%, 4/1/38260,000 319,733 
General Motors Financial Co., Inc., 2.75%, 6/20/25780,000 824,926 
General Motors Financial Co., Inc., 2.70%, 8/20/27440,000 461,668 
General Motors Financial Co., Inc., 2.70%, 6/10/31416,000 426,542 
Toyota Motor Credit Corp., MTN, 1.90%, 4/6/28420,000 434,573 
3,191,220 
Banks — 1.5%
Banco Santander SA, 2.96%, 3/25/31600,000 628,265 
Bank of America Corp., MTN, 4.18%, 11/25/27265,000 298,805 
Bank of America Corp., MTN, VRN, 0.81%, 10/24/241,325,000 1,330,323 
Bank of America Corp., MTN, VRN, 2.09%, 6/14/29645,000 657,258 
Bank of America Corp., MTN, VRN, 2.68%, 6/19/411,110,000 1,097,464 
Bank of America Corp., VRN, 3.42%, 12/20/28720,000 791,656 
Barclays plc, 5.20%, 5/12/26370,000 426,788 
BNP Paribas SA, VRN, 4.375%, 3/1/33(3)
575,000 641,582 
BPCE SA, 4.50%, 3/15/25(3)
200,000 222,087 
Citigroup, Inc., VRN, 0.78%, 10/30/241,325,000 1,330,836 
Citigroup, Inc., VRN, 1.46%, 6/9/27600,000 601,084 
Citigroup, Inc., VRN, 3.52%, 10/27/281,013,000 1,117,166 
Commonwealth Bank of Australia, 2.69%, 3/11/31(3)
515,000 523,710 
FNB Corp., 2.20%, 2/24/23460,000 467,881 
HSBC Holdings plc, VRN, 2.80%, 5/24/32280,000 290,712 
JPMorgan Chase & Co., VRN, 1.58%, 4/22/27315,000 318,882 
JPMorgan Chase & Co., VRN, 2.18%, 6/1/28500,000 516,936 
JPMorgan Chase & Co., VRN, 2.07%, 6/1/291,205,000 1,228,252 
JPMorgan Chase & Co., VRN, 3.16%, 4/22/42695,000 741,195 
National Australia Bank Ltd., 2.99%, 5/21/31(3)
500,000 515,232 
Societe Generale SA, VRN, 1.79%, 6/9/27(3)
500,000 502,336 
SVB Financial Group, 2.10%, 5/15/28510,000 524,070 
Truist Bank, VRN, 2.64%, 9/17/29275,000 288,593 
Truist Financial Corp., MTN, VRN, 1.89%, 6/7/29200,000 203,446 
Wells Fargo & Co., MTN, VRN, 2.39%, 6/2/28415,000 434,654 
Wells Fargo & Co., VRN, 3.07%, 4/30/41605,000 635,351 
16,334,564 
Beverages — 0.1%
Anheuser-Busch Cos. LLC / Anheuser-Busch InBev Worldwide, Inc., 4.90%, 2/1/46500,000 642,217 
Anheuser-Busch InBev Worldwide, Inc., 4.75%, 1/23/29630,000 758,497 
1,400,714 
Biotechnology — 0.2%
AbbVie, Inc., 3.20%, 11/21/29440,000 483,546 
AbbVie, Inc., 4.55%, 3/15/35110,000 135,185 
AbbVie, Inc., 4.40%, 11/6/42240,000 296,245 
Gilead Sciences, Inc., 3.65%, 3/1/26840,000 931,770 
Gilead Sciences, Inc., 1.20%, 10/1/27113,000 111,715 
1,958,461 
Building Products
Lennox International, Inc., 1.70%, 8/1/27140,000 141,337 



Capital Markets — 1.1%
Bain Capital Specialty Finance, Inc., 2.95%, 3/10/26565,000 583,353 
Blackstone Holdings Finance Co. LLC, 1.625%, 8/5/28(3)(4)
224,000 224,262 
Blackstone Secured Lending Fund, 2.75%, 9/16/26400,000 410,209 
Blackstone Secured Lending Fund, 2.125%, 2/15/27(3)
287,000 283,675 
Blue Owl Finance LLC, 3.125%, 6/10/31(3)
400,000 404,891 
CI Financial Corp., 4.10%, 6/15/51730,000 772,735 
FS KKR Capital Corp., 4.125%, 2/1/25297,000 316,077 
FS KKR Capital Corp., 3.40%, 1/15/26358,000 374,240 
FS KKR Capital Corp., 2.625%, 1/15/27273,000 272,404 
Goldman Sachs Group, Inc. (The), MTN, VRN, 2.38%, 7/21/32259,000 263,867 
Goldman Sachs Group, Inc. (The), VRN, 2.91%, 6/5/231,315,000 1,342,781 
Goldman Sachs Group, Inc. (The), VRN, 1.43%, 3/9/271,385,000 1,392,463 
Goldman Sachs Group, Inc. (The), VRN, 3.21%, 4/22/42240,000 254,526 
Goldman Sachs Group, Inc. (The), VRN, 2.91%, 7/21/42120,000 121,686 
Golub Capital BDC, Inc., 2.50%, 8/24/26415,000 423,691 
Golub Capital BDC, Inc., 2.05%, 2/15/27(4)
392,000 388,573 
Macquarie Group Ltd., VRN, 1.63%, 9/23/27(3)
172,000 173,086 
Morgan Stanley, MTN, VRN, 0.53%, 1/25/241,335,000 1,335,687 
Morgan Stanley, VRN, 1.59%, 5/4/271,163,000 1,180,974 
Morgan Stanley, VRN, 3.22%, 4/22/42181,000 195,149 
Owl Rock Capital Corp., 3.40%, 7/15/26320,000 336,592 
Owl Rock Technology Finance Corp., 4.75%, 12/15/25(3)
334,000 370,387 
Owl Rock Technology Finance Corp., 3.75%, 6/17/26(3)
175,000 186,525 
Owl Rock Technology Finance Corp., 2.50%, 1/15/27530,000 530,008 
Prospect Capital Corp., 3.71%, 1/22/26420,000 434,157 
12,571,998 
Chemicals — 0.1%
Dow Chemical Co. (The), 3.60%, 11/15/50300,000 334,753 
International Flavors & Fragrances, Inc., 1.83%, 10/15/27(3)
177,000 179,270 
514,023 
Commercial Services and Supplies — 0.2%
Republic Services, Inc., 2.30%, 3/1/30358,000 370,346 
Sodexo, Inc., 2.72%, 4/16/31(3)
910,000 944,098 
Waste Connections, Inc., 2.60%, 2/1/30270,000 284,780 
Waste Management, Inc., 2.50%, 11/15/50150,000 144,860 
1,744,084 
Construction and Engineering
Quanta Services, Inc., 2.90%, 10/1/30112,000 117,862 
Construction Materials
Eagle Materials, Inc., 2.50%, 7/1/31310,000 313,616 
Consumer Finance
Avolon Holdings Funding Ltd., 4.25%, 4/15/26(3)
309,000 338,103 
Avolon Holdings Funding Ltd., 4.375%, 5/1/26(3)
70,000 77,069 
415,172 
Containers and Packaging — 0.1%
Amcor Flexibles North America, Inc., 2.69%, 5/25/31320,000 334,503 
Berry Global, Inc., 1.57%, 1/15/26(3)
460,000 463,694 
WRKCo, Inc., 3.00%, 9/15/24201,000 213,536 
1,011,733 
Diversified Consumer Services — 0.1%
Novant Health, Inc., 3.17%, 11/1/51245,000 268,359 
Pepperdine University, 3.30%, 12/1/59355,000 371,801 
640,160 



Diversified Financial Services — 0.2%
Antares Holdings LP, 2.75%, 1/15/27(3)
256,000 256,503 
Block Financial LLC, 2.50%, 7/15/28640,000 654,804 
Deutsche Bank AG, VRN, 3.04%, 5/28/32800,000 828,650 
GE Capital Funding LLC, 4.40%, 5/15/30300,000 353,295 
GE Capital International Funding Co. Unlimited Co., 4.42%, 11/15/35300,000 368,541 
2,461,793 
Diversified Telecommunication Services — 0.5%
AT&T, Inc., 2.55%, 12/1/33(3)
557,000 562,963 
AT&T, Inc., 3.55%, 9/15/55(3)
1,037,000 1,073,653 
British Telecommunications plc, 3.25%, 11/8/29(3)
645,000 685,368 
Telefonica Emisiones SA, 4.90%, 3/6/48700,000 856,230 
Verizon Communications, Inc., 4.33%, 9/21/28298,000 349,968 
Verizon Communications, Inc., 1.75%, 1/20/31680,000 661,056 
Verizon Communications, Inc., 2.65%, 11/20/40576,000 564,709 
Verizon Communications, Inc., 2.99%, 10/30/56215,000 209,508 
4,963,455 
Electric Utilities — 0.7%
AEP Texas, Inc., 2.10%, 7/1/30370,000 369,032 
Baltimore Gas and Electric Co., 2.25%, 6/15/31237,000 244,134 
Berkshire Hathaway Energy Co., 3.50%, 2/1/25180,000 195,377 
Commonwealth Edison Co., 3.20%, 11/15/49355,000 385,916 
DTE Electric Co., 2.25%, 3/1/30330,000 344,506 
Duke Energy Carolinas LLC, 2.55%, 4/15/31154,000 163,060 
Duke Energy Corp., 2.55%, 6/15/31430,000 445,153 
Duke Energy Florida LLC, 1.75%, 6/15/30370,000 368,219 
Duke Energy Florida LLC, 3.85%, 11/15/42220,000 262,540 
Duke Energy Progress LLC, 4.15%, 12/1/44335,000 414,168 
Enel Finance International NV, 1.875%, 7/12/28(3)
312,000 315,962 
Entergy Arkansas LLC, 2.65%, 6/15/51180,000 177,125 
Exelon Corp., 4.45%, 4/15/46150,000 186,981 
Florida Power & Light Co., 4.125%, 2/1/42169,000 211,444 
Indiana Michigan Power Co., 3.25%, 5/1/51157,000 170,974 
MidAmerican Energy Co., 4.40%, 10/15/44290,000 367,599 
NextEra Energy Capital Holdings, Inc., 3.55%, 5/1/27290,000 325,141 
Northern States Power Co., 3.20%, 4/1/52240,000 267,796 
Pacific Gas and Electric Co., 4.20%, 6/1/41155,000 151,933 
PacifiCorp, 3.30%, 3/15/51310,000 339,262 
PacifiCorp, 2.90%, 6/15/52190,000 194,280 
Public Service Co. of Colorado, 1.875%, 6/15/31312,000 314,944 
Southern Co. Gas Capital Corp., 1.75%, 1/15/31360,000 351,203 
Southern Co. Gas Capital Corp., 3.95%, 10/1/4690,000 103,354 
Virginia Electric and Power Co., 2.45%, 12/15/50407,000 385,183 
Xcel Energy, Inc., 3.40%, 6/1/30330,000 368,100 
7,423,386 
Electronic Equipment, Instruments and Components
Vontier Corp., 1.80%, 4/1/26(3)
175,000 176,058 
Energy Equipment and Services
Halliburton Co., 2.92%, 3/1/30300,000 315,394 
Entertainment
Netflix, Inc., 4.875%, 4/15/28303,000 354,486 
Equity Real Estate Investment Trusts (REITs) — 0.8%
Agree LP, 2.00%, 6/15/28500,000 504,321 
Crown Castle International Corp., 3.80%, 2/15/28587,000 660,545 
EPR Properties, 4.75%, 12/15/26276,000 298,109 



EPR Properties, 4.95%, 4/15/28735,000 795,906 
GLP Capital LP / GLP Financing II, Inc., 5.375%, 4/15/26370,000 428,749 
Host Hotels & Resorts LP, 4.00%, 6/15/25430,000 469,244 
Hudson Pacific Properties LP, 3.25%, 1/15/30393,000 426,237 
Lexington Realty Trust, 2.70%, 9/15/30530,000 551,382 
National Health Investors, Inc., 3.00%, 2/1/31885,000 884,926 
Omega Healthcare Investors, Inc., 3.375%, 2/1/31735,000 765,830 
Spirit Realty LP, 3.20%, 1/15/27153,000 164,805 
Spirit Realty LP, 4.00%, 7/15/29752,000 848,444 
STORE Capital Corp., 4.50%, 3/15/28617,000 709,531 
STORE Capital Corp., 4.625%, 3/15/29163,000 189,345 
Vornado Realty LP, 3.40%, 6/1/31454,000 479,939 
Welltower, Inc., 2.80%, 6/1/31635,000 671,877 
8,849,190 
Food and Staples Retailing — 0.1%
Kroger Co. (The), 3.875%, 10/15/46350,000 394,617 
Sysco Corp., 5.95%, 4/1/30464,000 602,388 
Walmart, Inc., 4.05%, 6/29/48210,000 268,045 
1,265,050 
Food Products — 0.1%
Mondelez International, Inc., 2.75%, 4/13/30452,000 482,993 
Health Care Equipment and Supplies
Zimmer Biomet Holdings, Inc., 3.55%, 3/20/30180,000 200,820 
Health Care Providers and Services — 0.4%
Centene Corp., 2.45%, 7/15/28560,000 568,445 
Centene Corp., 3.375%, 2/15/30399,000 416,861 
CVS Health Corp., 4.30%, 3/25/28350,000 405,582 
CVS Health Corp., 1.75%, 8/21/30310,000 304,050 
CVS Health Corp., 4.78%, 3/25/38160,000 201,163 
DaVita, Inc., 4.625%, 6/1/30(3)
410,000 424,350 
Duke University Health System, Inc., 3.92%, 6/1/47160,000 197,762 
HCA, Inc., 2.375%, 7/15/31710,000 718,597 
HCA, Inc., 3.50%, 7/15/51330,000 341,453 
Humana, Inc., 2.15%, 2/3/32(4)
304,000 305,754 
Kaiser Foundation Hospitals, 3.00%, 6/1/51260,000 276,009 
Universal Health Services, Inc., 2.65%, 10/15/30(3)
330,000 336,285 
4,496,311 
Hotels, Restaurants and Leisure — 0.1%
Marriott International, Inc., 3.50%, 10/15/32522,000 564,188 
Household Durables
D.R. Horton, Inc., 2.50%, 10/15/24310,000 325,201 
Industrial Conglomerates
General Electric Co., 4.35%, 5/1/50250,000 308,636 
Insurance — 0.5%
American International Group, Inc., 6.25%, 5/1/36310,000 439,859 
American International Group, Inc., 4.50%, 7/16/44355,000 444,948 
Athene Global Funding, 2.67%, 6/7/31(3)
800,000 829,627 
Athene Holding Ltd., 3.95%, 5/25/51392,000 448,690 
Brighthouse Financial Global Funding, 2.00%, 6/28/28(3)
631,000 639,332 
Equitable Financial Life Global Funding, 1.80%, 3/8/28(3)
290,000 293,003 
Global Atlantic Fin Co., 3.125%, 6/15/31(3)
238,000 243,303 
Nippon Life Insurance Co., VRN, 2.75%, 1/21/51(3)
600,000 594,750 
Sammons Financial Group, Inc., 3.35%, 4/16/31(3)
584,000 612,851 
SBL Holdings, Inc., 5.00%, 2/18/31(3)
300,000 323,638 
Security Benefit Global Funding, 1.25%, 5/17/24(3)
540,000 542,051 
5,412,052 



Internet and Direct Marketing Retail — 0.1%
Amazon.com, Inc., 2.875%, 5/12/41820,000 864,685 
IT Services
International Business Machines Corp., 2.85%, 5/15/40331,000 343,266 
Life Sciences Tools and Services — 0.1%
Agilent Technologies, Inc., 2.30%, 3/12/31712,000 727,790 
Illumina, Inc., 2.55%, 3/23/31527,000 546,147 
1,273,937 
Machinery
Cummins, Inc., 2.60%, 9/1/50260,000 256,909 
Media — 0.4%
Charter Communications Operating LLC / Charter Communications Operating Capital, 4.91%, 7/23/25368,000 417,917 
Charter Communications Operating LLC / Charter Communications Operating Capital, 3.50%, 6/1/41385,000 393,637 
Charter Communications Operating LLC / Charter Communications Operating Capital, 5.125%, 7/1/49610,000 741,912 
Comcast Corp., 3.40%, 4/1/30754,000 842,567 
Comcast Corp., 3.75%, 4/1/40100,000 116,201 
Cox Communications, Inc., 2.60%, 6/15/31(3)
273,000 281,747 
Omnicom Group, Inc., 2.60%, 8/1/31410,000 424,709 
Time Warner Cable LLC, 4.50%, 9/15/42615,000 700,595 
ViacomCBS, Inc., 4.375%, 3/15/43265,000 314,068 
4,233,353 
Metals and Mining — 0.1%
Steel Dynamics, Inc., 3.45%, 4/15/30215,000 237,966 
Teck Resources Ltd., 6.25%, 7/15/41390,000 526,550 
764,516 
Multi-Utilities — 0.2%
Ameren Corp., 3.50%, 1/15/31430,000 481,221 
CenterPoint Energy, Inc., 4.25%, 11/1/28369,000 428,545 
CenterPoint Energy, Inc., 2.65%, 6/1/31175,000 182,425 
Dominion Energy, Inc., 4.90%, 8/1/41270,000 354,137 
NiSource, Inc., 5.65%, 2/1/45290,000 408,138 
Sempra Energy, 3.25%, 6/15/27180,000 196,208 
WEC Energy Group, Inc., 1.375%, 10/15/27490,000 487,343 
2,538,017 
Oil, Gas and Consumable Fuels — 0.7%
Aker BP ASA, 3.75%, 1/15/30(3)
440,000 478,790 
Aker BP ASA, 4.00%, 1/15/31(3)
160,000 178,181 
BP Capital Markets America, Inc., 3.06%, 6/17/41250,000 258,122 
Chevron Corp., 2.00%, 5/11/27240,000 250,860 
Diamondback Energy, Inc., 3.50%, 12/1/29300,000 325,711 
Energy Transfer LP, 3.60%, 2/1/23160,000 165,741 
Energy Transfer LP, 4.25%, 3/15/23370,000 387,548 
Energy Transfer LP, 3.75%, 5/15/30400,000 436,768 
Energy Transfer LP, 4.90%, 3/15/35270,000 315,345 
Enterprise Products Operating LLC, 4.85%, 3/15/44460,000 577,259 
Equinor ASA, 3.25%, 11/18/49230,000 249,427 
Exxon Mobil Corp., 1.57%, 4/15/23390,000 398,458 
Flex Intermediate Holdco LLC, 3.36%, 6/30/31(3)
430,000 442,959 
Kinder Morgan Energy Partners LP, 6.50%, 9/1/39250,000 356,206 
Lundin Energy Finance BV, 3.10%, 7/15/31(3)
220,000 225,227 
Petroleos Mexicanos, 3.50%, 1/30/23300,000 305,805 
Petroleos Mexicanos, 6.625%, 6/15/3550,000 48,395 
Petroleos Mexicanos, 5.50%, 6/27/44230,000 189,239 
Plains All American Pipeline LP / PAA Finance Corp., 3.80%, 9/15/30350,000 380,192 
Sabine Pass Liquefaction LLC, 5.625%, 3/1/25640,000 733,415 



Suncor Energy, Inc., 3.75%, 3/4/51170,000 188,965 
Transcontinental Gas Pipe Line Co. LLC, 3.25%, 5/15/30250,000 273,013 
7,165,626 
Paper and Forest Products
Georgia-Pacific LLC, 2.10%, 4/30/27(3)
370,000 386,566 
Pharmaceuticals — 0.1%
Astrazeneca Finance LLC, 1.75%, 5/28/28256,000 260,718 
Bristol-Myers Squibb Co., 2.55%, 11/13/50337,000 329,107 
Royalty Pharma plc, 2.20%, 9/2/30(3)
235,000 234,260 
Viatris, Inc., 2.70%, 6/22/30(3)
342,000 351,567 
Viatris, Inc., 4.00%, 6/22/50(3)
139,000 150,913 
1,326,565 
Real Estate Management and Development — 0.1%
Essential Properties LP, 2.95%, 7/15/31460,000 466,663 
Road and Rail — 0.3%
Ashtead Capital, Inc., 4.125%, 8/15/25(3)
400,000 409,000 
Burlington Northern Santa Fe LLC, 4.15%, 4/1/45300,000 370,747 
Burlington Northern Santa Fe LLC, 3.30%, 9/15/51200,000 222,879 
CSX Corp., 3.25%, 6/1/27390,000 429,554 
DAE Funding LLC, 1.55%, 8/1/24(3)
200,000 200,253 
DAE Funding LLC, 3.375%, 3/20/28(3)
642,000 662,733 
Norfolk Southern Corp., 2.30%, 5/15/31153,000 158,111 
Union Pacific Corp., 2.40%, 2/5/30270,000 282,961 
Union Pacific Corp., MTN, 3.55%, 8/15/39450,000 513,851 
3,250,089 
Semiconductors and Semiconductor Equipment — 0.1%
Broadcom Corp. / Broadcom Cayman Finance Ltd., 3.875%, 1/15/27385,000 427,198 
Microchip Technology, Inc., 4.25%, 9/1/25791,000 833,404 
1,260,602 
Software — 0.1%
Oracle Corp., 3.60%, 4/1/40645,000 691,748 
salesforce.com, Inc., 1.50%, 7/15/28416,000 421,876 
salesforce.com, Inc., 2.70%, 7/15/41315,000 322,569 
1,436,193 
Specialty Retail — 0.2%
AutoNation, Inc., 1.95%, 8/1/28307,000 308,157 
Home Depot, Inc. (The), 3.90%, 6/15/4750,000 60,727 
Home Depot, Inc. (The), 2.375%, 3/15/51720,000 683,344 
Lowe's Cos., Inc., 1.30%, 4/15/28391,000 386,194 
Lowe's Cos., Inc., 2.625%, 4/1/31400,000 421,122 
1,859,544 
Technology Hardware, Storage and Peripherals — 0.4%
Apple, Inc., 2.65%, 2/8/51880,000 878,889 
Dell International LLC / EMC Corp., 4.90%, 10/1/26535,000 624,465 
EMC Corp., 3.375%, 6/1/23860,000 890,685 
HP, Inc., 2.65%, 6/17/31(3)
580,000 587,211 
Western Digital Corp., 4.75%, 2/15/26753,000 836,771 
3,818,021 
Thrifts and Mortgage Finance — 0.1%
Nationwide Building Society, VRN, 3.77%, 3/8/24(3)
309,000 323,980 
Nationwide Building Society, VRN, 4.125%, 10/18/32(3)
595,000 655,433 
979,413 
Trading Companies and Distributors
Aircastle Ltd., 5.25%, 8/11/25(3)
371,000 418,400 



Water Utilities
Essential Utilities, Inc., 2.70%, 4/15/30380,000 402,803 
Wireless Telecommunication Services — 0.2%
T-Mobile USA, Inc., 4.75%, 2/1/28534,000 568,336 
T-Mobile USA, Inc., 3.50%, 4/15/31395,000 414,838 
Vodafone Group plc, VRN, 4.125%, 6/4/81900,000 909,000 
1,892,174 
TOTAL CORPORATE BONDS
(Cost $111,901,354)
116,495,816 
U.S. GOVERNMENT AGENCY MORTGAGE-BACKED SECURITIES — 6.7%


Adjustable-Rate U.S. Government Agency Mortgage-Backed Securities — 0.2%
FHLMC, VRN, 2.40%, (1-year H15T1Y plus 2.25%), 9/1/3590,081 96,123 
FHLMC, VRN, 2.25%, (12-month LIBOR plus 1.87%), 7/1/3622,588 23,942 
FHLMC, VRN, 2.34%, (1-year H15T1Y plus 2.14%), 10/1/3685,577 91,595 
FHLMC, VRN, 2.42%, (1-year H15T1Y plus 2.26%), 4/1/3790,924 96,907 
FHLMC, VRN, 2.17%, (12-month LIBOR plus 1.78%), 2/1/3833,330 35,402 
FHLMC, VRN, 2.23%, (12-month LIBOR plus 1.87%), 6/1/3820,630 21,545 
FHLMC, VRN, 2.30%, (12-month LIBOR plus 1.77%), 9/1/4014,419 15,012 
FHLMC, VRN, 2.15%, (12-month LIBOR plus 1.88%), 5/1/4110,212 10,657 
FHLMC, VRN, 2.45%, (12-month LIBOR plus 1.86%), 7/1/4173,867 78,546 
FHLMC, VRN, 2.02%, (12-month LIBOR plus 1.64%), 2/1/4310,577 10,854 
FHLMC, VRN, 1.87%, (12-month LIBOR plus 1.62%), 6/1/43286 287 
FHLMC, VRN, 1.90%, (12-month LIBOR plus 1.65%), 6/1/438,091 8,119 
FHLMC, VRN, 2.86%, (12-month LIBOR plus 1.63%), 1/1/4495,449 99,740 
FHLMC, VRN, 2.60%, (12-month LIBOR plus 1.60%), 6/1/4565,055 68,042 
FHLMC, VRN, 1.96%, (12-month LIBOR plus 1.63%), 8/1/46167,707 174,673 
FHLMC, VRN, 3.05%, (12-month LIBOR plus 1.64%), 9/1/47268,224 280,158 
FNMA, VRN, 1.82%, (6-month LIBOR plus 1.57%), 6/1/3553,684 55,999 
FNMA, VRN, 1.82%, (6-month LIBOR plus 1.57%), 6/1/3555,113 57,478 
FNMA, VRN, 2.31%, (1-year H15T1Y plus 2.16%), 3/1/3870,404 75,070 
FNMA, VRN, 2.07%, (12-month LIBOR plus 1.69%), 1/1/407,179 7,473 
FNMA, VRN, 2.29%, (12-month LIBOR plus 1.86%), 3/1/4010,181 10,819 
FNMA, VRN, 2.32%, (12-month LIBOR plus 1.77%), 10/1/4023,569 24,916 
FNMA, VRN, 1.98%, (12-month LIBOR plus 1.57%), 3/1/4333,099 33,969 
FNMA, VRN, 3.19%, (12-month LIBOR plus 1.61%), 3/1/47163,177 171,492 
FNMA, VRN, 3.09%, (12-month LIBOR plus 1.61%), 4/1/47115,314 121,364 
FNMA, VRN, 3.25%, (12-month LIBOR plus 1.62%), 5/1/47205,304 215,412 
1,885,594 
Fixed-Rate U.S. Government Agency Mortgage-Backed Securities — 6.5%
FHLMC, 6.50%, 1/1/285,787 6,516 
FHLMC, 5.50%, 12/1/3354,776 62,450 
FHLMC, 5.50%, 1/1/3841,203 47,971 
FHLMC, 6.00%, 8/1/3821,791 24,815 
FHLMC, 3.50%, 12/1/47296,480 316,530 
FNMA, 6.50%, 1/1/299,482 10,782 
FNMA, 7.50%, 7/1/2911,954 12,087 
FNMA, 7.50%, 9/1/306,088 7,061 
FNMA, 6.625%, 11/15/30600,000 878,118 
FNMA, 6.50%, 9/1/319,600 10,801 
FNMA, 7.00%, 9/1/313,092 3,263 
FNMA, 6.50%, 1/1/328,468 9,533 
FNMA, 6.50%, 8/1/3210,601 12,065 
FNMA, 5.50%, 6/1/3332,355 37,378 
FNMA, 5.50%, 7/1/3348,380 55,863 
FNMA, 5.50%, 8/1/33112,223 129,814 



FNMA, 5.50%, 9/1/3356,448 64,793 
FNMA, 3.50%, 3/1/34181,913 195,925 
FNMA, 5.50%, 4/1/3650,735 58,907 
FNMA, 5.50%, 5/1/3699,049 114,968 
FNMA, 5.50%, 2/1/3726,709 31,061 
FNMA, 6.00%, 7/1/37195,740 231,991 
FNMA, 6.50%, 8/1/3720,812 23,939 
FNMA, 5.50%, 7/1/39169,949 197,346 
FNMA, 4.50%, 8/1/40422,052 469,333 
FNMA, 4.50%, 9/1/40967,674 1,081,602 
FNMA, 3.50%, 1/1/41493,991 538,740 
FNMA, 4.00%, 1/1/41490,353 546,656 
FNMA, 4.00%, 5/1/41444,380 486,838 
FNMA, 4.50%, 9/1/41827,921 925,334 
FNMA, 4.50%, 9/1/41183,232 204,151 
FNMA, 4.00%, 1/1/42370,962 407,352 
FNMA, 3.50%, 5/1/42886,266 966,817 
FNMA, 3.50%, 6/1/42282,912 309,441 
FNMA, 6.50%, 8/1/476,438 6,994 
FNMA, 6.50%, 9/1/4715,409 16,691 
FNMA, 6.50%, 9/1/47741 804 
FNMA, 6.50%, 9/1/478,148 8,824 
FNMA, 3.50%, 3/1/48569,937 606,628 
FNMA, 4.00%, 6/1/481,555,246 1,666,574 
FNMA, 4.50%, 7/1/48457,940 493,620 
FNMA, 4.00%, 8/1/481,333,099 1,427,112 
FNMA, 3.50%, 4/1/49383,552 406,414 
FNMA, 4.00%, 6/1/493,033,643 3,240,904 
FNMA, 3.50%, 9/1/49946,286 1,002,701 
FNMA, 3.00%, 12/1/49837,885 878,794 
FNMA, 3.00%, 3/1/50862,748 906,440 
FNMA, 3.00%, 3/1/502,394,266 2,531,549 
FNMA, 3.00%, 6/1/505,500,370 5,770,656 
FNMA, 3.00%, 6/1/50533,628 559,758 
FNMA, 3.00%, 6/1/50518,720 544,446 
FNMA, 3.00%, 6/1/50571,204 606,791 
FNMA, 3.00%, 8/1/501,950,204 2,045,697 
FNMA, 2.50%, 10/1/502,221,379 2,320,373 
FNMA, 2.50%, 6/1/511,996,441 2,083,874 
FNMA, 3.00%, 6/1/51199,375 212,586 
FNMA, 3.50%, 7/1/513,934,992 4,215,928 
GNMA, 2.50%, TBA5,200,000 5,406,578 
GNMA, 3.00%, TBA2,900,000 3,034,918 
GNMA, 7.00%, 4/20/2615,037 16,573 
GNMA, 7.50%, 8/15/269,420 10,471 
GNMA, 7.00%, 2/15/282,306 2,315 
GNMA, 7.00%, 5/15/3122,460 26,397 
GNMA, 5.50%, 11/15/3257,576 66,374 
GNMA, 4.50%, 5/20/41171,882 191,284 
GNMA, 4.50%, 6/15/41211,481 242,530 
GNMA, 3.50%, 6/20/42370,451 399,053 
GNMA, 4.50%, 11/20/43232,402 258,776 
GNMA, 3.50%, 3/15/461,473,091 1,574,822 
GNMA, 2.50%, 7/20/46425,709 444,827 
GNMA, 3.00%, 4/20/502,984,730 3,125,562 



GNMA, 3.50%, 6/20/51843,084 894,940 
UMBS, 2.50%, TBA6,800,000 7,069,280 
UMBS, 3.00%, TBA8,700,000 9,101,356 
71,900,455 
TOTAL U.S. GOVERNMENT AGENCY MORTGAGE-BACKED SECURITIES
(Cost $72,641,038)
73,786,049 
COLLATERALIZED MORTGAGE OBLIGATIONS — 2.6%


Private Sponsor Collateralized Mortgage Obligations — 1.5%
ABN Amro Mortgage Corp., Series 2003-4, Class A4, 5.50%, 3/25/334,352 4,461 
Adjustable Rate Mortgage Trust, Series 2004-4, Class 4A1, VRN, 2.63%, 3/25/35109,742 111,608 
Banc of America Mortgage Trust, Series 2004-E, Class 2A6 SEQ, VRN, 2.83%, 6/25/3473,053 74,697 
Bellemeade Re Ltd., Series 2018-2A, Class B1, VRN, 2.74%, (1-month LIBOR plus 2.65%), 8/25/28(3)
452,504 452,523 
Bellemeade Re Ltd., Series 2019-3A, Class B1, VRN, 2.59%, (1-month LIBOR plus 2.50%), 7/25/29(3)
400,000 400,714 
Bellemeade Re Ltd., Series 2019-3A, Class M1C, VRN, 2.04%, (1-month LIBOR plus 1.95%), 7/25/29(3)
360,000 360,577 
Bellemeade Re Ltd., Series 2020-2A, Class M1C, VRN, 4.09%, (1-month LIBOR plus 4.00%), 8/26/30(3)
480,000 491,318 
Chase Mortgage Finance Corp., Series 2021-CL1, Class M1, VRN, 1.25%, (SOFR plus 1.20%), 2/25/50(3)
550,000 550,000 
Citigroup Mortgage Loan Trust, Inc., Series 2004-UST1, Class A5, VRN, 2.01%, 8/25/34235,721 241,402 
COLT Funding LLC, Series 2021-3R, Class A2 SEQ, VRN, 1.26%, 12/25/64(3)
1,241,355 1,242,463 
Countrywide Home Loan Mortgage Pass-Through Trust, Series 2005-17, Class 1A11, 5.50%, 9/25/351,579 1,538 
Credit Suisse Mortgage Trust, Series 2020-NQM1, Class A2 SEQ, 1.41%, 5/25/65(3)
686,347 691,016 
Credit Suisse Mortgage Trust, Series 2021-NQM2, Class A2 SEQ, VRN, 1.38%, 2/25/66(3)
540,795 541,513 
Credit Suisse Mortgage Trust, Series 2021-NQM3, Class A3 SEQ, VRN, 1.63%, 4/25/66(3)
402,512 403,797 
Credit Suisse Mortgage Trust, Series 2021-NQM4, Class A3, SEQ, VRN, 1.56%, 5/25/66(3)
373,161 373,644 
Credit Suisse Mortgage Trust, Series 2021-RPL3, Class A1 SEQ, VRN, 2.00%, 1/25/60(3)
536,424 547,793 
First Horizon Alternative Mortgage Securities Trust, Series 2004-AA4, Class A1, VRN, 2.37%, 10/25/34122,447 126,745 
GCAT Trust, Series 2021-NQM1, Class A3 SEQ, VRN, 1.15%, 1/25/66(3)
545,638 544,193 
GSR Mortgage Loan Trust, Series 2004-7, Class 3A1, VRN, 2.34%, 6/25/3433,298 33,358 
GSR Mortgage Loan Trust, Series 2004-AR5, Class 3A3, VRN, 2.60%, 5/25/3450,353 49,482 
GSR Mortgage Loan Trust, Series 2005-AR1, Class 3A1, VRN, 2.89%, 1/25/3576,795 78,358 
Home RE Ltd., Series 2020-1, Class M1B, VRN, 3.34%, (1-month LIBOR plus 3.25%), 10/25/30(3)
950,000 964,596 
Home RE Ltd., Series 2021-1 Class M1B, VRN, 1.64%, (1-month LIBOR plus 1.55%), 7/25/33(3)
360,000 359,260 
JP Morgan Mortgage Trust, Series 2013-1, Class 2A2 SEQ, VRN, 2.50%, 3/25/43(3)
25,893 26,214 
JP Morgan Mortgage Trust, Series 2017-1, Class A2, VRN, 3.49%, 1/25/47(3)
212,495 215,959 
JP Morgan Mortgage Trust, Series 2020-3, Class A15, VRN, 3.50%, 8/25/50(3)
356,049 362,726 
MASTR Adjustable Rate Mortgages Trust, Series 2004-13, Class 3A7, VRN, 2.79%, 11/21/34100,833 101,915 
Merrill Lynch Mortgage Investors Trust, Series 2005-3, Class 2A, VRN, 2.19%, 11/25/3546,744 46,711 
Merrill Lynch Mortgage Investors Trust, Series 2005-A2, Class A1, VRN, 2.82%, 2/25/3591,647 92,564 
Newrez Warehouse Securitization Trust, Series 2021-1, Class A, VRN, 0.84%, (1-month LIBOR plus 0.75%), 5/25/55(3)
750,000 750,215 
Oaktown Re V Ltd., Series 2020-2A, Class M1A, VRN, 2.49%, (1-month LIBOR plus 2.40%), 10/25/30(3)
247,557 248,509 
Oceanview Mortgage Trust, Series 2021-3, Class A1, VRN, 2.50%, 6/25/51(3)
1,625,000 1,663,004 
PRMI Securitization Trust, Series 2021-1, Class A5, VRN, 2.50%, 4/25/51(3)
955,260 958,529 
PSMC Trust, Series 2021-1, Class A11 SEQ, VRN, 2.50%, 3/25/51(3)
720,430 743,455 
PSMC Trust, Series 2021-2, Class A3 SEQ, VRN, 2.50%, 5/25/51(3)
418,992 433,482 
Sequoia Mortgage Trust, Series 2021-5, Class A4 SEQ, VRN, 2.50%, 7/25/51(3)
496,320 510,879 
Sofi Mortgage Trust, Series 2016-1A, Class 1A4 SEQ, VRN, 3.00%, 11/25/46(3)
67,095 68,521 
Starwood Mortgage Residential Trust, Series 2020-2, Class B1E, VRN, 3.00%, 4/25/60(3)
446,000 445,408 
Structured Adjustable Rate Mortgage Loan Trust, Series 2004-8, Class 2A1, VRN, 2.45%, 7/25/3441,422 42,560 
Verus Securitization Trust, Series 2021-R2, Class A2, VRN, 1.12%, 2/25/64(3)
503,154 505,781 
Verus Securitization Trust, Series 2021-R2, Class A3, VRN, 1.23%, 2/25/64(3)
575,373 578,372 
Wells Fargo Mortgage-Backed Securities Trust, Series 2007-13, Class A1, 6.00%, 9/25/37668 682 
16,440,542 
U.S. Government Agency Collateralized Mortgage Obligations — 1.1%
FHLMC, Series 2014-DN3, Class M3, VRN, 4.09%, (1-month LIBOR plus 4.00%), 8/25/24143,884 146,873 
FHLMC, Series 2014-DN4, Class M3, VRN, 4.64%, (1-month LIBOR plus 4.55%), 10/25/2472,325 73,419 
FHLMC, Series 2014-HQ1, Class M3, VRN, 4.19%, (1-month LIBOR plus 4.10%), 8/25/24205,076 206,510 



FHLMC, Series 2014-HQ3, Class M3, VRN, 4.84%, (1-month LIBOR plus 4.75%), 10/25/241,016,788 1,020,996 
FHLMC, Series 2015-DNA3, Class M3F, VRN, 3.79%, (1-month LIBOR plus 3.70%), 4/25/28269,212 275,140 
FHLMC, Series 2015-HQ2, Class M3, VRN, 3.34%, (1-month LIBOR plus 3.25%), 5/25/2596,973 98,474 
FHLMC, Series 2016-DNA1, Class M3, VRN, 5.64%, (1-month LIBOR plus 5.55%), 7/25/28837,910 878,049 
FHLMC, Series 2016-DNA2, Class M3, VRN, 4.74%, (1-month LIBOR plus 4.65%), 10/25/28455,807 476,428 
FHLMC, Series 2016-DNA3, Class M3, VRN, 5.09%, (1-month LIBOR plus 5.00%), 12/25/28779,755 812,989 
FHLMC, Series 2016-HQA4, Class M3, VRN, 3.99%, (1-month LIBOR plus 3.90%), 4/25/29523,041 540,318 
FHLMC, Series 2017-DNA1, Class M2, VRN, 3.34%, (1-month LIBOR plus 3.25%), 7/25/29797,631 819,853 
FHLMC, Series 2017-DNA2, Class M2, VRN, 3.54%, (1-month LIBOR plus 3.45%), 10/25/29220,000 228,157 
FHLMC, Series 2019-DNA2, Class M2, VRN, 2.54%, (1-month LIBOR plus 2.45%), 3/25/49(3)
306,546 311,101 
FHLMC, Series 2020-DNA3, Class M2, VRN, 3.09%, (1-month LIBOR plus 3.00%), 6/25/50(3)
284,524 286,083 
FHLMC, Series 2020-DNA5, Class M2, VRN, 2.85%, (SOFR plus 2.80%), 10/25/50(3)
750,000 759,583 
FHLMC, Series 2020-HQA3, Class M2, VRN, 3.69%, (1-month LIBOR plus 3.60%), 7/25/50(3)
211,716 213,449 
FHLMC, Series 5123, Class HI, IO, 5.00%, 1/25/421,721,974 304,018 
FNMA, Series 2013-C01, Class M2, VRN, 5.34%, (1-month LIBOR plus 5.25%), 10/25/23740,622 774,319 
FNMA, Series 2014-C02, Class 2M2, VRN, 2.69%, (1-month LIBOR plus 2.60%), 5/25/24245,954 248,535 
FNMA, Series 2014-C03, Class 2M2, VRN, 2.99%, (1-month LIBOR plus 2.90%), 7/25/24286,307 290,257 
FNMA, Series 2014-C04, Class 1M2, VRN, 4.99%, (1-month LIBOR plus 4.90%), 11/25/24246,884 255,398 
FNMA, Series 2015-C03, Class 2M2, VRN, 5.09%, (1-month LIBOR plus 5.00%), 7/25/25224,881 227,624 
FNMA, Series 2015-C04, Class 1M2, VRN, 5.79%, (1-month LIBOR plus 5.70%), 4/25/28479,469 507,992 
FNMA, Series 2015-C04, Class 2M2, VRN, 5.64%, (1-month LIBOR plus 5.55%), 4/25/28984,772 1,034,816 
FNMA, Series 2016-C01, Class 2M2, VRN, 7.04%, (1-month LIBOR plus 6.95%), 8/25/28605,833 638,733 
FNMA, Series 2016-C04, Class 1M2, VRN, 4.34%, (1-month LIBOR plus 4.25%), 1/25/29512,185 535,615 
FNMA, Series 2016-C06, Class 1M2, VRN, 4.34%, (1-month LIBOR plus 4.25%), 4/25/29254,308 264,584 
FNMA, Series 2017-C03, Class 1M2C, VRN, 3.09%, (1-month LIBOR plus 3.00%), 10/25/29110,000 113,779 
12,343,092 
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS
(Cost $28,496,701)
28,783,634 
COLLATERALIZED LOAN OBLIGATIONS — 2.6%


Aimco CLO Ltd., Series 2019-10A, Class BR, VRN, 2.78%, (3-month LIBOR plus 1.60%), 7/22/32(3)(4)
1,090,000 1,090,000 
Anchorage Credit Opportunities CLO Ltd., Series 2019-1A, Class A1, VRN, 2.08%, (3-month LIBOR plus 1.95%), 1/20/32(3)
800,000 801,958 
Apidos CLO XXVI, Series 2017-26A, Class BR, VRN, 2.08%, (3-month LIBOR plus 1.95%), 7/18/29(3)
775,000 775,006 
ARES LII CLO Ltd., Series 2019-52A, Class BR, VRN, 1.78%, (3-month LIBOR plus 1.65%), 4/22/31(3)
550,000 549,042 
ARES LII CLO Ltd., Series 2019-52A, Class CR, VRN, 2.23%, (3-month LIBOR plus 2.10%), 4/22/31(3)
575,000 573,229 
Ares LV CLO Ltd., Series 2020-55A, Class BR, VRN, 1.83%, (3-month LIBOR plus 1.70%), 7/15/34(3)
1,075,000 1,075,061 
Bean Creek CLO Ltd., Series 2015-1A, Class AR, VRN, 1.15%, (3-month LIBOR plus 1.02%), 4/20/31(3)
750,000 750,013 
Carlyle Global Market Strategies CLO Ltd., Series 2013-1A, Class BRR, VRN, 2.31%, (3-month LIBOR plus 2.20%), 8/14/30(3)
700,000 700,320 
CBAM Ltd., Series 2017-3A, Class CR, VRN, 2.58%, (3-month LIBOR plus 2.45%), 7/17/34(3)
800,000 796,694 
Cerberus Loan Funding XXXIII LP, Series 2021-3A, Class A, VRN, 1.69%, (3-month LIBOR plus 1.56%), 7/23/33(3)
800,000 800,007 
Elmwood CLO II Ltd., Series 2019-2A, Class DR, VRN, 3.13%, (3-month LIBOR plus 3.00%), 4/20/34(3)
500,000 503,355 
Elmwood CLO V Ltd., Series 2020-2A, Class BR, VRN, 1.77%, (3-month LIBOR plus 1.65%), 10/20/34(3)(4)
425,000 425,026 
Elmwood CLO X Ltd., Series 2021-3A, Class B, VRN, 1.72%, (3-month LIBOR plus 1.60%), 10/20/34(3)(4)
1,075,000 1,075,000 
Elmwood CLO X Ltd., Series 2021-3A, Class C, VRN, 2.07%, (3-month LIBOR plus 1.95%), 10/20/34(3)(4)
625,000 625,000 
Goldentree Loan Management US CLO Ltd., Series 2017-1A, Class CR2, VRN, 1.93%, (3-month LIBOR plus 1.80%), 4/20/34(3)
750,000 740,209 
KKR CLO Ltd., Series 2022A, Class A, VRN, 1.28%, (3-month LIBOR plus 1.15%), 7/20/31(3)
450,000 449,553 
KREF, Series 2021-FL2, Class AS, VRN, 1.39%, (1-month LIBOR plus 1.30%), 2/15/39(3)(4)
800,000 801,145 
KREF, Series 2021-FL2, Class B, VRN, 1.74%, (1-month LIBOR plus 1.65%), 2/15/39(3)(4)
800,000 800,800 
Madison Park Funding XXII Ltd., Series 2016-22A, Class A1R, VRN, 1.39%, (3-month LIBOR plus 1.26%), 1/15/33(3)
450,000 451,085 
Madison Park Funding XXXVII Ltd., Series 2019-37A, Class BR, VRN, 1.79%, (3-month LIBOR plus 1.65%), 7/15/33(3)
1,075,000 1,075,058 
Magnetite CLO Ltd., Series 2021-31 A, Class B, VRN, 1.77%, (3-month LIBOR plus 1.65%), 7/15/34(3)(4)
600,000 600,000 
Oak Hill Credit Partners X-R Ltd., Series 2014-10RA, Class CR, VRN, 2.13%, (3-month LIBOR plus 2.00%), 4/20/34(3)
925,000 927,293 
Octagon Investment Partners Ltd., Series 2019-3A, Class BR, VRN, 1.78%, (3-month LIBOR plus 1.65%), 7/15/34(3)
1,050,000 1,050,004 



Octagon Investment Partners Ltd., Series 2021-1A, Class C, VRN, 2.08%, (3-month LIBOR plus 1.95%), 7/20/34(3)
300,000 299,902 
Octagon Investment Partners Ltd., Series 2021-1A, Class D, VRN, 3.18%, (3-month LIBOR plus 3.05%), 7/20/34(3)
275,000 277,179 
Octagon Investment Partners XV Ltd., Series 2013-1A, Class BRR, VRN, 1.63%, (3-month LIBOR plus 1.50%), 7/19/30(3)
800,000 800,000 
Parallel Ltd., Series 2019-1A, Class BR, VRN, 1.92%, (3-month LIBOR plus 1.80%), 7/20/32(3)(4)
825,000 825,000 
Park Avenue Institutional Advisers CLO Ltd., Series 2018-1A, Class BR, VRN, 2.23%, (3-month LIBOR plus 2.10%), 10/20/31(3)
750,000 748,158 
Rockford Tower CLO Ltd., Series 2021-2A, Class B, VRN, 1.87%, (3-month LIBOR plus 1.75%), 7/20/34(3)(4)
1,175,000 1,175,000 
Rockford Tower CLO Ltd., Series 2017-1A, Class CR2, VRN, 2.23%, (3-month LIBOR plus 2.10%), 4/20/34(3)
875,000 879,745 
Rockford Tower CLO Ltd., Series 2017-3A, Class A, VRN, 1.32%, (3-month LIBOR plus 1.19%), 10/20/30(3)
650,000 650,890 
Sound Point CLO Ltd., Series 2019-1A, Class BR, VRN, 1.82%, (3-month LIBOR plus 1.70%), 1/20/32(3)(4)
1,350,000 1,350,000 
Symphony CLO XXII Ltd., Series 2020-22A, Class A1A, VRN, 1.42%, (3-month LIBOR plus 1.29%), 4/18/33(3)
500,000 500,582 
Symphony CLO XXV Ltd., Series 2021-25A, Class C, VRN, 2.24%, (3-month LIBOR plus 2.05%), 4/19/34(3)
875,000 872,057 
THL Credit Wind River CLO Ltd., Series 2013-2A, Class BR2, VRN, 1.70%, (3-month LIBOR plus 1.57%), 10/18/30(3)
1,150,000 1,148,419 
Voya CLO Ltd., Series 2013-2A, Class A1R, VRN, 1.10%, (3-month LIBOR plus 0.97%), 4/25/31(3)
700,000 696,673 
Voya CLO Ltd., Series 2016-4A, Class B2R, VRN, 1.68%, (3-month LIBOR plus 1.55%), 7/20/29(3)
1,093,600 1,092,401 
TOTAL COLLATERALIZED LOAN OBLIGATIONS
(Cost $28,740,980)
28,750,864 
ASSET-BACKED SECURITIES — 2.3%


BDS Ltd., Series 2021-FL7, Class C, VRN, 1.79%, 6/16/36(3)
1,125,000 1,123,599 
Blackbird Capital Aircraft, Series 2021-1A, Class A SEQ, 2.44%, 7/15/46(3)
900,000 912,684 
BRE Grand Islander Timeshare Issuer LLC, Series 2017-1A, Class A SEQ, 2.94%, 5/25/29(3)
346,311 355,107 
Capital Automotive REIT, Series 2021-1A, Class A4 SEQ, 2.76%, 8/15/51(3)(4)
800,000 799,791 
Castlelake Aircraft Structured Trust, Series 2017-1R, Class A SEQ, 2.74%, 8/15/41(3)(4)
900,000 900,440 
CLI Funding VI LLC, Series 2020-1A, Class A SEQ, 2.08%, 9/18/45(3)
498,667 505,286 
Diamond Resorts Owner Trust, Series 2021-1A, Class A SEQ, 1.51%, 11/21/33(3)
984,514 993,189 
FirstKey Homes Trust, Series 2020-SFR2, Class D, 1.97%, 10/19/37(3)
1,200,000 1,207,570 
FirstKey Homes Trust, Series 2021-SFR1, Class D, 2.19%, 8/17/38(3)
950,000 960,904 
FirstKey Homes Trust, Series 2021-SFR1, Class E1, 2.39%, 8/17/38(3)
1,100,000 1,112,705 
Global SC Finance SRL, Series 2021-2A, Class A SEQ, 1.95%, 8/17/41(3)(4)
1,350,000 1,349,941 
Goodgreen Trust, Series 2018-1A, Class A, VRN, 3.93%, 10/15/53(3)
469,192 501,342 
Goodgreen Trust, Series 2020-1A, Class A SEQ, 2.63%, 4/15/55(3)
897,816 934,402 
Goodgreen Trust, Series 2021-1A, Class A SEQ, 2.66%, 10/15/56(3)
577,676 588,895 
Hilton Grand Vacations Trust, Series 2018-AA, Class B, 3.70%, 2/25/32(3)
822,084 861,892 
MAPS Trust, Series 2021-1A, Class A SEQ, 2.52%, 6/15/46(3)
1,709,986 1,737,743 
Mosaic Solar Loan Trust, Series 2021-1A, Class B, 2.05%, 12/20/46(3)
810,561 817,317 
MVW Owner Trust, Series 2016-1A, Class A SEQ, 2.25%, 12/20/33(3)
108,874 109,964 
Progress Residential Trust, Series 2018-SFR3, Class A SEQ, 3.88%, 10/17/35(3)
998,288 1,011,069 
Progress Residential Trust, Series 2018-SFR3, Class B, 4.08%, 10/17/35(3)
2,550,000 2,564,368 
Progress Residential Trust, Series 2021-SFR2, Class D, 2.20%, 4/19/38(3)
600,000 604,718 
Progress Residential Trust, Series 2021-SFR3, Class B, 1.89%, 5/17/26(3)
1,300,000 1,317,994 
Progress Residential Trust, Series 2021-SFR3, Class C, 2.09%, 5/17/26(3)
500,000 508,024 
Sierra Timeshare Receivables Funding LLC, Series 2018-2A, Class A SEQ, 3.50%, 6/20/35(3)
246,010 255,302 
Sierra Timeshare Receivables Funding LLC, Series 2021-1A, Class C, 1.79%, 11/20/37(3)
487,985 492,225 
TAL Advantage VII LLC, Series 2020-1A, Class A SEQ, 2.05%, 9/20/45(3)
501,875 509,976 
Towd Point Mortgage Trust, Series 2018-2, Class A1, VRN, 3.25%, 3/25/58(3)
745,448 772,688 
VSE VOI Mortgage LLC, Series 2016-A, Class A SEQ, 2.54%, 7/20/33(3)
159,331 159,459 
VSE VOI Mortgage LLC, Series 2018-A, Class B, 3.72%, 2/20/36(3)
337,811 353,999 
Wendy's Funding LLC, Series 2021-1A, Class A2I SEQ, 2.37%, 6/15/51(3)
800,000 817,242 
TOTAL ASSET-BACKED SECURITIES
(Cost $24,810,292)
25,139,835 
MUNICIPAL SECURITIES — 0.6%


Bay Area Toll Authority Rev., 6.92%, 4/1/40295,000 452,597 
California State University Rev., 2.98%, 11/1/51500,000 533,194 



Foothill-Eastern Transportation Corridor Agency Rev., 4.09%, 1/15/49275,000 294,562 
Grand Parkway Transportation Corp. Rev., 3.24%, 10/1/52225,000 231,871 
Houston GO, 3.96%, 3/1/47120,000 144,161 
Metropolitan Transportation Authority Rev., 6.69%, 11/15/40105,000 153,137 
Metropolitan Transportation Authority Rev., 6.81%, 11/15/4060,000 88,276 
Metropolitan Water Reclamation District of Greater Chicago GO, 5.72%, 12/1/38650,000 935,420 
Michigan Strategic Fund Rev., (Flint Water Advocacy Fund), 3.23%, 9/1/47570,000 586,675 
Missouri Highway & Transportation Commission Rev., 5.45%, 5/1/33130,000 168,593 
New Jersey Turnpike Authority Rev., 7.41%, 1/1/40200,000 335,509 
New Jersey Turnpike Authority Rev., 7.10%, 1/1/4195,000 155,481 
New York City GO, 6.27%, 12/1/3795,000 142,001 
Ohio Turnpike & Infrastructure Commission Rev., 3.22%, 2/15/48330,000 343,948 
Ohio Water Development Authority Water Pollution Control Loan Fund Rev., 4.88%, 12/1/34110,000 133,102 
Port Authority of New York & New Jersey Rev., 4.93%, 10/1/5150,000 71,532 
Regents of the University of California Medical Center Pooled Rev., 3.26%, 5/15/60245,000 271,406 
Rutgers The State University of New Jersey Rev., 5.67%, 5/1/40300,000 418,214 
Sacramento Municipal Utility District Rev., 6.16%, 5/15/36210,000 298,516 
San Francisco Public Utilities Commission Water Rev., 6.00%, 11/1/40105,000 148,586 
Santa Clara Valley Transportation Authority Rev., 5.88%, 4/1/32120,000 152,259 
State of California GO, 4.60%, 4/1/38355,000 417,392 
State of California GO, 7.55%, 4/1/39100,000 173,738 
State of California GO, 7.30%, 10/1/39160,000 260,105 
State of California GO, 7.60%, 11/1/4080,000 142,486 
State of Washington GO, 5.14%, 8/1/4020,000 28,420 
TOTAL MUNICIPAL SECURITIES
(Cost $5,826,589)
7,081,181 
EXCHANGE-TRADED FUNDS — 0.4%


SPDR Bloomberg Barclays Short Term High Yield Bond ETF
(Cost $3,885,193)
143,100 3,928,095 
COMMERCIAL MORTGAGE-BACKED SECURITIES — 0.3%


BDS Ltd., Series 2021-FL8, Class C, VRN, 1.65%, (1-month LIBOR plus 1.55%), 1/18/36(3)(4)
500,000 500,742 
BDS Ltd., Series 2021-FL8, Class D, VRN, 2.00%, (1-month LIBOR plus 1.90%), 1/18/36(3)(4)
400,000 400,625 
BX Commercial Mortgage Trust, Series 2020-VIVA, Class D, VRN, 3.55%, 3/11/44(3)
1,100,000 1,158,115 
BXMT, Ltd., Series 2020-FL2, Class C, VRN, 1.81%, (SOFR plus 1.76%), 2/15/38(3)
1,090,000 1,091,844 
TOTAL COMMERCIAL MORTGAGE-BACKED SECURITIES
(Cost $3,141,126)
3,151,326 
U.S. GOVERNMENT AGENCY SECURITIES — 0.2%
FNMA, 0.75%, 10/8/27
(Cost $1,997,464)
2,000,000 1,979,476 
SOVEREIGN GOVERNMENTS AND AGENCIES — 0.2%
Chile
Chile Government International Bond, 3.25%, 9/14/21100,000 100,055 
Chile Government International Bond, 3.625%, 10/30/42100,000 107,457 
207,512 
Mexico — 0.1%
Mexico Government International Bond, 4.15%, 3/28/27600,000 683,619 
Peru — 0.1%
Peruvian Government International Bond, 5.625%, 11/18/50170,000 230,787 
Philippines
Philippine Government International Bond, 6.375%, 10/23/34150,000 212,042 
Poland
Republic of Poland Government International Bond, 3.00%, 3/17/23140,000 146,143 
South Africa
Republic of South Africa Government International Bond, 4.67%, 1/17/24110,000 118,458 



Uruguay
Uruguay Government International Bond, 4.125%, 11/20/45120,000 141,820 
TOTAL SOVEREIGN GOVERNMENTS AND AGENCIES
(Cost $1,517,144)
1,740,381 
BANK LOAN OBLIGATIONS(5)†


Pharmaceuticals
Horizon Therapeutics USA Inc., 2021 Term Loan B, 2.50%, (1-month LIBOR plus 2.00%), 3/15/28
(Cost $503,349)
502,740 498,530 
TEMPORARY CASH INVESTMENTS — 4.9%


State Street Institutional U.S. Government Money Market Fund, Premier Class
(Cost $54,360,151)
54,360,151 54,360,151 
TOTAL INVESTMENT SECURITIES — 106.8%
(Cost $1,004,786,265)

1,177,437,694 
OTHER ASSETS AND LIABILITIES — (6.8)%

(75,353,717)
TOTAL NET ASSETS — 100.0%

$1,102,083,977 

FUTURES CONTRACTS PURCHASED
Reference EntityContractsExpiration
Date
Notional
Amount
Unrealized
Appreciation
(Depreciation)^
S&P 500 E-Mini20 September 2021$4,389,500 $(5,454)
U.S. Treasury 2-Year Notes63 September 202113,901,344 11,496 
U.S. Treasury 5-Year Notes89 September 202111,075,633 17,809 
U.S. Treasury Long Bonds36 September 20215,929,875 218,957 
U.S. Treasury Ultra Bonds10 September 20211,995,312 9,699 
$37,291,664 $252,507 
^Amount represents value and unrealized appreciation (depreciation).

FUTURES CONTRACTS SOLD
Reference EntityContractsExpiration
Date
Notional
Amount
Unrealized
Appreciation
(Depreciation)^
U.S. Treasury 10-Year Notes
26 September 2021$3,495,781 $(6,217)
^Amount represents value and unrealized appreciation (depreciation).

CENTRALLY CLEARED CREDIT DEFAULT SWAP AGREEMENTS§
Reference Entity
Type
Fixed Rate
Received
(Paid)
Quarterly
Termination
Date
Notional
Amount
Premiums
Paid
(Received)
Unrealized
Appreciation
(Depreciation)
Value^
Markit CDX North America High Yield Index Series 36Buy5.00%6/20/26$9,500,000 $(889,312)$(43,128)$(932,440)
§Credit default swap agreements enable the fund to buy/sell protection against a credit event of a specific issuer or index. As a seller of credit protection against a security or basket of securities, the fund receives an upfront and/or periodic payment to compensate against potential default events. The fund may attempt to enhance returns by selling protection.

^The value for credit default swap agreements serves as an indicator of the current status of the payment/performance risk and represent the likelihood of an expected liability or profit at the period end. Increasing values in absolute terms when compared to the notional amount of the credit default swap agreement represent a deterioration of the referenced entity's credit soundness and an increased likelihood or risk of a credit event occurring as defined in the agreement.




CENTRALLY CLEARED TOTAL RETURN SWAP AGREEMENTS
Floating Rate Index
Pay/Receive Floating
Rate Index
at Termination
Fixed
Rate
Termination
Date
Notional
Amount
Premiums Paid (Received)
Unrealized
Appreciation
(Depreciation)
Value
CPURNSAReceive1.78%8/5/24$3,500,000 $(528)$189,729 $189,201 
CPURNSAReceive2.34%2/5/26$4,000,000 524 159,497 160,021 
CPURNSAReceive2.33%2/8/26$4,000,000 524 160,003 160,527 
CPURNSAReceive2.30%2/24/26$4,000,000 525 163,352 163,877 
CPURNSAReceive2.40%2/9/31$2,000,000 522 75,540 76,062 
$1,567 $748,121 $749,688 

NOTES TO SCHEDULE OF INVESTMENTS
CDX-Credit Derivatives Indexes
CPURNSA-U.S. Consumer Price Index Urban Consumers Not Seasonally Adjusted Index
FHLMC-Federal Home Loan Mortgage Corporation
FNMA-Federal National Mortgage Association
GNMA-Government National Mortgage Association
GO-General Obligation
H15T1Y-Constant Maturity U.S. Treasury Note Yield Curve Rate Index
IO-Interest Only
LIBOR-London Interbank Offered Rate
MTN-Medium Term Note
SEQ-Sequential Payer
SOFR-Secured Overnight Financing Rate
TBA-To-Be-Announced. Security was purchased on a forward commitment basis with an approximate principal amount and maturity date. Actual principal amount and maturity date will be determined upon settlement.
UMBS-Uniform Mortgage-Backed Securities
VRN-Variable Rate Note. The rate adjusts periodically based upon the terms set forth in the security’s offering documents. The rate shown is effective at the period end and the reference rate and spread, if any, is indicated. The security's effective maturity date may be shorter than the final maturity date shown.
Category is less than 0.05% of total net assets.
(1)Non-income producing.
(2)Security, or a portion thereof, has been pledged at the custodian bank or with a broker for collateral requirements on forward commitments, futures contracts and/or swap agreements. At the period end, the aggregate value of securities pledged was $1,461,780.
(3)Security was purchased pursuant to Rule 144A or Section 4(2) under the Securities Act of 1933 and may be sold in transactions exempt from registration, normally to qualified institutional investors. The aggregate value of these securities at the period end was $95,188,809, which represented 8.6% of total net assets.
(4)When-issued security. The issue price and yield are fixed on the date of the commitment, but payment and delivery are scheduled for a future date.
(5)The interest rate on a bank loan obligation adjusts periodically based on a predetermined schedule. Rate or range of rates shown is effective at period end. The maturity date on a bank loan obligation may be less than indicated as a result of contractual or optional prepayments. These prepayments cannot be predicted with certainty.



SUPPLEMENTARY NOTES TO SCHEDULE OF INVESTMENTS

1. Investment Valuations

The fund determines the fair value of its investments and computes its net asset value (NAV) per share at the close of regular trading (usually 4 p.m. Eastern time) on the New York Stock Exchange (NYSE) on each day the NYSE is open. The Board of Directors has adopted valuation policies and procedures to guide the investment advisor in the fund’s investment valuation process and to provide methodologies for the oversight of the fund’s pricing function.

Equity securities that are listed or traded on a domestic securities exchange are valued at the last reported sales price or at the official closing price as provided by the exchange. Equity securities traded on foreign securities exchanges are generally valued at the closing price of such securities on the exchange where primarily traded or at the close of the NYSE, if that is earlier. If no last sales price is reported, or if local convention or regulation so provides, the mean of the latest bid and asked prices may be used. Securities traded over-the-counter are valued at the mean of the latest bid and asked prices, the last sales price, or the official closing price.

Fixed income securities are valued at the evaluated mean as provided by independent pricing services or at the mean of the most recent bid and asked prices as provided by investment dealers. Corporate bonds, U.S. Treasury and Government Agency securities, convertible bonds, bank loan obligations, municipal securities, and sovereign governments and agencies are valued using market models that consider trade data, quotations from dealers and active market makers, relevant yield curve and spread data, creditworthiness, trade data or market information on comparable securities, and other relevant security specific information. Mortgage-related and asset-backed securities are valued based on models that consider trade data, prepayment and default projections, benchmark yield and spread data and estimated cash flows of each tranche of the issuer. Collateralized loan obligations are valued based on discounted cash flow models that consider trade and economic data, prepayment assumptions and default projections.

Hybrid securities are valued at the evaluated mean as provided by independent pricing services or at the mean of the most recent bid and asked prices as provided by investment dealers. Preferred stocks and convertible preferred stocks with perpetual maturities are valued using market models that consider trade data, quotations from dealers and active market makers, relevant yield curve and spread data, creditworthiness, trade data or market information on comparable securities, and other relevant security specific information.

Open-end management investment companies are valued at the reported NAV per share. Exchange-traded futures contracts are valued at the settlement price as provided by the appropriate exchange. Swap agreements are valued at an evaluated mean as provided by independent pricing services or independent brokers.

If the fund determines that the market price for an investment is not readily available or the valuation methods mentioned above do not reflect an investment’s fair value, such investment is valued as determined in good faith by the Board of Directors or its delegate, in accordance with policies and procedures adopted by the Board of Directors. In its determination of fair value, the fund may review several factors including, but not limited to, market information regarding the specific investment or comparable investments and correlation with other investment types, futures indices or general market indicators. Circumstances that may cause the fund to use these procedures to value an investment include, but are not limited to: an investment has been declared in default or is distressed; trading in a security has been suspended during the trading day or a security is not actively trading on its principal exchange; prices received from a regular pricing source are deemed unreliable; or there is a foreign market holiday and no trading occurred.

The fund monitors for significant events occurring after the close of an investment’s primary exchange but before the fund’s NAV per share is determined. Significant events may include, but are not limited to: corporate announcements and transactions; governmental action and political unrest that could impact a specific investment or an investment sector; or armed conflicts, natural disasters and similar events that could affect investments in a specific country or region. The fund also monitors for significant fluctuations between domestic and foreign markets, as evidenced by the U.S. market or such other indicators that the Board of Directors, or its delegate, deems appropriate. The fund may apply a model-derived factor to the closing price of equity securities traded on foreign securities exchanges. The factor is based on observable market data as provided by an independent pricing service.

2. Fair Value Measurements

The fund’s investments valuation process is based on several considerations and may use multiple inputs to determine the fair value of the investments held by the fund. In conformity with accounting principles generally accepted in the United States of America, the inputs used to determine a valuation are classified into three broad levels.

Level 1 valuation inputs consist of unadjusted quoted prices in an active market for identical investments.

Level 2 valuation inputs consist of direct or indirect observable market data (including quoted prices for comparable investments, evaluations of subsequent market events, interest rates, prepayment speeds, credit risk, etc.). These inputs also consist of quoted prices for identical investments initially expressed in local currencies that are adjusted through translation into U.S. dollars.

Level 3 valuation inputs consist of unobservable data (including a fund’s own assumptions).

The level classification is based on the lowest level input that is significant to the fair valuation measurement. The valuation inputs are not necessarily an indication of the risks associated with investing in these securities or other financial instruments.




The following is a summary of the level classifications as of period end. The Schedule of Investments provides additional information on the fund’s portfolio holdings.
Level 1 ($)Level 2 ($)Level 3 ($)
Assets
Investment Securities
Common Stocks650,729,067 8,484,187 — 
U.S. Treasury Securities— 172,529,102 — 
Corporate Bonds— 116,495,816 — 
U.S. Government Agency Mortgage-Backed Securities— 73,786,049 — 
Collateralized Mortgage Obligations— 28,783,634 — 
Collateralized Loan Obligations— 28,750,864 — 
Asset-Backed Securities— 25,139,835 — 
Municipal Securities— 7,081,181 — 
Exchange-Traded Funds3,928,095 — — 
Commercial Mortgage-Backed Securities— 3,151,326 — 
U.S. Government Agency Securities— 1,979,476 — 
Sovereign Governments and Agencies— 1,740,381 — 
Bank Loan Obligations— 498,530 — 
Temporary Cash Investments54,360,151 — — 
709,017,313 468,420,381 — 
Other Financial Instruments
Futures Contracts257,961 — — 
Swap Agreements— 749,688 — 
257,961 749,688 — 
Liabilities
Other Financial Instruments
Futures Contracts11,671 — — 
Swap Agreements— 932,440 — 
11,671 932,440 — 
This schedule of investments provides information about the fund’s portfolio holdings as of the date on the schedule. It is unaudited, and American Century Investments assumes no obligation to update or supplement the schedule to reflect subsequent changes. More information is available in the fund’s most recent annual or semiannual shareholder report.