NPORT-EX 2 2333_0001091439.htm DOS

AZL DFA Five-Year Global Fixed Income Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
        Value
Corporate Bonds (7.5%):

 

Capital Markets (0.5%):

 

  $2,250,000  

National Securities Clearing Corp., 0.75%, 12/7/25, Callable 11/7/25 @ 100

     $      2,214,394  
    

 

 

 

Diversified Financial Services (0.3%):   
1,144,000  

Berkshire Hathaway, Inc., 3.13%, 3/15/26, Callable 12/15/25 @ 100

     1,241,477  
    

 

 

 

Food & Staples Retailing (0.8%):   
3,600,000  

Walmart, Inc., 1.05%, 9/17/26, Callable 8/17/26 @ 100^

     3,590,024  
    

 

 

 

Food Products (0.4%):   
1,550,000  

Nestle Holdings, Inc., 0.63%, 1/15/26, Callable 12/15/25 @ 100^(a)

     1,518,348  
    

 

 

 

Household Products (1.1%):   
4,827,000  

Procter & Gamble Co. (The), 1.00%, 4/23/26

     4,822,815  
    

 

 

 

Internet & Direct Marketing Retail (1.8%):   
7,800,000  

Amazon.com, Inc., 1.00%, 5/12/26, Callable 4/12/26 @ 100

     7,784,712  
    

 

 

 

IT Services (0.1%):   
400,000  

Visa, Inc., 3.15%, 12/14/25, Callable 9/14/25 @ 100

     433,268  
    

 

 

 

Oil, Gas & Consumable Fuels (0.3%):   
1,000,000  

Chevron Corp., 2.95%, 5/16/26, Callable 2/16/26 @ 100

     1,075,060  
    

 

 

 

Pharmaceuticals (1.0%):   
2,200,000  

Merck & Co., Inc., 0.75%, 2/24/26, Callable 1/24/26 @ 100

     2,169,259  
1,754,000  

Roche Holdings, Inc., 0.99%, 3/5/26, Callable 2/5/26 @ 100(a)

     1,741,215  
200,000  

Roche Holdings, Inc., 2.63%, 5/15/26, Callable 2/15/26 @ 100(a)

     211,842  
    

 

 

 

       4,122,316  
    

 

 

 

Technology Hardware, Storage & Peripherals (1.2%):   
3,376,000  

Apple, Inc., 0.70%, 2/8/26, Callable 1/8/26 @ 100

     3,334,580  
1,701,000  

Apple, Inc., 3.25%, 2/23/26, Callable 11/23/25 @ 100

     1,849,228  
    

 

 

 

       5,183,808  
    

 

 

 

        Total Corporate Bonds (Cost $32,102,302)      31,986,222  
    

 

 

 

Foreign Bonds (19.1%):   
(1.6%):   
300,000   Inter-American Development Bank, 4.25%, 6/11/26, MTN+      248,574  
1,000,000   International Finance Corp., 3.20%, 7/22/26, MTN+      795,267  
2,000,000   New Zealand Government Bond, 0.50%, 5/15/24+      1,354,034  
4,500,000   New Zealand Local Government Funding Agency Bond, 2.25%, 4/15/24+      3,153,933  
1,500,000   Queensland Treasury Corp., 3.25%, 7/21/26+(a)      1,202,810  
    

 

 

 

       6,754,618  
    

 

 

 

Principal
Amount
        Value
Foreign Bonds, continued   
Banks (4.9%):   
  $3,000,000   Australia & New Zealand Banking Group, Ltd.,
0.78%(BBSW3M+76bps), 1/16/25, MTN+
     $      2,198,907  
4,500,000   Kreditanstalt fuer Wiederaufbau, 1.63%, 4/3/24, MTN+      518,892  
5,400,000   Kreditanstalt fuer Wiederaufbau, 0.75%, 2/19/26+      4,181,393  
2,000,000   National Australia Bank, Ltd., 0.80%(BBSW3M+77bps), 1/21/25, MTN+      1,466,487  
4,000,000   Nordic Investment Bank, 1.88%, 4/10/24, MTN+      463,970  
600,000   Nordic Investment Bank, 3.40%, 2/6/26, MTN+      477,139  
600,000   Toronto-Dominion Bank (The), 1.03%(BBSW3M+100bps), 7/10/24+      441,200  
10,200,000   Toronto-Dominion Bank (The), 1.13%, 12/9/25+      7,879,951  
2,000,000   Westpac Banking Corp., 1.17%(BBSW3M+114bps), 4/24/24, MTN+      1,478,009  
2,400,000   Westpac Banking Corp., 4.13%, 6/4/26, MTN+      1,953,796  
    

 

 

 

       21,059,744  
    

 

 

 

Capital Markets (0.7%):   
1,000,000   Canada Housing Trust NO 1, 1.25%, 6/15/26+(a)      789,774  
2,600,000   PSP Capital, Inc., 0.90%, 6/15/26+      2,014,261  
    

 

 

 

       2,804,035  
    

 

 

 

Diversified Financial Services (0.4%):   
9,000,000   European Investment Bank, 0.75%, 9/9/24, MTN+      1,012,675  
1,100,000   Landwirtschaftliche Rentenbank, 4.75%, 5/6/26, MTN+      927,627  
    

 

 

 

       1,940,302  
    

 

 

 

Sovereign Bond (11.5%):   
1,000,000   Asian Development Bank, 0.50%, 5/5/26, MTN+      705,618  
11,500,000   Australia Government Bond, 0.25%, 11/21/25+      8,200,143  
4,400,000   Australia Government Bond, 4.25%, 4/21/26+      3,688,722  
300,000   Inter-American Development Bank, 2.75%, 10/30/25, MTN+      232,936  
277,000   Inter-American Development Bank, 4.40%, 1/26/26+      247,496  
2,000,000   International Bank for Reconstruction & Development, 1.75%, 11/6/24, MTN+      231,193  
1,400,000   International Bank for Reconstruction & Development, 0.63%, 1/14/26+      1,077,881  
1,000,000   International Bank for Reconstruction & Development, 0.50%, 5/18/26, MTN+      705,264  
9,200,000   New South Wales Treasury Corp., 4.00%, 5/20/26+      7,588,565  
4,450,000   New Zealand Government Bond, 0.50%, 5/15/26+      2,928,615  
6,000,000   Norway Government Bond, 1.75%, 3/13/25+(a)      697,473  
7,000,000   Province of Alberta Canada, 2.20%, 6/1/26+      5,746,976  
2,000,000   Province of British Columbia Canada, 2.30%, 6/18/26+      1,654,122  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA Five-Year Global Fixed Income Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
        Value
Foreign Bonds, continued

 

Sovereign Bond, continued

 

  $2,300,000   Province of Manitoba Canada, 2.55%, 6/2/26+      $      1,916,515  
2,000,000   Province of Ontario Canada, 2.40%, 6/2/26+      1,656,586  
2,000,000   Province of Ontario Canada, 1.35%, 9/8/26+      1,575,000  
7,000,000   Province of Quebec Canada, 2.50%, 9/1/26+      5,839,506  
1,000,000   Singapore Government Bond, 2.13%, 6/1/26+      776,545  
4,700,000   Treasury Corp. of Victoria, 0.50%, 11/20/25, MTN+      3,359,890  
    

 

 

 

       48,829,046  
    

 

 

 

        Total Foreign Bonds (Cost $83,671,971)      81,387,745  
    

 

 

 

Yankee Dollars (46.6%):   
Banks (7.7%):   
1,000,000  

Bank of New Zealand, 1.00%, 3/3/26(a)

     983,616  
2,400,000  

Commonwealth Bank of Australia, 1.13%, 6/15/26(a)

     2,377,255  
400,000  

Dexia Credit Local SA, 1.13%, 4/9/26(a)

     401,251  
3,850,000  

Dexia Credit Local SA, 1.13%, 4/9/26

     3,862,039  
4,740,000  

Kreditanstalt fuer Wiederaufbau, 0.63%, 1/22/26

     4,676,446  
1,000,000  

National Australia Bank, Ltd./New York, 3.38%, 1/14/26

     1,092,467  
1,000,000  

Nordea Bank Abp, 0.75%, 8/28/25(a)

     985,394  
1,000,000  

Nordic Investment Bank, 0.50%, 1/21/26^

     983,430  
2,000,000  

Oesterreichische Kontrollbank AG, 0.50%, 2/2/26, MTN

     1,961,602  
7,100,000  

Skandinaviska Enskilda Banken AB, 1.20%, 9/9/26(a)

     7,051,407  
3,860,000  

Toronto-Dominion Bank (The), 0.75%, 1/6/26, MTN

     3,792,265  
19,000  

Toronto-Dominion Bank (The), 1.20%, 6/3/26

     18,826  
1,000,000  

Westpac Banking Corp., 2.85%, 5/13/26

     1,074,063  
3,490,000  

Westpac Banking Corp., 1.15%, 6/3/26

     3,479,910  
    

 

 

 

       32,739,971  
    

 

 

 

Capital Markets (0.6%):   
2,681,000   PSP Capital, Inc., 1.00%, 6/29/26(a)      2,670,638  
    

 

 

 

Diversified Financial Services (17.8%):   
6,200,000  

Agence Francaise de Developpement Epic, 0.63%, 1/22/26, MTN

     6,099,002  
422,000  

Bng Bank NV, 0.50%, 11/24/25, MTN

     415,261  
668,000  

Bng Bank NV, 0.88%, 5/18/26, MTN

     664,119  
1,000,000  

BNG Bank NV, 2.38%, 3/16/26

     1,058,620  
7,300,000  

BNG Bank NV, 0.88%, 5/18/26(a)

     7,257,602  
400,000  

Caisse d’Amortissement de la Dette Sociale, 0.63%, 2/18/26(a)

     393,702  
7,100,000  

Caisse d’Amortissement de la Dette Sociale, 0.63%, 2/18/26

     6,988,203  
9,650,000  

Cppib Capital, Inc., 0.88%, 9/9/26(a)

     9,507,643  
12,177,000  

European Bank for Reconstruction & Development, 0.50%, 1/28/26

     11,953,723  
7,413,000  

European Investment Bank, 0.38%, 3/26/26

     7,231,730  
Principal
Amount
        Value
Yankee Dollars, continued   
Diversified Financial Services, continued   
  $1,000,000  

Kommunalbanken AS, 0.50%, 1/13/26, MTN

     $         980,617  
4,758,000  

Kommunekredit, 0.50%, 1/28/26, MTN

     4,665,076  
9,600,000  

Landwirtschaftliche Rentenbank, 0.88%, 3/30/26

     9,558,403  
1,894,000  

Nrw Bank, 0.88%, 3/9/26, MTN

     1,883,450  
6,750,000  

Ontario Teachers’ Finance Trust, 0.88%, 9/21/26(a)

     6,640,130  
390,000  

Shell International Finance BV, 2.88%, 5/10/26

     420,128  
    

 

 

 

       75,717,409  
    

 

 

 

Oil, Gas & Consumable Fuels (0.9%):   
4,000,000   Equinor ASA, 1.75%, 1/22/26, Callable 12/22/25 @ 100      4,092,944  
    

 

 

 

Sovereign Bond (19.7%):   
6,050,000  

African Development Bank, 0.88%, 3/23/26

     6,026,532  
5,400,000  

African Development Bank, 0.88%, 7/22/26

     5,362,427  
4,200,000  

Asian Development Bank, 0.50%, 2/4/26, MTN

     4,122,783  
7,700,000  

Asian Development Bank, 1.00%, 4/14/26

     7,712,289  
7,687,000  

Asian Infrastructure Investment Bank (The), 0.50%, 1/27/26

     7,543,084  
11,000,000  

Canada Government International Bond, 0.75%, 5/19/26

     10,839,653  
9,850,000  

Inter-American Development Bank, 0.88%, 4/20/26, MTN

     9,819,889  
489,000  

Inter-American Investment Corp., 0.63%, 2/10/26, MTN

     481,352  
4,100,000  

Kuntarahoitus OYJ, 0.63%, 3/20/26, MTN

     4,035,933  
7,200,000  

Province of British Columbia Canada, 0.90%, 7/20/26

     7,121,614  
3,650,000  

Province of Ontario Canada, 0.63%, 1/21/26

     3,584,395  
5,800,000  

Province of Ontario Canada, 1.05%, 4/14/26

     5,743,044  
5,200,000  

SFIL SA, 0.63%, 2/9/26, MTN

     5,112,172  
6,300,000  

State of North Rhine-Westphalia Germany, 1.00%, 4/21/26, MTN

     6,296,031  
    

 

 

 

       83,801,198  
    

 

 

 

        Total Yankee Dollars (Cost $200,093,354)      199,022,160  
    

 

 

 

U.S. Treasury Obligations (25.2%):   
U.S. Treasury Notes (25.2%)   
12,000,000   2.25%, 3/31/26      12,710,625  
31,500,000   0.75%, 3/31/26      31,273,594  
5,000,000   2.38%, 4/30/26      5,326,562  
16,500,000   0.75%, 4/30/26      16,365,937  
19,000,000   1.63%, 5/15/26      19,593,750  
4,000,000   2.13%, 5/31/26      4,217,500  
18,000,000   0.75%, 5/31/26      17,839,688  
    

 

 

 

       107,327,656  
    

 

 

 

        Total U.S. Treasury Obligations (Cost $107,703,083)      107,327,656  
    

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA Five-Year Global Fixed Income Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
        Value
Short-Term Security Held as Collateral for Securities on Loan (1.1%):   
4,585,280   BlackRock Liquidity FedFund, Institutional Class , 0.03%(b)(c)      $      4,585,280  
    

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan (Cost $4,585,280)

     4,585,280  
    

 

 

 

Shares         Value
Unaffiliated Investment Company (0.3%):   
Money Markets (0.3%):   
1,085,429   Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(c)      1,085,429  
    

 

 

 

Total Unaffiliated Investment Company (Cost $1,085,429)

     1,085,429  
    

 

 

 

Total Investment Securities

(Cost $429,241,419) – 99.8%

     425,394,492  

Net other assets (liabilities) – 0.2%

     690,911  
    

 

 

 

Net Assets - 100.0%

     $426,085,403  
    

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

MTN    -   Medium Term Note

 

^

This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities on loan as of September 30, 2021 was $4,488,190.

+

The principal amount is disclosed in local currency and the fair value is disclosed in U.S. Dollars.

(a)

Rule 144A, Section 4(2) or other security which is restricted to resale to institutional investors. The sub-adviser has deemed these securities to be liquid based on procedures approved by the Board of Trustees.

(b)

Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.

(c)

The rate represents the effective yield at September 30, 2021.

The following represents the concentrations by country of risk (based on the domicile of the security issuer) relative to the total value of investments as of September 30, 2021:

(Unaudited)

 

Country

 

Percentage

Australia

      9.1%      

Austria

      0.5%      

Canada

      18.6%      

Denmark

      1.1%      

Finland

      1.2%      

France

      5.3%      

Germany

      6.5%      

Netherlands

      2.3%      

New Zealand

      2.0%      

Norway

      1.3%      

Singapore

      0.2%      

Supernational

      15.7%      

Sweden

      1.6%      

United States

      34.6%      
   

 

 

 
          100.0%      
   

 

 

 
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA Five-Year Global Fixed Income Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Forward Currency Contracts

At September 30, 2021, the Fund’s open forward currency contracts were as follows:

 

Currency Purchased      Currency Sold      Counterparty    Settlement
Date
     Net Unrealized
Appreciation/
(Depreciation)
 

U.S. Dollar

     30,172,049      Canadian Dollar      38,101,001      Bank of America      10/8/21      $ 86,231  

U.S. Dollar

     2,541,402      Canadian Dollar      3,214,175      BNY Mellon      10/8/21        3,383  

U.S. Dollar

     1,600,480      Canadian Dollar      2,026,373      State Street      10/8/21        389  

U.S. Dollar

     5,775,012      Norwegian Krone      50,118,189      BNY Mellon      10/22/21        40,496  

Norwegian Krone

     4,115,787      U.S. Dollar      470,045      HSBC      10/22/21        882  

Norwegian Krone

     3,247,054      U.S. Dollar      370,216      HSBC      10/22/21        1,311  

U.S. Dollar

     6,957,738      New Zealand Dollar      9,839,550      Citigroup      11/1/21        168,945  

U.S. Dollar

     666,609      New Zealand Dollar      946,044      HSBC      11/1/21        13,886  

U.S. Dollar

     365,106      Australian Dollar      501,393      Bank of America      11/2/21        2,648  

U.S. Dollar

     38,009,332      Australian Dollar      51,929,701      Barclays Bank      11/2/21        469,291  
                 

 

 

 
                  $ 787,462  
                 

 

 

 

U.S. Dollar

     787,137      Singapore Dollar      1,070,669      ANZ Banking Group, Ltd.      10/5/21      $ (1,562)  

Canadian Dollar

     9,909,776      U.S. Dollar      7,892,725      Bank of America      10/8/21        (67,636)  

Canadian Dollar

     511,942      U.S. Dollar      405,744      Bank of America      10/8/21        (1,497)  

U.S. Dollar

     4,005,830      Canadian Dollar      5,078,215      BNY Mellon      10/8/21        (4,097)  

U.S. Dollar

     1,621,716      Canadian Dollar      2,068,569      BNY Mellon      10/8/21        (11,695)  

U.S. Dollar

     2,458,987      Canadian Dollar      3,154,285      Citigroup      10/8/21        (31,741)  

U.S. Dollar

     805,583      Canadian Dollar      1,021,321      State Street      10/8/21        (886)  

Norwegian Krone

     11,649,053      U.S. Dollar      1,354,477      Bank of America      10/22/21        (21,594)  

Norwegian Krone

     5,338,901      U.S. Dollar      623,281      HSBC      10/22/21        (12,405)  

Australian Dollar

     378,699      U.S. Dollar      275,945      Bank of America      11/2/21        (2,183)  

Australian Dollar

     1,051,495      U.S. Dollar      762,997      Bank of America      11/2/21        (2,870)  

Australian Dollar

     1,134,122      U.S. Dollar      826,263      Citigroup      11/2/21        (6,405)  
                 

 

 

 
                  $ (164,571)  
                 

 

 

 

Total Net Forward Currency Contracts

            $ 622,891  
                 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks (98.5%):   
Aerospace & Defense (0.9%):   
4,047   Airbus SE*    $        531,282  
512   Avon Rubber plc      13,362  
43,459   BAE Systems plc      328,434  
1,189   CAE, Inc.*      35,527  
3,081   Chemring Group plc      13,088  
350   Dassault Aviation SA      39,263  
504   Elbit Systems, Ltd.      73,159  
89   Facc AG*      963  
1,604   Kongsberg Gruppen ASA      44,479  
9,452   Leonardo SpA*      77,188  
1,132   LISI      33,588  
19,535   Meggitt plc*      193,938  
489   MTU Aero Engines AG      110,554  
19,005   QinetiQ Group plc      82,860  
84,719   Rolls-Royce Holdings plc*      159,361  
2,553   Saab AB      72,193  
700   Safran SA      87,755  
15,312   Senior plc*      34,728  
25,500   Singapore Technologies Engineering, Ltd.      71,262  
1,841   Thales SA      177,767  
2,146   Ultra Electronics Holdings plc      93,028  
    

 

 

 

       2,273,779  
    

 

 

 

Air Freight & Logistics (0.7%):   
11,278   Bollore, Inc.      65,206  
4,417   BPOST SA*      38,922  
2,399   Cia de Distribucion Integral Logista Holdings SA      50,426  
6,355   CTT-Correios de Portugal SA      33,932  
9,012   Deutsche Post AG      567,920  
5,994   Freightways, Ltd.      52,640  
73   ID Logistics Group*      23,311  
37,500   Kerry Network, Ltd.      80,143  
2,300   Kintetsu World Express, Inc.      58,538  
1,800   Konoike Transport Co., Ltd.      20,628  
1,428   Mainfreight, Ltd.      95,213  
1,800   Mitsui-Soko Holdings Co., Ltd.      40,714  
1,146   Oesterreichische Post AG^      48,353  
27,476   PostNL NV      132,492  
26,724   Royal Mail plc      151,203  
900   SBS Holdings, Inc.      33,981  
3,000   SG Holdings Co., Ltd.      85,317  
27,700   Singapore Post, Ltd.      12,928  
5,312   Wincanton plc      25,384  
4,600   Yamato Holdings Co., Ltd.      116,634  
    

 

 

 

       1,733,885  
    

 

 

 

Airlines (0.1%):   
26,921   Air New Zealand, Ltd.*      30,245  
1,200   ANA Holdings, Inc.*      31,160  
57,347   Cathay Pacific Airways, Ltd.*      48,132  
2,199   Deutsche Lufthansa AG, Registered Shares*^      15,128  
5,559   easyJet plc*      49,512  
1,128   Exchange Income Corp.      39,485  
2,400   Japan Airlines Co., Ltd.*      57,136  
2,549   JET2 plc*      43,905  
6,700   Singapore Airlines, Ltd.*      24,512  
    

 

 

 

       339,215  
    

 

 

 

Auto Components (1.9%):   
1,000   Aisan Industry Co., Ltd.      7,547  
2,900   Aisin Sieki Co., Ltd.      105,412  
7,300   Akebono Brake Industry Co., Ltd.*      14,305  
1,027   Akwel      25,504  
2,362   Arb Corp., Ltd.      82,563  
202   Autoneum Holding AG*      32,569  
3,367   Brembo SpA      42,412  
Shares         Value
Common Stocks, continued   
Auto Components, continued   
4,800   Bridgestone Corp.    $        227,677  
1,647   Bulten AB      15,795  
2,735   CIE Automotive SA      68,859  
3,565   Compagnie Generale des Establissements Michelin SCA, Class B      547,052  
1,922   Continental AG*      210,683  
2,800   Daido Metal Co., Ltd.      15,449  
2,400   Daikyonishikawa Corp.      14,033  
1,600   Denso Corp.      104,903  
8,224   Dometic Group AB(a)      123,677  
1,800   Eagle Industry Co., Ltd.      19,965  
673   Edag Engineering Group AG*      9,234  
1,724   ElringKlinger AG*      23,144  
1,700   Exedy Corp.      26,064  
4,682   Faurecia SA      218,175  
483   Faurecia SE      22,921  
2,300   FCC Co., Ltd.      32,458  
1,000   F-Tech, Inc.      5,548  
4,000   Futaba Industrial Co., Ltd.      17,095  
1,400   G-Tekt Corp.      18,288  
4,334   Gud Holdings, Ltd.      32,042  
560   Hella GmbH & Co. KGaA*      39,197  
1,600   Hi-Lex Corp.      25,410  
700   H-One Co., Ltd.      4,584  
300   Imasen Electric Industrial      1,879  
1,800   Kasai Kogyo Co., Ltd.*      6,102  
900   Koito Manufacturing Co., Ltd.      54,123  
25,060   Kongsberg Automotive ASA*      6,958  
1,000   KYB Corp.      27,134  
1,544   Leoni AG*      24,316  
1,933   Linamar Corp.      100,390  
3,438   Magna International, Inc.      258,675  
1,574   Magna Internationl, Inc.      118,473  
4,266   Martinrea International, Inc.      37,897  
2,000   Mitsuba Corp.*      11,899  
3,200   Musashi Seimitsu Industry Co., Ltd.      55,989  
4,800   NGK Spark Plug Co., Ltd.      75,094  
6,600   NHK SPRING Co., Ltd.      47,154  
600   Nichirin Co., Ltd.      9,597  
3,600   Nifco, Inc.      112,091  
2,200   Nippon Seiki Co., Ltd.      23,175  
2,700   NOK Corp.      31,710  
5,985   Nokian Renkaat OYJ      212,328  
2,600   Pacific Industrial Co., Ltd.      27,433  
13,329   Pirelli & C SpA(a)      78,062  
1,743   Plastic Omnium SA      44,519  
6,300   Press Kogyo Co., Ltd.      19,314  
3,582   PWR Holdings, Ltd.      22,576  
400   Riken Corp.      10,161  
2,542   SAF-Holland SE*      34,193  
1,900   Sanoh Industrial Co., Ltd.      17,328  
2,535   Schaeffler AG      19,487  
1,200   Shoei Co., Ltd.      54,059  
2,300   Stanley Electric Co., Ltd.      57,984  
12,500   Sumitomo Electric Industries, Ltd.      166,774  
2,900   Sumitomo Riko Co., Ltd.      19,864  
7,700   Sumitomo Rubber Industries, Ltd.      97,931  
300   T RAD Co., Ltd.      8,302  
1,400   Tachi-S Co., Ltd.      15,973  
800   Taiho Kogyo Co., Ltd.      6,003  
8,119   TI Fluid Systems plc(a)      27,457  
2,500   Tokai Rika Co., Ltd.      35,887  
2,500   Topre Corp.      29,679  
4,500   Toyo Tire Corp.      80,520  
1,700   Toyoda Gosei Co., Ltd.      34,136  
3,500   Toyota Boshoku Corp.      62,280  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Auto Components, continued   
700   Toyota Industries Corp.    $            57,517  
1,500   TPR Co., Ltd.      19,946  
2,800   TS Tech Co., Ltd.      36,128  
2,000   Unipres Corp.      16,444  
3,413   Valeo SA      95,230  
384   Vitesco Technologies Group AG*      22,706  
32,000   Xinyi Glass Holdings, Ltd.      95,059  
5,200   Yokohama Rubber Co., Ltd. (The)      93,507  
600   Yorozu Corp.      6,457  
    

 

 

 

       4,760,465  
    

 

 

 

Automobiles (2.3%):   
6,897   Bayerische Motoren Werke AG (BMW)      661,914  
12,614   Daimler AG, Registered Shares      1,121,179  
822   Ferrari NV      171,897  
11,100   Honda Motor Co., Ltd.      342,374  
8,600   Isuzu Motors, Ltd.      113,002  
7,900   Mazda Motor Corp.*      68,803  
8,800   Mitsubishi Motors Corp.*      24,077  
20,000   Nissan Motor Co., Ltd.*      100,317  
2,700   Nissan Shatai Co., Ltd.      19,358  
8,981   Piaggio & C SpA      30,990  
3,686   Renault SA*      131,465  
538   Stellantis NV      10,272  
41,274   Stellantis NV      789,600  
8,300   Subaru Corp.      154,156  
2,300   Suzuki Motor Corp.      102,532  
89,620   Toyota Motor Corp.      1,603,357  
430   Volkswagen AG      133,489  
5,100   Yamaha Motor Co., Ltd.      142,027  
    

 

 

 

       5,720,809  
    

 

 

 

Banks (7.8%):   
3,000   77th Bank      34,218  
5,339   ABN AMRO Group NV*(a)      76,811  
15,084   AIB Group plc*      40,670  
500   Aichi Bank, Ltd. (The)      16,133  
1,500   Akita Bank, Ltd. (The)      19,598  
2,146   Aktia Bank OYJ      28,850  
1,200   Aomori Bank, Ltd. (The)      23,075  
3,300   Aozora Bank, Ltd.^      80,866  
17,829   Australia & New Zealand Banking Group, Ltd.      359,625  
1,000   Awa Bank, Ltd. (The)      19,603  
19,504   Banca Monte dei Paschi di Siena SpA*^      24,490  
21,166   Banca Popolare di Sondrio SCPA      89,885  
7,989   Banco Bilbao Vizcaya Argentaria SA      52,693  
26,969   Banco Bilbao Vizcaya Argentaria SA, ADR      177,726  
44,790   Banco Bpm SpA      140,668  
106,975   Banco Comercial Portugues SA, Class R*      19,362  
238,968   Banco de Sabadell SA*      200,074  
87,012   Banco Santander SA      315,125  
6,287   Banco Santander SA, ADR      22,759  
8,101   Bank Hapoalim BM      71,158  
9,679   Bank Leumi Le-Israel Corp.      82,202  
7,556   Bank Norwegian ASA      90,356  
36,738   Bank of East Asia, Ltd. (The)      59,088  
974   Bank of Georgia Group plc*      20,258  
29,096   Bank of Ireland Group plc*      171,474  
900   Bank of Iwate, Ltd. (The)      13,858  
1,200   Bank of Kyoto, Ltd. (The)      55,046  
717   Bank of Montreal      71,592  
6,126   Bank of Montreal      610,946  
500   Bank of Nagoya, Ltd. (The)      11,863  
Shares         Value
Common Stocks, continued   
Banks, continued   
9,618   Bank of Nova Scotia    $        591,796  
820   Bank of Okinawa, Ltd. (The)      20,824  
27,839   Bank of Queensland, Ltd.      185,968  
2,000   Bank of The Ryukyus, Ltd.      14,004  
16,597   Bankinter SA      97,144  
71   Banque Cantonale de Geneve      12,736  
916   Banque Cantonale Vaudois, Registered Shares      69,672  
23,543   Barclays plc, ADR      242,964  
191   BAWAG Group AG(a)      11,977  
21,540   Bendigo & Adelaide Bank, Ltd.      145,715  
218   Berner Kantonalbank AG      48,436  
6,853   BNP Paribas SA^      438,914  
38,542   BOC Hong Kong Holdings, Ltd.      115,469  
34,804   BPER Banca      77,805  
86,101   CaixaBank SA      266,953  
5,594   Canadian Imperial Bank of Commerce      622,612  
200   Canadian Imperial Bank of Commerce^      22,268  
4,227   Canadian Western Bank      122,397  
8,600   Chiba Bank, Ltd. (The)      55,380  
10,000   Chong Hing Bank, Ltd.      26,849  
6,200   Chugoku Bank, Ltd. (The)      47,509  
700   Chukyo Bank, Ltd. (The)      8,706  
31,551   Commerzbank AG*      210,128  
7,457   Commonwealth Bank of Australia      555,576  
12,500   Concordia Financial Group, Ltd.      49,326  
7,042   Credit Agricole SA      97,145  
5,165   Credito Emiliano SpA      36,070  
16,000   Dah Sing Banking Group, Ltd.      14,607  
5,600   Dah Sing Financial Holdings, Ltd.      16,655  
1,900   Daishi Hokuetsu Financial Group, Inc.      43,243  
10,124   Danske Bank A/S      170,691  
7,992   DBS Group Holdings, Ltd.      177,509  
6,142   DNB Bank ASA*      139,496  
1,600   Ehime Bank, Ltd. (The)      11,307  
2,450   Erste Group Bank AG      106,982  
650   Fidea Holdings Co., Ltd.      7,386  
6,714   Finecobank Banca Fineco SpA*      121,659  
3,600   First Bank of Toyama, Ltd. (The)      9,543  
1,816   First International Bank of Israel      66,372  
1,000   Fukui Bank, Ltd. (The)      14,070  
5,800   Fukuoka Financial Group, Inc.      104,198  
13,200   Gunma Bank, Ltd. (The)      42,328  
9,200   Hachijuni Bank, Ltd. (The)      32,804  
5,105   Hang Seng Bank, Ltd.      87,128  
30,196   Heartland Group Holdings Npv      48,245  
11,800   Hirogin Holdings, Inc.      67,438  
1,000   Hokkoku Bank, Ltd. (The)      19,851  
6,000   Hokuhoku Financial Group, Inc.      45,947  
23,429   HSBC Holdings plc, ADR      612,668  
9,400   Hyakugo Bank, Ltd. (The)      27,438  
1,000   Hyakujushi Bank, Ltd. (The)      13,992  
757   Illimity Bank SpA*      11,940  
17,920   ING Groep NV      260,060  
93,838   Intesa Sanpaolo SpA      266,185  
15,332   Isreal Discount Bank*      80,991  
9,500   Iyo Bank, Ltd. (The)      48,467  
620   Jimoto Holdings, Inc.      3,806  
1,200   Juroku Bank, Ltd. (The)      24,058  
2,048   Jyske Bank A/S*      88,329  
2,772   KBC Group NV      248,825  
5,800   Keiyo Bank, Ltd. (The)      23,351  
400   Kita-Nippon Bank, Ltd. (The)      5,719  
2,500   Kiyo Bank, Ltd. (The)      35,469  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Banks, continued   
16,490   Kyushu Financial Group, Inc.    $          58,975  
1,296   Laurentian Bank of Canada      41,140  
562   Liechtensteinische Landesbank AG      31,865  
35,782   Lloyds Banking Group plc      22,255  
96,996   Lloyds TSB Group plc, ADR      237,640  
113   Luzerner Kantonalbank AG      50,535  
24,670   Mebuki Financial Group, Inc.      54,267  
11,475   Mediobanca SpA*      138,598  
700   Michinoku Bank, Ltd. (The)      5,559  
62,500   Mitsubishi UFJ Financial Group, Inc.      364,952  
800   Miyazaki Bank, Ltd. (The)      15,009  
1,787   Mizrahi Tefahot Bank, Ltd.      60,195  
12,880   Mizuho Financial Group, Inc.      181,349  
1,300   Musashino Bank, Ltd. (The)      21,402  
1,300   Nanto Bank, Ltd. (The)      23,355  
25,880   National Australia Bank, Ltd.      515,689  
6,941   National Bank of Canada      533,181  
27,268   Natwest Group plc      82,731  
4,800   Nishi-Nippon Holdings, Inc.      30,771  
19,269   Nordea Bank AB      247,388  
7,300   North Pacific Bank, Ltd.      16,628  
1,800   Ogaki Kyoritsu Bank, Ltd. (The)      31,928  
1,000   Oita Bank, Ltd. (The)      16,820  
17,046   Oversea-Chinese Banking Corp., Ltd.      142,730  
28,000   Public Financial Holdings, Ltd.      8,864  
6,482   Raiffeisen International Bank-Holding AG      168,607  
33,575   Resona Holdings, Inc.      133,648  
1,156   Ringkjoebing Landbobank A/S      133,300  
12,263   Royal Bank of Canada      1,219,923  
5,741   Royal Bank of Canada      571,335  
1,190   San Ju San Financial Group, Inc.      15,102  
6,200   San-In Godo Bank, Ltd. (The)      31,289  
11,600   Senshu Ikeda Holdings, Inc.      17,155  
24,500   Seven Bank, Ltd.^      54,696  
1,300   Shiga Bank, Ltd. (The)      22,134  
1,000   Shikoku Bank, Ltd. (The)      6,619  
400   Shimizu Bank, Ltd. (The)      5,919  
4,500   Shinsei Bank, Ltd.      75,773  
5,900   Shizuoka Bank, Ltd. (The)      48,546  
7,610   Skandinaviska Enskilda Banken AB, Class A      107,266  
11,180   Societe Generale      350,973  
4,543   Spar Nord Bank A/S      52,781  
3,678   Sparebank 1 Sr-Bank ASA      51,078  
121   St. Galler Kantonalbank AG      54,050  
36,263   Standard Chartered plc      212,492  
7,000   Sumitomo Mitsui Financial Group, Inc.      244,931  
3,300   Sumitomo Mitsui Trust Holdings, Inc.      113,032  
8,000   Suruga Bank, Ltd.      29,769  
10,144   Svenska Handelsbanken AB, Class A      113,835  
3,421   Swedbank AB, Class A      69,224  
3,208   Sydbank A/S      95,739  
6,500   Toho Bank, Ltd. (The)      12,455  
1,100   Tokyo Kiraboshi Financial Group, Inc.      15,147  
7,500   Tomony Holdings, Inc.      22,208  
2,200   Toronto-Dominion Bank (The)      145,665  
7,456   Toronto-Dominion Bank (The)      493,214  
2,100   Towa Bank, Ltd. (The)      10,183  
6,200   Tsukuba Bank, Ltd.      10,049  
92,944   Unicaja Banco SA(a)      95,724  
31,288   Unicredit SpA      413,809  
7,627   United Overseas Bank, Ltd.      144,287  
405   Valiant Holding AG      38,559  
Shares         Value
Common Stocks, continued   
Banks, continued   
764   Van Lanschot Kempen NV    $          23,495  
34,734   Virgin Money UK plc*      94,625  
239   Walliser Kantonalbank, Registered Shares      25,797  
21,414   Westpac Banking Corp.      398,118  
1,600   Yamagata Bank, Ltd. (The)      12,292  
7,200   Yamaguchi Financial Group, Inc.      42,564  
1,800   Yamanashi Chuo Bank, Ltd. (The)      13,650  
6   Zuger Kantonalbank AG      43,112  
    

 

 

 

       19,281,167  
    

 

 

 

Beverages (1.2%):   
1,900   Andrew Peller, Ltd.      12,798  
7,966   Anheuser-Busch InBev NV      449,845  
3,300   Asahi Breweries, Ltd.      159,880  
10,973   Britvic plc      131,214  
14,772   C&C Group plc*      46,405  
1,053   Carlsberg A/S, Class B      171,326  
2,200   Coca-Cola Bottlers Japan Holdings, Inc.      31,865  
4,383   Coca-Cola European Partners plc      240,037  
3,318   Coca-Cola HBC AG      106,631  
5,510   David Campari-Milano NV      77,555  
2,963   Diageo plc, ADR      571,859  
812   Fevertree Drinks plc      25,892  
1,642   Heineken NV      170,668  
300   ITO EN, Ltd.      19,924  
2,500   Kirin Holdings Co., Ltd.      46,441  
109   Laurent-Perrier      12,501  
653   Olvi OYJ      37,730  
412   Pernod Ricard SA      90,087  
4,250   Primo Water Corp.      66,952  
194   Remy Cointreau SA^      37,596  
1,549   Royal Unibrew A/S      186,552  
1,600   Sapporo Breweries, Ltd.      36,832  
3,457   Stock Spirits Group plc      17,457  
1,600   Suntory Beverage & Food, Ltd.      66,477  
2,800   Takara Holdings, Inc.      40,487  
6,474   Treasury Wine Estates, Ltd.      57,541  
    

 

 

 

       2,912,552  
    

 

 

 

Biotechnology (0.5%):   
143   Argenx SE*      43,151  
788   Bavarian Nordic A/S*      39,902  
291   Biogaia AB      14,639  
2,179   CSL, Ltd.      459,406  
225   Galapagos NV*      11,804  
573   Genmab A/S*      250,378  
634   Genus plc      46,466  
3,433   Grifols SA      83,696  
5,747   Knight Therapeutics, Inc.*      24,279  
6,442   Mesoblast, Ltd.*      7,764  
300   Peptidream, Inc.*      9,768  
475   Pharma Mar SA      40,800  
1,829   Swedish Orphan Biovitrum AB*      49,330  
1,155   Zealand Pharma A/S*      33,176  
    

 

 

 

       1,114,559  
    

 

 

 

Building Products (1.4%):   
4,100   AGC, Inc.      209,875  
1,100   AICA Kogyo Co., Ltd.      37,686  
2,028   Arbonia AG      39,327  
1,049   ASSA Abloy AB, Class B      30,428  
203   Belimo Holding AG, Class R      107,495  
2,400   Bunka Shutter Co., Ltd.      24,323  
1,800   Central Glass Co., Ltd.      33,649  
8,611   Compagnie de Saint-Gobain SA      579,893  
1,600   Daikin Industries, Ltd.      344,188  
114   dorma kaba Holding AG      82,793  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Building Products, continued   
567   Geberit AG, Registered Shares    $        416,677  
5,784   Genuit Group plc      54,006  
12,753   Gwa Group, Ltd.      25,069  
3,298   Inrom Construction Industries, Ltd.      16,360  
2,938   Inwido AB      49,119  
2,479   Kingspan Group plc      245,183  
2,801   Lindab International AB      70,740  
3,900   Lixil Corp.      113,345  
600   Maeda Kosen Co., Ltd.      17,793  
2,700   Nichias Corp.      65,822  
1,100   Nichiha Corp.      31,472  
1,552   Nordic Waterproofing Holding AB      36,408  
1,500   Noritz Corp.      24,543  
1,400   Okabe Co., Ltd.      8,817  
5,708   Reliance Worldwide Corp., Ltd.      20,916  
144   Rockwool International A/S      52,553  
232   ROCKWOOL International A/S, Class B      99,216  
1,900   Sankyo Tateyama, Inc.      13,296  
7,800   Sanwa Holdings Corp.      101,447  
47   Schweiter Technologies AG      67,164  
900   Shin Nippon Air Technologies Co., Ltd.      19,754  
1,800   Sinko Industries, Ltd.      34,431  
3,824   Systemair AB      33,439  
1,800   Takara Standard Co., Ltd.      26,263  
500   TOTO, Ltd.      23,759  
7,093   Tyman plc      39,934  
3,400   Uponor OYJ      83,813  
638   Zehnder Group AG      67,501  
    

 

 

 

       3,348,497  
    

 

 

 

Capital Markets (3.0%):   
10,264   3i Group plc      176,770  
24,792   ABG Sundal Collier Holding ASA      25,989  
3,200   AGF Management, Ltd.      19,608  
1,600   Aizawa Securities Co., Ltd.      14,394  
2,242   AJ Bell plc      12,031  
143   Alantra Partners SA      2,592  
903   Altamir      24,991  
817   Amundi SA(a)      68,886  
7,128   Anima Holding SpA(a)      33,999  
5,351   Ashmore Group plc      24,320  
670   ASX, Ltd.      39,131  
2,129   Avanza Bank Holding AB      74,641  
4,260   Azimut Holding SpA      116,852  
2,819   Banca Generali SpA*      123,614  
521   Bellevue Group AG      21,960  
8,900   Brewin Dolphin Holdings plc      45,614  
400   Brookfield Asset Management, Inc., Class A      21,437  
614   Brookfield Asset Management, Inc., Class A      32,855  
2,865   Bure Equity AB      118,762  
2,497   Canaccord Genuity Group, Inc.      27,466  
7,682   CI Financial Corp.      155,957  
118   Cie Financiere Tradition SA      14,079  
5,230   Close Brothers Group plc      108,054  
20,849   Credit Suisse Group AG      206,747  
18,300   Daiwa Securities Group, Inc.^      106,910  
4,462   Dea Capital SpA      6,573  
12,602   Deutsche Bank AG, Registered Shares*      161,603  
10,467   Deutsche Bank AG, Registered Shares*      132,931  
552   Deutsche Beteiligungs AG      22,907  
1,924   Deutsche Boerse AG      313,160  
Shares         Value
Common Stocks, continued   
Capital Markets, continued   
5,622   EFG International AG    $          40,750  
258,000   Emperor Capital Group, Ltd.*      3,834  
1,872   Euronext NV(a)      211,218  
2,000   Fiera Capital Corp.      16,519  
1,900   Flow Traders(a)      73,505  
10,649   GAM Holding AG*      19,408  
2,674   Georgia Capital plc*      21,533  
824   Gimv NV      52,305  
2,400   GMO Financial Holdings, Inc.      18,351  
1,675   Guardian Capital Group, Ltd., Class A      45,433  
142,000   Guotai Junan International Hol      22,533  
135,243   Haitong International Securities      35,778  
5,422   Hargreaves Lansdown plc      104,076  
7,894   Hong Kong Exchanges & Clearing, Ltd.      479,167  
11,954   IG Group Holdings plc      128,990  
1,732   IGM Financial, Inc.      61,886  
218   Ina Invest Holding AG*      4,350  
2,456   Intermediate Capital Group plc      67,475  
22,533   Investec plc      95,917  
28,134   IOOF Holdings, Ltd.      86,317  
60,525   IP Group plc      112,986  
1,700   IwaiCosmo Holdings, Inc.      20,882  
1,400   JAFCO Group Co., Ltd.      89,857  
4,800   Japan Exchange Group, Inc.      119,142  
4,580   Julius Baer Group, Ltd.      302,976  
17,082   Jupiter Fund Management plc      56,729  
138,000   Kingston Financial Group, Ltd.      6,972  
800   Kyokuto Securities Co., Ltd.      5,823  
329   London Stock Exchange Group plc      32,865  
2,128   Macquarie Group, Ltd.      279,141  
2,131   Magellan Financial Group, Ltd.      54,301  
50,276   Man Group plc/Jersey      138,245  
2,300   Marusan Securities Co., Ltd.      13,142  
1,180,000   Mason Group Holdings, Ltd.*      3,476  
2,900   Mito Securities Co., Ltd.      7,880  
3,035   MLP SE      25,154  
3,100   Monex Group, Inc.      16,172  
4,265   Navigator Global Investments, Ltd.      5,425  
5,522   Netwealth Group, Ltd.      58,075  
11,266   Ninety One plc      39,032  
19,100   Nomura Holdings, Inc.      93,893  
13,975   NZX, Ltd.      16,333  
3,800   Okasan Securities Group, Inc.      13,818  
253   Partners Group Holding AG      393,911  
9,039   Pendal Group, Ltd.      53,236  
1,616   Perpetual, Ltd.      44,011  
11,593   Platinum Asset Management, Ltd.      29,358  
2,595   Polar Capital Holdings plc      28,349  
45,397   Quilter plc(a)      86,544  
565   Rathbone Brothers plc      15,226  
9,785   Ratos AB, Class B      57,463  
1,549   Rothschild & Co.      66,655  
2,800   SBI Holdings, Inc.      69,092  
1,029   Schroders plc      33,432  
1,783   Schroders plc      85,621  
11,400   Singapore Exchange, Ltd.      83,437  
5,446   St. James Place plc      110,314  
700   Strike Co., Ltd.      26,413  
667   Swissquote Group Holding SA      122,021  
2,584   Tamburi Investment Partners SP      27,391  
531   TMX Group, Ltd.      57,272  
8,500   Tokai Tokyo Financial Holdings, Inc.      30,929  
4,000   Toyo Securities Co., Ltd.      6,066  
30,858   TP ICAP Group plc      66,487  
15,471   UBS Group AG      247,266  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Capital Markets, continued   
19,229   Uob-Kay Hian Holdings, Ltd.    $          22,062  
1,325   Vontobel Holding AG      111,930  
245   Vp Bank AG, Registered Shares      24,647  
550   VZ Holding AG      54,531  
    

 

 

 

       7,310,161  
    

 

 

 

Chemicals (3.8%):   
900   Achilles Corp.      10,868  
3,300   Adeka Corp.      74,516  
3,982   Air Liquide SA      637,065  
7,800   Air Water, Inc.      124,956  
2,028   Akzo Nobel NV      220,802  
700   Arakawa Chemical Industries, Ltd.      7,728  
2,896   Arkema SA      383,042  
26,600   Asahi Kasei Corp.      283,959  
1,100   ASAHI YUKIZAI Corp.      14,572  
3,175   BASF SE      241,880  
3,760   Borregaard ASA      91,001  
52,400   China Sunsine Chemical Holdings, Ltd.      19,055  
1,540   Christian Hansen Holding A/S      125,783  
1,600   CI Takiron Corp.      9,109  
10,241   Clariant AG      191,904  
2,199   Corbion NV      106,193  
4,483   Covestro AG(a)      307,859  
444   Croda International plc      50,695  
1,000   Dai Nippon Toryo Co., Ltd.      7,792  
7,200   Daicel Corp.      56,075  
900   Dainichiseika Color & Chemical      22,164  
4,300   Dainippon Ink & Chemicals, Inc.      121,666  
4,000   Denka Co., Ltd.      140,502  
18,377   Elementis plc*      36,734  
28   EMS-Chemie Holding AG      26,359  
8,516   Ercros SA*      34,642  
9,485   Essentra plc      33,877  
1,699   Evonik Industries AG      53,806  
1,013   FUCHS PETROLUB SE      47,387  
300   Fujimori Kogyo Co., Ltd.      13,046  
700   Fuso Chemical Co., Ltd.      31,728  
37   Givaudan SA, Registered Shares      169,018  
20   Gurit Holding AG      37,814  
4,570   Hexpol AB      51,902  
700   Hodogaya Chemical Co., Ltd.      32,696  
3,950   ICL Group, Ltd.      28,746  
27,517   Incitec Pivot, Ltd.      58,079  
1,500   Ishihara Sangyo Kaisha, Ltd.      17,053  
1,000   JCU Corp.      39,831  
2,680   Johnson Matthey plc      96,648  
700   Jsp Corp.      10,175  
1,200   JSR Corp.      43,505  
5,063   K+S AG, Registered Shares*      82,087  
2,000   Kaneka Corp.      83,869  
3,300   Kanto Denka Kogyo Co., Ltd.      31,573  
4,999   Kemira OYJ      76,696  
1,400   Kh Neochem Co., Ltd.      38,563  
1,500   Koatsu Gas Kogyo Co., Ltd.      10,263  
1,175   Koninklijke DSM NV      234,827  
1,000   Konishi Co., Ltd.      16,015  
11,800   Kuraray Co., Ltd.      113,696  
800   Kureha Corp.      54,329  
3,486   Lanxess AG      237,017  
379   Lenzing AG*      45,789  
1,300   Lintec Corp.      29,720  
929   Methanex Corp.      42,771  
12,300   Mitsubishi Chemical Holdings Corp.      112,407  
3,000   Mitsubishi Gas Chemical Co., Inc.      59,254  
3,400   Mitsui Chemicals, Inc.      114,170  
Shares         Value
Common Stocks, continued   
Chemicals, continued   
800   Nihon Kagaku Sangyo Co., Ltd.    $            9,689  
2,300   Nihon Nohyaku Co., Ltd.      11,362  
2,600   Nihon Parkerizing Co., Ltd.      26,866  
600   Nippon Chemical Industrial Co., Ltd.      16,914  
5,500   Nippon Kayaku Co., Ltd.      60,973  
1,400   Nippon Pillar Packing Co., Ltd.      33,802  
3,000   Nippon Sanso Holdings Corp.      75,506  
700   Nippon Shokubai Co., Ltd.      36,159  
800   Nippon Soda Co., Ltd.      25,883  
2,400   Nissan Chemical Corp.      140,104  
1,500   Nitto Denko Corp.      106,906  
700   NOF Corp.      39,505  
1,831   Novozymes A/S, Class B      125,377  
8,438   Nufarm, Ltd.*      28,985  
4,481   Nutrien, Ltd.^      290,503  
1,600   OCI NV*      46,642  
500   Okamoto Industries, Inc.      18,464  
600   Okura Industrial Co., Ltd.      12,545  
3,258   Orica, Ltd.      32,105  
2,613   Recticel SA      43,400  
2,800   Riken Technos Corp.      14,205  
500   Sakai Chemical Industry Co., Ltd.      10,598  
2,400   Sakata Inx Corp.      25,250  
700   Sanyo Chemical Industries, Ltd.      36,700  
900   Sekisui Plastics Co., Ltd.      4,783  
1,100   Shikoku Chemicals Corp.      13,782  
600   Shin-Etsu Chemical Co., Ltd.      101,212  
1,800   Shin-Etsu Polymer Co., Ltd.      16,717  
2,600   Showa Denko K.K.      63,463  
1,186   Sika AG      375,186  
1,754   SOL SpA      38,303  
1,166   Solvay SA      145,071  
400   Stella Chemifa Corp.      10,629  
1,500   Sumitomo Bakelite Co., Ltd.      69,463  
23,200   Sumitomo Chemical Co., Ltd.      121,038  
300   Sumitomo Seika Chemicals Co. Ltd.      9,747  
1,773   Symrise AG      233,868  
13,110   Synthomer plc      86,940  
700   T Hasegawa Co., Ltd.      16,711  
1,200   T&K Toka Co., Ltd.      9,027  
600   Taiyo Holdings Co., Ltd.      15,282  
600   Takasago International Corp.      16,047  
600   Tayca Corp.      7,150  
9,600   Teijin, Ltd.      135,531  
500   Tenma Corp.      11,961  
1,223   Tessenderlo Group SA*      45,494  
4,900   Toagosei Co., Ltd.      57,119  
6,900   Tokai Carbon Co., Ltd.      88,632  
4,100   Tokuyama Corp.      78,672  
600   Tokyo Ohka Kogyo Co., Ltd.      36,401  
27,700   Toray Industries, Inc.      176,931  
5,100   Tosoh Corp.      92,558  
1,200   Toyo Ink SC Holdings Co., Ltd.      22,617  
5,000   Toyobo Co., Ltd.      62,671  
4,800   Ube Industries, Ltd.^      94,234  
3,116   Umicore SA      184,624  
1,051   Victrex plc      32,944  
329   Wacker Chemie AG      61,733  
997   Yara International ASA      49,364  
2,900   Zeon Corp.      40,805  
    

 

 

 

       9,390,431  
    

 

 

 

Commercial Services & Supplies (1.4%):   
800   AEON Delight Co., Ltd.      25,432  
23,247   Babcock International Group plc*      115,355  
748   Befesa SA(a)      57,080  
1,800   Bell System24 Holdings, Inc.      26,878  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Commercial Services & Supplies, continued   
13,069   Biffa plc*(a)    $          62,296  
896   Bilfinger SE      31,288  
1,670   Black Diamond Group, Ltd.*      4,985  
14,490   Brambles, Ltd.      112,679  
4,517   Bravida Holding AB(a)      60,694  
200   Calian Group, Ltd.      9,634  
2,850   Caverion Corp.      22,247  
300   Central Security Patrols Co., Ltd.      7,819  
338   Cewe Stiftung & Co. KGAA      45,292  
46,000   Cleanaway Waste Management, Ltd.      91,591  
10,948   Collection House, Ltd.*      1,326  
1,829   Coor Service Management Holding AB(a)      17,343  
2,400   CTS Co., Ltd.      17,335  
3,200   Dai Nippon Printing Co., Ltd.      77,507  
6,041   De La Rue plc*      14,864  
3,731   Derichebourg SA*      43,069  
2,180   Dexterra Group, Inc.      14,081  
30,713   Downer EDI, Ltd.      140,676  
1,100   Duskin Co., Ltd.      25,648  
2,101   Edenred      113,147  
1,700   EF-ON, Inc.      12,999  
8,596   Elis SA*      164,617  
435   GL Events*      8,011  
13,971   HomeServe plc      169,805  
900   Inaba Seisakusho Co., Ltd.      11,061  
2,297   Intrum AB      62,529  
5,989   ISS A/S*      126,417  
1,800   Itoki Corp.      6,259  
29,717   IWG plc*      115,916  
800   Japan Elevator Service Holdings Co., Ltd.      18,413  
3,300   Kokuyo Co., Ltd.      55,945  
400   Kyodo Printing Co., Ltd.      9,360  
2,302   Lassila & Tikanoja OYJ      36,284  
3,325   Loomis AB      90,007  
700   Matsuda Sangyo Co., Ltd.      18,010  
5,449   Mears Group plc*      15,016  
51,653   Mitie Group plc*      49,267  
1,400   NAC Co., Ltd.      12,144  
15,900   Nippon Parking Development Co., Ltd.      22,627  
1,600   Okamura Corp.      23,421  
1,100   Oyo Corp.      14,341  
2,700   Park24 Co., Ltd.*      45,490  
2,696   PayPoint plc      25,744  
1,400   Pilot Corp.      53,077  
2,400   Prestige International, Inc.      16,420  
13,654   Prosegur Cia de Seguridad SA      40,405  
2,400   Relia, Inc.      25,234  
1,158   Renewi plc*      9,383  
23,855   Rentokil Initial plc      186,865  
1,612   Rever Holdings Corp.*      21,613  
2,500   Ritchie Bros Auctioneers, Inc.      154,296  
3,299   RPS Group plc      5,241  
900   Sato Holdings Corp.      21,950  
400   SECOM Co., Ltd.      29,030  
6,430   Securitas AB, Class B      102,013  
3,267   Smartgroup Corp., Ltd.      22,391  
787   Societe BIC SA      46,324  
400   Sohgo Security Services Co., Ltd.      18,063  
4,477   Spie SA      101,416  
696   Tomra Systems ASA      36,350  
2,600   Toppan Forms Co., Ltd.      23,897  
3,280   TOPPAN, INC.      55,793  
4,470   Transcontinental, Inc.      71,017  
200   Waste Connections, Inc.      25,212  
Shares         Value
Common Stocks, continued   
Commercial Services & Supplies, continued   
580   Waste Connections, Inc.    $          73,039  
    

 

 

 

       3,390,978  
    

 

 

 

Communications Equipment (0.3%):   
2,792   Adva Optical Networking Se*      39,954  
700   Aiphone Co., Ltd.      15,146  
700   DKK Co., Ltd.      15,982  
500   Icom, Inc.      10,904  
36,947   Nokia OYJ*      203,234  
10,200   Quarterhill, Inc.      22,310  
418   RTX A/S      10,739  
600   Sierra Wireless, Inc.*      9,291  
10,363   Spirent Communications plc      38,741  
684   Telefonaktiebolaget LM Ericsson, Clas A      7,796  
19,654   Telefonaktiebolaget LM Ericsson, Class B^      222,220  
8,100   VTech Holdings, Ltd.      58,949  
    

 

 

 

       655,266  
    

 

 

 

Construction & Engineering (2.1%):   
4,873   ACS Actividades de Construccion y Servicios SA      130,635  
3,353   Aecon Group, Inc.      50,756  
1,894   AF Gruppen ASA      39,837  
4,317   Arcadis NV      215,192  
300   Asanuma Corp.      12,372  
1,130   Ashtrom Group, Ltd.      26,003  
1,410   Badger Infrastructure Solutions, Ltd.      37,688  
20,372   Balfour Beatty plc      73,922  
519   Bauer AG*      6,607  
1,831   Boskalis Westminster      55,444  
16,800   Boustead Singapore, Ltd.      11,910  
7,647   Bouygues SA      315,536  
209   Burkhalter Holding AG      14,810  
14,759   Cardno, Ltd.      11,905  
1,700   Chudenko Corp.      34,569  
494   CIE d’Entreprises CFE SA      50,570  
1,103   Cimic Group, Ltd.      15,464  
1,721   ComSys Holdings Corp.      45,451  
6,098   Costain Group plc*      4,608  
500   Dai-Dan Co., Ltd.      11,888  
900   Daiho Corp.      30,790  
3,987   Eiffage SA      402,163  
2,783   Elecnor SA      31,168  
44   Electra, Ltd./Israel      27,666  
7,737   Eltel AB*(a)      16,152  
37,002   Empresas ICA SAB de C.V.*      156  
2,103   Ferrovial SA      60,984  
1,664   FLSmidth & Co. A/S      58,027  
2,002   Fomento de Construcciones y Contratas SA      24,183  
440   Fudo Tetra Corp.      7,109  
200   Fukuda Corp.      9,036  
4,363   Galliford Try Holdings plc      10,680  
6,000   Hazama Ando Corp.      43,095  
1,803   Heijmans NV      24,834  
600   Hibiya Engineering, Ltd.      10,531  
373   Hochtief AG      29,934  
1,093   Implenia AG*      24,171  
14,759   Intega Group, Ltd.      6,011  
7,400   JGC Holdings Corp.      69,266  
8,879   Johns Lyng Group, Ltd.      39,283  
8,000   Kajima Corp.      103,106  
3,000   Kandenko Co., Ltd.      24,786  
3,807   Keller Group plc      48,575  
4,100   Kinden Corp.      69,232  
15,900   Koninklijke BAM Groep NV*      50,389  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Construction & Engineering, continued   
1,600   Kumagai Gumi Co., Ltd.    $          41,232  
2,500   Kyowa Exeo Corp.      61,502  
2,200   Kyudenko Corp.      73,016  
8,036   Maeda Corp.      64,921  
9,546   Maire Tecnimont SpA      37,025  
1,700   Meisei Industrial Co., Ltd.      11,347  
3,300   Mirait Holdings Corp.      65,585  
1,922   Morgan Sindall Group plc      61,520  
1,375   NCC AB, Class B      21,580  
1,000   Nichireki Co., Ltd.      12,208  
1,900   Nippo Corp.      68,105  
1,600   Nippon Densetsu Kogyo Co., Ltd.      27,127  
700   Nippon Koei Co., Ltd.      22,515  
200   Nippon Road Co., Ltd. (The)      15,148  
1,900   Nishimatsu Construction Co., Ltd.      58,501  
20,879   NRW Holdings, Ltd.      23,565  
11,900   Obayashi Corp.      98,822  
6,495   Obrascon Huarte Lain SA*      4,705  
1,100   Okumura Corp.      29,510  
8,600   Oriental Shiraishi Corp.      20,505  
10,581   Peab AB      109,777  
14,700   Penta-Ocean Construction Co., Ltd.      100,292  
726   Per Aarsleff Holding A/S      29,647  
22,988   Sacyr SA      56,025  
1,900   Sanki Engineering Co., Ltd.      25,243  
1,700   Seikitokyu Kogyo Co., Ltd.      12,866  
40,165   Service Stream, Ltd.      25,615  
3,211   Shapir Engineering And Indus      25,679  
4,339   Shikun & Binui, Ltd.*      25,547  
10,100   Shimizu Corp.      76,129  
1,500   Shinnihon Corp.      11,493  
4,094   Skanska AB, Class B      102,649  
3,001   SNC-Lavalin Group, Inc.      83,366  
881   Strabag Se      40,242  
6,980   Sumitomo Mitsui Construction      31,286  
3,299   Sweco AB      51,880  
700   Taihei Dengyo Kaisha, Ltd.      17,614  
800   Taikisha, Ltd.      24,032  
5,400   Taisei Corp.      173,893  
1,400   Takamatsu Construction Group C      25,382  
400   Tekken Corp.      6,527  
900   TOA Corp.      19,855  
400   TOA Road Corp.      16,583  
1,630   Tobishima Corp.      16,278  
6,900   Toda Corp.      48,019  
400   Toenec Corp.      13,004  
1,000   Tokyo Energy & Systems, Inc.      9,459  
5,100   Tokyu Construction Co., Ltd.      35,903  
1,100   Totetsu Kogyo Co., Ltd.      24,324  
4,300   Toyo Construction Co., Ltd.      22,615  
2,100   Toyo Engineering Corp.*      16,326  
3,109   Veidekke ASA      38,140  
5,008   Vinci SA      518,680  
555   WSP Global, Inc.      66,465  
1,700   Yahagi Construction Co., Ltd.      12,238  
3,849   YIT OYJ      20,358  
1,200   Yokogawa Bridge Holdings Corp.      26,202  
1,200   Yurtec Corp.      7,855  
    

 

 

 

       5,172,421  
    

 

 

 

Construction Materials (0.9%):   
13,883   Adbri, Ltd.      31,856  
1,800   Asia Pile Holdings Corp.      7,767  
2,976   Brickworks, Ltd.      52,956  
2,431   Buzzi Unicem SpA      55,496  
14,585   CRH plc, ADR      681,703  
22,791   CSR, Ltd.      91,302  
Shares         Value
Common Stocks, continued   
Construction Materials, continued   
13,792   Fletcher Building, Ltd.    $          67,998  
1,160   H+H International A/S, Class B*      40,218  
2,326   HeidelbergCement AG      174,424  
6,293   Holcim, Ltd.      302,808  
13,005   Ibstock plc(a)      35,990  
1,243   Imerys SA      53,542  
5,016   James Hardie Industries SE      179,881  
400   Krosaki Harima Corp.      17,276  
5,422   Marshalls plc      54,442  
2,500   Nippon Concrete Industries Co., Ltd.      6,824  
500   Shinagawa Refractories Co., Ltd.      17,667  
123   STO SE & Co KGaA      28,834  
1,500   Sumitomo Osaka Cement Co., Ltd.^      41,879  
7,200   Taiheiyo Cement Corp.      149,784  
1,300   TYK Corp.      3,804  
998   Vicat      44,227  
527   Wienerberger AG      17,715  
    

 

 

 

       2,158,393  
    

 

 

 

Consumer Finance (0.3%):   
3,600   ACOM Co., Ltd.      13,209  
3,700   AEON Financial Service Co., Ltd.      47,273  
7,800   Aiful Corp.      26,292  
3,685   Arrow Global Group plc*      15,244  
8,198   Axactor SE*      8,714  
974   Cembra Money Bank AG      65,640  
1,607   Credit Corp. Group, Ltd.      35,036  
6,600   Credit Saison Co., Ltd.      86,955  
18,226   Eclipx Group, Ltd.*      32,198  
873   Gruppo MutuiOnline SpA      43,069  
2,616   H&T Group plc      10,005  
5,740   Hoist Finance AB*(a)      20,203  
17,800   Hong Leong Finance, Ltd.      31,221  
14,415   International Personal Finance      26,752  
577   Isracard, Ltd.      2,402  
4,300   J Trust Co., Ltd.      19,255  
1,300   Jaccs Co., Ltd.      35,524  
8,490   Money3 Corp., Ltd.      20,411  
15,200   Orient Corp.      22,412  
213,600   Oshidori International Holdings, Ltd.*      13,969  
4,742   Provident Financial plc*      21,106  
4,452   Resurs Holding AB(a)      20,632  
38,000   Sun Hung Kai & Co., Ltd.      19,534  
    

 

 

 

       637,056  
    

 

 

 

Containers & Packaging (0.7%):   
3,618   BillerudKorsnas AB      69,156  
4,231   Cascades, Inc.      52,353  
1,780   CCL Industries, Inc.      92,205  
28,702   DS Smith plc      158,446  
1,600   FP Corp.      59,349  
1,900   Fuji Seal International, Inc.      41,160  
1,000   Hokkan Holdings, Ltd.      12,883  
3,405   Huhtamaki OYJ      153,514  
3,327   Intertape Polymer Group, Inc.      72,377  
276   Mayr Melnhof Karton AG      52,578  
36,741   Orora, Ltd.      81,966  
6,607   Pact Group Holdings, Ltd.      18,087  
8,600   Rengo Co., Ltd.      67,236  
8,406   SIG Combibloc Group AG      222,981  
8,090   Smurfit Kappa Group plc      424,038  
500   Taisei Lamick Co., Ltd.      12,581  
600   Tomoku Co., Ltd.^      10,423  
4,000   Toyo Seikan Group Holdings, Ltd.^      47,001  
750   Vetropack Holding AG      46,333  
836   Vidrala SA      91,194  
300   Winpak, Ltd.      9,701  
    

 

 

 

       1,795,562  
    

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Distributors (0.2%):   
600   Arata Corp.    $          23,712  
11,493   Bapcor, Ltd.      62,171  
1,300   Canon Marketing Japan, Inc.      30,258  
500   Chori Co., Ltd.      8,543  
564   D’ieteren Group      82,127  
1,000   Doshisha Co., Ltd.      15,746  
4,313   Headlam Group plc      28,299  
20,473   Inchcape plc      222,295  
3,000   Jardine Cycle & Carriage, Ltd.      42,652  
3,365   John Menzies plc*      14,061  
400   Paltac Corp.      18,083  
3,025   Uni-Select, Inc.*      42,375  
    

 

 

 

       590,322  
    

 

 

 

Diversified Consumer Services (0.1%):   
3,986   Academedia AB(a)      27,190  
2,000   Benesse Holdings, Inc.      45,237  
3,227   Dignity plc*      29,176  
44,648   G8 Education, Ltd.*      33,824  
1,700   IBJ, Inc.      17,248  
2,783   IDP Education, Ltd.      68,446  
400   Park Lawn Corp.      11,535  
900   QB Net Holdings Co., Ltd.*      15,910  
2,600   Riso Kyoiku Co., Ltd.      10,246  
700   Studio Alice Co., Ltd.      15,350  
900   Take And Give Needs Co., Ltd.*      9,495  
    

 

 

 

       283,657  
    

 

 

 

Diversified Financial Services (0.9%):   
863   Ackermans & Van Haaren NV      148,619  
84,183   AMP, Ltd.*      59,999  
3,396   Banca Farmafactoring SpA(a)      32,990  
4,759   Burford Capital, Ltd.      51,881  
21,477   Challenger, Ltd.      96,283  
5,800   Ecn Capital Corp.      47,814  
16,244   Element Fleet Management Corp.      163,928  
108,669   First Pacific Co., Ltd.      38,978  
900   Fuyo General Lease Co., Ltd.      62,185  
20,600   G-Resources Group, Ltd.*      7,824  
88   Hypoport SE*      59,377  
140   Jackson Financial, Inc., Class A*^      3,640  
800   Japan Investment Adviser Co., Ltd.      9,747  
4,600   Japan Securities Finance Co., Ltd.^      35,685  
63,712   M&G plc      174,342  
31,520   Mitsubishi HC Capital, Inc.      165,662  
1,800   Mizuho Leasing Co., Ltd.      58,598  
900   NEC Capital Solutions, Ltd.      16,945  
16,085   Ofx Group, Ltd.      18,451  
7,289   Omni Bridgeway, Ltd.      18,282  
2,247   Onex Corp.      158,873  
14,700   ORIX Corp.      274,750  
4,583   Plus500, Ltd.      85,357  
1,100   Ricoh Leasing Co., Ltd.      36,598  
42,370   Standard Life Aberdeen plc      145,443  
1,900   Tokyo Century Corp.      107,260  
2,200   Zenkoku Hosho Co., Ltd.      107,323  
    

 

 

 

       2,186,834  
    

 

 

 

Diversified Telecommunication Services (2.3%):   
974   BCE, Inc.      48,758  
44   BCE, Inc.      2,205  
36,348   Bezeq Israeli Telecommunication Corp., Ltd. (The)*      42,903  
258,528   BT Group plc*      555,156  
1,519   Cellnex Telecom SAU(a)      93,622  
22,050   Chorus, Ltd.      100,694  
90,000   CITIC Telecom International Holdings, Ltd.      30,639  
Shares         Value
Common Stocks, continued   
Diversified Telecommunication Services, continued   
45,198   Deutsche Telekom AG, Registered Shares    $        911,170  
3,828   Elisa OYJ      237,638  
2,209   Gamma Communications plc      54,460  
27,500   HKBN, Ltd.      32,501  
82,295   HKT Trust & HKT, Ltd.      112,552  
426   Iliad SA      89,694  
3,856   Infrastrutture Wireless Italiane SpA(a)      42,995  
3,200   Internet Initiative Japan, Inc.      111,383  
121,735   Koninklijke KPN NV      381,721  
41,300   NetLink NBN Trust      30,217  
7,000   Nippon Telegraph & Telephone Corp.      193,542  
46,684   Orange SA      505,677  
174,202   PCCW, Ltd.      89,358  
5,067   Proximus SADP      100,164  
39,300   Singapore Telecommunications, Ltd.      70,924  
23,139   Spark New Zealand, Ltd.      76,261  
13,084   Speedcast International, Ltd.*(b)       
12,209   Superloop, Ltd.*      8,562  
940   Swisscom AG, Registered Shares      539,824  
210,041   Telecom Italia SpA      84,908  
334,376   Telecom Italia SpA      131,019  
45,006   Telefonica Deutschland Holding AG      128,092  
54,488   Telefonica SA      253,934  
4,768   Telekom Austria AG      41,049  
5,872   Telenor ASA      98,667  
29,229   Telia Co AB      120,563  
41,906   Telstra Corp., Ltd.      118,088  
4,669   TPG Telecom, Ltd.      23,671  
7,091   Tuas, Ltd.*      7,393  
4,709   United Internet AG, Registered Shares      183,211  
    

 

 

 

       5,653,215  
    

 

 

 

Electric Utilities (1.5%):   
994   Acciona SA      164,843  
17,641   AusNet Services      32,256  
334   BKW AG      36,033  
3,200   Chubu Electric Power Co., Inc.      37,964  
2,800   Chugoku Electric Power Co., Inc. (The)      25,572  
7,000   CK Infrastructure Holdings, Ltd.      38,893  
9,564   CLP Holdings, Ltd.      91,993  
3,804   Contact Energy, Ltd.      22,078  
21,672   EDP - Energias de Portugal SA      113,670  
6,325   Electricite de France      79,418  
633   Elia Group SA/NV      75,595  
2,200   Emera, Inc.      99,646  
4,746   Endesa SA      95,707  
57,903   Enel SpA      444,494  
1,538   EVN AG      40,885  
1,708   Fortis, Inc.      75,716  
7,617   Fortum OYJ      231,619  
14,936   Genesis Energy, Ltd.      33,907  
30,000   HK Electric Investments, Ltd.      29,784  
7,700   Hokkaido Electric Power Co., Inc.      36,899  
3,500   Hokuriku Electric Power Co.      18,803  
1,200   Hydro One, Ltd.(a)      28,370  
70,547   Iberdrola SA      704,500  
12,913   Infratil, Ltd.      70,855  
3,500   Kansai Electric Power Co., Inc. (The)      33,970  
7,200   Kyushu Electric Power Co., Inc.      54,784  
730   Orsted A/S(a)      96,333  
11,500   Power Assets Holdings, Ltd.      67,399  
8,090   Red Electrica Corp SA      161,685  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Electric Utilities, continued   
11   Romande Energie Holding SA, Registered Shares    $          15,233  
16,260   Scottish & Southern Energy plc      341,385  
3,300   Shikoku Electric Power Co., Inc.      22,951  
1,640   Siemens Energy AG*      44,065  
25,335   Spark Infrastructure Group      51,252  
13,794   Terna SpA      97,826  
3,900   Tohoku Electric Power Co., Inc.^      28,739  
20,300   Tokyo Electric Power Co. Holdings, Inc.*      58,229  
284   Verbund AG, Class A      28,685  
    

 

 

 

       3,732,036  
    

 

 

 

Electrical Equipment (1.2%):   
7,265   ABB, Ltd.      242,197  
600   Chiyoda Integre Co., Ltd.      10,988  
1,300   Denyo Co., Ltd.      25,034  
2,000   Fuji Electric Co., Ltd.      91,146  
12,400   Fujikura, Ltd.*      73,379  
3,100   Furukawa Electric Co., Ltd. (The)      67,640  
1,200   Futaba Corp.      8,513  
485   GARO AB      10,330  
38   Gavazzi Carlo Holding AG      10,175  
3,000   GS Yuasa Corp.      68,093  
400   Hirakawa Hewtech Corp.      4,299  
553   Huber & Suhner AG      42,701  
1,600   Idec Corp./Japan      31,644  
19,355   Johnson Electric Holdings, Ltd.      41,142  
258   Kendrion NV      6,434  
4,095   Legrand SA      439,145  
800   Mabuchi Motor Co., Ltd.      27,758  
346   Mersen      12,779  
9,100   Mitsubishi Electric Corp.      126,584  
1,227   Nexans SA      114,786  
700   Nidec Corp.      77,665  
500   Nippon Carbon Co., Ltd.      18,759  
1,500   Nitto Kogyo Corp.      23,570  
1,094   NKT A/S*      47,498  
3,878   Nordex Se*      65,951  
17   Phoenix Mecano AG      8,161  
2,550   PNE AG      22,149  
2,643   Prysmian SpA      92,706  
400   Sanyo Denki Co., Ltd.      25,425  
942   Schneider Electric SA      156,597  
200   SEC Carbon, Ltd.      10,716  
2,150   SGL Carbon SE*      23,315  
701   Siemens Gamesa Renewable Energy      17,717  
5,642   Signify NV(a)      280,271  
1,000   Sinfonia Technology Co., Ltd.      10,882  
355   Somfy SA      64,239  
1,500   SwCC Showa Holdings Co., Ltd.      30,194  
900   Takaoka Toko Co., Ltd.      11,783  
1,055   Tera Light, Ltd.*      3,277  
1,933   TKH Group NV      107,091  
600   Toyo Tanso Co., Ltd.      15,855  
3,300   Ushio, Inc.      62,078  
6,780   Vestas Wind Systems A/S      271,494  
527   XP Power, Ltd.      36,544  
    

 

 

 

       2,938,704  
    

 

 

 

Electronic Equipment, Instruments &
Components (1.6%):
  
600   Ai Holdings Corp.      12,736  
7,060   Alps Alpine Co., Ltd.      76,702  
288   ALSO Holding AG, Registered Shares      82,678  
2,300   Amano Corp.      59,123  
Shares         Value
Common Stocks, continued   
Electronic Equipment, Instruments &
Components, continued
  
1,400   Anritsu Corp.    $          25,057  
1,200   Arisawa Manufacturing Co., Ltd.      9,601  
1,280   Austria Technologie & Systemte      48,799  
225   Basler AG      37,623  
900   Canon Electronics, Inc.      13,473  
5,004   Celestica, Inc.*      44,453  
157   Cicor Technologies, Ltd.      9,579  
13,600   Citizen Watch Co., Ltd.      62,702  
3,400   CMK Corp.      13,155  
3,981   Codan, Ltd./Australia      36,622  
1,300   Conexio Corp.      18,035  
5,000   Daiwabo Holdings Co., Ltd.      80,532  
2,500   Dexerials Corp.      49,241  
19,374   Electrocomponents plc      278,712  
1,100   Elematec Corp.      11,219  
700   Evertz Technologies, Ltd.      7,932  
69,000   FIH Mobile, Ltd.*      10,330  
7,452   Fingerprint Cards AB*      20,563  
2,100   Furuno Electric Co., Ltd.      23,255  
400   Hagiwara Electric Co., Ltd.      7,920  
500   Hakuto Co., Ltd.      8,174  
511   Halma plc      19,490  
400   Hamamatsu Photonics KK      24,817  
2,429   Hexagon AB, Class B      37,441  
200   Hirose Electric Co., Ltd.      33,309  
4,300   Hitachi, Ltd.      254,998  
1,200   Hochiki Corp.      12,943  
700   Horiba, Ltd.      49,024  
2,600   Hosiden Corp.      22,441  
47   Inficon Holding AG      55,060  
400   I-PEX, Inc.      7,287  
2,300   Japan Aviation Electronics Industry, Ltd.      33,626  
1,100   Japan Cash Machine Co., Ltd.*      7,394  
21,200   Japan Display, Inc.*      6,982  
1,679   Jenoptik AG      56,823  
1,000   Kaga Electronics Co., Ltd.      27,038  
100   Keyence Corp.      59,927  
1,200   Koa Corp.      18,140  
1,400   Kyocera Corp.      87,532  
3,500   Kyosan Electric Manufacturing Co., Ltd.      16,609  
5,505   Lagercrantz Group AB      65,581  
365   Landis+Gyr Group AG      23,388  
26   Lem Holding SA, Registered Shares      59,934  
2,200   Macnica Fuji Electronics Holdings      51,293  
400   Maruwa Co., Ltd./Aichi      40,866  
1,500   Meiko Electronics Co., Ltd.      40,467  
978   Micronic Mydata AB      24,398  
2,156   Midwich Group plc      18,091  
4,600   Murata Manufacturing Co., Ltd.      409,523  
267   Nederland Apparatenfabriek      18,019  
2,800   Nichicon Corp.      26,573  
600   Nippon Chemi-Con Corp.*      11,572  
3,000   Nippon Electric Glass Co., Ltd.      71,158  
3,400   Nippon Signal Co., Ltd.      30,477  
1,800   Nissha Co., Ltd.      28,756  
600   Nohmi Bosai, Ltd.      11,105  
3,600   OKI Electric Industry Co., Ltd.      31,530  
3,000   Osaki Electric Co., Ltd.      14,894  
1,627   Oxford Instruments plc      49,754  
3,149   Pricer AB      10,210  
324   Renishaw plc      20,544  
1,100   Restar Holdings Corp.      18,333  
1,400   Ryoden Corp.      21,930  
1,100   Ryosan Co., Ltd.      22,722  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Electronic Equipment, Instruments &
Components, continued
  
102   Sensirion Holding AG*(a)    $          12,420  
700   Shibaura Electronics Co., Ltd.      38,639  
900   Shimadzu Corp.      39,539  
1,200   Shinko Shoji Co., Ltd.      9,163  
2,000   Siix Corp.      21,509  
3,154   Smart Metering Systems plc      35,367  
1,729   Spectris plc      89,663  
6,120   Strix Group plc      28,130  
2,000   Sumida Corp.      22,336  
700   Tachibana Eletech Co., Ltd.      9,622  
2,600   Taiyo Yuden Co., Ltd.      153,040  
2,500   Tamura Corp.      16,255  
5,100   TDK Corp.      184,274  
1,300   Toyo Corp.      14,072  
7,103   TT Electronics plc      24,806  
100   V Technology Co., Ltd.      3,958  
312   Vaisala OYJ, Class A      13,527  
7,400   Venture Corp., Ltd.      97,541  
56,000   Vstecs Holdings, Ltd.      50,233  
2,800   Yokogawa Electric Corp.      48,965  
1,100   Yokowo Co., Ltd.      24,749  
    

 

 

 

       3,938,023  
    

 

 

 

Energy Equipment & Services (0.4%):   
7,314   Akastor ASA*      5,030  
5,393   Aker Solutions ASA*      11,976  
1,137   Bonheur ASA      39,402  
2,991   BW Offshore, Ltd.      9,714  
5,874   Ces Energy Solutions Corp.      8,813  
29,491   CGG SA*      22,576  
4,726   Computer Modelling Group, Ltd.      17,689  
6,058   Enerflex, Ltd.      44,392  
8,606   Ensign Energy Services, Inc.*      12,776  
106,730   Ezion Holdings, Ltd.*      637  
4,141   Fugro NV*      43,189  
6,704   Hunting plc      20,239  
18,612   John Wood Group plc*      57,606  
8,257   Lamprell plc*      3,992  
1,000   Modec, Inc.      15,878  
4,500   Mullen Group, Ltd.      45,768  
2,400   North American Construction Group, Ltd.      34,965  
3,324   Ocean Yield ASA      15,598  
7,269   Odfjell Drilling, Ltd.*      16,433  
1,450   Pason Systems, Inc.      9,870  
6,196   Petrofac, Ltd.*^      13,915  
18,993   Petroleum Geo-Services ASA*      11,942  
818   Precision Drilling Corp.*      33,071  
2,400   Raiznext Corp.      25,845  
15,278   Saipem SpA*      37,480  
5,417   SBM Offshore NV      96,045  
174   Schoeller-Blackman Oilfield Equipment AG*      6,958  
8,377   Secure Energy Services, Inc.      31,486  
3,900   ShawCor, Ltd.*      17,431  
5,516   Subsea 7 SA      47,886  
1,677   Tecnicas Reunidas SA*      15,830  
595   Tenaris SA, ADR      12,560  
1,938   Tenaris SA      20,434  
2,965   TGS ASA      31,402  
421   The Drilling Co of 1972 A/S*      15,815  
900   Total Energy Services, Inc.*      3,248  
400   Toyo Kanetsu KK      9,310  
13,311   Trican Well Service, Inc.*      31,112  
1,489   Vallourec SA*      12,970  
Shares         Value
Common Stocks, continued   
Energy Equipment & Services, continued   
7,807   Worley, Ltd.    $          54,911  
    

 

 

 

       966,194  
    

 

 

 

Entertainment (0.5%):   
800   Akatsuki, Inc.      23,009  
900   Avex, Inc.      12,052  
2,023   Borussia Dortmund GMBH & Co. KGaA*      11,302  
2,800   Capcom Co., Ltd.      77,782  
34,177   Cineworld Group plc*^      36,112  
1,367   CTS Eventim AG & Co. KGaA*      103,421  
1,200   Daiichikosho Co., Ltd.      44,525  
1,900   DeNA Co., Ltd.      35,271  
4,107   Event Hospitality And Entertainment, Ltd.*      45,181  
1,590   Gungho Online Enetertainment, Inc.      29,200  
38,000   IGG, Inc.      35,610  
82   Kinepolis Group NV*      5,314  
1,300   KLab, Inc.*      7,267  
2,000   Konami Holdings Corp.      125,525  
2,600   Nexon Co., Ltd.      41,954  
400   Nintendo Co., Ltd.      194,610  
200   Square Enix Holdings Co., Ltd.      10,540  
510   Technicolor SA*      1,722  
100   Toei Animation Co., Ltd.      18,466  
200   Toei Co., Ltd.      39,452  
2,585   UbiSoft Entertainment SA*      155,032  
2,949   Universal Music Group NV*^      78,950  
700   UUUM, Inc.*      8,349  
2,949   Vivendi Universal SA^      37,192  
5,570   WildBrain, Ltd.*      14,206  
    

 

 

 

       1,192,044  
    

 

 

 

Food & Staples Retailing (2.6%):   
5,600   AEON Co., Ltd.      147,393  
500   Ain Holdings, Inc.      30,946  
3,200   Alcanna, Inc.*      20,265  
8,272   Alimentation Couche-Tard, Inc.      316,536  
702   Amsterdam Commodities NV      19,086  
2,400   Arcs Co., Ltd.      48,718  
1,537   Axfood AB^      36,766  
800   Axial Retailing, Inc.^      27,183  
600   Belc Co., Ltd.      31,225  
16,444   Carrefour SA      295,961  
1,395   Casino Guichard-Perrachon SA*^      37,531  
1,100   Cawachi, Ltd.      22,318  
10,629   Coles Group, Ltd.      129,689  
1,589   Colruyt SA      80,937  
400   Cosmos Pharmaceutical Corp.      68,226  
1,300   Create SD Holdings Co., Ltd.      43,725  
500   Daikokutenbussan Co., Ltd.      29,367  
4,900   Dairy Farm International Holdings, Ltd.      16,656  
3,091   Empire Co., Ltd., Class A      94,214  
9,117   Endeavour Group, Ltd.      45,771  
1,600   Heiwado Co., Ltd.      31,201  
890   ICA Gruppen AB      40,823  
200   Itochu-Shokuhin Co., Ltd.      9,479  
46,898   J Sainsbury plc      179,560  
600   JM Holdings Co., Ltd.      11,160  
600   Kato Sangyo Co., Ltd.      17,823  
4,458   Kesko OYJ, Class A      138,094  
8,384   Kesko OYJ, Class B      289,361  
2,400   Kobe Bussan Co., Ltd.      78,366  
25,566   Koninklijke Ahold Delhaize NV      847,487  
400   Kusuri NO Aoki Holdings Co., Ltd.      27,305  
900   LAWSON, Inc.      44,194  
800   Life Corp.      32,121  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Food & Staples Retailing, continued   
2,011   Loblaw Cos., Ltd.    $ 138,026  
1,380   Matsumotokiyoshi Holdings Co., Ltd.      61,678  
42,815   Metcash, Ltd.      120,274  
7,078   METRO AG      92,103  
3,317   Metro, Inc.      162,105  
600   Ministop Co., Ltd.      7,745  
900   Mitsubishi Shokuhin Co., Ltd.      23,530  
1,200   Nihon Chouzai Co., Ltd.      18,433  
1,801   North West Co., Inc.      48,097  
10,925   Olam International, Ltd.      14,034  
1,200   Qol Holdings Co., Ltd.      16,331  
1,094   Rallye SA*      7,391  
337   Rami Levy Chain Stores Hashikm      24,187  
1,000   Retail Partners Co., Ltd.      11,115  
600   San-A Co., Ltd.      21,492  
12,300   Seven & I Holdings Co., Ltd.      558,243  
28,900   Sheng Siong Group, Ltd.      31,484  
4,880   Shufersal, Ltd.      39,571  
1,454   Sligro Food Group NV*      39,486  
38,447   Sonae SGPS SA      40,398  
500   Sugi Holdings Co., Ltd.      36,376  
1,300   Sundrug Co., Ltd.      39,675  
57,657   Tesco plc      195,526  
400   Tsuruha Holdings, Inc.      49,423  
2,100   United Supermarkets Holdings      20,717  
2,200   Valor Holdings Co., Ltd.      47,600  
1,400   Watahan & Co., Ltd.      15,780  
1,400   Welcia Holdings Co., Ltd.      50,341  
9,068   Wesfarmers, Ltd.      364,842  
1,493   Weston (George), Ltd.      161,066  
91,434   William Morrison Supermarkets plc      362,361  
9,117   Woolworths Group, Ltd.      258,823  
800   YAKUODO Holdings Co., Ltd.      17,252  
700   Yamatane Corp.      9,996  
700   Yaoko Co., Ltd.      42,816  
2,800   Yokohama Reito Co., Ltd.      22,261  
    

 

 

 

           6,460,065  
    

 

 

 

Food Products (3.1%):   
5,898   A2 Milk Co., Ltd.*      26,249  
364   Agrana Beteiligungs AG      7,661  
4,500   Ajinomoto Co., Inc.      133,172  
44,180   Aryzta AG*      65,903  
1,867   Associated British Foods plc      46,382  
772   Atria OYJ      9,552  
2,327   Austevoll Seafood ASA      27,600  
363   Bakkafrost P/F      29,897  
53   Barry Callebaut AG, Registered Shares      119,928  
8,561   Bega Cheese, Ltd.      33,217  
125   Bell AG      38,649  
854   Bonduelle S.C.A.      21,200  
2,000   Calbee, Inc.      48,789  
1   Chocoladefabriken Lindt & Spruengli AG      117,444  
800   Chubu Shiryo Co., Ltd.      8,200  
12,278   Cloetta AB      37,988  
15,071   Costa Group Holdings, Ltd.      35,320  
2,030   Cranswick plc      97,043  
4,926   Danone SA      336,180  
1,700   Delfi, Ltd.      954  
10,007   Devro plc      28,687  
500   DyDo Group Holdings, Inc.      25,411  
2,372   Ebro Foods SA      45,176  
4,736   Elders, Ltd.      41,724  
80   Emmi AG      82,553  
27,100   First Resources, Ltd.      32,259  
Shares         Value
Common Stocks, continued   
Food Products, continued   
1,616   Forfarmers NV    $ 8,066  
9,500   Fraser & Neave, Ltd.      9,856  
1,000   Fuji Oil Holdings, Inc.      23,474  
260,400   Golden Agri-Resources, Ltd.      44,793  
11,957   GrainCorp, Ltd.      54,688  
17,127   Greencore Group plc*      32,515  
1,923   Hilton Food Group plc      30,291  
1,600   Hokuto Corp.      28,232  
700   House Foods Group, Inc.      21,374  
15,498   Inghams Group, Ltd.      45,963  
2,700   Itoham Yonekyu Holdings, Inc.      17,699  
300   Iwatsuka Confectionery Co., Ltd.      10,754  
368   JDE Peet’s NV      10,929  
600   J-Oil Mills, Inc.      9,902  
800   Kagome Co., Ltd.      20,641  
800   Kakiyasu Honten Co., Ltd.      19,344  
400   Kameda Seika Co., Ltd.      15,944  
700   Kenko Mayonnaise Co., Ltd.      10,218  
340   Kerry Group plc, Class A      45,514  
2,800   Kewpie Corp.      68,027  
400   Kikkoman Corp.      32,511  
163   KWS Saat SE      13,037  
500   Kyokuyo Co., Ltd.      13,532  
147   Lassonde Industries, Inc.      21,088  
3,154   Leroy Seafood Group ASA      26,080  
17   Lotus Bakeries      103,983  
2,349   Maple Leaf Foods, Inc.      47,744  
1,200   Marudai Food Co., Ltd.      18,720  
2,600   Maruha Nichiro Corp.      61,382  
1,700   Megmilk Snow Brand Co., Ltd.      34,963  
41   Mehadrin, Ltd.*      1,817  
1,900   Meiji Holdings Co., Ltd.      122,813  
800   Mitsui Sugar Co., Ltd.      14,490  
1,300   Morinaga & Co., Ltd.      48,040  
2,200   Morinaga Milk Industry Co., Ltd.      136,688  
1,429   Mowi ASA      36,079  
26,358   Nestle SA, Registered Shares          3,171,876  
1,800   NH Foods, Ltd.      68,098  
2,600   Nichirei Corp.      68,117  
1,200   Nippn Corp.      17,540  
800   Nippon Beet Sugar Manufacturing Co., Ltd.      11,835  
16,300   Nippon Suisan Kaisha, Ltd.      94,890  
1,200   Nisshin Oillio Group, Ltd. (The)      32,689  
2,000   Nisshin Seifun Group, Inc.      33,348  
300   Nissin Foods Holdings Co., Ltd.      24,118  
326   Orior AG      31,836  
1,732   Orkla ASA, Class A      15,879  
30,027   Premier Foods plc      46,498  
1,488   Premium Brands Holdings Corp.      152,207  
1,300   Prima Meat Packers, Ltd.      33,039  
11,830   Ridley Corp., Ltd.*      11,411  
600   S Foods, Inc.      16,557  
482   Salmar ASA      32,028  
2,346   Sanford, Ltd.*      8,230  
1,853   Saputo, Inc.      47,130  
127   Savencia SA      9,236  
3,496   Scales Corp., Ltd.      13,247  
3,767   Scandi Standard AB      22,552  
619   Schouw & Co.      59,348  
2,867   Select Harvests, Ltd.      16,941  
800   Showa Sangyo Co., Ltd.      20,043  
306   Sipef SA      17,837  
600   Starzen Co., Ltd.      11,688  
1,353   Strauss Group, Ltd.      39,497  
2,659   Suedzucker AG      42,775  
2,839   Synlait Milk, Ltd.*      7,262  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Food Products, continued   
11,672   Tassal Group, Ltd.    $ 29,553  
14,193   Tate & Lyle plc      132,160  
1,400   Toyo Suisan Kaisha, Ltd.      62,188  
58   United International Enterprises      15,450  
13,688   United Malt Grp, Ltd.      40,229  
1,635   Viscofan SA      106,907  
22,000   Vitasoy International Holdings, Ltd.^      55,704  
400   Warabeya Nichiyo Holdings Co., Ltd.      9,156  
203,415   WH Group, Ltd.(a)      144,712  
9,700   Wilmar International, Ltd.      29,807  
200   Yakult Honsha Co., Ltd.      10,141  
2,200   Yamazaki Baking Co., Ltd.      38,319  
    

 

 

 

           7,610,407  
    

 

 

 

Gas Utilities (0.4%):   
7,684   AltaGas, Ltd.      151,629  
12,578   APA Group      78,952  
1,714   Brookfield Infrastructure Corp., Class A      102,767  
4,707   Gas Natural SDG SA      118,489  
17,850   Hong Kong & China Gas Co., Ltd.      27,039  
14,289   Italgas SpA      91,480  
800   K&O Energy Group, Inc.      10,119  
6,000   Nippon Gas Co., Ltd.      82,763  
1,500   Osaka Gas Co., Ltd.      27,575  
1,181   Rubis SCA      40,900  
1,300   Saibu Gas Co., Ltd.      28,832  
1,300   Shizuoka Gas Co. Ltd.      15,709  
4,491   Superior Plus Corp.      47,981  
400   Toho Gas Co., Ltd.      17,477  
2,200   Tokyo Gas Co., Ltd.      40,976  
    

 

 

 

       882,688  
    

 

 

 

Health Care Equipment & Supplies (1.6%):   
343   Alcon, Inc.      27,601  
4,403   Alcon, Inc.      356,743  
1,070   Ambu A/S, Class B      31,611  
3,762   Ansell, Ltd.      92,217  
2,637   Arjo AB, Class B      32,545  
1,200   Asahi Intecc Co., Ltd.      32,927  
339   BioMerieux      38,496  
84   Carl Zeiss Meditec AG      16,145  
246   Cellavision AB      10,940  
478   Cochlear, Ltd.      75,481  
600   Coloplast A/S, Class B      94,060  
251   Coltene Holding AG      31,812  
15,016   Convatec Group plc(a)      43,690  
1,762   Demant A/S*      88,751  
419   DiaSorin SpA      87,928  
509   Draegerwerk AG & Co. KGaA      41,668  
238   Draegerwerk AG & Co. KGaA      18,490  
740   Eckert & Ziegler AG      95,518  
2,223   Elekta AB, Class B      24,829  
1,146   EssilorLuxottica SA      219,105  
3,206   Fisher & Paykel Healthcare Corp., Ltd.      70,468  
3,411   Getinge AB, Class B      135,694  
4,399   GN Store Nord A/S      299,848  
405   Guerbet      19,564  
800   Hogy Medical Co., Ltd.      22,841  
3,000   HOYA Corp.      469,257  
1,300   Jeol, Ltd.      95,309  
710   Koninklijke Philips Electronics NV, NYS      31,552  
5,281   Koninklijke Philips NV      234,039  
849   Medmix AG*(a)      40,090  
1,000   Menicon Co., Ltd.      38,962  
1,200   Nakanishi, Inc.      27,399  
Shares         Value
Common Stocks, continued   
Health Care Equipment & Supplies, continued   
1,100   Nihon Kohden Corp.    $ 37,398  
2,300   Nikkiso Co., Ltd.      19,931  
7,000   Nipro Corp.      72,863  
8,100   Olympus Corp.      177,910  
1,800   Paramount Bed Holdings Co., Ltd.      35,903  
457   Revenio Group OYJ      28,981  
251   Sartorius AG      159,828  
1,648   Smith & Nephew plc      28,298  
386   Sonova Holding AG, Registered Shares      145,603  
360   Stratec Se      50,926  
12   Straumann Holding AG, Registered Shares, Class R      21,478  
1,200   Sysmex Corp.      148,257  
3,200   Terumo Corp.      150,467  
180   Ypsomed Holding AG      29,552  
    

 

 

 

           4,052,975  
    

 

 

 

Health Care Providers & Services (1.0%):   
3,400   Alfresa Holdings Corp.      50,935  
3,260   Amplifon SpA      155,333  
15,973   Arvida Group, Ltd.      23,068  
6,164   Attendo AB*(a)      26,618  
18,377   Australian Pharmaceutical Industries, Ltd.      19,458  
700   BML, Inc.      26,585  
3,715   CareTech Holdings plc      31,981  
862   CVS Group plc*      27,743  
2,487   Ebos Group, Ltd.      60,218  
1,000   Elan Corp.      11,626  
4,012   Extendicare, Inc.      23,253  
3,112   Fagron      60,612  
6,028   Fresenius Medical Care AG & Co., KGaA      424,748  
5,366   Fresenius SE & Co. KGaA      257,960  
2,800   H.U. Group Holdings, Inc.      75,747  
27,126   Healius, Ltd.      93,156  
2,572   Humana AB*      21,499  
2,000   Japan Lifeline Co., Ltd.      24,531  
1,000   Japan Medical Dynamic Marketing, Inc.      20,186  
16,930   Japara Healthcare, Ltd.*      16,747  
2,704   Korian SA      94,310  
225   Lna Sante      13,238  
3,204   Medical Facilities Corp.      24,642  
15,698   Mediclinic International plc*      65,930  
2,700   Medipal Holdings Corp.      50,938  
1,110   NMC Health plc*       
21,355   Oceania Healthcare, Ltd.      21,775  
1,066   Orpea      123,441  
24,015   Raffles Medical Group, Ltd.      25,618  
1,997   Ramsay Health Care, Ltd.      100,434  
2,814   Ryman Healthcare, Ltd.      29,101  
3,400   Ship Healthcare Holdings, Inc.      87,787  
59,044   Sigma Healthcare, Ltd.      26,501  
1,900   Solasto Corp.      25,604  
2,679   Sonic Healthcare, Ltd.      78,639  
8,887   Spire Healthcare Group plc*(a)      24,380  
8,438   Summerset Group Holdings, Ltd.      88,377  
1,100   Suzuken Co., Ltd.      32,270  
1,422   Terveystalo OYJ(a)      17,724  
1,800   Toho Holdings Co., Ltd.      29,377  
500   Tokai Corp./Gifu      9,824  
3,655   Virtus Health, Ltd.      15,504  
2,800   Vital Ksk Holdings, Inc.      19,970  
    

 

 

 

       2,457,388  
    

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Health Care Technology (0.2%):   
7,980   AGFA-Gevaert NV*    $ 36,829  
1,026   Ascom Holding AG*      16,070  
857   CompuGroup Medical SE & Co KgaA      70,560  
2,389   Emis Group plc      44,680  
2,400   M3, Inc.      171,358  
800   Nnit A/S(a)      15,214  
1,258   Pro Medicus, Ltd.      49,217  
1,213   Raysearch Laboratories AB*      8,527  
3,335   Sectra AB, Class A*      67,041  
    

 

 

 

              479,496  
    

 

 

 

Hotels, Restaurants & Leisure (1.6%):   
3,592   Accor SA*      127,141  
600   AEON Fantasy Co., Ltd.      11,637  
1,000   Arcland Service Holdings Co., Ltd.      21,495  
23,206   Ardent Leisure Group, Ltd.*      27,295  
4,445   Aristocrat Leisure, Ltd.      148,763  
1,059   Basic-Fit NV*(a)      48,498  
3,095   Betsson AB, Class B      25,685  
20,000   Cafe de Coral Holdings, Ltd.      36,582  
1,533   Carnival plc, ADR*      34,968  
72,000   Century City International Holdings, Ltd.*      4,091  
970   CIE des Alpes*      16,577  
4,935   Collins Foods, Ltd.      43,078  
2,726   Compass Group plc*      55,766  
1,300   Create Restaurants Holdings In*      11,573  
4,576   Crown Resorts, Ltd.*      31,644  
1,483   Domino’s Pizza Enterprises, Ltd.      170,946  
13,489   Domino’s Pizza Group plc      71,413  
1,600   Doutor Nichires Holdings Co., Ltd.      25,293  
4,906   Elior Group*(a)      38,734  
253   Evolution AB(a)      38,473  
6,500   Fairwood Holdings, Ltd.      13,898  
1,821   Flight Centre Travel Group, Ltd.*      27,952  
495   Flutter Entertainment plc*      97,845  
2,342   Flutter Entertainment plc*      459,694  
2,000   Food & Life Cos., Ltd.      92,226  
200   Fuji Kyuko Co., Ltd.      8,590  
557   Fuller Smith & Turner plc, Class A*      5,530  
3,000   Galaxy Entertainment Group, Ltd.*      15,137  
1,491   Gamesys Group plc      36,935  
200   Genki Sushi Co., Ltd.      5,336  
3,888   Greggs plc      152,680  
4,228   GVC Holdings plc*      121,013  
18,230   Hongkong & Shanghai Hotels (The)*      17,034  
1,499   InterContinental Hotels Group plc, ADR*      96,371  
2,484   JD Wetherspoon plc*      34,422  
868   Jumbo Interactive, Ltd.      9,945  
1,100   KFC Holdings Japan, Ltd.      29,160  
6,856   Kindred Group plc      102,989  
1,700   Komeda Holdings Co., Ltd.      33,814  
718   La Francaise des Jeux SAEM(a)      36,929  
33,812   Marston’s plc*      36,594  
200   Matsuyafoods Holdings Co., Ltd.      6,629  
500   McDonald’s Holdings Co., Ltd.      23,603  
23,000   Melco International Development Ltd.*      26,874  
5,571   Melia Hotels International SA*      41,203  
14,000   Miramar Hotel & Investment      23,392  
14,923   Mitchells & Butlers plc*      47,055  
400   Monogatari Corp. (The)      28,021  
46,000   NagaCorp, Ltd.      39,187  
200   Oriental Land Co., Ltd.      32,394  
2,702   Pandox AB*      42,787  
900   Pizza Pizza Royalty Corp.      7,988  
Shares         Value
Common Stocks, continued   
Hotels, Restaurants & Leisure, continued   
10,182   PlayTech plc*    $ 64,594  
12,439   Rank Group plc*      28,672  
2,800   Resorttrust, Inc.      55,131  
1,657   Restaurant Brands International, Inc.      101,534  
392   Restaurant Brands International, Inc.      23,986  
3,018   Restaurant Brands New Zealand, Ltd.*      32,787  
19,755   Restaurant Group plc (The)*      27,292  
1,200   Saint Marc Holdings Co., Ltd.      17,567  
3,788   Sands China, Ltd.*      7,763  
5,463   Scandic Hotels Group AB*(a)      22,209  
44,000   Shangri-La Asia, Ltd.*      34,851  
42,868   SJM Holdings, Ltd.*      29,005  
1,360   SkiStar AB*      28,053  
28,026   Sky City Entertainment Group, Ltd.      61,875  
6,100   Skylark Holdings Co., Ltd.*      89,464  
700   Sodexo SA*      61,287  
13,126   SSP Group plc*      48,519  
21,972   Star Entertainment Group, Ltd. (The)*      70,504  
21,530   Tabcorp Holdings, Ltd.      76,189  
581   The Gym Group plc*(a)      2,315  
137   Tivoli A/S*      17,319  
800   Tokyotokeiba Co., Ltd.      31,526  
2,200   Toridoll Holding Corp.      55,401  
400   Tosho Co., Ltd.      6,942  
2,341   Whitbread plc*      104,102  
500   Young & Co.’s Brewery plc, Class A*      10,357  
3,500   Zensho Holdings Co., Ltd.^      86,963  
    

 

 

 

           3,939,086  
    

 

 

 

Household Durables (2.1%):   
5,875   Azorim-Investment Development & Construction Co., Ltd.*      25,041  
4,812   Bang & Olufsen A/S*      22,644  
12,573   Barratt Developments plc      110,934  
3,181   Bellway plc      139,418  
1,957   Berkeley Group Holdings plc      114,617  
1,566   Bigben Interactive      29,076  
3,728   Bonava AB      33,874  
6,992   Bovis Homes Group plc      114,451  
2,358   Breville Group, Ltd.      49,402  
27,975   Cairn Home plc      36,706  
1,700   Casio Computer Co., Ltd.      28,193  
600   Chofu Seisakusho Co., Ltd.      11,334  
9,695   Countryside Properties plc*(a)      65,614  
6,556   Crest Nicholson Holdings plc      33,601  
1,076   De’Longhi      38,672  
7,507   DFS Furniture plc*      26,237  
1,000   Dorel Industries, Inc.*      8,623  
2,152   Duni AB*      24,875  
4,630   Electrolux AB, Series B, Class B      106,958  
1,200   Es-Con Japan, Ltd.      8,696  
2,053   Fiskars OYJ Abp      45,510  
36   Forbo Holding AG      70,877  
1,400   France Bed Holdings Co., Ltd.      11,618  
1,600   Fuji Corp., Ltd.      10,454  
900   Fujitsu General, Ltd.      22,476  
12,600   Haseko Corp.      168,934  
2,710   Henry Boot plc      10,229  
700   Hoosiers Holdings      4,245  
5,498   Husqvarna AB, Class B      65,616  
2,100   Iida Group Holdings Co., Ltd.      54,058  
2,147   JM AB      75,873  
10,600   Jvc Kenwood Corp.      19,924  
958   Kaufman & Broad SA      39,856  
1,300   LEC, Inc.      12,643  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Household Durables, continued   
540   Leifheit AG    $ 21,787  
43,200   Man Wah Holdings, Ltd.      62,721  
10   Metall Zug AG      21,098  
1,363   Neinor Homes SA(a)      18,223  
6,900   Nikon Corp.      76,990  
5,576   Nobia AB      36,747  
39,400   Panasonic Corp.      489,105  
4,180   Persimmon plc      148,928  
1,200   Pressance Corp.      19,737  
6,708   Redrow plc      59,784  
200   Rinnai Corp.      21,921  
1,300   Sangetsu Corp.      17,684  
864   SEB SA      121,811  
5,900   Sekisui Chemical Co., Ltd.      101,594  
4,600   Sekisui House, Ltd.      96,678  
3,000   Sharp Corp.      37,985  
13,600   Sony Group Corp.      1,514,720  
2,500   Space Value Holdings Co., Ltd.      18,684  
1,800   Starts Corp., Inc.      42,927  
4,800   Sumitomo Forestry Co., Ltd.      92,078  
328   Surteco Group SE      14,130  
1,100   Tamron Co., Ltd.      26,086  
42,121   Taylor Wimpey plc      86,979  
10,687   Techtronic Industries Co., Ltd.      209,509  
805   The Vitec Group plc      16,194  
1,000   TOA Corp.      7,443  
3,468   TomTom NV*      27,451  
100   V-ZUG Holding AG*      13,974  
    

 

 

 

           5,064,247  
    

 

 

 

Household Products (0.2%):   
4,370   Essity AB, Class B      135,689  
407   Henkel AG & Co. KGaA      35,112  
1,700   Lion Corp.      27,506  
14,255   Mcbride plc      14,468  
1,600   Pigeon Corp.      37,266  
5,635   PZ Cussons plc      17,042  
3,336   Reckitt Benckiser Group plc      261,068  
800   Unicharm Corp.      35,486  
    

 

 

 

       563,637  
    

 

 

 

Independent Power and Renewable Electricity Producers (0.4%):   
1,528   Albioma SA      60,090  
892   Boralex, Inc., Class A      26,343  
1,800   Capital Power Corp.      60,706  
18,267   Drax Group plc      118,132  
1,631   EDP Renovaveis SA      40,162  
1,300   Electric Power Development Co., Ltd.      18,650  
2,646   Energix-Renewable Energies, Ltd.      11,135  
1,756   ERG SpA      52,160  
49   Greenvolt-Energias Renovaveis SA*      338  
1,641   Innergex Renewable Energy, Inc.      26,305  
690   Kenon Holdings, Ltd.      28,546  
16,056   New Energy Solar, Ltd.      9,336  
4,694   Northland Power, Inc.      147,521  
2,116   OPC Energy, Ltd.*      19,315  
500   Renova, Inc.*      20,522  
438   Scatec ASA(a)      8,148  
14,446   Transalta Corp.      152,627  
2,200   Transalta Renewables, Inc.      32,990  
2,465   Uniper SE      102,878  
910   West Holdings Corp.      40,255  
    

 

 

 

       976,159  
    

 

 

 

Industrial Conglomerates (0.7%):   
8,000   Chevalier International Holdings Ltd.      9,496  
12,732   CIR SpA-Compagnie Industriali*      7,142  
28,430   CK Hutchison Holdings, Ltd.      188,534  
Shares         Value
Common Stocks, continued   
Industrial Conglomerates, continued   
1,837   DCC plc    $ 152,024  
2,000   Guoco Group, Ltd.      22,995  
822   Indus Holding AG      31,590  
515   Italmobiliare SpA      17,600  
1,500   Katakura Industries Co., Ltd.      23,042  
900   Keihan Holdings Co., Ltd.      25,924  
18,500   Keppel Corp., Ltd.      70,319  
2,235   Lifco AB, Class B      59,847  
51,933   Melrose Industries plc      120,156  
5,400   Nisshinbo Holdings, Inc.      40,660  
8,675   Nolato AB, Class B      102,915  
23,000   NWS Holdings, Ltd.      21,247  
1,821   Rheinmetall AG      178,751  
3,900   Seibu Holdings, Inc.*      49,607  
49,700   SembCorp Industries, Ltd.      66,770  
70,000   Shun Tak Holdings, Ltd.*      18,709  
1,852   Siemens AG, Registered Shares      304,386  
3,820   Smiths Group plc      73,215  
5,400   Tokai Holdings Corp.      43,417  
2,400   Toshiba Corp.      100,655  
    

 

 

 

           1,729,001  
    

 

 

 

Insurance (3.5%):   
2,838   Admiral Group plc      118,423  
33,091   AEGON NV      169,866  
3,360   Ageas NV      166,265  
69,040   AIA Group, Ltd.      794,962  
4,109   Alm Brand A/S      28,776  
5,951   ASR Nederland NV      270,707  
11,584   Assicurazioni Generali SpA      246,416  
1,203   AUB Group, Ltd.      20,678  
51,290   Aviva plc      272,947  
10,959   AXA SA      304,839  
999   Baloise Holding AG, Registered Shares      152,346  
12,901   Beazley plc*      65,376  
4   Brookfield Asset Management Reinsurance Partners, Ltd., Class A      222  
7,384   Chesnara plc      28,196  
2,213   Clal Insurance Enterprises Holdings, Ltd.*      47,248  
2,983   CNP Assurances SA      47,314  
5,028   Coface SA      63,307  
4,900   Dai-ichi Life Holdings, Inc.      106,707  
39,884   Direct Line Insurance Group plc      155,588  
82   E-L Financial Corp., Ltd.      60,541  
398   Fairfax Financial Holdings, Ltd.      160,693  
1,054   FBD Holdings plc*      9,433  
459   Gjensidige Forsikring ASA      10,169  
500   Great Eastern Holdings, Ltd.      7,844  
1,464   Great-West Lifeco, Inc.      44,554  
1,465   Grupo Catalana Occidente SA      53,490  
539   Hannover Rueck SE      94,390  
5,987   Harel Insurance Investments &      61,665  
1,855   Helvetia Holding AG      202,471  
6,718   Hiscox, Ltd.      75,516  
3,319   IA Financial Corp., Inc.      188,332  
506   IDI Insurance Co., Ltd.      17,812  
12,537   Insurance Australia Group, Ltd.      44,172  
700   Intact Financial Corp.      92,574  
6,700   Japan Post Holdings Co., Ltd.      56,399  
52,851   Just Group plc*      64,351  
7,487   Lancashire Holdings, Ltd.      56,387  
58,863   Legal & General Group plc      222,250  
16,597   Linea Directa Aseguradora SA Cia de Seguros y Reaseguros      32,583  
1,683   Manulife Financial Corp.      32,400  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Insurance, continued   
13,095   Manulife Financial Corp.    $ 251,948  
25,567   Mapfre SA      55,713  
40,419   Medibank Private, Ltd.      104,483  
1,055   Menora Mivtachim Holdings, Ltd.      21,684  
16,641   Migdal Insurance & Financial Holding, Ltd.*      24,341  
2,100   MS&AD Insurance Group Holdings, Inc.      70,078  
628   Muenchener Rueckversicherungs-Gesellschaft AG      172,109  
20,116   NIB Holdings, Ltd.      100,159  
4,192   NN Group NV      218,742  
4,541   Phoenix Group Holdings plc      39,262  
7,577   Phoenix Holdings, Ltd. (The)      86,231  
5,968   Poste Italiane SpA(a)      82,126  
2,817   Prudential plc, ADR^      110,370  
20,613   QBE Insurance Group, Ltd.      171,929  
3,005   Sabre Insurance Group plc(a)      8,873  
3,822   Saga plc*      18,099  
1,945   Sampo Oyj, Class A      96,499  
5,815   SCOR SA      166,642  
8,029   Societa Cattolica di Assicuraz*      65,591  
3,000   Sompo Holdings, Inc.^      129,945  
11,137   Steadfast Group, Ltd.      38,989  
5,818   Storebrand ASA      55,598  
3,075   Sun Life Financial, Inc.      158,209  
15,987   Suncorp Group, Ltd.      143,564  
434   Swiss Life Holding AG, Registered Shares      220,112  
2,645   Swiss Re AG      225,343  
5,900   T&D Holdings, Inc.      80,591  
974   Talanx AG      41,696  
3,700   Tokio Marine Holdings, Inc.      198,449  
1,470   Topdanmark A/S      75,907  
92   Trisura Group, Ltd.*      3,141  
2,023   Tryg A/S      45,966  
15,269   Unipol Gruppo Finanziario SpA      89,261  
14,182   UnipolSai Assicurazioni SpA      39,837  
6,313   Uniqa Insurance Group AG      56,253  
54   Vaudoise Assurances Holding SA      26,062  
2,033   Vienna Insurance Group AG Wiener Versicherung Gruppe      58,455  
1,796   Wuestenrot & Wuerttembergische AG      38,090  
884   Zurich Insurance Group AG      360,508  
    

 

 

 

             8,599,064  
    

 

 

 

Interactive Media & Services (0.3%):   
13,958   Auto Trader Group plc(a)      110,432  
6,573   Carsales.com, Ltd.      120,820  
1,200   Dip Corp.      45,692  
5,600   Gree, Inc.      30,856  
2,200   Kakaku.com, Inc.      71,232  
2,000   mixi, Inc.      45,114  
135   New Work SE      33,127  
606   REA Group, Ltd.      68,891  
14,661   Rightmove plc      134,465  
897   Scout24 AG(a)      62,255  
2,124   Solocal Group*      4,284  
15,200   Z Holdings Corp.      97,559  
    

 

 

 

       824,727  
    

 

 

 

Internet & Direct Marketing Retail (0.3%):   
1,600   ASKUL Corp.      23,275  
1,900   Belluna Co., Ltd.      14,385  
621   BHG Group AB*      8,984  
18,446   Boohoo Group plc*      53,907  
106   Delivery Hero SE*(a)      13,572  
Shares         Value
Common Stocks, continued   
Internet & Direct Marketing Retail, continued   
4,443   Dustin Group AB(a)    $ 47,774  
2,462   eDreams ODIGEO SA*      21,342  
800   Enigmo, Inc.      8,839  
927   HelloFresh SE*      85,811  
10,000   Hong Kong Technology Venture Co., Ltd.      14,180  
595   Just Eat Takeaway.com NV*(a)      43,182  
22,749   Moneysupermarket.com Group plc      65,112  
6,515   N Brown Group plc*      4,378  
821   Ocado Group plc*      18,257  
5,176   On The Beach Group plc*(a)      26,662  
1,785   Prosus NV             140,565  
5,200   Rakuten, Inc.      50,326  
1,817   Takkt AG      28,867  
6,523   Webjet, Ltd.*      29,473  
848   Zalando SE*(a)      77,916  
1,200   ZOZO, Inc.      44,939  
    

 

 

 

       821,746  
    

 

 

 

IT Services (1.8%):   
1,006   AddNode Group AB      39,876  
45   Adyen NV*(a)      125,109  
370   Allgeier SE      10,152  
725   Alten SA      105,688  
776   Amadeus IT Group SA*      50,971  
733   Appen, Ltd.      4,704  
3,282   Atea ASA      56,706  
2,869   Atos SE      152,742  
180   Aubay      10,084  
1,677   Bechtle AG      115,037  
2,289   Capgemini SA      475,981  
700   CGI, Inc.*      59,470  
2,893   CGI, Inc.*      245,211  
4,933   Columbus A/S      7,215  
4,204   Computacenter plc      151,742  
8,070   Computershare, Ltd.      105,589  
1,100   Comture Corp.      30,633  
7,824   Data#3, Ltd.      26,935  
500   Densan System Holdings Co., Ltd.*      12,734  
1,400   DTS Corp.      32,241  
8,624   Econocom Group SA/NV      33,134  
1,000   E-Guardian, Inc.      27,000  
558   Enea AB*      13,497  
16,132   Equiniti Group plc*(a)      38,907  
3,891   Fdm Group Holdings plc      65,399  
457   Formula Systems 1985, Ltd.      44,585  
700   Fujitsu, Ltd.      127,145  
1,332   GFT Technologies SE      43,980  
6,665   Global Dominion Access SA(a)      33,439  
2,200   GMO Internet, Inc.      56,370  
400   GMO Payment Gateway, Inc.      50,685  
1,200   ID Holdings Corp.      9,932  
4,290   Indra Sistemas SA*      45,485  
1,200   Infocom Corp.      25,518  
1,400   Information Services Internati      52,779  
2,776   Iomart Group plc      8,041  
1,100   Itochu Techno-Solutions Corp.      35,916  
4,018   Kainos Group plc      100,247  
400   Kanematsu Electronics, Ltd.      13,980  
1,231   Knowit AB      49,660  
19,489   Link Administration Holdings, Ltd.      61,719  
896   Matrix It, Ltd.      23,896  
300   Mitsubishi Research Institute      11,825  
370   Nagarro SE*      64,895  
7,286   NCC Group plc      25,145  
600   NEC Networks & System Integrat      11,340  
1,300   NET One Systems Co., Ltd.      42,820  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
IT Services, continued   
3,000   Nihon Unisys, Ltd.    $ 77,847  
2,556   Nomura Research Institute, Ltd.      94,213  
800   NS Solutions Corp.      27,218  
2,200   Nsd Co., Ltd.      40,204  
5,500   NTT Data Corp.      106,574  
4,539   Ordina NV      17,265  
1,400   Otsuka Corp.      71,984  
1,200   Poletowin Pitcrew Holdings, Inc.      10,871  
663   Reply SpA      122,122  
2,400   SCSK Corp.      50,758  
65   Shopify, Inc., Class A*      88,126  
800   Softbank Technology Corp.      21,632  
4,096   Softcat plc      111,429  
795   Sopra Steria Group      147,485  
16,000   Sunevision Holdings, Ltd.      15,041  
1,200   TDC Soft, Inc.      14,186  
1,700   TechMatrix Corp.      30,622  
1,232   Tieto OYJ      36,940  
4,500   TIS, Inc.      123,012  
2,243   Worldline SA*(a)      171,110  
    

 

 

 

           4,314,798  
    

 

 

 

Leisure Products (0.4%):   
1,179   Accell Group*      52,242  
1,700   Bandai Namco Holdings, Inc.      127,679  
606   BRP, Inc.      56,102  
891   Games Workshop Group plc      122,463  
1,000   Globeride, Inc.      35,137  
72,000   Goodbaby International Holdings, Ltd.*      10,743  
178   Harvia OYJ      9,406  
2,500   Heiwa Corp.      46,908  
500   Mars Group Holdings Corp.      7,372  
1,659   Maytronics, Ltd.      39,182  
800   Mizuno Corp.      19,175  
26,132   Photo-Me International plc*      21,698  
1,200   Sankyo Co., Ltd.      29,911  
3,600   Sega Sammy Holdings, Inc.      51,272  
100   Shimano, Inc.      29,136  
1,169   Technogym SpA(a)      13,105  
1,995   Thule Group AB (The)(a)      99,782  
4,700   Tomy Co., Ltd.      48,004  
385   Trigano SA      72,300  
700   Universal Entertainment Corp.*      15,826  
500   Yamaha Corp.      31,438  
    

 

 

 

       938,881  
    

 

 

 

Life Sciences Tools & Services (0.4%):   
278   Addlife AB, Class B      10,091  
55   Bachem Holding AG, Class B      41,863  
156   Chemometec A/S      23,825  
2,446   Clinigen Group plc      20,859  
600   Cmic Holdings Co., Ltd.      8,061  
2,245   Eurofins Scientific SE      287,854  
1,196   Gerresheimer AG      117,403  
102   Lonza Group AG, Registered Shares      76,430  
1,715   Qiagen NV*      88,631  
225   Sartorius Stedim Biotech      125,575  
1,600   Shin Nippon Biomedical Laborat      13,383  
97   Siegfried Holding AG      85,824  
153   Tecan Group AG      86,354  
    

 

 

 

       986,153  
    

 

 

 

Machinery (4.2%):   
3,060   Aalberts NV      174,725  
2,600   Aichi Corp.      17,795  
2,100   Aida Engineering, Ltd.      19,796  
781   Alfa Laval AB      29,113  
1,607   Alimak Group AB(a)      24,067  
Shares         Value
Common Stocks, continued   
Machinery, continued   
900   Alinco, Inc.    $ 8,245  
907   Alstom SA      34,408  
10,200   Amada Holdings Co., Ltd.      105,861  
2,314   Andritz AG      126,446  
2,000   Anest Iwata Corp.      16,695  
2,700   Asahi Diamond Industrial Co., Ltd.      16,389  
2,774   Atlas Copco AB      141,859  
4,706   Atlas Copco AB, Class A             285,575  
1,149   ATS Automation Tooling Systems, Inc.*      36,455  
1,300   Bando Chemical Industries, Ltd.      10,780  
2,296   Beijer Alma AB, Class B      52,122  
183   Bobst Group SA*      15,864  
4,886   Bodycote plc      56,889  
243   Bucher Industries AG      115,486  
66   Burckhardt Compression Holding AG      26,682  
56   Bystronic AG      75,526  
459   Cargotec OYJ      23,281  
19,677   CNH Industrial NV      333,132  
1,560   Concentric AB      29,476  
1,110   Construcc y Aux de Ferrocarr SA      46,215  
103   Daetwyler Holding AG      36,526  
600   Daifuku Co., Ltd.      56,427  
2,100   Daiwa Industries, Ltd.      23,486  
1,585   Danieli & C Officine Meccaniche SpA      30,192  
3,954   Deutz AG*      34,495  
4,700   DMG Mori Co., Ltd.      88,416  
694   Duerr AG      29,887  
1,900   Ebara Corp.      94,013  
4,630   Electrolux Professional AB, Class B*      32,978  
4,358   Epiroc AB, Class A      89,863  
2,774   Epiroc AB, Class B      49,031  
1,500   Exco Technologies, Ltd.      11,738  
200   FANUC Corp.      43,789  
114   Feintool International Holding AG*      7,380  
19,282   Fincantieri SpA*      15,853  
1,579   Fluidra SA      62,382  
2,000   Fuji Corp.      51,192  
1,700   Furukawa Co., Ltd.      18,638  
1,887   GEA Group AG      86,467  
152   Georg Fischer AG      225,083  
2,000   Glory, Ltd.      44,578  
2,253   Haldex AB*      11,902  
4,700   Hino Motors, Ltd.      44,094  
1,200   Hisaka Works, Ltd.      9,495  
1,700   Hitachi Construction Machinery Co., Ltd.      48,162  
9,200   Hitachi Zosen Corp.      70,752  
1,000   Hosokawa Micron Corp.      31,386  
7,100   IHI Corp.      179,417  
14,403   IMI plc      320,886  
791   Interpump Group SpA      51,229  
17   Interroll Holding AG, Registered Shares      71,964  
1,300   Iseki & Co., Ltd.*      19,156  
1,500   Japan Steel Works, Ltd. (The)      39,008  
885   JOST Werke AG(a)      50,103  
6,700   JTEKT Corp.      58,406  
2,916   Jungheinrich AG      135,545  
197   Kardex Holding AG      55,467  
900   Kato Works Co., Ltd.      7,061  
6,900   Kawasaki Heavy Industries, Ltd.      160,336  
3,102   Kion Group AG      290,236  
400   Kitagawa Iron Works Co., Ltd.      5,911  
1,400   Kito Corp.      22,635  
5,100   Kitz Corp.      36,010  
572   Koenig & Bauer AG*      17,516  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Machinery, continued   
5,900   Komatsu, Ltd.    $ 141,888  
115   Komax Holding AG*      30,293  
2,900   Komori Corp.      22,698  
2,606   Kone OYJ, Class B      182,713  
1,994   Konecranes OYJ      79,871  
362   Krones AG      35,421  
3,400   Kubota Corp.      72,543  
900   Kurita Water Industries, Ltd.      43,488  
1,000   Kyokuto Kaihatsu Kogyo Co., Ltd.      14,648  
1,200   Maezawa Kyuso Industries Co., Ltd.      10,898  
700   Makino Milling Machine Co., Ltd.      26,909  
600   Makita Corp.      32,747  
586   Manitou Bf SA      19,641  
800   Max Co., Ltd.      13,946  
1,800   Meidensha Corp.      39,856  
800   Metawater Co., Ltd.      13,396  
22,387   Metso Outotec Oyj             204,006  
6,532   MINEBEA MITSUMI, Inc.      166,812  
900   Misumi Group, Inc.      38,250  
6,500   Mitsubishi Heavy Industries, Ltd.      175,514  
1,000   Mitsubishi Logisnext Co., Ltd.      10,364  
700   Mitsuboshi Belting Co., Ltd.      13,079  
2,900   Mitsui Engineering & Shipbuilding Co., Ltd.*      12,933  
500   Miura Co., Ltd.      20,063  
12,954   Morgan Advanced Materials plc      62,302  
1,500   Morita Holdings Corp.      20,409  
1,700   Nabtesco Corp.      64,406  
800   Nachi-Fujikoshi Corp.      32,765  
2,000   Namura Shipbuilding Co., Ltd.      4,181  
3,340   Neles OYJ      45,661  
1,456   NFI Group, Inc.      27,409  
2,500   NGK Insulators, Ltd.      42,460  
1,569   Nilfisk Holding A/S*      50,271  
3,900   Nippon Thompson Co., Ltd.      19,426  
800   Nitta Corp.      19,661  
500   Nitto Kohki Co., Ltd.      9,182  
1,900   Nitto Seiko Co., Ltd.      11,318  
300   Noritake Co., Ltd.      13,463  
995   Norma Group SE      42,172  
7,700   NSK, Ltd.      52,265  
14,800   NTN Corp.*      33,365  
7,984   OC Oerlikon Corp. AG      87,481  
1,700   Oiles Corp.      25,046  
600   Okuma Corp.      29,143  
400   Organo Corp.      24,583  
2,800   OSG Corp.      48,152  
692   Palfinger AG      29,985  
174   Pfeiffer Vacuum Technology AG      37,152  
118   Rational AG      111,252  
70   Rieter Holding AG*      15,257  
16,905   Rotork plc      79,022  
1,800   Ryobi, Ltd.      20,375  
4,054   Sandvik AB      92,556  
284   Schindler Holding AG, Registered Shares      73,028  
893,977   SembCorp Marine, Ltd.*      54,178  
388   SFS Group AG      52,264  
1,000   Shibaura Machine Co., Ltd.      24,626  
1,200   Shima Seiki Manufacturing, Ltd.      24,228  
1,900   Shinmaywa Industries, Ltd.      15,907  
78,000   Singamas Container Holdings, Ltd.      8,884  
2,200   Sintokogio, Ltd.      15,414  
3,528   Skellerup Holdings, Ltd.      14,237  
892   SKF AB      21,049  
5,218   SKF AB, Class B      122,851  
100   SMC Corp.      62,571  
Shares         Value
Common Stocks, continued   
Machinery, continued   
2,300   Sodick Co., Ltd.    $ 18,803  
995   Spirax-Sarco Engineering plc      199,934  
891   Stabilus SA      62,476  
1,600   Star Micronics Co., Ltd.      22,285  
849   Sulzer AG, Registered Shares      80,409  
3,700   Sumitomo Heavy Industries, Ltd.      95,865  
3,900   Tadano, Ltd.      41,180  
900   Takeuchi Manufacturing Co., Ltd.      20,822  
1,300   Takuma Co., Ltd.      18,187  
478   Technotrans SE      15,336  
1,500   THK Co., Ltd.      33,076  
3,900   Tocalo Co., Ltd.      47,369  
1,400   Torishima Pump Manufacturing Co., Ltd.      11,571  
3,641   Trelleborg AB      77,349  
1,098   Troax Group AB      41,971  
1,100   Tsubaki Nakashima Co., Ltd.      15,606  
1,400   Tsubakimoto Chain Co.      43,560  
1,200   Tsukishima Kikai Co., Ltd.      12,621  
600   Tsurumi Manufacturing Co., Ltd.      9,432  
5,533   Valmet Corp.      199,997  
803   Vat Group AG(a)      316,404  
1,074   VBG Group AB, Class B      21,033  
6,862   Vesuvius plc      45,037  
4,198   Volvo AB, Class A      95,207  
27,553   Volvo AB, Class B      619,276  
229   Vossloh AG      12,181  
1,416   Wacker Neuson SE      41,137  
7,232   Wartsila OYJ Abp, Class B      86,592  
560   Washtec AG      35,263  
4,095   Weir Group plc (The)*      92,494  
3,000   Yamabiko Corp.      33,322  
48,300   Yangzijiang Shipbuilding Holdings, Ltd.      48,607  
7,188   Zardoya Otis SA      58,430  
    

 

 

 

         10,326,739  
    

 

 

 

Marine (0.6%):   
22   A.P. Moeller - Maersk A/S, Class A      56,302  
30   A.P. Moeller - Maersk A/S, Class B      81,163  
1,600   Algoma Central Corp.      21,289  
3,578   American Shipping Co. ASA      12,937  
556   Clarkson plc      28,150  
1,333   D/S Norden A/S      33,761  
1,307   DFDS A/S*      69,272  
585   Hapag-Lloyd AG(a)      127,929  
3,300   Iino Kaiun Kaisha, Ltd.      15,354  
5,897   Irish Continental Group*      29,438  
2,300   Japan Transcity Corp.      12,844  
600   Kawasaki Kisen Kaisha, Ltd.*      32,476  
863   Kuehne & Nagel International AG, Registered Shares      293,292  
1,600   Mitsui O.S.K. Lines, Ltd.      107,838  
3,100   Nippon Yusen KK      233,208  
600   NS United Kaiun Kaisha, Ltd.      22,005  
1,000   Orient Overseas International, Ltd.      17,262  
215,000   Pacific Basin Shipping, Ltd.      99,571  
40,000   SITC International Holdings Co., Ltd.      142,611  
1,962   Stolt-Nielsen, Ltd.      27,502  
    

 

 

 

       1,464,204  
    

 

 

 

Media (1.5%):   
1,267   4imprint Group plc      51,168  
3,715   Aimia, Inc.*      12,702  
65   APG SGA SA*      15,036  
14,475   Arnoldo Mondadori Editore SpA*      30,255  
2,124   Ascential plc*      11,720  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Media, continued   
4,886   Atresmedia Corp. de Medios de Comuicacion SA*    $ 20,789  
1,951   Bloomsbury Publishing plc      8,766  
401   Cogeco Communications, Inc.      35,642  
400   Cogeco, Inc.      28,490  
5,394   Corus Entertainment, Inc.      24,193  
6,400   Cyberagent, Inc.             123,966  
3,302   Daily Mail & General Trust plc      47,583  
1,800   Dentsu Group, Inc.      69,258  
3,391   Euromoney Institutional Investor plc      46,243  
8,672   Eutelsat Communications SA      119,191  
1,700   F@n Communications, Inc.      6,896  
2,800   Fuji Media Holdings, Inc.      29,672  
2,700   Hakuhodo DY Holdings, Inc.      46,587  
8,376   HT&E, Ltd.      9,934  
8,773   Hyve Group plc*      13,091  
5,113   Informa plc*      37,460  
2,000   Intage Holdings, Inc.      29,308  
1,711   Ipsos      77,641  
119,144   ITV plc*      168,972  
9,582   Ive Group, Ltd.      10,657  
3,439   JCDecaux SA*      90,804  
800   Kadokawa Corp.      44,331  
2,312   Kin And Carta plc*      8,508  
2,301   Lagardere SCA*      60,625  
1,449   Liberty Global plc, Class A*      43,180  
3,548   Liberty Global plc, Class C*      104,524  
1,664   M6 Metropole Television SA      34,590  
1,300   Macromill, Inc.      9,640  
8,183   Mediaset Espana Comunicacion SA*      46,380  
17,735   Mediaset NV      50,854  
3,270   Modern Times Group MTG AB, Class B*      39,595  
64,511   Nine Entertainment Co. Holdings, Ltd.      121,617  
961   Nordic Entertainment Group AB, Class B*      51,640  
12,519   NOS SGPS SA      50,146  
1,307   NRJ Group      9,105  
19,083   Ooh!media, Ltd.*      24,435  
6,014   Otello Corp. ASA*      20,923  
2,872   Pearson plc, ADR      27,772  
5,688   Pearson plc      54,377  
68,000   PICO Far East Holdings, Ltd.      10,531  
1,050   ProSiebenSat.1 Media SE      19,319  
1,300   Proto Corp.      17,895  
6,455   Publicis Groupe SA      434,647  
4,026   Quebecor, Inc., Class B      97,312  
4,571   RAI Way SpA(a)      27,535  
12,118   Reach plc      56,908  
1,406   RTL Group      84,038  
1,116   S4 Capital plc*      12,631  
4,177   Sanoma OYJ      65,526  
214   Schibsted ASA, Class A      10,174  
239   Schibsted ASA, Class B      10,115  
16,754   SES Global, Class A      149,818  
60,999   Seven West Media, Ltd.*      17,901  
7,456   Shaw Communications, Inc.      216,522  
44,700   Singapore Press Holdings, Ltd.      64,484  
7,455   Sky Network Television, Ltd.*      10,094  
7,900   SKY Perfect JSAT Holdings, Inc.      30,388  
4,175   Societe Television Francaise 1      40,878  
15,013   Southern Cross Media Group, Ltd.      23,398  
1,167   Stroeer SE & Co. KGaA      96,413  
1,900   TBS Holdings, Inc.^      29,114  
1,294   Telenet Group Holding NV      49,471  
15,000   Television Broadcasts, Ltd.*      11,829  
Shares         Value
Common Stocks, continued   
Media, continued   
1,400   TV Asahi Holdings Corp.    $ 21,964  
500   TV Tokyo Holdings Corp.      9,988  
232   TX Group AG*      38,292  
1,000   ValueCommerce Co., Ltd.      42,711  
500   Wowow, Inc.      10,926  
10,008   WPP plc      134,459  
700   Zenrin Co., Ltd.      6,749  
    

 

 

 

           3,820,296  
    

 

 

 

Metals & Mining (4.4%):   
3,860   Acerinox SA      49,214  
1,039   Agnico Eagle Mines, Ltd.      53,872  
400   Aichi Steel Corp.      9,550  
17,624   Alamos Gold, Inc., Class A      126,780  
35,342   Alumina, Ltd.      53,275  
723   Amg Advanced Metallurgical Group N.V.      23,353  
4,799   Anglo American plc      165,516  
3,926   Antofagasta plc      70,525  
1,842   Aperam SA      101,509  
4,677   ArcelorMittal      141,104  
12,400   Argonaut Gold, Inc.*      26,927  
2,200   Asahi Holdings, Inc.      39,583  
85,942   Aurelia Metals, Ltd.      18,445  
1,731   Aurubis AG      131,116  
38,815   B2Gold Corp.      132,714  
12,714   Barrick Gold Corp.      229,603  
1,875   Bekaert NV      77,858  
28,371   BHP Group, Ltd.      762,378  
11,383   Billiton plc, ADR      577,004  
9,683   BlueScope Steel, Ltd.      140,447  
4,606   Boliden AB      148,232  
10,300   Capstone Mining Corp.*      40,097  
65,537   Centamin plc      84,447  
8,200   Centerra Gold, Inc.      56,009  
4,374   Central Asia Metals plc      12,841  
16,254   China Gold International Resources Corp., Ltd.      46,847  
1,300   Daido Steel Co., Ltd.      55,283  
1,400   Daiki Aluminium Industry Co., Ltd.      20,703  
5,323   Deterra Royalties, Ltd.      14,413  
1,900   DOWA Mining Co.      74,972  
7,500   Dundee Precious Metals, Inc.      45,128  
4,662   Eldorado Gold Corp.*      36,077  
10,499   Endeavour Mining plc      236,360  
1,907   Equinox Gold Corp.*      12,589  
539   Eramet*      40,419  
2,899   Ero Copper Corp.*      51,415  
30,536   Evolution Mining, Ltd.      77,366  
16,814   EVRAZ plc      134,136  
15,230   Ferrexpo plc      66,874  
7,488   First Quantum Minerals, Ltd.      138,656  
20,837   Fortescue Metals Group, Ltd.      219,692  
200   Franco-Nevada Corp.      25,987  
2,189   Fresnillo plc      23,020  
8,215   Galiano Gold, Inc.*      5,903  
70,849   Glencore plc      334,539  
1,100   Godo Steel, Ltd.      14,759  
6,486   Granges AB      78,074  
2,043   Hill & Smith Holdings plc      49,760  
2,300   Hitachi Metals, Ltd.      44,571  
9,715   Hochschild Mining plc      17,295  
8,995   Hudbay Minerals, Inc.      56,112  
3,880   i-80 Gold Corp.*      9,528  
15,631   IAMGOLD Corp.*      35,424  
21,854   IGO, Ltd.      137,210  
5,323   Iluka Resources, Ltd.      34,429  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Metals & Mining, continued   
14,498   Imdex, Ltd.    $ 24,084  
3,605   Ivanhoe Mines, Ltd., Class A*      23,058  
7,300   JFE Holdings, Inc.      108,940  
50,009   Jupiter Mines, Ltd.      7,952  
57,034   Kinross Gold Corp.             305,797  
6,043   Kirkland Lake Gold, Ltd.      251,760  
10,600   Kobe Steel, Ltd.^      63,985  
1,800   Kyoei Steel, Ltd.      22,291  
800   Labrador Iron Ore Royalty Corp.      22,249  
14,207   Lucara Diamond Corp.*      7,068  
19,726   Lundin Mining Corp.      141,901  
3,551   Lynas Rare Earths, Ltd.*      17,162  
14,393   MACA, Ltd.      6,730  
48,387   Macmahon Holdings, Ltd.      6,969  
1,400   Maruichi Steel Tube, Ltd.      32,479  
176,000   Midas Holdings, Ltd.*      4,667  
4,298   Mineral Resources, Ltd.      137,037  
3,300   Mitsubishi Materials Corp.      64,563  
500   Mitsubishi Steel Manufacturing Co., Ltd.      5,375  
3,300   Mitsui Mining & Smelting Co., Ltd.      92,287  
26,154   Mount Gibson Iron, Ltd.      9,074  
2,200   Neturen Co., Ltd.      12,668  
27,410   New Gold, Inc.*      29,003  
5,067   Newcrest Mining, Ltd.      83,053  
6,200   Nippon Denko Co., Ltd.      17,782  
3,700   Nippon Light Metal Holdings Co.      64,564  
6,895   Nippon Steel Corp.      123,415  
930   Nippon Yakin Kogyo Co., Ltd.^      22,031  
200   Nittetsu Mining Co., Ltd.      11,611  
12,148   Norsk Hydro ASA      90,687  
27,858   Northern Star Resources, Ltd.      171,562  
34,228   OceanaGold Corp.*      55,948  
21,175   OM Holdings, Ltd.*      14,335  
16,230   Orocobre, Ltd.*      99,902  
500   Osaka Steel Co., Ltd.      4,925  
3,231   Osisko Gold Royalties, Ltd.      36,305  
10,428   Outokumpu OYJ*      63,599  
10,556   OZ Minerals, Ltd.      168,042  
900   Pacific Metals Co., Ltd.      14,966  
1,217   Pan American Silver Corp.      28,340  
33,353   Perenti Global, Ltd.      19,729  
55,326   Perseus Mining, Ltd.*      55,934  
78,541   Petropavlovsk plc*      21,672  
5,733   Pretium Resources, Inc.*      55,456  
23,878   Ramelius Resources, Ltd.      23,060  
38,407   Regis Resources, Ltd.      55,861  
47,236   Resolute Mining, Ltd.*      14,197  
550   Rio Tinto plc      36,309  
13,055   Rio Tinto plc, Registered Shares, ADR      872,335  
4,167   Rio Tinto, Ltd.      296,045  
6,000   Sabina Gold & Silver Corp.*      6,917  
1,335   Salzgitter AG*      45,129  
9,233   Sandfire Resources, Ltd.*      36,303  
7,123   Sandfire Resources, Ltd.      28,007  
4,142   Sandstorm Gold, Ltd.*      23,843  
21,718   Schmolz + Bickenbach AG*      8,868  
32,896   Silver Lake Resources, Ltd.*      31,923  
7,523   Sims, Ltd.      71,877  
52,227   South32, Ltd.      132,538  
4,092   SSAB AB, Class A*      20,190  
9,495   SSAB AB, Class B*      40,774  
7,749   SSR Mining, Inc.      112,710  
29,592   St. Barbara, Ltd.      28,660  
2,000   Sumitomo Metal & Mining Co., Ltd.      72,185  
19,859   Syrah Resources, Ltd.*      15,242  
Shares         Value
Common Stocks, continued   
Metals & Mining, continued   
6,862   Teck Cominco, Ltd., Class B    $ 170,846  
3,912   ThyssenKrupp AG*      41,683  
1,900   Toho Titanium Co., Ltd.      20,257  
700   Toho Zinc Co., Ltd.      16,362  
300   Tokyo Rope Manufacturing Co. Ltd.*      2,630  
4,200   Tokyo Steel Manufacturing Co., Ltd.      43,138  
4,685   Torex Gold Resources, Inc.*      46,835  
9,694   Trevali Mining Corp.*      1,340  
3,324   Turquoise Hill Resources, Ltd.*      49,162  
1,500   UACJ Corp.      39,281  
3,908   Voestalpine AG      143,618  
4,200   Wesdome Gold Mines, Ltd.*      33,662  
16,249   Western Areas, Ltd.      35,106  
12,851   Westgold Resources, Ltd.      15,125  
31,047   Yamana Gold, Inc.      122,580  
1,600   Yamato Kogyo Co., Ltd.      51,330  
800   Yodogawa Steel Works, Ltd.      17,488  
    

 

 

 

         10,854,313  
    

 

 

 

Multiline Retail (0.6%):   
23,222   B&M European Value Retail SA      184,336  
247   Canadian Tire Corp., Class A      34,569  
2,909   Dollarama, Inc.      126,201  
8,199   Europris ASA(a)      54,116  
500   Fuji Co., Ltd./Ehime      9,778  
3,300   H2O Retailing Corp.      28,620  
15,674   Harvey Norman Holdings, Ltd.      56,279  
6,800   Isetan Mitsukoshi Holdings, Ltd.      51,366  
1,800   Izumi Co., Ltd.      60,049  
6,000   J. Front Retailing Co., Ltd.      58,183  
24,500   Lifestyle International Holdings, Ltd.*      13,172  
73,250   Marks & Spencer Group plc*      178,928  
1,300   Marui Group Co., Ltd.      25,138  
30,000   Metro Holdings, Ltd.      16,794  
47,139   Myer Holdings, Ltd.*      19,322  
1,643   Next plc      180,155  
3,600   Pan Pacific International Holdings Corp.      74,621  
4,800   Ryohin Keikaku Co., Ltd.      106,806  
1,000   Seria Co., Ltd.      34,967  
4,800   Takashimaya Co., Ltd.      53,613  
2,702   Tokmanni Group Corp.      65,611  
4,000   Wing On Company International, Ltd.      9,348  
    

 

 

 

       1,441,972  
    

 

 

 

Multi-Utilities (0.7%):   
2,232   Acea SpA      47,668  
5,356   AGL Energy, Ltd.      22,163  
4,664   Algonquin Power & Utilities Corp.      68,391  
805   Atco, Ltd.      25,827  
1,466   Canadian Utilities, Ltd., Class A      39,509  
253,408   Centrica plc*      193,332  
17,674   E.ON SE      216,204  
17,197   Engie Group      225,672  
13,003   Hera SpA      53,106  
11,786   Iren SpA      34,967  
33,157   ITL AEM SpA      67,982  
110,123   Keppel Infrastructure Trust      44,188  
1,915   National Grid plc, ADR      114,191  
11,914   Ren - Redes Energeticas Nacion      35,127  
6,785   RWE AG      239,828  
7,455   Suez      169,983  
3,114   Telecom Plus plc      50,519  
5,040   Veolia Environnement SA      154,217  
    

 

 

 

       1,802,874  
    

 

 

 

Oil, Gas & Consumable Fuels (4.4%):   
9,181   Advantage Energy, Ltd.*      46,398  
24,155   Africa Oil Corp.*      33,188  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Oil, Gas & Consumable Fuels, continued   
1,242   Aker BP ASA    $ 39,974  
2,482   Ampol, Ltd.      49,797  
7,200   Anglo Pacific Group plc      12,723  
26,837   ARC Resources, Ltd.      251,544  
18,809   Athabasca Oil Corp.*      13,664  
2,064   Baytex Energy Corp.*      5,635  
71,371   Beach Energy, Ltd.      76,525  
17,741   Birchcliff Energy, Ltd.      98,203  
10,317   BP plc      46,730  
25,767   BP plc, ADR             704,212  
173,000   Brightoil Petroleum Holdings, Ltd.*      6,252  
610   BW Energy, Ltd.*      1,949  
2,656   BW LPG, Ltd.(a)      14,383  
22,053   Cairn Energy plc      55,078  
3,146   Cameco Corp.      68,365  
5,227   Cameco Corp.      113,583  
13,900   Canacol Energy, Ltd.      37,099  
13,622   Canadian Natural Resources, Ltd.      497,748  
1,932   Canadian Natural Resources, Ltd.      70,650  
3,012   Cardinal Energy, Ltd.*      9,942  
2,956   Cenovus Energy, Inc.      29,737  
14,431   Cenovus Energy, Inc.      145,518  
13,100   China Aviation Oil Singapore Corp., Ltd.      9,113  
40,015   Cooper Energy, Ltd.*      7,740  
2,400   Cosmo Energy Holdings Co., Ltd.      54,580  
8,781   Crescent Point Energy      40,480  
7,561   Crescent Point Energy Corp.      34,868  
8,223   Crew Energy, Inc.*      20,194  
854   CropEnergies AG      11,885  
252   Delek Group, Ltd.*      17,830  
39,162   DNO ASA*      44,643  
7,379   Enagas SA      163,974  
4,987   Enbridge, Inc.      198,708  
49,400   ENEOS Holdings, Inc.      201,750  
7,800   Enerplus Corp.      62,454  
22,033   ENI SpA      293,315  
120,434   EnQuest plc*      37,918  
9,294   Equinor ASA      236,933  
1,004   Equital, Ltd.*      28,336  
1,390   Etablissements Maurel et Prom SA*      3,692  
9,112   Euronav NV      85,549  
1,579   Exmar NV      7,736  
1,267   FLEX LNG, Ltd.      22,617  
3,700   Freehold Royalties, Ltd.      30,385  
1,400   Frontera Energy Corp.*      8,380  
3,784   Frontline, Ltd.      34,556  
3,100   Fuji Oil Co., Ltd.      7,520  
4,922   Galp Energia SGPS SA      55,734  
891   Gaztransport et Technigaz SA      66,563  
6,249   Genel Energy plc      12,003  
6,850   Gibson Energy, Inc.      125,814  
19,607   Gran Tierra Energy, Inc.*      14,399  
14,984   Gulf Keystone Petroleum, Ltd.      40,553  
3,051   Harbour Energy plc*      14,627  
3,200   Idemitsu Kosan Co., Ltd.      84,490  
3,270   Imperial Oil, Ltd.      103,362  
18,800   INPEX Corp.      147,152  
2,244   International Petroleum Corp.*      11,429  
2,823   International Petroleum Corp. / Sweden*      14,359  
3,600   Itochu Enex Co., Ltd.      32,438  
1,000   Japan Petroleum Exploration Co., Ltd.      18,824  
24,713   Karoon Energy, Ltd.*      27,449  
7,300   Kelt Exploration, Ltd.*      26,228  
3,546   Keyera Corp.      89,238  
Shares         Value
Common Stocks, continued   
Oil, Gas & Consumable Fuels, continued   
1,732   Koninklijke Vopak NV    $ 68,079  
2,011   Lundin Energy AB      74,680  
10,707   MEG Energy Corp.*      83,617  
1,700   Mitsuuroko Holdings Co., Ltd.      22,353  
1,502   Naphtha Israel Petroleum Corp.*      7,296  
2,631   Neste Oyj             148,471  
14,065   New Hope Corp., Ltd.      24,387  
7,392   New Zealand Refining Co., Ltd. (The)*      4,534  
64,000   NewOcean Energy Holdings, Ltd.*      2,699  
21,200   Nippon Coke & Engineering Co., Ltd.      26,624  
7,654   Nuvista Energy, Ltd.*      31,066  
104,047   Oil Refineries, Ltd.*      23,434  
31,187   Oil Search, Ltd.      98,701  
1,896   OMV AG      113,915  
24,174   Origin Energy, Ltd.      81,454  
1,675   Ovintiv, Inc.      55,049  
1,307   Paramount Resouces, Ltd., Class A      19,382  
5,263   Parex Resources, Inc.      95,751  
5,000   Parkland Corp.      140,516  
300   Paz Oil Co., Ltd.*      32,544  
1,584   Pembina Pipeline Corp.      50,197  
6,783   Pembina Pipeline Corp.      215,048  
6,660   Peyto Exploration & Development Corp.      51,854  
12,892   Pharos Energy plc*      3,357  
5,032   Prairiesky Royalty, Ltd.      53,682  
20,055   Repsol SA      260,450  
32,725   Royal Dutch Shell plc, Class B, ADR      1,448,736  
1,600   Sala Corp.      9,250  
3,100   San-Ai Oil Co., Ltd.      41,133  
42,733   Santos, Ltd.      220,276  
23,460   Saras SpA*      22,804  
7,584   Senex Energy, Ltd.      20,238  
8,575   Serica Energy plc      26,490  
400   Sinanen Holdings Co., Ltd.      13,044  
17,640   Snam SpA      97,767  
15,527   Stobart Group, Ltd.*      2,964  
9,472   Suncor Energy, Inc.      196,449  
534   Suncor Energy, Inc.      11,073  
16,600   Tamarack Valley Energy, Ltd.*      41,815  
4,318   TC Energy Corp.      207,853  
3,152   TC Energy Corp.      151,580  
13,400   Tidewater Midstream and Infrastructure, Ltd.      14,496  
1,559   Torm plc*      11,980  
15,321   TotalEnergies SE      734,072  
8,830   Tourmaline Oil Corp.      308,534  
103,509   Tullow Oil plc*      70,625  
542   Verbio Vereinigte Bioenergie AG      35,692  
5,883   Vermilion Energy, Inc.*      58,161  
25,105   Viva Energy Group, Ltd.(a)      42,960  
17,452   Whitecap Resources, Inc.      96,603  
31,393   Whitehaven Coal, Ltd.*      71,417  
6,339   Woodside Petroleum, Ltd.      109,057  
12,631   Z Energy, Ltd.      29,442  
    

 

 

 

       10,862,366  
    

 

 

 

Paper & Forest Products (0.7%):   
2,718   Altri SGPS SA      16,758  
3,929   Canfor Corp.*      86,311  
600   Daiken Corp.      12,614  
4,500   Daio Paper Corp.      84,414  
8,317   Ence Energia y Celulosa S.A*      22,906  
6,700   Hokuetsu Corp.      41,199  
1,316   Holmen AB, Class B      57,721  
4,627   Interfor Corp.      114,287  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Paper & Forest Products, continued   
5,272   Metsa Board OYJ    $ 49,140  
7,408   Mondi plc      181,043  
11,089   Navigator Co. SA (The)      38,699  
4,800   Nippon Paper Industries Co., Ltd.^      51,107  
18,200   Oji Holdings Corp.      91,849  
1,998   Stella-Jones, Inc.      67,289  
10,166   Stora Enso OYJ, Registered Shares, Class R      168,776  
5,532   Svenska Cellulosa AB SCA, Class B      85,517  
600   Tokushu Tokai Paper Co., Ltd.      24,148  
5,948   UPM-Kymmene OYJ      210,129  
2,108   West Fraser Timber Co., Ltd.      177,575  
24,618   Western Forest Products, Inc.      42,767  
    

 

 

 

       1,624,249  
    

 

 

 

Personal Products (0.6%):   
287   Beiersdorf AG      31,025  
16,000   Best World International, Ltd.*      2,980  
304   Blackmores, Ltd.      20,637  
800   Fancl Corp.      26,542  
1,514   Jamieson Wellness, Inc.(a)      43,301  
3,900   Kao Corp.      232,401  
412   L’Oreal SA      170,019  
400   Milbon Co., Ltd.      24,514  
600   Noevir Holdings Co., Ltd.      28,630  
2,645   Ontex Group NV*      28,029  
800   Shiseido Co., Ltd.      53,924  
1,324   Unilever plc      71,562  
14,440   Unilever plc, ADR      782,937  
1,300   Ya-Man, Ltd.      15,763  
    

 

 

 

           1,532,264  
    

 

 

 

Pharmaceuticals (4.0%):   
172   Alk-Abello A/S*      72,288  
15,687   Alliance Pharma plc      21,965  
1,934   Almirall SA      30,655  
4,700   Astellas Pharma, Inc.      77,507  
15,563   AstraZeneca plc, ADR      934,714  
491   Aurora Cannabis, Inc.*      3,400  
2,100   Bausch Health Cos., Inc.*      58,569  
1,145   Bausch Health Cos., Inc.*      31,888  
10,652   Bayer AG, Registered Shares      580,904  
900   Canopy Growth Corp.*      12,472  
1,800   Chugai Pharmaceutical Co., Ltd.      65,947  
900   Daiichi Sankyo Co., Ltd.      24,013  
300   Daito Pharmaceutical Co., Ltd.      9,009  
500   Eisai Co., Ltd.      37,658  
11,122   Faes Farma SA      43,749  
700   Fuji Pharma Co., Ltd.      7,340  
500   Fuso Pharmaceutical Industries. Ltd.      11,301  
1,668   Galenica AG(a)      117,295  
3,801   GlaxoSmithKline plc      71,735  
14,120   GlaxoSmithKline plc, ADR      539,525  
1,384   H. Lundbeck A/S      37,590  
3,600   Haw Par Corp., Ltd.      30,523  
1,551   Hikma Pharmaceuticals plc      51,018  
800   Hisamitsu Pharmaceutical Co., Inc.      30,350  
26,202   Indivior plc*      75,327  
701   Ipsen SA      66,914  
1,000   Kaken Pharmaceutical Co., Ltd.      41,139  
1,000   Kissei Pharmaceutical Co., Ltd.      21,538  
98,378   Mayne Pharma Group, Ltd.*      19,961  
515   Merck KGaA      111,977  
3,200   Nichi-Iko Pharmaceutical Co., Ltd.      25,721  
12,667   Novartis AG, Registered Shares      1,039,371  
15,241   Novo Nordisk A/S, Class B      1,466,208  
1,900   Ono Pharmaceutical Co., Ltd.      43,340  
1,037   Orion OYJ      41,173  
Shares         Value
Common Stocks, continued   
Pharmaceuticals, continued   
4,471   Orion OYJ, Class B    $ 176,944  
2,000   Otsuka Holdings Co., Ltd.      85,269  
2,786   Recordati SpA      162,034  
216   Roche Holding AG      88,699  
5,417   Roche Holding AG          1,977,002  
2,000   Rohto Pharmaceutical Co., Ltd.      61,430  
4,419   Sanofi      425,338  
2,500   Santen Pharmaceutical Co., Ltd.      35,283  
800   Sawai Group Holdings Co., Ltd.      37,237  
1,300   Seikagaku Corp.      12,338  
500   Shionogi & Co., Ltd.      34,257  
3,200   Sumitomo Dainippon Pharma Co., Ltd.      57,182  
600   Taisho Pharmaceutical Holdings Co., Ltd.      35,086  
9,100   Takeda Pharmacuetical Co., Ltd.      301,686  
4,979   Teva Pharmaceutical Industries, Ltd., ADR*      48,495  
3,519   Teva Pharmaceutical Industries, Ltd.*      34,575  
2,849   Tilray, Inc.*      32,165  
800   Torii Pharmaceutical Co., Ltd.      21,101  
1,200   Towa Pharmaceutical Co., Ltd.      34,059  
1,400   Tsumura & Co.      44,807  
350   UCB SA      38,938  
26,000   United Laboratories International Holdings, Ltd.      17,249  
18,897   Vectura Group plc      41,704  
209   Vetoquinol SA      31,297  
1,434   Vifor Pharma AG      185,704  
146   Virbac SA      62,463  
    

 

 

 

       9,936,426  
    

 

 

 

Professional Services (2.3%):   
2,941   Adecco SA, Registered Shares      147,312  
1,864   AFRY AB      56,860  
1,278   Akka Technologies SA*      70,383  
7,788   ALS, Ltd.      70,412  
770   Altech Corp.      14,207  
1,825   Applus Services SA      17,236  
200   Baycurrent Consulting, Inc.      100,461  
1,100   Benefit One, Inc.      51,944  
3,753   BeNEXT Group Inc.      43,936  
372   Bertrandt AG      21,661  
7,058   Bureau Veritas SA      216,595  
26,624   Capita plc*      18,135  
180   Danel Adir Yeoshua, Ltd.      35,098  
1,707   DKSH Holding, Ltd.      133,525  
900   en Japan, Inc.      32,268  
6,782   Experian plc      281,688  
1,200   FULLCAST Holdings Co., Ltd.      24,425  
900   Funai Soken Holdings, Inc.      24,481  
175   Groupe Crit      13,645  
22,373   Hays plc      48,675  
2,376   Intertek Group plc      158,598  
3,227   Intertrust NV*(a)      48,291  
300   IR Japan Holdings, Ltd.^      32,744  
1,000   Jac Recruitment Co., Ltd.      19,421  
1,497   LifeWorks, Inc.      38,146  
3,994   McMillan Shakespeare, Ltd.      41,989  
1,100   Meitec Corp.      60,428  
5,000   Nihon M&A Center, Inc.      147,357  
1,400   Nomura Co., Ltd.      12,625  
3,000   Outsourcing, Inc.      54,218  
8,516   Pagegroup plc      70,893  
1,400   Pasona Group, Inc.      39,749  
4,100   Persol Holdings Co., Ltd.      102,748  
3,572   Randstad NV      238,687  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Professional Services, continued   
7,800   Recruit Holdings Co., Ltd.    $ 475,671  
7,938   RELX plc      228,719  
5,236   RELX plc, ADR      151,111  
2,833   Ricardo plc      16,303  
5,281   Robert Walters plc      51,884  
4,254   RWS Holdings plc      35,846  
1,561   Seek, Ltd.      34,743  
91   SGS SA, Registered Shares      264,649  
2,400   SMS Co., Ltd.      86,836  
2,421   Stantec, Inc.      113,642  
1,400   Stantec, Inc.      65,777  
7,669   SThree plc      59,833  
1,100   Tanseisha Co., Ltd.      8,642  
2,900   Technopro Holdings, Inc.      86,161  
1,032   Teleperformance      405,994  
2,878   Thomson Reuters Corp.      317,961  
1,065   Tinexta SpA      44,538  
1,100   UT Group Co., Ltd.      32,616  
5,588   Wolters Kluwer NV      590,590  
    

 

 

 

           5,560,357  
    

 

 

 

Real Estate Management & Development (2.4%):   
697   Aedas Homes SA(a)      20,202  
3,100   AEON Mall Co., Ltd.      47,795  
1,001   Airport City, Ltd.*      17,985  
2,300   Airport Facilities Co., Ltd.      12,457  
372   Allreal Holding AG      73,453  
1,972   Alony Hetz Properties & Invest      30,215  
492   Alrov Properties And Lodgings, Ltd.*      23,409  
700   Altus Group, Ltd.      34,160  
2,393   Amot Investments, Ltd.      16,886  
2,116   Annehem Fastigheter AB*      8,453  
7,879   Aroundtown SA      54,426  
28,100   Ascendas India Trust      29,658  
46,000   Asia Standard International Group, Ltd.      5,008  
3,626   Atrium European Real Estate, Ltd.      13,158  
1,281   Atrium Ljungberg AB, Class B      26,796  
233   Azrieli Group      20,962  
210   Big Shopping Centers, Ltd.      31,142  
3,700   Bukit Sembawang Estates, Ltd.      13,169  
11,000   Capitaland Investment, Ltd. / Singapore*      27,551  
1,420   Castellum AB      34,583  
626   Catena AB      33,652  
2,880   Cedar Woods Properties, Ltd.      12,646  
18,000   Chinese Estates Holdings, Ltd.      6,728  
52,000   Chuang’s Consortium International, Ltd.      5,752  
7,300   City Developments, Ltd.      36,849  
1,684   Citycon OYJ      13,466  
14,175   CK Asset Holdings, Ltd.      81,469  
3,803   CLS Holdings plc      11,245  
312   Colliers International Group      39,846  
12,641   Corem Property Group AB, Class B      33,438  
741   Corestate Capital Holding SA*^      9,724  
340,000   CSI Properties, Ltd.      9,801  
1,200   Daito Trust Construction Co., Ltd.      140,123  
11,500   Daiwa House Industry Co., Ltd.      384,112  
887   Deutsche Euroshop AG      18,114  
2,676   Deutsche Wohnen SE*      163,955  
1,139   Dic Asset AG      20,124  
2,651   Dios Fastigheter AB      25,711  
1,450   DREAM Unlimited Corp.      32,082  
34,000   Emperor International Holdings      4,410  
2,062   Fabege AB      31,179  
Shares         Value
Common Stocks, continued   
Real Estate Management & Development, continued   
73,677   Far East Consortium International, Ltd.    $ 24,955  
687   Fastighets AB Balder*      41,222  
1,147   FirstService Corp.             207,011  
11,092   Foxtons Group plc      7,435  
16,000   Frasers Property, Ltd.      13,303  
4,500   Gav-Yam Lands Corp., Ltd.      45,803  
1,100   Goldcrest Co., Ltd.      16,661  
17,039   Grainger plc      69,672  
977   Grand City Properties SA      24,368  
10,197   Great Eagle Holdings, Ltd.      27,833  
17,100   GuocoLand, Ltd.      20,655  
28,000   Hang Lung Group, Ltd.      65,283  
29,984   Hang Lung Properties, Ltd.      68,161  
1,200   Heiwa Real Estate Co., Ltd.      41,585  
5,154   Helical plc      30,437  
17,706   Henderson Land Development Co., Ltd.      67,215  
37,840   HKR International, Ltd.      14,945  
9,400   Ho Bee Land, Ltd.      19,520  
18,500   Hong Fok Corp., Ltd.      10,626  
9,900   Hongkong Land Holdings, Ltd.      47,381  
2,049   Hufvudstaden AB      30,581  
4,500   Hulic Co., Ltd.      50,175  
11,000   Hysan Development Co., Ltd.      35,799  
12,900   Ichigo, Inc.      42,647  
242   Immobel SA      20,884  
1,302   IMMOFINANZ AG*      31,050  
1,253   Instone Real Estate Group AG(a)      35,753  
29   Intershop Holdings AG      18,060  
2,000   Invesque, Inc.*      4,160  
164   Investis Holding SA      18,485  
25,000   K Wah International Holdings Ltd.      10,074  
2,000   Katitas Co., Ltd.      70,795  
22,225   Kerry Properties, Ltd.      58,495  
1,455   Kojamo Oyj      30,056  
26,000   Kowloon Development Co., Ltd.      28,875  
3,796   Kungsleden AB      49,862  
17,100   Lai Sun Development Co., Ltd.*      10,015  
112,800   Landing International Development, Ltd.*      3,473  
44,500   Langham Hospitality Investment*      4,907  
944   LEG Immobilien SE      133,541  
7,615   Lend Lease Group      59,097  
8,000   Liu Chong Hing Investment, Ltd.      7,884  
4,644   LSL Property Services plc      27,260  
578   Melisron, Ltd.*      46,174  
59,000   Mingfa Group International Co., Ltd.*      3,231  
3,100   Mirainovate Co., Ltd.*      6,849  
4,800   Mitsubishi Estate Co., Ltd.      76,451  
5,100   Mitsui Fudosan Co., Ltd.      121,498  
9,306   Mivne Real Estate KD, Ltd.      32,607  
255   Mobimo Holding AG, Registered Shares      84,776  
100   Morguard Corp.      10,518  
25,087   New World Development Co., Ltd.      101,799  
1,967   Nexity SA      93,718  
800   Nippon Commercial Development Co., Ltd.      12,502  
1,700   Nisshin Group Holdings Co., Ltd.      7,658  
3,200   Nomura Real Estate Holdings, Inc.      83,404  
3,463   Nyfosa AB      48,782  
1,700   Open House Co., Ltd.      99,541  
17,900   Oue, Ltd.      17,696  
53,896   Oxley Holdings, Ltd.      8,099  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Real Estate Management & Development, continued   
25,655   Pacific Century Premium Developments, Ltd.*    $ 1,975  
1,195   Platzer Fastigheter Holding AB, Class B      17,873  
779   PSP Swiss Property AG      93,730  
700   Raysum Co., Ltd.      4,806  
3,244   Real Matters, Inc.*      25,718  
2,300   Relo Group, Inc.      47,719  
556   Sagax AB, Class B      17,279  
7,058   Samhallsbyggnadsbolaget i Norden AB      38,936  
1,200   SAMTY Co., Ltd.      25,221  
5,801   Savills plc      105,096  
1,875   Selvaag Bolig ASA      11,681  
2,600   Shinoken Group Co., Ltd.      27,106  
795   Shurgard Self Storage SA      43,645  
100,800   Sinarmas Land, Ltd.      19,798  
52,358   Sino Land Co., Ltd.      70,447  
5,945   Sirius Real Estate, Ltd.      10,472  
5,000   Soundwill Holdings, Ltd.      4,998  
2,700   Sumitomo Realty & Development Co., Ltd.      98,537  
1,493   Summit Real Estate Holdings, Ltd.*      26,147  
1,800   Sun Frontier Fudousan Co., Ltd.      17,764  
5,921   Sun Hung Kai Properties, Ltd.      73,585  
10,646   Swire Pacific, Ltd., Class A      63,103  
17,500   Swire Pacific, Ltd., Class B      17,177  
8,600   Swire Properties, Ltd.      21,519  
2,643   Swiss Prime Site AG      257,432  
1,304   TAG Immobilien AG      38,211  
21,000   TAI Cheung Holdings, Ltd.      12,650  
4,200   Takara Leben Co., Ltd.      12,130  
2,900   Toc Co., Ltd.      17,115  
6,400   Tokyo Tatemono Co., Ltd.      101,387  
12,800   Tokyu Fudosan Holdings Corp.      78,836  
2,400   Tosei Corp.      25,858  
6,860   U & I Group plc*      8,240  
213   UBM Development AG      10,571  
7,900   UOL Group, Ltd.      39,721  
1,345   Vonovia SE      80,842  
1,918   Wallenstam AB      28,302  
6   Warteck Invest AG      15,693  
6,203   Watkin Jones plc      18,885  
9,829   Wharf Real Estate Investment Co., Ltd.      50,781  
2,034   Wihlborgs Fastigheter AB      40,520  
20,700   Wing Tai Holdings, Ltd.      27,597  
16,000   Wing Tai Properties, Ltd.      8,636  
17   Zug Estates Holding AG      36,058  
    

 

 

 

           5,950,993  
    

 

 

 

Road & Rail (1.4%):   
52,525   Aurizon Holdings, Ltd.      143,028  
4,552   Canadian National Railway Co.      526,439  
5,045   Canadian Pacific Railway, Ltd.      328,278  
600   Central Japan Railway Co.      95,912  
1,200   Chilled & Frozen Logistics Holdings Co., Ltd.      18,154  
41,300   ComfortDelGro Corp., Ltd.      45,871  
586   DSV PANALPINA A/S      139,929  
1,300   East Japan Railway Co.      91,201  
64,976   FirstGroup plc*      77,189  
1,200   Fukuyama Transporting Co., Ltd.      52,393  
3,244   Go-Ahead Group plc*      35,134  
1,000   Hamakyorex Co., Ltd.      30,190  
2,400   Hankyu Hanshin Holdings, Inc.      75,733  
Shares         Value
Common Stocks, continued   
Road & Rail, continued   
1,100   Hitachi Transport System, Ltd.    $ 49,001  
1,100   Ichinen Holdings Co., Ltd.      12,952  
206   Jungfraubahn Holding AG, Registered Shares*      30,229  
2,500   Keikyu Corp.^      31,271  
700   Keio Corp.      37,481  
1,200   Keisei Electric Railway Co., Ltd.      39,810  
1,500   Kintetsu Group Holdings Co., Ltd.*      50,636  
1,000   Kyushu Railway Co.      24,111  
400   Maruzen Showa Unyu Co., Ltd.      12,846  
7,711   MTR Corp., Ltd.      41,399  
2,300   Nagoya Railroad Co., Ltd.*      42,446  
1,600   Nankai Electric Railway Co., Ltd.      34,520  
13,705   National Express Group plc*      44,145  
2,200   Nikkon Holdings Co., Ltd.      45,529  
1,800   Nippon Express Co., Ltd.      124,032  
1,300   Nishi-Nippon Railroad Co., Ltd.      33,057  
5,199   Nobina AB(a)      46,565  
147   NTG Nordic Transport Group A/S*      11,365  
2,000   Odakyu Electric Railway Co., Ltd.      46,337  
13,546   Redde Northgate plc      72,762  
500   Sakai Moving Service Co., Ltd.      21,756  
2,300   Sankyu, Inc.      106,470  
4,500   Seino Holdings Co., Ltd.      54,284  
6,400   Senko Group Holdings Co., Ltd.      58,815  
325   Sixt SE      29,064  
368   Sixt SE*      56,564  
1,000   Sotetsu Holdings, Inc.      19,904  
31,768   Stagecoach Group plc*      35,556  
278   Stef S.A.      31,335  
3,752   Tfi International, Inc.      383,910  
1,500   Tobu Railway Co., Ltd.      40,455  
3,400   Tokyu Corp.      50,638  
300   Tonami Holdings Co., Ltd.      13,446  
3,913   Tourism Holdings, Ltd.*      6,978  
600   Trancom Co., Ltd.      44,079  
15,330   Transport International Holdings, Ltd.      26,705  
1,100   West Japan Railway Co.      54,785  
    

 

 

 

           3,524,689  
    

 

 

 

Semiconductors & Semiconductor Equipment (2.1%):   
1,800   Advantest Corp.      161,287  
9,500   Aem Holdings, Ltd.      28,134  
5,246   ams AG*      95,792  
1,056   ASM International NV      412,250  
7,219   ASM Pacific Technology, Ltd.      78,616  
2,381   ASML Holding NV, NYS      1,774,107  
3,160   BE Semiconductor Industries NV      249,438  
33,000   BOE Varitronix, Ltd.      31,265  
569   Camtek, Ltd./Israel*      23,841  
100   Disco Corp.      27,996  
1,700   Ferrotec Holdings Corp.      47,817  
438   First Sensor AG      22,077  
2,174   Infineon Technologies AG      89,360  
2,200   Japan Material Co., Ltd.      25,628  
600   Lasertec Corp.      136,307  
879   Melexis NV      93,029  
800   Mimasu Semiconductor Industry      17,553  
500   Mitsui High-Tec, Inc.      34,196  
473   Nordic Semiconductor ASA*      14,159  
389   Nova Measuring Instruments, Ltd.*      38,923  
1,100   Optorun Co., Ltd.      23,022  
9,700   Renesas Electronics Corp.*      119,702  
700   ROHM Co., Ltd.      65,953  
1,200   Sanken Electric Co., Ltd.      67,353  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Semiconductors & Semiconductor Equipment, continued   
300   Shindengen Electric Manufacturing Co., Ltd.*    $ 10,952  
2,100   Shinko Electric Industries Co., Ltd.      69,878  
992   Siltronic AG      155,948  
162   Soitec*      35,157  
6,646   STMicroelectronics NV      289,711  
4,600   SUMCO Corp.      92,370  
1,100   Tokyo Electron, Ltd.      484,948  
800   Tokyo Seimitsu Co., Ltd.      32,962  
1,000   Towa Corp.      22,854  
2,902   Tower Semiconductor, Ltd.*      86,770  
1,200   Tri Chemical Laboratories, Inc.      35,863  
1,300   Ulvac, Inc.      74,367  
1,200   Yamaichi Electronics Co., Ltd.      17,802  
    

 

 

 

           5,087,387  
    

 

 

 

Software (1.1%):   
1,800   Access Co., Ltd.*      16,039  
2,147   Altium, Ltd.      54,559  
3,980   Avast plc(a)      30,429  
1,040   AVEVA Group plc      50,220  
4,889   BlackBerry, Ltd.*      47,601  
4,900   Broadleaf Co., Ltd.      25,187  
500   Computer Engineering & Consulting, Ltd.      5,834  
101   Constellation Software, Inc.      165,490  
1,400   Cresco, Ltd.      25,412  
1,200   Cybozu, Inc.      26,148  
903   Dassault Systemes SE      47,335  
564   Descartes Systems Group, Inc.*      45,831  
300   Digital Arts, Inc.      24,314  
1,000   Enghouse Systems, Ltd.      43,880  
800   Fuji Soft, Inc.      42,007  
8,509   Hansen Technology, Ltd.      33,976  
690   Hilan, Ltd.      38,850  
5,100   Infomart Corp.      46,264  
16,011   Infomedia, Ltd.      20,258  
7,858   Integrated Research, Ltd.      9,340  
3,230   IRESS, Ltd.      26,600  
600   Justsystems Corp.^      33,862  
200   Kinaxis, Inc.*      28,860  
1,361   Lectra      53,496  
172   Linedata Services      7,858  
1,195   Magic Software Enterprises, Ltd.      23,713  
8,235   Micro Focus International plc, ADR      44,798  
500   Miroku Jyoho Service Co., Ltd.      7,582  
1,788   Nemetschek SE      187,901  
340   Netcompany Group A/S(a)      39,093  
145   NICE Systems, Ltd.*      41,039  
3,485   Open Text Corp.      169,859  
200   Open Text Corp.      9,763  
400   Oracle Corp.      35,199  
900   Rakus Co., Ltd.      31,695  
5,027   Sage Group plc      47,972  
2,503   SAP SE      339,046  
1,391   SimCorp A/S      163,866  
1,484   Software AG      69,297  
500   SRA Holdings      13,180  
2,100   Systena Corp.      42,430  
8,525   Technology One, Ltd.      69,492  
1,295   Temenos AG      175,900  
1,900   Trend Micro, Inc.      106,008  
12,001   Vista Group International, Ltd.*      22,434  
423   Xero, Ltd.*      42,146  
    

 

 

 

       2,632,063  
    

 

 

 

Shares         Value
Common Stocks, continued   
Specialty Retail (1.6%):   
400   ABC-Mart, Inc.    $ 22,649  
16,866   Accent Group, Ltd.      27,279  
10,400   Adairs, Ltd.      30,392  
1,300   Adastria Co., Ltd.      23,898  
900   Alpen Co., Ltd.      24,874  
2,600   Aoki Holdings, Inc.      16,897  
2,800   Aoyama Trading Co., Ltd.*      21,250  
3,236   AP Eagers, Ltd.      34,623  
2,500   Autobacs Seven Co., Ltd.      33,323  
613   Autocanada, Inc.*      22,455  
2,300   BIC Camera, Inc.      21,917  
4,193   Bilia AB, Class A      75,638  
3,245   Byggmax Group AB      27,720  
2,609   Carasso Motors, Ltd.      13,950  
16,294   Card Factory plc*      11,798  
3,919   Ceconomy AG*      16,929  
800   Chiyoda Co., Ltd.      6,091  
18,000   Chow Sang Sang Holdings International, Ltd.      26,894  
31,200   Chow Tai Fook Jewellery Group, Ltd.      59,401  
1,435   Clas Ohlson AB, Class B      14,750  
4,700   DCM Holdings Co., Ltd.      45,587  
39,375   Dixons Carphone plc      70,671  
2,720   Dufry AG, Registered Shares*             151,553  
4,536   Dunelm Group plc      85,935  
4,900   Edion Corp.^      46,274  
115,950   Esprit Holdings, Ltd.*      10,256  
400   Fast Retailing Co., Ltd.      294,850  
1,157   Fielmann AG      77,325  
878   Fnac Darty SA      57,673  
9,000   Frasers Group plc*      82,543  
2,300   Geo Holdings Corp.      25,973  
130,000   Giordano International, Ltd.      25,045  
1,946   Grandvision BV(a)      63,988  
10,860   Halfords Group plc      44,490  
8,861   Hennes & Mauritz AB, Class B*      179,724  
300   Hikari Tsushin, Inc.      50,736  
483   Hornbach Baumarkt AG      21,806  
634   Hornbach Holding AG & Co. KGaA      82,227  
2,800   Idom, Inc.      24,988  
5,629   Industria de Diseno Textil SA      204,770  
4,269   JB Hi-Fi, Ltd.      139,186  
8,144   JD Sports Fashion plc      114,642  
700   JINS Holdings, Inc.      50,970  
1,500   Joshin Denki Co., Ltd.      33,940  
26,469   Kathmandu Holdings, Ltd.      28,929  
1,700   Keiyo Co., Ltd.      12,357  
744   Kid ASA(a)      9,613  
36,342   Kingfisher plc      164,396  
900   Kohnan Shoji Co., Ltd.      29,459  
1,600   Komeri Co., Ltd.      38,731  
5,800   K’s Holding Corp.      60,116  
1,766   Leon’s Furniture, Ltd.      32,659  
15,750   L’occitane International SA      53,047  
19,046   Lookers plc*      16,622  
14,000   Luk Fook Holdings International, Ltd.      35,867  
2,347   Matas A/S      44,217  
1,681   Mekonomen AB*      29,760  
2,955   Mobilezone Holding AG      40,749  
234   Musti Group OYJ      8,350  
3,966   Nick Scali, Ltd.      32,505  
1,900   Nishimatsuya Chain Co., Ltd.      24,101  
400   Nitori Co., Ltd.      78,703  
1,800   Nojima Corp.      46,483  
28,290   Oriental Watch Holdings      11,702  
76,677   Pendragon plc*      18,929  
19,618   Pets At Home Group plc      126,317  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Specialty Retail, continued   
2,736   Premier Investments, Ltd.    $ 59,023  
400   Shimamura Co., Ltd.      37,564  
800   Sleep Country Canada Holdings, Inc.(a)      21,226  
8,071   Super Retail Group, Ltd.      71,028  
3,968   Superdry plc*      13,786  
900   T-Gaia Corp.      16,003  
2,400   USS Co., Ltd.      41,065  
240   Valora Holding AG*      47,084  
13,891   Vertu Motors plc*      9,372  
8,200   VT Holdings Co., Ltd.      40,488  
2,572   WHSmith plc*      58,939  
8,059   Wickes Group plc      24,629  
300   Workman Co., Ltd.      19,014  
800   World Co., Ltd.*      10,721  
700   Xebio Holdings Co., Ltd.      7,117  
2,913   XXL ASA(a)      5,462  
12,700   Yamada Holdings Co., Ltd.      53,461  
800   Yellow Hat, Ltd.      13,983  
    

 

 

 

           4,011,457  
    

 

 

 

Technology Hardware, Storage & Peripherals (0.6%):   
5,900   Brother Industries, Ltd.      129,834  
4,400   Canon, Inc.      108,242  
700   EIZO Corp.      26,777  
1,800   Elecom Co., Ltd.      28,873  
1,400   FUJIFILM Holdings Corp.      120,738  
16,000   Konica Minolta, Inc.^      86,318  
1,323   Logitech International SA, Class R      117,189  
1,900   Maxell Holdings, Ltd.      22,744  
4,000   Mcj Co., Ltd.      43,100  
5,300   NEC Corp.      287,751  
1,300   Noritsu Koki Co., Ltd.      29,577  
1,935   Quadient      46,529  
10,400   Ricoh Co., Ltd.      106,735  
600   Roland Dg Corp.      16,689  
2,197   S&T AG^      57,323  
7,600   Seiko Epson Corp.^      153,353  
1,200   Toshiba Tec Corp.      50,949  
4,400   Wacom Co., Ltd.      28,109  
    

 

 

 

       1,460,830  
    

 

 

 

Textiles, Apparel & Luxury Goods (2.0%):   
1,248   Adidas AG      393,202  
3,137   Aritzia, Inc.*      99,877  
1,383   Brunello Cucinelli SpA*      75,846  
6,313   Burberry Group plc      153,688  
364   Calida Holding AG      17,578  
408   Canada Goose Holdings, Inc.*      14,553  
951   Chargeurs SA      28,695  
2,481   Cie Financiere Richemont SA      255,866  
35,102   Coats Group plc      31,843  
485   Delta-Galil Industries, Ltd.      24,158  
449   Fox Wizel, Ltd.      56,411  
1,142   Gildan Activewear, Inc.      41,694  
900   Gildan Activewear, Inc.      32,890  
400   Goldwin, Inc.      26,113  
900   Gunze, Ltd.      35,176  
189   Hermes International SA      261,178  
2,296   Hugo Boss AG      138,421  
473   Kering      336,366  
1,500   Komatsu Matere Co., Ltd.      12,994  
700   Kurabo Industries, Ltd.      12,891  
1,986   LVMH Moet Hennessy Louis Vuitton SA      1,419,931  
2,544   Moncler SpA      155,573  
3,560   New Wave Group AB*      53,168  
Shares         Value
Common Stocks, continued   
Textiles, Apparel & Luxury Goods, continued   
5,000   Onward Holdings Co., Ltd.    $ 16,168  
12,688   Ovs SpA*(a)      33,708  
44,000   Pacific Textiles Holdings, Ltd.      22,246  
4,176   Pandora A/S      506,510  
8,500   Prada SpA      46,361  
466   Puma SE      52,073  
22,800   Samsonite International SA*(a)      48,857  
2,100   Sankyo Seiko Co., Ltd.      10,426  
500   Sanyo Shokai, Ltd.*      4,762  
1,000   Seiren Co., Ltd.^      18,796  
17,500   Stella International Holdings, Ltd.      22,468  
451   Swatch Group AG (The), Class B      118,243  
1,054   Swatch Group AG (The), Registered Shares      54,289  
2,999   Ted Baker plc*      5,731  
60,000   Texwinca Holdings, Ltd.      12,315  
404   Tod’s SpA*^      21,436  
3,200   Tsi Holdings Co., Ltd.*      10,099  
5,500   Unitika, Ltd.*      19,434  
377   Van de Velde NV      13,452  
2,000   Wacoal Holdings Corp.      42,416  
40,014   Yue Yuen Industrial Holdings, Ltd.*      81,102  
    

 

 

 

           4,839,004  
    

 

 

 

Thrifts & Mortgage Finance (0.2%):   
1,484   Aareal Bank AG      41,254  
3,618   Deutsche Pfandbriefbank AG(a)      41,137  
615   Equitable Group, Inc.      69,396  
1,100   Firm Capital Mortgage Investment Corp.      12,760  
16,190   Genworth Mortgage Insurance AU      25,586  
2,112   Home Capital Group, Inc.*      61,889  
4,785   MyState, Ltd.      16,994  
9,478   OSB Group plc      63,721  
10,978   Paragon Banking Group plc      79,871  
3,600   Timbercreek Financial Corp.      27,404  
    

 

 

 

              440,012  
    

 

 

 

Tobacco (0.5%):   
12,168   British American Tobacco plc      424,471  
17,939   Imperial Brands plc, Class A      374,320  
13,100   Japan Tobacco, Inc.      257,246  
3,118   Scandinavian Tobacco Group A/S(a)      61,576  
7,790   Swedish Match AB      68,345  
    

 

 

 

           1,185,958  
    

 

 

 

Trading Companies & Distributors (2.2%):   
8,849   AddTech AB, Class B      156,697  
1,000   Alconix Corp.      14,484  
5,848   Ashtead Group plc      443,544  
653   BayWa AG      27,521  
4,032   Beijer Ref AB*      80,098  
1,271   Bergman & Beving AB      21,376  
9,600   BOC Aviation, Ltd.(a)      79,795  
388   Bossard Holding AG      121,109  
5,765   Brenntag AG      537,703  
1,375   Bufab AB      48,975  
4,067   Bunzl plc      134,332  
70,000   China Strategic Holdings, Ltd.*      546  
400   Daiichi Jitsugyo Co., Ltd.      17,813  
1,506   Diploma plc      56,618  
4,000   Doman Building Materials Group, Ltd.      20,057  
2,293   Ferguson plc      317,815  
7,400   Finning International, Inc.      182,604  
7,815   Grafton Group plc      132,965  
1,700   Hanwa Co., Ltd.      52,729  
23,754   Howden Joinery Group plc      284,165  
621   Imcd Group NV      117,887  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Trading Companies & Distributors, continued   
1,800   Inaba Denki Sangyo Co., Ltd.    $ 43,992  
1,800   Inabata & Co., Ltd.      27,893  
3,146   Indutrade AB      87,419  
9,000   Itochu Corp.             263,659  
2,000   Iwatani Corp.      117,586  
616   Jacquet Metals SA      15,524  
500   Japan Pulp & Paper Co., Ltd.      17,500  
700   Kamei Corp.      7,884  
900   Kanaden Corp.      8,145  
1,700   Kanamoto Co., Ltd.      39,900  
3,100   Kanematsu Corp.      38,536  
2,972   Kloeckner & Co. SE*      37,146  
14,200   Marubeni Corp.      116,525  
2,400   Mitani Corp.      42,143  
6,700   Mitsubishi Corp.      209,622  
8,600   Mitsui & Co., Ltd.      186,587  
1,271   Momentum Group AB, Class B      28,859  
3,600   MonotaRo Co., Ltd.      81,246  
4,300   Nagase & Co., Ltd.      72,688  
600   Nichiden Corp.      12,787  
500   Nippon Steel Trading Corp.      22,619  
1,200   Nishio Rent All Co., Ltd.      31,649  
700   Onoken Co., Ltd.      10,450  
1,494   Reece, Ltd.      20,361  
9,256   Rexel SA      178,081  
1,992   Richelieu Hardware, Ltd.      65,530  
1,404   Russel Metals, Inc.      33,670  
600   Senshu Electric Co., Ltd.      25,381  
2,458   Seven Group Holdings, Ltd.      36,157  
7,700   Sojitz Corp.      126,689  
409   Solar A/S      40,347  
17,864   Speedy Hire plc      15,254  
6,600   Sumitomo Corp.      92,289  
2,372   Toromont Industries, Ltd.      198,035  
1,900   Toyota Tsushu Corp.      79,636  
7,192   Travis Perkins plc      147,444  
1,000   Trusco Nakayama Corp.      25,995  
800   Wajax Corp.      14,498  
2,700   Wakita & Co., Ltd.      26,231  
2,700   Yamazen Corp.      25,983  
800   Yuasa Trading Co., Ltd.      21,682  
    

 

 

 

       5,542,455  
    

 

 

 

Transportation Infrastructure (0.4%):   
242   Aena SME SA*(a)      41,737  
496   Aeroports de Paris*      62,949  
3,595   Atlantia SpA*      67,954  
9,083   Atlas Arteria, Ltd.      42,084  
8,117   Auckland International Airport, Ltd.*      43,622  
671   Flughafen Zuerich AG*      119,696  
1,124   Fraport AG*      78,317  
2,198   Getlink SE      34,408  
1,618   Hamburger Hafen und Logistik AG      36,337  
182,200   Hutchison Port Holdings Trust      43,547  
1,940   James Fisher & Sons plc      22,332  
400   Japan Airport Terminal Co., Ltd.*      19,730  
3,500   Kamigumi Co., Ltd.      73,655  
1,400   Mitsubishi Logistics Corp.      41,549  
400   Nissin Corp.      5,922  
5,399   Port of Tauranga, Ltd.      26,439  
32,583   Qube Holdings, Ltd.      77,479  
2,100   Sumitomo Warehouse Co., Ltd. (The)      34,419  
11,723   Sydney Airport*      69,623  
9,135   Transurban Group      92,601  
1,015   Transurban Group*      10,289  
Shares         Value
Common Stocks, continued   
Transportation Infrastructure, continued   
2,729   Westshore Terminals Investment Corp.    $ 52,688  
    

 

 

 

           1,097,377  
    

 

 

 

Water Utilities (0.1%):   
4,740   Pennon Group plc      71,769  
2,562   Severn Trent plc      89,577  
45,000   Siic Environment Holdings, Ltd.      6,615  
5,391   United Utilities Group plc      70,086  
    

 

 

 

       238,047  
    

 

 

 

Wireless Telecommunication Services (1.3%):   
1,292   1&1 AG      40,999  
3,670   Cellcom Israel, Ltd.*      12,807  
5,583   Freenet AG      146,437  
88,000   Hutchison Telecommunications Holdings, Ltd.      13,682  
27,900   KDDI Corp.      922,150  
5,186   Millicom International Cellular SA, SDR*      187,751  
1,000   Okinawa Cellular Telephone Co.      48,636  
1,324   Orange Belgium SA      29,707  
5,106   Partner Communications Co.*      23,731  
1,900   Rogers Communications, Inc., Class B      88,744  
1,708   Rogers Communications, Inc., Class B      79,661  
35,000   Smartone Telecommunications Ho      19,794  
9,900   Softbank Corp.      134,433  
17,300   SoftBank Group Corp.      999,856  
21,800   StarHub, Ltd.      19,540  
4,847   Tele2 AB      71,628  
306,023   Vodafone Group plc      462,835  
    

 

 

 

       3,302,391  
    

 

 

 

Total Common Stocks (Cost $190,875,858)      242,715,466  
  

 

 

 

Preferred Stocks (0.4%):   
Automobiles (0.4%):   
1,285   Bayerische Motoren Werke AG (BMW), 2.91%, 5/15/20      98,104  
1,645   Porsche Automobil Holding SE, 2.57%, 5/20/20      163,909  
2,660   Volkswagen AG, 2.51%, 5/8/20      595,801  
    

 

 

 

       857,814  
    

 

 

 

Household Products (0.0%):   
588   Henkel AG & Co. KGaA, 2.31%, 4/21/20      54,584  
    

 

 

 

Total Preferred Stocks (Cost $755,178)

     912,398  
  

 

 

 

Contracts         Value
Warrants (0.0%):   
Energy Equipment & Services (0.0%):   
64,038   Ezion Holdings, Ltd., 4/6/23       
    

 

 

 

Oil, Gas & Consumable Fuels (0.0%):   
766   Cenovus Energy, Inc., 1/1/26      4,524  
    

 

 

 

Total Warrants (Cost $–)

     4,524  
  

 

 

 

Shares         Value
Rights (0.0%):   
Airlines (0.0%):   
2,199   Deutsche Lufthansa, Expires on 10/6/21*^      5,221  
    

 

 

 

Entertainment (0.0%):   
2,023   Borussia Dortmund GmbH & Co., Expires on 10/5/21*      55  
    

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA International Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Rights, continued   
Independent Power and Renewable Electricity Producers (0.0%):   
49   OPC Energy, Ltd., Expires on 10/5/21*    $ 191  
    

 

 

 

Metals & Mining (0.0%):   
7,123   Sandfire Resources, Expires on
10/14/21*(b)
      
    

 

 

 

Real Estate Management & Development (0.0%):   
1,173   CA Immobilien Anla, Expires on
12/31/49*(b)
      
    

 

 

 

Transportation Infrastructure (0.0%):   
1,015   Transurban Group, Expires on
10/11/21*
     770  
    

 

 

 

Total Rights (Cost $8,245)

     6,237  
  

 

 

 

Principal
Amount
        Value
Short-Term Security Held as Collateral for Securities on Loan (1.2%):   
2,890,689   BlackRock Liquidity FedFund, Institutional Class , 0.03%(c)(d)      2,890,689  
    

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan (Cost $2,890,689)

     2,890,689  
  

 

 

 

Shares         Value
Unaffiliated Investment Company (0.4%):   
Money Markets (0.4%):   
927,198   Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(d)      927,198  
    

 

 

 

Total Unaffiliated Investment Company (Cost $927,198)

     927,198  
  

 

 

 

Total Investment Securities

(Cost $195,457,168) - 100.5%

     247,456,512  

Net other assets (liabilities) - (0.5)%

     (1,199,652
  

 

 

 

Net Assets - 100.0%

   $ 246,256,860  
  

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

ADR    -    American Depository Receipt
NYS    -    New York Shares
SDR    -    Swedish Depository Receipt

 

*

Non-income producing security.

^

This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities on loan as of September 30, 2021 was $2,694,832.

Represents less than 0.05%.

(a)

Rule 144A, Section 4(2) or other security which is restricted to resale to institutional investors. The sub-adviser has deemed these securities to be liquid based on procedures approved by the Board of Trustees.

(b)

Security was valued using unobservable inputs in good faith pursuant to procedures approved by the Board of Trustees as of September 30, 2021. The total of all such securities represent 0.00% of the net assets of the fund.

(c)

Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.

(d)

The rate represents the effective yield at September 30, 2021.

Amounts shown as “—” are either $0 or rounds to less than $1.

The following represents the concentrations by country of risk (based on the domicile of the security issuer) relative to the total value of investments as of September 30, 2021:

(Unaudited)

 

 

Country

   Percentage

Australia

   5.8%

Austria

   0.5%

Belgium

   1.1%

Bermuda

   —%

Cambodia

   —%

Canada

   9.6%

Cayman Islands

   —%

China

   0.2%

Colombia

   —%

Denmark

   2.4%

Egypt

   —%

European Community

   —%

Faroe Islands

   —%

Finland

   1.7%

France

   7.2%

Germany

   6.9%

Hong Kong

   2.1%

India

   —%

Ireland

   1.3%

Isle of Man

   0.1%

Israel

   0.9%

Italy

   2.3%

Japan

   23.4%

Jersey

   —%

Liechtenstein

   —%

Luxembourg

   0.6%

Malta

   —%

Mexico

   —%

Netherlands

   4.2%

New Zealand

   0.5%

Norway

   0.7%

Peru

   —%

Portugal

   0.2%

Singapore

   0.9%

Spain

   2.1%

Sweden

   3.2%

Switzerland

   7.8%

United Arab Emirates

   —%

United Kingdom

   12.6%

United States

   1.7%
  

 

   100.0%
  

 

 

Represents less than 0.05%.

 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks (99.6%):   
Aerospace & Defense (1.5%):   
1,210   AAR Corp.*    $ 39,240  
2,968   Aerojet Rocketdyne Holdings, Inc.      129,256  
358   AeroVironment, Inc.*      30,903  
712   Astronics Corp.*      10,011  
415   Astronics Corp., Class B*      5,893  
908   Axon Enterprise, Inc.*      158,918  
4,072   Boeing Co. (The)*      895,596  
2,720   BWX Technologies, Inc.      146,499  
685   CPI Aerostructures, Inc.*      1,884  
1,225   Curtiss-Wright Corp.      154,571  
625   Ducommun, Inc.*      31,469  
2,103   General Dynamics Corp.      412,251  
769   HEICO Corp.      101,408  
1,107   HEICO Corp., Class A      131,102  
2,189   Hexcel Corp.*      130,005  
5,511   Howmet Aerospace, Inc.      171,943  
1,188   Huntington Ingalls Industries, Inc.      229,355  
2,947   Kratos Defense & Security Solutions, Inc.*      65,748  
1,607   L3harris Technologies, Inc.      353,926  
2,834   Lockheed Martin Corp.      978,013  
1,378   Mercury Systems, Inc.*      65,345  
913   Moog, Inc., Class A      69,598  
343   National Presto Industries, Inc.      28,153  
1,636   Northrop Grumman Corp.      589,205  
953   Park Aerospace Corp., Class C      13,037  
11,710   Raytheon Technologies Corp.      1,006,592  
2,265   Spirit AeroSystems Holdings, Inc., Class A      100,090  
637   Teledyne Technologies, Inc.*      273,642  
3,702   Textron, Inc.      258,437  
521   TransDigm Group, Inc.*      325,401  
337   Vectrus, Inc.*      16,944  
    

 

 

 

           6,924,435  
    

 

 

 

Air Freight & Logistics (0.7%):   
2,159   Air Transport Services Group, Inc.*      55,724  
464   Atlas Air Worldwide Holdings, Inc.*      37,900  
3,174   C.H. Robinson Worldwide, Inc.      276,138  
1,026   Echo Global Logistics, Inc.*      48,950  
2,787   Expeditors International of Washington, Inc.      332,015  
2,443   FedEx Corp.      535,725  
619   Forward Air Corp.      51,389  
1,805   GXO Logistics, Inc.*      141,584  
766   Hub Group, Inc., Class A*      52,663  
3,266   Radiant Logistics, Inc.*      20,870  
6,996   United Parcel Service, Inc., Class B      1,273,972  
1,805   XPO Logistics, Inc.*      143,642  
    

 

 

 

       2,970,572  
    

 

 

 

Airlines (0.3%):   
2,670   Alaska Air Group, Inc.*      156,462  
229   Allegiant Travel Co.*      44,765  
7,999   American Airlines Group, Inc.*      164,139  
841   Copa Holdings SA, Class A*      68,441  
3,063   Delta Air Lines, Inc.*      130,514  
1,057   Hawaiian Holdings, Inc.*      22,895  
9,359   JetBlue Airways Corp.*      143,099  
1,602   SkyWest, Inc.*      79,043  
6,753   Southwest Airlines Co.*      347,307  
2,445   Spirit Airlines, Inc.*      63,423  
4,270   United Airlines Holdings, Inc.*      203,124  
    

 

 

 

       1,423,212  
    

 

 

 

Auto Components (0.5%):   
2,780   Adient plc*      115,231  
4,269   American Axle & Manufacturing Holdings, Inc.*      37,610  
Shares         Value
Common Stocks, continued   
Auto Components, continued   
2,137   Aptiv plc*    $ 318,349  
2,666   Autoliv, Inc.      228,530  
6,004   BorgWarner, Inc.      259,433  
1,256   Cooper-Standard Holding, Inc.*      27,519  
3,513   Dana, Inc.      78,129  
687   Dorman Products, Inc.*      65,038  
798   Fox Factory Holding Corp.*      115,343  
5,375   Gentex Corp.      177,267  
799   Gentherm, Inc.*      64,663  
8,665   Goodyear Tire & Rubber Co. (The)*      153,371  
1,365   Horizon Global Corp.*      9,596  
578   LCI Industries      77,816  
1,505   Lear Corp.      235,502  
3,637   Modine Manufacturing Co.*      41,207  
1,190   Motorcar Parts of America, Inc.*      23,205  
616   Standard Motor Products, Inc.      26,925  
587   Stoneridge, Inc.*      11,969  
275   Strattec Security Corp.*      10,698  
1,349   Tenneco, Inc.*      19,250  
3,249   Veoneer, Inc.*^      110,661  
517   Visteon Corp.*      48,800  
1,621   VOXX International Corp.*      18,560  
    

 

 

 

           2,274,672  
    

 

 

 

Automobiles (0.9%):   
31,318   Ford Motor Co.*      443,463  
21,491   General Motors Co.*      1,132,790  
4,049   Harley-Davidson, Inc.      148,234  
3,150   Tesla, Inc.*      2,442,762  
375   Thor Industries, Inc.      46,035  
729   Winnebago Industries, Inc.      52,816  
    

 

 

 

       4,266,100  
    

 

 

 

Banks (5.8%):   
859   1st Source Corp.      40,579  
504   ACNB Corp.      14,112  
954   Allegiance Bancshares, Inc.      36,395  
749   Altabancorp      33,076  
661   American National Bankshares, Inc.      21,839  
1,776   Ameris Bancorp      92,139  
704   Ames National Corp.      16,375  
1,015   Arrow Financial Corp.      34,875  
3,325   Associated Banc-Corp.      71,222  
1,160   Atlantic Capital Bancshares, Inc.*      30,728  
2,280   Atlantic Union Bankshares Corp.      84,018  
1,454   Banc of California, Inc.      26,884  
646   BancFirst Corp.      38,838  
2,831   Bancorp, Inc. (The)*      72,049  
2,523   BancorpSouth Bank      75,135  
56,388   Bank of America Corp.      2,393,671  
899   Bank of Commerce Holdings      13,638  
1,028   Bank of Hawaii Corp.      84,471  
724   Bank of Marin Bancorp      27,331  
1,592   Bank of Nt Butterfield & Son, Ltd. (The)      56,532  
4,137   Bank OZK      177,808  
2,950   BankUnited, Inc.      123,369  
1,129   Banner Corp.      62,332  
433   Bar Harbor Bankshares      12,146  
842   BCB Bancorp, Inc.      12,428  
2,598   Berkshire Hills Bancorp, Inc.      70,094  
1,565   BOK Financial Corp.      140,146  
2,707   Brookline Bancorp, Inc.      41,309  
578   Bryn Mawr Bank Corp.      26,559  
977   Byline BanCorp, Inc.      23,995  
74   C&F Financial Corp.      3,930  
3,138   Cadence Bancorp      68,910  
843   Camden National Corp.      40,380  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Banks, continued   
489   Capital City Bank Group, Inc.    $ 12,098  
2,132   Cathay General Bancorp      88,243  
1,225   CBTX, Inc.      32,315  
1,402   Central Pacific Financial Corp.      36,003  
933   Central Valley Community Bancorp      20,059  
273   Century Bancorp, Inc.      31,461  
377   Chemung Financial Corp.      17,078  
2,299   CIT Group, Inc.      119,433  
16,872   Citigroup, Inc.          1,184,077  
943   Citizens & Northern Corp.      23,820  
5,111   Citizens Financial Group, Inc.      240,115  
552   Citizens Holding Co.      10,317  
365   City Holding Co.      28,437  
938   Civista Bancshares, Inc.      21,790  
735   CNB Financial Corp.      17,890  
85   Codorus Valley Bancorp, Inc.      1,916  
56   Colony Bankcorp, Inc.      1,049  
1,908   Columbia Banking System, Inc.      72,485  
3,274   Comerica, Inc.      263,557  
3,398   Commerce Bancshares, Inc.      236,773  
1,393   Community Bank System, Inc.      95,309  
517   Community Trust Bancorp, Inc.      21,766  
1,154   ConnectOne Bancorp, Inc.      34,632  
1,607   Cullen/Frost Bankers, Inc.      190,622  
1,643   Customers Bancorp, Inc.      70,682  
4,350   CVB Financial Corp.      88,610  
1,876   Dime Community Bancshares, Inc.      61,270  
1,065   Eagle Bancorp, Inc.      61,238  
3,750   East West Bancorp, Inc.      290,775  
820   Enterprise Financial Services Corp.      37,130  
682   Equity Bancshares, Inc.      22,765  
312   Evans Bancorp, Inc.      11,950  
8,341   F.N.B. Corp.      96,922  
1,329   Farmers National Banc Corp.      20,879  
1,408   FB Financial Corp.      60,375  
9,786   Fifth Third Bancorp      415,318  
1,053   Financial Institutions, Inc.      32,274  
6,611   First Bancorp      86,935  
814   First Bancorp, Inc.      23,720  
752   First Bancorp/Southern Pines NC      32,344  
611   First Bancshares, Inc. (The)      23,695  
1,378   First Busey Corp.      33,940  
664   First Business Financial Services, Inc.      19,063  
221   First Citizens BancShares, Inc., Class A      186,341  
2,520   First Commonwealth Financial Corp.      34,348  
512   First Community Bankshares      16,241  
3,105   First Financial Bancorp      72,688  
3,832   First Financial Bankshares, Inc.      176,080  
536   First Financial Corp.      22,539  
733   First Financial Northwest, Inc.      11,999  
1,155   First Foundation, Inc.      30,377  
1,512   First Hawaiian, Inc.      44,377  
14,883   First Horizon Corp.      242,444  
1,244   First Interstate BancSystem, Class A      50,083  
1,606   First Merchants Corp.      67,195  
660   First Mid Bancshares, Inc.      27,100  
4,022   First Midwest Bancorp, Inc.      76,458  
1,573   First of Long Island Corp. (The)      32,404  
2,115   First Republic Bank      407,941  
2,253   Flushing Financial Corp.      50,918  
5,044   Fulton Financial Corp.      77,072  
769   German American Bancorp, Inc.      29,706  
3,017   Glacier Bancorp, Inc.      166,991  
397   Great Southern Bancorp, Inc.      21,760  
2,353   Great Western Bancorp, Inc.      77,037  
Shares         Value
Common Stocks, continued   
Banks, continued   
2,782   Hancock Whitney Corp.    $ 131,088  
2,408   Hanmi Financial Corp.      48,304  
1,642   HarborOne BanCorp, Inc.      23,054  
43   Hawthorn Bancshares, Inc.      996  
1,853   Heartland Financial USA, Inc.      89,092  
1,197   Heritage Financial Corp.      30,524  
2,010   Hertiage Commerce Corp.      23,376  
2,750   Hilltop Holdings, Inc.      89,842  
4,922   Home Bancshares, Inc.      115,815  
484   Hometrust Bancshares, Inc.      13,542  
4,470   Hope BanCorp, Inc.      64,547  
1,071   Horizon Bancorp      19,460  
17,788   Huntington Bancshares, Inc.      275,002  
929   Independent Bank Corp.      70,743  
855   Independent Bank Corp.      18,365  
1,169   Independent Bank Group, Inc.      83,046  
1,836   International Bancshares Corp.      76,451  
7,175   Investors Bancorp, Inc.      108,414  
31,524   JPMorgan Chase & Co.          5,160,164  
13,247   KeyCorp      286,400  
1,465   Lakeland Bancorp, Inc.      25,828  
582   Lakeland Financial Corp.      41,462  
526   Landmark Bancorp, Inc.      14,565  
712   LCNB Corp.      12,560  
1,274   Live Oak Bancshares, Inc.      81,065  
1,721   M&T Bank Corp.      257,014  
2,571   Macatawa Bank Corp.      20,645  
472   Mercantile Bank Corp.      15,118  
241   Midland States BanCorp, Inc.      5,960  
638   MidWestone Financial Group, Inc.      19,242  
702   National Bank Holdings Corp.      28,417  
514   National Bankshares, Inc.      18,663  
1,264   NBT Bancorp, Inc.      45,656  
373   Nicolet Bankshares, Inc.*      27,669  
510   Northrim Bancorp, Inc.      21,680  
511   Norwood Financial Corp.      13,138  
2,292   OFG Bancorp      57,804  
440   Ohio Valley Banc Corp.      12,003  
4,797   Old National Bancorp      81,309  
2,225   Old Second Bancorp, Inc.      29,059  
550   Origin Bancorp, Inc.      23,292  
638   Orrstown Financial Services, Inc.      14,929  
1,205   Pacific Mercantile Bancorp*      11,098  
2,518   Pacific Premier Bancorp, Inc.      104,346  
2,447   PacWest Bancorp      110,898  
467   Park National Corp.      56,951  
1,165   Peapack-Gladstone Financial Corp.      38,864  
546   Penns Woods Bancorp, Inc.      12,973  
608   Peoples Bancorp of NC      17,261  
1,117   Peoples Bancorp, Inc.      35,308  
11,228   People’s United Financial, Inc.      196,153  
1,752   Pinnacle Financial Partners, Inc.      164,828  
3,240   PNC Financial Services Group, Inc. (The)      633,874  
2,484   Popular, Inc.      192,932  
432   Preferred Bank Los Angeles      28,806  
707   Primis Financial Corp.      10,223  
2,191   Prosperity Bancshares, Inc.      155,846  
606   QCR Holdings, Inc.      31,173  
487   Rbb BanCorp      12,277  
13,669   Regions Financial Corp.      291,286  
1,373   Renasant Corp.      49,497  
917   Republic Bancorp, Inc., Class A      46,446  
869   S & T Bancorp, Inc.      25,609  
148   Salisbury Bancorp, Inc.      7,770  
1,366   Sandy Spring Bancorp, Inc.      62,590  
1,366   Seacoast Banking Corp of Florida      46,184  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Banks, continued   
1,252   Select Bancorp, Inc.*    $ 21,597  
1,110   ServisFirst Bancshares, Inc.      86,358  
1,113   Shore Bancshares, Inc.      19,733  
1,028   Sierra Bancorp      24,960  
784   Signature Bank      213,468  
3,102   Simmons First National Corp., Class A      91,695  
950   Southside Bancshares, Inc.      36,375  
1,915   SouthState Corp.      142,993  
5,238   Sterling Bancorp      130,740  
527   Stock Yards Bancorp, Inc.      30,909  
557   Summit Financial Group, Inc.      13,652  
702   SVB Financial Group*      454,110  
4,223   Synovus Financial Corp.      185,347  
1,633   Texas Capital Bancshares, Inc.*      98,013  
490   Tompkins Financial Corp.      39,646  
2,209   TowneBank      68,722  
820   TriCo Bancshares      35,588  
959   Tristate Capital Holdings, Inc.*      20,283  
1,201   Triumph BanCorp, Inc.*      120,256  
10,092   Truist Financial Corp.      591,896  
1,695   Trustmark Corp.      54,613  
15,226   U.S. Bancorp      905,033  
1,375   UMB Financial Corp.      132,976  
6,312   Umpqua Holdings Corp.      127,818  
3,681   United Bankshares, Inc.      133,915  
1,942   United Community Banks, Inc.      63,736  
1,190   United Security Bancshares      9,520  
42   Unity Bancorp, Inc.      983  
850   Univest Financial Corp.      23,282  
13,568   Valley National Bancorp      180,590  
501   Washington Trust Bancorp      26,543  
2,517   Webster Financial Corp.      137,076  
31,582   Wells Fargo & Co.      1,465,721  
1,645   WesBanco, Inc.      56,062  
1,062   West Bancorp      31,892  
685   Westamerica Bancorp      38,538  
2,826   Western Alliance Bancorp      307,525  
1,524   Wintrust Financial Corp.      122,484  
3,716   Zions Bancorp      229,983  
    

 

 

 

         26,693,669  
    

 

 

 

Beverages (1.3%):   
145   Boston Beer Co., Inc. (The), Class A*      73,914  
1,105   Brown-Forman Corp., Class A      69,250  
4,134   Brown-Forman Corp., Class B      277,019  
34,558   Coca-Cola Co. (The)      1,813,258  
179   Coca-Cola Consolidated, Inc.      70,558  
1,356   Constellation Brands, Inc., Class C      285,696  
4,758   Keurig Dr Pepper, Inc.      162,533  
615   MGP Ingredients, Inc.      40,037  
3,243   Molson Coors Brewing Co., Class B      150,410  
3,360   Monster Beverage Corp.*      298,469  
2,264   National Beverage Corp.      118,838  
16,439   PepsiCo, Inc.      2,472,590  
    

 

 

 

       5,832,572  
    

 

 

 

Biotechnology (2.2%):   
18,635   AbbVie, Inc.      2,010,157  
2,144   ACADIA Pharmaceuticals, Inc.*      35,612  
737   Acceleron Pharma, Inc.*      126,838  
3,964   Adverum Biotechnologies, Inc.*      8,602  
436   Agios Pharmaceuticals, Inc.*      20,121  
7,184   Akebia Therapeutics, Inc.*      20,690  
1,012   Alkermes plc*      31,210  
471   Alnylam Pharmaceuticals, Inc.*      88,929  
6,769   Amgen, Inc.      1,439,428  
955   AnaptysBio, Inc.*      25,900  
Shares         Value
Common Stocks, continued   
Biotechnology, continued   
984   Arena Pharmaceuticals, Inc.*    $ 58,597  
343   Arrowhead Pharmaceuticals, Inc.*      21,413  
1,907   Atara Biotherapeutics, Inc.*      34,135  
1,327   Biogen, Inc.*      375,528  
535   Biohaven Pharmaceutical Holding Co., Ltd.*      74,317  
2,087   BioMarin Pharmaceutical, Inc.*      161,304  
1,469   Bluebird Bio, Inc.*      28,073  
1,208   Blueprint Medicines Corp.*      124,194  
600   Bridgebio Pharma, Inc.*      28,122  
718   Concert Pharmaceuticals, Inc.*      2,348  
355   CRISPR Therapeutics AG*      39,735  
1,534   Denali Therapeutics, Inc.*      77,390  
233   Eagle Pharmaceuticals, Inc.*      12,997  
1,656   Emergent BioSolutions, Inc.*      82,916  
585   Enanta Pharmaceuticals, Inc.*      33,234  
1,700   Exact Sciences Corp.*      162,265  
8,266   Exelixis, Inc.*      174,743  
567   Fate Therapeutics, Inc.*      33,606  
522   Fibrogen, Inc.*      5,335  
1,432   G1 Therapeutics, Inc.*^      19,217  
9,558   Gilead Sciences, Inc.      667,626  
852   Global Blood Therapeutics, Inc.*      21,709  
779   Glycomimetics Industries*      1,706  
1,435   Halozyme Therapeutics, Inc.*      58,376  
1,961   Incyte Corp.*      134,878  
1,650   Intellia Therapeutics, Inc.*      221,347  
1,964   Ionis Pharmaceuticals, Inc.*      65,873  
2,568   Ironwood Pharmaceuticals, Inc.*      33,538  
275   Karuna Therapeutics, Inc.*      33,641  
1,263   Kura Oncology, Inc.*      23,656  
340   Ligand Pharmaceuticals, Inc.*      47,369  
1,449   Macrogenics, Inc.*      30,342  
194   Madrigal Pharmaceuticals, Inc.*      15,479  
402   Mirati Therapeutics, Inc.*      71,118  
3,101   Moderna, Inc.*      1,193,451  
2,351   Myriad Genetics, Inc.*      75,914  
340   Natera, Inc.*      37,890  
715   Neurocrine Biosciences, Inc.*      68,576  
464   Novavax, Inc.*      96,192  
10,235   OPKO Health, Inc.*      37,358  
9,565   PDL BioPharma, Inc.      8,860  
1,720   Prothena Corp. plc*      122,516  
687   Regeneron Pharmaceuticals, Inc.*      415,759  
895   REGENXBIO, Inc.*      37,518  
440   Repligen Corp.*      127,156  
1,053   Rhythm Pharmaceuticals, Inc.*      13,752  
1,042   Rocket Pharmaceuticals, Inc.*      31,145  
1,793   Sage Therapeutics, Inc.*      79,448  
2,916   Sangamo Therapeutics, Inc.*      26,273  
660   Sarepta Therapeutics, Inc.*      61,037  
1,210   Seagen, Inc.*      205,458  
2,126   Spectrum Pharmaceuticals, Inc.*      4,635  
874   Travere Therapeutics, Inc.*      21,194  
1,104   Ultragenyx Pharmaceutical, Inc.*      99,570  
1,080   United Therapeutics Corp.*      199,346  
1,179   Vanda Pharmaceuticals, Inc.*      20,208  
1,880   Vertex Pharmaceuticals, Inc.*      341,013  
1,246   Xencor, Inc.*      40,694  
    

 

 

 

         10,148,577  
    

 

 

 

Building Products (0.9%):   
3,264   A.O. Smith Corp.      199,332  
1,062   AAON, Inc.      69,391  
2,186   Advanced Drainage Systems, Inc.      236,460  
1,795   Allegion plc      237,263  
515   American Woodmark Corp.*      33,666  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Building Products, continued   
1,085   Apogee Enterprises, Inc.    $ 40,970  
1,778   Armstrong Flooring, Inc.*      5,565  
1,537   Armstrong World Industries, Inc.      146,737  
4,473   Builders FirstSource, Inc.*      231,433  
8,047   Carrier Global Corp.      416,513  
3,362   Cornerstone Building Brands, Inc.*      49,119  
547   Csw Industrials, Inc.      69,852  
2,860   Fortune Brands Home & Security, Inc.      255,741  
715   Gibraltar Industries, Inc.*      49,800  
1,993   Griffon Corp.      49,028  
1,209   Insteel Industries, Inc.      46,002  
2,135   Jeld-Wen Holding, Inc.*      53,439  
4,260   Johnson Controls International plc      290,021  
617   Lennox International, Inc.      181,503  
2,484   Masco Corp.      137,986  
681   Masonite International Corp.*      72,275  
2,535   Owens Corning      216,742  
856   Patrick Industries, Inc.      71,305  
1,379   PGT Innovations, Inc.*      26,339  
1,160   Quanex Building Products Corp.      24,836  
3,728   Resideo Technologies, Inc.*      92,417  
1,453   Simpson Manufacturing Co., Inc.      155,427  
2,017   Trane Technologies plc      348,235  
1,950   Trex Co., Inc.*      198,763  
1,914   UFP Industries, Inc.      130,114  
    

 

 

 

           4,136,274  
    

 

 

 

Capital Markets (3.2%):   
1,203   Affiliated Managers Group, Inc.      181,761  
1,393   Ameriprise Financial, Inc.      367,919  
1,834   Ares Management Corp., Class A      135,404  
630   Artisan Partners Asset Management, Inc., Class A      30,820  
175   B Riley Financial, Inc.      10,332  
7,394   Bank of New York Mellon Corp. (The)      383,305  
9,837   BGC Partners, Inc., Class A      51,251  
1,149   BlackRock, Inc., Class A      963,620  
4,934   Blackstone Group, Inc. (The), Class A      574,022  
2,377   Blucora, Inc.*      37,057  
1,851   Brightsphere Investment Group, Inc.      48,367  
2,288   Cboe Global Markets, Inc.      283,392  
8,193   Charles Schwab Corp. (The)      596,778  
1,955   CME Group, Inc.      378,058  
1,396   Cohen & Steers, Inc.      116,943  
190   Diamond Hill Investment Group      33,375  
2,319   Donnelley Financial Solutions, Inc.*      80,284  
566   FactSet Research Systems, Inc.      223,445  
3,404   Federated Hermes, Inc., Class B      110,630  
7,033   Franklin Resources, Inc.      209,021  
388   GAMCO Investors, Inc., Class A      10,235  
3,046   Goldman Sachs Group, Inc. (The)      1,151,479  
255   Greenhill & Co., Inc.      3,728  
569   Hamilton Lane, Inc.      48,263  
211   Hennessy Advisors, Inc.      2,030  
1,166   Houlihan Lokey, Inc.      107,389  
693   Interactive Brokers Group, Inc., Class A      43,202  
4,514   Intercontinental Exchange, Inc.      518,298  
9,972   Invesco, Ltd.      240,425  
4,134   Janus Henderson Group plc      170,858  
5,417   KKR & Co., Inc., Class A      329,787  
3,497   Lazard, Ltd., Class A      160,163  
2,388   LPL Financial Holdings, Inc.      374,343  
510   MarketAxess Holdings, Inc.      214,552  
1,075   Moelis & Co., Class A      66,510  
Shares         Value
Common Stocks, continued   
Capital Markets, continued   
1,599   Moody’s Corp.    $ 567,821  
15,398   Morgan Stanley      1,498,379  
956   Morningstar, Inc.      247,633  
662   MSCI, Inc., Class A      402,721  
2,070   Nasdaq, Inc.      399,551  
3,018   Northern Trust Corp.      325,371  
365   Oppenheimer Holdings, Class A      16,531  
613   Piper Jaffray Cos., Inc.      84,876  
394   PJT Partners, Inc.      31,169  
1,113   Pzena Investment Management, Inc.      10,952  
2,866   Raymond James Financial, Inc.      264,474  
2,272   S&P Global, Inc.      965,350  
3,335   SEI Investments Co.      197,766  
660   Silvercrest Asset Management Group, Inc., Class A      10,283  
4,353   State Street Corp.      368,786  
2,748   Stifel Financial Corp.      186,754  
597   StoneX Group, Inc.*      39,342  
2,208   T. Rowe Price Group, Inc.      434,314  
800   Tradeweb Markets, Inc., Class A      64,624  
1,429   Virtu Financial, Inc., Class A      34,910  
154   Virtus Investment Partners, Inc.      47,789  
425   Westwood Holdings, Inc.      8,075  
3,476   WisdomTree Investments, Inc.      19,709  
    

 

 

 

         14,484,226  
    

 

 

 

Chemicals (2.2%):   
1,846   AdvanSix, Inc.*      73,378  
1,794   Air Products & Chemicals, Inc.      459,461  
1,313   Albemarle Corp.      287,508  
1,157   American Vanguard Corp.      17,413  
1,689   Ashland Global Holdings, Inc.      150,524  
3,051   Avient Corp.      141,414  
7,753   Axalta Coating Systems, Ltd.*      226,310  
838   Balchem Corp.      121,569  
1,642   Cabot Corp.      82,297  
1,607   Celanese Corp.      242,078  
5,505   CF Industries Holdings, Inc.      307,289  
328   Chase Corp.      33,505  
4,033   Chemours Co. (The)      117,199  
578   Core Molding Technologies, Inc.*      6,653  
9,543   Corteva, Inc.      401,569  
7,718   Dow, Inc.      444,248  
3,007   DuPont de Nemours, Inc.      204,446  
1,908   Eastman Chemical Co.      192,212  
2,229   Ecolab, Inc.      465,014  
1,630   Ecovyst, Inc.      19,006  
7,787   Element Solutions, Inc.      168,822  
1,912   Ferro Corp.*      38,890  
2,634   FMC Corp.      241,169  
3,222   Futurefuel Corp.      22,973  
1,709   GCP Applied Technologies, Inc.*      37,461  
1,438   H.B. Fuller Co.      92,837  
6,166   Huntsman Corp.      182,452  
962   Ingevity Corp.*      68,658  
571   Innospec, Inc.      48,090  
3,178   International Flavors & Fragrances, Inc.      424,962  
1,498   Intrepid Potash, Inc.*      46,288  
783   Koppers Holdings, Inc.*      24,477  
646   Kraton Corp.*      29,483  
2,011   Kronos Worldwide, Inc.      24,957  
3,530   Linde plc      1,035,631  
2,160   Livent Corp.*      49,918  
1,233   LSB Industries, Inc.*      12,589  
7,751   LyondellBasell Industries NV, Class A      727,431  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Chemicals, continued   
971   Minerals Technologies, Inc.    $ 67,815  
7,384   Mosaic Co. (The)      263,756  
301   NewMarket Corp.      101,970  
4,819   Olin Corp.      232,517  
2,620   PPG Industries, Inc.      374,686  
3,631   Rayonier Advanced Materials, Inc.*      27,232  
2,581   RPM International, Inc.      200,415  
1,131   Scotts Miracle-Gro Co. (The)      165,533  
1,042   Sensient Technologies Corp.      94,905  
2,411   Sherwin Williams Co.      674,429  
569   Stepan Co.      64,263  
1,627   Trecora Resources*      13,309  
1,070   Tredegar Corp.      13,033  
1,279   Trinseo SA      69,040  
4,906   Tronox Holdings plc, Class A      120,933  
3,683   Valvoline, Inc.      114,836  
4,276   Venator Materials plc*      12,187  
2,150   Westlake Chemical Corp.      195,951  
    

 

 

 

         10,076,991  
    

 

 

 

Commercial Services & Supplies (0.9%):   
1,913   ABM Industries, Inc.      86,104  
2,927   ACCO Brands Corp.      25,143  
11,570   ADT, Inc.      93,601  
1,067   Brady Corp., Class A      54,097  
844   Brink’s Co. (The)      53,425  
1,028   Casella Waste Systems, Inc.*      78,066  
2,003   CECO Environmental Corp.*      14,101  
518   Cimpress plc*      44,978  
1,047   Cintas Corp.      398,551  
433   Civeo Corp.*      9,738  
1,794   Clean Harbors, Inc.*      186,343  
2,665   Copart, Inc.*      369,689  
2,431   Covanta Holding Corp.      48,912  
859   Deluxe Corp.      30,830  
1,613   Ennis, Inc.      30,405  
2,148   Healthcare Services Group, Inc.      53,679  
1,042   Heritage-Crystal Clean, Inc.*      30,197  
1,866   Herman Miller, Inc.      70,274  
1,467   HNI Corp.      53,868  
2,623   IAA, Inc.*      143,137  
2,041   Interface, Inc.      30,921  
5,118   KAR Auction Services, Inc.*      83,884  
2,829   Kimball International, Inc., Class B      31,685  
919   Matthews International Corp., Class A      31,880  
730   McGrath Rentcorp      52,523  
763   MSA Safety, Inc.      111,169  
1,552   NL Industries, Inc.      8,940  
4,238   Pitney Bowes, Inc.      30,556  
2,606   Quad Graphics, Inc.*      11,076  
4,955   Republic Services, Inc., Class A      594,897  
5,020   Rollins, Inc.      177,357  
2,114   RR Donnelley & Sons Co.*      10,866  
503   SP Plus Corp.*      15,427  
2,563   Steelcase, Inc., Class A      32,499  
2,286   Stericycle, Inc.*      155,379  
1,534   Team, Inc.*      4,617  
1,293   Tetra Tech, Inc.      193,097  
542   UniFirst Corp.      115,240  
1,141   US Ecology, Inc.*      36,911  
1,003   Viad Corp.*      45,546  
1,763   Vidler Water Resouces, Inc.*      20,063  
824   Vse Corp.      39,692  
3,798   Waste Management, Inc.      567,269  
    

 

 

 

       4,276,632  
    

 

 

 

Shares         Value
Common Stocks, continued   
Communications Equipment (0.9%):   
1,069   ADTRAN, Inc.    $ 20,054  
752   Applied Optoelectronics, Inc.*^      5,399  
716   Arista Networks, Inc.*      246,046  
1,829   CalAmp Corp.*      18,199  
644   Calix, Inc.*      31,833  
2,888   Ciena Corp.*      148,299  
37,577   Cisco Systems, Inc.      2,045,316  
6,102   CommScope Holding Co., Inc.*      82,926  
316   Communications Systems, Inc.*^      2,733  
756   Comtech Telecommunications Corp.      19,361  
1,262   Digi International, Inc.*      26,527  
1,548   EchoStar Corp., Class A*      39,489  
1,189   EMCORE Corp.*      8,894  
1,236   F5 Networks, Inc.*      245,692  
2,194   Harmonic, Inc.*      19,198  
2,944   Infinera Corp.*      24,494  
441   InterDigital, Inc.      29,909  
5,828   Juniper Networks, Inc.      160,387  
909   KVH Industries, Inc.*      8,754  
1,533   Lumentum Holdings, Inc.*      128,067  
1,630   Motorola Solutions, Inc.      378,682  
1,010   NETGEAR, Inc.*      32,229  
1,838   NetScout Systems, Inc.*      49,534  
3,679   Ribbon Communications, Inc.*      22,000  
181   Ubiquiti, Inc.      54,059  
2,004   ViaSat, Inc.*      110,360  
4,098   Viavi Solutions, Inc.*      64,503  
    

 

 

 

         4,022,944  
    

 

 

 

Construction & Engineering (0.4%):   
3,257   AECOM*      205,680  
673   Ameresco, Inc., Class A*      39,323  
1,062   Arcosa, Inc.      53,281  
455   Argan, Inc.      19,870  
1,049   Comfort Systems USA, Inc.      74,815  
1,213   Construction Partners, Inc., Class A*      40,478  
710   Dycom Industries, Inc.*      50,580  
1,651   EMCOR Group, Inc.      190,492  
2,848   Fluor Corp.*      45,483  
1,277   Granite Construction, Inc.      50,505  
2,266   Great Lakes Dredge & Dock Co.*      34,194  
656   IES Holdings, Inc.*      29,973  
1,616   Jacobs Engineering Group, Inc.      214,168  
2,313   MasTec, Inc.*      199,566  
487   MYR Group, Inc.*      48,457  
346   NV5 Global, Inc.*      34,105  
2,101   Orion Group Holdings, Inc.*      11,429  
2,465   Primoris Services Corp.      60,368  
2,048   Quanta Services, Inc.      233,103  
1,648   Tutor Perini Corp.*      21,391  
568   Valmont Industries, Inc.      133,548  
5,742   WillScot Mobile Mini Holdings Corp.*      182,136  
    

 

 

 

       1,972,945  
    

 

 

 

Construction Materials (0.2%):   
961   Eagle Materials, Inc., Class A      126,045  
754   Martin Marietta Materials, Inc.      257,627  
3,273   Summit Materials, Inc., Class A*      104,638  
131   U.S. Lime & Minerals, Inc.      15,825  
1,716   Vulcan Materials Co.      290,278  
    

 

 

 

       794,413  
    

 

 

 

Consumer Finance (1.2%):   
6,825   Ally Financial, Inc.      348,416  
7,045   American Express Co.      1,180,249  
6,911   Capital One Financial Corp.      1,119,375  
1,912   Consumer Portfolio Services, Inc.*      11,185  
490   Credit Acceptance Corp.*^      286,797  
4,454   Discover Financial Services      547,174  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Consumer Finance, continued   
950   Encore Capital Group, Inc.*    $ 46,807  
1,657   Enova International, Inc.*      57,249  
3,948   EZCORP, Inc., Class A*      29,886  
1,170   Firstcash, Inc.      102,375  
1,425   Green Dot Corp., Class A*      71,720  
5,431   LendingClub Corp.*      153,371  
5,938   Navient Corp.      117,157  
543   Nelnet, Inc., Class A      43,027  
750   Nicholas Financial, Inc.*      9,225  
5,035   OneMain Holdings, Inc.      278,587  
1,392   PRA Group, Inc.*      58,659  
2,187   PROG Holdings, Inc.*      91,876  
568   Regional Mgmt Corp.      33,046  
7,521   Santander Consumer USA Holdings, Inc.      313,626  
10,574   SLM Corp.      186,102  
7,874   Synchrony Financial      384,881  
237   World Acceptance Corp.*      44,931  
    

 

 

 

       5,515,721  
    

 

 

 

Containers & Packaging (0.7%):   
21,700   Amcor plc      251,503  
1,845   AptarGroup, Inc.      220,201  
1,533   Avery Dennison Corp.      317,653  
3,835   Ball Corp.      345,035  
4,690   Berry Global Group, Inc.*      285,527  
2,675   Crown Holdings, Inc.      269,587  
11,400   Graphic Packaging Holding Co.      217,056  
930   Greif, Inc., Class A      60,078  
710   Greif, Inc., Class B      46,008  
5,221   International Paper Co.      291,958  
1,253   Myers Industries, Inc.      24,521  
5,063   O-I Glass, Inc.*      72,249  
1,879   Packaging Corp. of America      258,250  
3,194   Sealed Air Corp.      174,999  
4,530   Silgan Holdings, Inc.      173,771  
3,180   Sonoco Products Co.      189,464  
538   UFP Technologies, Inc.*      33,135  
3,331   WestRock Co.      165,984  
    

 

 

 

       3,396,979  
    

 

 

 

Distributors (0.2%):   
1,267   Funko, Inc., Class A*      23,072  
1,853   Genuine Parts Co.      224,639  
4,471   LKQ Corp.*      224,981  
551   Pool Corp.      239,360  
811   Weyco Group, Inc.      18,377  
    

 

 

 

       730,429  
    

 

 

 

Diversified Consumer Services (0.3%):   
1,249   Adtalem Global Education, Inc.*      47,225  
541   American Public Education, Inc.*      13,855  
928   Bright Horizons Family Solutions, Inc.*      129,382  
418   Carriage Services, Inc.      18,639  
1,372   Chegg, Inc.*      93,323  
1,826   Frontdoor, Inc.*      76,509  
112   Graham Holdings Co., Class B      65,986  
1,296   Grand Canyon Education, Inc.*      113,996  
3,465   H&R Block, Inc.      86,625  
8,803   Houghton Mifflin Harcourt Co.*      118,224  
3,406   Laureate Education, Inc.*      57,868  
2,522   Perdoceo Education Corp.*      26,632  
1,309   Regis Corp.*      4,555  
3,783   Service Corp. International      227,964  
825   Strategic Education, Inc.      58,162  
1,002   Stride, Inc.*      36,012  
3,452   Terminix Global Holdings, Inc.*      143,845  
1,696   Universal Technical Institute, Inc.*      11,465  
Shares         Value
Common Stocks, continued   
Diversified Consumer Services, continued   
1,419   WW International, Inc.*    $ 25,897  
    

 

 

 

       1,356,164  
    

 

 

 

Diversified Financial Services (1.0%):   
13,802   Berkshire Hathaway, Inc., Class B*      3,767,118  
2,704   Cannae Holdings, Inc.*      84,122  
6,097   Equitable Holdings, Inc.      180,715  
2,411   First Eagle Private Credit LLC*      245  
5,286   Jefferies Financial Group, Inc.      196,269  
827   Marlin Business Services, Inc.      18,384  
2,777   Voya Financial, Inc.      170,480  
    

 

 

 

       4,417,333  
    

 

 

 

Diversified Telecommunication Services (1.4%):   
398   Anterix, Inc.*      24,159  
76,713   AT&T, Inc.      2,072,018  
461   ATN International, Inc.      21,598  
857   Cogent Communications Holdings, Inc.      60,710  
4,558   Consolidated Communications Holdings, Inc.*      41,888  
1,994   IDT Corp.*      83,648  
3,796   Iridium Communications, Inc.*      151,271  
23,517   Lumen Technologies, Inc.      291,376  
65,712   Verizon Communications, Inc.      3,549,105  
2,930   Vonage Holdings Corp.*      47,231  
    

 

 

 

       6,343,004  
    

 

 

 

Electric Utilities (1.2%):   
925   ALLETE, Inc.      55,056  
2,977   Alliant Energy Corp.      166,652  
3,656   American Electric Power Co., Inc.      296,794  
1,163   Avangrid, Inc.      56,522  
5,692   Duke Energy Corp.      555,482  
3,961   Edison International      219,717  
2,041   Entergy Corp.      202,692  
2,722   Evergy, Inc.      169,308  
3,630   Eversource Energy      296,789  
7,030   Exelon Corp.      339,830  
5,940   FirstEnergy Corp.      211,583  
1,272   Genie Energy, Ltd., Class B      8,306  
2,581   Hawaiian Electric Industries, Inc.      105,382  
1,176   IDACORP, Inc.      121,575  
734   MGE Energy, Inc.      53,949  
14,326   NextEra Energy, Inc.      1,124,878  
3,897   OGE Energy Corp.      128,445  
737   Otter Tail Corp.      41,250  
1,175   PG&E Corp.*      11,280  
1,787   Pinnacle West Capital Corp.      129,307  
2,755   PNM Resources, Inc.      136,317  
2,036   Portland General Electric Co.      95,672  
8,885   PPL Corp.      247,714  
8,093   Southern Co. (The)      501,523  
5,593   Xcel Energy, Inc.      349,563  
    

 

 

 

       5,625,586  
    

 

 

 

Electrical Equipment (0.9%):   
988   Acuity Brands, Inc.      171,290  
424   Allied Motion Technologies, Inc.      13,263  
3,046   AMETEK, Inc.      377,734  
1,563   Atkore, Inc.*      135,856  
394   AZZ, Inc.      20,961  
3,189   Eaton Corp. plc      476,150  
5,069   Emerson Electric Co.      477,500  
823   Encore Wire Corp.      78,045  
1,180   EnerSys      87,839  
907   Enphase Energy, Inc.*      136,023  
736   Generac Holdings, Inc.*      300,781  
5,506   GrafTech International, Ltd.      56,822  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Electrical Equipment, continued   
1,580   Hubbell, Inc.    $ 285,459  
1,831   LSI Industries, Inc.      14,190  
5,836   nVent Electric plc      188,678  
1,500   Plug Power, Inc.*      38,310  
606   Powell Industries, Inc.      14,889  
400   Preformed Line Products Co.      26,016  
824   Regal-Beloit Corp.      123,880  
1,500   Rockwell Automation, Inc.      441,060  
3,842   Sensata Technologies Holding plc*      210,234  
4,883   Sunrun, Inc.*      214,852  
1,298   Thermon Group Holdings, Inc.*      22,468  
742   Tpi Composites, Inc.*^      25,043  
    

 

 

 

       3,937,343  
    

 

 

 

Electronic Equipment, Instruments &
Components (1.3%):
  
4,881   Amphenol Corp., Class A      357,436  
2,582   Arlo Technologies, Inc.*      16,551  
2,054   Arrow Electronics, Inc.*      230,644  
2,249   Avnet, Inc.      83,146  
724   Badger Meter, Inc.      73,225  
550   Bel Fuse, Inc., Class B      6,836  
1,417   Belden, Inc.      82,554  
1,054   Benchmark Electronics, Inc.      28,152  
1,649   CDW Corp.      300,151  
1,626   Cognex Corp.      130,438  
687   Coherent, Inc.*      171,812  
10,437   Corning, Inc.      380,846  
1,576   CTS Corp.      48,714  
2,838   Daktronics, Inc.*      15,410  
1,561   Dolby Laboratories, Inc., Class A      137,368  
392   ePlus, Inc.*      40,223  
839   Fabrinet*      86,006  
392   FARO Technologies, Inc.*      25,798  
16,972   Flex, Ltd.*      300,065  
640   Frequency Electronics, Inc.*      6,656  
1,346   II-VI, Inc.*      79,899  
1,048   Insight Enterprises, Inc.*      94,404  
959   IPG Photonics Corp.*      151,906  
1,060   Itron, Inc.*      80,168  
5,368   Jabil, Inc.      313,330  
2,563   Keysight Technologies, Inc.*      421,075  
1,603   Kimball Electronics, Inc.*      41,309  
2,737   Knowles Corp.*      51,291  
546   Littlelfuse, Inc.      149,205  
790   Methode Electronics, Inc., Class A      33,219  
3,415   National Instruments Corp.      133,970  
902   Novanta, Inc.*      139,359  
594   OSI Systems, Inc.*      56,311  
621   PC Connection, Inc.      27,343  
800   Plexus Corp.*      71,528  
438   Rogers Corp.*      81,678  
1,757   Sanmina Corp.*      67,715  
738   ScanSource, Inc.*      25,675  
1,795   SYNNEX Corp.      186,859  
2,572   TE Connectivity, Ltd.      352,930  
2,694   Trimble, Inc.*      221,582  
3,068   TTM Technologies, Inc.*      38,565  
3,363   Vishay Intertechnology, Inc.      67,563  
2,080   Vontier Corp.      69,888  
506   Zebra Technologies Corp., Class A*      260,803  
    

 

 

 

       5,739,606  
    

 

 

 

Energy Equipment & Services (0.4%):   
4,779   Archrock, Inc.      39,427  
10,629   Baker Hughes Co.      262,855  
519   Bristow Group, Inc.*      16,520  
6,215   ChampionX Corp.*      138,967  
Shares         Value
Common Stocks, continued   
Energy Equipment & Services, continued   
711   Core Laboratories NV    $ 19,730  
1,028   Dril-Quip, Inc.*      25,885  
2,010   Exterran Corp.*      8,924  
306   Forum Energy Technologies, Inc.*      6,897  
6,571   Frank’s International NV*      19,319  
760   Geospace Technologies Corp.*      7,258  
1,086   Gulf Island Fabrication, Inc.*      4,311  
11,703   Halliburton Co.      253,019  
4,336   Helix Energy Solutions Group, Inc.*      16,824  
2,727   Helmerich & Payne, Inc.      74,747  
2,181   Liberty Oilfield Services, Inc., Class A*      26,455  
1,436   Mammoth Energy Services, Inc.*      4,179  
1,750   Matrix Service Co.*      18,305  
359   Nabors Industries, Ltd.*      34,636  
935   Natural Gas Services Group*      9,705  
4,799   Newpark Resources, Inc.*      15,837  
8,513   NexTier Oilfield Solutions, Inc.*      39,160  
8,395   NOV, Inc.*      110,058  
4,818   Oceaneering International, Inc.*      64,176  
3,066   Oil States International, Inc.*      19,592  
6,531   Patterson-UTI Energy, Inc.      58,779  
2,684   Propetro Holding Corp.*      23,217  
4,475   RPC, Inc.*      21,748  
12,278   Schlumberger, Ltd.      363,920  
493   SEACOR Marine Holdings, Inc.*      2,283  
3,974   Select Energy Services, Inc.*      20,625  
13,590   TechnipFMC plc      102,333  
4,086   TETRA Technologies, Inc.*      12,748  
2,510   Tidewater, Inc.*      30,271  
14,584   Transocean, Ltd.*^      55,273  
4,546   U.S. Silica Holdings, Inc.*      36,323  
    

 

 

 

       1,964,306  
    

 

 

 

Entertainment (1.2%):   
5,649   Activision Blizzard, Inc.      437,176  
2,561   Cinemark Holdings, Inc.*      49,197  
2,791   Electronic Arts, Inc.      397,020  
1,834   Eros STX Global Corp.*      1,686  
1,045   Imax Corp.*      19,834  
247   Liberty Media Corp.-Liberty Braves, Class A*      6,647  
527   Liberty Media Corp.-Liberty Braves, Class C*      13,923  
619   Liberty Media Corp-Liberty Formula One, Class A*      29,124  
4,974   Liberty Media Corp-Liberty Formula One, Class C*      255,713  
2,111   Lions Gate Entertainment Corp., Class A*      29,955  
2,411   Lions Gate Entertainment Corp., Class B*      31,343  
2,071   Live Nation Entertainment, Inc.*      188,730  
894   Madison Square Garden Entertainment Corp.*      64,967  
1,459   Marcus Corp.*^      25,460  
3,095   Netflix, Inc.*      1,889,002  
1,419   Reading International, Inc., Class A*      7,180  
352   Spotify Technology SA*      79,320  
1,270   Take-Two Interactive Software, Inc.*      195,669  
9,781   Walt Disney Co. (The)*      1,654,652  
1,420   Warner Music Group Corp.      60,691  
1,208   World Wrestling Entertainment, Inc., Class A      67,962  
24,922   Zynga, Inc.*      187,663  
    

 

 

 

       5,692,914  
    

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares            Value  
  Common Stocks, continued   
   Equity Real Estate Investment Trusts (0.0%):   
  2,755      Brookfield Renewable Corp., Class A^    $ 106,922  
     

 

 

 
  Food & Staples Retailing (1.4%):   
  2,600      BJ’s Wholesale Club Holdings, Inc.*      142,792  
  998      Casey’s General Stores, Inc.      188,073  
  4,041      Costco Wholesale Corp.      1,815,823  
  613      Ingles Markets, Inc., Class A      40,476  
  17,773      Kroger Co. (The)      718,562  
  1,720      Natural Grocers by Vitamin Cottage, Inc.      19,299  
  3,849      Performance Food Group Co.*      178,825  
  678      PriceSmart, Inc.      52,579  
  1,864      Rite Aid Corp.*      26,469  
  1,048      SpartanNash Co.      22,951  
  4,494      Sprouts Farmers Market, Inc.*      104,126  
  5,473      Sysco Corp.      429,631  
  1,610      The Andersons, Inc.      49,636  
  1,143      The Chefs’ Warehouse, Inc.*      37,228  
  1,907      United Natural Foods, Inc.*      92,337  
  5,735      US Foods Holding Corp.*      198,775  
  738      Village Super Market, Inc., Class A      16,000  
  9,080      Walgreens Boots Alliance, Inc.      427,214  
  14,453      Walmart, Inc.      2,014,459  
  857      Weis Markets, Inc.      45,035  
     

 

 

 
        6,620,290  
     

 

 

 
  Food Products (1.4%):   
  5,854      Archer-Daniels-Midland Co.      351,299  
  2,035      B&G Foods, Inc.^      60,826  
  408      Beyond Meat, Inc.*      42,946  
  4,205      Bunge, Ltd.      341,951  
  270      Calavo Growers, Inc.      10,325  
  1,477      Cal-Maine Foods, Inc.      53,408  
  5,711      Campbell Soup Co.      238,777  
  7,140      Conagra Brands, Inc.      241,832  
  3,472      Darling Ingredients, Inc.*      249,637  
  1,004      Farmer Brothers Co.*      8,444  
  6,152      Flowers Foods, Inc.      145,372  
  1,375      Fresh Del Monte Produce, Inc.      44,302  
  237      Freshpet, Inc.*      33,817  
  10,572      General Mills, Inc.      632,417  
  1,570      Hain Celestial Group, Inc. (The)*      67,165  
  1,995      Hershey Co. (The)      337,654  
  4,488      Hormel Foods Corp.      184,008  
  3,521      Hostess Brands, Inc.*      61,160  
  2,235      Ingredion, Inc.      198,937  
  376      J & J Snack Foods Corp.      57,460  
  1,762      JM Smucker Co. (The)      211,493  
  300      John B Sanfilippo And Son, Inc.      24,516  
  3,437      Kellogg Co.      219,693  
  5,577      Kraft Heinz Co. (The)      205,345  
  2,371      Lamb Weston Holdings, Inc.      145,508  
  736      Lancaster Colony Corp.      124,244  
  1,028      Landec Corp.*      9,478  
  3,348      McCormick & Co.      271,288  
  778      McCormick & Co., Inc.      64,092  
  9,925      Mondelez International, Inc., Class A      577,436  
  4,222      Pilgrim’s Pride Corp.*      122,776  
  2,235      Post Holdings, Inc.*      246,208  
  587      Sanderson Farms, Inc.      110,473  
  29      Seaboard Corp.      118,900  
  266      Seneca Foods Corp., Class A*      12,826  
  3,045      Simply Good Foods Co. (The)*      105,022  
  874      Tootsie Roll Industries, Inc.      26,596  
  1,535      TreeHouse Foods, Inc.*      61,216  
  3,990      Tyson Foods, Inc., Class A      314,971  
     

 

 

 
        6,333,818  
     

 

 

 
Shares            Value  
  Common Stocks, continued   
  Gas Utilities (0.2%):   
  1,922      Atmos Energy Corp.    $ 169,520  
  273      Chesapeake Utilities Corp.      32,774  
  2,171      National Fuel Gas Co.      114,021  
  2,685      New Jersey Resources Corp.      93,465  
  620      Northwest Natural Holding Co.      28,514  
  1,069      ONE Gas, Inc.      67,742  
  232      RGC Resources, Inc.      5,255  
  1,202      South Jersey Industries, Inc.      25,554  
  1,143      Southwest Gas Holdings, Inc.      76,444  
  912      Spire, Inc.      55,796  
  4,064      UGI Corp.      173,208  
     

 

 

 
        842,293  
     

 

 

 
  Health Care Equipment & Supplies (2.6%):   
  10,675      Abbott Laboratories      1,261,038  
  389      ABIOMED, Inc.*      126,627  
  2,269      Accuray, Inc.*      8,963  
  404      Align Technology, Inc.*      268,834  
  912      AngioDynamics, Inc.*      23,657  
  955      Anika Therapeutics, Inc.*      40,645  
  36      Atrion Corp.      25,110  
  991      Avanos Medical, Inc.*      30,919  
  5,447      Baxter International, Inc.      438,102  
  1,924      Becton Dickinson & Co.      472,958  
  7,829      Boston Scientific Corp.*      339,700  
  629      CONMED Corp.      82,292  
  507      Cooper Cos., Inc. (The)      209,548  
  1,619      CryoLife, Inc.*      36,087  
  4,118      Danaher Corp.      1,253,684  
  2,210      Dentsply Sirona, Inc.      128,290  
  403      DexCom, Inc.*      220,385  
  3,086      Edwards Lifesciences Corp.*      349,366  
  1,790      Envista Holdings Corp.*      74,840  
  1,691      Globus Medical, Inc.*      129,564  
  1,463      Haemonetics Corp.*      103,273  
  149      Heska Corp.*      38,522  
  1,363      Hill-Rom Holdings, Inc.      204,450  
  4,490      Hologic, Inc.*      331,407  
  573      ICU Medical, Inc.*      133,727  
  817      IDEXX Laboratories, Inc.*      508,092  
  433      Inogen, Inc.*      18,658  
  334      Insulet Corp.*      94,933  
  940      Integer Holdings Corp.*      83,980  
  2,246      Integra LifeSciences Holdings Corp.*      153,806  
  538      Intuitive Surgical, Inc.*      534,853  
  2,327      Invacare Corp.*      11,077  
  1,705      Lantheus Holdings, Inc.*      43,784  
  809      LeMaitre Vascular, Inc.      42,950  
  725      LENSAR, Inc.*      5,706  
  1,168      LivaNova plc*      92,494  
  647      Masimo Corp.*      175,149  
  7,270      Medtronic plc      911,294  
  1,464      Meridian Bioscience, Inc.*      28,167  
  1,136      Merit Medical Systems, Inc.*      81,565  
  982      Natus Medical, Inc.*      24,629  
  1,608      Neogen Corp.*      69,835  
  598      Novocure, Ltd.*      69,470  
  1,066      NuVasive, Inc.*      63,800  
  2,205      OraSure Technologies, Inc.*      24,939  
  566      Orthofix Medical, Inc.*      21,576  
  466      Penumbra, Inc.*      124,189  
  700      Quidel Corp.*      98,805  
  1,401      ResMed, Inc.      369,234  
  624      SeaSpine Holdings Corp.*      9,816  
  176      Shockwave Medical, Inc.*      36,235  
  1,615      Steris plc      329,912  
  1,911      Stryker Corp.      503,969  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares            Value  
  Common Stocks, continued   
  Health Care Equipment & Supplies, continued   
  3,310      Surgalign Holdings, Inc.*    $ 3,608  
  406      Tandem Diabetes Care, Inc.*      48,468  
  531      Teleflex, Inc.      199,948  
  227      Utah Medical Products, Inc.      21,075  
  1,100      Varex Imaging Corp.*      31,020  
  775      West Pharmaceutical Services, Inc.      329,018  
  1,577      Zimmer Biomet Holdings, Inc.      230,810  
     

 

 

 
        11,728,852  
     

 

 

 
  Health Care Providers & Services (2.7%):   
  2,656      Acadia Healthcare Co., Inc.*      169,400  
  343      Addus HomeCare Corp.*      27,354  
  757      Amedisys, Inc.*      112,869  
  2,183      AmerisourceBergen Corp.      260,759  
  1,394      AMN Healthcare Services, Inc.*      159,961  
  2,090      Anthem, Inc.      779,152  
  9,264      Brookdale Senior Living, Inc.*      58,363  
  5,011      Cardinal Health, Inc.      247,844  
  6,961      Centene Corp.*      433,740  
  297      Chemed Corp.      138,141  
  3,707      Cigna Corp.      741,993  
  5,028      Community Health Systems, Inc.*      58,828  
  318      CorVel Corp.*      59,218  
  1,589      Covetrus, Inc.*      28,824  
  1,177      Cross Country Healthcare, Inc.*      24,999  
  14,355      CVS Health Corp.      1,218,165  
  2,590      DaVita, Inc.*      301,113  
  3,099      Encompass Health Corp.      232,549  
  1,585      Ensign Group, Inc. (The)      118,701  
  78      Five Star Senior Living, Inc.*      342  
  502      Guardant Health, Inc.*      62,755  
  609      Hanger, Inc.*      13,374  
  2,241      HCA Healthcare, Inc.      543,936  
  786      HealthEquity, Inc.*      50,901  
  2,772      Henry Schein, Inc.*      211,116  
  1,064      Humana, Inc.      414,056  
  1,529      InfuSystems Holdings, Inc.*      19,923  
  1,433      Laboratory Corp. of America Holdings*      403,304  
  742      LHC Group, Inc.*      116,427  
  1,171      Magellan Health, Inc.*      110,718  
  1,512      McKesson Corp.      301,463  
  1,710      MEDNAX, Inc.*      48,615  
  564      ModivCare, Inc.*      102,434  
  1,106      Molina Healthcare, Inc.*      300,069  
  575      National Healthcare Corp.      40,239  
  819      National Research Corp.      34,537  
  2,072      Owens & Minor, Inc.      64,833  
  3,095      Patterson Cos., Inc.      93,283  
  629      Petiq, Inc.*^      15,706  
  2,269      Premier, Inc., Class A      87,946  
  2,229      Quest Diagnostics, Inc.      323,896  
  1,355      RadNet, Inc.*      39,715  
  2,778      Select Medical Holdings Corp.      100,480  
  585      Surgery Partners, Inc.*      24,769  
  2,351      Tenet Healthcare Corp.*      156,200  
  792      The Pennant Group, Inc.*      22,247  
  1,303      Triple-S Management Corp., Class B*      46,087  
  207      U.S. Physical Therapy, Inc.      22,894  
  8,278      UnitedHealth Group, Inc.      3,234,546  
  2,020      Universal Health Services, Inc., Class B      279,507  
     

 

 

 
        12,458,291  
     

 

 

 
  Health Care Technology (0.2%):   
  4,097      Allscripts Healthcare Solutions, Inc.*      54,777  
  5,194      Cerner Corp.      366,281  
Shares            Value  
  Common Stocks, continued   
  Health Care Technology, continued   
  4,924      Change Healthcare, Inc.*    $ 103,109  
  339      Computer Programs & Systems, Inc.*      12,021  
  1,873      Evolent Health, Inc., Class A*      58,063  
  1,357      HealthStream, Inc.*      38,783  
  1,430      NextGen Healthcare, Inc.*      20,163  
  798      Omnicell, Inc.*      118,447  
  394      Simulations Plus, Inc.      15,563  
  973      Teladoc Health, Inc.*      123,386  
  705      Veeva Systems, Inc., Class A*      203,160  
     

 

 

 
        1,113,753  
     

 

 

 
  Hotels, Restaurants & Leisure (1.8%):   
  5,907      Aramark      194,104  
  6      Biglari Holdings, Inc., Class A*      4,920  
  67      Biglari Holdings, Inc., Class B*      11,511  
  492      BJ’s Restaurants, Inc.*      20,546  
  1,554      Bloomin’ Brands, Inc.*      38,850  
  491      Bluegreen Vacations Holding Corp.*      12,668  
  1,059      Boyd Gaming Corp.*      66,992  
  970      Brinker International, Inc.*      47,579  
  1,000      Caesars Entertainment, Inc.*      112,280  
  6,877      Carnival Corp., Class A*      171,994  
  2,943      Carrols Restaurant Group, Inc.      10,771  
  665      Cheesecake Factory, Inc. (The)*      31,255  
  180      Chipotle Mexican Grill, Inc.*      327,154  
  1,065      Choice Hotels International, Inc.      134,584  
  428      Churchill Downs, Inc.      102,754  
  429      Chuy’s Holdings, Inc.*      13,526  
  613      Cracker Barrel Old Country Store, Inc.      85,722  
  1,386      Darden Restaurants, Inc.      209,937  
  1,410      Dave & Buster’s Entertainment, Inc.*      54,045  
  2,144      Del Taco Restaurants, Inc.      18,717  
  1,239      Denny’s Corp.*      20,245  
  4,306      Diamond Resorts International, Inc.*      1,095  
  376      Domino’s Pizza, Inc.      179,337  
  1,288      El Pollo Loco Holdings, Inc.*      21,767  
  1,277      Fiesta Restaurant Group, Inc.*      13,996  
  1,551      Hilton Grand Vacations, Inc.*      73,781  
  2,870      Hilton Worldwide Holdings, Inc.*      379,156  
  1,051      Hyatt Hotels Corp., Class A*      81,032  
  3,762      International Game Technology plc*      99,016  
  323      Jack in the Box, Inc.      31,438  
  2,311      Las Vegas Sands Corp.*      84,583  
  2,747      Marriott International, Inc., Class A*      406,803  
  1,091      Marriott Vacations Worldwide Corp.      171,647  
  5,499      McDonald’s Corp.      1,325,864  
  5,516      MGM Resorts International      238,015  
  341      Nathans Famous, Inc.      20,859  
  5,162      Norwegian Cruise Line Holdings, Ltd.*^      137,877  
  671      Papa John’s International, Inc.      85,210  
  2,176      Penn National Gaming, Inc.*      157,673  
  2,093      Planet Fitness, Inc., Class A*      164,405  
  3,664      Playa Hotels & Resorts NV*      30,375  
  763      Potbelly Corp.*      5,173  
  878      Red Robin Gourmet Burgers*      20,247  
  1,400      Red Rock Resorts, Inc.*      71,708  
  3,150      Royal Caribbean Cruises, Ltd.*      280,193  
  748      Ruth’s Hospitality Group, Inc.*      15,491  
  1,893      Scientific Games Corp., Class A*      157,252  
  2,359      SeaWorld Entertainment, Inc.*      130,500  
  8,540      Starbucks Corp.      942,047  
  1,701      Texas Roadhouse, Inc., Class A      155,352  
  1,976      Travel + Leisure Co.      107,751  
  590      Vail Resorts, Inc.*      197,089  
  6,284      Wendy’s Co. (The)      136,237  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares            Value  
  Common Stocks, continued   
  Hotels, Restaurants & Leisure, continued   
  548      Wingstop, Inc.    $ 89,834  
  1,326      Wyndham Hotels & Resorts, Inc.      102,354  
  827      Wynn Resorts, Ltd.*      70,088  
  2,957      Yum! Brands, Inc.      361,671  
     

 

 

 
        8,237,070  
     

 

 

 
  Household Durables (1.0%):   
  1,784      Bath & Body Works, Inc.      112,446  
  906      Beazer Homes USA, Inc.*      15,629  
  183      Cavco Industries, Inc.*      43,323  
  858      Century Communities, Inc.      52,724  
  5,611      DR Horton, Inc.      471,156  
  730      Ethan Allen Interiors, Inc.      17,301  
  431      Flexsteel Industries, Inc.      13,309  
  2,543      Garmin, Ltd.      395,335  
  2,761      GoPro, Inc., Class A*      25,843  
  1,329      Green Brick Partners, Inc.*      27,271  
  663      Helen of Troy, Ltd.*      148,963  
  500      Hooker Furnishings Corp.      13,495  
  830      Installed Building Products, Inc.      88,935  
  596      iRobot Corp.*^      46,786  
  2,155      KB Home      83,873  
  1,350      La-Z-Boy, Inc.      43,511  
  4,086      Leggett & Platt, Inc.      183,216  
  3,820      Lennar Corp., Class A      357,858  
  119      Lennar Corp., Class B      9,233  
  585      LGI Homes, Inc.*      83,017  
  1,017      Lifetime Brands, Inc.      18,499  
  1,880      M/I Homes, Inc.*      108,664  
  1,985      MDC Holdings, Inc.      92,739  
  1,570      Meritage Homes Corp.*      152,290  
  883      Mohawk Industries, Inc.*      156,644  
  10,746      Newell Brands, Inc.      237,916  
  61      NVR, Inc.*      292,439  
  5,234      PulteGroup, Inc.      240,345  
  122      Roku, Inc.*      38,229  
  1,139      Skyline Champion Corp.*      68,408  
  1,307      Sonos, Inc.*      42,295  
  3,736      Taylor Morrison Home Corp., Class A*      96,314  
  3,945      Tempur Sealy International, Inc.      183,087  
  2,183      Toll Brothers, Inc.      120,698  
  935      TopBuild Corp.*      191,497  
  3,273      Tri Pointe Homes, Inc.*      68,798  
  905      Tupperware Brands Corp.*      19,114  
  320      Universal Electronics, Inc.*      15,760  
  1,592      Whirlpool Corp.      324,545  
     

 

 

 
        4,701,505  
     

 

 

 
  Household Products (1.1%):   
  2,009      Central Garden & Pet Co., Class A*      86,387  
  3,272      Church & Dwight Co., Inc.      270,169  
  1,473      Clorox Co. (The)      243,943  
  6,660      Colgate-Palmolive Co.      503,363  
  1,114      Energizer Holdings, Inc.      43,502  
  3,022      Kimberly-Clark Corp.      400,234  
  333      Oil-Dri Corp of America      11,655  
  21,958      Procter & Gamble Co. (The)      3,069,728  
  1,245      Spectrum Brands Holdings, Inc.      119,109  
  218      WD-40 Co.      50,463  
     

 

 

 
        4,798,553  
     

 

 

 
 
Independent Power and Renewable Electricity
Producers (0.2%):
  
  7,504      AES Corp. (The)      171,316  
  2,247      Atlantica Sustainable Infrastructure plc      77,544  
  1,323      Clearway Energy, Inc., Class A      37,309  
  2,753      Clearway Energy, Inc., Class C      83,333  
Shares            Value  
  Common Stocks, continued   
 
Independent Power and Renewable Electricity
Producers, continued
  
  6,130      NRG Energy, Inc.    $ 250,288  
  1,462      Ormat Technologies, Inc.^      97,384  
  11,410      Vistra Corp.      195,111  
     

 

 

 
        912,285  
     

 

 

 
  Industrial Conglomerates (0.8%):   
  7,866      3M Co.      1,379,854  
  1,213      Carlisle Cos., Inc.      241,132  
  5,892      General Electric Co.      607,053  
  5,498      Honeywell International, Inc.      1,167,116  
  746      Raven Industries, Inc.*      42,977  
  787      Roper Technologies, Inc.      351,104  
     

 

 

 
        3,789,236  
     

 

 

 
  Insurance (3.0%):   
  7,012      Aflac, Inc.      365,536  
  275      Alleghany Corp.*      171,713  
  5,849      Allstate Corp. (The)      744,636  
  1,297      AMBAC Financial Group, Inc.*      18,573  
  3,511      American Equity Investment Life Holding Co.      103,820  
  2,196      American Financial Group, Inc.      276,323  
  7,181      American International Group, Inc.      394,165  
  409      American National Group , Inc.      77,313  
  745      Amerisafe, Inc.      41,839  
  2,715      Aon plc, Class A      775,866  
  5,884      Arch Capital Group, Ltd.*      224,651  
  560      Argo Group International Holdings, Ltd.      29,243  
  2,547      Arthur J. Gallagher & Co.      378,612  
  1,280      Assurant, Inc.      201,920  
  2,447      Assured Guaranty, Ltd.      114,544  
  5,206      Athene Holding, Ltd., Class A*      358,537  
  2,351      Axis Capital Holdings, Ltd.      108,240  
  2,603      Brighthouse Financial, Inc.*      117,734  
  3,926      Brown & Brown, Inc.      217,697  
  3,305      Chubb, Ltd.      573,351  
  2,130      Cincinnati Financial Corp.      243,289  
  2,176      Citizens, Inc.*      13,513  
  1,199      CNA Financial Corp.      50,310  
  2,354      Crawford & Co.      21,092  
  895      Crawford & Co., Class A      8,028  
  1,631      Donegal Group, Inc., Class A      23,633  
  800      eHealth, Inc.*      32,400  
  781      Employers Holdings, Inc.      30,842  
  447      Enstar Group, Ltd.*      104,924  
  664      Erie Indemnity Co., Class A      118,471  
  748      Everest Re Group, Ltd.      187,583  
  1,054      FedNat Holding Co.      2,603  
  6,772      Fidelity National Financial, Inc.      307,042  
  3,103      First American Financial Corp.      208,056  
  14,957      Genworth Financial, Inc., Class A*      56,089  
  695      Global Indemnity Group LLC, Class A      18,591  
  2,457      Globe Life, Inc.      218,747  
  2,383      Greenlight Capital Re, Ltd.*      17,610  
  1,469      Hallmark Financial Services, Inc.*      5,362  
  1,263      Hanover Insurance Group, Inc. (The)      163,710  
  4,869      Hartford Financial Services Group, Inc. (The)      342,047  
  397      HCI Group, Inc.      43,976  
  387      Heritage Insurance Holdings, Inc.      2,635  
  1,293      Horace Mann Educators Corp.      51,448  
  497      Independence Holding Co.      24,646  
  153      Investors Title Co.      27,938  
  868      James River Group Holdings      32,750  
  2,246      Kemper Corp.      150,010  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Insurance, continued   
152   Kinsale Capital Group, Inc.    $ 24,578  
3,278   Lincoln National Corp.      225,363  
3,441   Loews Corp.      185,573  
5,556   Maiden Holdings, Ltd.*      17,557  
182   Markel Corp.*      217,514  
4,361   Marsh & McLennan Cos., Inc.      660,386  
1,688   Mercury General Corp.      93,971  
5,754   MetLife, Inc.      355,194  
162   National Western Life Group, Inc., Class A      34,116  
8,176   Old Republic International Corp.      189,111  
1,479   Primerica, Inc.      227,219  
4,154   Principal Financial Group, Inc.      267,518  
1,399   ProAssurance Corp.      33,268  
6,120   Progressive Corp. (The)      553,187  
3,555   Prudential Financial, Inc.      373,986  
1,719   Reinsurance Group of America, Inc.      191,256  
830   RenaissanceRe Holdings, Ltd.      115,702  
1,252   RLI Corp.      125,538  
321   Safety Insurance Group, Inc.      25,439  
2,198   Selective Insurance Group, Inc.      166,015  
5,145   SiriusPoint, Ltd.*      47,643  
1,277   State Auto Financial Corp.      65,063  
612   Stewart Information Services Corp.      38,715  
1,767   Tiptree, Inc., Class A      17,705  
5,237   Travelers Cos., Inc. (The)      796,076  
728   United Fire Group, Inc.      16,817  
2,794   United Insurance Holdings Co.      10,142  
1,869   Universal Insurance Holdings, Inc.      24,372  
5,839   Unum Group      146,325  
85   White Mountains Insurance Group, Ltd.      90,917  
1,549   Willis Towers Watson plc      360,081  
2,831   WR Berkley Corp.      207,173  
    

 

 

 

       13,705,178  
    

 

 

 

Interactive Media & Services (4.3%):   
2,291   Alphabet, Inc., Class A*      6,125,034  
2,227   Alphabet, Inc., Class C*      5,935,645  
1,229   Cargurus, Inc.*      38,603  
1,955   Cars.com, Inc.*      24,731  
2,881   DHI Group, Inc.*      13,714  
18,770   Facebook, Inc., Class A*      6,370,350  
5,384   Liberty TripAdvisor Holdings, Inc., Class A*      16,637  
2,717   Match Group, Inc.*      426,542  
2,021   Pinterest, Inc., Class A*      102,970  
1,563   QuinStreet, Inc.*      27,446  
2,381   Snap, Inc., Class A*      175,885  
1,344   Travelzoo, Inc.*      15,590  
2,514   TripAdvisor, Inc.*      85,099  
2,857   TrueCar, Inc.*      11,885  
4,229   Twitter, Inc.*      255,389  
1,590   Yelp, Inc.*      59,212  
664   Zedge, Inc., Class B*      8,871  
642   Zillow Group, Inc., Class A*      56,868  
1,617   Zillow Group, Inc., Class C*      142,522  
    

 

 

 

       19,892,993  
    

 

 

 

Internet & Direct Marketing Retail (3.1%):   
893   1-800 Flowers.com, Inc., Class A*      27,246  
3,657   Amazon.com, Inc.*      12,013,391  
117   Booking Holdings, Inc.*      277,743  
690   Chewy, Inc., Class A*^      46,996  
9,111   eBay, Inc.      634,763  
1,700   Etsy, Inc.*      353,532  
757   Expedia Group, Inc.*      124,072  
1,642   Lands’ End, Inc.*      38,653  
Shares         Value
Common Stocks, continued   
Internet & Direct Marketing Retail, continued   
1,736   Liquidity Services, Inc.*    $ 37,515  
588   PetMed Express, Inc.^      15,800  
1,526   Quotient Technology, Inc.*      8,881  
8,810   Qurate Retail, Inc., Class A      89,774  
764   Shutterstock, Inc.      86,577  
318   Stamps.com, Inc.*      104,873  
838   Wayfair, Inc., Class A*      214,117  
    

 

 

 

       14,073,933  
    

 

 

 

IT Services (4.6%):   
5,808   Accenture plc, Class A      1,858,095  
2,020   Akamai Technologies, Inc.*      211,272  
1,974   Alliance Data Systems Corp.      199,157  
2,873   Amdocs, Ltd.      217,515  
5,266   Automatic Data Processing, Inc.      1,052,779  
1,957   Black Knight, Inc.*      140,904  
252   BM Technologies, Inc.*      2,243  
3,165   Booz Allen Hamilton Holding Corp.      251,143  
1,706   Broadridge Financial Solutions, Inc.      284,288  
689   CACI International, Inc., Class A*      180,587  
687   Cass Information Systems, Inc.      28,751  
6,617   Cognizant Technology Solutions Corp., Class A      491,048  
1,317   Concentrix Corp.*      233,109  
6,347   Conduent, Inc.*      41,827  
1,011   CSG Systems International, Inc.      48,730  
7,328   DXC Technology Co.*      246,294  
476   EPAM Systems, Inc.*      271,548  
1,164   Euronet Worldwide, Inc.*      148,154  
2,060   Evertec, Inc.      94,183  
762   Exlservice Holdings, Inc.*      93,817  
4,654   Fidelity National Information Services, Inc.      566,299  
4,458   Fiserv, Inc.*      483,693  
1,169   FleetCor Technologies, Inc.*      305,425  
1,296   Gartner, Inc.*      393,828  
5,428   Genpact, Ltd.      257,884  
2,351   Global Payments, Inc.      370,471  
2,119   GoDaddy, Inc., Class A*      147,694  
2,548   GTT Communications, Inc.*      510  
1,357   Hackett Group, Inc. (The)      26,624  
13,100   International Business Machines Corp.      1,819,983  
1,038   Jack Henry & Associates, Inc.      170,294  
3,410   KBR, Inc.      134,354  
2,557   Leidos Holdings, Inc.      245,804  
2,160   Limelight Networks, Inc.*      5,141  
1,456   LiveRamp Holdings, Inc.*      68,767  
840   ManTech International Corp., Class A      63,773  
8,214   MasterCard, Inc., Class A      2,855,844  
2,057   MAXIMUS, Inc.      171,142  
262   MongoDB, Inc.*      123,536  
642   Okta, Inc.*      152,372  
4,502   Paychex, Inc.      506,250  
5,370   PayPal Holdings, Inc.*      1,397,328  
728   Perficient, Inc.*      84,230  
840   PFSweb, Inc.*      10,836  
1,873   Science Applications International Corp.      160,254  
3,035   Servicesource International, Inc.*      4,097  
1,655   SolarWinds Corp.      27,688  
1,095   Square, Inc., Class A*      262,625  
2,880   Teradata Corp.*      165,168  
1,284   TTEC Holdings, Inc.      120,092  
702   Twilio, Inc., Class A*      223,973  
3,021   Unisys Corp.*      75,948  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
IT Services, continued   
1,183   VeriSign, Inc.*    $ 242,527  
14,395   Visa, Inc., Class A      3,206,486  
6,143   Western Union Co. (The.)      124,211  
975   WEX, Inc.*      171,736  
    

 

 

 

       21,242,331  
    

 

 

 

Leisure Products (0.3%):   
1,798   Acushnet Holdings Corp.      83,967  
895   American Outdoor Brands, Inc.*      21,981  
2,521   Brunswick Corp.      240,176  
2,427   Callaway Golf Co.*      67,058  
658   Escalade, Inc.      12,443  
2,069   Hasbro, Inc.      184,596  
303   Johnson Outdoors, Inc., Class A      32,057  
531   Malibu Boats, Inc.*      37,159  
662   Marine Products Corp.      8,282  
6,035   Mattel, Inc.*      112,010  
995   Nautilus Group, Inc.*      9,263  
909   Peloton Interactive, Inc., Class A*      79,128  
1,582   Polaris, Inc.      189,302  
1,410   Smith & Wesson Brands, Inc.      29,272  
1,612   Vista Outdoor, Inc.*      64,980  
424   YETI Holdings, Inc.*      36,332  
    

 

 

 

       1,208,006  
    

 

 

 

Life Sciences Tools & Services (1.1%):   
237   10X Genomics, Inc., Class A*      34,503  
2,097   Agilent Technologies, Inc.      330,340  
5,177   Avantor, Inc.*      211,739  
314   Bio-Rad Laboratories, Inc., Class A*      234,228  
384   Bio-Techne Corp.      186,075  
3,425   Bruker Corp.      267,493  
534   Charles River Laboratories International, Inc.*      220,366  
1,979   Harvard Bioscience, Inc.*      13,813  
618   Illumina, Inc.*      250,667  
1,685   IQVIA Holdings, Inc.*      403,625  
765   Medpace Holdings, Inc.*      144,799  
291   Mettler-Toledo International, Inc.*      400,812  
1,400   Neogenomics, Inc.*      67,536  
1,490   PerkinElmer, Inc.      258,202  
2,322   Syneos Health, Inc.*      203,129  
2,803   Thermo Fisher Scientific, Inc.      1,601,438  
670   Waters Corp.*      239,391  
    

 

 

 

       5,068,156  
    

 

 

 

Machinery (2.7%):   
2,107   AGCO Corp.      258,171  
228   Alamo Group, Inc.      31,813  
737   Albany International Corp., Class A      56,653  
3,881   Allison Transmission Holdings, Inc.      137,077  
1,335   Altra Industrial Motion Corp.      73,892  
656   Astec Industries, Inc.      35,299  
1,591   Barnes Group, Inc.      66,392  
837   Blue Bird Corp.*      17,460  
4,957   Caterpillar, Inc.      951,595  
1,019   Chart Industries, Inc.*      194,741  
468   CIRCOR International, Inc.*      15,449  
3,170   Colfax Corp.*      145,503  
653   Columbus McKinnon Corp.      31,573  
707   Commercial Vehicle Group, Inc.*      6,688  
1,452   Crane Co.      137,664  
2,573   Cummins, Inc.      577,793  
2,816   Deere & Co.      943,557  
562   DMC Global, Inc.*      20,743  
2,678   Donaldson Co., Inc.      153,744  
471   Douglas Dynamics, Inc.      17,097  
2,066   Dover Corp.      321,263  
1,250   Enerpac Tool Group Corp.      25,913  
Shares         Value
Common Stocks, continued   
Machinery, continued   
453   EnPro Industries, Inc.    $ 39,465  
372   ESCO Technologies, Inc.      28,644  
2,747   Evoqua Water Technologies Co.*      103,177  
1,153   Federal Signal Corp.      44,529  
3,181   Flowserve Corp.      110,285  
4,210   Fortive Corp.      297,100  
983   Franklin Electric Co., Inc.      78,493  
694   FreightCar America, Inc.*      3,144  
889   Gencor Industries, Inc.*      9,868  
606   Gorman-Rupp Co. (The)      21,701  
3,181   Graco, Inc.      222,575  
2,503   Harsco Corp.*      42,426  
650   Helios Technologies, Inc.      53,371  
2,088   Hillenbrand, Inc.      89,053  
490   Hurco Cos, Inc.      15,807  
896   Hyster-Yale Materials Handling, Inc., Class A      45,033  
704   IDEX Corp.      145,693  
3,035   Illinois Tool Works, Inc.      627,122  
5,321   Ingersoll-Rand, Inc.*      268,232  
1,926   ITT, Inc.      165,328  
957   John Bean Technologies Corp.      134,506  
286   Kadant, Inc.      58,373  
2,377   Kennametal, Inc.      81,365  
787   L.B. Foster Co., Class A*      12,191  
1,490   Lincoln Electric Holdings, Inc.      191,897  
221   Lindsay Corp.      33,546  
774   Lydall, Inc.*      48,058  
1,213   Manitex International, Inc.*      8,709  
2,529   Manitowoc Co., Inc. (The)*      54,171  
2,774   Meritor, Inc.*      59,114  
1,184   Middleby Corp. (The)*      201,884  
1,706   Mueller Industries, Inc.      70,117  
4,883   Mueller Water Products, Inc., Class A      74,319  
1,258   NN, Inc.*      6,605  
824   Nordson Corp.      196,236  
158   Omega Flex, Inc.      22,545  
1,742   Oshkosh Corp.      178,329  
4,372   Otis Worldwide Corp.      359,728  
4,640   PACCAR, Inc.      366,189  
1,980   Parker-Hannifin Corp.      553,648  
1,058   Park-Ohio Holdings Corp.      27,000  
3,984   Pentair plc      289,358  
524   Proto Labs, Inc.*      34,898  
660   RBC Bearings, Inc.*      140,052  
3,787   REV Group, Inc.      64,985  
3,709   Rexnord Corp.      238,452  
612   Shyft Group, Inc. (The)      23,262  
1,192   Snap-On, Inc.      249,068  
1,232   SPX Corp.*      65,850  
878   SPX FLOW, Inc.      64,182  
340   Standex International Corp.      33,629  
1,980   Stanley Black & Decker, Inc.      347,114  
537   Tennant Co.      39,711  
1,823   Terex Corp.      76,748  
863   The Greenbrier Cos., Inc.      37,100  
2,219   Timken Co.      145,167  
3,046   Titan International, Inc.*      21,809  
2,013   Toro Co. (The)      196,086  
1,022   TriMas Corp.*      33,072  
3,242   Trinity Industries, Inc.      88,085  
1,510   Wabash National Corp.      22,846  
2,471   Wabtec Corp.      213,025  
615   Watts Water Technologies, Inc., Class A      103,375  
4,275   Welbilt, Inc.*      99,351  
1,534   Woodward, Inc.      173,649  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Machinery, continued   
1,831   Xylem, Inc.    $ 226,458  
    

 

 

 

       12,396,988  
    

 

 

 

Marine (0.1%):   
3,979   Costamare, Inc.      61,635  
239   Eagle Bulk Shipping, Inc.*      12,050  
147   Eneti, Inc.      2,455  
1,300   Genco Shipping & Trading, Ltd.      26,169  
1,654   Kirby Corp.*      79,326  
1,541   Matson, Inc.      124,374  
    

 

 

 

       306,009  
    

 

 

 

Media (1.6%):   
3,595   Altice USA, Inc., Class A*      74,488  
1,413   AMC Networks, Inc., Class A*      65,832  
108   Cable One, Inc.      195,818  
1,206   Charter Communications, Inc., Class A*      877,437  
41,031   Comcast Corp., Class A      2,294,864  
2,952   comScore, Inc.*      11,513  
367   DallasNews Corp.      2,551  
4,810   Discovery Communications, Inc., Class C*      116,739  
3,389   Discovery, Inc., Class A*^      86,013  
4,832   DISH Network Corp., Class A*      209,999  
4,131   E.W. Scripps Co. (The), Class A      74,606  
8,164   Entercom Communications Corp.*      30,044  
4,792   Entravision Communications Corp., Class A      34,023  
5,288   Fox Corp., Class A      212,102  
3,199   Fox Corp., Class B      118,747  
7,573   Gannett Co, Inc.*      50,588  
2,788   Gray Television, Inc.      63,622  
11,906   Interpublic Group of Cos., Inc. (The)      436,593  
864   John Wiley & Sons, Inc., Class A      45,109  
192   John Wiley & Sons, Inc., Class B      9,971  
334   Liberty Broadband Corp., Class A*      56,229  
1,855   Liberty Broadband Corp., Class C*      320,358  
1,489   Liberty Latin America, Ltd.*      19,476  
5,752   Liberty Latin America, Ltd., Class C*      75,466  
3,116   Liberty Media Corp.-Liberty SiriusXM, Class C*      147,917  
1,977   Liberty Media Corp-Liberty SiriusXM, Class A*      93,255  
143   Loral Space & Communications Inc.      6,150  
131   Marchex, Inc., Class B*      391  
1,649   Meredith Corp.*      91,849  
3,726   National CineMedia, Inc.      13,265  
3,530   New York Times Co. (The), Class A      173,923  
5,484   News Corp., Class A      129,039  
2,563   News Corp., Class B      59,538  
1,496   Nexstar Media Group, Inc., Class A      227,332  
5,061   Omnicom Group, Inc.      366,720  
1,853   Scholastic Corp.      66,059  
10,861   Sirius XM Holdings, Inc.^      66,252  
474   TechTarget, Inc.*      39,067  
7,839   Tegna, Inc.      154,585  
445   ViacomCBS, Inc., Class A^      18,721  
8,842   ViacomCBS, Inc., Class B      349,347  
    

 

 

 

       7,485,598  
    

 

 

 

Metals & Mining (0.8%):   
6,163   Alcoa Corp.*      301,617  
4,528   Allegheny Technologies, Inc.*      75,301  
799   Ampco-Pittsburgh Corp.*      3,755  
3,002   Arconic Corp.*      94,683  
1,138   Carpenter Technology Corp.      37,258  
2,210   Century Aluminum Co.*      29,725  
3,567   Cleveland-Cliffs, Inc.*      70,662  
Shares         Value
Common Stocks, continued   
Metals & Mining, continued   
5,449   Coeur Mining, Inc.*    $ 33,620  
3,300   Commercial Metals Co.      100,518  
702   Compass Minerals International, Inc.      45,209  
7,323   Ferroglobe plc*      63,710  
9,823   Ferroglobe Unit*(a)       
841   Fortitude Gold Corp.      5,685  
14,907   Freeport-McMoRan, Inc.      484,925  
2,945   Gold Resource Corp.      4,624  
943   Haynes International, Inc.      35,127  
14,180   Hecla Mining Co.      77,990  
151   Kaiser Aluminum Corp.      16,453  
643   Materion Corp.      44,136  
12,309   McEwen Mining, Inc.*      12,801  
9,007   Newmont Corp.      489,080  
4,882   Nucor Corp.      480,828  
700   Olympic Steel, Inc.      17,052  
1,683   Reliance Steel & Aluminum Co.      239,693  
990   Royal Gold, Inc.      94,535  
1,500   Ryerson Holding Corp.      33,405  
1,365   Schnitzer Steel Industries, Inc., Class A      59,801  
1,446   Southern Copper Corp.      81,178  
7,463   Steel Dynamics, Inc.      436,436  
3,673   SunCoke Energy, Inc.      23,066  
701   Synalloy Corp.*      7,571  
2,052   TimkenSteel Corp.*      26,840  
7,131   United States Steel Corp.      156,668  
548   Universal Stainless & Alloy Products, Inc.*      5,677  
1,489   Warrior Met Coal, Inc.      34,649  
1,135   Worthington Industries, Inc.      59,815  
    

 

 

 

       3,784,093  
    

 

 

 

Multiline Retail (0.7%):   
1,406   Big Lots, Inc.      60,964  
1,248   Dillard’s, Inc., Class A      215,305  
2,684   Dollar General Corp.      569,384  
4,270   Dollar Tree, Inc.*      408,725  
4,069   Kohl’s Corp.      191,609  
10,647   Macy’s, Inc.      240,622  
1,737   Ollie’s Bargain Outlet Holdings, Inc.*      104,706  
5,786   Target Corp.      1,323,663  
    

 

 

 

       3,114,978  
    

 

 

 

Multi-Utilities (0.6%):   
2,833   Ameren Corp.      229,473  
1,406   Avista Corp.      55,003  
1,134   Black Hills Corp.      71,170  
7,105   CenterPoint Energy, Inc.      174,783  
2,837   CMS Energy Corp.      169,454  
3,698   Consolidated Edison, Inc.      268,438  
5,986   Dominion Energy, Inc.      437,098  
2,251   DTE Energy Co.      251,459  
5,409   MDU Resources Group, Inc.      160,485  
6,003   NiSource, Inc.      145,452  
993   NorthWestern Corp.      56,899  
4,932   Public Service Enterprise Group, Inc.      300,359  
2,268   Sempra Energy      286,902  
305   Unitil Corp.      13,048  
3,038   WEC Energy Group, Inc.      267,951  
    

 

 

 

       2,887,974  
    

 

 

 

Oil, Gas & Consumable Fuels (3.1%):   
332   Adams Resources & Energy, Inc.      10,083  
7,652   Antero Resources Corp.*      143,934  
7,688   APA Corp.      164,754  
432   Arch Resources, Inc.*      40,068  
1,988   Berry Corp.      14,333  
1,149   Bonanza Creek Energy, Inc.      55,037  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Oil, Gas & Consumable Fuels, continued   
2,819   Callon Petroleum Co.*    $        138,357  
6,243   Centennial Resource Development, Inc., Class A*^      41,828  
2,978   Cheniere Energy, Inc.*      290,861  
14,494   Chevron Corp.      1,470,416  
2,741   Cimarex Energy Co.      239,015  
7,534   Clean Energy Fuel Corp.*      61,402  
6,372   CNX Resources Corp.*      80,415  
2,370   Comstock Resources, Inc.*      24,530  
14,563   ConocoPhillips      986,935  
1,846   CONSOL Energy, Inc.*      48,033  
10,215   Continental Resources, Inc.^      471,422  
6,877   Coterra Energy, Inc.      149,644  
2,225   CVR Energy, Inc.      37,069  
2,204   Delek US Holdings, Inc.      39,606  
23,604   Devon Energy Corp.      838,178  
5,705   DHT Holdings, Inc.      37,254  
2,202   Diamondback Energy, Inc.      208,463  
58   Dorian LPG, Ltd.      720  
1,125   DT Midstream, Inc.      52,020  
5,391   Enlink Midstream LLC      36,767  
7,121   EOG Resources, Inc.      571,603  
7,807   EQT Corp.*      159,731  
2,812   Equitrans Midstream Corp.      28,514  
31,776   Exxon Mobil Corp.      1,869,064  
1,014   Green Plains, Inc.*      33,107  
4,294   Hess Corp.      335,404  
4,760   HollyFrontier Corp.      157,699  
1,180   International Seaways, Inc.      21,500  
19,091   Kinder Morgan, Inc.      319,392  
17,233   Kosmos Energy, Ltd.*      51,010  
609   Laredo Petroleum, Inc.*      49,372  
17,859   Marathon Oil Corp.      244,133  
8,082   Marathon Petroleum Corp.      499,548  
3,899   Matador Resources Co.      148,318  
4,219   Murphy Oil Corp.      105,348  
17,900   Occidental Petroleum Corp.      529,482  
6,100   ONEOK, Inc.      353,739  
4,281   Ovintiv, Inc.      140,759  
2,936   PAR Pacific Holdings, Inc.*      46,154  
3,458   PBF Energy, Inc., Class A*      44,850  
3,014   PDC Energy, Inc.      142,833  
4,173   Peabody Energy Corp.*      61,719  
787   Penn Virginia Corp.*      20,989  
4,501   Phillips 66      315,205  
1,401   PHX Minerals, Inc.      4,287  
3,360   Pioneer Natural Resources Co.      559,474  
6   PrimeEnergy Resources Corp.*      360  
4,715   Range Resources Corp.*      106,700  
1,426   Renewable Energy Group, Inc.*      71,585  
374   REX American Resources Corp.*      29,871  
1,682   Scorpio Tankers, Inc.      31,184  
3,507   SFL Corp., Ltd.      29,389  
5,410   SM Energy Co.      142,716  
24,131   Southwestern Energy Co.*      133,686  
3,310   Talos Energy, Inc.*      45,579  
4,483   Targa Resources Corp.      220,608  
6,407   Teekay Shipping Corp.*      23,450  
1,031   Teekay Tankers, Ltd., Class A*      14,980  
31   Texas Pacific Land Corp.      37,490  
4,537   Valero Energy Corp.      320,176  
14,709   Williams Cos., Inc.      381,551  
1,790   World Fuel Services Corp.      60,180  
    

 

 

 

       14,143,883  
    

 

 

 

Paper & Forest Products (0.1%):   
1,071   Boise Cascade Co.      57,812  
Shares         Value
Common Stocks, continued   
Paper & Forest Products, continued   
545   Clearwater Paper Corp.*    $          20,890  
1,418   Domtar Corp.*      77,338  
2,520   Glatfelter Corp.      35,532  
3,640   Louisiana-Pacific Corp.      223,387  
3,875   Mercer International, Inc.      44,911  
617   Neenah, Inc.      28,758  
2,344   Resolute Forest Products      27,894  
665   Schweitzer-Mauduit International, Inc.      23,049  
2,251   Verso Corp.      46,708  
    

 

 

 

       586,279  
    

 

 

 

Personal Products (0.2%):   
12,350   Coty, Inc., Class A*      97,071  
1,291   Edgewell Personal Care Co.      46,863  
854   elf Beauty, Inc.*      24,809  
1,909   Estee Lauder Co., Inc. (The), Class A      572,566  
2,298   Herbalife Nutrition, Ltd.*      97,389  
594   Inter Parfums, Inc.      44,413  
186   Medifast, Inc.      35,831  
1,236   Natures Sunshine Products, Inc.      18,108  
1,116   Nu Skin Enterprises, Inc., Class A      45,165  
340   United-Guardian, Inc.      4,821  
645   Usana Health Sciences, Inc.*      59,469  
    

 

 

 

       1,046,505  
    

 

 

 

Pharmaceuticals (2.9%):   
2,003   Amphastar Pharmaceuticals, Inc.*      38,077  
900   ANI Pharmaceuticals, Inc.*      29,538  
885   Assembly Biosciences, Inc.*      3,080  
17,646   Bristol-Myers Squibb Co.      1,044,114  
2,125   Catalent, Inc.*      282,774  
2,976   Corcept Therapeutics, Inc.*      58,568  
1,468   Cumberland Pharmaceuticals, Inc.*      3,964  
1,054   Cymabay Therapeutics, Inc.*      3,847  
6,155   Elanco Animal Health, Inc.*      196,283  
7,573   Eli Lilly & Co.      1,749,742  
8,827   Endo International plc*      28,599  
3,032   Horizon Therapeutics plc*      332,125  
3,292   Innoviva, Inc.*      55,009  
1,338   Intra-Cellular Therapies, Inc.*      49,881  
1,466   Jazz Pharmaceuticals plc*      190,888  
23,794   Johnson & Johnson      3,842,731  
2,281   Lannett Co., Inc.*      6,843  
24,740   Merck & Co., Inc.      1,858,221  
3,567   Nektar Therapeutics*      64,063  
2,474   Organon & Co.      81,122  
1,317   Otonomy, Inc.*      2,529  
3,223   Perrigo Co. plc      152,545  
41,500   Pfizer, Inc.      1,784,915  
793   Phibro Animal Health Corp., Class A      17,081  
1,580   Prestige Consumer Healthcare, Inc.*      88,654  
2,965   Royalty Pharma plc, Class A      107,155  
1,789   Supernus Pharmaceuticals, Inc.*      47,713  
923   Taro Pharmaceutical Industries, Ltd.*      58,730  
17,276   Viatris, Inc.      234,090  
4,585   Zoetis, Inc.      890,132  
1,297   Zogenix, Inc.*      19,701  
    

 

 

 

       13,322,714  
    

 

 

 

Professional Services (0.7%):   
1,184   ASGN, Inc.*      133,958  
494   Barrett Business Services, Inc.      37,672  
1,617   CBIZ, Inc.*      52,294  
2,143   Clarivate plc*      46,932  
2,160   CoStar Group, Inc.*      185,890  
456   CRA International, Inc.      45,299  
1,098   Equifax, Inc.      278,255  
1,104   Exponent, Inc.      124,918  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Professional Services, continued   
825   Forrester Research, Inc.*    $            40,640  
723   FTI Consulting, Inc.*      97,388  
421   Heidrick & Struggles International, Inc.      18,789  
466   Hill International, Inc.*      965  
660   Huron Consulting Group, Inc.*      34,320  
329   ICF International, Inc.      29,376  
3,021   IHS Markit, Ltd.      352,309  
514   Insperity, Inc.      56,920  
1,042   Kelly Services, Inc., Class A      19,673  
577   Kforce, Inc.      34,412  
1,558   Korn Ferry      112,737  
1,391   ManpowerGroup, Inc.      150,617  
659   Mistras Group, Inc.*      6,695  
11,810   Nielsen Holdings plc      226,634  
2,125   Resources Connection, Inc.      33,533  
3,340   Robert Half International, Inc.      335,102  
2,719   TransUnion      305,371  
1,894   TriNet Group, Inc.*      179,135  
1,029   Trueblue, Inc.*      27,865  
1,755   Verisk Analytics, Inc.      351,474  
633   Willdan Group, Inc.*      22,528  
    

 

 

 

       3,341,701  
    

 

 

 

Real Estate Management & Development (0.3%):

 

4,164   CBRE Group, Inc., Class A*      405,407  
2,451   Cushman & Wakefield plc*      45,613  
279   Forestar Group, Inc.*      5,198  
232   FRP Holdings, Inc.*      12,973  
1,280   Howard Hughes Corp. (The)*      112,397  
323   Indus Realty Trust, Inc.      22,642  
1,285   Jones Lang LaSalle, Inc.*      318,796  
4,260   Kennedy-Wilson Holdings, Inc.      89,119  
977   Marcus & Millichap, Inc.*      39,686  
6,929   Newmark Group, Inc.      99,154  
997   Rafael Holdings, Inc., Class B*      30,638  
910   RE/MAX Holdings, Inc., Class A      28,355  
3,814   Realogy Holdings Corp.*      66,897  
681   Redfin Corp.*^      34,118  
1,447   Tejon Ranch Co.*      25,699  
357   The RMR Group, Inc., Class A      11,942  
1,857   The St Joe Co.      78,180  
    

 

 

 

       1,426,814  
    

 

 

 

Road & Rail (1.3%):   
598   AMERCO, Inc.      386,326  
757   ArcBest Corp.      61,900  
1,730   Avis Budget Group, Inc.*      201,562  
419   Covenant Logistics Group, Inc.*      11,585  
21,074   CSX Corp.      626,741  
1,925   Heartland Express, Inc.      30,838  
2,007   J.B. Hunt Transport Services, Inc.      335,611  
1,439   Kansas City Southern      389,451  
4,311   Knight-Swift Transportation Holdings, Inc.      220,508  
1,096   Landstar System, Inc.      172,971  
422   Lyft, Inc., Class A*      22,615  
2,410   Marten Transport, Ltd.      37,813  
1,910   Norfolk Southern Corp.      456,968  
1,887   Old Dominion Freight Line, Inc.      539,644  
800   P.A.M. Transportation SVCS*      35,984  
1,902   Ryder System, Inc.      157,314  
576   Saia, Inc.*      137,105  
2,500   Schneider National, Inc., Class B      56,850  
2,809   Uber Technologies, Inc.*      125,843  
8,160   Union Pacific Corp.      1,599,442  
586   Universal Logistics Holdings, Inc.      11,767  
1,023   USA Truck, Inc.*      15,631  
Shares         Value
Common Stocks, continued   
Road & Rail, continued   
2,378   Werner Enterprises, Inc.    $        105,274  
1,829   Yellow Corp.*      10,334  
    

 

 

 

       5,750,077  
    

 

 

 

Semiconductors & Semiconductor Equipment (5.0%):

 

870   Advanced Energy Industries, Inc.      76,342  
8,812   Advanced Micro Devices, Inc.*      906,755  
1,120   Alpha & Omega Semiconductor, Ltd.*      35,134  
630   Ambarella, Inc.*      98,116  
9,610   Amkor Technology, Inc.      239,769  
5,357   Analog Devices, Inc.      897,190  
8,174   Applied Materials, Inc.      1,052,239  
608   Axcelis Technologies, Inc.*      28,594  
1,701   AXT, Inc.*      14,169  
3,805   Broadcom, Inc.      1,845,159  
1,619   Brooks Automation, Inc.      165,705  
437   CEVA, Inc.*      18,647  
1,665   Cirrus Logic, Inc.*      137,113  
697   CMC Materials, Inc.      85,891  
2,261   Cohu, Inc.*      72,216  
1,991   Cree, Inc.*      160,733  
1,027   Diodes, Inc.*      93,036  
1,512   Entegris, Inc.      190,361  
2,557   First Solar, Inc.*      244,091  
1,662   FormFactor, Inc.*      62,042  
1,314   GSI Technology, Inc.*      6,938  
948   Ichor Holdings, Ltd.*      38,953  
54,534   Intel Corp.      2,905,572  
1,702   KLA Corp.      569,336  
1,562   Kulicke & Soffa Industries, Inc.      91,033  
1,724   Lam Research Corp.      981,215  
2,049   Lattice Semiconductor Corp.*      132,468  
876   MA-COM Technology Solutions Holdings, Inc.*      56,826  
10,107   Marvell Technology, Inc.      609,553  
1,132   MaxLinear, Inc., Class A*      55,751  
2,433   Microchip Technology, Inc.      373,441  
12,177   Micron Technology, Inc.      864,323  
1,341   MKS Instruments, Inc.      202,370  
334   Monolithic Power Systems, Inc.      161,883  
1,500   Neophotonics Corp.*      13,065  
150   NVE Corp.      9,595  
16,996   NVIDIA Corp.      3,520,891  
592   NXP Semiconductors NV      115,955  
5,936   ON Semiconductor Corp.*      271,691  
1,334   Onto Innovation, Inc.*      96,382  
1,438   PDF Solutions, Inc.*      33,132  
2,358   Photronics, Inc.*      32,140  
1,116   Power Integrations, Inc.      110,473  
1,567   Qorvo, Inc.*      261,987  
10,704   Qualcomm, Inc.      1,380,602  
2,888   Rambus, Inc.*      64,114  
1,305   Semtech Corp.*      101,751  
867   Silicon Laboratories, Inc.*      121,519  
2,322   Skyworks Solutions, Inc.      382,619  
1,151   SMART Global Holdings, Inc.*      51,220  
371   SolarEdge Technologies, Inc.*      98,397  
834   Synaptics, Inc.*      149,895  
2,449   Teradyne, Inc.      267,357  
9,581   Texas Instruments, Inc.      1,841,564  
1,251   Ultra Clean Holdings, Inc.*      53,293  
885   Universal Display Corp.      151,300  
1,442   Veeco Instruments, Inc.*      32,027  
3,065   Xilinx, Inc.      462,784  
    

 

 

 

       23,096,717  
    

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Software (7.1%):   
3,453   ACI Worldwide, Inc.*    $        106,111  
4,078   Adobe, Inc.*      2,347,786  
1,142   Alarm.com Holding, Inc.*      89,293  
591   Alteryx, Inc., Class A*      43,202  
1,009   American Software, Inc., Class A      23,964  
1,301   Anaplan, Inc.*      79,218  
734   ANSYS, Inc.*      249,890  
858   Asana, Inc.*      89,095  
1,409   Aspen Technology, Inc.*      173,025  
447   Atlassian Corp. plc, Class A*      174,965  
1,996   Autodesk, Inc.*      569,199  
523   Avalara, Inc.*      91,405  
1,879   Avaya Holdings Corp.*      37,185  
2,272   Aware, Inc.*      9,292  
313   Bill.com Holdings, Inc.*      83,555  
1,196   Blackbaud, Inc.*      84,139  
3   Blackline, Inc.*      354  
794   Bottomline Technologies, Inc.*      31,188  
2,029   Box, Inc.*      48,026  
2,111   Cadence Design Systems, Inc.*      319,690  
2,601   CDK Global, Inc.      110,673  
820   Cerence, Inc.*      78,810  
1,198   Ceridian HCM Holding, Inc.*      134,919  
1,606   Citrix Systems, Inc.      172,436  
519   Cloudflare, Inc., Class A*      58,465  
1,830   Cognyte Software, Ltd.*      37,606  
505   CommVault Systems, Inc.*      38,032  
387   Coupa Software, Inc.*      84,823  
487   Crowdstrike Holdings, Inc., Class A*      119,695  
400   Datadog, Inc., Class A*      56,540  
513   DocuSign, Inc.*      132,062  
3,824   Dropbox, Inc., Class A*      111,737  
1,149   Dynatrace, Inc.*      81,545  
1,380   Ebix, Inc.      37,163  
281   Elastic NV*      41,866  
990   Envestnet, Inc.*      79,438  
429   Everbridge, Inc.*      64,796  
410   Fair Isaac Corp.*      163,151  
1,784   FireEye, Inc.*      31,755  
337   Five9, Inc.*      53,832  
2,322   Fortinet, Inc.*      678,117  
853   Globant SA*      239,702  
1,145   Guidewire Software, Inc.*      136,106  
239   HubSpot, Inc.*      161,586  
2,145   Intuit, Inc.      1,157,249  
1,474   J2 Global, Inc.*      201,378  
1,094   Manhattan Associates, Inc.*      167,415  
60,287   Microsoft Corp.      16,996,111  
1,654   N-Able, Inc.*^      20,526  
600   New Relic, Inc.*      43,062  
7,021   NortonLifeLock, Inc.      177,631  
3,699   Nuance Communications, Inc.*      203,593  
1,157   Nutanix, Inc., Class A*      43,619  
879   OneSpan, Inc.*      16,508  
18,418   Oracle Corp.      1,604,760  
2,718   Palantir Technologies, Inc., Class A*      65,341  
332   Palo Alto Networks, Inc.*      159,028  
513   Paycom Software, Inc.*      254,320  
443   Paylocity Holding Corp.*      124,217  
565   Pegasystems, Inc.      71,811  
947   Progress Software Corp.      46,583  
1,146   PTC, Inc.*      137,279  
389   Q2 Holdings, Inc.*      31,174  
894   Qualys, Inc.*      99,493  
2,745   RealNetworks, Inc.*      4,365  
371   RingCentral, Inc., Class A*      80,692  
4,993   salesforce.com, Inc.*      1,354,201  
Shares         Value
Common Stocks, continued   
Software, continued   
1,200   Sapiens International Corp. NV    $            34,536  
574   ServiceNow, Inc.*      357,183  
585   Smartsheet, Inc., Class A*      40,260  
967   Splunk, Inc.*      139,935  
3,224   SS&C Technologies Holdings, Inc.      223,746  
2,279   Synchronoss Technologies, Inc.*      5,470  
851   Synopsys, Inc.*      254,798  
2,670   The Trade Desk, Inc., Class A*      187,701  
409   Tyler Technologies, Inc.*      187,588  
1,103   Varonis Systems, Inc.*      67,118  
1,022   Verint Systems, Inc.*      45,775  
742   Vmware, Inc., Class A*^      110,335  
494   Workday, Inc., Class A*      123,446  
7,046   Xperi Holding Corp.      132,747  
175   Zendesk, Inc.*      20,368  
185   Zoom Video Communications, Inc., Class A*      48,377  
566   Zscaler, Inc.*      148,417  
    

 

 

 

       32,743,593  
    

 

 

 

Specialty Retail (2.7%):   
1,093   Aaron’s Co., Inc. (The)      30,101  
3,415   Abercrombie & Fitch Co., Class A*      128,506  
1,285   Advance Auto Parts, Inc.      268,424  
5,007   American Eagle Outfitters, Inc.      129,181  
200   America’s Car Mart, Inc.*      23,356  
534   Asbury Automotive Group, Inc.*      105,059  
2,991   AutoNation, Inc.*      364,184  
213   AutoZone, Inc.*      361,672  
3,164   Barnes & Noble Education, Inc.*      31,608  
3,437   Bed Bath & Beyond, Inc.*      59,374  
5,264   Best Buy Co., Inc.      556,457  
1,657   Big 5 Sporting Goods Corp.^      38,177  
841   Boot Barn Holdings, Inc.*      74,740  
583   Build-A-Bear Workshop, Inc.*      9,876  
355   Burlington Stores, Inc.*      100,667  
2,280   Caleres, Inc.      50,662  
2,949   CarMax, Inc.*      377,354  
155   Carvana Co.*      46,739  
1,987   Cato Corp., Class A      32,865  
7,822   Chico’s FAS, Inc.*      35,121  
881   Citi Trends, Inc.*      64,278  
1,572   Conn’s, Inc.*      35,889  
3,425   Designer Brands, Inc., Class A*      47,710  
2,039   Dick’s Sporting Goods, Inc.      244,211  
1,045   Five Below, Inc.*      184,766  
2,381   Floor & Decor Holdings, Inc., Class A*      287,601  
3,374   Foot Locker, Inc.      154,057  
8,563   Gap, Inc. (The)      194,380  
435   Genesco, Inc.*      25,113  
630   Group 1 Automotive, Inc.      118,364  
2,846   Guess?, Inc.      59,795  
583   Haverty Furniture Cos., Inc.      19,653  
499   Hibbett, Inc.      35,299  
8,873   Home Depot, Inc. (The)      2,912,651  
875   Lithia Motors, Inc.      277,410  
6,432   Lowe’s Cos., Inc.      1,304,796  
527   MarineMax, Inc.*      25,570  
751   Monro, Inc.      43,190  
1,077   Murphy U.S.A., Inc.      180,139  
1,200   National Vision Holdings, Inc.*      68,124  
1,542   ODP Corp. (The)*      61,927  
702   O’Reilly Automotive, Inc.*      428,964  
1,891   Penske Automotive Group, Inc.      190,235  
1,792   Rent-A-Center, Inc.      100,728  
296   RH*      197,405  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Specialty Retail, continued   
2,006   Ross Stores, Inc.    $        218,353  
1,832   Sally Beauty Holdings, Inc.*      30,869  
1,200   Shoe Carnival, Inc.      38,904  
1,393   Signet Jewelers, Ltd.      109,991  
472   Sleep Number Corp.*      44,123  
844   Sonic Automotive, Inc., Class A      44,344  
1,606   Sportsman’s Warehouse Holdings, Inc.*      28,266  
848   The Buckle, Inc.      33,572  
988   The Children’s Place, Inc.*      74,357  
854   Tilly’s, Inc.      11,965  
7,948   TJX Cos., Inc. (The)      524,409  
1,904   Tractor Supply Co.      385,769  
827   Ulta Beauty, Inc.*      298,481  
2,187   Urban Outfitters, Inc.*      64,932  
594   Victoria’s Secret & Co.*      32,824  
1,960   Williams-Sonoma, Inc.      347,567  
75   Winmark Corp.      16,127  
729   Zumiez, Inc.*      28,985  
    

 

 

 

       12,420,216  
    

 

 

 

Technology Hardware, Storage & Peripherals (5.1%):

 

2,378   3D Systems Corp.*      65,561  
150,545   Apple, Inc.      21,302,118  
728   AstroNova, Inc.*      10,956  
2,354   Avid Technology, Inc.*      68,078  
1,874   Dell Technologies, Inc., Class C*      194,971  
19,633   Hewlett Packard Enterprise Co.      279,770  
12,288   HP, Inc.      336,200  
4,627   NCR Corp.*      179,343  
3,014   NetApp, Inc.      270,537  
4,094   Pure Storage, Inc., Class A*      103,005  
3,114   Seagate Technology Holdings plc      256,967  
1,794   Stratasys, Ltd.*      38,607  
4,585   Western Digital Corp.*      258,777  
4,758   Xerox Holdings Corp.      95,969  
    

 

 

 

       23,460,859  
    

 

 

 

Textiles, Apparel & Luxury Goods (1.0%):   
3,367   Capri Holdings, Ltd.*      162,996  
840   Carter’s, Inc.      81,682  
1,677   Columbia Sportswear Co.      160,724  
1,693   Crocs, Inc.*      242,912  
810   Culp, Inc.      10,433  
620   Deckers Outdoor Corp.*      223,324  
1,494   Fossil Group, Inc.*      17,704  
2,480   G-III Apparel Group, Ltd.*      70,184  
9,857   Hanesbrands, Inc.      169,146  
795   Kontoor Brands, Inc.      39,710  
1,887   Levi Strauss & Co.      46,250  
1,042   Lululemon Athletica, Inc.*      421,697  
1,551   Movado Group, Inc.      48,841  
11,368   Nike, Inc., Class B      1,650,975  
405   Oxford Industries, Inc.      36,519  
1,797   PVH Corp.*      184,714  
1,225   Ralph Lauren Corp.      136,024  
570   Rocky Brands, Inc.      27,138  
3,202   Skechers U.S.A., Inc., Class A*      134,868  
1,560   Steven Madden, Ltd.      62,650  
700   Superior Group of Cos., Inc.      16,303  
6,144   Tapestry, Inc.      227,451  
3,369   Under Armour, Inc., Class A*      67,986  
3,746   Under Armour, Inc., Class C*      65,630  
1,027   Unifi, Inc.*      22,522  
802   Vera Bradley, Inc.*      7,547  
3,169   VF Corp.      212,291  
Shares         Value
Common Stocks, continued   
Textiles, Apparel & Luxury Goods, continued   
1,153   Wolverine World Wide, Inc.    $            34,405  
    

 

 

 

       4,582,626  
    

 

 

 

Thrifts & Mortgage Finance (0.5%):   
1,866   Axos Financial, Inc.*      96,174  
1,591   BankFinancial Corp.      18,265  
3,362   Capitol Federal Financial, Inc.      38,629  
2,223   Columbia Financial, Inc.*      41,126  
855   ESSA Bancorp, Inc.      14,193  
3,469   Essent Group, Ltd.      152,671  
403   Federal Agricultural Mortgage Corp.      43,734  
408   First Capital, Inc.      16,638  
1,989   Flagstar Bancorp, Inc.      101,001  
8   Greene County Bancorp, Inc.      291  
62   Hingham Institution for Savings      20,875  
628   HomeStreet, Inc.      25,842  
413   IF Bancorp, Inc.      9,363  
2,442   Kearny Financial Corp.      30,354  
1,249   Kentucky First Federal Bancorp      8,918  
750   Lake Shore Bancorp, Inc.      11,243  
194   LendingTree, Inc.*      27,127  
1,119   Meridian Bancorp, Inc.      23,230  
1,630   Meta Financial Group, Inc.      85,542  
10,413   MGIC Investment Corp.      155,779  
2,681   Mr Cooper Group, Inc.*      110,377  
13,097   New York Community Bancorp, Inc.      168,558  
2,461   NMI Holdings, Inc., Class A*      55,643  
1,501   Northfield Bancorp, Inc.      25,757  
3,456   Northwest Bancshares, Inc.      45,896  
1,932   Oceanfirst Financial Corp.      41,364  
503   Oconee Federal Financial Corp.      11,670  
465   Ocwen Financial Corp.*      13,080  
1,369   Premier Financial Corp.      43,589  
679   Provident Financial Holdings, Inc.      11,597  
2,256   Provident Financial Services, Inc.      52,948  
6,456   Radian Group, Inc.      146,680  
420   Riverview Bancorp, Inc.      3,053  
561   Southern Missouri Bancorp, Inc.      25,183  
1,764   Sterling Bancorp, Inc.*      9,102  
733   Territorial Bancorp, Inc.      18,604  
5,381   TFS Financial Corp.      102,562  
559   TrustCo Bank Corp. NY      17,871  
2,436   Washington Federal, Inc.      83,579  
728   Waterstone Financial, Inc.      14,917  
1,074   Wawlker & Dunlop, Inc.      121,899  
1,498   Western New England BanCorp, Inc.      12,778  
1,389   WSFS Financial Corp.      71,270  
    

 

 

 

       2,128,972  
    

 

 

 

Tobacco (0.4%):   
17,524   Altria Group, Inc.      797,692  
11,266   Philip Morris International, Inc.      1,067,904  
518   Universal Corp.      25,035  
3,098   Vector Group, Ltd.      39,500  
    

 

 

 

       1,930,131  
    

 

 

 

Trading Companies & Distributors (0.8%):   
3,844   Air Lease Corp.      151,223  
948   Applied Industrial Technologies, Inc.      85,443  
2,840   Beacon Roofing Supply, Inc.*      135,638  
1,592   CAI International, Inc.      89,009  
644   DXP Enterprises, Inc.*      19,043  
8,092   Fastenal Co.      417,628  
876   GATX Corp.      78,455  
977   Global Industrial Co.      37,019  
1,243   GMS, Inc.*      54,443  
1,047   H&E Equipment Services, Inc.      36,341  
1,424   Herc Holdings, Inc.*      232,767  
1,307   Huttig Building Products, Inc.*      6,953  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Core Equity Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Trading Companies & Distributors, continued   
870   Kaman Corp., Class A    $            31,033  
2,381   MRC Global, Inc.*      17,477  
1,633   MSC Industrial Direct Co., Inc., Class A      130,950  
3,189   NOW, Inc.*      24,396  
1,547   Rush Enterprises, Inc., Class A      69,863  
1,003   SiteOne Landscape Supply, Inc.*      200,068  
1,757   Textainer Group Holdings, Ltd.*      61,337  
651   Titan Machinery, Inc.*      16,867  
173   Transcat, Inc.*      11,155  
2,472   Triton International, Ltd.      128,643  
1,812   United Rentals, Inc.*      635,885  
3,997   Univar Solutions, Inc.*      95,209  
1,184   Veritiv Corp.*      106,039  
826   W.W. Grainger, Inc.      324,668  
662   Watsco, Inc.      175,178  
84   Watsco, Inc., Class B      22,570  
1,396   WESCO International, Inc.*      160,987  
    

 

 

 

       3,556,287  
    

 

 

 

Transportation Infrastructure (0.0%):   
2,859   Macquarie Infrastructure Holdings LLC      115,961  
    

 

 

 

Water Utilities (0.2%):   
830   American States Water Co.      70,982  
1,750   American Water Works Co., Inc.      295,820  
491   Artesian Resources Corp.      18,741  
1,107   California Water Service Group      65,236  
3,223   Essential Utilities, Inc.      148,516  
355   Middlesex Water Co.      36,487  
669   Pure Cycle Corp.*      8,904  
498   SJW Group      32,898  
372   York Water Co. (The)      16,249  
    

 

 

 

       693,833  
    

 

 

 

Wireless Telecommunication Services (0.2%):   
1,333   Shenandoah Telecommunications Co.      42,096  
1,649   Spok Holdings, Inc.      16,853  
2,954   Telephone & Data Systems, Inc.      57,603  
7,283   T-Mobile USA, Inc.*      930,476  
1,151   United States Cellular Corp.*      36,705  
    

 

 

 

       1,083,733  
    

 

 

 

Total Common Stocks (Cost $244,281,880)

     457,257,625  
  

 

 

 

Preferred Stocks (0.0%):   
Internet & Direct Marketing Retail (0.0%):   
264   Qurate Retail, Inc., 3/15/31      28,551  
    

 

 

 

Trading Companies & Distributors (0.0%):   
1,076   WESCO International, Inc., Series A      33,765  
    

 

 

 

Total Preferred Stocks (Cost $113,834)

     62,316  
  

 

 

 

Contracts         Value
Warrant (0.0%):   
Energy Equipment & Services (0.0%):   
143   Nabors Industries, Ltd., 6/11/26      835  
    

 

 

 

Total Warrant (Cost $–)

     835  
  

 

 

 

Shares         Value
Rights (0.0%):   
Biotechnology (0.0%):   
3,743   Achillion Pharm CVR, Expires on 1/29/49*      5,427  
    

 

 

 

Household Durables (0.0%):   
1,918   Zagg, Inc. CVR, Expires on 1/2/49*      173  
    

 

 

 

Shares         Value
Rights, continued   
Media (0.0%):   
9,820   Media General, Inc. CVR, Expires on 12/31/49*    $               554  
    

 

 

 

Total Rights (Cost $3,216)

     6,154  
  

 

 

 

Principal
Amount
        Value
Short-Term Security Held as Collateral for Securities on Loan (0.4%):   
1,848,503   BlackRock Liquidity FedFund, Institutional Class , 0.03%(b)(c)      1,848,503  
    

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan (Cost $1,848,503)

     1,848,503  
  

 

 

 

Shares         Value
Unaffiliated Investment Company (0.7%):   
Money Markets (0.7%):   
3,163,760   Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(c)      3,163,760  
    

 

 

 

Total Unaffiliated Investment Company (Cost $3,163,760)

     3,163,760  
  

 

 

 

Total Investment Securities

  

(Cost $249,411,193) - 100.7%

     462,339,193  

Net other assets (liabilities) - (0.7)%

     (3,273,374
  

 

 

 

Net Assets - 100.0%

   $ 459,065,819  
  

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

CVR   -   Contingency Valued Rights

 

*

Non-income producing security.

^

This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities o4n loan as of September 30, 2021 was $1,781,665.

Represents less than 0.05%.

(a)

Security was valued using unobservable inputs in good faith pursuant to procedures approved by the Board of Trustees as of September 30, 2021. The total of all such securities represent 0.00% of the net assets of the fund.

(b)

Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.

(c)

The rate represents the effective yield at September 30, 2021.

Amounts shown as “—” are either $0 or rounds to less than $1.

 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Small Cap Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                            Value        

Common Stocks (100.0%):

 

Aerospace & Defense (0.9%):

 

2,616  

AAR Corp.*

  $ 84,837  
5,304  

Aerojet Rocketdyne Holdings, Inc.

    230,989  
1,350  

AeroVironment, Inc.*

    116,532  
2,615  

Astronics Corp.*

    36,767  
392  

Astronics Corp., Class B*

    5,566  
869  

BWX Technologies, Inc.

    46,804  
1,113  

Curtiss-Wright Corp.

    140,438  
766  

Ducommun, Inc.*

    38,568  
2,314  

Hexcel Corp.*

    137,429  
3,376  

Innovative Solutions & Support, Inc.

    24,138  
7,496   Kratos Defense & Security Solutions, Inc.*     167,236  
1,825  

Maxar Technologies, Inc.

    51,684  
1,336  

Mercury Systems, Inc.*

    63,353  
1,961  

Moog, Inc., Class A

    149,487  
685  

National Presto Industries, Inc.

    56,225  
2,564  

Park Aerospace Corp., Class C

    35,076  
1,291  

Parsons Corp.*

    43,584  
759  

Vectrus, Inc.*

    38,163  
   

 

 

 

      1,466,876  
   

 

 

 

Air Freight & Logistics (0.4%):

 

738  

Air T, Inc.*

    20,384  
2,305  

Air Transport Services Group, Inc.*

    59,492  
743  

Atlas Air Worldwide Holdings, Inc.*

    60,688  
2,255  

Echo Global Logistics, Inc.*

    107,586  
1,767  

Forward Air Corp.

    146,696  
2,225  

Hub Group, Inc., Class A*

    152,969  
5,212  

Radiant Logistics, Inc.*

    33,305  
   

 

 

 

      581,120  
   

 

 

 

Airlines (0.5%):

 

1,115  

Allegiant Travel Co.*

    217,960  
899  

Copa Holdings SA, Class A*

    73,161  
3,192  

Hawaiian Holdings, Inc.*

    69,139  
12,473  

JetBlue Airways Corp.*

    190,712  
2,017  

SkyWest, Inc.*

    99,519  
4,325  

Spirit Airlines, Inc.*

    112,190  
   

 

 

 

      762,681  
   

 

 

 

Auto Components (1.4%):

 

5,318  

Adient plc*

    220,431  
4,351   American Axle & Manufacturing Holdings, Inc.*     38,332  
2,216  

Cooper-Standard Holding, Inc.*

    48,553  
8,755  

Dana, Inc.

    194,711  
2,064  

Dorman Products, Inc.*

    195,399  
2,511  

Fox Factory Holding Corp.*

    362,940  
2,381  

Gentherm, Inc.*

    192,694  
17,140  

Goodyear Tire & Rubber Co. (The)*

    303,378  
1,306  

LCI Industries

    175,827  
5,052  

Modine Manufacturing Co.*

    57,239  
1,911  

Motorcar Parts of America, Inc.*

    37,265  
2,091  

Standard Motor Products, Inc.

    91,398  
2,242  

Stoneridge, Inc.*

    45,714  
1,139  

Tenneco, Inc.*

    16,254  
472  

Veoneer, Inc.*^

    16,076  
2,113  

Visteon Corp.*

    199,446  
   

 

 

 

      2,195,657  
   

 

 

 

Automobiles (0.2%):

 

3,678   Harley-Davidson, Inc.     134,652  
140   Thor Industries, Inc.     17,186  
1,823   Winnebago Industries, Inc.     132,076  
   

 

 

 

      283,914  
   

 

 

 

Banks (11.5%):

 

1,584   1st Constitution Bancorp     37,493  
1,859   1st Source Corp.     87,819  
410   ACNB Corp.     11,480  
Shares                            Value        

Common Stocks, continued

 

Banks, continued

 

880  

Allegiance Bancshares, Inc.

  $ 33,572  
1,452  

Altabancorp

    64,120  
939  

American National Bankshares, Inc.

    31,025  
4,025  

Ameris Bancorp

    208,817  
1,149  

Ames National Corp.

    26,726  
1,609  

Arrow Financial Corp.

    55,285  
7,940  

Associated Banc-Corp.

    170,075  
1,465  

Atlantic Capital Bancshares, Inc.*

    38,808  
4,025  

Atlantic Union Bankshares Corp.

    148,321  
13  

Auburn National Bancorp, Inc.

    442  
3,062  

Banc of California, Inc.

    56,616  
2,288  

BancFirst Corp.

    137,555  
4,548  

Bancorp, Inc. (The)*

    115,747  
6,784  

BancorpSouth Bank

    202,028  
2,653  

Bank of Commerce Holdings

    40,246  
2,229  

Bank of Hawaii Corp.

    183,157  
1,191  

Bank of Marin Bancorp

    44,960  
3,717  

Bank of Nt Butterfield & Son, Ltd. (The)

    131,991  
485  

Bank of South Carolina Corp.

    9,753  
6,791  

Bank OZK

    291,877  
5,871  

BankUnited, Inc.

    245,525  
1,789  

Banner Corp.

    98,771  
872  

Bar Harbor Bankshares

    24,460  
1,217  

Baycom Corp.*

    22,636  
595  

BCB Bancorp, Inc.

    8,782  
3,434  

Berkshire Hills Bancorp, Inc.

    92,649  
2,278  

BOK Financial Corp.

    203,995  
4,406  

Brookline Bancorp, Inc.

    67,236  
1,666  

Bryn Mawr Bank Corp.

    76,553  
667  

Business First Bancshares, Inc.

    15,601  
2,546  

Byline BanCorp, Inc.

    62,530  
227  

C&F Financial Corp.

    12,056  
7,417  

Cadence Bancorp

    162,877  
436  

Cambridge Bancorp

    38,368  
1,359  

Camden National Corp.

    65,096  
1,471  

Capital City Bank Group, Inc.

    36,393  
4,300  

Cathay General Bancorp

    177,977  
1,646  

CBTX, Inc.

    43,421  
2,313  

Central Pacific Financial Corp.

    59,398  
1,141  

Central Valley Community Bancorp

    24,532  
668  

Chemung Financial Corp.

    30,260  
6,348  

CIT Group, Inc.

    329,779  
1,509  

Citizens & Northern Corp.

    38,117  
718  

Citizens Holding Co.

    13,419  
798  

City Holding Co.

    62,172  
822  

Civista Bancshares, Inc.

    19,095  
1,205  

CNB Financial Corp.

    29,330  
85  

Codorus Valley Bancorp, Inc.

    1,916  
56  

Colony Bankcorp, Inc.

    1,049  
3,942  

Columbia Banking System, Inc.

    149,757  
2,562  

Community Bank System, Inc.

    175,292  
3,296  

Community Bankers Trust Corp.

    37,476  
1,343  

Community Trust Bancorp, Inc.

    56,540  
525  

Community West Bancshares

    6,956  
2,115  

ConnectOne Bancorp, Inc.

    63,471  
2,253  

CrossFirst Bankshares, Inc.*

    29,289  
361  

Cullen/Frost Bankers, Inc.

    42,822  
2,541  

Customers Bancorp, Inc.

    109,314  
7,400  

CVB Financial Corp.

    150,738  
2,920  

Dime Community Bancshares, Inc.

    95,367  
609  

Eagle Bancorp Montana, Inc.

    13,623  
2,205  

Eagle Bancorp, Inc.

    126,788  
2,149  

Enterprise Financial Services Corp.

    97,307  
924  

Equity Bancshares, Inc.

    30,843  
534  

Evans Bancorp, Inc.

    20,452  
16,842  

F.N.B. Corp.

    195,704  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Small Cap Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                            Value        

Common Stocks, continued

 

Banks, continued

 

2,582  

Farmers National Banc Corp.

  $ 40,563  
2,391  

FB Financial Corp.

    102,526  
1,568  

Financial Institutions, Inc.

    48,059  
11,810  

First Bancorp

    155,302  
1,491  

First Bancorp, Inc.

    43,448  
1,552  

First Bancorp/Southern Pines NC

    66,752  
1,053  

First Bancshares, Inc. (The)

    40,835  
2,776  

First Busey Corp.

    68,373  
940  

First Business Financial Services, Inc.

    26,987  
66  

First Citizens BancShares, Inc.,

Class A

    55,649  
5,511  

First Commonwealth Financial Corp.

    75,115  
1,099  

First Community Bankshares

    34,860  
4,894  

First Financial Bancorp

    114,569  
4,420  

First Financial Bankshares, Inc.

    203,099  
812  

First Financial Corp.

    34,145  
1,717  

First Financial Northwest, Inc.

    28,107  
3,058  

First Foundation, Inc.

    80,425  
6,483  

First Hawaiian, Inc.

    190,276  
1,349  

First Horizon Corp.

    21,975  
402  

First Internet BanCorp

    12,534  
2,302  

First Interstate BancSystem, Class A

    92,679  
3,084  

First Merchants Corp.

    129,035  
720  

First Mid Bancshares, Inc.

    29,563  
6,306  

First Midwest Bancorp, Inc.

    119,877  
1,367  

First of Long Island Corp. (The)

    28,160  
84  

First Savings Financial Group

    2,362  
234  

First United Corp.

    4,352  
908  

First US Bancshares, Inc.

    9,752  
2,675  

Flushing Financial Corp.

    60,455  
8,311  

Fulton Financial Corp.

    126,992  
1,937  

German American Bancorp, Inc.

    74,826  
5,861  

Glacier Bancorp, Inc.

    324,406  
1,038  

Great Southern Bancorp, Inc.

    56,893  
3,789  

Great Western Bancorp, Inc.

    124,052  
440  

Guaranty Bancshares, Inc.

    15,774  
5,034  

Hancock Whitney Corp.

    237,202  
2,483  

Hanmi Financial Corp.

    49,809  
3,865  

HarborOne BanCorp, Inc.

    54,265  
43  

Hawthorn Bancshares, Inc.

    996  
2,024  

Heartland Financial USA, Inc.

    97,314  
2,978  

Heritage Financial Corp.

    75,939  
4,406  

Hertiage Commerce Corp.

    51,242  
4,502  

Hilltop Holdings, Inc.

    147,080  
9,825  

Home Bancshares, Inc.

    231,182  
1,139  

Hometrust Bancshares, Inc.

    31,869  
6,862  

Hope BanCorp, Inc.

    99,087  
3,456  

Horizon Bancorp

    62,796  
1,742  

Independent Bank Corp.

    132,653  
2,159  

Independent Bank Group, Inc.

    153,375  
3,151  

International Bancshares Corp.

    131,208  
12,986  

Investors Bancorp, Inc.

    196,218  
3,767  

Lakeland Bancorp, Inc.

    66,412  
1,694  

Lakeland Financial Corp.

    120,681  
905  

Landmark Bancorp, Inc.

    25,059  
1,512  

LCNB Corp.

    26,672  
2,612  

Live Oak Bancshares, Inc.

    166,202  
5,225  

Macatawa Bank Corp.

    41,957  
1,659  

Mercantile Bank Corp.

    53,138  
200  

Metropolitan Bank Holding Corp.*

    16,860  
1,651  

Midland States BanCorp, Inc.

    40,829  
1,041  

MidWestone Financial Group, Inc.

    31,397  
2,052  

National Bank Holdings Corp.

    83,065  
769  

National Bankshares, Inc.

    27,922  
2,591  

NBT Bancorp, Inc.

    93,587  
974  

Nicolet Bankshares, Inc.*

    72,251  
Shares                            Value        

Common Stocks, continued

 

Banks, continued

 

1,136  

Northeast Bank

  $ 38,306  
657  

Northrim Bancorp, Inc.

    27,929  
609  

Norwood Financial Corp.

    15,657  
2,428  

OFG Bancorp

    61,234  
183  

Ohio Valley Banc Corp.

    4,992  
9,092  

Old National Bancorp

    154,109  
1,004  

Old Point Financial Corp.

    21,526  
3,314  

Old Second Bancorp, Inc.

    43,281  
1,182  

Origin Bancorp, Inc.

    50,058  
1,765  

Orrstown Financial Services, Inc.

    41,301  
1,718  

Pacific Mercantile Bancorp*

    15,823  
5,097  

Pacific Premier Bancorp, Inc.

    211,220  
7,085  

PacWest Bancorp

    321,092  
534  

Park National Corp.

    65,121  
1,636  

Parke Bancorp, Inc.

    35,878  
1,540  

Peapack-Gladstone Financial Corp.

    51,374  
1,452  

Penns Woods Bancorp, Inc.

    34,500  
434  

Peoples Bancorp of NC

    12,321  
2,085  

Peoples Bancorp, Inc.

    65,907  
3,628  

People’s United Financial, Inc.

    63,381  
2,133  

Pinnacle Financial Partners, Inc.

    200,673  
3,166  

Popular, Inc.

    245,903  
1,177  

Preferred Bank Los Angeles

    78,482  
2,309  

Primis Financial Corp.

    33,388  
474  

Prosperity Bancshares, Inc.

    33,716  
1,118  

QCR Holdings, Inc.

    57,510  
351  

Rbb BanCorp

    8,849  
2,844  

Renasant Corp.

    102,526  
1,482  

Republic Bancorp, Inc., Class A

    75,063  
6,466  

Republic First Bancorp, Inc.*

    19,915  
2,122  

S & T Bancorp, Inc.

    62,535  
320  

Salisbury Bancorp, Inc.

    16,800  
2,577  

Sandy Spring Bancorp, Inc.

    118,078  
552  

SB Financial Group, Inc.

    9,991  
3,087  

Seacoast Banking Corp of Florida

    104,371  
1,252  

Select Bancorp, Inc.*

    21,597  
3,948  

ServisFirst Bancshares, Inc.

    307,154  
1,022  

Shore Bancshares, Inc.

    18,120  
1,946  

Sierra Bancorp

    47,249  
6,333  

Simmons First National Corp., Class A

    187,204  
562  

Southern First Bancshares, Inc.*

    30,067  
1,502  

Southside Bancshares, Inc.

    57,512  
3,064  

SouthState Corp.

    228,789  
1,629  

Spirit of Texas Bancshares, Inc.

    39,422  
10,503  

Sterling Bancorp

    262,155  
1,444  

Stock Yards Bancorp, Inc.

    84,691  
682  

Summit Financial Group, Inc.

    16,716  
1,203  

Summit State Bank

    23,819  
4,275  

Synovus Financial Corp.

    187,630  
2,562  

Texas Capital Bancshares, Inc.*

    153,771  
1,140  

Tompkins Financial Corp.

    92,237  
4,066  

TowneBank

    126,493  
1,824  

TriCo Bancshares

    79,162  
2,571  

Tristate Capital Holdings, Inc.*

    54,377  
1,894  

Triumph BanCorp, Inc.*

    189,646  
3,236  

Trustmark Corp.

    104,264  
2,867  

UMB Financial Corp.

    277,268  
13,518  

Umpqua Holdings Corp.

    273,740  
249  

Union Bankshares, Inc.

    7,958  
450  

United Bancshares, Inc.

    13,725  
7,064  

United Bankshares, Inc.

    256,988  
4,792  

United Community Banks, Inc.

    157,273  
916  

United Security Bancshares

    7,328  
42  

Unity Bancorp, Inc.

    983  
1,651  

Univest Financial Corp.

    45,221  
24,217  

Valley National Bancorp

    322,328  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Small Cap Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                            Value        

Common Stocks, continued

 

Banks, continued

 

1,563  

Veritex Holdings, Inc.

  $ 61,520  
1,461  

Washington Trust Bancorp

    77,404  
4,657  

Webster Financial Corp.

    253,620  
3,853  

WesBanco, Inc.

    131,310  
1,569  

West Bancorp

    47,117  
1,592  

Westamerica Bancorp

    89,566  
3,352  

Wintrust Financial Corp.

    269,400  
   

 

 

 

      17,962,323  
   

 

 

 

Beverages (0.3%):

 

321  

Celsius Holdings, Inc.*

    28,919  
557  

Coca-Cola Consolidated, Inc.

    219,558  
1,140  

MGP Ingredients, Inc.

    74,214  
1,268  

National Beverage Corp.

    66,558  
3,800  

NewAge, Inc.*

    5,282  
985  

Willamette Valley Vineyards, Inc.*

    12,529  
   

 

 

 

      407,060  
   

 

 

 

Biotechnology (3.9%):

 

2,838  

Abeona Therapeutics, Inc.*

    3,179  
1,733  

AC Immune SA*

    11,628  
3,308  

Adverum Biotechnologies, Inc.*

    7,178  
3,984  

Aeglea BioTherapeutics, Inc.*

    31,673  
2,640  

Agios Pharmaceuticals, Inc.*

    121,836  
13,598  

Akebia Therapeutics, Inc.*

    39,162  
2,076  

Akero Therapeutics, Inc.*

    46,399  
1,262  

Albireo Pharma, Inc.*

    39,374  
9,015  

Alkermes plc*

    278,023  
2,131  

Allogene Therapeutics, Inc.*

    54,767  
2,056  

AnaptysBio, Inc.*

    55,759  
1,103  

Applied Genetic Technologies Corp.*

    3,320  
629  

Applied Therapeutics, Inc.*

    10,441  
3,961  

Arcutis Biotherapeutics, Inc.*

    94,628  
6,613  

Ardelyx, Inc.*^

    8,729  
3,297  

Arena Pharmaceuticals, Inc.*

    196,336  
4,656  

Atara Biotherapeutics, Inc.*

    83,342  
2,342  

Atreca, Inc., Class A*^

    14,591  
2,657  

Avid Bioservices, Inc.*

    57,312  
1,944  

Axcella Health, Inc.*

    5,793  
1,038  

Beyondspring, Inc.*^

    16,359  
926  

Bluebird Bio, Inc.*

    17,696  
587  

Blueprint Medicines Corp.*

    60,349  
4,360  

Calithera Biosciences, Inc.*

    9,505  
2,880  

Cara Therapeutics, Inc.*

    44,496  
1,034  

Caredx, Inc.*

    65,525  
1,421  

CASI Pharmaceuticals, Inc.*

    1,691  
1,053  

Catalyst Biosciences, Inc.*

    4,328  
5,557  

Catalyst Pharmaceuticals, Inc.*

    29,452  
488  

Celcuity, Inc.*

    8,784  
236  

ChemoCentryx, Inc.*

    4,036  
10,291  

Chimerix, Inc.*

    63,701  
2,139  

Chinook Therapeutics, Inc.*

    27,294  
3,561  

Concert Pharmaceuticals, Inc.*

    11,644  
1,425  

Crinetics Pharmaceuticals, Inc.*

    29,996  
1,634  

Cue Biopharma, Inc.*

    23,807  
2,539  

Cytomx Therapeutics, Inc.*

    12,924  
1,130  

Deciphera Pharmaceuticals, Inc.*

    38,397  
300  

Denali Therapeutics, Inc.*

    15,135  
1,115  

Eagle Pharmaceuticals, Inc.*

    62,195  
3,146  

Editas Medicine, Inc.*

    129,238  
1,660  

Eiger BioPharmaceuticals, Inc.*

    11,089  
2,263  

Emergent BioSolutions, Inc.*

    113,308  
1,500  

Enanta Pharmaceuticals, Inc.*

    85,215  
3,253  

Exelixis, Inc.*

    68,768  
1,575  

Fibrogen, Inc.*

    16,097  
2,705  

G1 Therapeutics, Inc.*^

    36,301  
1,199  

Global Blood Therapeutics, Inc.*

    30,551  
1,738  

Glycomimetics Industries*

    3,806  
Shares                            Value        

Common Stocks, continued

 

Biotechnology, continued

 

2,547  

Gritstone bio, Inc.*

  $ 27,508  
7,584  

Halozyme Therapeutics, Inc.*

    308,517  
1,570  

Harpoon Therapeutics, Inc.*

    12,403  
2,828  

Heron Therapeutics, Inc.*

    30,231  
592  

ImmuCell Corp.*

    5,470  
3,797  

ImmunoGen, Inc.*

    21,529  
3,325  

Infinity Pharmaceuticals, Inc.*

    11,372  
4,448  

Intellia Therapeutics, Inc.*

    596,699  
955  

Iovance Biotherapeutics, Inc.*

    23,550  
10,352  

Ironwood Pharmaceuticals, Inc.*

    135,197  
422  

iTeos Therapeutics, Inc.*

    11,394  
4,709  

IVERIC Bio, Inc.*

    76,474  
3,800  

Jounce Therapeutics, Inc.*

    28,234  
856  

KalVista Pharmaceuticals, Inc.*

    14,937  
1,550  

Karuna Therapeutics, Inc.*

    189,612  
514  

Kiniksa Pharmaceuticals, Ltd., Class A*

    5,854  
1,081  

Krystal Biotech, Inc.*

    56,439  
2,093  

Kura Oncology, Inc.*

    39,202  
4,768  

Lexicon Pharmaceuticals, Inc.*

    22,934  
830  

Ligand Pharmaceuticals, Inc.*

    115,636  
3,472  

Macrogenics, Inc.*

    72,704  
977  

Madrigal Pharmaceuticals, Inc.*

    77,955  
2,522  

Magenta Therapeutics, Inc.*

    18,360  
900  

MediciNova, Inc.*

    3,411  
2,101  

MeiraGTx Holdings plc*

    27,691  
1,843  

Mersana Therapeutics, Inc.*

    17,380  
1,300  

Minerva Neurosciences, Inc.*

    2,262  
711  

Molecular Templates, Inc.*

    4,771  
710  

Morphic Holding, Inc.*

    40,214  
5,691  

Myriad Genetics, Inc.*

    183,762  
1,223  

Oncocyte Corp.*

    4,354  
26,516  

OPKO Health, Inc.*

    96,783  
14,857  

PDL BioPharma, Inc.

    13,762  
2,098  

Protagonist Therapeutics, Inc.*

    37,177  
3,479  

Prothena Corp. plc*

    247,809  
2,449  

REGENXBIO, Inc.*

    102,662  
427  

Repare Therapeutics, Inc.*

    11,204  
1,686  

Replimune Group, Inc.*

    49,973  
1,106  

Rhythm Pharmaceuticals, Inc.*

    14,444  
9,636  

Rigel Pharmaceuticals, Inc.*

    34,979  
2,920  

Rocket Pharmaceuticals, Inc.*

    87,279  
2,335  

Sage Therapeutics, Inc.*

    103,464  
10,666  

Sangamo Therapeutics, Inc.*

    96,101  
374  

Scholar Rock Holding Corp.*

    12,349  
9,500  

Spectrum Pharmaceuticals, Inc.*

    20,710  
1,478  

Spero Therapeutics, Inc.*

    27,210  
1,098  

SpringWorks Therapeutics, Inc.*

    69,657  
1,866  

Surface Oncology, Inc.*

    14,126  
1,873  

Sutro Biopharma, Inc.*

    35,381  
1,000  

Syndax Pharmaceuticals, Inc.*

    19,110  
905  

Syros Pharmaceuticals, Inc.*

    4,045  
1,755  

TCR2 Therapeutics, Inc.*

    14,935  
2,757  

Travere Therapeutics, Inc.*

    66,857  
533  

Turning Point Therapeutics, Inc.*

    35,407  
491  

United Therapeutics Corp.*

    90,629  
3,525  

Vanda Pharmaceuticals, Inc.*

    60,419  
8,204  

Verastem, Inc.*

    25,268  
2,783  

Vericel Corp.*

    135,810  
4,488  

Viking Therapeutics, Inc.*

    28,185  
1,685  

Voyager Therapeutics, Inc.*

    4,432  
3,464  

Xencor, Inc.*

    113,134  
811  

Y-mAbs Therapeutics, Inc.*

    23,146  
   

 

 

 

      6,087,660  
   

 

 

 

Building Products (1.3%):

 

3,183  

AAON, Inc.

    207,977  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Small Cap Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                            Value        

Common Stocks, continued

 

Building Products, continued

 

854  

Advanced Drainage Systems, Inc.

  $ 92,377  
824  

American Woodmark Corp.*

    53,865  
2,007  

Apogee Enterprises, Inc.

    75,784  
3,226  

Armstrong Flooring, Inc.*

    10,097  
2,909  

Armstrong World Industries, Inc.

    277,722  
914  

AZEK Co., Inc. (The)*

    33,389  
3,446  

Cornerstone Building Brands, Inc.*

    50,346  
815  

Csw Industrials, Inc.

    104,076  
1,452  

Gibraltar Industries, Inc.*

    101,132  
1,043  

Griffon Corp.

    25,658  
1,762  

Insteel Industries, Inc.

    67,044  
3,941  

Jeld-Wen Holding, Inc.*

    98,643  
871  

Masonite International Corp.*

    92,439  
928  

Patrick Industries, Inc.

    77,302  
4,557  

PGT Innovations, Inc.*

    87,039  
2,436  

Quanex Building Products Corp.

    52,155  
3,705  

Resideo Technologies, Inc.*

    91,847  
2,222  

Simpson Manufacturing Co., Inc.

    237,687  
2,113  

UFP Industries, Inc.

    143,642  
   

 

 

 

      1,980,221  
   

 

 

 

Capital Markets (2.3%):

 

2,265  

Affiliated Managers Group, Inc.

    342,219  
3,854   Artisan Partners Asset Management, Inc., Class A     188,538  
866  

Assetmark Financial Holdings, Inc.*

    21,537  
16,135  

BGC Partners, Inc., Class A

    84,063  
1,300  

Blucora, Inc.*

    20,267  
5,040  

Brightsphere Investment Group, Inc.

    131,695  
3,094  

Cohen & Steers, Inc.

    259,184  
300  

Cowen, Inc., Class A

    10,293  
239  

Diamond Hill Investment Group

    41,983  
2,638  

Donnelley Financial Solutions, Inc.*

    91,328  
4,076  

Federated Hermes, Inc., Class B

    132,470  
1,776  

GAMCO Investors, Inc., Class A

    46,851  
2,595  

Greenhill & Co., Inc.

    37,939  
1,753  

Hamilton Lane, Inc.

    148,690  
211  

Hennessy Advisors, Inc.

    2,030  
2,282  

Houlihan Lokey, Inc.

    210,172  
1,879  

Janus Henderson Group plc

    77,659  
6,326  

Lazard, Ltd., Class A

    289,731  
2,775  

Manning & Napier, Inc.

    25,336  
3,592  

Moelis & Co., Class A

    222,237  
1,441  

Oppenheimer Holdings, Class A

    65,263  
671  

Piper Jaffray Cos., Inc.

    92,907  
1,393  

PJT Partners, Inc.

    110,200  
2,624  

Pzena Investment Management, Inc.

    25,820  
3,824  

Safeguard Scientifics, Inc.*

    33,957  
1,619   Silvercrest Asset Management Group, Inc., Class A     25,224  
4,304  

Stifel Financial Corp.

    292,500  
1,197  

StoneX Group, Inc.*

    78,882  
207  

Value Line, Inc.

    7,092  
5,549  

Virtu Financial, Inc., Class A

    135,562  
645  

Virtus Investment Partners, Inc.

    200,156  
1,478  

Westwood Holdings, Inc.

    28,082  
10,429  

WisdomTree Investments, Inc.

    59,132  
   

 

 

 

      3,538,999  
   

 

 

 

Chemicals (3.2%):

 

1,064  

Advanced Emmissions Solutions*

    6,799  
2,739  

AdvanSix, Inc.*

    108,875  
1,429  

Agrofresh Solutions, Inc.*

    3,087  
2,805  

American Vanguard Corp.

    42,215  
2,989  

Ashland Global Holdings, Inc.

    266,380  
4,531  

Avient Corp.

    210,012  
2,017  

Balchem Corp.

    292,606  
2,535  

Cabot Corp.

    127,054  
Shares                            Value        

Common Stocks, continued

 

Chemicals, continued

 

639  

Chase Corp.

  $ 65,274  
8,006  

Chemours Co. (The)

    232,654  
1,403  

Core Molding Technologies, Inc.*

    16,149  
6,378  

Ecovyst, Inc.

    74,367  
15,410  

Element Solutions, Inc.

    334,089  
4,923  

Ferro Corp.*

    100,134  
2,318  

Flotek Industries, Inc.*

    2,921  
3,777  

Futurefuel Corp.

    26,930  
3,684  

GCP Applied Technologies, Inc.*

    80,753  
3,215  

H.B. Fuller Co.

    207,560  
1,565  

Hawkins, Inc.

    54,587  
2,520  

Huntsman Corp.

    74,567  
1,866  

Ingevity Corp.*

    133,176  
1,362  

Innospec, Inc.

    114,708  
1,447  

Intrepid Potash, Inc.*

    44,712  
1,147  

Koppers Holdings, Inc.*

    35,855  
1,259  

Kraton Corp.*

    57,461  
5,083  

Kronos Worldwide, Inc.

    63,080  
9,357  

Livent Corp.*

    216,240  
4,373  

LSB Industries, Inc.*

    44,648  
2,613  

Minerals Technologies, Inc.

    182,492  
389  

NewMarket Corp.

    131,782  
1,786   Northern Technologies International Corp.     27,237  
6,319  

Olin Corp.

    304,892  
655  

Orion Engineered Carbons SA*

    11,941  
241  

Quaker Chemical Corp.

    57,291  
5,893  

Rayonier Advanced Materials, Inc.*

    44,197  
2,468  

Sensient Technologies Corp.

    224,785  
1,483  

Stepan Co.

    167,490  
3,421  

Trecora Resources*

    27,984  
2,589  

Tredegar Corp.

    31,534  
2,135  

Trinseo SA

    115,247  
10,917  

Tronox Holdings plc, Class A

    269,104  
9,070  

Valvoline, Inc.

    282,803  
8,372  

Venator Materials plc*

    23,860  
   

 

 

 

      4,939,532  
   

 

 

 

Commercial Services & Supplies (2.2%):

 

4,166  

ABM Industries, Inc.

    187,512  
8,670  

ACCO Brands Corp.

    74,475  
675  

Acme United Corp.

    22,099  
1,342  

ADT, Inc.

    10,857  
1,580  

AMREP Corp.*

    24,806  
3,207  

Brady Corp., Class A

    162,595  
3,882  

BrightView Holdings, Inc.*

    57,298  
3,288  

Brink’s Co. (The)

    208,130  
3,082  

Casella Waste Systems, Inc.*

    234,047  
4,565  

CECO Environmental Corp.*

    32,138  
1,426  

Cimpress plc*

    123,820  
436  

Civeo Corp.*

    9,806  
2,550  

Clean Harbors, Inc.*

    264,868  
325  

CompX International, Inc.

    6,753  
7,989  

Covanta Holding Corp.

    160,739  
1,356  

Deluxe Corp.

    48,667  
2,494  

Ennis, Inc.

    47,012  
3,751  

Healthcare Services Group, Inc.

    93,737  
500  

Heritage-Crystal Clean, Inc.*

    14,490  
4,841  

Herman Miller, Inc.

    182,312  
2,378  

HNI Corp.

    87,320  
4,634  

Interface, Inc.

    70,205  
3,764  

KAR Auction Services, Inc.*

    61,692  
2,673  

Kimball International, Inc., Class B

    29,938  
2,508  

Matthews International Corp., Class A

    87,002  
1,662  

McGrath Rentcorp

    119,581  
276  

MSA Safety, Inc.

    40,213  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Small Cap Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                            Value        

Common Stocks, continued

 

Commercial Services & Supplies, continued

 

2,566  

NL Industries, Inc.

  $ 14,780  
2,198   Perma-Fix Environmental Services, Inc.*     14,617  
12,465  

Pitney Bowes, Inc.

    89,873  
5,379  

Quad Graphics, Inc.*

    22,861  
8,004  

RR Donnelley & Sons Co.*

    41,141  
1,749  

SP Plus Corp.*

    53,642  
4,831  

Steelcase, Inc., Class A

    61,257  
892  

Stericycle, Inc.*

    60,629  
4,115  

Team, Inc.*

    12,386  
765  

Tetra Tech, Inc.

    114,245  
895  

UniFirst Corp.

    190,295  
3,000  

US Ecology, Inc.*

    97,050  
981  

Viad Corp.*

    44,547  
2,566  

Vidler Water Resouces, Inc.*

    29,201  
3,364  

Virco Manufacturing Co.*

    11,606  
1,177  

Vse Corp.

    56,696  
   

 

 

 

      3,376,938  
   

 

 

 

Communications Equipment (1.0%):

 

3,614  

ADTRAN, Inc.

    67,799  
1,444  

Applied Optoelectronics, Inc.*^

    10,368  
900  

BK Technologies Corp.

    2,543  
3,195  

CalAmp Corp.*

    31,790  
4,175  

Calix, Inc.*

    206,370  
3,508  

Casa Systems, Inc.*

    23,784  
980  

Clearfield, Inc.*

    43,267  
3,616  

ClearOne, Inc.*

    8,534  
1,300  

CommScope Holding Co., Inc.*

    17,667  
316  

Communications Systems, Inc.*^

    2,733  
1,983  

Comtech Telecommunications Corp.

    50,785  
2,559  

Digi International, Inc.*

    53,790  
1,222  

DZS, Inc.*

    14,982  
2,230  

EchoStar Corp., Class A*

    56,887  
6,028  

EMCORE Corp.*

    45,089  
6,919  

Harmonic, Inc.*

    60,541  
9,258  

Infinera Corp.*

    77,027  
1,650  

InterDigital, Inc.

    111,903  
2,325  

KVH Industries, Inc.*

    22,390  
1,308  

Lumentum Holdings, Inc.*

    109,270  
1,769  

NETGEAR, Inc.*

    56,449  
4,188  

NetScout Systems, Inc.*

    112,867  
2,391  

Network-1 Technologies, Inc.

    7,093  
131  

Optical Cable Corp.*

    487  
7,260  

Ribbon Communications, Inc.*

    43,415  
3,617  

ViaSat, Inc.*

    199,188  
9,904  

Viavi Solutions, Inc.*

    155,889  
   

 

 

 

      1,592,907  
   

 

 

 

Construction & Engineering (1.5%):

 

2,549  

Ameresco, Inc., Class A*

    148,938  
9,427  

API Group Corp.*(a)

    191,839  
2,736  

Arcosa, Inc.

    137,265  
952  

Argan, Inc.

    41,574  
1,799  

Comfort Systems USA, Inc.

    128,305  
999  

Construction Partners, Inc., Class A*

    33,337  
1,242  

Dycom Industries, Inc.*

    88,480  
1,063  

EMCOR Group, Inc.

    122,649  
2,547  

Granite Construction, Inc.

    100,734  
4,498  

Great Lakes Dredge & Dock Co.*

    67,875  
1,979  

IES Holdings, Inc.*

    90,421  
3,105  

MasTec, Inc.*

    267,899  
1,083  

MYR Group, Inc.*

    107,758  
1,479  

Northwest Pipe Co.*

    35,052  
949  

NV5 Global, Inc.*

    93,543  
5,203  

Orion Group Holdings, Inc.*

    28,304  
1,563  

Primoris Services Corp.

    38,278  
2,151  

Sterling Construction Co., Inc.*

    48,763  
Shares                            Value        

Common Stocks, continued

 

Construction & Engineering, continued

 

2,090  

Tutor Perini Corp.*

  $ 27,128  
1,316  

Valmont Industries, Inc.

    309,418  
8,069  

WillScot Mobile Mini Holdings Corp.*

    255,949  
   

 

 

 

      2,363,509  
   

 

 

 

Construction Materials (0.3%):

 

1,908  

Eagle Materials, Inc., Class A

    250,253  
1,261  

Forterra, Inc.*

    29,709  
5,455  

Summit Materials, Inc., Class A*

    174,397  
466  

U.S. Lime & Minerals, Inc.

    56,293  
   

 

 

 

      510,652  
   

 

 

 

Consumer Finance (1.2%):

 

2,006  

Atlanticus Holdings Corp.*

    106,438  
5,088  

Consumer Portfolio Services, Inc.*

    29,765  
3,041  

Curo Group Holdings Corp.

    52,700  
1,249  

Encore Capital Group, Inc.*

    61,538  
1,566  

Enova International, Inc.*

    54,105  
5,775  

EZCORP, Inc., Class A*

    43,717  
2,530  

Firstcash, Inc.

    221,375  
2,615  

Green Dot Corp., Class A*

    131,613  
5,920  

LendingClub Corp.*

    167,181  
6,374  

Navient Corp.

    125,759  
1,807  

Nelnet, Inc., Class A

    143,187  
1,556  

Nicholas Financial, Inc.*

    19,139  
3,211  

PRA Group, Inc.*

    135,311  
4,357  

PROG Holdings, Inc.*

    183,038  
1,376  

Regional Mgmt Corp.

    80,056  
11,202  

SLM Corp.

    197,155  
638  

World Acceptance Corp.*

    120,952  
   

 

 

 

      1,873,029  
   

 

 

 

Containers & Packaging (0.5%):

 

13,394  

Graphic Packaging Holding Co.

    255,022  
1,645  

Greif, Inc., Class A

    106,267  
874  

Greif, Inc., Class B

    56,635  
2,948  

Myers Industries, Inc.

    57,692  
7,172  

O-I Glass, Inc.*

    102,344  
613  

Ranpak Holdings Corp.*

    16,441  
4,885  

Silgan Holdings, Inc.

    187,389  
671  

UFP Technologies, Inc.*

    41,327  
   

 

 

 

      823,117  
   

 

 

 

Distributors (0.0%):

 

12  

AMCON Distributing Co.

    1,788  
1,626  

Educational Development Corp.

    15,854  
978  

Funko, Inc., Class A*

    17,809  
1,655  

Weyco Group, Inc.

    37,502  
   

 

 

 

      72,953  
   

 

 

 

Diversified Consumer Services (1.0%):

 

2,578  

Adtalem Global Education, Inc.*

    97,474  
1,366  

American Public Education, Inc.*

    34,983  
1,743  

Carriage Services, Inc.

    77,720  
4,869  

Frontdoor, Inc.*

    204,011  
201  

Graham Holdings Co., Class B

    118,421  
2,644  

Grand Canyon Education, Inc.*

    232,566  
8,298  

H&R Block, Inc.

    207,450  
11,941  

Houghton Mifflin Harcourt Co.*

    160,368  
2,311  

Laureate Education, Inc.*

    39,264  
2,747  

OneSpaWorld Holdings, Ltd.*

    27,388  
4,264  

Perdoceo Education Corp.*

    45,028  
2,561  

Regis Corp.*

    8,912  
1,432  

Strategic Education, Inc.

    100,956  
2,869  

Stride, Inc.*

    103,112  
451  

Terminix Global Holdings, Inc.*

    18,793  
5,156  

Universal Technical Institute, Inc.*

    34,855  
2,647  

WW International, Inc.*

    48,308  
3,362  

Zovio, Inc.*

    8,035  
   

 

 

 

      1,567,644  
   

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Small Cap Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                            Value        

Common Stocks, continued

 

Diversified Financial Services (0.1%):

 

500   Alerus Financial Corp.   $ 14,940  
646   A-Mark Precious Metals, Inc.     38,773  
3,167   Cannae Holdings, Inc.*     98,526  
6,056   First Eagle Private Credit LLC*     615  
424   Jefferies Financial Group, Inc.     15,743  
1,617   Marlin Business Services, Inc.     35,946  
   

 

 

 

      204,543  
   

 

 

 

Diversified Telecommunication Services (0.5%):

 

1,146   Anterix, Inc.*     69,562  
879   ATN International, Inc.     41,181  
2,189   Cogent Communications Holdings, Inc.     155,069  
5,491   Consolidated Communications Holdings, Inc.*     50,462  
3,588   IDT Corp.*     150,517  
6,647   Iridium Communications, Inc.*     264,883  
5,538   Vonage Holdings Corp.*     89,272  
   

 

 

 

      820,946  
   

 

 

 

Electric Utilities (0.8%):

 

1,005   ALLETE, Inc.     59,818  
3,043   Genie Energy, Ltd., Class B     19,871  
5,125   Hawaiian Electric Industries, Inc.     209,254  
817   IDACORP, Inc.     84,461  
2,301   MGE Energy, Inc.     169,124  
3,078   Otter Tail Corp.     172,276  
6,951   PNM Resources, Inc.     343,935  
2,371   Portland General Electric Co.     111,413  
   

 

 

 

      1,170,152  
   

 

 

 

Electrical Equipment (1.1%):

 

1,646   Acuity Brands, Inc.     285,367  
1,513   Allied Motion Technologies, Inc.     47,327  
3,364   American Superconductor Corp.*     49,047  
634   Atkore, Inc.*     55,107  
1,354   AZZ, Inc.     72,033  
1,427   Encore Wire Corp.     135,322  
2,929   EnerSys     218,035  
411   Espey Manufacturing & Electronics Corp.     5,980  
9,534   GrafTech International, Ltd.     98,391  
2,834   LSI Industries, Inc.     21,964  
5,549   nVent Electric plc     179,399  
569   Powell Industries, Inc.     13,980  
690   Preformed Line Products Co.     44,878  
1,663   Regal-Beloit Corp.     250,015  
75   Servotronics, Inc.*     871  
2,714   Thermon Group Holdings, Inc.*     46,979  
3,104   Ultralife Corp.*     21,945  
1,134   Vicor Corp.*     152,138  
   

 

 

 

      1,698,778  
   

 

 

 

Electronic Equipment, Instruments & Components (2.7%):

 

6,544   Arlo Technologies, Inc.*     41,947  
5,149   Avnet, Inc.     190,359  
1,818   Badger Meter, Inc.     183,873  
254   Bel Fuse, Inc., Class A     3,650  
1,595   Bel Fuse, Inc., Class B     19,826  
3,057   Belden, Inc.     178,101  
896   Benchmark Electronics, Inc.     23,932  
543   Coherent, Inc.*     135,799  
1,611   CTS Corp.     49,796  
6,442   Daktronics, Inc.*     34,980  
1,365   Data I/O Corp.*     8,886  
331   ePlus, Inc.*     33,964  
2,671   Fabrinet*     273,804  
1,055   FARO Technologies, Inc.*     69,430  
Shares                            Value        

Common Stocks, continued

 

Electronic Equipment, Instruments & Components, continued

 

640   Frequency Electronics, Inc.*   $ 6,656  
646   IEC Electronics Corp.*     9,903  
1,932   II-VI, Inc.*     114,683  
2,261   Insight Enterprises, Inc.*     203,671  
2,532   Itron, Inc.*     191,495  
2,556   Kimball Electronics, Inc.*     65,868  
4,627   Knowles Corp.*     86,710  
746   Littlelfuse, Inc.     203,859  
1,600   Luna Innovations, Inc.*     15,200  
186   Mesa Laboratories, Inc.     56,239  
2,596   Methode Electronics, Inc., Class A     109,162  
1,643   Napco Security Technologies, Inc.*     70,780  
3,997   National Instruments Corp.     156,802  
2,576   Novanta, Inc.*     397,992  
1,320   OSI Systems, Inc.*     125,136  
1,214   PAR Technology Corp.*     74,673  
1,367   PC Connection, Inc.     60,189  
1,880   Plexus Corp.*     168,091  
965   Rogers Corp.*     179,953  
4,338   Sanmina Corp.*     167,187  
1,880   ScanSource, Inc.*     65,405  
1,748   SYNNEX Corp.     181,967  
5,308   TTM Technologies, Inc.*     66,722  
9,022   Vishay Intertechnology, Inc.     181,252  
999   Vishay Precision Group, Inc.*     34,735  
989   Wayside Technology Group, Inc.     26,673  
3,952   Wireless Telecom Group, Inc.*     8,181  
   

 

 

 

      4,277,531  
   

 

 

 

Energy Equipment & Services (1.1%):

 

7,188   Archrock, Inc.     59,301  
2,431   Aspen Aerogels, Inc.*     111,850  
412   Bristow Group, Inc.*     13,114  
2,978   Cactus, Inc., Class A     112,330  
4,868   ChampionX Corp.*     108,848  
2,103   Core Laboratories NV     58,358  
1,457   Dawson Geophysical Co.*     3,628  
2,539   Dril-Quip, Inc.*     63,932  
4,307   Exterran Corp.*     19,123  
16,167   Frank’s International NV*     47,531  
1,260   Geospace Technologies Corp.*     12,033  
2,641   Gulf Island Fabrication, Inc.*     10,485  
7,520   Helix Energy Solutions Group, Inc.*     29,178  
5,207   Helmerich & Payne, Inc.     142,724  
2,038   Liberty Oilfield Services, Inc., Class A*     24,721  
595   Mammoth Energy Services, Inc.*     1,731  
3,068   Matrix Service Co.*     32,091  
494   Nabors Industries, Ltd.*     47,661  
1,945   National Energy Services Reunited Corp.*     24,351  
1,299   Natural Gas Services Group*     13,484  
11,883   Newpark Resources, Inc.*     39,214  
6,877   NexTier Oilfield Solutions, Inc.*     31,634  
9,464   NOV, Inc.*     124,073  
6,841   Oceaneering International, Inc.*     91,122  
3,039   Oil States International, Inc.*     19,419  
9,819   Patterson-UTI Energy, Inc.     88,371  
7,231   Propetro Holding Corp.*     62,548  
8,632   RPC, Inc.*     41,952  
1,598   SEACOR Marine Holdings, Inc.*     7,399  
4,229   Select Energy Services, Inc.*     21,949  
1,537   Solaris Oilfield Infrastructure, Inc.     12,819  
1,803   Technip Energies NV, ADR*     28,253  
15,066   TechnipFMC plc     113,447  
5,480   TETRA Technologies, Inc.*     17,098  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Small Cap Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                            Value        

Common Stocks, continued

 

Energy Equipment & Services, continued

 

1,075   Tidewater, Inc.*   $ 12,964  
20,620   Transocean, Ltd.*^     78,150  
5,730   U.S. Silica Holdings, Inc.*     45,783  
   

 

 

 

      1,772,669  
   

 

 

 

Entertainment (0.3%):

 

2,527   Ballantyne Strong, Inc.*     7,758  
4,904   Cinemark Holdings, Inc.*     94,206  
2,242   Eros STX Global Corp.*     2,062  
2,533   Imax Corp.*     48,076  
783   Liberty Media Corp.-Liberty Braves, Class A*     21,071  
1,825   Liberty Media Corp.-Liberty Braves, Class C*     48,216  
6,307   Lions Gate Entertainment Corp., Class A*     89,496  
7,603   Lions Gate Entertainment Corp., Class B*     98,839  
614   Madison Square Garden Entertainment Corp.*     44,619  
870   Marcus Corp.*^     15,182  
2,715   Reading International, Inc., Class A*     13,738  
951   World Wrestling Entertainment, Inc., Class A     53,503  
   

 

 

 

      536,766  
   

 

 

 

Equity Real Estate Investment Trusts (0.0%):

 

1,776   Brookfield Renewable Corp., Class A^     68,927  
   

 

 

 

Food & Staples Retailing (0.9%):

 

6,291   BJ’s Wholesale Club Holdings, Inc.*     345,502  
2,742   Grocery Outlet Holding Corp.*     59,145  
661   Ingles Markets, Inc., Class A     43,646  
2,814   Natural Grocers by Vitamin Cottage, Inc.     31,573  
1,220   Performance Food Group Co.*     56,681  
2,026   PriceSmart, Inc.     157,116  
1,602   Rite Aid Corp.*     22,748  
2,176   SpartanNash Co.     47,654  
4,696   Sprouts Farmers Market, Inc.*     108,806  
2,872   The Andersons, Inc.     88,544  
2,406   The Chefs’ Warehouse, Inc.*     78,364  
3,444   United Natural Foods, Inc.*     166,759  
1,419   Village Super Market, Inc., Class A     30,764  
2,268   Weis Markets, Inc.     119,183  
   

 

 

 

      1,356,485  
   

 

 

 

Food Products (1.6%):

 

444   Alico, Inc.     15,203  
2,325   B&G Foods, Inc.^     69,494  
1,273   Calavo Growers, Inc.     48,679  
2,146   Cal-Maine Foods, Inc.     77,599  
1,318   Coffee Holding Co., Inc.*     5,997  
5,683   Darling Ingredients, Inc.*     408,608  
2,411   Farmer Brothers Co.*     20,276  
5,876   Flowers Foods, Inc.     138,850  
2,300   Fresh Del Monte Produce, Inc.     74,106  
3,206   Hain Celestial Group, Inc. (The)*     137,153  
6,361   Hostess Brands, Inc.*     110,491  
1,040   J & J Snack Foods Corp.     158,933  
519   John B Sanfilippo And Son, Inc.     42,413  
1,792   Lancaster Colony Corp.     302,507  
2,754   Landec Corp.*     25,392  
2,175   Limoneira Co.     35,170  
397   Pilgrim’s Pride Corp.*     11,545  
105   Post Holdings, Inc.*     11,567  
1,220   Rocky Mountain Chocolate Factory, Inc.*     9,028  
Shares                            Value        

Common Stocks, continued

 

Food Products, continued

 

1,074  

Sanderson Farms, Inc.

  $ 202,127  
46  

Seaboard Corp.

    188,599  
708  

Seneca Foods Corp., Class A*

    34,140  
12  

Seneca Foods Corp., Class B*

    595  
4,807  

Simply Good Foods Co. (The)*

    165,793  
2,229  

Tootsie Roll Industries, Inc.

    67,828  
1,779  

TreeHouse Foods, Inc.*

    70,946  
   

 

 

 

      2,433,039  
   

 

 

 

Gas Utilities (0.8%):

 

1,204  

Chesapeake Utilities Corp.

    144,540  
1,610  

National Fuel Gas Co.

    84,557  
5,705  

New Jersey Resources Corp.

    198,591  
2,176  

Northwest Natural Holding Co.

    100,074  
2,605  

ONE Gas, Inc.

    165,079  
873  

RGC Resources, Inc.

    19,774  
6,748  

South Jersey Industries, Inc.

    143,463  
2,172  

Southwest Gas Holdings, Inc.

    145,263  
3,307  

Spire, Inc.

    202,322  
   

 

 

 

      1,203,663  
   

 

 

 

Health Care Equipment & Supplies (3.3%):

 

6,691  

Accuray, Inc.*

    26,429  
848  

Alphatec Holdings, Inc.*

    10,337  
3,723  

AngioDynamics, Inc.*

    96,575  
1,309  

Anika Therapeutics, Inc.*

    55,711  
2,944  

Antares Pharma, Inc.*

    10,716  
2,193  

Apyx Medical Corp.*

    30,373  
2,715  

AtriCure, Inc.*

    188,828  
126  

Atrion Corp.

    87,885  
3,108  

Avanos Medical, Inc.*

    96,970  
2,841  

Axogen, Inc.*

    44,888  
2,250  

Axonics, Inc.*

    146,453  
3,014  

Cardiovascular Systems, Inc.*

    98,950  
1,799  

CONMED Corp.

    235,363  
2,615  

CryoLife, Inc.*

    58,288  
2,081  

CytoSorbents Corp.*

    16,898  
1,118  

Elctromed, Inc.*

    12,097  
7,453  

Envista Holdings Corp.*

    311,610  
427  

Fonar Corp.*

    6,601  
2,248  

Glaukos Corp.*

    108,286  
636  

Haemonetics Corp.*

    44,895  
682  

Heska Corp.*

    176,324  
1,271  

ICU Medical, Inc.*

    296,626  
1,790  

Inogen, Inc.*

    77,131  
1,695  

Integer Holdings Corp.*

    151,431  
4,506  

Integra LifeSciences Holdings Corp.*

    308,571  
199  

IntriCon Corp.*

    3,614  
4,509  

Invacare Corp.*

    21,463  
850  

iRadimed Corp.*

    28,552  
2,006  

IRIDEX Corp.*

    15,366  
249  

Kewaunee Scientific CP*

    3,292  
4,025  

Lantheus Holdings, Inc.*

    103,362  
1,847  

LeMaitre Vascular, Inc.

    98,057  
1,127  

LENSAR, Inc.*

    8,870  
2,980  

LivaNova plc*

    235,986  
3,167  

Meridian Bioscience, Inc.*

    60,933  
3,244  

Merit Medical Systems, Inc.*

    232,919  
2,205  

Natus Medical, Inc.*

    55,301  
5,637  

Neogen Corp.*

    244,815  
216  

Nevro Corp.*

    25,138  
2,946  

NuVasive, Inc.*

    176,318  
5,745  

OraSure Technologies, Inc.*

    64,976  
1,375  

Orthofix Medical, Inc.*

    52,415  
1,025  

Orthopediatrics Corp.*

    67,148  
1,381  

Quidel Corp.*

    194,928  
2,363  

SeaSpine Holdings Corp.*

    37,170  
200  

Shockwave Medical, Inc.*

    41,176  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Small Cap Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                            Value        

Common Stocks, continued

 

Health Care Equipment & Supplies, continued

 

1,010  

SI-BONE, Inc.*

  $ 21,634  
2,472  

STAAR Surgical Co.*

    317,726  
10,930  

Surgalign Holdings, Inc.*

    11,914  
879  

Surmodics, Inc.*

    48,872  
1,169  

Tactile Systems Technology, Inc.*

    51,962  
1,583  

TransMedics Group, Inc.*

    52,382  
554  

Utah Medical Products, Inc.

    51,433  
2,566  

Varex Imaging Corp.*

    72,361  
8,600  

ViewRay, Inc.*

    62,006  
686  

Zynex, Inc.*

    7,814  
   

 

 

 

      5,168,139  
   

 

 

 

Health Care Providers & Services (4.0%):

 

6,077  

Acadia Healthcare Co., Inc.*

    387,591  
932  

Addus HomeCare Corp.*

    74,327  
3,182  

AMN Healthcare Services, Inc.*

    365,135  
1,143  

Apollo Medical Holdings, Inc.*

    104,070  
12,191  

Brookdale Senior Living, Inc.*

    76,803  
9,422  

Community Health Systems, Inc.*

    110,237  
1,627  

CorVel Corp.*

    302,980  
8,309  

Covetrus, Inc.*

    150,725  
2,958  

Cross Country Healthcare, Inc.*

    62,828  
3,745  

Ensign Group, Inc. (The)

    280,463  
190  

Five Star Senior Living, Inc.*

    832  
2,033  

Hanger, Inc.*

    44,645  
4,724  

HealthEquity, Inc.*

    305,926  
1,999  

InfuSystems Holdings, Inc.*

    26,047  
1,543  

Joint Corp. (The)*

    151,245  
1,737  

LHC Group, Inc.*

    272,553  
1,640  

Magellan Health, Inc.*

    155,062  
6,017  

MEDNAX, Inc.*

    171,063  
624  

ModivCare, Inc.*

    113,331  
887  

National Healthcare Corp.

    62,072  
2,297  

National Research Corp.

    96,865  
9,359  

Option Care Health, Inc.*

    227,049  
5,522  

Owens & Minor, Inc.

    172,783  
6,106  

Patterson Cos., Inc.

    184,035  
1,785  

Petiq, Inc.*^

    44,571  
6,461  

Premier, Inc., Class A

    250,428  
4,936  

Progyny, Inc.*

    276,416  
1,080  

Psychemedics Corp.*

    9,180  
15,289  

R1 RCM, Inc.*

    336,511  
4,673  

RadNet, Inc.*

    136,966  
7,741  

Select Medical Holdings Corp.

    279,992  
4,611  

Surgery Partners, Inc.*

    195,230  
7,377  

Tenet Healthcare Corp.*

    490,128  
2,378  

The Pennant Group, Inc.*

    66,798  
1,778  

Tivity Health, Inc.*

    41,001  
1,995  

Triple-S Management Corp., Class B*

    70,563  
895  

U.S. Physical Therapy, Inc.

    98,987  
   

 

 

 

      6,195,438  
   

 

 

 

Health Care Technology (0.9%):

 

11,849  

Allscripts Healthcare Solutions, Inc.*

    158,421  
3,434  

Castlight Health, Inc., Class B*

    5,391  
1,296  

Change Healthcare, Inc.*

    27,138  
766  

Computer Programs & Systems, Inc.*

    27,162  
5,645  

Evolent Health, Inc., Class A*

    174,995  
2,021  

Health Catalyst, Inc.*

    101,070  
2,627  

HealthStream, Inc.*

    75,080  
1,239  

iCAD, Inc.*

    13,319  
5,440  

Inovalon Holdings, Inc., Class A*

    219,178  
4,954  

NextGen Healthcare, Inc.*

    69,851  
2,585  

Omnicell, Inc.*

    383,692  
445  

OptimizeRx Corp.*

    38,070  
2,790  

Vocera Communications, Inc.*

    127,671  
   

 

 

 

      1,421,038  
   

 

 

 

Shares                            Value        

Common Stocks, continued

 

Hotels, Restaurants & Leisure (2.5%):

 

866  

Bally’s Corp.*

  $ 43,421  
1,724  

BBQ Holdings, Inc.*

    26,015  
3  

Biglari Holdings, Inc., Class A*

    2,460  
168  

Biglari Holdings, Inc., Class B*

    28,864  
1,766  

BJ’s Restaurants, Inc.*

    73,748  
5,360  

Bloomin’ Brands, Inc.*

    134,000  
950  

Bluegreen Vacations Holding Corp.*

    24,510  
1,994  

Brinker International, Inc.*

    97,806  
4,497  

Carrols Restaurant Group, Inc.

    16,459  
2,820  

Cheesecake Factory, Inc. (The)*

    132,540  
1,583  

Choice Hotels International, Inc.

    200,044  
2,063  

Chuy’s Holdings, Inc.*

    65,046  
1,492  

Cracker Barrel Old Country Store, Inc.

    208,641  
2,809  

Dave & Buster’s Entertainment, Inc.*

    107,669  
2,980  

Del Taco Restaurants, Inc.

    26,015  
3,256  

Denny’s Corp.*

    53,203  
10,097  

Diamond Resorts International, Inc.*

    2,567  
3,712  

Dover Motorsports, Inc.

    8,983  
2,394  

El Pollo Loco Holdings, Inc.*

    40,459  
2,608  

Fiesta Restaurant Group, Inc.*

    28,584  
100  

Flanigan’s Enterprises, Inc.*

    2,668  
4,318  

Hilton Grand Vacations, Inc.*

    205,407  
5,547  

International Game Technology plc*

    145,997  
1,031  

Jack in the Box, Inc.

    100,347  
1,090  

Lindblad Expeditions Holdings, Inc.*

    15,903  
675  

Marriott Vacations Worldwide Corp.

    106,198  
597  

Nathans Famous, Inc.

    36,519  
1,669  

Noodles & Co.*

    19,694  
1,908  

Papa John’s International, Inc.

    242,297  
3,630  

Playa Hotels & Resorts NV*

    30,093  
1,540  

Playags, Inc.*

    12,135  
1,569  

Potbelly Corp.*

    10,638  
300  

RCI Hospitality Holdings, Inc.

    20,553  
1,368  

Red Robin Gourmet Burgers*

    31,546  
662  

Red Rock Resorts, Inc.*

    33,908  
2,239  

Ruth’s Hospitality Group, Inc.*

    46,370  
3,369  

Scientific Games Corp., Class A*

    279,863  
2,640  

SeaWorld Entertainment, Inc.*

    146,045  
1,613  

Shake Shack, Inc., Class A*

    126,556  
2,192  

Texas Roadhouse, Inc., Class A

    200,195  
3,865  

Travel + Leisure Co.

    210,758  
10,098  

Wendy’s Co. (The)

    218,925  
1,375  

Wingstop, Inc.

    225,404  
449  

Wyndham Hotels & Resorts, Inc.

    34,658  
   

 

 

 

      3,823,711  
   

 

 

 

Household Durables (2.2%):

 

608  

Bassett Furniture Industries, Inc.

    11,011  
738  

Beazer Homes USA, Inc.*

    12,730  
582  

Cavco Industries, Inc.*

    137,783  
2,019  

Century Communities, Inc.

    124,068  
2,480  

Ethan Allen Interiors, Inc.

    58,776  
820  

Flexsteel Industries, Inc.

    25,322  
1,624  

Green Brick Partners, Inc.*

    33,324  
1,441  

Helen of Troy, Ltd.*

    323,764  
670  

Hooker Furnishings Corp.

    18,083  
1,874  

Installed Building Products, Inc.

    200,799  
1,861  

iRobot Corp.*^

    146,088  
5,406  

KB Home

    210,402  
1,138  

Koss Corp.*

    18,606  
3,016  

La-Z-Boy, Inc.

    97,206  
2,486  

Leggett & Platt, Inc.

    111,472  
1,096  

LGI Homes, Inc.*

    155,533  
2,522  

Lifetime Brands, Inc.

    45,875  
3,483  

M/I Homes, Inc.*

    201,317  
4,565  

MDC Holdings, Inc.

    213,277  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Small Cap Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                            Value        

Common Stocks, continued

 

Household Durables, continued

 

1,818   Meritage Homes Corp.*   $ 176,346  
723   P & F Industries, Inc., Class A*     4,793  
2,534   Purple Innovation, Inc.*     53,265  
3,692   Skyline Champion Corp.*     221,742  
4,300   Sonos, Inc.*     139,148  
7,727   Taylor Morrison Home Corp., Class A*     199,202  
2,280   Tempur Sealy International, Inc.     105,815  
428   TopBuild Corp.*     87,659  
7,699   Tri Pointe Homes, Inc.*     161,833  
3,274   Tupperware Brands Corp.*     69,147  
600   Turtle Beach Corp.*     16,692  
1,143   Universal Electronics, Inc.*     56,293  
   

 

 

 

      3,437,371  
   

 

 

 

Household Products (0.5%):

 

636   Central Garden & Pet Co.*     30,528  
3,036   Central Garden & Pet Co., Class A*     130,548  
4,183   Energizer Holdings, Inc.     163,346  
1,767   Ocean Bio-Chem, Inc.     16,451  
640   Oil-Dri Corp of America     22,400  
1,701   Spectrum Brands Holdings, Inc.     162,735  
826   WD-40 Co.     191,202  
   

 

 

 

      717,210  
   

 

 

 

Independent Power and Renewable Electricity Producers (0.4%):

 

4,220   Atlantica Sustainable Infrastructure plc     145,632  
703   Clearway Energy, Inc., Class A     19,825  
2,596   Clearway Energy, Inc., Class C     78,581  
2,863   Ormat Technologies, Inc.^     190,705  
3,627   Sunnova Energy International, Inc.*     119,473  
   

 

 

 

      554,216  
   

 

 

 

Industrial Conglomerates (0.1%):

 

1,693   Raven Industries, Inc.*     97,534  
   

 

 

 

Insurance (3.1%):

 

2,802   AMBAC Financial Group, Inc.*     40,125  
3,895   American Equity Investment Life Holding Co.     115,175  
1,583   American National Group , Inc.     299,234  
1,428   Amerisafe, Inc.     80,196  
2,103   Argo Group International Holdings, Ltd.     109,819  
4,486   Assured Guaranty, Ltd.     209,990  
2,314   Axis Capital Holdings, Ltd.     106,537  
4,835   Brighthouse Financial, Inc.*     218,687  
5,374   Citizens, Inc.*     33,373  
3,445   Crawford & Co.     30,867  
2,876   Crawford & Co., Class A     25,798  
2,691   Donegal Group, Inc., Class A     38,993  
1,337   eHealth, Inc.*     54,149  
1,475   Employers Holdings, Inc.     58,248  
1,043   Enstar Group, Ltd.*     244,823  
2,111   FedNat Holding Co.     5,214  
10,826   Genworth Financial, Inc., Class A*     40,598  
1,050   Global Indemnity Group LLC, Class A     28,087  
3,055   Greenlight Capital Re, Ltd.*     22,576  
1,752   Hallmark Financial Services, Inc.*     6,395  
2,024   Hanover Insurance Group, Inc. (The)     262,351  
489   HCI Group, Inc.     54,167  
1,369   Heritage Insurance Holdings, Inc.     9,323  
2,432   Horace Mann Educators Corp.     96,769  
1,411   Independence Holding Co.     69,971  
253   Investors Title Co.     46,198  
1,855   James River Group Holdings     69,989  
Shares                            Value        

Common Stocks, continued

 

Insurance, continued

 

2,661   Kemper Corp.   $ 177,728  
1,473   Kingstone Co., Inc.     9,751  
714   Kinsale Capital Group, Inc.     115,454  
12,677   Maiden Holdings, Ltd.*     40,059  
2,856   Mercury General Corp.     158,994  
198   National Western Life Group, Inc., Class A     41,697  
929   NI Holdings, Inc.*     16,313  
1,205   Old Republic International Corp.     27,872  
1,464   Primerica, Inc.     224,914  
4,148   ProAssurance Corp.     98,639  
2,350   RLI Corp.     235,635  
1,234   Safety Insurance Group, Inc.     97,794  
2,998   Selective Insurance Group, Inc.     226,439  
6,247   SiriusPoint, Ltd.*     57,847  
3,755   State Auto Financial Corp.     191,317  
1,966   Stewart Information Services Corp.     124,369  
204   The National Security Group, Inc.     2,130  
2,849   Tiptree, Inc., Class A     28,547  
232   Trupanion, Inc.*     18,019  
2,000   United Fire Group, Inc.     46,200  
4,002   United Insurance Holdings Co.     14,527  
2,274   Universal Insurance Holdings, Inc.     29,653  
10,427   Unum Group     261,301  
184   White Mountains Insurance Group, Ltd.     196,808  
   

 

 

 

      4,819,659  
   

 

 

 

Interactive Media & Services (0.4%):

 

5,278   Cargurus, Inc.*     165,782  
4,413   Cars.com, Inc.*     55,825  
6,181   DHI Group, Inc.*     29,422  
3,238   QuinStreet, Inc.*     56,859  
1,095   Travelzoo, Inc.*     12,702  
3,646   TripAdvisor, Inc.*     123,417  
11,137   TrueCar, Inc.*     46,330  
3,909   Yelp, Inc.*     145,571  
1,473   Zedge, Inc., Class B*     19,679  
   

 

 

 

      655,587  
   

 

 

 

Internet & Direct Marketing Retail (0.5%):

 

1,021   1-800 Flowers.com, Inc., Class A*     31,151  
1,300   Lands’ End, Inc.*     30,602  
3,018   Liquidity Services, Inc.*     65,219  
1,724   PetMed Express, Inc.^     46,324  
3,615   Quotient Technology, Inc.*     21,039  
16,641   Qurate Retail, Inc., Class A     169,572  
2,899   Shutterstock, Inc.     328,514  
128   Stamps.com, Inc.*     42,213  
   

 

 

 

      734,634  
   

 

 

 

IT Services (2.5%):

 

2,157   Alliance Data Systems Corp.     217,620  
622   BM Technologies, Inc.*     5,536  
1,700   Brightcove, Inc.*     19,618  
403   CACI International, Inc., Class A*     105,626  
962   Cass Information Systems, Inc.     40,260  
852   Concentrix Corp.*     150,804  
9,103   Conduent, Inc.*     59,989  
1,673   CSG Systems International, Inc.     80,639  
758   CSP, Inc.*     6,739  
3,050   DXC Technology Co.*     102,510  
1,662   Euronet Worldwide, Inc.*     211,539  
4,623   Evertec, Inc.     211,364  
1,270   Evo Payments, Inc.*     30,074  
2,811   Exlservice Holdings, Inc.*     346,090  
1,053   Greensky, Inc.*     11,773  
4,964   GTT Communications, Inc.*     993  
2,654   Hackett Group, Inc. (The)     52,071  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Small Cap Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                            Value        

Common Stocks, continued

 

IT Services, continued

 

439   I3 Verticals, Inc.*   $ 10,628  
6,887   KBR, Inc.     271,348  
10,373   Limelight Networks, Inc.*     24,688  
3,634   LiveRamp Holdings, Inc.*     171,634  
1,558   ManTech International Corp., Class A     118,283  
2,575   MAXIMUS, Inc.     214,240  
862   Paysign, Inc.*     2,327  
2,404   Perficient, Inc.*     278,143  
3,168   PFSweb, Inc.*     40,867  
1,557   Science Applications International Corp.     133,217  
8,429   Servicesource International, Inc.*     11,379  
1,555   StarTek, Inc.*     8,568  
4,816   Switch, Inc., Class A     122,278  
6,624   Teradata Corp.*     379,886  
3,462   TTEC Holdings, Inc.     323,801  
4,235   Unisys Corp.*     106,468  
3,544   Verra Mobility Corp.*     53,408  
   

 

 

 

      3,924,408  
   

 

 

 

Leisure Products (0.6%):

 

4,501   Acushnet Holdings Corp.     210,197  
2,004   American Outdoor Brands, Inc.*     49,218  
5,416   Callaway Golf Co.*     149,644  
1,661   Clarus Corp.     42,571  
1,402   Escalade, Inc.     26,512  
723   Johnson Outdoors, Inc., Class A     76,493  
1,264   Malibu Boats, Inc.*     88,455  
2,419   Marine Products Corp.     30,262  
850   Mastercraft Boat Holdings, Inc.*     21,318  
3,780   Mattel, Inc.*     70,157  
2,293   Nautilus Group, Inc.*     21,348  
1,853   Smith & Wesson Brands, Inc.     38,468  
2,209   Vista Outdoor, Inc.*     89,045  
421   YETI Holdings, Inc.*     36,075  
   

 

 

 

      949,763  
   

 

 

 

Life Sciences Tools & Services (0.6%):

 

2,937   Codexis, Inc.*     68,315  
7,407   Enzo Biochem, Inc.*     26,221  
6,099   Fluidigm Corp.*^     40,192  
7,018   Harvard Bioscience, Inc.*     48,986  
447   Inotiv, Inc.*     13,070  
1,962   Medpace Holdings, Inc.*     371,367  
2,010   NanoString Technologies, Inc.*     96,500  
5,166   Neogenomics, Inc.*     249,208  
647   Personalis, Inc.*     12,448  
1,700   Quanterix Corp.*     84,643  
   

 

 

 

      1,010,950  
   

 

 

 

Machinery (5.1%):

 

858   Alamo Group, Inc.     119,717  
1,494   Albany International Corp., Class A     114,844  
6,280   Allison Transmission Holdings, Inc.     221,810  
1,910   Altra Industrial Motion Corp.     105,718  
806   Art’s-Way Manufacturing Co.*     2,926  
1,143   Astec Industries, Inc.     61,505  
2,869   Barnes Group, Inc.     119,723  
2,530   Blue Bird Corp.*     52,776  
2,461   Chart Industries, Inc.*     470,322  
1,959   CIRCOR International, Inc.*     64,667  
4,028   Colfax Corp.*     184,885  
1,556   Columbus McKinnon Corp.     75,233  
5,525   Commercial Vehicle Group, Inc.*     52,266  
2,638   Crane Co.     250,109  
1,256   DMC Global, Inc.*     46,359  
1,772   Douglas Dynamics, Inc.     64,324  
500   Eastern Co. (The)     12,580  
Shares                            Value        

Common Stocks, continued

 

Machinery, continued

 

3,670   Energy Recovery, Inc.*   $ 69,840  
3,354   Enerpac Tool Group Corp.     69,528  
1,044   EnPro Industries, Inc.     90,953  
1,258   ESCO Technologies, Inc.     96,866  
5,060   Evoqua Water Technologies Co.*     190,054  
3,747   Federal Signal Corp.     144,709  
5,909   Flowserve Corp.     204,865  
2,894   Franklin Electric Co., Inc.     231,086  
2,281   FreightCar America, Inc.*     10,333  
5,795   Gates Industrial Corp. plc*     94,285  
1,765   Gencor Industries, Inc.*     19,592  
2,094   Gorman-Rupp Co. (The)     74,986  
459   Graham Corp.     5,692  
6,069   Harsco Corp.*     102,870  
2,380   Helios Technologies, Inc.     195,422  
2,413   Hillenbrand, Inc.     102,914  
785   Hurco Cos, Inc.     25,324  
1,014   Hyster-Yale Materials Handling, Inc., Class A     50,964  
219   ITT, Inc.     18,799  
2,162   John Bean Technologies Corp.     303,869  
472   Kadant, Inc.     96,335  
3,498   Kennametal, Inc.     119,737  
1,529   L.B. Foster Co., Class A*     23,684  
238   Lincoln Electric Holdings, Inc.     30,652  
755   Lindsay Corp.     114,601  
1,597   Luxfer Holdings plc     31,349  
1,589   Lydall, Inc.*     98,661  
3,228   Manitex International, Inc.*     23,177  
2,653   Manitowoc Co., Inc. (The)*     56,827  
2,606   Meritor, Inc.*     55,534  
728   Miller Industries, Inc.     24,781  
3,522   Mueller Industries, Inc.     144,754  
9,487   Mueller Water Products, Inc., Class A     144,392  
3,562   NN, Inc.*     18,700  
738   Omega Flex, Inc.     105,305  
1,229   Park-Ohio Holdings Corp.     31,364  
1,599   Proto Labs, Inc.*     106,493  
1,387   RBC Bearings, Inc.*     294,321  
3,472   REV Group, Inc.     59,580  
6,630   Rexnord Corp.     426,243  
2,848   Shyft Group, Inc. (The)     108,252  
1,692   SPX Corp.*     90,437  
1,560   SPX FLOW, Inc.     114,036  
858   Standex International Corp.     84,865  
466   Taylor Devices, Inc.*     5,266  
1,269   Tennant Co.     93,843  
5,353   Terex Corp.     225,361  
800   The Exone Co.*     18,704  
1,867   The Greenbrier Cos., Inc.     80,262  
962   Timken Co.     62,934  
5,430   Titan International, Inc.*     38,879  
2,446   TriMas Corp.*     79,153  
4,025   Trinity Industries, Inc.     109,359  
1,747   Twin Disc, Inc.*     18,623  
3,327   Wabash National Corp.     50,338  
2,027   Watts Water Technologies, Inc., Class A     340,718  
13,695   Welbilt, Inc.*     318,272  
282   Woodward, Inc.     31,922  
   

 

 

 

      8,000,429  
   

 

 

 

Marine (0.3%):

 

7,920   Costamare, Inc.     122,681  
315   Eneti, Inc.     5,260  
4,337   Genco Shipping & Trading, Ltd.     87,304  
2,099   Kirby Corp.*     100,668  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Small Cap Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                            Value        

Common Stocks, continued

 

Marine, continued

 

2,096   Matson, Inc.   $ 169,168  
   

 

 

 

      485,081  
   

 

 

 

Media (1.0%):

 

1,560   AMC Networks, Inc., Class A*     72,680  
478   Beasley Broadcast Group, Inc., Class A*     1,271  
2,323   Boston Omaha Corp.*     90,086  
7,836   comScore, Inc.*     30,560  
144   Daily Journal Corp.*     46,133  
976   DallasNews Corp.     6,783  
4,914   E.W. Scripps Co. (The), Class A     88,747  
6,123   Entercom Communications Corp.*     22,533  
8,365   Entravision Communications Corp., Class A     59,392  
5,880   Gannett Co, Inc.*     39,278  
3,567   Gray Television, Inc.     81,399  
2,892   Hemisphere Media Group*     35,225  
923   iHeartMedia, Inc., Class A*     23,093  
2,165   John Wiley & Sons, Inc., Class A     113,035  
2,864   Liberty Latin America, Ltd.*     37,461  
10,761   Liberty Latin America, Ltd., Class C*     141,184  
500   Loral Space & Communications Inc.     21,505  
348   Marchex, Inc., Class B*     1,039  
3,285   Meredith Corp.*     182,975  
155   Nexstar Media Group, Inc., Class A     23,554  
1,732   Scholastic Corp.     61,746  
2,093   TechTarget, Inc.*     172,505  
10,206   Tegna, Inc.     201,262  
   

 

 

 

      1,553,446  
   

 

 

 

Metals & Mining (1.5%):

 

9,730   Alcoa Corp.*     476,186  
7,802   Allegheny Technologies, Inc.*     129,747  
2,124   Ampco-Pittsburgh Corp.*     9,983  
1,062   Arconic Corp.*     33,496  
3,338   Carpenter Technology Corp.     109,286  
3,100   Century Aluminum Co.*     41,695  
8,414   Coeur Mining, Inc.*     51,914  
6,250   Commercial Metals Co.     190,375  
2,311   Compass Minerals International, Inc.     148,828  
13,641   Ferroglobe plc*     118,677  
13,641   Ferroglobe Unit*(b)      
515   Fortitude Gold Corp.     3,481  
1,805   Gold Resource Corp.     2,834  
1,557   Haynes International, Inc.     57,998  
28,485   Hecla Mining Co.     156,668  
754   Kaiser Aluminum Corp.     82,156  
1,117   Materion Corp.     76,671  
9,373   McEwen Mining, Inc.*     9,748  
2,868   Ryerson Holding Corp.     63,870  
1,487   Schnitzer Steel Industries, Inc., Class A     65,146  
3,318   SunCoke Energy, Inc.     20,837  
1,789   Synalloy Corp.*     19,321  
4,467   TimkenSteel Corp.*     58,428  
6,784   United States Steel Corp.     149,045  
1,458   Universal Stainless & Alloy Products, Inc.*     15,105  
2,207   Warrior Met Coal, Inc.     51,357  
2,997   Worthington Industries, Inc.     157,942  
   

 

 

 

      2,300,794  
   

 

 

 

Multiline Retail (0.3%):

 

1,321   Big Lots, Inc.     57,279  
654   Dillard’s, Inc., Class A^     112,828  
1,287   Kohl’s Corp.     60,605  
4,638   Macy’s, Inc.     104,819  
1,573   Ollie’s Bargain Outlet Holdings, Inc.*     94,820  
Shares                            Value        

Common Stocks, continued

 

Multiline Retail, continued

 

1,290   Tuesday Morning Corp.*   $ 3,612  
   

 

 

 

      433,963  
   

 

 

 

Multi-Utilities (0.4%):

 

4,514   Avista Corp.     176,588  
2,243   Black Hills Corp.     140,771  
2,940   MDU Resources Group, Inc.     87,230  
2,992   NorthWestern Corp.     171,441  
1,351   Unitil Corp.     57,796  
2,565   Via Renewables, Inc.     26,137  
   

 

 

 

      659,963  
   

 

 

 

Oil, Gas & Consumable Fuels (3.7%):

 

2,222   Alto Ingredients, Inc.*     10,977  
16,040   Antero Midstream Corp.     167,137  
11,771   Antero Resources Corp.*     221,412  
206   APA Corp.     4,415  
1,338   Arch Resources, Inc.*     124,099  
1,954   Ardmore Shipping Corp.*     8,109  
4,767   Berry Corp.     34,370  
1,822   Bonanza Creek Energy, Inc.     87,274  
348   Brigham Minerals, Inc.     6,668  
1,982   California Resources Corp.*     81,262  
2,330   Callon Petroleum Co.*     114,356  
3,036   Centennial Resource Development, Inc., Class A*^     20,341  
928   Chesapeake Energy Corp.     57,156  
4,220   Cimarex Energy Co.     367,984  
16,914   Clean Energy Fuel Corp.*     137,849  
12,514   CNX Resources Corp.*     157,927  
1,569   Comstock Resources, Inc.*     16,239  
2,015   CONSOL Energy, Inc.*     52,430  
11,089   Coterra Energy, Inc.     241,297  
4,374   CVR Energy, Inc.     72,871  
6,171   Delek US Holdings, Inc.     110,893  
1,575   Denbury, Inc.*     110,644  
8,834   DHT Holdings, Inc.     57,686  
2,156   Dorian LPG, Ltd.     26,756  
1,598   Earthstone Energy, Inc.*     14,702  
17,427   Enlink Midstream LLC     118,852  
6,982   EQT Corp.*     142,852  
13,891   Equitrans Midstream Corp.     140,855  
2,943   Evolution Petroleum Corp.     16,716  
2,611   Green Plains, Inc.*     85,249  
257   Gulfport Energy Operating Corp.*     21,128  
5,385   HollyFrontier Corp.     178,405  
1,720   International Seaways, Inc.     31,338  
34,496   Kosmos Energy, Ltd.*     102,108  
725   Laredo Petroleum, Inc.*     58,776  
4,991   Magnolia Oil & Gas Corp., Class A     88,790  
9,030   Matador Resources Co.     343,501  
6,809   Murphy Oil Corp.     170,021  
9,513   Nordic American Tankers, Ltd.     24,353  
128   Oasis Petroleum, Inc.     12,726  
5,300   Overseas Shipholding Group, Inc.*     11,024  
2,838   PAR Pacific Holdings, Inc.*     44,613  
6,480   PBF Energy, Inc., Class A*     84,046  
5,985   PDC Energy, Inc.     283,629  
5,636   Peabody Energy Corp.*     83,356  
523   Penn Virginia Corp.*     13,948  
2,410   PHX Minerals, Inc.     7,375  
6   PrimeEnergy Resources Corp.*     360  
17,188   Range Resources Corp.*     388,964  
2,666   Renewable Energy Group, Inc.*     133,833  
300   REX American Resources Corp.*     23,961  
1,533   SandRidge Energy, Inc.*     19,944  
3,705   Scorpio Tankers, Inc.     68,691  
8,803   SFL Corp., Ltd.     73,769  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Small Cap Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                            Value        

Common Stocks, continued

 

Oil, Gas & Consumable Fuels, continued

 

7,278   SM Energy Co.   $ 191,994  
29,966   Southwestern Energy Co.*     166,012  
2,952   Talos Energy, Inc.*     40,649  
1,980   Teekay Shipping Corp.*     7,247  
2,363   Teekay Tankers, Ltd., Class A*     34,334  
5,279   W&T Offshore, Inc.*     19,638  
931   Whiting Petroleum Corp.*     54,380  
3,425   World Fuel Services Corp.     115,148  
   

 

 

 

      5,707,439  
   

 

 

 

Paper & Forest Products (0.7%):

 

1,324   Boise Cascade Co.     71,470  
1,565   Clearwater Paper Corp.*     59,986  
3,735   Domtar Corp.*     203,707  
3,299   Glatfelter Corp.     46,516  
5,271   Louisiana-Pacific Corp.     323,481  
5,170   Mercer International, Inc.     59,920  
1,384   Neenah, Inc.     64,508  
6,201   Resolute Forest Products     73,792  
2,103   Schweitzer-Mauduit International, Inc.     72,890  
3,241   Verso Corp.     67,251  
   

 

 

 

      1,043,521  
   

 

 

 

Personal Products (0.5%):

 

4,160   Coty, Inc., Class A*     32,698  
2,807   Edgewell Personal Care Co.     101,894  
2,868   elf Beauty, Inc.*     83,315  
1,964   Inter Parfums, Inc.     146,848  
900   Lifevantage Corp.*     6,093  
747   Medifast, Inc.     143,902  
1,387   Natural Alternatives International, Inc.*     18,697  
369   Natural Health Trends Corp.     2,646  
2,257   Natures Sunshine Products, Inc.     33,065  
1,929   Nu Skin Enterprises, Inc., Class A     78,067  
340   United-Guardian, Inc.     4,821  
1,070   Usana Health Sciences, Inc.*     98,654  
   

 

 

 

      750,700  
   

 

 

 

Pharmaceuticals (1.2%):

 

900   Adicet Bio, Inc.*     7,056  
9,876   Amneal Pharmaceuticals, Inc.*     52,738  
2,002   Amphastar Pharmaceuticals, Inc.*     38,058  
877   ANI Pharmaceuticals, Inc.*     28,783  
1,496   Aratana Therapeutics- CVR*(b)      
555   Arvinas, Inc.*     45,610  
1,561   Assembly Biosciences, Inc.*     5,432  
4,700   BioDelivery Sciences International, Inc.*     16,967  
2,268   Collegium Pharmaceutical, Inc.*     44,770  
7,712   Corcept Therapeutics, Inc.*     151,772  
3,415   Cumberland Pharmaceuticals, Inc.*     9,221  
5,512   Cymabay Therapeutics, Inc.*     20,119  
14,088   Endo International plc*     45,645  
1,163   EyePoint Pharmaceuticals, Inc.*     12,118  
1,224   Harrow Health, Inc.*     11,126  
4,514   Innoviva, Inc.*     75,429  
4,438   Intra-Cellular Therapies, Inc.*     165,449  
1,144   Kala Pharmaceuticals, Inc.*^     2,997  
4,227   Lannett Co., Inc.*     12,681  
10,744   Nektar Therapeutics*     192,962  
882   NGM Biopharmaceuticals, Inc.*     18,540  
2,308   Otonomy, Inc.*     4,431  
2,722   Pacira BioSciences, Inc.*     152,432  
2,916   Perrigo Co. plc     138,014  
322   Phathom Pharmaceuticals, Inc.*     10,336  
1,714   Phibro Animal Health Corp., Class A     36,920  
3,670   Prestige Consumer Healthcare, Inc.*     205,924  
Shares                            Value        

Common Stocks, continued

 

Pharmaceuticals, continued

 

420   Relmada Therapeutics, Inc.*   $ 11,008  
911   scPharmaceuticals, Inc.*     6,058  
6,222   SIGA Technologies, Inc.*     45,981  
8,452   Strongbridge Biopharma plc*     17,242  
3,556   Supernus Pharmaceuticals, Inc.*     94,839  
1,805   Taro Pharmaceutical Industries, Ltd.*     114,852  
4,418   Xeris Pharmaceuticals, Inc.*^     10,824  
3,530   Zogenix, Inc.*     53,621  
   

 

 

 

      1,859,955  
   

 

 

 

Professional Services (2.0%):

 

1,888   Acacia Research Corp.*     12,820  
3,750   ASGN, Inc.*     424,275  
848   Barrett Business Services, Inc.     64,668  
2,703   CBIZ, Inc.*     87,415  
490   CRA International, Inc.     48,677  
3,450   Exponent, Inc.     390,368  
1,473   Forrester Research, Inc.*     72,560  
1,595   Franklin Covey Co.*     65,060  
2,073   FTI Consulting, Inc.*     279,233  
2,202   GP Strategies Corp.*     45,581  
1,590   Heidrick & Struggles International, Inc.     70,962  
1,154   Huron Consulting Group, Inc.*     60,008  
1,347   ICF International, Inc.     120,274  
1,783   Insperity, Inc.     197,449  
2,940   Kelly Services, Inc., Class A     55,507  
1,713   Kforce, Inc.     102,163  
3,287   Korn Ferry     237,847  
958   ManpowerGroup, Inc.     103,732  
1,332   Mastech Digital, Inc.*     22,657  
3,943   Mistras Group, Inc.*     40,061  
2,833   Resources Connection, Inc.     44,705  
4,127   TriNet Group, Inc.*     390,332  
2,813   Trueblue, Inc.*     76,176  
480   Upwork, Inc.*     21,614  
505   Willdan Group, Inc.*     17,973  
   

 

 

 

      3,052,117  
   

 

 

 

Real Estate Management & Development (0.8%):

 

395   CKX Lands, Inc.*     4,353  
6,494   Cushman & Wakefield plc*     120,853  
913   eXp World Holdings, Inc.     36,310  
1,627   Five Point Holdings LLC, Class A*     12,739  
1,972   Forestar Group, Inc.*     36,738  
504   FRP Holdings, Inc.*     28,184  
2,119   Howard Hughes Corp. (The)*     186,069  
382   Indus Realty Trust, Inc.     26,778  
10   J.W. Mays, Inc.*     383  
7,966   Kennedy-Wilson Holdings, Inc.     166,649  
2,754   Marcus & Millichap, Inc.*     111,868  
1,035   Maui Land & Pineapple Co.*     10,723  
8,443   Newmark Group, Inc.     120,819  
1,207   Rafael Holdings, Inc., Class B*     37,091  
688   RE/MAX Holdings, Inc., Class A     21,438  
3,140   Realogy Holdings Corp.*     55,076  
308   Stratus Properties, Inc.*     9,930  
3,421   Tejon Ranch Co.*     60,757  
1,076   The RMR Group, Inc., Class A     35,992  
3,509   The St Joe Co.     147,729  
   

 

 

 

      1,230,479  
   

 

 

 

Road & Rail (1.1%):

 

1,803   ArcBest Corp.     147,431  
4,972   Avis Budget Group, Inc.*     579,288  
2,278   Covenant Logistics Group, Inc.*     62,987  
4,045   Heartland Express, Inc.     64,801  
279   Landstar System, Inc.     44,032  
2,692   Marten Transport, Ltd.     42,237  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Small Cap Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                            Value        

Common Stocks, continued

 

Road & Rail, continued

 

1,507  

Ryder System, Inc.

  $ 124,644  
1,568  

Saia, Inc.*

    373,231  
2,170  

Schneider National, Inc., Class B

    49,346  
1,170  

Universal Logistics Holdings, Inc.

    23,493  
1,009  

US Xpress Enterprises, Inc., Class A*

    8,708  
988  

USA Truck, Inc.*

    15,097  
2,850  

Werner Enterprises, Inc.

    126,169  
2,752  

Yellow Corp.*

    15,549  
   

 

 

 

      1,677,013  
   

 

 

 

Semiconductors & Semiconductor Equipment (3.5%):

 

2,035  

Advanced Energy Industries, Inc.

    178,571  
2,430  

Alpha & Omega Semiconductor, Ltd.*

    76,229  
1,892  

Ambarella, Inc.*

    294,660  
12,720  

Amkor Technology, Inc.

    317,364  
1,301  

Amtech Systems, Inc.*

    14,870  
2,581  

Axcelis Technologies, Inc.*

    121,384  
2,777  

AXT, Inc.*

    23,132  
3,630  

Brooks Automation, Inc.

    371,531  
1,210  

CEVA, Inc.*

    51,631  
3,357  

Cirrus Logic, Inc.*

    276,449  
1,496  

CMC Materials, Inc.

    184,352  
2,356  

Cohu, Inc.*

    75,251  
522  

Cyberoptics Corp.*

    18,573  
3,367  

Diodes, Inc.*

    305,017  
639  

DSP Group, Inc.*

    14,000  
5,087  

FormFactor, Inc.*

    189,898  
4,679  

GSI Technology, Inc.*

    24,705  
1,254  

Ichor Holdings, Ltd.*

    51,527  
1,349  

inTest Corp.*

    15,487  
2,631  

Kulicke & Soffa Industries, Inc.

    153,335  
6,714  

Lattice Semiconductor Corp.*

    434,060  
1,636  

MagnaChip Semiconductor Corp.*

    29,055  
4,167  

MaxLinear, Inc., Class A*

    205,225  
4,238  

Neophotonics Corp.*

    36,913  
557  

NVE Corp.

    35,631  
2,709  

Onto Innovation, Inc.*

    195,725  
2,739  

PDF Solutions, Inc.*

    63,107  
5,140  

Photronics, Inc.*

    70,058  
2,109  

Pixelworks, Inc.*

    10,081  
4,166  

Power Integrations, Inc.

    412,392  
7,453  

Rambus, Inc.*

    165,457  
3,315  

Semtech Corp.*

    258,471  
1,031  

Silicon Laboratories, Inc.*

    144,505  
1,126  

SMART Global Holdings, Inc.*

    50,107  
2,469  

Synaptics, Inc.*

    443,753  
3,049  

Ultra Clean Holdings, Inc.*

    129,887  
2,559  

Veeco Instruments, Inc.*

    56,835  
   

 

 

 

      5,499,228  
   

 

 

 

Software (2.5%):

 

2,828  

2u, Inc.*

    94,936  
3,492  

A10 Networks, Inc.*

    47,072  
5,809  

ACI Worldwide, Inc.*

    178,511  
994  

Agilysys, Inc.*

    52,046  
2,538  

Alarm.com Holding, Inc.*

    198,446  
1,546  

Altair Engineering, Inc.*

    106,581  
2,494  

American Software, Inc., Class A

    59,232  
746  

Appfolio, Inc.*

    89,818  
935  

Asure Software, Inc.*

    8,424  
2,721  

Avaya Holdings Corp.*

    53,849  
2,785  

Aware, Inc.*

    11,391  
3,147  

Blackbaud, Inc.*

    221,391  
2,226  

Bottomline Technologies, Inc.*

    87,437  
2,350  

BSQUARE Corp.*

    5,663  
1,046  

Cerence, Inc.*

    100,531  
Shares                            Value        

Common Stocks, continued

 

Software, continued

 

900  

ChannelAdvisor Corp.*

  $ 22,707  
1,785  

Cloudera, Inc.*

    28,506  
3,799  

Cognyte Software, Ltd.*

    78,069  
2,347  

CommVault Systems, Inc.*

    176,753  
2,276  

Ebix, Inc.

    61,293  
1,929  

Envestnet, Inc.*

    154,783  
4,947  

FireEye, Inc.*

    88,057  
2,347  

J2 Global, Inc.*

    320,647  
402  

Jamf Holding Corp.*^

    15,485  
3,326  

Mimecast, Ltd.*

    211,534  
2,038  

Mitek Systems, Inc.*

    37,703  
1,064  

New Relic, Inc.*

    76,363  
2,582  

OneSpan, Inc.*

    48,490  
1,415  

Ping Identity Holding Corp.*

    34,767  
2,616  

Progress Software Corp.

    128,681  
222  

QAD, Inc.

    19,401  
2,317  

Qualys, Inc.*

    257,859  
5,408  

Sailpoint Technologies Holdings, Inc.*

    231,895  
1,169  

Sapiens International Corp. NV

    33,644  
539  

Shotspotter, Inc.*

    19,603  
684  

Sps Commerce, Inc.*

    110,336  
3,280  

Synchronoss Technologies, Inc.*

    7,872  
870  

Upland Software, Inc.*

    29,093  
3,329  

Verint Systems, Inc.*

    149,106  
7,970  

Xperi Holding Corp.

    150,155  
1,800  

Zix Corp.*

    12,726  
   

 

 

 

      3,820,856  
   

 

 

 

Specialty Retail (3.5%):

 

2,730  

Aaron’s Co., Inc. (The)

    75,184  
4,544  

Abercrombie & Fitch Co., Class A*

    170,991  
13,755  

American Eagle Outfitters, Inc.

    354,879  
422  

America’s Car Mart, Inc.*

    49,281  
1,192  

Asbury Automotive Group, Inc.*

    234,514  
1,943  

AutoNation, Inc.*

    236,580  
5,705  

Barnes & Noble Education, Inc.*

    56,993  
7,174  

Bed Bath & Beyond, Inc.*

    123,931  
4,102  

Big 5 Sporting Goods Corp.^

    94,510  
1,202  

Boot Barn Holdings, Inc.*

    106,822  
1,732  

Build-A-Bear Workshop, Inc.*

    29,340  
3,926  

Caleres, Inc.

    87,236  
2,599  

Cato Corp., Class A

    42,987  
16,720  

Chico’s FAS, Inc.*

    75,073  
1,088  

Citi Trends, Inc.*

    79,380  
3,051  

Conn’s, Inc.*

    69,654  
4,771  

Designer Brands, Inc., Class A*

    66,460  
6,400  

Foot Locker, Inc.

    292,224  
1,362  

Genesco, Inc.*

    78,628  
753  

Group 1 Automotive, Inc.

    141,474  
4,311  

Guess?, Inc.

    90,574  
1,718  

Haverty Furniture Cos., Inc.

    57,914  
849  

Hibbett, Inc.

    60,058  
1,529  

Lumber Liquidators Holdings, Inc.*

    28,562  
1,251  

MarineMax, Inc.*

    60,698  
2,154  

Monro, Inc.

    123,877  
1,222  

Murphy U.S.A., Inc.

    204,392  
4,523  

National Vision Holdings, Inc.*

    256,771  
3,614  

ODP Corp. (The)*

    145,138  
443  

OneWater Marine, Inc.

    17,813  
3,794  

Penske Automotive Group, Inc.

    381,676  
3,598  

Rent-A-Center, Inc.

    202,244  
7,968  

Sally Beauty Holdings, Inc.*

    134,261  
1,818  

Shoe Carnival, Inc.

    58,940  
4,149  

Signet Jewelers, Ltd.

    327,605  
1,589  

Sleep Number Corp.*

    148,540  
1,462  

Sonic Automotive, Inc., Class A

    76,813  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Small Cap Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                            Value        

Common Stocks, continued

 

Specialty Retail, continued

 

2,363   Sportsman’s Warehouse Holdings, Inc.*   $ 41,589  
3,031   The Buckle, Inc.     119,997  
1,119   The Children’s Place, Inc.*     84,216  
5,372   The Container Store Group, Inc.*     51,141  
2,271   Tilly’s, Inc.     31,817  
5,052   Urban Outfitters, Inc.*     149,994  
303   Winmark Corp.     65,154  
1,833   Zumiez, Inc.*     72,880  
   

 

 

 

      5,458,805  
   

 

 

 

Technology Hardware, Storage & Peripherals (0.5%):

 

6,969   3D Systems Corp.*     192,135  
1,308   AstroNova, Inc.*     19,685  
4,957   Avid Technology, Inc.*     143,357  
6,556   NCR Corp.*     254,111  
3,811   Stratasys, Ltd.*     82,013  
2,418   Super Micro Computer, Inc.*     88,426  
1,590   TransAct Technologies, Inc.*     22,101  
2,682   Xerox Holdings Corp.     54,096  
   

 

 

 

      855,924  
   

 

 

 

Textiles, Apparel & Luxury Goods (1.4%):

 

848   Capri Holdings, Ltd.*     41,052  
2,061   Carter’s, Inc.     200,412  
2,038   Columbia Sportswear Co.     195,322  
4,877   Crocs, Inc.*     699,752  
2,291   Culp, Inc.     29,508  
1,291   Fossil Group, Inc.*     15,298  
3,034   G-III Apparel Group, Ltd.*     85,862  
1,322   Hanesbrands, Inc.     22,685  
3,472   Kontoor Brands, Inc.     173,426  
816   Lakeland Industries, Inc.*     17,136  
544   Movado Group, Inc.     17,131  
1,247   Oxford Industries, Inc.     112,442  
348   PVH Corp.*     35,771  
674   Rocky Brands, Inc.     32,089  
746   Skechers U.S.A., Inc., Class A*     31,422  
4,945   Steven Madden, Ltd.     198,591  
418   Superior Group of Cos., Inc.     9,735  
957   Unifi, Inc.*     20,987  
1,916   Vera Bradley, Inc.*     18,030  
5,461   Wolverine World Wide, Inc.     162,956  
   

 

 

 

      2,119,607  
   

 

 

 

Thrifts & Mortgage Finance (2.2%):

 

3,799   Axos Financial, Inc.*     195,800  
2,838   BankFinancial Corp.     32,580  
2,024   Bridgewater Bancshares, Inc.*     35,440  
7,770   Capitol Federal Financial, Inc.     89,277  
280   Citizens Community Bancorp, Inc.     3,892  
5,449   Columbia Financial, Inc.*     100,807  
1,537   ESSA Bancorp, Inc.     25,514  
4,677   Essent Group, Ltd.     205,835  
696   Federal Agricultural Mortgage Corp.     75,530  
242   First Capital, Inc.     9,869  
1,936   Flagstar Bancorp, Inc.     98,310  
986   FS Bancorp, Inc.     34,125  
195   Guaranty Federal Bankshares, Inc.     4,707  
206   Hingham Institution for Savings     69,360  
629   HMN Financial, Inc.*     14,700  
973   Home Bancorp, Inc.     37,636  
86   Home Federal Bancorp, Inc.     1,633  
1,829   HomeStreet, Inc.     75,263  
869   IF Bancorp, Inc.     19,700  
3,933   Kearny Financial Corp.     48,887  
390   Kentucky First Federal Bancorp     2,785  
289   LendingTree, Inc.*     40,411  
Shares                            Value        

Common Stocks, continued

 

Thrifts & Mortgage Finance, continued

 

1,892   Luther Burbank Corp.   $ 25,372  
940   Malvern Bancorp, Inc.*     15,971  
1,234   Merchants BanCorp     48,706  
3,912   Meridian Bancorp, Inc.     81,213  
2,072   Meta Financial Group, Inc.     108,739  
2,242   MGIC Investment Corp.     33,540  
3,941   Mr Cooper Group, Inc.*     162,251  
18,699   New York Community Bancorp, Inc.     240,656  
4,642   NMI Holdings, Inc., Class A*     104,956  
3,578   Northfield Bancorp, Inc.     61,399  
6,541   Northwest Bancshares, Inc.     86,865  
3,132   Oceanfirst Financial Corp.     67,056  
198   Oconee Federal Financial Corp.     4,594  
1,129   Ocwen Financial Corp.*     31,759  
2,010   PCSB Financial Corp.     37,064  
1,668   Premier Financial Corp.     53,109  
1,677   Provident Financial Holdings, Inc.     28,643  
3,721   Provident Financial Services, Inc.     87,332  
1,685   Prudential Bancorp, Inc.     25,713  
4,780   Radian Group, Inc.     108,602  
1,982   Riverview Bancorp, Inc.     14,409  
3,418   Security National Financial Corp., Class A*     28,130  
671   Severn Bancorp, Inc.     8,401  
707   Southern Missouri Bancorp, Inc.     31,737  
1,053   Sterling Bancorp, Inc.*     5,433  
1,409   Territorial Bancorp, Inc.     35,760  
3,100   TFS Financial Corp.     59,086  
1,462   TrustCo Bank Corp. NY     46,740  
3,395   Washington Federal, Inc.     116,482  
1,247   Waterstone Financial, Inc.     25,551  
2,031   Wawlker & Dunlop, Inc.     230,519  
3,601   Western New England BanCorp, Inc.     30,717  
2,314   WSFS Financial Corp.     118,731  
35   WVS Financial Corp.     559  
   

 

 

 

      3,387,856  
   

 

 

 

Tobacco (0.1%):

 

491   Turning Point Brands, Inc.     23,445  
975   Universal Corp.     47,122  
9,542   Vector Group, Ltd.     121,660  
   

 

 

 

      192,227  
   

 

 

 

Trading Companies & Distributors (1.8%):

 

6,404   Air Lease Corp.     251,933  
1,077   Alta Equipment Group, Inc.*     14,787  
1,927   Applied Industrial Technologies, Inc.     173,681  
3,172   Beacon Roofing Supply, Inc.*     151,495  
1,146   CAI International, Inc.     64,073  
2,002   DXP Enterprises, Inc.*     59,199  
1,463   EVI Industries, Inc.*^     39,794  
1,550   GATX Corp.     138,818  
2,503   Global Industrial Co.     94,839  
573   GMS, Inc.*     25,097  
1,299   H&E Equipment Services, Inc.     45,088  
1,516   Herc Holdings, Inc.*     247,805  
1,475   Kaman Corp., Class A     52,613  
989   Lawson Products, Inc.*     49,460  
4,569   MRC Global, Inc.*     33,536  
2,121   MSC Industrial Direct Co., Inc., Class A     170,083  
7,964   NOW, Inc.*     60,925  
1,839   Rush Enterprises, Inc., Class A     83,049  
195   SiteOne Landscape Supply, Inc.*     38,897  
2,140   Textainer Group Holdings, Ltd.*     74,707  
1,949   Titan Machinery, Inc.*     50,499  
577   Transcat, Inc.*     37,205  
3,118   Triton International, Ltd.     162,261  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL DFA U.S. Small Cap Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                            Value        

Common Stocks, continued

 

Trading Companies & Distributors, continued

 

5,651  

Univar Solutions, Inc.*

  $ 134,607  
1,585  

Veritiv Corp.*

    141,953  
3,051  

WESCO International, Inc.*

    351,841  
   

 

 

 

      2,748,245  
   

 

 

 

Transportation Infrastructure (0.1%):

 

4,399  

Macquarie Infrastructure Holdings LLC

    178,423  
   

 

 

 

Water Utilities (0.5%):

 

2,746  

American States Water Co.

    234,838  
1,221  

Artesian Resources Corp.

    46,606  
3,317  

California Water Service Group

    195,471  
1,256  

Consolidated Water Co., Ltd.

    14,318  
1,275  

Middlesex Water Co.

    131,044  
2,502  

Pure Cycle Corp.*

    33,302  
1,615  

SJW Group

    106,687  
1,259  

York Water Co. (The)

    54,993  
   

 

 

 

      817,259  
   

 

 

 

Wireless Telecommunication Services (0.2%):

 

2,895  

Shenandoah Telecommunications Co.

    91,424  
2,722  

Spok Holdings, Inc.

    27,819  
7,635  

Telephone & Data Systems, Inc.

    148,882  
2,003  

United States Cellular Corp.*

    63,876  
   

 

 

 

      332,001  
   

 

 

 

Total Common Stocks (Cost $109,835,381)

    155,605,280  
   

 

 

 

Preferred Stocks (0.1%):

 

Internet & Direct Marketing Retail (0.0%):

 

499  

Qurate Retail, Inc., 3/15/31

    53,967  
   

 

 

 

Media (0.0%):

 

430  

Liberty Broadband Corp., Series A

    11,976  
   

 

 

 

Trading Companies & Distributors (0.1%):

 

2,540  

WESCO International, Inc., Series A

    79,705  
   

 

 

 

Total Preferred Stocks (Cost $115,109)

    145,648  
   

 

 

 

Contracts        Value

Warrant (0.0%):

 

Energy Equipment & Services (0.0%):

 

197  

Nabors Industries, Ltd., 6/11/26

    1,150  
   

 

 

 

Total Warrant (Cost $–)

    1,150  
   

 

 

 

Shares        Value

Rights (0.0%):

 

Biotechnology (0.0%):

 

8,857   Achillion Pharm CVR, Expires on 1/29/49*     12,842  
2,004   Chinook Therapeutics-CVR, Expires on 12/31/49*     3,587  
1,429   Pfenex, Inc. CVR, Expires on 1/3/22*^     1,072  
4,400   Progenics Pharmaceuticals, Inc., Expires on 1/3/22*     1,540  
   

 

 

 

      19,041  
   

 

 

 

Household Durables (0.0%):

 

4,044  

Zagg, Inc. CVR, Expires on 1/2/49*

    364  
   

 

 

 

Media (0.0%):

 

21,894   Media General, Inc. CVR, Expires on 12/31/49*     1,235  
   

 

 

 

Total Rights (Cost $8,221)

    20,640  
   

 

 

 

Principal

Amount

        Value      

Short-Term Security Held as Collateral for Securities on Loan (0.7%):

 

1,065,755   BlackRock Liquidity FedFund, Institutional Class , 0.03%(c)(d)   $ 1,065,755  
   

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan (Cost $1,065,755)

    1,065,755  
   

 

 

 

Total Investment Securities

(Cost $111,024,466) - 100.8%

    156,838,473  

Net other assets (liabilities) - (0.8)%

    (1,291,641
   

 

 

 

Net Assets - 100.0%

    $ 155,546,832  
   

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

ADR    -    American Depository Receipt
CVR    -    Contingency Valued Rights

 

*

Non-income producing security.

^

This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities on loan as of September 30, 2021 was $1,006,752.

Represents less than 0.05%.

(a)

Rule 144A, Section 4(2) or other security which is restricted to resale to institutional investors. The sub-adviser has deemed these securities to be liquid based on procedures approved by the Board of Trustees.

(b)

Security was valued using unobservable inputs in good faith pursuant to procedures approved by the Board of Trustees as of September 30, 2021. The total of all such securities represent 0.00% of the net assets of the fund.

(c)

Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.

(d)

The rate represents the effective yield at September 30, 2021.

Amounts shown as “—” are either $0 or rounds to less than $1.

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Asset Backed Securities (3.1%):

 

$2,308,557

    

American Homes 4 Rent LLC, Class A, Series 2014-SFR3, 3.68%, 12/17/36(a)

   $ 2,441,876  

1,640,000

    

Benchmark Mortgage Trust, Class A4, Series 2018-B7, 4.51%, 11/15/51, Callable 10/15/28 @ 100

     1,915,045  

885,000

    

Citibank Credit Card Issuance Trust, Class A7, Series 2018-A7, 3.96%, 10/15/30

     1,025,221  

211,255

    

College Ave Student Loans LLC, Class A1, Series 2021-A, 1.19%(US0001M+110bps), 7/25/51, Callable 2/25/32 @ 100(a)

     214,429  

1,392,716

    

College Avenue Student Loans LLC, Class A2, Series 2021-B, 1.76%, 6/25/52, Callable 1/25/34 @ 100(a)

     1,379,590  

3,640,000

    

Credit Acceptance Auto Loan Trust, Class A, Series 2021-2A, 0.96%, 2/15/30, Callable 12/15/24 @ 100(a)

     3,644,519  

1,880,000

    

Credit Acceptance Auto Loan Trust, Class A, Series 2021-3A, 1.00%, 5/15/30, Callable 11/15/24 @ 100(a)

     1,880,920  

160,000

    

Credit Acceptance Auto Loan Trust, Class A, Series 20-2A, 1.37%, 7/16/29, Callable 1/15/24 @ 100(a)

     161,483  

565,429

    

EDvestinU Private Education Loan Issue No 3 LLC, Class A, Series 2021-A, 1.80%, 11/25/45(a)

     563,043  

2,000,000

    

GoodLeap Sustainable Home Solutions Trust, Class A, Series 2021-4GS, 1.93%, 7/20/48, Callable 3/20/36 @ 100(a)

     1,981,896  

1,390,000

    

Lendmark Funding Trust, Class A, Series 2021-1A, 1.90%, 11/20/31, Callable 5/20/26 @ 100(a)

     1,395,884  

1,033,444

    

LoanCore Issuer, Ltd., Class A, Series 2018-CRE1, 1.21%(US0001M+113bps), 5/15/28, Callable 10/15/21 @ 100(a)

     1,033,444  

1,200,000

    

Mariner Finance Issuance Trust, Class A, Series 2021-AA, 1.86%, 3/20/36, Callable 3/20/26 @ 100(a)

     1,208,706  

1,406,976

    

Navient Private Education Loan Trust, Class A1B, Series 2020-lA, 1.08%(US0001M+100bps), 4/15/69, Callable 9/15/30 @ 100(a)

     1,412,116  

711,822

    

Navient Private Education Refi Loan Trust, Class A, Series 2021-A, 0.84%, 5/15/69, Callable 2/15/28 @ 100(a)

     710,335  

8,634,728

    

Navient Private Education Refi Loan Trust, Class A, Series 2021-EA, 0.97%, 12/16/69, Callable 2/15/29 @ 100(a)

     8,607,888  
Principal
Amount            
                   Value        
Asset Backed Securities, continued

 

$3,291,302

    

Navient Private Education Refi Loan Trust, Class A, Series 20-FA, 1.22%, 7/15/69, Callable 2/15/27 @ 100(a)

   $ 3,309,675  

3,198,281

    

Navient Private Education Refi Loan Trust, Class A, Series 2021-DA, 1.26%(PRIME-(199)bps), 4/15/60(a)

     3,198,286  

1,000,000

    

Navient Student Loan Trust, Class A2B, Series 2020-CA, 1.68%(US0001M+160bps), 11/15/68, Callable 6/15/30 @ 100(a)

     1,033,969  

2,212,756

    

Navient Student Loan Trust, Class A2B, Series 2019-D, 1.13%(US0001M+105bps), 12/15/59, Callable 8/15/30 @ 100(a)

     2,243,940  

260,006

    

Navient Student Loan Trust, Class A2, Series 2018-EA, 4.00%, 12/15/59, Callable 6/15/25 @ 100(a)

     267,356  

5,360,000

    

Nelnet Student Loan Trust, Class AFL, Series 2021-CA, 0.83%(US0001M+74bps), 4/20/62(a)

     5,367,311  

4,496,890

    

Nelnet Student Loan Trust, Class APT2, Series 2021-A, 1.36%, 4/20/62, Callable 9/20/29 @ 100(a)

     4,492,133  

8,602,607

    

Nelnet Student Loan Trust, Class AFL, Series 2021-BA, 0.87%(US0001M+78bps), 4/20/62, Callable 7/20/29 @ 100(a)

     8,613,051  

2,440,000

    

Nissan Master Owner Trust Receivables, Class A, Series 2019-B, 0.51%(US0001M+43bps), 11/15/23

     2,440,882  

1,400,000

    

PFS Financing Corp., Class A, Series 2021-A, 0.71%, 4/15/26(a)

     1,395,972  

1,151,450

    

Prodigy Finance CM2021-1 DAC, Class A, Series 2021-1A, 1.34%(US0001M+125bps), 7/25/51, Callable 2/25/27 @ 100(a)

     1,155,518  

2,009,000

    

Regional Management Issuance Trust, Class A, Series 2021-2, 1.90%, 8/15/33, Callable 8/15/26 @ 100(a)

     2,000,070  

501,291

    

SMB Private Education Loan Trust, Class A2B, Series 2017-B, 0.83%(US0001M+75bps), 10/15/35(a)

     502,406  

410,000

    

SMB Private Education Loan Trust, Class A2B, Series 2020-A, 0.91%(US0001M+83bps), 9/15/37(a)

     412,791  

1,721,255

    

SMB Private Education Loan Trust, Class APT1, Series 2021-C, 1.39%, 1/15/53(a)

     1,717,409  

4,250,000

    

SMB Private Education Loan Trust, Class A2A1, Series 2021-A, 0.81%(US0001M+73bps), 1/15/53(a)

     4,255,058  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Asset Backed Securities, continued

 

$490,000

    

SMB Private Education Loan Trust, Class B, Series 2021-A, 2.31%, 1/15/53(a)

   $ 497,637  

2,533,819

    

SMB Private Education Loan Trust, Class A1A, Series BA, 1.29%, 7/15/53(a)

     2,565,953  

64,734

    

SMB Private Education Loan Trust, Class A2A, Series 2015-B, 2.98%, 7/15/27, Callable 4/15/28 @ 100(a)

     65,175  

911,176

    

SoFi Professional Loan Program, Class AFX, Series 2020-C, 1.95%, 2/15/46, Callable 7/15/28 @ 100(a)

     923,123  

824,825

    

SoFi Professional Loan Program, Class A2FX, Series 2019-B, 3.09%, 8/17/48, Callable 11/15/26 @ 100(a)

     848,232  

556,246

    

SoFi Professional Loan Program, Class A2, Series 2015-d, 2.72%, 10/27/36, Callable 5/25/22 @ 100(a)

     559,516  

1,700,000

    

SoFi Professional Loan Program, Class A2FX, Series 2020-A, 2.54%, 5/15/46, Callable 9/15/27 @ 100(a)

     1,744,757  

2,518,300

    

SoFi Professional Loan Program, Class A2FX, Series 2017-F, 2.84%, 1/25/41, Callable 7/25/25 @ 100(a)

     2,572,683  

25,264

    

SoFi Professional Loan Program, Class A2B, Series 2016-D, 2.34%, 4/25/33, Callable 7/25/24 @ 100(a)

     25,605  

2,011,028

    

Westlake Automobile Receivables Trust, Class A2, Series 2020-1A, 1.44%, 9/15/23, Callable 7/15/23 @ 100(a)

     2,016,254  
       

 

 

 

Total Asset Backed Securities (Cost $82,986,134)

     83,801,157  
       

 

 

 

Collateralized Mortgage Obligations (4.1%):

 

2,000,000

    

AIMCO CLO, Class AR, Series 2017-AA, 1.18%(US0003M+105bps), 4/20/34, Callable 4/20/23 @ 100(a)

     2,000,308  

2,810,000

    

Alen Mortgage Trust, Class A, Series 2021-ACEN, 1.23%(US0001M+115bps), 4/15/38(a)

     2,812,501  

1,000,000

    

Anchorage Capital CLO 7, Ltd., Class AR2, Series 2015-7A, 1.22%(US0003M+109bps), 1/28/31, Callable 10/28/21 @ 100(a)

     1,000,490  

1,735,000

    

Arbor Multifamily Mortgage Securities Trust, Class A5, Series 2020-MF1, 2.76%, 5/15/53, Callable 2/15/30 @ 100(a)

     1,818,588  
Principal
Amount            
                   Value        
Collateralized Mortgage Obligations, continued

 

$3,850,000

    

Barclays Commercial Mortgage Trust, Class A, Series 2018-TALL, 0.81%(US0001M+72bps), 3/15/37(a)

   $ 3,837,911  

1,250,000

    

Battalion CLO VIII, Ltd., Class A1R2, Series 2015-8A, 1.20%(US0003M+107bps), 7/18/30, Callable 10/18/21 @ 100(a)

     1,249,997  

2,290,000

    

Battalion CLO X, Ltd., Class A1R2, Series 2016-10A, 1.30%(US0003M+117bps), 1/25/35, Callable 1/25/23 @ 100(a)

     2,291,205  

1,250,000

    

Benchmark Mortgage Trust, Class B, Series 2019-B15, 3.56%, 12/15/72

     1,341,575  

668,000

    

Benchmark Mortgage Trust, Class C, Series 2019-B15, 3.84%, 12/15/72

     694,019  

1,332,000

    

BF Mortgage Trust, Class B, Series 2019-NYT, 1.48%(US0001M+140bps), 11/15/35(a)

     1,331,840  

1,120,000

    

BX, Class A, Series 2021-MFM1, 0.78%(US0001M+70bps), 1/15/34(a)

     1,120,482  

2,126,109

    

BX Commercial Mortgage Trust, Class A, Series 2019-XL, 1.00%(US0001M+92bps), 10/15/36(a)

     2,128,681  

3,801,582

    

BX Commercial Mortgage Trust, Class A, Series 2020-BXLP, 0.88%(US0001M+80bps), 12/15/29(a)

     3,805,231  

3,350,000

    

BX Commercial Mortgage Trust, Class A, Series 2020-ViV4, 2.84%, 3/9/44(a)

     3,487,316  

551,000

    

BX Trust, Class D, Series 2019-OC11, 4.08%, 12/9/41(a)

     582,594  

615,000

    

Cantor Commercial Real Estate Lending, Class A4, Series 2019-CF2, 2.62%, 11/15/52, Callable 8/15/29 @ 100

     636,488  

603,000

    

Cantor Commercial Real Estate Lending, Class B, Series 2019-CF3, 3.50%, 1/15/53, Callable 12/15/29 @ 100(b)

     645,409  

3,225,000

    

Cedar Funding VI CLO, Ltd., Class AAA, Series 2016-6A, 1.18%(US0003M+105bps), 4/20/34, Callable 4/20/23 @ 100(a)

     3,228,512  

760,000

    

CGRBS Commercial Mortgage Trust, Class A, Series 2013-VN05, 3.37%, 3/13/35(a)

     791,061  

412,829

    

Chase Home Lending Mortgage Trust, Class A11, Series 2019-ATR2, 0.99%(US0001M+90bps), 7/25/49, Callable 5/25/23 @ 100(a)

     413,767  

3,320,000

    

CIM Retail Portfolio Trust, Class A, Series 2021-RETL, 1.48%(US0001M+140bps), 8/15/36

     3,324,748  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Collateralized Mortgage Obligations, continued

 

$1,233,584

    

CIM Trust, Class A11, Series 2019-INV3, 1.03%(US0001M+100bps), 8/25/49, Callable 3/25/24 @ 100(a)

   $ 1,234,790  

3,360,000

    

Cityline Commercial Mortgage Trust, Class A, Series 2016-CLNE, 2.87%, 11/10/31(a)(b)

     3,512,443  

1,015,000

    

Commercial Mortgage Loan Trust, Class D, Series 2013-WWP, 3.90%, 3/10/31, Callable 3/10/23 @ 100(a)

     1,066,166  

3,075,000

    

Commercial Mortgage Loan Trust, Class A4, Series 2015-CCRE26, 3.63%, 10/10/48, Callable 8/10/25 @ 100

     3,345,877  

1,279,058

    

Commercial Mortgage Loan Trust, Class AM, Series 2013-CR7, 3.31%, 3/10/46, Callable 4/6/23 @ 100(a)

     1,320,192  

667,000

    

Commercial Mortgage Loan Trust, Class A5, Series 2015-CR24, 3.70%, 8/10/48, Callable 7/10/25 @ 100

     724,095  

3,870,000

    

Cosmopolitan Hotel Trust, Class A, Series 2017-CSMO, 1.01%(US0001M+93bps), 11/15/36(a)

     3,869,497  

2,306,000

    

Credit Suisse Mortgage Capital Certificates, Class A, Series 2020-NET, 2.26%, 8/15/37(a)

     2,361,528  

210,000

    

CSAIL Commercial Mortgage Trust, Class A5, Series 2018-CX11, 4.03%, 4/15/51, Callable 3/15/28 @ 100(b)

     234,937  

2,095,000

    

Dryden 43 Senior Loan Fund, Class AR2, Series 2016-43A, 1.17%(US0003M+104bps), 4/20/34, Callable 4/20/23 @ 100(a)

     2,096,301  

4,750,000

    

Elmwood CLO II, Ltd., Class AR, Series 2019-2A, 1.28%(US0003M+115bps), 4/20/34(a)

     4,755,163  

5,382,001

    

Extended Stay America Trust, Class A, Series 2021-ESH, 1.16%(US0001M+108bps), 7/15/38(a)

     5,397,059  

877,988

    

Flagstar Mortgage Trust, Class A11, Series 2019-1, 1.04%(US0001M+95bps), 10/25/49, Callable 12/25/23 @ 100(a)

     878,852  

1,217,639

    

FRESB Multifamily Mortgage Pass Through, Class A10H, Series 2019-SB60, 3.50%(US0001M+350bps), 1/25/39, Callable 12/25/28 @ 100

     1,281,736  

1,230,000

    

FS RIALTO, Class A, Series 2021-FL2, 1.30%(US0001M+122bps), 4/16/26, Callable 4/16/23 @ 100

     1,231,461  

1,525,000

    

IMT Trust, Class BFX, Series 2017-APTS, 3.61%, 6/15/34(a)(b)

     1,598,108  
Principal
Amount            
                   Value        
Collateralized Mortgage Obligations, continued

 

$585,836

    

JP Morgan Chase Commercial Mortgage Securities Corp., Class A, Series 2021-MHC, 0.88%(US0001M+80bps), 4/15/38(a)

   $ 586,569  

774,442

    

JP Morgan Mortgage Trust, Class A11, Series 2019-INV3, 1.08%(US0001M+100bps), 5/25/50, Callable 1/25/25 @ 100(a)

     775,378  

837,674

    

JP Morgan Mortgage Trust, Class A5, Series 2019-LTV3, 3.50%, 2/25/50, Callable 1/25/23 @ 100(a)(b)

     845,558  

540,084

    

JP Morgan Mortgage Trust, Class A11, Series 2020-LTV1, 1.08%(US0001M+100bps), 6/25/50, Callable 4/25/23 @ 100(a)

     540,411  

941,924

    

JP Morgan Mortgage Trust, Class A11, Series 2019-INV2, 0.99%(US0001M+90bps), 2/25/50, Callable 3/25/24 @ 100(a)

     943,169  

626,388

    

JP Morgan Mortgage Trust, Class A11, Series 2019-LTV3, 0.93%(US0001M+85bps), 2/25/50, Callable 1/25/23 @ 100(a)

     627,064  

314,860

    

JP Morgan Mortgage Trust, Class A11, Series 2019-7, 0.99%(US0001M+90bps), 2/25/50, Callable 12/25/22 @ 100(a)

     315,306  

700,000

    

JPMDB Commercial Mortgage Securities Trust, Class A5, Series 2017-C5, 3.69%, 3/15/50, Callable 1/15/27 @ 100

     768,761  

1,161,374

    

JPMorgan Chase Commercial Mortgage Securities Corp., Class A4FX, Series 2012-CBX, 3.48%, 6/15/45, Callable 6/15/22 @ 100(a)

     1,168,656  

2,904,000

    

KNDL Mortgage Trust, Class A, Series 2019-KNSQ, 0.88%(US0001M+80bps), 5/15/36(a)

     2,907,572  

1,530,000

    

Life Mortgage Trust, Class A, Series 2021-BMR, 0.78%(US0001M+70bps), 3/15/38(a)

     1,531,362  

3,570,000

    

MHP, Class A, Series 2021-STOR, 0.78%(US0001M+70bps), 7/15/38(a)

     3,570,512  

1,279,462

    

Morgan Stanley Bank of America Merrill Lynch Trust, Class A3, Series 2015-C24, 3.48%, 5/15/48, Callable 5/15/25 @ 100

     1,365,647  

1,563,000

    

Morgan Stanley Capital I Trust, Class A, Series 2019-NUGS, 2.45%(US0001M+95bps), 12/15/36(a)

     1,566,814  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Collateralized Mortgage Obligations, continued

 

$1,540,000

    

Morgan Stanley Capital I Trust, Class A4, Series 2016-BNK2, 3.05%, 11/15/49, Callable 10/15/26 @ 100

   $ 1,649,525  

1,200,000

    

Octagon Investment Partners XVII, Ltd., Class A2R2, Series 2013-1A, 1.23%(US0003M+110bps), 1/25/31, Callable 10/25/21 @ 100(a)

     1,189,822  

3,125,530

    

One Lincoln Street Commercial Mortgage, Class A1, Series 2004-C3, 5.72%, 10/15/30(a)(b)

     3,348,756  

1,510,000

    

One New York Plaza Trust, Class A, Series 2020-1NYP, 1.03%(US0001M+95bps), 1/15/26(a)

     1,514,500  

1,250,000

    

RR 3, Ltd., Class A1R2, Series 2018-3A, 1.22%(US0003M+109bps), 1/15/30, Callable 10/15/21 @ 100(a)

     1,252,975  

2,006,590

    

Seasoned Credit Risk Transfer Trust, Class MA, Series 2019-2, 3.50%, 8/25/58, Callable 7/25/46 @ 100

     2,119,936  

875,854

    

Seasoned Credit Risk Transfer Trust, Class MA, Series 2018-2, 3.50%, 11/25/57, Callable 3/25/29 @ 100

     914,736  

125,000

    

SG Commercial Mortgage Securities Trust, Class A4, Series 2016-C5, 3.06%, 10/10/48, Callable 6/10/26 @ 100

     132,065  

1,000,000

    

Signal Peak CLO 8, Ltd., Class A, Series 2020-8A, 1.40%(US0003M+127bps), 4/20/33, Callable 4/20/22 @ 100(a)

     1,001,875  

388,839

    

Tharaldson Hotel Portfolio Trust, Class A, Series 2018-THL, 0.98%(US0001M+75bps), 11/11/34(a)

     388,897  

1,000,000

    

Voya CLO, Ltd., Class A1R, Series 2017-3A, 1.17%(US0003M+104bps), 4/20/34, Callable 4/20/23 @ 100(a)

     997,996  

1,015,000

    

Wells Fargo Commercial Mortgage Trust, Class A4, Series 2015-NXS4, 3.72%, 12/15/48

     1,108,603  

1,250,000

    

Wells Fargo Commercial Mortgage Trust, Class AS, Series 2015-NXS1, 3.41%, 5/15/48, Callable 4/15/25 @ 100

     1,314,312  

9,143,867

    

Wells Fargo Commercial Mortgage Trust, Class XA, Series 2016-LC25, 1.11%, 12/15/59, Callable 8/15/26 @ 100(b)

     319,852  

775,000

    

Wells Fargo Commercial Mortgage Trust, Class A4, Series 2015-C28, 3.54%, 5/15/48, Callable 4/15/25 @ 100

     837,573  
Principal
Amount            
                   Value        
Collateralized Mortgage Obligations, continued

 

$940,000

    

Wells Fargo Commercial Mortgage Trust, Class A4, Series 2018-C46, 4.15%, 8/15/51

   $ 1,069,711  
       

 

 

 

Total Collateralized Mortgage Obligations (Cost $108,965,149)

     110,124,841  
       

 

 

 

Corporate Bonds (24.8%):

 

Aerospace & Defense (1.1%):

 

2,642,000

    

BAE Systems Holdings, Inc., 3.80%, 10/7/24(a)

     2,851,341  

647,000

    

BAE Systems Holdings, Inc., 3.85%, 12/15/25, Callable 9/15/25 @ 100(a)

     706,522  

216,000

    

Boeing Co. (The), 5.93%, 5/1/60, Callable 11/1/59 @ 100

     294,053  

1,062,000

    

General Dynamics Corp., 3.50%, 4/1/27, Callable 2/1/27 @ 100

     1,171,235  

1,020,000

    

General Dynamics Corp., 3.75%, 5/15/28, Callable 2/15/28 @ 100

     1,146,203  

1,249,000

    

Harris Corp., 4.40%, 6/15/28, Callable 3/15/28 @ 100

     1,424,837  

378,000

    

Huntington Ingalls Industries, Inc., 3.84%, 5/1/25, Callable 4/1/25 @ 100

     409,340  

821,000

    

Huntington Ingalls Industries, Inc., 3.48%, 12/1/27, Callable 9/1/27 @ 100

     885,654  

1,197,000

    

Huntington Ingalls Industries, Inc., 2.04%, 8/16/28, Callable 6/16/28 @ 100(a)

     1,179,605  

1,315,000

    

L3Harris Technologies, Inc., 3.85%, 12/15/26, Callable 9/15/26 @ 100

     1,455,946  

1,383,000

    

L3Harris Technologies, Inc., 4.40%, 6/15/28, Callable 3/15/28 @ 100

     1,571,966  

391,000

    

Lockheed Martin Corp., Series B, 6.15%, 9/1/36

     557,218  

1,051,000

    

Lockheed Martin Corp., 3.80%, 3/1/45, Callable 9/1/44 @ 100

     1,210,091  

325,000

    

Lockheed Martin Corp., 4.09%, 9/15/52, Callable 3/15/52 @ 100

     397,061  

2,256,000

    

Northrop Grumman Corp., 2.93%, 1/15/25, Callable 11/15/24 @ 100

     2,389,203  

214,000

    

Northrop Grumman Corp., 4.75%, 6/1/43

     270,751  

217,000

    

Northrop Grumman Corp., 3.85%, 4/15/45, Callable 10/15/44 @ 100

     246,471  

1,503,000

    

Northrop Grumman Corp., 4.03%, 10/15/47, Callable 4/15/47 @ 100

     1,758,803  

115,000

    

Raytheon Technologies Corp., 7.00%, 11/1/28

     151,549  

2,427,000

    

Raytheon Technologies Corp., 4.13%, 11/16/28, Callable 8/16/28 @ 100

     2,760,911  

559,000

    

Raytheon Technologies Corp., 2.15%, 5/18/30, Callable 2/18/30 @ 100

     721,965  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Aerospace & Defense, continued

 

$415,000

    

Raytheon Technologies Corp., 4.20%, 12/15/44, Callable 6/15/44 @ 100

   $ 477,614  

709,000

    

Raytheon Technologies Corp., 4.35%, 4/15/47, Callable 10/15/46 @ 100

     850,460  

1,426,000

    

Raytheon Technologies Corp., 4.63%, 11/16/48, Callable 5/16/48 @ 100

     1,799,913  

10,000

    

Raytheon Technologies Corp., 2.82%, 9/1/51, Callable 3/1/51 @ 100

     9,438  

264,000

    

Textron, Inc., 3.65%, 3/15/27, Callable 12/15/26 @ 100

     289,675  

1,098,000

    

Textron, Inc., 3.90%, 9/17/29, Callable 6/17/29 @ 100

     1,222,055  

485,000

    

United Technologies Corp., 7.50%, 9/15/29

     668,875  
       

 

 

 

          28,878,755  
       

 

 

 

Air Freight & Logistics (0.3%):

 

620,000

    

FedEx Corp., 0.45%, 5/4/29, Callable 2/4/29 @ 100

     713,185  

3,157,000

    

FedEx Corp., 4.25%, 5/15/30, Callable 2/15/30 @ 100

     3,614,399  

1,472,000

    

FedEx Corp., 2.40%, 5/15/31, Callable 2/15/31 @ 100

     1,476,139  

2,000

    

FedEx Corp., 4.90%, 1/15/34

     2,449  

695,000

    

United Parcel Service, Inc., 0.38%, 11/15/23, Callable 8/15/23 @ 100

     815,557  

1,246,000

    

United Parcel Service, Inc., 3.40%, 3/15/29, Callable 12/15/28 @ 100

     1,380,108  

384,000

    

United Parcel Service, Inc., 4.45%, 4/1/30, Callable 1/1/30 @ 100

     455,658  
       

 

 

 

          8,457,495  
       

 

 

 

Airlines (0.3%):

 

869,401

    

American Airlines Pass Through Trust, Series 2015-2, Class B, 4.40%, 3/22/25

     852,269  

319,624

    

American Airlines Pass Through Trust, Series 2016-1, Class B, 5.25%, 7/15/25

     313,232  

74,538

    

American Airlines Pass Through Trust, Series 2017-1, Class B, 4.95%, 8/15/26

     74,724  

490,274

    

American Airlines Pass Through Trust, Series 2015-2, Class AA, 3.60%, 3/22/29

     504,376  

213,277

    

American Airlines Pass Through Trust, Series 2016-2, Class AA, 3.20%, 12/15/29

     213,500  

424,604

    

American Airlines Pass Through Trust, Series 2016-3, Class AA, 3.00%, 4/15/30

     424,134  

169,531

    

American Airlines Pass Through Trust, Series 2017-1, Class AA, 3.65%, 8/15/30

     175,299  

675,256

    

American Airlines Pass Through Trust, Series 2019-1, 3.15%, 8/15/33

     682,713  

452,000

    

Delta Airlines Pass Through Trust, Series 2019-1, Class AA, 3.20%, 10/25/25

     476,465  
Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Airlines, continued

 

$122,000

    

Southwest Airlines Co., 2.75%, 11/16/22, Callable 10/16/22 @ 100

   $ 124,875  

9,120

    

United Airlines Pass Through Trust, Series 2014-1, Class B, 4.75%, 10/11/23

     9,246  

44,912

    

United Airlines Pass Through Trust, Series 2014-2, Class B, 4.63%, 3/3/24

     45,923  

7,002

    

United Airlines Pass Through Trust, Series 2016-2, Class B, 3.65%, 4/7/27

     6,964  

269,404

    

United Airlines Pass Through Trust, Series 2018-1, Class B, 4.60%, 9/1/27

     275,615  

1,205,718

    

United Airlines Pass Through Trust, Series 2020-1, Class A, 5.88%, 4/15/29

     1,338,415  

11,374

    

United Airlines Pass Through Trust, Series 2015-1, Class AA, 3.45%, 6/1/29

     11,944  

413,853

    

United Airlines Pass Through Trust, Series 2019-2, Class B, 3.50%, 11/1/29

     407,608  

45,758

    

United Airlines Pass Through Trust, Series 2016-2, Class AA, 3.10%, 1/7/30

     47,551  

183,371

    

United Airlines Pass Through Trust, Series 2019-2, Class AA, 2.88%, 4/7/30

     187,094  

214,670

    

United Airlines Pass Through Trust, Series 2018-1, Class AA, 3.50%, 9/1/31

     225,951  

344,172

    

United Airlines Pass Through Trust, Series 2016-1, Class AA, 4.15%, 2/25/33

     373,535  

485,358

    

United Airlines Pass Through Trust, Series 2019-2, Class AA, 2.70%, 11/1/33

     489,849  
       

 

 

 

          7,261,282  
       

 

 

 

Auto Components (0.0%):

 

520,000

    

BorgWarner, Inc., 1.00%, 5/19/31, Callable 2/19/31 @ 100

     599,740  
       

 

 

 

Automobiles (0.2%):

 

687,000

    

Daimler Finance North America LLC, 3.40%, 2/22/22(a)

     695,173  

1,577,000

    

Daimler Finance North America LLC, 2.13%, 3/10/25(a)

     1,625,018  

1,263,000

    

Daimler Finance North America LLC, 3.30%, 5/19/25(a)

     1,352,712  

150,000

    

Daimler Finance North America LLC, 3.50%, 8/3/25(a)

     162,338  

1,017,000

    

Daimler Finance North America LLC, 1.45%, 3/2/26(a)

     1,019,213  

534,000

    

Nissan Motor Acceptance Co. LLC, 2.45%, 9/15/28, Callable 7/15/28 @ 100(a)

     527,733  
       

 

 

 

          5,382,187  
       

 

 

 

Banks (3.9%):

 

3,067,000

    

Bank of America Corp., 3.55% (US0003M+78 bps), 3/5/24, Callable 3/5/23 @ 100

     3,193,483  

1,283,000

    

Bank of America Corp., 4.00%, 1/22/25, MTN

     1,391,792  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Banks, continued

 

$913,000

    

Bank of America Corp., Series L, 3.95%, 4/21/25

   $ 994,947  

2,857,000

    

Bank of America Corp., 0.98% (SOFR+69 bps), 4/22/25, Callable 4/22/24 @ 100

     2,872,976  

1,683,000

    

Bank of America Corp., 3.37% (US0003M+81 bps), 1/23/26, Callable 1/23/25 @ 100

     1,794,080  

597,000

    

Bank of America Corp., 2.02% (US0003M+64 bps), 2/13/26, Callable 2/13/25 @ 100, MTN

     611,096  

748,000

    

Bank of America Corp., Series G, 4.45%, 3/3/26

     836,473  

6,244,000

    

Bank of America Corp., 1.32% (SOFR+115 bps), 6/19/26, Callable 6/19/25 @ 100, MTN

     6,246,104  

6,920,000

    

Bank of America Corp., 1.20% (SOFR+101 bps), 10/24/26, Callable 10/24/25 @ 100, MTN

     6,848,164  

6,098,000

    

Bank of America Corp., 3.56% (US0003M+106 bps), 4/23/27, Callable 4/23/26 @ 100, MTN

     6,629,307  

1,447,000

    

Bank of America Corp., 1.73% (SOFR+96 bps), 7/22/27, Callable 7/22/26 @ 100

     1,450,249  

2,767,000

    

Bank of America Corp., 3.82% (US0003M+158 bps), 1/20/28, Callable 1/20/27 @ 100, MTN

     3,043,534  

556,000

    

Bank of America Corp., 3.42% (US0003M+104 bps), 12/20/28, Callable 12/20/27 @ 100

     601,328  

821,000

    

Bank of America Corp., 3.97% (US0003M+107 bps), 3/5/29, Callable 3/5/28 @ 100, MTN

     914,410  

1,535,000

    

Bank of America Corp., 4.27% (US0003M+131 bps), 7/23/29, Callable 7/23/28 @ 100

     1,741,098  

735,000

    

Bank of America Corp., 3.97% (US0003M+121 bps), 2/7/30, Callable 2/7/29 @ 100, MTN

     821,818  

1,510,000

    

Bank of America Corp., 3.19% (US0003M+118 bps), 7/23/30, Callable 7/23/29 @ 100, MTN

     1,600,786  

6,772,000

    

Bank of America Corp., 2.88% (US0003M+119 bps), 10/22/30, Callable 10/22/29 @ 100, MTN

     7,063,460  

472,000

    

Bank of America Corp., 2.50% (US0003M+99 bps), 2/13/31, Callable 2/13/30 @ 100, MTN

     477,610  

793,000

    

Bank of America Corp., 2.59% (SOFR+215 bps), 4/29/31, Callable 4/29/30 @ 100

     806,433  

295,000

    

Bank of America Corp., 1.90%, 7/23/31, Callable 7/23/30 @ 100, MTN

     283,340  

860,000

    

Bank of America Corp., 1.92% (SOFR+137 bps), 10/24/31, Callable 10/24/30 @ 100, MTN

     824,813  

580,000

    

Bank of America Corp., 0.65% (EUR003M+94 bps), 10/26/31, Callable 10/26/30 @ 100, MTN(a)

     663,452  

2,208,000

    

Bank of America Corp., 4.08% (US0003M+132 bps), 4/23/40, Callable 4/23/39 @ 100, MTN

     2,535,722  
Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Banks, continued

 

$1,180,000

    

Bank of America Corp., 2.68% (SOFR+193 bps), 6/19/41, Callable 6/19/40 @ 100, MTN

   $ 1,124,305  

905,000

    

Bank of America Corp., 5.87% (US0003M+293 bps), 12/31/99, Callable 3/15/28 @ 100

     1,031,700  

5,943,000

    

Citigroup, Inc., 3.98% (US0003M+134 bps), 3/20/30, Callable 3/20/29 @ 100

     6,680,479  

4,621,000

    

Citigroup, Inc., 2.98% (SOFR+142 bps), 11/5/30, Callable 11/5/29 @ 100

     4,849,273  

479,000

    

Citigroup, Inc., 2.57% (SOFR+211 bps), 6/3/31, Callable 6/3/30 @ 100

     487,280  

480,000

    

Citigroup, Inc., 4.00% (H15T5Y+4 bps), 12/31/99, Callable 12/10/25 @ 100

     495,600  

4,910,000

    

JPMorgan Chase & Co., 4.02% (US0003M+100 bps), 12/5/24, Callable 12/5/23 @ 100

     5,247,685  

309,000

    

JPMorgan Chase & Co., 3.90%, 7/15/25, Callable 4/15/25 @ 100

     338,377  

182,000

    

JPMorgan Chase & Co., 2.30% (SOFR+116 bps), 10/15/25, Callable 10/15/24 @ 100

     188,405  

1,385,000

    

JPMorgan Chase & Co., 2.00% (SOFR+159 bps), 3/13/26, Callable 3/13/25 @ 100

     1,415,970  

2,000

    

JPMorgan Chase & Co., 3.20%, 6/15/26, Callable 3/15/26 @ 100

     2,158  

2,230,000

    

JPMorgan Chase & Co., 3.96% (US0003M+125 bps), 1/29/27, Callable 1/29/26 @ 100

     2,459,964  

2,697,000

    

JPMorgan Chase & Co., 1.58% (SOFR+89 bps), 4/22/27, Callable 4/22/26 @ 100

     2,701,625  

5,311,000

    

JPMorgan Chase & Co., 3.78% (US0003M+134 bps), 2/1/28, Callable 2/1/27 @ 100

     5,846,248  

1,750,000

    

JPMorgan Chase & Co., 4.00% (US0003M+112 bps), 4/23/29, Callable 4/23/28 @ 100

     1,957,835  

1,318,000

    

JPMorgan Chase & Co., 3.70% (US0003M+116 bps), 5/6/30, Callable 5/6/29 @ 100

     1,453,568  

977,000

    

JPMorgan Chase & Co., 2.74% (SOFR+151 bps), 10/15/30, Callable 10/15/29 @ 100

     1,010,750  

1,346,000

    

JPMorgan Chase & Co., 3.11% (SOFR+246 bps), 4/22/41, Callable 4/22/40 @ 100

     1,378,225  

1,468,000

    

JPMorgan Chase & Co., 4.26% (US0003M+158 bps), 2/22/48, Callable 2/22/47 @ 100

     1,760,659  

400,000

    

JPMorgan Chase & Co., 4.03% (US0003M+146 bps), 7/24/48, Callable 7/24/47 @ 100

     463,728  

381,000

    

JPMorgan Chase & Co., 3.96% (US0003M+138 bps), 11/15/48, Callable 11/15/47 @ 100

     440,525  

254,000

    

JPMorgan Chase & Co., 3.90% (US0003M+122 bps), 1/23/49, Callable 1/23/48 @ 100

     290,134  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Banks, continued

 

$105,000

    

Synovus Financial Corp., 3.13%, 11/1/22, Callable 10/1/22 @ 100

   $ 107,301  

900,000

    

Wells Fargo & Co., 1.13%, 10/29/21, MTN(a)

     1,043,515  

1,676,000

    

Wells Fargo & Co., 3.00%, 2/19/25

     1,776,605  

290,000

    

Wells Fargo & Co., 1.34% (EUR003M+167 bps), 5/4/25, Callable 5/4/24 @ 100, MTN(a)

     347,311  

2,090,000

    

Wells Fargo & Co., 3.58% (US0003M+131 bps), 5/22/28, Callable 5/22/27 @ 100, MTN

     2,284,378  

2,835,000

    

Wells Fargo & Co., 2.88% (US0003M+117 bps), 10/30/30, Callable 10/30/29 @ 100, MTN

     2,941,358  

331,000

    

Wells Fargo & Co., 5.38%, 2/7/35

     438,604  

1,308,000

    

Wells Fargo & Co., 3.07% (SOFR+253 bps), 4/30/41, Callable 4/30/40 @ 100

     1,347,058  
       

 

 

 

          106,157,098  
       

 

 

 

Beverages (0.5%):

 

7,123,000

    

Anheuser-Busch Cos LLC/Anheuser-Busch InBev Worldwide, Inc., 4.70%, 2/1/36, Callable 8/1/35 @ 100

     8,592,888  

1,258,000

    

Anheuser-Busch Cos LLC/Anheuser-Busch InBev Worldwide, Inc., 4.90%, 2/1/46, Callable 8/1/45 @ 100

     1,554,353  

275,000

    

Anheuser-Busch InBev Worldwide, Inc., 4.60%, 4/15/48, Callable 10/15/47 @ 100

     327,320  

1,600,000

    

Coca-Cola Co. (The), 2.25%, 1/5/32

     1,614,418  

490,000

    

Coca-Cola Co. (The), 1.00%, 3/9/41

     545,339  

923,000

    

Keurig Dr Pepper, Inc., 3.20%, 5/1/30, Callable 2/1/30 @ 100

     991,041  
       

 

 

 

          13,625,359  
       

 

 

 

Biotechnology (0.4%):

 

160,000

    

AbbVie, Inc., 1.38%, 5/17/24, Callable 2/17/24 @ 100

     191,853  

140,000

    

AbbVie, Inc., 1.25%, 6/1/24, Callable 3/1/24 @ 100

     167,442  

2,680,000

    

AbbVie, Inc., 4.55%, 3/15/35, Callable 9/15/34 @ 100

     3,216,780  

1,789,000

    

AbbVie, Inc., 4.50%, 5/14/35, Callable 11/14/34 @ 100

     2,135,078  

864,000

    

AbbVie, Inc., 4.63%, 10/1/42, Callable 4/1/42 @ 100

     1,055,188  

672,000

    

Amgen, Inc., 4.40%, 5/1/45, Callable 11/1/44 @ 100

     799,661  

612,000

    

Amgen, Inc., 4.56%, 6/15/48, Callable 12/15/47 @ 100

     755,175  

700,000

    

Biogen, Inc., 3.15%, 5/1/50, Callable 11/1/49 @ 100

     669,067  

1,178,000

    

Gilead Sciences, Inc., 4.80%, 4/1/44, Callable 10/1/43 @ 100

     1,477,066  

464,000

    

Gilead Sciences, Inc., 4.75%, 3/1/46, Callable 9/1/45 @ 100

     581,288  
       

 

 

 

          11,048,598  
       

 

 

 

Building Products (0.0%):

 

897,000

    

Carrier Global Corp., 2.24%, 2/15/25, Callable 1/15/25 @ 100

     929,839  
       

 

 

 

Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Capital Markets (2.7%):

 

$2,221,000

    

Ares Capital Corp., 4.25%, 3/1/25, Callable 1/1/25 @ 100

   $ 2,381,845  

1,042,000

    

Ares Capital Corp., 3.88%, 1/15/26, Callable 12/15/25 @ 100

     1,113,836  

704,000

    

Ares Capital Corp., 2.15%, 7/15/26, Callable 6/15/26 @ 100

     706,095  

370,000

    

Bank of New York Mellon Corp. (The), 4.62% (US0003M+313 bps), 12/29/49, Callable 9/20/26 @ 100

     400,525  

1,150,000

    

Bank of New York Mellon Corp. (The), 3.70% (H15T5Y+335 bps), 12/31/99, Callable 3/20/26 @ 100

     1,204,625  

1,435,000

    

Charles Schwab Corp. (The), Series E, 4.62% (US0003M+332 bps), 12/29/49, Callable 3/1/22 @ 100

     1,446,480  

3,115,000

    

Charles Schwab Corp. (The), 4.00% (H15T5Y+317 bps), 12/31/99, Callable 6/1/26 @ 100

     3,239,600  

5,126,000

    

Goldman Sachs Group, Inc. (The), 2.88% (US0003M+82 bps), 10/31/22, Callable 10/31/21 @ 100

     5,132,079  

1,460,000

    

Goldman Sachs Group, Inc. (The), 0.00% (EUR003M+55 bps), 4/21/23, Callable 4/21/22 @ 100, MTN(a)

     1,694,385  

7,530,000

    

Goldman Sachs Group, Inc. (The), 3.50%, 4/1/25, Callable 3/1/25 @ 100

     8,084,585  

1,633,000

    

Goldman Sachs Group, Inc. (The), 3.75%, 5/22/25, Callable 2/22/25 @ 100

     1,766,062  

730,000

    

Goldman Sachs Group, Inc. (The), 0.86%, 2/12/26, Callable 2/12/25 @ 100

     721,634  

4,199,000

    

Goldman Sachs Group, Inc. (The), 3.75%, 2/25/26, Callable 11/25/25 @ 100

     4,600,093  

1,234,000

    

Goldman Sachs Group, Inc. (The), 1.29% (US0003M+117 bps), 5/15/26, Callable 5/15/25 @ 100

     1,263,834  

2,302,000

    

Goldman Sachs Group, Inc. (The), 4.41% (US0003M+143 bps), 4/23/39, Callable 4/23/38 @ 100

     2,754,458  

1,581,000

    

Goldman Sachs Group, Inc. (The), 6.25%, 2/1/41

     2,298,151  

347,000

    

Goldman Sachs Group, Inc. (The), 3.21% (SOFR+151 bps), 4/22/42, Callable 4/22/41 @ 100

     356,023  

309,000

    

Goldman Sachs Group, Inc. (The), 2.91%, 7/21/42, Callable 7/21/41 @ 100

     305,625  

992,000

    

Intercontinental Exchange, Inc., 2.10%, 6/15/30, Callable 3/15/30 @ 100

     979,921  

3,423,000

    

Morgan Stanley, 3.63%, 1/20/27

     3,772,933  

9,921,000

    

Morgan Stanley, 1.59% (SOFR+88 bps), 5/4/27, Callable 5/4/26 @ 100

     9,951,537  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Capital Markets, continued

 

$4,744,000

    

Morgan Stanley, 3.59% (US0003M+134 bps), 7/22/28, Callable 7/22/27 @ 100

   $ 5,197,830  

1,102,000

    

Morgan Stanley, 3.77% (US0003M+114 bps), 1/24/29, Callable 1/24/28 @ 100

     1,216,692  

1,564,000

    

Morgan Stanley, Series G, 4.43% (US0003M+163 bps), 1/23/30, Callable 1/23/29 @ 100, MTN

     1,805,566  

6,959,000

    

Morgan Stanley, 2.70% (SOFR+114 bps), 1/22/31, Callable 1/22/30 @ 100, MTN

     7,171,472  

552,000

    

Morgan Stanley, 1.79% (SOFR+1 bps), 2/13/32, Callable 2/13/31 @ 100, MTN

     525,161  

1,111,000

    

Morgan Stanley, 3.97% (US0003M+146 bps), 7/22/38, Callable 7/22/37 @ 100

     1,278,479  

196,000

    

State Street Corp., 2.90% (SOFR+3 bps), 3/30/26, Callable 3/30/25 @ 100

     207,900  

661,000

    

State Street Corp., Series F, 3.71% (US0003M+360 bps), Callable 12/15/21 @ 100

     663,644  

1,415,000

    

State Street Corp., Series H, 5.62% (US0003M+254 bps), 12/31/99, Callable 12/15/23 @ 100

     1,494,240  
       

 

 

 

          73,735,310  
       

 

 

 

Chemicals (0.3%):

 

570,000

    

Air Products and Chemicals, Inc., 2.80%, 5/15/50, Callable 11/15/49 @ 100

     568,889  

503,000

    

Dow Chemical Co. (The), 1.13%, 3/15/32, Callable 12/15/31 @ 100

     593,130  

565,000

    

Dow Chemical Co. (The), 5.55%, 11/30/48, Callable 5/30/48 @ 100

     781,658  

3,116,000

    

DowDuPont, Inc., 4.49%, 11/15/25, Callable 9/15/25 @ 100

     3,494,666  

635,000

    

Ecolab, Inc., 2.75%, 8/18/55, Callable 2/18/55 @ 100(a)

     608,690  

663,000

    

LYB International Finance III LLC, 4.20%, 5/1/50, Callable 11/1/49 @ 100

     754,056  

440,000

    

Sherwin-Williams Co. (The), 4.20%, 1/15/22, Callable 10/15/21 @ 100

     440,524  

353,000

    

Sherwin-Williams Co. (The), 4.50%, 6/1/47, Callable 12/1/46 @ 100

     431,270  

493,000

    

Westlake Chemical Corp., 3.38%, 8/15/61, Callable 2/15/61 @ 100

     462,360  
       

 

 

 

          8,135,243  
       

 

 

 

Commercial Services & Supplies (0.0%):

 

472,000

    

Waste Management, Inc., 2.00%, 6/1/29, Callable 4/1/29 @ 100

     474,563  

107,000

    

Waste Management, Inc., 2.95%, 6/1/41, Callable 12/1/40 @ 100

     109,077  
       

 

 

 

          583,640  
       

 

 

 

Communications Equipment (0.2%):

 

1,085,000

    

Motorola Solutions, Inc., 4.60%, 2/23/28, Callable 11/23/27 @ 100

     1,251,398  
Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Communications Equipment, continued

 

$1,662,000

    

Motorola Solutions, Inc., 4.60%, 5/23/29, Callable 2/23/29 @ 100

   $ 1,931,842  

756,000

    

Motorola Solutions, Inc., 2.30%, 11/15/30, Callable 8/15/30 @ 100

     742,539  

1,822,000

    

Motorola Solutions, Inc., 2.75%, 5/24/31, Callable 2/24/31 @ 100

     1,854,140  

27,000

    

Motorola Solutions, Inc., 5.50%, 9/1/44

     34,776  
       

 

 

 

          5,814,695  
       

 

 

 

Consumer Finance (0.5%):

 

740,000

    

American Honda Finance Corp., 1.38%, 11/10/22

     873,711  

110,000

    

American Honda Finance Corp., 0.55%, 3/17/23

     128,960  

1,000,000

    

Capital One Financial Corp., 1.65%, 6/12/29

     1,224,829  

1,620,000

    

General Motors Financial Co., Inc., 4.20%, 11/6/21

     1,625,411  

1,394,000

    

General Motors Financial Co., Inc., 4.00%, 1/15/25, Callable 10/15/24 @ 100

     1,508,507  

2,801,000

    

General Motors Financial Co., Inc., 4.35%, 4/9/25, Callable 2/9/25 @ 100

     3,066,972  

1,420,000

    

Hyundai Capital America, 3.95%, 2/1/22(a)

     1,435,974  

2,065,000

    

Hyundai Capital America, 2.38%, 2/10/23(a)

     2,108,805  

1,274,000

    

Toyota Motor Credit Corp., 3.00%, 4/1/25, MTN

     1,358,178  

1,166,000

    

Toyota Motor Credit Corp., 0.80%, 1/9/26, MTN

     1,147,961  
       

 

 

 

          14,479,308  
       

 

 

 

Containers & Packaging (0.1%):

 

1,876,000

    

Amcor Flexibles North America, Inc., 2.69%, 5/25/31, Callable 2/25/31 @ 100

     1,922,015  

470,000

    

International Paper Co., 4.80%, 6/15/44, Callable 12/15/43 @ 100

     589,506  

239,000

    

Packaging Corp. of America, 3.05%, 10/1/51, Callable 4/1/51 @ 100

     235,110  
       

 

 

 

          2,746,631  
       

 

 

 

Diversified Consumer Services (0.0%):

 

145,000

    

California Institute of Technology, 4.32%, 8/1/45

     185,014  

360,000

    

Massachusetts Institute of Technology, 4.68%, 7/1/14

     518,835  
       

 

 

 

          703,849  
       

 

 

 

Diversified Financial Services (0.3%):

 

775,000

    

BMW US Capital LLC, 4.15%, 4/9/30, Callable 1/9/30 @ 100(a)

     892,953  

425,000

    

BMW US Capital LLC, 1.95%, 8/12/31, Callable 5/12/31 @ 100(a)

     414,299  

1,000,000

    

BP Capital Markets America, Inc., 3.00%, 3/17/52, Callable 9/17/51 @ 100

     956,558  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Diversified Financial Services, continued

 

$3,284,000

    

Glencore Funding LLC, 1.63%, 4/27/26, Callable 3/27/26 @ 100(a)

   $ 3,266,933  

1,032,000

    

Glencore Funding LLC, 2.50%, 9/1/30, Callable 6/1/30 @ 100(a)

     1,009,552  

536,000

    

Glencore Funding LLC, 2.85%, 4/27/31, Callable 1/27/31 @ 100(a)

     538,806  

644,000

    

Glencore Funding LLC, 2.63%, 9/23/31, Callable 6/23/31 @ 100(a)

     630,010  

331,000

    

Glencore Funding LLC, 3.38%, 9/23/51, Callable 3/23/51 @ 100(a)

     313,502  
       

 

 

 

          8,022,613  
       

 

 

 

Diversified Telecommunication Services (1.5%):

 

2,000,000

    

AT&T, Inc., 0.54%, 11/27/22(a)(c)

     1,987,374  

425,000

    

AT&T, Inc., 2.30%, 6/1/27, Callable 4/1/27 @ 100

     439,770  

435,000

    

AT&T, Inc., 1.65%, 2/1/28, Callable 12/1/27 @ 100

     430,670  

375,000

    

AT&T, Inc., 4.10%, 2/15/28, Callable 11/15/27 @ 100

     421,422  

1,173,000

    

AT&T, Inc., 4.35%, 3/1/29, Callable 12/1/28 @ 100

     1,343,686  

2,753,000

    

AT&T, Inc., 4.30%, 2/15/30, Callable 11/15/29 @ 100

     3,149,215  

935,000

    

AT&T, Inc., 4.50%, 5/15/35, Callable 11/15/34 @ 100

     1,086,821  

190,000

    

AT&T, Inc., 3.15%, 9/4/36, Callable 6/4/36 @ 100

     266,690  

930,000

    

AT&T, Inc., 5.25%, 3/1/37, Callable 9/1/36 @ 100

     1,153,012  

490,000

    

AT&T, Inc., 2.60%, 5/19/38, Callable 11/19/37 @ 100

     644,614  

694,000

    

AT&T, Inc., 4.90%, 6/15/42

     833,438  

406,000

    

AT&T, Inc., 4.35%, 6/15/45, Callable 12/15/44 @ 100

     458,024  

1,116,000

    

AT&T, Inc., 4.75%, 5/15/46, Callable 11/15/45 @ 100

     1,336,378  

602,000

    

AT&T, Inc., 4.50%, 3/9/48, Callable 9/9/47 @ 100

     694,840  

1,668,000

    

AT&T, Inc., 5.15%, 2/15/50, Callable 8/14/49 @ 100

     2,099,962  

786,000

    

AT&T, Inc., 3.80%, 12/1/57, Callable 6/1/57 @ 100

     797,939  

1,505,000

    

AT&T, Inc., 3.50%, 2/1/61, Callable 8/1/60 @ 100

     1,428,021  

289,000

    

Verizon Communications, Inc., 4.13%, 3/16/27

     327,283  

276,000

    

Verizon Communications, Inc., 3.00%, 3/22/27, Callable 1/22/27 @ 100

     295,940  

3,288,000

    

Verizon Communications, Inc., 2.10%, 3/22/28, Callable 1/22/28 @ 100

     3,320,111  

807,000

    

Verizon Communications, Inc., 4.33%, 9/21/28

     926,989  

1,909,000

    

Verizon Communications, Inc., 4.02%, 12/3/29, Callable 9/3/29 @ 100

     2,159,585  

5,577,000

    

Verizon Communications, Inc., 3.15%, 3/22/30, Callable 12/22/29 @ 100

     5,958,327  
Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Diversified Telecommunication Services, continued

 

$466,000

    

Verizon Communications, Inc., 1.50%, 9/18/30, Callable 6/18/30 @ 100

   $ 438,989  

1,836,000

    

Verizon Communications, Inc., 1.68%, 10/30/30, Callable 7/30/30 @ 100

     1,737,871  

1,673,000

    

Verizon Communications, Inc., 2.55%, 3/21/31, Callable 12/21/30 @ 100

     1,688,689  

3,508,000

    

Verizon Communications, Inc., 4.27%, 1/15/36

     4,131,680  

1,122,000

    

Verizon Communications, Inc., 4.86%, 8/21/46

     1,426,132  

293,000

    

Verizon Communications, Inc., 5.50%, 3/16/47

     404,291  

221,000

    

Verizon Communications, Inc., 2.99%, 10/30/56, Callable 4/30/56 @ 100

     205,468  

417,000

    

Verizon Communications, Inc., 3.00%, 11/20/60, Callable 5/20/60 @ 100

     384,355  
       

 

 

 

          41,977,586  
       

 

 

 

Electric Utilities (2.0%):

 

430,000

    

AEP Texas, Inc., 2.40%, 10/1/22, Callable 9/1/22 @ 100

     437,515  

527,000

    

AEP Texas, Inc., Series H, 3.45%, 1/15/50, Callable 7/15/49 @ 100

     542,229  

1,185,000

    

AEP Texas, Inc., 3.45%, 5/15/51, Callable 11/15/50 @ 100

     1,225,000  

221,000

    

AEP Transmission Co. LLC, 3.75%, 12/1/47, Callable 6/1/47 @ 100

     243,759  

565,000

    

AEP Transmission Co. LLC, 3.15%, 9/15/49, Callable 3/15/49 @ 100

     575,563  

780,000

    

AEP Transmission Co. LLC, 2.75%, 8/15/51, Callable 2/15/51 @ 100

     744,882  

1,044,000

    

Alabama Power Co., 3.45%, 10/1/49, Callable 4/1/49 @ 100

     1,125,195  

612,000

    

Baltimore Gas & Electric Co., 3.50%, 8/15/46, Callable 2/15/46 @ 100

     671,191  

1,216,000

    

Baltimore Gas & Electric Co., 3.75%, 8/15/47, Callable 2/15/47 @ 100

     1,356,131  

335,000

    

Baltimore Gas & Electric Co., 3.20%, 9/15/49, Callable 3/15/49 @ 100

     347,609  

750,000

    

Commonwealth Edison Co., 3.13%, 3/15/51, Callable 9/15/50 @ 100

     770,834  

119,000

    

DTE Electric Co., Series A, 4.05%, 5/15/48, Callable 11/15/47 @ 100

     140,280  

1,088,000

    

DTE Electric Co., 3.95%, 3/1/49, Callable 9/1/48 @ 100

     1,271,884  

118,000

    

Duke Energy Carolinas LLC, 3.75%, 6/1/45, Callable 12/1/44 @ 100

     130,977  

718,000

    

Duke Energy Carolinas LLC, 3.88%, 3/15/46, Callable 9/15/45 @ 100

     812,738  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Electric Utilities, continued

 

$259,000

    

Duke Energy Carolinas LLC, 3.45%, 4/15/51, Callable 10/15/50 @ 100

   $ 279,329  

2,718,000

    

Duke Energy Florida LLC, 2.50%, 12/1/29, Callable 9/1/29 @ 100

     2,808,007  

955,000

    

Duke Energy Florida LLC, 1.75%, 6/15/30, Callable 3/15/30 @ 100

     923,566  

397,000

    

Duke Energy Florida LLC, 3.40%, 10/1/46, Callable 4/1/46 @ 100

     424,335  

555,000

    

Duke Energy Ohio, Inc., 3.65%, 2/1/29, Callable 11/1/28 @ 100

     610,034  

95,000

    

Duke Energy Progress LLC, 3.45%, 3/15/29, Callable 12/15/28 @ 100

     104,443  

337,000

    

Duke Energy Progress LLC, 4.20%, 8/15/45, Callable 2/15/45 @ 100

     398,121  

315,000

    

Duke Energy Progress LLC, 2.90%, 8/15/51, Callable 2/15/51 @ 100

     307,530  

220,000

    

Duke Energy Progress, Inc., 5.70%, 4/1/35

     291,067  

471,000

    

Duke Energy Progress, Inc., 4.10%, 5/15/42, Callable 11/15/41 @ 100

     544,617  

719,000

    

Duke Energy Progress, Inc., 4.10%, 3/15/43, Callable 9/15/42 @ 100

     840,418  

2,153,000

    

Edison International, 2.40%, 9/15/22, Callable 8/15/22 @ 100

     2,187,067  

258,000

    

Edison International, 4.95%, 4/15/25, Callable 3/15/25 @ 100

     283,412  

258,000

    

Entergy Arkansas LLC, 3.35%, 6/15/52, Callable 12/15/51 @ 100

     271,167  

754,000

    

Entergy Louisiana LLC, 1.60%, 12/15/30, Callable 9/15/30 @ 100

     714,639  

386,000

    

Entergy Louisiana LLC, 2.35%, 6/15/32, Callable 3/15/32 @ 100

     384,274  

511,000

    

Entergy Louisiana LLC, 2.90%, 3/15/51, Callable 9/15/50 @ 100

     490,516  

382,000

    

Exelon Corp., 5.63%, 6/15/35

     494,380  

898,000

    

Exelon Corp., 4.70%, 4/15/50, Callable 10/15/49 @ 100

     1,132,438  

193,000

    

FirstEnergy Corp., 2.05%, 3/1/25, Callable 2/1/25 @ 100

     194,404  

517,000

    

FirstEnergy Corp., 2.65%, 3/1/30, Callable 12/1/29 @ 100

     513,246  

203,000

    

FirstEnergy Corp., 7.38%, 11/15/31

     274,685  

636,000

    

FirstEnergy Corp., Series C, 3.40%, 3/1/50, Callable 9/1/49 @ 100

     611,171  

505,000

    

FirstEnergy Transmission LLC, 4.35%, 1/15/25, Callable 10/15/24 @ 100(a)

     549,620  

303,000

    

FirstEnergy Transmission LLC, 5.45%, 7/15/44, Callable 1/15/44 @ 100(a)

     385,946  

990,000

    

FirstEnergy Transmission LLC, 4.55%, 4/1/49, Callable 10/1/48 @ 100(a)

     1,155,105  

817,000

    

Florida Power & Light Co., 3.70%, 12/1/47, Callable 6/1/47 @ 100

     939,512  
Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Electric Utilities, continued

 

$783,000

    

Florida Power & Light Co., 3.95%, 3/1/48, Callable 9/1/47 @ 100

   $ 933,475  

449,000

    

Florida Power & Light Co., 3.99%, 3/1/49, Callable 9/1/48 @ 100

     540,830  

1,399,000

    

Florida Power & Light Co., 3.15%, 10/1/49, Callable 4/1/49 @ 100

     1,481,089  

658,000

    

MidAmerican Energy Co., 3.10%, 5/1/27, Callable 2/1/27 @ 100

     715,429  

1,639,000

    

MidAmerican Energy Co., 3.65%, 4/15/29, Callable 1/15/29 @ 100

     1,826,885  

399,000

    

MidAmerican Energy Co., 3.15%, 4/15/50, Callable 10/15/49 @ 100

     415,625  

705,000

    

Northern States Power Co., 2.90%, 3/1/50, Callable 9/1/49 @ 100

     706,209  

1,070,000

    

Northern States Power Co., 2.60%, 6/1/51, Callable 12/1/50 @ 100

     1,012,340  

174,000

    

Northern States Power Co., 3.20%, 4/1/52, Callable 10/1/51 @ 100

     183,754  

451,000

    

Ohio Power Co., 1.63%, 1/15/31, Callable 10/15/30 @ 100^

     429,252  

362,000

    

Ohio Power Co., 4.00%, 6/1/49, Callable 12/1/48 @ 100

     417,903  

716,000

    

Ohio Power Co., 2.90%, 10/1/51, Callable 4/1/51 @ 100

     690,321  

1,406,000

    

Oncor Electric Delivery Co. LLC, 3.70%, 11/15/28, Callable 8/15/28 @ 100

     1,573,921  

10,000

    

Oncor Electric Delivery Co. LLC, 5.75%, 3/15/29, Callable 12/15/28 @ 100

     12,367  

271,000

    

Oncor Electric Delivery Co. LLC, 3.80%, 9/30/47, Callable 3/30/47 @ 100

     311,058  

383,000

    

Oncor Electric Delivery Co. LLC, 4.10%, 11/15/48, Callable 5/15/48 @ 100

     460,555  

614,000

    

PECO Energy Co., 3.05%, 3/15/51, Callable 9/15/50 @ 100

     617,410  

535,000

    

Public Service Electric & Gas Co., 3.65%, 9/1/28, Callable 6/1/28 @ 100

     594,993  

340,000

    

Public Service Electric & Gas Co., 2.05%, 8/1/50, Callable 2/1/50 @ 100, MTN

     292,101  

3,823,000

    

Southern California Edison Co., Series E, 3.70%, 8/1/25, Callable 6/1/25 @ 100

     4,141,303  

813,000

    

Southern California Edison Co., Series 20C, 1.20%, 2/1/26, Callable 1/1/26 @ 100

     807,759  

869,000

    

Southwestern Public Service Co., 3.15%, 5/1/50, Callable 11/1/49 @ 100

     900,148  

215,000

    

Tampa Electric Co., 4.20%, 5/15/45, Callable 11/15/44 @ 100

     244,233  

3,000

    

Tampa Electric Co., 4.45%, 6/15/49, Callable 12/15/48 @ 100

     3,721  

540,000

    

Tampa Electric Co., 3.63%, 6/15/50, Callable 12/15/49 @ 100

     592,051  

500,000

    

Virginia Electric & Power Co., 3.45%, 9/1/22, Callable 6/1/22 @ 100

     510,346  

381,000

    

Virginia Electric & Power Co., Series A, 6.00%, 5/15/37

     531,493  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Electric Utilities, continued

 

$451,000

    

Virginia Electric & Power Co., Series D, 4.65%, 8/15/43, Callable 2/15/43 @ 100

   $ 556,978  

715,000

    

Virginia Electric and Power Co., Series B, 4.20%, 5/15/45, Callable 11/15/44 @ 100

     843,199  

2,301,000

    

Vistra Operations Co. LLC, 4.30%, 7/15/29, Callable 4/15/29 @ 100(a)

     2,441,936  
       

 

 

 

          53,297,520  
       

 

 

 

Electronic Equipment, Instruments &
Components (0.0%):
  

198,000

    

Corning, Inc., 4.38%, 11/15/57, Callable 5/15/57 @ 100

     237,035  
       

 

 

 

Entertainment (0.2%):

 

1,457,000

    

Activision Blizzard, Inc., 3.40%, 9/15/26, Callable 6/15/26 @ 100

     1,585,872  

889,000

    

Activision Blizzard, Inc., 2.50%, 9/15/50, Callable 3/15/50 @ 100

     774,739  

2,344,000

    

Electronic Arts, Inc., 1.85%, 2/15/31, Callable 11/15/30 @ 100

     2,266,191  

744,000

    

ViacomCBS, Inc., 6.88%, 4/30/36

     1,063,090  
       

 

 

 

          5,689,892  
       

 

 

 

Equity Real Estate Investment Trusts (0.6%):

 

810,000

    

American Tower Corp., 0.40%, 2/15/27, Callable 12/15/26 @ 100

     934,765  

1,429,000

    

American Tower Corp., 1.50%, 1/31/28, Callable 11/30/27 @ 100

     1,382,267  

1,429,000

    

American Tower Corp., 3.80%, 8/15/29, Callable 5/15/29 @ 100

     1,586,414  

1,206,000

    

American Tower Corp., 2.10%, 6/15/30, Callable 3/15/30 @ 100

     1,182,505  

430,000

    

Crown Castle International Corp., 3.70%, 6/15/26, Callable 3/15/26 @ 100

     468,929  

2,244,000

    

Crown Castle International Corp., 3.10%, 11/15/29, Callable 8/15/29 @ 100

     2,354,701  

1,155,000

    

Crown Castle International Corp., 2.25%, 1/15/31, Callable 10/15/30 @ 100

     1,127,867  

714,000

    

Crown Castle International Corp., 5.20%, 2/15/49, Callable 8/15/48 @ 100

     928,109  

362,000

    

Duke Realty LP, 4.00%, 9/15/28, Callable 6/15/28 @ 100

     409,093  

1,136,000

    

Duke Realty LP, 1.75%, 2/1/31, Callable 11/1/30 @ 100

     1,083,542  

2,070,000

    

Equinix, Inc., 2.00%, 5/15/28, Callable 3/15/28 @ 100

     2,075,757  

697,000

    

Equinix, Inc., 3.20%, 11/18/29, Callable 8/18/29 @ 100

     740,027  

593,000

    

National Retail Properties, Inc., 3.10%, 4/15/50, Callable 10/15/49 @ 100

     574,277  

801,000

    

National Retail Properties, Inc., 3.50%, 4/15/51, Callable 10/15/50 @ 100

     832,455  
Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Equity Real Estate Investment Trusts, continued

 

$92,000

    

National Retail Properties, Inc., 3.00%, 4/15/52, Callable 10/15/51 @ 100

   $ 87,377  

775,000

    

Prologis Euro Finance LLC, 1.50%, 9/10/49, Callable 3/10/49 @ 100

     876,824  

611,000

    

Realty Income Corp., 3.25%, 1/15/31, Callable 10/15/30 @ 100

     662,171  
       

 

 

 

          17,307,080  
       

 

 

 

Food & Staples Retailing (0.0%):

 

978,000

    

Walmart, Inc., 2.65%, 9/22/51, Callable 3/22/51 @ 100

     963,824  
       

 

 

 

Food Products (0.0%):

 

420,000

    

General Mills, Inc., 0.45%, 1/15/26, Callable 10/15/25 @ 100

     494,221  

643,000

    

Mondelez International, Inc., 2.75%, 4/13/30, Callable 1/13/30 @ 100

     672,461  
       

 

 

 

          1,166,682  
       

 

 

 

Gas Utilities (0.1%):

 

262,000

    

Atmos Energy Corp., 4.13%, 10/15/44, Callable 4/15/44 @ 100

     301,434  

461,000

    

Piedmont Natural Gas Co, Inc., 3.50%, 6/1/29, Callable 3/1/29 @ 100

     499,253  

500,000

    

Piedmont Natural Gas Co., Inc., 2.50%, 3/15/31, Callable 12/15/30 @ 100

     500,516  
       

 

 

 

          1,301,203  
       

 

 

 

Health Care Equipment & Supplies (0.1%):

 

525,000

    

Becton Dickinson & Co., 1.40%, 5/24/23, Callable 4/24/23 @ 100

     623,116  

510,000

    

Becton Dickinson & Co., 0.03%, 8/13/25, Callable 7/13/25 @ 100

     589,848  

333,000

    

Boston Scientific Corp., 2.65%, 6/1/30, Callable 3/1/30 @ 100

     343,287  

500,000

    

DH Europe Finance II Sarl, 1.80%, 9/18/49, Callable 3/18/49 @ 100

     607,550  

500,000

    

Medtronic Global Holdings SCA, 1.75%, 7/2/49, Callable 1/2/49 @ 100

     607,423  
       

 

 

 

          2,771,224  
       

 

 

 

Health Care Providers & Services (1.0%):

 

275,000

    

AHS Hospital Corp., 2.78%, 7/1/51, Callable 1/1/51 @ 100

     271,242  

448,000

    

Anthem, Inc., 4.55%, 3/1/48, Callable 9/1/47 @ 100

     552,127  

2,140,000

    

Cigna Corp., 4.13%, 11/15/25, Callable 9/15/25 @ 100

     2,373,059  

1,520,000

    

Cigna Corp., 3.40%, 3/1/27, Callable 12/1/26 @ 100

     1,655,285  

350,000

    

CommonSpirit Health, 2.78%, 10/1/30, Callable 4/1/30 @ 100

     360,322  

498,000

    

CVS Health Corp., 5.00%, 12/1/24, Callable 9/1/24 @ 100

     554,696  

5,000

    

CVS Health Corp., 2.88%, 6/1/26, Callable 3/1/26 @ 100

     5,318  

1,539,000

    

CVS Health Corp., 3.00%, 8/15/26, Callable 6/15/26 @ 100

     1,648,566  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Health Care Providers & Services, continued

 

$1,470,000

    

CVS Health Corp., 3.63%, 4/1/27, Callable 2/1/27 @ 100

   $ 1,619,916  

587,000

    

CVS Health Corp., 4.30%, 3/25/28, Callable 12/25/27 @ 100

     669,383  

1,817,000

    

CVS Health Corp., 5.13%, 7/20/45, Callable 1/20/45 @ 100

     2,355,130  

7,636,000

    

HCA, Inc., 5.25%, 4/15/25

     8,647,770  

2,570,000

    

HCA, Inc., 5.25%, 6/15/26, Callable 12/15/25 @ 100

     2,945,862  

1,361,000

    

Humana, Inc., 1.35%, 2/3/27, Callable 1/3/27 @ 100

     1,341,824  

221,000

    

UnitedHealth Group, Inc., 4.75%, 7/15/45

     287,948  

957,000

    

UnitedHealth Group, Inc., 4.20%, 1/15/47, Callable 7/15/46 @ 100

     1,165,036  

530,000

    

UnitedHealth Group, Inc., 3.75%, 10/15/47, Callable 4/15/47 @ 100

     602,896  

427,000

    

UnitedHealth Group, Inc., 4.25%, 6/15/48, Callable 12/15/47 @ 100

     521,886  
       

 

 

 

          27,578,266  
       

 

 

 

Hotels, Restaurants & Leisure (0.3%):

 

610,000

    

Booking Holdings, Inc., 0.10%, 3/8/25, Callable 2/8/25 @ 100

     708,641  

626,000

    

Marriott International, Inc., 4.63%, 6/15/30, Callable 3/15/30 @ 100

     714,621  

1,200,000

    

McDonald’s Corp., Series G, 1.00%, 11/15/23, MTN(a)

     1,425,974  

722,000

    

McDonald’s Corp., 2.13%, 3/1/30, Callable 12/1/29 @ 100

     725,821  

885,000

    

McDonald’s Corp., 4.88%, 12/9/45, Callable 6/9/45 @ 100, MTN

     1,131,706  

336,000

    

McDonald’s Corp., 4.45%, 9/1/48, Callable 3/1/48 @ 100, MTN

     411,026  

893,000

    

Starbucks Corp., 2.25%, 3/12/30, Callable 12/12/29 @ 100

     898,050  

844,000

    

Starbucks Corp., 2.55%, 11/15/30, Callable 8/15/30 @ 100

     866,875  
       

 

 

 

          6,882,714  
       

 

 

 

Household Durables (0.1%):

 

2,016,000

    

DR Horton, Inc., 1.30%, 10/15/26, Callable 9/15/26 @ 100

     1,991,530  
       

 

 

 

Independent Power and Renewable Electricity
Producers (0.1%):
  

2,318,000

    

NRG Energy, Inc., 4.45%, 6/15/29, Callable 3/15/29 @ 100(a)

     2,549,800  
       

 

 

 

Industrial Conglomerates (0.2%):

 

785,000

    

3M Co., Series E, 0.95%, 5/15/23

     928,960  

1,182,000

    

General Electric Co., Series A, 6.75%, 3/15/32, MTN

     1,616,997  

962,000

    

Georgia-Pacific LLC, 3.60%, 3/1/25, Callable 12/1/24 @ 100(a)

     1,038,160  

1,653,000

    

Georgia-Pacific LLC, 0.95%, 5/15/26, Callable 4/15/26 @ 100(a)

     1,633,723  
       

 

 

 

          5,217,840  
       

 

 

 

Insurance (0.3%):

 

342,000

    

American International Group, Inc., 4.50%, 7/16/44, Callable 1/16/44 @ 100

     418,622  
Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Insurance, continued   

$1,013,000

    

American International Group, Inc., 4.80%, 7/10/45, Callable 1/10/45 @ 100

   $ 1,284,957  

572,000

    

Aon Corp., 4.50%, 12/15/28, Callable 9/15/28 @ 100

     660,276  

1,903,000

    

Aon Corp., 2.80%, 5/15/30, Callable 2/15/30 @ 100

     1,979,133  

103,000

    

Hartford Financial Services Group, Inc. (The), 4.30%, 4/15/43

     121,479  

480,000

    

Marsh & McLennan Cos., Inc., 1.35%, 9/21/26, Callable 6/21/26 @ 100

     586,839  

433,000

    

Marsh & McLennan Cos., Inc., 4.38%, 3/15/29, Callable 12/15/28 @ 100

     503,225  

803,000

    

Marsh & McLennan Cos., Inc., 1.98%, 3/21/30, Callable 12/21/29 @ 100

     1,031,258  

833,000

    

Marsh & McLennan Cos., Inc., 2.25%, 11/15/30, Callable 8/15/30 @ 100

     838,494  

290,000

    

Metropolitan Life Global Funding I, 0.00%, 9/23/22(a)

     337,147  

404,000

    

Teachers Insurance & Annuity Association of America, 4.90%, 9/15/44(a)

     524,135  
       

 

 

 

          8,285,565  
       

 

 

 

Internet & Direct Marketing Retail (0.0%):

 

185,000

    

eBay, Inc., 1.40%, 5/10/26, Callable 4/10/26 @ 100

     185,509  

773,000

    

Expedia Group, Inc., 5.00%, 2/15/26, Callable 11/15/25 @ 100

     871,040  
       

 

 

 

          1,056,549  
       

 

 

 

IT Services (0.8%):

 

600,000

    

Fidelity National Information Services, Inc., 2.95%, 5/21/39, Callable 2/21/39 @ 100

     841,637  

793,000

    

Fidelity National Information Services, Inc., 3.10%, 3/1/41, Callable 9/1/40 @ 100

     800,094  

5,480,000

    

Fiserv, Inc., 3.50%, 7/1/29, Callable 4/1/29 @ 100

     5,964,761  

2,345,000

    

Global Payments, Inc., 3.20%, 8/15/29, Callable 5/15/29 @ 100

     2,481,484  

315,000

    

Global Payments, Inc., 2.90%, 5/15/30, Callable 2/15/30 @ 100

     323,854  

1,193,000

    

IBM Corp., 2.85%, 5/15/40, Callable 11/15/39 @ 100

     1,190,538  

1,687,000

    

International Business Machines Corp., 3.30%, 5/15/26

     1,837,797  

211,000

    

International Business Machines Corp., 4.15%, 5/15/39

     248,912  

4,169,000

    

Leidos, Inc., 4.38%, 5/15/30, Callable 2/15/30 @ 100

     4,721,392  

599,000

    

Mastercard, Inc., 2.95%, 6/1/29, Callable 3/1/29 @ 100

     647,921  

1,725,000

    

MasterCard, Inc., 1.10%, 12/1/22, Callable 9/1/22 @ 100

     2,025,503  

934,000

    

Visa, Inc., 4.15%, 12/14/35, Callable 6/14/35 @ 100

     1,125,830  
       

 

 

 

          22,209,723  
       

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Life Sciences Tools & Services (0.2%):

 

$866,000

    

Agilent Technologies, Inc., 2.30%, 3/12/31, Callable 12/12/30 @ 100

   $ 868,805  

2,442,000

    

Thermo Fisher Scientific, Inc., 2.00%, 10/15/31, Callable 7/15/31 @ 100

     2,379,172  

1,000,000

    

Thermo Fisher Scientific, Inc., Series E, 1.88%, 10/1/49, Callable 4/1/49 @ 100, MTN

     1,216,236  
       

 

 

 

          4,464,213  
       

 

 

 

Machinery (0.0%):   

663,000

    

Parker-Hannifin Corp., 3.25%, 6/14/29, Callable 3/14/29 @ 100

     712,368  
       

 

 

 

Media (0.5%):   

1,480,000

    

Comcast Corp., 0.00%, 9/14/26, Callable 8/14/26 @ 100

     1,705,186  

4,588,000

    

Comcast Corp., 2.65%, 2/1/30, Callable 11/1/29 @ 100

     4,789,688  

937,000

    

Comcast Corp., 3.40%, 7/15/46, Callable 1/15/46 @ 100

     988,503  

850,000

    

Comcast Corp., 3.97%, 11/1/47, Callable 5/1/47 @ 100

     966,709  

358,000

    

Comcast Corp., 2.89%, 11/1/51, Callable 5/1/51 @ 100(a)

     341,196  

2,255,000

    

Comcast Corp., 2.94%, 11/1/56, Callable 5/1/56 @ 100(a)

     2,120,095  

674,000

    

Cox Communications, Inc., 3.60%, 6/15/51, Callable 12/15/50 @ 100(a)

     700,848  

724,000

    

COX Communications, Inc., 3.15%, 8/15/24, Callable 6/15/24 @ 100(a)

     766,692  

1,153,000

    

Discovery Communications LLC, 1.90%, 3/19/27, Callable 12/19/26 @ 100

     1,423,099  

301,000

    

NBCUniversal Media LLC, 4.45%, 1/15/43

     366,013  
       

 

 

 

          14,168,029  
       

 

 

 

Multi-Utilities (0.2%):   

5,000

    

Ameren Illinois Co., 4.15%, 3/15/46, Callable 9/15/45 @ 100

     5,948  

762,000

    

Ameren Illinois Co., 3.25%, 3/15/50, Callable 9/15/49 @ 100

     807,157  

245,000

    

Ameren Illinois Co., 2.90%, 6/15/51, Callable 12/15/50 @ 100

     246,946  

176,000

    

CenterPoint Energy Houston Electric LLC, 3.95%, 3/1/48, Callable 9/1/47 @ 100

     205,931  

695,000

    

CenterPoint Energy Houston Electric LLC, 3.35%, 4/1/51, Callable 10/1/50 @ 100

     752,227  

1,542,000

    

CenterPoint Energy Resources Corp., 1.75%, 10/1/30, Callable 7/1/30 @ 100

     1,465,574  

301,000

    

Consumers Energy Co., 3.80%, 11/15/28, Callable 8/15/28 @ 100

     336,816  

430,000

    

Consumers Energy Co., 4.05%, 5/15/48, Callable 11/15/47 @ 100

     509,507  

531,000

    

Consumers Energy Co., 3.75%, 2/15/50, Callable 8/15/49 @ 100

     603,128  
Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Multi-Utilities, continued

 

$778,000

    

Consumers Energy Co., 3.10%, 8/15/50, Callable 2/15/50 @ 100

   $ 804,355  

180,000

    

Consumers Energy Co., 3.50%, 8/1/51, Callable 2/1/51 @ 100

     198,173  

318,000

    

Consumers Energy Co., 2.65%, 8/15/52, Callable 2/15/52 @ 100

     301,789  
       

 

 

 

          6,237,551  
       

 

 

 

Oil, Gas & Consumable Fuels (1.5%):

 

1,335,000

    

Cameron LNG LLC, 3.30%, 1/15/35, Callable 9/15/34 @ 100(a)

     1,414,951  

575,000

    

Cameron LNG LLC, 3.40%, 1/15/38, Callable 7/15/37 @ 100(a)

     602,434  

771,000

    

Cheniere Corpus Christi Holdings LLC, 7.00%, 6/30/24, Callable 1/1/24 @ 100

     870,767  

656,000

    

Cheniere Corpus Christi Holdings LLC, 5.88%, 3/31/25, Callable 10/2/24 @ 100

     739,968  

2,587,000

    

Cheniere Corpus Christi Holdings LLC, 5.13%, 6/30/27, Callable 1/1/27 @ 100

     2,987,985  

213,000

    

Chevron USA, Inc., 5.25%, 11/15/43, Callable 5/15/43 @ 100

     287,539  

631,000

    

Chevron USA, Inc., 5.05%, 11/15/44, Callable 5/15/44 @ 100

     833,501  

1,007,000

    

Energy Transfer LP, 5.88%, 1/15/24, Callable 10/15/23 @ 100

     1,102,665  

1,064,000

    

Energy Transfer LP, 5.95%, 12/1/25, Callable 9/1/25 @ 100

     1,232,910  

587,000

    

Energy Transfer LP, 5.50%, 6/1/27, Callable 3/1/27 @ 100

     688,991  

1,900,000

    

Energy Transfer LP, 4.95%, 6/15/28, Callable 3/15/28 @ 100

     2,180,250  

1,725,000

    

Energy Transfer LP, 5.25%, 4/15/29, Callable 1/15/29 @ 100

     2,020,406  

236,000

    

Energy Transfer LP, 8.25%, 11/15/29, Callable 8/15/29 @ 100

     316,168  

857,000

    

Energy Transfer Operating LP, 4.05%, 3/15/25, Callable 12/15/24 @ 100

     924,489  

515,000

    

Enterprise Products Operating LLC, 4.20%, 1/31/50, Callable 7/31/49 @ 100

     579,150  

497,000

    

Enterprise Products Operating LLC, 3.30%, 2/15/53, Callable 8/15/52 @ 100

     482,758  

1,090,000

    

Exxon Mobil Corp., 1.41%, 6/26/39, Callable 12/26/38 @ 100

     1,221,129  

228,000

    

Kinder Morgan Energy Partners LP, 6.95%, 1/15/38, MTN

     321,045  

37,000

    

Kinder Morgan Energy Partners LP, 7.50%, 11/15/40

     54,802  

1,372,000

    

Marathon Petroleum Corp., 4.50%, 5/1/23, Callable 4/1/23 @ 100

     1,449,175  

1,313,000

    

NGPL PipeCo LLC, 3.25%, 7/15/31, Callable 4/15/31 @ 100(a)

     1,345,765  

1,292,000

    

NGPL PipeCo. LLC, 4.88%, 8/15/27, Callable 2/15/27 @ 100(a)

     1,464,805  

770,000

    

Northern Natural Gas Co., 4.30%, 1/15/49, Callable 7/15/48 @ 100(a)

     888,043  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Oil, Gas & Consumable Fuels, continued

 

$2,523,000

    

Northwest Pipeline LLC, 4.00%, 4/1/27, Callable 1/1/27 @ 100

   $ 2,786,199  

1,268,000

    

Sabine Pass Liquefaction LLC, 5.63%, 3/1/25, Callable 12/1/24 @ 100

     1,436,644  

1,255,000

    

Sabine Pass Liquefaction LLC, 5.00%, 3/15/27, Callable 9/15/26 @ 100

     1,442,497  

2,286,000

    

Sabine Pass Liquefaction LLC, 4.20%, 3/15/28, Callable 9/15/27 @ 100

     2,548,890  

220,000

    

Texas Eastern Transmission LP, 2.80%, 10/15/22, Callable 7/15/22 @ 100(a)

     223,570  

1,373,000

    

Texas Eastern Transmission LP, 3.50%, 1/15/28, Callable 10/15/27 @ 100(a)

     1,485,760  

1,119,000

    

Texas Eastern Transmission LP, 4.15%, 1/15/48, Callable 7/15/47 @ 100(a)

     1,249,332  

2,610,000

    

Transcontinental Gas Pipe Line Co. LLC, 7.85%, 2/1/26, Callable 11/1/25 @ 100

     3,255,497  

2,198,000

    

Transcontinental Gas Pipe Line Co. LLC, 4.00%, 3/15/28, Callable 12/15/27 @ 100

     2,451,779  

255,000

    

Transcontinental Gas Pipe Line Co. LLC, 3.95%, 5/15/50, Callable 11/15/49 @ 100

     284,325  

240,000

    

Williams Cos., Inc., Series A, 7.50%, 1/15/31

     334,306  
       

 

 

 

          41,508,495  
       

 

 

 

Pharmaceuticals (0.0%):   

500,000

    

Eli Lilly & Co., 1.70%, 11/1/49, Callable 5/1/49 @ 100

     637,837  
       

 

 

 

Professional Services (0.2%):   

3,657,000

    

RELX Capital, Inc., 3.50%, 3/16/23, Callable 2/16/23 @ 100

     3,808,286  

1,797,000

    

RELX Capital, Inc., 3.00%, 5/22/30, Callable 2/22/30 @ 100

     1,905,830  
       

 

 

 

          5,714,116  
       

 

 

 

Real Estate Management & Development (0.2%):

 

3,340,000

    

CC Holdings GS V LLC, 3.85%, 4/15/23

     3,505,437  

915,000

    

Northwest Florida Timber Finance LLC, 4.75%, 3/4/29(a)

     936,972  
       

 

 

 

          4,442,409  
       

 

 

 

Road & Rail (0.6%):   

1,369,000

    

Burlington Northern Santa Fe LLC, 4.15%, 12/15/48, Callable 6/15/48 @ 100

     1,666,078  

1,794,000

    

CSX Corp., 2.60%, 11/1/26, Callable 8/1/26 @ 100

     1,895,740  

540,000

    

CSX Corp., 3.25%, 6/1/27, Callable 3/1/27 @ 100

     586,575  

534,000

    

CSX Corp., 4.10%, 3/15/44, Callable 9/15/43 @ 100

     618,788  

145,000

    

Norfolk Southern Corp., 2.90%, 6/15/26, Callable 3/15/26 @ 100

     155,093  

1,356,000

    

Norfolk Southern Corp., 2.55%, 11/1/29, Callable 8/1/29 @ 100

     1,406,152  

243,000

    

Norfolk Southern Corp., 3.40%, 11/1/49, Callable 5/1/49 @ 100

     257,361  
Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Road & Rail, continued

 

$478,000

    

Penske Truck Leasing Co. LP / PTL Finance Corp., 3.95%, 3/10/25, Callable 1/10/25 @ 100(a)

   $ 517,784  

1,490,000

    

Penske Truck Leasing Co. LP / PTL Finance Corp., 1.20%, 11/15/25, Callable 10/15/25 @ 100(a)

     1,474,009  

397,000

    

Penske Truck Leasing Co. LP / PTL Finance Corp., 4.45%, 1/29/26, Callable 11/29/25 @ 100(a)

     443,103  

633,000

    

Ryder System, Inc., 4.63%, 6/1/25, Callable 5/1/25 @ 100, MTN

     706,332  

1,566,000

    

Ryder System, Inc., 3.35%, 9/1/25, Callable 8/1/25 @ 100, MTN

     1,683,981  

349,000

    

Ryder System, Inc., 2.90%, 12/1/26, Callable 10/1/26 @ 100

     370,866  

1,707,000

    

Union Pacific Corp., 2.89%, 4/6/36, Callable 1/6/36 @ 100(a)

     1,767,303  

2,000

    

Union Pacific Corp., 4.50%, 9/10/48, Callable 3/10/48 @ 100

     2,506  

1,224,000

    

Union Pacific Corp., 3.25%, 2/5/50, Callable 8/5/49 @ 100

     1,279,155  

85,000

    

Union Pacific Corp., 2.95%, 3/10/52, Callable 9/10/51 @ 100

     83,920  

383,397

    

Union Pacific Railroad Co., Series 2014-1, 3.23%, 5/14/26

     410,093  
       

 

 

 

          15,324,839  
       

 

 

 

Semiconductors & Semiconductor Equipment (0.7%):

 

287,000

    

Applied Materials, Inc., 4.35%, 4/1/47, Callable 10/1/46 @ 100

     358,992  

1,271,000

    

Broadcom Corp./Broadcom Cayman Finance, Ltd., 3.88%, 1/15/27, Callable 10/15/26 @ 100

     1,396,751  

1,085,000

    

Broadcom, Inc., 4.70%, 4/15/25, Callable 3/15/25 @ 100

     1,208,546  

288,000

    

Broadcom, Inc., 3.46%, 9/15/26, Callable 7/15/26 @ 100

     311,634  

2,580,000

    

Broadcom, Inc., 4.75%, 4/15/29, Callable 1/15/29 @ 100

     2,954,394  

2,111,000

    

Broadcom, Inc., 5.00%, 4/15/30, Callable 1/15/30 @ 100

     2,477,028  

2,025,000

    

Broadcom, Inc., 4.15%, 11/15/30, Callable 8/15/30 @ 100

     2,238,921  

5,000

    

Broadcom, Inc., 2.45%, 2/15/31, Callable 11/15/30 @ 100(a)

     4,830  

335,000

    

Intel Corp., 3.10%, 2/15/60, Callable 8/15/59 @ 100

     325,379  

797,000

    

Intel Corp., 3.20%, 8/12/61, Callable 2/12/61 @ 100

     796,796  

16,000

    

KLA Corp., 4.65%, 11/1/24, Callable 8/1/24 @ 100

     17,663  

925,000

    

KLA Corp., 3.30%, 3/1/50, Callable 8/28/49 @ 100

     969,675  

2,110,000

    

KLA-Tencor Corp., 4.10%, 3/15/29, Callable 12/15/28 @ 100

     2,399,139  

155,000

    

Lam Research Corp., 3.75%, 3/15/26, Callable 1/15/26 @ 100

     171,797  

303,000

    

Lam Research Corp., 4.88%, 3/15/49, Callable 9/15/48 @ 100

     407,415  

627,000

    

Lam Research Corp., 2.88%, 6/15/50, Callable 12/15/49 @ 100

     625,848  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Semiconductors & Semiconductor Equipment,
continued
  

$1,249,000

    

NVIDIA Corp., 1.55%, 6/15/28, Callable 4/15/28 @ 100

   $ 1,242,077  

685,000

    

QUALCOMM, Inc., 4.30%, 5/20/47, Callable 11/20/46 @ 100

     848,078  
       

 

 

 

          18,754,963  
       

 

 

 

Software (1.0%):   

1,438,000

    

Autodesk, Inc., 2.85%, 1/15/30, Callable 10/15/29 @ 100

     1,500,826  

1,171,000

    

Citrix Systems, Inc., 3.30%, 3/1/30, Callable 12/1/29 @ 100

     1,192,194  

3,721,000

    

Oracle Corp., 2.80%, 4/1/27, Callable 2/1/27 @ 100

     3,944,677  

3,274,000

    

Oracle Corp., 2.30%, 3/25/28, Callable 1/25/28 @ 100

     3,350,844  

120,000

    

Oracle Corp., 4.30%, 7/8/34, Callable 1/8/34 @ 100

     136,190  

1,072,000

    

Oracle Corp., 3.90%, 5/15/35, Callable 11/15/34 @ 100

     1,175,405  

1,560,000

    

Oracle Corp., 3.85%, 7/15/36, Callable 1/15/36 @ 100

     1,683,407  

3,040,000

    

Oracle Corp., 3.80%, 11/15/37, Callable 5/15/37 @ 100

     3,273,077  

591,000

    

Oracle Corp., 6.13%, 7/8/39

     800,928  

2,111,000

    

Oracle Corp., 3.60%, 4/1/40, Callable 10/1/39 @ 100

     2,181,474  

3,356,000

    

Oracle Corp., 5.38%, 7/15/40

     4,226,842  

374,000

    

salesforce.com, Inc., 3.05%, 7/15/61, Callable 1/15/61 @ 100

     378,837  

1,499,000

    

ServiceNow, Inc., 1.40%, 9/1/30, Callable 6/1/30 @ 100

     1,406,811  

281,000

    

Vmware, Inc., 4.65%, 5/15/27, Callable 3/15/27 @ 100

     322,562  

427,000

    

Vmware, Inc., 3.90%, 8/21/27, Callable 5/21/27 @ 100

     475,715  

361,000

    

Vmware, Inc., 1.80%, 8/15/28, Callable 6/15/28 @ 100

     354,148  

1,164,000

    

Vmware, Inc., 2.20%, 8/15/31, Callable 5/15/31 @ 100

     1,133,263  
       

 

 

 

          27,537,200  
       

 

 

 

Specialty Retail (0.2%):   

1,410,000

    

Home Depot, Inc. (The), 2.75%, 9/15/51, Callable 3/15/51 @ 100

     1,364,825  

1,251,000

    

Lowe’s Cos., Inc., 4.00%, 4/15/25, Callable 3/15/25 @ 100

     1,370,403  

861,000

    

Lowe’s Cos., Inc., 3.65%, 4/5/29, Callable 1/5/29 @ 100

     952,482  

486,000

    

Lowe’s Cos., Inc., 2.80%, 9/15/41, Callable 3/15/41 @ 100

     471,666  
       

 

 

 

          4,159,376  
       

 

 

 

Technology Hardware, Storage & Peripherals (0.2%):

 

1,261,000

    

Apple, Inc., 4.65%, 2/23/46, Callable 8/23/45 @ 100

     1,645,157  

427,000

    

Apple, Inc., 3.85%, 8/4/46, Callable 2/4/46 @ 100

     499,241  

393,000

    

Dell International LLC/EMC Corp., 8.35%, 7/15/46, Callable 1/15/46 @ 100

     639,048  
Principal
Amount            
                   Value        
Corporate Bonds, continued

 

Technology Hardware, Storage & Peripherals, continued

 

$1,385,000

    

Hewlett Packard Enterprise Co., 4.65%, 10/1/24, Callable 9/1/24 @ 100

   $ 1,529,480  
       

 

 

 

          4,312,926  
       

 

 

 

Tobacco (0.6%):

 

415,000

    

Altria Group, Inc., 2.20%, 6/15/27, Callable 4/15/27 @ 100

     517,552  

120,000

    

Altria Group, Inc., 4.80%, 2/14/29, Callable 11/14/28 @ 100

     137,820  

1,320,000

    

Altria Group, Inc., 3.13%, 6/15/31, Callable 3/15/31 @ 100

     1,746,923  

4,955,000

    

Altria Group, Inc., 5.80%, 2/14/39, Callable 8/14/38 @ 100

     6,114,396  

84,000

    

Altria Group, Inc., 6.20%, 2/14/59, Callable 8/14/58 @ 100

     108,489  

1,549,000

    

BAT Capital Corp., 3.22%, 9/6/26, Callable 7/6/26 @ 100

     1,651,197  

567,000

    

BAT Capital Corp., 4.76%, 9/6/49, Callable 3/6/49 @ 100

     610,418  

900,000

    

Philip Morris International, Inc., 2.00%, 5/9/36, Callable 2/9/36 @ 100

     1,096,895  

700,000

    

Philip Morris International, Inc., 1.45%, 8/1/39, Callable 5/1/39 @ 100

     764,202  

1,411,000

    

Reynolds American, Inc., 4.45%, 6/12/25, Callable 3/12/25 @ 100

     1,556,355  

1,732,000

    

Reynolds American, Inc., 5.85%, 8/15/45, Callable 2/15/45 @ 100

     2,098,379  
       

 

 

 

          16,402,626  
       

 

 

 

Trading Companies & Distributors (0.1%):

 

1,405,000

    

Air Lease Corp., 2.88%, 1/15/26, Callable 12/15/25 @ 100, MTN

     1,465,763  
       

 

 

 

Wireless Telecommunication Services (0.5%):

 

11,257,000

    

T-Mobile USA, Inc., 3.75%, 4/15/27, Callable 2/15/27 @ 100

     12,393,901  
       

 

 

 

Total Corporate Bonds (Cost $669,622,375)

     675,282,287  
       

 

 

 

Foreign Bonds (2.8%):   
Aerospace & Defense (0.2%):   

1,100,000

     Airbus SE, 2.00%, 4/7/28, Callable 1/7/28 @ 100+(a)      1,402,401  

1,000,000

     Thales SA, 0.00%, 5/31/22, Callable 4/30/22 @ 100, MTN+(a)      1,161,024  

1,200,000

     Thales SA, 0.75%, 6/7/23, Callable 3/7/23 @ 100, MTN+(a)      1,410,964  

100,000

     Thales SA, 0.75%, 1/23/25, Callable 10/23/24 @ 100, MTN+(a)      118,639  
       

 

 

 

          4,093,028  
       

 

 

 

Auto Components (0.0%):   

630,000

     Conti-Gummi Finance BV, 1.13%, 9/25/24, Callable 6/25/24 @ 100+(a)      752,715  
       

 

 

 

Automobiles (0.1%):   

310,000

     Daimler International Finance BV, Series E, 0.25%, 11/6/23, MTN+(a)      362,180  

870,000

     Stellantis NV, 1.25%, 6/20/33, Callable 3/20/33 @ 100, MTN+(a)      988,830  

710,000

     Volkswagen Financial Services AG, Series E, 0.75%, 10/14/21+(a)      822,518  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Foreign Bonds, continued

 

Automobiles, continued

 

$300,000

     Volkswagen International Finance NV, 4.13%, 11/16/38+(a)    $ 479,098  
       

 

 

 

          2,652,626  
       

 

 

 

Banks (0.4%):   

900,000

     Banco de Sabadell SA, 1.12%(EUSA1+155bps), 3/11/27, Callable 3/11/26 @ 100+(a)      1,071,200  

600,000

     Banque Federative du Credit Mutuel SA, Series E, 0.75%, 6/15/23, MTN+(a)      708,095  

920,000

     Barclays plc, 0.58%(EUSA1+126bps), 8/9/29, Callable 8/9/28 @ 100+(a)      1,052,245  

2,000,000

     BNP Paribas SA, 0.25%(EUR003M+70bps), 4/13/27, Callable 4/13/26 @ 100, MTN+(a)      2,304,166  

800,000

     BNP Paribas SA, 0.50%(EUR0003M+83bps), 1/19/30, Callable 1/19/29 @ 100, MTN+(a)      911,882  

500,000

     BPCE SA, 0.25%, 1/15/26+(a)      583,807  

300,000

     de Volksbank NV, 1.75%(EUSA5+2.1bps), 10/22/30, Callable 10/22/25 @ 100, MTN+(a)      364,339  

300,000

     Erste Group Bank AG, 1.62%(EUAMDB05+210bps), 9/8/31, Callable 6/8/26 @ 100+(a)      360,489  

540,000

     FCA Bank SpA, 0.50%, 9/18/23, Callable 6/18/23 @ 100+(a)      631,757  

400,000

     KBC Group NV, Series E, 1.13%, 1/25/24, MTN+(a)      478,039  

440,000

     Mizuho Financial Group, Inc., Series E, 0.52%, 6/10/24, MTN+(a)      518,245  

435,000

     Simon International Finance SCA, 1.38%, 11/18/22, Callable 8/18/22 @ 100+(a)      511,595  

1,000,000

     Toronto-Dominion Bank (The),
Series E, 0.38%, 4/25/24+(a)
     1,174,066  
       

 

 

 

          10,669,925  
       

 

 

 

Beverages (0.1%):   

180,000

     Asahi Group Holdings, Ltd., 0.01%, 4/19/24, Callable 3/19/24 @ 100+(a)      209,143  

360,000

     Asahi Group Holdings, Ltd., 0.16%, 10/23/24, Callable 9/23/24 @ 100+(a)      419,541  

600,000

     Pernod Ricard SA, 0.00%, 10/24/23, Callable 9/24/23 @ 100+(a)      698,449  
       

 

 

 

          1,327,133  
       

 

 

 

Capital Markets (0.2%):   

900,000

     Credit Suisse Group AG, 3.25%(EUAMDB01+350bps), 4/2/26, Callable 4/2/25 @ 100, MTN+(a)      1,147,919  

700,000

     Deutsche Bank AG, 1.00%(EUR003M+1.6bps), 11/19/25, Callable 11/19/24 @ 100+(a)      828,194  

670,000

     SELP Finance Sarl, 0.88%, 5/27/29, Callable 2/27/29 @ 100+(a)      777,514  

1,170,000

     UBS Group AG, 0.25%(EUSA1+55bps), 1/29/26, Callable 1/29/25 @ 100, MTN+(a)      1,363,562  

240,000

     UBS Group AG, 0.25%(EUSA1+0.77bps), 11/5/28, Callable 11/5/27 @ 100, MTN+(a)      274,910  
Principal
Amount            
                   Value        
Foreign Bonds, continued

 

Capital Markets, continued

 

$1,140,000

     Viterra Finance BV, 0.38%, 9/24/25, Callable 8/24/25 @ 100, MTN+(a)    $ 1,319,778  
       

 

 

 

          5,711,877  
       

 

 

 

Chemicals (0.1%):

 

800,000

     Air Liquide Finance SA, Series E, 0.38%, 4/18/22, Callable 1/18/22 @ 100+(a)      928,783  

100,000

     Arkema SA, 0.13%, 10/14/26, Callable 7/14/26 @ 100, MTN+(a)      116,604  

390,000

     Covestro AG, 0.88%, 2/3/26, Callable 11/3/25 @ 100, MTN+(a)      465,659  
       

 

 

 

          1,511,046  
       

 

 

 

Consumer Finance (0.0%):

 

570,000

     Toyota Motor Finance Netherlands BV, Series E, 0.25%, 1/10/22, MTN+(a)      661,374  
       

 

 

 

Diversified Consumer Services (0.0%):

 

320,000

     Motability Operations Group plc, 0.13%, 7/20/28, MTN+(a)      366,850  
       

 

 

 

Diversified Financial Services (0.4%):

 

660,000

     BAT International Finance plc, Series E, 0.88%, 10/13/23, Callable 7/13/23 @ 100+(a)      776,412  

515,000

     BAT International Finance plc, 1.25%, 3/13/27, Callable 12/13/26 @ 100, MTN+(a)      613,740  

490,000

     BP Capital Markets BV, 1.47%,
9/21/41+(a)
     556,876  

825,000

     BP Capital Matkets plc, 3.25%(EUSA5+388bps), Callable 3/22/26 @
100+(a)
     1,019,801  

330,000

     Enel Finance International NV, 0.00%, 6/17/24, Callable 5/17/24 @ 100,
MTN+(a)
     383,925  

500,000

     Enel Finance International NV, 0.88%, 9/28/34, Callable 6/28/34 @ 100,
MTN+(a)
     572,248  

600,000

     Holcim Finance Luxembourg SA, 0.13%, 7/19/27, MTN+(a)      687,886  

390,000

     Holcim Finance Luxembourg SA, 0.50%, 9/3/30, Callable 6/3/30 @ 100, MTN+(a)      439,615  

320,000

     Holcim Finance Luxembourg SA, 0.50%, 4/23/31, Callable 1/23/31 @ 100+(a)      359,027  

600,000

     PSA Banque France SA, 0.00%, 1/22/25, Callable 10/22/24 @ 100, MTN+(a)      694,252  

400,000

     Total Capital International SA, Series E, 2.13%, 11/19/21+(a)      464,762  

400,000

     Total Capital International SA, Series E, 2.13%, 3/15/23, MTN+(a)      480,351  

300,000

     Volvo Treasury AB, 0.00%, 2/11/23, MTN+(a)      348,832  

700,000

     Vonovia Finance BV, 0.75%, 1/25/22, MTN+(a)      813,601  

1,500,000

     Vonovia Finance BV, Series E, 0.13%, 4/6/23, Callable 3/6/23 @ 100, MTN+(a)      1,745,984  
       

 

 

 

          9,957,312  
       

 

 

 

Diversified Telecommunication Services (0.1%):

 

200,000

     Orange SA, Series E, 0.75%, 9/11/23, Callable 6/11/23 @ 100, MTN+(a)      235,923  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
Foreign Bonds, continued

 

Diversified Telecommunication Services, continued

 

$1,705,000

     Telstra Corp., Ltd., Series E, 3.50%, 9/21/22, MTN+(a)    $ 2,048,622  
       

 

 

 

          2,284,545  
       

 

 

 

Electric Utilities (0.1%):

 

1,200,000

     Iberdrola International BV, 1.87%(EUSA5+232.1bps), 12/31/99, Callable 1/28/26 @ 100+(a)      1,424,584  

470,000

     National Grid Electricity Transmission, 0.19%, 1/20/25, Callable 10/20/24 @
100+(a)
     547,968  
       

 

 

 

          1,972,552  
       

 

 

 

Electrical Equipment (0.0%):

 

400,000

     Schneider Electric SE, 0.00%, 6/12/23, Callable 5/12/23 @ 100, MTN+(a)      466,082  

400,000

     Schneider Electric SE, Series E, 0.25%, 9/9/24, Callable 6/9/24 @ 100, MTN+(a)      469,992  
       

 

 

 

          936,074  
       

 

 

 

Electronic Equipment, Instruments &
Components (0.0%):

 

750,000

     Amphenol Technologies Holding GmbH, 0.75%, 5/4/26, Callable 2/4/26 @ 100+(a)      893,753  
       

 

 

 

Equity Real Estate Investment Trusts (0.1%):

 

200,000

     Icade Sante SAS, 1.38%, 9/17/30, Callable 6/17/30 @ 100+(a)      242,471  

1,500,000

     Merlin Properties Socimi SA, 1.88%, 12/4/34, Callable 9/4/34 @ 100+(a)      1,730,261  
       

 

 

 

          1,972,732  
       

 

 

 

Food & Staples Retailing (0.0%):

 

240,000

     Tesco Corporate Treasury Services plc, 0.38%, 7/27/29, Callable 4/27/29 @ 100, MTN+(a)      271,972  
       

 

 

 

Food Products (0.0%):

 

280,000

     Mondelez International Holdings Netherlands BV, 1.25%, 9/9/41, Callable 6/9/41 @ 100+(a)      307,377  
       

 

 

 

Health Care Equipment & Supplies (0.0%):

 

730,000

     DH Europe Finance II Sarl, 0.20%, 3/18/26, Callable 12/18/25 @ 100+      849,805  

320,000

     Medtronic Global Holdings SCA, 1.38%, 10/15/40, Callable 4/15/40 @ 100+      374,941  
       

 

 

 

          1,224,746  
       

 

 

 

Health Care Providers & Services (0.0%):

 

390,000

     Fresenius Finance Ireland plc, 0.88%, 10/1/31, Callable 7/1/31 @ 100,
MTN+(a)
     447,704  
       

 

 

 

IT Services (0.0%):

 

700,000

     Amadeus IT Group SA, 2.88%, 5/20/27, Callable 2/20/27 @ 100, MTN+(a)      909,633  

100,000

     Amadeus IT Group SA, 1.88%, 9/24/28, Callable 6/24/28 @ 100, MTN+(a)      123,626  
       

 

 

 

          1,033,259  
       

 

 

 

Machinery (0.0%):

 

400,000

     KION Group AG, 1.63%, 9/24/25, Callable 6/24/25 @ 100, MTN+(a)      488,111  
       

 

 

 

Principal
Amount            
                   Value        
Foreign Bonds, continued

 

Media (0.1%):

 

$870,000

     Informa plc, 2.13%, 10/6/25, Callable 7/6/25 @ 100, MTN+(a)    $ 1,066,549  

610,000

     SES SA, 2.00%, 7/2/28, Callable 4/2/28 @ 100+(a)      759,227  

160,000

     WPP Finance SA, 2.38%, 5/19/27, MTN+(a)      206,734  
       

 

 

 

          2,032,510  
       

 

 

 

Multi-Utilities (0.2%):

 

1,300,000

     E.ON SE, 0.00%, 10/24/22, Callable 9/24/22 @ 100, MTN+(a)      1,510,642  

395,000

     ESB Finance DAC, Series E, 3.49%,
1/12/24+(a)
     494,961  

280,000

     Innogy Finance BV, Series E, 0.75%, 11/30/22, Callable 8/30/22 @ 100, MTN+(a)      327,363  

200,000

     Redexis Gas Finance BV, 1.88%, 5/28/25, Callable 2/28/25 @ 100, MTN+(a)      244,852  

100,000

     Suez SA, 1.62%(EUAMDB05+215.1bps), Callable 6/1/26 @ 100+(a)      117,557  

1,300,000

     Veolia Environnement SA, Series E, 0.67%, 3/30/22, Callable 12/30/21 @ 100+(a)      1,509,407  

200,000

     Veolia Environnement SA, 1.59%, 1/10/28, Callable 10/10/27 @ 100, MTN+(a)      250,915  

100,000

     Veolia Environnement SA, 0.80%, 1/15/32, Callable 10/15/31 @ 100, MTN+(a)      116,797  
       

 

 

 

          4,572,494  
       

 

 

 

Oil, Gas & Consumable Fuels (0.3%):

 

330,000

     Aker BP ASA, 1.13%, 5/12/29, Callable 2/12/29 @ 100, MTN+(a)      385,037  

720,000

     Digital Dutch Finco BV, 1.50%, 3/15/30, Callable 12/15/29 @ 100+(a)      875,423  

600,000

     Digital Dutch Finco BV, 1.00%, 1/15/32, Callable 10/15/31 @ 100+(a)      679,721  

1,400,000

     Eni SpA, 3.63%, 1/29/29, MTN+(a)      2,001,601  

800,000

     Repsol Europe Finance Sarl, 0.88%, 7/6/33, Callable 1/6/33 @ 100, MTN+(a)      922,213  

1,600,000

     TotalEnergies SE, 1.63%(EUSA5+199.3bps), 12/31/99, Callable 10/25/27 @ 100, MTN+(a)      1,855,434  
       

 

 

 

          6,719,429  
       

 

 

 

Pharmaceuticals (0.2%):

 

475,000

     Abbott Ireland Financing DAC, 0.88%, 9/27/23, Callable 8/27/23 @ 100+(a)      562,787  

490,000

     Abbott Ireland Financing DAC, 0.10%, 11/19/24, Callable 10/19/24 @ 100+(a)      572,403  

500,000

     Merck Financial Services GmbH, 0.13%, 7/16/25, Callable 4/16/25 @ 100,
MTN+(a)
     585,104  

200,000

     Merck KGaA, 1.63%(EUAMDB05+194.8bps), 6/25/79, Callable 9/18/24 @ 100+(a)      238,589  

1,125,000

     Takeda Pharmaceutical Co., Ltd., 2.00%, 7/9/40, Callable 1/9/40 @ 100+      1,398,429  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal

Amount            

                   Value        
Foreign Bonds, continued   
Pharmaceuticals, continued   

$840,000

     Upjohn Finance BV, 1.02%, 6/23/24, Callable 5/23/24 @ 100+(a)    $ 999,388  
  

 

 

 

     4,356,700  
  

 

 

 

Professional Services (0.0%):   

520,000

     RELX Finance BV, 0.00%, 3/18/24, Callable 2/18/24 @ 100+(a)      604,895  

220,000

     Wolters Kluwer NV, 0.75%, 7/3/30, Callable 4/3/30 @ 100+(a)      260,004  
  

 

 

 

     864,899  
  

 

 

 

Real Estate Management & Development (0.0%):   

280,000

     Kojamo Oyj, 0.88%, 5/28/29, Callable 2/28/29 @ 100, MTN+(a)      326,176  

600,000

     Vonovia SE, 0.63%, 12/14/29, Callable 9/14/29 @ 100, MTN+(a)      693,745  
  

 

 

 

     1,019,921  
  

 

 

 

Road & Rail (0.0%):   

600,000

     Traton Finance Luxembourg SA, 0.00%, 6/14/24, Callable 5/14/24 @ 100, MTN+(a)      695,065  
  

 

 

 

Sovereign Bond (0.2%):   

4,165,000

     Mexico Government International Bond, 1.45%, 10/25/33, Callable 7/25/33 @ 100, MTN+      4,547,631  

714,000

     Mexico Government International Bond, 2.13%, 10/25/51, Callable 4/25/51 @ 100+      684,660  
  

 

 

 

     5,232,291  
  

 

 

 

Textiles, Apparel & Luxury Goods (0.0%):   

100,000

     Kering SA, 0.75%, 5/13/28, Callable 2/13/28 @ 100, MTN+(a)      120,173  

690,000

     LVMH Moet Hennessy Louis Vuitton SE, Series E, 0.38%, 5/26/22, Callable 2/26/22 @ 100, MTN+(a)      801,794  
  

 

 

 

     921,967  
  

 

 

 

Tobacco (0.0%):   

410,000

     Imperial Brands Finance Netherlands BV, 1.75%, 3/18/33, Callable 12/18/32 @ 100, MTN+(a)      472,568  
  

 

 

 

        Total Foreign Bonds (Cost $75,031,128)

     76,424,555  
  

 

 

 

Yankee Dollars (5.2%):   
Airlines (0.0%):   

283,544

    

Air Canada Pass Through Trust, Series 2017-1, Class A, 3.30%, 7/15/31(a)

     288,770  
  

 

 

 

Auto Components (0.1%):   

1,803,000

    

Magna International, Inc., 2.45%, 6/15/30, Callable 3/15/30 @ 100

     1,830,627  
  

 

 

 

Automobiles (0.1%):   

1,122,000

    

Nissan Motor Co., Ltd., 4.81%, 9/17/30, Callable 6/17/30 @ 100(a)

     1,262,349  
  

 

 

 

Banks (1.5%):   

2,800,000

    

Banco Santander SA, 2.71%, 6/27/24

     2,944,598  

405,000

    

Barclays plc, 3.68%, 1/10/23, Callable 1/10/22 @ 100

     408,014  

1,576,000

    

Barclays plc, 4.61% (US0003M+140 bps), 2/15/23, Callable 2/15/22 @ 100

     1,598,222  

Principal

Amount            

                   Value        
Yankee Dollars, continued   
Banks, continued   

$1,752,000

    

Barclays plc, 2.67% (H15T1Y+120 bps), 3/10/32, Callable 3/10/31 @ 100

   $ 1,753,673  

2,084,000

    

BNP Paribas SA, 2.82% (US0003M+1 bps), 11/19/25, Callable 11/19/24 @ 100(a)

     2,184,349  

1,254,000

    

BPCE SA, 2.70%, 10/1/29(a)

     1,298,535  

772,000

    

Danske Bank A/S, 5.00%, 1/12/22(a)

     781,718  

854,000

    

Danske Bank A/S, 3.88%, 9/12/23(a)

     903,471  

1,102,000

    

Danske Bank A/S, 5.38%, 1/12/24(a)

     1,207,059  

3,787,000

    

Danske Bank A/S, 1.23%, 6/22/24, Callable 6/22/23 @ 100(a)

     3,816,429  

856,000

    

Danske Bank A/S, 3.24% (US0003M+159 bps), 12/20/25, Callable 12/20/24 @ 100(a)

     906,893  

681,000

    

Danske Bank A/S, 1.55%, 9/10/27, Callable 9/10/26 @ 100(a)

     673,928  

2,053,000

    

HSBC Holdings plc, 3.26% (US0003M+106 bps), 3/13/23, Callable 3/13/22 @ 100

     2,078,732  

527,000

    

HSBC Holdings plc, 1.59% (SOFR+129 bps), 5/24/27, Callable 5/24/26 @ 100

     523,864  

828,000

    

HSBC Holdings plc, 4.58% (US0003M+153 bps), 6/19/29, Callable 6/19/28 @ 100

     936,832  

278,000

    

HSBC Holdings plc, 2.21%, 8/17/29, Callable 8/17/28 @ 100

     276,045  

623,000

    

HSBC Holdings plc, 2.80% (SOFR+119 bps), 5/24/32, Callable 5/24/31 @ 100

     630,053  

875,000

    

ING Groep NV, 4.63%, 1/6/26(a)

     993,066  

1,330,000

    

Lloyds Banking Group plc, 2.91% (US0003M+81 bps), 11/7/23, Callable 11/7/22 @ 100

     1,363,184  

1,751,000

    

Lloyds Banking Group plc, 4.38%, 3/22/28

     1,985,646  

3,161,000

    

Mitsubishi UFJ Financial Group, Inc., 3.20%, 7/18/29

     3,384,609  

1,415,000

    

Mizuho Financial Group, Inc., 2.84% (US0003M+98 bps), 7/16/25, Callable 7/16/24 @ 100

     1,486,632  

1,015,000

    

Mizuho Financial Group, Inc., 2.56% (US0003M+110 bps), 9/13/25, Callable 9/13/24 @ 100

     1,060,876  

352,000

    

Mizuho Financial Group, Inc., 2.23% (US0003M+83 bps), 5/25/26, Callable 5/25/25 @ 100

     361,429  

2,242,000

    

Mizuho Financial Group, Inc., 1.98% (US0003M+127 bps), 9/8/31, Callable 9/8/30 @ 100

     2,163,526  

811,000

    

Mizuho Financial Group, Inc., 2.26%, 7/9/32, Callable 7/9/31 @ 100

     795,168  

375,000

    

Santander UK Group Holdings plc, 4.80% (US0003M+157 bps), 11/15/24, Callable 11/15/23 @ 100

     405,947  

1,586,000

    

Santander UK Group Holdings plc, 1.09% (SOFR+79 bps), 3/15/25, Callable 3/15/24 @ 100

     1,586,176  

1,539,000

    

Santander UK Group Holdings plc, 1.53% (H15T1Y+125 bps), 8/21/26, Callable 8/21/25 @ 100

     1,537,256  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal

Amount            

                   Value        
Yankee Dollars, continued   
Banks, continued   

$1,518,000

    

Sumitomo Mitsui Financial Group, Inc., 3.04%, 7/16/29

   $ 1,606,492  
  

 

 

 

     41,652,422  
  

 

 

 

Beverages (0.1%):   

1,457,000

    

Suntory Holdings, Ltd., 2.25%, 10/16/24, Callable 9/16/24 @ 100(a)

     1,506,780  
  

 

 

 

Biotechnology (0.1%):   

3,546,000

    

Shire Acquisitions Investments, 3.20%, 9/23/26, Callable 6/23/26 @ 100

     3,824,102  
  

 

 

 

Capital Markets (0.5%):   

3,122,000

    

Credit Suisse AG, 1.25%, 8/7/26

     3,071,698  

395,000

    

Credit Suisse Group AG, 3.09% (SOFR+173 bps), 5/14/32, Callable 5/14/31 @ 100(a)

     404,380  

1,145,000

    

Deutsche Bank AG, 4.25%, 10/14/21

     1,145,918  

1,640,000

    

Deutsche Bank AG, 1.45% (SOFR+113 bps), 4/1/25, Callable 4/1/24 @ 100

     1,648,412  

206,000

    

Deutsche Bank AG, 4.10%, 1/13/26

     224,674  

1,921,000

    

Deutsche Bank AG, 1.69%, 3/19/26

     1,925,284  

2,000

    

Macquarie Group, Ltd., 4.65% (US0003M+173 bps), 3/27/29, Callable 3/27/28 @ 100^(a)

     2,283  

958,000

    

Nomura Holdings, Inc., 2.68%, 7/16/30^

     964,854  

475,000

    

Nomura Holdings, Inc., 2.61%, 7/14/31

     472,586  

650,000

    

SA Global Sukuk, Ltd., 2.69%, 6/17/31, Callable 3/17/31 @ 100(a)

     655,245  

1,888,000

    

UBS Group AG, 2.86% (US0003M+95 bps), 8/15/23, Callable 8/15/22 @ 100(a)

     1,925,369  
  

 

 

 

     12,440,703  
  

 

 

 

Consumer Finance (0.1%):   

1,675,000

    

Hyundai Capital Services, Inc., 3.00%, 8/29/22(a)

     1,711,381  

1,390,000

    

Hyundai Capital Services, Inc., 3.75%, 3/5/23(a)

     1,448,074  
  

 

 

 

     3,159,455  
  

 

 

 

Diversified Financial Services (0.5%):   

1,760,000

    

GE Capital International Funding, 4.42%, 11/15/35

     2,107,790  

1,077,000

    

NXP BV/NXP Funding LLC/NXP USA, Inc., 3.15%, 5/1/27, Callable 3/1/27 @ 100(a)

     1,149,424  

4,280,000

    

NXP BV/NXP Funding LLC/NXP USA, Inc., 4.30%, 6/18/29, Callable 3/18/29 @ 100(a)

     4,855,069  

372,000

    

NXP BV/NXP Funding LLC/NXP USA, Inc., 3.40%, 5/1/30, Callable 2/1/30 @ 100(a)

     402,858  

1,164,000

    

NXP BV/NXP Funding LLC/NXP USA, Inc., 2.50%, 5/11/31, Callable 2/11/31 @ 100(a)

     1,173,981  

1,040,000

    

ORIX Corp., 2.90%, 7/18/22

     1,059,546  

1,755,000

    

Shell International Finance BV, 2.38%, 11/7/29, Callable 8/7/29 @ 100

     1,818,342  

289,000

    

Shell International Finance BV, 4.55%, 8/12/43

     359,075  
  

 

 

 

     12,926,085  
  

 

 

 

Principal

Amount            

                   Value        
Yankee Dollars, continued   
Diversified Telecommunication Services (0.0%):   

$389,000

    

Deutsche Telekom International Finance BV, 2.49%, 9/19/23, Callable 7/19/23 @ 100(a)

   $ 402,642  
  

 

 

 

Food & Staples Retailing (0.0%):   

556,000

    

Alimentation Couche-Tard, Inc., 3.44%, 5/13/41, Callable 11/13/40 @ 100(a)

     570,776  
  

 

 

 

Interactive Media & Services (0.1%):   

490,000

    

Baidu, Inc., 4.38%, 5/14/24, Callable 4/14/24 @ 100

     529,756  

475,000

    

Baidu, Inc., 4.38%, 3/29/28, Callable 12/29/27 @ 100

     530,518  

1,511,000

    

Tencent Holdings, Ltd., 2.99%, 1/19/23, Callable 12/19/22 @ 100(a)

     1,550,262  

515,000

    

Tencent Holdings, Ltd., 3.60%, 1/19/28, Callable 10/19/27 @ 100(a)

     550,816  
  

 

 

 

     3,161,352  
  

 

 

 

Internet & Direct Marketing Retail (0.0%):   

320,000

    

Alibaba Group Holding, Ltd., 2.80%, 6/6/23, Callable 5/6/23 @ 100

     330,799  
  

 

 

 

Machinery (0.0%):   

670,000

    

Trane Technologies Luxembourg Finance SA, 3.50%, 3/21/26, Callable 1/21/26 @ 100

     729,513  
  

 

 

 

Metals & Mining (0.2%):   

2,622,000

    

Anglo American Capital plc, 4.75%, 4/10/27(a)

     2,971,358  

365,000

    

Anglo American Capital plc, 4.00%, 9/11/27(a)

     402,142  

297,000

    

Anglo American Capital plc, 4.50%, 3/15/28, Callable 12/15/27 @ 100(a)

     333,683  

1,074,000

    

Anglo American Capital plc, 2.25%, 3/17/28, Callable 1/17/28 @ 100(a)

     1,067,940  
  

 

 

 

     4,775,123  
  

 

 

 

Oil, Gas & Consumable Fuels (0.0%):   

56,000

    

Cenovus Energy, Inc., 3.75%, 2/15/52, Callable 8/15/51 @ 100

     54,228  

555,000

    

Ecopetrol SA, 4.13%, 1/16/25

     576,506  

298,000

    

Suncor Energy, Inc., 6.80%, 5/15/38

     424,408  
  

 

 

 

     1,055,142  
  

 

 

 

Pharmaceuticals (0.1%):   

1,487,000

    

AstraZeneca plc, 1.38%, 8/6/30, Callable 5/6/30 @ 100

     1,410,014  
  

 

 

 

Real Estate Management & Development (0.0%):   

250,000

    

Mitsui Fudosan Co., Ltd., 2.95%, 1/23/23, Callable 12/23/22 @ 100(a)

     256,887  
  

 

 

 

Sovereign Bond (1.8%):   

704,000

    

Chile Government International Bond, 3.24%, 2/6/28, Callable 11/6/27 @ 100

     746,615  

1,560,000

    

Chile Government International Bond, 2.55%, 1/27/32, Callable 10/27/31 @ 100

     1,544,394  

2,230,000

    

Chile Government International Bond, 2.55%, 7/27/33, Callable 4/27/33 @ 100

     2,171,463  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal

Amount            

                   Value        
Yankee Dollars, continued   
Sovereign Bond, continued   

$1,905,000

    

Colombia Government International Bond, 3.13%, 4/15/31, Callable 1/15/31 @ 100

   $ 1,783,901  

860,000

    

Colombia Government International Bond, 3.25%, 4/22/32, Callable 1/22/32 @ 100

     803,117  

5,119,000

    

Mexico Government International Bond, 4.15%, 3/28/27

     5,762,177  

910,000

    

Mexico Government International Bond, 3.75%, 1/11/28

     991,248  

3,250,000

    

Mexico Government International Bond, 2.66%, 5/24/31, Callable 2/24/31 @ 100

     3,124,401  

589,561

    

Oriental Republic of Uruguay, 4.50%, 8/14/24^

     629,195  

2,175,000

    

Oriental Republic of Uruguay, 4.38%, 10/27/27

     2,471,344  

655,000

    

Panama Government International Bond, 3.16%, 1/23/30, Callable 10/23/29 @ 100

     676,288  

1,905,000

    

Panama Government International Bond, 4.50%, 4/1/56, Callable 10/1/55 @ 100

     2,071,688  

1,725,000

    

Philippine Government International Bond, 1.95%, 1/6/32

     1,667,461  

689,000

    

Province of Manitoba, 3.05%, 5/14/24

     731,648  

3,516,000

    

Republic of Colombia, 3.88%, 4/25/27, Callable 1/25/27 @ 100

     3,632,685  

275,000

    

Republic of Colombia, 4.50%, 3/15/29, Callable 12/15/28 @ 100

     289,208  

567,000

    

Republic of Colombia, 3.00%, 1/30/30, Callable 10/30/29 @ 100

     535,280  

581,000

    

Republic of Indonesia, 4.10%, 4/24/28

     652,191  

2,840,000

    

Republic of Indonesia, 2.85%, 2/14/30

     2,935,810  

327,000

    

Republic of Panama, 4.00%, 9/22/24, Callable 6/22/24 @ 100

     351,525  

420,000

    

Republic of Panama, 3.88%, 3/17/28, Callable 12/17/27 @ 100

     456,750  

540,000

    

Republic of Panama, 4.50%, 5/15/47

     592,650  

980,000

    

Republic of Peru, 4.13%, 8/25/27

     1,083,317  

1,031,000

    

Republic of Peru, 5.63%, 11/18/50

     1,393,656  

3,200,000

    

Republic of Philippines, 3.00%, 2/1/28

     3,417,245  

2,741,000

    

United Mexican States, 4.50%, 4/22/29

     3,074,256  

3,910,000

    

United Mexican States, 3.25%, 4/16/30, Callable 1/16/30 @ 100^

     3,998,894  

1,000,000

    

Uruguay Government International Bond, 4.38%, 1/23/31, Callable 10/23/30 @ 100

     1,153,750  
  

 

 

 

     48,742,157  
  

 

 

 

Wireless Telecommunication Services (0.0%):   

892,000

    

Vodafone Group plc, 5.25%, 5/30/48

     1,155,072  
  

 

 

 

        Total Yankee Dollars (Cost $138,613,598)

     141,480,770  
  

 

 

 

Principal

Amount            

                   Value        
Municipal Bonds (0.2%):   
California (0.1%):   

$905,000

     California State University Revenue, Series B, 2.72%, 11/1/52    $ 881,932  

50,000

     University of California Revenue, 4.86%, 5/15/12      69,242  

347,000

     University of California Revenue, 4.77%, 5/15/15      472,399  
  

 

 

 

     1,423,573  
  

 

 

 

New Jersey (0.0%):   

575,000

     New Jersey State Transportation Authority Revenue, Build America Bonds, GO, 6.56%, 12/15/40      846,757  

270,000

     New Jersey Transportation Trust Fund Authority Revenue, 4.13%, 6/15/42      307,338  

165,000

     New Jersey Turnpike Authority Revenue, Series B, 2.78%, 1/1/40, Continuously Callable @100      164,457  
  

 

 

 

     1,318,552  
  

 

 

 

New York (0.1%):   

1,160,000

     New York State Dormitory Authority Revenue, 5.00%, 2/15/31, Continuously Callable @100      1,499,520  
  

 

 

 

        Total Municipal Bonds (Cost $3,901,584)

     4,241,645  
  

 

 

 

U.S. Government Agency Mortgages (31.8%):   
Federal National Mortgage Association (23.1%)   

95,879

    

2.50%, 9/1/27, Pool #AB6194

     100,195  

64,719

    

2.50%, 9/1/27, Pool #AP5205

     67,490  

23,773

    

2.50%, 2/1/28, Pool #AB8446

     24,780  

55,444

    

2.50%, 4/1/28, Pool #AB8870

     57,967  

38,293

    

3.00%, 4/1/28, Pool #AT3121

     40,503  

38,995

    

3.00%, 5/1/28, Pool #AT6033

     41,231  

156,505

    

2.50%, 8/1/28, Pool #AS0190

     163,642  

91,727

    

3.00%, 10/1/28, Pool #AU8774

     97,003  

177,090

    

3.50%, 10/1/28, Pool #AV0198

     188,963  

9,187

    

3.00%, 10/1/28, Pool #AQ4132

     9,718  

312,638

    

3.50%, 11/1/28, Pool #AV1360

     333,647  

10,173

    

3.00%, 11/1/28, Pool #AV0298

     10,762  

225,422

    

3.00%, 4/1/29, Pool #AW0937

     240,135  

185,612

    

3.00%, 5/1/29, Pool #AW2544

     196,439  

323,912

    

3.00%, 6/1/29, Pool #AS2676

     345,143  

435,532

    

3.00%, 7/1/29, Pool #AW4229

     460,888  

80,808

    

3.00%, 7/1/29, Pool #AW1281

     85,880  

203,622

    

3.00%, 9/1/29, Pool #AS3220

     216,953  

89,861

    

3.50%, 9/1/29, Pool #AX0105

     95,417  

658,148

    

3.00%, 9/1/29, Pool #AL6897

     698,639  

122,857

    

3.00%, 10/1/29, Pool #AS3594

     129,984  

26,948

    

3.50%, 10/1/29, Pool #AX2741

     28,858  

470,451

    

3.00%, 1/1/30, Pool #AL6144

     501,311  

2,605,000

    

1.78%, 1/15/30(c)

     2,266,358  

18,055

    

2.50%, 2/1/30, Pool #AS4488

     18,880  

16,154

    

2.50%, 2/1/30, Pool #AS4485

     16,920  

62,223

    

2.50%, 2/1/30, Pool #BM3403

     64,940  

119,161

    

2.50%, 3/1/30, Pool #AS4688

     124,889  

92,305

    

3.00%, 3/1/30, Pool #AL6583

     97,594  

75,098

    

3.00%, 4/1/30, Pool #AL6584

     79,553  

49,542

    

2.50%, 4/1/30, Pool #AY3416

     51,906  

45,506

    

3.00%, 5/1/30, Pool #AL6761

     48,306  

29,627

    

2.50%, 5/1/30, Pool #AY0828

     31,034  

3,901,000

    

1.80%, 5/15/30(c)

     3,369,161  

242,667

    

3.00%, 6/1/30, Pool #AL9381

     257,422  

11,379

    

3.00%, 7/1/30, Pool #AZ2297

     12,033  

62,784

    

3.00%, 7/1/30, Pool #AL7139

     66,507  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
U.S. Government Agency Mortgages, continued

 

Federal National Mortgage Association, continued

 

$96,756

     2.50%, 7/1/30, Pool #AS5403    $ 101,194  

17,324

     2.50%, 7/1/30, Pool #AS5405      18,135  

78,780

     3.00%, 7/1/30, Pool #AX9701      83,462  

16,469

     3.00%, 7/1/30, Pool #AX9700      17,408  

28,770

     2.50%, 7/1/30, Pool #AZ2170      30,152  

49,198

     2.50%, 8/1/30, Pool #AS5548      51,463  

93,700

     3.00%, 8/1/30, Pool #AL7227      99,765  

14,945

     3.00%, 8/1/30, Pool #AZ7833      15,800  

112,901

     3.00%, 8/1/30, Pool #AL7225      119,595  

7,202

     3.00%, 8/1/30, Pool #AZ8597      7,617  

107,266

     2.50%, 8/1/30, Pool #AS5616      112,343  

79,123

     3.00%, 8/1/30, Pool #AS5622      83,810  

185,448

     2.50%, 8/1/30, Pool #BM3552      193,532  

83,894

     3.00%, 8/1/30, Pool #AS5623      89,335  

66,347

     3.50%, 8/1/30, Pool #AS5708      71,442  

16,969

     3.00%, 8/1/30, Pool #AX3298      17,944  

61,440

     2.50%, 8/1/30, Pool #AS5614      64,388  

21,878

     3.00%, 9/1/30, Pool #AL7320      23,146  

33,964

     3.00%, 9/1/30, Pool #AZ5719      35,917  

73,259

     2.50%, 9/1/30, Pool #AS5872      76,788  

59,429

     2.50%, 9/1/30, Pool #AS5786      62,167  

81,347

     3.00%, 9/1/30, Pool #AS5728      86,018  

65,443

     3.00%, 9/1/30, Pool #AS5714      69,336  

9,598

     2.50%, 11/1/30, Pool #AL7800      10,053  

63,216

     2.50%, 11/1/30, Pool #AS6142      66,115  

73,879

     2.50%, 11/1/30, Pool #AS6141      77,451  

65,474

     2.50%, 11/1/30, Pool #AS6115      68,587  

61,428

     2.50%, 11/1/30, Pool #AS6116      64,302  

1,211,391

     3.00%, 1/1/31, Pool #BM3537      1,283,542  

101,208

     2.50%, 3/1/31, Pool #BM1595      105,554  

110,611

     2.50%, 6/1/31, Pool #AS7320      116,097  

197,889

     2.50%, 7/1/31, Pool #AS7617      207,726  

184,139

     2.50%, 7/1/31, Pool #AS7605      193,293  

7,554

     2.50%, 8/1/31, Pool #BC2777      7,929  

1,389,411

     3.00%, 8/1/31, Pool #AL9376      1,475,531  

46,127

     4.00%, 8/1/31, Pool #AY4707      49,816  

23,309

     4.00%, 8/1/31, Pool #AY4688      25,039  

123,729

     3.00%, 9/1/31, Pool #AL9378      131,358  

66,439

     2.00%, 10/1/31, Pool #MA2774      68,515  

1,662,995

     2.50%, 10/1/31, Pool #BC4773      1,756,540  

244,205

     2.50%, 10/1/31, Pool #AS8009      255,645  

455,294

     2.50%, 10/1/31, Pool #AS8208      477,896  

817,825

     2.50%, 10/1/31, Pool #AS8195      863,582  

324,540

     2.50%, 10/1/31, Pool #AS8193      339,803  

270,065

     2.50%, 11/1/31, Pool #AS8240      283,451  

176,081

     2.50%, 11/1/31, Pool #AS8241      184,326  

230,002

     2.50%, 11/1/31, Pool #BC2631      241,182  

116,532

     2.50%, 11/1/31, Pool #BC2629      122,279  

149,597

     2.50%, 11/1/31, Pool #BC2628      157,971  

134,147

     2.50%, 11/1/31, Pool #AS8245      141,648  

325,320

     2.00%, 11/1/31, Pool #AS8251      335,515  

377,864

     2.00%, 11/1/31, Pool #BM3054      389,724  

111,264

     2.00%, 11/1/31, Pool #BC9040      114,760  

20,501

     2.00%, 11/1/31, Pool #AS8291      21,144  

91,112

     2.00%, 12/1/31, Pool #MA2845      93,971  

13,947

     3.00%, 2/1/32, Pool #BE5670      14,828  

23,995

     2.50%, 2/1/32, Pool #BM1036      25,167  

408,564

     2.50%, 3/1/32, Pool #AS9321      431,471  

432,362

     2.50%, 3/1/32, Pool #AS9318      454,076  

238,427

     2.50%, 3/1/32, Pool #AS9317      250,085  

267,123

     2.50%, 3/1/32, Pool #AS9316      280,886  

366,385

     3.00%, 3/1/32, Pool #AS9327      389,393  

574,968

     2.00%, 3/1/32, Pool #BM3061      593,021  

471,513

     2.50%, 3/1/32, Pool #AS9319      493,976  

1,810,733

     3.50%, 4/1/32, Pool #BM3503      1,960,294  

1,366,899

     3.50%, 5/1/32, Pool #BM1602      1,476,092  
Principal
Amount            
                   Value        
U.S. Government Agency Mortgages, continued

 

Federal National Mortgage Association, continued

 

$1,918,432

     3.00%, 6/1/32, Pool #BM1791    $ 2,043,668  

571,421

     2.50%, 8/1/32, Pool #BM3578      600,134  

231,779

     3.00%, 9/1/32, Pool #BM3240      245,189  

70,409

     3.50%, 11/1/32, Pool #BJ2054      76,236  

71,070

     5.50%, 1/1/33, Pool #676661      81,897  

44,763

     3.50%, 1/1/33, Pool #BJ2096      48,332  

1,130,412

     2.50%, 2/1/33, Pool #BM3793      1,184,223  

52,454

     5.50%, 5/1/33, Pool #555424      60,750  

2,603,755

     3.00%, 5/1/33, Pool #FM1880      2,745,363  

72,106

     4.00%, 9/1/33, Pool #BK7642      77,135  

222,926

     4.00%, 10/1/33, Pool #CA2527      241,708  

226,458

     4.00%, 11/1/33, Pool #CA2555      249,051  

438,722

     2.50%, 12/1/33, Pool #FM1680      457,957  

129,595

     5.50%, 2/1/35, Pool #735989      152,199  

411,329

     5.00%, 2/1/35, Pool #735226      470,285  

31,072

     5.00%, 3/1/35, Pool #735288      35,669  

11,988

     6.00%, 4/1/35, Pool #735504      14,062  

216,465

     3.00%, 8/1/35, Pool #CA6849      231,767  

222,416

     3.00%, 8/1/35, Pool #CA6876      234,730  

60,260

     5.00%, 9/1/35, Pool #889974      69,293  

128,610

     3.00%, 12/1/35, Pool #CA8389      138,261  

69,208

     3.00%, 12/1/35, Pool #CA8391      73,419  

1,172,685

     2.50%, 12/1/35, Pool #CA8387      1,239,351  

1,313,576

     2.50%, 12/1/35, Pool #CA8388      1,381,539  

138,567

     4.00%, 1/1/36, Pool #AB0686      155,759  

296,211

     5.50%, 9/1/36, Pool #995113      345,544  

32,336

     3.00%, 10/1/36, Pool #AL9227      33,837  

2,852,000

     2.50%, 10/25/36, TBA      2,970,091  

782,000

     3.00%, 10/25/36, TBA      821,100  

30,315,000

     2.00%, 10/25/36, TBA      31,205,503  

902,234

     3.50%, 10/25/36, TBA      960,033  

19,135,000

     1.50%, 10/25/36, TBA      19,311,401  

255,661

     3.00%, 11/1/36, Pool #AS8348      273,140  

101,188

     3.00%, 11/1/36, Pool #AS8349      107,828  

324,254

     3.00%, 12/1/36, Pool #AS8553      354,822  

230,007

     3.00%, 12/1/36, Pool #BE1896      245,968  

17,760

     5.50%, 2/1/38, Pool #961545      20,152  

10,706

     6.00%, 3/1/38, Pool #889529      12,744  

67,961

     5.50%, 5/1/38, Pool #889692      78,461  

31,281

     6.00%, 5/1/38, Pool #889466      37,228  

57,280

     5.50%, 5/1/38, Pool #889441      65,361  

45,754

     5.50%, 6/1/38, Pool #995018      52,629  

13,032

     5.50%, 9/1/38, Pool #889995      14,948  

32,186

     6.00%, 10/1/38, Pool #889983      38,349  

174,311

     5.50%, 1/1/39, Pool #AB0200      203,955  

60,422

     4.50%, 4/1/39, Pool #930922      67,123  

60,335

     3.50%, 5/1/39, Pool #MA3660      64,270  

74,537

     4.50%, 5/1/39, Pool #AL1472      84,138  

725,395

     5.00%, 6/1/39, Pool #AL7521      833,973  

493,146

     6.00%, 7/1/39, Pool #BF0056      581,030  

33,868

     5.50%, 10/1/39, Pool #AD0362      38,636  

30,721

     5.50%, 12/1/39, Pool #AD0571      35,175  

230,097

     3.50%, 12/1/39, Pool #MA3869      245,101  

213,375

     5.50%, 12/1/39, Pool #AC6680      245,481  

3,464,997

     4.50%, 1/1/40, Pool #AC8568      3,829,450  

108,654

     3.50%, 1/1/40, Pool #MA3891      115,739  

183,644

     3.50%, 2/1/40, Pool #MA3935      195,619  

30,025

     5.50%, 3/1/40, Pool #AL5304      34,603  

211,854

     6.00%, 4/1/40, Pool #AL4141      250,804  

24,051

     4.50%, 4/1/40, Pool #AD4038      27,018  

40,755

     6.50%, 5/1/40, Pool #AL1704      47,378  

38,099

     4.50%, 7/1/40, Pool #AB1226      42,089  

49,327

     4.50%, 7/1/40, Pool #AD7127      54,487  

23,498

     6.00%, 9/1/40, Pool #AE0823      27,440  

2,680,000

     Class CY , Series 2010-1364.00%, 12/25/40      2,922,891  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
U.S. Government Agency Mortgages, continued

 

Federal National Mortgage Association, continued

 

$27,180

     4.00%, 1/1/41, Pool #AL7167    $ 29,488  

3,951,438

     Class ZA , Series 2011-84.00%, 2/25/41      4,202,015  

48,646

     6.00%, 6/1/41, Pool #AL4142      56,429  

20,374

     4.50%, 7/1/41, Pool #AB3314      22,514  

417,419

     5.00%, 7/1/41, Pool #AL7524      475,195  

615,892

     5.50%, 9/1/41, Pool #AL8430      706,705  

34,065

     4.50%, 9/1/41, Pool #AI8961      38,000  

176,591

     3.50%, 1/1/42, Pool #AW8154      190,650  

734,893

     4.00%, 1/1/42, Pool #AB4307      825,424  

25,158

     3.50%, 4/1/42, Pool #AK7510      27,233  

72,952

     3.50%, 4/1/42, Pool #AO0777      77,157  

153,044

     4.00%, 5/1/42, Pool #AO2961      166,316  

52,525

     4.00%, 5/1/42, Pool #A02114      57,088  

13,313

     3.50%, 5/1/42, Pool #AO2881      14,411  

16,825

     3.50%, 6/1/42, Pool #AK9225      18,185  

12,171

     3.50%, 6/1/42, Pool #AO3048      13,158  

34,153

     3.50%, 7/1/42, Pool #AO9707      36,919  

156,860

     4.50%, 9/1/42, Pool #AL2482      175,238  

969,731

     4.50%, 1/1/43, Pool #AL8206      1,077,463  

66,887

     3.00%, 3/1/43, Pool #AR7576      70,666  

58,616

     3.00%, 3/1/43, Pool #AR7568      63,088  

81,334

     3.00%, 3/1/43, Pool #AR9218      86,026  

61,665

     3.00%, 4/1/43, Pool #AB8924      65,156  

860

     3.50%, 4/1/43, Pool #CA1530      914  

80,623

     3.00%, 4/1/43, Pool #AR8630      85,223  

30,590

     3.00%, 4/1/43, Pool #AT2037      32,919  

113,633

     3.00%, 4/1/43, Pool #AT2040      120,134  

75,929

     3.00%, 4/1/43, Pool #AT2043      80,242  

68,064

     3.00%, 4/1/43, Pool #AB8923      71,940  

9,980

     3.00%, 6/1/43, Pool #AB9564      10,826  

668,072

     5.00%, 12/1/43, Pool #AL7777      758,525  

342,458

     5.00%, 11/1/44, Pool #AL8878      390,732  

253,781

     3.50%, 2/1/45, Pool #BM1100      274,782  

811,319

     3.50%, 2/1/45, Pool #FM5294      877,582  

192,062

     5.00%, 6/1/45, Pool #BM3784      216,242  

131,025

     4.50%, 9/1/45, Pool #AL7936      147,581  

72,420

     4.50%, 11/1/45, Pool #AL9501      82,063  

8,179,200

     3.50%, 11/1/45, Pool #FM6411      8,784,547  

4,112

     4.50%, 11/1/45, Pool #AS6233      4,527  

190,972

     4.50%, 12/1/45, Pool #BM1756      213,246  

19,328

     3.00%, 6/1/46, Pool #AS7365      20,695  

438,706

     4.50%, 7/1/46, Pool #BM3053      500,389  

1,322,638

     3.50%, 7/1/46, Pool #BA7748      1,437,495  

546,799

     4.50%, 7/1/46, Pool #BM1920      617,353  

23,177

     3.00%, 8/1/46, Pool #AL9031      25,158  

769,418

     Class UF , Series 2016-480.49%(US0001M+40bps), 8/25/46      771,810  

1,283,117

     3.00%, 9/1/46, Pool #BD1469      1,375,859  

363,625

     3.00%, 11/1/46, Pool #BD9644      389,710  

267,120

     3.00%, 11/1/46, Pool #BD9645      286,176  

120,933

     3.00%, 11/1/46, Pool #BD9643      129,644  

291,243

     3.50%, 12/1/46, Pool #BE2103      318,408  

1,172,111

     3.00%, 12/1/46, Pool #AS8486      1,256,725  

387,628

     3.50%, 2/1/47, Pool #BE1534      424,159  

1,078,390

     3.50%, 2/1/47, Pool #AL9920      1,177,925  

74,252

     3.50%, 3/1/47, Pool #BH0158      81,169  

185,835

     3.50%, 5/1/47, Pool #BE9375      202,443  

371,375

     4.00%, 5/1/47, Pool #BH0398      406,050  

517,360

     3.50%, 5/1/47, Pool #BM1174      569,543  

642,296

     3.50%, 5/1/47, Pool #BD2417      702,463  

174,036

     3.50%, 6/1/47, Pool #BH0567      190,254  

347,457

     4.00%, 7/1/47, Pool #BH3401      379,760  

441,229

     4.00%, 8/1/47, Pool #BM1619      482,261  

229,446

     4.50%, 10/1/47, Pool #BM3052      259,728  

957,439

     3.50%, 11/1/47, Pool #MA3182      1,018,692  
Principal
Amount            
                   Value        
U.S. Government Agency Mortgages, continued

 

Federal National Mortgage Association, continued

 

$270,864

     4.50%, 12/1/47, Pool #BH7067    $ 301,595  

575,856

     3.50%, 1/1/48, Pool #MA3238      612,698  

1,888,172

     3.50%, 1/1/48, Pool #FM5293      2,065,212  

107,409

     4.00%, 2/1/48, Pool #BJ9058      118,349  

430,243

     3.50%, 2/1/48, Pool #BH9277      456,985  

85,060

     4.00%, 2/1/48, Pool #BJ9057      93,170  

300,619

     3.50%, 3/1/48, Pool #BJ0648      319,304  

590,918

     3.50%, 3/1/48, Pool #BJ4916      627,647  

202,402

     3.50%, 3/1/48, Pool #BK1958      214,982  

5,456,894

     4.50%, 4/1/48, Pool #FM7783      5,957,815  

207,089

     4.50%, 4/1/48, Pool #BM3846      233,570  

308,979

     3.50%, 4/1/48, Pool #FM5295      338,339  

19,516

     3.50%, 5/1/48, Pool #MA3356      20,729  

3,019,235

     4.50%, 5/1/48, Pool #CA1704      3,344,830  

252,305

     5.00%, 6/1/48, Pool #CA2317      277,075  

17,758

     4.50%, 7/1/48, Pool #BK4471      19,684  

114,995

     4.50%, 7/1/48, Pool #BK6113      129,451  

1,262,687

     5.00%, 9/1/48, Pool #MA3472      1,386,653  

0

     4.00%, 9/1/48, Pool #CA2374       

241,327

     5.00%, 10/1/48, Pool #BK7881      266,269  

109,599

     5.00%, 10/1/48, Pool #MA3501      120,926  

12,768

     3.50%, 11/1/48, Pool #FM1543      13,584  

178,554

     5.00%, 11/1/48, Pool #MA3527      197,008  

79,929

     5.00%, 12/1/48, Pool #BN4404      87,777  

108,111

     5.00%, 1/1/49, Pool #BN4430      118,726  

179,475

     5.00%, 1/1/49, Pool #BN3949      198,025  

1,784,938

     4.00%, 1/1/49, Pool #FM5296      1,972,689  

417,649

     3.50%, 6/1/49, Pool #FM5315      445,247  

957,348

     3.50%, 12/1/49, Pool #MA3210      1,018,595  

6,341,719

     3.00%, 3/1/50, Pool #FM5290      6,817,626  

467,904

     4.00%, 8/1/50, Pool #FM7703      501,328  

646,059

     4.00%, 8/1/50, Pool #FM7461      693,973  

2,399,610

     3.00%, 8/1/50, Pool #FM5292      2,560,982  

1,660,009

     4.00%, 9/1/50, Pool #FM4129      1,779,784  

4,124,943

     4.00%, 3/1/51, Pool #FM7460      4,420,850  

7,403,484

     3.00%, 6/1/51, Pool #CB0848      7,910,965  

192,629,975

     2.50%, 10/25/51, TBA      198,469,071  

1,270,832

     3.00%, 10/25/51, TBA      1,329,211  

14,805,055

     3.50%, 10/25/51, TBA      15,660,972  

7,558,000

     4.00%, 10/25/51, TBA      8,096,507  

5,300,000

     2.00%, 10/25/51, TBA      5,309,937  

31,895,000

     2.50%, 11/25/51, TBA      32,798,276  

24,332,000

     1.50%, 11/25/51, TBA      23,583,031  

116,397,000

     2.00%, 11/25/51, TBA      116,397,000  

39,100,000

     3.00%, 11/25/51, TBA      40,850,336  
       

 

 

 

          629,282,159  
       

 

 

 

Federal Home Loan Mortgage Corporation (2.4%)

 

3,650,000

     Class A2 , Series KC023.37%, 7/25/25, Callable 7/25/25 @ 100.00      3,858,962  

125,472

     3.00%, 9/1/27, Pool #U70060      132,272  

73,102

     3.00%, 7/1/28, Pool #U79018      76,783  

591,000

     1.72%, 9/15/29(c)      519,103  

4,510,000

     Class XFX , Series KL061.36%, 12/25/29      398,323  

27,842

     3.00%, 1/1/30, Pool #V60696      29,313  

35,376

     3.00%, 1/1/30, Pool #V60724      37,407  

58,311

     2.50%, 3/1/30, Pool #V60770      61,095  

93,752

     2.50%, 5/1/30, Pool #V60796      98,261  

125,950

     3.00%, 5/1/30, Pool #J31689      133,184  

147,621

     2.50%, 5/1/30, Pool #J31728      154,736  

65,667

     2.50%, 5/1/30, Pool #J31418      68,951  

243,522

     3.00%, 6/1/30, Pool #V60840      258,004  

6,079

     2.50%, 7/1/30, Pool #J32491      6,374  

6,820

     2.50%, 7/1/30, Pool #V60905      7,149  

117,688

     3.00%, 7/1/30, Pool #G15520      125,377  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
U.S. Government Agency Mortgages, continued

 

Federal Home Loan Mortgage Corporation, continued

 

$16,464

     3.00%, 7/1/30, Pool #J32181    $ 17,415  

21,106

     2.50%, 7/1/30, Pool #J32209      22,150  

22,702

     2.50%, 7/1/30, Pool #J32204      23,747  

102,941

     2.50%, 8/1/30, Pool #V60886      108,270  

25,692

     3.00%, 8/1/30, Pool #V60909      27,230  

15,303

     3.00%, 8/1/30, Pool #J32436      16,306  

87,261

     2.50%, 8/1/30, Pool #V60902      91,790  

82,331

     2.50%, 9/1/30, Pool #V60903      86,141  

247,288

     2.50%, 9/1/30, Pool #V60904      259,138  

7,289,800

     Class X1 , Series K1211.12%, 10/25/30, Callable 7/25/30 @ 100.00      574,509  

197,000

     1.93%, 3/15/31(c)      166,184  

190,000

     6.75%, 3/15/31^      274,776  

429,060

     2.50%, 4/1/31, Pool #G16186      452,346  

9,083

     3.00%, 10/1/32, Pool #J37706      9,576  

11,614

     3.00%, 11/1/32, Pool #J37835      12,245  

10,832

     3.00%, 12/1/32, Pool #J38060      11,421  

3,089,593

     2.50%, 4/1/33, Pool #ZS8087      3,225,637  

136,280

     3.50%, 1/1/34, Pool #ZS9068      148,855  

85,935

     5.50%, 2/1/35, Pool #G04692      99,945  

527,218

     3.50%, 5/1/35, Pool #SC0063      570,072  

63,007

     3.00%, 9/1/37, Pool #ZA2471      66,921  

1,265,497

     3.00%, 6/1/38, Pool #SC0111      1,338,463  

134,899

     6.00%, 4/1/39, Pool #G07613      160,792  

18,699

     4.50%, 12/1/39, Pool #A90196      20,894  

754,481

     3.50%, 1/1/40, Pool #RB5028      803,681  

90,086

     3.50%, 2/1/40, Pool #RB5034      95,961  

19,533

     4.50%, 7/1/40, Pool #A93010      21,595  

21,544

     4.00%, 8/1/40, Pool #A93534      23,587  

401,925

     4.50%, 9/1/40, Pool #A93700      444,429  

143,933

     4.00%, 9/1/40, Pool #A93851      160,880  

31,638

     4.00%, 10/1/40, Pool #A95923      35,179  

23,549

     4.00%, 11/1/40, Pool #A95144      25,849  

20,122

     4.00%, 11/1/40, Pool #A94977      22,336  

17,366

     4.00%, 11/1/40, Pool #A94779      19,292  

1,344

     4.00%, 4/1/41, Pool #Q00093      1,472  

48,839

     4.50%, 5/1/41, Pool #Q00804      53,954  

54,029

     4.50%, 5/1/41, Pool #Q00959      59,692  

301,669

     Class FL , Series 42480.53%(US0001M+45bps), 5/15/41      302,758  

337,873

     5.50%, 6/1/41, Pool #G07553      388,301  

34,300

     4.00%, 10/1/41, Pool #Q04022      37,673  

26,032

     4.00%, 10/1/41, Pool #Q03841      29,050  

67,502

     5.00%, 10/1/41, Pool #G07642      76,044  

161,923

     3.50%, 4/1/42, Pool #Q07417      178,725  

176,935

     3.50%, 4/1/42, Pool #C03811      194,970  

5,223

     3.50%, 5/1/42, Pool #Q08306      5,716  

15,923

     3.50%, 5/1/42, Pool #Q08239      17,425  

21,477

     3.50%, 8/1/42, Pool #Q12162      23,717  

149,497

     3.50%, 8/1/42, Pool #G07106      165,048  

8,257

     3.50%, 10/1/42, Pool #Q11909      8,960  

201,674

     3.00%, 1/1/43, Pool #Q14866      215,044  

156,068

     3.00%, 3/1/43, Pool #Q16673      166,174  

107,543

     3.00%, 3/1/43, Pool #Q16403      114,532  

107,913

     3.50%, 6/1/43, Pool #Q18718      119,636  

150,517

     3.50%, 7/1/43, Pool #Q20206      165,958  

68,250

     4.00%, 9/1/43, Pool #Q21579      76,535  

139,302

     4.50%, 12/1/43, Pool #G60018      151,974  

176,894

     4.50%, 12/1/43, Pool #Q23779      193,512  

16,308

     3.50%, 1/1/44, Pool #Q24368      17,967  

973,386

     Class XZ , Series 43164.50%,
3/15/44
     1,127,153  

705,368

     3.50%, 4/1/44, Pool #G07848      779,084  

72,116

     4.00%, 4/1/44, Pool #Q25643      80,884  
Principal
Amount            
                   Value        
U.S. Government Agency Mortgages, continued

 

Federal Home Loan Mortgage Corporation, continued

 

$1,350,382

     Class ZX , Series 43524.00%,
4/15/44
   $ 1,464,068  

19,522

     3.50%, 5/1/44, Pool #Q26218      21,609  

84,426

     3.50%, 6/1/44, Pool #Q28764      93,211  

2,260,782

     3.00%, 6/1/44, Pool #SD0498      2,433,210  

79,035

     4.00%, 7/1/44, Pool #G60901      86,487  

17,046

     3.50%, 7/1/44, Pool #Q27319      18,879  

2,399,400

     3.50%, 9/1/44, Pool #SD0481      2,649,790  

25,220

     3.50%, 9/1/44, Pool #Q28604      27,900  

2,867,025

     4.00%, 1/1/45, Pool #SD0490      3,138,743  

2,450,131

     4.00%, 1/1/45, Pool #SD0478      2,729,656  

23,289

     4.00%, 2/1/45, Pool #Q31338      26,034  

8,773

     4.00%, 2/1/45, Pool #Q31128      9,768  

20,502

     3.50%, 9/1/45, Pool #Q36302      22,714  

3,556,918

     4.00%, 9/1/45, Pool #SD0507      4,017,817  

26,010

     4.00%, 12/1/45, Pool #Q37955      29,059  

22,667

     4.00%, 12/1/45, Pool #Q37957      25,231  

1,689,250

     3.50%, 3/1/46, Pool #SD0485      1,831,662  

507,805

     Class FB , Series 46060.58%(US0001M+50bps), 8/15/46      514,829  

786,700

     3.00%, 9/1/46, Pool #Q42979      842,456  

300,053

     3.00%, 9/1/46, Pool #G60718      321,348  

346,802

     3.50%, 9/1/46, Pool #SD0486      373,602  

1,030,063

     3.00%, 12/1/46, Pool #V82781      1,094,440  

295,557

     3.00%, 12/1/46, Pool #Q45064      316,548  

176,507

     3.00%, 12/1/46, Pool #Q45080      190,763  

86,745

     3.00%, 12/1/46, Pool #Q45083      94,316  

824,936

     3.00%, 2/1/47, Pool #SD0496      889,949  

542,307

     3.50%, 3/1/47, Pool #G60968      608,274  

976,072

     4.00%, 7/1/47, Pool #SD0504      1,071,077  

1,284,177

     4.50%, 7/1/47, Pool #G61047      1,439,109  

452,857

     3.50%, 10/1/47, Pool #G61178      500,224  

567,840

     3.50%, 12/1/47, Pool #G61208      627,099  

78,650

     3.50%, 1/1/48, Pool #Q53630      86,930  

590,300

     3.50%, 1/1/48, Pool #ZS4751      627,940  

122,843

     3.50%, 1/1/48, Pool #Q53648      132,898  

569,397

     3.50%, 2/1/48, Pool #ZT1353      608,583  

806,855

     4.00%, 4/1/48, Pool #SD0489      913,755  

1,417,929

     4.50%, 8/1/48, Pool #G67715      1,583,124  

3,896,689

     4.00%, 8/1/48, Pool #SD0492      4,333,522  

3,388,147

     4.00%, 5/1/49, Pool #SD0488      3,698,913  

0

     3.50%, 6/1/49, Pool #SD0494       

15,346

     3.00%, 7/1/50, Pool #QB1158      16,424  

133,918

     3.00%, 7/1/50, Pool #QB1479      145,095  

35,040

     3.00%, 7/1/50, Pool #QB1486      38,196  

16,165

     3.00%, 7/1/50, Pool #QB1488      17,618  

104,140

     3.00%, 8/1/50, Pool #QB2339      113,463  

1,063,406

     3.00%, 8/1/50, Pool #RA3282      1,141,077  

1,147,157

     3.00%, 8/1/50, Pool #RA3313      1,218,394  

1,275,298

     4.00%, 12/1/50, Pool #SD0520      1,396,142  

1,318,039

     3.00%, 12/1/50, Pool #SD0519      1,425,683  
       

 

 

 

          65,162,493  
       

 

 

 

Government National Mortgage Association (6.1%)

 

11,292

     4.50%, 9/15/33, Pool #615516      12,697  

42,691

     5.00%, 12/15/33, Pool #783571      49,193  

13,060

     6.50%, 8/20/38, Pool #4223      15,511  

12,151

     6.50%, 10/15/38, Pool #673213      13,948  

7,336

     6.50%, 11/20/38, Pool #4292      8,713  

13,267

     6.50%, 12/15/38, Pool #782510      15,224  

148,712

     5.00%, 1/15/39, Pool #782557      170,396  

88,758

     5.00%, 4/15/39, Pool #782619      102,871  

56,304

     5.00%, 4/15/39, Pool #711939      65,291  

9,567

     4.00%, 4/20/39, Pool #4422      10,257  

8,677

     5.00%, 6/15/39, Pool #782696      10,041  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        
U.S. Government Agency Mortgages, continued

 

Government National Mortgage Association, continued

 

$31,006

     4.00%, 7/20/39, Pool #4494    $ 33,813  

54,133

     5.00%, 10/20/39, Pool #4559      61,630  

6,041

     4.50%, 12/20/39, Pool #G24598      6,624  

16,000

     4.50%, 1/15/40, Pool #728627      18,037  

7,307

     4.50%, 1/20/40, Pool #4617      8,012  

5,965

     4.50%, 2/20/40, Pool #G24636      6,669  

45,611

     5.00%, 5/15/40, Pool #782958      52,871  

385

     4.50%, 5/20/40, Pool #G24696      422  

32,174

     5.00%, 6/15/40, Pool #697862      37,781  

310,027

     4.50%, 7/15/40, Pool #733795      352,349  

35,594

     4.50%, 7/15/40, Pool #745793      39,523  

14,865

     4.50%, 7/20/40, Pool #4746      16,301  

27,843

     4.50%, 8/20/40, Pool #4771      30,536  

16,564

     4.50%, 9/20/40, Pool #748948      18,443  

8,209

     4.00%, 9/20/40, Pool #G24800      9,035  

66,086

     4.50%, 10/15/40, Pool #783609      74,877  

214,863

     4.00%, 10/20/40, Pool #G24833      236,467  

27,239

     4.50%, 10/20/40, Pool #4834      29,878  

403,529

     4.00%, 11/20/40, Pool #4853      445,642  

196,309

     4.00%, 12/20/40, Pool #G24882      216,076  

94,650

     4.00%, 1/15/41, Pool #759138      103,587  

177,419

     4.00%, 1/20/41, Pool #4922      195,288  

20,701

     4.50%, 2/15/41, Pool #738019      23,767  

3,052

     4.00%, 2/20/41, Pool #4945      3,342  

783,706

     4.00%, 2/20/41, Pool #742887      855,633  

53,056

     4.00%, 3/15/41, Pool #762838      58,049  

4,455

     5.00%, 4/20/41, Pool #5018      5,071  

9,860

     5.00%, 6/20/41, Pool #5083      11,227  

69,194

     4.50%, 6/20/41, Pool #783590      74,049  

48,535

     4.50%, 7/20/41, Pool #783584      51,939  

163,573

     4.50%, 7/20/41, Pool #5115      184,431  

29,197

     4.50%, 7/20/41, Pool #754367      32,077  

5,110

     5.00%, 7/20/41, Pool #5116      5,819  

307,835

     4.00%, 7/20/41, Pool #742895      335,008  

49,702

     4.50%, 11/15/41, Pool #783610      56,545  

134,064

     3.50%, 1/15/42, Pool #553461      145,206  

194,756

     4.00%, 4/20/42, Pool #MA0023      210,865  

84,727

     5.00%, 7/20/42, Pool #MA0223      96,480  

216,117

     3.50%, 4/15/43, Pool #AD2334      235,744  

366,841

     3.50%, 4/20/43, Pool #MA0934      398,154  

209,265

     3.50%, 5/20/43, Pool #MA1012      227,145  

18,041

     4.00%, 7/20/43, Pool #MA1158      19,532  

730,883

     4.50%, 6/20/44, Pool #MA1997      800,076  

16,497

     4.00%, 8/20/44, Pool #AI4167      18,354  

1,674

     4.00%, 8/20/44, Pool #AI4166      1,779  

12,323

     4.00%, 8/20/44, Pool #AJ4687      13,713  

13,760

     4.00%, 8/20/44, Pool #AJ2723      15,304  

610,281

     4.00%, 8/20/44, Pool #MA2149      668,116  

29,802

     3.00%, 12/20/44, Pool #MA2444      31,590  

331,366

     5.00%, 12/20/44, Pool #MA2448      377,508  

330,797

     3.00%, 2/15/45, Pool #784439      345,590  

1,632,463

     3.50%, 5/20/45, Pool #MA2826      1,745,757  

201,426

     5.00%, 12/20/45, Pool #MA3313      229,369  

8,338,411

     3.50%, 3/20/46, Pool #MA3521      8,893,706  

1,618,364

     3.50%, 5/20/46, Pool #MA3663      1,719,690  

547,011

     3.50%, 7/20/46, Pool #MA3803      583,441  

2,215,882

     3.50%, 9/20/46, Pool #MA3937      2,359,029  

189,682

     3.50%, 10/20/46, Pool #AX4344      205,361  

68,871

     3.50%, 10/20/46, Pool #AX4343      74,588  

84,468

     3.50%, 10/20/46, Pool #AX4341      93,313  

96,016

     3.50%, 10/20/46, Pool #AX4342      103,447  

127,572

     3.50%, 10/20/46, Pool #AX4345      139,413  

11,668

     4.00%, 10/20/46, Pool #AQ0542      12,440  

121,762

     4.50%, 3/15/47, Pool #AZ8560      138,408  

113,801

     4.50%, 4/15/47, Pool #AZ8597      130,879  

147,801

     4.50%, 4/15/47, Pool #AZ8596      165,111  
Principal
Amount            
                   Value        
U.S. Government Agency Mortgages, continued

 

Government National Mortgage Association, continued

 

$86,661

     4.50%, 5/15/47, Pool #BA7888    $ 96,752  

2,200,676

     4.00%, 6/20/47, Pool #MA4511      2,366,144  

20,329

     4.00%, 9/15/47, Pool #BC5919      21,889  

25,185

     4.00%, 10/15/47, Pool #BE1031      27,108  

25,208

     4.00%, 10/15/47, Pool #BD3187      27,355  

19,745

     4.00%, 11/15/47, Pool #BE1030      21,269  

1,766,599

     4.00%, 11/20/47, Pool #MA4838      1,906,921  

27,721

     4.00%, 12/15/47, Pool #BE4664      29,840  

858,916

     4.00%, 12/20/47, Pool #MA4901      927,141  

28,689

     4.00%, 1/15/48, Pool #BE0143      30,907  

20,966

     4.00%, 1/15/48, Pool #BE0204      22,544  

414,736

     4.50%, 9/20/48, Pool #BD0560      444,833  

808,902

     4.50%, 3/20/49, Pool #MA5818      861,913  

33,558

     4.50%, 4/20/49, Pool #MA5877      35,740  

368,890

     4.50%, 5/20/49, Pool #MA5932      391,879  

1,061,630

     3.00%, 9/20/49, Pool #MA6153      1,109,035  

729,021

     3.00%, 11/20/49, Pool #MA6283      761,567  

1,889,091

     3.00%, 1/20/50, Pool #MA6409      1,979,719  

3,294,150

     3.00%, 2/20/50, Pool #MA6474      3,444,406  

1,010,455

     3.00%, 3/20/50, Pool #MA6541      1,056,544  

3,728,961

     3.50%, 3/20/50, Pool #MA6542      3,921,353  

632,315

     4.50%, 4/20/50, Pool #MA6602      671,720  

3,099,999

     3.00%, 4/20/50, Pool #MA6599      3,241,212  

485,715

     4.00%, 5/20/50, Pool #MA6658      517,320  

120,185

     3.00%, 5/20/50, Pool #MA6656      125,420  

2,115,665

     3.00%, 10/20/50, Pool #MA6932      2,212,167  

2,661,748

     3.00%, 12/20/50, Pool #MA7053      2,781,764  

2,032,246

     3.00%, 1/20/51, Pool #MA7137      2,123,877  

2,050,296

     3.00%, 2/20/51, Pool #MA7194      2,142,737  

3,847,364

     3.00%, 4/20/51, Pool #MA7313      4,044,102  

1,000,001

     3.00%, 5/20/51, Pool #MA7368      1,047,808  

36,798,000

     2.50%, 10/20/51, TBA      37,959,437  

8,238,480

     3.00%, 10/20/51, TBA      8,604,063  

3,647,000

     4.50%, 10/20/51, TBA      3,872,088  

4,454,000

     4.00%, 10/20/51, TBA      4,725,416  

39,405,000

     2.00%, 10/20/51, TBA      39,934,505  

8,059,797

     3.50%, 11/20/51, TBA      8,476,010  
       

 

 

 

          166,328,573  
       

 

 

 

Federal Home Loan Bank (0.2%)

 

4,080,000

     3.56%, 5/16/33      4,817,394  
       

 

 

 

Total U.S. Government Agency Mortgages
(Cost $860,986,076)

     865,590,619  
  

 

 

 

U.S. Treasury Obligations (32.0%):   
U.S. Treasury Notes (15.6%)

 

21,185,000

     0.38%, 4/15/24      21,161,829  

5,570,000

     2.00%, 5/31/24      5,798,892  

98,310,000

     0.25%, 6/15/24      97,757,006  

1,700,000

     1.50%, 11/30/24      1,749,672  

5,615,000

     1.75%, 12/31/24      5,824,685  

1,140,000

     1.38%, 1/31/25      1,168,678  

20,065,000

     1.13%, 2/28/25      20,397,327  

3,164,000

     0.50%, 3/31/25      3,146,202  

16,246,000

     0.38%, 4/30/25      16,063,233  

13,710,000

     0.25%, 5/31/25      13,476,502  

890,000

     3.00%, 10/31/25      968,153  

1,550,000

     2.88%, 11/30/25      1,679,328  

7,810,000

     0.38%, 12/31/25      7,650,139  

4,310,000

     0.50%, 2/28/26      4,235,922  

37,085,000

     0.75%, 3/31/26      36,818,452  

8,275,000

     2.25%, 3/31/26      8,765,035  

2,435,000

     2.38%, 4/30/26      2,594,036  

7,832,000

     0.75%, 4/30/26      7,768,365  

1,520,000

     2.13%, 5/31/26      1,602,650  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount            
                   Value        

U.S. Treasury Obligations, continued

 

U.S. Treasury Notes, continued

 

$12,592,000

    

0.75%, 5/31/26

   $ 12,479,852  

2,407,000

    

1.88%, 6/30/26

     2,510,050  

14,160,000

    

0.63%, 7/31/26

     13,927,688  

2,430,000

    

1.88%, 7/31/26

     2,534,794  

36,420,000

    

0.75%, 8/31/26

     36,015,966  

9,550,000

    

0.88%, 9/30/26

     9,494,789  

10,580,000

    

0.38%, 7/31/27

     10,120,431  

3,345,000

    

0.50%, 8/31/27

     3,217,472  

4,620,000

    

0.38%, 9/30/27

     4,406,325  

11,690,000

    

1.25%, 6/30/28

     11,657,122  

1,005,000

    

1.00%, 7/31/28

     984,900  

4,113,000

    

2.88%, 8/15/28

     4,541,009  

255,000

    

2.38%, 5/15/29

     273,487  

11,880,000

    

0.63%, 5/15/30

     11,079,956  

9,750,000

    

0.63%, 8/15/30

     9,064,453  

35,416,000

    

1.25%, 8/15/31

     34,519,532  
       

 

 

 

          425,453,932  
       

 

 

 

U.S. Treasury Bonds (11.6%)

 

2,480,000

    

5.38%, 2/15/31

     3,333,275  

14,025,000

    

4.75%, 2/15/37

     19,755,527  

10,000,000

    

5.00%, 5/15/37

     14,462,500  

21,285,000

    

1.13%, 8/15/40(d)

     18,275,168  

35,585,000

    

1.88%, 2/15/41

     34,728,736  

2,850,000

    

1.75%, 8/15/41

     2,718,188  

29,385,000

    

3.13%, 11/15/41

     34,903,870  

7,022,500

    

3.63%, 8/15/43

     8,988,800  

1,205,000

    

3.13%, 8/15/44

     1,438,092  

15,000

    

2.50%, 2/15/45

     16,153  

955,000

    

3.00%, 5/15/45

     1,120,782  

1,770,000

    

2.88%, 8/15/45

     2,035,500  

12,235,000

    

3.00%, 11/15/45

     14,383,772  

22,700,000

    

2.25%, 8/15/46

     23,377,453  

6,855,000

    

2.88%, 11/15/46

     7,918,596  

3,293,000

    

3.00%, 2/15/47

     3,892,429  

3,105,000

    

2.75%, 11/15/47

     3,518,353  

5,645,000

    

3.00%, 2/15/48

     6,694,617  

30,570,000

    

3.13%, 5/15/48(d)

     37,104,338  

4,055,000

    

3.38%, 11/15/48

     5,153,652  

8,700,000

    

3.00%, 2/15/49

     10,373,391  

125,000

    

2.88%, 5/15/49

     145,859  

11,495,000

    

1.25%, 5/15/50

     9,373,813  

16,515,000

    

1.38%, 8/15/50

     13,898,405  

11,849,000

    

1.63%, 11/15/50

     10,615,963  

10,646,000

    

2.38%, 5/15/51

     11,329,673  

16,875,000

    

2.00%, 8/15/51

     16,534,863  
       

 

 

 

          316,091,768  
       

 

 

 

U.S. Treasury Bills (4.8%)

 

129,480,000

    

, 11/4/21^(c)

     129,473,275  
       

 

 

 

Total U.S. Treasury Obligations (Cost $861,766,484)

     871,018,975  
       

 

 

 

Commercial Paper (2.6%):

 

(2.6%):

       

11,885,000

    

Banco Santander SA, 0.12%, 11/4/21(c)

     11,883,609  

13,095,000

    

DBS Bank, Ltd., 0.11%, 11/22/21(c)

     13,092,800  

7,840,000

    

Macquarie Bank, Ltd., 0.00%, 11/3/21(c)

     7,839,177  

18,940,000

    

Mitsubishi UFJ Trust & Banking Corp., 0.00%, 12/10/21(c)

     18,935,625  

8,975,000

    

Santander UK plc, 0.00%, 2/1/22(c)

     8,971,733  
Principal
Amount            
                   Value        
Commercial Paper, continued

 

$10,890,000

    

Swedbank AB, 0.00%, 11/29/21(c)

   $ 10,888,410  
       

 

 

 

          71,611,354  
       

 

 

 

Total Commercial Paper (Cost $71,609,030)

     71,611,354  
       

 

 

 

Short-Term Security Held as Collateral for
Securities on Loan (4.5%):
 

122,366,488

     BlackRock Liquidity FedFund, Institutional Class , 0.03%(c)(e)      122,366,488  
       

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan (Cost $122,366,488)

     122,366,488  
       

 

 

 

Shares                    Value        
Unaffiliated Investment Company (13.9%):

 

Money Markets (13.9%):

 

377,136,313

     Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(c)      377,136,313  
       

 

 

 

Total Unaffiliated Investment Company (Cost $377,136,313)

     377,136,313  
       

 

 

 

Total Investment Securities

  

 

(Cost $3,372,984,359) - 125.0%

     3,399,079,004  

Net other assets (liabilities) - (25.0)%

     (679,995,770
       

 

 

 

Net Assets - 100.0%

   $ 2,719,083,234  
       

 

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

 

EUR003M   -    3 Month EUR LIBOR
EUAMDB01   -    1 Year EUR LIBOR
EUSA1   -    Euro 1 Year Swap Rate
EUSA5   -    Euro 5 Year Swap Rate
GO   -    General Obligation
H15T1Y   -    1 Year Treasury Constant Maturity Rate
H15T5Y   -    5 Year Treasury Constant Maturity Rate
LIBOR   -    London Interbank Offered Rate
MTN   -    Medium Term Note
SOFR   -    Secured Overnight Financing Rate
TBA   -    To Be Announced Security
US0001M   -    1 Month US Dollar LIBOR
US0003M   -    3 Month US Dollar LIBOR

 

^   This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities on loan as of September 30, 2021 was $119,915,617.
+   The principal amount is disclosed in local currency and the fair value is disclosed in U.S. Dollars.
  Represents less than 0.05%.
(a)   Rule 144A, Section 4(2) or other security which is restricted to resale to institutional investors. The sub-adviser has deemed these securities to be liquid based on procedures approved by the Board of Trustees.
(b)   The rate for certain asset-backed and mortgage-backed securities may vary based on factors relating to the pool of assets underlying the security. The rate presented is the rate in effect at September 30, 2021.
(c)   The rate represents the effective yield at September 30, 2021.
(d)   All or a portion of this security has been pledged as collateral for open derivative positions.
(e)   Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Securities Sold Short (0.0%):

 

      

At September 30, 2021, the Fund’s securities sold short were as follows:

                    
Security Description    Coupon
Rate
  Maturity
Date
   Par
Amount
  Proceeds
Received
   Fair Value

U.S. Government Agency Mortgages

                    

Government National Mortgage Association

                    

Government National Mortgage Association, TBA

       3.50 %       10/20/50      $ (448,000 )     $ (471,083)        $     (470,960) 

Federal National Mortgage Association

                    

Federal National Mortgage Association, TBA

       1.50 %       10/25/51        (209,000 )       (202,942)      (202,828) 

Federal National Mortgage Association, TBA

       4.50 %       10/25/51        (396,000 )       (428,551)      (428,237) 
                 

 

 

    

 

           $   (1,102,576)        $  (1,102,025) 
                 

 

 

    

 

 

Represents less than 0.05%.

Futures Contracts

At September 30, 2021, the Fund’s open futures contracts were as follows:

Short Futures

 

Description    Expiration
Date
   Number of
Contracts
   Notional
Amount
  Value and
Unrealized
Appreciation/
(Depreciation)

Euro Buxl 30-Year Bond December Futures (Euro)

       12/8/21        47      $ (11,068,878 )     $ 408,278

Euro Schatz Index December Futures (Euro)

       12/8/21        122        (15,854,588 )       10,668

Euro-Bobl December Futures (Euro)

       12/8/21        155        (24,222,733 )       149,527

Euro-Bund December Futures (Euro)

       12/8/21        170        (33,436,490 )       570,081

U.S. Treasury 10-Year Note December Futures (U.S. Dollar)

       12/21/21        805        (105,945,547 )       1,165,887

U.S. Treasury 10-Year Note December Futures (U.S. Dollar)

       12/21/21        171        (24,837,750 )       423,727

U.S. Treasury 30-Year Bond December Futures (U.S. Dollar)

       12/21/21        56        (8,916,250 )       177,190

Ultra Long Term U.S. Treasury Bond December Futures (U.S. Dollar)

       12/21/21        23        (4,394,438 )       118,564
                  

 

 

 

                   $         3,023,922
                  

 

 

 

Long Futures                   
Description    Expiration
Date
   Number of
Contracts
   Notional
Amount
  Value and
Unrealized
Appreciation/
(Depreciation)

U.S. Treasury 2-Year Note December Futures (U.S. Dollar)

       12/31/21        1,183      $ 260,324,695     $ (132,852 )

U.S. Treasury 5-Year Note December Futures (U.S. Dollar)

       12/31/21        448        54,988,500       (256,387 )
                  

 

 

 

                   $ (389,239 )
                  

 

 

 

Total Net Futures Contracts

                   $ 2,634,683
                  

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Enhanced Bond Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Forward Currency Contracts

At September 30, 2021, the Fund’s open forward currency contracts were as follows:

 

Currency Purchased      Currency Sold            Counterparty    Settlement
Date
     Net Unrealized
Appreciation/
(Depreciation)

U.S. Dollar

     71,266,415      European Euro      60,164,500      Bank National Paribas      12/15/21      $        1,466,649

U.S. Dollar

     71,317,915      European Euro      60,164,500      HSBC      12/15/21      1,518,150

U.S. Dollar

     1,258,970      European Euro      1,072,000      Natwest Capital Markets Ltd.      12/15/21      15,290

U.S. Dollar

     66,939      European Euro      57,000      Natwest Capital Markets Ltd.      12/15/21      811

U.S. Dollar

     70,403      European Euro      60,000      TD Securities International      12/15/21      794
                 

 

                  $        3,001,694
                 

 

European Euro

     9,851,000      U.S. Dollar      11,566,424      UBS Warburg      12/15/21      (137,799)
                 

 

Total Net Forward Currency Contracts

 

               $        2,863,895
                 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares            Value   
Common Stocks (40.1%):   
Aerospace & Defense (0.6%):   

334

    

Curtiss-Wright Corp.

   $ 42,144  

11,770

    

Lockheed Martin Corp.

            4,061,827  

40,128

    

Mercury Systems, Inc.*

     1,902,870  

22,188

    

Moog, Inc., Class A

     1,691,391  

5,824

    

Northrop Grumman Corp.

     2,097,514  

1,035

    

Teledyne Technologies, Inc.*

     444,615  
       

 

 

 

          10,240,361  
       

 

 

 

Air Freight & Logistics (0.1%):   

649

    

FedEx Corp.

     142,319  

6,990

    

United Parcel Service, Inc., Class B

     1,272,879  
       

 

 

 

          1,415,198  
       

 

 

 

Airlines (0.1%):   

10,482

    

Alaska Air Group, Inc.*

     614,245  

20,308

    

Southwest Airlines Co.*

     1,044,441  
       

 

 

 

          1,658,686  
       

 

 

 

Automobiles (0.6%):   

125,910

    

Ford Motor Co.*

     1,782,885  

13,058

    

Tesla, Inc.*

     10,126,218  
       

 

 

 

          11,909,103  
       

 

 

 

Banks (1.8%):   

  161,230

    

Bank of America Corp.

     6,844,213  

75,104

    

Citigroup, Inc.

     5,270,799  

23,638

    

Citizens Financial Group, Inc.

     1,110,513  

22,427

    

Hancock Whitney Corp.

     1,056,760  

73,081

    

JPMorgan Chase & Co.

     11,962,629  

65,639

    

Regions Financial Corp.

     1,398,767  

33,724

    

U.S. Bancorp

     2,004,555  

101,163

    

Wells Fargo & Co.

     4,694,975  
       

 

 

 

          34,343,211  
       

 

 

 

Beverages (0.4%):   

145,298

    

Coca-Cola Co. (The)

     7,623,786  

3,628

    

PepsiCo, Inc.

     545,688  
       

 

 

 

          8,169,474  
       

 

 

 

Biotechnology (1.1%):   

4,603

    

AbbVie, Inc.

     496,526  

19,922

    

Amgen, Inc.

     4,236,413  

5,998

    

Biogen, Inc.*

     1,697,374  

80,464

    

Gilead Sciences, Inc.

     5,620,410  

34,602

    

Incyte Corp.*

     2,379,926  

3,842

    

Moderna, Inc.*

     1,478,632  

1,380

    

Regeneron Pharmaceuticals, Inc.*

     835,149  

4,748

    

United Therapeutics Corp.*

     876,386  

10,529

    

Vertex Pharmaceuticals, Inc.*

     1,909,855  
       

 

 

 

          19,530,671  
       

 

 

 

Building Products (0.0%):   

3,012

    

Simpson Manufacturing Co., Inc.

     322,194  

6,090

    

UFP Industries, Inc.

     413,998  
       

 

 

 

          736,192  
       

 

 

 

Capital Markets (1.0%):   

9,374

    

Ameriprise Financial, Inc.

     2,475,861  

16,706

    

Artisan Partners Asset Management, Inc., Class A

     817,258  

15,893

    

Goldman Sachs Group, Inc. (The)

     6,008,031  

7,677

    

LPL Financial Holdings, Inc.

     1,203,446  

41,701

    

Morgan Stanley

     4,057,924  

762

    

MSCI, Inc., Class A

     463,555  

1,328

    

Nasdaq, Inc.

     256,331  

16,946

    

Raymond James Financial, Inc.

     1,563,777  

290

    

S&P Global, Inc.

     123,218  

9,563

    

SEI Investments Co.

     567,086  

14,677

    

State Street Corp.

     1,243,435  

2,252

    

Stifel Financial Corp.

     153,046  
       

 

 

 

          18,932,968  
       

 

 

 

Shares            Value   
Common Stocks, continued   
Chemicals (0.4%):   

49,668

    

CF Industries Holdings, Inc.

   $        2,772,468  

49,636

    

Corteva, Inc.

     2,088,683  

23,586

    

DuPont de Nemours, Inc.

     1,603,612  

3,218

    

Eastman Chemical Co.

     324,181  

2,174

    

NewMarket Corp.

     736,486  

8,957

    

Olin Corp.

     432,175  
       

 

 

 

          7,957,605  
       

 

 

 

Commercial Services & Supplies (0.2%):   

2,149

    

Cintas Corp.

     818,038  

7,889

    

Clean Harbors, Inc.*

     819,431  

19,204

    

Republic Services, Inc., Class A

     2,305,632  
       

 

 

 

          3,943,101  
       

 

 

 

Communications Equipment (0.4%):   

119,810

    

Cisco Systems, Inc.

     6,521,258  

4,979

    

Juniper Networks, Inc.

     137,022  
       

 

 

 

          6,658,280  
       

 

 

 

Construction & Engineering (0.1%):   

15,680

    

EMCOR Group, Inc.

     1,809,158  
       

 

 

 

Construction Materials (0.0%):   

2,117

    

Vulcan Materials Co.

     358,112  
       

 

 

 

Consumer Finance (0.4%):   

24,196

    

Capital One Financial Corp.

     3,919,026  

9,623

    

Discover Financial Services

     1,182,186  

29,299

    

OneMain Holdings, Inc.

     1,621,114  

23,446

    

Synchrony Financial

     1,146,040  
       

 

 

 

          7,868,366  
       

 

 

 

Distributors (0.0%):   

6,525

    

Genuine Parts Co.

     791,026  
       

 

 

 

Diversified Financial Services (0.9%):   

52,258

    

Berkshire Hathaway, Inc., Class B*

     14,263,298  

49,991

    

Jefferies Financial Group, Inc.

     1,856,166  
       

 

 

 

          16,119,464  
       

 

 

 

Diversified Telecommunication Services (0.4%):   

15,721

    

AT&T, Inc.

     424,624  

1,791

    

Frontier Communications Parent, Inc.*

     49,915  

  128,984

    

Verizon Communications, Inc.

     6,966,426  
       

 

 

 

          7,440,965  
       

 

 

 

Electric Utilities (0.3%):   

16,671

    

Hawaiian Electric Industries, Inc.

     680,677  

2,548

    

IDACORP, Inc.

     263,412  

63,822

    

NextEra Energy, Inc.

     5,011,304  

1,682

    

Portland General Electric Co.

     79,037  
       

 

 

 

          6,034,430  
       

 

 

 

Electrical Equipment (0.5%):   

11,407

    

AMETEK, Inc.

     1,414,582  

6,229

    

Atkore, Inc.*

     541,425  

9,889

    

Eaton Corp. plc

     1,476,526  

41,107

    

Emerson Electric Co.

     3,872,279  

34,302

    

nVent Electric plc

     1,108,984  
       

 

 

 

          8,413,796  
       

 

 

 

Electronic Equipment, Instruments &

Components (0.2%):

  

52,958

    

National Instruments Corp.

     2,077,543  

56,522

    

Vontier Corp.

     1,899,139  
       

 

 

 

          3,976,682  
       

 

 

 

Energy Equipment & Services (0.2%):   

40,731

    

Halliburton Co.

     880,604  

99,101

    

Schlumberger, Ltd.

     2,937,354  
       

 

 

 

          3,817,958  
       

 

 

 

Entertainment (0.7%):   

62,062

    

Activision Blizzard, Inc.

     4,802,978  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares            Value   
Common Stocks, continued   
Entertainment, continued   

  27,838

    

Electronic Arts, Inc.

   $        3,959,955  

1,975

    

Netflix, Inc.*

     1,205,422  

14,976

    

Walt Disney Co. (The)*

     2,533,490  
       

 

 

 

          12,501,845  
       

 

 

 

Equity Real Estate Investment Trusts (1.0%):   

5,210

    

American Homes 4 Rent, Class A

     198,605  

9,935

    

American Tower Corp.

     2,636,848  

23,709

    

Apartment Income REIT Corp.

     1,157,236  

2,267

    

Camden Property Trust

     334,315  

4,523

    

Crown Castle International Corp.

     783,926  

2,108

    

Extra Space Storage, Inc.

     354,123  

13,538

    

Healthcare Realty Trust, Inc.

     403,162  

14,935

    

Highwoods Properties, Inc.

     655,049  

2,183

    

Kilroy Realty Corp.

     144,536  

325

    

Life Storage, Inc.

     37,291  

35,092

    

National Storage Affiliates Trust

     1,852,507  

6,081

    

Prologis, Inc.

     762,740  

9,609

    

PS Business Parks, Inc.

     1,506,115  

11,888

    

Public Storage, Inc.

     3,531,925  

17,556

    

Realty Income Corp.

     1,138,682  

2,934

    

SBA Communications Corp.

     969,892  

765

    

Simon Property Group, Inc.

     99,427  

6,863

    

Terreno Realty Corp.

     433,947  

60,375

    

Weyerhaeuser Co.

     2,147,539  
       

 

 

 

          19,147,865  
       

 

 

 

Food & Staples Retailing (0.7%):   

11,644

    

Costco Wholesale Corp.

     5,232,231  

56,041

    

Walmart, Inc.

     7,810,995  
       

 

 

 

          13,043,226  
       

 

 

 

Food Products (0.3%):   

9,376

    

General Mills, Inc.

     560,872  

28,866

    

Kraft Heinz Co. (The)

     1,062,846  

45,159

    

Mondelez International, Inc., Class A

     2,627,351  

27,028

    

Tyson Foods, Inc., Class A

     2,133,590  
       

 

 

 

          6,384,659  
       

 

 

 

Health Care Equipment & Supplies (1.0%):   

42,292

    

Abbott Laboratories

     4,995,954  

32,914

    

Baxter International, Inc.

     2,647,273  

2,830

    

Danaher Corp.

     861,565  

10,791

    

Edwards Lifesciences Corp.*

     1,221,649  

3,286

    

IDEXX Laboratories, Inc.*

     2,043,564  

2,122

    

Intuitive Surgical, Inc.*

     2,109,586  

18,425

    

Medtronic plc

     2,309,574  

4,074

    

Stryker Corp.

     1,074,395  

2,984

    

West Pharmaceutical Services, Inc.

     1,266,827  
       

 

 

 

          18,530,387  
       

 

 

 

Health Care Providers & Services (1.1%):   

15,476

    

Anthem, Inc.

     5,769,453  

39,110

    

CVS Health Corp.

     3,318,874  

3,793

    

Laboratory Corp. of America Holdings*

     1,067,502  

1,001

    

Molina Healthcare, Inc.*

     271,581  

25,224

    

UnitedHealth Group, Inc.

     9,856,026  
       

 

 

 

          20,283,436  
       

 

 

 

Health Care Technology (0.4%):   

47,242

    

Cerner Corp.

     3,331,506  

13,228

    

Veeva Systems, Inc., Class A*

     3,811,913  
       

 

 

 

          7,143,419  
       

 

 

 

Hotels, Restaurants & Leisure (1.2%):   

1,903

    

Carnival Corp., Class A*

     47,594  

59,412

    

International Game Technology plc*

     1,563,724  

30,701

    

McDonald’s Corp.

     7,402,318  

5,132

    

Papa John’s International, Inc.

     651,713  

478

    

Royal Caribbean Cruises, Ltd.*

     42,518  
Shares            Value   
Common Stocks, continued   
Hotels, Restaurants & Leisure, continued   

26,665

    

Scientific Games Corp., Class A*

   $        2,215,061  

36,683

    

Starbucks Corp.

     4,046,502  

779

    

Travel + Leisure Co.

     42,479  

  129,859

    

Wendy’s Co. (The)

     2,815,343  

1,298

    

Wingstop, Inc.

     212,781  

20,333

    

Yum! Brands, Inc.

     2,486,929  
       

 

 

 

          21,526,962  
       

 

 

 

Household Durables (0.2%):   

4,093

    

DR Horton, Inc.

     343,689  

17,761

    

Meritage Homes Corp.*

     1,722,817  

11,404

    

PulteGroup, Inc.

     523,672  

17,167

    

Toll Brothers, Inc.

     949,163  
       

 

 

 

          3,539,341  
       

 

 

 

Household Products (0.4%):   

14,558

    

Colgate-Palmolive Co.

     1,100,294  

48,063

    

Procter & Gamble Co. (The)

     6,719,207  
       

 

 

 

          7,819,501  
       

 

 

 

Industrial Conglomerates (0.3%):   

14,480

    

3M Co.

     2,540,082  

3,752

    

Honeywell International, Inc.

     796,475  

3,603

    

Roper Technologies, Inc.

     1,607,406  
       

 

 

 

          4,943,963  
       

 

 

 

Insurance (0.5%):   

2,863

    

Aon plc, Class A

     818,159  

994

    

Arthur J. Gallagher & Co.

     147,758  

26,097

    

First American Financial Corp.

     1,749,804  

47,856

    

MetLife, Inc.

     2,954,151  

10,939

    

Primerica, Inc.

     1,680,559  

7,848

    

Reinsurance Group of America, Inc.

     873,168  

4,100

    

Selective Insurance Group, Inc.

     309,673  

4,228

    

Trupanion, Inc.*

     328,389  

13,745

    

WR Berkley Corp.

     1,005,859  
       

 

 

 

          9,867,520  
       

 

 

 

Interactive Media & Services (2.8%):   

6,165

    

Alphabet, Inc., Class A*

     16,482,251  

5,880

    

Alphabet, Inc., Class C*

     15,672,023  

57,684

    

Facebook, Inc., Class A*

     19,577,372  
       

 

 

 

          51,731,646  
       

 

 

 

Internet & Direct Marketing Retail (1.6%):   

8,539

    

Amazon.com, Inc.*

     28,050,956  

10,595

    

eBay, Inc.

     738,154  

4,522

    

Shutterstock, Inc.

     512,433  
       

 

 

 

          29,301,543  
       

 

 

 

IT Services (2.1%):   

5,883

    

Accenture plc, Class A

     1,882,089  

3,399

    

Alliance Data Systems Corp.

     342,925  

45,107

    

Amdocs, Ltd.

     3,415,051  

4,064

    

Automatic Data Processing, Inc.

     812,475  

27,225

    

Black Knight, Inc.*

     1,960,200  

21,146

    

Cognizant Technology Solutions Corp., Class A

     1,569,245  

6,290

    

EPAM Systems, Inc.*

     3,588,319  

8,476

    

FleetCor Technologies, Inc.*

     2,214,525  

9,723

    

Gartner, Inc.*

     2,954,625  

27,556

    

International Business Machines Corp.

     3,828,355  

20,297

    

MasterCard, Inc., Class A

     7,056,861  

10,090

    

PayPal Holdings, Inc.*

     2,625,519  

15,556

    

SolarWinds Corp.^

     260,252  

27,542

    

Visa, Inc., Class A

     6,134,980  

26,927

    

Western Union Co. (The.)

     544,464  
       

 

 

 

          39,189,885  
       

 

 

 

Leisure Products (0.0%):   

4,674

    

Academy Sports & Outdoors, Inc.*

     187,054  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares            Value   
Common Stocks, continued   
Leisure Products, continued   

2,667

    

Brunswick Corp.

   $           254,085  

859

    

Polaris, Inc.

     102,788  
       

 

 

 

          543,927  
       

 

 

 

Life Sciences Tools & Services (0.7%):   

11,981

    

Agilent Technologies, Inc.

     1,887,367  

924

    

Bio-Rad Laboratories, Inc., Class A*

     689,258  

718

    

Bio-Techne Corp.

     347,921  

4,160

    

Illumina, Inc.*

     1,687,337  

13,087

    

Thermo Fisher Scientific, Inc.

     7,476,996  

3,366

    

Waters Corp.*

     1,202,672  
       

 

 

 

          13,291,551  
       

 

 

 

Machinery (0.6%):   

25,317

    

AGCO Corp.

     3,102,092  

16,350

    

Caterpillar, Inc.

     3,138,710  

899

    

Cummins, Inc.

     201,879  

13,018

    

Deere & Co.

     4,361,941  
       

 

 

 

          10,804,622  
       

 

 

 

Media (0.2%):   

79,331

    

Comcast Corp., Class A

     4,436,983  
       

 

 

 

Metals & Mining (0.2%):   

44,058

    

Alcoa Corp.*

     2,156,199  

3,102

    

Nucor Corp.

     305,516  

2,922

    

Reliance Steel & Aluminum Co.

     416,151  
       

 

 

 

          2,877,866  
       

 

 

 

Multiline Retail (0.3%):   

7,345

    

Dollar General Corp.

     1,558,168  

4,616

    

Dollar Tree, Inc.*

     441,844  

15,782

    

Target Corp.

     3,610,448  
       

 

 

 

          5,610,460  
       

 

 

 

Multi-Utilities (0.2%):   

47,535

    

MDU Resources Group, Inc.

     1,410,364  

34,939

    

Public Service Enterprise Group, Inc.

     2,127,785  

11,577

    

WEC Energy Group, Inc.

     1,021,091  
       

 

 

 

          4,559,240  
       

 

 

 

Oil, Gas & Consumable Fuels (1.4%):   

32,888

    

Antero Resources Corp.*

     618,623  

25,368

    

Chevron Corp.

     2,573,584  

67,908

    

ConocoPhillips

     4,602,125  

7,306

    

Continental Resources, Inc.^

     337,172  

5,526

    

Denbury, Inc.*

     388,201  

46,392

    

EOG Resources, Inc.

     3,723,886  

128,167

    

Exxon Mobil Corp.

     7,538,783  

2,583

    

Hess Corp.

     201,758  

54,486

    

Kinder Morgan, Inc.

     911,551  

  170,090

    

Marathon Oil Corp.

     2,325,130  

9,577

    

Occidental Petroleum Corp.

     283,288  

11,305

    

PDC Energy, Inc.

     535,744  

7,443

    

Pioneer Natural Resources Co.

     1,239,334  

4,011

    

Sanchez Energy Corp.*

     138,147  
       

 

 

 

          25,417,326  
       

 

 

 

Pharmaceuticals (1.6%):   

108,426

    

Bristol-Myers Squibb Co.

     6,415,566  

1,698

    

Eli Lilly & Co.

     392,323  

72,003

    

Johnson & Johnson

     11,628,485  

65,955

    

Merck & Co., Inc.

     4,953,880  

155,514

    

Pfizer, Inc.

     6,688,657  
       

 

 

 

          30,078,911  
       

 

 

 

Professional Services (0.1%):   

94

    

IHS Markit, Ltd.

     10,962  

10,908

    

Korn Ferry

     789,303  

6,215

    

TriNet Group, Inc.*

     587,815  

12,408

    

Upwork, Inc.*

     558,732  
       

 

 

 

          1,946,812  
       

 

 

 

Shares            Value   
Common Stocks, continued   
Real Estate Management & Development (0.1%):   

2,459

    

eXp World Holdings, Inc.

   $              97,794  

46,835

    

Opendoor Technologies, Inc.*^

     961,523  
       

 

 

 

          1,059,317  
       

 

 

 

Road & Rail (0.3%):   

13,644

    

CSX Corp.

     405,773  

6,724

    

Old Dominion Freight Line, Inc.

     1,922,929  

18,466

    

Union Pacific Corp.

     3,619,521  
       

 

 

 

          5,948,223  
       

 

 

 

Semiconductors & Semiconductor Equipment (2.3%):   

9,893

    

Advanced Micro Devices, Inc.*

     1,017,990  

27,188

    

Applied Materials, Inc.

     3,499,911  

11,108

    

Broadcom, Inc.

     5,386,603  

9,647

    

Cirrus Logic, Inc.*

     794,431  

  154,913

    

Intel Corp.

     8,253,765  

629

    

Lam Research Corp.

     357,995  

436

    

Micron Technology, Inc.

     30,947  

44,637

    

NVIDIA Corp.

     9,247,001  

1,818

    

NXP Semiconductors NV

     356,092  

52,080

    

Qualcomm, Inc.

     6,717,278  

12,198

    

Semtech Corp.*

     951,078  

36,392

    

Texas Instruments, Inc.

     6,994,906  
       

 

 

 

          43,607,997  
       

 

 

 

Software (4.1%):   

16,249

    

Adobe, Inc.*

     9,354,874  

74,600

    

Box, Inc.*

     1,765,782  

952

    

Cadence Design Systems, Inc.*

     144,171  

3,119

    

Crowdstrike Holdings, Inc., Class A*

     766,588  

126,862

    

Dropbox, Inc., Class A*

     3,706,908  

723

    

HubSpot, Inc.*

     488,813  

156,558

    

Microsoft Corp.

     44,136,831  

5,540

    

Nutanix, Inc., Class A*

     208,858  

47,842

    

Oracle Corp.

     4,168,473  

1,954

    

Qualys, Inc.*

     217,461  

7,960

    

salesforce.com, Inc.*

     2,158,911  

4,098

    

ServiceNow, Inc.*

     2,550,063  

24,035

    

SS&C Technologies Holdings, Inc.

     1,668,029  

15,706

    

Synopsys, Inc.*

     4,702,533  

667

    

Workday, Inc., Class A*

     166,677  
       

 

 

 

          76,204,972  
       

 

 

 

Specialty Retail (1.0%):   

6,738

    

AutoNation, Inc.*

     820,419  

1,164

    

Best Buy Co., Inc.

     123,046  

44,438

    

Foot Locker, Inc.

     2,029,039  

16,779

    

Home Depot, Inc. (The)

     5,507,875  

23,549

    

Lowe’s Cos., Inc.

     4,777,150  

3,004

    

O’Reilly Automotive, Inc.*

     1,835,624  

2,854

    

TJX Cos., Inc. (The)

     188,307  

7,638

    

Ulta Beauty, Inc.*

     2,756,707  

1,753

    

Williams-Sonoma, Inc.

     310,860  
       

 

 

 

          18,349,027  
       

 

 

 

Technology Hardware, Storage & Peripherals (2.6%):   

307,986

    

Apple, Inc.

     43,580,019  

29,571

    

NetApp, Inc.

     2,654,293  

33,251

    

Pure Storage, Inc., Class A*

     836,595  

16,334

    

Western Digital Corp.*

     921,891  
       

 

 

 

          47,992,798  
       

 

 

 

Textiles, Apparel & Luxury Goods (0.2%):   

525

    

Crocs, Inc.*

     75,327  

613

    

Deckers Outdoor Corp.*

     220,803  

18,291

    

Nike, Inc., Class B

     2,656,402  
       

 

 

 

          2,952,532  
       

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares            Value   
Common Stocks, continued   
Tobacco (0.2%):   

10,369

    

Altria Group, Inc.

   $           471,997  

28,774

    

Philip Morris International, Inc.

     2,727,487  
       

 

 

 

          3,199,484  
       

 

 

 

Trading Companies & Distributors (0.0%):   

13,209

    

Core & Main, Inc., Class A*

     346,208  

164

    

W.W. Grainger, Inc.

     64,462  
       

 

 

 

          410,670  
       

 

 

 

Water Utilities (0.0%):   

1,221

    

American Water Works Co., Inc.

     206,398  
       

 

 

 

Total Common Stocks (Cost $693,160,868)

     746,579,121  
  

 

 

 

Preferred Stock (0.0%):   
Electric Utilities (0.0%):   

1,000

    

PG&E Corp., 8/16/23

     95,600  
       

 

 

 

Total Preferred Stock (Cost $117,395)

     95,600  
  

 

 

 

Contracts            Value     
Warrants (0.0%):   
Oil, Gas & Consumable Fuels (0.0%):   

63

    

California Resources Corp., 10/27/24

     756  

4,849

    

Occidental Petroleum Corp., 8/3/27

     57,461  
       

 

 

 

Total Warrants (Cost $50,290)

     58,217  
  

 

 

 

Principal
Amount
           Value     
Asset Backed Securities (0.7%):   

$167,789

    

Aaset Trust, Class A, Series 2019-1, 3.84%, 5/15/39(a)

     166,885  

263,232

    

Aaset Trust, Class A, Series 2019-2, 3.38%, 10/16/39(a)

     256,073  

136,978

    

Aaset Trust, Class A, Series 2018-1A, 3.84%, 1/16/38(a)

     134,844  

244,877

    

Aaset Trust, Class A, Series 2020-1A, 4.34%, 1/16/40(a)

     177,330  

920,928

    

Aaset Trust, Class A, Series 2017-1A, 3.97%, 5/16/42(a)

     844,439  

227,695

    

Aaset Trust, Class A, Series 2020-1A, 3.35%, 1/16/40(a)

     225,070  

  1,164,740

    

Blackbird Capital Aircraft, Class A, Series 2021-1A, 2.44%, 7/15/46, Callable 7/15/28 @ 200(a)

     1,165,329  

104,167

    

Blackbird Capital Aircraft, Class AA, Series 2016-1A, 2.49%, 12/16/41, Callable 12/15/24 @ 200(a)(b)

     104,110  

553,670

    

Blackbird Capital Aircraft, Class A, Series 2016-1A, 4.21%, 12/16/41, Callable 12/15/24 @ 200(a)(b)

     554,464  

254,751

    

Castlelake Aircraft Structured Trust, Class A, Series 2019-1, 3.97%, 4/15/39(a)

     254,747  

274,672

    

Castlelake Aircraft Structured Trust, Class A, Series 2018-1A, 4.13%, 6/15/43(a)

     273,918  

186,315

    

Castlelake Aircraft Structured Trust, Class B, Series 2019-1, 5.10%, 4/15/39(a)

     178,428  

218,160

    

Castlelake Aircraft Structured Trust, Class A, Series 2021-1A, 3.47%, 1/15/46(a)

     225,333  

378,768

    

CF Hippolyta LLC, Class A1, Series 2021-A, 1.53%, 3/15/61, Callable 3/15/24 @ 200(a)

     381,122  
Principal
Amount
           Value   
Asset Backed Securities, continued   

$355,120

    

DB Master Finance LLC, Class A2II, Series 2017-1A, 4.03%, 11/20/47, Callable 11/20/23 @ 200(a)

   $           375,474  

  5,037,300

    

DB Master Finance LLC, Class A2I, Series 2017-1A, 3.63%, 11/20/47, Callable 11/20/21 @ 200(a)

     5,058,068  

219,715

    

Horizon Aircraft Finance, Ltd., Class A, Series 2019-1, 3.72%, 7/15/39(a)

     220,243  

200,632

    

Horizon Aircraft Finance, Ltd., Class A, Series 2018-1, 4.46%, 12/15/38(a)

     200,721  

216,150

    

Planet Fitness Master Issuer LLC, Class A2, Series 1A, 3.86%, 12/5/49, Callable 12/5/25 @ 200(a)

     219,548  

243,707

    

Project Silver, Class A, Series 2019-1, 3.97%, 7/15/44(a)

     241,596  

233,783

    

Sapphire Aviation Finance, Ltd., Class B, Series 2020-1A, 4.34%, 3/15/40(a)

     205,094  

245,535

    

Sapphire Aviation Finance, Ltd., Class A, Series 2020-1A, 3.23%, 3/15/40(a)

     243,456  

358,388

    

Thunderbolt Aircraft Lease, Ltd., Class A, Series 2019-1, 3.67%, 11/15/39(a)

     354,966  

246,781

    

Thunderbolt Aircraft Lease, Ltd., Class A, Series 2017-A, 4.21%, 5/17/32, Callable 4/15/24 @ 200(a)(b)

     248,477  

352,324

    

Thunderbolt Aircraft Lease, Ltd., Class A, Series 2018, 4.15%, 9/15/38(a)(b)

     350,164  
       

 

 

 

Total Asset Backed Securities (Cost $12,858,828)

     12,659,899  
  

 

 

 

Collateralized Mortgage Obligations (4.0%):   

250,000

    

AIMCO CLO 11, Ltd., Class A, Series 2020-11A, 1.51%(US0003M+276bps), 10/15/31, Callable 10/15/21 @ 200(a)

     250,065  

310,000

    

Aimco CLO 12, Ltd., Class A, Series 2020-12A, 1.34%(US0003M+242bps), 1/17/32, Callable 1/17/22 @ 200(a)

     309,999  

387,000

    

Aimco CLO 14, Ltd., Class A, Series 2021-14A, 1.19%(US0003M+198bps), 4/20/34, Callable 4/20/23 @ 200(a)

     386,711  

250,000

    

Allegany Park CLO, Ltd., Class A, Series 2019-1A, 1.46%(US0003M+266bps), 1/20/33, Callable 1/20/22 @ 200(a)

     250,240  

250,000

    

Allegro CLO XIII, Ltd., Class A, Series 2021-1A, 1.29%(US0003M+228bps), 7/20/34, Callable 7/20/23 @ 200(a)

     250,179  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Collateralized Mortgage Obligations, continued   

  $2,812,000

    

Allegro CLO XIV, Ltd., Class A1, Series 2021-2A, 1.24%(US0003M+232bps), 10/15/34, Callable 10/15/23 @ 200(a)

   $        2,812,281  

256,000

    

Ares CLO, Ltd., Class A, Series 2019-54A, 1.45%(US0003M+264bps), 10/15/32, Callable 10/15/21 @ 200(a)

     256,035  

853,000

    

Ares LV CLO, Ltd., Class A1R, Series 2020-55A, 1.26%(US0003M+226bps), 7/15/34, Callable 7/15/23 @ 200(a)

     853,917  

250,000

    

Ares LVIII CLO, Ltd., Class A, Series 2020-58A, 1.35%(US0003M+244bps), 1/15/33, Callable 1/15/22 @ 200(a)

     250,205  

273,000

    

Ares XLI CLO, Ltd., Class AR2, Series 2016-41A, 1.20%(US0003M+214bps), 4/15/34, Callable 4/15/23 @ 200(a)

     273,126  

177,000

    

BAMLL Commercial Mortgage Securities Trust, Class ANM, Series 2019-BPR, 3.11%, 11/5/32(a)

     183,009  

233,000

    

BAMLL Commercial Mortgage Securities Trust, Class A, Series 2020-JGDN, 2.83%(US0001M+550bps), 11/15/25(a)

     236,232  

30,000

    

Bank, Class A5, Series 2019-BN21, 2.85%, 10/15/52, Callable 9/15/29 @ 100

     31,826  

310,000

    

Barings CLO, Ltd., Class A, Series 2020-4A, 1.35%(US0003M+244bps), 1/20/32, Callable 1/20/22 @ 200(a)

     310,038  

305,000

    

Barings CLO, Ltd., Class A1, Series 2020-1A, 1.53%(US0003M+280bps), 10/15/32, Callable 10/15/21 @ 200(a)

     305,000  

536,000

    

Barings CLO, Ltd., Class AR, Series 2020-1A(US0003M+230bps), 10/15/36(a)

     536,000  

265,000

    

Beechwood Park CLO, Ltd., Class A1, Series 2019-1A, 1.46%(US0003M+266bps), 1/17/33, Callable 1/17/22 @ 200(a)

     265,314  

34,000

    

Benchmark Mortgage Trust, Class A5, Series 2018-B4, 4.12%, 7/15/51(b)

     38,735  

808,000

    

Bethpage Park CLO, Ltd., Class A, Series 2021-1A(US0003M+226bps), 1/15/35(a)

     808,000  

139,000

    

BFLD Trust, Class A, Series 2020-OBRK, 2.13%(US0001M+410bps), 11/15/22(a)

     140,375  
Principal
Amount
           Value   
Collateralized Mortgage Obligations, continued   

  $309,000

    

Bristol Park CLO, Ltd., Class AR, Series 2016-1A, 1.12%(US0003M+198bps), 4/15/29, Callable 10/15/21 @ 200(a)

   $           308,494  

113,000

    

BX Commercial Mortgage Trust, Class C, Series 2019-IMC, 1.68%(US0001M+320bps), 4/15/34(a)

     112,648  

111,513

    

BX Commercial Mortgage Trust, Class C, Series 2020-BXLP, 1.20%(US0001M+224bps), 12/15/29(a)

     111,477  

131,788

    

BX Commercial Mortgage Trust, Class E, Series 2020-BXLP, 1.68%(US0001M+320bps), 12/15/29(a)

     131,746  

390,757

    

BX Commercial Mortgage Trust, Class A, Series 2020-BXLP, 0.88%(US0001M+160bps), 12/15/29(a)

     391,132  

172,338

    

BX Commercial Mortgage Trust, Class D, Series 2020-BXLP, 1.33%(US0001M+250bps), 12/15/29(a)

     172,283  

129,016

    

BX Commercial Mortgage Trust, Class B, Series 2019-XL, 1.16%(US0001M+216bps), 10/15/36(a)

     129,093  

321,656

    

BX Commercial Mortgage Trust, Class E, Series 2019-XL, 1.88%(US0001M+360bps), 10/15/36(a)

     321,945  

94,500

    

BX Commercial Mortgage Trust, Class F, Series 2018-IND, 1.88%(US0001M+360bps), 11/15/35(a)

     94,519  

90,293

    

BX Commercial Mortgage Trust, Class D, Series 2018-EXCL, 2.71%(US0001M+525bps), 9/15/37(a)

     76,315  

228,870

    

BX Commercial Mortgage Trust, Class D, Series 2019-XL, 1.53%(US0001M+290bps), 10/15/36(a)

     229,076  

194,820

    

BX Commercial Mortgage Trust, Class A, Series 2020-FOX, 1.08%(US0001M+200bps), 11/15/32(a)

     194,900  

161,712

    

BX Commercial Mortgage Trust, Class C, Series 2019-XL, 1.33%(US0001M+250bps), 10/15/36(a)

     161,809  

141,003

    

BX Commercial Mortgage Trust, Class B, Series 2020-BXLP, 1.08%(US0001M+200bps), 12/15/29(a)

     140,958  

5,017,000

    

BX Commercial Mortgage Trust, Class A, Series 2019-IMC, 1.08%(US0001M+200bps), 4/15/34(a)

     5,016,999  

172,000

    

BX Commercial Mortgage Trust, Class B, Series 2019-IMC, 1.38%(US0001M+260bps), 4/15/34(a)

     171,896  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Collateralized Mortgage Obligations, continued   

$119,000

    

BX Commercial Mortgage Trust, Class D, Series 2019-IMC, 1.98%(US0001M+380bps), 4/15/34(a)

   $           118,259  

5,000,000

    

BX Trust, Class A, Series 2021-SOAR, 0.75%(US0001M+134bps), 6/15/38(a)

     5,002,350  

667,884

    

Cascade Funding Mortgage Trust, Class A, Series 2021-HB6, 0.90%, 6/25/36, Callable 6/25/22 @ 200(a)(b)

     668,098  

250,000

    

Cedar Funding CLO, Ltd., Class A, Series 2019-10A, 1.47%(US0003M+268bps), 10/20/32, Callable 10/20/21 @ 200(a)

     250,000  

  17,105,000

    

Cedar Funding V CLO, Ltd., Class A1R, Series 2016-5A, 1.23%(US0003M+220bps), 7/17/31, Callable 10/17/21 @ 200(a)

     17,105,292  

235,000

    

Cedar Funding VI CLO, Ltd., Class AAA, Series 2016-6A, 1.18%(US0003M+210bps), 4/20/34, Callable 4/20/23 @ 200(a)

     235,256  

643,000

    

Cedar Funding X CLO, Ltd., Class AR, Series 2019-10A(US0003M+220bps), 10/20/32(a)

     643,000  

250,000

    

Cedar Funding XII CLO, Ltd., Class A, Series 2020-12A, 1.40%(US0003M+254bps), 10/25/32, Callable 10/25/21 @ 200(a)

     250,022  

99,275

    

CHC Commercial Mortgage Trust, Class C, Series 2019-CHC, 1.83%(US0001M+350bps), 6/15/34(a)

     99,026  

99,275

    

CHC Commercial Mortgage Trust, Class B, Series 2019-CHC, 1.58%(US0001M+300bps), 6/15/34(a)

     99,169  

403,058

    

CHC Commercial Mortgage Trust, Class A, Series 2019-CHC, 1.20%(US0001M+224bps), 6/15/34(a)

     403,058  

204,000

    

CIM Retail Portfolio Trust, Class D, Series 2021-RETL, 3.13%(US0001M+610bps), 8/15/36(a)

     203,978  

721,000

    

CIM Retail Portfolio Trust, Class A, Series 2021-RETL, 1.48%(US0001M+280bps), 8/15/36(a)

     722,031  

165,000

    

CIM Retail Portfolio Trust, Class C, Series 2021-RETL, 2.38%(US0001M+460bps), 8/15/36(a)

     164,990  

222,000

    

CIM Retail Portfolio Trust, Class B, Series 2021-RETL, 1.98%(US0001M+380bps), 8/15/36(a)

     221,993  
Principal
Amount
           Value   
Collateralized Mortgage Obligations, continued   

$247,000

    

Columbia Cent CLO 29, Ltd., Class A1N, Series 2020-29A, 1.83%(US0003M+340bps), 7/20/31, Callable 1/20/22 @ 200(a)

   $           247,543  

410,000

    

Columbia Cent CLO 30, Ltd., Class A1, Series 2020-30A, 1.44%(US0003M+262bps), 1/20/34, Callable 4/20/23 @ 200(a)

     410,509  

310,000

    

Columbia Cent CLO 31, Ltd., Class A1, Series 2021-31A, 1.33%(US0003M+240bps), 4/20/34, Callable 7/20/23 @ 200(a)

     309,655  

57,000

    

Commercial Mortgage Trust, Class A5, Series 2014-CR18, 3.83%, 7/15/47, Callable 6/15/24 @ 100

     61,196  

  3,766,000

    

Credit Suisse Mortgage Capital Certificates, Class A, Series 2020-NET, 2.26%, 8/15/37(a)

     3,856,685  

140,000

    

Credit Suisse Mortgage Capital Certificates, Class B, Series 2019-ICE4, 1.31%(US0001M+246bps), 5/15/36(a)

     140,073  

860,000

    

CSMC Trust, Class D, Series 2017-PFHP, 2.33%(US0001M+450bps), 12/15/30(a)

     855,992  

205,000

    

CSMC Trust, Class A, Series 2018, 4.28%, 4/15/36(a)

     213,343  

100,000

    

CSMC Trust, Class C, Series 2018, 4.78%, 4/15/36(a)

     102,254  

100,000

    

CSMC Trust, Class D, Series 2018, 4.78%, 4/15/36(a)

     100,661  

100,000

    

CSMC Trust, Class B, Series 2018, 4.53%, 4/15/36(a)

     103,197  

250,000

    

Dryden 76 CLO, Ltd., Class A1, Series 2019-76A, 1.46%(US0003M+266bps), 10/20/32, Callable 10/20/21 @ 200(a)

     250,067  

250,000

    

Dryden 83 CLO, Ltd., Class A, Series 2020-83A, 1.35%(US0003M+244bps), 1/18/32, Callable 1/18/22 @ 200(a)

     250,137  

250,000

    

Dryden 85 CLO, Ltd., Class A1, Series 2020-85A, 1.48%(US0003M+270bps), 10/15/32, Callable 10/15/21 @ 200(a)

     250,000  

673,000

    

Dryden 85 CLO, Ltd., Class AR, Series 2020-85A(US0003M+230bps), 10/15/35(a)

     673,000  

250,000

    

Dryden CLO, Ltd., Class A, Series 2020-78A, 1.31%(US0003M+236bps), 4/17/33, Callable 4/17/22 @ 200(a)

     250,207  

250,000

    

Eaton Vance CLO, Ltd., Class A13R, Series 2013-1A, 1.38%(US0003M+250bps), 1/15/34, Callable 1/15/23 @ 200(a)

     250,616  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Collateralized Mortgage Obligations, continued   

  $310,000

    

Eaton Vance CLO, Ltd., Class A1, Series 2020-2A, 1.50%(US0003M+274bps), 10/15/32, Callable 1/15/22 @ 200(a)

   $           310,254  

303,421

    

Extended Stay America Trust, Class B, Series 2021-ESH, 1.46%(US0001M+276bps), 7/15/38(a)

     304,748  

532,231

    

Extended Stay America Trust, Class A, Series 2021-ESH, 1.16%(US0001M+216bps), 7/15/38(a)

     533,720  

223,836

    

Extended Stay America Trust, Class C, Series 2021-ESH, 1.78%(US0001M+340bps), 7/15/38(a)

     225,367  

447,671

    

Extended Stay America Trust, Class D, Series 2021-ESH, 2.33%(US0001M+450bps), 7/15/38(a)

     451,584  

300,000

    

Flatiron CLO 20, Ltd., Class A, Series 2020-1A, 1.43%(US0003M+260bps), 11/20/33, Callable 11/20/22 @ 200(a)

     300,446  

250,000

    

Flatiron CLO 21, Ltd., Class A1, Series 2021-1A, 1.26%(US0003M+222bps), 7/19/34, Callable 7/19/23 @ 200(a)

     250,233  

286,000

    

Flatiron CLO, Ltd., Class A, Series 2019-1A, 1.44%(US0003M+264bps), 11/16/32, Callable 11/16/21 @ 200(a)

     286,000  

643,000

    

GS Mortgage Securities Corp. Trust, Class A, Series 2021-IP, 1.05%(US0001M+190bps), 10/15/36(a)

     643,000  

100,000

    

GS Mortgage Securities Corp. Trust, Class C, Series 2021-IP, 1.65%(US0001M+310bps), 10/15/36(a)

     100,000  

100,000

    

GS Mortgage Securities Corp. Trust, Class B, Series 2021-IP, 1.25%(US0001M+230bps), 10/15/36(a)

     100,000  

41,000

    

J.P. Morgan Chase Commercial Mortgage Securities Trust, Class CFX, Series 2018-WPT, 4.95%, 7/5/23(a)

     43,013  

64,000

    

J.P. Morgan Chase Commercial Mortgage Securities Trust, Class DFX, Series 2018-WPT, 5.35%, 7/5/23(a)

     67,055  

87,000

    

J.P. Morgan Chase Commercial Mortgage Securities Trust, Class EFX, Series 2018-WPT, 5.54%, 7/5/23(a)

     89,909  

285,000

    

Life Mortgage Trust, Class A, Series 2021-BMR, 0.78%(US0001M+140bps), 3/15/38(a)

     285,254  
Principal
Amount
           Value   
Collateralized Mortgage Obligations, continued   

  $100,000

    

Life Mortgage Trust, Class B, Series 2021-BMR, 0.96%(US0001M+176bps), 3/15/38(a)

   $           100,088  

100,000

    

Life Mortgage Trust, Class C, Series 2021-BMR, 1.18%(US0001M+220bps), 3/15/38(a)

     100,088  

100,000

    

Life Mortgage Trust, Class E, Series 2021-BMR, 1.83%(US0001M+350bps), 3/15/38(a)

     100,043  

100,000

    

Life Mortgage Trust, Class D, Series 2021-BMR, 1.48%(US0001M+280bps), 3/15/38(a)

     100,044  

250,000

    

Lucali CLO, Ltd., Class A, Series 2020-1A, 1.34%(US0003M+242bps), 1/15/32, Callable 1/15/22 @ 200(a)

     250,190  

320,000

    

Madison Park Funding L, Ltd., Class A, Series 2021-50A, 1.34%(US0003M+228bps), 4/19/34, Callable 4/19/23 @ 200(a)

     320,795  

250,000

    

Madison Park Funding XLV, Ltd., Class AR, Series 2020-45A, 1.25%(US0003M+224bps), 7/15/34, Callable 7/15/23 @ 200(a)

     250,346  

250,000

    

Madison Park Funding, Ltd., Class A, Series 2019-33A, 1.46%(US0003M+266bps), 10/15/32, Callable 1/15/22 @ 200(a)

     250,396  

237,161

    

Madison Park Funding, Ltd., Class A1R2, Series 2015-19A, 1.06%(US0003M+184bps), 1/22/28, Callable 10/22/21 @ 200(a)

     237,224  

250,000

    

Magnetite XXI, Ltd., Class AR, Series 2019-21A, 1.15%(US0003M+204bps), 4/20/34, Callable 4/20/22 @ 200(a)

     249,817  

280,000

    

Magnetite Xxix, Ltd., Class A, Series 2021-29A, 1.12%(US0003M+198bps), 1/15/34, Callable 1/15/22 @ 200(a)

     280,017  

250,000

    

Magnetite XXVII, Ltd., Class AR, Series 2020-27A, 1.27%(US0003M+228bps), 10/20/34(a)

     250,051  

500,000

    

Magnetite, Ltd., Class A, Series 24, 1.46%(US0003M+266bps), 1/15/33, Callable 1/15/22 @ 200(a)

     500,258  

260,000

    

MHC Commercial Mortgage Trust, Class A, Series 2021-MHC, 0.88%(US0001M+160bps), 4/15/38(a)

     260,127  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Collateralized Mortgage Obligations, continued   

$315,000

    

Milos CLO, Ltd., Class AR, Series 2017-1A, 1.20%(US0003M+214bps), 10/20/30, Callable 10/20/21 @ 200(a)

   $           315,008  

56,000

    

Morgan Stanley Capital I Trust, Class B, Series 2019-Mead, 3.18%, 11/10/36, Callable 11/10/24 @ 200(a)

     57,410  

236,041

    

Morgan Stanley Capital I Trust, Class B, Series 2018-BOP, 1.33%(US0001M+250bps), 6/15/35(a)

     236,702  

567,462

    

Morgan Stanley Capital I Trust, Class C, Series 2018-BOP, 1.58%(US0001M+300bps), 6/15/35(a)

     567,462  

53,000

    

Morgan Stanley Capital I Trust, Class C, Series 2019-Mead, 3.28%, 11/10/36, Callable 11/10/24 @ 200(a)(b)

     53,625  

132,000

    

Morgan Stanley Capital I Trust, Class A4, Series 2018-H4, 4.31%, 12/15/51, Callable 12/15/28 @ 100

     151,256  

385,000

    

Morgan Stanley Capital I Trust, Class A, Series 2019-Mead, 3.17%, 11/10/36, Callable 11/10/24 @ 200(a)

     401,644  

326,000

    

Peace Park CLO, Ltd., Class A, Series 2021-1A, 1.27%(US0003M+226bps), 10/20/34(a)

     326,016  

146,731

    

Prima Capital CRE Securitization, Class A, Series 2021-9A, 1.54%(US0001M+290bps), 12/15/37(a)

     146,730  

333,000

    

Rockland Park CLO, Ltd., Class A, Series 2021-1A(US0003M+224bps), 4/20/34(a)

     333,362  

250,000

    

Symphony CLO XXIII, Ltd., Class A, Series 2020-23A, 1.45%(US0003M+264bps), 1/15/34, Callable 1/15/22 @ 200(a)

     250,175  

250,000

    

Symphony CLO XXVI, Ltd., Class AR, Series 2021-26A, 1.21%(US0003M+216bps), 4/20/33, Callable 4/20/22 @ 200(a)

     249,805  

  10,250,000

    

Taconic Park CLO, Ltd., Class A1R, Series 2016-1A, 1.13%(US0003M+200bps), 1/20/29, Callable 10/20/21 @ 200(a)

     10,255,289  

285,000

    

VLS Commercial Mortgage Trust, Class A, Series 2020-LAB, 2.13%, 10/10/42(a)

     283,649  

20,000

    

VLS Commercial Mortgage Trust, Class B, Series 2020-LAB, 2.45%, 10/10/42(a)

     20,059  

335,000

    

Voya CLO, Ltd., Class A, Series 2019-2, 1.40%(US0003M+254bps), 7/20/32, Callable 10/20/21 @ 200(a)

     335,016  
Principal
Amount
           Value   
Collateralized Mortgage Obligations, continued   

$551,000

    

Voya CLO, Ltd., Class A1R, Series 2020-2A, 1.25%(US0003M+232bps), 7/19/34, Callable 7/19/23 @ 200(a)

   $           551,089  

  1,073,000

    

Voya CLO, Ltd., Class AR, Series 2020-3A(US0003M+230bps), 10/20/34(a)

     1,073,000  

564,000

    

Voya CLO, Ltd., Class AR, Series 2020-1A, 1.26%(US0003M+230bps), 7/16/34, Callable 7/16/23 @ 200(a)

     564,201  

390,000

    

Voya CLO, Ltd., Class A1, Series 2020-3A, 1.43%(US0003M+260bps), 10/20/31, Callable 10/20/21 @ 200(a)

     390,000  

155,000

    

Wells Fargo Commercial Mortgage Trust, Class A5, Series 2018-C48, 4.30%, 1/15/52, Callable 12/15/28 @ 100

     178,507  

185,000

    

Wells Fargo Commercial Mortgage Trust, Class A, Series 2021-FCMT, 1.28%(US0001M+240bps), 5/15/31(a)

     185,578  
       

 

 

 

Total Collateralized Mortgage Obligations

(Cost $75,206,863)

     75,189,884  
  

 

 

 

Convertible Bonds (0.0%):   
Entertainment (0.0%):   

25,000

    

Live Nation Entertainment, Inc., 2.00%, 2/15/25

     28,796  
       

 

 

 

Hotels, Restaurants & Leisure (0.0%):   

37,000

    

Booking Holdings, Inc., 0.75%, 5/1/25^

     54,517  

27,000

    

Vail Resorts, Inc., 0.00%, 1/1/26^(a)

     28,723  
       

 

 

 

          83,240  
       

 

 

 

Leisure Products (0.0%):   

19,000

    

Callaway Golf Co., 2.75%, 5/1/26

     33,195  
       

 

 

 

Oil, Gas & Consumable Fuels (0.0%):   

29,426

    

Mesquite Energy, Inc., 15.00%, 7/15/23(d)

     105,051  

50,911

    

Mesquite Energy, Inc., 15.00%, 7/15/23(d)

     164,952  
       

 

 

 

          270,003  
       

 

 

 

Professional Services (0.0%):   

16,000

    

FTI Consulting, Inc., 2.00%, 8/15/23

     22,611  

23,000

    

KBR, Inc., 2.50%, 11/1/23

     36,937  
       

 

 

 

          59,548  
       

 

 

 

Semiconductors & Semiconductor Equipment (0.0%):   

8,000

    

ON Semiconductor Corp., 1.63%, 10/15/23

     18,330  
       

 

 

 

Total Convertible Bonds (Cost $274,703)

     493,112  
  

 

 

 

Bank Loans (0.0%):   
Chemicals (0.0%):   

15,000

    

Consolidated Energy Term Loan, 0.00%, 12/31/99

     14,625  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Bank Loans, continued   
Chemicals, continued   

$20,000

    

Diversey Term B, 0.00%, 9/14/28

   $             20,014  
       

 

 

 

          34,639  
       

 

 

 

Construction & Engineering (0.0%):   

866

    

DG Investment Intermediate Holdings 2, Inc., 0.00%, 3/17/28

     869  

4,134

    

DG Investment Intermediate Holdings 2, Inc., 0.00%, 3/31/28

     4,148  

35,000

    

DG Investment Intermediate Holdings 2, Inc., 0.00%, 3/18/29

     35,175  
       

 

 

 

          40,192  
       

 

 

 

Diversified Financial Services (0.0%):   

131,789

    

Intelsat Jackson Holdings S.A., 0.00%, 7/13/22

     132,557  

10,000

    

Intelsat Jackson Holdings S.A., 0.00%, 1/2/24

     10,143  
       

 

 

 

          142,700  
       

 

 

 

Hotels, Restaurants & Leisure (0.0%):   

250,000

    

City Football Group, Ltd., 4.00%, 7/9/28, Callable 11/10/21 @ 101

     248,750  

175,000

    

Diamond Sports Group, LLC, 0.00%, 8/24/26, Callable 11/10/21 @ 100

     108,621  
       

 

 

 

          357,371  
       

 

 

 

Software (0.0%):   

3,385

    

Ion Analytics, Inc., 0.00%, 2/4/28

     3,394  

54,588

    

Ultimate Software Group, Inc. (The), 0.04%, 5/3/26, Callable 11/10/21 @ 100

     54,666  
       

 

 

 

          58,060  
       

 

 

 

Total Bank Loans (Cost $618,475)

     632,962  
  

 

 

 

Corporate Bonds (19.1%):   
Aerospace & Defense (0.4%):   

  1,145,000

    

Boeing Co. (The), 5.04%, 5/1/27, Callable 3/1/27 @ 100

     1,315,156  

145,000

    

Boeing Co. (The), 5.15%, 5/1/30, Callable 2/1/30 @ 100

     169,527  

1,100,000

    

Boeing Co. (The), 5.71%, 5/1/40, Callable 11/1/39 @ 100

     1,399,293  

100,000

    

Boeing Co. (The), 5.81%, 5/1/50, Callable 11/1/49 @ 100

     132,903  

1,150,000

    

Boeing Co. (The), 5.93%, 5/1/60, Callable 11/1/59 @ 100

     1,565,558  

310,000

    

BWX Technologies, Inc., 4.13%, 6/30/28, Callable 6/30/23 @ 204.12(a)

     317,750  

445,000

    

BWX Technologies, Inc., 4.13%, 4/15/29, Callable 4/15/24 @ 204.12(a)

     456,125  

5,000

    

Howmet Aerospace, Inc., 5.95%, 2/1/37

     6,225  

145,000

    

Moog, Inc., 4.25%, 12/15/27, Callable 12/15/22 @ 206.38(a)

     149,350  

40,000

    

TransDigm, Inc., 6.88%, 5/15/26, Callable 11/8/21 @ 105.16

     42,050  

40,000

    

TransDigm, Inc., 6.38%, 6/15/26, Callable 11/8/21 @ 103.19

     41,350  

35,000

    

TransDigm, Inc., 7.50%, 3/15/27, Callable 3/15/22 @ 103.75

     36,750  

1,655,000

    

TransDigm, Inc., 5.50%, 11/15/27, Callable 11/15/22 @ 102.75

     1,704,650  
Principal
Amount
           Value   
Corporate Bonds, continued   
Aerospace & Defense, continued   

$310,000

    

TransDigm, Inc., 4.88%, 5/1/29, Callable 5/1/24 @ 102.44^

   $           310,775  
       

 

 

 

          7,647,462  
       

 

 

 

Air Freight & Logistics (0.1%):   

255,000

    

Cargo Aircraft Management, Inc., 4.75%, 2/1/28, Callable 2/1/23 @ 204.76(a)

     264,244  

525,000

    

XPO Logistics, Inc., 6.25%, 5/1/25, Callable 5/1/22 @ 206.26(a)

     551,250  
       

 

 

 

          815,494  
       

 

 

 

Automobiles (0.0%):   

40,000

    

Magic Mergeco, Inc., 5.25%, 5/1/28, Callable 11/1/23 @ 205.26(a)

     41,000  

270,000

    

Magic Mergeco, Inc., 7.88%, 5/1/29, Callable 5/1/24 @ 207.88^(a)

     280,800  

240,000

    

Volkswagen Group of America Finance LLC, 2.90%, 5/13/22(a)

     243,851  

209,000

    

Volkswagen Group of America Finance LLC, 3.13%, 5/12/23(a)

     217,191  
       

 

 

 

          782,842  
       

 

 

 

Banks (2.0%):   

  3,840,000

    

Bank of America Corp., 4.20%, 8/26/24, MTN

     4,195,607  

410,000

    

Bank of America Corp., Series L, 3.95%, 4/21/25

     446,800  

151,000

    

Bank of America Corp., Series G, 4.45%, 3/3/26

     168,860  

3,200,000

    

Bank of America Corp., 3.42% (US0003M+104 bps), 12/20/28, Callable 12/20/27 @ 100

     3,460,883  

2,280,000

    

Bank of America Corp., 2.30%, 7/21/32, Callable 7/21/31 @ 100

     2,237,631  

70,000

    

CIT Group, Inc., 3.93% (SOFR+4 bps), 6/19/24, Callable 6/19/23 @ 100

     73,150  

165,000

    

CIT Group, Inc., 6.13%, 3/9/28

     199,444  

730,000

    

Citigroup, Inc., Series V, 4.05%, 7/30/22

     752,244  

2,455,000

    

Citigroup, Inc., 3.35% (US0003M+90 bps), 4/24/25, Callable 4/24/24 @ 100

     2,612,250  

1,098,000

    

Citigroup, Inc., 4.30%, 11/20/26

     1,236,025  

3,456,000

    

Citigroup, Inc., 4.41% (SOFR+391 bps), 3/31/31, Callable 3/31/30 @ 100

     3,983,037  

4,105,000

    

JPMorgan Chase & Co., 3.88%, 9/10/24

     4,459,216  

4,000,000

    

JPMorgan Chase & Co., 4.49% (SOFR+379 bps), 3/24/31, Callable 3/24/30 @ 100

     4,674,848  

181,000

    

JPMorgan Chase & Co., 2.96% (SOFR+252 bps), 5/13/31, Callable 5/13/30 @ 100

     187,648  

3,705,000

    

Wells Fargo & Co., 2.41% (US0003M+83 bps), 10/30/25, Callable 10/30/24 @ 100, MTN

     3,852,270  

2,645,000

    

Wells Fargo & Co., 4.48% (US0003M+4 bps), 4/4/31, Callable 4/4/30 @ 100, MTN

     3,080,137  

1,800,000

    

Wells Fargo & Co., 5.01% (US0003M+424 bps), 4/4/51, Callable 4/4/50 @ 100, MTN

     2,416,070  
       

 

 

 

          38,036,120  
       

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Corporate Bonds, continued   
Beverages (0.6%):   

  $2,400,000

    

Anheuser-Busch Cos LLC/Anheuser-Busch InBev Worldwide, Inc., 4.70%, 2/1/36, Callable 8/1/35 @ 100

   $        2,895,259  

3,100,000

    

Anheuser-Busch InBev Worldwide, Inc., 3.50%, 6/1/30, Callable 3/1/30 @ 100

     3,395,821  

150,000

    

Anheuser-Busch InBev Worldwide, Inc., 4.35%, 6/1/40, Callable 12/1/39 @ 100

     173,755  

400,000

    

Anheuser-Busch InBev Worldwide, Inc., 4.50%, 6/1/50, Callable 12/1/49 @ 100

     475,384  

333,000

    

Anheuser-Busch InBev Worldwide, Inc., 4.75%, 4/15/58, Callable 10/15/57 @ 100

     411,736  

2,445,000

    

Anheuser-Busch InBev Worldwide, Inc., 5.80%, 1/23/59, Callable 7/23/58 @ 100

     3,466,240  

20,000

    

Triton Water Holdings, Inc., 6.25%, 4/1/29, Callable 4/1/24 @ 206.26(a)

     20,350  
       

 

 

 

          10,838,545  
       

 

 

 

Biotechnology (0.1%):   

1,050,000

    

AbbVie, Inc., 3.45%, 3/15/22, Callable 1/15/22 @ 100

     1,060,502  
       

 

 

 

Building Products (0.1%):   

795,000

    

Advanced Drainage Systems, Inc., 5.00%, 9/30/27, Callable 9/30/22 @ 205(a)

     825,806  

35,000

    

Roller Bearing Co. of America, Inc., 4.38%, 10/15/29, Callable 10/15/24 @ 204.38(a)

     35,875  
       

 

 

 

          861,681  
       

 

 

 

Capital Markets (1.3%):   

457,000

    

Ares Capital Corp., 4.20%, 6/10/24, Callable 5/10/24 @ 100

     488,990  

2,707,000

    

Ares Capital Corp., 3.88%, 1/15/26, Callable 12/15/25 @ 100

     2,893,621  

315,000

    

Coinbase Global, Inc., 3.38%, 10/1/28, Callable 10/1/24 @ 203.38(a)

     303,975  

315,000

    

Coinbase Global, Inc., 3.63%, 10/1/31, Callable 10/1/26 @ 203.62^(a)

     300,825  

2,880,000

    

Goldman Sachs Group, Inc. (The), 3.80%, 3/15/30, Callable 12/15/29 @ 100

     3,201,316  

1,263,000

    

Goldman Sachs Group, Inc. (The), 2.38%, 7/21/32, Callable 7/21/31 @ 100

     1,247,497  

128,000

    

Goldman Sachs Group, Inc. (The), 6.75%, 10/1/37

     182,743  

50,000

    

HAT Holdings I LLC / HAT Holdings II LLC, 3.38%, 6/15/26, Callable 3/15/26 @ 200(a)

     50,750  

55,000

    

LCM Investments Holdings II LLC, 4.88%, 5/1/29, Callable 5/1/24 @ 204.88(a)

     56,375  

55,000

    

ModivCare Escrow Issuer, Inc., 5.00%, 10/1/29, Callable 10/1/24 @ 205(a)

     56,719  

1,100,000

    

Moody’s Corp., 3.75%, 3/24/25, Callable 2/24/25 @ 100

     1,194,108  
Principal
Amount
           Value   
Corporate Bonds, continued   
Capital Markets, continued   

  $1,100,000

    

Moody’s Corp., 3.25%, 1/15/28, Callable 10/15/27 @ 100

   $        1,195,175  

6,619,000

    

Morgan Stanley, 3.74% (US0003M+85 bps), 4/24/24, Callable 4/24/23 @ 100

     6,946,316  

2,534,000

    

Morgan Stanley, 3.62% (SOFR+312 bps), 4/1/31, Callable 4/1/30 @ 100

     2,795,420  

100,000

    

MSCI, Inc., 3.25%, 8/15/33, Callable 8/15/27 @ 203.26(a)

     100,750  

485,000

    

Navios South American Logistics, Inc. / Navios Logistics Finance US, Inc., 10.75%, 7/1/25, Callable 8/1/22 @ 216.12(a)

     529,604  

250,000

    

Olympus Water US Holding Corp., 4.25%, 10/1/28, Callable 10/1/24 @ 204.26(a)

     245,625  

2,296,000

    

Pine Street Trust I, 4.57%, 2/15/29, Callable 11/15/28 @ 200(a)

     2,619,320  

300,000

    

Pine Street Trust II, 5.57%, 2/15/49, Callable 8/15/48 @ 200(a)

     392,264  

15,000

    

Real Hero Merger Sub 2, Inc., 6.25%, 2/1/29, Callable 2/1/24 @ 206.26(a)

     15,525  

35,000

    

US Renal Care, Inc., 10.63%, 7/15/27, Callable 7/15/22 @ 210.62(a)

     37,275  

55,000

    

Victors Merger Corp., 6.38%, 5/15/29, Callable 5/15/24 @ 206.38(a)

     52,525  
       

 

 

 

          24,906,718  
       

 

 

 

Chemicals (0.2%):   

430,000

    

CF Industries, Inc., 5.15%, 3/15/34

     525,675  

15,000

    

CF Industries, Inc., 4.95%, 6/1/43

     18,056  

660,000

    

CF Industries, Inc., 5.38%, 3/15/44

     838,200  

510,000

    

Chemours Co., 5.38%, 5/15/27, Callable 2/15/27 @ 100^

     548,250  

915,000

    

Chemours Co. (The), 5.75%, 11/15/28, Callable 11/15/23 @ 205.76(a)

     958,463  

60,000

    

Diamond BC BV, 4.63%, 10/1/29, Callable 10/1/24 @ 204.62(a)

     60,900  

375,000

    

Olin Corp., 5.00%, 2/1/30, Callable 2/1/24 @ 102.5

     398,438  

135,000

    

Scotts Miracle-GRO Co. (The), 4.38%, 2/1/32, Callable 8/1/26 @ 204.38(a)

     135,675  

25,000

    

Valvoline, Inc., 4.25%, 2/15/30, Callable 2/15/25 @ 204.26(a)

     25,844  

350,000

    

Valvoline, Inc., 3.63%, 6/15/31, Callable 6/15/26 @ 203.62(a)

     346,500  

50,000

    

WR Grace Holdings LLC, 4.88%, 6/15/27, Callable 6/15/23 @ 204.88(a)

     51,292  

125,000

    

WR Grace Holdings LLC, 5.63%, 8/15/29, Callable 8/15/24 @ 205.62(a)

     129,062  
       

 

 

 

          4,036,355  
       

 

 

 

Commercial Services & Supplies (0.1%):   

125,000

    

ADT Security Corp. (The), 4.13%, 8/1/29, Callable 8/1/28 @ 200(a)

     123,906  

430,000

    

Aramark Services, Inc., 5.00%, 2/1/28, Callable 2/1/23 @ 205(a)

     442,900  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Corporate Bonds, continued   
Commercial Services & Supplies, continued   

$25,000

    

Legends Hospitality Holding Co. LLC / Legends Hospitality Co-Issuer, Inc., 5.00%, 2/1/26, Callable 2/1/23 @ 205(a)

   $             25,594  

25,000

    

Pitney Bowes, Inc., 6.88%, 3/15/27, Callable 3/15/24 @ 206.88^(a)

     26,312  

45,000

    

Pitney Bowes, Inc., 7.25%, 3/15/29, Callable 3/15/24 @ 207.26^(a)

     47,363  

270,000

    

Stericycle, Inc., 3.88%, 1/15/29, Callable 11/15/23 @ 203.88(a)

     271,688  
       

 

 

 

          937,763  
       

 

 

 

Communications Equipment (0.0%):   

200,000

    

CommScope, Inc., 4.75%, 9/1/29, Callable 9/1/24 @ 204.76(a)

     200,250  

250,000

    

Viavi Solutions, Inc., 3.75%, 10/1/29, Callable 10/1/24 @ 203.76(a)

     250,000  
       

 

 

 

          450,250  
       

 

 

 

Construction & Engineering (0.1%):   

25,000

    

Arcosa, Inc., 4.38%, 4/15/29, Callable 4/15/24 @ 204.38(a)

     25,313  

740,000

    

Brand Industrial Services, Inc., 8.50%, 7/15/25, Callable 11/8/21 @ 208.5(a)

     740,000  

270,000

    

Dycom Industries, Inc., 4.50%, 4/15/29, Callable 4/15/24 @ 204.5(a)

     270,337  

55,000

    

Global Infrastructure Solutions, Inc., 5.63%, 6/1/29, Callable 6/1/24 @ 205.62(a)

     56,100  

25,000

    

Great Lakes Dredge & Dock Corp., 5.25%, 6/1/29, Callable 6/1/24 @ 205.26(a)

     25,875  

660,000

    

Pike Corp., 5.50%, 9/1/28, Callable 9/1/23 @ 205.5(a)

     672,375  
       

 

 

 

          1,790,000  
       

 

 

 

Consumer Finance (1.4%):   

  2,090,000

    

Ally Financial, Inc., 3.05%, 6/5/23, Callable 5/5/23 @ 100

     2,170,149  

90,000

    

Ally Financial, Inc., 1.45%, 10/2/23, Callable 9/2/23 @ 100

     91,357  

100,000

    

Ally Financial, Inc., 5.13%, 9/30/24

     111,893  

224,000

    

Ally Financial, Inc., 5.80%, 5/1/25, Callable 4/1/25 @ 100

     257,602  

1,837,000

    

Ally Financial, Inc., 5.75%, 11/20/25, Callable 10/21/25 @ 100

     2,100,453  

590,000

    

Ally Financial, Inc., 4.70% (H15T5Y+387 bps), 12/31/99, Callable 5/15/26 @ 100

     620,324  

1,513,000

    

Capital One Financial Corp., 2.60%, 5/11/23, Callable 4/11/23 @ 100

     1,564,120  

2,665,000

    

Capital One Financial Corp., 3.65%, 5/11/27, Callable 4/11/27 @ 100

     2,943,397  

343,000

    

Capital One Financial Corp., 3.80%, 1/31/28, Callable 12/31/27 @ 100

     381,989  

250,000

    

Discover Bank, Series B, 4.68% (USSW5+173 bps), 8/9/28, Callable 8/9/23 @ 100

     266,123  

1,000,000

    

Discover Financial Services, 5.20%, 4/27/22

     1,026,225  

2,253,000

    

Discover Financial Services, 4.50%, 1/30/26, Callable 11/30/25 @ 100

     2,522,819  

295,000

    

Ford Motor Credit Co LLC, 4.13%, 8/17/27, Callable 6/17/27 @ 100

     313,418  
Principal
Amount
           Value   
Corporate Bonds, continued   
Consumer Finance, continued   

$550,000

    

Ford Motor Credit Co LLC, 4.00%, 11/13/30, Callable 8/13/30 @ 100

   $           572,436  

313,000

    

Ford Motor Credit Co. LLC, 5.60%, 1/7/22

     316,525  

329,000

    

Ford Motor Credit Co. LLC, 5.58%, 3/18/24, Callable 2/18/24 @ 100

     353,663  

968,000

    

Ford Motor Credit Co. LLC, 4.06%, 11/1/24, Callable 10/1/24 @ 100

     1,017,748  

55,000

    

Ford Motor Credit Co. LLC, 5.13%, 6/16/25, Callable 5/16/25 @ 100

     59,674  

620,000

    

Ford Motor Credit Co. LLC, 5.11%, 5/3/29, Callable 2/3/29 @ 100

     694,575  

130,000

    

General Motors Acceptance Corp., 8.00%, 11/1/31

     187,452  

  2,100,000

    

General Motors Financial Co., Inc., 4.00%, 1/15/25, Callable 10/15/24 @ 100

     2,272,500  

445,000

    

OneMain Finance Corp., 6.88%, 3/15/25

     500,069  

295,000

    

OneMain Finance Corp., 3.50%, 1/15/27, Callable 1/15/24 @ 101.75

     293,525  

155,000

    

OneMain Finance Corp., 3.88%, 9/15/28, Callable 9/15/24 @ 101.94

     154,225  

430,000

    

OneMain Finance Corp., 4.00%, 9/15/30, Callable 9/15/25 @ 102

     426,238  

76,000

    

Synchrony Financial, 2.85%, 7/25/22, Callable 6/25/22 @ 100

     77,378  

244,000

    

Synchrony Financial, 4.38%, 3/19/24, Callable 2/19/24 @ 100

     263,109  

797,000

    

Synchrony Financial, 4.25%, 8/15/24, Callable 5/15/24 @ 100

     860,744  

3,605,000

    

Synchrony Financial, 3.95%, 12/1/27, Callable 9/1/27 @ 100

     3,971,733  
       

 

 

 

          26,391,463  
       

 

 

 

Containers & Packaging (0.0%):   

5,000

    

Ardagh Packaging Finance plc / Ardagh Holdings USA, Inc., 4.13%, 8/15/26, Callable 8/15/22 @ 204.12(a)

     5,187  

190,000

    

Ball Corp., 3.13%, 9/15/31, Callable 6/15/31 @ 100

     187,150  
       

 

 

 

          192,337  
       

 

 

 

Diversified Consumer Services (0.1%):   

445,000

    

Adtalem Global Education, Inc., 5.50%, 3/1/28, Callable 3/1/24 @ 205.5(a)

     450,562  

22,000

    

Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 Sarl, 4.63%, 6/1/28, Callable 6/1/24 @ 204.62(a)

     21,890  

350,000

    

APX Group, Inc., 6.75%, 2/15/27, Callable 2/15/23 @ 206.76(a)

     371,000  

485,000

    

Ascend Learning LLC, 6.88%, 8/1/25, Callable 11/8/21 @ 203.44(a)

     492,881  

875,000

    

Sotheby’s, 7.38%, 10/15/27, Callable 10/15/22 @ 207.38(a)

     925,313  
       

 

 

 

          2,261,646  
       

 

 

 

Diversified Financial Services (0.1%):   

185,000

    

Acrisure LLC / Acrisure Finance, Inc., 6.00%, 8/1/29, Callable 8/1/24 @ 206(a)

     182,687  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Corporate Bonds, continued   
Diversified Financial Services, continued   

$38,000

    

AXA Equitable Holdings, Inc., 3.90%, 4/20/23, Callable 3/20/23 @ 100

   $             39,867  

565,000

    

Flex Acquisition Co., Inc., 6.88%, 1/15/25, Callable 11/8/21 @ 203.44(a)

     569,944  

496,000

    

Flex Acquisition Co., Inc., 7.88%, 7/15/26, Callable 11/8/21 @ 207.88(a)

     519,560  

15,000

    

Level 3 Financing, Inc., 3.63%, 1/15/29, Callable 1/15/24 @ 203.62(a)

     14,550  

500,000

    

Peachtree Funding Trust, 3.98%, 2/15/25(a)

     541,474  

155,000

    

Venture Global Calcasieu Pass LLC, 3.88%, 8/15/29, Callable 2/15/29 @ 200(a)

     159,456  

150,000

    

Venture Global Calcasieu Pass LLC, 4.13%, 8/15/31, Callable 2/15/31 @ 200(a)

     156,187  

185,000

    

Voya Financial, Inc., 3.13%, 7/15/24, Callable 5/15/24 @ 100

     196,017  
       

 

 

 

          2,379,742  
       

 

 

 

Diversified Telecommunication Services (0.6%):   

28,000

    

AT&T, Inc., 4.45%, 4/1/24, Callable 1/1/24 @ 100

     30,307  

138,000

    

AT&T, Inc., 4.30%, 2/15/30, Callable 11/15/29 @ 100

     157,861  

76,000

    

AT&T, Inc., 2.55%, 12/1/33, Callable 9/1/33 @ 100

     74,645  

400,000

    

AT&T, Inc., 5.15%, 11/15/46, Callable 5/15/46 @ 100

     504,689  

  2,734,000

    

AT&T, Inc., 3.80%, 12/1/57, Callable 6/1/57 @ 100

     2,775,529  

310,000

    

CenturyLink, Inc., 5.63%, 4/1/25, Callable 1/1/25 @ 100

     335,963  

915,000

    

CenturyLink, Inc., 5.13%, 12/15/26, Callable 12/15/22 @ 205.12(a)

     947,025  

10,000

    

CenturyLink, Inc., Series G, 6.88%, 1/15/28^

     11,325  

55,000

    

Cogent Communications Group, Inc., 3.50%, 5/1/26, Callable 2/1/26 @ 200(a)

     55,825  

25,000

    

Consolidated Communications, Inc., 5.00%, 10/1/28, Callable 10/1/23 @ 207.5(a)

     25,813  

55,000

    

Front Range BidCo, Inc., 4.00%, 3/1/27, Callable 11/8/21 @ 204(a)

     54,450  

185,000

    

Front Range BidCo, Inc., 6.13%, 3/1/28, Callable 3/1/23 @ 206.12(a)

     186,850  

40,000

    

Frontier Communications Corp., 5.88%, 10/15/27, Callable 10/15/23 @ 205.88(a)

     42,500  

45,000

    

Frontier Communications Corp., 5.00%, 5/1/28, Callable 5/1/24 @ 205(a)

     47,250  

45,000

    

Frontier Communications Corp., 6.75%, 5/1/29, Callable 5/1/24 @ 206.76(a)

     47,475  

5,496

    

Frontier Communications Holdings LLC, 5.88%, 11/1/29, Callable 11/1/24 @ 102.94

     5,551  
Principal
Amount
           Value   
Corporate Bonds, continued   
Diversified Telecommunication Services, continued   

$60,000

    

Lumen Technologies, Inc., 5.38%, 6/15/29, Callable 6/15/24 @ 205.38(a)

   $             60,900  

  3,725,000

    

Verizon Communications, Inc., 2.10%, 3/22/28, Callable 1/22/28 @ 100

     3,761,378  

209,000

    

Verizon Communications, Inc., 2.55%, 3/21/31, Callable 12/21/30 @ 100

     210,960  

2,500,000

    

Verizon Communications, Inc., 2.99%, 10/30/56, Callable 4/30/56 @ 100

     2,324,295  
       

 

 

 

          11,660,591  
       

 

 

 

Electric Utilities (0.6%):   

941,000

    

Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, 6.75%, 10/15/27, Callable 10/15/22 @ 206.76(a)

     973,935  

10,000

    

Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, 4.25%, 10/15/27, Callable 10/15/23 @ 204.26(a)

     10,138  

165,000

    

Cleco Corporate Holdings LLC, 3.38%, 9/15/29, Callable 6/15/29 @ 100

     168,440  

54,000

    

Duquesne Light Holdings, Inc., 2.53%, 10/1/30, Callable 7/1/30 @ 200(a)

     53,145  

587,000

    

Duquesne Light Holdings, Inc., 2.78%, 1/7/32, Callable 10/7/31 @ 200(a)

     588,044  

790,000

    

Edison International, 5.75%, 6/15/27, Callable 4/15/27 @ 100^

     906,189  

1,000,000

    

Emera US Finance LP, 3.55%, 6/15/26, Callable 3/15/26 @ 100

     1,079,883  

1,075,000

    

Exelon Corp., 4.05%, 4/15/30, Callable 1/15/30 @ 100

     1,217,543  

2,000,000

    

FirstEnergy Corp., 7.38%, 11/15/31

     2,706,260  

255,000

    

Genesis Energy LP / Genesis Energy Finance Corp., 8.00%, 1/15/27, Callable 1/15/24 @ 104

     257,550  

136,000

    

IPALCO Enterprises, Inc., 3.70%, 9/1/24, Callable 7/1/24 @ 100

     145,010  

17,000

    

NextEra Energy Operating Partners LP, 4.25%, 9/15/24, Callable 7/15/24 @ 200(a)

     17,914  

20,000

    

NRG Energy, Inc., 3.38%, 2/15/29, Callable 2/15/24 @ 203.38(a)

     19,750  

40,000

    

NRG Energy, Inc., 3.63%, 2/15/31, Callable 2/15/26 @ 203.62(a)

     39,300  

438,057

    

NSG Holdings LLC/NSG Holdings, Inc., 7.75%, 12/15/25(a)

     470,911  

795,000

    

Pacific Gas and Electric Co., 4.95%, 7/1/50, Callable 1/1/50 @ 100

     838,465  

1,370,000

    

PG&E Corp., 5.00%, 7/1/28, Callable 7/1/23 @ 102.5^

     1,392,262  

311,000

    

PG&E Corp., 5.25%, 7/1/30, Callable 7/1/25 @ 102.63^

     317,997  

605,000

    

Vistra Operations Co. LLC, 5.00%, 7/31/27, Callable 7/31/22 @ 205(a)

     623,150  
       

 

 

 

          11,825,886  
       

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Corporate Bonds, continued   
Electrical Equipment (0.0%):   

$55,000

    

PowerTeam Services LLC, 9.03%, 12/4/25, Callable 2/4/23 @ 209.04(a)

   $             59,675  

65,000

    

Sensata Technologies BV, 4.00%, 4/15/29, Callable 4/15/24 @ 204(a)

     66,381  
       

 

 

 

          126,056  
       

 

 

 

Entertainment (0.2%):   

780,000

    

Netflix, Inc., 4.88%, 4/15/28

     898,950  

25,000

    

Netflix, Inc., 6.38%, 5/15/29

     31,625  

25,000

    

Netflix, Inc., 5.38%, 11/15/29(a)

     30,281  

  3,000,000

    

Walt Disney Co. (The), 3.80%, 3/22/30

     3,403,860  
       

 

 

 

          4,364,716  
       

 

 

 

Equity Real Estate Investment Trusts (1.8%):   

1,184,000

    

Alexandria Real Estate Equities, Inc., 4.90%, 12/15/30, Callable 9/15/30 @ 100

     1,431,313  

102,000

    

American Homes 4 Rent LP, 2.38%, 7/15/31, Callable 4/15/31 @ 100

     101,111  

1,264,000

    

Boston Properties LP, 3.25%, 1/30/31, Callable 10/30/30 @ 100

     1,339,299  

1,039,000

    

Brandywine Operating Partners LP, 4.10%, 10/1/24, Callable 7/1/24 @ 100

     1,117,045  

1,265,000

    

Brandywine Operating Partners LP, 3.95%, 11/15/27, Callable 8/15/27 @ 100

     1,367,335  

62,000

    

Brandywine Operating Partners LP, 4.55%, 10/1/29, Callable 7/1/29 @ 100

     68,948  

355,000

    

Brixmor Operating Partners LP, 3.85%, 2/1/25, Callable 11/1/24 @ 100

     382,914  

252,000

    

Brixmor Operating Partnership LP, 4.13%, 5/15/29, Callable 2/15/29 @ 100

     283,422  

1,803,000

    

Brixmor Operating Partnership LP, 4.05%, 7/1/30, Callable 4/1/30 @ 100

     2,009,550  

46,000

    

Corporate Office Properties LP, 2.75%, 4/15/31, Callable 1/15/31 @ 100

     46,396  

68,000

    

Corporate Office Properties, LP, 2.25%, 3/15/26, Callable 2/15/26 @ 100

     69,437  

10,000

    

Corrections Corp. of America, 4.63%, 5/1/23, Callable 2/1/23 @ 100^

     10,175  

45,000

    

CTR Partnership LP / CareTrust Capital Corp., 3.88%, 6/30/28, Callable 3/30/28 @ 200(a)

     46,784  

40,000

    

Geo Group, Inc. (The), 5.88%, 10/15/24, Callable 11/8/21 @ 100.98^

     33,200  

430,000

    

Global Net Lease, Inc. / Global Net Lease Operating Partnership LP, 3.75%, 12/15/27, Callable 9/15/27 @ 200(a)

     426,741  

34,000

    

HCP, Inc., 3.50%, 7/15/29, Callable 4/15/29 @ 100

     37,032  

66,000

    

Healthcare Trust of America Holdings LP, 3.50%, 8/1/26, Callable 5/1/26 @ 100

     71,392  
Principal
Amount
           Value   
Corporate Bonds, continued   
Equity Real Estate Investment Trusts, continued   

$63,000

    

Healthcare Trust of America Holdings LP, 3.10%, 2/15/30, Callable 11/15/29 @ 100

   $           66,294  

400,000

    

Hudson Pacific Properties LP, 4.65%, 4/1/29, Callable 1/1/29 @ 100

     459,404  

735,000

    

Lexington Realty Trust, 4.40%, 6/15/24, Callable 3/15/24 @ 100

     788,207  

73,000

    

Lexington Realty Trust, 2.70%, 9/15/30, Callable 6/15/30 @ 100

     73,864  

25,000

    

MGM Growth Properties Operating Partnership LP/MGP Finance Co-Issuer, Inc., 4.63%, 6/15/25, Callable 3/15/25 @ 200(a)

     26,937  

765,000

    

MGM Growth Properties Operating Partnership LP/MGP Finance Co-Issuer, Inc., 4.50%, 9/1/26, Callable 6/1/26 @ 100

     830,025  

  114,000

    

Omega Healthcare Investors, Inc., 4.38%, 8/1/23, Callable 6/1/23 @ 100

     120,676  

101,000

    

Omega Healthcare Investors, Inc., 4.50%, 1/15/25, Callable 10/15/24 @ 100

     109,938  

1,278,000

    

Omega Healthcare Investors, Inc., 4.50%, 4/1/27, Callable 1/1/27 @ 100

     1,423,631  

  2,482,000

    

Omega Healthcare Investors, Inc., 3.63%, 10/1/29, Callable 7/1/29 @ 100

     2,609,044  

133,000

    

Omega Healthcare Investors, Inc., 3.38%, 2/1/31, Callable 11/1/30 @ 100

     135,215  

189,000

    

Piedmont Operating Partnership, LP, 2.75%, 4/1/32, Callable 1/1/32 @ 100

     185,632  

42,000

    

Realty Income Corp., 3.25%, 1/15/31, Callable 10/15/30 @ 100

     45,517  

15,000

    

Retail Properties of America, Inc., 4.75%, 9/15/30, Callable 6/15/30 @ 100

     16,483  

994,000

    

Sabra Health Care, LP, 3.20%, 12/1/31, Callable 9/1/31 @ 100

     974,705  

297,000

    

SBA Tower Trust, 2.84%, 1/15/25, Callable 1/15/24 @ 200(a)

     308,008  

97,000

    

SBA Tower Trust, 1.88%, 7/15/50, Callable 1/15/25 @ 200(a)

     98,442  

74,000

    

SBA Tower Trust, 2.33%, 7/15/52, Callable 7/15/26 @ 200(a)

     75,468  

40,000

    

Service Properties Trust, 4.95%, 2/15/27, Callable 8/15/26 @ 100

     39,747  

40,000

    

Service Properties Trust, 5.50%, 12/15/27, Callable 9/15/27 @ 100

     42,401  

45,000

    

Service Properties Trust, 4.95%, 10/1/29, Callable 7/1/29 @ 100

     43,828  

310,000

    

Service Properties Trust, 4.38%, 2/15/30, Callable 8/15/29 @ 100

     292,997  

69,000

    

Simon Property Group LP, 2.45%, 9/13/29, Callable 6/13/29 @ 100

     70,295  

96,000

    

STORE Capital Corp., 4.63%, 3/15/29, Callable 12/15/28 @ 100

     109,179  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Corporate Bonds, continued   
Equity Real Estate Investment Trusts, continued   

  $1,277,000

    

STORE Capital Corp., 2.75%, 11/18/30, Callable 8/18/30 @ 100

   $        1,279,611  

272,000

    

Sun Communities Operating LP, 2.70%, 7/15/31, Callable 4/15/31 @ 100

     274,171  

212,000

    

Sun Communities Operating, LP, 2.30%, 11/1/28, Callable 9/1/28 @ 100

     212,578  

2,200,000

    

Tanger Properties LP, 3.13%, 9/1/26, Callable 6/1/26 @ 100

     2,285,483  

581,000

    

Tanger Properties LP, 2.75%, 9/1/31, Callable 6/1/31 @ 100

     557,151  

85,000

    

The Geo Group, Inc., 6.00%, 4/15/26, Callable 11/8/21 @ 103

     66,300  

645,000

    

Uniti Group LP/Uniti Fiber Holdings, Inc./CSL Capital LLC, 7.13%, 12/15/24, Callable 12/15/21 @ 203.56(a)

     658,706  

780,000

    

Uniti Group LP/Uniti Fiber Holdings, Inc./CSL Capital LLC, 7.88%, 2/15/25, Callable 2/15/22 @ 207.88(a)

     822,900  

355,000

    

Uniti Group LP/Uniti Fiber Holdings, Inc./CSL Capital LLC, 6.00%, 1/15/30, Callable 1/15/25 @ 206(a)

     351,450  

131,000

    

Ventas Realty LP, 4.00%, 3/1/28, Callable 12/1/27 @ 100

     145,572  

367,000

    

Ventas Realty LP, 3.00%, 1/15/30, Callable 10/15/29 @ 100

     381,057  

1,430,000

    

Ventas Realty LP, 4.75%, 11/15/30, Callable 8/15/30 @ 100^

     1,675,013  

65,000

    

VEREIT Operating Partnership LP, 3.40%, 1/15/28, Callable 11/15/27 @ 100

     70,256  

31,000

    

VEREIT Operating Partnership LP, 2.20%, 6/15/28, Callable 4/15/28 @ 100

     31,300  

1,238,000

    

VEREIT Operating Partnership LP, 2.85%, 12/15/32, Callable 9/15/32 @ 100

     1,279,537  

60,000

    

Vici Properties, 3.50%, 2/15/25, Callable 2/15/22 @ 203.5(a)

     61,200  

335,000

    

Vici Properties, 4.25%, 12/1/26, Callable 12/1/22 @ 204.26(a)

     349,656  

335,000

    

Vici Properties, 4.63%, 12/1/29, Callable 12/1/24 @ 204.62(a)

     362,219  

72,000

    

Vornado Realty LP, 2.15%, 6/1/26, Callable 5/1/26 @ 100

     72,963  

400,000

    

WP Carey, Inc., 4.60%, 4/1/24, Callable 1/1/24 @ 100

     432,470  

3,000,000

    

WP Carey, Inc., 4.25%, 10/1/26, Callable 7/1/26 @ 100

     3,362,700  

66,000

    

WP Carey, Inc., 3.85%, 7/15/29, Callable 4/15/29 @ 100

     72,901  
       

 

 

 

          32,593,225  
       

 

 

 

Food & Staples Retailing (0.1%):   

25,000

    

Albertsons Cos., Inc. / Safeway, Inc. / New Albertsons LP / Albertsons LLC, 4.63%, 1/15/27, Callable 1/15/23 @ 206.94(a)

     26,250  
Principal
Amount
           Value   
Corporate Bonds, continued   
Food & Staples Retailing, continued   

$50,000

    

Albertsons Cos., Inc. / Safeway, Inc. / New Albertsons LP / Albertsons LLC, 3.50%, 3/15/29, Callable 9/15/23 @ 203.5(a)

   $             49,813  

605,000

    

Albertsons Cos., Inc. / Safeway, Inc. / New Albertsons LP / Albertsons LLC, 4.88%, 2/15/30, Callable 2/15/25 @ 207.32(a)

     651,131  

445,000

    

Performance Food Group, Inc., 6.88%, 5/1/25, Callable 5/1/22 @ 206.88^(a)

     471,144  

335,000

    

Performance Food Group, Inc., 5.50%, 10/15/27, Callable 10/15/22 @ 205.5(a)

     348,819  

70,000

    

Performance Food Group, Inc., 4.25%, 8/1/29, Callable 8/1/24 @ 204.26(a)

     70,175  

120,000

    

Sysco Corp., 5.65%, 4/1/25, Callable 3/1/25 @ 100

     137,970  

93,000

    

Sysco Corp., 5.95%, 4/1/30, Callable 1/1/30 @ 100

     117,957  

140,000

    

Sysco Corp., 6.60%, 4/1/50, Callable 10/1/49 @ 100

     220,423  

45,000

    

United Natural Foods, Inc., 6.75%, 10/15/28, Callable 10/15/23 @ 206.76(a)

     48,600  

160,000

    

US Foods, Inc., 4.75%, 2/15/29, Callable 2/15/24 @ 204.76(a)

     163,600  
       

 

 

 

          2,305,882  
       

 

 

 

Food Products (0.2%):   

110,000

    

C&S Group Enterprises LLC, 5.00%, 12/15/28, Callable 12/15/23 @ 205(a)

     103,675  

  700,000

    

JBS USA Finance, Inc., 5.50%, 1/15/30, Callable 1/15/25 @ 205.5(a)

     778,750  

915,000

    

JBS USA LUX SA / JBS USA Food Co. / JBS USA Finance, Inc., 6.50%, 4/15/29, Callable 4/15/24 @ 206.5(a)

     1,021,369  

375,000

    

Kraft Heinz Foods Co., 5.00%, 7/15/35, Callable 1/15/35 @ 100

     461,497  

10,000

    

Kraft Heinz Foods Co., 4.38%, 6/1/46, Callable 12/1/45 @ 100

     11,413  

45,000

    

Kraft Heinz Foods Co., 4.88%, 10/1/49, Callable 4/1/49 @ 100

     54,757  

350,000

    

Pilgrim’s Pride Corp., 4.25%, 4/15/31, Callable 4/15/26 @ 204.26(a)

     374,500  

45,000

    

Post Holdings, Inc., 5.63%, 1/15/28, Callable 12/1/22 @ 205.62(a)

     47,250  

405,000

    

Post Holdings, Inc., 4.50%, 9/15/31, Callable 9/15/26 @ 204.5(a)

     401,962  

270,000

    

TreeHouse Foods, Inc., 4.00%, 9/1/28, Callable 9/1/23 @ 102^

     263,587  
       

 

 

 

          3,518,760  
       

 

 

 

Health Care Equipment & Supplies (0.0%):   

350,000

    

Hologic, Inc., 3.25%, 2/15/29, Callable 9/28/23 @ 203.26(a)

     350,000  
       

 

 

 

Health Care Providers & Services (1.2%):   

140,000

    

AHP Health Partners, Inc., 5.75%, 7/15/29, Callable 7/15/24 @ 205.76(a)

     141,750  

35,000

    

Cano Health LLC, 6.25%, 10/1/28, Callable 10/1/24 @ 206.26(a)

     35,350  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Corporate Bonds, continued   
Health Care Providers & Services, continued   

  $3,765,000

    

Centene Corp., 4.25%, 12/15/27, Callable 12/15/22 @ 102.13

   $        3,943,838  

1,485,000

    

Centene Corp., 2.45%, 7/15/28, Callable 5/15/28 @ 100

     1,492,425  

1,190,000

    

Centene Corp., 4.63%, 12/15/29, Callable 12/15/24 @ 102.31

     1,295,613  

245,000

    

Centene Corp., 3.38%, 2/15/30, Callable 2/15/25 @ 101.69

     253,575  

610,000

    

Centene Corp., 2.63%, 8/1/31, Callable 5/1/31 @ 100

     603,138  

255,000

    

CHS/Community Health Systems, Inc., 5.63%, 3/15/27, Callable 12/15/23 @ 205.62(a)

     267,431  

255,000

    

CHS/Community Health Systems, Inc., 6.00%, 1/15/29, Callable 1/15/24 @ 206(a)

     270,937  

65,000

    

CHS/Community Health Systems, Inc., 6.13%, 4/1/30, Callable 4/1/25 @ 206.12(a)

     63,050  

45,000

    

CHS/Community Health Systems, Inc., 4.75%, 2/15/31, Callable 2/15/26 @ 204.76(a)

     45,337  

4,341,000

    

Cigna Corp., 4.38%, 10/15/28, Callable 7/15/28 @ 100

     5,013,351  

1,000,000

    

Cigna Corp., 4.90%, 12/15/48, Callable 6/15/48 @ 100

     1,280,071  

605,000

    

Community Health Systems, Inc., 8.00%, 3/15/26, Callable 3/15/22 @ 208(a)

     640,544  

1,078,000

    

CVS Health Corp., 3.63%, 4/1/27, Callable 2/1/27 @ 100

     1,187,939  

347,000

    

CVS Health Corp., 4.78%, 3/25/38, Callable 9/25/37 @ 100

     424,699  

780,000

    

DaVita, Inc., 4.63%, 6/1/30, Callable 6/1/25 @ 204.62(a)

     797,550  

20,000

    

HCA, Inc., 4.75%, 5/1/23

     21,250  

780,000

    

HCA, Inc., 5.38%, 2/1/25

     870,675  

660,000

    

HCA, Inc., 3.50%, 9/1/30, Callable 3/1/30 @ 100

     698,775  

60,000

    

HCRX Investments Holdco, LP, 4.50%, 8/1/29, Callable 8/1/24 @ 204.5(a)

     60,450  

50,000

    

HealthEquity, Inc., 4.50%, 10/1/29, Callable 10/1/24 @ 204.5(a)

     50,882  

40,000

    

Molina Healthcare, Inc., 3.88%, 11/15/30, Callable 8/17/30 @ 200(a)

     42,200  

25,000

    

Owens & Minor, Inc., 4.50%, 3/31/29, Callable 3/31/24 @ 204.5(a)

     25,312  

416,000

    

Radiology Partners, Inc., 9.25%, 2/1/28, Callable 2/1/23 @ 209.26(a)

     445,120  

590,000

    

Tenet Healthcare Corp., 6.25%, 2/1/27, Callable 2/1/22 @ 206.26(a)

     612,863  

510,000

    

Tenet Healthcare Corp., 6.13%, 10/1/28, Callable 10/1/23 @ 206.12(a)

     535,500  

295,000

    

Tenet Healthcare Corp., 4.25%, 6/1/29, Callable 6/1/24 @ 204.26(a)

     300,162  

117,000

    

Toledo Hospital (The), Series B, 5.33%, 11/15/28

     134,930  
Principal
Amount
           Value   
Corporate Bonds, continued   
Health Care Providers & Services, continued   

$15,000

    

Vizient, Inc., 6.25%, 5/15/27, Callable 5/15/22 @ 206.26(a)

   $             15,713  
       

 

 

 

          21,570,430  
       

 

 

 

Hotels, Restaurants & Leisure (0.5%):   

15,000

    

Affinity Gaming, 6.88%, 12/15/27, Callable 12/1/23 @ 206.88(a)

     15,750  

445,000

    

Boyd Gaming Corp., 4.75%, 12/1/27, Callable 12/1/22 @ 102.38

     457,238  

145,000

    

Caesars Entertainment, Inc., 4.63%, 10/15/29, Callable 10/15/24 @ 204.62(a)

     147,537  

298,000

    

Caesars Resort Collection LLC, 5.25%, 10/15/25, Callable 10/15/21 @ 202.62(a)

     302,470  

350,000

    

Carnival Corp., 10.50%, 2/1/26, Callable 8/1/23 @ 210.5(a)

     406,000  

565,000

    

Carnival Corp., 7.63%, 3/1/26, Callable 3/1/24 @ 203.82(a)

     601,019  

125,000

    

Carrols Restaurant Group, Inc., 5.88%, 7/1/29, Callable 7/1/24 @ 205.88^(a)

     118,750  

680,000

    

Diamond Sports Group LLC / Diamond Sports Finance Co., 5.38%, 8/15/26, Callable 8/15/22 @ 205.38^(a)

     448,800  

122,409

    

Golden Entertainment, Inc., 3.75%, 10/20/24, Callable 11/10/21 @ 100

     121,950  

765,000

    

Golden Entertainment, Inc., 7.63%, 4/15/26, Callable 4/15/22 @ 207.62(a)

     808,031  

605,000

    

Golden Nugget, Inc., 6.75%, 10/15/24, Callable 11/8/21 @ 200(a)

     605,000  

40,000

    

Hilton Grand Vacations Borrower Escrow LLC / Hilton Grand Vacations Borrower Esc, 5.00%, 6/1/29, Callable 6/1/24 @ 205(a)

     40,750  

45,000

    

Life Time, Inc., 5.75%, 1/15/26, Callable 1/15/23 @ 205.76(a)

     46,744  

40,000

    

Marriott Ownership Resorts, Inc., 4.50%, 6/15/29, Callable 6/15/24 @ 204.5(a)

     40,600  

  1,586,000

    

McDonald’s Corp., 3.60%, 7/1/30, Callable 4/1/30 @ 100

     1,757,467  

230,000

    

NCL Corp., Ltd., 10.25%, 2/1/26, Callable 8/1/23 @ 210.26(a)

     264,213  

20,000

    

NCL Finance, Ltd., 6.13%, 3/15/28, Callable 12/15/27 @ 200(a)

     20,800  

20,000

    

Peninsula Pacific Entert, 8.50%, 11/15/27, Callable 11/15/23 @ 208.5(a)

     21,600  

20,000

    

Royal Caribbean Cruises, Ltd., 9.13%, 6/15/23, Callable 3/15/23 @ 200(a)

     21,750  

280,000

    

Royal Caribbean Cruises, Ltd., 11.50%, 6/1/25, Callable 6/1/22 @ 217.26(a)

     318,850  

310,000

    

Royal Caribbean Cruises, Ltd., 5.50%, 8/31/26, Callable 2/28/26 @ 200(a)

     319,300  

284,000

    

Station Casinos LLC, 5.00%, 10/1/25, Callable 10/29/21 @ 202.5(a)

     287,905  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Corporate Bonds, continued   
Hotels, Restaurants & Leisure, continued   

$510,000

    

Station Casinos LLC, 4.50%, 2/15/28, Callable 2/15/23 @ 204.5(a)

   $           516,375  

255,000

    

Viking Cruises, Ltd., 13.00%, 5/15/25, Callable 5/15/22 @ 219.5(a)

     293,250  

255,000

    

Wynn Las Vegas LLC, 5.50%, 3/1/25, Callable 12/1/24 @ 200(a)

     260,100  

390,000

    

Wynn Las Vegas LLC, 5.25%, 5/15/27, Callable 2/15/27 @ 200^(a)

     393,412  

510,000

    

Yum! Brands, Inc., 7.75%, 4/1/25, Callable 4/1/22 @ 207.76(a)

     544,425  

350,000

    

Yum! Brands, Inc., 4.63%, 1/31/32, Callable 10/1/26 @ 102.31

     372,750  
       

 

 

 

          9,552,836  
       

 

 

 

Household Durables (0.1%):   

65,000

    

Ambience Merger Sub, Inc., 4.88%, 7/15/28, Callable 7/15/23 @ 204.88(a)

     65,000  

70,000

    

Ashton Woods USA LLC / Ashton Woods Finance Co., 4.63%, 4/1/30, Callable 4/1/25 @ 204.62(a)

     70,262  

150,000

    

Century Communities, Inc., 3.88%, 8/15/29, Callable 2/15/29 @ 200(a)

     151,125  

160,000

    

LBM Acquisition LLC, 6.25%, 1/15/29, Callable 1/15/24 @ 206.26(a)

     159,600  

10,000

    

Newell Brands, Inc., 5.38%, 4/1/36, Callable 10/1/35 @ 100

     12,375  

15,000

    

Northwest Fiber LLC / Northwest Fiber Finance Sub, Inc., 6.00%, 2/15/28, Callable 2/15/24 @ 206^(a)

     14,888  

510,000

    

Northwest Fiber LLC / Northwest Fiber Finance Sub, Inc., 10.75%, 6/1/28, Callable 6/1/23 @ 210.76(a)

     572,475  

130,000

    

Tempur Sealy International, Inc., 3.88%, 10/15/31, Callable 10/15/26 @ 203.88(a)

     130,000  

265,000

    

TopBuild Corp., 4.13%, 2/15/32, Callable 10/15/26 @ 204.12(a)

     267,650  
       

 

 

 

          1,443,375  
       

 

 

 

Household Products (0.0%):   

55,000

    

Central Garden & Pet Co., 4.13%, 4/30/31, Callable 4/30/26 @ 204.12(a)

     56,100  
       

 

 

 

Independent Power and Renewable Electricity Producers (0.2%):   

  1,457,000

    

AES Corp. (The), 3.30%, 7/15/25, Callable 6/15/25 @ 200(a)

     1,543,971  

1,412,000

    

AES Corp. (The), 3.95%, 7/15/30, Callable 4/15/30 @ 200(a)

     1,552,560  

30,000

    

Clearway Energy Operating LLC, 4.75%, 3/15/28, Callable 3/15/23 @ 207.12(a)

     31,613  

430,000

    

NRG Energy, Inc., 5.75%, 1/15/28, Callable 1/15/23 @ 102.88

     455,800  
Principal
Amount
           Value   
Corporate Bonds, continued   
Independent Power and Renewable Electricity Producers, continued   

$35,000

    

Pattern Energy Operations LP/Pattern Energy Operations, Inc., 4.50%, 8/15/28, Callable 8/15/23 @ 206.76(a)

   $             36,444  

85,000

    

Sunnova Energy Corp., 5.88%, 9/1/26, Callable 9/1/23 @ 205.88(a)

     86,487  

20,000

    

TerraForm Power Operating LLC, 4.25%, 1/31/23, Callable 10/31/22 @ 200(a)

     20,525  

15,000

    

TerraForm Power Operating LLC, 5.00%, 1/31/28, Callable 7/31/27 @ 200(a)

     16,125  
       

 

 

 

          3,743,525  
       

 

 

 

Industrial Conglomerates (0.1%):   

550,000

    

Icahn Enterprises LP/Icahn Enterprises Finance Corp., 6.25%, 5/15/26, Callable 5/15/22 @ 103.13

     576,125  

1,165,000

    

Icahn Enterprises LP/Icahn Enterprises Finance Corp., 5.25%, 5/15/27, Callable 11/15/26 @ 100

     1,205,775  
       

 

 

 

          1,781,900  
       

 

 

 

Insurance (0.5%):   

600,000

    

American International Group, Inc., 2.50%, 6/30/25, Callable 5/30/25 @ 100

     626,297  

809,000

    

American International Group, Inc., 3.75%, 7/10/25, Callable 4/10/25 @ 100

     877,962  

  1,600,000

    

American International Group, Inc., 3.40%, 6/30/30, Callable 3/30/30 @ 100

     1,740,491  

70,000

    

AmWINS Group, Inc., 4.88%, 6/30/29, Callable 6/30/24 @ 204.88(a)

     70,700  

40,000

    

AssuredPartners, Inc., 5.63%, 1/15/29, Callable 12/15/23 @ 205.62(a)

     40,200  

2,597,000

    

Five Corners Funding Trust II, 2.85%, 5/15/30, Callable 2/15/30 @ 200(a)

     2,707,373  

115,000

    

HUB International, Ltd., 7.00%, 5/1/26, Callable 10/19/21 @ 207(a)

     118,738  

436,000

    

Pacific Lifecorp, 5.13%, 1/30/43(a)

     550,975  

227,000

    

Unum Group, 4.00%, 6/15/29, Callable 3/15/29 @ 100

     251,775  

1,000,000

    

Unum Group, 5.75%, 8/15/42

     1,239,846  

685,000

    

USI, Inc., 6.88%, 5/1/25, Callable 11/8/21 @ 203.44(a)

     696,988  
       

 

 

 

          8,921,345  
       

 

 

 

Interactive Media & Services (0.0%):   

190,000

    

Match Group Holdings II LLC, 3.63%, 10/1/31, Callable 10/1/26 @ 203.62(a)

     188,100  

25,000

    

Match Group, Inc., 4.13%, 8/1/30, Callable 5/1/25 @ 204.12(a)

     26,031  

525,000

    

Rackspace Technology Global, Inc., 3.50%, 2/15/28, Callable 2/15/24 @ 203.5(a)

     506,625  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Corporate Bonds, continued   
Interactive Media & Services, continued   

$60,000

    

Rackspace Technology Global, Inc., 5.38%, 12/1/28, Callable 12/1/23 @ 205.38^(a)

   $             58,950  
       

 

 

 

          779,706  
       

 

 

 

IT Services (0.1%):   

25,000

    

Arches Buyer, Inc., 4.25%, 6/1/28, Callable 12/1/23 @ 204.26(a)

     25,344  

10,000

    

Arches Buyer, Inc., 6.13%, 12/1/28, Callable 12/1/23 @ 206.12(a)

     10,150  

  470,000

    

Black Knight Infoserv LLC, 3.63%, 9/1/28, Callable 9/1/23 @ 203.62(a)

     472,937  

15,000

    

Booz Allen Hamilton, Inc., 4.00%, 7/1/29, Callable 7/1/24 @ 204(a)

     15,394  

550,000

    

Colt Merger Sub, Inc., 8.13%, 7/1/27, Callable 7/1/23 @ 208.12^(a)

     618,062  

255,000

    

Gartner, Inc., 4.50%, 7/1/28, Callable 7/1/23 @ 204.5(a)

     267,750  

45,000

    

Gartner, Inc., 3.75%, 10/1/30, Callable 10/1/25 @ 203.76(a)

     46,350  

40,000

    

Square, Inc., 2.75%, 6/1/26, Callable 5/1/26 @ 200(a)

     40,500  

40,000

    

Square, Inc., 3.50%, 6/1/31, Callable 3/1/31 @ 200(a)

     41,300  

35,000

    

Twilio, Inc., 3.63%, 3/15/29, Callable 3/15/24 @ 101.81

     35,788  

35,000

    

Twilio, Inc., 3.88%, 3/15/31, Callable 3/15/26 @ 101.94

     36,050  
       

 

 

 

          1,609,625  
       

 

 

 

Leisure Products (0.0%):   

202,000

    

Hasbro, Inc., 3.00%, 11/19/24, Callable 10/19/24 @ 100

     213,567  

5,000

    

Mattel, Inc., 5.88%, 12/15/27, Callable 12/15/22 @ 208.82(a)

     5,412  

8,000

    

Mattel, Inc., 5.45%, 11/1/41, Callable 5/1/41 @ 100

     9,540  
       

 

 

 

          228,519  
       

 

 

 

Life Sciences Tools & Services (0.0%):   

510,000

    

Avantor Funding, Inc., 4.63%, 7/15/28, Callable 7/15/23 @ 204.62(a)

     535,500  

15,000

    

Charles River Laboratories International, Inc., 4.25%, 5/1/28, Callable 5/1/23 @ 204.26(a)

     15,600  

30,000

    

Charles River Laboratories International, Inc., 3.75%, 3/15/29, Callable 3/15/24 @ 203.76(a)

     30,713  
       

 

 

 

          581,813  
       

 

 

 

Machinery (0.0%):   

55,000

    

GrafTech Finance, Inc., 4.63%, 12/15/28, Callable 12/15/23 @ 204.62(a)

     56,444  

170,000

    

ITT Holdings LLC, 6.50%, 8/1/29, Callable 8/1/24 @ 206.5(a)

     172,550  

230,000

    

Madison IAQ LLC, 4.13%, 6/30/28, Callable 6/30/24 @ 204.12(a)

     230,000  

45,000

    

Madison IAQ LLC, 5.88%, 6/30/29, Callable 6/30/24 @ 205.88(a)

     45,450  
Principal
Amount
           Value   
Corporate Bonds, continued   
Machinery, continued   

$45,000

    

Mueller Water Products, Inc., 4.00%, 6/15/29, Callable 6/15/24 @ 204(a)

   $             46,462  
       

 

 

 

          550,906  
       

 

 

 

Media (1.2%):   

255,000

    

Allen Media LLC / Allen Media Co-Issuer, Inc., 10.50%, 2/15/28, Callable 2/15/23 @ 226(a)

     260,100  

25,000

    

Austin BidCo, Inc., 7.13%, 12/15/28, Callable 12/15/23 @ 207.12(a)

     25,250  

20,000

    

Cablevision Lightpath LLC, 3.88%, 9/15/27, Callable 9/15/23 @ 203.88(a)

     19,600  

15,000

    

Cablevision Lightpath LLC, 5.63%, 9/15/28, Callable 9/15/23 @ 205.62(a)

     15,019  

65,000

    

CCO Holdings LLC, 4.50%, 8/15/30, Callable 2/15/25 @ 204.5(a)

     66,950  

1,250,000

    

CCO Holdings LLC / CCO Holdings Capital Corp., 4.75%, 3/1/30, Callable 9/1/24 @ 204.76(a)

     1,304,687  

390,000

    

CCO Holdings LLC / CCO Holdings Capital Corp., 4.50%, 5/1/32, Callable 5/1/26 @ 102.25

     401,213  

270,000

    

CCO Holdings LLC / CCO Holdings Capital Corp., 4.50%, 6/1/33, Callable 6/1/27 @ 204.5(a)

     275,062  

1,500,000

    

Charter Communications Operating LLC / Charter Communications Operating Capital, 4.91%, 7/23/25, Callable 4/23/25 @ 100

     1,685,175  

  2,500,000

    

Charter Communications Operating LLC / Charter Communications Operating Capital, 5.38%, 5/1/47, Callable 11/1/46 @ 100

     3,009,827  

1,130,000

    

CSC Holdings LLC, 5.75%, 1/15/30, Callable 1/15/25 @ 205.76(a)

     1,151,187  

335,000

    

CSC Holdings LLC, 4.13%, 12/1/30, Callable 12/1/25 @ 204.12(a)

     329,975  

2,346,000

    

Discovery Communications LLC, 3.63%, 5/15/30, Callable 2/15/30 @ 100

     2,541,297  

392,000

    

Discovery Communications LLC, 4.65%, 5/15/50, Callable 11/15/49 @ 100

     452,900  

605,000

    

DISH DBS Corp., 7.75%, 7/1/26

     683,650  

54,000

    

DISH Network Corp., 2.38%, 3/15/24

     53,300  

146,000

    

DISH Network Corp., 3.38%, 8/15/26

     153,115  

65,000

    

Fox Corp., 4.03%, 1/25/24, Callable 12/25/23 @ 100

     69,726  

1,094,000

    

Fox Corp., 4.71%, 1/25/29, Callable 10/25/28 @ 100

     1,273,798  

93,000

    

Fox Corp., 5.48%, 1/25/39, Callable 7/25/38 @ 100

     118,776  

140,000

    

Gray Television, Inc., 4.75%, 10/15/30, Callable 10/15/25 @ 204.76^(a)

     137,550  

430,000

    

Radiate Holdco LLC/Radiate Finance, Inc., 4.50%, 9/15/26, Callable 9/15/23 @ 204.5(a)

     443,975  

525,000

    

Radiate Holdco LLC/Radiate Finance, Inc., 6.50%, 9/15/28, Callable 9/15/23 @ 204.5(a)

     534,188  

95,000

    

Sirius XM Radio, Inc., 3.13%, 9/1/26, Callable 9/1/23 @ 203.12(a)

     96,069  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Corporate Bonds, continued   
Media, continued   

$270,000

    

Sirius XM Radio, Inc., 5.00%, 8/1/27, Callable 8/1/22 @ 205(a)

   $           280,800  

30,000

    

Sirius XM Radio, Inc., 5.50%, 7/1/29, Callable 7/1/24 @ 205.5(a)

     32,475  

25,000

    

Sirius XM Radio, Inc., 4.13%, 7/1/30, Callable 7/1/25 @ 204.12(a)

     25,219  

185,000

    

Sirius XM Radio, Inc., 3.88%, 9/1/31, Callable 9/1/26 @ 203.88(a)

     180,606  

350,000

    

TEGNA, Inc., 4.75%, 3/15/26, Callable 3/15/23 @ 204.76(a)

     364,875  

230,000

    

Terrier Media Buyer, Inc., 8.88%, 12/15/27, Callable 12/15/22 @ 208.88(a)

     243,225  

  2,439,000

    

Time Warner Cable, Inc., 6.55%, 5/1/37

     3,272,084  

280,000

    

Time Warner Cable, Inc., 7.30%, 7/1/38

     401,931  

1,500,000

    

Time Warner Cable, Inc., 6.75%, 6/15/39

     2,052,565  

69,000

    

Time Warner Cable, Inc., 5.50%, 9/1/41, Callable 3/1/41 @ 100

     84,095  

35,000

    

Univision Communications, Inc., 6.63%, 6/1/27, Callable 6/1/23 @ 206.62(a)

     37,888  

245,000

    

Univision Communications, Inc., 4.50%, 5/1/29, Callable 5/1/24 @ 204.5(a)

     248,675  
       

 

 

 

          22,326,827  
       

 

 

 

Metals & Mining (0.1%):   

45,000

    

Alcoa Nederland Holding BV, 4.13%, 3/31/29, Callable 3/31/24 @ 204.12(a)

     46,913  

20,000

    

Allegheny Technologies, Inc., 7.88%, 8/15/23

     22,500  

686,000

    

Allegheny Technologies, Inc., 5.88%, 12/1/27, Callable 12/1/22 @ 102.94

     723,730  

60,000

    

Allegheny Technologies, Inc., 4.88%, 10/1/29, Callable 10/1/24 @ 102.44

     60,450  

45,000

    

Allegheny Technologies, Inc., 5.13%, 10/1/31, Callable 10/1/26 @ 102.56

     45,450  

45,000

    

Cleveland-Cliffs, Inc., 4.63%, 3/1/29, Callable 3/1/24 @ 204.62^(a)

     46,069  

45,000

    

Cleveland-Cliffs, Inc., 4.88%, 3/1/31, Callable 3/1/26 @ 204.88^(a)

     46,350  

27,000

    

Freeport-McMoRan, Inc., 3.55%, 3/1/22, Callable 12/1/21 @ 100

     27,067  

485,000

    

Kaiser Aluminun Corp., 4.63%, 3/1/28, Callable 3/1/23 @ 204.62(a)

     499,550  

125,000

    

Novelis Corp., 3.88%, 8/15/31, Callable 8/15/26 @ 203.88(a)

     123,750  
       

 

 

 

          1,641,829  
       

 

 

 

Mortgage Real Estate Investment Trusts (0.0%):   

40,000

    

Ladder Capital Finance Holdings LLLP / Ladder Capital Finance Corp, 4.75%, 6/15/29, Callable 6/15/24 @ 204.76(a)

     39,800  

45,000

    

Starwood Property Trust, Inc., 4.75%, 3/15/25, Callable 9/15/24 @ 100

     47,531  
       

 

 

 

          87,331  
       

 

 

 

Principal
Amount
           Value   
Corporate Bonds, continued   
Multi-Utilities (0.2%):   

  $1,100,000

    

NiSource, Inc., 2.95%, 9/1/29, Callable 6/1/29 @ 100

   $        1,149,842  

1,000,000

    

NiSource, Inc., 5.25%, 2/15/43, Callable 8/15/42 @ 100

     1,291,338  

140,000

    

Puget Energy, Inc., 4.10%, 6/15/30, Callable 3/15/30 @ 100

     153,537  

339,000

    

Sempra Energy, 6.00%, 10/15/39

     464,651  
       

 

 

 

          3,059,368  
       

 

 

 

Oil, Gas & Consumable Fuels (2.6%):   

430,000

    

Antero Resources Corp., 5.00%, 3/1/25, Callable 11/8/21 @ 102.5^

     438,600  

335,000

    

Apache Corp., 4.63%, 11/15/25, Callable 8/15/25 @ 100

     359,287  

45,000

    

Apache Corp., 5.10%, 9/1/40, Callable 3/1/40 @ 100

     50,344  

10,000

    

Apache Corp., 7.38%, 8/15/47

     12,255  

145,000

    

Cheniere Energy Partners LP, 4.00%, 3/1/31, Callable 3/1/26 @ 204(a)

     151,706  

125,000

    

Cheniere Energy Partners, LP, 3.25%, 1/31/32, Callable 1/31/27 @ 203.26(a)

     125,312  

247,000

    

Chevron Phillips Chemical Co. LLC/Chevron Phillips Chemical Co. LP, 5.13%, 4/1/25, Callable 3/1/25 @ 200(a)

     280,062  

375,000

    

CITGO Petroleum Corp., 6.38%, 6/15/26, Callable 6/15/23 @ 206.38(a)

     382,500  

50,000

    

Cnx Midstream Partners, LP, 4.75%, 4/15/30, Callable 4/15/25 @ 204.76^(a)

     50,500  

20,000

    

CNX Resources Corp., 6.00%, 1/15/29, Callable 1/15/24 @ 209(a)

     21,100  

132,000

    

Columbia Pipeline Group, 4.50%, 6/1/25, Callable 3/1/25 @ 100

     146,510  

47,000

    

Comstock Resources, Inc., 7.50%, 5/15/25, Callable 11/8/21 @ 207.5^(a)

     48,763  

55,000

    

Comstock Resources, Inc., 6.75%, 3/1/29, Callable 3/1/24 @ 206.76(a)

     59,125  

25,000

    

Comstock Resources, Inc., 5.88%, 1/15/30, Callable 1/15/25 @ 205.88(a)

     26,000  

485,000

    

Continental Resources, Inc., 5.75%, 1/15/31, Callable 7/15/30 @ 200(a)

     584,425  

42,000

    

Crestwood Midstream Partners LP / Crestwood Midstream Finance Corp., 5.75%, 4/1/25, Callable 11/8/21 @ 102.88^

     42,892  

795,000

    

Crestwood Midstream Partners LP / Crestwood Midstream Finance Corp., 6.00%, 2/1/29, Callable 2/1/24 @ 206(a)

     827,794  

605,000

    

CVR Energy, Inc., 5.25%, 2/15/25, Callable 2/15/22 @ 205.26(a)

     600,462  

20,000

    

CVR Energy, Inc., 5.75%, 2/15/28, Callable 2/15/23 @ 205.76^(a)

     19,750  

230,000

    

DCP Midstream Operating LP, 5.38%, 7/15/25, Callable 4/15/25 @ 100

     253,575  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Corporate Bonds, continued   
Oil, Gas & Consumable Fuels, continued   

  $2,905,000

    

DCP Midstream Operating LP, 5.63%, 7/15/27, Callable 4/15/27 @ 100

   $        3,304,437  

700,000

    

DCP Midstream Operating LP, 5.85% (US0003M+770 bps), 5/21/43, Callable 5/21/23 @ 200(a)

     647,500  

25,000

    

Delek Logistics Partners LP / Delek Logistics Finance Corp., 7.13%, 6/1/28, Callable 6/1/24 @ 207.12(a)

     26,563  

26,000

    

Devon Energy Corp., 5.25%, 10/15/27, Callable 10/15/22 @ 205.26(a)

     28,015  

40,000

    

DT Midstream, Inc., 4.13%, 6/15/29, Callable 6/15/24 @ 204.12(a)

     40,550  

124,000

    

Enable Midstream Partners LP, 3.90%, 5/15/24, Callable 2/15/24 @ 100

     131,588  

20,000

    

Endeavor Energy Resources LP/EER Finance, Inc., 6.63%, 7/15/25, Callable 7/15/22 @ 206.62(a)

     21,075  

270,000

    

Endeavor Energy Resources LP/EER Finance, Inc., 5.50%, 1/30/26, Callable 10/14/21 @ 208.26(a)

     281,340  

295,000

    

Endeavor Energy Resources LP/EER Finance, Inc., 5.75%, 1/30/28, Callable 1/30/23 @ 205.76(a)

     310,487  

2,229,000

    

Energy Transfer LP, 4.95%, 6/15/28, Callable 3/15/28 @ 100

     2,557,778  

106,000

    

Energy Transfer LP, 5.25%, 4/15/29, Callable 1/15/29 @ 100

     124,153  

52,000

    

Energy Transfer Operating LP, 4.25%, 3/15/23, Callable 12/15/22 @ 100

     54,080  

65,000

    

Energy Transfer Operating LP, 4.50%, 4/15/24, Callable 3/15/24 @ 100

     70,281  

109,000

    

Energy Transfer Operating LP, 3.75%, 5/15/30, Callable 2/15/30 @ 100

     117,720  

73,000

    

Energy Transfer Operating LP, 6.25%, 4/15/49, Callable 10/15/48 @ 100

     95,340  

1,743,000

    

Energy Transfer Operating LP, 5.00%, 5/15/50, Callable 11/15/49 @ 100

     2,010,986  

67,000

    

Energy Transfer Partners LP, 4.20%, 9/15/23, Callable 8/15/23 @ 100

     71,104  

128,000

    

Energy Transfer Partners LP, 5.80%, 6/15/38, Callable 12/15/37 @ 100

     156,160  

83,000

    

Energy Transfer Partners LP, 6.00%, 6/15/48, Callable 12/15/47 @ 100

     104,738  

350,000

    

EnLink Midstream LLC, 5.63%, 1/15/28, Callable 7/15/27 @ 200(a)

     372,750  

50,000

    

EQM Midstream Partners LP, 6.50%, 7/1/27, Callable 1/1/27 @ 200(a)

     56,187  

45,000

    

EQM Midstream Partners LP, 4.50%, 1/15/29, Callable 7/15/28 @ 200(a)

     46,575  

295,000

    

EQT Corp., 3.90%, 10/1/27, Callable 7/1/27 @ 100

     318,600  
Principal
Amount
           Value   
Corporate Bonds, continued   
Oil, Gas & Consumable Fuels, continued   

$30,000

    

EQT Corp., 5.00%, 1/15/29, Callable 7/15/28 @ 100

   $             33,750  

  2,000,000

    

Exxon Mobil Corp., 3.48%, 3/19/30, Callable 12/19/29 @ 100

     2,225,042  

650,000

    

Hess Corp., 4.30%, 4/1/27, Callable 1/1/27 @ 100

     719,875  

71,000

    

Hess Corp., 7.30%, 8/15/31

     95,939  

50,000

    

Hess Corp., 7.13%, 3/15/33

     67,375  

1,869,000

    

Hess Corp., 5.60%, 2/15/41

     2,324,569  

1,166,000

    

Hess Corp., 5.80%, 4/1/47, Callable 10/1/46 @ 100

     1,514,342  

405,000

    

Hess Midstream Operations LP, 5.63%, 2/15/26, Callable 11/8/21 @ 208.44(a)

     419,681  

80,000

    

Hess Midstream Operations, LP, 4.25%, 2/15/30, Callable 2/15/25 @ 204.26(a)

     80,600  

97,000

    

Kinder Morgan Energy Partners LP, 3.45%, 2/15/23, Callable 11/15/22 @ 100

     100,153  

42,000

    

Kinder Morgan Energy Partners LP, 6.55%, 9/15/40

     57,679  

125,000

    

Kinder Morgan, Inc., 5.55%, 6/1/45, Callable 12/1/44 @ 100

     159,951  

112,000

    

Kinder Morgan, Inc., 5.05%, 2/15/46, Callable 8/15/45 @ 100

     134,521  

125,000

    

Leeward Renewable Energy Operations LLC, 4.25%, 7/1/29, Callable 7/1/24 @ 204.26(a)

     126,250  

113,000

    

MPLX LP, 4.50%, 7/15/23, Callable 4/15/23 @ 100

     119,639  

159,000

    

MPLX LP, 4.88%, 12/1/24, Callable 9/1/24 @ 100

     175,894  

1,063,000

    

MPLX LP, 4.80%, 2/15/29, Callable 11/15/28 @ 100

     1,229,094  

1,188,000

    

MPLX LP, 5.50%, 2/15/49, Callable 8/15/48 @ 100

     1,505,790  

390,000

    

Murphy Oil Corp., 5.88%, 12/1/27, Callable 12/1/22 @ 102.94

     406,088  

400,000

    

New Fortress Energy, Inc., 6.75%, 9/15/25, Callable 9/15/22 @ 206.76(a)

     385,000  

375,000

    

NGL Energy Operating LLC / NGL Energy Finance Corp., 7.50%, 2/1/26, Callable 2/1/23 @ 207.5(a)

     381,094  

406,000

    

Occidental Petroleum Corp., 5.55%, 3/15/26, Callable 12/15/25 @ 100

     450,660  

30,000

    

Occidental Petroleum Corp., 3.20%, 8/15/26, Callable 6/15/26 @ 100

     30,600  

406,000

    

Occidental Petroleum Corp., 3.50%, 8/15/29, Callable 5/15/29 @ 100

     412,597  

255,000

    

Occidental Petroleum Corp., 8.88%, 7/15/30, Callable 1/15/30 @ 100

     346,162  

1,464,000

    

Occidental Petroleum Corp., 7.50%, 5/1/31

     1,901,370  

16,000

    

Occidental Petroleum Corp., 7.88%, 9/15/31

     21,260  

78,000

    

Occidental Petroleum Corp., 6.45%, 9/15/36

     98,085  

44,000

    

Occidental Petroleum Corp., 4.30%, 8/15/39, Callable 2/15/39 @ 100

     43,450  

25,000

    

Occidental Petroleum Corp., 6.20%, 3/15/40

     29,438  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Corporate Bonds, continued   
Oil, Gas & Consumable Fuels, continued   

$410,000

    

Occidental Petroleum Corp., 6.60%, 3/15/46, Callable 9/15/45 @ 100

   $           516,088  

295,000

    

Occidental Petroleum Corp., 4.40%, 4/15/46, Callable 10/15/45 @ 100

     292,419  

430,000

    

Occidental Petroleum Corp., 4.10%, 2/15/47, Callable 8/15/46 @ 100

     409,038  

55,000

    

Occidental Petroleum Corp., 4.20%, 3/15/48, Callable 9/15/47 @ 100

     52,663  

79,000

    

Occidental Petroleum Corp., 4.40%, 8/15/49, Callable 2/15/49 @ 100

     77,519  

605,000

    

PBF Holding Co. LLC / PBF Finance Corp., 9.25%, 5/15/25, Callable 5/15/22 @ 209.26(a)

     570,213  

80,000

    

PBF Holding Co. LLC / PBF Finance Corp., 6.00%, 2/15/28, Callable 2/15/23 @ 103

     51,200  

20,000

    

PDC Energy, Inc., 5.75%, 5/15/26, Callable 11/8/21 @ 104.31

     20,825  

20,000

    

Phillips 66, 3.70%, 4/6/23

     20,957  

26,000

    

Phillips 66, 3.85%, 4/9/25, Callable 3/9/25 @ 100

     28,332  

1,172,000

    

Plains All Amer Pipeline, 3.60%, 11/1/24, Callable 8/1/24 @ 100

     1,249,250  

  1,162,000

    

Plains All Amer Pipeline, 3.55%, 12/15/29, Callable 9/15/29 @ 100

     1,219,565  

270,000

    

Range Resources Corp., 4.88%, 5/15/25, Callable 2/15/25 @ 100

     284,175  

100,000

    

Regency Energy Partners LP/Regency Energy Finance Corp., 5.88%, 3/1/22, Callable 12/1/21 @ 100

     100,625  

335,000

    

Sabine Pass Liquefaction LLC, 4.50%, 5/15/30, Callable 11/15/29 @ 100

     385,250  

278,000

    

Sanchez Energy Corp., 7.25%, 2/15/23, Callable 10/19/21 @ 101.81(c)(d)(e)

      

10,000

    

SM Energy Co., 5.63%, 6/1/25, Callable 11/8/21 @ 101.88

     10,025  

50,000

    

SM Energy Co., 6.75%, 9/15/26, Callable 11/8/21 @ 103.38^

     51,000  

5,000

    

Sunoco LP/Sunoco Finance Corp., 6.00%, 4/15/27, Callable 4/15/22 @ 103

     5,206  

242,000

    

Sunoco LP/Sunoco Finance Corp., 5.88%, 3/15/28, Callable 3/15/23 @ 102.94

     255,310  

430,000

    

Sunoco, LP / Sunoco Finance Corp., 4.50%, 5/15/29, Callable 5/15/24 @ 102.25

     435,912  

350,000

    

Tallgrass Energy Partners LP / Tallgrass Energy Finance Corp., 6.00%, 12/31/30, Callable 12/31/25 @ 206(a)

     358,750  

510,000

    

Targa Resources Partners LP, 5.38%, 2/1/27, Callable 2/1/22 @ 102.69

     527,850  

25,000

    

Targa Resources Partners LP / Targa Resources Partners Finance Corp., 5.50%, 3/1/30, Callable 3/1/25 @ 102.75

     27,281  
Principal
Amount
           Value   
Corporate Bonds, continued   
Oil, Gas & Consumable Fuels, continued   

$445,000

    

Targa Resources Partners LP / Targa Resources Partners Finance Corp., 4.88%, 2/1/31, Callable 2/1/26 @ 102.44

   $           480,044  

45,000

    

Targa Resources Partners LP / Targa Resources Partners Finance Corp., 4.00%, 1/15/32, Callable 7/15/26 @ 204(a)

     46,406  

43,000

    

Transcontinental Gas Pipe Line Co. LLC, 3.25%, 5/15/30, Callable 2/15/30 @ 100

     45,933  

71,000

    

Valero Energy Corp., 2.70%, 4/15/23

     73,241  

41,000

    

Valero Energy Corp., 2.85%, 4/15/25, Callable 3/15/25 @ 100

     43,166  

390,000

    

Viper Energy Partners LP, 5.38%, 11/1/27, Callable 11/1/22 @ 205.38(a)

     406,575  

40,000

    

Western Gas Partners LP, 3.95%, 6/1/25, Callable 3/1/25 @ 100

     41,900  

137,000

    

Western Gas Partners LP, 4.65%, 7/1/26, Callable 4/1/26 @ 100

     147,275  

  1,000,000

    

Western Gas Partners LP, 4.50%, 3/1/28, Callable 12/1/27 @ 100

     1,077,500  

66,000

    

Western Gas Partners LP, 4.75%, 8/15/28, Callable 5/15/28 @ 100

     72,105  

1,000,000

    

Western Midstream Operating LP, 4.35%, 2/1/25, Callable 1/1/25 @ 100

     1,050,000  

525,000

    

Western Midstream Operating LP, 5.30%, 2/1/30, Callable 11/1/29 @ 100

     580,125  

3,554,000

    

Williams Cos., Inc. (The), 3.50%, 11/15/30, Callable 8/15/30 @ 100

     3,848,882  

1,000,000

    

Williams Cos., Inc. (The), 5.75%, 6/24/44, Callable 12/24/43 @ 100

     1,307,580  

162,000

    

Williams Partners LP, 4.50%, 11/15/23, Callable 8/15/23 @ 100

     173,549  

285,000

    

Williams Partners LP, 4.30%, 3/4/24, Callable 12/4/23 @ 100

     305,690  
       

 

 

 

          47,674,341  
       

 

 

 

Paper & Forest Products (0.0%):   

45,000

    

Mercer International, Inc., 5.13%, 2/1/29, Callable 2/1/24 @ 102.56

     45,844  
       

 

 

 

Pharmaceuticals (0.2%):   

390,000

    

Bausch Health Cos, Inc., 5.25%, 1/30/30, Callable 1/30/25 @ 205.26(a)

     363,675  

1,000,000

    

Bayer US Finance II LLC, 4.25%, 12/15/25, Callable 10/15/25 @ 200(a)

     1,104,713  

445,000

    

Catalent Pharma Solutions, Inc., 3.13%, 2/15/29, Callable 2/15/24 @ 203.12(a)

     436,656  

115,000

    

Catalent Pharma Solutions, Inc., 3.50%, 4/1/30, Callable 4/1/25 @ 203.5^(a)

     114,569  

180,000

    

Elanco Animal Health, Inc., 5.27%, 8/28/23, Callable 7/28/23 @ 100

     191,258  

76,000

    

Elanco Animal Health, Inc., 5.90%, 8/28/28, Callable 5/28/28 @ 100

     89,015  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Corporate Bonds, continued   
Pharmaceuticals, continued   

$30,000

    

Jazz Securities DAC, 4.38%, 1/15/29, Callable 7/15/24 @ 204.38(a)

   $             30,978  

30,000

    

Organon & Co. / Organon Foreign Debt Co-Issuer BV, 4.13%, 4/30/28, Callable 4/30/24 @ 204.12(a)

     30,600  

50,000

    

Organon & Co. / Organon Foreign Debt Co-Issuer BV, 5.13%, 4/30/31, Callable 4/30/26 @ 205.12(a)

     52,500  

126,000

    

Upjohn, Inc., 1.13%, 6/22/22(a)

     126,647  

40,000

    

Upjohn, Inc., 1.65%, 6/22/25, Callable 5/22/25 @ 200(a)

     40,429  

  1,406,000

    

Upjohn, Inc., 2.70%, 6/22/30, Callable 3/22/30 @ 200(a)

     1,419,817  

90,000

    

Upjohn, Inc., 3.85%, 6/22/40, Callable 12/22/39 @ 200(a)

     96,249  
       

 

 

 

          4,097,106  
       

 

 

 

Professional Services (0.1%):   

140,000

    

Asgn, Inc., 4.63%, 5/15/28, Callable 5/15/23 @ 204.62^(a)

     145,425  

335,000

    

Nielsen Finance LLC/Nielsen Finance Co., 5.63%, 10/1/28, Callable 10/1/23 @ 205.62(a)

     346,725  

335,000

    

Nielsen Finance LLC/Nielsen Finance Co., 5.88%, 10/1/30, Callable 10/1/25 @ 205.88(a)

     351,331  
       

 

 

 

          843,481  
       

 

 

 

Real Estate Management & Development (0.1%):   

210,000

    

CBRE Services, Inc., 2.50%, 4/1/31, Callable 1/1/31 @ 100

     210,580  

175,000

    

Kennedy-Wilson, Inc., 4.75%, 2/1/30, Callable 9/1/24 @ 102.38

     176,969  

145,000

    

Realogy Group LLC / Realogy Co-Issuer Corp., 5.75%, 1/15/29, Callable 1/15/24 @ 205.76(a)

     150,075  

725,000

    

Vertical US Newco, Inc., 5.25%, 7/15/27, Callable 7/15/23 @ 205.26(a)

     759,438  
       

 

 

 

          1,297,062  
       

 

 

 

Road & Rail (0.0%):   

135,000

    

Uber Technologies, Inc., 4.50%, 8/15/29, Callable 8/15/24 @ 204.5(a)

     135,675  
       

 

 

 

Semiconductors & Semiconductor Equipment (0.4%):   

65,000

    

Broadcom, Inc., 1.95%, 2/15/28, Callable 12/15/27 @ 200(a)

     63,991  

  4,136,000

    

Broadcom, Inc., 2.45%, 2/15/31, Callable 11/15/30 @ 200(a)

     3,995,194  

564,000

    

Broadcom, Inc., 2.60%, 2/15/33, Callable 11/15/32 @ 200(a)

     543,947  

1,648,000

    

Broadcom, Inc., 3.50%, 2/15/41, Callable 8/15/40 @ 200(a)

     1,629,585  

210,000

    

Broadcom, Inc., 3.75%, 2/15/51, Callable 8/15/50 @ 200(a)

     208,618  

310,000

    

Entegris, Inc., 4.38%, 4/15/28, Callable 4/15/23 @ 204.38(a)

     323,950  

375,000

    

Entegris, Inc., 3.63%, 5/1/29, Callable 5/1/24 @ 205.44(a)

     384,375  
Principal
Amount
           Value   
Corporate Bonds, continued   
Semiconductors & Semiconductor Equipment, continued   

$50,000

    

ON Semiconductor Corp., 3.88%, 9/1/28, Callable 9/1/23 @ 203.88(a)

   $             51,688  
       

 

 

 

          7,201,348  
       

 

 

 

Software (0.3%):   

40,000

    

Acuris Finance Us Inc / Acuris Finance SARL, 5.00%, 5/1/28, Callable 5/1/24 @ 205(a)

     40,000  

35,000

    

Boxer Parent Co., Inc., 7.13%, 10/2/25, Callable 6/1/22 @ 207.12(a)

     37,363  

20,000

    

CDK Global, Inc., 5.25%, 5/15/29, Callable 5/15/24 @ 205.26(a)

     21,600  

25,000

    

Clarivate Science Holdings Corp., 3.88%, 7/1/28, Callable 6/30/24 @ 203.88(a)

     24,969  

25,000

    

Clarivate Science Holdings Corp., 4.88%, 7/1/29, Callable 6/30/24 @ 204.88^(a)

     24,969  

65,000

    

Elastic NV, 4.13%, 7/15/29, Callable 7/15/24 @ 204.12(a)

     64,919  

30,000

    

MicroStrategy, Inc., 6.13%, 6/15/28, Callable 6/15/24 @ 206.12^(a)

     30,300  

253,000

    

Oracle Corp., 1.65%, 3/25/26, Callable 2/25/26 @ 100

     256,433  

  2,200,000

    

Oracle Corp., 2.80%, 4/1/27, Callable 2/1/27 @ 100

     2,332,246  

400,000

    

Oracle Corp., 2.30%, 3/25/28, Callable 1/25/28 @ 100

     409,388  

2,990,000

    

Oracle Corp., 2.88%, 3/25/31, Callable 12/25/30 @ 100

     3,073,316  
       

 

 

 

          6,315,503  
       

 

 

 

Specialty Retail (0.3%):   

32,000

    

AutoNation, Inc., 4.75%, 6/1/30, Callable 3/1/30 @ 100

     37,146  

49,000

    

AutoZone, Inc., 3.63%, 4/15/25, Callable 3/15/25 @ 100^

     53,085  

1,229,000

    

AutoZone, Inc., 4.00%, 4/15/30, Callable 1/15/30 @ 100

     1,392,468  

120,000

    

Carvana Co., 5.88%, 10/1/28, Callable 10/1/23 @ 208.82(a)

     124,350  

65,000

    

Foot Locker, Inc., 4.00%, 10/1/29, Callable 10/1/24 @ 204(a)

     65,143  

125,000

    

Gap, Inc. (The), 3.88%, 10/1/31, Callable 10/1/26 @ 203.88(a)

     125,156  

565,000

    

L Brands, Inc., 6.63%, 10/1/30, Callable 10/1/25 @ 206.62(a)

     641,275  

1,165,000

    

Lowe’s Cos., Inc., 4.50%, 4/15/30, Callable 1/15/30 @ 100

     1,365,282  

2,051,000

    

O’Reilly Automotive, Inc., 4.20%, 4/1/30, Callable 1/1/30 @ 100

     2,353,127  

20,000

    

Party City Holdings, Inc., 8.75%, 2/15/26, Callable 8/15/23 @ 208.76(a)

     20,950  

15,000

    

Rent-A-Center, Inc., 6.38%, 2/15/29, Callable 2/15/24 @ 206.38(a)

     16,181  

85,000

    

Victoria’s Secret & Co., 4.63%, 7/15/29, Callable 7/15/24 @ 204.62(a)

     86,063  
       

 

 

 

          6,280,226  
       

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Corporate Bonds, continued   
Technology Hardware, Storage & Peripherals (0.1%):   

  $1,200,000

    

Dell International LLC/EMC Corp., 5.45%, 6/15/23, Callable 4/15/23 @ 100

   $        1,286,974  

55,000

    

Dell International LLC/EMC Corp., 5.85%, 7/15/25, Callable 6/15/25 @ 100

     63,642  

83,000

    

Dell International LLC/EMC Corp., 6.02%, 6/15/26, Callable 3/15/26 @ 100

     98,357  

101,000

    

Dell International LLC/EMC Corp., 6.10%, 7/15/27, Callable 5/15/27 @ 100

     123,451  

87,000

    

Dell International LLC/EMC Corp., 6.20%, 7/15/30, Callable 4/15/30 @ 100

     110,656  
       

 

 

 

          1,683,080  
       

 

 

 

Textiles, Apparel & Luxury Goods (0.0%):   

130,000

    

Crocs, Inc., 4.13%, 8/15/31, Callable 8/15/26 @ 204.12(a)

     130,975  

45,000

    

Levi Strauss & Co., 3.50%, 3/1/31, Callable 3/1/26 @ 203.5^(a)

     45,338  

235,000

    

Wolverine World Wide, Inc., 4.00%, 8/15/29, Callable 8/15/24 @ 204(a)

     237,350  
       

 

 

 

          413,663  
       

 

 

 

Tobacco (0.1%):   

294,000

    

Altria Group, Inc., 4.25%, 8/9/42

     304,203  

191,000

    

Altria Group, Inc., 4.50%, 5/2/43

     203,687  

175,000

    

Altria Group, Inc., 5.38%, 1/31/44

     206,311  

72,000

    

Altria Group, Inc., 5.95%, 2/14/49, Callable 8/14/48 @ 100

     91,219  

232,000

    

Reynolds American, Inc., 4.45%, 6/12/25, Callable 3/12/25 @ 100

     255,900  

120,000

    

Reynolds American, Inc., 5.70%, 8/15/35, Callable 2/15/35 @ 100

     143,650  

45,000

    

Turning Point Brands, Inc., 5.63%, 2/15/26, Callable 2/15/23 @ 205.62(a)

     46,912  
       

 

 

 

          1,251,882  
       

 

 

 

Trading Companies & Distributors (0.2%):   

295,000

    

Air Lease Corp., 4.25%, 2/1/24, Callable 1/1/24 @ 100

     315,984  

2,465,000

    

Air Lease Corp., 3.38%, 7/1/25, Callable 6/1/25 @ 100

     2,616,445  

30,000

    

Foundation Building Materials, Inc., 6.00%, 3/1/29, Callable 3/1/24 @ 206(a)

     29,400  

30,000

    

SRS Distribution, Inc., 4.63%, 7/1/28, Callable 7/1/24 @ 204.62(a)

     30,600  

15,000

    

SRS Distribution, Inc., 6.13%, 7/1/29, Callable 7/1/24 @ 206.12(a)

     15,450  
       

 

 

 

          3,007,879  
       

 

 

 

Wireless Telecommunication Services (0.4%):   

1,155,000

    

Sprint Capital Corp., 8.75%, 3/15/32

     1,732,500  

1,265,000

    

Sprint Communications, Inc., 6.88%, 11/15/28

     1,619,200  

2,860,000

    

T-Mobile USA, Inc., 3.75%, 4/15/27, Callable 2/15/27 @ 100

     3,148,846  

40,000

    

T-Mobile USA, Inc., 4.75%, 2/1/28, Callable 2/1/23 @ 102.38

     42,450  

45,000

    

T-Mobile USA, Inc., 3.38%, 4/15/29, Callable 4/15/24 @ 101.69

     46,974  
Principal
Amount
           Value   
Corporate Bonds, continued   
Wireless Telecommunication Services, continued   

$430,000

    

T-Mobile USA, Inc., 3.88%, 4/15/30, Callable 1/15/30 @ 100

   $           474,031  

56,000

    

T-Mobile USA, Inc., 4.38%, 4/15/40, Callable 10/15/39 @ 100

     64,075  

110,000

    

T-Mobile USA, Inc., 4.50%, 4/15/50, Callable 10/15/49 @ 100

     128,004  
       

 

 

 

          7,256,080  
       

 

 

 

Total Corporate Bonds (Cost $349,702,004)

     355,572,641  
  

 

 

 

Yankee Dollars (5.7%):   
Aerospace & Defense (0.1%):   

2,000,000

    

Avolon Holdings Funding, Ltd., 2.88%, 2/15/25, Callable 1/15/25 @ 200(a)

     2,055,000  

10,000

    

Bombardier, Inc., 7.50%, 12/1/24, Callable 11/8/21 @ 211.26(a)

     10,388  

40,000

    

Bombardier, Inc., 7.50%, 3/15/25, Callable 11/8/21 @ 205(a)

     40,850  

55,000

    

Bombardier, Inc., 7.13%, 6/15/26, Callable 6/15/23 @ 207.12(a)

     57,750  

620,000

    

Bombardier, Inc., 6.00%, 2/15/28, Callable 2/15/24 @ 206^(a)

     626,975  
       

 

 

 

          2,790,963  
       

 

 

 

Banks (1.6%):   

585,000

    

Barclays plc, 4.38%, 1/12/26

     651,436  

2,543,000

    

Barclays plc, 2.85% (US0003M+245 bps), 5/7/26, Callable 5/7/25 @ 100

     2,669,339  

  2,377,000

    

Barclays plc, 5.09% (US0003M+305 bps), 6/20/30, Callable 6/20/29 @ 100

     2,745,483  

200,000

    

Commonwealth Bank of Australia, 3.61%, 9/12/34, Callable 9/12/29 @ 200(a)

     210,903  

530,000

    

Cooperatieve Rabobank UA, 4.38%, 8/4/25

     587,220  

205,000

    

HSBC Holdings plc, 4.25%, 3/14/24

     218,210  

1,000,000

    

HSBC Holdings plc, 4.95%, 3/31/30

     1,188,455  

200,000

    

Intesa Sanpaolo SpA, 5.02%, 6/26/24(a)

     216,032  

5,779,000

    

Intesa Sanpaolo SpA, 5.71%, 1/15/26(a)

     6,468,077  

3,200,000

    

Natwest Group plc, 5.13%, 5/28/24

     3,519,488  

2,550,000

    

Royal Bank of Scotland Group plc, 6.13%, 12/15/22

     2,710,767  

547,000

    

Royal Bank of Scotland Group plc, 6.10%, 6/10/23

     593,837  

2,625,000

    

Royal Bank of Scotland Group plc, 6.00%, 12/19/23

     2,903,909  

680,000

    

Societe Generale SA, 1.04% (H15T1Y+150 bps), 6/18/25, Callable 6/18/24 @ 200^(a)

     675,688  

3,863,000

    

Societe Generale SA, 1.49% (H15T1Y+220 bps), 12/14/26, Callable 12/14/25 @ 200(a)

     3,810,741  

350,000

    

UniCredit SpA, 6.57%, 1/14/22(a)

     355,707  

186,000

    

Westpac Banking Corp., 4.11% (H15T5Y+200 bps), 7/24/34, Callable 7/24/29 @ 100

     201,433  
       

 

 

 

          29,726,725  
       

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Yankee Dollars, continued   
Biotechnology (0.0%):   

$200,000

    

Grifols Escrow Issuer SA, 4.75%, 10/15/28, Callable 10/15/24 @ 204.76(a)

   $           204,190  
       

 

 

 

Capital Markets (0.9%):   

4,009,000

    

Credit Suisse Group AG, 2.59% (SOFR+312 bps), 9/11/25, Callable 9/11/24 @ 200(a)

     4,142,780  

  2,514,000

    

Credit Suisse Group AG, 4.19% (SOFR+746 bps), 4/1/31, Callable 4/1/30 @ 200(a)

     2,812,706  

670,000

    

Credit Suisse Group Fun, Ltd., 3.80%, 9/15/22

     692,143  

787,000

    

Credit Suisse Group Fun, Ltd., 3.80%, 6/9/23

     827,923  

470,000

    

Credit Suisse Group Funding Guernsey, Ltd., 3.75%, 3/26/25

     506,783  

487,000

    

Deutsche Bank AG, 5.00%, 2/14/22

     494,855  

860,000

    

Deutsche Bank AG, 3.30%, 11/16/22

     886,424  

4,610,000

    

Deutsche Bank AG, 4.50%, 4/1/25

     4,908,308  

774,000

    

UBS Group AG, 1.49%, 8/10/27, Callable 8/10/26 @ 200(a)

     765,751  
       

 

 

 

          16,037,673  
       

 

 

 

Chemicals (0.1%):   

15,000

    

Consolidated Energy Finance SA, 3.87% (US0003M+750 bps), 6/15/22, Callable 10/19/21 @ 200(a)

     14,982  

25,000

    

Consolidated Energy Finance SA, 6.88%, 6/15/25(a)

     25,850  

350,000

    

Consolidated Energy Finance SA, 6.50%, 5/15/26, Callable 10/19/21 @ 209.76(a)

     362,250  

510,000

    

Methanex Corp., 5.13%, 10/15/27, Callable 4/15/27 @ 100

     551,437  

230,000

    

Methanex Corp., 5.25%, 12/15/29, Callable 9/15/29 @ 100

     248,975  

255,000

    

Methanex Corp., 5.65%, 12/1/44, Callable 6/1/44 @ 100

     276,583  

660,000

    

Nufarm Australia, Ltd., 5.75%, 4/30/26, Callable 11/8/21 @ 205.76(a)

     675,675  

125,000

    

SPCM SA, 3.13%, 3/15/27, Callable 3/15/24 @ 203.12(a)

     125,156  
       

 

 

 

          2,280,908  
       

 

 

 

Containers & Packaging (0.0%):   

15,000

    

Intelligent Packaging, Ltd. Finco Inc./Intelligent Packaging, Ltd. Co-Issuer LLC, 6.00%, 9/15/28, Callable 9/15/22 @ 206(a)

     15,713  

25,000

    

Intertape Polymer Group, Inc., 4.38%, 6/15/29, Callable 6/15/24 @ 204.38(a)

     25,437  

740,000

    

Trivium Packaging Finance BV, 5.50%, 8/15/26, Callable 8/15/22 @ 205.5(a)

     774,225  
       

 

 

 

          815,375  
       

 

 

 

Diversified Consumer Services (0.1%):   

33,000

    

Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 Sarl, 4.63%, 6/1/28, Callable 6/1/24 @ 204.62(a)

     32,876  
Principal
Amount
           Value   
Yankee Dollars, continued   
Diversified Consumer Services, continued   

$980,000

    

GEMS MENASA Cayman, Ltd., 7.13%, 7/31/26, Callable 7/31/22 @ 207.12(a)

   $        1,004,500  
       

 

 

 

          1,037,376  
       

 

 

 

Diversified Financial Services (0.3%):   

780,000

    

Altice Financing SA, 5.00%, 1/15/28, Callable 1/15/23 @ 205(a)

     741,000  

  1,050,000

    

Altice Financing SA, 5.75%, 8/15/29, Callable 8/15/24 @ 205.76(a)

     1,013,250  

1,601,000

    

C&W Senior Financing Dac, 6.88%, 9/15/27, Callable 9/15/22 @ 206.88(a)

     1,685,052  

430,000

    

Dolya Holdco 18 DAC, 5.00%, 7/15/28, Callable 7/15/23 @ 205(a)

     442,363  

1,355,000

    

Park Aerospace Holdings, 5.50%, 2/15/24(a)

     1,480,337  

780,000

    

Vmed O2 UK Financing I plc, 4.25%, 1/31/31, Callable 1/31/26 @ 204.26(a)

     774,150  
       

 

 

 

          6,136,152  
       

 

 

 

Diversified Telecommunication Services (0.1%):   

1,155,000

    

Altice France SA, 8.13%, 2/1/27, Callable 2/1/22 @ 212.18(a)

     1,240,181  

700,000

    

Altice France SA, 6.00%, 2/15/28, Callable 2/15/23 @ 206(a)

     665,000  

470,000

    

Altice France SA, 5.13%, 1/15/29, Callable 9/15/23 @ 205.12(a)

     462,362  

25,000

    

Sable International Finance, Ltd., 5.75%, 9/7/27, Callable 9/7/22 @ 205.76(a)

     26,188  

55,000

    

Telecom Italia SpA, 6.00%, 9/30/34

     61,600  
       

 

 

 

          2,455,331  
       

 

 

 

Energy Equipment & Services (0.0%):   

405,000

    

Transocean Poseidon, Ltd., 6.88%, 2/1/27, Callable 2/1/22 @ 210.32(a)

     402,975  
       

 

 

 

Hotels, Restaurants & Leisure (0.0%):   

35,000

    

1011778 BC ULC New Red Finance, Inc., 5.75%, 4/15/25, Callable 4/15/22 @ 205.76(a)

     36,750  

525,000

    

1011778 BC ULC New Red Finance, Inc., 4.00%, 10/15/30, Callable 10/15/25 @ 204(a)

     518,437  

45,000

    

Melco Resorts Finance, Ltd., 5.75%, 7/21/28, Callable 7/21/23 @ 205.76^(a)

     46,069  

40,000

    

Melco Resorts Finance, Ltd., 5.38%, 12/4/29, Callable 12/4/24 @ 205.38(a)

     40,700  
       

 

 

 

          641,956  
       

 

 

 

Insurance (0.2%):   

1,414,000

    

AIA Group, Ltd., 3.38%, 4/7/30, Callable 1/7/30 @ 200(a)

     1,527,770  

1,200,000

    

AIA Group, Ltd., 3.20%, 9/16/40, Callable 3/16/40 @ 200(a)

     1,201,510  

200,000

    

Swiss Re Finance Luxembourg SA, 5.00% (H15T5Y+716 bps), 4/2/49, Callable 4/2/29 @ 200(a)

     230,000  
       

 

 

 

          2,959,280  
       

 

 

 

Media (0.1%):   

590,000

    

Ziggo BV, 5.50%, 1/15/27, Callable 1/15/22 @ 205.5(a)

     609,912  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Yankee Dollars, continued   
Media, continued   

$335,000

    

Ziggo BV, 5.13%, 2/28/30, Callable 2/15/25 @ 205.12(a)

   $           344,213  
       

 

 

 

          954,125  
       

 

 

 

Metals & Mining (0.0%):   

500,000

    

First Quantum Minerals, Ltd., 6.88%, 3/1/26, Callable 10/19/21 @ 210.32(a)

     520,000  

35,000

    

First Quantum Minerals, Ltd., 6.88%, 10/15/27, Callable 10/15/23 @ 206.88(a)

     37,100  

5,000

    

FMG Resources Pty, Ltd., 4.50%, 9/15/27, Callable 6/15/27 @ 200(a)

     5,262  

85,000

    

Infrabuild Australia Pty, Ltd., 12.00%, 10/1/24, Callable 11/8/21 @ 218^(a)

     89,569  
       

 

 

 

          651,931  
       

 

 

 

Multi-Utilities (0.1%):   

  1,373,000

    

InterGen NV, 7.00%, 6/30/23, Callable 11/8/21 @ 200(a)

     1,357,554  
       

 

 

 

Oil, Gas & Consumable Fuels (1.3%):   

1,100,000

    

Canadian Natural Resources, Ltd., 3.90%, 2/1/25, Callable 11/1/24 @ 100

     1,186,625  

1,028,000

    

Canadian Natural Resources, Ltd., 5.85%, 2/1/35

     1,297,850  

2,502,000

    

Cenovus Energy, Inc., 4.25%, 4/15/27, Callable 1/15/27 @ 100

     2,774,092  

335,000

    

eG Global Finance plc, 6.75%, 2/7/25, Callable 10/19/21 @ 206.76(a)

     342,537  

510,000

    

eG Global Finance plc, 8.50%, 10/30/25, Callable 11/8/21 @ 208.5(a)

     532,950  

145,000

    

Enbridge, Inc., 4.00%, 10/1/23, Callable 7/1/23 @ 100

     153,534  

1,135,000

    

Enbridge, Inc., 4.25%, 12/1/26, Callable 9/1/26 @ 100

     1,271,763  

645,000

    

LBC Tank Terminals Holding Netherlands BV, 6.88%, 5/15/23, Callable 10/28/21 @ 200(a)

     645,000  

565,000

    

Meg Energy Corp., 7.13%, 2/1/27, Callable 2/1/23 @ 207.12(a)

     593,250  

2,500,000

    

Petroleos Mexicanos, 4.50%, 1/23/26

     2,513,850  

1,196,000

    

Petroleos Mexicanos, 6.84%, 1/23/30, Callable 10/23/29 @ 100

     1,234,258  

4,500,000

    

Petroleos Mexicanos, 5.95%, 1/28/31, Callable 10/28/30 @ 100^

     4,365,779  

2,228,000

    

Petroleos Mexicanos, 6.75%, 9/21/47

     1,936,074  

5,000,000

    

Petroleos Mexicanos, 6.35%, 2/12/48

     4,213,035  

336,000

    

Petroleos Mexicanos, 6.95%, 1/28/60, Callable 7/28/59 @ 100

     293,145  

45,000

    

Teine Energy, Ltd., 6.88%, 4/15/29, Callable 4/15/24 @ 206.88(a)

     45,675  
       

 

 

 

          23,399,417  
       

 

 

 

Pharmaceuticals (0.0%):   

295,000

    

Bausch Health Cos., Inc., 5.50%, 11/1/25, Callable 11/8/21 @ 202.76(a)

     299,425  

127,000

    

Teva Pharmaceuticals Industries, Ltd., 2.80%, 7/21/23

     126,206  
Principal
Amount
           Value   
Yankee Dollars, continued   
Pharmaceuticals, continued   

$313,000

    

VRX Escrow Corp., 6.13%, 4/15/25, Callable 11/8/21 @ 204.08(a)

   $           318,869  
       

 

 

 

          744,500  
       

 

 

 

Software (0.0%):   

60,000

    

Open Text Corp., 3.88%, 2/15/28, Callable 2/15/23 @ 203.88(a)

     61,425  
       

 

 

 

Sovereign Bond (0.5%):   

300,000

    

Abu Dhabi Government International Bond, 3.13%, 4/16/30(a)

     325,688  

300,000

    

Abu Dhabi Government International Bond, 3.88%, 4/16/50(a)

     342,520  

37,622

    

Argentine Republic Government International Bond, 1.00%, 7/9/29, Callable 11/8/21 @ 100

     13,770  

342,505

    

Argentine Republic Government International Bond, 0.50%, 7/9/30, Callable 11/8/21 @ 100

     118,592  

627,494

    

Argentine Republic Government International Bond, 0.12%, 7/9/35, Callable 11/8/21 @ 100

     201,426  

300,000

    

Corp. Andina de Fomento, 2.38%, 5/12/23

     307,865  

900,000

    

Dominican Republic, 5.50%, 1/27/25(a)

     983,250  

  3,150,000

    

Dominican Republic, 6.00%, 7/19/28(a)

     3,559,500  

375,000

    

Indonesia Government International Bond, 3.85%, 10/15/30

     418,135  

375,000

    

Indonesia Government International Bond, 4.20%, 10/15/50

     414,808  

200,000

    

Qatar Government International Bond, 3.40%, 4/16/25(a)

     215,581  

350,000

    

Qatar Government International Bond, 3.75%, 4/16/30(a)

     394,400  

350,000

    

Qatar Government International Bond, 4.40%, 4/16/50(a)

     425,263  

200,000

    

Saudi Government International Bond, 2.90%, 10/22/25(a)

     212,879  

200,000

    

Saudi Government International Bond, 3.25%, 10/22/30(a)

     214,138  

200,000

    

Saudi Government International Bond, 4.50%, 4/22/60^(a)

     238,257  
       

 

 

 

          8,386,072  
       

 

 

 

Tobacco (0.0%):   

462,000

    

Imperial Tobacco Finance, 3.75%, 7/21/22, Callable 5/21/22 @ 200(a)

     471,279  
       

 

 

 

Trading Companies & Distributors (0.2%):   

2,200,000

    

AerCap Ireland Capital DAC / AerCap Global Aviation Trust, 2.88%, 8/14/24, Callable 7/14/24 @ 100

     2,288,761  

320,000

    

AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 4.88%, 1/16/24, Callable 12/16/23 @ 100

     345,286  

151,000

    

AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 6.50%, 7/15/25, Callable 6/15/25 @ 100

     175,237  

163,000

    

AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 4.45%, 4/3/26, Callable 2/3/26 @ 100

     177,814  
       

 

 

 

          2,987,098  
       

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
Yankee Dollars, continued   
Wireless Telecommunication Services (0.1%):   

$330,000

    

Empresa Nacional del Pet, 4.38%, 10/30/24(a)

   $           356,400  

450,000

    

Millicom International Cellular SA, 6.25%, 3/25/29, Callable 3/25/24 @ 206.26(a)

     491,625  

295,000

    

Millicom International Cellular SA, 4.50%, 4/27/31, Callable 4/27/26 @ 204.5(a)

     306,800  
       

 

 

 

          1,154,825  
       

 

 

 

Total Yankee Dollars (Cost $105,425,707)

     105,657,130  
  

 

 

 

Municipal Bonds (0.3%):   
California (0.0%):

 

140,000

    

California State, Build America Bonds, GO, 7.55%, 4/1/39

     235,419  

10,000

    

California State, Build America Bonds, GO, 7.35%, 11/1/39

     15,995  
       

 

 

 

          251,414  
       

 

 

 

Illinois (0.2%):

 

63,636

    

Illinois State, Build America Bonds, GO, 4.95%, 6/1/23

     67,048  

3,235,000

    

Illinois State, Build America Bonds, GO, 5.10%, 6/1/33

     3,767,157  
       

 

 

 

          3,834,205  
       

 

 

 

New Jersey (0.1%):

 

339,000

    

New Jersey Economic Development Authority Revenue, Build America Bonds, GO, Series A, 7.43%, 2/15/29

     433,130  
       

 

 

 

Total Municipal Bonds (Cost $3,804,218)

     4,518,749  
  

 

 

 

U.S. Government Agency Mortgages (7.5%):   
Government National Mortgage Association (2.2%)

 

22,894

    

4.00%, 10/20/40, Pool #G24833

     25,196  

68,963

    

4.00%, 1/20/41, Pool #4922

     75,908  

67,473

    

4.00%, 8/15/41, Pool #430354

     74,232  

777,782

    

4.00%, 1/20/42, Pool #5280

     851,796  

104,101

    

4.00%, 11/20/42, Pool #MA0535

     114,021  

244,666

    

3.00%, 12/20/42, Pool #AA5872

     256,868  

  1,740,807

    

3.50%, 1/20/43, Pool #MA0699

     1,865,394  

29,901

    

3.50%, 3/20/43, Pool #AD8884

     32,530  

65,678

    

3.00%, 3/20/43, Pool #AD8812

     71,424  

152,402

    

3.00%, 3/20/43, Pool #AA6146

     167,282  

11,627

    

3.50%, 4/20/43, Pool #AB9891

     12,643  

31,368

    

3.50%, 4/20/43, Pool #AD9075

     34,131  

74,775

    

4.00%, 5/20/46, Pool #MA3664

     80,930  

366,493

    

3.00%, 12/20/46, Pool #MA4126

     386,846  

83,971

    

4.00%, 1/15/47, Pool #AX5857

     90,857  

43,561

    

4.00%, 1/15/47, Pool #AX5831

     47,133  

522,167

    

3.00%, 1/20/47, Pool #MA4195

     550,946  

235,155

    

4.00%, 3/20/47, Pool #MA4322

     252,835  

41,579

    

4.00%, 4/20/47, Pool #MA4383

     44,705  

111,180

    

4.00%, 4/20/47, Pool #784303

     118,186  

115,400

    

4.00%, 4/20/47, Pool #784304

     122,630  

43,977

    

4.00%, 5/20/47, Pool #MA4452

     47,469  

28,092

    

3.50%, 2/20/48, Pool #MA5019

     29,793  

23,430

    

4.00%, 4/20/48, Pool #BG7744

     25,358  

25,827

    

4.00%, 4/20/48, Pool #BG3507

     27,952  

4,787

    

3.50%, 12/20/49, Pool #BR8984

     5,082  

11,347

    

3.50%, 12/20/49, Pool #BR8985

     12,085  

5,400

    

3.50%, 12/20/49, Pool #BR8987

     5,876  

52,552

    

3.00%, 4/20/50, Pool #MA6599

     54,946  

396,028

    

3.50%, 4/20/50, Pool #MA6600

     416,461  
Principal
Amount
           Value   
U.S. Government Agency Mortgages, continued   
Government National Mortgage Association, continued

 

  $10,250,000

    

3.50%, 10/20/50, TBA

   $      10,775,312  

2,805,825

    

3.50%, 11/20/50, Pool #MA6997

     2,953,989  

240,946

    

2.50%, 3/20/51, Pool #MA7255

     248,846  

1,370,281

    

2.50%, 4/20/51, Pool #MA7312

     1,415,247  

1,944,147

    

3.00%, 5/20/51, Pool #MA7368

     2,037,092  

1,017,868

    

3.00%, 6/20/51, Pool #MA7419

     1,066,891  

950,000

    

3.00%, 10/20/51, TBA

     992,156  

4,150,000

    

2.00%, 10/20/51, TBA

     4,205,766  

2,375,000

    

2.50%, 10/20/51, TBA

     2,449,961  

4,700,000

    

2.00%, 11/20/51, TBA

     4,755,078  

1,350,000

    

2.50%, 11/20/51, TBA

     1,390,236  

1,650,000

    

3.50%, 11/20/51, TBA

     1,735,207  
       

 

 

 

          39,927,296  
       

 

 

 

Federal Home Loan Mortgage Corporation (0.9%)

 

36,748

    

2.50%, 6/1/31, Pool #J34501

     38,540  

29,265

    

2.50%, 6/1/31, Pool #G18604

     30,571  

47,611

    

2.50%, 7/1/31, Pool #V61246

     49,930  

84,406

    

2.50%, 8/1/31, Pool #V61273

     88,803  

224,738

    

3.50%, 3/1/32, Pool #C91403

     239,995  

644,735

    

3.50%, 7/1/32, Pool #C91467

     688,479  

176,159

    

2.50%, 12/1/32, Pool #G18669

     183,896  

42,864

    

2.50%, 3/1/33, Pool #G18680

     44,685  

25,861

    

3.00%, 4/1/33, Pool #K90336

     27,486  

174,387

    

3.00%, 4/1/33, Pool #G18684

     183,698  

54,943

    

3.00%, 5/1/33, Pool #G16550

     57,906  

29,437

    

3.00%, 6/1/33, Pool #K90684

     31,271  

65,197

    

3.00%, 6/1/33, Pool #K90632

     69,301  

43,640

    

3.00%, 6/1/33, Pool #K90806

     46,366  

27,596

    

3.00%, 6/1/33, Pool #C91709

     29,331  

133,277

    

2.50%, 7/1/33, Pool #G16661

     139,173  

129,024

    

3.00%, 7/1/33, Pool #C91714

     137,159  

37,693

    

3.00%, 4/1/34, Pool #G16829

     39,757  

192,686

    

3.50%, 10/1/34, Pool #C91793

     207,181  

505,977

    

4.00%, 5/1/37, Pool #C91938

     551,654  

222,485

    

4.00%, 11/1/40, Pool #A95150

     240,507  

593,011

    

3.50%, 1/1/44, Pool #G07922

     652,088  

299,613

    

3.50%, 1/1/44, Pool #G60271

     328,345  

83,215

    

4.00%, 2/1/45, Pool #G07949

     92,222  

70,494

    

3.50%, 11/1/45, Pool #Q37467

     76,776  

21,139

    

4.00%, 4/1/46, Pool #V82292

     23,148  

7,160

    

4.00%, 4/1/46, Pool #Q39975

     7,867  

144,866

    

3.50%, 9/1/46, Pool #Q43257

     158,733  

226,898

    

3.00%, 12/1/46, Pool #G60989

     242,010  

9,475

    

4.50%, 12/1/46, Pool #Q45028

     10,618  

9,661

    

4.50%, 1/1/47, Pool #Q45635

     10,824  

15,835

    

4.50%, 2/1/47, Pool #Q46222

     17,500  

14,022

    

4.50%, 5/1/47, Pool #Q47942

     15,489  

38,201

    

4.50%, 5/1/47, Pool #Q48095

     42,198  

32,604

    

4.50%, 5/1/47, Pool #Q47935

     36,015  

49,027

    

4.50%, 6/1/47, Pool #Q48759

     54,156  

312,909

    

4.00%, 6/1/47, Pool #Q48877

     343,766  

30,160

    

4.50%, 7/1/47, Pool #Q49393

     33,316  

115,049

    

4.50%, 12/1/47, Pool #Q53017

     126,250  

12,096

    

4.00%, 2/1/48, Pool #Q54499

     13,190  

32,515

    

4.00%, 2/1/48, Pool #G61343

     35,416  

49,608

    

4.50%, 4/1/48, Pool #Q55660

     54,929  

61,684

    

4.50%, 4/1/48, Pool #Q55724

     68,300  

63,525

    

4.50%, 4/1/48, Pool #Q55500

     70,443  

146,206

    

4.00%, 5/1/48, Pool #Q55992

     159,213  

76,149

    

4.50%, 5/1/48, Pool #Q55839

     84,318  

203,130

    

4.00%, 6/1/48, Pool #G67713

     223,150  

63,574

    

4.00%, 7/1/48, Pool #Q59935

     70,078  

35,333

    

4.50%, 10/1/48, Pool #G67716

     39,452  

987,467

    

4.50%, 7/1/49, Pool #RA1171

     1,097,822  

7,694

    

3.00%, 10/1/49, Pool #QA3907

     8,097  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
U.S. Government Agency Mortgages, continued   
Federal Home Loan Mortgage Corporation, continued

 

$12,384

    

3.00%, 11/1/49, Pool #QA4483

   $             13,033  

12,449

    

3.00%, 12/1/49, Pool #QA5521

     13,131  

32,604

    

3.00%, 12/1/49, Pool #QA5154

     34,317  

394,269

    

2.00%, 6/1/50, Pool #RA2677

     397,615  

532,483

    

2.50%, 11/1/50, Pool #SD7530

     554,283  

2,593,157

    

2.50%, 2/1/51, Pool #SD7535

     2,703,808  

1,480,236

    

2.00%, 5/1/51, Pool #SD7541

     1,495,610  

49,163

    

2.00%, 5/1/51, Pool #QC1514

     49,583  

2,460,690

    

2.50%, 5/1/51, Pool #SD7540

     2,566,198  

396,075

    

2.50%, 7/1/51, Pool #RA5574

     410,665  

29,343

    

2.00%, 7/1/51, Pool #QC4163

     29,594  

1,097,834

    

2.50%, 8/1/51, Pool #QC5848

     1,132,747  

749,823

    

2.00%, 10/1/51, Pool #RA6076

     755,052  
       

 

 

 

          17,477,054  
       

 

 

 

Federal National Mortgage Association (4.4%)

 

44,877

    

2.50%, 5/1/31, Pool #BC0919

     47,035  

62,332

    

2.50%, 8/1/31, Pool #BC2778

     65,321  

43,510

    

2.50%, 10/1/31, Pool #AS8010

     45,628  

322,237

    

2.50%, 1/1/32, Pool #BE3032

     336,672  

186,649

    

3.00%, 9/1/32, Pool #BM5110

     197,385  

51,539

    

2.50%, 9/1/32, Pool #MA3124

     53,801  

26,247

    

3.00%, 3/1/33, Pool #BM4614

     27,869  

26,812

    

3.00%, 5/1/33, Pool #AT3000

     28,508  

25,398

    

3.00%, 6/1/33, Pool #AT6090

     26,992  

119,326

    

3.00%, 7/1/33, Pool #MA1490

     126,804  

430,631

    

6.00%, 5/1/36, Pool #745512

     507,905  

2,200,000

    

2.00%, 10/25/36, TBA

     2,264,625  

  2,400,000

    

1.50%, 10/25/36, TBA

     2,422,125  

16,599

    

3.50%, 12/1/40, Pool #AH1556

     18,015  

44,422

    

4.00%, 10/1/43, Pool #BM1167

     49,633  

264,452

    

4.50%, 3/1/44, Pool #AV0957

     288,587  

247,665

    

4.50%, 7/1/44, Pool #AS3062

     272,934  

265,843

    

4.50%, 12/1/44, Pool #AS4176

     295,730  

126,245

    

4.00%, 5/1/45, Pool #AZ1207

     138,227  

159,500

    

4.00%, 6/1/45, Pool #AY8096

     174,417  

110,854

    

4.00%, 6/1/45, Pool #AY8126

     121,374  

306,493

    

3.50%, 7/1/45, Pool #AZ0814

     333,594  

219,985

    

3.50%, 8/1/45, Pool #AY8424

     239,840  

32,826

    

4.00%, 12/1/45, Pool #AS6352

     35,533  

125,501

    

4.50%, 12/1/45, Pool #BA6997

     136,566  

10,258

    

4.50%, 1/1/46, Pool #AY3890

     11,133  

100,528

    

4.00%, 2/1/46, Pool #BC1578

     108,299  

4,261

    

4.50%, 3/1/46, Pool #BC0287

     4,775  

26,127

    

4.00%, 4/1/46, Pool #AS7024

     28,727  

311,985

    

4.00%, 4/1/46, Pool #AL8468

     347,828  

222,429

    

4.00%, 6/1/46, Pool #AL9282

     239,623  

53,491

    

4.50%, 6/1/46, Pool #BD1238

     58,883  

121,069

    

4.00%, 7/1/46, Pool #BC1443

     133,343  

127,748

    

4.00%, 9/1/46, Pool #BC2843

     140,680  

26,892

    

4.00%, 9/1/46, Pool #BD1489

     28,971  

17,864

    

4.00%, 10/1/46, Pool #BD7599

     19,245  

109,099

    

3.50%, 10/1/46, Pool #AL9285

     117,350  

115,879

    

4.00%, 10/1/46, Pool #BC4754

     127,672  

57,538

    

4.50%, 10/1/46, Pool #BE1671

     62,849  

52,445

    

4.50%, 11/1/46, Pool #BE2386

     58,817  

7,857

    

4.50%, 12/1/46, Pool #BC9079

     8,803  

103,233

    

4.50%, 12/1/46, Pool #BE4488

     115,781  

324,755

    

3.50%, 12/1/46, Pool #BC9077

     353,193  

36,598

    

4.50%, 1/1/47, Pool #BE7087

     40,355  

30,869

    

4.50%, 1/1/47, Pool #BE6506

     34,392  

48,516

    

4.50%, 2/1/47, Pool #BE8498

     54,059  

469,668

    

4.00%, 2/1/47, Pool #AL9779

     519,555  

60,565

    

4.00%, 5/1/47, Pool #BM1277

     66,682  

19,557

    

4.50%, 6/1/47, Pool #BH0561

     21,463  

7,436

    

4.00%, 6/1/47, Pool #BH4269

     8,186  
Principal
Amount
           Value   
U.S. Government Agency Mortgages, continued   
Federal National Mortgage Association, continued

 

$11,531

    

4.50%, 6/1/47, Pool #BE9387

   $             12,721  

67,045

    

4.50%, 6/1/47, Pool #BE3663

     73,940  

61,537

    

4.50%, 7/1/47, Pool #BE3749

     67,845  

35,089

    

4.00%, 7/1/47, Pool #AS9968

     38,628  

33,974

    

4.50%, 4/1/48, Pool #BJ5454

     37,259  

65,377

    

4.00%, 4/1/48, Pool #BM3700

     71,972  

12,395

    

4.50%, 5/1/48, Pool #BJ5507

     13,575  

368,424

    

4.50%, 10/1/48, Pool #CA2432

     403,126  

83,835

    

4.50%, 10/25/48, Pool #BM4548

     93,286  

410,108

    

4.50%, 12/1/48, Pool #CA2797

     458,046  

245,969

    

4.50%, 9/1/49, Pool #FM1534

     273,235  

11,084

    

3.00%, 11/1/49, Pool #BO8254

     11,664  

345,808

    

4.00%, 11/1/49, Pool #CA4628

     379,624  

55,840

    

3.50%, 11/1/49, Pool #CA4557

     60,043  

233,007

    

3.00%, 2/1/50, Pool #CA5126

     246,068  

144,335

    

2.00%, 7/1/50, Pool #CA6275

     144,709  

98,352

    

2.00%, 7/1/50, Pool #FM3897

     99,188  

420,931

    

2.50%, 8/1/50, Pool #SD0430

     436,263  

3,599,876

    

3.50%, 8/1/50, Pool #FM7147

     3,871,583  

183,931

    

2.50%, 10/1/50, Pool #CA7229

     191,807  

148,809

    

2.00%, 10/1/50, Pool #CA7323

     150,722  

98,801

    

2.00%, 11/1/50, Pool #C47616

     99,058  

887,897

    

2.50%, 2/1/51, Pool #CA8950

     920,708  

98,735

    

2.00%, 5/1/51, Pool #FM7750

     99,577  

46,733

    

2.00%, 7/1/51, Pool #BT1835

     47,132  

22,473

    

2.00%, 7/1/51, Pool #BT1461

     22,665  

48,988

    

2.00%, 7/1/51, Pool #BQ1010

     49,315  

547,156

    

2.50%, 8/1/51, Pool #CB1384

     567,517  

700,066

    

2.00%, 10/1/51, Pool #CB1801

     706,250  

527,333

    

2.00%, 10/1/51, Pool #CB1799

     533,636  

2,350,000

    

1.50%, 10/25/51, TBA

     2,280,602  

3,575,000

    

2.50%, 10/25/51, TBA

     3,683,367  

15,800,000

    

3.00%, 10/25/51, TBA

     16,525,813  

9,150,000

    

2.00%, 10/25/51, TBA

     9,167,156  

  15,725,000

    

3.50%, 10/25/51, TBA

     16,634,102  

3,925,000

    

2.50%, 11/25/51, TBA

     4,036,157  

650,000

    

1.50%, 11/25/51, TBA

     629,992  

8,300,000

    

2.00%, 11/25/51, TBA

     8,300,000  
       

 

 

 

          82,404,135  
       

 

 

 

Total U.S. Government Agency Mortgages

(Cost $139,254,885)

     139,808,485  
  

 

 

 

U.S. Treasury Obligations (19.5%):   
U.S. Treasury Notes (13.2%)

 

75,000,000

    

0.13%, 5/31/23

     74,871,094  

900,000

    

2.50%, 1/31/24

     944,719  

584,000

    

0.25%, 5/15/24

     581,080  

12,859,000

    

0.25%, 7/31/25

     12,609,857  

2,190,000

    

0.38%, 12/31/25

     2,145,173  

5,588,000

    

2.50%, 2/28/26

     5,979,160  

6,505,000

    

0.75%, 3/31/26

     6,458,245  

3,000,000

    

0.75%, 4/30/26

     2,975,625  

85,000,000

    

0.75%, 5/31/26

     84,242,969  

32,355,200

    

1.25%, 5/31/28

     32,289,478  

24,342,000

    

1.25%, 8/15/31

     23,725,843  
       

 

 

 

          246,823,243  
       

 

 

 

U.S. Treasury Bonds (4.8%)

 

1,605,300

    

3.00%, 2/15/47

     1,897,515  

19,989,600

    

2.38%, 5/15/51

     21,273,307  

66,722,000

    

2.00%, 8/15/51

     65,377,135  
       

 

 

 

          88,547,957  
       

 

 

 

U.S. Treasury Inflation Index Bonds (0.5%)

 

2,349,597

    

0.75%, 2/15/45

     2,877,994  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value   
U.S. Treasury Obligations, continued   
U.S. Treasury Inflation Index Bonds, continued

 

$88,589

    

1.00%, 2/15/46

   $ 114,865  

835,250

    

1.00%, 2/15/49

     1,113,667  

5,318,371

    

0.13%, 2/15/51

     5,798,740  
       

 

 

 

          9,905,266  
       

 

 

 

U.S. Treasury Inflation Index Notes (1.0%)

 

399,977

    

0.88%, 1/15/29

     461,797  

1,013,755

    

0.25%, 7/15/29

     1,126,714  

15,728,550

    

0.13%, 1/15/31

     17,245,218  
       

 

 

 

          18,833,729  
       

 

 

 

Total U.S. Treasury Obligations

(Cost $365,883,467)

     364,110,195  
  

 

 

 

Short-Term Security Held as Collateral for Securities on Loan (0.5%):   

9,420,677

     BlackRock Liquidity FedFund, Institutional Class , 0.03%(f)(g)      9,420,677  
       

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan (Cost $9,420,677)

     9,420,677  
  

 

 

 

Shares            Value
Unaffiliated Investment Company (8.7%):   
Money Markets (8.7%):   

  161,575,178

     Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(g)      161,575,178  
       

 

 

 

Total Unaffiliated Investment Company

(Cost $161,575,178)

     161,575,178  
  

 

 

 

Total Investment Securities

(Cost $1,917,353,558) - 106.1%

     1,976,371,850  

Net other assets (liabilities) - (6.1)%

     (111,979,891
  

 

 

 

Net Assets - 100.0%

   $ 1,864,391,959  
  

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

GO    -    General Obligation
H15T1Y    -    1 Year Treasury Constant Maturity Rate
H15T5Y    -    5 Year Treasury Constant Maturity Rate
LIBOR    -    London Interbank Offered Rate
MTN    -    Medium Term Note
REIT    -    Real Estate Investment Trust
SOFR    -    Secured Overnight Financing Rate
TBA    -    To Be Announced Security
US0001M    -    1 Month US Dollar LIBOR
US0003M    -    3 Month US Dollar LIBOR
USSW5    -    USD 5 Year Swap Rate

 

*

Non-income producing security.

^

This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities on loan as of September 30, 2021 was $9,098,462.

Represents less than 0.05%.

(a)

Rule 144A, Section 4(2) or other security which is restricted to resale to institutional investors. The sub-adviser has deemed these securities to be liquid based on procedures approved by the Board of Trustees.

(b)

The rate for certain asset-backed and mortgage-backed securities may vary based on factors relating to the pool of assets underlying the security. The rate presented is the rate in effect at September 30, 2021.

(c)

Security was valued using unobservable inputs in good faith pursuant to procedures approved by the Board of Trustees as of September 30, 2021. The total of all such securities represent 0.00% of the net assets of the fund.

(d)

Rule 144A, Section 4(2) or other security which is restricted to resale to institutional investors. The sub-adviser has deemed these securities to be illiquid based on procedures approved by the Board of Trustees. As of September 30, 2021, these securities represent 0.01% of the net assets of the fund.

(e)

Defaulted bond.

(f)

Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.

(g)

The rate represents the effective yield at September 30, 2021.

Amounts shown as “—” are either $0 or rounds to less than $1.

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Multi-Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Futures Contracts

At September 30, 2021, the Fund’s open futures contracts were as follows:

Long Futures

 

Description    Expiration
Date
     Number of
Contracts
     Notional
Amount
     Value and
Unrealized
Appreciation/
(Depreciation)
 

S&P 500 Index E-Mini December Futures (U.S. Dollar)

     12/17/21        127      $    27,290,713      $ (280,882)      
           

 

 

 
            $ (280,882)      
           

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares            Value       
Common Stocks (0.1%):   
Diversified Telecommunication Services (0.0%):   

1,287

    

Frontier Communications Parent, Inc.*

   $          35,869  
       

 

 

 

Oil, Gas & Consumable Fuels (0.1%):   

22

    

Amplify Energy Corp.*

     117  

2,649

    

Denbury, Inc.*

     186,092  

5,889

    

Sanchez Energy Corp.*

     202,805  
       

 

 

 

          389,014  
       

 

 

 

Semiconductors & Semiconductor Equipment (0.0%):   

698

    

Micron Technology, Inc.

     49,544  
       

 

 

 

Total Common Stocks (Cost $188,958)

     474,427  
  

 

 

 

Preferred Stock (0.0%):   
Electric Utilities (0.0%):   

1,400

    

PG&E Corp., 8/16/23

     133,840  
       

 

 

 

Total Preferred Stock (Cost $164,354)

     133,840  
  

 

 

 

Contracts            Value       
Warrant (0.0%):   
Oil, Gas & Consumable Fuels (0.0%):   

95

    

California Resources Corp., 10/27/24

     1,140  
       

 

 

 

Total Warrant (Cost $–)

     1,140  
  

 

 

 

Principal
Amount
           Value       
Asset Backed Securities (2.1%):   

$404,520

    

Aaset Trust, Class A, Series 2019-2, 3.38%, 10/16/39(a)

     393,518  

227,695

    

Aaset Trust, Class A, Series 2020-1A, 3.35%, 1/16/40(a)

     225,070  

244,877

    

Aaset Trust, Class A, Series 2020-1A, 4.34%, 1/16/40(a)

     177,330  

258,547

    

Aaset Trust, Class A, Series 2019-1, 3.84%, 5/15/39(a)

     257,155  

213,511

    

Aaset Trust, Class A, Series 2018-1A, 3.84%, 1/16/38(a)

     210,184  

1,369,170

    

Aaset Trust, Class A, Series 2017-1A, 3.97%, 5/16/42(a)

     1,255,453  

104,167

    

Blackbird Capital Aircraft, Class AA, Series 2016-1A, 2.49%, 12/16/41, Callable 12/15/24 @ 100(a)(b)

     104,110  

493,802

    

Blackbird Capital Aircraft, Class A, Series 2021-1A, 2.44%, 7/15/46, Callable 7/15/28 @ 100(a)

     494,052  

578,642

    

Blackbird Capital Aircraft, Class A, Series 2016-1A, 4.21%, 12/16/41, Callable 12/15/24 @ 100(a)(b)

     579,472  

418,773

    

Castlelake Aircraft Structured Trust, Class A, Series 2018-1A, 4.13%, 6/15/43(a)

     417,624  

218,160

    

Castlelake Aircraft Structured Trust, Class A, Series 2021-1A, 3.47%, 1/15/46(a)

     225,333  

186,315

    

Castlelake Aircraft Structured Trust, Class B, Series 2019-1, 5.10%, 4/15/39(a)

     178,428  

392,895

    

Castlelake Aircraft Structured Trust, Class A, Series 2019-1, 3.97%, 4/15/39(a)

     392,890  

542,801

    

CF Hippolyta LLC, Class A1, Series 2021-A, 1.53%, 3/15/61, Callable 3/15/24 @ 100(a)

     546,175  
Principal
Amount
           Value       
Asset Backed Securities, continued   

$552,945

    

DB Master Finance LLC, Class A2II, Series 2017-1A, 4.03%, 11/20/47, Callable 11/20/23 @ 100(a)

   $        584,638  

329,065

    

DB Master Finance LLC, Class A2I, Series 2017-1A, 3.63%, 11/20/47, Callable 11/20/21 @ 100(a)

     330,422  

205,447

    

Horizon Aircraft Finance, Ltd., Class A, Series 2018-1, 4.46%, 12/15/38(a)

     205,538  

219,715

    

Horizon Aircraft Finance, Ltd., Class A, Series 2019-1, 3.72%, 7/15/39(a)

     220,242  

331,103

    

Planet Fitness Master Issuer LLC, Class A2, Series 1A, 3.86%, 12/5/49, Callable 12/5/25 @ 100(a)

     336,307  

376,885

    

Project Silver, Class A, Series 2019-1, 3.97%, 7/15/44(a)

     373,620  

233,783

    

Sapphire Aviation Finance, Ltd., Class B, Series 2020-1A, 4.34%, 3/15/40(a)

     205,094  

364,069

    

Sapphire Aviation Finance, Ltd., Class A, Series 2020-1A, 3.23%, 3/15/40(a)

     360,986  

537,250

    

Thunderbolt Aircraft Lease, Ltd., Class A, Series 2018, 4.15%, 9/15/38(a)(b)

     533,957  

549,528

    

Thunderbolt Aircraft Lease, Ltd., Class A, Series 2019-1, 3.67%, 11/15/39(a)

     544,281  

373,748

    

Thunderbolt Aircraft Lease, Ltd., Class A, Series 2017-A, 4.21%, 5/17/32, Callable 4/15/24 @ 100(a)(b)

     376,317  
       

 

 

 

Total Asset Backed Securities (Cost $9,710,513)

     9,528,196  
  

 

 

 

Collateralized Mortgage Obligations (7.4%):   

280,000

    

AIMCO CLO 11, Ltd., Class A, Series 2020-11A, 1.51%(US0003M+138bps), 10/15/31, Callable 10/15/21 @ 100(a)

     280,073  

440,000

    

Aimco CLO 12, Ltd., Class A, Series 2020-12A, 1.34%(US0003M+121bps), 1/17/32, Callable 1/17/22 @ 100(a)

     439,999  

460,000

    

Aimco CLO 14, Ltd., Class A, Series 2021-14A, 1.19%(US0003M+99bps), 4/20/34, Callable 4/20/23 @ 100(a)

     459,657  

250,000

    

Allegany Park CLO, Ltd., Class A, Series 2019-1A, 1.46%(US0003M+133bps), 1/20/33, Callable 1/20/22 @ 100(a)

     250,240  

273,000

    

Allegro CLO XIII, Ltd., Class A, Series 2021-1A, 1.29%(US0003M+114bps), 7/20/34, Callable 7/20/23 @ 100(a)

     273,196  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Collateralized Mortgage Obligations, continued   

$393,000

    

Ares CLO, Ltd., Class A, Series 2019-54A, 1.45%(US0003M+132bps), 10/15/32, Callable 10/15/21 @ 100(a)

   $        393,053  

250,000

    

Ares CLO, Ltd., Class AR2, Series 2015-2A, 1.38%(US0003M+125bps), 4/17/33, Callable 10/17/21 @ 100(a)

     250,137  

342,000

    

Ares LV CLO, Ltd., Class A1R, Series 2020-55A, 1.26%(US0003M+113bps), 7/15/34, Callable 7/15/23 @ 100(a)

     342,368  

360,000

    

Ares LVIII CLO, Ltd., Class A, Series 2020-58A, 1.35%(US0003M+122bps), 1/15/33, Callable 1/15/22 @ 100(a)

     360,296  

387,000

    

Ares XLI CLO, Ltd., Class AR2, Series 2016-41A, 1.20%(US0003M+107bps), 4/15/34, Callable 4/15/23 @ 100(a)

     387,179  

340,000

    

BAMLL Commercial Mortgage Securities Trust, Class A, Series 2020-JGDN, 2.83%(US0001M+275bps), 11/15/25(a)

     344,716  

273,000

    

BAMLL Commercial Mortgage Securities Trust, Class ANM, Series 2019-BPR, 3.11%, 11/5/32(a)

     282,268  

100,000

    

BAMLL Commercial Mortgage Securities Trust, Class BNM, Series 2019-BPR, 3.47%, 11/5/32(a)

     99,320  

43,000

    

Bank, Class A5, Series 2019-BN21, 2.85%, 10/15/52, Callable 9/15/29 @ 100

     45,617  

250,000

    

Barings CLO, Ltd., Class AR, Series 2020-1A(US0003M+115bps), 10/15/36(a)

     250,000  

440,000

    

Barings CLO, Ltd., Class A, Series 2020-4A, 1.35%(US0003M+122bps), 1/20/32, Callable 1/20/22 @ 100(a)

     440,054  

443,000

    

Barings CLO, Ltd., Class A1, Series 2020-1A, 1.53%(US0003M+140bps), 10/15/32, Callable 10/15/21 @ 100(a)

     443,000  

272,000

    

Beechwood Park CLO, Ltd., Class A1, Series 2019-1A, 1.46%(US0003M+133bps), 1/17/33, Callable 1/17/22 @ 100(a)

     272,323  

49,000

    

Benchmark Mortgage Trust, Class A5, Series 2018-B4, 4.12%, 7/15/51(b)

     55,824  

331,000

    

Bethpage Park CLO, Ltd., Class A, Series 2021-1A(US0003M+113bps), 1/15/35(a)

         331,000  
Principal
Amount
           Value       
Collateralized Mortgage Obligations, continued   

$201,000

    

BFLD Trust, Class A, Series 2020-OBRK, 2.13%(US0001M+205bps), 11/15/22(a)

   $        202,988  

461,000

    

Bristol Park CLO, Ltd., Class AR, Series 2016-1A, 1.12%(US0003M+99bps), 4/15/29, Callable 10/15/21 @ 100(a)

     460,246  

494,855

    

BX Commercial Mortgage Trust, Class E, Series 2019-XL, 1.88%(US0001M+180bps), 10/15/36(a)

     495,300  

248,311

    

BX Commercial Mortgage Trust, Class C, Series 2019-XL, 1.33%(US0001M+125bps), 10/15/36(a)

     248,460  

256,204

    

BX Commercial Mortgage Trust, Class D, Series 2020-BXLP, 1.33%(US0001M+125bps), 12/15/29(a)

     256,121  

197,942

    

BX Commercial Mortgage Trust, Class B, Series 2019-XL, 1.16%(US0001M+108bps), 10/15/36(a)

     198,061  

195,378

    

BX Commercial Mortgage Trust, Class E, Series 2020-BXLP, 1.68%(US0001M+160bps), 12/15/29(a)

     195,316  

165,887

    

BX Commercial Mortgage Trust, Class C, Series 2020-BXLP, 1.20%(US0001M+112bps), 12/15/29(a)

     165,834  

284,514

    

BX Commercial Mortgage Trust, Class A, Series 2020-FOX, 1.08%(US0001M+100bps), 11/15/32(a)

     284,631  

573,232

    

BX Commercial Mortgage Trust, Class A, Series 2020-BXLP, 0.88%(US0001M+80bps), 12/15/29(a)

     573,783  

352,584

    

BX Commercial Mortgage Trust, Class D, Series 2019-XL, 1.53%(US0001M+145bps), 10/15/36(a)

     352,901  

140,824

    

BX Commercial Mortgage Trust, Class D, Series 2018-EXCL, 2.71%(US0001M+263bps), 9/15/37(a)

     119,024  

400,000

    

BX Commercial Mortgage Trust, Class A, Series 2019-IMC, 1.08%(US0001M+100bps), 4/15/34(a)

     400,000  

266,000

    

BX Commercial Mortgage Trust, Class B, Series 2019-IMC, 1.38%(US0001M+130bps), 4/15/34(a)

     265,840  

146,300

    

BX Commercial Mortgage Trust, Class F, Series 2018-IND, 1.88%(US0001M+180bps), 11/15/35(a)

     146,329  

185,000

    

BX Commercial Mortgage Trust, Class D, Series 2019-IMC, 1.98%(US0001M+190bps), 4/15/34(a)

         183,847  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Collateralized Mortgage Obligations, continued   

$209,202

    

BX Commercial Mortgage Trust, Class B, Series 2020-BXLP, 1.08%(US0001M+100bps), 12/15/29(a)

   $        209,135  

176,000

    

BX Commercial Mortgage Trust, Class C, Series 2019-IMC, 1.68%(US0001M+160bps), 4/15/34(a)

     175,452  

283,374

    

Cascade Funding Mortgage Trust, Class A, Series 2021-HB6, 0.90%, 6/25/36, Callable 6/25/22 @ 100(a)(b)

     283,464  

346,000

    

Cedar Funding CLO, Ltd., Class A, Series 2019-10A, 1.47%(US0003M+134bps), 10/20/32, Callable 10/20/21 @ 100(a)

     346,000  

336,000

    

Cedar Funding VI CLO, Ltd., Class AAA, Series 2016-6A, 1.18%(US0003M+105bps), 4/20/34, Callable 4/20/23 @ 100(a)

     336,366  

264,000

    

Cedar Funding X CLO, Ltd., Class AR, Series 2019-10A(US0003M+110bps), 10/20/32(a)

     264,000  

250,000

    

Cedar Funding XII CLO, Ltd., Class A, Series 2020-12A, 1.40%(US0003M+127bps), 10/25/32, Callable 10/25/21 @ 100(a)

     250,022  

622,457

    

CHC Commercial Mortgage Trust, Class A, Series 2019-CHC, 1.20%(US0001M+112bps), 6/15/34(a)

     622,456  

122,109

    

CHC Commercial Mortgage Trust, Class B, Series 2019-CHC, 1.58%(US0001M+150bps), 6/15/34(a)

     121,978  

137,993

    

CHC Commercial Mortgage Trust, Class C, Series 2019-CHC, 1.83%(US0001M+175bps), 6/15/34(a)

     137,646  

100,000

    

CIM Retail Portfolio Trust, Class B, Series 2021-RETL, 1.98%(US0001M+190bps), 8/15/36(a)

     99,997  

100,000

    

CIM Retail Portfolio Trust, Class C, Series 2021-RETL, 2.38%(US0001M+230bps), 8/15/36(a)

     99,994  

100,000

    

CIM Retail Portfolio Trust, Class D, Series 2021-RETL, 3.13%(US0001M+305bps), 8/15/36(a)

     99,989  

291,000

    

CIM Retail Portfolio Trust, Class A, Series 2021-RETL, 1.48%(US0001M+140bps), 8/15/36(a)

     291,416  

370,000

    

Columbia Cent CLO 29, Ltd., Class A1N, Series 2020-29A, 1.83%(US0003M+170bps), 7/20/31, Callable 1/20/22 @ 100(a)

     370,814  
Principal
Amount
           Value       
Collateralized Mortgage Obligations, continued   

$580,000

    

Columbia Cent CLO 30, Ltd., Class A1, Series 2020-30A, 1.44%(US0003M+131bps), 1/20/34, Callable 4/20/23 @ 100(a)

   $        580,720  

440,000

    

Columbia Cent CLO 31, Ltd., Class A1, Series 2021-31A, 1.33%(US0003M+120bps), 4/20/34, Callable 7/20/23 @ 100(a)

     439,510  

83,000

    

Commercial Mortgage Trust, Class A5, Series 2014-CR18, 3.83%, 7/15/47, Callable 6/15/24 @ 100

     89,110  

205,000

    

Credit Suisse Mortgage Capital Certificates, Class B, Series 2019-ICE4, 1.31%(US0001M+123bps), 5/15/36(a)

     205,107  

119,000

    

Credit Suisse Mortgage Capital Certificates, Class A, Series 2020-NET, 2.26%, 8/15/37(a)

     121,866  

309,000

    

CSMC Trust, Class A, Series 2018, 4.28%, 4/15/36(a)

     321,576  

100,000

    

CSMC Trust, Class B, Series 2018, 4.53%, 4/15/36(a)

     103,197  

1,384,000

    

CSMC Trust, Class D, Series 2017-PFHP, 2.33%(US0001M+225bps), 12/15/30(a)

     1,377,551  

100,000

    

CSMC Trust, Class C, Series 2018, 4.78%, 4/15/36(a)

     102,254  

128,000

    

CSMC Trust, Class D, Series 2018, 4.78%, 4/15/36(a)

     128,846  

500,000

    

Dryden 76 CLO, Ltd., Class A1, Series 2019-76A, 1.46%(US0003M+133bps), 10/20/32, Callable 10/20/21 @ 100(a)

     500,135  

250,000

    

Dryden 83 CLO, Ltd., Class A, Series 2020-83A, 1.35%(US0003M+122bps), 1/18/32, Callable 1/18/22 @ 100(a)

     250,136  

276,000

    

Dryden 85 CLO, Ltd., Class AR, Series 2020-85A(US0003M+115bps), 10/15/35(a)

     276,000  

323,000

    

Dryden 85 CLO, Ltd., Class A1, Series 2020-85A, 1.48%(US0003M+135bps), 10/15/32, Callable 10/15/21 @ 100(a)

     323,000  

300,000

    

Dryden CLO, Ltd., Class A, Series 2020-78A, 1.31%(US0003M+118bps), 4/17/33, Callable 4/17/22 @ 100(a)

     300,248  

250,000

    

Eaton Vance CLO, Ltd., Class A13R, Series 2013-1A, 1.38%(US0003M+125bps), 1/15/34, Callable 1/15/23 @ 100(a)

     250,616  

460,000

    

Eaton Vance CLO, Ltd., Class A1, Series 2020-2A, 1.50%(US0003M+137bps), 10/15/32, Callable 1/15/22 @ 100(a)

     460,377  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Collateralized Mortgage Obligations, continued   

$213,887

    

Extended Stay America Trust, Class A, Series 2021-ESH, 1.16%(US0001M+108bps), 7/15/38(a)

   $        214,486  

134,301

    

Extended Stay America Trust, Class D, Series 2021-ESH, 2.33%(US0001M+225bps), 7/15/38(a)

     135,475  

99,482

    

Extended Stay America Trust, Class C, Series 2021-ESH, 1.78%(US0001M+170bps), 7/15/38(a)

     100,163  

121,369

    

Extended Stay America Trust, Class B, Series 2021-ESH, 1.46%(US0001M+138bps), 7/15/38(a)

     121,899  

430,000

    

Flatiron CLO 20, Ltd., Class A, Series 2020-1A, 1.43%(US0003M+130bps), 11/20/33, Callable 11/20/22 @ 100(a)

     430,640  

250,000

    

Flatiron CLO 21, Ltd., Class A1, Series 2021-1A, 1.26%(US0003M+111bps), 7/19/34, Callable 7/19/23 @ 100(a)

     250,233  

438,000

    

Flatiron CLO, Ltd., Class A, Series 2019-1A, 1.44%(US0003M+132bps), 11/16/32, Callable 11/16/21 @ 100(a)

     438,000  

264,000

    

GS Mortgage Securities Corp. Trust, Class A, Series 2021-IP, 1.05%(US0001M+95bps), 10/15/36(a)

     264,000  

100,000

    

GS Mortgage Securities Corp. Trust, Class B, Series 2021-IP, 1.25%(US0001M+115bps), 10/15/36(a)

     100,000  

133,000

    

J.P. Morgan Chase Commercial Mortgage Securities Trust, Class EFX, Series 2018-WPT, 5.54%, 7/5/23(a)

     137,447  

97,000

    

J.P. Morgan Chase Commercial Mortgage Securities Trust, Class DFX, Series 2018-WPT, 5.35%, 7/5/23(a)

     101,631  

63,000

    

J.P. Morgan Chase Commercial Mortgage Securities Trust, Class CFX, Series 2018-WPT, 4.95%, 7/5/23(a)

     66,093  

395,000

    

Life Mortgage Trust, Class A, Series 2021-BMR, 0.78%(US0001M+70bps), 3/15/38(a)

     395,352  

100,000

    

Life Mortgage Trust, Class C, Series 2021-BMR, 1.18%(US0001M+110bps), 3/15/38(a)

     100,088  

100,000

    

Life Mortgage Trust, Class D, Series 2021-BMR, 1.48%(US0001M+140bps), 3/15/38(a)

     100,044  

100,000

    

Life Mortgage Trust, Class B, Series 2021-BMR, 0.96%(US0001M+88bps), 3/15/38(a)

     100,088  
Principal
Amount
           Value       
Collateralized Mortgage Obligations, continued   

$100,000

    

Life Mortgage Trust, Class E, Series 2021-BMR, 1.83%(US0001M+175bps), 3/15/38(a)

   $        100,043  

250,000

    

Lucali CLO, Ltd., Class A, Series 2020-1A, 1.34%(US0003M+121bps), 1/15/32, Callable 1/15/22 @ 100(a)

     250,190  

460,000

    

Madison Park Funding L, Ltd., Class A, Series 2021-50A, 1.34%(US0003M+114bps), 4/19/34, Callable 4/19/23 @ 100(a)

     461,143  

250,000

    

Madison Park Funding XLV, Ltd., Class AR, Series 2020-45A, 1.25%(US0003M+112bps), 7/15/34, Callable 7/15/23 @ 100(a)

     250,345  

279,850

    

Madison Park Funding, Ltd., Class A1R2, Series 2015-19A, 1.06%(US0003M+92bps), 1/22/28, Callable 10/22/21 @ 100(a)

     279,924  

250,000

    

Madison Park Funding, Ltd., Class A, Series 2019-33A, 1.46%(US0003M+133bps), 10/15/32, Callable 1/15/22 @ 100(a)

     250,396  

325,000

    

Magnetite XXI, Ltd., Class AR, Series 2019-21A, 1.15%(US0003M+102bps), 4/20/34, Callable 4/20/22 @ 100(a)

     324,762  

400,000

    

Magnetite Xxix, Ltd., Class A, Series 2021-29A, 1.12%(US0003M+99bps), 1/15/34, Callable 1/15/22 @ 100(a)

     400,024  

250,000

    

Magnetite XXVII, Ltd., Class AR, Series 2020-27A, 1.27%(US0003M+114bps), 10/20/34(a)

     250,051  

590,000

    

Magnetite, Ltd., Class A, Series 24, 1.46%(US0003M+133bps), 1/15/33, Callable 1/15/22 @ 100(a)

     590,304  

464,000

    

Milos CLO, Ltd., Class AR, Series 2017-1A, 1.20%(US0003M+107bps), 10/20/30, Callable 10/20/21 @ 100(a)

     464,012  

86,000

    

Morgan Stanley Capital I Trust, Class B, Series 2019-Mead, 3.18%, 11/10/36, Callable 11/10/24 @ 100(a)

     88,165  

82,000

    

Morgan Stanley Capital I Trust, Class C, Series 2019-Mead, 3.28%, 11/10/36, Callable 11/10/24 @ 100(a)(b)

     82,967  

361,287

    

Morgan Stanley Capital I Trust, Class B, Series 2018-BOP, 1.33%(US0001M+125bps), 6/15/35(a)

     362,299  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Collateralized Mortgage Obligations, continued   

$200,000

    

Morgan Stanley Capital I Trust, Class A4, Series 2018-H4, 4.31%, 12/15/51, Callable 12/15/28 @ 100

   $        229,176  

593,000

    

Morgan Stanley Capital I Trust, Class A, Series 2019-Mead, 3.17%, 11/10/36, Callable 11/10/24 @ 100(a)

     618,635  

870,944

    

Morgan Stanley Capital I Trust, Class C, Series 2018-BOP, 1.58%(US0001M+150bps), 6/15/35(a)

     870,944  

250,000

    

Peace Park CLO, Ltd., Class A, Series 2021-1A, 1.27%(US0003M+113bps), 10/20/34(a)

     250,012  

209,615

    

Prima Capital CRE Securitization, Class A, Series 2021-9A, 1.54%(US0001M+145bps), 12/15/37(a)

     209,615  

470,000

    

Rockland Park CLO, Ltd., Class A, Series 2021-1A(US0003M+112bps), 4/20/34(a)

     470,511  

260,000

    

Symphony CLO XXIII, Ltd., Class A, Series 2020-23A, 1.45%(US0003M+132bps), 1/15/34, Callable 1/15/22 @ 100(a)

     260,181  

350,000

    

Symphony CLO XXVI, Ltd., Class AR, Series 2021-26A, 1.21%(US0003M+108bps), 4/20/33, Callable 4/20/22 @ 100(a)

     349,726  

304,000

    

Taconic Park CLO, Ltd., Class A1R, Series 2016-1A, 1.13%(US0003M+100bps), 1/20/29, Callable 10/20/21 @ 100(a)

     304,157  

20,000

    

VLS Commercial Mortgage Trust, Class B, Series 2020-LAB, 2.45%, 10/10/42(a)

     20,059  

370,000

    

VLS Commercial Mortgage Trust, Class A, Series 2020-LAB, 2.13%, 10/10/42(a)

     368,246  

250,000

    

Voya CLO, Ltd., Class A1R, Series 2020-2A, 1.25%(US0003M+116bps), 7/19/34, Callable 7/19/23 @ 100(a)

     250,040  

444,000

    

Voya CLO, Ltd., Class AR, Series 2020-3A(US0003M+115bps), 10/20/34(a)

     444,000  

250,000

    

Voya CLO, Ltd., Class AR, Series 2020-1A, 1.26%(US0003M+115bps), 7/16/34, Callable 7/16/23 @ 100(a)

     250,089  

516,000

    

Voya CLO, Ltd., Class A, Series 2019-2, 1.40%(US0003M+127bps), 7/20/32, Callable 10/20/21 @ 100(a)

     516,024  
Principal
Amount
           Value       
Collateralized Mortgage Obligations, continued   

$570,000

    

Voya CLO, Ltd., Class A1, Series 2020-3A, 1.43%(US0003M+130bps), 10/20/31, Callable 10/20/21 @ 100(a)

   $        570,000  

234,000

    

Wells Fargo Commercial Mortgage Trust, Class A5, Series 2018-C48, 4.30%, 1/15/52, Callable 12/15/28 @ 100

     269,488  

261,000

    

Wells Fargo Commercial Mortgage Trust, Class A, Series 2021-FCMT, 1.28%(US0001M+120bps), 5/15/31(a)

     261,816  
       

 

 

 

Total Collateralized Mortgage Obligations (Cost $33,723,435)

     33,810,962  
  

 

 

 

Convertible Bonds (0.2%):   
Entertainment (0.0%):   

37,000

    

Live Nation Entertainment, Inc., 2.00%, 2/15/25

     42,618  
       

 

 

 

Hotels, Restaurants & Leisure (0.1%):   

54,000

    

Booking Holdings, Inc., 0.75%, 5/1/25^

     79,564  

40,000

    

Vail Resorts, Inc., 0.00%, 1/1/26^(a)

     42,553  
       

 

 

 

          122,117  
       

 

 

 

Leisure Products (0.0%):   

28,000

    

Callaway Golf Co., 2.75%, 5/1/26

     48,919  
       

 

 

 

Oil, Gas & Consumable Fuels (0.1%):   

74,153

    

Mesquite Energy, Inc., 15.00%, 7/15/23(d)

     240,256  

43,500

    

Mesquite Energy, Inc., 15.00%, 7/15/23(d)

     155,295  
       

 

 

 

          395,551  
       

 

 

 

Professional Services (0.0%):   

23,000

    

FTI Consulting, Inc., 2.00%, 8/15/23

     32,503  

33,000

    

KBR, Inc., 2.50%, 11/1/23

     52,997  
       

 

 

 

          85,500  
       

 

 

 

Semiconductors & Semiconductor Equipment (0.0%):   

13,000

    

ON Semiconductor Corp., 1.63%, 10/15/23

     29,787  
  

 

 

 

Total Convertible Bonds (Cost $404,038)

     724,492  
  

 

 

 

Bank Loans (0.1%):   
Chemicals (0.0%):   

25,000

    

Consolidated Energy Term Loan, 0.00%, 12/31/99

     24,375  

10,000

    

Diversey Term B, 0.00%, 9/14/28

     10,007  
       

 

 

 

          34,382  
       

 

 

 

Construction & Engineering (0.0%):   

1,732

    

DG Investment Intermediate Holdings 2, Inc., 0.00%, 3/17/28

     1,738  

8,268

    

DG Investment Intermediate Holdings 2, Inc., 0.00%, 3/31/28

     8,296  

50,000

    

DG Investment Intermediate Holdings 2, Inc., 0.00%, 3/18/29

     50,250  
       

 

 

 

          60,284  
       

 

 

 

Diversified Financial Services (0.1%):   

195,130

    

Intelsat Jackson Holdings S.A., 0.00%, 7/13/22

     196,267  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Bank Loans, continued   
Diversified Financial Services, continued   

$15,000

    

Intelsat Jackson Holdings S.A., 0.00%, 1/2/24

   $          15,216  
       

 

 

 

          211,483  
       

 

 

 

Hotels, Restaurants & Leisure (0.0%):   

110,000

    

City Football Group, Ltd., 4.00%, 7/9/28, Callable 11/10/21 @ 101

     109,450  

76,242

    

Diamond Sports Group, LLC, 0.00%, 8/24/26, Callable 11/10/21 @ 100

     47,322  
       

 

 

 

          156,772  
       

 

 

 

Software (0.0%):   

6,771

    

Ion Analytics, Inc., 0.00%, 2/4/28

     6,789  

84,364

    

Ultimate Software Group, Inc. (The), 0.04%, 5/3/26, Callable 11/10/21 @ 100

     84,483  
       

 

 

 

          91,272  
  

 

 

 

Total Bank Loans (Cost $543,833)

     554,193  
  

 

 

 

Corporate Bonds (32.2%):   
Aerospace & Defense (0.6%):   

214,000

    

Boeing Co. (The), 5.04%, 5/1/27, Callable 3/1/27 @ 100

     245,802  

214,000

    

Boeing Co. (The), 5.15%, 5/1/30, Callable 2/1/30 @ 100

     250,199  

200,000

    

Boeing Co. (The), 5.71%, 5/1/40, Callable 11/1/39 @ 100

     254,417  

200,000

    

Boeing Co. (The), 5.81%, 5/1/50, Callable 11/1/49 @ 100

     265,805  

210,000

    

Boeing Co. (The), 5.93%, 5/1/60, Callable 11/1/59 @ 100

     285,884  

125,000

    

BWX Technologies, Inc., 4.13%, 6/30/28, Callable 6/30/23 @ 102.06(a)

     128,125  

170,000

    

BWX Technologies, Inc., 4.13%, 4/15/29, Callable 4/15/24 @ 102.06(a)

     174,250  

5,000

    

Howmet Aerospace, Inc., 5.95%, 2/1/37

     6,225  

65,000

    

Moog, Inc., 4.25%, 12/15/27, Callable 12/15/22 @ 103.19(a)

     66,950  

60,000

    

TransDigm, Inc., 6.88%, 5/15/26, Callable 11/8/21 @ 105.16

     63,075  

60,000

    

TransDigm, Inc., 6.38%, 6/15/26, Callable 11/8/21 @ 103.19

     62,025  

55,000

    

TransDigm, Inc., 7.50%, 3/15/27, Callable 3/15/22 @ 103.75

     57,750  

610,000

    

TransDigm, Inc., 5.50%, 11/15/27, Callable 11/15/22 @ 102.75

     628,300  

115,000

    

TransDigm, Inc., 4.88%, 5/1/29, Callable 5/1/24 @ 102.44

     115,000  
       

 

 

 

          2,603,807  
       

 

 

 

Air Freight & Logistics (0.1%):   

100,000

    

Cargo Aircraft Management, Inc., 4.75%, 2/1/28, Callable 2/1/23 @ 102.38(a)

     103,625  

205,000

    

XPO Logistics, Inc., 6.25%, 5/1/25, Callable 5/1/22 @ 103.13(a)

     215,250  
       

 

 

 

          318,875  
       

 

 

 

Automobiles (0.2%):   

55,000

    

Magic Mergeco, Inc., 5.25%, 5/1/28, Callable 11/1/23 @ 102.63(a)

     56,375  

105,000

    

Magic Mergeco, Inc., 7.88%, 5/1/29, Callable 5/1/24 @ 103.94(a)

     109,200  
Principal
Amount
           Value       
Corporate Bonds, continued   
Automobiles, continued   

$354,000

    

Volkswagen Group of America Finance LLC, 2.90%, 5/13/22(a)

   $        359,680  

309,000

    

Volkswagen Group of America Finance LLC, 3.13%, 5/12/23(a)

     321,110  
       

 

 

 

          846,365  
       

 

 

 

Banks (2.5%):   

656,000

    

Bank of America Corp., 4.20%, 8/26/24, MTN

     716,749  

612,000

    

Bank of America Corp., Series L, 3.95%, 4/21/25

     666,931  

128,000

    

Bank of America Corp., Series G, 4.45%, 3/3/26

     143,140  

930,000

    

Bank of America Corp., 2.30%, 7/21/32, Callable 7/21/31 @ 100

     912,718  

100,000

    

CIT Group, Inc., 3.93% (SOFR+4 bps), 6/19/24, Callable 6/19/23 @ 100

     104,500  

245,000

    

CIT Group, Inc., 6.13%, 3/9/28

     296,144  

1,090,000

    

Citigroup, Inc., Series V, 4.05%, 7/30/22

     1,123,213  

393,000

    

Citigroup, Inc., 3.35% (US0003M+90 bps), 4/24/25, Callable 4/24/24 @ 100

     418,173  

1,642,000

    

Citigroup, Inc., 4.30%, 11/20/26

     1,848,409  

200,000

    

Citizens Financial Group, Inc., 2.64%, 9/30/32, Callable 7/2/32 @ 100

     201,223  

2,994,000

    

JPMorgan Chase & Co., 3.88%, 9/10/24

     3,252,349  

267,000

    

JPMorgan Chase & Co., 2.96% (SOFR+252 bps), 5/13/31, Callable 5/13/30 @ 100

     276,807  

296,000

    

Wells Fargo & Co., 2.41% (US0003M+83 bps), 10/30/25, Callable 10/30/24 @ 100, MTN

     307,766  

938,000

    

Wells Fargo & Co., 4.48% (US0003M+4 bps), 4/4/31, Callable 4/4/30 @ 100, MTN

     1,092,313  
       

 

 

 

          11,360,435  
       

 

 

 

Beverages (0.6%):   

500,000

    

Anheuser-Busch InBev Worldwide, Inc., 3.50%, 6/1/30, Callable 3/1/30 @ 100

     547,713  

220,000

    

Anheuser-Busch InBev Worldwide, Inc., 4.35%, 6/1/40, Callable 12/1/39 @ 100

     254,841  

500,000

    

Anheuser-Busch InBev Worldwide, Inc., 4.50%, 6/1/50, Callable 12/1/49 @ 100

     594,230  

509,000

    

Anheuser-Busch InBev Worldwide, Inc., 4.75%, 4/15/58, Callable 10/15/57 @ 100

     629,351  

523,000

    

Anheuser-Busch InBev Worldwide, Inc., 5.80%, 1/23/59, Callable 7/23/58 @ 100

     741,449  

30,000

    

Triton Water Holdings, Inc., 6.25%, 4/1/29, Callable 4/1/24 @ 103.13(a)

     30,525  
       

 

 

 

          2,798,109  
       

 

 

 

Biotechnology (0.3%):   

1,489,000

    

AbbVie, Inc., 3.45%, 3/15/22, Callable 1/15/22 @ 100

     1,503,893  
       

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Corporate Bonds, continued   
Building Products (0.1%):   

$255,000

    

Advanced Drainage Systems, Inc., 5.00%, 9/30/27, Callable 9/30/22 @ 102.5(a)

   $        264,881  

15,000

    

Roller Bearing Co. of America, Inc., 4.38%, 10/15/29, Callable 10/15/24 @ 102.19(a)

     15,375  
       

 

 

 

          280,256  
       

 

 

 

Capital Markets (2.1%):   

282,000

    

Affiliated Managers Group, Inc., 4.25%, 2/15/24

     305,302  

572,000

    

Affiliated Managers Group, Inc., 3.50%, 8/1/25

     618,269  

706,000

    

Ares Capital Corp., 4.20%, 6/10/24, Callable 5/10/24 @ 100

     755,420  

751,000

    

Ares Capital Corp., 3.88%, 1/15/26, Callable 12/15/25 @ 100

     802,774  

140,000

    

Coinbase Global, Inc., 3.38%, 10/1/28, Callable 10/1/24 @ 101.69(a)

     135,100  

140,000

    

Coinbase Global, Inc., 3.63%, 10/1/31, Callable 10/1/26 @ 101.81(a)

     133,700  

1,140,000

    

Goldman Sachs Group, Inc. (The), 3.80%, 3/15/30, Callable 12/15/29 @ 100

     1,267,188  

510,000

    

Goldman Sachs Group, Inc. (The), 2.38%, 7/21/32, Callable 7/21/31 @ 100

     503,740  

194,000

    

Goldman Sachs Group, Inc. (The), 6.75%, 10/1/37

     276,970  

70,000

    

HAT Holdings I LLC / HAT Holdings II LLC, 3.38%, 6/15/26, Callable 3/15/26 @ 100(a)

     71,050  

25,000

    

LCM Investments Holdings II LLC, 4.88%, 5/1/29, Callable 5/1/24 @ 102.44(a)

     25,625  

25,000

    

ModivCare Escrow Issuer, Inc., 5.00%, 10/1/29, Callable 10/1/24 @ 102.5(a)

     25,781  

2,124,000

    

Morgan Stanley, 3.74% (US0003M+85 bps), 4/24/24, Callable 4/24/23 @ 100

     2,229,034  

632,000

    

Morgan Stanley, 3.62% (SOFR+312 bps), 4/1/31, Callable 4/1/30 @ 100

     697,200  

45,000

    

MSCI, Inc., 3.25%, 8/15/33, Callable 8/15/27 @ 101.63(a)

     45,337  

190,000

    

Navios South American Logistics, Inc. / Navios Logistics Finance US, Inc., 10.75%, 7/1/25, Callable 8/1/22 @ 108.06(a)

     207,474  

200,000

    

Olympus Water US Holding Corp., 4.25%, 10/1/28, Callable 10/1/24 @ 102.13(a)

     196,500  

457,000

    

Pine Street Trust I, 4.57%, 2/15/29, Callable 11/15/28 @ 100(a)

     521,354  

500,000

    

Pine Street Trust II, 5.57%, 2/15/49, Callable 8/15/48 @ 100(a)

     653,774  

20,000

    

Real Hero Merger Sub 2, Inc., 6.25%, 2/1/29, Callable 2/1/24 @ 103.13(a)

     20,700  

50,000

    

US Renal Care, Inc., 10.63%, 7/15/27, Callable 7/15/22 @ 105.31(a)

     53,250  
Principal
Amount
           Value       
Corporate Bonds, continued   
Capital Markets, continued   

$80,000

    

Victors Merger Corp., 6.38%, 5/15/29, Callable 5/15/24 @ 103.19(a)

   $          76,400  
       

 

 

 

          9,621,942  
       

 

 

 

Chemicals (0.4%):   

165,000

    

CF Industries, Inc., 5.15%, 3/15/34

     201,712  

16,000

    

CF Industries, Inc., 4.95%, 6/1/43

     19,260  

259,000

    

CF Industries, Inc., 5.38%, 3/15/44

     328,930  

170,000

    

Chemours Co., 5.38%, 5/15/27, Callable 2/15/27 @ 100

     182,750  

355,000

    

Chemours Co. (The), 5.75%, 11/15/28, Callable 11/15/23 @ 102.88(a)

     371,863  

25,000

    

Diamond BC BV, 4.63%, 10/1/29, Callable 10/1/24 @ 102.31(a)

     25,375  

125,000

    

Olin Corp., 5.00%, 2/1/30, Callable 2/1/24 @ 102.5

     132,812  

60,000

    

Scotts Miracle-GRO Co. (The), 4.38%, 2/1/32, Callable 8/1/26 @ 102.19(a)

     60,300  

35,000

    

Valvoline, Inc., 4.25%, 2/15/30, Callable 2/15/25 @ 102.13(a)

     36,181  

135,000

    

Valvoline, Inc., 3.63%, 6/15/31, Callable 6/15/26 @ 101.81(a)

     133,650  

80,000

    

WR Grace Holdings LLC, 4.88%, 6/15/27, Callable 6/15/23 @ 102.44(a)

     82,067  

55,000

    

WR Grace Holdings LLC, 5.63%, 8/15/29, Callable 8/15/24 @ 102.81(a)

     56,788  
       

 

 

 

          1,631,688  
       

 

 

 

Commercial Services & Supplies (0.1%):   

55,000

    

ADT Security Corp. (The), 4.13%, 8/1/29, Callable 8/1/28 @ 100(a)

     54,519  

165,000

    

Aramark Services, Inc., 5.00%, 2/1/28, Callable 2/1/23 @ 102.5(a)

     169,950  

35,000

    

Legends Hospitality Holding Co. LLC / Legends Hospitality Co-Issuer, Inc., 5.00%, 2/1/26, Callable 2/1/23 @ 102.5(a)

     35,831  

35,000

    

Pitney Bowes, Inc., 6.88%, 3/15/27, Callable 3/15/24 @ 103.44(a)

     36,837  

70,000

    

Pitney Bowes, Inc., 7.25%, 3/15/29, Callable 3/15/24 @ 103.63^(a)

     73,675  

120,000

    

Stericycle, Inc., 3.88%, 1/15/29, Callable 11/15/23 @ 101.94(a)

     120,750  
       

 

 

 

          491,562  
       

 

 

 

Communications Equipment (0.0%):   

90,000

    

CommScope, Inc., 4.75%, 9/1/29, Callable 9/1/24 @ 102.38(a)

     90,113  

115,000

    

Viavi Solutions, Inc., 3.75%, 10/1/29, Callable 10/1/24 @ 101.88(a)

     115,000  
       

 

 

 

          205,113  
       

 

 

 

Construction & Engineering (0.2%):   

40,000

    

Arcosa, Inc., 4.38%, 4/15/29, Callable 4/15/24 @ 102.19(a)

     40,500  

280,000

    

Brand Industrial Services, Inc., 8.50%, 7/15/25, Callable 11/8/21 @ 104.25(a)

     280,000  

105,000

    

Dycom Industries, Inc., 4.50%, 4/15/29, Callable 4/15/24 @ 102.25(a)

     105,131  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Corporate Bonds, continued   
Construction & Engineering, continued   

$80,000

    

Global Infrastructure Solutions, Inc., 5.63%, 6/1/29, Callable 6/1/24 @ 102.81(a)

   $          81,600  

35,000

    

Great Lakes Dredge & Dock Corp., 5.25%, 6/1/29, Callable 6/1/24 @ 102.63(a)

     36,225  

235,000

    

Pike Corp., 5.50%, 9/1/28, Callable 9/1/23 @ 102.75(a)

     239,406  
       

 

 

 

          782,862  
       

 

 

 

Consumer Finance (2.7%):   

578,000

    

Ally Financial, Inc., 3.05%, 6/5/23, Callable 5/5/23 @ 100

     600,166  

130,000

    

Ally Financial, Inc., 1.45%, 10/2/23, Callable 9/2/23 @ 100

     131,960  

148,000

    

Ally Financial, Inc., 5.13%, 9/30/24

     165,601  

330,000

    

Ally Financial, Inc., 5.80%, 5/1/25, Callable 4/1/25 @ 100

     379,504  

505,000

    

Ally Financial, Inc., 5.75%, 11/20/25, Callable 10/21/25 @ 100

     577,425  

200,000

    

Ally Financial, Inc., 4.70% (H15T5Y+387 bps), 12/31/99, Callable 5/15/26 @ 100

     210,279  

462,000

    

Capital One Financial Corp., 2.60%, 5/11/23, Callable 4/11/23 @ 100

     477,610  

833,000

    

Capital One Financial Corp., 3.65%, 5/11/27, Callable 4/11/27 @ 100

     920,019  

636,000

    

Capital One Financial Corp., 3.80%, 1/31/28, Callable 12/31/27 @ 100

     708,294  

250,000

    

Discover Bank, Series B, 4.68% (USSW5+173 bps), 8/9/28, Callable 8/9/23 @ 100

     266,123  

1,000,000

    

Discover Financial Services, 5.20%, 4/27/22

     1,026,225  

383,000

    

Discover Financial Services, 4.50%, 1/30/26, Callable 11/30/25 @ 100

     428,868  

355,000

    

Discover Financial Services, 4.10%, 2/9/27, Callable 11/9/26 @ 100

     395,660  

110,000

    

Ford Motor Credit Co LLC, 4.13%, 8/17/27, Callable 6/17/27 @ 100

     116,868  

215,000

    

Ford Motor Credit Co LLC, 4.00%, 11/13/30, Callable 8/13/30 @ 100

     223,770  

496,000

    

Ford Motor Credit Co. LLC, 5.60%, 1/7/22

     501,586  

504,000

    

Ford Motor Credit Co. LLC, 5.58%, 3/18/24, Callable 2/18/24 @ 100

     541,781  

1,490,000

    

Ford Motor Credit Co. LLC, 4.06%, 11/1/24, Callable 10/1/24 @ 100

     1,566,574  

80,000

    

Ford Motor Credit Co. LLC, 5.13%, 6/16/25, Callable 5/16/25 @ 100

     86,799  

240,000

    

Ford Motor Credit Co. LLC, 5.11%, 5/3/29, Callable 2/3/29 @ 100

     268,868  

200,000

    

General Motors Acceptance Corp., 8.00%, 11/1/31

     288,387  

175,000

    

OneMain Finance Corp., 6.88%, 3/15/25

     196,656  

110,000

    

OneMain Finance Corp., 3.50%, 1/15/27, Callable 1/15/24 @ 101.75

     109,450  

100,000

    

OneMain Finance Corp., 3.88%, 9/15/28, Callable 9/15/24 @ 101.94

     99,500  
Principal
Amount
           Value       
Corporate Bonds, continued   
Consumer Finance, continued   

$170,000

    

OneMain Finance Corp., 4.00%, 9/15/30, Callable 9/15/25 @ 102

   $        168,512  

119,000

    

Synchrony Financial, 2.85%, 7/25/22, Callable 6/25/22 @ 100

     121,158  

381,000

    

Synchrony Financial, 4.38%, 3/19/24, Callable 2/19/24 @ 100

     410,839  

577,000

    

Synchrony Financial, 4.25%, 8/15/24, Callable 5/15/24 @ 100

     623,148  

663,000

    

Synchrony Financial, 3.95%, 12/1/27, Callable 9/1/27 @ 100

     730,446  
       

 

 

 

          12,342,076  
       

 

 

 

Containers & Packaging (0.0%):   

5,000

    

Ardagh Packaging Finance plc / Ardagh Holdings USA, Inc., 4.13%, 8/15/26, Callable 8/15/22 @ 102.06(a)

     5,188  

85,000

    

Ball Corp., 3.13%, 9/15/31, Callable 6/15/31 @ 100

     83,725  
       

 

 

 

          88,913  
       

 

 

 

Diversified Consumer Services (0.2%):   

170,000

    

Adtalem Global Education, Inc., 5.50%, 3/1/28, Callable 3/1/24 @ 102.75(a)

     172,125  

32,000

    

Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 Sarl, 4.63%, 6/1/28, Callable 6/1/24 @ 102.31(a)

     31,840  

141,000

    

APX Group, Inc., 6.75%, 2/15/27, Callable 2/15/23 @ 103.38(a)

     149,460  

200,000

    

Ascend Learning LLC, 6.88%, 8/1/25, Callable 11/8/21 @ 101.72(a)

     203,250  

40,000

    

Ascend Learning LLC, 6.88%, 8/1/25, Callable 11/8/21 @ 101.72^(a)

     40,650  

275,000

    

Sotheby’s, 7.38%, 10/15/27, Callable 10/15/22 @ 103.69(a)

     290,812  
       

 

 

 

          888,137  
       

 

 

 

Diversified Financial Services (0.3%):   

85,000

    

Acrisure LLC / Acrisure Finance, Inc., 6.00%, 8/1/29, Callable 8/1/24 @ 103(a)

     83,938  

59,000

    

AXA Equitable Holdings, Inc., 3.90%, 4/20/23, Callable 3/20/23 @ 100

     61,898  

200,000

    

Flex Acquisition Co., Inc., 6.88%, 1/15/25, Callable 11/8/21 @ 101.72(a)

     201,750  

200,000

    

Flex Acquisition Co., Inc., 7.88%, 7/15/26, Callable 11/8/21 @ 103.94(a)

     209,500  

20,000

    

Level 3 Financing, Inc., 3.63%, 1/15/29, Callable 1/15/24 @ 101.81(a)

     19,400  

500,000

    

Peachtree Funding Trust, 3.98%, 2/15/25(a)

     541,474  

70,000

    

Venture Global Calcasieu Pass LLC, 3.88%, 8/15/29, Callable 2/15/29 @ 100(a)

     72,013  

65,000

    

Venture Global Calcasieu Pass LLC, 4.13%, 8/15/31, Callable 2/15/31 @ 100(a)

     67,681  

285,000

    

Voya Financial, Inc., 3.13%, 7/15/24, Callable 5/15/24 @ 100

     301,971  
       

 

 

 

          1,559,625  
       

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Corporate Bonds, continued   
Diversified Telecommunication Services (0.7%):   

$42,000

    

AT&T, Inc., 4.45%, 4/1/24, Callable 1/1/24 @ 100

   $          45,460  

215,000

    

AT&T, Inc., 4.30%, 2/15/30, Callable 11/15/29 @ 100

     245,943  

109,000

    

AT&T, Inc., 2.55%, 12/1/33, Callable 9/1/33 @ 100

     107,057  

500,000

    

AT&T, Inc., 5.15%, 11/15/46, Callable 5/15/46 @ 100

     630,861  

351,000

    

AT&T, Inc., 3.80%, 12/1/57, Callable 6/1/57 @ 100

     356,332  

125,000

    

CenturyLink, Inc., 5.63%, 4/1/25, Callable 1/1/25 @ 100

     135,469  

360,000

    

CenturyLink, Inc., 5.13%, 12/15/26, Callable 12/15/22 @ 102.56(a)

     372,600  

10,000

    

CenturyLink, Inc., Series G, 6.88%, 1/15/28^

     11,325  

80,000

    

Cogent Communications Group, Inc., 3.50%, 5/1/26, Callable 2/1/26 @ 100(a)

     81,200  

40,000

    

Consolidated Communications, Inc., 5.00%, 10/1/28, Callable 10/1/23 @ 103.75(a)

     41,300  

85,000

    

Front Range BidCo, Inc., 4.00%, 3/1/27, Callable 11/8/21 @ 102(a)

     84,150  

30,000

    

Front Range BidCo, Inc., 6.13%, 3/1/28, Callable 3/1/23 @ 103.06(a)

     30,300  

60,000

    

Frontier Communications Corp., 5.88%, 10/15/27, Callable 10/15/23 @ 102.94(a)

     63,750  

65,000

    

Frontier Communications Corp., 5.00%, 5/1/28, Callable 5/1/24 @ 102.5(a)

     68,250  

70,000

    

Frontier Communications Corp., 6.75%, 5/1/29, Callable 5/1/24 @ 103.38(a)

     73,850  

8,244

    

Frontier Communications Holdings LLC, 5.88%, 11/1/29, Callable 11/1/24 @ 102.94

     8,327  

85,000

    

Lumen Technologies, Inc., 5.38%, 6/15/29, Callable 6/15/24 @ 102.69(a)

     86,275  

323,000

    

Verizon Communications, Inc., 2.10%, 3/22/28, Callable 1/22/28 @ 100

     326,154  

299,000

    

Verizon Communications, Inc., 2.55%, 3/21/31, Callable 12/21/30 @ 100

     301,804  
       

 

 

 

          3,070,407  
       

 

 

 

Electric Utilities (1.5%):   

326,000

    

Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, 6.75%, 10/15/27, Callable 10/15/22 @ 103.38(a)

     337,410  

20,000

    

Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, 4.25%, 10/15/27, Callable 10/15/23 @ 102.13(a)

     20,275  

255,000

    

Cleco Corporate Holdings LLC, 3.38%, 9/15/29, Callable 6/15/29 @ 100

     260,316  

78,000

    

Duquesne Light Holdings, Inc., 2.53%, 10/1/30, Callable 7/1/30 @ 100(a)

     76,765  
Principal
Amount
           Value       
Corporate Bonds, continued   
Electric Utilities, continued   

$249,000

    

Duquesne Light Holdings, Inc., 2.78%, 1/7/32, Callable 10/7/31 @ 100(a)

   $        249,443  

1,217,000

    

Edison International, 5.75%, 6/15/27, Callable 4/15/27 @ 100^

     1,395,990  

110,000

    

Exelon Corp., 4.05%, 4/15/30, Callable 1/15/30 @ 100

     124,586  

2,306,000

    

FirstEnergy, Inc., Series B, 4.25%, 3/15/23, Callable 12/15/22 @ 100

     2,399,665  

100,000

    

Genesis Energy LP / Genesis Energy Finance Corp., 8.00%, 1/15/27, Callable 1/15/24 @ 104

     101,000  

211,000

    

IPALCO Enterprises, Inc., 3.70%, 9/1/24, Callable 7/1/24 @ 100

     224,979  

29,000

    

NextEra Energy Operating Partners LP, 4.25%, 9/15/24, Callable 7/15/24 @ 100(a)

     30,559  

30,000

    

NRG Energy, Inc., 3.38%, 2/15/29, Callable 2/15/24 @ 101.69(a)

     29,625  

55,000

    

NRG Energy, Inc., 3.63%, 2/15/31, Callable 2/15/26 @ 101.81(a)

     54,037  

167,713

    

NSG Holdings LLC/NSG Holdings, Inc., 7.75%, 12/15/25(a)

     180,292  

310,000

    

Pacific Gas and Electric Co., 4.95%, 7/1/50, Callable 1/1/50 @ 100

     326,948  

575,000

    

PG&E Corp., 5.00%, 7/1/28, Callable 7/1/23 @ 102.5^

     584,344  

140,000

    

PG&E Corp., 5.25%, 7/1/30, Callable 7/1/25 @ 102.63

     143,150  

260,000

    

Vistra Operations Co. LLC, 5.00%, 7/31/27, Callable 7/31/22 @ 102.5(a)

     267,800  
       

 

 

 

          6,807,184  
       

 

 

 

Electrical Equipment (0.0%):   

85,000

    

PowerTeam Services LLC, 9.03%, 12/4/25, Callable 2/4/23 @ 104.52(a)

     92,225  

105,000

    

Sensata Technologies BV, 4.00%, 4/15/29, Callable 4/15/24 @ 102(a)

     107,231  
       

 

 

 

          199,456  
       

 

 

 

Entertainment (0.1%):   

310,000

    

Netflix, Inc., 4.88%, 4/15/28

     357,275  

30,000

    

Netflix, Inc., 6.38%, 5/15/29

     37,950  

30,000

    

Netflix, Inc., 5.38%, 11/15/29(a)

     36,338  
       

 

 

 

          431,563  
       

 

 

 

Equity Real Estate Investment Trusts (3.6%):   

267,000

    

Alexandria Real Estate Equities, Inc., 4.90%, 12/15/30, Callable 9/15/30 @ 100

     322,771  

41,000

    

American Homes 4 Rent LP, 2.38%, 7/15/31, Callable 4/15/31 @ 100

     40,643  

242,000

    

Boston Properties LP, 3.25%, 1/30/31, Callable 10/30/30 @ 100

     256,416  

454,000

    

Brandywine Operating Partners LP, 4.10%, 10/1/24, Callable 7/1/24 @ 100

     488,103  

421,000

    

Brandywine Operating Partners LP, 3.95%, 11/15/27, Callable 8/15/27 @ 100

     455,058  

522,000

    

Brandywine Operating Partners LP, 4.55%, 10/1/29, Callable 7/1/29 @ 100

     580,498  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Corporate Bonds, continued   
Equity Real Estate Investment Trusts, continued   

$489,000

    

Brandywine Realty Trust, 3.95%, 2/15/23, Callable 11/15/22 @ 100

   $        507,305  

393,000

    

Brixmor Operating Partnership LP, 4.13%, 5/15/29, Callable 2/15/29 @ 100

     442,004  

303,000

    

Brixmor Operating Partnership LP, 4.05%, 7/1/30, Callable 4/1/30 @ 100

     337,711  

66,000

    

Corporate Office Properties LP, 2.75%, 4/15/31, Callable 1/15/31 @ 100

     66,568  

414,000

    

Corporate Office Properties Trust, 5.00%, 7/1/25, Callable 4/1/25 @ 100

     461,657  

98,000

    

Corporate Office Properties, LP, 2.25%, 3/15/26, Callable 2/15/26 @ 100

     100,071  

35,000

    

Corrections Corp. of America, 4.63%, 5/1/23, Callable 2/1/23 @ 100^

     35,613  

65,000

    

CTR Partnership LP / CareTrust Capital Corp., 3.88%, 6/30/28, Callable 3/30/28 @ 100(a)

     67,577  

146,000

    

Duke Realty LP, 3.75%, 12/1/24, Callable 9/1/24 @ 100

     157,294  

55,000

    

Geo Group, Inc. (The), 5.88%, 10/15/24, Callable 11/8/21 @ 100.98^

     45,650  

170,000

    

Global Net Lease, Inc. / Global Net Lease Operating Partnership LP, 3.75%, 12/15/27, Callable 9/15/27 @ 100(a)

     168,711  

52,000

    

HCP, Inc., 3.50%, 7/15/29, Callable 4/15/29 @ 100

     56,638  

102,000

    

Healthcare Trust of America Holdings LP, 3.50%, 8/1/26, Callable 5/1/26 @ 100

     110,334  

98,000

    

Healthcare Trust of America Holdings LP, 3.10%, 2/15/30, Callable 11/15/29 @ 100

     103,124  

615,000

    

Hudson Pacific Properties LP, 4.65%, 4/1/29, Callable 1/1/29 @ 100

     706,333  

135,000

    

Lexington Realty Trust, 4.40%, 6/15/24, Callable 3/15/24 @ 100

     144,773  

105,000

    

Lexington Realty Trust, 2.70%, 9/15/30, Callable 6/15/30 @ 100

     106,242  

40,000

    

MGM Growth Properties Operating Partnership LP/MGP Finance Co-Issuer, Inc., 4.63%, 6/15/25, Callable 3/15/25 @ 100(a)

     43,100  

169,000

    

Omega Healthcare Investors, Inc., 4.38%, 8/1/23, Callable 6/1/23 @ 100

     178,896  

126,000

    

Omega Healthcare Investors, Inc., 4.95%, 4/1/24, Callable 1/1/24 @ 100

     136,985  

281,000

    

Omega Healthcare Investors, Inc., 4.50%, 1/15/25, Callable 10/15/24 @ 100

     305,868  

1,931,000

    

Omega Healthcare Investors, Inc., 4.50%, 4/1/27, Callable 1/1/27 @ 100

     2,151,041  

435,000

    

Omega Healthcare Investors, Inc., 3.63%, 10/1/29, Callable 7/1/29 @ 100

     457,266  
Principal
Amount
           Value       
Corporate Bonds, continued   
Equity Real Estate Investment Trusts, continued   

$194,000

    

Omega Healthcare Investors, Inc., 3.38%, 2/1/31, Callable 11/1/30 @ 100

   $        197,230  

78,000

    

Piedmont Operating Partnership, LP, 2.75%, 4/1/32, Callable 1/1/32 @ 100

     76,610  

35,000

    

Post Apartment Homes LP, 3.38%, 12/1/22, Callable 9/1/22 @ 100

     35,875  

62,000

    

Realty Income Corp., 3.25%, 1/15/31, Callable 10/15/30 @ 100

     67,193  

68,000

    

Retail Opportunity Investments Corp., 5.00%, 12/15/23, Callable 9/15/23 @ 100

     73,068  

104,000

    

Retail Opportunity Investments Corp., 4.00%, 12/15/24, Callable 9/15/24 @ 100

     111,815  

22,000

    

Retail Properties of America, Inc., 4.75%, 9/15/30, Callable 6/15/30 @ 100

     24,174  

408,000

    

Sabra Health Care, LP, 3.20%, 12/1/31, Callable 9/1/31 @ 100

     400,080  

458,000

    

SBA Tower Trust, 2.84%, 1/15/25, Callable 1/15/24 @ 100(a)

     474,975  

146,000

    

SBA Tower Trust, 1.88%, 7/15/50, Callable 1/15/25 @ 100(a)

     148,170  

111,000

    

SBA Tower Trust, 2.33%, 7/15/52, Callable 7/15/26 @ 100(a)

     113,202  

65,000

    

Service Properties Trust, 4.95%, 2/15/27, Callable 8/15/26 @ 100

     64,589  

55,000

    

Service Properties Trust, 5.50%, 12/15/27, Callable 9/15/27 @ 100

     58,302  

60,000

    

Service Properties Trust, 4.95%, 10/1/29, Callable 7/1/29 @ 100

     58,438  

125,000

    

Service Properties Trust, 4.38%, 2/15/30, Callable 8/15/29 @ 100

     118,144  

101,000

    

Simon Property Group LP, 2.45%, 9/13/29, Callable 6/13/29 @ 100

     102,895  

147,000

    

STORE Capital Corp., 4.63%, 3/15/29, Callable 12/15/28 @ 100

     167,180  

112,000

    

STORE Capital Corp., 2.75%, 11/18/30, Callable 8/18/30 @ 100

     112,229  

232,000

    

Sun Communities Operating LP, 2.70%, 7/15/31, Callable 4/15/31 @ 100

     233,851  

87,000

    

Sun Communities Operating, LP, 2.30%, 11/1/28, Callable 9/1/28 @ 100

     87,237  

387,000

    

Tanger Properties LP, 3.13%, 9/1/26, Callable 6/1/26 @ 100

     402,037  

237,000

    

Tanger Properties LP, 2.75%, 9/1/31, Callable 6/1/31 @ 100

     227,272  

95,000

    

The Geo Group, Inc., 6.00%, 4/15/26, Callable 11/8/21 @ 103

     74,100  

255,000

    

Uniti Group LP/Uniti Fiber Holdings, Inc./CSL Capital LLC, 7.13%, 12/15/24, Callable 12/15/21 @ 101.78(a)

     260,419  

300,000

    

Uniti Group LP/Uniti Fiber Holdings, Inc./CSL Capital LLC, 7.88%, 2/15/25, Callable 2/15/22 @ 103.94(a)

     316,500  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Corporate Bonds, continued   
Equity Real Estate Investment Trusts, continued   

$160,000

    

Uniti Group LP/Uniti Fiber Holdings, Inc./CSL Capital LLC, 6.00%, 1/15/30, Callable 1/15/25 @ 103(a)

   $        158,400  

199,000

    

Ventas Realty LP, 4.00%, 3/1/28, Callable 12/1/27 @ 100

     221,136  

569,000

    

Ventas Realty LP, 3.00%, 1/15/30, Callable 10/15/29 @ 100

     590,794  

631,000

    

Ventas Realty LP, 4.75%, 11/15/30, Callable 8/15/30 @ 100

     739,114  

97,000

    

VEREIT Operating Partnership LP, 3.40%, 1/15/28, Callable 11/15/27 @ 100

     104,844  

45,000

    

VEREIT Operating Partnership LP, 2.20%, 6/15/28, Callable 4/15/28 @ 100

     45,435  

56,000

    

VEREIT Operating Partnership LP, 2.85%, 12/15/32, Callable 9/15/32 @ 100

     57,879  

135,000

    

Vici Properties, 4.63%, 12/1/29, Callable 12/1/24 @ 102.31(a)

     145,969  

103,000

    

Vornado Realty LP, 2.15%, 6/1/26, Callable 5/1/26 @ 100

     104,377  

67,000

    

Weingarten Realty Investors, 3.38%, 10/15/22, Callable 7/15/22 @ 100

     68,426  

814,000

    

WP Carey, Inc., 4.00%, 2/1/25, Callable 11/1/24 @ 100

     880,025  

101,000

    

WP Carey, Inc., 3.85%, 7/15/29, Callable 4/15/29 @ 100

     111,561  
       

 

 

 

          16,267,795  
       

 

 

 

Food & Staples Retailing (0.3%):   

35,000

    

Albertsons Cos., Inc. / Safeway, Inc. / New Albertsons LP / Albertsons LLC, 4.63%, 1/15/27, Callable 1/15/23 @ 103.47(a)

     36,750  

80,000

    

Albertsons Cos., Inc. / Safeway, Inc. / New Albertsons LP / Albertsons LLC, 3.50%, 3/15/29, Callable 9/15/23 @ 101.75(a)

     79,700  

240,000

    

Albertsons Cos., Inc. / Safeway, Inc. / New Albertsons LP / Albertsons LLC, 4.88%, 2/15/30, Callable 2/15/25 @ 103.66(a)

     258,300  

165,000

    

Performance Food Group, Inc., 6.88%, 5/1/25, Callable 5/1/22 @ 103.44^(a)

     174,694  

125,000

    

Performance Food Group, Inc., 5.50%, 10/15/27, Callable 10/15/22 @ 102.75(a)

     130,156  

30,000

    

Performance Food Group, Inc., 4.25%, 8/1/29, Callable 8/1/24 @ 102.13(a)

     30,075  

176,000

    

Sysco Corp., 5.65%, 4/1/25, Callable 3/1/25 @ 100

     202,357  

140,000

    

Sysco Corp., 5.95%, 4/1/30, Callable 1/1/30 @ 100

     177,570  

210,000

    

Sysco Corp., 6.60%, 4/1/50, Callable 10/1/49 @ 100

     330,634  

65,000

    

United Natural Foods, Inc., 6.75%, 10/15/28, Callable 10/15/23 @ 103.38(a)

     70,200  

90,000

    

US Foods, Inc., 4.75%, 2/15/29, Callable 2/15/24 @ 102.38(a)

     92,025  
       

 

 

 

          1,582,461  
       

 

 

 

Principal
Amount
           Value       
Corporate Bonds, continued   
Food Products (0.4%):   

$170,000

    

C&S Group Enterprises LLC, 5.00%, 12/15/28, Callable 12/15/23 @ 102.5(a)

   $        160,225  

225,000

    

JBS USA Finance, Inc., 5.50%, 1/15/30, Callable 1/15/25 @ 102.75(a)

     250,312  

490,000

    

JBS USA LUX SA / JBS USA Food Co. / JBS USA Finance, Inc., 6.50%, 4/15/29, Callable 4/15/24 @ 103.25(a)

     546,962  

140,000

    

Kraft Heinz Foods Co., 5.00%, 7/15/35, Callable 1/15/35 @ 100

     172,292  

20,000

    

Kraft Heinz Foods Co., 4.38%, 6/1/46, Callable 12/1/45 @ 100

     22,826  

65,000

    

Kraft Heinz Foods Co., 4.88%, 10/1/49, Callable 4/1/49 @ 100

     79,093  

135,000

    

Pilgrim’s Pride Corp., 4.25%, 4/15/31, Callable 4/15/26 @ 102.13(a)

     144,450  

55,000

    

Post Holdings, Inc., 5.63%, 1/15/28, Callable 12/1/22 @ 102.81(a)

     57,750  

165,000

    

Post Holdings, Inc., 4.50%, 9/15/31, Callable 9/15/26 @ 102.25(a)

     163,763  

95,000

    

TreeHouse Foods, Inc., 4.00%, 9/1/28, Callable 9/1/23 @ 102

     92,744  
       

 

 

 

          1,690,417  
       

 

 

 

Health Care Equipment & Supplies (0.0%):   

140,000

    

Hologic, Inc., 3.25%, 2/15/29, Callable 9/28/23 @ 101.63(a)

     140,000  
       

 

 

 

Health Care Providers & Services (1.5%):   

65,000

    

AHP Health Partners, Inc., 5.75%, 7/15/29, Callable 7/15/24 @ 102.88(a)

     65,812  

15,000

    

Cano Health LLC, 6.25%, 10/1/28, Callable 10/1/24 @ 103.13(a)

     15,150  

405,000

    

Centene Corp., 4.25%, 12/15/27, Callable 12/15/22 @ 102.13

     424,238  

600,000

    

Centene Corp., 2.45%, 7/15/28, Callable 5/15/28 @ 100

     603,000  

985,000

    

Centene Corp., 4.63%, 12/15/29, Callable 12/15/24 @ 102.31

     1,072,419  

360,000

    

Centene Corp., 3.38%, 2/15/30, Callable 2/15/25 @ 101.69

     372,600  

245,000

    

Centene Corp., 2.63%, 8/1/31, Callable 5/1/31 @ 100

     242,244  

100,000

    

CHS/Community Health Systems, Inc., 5.63%, 3/15/27, Callable 12/15/23 @ 102.81(a)

     104,875  

100,000

    

CHS/Community Health Systems, Inc., 6.00%, 1/15/29, Callable 1/15/24 @ 103(a)

     106,250  

95,000

    

CHS/Community Health Systems, Inc., 6.13%, 4/1/30, Callable 4/1/25 @ 103.06(a)

     92,150  

70,000

    

CHS/Community Health Systems, Inc., 4.75%, 2/15/31, Callable 2/15/26 @ 102.38(a)

     70,525  

526,000

    

Cigna Corp., 4.38%, 10/15/28, Callable 7/15/28 @ 100

     607,469  

315,000

    

Community Health Systems, Inc., 8.00%, 3/15/26, Callable 3/15/22 @ 104(a)

     333,506  

114,000

    

CVS Health Corp., 3.63%, 4/1/27, Callable 2/1/27 @ 100

     125,626  

526,000

    

CVS Health Corp., 4.78%, 3/25/38, Callable 9/25/37 @ 100

     643,779  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Corporate Bonds, continued   
Health Care Providers & Services, continued   

$310,000

    

DaVita, Inc., 4.63%, 6/1/30, Callable 6/1/25 @ 102.31(a)

   $        316,975  

30,000

    

HCA, Inc., 4.75%, 5/1/23

     31,875  

235,000

    

HCA, Inc., 5.38%, 2/1/25

     262,319  

260,000

    

HCA, Inc., 3.50%, 9/1/30, Callable 3/1/30 @ 100

     275,275  

25,000

    

HCRX Investments Holdco, LP, 4.50%, 8/1/29, Callable 8/1/24 @ 102.25(a)

     25,188  

25,000

    

HealthEquity, Inc., 4.50%, 10/1/29, Callable 10/1/24 @ 102.25(a)

     25,441  

60,000

    

Molina Healthcare, Inc., 3.88%, 11/15/30, Callable 8/17/30 @ 100(a)

     63,300  

40,000

    

Owens & Minor, Inc., 4.50%, 3/31/29, Callable 3/31/24 @ 102.25(a)

     40,500  

160,000

    

Radiology Partners, Inc., 9.25%, 2/1/28, Callable 2/1/23 @ 104.63(a)

     171,200  

215,000

    

Tenet Healthcare Corp., 6.25%, 2/1/27, Callable 2/1/22 @ 103.13(a)

     223,331  

195,000

    

Tenet Healthcare Corp., 6.13%, 10/1/28, Callable 10/1/23 @ 103.06(a)

     204,750  

110,000

    

Tenet Healthcare Corp., 4.25%, 6/1/29, Callable 6/1/24 @ 102.13(a)

     111,925  

181,000

    

Toledo Hospital (The), Series B, 5.33%, 11/15/28

     208,738  

20,000

    

Vizient, Inc., 6.25%, 5/15/27, Callable 5/15/22 @ 103.13(a)

     20,950  
       

 

 

 

          6,861,410  
       

 

 

 

Hotels, Restaurants & Leisure (0.8%):   

25,000

    

Affinity Gaming, 6.88%, 12/15/27, Callable 12/1/23 @ 103.44(a)

     26,250  

175,000

    

Boyd Gaming Corp., 4.75%, 12/1/27, Callable 12/1/22 @ 102.38

     179,813  

65,000

    

Caesars Entertainment, Inc., 4.63%, 10/15/29, Callable 10/15/24 @ 102.31(a)

     66,137  

118,000

    

Caesars Resort Collection LLC, 5.25%, 10/15/25, Callable 10/15/21 @ 101.31(a)

     119,770  

130,000

    

Carnival Corp., 10.50%, 2/1/26, Callable 8/1/23 @ 105.25(a)

     150,800  

220,000

    

Carnival Corp., 7.63%, 3/1/26, Callable 3/1/24 @ 101.91(a)

     234,025  

55,000

    

Carrols Restaurant Group, Inc., 5.88%, 7/1/29, Callable 7/1/24 @ 102.94(a)

     52,250  

280,000

    

Diamond Sports Group LLC / Diamond Sports Finance Co., 5.38%, 8/15/26, Callable 8/15/22 @ 102.69(a)

     184,800  

183,614

    

Golden Entertainment, Inc., 3.75%, 10/20/24, Callable 11/10/21 @ 100

     182,925  

100,000

    

Golden Entertainment, Inc., 7.63%, 4/15/26, Callable 4/15/22 @ 103.81(a)

     105,625  

240,000

    

Golden Nugget, Inc., 6.75%, 10/15/24, Callable 11/8/21 @ 100(a)

     240,000  
Principal
Amount
           Value       
Corporate Bonds, continued   
Hotels, Restaurants & Leisure, continued   

$55,000

    

Hilton Grand Vacations Borrower Escrow LLC / Hilton Grand Vacations Borrower Esc, 5.00%, 6/1/29, Callable 6/1/24 @ 102.5(a)

   $          56,031  

70,000

    

Life Time, Inc., 5.75%, 1/15/26, Callable 1/15/23 @ 102.88(a)

     72,712  

55,000

    

Marriott Ownership Resorts, Inc., 4.50%, 6/15/29, Callable 6/15/24 @ 102.25(a)

     55,825  

126,000

    

McDonald’s Corp., 3.60%, 7/1/30, Callable 4/1/30 @ 100

     139,622  

250,000

    

MGM Resorts International, 5.75%, 6/15/25, Callable 3/15/25 @ 100

     272,813  

90,000

    

NCL Corp., Ltd., 10.25%, 2/1/26, Callable 8/1/23 @ 105.13(a)

     103,388  

25,000

    

NCL Finance, Ltd., 6.13%, 3/15/28, Callable 12/15/27 @ 100(a)

     26,000  

30,000

    

Peninsula Pacific Entert, 8.50%, 11/15/27, Callable 11/15/23 @ 104.25(a)

     32,400  

35,000

    

Royal Caribbean Cruises, Ltd., 9.13%, 6/15/23, Callable 3/15/23 @ 100(a)

     38,063  

117,000

    

Royal Caribbean Cruises, Ltd., 11.50%, 6/1/25, Callable 6/1/22 @ 108.63(a)

     133,234  

140,000

    

Royal Caribbean Cruises, Ltd., 5.50%, 8/31/26, Callable 2/28/26 @ 100(a)

     144,200  

113,000

    

Station Casinos LLC, 5.00%, 10/1/25, Callable 10/29/21 @ 101.25(a)

     114,554  

200,000

    

Station Casinos LLC, 4.50%, 2/15/28, Callable 2/15/23 @ 102.25(a)

     202,500  

100,000

    

Viking Cruises, Ltd., 13.00%, 5/15/25, Callable 5/15/22 @ 109.75(a)

     115,000  

100,000

    

Wynn Las Vegas LLC, 5.50%, 3/1/25, Callable 12/1/24 @ 100(a)

     102,000  

150,000

    

Wynn Las Vegas LLC, 5.25%, 5/15/27, Callable 2/15/27 @ 100^(a)

     151,312  

135,000

    

Yum! Brands, Inc., 4.63%, 1/31/32, Callable 10/1/26 @ 102.31

     143,775  
       

 

 

 

          3,445,824  
       

 

 

 

Household Durables (0.1%):   

30,000

    

Ambience Merger Sub, Inc., 4.88%, 7/15/28, Callable 7/15/23 @ 102.44(a)

     30,000  

35,000

    

Ashton Woods USA LLC / Ashton Woods Finance Co., 4.63%, 4/1/30, Callable 4/1/25 @ 102.31(a)

     35,131  

65,000

    

Century Communities, Inc., 3.88%, 8/15/29, Callable 2/15/29 @ 100(a)

     65,487  

90,000

    

LBM Acquisition LLC, 6.25%, 1/15/29, Callable 1/15/24 @ 103.13(a)

     89,775  

15,000

    

Newell Brands, Inc., 5.38%, 4/1/36, Callable 10/1/35 @ 100

     18,563  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Corporate Bonds, continued   
Household Durables, continued   

$25,000

    

Northwest Fiber LLC / Northwest Fiber Finance Sub, Inc., 6.00%, 2/15/28, Callable 2/15/24 @ 103^(a)

   $          24,812  

195,000

    

Northwest Fiber LLC / Northwest Fiber Finance Sub, Inc., 10.75%, 6/1/28, Callable 6/1/23 @ 105.38(a)

     218,888  

60,000

    

Tempur Sealy International, Inc., 3.88%, 10/15/31, Callable 10/15/26 @ 101.94(a)

     60,000  

120,000

    

TopBuild Corp., 4.13%, 2/15/32, Callable 10/15/26 @ 102.06(a)

     121,200  
       

 

 

 

          663,856  
       

 

 

 

Household Products (0.0%):   

80,000

    

Central Garden & Pet Co., 4.13%, 4/30/31, Callable 4/30/26 @ 102.06(a)

     81,600  
       

 

 

 

Independent Power and Renewable Electricity Producers (0.3%):

 

528,000

    

AES Corp. (The), 3.30%, 7/15/25, Callable 6/15/25 @ 100(a)

     559,517  

461,000

    

AES Corp. (The), 3.95%, 7/15/30, Callable 4/15/30 @ 100(a)

     506,891  

45,000

    

Clearway Energy Operating LLC, 4.75%, 3/15/28, Callable 3/15/23 @ 103.56(a)

     47,419  

140,000

    

NRG Energy, Inc., 5.75%, 1/15/28, Callable 1/15/23 @ 102.88

     148,400  

50,000

    

Pattern Energy Operations LP/Pattern Energy Operations, Inc., 4.50%, 8/15/28, Callable 8/15/23 @ 103.38(a)

     52,063  

40,000

    

Sunnova Energy Corp., 5.88%, 9/1/26, Callable 9/1/23 @ 102.94(a)

     40,700  

40,000

    

TerraForm Power Operating LLC, 5.00%, 1/31/28, Callable 7/31/27 @ 100(a)

     43,000  
       

 

 

 

          1,397,990  
       

 

 

 

Industrial Conglomerates (0.2%):   

205,000

    

Icahn Enterprises LP/Icahn Enterprises Finance Corp., 6.25%, 5/15/26, Callable 5/15/22 @ 103.13

     214,738  

510,000

    

Icahn Enterprises LP/Icahn Enterprises Finance Corp., 5.25%, 5/15/27, Callable 11/15/26 @ 100

     527,850  
       

 

 

 

          742,588  
       

 

 

 

Insurance (1.1%):   

900,000

    

American International Group, Inc., 2.50%, 6/30/25, Callable 5/30/25 @ 100

     939,446  

1,208,000

    

American International Group, Inc., 3.75%, 7/10/25, Callable 4/10/25 @ 100

     1,310,975  

35,000

    

AmWINS Group, Inc., 4.88%, 6/30/29, Callable 6/30/24 @ 102.44(a)

     35,350  

55,000

    

AssuredPartners, Inc., 5.63%, 1/15/29, Callable 12/15/23 @ 102.81(a)

     55,275  
Principal
Amount
           Value       
Corporate Bonds, continued   
Insurance, continued   

$586,000

    

Five Corners Funding Trust II, 2.85%, 5/15/30, Callable 2/15/30 @ 100(a)

   $        610,905  

55,000

    

HUB International, Ltd., 7.00%, 5/1/26, Callable 10/19/21 @ 103.5(a)

     56,787  

40,000

    

Liberty Mutual Group, Inc., 4.25%, 6/15/23(a)

     42,394  

140,000

    

Liberty Mutual Group, Inc., 4.57%, 2/1/29(a)

     162,570  

651,000

    

Pacific Lifecorp, 5.13%, 1/30/43(a)

     822,672  

463,000

    

Unum Group, 3.88%, 11/5/25

     504,133  

349,000

    

Unum Group, 4.00%, 6/15/29, Callable 3/15/29 @ 100

     387,091  

260,000

    

USI, Inc., 6.88%, 5/1/25, Callable 11/8/21 @ 101.72(a)

     264,550  
       

 

 

 

          5,192,148  
       

 

 

 

Interactive Media & Services (0.1%):   

85,000

    

Match Group Holdings II LLC, 3.63%, 10/1/31, Callable 10/1/26 @ 101.81(a)

     84,150  

40,000

    

Match Group, Inc., 4.13%, 8/1/30, Callable 5/1/25 @ 102.06(a)

     41,650  

205,000

    

Rackspace Technology Global, Inc., 3.50%, 2/15/28, Callable 2/15/24 @ 101.75(a)

     197,825  
       

 

 

 

          323,625  
       

 

 

 

IT Services (0.2%):   

40,000

    

Arches Buyer, Inc., 4.25%, 6/1/28, Callable 12/1/23 @ 102.13(a)

     40,550  

15,000

    

Arches Buyer, Inc., 6.13%, 12/1/28, Callable 12/1/23 @ 103.06(a)

     15,225  

175,000

    

Black Knight Infoserv LLC, 3.63%, 9/1/28, Callable 9/1/23 @ 101.81(a)

     176,094  

20,000

    

Booz Allen Hamilton, Inc., 4.00%, 7/1/29, Callable 7/1/24 @ 102(a)

     20,525  

215,000

    

Colt Merger Sub, Inc., 8.13%, 7/1/27, Callable 7/1/23 @ 104.06^(a)

     241,606  

100,000

    

Gartner, Inc., 4.50%, 7/1/28, Callable 7/1/23 @ 102.25(a)

     105,000  

65,000

    

Gartner, Inc., 3.75%, 10/1/30, Callable 10/1/25 @ 101.88(a)

     66,950  

55,000

    

Square, Inc., 2.75%, 6/1/26, Callable 5/1/26 @ 100(a)

     55,687  

55,000

    

Square, Inc., 3.50%, 6/1/31, Callable 3/1/31 @ 100(a)

     56,788  

50,000

    

Twilio, Inc., 3.63%, 3/15/29, Callable 3/15/24 @ 101.81

     51,125  

50,000

    

Twilio, Inc., 3.88%, 3/15/31, Callable 3/15/26 @ 101.94

     51,500  
       

 

 

 

          881,050  
       

 

 

 

Leisure Products (0.1%):   

311,000

    

Hasbro, Inc., 3.00%, 11/19/24, Callable 10/19/24 @ 100

     328,808  

5,000

    

Mattel, Inc., 5.88%, 12/15/27, Callable 12/15/22 @ 104.41(a)

     5,413  

10,000

    

Mattel, Inc., 5.45%, 11/1/41, Callable 5/1/41 @ 100

     11,925  
       

 

 

 

          346,146  
       

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Corporate Bonds, continued   
Life Sciences Tools & Services (0.1%):   

$195,000

    

Avantor Funding, Inc., 4.63%, 7/15/28, Callable 7/15/23 @ 102.31(a)

   $        204,750  

20,000

    

Charles River Laboratories International, Inc., 4.25%, 5/1/28, Callable 5/1/23 @ 102.13(a)

     20,800  

45,000

    

Charles River Laboratories International, Inc., 3.75%, 3/15/29, Callable 3/15/24 @ 101.88(a)

     46,069  
       

 

 

 

          271,619  
       

 

 

 

Machinery (0.1%):   

80,000

    

GrafTech Finance, Inc., 4.63%, 12/15/28, Callable 12/15/23 @ 102.31(a)

     82,100  

75,000

    

ITT Holdings LLC, 6.50%, 8/1/29, Callable 8/1/24 @ 103.25(a)

     76,125  

40,000

    

Madison IAQ LLC, 4.13%, 6/30/28, Callable 6/30/24 @ 102.06(a)

     40,000  

65,000

    

Madison IAQ LLC, 5.88%, 6/30/29, Callable 6/30/24 @ 102.94(a)

     65,650  

60,000

    

Mueller Water Products, Inc., 4.00%, 6/15/29, Callable 6/15/24 @ 102(a)

     61,950  
       

 

 

 

          325,825  
       

 

 

 

Media (2.0%):   

100,000

    

Allen Media LLC / Allen Media Co-Issuer, Inc., 10.50%, 2/15/28, Callable 2/15/23 @ 113(a)

     102,000  

35,000

    

Austin BidCo, Inc., 7.13%, 12/15/28, Callable 12/15/23 @ 103.56(a)

     35,350  

30,000

    

Cablevision Lightpath LLC, 3.88%, 9/15/27, Callable 9/15/23 @ 101.94(a)

     29,400  

25,000

    

Cablevision Lightpath LLC, 5.63%, 9/15/28, Callable 9/15/23 @ 102.81(a)

     25,031  

105,000

    

CCO Holdings LLC, 5.00%, 2/1/28, Callable 8/1/22 @ 102.5(a)

     109,200  

95,000

    

CCO Holdings LLC, 4.50%, 8/15/30, Callable 2/15/25 @ 102.25(a)

     97,850  

395,000

    

CCO Holdings LLC / CCO Holdings Capital Corp., 4.75%, 3/1/30, Callable 9/1/24 @ 102.38(a)

     412,281  

155,000

    

CCO Holdings LLC / CCO Holdings Capital Corp., 4.50%, 5/1/32, Callable 5/1/26 @ 102.25

     159,456  

105,000

    

CCO Holdings LLC / CCO Holdings Capital Corp., 4.50%, 6/1/33, Callable 6/1/27 @ 102.25(a)

     106,969  

440,000

    

CSC Holdings LLC, 5.75%, 1/15/30, Callable 1/15/25 @ 102.88(a)

     448,250  

130,000

    

CSC Holdings LLC, 4.13%, 12/1/30, Callable 12/1/25 @ 102.06(a)

     128,050  

215,000

    

Discovery Communications LLC, 3.63%, 5/15/30, Callable 2/15/30 @ 100

     232,898  

580,000

    

Discovery Communications LLC, 4.65%, 5/15/50, Callable 11/15/49 @ 100

     670,107  

230,000

    

DISH DBS Corp., 7.75%, 7/1/26

     259,900  

85,000

    

DISH Network Corp., 2.38%, 3/15/24

     83,898  

209,000

    

DISH Network Corp., 3.38%, 8/15/26

     219,185  
Principal
Amount
           Value       
Corporate Bonds, continued   
Media, continued   

$103,000

    

Fox Corp., 4.03%, 1/25/24, Callable 12/25/23 @ 100

   $        110,489  

149,000

    

Fox Corp., 4.71%, 1/25/29, Callable 10/25/28 @ 100

     173,488  

147,000

    

Fox Corp., 5.48%, 1/25/39, Callable 7/25/38 @ 100

     187,742  

65,000

    

Gray Television, Inc., 4.75%, 10/15/30, Callable 10/15/25 @ 102.38(a)

     63,863  

165,000

    

Radiate Holdco LLC/Radiate Finance, Inc., 4.50%, 9/15/26, Callable 9/15/23 @ 102.25(a)

     170,363  

200,000

    

Radiate Holdco LLC/Radiate Finance, Inc., 6.50%, 9/15/28, Callable 9/15/23 @ 102.25(a)

     203,500  

45,000

    

Sirius XM Radio, Inc., 3.13%, 9/1/26, Callable 9/1/23 @ 101.56(a)

     45,506  

105,000

    

Sirius XM Radio, Inc., 5.00%, 8/1/27, Callable 8/1/22 @ 102.5(a)

     109,200  

45,000

    

Sirius XM Radio, Inc., 5.50%, 7/1/29, Callable 7/1/24 @ 102.75(a)

     48,712  

40,000

    

Sirius XM Radio, Inc., 4.13%, 7/1/30, Callable 7/1/25 @ 102.06(a)

     40,350  

85,000

    

Sirius XM Radio, Inc., 3.88%, 9/1/31, Callable 9/1/26 @ 101.94(a)

     82,981  

140,000

    

TEGNA, Inc., 4.75%, 3/15/26, Callable 3/15/23 @ 102.38(a)

     145,950  

80,000

    

Terrier Media Buyer, Inc., 8.88%, 12/15/27, Callable 12/15/22 @ 104.44(a)

     84,600  

359,000

    

Time Warner Cable, Inc., 6.55%, 5/1/37

     481,623  

418,000

    

Time Warner Cable, Inc., 7.30%, 7/1/38

     600,026  

2,240,000

    

Time Warner Cable, Inc., 6.75%, 6/15/39

     3,065,164  

103,000

    

Time Warner Cable, Inc., 5.50%, 9/1/41, Callable 3/1/41 @ 100

     125,533  

55,000

    

Univision Communications, Inc., 6.63%, 6/1/27, Callable 6/1/23 @ 103.31(a)

     59,538  

65,000

    

Univision Communications, Inc., 4.50%, 5/1/29, Callable 5/1/24 @ 102.25(a)

     65,975  
       

 

 

 

          8,984,428  
       

 

 

 

Metals & Mining (0.2%):   

70,000

    

Alcoa Nederland Holding BV, 4.13%, 3/31/29, Callable 3/31/24 @ 102.06(a)

     72,975  

30,000

    

Allegheny Technologies, Inc., 7.88%, 8/15/23

     33,750  

265,000

    

Allegheny Technologies, Inc., 5.88%, 12/1/27, Callable 12/1/22 @ 102.94

     279,575  

30,000

    

Allegheny Technologies, Inc., 4.88%, 10/1/29, Callable 10/1/24 @ 102.44

     30,225  

20,000

    

Allegheny Technologies, Inc., 5.13%, 10/1/31, Callable 10/1/26 @ 102.56

     20,200  

70,000

    

Cleveland-Cliffs, Inc., 4.63%, 3/1/29, Callable 3/1/24 @ 102.31^(a)

     71,662  

70,000

    

Cleveland-Cliffs, Inc., 4.88%, 3/1/31, Callable 3/1/26 @ 102.44^(a)

     72,100  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Corporate Bonds, continued   
Metals & Mining, continued   

$40,000

    

Freeport-McMoRan, Inc., 3.55%, 3/1/22, Callable 12/1/21 @ 100

   $          40,100  

185,000

    

Kaiser Aluminun Corp., 4.63%, 3/1/28, Callable 3/1/23 @ 102.31(a)

     190,550  

55,000

    

Novelis Corp., 3.88%, 8/15/31, Callable 8/15/26 @ 101.94(a)

     54,450  
       

 

 

 

          865,587  
       

 

 

 

Mortgage Real Estate Investment Trusts (0.0%):   

55,000

    

Ladder Capital Finance Holdings LLLP / Ladder Capital Finance Corp, 4.75%, 6/15/29, Callable 6/15/24 @ 102.38(a)

     54,725  

65,000

    

Starwood Property Trust, Inc., 4.75%, 3/15/25, Callable 9/15/24 @ 100

     68,656  
       

 

 

 

          123,381  
       

 

 

 

Multi-Utilities (0.2%):   

207,000

    

Puget Energy, Inc., 4.10%, 6/15/30, Callable 3/15/30 @ 100

     227,016  

506,000

    

Sempra Energy, 6.00%, 10/15/39

     693,549  
       

 

 

 

          920,565  
       

 

 

 

Oil, Gas & Consumable Fuels (4.8%):   

170,000

    

Antero Resources Corp., 5.00%, 3/1/25, Callable 11/8/21 @ 102.5^

     173,400  

130,000

    

Apache Corp., 4.63%, 11/15/25, Callable 8/15/25 @ 100

     139,425  

55,000

    

Apache Corp., 5.10%, 9/1/40, Callable 3/1/40 @ 100

     61,531  

25,000

    

Apache Corp., 7.38%, 8/15/47

     30,638  

70,000

    

Cheniere Energy Partners LP, 4.00%, 3/1/31, Callable 3/1/26 @ 102(a)

     73,237  

55,000

    

Cheniere Energy Partners, LP, 3.25%, 1/31/32, Callable 1/31/27 @ 101.63(a)

     55,137  

361,000

    

Chevron Phillips Chemical Co. LLC/Chevron Phillips Chemical Co. LP, 5.13%, 4/1/25, Callable 3/1/25 @ 100(a)

     409,322  

145,000

    

CITGO Petroleum Corp., 6.38%, 6/15/26, Callable 6/15/23 @ 103.19(a)

     147,900  

25,000

    

Cnx Midstream Partners, LP, 4.75%, 4/15/30, Callable 4/15/25 @ 102.38^(a)

     25,250  

30,000

    

CNX Resources Corp., 6.00%, 1/15/29, Callable 1/15/24 @ 104.5(a)

     31,650  

197,000

    

Columbia Pipeline Group, 4.50%, 6/1/25, Callable 3/1/25 @ 100

     218,656  

71,000

    

Comstock Resources, Inc., 7.50%, 5/15/25, Callable 11/8/21 @ 103.75^(a)

     73,662  

80,000

    

Comstock Resources, Inc., 6.75%, 3/1/29, Callable 3/1/24 @ 103.38(a)

     86,000  

40,000

    

Comstock Resources, Inc., 5.88%, 1/15/30, Callable 1/15/25 @ 102.94(a)

     41,600  

195,000

    

Continental Resources, Inc., 5.75%, 1/15/31, Callable 7/15/30 @ 100(a)

     234,975  
Principal
Amount
           Value       
Corporate Bonds, continued   
Oil, Gas & Consumable Fuels, continued   

$167,000

    

Crestwood Midstream Partners LP / Crestwood Midstream Finance Corp., 5.75%, 4/1/25, Callable 11/8/21 @ 102.88

   $        170,549  

305,000

    

Crestwood Midstream Partners LP / Crestwood Midstream Finance Corp., 6.00%, 2/1/29, Callable 2/1/24 @ 103(a)

     317,581  

230,000

    

CVR Energy, Inc., 5.25%, 2/15/25, Callable 2/15/22 @ 102.63(a)

     228,275  

25,000

    

CVR Energy, Inc., 5.75%, 2/15/28, Callable 2/15/23 @ 102.88^(a)

     24,688  

163,000

    

DCP Midstream Operating LP, 3.88%, 3/15/23, Callable 12/15/22 @ 100

     166,871  

105,000

    

DCP Midstream Operating LP, 5.38%, 7/15/25, Callable 4/15/25 @ 100

     115,762  

160,000

    

DCP Midstream Operating LP, 5.63%, 7/15/27, Callable 4/15/27 @ 100

     182,000  

750,000

    

DCP Midstream Operating LP, 5.85% (US0003M+385 bps), 5/21/43, Callable 5/21/23 @ 100(a)

     693,750  

185,000

    

DCP Midstream Operating LP, 5.60%, 4/1/44, Callable 10/1/43 @ 100

     214,600  

35,000

    

Delek Logistics Partners LP / Delek Logistics Finance Corp., 7.13%, 6/1/28, Callable 6/1/24 @ 103.56(a)

     37,187  

43,000

    

Devon Energy Corp., 5.25%, 10/15/27, Callable 10/15/22 @ 102.63(a)

     46,332  

55,000

    

DT Midstream, Inc., 4.13%, 6/15/29, Callable 6/15/24 @ 102.06(a)

     55,756  

124,000

    

Enable Midstream Partners LP, 3.90%, 5/15/24, Callable 2/15/24 @ 100

     131,588  

30,000

    

Endeavor Energy Resources LP/EER Finance, Inc., 6.63%, 7/15/25, Callable 7/15/22 @ 103.31(a)

     31,613  

110,000

    

Endeavor Energy Resources LP/EER Finance, Inc., 5.50%, 1/30/26, Callable 10/14/21 @ 104.13(a)

     114,620  

110,000

    

Endeavor Energy Resources LP/EER Finance, Inc., 5.75%, 1/30/28, Callable 1/30/23 @ 102.88(a)

     115,775  

350,000

    

Energy Transfer LP, 4.95%, 6/15/28, Callable 3/15/28 @ 100

     401,625  

167,000

    

Energy Transfer LP, 5.25%, 4/15/29, Callable 1/15/29 @ 100

     195,599  

81,000

    

Energy Transfer Operating LP, 4.25%, 3/15/23, Callable 12/15/22 @ 100

     84,240  

103,000

    

Energy Transfer Operating LP, 4.50%, 4/15/24, Callable 3/15/24 @ 100

     111,369  

161,000

    

Energy Transfer Operating LP, 3.75%, 5/15/30, Callable 2/15/30 @ 100

     173,880  

115,000

    

Energy Transfer Operating LP, 6.25%, 4/15/49, Callable 10/15/48 @ 100

     150,193  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Corporate Bonds, continued   
Oil, Gas & Consumable Fuels, continued   

$360,000

    

Energy Transfer Operating LP, 5.00%, 5/15/50, Callable 11/15/49 @ 100

   $        415,350  

103,000

    

Energy Transfer Partners LP, 4.20%, 9/15/23, Callable 8/15/23 @ 100

     109,309  

195,000

    

Energy Transfer Partners LP, 5.80%, 6/15/38, Callable 12/15/37 @ 100

     237,900  

127,000

    

Energy Transfer Partners LP, 6.00%, 6/15/48, Callable 12/15/47 @ 100

     160,261  

135,000

    

EnLink Midstream LLC, 5.63%, 1/15/28, Callable 7/15/27 @ 100(a)

     143,775  

80,000

    

EQM Midstream Partners LP, 6.50%, 7/1/27, Callable 1/1/27 @ 100(a)

     89,900  

70,000

    

EQM Midstream Partners LP, 4.50%, 1/15/29, Callable 7/15/28 @ 100(a)

     72,450  

115,000

    

EQT Corp., 3.90%, 10/1/27, Callable 7/1/27 @ 100

     124,200  

45,000

    

EQT Corp., 5.00%, 1/15/29, Callable 7/15/28 @ 100

     50,625  

311,000

    

Hess Corp., 4.30%, 4/1/27, Callable 1/1/27 @ 100

     344,433  

109,000

    

Hess Corp., 7.30%, 8/15/31

     147,286  

78,000

    

Hess Corp., 7.13%, 3/15/33

     105,105  

847,000

    

Hess Corp., 5.60%, 2/15/41

     1,053,456  

302,000

    

Hess Corp., 5.80%, 4/1/47, Callable 10/1/46 @ 100

     392,223  

190,000

    

Hess Midstream Operations LP, 5.63%, 2/15/26, Callable 11/8/21 @ 104.22(a)

     196,888  

35,000

    

Hess Midstream Operations, LP, 4.25%, 2/15/30, Callable 2/15/25 @ 102.13(a)

     35,262  

150,000

    

Kinder Morgan Energy Partners LP, 3.45%, 2/15/23, Callable 11/15/22 @ 100

     154,875  

63,000

    

Kinder Morgan Energy Partners LP, 6.55%, 9/15/40

     86,519  

198,000

    

Kinder Morgan, Inc., 5.55%, 6/1/45, Callable 12/1/44 @ 100

     253,362  

167,000

    

Kinder Morgan, Inc., 5.05%, 2/15/46, Callable 8/15/45 @ 100

     200,580  

55,000

    

Leeward Renewable Energy Operations LLC, 4.25%, 7/1/29, Callable 7/1/24 @ 102.13(a)

     55,550  

172,000

    

MPLX LP, 4.50%, 7/15/23, Callable 4/15/23 @ 100

     182,105  

242,000

    

MPLX LP, 4.88%, 12/1/24, Callable 9/1/24 @ 100

     267,712  

95,000

    

MPLX LP, 4.80%, 2/15/29, Callable 11/15/28 @ 100

     109,844  

285,000

    

MPLX LP, 5.50%, 2/15/49, Callable 8/15/48 @ 100

     361,237  

150,000

    

Murphy Oil Corp., 5.88%, 12/1/27, Callable 12/1/22 @ 102.94

     156,188  

135,000

    

NGL Energy Operating LLC / NGL Energy Finance Corp., 7.50%, 2/1/26, Callable 2/1/23 @ 103.75(a)

     137,194  

609,000

    

Occidental Petroleum Corp., 5.55%, 3/15/26, Callable 12/15/25 @ 100

     675,990  
Principal
Amount
           Value       
Corporate Bonds, continued   
Oil, Gas & Consumable Fuels, continued   

$47,000

    

Occidental Petroleum Corp., 3.20%, 8/15/26, Callable 6/15/26 @ 100

   $          47,940  

267,000

    

Occidental Petroleum Corp., 3.50%, 8/15/29, Callable 5/15/29 @ 100

     271,339  

85,000

    

Occidental Petroleum Corp., 8.88%, 7/15/30, Callable 1/15/30 @ 100

     115,388  

1,047,000

    

Occidental Petroleum Corp., 7.50%, 5/1/31

     1,359,791  

25,000

    

Occidental Petroleum Corp., 7.88%, 9/15/31

     33,219  

422,000

    

Occidental Petroleum Corp., 6.45%, 9/15/36

     530,665  

62,000

    

Occidental Petroleum Corp., 4.30%, 8/15/39, Callable 2/15/39 @ 100

     61,225  

40,000

    

Occidental Petroleum Corp., 6.20%, 3/15/40

     47,100  

712,000

    

Occidental Petroleum Corp., 6.60%, 3/15/46, Callable 9/15/45 @ 100

     896,230  

120,000

    

Occidental Petroleum Corp., 4.40%, 4/15/46, Callable 10/15/45 @ 100

     118,950  

165,000

    

Occidental Petroleum Corp., 4.10%, 2/15/47, Callable 8/15/46 @ 100

     156,956  

80,000

    

Occidental Petroleum Corp., 4.20%, 3/15/48, Callable 9/15/47 @ 100

     76,600  

117,000

    

Occidental Petroleum Corp., 4.40%, 8/15/49, Callable 2/15/49 @ 100

     114,806  

235,000

    

PBF Holding Co. LLC / PBF Finance Corp., 9.25%, 5/15/25, Callable 5/15/22 @ 104.63(a)

     221,488  

120,000

    

PBF Holding Co. LLC / PBF Finance Corp., 6.00%, 2/15/28, Callable 2/15/23 @ 103

     76,800  

35,000

    

PDC Energy, Inc., 5.75%, 5/15/26, Callable 11/8/21 @ 104.31

     36,444  

30,000

    

Phillips 66, 3.70%, 4/6/23

     31,436  

39,000

    

Phillips 66, 3.85%, 4/9/25, Callable 3/9/25 @ 100

     42,498  

110,000

    

Plains All Amer Pipeline, 3.60%, 11/1/24, Callable 8/1/24 @ 100

     117,250  

95,000

    

Plains All Amer Pipeline, 3.55%, 12/15/29, Callable 9/15/29 @ 100

     99,706  

110,000

    

Range Resources Corp., 4.88%, 5/15/25, Callable 2/15/25 @ 100

     115,775  

162,000

    

Regency Energy Partners LP/Regency Energy Finance Corp., 5.88%, 3/1/22, Callable 12/1/21 @ 100

     163,013  

493,000

    

Sabine Pass Liquefaction LLC, 4.50%, 5/15/30, Callable 11/15/29 @ 100

     566,950  

408,000

    

Sanchez Energy Corp., 7.25%, 2/15/23, Callable 10/19/21 @ 101.81(c)(d)(e)

      

20,000

    

SM Energy Co., 5.63%, 6/1/25, Callable 11/8/21 @ 101.88

     20,050  

75,000

    

SM Energy Co., 6.75%, 9/15/26, Callable 11/8/21 @ 103.38^

     76,500  

346,000

    

Southeast Supply Header LLC, 4.25%, 6/15/24, Callable 3/15/24 @ 100(a)

     357,191  

5,000

    

Sunoco LP/Sunoco Finance Corp., 6.00%, 4/15/27, Callable 4/15/22 @ 103

     5,206  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Corporate Bonds, continued   
Oil, Gas & Consumable Fuels, continued   

$95,000

    

Sunoco LP/Sunoco Finance Corp., 5.88%, 3/15/28, Callable 3/15/23 @ 102.94

   $        100,225  

165,000

    

Sunoco, LP / Sunoco Finance Corp., 4.50%, 5/15/29, Callable 5/15/24 @ 102.25

     167,269  

135,000

    

Tallgrass Energy Partners LP / Tallgrass Energy Finance Corp., 6.00%, 12/31/30, Callable 12/31/25 @ 103(a)

     138,375  

195,000

    

Targa Resources Partners LP, 5.38%, 2/1/27, Callable 2/1/22 @ 102.69

     201,825  

30,000

    

Targa Resources Partners LP / Targa Resources Partners Finance Corp., 5.50%, 3/1/30, Callable 3/1/25 @ 102.75

     32,738  

185,000

    

Targa Resources Partners LP / Targa Resources Partners Finance Corp., 4.88%, 2/1/31, Callable 2/1/26 @ 102.44

     199,569  

70,000

    

Targa Resources Partners LP / Targa Resources Partners Finance Corp., 4.00%, 1/15/32, Callable 7/15/26 @ 102(a)

     72,187  

63,000

    

Transcontinental Gas Pipe Line Co. LLC, 3.25%, 5/15/30, Callable 2/15/30 @ 100

     67,297  

104,000

    

Valero Energy Corp., 2.70%, 4/15/23

     107,283  

200,000

    

Viper Energy Partners LP, 5.38%, 11/1/27, Callable 11/1/22 @ 102.69(a)

     208,500  

62,000

    

Western Gas Partners LP, 3.95%, 6/1/25, Callable 3/1/25 @ 100

     64,945  

205,000

    

Western Gas Partners LP, 4.65%, 7/1/26, Callable 4/1/26 @ 100

     220,375  

900,000

    

Western Gas Partners LP, 4.50%, 3/1/28, Callable 12/1/27 @ 100

     969,750  

101,000

    

Western Gas Partners LP, 4.75%, 8/15/28, Callable 5/15/28 @ 100

     110,343  

205,000

    

Western Midstream Operating LP, 5.30%, 2/1/30, Callable 11/1/29 @ 100

     226,525  

524,000

    

Williams Cos., Inc. (The), 3.50%, 11/15/30, Callable 8/15/30 @ 100

     567,477  

242,000

    

Williams Partners LP, 4.50%, 11/15/23, Callable 8/15/23 @ 100

     259,252  

426,000

    

Williams Partners LP, 4.30%, 3/4/24, Callable 12/4/23 @ 100

     456,926  
       

 

 

 

          21,817,192  
       

 

 

 

Paper & Forest Products (0.0%):   

70,000

    

Mercer International, Inc., 5.13%, 2/1/29, Callable 2/1/24 @ 102.56

     71,313  
       

 

 

 

Pharmaceuticals (0.4%):   

150,000

    

Bausch Health Cos, Inc., 5.25%, 1/30/30, Callable 1/30/25 @ 102.63(a)

     139,875  

170,000

    

Catalent Pharma Solutions, Inc., 3.13%, 2/15/29, Callable 2/15/24 @ 101.56(a)

     166,812  
Principal
Amount
           Value       
Corporate Bonds, continued   
Pharmaceuticals, continued   

$50,000

    

Catalent Pharma Solutions, Inc., 3.50%, 4/1/30, Callable 4/1/25 @ 101.75(a)

   $          49,813  

275,000

    

Elanco Animal Health, Inc., 5.27%, 8/28/23, Callable 7/28/23 @ 100

     292,200  

116,000

    

Elanco Animal Health, Inc., 5.90%, 8/28/28, Callable 5/28/28 @ 100

     135,865  

45,000

    

Jazz Securities DAC, 4.38%, 1/15/29, Callable 7/15/24 @ 102.19(a)

     46,467  

40,000

    

Organon & Co. / Organon Foreign Debt Co-Issuer BV, 4.13%, 4/30/28, Callable 4/30/24 @ 102.06(a)

     40,800  

75,000

    

Organon & Co. / Organon Foreign Debt Co-Issuer BV, 5.13%, 4/30/31, Callable 4/30/26 @ 102.56(a)

     78,750  

187,000

    

Upjohn, Inc., 1.13%, 6/22/22(a)

     187,960  

60,000

    

Upjohn, Inc., 1.65%, 6/22/25, Callable 5/22/25 @ 100(a)

     60,644  

305,000

    

Upjohn, Inc., 2.70%, 6/22/30, Callable 3/22/30 @ 100(a)

     307,997  

133,000

    

Upjohn, Inc., 3.85%, 6/22/40, Callable 12/22/39 @ 100(a)

     142,235  
       

 

 

 

          1,649,418  
       

 

 

 

Professional Services (0.0%):   

60,000

    

Asgn, Inc., 4.63%, 5/15/28, Callable 5/15/23 @ 102.31^(a)

     62,325  

125,000

    

Nielsen Finance LLC/Nielsen Finance Co., 5.88%, 10/1/30, Callable 10/1/25 @ 102.94(a)

     131,094  
       

 

 

 

          193,419  
       

 

 

 

Real Estate Management & Development (0.2%):   

301,000

    

CBRE Services, Inc., 2.50%, 4/1/31, Callable 1/1/31 @ 100

     301,832  

85,000

    

Kennedy-Wilson, Inc., 4.75%, 2/1/30, Callable 9/1/24 @ 102.38

     85,956  

70,000

    

Realogy Group LLC / Realogy Co-Issuer Corp., 5.75%, 1/15/29, Callable 1/15/24 @ 102.88(a)

     72,450  

275,000

    

Vertical US Newco, Inc., 5.25%, 7/15/27, Callable 7/15/23 @ 102.63(a)

     288,063  
       

 

 

 

          748,301  
       

 

 

 

Road & Rail (0.0%):   

60,000

    

Uber Technologies, Inc., 4.50%, 8/15/29, Callable 8/15/24 @ 102.25(a)

     60,300  
       

 

 

 

Semiconductors & Semiconductor Equipment (0.6%):   

92,000

    

Broadcom, Inc., 1.95%, 2/15/28, Callable 12/15/27 @ 100(a)

     90,572  

899,000

    

Broadcom, Inc., 2.45%, 2/15/31, Callable 11/15/30 @ 100(a)

     868,394  

797,000

    

Broadcom, Inc., 2.60%, 2/15/33, Callable 11/15/32 @ 100(a)

     768,663  

633,000

    

Broadcom, Inc., 3.50%, 2/15/41, Callable 8/15/40 @ 100(a)

     625,927  

297,000

    

Broadcom, Inc., 3.75%, 2/15/51, Callable 8/15/50 @ 100(a)

     295,046  

135,000

    

Entegris, Inc., 3.63%, 5/1/29, Callable 5/1/24 @ 102.72(a)

     138,375  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Corporate Bonds, continued   
Semiconductors & Semiconductor Equipment, continued

 

$75,000

    

ON Semiconductor Corp., 3.88%, 9/1/28, Callable 9/1/23 @ 101.94(a)

   $          77,531  
       

 

 

 

          2,864,508  
       

 

 

 

Software (0.4%):   

55,000

    

Acuris Finance Us Inc / Acuris Finance SARL, 5.00%, 5/1/28, Callable 5/1/24 @ 102.5(a)

     55,000  

60,000

    

Boxer Parent Co., Inc., 7.13%, 10/2/25, Callable 6/1/22 @ 103.56(a)

     64,050  

35,000

    

CDK Global, Inc., 5.25%, 5/15/29, Callable 5/15/24 @ 102.63(a)

     37,800  

40,000

    

Clarivate Science Holdings Corp., 3.88%, 7/1/28, Callable 6/30/24 @ 101.94(a)

     39,950  

40,000

    

Clarivate Science Holdings Corp., 4.88%, 7/1/29, Callable 6/30/24 @ 102.44(a)

     39,950  

30,000

    

Elastic NV, 4.13%, 7/15/29, Callable 7/15/24 @ 102.06(a)

     29,963  

40,000

    

MicroStrategy, Inc., 6.13%, 6/15/28, Callable 6/15/24 @ 103.06^(a)

     40,400  

351,000

    

Oracle Corp., 1.65%, 3/25/26, Callable 2/25/26 @ 100

     355,762  

555,000

    

Oracle Corp., 2.30%, 3/25/28, Callable 1/25/28 @ 100

     568,026  

690,000

    

Oracle Corp., 2.88%, 3/25/31, Callable 12/25/30 @ 100

     709,227  
       

 

 

 

          1,940,128  
       

 

 

 

Specialty Retail (0.3%):   

47,000

    

AutoNation, Inc., 4.75%, 6/1/30, Callable 3/1/30 @ 100

     54,558  

72,000

    

AutoZone, Inc., 3.63%, 4/15/25, Callable 3/15/25 @ 100^

     78,002  

333,000

    

AutoZone, Inc., 4.00%, 4/15/30, Callable 1/15/30 @ 100

     377,292  

55,000

    

Carvana Co., 5.88%, 10/1/28, Callable 10/1/23 @ 104.41(a)

     56,994  

30,000

    

Foot Locker, Inc., 4.00%, 10/1/29, Callable 10/1/24 @ 102(a)

     30,066  

55,000

    

Gap, Inc. (The), 3.88%, 10/1/31, Callable 10/1/26 @ 101.94(a)

     55,069  

220,000

    

L Brands, Inc., 6.63%, 10/1/30, Callable 10/1/25 @ 103.31(a)

     249,700  

240,000

    

Lowe’s Cos., Inc., 4.50%, 4/15/30, Callable 1/15/30 @ 100

     281,260  

74,000

    

O’Reilly Automotive, Inc., 4.20%, 4/1/30, Callable 1/1/30 @ 100

     84,900  

30,000

    

Party City Holdings, Inc., 8.75%, 2/15/26, Callable 8/15/23 @ 104.38(a)

     31,425  

20,000

    

Rent-A-Center, Inc., 6.38%, 2/15/29, Callable 2/15/24 @ 103.19(a)

     21,575  

40,000

    

Victoria’s Secret & Co., 4.63%, 7/15/29, Callable 7/15/24 @ 102.31(a)

     40,500  
       

 

 

 

          1,361,341  
       

 

 

 

Technology Hardware, Storage & Peripherals (0.2%):   

400,000

    

Dell International LLC/EMC Corp., 5.45%, 6/15/23, Callable 4/15/23 @ 100

     428,991  
Principal
Amount
           Value       
Corporate Bonds, continued   
Technology Hardware, Storage & Peripherals, continued   

$81,000

    

Dell International LLC/EMC Corp., 5.85%, 7/15/25, Callable 6/15/25 @ 100

   $          93,728  

129,000

    

Dell International LLC/EMC Corp., 6.02%, 6/15/26, Callable 3/15/26 @ 100

     152,868  

148,000

    

Dell International LLC/EMC Corp., 6.10%, 7/15/27, Callable 5/15/27 @ 100

     180,899  

128,000

    

Dell International LLC/EMC Corp., 6.20%, 7/15/30, Callable 4/15/30 @ 100

     162,804  
       

 

 

 

          1,019,290  
       

 

 

 

Textiles, Apparel & Luxury Goods (0.0%):   

60,000

    

Crocs, Inc., 4.13%, 8/15/31, Callable 8/15/26 @ 102.06(a)

     60,450  

70,000

    

Levi Strauss & Co., 3.50%, 3/1/31, Callable 3/1/26 @ 101.75(a)

     70,525  

105,000

    

Wolverine World Wide, Inc., 4.00%, 8/15/29, Callable 8/15/24 @ 102(a)

     106,050  
       

 

 

 

          237,025  
       

 

 

 

Tobacco (0.5%):   

452,000

    

Altria Group, Inc., 4.25%, 8/9/42

     467,687  

302,000

    

Altria Group, Inc., 4.50%, 5/2/43

     322,060  

262,000

    

Altria Group, Inc., 5.38%, 1/31/44

     308,876  

108,000

    

Altria Group, Inc., 5.95%, 2/14/49, Callable 8/14/48 @ 100

     136,829  

179,000

    

Reynolds American, Inc., 5.70%, 8/15/35, Callable 2/15/35 @ 100

     214,278  

600,000

    

Reynolds American, Inc., 7.25%, 6/15/37

     807,639  

70,000

    

Turning Point Brands, Inc., 5.63%, 2/15/26, Callable 2/15/23 @ 102.81(a)

     72,975  
       

 

 

 

          2,330,344  
       

 

 

 

Trading Companies & Distributors (0.2%):   

467,000

    

Air Lease Corp., 4.25%, 2/1/24, Callable 1/1/24 @ 100

     500,219  

393,000

    

Air Lease Corp., 3.38%, 7/1/25, Callable 6/1/25 @ 100

     417,145  

40,000

    

Foundation Building Materials, Inc., 6.00%, 3/1/29, Callable 3/1/24 @ 103(a)

     39,200  

45,000

    

SRS Distribution, Inc., 4.63%, 7/1/28, Callable 7/1/24 @ 102.31(a)

     45,900  

25,000

    

SRS Distribution, Inc., 6.13%, 7/1/29, Callable 7/1/24 @ 103.06(a)

     25,750  
       

 

 

 

          1,028,214  
       

 

 

 

Wireless Telecommunication Services (0.6%):   

445,000

    

Sprint Capital Corp., 8.75%, 3/15/32

     667,500  

300,000

    

Sprint Communications, Inc., 6.88%, 11/15/28

     384,000  

380,000

    

T-Mobile USA, Inc., 3.75%, 4/15/27, Callable 2/15/27 @ 100

     418,378  

65,000

    

T-Mobile USA, Inc., 4.75%, 2/1/28, Callable 2/1/23 @ 102.38

     68,981  

70,000

    

T-Mobile USA, Inc., 3.38%, 4/15/29, Callable 4/15/24 @ 101.69

     73,070  

630,000

    

T-Mobile USA, Inc., 3.88%, 4/15/30, Callable 1/15/30 @ 100

     694,511  

82,000

    

T-Mobile USA, Inc., 4.38%, 4/15/40, Callable 10/15/39 @ 100

     93,825  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Corporate Bonds, continued   
Wireless Telecommunication Services, continued   

$161,000

    

T-Mobile USA, Inc., 4.50%, 4/15/50, Callable 10/15/49 @ 100

   $        187,353  
       

 

 

 

          2,587,618  
  

 

 

 

Total Corporate Bonds (Cost $136,082,647)

     146,848,994  
  

 

 

 

Yankee Dollars (10.4%):   
Aerospace & Defense (0.1%):   

15,000

    

Bombardier, Inc., 7.50%, 12/1/24, Callable 11/8/21 @ 105.63(a)

     15,581  

65,000

    

Bombardier, Inc., 7.50%, 3/15/25, Callable 11/8/21 @ 102.5(a)

     66,381  

80,000

    

Bombardier, Inc., 7.13%, 6/15/26, Callable 6/15/23 @ 103.56(a)

     84,000  

170,000

    

Bombardier, Inc., 6.00%, 2/15/28, Callable 2/15/24 @ 103(a)

     171,913  
       

 

 

 

          337,875  
       

 

 

 

Banks (2.8%):   

874,000

    

Barclays plc, 4.38%, 1/12/26

     973,257  

503,000

    

Barclays plc, 2.85% (US0003M+245 bps), 5/7/26, Callable 5/7/25 @ 100

     527,990  

580,000

    

Barclays plc, 5.09% (US0003M+305 bps), 6/20/30, Callable 6/20/29 @ 100

     669,912  

200,000

    

Commonwealth Bank of Australia, 3.61%, 9/12/34, Callable 9/12/29 @ 100(a)

     210,903  

791,000

    

Cooperatieve Rabobank UA, 4.38%, 8/4/25

     876,398  

205,000

    

HSBC Holdings plc, 4.25%, 3/14/24

     218,210  

200,000

    

Intesa Sanpaolo SpA, 5.02%, 6/26/24(a)

     216,032  

1,232,000

    

Intesa Sanpaolo SpA, 5.71%, 1/15/26(a)

     1,378,901  

3,808,000

    

Royal Bank of Scotland Group plc, 6.13%, 12/15/22

     4,048,079  

826,000

    

Royal Bank of Scotland Group plc, 6.10%, 6/10/23

     896,726  

347,000

    

Royal Bank of Scotland Group plc, 6.00%, 12/19/23

     383,869  

286,000

    

Royal Bank of Scotland Group plc, 3.07% (H15T1Y+255 bps), 5/22/28, Callable 5/22/27 @ 100

     301,687  

980,000

    

Societe Generale SA, 1.04% (H15T1Y+75 bps), 6/18/25, Callable 6/18/24 @ 100(a)

     973,786  

513,000

    

Societe Generale SA, 1.49% (H15T1Y+110 bps), 12/14/26, Callable 12/14/25 @ 100(a)

     506,060  

454,000

    

UniCredit SpA, 6.57%, 1/14/22(a)

     461,403  

289,000

    

Westpac Banking Corp., 4.11% (H15T5Y+200 bps), 7/24/34, Callable 7/24/29 @ 100

     312,980  
       

 

 

 

          12,956,193  
       

 

 

 

Biotechnology (0.0%):   

200,000

    

Grifols Escrow Issuer SA, 4.75%, 10/15/28, Callable 10/15/24 @ 102.38(a)

     204,190  
       

 

 

 

Capital Markets (1.9%):   

788,000

    

Credit Suisse Group AG, 2.59% (SOFR+156 bps), 9/11/25, Callable 9/11/24 @ 100(a)

     814,295  
Principal
Amount
           Value       
Yankee Dollars, continued   
Capital Markets, continued   

$602,000

    

Credit Suisse Group AG, 4.19% (SOFR+373 bps), 4/1/31, Callable 4/1/30 @ 100(a)

   $        673,528  

1,000,000

    

Credit Suisse Group Fun, Ltd., 3.80%, 9/15/22

     1,033,049  

1,175,000

    

Credit Suisse Group Fun, Ltd., 3.80%, 6/9/23

     1,236,099  

720,000

    

Credit Suisse Group Funding Guernsey, Ltd., 3.75%, 3/26/25

     776,348  

742,000

    

Deutsche Bank AG, 5.00%, 2/14/22

     753,968  

1,284,000

    

Deutsche Bank AG, 3.30%, 11/16/22

     1,323,451  

1,462,000

    

Deutsche Bank AG, 4.50%, 4/1/25

     1,556,605  

314,000

    

UBS Group AG, 1.49%, 8/10/27, Callable 8/10/26 @ 100(a)

     310,653  
       

 

 

 

          8,477,996  
       

 

 

 

Chemicals (0.1%):   

25,000

    

Consolidated Energy Finance SA, 3.87% (US0003M+375 bps), 6/15/22, Callable 10/19/21 @ 100(a)

     24,970  

25,000

    

Consolidated Energy Finance SA, 6.88%, 6/15/25(a)

     25,850  

130,000

    

Consolidated Energy Finance SA, 6.50%, 5/15/26, Callable 10/19/21 @ 104.88(a)

     134,550  

195,000

    

Methanex Corp., 5.13%, 10/15/27, Callable 4/15/27 @ 100

     210,844  

95,000

    

Methanex Corp., 5.25%, 12/15/29, Callable 9/15/29 @ 100

     102,837  

55,000

    

SPCM SA, 3.13%, 3/15/27, Callable 3/15/24 @ 101.56(a)

     55,069  
       

 

 

 

          554,120  
       

 

 

 

Containers & Packaging (0.1%):   

25,000

    

Intelligent Packaging, Ltd. Finco Inc./Intelligent Packaging, Ltd. Co-Issuer LLC, 6.00%, 9/15/28, Callable 9/15/22 @ 103(a)

     26,188  

35,000

    

Intertape Polymer Group, Inc., 4.38%, 6/15/29, Callable 6/15/24 @ 102.19(a)

     35,612  

255,000

    

Trivium Packaging Finance BV, 5.50%, 8/15/26, Callable 8/15/22 @ 102.75(a)

     266,794  
       

 

 

 

          328,594  
       

 

 

 

Diversified Consumer Services (0.1%):   

48,000

    

Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 Sarl, 4.63%, 6/1/28, Callable 6/1/24 @ 102.31(a)

     47,820  

225,000

    

GEMS MENASA Cayman, Ltd., 7.13%, 7/31/26, Callable 7/31/22 @ 103.56(a)

     230,625  
       

 

 

 

          278,445  
       

 

 

 

Diversified Financial Services (0.9%):   

200,000

    

Altice Financing SA, 5.00%, 1/15/28, Callable 1/15/23 @ 102.5(a)

     190,000  

610,000

    

Altice Financing SA, 5.75%, 8/15/29, Callable 8/15/24 @ 102.88(a)

     588,650  

725,000

    

C&W Senior Financing Dac, 6.88%, 9/15/27, Callable 9/15/22 @ 103.44(a)

     763,062  

2,052,000

    

Park Aerospace Holdings, 5.50%, 2/15/24(a)

     2,241,810  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Yankee Dollars, continued   
Diversified Financial Services, continued   

$305,000

    

Vmed O2 UK Financing I plc, 4.25%, 1/31/31, Callable 1/31/26 @ 102.13(a)

   $        302,713  
       

 

 

 

          4,086,235  
       

 

 

 

Diversified Telecommunication Services (0.2%):   

325,000

    

Altice France SA, 8.13%, 2/1/27, Callable 2/1/22 @ 106.09(a)

     348,968  

270,000

    

Altice France SA, 6.00%, 2/15/28, Callable 2/15/23 @ 103(a)

     256,500  

185,000

    

Altice France SA, 5.13%, 1/15/29, Callable 9/15/23 @ 102.56(a)

     181,994  

40,000

    

Sable International Finance, Ltd., 5.75%, 9/7/27, Callable 9/7/22 @ 102.88(a)

     41,900  

80,000

    

Telecom Italia SpA, 6.00%, 9/30/34

     89,600  
       

 

 

 

          918,962  
       

 

 

 

Energy Equipment & Services (0.0%):   

160,000

    

Transocean Poseidon, Ltd., 6.88%, 2/1/27, Callable 2/1/22 @ 105.16(a)

     159,200  
       

 

 

 

Hotels, Restaurants & Leisure (0.1%):   

55,000

    

1011778 BC ULC New Red Finance, Inc., 5.75%, 4/15/25, Callable 4/15/22 @ 102.88(a)

     57,750  

210,000

    

1011778 BC ULC New Red Finance, Inc., 4.00%, 10/15/30, Callable 10/15/25 @ 102(a)

     207,375  

75,000

    

Melco Resorts Finance, Ltd., 5.75%, 7/21/28, Callable 7/21/23 @ 102.88(a)

     76,781  

65,000

    

Melco Resorts Finance, Ltd., 5.38%, 12/4/29, Callable 12/4/24 @ 102.69(a)

     66,138  
       

 

 

 

          408,044  
       

 

 

 

Insurance (0.2%):   

465,000

    

AIA Group, Ltd., 3.38%, 4/7/30, Callable 1/7/30 @ 100(a)

     502,414  

200,000

    

Swiss Re Finance Luxembourg SA, 5.00% (H15T5Y+358 bps), 4/2/49, Callable 4/2/29 @ 100(a)

     230,000  
       

 

 

 

          732,414  
       

 

 

 

Marine (0.0%):   

85,000

    

Seaspan Corp., 5.50%, 8/1/29, Callable 8/1/24 @ 102.75(a)

     86,912  
       

 

 

 

Media (0.1%):   

250,000

    

Ziggo BV, 5.50%, 1/15/27, Callable 1/15/22 @ 102.75(a)

     258,438  

120,000

    

Ziggo BV, 5.13%, 2/28/30, Callable 2/15/25 @ 102.56(a)

     123,300  
       

 

 

 

          381,738  
       

 

 

 

Metals & Mining (0.1%):   

170,000

    

First Quantum Minerals, Ltd., 6.88%, 3/1/26, Callable 10/19/21 @ 105.16(a)

     176,800  

55,000

    

First Quantum Minerals, Ltd., 6.88%, 10/15/27, Callable 10/15/23 @ 103.44(a)

     58,300  

5,000

    

FMG Resources Pty, Ltd., 4.50%, 9/15/27, Callable 6/15/27 @ 100(a)

     5,262  
Principal
Amount
           Value       
Yankee Dollars, continued   
Metals & Mining, continued   

$105,000

    

Infrabuild Australia Pty, Ltd., 12.00%, 10/1/24, Callable 11/8/21 @ 109^(a)

   $        110,644  
       

 

 

 

          351,006  
       

 

 

 

Multi-Utilities (0.1%):   

525,000

    

InterGen NV, 7.00%, 6/30/23, Callable 11/8/21 @ 100(a)

     519,094  
       

 

 

 

Oil, Gas & Consumable Fuels (1.5%):   

309,000

    

Canadian Natural Resources, Ltd., 5.85%, 2/1/35

     390,113  

619,000

    

Cenovus Energy, Inc., 4.25%, 4/15/27, Callable 1/15/27 @ 100

     686,316  

115,000

    

eG Global Finance plc, 6.75%, 2/7/25, Callable 10/19/21 @ 103.38(a)

     117,587  

205,000

    

eG Global Finance plc, 8.50%, 10/30/25, Callable 11/8/21 @ 104.25(a)

     214,225  

223,000

    

Enbridge, Inc., 4.00%, 10/1/23, Callable 7/1/23 @ 100

     236,125  

218,000

    

Enbridge, Inc., 4.25%, 12/1/26, Callable 9/1/26 @ 100

     244,268  

140,000

    

LBC Tank Terminals Holding Netherlands BV, 6.88%, 5/15/23, Callable 10/28/21 @ 100(a)

     140,000  

235,000

    

Meg Energy Corp., 7.13%, 2/1/27, Callable 2/1/23 @ 103.56(a)

     246,750  

1,505,000

    

Petroleos Mexicanos, 6.84%, 1/23/30, Callable 10/23/29 @ 100

     1,553,142  

2,762,000

    

Petroleos Mexicanos, 6.75%, 9/21/47

     2,400,106  

502,000

    

Petroleos Mexicanos, 6.95%, 1/28/60, Callable 7/28/59 @ 100

     437,972  

70,000

    

Teine Energy, Ltd., 6.88%, 4/15/29, Callable 4/15/24 @ 103.44(a)

     71,050  
       

 

 

 

          6,737,654  
       

 

 

 

Pharmaceuticals (0.1%):   

115,000

    

Bausch Health Cos., Inc., 5.50%, 11/1/25, Callable 11/8/21 @ 101.38(a)

     116,725  

191,000

    

Teva Pharmaceuticals Industries, Ltd., 2.80%, 7/21/23

     189,806  

162,000

    

VRX Escrow Corp., 6.13%, 4/15/25, Callable 11/8/21 @ 102.04(a)

     165,038  
       

 

 

 

          471,569  
       

 

 

 

Software (0.0%):   

95,000

    

Open Text Corp., 3.88%, 2/15/28, Callable 2/15/23 @ 101.94(a)

     97,256  
       

 

 

 

Sovereign Bond (1.5%):   

415,000

    

Abu Dhabi Government International Bond, 3.13%, 4/16/30(a)

     450,535  

355,000

    

Abu Dhabi Government International Bond, 3.88%, 4/16/50(a)

     405,315  

56,434

    

Argentine Republic Government International Bond, 1.00%, 7/9/29, Callable 11/8/21 @ 100

     20,655  

513,757

    

Argentine Republic Government International Bond, 0.50%, 7/9/30, Callable 11/8/21 @ 100

     177,888  

941,242

    

Argentine Republic Government International Bond, 0.12%, 7/9/35, Callable 11/8/21 @ 100

     302,139  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
Yankee Dollars, continued   
Sovereign Bond, continued   

$400,000

    

Corp. Andina de Fomento, 2.38%, 5/12/23

   $        410,487  

1,344,000

    

Dominican Republic, 5.50%, 1/27/25(a)

     1,468,320  

250,000

    

Dominican Republic, 6.00%, 7/19/28(a)

     282,500  

600,000

    

Indonesia Government International Bond, 3.85%, 10/15/30

     669,016  

600,000

    

Indonesia Government International Bond, 4.20%, 10/15/50

     663,693  

230,000

    

Qatar Government International Bond, 3.40%, 4/16/25(a)

     247,918  

490,000

    

Qatar Government International Bond, 3.75%, 4/16/30(a)

     552,161  

470,000

    

Qatar Government International Bond, 4.40%, 4/16/50(a)

     571,067  

250,000

    

Saudi Government International Bond, 2.90%, 10/22/25(a)

     266,099  

230,000

    

Saudi Government International Bond, 3.25%, 10/22/30(a)

     246,259  

200,000

    

Saudi Government International Bond, 4.50%, 4/22/60(a)

     238,257  
       

 

 

 

          6,972,309  
       

 

 

 

Trading Companies & Distributors (0.2%):   

412,000

    

AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 4.88%, 1/16/24, Callable 12/16/23 @ 100

     444,555  

217,000

    

AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 6.50%, 7/15/25, Callable 6/15/25 @ 100

     251,830  

251,000

    

AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 4.45%, 4/3/26, Callable 2/3/26 @ 100

     273,812  
       

 

 

 

          970,197  
       

 

 

 

Wireless Telecommunication Services (0.3%):   

330,000

    

Empresa Nacional del Pet, 4.38%, 10/30/24(a)

     356,400  

630,000

    

Millicom International Cellular SA, 6.25%, 3/25/29, Callable 3/25/24 @ 103.13(a)

     688,275  

135,000

    

Millicom International Cellular SA, 4.50%, 4/27/31, Callable 4/27/26 @ 102.25(a)

     140,400  
       

 

 

 

          1,185,075  
  

 

 

 

Total Yankee Dollars (Cost $45,957,615)

     47,215,078  
  

 

 

 

Municipal Bonds (1.2%):   
California (0.2%):

 

10,000

     California State, Build America Bonds, GO, 7.35%, 11/1/39      15,995  

460,000

     California State, Build America Bonds, GO, 7.30%, 10/1/39      727,541  
       

 

 

 

          743,536  
       

 

 

 

Illinois (0.9%):

 

310,000

     Chicago Illinois, Taxable Project, Build America Bonds, GO, Series C1, 7.78%, 1/1/35      433,879  

1,935,000

     Illinois State, Build America Bonds, GO, 7.35%, 7/1/35      2,451,858  

295,000

     Illinois State, Build America Bonds, GO, 5.10%, 6/1/33      343,527  
Principal
Amount
           Value       
Municipal Bonds, continued   
Illinois, continued

 

$315,000

     Illinois State, Build America Bonds, GO, 6.63%, 2/1/35    $        392,591  

425,000

     Illinois State, Build America Bonds, GO, Series 3, 6.73%, 4/1/35      533,315  

63,636

     Illinois State, Build America Bonds, GO, 4.95%, 6/1/23      67,048  
       

 

 

 

          4,222,218  
       

 

 

 

New Jersey (0.1%):

 

504,000

     New Jersey Economic Development Authority Revenue, Build America Bonds, GO, Series A, 7.43%, 2/15/29      643,946  
  

 

 

 

Total Municipal Bonds (Cost $4,920,084)

     5,609,700  
  

 

 

 

U.S. Government Agency Mortgages (13.1%):   
Government National Mortgage Association (3.4%)

 

6,401

    

5.00%, 6/15/34, Pool #629493

     7,403  

3,576

    

5.00%, 3/15/38, Pool #676766

     4,146  

1,665

    

5.00%, 4/15/38, Pool #672672

     1,932  

7,202

    

5.00%, 8/15/38, Pool #687818

     8,349  

61,378

    

5.00%, 1/15/39, Pool #705997

     71,122  

123,055

    

5.00%, 3/15/39, Pool #646746

     142,618  

719

    

5.00%, 3/15/39, Pool #697946

     814  

123,675

    

4.00%, 10/15/40, Pool #783143

     137,480  

34,341

    

4.00%, 10/20/40, Pool #G24833

     37,794  

103,444

    

4.00%, 1/20/41, Pool #4922

     113,862  

281,521

    

4.50%, 3/20/41, Pool #4978

     307,811  

98,767

    

4.50%, 5/20/41, Pool #005055

     107,865  

207,522

    

4.00%, 5/20/41, Pool #5054

     227,270  

93,534

    

4.50%, 6/15/41, Pool #366975

     106,980  

65,115

    

4.50%, 6/20/41, Pool #005082

     71,195  

233,938

    

4.00%, 10/20/41, Pool #5203

     256,194  

260,050

    

3.50%, 12/20/41, Pool #5258

     282,717  

459,601

    

4.00%, 1/20/42, Pool #5280

     503,336  

310,918

    

3.50%, 10/20/42, Pool #MA0462

     337,498  

159,804

    

3.00%, 12/20/42, Pool #MA0624

     170,510  

244,666

    

3.00%, 12/20/42, Pool #AA5872

     256,868  

1,589,432

    

3.50%, 1/20/43, Pool #MA0699

     1,703,186  

27,976

    

3.00%, 1/20/43, Pool #MA0698

     29,805  

354,200

    

3.50%, 2/20/43, Pool #MA0783

     384,453  

65,678

    

3.00%, 3/20/43, Pool #AD8812

     71,424  

44,851

    

3.50%, 3/20/43, Pool #AD8884

     48,795  

152,402

    

3.00%, 3/20/43, Pool #AA6146

     167,282  

47,052

    

3.50%, 4/20/43, Pool #AD9075

     51,197  

17,440

    

3.50%, 4/20/43, Pool #AB9891

     18,964  

282,844

    

3.50%, 4/20/43, Pool #783976

     307,220  

4,332

    

4.00%, 7/20/44, Pool #MA2074

     4,743  

64,195

    

4.00%, 5/20/45, Pool #MA2893

     70,130  

94,198

    

4.00%, 8/20/45, Pool #MA3035

     102,907  

3,573

    

4.00%, 9/20/45, Pool #MA3106

     3,903  

3,760

    

4.00%, 10/20/45, Pool #MA3174

     4,108  

4,381

    

4.00%, 12/20/45, Pool #MA3311

     4,786  

4,272

    

4.00%, 1/20/46, Pool #MA3377

     4,668  

179,661

    

4.00%, 4/15/46, Pool #784232

     200,551  

261,714

    

4.00%, 5/20/46, Pool #MA3664

     283,255  

27,055

    

3.50%, 7/20/46, Pool #784391

     29,078  

16,618

    

3.00%, 10/20/46, Pool #MA4003

     17,534  

850,321

    

3.00%, 12/20/46, Pool #MA4126

     897,540  

59,897

    

4.00%, 1/15/47, Pool #AX5831

     64,808  

115,460

    

4.00%, 1/15/47, Pool #AX5857

     124,928  

268,753

    

3.00%, 1/20/47, Pool #MA4195

     283,566  

158,237

    

3.00%, 2/20/47, Pool #MA4261

     166,547  

33,594

    

4.00%, 3/20/47, Pool #MA4322

     36,119  

34,860

    

4.00%, 4/20/47, Pool #MA4383

     37,481  

244,597

    

4.00%, 4/20/47, Pool #784303

     260,010  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
U.S. Government Agency Mortgages, continued   
Government National Mortgage Association, continued

 

$253,880

    

4.00%, 4/20/47, Pool #784304

   $        269,786  

21,988

    

4.00%, 5/20/47, Pool #MA4452

     23,735  

92,923

    

4.00%, 6/20/47, Pool #MA4511

     99,909  

93,720

    

4.00%, 4/20/48, Pool #BG7744

     101,432  

103,309

    

4.00%, 4/20/48, Pool #BG3507

     111,810  

90,381

    

3.00%, 6/20/50, Pool #MA6710

     94,444  

52,011

    

3.00%, 7/20/50, Pool #MA6766

     54,333  

500,000

    

3.50%, 10/20/50, TBA

     525,625  

109,175

    

3.50%, 11/20/50, Pool #MA6997

     114,940  

434,085

    

2.50%, 3/20/51, Pool #MA7255

     448,317  

410,211

    

2.50%, 4/20/51, Pool #MA7312

     423,673  

166,649

    

3.00%, 6/20/51, Pool #MA7419

     174,675  

400,000

    

2.50%, 10/20/51, TBA

     412,625  

1,825,000

    

2.00%, 10/20/51, TBA

     1,849,523  

200,000

    

2.50%, 11/20/51, TBA

     205,961  

2,100,000

    

2.00%, 11/20/51, TBA

     2,124,609  
       

 

 

 

          15,568,149  
       

 

 

 

Federal Home Loan Mortgage Corporation (2.5%)

 

29,265

    

2.50%, 6/1/31, Pool #G18604

     30,571  

47,611

    

2.50%, 7/1/31, Pool #V61246

     49,930  

84,406

    

2.50%, 8/1/31, Pool #V61273

     88,803  

306,461

    

3.50%, 3/1/32, Pool #C91403

     327,267  

879,184

    

3.50%, 7/1/32, Pool #C91467

     938,836  

8,075

    

2.50%, 8/1/32, Pool #G18654

     8,429  

8,829

    

2.50%, 11/1/32, Pool #G18665

     9,217  

264,239

    

2.50%, 12/1/32, Pool #G18669

     275,843  

42,864

    

2.50%, 3/1/33, Pool #G18680

     44,685  

15,643

    

2.50%, 4/1/33, Pool #G18683

     16,309  

37,354

    

3.00%, 4/1/33, Pool #K90336

     39,701  

103,078

    

3.00%, 4/1/33, Pool #G18684

     108,582  

8,601

    

2.50%, 5/1/33, Pool #G18687

     8,967  

143,297

    

4.00%, 6/1/33, Pool #G30718

     155,373  

42,521

    

3.00%, 6/1/33, Pool #K90684

     45,169  

94,174

    

3.00%, 6/1/33, Pool #K90632

     100,101  

63,035

    

3.00%, 6/1/33, Pool #K90806

     66,973  

39,860

    

3.00%, 6/1/33, Pool #C91709

     42,367  

186,367

    

3.00%, 7/1/33, Pool #C91714

     198,118  

177,703

    

2.50%, 7/1/33, Pool #G16661

     185,564  

37,693

    

3.00%, 4/1/34, Pool #G16829

     39,757  

337,201

    

3.50%, 10/1/34, Pool #C91793

     362,567  

632,471

    

4.00%, 5/1/37, Pool #C91938

     689,567  

30,445

    

3.50%, 4/1/40, Pool #V81744

     32,690  

45,560

    

3.50%, 5/1/40, Pool #V81750

     48,920  

64,591

    

3.50%, 6/1/40, Pool #V81792

     69,354  

33,461

    

3.50%, 8/1/40, Pool #V81886

     35,929  

19,823

    

3.50%, 9/1/40, Pool #V81958

     21,285  

39,092

    

4.50%, 1/1/41, Pool #A96051

     42,481  

347,454

    

4.00%, 1/1/41, Pool #A96413

     380,498  

240,240

    

4.00%, 2/1/41, Pool #A96807

     263,026  

36,236

    

4.50%, 3/1/41, Pool #A97673

     40,044  

57,460

    

4.50%, 4/1/41, Pool #A97942

     63,504  

196,247

    

5.00%, 6/1/41, Pool #G06596

     223,815  

707,341

    

4.50%, 1/1/42, Pool #G60517

     790,886  

30,176

    

4.00%, 11/1/42, Pool #Q13121

     32,736  

91,800

    

3.00%, 12/1/42, Pool #C04320

     98,180  

42,177

    

4.00%, 5/1/43, Pool #Q18481

     46,521  

33,331

    

4.00%, 7/1/43, Pool #Q19597

     36,800  

31,525

    

4.00%, 10/1/43, Pool #Q22499

     34,697  

46,078

    

4.00%, 1/1/44, Pool #V80950

     49,715  

112,353

    

3.50%, 1/1/44, Pool #G60271

     123,128  

222,380

    

3.50%, 1/1/44, Pool #G07922

     244,534  

187,203

    

4.00%, 1/1/45, Pool #Q30720

     204,213  

124,822

    

4.00%, 2/1/45, Pool #G07949

     138,333  

30,169

    

3.50%, 3/1/45, Pool #Q31974

     32,830  

58,288

    

3.50%, 3/1/45, Pool #Q32008

     63,473  
Principal
Amount
           Value       
U.S. Government Agency Mortgages, continued   
Federal Home Loan Mortgage Corporation, continued

 

$30,614

    

3.50%, 3/1/45, Pool #Q32328

   $          33,350  

151,415

    

3.50%, 5/1/45, Pool #Q33547

     164,190  

21,804

    

3.00%, 5/1/45, Pool #Q33468

     23,351  

147,333

    

3.00%, 6/1/45, Pool #Q34156

     157,807  

28,598

    

3.50%, 6/1/45, Pool #Q33791

     31,007  

183,823

    

3.50%, 6/1/45, Pool #Q34164

     199,313  

14,237

    

3.00%, 7/1/45, Pool #Q34979

     15,372  

38,797

    

3.00%, 7/1/45, Pool #Q34759

     41,819  

89,890

    

4.00%, 8/1/45, Pool #Q35845

     100,948  

11,013

    

4.00%, 9/1/45, Pool #Q37853

     12,110  

211,467

    

3.50%, 11/1/45, Pool #Q37467

     230,311  

5,264

    

4.00%, 11/1/45, Pool #Q38812

     5,786  

16,036

    

4.00%, 2/1/46, Pool #Q38783

     17,337  

4,492

    

4.00%, 2/1/46, Pool #Q38879

     4,943  

12,450

    

4.00%, 2/1/46, Pool #Q38782

     13,694  

39,580

    

4.00%, 4/1/46, Pool #V82292

     43,341  

7,160

    

4.00%, 4/1/46, Pool #Q39975

     7,866  

74,156

    

3.50%, 5/1/46, Pool #Q40647

     80,263  

79,653

    

3.50%, 5/1/46, Pool #G60603

     87,236  

252,284

    

3.50%, 5/1/46, Pool #G60553

     274,157  

217,298

    

3.50%, 9/1/46, Pool #Q43257

     238,099  

10,304

    

4.00%, 9/1/47, Pool #Q50433

     11,409  

15,033

    

4.00%, 10/1/47, Pool #Q51189

     16,646  

11,316

    

4.00%, 2/1/48, Pool #Q54192

     12,323  

148,732

    

3.50%, 3/1/48, Pool #G67710

     159,748  

180,050

    

4.00%, 5/1/48, Pool #Q55992

     196,068  

528,139

    

4.00%, 6/1/48, Pool #G67713

     580,191  

63,574

    

4.00%, 7/1/48, Pool #Q59935

     70,079  

423,836

    

2.50%, 10/1/50, Pool #SD7525

     442,783  

621,231

    

2.50%, 11/1/50, Pool #SD7530

     646,663  

47,148

    

2.50%, 2/1/51, Pool #SD7535

     49,160  

147,801

    

2.00%, 5/1/51, Pool #SD7541

     149,337  

14,672

    

2.00%, 7/1/51, Pool #QC4163

     14,797  

349,917

    

2.00%, 10/1/51, Pool #RA6076

     352,357  
       

 

 

 

          11,434,149  
       

 

 

 

Federal National Mortgage Association (7.2%)

 

110,864

    

2.50%, 6/1/29, Pool #MA3734

     115,544  

72,808

    

2.50%, 9/1/31, Pool #AS8012

     76,240  

371,195

    

3.00%, 4/1/32, Pool #BD9809

     394,827  

159,984

    

3.00%, 9/1/32, Pool #BM5110

     169,187  

346,863

    

2.50%, 12/1/32, Pool #CA3748

     362,051  

479,048

    

3.00%, 12/1/32, Pool #BM5345

     507,758  

26,247

    

3.00%, 3/1/33, Pool #BM4614

     27,869  

38,728

    

3.00%, 5/1/33, Pool #AT3000

     41,179  

36,686

    

3.00%, 6/1/33, Pool #AT6090

     38,989  

1,234

    

4.50%, 7/1/33, Pool #720240

     1,386  

172,360

    

3.00%, 7/1/33, Pool #MA1490

     183,162  

2,954

    

4.50%, 7/1/33, Pool #729327

     3,242  

2,667

    

4.50%, 8/1/33, Pool #727029

     2,995  

9,035

    

4.50%, 8/1/33, Pool #726956

     10,145  

11,606

    

4.50%, 8/1/33, Pool #726928

     13,029  

5,366

    

4.50%, 8/1/33, Pool #723124

     6,026  

3,914

    

4.50%, 8/1/33, Pool #727160

     4,396  

4,229

    

4.50%, 8/1/33, Pool #729713

     4,750  

23,799

    

4.50%, 8/1/33, Pool #729380

     26,718  

7,202

    

4.50%, 9/1/33, Pool #734922

     8,081  

19,366

    

4.50%, 9/1/33, Pool #727147

     21,736  

27,212

    

4.50%, 12/1/33, Pool #AL5321

     30,557  

26,641

    

3.50%, 1/1/34, Pool #AS1406

     28,776  

70,540

    

3.50%, 1/1/34, Pool #AS1611

     76,215  

46,931

    

3.50%, 1/1/34, Pool #AS1612

     50,716  

10,561

    

3.50%, 1/1/34, Pool #AS1614

     11,413  

511,371

    

2.50%, 6/1/34, Pool #BN7572

     535,392  

22,010

    

6.00%, 10/1/34, Pool #AL2130

     26,199  

45,326

    

4.50%, 9/1/35, Pool #AB8198

     50,887  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
           Value       
U.S. Government Agency Mortgages, continued   
Federal National Mortgage Association, continued

 

$430,631

    

6.00%, 5/1/36, Pool #745512

   $        507,904  

207,331

    

6.00%, 1/1/37, Pool #932030

     246,855  

39,820

    

6.00%, 3/1/37, Pool #889506

     47,625  

56,407

    

6.00%, 1/1/38, Pool #889371

     68,627  

19,923

    

6.00%, 3/1/38, Pool #889219

     23,517  

9,807

    

6.00%, 7/1/38, Pool #889733

     11,551  

66,158

    

4.50%, 3/1/39, Pool #AB0051

     74,247  

304,838

    

4.50%, 4/1/39, Pool #AB0043

     342,146  

155,133

    

2.50%, 8/1/39, Pool #MA3761

     160,257  

25,296

    

4.50%, 11/1/39, Pool #AC5442

     28,257  

81,751

    

6.00%, 5/1/40, Pool #AL2129

     96,403  

28,431

    

4.00%, 12/1/40, Pool #AA4757

     31,128  

37,645

    

4.50%, 2/1/41, Pool #AH5580

     41,951  

6,030

    

6.00%, 1/1/42, Pool #AL2128

     7,062  

164,809

    

2.50%, 2/1/43, Pool #AB8465

     171,179  

44,422

    

4.00%, 10/1/43, Pool #BM1167

     49,633  

189,419

    

4.50%, 3/1/44, Pool #AL5082

     206,499  

18,623

    

4.00%, 12/1/44, Pool #AW9502

     20,367  

10,467

    

4.00%, 12/1/44, Pool #AY0045

     11,449  

93,535

    

4.00%, 12/1/44, Pool #AX8459

     104,195  

148,146

    

4.00%, 3/1/45, Pool #AL6541

     164,357  

56,645

    

3.00%, 5/1/45, Pool #AS4972

     60,670  

103,521

    

4.00%, 5/1/45, Pool #AZ1207

     113,346  

30,662

    

4.00%, 5/1/45, Pool #AZ1876

     33,873  

90,900

    

4.00%, 6/1/45, Pool #AY8126

     99,527  

130,790

    

4.00%, 6/1/45, Pool #AY8096

     143,022  

23,017

    

4.00%, 6/1/45, Pool #AZ2719

     25,433  

35,217

    

5.00%, 6/1/45, Pool #AZ3448

     41,649  

35,066

    

4.00%, 6/1/45, Pool #AZ3341

     38,690  

115,791

    

4.00%, 7/1/45, Pool #AZ1783

     126,622  

319,700

    

3.50%, 7/1/45, Pool #AZ0814

     347,970  

157,082

    

4.00%, 7/1/45, Pool #AZ0833

     173,367  

23,235

    

3.00%, 8/1/45, Pool #AZ3728

     24,900  

125,751

    

3.00%, 8/1/45, Pool #AS5634

     134,673  

51,401

    

3.00%, 8/1/45, Pool #AZ8288

     55,027  

66,072

    

4.00%, 10/1/45, Pool #AL7413

     72,697  

377,936

    

4.00%, 10/1/45, Pool #AL7593

     416,090  

20,569

    

4.00%, 11/1/45, Pool #AZ0560

     22,493  

43,625

    

4.00%, 12/1/45, Pool #BA6404

     47,705  

25,546

    

4.00%, 12/1/45, Pool #AS6350

     28,107  

9,630

    

4.00%, 12/1/45, Pool #BC0997

     10,543  

476,574

    

4.00%, 2/1/46, Pool #BC1578

     513,414  

43,757

    

4.50%, 2/1/46, Pool #BM5199

     48,581  

18,969

    

4.00%, 4/1/46, Pool #BC7809

     20,647  

23,506

    

4.00%, 4/1/46, Pool #BC3920

     25,577  

312,103

    

3.50%, 5/1/46, Pool #BC0880

     339,288  

9,675

    

4.00%, 5/1/46, Pool #BC2276

     10,667  

161,978

    

4.00%, 6/1/46, Pool #BC0960

     174,499  

250,233

    

4.00%, 6/1/46, Pool #AL9282

     269,576  

129,803

    

4.00%, 7/1/46, Pool #BC1443

     142,962  

48,778

    

4.00%, 7/1/46, Pool #BC6148

     52,596  

43,091

    

4.00%, 8/1/46, Pool #BD1451

     46,422  

41,742

    

4.50%, 8/1/46, Pool #AL9111

     46,153  

136,947

    

4.00%, 9/1/46, Pool #BC2843

     150,811  

33,615

    

4.00%, 9/1/46, Pool #BD1489

     36,214  

22,210

    

4.00%, 10/1/46, Pool #BD7599

     23,927  

109,099

    

3.50%, 10/1/46, Pool #AL9285

     117,350  

431,126

    

3.50%, 12/1/46, Pool #BC9077

     468,879  

1,448,144

    

4.00%, 2/1/47, Pool #AL9779

     1,601,960  

573,661

    

4.50%, 2/1/47, Pool #AL9846

     626,809  

53,980

    

3.50%, 2/1/47, Pool #BE5696

     57,961  

7,436

    

4.00%, 6/1/47, Pool #BH4269

     8,186  

437,099

    

4.50%, 9/1/49, Pool #FM1534

     485,551  

111,679

    

3.50%, 11/1/49, Pool #CA4557

     120,085  

534,430

    

4.00%, 11/1/49, Pool #CA4628

     586,692  

133,147

    

3.00%, 2/1/50, Pool #CA5126

     140,610  
Principal
Amount
           Value       
U.S. Government Agency Mortgages, continued   
Federal National Mortgage Association, continued

 

$378,838

    

2.50%, 8/1/50, Pool #SD0430

   $        392,637  

197,311

    

2.50%, 2/1/51, Pool #CA8950

     204,602  

49,367

    

2.00%, 5/1/51, Pool #FM7750

     49,788  

11,236

    

2.00%, 7/1/51, Pool #BT1461

     11,332  

23,367

    

2.00%, 7/1/51, Pool #BT1835

     23,566  

49,742

    

2.50%, 8/1/51, Pool #CB1384

     51,593  

350,033

    

2.00%, 10/1/51, Pool #CB1801

     353,125  

263,666

    

2.00%, 10/1/51, Pool #CB1799

     266,817  

2,725,000

    

2.50%, 10/25/51, TBA

     2,807,602  

1,000,000

    

1.50%, 10/25/51, TBA

     970,469  

2,475,000

    

3.00%, 10/25/51, TBA

     2,588,695  

4,300,000

    

2.00%, 10/25/51, TBA

     4,308,062  

3,025,000

    

2.50%, 11/25/51, TBA

     3,110,669  

300,000

    

1.50%, 11/25/51, TBA

     290,766  

3,900,000

    

2.00%, 11/25/51, TBA

     3,900,000  
       

 

 

 

          32,706,218  
  

 

 

 

Total U.S. Government Agency Mortgages

(Cost $58,429,306)

     59,708,516  
  

 

 

 

U.S. Treasury Obligations (30.6%):   
U.S. Treasury Notes (20.7%)

 

2,034,000

    

2.13%, 7/31/24

     2,127,755  

19,438,000

    

0.25%, 7/31/25

     19,061,389  

4,710,000

    

0.38%, 12/31/25

     4,613,592  

7,700,000

    

0.38%, 1/31/26

     7,531,562  

9,253,000

    

0.75%, 3/31/26

     9,186,494  

6,600,000

    

0.75%, 4/30/26

     6,546,375  

3,535,600

    

1.63%, 9/30/26

     3,643,878  

17,365,000

    

1.25%, 5/31/28

     17,329,727  

6,946,000

    

1.13%, 8/31/28

     6,858,090  

10,936,900

    

1.13%, 2/15/31

     10,584,869  

7,008,000

    

1.25%, 8/15/31

     6,830,610  
       

 

 

 

          94,314,341  
       

 

 

 

U.S. Treasury Bonds (8.0%)

 

2,566,000

    

1.13%, 5/15/40

     2,213,175  

11,313,000

    

3.00%, 2/15/47

     13,372,320  

4,316,800

    

2.38%, 5/15/51

     4,594,019  

16,676,000

    

2.00%, 8/15/51

     16,339,874  
       

 

 

 

          36,519,388  
       

 

 

 

U.S. Treasury Inflation Index Bonds (1.5%)

 

3,630,458

    

0.75%, 2/15/45

     4,446,905  

91,354

    

1.00%, 2/15/46

     118,450  

1,106,435

    

1.00%, 2/15/49

     1,475,247  

920,731

    

0.13%, 2/15/51

     1,003,894  
       

 

 

 

          7,044,496  
       

 

 

 

U.S. Treasury Inflation Index Notes (0.4%)

 

497,269

    

0.88%, 1/15/29

     574,126  

1,013,755

    

0.25%, 7/15/29

     1,126,714  
       

 

 

 

          1,700,840  
  

 

 

 

Total U.S. Treasury Obligations (Cost $142,019,224)

     139,579,065  
  

 

 

 

Short-Term Security Held as Collateral for Securities on Loan (0.5%):

 

2,325,580

     BlackRock Liquidity FedFund, Institutional Class , 0.03%(f)(g)      2,325,580  
       

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan (Cost $2,325,580)

     2,325,580  
  

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Fidelity Institutional Asset Management Total Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares            Value       
Unaffiliated Investment Company (8.1%):   
Money Markets (8.1%):   

37,070,816

     Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(g)    $   37,070,816  
       

 

 

 

Total Unaffiliated Investment Company (Cost $37,070,816)

     37,070,816  
  

 

 

 

Total Investment Securities

(Cost $471,540,403) - 106.0%

     483,584,999  

Net other assets (liabilities) - (6.0)%

     (27,806,055
  

 

 

 

Net Assets - 100.0%

     $ 455,778,944  
  

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

GO    -    General Obligation
H15T1Y    -    1 Year Treasury Constant Maturity Rate
H15T5Y    -    5 Year Treasury Constant Maturity Rate
LIBOR    -    London Interbank Offered Rate
MTN    -    Medium Term Note
SOFR    -    Secured Overnight Financing Rate
TBA    -    To Be Announced Security
US0001M    -    1 Month US Dollar LIBOR
US0003M    -    3 Month US Dollar LIBOR
USSW5    -    USD 5 Year Swap Rate

 

*

Non-income producing security.

^

This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities on loan as of September 30, 2021 was $2,231,606.

Represents less than 0.05%.

(a)

Rule 144A, Section 4(2) or other security which is restricted to resale to institutional investors. The sub-adviser has deemed these securities to be liquid based on procedures approved by the Board of Trustees.

(b)

The rate for certain asset-backed and mortgage-backed securities may vary based on factors relating to the pool of assets underlying the security. The rate presented is the rate in effect at September 30, 2021.

(c)

Security was valued using unobservable inputs in good faith pursuant to procedures approved by the Board of Trustees as of September 30, 2021. The total of all such securities represent 0.00% of the net assets of the fund.

(d)

Rule 144A, Section 4(2) or other security which is restricted to resale to institutional investors. The sub-adviser has deemed these securities to be illiquid based on procedures approved by the Board of Trustees. As of September 30, 2021, these securities represent 0.09% of the net assets of the fund.

(e)

Defaulted bond.

(f)

Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.

(g)

The rate represents the effective yield at September 30, 2021.

Amounts shown as “—” are either $0 or rounds to less than $1.

The following represents the concentrations by country of risk (based on the domicile of the security issuer) relative to the total value of investments as of September 30, 2021:

(Unaudited)

 

Country

   Percentage

Argentina

     0.1

Australia

     0.1

Canada

     0.7

Cayman Islands

     1.8

Chile

     0.1

Colombia

      % 

Dominican Republic

     0.4

France

     0.4

Germany

     0.8

Guernsey

     0.6

Hong Kong

     0.2

Indonesia

     0.3

Ireland

     0.4

Italy

     0.4

Luxembourg

     0.5

Mexico

     0.9

Netherlands

     0.5

Qatar

     0.3

Saudi Arabia

     0.2

Spain

      % 

Supernational

     0.1

Switzerland

     0.4

United Arab Emirates

     0.2

United Kingdom

     1.7

United States

     88.9

Zambia

      % 
  

 

 

 

     100.0
  

 

 

 

 

Represents less than 0.05%.

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Gateway Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks+ (97.9%):   
Aerospace & Defense (1.5%):   
2,771   Boeing Co. (The)*    $ 609,454  
754   HEICO Corp.      99,430  
10,292   Raytheon Technologies Corp.      884,700  
490   Teledyne Technologies, Inc.*      210,494  
453   TransDigm Group, Inc.*      282,930  
    

 

 

 

       2,087,008  
    

 

 

 

Air Freight & Logistics (0.6%):   
695   GXO Logistics, Inc.*      54,516  
4,062   United Parcel Service, Inc., Class B      739,690  
695   XPO Logistics, Inc.*      55,308  
    

 

 

 

       849,514  
    

 

 

 

Airlines (0.3%):   
2,880   Alaska Air Group, Inc.*      168,768  
7,555   JetBlue Airways Corp.*      115,516  
2,658   United Airlines Holdings, Inc.*      126,441  
    

 

 

 

       410,725  
    

 

 

 

Auto Components (0.1%):   
659   Autoliv, Inc.      56,490  
2,096   Goodyear Tire & Rubber Co. (The)*      37,099  
    

 

 

 

       93,589  
    

 

 

 

Automobiles (2.1%):   
27,978   Ford Motor Co.*      396,169  
6,340   General Motors Co.*      334,181  
2,915   Tesla, Inc.*      2,260,524  
    

 

 

 

       2,990,874  
    

 

 

 

Banks (4.4%):   
4,708   Associated Banc-Corp.      100,845  
41,827   Bank of America Corp.             1,775,556  
11,375   Citigroup, Inc.      798,297  
16,427   JPMorgan Chase & Co.      2,688,936  
309   Signature Bank      84,135  
18,244   Wells Fargo & Co.      846,704  
    

 

 

 

       6,294,473  
    

 

 

 

Beverages (1.3%):   
7,271   Keurig Dr Pepper, Inc.      248,378  
4,757   Monster Beverage Corp.*      422,564  
8,059   PepsiCo, Inc.      1,212,154  
    

 

 

 

       1,883,096  
    

 

 

 

Biotechnology (1.8%):   
8,421   AbbVie, Inc.      908,373  
2,930   Amgen, Inc.      623,064  
919   Biogen, Inc.*      260,068  
733   Exact Sciences Corp.*      69,965  
701   Ionis Pharmaceuticals, Inc.*      23,512  
558   Moderna, Inc.*      214,752  
390   Seagen, Inc.*      66,222  
1,841   Vertex Pharmaceuticals, Inc.*      333,939  
    

 

 

 

       2,499,895  
    

 

 

 

Building Products (0.3%):   
6,642   Carrier Global Corp.      343,790  
381   Lennox International, Inc.      112,079  
    

 

 

 

       455,869  
    

 

 

 

Capital Markets (2.1%):   
7,596   Charles Schwab Corp. (The)      553,293  
277   FactSet Research Systems, Inc.      109,354  
4,639   Intercontinental Exchange, Inc.      532,650  
9,454   Morgan Stanley      919,969  
784   MSCI, Inc., Class A      476,938  
1,092  

S&P Global, Inc.

     463,980  
       3,056,184  
    

 

 

 

Chemicals (1.5%):   
1,521   Ashland Global Holdings, Inc.      135,551  
1,940   Celanese Corp.      292,242  
Shares         Value
Common Stocks, continued   
Chemicals, continued   
6,264   Corteva, Inc.    $ 263,589  
5,491   Dow, Inc.      316,062  
2,313   Eastman Chemical Co.      233,012  
559   Ingevity Corp.*      39,896  
3,121   LyondellBasell Industries NV, Class A      292,906  
3,671   Mosaic Co. (The)      131,128  
2,197   Olin Corp.      106,005  
1,819   RPM International, Inc.      141,245  
3,695   Valvoline, Inc.      115,210  
    

 

 

 

       2,066,846  
    

 

 

 

Commercial Services & Supplies (0.8%):   
2,280   Copart, Inc.*      316,282  
1,310   Waste Connections, Inc.      164,968  
4,578   Waste Management, Inc.      683,770  
    

 

 

 

       1,165,020  
    

 

 

 

Communications Equipment (1.0%):   
25,114   Cisco Systems, Inc.             1,366,955  
    

 

 

 

Construction Materials (0.2%):   
803   Martin Marietta Materials, Inc.      274,369  
    

 

 

 

Consumer Finance (0.7%):   
2,313   Ally Financial, Inc.      118,079  
3,377   Discover Financial Services      414,864  
8,310   Synchrony Financial      406,193  
    

 

 

 

       939,136  
    

 

 

 

Containers & Packaging (0.5%):   
1,375   Avery Dennison Corp.      284,914  
1,645   Crown Holdings, Inc.      165,783  
1,794   Sonoco Products Co.      106,887  
3,934   WestRock Co.      196,031  
    

 

 

 

       753,615  
    

 

 

 

Distributors (0.2%):   
1,989   Genuine Parts Co.      241,126  
    

 

 

 

Diversified Consumer Services (0.1%):   
1,265   Service Corp. International      76,229  
    

 

 

 

Diversified Financial Services (1.7%):   
8,129   Berkshire Hathaway, Inc., Class B*      2,218,729  
2,517   Voya Financial, Inc.      154,519  
    

 

 

 

       2,373,248  
    

 

 

 

Diversified Telecommunication Services (1.1%):   
28,155   AT&T, Inc.      760,467  
16,126   Verizon Communications, Inc.      870,965  
    

 

 

 

       1,631,432  
    

 

 

 

Electric Utilities (1.0%):   
6,140   Alliant Energy Corp.      343,717  
7,376   American Electric Power Co., Inc.      598,784  
3,771   Evergy, Inc.      234,556  
5,063   FirstEnergy Corp.      180,344  
2,734   OGE Energy Corp.      90,113  
    

 

 

 

       1,447,514  
    

 

 

 

Electrical Equipment (0.5%):   
3,692   Eaton Corp. plc      551,253  
932   Hubbell, Inc.      168,384  
    

 

 

 

       719,637  
    

 

 

 

Electronic Equipment, Instruments &
Components (0.7%):
  
1,815   CDW Corp.      330,366  
6,993   Corning, Inc.      255,175  
1,120   Trimble, Inc.*      92,120  
624   Zebra Technologies Corp., Class A*      321,622  
    

 

 

 

       999,283  
    

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Gateway Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Energy Equipment & Services (0.2%):   
10,376   Halliburton Co.    $ 224,329  
3,188   Helmerich & Payne, Inc.      87,383  
    

 

 

 

       311,712  
    

 

 

 

Entertainment (2.0%):   
1,477   Live Nation Entertainment, Inc.*      134,599  
2,040   Netflix, Inc.*      1,245,093  
8,429   Walt Disney Co. (The)*      1,425,934  
    

 

 

 

       2,805,626  
    

 

 

 

Equity Real Estate Investment Trusts (2.3%):   
4,727   American Homes 4 Rent, Class A      180,193  
2,165   American Tower Corp.      574,613  
1,559   Camden Property Trust      229,906  
2,293   CubeSmart      111,096  
3,530   Douglas Emmett, Inc.      111,583  
6,609   Duke Realty Corp.      316,373  
2,664   Equity Lifestyle Properties, Inc.      208,059  
4,953   Healthcare Realty Trust, Inc.      147,500  
6,565   Invitation Homes, Inc.      251,637  
1,178   Kilroy Realty Corp.      77,995  
8,334   Medical Properties Trust, Inc.      167,263  
2,751   National Retail Properties, Inc.      118,816  
3,568   Sabra Health Care REIT, Inc.      52,521  
1,788   Simon Property Group, Inc.      232,386  
894   Sun Communities, Inc.      165,480  
5,031   UDR, Inc.      266,542  
1,156   WP Carey, Inc.      84,434  
    

 

 

 

       3,296,397  
    

 

 

 

Food & Staples Retailing (1.6%):   
499   Casey’s General Stores, Inc.      94,036  
2,489   Costco Wholesale Corp.      1,118,432  
357   US Foods Holding Corp.*      12,374  
7,403   Walmart, Inc.             1,031,830  
    

 

 

 

       2,256,672  
    

 

 

 

Food Products (0.8%):   
1,796   Bunge, Ltd.      146,051  
1,871   Lamb Weston Holdings, Inc.      114,823  
12,983   Mondelez International, Inc., Class A      755,351  
817   Post Holdings, Inc.*      90,001  
    

 

 

 

       1,106,226  
    

 

 

 

Gas Utilities (0.0%):   
1,413   UGI Corp.      60,222  
    

 

 

 

Health Care Equipment & Supplies (3.1%):   
9,265   Abbott Laboratories      1,094,475  
4,365   Baxter International, Inc.      351,077  
10,380   Boston Scientific Corp.*      450,388  
4,826   Edwards Lifesciences Corp.*      546,352  
247   Insulet Corp.*      70,205  
776   Intuitive Surgical, Inc.*      771,460  
5,744   Medtronic plc      720,010  
1,025   Steris plc      209,387  
548   Teleflex, Inc.      206,349  
    

 

 

 

       4,419,703  
    

 

 

 

Health Care Providers & Services (2.8%):   
1,568   Anthem, Inc.      584,551  
7,320   CVS Health Corp.      621,175  
2,263   HCA Healthcare, Inc.      549,275  
317   Molina Healthcare, Inc.*      86,005  
4,915   UnitedHealth Group, Inc.      1,920,487  
1,196   Universal Health Services, Inc., Class B      165,491  
    

 

 

 

       3,926,984  
    

 

 

 

Health Care Technology (0.1%):

  
654   Veeva Systems, Inc., Class A*      188,463  
    

 

 

 

Shares         Value
Common Stocks, continued   
Hotels, Restaurants & Leisure (1.4%):   
894   DraftKings, Inc., Class A*    $ 43,055  
2,911   Hilton Grand Vacations, Inc.*      138,476  
3,148   Hilton Worldwide Holdings, Inc.*      415,882  
4,253   McDonald’s Corp.      1,025,441  
5,330   Melco Resorts & Entertainment, Ltd., ADR*      54,579  
3,002   Restaurant Brands International, Inc.      183,951  
231   Vail Resorts, Inc.*      77,166  
3,956   Wendy’s Co. (The)      85,766  
    

 

 

 

       2,024,316  
    

 

 

 

Household Durables (0.3%):   
3,905   Newell Brands, Inc.      86,457  
45   NVR, Inc.*      215,733  
121   Roku, Inc.*      37,915  
2,454   Toll Brothers, Inc.      135,682  
    

 

 

 

       475,787  
    

 

 

 

Household Products (1.4%):   
1,726   Clorox Co. (The)      285,843  
12,291   Procter & Gamble Co. (The)      1,718,282  
    

 

 

 

       2,004,125  
    

 

 

 

Industrial Conglomerates (1.4%):   
3,846   3M Co.      674,666  
4,609   General Electric Co.      474,865  
4,004   Honeywell International, Inc.      849,969  
    

 

 

 

              1,999,500  
    

 

 

 

Insurance (2.0%):   
10,768   Aflac, Inc.      561,336  
3,061   Allstate Corp. (The)      389,696  
1,162   American Financial Group, Inc.      146,215  
1,935   Aon plc, Class A      552,965  
2,172   Arch Capital Group, Ltd.*      82,927  
3,500   Arthur J. Gallagher & Co.      520,275  
1,947   Brown & Brown, Inc.      107,961  
1,392   Fidelity National Financial, Inc.      63,113  
2,531   Lincoln National Corp.      174,006  
59   Markel Corp.*      70,513  
451   RenaissanceRe Holdings, Ltd.      62,869  
4,933   Unum Group      123,621  
    

 

 

 

       2,855,497  
    

 

 

 

Interactive Media & Services (6.8%):   
537   Alphabet, Inc., Class A*      1,435,680  
1,719   Alphabet, Inc., Class C*      4,581,668  
9,699   Facebook, Inc., Class A*      3,291,744  
292   Match Group, Inc.*      45,841  
3,902   Twitter, Inc.*      235,642  
307   Zillow Group, Inc., Class C*      27,059  
    

 

 

 

       9,617,634  
    

 

 

 

Internet & Direct Marketing Retail (4.3%):   
1,713   Amazon.com, Inc.*      5,627,273  
195   Booking Holdings, Inc.*      462,905  
47   MercadoLibre, Inc.*      78,932  
    

 

 

 

       6,169,110  
    

 

 

 

IT Services (4.5%):   
2,768   Automatic Data Processing, Inc.      553,378  
229   Black Knight, Inc.*      16,488  
217   Booz Allen Hamilton Holding Corp.      17,219  
262   EPAM Systems, Inc.*      149,466  
2,879   Fidelity National Information Services, Inc.      350,317  
3,130   MasterCard, Inc., Class A      1,088,238  
3,776   Paychex, Inc.      424,611  
5,648   PayPal Holdings, Inc.*      1,469,666  
38   Shopify, Inc., Class A*      51,520  
296   Square, Inc., Class A*      70,993  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Gateway Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
IT Services, continued   
164   Twilio, Inc., Class A*    $ 52,324  
1,578   VeriSign, Inc.*      323,506  
8,465   Visa, Inc., Class A      1,885,579  
    

 

 

 

       6,453,305  
    

 

 

 

Leisure Products (0.0%):   
30   Polaris, Inc.      3,590  
    

 

 

 

Life Sciences Tools & Services (1.0%):   
312   ICON plc*      81,750  
952   Illumina, Inc.*      386,141  
1,679   Thermo Fisher Scientific, Inc.      959,263  
    

 

 

 

       1,427,154  
    

 

 

 

Machinery (1.6%):   
3,445   Caterpillar, Inc.      661,337  
1,678   Cummins, Inc.      376,812  
1,750   Deere & Co.      586,372  
1,159   Parker-Hannifin Corp.      324,079  
2,292   Pentair plc      166,468  
719   Snap-On, Inc.      150,235  
1,193   Timken Co.      78,046  
    

 

 

 

       2,343,349  
    

 

 

 

Media (1.1%):   
20,603   Comcast Corp., Class A      1,152,326  
1,004   Discovery, Inc., Class A*      25,481  
627   Liberty Broadband Corp., Class C*      108,283  
2,171   Liberty Global plc, Class C*      63,957  
4,351   News Corp., Class B      101,074  
9,768   Sirius XM Holdings, Inc.      59,585  
    

 

 

 

              1,510,706  
    

 

 

 

Metals & Mining (0.4%):   
5,259   Freeport-McMoRan, Inc.      171,075  
1,815   Southern Copper Corp.      101,894  
2,558   Steel Dynamics, Inc.      149,592  
1,549   Worthington Industries, Inc.      81,632  
    

 

 

 

       504,193  
    

 

 

 

Mortgage Real Estate Investment Trusts (0.1%):   
12,352   Annaly Capital Management, Inc.      104,004  
    

 

 

 

Multiline Retail (0.6%):   
850   Nordstrom, Inc.*      22,482  
3,419   Target Corp.      782,165  
    

 

 

 

       804,647  
    

 

 

 

Multi-Utilities (1.3%):   
6,778   Ameren Corp.      549,018  
5,748   CenterPoint Energy, Inc.      141,401  
5,141   Consolidated Edison, Inc.      373,185  
6,202   Public Service Enterprise Group, Inc.      377,702  
4,263   WEC Energy Group, Inc.      375,996  
    

 

 

 

       1,817,302  
    

 

 

 

Oil, Gas & Consumable Fuels (2.5%):   
1,167   Cheniere Energy, Inc.*      113,981  
8,812   Chevron Corp.      893,977  
9,547   ConocoPhillips      647,000  
17,385   Exxon Mobil Corp.      1,022,586  
1,236   HollyFrontier Corp.      40,949  
9,165   Occidental Petroleum Corp.      271,101  
4,210   ONEOK, Inc.      244,138  
3,706   Phillips 66      259,531  
    

 

 

 

       3,493,263  
    

 

 

 

Personal Products (0.0%):   
555   Herbalife Nutrition, Ltd.*      23,521  
    

 

 

 

Pharmaceuticals (3.8%):   
12,150   Bristol-Myers Squibb Co.      718,915  
3,716   Eli Lilly & Co.      858,582  
33   Jazz Pharmaceuticals plc*      4,297  
Shares         Value
Common Stocks, continued   
Pharmaceuticals, continued   
11,048   Johnson & Johnson    $ 1,784,252  
11,107   Merck & Co., Inc.      834,247  
1,197   Organon & Co.      39,250  
25,244   Pfizer, Inc.      1,085,744  
4,911   Viatris, Inc.      66,544  
    

 

 

 

       5,391,831  
    

 

 

 

Professional Services (0.3%):   
1,859   CoStar Group, Inc.*      159,985  
856   ManpowerGroup, Inc.      92,688  
1,005   TransUnion      112,872  
    

 

 

 

       365,545  
    

 

 

 

Road & Rail (0.9%):   
2,100   Canadian Pacific Railway, Ltd.      136,647  
19,901   CSX Corp.      591,856  
907   J.B. Hunt Transport Services, Inc.      151,668  
892   Lyft, Inc., Class A*      47,802  
1,171   Old Dominion Freight Line, Inc.      334,883  
1,047   Uber Technologies, Inc.*      46,906  
    

 

 

 

              1,309,762  
    

 

 

 

Semiconductors & Semiconductor Equipment (5.7%):   
6,116   Advanced Micro Devices, Inc.*      629,336  
3,185   Analog Devices, Inc.      533,424  
3,310   Applied Materials, Inc.      426,096  
1,867   Broadcom, Inc.      905,364  
16,797   Intel Corp.      894,944  
1,551   Marvell Technology, Inc.      93,541  
5,697   Micron Technology, Inc.      404,373  
10,934   NVIDIA Corp.      2,265,088  
5,574   Qualcomm, Inc.      718,935  
1,984   Teradyne, Inc.      216,593  
5,062   Texas Instruments, Inc.      972,967  
    

 

 

 

       8,060,661  
    

 

 

 

Software (9.7%):   
2,625   Adobe, Inc.*      1,511,265  
3,517   Cadence Design Systems, Inc.*      532,614  
1,474   Fortinet, Inc.*      430,467  
30,056   Microsoft Corp.      8,473,388  
2,175   Nuance Communications, Inc.*      119,712  
9,487   Oracle Corp.      826,602  
298   Palo Alto Networks, Inc.*      142,742  
777   PTC, Inc.*      93,077  
3,331   salesforce.com, Inc.*      903,434  
975   ServiceNow, Inc.*      606,713  
365   SS&C Technologies Holdings, Inc.      25,331  
428   Workday, Inc., Class A*      106,953  
127   Zoom Video Communications, Inc., Class A*      33,211  
    

 

 

 

       13,805,509  
    

 

 

 

Specialty Retail (2.0%):   
2,132   American Eagle Outfitters, Inc.      55,006  
336   Burlington Stores, Inc.*      95,279  
668   Foot Locker, Inc.      30,501  
5,288   Home Depot, Inc. (The)      1,735,839  
4,573   Lowe’s Cos., Inc.      927,679  
    

 

 

 

       2,844,304  
    

 

 

 

Technology Hardware, Storage & Peripherals (6.2%):   
61,615   Apple, Inc.      8,718,522  
727   Dell Technologies, Inc., Class C*      75,637  
    

 

 

 

       8,794,159  
    

 

 

 

Textiles, Apparel & Luxury Goods (0.7%):   
315   Lululemon Athletica, Inc.*      127,480  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Gateway Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Textiles, Apparel & Luxury Goods, continued   
5,604   Nike, Inc., Class B    $ 813,869  
    

 

 

 

       941,349  
    

 

 

 

Tobacco (0.5%):   
15,612   Altria Group, Inc.      710,658  
    

 

 

 

Trading Companies & Distributors (0.0%):   
517   GATX Corp.      46,302  
    

 

 

 

Total Common Stocks (Cost $54,892,203)

     138,948,725  
  

 

 

 

Purchased Options (1.2%):   

Total Purchased Options (Cost $1,568,562)

     1,597,145  
  

 

 

 

Shares         Value
Unaffiliated Investment Company (1.2%):   
Money Markets (1.2%):   
1,742,937   Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(a)      1,742,937  
    

 

 

 

Total Unaffiliated Investment Company
(Cost $1,742,937)

     1,742,937  
  

 

 

 

Total Investment Securities
(Cost $58,203,702) - 100.3%

     142,288,807  

Net other assets (liabilities) - (0.3)%

     (365,197
  

 

 

 

Net Assets - 100.0%

   $   141,923,610  
  

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

ADR

 

-

 

American Depository Receipt

REIT

 

-

 

Real Estate Investment Trust

 

*

Non-income producing security.

+

All or a portion of each common stock has been pledged as collateral for outstanding call options written.

Represents less than 0.05%.

(a)

The rate represents the effective yield at September 30, 2021.

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Gateway Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

At September 30, 2021, the Fund’s exchange traded options purchased were as follows:

 

Description    Put/
Call
   Strike Price      Expiration
Date
     Contracts      Notional
Amount(a)
     Value  

S&P 500 Index

   Put      3975.00 USD        10/15/21        47      $ 186,825      $ 44,885  

S&P 500 Index

   Put      3950.00 USD        11/19/21        48        189,600        205,200  

S&P 500 Index

   Put      3975.00 USD        11/19/21        47        186,825        216,435  

S&P 500 Index

   Put      4000.00 USD        11/19/21        48        192,000        238,080  

S&P 500 Index

   Put      4025.00 USD        11/19/21        35        140,875        187,075  

S&P 500 Index

   Put      4000.00 USD        12/17/21        94        376,000        705,470  
                 

 

 

 

Total (Cost $1,568,562)

               $   1,597,145  
              

 

 

 

At September 30, 2021, the Fund’s exchange traded options written were as follows:

 

Description    Put/
Call
   Strike Price      Expiration
Date
     Contracts      Notional
Amount(a)
     Value  

S&P 500 Index

   Call      4425.00 USD        10/15/21        36      $ 159,300      $ (51,120

S&P 500 Index

   Call      4450.00 USD        10/15/21        36        160,200        (30,060

S&P 500 Index

   Call      4475.00 USD        10/15/21        36        161,100        (16,920

S&P 500 Index

   Call      4500.00 USD        10/15/21        36        162,000        (9,720

S&P 500 Index

   Call      4525.00 USD        10/15/21        35        158,375        (5,513

S&P 500 Index

   Call      4600.00 USD        10/15/21        35        161,000        (1,750

S&P 500 Index

   Call      4500.00 USD        11/19/21        35        157,500        (86,625

S&P 500 Index

   Call      4525.00 USD        11/19/21        35        158,375        (63,350

S&P 500 Index

   Call      4600.00 USD        11/19/21        35        161,000        (22,400
                 

 

 

 

Total (Premiums $2,552,654)

               $ (287,458
              

 

 

 

 

(a)

Notional amount is expressed as the number of contracts multiplied by the strike price of the underlying asset.

 

See accompanying notes to the schedules of portfolio investments.


AZL International Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares           Value
Common Stocks (98.5%):   
Aerospace & Defense (1.1%):   
59,852   Airbus SE*    $ 7,857,247  
334,981   BAE Systems plc      2,531,560  
2,600   Dassault Aviation SA      291,668  
2,648   Elbit Systems, Ltd.      384,376  
5,550   MTU Aero Engines AG      1,254,758  
811,907   Rolls-Royce Holdings plc*      1,527,243  
34,814   Safran SA      4,364,410  
151,200   Singapore Technologies Engineering, Ltd.      422,539  
11,099   Thales SA      1,071,718  
  

 

 

 

     19,705,519  
  

 

 

 

Air Freight & Logistics (0.5%):   
97,547   Bollore, Inc.      563,987  
100,501   Deutsche Post AG      6,333,398  
19,174   InPost SA*      316,237  
33,300   SG Holdings Co., Ltd.      947,018  
30,300   Yamato Holdings Co., Ltd.      768,263  
  

 

 

 

     8,928,903  
  

 

 

 

Airlines (0.1%):   
15,100   ANA Holdings, Inc.*      392,092  
31,786   Deutsche Lufthansa AG, Registered Shares*^      218,675  
15,670   Japan Airlines Co., Ltd.*      373,050  
83,673   Qantas Airways, Ltd.*      341,929  
132,250   Singapore Airlines, Ltd.*      483,837  
  

 

 

 

     1,809,583  
  

 

 

 

Auto Components (0.9%):   
15,300   Aisin Sieki Co., Ltd.      556,138  
57,500   Bridgestone Corp.      2,727,379  
17,097   Compagnie Generale des Establissements Michelin SCA, Class B      2,623,546  
11,444   Continental AG*      1,254,454  
43,800   Denso Corp.      2,871,722  
8,878   Faurecia SA      413,703  
3,329   Faurecia SE      157,981  
10,300   Koito Manufacturing Co., Ltd.      619,412  
12,500   Stanley Electric Co., Ltd.      315,129  
78,500   Sumitomo Electric Industries, Ltd.      1,047,341  
14,300   Toyota Industries Corp.      1,174,995  
23,890   Valeo SA      666,585  
1   Vitesco Technologies Group AG*      47  
190,000   Xinyi Glass Holdings, Ltd.      564,410  
  

 

 

 

     14,992,842  
  

 

 

 

Automobiles (2.9%):   
33,495   Bayerische Motoren Werke AG (BMW)      3,214,560  
86,915   Daimler AG, Registered Shares      7,725,329  
12,714   Ferrari NV      2,661,221  
163,900   Honda Motor Co., Ltd.      5,055,409  
57,400   Isuzu Motors, Ltd.      754,221  
55,200   Mazda Motor Corp.*      480,753  
241,500   Nissan Motor Co., Ltd.*      1,211,323  
19,998   Renault SA*      713,251  
104,077   Stellantis NV      1,987,087  
102,332   Stellantis NV      1,957,681  
64,000   Subaru Corp.      1,188,676  
38,300   Suzuki Motor Corp.^      1,707,387  
1,074,830   Toyota Motor Corp.^      19,229,373  
3,377   Volkswagen AG      1,048,355  
29,100   Yamaha Motor Co., Ltd.      810,392  
  

 

 

 

     49,745,018  
  

 

 

 

Banks (8.6%):   
44,460   ABN AMRO Group NV*      639,639  
Shares           Value
Common Stocks, continued   
Banks, continued   
286,708   Australia & New Zealand Banking Group, Ltd.    $ 5,783,124  
680,411   Banco Bilbao Vizcaya Argentaria SA      4,487,752  
1,755,979   Banco Santander SA      6,359,508  
109,272   Bank Hapoalim BM      959,824  
151,152   Bank Leumi Le-Israel Corp.      1,283,711  
3,397   Banque Cantonale Vaudois, Registered Shares      258,381  
1,735,656   Barclays plc      4,425,938  
114,197   BNP Paribas SA      7,313,979  
385,000   BOC Hong Kong Holdings, Ltd.      1,153,433  
433,539   CaixaBank SA      1,344,171  
50,300   Chiba Bank, Ltd. (The)      323,910  
106,723   Commerzbank AG*      710,769  
179,777   Commonwealth Bank of Australia      13,394,101  
114,300   Concordia Financial Group, Ltd.      451,037  
115,126   Credit Agricole SA      1,588,177  
71,758   Danske Bank A/S      1,209,843  
183,400   DBS Group Holdings, Ltd.      4,073,463  
92,703   DNB Bank ASA*      2,105,460  
29,064   Erste Group Bank AG      1,269,113  
62,732   Finecobank Banca Fineco SpA*      1,136,716  
74,400   Hang Seng Bank, Ltd.      1,269,803  
2,068,814   HSBC Holdings plc      10,821,453  
392,809   ING Groep NV      5,700,553  
1,654,760   Intesa Sanpaolo SpA      4,693,965  
117,795   Isreal Discount Bank*      622,248  
39,400   Japan Post Bank Co., Ltd.      337,245  
26,011   KBC Group NV      2,334,840  
7,229,812   Lloyds Banking Group plc      4,496,640  
64,613   Mediobanca SpA*      780,414  
1,239,100   Mitsubishi UFJ Financial Group, Inc.^      7,235,389  
15,040   Mizrahi Tefahot Bank, Ltd.      506,625  
244,763   Mizuho Financial Group, Inc.      3,446,234  
334,381   National Australia Bank, Ltd.      6,662,928  
595,378   Natwest Group plc      1,806,369  
329,516   Nordea Bank AB^      4,230,549  
349,199   Oversea-Chinese Banking Corp., Ltd.      2,923,932  
17,048   Raiffeisen International Bank-Holding AG      443,446  
222,187   Resona Holdings, Inc.      884,435  
40,300   Shizuoka Bank, Ltd. (The)^      331,596  
162,873   Skandinaviska Enskilda Banken AB, Class A      2,295,767  
81,518   Societe Generale      2,559,088  
265,054   Standard Chartered plc      1,553,147  
133,169   Sumitomo Mitsui Financial Group, Inc.      4,659,596  
35,103   Sumitomo Mitsui Trust Holdings, Inc.      1,202,357  
143,563   Svenska Handelsbanken AB, Class A      1,611,053  
89,636   Swedbank AB, Class A      1,813,783  
214,103   Unicredit SpA      2,831,687  
122,573   United Overseas Bank, Ltd.      2,318,819  
372,248   Westpac Banking Corp.      6,920,645  
  

 

 

 

     147,566,655  
  

 

 

 

Beverages (2.0%):   
77,747   Anheuser-Busch InBev NV      4,390,425  
45,700   Asahi Breweries, Ltd.      2,214,096  
159,300   Budweiser Brewing Co. APAC, Ltd.      400,981  
10,198   Carlsberg A/S, Class B      1,659,247  
19,778   Coca-Cola European Partners plc      1,083,153  
21,102   Coca-Cola HBC AG      678,155  
54,381   David Campari-Milano NV      765,424  
237,273   Diageo plc      11,430,843  
11,986   Heineken Holding NV      1,041,798  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL International Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares           Value
Common Stocks, continued   
Beverages, continued   
26,159   Heineken NV    $ 2,718,943  
6,000   ITO EN, Ltd.      398,488  
85,600   Kirin Holdings Co., Ltd.      1,590,149  
21,347   Pernod Ricard SA      4,667,701  
2,253   Remy Cointreau SA^      436,617  
14,600   Suntory Beverage & Food, Ltd.      606,602  
69,034   Treasury Wine Estates, Ltd.      613,578  
  

 

 

 

     34,696,200  
  

 

 

 

Biotechnology (0.9%):   
4,510   Argenx SE*      1,360,925  
46,123   CSL, Ltd.      9,724,267  
6,819   Genmab A/S*      2,979,625  
31,583   Grifols SA      769,988  
9,300   Peptidream, Inc.*      302,810  
  

 

 

 

     15,137,615  
  

 

 

 

Building Products (1.2%):   
18,700   AGC, Inc.      957,233  
104,275   ASSA Abloy AB, Class B      3,024,616  
51,463   Compagnie de Saint-Gobain SA      3,465,686  
25,100   Daikin Industries, Ltd.      5,399,453  
3,746   Geberit AG, Registered Shares      2,752,863  
15,267   Kingspan Group plc      1,509,965  
28,000   Lixil Corp.      813,758  
142,128   Nibe Industrier AB, Class B      1,785,921  
817   ROCKWOOL International A/S, Class B      349,394  
14,700   TOTO, Ltd.      698,523  
  

 

 

 

     20,757,412  
  

 

 

 

Capital Markets (2.8%):   
96,154   3i Group plc      1,656,000  
6,085   Amundi SA      513,063  
20,141   ASX, Ltd.      1,176,323  
254,653   Credit Suisse Group AG      2,525,237  
150,300   Daiwa Securities Group, Inc.^      878,062  
207,977   Deutsche Bank AG, Registered Shares*      2,667,012  
19,233   Deutsche Boerse AG      3,130,461  
30,266   EQT AB      1,247,123  
5,295   Futu Holdings, Ltd., ADR*^      481,951  
37,543   Hargreaves Lansdown plc      720,643  
121,493   Hong Kong Exchanges & Clearing, Ltd.      7,374,651  
53,000   Japan Exchange Group, Inc.      1,315,526  
23,284   Julius Baer Group, Ltd.      1,540,284  
33,779   London Stock Exchange Group plc      3,374,276  
35,024   Macquarie Group, Ltd.      4,594,285  
12,753   Magellan Financial Group, Ltd.      324,964  
319,600   Nomura Holdings, Inc.^      1,571,101  
2,309   Partners Group Holding AG      3,595,023  
25,290   SBI Holdings, Inc.      624,045  
13,061   Schroders plc      627,199  
73,500   Singapore Exchange, Ltd.      537,949  
52,207   St. James Place plc      1,057,501  
370,719   UBS Group AG      5,925,035  
  

 

 

 

     47,457,714  
  

 

 

 

Chemicals (3.5%):   
48,253   Air Liquide SA      7,719,811  
19,827   Akzo Nobel NV      2,158,696  
6,387   Arkema SA      844,781  
130,500   Asahi Kasei Corp.      1,393,107  
93,243   BASF SE      7,103,511  
11,119   Christian Hansen Holding A/S      908,171  
21,010   Clariant AG      393,702  
18,813   Covestro AG      1,291,936  
13,801   Croda International plc      1,575,778  
Shares           Value
Common Stocks, continued   
Chemicals, continued   
671   EMS-Chemie Holding AG    $ 631,668  
21,816   Evonik Industries AG      690,894  
6,565   FUCHS PETROLUB SE      307,106  
942   Givaudan SA, Registered Shares      4,303,109  
73,284   ICL Group, Ltd.      533,326  
20,134   Johnson Matthey plc      726,086  
19,500   JSR Corp.      706,951  
18,800   Kansai Paint Co., Ltd.      467,520  
17,931   Koninklijke DSM NV      3,583,558  
7,976   Lanxess AG      542,298  
133,200   Mitsubishi Chemical Holdings Corp.      1,217,290  
18,100   Mitsubishi Gas Chemical Co., Inc.      357,500  
19,400   Mitsui Chemicals, Inc.      651,441  
74,000   Nippon Paint Holdings Co., Ltd.      805,101  
13,900   Nippon Sanso Holdings Corp.      349,845  
12,000   Nissan Chemical Corp.      700,518  
14,500   Nitto Denko Corp.      1,033,428  
20,528   Novozymes A/S, Class B      1,405,643  
40,418   Orica, Ltd.      398,286  
36,200   Shin-Etsu Chemical Co., Ltd.      6,106,485  
14,245   Sika AG      4,506,347  
7,710   Solvay SA      959,264  
155,000   Sumitomo Chemical Co., Ltd.^      808,661  
12,772   Symrise AG      1,684,692  
133,000   Toray Industries, Inc.      849,522  
28,400   Tosoh Corp.^      515,420  
19,106   Umicore SA      1,132,038  
16,878   Yara International ASA      835,676  
  

 

 

 

     60,199,166  
  

 

 

 

Commercial Services & Supplies (0.4%):   
142,584   Brambles, Ltd.      1,108,778  
22,100   Dai Nippon Printing Co., Ltd.      535,283  
24,045   Edenred      1,294,912  
192,916   Rentokil Initial plc      1,511,179  
21,800   SECOM Co., Ltd.      1,582,111  
32,576   Securitas AB, Class B      516,826  
8,200   Sohgo Security Services Co., Ltd.      370,296  
26,200   TOPPAN, INC.      445,662  
  

 

 

 

     7,365,047  
  

 

 

 

Communications Equipment (0.4%):   
545,510   Nokia OYJ*      3,000,683  
295,809   Telefonaktiebolaget LM Ericsson, Class B^      3,344,602  
  

 

 

 

     6,345,285  
  

 

 

 

Construction & Engineering (0.7%):   
23,915   ACS Actividades de Construccion y Servicios SA^      641,124  
23,768   Bouygues SA      980,732  
8,666   Eiffage SA      874,126  
46,929   Ferrovial SA      1,360,873  
42,800   Kajima Corp.^      551,618  
69,500   Obayashi Corp.      577,156  
60,400   Shimizu Corp.^      455,265  
35,392   Skanska AB, Class B      887,386  
20,600   Taisei Corp.      663,369  
53,700   Vinci SA      5,561,727  
  

 

 

 

     12,553,376  
  

 

 

 

Construction Materials (0.5%):   
79,960   CRH plc      3,729,326  
14,390   HeidelbergCement AG      1,079,088  
52,748   Holcim, Ltd.      2,538,143  
46,209   James Hardie Industries SE      1,657,122  
  

 

 

 

     9,003,679  
  

 

 

 

Consumer Finance (0.0%):   
36,500   ACOM Co., Ltd.^      133,921  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL International Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares           Value
Common Stocks, continued   
Consumer Finance, continued   
  Isracard, Ltd.    $ 2  
  

 

 

 

     133,923  
  

 

 

 

Containers & Packaging (0.1%):   
25,497   Smurfit Kappa Group plc      1,336,426  
  

 

 

 

Diversified Financial Services (0.8%):   
3,632   Eurazeo Se      341,297  
11,283   EXOR NV      950,658  
10,956   Groupe Bruxelles Lambert SA      1,204,336  
11,117   Industrivarden AB, Class A      354,467  
16,614   Industrivarden AB, Class C      512,048  
185,759   Investor AB, Class B*      3,978,921  
23,067   Kinnevik AB, Class B*      813,622  
7,907   L E Lundbergforetagen AB      431,966  
270,482   M&G plc      740,150  
63,300   Mitsubishi HC Capital, Inc.      332,690  
122,600   ORIX Corp.      2,291,454  
1,656   Sofina SA      656,868  
228,152   Standard Life Aberdeen plc      783,173  
3,900   Tokyo Century Corp.      220,164  
2,640   Wendel      366,022  
  

 

 

 

     13,977,836  
  

 

 

 

Diversified Telecommunication Services (1.9%):   
888,641   BT Group plc*      1,908,242  
51,678   Cellnex Telecom SAU      3,185,115  
338,434   Deutsche Telekom AG, Registered Shares      6,822,668  
14,797   Elisa OYJ      918,582  
404,525   HKT Trust & HKT, Ltd.      553,256  
34,963   Infrastrutture Wireless Italiane SpA      389,845  
349,796   Koninklijke KPN NV      1,096,844  
130,804   Nippon Telegraph & Telephone Corp.      3,616,572  
199,787   Orange SA      2,164,076  
15,181   Proximus SADP      300,097  
807,800   Singapore Telecommunications, Ltd.      1,457,826  
193,685   Spark New Zealand, Ltd.      638,341  
2,695   Swisscom AG, Registered Shares      1,547,687  
576,307   Telecom Italia SpA      232,969  
1,036,625   Telecom Italia SpA      406,183  
87,057   Telefonica Deutschland Holding AG      247,775  
525,417   Telefonica SA      2,448,633  
72,797   Telenor ASA      1,223,199  
276,553   Telia Co AB      1,140,720  
433,064   Telstra Corp., Ltd.      1,220,343  
9,884   United Internet AG, Registered Shares      384,552  
  

 

 

 

     31,903,525  
  

 

 

 

Electric Utilities (1.8%):   
193,004   AusNet Services      352,907  
62,500   Chubu Electric Power Co., Inc.      741,478  
65,570   CK Infrastructure Holdings, Ltd.      364,316  
171,000   CLP Holdings, Ltd.      1,644,788  
288,800   EDP - Energias de Portugal SA      1,514,758  
50,077   Electricite de France      628,777  
2,734   Elia Group SA/NV      326,505  
33,044   Endesa SA      666,356  
826,304   Enel SpA      6,343,149  
46,207   Fortum OYJ      1,405,069  
292,500   HK Electric Investments, Ltd.      290,390  
605,735   Iberdrola SA      6,049,023  
68,100   Kansai Electric Power Co., Inc. (The)      660,963  
61,309   Mercury NZ, Ltd.      274,153  
19,089   Orsted A/S      2,519,045  
144,500   Power Assets Holdings, Ltd.      846,884  
41,252   Red Electrica Corp SA      824,453  
104,523   Scottish & Southern Energy plc      2,194,504  
Shares           Value
Common Stocks, continued   
Electric Utilities, continued   
41,578   Siemens Energy AG*    $ 1,117,151  
135,086   Terna SpA      958,018  
47,600   Tohoku Electric Power Co., Inc.^      350,763  
159,400   Tokyo Electric Power Co. Holdings, Inc.*      457,227  
6,614   Verbund AG, Class A      668,028  
  

 

 

 

     31,198,705  
  

 

 

 

Electrical Equipment (1.8%):   
175,620   ABB, Ltd.      5,854,733  
13,400   Fuji Electric Co., Ltd.      610,678  
27,041   Legrand SA      2,899,860  
183,500   Mitsubishi Electric Corp.      2,552,538  
45,700   Nidec Corp.      5,070,423  
24,934   Prysmian SpA      874,588  
54,543   Schneider Electric SA      9,067,141  
25,813   Siemens Gamesa Renewable Energy      652,390  
102,711   Vestas Wind Systems A/S      4,112,900  
  

 

 

 

     31,695,251  
  

 

 

 

Electronic Equipment, Instruments & Components (2.2%):   
12,800   Azbil Corp.      550,254  
39,497   Halma plc      1,506,420  
14,600   Hamamatsu Photonics KK      905,821  
199,849   Hexagon AB, Class B      3,080,469  
3,214   Hirose Electric Co., Ltd.      535,280  
97,620   Hitachi, Ltd.      5,789,042  
11,000   Ibiden Co., Ltd.      608,178  
19,680   Keyence Corp.      11,793,552  
33,400   Kyocera Corp.      2,088,274  
58,600   Murata Manufacturing Co., Ltd.      5,216,971  
18,400   Omron Corp.      1,824,008  
22,900   Shimadzu Corp.      1,006,048  
38,100   TDK Corp.      1,376,633  
27,200   Venture Corp., Ltd.      358,531  
23,300   Yaskawa Electric Corp.      1,120,992  
21,900   Yokogawa Electric Corp.      382,977  
  

 

 

 

     38,143,450  
  

 

 

 

Energy Equipment & Services (0.0%):   
49,170   Tenaris SA      518,451  
  

 

 

 

Entertainment (0.9%):   
18,300   Capcom Co., Ltd.      508,360  
46,866   Embracer Group AB*      450,707  
5,980   Koei Tecmo Holdings Co., Ltd.      284,485  
9,900   Konami Holdings Corp.      621,346  
50,800   Nexon Co., Ltd.      819,712  
11,200   Nintendo Co., Ltd.      5,449,074  
7,086   Sea, Ltd., ADR*      2,258,521  
8,000   Square Enix Holdings Co., Ltd.      421,606  
10,900   Toho Co., Ltd.      514,289  
8,761   UbiSoft Entertainment SA*      525,428  
71,712   Universal Music Group NV*^      1,919,856  
71,712   Vivendi Universal SA^      904,411  
  

 

 

 

     14,677,795  
  

 

 

 

Equity Real Estate Investment Trusts (1.3%):   
334,683   Ascendas Real Estate Investment Trust      736,786  
85,015   British Land Co. plc      561,401  
481,204   CapitaLand Mall Trust      715,460  
5,555   Covivio      464,443  
206   Daiwahouse Residential Investment Corp.      603,698  
112,989   Dexus      874,061  
4,954   Gecina SA      664,035  
449   GLP J-REIT      738,151  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL International Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares           Value
Common Stocks, continued   
Equity Real Estate Investment Trusts, continued   
167,631   Goodman Group    $ 2,601,661  
202,654   GPT Group      738,118  
675   Japan Metropolitan Fund Invest      649,006  
130   Japan Real Estate Investment Corp.^      778,818  
20,015   Klepierre      445,579  
67,234   Land Securities Group plc      625,699  
207,000   Link REIT (The)      1,769,119  
235,300   Mapletree Commercial Trust      357,475  
311,894   Mapletree Logistics Trust      465,346  
377,732   Mirvac Group      810,191  
155   Nippon Building Fund, Inc.      1,006,973  
212   Nippon Prologis REIT, Inc.      709,030  
441   Nomura Real Estate Master Fund, Inc.      635,580  
251   Orix JREIT, Inc.      437,285  
539,983   Scentre Group      1,161,617  
118,843   SERGO plc      1,906,720  
248,341   Stockland      793,959  
12,965   Unibail-Rodamco-Westfield*      948,128  
281   United Urban Investment Corp.      380,196  
410,409   Vicinity Centres      488,890  
  

 

 

 

     23,067,425  
  

 

 

 

Food & Staples Retailing (1.7%):   
68,000   AEON Co., Ltd.      1,789,767  
63,796   Carrefour SA      1,148,206  
132,156   Coles Group, Ltd.      1,612,486  
5,622   Colruyt SA      286,362  
2,200   Cosmos Pharmaceutical Corp.      375,246  
131,643   Endeavour Group, Ltd.      660,906  
10,651   ICA Gruppen AB      488,543  
155,527   J Sainsbury plc      595,471  
26,690   Jeronimo Martins SGPS SA      531,402  
28,415   Kesko OYJ, Class B      980,701  
13,900   Kobe Bussan Co., Ltd.      453,872  
106,126   Koninklijke Ahold Delhaize NV      3,517,968  
5,100   LAWSON, Inc.      250,434  
76,400   Seven & I Holdings Co., Ltd.      3,467,463  
778,927   Tesco plc      2,641,491  
3,700   Tsuruha Holdings, Inc.      457,163  
9,400   Welcia Holdings Co., Ltd.      338,006  
113,933   Wesfarmers, Ltd.      4,583,985  
250,695   William Morrison Supermarkets plc      993,526  
128,657   Woolworths Group, Ltd.      3,652,446  
  

 

 

 

     28,825,444  
  

 

 

 

Food Products (3.2%):   
70,514   A2 Milk Co., Ltd.*      313,827  
48,600   Ajinomoto Co., Inc.      1,438,259  
37,063   Associated British Foods plc      920,765  
343   Barry Callebaut AG, Registered Shares      776,138  
11   Chocoladefabriken Lindt & Spruengli AG      1,291,886  
66,689   Danone SA      4,551,258  
7,602   JDE Peet’s NV      225,774  
15,924   Kerry Group plc, Class A      2,131,686  
15,100   Kikkoman Corp.      1,227,273  
107   Lindt & Spruengli AG      1,198,855  
13,052   Meiji Holdings Co., Ltd.^      843,661  
45,728   Mowi ASA      1,154,513  
292,301   Nestle SA, Registered Shares      35,174,998  
8,400   NH Foods, Ltd.      317,793  
19,545   Nisshin Seifun Group, Inc.      325,893  
5,900   Nissin Foods Holdings Co., Ltd.      474,316  
78,138   Orkla ASA, Class A      716,356  
8,700   Toyo Suisan Kaisha, Ltd.      386,455  
769,797   WH Group, Ltd.      547,644  
Shares           Value
Common Stocks, continued   
Food Products, continued   
199,900   Wilmar International, Ltd.    $ 614,265  
13,400   Yakult Honsha Co., Ltd.      679,479  
  

 

 

 

     55,311,094  
  

 

 

 

Gas Utilities (0.3%):   
122,751   APA Group      770,508  
31,734   Gas Natural SDG SA      798,841  
1,109,135   Hong Kong & China Gas Co., Ltd.      1,680,089  
39,000   Osaka Gas Co., Ltd.      716,941  
7,100   Toho Gas Co., Ltd.      310,212  
39,300   Tokyo Gas Co., Ltd.      731,983  
  

 

 

 

     5,008,574  
  

 

 

 

Health Care Equipment & Supplies (2.6%):   
50,916   Alcon, Inc.      4,125,350  
17,860   Ambu A/S, Class B      527,642  
22,200   Asahi Intecc Co., Ltd.      609,149  
4,310   BioMerieux      489,430  
4,187   Carl Zeiss Meditec AG      804,752  
6,839   Cochlear, Ltd.      1,079,942  
11,847   Coloplast A/S, Class B      1,857,207  
10,100   Demant A/S*      508,729  
2,417   DiaSorin SpA      507,210  
28,773   EssilorLuxottica SA      5,501,153  
59,962   Fisher & Paykel Healthcare Corp., Ltd.      1,317,970  
12,113   GN Store Nord A/S      825,654  
37,600   HOYA Corp.      5,881,354  
92,917   Koninklijke Philips NV      4,117,811  
117,100   Olympus Corp.      2,572,010  
2,597   Sartorius AG      1,653,678  
29,006   Siemens Healthineers AG      1,887,177  
91,252   Smith & Nephew plc      1,566,891  
5,502   Sonova Holding AG, Registered Shares      2,075,407  
1,031   Straumann Holding AG, Registered Shares, Class R      1,845,278  
17,400   Sysmex Corp.      2,149,733  
64,900   Terumo Corp.      3,051,652  
  

 

 

 

     44,955,179  
  

 

 

 

Health Care Providers & Services (0.5%):   
12,628   Amplifon SpA      601,703  
21,329   Fresenius Medical Care AG & Co., KGaA      1,502,893  
41,738   Fresenius SE & Co. KGaA      2,006,471  
20,600   Medipal Holdings Corp.      388,641  
5,013   Orpea      580,494  
19,049   Ramsay Health Care, Ltd.      958,018  
46,943   Ryman Healthcare, Ltd.      485,456  
47,226   Sonic Healthcare, Ltd.      1,386,256  
  

 

 

 

     7,909,932  
  

 

 

 

Health Care Technology (0.2%):   
44,500   M3, Inc.      3,177,264  
  

 

 

 

Hotels, Restaurants & Leisure (1.5%):   
17,675   Accor SA*      625,618  
57,201   Aristocrat Leisure, Ltd.      1,914,372  
181,138   Compass Group plc*      3,705,591  
42,095   Crown Resorts, Ltd.*      291,094  
5,969   Domino’s Pizza Enterprises, Ltd.      688,047  
17,109   Evolution AB      2,601,694  
16,871   Flutter Entertainment plc*      3,334,823  
226,000   Galaxy Entertainment Group, Ltd.*      1,140,330  
653,157   Genting Singapore, Ltd.      344,107  
60,885   GVC Holdings plc*      1,742,633  
19,003   InterContinental Hotels Group plc*      1,218,351  
9,051   La Francaise des Jeux SAEM      465,524  
7,029   McDonald’s Holdings Co., Ltd.      331,816  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL International Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares           Value
Common Stocks, continued   
Hotels, Restaurants & Leisure, continued   
25,792   Melco Resorts & Entertainment, Ltd., ADR*    $ 264,110  
20,200   Oriental Land Co., Ltd.      3,271,828  
252,332   Sands China, Ltd.*      517,133  
160,987   SJM Holdings, Ltd.*      108,926  
9,204   Sodexo SA*      805,834  
216,784   Tabcorp Holdings, Ltd.      767,137  
20,998   Whitbread plc*      933,758  
128,800   Wynn Macau, Ltd.*      107,584  
  

 

 

 

     25,180,310  
  

 

 

 

Household Durables (1.6%):   
105,941   Barratt Developments plc      934,735  
10,916   Berkeley Group Holdings plc      639,326  
19,600   Casio Computer Co., Ltd.^      325,042  
23,465   Electrolux AB, Series B, Class B^      542,068  
41,082   Husqvarna AB, Class B      490,291  
16,200   Iida Group Holdings Co., Ltd.      417,018  
222,600   Panasonic Corp.      2,763,316  
33,195   Persimmon plc      1,182,696  
3,700   Rinnai Corp.      405,536  
2,943   SEB SA      414,919  
39,700   Sekisui Chemical Co., Ltd.      683,610  
59,900   Sekisui House, Ltd.      1,258,913  
24,500   Sharp Corp.      310,214  
127,700   Sony Group Corp.      14,222,772  
351,444   Taylor Wimpey plc      725,725  
138,500   Techtronic Industries Co., Ltd.      2,715,165  
  

 

 

 

     28,031,346  
  

 

 

 

Household Products (0.6%):   
60,537   Essity AB, Class B      1,879,682  
10,811   Henkel AG & Co. KGaA      932,673  
22,400   Lion Corp.      362,428  
10,300   Pigeon Corp.      239,900  
72,982   Reckitt Benckiser Group plc      5,711,409  
40,000   Unicharm Corp.      1,774,316  
  

 

 

 

     10,900,408  
  

 

 

 

Independent Power and Renewable Electricity Producers (0.1%):   
27,555   EDP Renovaveis SA      678,524  
123,351   Meridian Energy, Ltd.      418,119  
8,605   Uniper SE      359,133  
  

 

 

 

     1,455,776  
  

 

 

 

Industrial Conglomerates (1.2%):   
268,244   CK Hutchison Holdings, Ltd.      1,778,869  
9,292   DCC plc      768,977  
15,609   Investment AB Latour, Class B      483,143  
22,500   Jardine Matheson Holdings, Ltd.      1,183,292  
159,300   Keppel Corp., Ltd.      605,505  
454,887   Melrose Industries plc      1,052,457  
77,435   Siemens AG, Registered Shares      12,726,860  
41,236   Smiths Group plc      790,334  
42,600   Toshiba Corp.      1,786,623  
  

 

 

 

     21,176,060  
  

 

 

 

Insurance (4.8%):   
20,063   Admiral Group plc      837,178  
171,254   AEGON NV      879,098  
18,216   Ageas NV      901,393  
1,227,200   AIA Group, Ltd.      14,130,607  
41,730   Allianz SE, Registered Shares+      9,410,707  
114,776   Assicurazioni Generali SpA      2,441,523  
392,685   Aviva plc      2,089,731  
194,731   AXA SA      5,416,705  
4,823   Baloise Holding AG, Registered Shares      735,502  
20,053   CNP Assurances SA      318,067  
Shares           Value
Common Stocks, continued   
Insurance, continued   
101,400   Dai-ichi Life Holdings, Inc.    $ 2,208,183  
128,421   Direct Line Insurance Group plc      500,972  
19,206   Gjensidige Forsikring ASA      425,491  
6,273   Hannover Rueck SE      1,098,535  
256,458   Insurance Australia Group, Ltd.      903,586  
163,900   Japan Post Holdings Co., Ltd.      1,379,662  
25,100   Japan Post Insurance Co., Ltd.      454,327  
597,220   Legal & General Group plc      2,254,934  
266,611   Medibank Private, Ltd.      689,192  
46,311   MS&AD Insurance Group Holdings, Inc.^      1,545,431  
14,257   Muenchener Rueckversicherungs-Gesellschaft AG      3,907,262  
27,506   NN Group NV      1,435,284  
65,334   Phoenix Group Holdings plc      564,880  
56,002   Poste Italiane SpA      770,649  
262,586   Prudential plc      5,096,739  
143,233   QBE Insurance Group, Ltd.      1,194,676  
50,137   Sampo Oyj, Class A      2,487,485  
15,006   SCOR SA      430,032  
33,025   Sompo Holdings, Inc.^      1,430,480  
133,228   Suncorp Group, Ltd.      1,196,396  
3,157   Swiss Life Holding AG, Registered Shares      1,601,134  
30,435   Swiss Re AG      2,592,930  
57,636   T&D Holdings, Inc.      787,279  
63,800   Tokio Marine Holdings, Inc.      3,421,899  
37,459   Tryg A/S      851,134  
15,243   Zurich Insurance Group AG      6,216,309  
  

 

 

 

     82,605,392  
  

 

 

 

Interactive Media & Services (0.3%):   
25,768   Adevinta ASA*      441,093  
100,515   Auto Trader Group plc      795,247  
13,000   Kakaku.com, Inc.      420,915  
5,498   REA Group, Ltd.      625,021  
8,529   Scout24 AG      591,944  
276,000   Z Holdings Corp.      1,771,470  
  

 

 

 

     4,645,690  
  

 

 

 

Internet & Direct Marketing Retail (1.0%):   
16,337   Delivery Hero SE*      2,091,763  
16,359   HelloFresh SE*      1,514,322  
17,726   Just Eat Takeaway*      1,291,532  
10,800   Mercari, Inc.*      594,638  
50,636   Ocado Group plc*      1,126,046  
94,401   Prosus NV      7,433,880  
90,100   Rakuten, Inc.      871,992  
22,814   Zalando SE*      2,096,187  
13,200   ZOZO, Inc.      494,333  
  

 

 

 

     17,514,693  
  

 

 

 

IT Services (1.7%):   
2,019   Adyen NV*      5,613,217  
22,575   Afterpay, Ltd.*      1,952,582  
45,406   Amadeus IT Group SA*      2,982,444  
9,627   Atos SE      512,531  
8,520   Bechtle AG      584,447  
16,281   Capgemini SA      3,385,519  
58,666   Computershare, Ltd.      767,597  
19,900   Fujitsu, Ltd.      3,614,538  
3,900   GMO Payment Gateway, Inc.      494,179  
9,500   Itochu Techno-Solutions Corp.      310,185  
45,718   Nexi SpA*      852,838  
34,138   Nomura Research Institute, Ltd.      1,258,310  
61,400   NTT Data Corp.      1,189,748  
6,800   OBIC Co., Ltd.      1,301,337  
12,500   Otsuka Corp.      642,714  
13,500   SCSK Corp.      285,517  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL International Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares           Value
Common Stocks, continued   
IT Services, continued   
24,000   TIS, Inc.    $ 656,064  
5,789   Wix.com, Ltd.*      1,134,470  
23,655   Worldline SA*      1,804,549  
  

 

 

 

     29,342,786  
  

 

 

 

Leisure Products (0.3%):   
20,800   Bandai Namco Holdings, Inc.      1,562,187  
7,400   Shimano, Inc.      2,156,058  
13,900   Yamaha Corp.      873,985  
  

 

 

 

     4,592,230  
  

 

 

 

Life Sciences Tools & Services (0.6%):   
13,231   Eurofins Scientific SE      1,696,481  
7,619   Lonza Group AG, Registered Shares      5,709,004  
22,367   Qiagen NV*      1,162,809  
2,877   Sartorius Stedim Biotech      1,605,681  
  

 

 

 

     10,173,975  
  

 

 

 

Machinery (2.9%):   
32,729   Alfa Laval AB      1,220,014  
32,515   Alstom SA      1,233,505  
39,031   Atlas Copco AB      1,996,001  
68,550   Atlas Copco AB, Class A      4,159,832  
106,459   CNH Industrial NV      1,802,353  
10,500   Daifuku Co., Ltd.      987,475  
68,561   Epiroc AB, Class A      1,413,737  
41,269   Epiroc AB, Class B      729,444  
19,500   FANUC Corp.      4,269,390  
15,961   GEA Group AG      731,372  
3,900   Harmonic Drive Systems, Inc.      188,112  
29,600   Hino Motors, Ltd.      277,696  
10,100   Hitachi Construction Machinery Co., Ltd.      286,142  
5,700   Hoshizaki Corp.      519,064  
7,507   Kion Group AG      702,387  
6,939   Knorr-Bremse AG      744,523  
91,100   Komatsu, Ltd.      2,190,846  
34,257   Kone OYJ, Class B      2,401,840  
102,900   Kubota Corp.      2,195,483  
9,900   Kurita Water Industries, Ltd.      478,367  
23,300   Makita Corp.      1,271,689  
37,800   MINEBEA MITSUMI, Inc.      965,325  
27,700   Misumi Group, Inc.      1,177,249  
33,300   Mitsubishi Heavy Industries, Ltd.      899,173  
8,000   Miura Co., Ltd.      321,010  
10,700   Nabtesco Corp.      405,380  
25,300   NGK Insulators, Ltd.      429,697  
42,600   NSK, Ltd.^      289,156  
533   Rational AG      502,522  
113,923   Sandvik AB      2,600,945  
4,236   Schindler Holding AG      1,133,688  
1,874   Schindler Holding AG, Registered Shares      481,881  
39,703   SKF AB, Class B      934,754  
5,800   SMC Corp.      3,629,130  
7,671   Spirax-Sarco Engineering plc      1,541,403  
12,100   THK Co., Ltd.      266,813  
18,388   Volvo AB, Class A      417,024  
144,708   Volvo AB, Class B      3,252,428  
50,587   Wartsila OYJ Abp, Class B      605,700  
  

 

 

 

     49,652,550  
  

 

 

 

Marine (0.4%):   
331   A.P. Moeller - Maersk A/S, Class A      847,082  
596   A.P. Moeller - Maersk A/S, Class B      1,612,437  
5,618   Kuehne & Nagel International AG, Registered Shares      1,909,289  
15,800   Nippon Yusen KK      1,188,611  
Shares           Value
Common Stocks, continued   
Marine, continued   
138,000   SITC International Holdings Co., Ltd.    $ 492,009  
  

 

 

 

     6,049,428  
  

 

 

 

Media (0.5%):   
42,100   Cyberagent, Inc.      815,463  
20,777   Dentsu Group, Inc.      799,428  
22,700   Hakuhodo DY Holdings, Inc.      391,677  
156,276   Informa plc*      1,144,944  
80,532   Pearson plc      769,880  
23,197   Publicis Groupe SA      1,561,967  
7,838   Schibsted ASA, Class A      372,626  
9,116   Schibsted ASA, Class B      385,816  
120,890   WPP plc      1,624,179  
  

 

 

 

     7,865,980  
  

 

 

 

Metals & Mining (2.8%):   
130,612   Anglo American plc      4,504,776  
41,026   Antofagasta plc      736,969  
74,575   ArcelorMittal      2,249,909  
213,757   BHP Group plc      5,326,738  
298,264   BHP Group, Ltd.      8,014,868  
52,411   BlueScope Steel, Ltd.      760,198  
28,553   Boliden AB      918,902  
182,201   Evolution Mining, Ltd.      461,622  
45,492   EVRAZ plc      362,919  
170,577   Fortescue Metals Group, Ltd.      1,798,452  
1,019,925   Glencore plc      4,815,949  
23,100   Hitachi Metals, Ltd.      447,646  
47,600   JFE Holdings, Inc.      710,348  
84,951   Newcrest Mining, Ltd.      1,392,427  
88,948   Nippon Steel Corp.^      1,592,095  
139,912   Norsk Hydro ASA      1,044,466  
107,364   Northern Star Resources, Ltd.      661,196  
114,469   Rio Tinto plc      7,556,828  
37,494   Rio Tinto, Ltd.      2,663,770  
455,650   South32, Ltd.      1,156,321  
25,700   Sumitomo Metal & Mining Co., Ltd.      927,576  
11,188   Voestalpine AG      411,155  
  

 

 

 

     48,515,130  
  

 

 

 

Multiline Retail (0.2%):   
13,831   Next plc      1,516,570  
40,200   Pan Pacific International Holdings Corp.      833,271  
26,600   Ryohin Keikaku Co., Ltd.      591,880  
  

 

 

 

     2,941,721  
  

 

 

 

Multi-Utilities (0.8%):   
58,491   AGL Energy, Ltd.      242,031  
226,611   E.ON SE      2,772,101  
183,694   Engie Group      2,410,576  
362,174   National Grid plc      4,307,530  
66,833   RWE AG      2,362,328  
35,955   Suez      819,818  
56,065   Veolia Environnement SA      1,715,516  
  

 

 

 

     14,629,900  
  

 

 

 

Oil, Gas & Consumable Fuels (3.6%):   
25,826   Ampol, Ltd.      518,159  
2,052,377   BP plc      9,295,987  
22,895   Enagas SA      508,767  
319,220   ENEOS Holdings, Inc.      1,303,695  
255,346   ENI SpA      3,399,297  
97,838   Equinor ASA      2,494,199  
52,149   Galp Energia SGPS SA      590,507  
20,687   Idemitsu Kosan Co., Ltd.      546,200  
106,500   INPEX Corp.      833,602  
7,184   Koninklijke Vopak NV      282,378  
20,822   Lundin Energy AB      773,239  
42,511   Neste Oyj      2,398,960  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL International Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares           Value
Common Stocks, continued   
Oil, Gas & Consumable Fuels, continued   
187,946   Oil Search, Ltd.    $ 594,815  
15,404   OMV AG      925,496  
183,228   Origin Energy, Ltd.      617,382  
147,155   Repsol SA      1,911,069  
417,567   Royal Dutch Shell plc, Class A      9,223,485  
376,440   Royal Dutch Shell plc, Class B      8,338,537  
195,041   Santos, Ltd.      1,005,378  
209,789   Snam SpA      1,162,722  
253,563   TotalEnergies SE      12,148,916  
21,943   Washington H. Soul Pattinson & Co., Ltd.^      619,124  
100,106   Woodside Petroleum, Ltd.      1,722,245  
  

 

 

 

     61,214,159  
  

 

 

 

Paper & Forest Products (0.3%):   
47,327   Mondi plc      1,156,617  
79,100   Oji Holdings Corp.      399,190  
56,138   Stora Enso OYJ, Registered Shares, Class R      932,004  
63,032   Svenska Cellulosa AB SCA, Class B      974,384  
55,527   UPM-Kymmene OYJ      1,961,639  
  

 

 

 

     5,423,834  
  

 

 

 

Personal Products (1.9%):   
10,487   Beiersdorf AG      1,133,645  
48,600   Kao Corp.      2,896,074  
5,200   Kobayashi Pharmaceutical Co., Ltd.      411,873  
3,700   Kose Corp.      443,545  
25,619   L’Oreal SA      10,572,148  
10,200   Pola Orbis Holdings, Inc.      235,303  
40,300   Shiseido Co., Ltd.      2,716,449  
265,339   Unilever plc      14,341,578  
  

 

 

 

     32,750,615  
  

 

 

 

Pharmaceuticals (8.1%):   
188,400   Astellas Pharma, Inc.^      3,106,880  
156,902   AstraZeneca plc      18,885,785  
98,959   Bayer AG, Registered Shares      5,396,704  
67,600   Chugai Pharmaceutical Co., Ltd.      2,476,684  
177,000   Daiichi Sankyo Co., Ltd.      4,722,610  
23,600   Eisai Co., Ltd.      1,777,447  
509,899   GlaxoSmithKline plc      9,623,180  
18,438   Hikma Pharmaceuticals plc      606,490  
5,000   Hisamitsu Pharmaceutical Co., Inc.      189,688  
3,643   Ipsen SA      347,741  
28,100   Kyowa Kirin Co., Ltd.      1,013,442  
13,066   Merck KGaA      2,840,946  
5,400   Nippon Shinyaku Co., Ltd.^      449,937  
226,139   Novartis AG, Registered Shares      18,555,478  
171,391   Novo Nordisk A/S, Class B      16,488,081  
35,400   Ono Pharmaceutical Co., Ltd.      807,491  
10,166   Orion OYJ, Class B      402,329  
40,600   Otsuka Holdings Co., Ltd.      1,730,959  
10,485   Recordati SpA      609,808  
71,281   Roche Holding AG      26,014,888  
3,329   Roche Holding AG      1,367,025  
115,123   Sanofi      11,080,817  
33,800   Santen Pharmaceutical Co., Ltd.      477,031  
26,300   Shionogi & Co., Ltd.      1,801,937  
17,800   Sumitomo Dainippon Pharma Co., Ltd.      318,073  
3,300   Taisho Pharmaceutical Holdings Co., Ltd.      192,971  
161,273   Takeda Pharmacuetical Co., Ltd.^      5,346,564  
114,076   Teva Pharmaceutical Industries, Ltd., ADR*      1,111,100  
13,153   UCB SA      1,463,278  
Shares           Value
Common Stocks, continued   
Pharmaceuticals, continued   
5,072   Vifor Pharma AG    $ 656,828  
  

 

 

 

     139,862,192  
  

 

 

 

Professional Services (1.8%):   
16,122   Adecco SA, Registered Shares      807,534  
28,499   Bureau Veritas SA      874,572  
93,365   Experian plc      3,877,886  
16,791   Intertek Group plc      1,120,799  
31,500   Nihon M&A Center, Inc.      928,352  
16,700   Persol Holdings Co., Ltd.      418,510  
12,440   Randstad NV^      831,262  
138,000   Recruit Holdings Co., Ltd.      8,415,726  
195,070   RELX plc      5,620,587  
33,025   Seek, Ltd.      735,025  
601   SGS SA, Registered Shares      1,747,847  
6,110   Teleperformance      2,403,704  
27,052   Wolters Kluwer NV      2,859,100  
  

 

 

 

     30,640,904  
  

 

 

 

Real Estate Management & Development (1.6%):   
103,938   Aroundtown SA      717,972  
4,494   Azrieli Group      404,299  
74,028   BGP Holdings plc*(a)       
274,500   Capitaland Investment, Ltd. / Singapore*      687,514  
33,900   City Developments, Ltd.      171,121  
193,744   CK Asset Holdings, Ltd.      1,113,520  
7,000   Daito Trust Construction Co., Ltd.      817,382  
56,100   Daiwa House Industry Co., Ltd.^      1,873,801  
34,104   Deutsche Wohnen SE      2,090,371  
196,400   ESR Cayman, Ltd.*      592,911  
10,270   Fastighets AB Balder*      616,231  
206,000   Hang Lung Properties, Ltd.      468,291  
150,956   Henderson Land Development Co., Ltd.      573,059  
125,800   Hongkong Land Holdings, Ltd.      602,068  
25,500   Hulic Co., Ltd.      284,326  
7,501   LEG Immobilien SE      1,061,116  
72,800   Lend Lease Group      564,971  
117,400   Mitsubishi Estate Co., Ltd.      1,869,861  
91,400   Mitsui Fudosan Co., Ltd.      2,177,433  
158,655   New World Development Co., Ltd.      643,798  
12,300   Nomura Real Estate Holdings, Inc.      320,585  
368,601   Sino Land Co., Ltd.      495,949  
32,200   Sumitomo Realty & Development Co., Ltd.      1,175,143  
135,500   Sun Hung Kai Properties, Ltd.      1,683,961  
57,464   Swire Pacific, Ltd., Class A      340,610  
125,200   Swire Properties, Ltd.      313,273  
7,294   Swiss Prime Site AG      710,446  
36,896   UOL Group, Ltd.      185,513  
55,929   Vonovia SE      3,361,627  
158,300   Wharf Real Estate Investment Co., Ltd.      817,853  
  

 

 

 

     26,735,005  
  

 

 

 

Road & Rail (1.0%):   
197,101   Aurizon Holdings, Ltd.      536,714  
14,300   Central Japan Railway Co.      2,285,894  
20,391   DSV PANALPINA A/S      4,869,110  
30,013   East Japan Railway Co.      2,105,557  
24,100   Hankyu Hanshin Holdings, Inc.      760,486  
10,000   Keio Corp.^      535,438  
14,200   Keisei Electric Railway Co., Ltd.      471,088  
16,600   Kintetsu Group Holdings Co., Ltd.*      560,369  
160,994   MTR Corp., Ltd.      864,357  
8,100   Nippon Express Co., Ltd.      558,146  
28,800   Odakyu Electric Railway Co., Ltd.      667,248  
20,700   Tobu Railway Co., Ltd.      558,276  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL International Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares           Value
Common Stocks, continued   
Road & Rail, continued   
52,000   Tokyu Corp.    $ 774,457  
21,900   West Japan Railway Co.      1,090,709  
  

 

 

 

     16,637,849  
  

 

 

 

Semiconductors & Semiconductor Equipment (3.2%):   
19,800   Advantest Corp.      1,774,158  
4,922   ASM International NV      1,921,492  
42,561   ASML Holding NV      31,391,961  
2,700   Disco Corp.      755,882  
133,641   Infineon Technologies AG      5,493,149  
7,800   Lasertec Corp.      1,771,997  
130,400   Renesas Electronics Corp.*      1,609,191  
8,400   ROHM Co., Ltd.      791,436  
68,961   STMicroelectronics NV      3,006,133  
28,800   SUMCO Corp.      578,317  
15,100   Tokyo Electron, Ltd.      6,657,014  
  

 

 

 

     55,750,730  
  

 

 

 

Software (1.7%):   
12,426   AVEVA Group plc      600,038  
10,966   Check Point Software Technologies, Ltd.*      1,239,597  
3,816   CyberArk Software, Ltd.*      602,241  
67,130   Dassault Systemes SE      3,518,944  
5,434   Nemetschek SE      571,060  
6,266   NICE Systems, Ltd.*      1,773,437  
3,700   Oracle Corp.      325,593  
105,305   Sage Group plc      1,004,922  
106,191   SAP SE      14,384,198  
52,620   Sinch AB*      1,014,391  
15,541   TeamViewer AG*      458,192  
6,948   Temenos AG      943,745  
13,900   Trend Micro, Inc.      775,531  
14,383   WiseTech Global, Ltd.      554,032  
13,738   Xero, Ltd.*      1,368,790  
  

 

 

 

     29,134,711  
  

 

 

 

Specialty Retail (0.9%):   
3,900   ABC-Mart, Inc.      220,831  
187,800   Chow Tai Fook Jewellery Group, Ltd.      357,548  
5,900   Fast Retailing Co., Ltd.      4,349,033  
71,579   Hennes & Mauritz AB, Class B*      1,451,809  
2,000   Hikari Tsushin, Inc.      338,241  
110,913   Industria de Diseno Textil SA      4,034,766  
50,064   JD Sports Fashion plc      704,742  
219,592   Kingfisher plc      993,342  
8,300   Nitori Co., Ltd.      1,633,097  
20,700   USS Co., Ltd.^      354,188  
67,300   Yamada Holdings Co., Ltd.      283,303  
  

 

 

 

     14,720,900  
  

 

 

 

Technology Hardware, Storage & Peripherals (0.6%):   
22,600   Brother Industries, Ltd.      497,329  
100,400   Canon, Inc.      2,469,885  
36,300   FUJIFILM Holdings Corp.      3,130,570  
18,009   Logitech International SA, Class R      1,595,204  
25,500   NEC Corp.      1,384,462  
69,700   Ricoh Co., Ltd.^      715,331  
27,900   Seiko Epson Corp.^      562,968  
  

 

 

 

     10,355,749  
  

 

 

 

Textiles, Apparel & Luxury Goods (2.7%):   
19,310   Adidas AG      6,083,916  
42,114   Burberry Group plc      1,025,253  
52,802   Cie Financiere Richemont SA      5,445,471  
3,235   Hermes International SA      4,470,433  
7,593   Kering      5,399,632  
Shares           Value
Common Stocks, continued   
Textiles, Apparel & Luxury Goods, continued   
28,166   LVMH Moet Hennessy Louis Vuitton SA    $ 20,137,859  
20,158   Moncler SpA      1,232,718  
9,744   Pandora A/S      1,181,857  
10,984   Puma SE      1,227,408  
3,010   Swatch Group AG (The), Class B      789,158  
4,961   Swatch Group AG (The), Registered Shares      255,529  
  

 

 

 

     47,249,234  
  

 

 

 

Tobacco (0.8%):   
221,922   British American Tobacco plc      7,741,577  
94,383   Imperial Brands plc, Class A      1,969,420  
120,300   Japan Tobacco, Inc.      2,362,339  
158,994   Swedish Match AB      1,394,921  
  

 

 

 

     13,468,257  
  

 

 

 

Trading Companies & Distributors (1.4%):   
45,586   Ashtead Group plc      3,457,489  
16,073   Brenntag AG      1,499,132  
32,576   Bunzl plc      1,075,974  
22,777   Ferguson plc      3,156,945  
120,700   Itochu Corp.      3,535,962  
151,900   Marubeni Corp.^      1,246,487  
128,300   Mitsubishi Corp.      4,014,109  
156,200   Mitsui & Co., Ltd.      3,388,939  
26,400   MonotaRo Co., Ltd.      595,805  
27,340   Reece, Ltd.      372,608  
111,200   Sumitomo Corp.      1,554,929  
22,100   Toyota Tsushu Corp.      926,299  
  

 

 

 

     24,824,678  
  

 

 

 

Transportation Infrastructure (0.5%):   
7,242   Aena SME SA*      1,249,016  
3,168   Aeroports de Paris*      402,064  
51,730   Atlantia SpA*      977,818  
135,017   Auckland International Airport, Ltd.*      725,593  
42,517   Getlink SE      665,576  
140,546   Sydney Airport*      834,704  
30,698   Transurban Group*      311,183  
276,284   Transurban Group      2,800,663  
  

 

 

 

     7,966,617  
  

 

 

 

Water Utilities (0.1%):   
25,693   Severn Trent plc      898,317  
70,941   United Utilities Group plc      922,277  
  

 

 

 

     1,820,594  
  

 

 

 

Wireless Telecommunication Services (1.2%):   
164,800   KDDI Corp.^      5,446,964  
292,400   Softbank Corp.      3,970,528  
122,700   SoftBank Group Corp.      7,091,466  
47,630   Tele2 AB      703,867  
2,822,545   Vodafone Group plc      4,268,863  
  

 

 

 

     21,481,688  
  

 

 

 

Total Common Stocks (Cost $1,174,359,053)      1,693,415,379  
  

 

 

 

Preferred Stocks (0.5%):   
Automobiles (0.4%):   
5,192   Bayerische Motoren Werke AG (BMW), 2.91%, 5/15/20      396,385  
15,930   Porsche Automobil Holding SE, 2.57%, 5/20/20      1,587,282  
18,925   Volkswagen AG, 2.51%, 5/8/20      4,238,922  
  

 

 

 

     6,222,589  
  

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL International Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares           Value
Preferred Stocks, continued   
Household Products (0.1%):   
18,535   Henkel AG & Co. KGaA, 2.31%, 4/21/20    $ 1,720,595  
  

 

 

 

Total Preferred Stocks (Cost $5,574,776)

     7,943,184  
  

 

 

 

Rights (0.0%):   
Airlines (0.0%):   
31,786   Deutsche Lufthansa, Expires on 10/6/21*^      75,470  
  

 

 

 

Multi-Utilities (0.0%):   
56,065   Veolia Environnement SA, Expires on 10/4/21*^      46,505  
  

 

 

 

Transportation Infrastructure (0.0%):   
30,698   Transurban Group, Expires on 10/11/21*      23,298  
  

 

 

 

Total Rights (Cost $111,348)

     145,273  
  

 

 

 

Principal Amount    Value
Short-Term Security Held as Collateral for Securities on Loan (4.2%):   
71,737,916   BlackRock Liquidity FedFund, Institutional Class , 0.03%(b)(c)      71,737,916  
  

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan (Cost $71,737,916)

     71,737,916  
  

 

 

 

Shares    Value
Unaffiliated Investment Company (0.0%):   
Money Markets (0.0%):   
347,233   Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(c)      347,233  
  

 

 

 

Total Unaffiliated Investment Company

(Cost $347,233)

     347,233  
  

 

 

 

Total Investment Securities

 

(Cost $1,252,130,326) - 103.2%

     1,773,588,985  
Net other assets (liabilities) - (3.2)%      (55,287,793)  
  

 

 

 

Net Assets - 100.0%      $1,718,301,192  
  

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

 

ADR   -   American Depository Receipt
REIT   -   Real Estate Investment Trust

 

*    Non-income producing security.
^    This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities on loan as of September 30, 2021 was $50,903,420.
+    Affiliated Securities
   Represents less than 0.05%.
(a)    Security was valued using unobservable inputs in good faith pursuant to procedures approved by the Board of Trustees as of September 30, 2021. The total of all such securities represent 0.00% of the net assets of the fund.
(b)    Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.
(c)    The rate represents the effective yield at September 30, 2021.

Amounts shown as “—” are either $0 or rounds to less than $1.

The following represents the concentrations by country of risk (based on the domicile of the security issuer) relative to the total value of investments as of September 30, 2021:

(Unaudited)

 

Country

   Percentage

Australia

   6.8%

Austria

   0.2%

Belgium

   0.8%

Bermuda

   0.1%

China

   0.1%

Denmark

   2.5%

Finland

   1.2%

France

   9.9%

Germany

   8.7%

Hong Kong

   2.7%

Ireland

   1.1%

Isle of Man

   0.1%

Israel

   0.6%

Italy

   2.0%

Japan

   23.1%

Luxembourg

   0.3%

Netherlands

   5.5%

New Zealand

   0.3%

Norway

   0.6%

Poland

   —%

Portugal

   0.1%

Singapore

   1.1%

Spain

   2.3%

Sweden

   3.3%

Switzerland

   9.5%

United Kingdom

   13.0%

United States

   4.1%
  

 

   100.0%
  

 

 

   Represents less than 0.05%.
 

 

See accompanying notes to the schedules of portfolio investments.


AZL International Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Futures Contracts

At September 30, 2021, the Fund’s open futures contracts were as follows:

Long Futures

 

Description    Expiration
Date
     Number of
Contracts
     Notional
Amount
     Value and
Unrealized
Appreciation/
(Depreciation)
 

ASX SPI 200 Index December Futures (Australian Dollar)

     12/16/21        10      $     1,317,844      $ (5,686

DJ EURO STOXX 50 December Futures (Euro)

     12/17/21        89        4,172,664        (70,010

FTSE 100 Index December Futures (British Pounds)

     12/17/21        25        2,382,356        20,009  

SGX Nikkei 225 Index December Futures (Japenese Yen)

     12/9/21        20        2,666,247        8,730  
           

 

 

 
            $ (46,957
           

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL MetWest Total Return Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal

Amount

   Value        
Asset Backed Securities (4.2%):

 

$941,717

    

Ajax Mortgage Loan Trust, Class A1, Series 2019-F, 2.86%, 7/25/59, Callable 11/25/22 @ 100(a)(b)

   $        949,891  

1,288,000

    

CWABS Asset-Backed Certificates Trust, Class MV5, Series 2005-7, 1.21%(US0001M+113bps), 11/25/35, Callable 10/25/21 @ 100

     1,285,083  

965,000

    

Navient Student Loan Trust, Class A3, Series 2016-2, 1.59%(US0001M+150bps), 6/25/65, Callable 3/25/33 @ 100(a)

     1,000,858  

1,352,078

    

Park Place Securities, Inc. Pass-Through Certificates, Class M5, Series 2004-WWF1, 1.89%(US0001M+180bps), 12/25/34, Callable 10/25/21 @ 100

     1,356,777  

513,439

    

Progress Residential Trust, Class A, Series 2019-SFR2, 3.15%, 5/17/36(a)

     518,835  

742,325

    

SLC Student Loan Trust, Class 2A3, Series 2008-1, 1.72%(US0003M+160bps), 12/15/32, Callable 3/15/28 @ 100

     750,180  

306,956

    

SLM Student Loan Trust, Class A, Series 2008-9, 1.63%(US0003M+150bps), 4/25/23, Callable 1/25/23 @ 100

     310,237  

1,220,000

    

SLM Student Loan Trust, Class 2A3, Series 2008-5, 1.98%(US0003M+185bps), 7/25/73, Callable 1/25/23 @ 100

     1,256,951  

240,000

    

SLM Student Loan Trust, Class 2A3, Series 2008-9, 2.38%(US0003M+225bps), 10/25/83, Callable 1/25/23 @ 100

     240,686  

59,809

    

SLM Student Loan Trust, Class A, Series 2009-3, 0.84%(US0001M+75bps), 1/25/45, Callable 4/25/35 @ 100(a)

     59,909  

861,063

    

SLM Student Loan Trust, Class A4, Series 2008-6, 1.23%(US0003M+110bps), 7/25/23, Callable 4/25/25 @ 100

     864,880  

507,735

    

SLM Student Loan Trust, Class 2A3, Series 2003-7, 0.69%(US0003M+57bps), 9/15/39, Callable 3/15/30 @ 100

     488,046  

591,933

    

SLM Student Loan Trust, Class A3, Series 2012-1, 1.04%(US0001M+95bps), 9/25/28, Callable 2/25/29 @ 100

     586,315  

557,293

    

SLM Student Loan Trust, Class A4, Series 2007-7, 0.46%(US0003M+33bps), 1/25/22, Callable 1/25/24 @ 100

     547,190  

857,429

    

Tricon American Homes Trust, Class A, Series 2017-SFR1, 2.72%, 9/17/34(a)

     857,018  

Principal

Amount

   Value        
Asset Backed Securities, continued

 

$1,420,544

    

Wachovia Student Loan Trust, Class 2A3, Series 2006-1, 0.30%(US0003M+17bps), 4/25/40, Callable 4/25/26 @ 100(a)

   $     1,391,463  
       

 

 

 

Total Asset Backed Securities (Cost $12,421,864)

     12,464,319  
       

 

 

 

Collateralized Mortgage Obligations (8.7%):

 

750,000

    

AGL CLO 7, Ltd., Class BR, Series 2020-7A, 1.83%(US0003M+170bps), 7/15/34, Callable 7/15/23 @ 100(a)

     750,533  

850,000

    

AIMCO CLO, Class AR2, Series 2015-AA(US0003M+114bps), 10/17/34(a)

     850,000  

479,642

    

AIMCO CLO, Class AR, Series 2015-AA, 0.98%(US0003M+85bps), 1/15/28, Callable 10/15/21 @ 100(a)

     479,642  

1,064,255

    

Alternative Loan Trust, Class 4A1, Series 2005-56, 0.71%(US0001M+31bps), 11/25/35, Callable 10/25/21 @ 100

     1,000,058  

495,328

    

America Home Mortgage Investment Trust, Class 6A, Series 2005-1, 2.15%(US0006M+200bps), 6/25/45, Callable 10/25/21 @ 100

     496,122  

515,000

    

Bank of America Merrill Lynch Large Loan, Inc., Class A, Series 2018-PARK, 4.23%, 8/10/38(a)(b)

     583,201  

181,523

    

Bank of America Mortgage Securities, Inc., Class 2A3, Series 2005-F, 2.68%, 7/25/35, Callable 10/25/21 @ 100(b)

     180,190  

646,937

    

BSPRT Issuer, Ltd., Class AS, Series 2018-FL3, 1.43%(US0001M+135bps), 3/15/28, Callable 10/15/21 @ 100(a)

     646,938  

155,000

    

BX Trust, Class A, Series 2019-OC11, 3.20%, 12/9/41(a)

     165,520  

355,000

    

CALI Mortgage Trust, Class A, Series 2019-101C, 3.96%, 3/10/39(a)

     400,312  

614,614

    

Citigroup Mortgage Loan Trust, Inc., Class 1A1A, Series 2007-AR5, 2.90%, 4/25/37, Callable 11/25/36 @ 100(b)

     618,235  

863,982

    

COMM Mortgage Trust, Class A3, Series 2015-CR27, 3.35%, 10/10/48, Callable 9/10/25 @ 100

     924,115  

300,000

    

CPT Mortgage Trust, Class A, Series 2019-CPT, 2.87%, 11/13/39, Callable 11/13/29 @ 100(a)

     316,383  

797,856

    

Credit Suisse Mortgage Capital Certificates, Class A2E, Series 2007-CB2, 3.66%, 2/25/37, Callable 2/25/23 @ 100(b)

     615,458  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MetWest Total Return Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal

Amount

   Value        
Collateralized Mortgage Obligations, continued

 

$325,000

    

DC Office Trust, Class A, Series 2019-MTC, 2.97%, 9/15/45(a)

   $        343,096  

407,146

    

First Horizon Alternative Mortgage Securities Trust, Class 2A1, Series 2006-AA1, 2.35%, 4/25/36, Callable 10/25/21 @ 100(b)

     335,083  

236,334

    

First Horizon Alternative Mortgage Securities Trust, Class 2A1, Series 2005-AR3, 2.75%, 8/25/35, Callable 10/25/21 @ 100(b)

     202,139  

486,754

    

First Horizon Alternative Mortgage Securities Trust, Class 2A1, Series 2005-AA12, 2.45%, 2/25/36, Callable 10/25/21 @ 100(b)

     373,199  

557,227

    

First Horizon Alternative Mortgage Securities Trust, Class 1A1, Series 2006-AA1, 2.33%, 3/25/36, Callable 10/25/21 @ 100(b)

     431,755  

410,409

    

GMAC Mortgage Corp. Loan Trust, Class 3A1, Series 2005-AR5, 3.44%, 9/19/35, Callable 10/19/21 @ 100(b)

     415,657  

536,615

    

GMAC Mortgage Corp. Loan Trust, Class 1A1, Series 2006-AR1, 2.98%, 4/19/36, Callable 10/19/21 @ 100(b)

     470,513  

850,000

    

GoldenTree Loan Opportunities IX, Ltd., Class AR2, Series 2014-9A, 1.24%(US0003M+111bps), 10/29/29, Callable 10/29/21 @ 100(a)

     849,998  

952,184

    

GreenPoint Mortgage Funding Trust, Class A1A, Series 2006-AR1, 0.67%(US0001M+58bps), 2/25/36, Callable 10/25/21 @ 100

     950,025  

1,188,712

    

HarborView Mortgage Loan Trust, Class 1A1A, Series 2006-10, 0.29%(US0001M+20bps), 11/19/36, Callable 7/19/22 @ 100

     1,082,393  

330,000

    

Hudson Yards Mortgage Trust, Class A, Series 2019-30HY, 3.23%, 6/10/37(a)

     356,413  

325,000

    

Hudson Yards Mortgage Trust, Class A, Series 2019-55HY, 3.04%, 12/10/41(a)

     345,534  

325,000

    

J.P. Morgan Chase Commercial Mortgage Securities Trust, Class A, Series 2019-OSB, 3.40%, 6/5/39, Callable 6/5/29 @ 100(a)

     355,683  

820,000

    

LCM LP, Class ARR, Series 13A, 1.27%(US0003M+114bps), 7/19/27, Callable 10/19/21 @ 100(a)

     819,997  

730,043

    

Merrill Lynch First Franklin Mortgage Loan Trust, Class 2A2, Series 2007-4, 0.21%(US0001M+12bps), 7/25/37, Callable 12/25/22 @ 100

     465,470  

Principal

Amount

   Value        
Collateralized Mortgage Obligations, continued

 

$395,000

    

MKT Mortgage Trust, Class A, Series 2020-525M, 2.69%, 2/12/40(a)

   $        410,618  

92,103

    

Morgan Stanley Resecuritization Trust, Class 3A, Series 2014-R8, 0.85%(12MTA+75bps), 6/26/47(a)

     91,413  

209,568

    

MortgageIT Trust, Class 2A3, Series 2005-2, 1.74%(US0001M+165bps), 5/25/35, Callable 10/25/21 @ 100

     207,839  

320,000

    

Natixis Commercial Mortgage Securities, Class A, Series 20-2PAC, 2.97%, 1/15/25(a)

     333,896  

269,691

    

Nomura Asset Acceptance Corp., Class 3A1, Series 2005-AR3, 5.69%, 7/25/35, Callable 10/25/21 @ 100(b)

     271,291  

415,000

    

One Bryant Park Trust, Class A, Series 2019-OBP, 2.52%, 9/13/49(a)

     427,757  

750,000

    

Park Avenue Institutional Advisers CLO, Ltd., Class A1A, Series 2021-1A, 1.52%(US0003M+139bps), 1/20/34, Callable 1/20/23 @ 100(a)

     751,964  

560,000

    

RBSCF Trust, Class A, Series 2013-GSP, 3.96%, 1/13/32(a)(b)

     589,915  

800,000

    

Recette Clo, Ltd., Class ARR, Series 2015-1A, 1.21%(US0003M+108bps), 1/20/33, Callable 4/20/23 @ 100(a)

     800,870  

878,080

    

Residential Accredit Loans, Inc., Class A2, Series 2006-QA10, 0.44%(US0001M+18bps), 12/25/36, Callable 10/25/21 @ 100

     876,210  

800,000

    

Rockford Tower CLO, Ltd., Class A1, Series 2021-1A, 1.25%(US0003M+117bps), 7/20/34, Callable 7/20/23 @ 100(a)

     801,316  

1,221,947

    

Structured Asset Mortgage Investments II Trust, Class 3A1, Series 2006-AR1, 0.55%(US0001M+23bps), 2/25/36, Callable 10/25/21 @ 100

     1,180,833  

750,000

    

TCI-Flatiron CLO, Ltd., Class AR2, Series 2016-1A, 1.28%(US0003M+115bps), 1/17/32, Callable 1/17/22 @ 100(a)

     750,158  

350,530

    

WaMu Mortgage Pass-Through Certificates, Class A2, Series 2005-AR3, 2.72%, 3/25/35, Callable 10/25/21 @ 100(b)

     345,271  

1,077,731

    

WaMu Mortgage Pass-Through Certificates, Class 2A1A, Series 2005-AR8, 0.67%(US0001M+29bps), 7/25/45, Callable 10/25/21 @ 100

     1,070,052  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MetWest Total Return Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal

Amount

   Value        
Collateralized Mortgage Obligations, continued

 

$174,406

    

WaMu Mortgage Pass-Through Certificates, Class A1A, Series 2004-AR10, 0.97%(US0001M+44bps), 7/25/44, Callable 10/25/21 @ 100

   $        171,714  

409,695

    

WaMu Mortgage Pass-Through Certificates, Class 2A1A, Series 2005-AR6, 0.55%(US0001M+23bps), 4/25/45, Callable 10/25/21 @ 100

     404,005  

243,430

    

Wells Fargo Mortgage Backed Securities Trust, Class 1A1, Series 2006-AR12, 2.24%, 9/25/36, Callable 10/25/21 @ 100(b)

     231,225  
       

 

 

 

Total Collateralized Mortgage Obligations (Cost $25,043,358)

     25,540,009  
       

 

 

 

Corporate Bonds (17.9%):

 

Aerospace & Defense (0.2%):

 

605,000

    

Boeing Co. (The), 1.17%, 2/4/23, Callable 2/4/22 @ 100

     606,264  
       

 

 

 

Airlines (0.2%):

 

496,171

    

U.S. Airways Group, Inc., Series 2010-1A, 6.25%, 10/22/24

     511,056  
       

 

 

 

Automobiles (0.1%):

 

290,000

    

Magic Mergeco, Inc., 5.25%, 5/1/28, Callable 11/1/23 @ 102.63(a)

     297,250  
       

 

 

 

Banks (2.4%):

 

1,150,000

    

Bank of America Corp., 1.66% (SOFR+91 bps), 3/11/27, Callable 3/11/26 @ 100

     1,154,654  

620,000

    

Bank of America Corp., 1.73% (SOFR+96 bps), 7/22/27, Callable 7/22/26 @ 100

     621,392  

470,000

    

Bank of America Corp., 3.97% (US0003M+107 bps), 3/5/29, Callable 3/5/28 @ 100, MTN

     523,475  

760,000

    

Bank of America Corp., 2.09% (SOFR+106 bps), 6/14/29, Callable 6/14/28 @ 100

     755,530  

450,000

    

Citigroup, Inc., 1.46% (SOFR+77 bps), 6/9/27, Callable 6/9/26 @ 100

     446,761  

1,210,000

    

JPMorgan Chase & Co., 0.97% (SOFR+58 bps), 6/23/25, Callable 6/23/24 @ 100

     1,208,295  

305,000

    

JPMorgan Chase & Co., 0.77%, 8/9/25, Callable 8/9/24 @ 100

     303,036  

145,000

    

JPMorgan Chase & Co., 2.08% (SOFR+185 bps), 4/22/26, Callable 4/22/25 @ 100

     148,793  

445,000

    

JPMorgan Chase & Co., 1.58% (SOFR+89 bps), 4/22/27, Callable 4/22/26 @ 100

     445,763  

455,000

    

JPMorgan Chase & Co., 1.47%, 9/22/27, Callable 9/22/26 @ 100

     451,019  

270,000

    

Wells Fargo & Co., 2.16% (US0003M+75 bps), 2/11/26, Callable 2/11/25 @ 100, MTN

     278,055  

Principal

Amount

   Value        
Corporate Bonds, continued

 

Banks, continued

 

$410,000

    

Wells Fargo & Co., 3.58% (US0003M+131 bps), 5/22/28, Callable 5/22/27 @ 100, MTN

   $        448,132  

200,000

    

Wells Fargo & Co., 2.88% (US0003M+117 bps), 10/30/30, Callable 10/30/29 @ 100, MTN

     207,503  
       

 

 

 

          6,992,408  
       

 

 

 

Beverages (0.3%):

 

350,000

    

Anheuser-Busch Cos LLC/Anheuser-Busch InBev Worldwide, Inc., 4.70%, 2/1/36, Callable 8/1/35 @ 100

     422,225  

360,000

    

Anheuser-Busch Cos LLC/Anheuser-Busch InBev Worldwide, Inc., 4.90%, 2/1/46, Callable 8/1/45 @ 100

     444,807  
       

 

 

 

          867,032  
       

 

 

 

Biotechnology (0.4%):

 

428,000

    

AbbVie, Inc., 4.55%, 3/15/35, Callable 9/15/34 @ 100

     513,725  

293,000

    

AbbVie, Inc., 4.50%, 5/14/35, Callable 11/14/34 @ 100

     349,680  

145,000

    

AbbVie, Inc., 4.05%, 11/21/39, Callable 5/21/39 @ 100

     164,972  

35,000

    

AbbVie, Inc., 4.45%, 5/14/46, Callable 11/14/45 @ 100

     42,070  
       

 

 

 

          1,070,447  
       

 

 

 

Capital Markets (1.2%):

 

180,000

    

Goldman Sachs Group, Inc. (The), 1.09% (SOFR+79 bps), 12/9/26, Callable 12/9/25 @ 100

     177,142  

885,000

    

Goldman Sachs Group, Inc. (The), 1.43% (SOFR+80 bps), 3/9/27, Callable 3/9/26 @ 100

     880,886  

450,000

    

Goldman Sachs Group, Inc. (The), 1.54% (SOFR+82 bps), 9/10/27, Callable 9/10/26 @ 100

     447,317  

445,000

    

Morgan Stanley, 1.59% (SOFR+88 bps), 5/4/27, Callable 5/4/26 @ 100

     446,370  

895,000

    

Morgan Stanley, 1.51%, 7/20/27, Callable 7/20/26 @ 100, MTN

     890,359  

205,000

    

Mozart Debt Merger Sub, Inc., 3.88%, 4/1/29, Callable 10/1/24 @ 101.94(a)

     205,256  

255,000

    

Raymond James Financial, 4.95%, 7/15/46

     328,371  

250,000

    

SL Green Operating Partnership LP, 3.25%, 10/15/22, Callable 9/15/22 @ 100

     255,959  
       

 

 

 

          3,631,660  
       

 

 

 

Chemicals (0.1%):

 

312,000

    

International Flavors & Fragrances, Inc., 2.30%, 11/1/30, Callable 8/1/30 @ 100(a)

     308,085  
       

 

 

 

Consumer Finance (1.1%):

 

255,000

    

Ford Motor Credit Co. LLC, 3.81%, 10/12/21

     255,000  

150,000

    

Ford Motor Credit Co. LLC, 1.00% (US0003M+88 bps), 10/12/21

     149,987  

1,150,000

    

Ford Motor Credit Co. LLC, 5.60%, 1/7/22

     1,162,952  

95,000

    

Ford Motor Credit Co. LLC, 3.22%, 1/9/22

     95,475  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MetWest Total Return Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal

Amount

   Value        
Corporate Bonds, continued

 

Consumer Finance, continued

 

$455,000

    

Ford Motor Credit Co. LLC, 3.34%, 3/28/22, Callable 2/28/22 @ 100

   $        458,419  

575,000

    

General Motors Financial Co., Inc., 4.20%, 11/6/21

     576,921  

60,000

    

General Motors Financial Co., Inc., 3.45%, 4/10/22, Callable 2/10/22 @ 100

     60,678  

375,000

    

General Motors Financial Co., Inc., 3.15%, 6/30/22, Callable 5/30/22 @ 100

     381,567  

155,000

    

General Motors Financial Co., Inc., 3.55%, 7/8/22

     158,609  
       

 

 

 

          3,299,608  
       

 

 

 

Containers & Packaging (0.3%):

 

200,000

    

Ball Corp., 4.00%, 11/15/23

     210,250  

500,000

    

Berry Global, Inc., 1.57%, 1/15/26, Callable 12/15/25 @ 100(a)

     500,000  

90,000

    

Berry Global, Inc., 4.88%, 7/15/26, Callable 7/15/22 @ 102.44(a)

     94,500  

110,000

    

Graphic Packaging International LLC, 4.75%, 7/15/27, Callable 4/15/27 @ 100(a)

     119,213  

25,000

    

Mauser Packaging Solutions Holding Co., 5.50%, 4/15/24, Callable 11/8/21 @ 101.38(a)

     25,187  

25,000

    

Sealed Air Corp., 4.00%, 12/1/27, Callable 9/1/27 @ 100(a)

     26,625  
       

 

 

 

          975,775  
       

 

 

 

Diversified Financial Services (0.6%):

 

600,000

    

Amcor Finance USA, Inc., 3.63%, 4/28/26, Callable 1/28/26 @ 100

     652,945  

275,000

    

GE Capital Funding LLC, 4.40%, 5/15/30, Callable 2/15/30 @ 100

     318,968  

80,000

    

Level 3 Financing, Inc., 3.40%, 3/1/27, Callable 1/1/27 @ 100(a)

     83,900  

420,000

    

Level 3 Financing, Inc., 3.88%, 11/15/29, Callable 8/15/29 @ 100(a)

     448,875  

300,000

    

Venture Global Calcasieu Pass LLC, 3.88%, 8/15/29, Callable 2/15/29 @ 100(a)

     308,625  
       

 

 

 

          1,813,313  
       

 

 

 

Diversified Telecommunication Services (1.1%):

 

287,000

    

AT&T, Inc., 2.55%, 12/1/33, Callable 9/1/33 @ 100

     281,884  

290,000

    

AT&T, Inc., 4.50%, 5/15/35, Callable 11/15/34 @ 100

     337,089  

255,000

    

AT&T, Inc., 4.30%, 12/15/42, Callable 6/15/42 @ 100

     285,683  

125,000

    

AT&T, Inc., 4.75%, 5/15/46, Callable 11/15/45 @ 100

     149,684  

1,115,000

    

AT&T, Inc., 3.80%, 12/1/57, Callable 6/1/57 @ 100

     1,131,937  

64,000

    

CenturyLink, Inc., 4.00%, 2/15/27, Callable 2/15/23 @ 102(a)

     65,200  

175,000

    

Qwest Corp., 7.25%, 9/15/25

     208,352  

445,000

    

Verizon Communications, Inc., 2.55%, 3/21/31, Callable 12/21/30 @ 100

     449,173  

440,000

    

Verizon Communications, Inc., 2.36%, 3/15/32, Callable 12/15/31 @ 100(a)

     433,116  
       

 

 

 

          3,342,118  
       

 

 

 

Principal

Amount

   Value        
Corporate Bonds, continued

 

Electric Utilities (1.1%):

 

$280,000

    

American Transmission Systems, Inc., 5.00%, 9/1/44, Callable 3/1/44 @ 100(a)

   $        358,015  

500,000

    

Appalachian Power Co., Series H, 5.95%, 5/15/33

     644,459  

1,000,000

    

Duke Energy Progress, Inc., 4.15%, 12/1/44, Callable 6/1/44 @ 100

     1,172,837  

750,000

    

Jersey Central Power & Light Co., 6.40%, 5/15/36

     1,029,734  
       

 

 

 

          3,205,045  
       

 

 

 

Electrical Equipment (0.0%):

 

82,000

    

PowerTeam Services LLC, 9.03%, 12/4/25, Callable 2/4/23 @ 104.52(a)

     88,970  
       

 

 

 

Entertainment (0.1%):

 

285,000

    

Walt Disney Co. (The), 3.60%, 1/13/51, Callable 7/13/50 @ 100

     316,751  
       

 

 

 

Equity Real Estate Investment Trusts (0.8%):

 

590,000

    

American Campus Communities Operating Partnership LP, 3.63%, 11/15/27, Callable 8/15/27 @ 100

     642,131  

295,000

    

CyrusOne LP/CyrusOne Finance Corp., 2.15%, 11/1/30, Callable 8/1/30 @ 100

     276,891  

205,000

    

GLP Capital LP, 5.25%, 6/1/25, Callable 3/1/25 @ 100

     227,740  

440,000

    

GLP Capital LP, 5.38%, 4/15/26, Callable 1/15/26 @ 100^

     501,158  

105,000

    

GLP Capital LP, 5.75%, 6/1/28, Callable 3/3/28 @ 100

     123,072  

290,000

    

GLP Capital LP, 5.30%, 1/15/29, Callable 10/15/28 @ 100

     336,656  

5,000

    

GLP Capital LP, 4.00%, 1/15/30, Callable 10/15/29 @ 100

     5,383  

112,000

    

SBA Communications Corp., 4.88%, 9/1/24, Callable 11/8/21 @ 101.22

     113,680  
       

 

 

 

          2,226,711  
       

 

 

 

Food Products (0.5%):

 

30,000

    

JBS USA Finance, Inc., 5.50%, 1/15/30, Callable 1/15/25 @ 102.75(a)

     33,375  

100,000

    

JBS USA LUX SA / JBS USA Food Co. / JBS USA Finance, Inc., 6.50%, 4/15/29, Callable 4/15/24 @ 103.25(a)

     111,625  

130,000

    

JBS USA LUX SA / JBS USA Food Co. / JBS USA Finance, Inc., 3.75%, 12/1/31, Callable 12/1/26 @ 101.88^(a)

     135,200  

790,000

    

Kraft Heinz Foods Co., 4.88%, 10/1/49, Callable 4/1/49 @ 100

     961,283  

25,000

    

Pilgrim’s Pride Corp., 5.88%, 9/30/27, Callable 9/30/22 @ 102.94(a)

     26,500  

150,000

    

Post Holdings, Inc., 5.75%, 3/1/27, Callable 3/1/22 @ 102.88(a)

     155,625  

150,000

    

Post Holdings, Inc., 4.50%, 9/15/31, Callable 9/15/26 @ 102.25(a)

     148,875  
       

 

 

 

          1,572,483  
       

 

 

 

Health Care Providers & Services (2.2%):

 

200,000

    

Aetna, Inc., 3.50%, 11/15/24, Callable 8/15/24 @ 100

     214,327  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MetWest Total Return Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal

Amount

   Value        
Corporate Bonds, continued

 

Health Care Providers & Services, continued

 

$140,000

    

Centene Corp., 4.25%, 12/15/27, Callable 12/15/22 @ 102.13

   $        146,650  

83,000

    

Centene Corp., 2.45%, 7/15/28, Callable 5/15/28 @ 100

     83,415  

569,000

    

Centene Corp., 3.00%, 10/15/30, Callable 7/15/30 @ 100

     583,225  

1,300,000

    

Cigna Corp., 4.13%, 11/15/25, Callable 9/15/25 @ 100

     1,441,578  

290,000

    

CommonSpirit Health, 2.78%, 10/1/30, Callable 4/1/30 @ 100

     298,553  

400,000

    

CVS Health Corp., 4.88%, 7/20/35, Callable 1/20/35 @ 100

     481,834  

635,000

    

CVS Health Corp., 5.05%, 3/25/48, Callable 9/25/47 @ 100

     818,551  

490,000

    

HCA, Inc., 5.00%, 3/15/24

     537,162  

93,000

    

HCA, Inc., 5.25%, 4/15/25

     105,322  

640,000

    

HCA, Inc., 4.13%, 6/15/29, Callable 3/15/29 @ 100

     715,200  

90,000

    

HCA, Inc., 2.38%, 7/15/31, Callable 4/15/31 @ 100

     88,307  

145,000

    

HCA, Inc., 5.25%, 6/15/49, Callable 12/15/48 @ 100

     183,787  

75,000

    

Humana, Inc., 4.95%, 10/1/44, Callable 4/1/44 @ 100

     96,293  

170,000

    

Molina Healthcare, Inc., 5.38%, 11/15/22, Callable 8/15/22 @ 100

     175,525  

409,000

    

Molina Healthcare, Inc., 3.88%, 11/15/30, Callable 8/17/30 @ 100(a)

     431,495  
       

 

 

 

          6,401,224  
       

 

 

 

Health Care Technology (0.0%):

 

25,000

    

Change Healthcare Holdings LLC / Change Healthcare Finance, Inc., 5.75%, 3/1/25, Callable 10/19/21 @ 101.44(a)

     25,187  
       

 

 

 

Hotels, Restaurants & Leisure (0.1%):

 

465,000

    

Diamond Sports Group LLC / Diamond Sports Finance Co., 5.38%, 8/15/26, Callable 8/15/22 @ 102.69^(a)

     306,900  
       

 

 

 

Industrial Conglomerates (0.1%):

 

190,000

    

General Electric Co., Series A, 6.75%, 3/15/32, MTN

     259,923  
       

 

 

 

Insurance (0.8%):

 

225,000

    

Athene Global Funding, 0.75% (SOFR+70 bps), 5/24/24(a)

     225,880  

375,000

    

Athene Global Funding, 1.99%, 8/19/28(a)

     369,361  

700,000

    

Farmers Exchange Capital III, 5.45% (US0003M+345 bps), 10/15/54, Callable 10/15/34 @ 100(a)

     860,606  

670,000

    

Farmers Insurance Exchange, 4.75% (US0003M+323 bps), 11/1/57, Callable 11/1/37 @ 100(a)

     765,218  
       

 

 

 

          2,221,065  
       

 

 

 

IT Services (0.0%):

 

87,000

    

Colt Merger Sub, Inc., 6.25%, 7/1/25, Callable 7/1/22 @ 103.13(a)

     91,567  
       

 

 

 

Media (0.4%):

 

290,000

    

Cable One, Inc., 4.00%, 11/15/30, Callable 11/15/25 @ 102^(a)

     288,913  

Principal

Amount

   Value        
Corporate Bonds, continued

 

Media, continued

 

$35,000

    

Charter Communications Operating LLC, 4.80%, 3/1/50, Callable 9/1/49 @ 100

   $          39,318  

499,000

    

Charter Communications Operating LLC / Charter Communications Operating Capital, 5.75%, 4/1/48, Callable 10/1/47 @ 100

     628,668  

30,000

    

CSC Holdings LLC, 5.38%, 2/1/28, Callable 2/1/23 @ 102.69(a)

     31,350  

90,000

    

CSC Holdings LLC, 4.50%, 11/15/31, Callable 11/15/26 @ 102.25(a)

     88,650  
       

 

 

 

          1,076,899  
       

 

 

 

Oil, Gas & Consumable Fuels (0.9%):

 

26,000

    

Antero Resources Corp., 8.38%, 7/15/26, Callable 1/15/24 @ 104.19(a)

     29,445  

35,000

    

Endeavor Energy Resources LP/EER Finance, Inc., 5.75%, 1/30/28, Callable 1/30/23 @ 102.88(a)

     36,837  

210,000

    

Energy Transfer LP, 5.50%, 6/1/27, Callable 3/1/27 @ 100

     246,488  

264,000

    

Energy Transfer LP, 4.95%, 6/15/28, Callable 3/15/28 @ 100

     302,940  

670,000

    

Energy Transfer LP, 5.40%, 10/1/47, Callable 4/1/47 @ 100

     798,975  

90,000

    

Exxon Mobil Corp., 4.23%, 3/19/40, Callable 9/19/39 @ 100

     106,234  

278,000

    

Exxon Mobil Corp., 4.33%, 3/19/50, Callable 9/19/49 @ 100

     337,827  

163,000

    

Occidental Petroleum Corp., 0.00%, 10/10/36(c)

     88,835  

200,000

    

Occidental Petroleum Corp., 4.50%, 7/15/44, Callable 1/15/44 @ 100

     201,000  

250,000

    

Rockies Express Pipeline LLC, 4.95%, 7/15/29, Callable 4/15/29 @ 100(a)

     259,375  

250,000

    

Rockies Express Pipeline LLC, 4.80%, 5/15/30, Callable 2/15/30 @ 100(a)

     260,000  
       

 

 

 

          2,667,956  
       

 

 

 

Pharmaceuticals (0.7%):

 

90,000

    

Bayer US Finance II LLC, 4.25%, 12/15/25, Callable 10/15/25 @ 100(a)

     99,424  

955,000

    

Bayer US Finance II LLC, 4.38%, 12/15/28, Callable 9/15/28 @ 100(a)

     1,083,300  

490,000

    

Bayer US Finance II LLC, 4.63%, 6/25/38, Callable 12/25/37 @ 100(a)

     576,831  

160,000

    

Bayer US Finance II LLC, 4.88%, 6/25/48, Callable 12/25/47 @ 100(a)

     196,991  

90,000

    

Catalent Pharma Solutions, Inc., 3.50%, 4/1/30, Callable 4/1/25 @ 101.75(a)

     89,663  

142,000

    

Endo Dac / Endo Finance LLC / Endo Finco, Inc., 6.00%, 6/30/28, Callable 6/30/23 @ 104.5^(a)

     101,885  
       

 

 

 

          2,148,094  
       

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL MetWest Total Return Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal

Amount

   Value        
Corporate Bonds, continued

 

Semiconductors & Semiconductor Equipment (0.2%):

 

$558,000

    

Intel Corp., 3.05%, 8/12/51, Callable 2/12/51 @ 100

   $        552,153  
       

 

 

 

Software (0.2%):

 

110,000

    

Oracle Corp., 2.88%, 3/25/31, Callable 12/25/30 @ 100

     113,065  

515,000

    

Oracle Corp., 3.95%, 3/25/51, Callable 9/25/50 @ 100

     542,003  
       

 

 

 

          655,068  
       

 

 

 

Textiles, Apparel & Luxury Goods (0.0%):

 

25,000

    

USA Compression Partners LP/USA Compression Finance Corp., 6.88%, 4/1/26, Callable 11/8/21 @ 105.16

     25,937  

81,000

    

USA Compression Partners LP/USA Compression Finance Corp., 6.88%, 9/1/27, Callable 9/1/22 @ 105.16

     85,455  
       

 

 

 

          111,392  
       

 

 

 

Tobacco (0.5%):

 

625,000

    

BAT Capital Corp., 4.54%, 8/15/47, Callable 2/15/47 @ 100

     647,731  

610,000

    

Reynolds American, Inc., 5.85%, 8/15/45, Callable 2/15/45 @ 100

     739,036  
       

 

 

 

          1,386,767  
       

 

 

 

Trading Companies & Distributors (0.2%):

 

655,000

    

Air Lease Corp., 3.50%, 1/15/22

     660,640  
       

 

 

 

Wireless Telecommunication Services (1.1%):

 

27,000

    

Sprint Corp., 7.88%, 9/15/23

     30,172  

1,153,125

    

Sprint Spectrum Co. LLC, 4.74%, 3/20/25, Callable 3/20/24 @ 100(a)

     1,229,949  

235,000

    

T-Mobile USA, Inc., 2.25%, 2/15/26, Callable 2/15/23 @ 101.13

     237,627  

444,000

    

T-Mobile USA, Inc., 2.63%, 4/15/26, Callable 4/15/23 @ 101.31

     454,092  

205,000

    

T-Mobile USA, Inc., 3.75%, 4/15/27, Callable 2/15/27 @ 100

     225,704  

235,000

    

T-Mobile USA, Inc., 3.88%, 4/15/30, Callable 1/15/30 @ 100

     259,064  

197,000

    

T-Mobile USA, Inc., 2.55%, 2/15/31, Callable 11/15/30 @ 100

     197,456  

395,000

    

T-Mobile USA, Inc., 4.38%, 4/15/40, Callable 10/15/39 @ 100

     451,960  
       

 

 

 

          3,086,024  
       

 

 

 

Total Corporate Bonds (Cost $49,904,549)

     52,775,835  
       

 

 

 

Yankee Dollars (7.2%):

 

Aerospace & Defense (0.2%):

 

30,000

    

Avolon Holdings Funding, Ltd., 5.25%, 5/15/24, Callable 4/15/24 @ 100(a)

     32,730  

345,000

    

Avolon Holdings Funding, Ltd., 2.88%, 2/15/25, Callable 1/15/25 @ 100(a)

     354,488  

325,000

    

Avolon Holdings Funding, Ltd., 2.53%, 11/18/27, Callable 10/18/27 @ 100(a)

     320,531  
       

 

 

 

          707,749  
       

 

 

 

Banks (1.9%):

 

450,000

    

DNB Bank ASA, 1.61%, 3/30/28, Callable 3/30/27 @ 100(a)

     448,615  

Principal

Amount

   Value        
Yankee Dollars, continued

 

Banks, continued

 

$450,000

    

HSBC Holdings plc, 2.10%, 6/4/26, Callable 6/4/25 @ 100

   $        459,512  

600,000

    

HSBC Holdings plc, 1.59% (SOFR+129 bps), 5/24/27, Callable 5/24/26 @ 100

     596,430  

440,000

    

HSBC Holdings plc, 2.01% (SOFR+173 bps), 9/22/28, Callable 9/22/27 @ 100

     438,178  

410,000

    

HSBC Holdings plc, 2.21%, 8/17/29, Callable 8/17/28 @ 100

     407,116  

415,000

    

Lloyds Banking Group plc, 2.86% (US0003M+125 bps), 3/17/23, Callable 3/17/22 @ 100

     419,341  

145,000

    

Lloyds Banking Group plc, 3.87% (H15T1Y+4 bps), 7/9/25, Callable 7/9/24 @ 100

     156,067  

450,000

    

Lloyds Banking Group plc, 1.63% (H15T1Y+85 bps), 5/11/27, Callable 5/11/26 @ 100

     449,241  

545,000

    

NatWest Group plc, 4.27% (US0003M+176 bps), 3/22/25, Callable 3/22/24 @ 100

     588,057  

390,000

    

Santander UK Group Holdings plc, 4.80% (US0003M+157 bps), 11/15/24, Callable 11/15/23 @ 100

     422,185  

590,000

    

Santander UK Group Holdings plc, 1.09% (SOFR+79 bps), 3/15/25, Callable 3/15/24 @ 100

     590,066  

30,000

    

Santander UK Group Holdings plc, 3.82% (US0003M+140 bps), 11/3/28, Callable 11/3/27 @ 100

     32,738  

410,000

    

Santander UK plc, 5.00%, 11/7/23(a)

     443,787  
       

 

 

 

          5,451,333  
       

 

 

 

Beverages (0.2%):

 

275,000

    

Bacardi, Ltd., 4.45%, 5/15/25, Callable 3/15/25 @ 100(a)

     302,676  

105,000

    

Bacardi, Ltd., 5.30%, 5/15/48, Callable 11/15/47 @ 100(a)

     136,014  
       

 

 

 

          438,690  
       

 

 

 

Capital Markets (0.7%):

 

340,000

    

Credit Suisse Group AG, 4.55%, 4/17/26

     381,277  

625,000

    

Credit Suisse Group AG, 2.19% (SOFR+204 bps), 6/5/26, Callable 6/5/25 @ 100(a)

     633,889  

185,000

    

Credit Suisse Group AG, 1.31% (SOFR+98 bps), 2/2/27, Callable 2/2/26 @ 100(a)

     179,870  

280,000

    

Credit Suisse Group AG, 3.09% (SOFR+173 bps), 5/14/32, Callable 5/14/31 @ 100(a)

     286,650  

165,000

    

Macquarie Group, Ltd., 2.69%, 6/23/32, Callable 6/23/31 @ 100(a)

     164,351  

455,000

    

UBS AG, 0.70%, 8/9/24^(a)

     453,283  
       

 

 

 

          2,099,320  
       

 

 

 

Commercial Services & Supplies (0.1%):

 

178,000

    

GFL Environmental, Inc., 5.13%, 12/15/26, Callable 12/15/22 @ 102.56(a)

     186,900  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MetWest Total Return Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal

Amount

   Value        
Yankee Dollars, continued

 

Commercial Services & Supplies, continued

 

$150,000

    

GFL Environmental, Inc., 4.75%, 6/15/29, Callable 6/15/24 @ 102.38(a)

   $        153,750  
       

 

 

 

          340,650  
       

 

 

 

Diversified Financial Services (0.9%):

 

1,191,000

    

GE Capital International Funding, 4.42%, 11/15/35

     1,426,351  

111,000

    

Intelsat Jackson Holdings SA, 8.50%, 10/15/24, Callable 11/8/21 @ 104.25(a)(d)

     63,270  

540,000

    

Intelsat Jackson Holdings SA, 9.75%, 7/15/25, Callable 11/8/21 @ 104.88(a)(d)

     302,400  

29,000

    

OI European Group BV, 4.00%, 3/15/23, Callable 12/15/22 @ 100(a)

     29,653  

285,000

    

Park Aerospace Holdings, 4.50%, 3/15/23, Callable 2/15/23 @ 100(a)

     297,825  

72,000

    

Park Aerospace Holdings, 5.50%, 2/15/24(a)

     78,660  

290,000

    

Virgin Media Secured Finance plc, 5.50%, 5/15/29, Callable 5/15/24 @ 102.75(a)

     306,675  

290,000

    

Vmed O2 UK Financing I plc, 4.25%, 1/31/31, Callable 1/31/26 @ 102.13(a)

     287,825  
       

 

 

 

          2,792,659  
       

 

 

 

Energy Equipment & Services (0.1%):

 

53,350

    

Transocean Phoenix 2, Ltd., 7.75%, 10/15/24, Callable 11/8/21 @ 102.58(a)

     54,550  

101,170

    

Transocean Pontus, Ltd., 6.13%, 8/1/25, Callable 11/8/21 @ 104.59(a)

     101,170  

121,000

    

Transocean Poseidon, Ltd., 6.88%, 2/1/27, Callable 2/1/22 @ 105.16(a)

     120,395  

37,950

    

Transocean Proteus, Ltd., 6.25%, 12/1/24, Callable 11/8/21 @ 103.13(a)

     38,045  
       

 

 

 

          314,160  
       

 

 

 

Food & Staples Retailing (0.2%):

 

475,000

    

Alimentation Couche-Tard, Inc., 3.55%, 7/26/27, Callable 4/26/27 @ 100(a)

     521,906  
       

 

 

 

Interactive Media & Services (0.1%):

 

295,000

    

Tencent Holdings, Ltd., 3.68%, 4/22/41, Callable 10/22/40 @ 100(a)

     303,270  
       

 

 

 

Metals & Mining (0.1%):

 

200,000

    

Indonesia Asahan Aluminium Persero PT, 6.53%, 11/15/28(a)

     243,000  
       

 

 

 

Oil, Gas & Consumable Fuels (0.4%):

 

200,000

    

KazMunayGas National Co. JSC, 5.38%, 4/24/30

     235,000  

80,000

    

Petroleos Mexicanos, 6.63%, 6/15/35

     75,414  

630,000

    

Petroleos Mexicanos, 6.75%, 9/21/47

     547,454  

40,000

    

Petroleos Mexicanos, 7.69%, 1/23/50, Callable 7/23/49 @ 100

     37,631  

85,000

    

Petroleos Mexicanos, 6.95%, 1/28/60, Callable 7/28/59 @ 100

     74,159  

Principal

Amount

   Value        
Yankee Dollars, continued

 

Oil, Gas & Consumable Fuels, continued

 

$200,000

    

Petronas Capital, Ltd., 3.50%, 4/21/30, Callable 1/21/30 @ 100(a)

   $        216,505  
       

 

 

 

          1,186,163  
       

 

 

 

Professional Services (0.4%):

 

421,000

    

IHS Markit, Ltd., 5.00%, 11/1/22, Callable 8/1/22 @ 100(a)

     436,261  

125,000

    

IHS Markit, Ltd., 4.75%, 2/15/25, Callable 11/15/24 @ 100(a)

     137,969  

104,000

    

IHS Markit, Ltd., 4.00%, 3/1/26, Callable 12/1/25 @ 100(a)

     114,140  

295,000

    

IHS Markit, Ltd., 4.75%, 8/1/28, Callable 5/1/28 @ 100

     345,888  
       

 

 

 

          1,034,258  
       

 

 

 

Sovereign Bond (1.1%):

 

400,000

    

Abu Dhabi Government International, 2.50%, 9/30/29

     417,492  

200,000

    

Arab Republic of Egypt, 7.60%, 3/1/29(a)

     207,495  

200,000

    

Brazilian Government International Bond, 3.88%, 6/12/30

     193,800  

200,000

    

Chile Government International Bond, 3.24%, 2/6/28, Callable 11/6/27 @ 100

     212,107  

200,000

    

Dominican Republic International Bond, 4.50%, 1/30/30(a)

     204,000  

225,000

    

Mexico Government International Bond, 3.75%, 1/11/28

     245,089  

200,000

    

Panama Government International Bond, 3.16%, 1/23/30, Callable 10/23/29 @ 100

     206,500  

200,000

    

Paraguay Government International Bond, 4.70%, 3/27/27

     220,500  

200,000

    

Qatar Government International Bond, 4.50%, 4/23/28

     233,274  

400,000

    

Republic of Colombia, 3.00%, 1/30/30, Callable 10/30/29 @ 100

     377,623  

20,000

    

Republic of Peru, 4.13%, 8/25/27

     22,109  

200,000

    

Republic of South Africa Government International Bond, 4.85%, 9/30/29

     205,558  

200,000

    

Saudi Government International Bond, 3.25%, 10/26/26

     215,494  

200,000

    

Saudi Government International Bond, 3.63%, 3/4/28

     220,274  
       

 

 

 

          3,181,315  
       

 

 

 

Thrifts & Mortgage Finance (0.2%):

 

230,000

    

Nationwide Building Society, 3.62% (US0003M+118 bps), 4/26/23, Callable 4/26/22 @ 100(a)

     234,032  

330,000

    

Nationwide Building Society, 3.77% (US0003M+106 bps), 3/8/24, Callable 3/8/23 @ 100(a)

     344,150  
       

 

 

 

          578,182  
       

 

 

 

Tobacco (0.1%):

 

280,000

    

Imperial Brands Finance plc, 3.13%, 7/26/24, Callable 6/26/24 @ 100(a)

     294,500  
       

 

 

 

Trading Companies & Distributors (0.2%):

 

555,000

    

AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 3.95%, 2/1/22, Callable 1/1/22 @ 100

     559,852  
       

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL MetWest Total Return Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal

Amount

   Value        
Yankee Dollars, continued

 

Wireless Telecommunication Services (0.3%):

 

$813,000

    

Vodafone Group plc, 4.88%, 6/19/49

   $ 1,015,457  
       

 

 

 

Total Yankee Dollars (Cost $20,779,545)

     21,062,464  
       

 

 

 

Municipal Bonds (0.7%):

 

California (0.5%):

 

700,000

    

Los Angeles Unified School District, Build America Bonds, GO, 5.76%, 7/1/29

     855,253  

570,000

    

Regents of the University of California Medical Center Pooled Revenue, Series N, 3.26%, 5/15/60, Continuously Callable @100

     614,950  
       

 

 

 

          1,470,203  
       

 

 

 

New York (0.2%):

 

420,000

    

City of New York NY, GO, Series A, 3.00%, 8/1/34, Continuously Callable @100

     436,044  

145,000

    

New York City Transitional Finance Authority Future Tax Secured Revenue, 2.40%, 11/1/32, Continuously Callable @100

     146,002  
       

 

 

 

          582,046  
       

 

 

 

Total Municipal Bonds (Cost $1,981,716)

     2,052,249  
       

 

 

 

U.S. Government Agency Mortgages (31.7%):   
Federal National Mortgage Association (20.5%)   

464,621

    

3.50%, 1/1/32, Pool #AB4262

     498,523  

66,259

    

3.00%, 7/1/32, Pool #MA3060

     69,837  

351,618

    

3.00%, 10/1/33, Pool #MA1676

     373,665  

3,700,000

    

1.50%, 11/25/36, TBA

     3,727,750  

5,075,000

    

2.00%, 11/25/36, TBA

     5,217,140  

485,000

    

2.46%, 4/1/40, Pool #BL6060

     483,345  

1,109,304

    

2.00%, 9/1/40, Pool #MA4152

     1,126,231  

1,379,033

    

2.00%, 10/1/40, Pool #MA4176

     1,402,622  

243,445

    

2.00%, 5/1/41, Pool #MA4333

     248,395  

32,520

    

4.00%, 8/1/42, Pool #MA1146

     35,182  

657,787

    

3.50%, 4/1/43, Pool #MA1404

     712,004  

337,769

    

4.50%, 2/1/46, Pool #AL9106

     372,334  

134,315

     Class QA , Series 2018-573.50%, 5/25/46      136,960  

410,646

     Class PA , Series 2018-553.50%, 1/25/47      424,144  

184,546

    

4.00%, 6/1/47, Pool #AS9830

     199,996  

165,265

    

4.00%, 7/1/47, Pool #AS9972

     179,102  

12,265

    

4.00%, 8/1/47, Pool #MA3088

     13,272  

902,966

    

3.50%, 1/1/48, Pool #CA0996

     979,764  

45,214

    

3.50%, 1/1/48, Pool #MA3238

     48,107  

51,874

    

4.50%, 5/1/48, Pool #CA1711

     56,209  

594,961

    

4.50%, 5/1/48, Pool #CA1710

     644,679  

425,790

     Class CT , Series 2018-433.00%, 6/25/48      439,150  

388,383

    

4.50%, 8/1/48, Pool #CA2208

     421,050  

1,014,501

    

3.50%, 6/1/49, Pool #CA3633

     1,108,072  

778,574

    

3.00%, 9/1/49, Pool #BN7755

     835,207  

276,670

    

3.00%, 10/1/49, Pool #MA3811

     285,145  

19,000,000

    

2.50%, 11/25/51, TBA

     19,538,086  

20,750,000

    

2.00%, 11/25/51, TBA

     20,750,000  
       

 

 

 

          60,325,971  
       

 

 

 

Government National Mortgage Association (5.0%)   

338,017

    

3.50%, 3/20/46, Pool #MA3521

     360,527  

352,956

    

3.50%, 4/20/46, Pool #MA3597

     376,462  

67,432

    

3.50%, 5/20/46, Pool #MA3663

     71,654  

Principal

Amount

   Value        
U.S. Government Agency Mortgages, continued   
Government National Mortgage Association, continued

 

$146,035

    

3.50%, 9/20/46, Pool #MA3937

   $ 155,469  

772,427

    

3.00%, 12/20/46, Pool #MA4126

     815,321  

586,734

    

3.50%, 1/20/47, Pool #MA4196

     625,810  

104,638

    

5.00%, 3/20/47, Pool #MA4324

     119,078  

271,406

    

5.00%, 6/20/47, Pool #MA4513

     291,071  

115,637

    

3.50%, 6/20/47, Pool #MA4510

     122,317  

177,668

    

5.00%, 9/20/47, Pool #MA4722

     193,995  

328,516

    

4.00%, 9/20/47, Pool #MA4720

     354,610  

228,163

    

4.00%, 11/20/47, Pool #MA4838

     246,286  

368,779

    

3.00%, 11/20/47, Pool #MA4836

     388,148  

137,634

    

3.50%, 11/20/47, Pool #MA4837

     146,464  

1,142,706

    

3.50%, 12/20/47, Pool #MA4900

     1,211,497  

107,395

    

4.00%, 12/20/47, Pool #MA4901

     115,925  

355,461

    

4.00%, 3/20/48, Pool #MA5078

     383,697  

714,125

    

4.50%, 8/20/48, Pool #MA5399

     763,373  

192,595

    

4.00%, 9/20/48, Pool #MA5466

     205,866  

327,437

     Class NW , Series 2018-1243.50%, 9/20/48      345,300  

272,672

    

3.00%, 10/20/49, Pool #MA6209

     281,076  

4,025,000

    

2.50%, 11/20/51, TBA

     4,144,964  

2,925,000

    

2.00%, 11/20/51, TBA

     2,959,277  
       

 

 

 

          14,678,187  
       

 

 

 

Federal Home Loan Mortgage Corporation (6.2%)   

245,218

    

3.00%, 3/1/31, Pool #G18592

     258,798  

578,199

    

3.50%, 1/1/34, Pool #G16756

     621,376  

1,123,794

    

3.50%, 4/1/44, Pool #G07848

     1,241,238  

1,494,856

    

3.50%, 4/1/45, Pool #G60023

     1,647,605  

1,141,928

    

4.00%, 12/1/45, Pool #G60344

     1,264,972  

735,061

    

3.50%, 6/1/46, Pool #G08711

     786,309  

441,094

    

3.00%, 8/1/46, Pool #G08715

     465,617  

506,865

    

3.50%, 8/1/46, Pool #G08716

     542,204  

203,016

    

3.50%, 9/1/46, Pool #G08722

     217,170  

118,499

    

3.00%, 9/1/46, Pool #G08721

     125,086  

589,907

    

3.00%, 10/1/46, Pool #G08726

     622,703  

659,975

    

3.00%, 11/1/46, Pool #G08732

     696,666  

820,273

    

3.00%, 1/1/47, Pool #G08741

     865,876  

772,228

    

3.50%, 4/1/47, Pool #G67703

     843,437  

145,863

    

Class PA , Series 48464.00%, 6/15/47

     149,076  

1,015,434

    

3.50%, 12/1/47, Pool #G67706

     1,113,097  

338,900

    

3.50%, 12/1/47, Pool #G08792

     360,580  

1,896,416

    

3.50%, 1/1/48, Pool #G67707

     2,098,490  

399,461

    

3.50%, 2/1/48, Pool #G08800

     424,287  

483,605

    

3.50%, 3/1/48, Pool #G67710

     519,426  

999,886

    

4.00%, 3/1/48, Pool #G67711

     1,103,650  

97,505

    

Class CA , Series 48183.00%, 4/15/48

     100,565  

3,780

    

4.00%, 6/1/48, Pool #G67713

     4,153  

369,701

    

3.50%, 6/1/48, Pool #G08816

     392,678  

126,911

    

5.00%, 7/1/48, Pool #G08833

     139,439  

304,392

    

4.50%, 10/1/48, Pool #G08843

     329,518  

1,333,749

    

Class HZ , Series 46393.25%, 4/15/53

     1,445,118  
       

 

 

 

          18,379,134  
       

 

 

 

Total U.S. Government Agency Mortgages (Cost $92,088,305)

     93,383,292  
       

 

 

 

U.S. Treasury Obligations (48.6%):   
U.S. Treasury Bills (10.2%)   

5,610,000

    

0.02%, 10/5/21(c)

     5,609,988  

12,115,000

    

12/2/21(c)

     12,114,374  

3,135,000

    

12/14/21(c)

     3,134,807  

2,630,000

    

12/21/21(c)

     2,629,793  

4,500,000

    

2/3/22(c)

     4,499,297  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MetWest Total Return Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal

Amount

           Value         
U.S. Treasury Obligations, continued

 

U.S. Treasury Bills, continued

 

$945,000

     2/10/22(c)    $ 944,861  

      1,085,000

     2/17/22(c)      1,084,811  
       

 

 

 
          30,017,931  
       

 

 

 
       
U.S. Treasury Notes (30.7%)   

17,095,000

     0.13%, 7/31/23      17,057,605  

21,095,000

     0.13%, 8/31/23      21,038,966  

13,265,000

     0.25%, 9/30/23      13,254,637  

7,420,000

     0.63%, 7/31/26      7,298,266  

10,610,000

     0.75%, 8/31/26      10,492,295  

16,416,000

     0.88%, 9/30/26      16,321,095  

5,150,000

     1.25%, 8/15/31      5,019,640  
       

 

 

 
          90,482,504  
       

 

 

 
U.S. Treasury Inflation Index Bonds (0.3%)

 

670,995

     0.13%, 2/15/51      731,601  
       

 

 

 
U.S. Treasury Bonds (7.4%)   

3,375,000

     2.25%, 5/15/41      3,502,090  

2,670,000

     2.38%, 5/15/51      2,841,464  

15,911,000

     2.00%, 8/15/51      15,590,294  
       

 

 

 
          21,933,848  
       

 

 

 

Total U.S. Treasury Obligations (Cost $143,715,997)

     143,165,884  
       

 

 

 
Purchased Options (0.0%):   

Total Purchased Options (Cost $47,524)

     90,000  
       

 

 

 
Purchased Swaptions (0.0%):   

Total Purchased Swaptions (Cost $35,990)

     42,032  
       

 

 

 
Principal
Amount
           Value         
Short-Term Security Held as Collateral for Securities on Loan (0.5%):   

1,391,593

     BlackRock Liquidity FedFund, Institutional Class , 0.03%(c)(e)      1,391,593  
       

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan (Cost $1,391,593)

     1,391,593  
       

 

 

 
Shares            Value         
Unaffiliated Investment Company (0.8%):   
Money Markets (0.8%):   

2,395,705

     Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(c)      2,395,705  
       

 

 

 

Total Unaffiliated Investment Company (Cost $2,395,705)

     2,395,705  
       

 

 

 

Total Investment Securities

  

(Cost $349,806,146) - 120.3%

     354,363,382  

Net other assets (liabilities) - (20.3)%

     (59,778,870
       

 

 

 

Net Assets - 100.0%

   $ 294,584,512  
       

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

12MTA    -    12 Month Treasury Average
GO    -    General Obligation
H15T1Y    -    1 Year Treasury Constant Maturity Rate
LIBOR    -    London Interbank Offered Rate
MTN    -    Medium Term Note
SOFR    -    Secured Overnight Financing Rate
TBA    -    To Be Announced Security
US0001M    -    1 Month US Dollar LIBOR
US0003M    -    3 Month US Dollar LIBOR
US0006M    -    6 Month US Dollar LIBOR

^  This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities on loan as of September 30, 2021 was $1,334,848.

†   Represents less than 0.05%.

(a)  Rule 144A, Section 4(2) or other security which is restricted to resale to institutional investors. The sub-adviser has deemed these securities to be liquid based on procedures approved by the Board of Trustees.

(b)  The rate for certain asset-backed and mortgage-backed securities may vary based on factors relating to the pool of assets underlying the security. The rate presented is the rate in effect at September 30, 2021.

(c)   The rate represents the effective yield at September 30, 2021.

(d)  Defaulted bond.

(e)  Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.

 

 

See accompanying notes to the schedules of portfolio investments.


AZL MetWest Total Return Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Futures Contracts

At September 30, 2021, the Fund’s open futures contracts were as follows:

Short Futures

 

Description    Expiration
Date
     Number of
Contracts
     Notional  
Amount  
     Value and    
Unrealized    
Appreciation/    
(Depreciation)    
 

U.S. Treasury 2-Year Note December Futures (U.S. Dollar)

     12/31/21        13      $     (2,860,711)      $ 1,944      
           

 

 

 
            $ 1,944      
           

 

 

 

Long Futures

           
Description    Expiration
Date
     Number of
Contracts
     Notional  
Amount  
     Value and    
Unrealized    
Appreciation/    
(Depreciation)    
 

Ultra Long-Term U.S. Treasury Bond December Futures (U.S. Dollar)

     12/21/21        2      $ 382,125      $ (9,756)      
           

 

 

 
            $ (9,756)      
           

 

 

 

Total Net Futures Contracts

            $     (7,812)      
           

 

 

 

 

At September 30, 2021, the Fund’s exchange traded options purchased were as follows:

 

        
Description    Put/
Call
     Strike Price      Expiration
Date
     Contracts      Notional
Amount(a)
     Fair Value  

2Ez3 12/10/21 P99.125

     Put        98.13 USD        12/10/21        120      $ 11,775      $     90,000  
                 

 

 

 

Total (Cost $47,524)

 

            $     90,000  
                 

 

 

 

 

At September 30, 2021, the Fund’s exchange traded options written were as follows:

 

 

     
Description    Put/
Call
     Strike Price      Expiration
Date
     Contracts      Notional
Amount(a)
     Fair Value  

2Ez3 12/10/21 P98.75

     Put        98.75 USD        12/10/21        240      $ 23,700      $ (46,500
                 

 

 

 

Total (Premiums $39,190)

 

            $ (46,500
                 

 

 

 

 

(a)

Notional amount is expressed as the number of contracts multiplied by the strike price of the underlying asset.

Purchased Swaptions

Exchange traded swaptions purchased as of September 30, 2021 were as follows:

 

Description    Put/
Call
     Exercise
Rate
     Expiration
Date
     Contracts      Fair
Value
     Upfront
Payments/
Receipts
     Unrealized
Appreciation/
(Depreciation)
 

30-Year Interest Rate, Pay 3-Month USD LIBOR

     Put        2.75 USD        1/19/24        1,220,000      $ 42,032      $ 35,990      $ 6,042  
              

 

 

    

 

 

    

 

 

 

Total (Cost $35,990)

               $ 42,032      $ 35,990      $ 6,042  
              

 

 

    

 

 

    

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL MetWest Total Return Bond Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Swap Agreements

At September 30, 2021, the Fund’s swap agreements were as follows:

 

Paid by the Fund

     Received by the Fund                                         

Rate

   Frequency      Rate     Frequency      Expiration
Date
     Notional Amount    Upfront
Premiums
Paid/
(Received)
     Value     Unrealized
Appreciation/
(Depreciation)
 

3-Month U.S. Dollar LIBOR

     Quarterly        1.03%      
Semi-
annually

 
     7/24/25        5,065,000      USD    $      $ (31,259   $ (31,259

3-Month U.S. Dollar LIBOR

     Quarterly        1.03%      
Semi-
annually

 
     7/24/25        6,840,000      USD             (43,290     (43,290

3-Month U.S. Dollar LIBOR

     Quarterly        1.07%      
Semi-
annually

 
     7/24/25        3,420,000      USD             (18,481     (18,481

3-Month U.S. Dollar LIBOR

     Quarterly        1.39%      
Semi-
annually

 
     9/28/25        7,585,000      USD             (5,554     (5,554

1.79%

    
Semi-
annually

 
    

3-Month U.S.

Dollar LIBOR

 

 

    Quarterly        7/24/53        425,000      USD             16,378       16,378  

1.77%

    
Semi-
annually

 
    
3-Month U.S.
Dollar LIBOR
 
 
    Quarterly        7/24/53        570,000      USD             23,633       23,633  

1.81%

    
Semi-
annually

 
    
3-Month U.S.
Dollar LIBOR
 
 
    Quarterly        7/24/53        285,000      USD             9,482       9,482  

1.87%

    
Semi-
annually

 
    
3-Month U.S.
Dollar LIBOR
 
 
    Quarterly        9/28/53        645,000      USD             13,061       13,061  
                      

 

 

   

 

 

 
                       $ (36,030   $ (36,030
                      

 

 

   

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Mid Cap Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares            Value        
Common Stocks (99.6%):   
Aerospace & Defense (1.1%):   
33,386   Axon Enterprise, Inc.*    $ 5,843,218  
20,853   Curtiss-Wright Corp.      2,631,231  
42,749   Hexcel Corp.*      2,538,863  
28,292   Mercury Systems, Inc.*      1,341,607  
  

 

 

 

     12,354,919  
  

 

 

 

Air Freight & Logistics (0.7%):   
50,412   GXO Logistics, Inc.*      3,954,317  
50,412   XPO Logistics, Inc.*      4,011,787  
  

 

 

 

     7,966,104  
  

 

 

 

Airlines (0.2%):   
161,255   JetBlue Airways Corp.*      2,465,589  
  

 

 

 

Auto Components (1.6%):   
48,378   Adient plc*      2,005,268  
74,604   Dana, Inc.      1,659,193  
21,289   Fox Factory Holding Corp.*      3,077,112  
120,179   Gentex Corp.      3,963,503  
142,051   Goodyear Tire & Rubber Co. (The)*      2,514,303  
30,320   Lear Corp.      4,744,474  
14,113   Visteon Corp.*      1,332,126  
  

 

 

 

     19,295,979  
  

 

 

 

Automobiles (0.5%):   
77,801   Harley-Davidson, Inc.      2,848,295  
28,112   Thor Industries, Inc.      3,451,029  
  

 

 

 

     6,299,324  
  

 

 

 

Banks (7.1%):   
78,948   Associated Banc-Corp.      1,691,066  
45,387   BancorpSouth Bank      1,351,625  
20,858   Bank of Hawaii Corp.      1,713,902  
62,510   Bank OZK      2,686,680  
39,970   Cathay General Bancorp      1,654,358  
50,517   CIT Group, Inc.      2,624,358  
54,356   Commerce Bancshares, Inc.      3,787,526  
28,920   Cullen/Frost Bankers, Inc.      3,430,490  
72,201   East West Bancorp, Inc.      5,598,466  
163,398   F.N.B. Corp.      1,898,685  
65,521   First Financial Bankshares, Inc.      3,010,690  
280,922   First Horizon Corp.      4,576,219  
83,669   Fulton Financial Corp.      1,278,462  
54,960   Glacier Bancorp, Inc.      3,042,036  
43,919   Hancock Whitney Corp.      2,069,463  
77,199   Home Bancshares, Inc.      1,816,492  
27,222   International Bancshares Corp.      1,133,524  
59,596   PacWest Bancorp      2,700,891  
38,715   Pinnacle Financial Partners, Inc.      3,642,307  
47,454   Prosperity Bancshares, Inc.      3,375,403  
30,788   Signature Bank      8,382,957  
99,428   Sterling Bancorp      2,481,723  
74,891   Synovus Financial Corp.      3,286,966  
25,492   Texas Capital Bancshares, Inc.*      1,530,030  
22,005   UMB Financial Corp.      2,128,104  
112,573   Umpqua Holdings Corp.      2,279,603  
66,073   United Bankshares, Inc.      2,403,736  
207,173   Valley National Bancorp      2,757,473  
46,702   Webster Financial Corp.      2,543,391  
29,104   Wintrust Financial Corp.      2,339,088  
  

 

 

 

     83,215,714  
  

 

 

 

Beverages (0.2%):   
4,763   Boston Beer Co., Inc. (The), Class A*      2,427,939  
  

 

 

 

Biotechnology (2.3%):   
52,986   Arrowhead Pharmaceuticals, Inc.*      3,307,916  
24,441   Emergent BioSolutions, Inc.*      1,223,761  
160,282   Exelixis, Inc.*      3,388,362  
71,897   Halozyme Therapeutics, Inc.*      2,924,770  
48,033   Neurocrine Biosciences, Inc.*      4,606,845  
Shares            Value        
Common Stocks, continued   
Biotechnology, continued   
25,868   Repligen Corp.*    $ 7,475,593  
22,707   United Therapeutics Corp.*      4,191,258  
  

 

 

 

     27,118,505  
  

 

 

 

Building Products (2.0%):   
105,005   Builders FirstSource, Inc.*      5,432,959  
17,301   Lennox International, Inc.      5,089,435  
52,739   Owens Corning      4,509,185  
22,121   Simpson Manufacturing Co., Inc.      2,366,283  
58,312   Trex Co., Inc.*      5,943,742  
  

 

 

 

     23,341,604  
  

 

 

 

Capital Markets (2.4%):   
21,072   Affiliated Managers Group, Inc.      3,183,768  
20,281   Evercore, Inc., Class A      2,710,961  
19,191   FactSet Research Systems, Inc.      7,576,223  
49,889   Federated Hermes, Inc., Class B      1,621,393  
44,668   Interactive Brokers Group, Inc., Class A      2,784,603  
87,943   Janus Henderson Group plc      3,634,684  
54,830   SEI Investments Co.      3,251,419  
53,260   Stifel Financial Corp.      3,619,550  
  

 

 

 

     28,382,601  
  

 

 

 

Chemicals (2.5%):   
28,497   Ashland Global Holdings, Inc.      2,539,653  
46,411   Avient Corp.      2,151,150  
29,206   Cabot Corp.      1,463,805  
84,463   Chemours Co. (The)      2,454,495  
20,113   Ingevity Corp.*      1,435,465  
16,874   Minerals Technologies, Inc.      1,178,480  
3,674   NewMarket Corp.      1,244,641  
73,077   Olin Corp.      3,525,965  
66,143   RPM International, Inc.      5,136,004  
20,655   Scotts Miracle-Gro Co. (The)      3,023,066  
21,075   Sensient Technologies Corp.      1,919,511  
92,653   Valvoline, Inc.      2,888,920  
  

 

 

 

     28,961,155  
  

 

 

 

Commercial Services & Supplies (1.7%):   
25,177   Brink’s Co. (The)      1,593,704  
25,606   Clean Harbors, Inc.*      2,659,695  
38,704   Herman Miller, Inc.      1,457,593  
68,362   IAA, Inc.*      3,730,514  
60,949   KAR Auction Services, Inc.*      998,954  
18,638   MSA Safety, Inc.      2,715,556  
46,274   Stericycle, Inc.*      3,145,244  
27,299   Tetra Tech, Inc.      4,076,833  
  

 

 

 

     20,378,093  
  

 

 

 

Communications Equipment (0.9%):   
78,510   Ciena Corp.*      4,031,488  
38,814   Lumentum Holdings, Inc.*      3,242,522  
37,546   NetScout Systems, Inc.*      1,011,865  
37,498   ViaSat, Inc.*      2,065,015  
  

 

 

 

     10,350,890  
  

 

 

 

Construction & Engineering (1.3%):   
73,091   AECOM*      4,615,697  
15,814   Dycom Industries, Inc.*      1,126,589  
27,186   EMCOR Group, Inc.      3,136,721  
72,318   Fluor Corp.*      1,154,918  
29,263   MasTec, Inc.*      2,524,812  
10,693   Valmont Industries, Inc.      2,514,138  
  

 

 

 

     15,072,875  
  

 

 

 

Construction Materials (0.2%):   
21,153   Eagle Materials, Inc., Class A      2,774,428  
  

 

 

 

Consumer Finance (0.7%):   
20,687   Firstcash, Inc.      1,810,112  
85,831   Navient Corp.      1,693,446  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Mid Cap Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares            Value        
Common Stocks, continued   
Consumer Finance, continued   
33,847   PROG Holdings, Inc.*    $ 1,421,912  
156,386   SLM Corp.      2,752,394  
  

 

 

 

     7,677,864  
  

 

 

 

Containers & Packaging (0.8%):   
33,632   AptarGroup, Inc.      4,013,979  
13,129   Greif, Inc., Class A      848,133  
41,988   Silgan Holdings, Inc.      1,610,660  
50,282   Sonoco Products Co.      2,995,802  
  

 

 

 

     9,468,574  
  

 

 

 

Diversified Consumer Services (0.9%):   
2,081   Graham Holdings Co., Class B      1,226,042  
23,108   Grand Canyon Education, Inc.*      2,032,580  
90,939   H&R Block, Inc.      2,273,475  
84,759   Service Corp. International      5,107,577  
  

 

 

 

     10,639,674  
  

 

 

 

Diversified Financial Services (0.3%):   
101,065   Jefferies Financial Group, Inc.      3,752,543  
  

 

 

 

Diversified Telecommunication Services (0.2%):   
66,637   Iridium Communications, Inc.*      2,655,484  
  

 

 

 

Electric Utilities (1.0%):   
26,879   ALLETE, Inc.      1,599,838  
55,607   Hawaiian Electric Industries, Inc.      2,270,434  
25,488   IDACORP, Inc.      2,634,949  
101,909   OGE Energy Corp.      3,358,921  
43,170   PNM Resources, Inc.      2,136,052  
  

 

 

 

     12,000,194  
  

 

 

 

Electrical Equipment (1.7%):   
18,089   Acuity Brands, Inc.      3,136,090  
21,863   EnerSys      1,627,482  
27,614   Hubbell, Inc.      4,989,021  
85,622   nVent Electric plc      2,768,159  
20,575   Regal-Beloit Corp.      3,093,246  
104,477   Sunrun, Inc.*      4,596,988  
  

 

 

 

     20,210,986  
  

 

 

 

Electronic Equipment, Instruments & Components (3.2%):

 

36,411   Arrow Electronics, Inc.*      4,088,591  
50,413   Avnet, Inc.      1,863,769  
22,472   Belden, Inc.      1,309,219  
89,129   Cognex Corp.      7,149,928  
12,407   Coherent, Inc.*      3,102,867  
53,342   II-VI, Inc.*      3,166,381  
73,999   Jabil, Inc.      4,319,322  
12,460   Littlelfuse, Inc.      3,404,944  
68,331   National Instruments Corp.      2,680,625  
21,158   SYNNEX Corp.      2,202,548  
67,867   Vishay Intertechnology, Inc.      1,363,448  
85,734   Vontier Corp.      2,880,662  
  

 

 

 

     37,532,304  
  

 

 

 

Energy Equipment & Services (0.4%):   
103,199   ChampionX Corp.*      2,307,530  
199,801   NOV, Inc.*      2,619,391  
  

 

 

 

     4,926,921  
  

 

 

 

Entertainment (0.1%):   
22,840   World Wrestling Entertainment, Inc., Class A      1,284,978  
  

 

 

 

Equity Real Estate Investment Trusts (9.2%):   
71,548   American Campus Communities, Inc.      3,466,501  
79,915   Apartment Income REIT Corp.      3,900,651  
151,165   Brixmor Property Group, Inc.      3,342,258  
50,551   Camden Property Trust      7,454,756  
22,266   Coresite Realty Corp.      3,084,732  
57,891   Corporate Office Properties Trust      1,561,899  
Shares            Value        
Common Stocks, continued   
Equity Real Estate Investment Trusts, continued   
76,107   Cousins Properties, Inc.    $ 2,838,030  
63,062   Cyrusone, Inc.      4,881,629  
89,734   Douglas Emmett, Inc.      2,836,492  
20,117   EastGroup Properties, Inc.      3,352,096  
37,782   EPR Properties      1,865,675  
64,383   First Industrial Realty Trust, Inc.      3,353,067  
73,245   Healthcare Realty Trust, Inc.      2,181,236  
53,913   Highwoods Properties, Inc.      2,364,624  
78,110   Hudson Pacific Properties, Inc.      2,051,950  
59,376   JBG SMITH Properties      1,758,123  
53,598   Kilroy Realty Corp.      3,548,724  
43,964   Lamar Advertising Co., Class A      4,987,716  
39,288   Life Storage, Inc.      4,507,905  
304,633   Medical Properties Trust, Inc.      6,113,984  
89,682   National Retail Properties, Inc.      3,873,366  
40,891   National Storage Affiliates Trust      2,158,636  
122,158   Omega Healthcare Investors, Inc.      3,659,854  
120,216   Parks Hotels & Resorts, Inc.*      2,300,934  
66,187   Pebblebrook Hotel Trust      1,483,251  
111,635   Physicians Realty Trust      1,967,009  
33,794   PotlatchDeltic Corp.      1,743,094  
9,806   PS Business Parks, Inc.      1,536,992  
71,518   Rayonier, Inc.      2,551,762  
68,867   Rexford Industrial Realty, Inc.      3,908,202  
113,509   Sabra Health Care REIT, Inc.      1,670,852  
34,344   SL Green Realty Corp.      2,432,929  
60,908   Spirit Realty Capital, Inc.      2,804,204  
124,664   STORE Capital Corp.      3,992,988  
108,929   The Macerich Co.      1,820,204  
54,645   Urban Edge Properties      1,000,550  
  

 

 

 

     108,356,875  
  

 

 

 

Food & Staples Retailing (1.1%):   
69,001   BJ’s Wholesale Club Holdings, Inc.*      3,789,535  
18,841   Casey’s General Stores, Inc.      3,550,586  
44,468   Grocery Outlet Holding Corp.*      959,175  
78,580   Performance Food Group Co.*      3,650,827  
56,796   Sprouts Farmers Market, Inc.*      1,315,963  
  

 

 

 

     13,266,086  
  

 

 

 

Food Products (1.8%):   
82,062   Darling Ingredients, Inc.*      5,900,258  
100,713   Flowers Foods, Inc.      2,379,848  
41,516   Hain Celestial Group, Inc. (The)*      1,776,054  
34,260   Ingredion, Inc.      3,049,483  
9,904   Lancaster Colony Corp.      1,671,894  
24,293   Pilgrim’s Pride Corp.*      706,440  
29,530   Post Holdings, Inc.*      3,253,025  
10,626   Sanderson Farms, Inc.      1,999,813  
8,148   Tootsie Roll Industries, Inc.      247,944  
  

 

 

 

     20,984,759  
  

 

 

 

Gas Utilities (1.2%):   
45,766   National Fuel Gas Co.      2,403,630  
49,315   New Jersey Resources Corp.      1,716,655  
27,105   ONE Gas, Inc.      1,717,644  
29,942   Southwest Gas Holdings, Inc.      2,002,521  
26,116   Spire, Inc.      1,597,777  
106,860   UGI Corp.      4,554,373  
  

 

 

 

     13,992,600  
  

 

 

 

Health Care Equipment & Supplies (3.9%):   
81,827   Envista Holdings Corp.*      3,421,187  
39,630   Globus Medical, Inc.*      3,036,451  
25,780   Haemonetics Corp.*      1,819,810  
33,275   Hill-Rom Holdings, Inc.      4,991,250  
10,059   ICU Medical, Inc.*      2,347,569  
37,289   Integra LifeSciences Holdings Corp.*      2,553,551  
26,883   LivaNova plc*      2,128,865  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Mid Cap Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares            Value        
Common Stocks, continued   
Health Care Equipment & Supplies, continued   
25,613   Masimo Corp.*    $ 6,933,695  
54,672   Neogen Corp.*      2,374,405  
26,579   NuVasive, Inc.*      1,590,753  
17,447   Penumbra, Inc.*      4,649,625  
19,130   Quidel Corp.*      2,700,200  
23,995   STAAR Surgical Co.*      3,084,077  
31,942   Tandem Diabetes Care, Inc.*      3,813,236  
  

 

 

 

     45,444,674  
  

 

 

 

Health Care Providers & Services (3.1%):   
45,245   Acadia Healthcare Co., Inc.*      2,885,726  
16,524   Amedisys, Inc.*      2,463,728  
7,841   Chemed Corp.      3,647,006  
50,584   Encompass Health Corp.      3,795,823  
42,644   HealthEquity, Inc.*      2,761,625  
15,972   LHC Group, Inc.*      2,506,167  
29,518   Molina Healthcare, Inc.*      8,008,529  
70,815   Option Care Health, Inc.*      1,717,972  
43,604   Patterson Cos., Inc.      1,314,225  
34,634   Progyny, Inc.*      1,939,504  
66,771   R1 RCM, Inc.*      1,469,630  
54,310   Tenet Healthcare Corp.*      3,608,356  
  

 

 

 

     36,118,291  
  

 

 

 

Hotels, Restaurants & Leisure (3.1%):   
41,895   Boyd Gaming Corp.*      2,650,278  
16,503   Choice Hotels International, Inc.      2,085,484  
17,577   Churchill Downs, Inc.      4,219,886  
11,959   Cracker Barrel Old Country Store, Inc.      1,672,347  
11,083   Jack in the Box, Inc.      1,078,708  
21,840   Marriott Vacations Worldwide Corp.      3,436,087  
16,365   Papa John’s International, Inc.      2,078,191  
45,613   Scientific Games Corp., Class A*      3,789,072  
39,523   Six Flags Entertainment Corp.*      1,679,728  
35,710   Texas Roadhouse, Inc., Class A      3,261,394  
44,475   Travel + Leisure Co.      2,425,222  
91,573   Wendy’s Co. (The)      1,985,303  
15,010   Wingstop, Inc.      2,460,589  
47,926   Wyndham Hotels & Resorts, Inc.      3,699,408  
  

 

 

 

     36,521,697  
  

 

 

 

Household Durables (1.6%):   
12,166   Helen of Troy, Ltd.*      2,733,457  
46,671   KB Home      1,816,435  
64,071   Taylor Morrison Home Corp., Class A*      1,651,750  
99,738   Tempur Sealy International, Inc.      4,628,841  
58,599   Toll Brothers, Inc.      3,239,939  
16,676   TopBuild Corp.*      3,415,411  
56,540   Tri Pointe Homes, Inc.*      1,188,471  
  

 

 

 

     18,674,304  
  

 

 

 

Household Products (0.1%):   
32,167   Energizer Holdings, Inc.      1,256,121  
  

 

 

 

Industrial Conglomerates (0.4%):   
26,434   Carlisle Cos., Inc.      5,254,815  
  

 

 

 

Insurance (3.6%):   
7,084   Alleghany Corp.*      4,423,320  
33,805   American Financial Group, Inc.      4,253,683  
42,501   Brighthouse Financial, Inc.*      1,922,320  
65,350   CNO Financial Group, Inc.      1,538,339  
56,003   First American Financial Corp.      3,755,001  
18,259   Hanover Insurance Group, Inc. (The)      2,366,732  
30,586   Kemper Corp.      2,042,839  
10,880   Kinsale Capital Group, Inc.      1,759,296  
13,320   Mercury General Corp.      741,524  
146,595   Old Republic International Corp.      3,390,742  
20,184   Primerica, Inc.      3,100,868  
Shares            Value        
Common Stocks, continued   
Insurance, continued   
34,872   Reinsurance Group of America, Inc.    $ 3,879,859  
24,089   RenaissanceRe Holdings, Ltd.      3,358,007  
20,199   RLI Corp.      2,025,354  
30,592   Selective Insurance Group, Inc.      2,310,614  
42,610   Unum Group      1,067,807  
  

 

 

 

     41,936,305  
  

 

 

 

Interactive Media & Services (0.3%):   
49,682   TripAdvisor, Inc.*      1,681,736  
35,363   Yelp, Inc.*      1,316,918  
  

 

 

 

     2,998,654  
  

 

 

 

IT Services (2.8%):   
25,330   Alliance Data Systems Corp.      2,555,544  
11,977   CACI International, Inc., Class A*      3,139,172  
21,684   Concentrix Corp.*      3,838,068  
88,075   Genpact, Ltd.      4,184,443  
71,409   KBR, Inc.      2,813,515  
34,654   LiveRamp Holdings, Inc.*      1,636,708  
31,436   MAXIMUS, Inc.      2,615,475  
165,997   Sabre Corp.*^      1,965,405  
29,740   Science Applications International Corp.      2,544,554  
55,144   Teradata Corp.*      3,162,508  
22,869   WEX, Inc.*      4,028,146  
  

 

 

 

     32,483,538  
  

 

 

 

Leisure Products (1.4%):   
39,632   Brunswick Corp.      3,775,741  
59,962   Callaway Golf Co.*      1,656,750  
177,951   Mattel, Inc.*      3,302,771  
29,126   Polaris, Inc.      3,485,217  
44,254   YETI Holdings, Inc.*      3,792,125  
  

 

 

 

     16,012,604  
  

 

 

 

Life Sciences Tools & Services (0.6%):   
14,432   Medpace Holdings, Inc.*      2,731,689  
52,547   Syneos Health, Inc.*      4,596,812  
  

 

 

 

     7,328,501  
  

 

 

 

Machinery (5.1%):   
31,424   AGCO Corp.      3,850,383  
66,240   Colfax Corp.*      3,040,416  
25,644   Crane Co.      2,431,308  
63,939   Donaldson Co., Inc.      3,670,738  
67,582   Flowserve Corp.      2,343,068  
85,654   Graco, Inc.      5,993,210  
44,188   ITT, Inc.      3,793,098  
42,906   Kennametal, Inc.      1,468,672  
30,101   Lincoln Electric Holdings, Inc.      3,876,708  
28,327   Middleby Corp. (The)*      4,830,037  
27,371   Nordson Corp.      6,518,404  
34,999   Oshkosh Corp.      3,582,847  
35,079   Terex Corp.      1,476,826  
35,488   Timken Co.      2,321,625  
54,534   Toro Co. (The)      5,312,157  
41,935   Trinity Industries, Inc.^      1,139,374  
32,527   Woodward, Inc.      3,682,056  
  

 

 

 

     59,330,927  
  

 

 

 

Marine (0.1%):   
30,289   Kirby Corp.*      1,452,660  
  

 

 

 

Media (1.0%):   
2,532   Cable One, Inc.      4,590,845  
22,386   John Wiley & Sons, Inc., Class A      1,168,773  
84,655   New York Times Co. (The), Class A      4,170,952  
111,852   Tegna, Inc.      2,205,722  
  

 

 

 

     12,136,292  
  

 

 

 

Metals & Mining (2.1%):   
230,808   Cleveland-Cliffs, Inc.*      4,572,306  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Mid Cap Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares            Value        
Common Stocks, continued   
Metals & Mining, continued   
60,991   Commercial Metals Co.    $ 1,857,786  
17,180   Compass Minerals International, Inc.      1,106,392  
32,100   Reliance Steel & Aluminum Co.      4,571,682  
33,026   Royal Gold, Inc.      3,153,653  
98,562   Steel Dynamics, Inc.      5,763,906  
136,834   United States Steel Corp.      3,006,243  
16,935   Worthington Industries, Inc.      892,474  
  

 

 

 

     24,924,442  
  

 

 

 

Multiline Retail (0.6%):   
79,287   Kohl’s Corp.      3,733,625  
56,215   Nordstrom, Inc.*      1,486,887  
31,049   Ollie’s Bargain Outlet Holdings, Inc.*      1,871,633  
  

 

 

 

     7,092,145  
  

 

 

 

Multi-Utilities (0.6%):   
32,679   Black Hills Corp.      2,050,934  
104,490   MDU Resources Group, Inc.      3,100,218  
26,727   NorthWestern Corp.      1,531,457  
  

 

 

 

     6,682,609  
  

 

 

 

Oil, Gas & Consumable Fuels (2.1%):   
166,033   Antero Midstream Corp.      1,730,064  
51,895   Cimarex Energy Co.      4,525,244  
110,167   CNX Resources Corp.*      1,390,307  
49,954   DT Midstream, Inc.      2,309,873  
152,408   EQT Corp.*      3,118,268  
206,256   Equitrans Midstream Corp.      2,091,436  
77,169   HollyFrontier Corp.      2,556,609  
73,256   Murphy Oil Corp.      1,829,202  
115,676   Targa Resources Corp.      5,692,416  
  

 

 

 

     25,243,419  
  

 

 

 

Paper & Forest Products (0.3%):   
48,022   Louisiana-Pacific Corp.      2,947,110  
  

 

 

 

Personal Products (0.2%):   
171,736   Coty, Inc., Class A*      1,349,845  
25,939   Nu Skin Enterprises, Inc., Class A      1,049,751  
  

 

 

 

     2,399,596  
  

 

 

 

Pharmaceuticals (0.8%):   
31,006   Jazz Pharmaceuticals plc*      4,037,291  
93,881   Nektar Therapeutics*      1,686,103  
67,546   Perrigo Co. plc      3,196,952  
  

 

 

 

     8,920,346  
  

 

 

 

Professional Services (0.9%):   
27,052   ASGN, Inc.*      3,060,663  
17,160   FTI Consulting, Inc.*      2,311,452  
18,275   Insperity, Inc.      2,023,774  
27,649   ManpowerGroup, Inc.      2,993,834  
  

 

 

 

     10,389,723  
  

 

 

 

Real Estate Management & Development (0.5%):   
25,649   Jones Lang LaSalle, Inc.*      6,363,260  
  

 

 

 

Road & Rail (1.4%):   
23,840   Avis Budget Group, Inc.*      2,777,598  
84,073   Knight-Swift Transportation Holdings, Inc.      4,300,334  
19,202   Landstar System, Inc.      3,030,460  
27,339   Ryder System, Inc.      2,261,209  
13,320   Saia, Inc.*      3,170,559  
30,488   Werner Enterprises, Inc.      1,349,704  
  

 

 

 

     16,889,864  
  

 

 

 

Semiconductors & Semiconductor Equipment (4.0%):

 

51,231   Amkor Technology, Inc.      1,278,213  
37,758   Brooks Automation, Inc.      3,864,531  
28,914   Cirrus Logic, Inc.*      2,381,068  
14,944   CMC Materials, Inc.      1,841,549  
Shares            Value        
Common Stocks, continued   
Semiconductors & Semiconductor Equipment, continued

 

58,651   Cree, Inc.*^    $ 4,734,895  
50,120   First Solar, Inc.*      4,784,455  
68,677   Lattice Semiconductor Corp.*      4,439,968  
28,165   MKS Instruments, Inc.      4,250,380  
32,668   Semtech Corp.*      2,547,124  
20,642   Silicon Laboratories, Inc.*      2,893,183  
26,500   SolarEdge Technologies, Inc.*      7,028,330  
17,809   Synaptics, Inc.*      3,200,812  
22,036   Universal Display Corp.      3,767,275  
  

 

 

 

     47,011,783  
  

 

 

 

Software (3.7%):   
59,970   ACI Worldwide, Inc.*      1,842,878  
34,729   Aspen Technology, Inc.*      4,264,721  
21,498   Blackbaud, Inc.*      1,512,384  
62,116   CDK Global, Inc.      2,643,036  
19,524   Cerence, Inc.*      1,876,452  
23,458   CommVault Systems, Inc.*      1,766,622  
44,233   Digital Turbine, Inc.*      3,041,019  
17,373   Envestnet, Inc.*      1,394,010  
14,517   Fair Isaac Corp.*      5,776,750  
24,398   J2 Global, Inc.*      3,333,255  
32,138   Manhattan Associates, Inc.*      4,918,078  
31,265   Mimecast, Ltd.*      1,988,454  
19,983   Paylocity Holding Corp.*      5,603,233  
17,128   Qualys, Inc.*      1,906,175  
47,097   Sailpoint Technologies Holdings, Inc.*      2,019,519  
  

 

 

 

     43,886,586  
  

 

 

 

Specialty Retail (3.7%):   
78,184   American Eagle Outfitters, Inc.      2,017,147  
22,020   AutoNation, Inc.*      2,681,155  
33,088   Dick’s Sporting Goods, Inc.      3,962,950  
28,372   Five Below, Inc.*      5,016,453  
46,067   Foot Locker, Inc.      2,103,419  
31,519   GameStop Corp., Class A*^      5,530,639  
15,344   Lithia Motors, Inc.      4,864,662  
11,903   Murphy U.S.A., Inc.      1,990,896  
8,629   RH*      5,754,766  
33,695   Urban Outfitters, Inc.*      1,000,405  
38,404   Victoria’s Secret & Co.*      2,122,205  
37,990   Williams-Sonoma, Inc.      6,736,767  
  

 

 

 

     43,781,464  
  

 

 

 

Technology Hardware, Storage & Peripherals (0.3%):   
66,838   NCR Corp.*      2,590,641  
70,282   Xerox Holdings Corp.      1,417,588  
  

 

 

 

     4,008,229  
  

 

 

 

Textiles, Apparel & Luxury Goods (1.7%):   
77,464   Capri Holdings, Ltd.*      3,750,032  
22,363   Carter’s, Inc.      2,174,578  
17,879   Columbia Sportswear Co.      1,713,523  
31,520   Crocs, Inc.*      4,522,490  
14,024   Deckers Outdoor Corp.*      5,051,445  
69,035   Skechers U.S.A., Inc., Class A*      2,907,754  
  

 

 

 

     20,119,822  
  

 

 

 

Thrifts & Mortgage Finance (0.9%):   
56,820   Essent Group, Ltd.      2,500,648  
5,966   LendingTree, Inc.*      834,226  
173,052   MGIC Investment Corp.      2,588,858  
237,812   New York Community Bancorp, Inc.      3,060,640  
34,747   Washington Federal, Inc.      1,192,170  
  

 

 

 

     10,176,542  
  

 

 

 

Trading Companies & Distributors (0.9%):   
17,864   GATX Corp.      1,599,900  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Mid Cap Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares            Value        
Common Stocks, continued   
Trading Companies & Distributors, continued   
24,247   MSC Industrial Direct Co., Inc., Class A    $ 1,944,367  
87,429   Univar Solutions, Inc.*      2,082,559  
16,606   Watsco, Inc.      4,394,279  
  

 

 

 

     10,021,105  
  

 

 

 

Water Utilities (0.4%):   
113,310   Essential Utilities, Inc.      5,221,325  
  

 

 

 

Wireless Telecommunication Services (0.1%):   
49,367   Telephone & Data Systems, Inc.      962,657  
  

 

 

 

Total Common Stocks (Cost $821,778,555)

     1,171,146,971  
  

 

 

 

Principal

Amount

   Value
Short-Term Security Held as Collateral for Securities on Loan (0.9%):

 

10,039,717   BlackRock Liquidity FedFund, Institutional Class , 0.03%(a)(b)      10,039,717  
  

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan (Cost $10,039,717)

     10,039,717  
    

 

Shares         Value
Unaffiliated Investment Company (0.4%):   
Money Markets (0.4%):   
4,778,289   Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(b)      4,778,289  
  

 

 

 

Total Unaffiliated Investment Company (Cost $4,778,289)

     4,778,289  
  

 

 

 

Total Investment Securities

 

(Cost $836,596,561) - 100.9%

     1,185,964,977  

Net other assets (liabilities) - (0.9)%

     (10,723,673
  

 

 

 

Net Assets - 100.0%

     $ 1,175,241,304  
  

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

REIT       -      Real Estate Investment Trust

 

*

Non-income producing security.

^

This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities on loan as of September 30, 2021 was $9,782,220.

(a)

Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.

(b)

The rate represents the effective yield at September 30, 2021.

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Mid Cap Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Futures Contracts

At September 30, 2021, the Fund’s open futures contracts were as follows:

Long Futures

 

Description        Expiration    
Date
     Number of
Contracts
     Notional
Amount
     Value and      
Unrealized      
Appreciation/      
(Depreciation)      

S&P MidCap 400 E-Mini December Futures (U.S Dollar)

     12/17/21        11      $       2,896,520      $            (67,404)      
           

 

            $            (67,404)      
           

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Moderate Index Strategy Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares          Value  

Affiliated Investment Companies (100.0%):

 

Domestic Equity Funds (44.7%):

  

6,226,467

  

AZL Mid Cap Index Fund, Class 2

     $ 171,788,220  

25,347,045

  

AZL S&P 500 Index Fund, Class 2

     595,909,037  

5,298,057

   AZL Small Cap Stock Index Fund, Class 2      86,994,096  
     

 

 

 
        854,691,353  
     

 

 

 

Fixed Income Fund (40.5%):

  

66,861,712

   AZL Enhanced Bond Index Fund      772,921,387  
     

 

 

 

International Equity Fund (14.8%):

  

15,097,933

   AZL International Index Fund, Class 2      282,633,300  
     

 

 

 

Total Affiliated Investment Companies (Cost $1,778,276,206)

     1,910,246,040  
     

 

 

 

Total Investment Securities

  

(Cost $1,778,276,206) - 100.0%

     1,910,246,040  

Net other assets (liabilities) - 0.0%

     (588,909)  
     

 

 

 

Net Assets - 100.0%

     $ 1,909,657,131  
     

 

 

 
Percentages indicated are based on net assets as of September 30, 2021.

 

 

 

†       Represents less than 0.05%.

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Emerging Markets Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                             Value        
Common Stocks (98.5%):   
Aerospace & Defense (0.1%):   
5,099   Aecc Aviation Power Co., Ltd.    $ 42,022  
18,981   Aselsan Elektronik Sanayi Ve Ticaret AS      32,337  
83,000   AviChina Industry & Technology Co., Ltd., Class H      52,322  
35,570   Bharat Electronics, Ltd.      96,188  
2,537   Korea Aerospace Industries, Ltd.      70,376  
    

 

 

 

       293,245  
    

 

 

 

Air Freight & Logistics (0.3%):   
36,697   Agility Public Warehousing Co. KSC      119,528  
572   Hyundai Glovis Co., Ltd.      79,042  
9,300   SF Holding Co., Ltd., Class A      94,069  
3,900   Yunda Holding Co., Ltd., Class A      11,497  
13,810   ZTO Express Cayman, Inc., ADR      423,415  
    

 

 

 

       727,551  
    

 

 

 

Airlines (0.1%):   
66,000   Air China, Ltd.*      43,614  
39,299   China Eastern Airlines Corp., Ltd.      28,628  
38,000   China Southern Airlines Co., Ltd.*      33,913  
28,000   China Southern Airlines Co., Ltd., Class H*^      15,767  
2,989   InterGlobe Aviation, Ltd.*      80,963  
4,761   Korean Air Lines Co., Ltd.*      134,464  
    

 

 

 

       337,349  
    

 

 

 

Auto Components (0.5%):   
3,039   Balkrishna Industries, Ltd.      103,129  
6,982   Bharat Forge, Ltd.      68,363  
900   Changzhou Xingyu Automotive Lighting Systems Co., Ltd., Class A      25,053  
47,000   Cheng Shin Rubber Industry Co., Ltd.      59,473  
6,500   Fuyao Glass Industry Group Co., Ltd.      42,385  
12,800   Fuyao Glass Industry Group Co., Ltd., Class H      68,143  
2,479   Hankook Tire & Technology Co., Ltd.      89,280  
5,302   Hanon Systems      69,348  
4,200   Huayu Automotive Systems Co., Ltd.      14,746  
2,110   Hyundai Mobis Co., Ltd.      445,080  
7,300   Kuang-Chi Technologies Co., Ltd., Class A*      25,315  
24,000   Minth Group, Ltd.      81,697  
35,987   Motherson Sumi Systems, Ltd.      108,370  
62   MRF, Ltd.      66,140  
1,500   Ningbo Joyson Electronic Corp.      4,040  
3,600   Shandong Linglong Tyre Co., Ltd., Class A      19,573  
    

 

 

 

       1,290,135  
    

 

 

 

Automobiles (3.1%):   
673,900   Astra International Tbk PT      257,501  
2,257   Bajaj Auto, Ltd.      115,818  
88,000   Brilliance China Automotive Holdings, Ltd.*      35,200  
3,133   BYD Co., Ltd.      121,014  
25,500   BYD Co., Ltd., Class H      787,555  
11,480   Chongqing Changan Automobile Co., Ltd., Class A      29,244  
84,000   Dongfeng Motor Group Co., Ltd., Class H      74,943  
4,135   Eicher Motors, Ltd.      154,235  
2,009   Ford Otomotiv Sanayi AS      37,762  
190,000   Geely Automobile Holdings, Ltd.      538,621  
4,500   Great Wall Motor Co., Ltd., Class A      36,638  
92,500   Great Wall Motor Co., Ltd., Class H      336,222  
99,200   Guangzhou Automobile Group Co., Ltd.      86,540  
Shares                             Value        
Common Stocks, continued   
Automobiles, continued   
4,024   Hero MotoCorp, Ltd.    $ 152,440  
4,275   Hyundai Motor Co., Ltd.      712,914  
732   Hyundai Motor Co., Ltd.      59,316  
8,066   Kia Corp.      545,445  
16,352   Li Auto, Inc., ADR*^      429,894  
27,081   Mahindra & Mahindra, Ltd.      291,137  
4,512   Maruti Suzuki India, Ltd.      445,521  
41,865   NIO, Inc., ADR*      1,491,650  
19,100   SAIC Motor Corp., Ltd.      56,408  
51,308   Tata Motors, Ltd.*      227,293  
11,629   Xpeng, Inc., ADR*      413,295  
36,000   Yadea Group Holdings, Ltd.      58,327  
    

 

 

 

       7,494,933  
    

 

 

 

Banks (13.1%):   
21,458   Absa Group, Ltd.      216,130  
98,726   Abu Dhabi Commercial Bank      200,583  
143,000   Agricultural Bank of China, Ltd.      65,067  
797,000   Agricultural Bank of China, Ltd., Class A      272,478  
107,574   Akbank T.A.S.      64,502  
38,201   Al Rajhi Bank      1,248,803  
33,870   Alinma Bank      216,360  
49,791   Alpha Services and Holdings SA*      62,392  
53,900   AMMB Holdings Berhad      40,900  
19,969   Arab National Bank      122,320  
70,436   Axis Bank, Ltd.*      725,693  
39,610   Banco Bradesco SA      129,926  
1,298,706   Banco de Chile      119,856  
1,889   Banco de Credito e Inversiones      68,988  
24,879   Banco do Brasil SA      132,051  
9,387   Banco Inter SA      80,425  
11,234   Banco Santander Brasil SA      72,976  
2,238,136   Banco Santander Chile      112,197  
9,306   Bancolombia SA      80,604  
12,949   Bancolombia SA      112,294  
20,207   Bandhan Bank, Ltd.      76,457  
13,481   Bank AlBilad*      146,572  
19,448   Bank Al-Jazira      95,275  
37,500   Bank of Beijing Co., Ltd., Class A      25,305  
2,459,000   Bank of China, Ltd.      865,737  
72,500   Bank of China, Ltd., Class A      34,222  
75,999   Bank of Communications Co., Ltd., Class A      52,754  
175,000   Bank of Communications Co., Ltd., Class H      103,230  
20,000   Bank of Hangzhou Co., Ltd.      45,814  
36,920   Bank of Jiangsu Co., Ltd.      33,264  
18,200   Bank of Nanjing Co., Ltd.      25,355  
12,700   Bank of Ningbo Co., Ltd.      69,117  
34,470   Bank of Shanghai Co., Ltd., Class A      39,000  
62,666   Bank of the Philippine Islands      100,076  
5,661   Bank Pekao SA      146,701  
19,368   Banque Saudi Fransi      215,758  
57,334   BDO Unibank, Inc.      123,922  
31,338   Boubyan Bank KSCP*      79,720  
2,487   Capitec Bank Holdings, Ltd.      300,699  
135,394   Chang Hwa Commercial Bank      79,867  
82,500   China Bohai Bank Co, Ltd., Class H      32,105  
257,000   China Citic Bank Co., Ltd.      115,966  
2,985,000   China Construction Bank      2,117,473  
32,600   China Construction Bank Corp.      30,124  
390,000   China Development Financial Holding Corp.      196,099  
122,500   China Everbright Bank Co., Ltd.      63,970  
45,000   China Everbright Bank Co., Ltd., Class H      15,868  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Emerging Markets Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                             Value        
Common Stocks, continued   
Banks, continued   
40,244   China Merchants Bank Co., Ltd.    $ 314,372  
120,500   China Merchants Bank Co., Ltd.      956,440  
69,700   China Minsheng Banking Corp., Ltd., Class A      42,181  
182,300   China Minsheng Banking Corp., Ltd., Class H      73,084  
125,000   Chongqing Rural Commercial Bank Co., Ltd.      45,493  
197,400   CIMB Group Holdings Berhad      224,988  
77,279   Commercial Bank of Qatar Qsc (The)      130,848  
54,566   Commercial International Bank Egypt SAE*      148,351  
2,030   Credicorp, Ltd.*      225,208  
543,000   CTBC Financial Holding Co., Ltd.      442,823  
66,215   Dubai Islamic Bank      89,066  
360,779   E.Sun Financial Holding Co., Ltd.      339,103  
79,492   Emirates NBD Bank PJSC      307,587  
70,569   Eurobank Ergasias Services and Holdings SA*      66,070  
128,674   First Abu Dhabi Bank PJSC      622,661  
312,745   First Financial Holdings Co., Ltd.      252,092  
80,351   Grupo Financiero Banorte SAB de C.V.      516,157  
58,223   Grupo Financiero Inbursa SAB de C.V., Class O*      54,563  
12,569   Habib Bank, Ltd.      8,084  
9,216   Hana Financial Holdings Group, Inc.      356,027  
19,300   Hong Leong Bank Berhad      86,941  
6,400   Hong Leong Financial Group Berhad      27,900  
305,123   Hua Nan Financial Holdings Co., Ltd.      221,885  
26,900   Huaxia Bank Co., Ltd., Class A      23,190  
159,316   ICICI Bank, Ltd.      1,497,635  
108,800   Industrial & Commercial Bank of China, Ltd., Class A      78,471  
1,758,000   Industrial & Commercial Bank of China, Ltd., Class H      970,532  
39,400   Industrial Bank Co., Ltd.      111,629  
8,902   Industrial Bank of Korea (IBK)      78,073  
147,609   Itausa - Investimentos Itau S.A.      302,001  
1,627   KakaoBank Corp.*      94,072  
12,202   KB Financial Group, Inc.      567,849  
2,004   Komercni Banka AS*      81,201  
17,050   Kotak Mahindra Bank, Ltd.      459,185  
43,000   Krung Thai Bank      13,908  
163,429   Kuwait Finance House KSCP      446,240  
102,501   Malayan Banking Bhd      196,990  
106,740   Masraf Al Rayan      131,551  
29,363   MCB Bank, Ltd.      26,026  
325,000   Mega Financial Holdings Co., Ltd.      373,543  
46,592   Metropolitan Bank & Trust      39,800  
16,450   Moneta Money Bank AS*      66,323  
216,606   National Bank of Kuwait SAKP      684,496  
67,869   National Commercial Bank      1,110,619  
12,070   Nedcor, Ltd.      139,395  
7,255   OTP Bank Nyrt*      426,072  
41,800   Ping An Bank Co., Ltd., Class A      116,044  
38,900   Postal Savings Bank of China Co., Ltd., Class A      30,361  
260,000   Postal Savings Bank of China Co., Ltd., Class H      179,269  
27,177   Powszechna Kasa Oszczednosci Bank Polski SA*      288,565  
310,900   PT Bank Central Asia Tbk      760,596  
590,100   PT Bank Mandiri Persero Tbk      250,812  
242,400   PT Bank Negara Indonesia Tbk      90,261  
2,163,991   PT Bank Rakyat Indonesia Tbk      575,231  
471,500   Public Bank Berhad      457,836  
Shares                             Value        
Common Stocks, continued   
Banks, continued   
27,221   Qatar International Islamic Bank QSC    $ 72,641  
38,659   Qatar Islamic Bank      194,566  
138,366   Qatar National Bank      727,819  
59,900   RHB Bank Bhd      78,064  
41,240   Riyad Bank      296,510  
1,058   Santander Bank Polska SA*      79,830  
330,351   Sberbank of Russia      1,541,763  
122,724   Shanghai Commercial & Savings Bank, Ltd. (The)      193,889  
70,100   Shanghai Pudong Development Bank Co., Ltd.      97,652  
13,395   Shinhan Financial Group Co., Ltd.      450,289  
28,200   Siam Commercial Bank Public Co., Ltd.      99,997  
354,800   SinoPac Financial Holdings Co., Ltd.      175,910  
40,924   Standard Bank Group, Ltd.      388,838  
57,542   State Bank of India      351,504  
352,381   Taishin Financial Holding Co., Ltd.      226,880  
280,247   Taiwan Cooperative Financial Holding Co., Ltd.      221,293  
3,719   TCS Group Holding plc, GDR      339,767  
25,381   The Saudi British Bank      223,649  
84,640   Turkiye Garanti Bankasi AS      87,981  
46,220   Turkiye Is Bankasi AS, Class C      26,916  
97,280,589   VTB Bank PJSC      69,266  
15,903   Woori Financial Group, Inc.      154,766  
316,254   Yes Bank, Ltd.*      53,581  
    

 

 

 

       31,748,066  
    

 

 

 

Beverages (1.4%):   
153,800   Ambev SA Com Npv      432,173  
1,100   Anhui Gujing Distillery Co., Ltd., Class A      40,617  
3,000   Anhui Gujing Distillery Co., Ltd., Class B      39,098  
1,300   Anhui Kouzi Distillery Co., Ltd.      10,161  
10,480   Arca Continental SAB de C.V.      63,924  
17,696   Becle SAB de CV      38,432  
3,700   Beijing Shunxin Agriculture Co., Ltd., Class A      20,140  
8,700   Carabao Group pcl      30,612  
46,000   China Resources Beer Holdings Co., Ltd.      339,262  
1,400   Chongqing Brewery Co., Ltd., Class A*      28,089  
15,966   Coca-Cola Femsa S.A.B de C.V.      89,990  
3,027   Compania Cervecerias Unidas SA      26,964  
60,690   Fomento Economico Mexicano S.A.B. de C.V.      527,076  
6,500   Fraser & Neave Holdings Bhd      41,252  
2,800   Jiangsu King’s Luck Brewery JSC, Ltd., Class A      19,637  
3,200   Jiangsu Yanghe Brewery Joint-Stock Co., Ltd., Class A      81,597  
1,100   JiuGui Liquor Co., Ltd., Class A      42,127  
2,372   Kweichow Moutai Co., Ltd.      672,065  
2,400   Luzhou Laojiao Co., Ltd.      82,142  
9,000   Nongfu Spring Co., Ltd., Class H      45,507  
23,700   Osotspa pcl      23,798  
1,960   Shanghai Bairun Investment Holding Group Co., Ltd., Class A      22,448  
2,660   Shanxi Xinghuacun Fen Wine Factory Co., Ltd., Class A      128,434  
1,400   Sichuan Swellfun Co., Ltd., Class A      27,567  
2,600   Tsingtao Brewery Co., Ltd., Class A      32,203  
14,000   Tsingtao Brewery Co., Ltd., Class H      109,249  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Emerging Markets Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                             Value        
Common Stocks, continued   
Beverages, continued   
7,920   United Spirits, Ltd.*    $ 90,252  
7,600   Wuliangye Yibin Co., Ltd., Class A      258,206  
    

 

 

 

       3,363,022  
    

 

 

 

Biotechnology (1.1%):   
51,000   3SBio, Inc.*      49,958  
9,000   Akeso, Inc.*      49,199  
808   Alteogen, Inc.*      48,851  
1,487   BeiGene, Ltd., ADR*      539,781  
700   Beijing Tiantan Biological Products Corp., Ltd., Class A      3,469  
700   Beijing Wantai Biological Pharmacy Enterprise Co., Ltd., Class A      23,991  
600   BGI Genomics Co., Ltd.      8,149  
14,923   Biocon, Ltd.*      72,658  
1,338   Burning Rock Biotech, Ltd., ADR*      23,923  
2,997   Celltrion, Inc.*      656,698  
3,200   Chongqing Zhifei Biological Products Co., Ltd., Class A      78,768  
185   Green Cross Corp.      51,583  
3,270   Hualan Biological Engineering, Inc., Class A      14,123  
1,059   I-Mab, ADR*      76,767  
300   Imeik Technology Development Co., Ltd., Class A      27,539  
36,500   Innovent Biologics, Inc.*      353,149  
1,238   Seegne, Inc.      63,701  
21,600   Shanghai Raas Blood Products Co., Ltd.      22,780  
1,600   Shenzhen Kangtai Biological Products Co., Ltd., Class A      27,277  
496   SK Bioscience Co., Ltd.*      113,718  
4,000   Walvax Biotechnology Co., Ltd., Class A      39,120  
2,417   Zai Lab, Ltd., ADR*      254,728  
    

 

 

 

       2,599,930  
    

 

 

 

Building Products (0.0%):   
3,000   Beijing New Building Materials plc      14,694  
35,000   China Lesso Group Holdings, Ltd.      55,847  
6,500   Zhuzhou Kibing Group Co., Ltd., Class A      17,164  
    

 

 

 

       87,705  
    

 

 

 

Capital Markets (1.2%):   
190,509   B3 SA- Brasil Bolsa Balcao      445,754  
34,376   Banco BTG Pactual SA      158,846  
68,300   Bangkok Commercial Asset Management pcl, Class R      36,877  
17,800   Caitong Securities Co., Ltd.      29,625  
193,000   China Cinda Asset Management Co., Ltd., Class H      32,651  
26,000   China Everbright, Ltd.      30,588  
120,000   China Galaxy Securities Co.      69,477  
327,000   China Huarong Asset Management Co., Ltd., Class H      32,135  
44,400   China International Capital Corp., Ltd.      116,157  
14,140   China Merchants Securities Co., Ltd.      39,775  
29,100   Citic Securities Co., Ltd., Class A      112,863  
59,000   Citic Securities Co., Ltd., Class A      149,974  
5,300   CSC Financial Co., Ltd., Class A      25,129  
23,328   East Money Information Co., Ltd., Class A      123,581  
6,600   Everbright Securities Co., Ltd.      15,754  
20,100   Founder Securities Co., Ltd., Class A      25,297  
30,400   GF Securities Co., Ltd.      53,001  
15,400   GF Securities Co., Ltd., Class A      49,971  
12,599   Guosen Securities Co., Ltd., Class A      22,956  
Shares                             Value        
Common Stocks, continued   
Capital Markets, continued   
14,600   Guotai Junan Securities Co., Ltd.    $ 40,011  
28,600   Haitong Securities Co., Ltd.      53,345  
78,800   Haitong Securities Co., Ltd.      71,944  
1,835   HDFC Asset Management Co., Ltd.      71,672  
1,000   Hithink RoyalFlush Information Network Co., Ltd., Class A      18,369  
23,600   Huatai Securities Co., Ltd., Class A      62,072  
44,600   Huatai Securities Co., Ltd., Class H      68,682  
24,300   Industrial Securities Co., Ltd.      36,751  
1,242   Korea Investment Holdings Co., Ltd.      89,230  
10,139   Meritz Securities Co., Ltd.      42,311  
9,168   Mirae Asset Securities Co., Ltd.      66,199  
6,300   Nanjing Securities Co., Ltd.      9,661  
2,777   NH Investment & Securities Co., Ltd.      29,917  
1,111   Noah Holdings, Ltd., ADR*      41,251  
20,500   Orient Securities Co., Ltd./China      47,808  
15,700   Pacific Securities Co. Ltd (The), Class A*      7,879  
4,862   Reinet Investments SCA      91,451  
2,406   Samsung Securities Co., Ltd.      96,197  
12,160   SDIC Capital Co., Ltd., Class A      16,407  
69,900   Shenwan Hongyuan Group Co., Ltd.      59,202  
45,462   The Moscow Exchange      108,658  
26,100   Tianfeng Securities Co., Ltd., Class A*      17,582  
2,557   Up Fintech Holding, Ltd., ADR*^      27,079  
304,680   Yuanta Financial Holding Co., Ltd.      268,193  
5,300   Zheshang Securities Co., Ltd.*      10,215  
    

 

 

 

       3,022,497  
    

 

 

 

Chemicals (3.1%):   
4,207   Advanced Petrochemical Co.      84,196  
11,757   Asian Paints, Ltd.      510,164  
9,301   Berger Paints India, Ltd.      101,357  
114,000   Formosa Chemicals & Fibre Corp.      340,090  
120,000   Formosa Plastics Corp.      482,537  
3,400   Guangzhou Tinci Materials Technology Co., Ltd., Class A      79,530  
3,999   Hanwha Chemical Corp.*      150,575  
13,400   Hengli Petrochemical Co., Ltd.      53,353  
10,092   Hengyi Petrochemical Co., Ltd., Class A      17,825  
12,000   Huabao International Holdings, Ltd.      23,415  
60,600   Indorama Ventures pcl      78,634  
9,200   Jiangsu Eastern Shenghong Co., Ltd., Class A      39,838  
6,200   Kingfa Sci & Tech Co., Ltd., Class A      14,070  
533   Kumho Petrochemical Co., Ltd.      84,578  
1,437   LG Chem, Ltd.      939,439  
226   LG Chem, Ltd.      71,654  
3,900   Lomon Billions Group Co., Ltd., Class A      17,229  
540   Lotte Chemical Corp.      109,629  
135,824   Mesaieed Petrochemical Holding Co.      83,942  
161,000   Nan Ya Plastics Corp.      522,110  
1,149   National Industrialization Co.*      7,197  
3,035   National Petrochemical Co.      40,467  
14,000   Ningxia Baofeng Energy Group Co., Ltd., Class A      34,612  
29,450   Orbia Advance Corp SAB de CV      75,504  
81,600   Petronas Chemicals Group Berhad      169,071  
4,369   PhosAgro, GDR      98,676  
2,928   PI Industries, Ltd.      125,087  
5,202   Pidilite Industries, Ltd.      166,319  
832,600   PT Barito Pacific Tbk      55,463  
75,400   PTT Global Chemical Public Co., Ltd.      139,577  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Emerging Markets Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                             Value        
Common Stocks, continued   
Chemicals, continued   
19,350   Rongsheng Petro Chemical Co., Ltd., Class A    $ 55,699  
6,925   SABIK Agri-Nutrients Co.      319,483  
5,252   Sahara International Petrochemical Co.      60,826  
17,307   Sasol, Ltd.*      327,373  
27,928   Saudi Basic Industries Corp.      947,421  
4,576   Saudi Industrial Investment Group      49,795  
25,640   Saudi Kayan Petrochemical Co.*      140,111  
4,940   Shandong Hualu Hengsheng Chemical Co., Ltd., Class A      24,991  
1,800   Shanghai Putailai New Energy Technology Co., Ltd., Class A      47,473  
259   SK Chemicals Co., Ltd.      61,914  
136   SK IE Technology Co., Ltd.*      25,859  
649   SKC Co., Ltd.      90,973  
1,120   Skshu Paint Co., Ltd., Class A      17,282  
4,172   Sociedad Quimica y Minera de Chile SA      225,252  
14,118   UPL, Ltd.      133,636  
7,300   Wanhua Chemical Group Co., Ltd.      119,545  
8,939   Yanbu National Petrochemical Co.      169,720  
14,800   Zhejiang Longsheng Group Co., Ltd., Class A      30,874  
    

 

 

 

       7,564,365  
    

 

 

 

Commercial Services & Supplies (0.3%):   
11,500   A-Living Services Co., Ltd., Class H      40,715  
108,222   China Everbright International, Ltd.      81,582  
46,000   Country Garden Services Holdings Co., Ltd.      361,005  
44,000   Greentown Service Group Co., Ltd.      47,298  
588   S1 Corp.      41,456  
2,200   Shanghai M&G Stationery, Inc., Class A      23,119  
    

 

 

 

       595,175  
    

 

 

 

Communications Equipment (0.2%):   
17,000   Accton Technology Corp.      159,847  
20,500   BYD Electronic International Co., Ltd.^      71,645  
5,600   Fiberhome Telecommunication Technologies Co., Ltd.      15,289  
1,400   Shenzhen Sunway Communication Co., Ltd., Class A      4,884  
1,800   Yealink Network Technology Corp., Ltd., Class A      22,526  
8,300   ZTE Corp.      42,557  
23,800   ZTE Corp., Class H      77,528  
    

 

 

 

       394,276  
    

 

 

 

Construction & Engineering (0.4%):   
118,000   China Railway Group, Ltd.      58,715  
53,400   China Railway Group, Ltd., Class A      46,778  
102,100   China State Construction Engineering Corp., Ltd.      75,855  
44,000   China State Construction International Holdings, Ltd.      38,436  
2,296   GS Engineering & Construction Corp.      81,679  
2,127   Hyundai Engineering & Construction Co., Ltd.      90,811  
21,636   Larsen & Toubro, Ltd.      493,840  
71,700   Metallurgical Corp. of China, Ltd.      47,692  
38,400   Power Construction Corp. of China, Ltd.      50,096  
4,331   Samsung Engineering Co., Ltd.*      91,818  
    

 

 

 

       1,075,720  
    

 

 

 

Shares                             Value        
Common Stocks, continued   
Construction Materials (1.1%):   
1,933   ACC, Ltd.    $ 58,627  
19,842   Ambuja Cements, Ltd.      106,870  
7,700   Anhui Conch Cement Co., Ltd., Class A      48,515  
33,000   Anhui Conch Cement Co., Ltd., Class H      177,510  
72,000   Asia Cement Corp.      117,083  
25,400   BBMG Corp.      11,060  
478,374   Cemex SAB de C.V.*      345,150  
8,458   China Jushi Co., Ltd., Class A      22,925  
122,000   China National Buildings Material Co., Ltd.      164,600  
78,000   China Resources Cement Holdings, Ltd.      75,039  
7,494   Grasim Industries, Ltd.      167,104  
8,000   Huaxin Cement Co., Ltd.      25,294  
1,017   POSCO Chemical Co., Ltd.      149,443  
44,100   PT Indocement Tunggal Prakarsa Tbk      32,083  
112,100   PT Semen Indonesia (Persero) Tbk      63,640  
3,423   Saudi Cement Co.      57,249  
368   Shree Cement, Ltd.      142,849  
162,374   Taiwan Cement Corp.      296,828  
25,000   The Siam Cement Public Co., Ltd.      295,844  
3,087   Ultra Tech Cement, Ltd.      307,354  
    

 

 

 

       2,665,067  
    

 

 

 

Consumer Finance (0.6%):   
2,667   360 DigiTech, Inc., ADR*      54,193  
8,374   Bajaj Finance, Ltd.      859,721  
12,258   Cholamandalam Investment and Finance Co., Ltd.      92,443  
29,000   Krungthai Card pcl      46,810  
5,052   Lufax Holding, Ltd., ADR*      35,263  
28,300   Muangthai Capital pcl, Class R      48,210  
4,134   Muthoot Finance, Ltd.      80,379  
4,769   SBI Cards & Payment Services, Ltd.*      65,717  
6,417   Shriram Transport Finance      111,547  
27,700   Srisawad Corp pcl      51,078  
    

 

 

 

       1,445,361  
    

 

 

 

Containers & Packaging (0.1%):   
21,248   Klabin SA*      94,476  
38,400   SCG Packaging pcl      68,191  
1,500   Yunnan Energy New Material Co., Ltd.      65,043  
    

 

 

 

       227,710  
    

 

 

 

Diversified Consumer Services (0.1%):   
19,000   China East Education Holdings, Ltd.      19,281  
25,000   China Education Group Holdings, Ltd.      42,949  
48,000   China Yuhua Education Corp., Ltd.      23,212  
3,788   Gaotu Techedu, Inc., ADR*^      11,629  
47,798   New Oriental Education & Technology Group, Inc., ADR*      97,986  
5,500   Offcn Education Technology Co., Ltd., Class A*      9,230  
12,817   TAL Education Group, ADR*      62,034  
    

 

 

 

       266,321  
    

 

 

 

Diversified Financial Services (0.9%):   
9,600   Ayala Corp.      153,512  
39,126   Chailease Holding Co., Ltd.      343,832  
58,000   Far East Horizon, Ltd.      58,297  
156,736   FirstRand, Ltd.      665,137  
223,300   Fubon Financial Holdings Co., Ltd.      609,168  
8,105   Grupo de Inversiones Suramericana SA      45,580  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Emerging Markets Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                             Value        
Common Stocks, continued   
Diversified Financial Services, continued   
2,295   GT Capital Holdings, Inc.    $ 22,890  
431,800   Metro Pacific Investments Corp.      30,724  
31,853   REC, Ltd.      67,441  
16,878   Remgro, Ltd.      153,007  
    

 

 

 

       2,149,588  
    

 

 

 

Diversified Telecommunication Services (1.2%):   
98,000   China Communications Services Corp., Ltd.      54,250  
1,380,000   China Tower Corp., Ltd., Class H      180,664  
110,000   Chunghwa Telecom Co., Ltd.      435,120  
56,868   Emirates Telecommunications Group Co. PJSC      372,145  
7,958   Hellenic Telecommunications Organization SA (OTE)      148,714  
18,250   Indus Towers, Ltd.      75,096  
6,438   LG Uplus Corp.      80,896  
34,613   Ooredoo Qsc      69,666  
22,338   Orange Polska SA*      45,107  
1,486,900   PT Telekomunikasi Indonesia Tbk      381,725  
497,700   Sarana Menara Nusantara Tbk PT      45,959  
18,938   Saudi Telecom Co.      641,607  
12,522   Telefonica Brasil SA      98,591  
37,500   Telekom Malaysia Berhad      50,858  
50,779   Telesites SAB de CV*      44,043  
243,500   Tower Bersama Infrastructure Tbk PT      50,275  
494,000   True Corp. pcl      55,075  
    

 

 

 

       2,829,791  
    

 

 

 

Electric Utilities (0.8%):   
7,799   Adani Transmission, Ltd.*      162,276  
12,336   Centrais Eletricas Brasileiras S.A      87,248  
4,434   Centrais Eletricas Brasileiras S.A      31,531  
5,163   CEZ AS      168,079  
35,776   Companhia Energetica de Minas Gerais      92,185  
7,090   CPFL Energia SA      35,067  
657,720   ENEL Americas SA      77,855  
1,011,183   ENEL Chile SA      47,908  
6,011   Energisa SA      48,475  
32,737   Equatorial Energia SA      152,415  
952,130   Inter Rao Ues PJSC      60,823  
15,365   Interconexion Electrica SA ESP      91,657  
7,164   Korea Electric Power Corp., Ltd.      142,256  
25,730   PGE SA*      57,692  
93,408   Power Grid Corp. of India, Ltd.      236,862  
25,045   Saudi Electricity Co.      179,456  
71,600   Tenega Nasional Berhad      164,921  
    

 

 

 

       1,836,706  
    

 

 

 

Electrical Equipment (0.5%):   
4,500   Contemporary Amperex Technology Co., Ltd., Class A      366,243  
7,706   Doosan Heavy Industries & Construction Co., Ltd.*      131,807  
260   Ecopro BM Co., Ltd.      101,577  
3,801   Eve Energy Co., Ltd., Class A      58,279  
7,790   Havells India, Ltd.      143,839  
12,500   Jiangsu Zhongtian Technology Co., Ltd., Class A      17,605  
14,559   Luxshare Precision Industry Co., Ltd.      80,232  
14,880   Nari Technology Co., Ltd.      82,355  
3,900   Sungrow Power Supply Co., Ltd., Class A      89,358  
16,541   Xinjiang Goldwind Science & Technology Co., Ltd.      44,275  
12,400   Xinjiang Goldwind Science & Technology Co., Ltd.      26,002  
Shares                             Value        
Common Stocks, continued   
Electrical Equipment, continued   
3,500   Zhejiang Chint Electrics Co., Ltd., Class A    $ 30,469  
15,800   Zhuzhou CRRC Times Electric Co., Ltd., Class H*      72,877  
    

 

 

 

       1,244,918  
    

 

 

 

Electronic Equipment, Instruments & Components (2.6%):

 

24,500   AAC Technologies Holdings, Inc.      116,316  
255,000   AU Optronics Corp.      159,026  
4,200   Chaozhou Three-Circle Group Co., Ltd., Class A      24,049  
10,300   Delta Electronics Thailand pcl      142,237  
60,000   Delta Electronics, Inc.      539,823  
9,699   Foxconn Industrial Internet Co., Ltd., Class A      17,367  
22,000   Foxconn Technology Co., Ltd.      55,066  
8,100   GoerTek, Inc., Class A      53,648  
2,100   Guangzhou Shiyuan Electronic Technology Co., Ltd., Class A      25,470  
389,000   Hon Hai Precision Industry Co., Ltd.      1,453,892  
266,000   Innolux Corp.      160,050  
25,500   Kingboard Holdings, Ltd.      114,640  
37,500   Kingboard Laminates Holdings, Ltd.      61,138  
3,000   Largan Precision Co., Ltd.      233,690  
11,400   Lens Technology Co., Ltd., Class A      36,781  
7,487   LG Display Co., Ltd.*      118,848  
404   LG Innotek Co., Ltd.      70,014  
4,700   Lingyi iTech Guangdong Co., Class A*      4,698  
540   Maxscend Microelectronics Co., Ltd., Class A      29,224  
7,000   Nan Ya Printed Circuit Board Corp.      107,840  
1,200   NAURA Technology Group Co., Ltd., Class A      67,403  
4,200   OFILM Group Co., Ltd., Class A      5,456  
1,281   Raytron Technology Co., Ltd., Class A      17,388  
1,773   Samsung Electro-Mechanics Co., Ltd., Series L      261,043  
1,719   Samsung SDI Co., Ltd.      1,034,957  
3,800   Shengyi Technology Co., Ltd., Class A      12,637  
1,820   Shennan Circuits Co., Ltd., Class A      26,584  
22,200   Sunny Optical Technology Group Co., Ltd.      582,535  
7,000   Suzhou Dongshan Precision Manufacturing Co., Ltd.      22,622  
41,000   Synnex Technology International Corp.      76,023  
14,000   Tianma Microelectronics Co., Ltd., Class A      29,324  
35,000   Unimicron Technology Corp.      162,940  
6,300   Unisplendour Corp., Ltd., Class A      24,297  
10,000   Walsin Technology Corp.      54,252  
1,700   Wingtech Technology Co., Ltd.      24,429  
47,960   WPG Holdings, Ltd.      83,308  
4,536   Wuhan Guide Infrared Co., Ltd.      16,362  
1,650   WUS Printed Circuit Kunshan Co., Ltd., Class A      2,856  
2,720   Wuxi Lead Intelligent Equipment Co., Ltd., Class A      29,006  
12,377   Yageo Corp.      194,183  
9,200   Zhejiang Dahua Technology Co., Ltd., Class A      33,614  
19,000   Zhen Ding Technology Holding, Ltd.      66,976  
    

 

 

 

       6,352,012  
    

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Emerging Markets Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                             Value        
Common Stocks, continued   
Energy Equipment & Services (0.1%):   
48,000   China Oilfield Services, Ltd.    $ 45,346  
126,200   Dialog Group Berhad      71,917  
    

 

 

 

       117,263  
    

 

 

 

Entertainment (1.0%):   
500,000   Alibaba Pictures Group, Ltd.*      56,213  
5,210   Bilibili, Inc., ADR*^      344,746  
2,170   CD Projekt SA      104,102  
400   G-Bits Network Technology Xiamen Co., Ltd.      24,228  
2,528   HUYA, Inc., ADR*^      21,084  
268   HYBE Co., Ltd.*      66,840  
9,347   IQIYI, Inc., ADR*      75,056  
4,000   Mango Excellent Media Co., Ltd., Class A      26,781  
531   Ncsoft Corp.      269,065  
12,515   NetEase, Inc., ADR      1,068,781  
657   Netmarble Corp.      65,161  
810   Pearl Abyss Corp.*      54,498  
7,050   Perfect World Co., Ltd., Class A      16,460  
20,844   Tencent Music Entertainment Group, ADR*      151,119  
4,800   Wuhu Sanqi Interactive Entertainment Network Technology Group Co., Ltd., Class A      15,598  
15,360   Zhejiang Century Huatong Group Co., Ltd., Class A*      17,594  
    

 

 

 

       2,377,326  
    

 

 

 

Equity Real Estate Investment Trusts (0.1%):   
96,015   Fibra UNO Amdinistracion SA      108,868  
111,747   Growthpoint Properties, Ltd.      106,171  
    

 

 

 

       215,039  
    

 

 

 

Food & Staples Retailing (1.2%):   
1,612   Abdullah Al Othaim Markets Co.      48,400  
13,933   Atacadao Distribuicao Comercio e Industria, Ltd.      45,446  
5,379   Avenue Supermarts, Ltd.*      306,419  
27,700   Berli Jucker pcl      26,779  
157   BGF Retail Co., Ltd.      22,545  
10,042   Bid Corp., Ltd.*      216,092  
12,876   BIM Birlesik Magazalar AS      92,654  
53,777   Cencosud SA      104,037  
8,233   Clicks Group, Ltd.      151,663  
166,700   CP All pcl      311,239  
1,473   Dino Polska SA*      123,037  
631   E-Mart Co., Ltd.      86,351  
10,020   Magnit PJSC, GDR      167,918  
16,000   President Chain Store Corp.      160,591  
37,127   Raia Drogasil SA      159,352  
14,686   Shoprite Holdings, Ltd.^      174,010  
78,500   Sun Art Retail Group, Ltd.      36,103  
5,844   The Spar Group, Ltd.      76,261  
165,130   Wal-Mart de Mexico SAB de C.V.      561,145  
3,565   X5 Retail Group NV, GDR      114,926  
1,456   Yifeng Pharmacy Chain Co., Ltd., Class A      11,729  
25,700   Yonghui Superstores Co., Ltd.      15,541  
    

 

 

 

       3,012,238  
    

 

 

 

Food Products (1.8%):   
3,116   Adecoagro SA*      28,137  
8,424   Almarai Co. JSC      130,014  
7,000   Beijing Dabeinong Technology Group Co., Ltd.      8,157  
21,374   BRF SA*      106,342  
3,392   Britannia Industries, Ltd.      180,322  
Shares                             Value        
Common Stocks, continued   
Food Products, continued   
107,900   Charoen Pokphand Foods Public Co., Ltd.    $ 81,936  
110,000   China Feihe, Ltd.      185,297  
280,000   China Huishan Dairy Holdings Co., Ltd.*       
86,000   China Mengniu Dairy Co., Ltd.      553,263  
245   CJ CheilJedang Corp.      84,066  
75,500   Dali Foods Group Co., Ltd.      45,203  
7,228   Foshan Haitian Flavouring & Food Co., Ltd.      122,848  
700   Fu Jian Anjoy Foods Co., Ltd., Class A      20,785  
5,255   Gruma, SAB de C.V., Class B      60,170  
45,487   Grupo Bimbo SAB de C.V., Series A, Class A      127,926  
3,800   Guangdong Haid Group Co., Ltd., Class A      39,636  
5,400   Henan Shuanghui Investment & Development Co., Ltd.      22,694  
10,200   Inner Mongolia Yili Indsutrial Group Co., Ltd.      59,089  
90,500   IOI Corp. Berhad      81,384  
30,042   JBS SA      204,532  
3,100   Jiangxi Zhengbang Technology Co., Ltd., Class A      4,525  
1,500   Jonjee Hi-Tech Industrial And Commercial Holding Co., Ltd.      7,311  
700   Juewei Food Co., Ltd., Class A      6,930  
15,700   Kuala Lumpur Kepong Berhad      75,282  
9,772   Muyuan Foodstuff Co., Ltd.      77,783  
1,031   Nestle India, Ltd.      268,848  
2,000   Nestle Malaysia Bhd      63,534  
10,600   New Hope Liuhe Co., Ltd., Class A*      24,218  
721   Orion Corp./ Republic of Korea      70,949  
20,980   PPB Group Berhad      91,904  
213,700   PT Charoen Pokphand Indonesia Tbk      94,816  
76,600   PT Indofood CBP Sukses Makmur Tbk      44,605  
127,500   PT Indofood Sukses Makmur Tbk      56,339  
32,650   QL Resources Berhad      41,916  
37,200   Sime Darby Plantation Bhd      31,747  
20,577   Tata Consumer Products, Ltd.      224,233  
56,100   Thai Union Frozen Products pcl      35,874  
9,830   The Savola Group      98,236  
3,980   Tiger Brands, Ltd.      49,457  
70,000   Tingyi (Caymen Is) Holding Corp.      130,072  
6,800   Tongwei Co., Ltd., Class A      53,618  
43,000   Uni-President China Holdings, Ltd.      41,075  
157,000   Uni-President Enterprises Corp.      381,863  
32,810   Universal Robina Corp.      87,294  
163,000   Want Want China Holdings, Ltd.      123,120  
13,060   Wens Foodstuffs Group Co., Ltd.      29,251  
16,000   Yihai International Holding, Ltd.      88,549  
2,600   Yihai Kerry Arawana Holdings Co., Ltd., Class A      27,867  
    

 

 

 

       4,473,017  
    

 

 

 

Gas Utilities (0.5%):   
7,360   Adani Total Gas, Ltd.      139,947  
18,500   Beijing Enterprises Holdings, Ltd.      73,908  
93,800   China Gas Holdings, Ltd.      276,606  
32,000   China Resources Gas Group, Ltd.      167,959  
24,700   ENN Energy Holdings, Ltd.      404,496  
40,303   GAIL India, Ltd.      84,876  
8,251   Indraprastha Gas, Ltd.      58,805  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Emerging Markets Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                             Value        
Common Stocks, continued   
Gas Utilities, continued   
25,200   Petronas Gas Berhad    $ 100,860  
    

 

 

 

       1,307,457  
    

 

 

 

Health Care Equipment & Supplies (0.3%):   
1,430   Autobio Diagnostics Co., Ltd., Class A      11,807  
54,400   Hartalega Holdings Berhad      79,721  
2,280   Jafron Biomedical Co., Ltd., Class A      20,603  
900   Jiangsu Yuyue Medical Equipment & Supply Co., Ltd.      4,482  
43,800   Kossan Rubber Industries      24,123  
7,700   Lepu Medical Technology Beijing Co., Ltd., Class A      31,903  
20,000   Microport Scientific Corp.      112,064  
1,680   Ovctek China, Inc., Class A      21,240  
72,000   Shandong Weigao Group Medical Polymer Co., Ltd., Class H      127,135  
2,100   Shenzhen Mindray Bio-Medical Electronics Co., Ltd., Class A      125,000  
22,000   Sri Trang Gloves Thailand pcl      20,242  
40,635   Supermax Corp. Berhad      23,073  
155,200   Top Glove Corp. Berhad      106,759  
7,000   Venus MedTech Hangzhou, Inc., Class H*      35,845  
    

 

 

 

       743,997  
    

 

 

 

Health Care Providers & Services (0.7%):   
12,464   Aier Eye Hospital Group Co., Ltd., Class A      102,604  
3,000   Apollo Hospitals Enterprise, Ltd.      180,390  
301,500   Bangkok Dusit Medical Services Public Co., Ltd.      201,986  
13,700   Bumrungrad Hospital pcl      56,749  
2,589   Celltrion Healthcare Co., Ltd.*      238,337  
1,270   Dr Sulaiman Al Habib Medical Services Group Co.      58,865  
1,400   Guangzhou Kingmed Diagnostics Group Co., Ltd., Class A      22,172  
35,667   Hapvida Participacoes e Investimentos SA      89,022  
3,300   Huadong Medicine Co., Ltd., Class A      15,133  
60,100   IHH Healthcare Berhad      95,986  
46,000   Jinxin Fertility Group, Ltd.*      68,344  
600   Jointown Pharmaceutical Group Co., Ltd.      1,436  
15,300   Meinian Onehealth Healthcare Holdings Co., Ltd., Class A*      17,546  
1,233   Mouwasat Medical Services Co.      59,474  
16,360   Notre Dame Intermedica Participacoes SA      224,177  
9,527   Rede D’Or Sao Luiz SA      118,823  
1,900   Shanghai Pharmaceuticals Holding Co., Ltd.      5,617  
25,500   Shanghai Pharmaceuticals Holding Co., Ltd.      49,167  
45,200   Sinopharm Group Co., Series H      117,403  
700   Topchoice Medical Corp., Class A*      32,614  
    

 

 

 

       1,755,845  
    

 

 

 

Health Care Technology (0.1%):   
130,000   Alibaba Health Information Technology, Ltd.*      186,015  
14,300   Ping An Healthcare and Technology Co., Ltd.*^      92,565  
1,090   Winning Health Technology Group Co., Ltd.      2,442  
    

 

 

 

       281,022  
    

 

 

 

Shares                             Value        
Common Stocks, continued   
Hotels, Restaurants & Leisure (0.8%):   
231,900   Asset World Corp. pcl*    $ 31,618  
3,600   China International Travel Service Corp., Ltd., Class A      144,911  
67,600   Genting Berhard      81,304  
86,800   Genting Malaysia Berhad      62,121  
33,000   Haidilao International Holding, Ltd.^      124,871  
5,524   Huazhu Group, Ltd., ADR*      253,331  
20,000   Jiumaojiu International Holdings, Ltd.      60,374  
15,230   Jollibee Foods Corp.      61,124  
2,830   Jubilant Foodworks, Ltd.      153,575  
2,483   Kangwon Land, Inc.*      59,614  
101,900   Minor International pcl*      94,479  
7,104   OPAP SA      109,568  
25,400   Shenzhen Overseas Chinese Town Co., Ltd., Class A      29,450  
6,660   Songcheng Performance Development Co., Ltd., Class A      14,516  
12,743   Yum China Holdings, Inc.      740,496  
    

 

 

 

       2,021,352  
    

 

 

 

Household Durables (0.4%):   
700   Ecovacs Robotics Co., Ltd., Class A      16,388  
66,800   Haier Smart Home Co., Ltd., Class H      234,675  
3,220   LG Electronics, Inc.      341,900  
6,800   Midea Group Co., Ltd., Class A      73,268  
13,100   NavInfo Co., Ltd.      22,342  
5,000   Nien Made Enterprise Co., Ltd.      70,686  
1,400   Oppein Home Group, Inc., Class A      28,174  
11,900   Qingdao Haier Co., Ltd.      47,931  
28,400   TCL Corp., Class A      27,516  
1,893   Woongjin Coway Co., Ltd.      117,888  
1,600   Zhejiang Supor Co., Ltd., Class A      11,518  
    

 

 

 

       992,286  
    

 

 

 

Household Products (0.5%):   
26,008   Hindustan Unilever, Ltd.      945,923  
54,099   Kimberl- Clark de Mexico SAB de C.V.      89,102  
274,300   PT Unilever Indonesia Tbk      75,400  
15,000   Vinda International Holdings, Ltd.^      44,349  
    

 

 

 

       1,154,774  
    

 

 

 

Independent Power and Renewable Electricity Producers (0.7%):

 

11,994   Adani Green Energy, Ltd.*      184,307  
26,100   B Grimm Power pcl      31,305  
213,000   Cgn Power Co., Ltd., Class H      64,739  
106,000   China Longyuan Power Group Corp.      259,022  
41,500   China National Nuclear Power Co., Ltd.      46,252  
185,000   China Power International Develpoment, Ltd.      97,903  
58,000   China Resources Power Holdings Co.      166,940  
40,400   China Yangtze Power Co., Ltd.      137,324  
271,021   Colbun SA      43,938  
2,400   Electricity Genera pcl      12,283  
7,616   Engie Brasil Energia SA      52,397  
25,400   Global Power Synergy pcl      56,621  
87,800   Gulf Energy Development pcl, Class R      106,994  
13,900   Huadian Power International Corp, Ltd., Class A      10,139  
168,000   Huaneng Power International, Inc., Class H      90,314  
139,773   NTPC, Ltd.      265,623  
16,900   Ratch Group pcl      22,538  
20,900   SDIC Power Holdings Co., Ltd., Class A      38,927  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Emerging Markets Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                             Value        
Common Stocks, continued   
Independent Power and Renewable Electricity Producers, continued

 

21,900   Sichuan Chuantou Energy Co., Ltd., Class A    $ 48,670  
    

 

 

 

       1,736,236  
    

 

 

 

Industrial Conglomerates (0.9%):   
77,690   Aboitiz Equity Ventures, Inc.      73,803  
7,824   Bidvest Group, Ltd.^      101,193  
176,000   Citic, Ltd.      185,570  
403   CJ Corp.      33,122  
115,000   Far Eastern New Century Corp.      122,002  
86,500   Fosun International, Ltd.      105,098  
15,971   Grupo Carso SAB de C.V.      54,721  
15,300   Hap Seng Consolidated Berhad      28,899  
44,815   Industries Qatar Q.S.C.      190,128  
101,484   JG Summit Holdings, Inc.      129,326  
20,331   KOC Holdings AS      51,666  
2,559   LG Corp.      199,190  
2,613   Samsung C&T Corp.      268,862  
2,872   Siemens, Ltd.      82,167  
62,100   Sime Darby Berhad      33,517  
967   SK, Inc.      214,918  
7,815   SM Investments Corp.      151,096  
31,448   Turkiye Sise ve Cam Fabrikalari AS      28,980  
    

 

 

 

       2,054,258  
    

 

 

 

Insurance (2.4%):   
1,250   Bajaj Finserv, Ltd.      299,149  
17,305   BB Seguridade Participacoes SA      63,405  
2,203   Bupa Arabia For Cooperative Insurance Co.      87,677  
254,137   Cathay Financial Holding Co., Ltd.      520,343  
49,033   China Life Insurance Co., Ltd.      50,391  
6,100   China Life Insurance Co., Ltd.      28,141  
230,000   China Life Insurance Co., Ltd.      375,116  
13,000   China Pacific Insurance Group Co., Ltd., Class A      54,240  
83,000   China Pacific Insurance Group Co., Ltd., Class H      244,089  
49,200   China Taiping Insurance Holdings Co., Ltd.      74,506  
1,303   DB Insurance Co., Ltd.      69,234  
13,781   Discovery, Ltd.*      125,304  
22,395   HDFC Life Insurance Co., Ltd.      217,343  
7,561   ICICI Lombard General Insurance Co., Ltd.      161,929  
9,176   ICICI Prudential Life Insurance Co., Ltd.      82,148  
27,000   New China Life Insurance Co., Ltd.      79,527  
4,500   New China Life Insurance Co., Ltd., Class A      27,783  
145,915   Old Mutual, Ltd.      159,594  
178,000   People’s Insurance Co. Group of China, Ltd. (The)      55,230  
28,100   People’s Insurance Co. Group of China, Ltd. (The)      22,010  
230,000   Picc Property & Casuality Co., Ltd., Class H      221,925  
20,800   Ping An Insurance Group Co. of China, Ltd.      154,829  
193,500   Ping An Insurance Group Co. of China, Ltd.      1,313,042  
17,119   Powszechny Zaklad Ubezpieczen SA      156,516  
26,923   Rand Merchant Investment Holdings, Ltd.      67,222  
972   Samsung Fire & Marine Insurance Co., Ltd.      191,954  
2,270   Samsung Life Insurance Co., Ltd.      139,572  
Shares                             Value        
Common Stocks, continued   
Insurance, continued   
58,714   Sanlam, Ltd.    $ 249,318  
14,052   SBI Life Insurance Co., Ltd.      229,313  
320,614   Shin Kong Financial Holdings Co., Ltd.      106,193  
2,914   The Co. for Cooperative Insurance      67,147  
16,500   Zhongan Online P&c Insurance Co., Ltd.*      67,413  
    

 

 

 

       5,761,603  
    

 

 

 

Interactive Media & Services (6.3%):   
1,931   Autohome, Inc., ADR      90,622  
8,404   Baidu, Inc., ADR*      1,292,115  
4,088   Hello Group, Inc., ADR      43,251  
2,379   Info Edge India, Ltd.      206,022  
1,915   JOYY, Inc., ADR      105,000  
9,648   Kakao Corp.      945,946  
3,760   Mail.Ru Group, Ltd., GDR*      76,841  
3,836   NAVER Corp.      1,250,995  
178,700   Tencent Holdings, Ltd.      10,478,271  
1,711   Weibo Corp., ADR*      81,255  
9,539   Yandex NV, Class A*      763,555  
    

 

 

 

       15,333,873  
    

 

 

 

Internet & Direct Marketing Retail (7.1%):   
471,672   Alibaba Group Holding, Ltd.*      8,773,386  
10,438   Allegro.eu SA*      151,892  
12,923   Americanas SA*      73,386  
2,055   Baozun, Inc., ADR*      36,024  
320   CJ ENM Co., Ltd.      40,710  
1,842   Dada Nexus, Ltd., ADR*      36,914  
88,000   HengTen Networks Group, Ltd.*      25,937  
9,050   JD Health International, Inc.*      86,378  
26,900   JD.com, Inc., ADR*      1,943,256  
123,600   Meituan*      3,859,744  
1,000   momo.com, Inc.      58,074  
321   Ozon Holdings plc, ADR*      16,194  
965   Ozon Holdings plc, ADR*      47,989  
13,686   Pinduoduo, Inc., ADR*      1,240,910  
31,200   Tongcheng-Elong Holdings, Ltd.*      74,569  
15,719   Trip.com Group, Ltd., ADR*      483,359  
14,042   Vipshop Holdings, Ltd., ADR*      156,428  
    

 

 

 

       17,105,150  
    

 

 

 

IT Services (2.4%):   
2,723   21Vianet Group, Inc., ADR*      47,135  
6,000   Beijing Sinnet Technology Co., Ltd.      11,898  
68,000   Chinasoft International, Ltd.      118,814  
2,575   Chindata Group Holdings, Ltd., ADR*      21,656  
9,100   DHC Software Co., Ltd., Class A      10,718  
2,787   GDS Holdings, Ltd., ADR*^      157,772  
33,611   HCL Technologies, Ltd.      577,295  
106,119   Infosys, Ltd.      2,362,575  
1,744   Kingsoft Cloud Holdings, Ltd., ADR*^      49,390  
1,779   Larsen & Toubro Infotech, Ltd.      137,554  
1,016   Samsung SDS Co., Ltd.      136,934  
28,669   Tata Consultancy Services, Ltd.      1,451,818  
19,412   Tech Mahindra, Ltd.      359,484  
25,000   Travelsky Technology, Ltd., Series H      48,187  
42,098   Wipro, Ltd.      356,234  
    

 

 

 

       5,847,464  
    

 

 

 

Leisure Products (0.1%):   
11,000   Giant Manufacturing Co., Ltd.      124,315  
2,720   HLB, Inc.*      129,625  
    

 

 

 

       253,940  
    

 

 

 

Life Sciences Tools & Services (1.3%):   
4,021   Divi’s Laboratories, Ltd.      258,827  
36,000   Genscript Biotech Corp.*      137,344  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Emerging Markets Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                             Value        
Common Stocks, continued   
Life Sciences Tools & Services, continued   
1,800   Hangzhou Tigermed Consulting Co., Ltd., Class A    $ 48,237  
3,100   Hangzhou Tigermed Consulting Co., Ltd., Class H      65,770  
1,200   Joinn Laboratories China Co., Ltd., Class A      29,256  
2,100   Pharmaron Beijing Co., Ltd., Class A      69,744  
3,200   Pharmaron Beijing Co., Ltd., Class H      76,043  
538   Samsung Biologics Co., Ltd.*      394,097  
5,208   WuXi AppTec Co., Ltd., Class A      123,210  
10,536   WuXi AppTec Co., Ltd., Class H      245,956  
109,000   Wuxi Biologics Cayman, Inc.*      1,761,853  
    

 

 

 

       3,210,337  
    

 

 

 

Machinery (0.8%):   
4,000   AirTac International Group      125,203  
51,000   China Conch Venture Holdings, Ltd.      234,870  
45,100   CRRC Corp., Ltd., Class A      43,349  
1,406   Daewoo Shipbuilding & Marine Engineering Co., Ltd.*      31,322  
1,481   Doosan Bobcat, Inc.*      49,253  
23,000   Haitian International Holdings, Ltd.      71,437  
9,395   Hiwin Technologies Corp.      103,190  
1,660   Hyundai Heavy Industries Holdings Co., Ltd.      89,912  
3,108   Jiangsu Hengli Hydraulic Co., Ltd., Class A      40,658  
1,191   Korea Shipbuilding & Offshore*      100,979  
4,400   Riyue Heavy Industry Co., Ltd., Class A      23,575  
14,774   Samsung Heavy Industries Co., Ltd., Class R*      77,119  
36,000   Sany Heavy Equipment International Holdings Co., Ltd.      42,510  
15,600   Sany Heavy Industry Co., Ltd.      61,445  
4,050   Shenzhen Inovance Technology Co., Ltd.      39,500  
26,000   Sinotruk Hong Kong, Ltd.      38,529  
51,440   WEG SA      374,399  
15,600   Weichai Power Co., Ltd., Class A      41,439  
58,000   Weichai Power Co., Ltd., Class H      120,140  
30,200   XCMG Construction Machinery Co., Ltd.      32,523  
1,400   Zhejiang Dingli Machinery Co., Ltd., Class A      15,235  
14,560   Zhejiang Sanhua Intelligent Controls Co., Ltd., Class A      51,292  
900   Zhongji Innolight Co., Ltd., Class A      4,850  
14,800   Zoomlion Heavy Industry Science and Technology Co., Ltd., Class A      18,905  
47,600   Zoomlion Heavy Industry Science and Technology Co., Ltd., Class H      42,501  
    

 

 

 

       1,874,135  
    

 

 

 

Marine (0.5%):   
92,950   COSCO SHIPPING Holdings Co., Ltd.*^      140,737  
26,260   COSCO SHIPPING Holdings Co., Ltd., Class A*      69,553  
81,835   Evergreen Marine Corp., Ltd.      359,738  
8,078   HMM Co., Ltd.*      227,475  
36,500   MISC Berhad      59,812  
6,819   Pan Ocean Co., Ltd.      42,721  
18,700   Wan Hai Lines, Ltd.      133,275  
49,000   Yang Ming Marine Transport Corp.*      206,314  
    

 

 

 

       1,239,625  
    

 

 

 

Media (0.7%):   
2,304   Cheil Worldwide, Inc.      43,738  
Shares                             Value        
Common Stocks, continued   
Media, continued   
12,600   China Literature, Ltd.*^    $ 95,697  
9,928   Cyfrowy Polsat SA      88,996  
74,210   Grupo Televisa SAB      163,685  
8,200   Kuaishou Technology*^      86,717  
5,875   Megacable Holdings SAB de C.V.      17,963  
11,118   MultiChoice Group, Ltd.      84,201  
9,300   Nanji E-Commerce Co., Ltd., Class A      9,503  
6,815   Naspers, Ltd.      1,123,698  
    

 

 

 

       1,714,198  
    

 

 

 

Metals & Mining (4.0%):   
3,562   African Rainbow Minerals, Ltd.^      44,864  
77,337   Alrosa PAO      140,885  
116,000   Aluminum Corp. of China, Ltd.*      87,181  
271,200   Aneka Tambang Tbk      42,721  
1,698   Anglo American Platinum, Ltd.      147,039  
13,046   AngloGold Ashanti, Ltd.      207,659  
30,300   Baoshan Iron & Steel Co., Ltd., Class A      40,608  
7,358   Bradespar SA      70,635  
72,000   China Hongqiao Group, Ltd.      90,640  
58,500   China Molybdenum Co., Ltd., Class A      53,980  
87,000   China Molybdenum Co., Ltd., Class H      53,167  
7,200   China Northern Rare Earth Group High-Tech Co., Ltd., Class A      48,780  
350,000   China Steel Corp.      446,063  
6,579   Cia de Minas Buenaventura SA, ADR*      44,474  
22,695   Companhia Siderurgica Nacional SA (CSN)      119,750  
41,694   Eregli Demir ve Celik Fabrikalari T.A.S.      78,008  
2,000   Ganfeng Lithium Co., Ltd.      50,029  
7,800   Ganfeng Lithium Co., Ltd., Class H      135,028  
13,600   GEM Co., Ltd., Class A      23,270  
29,043   Gold Fields      236,689  
100,260   Grupo Mexico SAB de C.V., Series B, Class B      400,265  
17,328   Harmony Gold Mining Co., Ltd.      53,871  
54,379   Hindalco Industries, Ltd.      356,131  
3,115   Hyundai Steel Co.      122,228  
24,831   Impala Platinum Holdings, Ltd.^      277,980  
4,401   Industrias Penoles SAB de C.V.*      51,885  
88,300   Inner Mongolia Baotou Steel Union Co., Ltd.*      43,331  
34,000   Jiangxi Copper Co., Ltd.      60,053  
6,400   Jiangxi Copper Co., Ltd., Class A      23,755  
27,645   JSW Steel, Ltd.      245,281  
4,471   KGHM Polska Miedz SA      177,132  
289   Korea Zinc Co.      121,608  
1,769   Kumba Iron Ore, Ltd.      58,284  
235,200   Merdeka Copper Gold Tbk PT*      41,070  
2,016   MMC Norilsk Nickel PJSC      603,876  
76,000   MMG, Ltd.*      31,387  
11,807   Northam Platinum Holdings, Ltd.*      140,682  
42,350   Novolipetsk Steel PJSC      126,305  
10,301   Polymetal International plc      175,006  
1,026   Polyus PJSC      168,167  
2,303   POSCO      640,627  
92,000   Press Metal Aluminium Holdings Bhd      125,909  
13,029   Saudi Arabian Mining Co.*      290,402  
6,613   Severstal      138,158  
8,120   Shandong Gold Mining Co., Ltd.      24,685  
14,000   Shandong Gold Mining Co., Ltd., Class H      24,862  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Emerging Markets Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                             Value        
Common Stocks, continued   
Metals & Mining, continued   
39,100   Shandong Nanshan Aluminum Co., Ltd., Class A    $ 26,242  
6,600   Shenghe Resources Holding Co., Ltd., Class A      20,451  
88,870   Sibanye Stillwater, Ltd.      274,014  
2,541   Southern Copper Corp.      142,652  
19,645   Tata Steel, Ltd.      334,908  
32,700   Tongling Nonferrous Metals Group Co., Ltd., Class A      19,503  
123,199   Vale SA      1,725,044  
37,580   Vedanta, Ltd.      144,890  
5,040   Yintai Gold Co., Ltd.      6,584  
24,000   Zhaojin Mining Industry Co., Ltd., Class H      16,801  
2,600   Zhejiang Huayou Cobalt Co., Ltd., Class A      41,621  
4,500   Zhongjin Gold Corp., Ltd.      5,844  
190,000   Zijin Mining Group Co., Ltd.      227,986  
38,700   Zijin Mining Group Co., Ltd.      60,310  
    

 

 

 

       9,731,260  
    

 

 

 

Multiline Retail (0.3%):   
72,375   Central Retail Corp. pcl      71,374  
26,285   Lojas Renner SA      166,161  
218   Lotte Shopping Co., Ltd.      18,669  
95,749   Magazine Luiza SA      252,170  
22,077   S.A.C.I. Falabella      77,358  
193   Shinsegae Department Store Co.      42,754  
6,235   Trent, Ltd.      85,610  
30,415   Woolworths Holdings, Ltd.      119,523  
    

 

 

 

       833,619  
    

 

 

 

Multi-Utilities (0.0%):   
16,879   Qatar Electricity & Water Co.      78,417  
    

 

 

 

Oil, Gas & Consumable Fuels (5.9%):   
24,317   Bharat Pertoleum Corp., Ltd.      141,399  
13,320   China Merchants Energy Shipping Co., Ltd., Class A      11,348  
34,000   China Petroleum & Chemical Corp., Class A      23,248  
778,000   China Petroleum & Chemical Corp., Class H      382,916  
113,500   China Shenhua Energy Co., Ltd.      265,115  
10,100   China Shenhua Energy Co., Ltd.      35,354  
38,180   Coal India, Ltd.      94,441  
30,707   Cosan sa industria e Comercio      129,598  
8,500   COSCO SHIPPING Energy Transportation Co., Ltd., Class A      8,995  
143,502   Ecopetrol SA      103,101  
12,351   Empresas Copec SA      102,557  
52,200   Energy Absolute Public Co., Ltd.      94,331  
8,858   Exxaro Resources, Ltd.^      94,290  
38,000   Formosa Petrochemical Corp.      134,615  
364,525   Gazprom PJSC      1,806,313  
1,948   GS Holdings      73,108  
22,086   Hindustan Petroleum Corp., Ltd.      89,270  
49,568   Indian Oil Corp., Ltd.      82,612  
124,000   Kunlun Energy Co., Ltd.      128,895  
13,296   LUKOIL PJSC      1,261,917  
13,557   MOL Hungarian Oil And Gas plc      112,963  
2,828   Novatek PJSC, GDR      735,440  
87,680   Oil & Natural Gas Corp., Ltd.      169,929  
45,900   PetroChina Co., Ltd., Class A      42,436  
680,000   PetroChina Co., Ltd., Class H      318,318  
111,135   Petroleo Brasileiro SA      574,565  
153,771   Petroleo Brasileiro SA      769,010  
11,400   Petronas Dagangan Berhad      51,727  
21,431   Petronet LNG, Ltd.      68,459  
Shares                             Value        
Common Stocks, continued   
Oil, Gas & Consumable Fuels, continued   
8,883   Polski Koncern Naftowy Orlen SA    $ 183,290  
49,036   Polskie Gornictwo Naftowe i Gazownictwo SA      79,677  
639,600   PT Adaro Energy Tbk      78,284  
58,000   PT United Tractors Tbk      104,194  
46,600   PTT Exploration & Production pcl      161,112  
310,400   PTT pcl      356,587  
14,235   Qatar Fuel QSC      70,088  
46,623   Qatar Gas Transport Co., Ltd.      39,654  
7,029   Rabigh Refining & Petrochemical Co.*      52,372  
88,024   Reliance Industries, Ltd.      2,976,955  
37,929   Rosneft Oil Co. PJSC      319,803  
66,066   Saudi Arabian Oil Co.      634,162  
26,100   Shaanxi Coal Industry Co., Ltd.      59,718  
14,400   Shanxi Meijin Energy Co., Ltd., Class A*      23,624  
1,592   SK Innovation Co., Ltd.*      351,395  
1,367   S-Oil Corp.      125,581  
243,402   Surgutneftegas PJSC      122,648  
199,091   Surgutneftegas Prefernce      110,388  
43,241   Tatneft PJSC      312,669  
34,500   Thai Oil Public Co., Ltd.      53,008  
4,521   Tupras-Turkiye Petrol Rafine*      58,280  
21,910   Ultrapar Participacoes SA      59,313  
50,000   Yanzhou Coal Mining Co.      94,428  
1,194   YPF Sociedad Anonima, ADR*      5,564  
    

 

 

 

       14,339,064  
    

 

 

 

Paper & Forest Products (0.2%):   
33,569   Empresas CMPC SA      63,286  
43,000   Lee & Man Paper Manufacturing, Ltd.      31,583  
49,000   Nine Dragons Paper Holdings, Ltd.      59,918  
85,700   PT Indah Kiat Pulp & Paper Corp Tbk      51,229  
23,305   Suzano SA*      233,354  
    

 

 

 

       439,370  
    

 

 

 

Personal Products (0.6%):   
1,041   Amorepacific Corp.      155,326  
863   Amorepacific Group      35,357  
3,754   Colgate-Palmolive India, Ltd.      83,903  
16,996   Dabur India, Ltd.      141,201  
11,217   Godrej Consumer Products, Ltd.*      153,843  
22,000   Hengan International Group Co., Ltd.      117,835  
296   LG Household & Health Care, Ltd.      333,000  
60   LG Household & Health Care, Ltd.      32,465  
16,791   Marico, Ltd.      123,090  
29,667   Natura & Co. Holding SA*      248,292  
    

 

 

 

       1,424,312  
    

 

 

 

Pharmaceuticals (1.5%):   
12,537   Aspen Pharmacare Holdings, Ltd.      225,550  
500   Asymchem Laboratories Tianjin Co., Ltd., Class A      34,379  
8,967   Aurobindo Pharma, Ltd.      86,488  
900   Betta Pharmaceuticals Co., Ltd.      13,011  
2,400   CanSino Biologics, Inc., Class H*      84,533  
518   Celltrion Pharm, Inc.*      64,133  
800   Changchun High & New Technology Industry Group, Inc., Class A      33,925  
43,000   China Medical System Holdings, Ltd.      77,720  
286,000   China Pharmaceutical Enterprise & Investment Corp.      339,520  
80,500   China Resources Pharmaceutical      39,480  
100,000   China Traditional Chinese Medicine Holdings Co., Ltd.      50,327  
14,918   Cipla, Ltd.      197,713  
3,550   Dr Reddy’s Laboratories, Ltd.      233,521  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Emerging Markets Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                             Value        
Common Stocks, continued   
Pharmaceuticals, continued   
2,900   Guangzhou Baiyunshan Pharmaceutical Holdings Co., Ltd., Class A    $ 13,363  
182   Hanmi Pharm Co., Ltd.      42,134  
36,000   Hansoh Pharmaceutical Group Co., Ltd.      91,320  
2,402   Hutchison China MediTech, Ltd., ADR*      87,937  
10,611   Hypera SA      62,634  
2,134   Ipca Laboratories, Ltd.      69,429  
14,227   Jiangsu Hengrui Medicine Co., Ltd.      110,504  
7,523   Lupin, Ltd.      96,081  
2,704   Nanjing King-Friend Biochemical Pharmaceutical Co., Ltd.      15,033  
7,000   Oneness Biotech Co., Ltd.*      46,415  
3,371   Piramal Enterprises, Ltd.      116,674  
658,200   PT Kalbe Farma Tbk      65,371  
4,752   Richter Gedeon Nyrt      129,578  
3,300   Shanghai Fosun Pharmaceutical Group Co., Ltd.      26,721  
17,000   Shanghai Fosun Pharmaceutical Group Co., Ltd.      86,770  
6,720   Shijiazhuang Yiling Pharmaceutical Co., Ltd., Class A      17,263  
896   Shin Poong Pharmaceutical Co., Ltd.      43,189  
330,750   Sino Biopharmaceutical, Ltd.      275,683  
798   SK Biopharmaceuticals Co., Ltd.*      68,040  
30,000   SSY Group, Ltd.      16,017  
25,548   Sun Pharmaceutical Industries, Ltd.      279,982  
1,214   Torrent Pharmaceuticals, Ltd.      50,471  
1,588   Yuhan Corp.      81,987  
2,200   Yunnan Baiyao Group Co., Ltd.      33,232  
1,300   Zhangzhou Pientzehuang Pharmaceutical Co., Ltd.      76,117  
6,380   Zhejiang Huahai Pharmaceutical Co., Ltd.      17,419  
4,320   Zhejiang NHU Co., Ltd., Class A      17,858  
500   Zhejiang Wolwo Bio-Pharmaceutical Co., Ltd.      4,522  
    

 

 

 

       3,522,044  
    

 

 

 

Professional Services (0.0%):   
744   51job, Inc., ADR*      51,730  
    

 

 

 

Real Estate Management & Development (1.8%):   
50,000   Agile Group Holdings, Ltd.      46,557  
126,385   Aldar Properties PJSC      140,359  
238,800   Ayala Land, Inc.      155,904  
78,422   Barwa Real Estate Co.      67,652  
13,663   Cencosud Shopping SA      16,015  
72,200   Central Pattana pcl      112,850  
32,000   China Aoyuan Group, Ltd.      16,812  
60,000   China Everbright Environment Group, Ltd.^      22,564  
12,350   China Fortune Land Development Co., Ltd.*      7,620  
166,000   China Jinmao Holdings Group, Ltd.      59,516  
4,900   China Merchants Property Operation & Service Co., Ltd., Class A      11,824  
24,100   China Merchants Shekou Industrial Zone Holdings Co., Ltd., Class A      48,269  
115,500   China Overseas Land & Investment, Ltd.      262,620  
55,000   China Overseas Property Holdings, Ltd.      45,465  
100,000   China Resources Land, Ltd.      420,630  
9,400   China Resources Mixc Lifestyle Services, Ltd.      52,029  
Shares                             Value        
Common Stocks, continued   
Real Estate Management & Development, continued   
18,800   China Vanke Co., Ltd., Class A    $ 62,023  
50,600   China Vanke Co., Ltd., Class H      138,307  
20,000   CIFI Ever Sunshine Services Group, Ltd.      39,750  
108,000   CIFI Holdings Group Co., Ltd.      73,214  
231,000   Country Garden Holdings Co., Ltd.^      237,841  
14,300   Dar Al Arkan Real Estate Development Co.*      39,214  
17,411   DLF, Ltd.      96,443  
9,596   Emaar Economic City*      34,012  
115,979   Emaar Properties PJSC      128,688  
6,000   Future Land Holdings Co., Ltd.      34,628  
10,300   Gemdale Corp., Class A      17,859  
18,585   Greenland Holdings Corp., Ltd.      13,521  
22,000   Greentown China Holdings, Ltd.      33,087  
48,400   Guangzhou R&F Properties Co., Ltd., Class H      36,979  
20,000   Hopson Development Holdings, Ltd.      70,933  
12,500   Jinke Properties Group Co., Ltd., Class A      9,958  
58,000   Kaisa Group Holdings, Ltd.      15,711  
11,029   KE Holdings, Inc., ADR*      201,390  
51,000   KWG Group Holdings, Ltd.      49,641  
227,100   Land & Houses Public Co., Ltd.      53,002  
43,000   Logan Property Holdings Co., Ltd.      44,773  
56,000   Longfor Group Holdings, Ltd.      257,361  
14,252   Mabanee Co KPSC      36,442  
13,626   NEPI Rockcastle plc      94,649  
4,800   Poly Property Services Co., Ltd., Class H      28,534  
30,600   Poly Real Estate Group Co., Ltd., Class A      66,460  
41,000   Powerlong Real Estate Holdings, Ltd.      30,680  
39,984   Ruentex Development Co., Ltd.      81,453  
62,000   Seazen Group, Ltd.      49,405  
44,500   Shanghai Lujiazue      40,298  
156,000   Shenzhen Investment, Ltd.      39,159  
42,000   Shimao Property Holdings, Ltd.      76,635  
17,000   Shimao Services Holdings, Ltd.      34,908  
294,200   SM Prime Holdings, Inc.      188,712  
81,000   Sunac China Holdings, Ltd.      171,637  
18,000   Sunac Services Holdings, Ltd.      37,035  
43,000   The Wharf Holdings, Ltd.      142,401  
37,600   Yuexiu Property Co., Ltd.      35,272  
62,000   Zhenro Properties Group, Ltd.^      33,797  
    

 

 

 

       4,362,498  
    

 

 

 

Road & Rail (0.2%):   
93,700   Beijing-Shanghai High Speed Railway Co., Ltd., Class A      68,761  
303,300   BTS Group Holdings pcl      84,178  
235   CJ Logistics Corp.*      30,213  
7,427   Container Corp. of India, Ltd.      70,131  
3,174   DiDi Global, Inc., ADR*^      24,725  
19,840   Localiza Rent a Car SA      198,477  
36,591   Rumo SA*      112,833  
    

 

 

 

       589,318  
    

 

 

 

Semiconductors & Semiconductor Equipment (9.4%):

 

885   Advanced Micro-Fabrication Equipment, Inc., Class A*      20,792  
105,465   ASE Technology Holding Co., Ltd.      410,577  
1,000   ASMedia Technology, Inc.      58,590  
1,694   Daqo New Energy Corp., ADR*      96,558  
17,000   Flat Glass Group Co., Ltd., Class H      79,964  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Emerging Markets Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                             Value        
Common Stocks, continued   
Semiconductors & Semiconductor Equipment, continued

 

36,500   GCL System Integration Technology Co., Ltd.*    $ 23,158  
756   Gigadevice Semiconductor Beijing, Inc., Class A      16,827  
7,000   Globalwafers Co., Ltd.      197,754  
2,280   Hangzhou First Applied Material Co., Ltd., Class A      44,747  
2,000   Hangzhou Silan Microelectronics Co., Ltd., Class A      17,459  
14,000   Hua Hong Semiconductor, Ltd.*      72,442  
1,000   Ingenic Semiconductor Co., Ltd., Class A      19,627  
3,000   JA Solar Technology Co., Ltd., Class A      30,285  
5,300   JCET Group Co., Ltd., Class A      26,047  
10,920   Longi Green Energy Technology Co., Ltd.      138,692  
47,000   MediaTek, Inc.      1,515,101  
38,000   Nanya Technology Corp.      88,538  
4,972   National Silicon Industry Group Co., Ltd., Class A*      21,700  
18,000   Novatek Microelectronics Corp.      261,350  
4,000   Phison Electronics Corp.      53,580  
24,000   Powertech Technology, Inc.      88,766  
14,000   Realtek Semiconductor Corp.      246,743  
9,700   Sanan Optoelectronics Co., Ltd., Class A      47,584  
600   SG Micro Corp., Class A      30,736  
1,400   Shenzhen Goodix Technology Co., Ltd., Class A      23,851  
800   Shenzhen SC New Energy Technology Corp., Class A      17,014  
2,000   Silergy Corp.      293,732  
17,031   SK Hynix, Inc.      1,469,833  
762,000   Taiwan Semiconductor Manufacturing Co., Ltd.      15,714,646  
10,700   Tianjin Zhonghuan Semiconductor Co., Ltd.      76,184  
10,600   Tianshui Huatian Technology Co., Ltd., Class A      19,703  
400   Unigroup Guoxin Microelectronics Co., Ltd., Class A      12,754  
360,000   United Microelectronics Corp.      821,540  
28,000   Vanguard International Semiconductor Corp.      150,657  
1,900   Will Semiconductor, Ltd., Class A      70,968  
10,000   Win Semiconductors Corp.      110,275  
102,000   Winbond Electronics Corp.      95,020  
152,000   Xinyi Solar Holdings, Ltd.      309,498  
    

 

 

 

       22,793,292  
    

 

 

 

Software (0.6%):   
8,800   360 Security Technology, Inc., Class A*      16,113  
1,494   Agora, Inc., ADR*^      43,326  
476   Beijing Kingsoft Office Software, Inc., Class A      20,795  
1,400   Beijing Shiji Information Technology Co., Ltd., Class A      5,606  
900   China National Software & Service Co., Ltd., Class A      6,853  
480,000   China Youzan, Ltd.*      60,059  
515   Douzone Bizon Co., Ltd.      41,625  
1,226   Globant SA*      344,518  
2,730   Hundsun Technologies, Inc.      24,207  
4,600   Iflytek Co., Ltd.      37,307  
Shares                             Value        
Common Stocks, continued   
Software, continued   
84,000   Kingdee International Software Group Co., Ltd.*    $ 278,101  
28,000   Kingsoft Corp., Ltd.      110,389  
12,000   Ming Yuan Cloud Group Holdings, Ltd.      41,218  
3,633   OneConnect Financial Technology Co., Ltd., ADR*      14,895  
700   Sangfor Technologies, Inc., Class A      25,416  
4,420   Shanghai Baosight Software Co., Ltd.      44,777  
15,698   TOTVS SA      104,079  
51,000   Weimob, Inc.*^      72,751  
7,150   Yonyou Network Technology Co., Ltd.      36,668  
    

 

 

 

       1,328,703  
    

 

 

 

Specialty Retail (0.5%):   
69,603   Abu Dhabi National Oil Co. for Distribution PJSC      79,055  
18,000   China Meidong Auto Holdings, Ltd.      90,105  
2,316   FF Group*      27  
435,000   GOME Retail Holdings, Ltd.*      40,618  
225,000   Home Product Center Public Co., Ltd.      89,737  
9,000   Hotai Motor Co., Ltd.      188,506  
919   Hotel Shilla Co., Ltd.      66,711  
1,757   Jarir Marketing Co.      98,212  
3,482   Jumbo SA      56,623  
7,531   Mr Price Group, Ltd.      100,662  
27,899   Petrobras Distribuidora SA      120,360  
80,700   PTT Oil & Retail Business pcl, Class R      65,445  
17,100   Suning.com Co., Ltd., Class A      13,221  
45,000   Topsports International Holdings, Ltd.      50,783  
32,585   Via S/A*      46,140  
20,000   Zhongsheng Group Holdings, Ltd.      160,753  
    

 

 

 

       1,266,958  
    

 

 

 

Technology Hardware, Storage & Peripherals (5.1%):

 

111,000   Acer, Inc.      98,239  
11,616   Advantech Co., Ltd.      151,592  
23,000   Asustek Computer, Inc.      267,275  
80,300   BOE Technology Group Co., Ltd., Class A      62,764  
19,000   Catcher Technology Co., Ltd.      113,590  
2,600   China Greatwall Technology Group Co., Ltd., Class A      5,282  
139,000   Compal Electronics, Inc.      117,227  
37,199   Focus Media Information Technology Co., Ltd., Class A      41,931  
11,400   GRG Banking Equipment Co., Ltd., Class A      17,266  
3,156   Inspur Electronic Information Industry Co., Ltd., Class A      13,826  
70,000   Inventec Corp.      64,286  
226,000   Lenovo Group, Ltd.      242,446  
71,000   Lite-On Technology Corp.      158,703  
18,000   Micro-Star International Co., Ltd.      82,288  
5,000   Ninestar Corp.      28,739  
67,000   Pegatron Corp.      160,174  
80,000   Quanta Computer, Inc.      222,050  
147,878   Samsung Electronics Co., Ltd.      9,211,530  
6,100   Shenzhen Kaifa Technology Co., Ltd., Class A      13,228  
78,863   Wistron Corp.      77,690  
2,000   Wiwynn Corp.      62,178  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Emerging Markets Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                             Value        
Common Stocks, continued   
Technology Hardware, Storage & Peripherals, continued

 

449,800   Xiaomi Corp., Class B*    $ 1,224,076  
    

 

 

 

       12,436,380  
    

 

 

 

Textiles, Apparel & Luxury Goods (1.3%):   
7,360   Alpargatas SA*      71,371  
34,000   Anta Sports Products, Ltd.      637,098  
116,000   Bosideng International Holdings, Ltd.      81,892  
6,220   Eclat Textile Co., Ltd.      134,525  
15,000   Feng Tay Enterprise Co., Ltd.      114,633  
1,622   Fila Korea, Ltd.      58,043  
70,500   Li Ning Co., Ltd.      813,309  
32   LPP SA      118,009  
167   Page Industries, Ltd.      71,063  
83,000   Pou Chen Corp.      99,543  
25,700   Shenzhou International Group      537,205  
11,365   Titan Co., Ltd.      330,479  
    

 

 

 

       3,067,170  
    

 

 

 

Thrifts & Mortgage Finance (0.8%):   
52,687   Housing Development Finance Corp., Ltd.      1,928,206  
    

 

 

 

Tobacco (0.4%):   
43,949   Eastern Co. SAE      34,282  
84,526   ITC, Ltd.      267,163  
3,423   KT&G Corp.      233,769  
12,100   PT Gudang Garam Tbk      27,455  
13,906   RLX Technology, Inc., ADR*^      62,855  
52,000   Smoore International Holdings, Ltd.      241,706  
    

 

 

 

       867,230  
    

 

 

 

Trading Companies & Distributors (0.1%):   
8,010   Adani Enterprises, Ltd.      157,329  
7,500   BOC Aviation, Ltd.      62,340  
    

 

 

 

       219,669  
    

 

 

 

Transportation Infrastructure (0.6%):   
13,889   Adani Ports & Special Economic Zone, Ltd.      137,235  
127,300   Airports of Thailand Public Co., Ltd.      227,984  
291,400   Bangkok Expressway & Metro      75,195  
74,000   Beijing Capital International Airport Co., Ltd.*      43,610  
31,993   CCR SA      68,746  
47,228   China Merchants Port Holdings Co., Ltd.      80,698  
80,000   COSCO SHIPPING Ports, Ltd.      69,165  
6,907   Grupo Aeroportuario de Sur      129,111  
12,501   Grupo Aeroporturaio del Pacifico SAB de C.V.      145,373  
36,180   International Container Terminal Services, Inc.      138,256  
36,000   Jiangsu Expressway Co., Ltd., Series H, Class H      36,446  
28,300   Malaysia Airports Holdings Berhad*      46,611  
9,118   Promotora Y Operadora de Infraestructura SAB de CV      63,215  
3,000   Shanghai International Air*      20,521  
35,399   Shanghai International Port Group Co., Ltd.      33,121  
35,000   Shenzhen International Holdings, Ltd.      44,996  
54,000   Taiwan High Speed Rail Corp.      57,252  
33,400   Westports Holding Berhad      35,947  
42,000   Zhejiang Expressway Co., Ltd.      34,648  
    

 

 

 

       1,488,130  
    

 

 

 

Water Utilities (0.1%):   
186,000   Beijing Enterprises Water Group, Ltd.      73,015  
Shares                             Value        
Common Stocks, continued   
Water Utilities, continued   
10,225   Cia Saneamento Basico Do Estado de Sao Paulo    $ 72,431  
92,000   Guangdong Investment, Ltd.      119,908  
    

 

 

 

       265,354  
    

 

 

 

Wireless Telecommunication Services (1.6%):   
38,500   Advanced Info Service Public Co., Ltd.      222,811  
1,040,266   America Movil SAB de C.V., Series L      920,429  
91,800   Axiata Group Berhad      85,619  
77,093   Bharti Airtel, Ltd.*      706,827  
57,500   China United Network Communications, Ltd., Class A      36,498  
100,300   DIGI.com Berhad      106,379  
12,139   Etihad Etisalat Co.      100,957  
58,000   Far EasTone Telecommunications Co., Ltd.      127,972  
1,005   Globe Telecom, Inc.      58,779  
29,450   Intouch Holdings Public Co., Ltd.      70,212  
92,900   Maxis Berhad      104,025  
32,110   Mobile Telecommunications Co KSCP      63,870  
14,942   Mobile TeleSystems PJSC, ADR      144,041  
52,343   MTN Group, Ltd.*      491,546  
2,760   PLDT, Inc.      91,019  
241   SK Telecom Co., Ltd.      65,772  
49,000   Taiwan Mobile Co., Ltd.      173,942  
27,636   TIM SA      59,638  
40,565   Turkcell Iletisim Hizmetleri AS      69,996  
16,855   Vodacom Group, Ltd.      161,289  
    

 

 

 

       3,861,621  
    

 

 

 

Total Common Stocks (Cost $154,968,381)

     239,088,223  
    

 

 

 

Preferred Stocks (1.4%):   
Automobiles (0.1%):   
1,265   Hyundai Motor Co., 6/29/20      101,148  
    

 

 

 

Banks (0.6%):   
152,012   Banco Bradesco SA, 1/3/20      581,537  
147,576   Itau Unibanco Holding SA, 0.62%, 1/5/21      784,105  
    

 

 

 

       1,365,642  
    

 

 

 

Chemicals (0.0%):   
5,513   Braskem SA, Class A, 10/7/20*      60,082  
    

 

 

 

Electric Utilities (0.0%):   
33,600   Cia Paranaense de Energia, Class B, 7.24%      44,924  
    

 

 

 

Metals & Mining (0.1%):   
37,024   Gerdau SA, 3.91%, 3/6/20      184,273  
    

 

 

 

Technology Hardware, Storage & Peripherals (0.6%):

 

25,838   Samsung Electronics Co., Ltd., 3/30/20      1,513,642  
    

 

 

 

Total Preferred Stocks (Cost $2,855,484)

     3,269,711  
    

 

 

 

Contracts         Value
Warrants (0.0%):   
Road & Rail (0.0%):   
30,330   BTS Group Holdings pcl, 12/31/24*       
60,660   BTS Group Holdings pcl, 12/31/26*       
    

 

 

 

        
    

 

 

 

Total Warrants (Cost $–)

      
    

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Emerging Markets Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                             Value        
Rights (0.0%):   
Construction & Engineering (0.0%):   
30   Hyundai Engineering & Construction Co., Ltd., Expires on 10/25/21*    $  
    

 

 

 

Diversified Financial Services (0.0%):   
7,738   Fubon Financial Holdings Co., Ltd., Expires on 10/19/21*      4,944  
4,709   Fubon Financial Holdings Co., Ltd., Expires on 10/19/21*(a)       
    

 

 

 

       4,944  
    

 

 

 

Machinery (0.0%):   
185   AirTAC International Group, Expires on 10/11/21*      1,043  
4,890   Samsung Heavy Industries Co., Ltd., Expires on 11/1/21*      4,423  
    

 

 

 

       5,466  
    

 

 

 

Wireless Telecommunication Services (0.0%):   
5,506   Bharti Airtel, Ltd., Expires on 10/22/21*      11,372  
    

 

 

 

Total Rights (Cost $–)

     21,782  
    

 

 

 

Principal
Amount
        Value
Short-Term Security Held as Collateral for Securities on Loan (1.2%):

 

2,952,410   BlackRock Liquidity FedFund, Institutional Class , 0.03%(b)(c)      2,952,410  
    

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan (Cost $2,952,410)

     2,952,410  
    

 

 

 

Shares         Value
Unaffiliated Investment Company (0.3%):   
Money Markets (0.3%):   
786,852   Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(c)      786,852  
    

 

 

 

Total Unaffiliated Investment Company (Cost $786,852)

     786,852  
  

 

 

 

Total Investment Securities

(Cost $161,563,127) - 101.4%

     246,118,978  

Net other assets (liabilities) - (1.4)%

     (3,350,733
    

 

 

 

Net Assets - 100.0%

     $ 242,768,245  
  

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

ADR   -   American Depository Receipt
GDR   -   Global Depositary Receipt

 

*

Non-income producing security.

^

This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities on loan as of September 30, 2021 was $2,834,270.

Represents less than 0.05%.

(a)

Security was valued using unobservable inputs in good faith pursuant to procedures approved by the Board of Trustees as of September 30, 2021. The total of all such securities represent 0.00% of the net assets of the fund.

(b)

Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.

(c)

The rate represents the effective yield at September 30, 2021.

 

 

Amounts shown as “—” are either $0 or rounds to less than $1.

The following represents the concentrations by country of risk (based on the domicile of the security issuer) relative to the total value of investments as of September 30, 2021:

(Unaudited)

 

Country

   Percentage  

Argentina

      —%        

Bermuda

     0.1%        

Brazil

     4.4%        

Cayman Islands

     0.8%        

Chile

     0.4%        

China

     29.6%        

Colombia

     0.2%        

Cyprus

     0.2%        

Czech Republic

     0.1%        

Egypt

     0.1%        

Greece

     0.2%        

Hong Kong

     2.9%        

Hungary

     0.3%        

India

     12.0%        

Indonesia

     1.3%        

Korea, Republic Of

     0.1%        

Kuwait

     0.6%        

Luxembourg

     0.2%        

Malaysia

     1.3%        

Mexico

     1.9%        

Pakistan

      —%        

Peru

      —%        

Philippines

     0.7%        

Poland

     0.7%        

Qatar

     0.8%        

Republic of Korea (South)

     12.2%        

Romania

      —%        

Russian Federation

     3.7%        

Saudi Arabia

     3.3%        

Singapore

      —%        

South Africa

     3.1%        

Switzerland

     0.1%        

Taiwan, Province Of China

     14.1%        

Thailand

     1.6%        

Turkey

     0.3%        

United Arab Emirates

     0.8%        

United States

     1.9%        
  

 

 

 
           100.0%        
  

 

 

 

 

Represents less than 0.05%.

 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Emerging Markets Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Futures Contracts

At September 30, 2021, the Fund’s open futures contracts were as follows:

Long Futures

 

Description    Expiration
Date
     Number of
Contracts
     Notional
    Amount    
     Value and
Unrealized
Appreciation/
    (Depreciation)    
 

Mini MSCI Emerging Markets Index December Futures (U.S. Dollar)

     12/17/21        31      $ 1,930,680      $ (63,198)      
           

 

 

 
            $ (63,198)      
           

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Global Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks (99.4%):   
Aerospace & Defense (1.4%):   
5,034   Airbus SE*    $ 660,853  
27,636   BAE Systems plc      208,854  
4,883   Boeing Co. (The)*      1,073,967  
2,614   CAE, Inc.*      78,106  
50   Dassault Aviation SA      5,609  
169   Elbit Systems, Ltd.      24,532  
2,113   General Dynamics Corp.      414,211  
407   HEICO Corp.      53,671  
674   HEICO Corp., Class A      79,822  
3,607   Howmet Aerospace, Inc.      112,538  
373   Huntington Ingalls Industries, Inc.      72,011  
1,827   L3harris Technologies, Inc.      402,379  
2,184   Lockheed Martin Corp.      753,698  
493   MTU Aero Engines AG      111,459  
1,317   Northrop Grumman Corp.      474,318  
13,098   Raytheon Technologies Corp.      1,125,904  
61,901   Rolls-Royce Holdings plc*      116,439  
2,945   Safran SA      369,196  
16,600   Singapore Technologies Engineering, Ltd.      46,390  
429   Teledyne Technologies, Inc.*      184,290  
2,091   Textron, Inc.      145,973  
986   Thales SA      95,208  
456   TransDigm Group, Inc.*      284,804  
    

 

 

 

           6,894,232  
    

 

 

 

Air Freight & Logistics (0.5%):   
8,533   Bollore, Inc.      49,335  
1,237   C.H. Robinson Worldwide, Inc.      107,619  
8,402   Deutsche Post AG      529,479  
1,360   Expeditors International of Washington, Inc.      162,017  
2,173   FedEx Corp.      476,517  
1,389   InPost SA*      22,909  
3,000   SG Holdings Co., Ltd.      85,317  
6,296   United Parcel Service, Inc., Class B      1,146,502  
2,800   Yamato Holdings Co., Ltd.      70,995  
    

 

 

 

       2,650,690  
    

 

 

 

Airlines (0.1%):   
990   Air Canada*      18,082  
1,000   ANA Holdings, Inc.*      25,966  
1,475   Delta Air Lines, Inc.*      62,850  
1,206   Deutsche Lufthansa AG, Registered Shares*^      8,297  
1,000   Japan Airlines Co., Ltd.*      23,807  
5,489   Qantas Airways, Ltd.*      22,431  
14,350   Singapore Airlines, Ltd.*      52,499  
1,365   Southwest Airlines Co.*      70,202  
    

 

 

 

       284,134  
    

 

 

 

Auto Components (0.4%):   
1,500   Aisin Sieki Co., Ltd.      54,523  
2,337   Aptiv plc*      348,143  
767   Autoliv, Inc.      65,747  
2,209   BorgWarner, Inc.      95,451  
4,700   Bridgestone Corp.      222,934  
1,566   Compagnie Generale des Establissements Michelin SCA, Class B      240,304  
819   Continental AG*      89,776  
4,000   Denso Corp.      262,258  
886   Faurecia SA      41,286  
198   Faurecia SE      9,396  
1,000   Koito Manufacturing Co., Ltd.      60,137  
556   Lear Corp.      87,003  
2,325   Magna Internationl, Inc.      174,999  
600   Stanley Electric Co., Ltd.      15,126  
7,000   Sumitomo Electric Industries, Ltd.      93,393  
Shares                 Value        
Common Stocks, continued   
Auto Components, continued   
1,100   Toyota Industries Corp.    $ 90,384  
2,122   Valeo SA      59,209  
203   Vitesco Technologies Group AG*      12,015  
13,000   Xinyi Glass Holdings, Ltd.      38,618  
    

 

 

 

       2,060,702  
    

 

 

 

Automobiles (2.2%):   
2,931   Bayerische Motoren Werke AG (BMW)      281,292  
7,420   Daimler AG, Registered Shares      659,517  
1,045   Ferrari NV      218,733  
34,220   Ford Motor Co.*      484,555  
11,519   General Motors Co.*      607,167  
14,200   Honda Motor Co., Ltd.      437,992  
5,100   Isuzu Motors, Ltd.      67,013  
5,800   Mazda Motor Corp.*      50,514  
21,500   Nissan Motor Co., Ltd.*      107,840  
1,777   Renault SA*      63,379  
6,079   Stellantis NV      116,295  
11,280   Stellantis NV      215,363  
5,700   Subaru Corp.      105,866  
3,400   Suzuki Motor Corp.^      151,570  
7,103   Tesla, Inc.*      5,508,234  
92,000   Toyota Motor Corp.^      1,645,937  
300   Volkswagen AG      93,132  
2,600   Yamaha Motor Co., Ltd.      72,406  
    

 

 

 

         10,886,805  
    

 

 

 

Banks (6.1%):   
4,057   ABN AMRO Group NV*      58,367  
24,279   Australia & New Zealand Banking Group, Ltd.      489,726  
59,380   Banco Bilbao Vizcaya Argentaria SA      391,650  
153,185   Banco Santander SA      554,780  
10,495   Bank Hapoalim BM      92,186  
13,428   Bank Leumi Le-Israel Corp.      114,042  
66,961   Bank of America Corp.      2,842,494  
5,714   Bank of Montreal      570,543  
10,350   Bank of Nova Scotia      637,149  
225   Banque Cantonale Vaudois, Registered Shares      17,114  
150,012   Barclays plc      382,532  
9,547   BNP Paribas SA      611,457  
34,000   BOC Hong Kong Holdings, Ltd.      101,862  
41,086   CaixaBank SA      127,386  
3,907   Canadian Imperial Bank of Commerce^      435,002  
2,800   Chiba Bank, Ltd. (The)      18,031  
18,104   Citigroup, Inc.      1,270,539  
3,929   Citizens Financial Group, Inc.      184,584  
9,260   Commerzbank AG*      61,671  
15,318   Commonwealth Bank of Australia      1,141,252  
8,400   Concordia Financial Group, Ltd.      33,147  
8,923   Credit Agricole SA      123,094  
6,375   Danske Bank A/S      107,483  
16,600   DBS Group Holdings, Ltd.      368,700  
8,598   DNB Bank ASA*      195,277  
2,582   Erste Group Bank AG      112,746  
5,892   Fifth Third Bancorp      250,056  
5,399   Finecobank Banca Fineco SpA*      97,831  
1,478   First Republic Bank      285,077  
7,100   Hang Seng Bank, Ltd.      121,177  
178,743   HSBC Holdings plc      934,960  
11,934   Huntington Bancshares, Inc.      184,500  
32,983   ING Groep NV      478,658  
143,365   Intesa Sanpaolo SpA      406,675  
7,605   Isreal Discount Bank*      40,173  
1,600   Japan Post Bank Co., Ltd.      13,695  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Global Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued   
Banks, continued   
26,295   JPMorgan Chase & Co.    $ 4,304,229  
1,998   KBC Group NV      179,348  
8,954   KeyCorp      193,585  
613,623   Lloyds Banking Group plc      381,648  
1,189   M&T Bank Corp.      177,565  
5,740   Mediobanca SpA*      69,329  
107,900   Mitsubishi UFJ Financial Group, Inc.^      630,053  
1,433   Mizrahi Tefahot Bank, Ltd.      48,271  
22,250   Mizuho Financial Group, Inc.      313,277  
29,123   National Australia Bank, Ltd.      580,309  
2,763   National Bank of Canada      212,243  
45,008   Natwest Group plc      136,554  
27,694   Nordea Bank AB      355,554  
31,000   Oversea-Chinese Banking Corp., Ltd.      259,571  
3,637   PNC Financial Services Group, Inc. (The)      711,543  
1,417   Raiffeisen International Bank-Holding AG      36,858  
8,879   Regions Financial Corp.      189,212  
19,700   Resona Holdings, Inc.      78,418  
12,233   Royal Bank of Canada      1,217,408  
4,800   Shizuoka Bank, Ltd. (The)^      39,495  
13,057   Skandinaviska Enskilda Banken AB, Class A      184,044  
6,651   Societe Generale      208,794  
20,594   Standard Chartered plc      120,675  
11,600   Sumitomo Mitsui Financial Group, Inc.      405,885  
3,100   Sumitomo Mitsui Trust Holdings, Inc.      106,182  
480   SVB Financial Group*      310,502  
13,481   Svenska Handelsbanken AB, Class A      151,283  
7,027   Swedbank AB, Class A      142,191  
15,952   Toronto-Dominion Bank (The)      1,056,203  
11,504   Truist Financial Corp.      674,710  
12,260   U.S. Bancorp      728,734  
17,483   Unicredit SpA      231,227  
10,804   United Overseas Bank, Ltd.      204,389  
36,129   Wells Fargo & Co.      1,676,747  
32,433   Westpac Banking Corp.      602,978  
    

 

 

 

         30,774,630  
    

 

 

 

Beverages (1.5%):   
6,437   Anheuser-Busch InBev NV      363,502  
4,200   Asahi Breweries, Ltd.      203,484  
84   Boston Beer Co., Inc. (The), Class A*      42,819  
2,493   Brown-Forman Corp., Class B      167,056  
18,500   Budweiser Brewing Co. APAC, Ltd.      46,567  
797   Carlsberg A/S, Class B      129,674  
35,659   Coca-Cola Co. (The)      1,871,028  
810   Coca-Cola Europacific Partners plc      44,785  
1,082   Coca-Cola European Partners plc      59,256  
1,975   Coca-Cola HBC AG      63,471  
1,446   Constellation Brands, Inc., Class C      304,658  
4,937   David Campari-Milano NV      69,489  
20,210   Diageo plc      973,635  
1,065   Heineken Holding NV      92,568  
2,168   Heineken NV      225,340  
400   ITO EN, Ltd.      26,566  
5,741   Keurig Dr Pepper, Inc.      196,113  
7,600   Kirin Holdings Co., Ltd.      141,181  
1,759   Molson Coors Brewing Co., Class B      81,582  
3,386   Monster Beverage Corp.*      300,778  
11,963   PepsiCo, Inc.      1,799,355  
1,814   Pernod Ricard SA      396,646  
236   Remy Cointreau SA^      45,735  
800   Suntory Beverage & Food, Ltd.      33,238  
Shares                 Value        
Common Stocks, continued   
Beverages, continued   
6,668   Treasury Wine Estates, Ltd.    $ 59,266  
    

 

 

 

       7,737,792  
    

 

 

 

Biotechnology (1.6%):   
15,246   AbbVie, Inc.      1,644,586  
1,081   Alnylam Pharmaceuticals, Inc.*      204,104  
4,991   Amgen, Inc.      1,061,336  
424   Argenx SE*      127,945  
1,327   Biogen, Inc.*      375,528  
1,680   BioMarin Pharmaceutical, Inc.*      129,847  
3,940   CSL, Ltd.      830,684  
1,563   Exact Sciences Corp.*      149,188  
606   Genmab A/S*      264,797  
10,854   Gilead Sciences, Inc.      758,152  
2,757   Grifols SA      67,215  
1,727   Incyte Corp.*      118,783  
2,959   Moderna, Inc.*      1,138,801  
868   Neurocrine Biosciences, Inc.*      83,250  
649   Novavax, Inc.*      134,544  
700   Peptidream, Inc.*      22,792  
903   Regeneron Pharmaceuticals, Inc.*      546,478  
1,099   Seagen, Inc.*      186,610  
2,269   Vertex Pharmaceuticals, Inc.*      411,574  
    

 

 

 

           8,256,214  
    

 

 

 

Building Products (0.7%):   
1,255   A.O. Smith Corp.      76,643  
1,800   AGC, Inc.      92,140  
839   Allegion plc      110,899  
8,764   ASSA Abloy AB, Class B      254,210  
7,151   Carrier Global Corp.      370,136  
4,443   Compagnie de Saint-Gobain SA      299,206  
2,100   Daikin Industries, Ltd.      451,747  
1,282   Fortune Brands Home & Security, Inc.      114,636  
342   Geberit AG, Registered Shares      251,329  
6,285   Johnson Controls International plc      427,883  
1,427   Kingspan Group plc      141,136  
314   Lennox International, Inc.      92,369  
2,500   Lixil Corp.      72,657  
1,920   Masco Corp.      106,656  
11,325   Nibe Industrier AB, Class B      142,305  
970   Owens Corning      82,935  
52   ROCKWOOL International A/S, Class B      22,238  
1,300   TOTO, Ltd.      61,774  
2,067   Trane Technologies plc      356,868  
    

 

 

 

       3,527,767  
    

 

 

 

Capital Markets (3.1%):   
8,994   3i Group plc      154,898  
980   Ameriprise Financial, Inc.      258,838  
375   Amundi SA      31,618  
1,608   Apollo Global Management, Inc.      99,037  
1,789   ASX, Ltd.      104,485  
7,216   Bank of New York Mellon Corp. (The)      374,077  
1,321   BlackRock, Inc., Class A+      1,107,870  
5,856   Blackstone Group, Inc. (The), Class A      681,287  
11,391   Brookfield Asset Management, Inc., Class A      610,476  
1,473   Carlyle Group, Inc. (The)      69,643  
867   Cboe Global Markets, Inc.      107,387  
12,588   Charles Schwab Corp. (The)      916,910  
3,073   CME Group, Inc.      594,257  
22,580   Credit Suisse Group AG      223,912  
13,400   Daiwa Securities Group, Inc.^      78,284  
17,000   Deutsche Bank AG, Registered Shares*      218,001  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Global Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued   
Capital Markets, continued   
1,756   Deutsche Boerse AG    $ 285,816  
2,202   EQT AB      90,734  
351   FactSet Research Systems, Inc.      138,568  
2,803   Franklin Resources, Inc.      83,305  
469   Futu Holdings, Ltd., ADR*^      42,688  
2,943   Goldman Sachs Group, Inc. (The)          1,112,542  
3,288   Hargreaves Lansdown plc      63,114  
9,700   Hong Kong Exchanges & Clearing, Ltd.      588,792  
217   IGM Financial, Inc.      7,754  
4,969   Intercontinental Exchange, Inc.      570,541  
2,555   Invesco, Ltd.      61,601  
4,700   Japan Exchange Group, Inc.      116,660  
2,069   Julius Baer Group, Ltd.      136,869  
4,391   KKR & Co., Inc., Class A      267,324  
3,001   London Stock Exchange Group plc      299,778  
2,952   Macquarie Group, Ltd.      387,230  
1,274   Magellan Financial Group, Ltd.      32,463  
351   MarketAxess Holdings, Inc.      147,662  
1,486   Moody’s Corp.      527,693  
12,235   Morgan Stanley      1,190,588  
720   MSCI, Inc., Class A      438,005  
931   Nasdaq, Inc.      179,702  
28,400   Nomura Holdings, Inc.^      139,610  
1,595   Northern Trust Corp.      171,957  
194   Partners Group Holding AG      302,050  
1,719   Raymond James Financial, Inc.      158,629  
2,070   S&P Global, Inc.      879,522  
2,400   SBI Holdings, Inc.      59,221  
1,149   Schroders plc      55,176  
1,127   SEI Investments Co.      66,831  
3,200   Singapore Exchange, Ltd.      23,421  
4,974   St. James Place plc      100,753  
2,961   State Street Corp.      250,856  
1,983   T. Rowe Price Group, Inc.      390,056  
521   TMX Group, Ltd.      56,193  
940   Tradeweb Markets, Inc., Class A      75,933  
32,863   UBS Group AG      525,235  
    

 

 

 

       15,655,852  
    

 

 

 

Chemicals (2.2%):   
4,142   Air Liquide SA      662,663  
1,951   Air Products & Chemicals, Inc.      499,671  
1,542   Akzo Nobel NV      167,888  
959   Albemarle Corp.      209,992  
577   Arkema SA      76,317  
11,600   Asahi Kasei Corp.      123,832  
7,817   BASF SE      595,521  
1,055   Celanese Corp.      158,925  
1,978   CF Industries Holdings, Inc.      110,412  
801   Christian Hansen Holding A/S      65,424  
2,080   Clariant AG      38,977  
6,268   Corteva, Inc.      263,757  
1,786   Covestro AG      122,649  
1,289   Croda International plc      147,176  
6,626   Dow, Inc.      381,393  
4,612   DuPont de Nemours, Inc.      313,570  
1,256   Eastman Chemical Co.      126,529  
2,251   Ecolab, Inc.      469,604  
62   EMS-Chemie Holding AG      58,366  
1,938   Evonik Industries AG      61,375  
1,196   FMC Corp.      109,506  
311   FUCHS PETROLUB SE      14,548  
79   Givaudan SA, Registered Shares      360,876  
6,835   ICL Group, Ltd.      49,742  
2,123   International Flavors & Fragrances, Inc.      283,888  
Shares                 Value        
Common Stocks, continued   
Chemicals, continued   
1,789   Johnson Matthey plc    $ 64,516  
1,900   JSR Corp.      68,882  
1,300   Kansai Paint Co., Ltd.      32,328  
1,593   Koninklijke DSM NV      318,365  
803   Lanxess AG      54,597  
4,487   Linde plc      1,316,396  
2,197   LyondellBasell Industries NV, Class A      206,188  
11,800   Mitsubishi Chemical Holdings Corp.      107,838  
700   Mitsubishi Gas Chemical Co., Inc.      13,826  
1,700   Mitsui Chemicals, Inc.      57,085  
3,329   Mosaic Co. (The)      118,912  
6,600   Nippon Paint Holdings Co., Ltd.      71,806  
1,100   Nippon Sanso Holdings Corp.      27,686  
800   Nissan Chemical Corp.      46,701  
1,000   Nitto Denko Corp.      71,271  
1,580   Novozymes A/S, Class B      108,190  
4,831   Nutrien, Ltd.      313,611  
2,876   Orica, Ltd.      28,341  
2,005   PPG Industries, Inc.      286,735  
1,202   RPM International, Inc.      93,335  
2,176   Sherwin Williams Co.      608,692  
3,100   Shin-Etsu Chemical Co., Ltd.      522,931  
1,234   Sika AG      390,371  
685   Solvay SA      85,226  
13,800   Sumitomo Chemical Co., Ltd.^      71,997  
1,189   Symrise AG      156,835  
12,800   Toray Industries, Inc.      81,759  
2,700   Tosoh Corp.^      49,001  
1,822   Umicore SA      107,954  
1,611   Yara International ASA      79,765  
    

 

 

 

         11,033,741  
    

 

 

 

Commercial Services & Supplies (0.5%):

 

10,643   Brambles, Ltd.      82,763  
806   Cintas Corp.      306,812  
1,784   Copart, Inc.*      247,476  
1,800   Dai Nippon Printing Co., Ltd.      43,598  
2,279   Edenred      122,733  
1,558   GFL Environmental, Inc.      57,933  
17,139   Rentokil Initial plc      134,256  
1,839   Republic Services, Inc., Class A      220,790  
1,016   Ritchie Bros Auctioneers, Inc.      62,706  
2,075   Rollins, Inc.      73,310  
1,900   SECOM Co., Ltd.      137,890  
3,081   Securitas AB, Class B      48,881  
300   Sohgo Security Services Co., Ltd.      13,547  
2,800   TOPPAN, INC.      47,628  
2,218   Waste Connections, Inc.      279,313  
3,728   Waste Management, Inc.      556,814  
    

 

 

 

       2,436,450  
    

 

 

 

Communications Equipment (0.6%):

 

529   Arista Networks, Inc.*      181,785  
36,561   Cisco Systems, Inc.      1,990,015  
438   F5 Networks, Inc.*      87,066  
3,033   Juniper Networks, Inc.      83,468  
1,443   Motorola Solutions, Inc.      335,238  
46,779   Nokia OYJ*      257,317  
26,977   Telefonaktiebolaget LM Ericsson, Class B      305,019  
    

 

 

 

       3,239,908  
    

 

 

 

Construction & Engineering (0.3%):   
2,330   ACS Actividades de Construccion y Servicios SA^      62,463  
2,111   Bouygues SA      87,106  
770   Eiffage SA      77,669  
3,552   Ferrovial SA      103,003  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Global Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued   
Construction & Engineering, continued

 

1,202   Jacobs Engineering Group, Inc.    $ 159,301  
4,400   Kajima Corp.^      56,708  
4,900   Obayashi Corp.      40,692  
5,900   Shimizu Corp.^      44,471  
3,144   Skanska AB, Class B      78,830  
1,900   Taisei Corp.      61,184  
4,666   Vinci SA      483,259  
1,051   WSP Global, Inc.      125,864  
    

 

 

 

       1,380,550  
    

 

 

 

Construction Materials (0.2%):   
7,083   CRH plc      330,350  
1,375   HeidelbergCement AG      103,110  
4,635   Holcim, Ltd.      223,028  
4,105   James Hardie Industries SE      147,211  
503   Martin Marietta Materials, Inc.      171,865  
1,084   Vulcan Materials Co.      183,370  
    

 

 

 

           1,158,934  
    

 

 

 

Consumer Finance (0.5%):   
1,300   ACOM Co., Ltd.^      4,770  
3,145   Ally Financial, Inc.      160,552  
6,010   American Express Co.      1,006,855  
3,988   Capital One Financial Corp.      645,936  
2,628   Discover Financial Services      322,850  
1   Isracard, Ltd.      3  
4,815   Synchrony Financial      235,357  
    

 

 

 

       2,376,323  
    

 

 

 

Containers & Packaging (0.3%):   
12,355   Amcor plc      143,194  
768   Avery Dennison Corp.      159,137  
2,818   Ball Corp.      253,536  
1,393   CCL Industries, Inc.      72,158  
1,246   Crown Holdings, Inc.      125,572  
3,294   International Paper Co.      184,201  
876   Packaging Corp. of America      120,397  
1,432   Sealed Air Corp.      78,459  
1,807   Smurfit Kappa Group plc      94,714  
2,436   WestRock Co.      121,386  
    

 

 

 

       1,352,754  
    

 

 

 

Distributors (0.1%):   
1,335   Genuine Parts Co.      161,842  
2,156   LKQ Corp.*      108,490  
372   Pool Corp.      161,601  
    

 

 

 

       431,933  
    

 

 

 

Diversified Financial Services (0.9%):   
11,529   Berkshire Hathaway, Inc., Class B*      3,146,725  
3,622   Equitable Holdings, Inc.      107,356  
414   Eurazeo Se      38,903  
1,002   EXOR NV      84,424  
1,044   Groupe Bruxelles Lambert SA      114,761  
678   Industrivarden AB, Class A      21,618  
1,476   Industrivarden AB, Class C      45,491  
15,738   Investor AB, Class B*      337,105  
2,236   Kinnevik AB, Class B*      78,868  
418   L E Lundbergforetagen AB      22,836  
24,030   M&G plc      65,756  
4,100   Mitsubishi HC Capital, Inc.      21,549  
755   Onex Corp.      53,382  
9,900   ORIX Corp.      185,036  
142   Sofina SA      56,326  
20,261   Standard Life Aberdeen plc      69,550  
200   Tokyo Century Corp.      11,290  
1,180   Voya Financial, Inc.      72,440  
122   Wendel      16,915  
    

 

 

 

       4,550,331  
    

 

 

 

Shares                 Value        
Common Stocks, continued   
Diversified Telecommunication Services (1.3%):

 

62,118   AT&T, Inc.    $ 1,677,807  
692   BCE, Inc.      34,671  
70,769   BT Group plc*      151,967  
4,709   Cellnex Telecom SAU      290,234  
28,310   Deutsche Telekom AG, Registered Shares      570,716  
1,315   Elisa OYJ      81,634  
36,000   HKT Trust & HKT, Ltd.      49,236  
2,027   Infrastrutture Wireless Italiane SpA      22,601  
31,076   Koninklijke KPN NV      97,444  
8,617   Lumen Technologies, Inc.      106,765  
11,900   Nippon Telegraph & Telephone Corp.      329,021  
16,116   Orange SA      174,567  
1,048   Proximus SADP      20,717  
76,300   Singapore Telecommunications, Ltd.      137,698  
17,116   Spark New Zealand, Ltd.      56,410  
239   Swisscom AG, Registered Shares      137,253  
92,093   Telecom Italia SpA      36,085  
48,285   Telecom Italia SpA      19,519  
3,372   Telefonica Deutschland Holding AG      9,597  
42,934   Telefonica SA      200,088  
6,467   Telenor ASA      108,664  
24,569   Telia Co AB      101,342  
38,473   Telstra Corp., Ltd.      108,414  
3,956   TELUS Corp.      86,967  
476   United Internet AG, Registered Shares      18,520  
36,045   Verizon Communications, Inc.      1,946,790  
    

 

 

 

           6,574,727  
    

 

 

 

Electric Utilities (1.6%):   
2,033   Alliant Energy Corp.      113,807  
4,294   American Electric Power Co., Inc.      348,587  
6,381   AusNet Services      11,668  
6,000   Chubu Electric Power Co., Inc.      71,182  
7,000   CK Infrastructure Holdings, Ltd.      38,893  
15,000   CLP Holdings, Ltd.      144,280  
6,574   Duke Energy Corp.      641,557  
3,058   Edison International      169,627  
25,657   EDP - Energias de Portugal SA      134,571  
4,298   Electricite de France      53,967  
226   Elia Group SA/NV      26,990  
2,325   Emera, Inc.      105,308  
3,072   Endesa SA      61,949  
72,336   Enel SpA      555,290  
1,617   Entergy Corp.      160,584  
2,096   Evergy, Inc.      130,371  
2,881   Eversource Energy      235,551  
8,456   Exelon Corp.      408,763  
5,021   FirstEnergy Corp.      178,848  
4,314   Fortis, Inc.      191,412  
4,105   Fortum OYJ      124,825  
33,000   HK Electric Investments, Ltd.      32,762  
3,038   Hydro One, Ltd.      71,824  
52,491   Iberdrola SA      524,188  
6,500   Kansai Electric Power Co., Inc. (The)      63,088  
4,873   Mercury NZ, Ltd.      21,790  
17,118   NextEra Energy, Inc.      1,344,105  
1,748   Orsted A/S      230,672  
13,758   PG&E Corp.*      132,077  
1,042   Pinnacle West Capital Corp.      75,399  
13,000   Power Assets Holdings, Ltd.      76,190  
6,216   PPL Corp.      173,302  
1,850   Red Electrica Corp SA      36,974  
8,440   Scottish & Southern Energy plc      177,201  
3,694   Siemens Energy AG*      99,253  
9,341   Southern Co. (The)      578,862  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Global Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued   
Electric Utilities, continued   
13,004   Terna SpA    $ 92,223  
1,600   Tohoku Electric Power Co., Inc.^      11,790  
14,900   Tokyo Electric Power Co. Holdings, Inc.*      42,740  
453   Verbund AG, Class A      45,754  
4,585   Xcel Energy, Inc.      286,562  
    

 

 

 

           8,024,786  
    

 

 

 

Electrical Equipment (1.0%):   
15,284   ABB, Ltd.      509,530  
1,931   AMETEK, Inc.      239,463  
1,327   Ballard Power Systems, Inc.*      18,631  
3,405   Eaton Corp. plc      508,401  
5,309   Emerson Electric Co.      500,108  
1,133   Enphase Energy, Inc.*      169,916  
1,200   Fuji Electric Co., Ltd.      54,687  
515   Generac Holdings, Inc.*      210,465  
2,472   Legrand SA      265,096  
14,900   Mitsubishi Electric Corp.      207,263  
3,800   Nidec Corp.      421,611  
4,644   Plug Power, Inc.*      118,608  
2,354   Prysmian SpA      82,569  
990   Rockwell Automation, Inc.      291,100  
4,665   Schneider Electric SA      775,502  
1,457   Sensata Technologies Holding plc*      79,727  
2,219   Siemens Gamesa Renewable Energy      56,082  
1,592   Sunrun, Inc.*      70,048  
8,613   Vestas Wind Systems A/S      344,894  
    

 

 

 

       4,923,701  
    

 

 

 

Electronic Equipment, Instruments & Components (1.1%):

 

5,186   Amphenol Corp., Class A      379,771  
690   Arrow Electronics, Inc.*      77,480  
800   Azbil Corp.      34,391  
1,229   CDW Corp.      223,703  
1,627   Cognex Corp.      130,518  
7,102   Corning, Inc.      259,152  
3,509   Halma plc      133,834  
1,300   Hamamatsu Photonics KK      80,655  
18,208   Hexagon AB, Class B      280,658  
205   Hirose Electric Co., Ltd.      34,142  
8,400   Hitachi, Ltd.      498,135  
600   Ibiden Co., Ltd.      33,173  
346   IPG Photonics Corp.*      54,806  
1,600   Keyence Corp.      958,825  
1,567   Keysight Technologies, Inc.*      257,442  
2,500   Kyocera Corp.      156,308  
5,000   Murata Manufacturing Co., Ltd.      445,134  
1,700   Omron Corp.      168,522  
2,200   Shimadzu Corp.      96,651  
3,600   TDK Corp.      130,076  
2,883   TE Connectivity, Ltd.      395,605  
2,027   Trimble, Inc.*      166,721  
1,300   Venture Corp., Ltd.      17,136  
2,200   Yaskawa Electric Corp.      105,845  
1,000   Yokogawa Electric Corp.      17,488  
463   Zebra Technologies Corp., Class A*      238,639  
    

 

 

 

       5,374,810  
    

 

 

 

Energy Equipment & Services (0.1%):   
6,737   Baker Hughes Co.      166,606  
8,213   Halliburton Co.      177,565  
11,956   Schlumberger, Ltd.      354,376  
4,403   Tenaris SA      46,425  
    

 

 

 

       744,972  
    

 

 

 

Shares                 Value        
Common Stocks, continued   
Entertainment (1.5%):   
6,867   Activision Blizzard, Inc.    $ 531,437  
4,441   AMC Entertainment Holdings, Inc., Class A*^      169,024  
1,200   Capcom Co., Ltd.      33,335  
2,470   Electronic Arts, Inc.      351,358  
2,754   Embracer Group AB*      26,485  
390   Koei Tecmo Holdings Co., Ltd.      18,553  
900   Konami Holdings Corp.      56,486  
1,787   Liberty Media Corp-Liberty Formula One, Class C*      91,870  
1,505   Live Nation Entertainment, Inc.*      137,151  
3,847   Netflix, Inc.*      2,347,978  
4,500   Nexon Co., Ltd.      72,612  
1,000   Nintendo Co., Ltd.      486,525  
610   Sea, Ltd., ADR*      194,425  
400   Square Enix Holdings Co., Ltd.      21,080  
974   Take-Two Interactive Software, Inc.*      150,064  
600   Toho Co., Ltd.      28,310  
856   UbiSoft Entertainment SA*      51,337  
5,833   Universal Music Group NV*^      156,160  
5,833   Vivendi Universal SA^      73,564  
15,749   Walt Disney Co. (The)*          2,664,258  
    

 

 

 

       7,662,012  
    

 

 

 

Equity Real Estate Investment Trusts (2.2%):

 

1,240   Alexandria Real Estate Equities, Inc.      236,927  
3,953   American Tower Corp.      1,049,166  
29,744   Ascendas Real Estate Investment Trust      65,480  
1,174   AvalonBay Communities, Inc.      260,205  
1,367   Boston Properties, Inc.      148,114  
8,137   British Land Co. plc      53,733  
902   Camden Property Trust      133,018  
815   Canadian Apartment Properties REIT      38,041  
48,906   CapitaLand Mall Trust      72,714  
316   Covivio      26,420  
3,715   Crown Castle International Corp.      643,884  
18   Daiwahouse Residential Investment Corp.      52,750  
10,038   Dexus      77,652  
2,428   Digital Realty Trust, Inc.      350,725  
3,455   Duke Realty Corp.      165,391  
773   Equinix, Inc.      610,771  
1,394   Equity Lifestyle Properties, Inc.      108,871  
2,955   Equity Residential      239,119  
601   Essex Property Trust, Inc.      192,164  
1,214   Extra Space Storage, Inc.      203,940  
424   Gecina SA      56,833  
28   GLP J-REIT      46,032  
15,367   Goodman Group      238,498  
18,004   GPT Group      65,575  
4,979   Healthpeak Properties, Inc.      166,697  
6,519   Host Hotels & Resorts, Inc.*      106,455  
5,025   Invitation Homes, Inc.      192,608  
2,666   Iron Mountain, Inc.      115,838  
68   Japan Metropolitan Fund Invest      65,381  
12   Japan Real Estate Investment Corp.^      71,891  
1,908   Klepierre      42,476  
6,510   Land Securities Group plc      60,584  
19,200   Link REIT (The)      164,092  
15,100   Mapletree Commercial Trust      22,940  
20,370   Mapletree Logistics Trust      30,392  
5,344   Medical Properties Trust, Inc.      107,254  
919   Mid-America Apartment Communities, Inc.      171,623  
36,393   Mirvac Group      78,059  
14   Nippon Building Fund, Inc.      90,952  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Global Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued   
Equity Real Estate Investment Trusts, continued

 

20   Nippon Prologis REIT, Inc.    $ 66,890  
39   Nomura Real Estate Master Fund, Inc.      56,208  
2,142   Omega Healthcare Investors, Inc.      64,174  
25   Orix JREIT, Inc.      43,554  
6,505   Prologis, Inc.      815,922  
1,357   Public Storage, Inc.      403,165  
3,077   Realty Income Corp.      199,574  
1,170   Regency Centers Corp.      78,776  
480   RioCan REIT      8,202  
960   SBA Communications Corp.      317,347  
47,972   Scentre Group      103,198  
9,532   SERGO plc      152,932  
2,753   Simon Property Group, Inc.      357,807  
22,062   Stockland      70,533  
995   Sun Communities, Inc.      184,175  
2,260   UDR, Inc.      119,735  
1,152   Unibail-Rodamco-Westfield*      84,246  
24   United Urban Investment Corp.      32,472  
3,463   Ventas, Inc.      191,192  
2,117   VEREIT, Inc.      95,752  
4,960   VICI Properties, Inc.      140,914  
24,703   Vicinity Centres      29,427  
1,503   Vornado Realty Trust      63,141  
3,554   Welltower, Inc.      292,850  
6,139   Weyerhaeuser Co.      218,364  
1,621   WP Carey, Inc.      118,398  
    

 

 

 

         10,932,213  
    

 

 

 

Food & Staples Retailing (1.5%):   
6,000   AEON Co., Ltd.      157,921  
7,157   Alimentation Couche-Tard, Inc.      273,869  
5,668   Carrefour SA      102,013  
12,329   Coles Group, Ltd.      150,431  
272   Colruyt SA      13,855  
100   Cosmos Pharmaceutical Corp.      17,057  
3,846   Costco Wholesale Corp.      1,728,200  
1,563   Empire Co., Ltd., Class A      47,640  
11,695   Endeavour Group, Ltd.      58,714  
686   ICA Gruppen AB      31,466  
15,420   J Sainsbury plc      59,039  
2,416   Jeronimo Martins SGPS SA      48,103  
2,524   Kesko OYJ, Class B      87,112  
1,000   Kobe Bussan Co., Ltd.      32,653  
9,665   Koninklijke Ahold Delhaize NV      320,385  
6,103   Kroger Co. (The)      246,744  
200   LAWSON, Inc.      9,821  
1,605   Loblaw Cos., Ltd.      110,160  
2,293   Metro, Inc.      112,061  
7,000   Seven & I Holdings Co., Ltd.      317,699  
4,379   Sysco Corp.      343,752  
63,483   Tesco plc      215,283  
300   Tsuruha Holdings, Inc.      37,067  
6,256   Walgreens Boots Alliance, Inc.      294,345  
13,517   Walmart, Inc.      1,883,999  
500   Welcia Holdings Co., Ltd.      17,979  
9,905   Wesfarmers, Ltd.      398,518  
705   Weston (George), Ltd.      76,056  
22,272   William Morrison Supermarkets plc      88,266  
10,805   Woolworths Group, Ltd.      306,743  
    

 

 

 

       7,586,951  
    

 

 

 

Food Products (1.5%):   
4,311   A2 Milk Co., Ltd.*      19,186  
4,300   Ajinomoto Co., Inc.      127,253  
4,700   Archer-Daniels-Midland Co.      282,047  
3,293   Associated British Foods plc      81,809  
Shares                 Value        
Common Stocks, continued   
Food Products, continued   
33   Barry Callebaut AG, Registered Shares    $ 74,672  
1,295   Bunge, Ltd.      105,309  
1,820   Campbell Soup Co.      76,094  
1   Chocoladefabriken Lindt & Spruengli AG      117,444  
4,516   Conagra Brands, Inc.      152,957  
5,666   Danone SA      386,682  
5,200   General Mills, Inc.      311,064  
1,206   Hershey Co. (The)      204,115  
2,745   Hormel Foods Corp.      112,545  
476   JDE Peet’s NV      14,137  
1,013   JM Smucker Co. (The)      121,590  
2,384   Kellogg Co.      152,385  
1,470   Kerry Group plc, Class A      196,783  
1,300   Kikkoman Corp.      105,659  
5,513   Kraft Heinz Co. (The)      202,989  
1,353   Lamb Weston Holdings, Inc.      83,034  
7   Lindt & Spruengli AG      78,430  
2,301   McCormick & Co.      186,450  
1,200   Meiji Holdings Co., Ltd.^      77,566  
12,206   Mondelez International, Inc., Class A      710,145  
4,062   Mowi ASA      102,555  
25,138   Nestle SA, Registered Shares      3,025,064  
300   NH Foods, Ltd.      11,350  
700   Nisshin Seifun Group, Inc.      11,672  
300   Nissin Foods Holdings Co., Ltd.      24,118  
5,748   Orkla ASA, Class A      52,697  
2,279   Saputo, Inc.      57,965  
700   Toyo Suisan Kaisha, Ltd.      31,094  
2,724   Tyson Foods, Inc., Class A      215,033  
68,033   WH Group, Ltd.      48,400  
18,000   Wilmar International, Ltd.      55,311  
900   Yakult Honsha Co., Ltd.      45,637  
    

 

 

 

           7,661,241  
    

 

 

 

Gas Utilities (0.1%):   
1,545   AltaGas, Ltd.      30,488  
10,905   APA Group      68,451  
1,185   Atmos Energy Corp.      104,517  
2,688   Gas Natural SDG SA      67,665  
103,117   Hong Kong & China Gas Co., Ltd.      156,199  
3,600   Osaka Gas Co., Ltd.      66,179  
500   Toho Gas Co., Ltd.      21,846  
3,500   Tokyo Gas Co., Ltd.      65,189  
1,928   UGI Corp.      82,171  
    

 

 

 

       662,705  
    

 

 

 

Health Care Equipment & Supplies (3.2%):

 

15,494   Abbott Laboratories      1,830,306  
418   ABIOMED, Inc.*      136,067  
4,288   Alcon, Inc.      347,425  
653   Align Technology, Inc.*      434,526  
1,548   Ambu A/S, Class B      45,733  
1,400   Asahi Intecc Co., Ltd.      38,415  
4,308   Baxter International, Inc.      346,492  
2,577   Becton Dickinson & Co.      633,478  
245   BioMerieux      27,821  
12,154   Boston Scientific Corp.*      527,362  
372   Carl Zeiss Meditec AG      71,499  
608   Cochlear, Ltd.      96,009  
1,098   Coloplast A/S, Class B      172,129  
454   Cooper Cos., Inc. (The)      187,643  
5,576   Danaher Corp.      1,697,557  
1,001   Demant A/S*      50,420  
2,020   Dentsply Sirona, Inc.      117,261  
837   DexCom, Inc.*      457,722  
233   DiaSorin SpA      48,895  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Global Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued   
Health Care Equipment & Supplies, continued

 

5,319   Edwards Lifesciences Corp.*    $ 602,164  
2,500   EssilorLuxottica SA      477,979  
5,327   Fisher & Paykel Healthcare Corp., Ltd.      117,088  
843   GN Store Nord A/S      57,461  
2,052   Hologic, Inc.*      151,458  
3,200   HOYA Corp.      500,541  
751   IDEXX Laboratories, Inc.*      467,047  
555   Insulet Corp.*      157,748  
1,033   Intuitive Surgical, Inc.*      1,026,957  
7,813   Koninklijke Philips NV      346,249  
485   Masimo Corp.*      131,294  
11,640   Medtronic plc      1,459,074  
852   Novocure, Ltd.*      98,977  
9,500   Olympus Corp.      208,660  
1,249   ResMed, Inc.      329,174  
242   Sartorius AG      154,097  
2,484   Siemens Healthineers AG      161,613  
8,107   Smith & Nephew plc      139,206  
440   Sonova Holding AG, Registered Shares      165,972  
921   Steris plc      188,142  
86   Straumann Holding AG, Registered Shares, Class R      153,922  
2,930   Stryker Corp.      772,700  
1,500   Sysmex Corp.      185,322  
432   Teleflex, Inc.      162,670  
5,600   Terumo Corp.      263,317  
620   West Pharmaceutical Services, Inc.      263,215  
1,846   Zimmer Biomet Holdings, Inc.      270,180  
    

 

 

 

         16,278,987  
    

 

 

 

Health Care Providers & Services (1.8%):

 

1,419   AmerisourceBergen Corp.      169,500  
845   Amplifon SpA      40,263  
2,150   Anthem, Inc.      801,520  
2,209   Cardinal Health, Inc.      109,257  
4,948   Centene Corp.*      308,310  
3,011   Cigna Corp.      602,682  
11,477   CVS Health Corp.      973,938  
657   DaVita, Inc.*      76,383  
1,895   Fresenius Medical Care AG & Co., KGaA      133,526  
3,378   Fresenius SE & Co. KGaA      162,391  
2,301   HCA Healthcare, Inc.      558,499  
1,317   Henry Schein, Inc.*      100,303  
1,142   Humana, Inc.      444,409  
813   Laboratory Corp. of America Holdings*      228,811  
1,338   McKesson Corp.      266,770  
1,400   Medipal Holdings Corp.      26,412  
536   Molina Healthcare, Inc.*      145,422  
594   Oak Street Health, Inc.*^      25,263  
478   Orpea      55,351  
1,055   Quest Diagnostics, Inc.      153,302  
1,692   Ramsay Health Care, Ltd.      85,095  
4,519   Ryman Healthcare, Ltd.      46,733  
4,196   Sonic Healthcare, Ltd.      123,168  
8,225   UnitedHealth Group, Inc.      3,213,836  
719   Universal Health Services, Inc., Class B      99,488  
    

 

 

 

       8,950,632  
    

 

 

 

Health Care Technology (0.2%):   
2,497   Cerner Corp.      176,088  
4,100   M3, Inc.      292,737  
1,250   Teladoc Health, Inc.*      158,513  
Shares                 Value        
Common Stocks, continued   
Health Care Technology, continued   
1,173   Veeva Systems, Inc., Class A*    $ 338,023  
    

 

 

 

       965,361  
    

 

 

 

Hotels, Restaurants & Leisure (1.6%):

 

1,592   Accor SA*      56,350  
1,112   Airbnb, Inc., Class A*      186,538  
2,113   Aramark      69,433  
5,312   Aristocrat Leisure, Ltd.      177,779  
1,690   Caesars Entertainment, Inc.*      189,753  
7,643   Carnival Corp., Class A*      191,151  
245   Chipotle Mexican Grill, Inc.*      445,292  
15,190   Compass Group plc*      310,746  
1,597   Crown Resorts, Ltd.*      11,044  
1,205   Darden Restaurants, Inc.      182,521  
580   Domino’s Pizza Enterprises, Ltd.      66,857  
359   Domino’s Pizza, Inc.      171,229  
2,840   DraftKings, Inc., Class A*      136,774  
1,570   Evolution AB      238,743  
1,455   Flutter Entertainment plc*      287,604  
20,000   Galaxy Entertainment Group, Ltd.*      100,914  
25,500   Genting Singapore, Ltd.      13,434  
5,409   GVC Holdings plc*      154,815  
2,466   Hilton Worldwide Holdings, Inc.*      325,783  
1,688   InterContinental Hotels Group plc*      108,224  
883   La Francaise des Jeux SAEM      45,416  
2,602   Las Vegas Sands Corp.*      95,233  
2,294   Marriott International, Inc., Class A*      339,718  
6,486   McDonald’s Corp.      1,563,840  
300   McDonald’s Holdings Co., Ltd.      14,162  
758   Melco Resorts & Entertainment, Ltd., ADR*      7,762  
3,655   MGM Resorts International      157,713  
1,800   Oriental Land Co., Ltd.      291,549  
2,538   Restaurant Brands International, Inc.      155,519  
2,117   Royal Caribbean Cruises, Ltd.*      188,307  
22,400   Sands China, Ltd.*      45,907  
2,000   SJM Holdings, Ltd.*      1,353  
818   Sodexo SA*      71,618  
10,200   Starbucks Corp.      1,125,162  
20,492   Tabcorp Holdings, Ltd.      72,515  
372   Vail Resorts, Inc.*      124,267  
1,865   Whitbread plc*      82,935  
6,000   Wynn Macau, Ltd.*      5,012  
962   Wynn Resorts, Ltd.*      81,530  
2,568   Yum! Brands, Inc.      314,092  
    

 

 

 

           8,208,594  
    

 

 

 

Household Durables (0.8%):   
9,412   Barratt Developments plc      83,044  
2,191   Bath & Body Works, Inc.      138,099  
1,048   Berkeley Group Holdings plc      61,379  
2,200   Casio Computer Co., Ltd.^      36,484  
2,853   DR Horton, Inc.      239,566  
2,085   Electrolux AB, Series B, Class B      48,166  
1,260   Garmin, Ltd.      195,880  
4,195   Husqvarna AB, Class B      50,065  
600   Iida Group Holdings Co., Ltd.      15,445  
2,537   Lennar Corp., Class A      237,666  
552   Mohawk Industries, Inc.*      97,925  
3,532   Newell Brands, Inc.      78,198  
32   NVR, Inc.*      153,411  
20,400   Panasonic Corp.      253,242  
2,949   Persimmon plc      105,069  
2,163   PulteGroup, Inc.      99,325  
300   Rinnai Corp.      32,881  
1,020   Roku, Inc.*      319,617  
256   SEB SA      36,092  
3,500   Sekisui Chemical Co., Ltd.      60,268  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Global Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued   
Household Durables, continued   
5,700   Sekisui House, Ltd.    $ 119,796  
1,000   Sharp Corp.      12,662  
10,900   Sony Group Corp.      1,214,003  
33,694   Taylor Wimpey plc      69,577  
12,000   Techtronic Industries Co., Ltd.      235,249  
582   Whirlpool Corp.      118,647  
    

 

 

 

       4,111,756  
    

 

 

 

Household Products (1.0%):   
2,265   Church & Dwight Co., Inc.      187,021  
1,001   Clorox Co. (The)      165,776  
6,914   Colgate-Palmolive Co.      522,560  
5,625   Essity AB, Class B      174,657  
960   Henkel AG & Co. KGaA      82,820  
2,933   Kimberly-Clark Corp.      388,446  
1,700   Lion Corp.      27,506  
500   Pigeon Corp.      11,646  
21,269   Procter & Gamble Co. (The)      2,973,406  
6,245   Reckitt Benckiser Group plc      488,720  
3,700   Unicharm Corp.      164,124  
    

 

 

 

       5,186,682  
    

 

 

 

Independent Power and Renewable Electricity Producers (0.1%):

 

5,538   AES Corp. (The)      126,432  
787   Brookfield Renewable Corp., Class A      30,575  
2,812   EDP Renovaveis SA      69,244  
6,904   Meridian Energy, Ltd.      23,402  
2,059   Northland Power, Inc.      64,710  
2,257   NRG Energy, Inc.      92,153  
254   Uniper SE      10,601  
4,219   Vistra Corp.      72,145  
    

 

 

 

       489,262  
    

 

 

 

Industrial Conglomerates (1.1%):   
4,990   3M Co.      875,346  
21,000   CK Hutchison Holdings, Ltd.      139,262  
925   DCC plc      76,550  
9,459   General Electric Co.      974,561  
6,003   Honeywell International, Inc.      1,274,317  
1,007   Investment AB Latour, Class B      31,169  
2,000   Jardine Matheson Holdings, Ltd.      105,181  
7,500   Keppel Corp., Ltd.      28,508  
40,411   Melrose Industries plc      93,498  
915   Roper Technologies, Inc.      408,209  
6,735   Siemens AG, Registered Shares      1,106,934  
3,663   Smiths Group plc      70,205  
3,800   Toshiba Corp.      159,370  
    

 

 

 

           5,343,110  
    

 

 

 

Insurance (3.0%):   
1,782   Admiral Group plc      74,358  
16,538   AEGON NV      84,895  
5,579   Aflac, Inc.      290,833  
1,618   Ageas NV      80,064  
105,800   AIA Group, Ltd.      1,218,235  
129   Alleghany Corp.*      80,549  
3,590   Allianz SE, Registered Shares+      809,596  
2,605   Allstate Corp. (The)      331,643  
679   American Financial Group, Inc.      85,439  
7,501   American International Group, Inc.      411,730  
1,987   Aon plc, Class A      567,825  
3,125   Arch Capital Group, Ltd.*      119,312  
1,791   Arthur J. Gallagher & Co.      266,232  
8,867   Assicurazioni Generali SpA      188,619  
535   Assurant, Inc.      84,396  
1,240   Athene Holding, Ltd., Class A*      85,399  
31,654   Aviva plc      168,451  
16,925   AXA SA      470,792  
Shares                 Value        
Common Stocks, continued   
Insurance, continued   
433   Baloise Holding AG, Registered Shares    $ 66,032  
2,216   Brown & Brown, Inc.      122,877  
3,855   Chubb, Ltd.      668,765  
1,415   Cincinnati Financial Corp.      161,621  
1,241   CNP Assurances SA      19,684  
8,200   Dai-ichi Life Holdings, Inc.      178,571  
13,102   Direct Line Insurance Group plc      51,111  
116   Erie Indemnity Co., Class A      20,697  
370   Everest Re Group, Ltd.      92,789  
251   Fairfax Financial Holdings, Ltd.      101,341  
2,431   Fidelity National Financial, Inc.      110,222  
1,848   Gjensidige Forsikring ASA      40,941  
907   Globe Life, Inc.      80,750  
2,573   Great-West Lifeco, Inc.      78,303  
557   Hannover Rueck SE      97,542  
2,909   Hartford Financial Services Group, Inc. (The)      204,357  
1,012   IA Financial Corp., Inc.      57,424  
22,784   Insurance Australia Group, Ltd.      80,276  
1,559   Intact Financial Corp.      206,176  
14,600   Japan Post Holdings Co., Ltd.      122,898  
1,700   Japan Post Insurance Co., Ltd.      30,771  
47,860   Legal & General Group plc      180,706  
1,685   Lincoln National Corp.      115,844  
1,606   Loews Corp.      86,612  
16,596   Manulife Financial Corp.      319,497  
127   Markel Corp.*      151,782  
4,344   Marsh & McLennan Cos., Inc.      657,812  
25,594   Medibank Private, Ltd.      66,161  
6,587   MetLife, Inc.      406,616  
4,100   MS&AD Insurance Group Holdings, Inc.^      136,820  
1,239   Muenchener Rueckversicherungs-Gesellschaft AG      339,559  
2,086   NN Group NV      108,849  
6,201   Phoenix Group Holdings plc      53,614  
4,829   Poste Italiane SpA      66,452  
4,956   Power Corp. of Canada      163,387  
2,520   Principal Financial Group, Inc.      162,288  
5,134   Progressive Corp. (The)      464,062  
3,419   Prudential Financial, Inc.      359,679  
22,714   Prudential plc      440,874  
10,467   QBE Insurance Group, Ltd.      87,303  
329   RenaissanceRe Holdings, Ltd.      45,863  
4,089   Sampo Oyj, Class A      202,871  
1,512   SCOR SA      43,330  
2,900   Sompo Holdings, Inc.^      125,614  
5,408   Sun Life Financial, Inc.      278,428  
11,836   Suncorp Group, Ltd.      106,288  
244   Swiss Life Holding AG, Registered Shares      123,749  
2,505   Swiss Re AG      213,415  
5,000   T&D Holdings, Inc.      68,297  
5,800   Tokio Marine Holdings, Inc.      311,082  
2,161   Travelers Cos., Inc. (The)      328,494  
3,328   Tryg A/S      75,618  
1,080   Willis Towers Watson plc      251,057  
1,311   WR Berkley Corp.      95,939  
1,323   Zurich Insurance Group AG      539,538  
    

 

 

 

         15,189,016  
    

 

 

 

Interactive Media & Services (4.6%):

 

1,569   Adevinta ASA*      26,858  
2,614   Alphabet, Inc., Class A*      6,988,581  
2,531   Alphabet, Inc., Class C*      6,745,900  
8,930   Auto Trader Group plc      70,652  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Global Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued   
Interactive Media & Services, continued

 

20,825   Facebook, Inc., Class A*    $ 7,067,797  
729   IAC/InterActiveCorp.*      94,981  
500   Kakaku.com, Inc.      16,189  
2,194   Match Group, Inc.*      344,436  
4,921   Pinterest, Inc., Class A*      250,725  
488   REA Group, Ltd.      55,477  
828   Scout24 AG      57,466  
8,343   Snap, Inc., Class A*      616,297  
6,996   Twitter, Inc.*      422,489  
24,500   Z Holdings Corp.      157,250  
614   Zillow Group, Inc., Class A*      54,388  
1,442   Zillow Group, Inc., Class C*      127,098  
    

 

 

 

       23,096,584  
    

 

 

 

Internet & Direct Marketing Retail (3.4%):   
3,945   Amazon.com, Inc.*        12,959,483  
354   Booking Holdings, Inc.*      840,350  
819   Chewy, Inc., Class A*^      55,782  
1,451   Delivery Hero SE*      185,784  
652   DoorDash, Inc., Class A*      134,299  
5,899   eBay, Inc.      410,983  
1,029   Etsy, Inc.*      213,991  
1,279   Expedia Group, Inc.*      209,628  
1,527   HelloFresh SE*      141,352  
1,658   Just Eat Takeaway*      120,803  
383   MercadoLibre, Inc.*      643,210  
1,000   Mercari, Inc.*      55,059  
4,499   Ocado Group plc*      100,049  
8,085   Prosus NV      636,677  
8,000   Rakuten, Inc.      77,424  
676   Wayfair, Inc., Class A*^      172,725  
1,812   Zalando SE*      166,490  
1,200   ZOZO, Inc.      44,939  
    

 

 

 

       17,169,028  
    

 

 

 

IT Services (4.4%):   
5,533   Accenture plc, Class A      1,770,117  
170   Adyen NV*      472,633  
2,006   Afterpay, Ltd.*      173,505  
1,507   Akamai Technologies, Inc.*      157,617  
4,164   Amadeus IT Group SA*      273,508  
958   Atos SE      51,003  
3,696   Automatic Data Processing, Inc.      738,904  
589   Bechtle AG      40,404  
1,451   Black Knight, Inc.*      104,472  
1,273   Booz Allen Hamilton Holding Corp.      101,012  
1,070   Broadridge Financial Solutions, Inc.      178,305  
1,362   Capgemini SA      283,218  
1,784   CGI, Inc.*      151,564  
4,560   Cognizant Technology Solutions Corp., Class A      338,398  
5,010   Computershare, Ltd.      65,552  
476   EPAM Systems, Inc.*      271,548  
5,357   Fidelity National Information Services, Inc.      651,840  
5,329   Fiserv, Inc.*      578,196  
732   FleetCor Technologies, Inc.*      191,250  
1,700   Fujitsu, Ltd.      308,780  
733   Gartner, Inc.*      222,744  
2,534   Global Payments, Inc.      399,308  
200   GMO Payment Gateway, Inc.      25,342  
1,567   GoDaddy, Inc., Class A*      109,220  
7,683   International Business Machines Corp.      1,067,399  
800   Itochu Techno-Solutions Corp.      26,121  
546   Jack Henry & Associates, Inc.      89,577  
1,246   Leidos Holdings, Inc.      119,778  
7,664   MasterCard, Inc., Class A      2,664,619  
Shares                 Value        
Common Stocks, continued   
IT Services, continued   
501   MongoDB, Inc.*    $ 236,226  
4,062   Nexi SpA*      75,774  
2,520   Nomura Research Institute, Ltd.      92,886  
5,800   NTT Data Corp.      112,387  
340   Nuvei Corp.*      38,956  
600   OBIC Co., Ltd.      114,824  
1,120   Okta, Inc.*      265,821  
1,100   Otsuka Corp.      56,559  
2,766   Paychex, Inc.      311,037  
9,744   PayPal Holdings, Inc.*      2,535,486  
900   SCSK Corp.      19,034  
972   Shopify, Inc., Class A*      1,319,553  
1,704   Snowflake, Inc., Class A*      515,341  
3,437   Square, Inc., Class A*      824,330  
1,600   TIS, Inc.      43,738  
1,437   Twilio, Inc., Class A*      458,475  
817   VeriSign, Inc.*      167,493  
14,704   Visa, Inc., Class A      3,275,316  
3,798   Western Union Co. (The.)      76,796  
514   Wix.com, Ltd.*      100,729  
2,032   Worldline SA*      155,013  
    

 

 

 

         22,421,708  
    

 

 

 

Leisure Products (0.1%):   
1,800   Bandai Namco Holdings, Inc.      135,189  
1,206   Hasbro, Inc.      107,599  
2,184   Peloton Interactive, Inc., Class A*      190,117  
600   Shimano, Inc.      174,816  
1,200   Yamaha Corp.      75,452  
    

 

 

 

       683,173  
    

 

 

 

Life Sciences Tools & Services (1.1%):

 

676   10X Genomics, Inc., Class A*      98,412  
2,711   Agilent Technologies, Inc.      427,064  
4,207   Avantor, Inc.*      172,066  
206   Bio-Rad Laboratories, Inc., Class A*      153,666  
359   Bio-Techne Corp.      173,961  
403   Charles River Laboratories International, Inc.*      166,306  
1,234   Eurofins Scientific SE      158,224  
1,294   Illumina, Inc.*      524,859  
1,667   IQVIA Holdings, Inc.*      399,313  
634   Lonza Group AG, Registered Shares      475,064  
204   Mettler-Toledo International, Inc.*      280,981  
1,035   PerkinElmer, Inc.      179,355  
765   PPD, Inc.*      35,794  
1,659   Qiagen NV*      86,248  
256   Sartorius Stedim Biotech      142,876  
3,397   Thermo Fisher Scientific, Inc.      1,940,808  
509   Waters Corp.*      181,866  
    

 

 

 

       5,596,863  
    

 

 

 

Machinery (1.8%):   
2,908   Alfa Laval AB      108,399  
2,573   Alstom SA      97,611  
3,308   Atlas Copco AB      169,167  
5,816   Atlas Copco AB, Class A      352,933  
4,703   Caterpillar, Inc.      902,835  
9,458   CNH Industrial NV      160,124  
1,253   Cummins, Inc.      281,374  
700   Daifuku Co., Ltd.      65,832  
2,560   Deere & Co.      857,779  
1,174   Dover Corp.      182,557  
6,091   Epiroc AB, Class A      125,597  
3,604   Epiroc AB, Class B      63,702  
1,600   FANUC Corp.      350,309  
2,617   Fortive Corp.      184,682  
1,430   GEA Group AG      65,526  
300   Harmonic Drive Systems, Inc.      14,470  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Global Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued   
Machinery, continued   
1,800   Hino Motors, Ltd.    $ 16,887  
800   Hitachi Construction Machinery Co., Ltd.      22,665  
300   Hoshizaki Corp.      27,319  
701   IDEX Corp.      145,072  
2,811   Illinois Tool Works, Inc.      580,837  
3,482   Ingersoll-Rand, Inc.*      175,528  
667   Kion Group AG      62,407  
670   Knorr-Bremse AG      71,888  
8,100   Komatsu, Ltd.      194,795  
2,796   Kone OYJ, Class B      196,034  
9,500   Kubota Corp.      202,693  
1,000   Kurita Water Industries, Ltd.      48,320  
2,100   Makita Corp.      114,616  
3,400   MINEBEA MITSUMI, Inc.      86,828  
2,600   Misumi Group, Inc.      110,500  
3,000   Mitsubishi Heavy Industries, Ltd.      81,007  
600   Miura Co., Ltd.      24,076  
400   Nabtesco Corp.      15,154  
2,700   NGK Insulators, Ltd.      45,857  
411   Nordson Corp.      97,880  
2,800   NSK, Ltd.^      19,006  
3,511   Otis Worldwide Corp.      288,885  
2,895   PACCAR, Inc.      228,473  
1,140   Parker-Hannifin Corp.      318,767  
1,535   Pentair plc      111,487  
32   Rational AG      30,170  
10,434   Sandvik AB      238,216  
376   Schindler Holding AG      100,630  
187   Schindler Holding AG, Registered Shares      48,085  
3,527   SKF AB, Class B      83,038  
500   SMC Corp.      312,856  
501   Snap-On, Inc.      104,684  
682   Spirax-Sarco Engineering plc      137,040  
1,345   Stanley Black & Decker, Inc.      235,792  
1,400   THK Co., Ltd.      30,871  
1,851   Volvo AB, Class A      41,979  
12,058   Volvo AB, Class B      271,013  
1,659   Wabtec Corp.      143,022  
4,375   Wartsila OYJ Abp, Class B      52,384  
1,469   Xylem, Inc.      181,686  
    

 

 

 

           9,281,344  
    

 

 

 

Marine (0.1%):   
29   A.P. Moeller - Maersk A/S, Class A      74,216  
47   A.P. Moeller - Maersk A/S, Class B      127,155  
499   Kuehne & Nagel International AG, Registered Shares      169,586  
1,500   Nippon Yusen KK      112,843  
12,000   SITC International Holdings Co., Ltd.      42,783  
    

 

 

 

       526,583  
    

 

 

 

Media (1.1%):   
2,223   Altice USA, Inc., Class A*      46,061  
50   Cable One, Inc.      90,656  
1,162   Charter Communications, Inc., Class A*      845,425  
39,978   Comcast Corp., Class A      2,235,970  
3,700   Cyberagent, Inc.      71,668  
2,000   Dentsu Group, Inc.      76,953  
2,873   Discovery Communications, Inc., Class C*      69,728  
743   Discovery, Inc., Class A*^      18,857  
2,260   DISH Network Corp., Class A*      98,220  
2,345   Fox Corp., Class A      94,058  
1,575   Fox Corp., Class B      58,464  
1,700   Hakuhodo DY Holdings, Inc.      29,333  
Shares                 Value        
Common Stocks, continued   
Media, continued   
13,883   Informa plc*    $ 101,713  
3,611   Interpublic Group of Cos., Inc. (The)      132,415  
184   Liberty Broadband Corp., Class A*      30,976  
1,317   Liberty Broadband Corp., Class C*      227,446  
914   Liberty Global plc, Class A*      27,237  
3,367   Liberty Global plc, Class C*      99,192  
1,594   Liberty Media Corp.-Liberty SiriusXM, Class C*      75,667  
885   Liberty Media Corp-Liberty SiriusXM, Class A*      41,745  
3,615   News Corp., Class A      85,061  
1,573   Omnicom Group, Inc.      113,980  
6,966   Pearson plc      66,594  
2,061   Publicis Groupe SA      138,777  
1,750   Quebecor, Inc., Class B      42,299  
480   Schibsted ASA, Class A      22,820  
528   Schibsted ASA, Class B      22,346  
3,346   Shaw Communications, Inc., Class B      97,283  
9,638   Sirius XM Holdings, Inc.^      58,792  
5,245   ViacomCBS, Inc., Class B      207,230  
9,369   WPP plc      125,874  
    

 

 

 

           5,452,840  
    

 

 

 

Metals & Mining (1.3%):   
2,245   Agnico Eagle Mines, Ltd.      116,487  
11,387   Anglo American plc      392,735  
3,645   Antofagasta plc      65,477  
6,625   ArcelorMittal      199,875  
10,788   B2Gold Corp.      36,886  
16,433   Barrick Gold Corp.      296,765  
18,680   BHP Group plc      465,498  
25,985   BHP Group, Ltd.      698,262  
4,656   BlueScope Steel, Ltd.      67,533  
2,528   Boliden AB      81,357  
15,792   Evolution Mining, Ltd.      40,010  
4,713   EVRAZ plc      37,599  
5,424   First Quantum Minerals, Ltd.      100,436  
13,866   Fortescue Metals Group, Ltd.      146,194  
1,573   Franco-Nevada Corp.      204,388  
12,783   Freeport-McMoRan, Inc.      415,831  
86,578   Glencore plc      408,810  
1,100   Hitachi Metals, Ltd.      21,316  
4,254   Ivanhoe Mines, Ltd., Class A*      27,209  
4,800   JFE Holdings, Inc.      71,632  
11,630   Kinross Gold Corp.      62,356  
2,071   Kirkland Lake Gold, Ltd.      86,281  
6,686   Lundin Mining Corp.      48,097  
7,547   Newcrest Mining, Ltd.      123,702  
6,974   Newmont Corp.      378,688  
7,900   Nippon Steel Corp.^      141,403  
12,430   Norsk Hydro ASA      92,792  
10,215   Northern Star Resources, Ltd.      62,908  
2,536   Nucor Corp.      249,771  
1,988   Pan American Silver Corp.      46,293  
9,696   Rio Tinto plc      640,095  
3,259   Rio Tinto, Ltd.      231,536  
33,569   South32, Ltd.      85,189  
1,944   Steel Dynamics, Inc.      113,685  
2,300   Sumitomo Metal & Mining Co., Ltd.      83,013  
4,349   Teck Cominco, Ltd., Class B      108,279  
522   Voestalpine AG      19,183  
3,566   Wheaton Precious Metals Corp.      134,260  
6,971   Yamana Gold, Inc.      27,523  
    

 

 

 

       6,629,354  
    

 

 

 

Mortgage Real Estate Investment Trusts (0.0%):

 

4,986   AGNC Investment Corp.      78,629  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Global Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued   
Mortgage Real Estate Investment Trusts, continued

 

12,926   Annaly Capital Management, Inc.    $ 108,837  
    

 

 

 

       187,466  
    

 

 

 

Multiline Retail (0.4%):   
530   Canadian Tire Corp., Class A      74,177  
2,025   Dollar General Corp.      429,583  
1,917   Dollar Tree, Inc.*      183,495  
2,724   Dollarama, Inc.      118,175  
1,084   Next plc      118,861  
3,900   Pan Pacific International Holdings Corp.      80,840  
2,600   Ryohin Keikaku Co., Ltd.      57,853  
4,246   Target Corp.      971,357  
    

 

 

 

       2,034,341  
    

 

 

 

Multi-Utilities (0.7%):   
2,942   AGL Energy, Ltd.      12,174  
5,519   Algonquin Power & Utilities Corp.^      80,928  
2,342   Ameren Corp.      189,702  
325   Atco, Ltd.      10,427  
993   Canadian Utilities, Ltd., Class A      26,762  
5,098   CenterPoint Energy, Inc.      125,411  
2,670   CMS Energy Corp.      159,479  
2,819   Consolidated Edison, Inc.      204,631  
7,139   Dominion Energy, Inc.      521,290  
1,791   DTE Energy Co.      200,073  
20,750   E.ON SE      253,832  
15,043   Engie Group      197,406  
30,846   National Grid plc      366,868  
3,622   NiSource, Inc.      87,761  
4,410   Public Service Enterprise Group, Inc.      268,569  
5,263   RWE AG      186,030  
2,656   Sempra Energy      335,984  
3,194   Suez      72,827  
4,981   Veolia Environnement SA      152,412  
2,633   WEC Energy Group, Inc.      232,230  
    

 

 

 

           3,684,796  
    

 

 

 

Oil, Gas & Consumable Fuels (3.1%):   
2,317   Ampol, Ltd.      46,487  
178,047   BP plc      806,442  
3,662   Cameco Corp.      79,578  
10,087   Canadian Natural Resources, Ltd.      368,864  
12,120   Cenovus Energy, Inc.      122,214  
2,226   Cheniere Energy, Inc.*      217,413  
16,850   Chevron Corp.      1,709,432  
11,787   ConocoPhillips      798,805  
6,706   Coterra Energy, Inc.      145,923  
5,910   Devon Energy Corp.      209,864  
595   Enagas SA      13,222  
18,045   Enbridge, Inc.      719,007  
28,350   ENEOS Holdings, Inc.      115,781  
22,136   ENI SpA      294,686  
5,166   EOG Resources, Inc.      414,675  
9,033   Equinor ASA      230,280  
36,541   Exxon Mobil Corp.      2,149,342  
4,843   Galp Energia SGPS SA      54,840  
2,554   Hess Corp.      199,493  
1,482   Idemitsu Kosan Co., Ltd.      39,129  
2,375   Imperial Oil, Ltd.      75,072  
9,500   INPEX Corp.      74,359  
2,058   Keyera Corp.^      51,791  
17,178   Kinder Morgan, Inc.      287,388  
312   Koninklijke Vopak NV      12,264  
1,850   Lundin Energy AB      68,701  
5,486   Marathon Petroleum Corp.      339,090  
3,910   Neste Oyj      220,647  
7,474   Occidental Petroleum Corp.      221,081  
Shares                 Value        
Common Stocks, continued   
Oil, Gas & Consumable Fuels, continued

 

11,699   Oil Search, Ltd.    $ 37,025  
1,361   OMV AG      81,771  
3,601   ONEOK, Inc.      208,822  
16,911   Origin Energy, Ltd.      56,981  
1,471   Parkland Corp.      41,340  
5,083   Pembina Pipeline Corp.^      161,152  
3,584   Phillips 66      250,988  
1,901   Pioneer Natural Resources Co.      316,535  
11,515   Repsol SA      149,543  
35,771   Royal Dutch Shell plc, Class A      790,133  
31,659   Royal Dutch Shell plc, Class B      701,280  
17,327   Santos, Ltd.      89,316  
18,638   Snam SpA      103,298  
12,666   Suncor Energy, Inc.      262,641  
8,688   TC Energy Corp.^      418,209  
21,885   TotalEnergies SE^      1,048,572  
3,361   Valero Energy Corp.      237,186  
1,889   Washington H. Soul Pattinson & Co., Ltd.^      53,298  
10,160   Williams Cos., Inc.      263,550  
8,893   Woodside Petroleum, Ltd.      152,997  
    

 

 

 

         15,510,507  
    

 

 

 

Paper & Forest Products (0.1%):   
4,488   Mondi plc      109,682  
8,500   Oji Holdings Corp.      42,897  
5,377   Stora Enso OYJ, Registered Shares, Class R      89,269  
5,600   Svenska Cellulosa AB SCA, Class B      86,568  
4,277   UPM-Kymmene OYJ      151,096  
884   West Fraser Timber Co., Ltd.      74,467  
    

 

 

 

       553,979  
    

 

 

 

Personal Products (0.7%):   
932   Beiersdorf AG      100,749  
2,041   Estee Lauder Co., Inc. (The), Class A      612,157  
4,500   Kao Corp.      268,155  
200   Kobayashi Pharmaceutical Co., Ltd.      15,841  
300   Kose Corp.      35,963  
2,205   L’Oreal SA      909,934  
400   Pola Orbis Holdings, Inc.      9,228  
3,200   Shiseido Co., Ltd.      215,698  
22,902   Unilever plc      1,237,854  
    

 

 

 

       3,405,579  
    

 

 

 

Pharmaceuticals (4.7%):   
17,200   Astellas Pharma, Inc.^      283,643  
13,478   AstraZeneca plc      1,622,303  
2,794   Bausch Health Cos., Inc.*      77,925  
8,628   Bayer AG, Registered Shares      470,526  
19,502   Bristol-Myers Squibb Co.      1,153,933  
2,500   Canopy Growth Corp.*      34,645  
1,386   Catalent, Inc.*      184,435  
5,400   Chugai Pharmaceutical Co., Ltd.      197,842  
14,700   Daiichi Sankyo Co., Ltd.      392,217  
2,200   Eisai Co., Ltd.      165,694  
3,925   Elanco Animal Health, Inc.*      125,168  
7,141   Eli Lilly & Co.      1,649,928  
43,817   GlaxoSmithKline plc      826,946  
1,106   Hikma Pharmaceuticals plc      36,380  
300   Hisamitsu Pharmaceutical Co., Inc.      11,381  
1,722   Horizon Therapeutics plc*      188,628  
283   Ipsen SA      27,014  
561   Jazz Pharmaceuticals plc*      73,048  
22,821   Johnson & Johnson      3,685,591  
2,500   Kyowa Kirin Co., Ltd.      90,164  
22,142   Merck & Co., Inc.      1,663,086  
1,110   Merck KGaA      241,348  
200   Nippon Shinyaku Co., Ltd.      16,664  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Global Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued   
Pharmaceuticals, continued   
19,332   Novartis AG, Registered Shares    $ 1,586,257  
14,646   Novo Nordisk A/S, Class B      1,408,968  
3,500   Ono Pharmaceutical Co., Ltd.      79,837  
1,038   Orion OYJ, Class B      41,080  
3,600   Otsuka Holdings Co., Ltd.      153,484  
48,805   Pfizer, Inc.      2,099,103  
990   Recordati SpA      57,578  
296   Roche Holding AG      121,550  
6,066   Roche Holding AG      2,213,862  
1,614   Royalty Pharma plc, Class A      58,330  
9,789   Sanofi      942,211  
3,600   Santen Pharmaceutical Co., Ltd.      50,808  
2,400   Shionogi & Co., Ltd.      164,435  
1,300   Sumitomo Dainippon Pharma Co., Ltd.      23,230  
300   Taisho Pharmaceutical Holdings Co., Ltd.      17,543  
13,650   Takeda Pharmacuetical Co., Ltd.^      452,528  
10,134   Teva Pharmaceutical Industries, Ltd., ADR*      98,705  
1,169   UCB SA      130,052  
9,546   Viatris, Inc.      129,348  
451   Vifor Pharma AG      58,405  
4,129   Zoetis, Inc.      801,604  
    

 

 

 

         23,907,427  
    

 

 

 

Professional Services (0.9%):   
1,432   Adecco SA, Registered Shares      71,727  
2,717   Bureau Veritas SA      83,379  
3,091   Clarivate plc*      67,693  
3,340   CoStar Group, Inc.*      287,440  
1,029   Equifax, Inc.      260,769  
7,857   Experian plc      326,338  
3,263   IHS Markit, Ltd.      380,531  
1,287   Intertek Group plc      85,907  
2,800   Nihon M&A Center, Inc.      82,520  
1,300   Persol Holdings Co., Ltd.      32,579  
1,105   Randstad NV^      73,838  
11,900   Recruit Holdings Co., Ltd.      725,704  
16,918   RELX plc      487,461  
1,046   Robert Half International, Inc.      104,945  
3,100   Seek, Ltd.      68,996  
47   SGS SA, Registered Shares      136,687  
480   Teleperformance      188,834  
1,374   Thomson Reuters Corp.      151,949  
1,763   TransUnion      198,003  
1,339   Verisk Analytics, Inc.      268,162  
2,473   Wolters Kluwer NV      261,369  
    

 

 

 

       4,344,831  
    

 

 

 

Real Estate Management & Development (0.5%):

 

9,234   Aroundtown SA      63,786  
116   Azrieli Group      10,436  
24,400   Capitaland Investment, Ltd. / Singapore*      61,112  
2,831   CBRE Group, Inc., Class A*      275,626  
3,700   City Developments, Ltd.      18,677  
18,500   CK Asset Holdings, Ltd.      106,326  
600   Daito Trust Construction Co., Ltd.      70,061  
5,200   Daiwa House Industry Co., Ltd.^      173,686  
3,160   Deutsche Wohnen SE      193,689  
18,800   ESR Cayman, Ltd.*      56,755  
643   Fastighets AB Balder*      38,582  
257   FirstService Corp.      46,473  
11,000   Hang Lung Properties, Ltd.      25,006  
13,324   Henderson Land Development Co., Ltd.      50,580  
6,600   Hongkong Land Holdings, Ltd.      31,587  
Shares                 Value        
Common Stocks, continued   
Real Estate Management & Development, continued

 

2,400   Hulic Co., Ltd.    $ 26,760  
666   LEG Immobilien SE      94,215  
4,109   Lend Lease Group      31,888  
10,900   Mitsubishi Estate Co., Ltd.      173,607  
8,500   Mitsui Fudosan Co., Ltd.      202,496  
14,827   New World Development Co., Ltd.      60,166  
1,000   Nomura Real Estate Holdings, Inc.      26,064  
24,117   Sino Land Co., Ltd.      32,449  
2,900   Sumitomo Realty & Development Co., Ltd.      105,836  
12,000   Sun Hung Kai Properties, Ltd.      149,133  
5,000   Swire Pacific, Ltd., Class A      29,637  
9,200   Swire Properties, Ltd.      23,020  
702   Swiss Prime Site AG      68,376  
1,769   UOL Group, Ltd.      8,895  
4,969   Vonovia SE      298,663  
15,000   Wharf Real Estate Investment Co., Ltd.      77,497  
    

 

 

 

           2,631,084  
    

 

 

 

Road & Rail (1.2%):   
68   AMERCO, Inc.      43,930  
11,052   Aurizon Holdings, Ltd.      30,095  
6,102   Canadian National Railway Co.      707,242  
5,776   Canadian Pacific Railway, Ltd., Class 1^      377,237  
1,300   Central Japan Railway Co.      207,809  
19,750   CSX Corp.      587,365  
1,799   DSV PANALPINA A/S      429,578  
2,800   East Japan Railway Co.      196,433  
2,100   Hankyu Hanshin Holdings, Inc.      66,266  
782   J.B. Hunt Transport Services, Inc.      130,766  
784   Kansas City Southern      212,182  
1,000   Keio Corp.^      53,544  
1,000   Keisei Electric Railway Co., Ltd.      33,175  
1,700   Kintetsu Group Holdings Co., Ltd.*      57,387  
1,454   Knight-Swift Transportation Holdings, Inc.      74,372  
2,367   Lyft, Inc., Class A*      126,848  
14,500   MTR Corp., Ltd.      77,849  
700   Nippon Express Co., Ltd.      48,235  
2,227   Norfolk Southern Corp.      532,810  
2,700   Odakyu Electric Railway Co., Ltd.      62,555  
830   Old Dominion Freight Line, Inc.      237,363  
900   Tobu Railway Co., Ltd.      24,273  
4,600   Tokyu Corp.      68,510  
10,800   Uber Technologies, Inc.*      483,840  
5,748   Union Pacific Corp.      1,126,665  
1,500   West Japan Railway Co.      74,706  
    

 

 

 

       6,071,035  
    

 

 

 

Semiconductors & Semiconductor Equipment (4.6%):

 

10,666   Advanced Micro Devices, Inc.*      1,097,531  
1,800   Advantest Corp.      161,287  
4,672   Analog Devices, Inc.      782,467  
7,975   Applied Materials, Inc.      1,026,622  
377   ASM International NV      147,177  
3,635   ASML Holding NV      2,681,088  
3,551   Broadcom, Inc.      1,721,987  
200   Disco Corp.      55,991  
11,072   Infineon Technologies AG      455,101  
35,250   Intel Corp.      1,878,120  
1,348   KLA Corp.      450,920  
1,249   Lam Research Corp.      710,868  
700   Lasertec Corp.      159,025  
7,116   Marvell Technology, Inc.      429,166  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Global Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued   
Semiconductors & Semiconductor Equipment, continued

 

2,311   Microchip Technology, Inc.    $ 354,715  
9,636   Micron Technology, Inc.      683,963  
397   Monolithic Power Systems, Inc.      192,418  
21,715   NVIDIA Corp.      4,498,479  
2,359   NXP Semiconductors NV      462,057  
3,807   ON Semiconductor Corp.*      174,246  
903   Qorvo, Inc.*      150,973  
9,833   Qualcomm, Inc.      1,268,260  
11,600   Renesas Electronics Corp.*      143,149  
800   ROHM Co., Ltd.      75,375  
1,377   Skyworks Solutions, Inc.      226,902  
477   SolarEdge Technologies, Inc.*      126,510  
6,312   STMicroelectronics NV      275,151  
2,600   SUMCO Corp.      52,209  
1,326   Teradyne, Inc.      144,760  
7,992   Texas Instruments, Inc.      1,536,142  
1,300   Tokyo Electron, Ltd.      573,121  
2,093   Xilinx, Inc.      316,022  
    

 

 

 

         23,011,802  
    

 

 

 

Software (7.3%):   
4,175   Adobe, Inc.*      2,403,631  
731   ANSYS, Inc.*      248,869  
1,941   Autodesk, Inc.*      553,515  
790   Avalara, Inc.*      138,068  
1,063   AVEVA Group plc      51,331  
1,586   Bentley Systems, Inc., Class B^      96,175  
4,940   BlackBerry, Ltd.*      48,097  
2,410   Cadence Design Systems, Inc.*      364,970  
1,236   Ceridian HCM Holding, Inc.*      139,198  
904   Check Point Software Technologies, Ltd.*      102,188  
1,136   Citrix Systems, Inc.      121,972  
2,082   Cloudflare, Inc., Class A*      234,537  
175   Constellation Software, Inc.      286,741  
667   Coupa Software, Inc.*      146,193  
1,675   Crowdstrike Holdings, Inc., Class A*      411,682  
382   CyberArk Software, Ltd.*      60,287  
5,638   Dassault Systemes SE      295,543  
1,616   Datadog, Inc., Class A*      228,422  
1,635   DocuSign, Inc.*      420,898  
2,919   Dropbox, Inc., Class A*      85,293  
1,698   Dynatrace, Inc.*      120,507  
238   Fair Isaac Corp.*      94,707  
1,194   Fortinet, Inc.*      348,696  
735   Guidewire Software, Inc.*      87,369  
370   HubSpot, Inc.*      250,153  
2,380   Intuit, Inc.      1,284,034  
911   Lightspeed Commerce, Inc.*      87,920  
62,187   Microsoft Corp.      17,531,759  
423   Nemetschek SE      44,453  
580   NICE Systems, Ltd.*      164,155  
4,346   NortonLifeLock, Inc.      109,954  
2,521   Open Text Corp.      123,064  
300   Oracle Corp.      26,400  
16,295   Oracle Corp.      1,419,783  
13,583   Palantir Technologies, Inc., Class A*      326,535  
827   Palo Alto Networks, Inc.*      396,133  
416   Paycom Software, Inc.*      206,232  
1,026   PTC, Inc.*      122,905  
697   RingCentral, Inc., Class A*      151,598  
7,580   Sage Group plc      72,336  
8,412   salesforce.com, Inc.*      2,281,503  
9,176   SAP SE      1,242,943  
1,735   ServiceNow, Inc.*      1,079,638  
4,675   Sinch AB*      90,123  
Shares                 Value        
Common Stocks, continued   
Software, continued   
1,311   Splunk, Inc.*    $ 189,715  
2,144   SS&C Technologies Holdings, Inc.      148,794  
1,316   Synopsys, Inc.*      394,024  
876   TeamViewer AG*      25,827  
617   Temenos AG      83,807  
3,729   The Trade Desk, Inc., Class A*      262,149  
1,300   Trend Micro, Inc.      72,532  
375   Tyler Technologies, Inc.*      171,994  
332   Unity Software, Inc.*      41,915  
777   Vmware, Inc., Class A*^      115,540  
656   WiseTech Global, Ltd.      25,269  
1,673   Workday, Inc., Class A*      418,066  
1,220   Xero, Ltd.*      121,555  
1,088   Zendesk, Inc.*      126,632  
1,816   Zoom Video Communications, Inc., Class A*      474,884  
744   Zscaler, Inc.*      195,092  
    

 

 

 

       36,968,305  
    

 

 

 

Specialty Retail (1.7%):   
100   ABC-Mart, Inc.      5,662  
606   Advance Auto Parts, Inc.      126,587  
191   AutoZone, Inc.*      324,316  
1,917   Best Buy Co., Inc.      202,646  
612   Burlington Stores, Inc.*      173,545  
1,502   CarMax, Inc.*      192,196  
577   Carvana Co.*      173,989  
22,400   Chow Tai Fook Jewellery Group, Ltd.      42,647  
500   Fast Retailing Co., Ltd.      368,562  
6,750   Hennes & Mauritz AB, Class B*      136,908  
100   Hikari Tsushin, Inc.      16,912  
9,239   Home Depot, Inc. (The)      3,032,794  
9,400   Industria de Diseno Textil SA      341,951  
3,471   JD Sports Fashion plc      48,861  
19,508   Kingfisher plc      88,246  
6,129   Lowe’s Cos., Inc.          1,243,329  
700   Nitori Co., Ltd.      137,731  
586   O’Reilly Automotive, Inc.*      358,081  
3,080   Ross Stores, Inc.      335,258  
10,485   TJX Cos., Inc. (The)      691,800  
938   Tractor Supply Co.      190,048  
426   Ulta Beauty, Inc.*      153,752  
1,700   USS Co., Ltd.^      29,088  
5,400   Yamada Holdings Co., Ltd.      22,732  
    

 

 

 

       8,437,641  
    

 

 

 

Technology Hardware, Storage & Peripherals (4.5%):

 

145,039   Apple, Inc.      20,523,018  
2,300   Brother Industries, Ltd.      50,613  
9,200   Canon, Inc.      226,324  
2,457   Dell Technologies, Inc., Class C*      255,626  
3,300   FUJIFILM Holdings Corp.      284,597  
12,023   Hewlett Packard Enterprise Co.      171,328  
10,580   HP, Inc.      289,469  
1,600   Logitech International SA, Class R      141,725  
2,300   NEC Corp.      124,873  
1,731   NetApp, Inc.      155,375  
6,200   Ricoh Co., Ltd.^      63,631  
1,662   Seagate Technology Holdings plc      137,148  
2,200   Seiko Epson Corp.^      44,392  
2,829   Western Digital Corp.*      159,669  
    

 

 

 

       22,627,788  
    

 

 

 

Textiles, Apparel & Luxury Goods (1.3%):   
1,688   Adidas AG      531,831  
3,741   Burberry Group plc      91,073  
4,607   Cie Financiere Richemont SA      475,120  
1,834   Gildan Activewear, Inc.      67,023  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Global Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued   
Textiles, Apparel & Luxury Goods, continued

 

275   Hermes International SA    $ 380,021  
662   Kering      470,770  
1,078   Lululemon Athletica, Inc.*      436,267  
2,409   LVMH Moet Hennessy Louis Vuitton SA      1,722,364  
1,545   Moncler SpA      94,481  
11,165   Nike, Inc., Class B      1,621,493  
924   Pandora A/S      112,073  
976   Puma SE      109,063  
267   Swatch Group AG (The), Class B      70,002  
116   Swatch Group AG (The), Registered Shares      5,975  
2,741   VF Corp.      183,619  
    

 

 

 

       6,371,175  
    

 

 

 

Tobacco (0.6%):   
16,081   Altria Group, Inc.      732,007  
18,747   British American Tobacco plc      653,975  
7,504   Imperial Brands plc, Class A      156,580  
11,100   Japan Tobacco, Inc.      217,972  
13,676   Philip Morris International, Inc.      1,296,348  
12,075   Swedish Match AB      105,939  
    

 

 

 

           3,162,821  
    

 

 

 

Trading Companies & Distributors (0.6%):

 

3,803   Ashtead Group plc      288,440  
1,428   Brenntag AG      133,190  
3,115   Bunzl plc      102,887  
4,815   Fastenal Co.      248,502  
1,890   Ferguson plc      261,958  
11,000   Itochu Corp.      322,250  
14,500   Marubeni Corp.^      118,987  
11,100   Mitsubishi Corp.      347,284  
13,000   Mitsui & Co., Ltd.      282,050  
1,400   MonotaRo Co., Ltd.      31,596  
1,239   Reece, Ltd.      16,886  
10,400   Sumitomo Corp.      145,425  
731   Toromont Industries, Ltd.      61,030  
2,000   Toyota Tsushu Corp.      83,828  
590   United Rentals, Inc.*      207,049  
411   W.W. Grainger, Inc.      161,548  
    

 

 

 

       2,812,910  
    

 

 

 

Transportation Infrastructure (0.1%):   
693   Aena SME SA*      119,521  
215   Aeroports de Paris*      27,287  
4,579   Atlantia SpA*      86,554  
12,535   Auckland International Airport, Ltd.*      67,364  
4,067   Getlink SE      63,666  
8,394   Sydney Airport*      49,852  
25,306   Transurban Group      256,524  
2,812   Transurban Group*      28,505  
    

 

 

 

       699,273  
    

 

 

 

Water Utilities (0.1%):   
1,536   American Water Works Co., Inc.      259,646  
2,154   Essential Utilities, Inc.      99,256  
2,208   Severn Trent plc      77,199  
6,302   United Utilities Group plc      81,930  
    

 

 

 

       518,031  
    

 

 

 

Wireless Telecommunication Services (0.5%):   
14,100   KDDI Corp.^      466,033  
3,275   Rogers Communications, Inc., Class B      152,966  
25,200   Softbank Corp.      342,193  
10,700   SoftBank Group Corp.      618,408  
4,629   Tele2 AB^      68,406  
5,364   T-Mobile USA, Inc.*      685,305  
Shares                 Value        
Common Stocks, continued   
Wireless Telecommunication Services, continued

 

247,525   Vodafone Group plc    $ 374,361  
    

 

 

 

       2,707,672  
    

 

 

 

Total Common Stocks (Cost $417,409,147)

     502,067,200  
  

 

 

 

Preferred Stocks (0.2%):   
Automobiles (0.1%):   
526   Bayerische Motoren Werke AG (BMW), 2.91%, 5/15/20      40,158  
1,151   Porsche Automobil Holding SE, 2.57%, 5/20/20      114,687  
1,599   Volkswagen AG, 2.51%, 5/8/20      358,152  
    

 

 

 

       512,997  
    

 

 

 

Household Products (0.1%):   
1,647   Henkel AG & Co. KGaA, 2.31%, 4/21/20      152,890  
    

 

 

 

Total Preferred Stocks (Cost $649,866)

     665,887  
  

 

 

 

Rights (0.0%):   
Airlines (0.0%):   
1,206   Deutsche Lufthansa, Expires on 10/6/21*^      2,863  
    

 

 

 

Multi-Utilities (0.0%):   
4,981   Veolia Environnement SA, Expires on 10/4/21*^      4,132  
    

 

 

 

Transportation Infrastructure (0.0%):   
2,811   Transurban Group, Expires on 10/11/21*      2,133  
    

 

 

 

Total Rights (Cost $3,963)

     9,128  
  

 

 

 

Principal
Amount
                Value        
Short-Term Security Held as Collateral for Securities on Loan (1.6%):

 

8,098,480   BlackRock Liquidity FedFund, Institutional Class , 0.03%(a)(b)      8,098,480  
    

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan (Cost $8,098,480)

     8,098,480  
  

 

 

 

Shares         Value
Unaffiliated Investment Company (0.1%):   
Money Markets (0.1%):   
609,906   Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(b)      609,906  
    

 

 

 

Total Unaffiliated Investment Company

(Cost $609,906)

     609,906  
  

 

 

 

Total Investment Securities

(Cost $426,771,362) - 101.3%

     511,450,601  

Net other assets (liabilities) - (1.3)%

     (6,406,777
  

 

 

 

Net Assets - 100.0%

     $ 505,043,824  
  

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

ADR    -    American Depository Receipt
REIT    -    Real Estate Investment Trust

 

*

Non-income producing security.

 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Global Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

^

This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities on loan as of September 30, 2021 was $6,296,026.

+

Affiliated Securities

Represents less than 0.05%.

(a)

Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.

(b)

The rate represents the effective yield at September 30, 2021.

The following represents the concentrations by country of risk (based on the domicile of the security issuer) relative to the total value of investments as of September 30, 2021:

(Unaudited)

 

Country

  

Percentage

Argentina

       0.1%    

Australia

       2.0%    

Austria

       0.1%    

Belgium

       0.2%    

Bermuda

       0.2%    

Canada

       3.3%    

China

        —%      

Denmark

       0.7%    

Finland

       0.4%    

France

       2.9%    

Germany

       2.6%    

Hong Kong

       0.8%    

Ireland

       0.9%    

Isle of Man

        —%      

Israel

       0.2%    

Italy

       0.6%    

Japan

       7.0%    

Jersey

        —%      

Liberia

        —%      

Luxembourg

       0.1%    

Netherlands

       1.8%    

New Zealand

       0.1%    

Norway

       0.2%    

Panama

        —%      

Poland

        —%      

Portugal

        —%      

Singapore

       0.3%    

Spain

       0.7%    

Sweden

       1.0%    

Switzerland

       3.0%    

United Kingdom

       4.4%    

United States

       66.4%    
    

 

 

 
           100.0%    
    

 

 

 

 

Represents less than 0.05%.

                    

 

 

See accompanying notes to the schedules of portfolio investments.


AZL MSCI Global Equity Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Futures Contracts

At September 30, 2021, the Fund’s open futures contracts were as follows:

Long Futures

 

Description    Expiration
Date
     Number of
Contracts
     Notional
Amount
     Value and
Unrealized
Appreciation/
(Depreciation)
 

DJ EURO STOXX 50 December Futures (Euro)

     12/17/21        6      $ 281,303      $ (6,261

FTSE 100 Index December Futures (British Pounds)

     12/17/21        1        95,294        719      

S&P 500 Index E-Mini December Futures (U.S. Dollar)

     12/17/21        9        1,933,988        (67,216

SGX Nikkei 225 Index December Futures (Japenese Yen)

     12/9/21        1        133,312        478  
           

 

 

 
            $         (72,280)  
           

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Growth Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks (99.5%):

 

Aerospace & Defense (0.5%):

 

3,229   Axon Enterprise, Inc.*    $ 565,140  
3,556   BWX Technologies, Inc.      191,526  
767   HEICO Corp.      101,144  
1,346   HEICO Corp., Class A      159,407  
1,541   Howmet Aerospace, Inc.      48,079  
10,671   Lockheed Martin Corp.      3,682,562  
603   Northrop Grumman Corp.      217,171  
1,625   Spirit AeroSystems Holdings, Inc., Class A      71,809  
739   TransDigm Group, Inc.*      461,557  
8,410   Virgin Galactic Holdings, Inc.*^      212,773  
    

 

 

 

       5,711,168  
    

 

 

 

Air Freight & Logistics (0.9%):   
1,136   C.H. Robinson Worldwide, Inc.      98,832  
6,000   Expeditors International of Washington, Inc.      714,780  
5,331   FedEx Corp.      1,169,035  
4,198   GXO Logistics, Inc.*      329,291  
35,830   United Parcel Service, Inc., Class B      6,524,643  
4,198   XPO Logistics, Inc.*      334,077  
    

 

 

 

       9,170,658  
    

 

 

 

Airlines (0.1%):   
31,037   Delta Air Lines, Inc.*      1,322,487  
    

 

 

 

Auto Components (0.0%):   
2,327   Aptiv plc*      346,653  
7,306   QuantumScape Corp.*      179,289  
    

 

 

 

       525,942  
    

 

 

 

Automobiles (2.9%):   
39,446   Tesla, Inc.*      30,589,584  
1,151   Thor Industries, Inc.      141,297  
    

 

 

 

       30,730,881  
    

 

 

 

Banks (0.0%):   
3,265   Citizens Financial Group, Inc.      153,390  
1,519   Sterling Bancorp      37,914  
854   Synovus Financial Corp.      37,482  
2,477   Western Alliance Bancorp      269,547  
    

 

 

 

       498,333  
    

 

 

 

Beverages (1.7%):   
465   Boston Beer Co., Inc. (The), Class A*      237,034  
1,156   Brown-Forman Corp., Class A      72,446  
4,367   Brown-Forman Corp., Class B      292,633  
135,752   Coca-Cola Co. (The)      7,122,907  
17,184   Monster Beverage Corp.*      1,526,455  
56,759   PepsiCo, Inc.      8,537,121  
    

 

 

 

       17,788,596  
    

 

 

 

Biotechnology (2.8%):   
87,495   AbbVie, Inc.      9,438,086  
2,561   Acceleron Pharma, Inc.*      440,748  
5,828   Alnylam Pharmaceuticals, Inc.*      1,100,385  
23,127   Amgen, Inc.      4,917,957  
2,823   CureVac NV*^      154,192  
7,742   Exact Sciences Corp.*      738,974  
12,421   Exelixis, Inc.*      262,580  
7,984   Incyte Corp.*      549,140  
5,942   Ionis Pharmaceuticals, Inc.*      199,295  
2,346   Iovance Biotherapeutics, Inc.*      57,852  
1,530   Mirati Therapeutics, Inc.*      270,672  
16,737   Moderna, Inc.*      6,441,402  
3,869   Natera, Inc.*      431,161  
4,652   Neurocrine Biosciences, Inc.*      446,173  
3,605   Novavax, Inc.*      747,353  
518   Regeneron Pharmaceuticals, Inc.*      313,483  
2,594   Repligen Corp.*      749,640  
3,795   Sarepta Therapeutics, Inc.*      350,962  
Shares                 Value        
Common Stocks, continued

 

Biotechnology, continued

 

5,848   Seagen, Inc.*    $ 992,990  
2,197   Ultragenyx Pharmaceutical, Inc.*      198,147  
5,210   Vertex Pharmaceuticals, Inc.*      945,042  
    

 

 

 

       29,746,234  
    

 

 

 

Building Products (0.4%):   
2,989   Advanced Drainage Systems, Inc.      323,320  
3,345   Allegion plc      442,142  
1,165   Armstrong World Industries, Inc.      111,223  
3,185   AZEK Co., Inc. (The)*      116,348  
20,200   Carrier Global Corp.      1,045,552  
1,525   Fortune Brands Home & Security, Inc.      136,365  
5,735   Trane Technologies plc      990,148  
5,748   Trex Co., Inc.*      585,894  
    

 

 

 

       3,750,992  
    

 

 

 

Capital Markets (1.6%):   
3,163   Ameriprise Financial, Inc.      835,412  
8,923   Apollo Global Management, Inc.      549,568  
5,993   Ares Management Corp., Class A      442,463  
33,797   Blackstone Group, Inc. (The), Class A      3,931,943  
1,584   FactSet Research Systems, Inc.      625,331  
905   Goldman Sachs Group, Inc. (The)      342,117  
3,960   LPL Financial Holdings, Inc.      620,770  
1,834   MarketAxess Holdings, Inc.      771,545  
7,612   Moody’s Corp.      2,703,097  
1,034   Morningstar, Inc.      267,837  
2,790   MSCI, Inc., Class A      1,697,269  
468   Raymond James Financial, Inc.      43,187  
8,457   S&P Global, Inc.      3,593,295  
3,645   T. Rowe Price Group, Inc.      716,971  
    

 

 

 

       17,140,805  
    

 

 

 

Chemicals (0.8%):   
1,964   Axalta Coating Systems, Ltd.*      57,329  
1,956   Celanese Corp.      294,652  
4,504   Chemours Co. (The)      130,886  
2,118   Diversey Holdings, Ltd.*      33,973  
2,278   Dow, Inc.      131,122  
10,901   Ecolab, Inc.      2,274,167  
1,802   FMC Corp.      164,991  
1,719   Lyondellbasell Industries NV      161,328  
694   Olin Corp.      33,485  
4,894   PPG Industries, Inc.      699,891  
3,542   RPM International, Inc.      275,036  
2,049   Scotts Miracle-Gro Co. (The)      299,892  
12,018   Sherwin Williams Co.      3,361,795  
385   Westlake Chemical Corp.      35,089  
    

 

 

 

       7,953,636  
    

 

 

 

Commercial Services & Supplies (0.4%):   
4,073   Cintas Corp.      1,550,428  
10,384   Copart, Inc.*      1,440,468  
6,538   IAA, Inc.*      356,779  
515   MSA Safety, Inc.      75,036  
10,331   Rollins, Inc.      364,994  
3,342   Waste Management, Inc.      499,161  
    

 

 

 

       4,286,866  
    

 

 

 

Communications Equipment (0.1%):   
2,644   Arista Networks, Inc.*      908,584  
10,664   CommScope Holding Co., Inc.*      144,924  
302   Ubiquiti, Inc.      90,198  
    

 

 

 

       1,143,706  
    

 

 

 

Consumer Finance (0.5%):   
20,226   American Express Co.      3,388,462  
6   Credit Acceptance Corp.*      3,512  
8,190   Discover Financial Services      1,006,141  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Growth Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued

 

Consumer Finance, continued

 

5,068   Synchrony Financial    $ 247,724  
2,243   Upstart Holdings, Inc.*      709,775  
    

 

 

 

       5,355,614  
    

 

 

 

Containers & Packaging (0.1%):   
2,185   Avery Dennison Corp.      452,754  
4,800   Ball Corp.      431,856  
643   Crown Holdings, Inc.      64,802  
4,229   Graphic Packaging Holding Co.      80,520  
3,799   Sealed Air Corp.      208,147  
    

 

 

 

       1,238,079  
    

 

 

 

Distributors (0.1%):   
1,937   Pool Corp.      841,452  
    

 

 

 

Diversified Consumer Services (0.1%):   
2,411   Bright Horizons Family Solutions, Inc.*      336,142  
5,188   Chegg, Inc.*      352,888  
3,112   Frontdoor, Inc.*      130,393  
7,422   H&R Block, Inc.      185,550  
1,802   Mister Car Wash, Inc.*      32,886  
    

 

 

 

       1,037,859  
    

 

 

 

Electrical Equipment (0.4%):   
6,627   Enphase Energy, Inc.*      993,851  
3,027   Generac Holdings, Inc.*      1,237,044  
25,334   Plug Power, Inc.*      647,030  
3,502   Rockwell Automation, Inc.      1,029,728  
13,531   Vertiv Holdings Co.      325,962  
    

 

 

 

       4,233,615  
    

 

 

 

Electronic Equipment, Instruments & Components (0.6%):

 

20,819   Amphenol Corp., Class A      1,524,576  
6,807   CDW Corp.      1,239,010  
8,471   Cognex Corp.      679,544  
1,102   Coherent, Inc.*      275,599  
12,847   Corning, Inc.      468,787  
163   IPG Photonics Corp.*      25,819  
5,566   Jabil, Inc.      324,888  
4,052   Keysight Technologies, Inc.*      665,703  
3,937   Vontier Corp.      132,283  
2,646   Zebra Technologies Corp., Class A*      1,363,801  
    

 

 

 

       6,700,010  
    

 

 

 

Energy Equipment & Services (0.0%):   
2,496   Halliburton Co.      53,963  
    

 

 

 

Entertainment (1.5%):   
2,357   Live Nation Entertainment, Inc.*      214,793  
385   Madison Square Garden Sports Corp., Class A*      71,591  
21,362   Netflix, Inc.*      13,038,083  
5,166   Playtika Holding Corp.*      142,737  
15,647   Skillz, Inc.*^      153,653  
6,720   Spotify Technology SA*      1,514,285  
1,208   Take-Two Interactive Software, Inc.*      186,117  
4,669   Walt Disney Co. (The)*      789,855  
1,890   World Wrestling Entertainment, Inc., Class A      106,331  
21,193   Zynga, Inc.*      159,583  
    

 

 

 

       16,377,028  
    

 

 

 

Equity Real Estate Investment Trusts (1.7%):   
22,353   American Tower Corp.      5,932,710  
1,703   Brookfield Renewable Corp., Class A      66,093  
1,769   Coresite Realty Corp.      245,077  
21,348   Crown Castle International Corp.      3,700,035  
3,119   Equinix, Inc.      2,464,415  
4,476   Equity Lifestyle Properties, Inc.      349,576  
620   Extra Space Storage, Inc.      104,154  
Shares                 Value        
Common Stocks, continued

 

Equity Real Estate Investment Trusts, continued

 

9,959   Iron Mountain, Inc.    $ 432,719  
3,698   Lamar Advertising Co., Class A      419,538  
5,733   Public Storage, Inc.      1,703,274  
868   SBA Communications Corp.      286,935  
14,072   Simon Property Group, Inc.      1,828,938  
    

 

 

 

       17,533,464  
    

 

 

 

Food & Staples Retailing (1.0%):   
20,457   Costco Wholesale Corp.      9,192,353  
23,988   Sysco Corp.      1,883,058  
    

 

 

 

       11,075,411  
    

 

 

 

Food Products (0.2%):   
2,369   Beyond Meat, Inc.*^      249,361  
451   Darling Ingredients, Inc.*      32,427  
1,921   Freshpet, Inc.*      274,108  
6,197   Hershey Co. (The)      1,048,842  
5,416   Kellogg Co.      346,191  
2,477   Lamb Weston Holdings, Inc.      152,013  
1,200   Pilgrim’s Pride Corp.*      34,896  
    

 

 

 

       2,137,838  
    

 

 

 

Health Care Equipment & Supplies (3.0%):   
42,984   Abbott Laboratories      5,077,700  
2,235   ABIOMED, Inc.*      727,537  
3,871   Align Technology, Inc.*      2,575,880  
1,620   Danaher Corp.      493,193  
4,748   DexCom, Inc.*      2,596,491  
30,577   Edwards Lifesciences Corp.*      3,461,622  
824   Figs, Inc., Class A*^      30,603  
8   Globus Medical, Inc.*      613  
4,211   IDEXX Laboratories, Inc.*      2,618,821  
3,271   Insulet Corp.*      929,716  
5,845   Intuitive Surgical, Inc.*      5,810,807  
1,802   Masimo Corp.*      487,820  
4,976   Novocure, Ltd.*      578,062  
1,662   Penumbra, Inc.*      442,923  
6,374   ResMed, Inc.      1,679,868  
547   Steris plc      111,741  
7,345   Stryker Corp.      1,937,023  
2,783   Tandem Diabetes Care, Inc.*      332,235  
440   Teleflex, Inc.      165,682  
3,669   West Pharmaceutical Services, Inc.      1,557,637  
    

 

 

 

       31,615,974  
    

 

 

 

Health Care Providers & Services (0.6%):   
3,569   agilon health, Inc.*      93,544  
1,405   Amedisys, Inc.*      209,486  
8,546   Cardinal Health, Inc.      422,685  
219   Chemed Corp.      101,861  
2,341   DaVita, Inc.*      272,165  
2,578   Encompass Health Corp.      193,453  
4,530   Guardant Health, Inc.*      566,295  
12,545   HCA Healthcare, Inc.      3,044,922  
1,057   McKesson Corp.      210,745  
466   Molina Healthcare, Inc.*      126,430  
4,334   Oak Street Health, Inc.*^      184,325  
3,133   UnitedHealth Group, Inc.      1,224,188  
    

 

 

 

       6,650,099  
    

 

 

 

Health Care Technology (0.2%):   
2,347   Certara, Inc.*      77,686  
6,752   Veeva Systems, Inc., Class A*      1,945,724  
    

 

 

 

       2,023,410  
    

 

 

 

Hotels, Restaurants & Leisure (1.9%):   
929   Boyd Gaming Corp.*      58,769  
6,244   Caesars Entertainment, Inc.*      701,076  
1,388   Chipotle Mexican Grill, Inc.*      2,522,718  
1,574   Choice Hotels International, Inc.      198,906  
1,807   Churchill Downs, Inc.      433,825  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Growth Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued

 

Hotels, Restaurants & Leisure, continued

 

4,461   Darden Restaurants, Inc.    $ 675,708  
1,242   Domino’s Pizza, Inc.      592,384  
14,824   DraftKings, Inc., Class A*      713,924  
9,295   Hilton Worldwide Holdings, Inc.*      1,227,962  
16,030   Las Vegas Sands Corp.*      586,698  
13,523   Marriott International, Inc., Class A*      2,002,621  
6,567   McDonald’s Corp.      1,583,369  
489   Penn National Gaming, Inc.*      35,433  
2,985   Planet Fitness, Inc., Class A*      234,472  
1,570   Six Flags Entertainment Corp.*      66,725  
58,352   Starbucks Corp.      6,436,809  
2,994   Travel + Leisure Co.      163,263  
1,920   Vail Resorts, Inc.*      641,376  
8,468   Wendy’s Co. (The)      183,586  
2,617   Wyndham Hotels & Resorts, Inc.      202,006  
5,312   Wynn Resorts, Ltd.*      450,192  
1,598   Yum China Holdings, Inc.      92,860  
1,244   Yum! Brands, Inc.      152,154  
    

 

 

 

       19,956,836  
    

 

 

 

Household Durables (0.4%):   
6,813   Bath & Body Works, Inc.      429,423  
6,920   DR Horton, Inc.      581,073  
103   NVR, Inc.*      493,790  
3,344   PulteGroup, Inc.      153,557  
5,799   Roku, Inc.*      1,817,117  
8,966   Tempur Sealy International, Inc.      416,112  
2,418   Toll Brothers, Inc.      133,691  
1,298   TopBuild Corp.*      265,843  
    

 

 

 

       4,290,606  
    

 

 

 

Household Products (0.3%):   
691   Church & Dwight Co., Inc.      57,056  
4,952   Clorox Co. (The)      820,101  
21,813   Colgate-Palmolive Co.      1,648,626  
8,441   Kimberly-Clark Corp.      1,117,926  
    

 

 

 

       3,643,709  
    

 

 

 

Independent Power and Renewable Electricity Producers (0.0%):

 

5,632   NRG Energy, Inc.      229,955  
    

 

 

 

Industrial Conglomerates (0.2%):   
4,153   3M Co.      728,519  
874   Carlisle Cos., Inc.      173,743  
7,421   Honeywell International, Inc.      1,575,330  
    

 

 

 

       2,477,592  
    

 

 

 

Insurance (0.3%):   
79   Alleghany Corp.*      49,328  
6,470   Aon plc, Class A      1,848,932  
4,086   Arch Capital Group, Ltd.*      156,003  
542   Brown & Brown, Inc.      30,054  
823   Erie Indemnity Co., Class A      146,840  
478   Everest Re Group, Ltd.      119,873  
6,032   GoHealth, Inc., Class A*      30,341  
471   Lemonade, Inc.*^      31,562  
1,147   Lincoln National Corp.      78,856  
120   Markel Corp.*      143,416  
2,831   Marsh & McLennan Cos., Inc.      428,698  
922   RenaissanceRe Holdings, Ltd.      128,527  
    

 

 

 

       3,192,430  
    

 

 

 

Interactive Media & Services (10.5%):   
12,808   Alphabet, Inc., Class A*      34,242,444  
11,953   Alphabet, Inc., Class C*      31,858,451  
118,405   Facebook, Inc., Class A*      40,185,473  
13,771   Match Group, Inc.*      2,161,909  
27,395   Pinterest, Inc., Class A*      1,395,775  
3,205   TripAdvisor, Inc.*      108,489  
3,869   Twitter, Inc.*      233,649  
Shares                 Value        
Common Stocks, continued

 

Interactive Media & Services, continued

 

6,103   Vimeo, Inc.*    $ 179,245  
2,794   Zillow Group, Inc., Class A*      247,493  
8,423   Zillow Group, Inc., Class C*      742,403  
    

 

 

 

       111,355,331  
    

 

 

 

Internet & Direct Marketing Retail (7.7%):   
21,473   Amazon.com, Inc.*      70,539,664  
2,027   Booking Holdings, Inc.*      4,811,834  
6,312   DoorDash, Inc., Class A*      1,300,146  
31,900   eBay, Inc.      2,222,473  
6,195   Etsy, Inc.*      1,288,312  
7,215   Expedia Group, Inc.*      1,182,539  
2,104   Wayfair, Inc., Class A*^      537,593  
    

 

 

 

       81,882,561  
    

 

 

 

IT Services (7.6%):   
25,284   Accenture plc, Class A      8,088,857  
19,270   Automatic Data Processing, Inc.      3,852,458  
6,410   Booz Allen Hamilton Holding Corp.      508,634  
5,146   Broadridge Financial Solutions, Inc.      857,529  
2,683   EPAM Systems, Inc.*      1,530,598  
1,639   Euronet Worldwide, Inc.*      208,612  
1,853   Fiserv, Inc.*      201,051  
861   FleetCor Technologies, Inc.*      224,954  
4,048   Gartner, Inc.*      1,230,106  
487   Genpact, Ltd.      23,137  
910   GoDaddy, Inc., Class A*      63,427  
1,024   Jack Henry & Associates, Inc.      167,997  
43,297   MasterCard, Inc., Class A      15,053,501  
3,083   MongoDB, Inc.*      1,453,665  
6,133   Okta, Inc.*      1,455,606  
13,985   Paychex, Inc.      1,572,613  
58,129   PayPal Holdings, Inc.*      15,125,747  
13,893   Sabre Corp.*^      164,493  
1,851   Shift4 Payments, Inc., Class A*      143,490  
9,165   Snowflake, Inc., Class A*      2,771,771  
19,576   Square, Inc., Class A*      4,695,108  
9,959   StoneCo, Ltd., Class A*      345,777  
5,700   Switch, Inc., Class A      144,723  
4,829   Teradata Corp.*      276,943  
2,329   Twilio, Inc., Class A*      743,068  
83,766   Visa, Inc., Class A      18,658,877  
6,190   Western Union Co. (The.)      125,162  
1,616   WEX, Inc.*      284,642  
2,558   Wix.com, Ltd.*      501,291  
    

 

 

 

       80,473,837  
    

 

 

 

Leisure Products (0.2%):   
529   Brunswick Corp.      50,398  
16,886   Mattel, Inc.*      313,404  
13,072   Peloton Interactive, Inc., Class A*      1,137,917  
1,848   Polaris, Inc.      221,132  
4,161   YETI Holdings, Inc.*      356,556  
    

 

 

 

       2,079,407  
    

 

 

 

Life Sciences Tools & Services (1.4%):   
4,037   10X Genomics, Inc., Class A*      587,706  
4,404   Adaptive Biotechnologies Corp.*      149,692  
13,581   Agilent Technologies, Inc.      2,139,415  
28,843   Avantor, Inc.*      1,179,679  
1,908   Bio-Techne Corp.      924,560  
5,048   Bruker Corp.      394,249  
2,282   Charles River Laboratories International, Inc.*      941,713  
7,220   Illumina, Inc.*      2,928,504  
4,704   IQVIA Holdings, Inc.*      1,126,796  
5,052   Maravai LifeSciences Holdings, Inc., Class A*      247,952  
1,142   Mettler-Toledo International, Inc.*      1,572,945  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Growth Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued

 

Life Sciences Tools & Services, continued

 

3,481   PPD, Inc.*    $ 162,876  
5,527   Sotera Health Co.*      144,531  
561   Syneos Health, Inc.*      49,076  
1,750   Thermo Fisher Scientific, Inc.      999,827  
2,829   Waters Corp.*      1,010,802  
    

 

 

 

       14,560,323  
    

 

 

 

Machinery (1.4%):   
325   AGCO Corp.      39,822  
4,130   Allison Transmission Holdings, Inc.      145,872  
23,456   Caterpillar, Inc.      4,502,848  
13,931   Deere & Co.      4,667,860  
840   Donaldson Co., Inc.      48,224  
5,101   Graco, Inc.      356,917  
14,026   Illinois Tool Works, Inc.      2,898,192  
2,797   Lincoln Electric Holdings, Inc.      360,226  
881   Middleby Corp. (The)*      150,219  
527   Nordson Corp.      125,505  
1,018   Parker-Hannifin Corp.      284,653  
4,901   Toro Co. (The)      477,407  
5,742   Xylem, Inc.      710,171  
    

 

 

 

       14,767,916  
    

 

 

 

Media (0.5%):   
6,699   Altice USA, Inc., Class A*      138,803  
134   Cable One, Inc.      242,959  
6,042   Charter Communications, Inc., Class A*      4,395,918  
149   Nexstar Media Group, Inc., Class A      22,642  
    

 

 

 

       4,800,322  
    

 

 

 

Metals & Mining (0.1%):   
20,849   Freeport-McMoRan, Inc.      678,218  
3,531   Southern Copper Corp.      198,230  
1,456   Steel Dynamics, Inc.      85,147  
    

 

 

 

       961,595  
    

 

 

 

Multiline Retail (0.3%):   
4,994   Dollar General Corp.      1,059,427  
4,950   Nordstrom, Inc.*^      130,927  
10,989   Target Corp.      2,513,954  
    

 

 

 

       3,704,308  
    

 

 

 

Oil, Gas & Consumable Fuels (0.3%):   
11,619   Cheniere Energy, Inc.*      1,134,828  
1,068   Cimarex Energy Co.      93,129  
846   Continental Resources, Inc.^      39,043  
2,324   Coterra Energy, Inc.      50,570  
4,109   Diamondback Energy, Inc.      388,999  
3,211   EOG Resources, Inc.      257,747  
1,002   Hess Corp.      78,266  
1,407   New Fortress Energy, Inc.      39,044  
5,705   Occidental Petroleum Corp.      168,754  
4,666   Pioneer Natural Resources Co.      776,936  
285   Texas Pacific Land Corp.      344,668  
    

 

 

 

       3,371,984  
    

 

 

 

Paper & Forest Products (0.0%):   
553   Louisiana-Pacific Corp.      33,938  
    

 

 

 

Personal Products (0.3%):   
11,373   Estee Lauder Co., Inc. (The), Class A      3,411,104  
875   Herbalife Nutrition, Ltd.*      37,082  
    

 

 

 

       3,448,186  
    

 

 

 

Pharmaceuticals (1.2%):   
1,786   Catalent, Inc.*      237,663  
33,130   Eli Lilly & Co.      7,654,687  
1,856   Horizon Therapeutics plc*      203,306  
9,390   Royalty Pharma plc, Class A      339,355  
22,387   Zoetis, Inc.      4,346,212  
    

 

 

 

       12,781,223  
    

 

 

 

Shares                 Value        
Common Stocks, continued

 

Professional Services (0.4%):

 

15,093   CoStar Group, Inc.*    $ 1,298,903  
2,331   Equifax, Inc.      590,722  
972   Legalzoom.com, Inc.*^      25,661  
4,752   Robert Half International, Inc.      476,768  
6,383   TransUnion      716,875  
4,974   Verisk Analytics, Inc.      996,143  
    

 

 

 

       4,105,072  
    

 

 

 

Real Estate Management & Development (0.0%):   
941   CBRE Group, Inc., Class A*      91,616  
4,047   Opendoor Technologies, Inc.*^      83,085  
    

 

 

 

       174,701  
    

 

 

 

Road & Rail (1.0%):   
3,714   J.B. Hunt Transport Services, Inc.      621,055  
1,218   Kansas City Southern      329,639  
1,636   Landstar System, Inc.      258,194  
14,288   Lyft, Inc., Class A*      765,694  
4,684   Old Dominion Freight Line, Inc.      1,339,530  
852   TuSimple Holdings, Inc., Class A*^      31,635  
68,273   Uber Technologies, Inc.*      3,058,630  
20,364   Union Pacific Corp.      3,991,548  
    

 

 

 

       10,395,925  
    

 

 

 

Semiconductors & Semiconductor Equipment (7.3%):

 

59,857   Advanced Micro Devices, Inc.*      6,159,285  
1,997   Allegro MicroSystems, Inc.*      63,824  
10,677   Analog Devices, Inc.      1,788,184  
45,260   Applied Materials, Inc.      5,826,320  
19,758   Broadcom, Inc.      9,581,247  
2,846   Brooks Automation, Inc.      291,288  
6,650   Entegris, Inc.      837,235  
7,543   KLA Corp.      2,523,209  
7,036   Lam Research Corp.      4,004,539  
11,275   Microchip Technology, Inc.      1,730,600  
7,817   Micron Technology, Inc.      554,851  
2,320   MKS Instruments, Inc.      350,111  
2,227   Monolithic Power Systems, Inc.      1,079,382  
118,352   NVIDIA Corp.      24,517,800  
4,050   NXP Semiconductors NV      793,274  
11,220   ON Semiconductor Corp.*      513,539  
55,811   Qualcomm, Inc.      7,198,503  
3,775   Skyworks Solutions, Inc.      622,045  
8,217   Teradyne, Inc.      897,050  
28,326   Texas Instruments, Inc.      5,444,540  
2,155   Universal Display Corp.      368,419  
12,108   Xilinx, Inc.      1,828,187  
    

 

 

 

       76,973,432  
    

 

 

 

Software (18.0%):   
23,631   Adobe, Inc.*      13,604,839  
2,744   Alteryx, Inc., Class A*      200,586  
6,843   Anaplan, Inc.*      416,670  
1,824   ANSYS, Inc.*      620,981  
3,315   Aspen Technology, Inc.*      407,082  
6,702   Atlassian Corp. plc, Class A*      2,623,297  
10,885   Autodesk, Inc.*      3,104,075  
4,142   Avalara, Inc.*      723,897  
6,681   Bentley Systems, Inc., Class B^      405,136  
3,715   Bill.com Holdings, Inc.*      991,719  
212   C3.ai, Inc., Class A*^      9,824  
13,585   Cadence Design Systems, Inc.*      2,057,312  
994   CDK Global, Inc.      42,295  
2,193   Citrix Systems, Inc.      235,462  
12,122   Cloudflare, Inc., Class A*      1,365,543  
3,588   Coupa Software, Inc.*      786,418  
9,807   Crowdstrike Holdings, Inc., Class A*      2,410,364  
11,572   Datadog, Inc., Class A*      1,635,702  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Growth Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued

 

Software, continued

 

9,460   DocuSign, Inc.*    $ 2,435,288  
984   Doubleverify Holdings, Inc.*^      33,613  
14,961   Dropbox, Inc., Class A*      437,160  
562   Duck Creek Technologies, Inc.*^      24,863  
9,210   Dynatrace, Inc.*      653,634  
3,353   Elastic NV*      499,563  
2,025   Everbridge, Inc.*      305,856  
1,338   Fair Isaac Corp.*      532,430  
3,182   FireEye, Inc.*      56,640  
3,196   Five9, Inc.*      510,529  
6,586   Fortinet, Inc.*      1,923,375  
2,025   Globant SA*      569,045  
2,221   HubSpot, Inc.*      1,501,596  
12,629   Intuit, Inc.      6,813,472  
2,228   Jamf Holding Corp.*^      85,823  
1,586   Manhattan Associates, Inc.*      242,706  
2,912   McAfee Corp., Class A      64,384  
3,176   Medallia, Inc.*      107,571  
372,904   Microsoft Corp.      105,129,096  
2,791   nCino, Inc.*      198,245  
2,421   New Relic, Inc.*      173,755  
6,466   NortonLifeLock, Inc.      163,590  
5,456   Nuance Communications, Inc.*      300,298  
9,285   Nutanix, Inc., Class A*      350,045  
77,745   Oracle Corp.      6,773,922  
80,538   Palantir Technologies, Inc., Class A*      1,936,134  
4,750   Palo Alto Networks, Inc.*      2,275,250  
2,540   Paycom Software, Inc.*      1,259,205  
1,135   Paycor HCM, Inc.*^      39,907  
1,864   Paylocity Holding Corp.*      522,666  
1,841   Pegasystems, Inc.      233,991  
387   Procore Technologies, Inc.*      34,575  
5,190   PTC, Inc.*      621,710  
3,961   RingCentral, Inc., Class A*      861,518  
8,789   salesforce.com, Inc.*      2,383,753  
9,797   ServiceNow, Inc.*      6,096,379  
5,804   Smartsheet, Inc., Class A*      399,431  
8,107   Splunk, Inc.*      1,173,164  
4,802   Synopsys, Inc.*      1,437,767  
21,047   The Trade Desk, Inc., Class A*      1,479,604  
1,711   Tyler Technologies, Inc.*      784,750  
7,247   Unity Software, Inc.*      914,934  
1,346   Vmware, Inc., Class A*^      200,150  
9,356   Workday, Inc., Class A*      2,337,971  
5,872   Zendesk, Inc.*      683,442  
10,571   Zoom Video Communications, Inc., Class A*      2,764,317  
3,854   Zscaler, Inc.*      1,010,596  
    

 

 

 

       190,978,915  
    

 

 

 

Specialty Retail (3.7%):   
228   AutoZone, Inc.*      387,142  
2,754   Best Buy Co., Inc.      291,125  
3,073   Burlington Stores, Inc.*      871,411  
538   CarMax, Inc.*      68,843  
3,852   Carvana Co.*      1,161,532  
2,757   Five Below, Inc.*      487,465  
4,971   Floor & Decor Holdings, Inc., Class A*      600,447  
3,194   GameStop Corp., Class A*^      560,451  
52,620   Home Depot, Inc. (The)      17,273,041  
5,131   Leslie’s, Inc.*      105,391  
133   Lithia Motors, Inc.      42,166  
34,996   Lowe’s Cos., Inc.      7,099,289  
1,006   O’Reilly Automotive, Inc.*      614,726  
849   RH*      566,207  
17,433   Ross Stores, Inc.      1,897,582  
Shares                 Value        
Common Stocks, continued

 

Specialty Retail, continued

 

59,767   TJX Cos., Inc. (The)    $ 3,943,427  
5,721   Tractor Supply Co.      1,159,132  
2,646   Ulta Beauty, Inc.*      954,994  
2,259   Victoria’s Secret & Co.*      124,832  
1,529   Vroom, Inc.*^      33,745  
2,837   Williams-Sonoma, Inc.      503,085  
    

 

 

 

       38,746,033  
    

 

 

 

Technology Hardware, Storage & Peripherals (10.6%):

 

776,682   Apple, Inc.      109,900,503  
6,552   Dell Technologies, Inc., Class C*      681,670  
20,605   HP, Inc.      563,753  
2,302   NCR Corp.*      89,225  
7,218   NetApp, Inc.      647,888  
11,999   Pure Storage, Inc., Class A*      301,895  
    

 

 

 

       112,184,934  
    

 

 

 

Textiles, Apparel & Luxury Goods (1.2%):   
322   Columbia Sportswear Co.      30,860  
202   Deckers Outdoor Corp.*      72,760  
9,253   Hanesbrands, Inc.      158,782  
5,646   Lululemon Athletica, Inc.*      2,284,936  
61,311   Nike, Inc., Class B      8,904,197  
734   Skechers U.S.A., Inc., Class A*      30,916  
1,483   Tapestry, Inc.      54,901  
10,168   VF Corp.      681,154  
    

 

 

 

       12,218,506  
    

 

 

 

Thrifts & Mortgage Finance (0.0%):   
7,189   Rocket Cos., Inc., Class A^      115,312  
4,709   UWM Holdings Corp.      32,727  
    

 

 

 

       148,039  
    

 

 

 

Tobacco (0.2%):   
51,251   Altria Group, Inc.      2,332,945  
    

 

 

 

Trading Companies & Distributors (0.3%):   
1,233   Core & Main, Inc., Class A*      32,317  
25,334   Fastenal Co.      1,307,488  
1,053   SiteOne Landscape Supply, Inc.*      210,042  
1,233   United Rentals, Inc.*      432,696  
1,865   W.W. Grainger, Inc.      733,057  
    

 

 

 

       2,715,600  
    

 

 

 

Total Common Stocks (Cost $452,089,273)

     1,055,630,281  
    

 

 

 

Principal
Amount
        Value
Short-Term Security Held as Collateral for Securities on Loan (0.3%):

 

3,180,715   BlackRock Liquidity FedFund, Institutional Class , 0.03%(a)(b)      3,180,715  
    

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan (Cost $3,180,715)

     3,180,715  
    

 

 

 

Shares         Value
Unaffiliated Investment Company (0.5%):   
Money Markets (0.5%):   
5,545,075   Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(b)      5,545,075  
    

 

 

 

Total Unaffiliated Investment Company (Cost $5,545,075)

     5,545,075  
    

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Growth Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Unaffiliated Investment Company, continued

 

Total Investment Securities

 

(Cost $460,815,063) - 100.3%

   $ 1,064,356,071  

Net other assets (liabilities) - (0.3)%

     (3,586,814
    

 

 

 

Net Assets - 100.0%

    $ 1,060,769,257  
    

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

*

Non-income producing security.

^

This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities on loan as of September 30, 2021 was $3,085,025.

Represents less than 0.05%.

(a)

Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.

(b)

The rate represents the effective yield at September 30, 2021.

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Growth Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Futures Contracts

At September 30, 2021, the Fund’s open futures contracts were as follows:

Long Futures

 

Description    Expiration
Date
     Number of
Contracts
     Notional
Amount
     Value and
Unrealized
Appreciation/
(Depreciation)

NASDAQ 100 E-Mini December Futures (U.S. Dollar)

     12/17/21        16      $       4,698,400      $ (164,144 )     

S&P 500 Index E-Mini December Futures (U.S. Dollar)

     12/17/21        5        1,074,438        (33,404
           

 

 

 

            $       (197,548
           

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Value Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks (99.5%):   
Aerospace & Defense (2.5%):   
31,786   Boeing Co. (The)*    $ 6,991,013  
1,432   BWX Technologies, Inc.      77,128  
2,401   Curtiss-Wright Corp.      302,958  
14,781   General Dynamics Corp.      2,897,519  
1,887   HEICO Corp.      248,839  
3,264   HEICO Corp., Class A      386,556  
4,683   Hexcel Corp.*      278,123  
21,020   Howmet Aerospace, Inc.      655,824  
2,444   Huntington Ingalls Industries, Inc.      471,839  
11,958   L3harris Technologies, Inc.      2,633,630  
1,819   Lockheed Martin Corp.      627,737  
3,388   Mercury Systems, Inc.*      160,659  
8,143   Northrop Grumman Corp.      2,932,701  
89,909   Raytheon Technologies Corp.      7,728,578  
4,533   Spirit AeroSystems Holdings, Inc., Class A      200,313  
2,728   Teledyne Technologies, Inc.*      1,171,894  
13,663   Textron, Inc.      953,814  
2,190   TransDigm Group, Inc.*      1,367,808  
180   Virgin Galactic Holdings, Inc.*^      4,554  
    

 

 

 

             30,091,487  
    

 

 

 

Air Freight & Logistics (0.2%):   
6,412   C.H. Robinson Worldwide, Inc.      557,844  
2,785   Expeditors International of Washington, Inc.      331,777  
8,246   FedEx Corp.      1,808,265  
803   GXO Logistics, Inc.*      62,987  
803   XPO Logistics, Inc.*      63,903  
    

 

 

 

       2,824,776  
    

 

 

 

Airlines (0.4%):   
7,030   Alaska Air Group, Inc.*      411,958  
37,764   American Airlines Group, Inc.*      774,917  
1,589   Copa Holdings SA, Class A*      129,313  
18,964   JetBlue Airways Corp.*      289,959  
35,007   Southwest Airlines Co.*      1,800,410  
19,147   United Airlines Holdings, Inc.*      910,823  
    

 

 

 

       4,317,380  
    

 

 

 

Auto Components (0.3%):   
13,029   Aptiv plc*      1,940,930  
14,686   BorgWarner, Inc.      634,582  
13,914   Gentex Corp.      458,884  
3,517   Lear Corp.      550,340  
3,982   QuantumScape Corp.*      97,718  
    

 

 

 

       3,682,454  
    

 

 

 

Automobiles (0.7%):   
232,519   Ford Motor Co.*      3,292,469  
81,730   General Motors Co.*      4,307,988  
9,156   Harley-Davidson, Inc.      335,201  
1,932   Thor Industries, Inc.      237,173  
    

 

 

 

       8,172,831  
    

 

 

 

Banks (8.7%):   
440,151   Bank of America Corp.      18,684,410  
2,294   Bank of Hawaii Corp.      188,498  
7,332   Bank OZK      315,129  
1,587   BOK Financial Corp.      142,116  
120,450   Citigroup, Inc.      8,453,181  
20,265   Citizens Financial Group, Inc.      952,050  
8,249   Comerica, Inc.      664,045  
6,278   Commerce Bancshares, Inc.      437,451  
3,427   Cullen/Frost Bankers, Inc.      406,511  
8,248   East West Bancorp, Inc.      639,550  
18,027   F.N.B. Corp.      209,474  
41,079   Fifth Third Bancorp      1,743,393  
334   First Citizens BancShares, Inc., Class A      281,619  
Shares         Value
Common Stocks, continued   
Banks, continued   
7,723   First Hawaiian, Inc.    $ 226,670  
32,235   First Horizon Corp.      525,108  
10,574   First Republic Bank      2,039,513  
87,032   Huntington Bancshares, Inc.      1,345,515  
176,468   JPMorgan Chase & Co.      28,886,047  
56,871   KeyCorp      1,229,551  
7,654   M&T Bank Corp.      1,143,048  
6,557   PacWest Bancorp      297,163  
25,609   People’s United Financial, Inc.      447,389  
4,209   Pinnacle Financial Partners, Inc.      395,983  
25,296   PNC Financial Services Group, Inc. (The)      4,948,909  
4,750   Popular, Inc.      368,933  
5,386   Prosperity Bancshares, Inc.      383,106  
56,839   Regions Financial Corp.      1,211,239  
3,521   Signature Bank      958,698  
10,668   Sterling Bancorp      266,273  
3,377   SVB Financial Group*      2,184,514  
8,237   Synovus Financial Corp.      361,522  
80,212   Truist Financial Corp.      4,704,434  
79,682   U.S. Bancorp      4,736,298  
12,073   Umpqua Holdings Corp.      244,478  
5,390   Webster Financial Corp.      293,539  
245,873   Wells Fargo & Co.      11,410,966  
2,905   Western Alliance Bancorp      316,122  
3,120   Wintrust Financial Corp.      250,754  
9,782   Zions Bancorp      605,408  
    

 

 

 

           102,898,607  
    

 

 

 

Beverages (0.9%):   
1,395   Brown-Forman Corp., Class A      87,425  
5,695   Brown-Forman Corp., Class B      381,622  
67,591   Coca-Cola Co. (The)      3,546,500  
9,495   Constellation Brands, Inc., Class C      2,000,501  
41,997   Keurig Dr Pepper, Inc.      1,434,617  
10,597   Molson Coors Brewing Co., Class B      491,489  
1,226   Monster Beverage Corp.*      108,906  
13,888   PepsiCo, Inc.      2,088,894  
    

 

 

 

       10,139,954  
    

 

 

 

Biotechnology (1.4%):   
6,073   Amgen, Inc.      1,291,423  
8,856   Biogen, Inc.*      2,506,159  
10,718   BioMarin Pharmaceutical, Inc.*      828,394  
784   Exact Sciences Corp.*      74,833  
3,118   Exelixis, Inc.*      65,915  
74,472   Gilead Sciences, Inc.      5,201,869  
1,141   Incyte Corp.*      78,478  
498   Ionis Pharmaceuticals, Inc.*      16,703  
6,199   Iovance Biotherapeutics, Inc.*      152,867  
448   Mirati Therapeutics, Inc.*      79,256  
243   Natera, Inc.*      27,080  
5,305   Regeneron Pharmaceuticals, Inc.*      3,210,480  
143   Repligen Corp.*      41,326  
2,752   Sage Therapeutics, Inc.*      121,941  
880   Seagen, Inc.*      149,424  
1,019   Ultragenyx Pharmaceutical, Inc.*      91,904  
2,543   United Therapeutics Corp.*      469,387  
9,228   Vertex Pharmaceuticals, Inc.*      1,673,867  
    

 

 

 

       16,081,306  
    

 

 

 

Building Products (0.8%):   
7,730   A.O. Smith Corp.      472,071  
1,310   Allegion plc      173,156  
1,486   Armstrong World Industries, Inc.      141,868  
3,014   AZEK Co., Inc. (The)*      110,101  
11,953   Builders FirstSource, Inc.*      618,448  
27,472   Carrier Global Corp.      1,421,951  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Value Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Building Products, continued   
6,284   Fortune Brands Home & Security, Inc.    $ 561,915  
42,582   Johnson Controls International plc      2,898,983  
1,957   Lennox International, Inc.      575,691  
14,940   Masco Corp.      829,917  
6,298   Owens Corning      538,479  
7,271   Trane Technologies plc      1,255,338  
    

 

 

 

             9,597,918  
    

 

 

 

Capital Markets (4.9%):   
2,517   Affiliated Managers Group, Inc.      380,294  
2,924   Ameriprise Financial, Inc.      772,287  
1,184   Ares Management Corp., Class A      87,415  
47,199   Bank of New York Mellon Corp. (The)      2,446,796  
8,537   BlackRock, Inc., Class A+      7,159,640  
10,133   Carlyle Group, Inc. (The)      479,088  
6,265   Cboe Global Markets, Inc.      775,983  
89,339   Charles Schwab Corp. (The)      6,507,453  
21,304   CME Group, Inc.      4,119,767  
2,235   Evercore, Inc., Class A      298,752  
344   FactSet Research Systems, Inc.      135,804  
17,070   Franklin Resources, Inc.      507,320  
18,573   Goldman Sachs Group, Inc. (The)      7,021,151  
4,505   Interactive Brokers Group, Inc., Class A      280,842  
33,053   Intercontinental Exchange, Inc.      3,795,145  
20,507   Invesco, Ltd.      494,424  
7,826   Janus Henderson Group plc      323,449  
33,205   KKR & Co., Inc., Class A      2,021,520  
5,849   Lazard, Ltd., Class A      267,884  
469   Moody’s Corp.      166,547  
80,919   Morgan Stanley      7,874,228  
171   Morningstar, Inc.      44,294  
1,384   MSCI, Inc., Class A      841,943  
6,899   Nasdaq, Inc.      1,331,645  
12,323   Northern Trust Corp.      1,328,543  
10,387   Raymond James Financial, Inc.      958,512  
4,226   S&P Global, Inc.      1,795,585  
6,516   SEI Investments Co.      386,399  
21,569   State Street Corp.      1,827,326  
6,454   Stifel Financial Corp.      438,614  
8,994   T. Rowe Price Group, Inc.      1,769,120  
6,490   Tradeweb Markets, Inc., Class A      524,262  
5,830   Virtu Financial, Inc., Class A      142,427  
    

 

 

 

             57,304,459  
    

 

 

 

Chemicals (1.9%):   
13,137   Air Products & Chemicals, Inc.      3,364,517  
6,945   Albemarle Corp.      1,520,747  
3,252   Ashland Global Holdings, Inc.      289,818  
10,370   Axalta Coating Systems, Ltd.*      302,700  
4,114   Celanese Corp.      619,733  
12,929   CF Industries Holdings, Inc.      721,697  
4,833   Chemours Co. (The)      140,447  
44,044   Corteva, Inc.      1,853,372  
1,541   Diversey Holdings, Ltd.*      24,718  
41,041   Dow, Inc.      2,362,320  
31,261   DuPont de Nemours, Inc.      2,125,435  
8,241   Eastman Chemical Co.      830,198  
1,856   Ecolab, Inc.      387,199  
13,763   Element Solutions, Inc.      298,382  
5,883   FMC Corp.      538,647  
12,649   Huntsman Corp.      374,284  
14,723   International Flavors & Fragrances, Inc.      1,968,760  
13,751   Lyondellbasell Industries NV      1,290,531  
20,884   Mosaic Co. (The)      745,977  
414   NewMarket Corp.      140,251  
Shares         Value
Common Stocks, continued   
Chemicals, continued   
8,031   Olin Corp.    $ 387,496  
8,128   PPG Industries, Inc.      1,162,385  
2,865   RPM International, Inc.      222,467  
10,718   Valvoline, Inc.      334,187  
1,610   Westlake Chemical Corp.      146,735  
    

 

 

 

             22,153,003  
    

 

 

 

Commercial Services & Supplies (0.5%):   
10,882   ADT, Inc.^      88,035  
342   Cintas Corp.      130,186  
3,034   Clean Harbors, Inc.*      315,142  
3,136   Driven Brands Holdings, Inc.*      90,599  
1,573   MSA Safety, Inc.      229,186  
12,268   Republic Services, Inc., Class A      1,472,896  
722   Rollins, Inc.      25,508  
5,404   Stericycle, Inc.*      367,310  
21,012   Waste Management, Inc.      3,138,352  
    

 

 

 

             5,857,214  
    

 

 

 

Communications Equipment (1.6%):   
392   Arista Networks, Inc.*      134,707  
9,255   Ciena Corp.*      475,244  
251,182   Cisco Systems, Inc.      13,671,836  
3,501   F5 Networks, Inc.*      695,929  
19,049   Juniper Networks, Inc.      524,228  
4,748   Lumentum Holdings, Inc.*      396,648  
9,906   Motorola Solutions, Inc.      2,301,362  
4,027   ViaSat, Inc.*      221,767  
    

 

 

 

       18,421,721  
    

 

 

 

Construction & Engineering (0.3%):   
8,408   AECOM*      530,965  
7,547   Jacobs Engineering Group, Inc.      1,000,204  
3,470   MasTec, Inc.*      299,392  
8,207   Quanta Services, Inc.      934,121  
1,226   Valmont Industries, Inc.      288,257  
    

 

 

 

       3,052,939  
    

 

 

 

Construction Materials (0.2%):   
2,326   Eagle Materials, Inc., Class A      305,078  
3,684   Martin Marietta Materials, Inc.      1,258,749  
7,932   Vulcan Materials Co.      1,341,777  
    

 

 

 

       2,905,604  
    

 

 

 

Consumer Finance (0.9%):   
21,495   Ally Financial, Inc.      1,097,320  
13,958   American Express Co.      2,338,384  
26,318   Capital One Financial Corp.      4,262,726  
515   Credit Acceptance Corp.*^      301,429  
8,109   Discover Financial Services      996,191  
5,527   OneMain Holdings, Inc.      305,809  
3,625   Santander Consumer USA Holdings, Inc.      151,163  
17,979   SLM Corp.      316,430  
27,572   Synchrony Financial      1,347,719  
    

 

 

 

       11,117,171  
    

 

 

 

Containers & Packaging (0.7%):   
91,487   Amcor plc      1,060,334  
3,888   AptarGroup, Inc.      464,033  
2,375   Avery Dennison Corp.      492,124  
13,381   Ball Corp.      1,203,889  
8,311   Berry Global Group, Inc.*      505,974  
6,675   Crown Holdings, Inc.      672,707  
12,029   Graphic Packaging Holding Co.      229,032  
23,350   International Paper Co.      1,305,732  
5,551   Packaging Corp. of America      762,929  
4,262   Sealed Air Corp.      233,515  
5,309   Silgan Holdings, Inc.      203,653  
5,188   Sonoco Products Co.      309,101  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Value Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Containers & Packaging, continued   
15,929   WestRock Co.    $ 793,742  
    

 

 

 

             8,236,765  
    

 

 

 

Distributors (0.2%):   
8,452   Genuine Parts Co.      1,024,636  
16,227   LKQ Corp.*      816,543  
    

 

 

 

       1,841,179  
    

 

 

 

Diversified Consumer Services (0.1%):   
749   Bright Horizons Family Solutions, Inc.*      104,426  
2,055   Chegg, Inc.*      139,781  
1,725   Frontdoor, Inc.*      72,277  
2,706   Grand Canyon Education, Inc.*      238,020  
1,972   H&R Block, Inc.      49,300  
490   Mister Car Wash, Inc.*      8,942  
9,938   Service Corp. International      598,864  
7,795   Terminix Global Holdings, Inc.*      324,818  
    

 

 

 

       1,536,428  
    

 

 

 

Diversified Financial Services (2.7%):   
110,351   Berkshire Hathaway, Inc., Class B*      30,119,202  
22,539   Equitable Holdings, Inc.      668,056  
12,750   Jefferies Financial Group, Inc.      473,408  
6,691   Voya Financial, Inc.      410,760  
    

 

 

 

             31,671,426  
    

 

 

 

Diversified Telecommunication Services (2.2%):   
424,570   AT&T, Inc.      11,467,636  
65,462   Lumen Technologies, Inc.      811,074  
246,306   Verizon Communications, Inc.      13,302,987  
    

 

 

 

       25,581,697  
    

 

 

 

Electric Utilities (3.0%):   
14,823   Alliant Energy Corp.      829,792  
29,982   American Electric Power Co., Inc.      2,433,939  
3,053   Avangrid, Inc.      148,376  
45,846   Duke Energy Corp.      4,474,111  
22,251   Edison International      1,234,263  
11,824   Entergy Corp.      1,174,241  
13,577   Evergy, Inc.      844,489  
20,384   Eversource Energy      1,666,596  
58,165   Exelon Corp.      2,811,696  
32,098   FirstEnergy Corp.      1,143,331  
5,803   Hawaiian Electric Industries, Inc.      236,937  
2,988   IDACORP, Inc.      308,899  
116,555   NextEra Energy, Inc.      9,151,899  
12,091   OGE Energy Corp.      398,519  
88,754   PG&E Corp.*      852,038  
6,620   Pinnacle West Capital Corp.      479,023  
45,763   PPL Corp.      1,275,872  
62,982   Southern Co. (The)      3,902,995  
32,153   Xcel Energy, Inc.      2,009,563  
    

 

 

 

       35,376,579  
    

 

 

 

Electrical Equipment (1.0%):   
2,104   Acuity Brands, Inc.      364,771  
13,600   AMETEK, Inc.      1,686,536  
5,932   ChargePoint Holdings, Inc.*^      118,581  
23,614   Eaton Corp. plc      3,525,806  
35,437   Emerson Electric Co.      3,338,165  
3,159   Hubbell, Inc.      570,737  
9,882   nVent Electric plc      319,485  
2,264   Regal-Beloit Corp.      340,370  
2,784   Rockwell Automation, Inc.      818,607  
9,634   Sensata Technologies Holding plc*      527,172  
5,409   Shoals Technologies Group, Inc., Class A*      150,803  
11,468   Sunrun, Inc.*      504,592  
    

 

 

 

       12,265,625  
    

 

 

 

Shares         Value
Common Stocks, continued   
Electronic Equipment, Instruments &
Components (0.6%):
  
9,284   Amphenol Corp., Class A    $ 679,867  
4,415   Arrow Electronics, Inc.*      495,760  
5,385   Avnet, Inc.      199,084  
113   Coherent, Inc.*      28,260  
29,850   Corning, Inc.      1,089,227  
3,951   Dolby Laboratories, Inc., Class A      347,688  
2,002   IPG Photonics Corp.*      317,117  
1,858   Jabil, Inc.      108,452  
6,122   Keysight Technologies, Inc.*      1,005,783  
1,323   Littlelfuse, Inc.      361,536  
7,519   National Instruments Corp.      294,970  
2,323   SYNNEX Corp.      241,824  
14,846   Trimble, Inc.*      1,221,084  
4,690   Vontier Corp.      157,584  
    

 

 

 

             6,548,236  
    

 

 

 

Energy Equipment & Services (0.4%):   
43,653   Baker Hughes Co.      1,079,539  
49,436   Halliburton Co.      1,068,806  
23,183   NOV, Inc.*      303,929  
83,338   Schlumberger, Ltd.      2,470,138  
    

 

 

 

       4,922,412  
    

 

 

 

Entertainment (2.2%):   
45,889   Activision Blizzard, Inc.      3,551,350  
16,943   Electronic Arts, Inc.      2,410,142  
724   Liberty Media Corp-Liberty Formula One, Class A*      34,064  
11,824   Liberty Media Corp-Liberty Formula One, Class C*      607,872  
5,088   Live Nation Entertainment, Inc.*      463,669  
681   Madison Square Garden Sports Corp., Class A*      126,632  
5,426   Take-Two Interactive Software, Inc.*      835,984  
102,417   Walt Disney Co. (The)*      17,325,884  
455   World Wrestling Entertainment, Inc., Class A      25,598  
32,162   Zynga, Inc.*      242,180  
    

 

 

 

             25,623,375  
    

 

 

 

Equity Real Estate Investment Trusts (4.4%):   
9,106   Alexandria Real Estate Equities, Inc.      1,739,883  
7,872   American Campus Communities, Inc.      381,398  
16,421   American Homes 4 Rent, Class A      625,969  
15,967   Americold Realty Trust      463,841  
9,646   Apartment Income REIT Corp.      470,821  
8,348   AvalonBay Communities, Inc.      1,850,251  
9,481   Boston Properties, Inc.      1,027,266  
17,646   Brixmor Property Group, Inc.      390,153  
5,860   Brookfield Renewable Corp., Class A      227,427  
5,883   Camden Property Trust      867,566  
498   Coresite Realty Corp.      68,993  
8,445   Cousins Properties, Inc.      314,914  
11,698   CubeSmart      566,768  
7,176   Cyrusone, Inc.      555,494  
16,748   Digital Realty Trust, Inc.      2,419,249  
9,397   Douglas Emmett, Inc.      297,039  
21,965   Duke Realty Corp.      1,051,465  
4,018   EPR Properties      198,409  
1,540   Equinix, Inc.      1,216,800  
4,947   Equity Lifestyle Properties, Inc.      386,361  
21,771   Equity Residential      1,761,709  
3,873   Essex Property Trust, Inc.      1,238,353  
7,115   Extra Space Storage, Inc.      1,195,249  
4,647   Federal Realty Investment Trust      548,300  
7,742   First Industrial Realty Trust, Inc.      403,203  
12,922   Gaming and Leisure Properties, Inc.      598,547  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Value Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Equity Real Estate Investment Trusts, continued   
12,404   Healthcare Trust of America, Inc., Class A    $ 367,903  
31,932   Healthpeak Properties, Inc.      1,069,083  
5,787   Highwoods Properties, Inc.      253,818  
42,745   Host Hotels & Resorts, Inc.*      698,026  
8,064   Hudson Pacific Properties, Inc.      211,841  
34,059   Invitation Homes, Inc.      1,305,482  
5,185   Iron Mountain, Inc.      225,288  
6,749   JBG SMITH Properties      199,838  
6,942   Kilroy Realty Corp.      459,630  
34,653   Kimco Realty Corp.      719,050  
729   Lamar Advertising Co., Class A      82,705  
4,511   Life Storage, Inc.      517,592  
34,959   Medical Properties Trust, Inc.      701,627  
6,820   Mid-America Apartment Communities, Inc.      1,273,635  
10,576   National Retail Properties, Inc.      456,777  
14,943   Omega Healthcare Investors, Inc.      447,692  
13,662   Parks Hotels & Resorts, Inc.*      261,491  
43,901   Prologis, Inc.      5,506,502  
2,012   Public Storage, Inc.      597,765  
8,829   Rayonier, Inc.      315,019  
22,440   Realty Income Corp.      1,455,458  
9,945   Regency Centers Corp.      669,597  
8,535   Rexford Industrial Realty, Inc.      484,361  
5,392   SBA Communications Corp.      1,782,433  
2,348   Simon Property Group, Inc.      305,170  
3,971   SL Green Realty Corp.^      281,306  
7,201   Spirit Realty Capital, Inc.      331,534  
14,788   STORE Capital Corp.      473,660  
6,801   Sun Communities, Inc.      1,258,865  
16,967   UDR, Inc.      898,912  
22,494   Ventas, Inc.      1,241,894  
13,889   VEREIT, Inc.      628,199  
35,583   VICI Properties, Inc.      1,010,913  
10,414   Vornado Realty Trust      437,492  
24,944   Welltower, Inc.      2,055,386  
45,017   Weyerhaeuser Co.      1,601,255  
10,883   WP Carey, Inc.      794,894  
    

 

 

 

             52,247,521  
    

 

 

 

Food & Staples Retailing (1.5%):   
9,564   Albertsons Cos., Inc., Class A^      297,727  
2,206   Casey’s General Stores, Inc.      415,721  
1,668   Costco Wholesale Corp.      749,516  
5,335   Grocery Outlet Holding Corp.*      115,076  
44,792   Kroger Co. (The)      1,810,941  
12,788   US Foods Holding Corp.*      443,232  
43,121   Walgreens Boots Alliance, Inc.      2,028,843  
85,264   Walmart, Inc.      11,884,096  
    

 

 

 

         17,745,152  
    

 

 

 

Food Products (1.7%):   
33,227   Archer-Daniels-Midland Co.      1,993,952  
319   Beyond Meat, Inc.*^      33,578  
8,099   Bunge, Ltd.      658,611  
12,015   Campbell Soup Co.      502,347  
27,562   Conagra Brands, Inc.      933,525  
9,394   Darling Ingredients, Inc.*      675,429  
11,319   Flowers Foods, Inc.      267,468  
36,331   General Mills, Inc.      2,173,320  
4,427   Hain Celestial Group, Inc. (The)*      189,387  
1,066   Hershey Co. (The)      180,421  
16,624   Hormel Foods Corp.      681,584  
3,832   Ingredion, Inc.      341,086  
6,217   JM Smucker Co. (The)      746,227  
8,589   Kellogg Co.      549,009  
39,620   Kraft Heinz Co. (The)      1,458,808  
Shares         Value
Common Stocks, continued   
Food Products, continued   
6,277   Lamb Weston Holdings, Inc.    $ 385,219  
14,739   McCormick & Co.      1,194,301  
83,114   Mondelez International, Inc., Class A      4,835,573  
1,856   Pilgrim’s Pride Corp.*      53,972  
3,292   Post Holdings, Inc.*      362,647  
6   Seaboard Corp.      24,600  
17,055   Tyson Foods, Inc., Class A      1,346,322  
    

 

 

 

       19,587,386  
    

 

 

 

Gas Utilities (0.1%):   
7,816   Atmos Energy Corp.      689,371  
4,823   National Fuel Gas Co.      253,304  
12,172   UGI Corp.      518,771  
    

 

 

 

       1,461,446  
    

 

 

 

Health Care Equipment & Supplies (4.2%):   
51,541   Abbott Laboratories      6,088,538  
29,882   Baxter International, Inc.      2,403,409  
16,900   Becton Dickinson & Co.      4,154,358  
84,298   Boston Scientific Corp.*      3,657,690  
2,874   Cooper Cos., Inc. (The)      1,187,853  
35,726   Danaher Corp.      10,876,424  
12,873   Dentsply Sirona, Inc.      747,278  
9,252   Envista Holdings Corp.*      386,826  
1,292   Figs, Inc., Class A*^      47,985  
4,398   Globus Medical, Inc.*      336,975  
4,079   Hill-Rom Holdings, Inc.      611,850  
14,969   Hologic, Inc.*      1,104,862  
1,222   ICU Medical, Inc.*      285,190  
4,271   Integra LifeSciences Holdings Corp.*      292,478  
854   Masimo Corp.*      231,186  
79,801   Medtronic plc      10,003,055  
2,306   Quidel Corp.*      325,492  
892   ResMed, Inc.      235,087  
4,394   Steris plc      897,606  
11,826   Stryker Corp.      3,118,753  
139   Tandem Diabetes Care, Inc.*      16,594  
2,269   Teleflex, Inc.      854,392  
12,287   Zimmer Biomet Holdings, Inc.      1,798,325  
    

 

 

 

             49,662,206  
    

 

 

 

Health Care Providers & Services (4.3%):   
5,537   Acadia Healthcare Co., Inc.*      353,150  
642   agilon health, Inc.*      16,827  
270   Amedisys, Inc.*      40,257  
8,806   AmerisourceBergen Corp.      1,051,877  
14,531   Anthem, Inc.      5,417,157  
7,355   Cardinal Health, Inc.      363,778  
34,237   Centene Corp.*      2,133,307  
706   Chemed Corp.      328,375  
19,943   Cigna Corp.      3,991,791  
78,172   CVS Health Corp.      6,633,676  
1,261   DaVita, Inc.*      146,604  
2,527   Encompass Health Corp.      189,626  
8,548   Henry Schein, Inc.*      651,016  
7,712   Humana, Inc.      3,001,125  
5,807   Laboratory Corp. of America Holdings*      1,634,322  
7,915   McKesson Corp.      1,578,093  
2,856   Molina Healthcare, Inc.*      774,861  
447   Oak Street Health, Inc.*      19,011  
6,588   Premier, Inc., Class A      255,351  
7,274   Quest Diagnostics, Inc.      1,056,985  
4,275   Signify Health, Inc., Class A*^      76,394  
52,059   UnitedHealth Group, Inc.      20,341,533  
4,468   Universal Health Services, Inc., Class B      618,237  
    

 

 

 

         50,673,353  
    

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Value Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Health Care Technology (0.2%):   
17,590   Cerner Corp.    $ 1,240,447  
1,271   Certara, Inc.*      42,070  
15,380   Change Healthcare, Inc.*      322,057  
8,971   Teladoc Health, Inc.*      1,137,613  
    

 

 

 

       2,742,187  
    

 

 

 

Hotels, Restaurants & Leisure (1.7%):   
13,705   Aramark      450,346  
3,995   Boyd Gaming Corp.*      252,724  
4,735   Caesars Entertainment, Inc.*      531,646  
50,576   Carnival Corp., Class A*      1,264,906  
2,304   Darden Restaurants, Inc.      348,987  
685   Domino’s Pizza, Inc.      326,718  
5,055   Hilton Worldwide Holdings, Inc.*      667,816  
2,578   Hyatt Hotels Corp., Class A*      198,764  
2,576   Marriott Vacations Worldwide Corp.      405,282  
36,519   McDonald’s Corp.      8,805,096  
23,916   MGM Resorts International      1,031,975  
21,701   Norwegian Cruise Line Holdings, Ltd.*^      579,634  
8,435   Penn National Gaming, Inc.*      611,200  
1,582   Planet Fitness, Inc., Class A*      124,266  
12,980   Royal Caribbean Cruises, Ltd.*      1,154,571  
2,876   Six Flags Entertainment Corp.*      122,230  
1,696   Travel + Leisure Co.      92,483  
2,043   Wyndham Hotels & Resorts, Inc.      157,699  
23,166   Yum China Holdings, Inc.      1,346,176  
16,288   Yum! Brands, Inc.      1,992,185  
    

 

 

 

             20,464,704  
    

 

 

 

Household Durables (0.6%):   
6,301   Bath & Body Works, Inc.      397,152  
11,260   DR Horton, Inc.      945,502  
9,032   Garmin, Ltd.      1,404,115  
7,617   Leggett & Platt, Inc.      341,546  
16,115   Lennar Corp., Class A      1,509,653  
594   Lennar Corp., Class B      46,088  
3,454   Mohawk Industries, Inc.*      612,740  
22,961   Newell Brands, Inc.      508,357  
65   NVR, Inc.*      311,615  
11,377   PulteGroup, Inc.      522,432  
4,119   Toll Brothers, Inc.      227,739  
391   TopBuild Corp.*      80,081  
3,631   Whirlpool Corp.      740,216  
    

 

 

 

       7,647,236  
    

 

 

 

Household Products (2.1%):   
13,798   Church & Dwight Co., Inc.      1,139,301  
1,442   Clorox Co. (The)      238,810  
22,941   Colgate-Palmolive Co.      1,733,881  
9,944   Kimberly-Clark Corp.      1,316,983  
144,718   Procter & Gamble Co. (The)      20,231,576  
3,469   Reynolds Consumer Products, Inc.      94,842  
2,244   Spectrum Brands Holdings, Inc.      214,684  
    

 

 

 

       24,970,077  
    

 

 

 

Independent Power and Renewable Electricity Producers (0.1%):   
39,332   AES Corp. (The)      897,949  
8,131   NRG Energy, Inc.      331,989  
28,911   Vistra Corp.      494,378  
    

 

 

 

       1,724,316  
    

 

 

 

Industrial Conglomerates (1.9%):   
29,312   3M Co.      5,141,911  
1,920   Carlisle Cos., Inc.      381,677  
64,887   General Electric Co.      6,685,308  
32,380   Honeywell International, Inc.      6,873,626  
6,269   Roper Technologies, Inc.      2,796,789  
    

 

 

 

       21,879,311  
    

 

 

 

Shares         Value
Common Stocks, continued   
Insurance (3.9%):   
39,548   Aflac, Inc.    $ 2,061,637  
726   Alleghany Corp.*      453,322  
17,604   Allstate Corp. (The)      2,241,165  
4,161   American Financial Group, Inc.      523,579  
51,004   American International Group, Inc.      2,799,610  
5,520   Aon plc, Class A      1,577,450  
17,232   Arch Capital Group, Ltd.*      657,918  
11,972   Arthur J. Gallagher & Co.      1,779,638  
3,470   Assurant, Inc.      547,393  
3,145   Assured Guaranty, Ltd.      147,217  
6,672   Athene Holding, Ltd., Class A*      459,501  
4,179   Axis Capital Holdings, Ltd.      192,401  
4,601   Brighthouse Financial, Inc.*      208,103  
12,947   Brown & Brown, Inc.      717,911  
26,079   Chubb, Ltd.      4,524,185  
9,093   Cincinnati Financial Corp.      1,038,602  
1,529   CNA Financial Corp.      64,157  
481   Erie Indemnity Co., Class A      85,820  
1,914   Everest Re Group, Ltd.      479,993  
16,102   Fidelity National Financial, Inc.      730,065  
5,958   First American Financial Corp.      399,484  
6,058   Globe Life, Inc.      539,344  
2,076   Hanover Insurance Group, Inc. (The)      269,091  
20,688   Hartford Financial Services Group, Inc. (The)      1,453,332  
3,342   Kemper Corp.      223,212  
1,836   Lemonade, Inc.*^      123,030  
9,307   Lincoln National Corp.      639,856  
12,920   Loews Corp.      696,776  
687   Markel Corp.*      821,054  
26,518   Marsh & McLennan Cos., Inc.      4,015,621  
1,561   Mercury General Corp.      86,901  
43,092   MetLife, Inc.      2,660,069  
16,772   Old Republic International Corp.      387,936  
2,423   Primerica, Inc.      372,246  
15,817   Principal Financial Group, Inc.      1,018,615  
34,712   Progressive Corp. (The)      3,137,618  
23,057   Prudential Financial, Inc.      2,425,596  
4,027   Reinsurance Group of America, Inc.      448,044  
1,316   RenaissanceRe Holdings, Ltd.      183,450  
14,924   Travelers Cos., Inc. (The)      2,268,597  
11,781   Unum Group      295,232  
177   White Mountains Insurance Group, Ltd.      189,321  
7,627   Willis Towers Watson plc      1,772,972  
8,435   WR Berkley Corp.      617,273  
    

 

 

 

             46,334,337  
    

 

 

 

Interactive Media & Services (1.4%):   
2,482   Alphabet, Inc., Class A*      6,635,677  
2,317   Alphabet, Inc., Class C*      6,175,523  
4,691   IAC/InterActiveCorp.*      611,191  
2,331   TripAdvisor, Inc.*      78,904  
41,616   Twitter, Inc.*      2,513,190  
628   Vimeo, Inc.*      18,444  
    

 

 

 

       16,032,929  
    

 

 

 

Internet & Direct Marketing Retail (0.1%):   
1,058   DoorDash, Inc., Class A*      217,927  
21,733   Qurate Retail, Inc., Class A      221,459  
1,921   Wayfair, Inc., Class A*^      490,835  
    

 

 

 

       930,221  
    

 

 

 

IT Services (3.1%):   
7,398   Accenture plc, Class A      2,366,768  
9,523   Akamai Technologies, Inc.*      996,011  
3,044   Alliance Data Systems Corp.      307,109  
7,865   Amdocs, Ltd.      595,459  
1,915   Automatic Data Processing, Inc.      382,847  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Value Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
IT Services, continued   
8,835   Black Knight, Inc.*    $ 636,120  
452   Broadridge Financial Solutions, Inc.      75,321  
1,428   CACI International, Inc., Class A*      374,279  
31,269   Cognizant Technology Solutions Corp., Class A      2,320,472  
2,388   Concentrix Corp.*      422,676  
15,334   DXC Technology Co.*      515,376  
883   Euronet Worldwide, Inc.*      112,388  
6,490   Fastly, Inc., Class A*^      262,456  
36,884   Fidelity National Information Services, Inc.      4,488,045  
33,084   Fiserv, Inc.*      3,589,614  
3,722   FleetCor Technologies, Inc.*      972,447  
10,744   Genpact, Ltd.      510,447  
17,312   Global Payments, Inc.      2,728,025  
9,240   GoDaddy, Inc., Class A*      644,028  
53,063   International Business Machines Corp.      7,372,043  
3,352   Jack Henry & Associates, Inc.      549,929  
8,260   Leidos Holdings, Inc.      794,034  
2,207   Paychex, Inc.      248,177  
25,382   Paysafe, Ltd.*^      196,711  
3,655   Science Applications International Corp.      312,722  
705   Snowflake, Inc., Class A*      213,213  
1,354   SolarWinds Corp.      22,652  
1,051   StoneCo, Ltd., Class A*      36,491  
564   Teradata Corp.*      32,345  
7,110   Twilio, Inc., Class A*      2,268,446  
5,848   VeriSign, Inc.*      1,198,898  
18,478   Western Union Co. (The.)      373,625  
887   WEX, Inc.*      156,236  
    

 

 

 

       36,075,410  
    

 

 

 

Leisure Products (0.1%):   
4,142   Brunswick Corp.      394,608  
7,549   Hasbro, Inc.      673,522  
2,751   Hayward Holdings, Inc.*      61,182  
1,084   Polaris, Inc.      129,712  
    

 

 

 

       1,259,024  
    

 

 

 

Life Sciences Tools & Services (1.5%):   
678   Adaptive Biotechnologies Corp.*      23,045  
1,894   Agilent Technologies, Inc.      298,362  
1,265   Bio-Rad Laboratories, Inc., Class A*      943,627  
212   Charles River Laboratories International, Inc.*      87,486  
5,704   IQVIA Holdings, Inc.*      1,366,336  
6,649   PerkinElmer, Inc.      1,152,205  
5,809   PPD, Inc.*      271,803  
13,724   Qiagen NV*      709,256  
5,429   Syneos Health, Inc.*      474,929  
21,251   Thermo Fisher Scientific, Inc.      12,141,334  
266   Waters Corp.*      95,042  
    

 

 

 

             17,563,425  
    

 

 

 

Machinery (1.9%):   
3,434   AGCO Corp.      420,768  
1,546   Allison Transmission Holdings, Inc.      54,605  
4,436   Caterpillar, Inc.      851,579  
7,215   Colfax Corp.*      331,169  
2,733   Crane Co.      259,116  
8,563   Cummins, Inc.      1,922,907  
6,644   Donaldson Co., Inc.      381,432  
8,359   Dover Corp.      1,299,824  
7,317   Flowserve Corp.      253,680  
19,071   Fortive Corp.      1,345,840  
5,779   Gates Industrial Corp. plc*      94,024  
3,846   Graco, Inc.      269,105  
Shares         Value
Common Stocks, continued   
Machinery, continued   
4,504   IDEX Corp.    $ 932,103  
1,934   Illinois Tool Works, Inc.      399,622  
24,077   Ingersoll-Rand, Inc.*      1,213,722  
5,183   ITT, Inc.      444,909  
2,350   Middleby Corp. (The)*      400,699  
2,812   Nordson Corp.      669,678  
4,102   Oshkosh Corp.      419,922  
25,476   Otis Worldwide Corp.      2,096,165  
20,282   PACCAR, Inc.      1,600,655  
6,303   Parker-Hannifin Corp.      1,762,445  
9,997   Pentair plc      726,082  
3,148   Snap-On, Inc.      657,775  
9,596   Stanley Black & Decker, Inc.      1,682,275  
3,825   Timken Co.      250,231  
261   Toro Co. (The)      25,424  
11,021   Wabtec Corp.      950,120  
3,282   Woodward, Inc.      371,522  
3,698   Xylem, Inc.      457,369  
    

 

 

 

             22,544,767  
    

 

 

 

Marine (0.0%):   
3,417   Kirby Corp.*      163,879  
    

 

 

 

Media (2.2%):   
3,967   Altice USA, Inc., Class A*      82,196  
157   Cable One, Inc.      284,661  
420   Charter Communications, Inc., Class A*      305,575  
271,077   Comcast Corp., Class A      15,161,337  
18,170   Discovery Communications, Inc., Class C*      440,986  
9,922   Discovery, Inc., Class A*^      251,820  
15,015   DISH Network Corp., Class A*      652,552  
18,716   Fox Corp., Class A      750,699  
8,899   Fox Corp., Class B      330,331  
22,970   Interpublic Group of Cos., Inc. (The)      842,310  
1,276   Liberty Broadband Corp., Class A*      214,815  
8,630   Liberty Broadband Corp., Class C*      1,490,401  
9,293   Liberty Media Corp.-Liberty SiriusXM, Class C*      441,139  
4,743   Liberty Media Corp-Liberty SiriusXM, Class A*      223,727  
9,503   New York Times Co. (The), Class A      468,213  
23,023   News Corp., Class A      541,731  
6,485   News Corp., Class B      150,647  
2,380   Nexstar Media Group, Inc., Class A      361,665  
12,788   Omnicom Group, Inc.      926,618  
55,254   Sirius XM Holdings, Inc.^      337,049  
34,930   ViacomCBS, Inc., Class B      1,380,084  
    

 

 

 

       25,638,556  
    

 

 

 

Metals & Mining (0.8%):   
10,638   Alcoa Corp.*      520,624  
27,964   Cleveland-Cliffs, Inc.*^      553,967  
61,222   Freeport-McMoRan, Inc.      1,991,552  
47,630   Newmont Corp.      2,586,309  
17,530   Nucor Corp.      1,726,530  
3,594   Reliance Steel & Aluminum Co.      511,857  
4,040   Royal Gold, Inc.      385,779  
333   Southern Copper Corp.      18,695  
9,313   Steel Dynamics, Inc.      544,624  
15,097   United States Steel Corp.      331,681  
    

 

 

 

       9,171,618  
    

 

 

 

Mortgage Real Estate Investment Trusts (0.2%):   
31,761   AGNC Investment Corp.      500,871  
85,057   Annaly Capital Management, Inc.      716,180  
23,975   New Residential Investment Corp.      263,725  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Value Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Mortgage Real Estate Investment Trusts, continued   
16,039   Starwood Property Trust, Inc.    $ 391,512  
    

 

 

 

       1,872,288  
    

 

 

 

Multiline Retail (0.6%):   
8,064   Dollar General Corp.      1,710,697  
13,823   Dollar Tree, Inc.*      1,323,138  
9,363   Kohl’s Corp.      440,904  
779   Nordstrom, Inc.*      20,604  
4,010   Ollie’s Bargain Outlet Holdings, Inc.*      241,723  
16,322   Target Corp.      3,733,984  
    

 

 

 

       7,471,050  
    

 

 

 

Multi-Utilities (1.4%):   
15,225   Ameren Corp.      1,233,225  
34,928   CenterPoint Energy, Inc.      859,229  
16,981   CMS Energy Corp.      1,014,275  
21,330   Consolidated Edison, Inc.      1,548,345  
48,031   Dominion Energy, Inc.      3,507,224  
11,274   DTE Energy Co.      1,259,418  
11,368   MDU Resources Group, Inc.      337,288  
23,253   NiSource, Inc.      563,420  
29,951   Public Service Enterprise Group, Inc.      1,824,016  
18,996   Sempra Energy      2,402,994  
18,963   WEC Energy Group, Inc.      1,672,537  
    

 

 

 

             16,221,971  
    

 

 

 

Oil, Gas & Consumable Fuels (4.7%):   
20,972   Antero Midstream Corp.      218,528  
22,315   APA Corp.      478,210  
115,247   Chevron Corp.      11,691,808  
4,890   Cimarex Energy Co.      426,408  
80,233   ConocoPhillips      5,437,390  
3,489   Continental Resources, Inc.^      161,017  
21,084   Coterra Energy, Inc.      458,788  
40,033   Devon Energy Corp.      1,421,572  
5,806   Diamondback Energy, Inc.      549,654  
6,013   DT Midstream, Inc.      278,041  
30,211   EOG Resources, Inc.      2,425,037  
15,674   EQT Corp.*      320,690  
251,714   Exxon Mobil Corp.      14,805,818  
15,271   Hess Corp.      1,192,818  
8,758   HollyFrontier Corp.      290,153  
116,158   Kinder Morgan, Inc.      1,943,323  
45,975   Marathon Oil Corp.      628,478  
38,045   Marathon Petroleum Corp.      2,351,562  
43,813   Occidental Petroleum Corp.      1,295,989  
26,343   ONEOK, Inc.      1,527,631  
25,857   Phillips 66      1,810,766  
7,073   Pioneer Natural Resources Co.      1,177,725  
13,211   Targa Resources Corp.      650,113  
24,094   Valero Energy Corp.      1,700,314  
72,060   Williams Cos., Inc.      1,869,236  
    

 

 

 

       55,111,069  
    

 

 

 

Paper & Forest Products (0.0%):   
5,223   Louisiana-Pacific Corp.      320,536  
    

 

 

 

Personal Products (0.0%):   
19,667   Coty, Inc., Class A*      154,583  
5,509   Herbalife Nutrition, Ltd.*      233,471  
    

 

 

 

       388,054  
    

 

 

 

Pharmaceuticals (5.7%):   
133,174   Bristol-Myers Squibb Co.      7,879,906  
7,322   Catalent, Inc.*      974,338  
26,049   Elanco Animal Health, Inc.*      830,703  
10,580   Eli Lilly & Co.      2,444,509  
10,537   Horizon Therapeutics plc*      1,154,223  
3,561   Jazz Pharmaceuticals plc*      463,678  
156,608   Johnson & Johnson      25,292,192  
Shares         Value
Common Stocks, continued   
Pharmaceuticals, continued   
150,581   Merck & Co., Inc.    $ 11,310,139  
9,082   Nektar Therapeutics*      163,113  
15,576   Organon & Co.      510,737  
8,019   Perrigo Co. plc^      379,539  
331,817   Pfizer, Inc.      14,271,449  
8,045   Royalty Pharma plc, Class A      290,746  
71,967   Viatris, Inc.      975,153  
1,310   Zoetis, Inc.      254,323  
    

 

 

 

       67,194,748  
    

 

 

 

Professional Services (0.6%):   
26,580   Clarivate plc*      582,102  
5,390   CoStar Group, Inc.*      463,863  
10,081   Dun & Bradstreet Holdings, Inc.*      169,462  
4,451   Equifax, Inc.      1,127,972  
1,847   FTI Consulting, Inc.*      248,791  
22,171   IHS Markit, Ltd.      2,585,582  
454   Legalzoom.com, Inc.*^      11,986  
3,257   ManpowerGroup, Inc.      352,668  
20,709   Nielsen Holdings plc      397,406  
528   Robert Half International, Inc.      52,974  
3,736   TransUnion      419,590  
3,372   Verisk Analytics, Inc.      675,311  
    

 

 

 

       7,087,707  
    

 

 

 

Real Estate Management & Development (0.3%):   
18,867   CBRE Group, Inc., Class A*      1,836,891  
2,388   Howard Hughes Corp. (The)*      209,690  
2,988   Jones Lang LaSalle, Inc.*      741,293  
20,580   Opendoor Technologies, Inc.*^      422,508  
    

 

 

 

       3,210,382  
    

 

 

 

Road & Rail (1.1%):   
525   AMERCO, Inc.      339,166  
134,575   CSX Corp.      4,002,261  
582   J.B. Hunt Transport Services, Inc.      97,322  
3,935   Kansas City Southern      1,064,968  
9,902   Knight-Swift Transportation Holdings, Inc.      506,487  
73   Landstar System, Inc.      11,521  
14,716   Norfolk Southern Corp.      3,520,803  
488   Old Dominion Freight Line, Inc.      139,558  
2,829   Ryder System, Inc.      233,987  
3,052   Schneider National, Inc., Class B      69,402  
1,994   TuSimple Holdings, Inc., Class A*^      74,037  
13,144   Uber Technologies, Inc.*      588,851  
14,264   Union Pacific Corp.      2,795,887  
    

 

 

 

       13,444,250  
    

 

 

 

Semiconductors & Semiconductor Equipment (2.8%):   
19,282   Analog Devices, Inc.      3,229,349  
849   Brooks Automation, Inc.      86,895  
3,184   Cirrus Logic, Inc.*      262,202  
6,915   Cree, Inc.*^      558,248  
6,497   First Solar, Inc.*      620,204  
240,248   Intel Corp.      12,800,413  
48,642   Marvell Technology, Inc.      2,933,599  
2,588   Microchip Technology, Inc.      397,232  
57,308   Micron Technology, Inc.      4,067,722  
537   MKS Instruments, Inc.      81,039  
10,963   NXP Semiconductors NV      2,147,323  
11,845   ON Semiconductor Corp.*      542,146  
6,615   Qorvo, Inc.*      1,105,962  
5,107   Skyworks Solutions, Inc.      841,531  
20,789   Texas Instruments, Inc.      3,995,854  
    

 

 

 

       33,669,719  
    

 

 

 

Software (1.7%):   
3,020   ANSYS, Inc.*      1,028,159  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Value Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares                 Value        
Common Stocks, continued   
Software, continued   
1,737   C3.ai, Inc., Class A*^    $ 80,493  
5,794   CDK Global, Inc.      246,535  
7,612   Ceridian HCM Holding, Inc.*      857,263  
4,870   Citrix Systems, Inc.      522,892  
923   Cloudflare, Inc., Class A*      103,976  
1,070   Datto Holding Corp.*^      25,573  
3,487   Duck Creek Technologies, Inc.*^      154,265  
532   Dynatrace, Inc.*      37,756  
9,722   FireEye, Inc.*      173,052  
4,857   Guidewire Software, Inc.*      577,352  
1,819   Manhattan Associates, Inc.*      278,361  
1,255   McAfee Corp., Class A      27,748  
2,920   Medallia, Inc.*      98,900  
3,297   N-Able, Inc.*      40,916  
24,754   NortonLifeLock, Inc.      626,276  
10,142   Nuance Communications, Inc.*      558,216  
6,825   Oracle Corp.      594,662  
341   Paycor HCM, Inc.*^      11,989  
168   Procore Technologies, Inc.*      15,009  
44,381   salesforce.com, Inc.*      12,037,015  
13,281   SS&C Technologies Holdings, Inc.      921,701  
3,290   Synopsys, Inc.*      985,059  
338   Tyler Technologies, Inc.*      155,024  
2,870   Vmware, Inc., Class A*^      426,769  
    

 

 

 

             20,584,961  
    

 

 

 

Specialty Retail (0.8%):   
3,873   Advance Auto Parts, Inc.      809,031  
2,681   AutoNation, Inc.*      326,439  
1,009   AutoZone, Inc.*      1,713,272  
11,349   Best Buy Co., Inc.      1,199,703  
255   Burlington Stores, Inc.*      72,310  
9,037   CarMax, Inc.*      1,156,375  
3,785   Dick’s Sporting Goods, Inc.      453,330  
5,484   Foot Locker, Inc.      250,399  
12,608   Gap, Inc. (The)      286,202  
558   Leslie’s, Inc.*      11,461  
1,641   Lithia Motors, Inc.      520,263  
2,821   O’Reilly Automotive, Inc.*      1,723,800  
1,612   Penske Automotive Group, Inc.      162,167  
2,711   Petco Health & Wellness Co., Inc.*^      57,202  
2,032   Victoria’s Secret & Co.*      112,288  
5,303   Vroom, Inc.*^      117,037  
1,097   Williams-Sonoma, Inc.      194,531  
    

 

 

 

       9,165,810  
    

 

 

 

Technology Hardware, Storage & Peripherals (0.4%):   
8,223   Dell Technologies, Inc., Class C*      855,521  
77,349   Hewlett Packard Enterprise Co.      1,102,223  
46,836   HP, Inc.      1,281,433  
5,106   NCR Corp.*      197,909  
4,583   NetApp, Inc.      411,370  
766   Pure Storage, Inc., Class A*      19,272  
18,656   Western Digital Corp.*      1,052,945  
9,221   Xerox Holdings Corp.      185,988  
    

 

 

 

       5,106,661  
    

 

 

 

Textiles, Apparel & Luxury Goods (0.3%):   
8,538   Capri Holdings, Ltd.*      413,325  
2,536   Carter’s, Inc.      246,601  
2,310   Columbia Sportswear Co.      221,390  
1,407   Deckers Outdoor Corp.*      506,801  
8,477   Hanesbrands, Inc.      145,465  
4,261   PVH Corp.*      437,988  
2,653   Ralph Lauren Corp.      294,589  
7,138   Skechers U.S.A., Inc., Class A*      300,653  
15,376   Tapestry, Inc.      569,220  
10,245   Under Armour, Inc., Class A*      206,744  
Shares                 Value        
Common Stocks, continued   
Textiles, Apparel & Luxury Goods, continued   
10,506   Under Armour, Inc., Class C*    $ 184,065  
7,060   VF Corp.      472,949  
    

 

 

 

       3,999,790  
    

 

 

 

Thrifts & Mortgage Finance (0.1%):   
20,099   MGIC Investment Corp.      300,681  
25,277   New York Community Bancorp, Inc.      325,315  
3,987   TFS Financial Corp.      75,992  
4,519   UWM Holdings Corp.      31,407  
    

 

 

 

       733,395  
    

 

 

 

Tobacco (0.9%):   
49,098   Altria Group, Inc.      2,234,941  
92,552   Philip Morris International, Inc.      8,773,004  
    

 

 

 

             11,007,945  
    

 

 

 

Trading Companies & Distributors (0.2%):   
6,260   Air Lease Corp.      246,268  
1,012   Core & Main, Inc., Class A*      26,525  
3,920   Fastenal Co.      202,311  
2,453   MSC Industrial Direct Co., Inc., Class A      196,706  
1,304   SiteOne Landscape Supply, Inc.*      260,109  
2,773   United Rentals, Inc.*      973,129  
9,748   Univar Solutions, Inc.*      232,197  
479   W.W. Grainger, Inc.      188,276  
1,899   Watsco, Inc.      502,513  
    

 

 

 

       2,828,034  
    

 

 

 

Water Utilities (0.2%):   
10,680   American Water Works Co., Inc.      1,805,347  
13,462   Essential Utilities, Inc.      620,329  
    

 

 

 

       2,425,676  
    

 

 

 

Wireless Telecommunication Services (0.4%):   
35,087   T-Mobile USA, Inc.*      4,482,715  
    

 

 

 

Total Common Stocks (Cost $933,037,806)

     1,175,068,368  
  

 

 

 

Principal
Amount
        Value
Short-Term Security Held as Collateral for Securities on Loan (0.5%):

 

5,459,938   BlackRock Liquidity FedFund, Institutional Class , 0.03%(a)(b)      5,459,938  
    

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan (Cost $5,459,938)

     5,459,938  
  

 

 

 

Shares         Value
Unaffiliated Investment Company (0.5%):   
Money Markets (0.5%):   
5,891,482   Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(b)      5,891,482  
    

 

 

 

Total Unaffiliated Investment Company (Cost $5,891,482)

     5,891,482  
    

 

 

 

Total Investment Securities

  

(Cost $944,389,226) - 100.5%

     1,186,419,788  

Net other assets (liabilities) - (0.5)%

     (5,812,610
    

 

 

 

Net Assets - 100.0%

   $ 1,180,607,178  
  

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

REIT

     -     

Real Estate Investment Trust

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Value Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

*

Non-income producing security.

^

This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities on loan as of September 30, 2021 was $5,287,658.

+

Affiliated Securities

Represents less than 0.05%.

(a)

Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.

(b)

The rate represents the effective yield at September 30, 2021.

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Russell 1000 Value Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Futures Contracts

At September 30, 2021, the Fund’s open futures contracts were as follows:

Long Futures

 

Description    Expiration
Date
   Number of
Contracts
   Notional
Amount
     Value and      
Unrealized      
Appreciation/      
(Depreciation)      
 

 

 

S&P 500 Index E-Mini December Futures (U.S. Dollar)

   12/17/21    20    $ 4,297,750      $ (129,260)      

S&P MidCap 400 E-Mini December Futures (U.S Dollar)

   12/17/21    10      2,633,200        (53,086)      
           

 

 

 
            $ (182,346)      
           

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL S&P 500 Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks (99.7%):   
Aerospace & Defense (1.6%):   
48,681   Boeing Co. (The)*    $ 10,706,899  
20,630   General Dynamics Corp.      4,044,099  
33,424   Howmet Aerospace, Inc.      1,042,829  
3,244   Huntington Ingalls Industries, Inc.      626,286  
17,586   L3harris Technologies, Inc.      3,873,140  
21,597   Lockheed Martin Corp.      7,453,125  
13,051   Northrop Grumman Corp.      4,700,318  
132,299   Raytheon Technologies Corp.      11,372,422  
4,086   Teledyne Technologies, Inc.*      1,755,264  
19,593   Textron, Inc.      1,367,787  
4,589   TransDigm Group, Inc.*      2,866,152  
    

 

 

 

       49,808,321  
    

 

 

 

Air Freight & Logistics (0.6%):   
11,279   C.H. Robinson Worldwide, Inc.      981,273  
14,945   Expeditors International of Washington, Inc.      1,780,398  
21,776   FedEx Corp.      4,775,259  
64,117   United Parcel Service, Inc., Class B      11,675,706  
    

 

 

 

       19,212,636  
    

 

 

 

Airlines (0.3%):   
9,806   Alaska Air Group, Inc.*      574,632  
54,514   American Airlines Group, Inc.*      1,118,627  
54,737   Delta Air Lines, Inc.*      2,332,344  
50,975   Southwest Airlines Co.*      2,621,644  
28,364   United Airlines Holdings, Inc.*      1,349,275  
    

 

 

 

       7,996,522  
    

 

 

 

Auto Components (0.1%):   
23,780   Aptiv plc*      3,542,507  
19,968   BorgWarner, Inc.      862,817  
    

 

 

 

       4,405,324  
    

 

 

 

Automobiles (2.1%):   
343,204   Ford Motor Co.*      4,859,768  
127,239   General Motors Co.*      6,706,768  
71,119   Tesla, Inc.*      55,151,362  
    

 

 

 

             66,717,898  
    

 

 

 

Banks (4.4%):   
649,035   Bank of America Corp.      27,551,536  
177,641   Citigroup, Inc.      12,466,845  
37,358   Citizens Financial Group, Inc.      1,755,079  
11,974   Comerica, Inc.      963,907  
60,441   Fifth Third Bancorp      2,565,116  
15,336   First Republic Bank      2,958,008  
129,690   Huntington Bancshares, Inc.      2,005,007  
261,903   JPMorgan Chase & Co.      42,870,902  
85,099   KeyCorp      1,839,840  
11,218   M&T Bank Corp.      1,675,296  
33,308   People’s United Financial, Inc.      581,891  
37,253   PNC Financial Services Group, Inc. (The)      7,288,177  
84,041   Regions Financial Corp.      1,790,914  
5,220   SVB Financial Group*      3,376,714  
116,432   Truist Financial Corp.      6,828,737  
117,419   U.S. Bancorp      6,979,385  
359,914   Wells Fargo & Co.      16,703,609  
13,489   Zions Bancorp      834,834  
    

 

 

 

       141,035,797  
    

 

 

 

Beverages (1.4%):   
15,557   Brown-Forman Corp., Class B      1,042,475  
339,414   Coca-Cola Co. (The)      17,809,053  
14,747   Constellation Brands, Inc., Class C      3,107,045  
15,437   Molson Coors Brewing Co., Class B      715,968  
33,337   Monster Beverage Corp.*      2,961,326  
120,974   PepsiCo, Inc.      18,195,699  
    

 

 

 

       43,831,566  
    

 

 

 

Shares         Value
Common Stocks, continued   
Biotechnology (1.9%):   
154,716   AbbVie, Inc.    $ 16,689,215  
49,770   Amgen, Inc.      10,583,591  
13,062   Biogen, Inc.*      3,696,415  
109,333   Gilead Sciences, Inc.      7,636,910  
17,405   Incyte Corp.*      1,197,116  
30,779   Moderna, Inc.*      11,845,606  
9,205   Regeneron Pharmaceuticals, Inc.*      5,570,682  
22,529   Vertex Pharmaceuticals, Inc.*      4,086,535  
    

 

 

 

       61,306,070  
    

 

 

 

Building Products (0.5%):   
11,080   A.O. Smith Corp.      676,656  
8,381   Allegion plc      1,107,801  
76,051   Carrier Global Corp.      3,936,400  
11,846   Fortune Brands Home & Security, Inc.      1,059,269  
62,486   Johnson Controls International plc      4,254,047  
22,000   Masco Corp.      1,222,100  
20,487   Trane Technologies plc      3,537,080  
    

 

 

 

             15,793,353  
    

 

 

 

Capital Markets (3.0%):   
9,969   Ameriprise Financial, Inc.      2,633,012  
68,999   Bank of New York Mellon Corp. (The)      3,576,908  
12,473   BlackRock, Inc., Class A+      10,460,606  
9,893   Cboe Global Markets, Inc.      1,225,347  
131,875   Charles Schwab Corp. (The)      9,605,775  
31,573   CME Group, Inc.      6,105,587  
25,341   Franklin Resources, Inc.      753,134  
29,466   Goldman Sachs Group, Inc. (The)      11,139,032  
48,877   Intercontinental Exchange, Inc.      5,612,057  
29,925   Invesco, Ltd.      721,492  
3,310   MarketAxess Holdings, Inc.      1,392,484  
14,378   Moody’s Corp.      5,105,772  
127,934   Morgan Stanley      12,449,258  
7,247   MSCI, Inc., Class A      4,408,640  
10,164   Nasdaq, Inc.      1,961,855  
18,447   Northern Trust Corp.      1,988,771  
17,068   Raymond James Financial, Inc.      1,575,035  
21,094   S&P Global, Inc.      8,962,630  
30,023   State Street Corp.      2,543,549  
19,946   T. Rowe Price Group, Inc.      3,923,378  
    

 

 

 

       96,144,322  
    

 

 

 

Chemicals (1.7%):   
19,459   Air Products & Chemicals, Inc.      4,983,644  
10,309   Albemarle Corp.      2,257,362  
9,803   Celanese Corp.      1,476,724  
17,814   CF Industries Holdings, Inc.      994,377  
63,801   Corteva, Inc.      2,684,746  
66,386   Dow, Inc.      3,821,178  
45,341   DuPont de Nemours, Inc.      3,082,735  
11,773   Eastman Chemical Co.      1,186,012  
21,757   Ecolab, Inc.      4,538,945  
12,112   FMC Corp.      1,108,975  
22,323   International Flavors & Fragrances, Inc.      2,985,031  
45,262   Linde plc      13,278,966  
22,956   Lyondellbasell Industries NV      2,154,421  
29,089   Mosaic Co. (The)      1,039,059  
20,787   PPG Industries, Inc.      2,972,749  
21,231   Sherwin Williams Co.      5,938,948  
    

 

 

 

       54,503,872  
    

 

 

 

Commercial Services & Supplies (0.4%):   
7,671   Cintas Corp.      2,920,043  
18,653   Copart, Inc.*      2,587,544  
18,613   Republic Services, Inc., Class A      2,234,677  
20,549   Rollins, Inc.      725,996  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL S&P 500 Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Commercial Services & Supplies, continued   
33,854   Waste Management, Inc.    $ 5,056,433  
    

 

 

 

       13,524,693  
    

 

 

 

Communications Equipment (0.8%):   
5,123   Arista Networks, Inc.*      1,760,468  
369,294   Cisco Systems, Inc.      20,100,672  
5,055   F5 Networks, Inc.*      1,004,833  
27,073   Juniper Networks, Inc.      745,049  
14,904   Motorola Solutions, Inc.      3,462,497  
    

 

 

 

       27,073,519  
    

 

 

 

Construction & Engineering (0.1%):   
11,384   Jacobs Engineering Group, Inc.      1,508,721  
12,128   Quanta Services, Inc.      1,380,409  
    

 

 

 

       2,889,130  
    

 

 

 

Construction Materials (0.1%):   
5,520   Martin Marietta Materials, Inc.      1,886,074  
11,764   Vulcan Materials Co.      1,989,998  
    

 

 

 

       3,876,072  
    

 

 

 

Consumer Finance (0.7%):   
56,144   American Express Co.      9,405,804  
39,113   Capital One Financial Corp.      6,335,133  
25,882   Discover Financial Services      3,179,604  
50,398   Synchrony Financial      2,463,454  
    

 

 

 

       21,383,995  
    

 

 

 

Containers & Packaging (0.3%):   
133,753   Amcor plc      1,550,197  
7,253   Avery Dennison Corp.      1,502,894  
28,318   Ball Corp.      2,547,771  
34,784   International Paper Co.      1,945,121  
8,850   Packaging Corp. of America      1,216,344  
12,533   Sealed Air Corp.      686,683  
24,780   WestRock Co.      1,234,788  
    

 

 

 

       10,683,798  
    

 

 

 

Distributors (0.1%):   
12,711   Genuine Parts Co.      1,540,954  
23,953   LKQ Corp.*      1,205,315  
3,524   Pool Corp.      1,530,861  
    

 

 

 

       4,277,130  
    

 

 

 

Diversified Financial Services (1.4%):   
162,468   Berkshire Hathaway, Inc., Class B*      44,344,016  
    

 

 

 

Diversified Telecommunication Services (1.2%):   
624,159   AT&T, Inc.      16,858,535  
84,634   Lumen Technologies, Inc.      1,048,615  
362,068   Verizon Communications, Inc.      19,555,293  
    

 

 

 

             37,462,443  
    

 

 

 

Electric Utilities (1.5%):   
23,286   Alliant Energy Corp.      1,303,550  
44,893   American Electric Power Co., Inc.      3,644,414  
67,720   Duke Energy Corp.      6,608,795  
33,651   Edison International      1,866,621  
17,643   Entergy Corp.      1,752,126  
19,893   Evergy, Inc.      1,237,345  
29,660   Eversource Energy      2,425,002  
85,918   Exelon Corp.      4,153,276  
47,932   FirstEnergy Corp.      1,707,338  
171,201   NextEra Energy, Inc.      13,442,702  
9,237   Pinnacle West Capital Corp.      668,389  
68,310   PPL Corp.      1,904,483  
92,803   Southern Co. (The)      5,751,002  
47,195   Xcel Energy, Inc.      2,949,687  
    

 

 

 

       49,414,730  
    

 

 

 

Electrical Equipment (0.6%):   
19,976   AMETEK, Inc.      2,477,224  
34,974   Eaton Corp. plc      5,221,968  
Shares         Value
Common Stocks, continued   
Electrical Equipment, continued   
52,495   Emerson Electric Co.    $ 4,945,029  
11,448   Enphase Energy, Inc.*      1,716,857  
5,399   Generac Holdings, Inc.*      2,206,409  
10,460   Rockwell Automation, Inc.      3,075,658  
    

 

 

 

       19,643,145  
    

 

 

 

Electronic Equipment, Instruments &
Components (0.6%):
  
52,429   Amphenol Corp., Class A      3,839,376  
11,978   CDW Corp.      2,180,236  
67,029   Corning, Inc.      2,445,888  
3,331   IPG Photonics Corp.*      527,630  
16,453   Keysight Technologies, Inc.*      2,703,063  
28,999   TE Connectivity, Ltd.      3,979,243  
22,189   Trimble, Inc.*      1,825,045  
4,612   Zebra Technologies Corp., Class A*      2,377,117  
    

 

 

 

       19,877,598  
    

 

 

 

Energy Equipment & Services (0.2%):   
72,614   Baker Hughes Co.      1,795,744  
77,737   Halliburton Co.      1,680,674  
122,948   Schlumberger, Ltd.      3,644,179  
    

 

 

 

       7,120,597  
    

 

 

 

Entertainment (1.9%):   
68,200   Activision Blizzard, Inc.      5,277,998  
25,163   Electronic Arts, Inc.      3,579,437  
11,548   Live Nation Entertainment, Inc.*      1,052,369  
38,792   Netflix, Inc.*      23,676,309  
10,170   Take-Two Interactive Software, Inc.*      1,566,892  
159,210   Walt Disney Co. (The)*      26,933,556  
    

 

 

 

             62,086,561  
    

 

 

 

Equity Real Estate Investment Trusts (2.5%):   
12,152   Alexandria Real Estate Equities, Inc.      2,321,883  
39,818   American Tower Corp.      10,568,095  
12,109   AvalonBay Communities, Inc.      2,683,839  
12,353   Boston Properties, Inc.      1,338,447  
37,687   Crown Castle International Corp.      6,531,911  
24,768   Digital Realty Trust, Inc.      3,577,738  
32,912   Duke Realty Corp.      1,575,497  
7,866   Equinix, Inc.      6,215,163  
29,606   Equity Residential      2,395,717  
5,731   Essex Property Trust, Inc.      1,832,430  
11,831   Extra Space Storage, Inc.      1,987,490  
6,151   Federal Realty Investment Trust      725,756  
159   Gaming and Leisure Properties, Inc.      7,365  
47,222   Healthpeak Properties, Inc.      1,580,992  
59,605   Host Hotels & Resorts, Inc.*      973,350  
26,955   Iron Mountain, Inc.      1,171,195  
54,323   Kimco Realty Corp.      1,127,202  
10,579   Mid-America Apartment Communities, Inc.      1,975,628  
64,965   Prologis, Inc.      8,148,560  
13,470   Public Storage, Inc.      4,001,937  
34,129   Realty Income Corp.      2,213,607  
13,229   Regency Centers Corp.      890,709  
9,598   SBA Communications Corp.      3,172,811  
29,498   Simon Property Group, Inc.      3,833,855  
23,907   UDR, Inc.      1,266,593  
33,225   Ventas, Inc.      1,834,352  
14,593   Vornado Realty Trust      613,052  
37,394   Welltower, Inc.      3,081,266  
63,912   Weyerhaeuser Co.      2,273,350  
    

 

 

 

       79,919,790  
    

 

 

 

Food & Staples Retailing (1.4%):   
38,725   Costco Wholesale Corp.      17,401,079  
59,599   Kroger Co. (The)      2,409,588  
44,839   Sysco Corp.      3,519,861  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL S&P 500 Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Food & Staples Retailing, continued   
62,543   Walgreens Boots Alliance, Inc.    $ 2,942,648  
125,256   Walmart, Inc.      17,458,181  
    

 

 

 

       43,731,357  
    

 

 

 

Food Products (0.9%):   
48,712   Archer-Daniels-Midland Co.      2,923,207  
16,606   Campbell Soup Co.      694,297  
41,859   Conagra Brands, Inc.      1,417,764  
53,377   General Mills, Inc.      3,193,012  
12,813   Hershey Co. (The)      2,168,600  
26,382   Hormel Foods Corp.      1,081,662  
9,406   JM Smucker Co. (The)      1,129,002  
23,487   Kellogg Co.      1,501,289  
60,591   Kraft Heinz Co. (The)      2,230,961  
12,006   Lamb Weston Holdings, Inc.      736,808  
21,959   McCormick & Co.      1,779,338  
123,329   Mondelez International, Inc., Class A      7,175,281  
26,108   Tyson Foods, Inc., Class A      2,060,966  
    

 

 

 

       28,092,187  
    

 

 

 

Gas Utilities (0.0%):   
12,269   Atmos Energy Corp.      1,082,126  
Health Care Equipment & Supplies (3.8%):   
155,382   Abbott Laboratories      18,355,276  
3,942   ABIOMED, Inc.*      1,283,200  
6,473   Align Technology, Inc.*      4,307,328  
44,929   Baxter International, Inc.      3,613,640  
25,171   Becton Dickinson & Co.      6,187,535  
124,934   Boston Scientific Corp.*      5,420,886  
4,335   Cooper Cos., Inc. (The)      1,791,699  
55,510   Danaher Corp.      16,899,464  
20,382   Dentsply Sirona, Inc.      1,183,175  
8,503   DexCom, Inc.*      4,649,951  
54,849   Edwards Lifesciences Corp.*      6,209,455  
22,534   Hologic, Inc.*      1,663,235  
7,498   IDEXX Laboratories, Inc.*      4,663,006  
10,385   Intuitive Surgical, Inc.*      10,324,248  
117,312   Medtronic plc      14,705,059  
12,795   ResMed, Inc.      3,372,122  
9,074   Steris plc      1,853,637  
29,416   Stryker Corp.      7,757,588  
4,080   Teleflex, Inc.      1,536,324  
6,369   West Pharmaceutical Services, Inc.      2,703,895  
18,304   Zimmer Biomet Holdings, Inc.      2,678,973  
    

 

 

 

            121,159,696  
    

 

 

 

Health Care Providers & Services (2.5%):   
13,690   AmerisourceBergen Corp.      1,635,270  
21,458   Anthem, Inc.      7,999,542  
25,234   Cardinal Health, Inc.      1,248,074  
51,237   Centene Corp.*      3,192,577  
29,711   Cigna Corp.      5,946,954  
115,614   CVS Health Corp.      9,811,004  
5,727   DaVita, Inc.*      665,821  
21,606   HCA Healthcare, Inc.      5,244,208  
11,839   Henry Schein, Inc.*      901,658  
11,322   Humana, Inc.      4,405,956  
8,396   Laboratory Corp. of America Holdings*      2,362,970  
13,557   McKesson Corp.      2,702,995  
10,709   Quest Diagnostics, Inc.      1,556,125  
82,644   UnitedHealth Group, Inc.      32,292,317  
6,615   Universal Health Services, Inc., Class B      915,318  
    

 

 

 

       80,880,789  
    

 

 

 

Health Care Technology (0.1%):   
26,789   Cerner Corp.      1,889,160  
    

 

 

 

Shares         Value
Common Stocks, continued   
Hotels, Restaurants & Leisure (1.7%):   
19,265   Caesars Entertainment, Inc.*    $ 2,163,074  
69,358   Carnival Corp., Class A*      1,734,644  
2,475   Chipotle Mexican Grill, Inc.*      4,498,362  
11,303   Darden Restaurants, Inc.      1,712,065  
3,215   Domino’s Pizza, Inc.      1,533,426  
24,362   Hilton Worldwide Holdings, Inc.*      3,218,464  
30,816   Las Vegas Sands Corp.*      1,127,866  
23,976   Marriott International, Inc., Class A*      3,550,606  
65,443   McDonald’s Corp.      15,778,962  
35,525   MGM Resorts International      1,532,904  
30,467   Norwegian Cruise Line Holdings, Ltd.*^      813,774  
13,824   Penn National Gaming, Inc.*      1,001,687  
20,229   Royal Caribbean Cruises, Ltd.*      1,799,369  
103,703   Starbucks Corp.      11,439,478  
9,990   Wynn Resorts, Ltd.*      846,652  
26,123   Yum! Brands, Inc.      3,195,104  
    

 

 

 

       55,946,437  
    

 

 

 

Household Durables (0.4%):   
23,372   Bath & Body Works, Inc.      1,473,137  
29,080   DR Horton, Inc.      2,441,848  
13,302   Garmin, Ltd.      2,067,929  
11,855   Leggett & Platt, Inc.      531,578  
23,678   Lennar Corp., Class A      2,218,155  
4,901   Mohawk Industries, Inc.*      869,437  
31,308   Newell Brands, Inc.      693,159  
296   NVR, Inc.*      1,419,048  
22,797   PulteGroup, Inc.      1,046,838  
5,407   Whirlpool Corp.      1,102,271  
    

 

 

 

       13,863,400  
    

 

 

 

Household Products (1.3%):   
21,599   Church & Dwight Co., Inc.      1,783,429  
10,473   Clorox Co. (The)      1,734,434  
74,044   Colgate-Palmolive Co.      5,596,246  
29,669   Kimberly-Clark Corp.      3,929,362  
212,756   Procter & Gamble Co. (The)      29,743,289  
    

 

 

 

       42,786,760  
    

 

 

 

Independent Power and Renewable Electricity Producers (0.1%):   
57,848   AES Corp. (The)      1,320,670  
22,056   NRG Energy, Inc.      900,546  
    

 

 

 

       2,221,216  
    

 

 

 

Industrial Conglomerates (1.1%):   
50,716   3M Co.      8,896,601  
96,341   General Electric Co.      9,926,013  
60,511   Honeywell International, Inc.      12,845,275  
9,247   Roper Technologies, Inc.      4,125,364  
    

 

 

 

             35,793,253  
    

 

 

 

Insurance (1.9%):   
53,550   Aflac, Inc.      2,791,561  
25,553   Allstate Corp. (The)      3,253,152  
75,267   American International Group, Inc.      4,131,406  
19,840   Aon plc, Class A      5,669,677  
18,264   Arthur J. Gallagher & Co.      2,714,944  
5,204   Assurant, Inc.      820,931  
20,486   Brown & Brown, Inc.      1,135,949  
38,454   Chubb, Ltd.      6,671,000  
13,082   Cincinnati Financial Corp.      1,494,226  
3,361   Everest Re Group, Ltd.      842,872  
7,777   Globe Life, Inc.      692,386  
30,213   Hartford Financial Services Group, Inc. (The)      2,122,463  
15,176   Lincoln National Corp.      1,043,350  
17,114   Loews Corp.      922,958  
44,629   Marsh & McLennan Cos., Inc.      6,758,169  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL S&P 500 Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Insurance, continued   
64,173   MetLife, Inc.    $ 3,961,399  
21,970   Principal Financial Group, Inc.      1,414,868  
51,175   Progressive Corp. (The)      4,625,708  
33,686   Prudential Financial, Inc.      3,543,767  
21,465   Travelers Cos., Inc. (The)      3,262,895  
11,121   Willis Towers Watson plc      2,585,188  
13,087   WR Berkley Corp.      957,707  
    

 

 

 

       61,416,576  
    

 

 

 

Interactive Media & Services (6.7%):   
26,389   Alphabet, Inc., Class A*      70,551,519  
24,694   Alphabet, Inc., Class C*      65,817,165  
208,934   Facebook, Inc., Class A*      70,910,110  
24,262   Match Group, Inc.*      3,808,892  
69,684   Twitter, Inc.*      4,208,217  
    

 

 

 

       215,295,903  
    

 

 

 

Internet & Direct Marketing Retail (4.4%):   
38,174   Amazon.com, Inc.*      125,403,117  
3,601   Booking Holdings, Inc.*      8,548,306  
58,293   eBay, Inc.      4,061,273  
10,852   Etsy, Inc.*      2,256,782  
13,224   Expedia Group, Inc.*      2,167,414  
    

 

 

 

             142,436,892  
    

 

 

 

IT Services (4.9%):   
55,580   Accenture plc, Class A      17,781,154  
14,337   Akamai Technologies, Inc.*      1,499,507  
37,082   Automatic Data Processing, Inc.      7,413,433  
10,231   Broadridge Financial Solutions, Inc.      1,704,894  
46,351   Cognizant Technology Solutions Corp., Class A      3,439,708  
21,865   DXC Technology Co.*      734,883  
54,401   Fidelity National Information Services, Inc.      6,619,514  
52,541   Fiserv, Inc.*      5,700,698  
6,985   FleetCor Technologies, Inc.*      1,824,971  
7,332   Gartner, Inc.*      2,228,048  
25,699   Global Payments, Inc.      4,049,648  
78,276   International Business Machines Corp.      10,874,885  
6,331   Jack Henry & Associates, Inc.      1,038,664  
12,427   Leidos Holdings, Inc.      1,194,607  
76,354   MasterCard, Inc., Class A      26,546,759  
28,069   Paychex, Inc.      3,156,359  
102,936   PayPal Holdings, Inc.*      26,784,976  
8,354   VeriSign, Inc.*      1,712,653  
147,917   Visa, Inc., Class A      32,948,512  
33,389   Western Union Co. (The.)      675,126  
    

 

 

 

       157,928,999  
    

 

 

 

Leisure Products (0.0%):   
11,952   Hasbro, Inc.      1,066,357  
    

 

 

 

Life Sciences Tools & Services (1.4%):   
26,821   Agilent Technologies, Inc.      4,225,112  
1,879   Bio-Rad Laboratories, Inc., Class A*      1,401,640  
3,442   Bio-Techne Corp.      1,667,890  
4,423   Charles River Laboratories International, Inc.*      1,825,240  
12,837   Illumina, Inc.*      5,206,816  
16,793   IQVIA Holdings, Inc.*      4,022,595  
2,026   Mettler-Toledo International, Inc.*      2,790,531  
9,890   PerkinElmer, Inc.      1,713,838  
34,380   Thermo Fisher Scientific, Inc.      19,642,325  
5,234   Waters Corp.*      1,870,108  
    

 

 

 

       44,366,095  
    

 

 

 

Machinery (1.5%):   
48,077   Caterpillar, Inc.      9,229,342  
12,587   Cummins, Inc.      2,826,537  
Shares         Value
Common Stocks, continued   
Machinery, continued   
24,880   Deere & Co.    $ 8,336,541  
12,618   Dover Corp.      1,962,099  
31,412   Fortive Corp.      2,216,745  
6,600   IDEX Corp.      1,365,870  
24,817   Illinois Tool Works, Inc.      5,127,937  
35,512   Ingersoll-Rand, Inc.*      1,790,160  
37,406   Otis Worldwide Corp.      3,077,766  
29,991   PACCAR, Inc.      2,366,890  
11,521   Parker-Hannifin Corp.      3,221,502  
14,162   Pentair plc      1,028,586  
4,577   Snap-On, Inc.      956,364  
14,010   Stanley Black & Decker, Inc.      2,456,093  
16,568   Wabtec Corp.      1,428,327  
15,931   Xylem, Inc.      1,970,346  
    

 

 

 

             49,361,105  
    

 

 

 

Media (1.2%):   
11,117   Charter Communications, Inc., Class A*      8,088,285  
401,186   Comcast Corp., Class A      22,438,333  
26,156   Discovery Communications, Inc., Class C*      634,806  
17,601   Discovery, Inc., Class A*^      446,713  
20,778   DISH Network Corp., Class A*      903,012  
30,412   Fox Corp., Class A      1,219,825  
11,105   Fox Corp., Class B      412,218  
33,971   Interpublic Group of Cos., Inc. (The)      1,245,717  
32,464   News Corp., Class A      763,878  
10,641   News Corp., Class B      247,190  
18,798   Omnicom Group, Inc.      1,362,103  
53,914   ViacomCBS, Inc., Class B      2,130,142  
    

 

 

 

       39,892,222  
    

 

 

 

Metals & Mining (0.3%):   
127,939   Freeport-McMoRan, Inc.      4,161,856  
69,594   Newmont Corp.      3,778,954  
25,741   Nucor Corp.      2,535,231  
    

 

 

 

       10,476,041  
    

 

 

 

Multiline Retail (0.5%):   
20,597   Dollar General Corp.      4,369,448  
20,752   Dollar Tree, Inc.*      1,986,381  
43,421   Target Corp.      9,933,422  
    

 

 

 

       16,289,251  
    

 

 

 

Multi-Utilities (0.7%):   
23,155   Ameren Corp.      1,875,555  
54,241   CenterPoint Energy, Inc.      1,334,329  
25,335   CMS Energy Corp.      1,513,260  
31,812   Consolidated Edison, Inc.      2,309,233  
71,561   Dominion Energy, Inc.      5,225,384  
17,182   DTE Energy Co.      1,919,401  
32,722   NiSource, Inc.      792,854  
43,790   Public Service Enterprise Group, Inc.      2,666,811  
28,444   Sempra Energy      3,598,166  
27,110   WEC Energy Group, Inc.      2,391,102  
    

 

 

 

       23,626,095  
    

 

 

 

Oil, Gas & Consumable Fuels (2.5%):   
30,076   APA Corp.      644,529  
170,443   Chevron Corp.      17,291,442  
117,106   ConocoPhillips      7,936,274  
35,502   Coterra Energy, Inc.      772,524  
55,183   Devon Energy Corp.      1,959,548  
14,209   Diamondback Energy, Inc.      1,345,166  
51,595   EOG Resources, Inc.      4,141,531  
370,320   Exxon Mobil Corp.      21,782,222  
24,354   Hess Corp.      1,902,291  
175,689   Kinder Morgan, Inc.      2,939,277  
65,066   Marathon Oil Corp.      889,452  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL S&P 500 Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Oil, Gas & Consumable Fuels, continued   
56,255   Marathon Petroleum Corp.    $ 3,477,122  
78,664   Occidental Petroleum Corp.      2,326,881  
37,849   ONEOK, Inc.      2,194,863  
37,844   Phillips 66      2,650,215  
19,638   Pioneer Natural Resources Co.      3,269,923  
35,117   Valero Energy Corp.      2,478,207  
105,057   Williams Cos., Inc.      2,725,179  
    

 

 

 

       80,726,646  
    

 

 

 

Personal Products (0.2%):   
20,389   Estee Lauder Co., Inc. (The), Class A      6,115,273  
    

 

 

 

Pharmaceuticals (3.6%):   
193,950   Bristol-Myers Squibb Co.      11,476,022  
15,030   Catalent, Inc.*      2,000,042  
69,562   Eli Lilly & Co.      16,072,300  
230,729   Johnson & Johnson      37,262,733  
221,543   Merck & Co., Inc.      16,640,095  
21,014   Organon & Co.      689,049  
489,960   Pfizer, Inc.      21,073,180  
105,364   Viatris, Inc.      1,427,682  
41,701   Zoetis, Inc.      8,095,832  
    

 

 

 

            114,736,935  
    

 

 

 

Professional Services (0.4%):   
10,566   Equifax, Inc.      2,677,636  
34,937   IHS Markit, Ltd.      4,074,353  
28,405   Nielsen Holdings plc      545,092  
9,542   Robert Half International, Inc.      957,349  
14,060   Verisk Analytics, Inc.      2,815,796  
    

 

 

 

       11,070,226  
    

 

 

 

Real Estate Management & Development (0.1%):

 

2,485,087   BGP Holdings plc*(a)       
29,004   CBRE Group, Inc., Class A*      2,823,829  
    

 

 

 

       2,823,829  
    

 

 

 

Road & Rail (0.9%):   
196,534   CSX Corp.      5,844,921  
7,774   J.B. Hunt Transport Services, Inc.      1,299,968  
7,738   Kansas City Southern      2,094,213  
21,597   Norfolk Southern Corp.      5,167,082  
8,095   Old Dominion Freight Line, Inc.      2,315,008  
57,157   Union Pacific Corp.      11,203,344  
    

 

 

 

       27,924,536  
    

 

 

 

Semiconductors & Semiconductor Equipment (5.5%):   
106,217   Advanced Micro Devices, Inc.*      10,929,729  
47,295   Analog Devices, Inc.      7,920,967  
80,108   Applied Materials, Inc.      10,312,303  
36,098   Broadcom, Inc.      17,505,003  
356,859   Intel Corp.      19,013,447  
13,477   KLA Corp.      4,508,191  
12,431   Lam Research Corp.      7,075,104  
24,050   Microchip Technology, Inc.      3,691,434  
98,497   Micron Technology, Inc.      6,991,317  
3,768   Monolithic Power Systems, Inc.      1,826,274  
218,416   NVIDIA Corp.      45,247,059  
23,238   NXP Semiconductors NV      4,551,627  
9,417   Qorvo, Inc.*      1,574,428  
98,721   Qualcomm, Inc.      12,733,035  
14,270   Skyworks Solutions, Inc.      2,351,411  
14,657   Teradyne, Inc.      1,600,105  
80,811   Texas Instruments, Inc.      15,532,682  
22,082   Xilinx, Inc.      3,334,161  
    

 

 

 

       176,698,277  
    

 

 

 

Software (9.3%):   
41,755   Adobe, Inc.*      24,039,189  
7,551   ANSYS, Inc.*      2,570,738  
Shares         Value
Common Stocks, continued   
Software, continued   
19,320   Autodesk, Inc.*    $ 5,509,484  
23,865   Cadence Design Systems, Inc.*      3,614,116  
11,821   Ceridian HCM Holding, Inc.*      1,331,281  
11,519   Citrix Systems, Inc.      1,236,795  
11,909   Fortinet, Inc.*      3,477,904  
23,849   Intuit, Inc.      12,866,774  
658,657   Microsoft Corp.      185,688,581  
50,338   NortonLifeLock, Inc.      1,273,551  
144,379   Oracle Corp.      12,579,742  
4,104   Paycom Software, Inc.*      2,034,558  
9,811   PTC, Inc.*      1,175,260  
85,300   salesforce.com, Inc.*      23,135,066  
17,488   ServiceNow, Inc.*      10,882,258  
13,413   Synopsys, Inc.*      4,015,986  
3,590   Tyler Technologies, Inc.*      1,646,554  
    

 

 

 

       297,077,837  
    

 

 

 

Specialty Retail (2.2%):   
6,103   Advance Auto Parts, Inc.      1,274,856  
1,886   AutoZone, Inc.*      3,202,409  
19,850   Best Buy Co., Inc.      2,098,344  
14,439   CarMax, Inc.*      1,847,614  
18,481   Gap, Inc. (The)      419,519  
93,189   Home Depot, Inc. (The)      30,590,221  
62,001   Lowe’s Cos., Inc.      12,577,523  
6,069   O’Reilly Automotive, Inc.*      3,708,523  
31,355   Ross Stores, Inc.      3,412,992  
105,244   TJX Cos., Inc. (The)      6,943,999  
9,703   Tractor Supply Co.      1,965,925  
4,807   Ulta Beauty, Inc.*      1,734,942  
    

 

 

 

       69,776,867  
    

 

 

 

Technology Hardware, Storage & Peripherals (6.4%):   
1,376,377   Apple, Inc.           194,757,346  
114,682   Hewlett Packard Enterprise Co.      1,634,219  
108,426   HP, Inc.      2,966,535  
19,634   NetApp, Inc.      1,762,348  
18,572   Seagate Technology Holdings plc      1,532,561  
27,087   Western Digital Corp.*      1,528,790  
    

 

 

 

       204,181,799  
    

 

 

 

Textiles, Apparel & Luxury Goods (0.7%):   
30,662   Hanesbrands, Inc.      526,160  
111,683   Nike, Inc., Class B      16,219,722  
5,759   PVH Corp.*      591,968  
4,360   Ralph Lauren Corp.      484,134  
23,538   Tapestry, Inc.      871,377  
16,585   Under Armour, Inc., Class A*      334,685  
18,266   Under Armour, Inc., Class C*      320,020  
28,755   VF Corp.      1,926,298  
    

 

 

 

       21,274,364  
    

 

 

 

Tobacco (0.6%):   
160,668   Altria Group, Inc.      7,313,608  
136,880   Philip Morris International, Inc.      12,974,855  
    

 

 

 

       20,288,463  
    

 

 

 

Trading Companies & Distributors (0.2%):   
49,630   Fastenal Co.      2,561,404  
6,407   United Rentals, Inc.*      2,248,409  
3,847   W.W. Grainger, Inc.      1,512,102  
    

 

 

 

       6,321,915  
    

 

 

 

Water Utilities (0.1%):   
15,662   American Water Works Co., Inc.      2,647,504  
    

 

 

 

Wireless Telecommunication Services (0.2%):

 

51,441   T-Mobile USA, Inc.*      6,572,102  
    

 

 

 

Total Common Stocks (Cost $1,334,435,569)      3,202,171,388  
  

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL S&P 500 Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
        Value
Short-Term Security Held as Collateral for Securities on Loan (0.0%):   
1,019,260   BlackRock Liquidity FedFund, Institutional Class , 0.03%(b)(c)    $ 1,019,260  
    

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan (Cost $1,019,260)

     1,019,260  
  

 

 

 

Shares         Value
Unaffiliated Investment Company (0.3%):   
Money Markets (0.3%):   
9,704,671   Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(c)      9,704,671  
    

 

 

 

Total Unaffiliated Investment Company
(Cost $9,704,671)

     9,704,671  
  

 

 

 

Total Investment Securities
(Cost $1,345,159,500) - 100.0%

     3,212,895,319  

Net other assets (liabilities) - 0.0%

     (307,054
  

 

 

 

Net Assets - 100.0%

   $ 3,212,588,265  
  

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

*

Non-income producing security.

^

This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities on loan as of September 30, 2021 was $980,131.

+

Affiliated Securities

Represents less than 0.05%.

(a)

Security was valued using unobservable inputs in good faith pursuant to procedures approved by the Board of Trustees as of September 30, 2021. The total of all such securities represent 0.00% of the net assets of the fund.

(b)

Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.

(c)

The rate represents the effective yield at September 30, 2021.

Amounts shown as “—” are either $0 or rounds to less than $1.

 

 

See accompanying notes to the schedules of portfolio investments.


AZL S&P 500 Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Futures Contracts

At September 30, 2021, the Fund’s open futures contracts were as follows:

Long Futures    

 

Description    Expiration
Date
     Number of
Contracts
     Notional
Amount
     Value and      
Unrealized      
Appreciation/      
(Depreciation)      
 

S&P 500 Index E-Mini December Futures (U.S. Dollar)

     12/17/21        51      $       10,959,263      $ (345,519)        
           

 

 

 
            $ (345,519)        
           

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Small Cap Stock Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks (99.4%):   
Aerospace & Defense (1.0%):   
28,704   AAR Corp.*    $ 930,871  
61,978   Aerojet Rocketdyne Holdings, Inc.      2,699,142  
19,217   AeroVironment, Inc.*      1,658,812  
24,396   Moog, Inc., Class A      1,859,707  
4,418   National Presto Industries, Inc.      362,629  
17,198   Park Aerospace Corp., Class C      235,269  
54,207   Triumph Group, Inc.*      1,009,876  
    

 

 

 

       8,756,306  
    

 

 

 

Air Freight & Logistics (0.8%):   
22,671   Atlas Air Worldwide Holdings, Inc.*      1,851,767  
22,242   Echo Global Logistics, Inc.*      1,061,166  
22,856   Forward Air Corp.      1,897,505  
28,430   Hub Group, Inc., Class A*          1,954,563  
    

 

 

 

       6,765,001  
    

 

 

 

Airlines (0.6%):   
12,586   Allegiant Travel Co.*      2,460,311  
42,485   Hawaiian Holdings, Inc.*      920,225  
42,302   SkyWest, Inc.*      2,087,181  
    

 

 

 

       5,467,717  
    

 

 

 

Auto Components (1.1%):   
96,026   American Axle & Manufacturing Holdings, Inc.*      845,989  
14,550   Cooper-Standard Holding, Inc.*      318,790  
23,718   Dorman Products, Inc.*      2,245,383  
27,688   Gentherm, Inc.*      2,240,790  
21,058   LCI Industries      2,835,039  
16,421   Motorcar Parts of America, Inc.*      320,209  
16,212   Standard Motor Products, Inc.      708,627  
    

 

 

 

       9,514,827  
    

 

 

 

Automobiles (0.2%):   
28,054   Winnebago Industries, Inc.      2,032,512  
    

 

 

 

Banks (10.1%):   
15,370   Allegiance Bancshares, Inc.      586,366  
56,184   Ameris Bancorp      2,914,826  
38,205   Banc of California, Inc.      706,410  
16,236   BancFirst Corp.      976,108  
44,623   Bancorp, Inc. (The)*      1,135,655  
76,271   BankUnited, Inc.      3,189,653  
29,239   Banner Corp.      1,614,285  
40,873   Berkshire Hills Bancorp, Inc.      1,102,754  
64,806   Brookline Bancorp, Inc.      988,940  
104,227   Cadence Bancorp      2,288,825  
23,951   Central Pacific Financial Corp.      615,062  
13,011   City Holding Co.      1,013,687  
59,074   Columbia Banking System, Inc.      2,244,221  
44,479   Community Bank System, Inc.      3,043,253  
24,111   Customers Bancorp, Inc.      1,037,255  
109,552   CVB Financial Corp.      2,231,574  
28,622   Dime Community Bancshares, Inc.      934,795  
26,548   Eagle Bancorp, Inc.      1,526,510  
30,356   FB Financial Corp.      1,301,665  
174,840   First Bancorp      2,299,146  
24,105   First Bancorp/Southern Pines NC      1,036,756  
80,223   First Commonwealth Financial Corp.      1,093,440  
80,458   First Financial Bancorp      1,883,522  
109,704   First Hawaiian, Inc.      3,219,812  
95,149   First Midwest Bancorp, Inc.      1,808,783  
44,952   Great Western Bancorp, Inc.      1,471,728  
26,106   Hanmi Financial Corp.      523,686  
29,389   Heritage Financial Corp.      749,420  
53,204   Hilltop Holdings, Inc.      1,738,175  
102,955   Hope BanCorp, Inc.      1,486,670  
27,081   Independent Bank Corp.      2,062,218  
31,280   Independent Bank Group, Inc.      2,222,131  
190,292   Investors Bancorp, Inc.      2,875,312  
Shares         Value
Common Stocks, continued   
Banks, continued   
20,652   Lakeland Financial Corp.    $ 1,471,249  
25,342   National Bank Holdings Corp.      1,025,844  
36,009   NBT Bancorp, Inc.      1,300,645  
42,064   OFG Bancorp      1,060,854  
136,693   Old National Bancorp      2,316,946  
78,509   Pacific Premier Bancorp, Inc.      3,253,413  
12,418   Park National Corp.      1,514,375  
11,151   Preferred Bank Los Angeles      743,549  
46,632   Renasant Corp.      1,681,084  
32,298   S & T Bancorp, Inc.      951,822  
45,620   Seacoast Banking Corp of Florida      1,542,412  
41,288   ServisFirst Bancshares, Inc.      3,212,206  
88,658   Simmons First National Corp., Class A      2,620,730  
26,100   Southside Bancshares, Inc.      999,369  
10,228   Tompkins Financial Corp.      827,548  
20,130   Triumph BanCorp, Inc.*      2,015,617  
47,962   Trustmark Corp.      1,545,336  
71,698   United Community Banks, Inc.      2,353,128  
40,374   Veritex Holdings, Inc.      1,589,121  
21,917   Westamerica Bancorp      1,233,050  
    

 

 

 

       87,180,941  
    

 

 

 

Beverages (0.7%):   
31,677   Celsius Holdings, Inc.*      2,853,781  
3,905   Coca-Cola Consolidated, Inc.      1,539,273  
10,463   MGP Ingredients, Inc.      681,141  
19,339   National Beverage Corp.      1,015,104  
    

 

 

 

       6,089,299  
    

 

 

 

Biotechnology (2.0%):   
35,053   Cara Therapeutics, Inc.*      541,569  
53,265   Coherus Biosciences, Inc.*      855,968  
70,022   Cytokinetics, Inc.*      2,502,586  
9,735   Eagle Pharmaceuticals, Inc.*      543,018  
14,854   Enanta Pharmaceuticals, Inc.*      843,856  
13,916   Ligand Pharmaceuticals, Inc.*      1,938,777  
65,713   Myriad Genetics, Inc.*      2,121,873  
53,013   Organogenesis Holdings, Inc.*      754,905  
31,561   REGENXBIO, Inc.*      1,323,037  
139,831   Spectrum Pharmaceuticals, Inc.*      304,832  
30,131   Uniqure NV*      964,493  
46,759   Vanda Pharmaceuticals, Inc.*      801,449  
39,236   Vericel Corp.*      1,914,717  
48,260   Xencor, Inc.*      1,576,172  
    

 

 

 

       16,987,252  
    

 

 

 

Building Products (2.0%):   
34,471   AAON, Inc.      2,252,335  
14,203   American Woodmark Corp.*      928,450  
21,858   Apogee Enterprises, Inc.      825,358  
27,082   Gibraltar Industries, Inc.*      1,886,261  
39,837   Griffon Corp.      979,990  
16,265   Insteel Industries, Inc.      618,883  
18,651   Patrick Industries, Inc.          1,553,628  
49,538   PGT Innovations, Inc.*      946,176  
28,190   Quanex Building Products Corp.      603,548  
120,441   Resideo Technologies, Inc.*      2,985,733  
51,750   UFP Industries, Inc.      3,517,965  
    

 

 

 

       17,098,327  
    

 

 

 

Capital Markets (1.0%):   
13,456   B Riley Financial, Inc.      794,442  
41,128   Blucora, Inc.*      641,186  
49,880   Brightsphere Investment Group, Inc.      1,303,364  
24,543   Donnelley Financial Solutions, Inc.*      849,679  
12,016   Greenhill & Co., Inc.      175,674  
12,131   Piper Jaffray Cos., Inc.      1,679,658  
14,551   StoneX Group, Inc.*      958,911  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Small Cap Stock Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Capital Markets, continued   
6,151   Virtus Investment Partners, Inc.    $ 1,908,778  
95,986   WisdomTree Investments, Inc.      544,241  
    

 

 

 

       8,855,933  
    

 

 

 

Chemicals (2.9%):   
23,480   AdvanSix, Inc.*      933,330  
23,025   American Vanguard Corp.      346,526  
27,022   Balchem Corp.      3,920,082  
69,286   Ferro Corp.*      1,409,277  
24,692   Futurefuel Corp.      176,054  
45,270   GCP Applied Technologies, Inc.*      992,318  
43,763   H.B. Fuller Co.      2,825,339  
16,223   Hawkins, Inc.      565,858  
20,576   Innospec, Inc.      1,732,911  
18,316   Koppers Holdings, Inc.*      572,558  
27,156   Kraton Corp.*      1,239,400  
134,580   Livent Corp.*      3,110,144  
11,167   Quaker Chemical Corp.      2,654,619  
52,705   Rayonier Advanced Materials, Inc.*      395,287  
17,818   Stepan Co.      2,012,365  
20,754   Tredegar Corp.      252,784  
32,417   Trinseo SA      1,749,870  
    

 

 

 

       24,888,722  
    

 

 

 

Commercial Services & Supplies (1.8%):   
56,348   ABM Industries, Inc.      2,536,224  
40,623   Brady Corp., Class A      2,059,586  
35,528   Deluxe Corp.      1,275,100  
62,574   Healthcare Services Group, Inc.      1,563,724  
36,893   HNI Corp.      1,354,711  
49,446   Interface, Inc.      749,107  
26,747   Matthews International Corp., Class A      927,853  
137,164   Pitney Bowes, Inc.      988,952  
12,779   UniFirst Corp.      2,717,071  
26,503   US Ecology, Inc.*      857,372  
16,858   Viad Corp.*      765,522  
    

 

 

 

       15,795,222  
    

 

 

 

Communications Equipment (1.2%):   
41,337   ADTRAN, Inc.      775,482  
19,490   Applied Optoelectronics, Inc.*^      139,938  
29,870   CalAmp Corp.*      297,206  
21,785   Comtech Telecommunications Corp.      557,914  
29,244   Digi International, Inc.*      614,709  
105,128   Extreme Networks, Inc.*      1,035,511  
85,176   Harmonic, Inc.*      745,290  
25,859   InterDigital, Inc.      1,753,757  
25,515   NETGEAR, Inc.*      814,184  
35,605   Plantronics, Inc.*      915,405  
190,159   Viavi Solutions, Inc.*      2,993,103  
    

 

 

 

       10,642,499  
    

 

 

 

Construction & Engineering (0.8%):   
40,421   Arcosa, Inc.      2,027,922  
30,267   Comfort Systems USA, Inc.      2,158,642  
38,373   Granite Construction, Inc.      1,517,652  
14,127   MYR Group, Inc.*      1,405,637  
    

 

 

 

       7,109,853  
    

 

 

 

Consumer Finance (0.8%):   
25,371   Encore Capital Group, Inc.*      1,250,029  
31,925   Enova International, Inc.*      1,103,009  
47,910   EZCORP, Inc., Class A*      362,679  
45,951   Green Dot Corp., Class A*      2,312,714  
38,367   PRA Group, Inc.*      1,616,785  
3,631   World Acceptance Corp.*      688,365  
    

 

 

 

       7,333,581  
    

 

 

 

Containers & Packaging (0.3%):   
30,525   Myers Industries, Inc.      597,374  
Shares         Value
Common Stocks, continued   
Containers & Packaging, continued   
131,273   O-I Glass, Inc.*    $ 1,873,266  
    

 

 

 

       2,470,640  
    

 

 

 

Diversified Consumer Services (0.6%):   
41,570   Adtalem Global Education, Inc.*      1,571,762  
15,878   American Public Education, Inc.*      406,636  
58,748   Perdoceo Education Corp.*      620,379  
22,569   Regis Corp.*^      78,540  
18,763   Strategic Education, Inc.      1,322,791  
44,330   WW International, Inc.*      809,022  
    

 

 

 

       4,809,130  
    

 

 

 

Diversified Telecommunication Services (0.8%):   
9,127   ATN International, Inc.      427,600  
35,106   Cogent Communications Holdings, Inc.      2,486,909  
59,878   Consolidated Communications Holdings, Inc.*      550,279  
209,501   Vonage Holdings Corp.*      3,377,156  
    

 

 

 

       6,841,944  
    

 

 

 

Electrical Equipment (0.6%):   
21,267   AZZ, Inc.      1,131,404  
17,296   Encore Wire Corp.      1,640,180  
8,766   Powell Industries, Inc.      215,381  
17,760   Vicor Corp.*      2,382,681  
    

 

 

 

       5,369,646  
    

 

 

 

Electronic Equipment, Instruments & Components (3.5%):   
70,743   Arlo Technologies, Inc.*      453,463  
24,348   Badger Meter, Inc.      2,462,557  
30,082   Benchmark Electronics, Inc.      803,490  
27,201   CTS Corp.      840,783  
35,453   Daktronics, Inc.*      192,510  
11,566   ePlus, Inc.*      1,186,787  
30,861   Fabrinet*      3,163,561  
15,176   FARO Technologies, Inc.*      998,733  
29,092   Insight Enterprises, Inc.*      2,620,607  
37,629   Itron, Inc.*      2,845,881  
76,115   Knowles Corp.*      1,426,395  
4,339   Mesa Laboratories, Inc.      1,311,940  
31,771   Methode Electronics, Inc., Class A      1,335,971  
14,030   OSI Systems, Inc.*      1,330,044  
9,208   PC Connection, Inc.      405,428  
23,582   Plexus Corp.*      2,108,467  
15,615   Rogers Corp.*      2,911,885  
54,696   Sanmina Corp.*      2,107,984  
21,051   ScanSource, Inc.*      732,364  
91,078   TTM Technologies, Inc.*      1,144,850  
    

 

 

 

       30,383,700  
    

 

 

 

Energy Equipment & Services (1.3%):   
112,188   Archrock, Inc.      925,551  
19,628   Bristow Group, Inc.*      624,759  
38,979   Core Laboratories NV      1,081,667  
29,207   Dril-Quip, Inc.*      735,432  
117,510   Helix Energy Solutions Group, Inc.*      455,939  
90,158   Helmerich & Payne, Inc.      2,471,231  
21,794   Matrix Service Co.*      227,965  
6,528   Nabors Industries, Ltd.*      629,822  
83,957   Oceaneering International, Inc.*      1,118,307  
50,209   Oil States International, Inc.*      320,836  
159,366   Patterson-UTI Energy, Inc.      1,434,294  
71,265   Propetro Holding Corp.*      616,442  
59,562   RPC, Inc.*      289,471  
63,018   U.S. Silica Holdings, Inc.*      503,514  
    

 

 

 

       11,435,230  
    

 

 

 

Entertainment (0.2%):   
88,129   Cinemark Holdings, Inc.*^      1,692,958  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Small Cap Stock Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Entertainment, continued   
18,505   Marcus Corp.*    $ 322,912  
    

 

 

 

       2,015,870  
    

 

 

 

Equity Real Estate Investment Trusts (7.2%):   
74,486   Acadia Realty Trust      1,520,259  
57,271   Agree Realty Corp.      3,793,058  
60,399   Alexander & Baldwin, Inc.      1,415,753  
44,132   American Assets Trust, Inc.      1,651,419  
51,598   Armada Hoffler Properties, Inc.      689,865  
143,493   Brandywine Realty Trust      1,925,676  
80,431   CareTrust REIT, Inc.      1,634,358  
11,766   Centerspace      1,111,887  
40,614   Chatham Lodging Trust*      497,522  
19,117   Community Healthcare Trust, Inc.      863,897  
101,583   CoreCivic, Inc.*      904,089  
175,806   DiamondRock Hospitality Co.*      1,661,367  
200,935   Diversified Healthcare Trust      681,170  
69,299   Easterly Government Properties, Inc.      1,431,717  
63,019   Four Corners Property Trust, Inc.      1,692,690  
82,160   Franklin Street Properties Corp.      381,222  
100,653   GEO Group, Inc. (The)^      751,878  
31,911   Getty Realty Corp.      935,311  
83,791   Global Net Lease, Inc.      1,342,332  
26,871   Hersha Hospitality Trust*      250,706  
86,613   Independence Realty Trust, Inc.      1,762,575  
54,581   Industrial Logistics Properties Trust      1,386,903  
19,970   Innovative Industrial Properties, Inc.      4,616,465  
60,377   iStar, Inc.^      1,514,255  
71,174   Kite Realty Group Trust      1,449,103  
233,103   Lexington Realty Trust      2,972,063  
32,682   LTC Properties, Inc.      1,035,693  
66,373   Mack-Cali Realty Corp.      1,136,306  
18,789   NexPoint Residential Trust, Inc.      1,162,663  
40,831   Office Properties Income Trust      1,034,249  
100,349   Retail Opportunity Investments Corp.      1,748,080  
179,357   Retail Properties of America, Inc., Class A      2,310,118  
69,259   Rpt Realty      883,745  
11,152   Safehold, Inc.      801,717  
10,425   Saul Centers, Inc.      459,326  
137,406   Service Properties Trust      1,540,321  
151,403   SITE Centers Corp.      2,337,662  
88,049   Summit Hotel Properties, Inc.*      847,912  
86,473   Tanger Factory Outlet Centers, Inc.^      1,409,510  
193,951   Uniti Group, Inc.      2,399,174  
10,790   Universal Health Realty Income Trust      596,363  
25,572   Urstadt Biddle Properties, Inc., Class A      484,078  
70,460   Washington Real Estate      1,743,885  
36,578   Whitestone REIT      357,733  
95,862   Xenia Hotels & Resorts, Inc.*      1,700,592  
    

 

 

 

         62,826,667  
    

 

 

 

Food & Staples Retailing (0.7%):   
20,226   PriceSmart, Inc.      1,568,526  
31,192   SpartanNash Co.      683,105  
26,247   The Andersons, Inc.      809,195  
27,063   The Chefs’ Warehouse, Inc.*      881,442  
46,992   United Natural Foods, Inc.*      2,275,353  
    

 

 

 

       6,217,621  
    

 

 

 

Food Products (1.3%):   
53,773   B&G Foods, Inc.^      1,607,275  
14,734   Calavo Growers, Inc.      563,428  
31,306   Cal-Maine Foods, Inc.      1,132,025  
28,190   Fresh Del Monte Produce, Inc.      908,282  
12,478   J & J Snack Foods Corp.      1,906,888  
7,536   John B Sanfilippo And Son, Inc.      615,842  
5,708   Seneca Foods Corp., Class A*      275,240  
Shares         Value
Common Stocks, continued   
Food Products, continued   
70,127   Simply Good Foods Co. (The)*    $ 2,418,680  
46,274   TreeHouse Foods, Inc.*      1,845,407  
    

 

 

 

         11,273,067  
    

 

 

 

Gas Utilities (0.6%):   
14,930   Chesapeake Utilities Corp.      1,792,346  
25,989   Northwest Natural Holding Co.      1,195,234  
93,830   South Jersey Industries, Inc.      1,994,826  
    

 

 

 

       4,982,406  
    

 

 

 

Health Care Equipment & Supplies (3.2%):   
32,453   AngioDynamics, Inc.*      841,831  
11,884   Anika Therapeutics, Inc.*      505,783  
40,702   Avanos Medical, Inc.*      1,269,902  
24,576   BioLife Solutions, Inc.*      1,040,056  
33,584   Cardiovascular Systems, Inc.*      1,102,563  
24,303   CONMED Corp.      3,179,562  
33,229   CryoLife, Inc.*      740,674  
13,815   Cutera, Inc.*      643,779  
39,089   Glaukos Corp.*      1,882,917  
8,859   Heska Corp.*      2,290,406  
17,138   Inogen, Inc.*      738,477  
27,742   Integer Holdings Corp.*      2,478,470  
32,093   Invacare Corp.*      152,763  
56,684   Lantheus Holdings, Inc.*      1,455,645  
16,148   LeMaitre Vascular, Inc.      857,297  
35,812   Meridian Bioscience, Inc.*      689,023  
42,249   Merit Medical Systems, Inc.*      3,033,478  
28,694   Natus Medical, Inc.*      719,646  
59,094   OraSure Technologies, Inc.*      668,353  
16,823   Orthofix Medical, Inc.*      641,293  
11,765   Surmodics, Inc.*      654,134  
16,244   Tactile Systems Technology, Inc.*      722,046  
32,981   Varex Imaging Corp.*      930,064  
15,483   Zynex, Inc.*^      176,351  
    

 

 

 

       27,414,513  
    

 

 

 

Health Care Providers & Services (4.0%):   
13,340   Addus HomeCare Corp.*      1,063,865  
39,408   AMN Healthcare Services, Inc.*      4,522,068  
31,376   Apollo Medical Holdings, Inc.*      2,856,785  
104,968   Community Health Systems, Inc.*      1,228,126  
7,837   CorVel Corp.*      1,459,406  
86,910   Covetrus, Inc.*      1,576,547  
30,233   Cross Country Healthcare, Inc.*      642,149  
43,675   Ensign Group, Inc. (The)      3,270,821  
16,174   Fulgent Genetics, Inc.*^      1,454,851  
30,701   Hanger, Inc.*      674,194  
12,101   Joint Corp. (The)*      1,186,140  
19,185   Magellan Health, Inc.*      1,813,942  
72,472   MEDNAX, Inc.*      2,060,379  
10,319   ModivCare, Inc.*      1,874,137  
63,017   Owens & Minor, Inc.      1,971,802  
36,617   RadNet, Inc.*      1,073,244  
88,633   Select Medical Holdings Corp.      3,205,856  
22,854   The Pennant Group, Inc.*      641,969  
36,721   Tivity Health, Inc.*      846,786  
10,707   U.S. Physical Therapy, Inc.      1,184,194  
    

 

 

 

         34,607,261  
    

 

 

 

Health Care Technology (1.1%):   
104,034   Allscripts Healthcare Solutions, Inc.*      1,390,935  
12,391   Computer Programs & Systems, Inc.*      439,385  
21,549   HealthStream, Inc.*      615,870  
47,475   NextGen Healthcare, Inc.*      669,398  
36,263   Omnicell, Inc.*      5,382,517  
12,817   Simulations Plus, Inc.      506,271  
19,127   Tabula Rasa Healthcare, Inc.*      501,319  
    

 

 

 

       9,505,695  
    

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Small Cap Stock Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Hotels, Restaurants & Leisure (1.6%):   
19,645   BJ’s Restaurants, Inc.*    $ 820,375  
67,774   Bloomin’ Brands, Inc.*      1,694,350  
38,109   Brinker International, Inc.*      1,869,247  
40,326   Cheesecake Factory, Inc. (The)*      1,895,322  
16,811   Chuy’s Holdings, Inc.*      530,051  
32,521   Dave & Buster’s Entertainment, Inc.*      1,246,530  
14,302   Dine Brands Global, Inc.*      1,161,465  
16,962   El Pollo Loco Holdings, Inc.*      286,658  
14,609   Fiesta Restaurant Group, Inc.*      160,115  
10,921   Monarch Casino & Resort, Inc.*      731,598  
12,903   Red Robin Gourmet Burgers*      297,543  
26,778   Ruth’s Hospitality Group, Inc.*      554,572  
32,618   Shake Shack, Inc., Class A*      2,559,208  
    

 

 

 

         13,807,034  
    

 

 

 

Household Durables (2.2%):   
7,100   Cavco Industries, Inc.*      1,680,854  
24,964   Century Communities, Inc.      1,534,038  
18,650   Ethan Allen Interiors, Inc.      442,005  
19,646   Installed Building Products, Inc.      2,105,069  
23,391   iRobot Corp.*^      1,836,193  
37,690   La-Z-Boy, Inc.      1,214,749  
17,983   LGI Homes, Inc.*      2,551,968  
24,223   M/I Homes, Inc.*      1,400,089  
46,558   MDC Holdings, Inc.      2,175,190  
31,321   Meritage Homes Corp.*      3,038,137  
41,565   Tupperware Brands Corp.*      877,853  
11,521   Universal Electronics, Inc.*      567,409  
    

 

 

 

       19,423,554  
    

 

 

 

Household Products (0.5%):   
8,989   Central Garden & Pet Co.*      431,472  
32,573   Central Garden & Pet Co., Class A*      1,400,639  
11,387   WD-40 Co.      2,635,863  
    

 

 

 

       4,467,974  
    

 

 

 

Industrial Conglomerates (0.2%):   
29,883   Raven Industries, Inc.*      1,721,560  
    

 

 

 

Insurance (2.6%):   
39,199   AMBAC Financial Group, Inc.*      561,330  
69,762   American Equity Investment Life Holding Co.      2,062,862  
16,818   Amerisafe, Inc.      944,499  
61,538   Assured Guaranty, Ltd.      2,880,594  
20,050   eHealth, Inc.*      812,025  
23,632   Employers Holdings, Inc.      933,228  
372,031   Genworth Financial, Inc., Class A*      1,395,116  
5,571   HCI Group, Inc.      617,100  
34,619   Horace Mann Educators Corp.      1,377,490  
31,888   James River Group Holdings      1,203,134  
20,022   Palomar Holdings, Inc.*      1,618,378  
44,029   ProAssurance Corp.      1,047,010  
11,869   Safety Insurance Group, Inc.      940,618  
105,092   Selectquote, Inc.*      1,358,840  
75,648   SiriusPoint, Ltd.*      700,500  
22,087   Stewart Information Services Corp.      1,397,224  
28,787   Trupanion, Inc.*      2,235,886  
18,907   United Fire Group, Inc.      436,752  
22,588   Universal Insurance Holdings, Inc.      294,547  
    

 

 

 

       22,817,133  
    

 

 

 

Interactive Media & Services (0.1%):   
41,923   QuinStreet, Inc.*      736,168  
    

 

 

 

Internet & Direct Marketing Retail (0.9%):   
22,314   Liquidity Services, Inc.*      482,206  
17,321   PetMed Express, Inc.^      465,415  
19,536   Shutterstock, Inc.      2,213,820  
Shares         Value
Common Stocks, continued   
Internet & Direct Marketing Retail, continued   
15,294   Stamps.com, Inc.*    $ 5,043,808  
    

 

 

 

       8,205,249  
    

 

 

 

IT Services (1.7%):   
27,356   CSG Systems International, Inc.      1,318,559  
49,630   Evertec, Inc.      2,269,084  
27,846   Exlservice Holdings, Inc.*      3,428,400  
23,257   ManTech International Corp., Class A      1,765,671  
27,524   Perficient, Inc.*      3,184,527  
15,476   TTEC Holdings, Inc.      1,447,470  
55,793   Unisys Corp.*      1,402,636  
    

 

 

 

         14,816,347  
    

 

 

 

Leisure Products (0.3%):   
14,719   Sturm, Ruger & Co., Inc.      1,085,968  
47,741   Vista Outdoor, Inc.*      1,924,440  
    

 

 

 

       3,010,408  
    

 

 

 

Life Sciences Tools & Services (0.6%):   
102,263   Neogenomics, Inc.*      4,933,167  
    

 

 

 

Machinery (5.6%):   
8,259   Alamo Group, Inc.      1,152,378  
27,174   Albany International Corp., Class A      2,088,865  
19,225   Astec Industries, Inc.      1,034,497  
38,599   Barnes Group, Inc.      1,610,736  
29,737   Chart Industries, Inc.*      5,683,038  
16,521   CIRCOR International, Inc.*      545,358  
15,952   DMC Global, Inc.*      588,788  
49,725   Enerpac Tool Group Corp.      1,030,799  
17,161   EnPro Industries, Inc.      1,495,066  
21,834   ESCO Technologies, Inc.      1,681,218  
50,808   Federal Signal Corp.      1,962,205  
32,342   Franklin Electric Co., Inc.      2,582,509  
67,049   Harsco Corp.*      1,136,481  
60,848   Hillenbrand, Inc.      2,595,167  
26,510   John Bean Technologies Corp.      3,725,981  
9,082   Lindsay Corp.      1,378,557  
15,187   Lydall, Inc.*      942,961  
58,473   Meritor, Inc.*      1,246,060  
47,976   Mueller Industries, Inc.      1,971,814  
23,272   Proto Labs, Inc.*      1,549,915  
37,775   SPX Corp.*      2,019,074  
34,741   SPX FLOW, Inc.      2,539,567  
10,085   Standex International Corp.      997,507  
15,496   Tennant Co.      1,145,929  
26,909   The Greenbrier Cos., Inc.      1,156,818  
44,230   Titan International, Inc.*      316,687  
42,587   Wabash National Corp.      644,341  
23,050   Watts Water Technologies, Inc., Class A      3,874,475  
    

 

 

 

       48,696,791  
    

 

 

 

Marine (0.3%):   
36,452   Matson, Inc.      2,942,041  
    

 

 

 

Media (0.9%):   
24,639   AMC Networks, Inc., Class A*      1,147,931  
48,475   E.W. Scripps Co. (The), Class A      875,458  
120,999   Gannett Co, Inc.*      808,273  
33,766   Meredith Corp.*      1,880,766  
26,090   Scholastic Corp.      930,109  
20,983   TechTarget, Inc.*      1,729,419  
    

 

 

 

       7,371,956  
    

 

 

 

Metals & Mining (1.3%):   
106,404   Allegheny Technologies, Inc.*      1,769,499  
91,132   Arconic Corp.*      2,874,303  
40,303   Carpenter Technology Corp.      1,319,520  
42,659   Century Aluminum Co.*      573,764  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Small Cap Stock Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Metals & Mining, continued   
10,494   Haynes International, Inc.    $ 390,901  
13,206   Kaiser Aluminum Corp.      1,438,926  
16,871   Materion Corp.      1,158,025  
8,286   Olympic Steel, Inc.      201,847  
69,731   SunCoke Energy, Inc.      437,911  
33,740   TimkenSteel Corp.*      441,319  
42,739   Warrior Met Coal, Inc.      994,537  
    

 

 

 

       11,600,552  
    

 

 

 

Mortgage Real Estate Investment Trusts (1.4%):   
110,102   Apollo Commercial Real Estate Finance, Inc.      1,632,813  
69,912   Armour Residential REIT, Inc.      753,651  
80,267   Capstead Mortgage Corp.      536,986  
40,106   Ellington Financial, Inc.      733,539  
45,589   Granite Point Mortgage Trust, Inc.      600,407  
238,173   Invesco Mortgage Capital, Inc.^      750,245  
33,785   KKR Real Estate Finance Trust, Inc.      712,864  
318,483   New York Mortgage Trust, Inc.      1,356,738  
80,363   Pennymac Mortgage Investment Trust      1,582,348  
47,691   Ready Capital Corp.      688,181  
94,223   Redwood Trust, Inc.      1,214,534  
264,654   Two Harbors Investment Corp.^      1,677,906  
    

 

 

 

       12,240,212  
    

 

 

 

Multiline Retail (0.8%):   
29,251   Big Lots, Inc.      1,268,324  
255,172   Macy’s, Inc.      5,766,887  
    

 

 

 

       7,035,211  
    

 

 

 

Multi-Utilities (0.3%):   
56,591   Avista Corp.      2,213,840  
13,315   Unitil Corp.      569,616  
    

 

 

 

       2,783,456  
    

 

 

 

Oil, Gas & Consumable Fuels (3.6%):   
26,076   Bonanza Creek Energy, Inc.      1,249,040  
32,617   Callon Petroleum Co.*      1,600,842  
26,602   CONSOL Energy, Inc.*      692,184  
24,218   Dorian LPG, Ltd.      300,545  
35,478   Green Plains, Inc.*      1,158,357  
11,358   Laredo Petroleum, Inc.*      920,793  
91,866   Matador Resources Co.      3,494,583  
39,740   PAR Pacific Holdings, Inc.*      624,713  
79,590   PBF Energy, Inc., Class A*      1,032,282  
82,679   PDC Energy, Inc.      3,918,158  
13,401   Penn Virginia Corp.*      357,405  
217,014   Range Resources Corp.*      4,911,027  
41,807   Renewable Energy Group, Inc.*      2,098,712  
4,798   REX American Resources Corp.*      383,216  
101,173   SM Energy Co.      2,668,944  
565,058   Southwestern Energy Co.*      3,130,421  
34,425   Talos Energy, Inc.*      474,032  
54,034   World Fuel Services Corp.      1,816,623  
    

 

 

 

       30,831,877  
    

 

 

 

Paper & Forest Products (0.8%):   
32,880   Boise Cascade Co.      1,774,862  
14,087   Clearwater Paper Corp.*      539,955  
41,997   Domtar Corp.*      2,290,516  
37,574   Glatfelter Corp.      529,794  
34,756   Mercer International, Inc.      402,822  
13,940   Neenah, Inc.      649,743  
26,730   Schweitzer-Mauduit International, Inc.      926,462  
    

 

 

 

       7,114,154  
    

 

 

 

Personal Products (0.8%):   
45,286   Edgewell Personal Care Co.      1,643,882  
39,812   elf Beauty, Inc.*      1,156,539  
Shares         Value
Common Stocks, continued   
Personal Products, continued   
14,977   Inter Parfums, Inc.    $ 1,119,830  
9,740   Medifast, Inc.      1,876,313  
10,083   Usana Health Sciences, Inc.*      929,653  
    

 

 

 

       6,726,217  
    

 

 

 

Pharmaceuticals (1.2%):   
31,266   Amphastar Pharmaceuticals, Inc.*      594,367  
8,080   ANI Pharmaceuticals, Inc.*      265,185  
30,107   Collegium Pharmaceutical, Inc.*      594,312  
86,535   Corcept Therapeutics, Inc.*      1,703,009  
193,556   Endo International plc*      627,121  
52,415   Innoviva, Inc.*      875,855  
36,873   Pacira BioSciences, Inc.*      2,064,888  
17,246   Phibro Animal Health Corp., Class A      371,479  
41,746   Prestige Consumer Healthcare, Inc.*      2,342,368  
44,794   Supernus Pharmaceuticals, Inc.*      1,194,656  
    

 

 

 

       10,633,240  
    

 

 

 

Professional Services (1.3%):   
43,502   Exponent, Inc.      4,922,251  
9,058   Forrester Research, Inc.*      446,197  
16,476   Heidrick & Struggles International, Inc.      735,324  
31,007   Kelly Services, Inc., Class A      585,412  
46,685   Korn Ferry      3,378,127  
26,140   Resources Connection, Inc.      412,489  
29,589   Trueblue, Inc.*      801,270  
    

 

 

 

       11,281,070  
    

 

 

 

Real Estate Management & Development (0.8%):   
98,585   Essential Properties Realty Trust, Inc.      2,752,493  
20,714   Marcus & Millichap, Inc.*      841,403  
15,380   RE/MAX Holdings, Inc., Class A      479,241  
98,034   Realogy Holdings Corp.*      1,719,516  
27,684   The St Joe Co.      1,165,496  
    

 

 

 

       6,958,149  
    

 

 

 

Road & Rail (0.4%):   
21,375   ArcBest Corp.      1,747,834  
40,974   Heartland Express, Inc.      656,404  
51,173   Marten Transport, Ltd.      802,904  
    

 

 

 

       3,207,142  
    

 

 

 

Semiconductors & Semiconductor Equipment (3.9%):   
32,133   Advanced Energy Industries, Inc.      2,819,671  
28,201   Axcelis Technologies, Inc.*      1,326,293  
19,423   CEVA, Inc.*      828,779  
40,585   Cohu, Inc.*      1,296,285  
37,532   Diodes, Inc.*      3,400,024  
18,967   DSP Group, Inc.*      415,567  
64,702   FormFactor, Inc.*      2,415,326  
23,473   Ichor Holdings, Ltd.*      964,506  
51,808   Kulicke & Soffa Industries, Inc.      3,019,370  
58,678   MaxLinear, Inc., Class A*      2,889,891  
41,127   Onto Innovation, Inc.*      2,971,426  
24,970   PDF Solutions, Inc.*      575,309  
51,231   Photronics, Inc.*      698,278  
50,361   Power Integrations, Inc.      4,985,235  
90,416   Rambus, Inc.*      2,007,235  
19,305   SMART Global Holdings, Inc.*      859,072  
37,036   Ultra Clean Holdings, Inc.*      1,577,734  
41,446   Veeco Instruments, Inc.*      920,516  
    

 

 

 

       33,970,517  
    

 

 

 

Software (2.3%):   
93,162   8x8, Inc.*      2,179,059  
16,514   Agilysys, Inc.*      864,673  
38,211   Alarm.com Holding, Inc.*      2,987,718  
32,705   Bottomline Technologies, Inc.*      1,284,652  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL Small Cap Stock Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks, continued   
Software, continued   
19,578   Ebix, Inc.    $ 527,236  
53,913   LivePerson, Inc.*      3,178,171  
29,222   OneSpan, Inc.*      548,789  
36,510   Progress Software Corp.      1,795,927  
29,931   Sps Commerce, Inc.*      4,828,170  
87,300   Xperi Holding Corp.      1,644,732  
    

 

 

 

       19,839,127  
    

 

 

 

Specialty Retail (4.3%):   
28,017   Aaron’s Co., Inc. (The)      771,588  
51,332   Abercrombie & Fitch Co., Class A*      1,931,623  
5,283   America’s Car Mart, Inc.*      616,949  
16,102   Asbury Automotive Group, Inc.*      3,167,907  
31,075   Barnes & Noble Education, Inc.*      310,439  
86,983   Bed Bath & Beyond, Inc.*      1,502,631  
24,598   Boot Barn Holdings, Inc.*      2,186,024  
32,167   Caleres, Inc.      714,751  
17,347   Cato Corp., Class A      286,919  
102,074   Chico’s FAS, Inc.*      458,312  
16,008   Conn’s, Inc.*      365,463  
50,830   Designer Brands, Inc., Class A*      708,062  
11,994   Genesco, Inc.*      692,414  
15,102   Group 1 Automotive, Inc.      2,837,364  
33,236   Guess?, Inc.      698,288  
13,151   Haverty Furniture Cos., Inc.      443,320  
12,738   Hibbett, Inc.      901,086  
25,023   Lumber Liquidators Holdings, Inc.*      467,430  
18,417   MarineMax, Inc.*      893,593  
28,152   Monro, Inc.      1,619,021  
39,497   ODP Corp. (The)*      1,586,200  
50,380   Rent-A-Center, Inc.      2,831,860  
94,021   Sally Beauty Holdings, Inc.*      1,584,254  
14,616   Shoe Carnival, Inc.      473,851  
43,994   Signet Jewelers, Ltd.      3,473,766  
19,652   Sleep Number Corp.*      1,837,069  
17,841   Sonic Automotive, Inc., Class A      937,366  
24,770   The Buckle, Inc.      980,644  
11,779   The Children’s Place, Inc.*      886,488  
18,421   Zumiez, Inc.*      732,419  
    

 

 

 

       36,897,101  
    

 

 

 

Technology Hardware, Storage & Peripherals (0.4%):   
104,331   3D Systems Corp.*      2,876,406  
60,677   Diebold Nixdorf, Inc.*      613,444  
    

 

 

 

       3,489,850  
    

 

 

 

Textiles, Apparel & Luxury Goods (1.2%):   
39,630   Fossil Group, Inc.*      469,616  
36,545   G-III Apparel Group, Ltd.*      1,034,223  
39,890   Kontoor Brands, Inc.      1,992,505  
14,351   Movado Group, Inc.      451,913  
13,231   Oxford Industries, Inc.      1,193,039  
64,236   Steven Madden, Ltd.      2,579,718  
12,135   Unifi, Inc.*      266,121  
21,084   Vera Bradley, Inc.*      198,400  
68,369   Wolverine World Wide, Inc.      2,040,131  
    

 

 

 

       10,225,666  
    

 

 

 

Thrifts & Mortgage Finance (2.5%):   
44,966   Axos Financial, Inc.*      2,317,548  
108,751   Capitol Federal Financial, Inc.      1,249,549  
42,469   Flagstar Bancorp, Inc.      2,156,576  
17,455   HomeStreet, Inc.      718,273  
26,439   Meta Financial Group, Inc.      1,387,519  
72,164   Mr Cooper Group, Inc.*      2,970,992  
72,460   NMI Holdings, Inc., Class A*      1,638,321  
39,502   Northfield Bancorp, Inc.      677,854  
104,815   Northwest Bancshares, Inc.      1,391,943  
Shares         Value
Common Stocks, continued   
Thrifts & Mortgage Finance, continued   
63,833   Provident Financial Services, Inc.    $ 1,498,161  
15,957   TrustCo Bank Corp. NY      510,145  
24,805   Wawlker & Dunlop, Inc.      2,815,367  
38,023   WSFS Financial Corp.      1,950,960  
    

 

 

 

       21,283,208  
    

 

 

 

Tobacco (0.3%):   
20,718   Universal Corp.      1,001,301  
109,809   Vector Group, Ltd.      1,400,065  
    

 

 

 

       2,401,366  
    

 

 

 

Trading Companies & Distributors (0.9%):   
32,451   Applied Industrial Technologies, Inc.      2,924,809  
15,178   DXP Enterprises, Inc.*      448,814  
36,353   GMS, Inc.*      1,592,261  
23,548   Kaman Corp., Class A      839,957  
93,622   NOW, Inc.*      716,208  
11,996   Veritiv Corp.*      1,074,362  
    

 

 

 

       7,596,411  
    

 

 

 

Water Utilities (0.8%):   
30,943   American States Water Co.      2,646,245  
43,047   California Water Service Group      2,536,760  
14,733   Middlesex Water Co.      1,514,258  
    

 

 

 

       6,697,263  
    

 

 

 

Wireless Telecommunication Services (0.2%):   
41,517   Shenandoah Telecommunications Co.      1,311,107  
    

 

 

 

Total Common Stocks (Cost $572,223,944)

     861,743,660  
  

 

 

 

Principal
Amount
        Value
Short-Term Security Held as Collateral for Securities on Loan (1.3%):   
11,598,981   BlackRock Liquidity FedFund, Institutional Class , 0.03%(a)(b)      11,598,981  
    

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan (Cost $11,598,981)

     11,598,981  
  

 

 

 

Shares         Value
Unaffiliated Investment Company (0.6%):   
Money Markets (0.6%):   
5,021,947   Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(b)      5,021,947  
    

 

 

 

Total Unaffiliated Investment Company (Cost $5,021,947)

     5,021,947  
  

 

 

 

Total Investment Securities
(Cost $588,844,872) - 101.3%

     878,364,588  

Net other assets (liabilities) - (1.3)%

     (11,652,021
  

 

 

 

Net Assets - 100.0%

   $ 866,712,567  
  

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

REIT   -   Real Estate Investment Trust

 

*

Non-income producing security.

^

This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities on loan as of September 30, 2021 was $11,040,589.

(a)

Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.

(b)

The rate represents the effective yield at September 30, 2021.

 

 

See accompanying notes to the schedules of portfolio investments.


AZL Small Cap Stock Index Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Futures Contracts

At September 30, 2021, the Fund’s open futures contracts were as follows:

Long Futures    

 

Description    Expiration
Date
     Number of
Contracts
     Notional
Amount
     Value and      
Unrealized      
Appreciation/      
(Depreciation)      
 

 

 

Russell 2000 Mini Index December Futures (U.S. Dollar)

     12/17/21        51      $       5,612,040      $ (47,951)          
           

 

 

 
            $ (47,951)          
           

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL T. Rowe Price Capital Appreciation Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Common Stocks (71.5%):   
Aerospace & Defense (0.6%):   
7,900   Lockheed Martin Corp.    $ 2,726,290  
9,100   Northrop Grumman Corp.      3,277,365  
6,824   Teledyne Technologies, Inc.*      2,931,454  
    

 

 

 

       8,935,109  
    

 

 

 

Banks (6.4%):   
750,035   Bank of America Corp.      31,838,986  
292,779   PNC Financial Services Group, Inc. (The)      57,279,283  
    

 

 

 

       89,118,269  
    

 

 

 

Beverages (1.9%):   
80,500   Coca-Cola Co. (The)      4,223,835  
538,719   Keurig Dr Pepper, Inc.      18,402,641  
23,900   PepsiCo, Inc.      3,594,799  
    

 

 

 

       26,221,275  
    

 

 

 

Capital Markets (1.4%):   
11,400   CME Group, Inc.      2,204,532  
150,554   Intercontinental Exchange, Inc.      17,286,610  
    

 

 

 

       19,491,142  
    

 

 

 

Commercial Services & Supplies (1.1%):   
107,342   Waste Connections, Inc.      13,517,578  
11,600   Waste Management, Inc.      1,732,576  
    

 

 

 

       15,250,154  
    

 

 

 

Communications Equipment (0.4%):   
88,200   Cisco Systems, Inc.      4,800,726  
    

 

 

 

Electric Utilities (2.2%):   
136,004   American Electric Power Co., Inc.      11,040,805  
391   Duke Energy Corp.      38,158  
393,419   Exelon Corp.      19,017,874  
    

 

 

 

       30,096,837  
    

 

 

 

Electronic Equipment, Instruments & Components (0.8%):

 

79,623   TE Connectivity, Ltd.      10,925,868  
    

 

 

 

Equity Real Estate Investment Trusts (0.1%):   
7,526   American Tower Corp.      1,997,476  
    

 

 

 

Food Products (0.1%):   
23,400   Mondelez International, Inc., Class A      1,361,412  
    

 

 

 

Health Care Equipment & Supplies (3.8%):   
55,304   Becton Dickinson & Co.      13,594,829  
103,881   Danaher Corp.      31,625,532  
74,191   Hologic, Inc.*      5,476,038  
11,400   Medtronic plc      1,428,990  
    

 

 

 

           52,125,389  
    

 

 

 

Health Care Providers & Services (5.4%):   
87,022   Humana, Inc.      33,864,611  
104,617   UnitedHealth Group, Inc.      40,878,047  
    

 

 

 

       74,742,658  
    

 

 

 

Hotels, Restaurants & Leisure (5.1%):   
83,404   Hilton Worldwide Holdings, Inc.*      11,018,502  
72,195   Marriott International, Inc., Class A*      10,691,358  
20,961   McDonald’s Corp.      5,053,907  
        361,192   Yum! Brands, Inc.      44,177,393  
    

 

 

 

       70,941,160  
    

 

 

 

Industrial Conglomerates (5.0%):   
616,579   General Electric Co.      63,526,134  
12,837   Roper Technologies, Inc.      5,726,971  
    

 

 

 

       69,253,105  
    

 

 

 

Insurance (2.7%):   
248,452   Marsh & McLennan Cos., Inc.      37,623,086  
    

 

 

 

Interactive Media & Services (6.2%):   
10,778   Alphabet, Inc., Class A*      28,815,199  
16,934   Alphabet, Inc., Class C*      45,134,359  
Shares         Value
Common Stocks, continued   
Interactive Media & Services, continued   
36,626   Facebook, Inc., Class A*    $ 12,430,498  
    

 

 

 

       86,380,056  
    

 

 

 

Internet & Direct Marketing Retail (5.5%):   
23,429   Amazon.com, Inc.*      76,965,202  
    

 

 

 

IT Services (3.8%):   
91,126   Fiserv, Inc.*      9,887,171  
50,818   FleetCor Technologies, Inc.*      13,277,219  
28,182   Global Payments, Inc.      4,440,920  
111,000   Visa, Inc., Class A      24,725,250  
    

 

 

 

       52,330,560  
    

 

 

 

Life Sciences Tools & Services (4.5%):   
108,587   PerkinElmer, Inc.      18,817,041  
75,941   Thermo Fisher Scientific, Inc.      43,387,372  
    

 

 

 

       62,204,413  
    

 

 

 

Machinery (0.7%):   
185,471   Ingersoll-Rand, Inc.*      9,349,593  
    

 

 

 

Multi-Utilities (4.8%):   
277,976   Ameren Corp.      22,516,056  
207,041   CMS Energy Corp.      12,366,559  
438,723   NiSource, Inc.      10,630,258  
353,018   Public Service Enterprise Group, Inc.        21,498,796  
    

 

 

 

       67,011,669  
    

 

 

 

Semiconductors & Semiconductor Equipment (0.2%):

 

14,400   NXP Semiconductors NV      2,820,528  
    

 

 

 

Software (8.8%):   
350,846   Microsoft Corp.      98,910,504  
83,552   salesforce.com, Inc.*      22,660,974  
    

 

 

 

       121,571,478  
    

 

 

 

Specialty Retail (0.0%):   
5,600   Ross Stores, Inc.      609,560  
    

 

 

 

Total Common Stocks
(Cost $730,131,818)

     992,126,725  
  

 

 

 

Preferred Stocks (1.0%):   
Capital Markets (0.0%):   
3,600   Charles Schwab Corp. (The), Series D, 23.42%, 11/14/19      91,476  
    

 

 

 

Electric Utilities (0.2%):   
5,954   Alabama Power Co., Series A, 5.15%      155,459  
5,280   Duke Energy Corp., 3.68%, 9/15/78      141,398  
91,666   SCE Trust IV, Series J, 2.67%, 12/31/49      2,273,317  
    

 

 

 

       2,570,174  
    

 

 

 

Multi-Utilities (0.8%):   
        104,012   CMS Energy Corp., 1.62%, 10/15/78      2,789,602  
142,970   CMS Energy Corp., 1.61%, 3/1/79      3,861,620  
21,505   DTE Energy Co., Series E, 5.25%, 12/1/77      555,474  
70,118   NiSource, Inc., Series B, 2.84%, 11/21/19      1,924,038  
22,841   NiSource, Inc., 7.75%, 3/1/24      2,362,901  
    

 

 

 

           11,493,635  
    

 

 

 

Total Preferred Stocks
(Cost $13,411,725)

     14,155,285  
  

 

 

 

Convertible Preferred Stock (0.1%):   
Electric Utilities (0.1%):   
36,961   American Electric Power Co., Inc., 5.62%, 3/15/22      1,761,931  
    

 

 

 

Total Convertible Preferred Stock
(Cost $1,840,522)

     1,761,931  
  

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL T. Rowe Price Capital Appreciation Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
        Value
Asset Backed Securities (0.3%):   
  $1,424,340  

Dominos Pizza Master Issuer LLC, Class A23, Series 2018-1A, 4.12%, 7/25/47, Callable 7/25/24 @ 100(a)

   $ 1,519,062  
635,325  

Dominos Pizza Master Issuer LLC, Class A2, Series 2019-1A, 3.67%, 10/25/49, Callable 10/25/26 @ 100(a)

     670,330  
1,351,775  

Dominos Pizza Master Issuer LLC, Class A2I, Series 2018-1A, 4.12%, 7/25/48, Callable 10/25/22 @ 100(a)

     1,393,054  
    

 

 

 

Total Asset Backed Securities
(Cost $3,397,110)

     3,582,446  
  

 

 

 

Bank Loans (2.2%):   
Airlines (0.5%):   
6,405,000   Delta 2 Lux Sarl, 0.00%, 2/1/24      6,380,981  
    

 

 

 

Building Products (0.1%):   
1,533,848  

Filtration Group Term Loan B-1 Bankdebt, 0.04%, 3/29/25

     1,772,059  
    

 

 

 

Chemicals (0.0%):   
347,416  

H.B. Fuller Co. Term Loan B-1, 0.00% (US0003M ), 10/20/24, Callable 11/10/21 @ 100

     347,548  
    

 

 

 

Health Care Equipment & Supplies (0.0%):   
430,000  

Pacific Dental Term Loan B 1L USD Bankdebt, 0.04%, 5/5/28

     430,894  
    

 

 

 

Insurance (1.5%):   
20,861,488  

HUB International, Ltd., 0.03% (US0003M ), 4/25/25

     20,650,787  
    

 

 

 

IT Services (0.0%):   
200,000  

CoreLogic Term Loan 2L Bankdebt, 0.07%, 6/4/29

     204,000  
    

 

 

 

Software (0.1%):   
200,000  

RealPage, Inc. Term Loan 2, 0.00%, 2/17/29

     204,000  
496,163  

Ultimate Software Term Loan B-1l Bankdebt, 0.00%, 4/8/26

     496,867  
    

 

 

 

       700,867  
    

 

 

 

    

 

 

 

Total Bank Loans (Cost $30,520,165)

         30,487,136  
  

 

 

 

Corporate Bonds (16.6%):   
Airlines (0.6%):   
2,065,000  

Delta Air Lines, Inc./SkyMiles IP, Ltd., 4.50%, 10/20/25(a)

     2,214,277  
1,150,000  

Delta Air Lines, Inc./SkyMiles IP, Ltd., 4.75%, 10/20/28(a)

     1,278,754  
1,250,000  

Mileage Plus Holdings LLC/Mileage Plus Intellectual Property Assets, Ltd., 6.50%, 6/20/27, Callable 6/30/23 @ 103.25(a)

     1,357,812  
2,770,000   SkyMiles IP, Ltd., 4.75%, 10/20/27      2,944,344  
189,963  

U.S. Airways Group, Inc., Series 2010-1A, 6.25%, 10/22/24

     195,662  
    

 

 

 

       7,990,849  
    

 

 

 

Auto Components (0.1%):   
312,000  

Clarios Global LP, 6.75%, 5/15/25, Callable 5/15/22 @ 103.38(a)

     329,550  
593,000  

Clarios Global LP / Clarios US Finance Co., 6.25%, 5/15/26, Callable 5/15/22 @ 103.13(a)

     624,132  
Principal
Amount
        Value
Corporate Bonds, continued   
Auto Components, continued   
      $450,000  

Clarios Global LP / Clarios US Finance Co., 8.50%, 5/15/27, Callable 5/15/22 @ 104.25(a)

   $ 478,688  
    

 

 

 

       1,432,370  
    

 

 

 

Building Products (0.1%):   
292,788  

Filtration Group Corp., 4.50%, 3/29/25, Callable 11/10/21 @ 100

     293,227  
852,843  

Filtration Group Corp., 3.13%, 3/29/25, Callable 11/10/21 @ 100

     848,050  
280,000  

Lennox International, Inc., 3.00%, 11/15/23, Callable 9/15/23 @ 100

     292,803  
    

 

 

 

       1,434,080  
    

 

 

 

Capital Markets (0.2%):   
1,415,000  

Bank of New York Mellon Corp. (The), Series E, 3.54% (US0003M+342 bps), Callable 12/20/21 @ 100

     1,419,245  
452,000  

State Street Corp., Series F, 3.71% (US0003M+360 bps), Callable 12/15/21 @ 100

     453,808  
538,650  

Woof Holdings, Inc., 4.50%, 12/21/27, Callable 11/10/21 @ 100

     538,989  
    

 

 

 

       2,412,042  
    

 

 

 

Chemicals (0.9%):   
7,945,097  

USI, Inc., 3.12% (US0003M ), 5/16/24

     7,886,939  
4,537,425  

USI, Inc., 3.33%, 12/2/26, Callable 11/10/21 @ 100

     4,504,801  
    

 

 

 

         12,391,740  
    

 

 

 

Diversified Consumer Services (0.3%):   
229,265  

Ascend Learning LLC, 4.00%, 7/12/24, Callable 11/10/21 @ 100

     229,061  
3,544,334  

Lgc Group Term Loan, 0.00%, 1/24/27

     3,469,017  
    

 

 

 

       3,698,078  
    

 

 

 

Diversified Financial Services (0.3%):   
730,000   Acrisure LLC, 4.25%, 2/15/27      726,657  
2,250,000  

Acrisure LLC / Acrisure Finance, Inc., 7.00%, 11/15/25, Callable 11/8/21 @ 103.5(a)

     2,289,375  
1,381,682  

Hyperion Refinance Sarl, 4.75%, 11/12/27, Callable 11/10/21 @ 100

     1,379,954  
    

 

 

 

       4,395,986  
    

 

 

 

Electric Utilities (0.5%):   
2,644,037  

Alliant Holdings Intermediate LLC, 3.33%, 5/10/25, Callable 11/10/21 @ 100

     2,624,206  
1,449,541  

Alliant Holdings Intermediate LLC, 3.35%, 5/10/25, Callable 11/10/21 @ 100

     1,437,684  
2,606,680  

Alliant Holdings Intermediate LLC, 4.25%, 11/6/27

     2,607,410  
275,000  

Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, 6.75%, 10/15/27, Callable 10/15/22 @ 103.38(a)

     284,625  
    

 

 

 

       6,953,925  
    

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL T. Rowe Price Capital Appreciation Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
        Value
Corporate Bonds, continued   
Entertainment (2.0%):   
      $300,000   Netflix, Inc., 5.50%, 2/15/22    $ 304,125  
1,690,000   Netflix, Inc., 5.88%, 2/15/25      1,920,263  
4,385,000   Netflix, Inc., 4.38%, 11/15/26      4,889,275  
5,423,000   Netflix, Inc., 4.88%, 4/15/28      6,250,007  
7,300,000   Netflix, Inc., 5.88%, 11/15/28      8,906,000  
3,940,000   Netflix, Inc., 6.38%, 5/15/29      4,984,100  
125,000  

Netflix, Inc., 4.88%, 6/15/30, Callable 3/15/30 @ 100(a)

     146,875  
    

 

 

 

           27,400,645  
    

 

 

 

Equity Real Estate Investment Trusts (0.1%):   
1,481,000  

SBA Communications Corp., 4.88%, 9/1/24, Callable 11/8/21 @ 101.22

     1,503,215  
605,000  

SBA Communications Corp., 3.88%, 2/15/27, Callable 2/15/23 @ 101.94

     623,906  
    

 

 

 

       2,127,121  
    

 

 

 

Food & Staples Retailing (0.2%):   
2,600,000  

Dino Grandparent, Inc., 2.34%, 2/19/23

     2,574,000  
    

 

 

 

Health Care Equipment & Supplies (0.4%):   
673,739  

CPI Holdco LLC, 4.09%, 11/4/26, Callable 11/10/21 @ 100

     673,321  
4,725,000  

Medline Term Loan B 1L Bankdebt, 0.00%, 9/30/28

     4,707,442  
860,000  

Teleflex, Inc., 4.63%, 11/15/27, Callable 11/15/22 @ 102.31

     898,700  
    

 

 

 

       6,279,463  
    

 

 

 

Health Care Providers & Services (0.9%):   
3,045,000   ADMI Corp., 4.25%, 12/23/27      3,041,194  
1,650,985  

ADMI Corp., 3.75%, 12/23/27, Callable 11/10/21 @ 100

     1,636,539  
1,315,000  

Hadrian Merger Sub, Inc., 8.50%, 5/1/26, Callable 11/8/21 @ 104.25(a)

     1,361,025  
5,132,321  

Heartland Dental LLC, 3.87%, 4/30/25, Callable 11/10/21 @ 100

     5,085,566  
475,000  

Heartland Dental LLC, 4.08%, 4/30/25, Callable 11/10/21 @ 101

     473,575  
685,000  

Surgery Center Holdings, Inc., 10.00%, 4/15/27, Callable 4/15/22 @ 105^(a)

     739,800  
450,000  

Tenet Healthcare Corp., 4.63%, 9/1/24, Callable 10/25/21 @ 102.31(a)

     460,125  
    

 

 

 

       12,797,824  
    

 

 

 

Hotels, Restaurants & Leisure (3.0%):   
3,443,000  

Cedar Fair LP /Canada’s Wonderland Co. / Magnum Management Corp., 5.38%, 6/1/24, Callable 11/8/21 @ 100.9

     3,473,126  
2,262,000  

Cedar Fair LP /Canada’s Wonderland Co. / Magnum Management Corp., 5.38%, 4/15/27, Callable 4/15/22 @ 102.69

     2,324,205  
550,000  

Cedar Fair LP /Canada’s Wonderland Co. / Magnum Management Corp. / Millennium Op, 5.50%, 5/1/25, Callable 5/1/22 @ 102.75(a)

     572,000  
2,308,000  

Cedar Fair, LP, 5.25%, 7/15/29, Callable 7/15/24 @ 102.63

     2,365,700  
Principal
Amount
        Value
Corporate Bonds, continued   
Hotels, Restaurants & Leisure, continued   
    $1,780,000  

Cedar Fair, LP / Canada’s Wonderland Co. / Magnum Management Corp. / Millennium Op, 6.50%, 10/1/28, Callable 10/1/23 @ 103.25

   $ 1,911,275  
841,842  

Four Seasons Hotels, Ltd., 2.13%, 11/30/23, Callable 11/10/21 @ 100

     838,685  
100,000  

Hilton Domestic Operating Co., Inc., 5.38%, 5/1/25, Callable 5/1/22 @ 102.69(a)

     104,375  
1,429,936  

IRB Holding Corp., 2.75%, 2/5/25, Callable 11/10/21 @ 100

     1,427,405  
1,978,034  

IRB Holding Corp., 4.25%, 12/15/27, Callable 11/10/21 @ 100

     1,980,507  
5,248,000  

KFC Holding Co. /Pizza Hut Holdings LLC /Taco Bell of America LLC, 4.75%, 6/1/27, Callable 6/1/22 @ 102.38(a)

     5,464,480  
1,869,913   Life Time, Inc., 5.75%, 12/15/24      1,882,778  
1,253,000  

Life Time, Inc., 5.75%, 1/15/26, Callable 1/15/23 @ 102.88(a)

     1,301,554  
355,000  

Marriott International, Inc., 3.13%, 6/15/26, Callable 3/15/26 @ 100

     378,688  
1,289,299  

SeaWorld Parks & Entertainment, Inc., 3.50%, 8/25/28, Callable 11/10/21 @ 101

     1,283,664  
5,064,000  

Six Flags Entertainment Corp., 4.88%, 7/31/24, Callable 11/8/21 @ 101.22(a)

     5,108,563  
3,605,000  

Six Flags Entertainment Corp., 5.50%, 4/15/27, Callable 4/15/22 @ 102.75^(a)

     3,722,162  
1,810,000  

Six Flags Theme Parks, Inc., 7.00%, 7/1/25, Callable 7/1/22 @ 103.5(a)

     1,925,388  
1,312,000  

Yum! Brands, Inc., 3.88%, 11/1/23, Callable 8/1/23 @ 100

     1,377,600  
275,000  

Yum! Brands, Inc., 7.75%, 4/1/25, Callable 4/1/22 @ 103.88(a)

     293,562  
370,000  

Yum! Brands, Inc., 4.75%, 1/15/30, Callable 10/15/29 @ 100(a)

     399,600  
1,042,000   Yum! Brands, Inc., 6.88%, 11/15/37      1,344,180  
1,889,000  

Yum! Brands, Inc., 5.35%, 11/1/43, Callable 5/1/43 @ 100

     2,082,623  
    

 

 

 

           41,562,120  
    

 

 

 

Industrial Conglomerates (0.3%):   
5,051,000  

General Electric Co., Series D, 3.45% (US0003M+333 bps), Callable 12/15/21 @ 100

     4,959,166  
    

 

 

 

Insurance (1.4%):   
245,000  

AmWINS Group, Inc., 4.88%, 6/30/29, Callable 6/30/24 @ 102.44(a)

     247,450  
1,560,000  

Howden Group Holdings, Ltd., 4.00%, 11/12/27, Callable 11/10/21 @ 100

     1,557,083  
8,207,893  

HUB International, Ltd., 4.00%, 4/25/25, Callable 11/10/21 @ 100

     8,207,893  
5,837,000  

HUB International, Ltd., 7.00%, 5/1/26, Callable 10/19/21 @ 103.5(a)

     6,026,702  
879,260  

Ryan Specialty Group LLC, 3.75%, 9/1/27

     878,381  
 

 

See accompanying notes to the schedules of portfolio investments.


AZL T. Rowe Price Capital Appreciation Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Principal
Amount
        Value
Corporate Bonds, continued   
Insurance, continued   
    $2,610,000  

USI, Inc., 6.88%, 5/1/25, Callable 11/8/21 @ 101.72(a)

   $ 2,655,675  
    

 

 

 

       19,573,184  
    

 

 

 

Leisure Products (0.1%):   
880,000  

Photo Holdings Merger Sub, Inc., 8.50%, 10/1/26, Callable 10/1/22 @ 104.25(a)

     951,500  
    

 

 

 

Life Sciences Tools & Services (0.4%):   
250,000  

Avantor Funding, Inc., 2.50%, 11/24/24

     249,563  
1,220,000  

Avantor Funding, Inc., 4.63%, 7/15/28, Callable 7/15/23 @ 102.31(a)

     1,281,000  
3,677,293   Nestle Skin Health, 0.00%, 10/1/26      3,686,486  
    

 

 

 

       5,217,049  
    

 

 

 

Machinery (0.5%):   
336,600  

Gardner Denver, Inc., 2.83%, 2/28/27, Callable 11/10/21 @ 101

     336,348  
1,042,000  

Manitowoc Foodservice, Inc., 9.50%, 2/15/24, Callable 11/8/21 @ 102.38

     1,070,655  
4,456,409  

TK Elevator Midco GmbH, 0.00%, 7/30/27

     4,462,604  
535,000   Welbilt, Inc., 2.63%, 10/23/25      533,218  
    

 

 

 

           6,402,825  
    

 

 

 

Media (1.0%):   
1,405,000  

CCO Holdings LLC, 4.00%, 3/1/23, Callable 10/25/21 @ 101(a)

     1,406,756  
4,754,000  

CCO Holdings LLC, 5.13%, 5/1/27, Callable 5/1/22 @ 102.56(a)

     4,944,160  
6,381,000  

CCO Holdings LLC, 5.00%, 2/1/28, Callable 8/1/22 @ 102.5(a)

     6,636,240  
465,000  

Sirius XM Radio, Inc., 5.00%, 8/1/27, Callable 8/1/22 @ 102.5(a)

     483,600  
    

 

 

 

       13,470,756  
    

 

 

 

Multi-Utilities (0.1%):   
1,705,000  

NiSource, Inc., 5.65% (H15T5Y+284 bps), 12/31/99, Callable 6/15/23 @ 100

     1,827,942  
    

 

 

 

Professional Services (0.4%):   
2,860,625  

Clarivate Term Loan B 1L Bankdebt, 0.00%, 10/31/26

     2,866,890  
2,435,000  

CoreLogic, Inc., 4.00%, 6/2/28, Callable 11/10/21 @ 101

     2,431,956  
405,000  

Korn Ferry, 4.63%, 12/15/27, Callable 12/15/22 @ 102.31(a)

     420,188  
    

 

 

 

       5,719,034  
    

 

 

 

Software (2.1%):   
2,784,750  

Applied Systems, Inc., 3.75%, 9/19/24, Callable 11/10/21 @ 100

     2,783,720  
317,354  

Applied Systems, Inc., 6.25%, 9/19/25, Callable 11/10/21 @ 101

     321,150  
3,838,255  

Azalea Topco, Inc., 3.59% (US0001M ), 7/25/26, Callable 11/10/21 @ 100

     3,811,886  
628,638  

Azalea Topco, Inc., 4.50%, 7/25/26, Callable 10/28/21 @ 100

     629,423  
715,000  

Clarivate Science Holdings Corp., 3.88%, 7/1/28, Callable 6/30/24 @ 101.94(a)

     714,106  
Principal
Amount
        Value
Corporate Bonds, continued   
Software, continued   
$220,000  

Clarivate Science Holdings Corp., 4.88%, 7/1/29, Callable 6/30/24 @ 102.44(a)

   $ 219,725  
450,000  

Project Boost Purchaser LLC, 4.00%, 5/30/26, Callable 11/10/21 @ 101

     449,757  
3,875,000  

RealPage, Inc., 3.75%, 4/22/28, Callable 10/22/21 @ 100

     3,861,670  
480,000  

Solera LLC, 4.50%, 6/4/28, Callable 11/10/21 @ 101

     480,902  
15,582,707  

UKG, Inc., 4.00%, 5/3/26, Callable 11/10/21 @ 100

     15,603,433  
525,000  

UKG, Inc., 7.50%, 5/3/27, Callable 11/10/21 @ 101

     533,311  
    

 

 

 

       29,409,083  
    

 

 

 

Sovereign Bond (0.5%):   
6,710,000  

Mileage Plus Holdings LLC, 6.25%, 6/20/27

     7,125,215  
    

 

 

 

Specialty Retail (0.2%):   
949,667  

PetVet Care Centers LLC, 3.38%, 2/14/25, Callable 11/10/21 @ 100

     944,918  
307,222  

PetVet Care Centers LLC, 2.87%, 2/14/25, Callable 11/10/21 @ 100

     303,960  
    1,202,415  

PetVet Care Centers LLC, 4.25%, 2/15/25, Callable 11/10/21 @ 100

     1,202,043  
    

 

 

 

       2,450,921  
    

 

 

 

Technology Hardware, Storage & Peripherals (0.0%):

 

412,925  

Eagle Broadband Investments LLC, 3.75%, 11/12/27, Callable 11/10/21 @ 100

     412,925  
    

 

 

 

Total Corporate Bonds (Cost $221,855,899)

     230,969,843  
    

 

 

 

Yankee Dollars (0.3%):   
Diversified Telecommunication Services (0.1%):   
1,450,000  

Altice France Holding SA, 10.50%, 5/15/27, Callable 5/15/22 @ 105.25(a)

     1,576,875  
    

 

 

 

Electrical Equipment (0.2%):   
745,000  

Sensata Technologies BV, 4.88%, 10/15/23(a)

     795,288  
260,000  

Sensata Technologies BV, 5.63%, 11/1/24(a)

     289,250  
925,000  

Sensata Technologies BV, 5.00%, 10/1/25(a)

     1,023,281  
    

 

 

 

       2,107,819  
    

 

 

 

Total Yankee Dollars
(Cost $3,539,527)

     3,684,694  
    

 

 

 

Short-Term Security Held as Collateral for Securities on Loan (0.3%):   
4,579,541  

BlackRock Liquidity FedFund, Institutional Class , 0.03%(b)(c)

     4,579,541  
    

 

 

 

Total Short-Term Security Held as Collateral for Securities on Loan
(Cost $4,579,541)

     4,579,541  
    

 

 

 

 

 

See accompanying notes to the schedules of portfolio investments.


AZL T. Rowe Price Capital Appreciation Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Shares         Value
Unaffiliated Investment Company (10.6%):   
Money Markets (10.6%):   
147,127,894   Dreyfus Treasury Securities Cash Management Fund, Institutional Shares, 0.01%(c)    $ 147,127,894  
    

 

 

 

Total Unaffiliated Investment Company
(Cost $147,127,894)

     147,127,894  
  

 

 

 

Total Investment Securities

(Cost $1,156,404,201) - 102.9%

     1,428,475,495  

Net other assets (liabilities) - (2.9)%

     (40,068,626
  

 

 

 

Net Assets - 100.0%

   $ 1,388,406,869  
  

 

 

 

Percentages indicated are based on net assets as of September 30, 2021.

 

H15T5Y

   -      5 Year Treasury Constant Maturity Rate

LIBOR

   -      London Interbank Offered Rate

US0001M

   -      1 Month US Dollar LIBOR

US0003M

   -      3 Month US Dollar LIBOR

 

*

Non-income producing security.

^

This security or a partial position of this security was on loan as of September 30, 2021. The total value of securities on loan as of September 30, 2021 was $4,365,881.

Represents less than 0.05%.

(a)

Rule 144A, Section 4(2) or other security which is restricted to resale to institutional investors. The sub-adviser has deemed these securities to be liquid based on procedures approved by the Board of Trustees.

(b)

Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2021.

(c)

The rate represents the effective yield at September 30, 2021.

 

 

See accompanying notes to the schedules of portfolio investments.


AZL T. Rowe Price Capital Appreciation Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

At September 30, 2021, the Fund’s over-the-counter options written were as follows:

 

Description    Counterparty    Put/
Call
   Strike Price    Expiration
Date
   Contracts    Notional
Amount(a)
     Fair Value  

Alphabet, Inc.

   Goldman Sachs    Call    1760.00 USD    1/21/22    14    $     24,640        $  (1,294,246)  

Alphabet, Inc.

   Goldman Sachs    Call    1780.00 USD    1/21/22    14      24,920        (1,267,083)  

Alphabet, Inc.

   Goldman Sachs    Call    1800.00 USD    1/21/22    14      25,200        (1,239,977)  

Alphabet, Inc.

   Goldman Sachs    Call    1980.00 USD    6/17/22    4      7,920        (300,900)  

Alphabet, Inc.

   Goldman Sachs    Call    2000.00 USD    6/17/22    4      8,000        (294,022)  

Alphabet, Inc.

   Goldman Sachs    Call    2100.00 USD    6/17/22    4      8,400        (260,428)  

Alphabet, Inc.

   Susquehanna Ireland Limited    Call    2550.00 USD    6/17/22    2      5,100        (64,902)  

Alphabet, Inc.

   Susquehanna Ireland Limited    Call    2600.00 USD    6/17/22    2      5,200        (58,966)  

Alphabet, Inc.

   Susquehanna Ireland Limited    Call    2650.00 USD    6/17/22    2      5,300        (53,361)  

Alphabet, Inc.

   Goldman Sachs    Call    1960.00 USD    9/16/22    4      7,840        (319,909)  

Alphabet, Inc.

   Goldman Sachs    Call    1980.00 USD    9/16/22    4      7,920        (313,277)  

Alphabet, Inc.

   Goldman Sachs    Call    2000.00 USD    9/16/22    4      8,000        (306,696)  

Alphabet, Inc.

   Goldman Sachs    Call    2100.00 USD    9/16/22    4      8,400        (274,589)  

Alphabet, Inc.

   Susquehanna Ireland Limited    Call    2450.00 USD    9/16/22    1      2,450        (43,528)  

Alphabet, Inc.

   Susquehanna Ireland Limited    Call    2500.00 USD    9/16/22    1      2,500        (40,381)  

Alphabet, Inc.

   Susquehanna Ireland Limited    Call    2550.00 USD    9/16/22    1      2,550        (37,366)  

Alphabet, Inc.

   Susquehanna Ireland Limited    Call    2600.00 USD    9/16/22    1      2,600        (34,484)  

Alphabet, Inc.

   Goldman Sachs    Call    3200.00 USD    1/20/23    3      9,600        (47,862)  

Alphabet, Inc.

   Goldman Sachs    Call    3300.00 USD    1/20/23    3      9,900        (40,787)  

Alphabet, Inc.

   Goldman Sachs    Call    3400.00 USD    1/20/23    3      10,200        (34,786)  

Alphabet, Inc.

   Goldman Sachs    Call    3500.00 USD    1/20/23    4      14,000        (39,593)  

Amazon.com, Inc.

   Credit Suisse First Boston    Call    3800.00 USD    1/21/22    6      22,800        (22,267)  

Amazon.com, Inc.

   Royal Bank of Canada    Call    3900.00 USD    1/21/22    3      11,700        (7,937)  

Amazon.com, Inc.

   Credit Suisse First Boston    Call    3900.00 USD    1/21/22    6      23,400        (15,875)  

Amazon.com, Inc.

   Royal Bank of Canada    Call    4000.00 USD    1/21/22    2      8,000        (3,809)  

Amazon.com, Inc.

   Credit Suisse First Boston    Call    4000.00 USD    1/21/22    6      24,000        (11,428)  

Amazon.com, Inc.

   Citigroup    Call    4000.00 USD    1/21/22    4      16,000        (7,618)  

Amazon.com, Inc.

   Royal Bank of Canada    Call    4100.00 USD    1/21/22    2      8,200        (2,781)  

Amazon.com, Inc.

   Citigroup    Call    4100.00 USD    1/21/22    4      16,400        (5,562)  

Amazon.com, Inc.

   Royal Bank of Canada    Call    4200.00 USD    1/21/22    3      12,600        (3,097)  

Amazon.com, Inc.

   Citigroup    Call    4200.00 USD    1/21/22    4      16,800        (4,129)  

Amazon.com, Inc.

   Royal Bank of Canada    Call    4300.00 USD    1/21/22    2      8,600        (1,559)  

Amazon.com, Inc.

   Citigroup    Call    4300.00 USD    1/21/22    3      12,900        (2,339)  

Amazon.com, Inc.

   Citigroup    Call    4500.00 USD    1/20/23    2      9,000        (20,392)  

Amazon.com, Inc.

   Citigroup    Call    4600.00 USD    1/20/23    2      9,200        (18,081)  

Amazon.com, Inc.

   Citigroup    Call    4700.00 USD    1/20/23    2      9,400        (16,034)  

Amazon.com, Inc.

   Citigroup    Call    4800.00 USD    1/20/23    2      9,600        (14,230)  

Amazon.com, Inc.

   Citigroup    Call    4900.00 USD    1/20/23    2      9,800        (12,639)  

Amazon.com, Inc.

   Citigroup    Call    5000.00 USD    1/20/23    2      10,000        (11,225)  

Amazon.com, Inc.

   Citigroup    Call    5100.00 USD    1/20/23    2      10,200        (9,961)  

Ameren Corp.

   Citigroup    Call    90.00 USD    12/17/21    65      5,850        (2,493)  

Ameren Corp.

   Citigroup    Call    95.00 USD    12/17/21    65      6,175        (897)  

American Electric Power Co., Inc.

   JPMorgan Chase    Call    90.00 USD    1/21/22    237      21,330        (13,688)  

American Electric Power Co., Inc.

   JPMorgan Chase    Call    95.00 USD    1/21/22    289      27,455        (5,598)  

American Electric Power Co., Inc.

   JPMorgan Chase    Call    97.50 USD    1/21/22    93      9,068        (1,064)  

American Electric Power Co., Inc.

   JPMorgan Chase    Call    100.00 USD    1/21/22    93      9,300        (647)  

American Tower Corp.

   Citigroup    Call    210.00 USD    1/21/22    19      3,990        (109,231)  

 

See accompanying notes to the schedules of portfolio investments.


AZL T. Rowe Price Capital Appreciation Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

American Tower Corp.

   Citigroup    Call    220.00 USD    1/21/22      19      $ 4,180        $     (91,613)  

American Tower Corp.

   Citigroup    Call    230.00 USD    1/21/22      25        5,750        (98,320)  

American Tower Corp.

   Citigroup    Call    240.00 USD    1/21/22      6        1,440        (18,588)  

American Tower Corp.

   Citigroup    Call    250.00 USD    1/21/22      6        1,500        (14,022)  

Bank of America Corp.

   Credit Suisse First Boston    Call    30.00 USD    1/21/22      736        22,080        (937,439)  

Bank of America Corp.

   Susquehanna Ireland Limited    Call    30.00 USD    1/21/22      1,213        36,390        (1,544,992)  

Bank of America Corp.

   Credit Suisse First Boston    Call    32.00 USD    1/21/22      382        12,224        (414,625)  

Bank of America Corp.

   Credit Suisse First Boston    Call    35.00 USD    1/21/22      764        26,740        (621,966)  

Bank of America Corp.

   Royal Bank of Canada    Call    37.00 USD    1/21/22      568        21,016        (366,249)  

Bank of America Corp.

   Credit Suisse First Boston    Call    40.00 USD    1/21/22      162        6,480        (67,495)  

Bank of America Corp.

   Credit Suisse First Boston    Call    45.00 USD    1/21/22      162        7,290        (23,873)  

Bank of America Corp.

   Credit Suisse First Boston    Call    45.00 USD    1/20/23      1,244        55,980        (497,658)  

Bank of America Corp.

   Credit Suisse First Boston    Call    50.00 USD    1/20/23      1,128        56,400        (265,080)  

Cisco Systems, Inc.

   JPMorgan Chase    Call    45.00 USD    1/21/22      294        13,230        (289,207)  

Cisco Systems, Inc.

   JPMorgan Chase    Call    47.50 USD    1/21/22      294        13,965        (225,161)  

Cisco Systems, Inc.

   JPMorgan Chase    Call    50.00 USD    1/21/22      294        14,700        (165,953)  

CME Group, Inc.

   JPMorgan Chase    Call    220.00 USD    1/21/22      57        12,540        (10,401)  

CME Group, Inc.

   JPMorgan Chase    Call    230.00 USD    1/21/22      57        13,110        (5,753)  

Coca-Cola Co. (The)

   Credit Suisse First Boston    Call    50.00 USD    1/21/22      268        13,400        (98,149)  

Coca-Cola Co. (The)

   Credit Suisse First Boston    Call    52.50 USD    1/21/22      268        14,070        (52,821)  

Coca-Cola Co. (The)

   Credit Suisse First Boston    Call    55.00 USD    1/21/22      269        14,795        (23,709)  

Danaher Corp.

   Credit Suisse First Boston    Call    250.00 USD    1/21/22      118        29,500        (696,919)  

Danaher Corp.

   Credit Suisse First Boston    Call    270.00 USD    1/21/22      12        3,240        (50,128)  

Danaher Corp.

   Credit Suisse First Boston    Call    280.00 USD    1/21/22      31        8,680        (104,886)  

Danaher Corp.

   Credit Suisse First Boston    Call    290.00 USD    1/21/22      19        5,510        (50,400)  

Danaher Corp.

   JPMorgan Chase    Call    300.00 USD    1/21/22      129        38,700        (258,361)  

Exelon Corp.

   Citigroup    Call    40.00 USD    1/21/22      60        2,400        (52,089)  

Exelon Corp.

   Citigroup    Call    43.00 USD    1/21/22      60        2,580        (36,202)  

Exelon Corp.

   Citigroup    Call    45.00 USD    1/21/22      61        2,745        (27,093)  

Exelon Corp.

   Citigroup    Call    47.00 USD    1/21/22      377        17,719        (115,074)  

Exelon Corp.

   Citigroup    Call    50.00 USD    1/21/22      93        4,650        (13,893)  

Facebook, Inc.

   JPMorgan Chase    Call    340.00 USD    1/21/22      34        11,560        (78,856)  

Facebook, Inc.

   JPMorgan Chase    Call    345.00 USD    1/21/22      34        11,730        (70,006)  

Facebook, Inc.

   JPMorgan Chase    Call    380.00 USD    1/21/22      10        3,800        (7,932)  

Facebook, Inc.

   JPMorgan Chase    Call    400.00 USD    1/21/22      250        100,000        (110,555)  

Facebook, Inc.

   JPMorgan Chase    Call    345.00 USD    9/16/22      19        6,555        (77,595)  

Facebook, Inc.

   JPMorgan Chase    Call    360.00 USD    9/16/22      19        6,840        (64,511)  

Fiserv, Inc.

   Goldman Sachs    Call    130.00 USD    1/21/22      37        4,810        (3,545)  

Fiserv, Inc.

   Goldman Sachs    Call    135.00 USD    1/21/22      37        4,995        (2,308)  

Fleetcor Technologies, Inc.

   JPMorgan Chase    Call    300.00 USD    1/21/22      14        4,200        (6,303)  

Fleetcor Technologies, Inc.

   JPMorgan Chase    Call    310.00 USD    1/21/22      10        3,100        (3,465)  

General Electric Co.

   JPMorgan Chase    Call    12.00 USD    1/21/22      945        11,340        (139,773)  

General Electric Co.

   JPMorgan Chase    Call    15.00 USD    1/21/22      945        14,175        (25,981)  

General Electric Co.

   Susquehanna Ireland Limited    Call    15.00 USD    1/21/22      1,894        28,410        (52,071)  

Global Payments, Inc.

   Goldman Sachs    Call    230.00 USD    1/21/22      28        6,440        (1,122)  

Global Payments, Inc.

   Goldman Sachs    Call    240.00 USD    1/21/22      28        6,720        (859)  

Hilton Worldwide Holdings, Inc.

   Citigroup    Call    125.00 USD    1/21/22      49        6,125        (68,088)  

Hilton Worldwide Holdings, Inc.

   Citigroup    Call    130.00 USD    1/21/22      87        11,310        (93,076)  

Hilton Worldwide Holdings, Inc.

   Goldman Sachs    Call    135.00 USD    1/21/22      112        15,120        (88,961)  

Hilton Worldwide Holdings, Inc.

   Citigroup    Call    135.00 USD    1/21/22      38        5,130        (30,183)  

Hilton Worldwide Holdings, Inc.

   Goldman Sachs    Call    140.00 USD    1/21/22      112        15,680        (63,840)  

Intercontinental Exchange, Inc.

   JPMorgan Chase    Call    125.00 USD    1/21/22      47        5,875        (6,823)  

 

See accompanying notes to the schedules of portfolio investments.


AZL T. Rowe Price Capital Appreciation Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Intercontinental Exchange, Inc.

   JPMorgan Chase    Call    130.00 USD    1/21/22      93      $       12,090        $     (6,637)  

Intercontinental Exchange, Inc.

   JPMorgan Chase    Call    135.00 USD    1/21/22      47        6,345        (1,681)  

Keurig Dr Pepper, Inc.

   Susquehanna Ireland Limited    Call    32.00 USD    12/17/21      283        9,056        (78,998)  

Lockheed Martin Corp.

   JPMorgan Chase    Call    340.00 USD    1/21/22      26        8,840        (48,499)  

Lockheed Martin Corp.

   JPMorgan Chase    Call    360.00 USD    1/21/22      26        9,360        (23,293)  

Lockheed Martin Corp.

   JPMorgan Chase    Call    375.00 USD    1/21/22      27        10,125        (13,093)  

Marriott International, Inc.

   Credit Suisse First Boston    Call    145.00 USD    1/21/22      76        11,020        (93,026)  

Marriott International, Inc.

   Credit Suisse First Boston    Call    150.00 USD    1/21/22      76        11,400        (72,652)  

Marriott International, Inc.

   Credit Suisse First Boston    Call    155.00 USD    1/21/22      37        5,735        (27,042)  

Marriott International, Inc.

   Credit Suisse First Boston    Call    160.00 USD    1/21/22      37        5,920        (20,292)  

Marriott International, Inc.

   Credit Suisse First Boston    Call    165.00 USD    1/21/22      29        4,785        (11,766)  

Marriott International, Inc.

   Credit Suisse First Boston    Call    170.00 USD    1/21/22      29        4,930        (8,625)  

Marsh & McLennan Cos., Inc.

   Goldman Sachs    Call    150.00 USD    10/15/21      74        11,100        (24,221)  

Marsh & McLennan Cos., Inc.

   Goldman Sachs    Call    155.00 USD    10/15/21      74        11,470        (6,771)  

McDonald’s Corp.

   Royal Bank of Canada    Call    210.00 USD    1/21/22      19        3,990        (63,985)  

McDonald’s Corp.

   Citigroup    Call    210.00 USD    1/21/22      24        5,040        (80,823)  

McDonald’s Corp.

   Royal Bank of Canada    Call    220.00 USD    1/21/22      19        4,180        (47,287)  

McDonald’s Corp.

   Citigroup    Call    220.00 USD    1/21/22      23        5,060        (57,242)  

McDonald’s Corp.

   Royal Bank of Canada    Call    230.00 USD    1/21/22      19        4,370        (32,090)  

McDonald’s Corp.

   Citigroup    Call    230.00 USD    1/21/22      23        5,290        (38,846)  

McDonald’s Corp.

   Goldman Sachs    Call    260.00 USD    1/20/23      40        10,400        (51,124)  

McDonald’s Corp.

   Goldman Sachs    Call    270.00 USD    1/20/23      40        10,800        (39,193)  

Medtronic plc

   Credit Suisse First Boston    Call    115.00 USD    1/21/22      38        4,370        (51,540)  

Medtronic plc

   Credit Suisse First Boston    Call    125.00 USD    1/21/22      38        4,750        (24,666)  

Medtronic plc

   Credit Suisse First Boston    Call    130.00 USD    1/21/22      38        4,940        (15,136)  

Microsoft Corp.

   Susquehanna Ireland Limited    Call    250.00 USD    1/21/22      62        15,500        (243,519)  

Microsoft Corp.

   Susquehanna Ireland Limited    Call    255.00 USD    1/21/22      62        15,810        (218,582)  

Microsoft Corp.

   Susquehanna Ireland Limited    Call    260.00 USD    1/21/22      62        16,120        (194,497)  

Microsoft Corp.

   Susquehanna Ireland Limited    Call    265.00 USD    1/21/22      48        12,720        (132,690)  

Microsoft Corp.

   Susquehanna Ireland Limited    Call    270.00 USD    1/21/22      48        12,960        (115,670)  

Microsoft Corp.

   Bank of America    Call    270.00 USD    1/21/22      28        7,560        (67,474)  

Microsoft Corp.

   Susquehanna Ireland Limited    Call    275.00 USD    1/21/22      48        13,200        (99,648)  

Microsoft Corp.

   Bank of America    Call    275.00 USD    1/21/22      28        7,700        (58,128)  

Microsoft Corp.

   Citigroup    Call    280.00 USD    1/21/22      189        52,920        (333,785)  

Microsoft Corp.

   Bank of America    Call    280.00 USD    1/21/22      28        7,840        (49,450)  

Microsoft Corp.

   Susquehanna Ireland Limited    Call    300.00 USD    1/20/23      187        56,100        (500,230)  

Microsoft Corp.

   Susquehanna Ireland Limited    Call    320.00 USD    1/20/23      65        20,800        (125,707)  

Microsoft Corp.

   Citigroup    Call    330.00 USD    1/20/23      61        20,130        (100,012)  

Microsoft Corp.

   Susquehanna Ireland Limited    Call    330.00 USD    1/20/23      65        21,450        (106,570)  

Microsoft Corp.

   Susquehanna Ireland Limited    Call    340.00 USD    1/20/23      65        22,100        (90,351)  

Microsoft Corp.

   Citigroup    Call    340.00 USD    1/20/23      126        42,840        (175,142)  

Microsoft Corp.

   Susquehanna Ireland Limited    Call    350.00 USD    1/20/23      65        22,750        (76,672)  

Microsoft Corp.

   JPMorgan Chase    Call    350.00 USD    1/20/23      64        22,400        (75,492)  

Microsoft Corp.

   Citigroup    Call    350.00 USD    1/20/23      126        44,100        (148,626)  

Microsoft Corp.

   JPMorgan Chase    Call    355.00 USD    1/20/23      64        22,720        (69,587)  

Microsoft Corp.

   Citigroup    Call    360.00 USD    1/20/23      65        23,400        (65,173)  

Microsoft Corp.

   JPMorgan Chase    Call    360.00 USD    1/20/23      64        23,040        (64,170)  

 

See accompanying notes to the schedules of portfolio investments.


AZL T. Rowe Price Capital Appreciation Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Mondelez International, Inc.

   Citigroup    Call    57.50 USD    1/21/22      78      $         4,485        $       (22,263)  

Mondelez International, Inc.

   Citigroup    Call    60.00 USD    1/21/22      78        4,680        (12,009)  

Mondelez International, Inc.

   Citigroup    Call    62.50 USD    1/21/22      78        4,875        (5,918)  

Northrop Grumman Corp.

   Credit Suisse First Boston    Call    300.00 USD    1/21/22      31        9,300        (196,737)  

Northrop Grumman Corp.

   Credit Suisse First Boston    Call    315.00 USD    1/21/22      30        9,450        (150,348)  

Northrop Grumman Corp.

   Credit Suisse First Boston    Call    325.00 USD    1/21/22      30        9,750        (125,168)  

NXP Semiconductors NV

   JPMorgan Chase    Call    195.00 USD    1/21/22      48        9,360        (70,972)  

NXP Semiconductors NV

   JPMorgan Chase    Call    200.00 USD    1/21/22      48        9,600        (58,898)  

NXP Semiconductors NV

   JPMorgan Chase    Call    210.00 USD    1/21/22      48        10,080        (39,223)  

PepsiCo, Inc.

   Susquehanna Ireland Limited    Call    140.00 USD    1/21/22      80        11,200        (104,948)  

PepsiCo, Inc.

   Susquehanna Ireland Limited    Call    145.00 USD    1/21/22      80        11,600        (74,151)  

PepsiCo, Inc.

   Susquehanna Ireland Limited    Call    155.00 USD    1/21/22      79        12,245        (27,842)  

PNC Financial Services Group, Inc. (The)

   Citigroup    Call    175.00 USD    1/21/22      38        6,650        (93,909)  

PNC Financial Services Group, Inc. (The)

   Citigroup    Call    180.00 USD    1/21/22      78        14,040        (163,403)  

PNC Financial Services Group, Inc. (The)

   Citigroup    Call    185.00 USD    1/21/22      78        14,430        (136,155)  

PNC Financial Services Group, Inc. (The)

   Citigroup    Call    190.00 USD    1/21/22      40        7,600        (57,106)  

PNC Financial Services Group, Inc. (The)

   Citigroup    Call    220.00 USD    1/20/23      66        14,520        (86,534)  

PNC Financial Services Group, Inc. (The)

   Citigroup    Call    230.00 USD    1/20/23      66        15,180        (69,451)  

Roper Technologies, Inc.

   JPMorgan Chase    Call    490.00 USD    11/19/21      10        4,900        (1,473)  

Roper Technologies, Inc.

   JPMorgan Chase    Call    500.00 USD    11/19/21      10        5,000        (850)  

Ross Stores, Inc.

   Credit Suisse First Boston    Call    130.00 USD    1/21/22      19        2,470        (2,132)  

Ross Stores, Inc.

   Credit Suisse First Boston    Call    135.00 USD    1/21/22      19        2,565        (1,404)  

Ross Stores, Inc.

   Bank of America    Call    135.00 USD    1/21/22      9        1,215        (665)  

Ross Stores, Inc.

   Bank of America    Call    140.00 USD    1/21/22      9        1,260        (451)  

Teledyne Technologies, Inc.

   JPMorgan Chase    Call    470.00 USD    12/17/21      10        4,700        (6,387)  

Teledyne Technologies, Inc.

   JPMorgan Chase    Call    480.00 USD    12/17/21      10        4,800        (4,483)  

Thermo Fisher Scientific, Inc.

   Citigroup    Call    560.00 USD    1/21/22      21        11,760        (84,563)  

Thermo Fisher Scientific, Inc.

   Citigroup    Call    580.00 USD    1/21/22      44        25,520        (127,781)  

Thermo Fisher Scientific, Inc.

   Citigroup    Call    600.00 USD    1/21/22      23        13,800        (46,312)  

UnitedHealth Group, Inc.

   Citigroup    Call    400.00 USD    1/21/22      19        7,600        (34,220)  

UnitedHealth Group, Inc.

   Citigroup    Call    410.00 USD    1/21/22      19        7,790        (25,677)  

UnitedHealth Group, Inc.

   Citigroup    Call    420.00 USD    1/21/22      19        7,980        (18,951)  

UnitedHealth Group, Inc.

   Citigroup    Call    460.00 USD    1/21/22      10        4,600        (2,982)  

UnitedHealth Group, Inc.

   Citigroup    Call    470.00 USD    1/21/22      10        4,700        (2,274)  

Visa, Inc.

   JPMorgan Chase    Call    220.00 USD    1/21/22      55        12,100        (74,360)  

Visa, Inc.

   JPMorgan Chase    Call    225.00 USD    1/21/22      55        12,375        (59,006)  

Visa, Inc.

   Credit Suisse First Boston    Call    225.00 USD    1/21/22      65        14,625        (69,734)  

Visa, Inc.

   Goldman Sachs    Call    225.00 USD    1/21/22      79        17,775        (84,754)  

Visa, Inc.

   Credit Suisse First Boston    Call    230.00 USD    1/21/22      65        14,950        (54,207)  

Visa, Inc.

   JPMorgan Chase    Call    230.00 USD    1/21/22      56        12,880        (46,702)  

Visa, Inc.

   Goldman Sachs    Call    230.00 USD    1/21/22      79        18,170        (65,883)  

Visa, Inc.

   Credit Suisse First Boston    Call    235.00 USD    1/21/22      65        15,275        (41,452)  

Visa, Inc.

   Credit Suisse First Boston    Call    240.00 USD    1/21/22      38        9,120        (18,347)  

Visa, Inc.

   Credit Suisse First Boston    Call    245.00 USD    1/21/22      89        21,805        (32,420)  

Visa, Inc.

   Goldman Sachs    Call    250.00 USD    1/21/22      70        17,500        (19,295)  

Visa, Inc.

   Credit Suisse First Boston    Call    250.00 USD    1/21/22      51        12,750        (14,058)  

Visa, Inc.

   Citigroup    Call    250.00 USD    1/21/22      126        31,500        (34,732)  

 

See accompanying notes to the schedules of portfolio investments.


AZL T. Rowe Price Capital Appreciation Fund

Schedule of Portfolio Investments

September 30, 2021 (Unaudited)

 

Visa, Inc.

   Credit Suisse First Boston    Call    255.00 USD    1/21/22      70      $         17,850        $        (14,700)  

Visa, Inc.

   Goldman Sachs    Call    255.00 USD    1/21/22      31        7,905        (6,510)  

Visa, Inc.

   Credit Suisse First Boston    Call    260.00 USD    1/21/22      19        4,940        (3,065)  

Visa, Inc.

   Goldman Sachs    Call    260.00 USD    1/21/22      39        10,140        (6,291)  

Visa, Inc.

   Credit Suisse First Boston    Call    265.00 USD    1/21/22      19        5,035        (2,379)  

Visa, Inc.

   Goldman Sachs    Call    270.00 USD    1/21/22      39        10,530        (3,842)  

Waste Management, Inc.

   Credit Suisse First Boston    Call    115.00 USD    1/21/22      39        4,485        (137,101)  

Waste Management, Inc.

   Credit Suisse First Boston    Call    120.00 USD    1/21/22      39        4,680        (118,564)  

Waste Management, Inc.

   Credit Suisse First Boston    Call    130.00 USD    1/21/22      38        4,940        (80,731)  

Yum! Brands, Inc.

   JPMorgan Chase    Call    105.00 USD    1/21/22      21        2,205        (39,017)  

Yum! Brands, Inc.

   JPMorgan Chase    Call    110.00 USD    1/21/22      21        2,310        (30,040)  

Yum! Brands, Inc.

   JPMorgan Chase    Call    120.00 USD    1/21/22      184        22,080        (130,200)  

Yum! Brands, Inc.

   JPMorgan Chase    Call    125.00 USD    1/21/22      76        9,500        (33,870)  
                    

 

 

 

Total (Premiums $14,295,750)

                     $ (22,052,299)  
                    

 

 

 

 

(a)

Notional amount is expressed as the number of contracts multiplied by the strike price of the underlying asset.

 

See accompanying notes to the schedules of portfolio investments.


ALLIANZ VARIABLE INSURANCE PRODUCTS TRUST

NOTES TO THE SCHEDULES OF PORTFOLIO INVESTMENTS

September 30, 2021 (Unaudited)

1. Related Party Transactions

Allianz Investment Management LLC (the “Manager”) or an affiliate of the Manager serves as the investment adviser of certain underlying funds in which each Fund invests or is an affiliate of the security. At September 30, 2021, the following investments are noted as affiliated securities in each Fund’s Schedule of Portfolio Investments.

Affiliated Holdings Disclosure

 

    Value
12/31/2020
 

Purchases

at Cost

  Proceeds from
Sales
 

Net

Realized
Gains(Losses)

  Change in Net
Unrealized
Appreciation/
Depreciation
  Value
9/30/2021
  Shares as of
9/30/2021
  Dividend
Income
    Net Realized
Gains Distributions
from Affiliated
Underlying Funds
 

 

 

AZL Moderate Index Strategy Fund

                 

AZL Enhanced Bond Index Fund

   $ 228,798,187       $ 564,916,872      $ (17,574,120    $ (85,792    $ (3,133,760    $ 772,921,387        66,861,712     $ -           $ -        

AZL International Index Fund, Class 2

     96,051,410        201,085,554        (17,964,707     4,683,852       (1,222,809     282,633,300       15,097,933       -             -        

AZL Mid Cap Index Fund, Class 2

     58,133,471        120,083,752        (13,464,296     3,843,832       3,191,461       171,788,220       6,226,467       -             -        

AZL Small Cap Stock Index Fund, Class 2

     31,066,541        58,628,516        (7,132,252     1,475,687       2,955,604       86,994,096       5,298,057       -             -        

AZL S&P 500 Index Fund, Class 2

     197,360,987        423,495,432        (63,930,771      24,306,378        14,677,011        595,909,037        25,347,045       -             -        
 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

   

 

 

 
   $ 611,410,596      $ 1,368,210,126      $ (120,066,146)      $ 34,223,957      $ 16,467,507      $ 1,910,246,040        118,831,214      $ -            $  -        
 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

   

 

 

 
    Value
12/31/2020
 

Purchases

at Cost

  Proceeds from
Sales
 

Net

Realized
Gains(Losses)

  Change in Net
Unrealized
Appreciation/
Depreciation
  Value
9/30/2021
  Shares as of
9/30/2021
  Dividend
Income
   

Capital

Gains Distributions

 

 

 

AZL International Index Fund

                 

Allianz SE, Registered Shares

   $ 10,223,042      $ 1,349,718      $ (1,302,210    $ 383,030      $ (1,242,873    $ 9,410,707        41,730      $ 454,102      $ -        
 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

   

 

 

 
   $ 10,223,042      $ 1,349,718      $ (1,302,210    $ 383,030      $ (1,242,873    $ 9,410,707        41,730      $ 454,102      $ -        
 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

   

 

 

 

AZL MSCI Global Equity Index Fund

                 

Allianz SE, Registered Shares

   $ 640,470      $ 400,420      $ (147,517    $ 3,902      $ (87,679    $ 809,596        3,590      $ 27,361      $ -        

BlackRock Inc., Class A

     694,122        499,351        (180,612      70,508        24,501        1,107,870        1,321        12,778        -        
 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

   

 

 

 
   $ 1,334,592      $ 899,771      $ (328,129    $ 74,410      $ (63,178    $ 1,917,466        4,911      $ 40,139      $ -        
 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

   

 

 

 

AZL Russell 1000 Value Index Fund

                 

BlackRock Inc., Class A

   $ 5,692,228      $ 1,992,204      $ (1,302,119    $ 609,723      $ 167,604      $ 7,159,640        8,537      $ 93,400      $ -        
 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

   

 

 

 
   $ 5,692,228      $ 1,992,204      $ (1,302,119    $ 609,723      $ 167,604      $ 7,159,640        8,537      $ 93,400      $ -        
 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

   

 

 

 

AZL S&P 500 Index Fund

                 

BlackRock Inc., Class A

   $ 9,125,315      $ 1,507,215      $ (1,604,471    $ 777,817      $ 654,730      $ 10,460,606        12,473      $ 151,274     $ -        
 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

   

 

 

 
   $ 9,125,315      $ 1,507,215      $ (1,604,471    $ 777,817      $ 654,730      $ 10,460,606        12,473      $ 151,274     $ -        
 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

   

 

 

 


ALLIANZ VARIABLE INSURANCE PRODUCTS TRUST

NOTES TO THE SCHEDULES OF PORTFOLIO INVESTMENTS

September 30, 2021 (Unaudited)

 

2. Restricted Securities

A restricted security is a security which has been purchased through a private offering and cannot be resold to the general public without prior registration under the Securities Act of 1933 (the “1933 Act”) or pursuant to the resale limitations provided by Rule 144A under the 1933 Act, or an exemption from the registration requirements of the 1933 Act. Whether a restricted security is illiquid is determined pursuant to guidelines established by the Board of Trustees. Not all restricted securities are considered illiquid. The illiquid restricted securities held as of September 30, 2021 are identified below.

AZL Fidelity Institutional Asset Management Total Bond Fund

 

Security    Acquisition Date (a)      Acquisition
Cost
     Shares
or
Principal
Amount
     Fair
Value
     Percentage of
Net Assets

Mesquite Energy, Inc., 15.00%, 7/15/23

     7/10/20        $38,899        43,500        $155,295      0.03%

Mesquite Energy, Inc., 15.00%, 7/15/23

     11/5/20        67,000        74,153        240,256      0.05%

Sanchez Energy Corp., 7.25%, 2/15/23, Callable 10/19/21 @ 101.81

     10/30/18        376,933        408,000             0.00%

(a) Acquisition date represents the initial purchase date of the security.

AZL Fidelity Institutional Asset Management Multi-Strategy Fund

 

Security    Acquisition Date (a)      Acquisition
Cost
     Shares
or
Principal
Amount
     Fair
Value
     Percentage of
Net Assets

Mesquite Energy, Inc., 15.00%, 7/15/23

     7/10/20        $26,314        29,426        $105,051      0.01%

Mesquite Energy, Inc., 15.00%, 7/15/23

     11/5/20        46,000        50,911        164,952      0.01%

Sanchez Energy Corp., 7.25%, 2/15/23, Callable 10/19/21 @ 101.81

     10/30/18        256,808        278,000             0.00%

(a) Acquisition date represents the initial purchase date of the security.