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RGUZHJ05YTITL6D76949 RAYMOND JAMES FINANCIAL INC 754730109 10507.00000000 NS USD 1349308.94000000 0.050567427162 Long EC CORP US N 1 N N N FORTINET, INC. 549300O0QJWDBAS0QX03 FORTINET INC 34959E109 38801.00000000 NS USD 2650496.31000000 0.099331424500 Long EC CORP US N 1 N N N PTC INC. 54930050SSMU8SKDJ030 PTC INC 69370C100 7104.00000000 NS USD 1342229.76000000 0.050302124007 Long EC CORP US N 1 N N N THE KRAFT HEINZ COMPANY 9845007488EC87F5AF14 KRAFT HEINZ CO THE 500754106 48284.00000000 NS USD 1781679.60000000 0.066771182440 Long EC CORP US N 1 N N N AMERICAN WATER WORKS COMPANY, INC. 549300DXHIJQMD5WFW18 AMERICAN WATER WORKS CO INC 030420103 11976.00000000 NS USD 1463586.96000000 0.054850171671 Long EC CORP US N 1 N N N JACK HENRY & ASSOCIATES, INC. 529900X1QS8C54W0JB21 JACK HENRY ASSOCIATES INC 426281101 4422.00000000 NS USD 768234.06000000 0.028790752600 Long EC CORP US N 1 N N N HORMEL FOODS CORPORATION MSD54751OJP1FS2ND863 HORMEL FOODS CORP 440452100 18096.00000000 NS USD 631369.44000000 0.023661540529 Long EC CORP US N 1 N N N PARAMOUNT GLOBAL 5KYC8KF17ROCY24M3H09 Paramount Global 92556H206 28033.00000000 NS USD 329948.41000000 0.012365323978 Long EC CORP US N 1 N N N CONOCOPHILLIPS WPTL2Z3FIYTHSP5V2253 CONOCOPHILLIPS 20825C104 70909.00000000 NS USD 9025297.52000000 0.338236901451 Long EC CORP US N 1 N N N TELEDYNE TECHNOLOGIES INCORPORATED 549300VSMO9KYQWDND94 TELEDYNE TECHNOLOGIES INC 879360105 2896.00000000 NS USD 1243310.72000000 0.046594980890 Long EC CORP US N 1 N N N ROSS STORES, INC. 549300ENZFLPGRDFZQ60 ROSS STORES INC 778296103 20230.00000000 NS USD 2968954.80000000 0.111266146060 Long EC CORP US N 1 N N N NUCOR CORPORATION 549300GGJCRSI2TIEJ46 NUCOR CORP 670346105 14905.00000000 NS USD 2949699.50000000 0.110544524087 Long EC CORP US N 1 N N N DUKE ENERGY CORPORATION I1BZKREC126H0VB1BL91 DUKE ENERGY CORP 26441C204 46423.00000000 NS USD 4489568.33000000 0.168253476124 Long EC CORP US N 1 N N N REGIONS FINANCIAL CORPORATION CW05CS5KW59QTC0DG824 REGIONS FINANCIAL CORP 7591EP100 55346.00000000 NS USD 1164479.84000000 0.043640672455 Long EC CORP US N 1 N N N ROLLINS, INC. 549300F2A0BXT4SGWD84 ROLLINS INC 775711104 15853.00000000 NS USD 733518.31000000 0.027489726491 Long EC CORP US N 1 N N N CATERPILLAR INC. WRJR7GS4GTRECRRTVX92 CATERPILLAR INC 149123101 30688.00000000 NS USD 11245003.84000000 0.421423808714 Long EC CORP US N 1 N N N TRANE TECHNOLOGIES PLC 549300BURLR9SLYY2705 TRANE TECHNOLOGIES PLC G8994E103 13679.00000000 NS USD 4106435.80000000 0.153894995475 Long EC CORP IE N 1 N N N KLA CORPORATION 549300H0BF5JCG96TJ81 KLA CORP 482480100 8169.00000000 NS USD 5706618.33000000 0.213864296155 Long EC CORP US N 1 N N N CMS ENERGY CORPORATION 549300IA9XFBAGNIBW29 CMS ENERGY CORP 125896100 17179.00000000 NS USD 1036580.86000000 0.038847461528 Long EC CORP US N 1 N N N COPART, INC. 549300KVYX3JWMYEHU61 COPART INC 217204106 52274.00000000 NS USD 3027710.08000000 0.113468090518 Long EC CORP US N 1 N N N HOST HOTELS & RESORTS, INC. N6EL63S0K3PB1YFTDI24 HOST HOTELS RESORTS INC 44107P104 42055.00000000 NS USD 869697.40000000 0.032593247272 Long EC CORP US N 1 N N N CONSTELLATION ENERGY CORPORATION. 549300F8Y20RYGNGV346 CONSTELLATION ENERGY CORP 21037T109 19285.00000000 NS USD 3564832.25000000 0.133597569693 Long EC CORP US N 1 N N N 2024-04-30 Allianz Variable Insurance Products Trust Bashir C. Asad Bashir C. Asad Treasurer XXXX NPORT-EX 2 2345_0001091439.htm
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
1
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks
(98.4%):
Aerospace
&
Defense
(1.2%):
2,540
Airbus
SE
$
468,454
17,862
Austal,
Ltd.
25,604
512
Avon
Protection
plc
6,991
19,009
Babcock
International
Group
plc
124,687
6,910
BAE
Systems
plc
117,674
1,760
Bombardier,
Inc.,
Class
B*
75,564
3,780
CAE,
Inc.*
78,062
5,345
Chemring
Group
plc
24,467
191
Dassault
Aviation
SA
42,031
116
Elbit
Systems,
Ltd.
24,258
89
FACC
AG*
611
1,523
Hensoldt
AG
71,298
2,300
Heroux-Devtek,
Inc.*
30,890
1,072
INVISIO
AB
24,392
562
Kongsberg
Gruppen
ASA
38,882
2,240
Leonardo
SpA
56,266
394
LISI
SA
10,051
4,014
MDA,
Ltd.*
43,596
16,952
Melrose
Industries
plc
143,843
187
MTU
Aero
Engines
AG
47,443
351
OHB
SE*
16,584
12,902
QinetiQ
Group
plc
59,448
683
Rheinmetall
AG
383,788
69,646
Rolls-Royce
Holdings
plc*
374,468
303
Saab
AB,
Class
B
26,951
1,938
Safran
SA
438,781
15,312
Senior
plc
34,197
21,100
Singapore
Technologies
Engineering,
Ltd.
62,901
1,222
Thales
SA
208,295
3,060,477
Air
Freight
&
Logistics
(0.7%):
2,500
AZ-COM
MARUWA
Holdings,
Inc.
22,402
4,417
bpost
SA
16,500
2,607
Cia
de
Distribucion
Integral
Logista
Holdings
SA
72,840
6,355
CTT-Correios
de
Portugal
SA
28,304
11,638
Deutsche
Post
AG
501,104
1,314
DSV
A/S
213,544
6,382
Freightways
Group,
Ltd.
33,745
1,000
Hamakyorex
Co.,
Ltd.
25,370
107
ID
Logistics
Group
SACA*
40,802
4,998
InPost
SA*
77,018
32,923
International
Distributions
Services
plc*
95,249
10,289
Kerry
Express
Thailand
PCL*
1,425
20,500
Kerry
Logistics
Network,
Ltd.
22,317
1,800
Konoike
Transport
Co.,
Ltd.
25,140
958
Mainfreight,
Ltd.
39,882
900
Mitsui-Soko
Holdings
Co.,
Ltd.
27,812
2,600
NIPPON
EXPRESS
HOLDINGS,
Inc.
132,691
783
Oesterreichische
Post
AG
26,725
17,789
PostNL
NV
24,195
2,000
Sankyu,
Inc.
68,808
900
SBS
Holdings,
Inc.
15,391
3,900
Senko
Group
Holdings
Co.,
Ltd.
29,196
5,100
SG
Holdings
Co.,
Ltd.
64,583
51,000
Singapore
Post,
Ltd.
15,864
300
Tonami
Holdings
Co.,
Ltd.
9,048
400
Trancom
Co.,
Ltd.
16,050
5,312
Wincanton
plc
40,211
Shares
Value
Common
Stocks,
continued
Air
Freight
&
Logistics,
continued
2,000
Yamato
Holdings
Co.,
Ltd.
$
28,799
1,715,015
Automobile
Components
(1.7%):
1,000
Aisan
Industry
Co.,
Ltd.
11,148
2,700
Aisin
Corp.
110,185
7,300
Akebono
Brake
Industry
Co.,
Ltd.*
6,962
1,027
AKWEL
SADIR
16,307
2,503
ARB
Corp.
Ltd.
67,638
252
Autoneum
Holding
AG*
45,163
1,920
Brembo
SpA
24,584
8,700
Bridgestone
Corp.
385,984
1,647
Bulten
AB
11,312
1,092
CIE
Automotive
SA
31,317
12,224
Cie
Generale
des
Etablissements
Michelin
SCA
468,605
1,743
Cie
Plastic
Omnium
SE
22,683
12,732
CIR
SpA-Compagnie
Industriali*
7,361
2,585
Continental
AG
186,559
2,800
Daido
Metal
Co.,
Ltd.
12,424
2,400
Daikyonishikawa
Corp.
12,299
6,700
Denso
Corp.
128,216
7,732
Dometic
Group
AB(a)
62,524
20,239
Dowlais
Group
plc
19,917
1,800
Eagle
Industry
Co.,
Ltd.
21,717
673
EDAG
Engineering
Group
AG
9,220
1,724
ElringKlinger
AG
11,297
1,500
Exco
Technologies,
Ltd.
8,218
1,700
Exedy
Corp.
34,069
2,300
FCC
Co.,
Ltd.
33,492
342
Feintool
International
Holding
AG,
Registered
Shares
7,199
7,092
Forvia
SE*
107,437
1,000
F-Tech,
Inc.
4,965
4,000
Futaba
Industrial
Co.,
Ltd.
31,172
6,562
Gestamp
Automocion
SA(a)
21,080
1,400
G-Tekt
Corp.
19,605
6,206
GUD
Holdings,
Ltd.
47,719
368
Hella
GmbH
&
Co.
KGaA
33,819
1,600
HI-LEX
Corp.
18,017
700
H-One
Co.,
Ltd.
3,210
300
Imasen
Electric
Industrial
1,265
19,642
Johnson
Electric
Holdings,
Ltd.
27,222
7,400
JTEKT
Corp.
69,870
1,800
Kasai
Kogyo
Co.,
Ltd.*
2,927
267
Kendrion
NV
3,955
2,500
Koito
Manufacturing
Co.,
Ltd.
33,671
25,060
Kongsberg
Automotive
ASA*
3,475
1,000
KYB
Corp.
33,915
1,933
Linamar
Corp.
102,758
6,013
Magna
International,
Inc.
327,598
1,104
Magna
International,
Inc.
60,146
3,466
Martinrea
International,
Inc.
31,118
2,000
Mitsuba
Corp.
21,716
2,500
Musashi
Seimitsu
Industry
Co.,
Ltd.
27,908
4,300
NHK
Spring
Co.,
Ltd.
42,685
600
Nichirin
Co.,
Ltd.
14,719
2,300
Nifco,
Inc.
57,845
2,200
Nippon
Seiki
Co.,
Ltd.
22,291
3,500
Niterra
Co.,
Ltd.
116,146
2,700
NOK
Corp.
37,095
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
2
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Automobile
Components,
continued
5,012
Nokian
Renkaat
Oyj
$
47,187
800
NPR-RIKEN
Corp.
16,339
2,600
Pacific
Industrial
Co.,
Ltd.
28,827
10,683
Pirelli
&
C
SpA(a)
65,389
6,300
Press
Kogyo
Co.,
Ltd.
29,345
3,582
PWR
Holdings,
Ltd.
26,962
1,900
Sanoh
Industrial
Co.,
Ltd.
14,358
1,000
Seiren
Co.,
Ltd.
18,187
2,400
Shoei
Co.,
Ltd.
36,283
4,300
Stanley
Electric
Co.,
Ltd.
76,112
12,700
Sumitomo
Electric
Industries,
Ltd.
196,692
2,900
Sumitomo
Riko
Co.,
Ltd.
25,670
6,500
Sumitomo
Rubber
Industries,
Ltd.
80,034
300
T
RAD
Co.,
Ltd.
7,797
1,400
Tachi-S
Co.,
Ltd.
18,424
800
Taiho
Kogyo
Co.,
Ltd.
4,930
8,119
TI
Fluid
Systems
plc(a)
14,742
2,500
Tokai
Rika
Co.,
Ltd.
42,873
2,500
Topre
Corp.
42,533
3,800
Toyo
Tire
Corp.
71,845
1,700
Toyoda
Gosei
Co.,
Ltd.
37,443
2,200
Toyota
Boshoku
Corp.
37,485
1,500
TPR
Co.,
Ltd.
23,363
2,800
TS
Tech
Co.,
Ltd.
35,573
2,000
Unipres
Corp.
15,376
8,459
Valeo
SE
105,668
3,000
Yokohama
Rubber
Co.,
Ltd.
(The)
80,936
600
Yorozu
Corp.
3,820
4,285,942
Automobiles
(2.9%):
4,597
Bayerische
Motoren
Werke
AG
530,335
423
Ferrari
NV
184,403
398
Ferrari
NV
173,447
32,400
Honda
Motor
Co.,
Ltd.
400,774
2,388
Honda
Motor
Co.,
Ltd.,
ADR
88,905
15,200
Isuzu
Motors,
Ltd.
205,406
298
Knaus
Tabbert
AG
14,302
12,600
Mazda
Motor
Corp.
147,377
13,966
Mercedes-Benz
Group
AG
1,112,285
22,500
Mitsubishi
Motors
Corp.
73,916
20,100
Nissan
Motor
Co.,
Ltd.
79,722
2,700
Nissan
Shatai
Co.,
Ltd.
18,581
8,981
Piaggio
&
C
SpA
28,405
3,901
Renault
SA
196,899
34,456
Stellantis
NV
977,538
11,800
Subaru
Corp.
268,604
22,400
Suzuki
Motor
Corp.
255,556
97,820
Toyota
Motor
Corp.
2,459,140
294
Trigano
SA
51,676
450
Volkswagen
AG
68,737
9,185
Volvo
Car
AB,
Class
B*
34,747
23,400
Yamaha
Motor
Co.,
Ltd.
215,543
7,586,298
Banks
(9.3%):
1,900
77
Bank,
Ltd.
(The)
50,631
6,117
ABN
AMRO
Bank
NV(a)
104,923
536
Addiko
Bank
AG
10,374
34,891
AIB
Group
plc
176,937
Shares
Value
Common
Stocks,
continued
Banks,
continued
1,500
Akita
Bank,
Ltd.
(The)
$
20,513
2,146
Aktia
Bank
Oyj
23,186
19,608
ANZ
Group
Holdings,
Ltd.
375,600
3,500
Aozora
Bank,
Ltd.
57,191
3,538
Auswide
Bank,
Ltd.
10,119
1,000
Awa
Bank,
Ltd.
(The)
18,373
12,077
Banca
Monte
dei
Paschi
di
Siena
SpA*
54,715
14,051
Banca
Popolare
di
Sondrio
SPA
105,188
59,357
Banco
Bilbao
Vizcaya
Argentaria
SA
707,025
31,040
Banco
Bilbao
Vizcaya
Argentaria
SA,
ADR
367,514
42,281
Banco
BPM
SpA
281,314
428,433
Banco
Comercial
Portugues
SA,
Class
R*
144,583
157,448
Banco
de
Sabadell
SA
247,154
110,872
Banco
Santander
SA
541,671
12,954
Bank
Hapoalim
BM
121,484
24,597
Bank
Leumi
Le-Israel
BM
204,492
30,859
Bank
of
East
Asia,
Ltd.
(The)
36,766
1,205
Bank
of
Georgia
Group
plc
76,881
39,103
Bank
of
Ireland
Group
plc
398,990
900
Bank
of
Iwate,
Ltd.
(The)
15,250
1,943
Bank
of
Montreal
189,724
4,062
Bank
of
Montreal
396,776
500
Bank
of
Nagoya,
Ltd.
(The)
21,413
4,238
Bank
of
Nova
Scotia
(The)
219,253
8,317
Bank
of
Nova
Scotia
(The)
ADR
430,654
24,326
Bank
of
Queensland,
Ltd.
100,266
2,000
Bank
of
the
Ryukyus,
Ltd.
15,715
23,719
Bankinter
SA^
173,438
71
Banque
Cantonale
de
Geneve,
Class
BR
22,677
1,029
Banque
Cantonale
Vaudoise,
Registered
Shares
119,635
196,917
Barclays
plc
457,494
5,039
Barclays
plc,
ADR
47,619
1,622
BAWAG
Group
AG(a)
102,785
16,528
Bendigo
&
Adelaide
Bank,
Ltd.
110,484
207
Berner
Kantonalbank
AG,
Registered
Shares
56,008
5,480
BNP
Paribas
SA
389,948
35,542
BOC
Hong
Kong
Holdings,
Ltd.
95,242
46,769
BPER
Banca
220,900
53,120
CaixaBank
SA^
257,486
5,363
Canadian
Imperial
Bank
of
Commerce
272,011
4,270
Canadian
Imperial
Bank
of
Commerce
216,495
4,227
Canadian
Western
Bank
88,010
5,000
Chiba
Bank,
Ltd.
(The)
41,628
3,300
Chugin
Financial
Group,
Inc.
28,088
6,677
Close
Brothers
Group
plc
35,350
15,567
Commerzbank
AG
213,747
9,717
Commonwealth
Bank
of
Australia
763,899
16,100
Concordia
Financial
Group,
Ltd.
80,941
8,122
Credit
Agricole
SA
120,977
2,729
Credito
Emiliano
SpA
27,289
16,000
Dah
Sing
Banking
Group,
Ltd.
11,387
5,600
Dah
Sing
Financial
Holdings,
Ltd.
12,876
1,900
Daishi
Hokuetsu
Financial
Group,
Inc.
55,831
10,300
Danske
Bank
A/S
308,735
13,192
DBS
Group
Holdings,
Ltd.
352,940
5,279
DNB
Bank
ASA
104,836
1,600
Ehime
Bank,
Ltd.
(The)
11,890
1,282
EQB,
Inc.
80,409
4,209
Erste
Group
Bank
AG
187,397
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
3
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Banks,
continued
650
FIDEA
Holdings
Co.,
Ltd.
$
6,826
9,196
FinecoBank
Banca
Fineco
SpA
137,690
3,600
First
Bank
of
Toyama,
Ltd.
(The)
22,660
1,329
First
International
Bank
Of
Israel,
Ltd.
(The)
55,310
1,000
Fukui
Bank,
Ltd.
(The)
12,829
2,200
Fukuoka
Financial
Group,
Inc.
58,670
7,200
Gunma
Bank,
Ltd.
(The)
40,804
9,200
Hachijuni
Bank,
Ltd.
(The)
62,064
4,005
Hang
Seng
Bank,
Ltd.
43,891
26,593
Heartland
Group
Holdings,
Ltd.
20,334
5,200
Hirogin
Holdings,
Inc.
37,307
1,000
Hokkoku
Financial
Holdings,
Inc.
32,930
4,500
Hokuhoku
Financial
Group,
Inc.
56,975
65,939
HSBC
Holdings
plc
515,307
12,641
HSBC
Holdings
plc,
ADR
497,550
9,400
Hyakugo
Bank,
Ltd.
(The)
39,804
1,000
Hyakujushi
Bank,
Ltd.
(The)
19,276
3
Hypothekarbank
Lenzburg
AG,
Class
R
14,040
21,961
ING
Groep
NV
361,628
71,373
Intesa
Sanpaolo
SpA
258,918
29,275
Israel
Discount
Bank,
Ltd.,
Class
A
151,542
5,400
Iyogin
Holdings,
Inc.
41,746
4,200
Japan
Post
Bank
Co.,
Ltd.
45,202
620
Jimoto
Holdings,
Inc.
2,453
1,200
Juroku
Financial
Group,
Inc.
37,247
1,487
Jyske
Bank
A/S,
Registered
Shares
125,874
7,716
KBC
Group
NV
579,673
5,800
Keiyo
Bank,
Ltd.
(The)
29,022
400
Kita-Nippon
Bank,
Ltd.
(The)
6,477
2,500
Kiyo
Bank,
Ltd.
(The)
30,681
3,400
Kyoto
Financial
Group,
Inc.
61,302
10,290
Kyushu
Financial
Group,
Inc.
76,012
1,296
Laurentian
Bank
of
Canada
26,812
562
Liechtensteinische
Landesbank
AG
45,725
235,693
Lloyds
Banking
Group
plc
154,253
109,681
Lloyds
Banking
Group
plc,
ADR
284,074
583
Luzerner
Kantonalbank
AG,
Registered
Shares
45,711
27,470
Mebuki
Financial
Group,
Inc.
90,185
10,038
Mediobanca
Banca
di
Credito
Finanziario
SpA
149,535
72,300
Mitsubishi
UFJ
Financial
Group,
Inc.
735,552
800
Miyazaki
Bank,
Ltd.
(The)
15,215
2,692
Mizrahi
Tefahot
Bank,
Ltd.
101,009
15,980
Mizuho
Financial
Group,
Inc.
316,224
1,300
Musashino
Bank,
Ltd.
(The)
25,160
5,245
MyState,
Ltd.
12,519
1,300
Nanto
Bank,
Ltd.
(The)
26,266
28,191
National
Australia
Bank,
Ltd.
636,283
7,632
National
Bank
of
Canada^
642,724
12,364
NatWest
Group
plc,
ADR
84,075
41,554
NatWest
Group
plc
139,133
4,800
Nishi-Nippon
Financial
Holdings,
Inc.
60,068
10,907
Nordea
Bank
Abp
123,230
14,112
Nordea
Bank
Abp
157,218
3,381
Norion
Bank
AB*
14,758
7,300
North
Pacific
Bank,
Ltd.
21,282
1,800
Ogaki
Kyoritsu
Bank,
Ltd.
(The)
25,976
1,000
Oita
Bank,
Ltd.
(The)
19,974
820
Okinawa
Financial
Group,
Inc.
14,104
17,746
Oversea-Chinese
Banking
Corp.,
Ltd.
177,571
Shares
Value
Common
Stocks,
continued
Banks,
continued
5,215
Permanent
TSB
Group
Holdings
plc*
$
7,717
1,522
Procrea
Holdings,
Inc.
18,675
28,000
Public
Financial
Holdings,
Ltd.
4,437
4,183
Raiffeisen
Bank
International
AG
83,528
31,675
Resona
Holdings,
Inc.
195,719
1,148
Ringkjoebing
Landbobank
A/S
201,229
6,129
Royal
Bank
of
Canada
618,294
2,904
Royal
Bank
of
Canada
292,930
1,190
San
ju
San
Financial
Group,
Inc.
16,409
6,200
San-In
Godo
Bank,
Ltd.
(The)
48,657
11,600
Senshu
Ikeda
Holdings,
Inc.
30,103
14,300
Seven
Bank,
Ltd.
27,724
1,300
Shiga
Bank,
Ltd.
(The)
35,949
1,000
Shikoku
Bank,
Ltd.
(The)
7,961
400
Shimizu
Bank,
Ltd.
(The)
4,239
6,600
Shizuoka
Financial
Group,
Inc.
62,762
12,683
Skandinaviska
Enskilda
Banken
AB,
Class
A
171,581
10,663
Societe
Generale
SA
286,843
3,454
Spar
Nord
Bank
A/S
57,722
2,034
SpareBank
1
Sorost-Norge
12,582
3,098
SpareBank
1
SR-Bank
ASA
38,966
523
Sparekassen
Sjaelland-Fyn
A/S
16,174
119
St
Galler
Kantonalbank
AG,
Registered
Shares
64,134
33,482
Standard
Chartered
plc
283,680
8,200
Sumitomo
Mitsui
Financial
Group,
Inc.
479,439
4,400
Sumitomo
Mitsui
Trust
Holdings,
Inc.
94,881
8,000
Suruga
Bank,
Ltd.
46,573
9,765
Svenska
Handelsbanken
AB,
Class
A^
98,775
4,965
Swedbank
AB,
Class
A^
98,536
2,314
Sydbank
AS
120,060
1,511
TBC
Bank
Group
plc
61,336
6,500
Toho
Bank,
Ltd.
(The)
15,403
1,100
Tokyo
Kiraboshi
Financial
Group,
Inc.
34,096
7,500
TOMONY
Holdings,
Inc.
20,646
5,477
Toronto-Dominion
Bank
(The)
330,585
5,540
Toronto-Dominion
Bank
(The)
334,505
2,100
Towa
Bank,
Ltd.
(The)
9,974
6,200
Tsukuba
Bank,
Ltd.
12,360
47,317
Unicaja
Banco
SA(a)
58,555
13,825
UniCredit
SpA
524,567
13,027
United
Overseas
Bank,
Ltd.
283,201
743
Valiant
Holding
AG
87,176
900
VersaBank
9,540
30,944
Vestjysk
Bank
A/S
20,881
45,112
Virgin
Money
UK
plc
122,049
239
Walliser
Kantonalbank,
Registered
Shares
30,613
22,910
Westpac
Banking
Corp.
390,112
1,600
Yamagata
Bank,
Ltd.
(The)
12,388
3,900
Yamaguchi
Financial
Group,
Inc.
39,580
1,800
Yamanashi
Chuo
Bank,
Ltd.
(The)
22,325
6
Zuger
Kantonalbank
AG,
Class
BR
53,233
24,219,211
Beverages
(1.0%):
1,669
AG
Barr
plc
12,262
1,900
Andrew
Peller,
Ltd.,
Class
A
5,597
6,975
Anheuser-Busch
InBev
SA/NV
424,221
2,700
Asahi
Group
Holdings,
Ltd.
99,140
9,774
Britvic
plc
101,292
14,400
Budweiser
Brewing
Co.
APAC,
Ltd.(a)
21,233
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
4
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Beverages,
continued
14,772
C&C
Group
plc
$
30,492
1,568
Carlsberg
AS,
Class
B
214,875
4,300
Coca-Cola
Bottlers
Japan
Holdings,
Inc.
63,372
2,954
Coca-Cola
Europacific
Partners
plc
208,620
1,524
Coca-Cola
HBC
AG
48,148
1,957
Davide
Campari-Milano
NV,
Class
M
19,662
8,372
Diageo
plc
309,120
1,341
Diageo
plc,
ADR
199,460
812
Fevertree
Drinks
plc
12,285
1,451
Heineken
NV
139,793
1,500
Ito
En,
Ltd.
36,692
7,200
Kirin
Holdings
Co.,
Ltd.
100,057
109
Laurent-Perrier
14,170
653
Olvi
Oyj,
A
Shares
21,693
684
Pernod
Ricard
SA
110,580
1,600
Primo
Water
Corp.
29,136
2,850
Primo
Water
Corp.
51,891
1,827
Royal
Unibrew
A/S
120,800
800
Sapporo
Holdings,
Ltd.
31,870
1,700
Suntory
Beverage
&
Food,
Ltd.
57,473
4,800
Takara
Holdings,
Inc.
34,526
9,074
Treasury
Wine
Estates,
Ltd.
73,948
2,592,408
Biotechnology
(0.3%):
24,100
AnGes,
Inc.*^
10,355
86
Argenx
SE*
33,940
418
Basilea
Pharmaceutica
AG,
Registered
Shares*
17,452
1,271
Bavarian
Nordic
A/S*
28,755
1,455
BioGaia
AB,
B
Shares
16,982
760
Clinuvel
Pharmaceuticals,
Ltd.
7,111
931
CSL,
Ltd.
174,944
1,511
Galapagos
NV*
48,424
684
Genmab
A/S*
204,684
1,500
GNI
Group,
Ltd.*
29,943
2,347
Grifols
SA*
21,088
9,021
Mesoblast,
Ltd.*
3,260
2,600
PeptiDream,
Inc.*
24,392
176
Pharma
Mar
SA
5,452
20,503
Pharming
Group
NV*
22,514
4,999
PureTech
Health
plc*
14,065
1,333
Swedish
Orphan
Biovitrum
AB*
33,256
2,800
Takara
Bio,
Inc.
18,043
1,652
Vitrolife
AB
30,990
1,155
Zealand
Pharma
A/S*
114,600
860,250
Broadline
Retail
(0.8%):
1,600
ASKUL
Corp.
23,311
23,334
B&M
European
Value
Retail
SA
160,767
1,900
Belluna
Co.,
Ltd.
7,715
1,559
Canadian
Tire
Corp.,
Ltd.,
Class
A
155,509
4,097
Dollarama,
Inc.
312,145
6,374
Europris
ASA(a)
45,918
24,372
Harvey
Norman
Holdings,
Ltd.
81,782
3,200
Isetan
Mitsukoshi
Holdings,
Ltd.
51,892
1,000
Izumi
Co.,
Ltd.
22,929
9,100
J.
Front
Retailing
Co.,
Ltd.
101,054
3,100
Mercari,
Inc.*
39,496
30,000
Metro
Holdings,
Ltd.
10,890
Shares
Value
Common
Stocks,
continued
Broadline
Retail,
continued
47,139
Myer
Holdings,
Ltd.
$
25,059
1,879
Next
plc
219,342
3,400
Pan
Pacific
International
Holdings
Corp.
90,403
6,146
Prosus
NV
192,566
1,591
Puuilo
Oyj
16,999
6,100
Rakuten
Group,
Inc.
34,619
4,700
Ryohin
Keikaku
Co.,
Ltd.
76,901
1,600
Seria
Co.,
Ltd.
31,606
4,500
Takashimaya
Co.,
Ltd.
71,753
24,280
THG
plc*
21,200
2,195
Tokmanni
Group
Corp.
35,943
3,646
Warehouse
Group,
Ltd.
(The)
3,376
7,709
Wesfarmers,
Ltd.
343,843
4,000
Wing
On
Co.
International,
Ltd.
6,122
2,183,140
Building
Products
(1.1%):
3,300
AGC,
Inc.
119,678
2,028
Arbonia
AG
27,124
3,060
Assa
Abloy
AB,
Class
B
87,794
225
Belimo
Holding
AG,
Class
R
110,323
2,400
Bunka
Shutter
Co.,
Ltd.
26,974
1,706
Carel
Industries
SpA(a)
37,439
1,800
Central
Glass
Co.,
Ltd.
33,931
4,637
Cie
de
Saint-Gobain
SA
359,531
1,900
Daikin
Industries,
Ltd.
259,935
130
dormakaba
Holding
AG
68,380
17,426
Fletcher
Building,
Ltd.
42,896
44
Forbo
Holding
AG,
Registered
Shares
56,215
491
Geberit
AG,
Registered
Shares
290,166
5,784
Genuit
Group
plc
32,160
12,753
GWA
Group,
Ltd.
22,269
7,079
Inrom
Construction
Industries,
Ltd.
22,552
2,938
Inwido
AB
40,032
5,198
James
Halstead
plc
13,194
2,056
Kingspan
Group
plc
187,139
2,281
Lindab
International
AB
48,932
8,200
Lixil
Corp.
100,915
687
LU-VE
SpA
17,116
297
Meier
Tobler
Group
AG
11,083
1,773
Munters
Group
AB(a)
31,799
2,170
Nibe
Industrier
AB,
Class
B
10,655
2,400
Nichias
Corp.
64,165
1,100
Nichiha
Corp.
24,834
4,900
Nippon
Sheet
Glass
Co.,
Ltd.*
16,728
2
Norcros
plc
5
1,552
Nordic
Waterproofing
Holding
AB
23,786
1,500
Noritz
Corp.
17,181
1,400
Okabe
Co.,
Ltd.
7,207
27,554
Reliance
Worldwide
Corp.,
Ltd.
103,564
238
ROCKWOOL
A/S,
Class
A
77,477
329
ROCKWOOL
A/S,
Class
B
108,605
1,900
Sankyo
Tateyama,
Inc.
11,856
6,000
Sanwa
Holdings
Corp.
104,761
47
Schweiter
Technologies
AG
26,468
700
Sekisui
Jushi
Corp.
10,860
900
Shin
Nippon
Air
Technologies
Co.,
Ltd.
19,952
1,800
Sinko
Industries,
Ltd.
45,482
3,824
Systemair
AB
27,287
1,800
Takara
Standard
Co.,
Ltd.
22,766
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
5
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Building
Products,
continued
1,400
Takasago
Thermal
Engineering
Co.,
Ltd.
$
44,548
1,500
TOTO,
Ltd.
42,088
7,093
Tyman
plc
25,889
3,919
Volution
Group
plc
21,517
42,797
Xinyi
Glass
Holdings,
Ltd.
45,534
533
Zehnder
Group
AG,
Registered
Shares
35,311
2,986,103
Capital
Markets
(3.1%):
14,575
3i
Group
plc
516,199
24,792
ABG
Sundal
Collier
Holding
ASA
13,947
59,785
abrdn
plc
106,636
3,200
AGF
Management,
Ltd.,
Class
B
19,374
1,600
Aizawa
Securities
Group
Co.,
Ltd.
12,626
8,821
AJ
Bell
plc
33,644
2,161
Allfunds
Group
plc
15,625
903
Altamir
23,862
912
Amundi
SA(a)
62,564
7,128
Anima
Holding
SpA(a)
33,832
13,034
Ashmore
Group
plc
32,159
921
ASX,
Ltd.
39,856
4,100
Australian
Ethical
Investment,
Ltd.
13,180
2,170
Avanza
Bank
Holding
AB
46,746
3,117
Azimut
Holding
SpA
84,663
1,895
Banca
Generali
SpA
75,314
521
Bellevue
Group
AG,
Class
BR
12,188
5,672
Bridgepoint
Group
plc(a)
18,591
614
Brookfield
Corp.
25,708
3,300
Brookfield
Corp.
138,101
563
Brooks
Macdonald
Group
plc
12,837
1,962
Bure
Equity
AB
62,804
2,497
Canaccord
Genuity
Group,
Inc.
16,408
5,626
CI
Financial
Corp.
71,945
120
Cie
Financiere
Tradition
SA,
Class
BR
18,305
5,668
CMC
Markets
plc(a)
15,569
13,000
Daiwa
Securities
Group,
Inc.
98,946
5,196
Deutsche
Bank
AG,
Registered
Shares
81,941
25,588
Deutsche
Bank
AG,
Registered
Shares
402,423
552
Deutsche
Beteiligungs
AG
15,337
1,574
Deutsche
Boerse
AG
322,012
1,167
DWS
Group
GmbH
&
Co.
KGaA(a)
51,328
4,307
EFG
International
AG
53,776
170
eQ
Oyj
2,513
868
EQT
Holdings,
Ltd.
16,625
1,799
Euronext
NV(a)
171,084
4,000
Fiera
Capital
Corp.
24,395
3,587
flatexDEGIRO
AG*
40,227
838
Flow
Traders,
Ltd.
16,506
5,224
GAM
Holding
AG*
1,515
2,674
Georgia
Capital
plc*
44,765
896
Gimv
NV
42,987
2,400
GMO
Financial
Holdings,
Inc.
12,501
1,175
Guardian
Capital
Group,
Ltd.,
Class
A
41,451
142,000
Guotai
Junan
International
Holdings,
Ltd.
9,620
11,864
Hargreaves
Lansdown
plc
110,337
7,794
Hong
Kong
Exchanges
&
Clearing,
Ltd.
227,328
1,131
HUB24,
Ltd.
31,262
5,100
iFAST
Corp.,
Ltd.
25,187
13,629
IG
Group
Holdings
plc
125,478
1,732
IGM
Financial,
Inc.
44,668
Shares
Value
Common
Stocks,
continued
Capital
Markets,
continued
4,298
Impax
Asset
Management
Group
plc
$
25,272
27,344
Insignia
Financial,
Ltd.
45,054
6,881
IntegraFin
Holdings
plc
24,114
5,334
Intermediate
Capital
Group
plc
138,584
14,474
Investec
plc
96,956
49,718
IP
Group
plc
29,834
1,700
IwaiCosmo
Holdings,
Inc.
24,992
3,400
JAFCO
Group
Co.,
Ltd.
42,058
7,500
Japan
Exchange
Group,
Inc.
203,143
5,624
Julius
Baer
Group,
Ltd.
324,701
17,082
Jupiter
Fund
Management
plc
19,088
800
Kyokuto
Securities
Co.,
Ltd.
8,419
2,122
Liontrust
Asset
Management
plc
18,039
1,458
London
Stock
Exchange
Group
plc
174,602
500
M&A
Capital
Partners
Co.,
Ltd.
7,394
1,600
Macquarie
Group,
Ltd.
208,194
4,885
Magellan
Financial
Group,
Ltd.
31,578
42,213
Man
Group
plc
142,637
2,300
Marusan
Securities
Co.,
Ltd.
16,278
6,300
Matsui
Securities
Co.,
Ltd.
34,368
2,900
Mito
Securities
Co.,
Ltd.
9,449
3,035
MLP
SE
18,365
5,700
Monex
Group,
Inc.
33,882
376
Mutares
SE
&
Co.
KGaA
14,965
4,905
Navigator
Global
Investments,
Ltd.
5,239
5,471
Netwealth
Group,
Ltd.
75,450
17,199
Ninety
One
plc
37,008
19,100
Nomura
Holdings,
Inc.
122,207
1,900
Nordnet
AB
(publ)
34,834
16,993
NZX,
Ltd.
10,680
7,300
Okasan
Securities
Group,
Inc.
38,962
2,347
Onex
Corp.
175,834
299
Partners
Group
Holding
AG
427,330
2,699
Perpetual,
Ltd.
44,238
4,165
Pinnacle
Investment
Management
Group,
Ltd.
31,564
11,593
Platinum
Asset
Management,
Ltd.
8,179
2,595
Polar
Capital
Holdings
plc
14,916
38,911
Quilter
plc(a)
52,589
942
Rathbones
Group
plc
18,427
9,785
Ratos
AB,
B
Shares
32,141
3,700
SBI
Holdings,
Inc.
96,986
14,703
Schroders
plc
70,032
11,400
Singapore
Exchange,
Ltd.
77,880
840
Sparx
Group
Co.,
Ltd.
10,442
700
Sprott,
Inc.
25,831
5,100
St
James's
Place
plc
30,003
700
Strike
Co.,
Ltd.
22,414
420
Swissquote
Group
Holding
SA,
Registered
Shares
117,928
2,584
Tamburi
Investment
Partners
SpA
27,730
4,279
Tel
Aviv
Stock
Exchange,
Ltd.
28,898
1,383
Tikehau
Capital
SCA
30,360
2,055
TMX
Group,
Ltd.
54,212
8,500
Tokai
Tokyo
Financial
Holdings,
Inc.
33,831
4,000
Toyo
Securities
Co.,
Ltd.
10,535
37,521
TP
ICAP
Group
plc
106,707
22,703
UBS
Group
AG
697,866
337
UBS
Group
AG
10,353
21,420
UOB-Kay
Hian
Holdings,
Ltd.
21,895
22,000
Value
Partners
Group,
Ltd.
5,039
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
6
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Capital
Markets,
continued
1,528
Van
Lanschot
Kempen
NV
$
51,876
1,065
Vontobel
Holding
AG,
Class
R
64,573
245
VP
Bank
AG,
Class
A
25,484
393
VZ
Holding
AG
47,929
8,027,263
Chemicals
(3.5%):
900
Achilles
Corp.
9,134
1,800
Aica
Kogyo
Co.,
Ltd.
44,000
1,597
Air
Liquide
SA
332,771
6,800
Air
Water,
Inc.
106,478
1,770
Akzo
Nobel
NV
132,000
700
Arakawa
Chemical
Industries,
Ltd.
5,365
11,725
Arcadium
Lithium
plc*
51,802
2,166
Arkema
SA
227,808
1,200
Artience
Co.,
Ltd.
23,275
22,100
Asahi
Kasei
Corp.
161,891
1,100
ASAHI
YUKIZAI
Corp.
38,349
8,854
BASF
SE
505,544
1,939
Borregaard
ASA
33,804
400
C
Uyemura
&
Co.,
Ltd.
27,290
52,400
China
Sunsine
Chemical
Holdings,
Ltd.
15,337
1,400
Chugoku
Marine
Paints,
Ltd.
20,628
1,600
CI
Takiron
Corp.
7,112
4,288
Clariant
AG,
Registered
Shares
57,956
839
Corbion
NV
17,953
4,070
Covestro
AG*(a)
222,624
885
Croda
International
plc
54,879
1,000
Dai
Nippon
Toryo
Co.,
Ltd.
7,750
8,200
Daicel
Corp.
80,972
900
Dainichiseika
Color
&
Chemicals
Manufacturing
Co.,
Ltd.
17,567
3,200
Denka
Co.,
Ltd.
49,869
3,300
DIC
Corp.
63,019
1,349
DSM-Firmenich
AG
153,266
18,377
Elementis
plc*
34,373
13,127
Elkem
ASA(a)
25,916
30
EMS-Chemie
Holding
AG
23,012
8,516
Ercros
SA
32,244
9,485
Essentra
plc
21,074
6,520
Evonik
Industries
AG
128,883
1,150
FUCHS
SE
45,158
300
Fujimori
Kogyo
Co.,
Ltd.
8,476
700
Fuso
Chemical
Co.,
Ltd.
21,308
49
Givaudan
SA,
Registered
Shares
218,970
200
Gurit
Holding
AG,
Class
BR*
14,718
3,671
Hexpol
AB
44,800
700
Hodogaya
Chemical
Co.,
Ltd.
16,565
11,659
ICL
Group,
Ltd.
61,763
71,308
Incitec
Pivot,
Ltd.
134,274
1,500
Ishihara
Sangyo
Kaisha,
Ltd.
17,146
1,000
JCU
Corp.
25,420
4,352
Johnson
Matthey
plc
98,192
700
JSP
Corp.
10,444
1,200
JSR
Corp.
34,335
1,900
Kaneka
Corp.
47,273
2,800
Kansai
Paint
Co.,
Ltd.
40,115
3,300
Kanto
Denka
Kogyo
Co.,
Ltd.
21,986
600
KeePer
Technical
Laboratory
Co.,
Ltd.
19,705
1,600
KEIWA,
Inc.
12,039
Shares
Value
Common
Stocks,
continued
Chemicals,
continued
2,983
Kemira
Oyj
$
56,353
1,400
KH
Neochem
Co,
Ltd.
21,177
1,500
Koatsu
Gas
Kogyo
Co.,
Ltd.
8,906
2,000
Konishi
Co.,
Ltd.
20,323
3,400
Kumiai
Chemical
Industry
Co.,
Ltd.
18,580
11,400
Kuraray
Co.,
Ltd.
122,087
1,800
Kureha
Corp.
32,448
2,747
LANXESS
AG
73,517
549
Lenzing
AG*
18,965
1,300
Lintec
Corp.
26,813
400
MEC
Co.,
Ltd.
10,690
929
Methanex
Corp.
41,461
1,100
Methanex
Corp.
49,031
42,800
Mitsubishi
Chemical
Group
Corp.
260,738
4,600
Mitsubishi
Gas
Chemical
Co.,
Inc.
77,233
2,600
Mitsui
Chemicals,
Inc.
76,251
12,400
Nanofilm
Technologies
International,
Ltd.
6,571
800
Nihon
Kagaku
Sangyo
Co.,
Ltd.
7,561
2,300
Nihon
Nohyaku
Co.,
Ltd.
12,185
2,600
Nihon
Parkerizing
Co.,
Ltd.
20,929
600
Nippon
Chemical
Industrial
Co.,
Ltd.
9,350
3,100
Nippon
Kayaku
Co.,
Ltd.
26,573
2,100
Nippon
Paint
Holdings
Co.,
Ltd.
15,107
1,000
Nippon
Pillar
Packing
Co.,
Ltd.
40,621
3,100
Nippon
Sanso
Holdings
Corp.
97,331
2,800
Nippon
Shokubai
Co.,
Ltd.
27,329
800
Nippon
Soda
Co.,
Ltd.
31,994
1,900
Nissan
Chemical
Corp.
72,006
1,900
Nitto
Denko
Corp.
173,657
2,700
NOF
Corp.
36,956
5,423
Novonesis
(Novozymes)
B
318,337
16,188
Nufarm,
Ltd.
58,174
3,137
Nutrien,
Ltd.
170,370
8,231
Nutrien,
Ltd.
447,223
2,984
OCI
NV
81,656
500
Okamoto
Industries,
Inc.
16,269
600
Okura
Industrial
Co.,
Ltd.
12,257
15,737
Orica,
Ltd.
187,562
900
Osaka
Organic
Chemical
Industry,
Ltd.
18,981
400
Osaka
Soda
Co.,
Ltd.
25,408
1,958
Recticel
SA
23,064
3,600
Resonac
Holdings
Corp.
83,883
2,800
Riken
Technos
Corp.
18,318
500
Sakai
Chemical
Industry
Co.,
Ltd.
6,339
2,400
Sakata
INX
Corp.
25,011
700
Sanyo
Chemical
Industries,
Ltd.
19,519
900
Sekisui
Kasei
Co.,
Ltd.
2,978
1,100
Shikoku
Kasei
Holdings
Corp.
12,822
14,500
Shin-Etsu
Chemical
Co.,
Ltd.
636,285
1,800
Shin-Etsu
Polymer
Co.,
Ltd.
18,317
1,005
Sika
AG,
Registered
Shares
299,295
1,125
SOL
SpA
40,229
3,243
Solvay
SA,
Class
A
88,532
400
Stella
Chemifa
Corp.
9,684
1,800
Sumitomo
Bakelite
Co.,
Ltd.
54,240
21,900
Sumitomo
Chemical
Co.,
Ltd.
47,501
300
Sumitomo
Seika
Chemicals
Co.,
Ltd.
10,010
3,243
Syensqo
SA*
306,996
682
Symrise
AG
81,631
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
7
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Chemicals,
continued
4,585
Synthomer
plc*
$
15,032
700
T
Hasegawa
Co.,
Ltd.
14,091
1,800
Taiyo
Holdings
Co.,
Ltd.
39,660
600
Takasago
International
Corp.
13,627
2,100
Tanaka
Chemical
Corp.^
13,917
600
Tayca
Corp.
6,024
6,900
Teijin,
Ltd.
62,627
500
Tenma
Corp.
7,475
625
Tessenderlo
Group
SA
16,352
2,400
Toagosei
Co.,
Ltd.
25,125
7,500
Tokai
Carbon
Co.,
Ltd.
49,701
2,200
Tokuyama
Corp.
38,509
1,000
Tokyo
Ohka
Kogyo
Co.,
Ltd.
30,338
20,600
Toray
Industries,
Inc.
98,972
4,700
Tosoh
Corp.
63,828
3,400
Toyobo
Co.,
Ltd.
24,995
2,500
UBE
Corp.
44,534
6,147
Umicore
SA
132,478
700
Valqua,
Ltd.
23,426
2,109
Victrex
plc
34,571
473
Wacker
Chemie
AG
53,347
1,291
Yara
International
ASA
40,921
4,100
Zeon
Corp.
35,688
9,125,504
Commercial
Services
&
Supplies
(1.2%):
800
Aeon
Delight
Co.,
Ltd.
18,566
84,323
AMA
Group,
Ltd.*
3,022
1,123
Befesa
SA(a)
38,622
896
Bilfinger
SE
41,846
1,670
Black
Diamond
Group,
Ltd.
11,036
600
Boyd
Group
Services,
Inc.
126,875
20,065
Brambles,
Ltd.
211,518
3,798
Bravida
Holding
AB(a)
33,232
200
Calian
Group,
Ltd.
8,387
300
Central
Security
Patrols
Co.,
Ltd.
5,236
338
Cewe
Stiftung
&
Co.
KGaA
37,482
45,478
Cleanaway
Waste
Management,
Ltd.
80,597
3,808
Coor
Service
Management
Holding
AB(a)
17,836
2,400
CTS
Co.,
Ltd.
12,519
2,500
Dai
Nippon
Printing
Co.,
Ltd.
76,637
1,100
Daiseki
Co.,
Ltd.
26,856
6,041
De
La
Rue
plc*
6,227
3,731
Derichebourg
SA
17,701
2,180
Dexterra
Group,
Inc.
8,933
262
DO
&
CO
AG
39,097
25,522
Downer
EDI,
Ltd.
85,079
1,100
Duskin
Co.,
Ltd.
23,453
12,359
Element
Fleet
Management
Corp.
199,748
7,916
Elis
SA
179,739
300
GDI
Integrated
Facility
Services,
Inc.*
8,685
2,400
GFL
Environmental,
Inc.
82,770
435
GL
Events
SACA
8,952
900
Inaba
Seisakusho
Co.,
Ltd.
10,769
2,297
Intrum
AB^
5,329
1,400
Inui
Global
Logistics
Co.,
Ltd.
9,853
6,544
ISS
A/S
119,330
1,800
Itoki
Corp.
20,641
1,900
Japan
Elevator
Service
Holdings
Co.,
Ltd.
31,014
14,225
Johnson
Service
Group
plc
23,581
Shares
Value
Common
Stocks,
continued
Commercial
Services
&
Supplies,
continued
1,700
Kokuyo
Co.,
Ltd.
$
27,762
400
Kyodo
Printing
Co.,
Ltd.
9,053
2,302
Lassila
&
Tikanoja
Oyj
21,852
2,739
Loomis
AB
76,382
700
Matsuda
Sangyo
Co.,
Ltd.
11,335
5,449
Mears
Group
plc
25,352
39,904
Mitie
Group
plc
52,821
600
Mitsubishi
Pencil
Co.,
Ltd.
10,049
2,800
NAC
Co.,
Ltd.
9,869
15,900
Nippon
Parking
Development
Co.,
Ltd.
21,259
1,600
Okamura
Corp.
23,561
1,100
Oyo
Corp.
15,999
4,100
Park24
Co.,
Ltd.*
48,297
1,100
Pilot
Corp.
28,565
491
Pluxee
NV*
14,512
2,400
Prestige
International,
Inc.
10,821
22,243
Prosegur
Cash
SA(a)
11,494
581
RB
Global,
Inc.
44,257
4,183
Renewi
plc*
30,368
8,156
Rentokil
Initial
plc
48,663
900
Sato
Holdings
Corp.
13,773
952
Sdiptech
AB*
23,178
95
Seche
Environnement
SACA
11,599
700
Secom
Co.,
Ltd.
50,764
7,485
Securitas
AB,
Class
B
77,111
26,399
Serco
Group
plc
63,270
3,154
Smart
Metering
Systems
plc
37,890
895
Societe
BIC
SA
63,906
11,000
Sohgo
Security
Services
Co.,
Ltd.
59,692
4,783
SPIE
SA
179,560
700
Studio
Alice
Co.,
Ltd.
9,531
1,300
Takara
&
Co.,
Ltd.
23,844
1,817
Takkt
AG
26,222
3,880
TOPPAN
Holdings,
Inc.
97,242
2,000
TRE
Holdings
Corp.
15,916
800
Waste
Connections,
Inc.
137,549
418
Waste
Connections,
Inc.
71,900
3,136,386
Communications
Equipment
(0.3%):
2,301
ADTRAN
Holdings,
Inc.
12,517
485
Adtran
Networks
SE*
10,443
700
Aiphone
Co.,
Ltd.
14,037
700
DKK
Co.,
Ltd.
9,875
700
Evertz
Technologies,
Ltd.
7,660
345
EVS
Broadcast
Equipment
SA
12,404
1,021
HMS
Networks
AB
44,217
500
Icom,
Inc.
11,248
40,815
Nokia
Oyj
144,389
23,787
Nokia
Oyj,
ADR
84,206
10,200
Quarterhill,
Inc.
14,083
418
RTX
A/S*
5,880
10,363
Spirent
Communications
plc
26,182
684
Telefonaktiebolaget
LM
Ericsson,
Class
A
3,727
43,290
Telefonaktiebolaget
LM
Ericsson,
Class
B
238,336
510
Vantiva
SA*
77
5,700
VTech
Holdings,
Ltd.
34,569
673,850
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
8
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Construction
&
Engineering
(2.0%):
705
Ackermans
&
van
Haaren
NV
$
123,148
4,731
ACS
Actividades
de
Construccion
y
Servicios
SA
197,930
3,353
Aecon
Group,
Inc.
42,111
1,375
AF
Gruppen
ASA
17,640
600
Asanuma
Corp.
15,796
1,130
Ashtrom
Group,
Ltd.
16,733
1,410
Badger
Infrastructure
Solutions,
Ltd.
52,261
16,103
Balfour
Beatty
plc
77,760
1,400
Bird
Construction,
Inc.
19,268
16,800
Boustead
Singapore,
Ltd.
11,952
3,058
Bouygues
SA
124,790
209
Burkhalter
Holding
AG
22,644
4,600
Chiyoda
Corp.*
12,207
1,700
Chudenko
Corp.
33,746
494
Cie
d'Entreprises
CFE
3,815
2,621
COMSYS
Holdings
Corp.
61,294
6,098
Costain
Group
plc
5,765
500
CTI
Engineering
Co.,
Ltd.
16,989
1,000
Dai-Dan
Co.,
Ltd.
15,856
900
Daiho
Corp.
20,514
335
Deme
Group
NV
53,547
2,930
Eiffage
SA
332,157
2,280
Elecnor
SA
47,327
44
Electra,
Ltd./Israel
18,963
7,737
Eltel
AB*(a)
5,222
37,002
Empresas
ICA
SAB
de
CV*(b)
5,200
EXEO
Group,
Inc.
55,093
937
Ferrovial
SE
37,078
440
Fudo
Tetra
Corp.
5,951
4,855
Fugro
NV*
118,893
200
Fukuda
Corp.
7,423
4,363
Galliford
Try
Holdings
plc
13,205
3,400
Hazama
Ando
Corp.
26,487
600
Hibiya
Engineering,
Ltd.
11,704
770
HOCHTIEF
AG
89,458
783
Implenia
AG,
Registered
Shares
28,375
5,936
INFRONEER
Holdings,
Inc.
56,858
5,765
Instalco
AB
22,760
700
Integrated
Design
&
Engineering
Holdings
Co.,
Ltd.
19,966
4,600
JGC
Holdings
Corp.
45,104
5,838
Johns
Lyng
Group,
Ltd.
24,383
4,600
Kajima
Corp.
94,342
3,000
Kandenko
Co.,
Ltd.
34,215
3,807
Keller
Group
plc
50,388
19,638
Kier
Group
plc*
32,650
2,500
Kinden
Corp.
43,503
15,900
Koninklijke
BAM
Groep
NV
60,171
1,929
Koninklijke
Heijmans
NV
35,684
1,600
Kumagai
Gumi
Co.,
Ltd.
43,582
5,316
Maire
Tecnimont
SpA
41,660
31,500
MECOM
Power
and
Construction,
Ltd.*
701
1,700
Meisei
Industrial
Co.,
Ltd.
14,789
3,300
MIRAIT
ONE
Corp.
40,665
3,871
Monadelphous
Group,
Ltd.
35,766
1,922
Morgan
Sindall
Group
plc
56,355
6,701
Mota-Engil
SGPS
SA
34,776
3,087
NCC
AB,
Class
B
42,465
1,000
Nichireki
Co.,
Ltd.
16,510
1,600
Nippon
Densetsu
Kogyo
Co.,
Ltd.
22,115
Shares
Value
Common
Stocks,
continued
Construction
&
Engineering,
continued
500
Nippon
Road
Co.,
Ltd.
(The)
$
6,218
20,879
NRW
Holdings,
Ltd.
39,910
9,700
Obayashi
Corp.
115,235
41,702
Obrascon
Huarte
Lain
SA*
15,747
1,100
Okumura
Corp.
36,550
8,600
Oriental
Shiraishi
Corp.
22,482
3,037
OX2
AB*
13,997
5,969
Peab
AB,
Class
B
37,549
8,700
Penta-Ocean
Construction
Co.,
Ltd.
43,628
726
Per
Aarsleff
Holding
A/S
36,303
1,500
Raito
Kogyo
Co.,
Ltd.
19,953
2,472
Renew
Holdings
plc
28,825
10,282
Sacyr
SA
37,913
1,900
Sanki
Engineering
Co.,
Ltd.
26,412
1,700
Seikitokyu
Kogyo
Co.,
Ltd.
21,050
40,165
Service
Stream,
Ltd.
32,710
16,220
Severfield
plc
11,217
3,211
Shapir
Engineering
and
Industry,
Ltd.
18,353
4,869
Shikun
&
Binui,
Ltd.*
12,066
6,700
Shimizu
Corp.
43,285
1,500
Shinnihon
Corp.
16,403
700
SHO-BOND
Holdings
Co.,
Ltd.
29,398
5,098
Skanska
AB,
Class
B
90,612
1,962
SNC-Lavalin
Group,
Inc.
80,253
1,244
Stantec,
Inc.
103,302
761
Stantec,
Inc.
63,188
67
Strabag
SE*
2,592
267
Strabag
SE,
Class
BR
11,268
600
Sumitomo
Densetsu
Co.,
Ltd.
13,365
6,980
Sumitomo
Mitsui
Construction
Co.,
Ltd.
19,619
3,299
Sweco
AB,
Class
B
37,098
700
Taihei
Dengyo
Kaisha,
Ltd.
21,320
800
Taikisha,
Ltd.
24,929
2,000
Taisei
Corp.
72,810
1,400
Takamatsu
Construction
Group
Co.,
Ltd.
26,061
400
Tekken
Corp.
7,138
3,600
Toa
Corp.
28,867
4,000
TOA
ROAD
Corp.
33,023
1,630
Tobishima
Corp.
15,915
6,900
Toda
Corp.
46,098
400
Toenec
Corp.
15,218
1,000
Tokyo
Energy
&
Systems,
Inc.
8,111
5,100
Tokyu
Construction
Co.,
Ltd.
27,870
1,100
Totetsu
Kogyo
Co.,
Ltd.
21,693
4,300
Toyo
Construction
Co.,
Ltd.
36,868
2,100
Toyo
Engineering
Corp.
13,258
3,936
Veidekke
ASA
42,749
17,920
Ventia
Services
Group
Pty,
Ltd.
44,953
5,634
Vinci
SA
721,548
900
Wakachiku
Construction
Co.,
Ltd.
21,613
5,115
Webuild
SpA
12,367
4,391
Worley,
Ltd.
48,041
1,241
WSP
Global,
Inc.
206,858
1,700
Yahagi
Construction
Co.,
Ltd.
17,394
1,200
Yokogawa
Bridge
Holdings
Corp.
23,151
1,200
Yurtec
Corp.
11,731
5,248,595
Construction
Materials
(1.0%):
13,883
Adbri,
Ltd.*
28,313
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
9
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Construction
Materials,
continued
1,800
Asia
Pile
Holdings
Corp.
$
9,859
8,279
Boral,
Ltd.*^
33,054
4,781
Breedon
Group
plc
23,170
2,976
Brickworks,
Ltd.
55,250
2,616
Buzzi
SpA
102,717
6,726
CRH
plc
580,185
5,942
CRH
plc
512,522
15,999
CSR,
Ltd.
91,959
6,288
Forterra
plc(a)
13,664
1,160
H+H
International
A/S,
Class
B*
11,719
2,383
Heidelberg
Materials
AG
262,086
3,845
Holcim
AG
349,986
13,005
Ibstock
plc(a)
24,740
979
Imerys
SA
33,329
4,832
James
Hardie
Industries
plc*
193,983
1,600
Krosaki
Harima
Corp.
37,174
600
Maeda
Kosen
Co.,
Ltd.
14,378
5,422
Marshalls
plc
18,797
2,500
Nippon
Concrete
Industries
Co.,
Ltd.
6,562
2,500
Shinagawa
Refractories
Co.,
Ltd.
31,430
22,814
SigmaRoc
plc*
19,591
1,500
Sumitomo
Osaka
Cement
Co.,
Ltd.
37,525
3,500
Taiheiyo
Cement
Corp.
80,501
1,300
TYK
Corp.
4,106
998
Vicat
SACA
39,348
2,043
Wienerberger
AG
74,369
2,690,317
Consumer
Finance
(0.3%):
10,300
Acom
Co.,
Ltd.
27,407
4,300
AEON
Financial
Service
Co.,
Ltd.
39,202
7,800
Aiful
Corp.
23,452
8,198
Axactor
ASA*
3,528
1,411
Cembra
Money
Bank
AG
118,085
1,607
Credit
Corp.
Group,
Ltd.
19,423
5,300
Credit
Saison
Co.,
Ltd.
109,281
18,226
FleetPartners
Group,
Ltd.*
44,648
500
goeasy,
Ltd.
58,842
2,616
H&T
Group
plc
12,280
5,740
Hoist
Finance
AB*(a)
28,465
17,800
Hong
Leong
Finance,
Ltd.
32,835
14,415
International
Personal
Finance
plc
19,827
8,929
Isracard,
Ltd.
36,453
5,602
J
Trust
Co.,
Ltd.
16,330
900
Jaccs
Co.,
Ltd.
32,660
2,000
Marui
Group
Co.,
Ltd.
32,009
1,520
Orient
Corp.
10,758
213,600
Oshidori
International
Holdings,
Ltd.*
5,184
2,100
Premium
Group
Co.,
Ltd.
28,430
1,400
Propel
Holdings,
Inc.
17,056
4,452
Resurs
Holding
AB(a)
6,454
9,714
Solvar,
Ltd.
6,791
38,000
Sun
Hung
Kai
&
Co.,
Ltd.
11,665
10,046
Vanquis
Banking
Group
plc
6,685
747,750
Consumer
Staples
Distribution
&
Retail
(2.1%):
702
Acomo
NV
13,294
5,300
Aeon
Co.,
Ltd.
125,652
3,600
Aeon
Hokkaido
Corp.
22,306
Shares
Value
Common
Stocks,
continued
Consumer
Staples
Distribution
&
Retail,
continued
1,000
Ain
Holdings,
Inc.
$
35,981
5,972
Alimentation
Couche-Tard,
Inc.
340,886
1,200
Arcs
Co.,
Ltd.
24,779
1,537
Axfood
AB
44,695
3,200
Axial
Retailing,
Inc.
21,697
600
Belc
Co.,
Ltd.
27,531
14,841
Carrefour
SA
253,947
1,100
Cawachi,
Ltd.
19,202
15,521
Coles
Group,
Ltd.
171,632
2,403
Colruyt
Group
NV
110,813
500
Cosmos
Pharmaceutical
Corp.
47,336
1,300
Create
SD
Holdings
Co.,
Ltd.
28,293
500
Daikokutenbussan
Co.,
Ltd.
31,893
12,300
DFI
Retail
Group
Holdings,
Ltd.
26,461
439
DocMorris
AG*
44,086
5,051
Empire
Co.,
Ltd.
123,366
24,705
Endeavour
Group,
Ltd.
88,692
1,000
G-7
Holdings,
Inc.
9,472
500
Genky
DrugStores
Co.,
Ltd.
21,561
1,093
George
Weston,
Ltd.
147,689
8,123
GrainCorp,
Ltd.,
Class
A
43,630
3,300
H2O
Retailing
Corp.
42,188
500
Halows
Co.,
Ltd.
14,749
1,600
Heiwado
Co.,
Ltd.
21,406
519
HelloFresh
SE*
3,689
10,000
Hong
Kong
Technology
Venture
Co.,
Ltd.*
2,082
200
Itochu-Shokuhin
Co.,
Ltd.
9,501
44,541
J
Sainsbury
plc
152,185
2,634
Jeronimo
Martins
SGPS
SA
52,255
600
JM
Holdings
Co.,
Ltd.
10,865
600
Kato
Sangyo
Co.,
Ltd.
17,991
2,693
Kesko
Oyj,
Class
A
51,000
8,265
Kesko
Oyj,
Class
B
154,295
2,100
Kobe
Bussan
Co.,
Ltd.
51,445
15,019
Koninklijke
Ahold
Delhaize
NV
449,004
500
Lawson,
Inc.
34,176
800
Life
Corp.
20,508
1,699
Loblaw
Cos.,
Ltd.
188,290
215
M
Yochananof
&
Sons,
Ltd.
10,365
89,548
Marks
&
Spencer
Group
plc
300,069
2,340
MatsukiyoCocokara
&
Co.
37,589
25,735
Metcash,
Ltd.
65,562
4,561
METRO
AG
24,821
3,017
Metro,
Inc.
161,988
600
Ministop
Co.,
Ltd.
6,001
900
Mitsubishi
Shokuhin
Co.,
Ltd.
33,105
1,200
Nihon
Chouzai
Co.,
Ltd.
12,393
700
Nishimoto
Co.,
Ltd.
27,685
1,801
North
West
Co.,
Inc.
(The)
52,192
2,123
Ocado
Group
plc*
12,230
1,100
Oisix
ra
daichi,
Inc.*
9,382
3,500
Okuwa
Co.,
Ltd.
21,932
10,925
Olam
Group,
Ltd.
9,057
1,200
Qol
Holdings
Co.,
Ltd.
13,739
337
Rami
Levy
Chain
Stores
Hashikma
Marketing
2006,
Ltd.
20,270
1,000
Retail
Partners
Co.,
Ltd.
12,274
600
San-A
Co.,
Ltd.
18,568
36,600
Seven
&
i
Holdings
Co.,
Ltd.
532,811
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
10
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Consumer
Staples
Distribution
&
Retail,
continued
28,900
Sheng
Siong
Group,
Ltd.
$
32,752
4,880
Shufersal,
Ltd.*
34,246
1,454
Sligro
Food
Group
NV
21,990
38,447
Sonae
SGPS
SA
36,479
3,000
Sugi
Holdings
Co.,
Ltd.
51,209
2,200
Sundrug
Co.,
Ltd.
68,241
99,925
Tesco
plc
373,854
700
Tsuruha
Holdings,
Inc.
49,946
2,100
United
Super
Markets
Holdings,
Inc.
13,834
2,200
Valor
Holdings
Co.,
Ltd.
35,944
1,400
Watahan
&
Co.,
Ltd.
14,360
2,600
Welcia
Holdings
Co.,
Ltd.
44,205
8,899
Woolworths
Group,
Ltd.
192,326
800
YAKUODO
Holdings
Co.,
Ltd.
13,898
700
Yamatane
Corp.
13,687
700
Yaoko
Co.,
Ltd.
42,034
2,800
Yokorei
Co.,
Ltd.
19,044
5,540,605
Containers
&
Packaging
(0.7%):
5,896
Billerud
Aktiebolag
52,864
4,231
Cascades,
Inc.
30,895
2,283
CCL
Industries,
Inc.
116,695
2,123
Corticeira
Amorim
SGPS
SA
22,506
49,509
DS
Smith
plc
247,593
2,100
FP
Corp.
38,114
1,900
Fuji
Seal
International,
Inc.
24,919
1,000
Hokkan
Holdings,
Ltd.
12,367
4,029
Huhtamaki
Oyj
168,760
282
Mayr
Melnhof
Karton
AG
35,104
4,993
Metsa
Board
Oyj
37,815
47,019
Orora,
Ltd.
83,388
500
Pack
Corp.
(The)
12,428
5,300
Rengo
Co.,
Ltd.
40,393
7,692
SIG
Group
AG
170,567
9,501
Smurfit
Kappa
Group
plc
433,354
500
Taisei
Lamick
Co.,
Ltd.
9,750
600
Tomoku
Co.,
Ltd.
10,431
3,900
Toyo
Seikan
Group
Holdings,
Ltd.
61,434
3,570
Transcontinental,
Inc.,
Class
A
38,773
3,356
Verallia
SA(a)
130,405
750
Vetropack
Holding
AG
27,078
413
Vidrala
SA
42,861
800
Winpak,
Ltd.
23,946
840
Zignago
Vetro
SpA
12,011
1,884,451
Distributors
(0.1%):
1,200
Arata
Corp.
25,522
13,299
Bapcor,
Ltd.
54,779
1,000
Central
Automotive
Products,
Ltd.
38,139
143
D'ieteren
Group
31,689
1,000
Doshisha
Co.,
Ltd.
13,786
4,313
Headlam
Group
plc
9,570
10,557
Inchcape
plc
96,610
500
Media
Do
Co.,
Ltd.
4,940
1,000
PALTAC
Corp.
26,538
85
Tadiran
Group,
Ltd.
6,869
308,442
Shares
Value
Common
Stocks,
continued
Diversified
Consumer
Services
(0.2%):
3,986
AcadeMedia
AB(a)
$
18,080
900
Aucnet,
Inc.
14,434
2,060
Auction
Technology
Group
plc*
16,096
33,000
EC
Healthcare
5,534
44,648
G8
Education,
Ltd.
34,912
1,700
IBJ,
Inc.
6,077
3,637
IDP
Education,
Ltd.
42,448
1,200
LITALICO,
Inc.
16,617
17,243
ME
GROUP
INTERNATIONAL
plc
36,238
1,700
Park
Lawn
Corp.
20,961
2,872
Pearson
plc,
ADR
37,796
10,656
Pearson
plc
140,049
25,000
Perfect
Medical
Health
Management,
Ltd.
10,227
900
QB
Net
Holdings
Co.,
Ltd.
7,278
2,600
Riso
Kyoiku
Co.,
Ltd.
3,784
410,531
Diversified
Telecommunication
Services
(2.1%):
492
BCE,
Inc.
16,718
500
BCE,
Inc.
16,993
28,186
Bezeq
The
Israeli
Telecommunication
Corp.,
Ltd.
36,262
219,345
BT
Group
plc
303,454
2,538
Cellnex
Telecom
SA(a)
89,729
9,678
Chorus,
Ltd.
44,464
90,000
CITIC
Telecom
International
Holdings,
Ltd.
29,105
400
Cogeco,
Inc.
16,804
50,555
Deutsche
Telekom
AG
1,227,065
3,228
Elisa
Oyj
143,984
1,192
Eurotelesites
AG
4,751
2,209
Gamma
Communications
plc
38,133
14,874
Helios
Towers
plc*
17,810
27,500
HKBN,
Ltd.
10,295
121,295
HKT
Trust
&
HKT,
Ltd.
141,503
3,276
Infrastrutture
Wireless
Italiane
SpA(a)
37,213
2,700
Internet
Initiative
Japan,
Inc.
50,421
78,477
Koninklijke
KPN
NV
293,429
41,300
NETLINK
NBN
TRUST
26,152
147,500
Nippon
Telegraph
&
Telephone
Corp.
175,627
8,252
NOS
SGPS
SA
32,269
62,379
Orange
SA
732,706
628
Ovzon
AB*
782
143,202
PCCW,
Ltd.
70,843
4,024
Proximus
SADP
32,542
2,826
Quebecor,
Inc.,
Class
B
61,949
4,571
RAI
Way
SpA(a)
25,591
22,500
Singapore
Telecommunications,
Ltd.
42,178
12,201
Spark
New
Zealand,
Ltd.
34,720
12,209
Superloop,
Ltd.*
10,753
721
Swisscom
AG,
Registered
Shares
440,859
144,076
Telecom
Italia
SpA,
Savings
Share*
35,434
354,298
Telecom
Italia
SpA/Milano*
85,756
144,059
Telefonica
SA
636,407
4,768
Telekom
Austria
AG
39,862
3,510
Telenor
ASA
39,053
43,266
Telia
Co.
AB
110,898
37,885
Telstra
Group,
Ltd.
95,352
680
TELUS
Corp.
10,880
11,015
TPG
Telecom,
Ltd.
32,368
7,091
Tuas,
Ltd.*
18,065
900
U-Next
Holdings
Co.,
Ltd.
30,841
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
11
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Diversified
Telecommunication
Services,
continued
3,213
United
Internet
AG
$
72,299
1,900
Vision,
Inc.*
15,352
5,427,671
Electric
Utilities
(1.1%):
620
Acciona
SA
75,485
334
BKW
AG
51,258
6,100
Chubu
Electric
Power
Co.,
Inc.
79,575
3,800
Chugoku
Electric
Power
Co.,
Inc.
(The)
28,570
7,000
CK
Infrastructure
Holdings,
Ltd.
40,966
8,564
CLP
Holdings,
Ltd.
68,280
8,510
Contact
Energy,
Ltd.
43,961
28,319
EDP
-
Energias
de
Portugal
SA
110,462
324
Elia
Group
SA/NV
35,020
2,600
Emera,
Inc.
91,511
4,828
Endesa
SA
89,482
75,038
Enel
SpA
495,294
240
Energiedienst
Holding
AG,
Registered
Shares
10,526
1,538
EVN
AG
40,700
1,708
Fortis,
Inc.
67,483
3,068
Fortis,
Inc.
121,234
9,055
Fortum
Oyj^
111,739
17,413
Genesis
Energy,
Ltd.
25,585
64,500
HK
Electric
Investments
&
HK
Electric
Investments,
Ltd.
40,299
7,700
Hokkaido
Electric
Power
Co.,
Inc.
42,040
3,500
Hokuriku
Electric
Power
Co.
18,586
3,200
Hydro
One,
Ltd.(a)
93,325
18,122
Iberdrola
SA
224,969
4,900
Kansai
Electric
Power
Co.,
Inc.
(The)
69,825
7,200
Kyushu
Electric
Power
Co.,
Inc.
64,544
3,464
Manawa
Energy,
Ltd.
9,416
1,800
Okinawa
Electric
Power
Co.,
Inc.
(The)
13,647
20,290
Origin
Energy,
Ltd.
121,665
744
Orsted
AS(a)
41,896
12,000
Power
Assets
Holdings,
Ltd.
70,228
5,809
Redeia
Corp.
SA
99,161
275
Romande
Energie
Holding
SA,
Registered
Shares
16,408
3,300
Shikoku
Electric
Power
Co.,
Inc.
25,810
4,242
SSE
plc
88,432
13,299
Terna
-
Rete
Elettrica
Nazionale
110,273
8,300
Tohoku
Electric
Power
Co.,
Inc.
64,871
14,400
Tokyo
Electric
Power
Co.
Holdings,
Inc.*
87,568
667
Verbund
AG
48,836
2,938,930
Electrical
Equipment
(1.3%):
14,392
ABB,
Ltd.,
Registered
Shares
668,083
3,582
Accelleron
Industries
AG
134,068
138
Alfen
N.V.*(a)
7,440
235
AQ
Group
AB
11,748
6,056
Ballard
Power
Systems,
Inc.*
16,857
38
Carlo
Gavazzi
Holding
AG,
Registered
Shares
13,696
600
Chiyoda
Integre
Co.,
Ltd.
11,010
700
Daihen
Corp.
43,625
1,300
Denyo
Co.,
Ltd.
20,172
947
DiscoverIE
Group
plc
9,030
299
Energiekontor
AG
20,672
5,261
Fagerhult
Group
AB
36,304
1,900
Fuji
Electric
Co.,
Ltd.
127,411
Shares
Value
Common
Stocks,
continued
Electrical
Equipment,
continued
6,000
Fujikura,
Ltd.
$
88,714
2,400
Furukawa
Electric
Co.,
Ltd.
50,647
1,200
Futaba
Corp.
4,108
485
GARO
AB
1,518
2,800
GS
Yuasa
Corp.
58,233
3,993
Hexatronic
Group
AB
12,276
400
Hirakawa
Hewtech
Corp.
3,565
493
Huber
+
Suhner
AG,
Registered
Shares
41,655
1,600
Idec
Corp./Japan
28,247
1,635
Legrand
SA
172,956
2,000
Mabuchi
Motor
Co.,
Ltd.
36,432
892
Mersen
SA
35,041
8,600
Mitsubishi
Electric
Corp.
144,168
15,831
NEL
ASA*
7,127
971
Nexans
SA
101,365
900
NIDEC
Corp.
37,155
500
Nippon
Carbon
Co.,
Ltd.
17,526
1,500
Nitto
Kogyo
Corp.
41,266
2,233
NKT
A/S*
184,890
863
Nordex
SE*
11,318
17
Phoenix
Mecano
AG,
Registered
Shares
8,597
995
PNE
AG
14,380
1,368
Prysmian
SpA
71,434
400
Sanyo
Denki
Co.,
Ltd.
18,695
1,538
Schneider
Electric
SE
347,744
1,000
SEC
Carbon,
Ltd.
17,475
2,150
SGL
Carbon
SE*
16,128
9,904
Siemens
Energy
AG*
181,680
4,888
Signify
NV(a)
150,503
1,000
Sinfonia
Technology
Co.,
Ltd.
20,510
1,500
SWCC
Corp.
37,544
900
Takaoka
Toko
Co.,
Ltd.
15,106
1,055
Tera
Light,
Ltd.*
2,280
1,412
TKH
Group
NV
60,082
2,200
Ushio,
Inc.
28,114
5,395
Vestas
Wind
Systems
A/S*
149,892
4,251
Volex
plc
15,477
3,353,964
Electronic
Equipment,
Instruments
&
Components
(1.6%):
2,100
A&D
HOLON
Holdings
Co.,
Ltd.
40,509
600
Ai
Holdings
Corp.
9,657
5,560
Alps
Alpine
Co.,
Ltd.
43,756
247
ALSO
Holding
AG,
Registered
Shares
64,090
1,800
Amano
Corp.
45,947
619
Arad,
Ltd.
8,764
1,200
Arisawa
Manufacturing
Co.,
Ltd.
8,941
883
AT&S
Austria
Technologie
&
Systemtechnik
AG^
18,414
1,100
Azbil
Corp.
30,450
868
Barco
NV
14,293
675
Basler
AG
7,861
900
Canon
Electronics,
Inc.
14,579
1,300
Canon
Marketing
Japan,
Inc.
38,307
4,904
Celestica,
Inc.*
220,361
157
Cicor
Technologies,
Ltd.,
Registered
Shares*
8,950
5,800
Citizen
Watch
Co.,
Ltd.
38,170
3,400
CMK
Corp.
13,901
3,981
Codan,
Ltd./Australia
28,194
198
Comet
Holding
AG,
Class
R
68,968
10,000
Cowell
e
Holdings,
Inc.*
23,931
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
12
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Electronic
Equipment,
Instruments
&
Components,
continued
1,400
Daiwabo
Holdings
Co.,
Ltd.
$
23,427
1,500
Dexerials
Corp.
65,464
4,918
Dicker
Data,
Ltd.
34,534
17,772
Dustin
Group
AB*(a)
20,942
1,100
Elematec
Corp.
13,904
2,721
Esprinet
SpA
15,789
13,329
Fingerprint
Cards
AB,
Class
B*
1,306
113,000
FIT
Hon
Teng,
Ltd.*(a)
28,910
2,100
Furuno
Electric
Co.,
Ltd.
33,993
400
Hagiwara
Electric
Holdings
Co.,
Ltd.
11,765
500
Hakuto
Co.,
Ltd.
18,440
1,602
Halma
plc
47,859
1,600
Hamamatsu
Photonics
KK
56,405
1,373
Hanza
AB
8,531
8,681
Hexagon
AB,
Class
B
102,780
500
Hioki
EE
Corp.
23,652
300
Hirose
Electric
Co.,
Ltd.
30,818
1,200
Hochiki
Corp.
17,201
900
Horiba,
Ltd.
93,659
2,600
Hosiden
Corp.
33,100
1,600
Ibiden
Co.,
Ltd.
71,824
1,122
Incap
Oyj*
11,148
76
Inficon
Holding
AG,
Registered
Shares
111,001
400
I-PEX,
Inc.
4,814
1,000
Iriso
Electronics
Co.,
Ltd.
20,025
1,800
Japan
Aviation
Electronics
Industry,
Ltd.
29,551
1,100
Japan
Cash
Machine
Co.,
Ltd.
9,565
1,027
Jenoptik
AG
31,906
700
Kaga
Electronics
Co.,
Ltd.
29,743
400
Keyence
Corp.
186,024
1,422
Kitron
ASA
4,466
1,200
Koa
Corp.
11,653
6,900
Kyocera
Corp.
92,173
3,500
Kyosan
Electric
Manufacturing
Co.,
Ltd.
11,955
3,590
Lagercrantz
Group
AB,
B
Shares
54,841
527
Landis+Gyr
Group
AG
40,450
19
LEM
Holding
SA,
Registered
Shares
35,948
900
Macnica
Holdings,
Inc.
44,136
200
Maruwa
Co.,
Ltd.
41,893
1,900
Maxell,
Ltd.
19,914
900
Meiko
Electronics
Co.,
Ltd.
31,944
2,414
Midwich
Group
plc
13,124
15,000
Murata
Manufacturing
Co.,
Ltd.
282,298
978
Mycronic
AB
34,496
6,697
NCAB
Group
AB
43,899
267
Nedap
NV
19,465
2,800
Nichicon
Corp.
23,638
2,200
Nihon
Dempa
Kogyo
Co.,
Ltd.
19,741
600
Nippon
Chemi-Con
Corp.*
5,674
2,400
Nippon
Electric
Glass
Co.,
Ltd.
61,346
3,400
Nippon
Signal
Company,
Ltd.
23,111
1,800
Nissha
Co.,
Ltd.
17,925
600
Nohmi
Bosai,
Ltd.
8,970
685
Note
AB*
9,243
21,631
Novonix,
Ltd.*
12,122
3,600
Oki
Electric
Industry
Co.,
Ltd.
27,512
1,700
Omron
Corp.
60,941
1,200
Optex
Group
Co.,
Ltd.
15,651
3,000
Osaki
Electric
Co.,
Ltd.
13,456
Shares
Value
Common
Stocks,
continued
Electronic
Equipment,
Instruments
&
Components,
continued
1,467
Oxford
Instruments
plc
$
39,417
14,000
PAX
Global
Technology,
Ltd.
11,039
4,407
Pricer
AB,
Class
B*
4,211
324
Renishaw
plc
17,370
1,100
Restar
Corp.
22,033
1,200
Riken
Keiki
Co.,
Ltd.
30,270
1,400
RYODEN
Corp.
24,756
1,100
Ryosan
Co.,
Ltd.
35,102
1,100
Satori
Electric
Co.,
Ltd.
19,010
221
Sesa
SpA
24,435
400
Shibaura
Electronics
Co.,
Ltd.
16,456
3,300
Shimadzu
Corp.
92,046
1,200
Shinko
Shoji
Co.,
Ltd.
9,449
2,000
Siix
Corp.
22,818
3,256
Softwareone
Holding
AG
60,005
1,453
Spectris
plc
60,619
6,120
Strix
Group
plc
5,300
2,000
Sumida
Corp.
16,031
700
Suzuden
Corp.
9,903
700
Tachibana
Eletech
Co.,
Ltd.
14,937
1,900
Taiyo
Yuden
Co.,
Ltd.
45,003
2,500
Tamura
Corp.
9,833
3,800
TDK
Corp.
186,700
245
Telsys,
Ltd.
16,526
600
Tokyo
Electron
Device,
Ltd.
27,364
4,300
Topcon
Corp.
49,736
1,300
Toyo
Corp.
13,175
7,103
TT
Electronics
plc
14,215
100
V
Technology
Co.,
Ltd.
1,647
536
Vaisala
Oyj,
A
Shares
21,942
5,300
Venture
Corp.,
Ltd.
55,997
44,000
VSTECS
Holdings,
Ltd.
23,545
2,200
Yokogawa
Electric
Corp.
50,710
1,100
Yokowo
Co.,
Ltd.
11,202
4,080,910
Energy
Equipment
&
Services
(0
.5%):
7,314
Akastor
ASA*
7,407
5,393
Aker
Solutions
ASA
19,361
4,735
Borr
Drilling,
Ltd.
32,435
2,991
BW
Offshore,
Ltd.
7,524
3,100
Calfrac
Well
Services,
Ltd.*
9,064
5,874
CES
Energy
Solutions
Corp.
20,427
29,491
CGG
SA*
12,760
6,058
Enerflex,
Ltd.
35,246
8,606
Ensign
Energy
Services,
Inc.*
16,457
106,730
Ezion
Holdings,
Ltd.*(b)
6,704
Hunting
plc
28,012
23,986
John
Wood
Group
plc*
40,087
3,900
Mattr
Corp.*
51,140
15,579
MMA
Offshore,
Ltd.*
26,531
1,000
Modec,
Inc.
20,342
145
Noble
Corp.
plc
6,977
942
North
American
Construction
Group,
Ltd.
20,949
7,269
Odfjell
Drilling,
Ltd.
32,888
1,211
Odfjell
Technology,
Ltd.
7,245
4,150
Pason
Systems,
Inc.
47,922
7,745
Petrofac,
Ltd.*^
2,683
21,614
PGS
ASA*
15,620
518
Precision
Drilling
Corp.*
34,853
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
13
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Energy
Equipment
&
Services,
continued
6,132
SBM
Offshore
NV
$
97,998
174
Schoeller-Bleckmann
Oilfield
Equipment
AG
8,338
7,582
Secure
Energy
Services,
Inc.
62,418
10,677
Shelf
Drilling,
Ltd.*(a)
24,997
3,620
Subsea
7
SA
57,765
5,664
Technip
Energies
NV
143,376
2,437
Tecnicas
Reunidas
SA*
19,758
1,084
Tenaris
SA,
ADR
42,569
1,938
Tenaris
SA
38,288
2,965
TGS
ASA
32,280
900
Total
Energy
Services,
Inc.
6,765
400
Toyo
Kanetsu
KK
11,761
13,311
Trican
Well
Service,
Ltd.
40,786
6,232
Vallourec
SACA*
115,474
1,198,503
Entertainment
(0.5%):
800
Akatsuki,
Inc.
13,391
900
Avex,
Inc.
7,616
9,790
Bollore
SE
65,354
2,427
Borussia
Dortmund
GmbH
&
Co.
KGaA*
8,770
5,200
Capcom
Co.,
Ltd.
97,501
4,900
COLOPL,
Inc.
19,971
1,624
CTS
Eventim
AG
&
Co.
KGaA
144,428
1,800
Daiichikosho
Co.,
Ltd.
22,772
3,100
DeNA
Co.,
Ltd.
30,625
4,217
Embracer
Group
AB*
9,183
5,146
EVT,
Ltd.
41,791
649
G5
Entertainment
AB
7,876
2,400
Gree,
Inc.
7,637
1,590
GungHo
Online
Entertainment,
Inc.
25,438
38,000
IGG,
Inc.*
16,024
400
Kinepolis
Group
NV
18,351
1,800
Koei
Tecmo
Holdings
Co.,
Ltd.
19,183
1,000
Konami
Group
Corp.
68,084
2,000
MIXI,
Inc.
34,568
3,270
Modern
Times
Group
MTG
AB,
Class
B*
25,530
1,100
Nexon
Co.,
Ltd.
18,273
4,900
Nintendo
Co.,
Ltd.
268,226
800
Square
Enix
Holdings
Co.,
Ltd.
30,788
21,268
Stillfront
Group
AB*
18,907
500
Toei
Animation
Co.,
Ltd.
10,045
1,000
Toei
Co.,
Ltd.
25,383
600
Toho
Co.,
Ltd.
19,944
2,925
Ubisoft
Entertainment
SA*
61,584
8,319
Universal
Music
Group
NV
250,108
5,570
WildBrain,
Ltd.*
4,565
1,391,916
Financial
Services
(0.9%):
103
Adyen
NV*(a)
174,450
88,994
AMP,
Ltd.
67,899
9,449
Australian
Finance
Group,
Ltd.
10,036
1,684
Banca
IFIS
SpA
32,993
2,678
Banca
Mediolanum
SpA
29,427
5,163
BFF
Bank
SpA(a)
69,060
5,498
Burford
Capital,
Ltd.
86,241
17,310
Challenger,
Ltd.
80,406
6,016
Deutsche
Pfandbriefbank
AG^(a)
32,078
2,280
doValue
SpA^(a)
5,225
Shares
Value
Common
Stocks,
continued
Financial
Services,
continued
5,800
ECN
Capital
Corp.
$
8,950
2,398
Edenred
SE
127,824
800
eGuarantee,
Inc.
9,469
5,345
EML
Payments,
Ltd.*
4,280
1,164
Eurazeo
SE
101,951
1,900
Financial
Partners
Group
Co.,
Ltd.
26,726
1,100
Firm
Capital
Mortgage
Investment
Corp.
9,307
900
First
National
Financial
Corp.
24,999
700
Fuyo
General
Lease
Co.,
Ltd.
62,236
200
GMO
Financial
Gate,
Inc.
11,746
800
GMO
Payment
Gateway,
Inc.
51,450
1,440
GRENKE
AG
37,585
20,600
G-Resources
Group,
Ltd.
6,353
16,190
Helia
Group,
Ltd.
41,320
757
Illimity
Bank
SpA
3,969
1,600
Japan
Investment
Adviser
Co.,
Ltd.
11,014
3,100
Japan
Securities
Finance
Co.,
Ltd.
34,212
41,181
M&G
plc
114,728
24,420
Mitsubishi
HC
Capital,
Inc.
170,206
5,000
Mizuho
Leasing
Co.,
Ltd.
36,847
900
NEC
Capital
Solutions,
Ltd.
22,846
14,213
Nexi
SpA*(a)
90,116
1,200
Nuvei
Corp.(a)
37,939
16,085
OFX
Group,
Ltd.*
17,210
7,289
Omni
Bridgeway,
Ltd.*
7,177
12,600
ORIX
Corp.
275,527
14,873
OSB
Group
plc
70,783
10,066
Paragon
Banking
Group
plc
87,769
2,696
PayPoint
plc
16,547
3,205
Plus500,
Ltd.
73,045
1,100
Ricoh
Leasing
Co.,
Ltd.
38,290
543
SBI
ARUHI
Corp.
3,365
3
Schweizerische
Nationalbank,
Registered
Shares*
13,707
3,600
Timbercreek
Financial
Corp.
20,546
4,400
Tokyo
Century
Corp.
45,757
3,266
Wise
plc,
Class
A*
38,322
5,213
Worldline
SA*(a)
64,532
1,600
Zenkoku
Hosho
Co.,
Ltd.
57,269
2,463,734
Food
Products
(2.4%):
9,302
a2
Milk
Co.,
Ltd.
(The)*
37,657
1,441
AAK
AB
34,248
364
Agrana
Beteiligungs
AG
5,496
2,200
Ajinomoto
Co.,
Inc.
82,134
42,791
Aryzta
AG*
77,649
3,966
Associated
British
Foods
plc
125,167
772
Atria
Oyj
8,078
2,327
Austevoll
Seafood
ASA
18,299
9,834
Australian
Agricultural
Co.,
Ltd.*
8,732
556
Bakkafrost
P/F
36,023
82
Barry
Callebaut
AG,
Registered
Shares
119,039
8,561
Bega
Cheese,
Ltd.
23,372
125
Bell
Food
Group
AG
37,416
854
Bonduelle
SCA
6,919
2,100
Calbee,
Inc.
47,356
1
Chocoladefabriken
Lindt
&
Spruengli
AG
120,631
800
Chubu
Shiryo
Co.,
Ltd.
6,269
12,278
Cloetta
AB,
B
Shares
20,864
1,365
Cranswick
plc
70,567
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
14
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Food
Products,
continued
2,542
Danone
SA
$
164,227
1,700
Delfi,
Ltd.
1,134
1,000
DyDo
Group
Holdings,
Inc.
18,067
2,372
Ebro
Foods
SA
39,506
8,741
Elders,
Ltd.
53,422
71
Emmi
AG,
Registered
Shares
70,463
1,200
Ezaki
Glico
Co.,
Ltd.
33,457
108,669
First
Pacific
Co.,
Ltd.
54,656
27,100
First
Resources,
Ltd.
27,508
1,616
ForFarmers
NV
4,524
9,500
Fraser
and
Neave,
Ltd.
7,325
1,700
Fuji
Oil
Holdings,
Inc.
26,633
1,600
Fujicco
Co.,
Ltd.
20,061
6,293
Glanbia
plc
124,060
289,700
Golden
Agri-Resources,
Ltd.
58,200
17,127
Greencore
Group
plc*
25,784
1,502
Grieg
Seafood
ASA
9,411
1,100
High
Liner
Foods,
Inc.
11,005
1,923
Hilton
Food
Group
plc
20,436
800
Hokuto
Corp.
9,672
1,800
House
Foods
Group,
Inc.
36,608
15,498
Inghams
Group,
Ltd.
36,250
940
Itoham
Yonekyu
Holdings,
Inc.
24,682
600
Iwatsuka
Confectionery
Co.,
Ltd.
10,897
1,642
JDE
Peet's
NV
34,468
600
J-Oil
Mills,
Inc.
7,683
1,300
Kagome
Co.,
Ltd.
31,509
800
Kakiyasu
Honten
Co.,
Ltd.
16,749
400
Kameda
Seika
Co.,
Ltd.
11,216
700
Kenko
Mayonnaise
Co.,
Ltd.
9,295
1,224
Kerry
Group
plc,
Class
A
105,035
1,800
Kewpie
Corp.
33,350
2,000
Kikkoman
Corp.
25,668
2,000
Kotobuki
Spirits
Co.,
Ltd.
25,139
363
KWS
Saat
SE
&
Co.
KGaA
19,402
500
Kyokuyo
Co.,
Ltd.
12,249
147
Lassonde
Industries,
Inc.,
Class
A
16,146
7,030
Leroy
Seafood
Group
ASA
30,783
19
Lotus
Bakeries
NV
183,433
1,749
Maple
Leaf
Foods,
Inc.
28,681
1,200
Marudai
Food
Co.,
Ltd.
12,823
2,100
Maruha
Nichiro
Corp.
41,039
1,700
Megmilk
Snow
Brand
Co.,
Ltd.
30,212
2,300
MEIJI
Holdings
Co.,
Ltd.
50,187
800
Mitsui
DM
Sugar
Holdings
Co.,
Ltd.
16,461
2,600
Morinaga
&
Co.,
Ltd.
44,636
2,200
Morinaga
Milk
Industry
Co.,
Ltd.
44,980
1,392
Mowi
ASA
25,594
19,957
Nestle
SA,
Registered
Shares
2,119,395
389
Neto
Malinda
Trading,
Ltd.*
5,332
2,400
NH
Foods,
Ltd.
80,285
3,000
Nichirei
Corp.
80,587
1,200
Nippn
Corp.
18,414
800
Nippon
Beet
Sugar
Manufacturing
Co.,
Ltd.
10,919
1,200
Nisshin
Oillio
Group,
Ltd.
(The)
40,241
3,800
Nisshin
Seifun
Group,
Inc.
52,325
10,000
Nissin
Foods
Co.,
Ltd.
6,326
900
Nissin
Foods
Holdings
Co.,
Ltd.
24,817
9,800
Nissui
Corp.
61,481
Shares
Value
Common
Stocks,
continued
Food
Products,
continued
326
Orior
AG
$
24,041
4,786
Orkla
ASA
33,780
30,027
Premier
Foods
plc
56,445
1,005
Premium
Brands
Holdings
Corp.
65,669
1,300
Prima
Meat
Packers,
Ltd.
19,469
8,255
Raisio
Oyj,
Class
V
18,255
11,830
Ridley
Corp.,
Ltd.
19,192
1,300
Riken
Vitamin
Co.,
Ltd.
21,593
4,400
Rogers
Sugar,
Inc.
17,315
600
S
Foods,
Inc.
13,340
500
Sakata
Seed
Corp.
12,252
482
Salmar
ASA
31,876
2,346
Sanford,
Ltd.
5,360
5,981
Saputo,
Inc.
117,686
127
Savencia
SA
7,014
3,496
Scales
Corp.,
Ltd.
6,995
3,767
Scandi
Standard
AB
25,203
476
Schouw
&
Co.
A/S
36,646
2,919
Select
Harvests,
Ltd.*
8,463
800
Showa
Sangyo
Co.,
Ltd.
18,299
306
Sipef
NV
18,307
114
Societe
LDC
SADIR
16,722
600
Starzen
Co.,
Ltd.
11,193
847
Strauss
Group,
Ltd.*
15,980
3,278
Suedzucker
AG
46,989
2,839
Synlait
Milk,
Ltd.*
1,275
9,481
Tate
&
Lyle
plc
73,861
700
Toyo
Suisan
Kaisha,
Ltd.
42,911
580
UIE
plc
18,297
1,221
Viscofan
SA
77,553
18,000
Vitasoy
International
Holdings,
Ltd.
15,453
400
Warabeya
Nichiyo
Holdings
Co.,
Ltd.
7,250
250,915
WH
Group,
Ltd.(a)
165,594
28,500
Wilmar
International,
Ltd.
72,319
1,000
Yakult
Honsha
Co.,
Ltd.
20,428
1,300
Yamazaki
Baking
Co.,
Ltd.
33,542
6,327,331
Gas
Utilities
(0.4%):
6,684
AltaGas,
Ltd.
147,656
11,808
APA
Group
64,737
6,095
Ascopiave
SpA
15,549
1,871
Brookfield
Infrastructure
Corp.,
Class
A
67,413
7,172
Enagas
SA
106,568
154,850
Hong
Kong
&
China
Gas
Co.,
Ltd.
117,459
11,019
Italgas
SpA
64,186
800
K&O
Energy
Group,
Inc.
16,886
88,854
Keppel
Infrastructure
Trust
32,587
1,231
Naturgy
Energy
Group
SA
26,713
4,400
Nippon
Gas
Co.,
Ltd.
73,954
3,600
Osaka
Gas
Co.,
Ltd.
81,091
1,664
Rubis
SCA
58,739
1,300
Saibu
Gas
Holdings
Co.,
Ltd.
16,272
1,300
Shizuoka
Gas
Co.,
Ltd.
8,132
10,328
Snam
SpA
48,743
7,704
Superior
Plus
Corp.
57,393
2,300
Toho
Gas
Co.,
Ltd.
50,888
3,700
Tokyo
Gas
Co.,
Ltd.
84,288
1,139,254
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
15
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Ground
Transportation
(0.9%):
65,101
Aurizon
Holdings,
Ltd.
$
169,765
1,200
Canadian
National
Railway
Co.
158,036
1,849
Canadian
National
Railway
Co.
243,532
1,100
Canadian
Pacific
Kansas
City,
Ltd.
96,997
724
Canadian
Pacific
Kansas
City,
Ltd.
63,835
3,500
Central
Japan
Railway
Co.
86,903
1,200
Chilled
&
Frozen
Logistics
Holdings
Co.,
Ltd.
24,453
54,400
ComfortDelGro
Corp.,
Ltd.
56,388
4,500
East
Japan
Railway
Co.
86,289
33,074
Firstgroup
plc
75,219
1,200
Fukuyama
Transporting
Co.,
Ltd.
28,400
3,400
Hankyu
Hanshin
Holdings,
Inc.
97,429
1,100
Ichinen
Holdings
Co.,
Ltd.
12,740
206
Jungfraubahn
Holding
AG,
Registered
Shares
41,259
4,900
Keikyu
Corp.
44,998
1,100
Keio
Corp.
30,108
1,200
Keisei
Electric
Railway
Co.,
Ltd.
48,736
1,783
Kelsian
Group,
Ltd.
6,735
1,700
Kintetsu
Group
Holdings
Co.,
Ltd.
49,519
2,400
Kyushu
Railway
Co.
54,719
400
Maruzen
Showa
Unyu
Co.,
Ltd.
12,230
13,705
Mobico
Group
plc
12,067
7,711
MTR
Corp.,
Ltd.
25,420
3,900
Mullen
Group,
Ltd.
41,811
3,800
Nagoya
Railroad
Co.,
Ltd.
53,064
1,600
Nankai
Electric
Railway
Co.,
Ltd.
32,875
2,200
Nikkon
Holdings
Co.,
Ltd.
42,422
1,300
Nishi-Nippon
Railroad
Co.,
Ltd.
21,171
588
NTG
Nordic
Transport
Group
A/S*
23,849
2,300
Odakyu
Electric
Railway
Co.,
Ltd.
31,692
6,796
Redde
Northgate
plc
32,690
1,000
Sakai
Moving
Service
Co.,
Ltd.
16,815
700
Sanyo
Electric
Railway
Co.,
Ltd.
9,609
4,200
Seibu
Holdings,
Inc.
65,668
3,100
Seino
Holdings
Co.,
Ltd.
42,570
628
Sixt
SE
62,622
1,700
Sotetsu
Holdings,
Inc.
30,394
278
Stef
SA
40,901
1,198
TFI
International,
Inc.
191,057
1,600
Tobu
Railway
Co.,
Ltd.
39,982
2,900
Tokyu
Corp.
35,266
4,105
Tourism
Holdings,
Ltd.
7,799
16,103
Transport
International
Holdings,
Ltd.
18,522
4,200
West
Japan
Railway
Co.
87,514
2,454,070
Health
Care
Equipment
&
Supplies
(1.4%):
6,242
Advanced
Medical
Solutions
Group
plc
15,445
5,450
Alcon,
Inc.
451,278
1,228
Alcon,
Inc.
102,280
5,641
Ambu
A/S,
Class
B*
93,141
4,791
Ansell,
Ltd.
76,827
8,347
Arjo
AB,
Class
B
39,854
2,500
Asahi
Intecc
Co.,
Ltd.
43,836
468
BioMerieux
51,550
362
Carl
Zeiss
Meditec
AG,
Class
BR
45,221
246
Cellavision
AB
5,479
547
Cochlear,
Ltd.
120,294
829
Coloplast
A/S,
Class
B
112,215
251
Coltene
Holding
AG,
Registered
Shares
16,028
Shares
Value
Common
Stocks,
continued
Health
Care
Equipment
&
Supplies,
continued
24,787
ConvaTec
Group
plc(a)
$
89,529
3,130
Demant
A/S*
156,073
72
DiaSorin
SpA
6,944
238
Draegerwerk
AG
&
Co.
KGaA
11,630
458
Eckert
&
Ziegler
SE
18,508
1,600
Eiken
Chemical
Co.,
Ltd.
20,804
4,663
Elekta
AB,
Class
B
35,145
1,224
EssilorLuxottica
SA
277,558
2,152
Fisher
&
Paykel
Healthcare
Corp.,
Ltd.
32,966
600
Fukuda
Denshi
Co.,
Ltd.
27,402
2,575
Getinge
AB,
B
Shares
51,786
405
Guerbet
14,341
800
Hogy
Medical
Co.,
Ltd.
19,691
2,500
Hoya
Corp.
312,996
537
Ion
Beam
Applications
7,589
2,000
Japan
Lifeline
Co.,
Ltd.
15,922
1,400
Jeol,
Ltd.
58,066
2,156
Koninklijke
Philips
NV,
NYS
43,120
8,897
Koninklijke
Philips
NV*
178,386
1,600
Mani,
Inc.
20,917
276
Medacta
Group
SA(a)
37,463
849
Medmix
AG(a)
15,084
2,700
Menicon
Co.,
Ltd.
27,747
10
Metall
Zug
AG,
Registered
Shares
14,639
1,500
Nakanishi,
Inc.
23,537
6,757
Nanosonics,
Ltd.*
12,143
1,100
Nihon
Kohden
Corp.
29,135
7,100
Nipro
Corp.
56,334
1,800
Olympus
Corp.
25,899
1,800
Paramount
Bed
Holdings
Co.,
Ltd.
30,553
2,100
PHC
Holdings
Corp.
17,077
457
Revenio
Group
Oyj
12,560
16,500
Riverstone
Holdings,
Ltd.
10,392
1,965
Siemens
Healthineers
AG*(a)
120,232
2,518
Smith
&
Nephew
plc
31,835
631
Sonova
Holding
AG
182,664
360
STRATEC
SE
15,609
859
Straumann
Holding
AG,
Class
R
137,141
6,000
Sysmex
Corp.
107,071
3,000
Terumo
Corp.
54,995
85
Ypsomed
Holding
AG,
Registered
Shares
33,966
3,568,897
Health
Care
Providers
&
Services
(0.7%):
4,000
Alfresa
Holdings
Corp.
58,035
5,205
Ambea
AB(a)
30,973
3,380
Amplifon
SpA
123,235
1,500
Amvis
Holdings,
Inc.
25,121
400
Andlauer
Healthcare
Group,
Inc.
12,543
19,533
Arvida
Group,
Ltd.
12,948
1,000
As
One
Corp.
17,455
6,164
Attendo
AB*(a)
23,499
5,975
Australian
Clinical
Labs,
Ltd.^
10,472
700
BML,
Inc.
13,476
2,704
Clariane
SE
4,296
20,000
C-Mer
Eye
Care
Holdings,
Ltd.*
7,243
1,805
CVS
Group
plc
22,208
1,301
EBOS
Group,
Ltd.
26,610
1,000
Elan
Corp.
6,062
4,012
Extendicare,
Inc.
22,602
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
16
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Health
Care
Providers
&
Services,
continued
2,606
Fagron
$
49,630
1,400
France
Bed
Holdings
Co.,
Ltd.
11,783
5,647
Fresenius
Medical
Care
AG
217,149
6,269
Fresenius
SE
&
Co.
KGaA
169,049
1,738
Galenica
AG(a)
144,935
1,900
H.U.
Group
Holdings,
Inc.
30,936
26,644
Healius,
Ltd.*
23,002
2,572
Humana
AB*
5,900
4,771
Integral
Diagnostics,
Ltd.
7,009
1,000
Japan
Medical
Dynamic
Marketing,
Inc.
4,793
225
LNA
Sante
SA
4,964
3,204
Medical
Facilities
Corp.
24,484
1,044
Medicover
AB,
Class
B
13,442
778
Medios
AG*
13,745
3,400
Medipal
Holdings
Corp.
51,971
3,565
Mediterranean
Towers,
Ltd.
9,290
24,681
Monash
IVF
Group,
Ltd.
23,232
1,110
NMC
Health
plc*(b)
11,023
Novolog,
Ltd.
4,690
23,114
Oceania
Healthcare,
Ltd.
8,701
6,310
Oriola
Oyj,
Class
B
6,911
26,115
Raffles
Medical
Group,
Ltd.
20,107
1,393
Ramsay
Health
Care,
Ltd.
51,295
7,784
Regis
Healthcare,
Ltd.
20,381
6,594
Ryman
Healthcare,
Ltd.*
17,921
2,100
Ship
Healthcare
Holdings,
Inc.
28,998
90,960
Sigma
Healthcare,
Ltd.
76,749
1,900
Solasto
Corp.
6,812
6,107
Sonic
Healthcare,
Ltd.
117,009
8,887
Spire
Healthcare
Group
plc(a)
26,018
7,001
Summerset
Group
Holdings,
Ltd.
47,696
1,500
Suzuken
Co.,
Ltd.
45,708
558
Synlab
AG*
5,992
2,544
Terveystalo
Oyj(a)
20,688
176,600
Thomson
Medical
Group,
Ltd.
6,808
1,800
Toho
Holdings
Co.,
Ltd.
42,754
500
Tokai
Corp./Gifu
7,118
1,400
Value
HR
Co.,
Ltd.
12,354
2,800
Vital
KSK
Holdings,
Inc.
23,011
4,200
Well
Health
Technologies
Corp.*
11,381
1,831,194
Health
Care
Technology
(0.1%):
7,980
AGFA-Gevaert
NV*
11,452
1,026
Ascom
Holding
AG,
Registered
Shares
9,365
2,600
Carenet,
Inc.^
11,062
857
CompuGroup
Medical
SE
&
Co
KgaA
26,366
94
Equasens
5,200
4,500
M3,
Inc.
64,857
1,200
Medical
Data
Vision
Co.,
Ltd.
4,758
800
Medley,
Inc.*
23,705
700
MedPeer,
Inc.
3,210
103
Nexus
AG
6,255
800
NNIT
A/S*(a)
12,572
905
Pro
Medicus,
Ltd.
61,176
1,213
RaySearch
Laboratories
AB*
13,022
2,887
Sectra
AB,
Class
B*
55,753
308,753
Shares
Value
Common
Stocks,
continued
Hotels,
Restaurants
&
Leisure
(1.8%):
3,722
Accor
SA
$
173,722
600
Aeon
Fantasy
Co.,
Ltd.
9,429
1,000
Airtrip
Corp.
10,762
5,169
Amadeus
IT
Group
SA
331,453
6,796
Aristocrat
Leisure,
Ltd.
190,407
1,638
Basic-Fit
NV*(a)
36,502
3,249
Betsson
AB,
Class
B*
32,129
20,000
Cafe
de
Coral
Holdings,
Ltd.
20,486
1,533
Carnival
plc,
ADR*
22,581
72,000
Century
City
International
Holdings,
Ltd.*
2,152
970
Cie
des
Alpes
14,121
23,206
Coast
Entertainment
Holdings,
Ltd.*
8,014
4,935
Collins
Foods,
Ltd.
32,605
2,700
Colowide
Co.,
Ltd.
38,321
8,618
Compass
Group
plc
252,517
3,168
Corporate
Travel
Management,
Ltd.
35,121
4,100
Create
Restaurants
Holdings,
Inc.
27,964
2,300
Curves
Holdings
Co.,
Ltd.
12,127
7,977
Dalata
Hotel
Group
plc
38,801
14,701
Deliveroo
plc*(a)
21,947
1,218
Delivery
Hero
SE*(a)
34,836
1,204
Domino's
Pizza
Enterprises,
Ltd.
34,100
10,911
Domino's
Pizza
Group
plc
47,444
1,600
Doutor
Nichires
Holdings
Co.,
Ltd.
21,734
2,462
eDreams
ODIGEO
SA*
17,928
4,906
Elior
Group
SA*(a)
13,089
9,619
Entain
plc
96,670
847
Evolution
AB(a)
105,193
6,500
Fairwood
Holdings,
Ltd.
6,699
289
Fattal
Holdings
1998,
Ltd.*
37,121
2,966
Flight
Centre
Travel
Group,
Ltd.
42,224
1,469
Flutter
Entertainment
plc*
293,246
2,300
Food
&
Life
Cos.,
Ltd.
44,096
12,200
Fosun
Tourism
Group*(a)
5,559
900
Fuji
Kyuko
Co.,
Ltd.
23,259
557
Fuller
Smith
&
Turner
plc
4,148
4,000
Galaxy
Entertainment
Group,
Ltd.
20,108
400
Genki
Sushi
Co.,
Ltd.
8,396
40,200
Genting
Singapore,
Ltd.
26,314
3,864
Greggs
plc
140,309
581
Gym
Group
plc
(The)*(a)
841
2,700
Heiwa
Corp.
35,339
2,921
Hollywood
Bowl
Group
plc
12,146
18,230
Hongkong
&
Shanghai
Hotels,
Ltd.
(The)*
13,869
982
InterContinental
Hotels
Group
plc,
ADR
103,758
412
InterContinental
Hotels
Group
plc
42,849
3,676
J
D
Wetherspoon
plc*
34,195
868
Jumbo
Interactive,
Ltd.
9,698
2,383
Just
Eat
Takeaway.com
NV*(a)
35,484
1,100
KFC
Holdings
Japan,
Ltd.
31,800
5,582
Kindred
Group
plc
64,762
1,700
KOMEDA
Holdings
Co,
Ltd.
30,281
3,200
Koshidaka
Holdings
Co.,
Ltd.
19,785
1,800
Kyoritsu
Maintenance
Co.,
Ltd.
41,213
3,120
La
Francaise
des
Jeux
SAEM(a)
127,153
30,112
Lottery
Corp.,
Ltd.
(The)
101,047
33,812
Marston's
plc*
12,074
1,100
McDonald's
Holdings
Co.
Japan,
Ltd.
49,486
6,149
Melia
Hotels
International
SA*
49,687
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
17
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Hotels,
Restaurants
&
Leisure,
continued
15,600
MGM
China
Holdings,
Ltd.*
$
26,100
14,000
Miramar
Hotel
&
Investment
17,862
11,969
Mitchells
&
Butlers
plc*
34,074
1,200
Monogatari
Corp.
(The)
36,786
613
MTY
Food
Group,
Inc.
23,141
46,867
NagaCorp,
Ltd.
20,489
300
Ohsho
Food
Service
Corp.
15,321
5,176
On
the
Beach
Group
plc*(a)
10,789
3,700
Oriental
Land
Co.,
Ltd.
118,536
900
Pizza
Pizza
Royalty
Corp.
9,183
6,439
Playtech
plc*
37,525
600
Pollard
Banknote,
Ltd.
15,842
12,439
Rank
Group
plc*
10,867
1,500
Resorttrust,
Inc.
25,690
2,049
Restaurant
Brands
International,
Inc.
162,737
3,018
Restaurant
Brands
New
Zealand,
Ltd.
6,309
9,100
Round
One
Corp.
47,147
200
Royal
Holdings
Co.,
Ltd.
3,268
1,100
Saizeriya
Co.,
Ltd.
37,496
10,188
Sands
China,
Ltd.*
28,733
5,463
Scandic
Hotels
Group
AB*(a)
31,934
36,000
Shangri-La
Asia,
Ltd.*
22,558
42,585
SJM
Holdings,
Ltd.*
13,009
1,360
SkiStar
AB
20,490
29,451
SKYCITY
Entertainment
Group,
Ltd.
36,586
4,900
Skylark
Holdings
Co.,
Ltd.
77,579
491
Sodexo
SA
42,093
27,285
SSP
Group
plc
75,466
1,200
St
Marc
Holdings
Co.,
Ltd.
16,848
92,601
Star
Entertainment
Group,
Ltd.
(The)*
34,883
91,665
Tabcorp
Holdings,
Ltd.
45,192
137
Tivoli
A/S
14,669
800
Tokyotokeiba
Co.,
Ltd.
23,658
1,400
Toridoll
Holdings
Corp.
38,251
3,285
Trainline
plc*(a)
15,341
6,237
TUI
AG*
51,329
6,523
Webjet,
Ltd.*
37,529
3,705
Whitbread
plc
155,163
1,900
Yoshinoya
Holdings
Co.,
Ltd.
42,390
1,308
Young
&
Co.'s
Brewery
plc,
Class
A
16,155
1,515
Young
&
Co's
Brewery
plc
11,473
187
Zeal
Network
SE
6,959
1,000
Zensho
Holdings
Co.,
Ltd.
41,646
4,708,197
Household
Durables
(1.5%):
2,091
Ariston
Holding
NV
11,737
5,875
Azorim-Investment
Development
&
Construction
Co.,
Ltd.*
30,205
4,812
Bang
&
Olufsen
A/S*
6,509
29,695
Barratt
Developments
plc
178,549
5,441
Bellway
plc
182,900
2,266
Berkeley
Group
Holdings
plc
136,238
1,566
Bigben
Interactive*
4,721
11,184
Bonava
AB,
B
Shares*
11,045
3,251
Breville
Group,
Ltd.
58,230
27,975
Cairn
Homes
plc
48,161
2,500
Casio
Computer
Co.,
Ltd.
21,562
600
Chofu
Seisakusho
Co.,
Ltd.
8,547
6,556
Crest
Nicholson
Holdings
plc
16,016
Shares
Value
Common
Stocks,
continued
Household
Durables,
continued
405
De'
Longhi
SpA
$
14,006
1,000
Dorel
Industries,
Inc.,
Class
B*
5,109
75
Einhell
Germany
AG
12,382
3,176
Electrolux
AB,
Class
B*
28,453
1,200
ES-Con
Japan,
Ltd.
8,055
2,053
Fiskars
OYJ
Abp
38,002
1,600
Fuji
Corp.,
Ltd.
7,928
900
Fujitsu
General,
Ltd.
11,140
25,820
Glenveagh
Properties
plc*(a)
34,871
3,261
GN
Store
Nord
A/S*
86,617
9,000
Haseko
Corp.
111,244
2,710
Henry
Boot
plc
6,162
700
Hoosiers
Holdings
Co.,
Ltd.
5,081
2,100
Iida
Group
Holdings
Co.,
Ltd.
27,158
2,188
JM
AB
44,641
5,800
JVCKenwood
Corp.
35,687
958
Kaufman
&
Broad
SA
27,896
700
Ki-Star
Real
Estate
Co.,
Ltd.
17,287
1,300
LEC,
Inc.
9,891
540
Leifheit
AG
8,620
43,200
Man
Wah
Holdings,
Ltd.
30,441
1,659
Maytronics,
Ltd.
16,522
1,017
Nacon
SA*
1,404
1,363
Neinor
Homes
SA(a)
14,938
6,600
Nikon
Corp.
66,790
5,576
Nobia
AB*
2,292
2,000
Open
House
Group
Co.,
Ltd.
64,723
17,800
Panasonic
Holdings
Corp.
169,845
7,908
Persimmon
plc
131,184
1,200
Pressance
Corp.
14,034
12,387
Redrow
plc
104,129
1,800
Rinnai
Corp.
41,327
567
Sabaf
SpA*
10,936
1,300
Sangetsu
Corp.
28,392
908
SEB
SA
116,433
5,300
Sekisui
Chemical
Co.,
Ltd.
77,511
3,500
Sekisui
House,
Ltd.
79,622
5,800
Sharp
Corp.*
32,317
12,200
Sony
Group
Corp.
1,045,709
4,100
Sumitomo
Forestry
Co.,
Ltd.
129,016
328
Surteco
Group
SE
4,990
1,100
Tama
Home
Co.,
Ltd.
32,629
1,100
Tamron
Co.,
Ltd.
49,024
86,937
Taylor
Wimpey
plc
150,643
1,000
Toa
Corp.
7,652
400
Token
Corp.
27,865
1,912
Victoria
plc*^
6,382
1,127
VIDENDUM
plc
4,110
9,762
Vistry
Group
plc
151,509
100
V-ZUG
Holding
AG*
6,621
3,849
YIT
Oyj
8,078
3,881,718
Household
Products
(0.3%):
636
Essity
AB,
Class
A
15,151
5,937
Essity
AB,
Class
B
141,023
1,173
Henkel
AG
&
Co.
KGaA
84,471
1,500
Kusuri
no
Aoki
Holdings
Co.,
Ltd.
30,877
7,100
Lion
Corp.
63,444
14,255
McBride
plc*
17,938
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
18
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Household
Products,
continued
3,400
Pigeon
Corp.
$
32,768
5,003
Reckitt
Benckiser
Group
plc
284,558
1,900
Unicharm
Corp.
60,474
730,704
Independent
Power
and
Renewable
Electricity
Producers
(0.4%):
2,302
7C
Solarparken
AG
7,723
1,551
Boralex,
Inc.,
Class
A
32,774
2,600
Capital
Power
Corp.
73,351
7,088
Cloudberry
Clean
Energy
ASA*
6,501
1,098
Corp
ACCIONA
Energias
Renovables
SA
23,904
11,729
Drax
Group
plc
74,291
3,017
EDP
Renovaveis
SA
40,920
1,700
EF-ON,
Inc.
4,923
2,700
Electric
Power
Development
Co.,
Ltd.
44,378
3,349
Encavis
AG*
60,895
2,646
Energix-Renewable
Energies,
Ltd.
9,685
949
Enlight
Renewable
Energy,
Ltd.*
15,879
1,000
eRex
Co.,
Ltd.
4,572
773
Greenvolt-Energias
Renovaveis
SA*
6,800
596
Grenergy
Renovables
SA*
15,650
5,092
Innergex
Renewable
Energy,
Inc.
30,039
690
Kenon
Holdings,
Ltd.
18,089
8,484
Meridian
Energy,
Ltd.
29,948
1,175
Neoen
SA(a)
33,249
7,537
Northland
Power,
Inc.
123,150
1,351
OPC
Energy,
Ltd.*
9,588
2,011
Orron
Energy
ab*
1,334
1,500
Polaris
Renewable
Energy,
Inc.
12,925
2,100
RENOVA,
Inc.*
17,218
7,368
RWE
AG
250,018
3,230
Scatec
ASA(a)
21,556
1,714
Solaria
Energia
y
Medio
Ambiente
SA*
18,685
10,042
TransAlta
Corp.
64,431
882
Voltalia
SA,
Registered
Shares*
6,237
910
West
Holdings
Corp.
17,230
1,075,943
Industrial
Conglomerates
(1.1%):
182
Aker
ASA,
A
Shares
10,440
865
Bonheur
ASA
19,093
8,000
Chevalier
International
Holdings,
Ltd.
4,272
26,930
CK
Hutchison
Holdings,
Ltd.
130,197
3,331
DCC
plc
242,427
2,000
Guoco
Group,
Ltd.
22,776
200
Hikari
Tsushin,
Inc.
37,584
8,200
Hitachi,
Ltd.
749,085
822
Indus
Holding
AG
23,543
4,357
Infratil,
Ltd.
28,337
515
Italmobiliare
SpA
19,221
2,600
Jardine
Cycle
&
Carriage,
Ltd.
46,564
1,500
Katakura
Industries
Co.,
Ltd.
19,017
1,400
Keihan
Holdings
Co.,
Ltd.
31,036
15,700
Keppel,
Ltd.
85,462
1,492
Lifco
AB,
Class
B
38,917
2,900
Mie
Kotsu
Group
Holdings,
Inc.
11,778
5,400
Nisshinbo
Holdings,
Inc.
43,386
7,406
Nolato
AB,
Class
B
33,093
1,300
Noritsu
Koki
Co.,
Ltd.
27,365
Shares
Value
Common
Stocks,
continued
Industrial
Conglomerates,
continued
69,000
NWS
Holdings,
Ltd.
$
57,343
5,165
Siemens
AG,
Registered
Shares
985,890
3,272
Smiths
Group
plc
67,869
27,456
Storskogen
Group
AB,
Class
B
14,587
5,400
TOKAI
Holdings
Corp.
35,176
933
Volati
AB
10,878
2,795,336
Insurance
(4.4%):
3,541
Admiral
Group
plc
126,709
32,466
Aegon,
Ltd.
197,793
6,999
Ageas
SA/NV
324,142
89,440
AIA
Group,
Ltd.
600,246
40,863
Alm
Brand
A/S
77,753
2,500
Anicom
Holdings,
Inc.
9,467
5,446
ASR
Nederland
NV
266,583
2,694
Assicurazioni
Generali
SpA
68,206
1,693
AUB
Group,
Ltd.
32,847
25,807
Aviva
plc
161,924
7,780
AXA
SA
292,089
999
Baloise
Holding
AG,
Registered
Shares
156,524
9,191
Beazley
plc
77,282
7,384
Chesnara
plc
24,521
2,213
Clal
Insurance
Enterprises
Holdings,
Ltd.*
40,786
4,898
Coface
SA
77,374
4,000
Dai-ichi
Life
Holdings,
Inc.
102,079
1,400
Definity
Financial
Corp.
44,592
40,384
Direct
Line
Insurance
Group
plc*
99,498
82
E-L
Financial
Corp.,
Ltd.
65,931
485
Fairfax
Financial
Holdings,
Ltd.
522,850
1,054
FBD
Holdings
plc
15,015
1,341
Gjensidige
Forsikring
ASA
19,472
1,300
Great
Eastern
Holdings,
Ltd.
17,539
4,200
Great-West
Lifeco,
Inc.
134,335
1,259
Grupo
Catalana
Occidente
SA
48,129
727
Hannover
Rueck
SE
198,940
4,262
Harel
Insurance
Investments
&
Financial
Services,
Ltd.
41,054
977
Helvetia
Holding
AG,
Registered
Shares
134,673
7,850
Hiscox,
Ltd.
122,913
3,719
iA
Financial
Corp.,
Inc.
231,065
506
IDI
Insurance
Co.,
Ltd.
14,805
45,065
Insurance
Australia
Group,
Ltd.
187,912
1,060
Intact
Financial
Corp.
172,211
13,400
Japan
Post
Holdings
Co.,
Ltd.
134,904
1,900
Japan
Post
Insurance
Co.,
Ltd.
36,298
30,678
Just
Group
plc
40,678
6,367
Lancashire
Holdings,
Ltd.
49,687
82,370
Legal
&
General
Group
plc
264,198
1,000
LIFENET
INSURANCE
Co.*
9,803
16,597
Linea
Directa
Aseguradora
SA
Cia
de
Seguros
y
Reaseguros
16,555
2,649
Mandatum
Oyj*
11,839
2,510
Manulife
Financial
Corp.
62,694
9,385
Manulife
Financial
Corp.
234,531
41,493
Mapfre
SA
104,835
24,477
Medibank
Pvt,
Ltd.
59,962
1,055
Menora
Mivtachim
Holdings,
Ltd.
28,373
16,641
Migdal
Insurance
&
Financial
Holdings,
Ltd.
23,032
8,700
MS&AD
Insurance
Group
Holdings,
Inc.
153,958
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
19
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Insurance,
continued
1,586
Muenchener
Rueckversicherungs-Gesellschaft
AG
in
Muenchen,
Class
R
$
773,754
17,747
nib
holdings,
Ltd.
91,040
7,287
NN
Group
NV
337,022
15,729
Phoenix
Group
Holdings
plc
109,751
2,268
Phoenix
Holdings,
Ltd.
(The)
22,667
4,571
Poste
Italiane
SpA(a)
57,221
1,147
Protector
Forsikring
ASA
23,997
14,329
Prudential
plc
134,759
1,332
Prudential
plc,
ADR
25,668
16,200
QBE
Insurance
Group,
Ltd.
191,388
3,005
Sabre
Insurance
Group
plc(a)
6,798
3,822
Saga
plc*
5,915
2,649
Sampo
Oyj,
A
Shares
112,914
6,691
SCOR
SE
231,478
445
Solid
Forsakring
AB
2,890
4,200
Sompo
Holdings,
Inc.
88,056
10,042
Steadfast
Group,
Ltd.
38,540
4,040
Storebrand
ASA
37,388
5,530
Sun
Life
Financial,
Inc.
301,774
18,389
Suncorp
Group,
Ltd.
196,447
454
Swiss
Life
Holding
AG
318,251
5,304
Swiss
Re
AG
681,984
4,500
T&D
Holdings,
Inc.
78,289
1,613
Talanx
AG
127,686
14,500
Tokio
Marine
Holdings,
Inc.
455,487
979
Topdanmark
AS
41,907
892
Trisura
Group,
Ltd.*
27,430
7,104
Tryg
A/S
146,264
17,380
Unipol
Gruppo
SpA
145,596
14,182
UnipolSai
Assicurazioni
SpA
41,060
4,363
UNIQA
Insurance
Group
AG
37,682
54
Vaudoise
Assurances
Holding
SA
26,889
1,471
Vienna
Insurance
Group
AG
Wiener
Versicherung
Gruppe
45,873
1,796
Wuestenrot
&
Wuerttembergische
AG
25,804
898
Zurich
Insurance
Group
AG
484,265
11,412,540
Interactive
Media
&
Services
(0.3%):
3,192
Adevinta
ASA*
33,536
15,271
Auto
Trader
Group
plc(a)
134,826
400
Bengo4.com,
Inc.*
8,848
575
Better
Collective
A/S*
15,447
2,166
CAR
Group,
Ltd.
50,919
4,900
Catena
Media
plc*
4,876
5,418
Domain
Holdings
Australia,
Ltd.
11,580
1,161
Hemnet
Group
AB
35,521
1,200
Infocom
Corp.
21,129
3,800
Kakaku.com,
Inc.
46,024
1,170
Karnov
Group
AB*
7,223
13,200
LY
Corp.
33,357
600
MarkLines
Co.,
Ltd.
13,434
15,212
Moneysupermarket.com
Group
plc
42,242
135
New
Work
SE
9,815
594
REA
Group,
Ltd.
71,783
19,514
Rightmove
plc
135,216
297
Scout24
SE(a)
22,383
Shares
Value
Common
Stocks,
continued
Interactive
Media
&
Services,
continued
3,062
SEEK,
Ltd.
$
49,981
748,140
IT
Services
(1.3%):
3,641
Addnode
Group
AB
38,914
114
Adesso
SE
13,429
370
Allgeier
SE
8,002
1,014
Alten
SA
147,784
1,244
Appen,
Ltd.*
476
400
Argo
Graphics,
Inc.
11,243
2,661
Atea
ASA
31,903
4,261
Atos
SE*^
8,724
2,200
Avant
Group
Corp.
18,748
600
Base
Co.,
Ltd.
13,927
2,801
Bechtle
AG
147,992
1,600
BIPROGY,
Inc.
47,577
1,490
Bouvet
ASA
8,473
817
CANCOM
SE
24,359
879
Capgemini
SE
202,663
1,200
CGI,
Inc.*
132,404
1,233
CGI,
Inc.*
136,234
1,200
Change
Holdings,
Inc.
10,190
4,933
Columbus
A/S
5,738
2,655
Computacenter
plc
90,326
1,100
Comture
Corp.
14,330
5,973
Data#3,
Ltd.
32,225
500
Densan
System
Holdings
Co.,
Ltd.
8,856
900
Dentsu
Soken,
Inc.
29,314
1,400
DTS
Corp.
36,618
8,624
Econocom
Group
SA/NV
19,768
333
E-Guardian,
Inc.
3,041
558
Enea
AB*
2,686
1,045
Exclusive
Networks
SA*
24,797
3,891
FDM
Group
Holdings
plc
16,850
348
Formula
Systems
1985,
Ltd.
27,895
10,000
Fujitsu,
Ltd.
160,146
2,500
Future
Corp.
27,537
824
GFT
Technologies
SE
23,996
6,665
Global
Dominion
Access
SA(a)
24,193
1,900
GMO
internet
group,
Inc.
34,407
1,200
ID
Holdings
Corp.
12,010
6,083
Indra
Sistemas
SA
126,030
2,776
iomart
Group
plc
5,093
700
JBCC
Holdings,
Inc.
15,323
600
JIG-SAW,
Inc.*^
15,796
3,119
Kainos
Group
plc
37,988
2,312
Kin
&
Carta
plc*
3,752
816
KNOW
IT
AB
12,046
1,146
Kontron
AG
25,263
896
Matrix
IT,
Ltd.
19,759
300
Mitsubishi
Research
Institute,
Inc.
9,810
193
Nagarro
SE*
16,604
7,286
NCC
Group
plc
11,431
1,600
NEC
Corp.
116,433
2,700
NEC
Networks
&
System
Integration
Corp.
44,888
3,000
NET
One
Systems
Co.,
Ltd.
52,806
1,260
Netcompany
Group
A/S*(a)
52,306
3,301
NEXTDC,
Ltd.*
38,266
3,056
Nomura
Research
Institute,
Ltd.
86,269
800
NS
Solutions
Corp.
26,090
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
20
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
IT
Services,
continued
2,200
NSD
Co.,
Ltd.
$
42,531
5,900
NTT
Data
Group
Corp.
93,777
200
Obic
Co.,
Ltd.
30,146
2,099
One
Software
Technologies,
Ltd.
31,081
2,200
Otsuka
Corp.
46,674
1,200
Pole
To
Win
Holdings,
Inc.
4,056
1,470
Proact
IT
Group
AB
15,186
164
Reply
SpA
23,210
800
SB
Technology
Corp.
11,039
2,400
SCSK
Corp.
44,507
105
Secunet
Security
Networks
AG
18,164
200
SHIFT,
Inc.*
31,865
650
Shopify,
Inc.,
Class
A*
50,161
700
Shopify,
Inc.,
Class
A*
54,009
1,200
Simplex
Holdings,
Inc.
22,149
5,347
Softcat
plc
107,140
566
Sopra
Steria
Group
136,920
52,000
SUNeVision
Holdings,
Ltd.
16,941
2,400
TDC
Soft,
Inc.
17,609
1,700
TechMatrix
Corp.
20,444
2,731
TietoEVRY
Oyj
57,771
3,300
TIS,
Inc.
70,649
500
Uchida
Yoko
Co.,
Ltd.
22,830
315
Wavestone
19,055
573
Wiit
SpA
11,163
3,312,805
Leisure
Products
(0.4%):
4,700
Bandai
Namco
Holdings,
Inc.
87,025
1,496
Beneteau
SACA
22,064
705
BRP,
Inc.
47,342
1,042
Catana
Group
5,280
1,377
Games
Workshop
Group
plc
174,641
1,000
GLOBERIDE,
Inc.
13,295
874
Harvia
Oyj
36,128
500
Mars
Group
Holdings
Corp.
10,785
800
Mizuno
Corp.
33,416
800
Roland
Corp.
24,381
7,000
Sankyo
Co.,
Ltd.
76,436
376
Sanlorenzo
SpA/Ameglia
17,096
3,900
Sega
Sammy
Holdings,
Inc.
48,238
500
Shimano,
Inc.
74,672
1,400
Snow
Peak,
Inc.*
11,557
700
Spin
Master
Corp.(a)
17,913
3,815
Technogym
SpA(a)
37,860
1,290
Thule
Group
AB(a)
38,864
3,300
Tomy
Co.,
Ltd.
60,276
1,800
Tsuburaya
Fields
Holdings,
Inc.
20,877
700
Universal
Entertainment
Corp.
8,907
2,100
Yamaha
Corp.
45,252
3,500
Yonex
Co.,
Ltd.
25,614
937,919
Life
Sciences
Tools
&
Services
(0.4%):
4,332
AddLife
AB,
Class
B
45,290
840
Biotage
AB
14,278
900
CellSource
Co.,
Ltd.^
8,848
315
Chemometec
A/S
19,467
3,005
Eurofins
Scientific
SE
191,340
879
Evotec
SE*
13,721
Shares
Value
Common
Stocks,
continued
Life
Sciences
Tools
&
Services,
continued
1,138
Gerresheimer
AG
$
128,145
529
Lonza
Group
AG,
Registered
Shares
316,787
697
Medcap
AB*
24,844
585
PolyPeptide
Group
AG*(a)
19,650
793
QIAGEN
NV
33,906
1,245
QIAGEN
NV*
53,523
91
Sartorius
Stedim
Biotech
25,929
1,600
Shin
Nippon
Biomedical
Laboratories,
Ltd.
16,244
110
Siegfried
Holding
AG,
Registered
Shares
112,286
1,024,258
Machinery
(4.2%):
3,402
Aalberts
NV
163,385
600
Ag
Growth
International,
Inc.
27,183
2,600
Aichi
Corp.
18,425
2,100
Aida
Engineering,
Ltd.
12,297
781
Alfa
Laval
AB
30,706
3,214
Alimak
Group
AB(a)
29,409
900
Alinco,
Inc.
6,164
8,646
Alstom
SA
131,693
8,100
Amada
Co.,
Ltd.
92,665
1,286
ANDRITZ
AG
80,183
2,000
Anest
Iwata
Corp.
17,827
2,700
Asahi
Diamond
Industrial
Co.,
Ltd.
17,087
17,002
Atlas
Copco
AB,
Class
A
286,976
9,882
Atlas
Copco
AB,
Class
B
145,910
1,649
ATS
Corp.*
55,494
1,300
Bando
Chemical
Industries,
Ltd.
16,154
1,230
Beijer
Alma
AB,
Class
B
22,228
6,881
Bodycote
plc
60,425
310
Bucher
Industries
AG,
Registered
Shares
136,398
104
Burckhardt
Compression
Holding
AG
65,149
56
Bystronic
AG
29,615
1,043
Cargotec
Oyj,
Class
B
72,626
1,300
CKD
Corp.
26,058
1,023
Concentric
AB
18,296
1,110
Construcciones
y
Auxiliar
de
Ferrocarriles
SA
40,457
284
Daetwyler
Holding
AG,
Class
BR
58,576
3,300
Daifuku
Co.,
Ltd.
79,169
10,407
Daimler
Truck
Holding
AG
527,113
2,100
Daiwa
Industries,
Ltd.
22,156
745
Danieli
&
C
Officine
Meccaniche
SpA^
26,442
1,585
Danieli
&
C
Officine
Meccaniche
SpA,
Savings
Share
41,793
3,100
DMG
Mori
Co.,
Ltd.
81,916
2,392
Duerr
AG
55,268
1,400
Ebara
Corp.
125,514
6,740
Electrolux
Professional
AB,
Class
B
44,002
4,153
Epiroc
AB,
Class
A
78,324
2,147
Epiroc
AB,
Class
B
36,367
1,400
FANUC
Corp.
39,162
Fincantieri
SpA*
2,271
FLSmidth
&
Co.
A/S
113,629
622
Fluidra
SA
14,709
13,800
Frencken
Group,
Ltd.
17,083
2,000
Fuji
Corp.
35,339
500
Fukushima
Galilei
Co.,
Ltd.
19,665
1,700
Furukawa
Co.,
Ltd.
20,374
5,554
GEA
Group
AG
234,790
2,556
Georg
Fischer
AG,
Registered
Shares
189,464
371
Gesco
SE
6,984
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
21
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Machinery,
continued
2,000
Glory,
Ltd.
$
37,733
1,300
Harmonic
Drive
Systems,
Inc.
34,708
16,185
Heidelberger
Druckmaschinen
AG*
18,160
5,448
Hexagon
Composites
ASA*
9,444
1,869
Hexagon
Purus
ASA*
1,073
9,100
Hino
Motors,
Ltd.*
30,465
600
Hirata
Corp.
30,979
1,200
Hisaka
Works,
Ltd.
8,072
3,600
Hitachi
Construction
Machinery
Co.,
Ltd.
108,715
5,600
Hitachi
Zosen
Corp.
48,900
400
Hoshizaki
Corp.
14,591
1,000
Hosokawa
Micron
Corp.
31,430
679
Husqvarna
AB,
A
Shares
5,833
4,747
Husqvarna
AB,
B
Shares
40,631
3,300
IHI
Corp.
88,300
7,726
IMI
plc
176,797
3,055
Indutrade
AB
83,240
441
Interpump
Group
SpA
21,490
12
Interroll
Holding
AG,
Class
R
39,909
1,300
Iseki
&
Co.,
Ltd.
8,795
8,499
Iveco
Group
NV*
126,517
1,900
Japan
Steel
Works,
Ltd.
(The)
42,365
699
JOST
Werke
SE(a)
35,892
3,700
Juki
Corp.
13,987
139
Kardex
Holding
AG,
Registered
Shares
38,991
900
Kato
Works
Co.,
Ltd.
9,063
3,100
Kawasaki
Heavy
Industries,
Ltd.
101,889
3,210
KION
Group
AG
168,919
400
Kitagawa
Corp.
4,379
2,600
Kitz
Corp.
23,330
1,763
Knorr-Bremse
AG
133,324
572
Koenig
&
Bauer
AG*
7,712
13,600
Komatsu,
Ltd.
402,781
184
Komax
Holding
AG,
Class
R
35,661
2,900
Komori
Corp.
23,578
4,562
Kone
Oyj,
Class
B
212,169
2,000
Konecranes
Oyj
103,712
187
Krones
AG
24,752
4,500
Kubota
Corp.
71,666
1,400
Kurita
Water
Industries,
Ltd.
58,096
1,000
Kyokuto
Kaihatsu
Kogyo
Co.,
Ltd.
16,924
1,200
Maezawa
Kyuso
Industries
Co.,
Ltd.
9,931
700
Makino
Milling
Machine
Co.,
Ltd.
29,060
2,500
Makita
Corp.
70,933
586
Manitou
BF
SA
16,014
800
Max
Co.,
Ltd.
16,862
896
McPhy
Energy
SA*
1,833
1,800
Meidensha
Corp.
33,874
800
METAWATER
Co.,
Ltd.
11,759
16,814
Metso
Oyj
199,479
5,432
MINEBEA
MITSUMI,
Inc.
106,494
3,100
MISUMI
Group,
Inc.
43,246
11,000
Mitsubishi
Heavy
Industries,
Ltd.
99,795
1,000
Mitsubishi
Logisnext
Co.,
Ltd.
12,149
700
Mitsuboshi
Belting,
Ltd.
21,485
2,900
Mitsui
E&S
Co.,
Ltd.
36,807
1,100
Miura
Co.,
Ltd.
21,311
10,151
Morgan
Advanced
Materials
plc
36,537
1,500
Morita
Holdings
Corp.
16,250
Shares
Value
Common
Stocks,
continued
Machinery,
continued
1,900
Nabtesco
Corp.
$
31,751
800
Nachi-Fujikoshi
Corp.
18,317
2,000
Namura
Shipbuilding
Co.,
Ltd.
26,549
1,456
NFI
Group,
Inc.*
13,835
8,900
NGK
Insulators,
Ltd.
119,512
2,300
Nikkiso
Co.,
Ltd.
18,794
1,267
Nilfisk
Holding
A/S*
25,984
3,900
Nippon
Thompson
Co.,
Ltd.
16,484
400
Nissei
ASB
Machine
Co.,
Ltd.
13,693
800
Nitta
Corp.
20,933
500
Nitto
Kohki
Co.,
Ltd.
6,399
1,900
Nitto
Seiko
Co.,
Ltd.
7,973
1,600
Nomura
Micro
Science
Co.,
Ltd.
56,372
600
Noritake
Co.,
Ltd.
16,690
995
Norma
Group
SE
18,492
7,700
NSK,
Ltd.
43,892
14,800
NTN
Corp.
30,857
400
Obara
Group,
Inc.^
10,053
4,495
OC
Oerlikon
Corp.
AG
19,796
1,700
Oiles
Corp.
24,949
400
Okamoto
Machine
Tool
Works,
Ltd.
17,136
600
OKUMA
Corp.
28,452
1,000
Organo
Corp.
49,748
2,800
OSG
Corp.
40,280
692
Palfinger
AG
17,197
150
Plasson
Industries,
Ltd.
6,268
122
Rational
AG
105,131
70
Rieter
Holding
AG,
Registered
Shares
10,123
16,905
Rotork
plc
70,212
1,800
Ryobi,
Ltd.
35,734
6,696
Sandvik
AB
148,603
1,900
Savaria
Corp.
23,512
404
Schindler
Holding
AG,
Registered
Shares
98,558
1,037,603
Seatrium,
Ltd.*
60,771
684
SFS
Group
AG
89,886
1,100
Shibaura
Machine
Co.,
Ltd.
26,624
1,200
Shima
Seiki
Manufacturing,
Ltd.
10,984
1,900
Shinmaywa
Industries,
Ltd.
15,476
78,000
Singamas
Container
Holdings,
Ltd.
5,586
2,200
Sintokogio,
Ltd.
18,369
3,528
Skellerup
Holdings,
Ltd.
9,485
4,224
SKF
AB,
B
Shares^
86,116
892
SKF
AB,
Class
A
18,212
100
SMC
Corp.
56,434
2,300
Sodick
Co.,
Ltd.
10,945
306
Spirax-Sarco
Engineering
plc
38,889
772
Stabilus
SE
49,117
1,832
Stadler
Rail
AG
58,342
1,600
Star
Micronics
Co.,
Ltd.
19,584
849
Sulzer
AG,
Registered
Shares
103,213
4,000
Sumitomo
Heavy
Industries,
Ltd.
125,981
3,900
Tadano,
Ltd.
33,344
900
Takeuchi
Manufacturing
Co.,
Ltd.
36,077
1,300
Takuma
Co.,
Ltd.
16,126
3,785
Talgo
SA(a)
18,347
478
Technotrans
SE
9,332
11,687
Techtronic
Industries
Co.,
Ltd.
158,452
1,000
Teikoku
Electric
Manufacturing
Co.,
Ltd.
16,722
1,900
THK
Co.,
Ltd.
44,729
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
22
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Machinery,
continued
2,100
Tocalo
Co.,
Ltd.
$
24,614
1,392
TOMRA
Systems
ASA
21,922
1,400
Torishima
Pump
Manufacturing
Co.,
Ltd.
26,097
800
Toyota
Industries
Corp.
83,639
2,304
Trelleborg
AB,
Class
B
82,372
1,098
Troax
Group
AB
25,260
1,100
Tsubaki
Nakashima
Co.,
Ltd.
6,027
1,400
Tsubakimoto
Chain
Co.
47,095
1,800
Tsugami
Corp.
13,671
1,200
Tsukishima
Holdings
Co.,
Ltd.
11,235
600
Tsurumi
Manufacturing
Co.,
Ltd.
14,839
700
Union
Tool
Co.
20,539
4,290
Valmet
Oyj
112,848
578
VAT
Group
AG(a)
298,992
1,074
VBG
Group
AB,
Class
B
31,425
8,132
Vesuvius
plc
50,785
2,091
Volvo
AB,
Class
A
57,593
16,756
Volvo
AB,
Class
B^
453,900
229
Vossloh
AG
11,290
1,416
Wacker
Neuson
SE
26,211
7,099
Wartsila
Oyj
Abp
107,824
560
Washtec
AG
23,833
2,970
Weir
Group
plc
(The)
75,770
3,000
YAMABIKO
Corp.
39,773
61,900
Yangzijiang
Shipbuilding
Holdings,
Ltd.
87,602
2,600
Yaskawa
Electric
Corp.
110,612
10,944,630
Marine
Transportation
(0.5%):
1,600
Algoma
Central
Corp.
17,507
3,578
AMSC
ASA
9,016
28
AP
Moller
-
Maersk
A/S,
Class
A
35,789
25
AP
Moller
-
Maersk
A/S,
Class
B
32,511
556
Clarkson
plc
28,135
894
D/S
Norden
A/S
36,458
1,478
Dfds
A/S
42,966
2,760
Golden
Ocean
Group,
Ltd.
34,778
426
Hapag-Lloyd
AG(a)
64,198
2,360
Hoegh
Autoliners
ASA
20,131
3,300
Iino
Kaiun
Kaisha,
Ltd.
27,494
5,897
Irish
Continental
Group
plc
30,856
2,300
Japan
Transcity
Corp.
10,079
3,900
Kawasaki
Kisen
Kaisha,
Ltd.
52,372
1,189
Klaveness
Combination
Carriers
ASA(a)
10,327
794
Kuehne
+
Nagel
International
AG,
Class
R
221,001
5,100
Mitsui
OSK
Lines,
Ltd.
155,404
19,192
MPC
Container
Ships
ASA
22,255
4,700
Nippon
Yusen
KK
128,869
600
NS
United
Kaiun
Kaisha,
Ltd.
18,734
1,260
Odfjell
SE,
A
Shares
15,904
185,000
Pacific
Basin
Shipping,
Ltd.
53,471
52,000
SITC
International
Holdings
Co.,
Ltd.
95,013
1,067
Stolt-Nielsen,
Ltd.
39,336
4,623
Wallenius
Wilhelmsen
ASA
37,637
1,240,241
Media
(0.9%):
1,150
4imprint
Group
plc
92,138
3,715
Aimia,
Inc.*
7,022
996
Alma
Media
Oyj
10,592
Shares
Value
Common
Stocks,
continued
Media,
continued
65
APG
SGA
SA
$
15,930
8,376
ARN
Media,
Ltd.
4,805
14,475
Arnoldo
Mondadori
Editore
SpA
36,373
12,859
Ascential
plc*
49,360
4,886
Atresmedia
Corp.
de
Medios
de
Comunicacion
SA
23,361
1,951
Bloomsbury
Publishing
plc
12,991
701
Cogeco
Communications,
Inc.
31,096
5,394
Corus
Entertainment,
Inc.,
Class
B
2,907
5,600
CyberAgent,
Inc.
40,623
1,800
Dentsu
Group,
Inc.
49,871
2,100
Direct
Marketing
MiX,
Inc.
4,370
5,775
Eutelsat
Communications
SACA*^
25,174
2,800
Fuji
Media
Holdings,
Inc.
33,906
1,813
Future
plc
14,077
2,300
Gakken
Holdings
Co.,
Ltd.
14,120
7,000
Hakuhodo
DY
Holdings,
Inc.
63,083
13,480
Informa
plc
141,299
500
Intage
Holdings,
Inc.
5,230
1,459
IPSOS
SA
102,808
83,997
ITV
plc
78,503
9,582
IVE
Group,
Ltd.
13,609
2,708
JCDecaux
SE*
52,564
1,600
Kadokawa
Corp.
28,077
1,300
Macromill,
Inc.
6,656
1,664
Metropole
Television
SA
24,802
9,409
MFE-MediaForEurope
NV,
Class
A
24,403
2,046
MFE-MediaForEurope
NV,
Class
B
7,096
3,263
Next
15
Group
plc
38,117
58,186
Nine
Entertainment
Co.
Holdings,
Ltd.
64,830
1,307
NRJ
Group
11,082
19,083
oOh!media,
Ltd.
22,146
602
Perion
Network,
Ltd.*
13,570
68,000
Pico
Far
East
Holdings,
Ltd.
14,422
7,255
ProSiebenSat.1
Media
SE
50,968
1,300
Proto
Corp.
12,099
2,965
Publicis
Groupe
SA
323,078
12,118
Reach
plc
12,015
1,196
RTL
Group
SA
40,353
10,874
S4
Capital
plc*
7,235
3,469
Sanoma
Oyj
25,482
979
Schibsted
ASA,
Class
A
31,276
813
Schibsted
ASA,
Class
B
24,800
14,802
SES
SA
98,631
60,999
Seven
West
Media,
Ltd.*
7,491
6,212
SKY
Network
Television,
Ltd.
10,499
7,900
SKY
Perfect
JSAT
Holdings,
Inc.
53,918
15,013
Southern
Cross
Media
Group,
Ltd.
9,341
1,563
Stroeer
SE
&
Co.
KGaA
95,042
1,900
TBS
Holdings,
Inc.
52,942
15,000
Television
Broadcasts,
Ltd.*
5,901
4,175
Television
Francaise
1
SA
38,123
1,400
TV
Asahi
Holdings
Corp.
19,284
500
Tv
Tokyo
Holdings
Corp.
9,789
232
TX
Group
AG
38,334
1,000
ValueCommerce
Co.,
Ltd.
7,064
1,600
Vector,
Inc.
12,395
23,328
Viaplay
Group
AB*
2,068
19,231
Vivendi
SE
209,734
500
Wowow,
Inc.
3,728
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
23
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Media,
continued
5,041
WPP
plc
$
47,697
700
Zenrin
Co.,
Ltd.
3,940
2,434,240
Metals
&
Mining
(4.6%):
5,632
Acerinox
SA
61,759
6,394
Agnico
Eagle
Mines,
Ltd.
381,308
1,039
Agnico
Eagle
Mines,
Ltd.
61,976
400
Aichi
Steel
Corp.
10,193
8,606
Alamos
Gold,
Inc.
126,891
41,565
Alkane
Resources,
Ltd.*
17,071
3,768
Alleima
AB
25,405
1,400
Altius
Minerals
Corp.
21,242
50,390
Alumina,
Ltd.*
46,905
723
AMG
Critical
Materials
NV
16,381
8,678
Anglo
American
plc
214,392
2,779
Antofagasta
plc
71,725
1,687
APERAM
SA
53,318
68,339
Arafura
Rare
Earths,
Ltd.*
9,135
1,485
ArcelorMittal
SA,
NYS
40,956
5,723
ArcelorMittal
SA
157,204
2,800
ARE
Holdings,
Inc.
35,543
12,400
Argonaut
Gold,
Inc.*
3,571
16,100
Ascot
Resources,
Ltd.*^
8,915
3,752
Atalaya
Mining
plc
18,371
116,831
Aurelia
Metals,
Ltd.*
11,798
1,034
Aurubis
AG
72,696
25,622
AVZ
Minerals,
Ltd.*
2,686
41,032
B2Gold
Corp.
107,548
14,892
Barrick
Gold
Corp.
247,724
1,280
Bekaert
SA
65,597
29,659
Bellevue
Gold,
Ltd.*
36,838
6,077
BHP
Group,
Ltd.,
ADR^
350,582
38,377
BHP
Group,
Ltd.
1,108,041
8,456
BlueScope
Steel,
Ltd.
131,548
4,700
Boliden
AB
130,238
8,386
Capricorn
Metals,
Ltd.*
28,385
10,300
Capstone
Copper
Corp.*
65,554
36,114
Centamin
plc
51,507
7,200
Centerra
Gold,
Inc.
42,528
8,967
Central
Asia
Metals
plc
22,402
11,257
Champion
Iron,
Ltd.
54,425
16,254
China
Gold
International
Resources
Corp.,
Ltd.
103,688
5,000
Daido
Steel
Co.,
Ltd.
57,907
1,400
Daiki
Aluminium
Industry
Co.,
Ltd.
11,343
27,367
De
Grey
Mining,
Ltd.*
22,822
7,050
Deterra
Royalties,
Ltd.
22,647
2,200
Dowa
Holdings
Co.,
Ltd.
75,931
9,600
Dundee
Precious
Metals,
Inc.
73,006
7,200
ECORA
RESOURCES
plc
6,952
8,162
Eldorado
Gold
Corp.*
114,740
10,609
Emerald
Resources
NL*
20,459
4,293
Endeavour
Mining
plc
87,229
3,800
Endeavour
Silver
Corp.*
9,146
13,107
Equinox
Gold
Corp.*
79,064
481
Eramet
SA
36,537
1,599
ERO
Copper
Corp.*
30,837
71,986
Evolution
Mining,
Ltd.
170,002
7,778
Evraz
plc*(b)
7,330
Ferrexpo
plc*
4,035
Shares
Value
Common
Stocks,
continued
Metals
&
Mining,
continued
6,600
First
Majestic
Silver
Corp.
$
38,740
6,267
First
Quantum
Minerals,
Ltd.
67,371
16,624
Fortescue,
Ltd.
278,507
7,300
Fortuna
Silver
Mines,
Inc.*
27,111
540
Franco-Nevada
Corp.
64,350
4,743
Fresnillo
plc
28,173
8,215
Galiano
Gold,
Inc.*
11,403
7,520
Genesis
Minerals,
Ltd.*
9,218
169,055
Glencore
plc
929,859
1,100
Godo
Steel,
Ltd.
41,650
8,900
GoGold
Resources,
Inc.*
8,083
32,369
Gold
Road
Resources,
Ltd.
33,730
4,992
Granges
AB
53,977
2,043
Hill
&
Smith
plc
50,502
9,715
Hochschild
Mining
plc*
15,602
14,862
Hudbay
Minerals,
Inc.
104,025
15,631
IAMGOLD
Corp.*
52,165
6,077
IGO,
Ltd.
28,049
15,540
Iluka
Resources,
Ltd.
73,155
18,158
Imdex,
Ltd.
27,587
3,605
Ivanhoe
Mines,
Ltd.*
43,013
10,500
JFE
Holdings,
Inc.
173,693
50,009
Jupiter
Mines,
Ltd.
7,353
3,200
K92
Mining,
Inc.*
14,885
2,436
K92
Mining,
Inc.
11,331
5,400
Karora
Resources,
Inc.*
20,254
47,233
Kinross
Gold
Corp.
289,801
12,000
Kobe
Steel,
Ltd.
162,690
1,800
Kyoei
Steel,
Ltd.
28,092
1,600
Labrador
Iron
Ore
Royalty
Corp.
34,117
2,100
Largo,
Inc.*
3,458
14,207
Lucara
Diamond
Corp.*
3,304
4,500
Lundin
Gold,
Inc.
63,260
19,226
Lundin
Mining
Corp.
196,746
8,346
Lynas
Rare
Earths,
Ltd.*
30,832
48,387
Macmahon
Holdings,
Ltd.
7,099
1,600
Major
Drilling
Group
International,
Inc.*
10,632
1,500
Maruichi
Steel
Tube,
Ltd.
40,018
176,000
Midas
Holdings,
Ltd.*(b)
1,585
Mineral
Resources,
Ltd.
73,346
4,200
Mitsubishi
Materials
Corp.
78,946
500
Mitsubishi
Steel
Manufacturing
Co.,
Ltd.
4,803
1,500
Mitsui
Mining
&
Smelting
Co.,
Ltd.
45,890
30,000
Mongolian
Mining
Corp.*
34,835
27,183
Mount
Gibson
Iron,
Ltd.*
7,618
2,200
Neturen
Co.,
Ltd.
16,060
27,410
New
Gold,
Inc.*
46,142
4,520
Newmont
Corp.
160,049
409
Newmont
Corp.
14,664
58,536
Nickel
Industries,
Ltd.
31,033
6,200
Nippon
Denko
Co.,
Ltd.
13,009
2,700
Nippon
Light
Metal
Holdings
Co.,
Ltd.
31,999
8,895
Nippon
Steel
Corp.
213,899
930
Nippon
Yakin
Kogyo
Co.,
Ltd.
29,628
400
Nittetsu
Mining
Co.,
Ltd.
12,906
9,246
Norsk
Hydro
ASA
51,007
12,588
Northern
Star
Resources,
Ltd.
120,125
28,628
OceanaGold
Corp.
64,679
21,175
OM
Holdings,
Ltd.
5,996
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
24
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Metals
&
Mining,
continued
2,207
Orla
Mining,
Ltd.*
$
8,365
500
Osaka
Steel
Co.,
Ltd.
7,206
600
OSAKA
Titanium
Technologies
Co.,
Ltd.
10,354
2,597
Osisko
Gold
Royalties,
Ltd.
42,625
12,854
Osisko
Mining,
Inc.*
26,384
15,995
Outokumpu
Oyj
69,484
900
Pacific
Metals
Co.,
Ltd.*
8,009
6,978
Pan
American
Silver
Corp.
105,206
33,353
Perenti,
Ltd.
21,320
41,346
Perseus
Mining,
Ltd.
58,557
36,817
Pilbara
Minerals,
Ltd.
92,251
42,517
Ramelius
Resources,
Ltd.
52,120
26,859
Regis
Resources,
Ltd.*
35,607
95,529
Resolute
Mining,
Ltd.*
27,039
4,026
Rio
Tinto
plc
255,420
5,634
Rio
Tinto,
Ltd.
447,810
1,335
Salzgitter
AG
34,852
18,215
Sandfire
Resources,
Ltd.*
105,671
4,900
Sandstorm
Gold,
Ltd.
25,687
1,200
Seabridge
Gold,
Inc.*
18,145
32,896
Silver
Lake
Resources,
Ltd.*
26,878
2,600
SilverCrest
Metals,
Inc.*
17,335
7,897
Sims,
Ltd.
65,657
53,653
SolGold
plc*
7,201
65,259
South32,
Ltd.
128,109
4,366
SSAB
AB,
Class
A
32,203
11,449
SSAB
AB,
Class
B
84,329
8,249
SSR
Mining,
Inc.
36,726
30,000
St
Barbara,
Ltd.*
3,446
1,600
Stelco
Holdings,
Inc.
52,770
4,366
Straits
Trading
Co.,
Ltd.
4,755
3,700
Sumitomo
Metal
Mining
Co.,
Ltd.
109,753
21,718
Swiss
Steel
Holding
AG*
1,728
17,205
Syrah
Resources,
Ltd.*
5,550
12,474
Taseko
Mines,
Ltd.*
26,801
5,838
Teck
Resources,
Ltd.,
Class
B
267,245
20,766
thyssenkrupp
AG
111,420
900
Toho
Titanium
Co.,
Ltd.
9,334
700
Toho
Zinc
Co.,
Ltd.
5,097
300
Tokyo
Rope
Manufacturing
Co.,
Ltd.
2,837
2,300
Tokyo
Steel
Manufacturing
Co.,
Ltd.
25,200
4,785
Torex
Gold
Resources,
Inc.*
70,447
969
Trevali
Mining
Corp.*(b)
1,700
Triple
Flag
Precious
Metals
Corp.
24,564
3,573
Tubacex
SA
12,854
1,500
UACJ
Corp.
42,866
2,097
Victoria
Gold
Corp.*
10,250
4,243
voestalpine
AG
119,043
4,200
Wesdome
Gold
Mines,
Ltd.*
31,289
49,123
West
African
Resources,
Ltd.*
38,842
14,470
Westgold
Resources,
Ltd.
24,912
2,016
Wheaton
Precious
Metals
Corp.
94,965
500
Yamato
Kogyo
Co.,
Ltd.
28,409
800
Yodogawa
Steel
Works,
Ltd.
24,186
11,978,285
Multi-Utilities
(0.7%):
29,442
A2A
SpA
53,134
2,232
ACEA
SpA
39,534
12,104
AGL
Energy,
Ltd.
65,775
Shares
Value
Common
Stocks,
continued
Multi-Utilities,
continued
5,995
Algonquin
Power
&
Utilities
Corp.
$
37,888
3,800
Algonquin
Power
&
Utilities
Corp.
24,017
1,624
Atco,
Ltd.,
Class
I
45,216
1,366
Canadian
Utilities,
Ltd.,
Class
A
31,114
173,947
Centrica
plc
280,062
16,090
E.ON
SE
223,613
13,001
Engie
SA
218,449
16,835
Hera
SpA
59,310
11,786
Iren
SpA
24,079
1,636
National
Grid
plc,
ADR^
111,608
8,455
National
Grid
plc
113,726
11,914
REN
-
Redes
Energeticas
Nacionais
SGPS
SA
28,270
14,300
Sembcorp
Industries,
Ltd.
57,222
2,456
Telecom
Plus
plc
50,505
6,489
Vector,
Ltd.
15,016
6,496
Veolia
Environnement
SA
210,720
1,689,258
Office
REITs
(0.0%
):
5,154
Helical
plc
13,528
Oil,
Gas
&
Consumable
Fuels
(7.5%):
7,481
Advantage
Energy,
Ltd.*
54,572
18,755
Africa
Oil
Corp.
32,680
4,461
Aker
BP
ASA
111,532
4,908
Ampol,
Ltd.
127,299
14,809
ARC
Resources,
Ltd.
264,056
507
Ashdod
Refinery,
Ltd.
12,081
21,809
Athabasca
Oil
Corp.*
84,215
2,116
Avance
Gas
Holding,
Ltd.(a)
24,139
7,549
Baytex
Energy
Corp.
27,255
69,875
Beach
Energy,
Ltd.
83,689
7,041
Birchcliff
Energy,
Ltd.
27,761
575
BLUENORD
ASA*
30,357
8,745
Boss
Energy,
Ltd.*
27,181
25,234
BP
plc,
ADR
950,817
151,966
BP
plc
954,659
173,000
Brightoil
Petroleum
Holdings,
Ltd.*(b)
4,310
BW
LPG,
Ltd.(a)
48,474
1,022
Cameco
Corp.
44,273
789
Cameco
Corp.
34,160
1,527
Canacol
Energy,
Ltd.^
5,186
4,300
Canadian
Natural
Resources,
Ltd.
328,056
6,882
Canadian
Natural
Resources,
Ltd.
525,234
6,930
Capricorn
Energy
plc
15,311
3,012
Cardinal
Energy,
Ltd.
15,745
194,347
Carnarvon
Energy,
Ltd.*
24,059
14,453
Cenovus
Energy,
Inc.
288,975
2,956
Cenovus
Energy,
Inc.
59,090
7,392
Channel
Infrastructure
NZ,
Ltd.
6,710
13,100
China
Aviation
Oil
Singapore
Corp.,
Ltd.
8,784
64,430
Cooper
Energy,
Ltd.*
9,263
2,300
Cosmo
Energy
Holdings
Co.,
Ltd.
115,276
15,061
Crescent
Point
Energy
Corp.
123,210
8,781
Crescent
Point
Energy
Corp.
71,916
8,223
Crew
Energy,
Inc.*
28,232
4,317
d'Amico
International
Shipping
SA
29,664
263
Delek
Group,
Ltd.
34,369
2,097
Diversified
Energy
Co.
plc
25,121
20,320
DNO
ASA
18,360
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
25
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
9,908
Enbridge,
Inc.
$
358,090
44,500
ENEOS
Holdings,
Inc.
214,251
3,899
Energean
plc
53,891
5,200
Enerplus
Corp.
102,165
41,770
Eni
SpA
662,174
120,434
EnQuest
plc*
21,419
10,282
Equinor
ASA
275,990
1,081
Equital,
Ltd.*
34,490
1,390
Etablissements
Maurel
et
Prom
SA
8,414
1,031
Euronav
NV
17,146
2,256
Euronav
NV
37,391
762
FLEX
LNG,
Ltd.
18,959
3,700
Freehold
Royalties,
Ltd.
39,857
2,600
Frontera
Energy
Corp.*
15,876
2,211
Frontline
plc
51,007
3,100
Fuji
Oil
Co.,
Ltd.
9,636
14,784
Galp
Energia
SGPS
SA
244,686
1,298
Gaztransport
Et
Technigaz
SA
194,118
15,200
Gear
Energy,
Ltd.
7,407
6,249
Genel
Energy
plc
6,572
5,750
Gibson
Energy,
Inc.
97,899
1,960
Gran
Tierra
Energy,
Inc.*
14,023
14,984
Gulf
Keystone
Petroleum,
Ltd.
21,423
6,147
Hafnia,
Ltd.
42,630
13,325
Harbour
Energy
plc
46,329
9,100
Headwater
Exploration,
Inc.
51,533
13,000
Idemitsu
Kosan
Co.,
Ltd.
89,102
2,273
Imperial
Oil,
Ltd.
156,797
17,900
Inpex
Corp.
272,787
2,823
International
Petroleum
Corp.*
33,662
2,244
International
Petroleum
Corp.*
26,592
3,600
Itochu
Enex
Co.,
Ltd.
37,087
1,700
Iwatani
Corp.
91,694
1,000
Japan
Petroleum
Exploration
Co.,
Ltd.
45,270
2,500
Journey
Energy,
Inc.*
6,147
34,924
Karoon
Energy,
Ltd.*
49,243
7,300
Kelt
Exploration,
Ltd.*
32,609
7,201
Keyera
Corp.
185,501
3,130
Koninklijke
Vopak
NV
120,590
10,807
MEG
Energy
Corp.*
248,152
1,700
Mitsuuroko
Group
Holdings
Co.,
Ltd.
15,855
1,502
Naphtha
Israel
Petroleum
Corp.,
Ltd.*
8,471
3,641
Neste
Oyj
98,695
21,426
New
Hope
Corp.,
Ltd.
64,915
64,000
NewOcean
Energy
Holdings,
Ltd.*
21,200
Nippon
Coke
&
Engineering
Co.,
Ltd.
18,108
7,754
NuVista
Energy,
Ltd.*
68,013
2,000
Obsidian
Energy,
Ltd.*
16,509
104,047
Oil
Refineries,
Ltd.
34,569
771
Okeanis
Eco
Tankers
Corp.(a)
22,882
4,124
OMV
AG
195,361
41,785
Paladin
Energy,
Ltd.*
37,302
5,770
Panoro
Energy
ASA
14,291
3,407
Paramount
Resources,
Ltd.,
Class
A
69,151
4,673
Parex
Resources,
Inc.
74,663
5,500
Parkland
Corp.
175,185
507
Paz
Oil
Co.,
Ltd.
54,206
1,584
Pembina
Pipeline
Corp.
55,979
2,578
Pembina
Pipeline
Corp.
91,003
Shares
Value
Common
Stocks,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
7,660
Peyto
Exploration
&
Development
Corp.
$
84,439
12,892
Pharos
Energy
plc
3,416
10,900
Pine
Cliff
Energy,
Ltd.
8,048
3,132
PrairieSky
Royalty,
Ltd.
61,350
35,781
Repsol
SA
597,128
1,600
Sala
Corp.
8,757
3,100
San-Ai
Obbli
Co.,
Ltd.
42,243
82,456
Santos,
Ltd.
416,375
23,460
Saras
SpA
44,980
8,575
Serica
Energy
plc
20,434
18,709
Shell
plc,
ADR
1,254,251
51,340
Shell
plc
1,703,040
400
Sinanen
Holdings
Co.,
Ltd.
13,116
2,000
Spartan
Delta
Corp.
5,597
487
Strathcona
Resources,
Ltd.*
10,219
9,472
Suncor
Energy,
Inc.
349,611
15,778
Suncor
Energy,
Inc.
582,355
1,871
Surge
Energy,
Inc.
10,651
3,041
Tamar
Petroleum,
Ltd.(a)
19,852
9,600
Tamarack
Valley
Energy,
Ltd.
27,218
1,817
TC
Energy
Corp.
73,043
10,014
TC
Energy
Corp.
402,512
3,303
Tethys
Oil
AB
10,973
13,400
Tidewater
Midstream
and
Infrastructure,
Ltd.
8,410
3,400
Topaz
Energy
Corp.
55,980
906
TORM
plc,
Class
A
30,923
663
TORM
plc,
Class
A
22,629
32,876
TotalEnergies
SE
2,260,244
7,938
Tourmaline
Oil
Corp.
371,171
64,721
Tullow
Oil
plc*
25,450
9,392
Var
Energi
ASA
31,035
542
Verbio
SE
12,303
4,283
Vermilion
Energy,
Inc.
53,253
18,519
Viva
Energy
Group,
Ltd.(a)
44,750
25,252
Whitecap
Resources,
Inc.
191,105
35,316
Whitehaven
Coal,
Ltd.
163,363
26,636
Woodside
Energy
Group,
Ltd.
531,956
7,763
Yancoal
Australia,
Ltd.
26,521
19,408,229
Paper
&
Forest
Products
(0.5%):
2,718
Altri
SGPS
SA^
15,328
2,829
Canfor
Corp.*
35,738
3,000
Daio
Paper
Corp.
23,216
8,317
Ence
Energia
y
Celulosa
SA
28,946
5,000
Hokuetsu
Corp.
61,371
871
Holmen
AB,
B
Shares
35,443
1,527
Interfor
Corp.*
23,857
9,927
Mondi
plc
174,896
11,089
Navigator
Co.
SA
(The)
48,428
4,800
Nippon
Paper
Industries
Co.,
Ltd.
37,071
2,562
Nordic
Paper
Holding
AB
12,712
5,393
Norske
Skog
ASA(a)
16,705
18,600
Oji
Holdings
Corp.
77,278
1,607
Stella-Jones,
Inc.
93,734
16,530
Stora
Enso
Oyj,
Class
R
229,846
6,185
Svenska
Cellulosa
AB
SCA,
Class
B
94,968
600
Tokushu
Tokai
Paper
Co.,
Ltd.
15,754
6,568
UPM-Kymmene
Oyj
218,578
1,707
West
Fraser
Timber
Co.,
Ltd.
147,409
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
26
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Paper
&
Forest
Products,
continued
24,618
Western
Forest
Products,
Inc.
$
11,451
1,402,729
Passenger
Airlines
(0.2%):
3,200
Air
Canada*
46,332
1,552
Air
France-KLM*
17,275
80,763
Air
New
Zealand,
Ltd.
29,082
1,200
ANA
Holdings,
Inc.
25,059
57,347
Cathay
Pacific
Airways,
Ltd.*
65,183
7,555
Deutsche
Lufthansa
AG,
Registered
Shares*
59,339
5,559
easyJet
plc
39,996
528
Exchange
Income
Corp.
19,301
2,700
Japan
Airlines
Co.,
Ltd.
51,231
2,549
JET2
plc
46,360
10,542
Qantas
Airways,
Ltd.*
37,473
27,100
Singapore
Airlines,
Ltd.
128,632
565,263
Personal
Care
Products
(0.6%):
157
Beiersdorf
AG
22,855
3,201
Best
World
International,
Ltd.*
5,027
1,500
Fancl
Corp.
19,939
5,222
Haleon
plc,
ADR
44,335
12,238
Haleon
plc
51,349
616
Interparfums
SA
34,664
514
Jamieson
Wellness,
Inc.(a)
10,118
1,800
Kao
Corp.
67,357
500
Kobayashi
Pharmaceutical
Co.,
Ltd.
16,200
200
Kose
Corp.
10,833
10,750
L'Occitane
International
SA
43,503
1,052
L'Oreal
SA
498,855
1,600
Mandom
Corp.
14,104
1,000
Milbon
Co.,
Ltd.
21,042
600
Noevir
Holdings
Co.,
Ltd.
20,589
2,645
Ontex
Group
NV*
22,358
161
Pharmanutra
SpA
9,896
1,200
Pola
Orbis
Holdings,
Inc.
11,480
5,635
PZ
Cussons
plc
6,372
2,000
Rohto
Pharmaceutical
Co.,
Ltd.
38,831
2,700
Shiseido
Co.,
Ltd.
73,818
5,719
Unilever
plc
287,128
1
Unilever
plc
50
5,419
Unilever
plc,
ADR
271,980
1,300
YA-MAN,
Ltd.^
8,549
1,611,232
Pharmaceuticals
(3.8%):
2,557
ALK-Abello
A/S*
46,032
15,687
Alliance
Pharma
plc
7,881
2,003
Almirall
SA
17,843
3,000
Astellas
Pharma,
Inc.
32,244
7,437
AstraZeneca
plc,
ADR
503,857
5,384
AstraZeneca
plc
724,760
49
Aurora
Cannabis,
Inc.*
215
1,145
Bausch
Health
Cos.,
Inc.*
12,148
5,086
Bausch
Health
Cos.,
Inc.*
53,887
18,067
Bayer
AG,
Registered
Shares
554,004
298
Boiron
SA
10,807
215
Camurus
AB*
10,191
90
Canopy
Growth
Corp.*
775
Shares
Value
Common
Stocks,
continued
Pharmaceuticals,
continued
5,000
Chugai
Pharmaceutical
Co.,
Ltd.
$
191,131
207
COSMO
Pharmaceuticals
NV
16,369
1,800
Daiichi
Sankyo
Co.,
Ltd.
57,218
330
Daito
Pharmaceutical
Co.,
Ltd.
5,094
699
Dermapharm
Holding
SE
24,613
500
Eisai
Co.,
Ltd.
20,600
192
Euroapi
SA*
579
9,153
Faes
Farma
SA
31,033
700
Fuji
Pharma
Co.,
Ltd.
7,535
500
Fuso
Pharmaceutical
Industries,
Ltd.
7,216
8,522
GSK
plc,
ADR
365,338
15,331
GSK
plc
329,196
10,077
H
Lundbeck
A/S
48,490
4,354
H
Lundbeck
A/S,
Class
A
18,074
3,600
Haw
Par
Corp.,
Ltd.
25,817
2,864
Hikma
Pharmaceuticals
plc
69,268
800
Hisamitsu
Pharmaceutical
Co.,
Inc.
20,700
3,664
Indivior
plc*
78,131
890
Ipsen
SA
105,774
1,000
Kaken
Pharmaceutical
Co.,
Ltd.
22,593
1,000
Kissei
Pharmaceutical
Co.,
Ltd.
23,387
5,747
Knight
Therapeutics,
Inc.*
22,489
900
Kyowa
Kirin
Co.,
Ltd.
16,183
977
Laboratorios
Farmaceuticos
Rovi
SA
85,212
4,918
Mayne
Pharma
Group,
Ltd.*
23,196
342
Merck
KGaA
60,351
400
Mochida
Pharmaceutical
Co.,
Ltd.
8,458
1,200
Nippon
Shinyaku
Co.,
Ltd.
35,607
11,343
Novartis
AG,
Registered
Shares
1,098,688
13,219
Novo
Nordisk
A/S,
Class
B
1,693,606
7,700
Ono
Pharmaceutical
Co.,
Ltd.
126,217
658
Orion
Oyj,
Class
A
24,547
3,504
Orion
Oyj,
Class
B
130,628
1,400
Otsuka
Holdings
Co.,
Ltd.
58,069
1,093
Recordati
Industria
Chimica
e
Farmaceutica
SpA
60,397
5,285
Roche
Holding
AG
1,349,363
247
Roche
Holding
AG,
Class
BR
66,495
558
Sandoz
Group
AG,
ADR*
16,796
6,129
Sandoz
Group
AG*
184,910
4,972
Sanofi
SA
487,773
7,200
Santen
Pharmaceutical
Co.,
Ltd.
70,885
1,300
Sawai
Group
Holdings
Co.,
Ltd.
50,850
1,300
Seikagaku
Corp.
6,517
1,000
Shionogi
&
Co.,
Ltd.
51,214
2,832
SNDL,
Inc.*
5,678
9,600
Sumitomo
Pharma
Co.,
Ltd.
24,711
1,100
Taisho
Pharmaceutical
Holdings
Co.,
Ltd.
62,207
12,600
Takeda
Pharmaceutical
Co.,
Ltd.
350,230
3,056
Teva
Pharmaceutical
Industries,
Ltd.,
ADR*
43,120
800
Torii
Pharmaceutical
Co.,
Ltd.
21,788
1,200
Towa
Pharmaceutical
Co.,
Ltd.
23,236
2,000
Tsumura
&
Co.
49,895
375
UCB
SA
46,243
38,000
United
Laboratories
International
Holdings,
Ltd.
(The)
43,483
166
Vetoquinol
SA
17,815
179
Virbac
SACA
66,768
1,100
ZERIA
Pharmaceutical
Co.,
Ltd.
15,373
9,941,798
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
27
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Professional
Services
(1.9%):
6,879
Adecco
Group
AG
$
272,003
2,295
AFRY
AB
36,602
10,413
ALS,
Ltd.
89,321
770
Altech
Corp.
13,941
203
Amadeus
Fire
AG
26,318
5,585
Applus
Services
SA
68,920
2,192
Arcadis
NV
134,115
2,200
BayCurrent
Consulting,
Inc.
43,145
1,800
Bell
System24
Holdings,
Inc.
18,614
372
Bertrandt
AG
18,316
1,661
Brunel
International
NV
18,229
5,801
Bureau
Veritas
SA
176,793
26,624
Capita
plc*
4,435
5,155
Computershare,
Ltd.
87,706
700
Creek
&
River
Co.,
Ltd.
9,114
180
Danel
Adir
Yeoshua,
Ltd.
15,404
1,200
dip
Corp.
21,946
1,661
DKSH
Holding
AG
113,001
900
en
Japan,
Inc.
15,828
6,580
Experian
plc
287,198
1,200
FULLCAST
Holdings
Co.,
Ltd.
11,455
1,500
Funai
Soken
Holdings,
Inc.
24,645
175
Groupe
Crit
SA
13,553
37,731
Hays
plc
44,969
690
Hilan,
Ltd.
43,914
1,600
Insource
Co.,
Ltd.
9,620
2,590
Intertek
Group
plc
163,168
4,969
IPH,
Ltd.
20,456
300
IR
Japan
Holdings,
Ltd.
2,613
4,000
JAC
Recruitment
Co.,
Ltd.
20,878
1,000
LIKE,
Inc.
11,023
19,489
Link
Administration
Holdings,
Ltd.
28,315
5,600
Link
And
Motivation,
Inc.
20,120
1,000
Management
Solutions
Co.,
Ltd.
14,021
3,076
McMillan
Shakespeare,
Ltd.
39,355
1,500
MEITEC
Group
Holdings,
Inc.
29,024
7,700
Nihon
M&A
Center
Holdings,
Inc.
49,025
1,900
Open
Up
Group,
Inc.
25,743
3,000
Outsourcing,
Inc.*
34,616
12,547
Pagegroup
plc
71,013
1,400
Pasona
Group,
Inc.
25,706
39,000
Persol
Holdings
Co.,
Ltd.
54,558
3,103
Randstad
NV
163,629
10,100
Recruit
Holdings
Co.,
Ltd.
444,985
5,236
RELX
plc,
ADR
226,666
6,345
RELX
plc
274,106
2,152
RELX
plc
93,192
2,833
Ricardo
plc
16,326
3,902
Robert
Walters
plc
20,039
5,749
RWS
Holdings
plc
13,641
1,750
SGS
SA,
Registered
Shares
169,783
1,300
SIGMAXYZ
Holdings,
Inc.
14,470
3,267
SmartGroup
Corp.,
Ltd.
20,705
2,500
SMS
Co.,
Ltd.
42,890
3,200
S-Pool,
Inc.
6,626
7,669
SThree
plc
41,561
1,633
Talenom
Oyj
10,458
1,100
Tanseisha
Co.,
Ltd.
6,359
2,800
TechnoPro
Holdings,
Inc.
55,962
Shares
Value
Common
Stocks,
continued
Professional
Services,
continued
1,404
Teleperformance
SE
$
136,127
2,200
TELUS
International
CDA,
Inc.*
18,631
89
Thomson
Reuters
Corp.
13,852
293
Thomson
Reuters
Corp.
45,658
1,000
TKC
Corp.
24,514
700
Transcosmos,
Inc.
14,268
1,100
UT
Group
Co.,
Ltd.
25,717
700
Visional,
Inc.*
44,854
300
Weathernews,
Inc.
10,121
4,148
Wolters
Kluwer
NV
649,523
4,833,402
Real
Estate
Management
&
Development
(2.1%):
697
Aedas
Homes
SA(a)
13,069
1,700
Aeon
Mall
Co.,
Ltd.
20,044
206
AFI
Properties,
Ltd.*
9,490
1,001
Airport
City,
Ltd.*
16,070
2,300
Airport
Facilities
Co.,
Ltd.
9,269
629
Allreal
Holding
AG,
Registered
Shares
107,969
1,972
Alony
Hetz
Properties
&
Investments,
Ltd.
14,496
492
Alrov
Properties
and
Lodgings,
Ltd.
20,636
100
Altus
Group,
Ltd.
3,831
2,393
Amot
Investments,
Ltd.
11,339
3,174
Annehem
Fastigheter
AB,
Class
B*
5,427
21,069
Aroundtown
SA*
44,422
46,000
Asia
Standard
International
Group,
Ltd.*
2,468
1,281
Atrium
Ljungberg
AB,
B
Shares
25,041
233
Azrieli
Group,
Ltd.
16,820
210
Big
Shopping
Centers,
Ltd.*
23,321
116
Blue
Square
Real
Estate,
Ltd.
8,007
59
Brack
Capital
Properties
NV*
3,728
1,139
BRANICKS
Group
AG
1,747
3,700
Bukit
Sembawang
Estates,
Ltd.
8,633
695
CA
Immobilien
Anlagen
AG
24,552
31,443
Capitaland
India
Trust
24,474
25,700
CapitaLand
Investment,
Ltd.
51,126
2,130
Castellum
AB*
27,991
781
Catena
AB
38,195
2,946
Cedar
Woods
Properties,
Ltd.
9,204
18,000
Chinese
Estates
Holdings,
Ltd.*
2,325
52,000
Chuang's
Consortium
International,
Ltd.*
2,790
851
Cibus
Nordic
Real
Estate
AB
(publ)
11,150
12,200
City
Developments,
Ltd.
52,981
1,684
Citycon
Oyj
6,950
27,675
CK
Asset
Holdings,
Ltd.
114,011
600
Colliers
International
Group,
Inc.
73,348
127
Colliers
International
Group,
Inc.
15,523
12,641
Corem
Property
Group
AB,
Class
B
12,873
340,000
CSI
Properties,
Ltd.
4,419
2,460
CTP
NV(a)
43,808
900
Daito
Trust
Construction
Co.,
Ltd.
102,614
8,400
Daiwa
House
Industry
Co.,
Ltd.
249,883
1,800
Dear
Life
Co.,
Ltd.
12,459
478
Deutsche
EuroShop
AG
9,786
1,307
Deutsche
Wohnen
SE
26,746
2,651
Dios
Fastigheter
AB
21,329
1,450
DREAM
Unlimited
Corp.
20,759
34,000
Emperor
International
Holdings,
Ltd.
1,729
577
Entra
ASA(a)
5,967
55,400
ESR
Group,
Ltd.(a)
59,338
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
28
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Real
Estate
Management
&
Development,
continued
4,939
Fabege
AB
$
46,197
83,930
Far
East
Consortium
International,
Ltd.
10,949
5,146
Fastighets
AB
Balder,
B
Shares*
37,752
862
FastPartner
AB,
Class
A
6,202
300
FirstService
Corp.,
Class
WI
49,671
436
FirstService
Corp.,
Class
WI
72,289
11,092
Foxtons
Group
plc
7,654
16,000
Frasers
Property,
Ltd.
10,073
2,231
Gav-Yam
Lands
Corp.,
Ltd.
17,006
1,100
Goldcrest
Co.,
Ltd.
18,438
28,069
Grainger
plc
91,235
1,873
Grand
City
Properties
SA*
21,417
10,516
Great
Eagle
Holdings,
Ltd.
14,763
17,100
GuocoLand,
Ltd.
19,002
28,000
Hang
Lung
Group,
Ltd.
32,239
39,984
Hang
Lung
Properties,
Ltd.
41,047
7,709
Harworth
Group
plc
13,461
1,200
Heiwa
Real
Estate
Co.,
Ltd.
31,480
14,706
Henderson
Land
Development
Co.,
Ltd.
41,979
143
Hiag
Immobilien
Holding
AG
12,560
37,840
HKR
International,
Ltd.
6,172
9,400
Ho
Bee
Land,
Ltd.
11,833
18,500
Hong
Fok
Corp.,
Ltd.
11,376
15,800
Hongkong
Land
Holdings,
Ltd.
48,516
2,049
Hufvudstaden
AB,
Class
A
24,902
7,600
Hulic
Co.,
Ltd.
78,037
11,000
Hysan
Development
Co.,
Ltd.
17,739
151
IES
Holdings,
Ltd.*
9,240
242
Immobel
SA
7,562
725
IMMOFINANZ
AG*
17,691
218
Ina
Invest
Holding
AG*
4,110
700
Information
Services
Corp.
14,311
2,409
Instone
Real
Estate
Group
SE(a)
23,209
29
Intershop
Holding
AG
20,839
164
Investis
Holding
SA
17,679
1,643
Israel
Canada
T.R,
Ltd.
6,551
59
Isras
Investment
Co.,
Ltd.
11,935
32,180
IWG
plc*
78,232
800
JINUSHI
Co.,
Ltd.
12,858
25,000
K.
Wah
International
Holdings,
Ltd.
5,724
1,500
Katitas
Co.,
Ltd.
19,553
1,200
Keihanshin
Building
Co.,
Ltd.
12,217
16,225
Kerry
Properties,
Ltd.
29,728
2,347
K-fast
Holding
AB*
4,671
3,270
Kojamo
Oyj
38,772
26,000
Kowloon
Development
Co.,
Ltd.
15,996
17,100
Lai
Sun
Development
Co.,
Ltd.*
1,332
44,500
Langham
Hospitality
Investments
and
Langham
Hospitality
Investments,
Ltd.
3,244
1,463
LEG
Immobilien
SE*
125,568
14,551
Lendlease
Corp.,
Ltd.
61,190
8,900
Leopalace21
Corp.
29,971
4,029
Lifestyle
Communities,
Ltd.
41,317
8,000
Liu
Chong
Hing
Investment,
Ltd.
4,927
4,644
LSL
Property
Services
plc
15,586
100
Mainstreet
Equity
Corp.
13,874
543
Mega
Or
Holdings,
Ltd.
14,518
463
Melisron,
Ltd.
34,290
59,000
Mingfa
Group
International
Co.,
Ltd.*
2,412
Shares
Value
Common
Stocks,
continued
Real
Estate
Management
&
Development,
continued
4,200
Mirarth
Holdings,
Inc.
$
13,825
5,100
Mitsubishi
Estate
Co.,
Ltd.
92,785
12,000
Mitsui
Fudosan
Co.,
Ltd.
129,315
9,306
Mivne
Real
Estate
KD,
Ltd.
22,985
342
Mobimo
Holding
AG,
Registered
Shares
98,220
100
Morguard
Corp.
8,737
28,087
New
World
Development
Co.,
Ltd.
29,643
1,539
Nexity
SA
15,723
1,700
Nisshin
Group
Holdings
Co.,
Ltd.
5,742
1,400
Nomura
Real
Estate
Holdings,
Inc.
39,591
522
NP3
Fastigheter
AB
10,780
3,693
Nyfosa
AB
36,403
17,900
OUE,
Ltd.
14,455
54,608
Oxley
Holdings,
Ltd.*
3,518
25,655
Pacific
Century
Premium
Developments,
Ltd.*
619
2,702
Pandox
AB
45,305
1,455
PATRIZIA
SE
13,532
5,361
PEXA
Group,
Ltd.*
47,370
1,195
Platzer
Fastigheter
Holding
AB,
Class
B
10,288
222
Prashkovsky
Investments
and
Construction,
Ltd.
5,674
1,324
PSP
Swiss
Property
AG,
Registered
Shares
173,499
125
Raysum
Co.,
Ltd.
2,845
3,244
Real
Matters,
Inc.*
14,658
4,100
Relo
Group,
Inc.
33,277
1,892
Sagax
AB,
Class
B
49,838
22,824
Samhallsbyggnadsbolaget
i
Norden
AB
8,981
1,200
SAMTY
Co.,
Ltd.
21,918
3,518
Savills
plc
47,392
1,875
Selvaag
Bolig
ASA
6,291
70,000
Shun
Tak
Holdings,
Ltd.*
6,714
100,800
Sinarmas
Land,
Ltd.
12,095
59,933
Sino
Land
Co.,
Ltd.
62,304
39,485
Sirius
Real
Estate,
Ltd.
48,805
5,000
Soundwill
Holdings,
Ltd.
4,453
200
SRE
Holdings
Corp.*
5,549
1,800
Starts
Corp.,
Inc.
37,434
2,567
StorageVault
Canada,
Inc.
9,780
1,800
Sumitomo
Realty
&
Development
Co.,
Ltd.
67,037
1,493
Summit
Real
Estate
Holdings,
Ltd.
18,943
1,800
Sun
Frontier
Fudousan
Co.,
Ltd.
22,237
8,921
Sun
Hung
Kai
Properties,
Ltd.
85,964
5,146
Swire
Pacific,
Ltd.,
Class
A
42,376
17,500
Swire
Pacific,
Ltd.,
Class
B
22,824
8,600
Swire
Properties,
Ltd.
18,092
1,615
Swiss
Prime
Site
AG,
Registered
Shares
152,311
4,471
TAG
Immobilien
AG*
61,131
21,000
TAI
Cheung
Holdings,
Ltd.
8,524
1,000
TKP
Corp.*
11,599
2,900
TOC
Co.,
Ltd.
13,322
6,400
Tokyo
Tatemono
Co.,
Ltd.
108,015
15,400
Tokyu
Fudosan
Holdings
Corp.
124,476
2,400
Tosei
Corp.
38,036
6,520
Tricon
Residential,
Inc.
72,691
213
UBM
Development
AG
4,320
12,600
UOL
Group,
Ltd.
53,781
435
VGP
NV
49,828
5,132
Vonovia
SE
151,755
5,039
Wallenstam
AB,
B
Shares
24,630
6
Warteck
Invest
AG,
Registered
Shares
12,210
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
29
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Real
Estate
Management
&
Development,
continued
6,203
Watkin
Jones
plc
$
3,192
12,829
Wharf
Real
Estate
Investment
Co.,
Ltd.
41,789
4,068
Wihlborgs
Fastigheter
AB
37,640
20,700
Wing
Tai
Holdings,
Ltd.
21,623
16,000
Wing
Tai
Properties,
Ltd.
4,457
148
YH
Dimri
Construction
&
Development,
Ltd.
11,646
17
Zug
Estates
Holding
AG,
Class
B
34,314
5,394,359
Retail
REITs
(0.0%
):
12,883
Investore
Property,
Ltd.
8,925
Semiconductors
&
Semiconductor
Equipment
(2.8%):
4,400
Advantest
Corp.
196,658
8,300
AEM
Holdings,
Ltd.
13,471
585
ASM
International
NV
356,336
1,726
ASML
Holding
NV,
NYS
1,675,031
1,186
ASML
Holding
NV
1,138,502
7,619
ASMPT,
Ltd.
95,891
698
BE
Semiconductor
Industries
NV
106,557
156
Camtek,
Ltd.*
12,978
600
Disco
Corp.
220,471
185
Elmos
Semiconductor
SE
14,748
1,700
Ferrotec
Holdings
Corp.
33,056
300
Furuya
Metal
Co.,
Ltd.
22,252
10,962
Infineon
Technologies
AG
372,610
24,323
IQE
plc*^
6,443
2,200
Japan
Material
Co.,
Ltd.
35,180
500
Lasertec
Corp.
141,818
500
Megachips
Corp.
12,764
707
Melexis
NV
57,290
700
Micronics
Japan
Co.,
Ltd.
38,695
800
Mimasu
Semiconductor
Industry
Co.,
Ltd.
16,268
500
Mitsui
High-Tec,
Inc.
28,302
1,737
Nordic
Semiconductor
ASA*
13,744
324
Nova,
Ltd.*
57,356
1,100
Optorun
Co.,
Ltd.
14,964
12,300
Renesas
Electronics
Corp.*
220,179
4,400
Rohm
Co.,
Ltd.
70,214
300
Rorze
Corp.
42,512
1,000
RS
Technologies
Co.,
Ltd.
20,059
700
Sanken
Electric
Co.,
Ltd.
30,717
1,200
SCREEN
Holdings
Co.,
Ltd.
156,133
600
Shibaura
Mechatronics
Corp.
25,516
300
Shindengen
Electric
Manufacturing
Co.,
Ltd.
6,022
1,000
Shinko
Electric
Industries
Co.,
Ltd.
37,345
743
Siltronic
AG
65,882
371
SMA
Solar
Technology
AG*
21,408
2,500
Socionext,
Inc.
68,255
690
SOITEC*
71,348
6,413
STMicroelectronics
NV
276,018
1,666
STMicroelectronics
NV,
NYS
72,038
409
SUESS
MicroTec
SE
16,126
11,800
SUMCO
Corp.
186,786
1,400
Tazmo
Co.,
Ltd.
34,797
3,100
Tokyo
Electron,
Ltd.
813,081
900
Tokyo
Seimitsu
Co.,
Ltd.
70,103
1,200
Torex
Semiconductor,
Ltd.
14,578
500
Towa
Corp.
33,265
1,335
Tower
Semiconductor,
Ltd.*
44,656
Shares
Value
Common
Stocks,
continued
Semiconductors
&
Semiconductor
Equipment,
continued
321
u-blox
Holding
AG
$
30,901
600
Ulvac,
Inc.
38,687
24,700
UMS
Holdings,
Ltd.
24,732
1,978
X-Fab
Silicon
Foundries
SE*(a)
14,960
1,200
Yamaichi
Electronics
Co.,
Ltd.
19,170
7,206,873
Software
(1.2%):
1,800
Access
Co.,
Ltd.*
20,828
1,484
accesso
Technology
Group
plc*
10,038
2,086
Altium,
Ltd.
88,643
177
Atoss
Software
AG
52,306
4,889
BlackBerry,
Ltd.*
13,392
19,135
Bravura
Solutions,
Ltd.*
17,483
3,570
Byggfakta
Group
Nordic
Holdco
AB*
15,445
7,675
Bytes
Technology
Group
plc
49,444
279
cBrain
A/S
15,366
4,700
Celsys,
Inc.
27,186
500
Computer
Engineering
&
Consulting,
Ltd.
5,122
4,726
Computer
Modelling
Group,
Ltd.
35,487
201
Constellation
Software,
Inc.
549,099
464
Crayon
Group
Holding
ASA*(a)
3,438
1,400
Cresco,
Ltd.
19,846
1,200
Cybozu,
Inc.
13,913
6,032
Darktrace
plc*
33,233
1,132
Dassault
Systemes
SE
50,063
564
Descartes
Systems
Group,
Inc.
(The)*
51,623
300
Descartes
Systems
Group,
Inc.
(The)*
27,444
300
Digital
Arts,
Inc.
8,612
989
Dye
&
Durham,
Ltd.
11,479
1,500
Enghouse
Systems,
Ltd.
33,812
669
FD
Technologies
plc*
10,382
1,600
Fixstars
Corp.
24,284
7,296
Fortnox
AB
45,561
1,966
F-Secure
Oyj
3,978
800
Fuji
Soft,
Inc.
31,709
900
Fukui
Computer
Holdings,
Inc.
15,364
4,528
GB
Group
plc
15,565
8,509
Hansen
Technologies,
Ltd.
27,001
700
I'll,
Inc.
13,973
16,011
Infomedia,
Ltd.
18,579
3,230
IRESS,
Ltd.*
17,473
1,500
Justsystems
Corp.
26,251
200
Kinaxis,
Inc.*
22,741
562
Lectra
19,612
4,811
Lightspeed
Commerce,
Inc.*
67,668
314
Lime
Technologies
AB
11,061
36
Linedata
Services
2,656
15,683
LINK
Mobility
Group
Holding
ASA*
28,743
1,195
Magic
Software
Enterprises,
Ltd.
13,791
500
Miroku
Jyoho
Service
Co.,
Ltd.
5,917
1,400
m-up
Holdings,
Inc.
10,831
1,504
Nemetschek
SE
148,806
145
Nice,
Ltd.*
37,813
30,146
Nuix,
Ltd.*
43,778
400
OBIC
Business
Consultants
Co.,
Ltd.
18,790
1,680
Open
Text
Corp.
65,195
896
Open
Text
Corp.
34,792
500
Oracle
Corp.
Japan
37,583
1,000
Plus
Alpha
Consulting
Co.,
Ltd.
16,023
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
30
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Software,
continued
601
QT
Group
Oyj*
$
49,536
900
Rakus
Co.,
Ltd.
12,138
5,734
Sage
Group
plc
(The)
91,556
1,640
SAP
SE
319,253
16,449
Sinch
AB*(a)
41,186
500
SRA
Holdings
13,050
8,400
Systena
Corp.
14,905
4,277
TeamViewer
SE*(a)
63,686
7,838
Technology
One,
Ltd.
86,669
1,942
Temenos
AG,
Registered
Shares
139,108
3,468
TomTom
NV*
27,714
1,500
Trend
Micro,
Inc.
76,305
3,188
Truecaller
AB,
Class
B*
9,743
12,001
Vista
Group
International,
Ltd.*
14,333
605
Vitec
Software
Group
AB,
B
Shares
31,410
44,000
Vobile
Group,
Ltd.*
9,064
1,200
WingArc1st,
Inc.
24,175
623
WiseTech
Global,
Ltd.
38,141
1,966
WithSecure
Oyj*
2,256
423
Xero,
Ltd.*
36,749
3,090,199
Specialty
Retail
(1.5%):
1,200
ABC-Mart,
Inc.
22,725
16,866
Accent
Group,
Ltd.
22,308
11,667
Adairs,
Ltd.
19,536
1,300
Adastria
Co.,
Ltd.
32,937
900
Alpen
Co.,
Ltd.
11,944
2,600
AOKI
Holdings,
Inc.
19,224
2,800
Aoyama
Trading
Co.,
Ltd.
30,967
3,270
ARCLANDS
Corp.
38,186
1,137
Aritzia,
Inc.*
31,397
1,006
ASOS
plc*^
4,867
1,143
Auto1
Group
SE*(a)
5,404
2,500
Autobacs
Seven
Co.,
Ltd.
26,079
613
AutoCanada,
Inc.*
12,166
2,778
Avolta
AG*
115,604
621
BHG
Group
AB*
1,073
2,300
Bic
Camera,
Inc.
19,482
2,768
Bilia
AB,
A
Shares
35,424
34,054
boohoo
Group
plc*^
15,453
3,245
Byggmax
Group
AB*
10,916
2,609
Carasso
Motors,
Ltd.
12,534
16,294
Card
Factory
plc*
19,027
3,919
CECONOMY
AG*
7,867
4,455
Cettire,
Ltd.*
11,757
800
Chiyoda
Co.,
Ltd.
4,689
32,200
Chow
Tai
Fook
Jewellery
Group,
Ltd.
47,554
1,435
Clas
Ohlson
AB,
B
Shares
19,443
51,069
Currys
plc*
39,091
4,700
DCM
Holdings
Co.,
Ltd.
45,479
928
Delek
Automotive
Systems,
Ltd.
5,656
7,507
DFS
Furniture
plc
10,465
291
Dor
Alon
Energy
in
Israel
1988,
Ltd.
6,060
2,929
Dunelm
Group
plc
41,900
5,584
Eagers
Automotive,
Ltd.
51,522
3,700
EDION
Corp.
37,220
115,950
Esprit
Holdings,
Ltd.*
1,690
1,200
Fast
Retailing
Co.,
Ltd.
371,921
995
Fielmann
Group
AG
45,681
Shares
Value
Common
Stocks,
continued
Specialty
Retail,
continued
917
Fnac
Darty
SA
$
28,689
280
Fox
Wizel,
Ltd.
26,195
4,126
Frasers
Group
plc*
42,264
2,300
Geo
Holdings
Corp.
28,826
100,000
Giordano
International,
Ltd.
26,343
7,052
H
&
M
Hennes
&
Mauritz
AB,
Class
B^
115,275
10,860
Halfords
Group
plc
21,996
1,000
Honeys
Holdings
Co.,
Ltd.
11,436
485
Hornbach
Holding
AG
&
Co.
KGaA
38,972
4,500
Hour
Glass,
Ltd.
(The)
5,334
2,800
IDOM,
Inc.
19,341
7,726
Industria
de
Diseno
Textil
SA
389,003
3,000
Istyle,
Inc.*
10,286
3,610
JB
Hi-Fi,
Ltd.
151,128
47,264
JD
Sports
Fashion
plc
80,118
700
JINS
Holdings,
Inc.
19,786
1,500
Joshin
Denki
Co.,
Ltd.
22,837
1,900
Joyful
Honda
Co.,
Ltd.
27,302
2,166
Kamux
Corp.
13,539
744
Kid
ASA(a)
9,740
58,089
Kingfisher
plc
182,675
26,469
KMD
Brands,
Ltd.
8,697
900
Kohnan
Shoji
Co.,
Ltd.
25,975
1,600
Komeri
Co.,
Ltd.
36,450
3,300
K's
Holdings
Corp.
28,351
1,766
Leon's
Furniture,
Ltd.
29,455
2,388
Lovisa
Holdings,
Ltd.
51,929
9,000
Luk
Fook
Holdings
International,
Ltd.
24,682
531
Maisons
du
Monde
SA(a)
2,484
2,347
Matas
A/S
39,863
1,681
MEKO
AB
18,921
1,563
Mobilezone
Holding
AG,
Registered
Shares
25,738
6,515
N
Brown
Group
plc*
1,315
1,800
Nextage
Co.,
Ltd.
34,106
3,966
Nick
Scali,
Ltd.
39,795
1,900
Nishimatsuya
Chain
Co.,
Ltd.
30,250
500
Nitori
Holdings
Co.,
Ltd.
75,381
3,600
Nojima
Corp.
40,143
28,290
Oriental
Watch
Holdings
12,945
2,000
PAL
GROUP
Holdings
Co.,
Ltd.
33,974
13,517
Pets
at
Home
Group
plc
45,780
76,677
Pinewood
Technologies
Group
plc*
37,155
3,411
Premier
Investments,
Ltd.
72,922
362
Retailors,
Ltd.
8,868
2,100
Sanrio
Co.,
Ltd.
40,400
600
Shimamura
Co.,
Ltd.
34,216
2,100
Sleep
Country
Canada
Holdings,
Inc.(a)
46,376
5,578
Super
Retail
Group,
Ltd.
58,534
3,968
Superdry
plc*
1,432
900
T-Gaia
Corp.
12,105
919
Unieuro
SpA^(a)
8,759
1,600
United
Arrows,
Ltd.
20,624
5,000
USS
Co.,
Ltd.
41,334
13,891
Vertu
Motors
plc
11,837
8,200
VT
Holdings
Co.,
Ltd.
29,012
8,991
Watches
of
Switzerland
Group
plc*(a)
40,748
4,054
WH
Smith
plc
67,350
8,059
Wickes
Group
plc
15,773
900
Workman
Co.,
Ltd.
23,695
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
31
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Specialty
Retail,
continued
800
World
Co.,
Ltd.
$
11,044
700
Xebio
Holdings
Co.,
Ltd.
4,468
12,508
XXL
ASA*(a)
1,073
14,700
Yamada
Holdings
Co.,
Ltd.
42,579
800
Yellow
Hat,
Ltd.
10,467
2,010
Zalando
SE*(a)
57,437
2,200
ZOZO,
Inc.
54,604
3,885,379
Technology
Hardware,
Storage
&
Peripherals
(0.3%):
48,648
ams-OSRAM
AG
56,414
4,100
Brother
Industries,
Ltd.
76,200
3,100
Canon,
Inc.
92,293
700
Eizo
Corp.
23,785
1,800
Elecom
Co.,
Ltd.
18,461
5,100
FUJIFILM
Holdings
Corp.
114,585
16,600
Konica
Minolta,
Inc.
54,282
960
Logitech
International
SA,
Class
R
85,922
4,000
MCJ
Co.,
Ltd.
35,451
12,000
PC
Partner
Group,
Ltd.
4,462
1,935
Quadient
SA
39,773
9,400
Ricoh
Co.,
Ltd.
83,713
600
Roland
DG
Corp.
21,488
3,800
Seiko
Epson
Corp.
66,385
900
Toshiba
TEC
Corp.
17,916
791,130
Textiles,
Apparel
&
Luxury
Goods
(2.1%):
525
adidas
AG
117,255
1,400
Asics
Corp.
66,126
448
Bijou
Brigitte
AG
18,413
989
Brunello
Cucinelli
SpA
113,085
6,725
Burberry
Group
plc
103,151
364
Calida
Holding
AG,
Registered
Shares
11,783
408
Canada
Goose
Holdings,
Inc.*
4,920
1,900
Canada
Goose
Holdings,
Inc.*
22,908
18,000
Chow
Sang
Sang
Holdings
International,
Ltd.
19,089
2,747
Cie
Financiere
Richemont
SA,
Registered
Shares
420,290
35,102
Coats
Group
plc
35,906
485
Delta
Galil,
Ltd.
21,348
14,425
Dr.
Martens
plc
16,008
1,142
Gildan
Activewear,
Inc.
42,402
4,231
Gildan
Activewear,
Inc.
157,038
400
Goldwin,
Inc.
25,447
900
Gunze,
Ltd.
32,259
174
Hermes
International
SCA
446,012
2,058
HUGO
BOSS
AG
121,263
1,500
Japan
Wool
Textile
Co.,
Ltd.
(The)
14,410
607
Kering
SA
239,893
700
Kurabo
Industries,
Ltd.
16,114
1,977
LVMH
Moet
Hennessy
Louis
Vuitton
SE
1,787,827
1,211
Marimekko
Oyj
16,237
1,891
Moncler
SpA
141,067
2,958
New
Wave
Group
AB,
Class
B
35,335
5,000
Onward
Holdings
Co.,
Ltd.
17,714
12,688
OVS
SpA(a)
33,341
44,000
Pacific
Textiles
Holdings,
Ltd.
7,089
3,804
Pandora
A/S
614,549
5,300
PRADA
SpA
41,995
2,690
Puma
SE
121,919
Shares
Value
Common
Stocks,
continued
Textiles,
Apparel
&
Luxury
Goods,
continued
7,277
Safilo
Group
SpA*
$
9,435
1,885
Salvatore
Ferragamo
SpA
22,920
40,200
Samsonite
International
SA*(a)
152,200
2,100
Sankyo
Seiko
Co.,
Ltd.
10,407
500
Sanyo
Shokai,
Ltd.
9,037
700
Seiko
Group
Corp.
18,869
17,500
Stella
International
Holdings,
Ltd.
27,905
906
Swatch
Group
AG
(The)
41,085
516
Swatch
Group
AG
(The),
Class
BR
119,754
11,500
Texhong
International
Group,
Ltd.*
6,292
60,000
Texwinca
Holdings,
Ltd.
5,601
3,200
TSI
Holdings
Co,
Ltd.
16,648
5,500
Unitika,
Ltd.*
6,050
377
Van
de
Velde
NV
13,820
1,000
Wacoal
Holdings
Corp.
24,392
33,514
Yue
Yuen
Industrial
Holdings,
Ltd.
47,571
5,414,179
Tobacco
(0.4%):
12,819
British
American
Tobacco
plc
389,553
13,254
Imperial
Brands
plc
296,273
10,200
Japan
Tobacco,
Inc.
271,945
2,779
Scandinavian
Tobacco
Group
A/S(a)
49,821
1,007,592
Trading
Companies
&
Distributors
(1.9%):
2,475
AddTech
AB,
B
Shares
56,275
500
ADENTRA,
Inc.
15,140
1,000
Alconix
Corp.
9,493
1,271
Alligo
AB,
Class
B
18,290
7,170
Ashtead
Group
plc
509,548
4,051
Ashtead
Technology
Holdings
plc
38,886
859
Azelis
Group
NV
18,133
653
BayWa
AG
17,712
2,058
Beijer
Ref
AB
30,519
1,271
Bergman
&
Beving
AB
24,879
236
Bossard
Holding
AG,
Registered
Shares
57,281
2,633
Brenntag
SE
221,766
955
Bufab
AB
37,435
2,141
Bunzl
plc
82,430
500
Chori
Co.,
Ltd.
11,169
70,000
CSC
Holdings,
Ltd.*
250
1,200
Daiichi
Jitsugyo
Co.,
Ltd.
16,803
1,272
Diploma
plc
59,829
4,000
Doman
Building
Materials
Group,
Ltd.
24,395
5,900
Finning
International,
Inc.
173,419
6,197
Grafton
Group
plc
78,371
1,100
Hanwa
Co.,
Ltd.
42,949
16,039
Howden
Joinery
Group
plc
183,369
1,797
IMCD
NV
316,657
1,800
Inaba
Denki
Sangyo
Co.,
Ltd.
41,735
1,800
Inabata
&
Co.,
Ltd.
37,913
3,700
ITOCHU
Corp.
158,684
616
Jacquet
Metals
SACA
12,240
500
Japan
Pulp
&
Paper
Co.,
Ltd.
17,115
700
Kamei
Corp.
9,538
900
Kanaden
Corp.
9,001
1,700
Kanamoto
Co.,
Ltd.
30,417
3,100
Kanematsu
Corp.
52,911
5,400
Marubeni
Corp.
93,539
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
32
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Trading
Companies
&
Distributors,
continued
1,500
Mitani
Corp.
$
18,419
14,400
Mitsubishi
Corp.
332,623
5,500
Mitsui
&
Co.,
Ltd.
257,009
800
Mitsui
Matsushima
Holdings
Co.,
Ltd.
15,329
1,271
Momentum
Group
AB
15,381
3,800
MonotaRO
Co.,
Ltd.
45,634
2,800
Nagase
&
Co.,
Ltd.
47,028
600
Nichiden
Corp.
10,533
1,200
Nishio
Holdings
Co.,
Ltd.
30,647
3,414
OEM
International
AB,
Class
B
33,497
700
Onoken
Co.,
Ltd.
8,668
22,000
Realord
Group
Holdings,
Ltd.*
15,347
3,537
Reece,
Ltd.
64,831
8,384
Rexel
SA
226,222
2,192
Richelieu
Hardware,
Ltd.
68,945
5,840
RS
GROUP
plc
53,499
2,804
Russel
Metals,
Inc.
93,308
207
Scope
Metals
Group,
Ltd.*
7,351
1,200
Senshu
Electric
Co.,
Ltd.
39,563
2,886
Seven
Group
Holdings,
Ltd.
76,705
500
Shinsho
Corp.
23,883
22,549
SIG
plc*
8,309
3,300
Sojitz
Corp.
86,967
409
Solar
A/S,
B
Shares
19,679
17,864
Speedy
Hire
plc
5,721
7,200
Sumitomo
Corp.
173,375
130,000
Theme
International
Holdings,
Ltd.*
10,299
269
Thermador
Groupe
25,622
1,965
Toromont
Industries,
Ltd.
189,115
2,100
Totech
Corp.
41,719
3,300
Toyota
Tsusho
Corp.
226,580
9,570
Travis
Perkins
plc
88,054
1,000
Trusco
Nakayama
Corp.
16,934
800
Wajax
Corp.
19,350
2,700
Wakita
&
Co.,
Ltd.
28,503
2,700
Yamazen
Corp.
23,872
800
Yuasa
Trading
Co.,
Ltd.
27,922
4,984,534
Transportation
Infrastructure
(0.5%):
855
Aena
SME
SA(a)
168,287
410
Aeroports
de
Paris
SA
56,166
14,039
Atlas
Arteria,
Ltd.
48,754
6,246
Auckland
International
Airport,
Ltd.
31,114
6,757
Enav
SpA(a)
28,280
822
Flughafen
Zurich
AG,
Registered
Shares
186,482
1,272
Fraport
AG
Frankfurt
Airport
Services
Worldwide*
67,042
8,326
Getlink
SE
141,694
1,618
Hamburger
Hafen
und
Logistik
AG*
28,982
182,200
Hutchison
Port
Holdings
Trust,
Class
U
22,965
1,940
James
Fisher
&
Sons
plc*
6,389
700
Japan
Airport
Terminal
Co.,
Ltd.
27,656
2,100
Kamigumi
Co.,
Ltd.
46,199
1,400
Mitsubishi
Logistics
Corp.
45,329
400
Nissin
Corp.
7,552
5,399
Port
of
Tauranga,
Ltd.
17,416
33,590
Qube
Holdings,
Ltd.
74,779
7,976
SATS,
Ltd.*
15,365
6,900
SIA
Engineering
Co.,
Ltd.
11,553
2,100
Sumitomo
Warehouse
Co.,
Ltd.
(The)
35,305
Shares
Value
Common
Stocks,
continued
Transportation
Infrastructure,
continued
14,732
Transurban
Group
$
128,037
1,941
Westshore
Terminals
Investment
Corp.
36,716
1,232,062
Water
Utilities
(0.1%):
7,001
Pennon
Group
plc
57,266
3,413
Severn
Trent
plc
106,481
45,000
SIIC
Environment
Holdings,
Ltd.
5,468
9,321
United
Utilities
Group
plc
121,173
290,388
Wireless
Telecommunication
Services
(0.8%):
1,292
1&1
AG
22,324
27,529
Airtel
Africa
plc(a)
36,725
3,670
Cellcom
Israel,
Ltd.*
15,772
4,821
Freenet
AG
135,635
88,000
Hutchison
Telecommunications
Hong
Kong
Holdings,
Ltd.
11,360
14,500
KDDI
Corp.
428,792
5,840
Millicom
International
Cellular
SA*
119,048
1,000
Okinawa
Cellular
Telephone
Co.
23,570
1,324
Orange
Belgium
SA*
19,580
8,995
Partner
Communications
Co.,
Ltd.*
39,219
4,751
Rogers
Communications,
Inc.,
Class
B
194,684
1,242
Rogers
Communications,
Inc.,
Class
B
50,922
35,000
SmarTone
Telecommunications
Holdings,
Ltd.
17,136
19,300
SoftBank
Corp.
247,895
4,600
SoftBank
Group
Corp.
274,933
21,800
StarHub,
Ltd.
19,058
14,576
Tele2
AB,
B
Shares
119,722
373,231
Vodafone
Group
plc
330,393
2,106,768
Total
Common
Stocks
(Cost
$222,756,029)
255,870,448
Preferred
Stocks
(0.5%):
Automobile
Components
(0.0%
):
2,535
Schaeffler
AG,
7.20%
17,090
Automobiles
(0.3%):
839
Bayerische
Motoren
Werke
AG,
8.57%,
5/15/20
89,950
657
Dr
Ing
hc
F
Porsche
AG,
1.09%(a)
65,391
1,966
Porsche
Automobil
Holding
SE,
5.21%,
5/20/20
104,198
3,723
Volkswagen
AG,
7.13%,
5/8/20
493,693
753,232
Chemicals
(0.0%
):
2,052
FUCHS
SE
101,603
Construction
Materials
(0.0%
):
123
STO
SE
&
Co
KGaA,
0.20%
20,985
Ground
Transportation
(0.0%
):
762
Sixt
SE,
6.07%
55,897
Health
Care
Equipment
&
Supplies
(0.0%
):
509
Draegerwerk
AG
&
Co.
KGaA,
0.37%
27,946
Household
Products
(0.1%):
1,709
Henkel
AG
&
Co.
KGaA,
2.48%,
4/21/20
137,329
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
33
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Percentages
indicated
are
based
on
net
assets
as
of
March
31,
2024.
Shares
Value
Preferred
Stocks,
continued
Life
Sciences
Tools
&
Services
(0.1%):
256
Sartorius
AG,
0.39%
$
101,799
Machinery
(0.0%
):
2,224
Jungheinrich
AG
82,229
Total
Preferred
Stocks
(Cost
$1,289,740)
1,298,110
Contracts
Warrants
(0.0%
):
Metals
&
Mining
(0.0%
):
2,352
Arafura
Rare
Earths,
Ltd.,
6/20/25*
86
Software
(0.0%
):
201
Constellation
Software,
Inc.,
3/31/40*(b)
Total
Warrants
(Cost
$—)
86
Shares
Rights
(0.0%
):
Household
Durables
(0.0%
):
5,576
Nobia
AB,
Expires
on
4/18/24*
2,970
Shares
Value
Rights,
continued
Metals
&
Mining
(0.0%
):
1,335
Syrah
Resources,
Ltd.,
Expires
on
4/4/24*
$
Total
Rights
(Cost
$22,677)
2,970
Unaffiliated
Investment
Companies
(1.2%):
Money
Markets
(1.2%):
2,726,830
BlackRock
Liquidity
FedFund,
Institutional
Class,
5.07%(c)(d)
2,726,830
313,571
Dreyfus
Treasury
Securities
Cash
Management
Fund,
Institutional
Shares,
5.19%(d)
313,571
Total
Unaffiliated
Investment
Companies
(Cost
$3,040,401)
3,040,401
Total
Investment
Securities
(Cost
$227,108,847)
100.1%
260,212,015
Net
other
assets
(liabilities)
(0.1)%
(361,622)
Net
Assets
100.0%
$
259,850,393
ADR—American
Depository
Receipt
NYS—New
York
Shares
*
Non-income
producing
security.
Represents
less
than
0.05%.
^
This
security
or
a
partial
position
of
this
security
was
on
loan
as
of
March
31,
2024.
The
total
value
of
securities
on
loan
as
of
March
31,
2024
was
$2,522,174.
(a)
Rule
144A,
Section
4(2)
or
other
security
which
is
restricted
to
resale
to
institutional
investors.
(b)
Security
was
valued
using
significant
unobservable
inputs
as
of
March
31,
2024.
(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
March
31,
2024.
(d)
The
rate
represents
the
effective
yield
at
March
31,
2024.
Amounts
shown
as
“—“
are
either
$0
or
round
to
less
than
$1.
AZL
DFA
International
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
34
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
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
March
31,
2024:
(Unaudited)
Country
Percentage
Australia
6.4‌%
Austria
0.5‌%
Belgium
1.2‌%
Bermuda
0.1‌%
Cambodia
—‌%
Canada
10.7‌%
Chile
—‌%
China
—‌%
Cyprus
—‌%
Denmark
2.5‌%
Faroe
Islands
—‌%
Finland
1.4‌%
France
7.5‌%
Georgia
—‌%
Germany
7.0‌%
Greece
—‌%
Hong
Kong
1.7‌%
Ireland
1.5‌%
Isle
of
Man
—‌%
Israel
0.9‌%
Italy
2.4‌%
Japan
23.1‌%
Jersey
—‌%
Jordan
—‌%
Liechtenstein
—‌%
Luxembourg
0.4‌%
Macau
—‌%
Malaysia
—‌%
Malta
—‌%
Mexico
—‌%
Mongolia
—‌%
Netherlands
3.9‌%
New
Zealand
0.3‌%
Norway
0.7‌%
Peru
—‌%
Poland
—‌%
Portugal
0.3‌%
Russia
—‌%
Singapore
1.0‌%
South
Africa
—‌%
Spain
2.6‌%
Sweden
2.7‌%
Switzerland
7.9‌%
Taiwan,
Province
Of
China
—‌%
Thailand
—‌%
United
Arab
Emirates
—‌%
United
Kingdom
11.8‌%
United
States
1.5‌%
100.0‌%
Represents
less
than
0.05%.
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
35
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks
(99.8%):
Aerospace
&
Defense
(1.5%):
1,210
AAR
Corp.*
$
72,443
358
AeroVironment,
Inc.*
54,874
712
Astronics
Corp.*
13,556
415
Astronics
Corp.,
Class
B*
7,499
733
Axon
Enterprise,
Inc.*
229,341
6,841
Boeing
Co.
(The)*
1,320,245
3,558
BWX
Technologies,
Inc.
365,122
685
CPI
Aerostructures,
Inc.*
1,603
1,414
Curtiss-Wright
Corp.
361,899
625
Ducommun,
Inc.*
32,062
2,977
General
Dynamics
Corp.
840,973
532
HEICO
Corp.
101,612
904
HEICO
Corp.,
Class
A
139,162
1,670
Hexcel
Corp.
121,660
6,183
Howmet
Aerospace,
Inc.
423,103
1,516
Huntington
Ingalls
Industries,
Inc.
441,869
870
Kaman
Corp.
39,907
6,214
Kratos
Defense
&
Security
Solutions,
Inc.*
114,213
2,920
L3Harris
Technologies,
Inc.
622,252
4,305
Lockheed
Martin
Corp.
1,958,215
1,678
Mercury
Systems,
Inc.*
49,501
1,464
Moog,
Inc.,
Class
A
233,728
343
National
Presto
Industries,
Inc.
28,743
1,734
Northrop
Grumman
Corp.
829,996
953
Park
Aerospace
Corp.
15,848
14,554
RTX
Corp.
1,419,452
4,367
Textron,
Inc.
418,926
655
TransDigm
Group,
Inc.
806,698
337
V2X,
Inc.*
15,741
1,431
Woodward,
Inc.
220,546
11,300,789
Air
Freight
&
Logistics
(0.6%):
3,159
Air
Transport
Services
Group,
Inc.*
43,468
3,852
CH
Robinson
Worldwide,
Inc.
293,291
3,261
Expeditors
International
of
Washington,
Inc.
396,440
4,378
FedEx
Corp.
1,268,482
1,224
Forward
Air
Corp.
38,078
4,705
GXO
Logistics,
Inc.*
252,941
3,293
Hub
Group,
Inc.,
Class
A
142,323
3,266
Radiant
Logistics,
Inc.*
17,702
15,457
United
Parcel
Service,
Inc.,
Class
B
2,297,374
4,750,099
Automobile
Components
(0.4%):
3,555
Adient
plc*
117,031
10,209
American
Axle
&
Manufacturing
Holdings,
Inc.*
75,138
4,483
Aptiv
plc*
357,071
4,723
Autoliv,
Inc.
568,791
5,839
BorgWarner,
Inc.
202,847
1,256
Cooper-Standard
Holdings,
Inc.*
20,799
5,990
Dana,
Inc.
76,073
1,280
Dorman
Products,
Inc.*
123,379
1,423
Fox
Factory
Holding
Corp.*
74,096
2,200
Garrett
Motion,
Inc.*
21,868
9,431
Gentex
Corp.
340,648
999
Gentherm,
Inc.*
57,522
15,806
Goodyear
Tire
&
Rubber
Co.
(The)*
217,016
578
LCI
Industries
71,129
Shares
Value
Common
Stocks,
continued
Automobile
Components,
continued
2,540
Lear
Corp.
$
367,995
3,637
Modine
Manufacturing
Co.*
346,206
1,190
Motorcar
Parts
of
America,
Inc.*
9,568
1,356
Patrick
Industries,
Inc.
162,001
1,374
Phinia,
Inc.
52,803
2,366
QuantumScape
Corp.*
14,882
616
Standard
Motor
Products,
Inc.
20,667
587
Stoneridge,
Inc.*
10,824
275
Strattec
Security
Corp.*
6,526
1,184
Visteon
Corp.*
139,250
400
XPEL,
Inc.*
21,608
3,475,738
Automobiles
(0.8%):
53,283
Ford
Motor
Co.
707,598
17,688
General
Motors
Co.
802,151
8,524
Harley-Davidson,
Inc.
372,840
4,690
Lucid
Group,
Inc.*^
13,367
13,446
Rivian
Automotive,
Inc.,
Class
A*^
147,234
21,117
Tesla,
Inc.*
3,712,157
2,301
Thor
Industries,
Inc.
269,999
1,509
Winnebago
Industries,
Inc.
111,666
6,137,012
Banks
(4.5%):
859
1st
Source
Corp.
45,029
504
ACNB
Corp.
18,950
1,092
Amalgamated
Financial
Corp.
26,208
661
American
National
Bankshares,
Inc.
31,569
3,429
Ameris
Bancorp
165,895
704
Ames
National
Corp.
14,207
1,076
Arrow
Financial
Corp.
26,922
8,497
Associated
Banc-Corp.
182,770
4,209
Atlantic
Union
Bankshares
Corp.
148,620
3,462
Axos
Financial,
Inc.*
187,086
3,663
Banc
of
California,
Inc.
55,714
1,452
BancFirst
Corp.
127,820
2,831
Bancorp,
Inc.
(The)*
94,725
86,104
Bank
of
America
Corp.
3,265,064
1,028
Bank
of
Hawaii
Corp.
64,137
724
Bank
of
Marin
Bancorp
12,141
3,254
Bank
of
NT
Butterfield
&
Son,
Ltd.
(The)
104,095
6,593
Bank
OZK
299,718
1,591
BankFinancial
Corp.
16,706
4,263
BankUnited,
Inc.
119,364
2,014
Banner
Corp.
96,672
433
Bar
Harbor
Bankshares
11,466
842
BCB
Bancorp,
Inc.
8,799
1,898
Berkshire
Hills
Bancorp,
Inc.
43,502
2,482
BOK
Financial
Corp.
228,344
2,707
Brookline
Bancorp,
Inc.
26,962
977
Byline
Bancorp,
Inc.
21,220
74
C&F
Financial
Corp.
3,626
10,276
Cadence
Bank
298,004
256
Cambridge
Bancorp
17,449
843
Camden
National
Corp.
28,257
489
Capital
City
Bank
Group,
Inc.
13,545
10,139
Capitol
Federal
Financial,
Inc.
60,428
1,023
Carter
Bankshares,
Inc.*
12,931
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
36
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Banks,
continued
4,087
Cathay
General
Bancorp
$
154,611
1,402
Central
Pacific
Financial
Corp.
27,689
377
Chemung
Financial
Corp.
16,015
23,038
Citigroup,
Inc.
1,456,923
943
Citizens
&
Northern
Corp.
17,710
6,163
Citizens
Financial
Group,
Inc.
223,655
552
Citizens
Holding
Co.
4,339
604
City
Holding
Co.
62,949
938
Civista
Bancshares,
Inc.
14,426
735
CNB
Financial
Corp.
14,987
85
Codorus
Valley
Bancorp,
Inc.
1,935
56
Colony
Bankcorp,
Inc.
644
4,298
Columbia
Financial,
Inc.*
73,969
191
Comerica,
Inc.
10,503
3,093
Commerce
Bancshares,
Inc.
164,548
3,029
Community
Bank
System,
Inc.
145,483
517
Community
Trust
Bancorp,
Inc.
22,050
933
Community
West
Bancshares
18,557
1,154
ConnectOne
Bancorp,
Inc.
22,503
1,720
Cullen/Frost
Bankers,
Inc.
193,620
1,643
Customers
Bancorp,
Inc.*
87,178
2,243
CVB
Financial
Corp.
40,015
1,876
Dime
Community
Bancshares,
Inc.
36,132
1,065
Eagle
Bancorp,
Inc.
25,017
2,719
East
West
Bancorp,
Inc.
215,100
4,884
Eastern
Bankshares,
Inc.
67,302
2,103
Enterprise
Financial
Services
Corp.
85,298
682
Equity
Bancshares,
Inc.,
Class
A
23,440
855
ESSA
Bancorp,
Inc.
15,587
312
Evans
Bancorp,
Inc.
9,316
1,329
Farmers
National
Banc
Corp.
17,755
1,860
FB
Financial
Corp.
70,048
15,437
Fifth
Third
Bancorp
574,411
1,053
Financial
Institutions,
Inc.
19,817
2,566
First
Bancorp
92,684
8,462
First
BanCorp
148,423
814
First
Bancorp,
Inc.
(The)
20,057
611
First
Bancshares,
Inc.
(The)
15,855
2,494
First
Busey
Corp.
59,981
664
First
Business
Financial
Services,
Inc.
24,900
408
First
Capital,
Inc.
11,832
109
First
Citizens
BancShares,
Inc.,
Class
A
178,215
6,217
First
Commonwealth
Financial
Corp.
86,541
512
First
Community
Bankshares,
Inc.
17,731
4,544
First
Financial
Bancorp
101,876
6,313
First
Financial
Bankshares,
Inc.
207,130
536
First
Financial
Corp.
20,545
733
First
Financial
Northwest,
Inc.
15,070
1,155
First
Foundation,
Inc.
8,720
7,191
First
Hawaiian,
Inc.
157,914
12,573
First
Horizon
Corp.
193,624
4,307
First
Interstate
BancSystem,
Inc.,
Class
A
117,193
3,120
First
Merchants
Corp.
108,888
660
First
Mid
Bancshares,
Inc.
21,569
1,573
First
of
Long
Island
Corp.
(The)
17,445
2,253
Flushing
Financial
Corp.
28,410
20,310
FNB
Corp.
286,371
9,404
Fulton
Financial
Corp.
149,430
769
German
American
Bancorp,
Inc.
26,638
Shares
Value
Common
Stocks,
continued
Banks,
continued
6,173
Glacier
Bancorp,
Inc.
$
248,648
397
Great
Southern
Bancorp,
Inc.
21,764
16
Greene
County
Bancorp,
Inc.
461
4,066
Hancock
Whitney
Corp.
187,199
2,408
Hanmi
Financial
Corp.
38,335
1,642
HarborOne
Bancorp,
Inc.
17,504
45
Hawthorn
Bancshares,
Inc.
919
636
HBT
Financial,
Inc.
12,109
2,376
Heartland
Financial
USA,
Inc.
83,516
2,010
Heritage
Commerce
Corp.
17,246
1,197
Heritage
Financial
Corp.
23,210
2,750
Hilltop
Holdings,
Inc.
86,130
62
Hingham
Institution
For
Savings
(The)^
10,817
11,467
Home
BancShares,
Inc.
281,744
628
HomeStreet,
Inc.
9,451
484
HomeTrust
Bancshares,
Inc.
13,233
4,470
Hope
Bancorp,
Inc.
51,450
1,071
Horizon
Bancorp,
Inc.
13,741
17,788
Huntington
Bancshares,
Inc.
248,143
413
IF
Bancorp,
Inc.
6,819
855
Independent
Bank
Corp.
21,674
1,436
Independent
Bank
Corp.
74,701
2,348
Independent
Bank
Group,
Inc.
107,186
3,500
International
Bancshares
Corp.
196,490
44,475
JPMorgan
Chase
&
Co.
8,908,343
2,442
Kearny
Financial
Corp.
15,726
1,249
Kentucky
First
Federal
Bancorp
4,771
10,493
KeyCorp
165,894
750
Lake
Shore
Bancorp,
Inc.*
8,835
1,465
Lakeland
Bancorp,
Inc.
17,727
1,343
Lakeland
Financial
Corp.
89,068
607
Landmark
Bancorp,
Inc.
11,703
712
LCNB
Corp.
11,349
1,274
Live
Oak
Bancshares,
Inc.
52,884
3,506
M&T
Bank
Corp.
509,913
2,571
Macatawa
Bank
Corp.
25,170
472
Mercantile
Bank
Corp.
18,167
684
Metrocity
Bankshares,
Inc.
17,073
241
Midland
States
Bancorp,
Inc.
6,056
638
MidWestOne
Financial
Group,
Inc.
14,955
1,928
National
Bank
Holdings
Corp.,
Class
A
69,543
514
National
Bankshares,
Inc.
17,173
1,885
NBT
Bancorp,
Inc.
69,142
17,170
New
York
Community
Bancorp,
Inc.
55,287
373
Nicolet
Bankshares,
Inc.
32,074
1,501
Northfield
Bancorp,
Inc.
14,590
510
Northrim
Bancorp,
Inc.
25,760
7,376
Northwest
Bancshares,
Inc.
85,930
511
Norwood
Financial
Corp.
13,904
3,803
OceanFirst
Financial
Corp.
62,407
2,292
OFG
Bancorp
84,369
440
Ohio
Valley
Banc
Corp.
10,758
7,179
Old
National
Bancorp
124,986
2,225
Old
Second
Bancorp,
Inc.
30,794
2,023
Origin
Bancorp,
Inc.
63,199
638
Orrstown
Financial
Services,
Inc.
17,079
5,352
Pacific
Premier
Bancorp,
Inc.
128,448
939
Park
National
Corp.
127,563
1,240
Pathward
Financial,
Inc.
62,595
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
37
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Banks,
continued
1,165
Peapack-Gladstone
Financial
Corp.
$
28,344
546
Penns
Woods
Bancorp,
Inc.
10,598
608
Peoples
Bancorp
of
North
Carolina,
Inc.
16,933
1,117
Peoples
Bancorp,
Inc.
33,074
2,752
Pinnacle
Financial
Partners,
Inc.
236,342
5,077
PNC
Financial
Services
Group,
Inc.
(The)
820,443
3,211
Popular,
Inc.
282,857
432
Preferred
Bank
33,165
1,369
Premier
Financial
Corp.
27,791
707
Primis
Financial
Corp.
8,604
2,728
Prosperity
Bancshares,
Inc.
179,448
679
Provident
Financial
Holdings,
Inc.
9,085
4,672
Provident
Financial
Services,
Inc.
68,071
606
QCR
Holdings,
Inc.
36,808
487
RBB
Bancorp
8,771
14,189
Regions
Financial
Corp.
298,537
2,793
Renasant
Corp.
87,477
917
Republic
Bancorp,
Inc.,
Class
A
46,767
420
Riverview
Bancorp,
Inc.
1,982
1,756
S&T
Bancorp,
Inc.
56,332
3,092
Sandy
Spring
Bancorp,
Inc.
71,673
1,366
Seacoast
Banking
Corp.
34,683
1,767
ServisFirst
Bancshares,
Inc.
117,258
1,113
Shore
Bancshares,
Inc.
12,800
1,028
Sierra
Bancorp
20,766
7,336
Simmons
First
National
Corp.,
Class
A
142,759
100
South
Plains
Financial,
Inc.
2,676
561
Southern
Missouri
Bancorp,
Inc.
24,521
950
Southside
Bancshares,
Inc.
27,769
2,760
SouthState
Corp.
234,683
2,578
Stellar
Bancorp,
Inc.
62,800
1,764
Sterling
Bancorp,
Inc.*
9,102
1,460
Stock
Yards
Bancorp,
Inc.
71,409
557
Summit
Financial
Group,
Inc.
15,128
8,225
Synovus
Financial
Corp.
329,493
733
Territorial
Bancorp,
Inc.
5,908
1,319
Texas
Capital
Bancshares,
Inc.*
81,184
9,473
TFS
Financial
Corp.
118,981
490
Tompkins
Financial
Corp.
24,642
4,196
Towne
Bank
117,740
1,020
TriCo
Bancshares
37,516
1,001
Triumph
Financial,
Inc.*
79,399
3,439
Truist
Financial
Corp.
134,052
559
TrustCo
Bank
Corp.
15,741
2,995
Trustmark
Corp.
84,189
1,375
UMB
Financial
Corp.
119,611
7,589
United
Bankshares,
Inc.
271,610
6,479
United
Community
Banks,
Inc.
170,527
1,190
United
Security
Bancshares
9,175
42
Unity
Bancorp,
Inc.
1,159
850
Univest
Financial
Corp.
17,697
20,714
US
Bancorp
925,916
23,069
Valley
National
Bancorp
183,628
1,827
Veritex
Holdings,
Inc.
37,435
4,015
WaFd,
Inc.
116,555
501
Washington
Trust
Bancorp,
Inc.
13,467
6,354
Webster
Financial
Corp.
322,593
44,105
Wells
Fargo
&
Co.
2,556,326
3,211
WesBanco,
Inc.
95,720
Shares
Value
Common
Stocks,
continued
Banks,
continued
1,062
West
BanCorp,
Inc.
$
18,935
1,793
Westamerica
BanCorp
87,642
2,129
Western
Alliance
Bancorp
136,661
1,498
Western
New
England
BanCorp,
Inc.
11,490
3,437
Wintrust
Financial
Corp.
358,788
3,462
WSFS
Financial
Corp.
156,275
2,715
Zions
Bancorp
NA
117,831
34,571,586
Beverages
(1.3%):
145
Boston
Beer
Co.,
Inc.
(The),
Class
A*
44,141
1,105
Brown-Forman
Corp.,
Class
A
58,510
5,467
Brown-Forman
Corp.,
Class
B
282,206
3,981
Celsius
Holdings,
Inc.*
330,104
55,551
Coca-Cola
Co.
(The)
3,398,610
325
Coca-Cola
Consolidated,
Inc.
275,083
1,746
Constellation
Brands,
Inc.,
Class
A
474,493
3,686
Duckhorn
Portfolio,
Inc.
(The)*
34,317
13,948
Keurig
Dr
Pepper,
Inc.
427,785
838
MGP
Ingredients,
Inc.
72,177
4,528
Molson
Coors
Beverage
Co.,
Class
B
304,508
5,214
Monster
Beverage
Corp.*
309,086
1,921
National
Beverage
Corp.*
91,171
24,604
PepsiCo,
Inc.
4,305,946
10,408,137
Biotechnology
(2.1%):
26,364
AbbVie,
Inc.
4,800,884
396
Adverum
Biotechnologies,
Inc.*
5,599
2,583
Agios
Pharmaceuticals,
Inc.*
75,527
3,000
Alector,
Inc.*
18,060
6,056
Alkermes
plc*
163,936
6,160
Allakos,
Inc.*
7,762
4,027
Allogene
Therapeutics,
Inc.*
18,001
2,071
Alnylam
Pharmaceuticals,
Inc.*
309,511
4,823
Altimmune,
Inc.*
49,098
7,509
Amgen,
Inc.
2,134,959
955
AnaptysBio,
Inc.*
21,507
955
Anika
Therapeutics,
Inc.*
24,257
4,012
Arcus
Biosciences,
Inc.*
75,747
1,763
Avidity
Biosciences,
Inc.*
44,992
3,076
Beam
Therapeutics,
Inc.*
101,631
2,115
Biogen,
Inc.*
456,058
2,699
BioMarin
Pharmaceutical,
Inc.*
235,731
1,469
Bluebird
Bio,
Inc.*
1,880
5,471
CareDx,
Inc.*
57,938
1,101
Celldex
Therapeutics,
Inc.*
46,209
3,031
CRISPR
Therapeutics
AG*
206,593
2,869
Deciphera
Pharmaceuticals,
Inc.*
45,129
1,534
Denali
Therapeutics,
Inc.*
31,478
7,054
Dynavax
Technologies
Corp.*
87,540
233
Eagle
Pharmaceuticals,
Inc.*
1,221
1,370
Editas
Medicine,
Inc.*
10,165
1,656
Emergent
BioSolutions,
Inc.*
4,190
585
Enanta
Pharmaceuticals,
Inc.*
10,214
3,380
Exact
Sciences
Corp.*
233,423
11,465
Exelixis,
Inc.*
272,064
5,379
Fate
Therapeutics,
Inc.*
39,482
1,432
G1
Therapeutics,
Inc.*
6,186
23,066
Gilead
Sciences,
Inc.
1,689,585
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
38
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Biotechnology,
continued
3,331
Halozyme
Therapeutics,
Inc.*
$
135,505
663
Ideaya
Biosciences,
Inc.*
29,092
2,196
Incyte
Corp.*
125,106
961
Intellia
Therapeutics,
Inc.*
26,437
10,368
Iovance
Biotherapeutics,
Inc.*
153,654
1,306
iTeos
Therapeutics,
Inc.*
17,814
200
Kodiak
Sciences,
Inc.*
1,052
367
Krystal
Biotech,
Inc.*
65,300
3,563
Kura
Oncology,
Inc.*
75,999
1,457
Kymera
Therapeutics,
Inc.*
58,571
1,449
MacroGenics,
Inc.*
21,329
3,239
Moderna,
Inc.*
345,148
605
Mural
Oncology
plc*
2,958
3,861
Myriad
Genetics,
Inc.*
82,317
582
Natera,
Inc.*
53,230
1,298
Neurocrine
Biosciences,
Inc.*
179,020
9,565
PDL
BioPharma,
Inc.*
11,382
4,602
Poseida
Therapeutics,
Inc.*
14,680
1,321
Prothena
Corp.
plc*
32,721
4,160
Recursion
Pharmaceuticals,
Inc.,
Class
A*
41,475
1,374
Regeneron
Pharmaceuticals,
Inc.*
1,322,461
1,759
REGENXBIO,
Inc.*
37,062
3,704
Relay
Therapeutics,
Inc.*
30,743
2,810
Replimune
Group,
Inc.*
22,958
4,502
REVOLUTION
Medicines,
Inc.*
145,100
1,042
Rocket
Pharmaceuticals,
Inc.*
28,072
1,793
Sage
Therapeutics,
Inc.*
33,601
2,916
Sangamo
Therapeutics,
Inc.*
1,954
555
Sarepta
Therapeutics,
Inc.*
71,850
1,802
SpringWorks
Therapeutics,
Inc.*
88,694
4,070
Twist
Bioscience
Corp.*
139,642
1,347
United
Therapeutics
Corp.*
309,433
1,179
Vanda
Pharmaceuticals,
Inc.*
4,846
1,406
Veracyte,
Inc.*
31,157
2,136
Vertex
Pharmaceuticals,
Inc.*
892,869
2,800
Voyager
Therapeutics,
Inc.*
26,068
3,099
Xencor,
Inc.*
68,581
2,020
Zentalis
Pharmaceuticals,
Inc.*
31,835
16,046,273
Broadline
Retail
(2.7%):
103,109
Amazon.com,
Inc.*
18,598,801
1,406
Big
Lots,
Inc.
6,088
715
Dillard's,
Inc.,
Class
A
337,223
17,164
eBay,
Inc.
905,916
2,683
Etsy,
Inc.*
184,376
5,359
Kohl's
Corp.
156,215
15,507
Macy's,
Inc.
309,985
1,842
Nordstrom,
Inc.
37,337
2,669
Ollie's
Bargain
Outlet
Holdings,
Inc.*
212,372
8,810
Qurate
Retail,
Inc.,
Class
A*
10,836
20,759,149
Building
Products
(1.2%):
3,670
A
O
Smith
Corp.
328,318
2,311
AAON,
Inc.
203,599
2,768
Advanced
Drainage
Systems,
Inc.
476,760
1,585
Allegion
plc
213,515
1,489
Allegion
plc
200,583
515
American
Woodmark
Corp.*
52,355
Shares
Value
Common
Stocks,
continued
Building
Products,
continued
1,085
Apogee
Enterprises,
Inc.
$
64,232
1,623
Armstrong
World
Industries,
Inc.
201,609
5,175
AZEK
Co.,
Inc.
(The)*
259,888
394
AZZ,
Inc.
30,460
5,485
Builders
FirstSource,
Inc.*
1,143,897
1,147
Carlisle
Cos.,
Inc.
449,452
12,777
Carrier
Global
Corp.
742,727
547
CSW
Industrials,
Inc.
128,326
2,444
Fortune
Brands
Innovations,
Inc.
206,933
1,430
Gibraltar
Industries,
Inc.*
115,158
1,993
Griffon
Corp.
146,167
7,176
Hayward
Holdings,
Inc.*
109,865
1,209
Insteel
Industries,
Inc.
46,208
4,309
Janus
International
Group,
Inc.*
65,195
3,895
JELD-WEN
Holding,
Inc.*
82,691
7,684
Johnson
Controls
International
plc
501,919
717
Lennox
International,
Inc.
350,441
3,336
Masco
Corp.
263,144
681
Masonite
International
Corp.*
89,517
2,444
Masterbrand,
Inc.*
45,801
3,785
Owens
Corning
631,338
1,160
Quanex
Building
Products
Corp.
44,579
5,771
Resideo
Technologies,
Inc.*
129,386
1,119
Simpson
Manufacturing
Co.,
Inc.
229,596
918
Tecnoglass,
Inc.
47,764
2,828
Trane
Technologies
plc
848,966
2,554
Trex
Co.,
Inc.*
254,761
2,368
UFP
Industries,
Inc.
291,288
8,996,438
Capital
Markets
(2.7%):
837
Affiliated
Managers
Group,
Inc.
140,172
2,490
Ameriprise
Financial,
Inc.
1,091,716
1,507
Ares
Management
Corp.,
Class
A
200,401
2,793
Artisan
Partners
Asset
Management,
Inc.,
Class
A
127,836
1,892
AssetMark
Financial
Holdings,
Inc.*
66,996
734
B
Riley
Financial,
Inc.^
15,539
15,742
Bank
of
New
York
Mellon
Corp.
(The)
907,054
14,510
BGC
Group,
Inc.,
Class
A
112,743
1,300
BlackRock,
Inc.
1,083,810
2,976
Blackstone,
Inc.
390,957
902
Brightsphere
Investment
Group,
Inc.
20,602
6,213
Carlyle
Group,
Inc.
(The)
291,452
1,987
Cboe
Global
Markets,
Inc.
365,071
24,035
Charles
Schwab
Corp.
(The)
1,738,692
3,279
CME
Group,
Inc.
705,936
1,396
Cohen
&
Steers,
Inc.
107,338
639
Coinbase
Global,
Inc.,
Class
A*
169,412
190
Diamond
Hill
Investment
Group,
Inc.
29,292
1,257
Donnelley
Financial
Solutions,
Inc.*
77,947
18
FactSet
Research
Systems,
Inc.
8,179
2,374
Federated
Hermes,
Inc.
85,749
10,808
Franklin
Resources,
Inc.
303,813
4,153
Goldman
Sachs
Group,
Inc.
(The)
1,734,667
1,178
Hamilton
Lane,
Inc.,
Class
A
132,831
211
Hennessy
Advisors,
Inc.
1,456
1,904
Houlihan
Lokey,
Inc.
244,074
855
Interactive
Brokers
Group,
Inc.
95,512
5,250
Intercontinental
Exchange,
Inc.
721,507
16,075
Invesco,
Ltd.
266,684
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
39
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Capital
Markets,
continued
9,330
Janus
Henderson
Group
plc
$
306,864
5,286
Jefferies
Financial
Group,
Inc.
233,113
5,242
KKR
&
Co.,
Inc.
527,240
1,669
Lazard,
Inc.
69,881
1,018
LPL
Financial
Holdings,
Inc.
268,956
337
MarketAxess
Holdings,
Inc.
73,887
913
Moelis
&
Co.,
Class
A
51,831
2,124
Moody's
Corp.
834,796
16,459
Morgan
Stanley
1,549,779
415
Morningstar,
Inc.
127,974
64
MSCI,
Inc.
35,869
9,300
Nasdaq,
Inc.
586,830
3,545
Northern
Trust
Corp.
315,221
1,608
Open
Lending
Corp.*
10,066
365
Oppenheimer
Holdings,
Inc.,
Class
A
14,571
1,002
Piper
Sandler
Cos.
198,887
394
PJT
Partners,
Inc.,
Class
A
37,138
4,978
Raymond
James
Financial,
Inc.
639,275
12,403
Robinhood
Markets,
Inc.,
Class
A*
249,672
2,734
S&P
Global,
Inc.
1,163,180
4,050
SEI
Investments
Co.
291,195
660
Silvercrest
Asset
Management
Group,
Inc.,
Class
A
10,435
5,415
State
Street
Corp.
418,688
2,598
StepStone
Group,
Inc.,
Class
A
92,853
3,755
Stifel
Financial
Corp.
293,528
1,788
StoneX
Group,
Inc.*
125,625
4,711
T.
Rowe
Price
Group,
Inc.
574,365
1,319
Tradeweb
Markets,
Inc.,
Class
A
137,400
1,975
Victory
Capital
Holdings,
Inc.,
Class
A
83,799
4,929
Virtu
Financial,
Inc.,
Class
A
101,143
429
Virtus
Investment
Partners,
Inc.
106,383
425
Westwood
Holdings
Group,
Inc.
5,236
7,092
WisdomTree,
Inc.
65,175
20,838,293
Chemicals
(1.9%):
1,366
AdvanSix,
Inc.
39,068
2,508
Air
Products
and
Chemicals,
Inc.
607,613
1,788
Albemarle
Corp.
235,551
1,157
American
Vanguard
Corp.
14,983
16,744
Arcadium
Lithium
plc*
72,167
2,022
Ashland,
Inc.
196,882
2,280
Aspen
Aerogels,
Inc.*
40,128
2,333
Avient
Corp.
101,252
12,056
Axalta
Coating
Systems,
Ltd.*
414,606
1,038
Balchem
Corp.
160,838
2,577
Cabot
Corp.
237,599
2,236
Celanese
Corp.
384,279
9,084
CF
Industries
Holdings,
Inc.
755,880
6,701
Chemours
Co.
(The)
175,968
10,687
Corteva,
Inc.
616,319
15,153
Dow,
Inc.
877,813
7,160
DuPont
de
Nemours,
Inc.
548,957
4,969
Eastman
Chemical
Co.
497,993
2,419
Ecolab,
Inc.
558,547
4,830
Ecovyst,
Inc.*
53,855
11,145
Element
Solutions,
Inc.
278,402
1,647
FMC
Corp.
104,914
1,394
HB
Fuller
Co.
111,158
8,216
Huntsman
Corp.
213,862
Shares
Value
Common
Stocks,
continued
Chemicals,
continued
1,105
Ingevity
Corp.*
$
52,709
976
Innospec,
Inc.
125,845
4,364
International
Flavors
&
Fragrances,
Inc.
375,260
1,037
Intrepid
Potash,
Inc.*
21,632
783
Koppers
Holdings,
Inc.
43,198
2,011
Kronos
Worldwide,
Inc.
23,730
3,339
Linde
plc
1,550,364
5,203
LSB
Industries,
Inc.*
45,682
11,113
LyondellBasell
Industries
NV,
Class
A
1,136,638
3,598
Mativ
Holdings,
Inc.
67,463
971
Minerals
Technologies,
Inc.
73,097
9,138
Mosaic
Co.
(The)
296,620
399
NewMarket
Corp.
253,213
8,944
Olin
Corp.
525,907
3,864
Orion
SA
90,881
4,945
PPG
Industries,
Inc.
716,531
566
Quaker
Chemical
Corp.
116,172
3,631
Rayonier
Advanced
Materials,
Inc.*
17,356
2,563
RPM
International,
Inc.
304,869
1,384
Sensient
Technologies
Corp.
95,759
4,080
Sherwin-Williams
Co.
(The)
1,417,106
569
Stepan
Co.
51,233
1,279
Trinseo
plc
4,835
8,722
Tronox
Holdings
plc
151,327
1,374
Westlake
Corp.
209,947
15,066,008
Commercial
Services
&
Supplies
(0.9%):
2,950
ABM
Industries,
Inc.
131,629
2,927
ACCO
Brands
Corp.
16,420
1,452
Brady
Corp.,
Class
A
86,075
1,624
Brink's
Co.
(The)
150,025
2,141
Casella
Waste
Systems,
Inc.*
211,681
2,003
CECO
Environmental
Corp.*
46,109
1,318
Cimpress
plc*
116,656
1,404
Cintas
Corp.
964,590
433
Civeo
Corp.
11,626
1,694
Clean
Harbors,
Inc.*
341,019
7,411
Copart,
Inc.*
429,245
1,498
Deluxe
Corp.
30,844
720
Driven
Brands
Holdings,
Inc.*
11,369
1,613
Ennis,
Inc.
33,083
2,503
Enviri
Corp.*
22,902
2,148
Healthcare
Services
Group,
Inc.*
26,807
2,460
HNI
Corp.
111,020
2,041
Interface,
Inc.
34,330
1,736
Liquidity
Services,
Inc.*
32,290
919
Matthews
International
Corp.,
Class
A
28,563
3,432
MillerKnoll,
Inc.
84,976
400
Montrose
Environmental
Group,
Inc.*
15,668
691
MSA
Safety,
Inc.
133,771
1,552
NL
Industries,
Inc.
11,376
5,118
OPENLANE,
Inc.*
88,541
4,238
Pitney
Bowes,
Inc.
18,351
2,606
Quad/Graphics,
Inc.
13,838
4,116
Republic
Services,
Inc.
787,967
8,305
Rollins,
Inc.
384,272
503
SP
Plus
Corp.*
26,267
2,563
Steelcase,
Inc.,
Class
A
33,524
3,518
Stericycle,
Inc.*
185,575
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
40
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Commercial
Services
&
Supplies,
continued
1,527
Tetra
Tech,
Inc.
$
282,052
615
UniFirst
Corp.
106,659
2,205
Veralto
Corp.
195,495
5,416
Vestis
Corp.
104,366
1,003
Viad
Corp.*
39,608
824
VSE
Corp.
65,920
7,619
Waste
Management,
Inc.
1,623,990
7,038,499
Communications
Equipment
(0.7%):
752
Applied
Optoelectronics,
Inc.*
10,423
2,313
Arista
Networks,
Inc.*
670,724
1,990
Calix,
Inc.*
65,989
4,765
Ciena
Corp.*
235,629
61,329
Cisco
Systems,
Inc.
3,060,930
756
Comtech
Telecommunications
Corp.*
2,593
1,262
Digi
International,
Inc.*
40,296
4,340
Extreme
Networks,
Inc.*
50,084
1,768
F5,
Inc.*
335,195
2,194
Harmonic,
Inc.*
29,487
2,944
Infinera
Corp.*
17,752
12,006
Juniper
Networks,
Inc.
444,942
909
KVH
Industries,
Inc.*
4,636
1,780
Lumentum
Holdings,
Inc.*
84,283
1,185
Motorola
Solutions,
Inc.
420,651
1,010
NETGEAR,
Inc.*
15,928
2,564
NetScout
Systems,
Inc.*
55,998
3,679
Ribbon
Communications,
Inc.*
11,773
2,004
Viasat,
Inc.*
36,252
7,865
Viavi
Solutions,
Inc.*
71,493
5,665,058
Construction
&
Engineering
(0.6%):
2,920
AECOM
286,394
1,759
Ameresco,
Inc.,
Class
A*
42,445
7,278
API
Group
Corp.*
285,807
2,696
Arcosa,
Inc.
231,479
455
Argan,
Inc.
22,996
125
Cadeler
A/S,
ADR*
2,268
1,057
Comfort
Systems
USA,
Inc.
335,819
1,733
Concrete
Pumping
Holdings,
Inc.*
13,691
1,213
Construction
Partners,
Inc.,
Class
A*
68,110
959
Dycom
Industries,
Inc.*
137,645
1,114
EMCOR
Group,
Inc.
390,123
5,880
Fluor
Corp.*
248,606
1,277
Granite
Construction,
Inc.
72,955
2,266
Great
Lakes
Dredge
&
Dock
Corp.*
19,828
656
IES
Holdings,
Inc.*
79,796
1,682
MasTec,
Inc.*
156,846
1,750
Matrix
Service
Co.*
22,802
9,107
MDU
Resources
Group,
Inc.
229,496
487
MYR
Group,
Inc.*
86,077
2,101
Orion
Group
Holdings,
Inc.*
17,228
2,465
Primoris
Services
Corp.
104,935
2,951
Quanta
Services,
Inc.
766,670
1,469
Sterling
Infrastructure,
Inc.*
162,045
1,648
Tutor
Perini
Corp.*
23,830
653
Valmont
Industries,
Inc.
149,067
Shares
Value
Common
Stocks,
continued
Construction
&
Engineering,
continued
7,973
WillScot
Mobile
Mini
Holdings
Corp.*
$
370,744
4,327,702
Construction
Materials
(0.3%):
961
Eagle
Materials,
Inc.
261,152
2,276
Knife
River
Corp.*
184,538
1,198
Martin
Marietta
Materials,
Inc.
735,500
6,589
Summit
Materials,
Inc.,
Class
A*
293,672
131
United
States
Lime
&
Minerals,
Inc.
39,056
2,753
Vulcan
Materials
Co.
751,349
2,265,267
Consumer
Finance
(0.9%):
12,905
Ally
Financial,
Inc.
523,814
8,402
American
Express
Co.
1,913,051
283
Atlanticus
Holdings
Corp.*
8,374
2,807
Bread
Financial
Holdings,
Inc.
104,533
6,566
Capital
One
Financial
Corp.
977,612
1,912
Consumer
Portfolio
Services,
Inc.*
14,455
445
Credit
Acceptance
Corp.*
245,440
8,241
Discover
Financial
Services
1,080,313
1,171
Encore
Capital
Group,
Inc.*
53,409
1,657
Enova
International,
Inc.*
104,109
3,948
EZCORP,
Inc.,
Class
A*
44,731
1,863
FirstCash
Holdings,
Inc.
237,607
1,425
Green
Dot
Corp.,
Class
A*
13,295
5,431
LendingClub
Corp.*
47,738
194
LendingTree,
Inc.*
8,214
3,504
Navient
Corp.
60,970
543
Nelnet,
Inc.,
Class
A
51,395
750
Nicholas
Financial,
Inc.*
5,070
6,152
OneMain
Holdings,
Inc.
314,306
2,635
PRA
Group,
Inc.*
68,721
2,187
PROG
Holdings,
Inc.
75,320
568
Regional
Management
Corp.
13,751
9,722
SLM
Corp.
211,842
5,685
SoFi
Technologies,
Inc.*
41,501
9,833
Synchrony
Financial
423,999
237
World
Acceptance
Corp.*
34,360
6,677,930
Consumer
Staples
Distribution
&
Retail
(1.8%):
6,299
Albertsons
Cos.,
Inc.,
Class
A
135,050
1,610
Andersons,
Inc.
(The)
92,366
235
Casey's
General
Stores,
Inc.
74,836
1,143
Chefs'
Warehouse,
Inc.
(The)*
43,045
4,838
Costco
Wholesale
Corp.
3,544,464
2,890
Dollar
General
Corp.
451,013
3,349
Dollar
Tree,
Inc.*
445,919
3,350
Grocery
Outlet
Holding
Corp.*
96,413
613
Ingles
Markets,
Inc.,
Class
A
47,005
30,020
Kroger
Co.
(The)
1,715,043
1,720
Natural
Grocers
by
Vitamin
Cottage,
Inc.
31,046
6,170
Performance
Food
Group
Co.*
460,529
1,664
PriceSmart,
Inc.
139,776
2,949
SpartanNash
Co.
59,599
4,748
Sprouts
Farmers
Market,
Inc.*
306,151
10,148
Sysco
Corp.
823,815
6,269
Target
Corp.
1,110,929
3,889
United
Natural
Foods,
Inc.*
44,685
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
41
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Consumer
Staples
Distribution
&
Retail,
continued
9,233
US
Foods
Holding
Corp.*
$
498,305
738
Village
Super
Market,
Inc.,
Class
A
21,114
8,238
Walgreens
Boots
Alliance,
Inc.
178,682
54,687
Walmart,
Inc.
3,290,517
857
Weis
Markets,
Inc.
55,191
13,665,493
Containers
&
Packaging
(0.7%):
48,834
Amcor
plc
464,411
2,442
AptarGroup,
Inc.
351,379
2,194
Avery
Dennison
Corp.
489,810
6,230
Ball
Corp.
419,653
6,043
Berry
Global
Group,
Inc.
365,481
2,919
Crown
Holdings,
Inc.
231,360
15,239
Graphic
Packaging
Holding
Co.
444,674
930
Greif,
Inc.,
Class
A
64,217
710
Greif,
Inc.,
Class
B
49,359
8,091
International
Paper
Co.
315,711
1,253
Myers
Industries,
Inc.
29,032
9,822
O-I
Glass,
Inc.*
162,947
3,411
Packaging
Corp.
of
America
647,340
3,647
Sealed
Air
Corp.
135,668
3,186
Silgan
Holdings,
Inc.
154,712
4,151
Sonoco
Products
Co.
240,094
2,518
TriMas
Corp.
67,306
10,188
Westrock
Co.
503,797
5,136,951
Distributors
(0.2%):
4,649
Genuine
Parts
Co.
720,270
4,400
LKQ
Corp.
235,004
659
Pool
Corp.
265,906
811
Weyco
Group,
Inc.
25,855
1,247,035
Diversified
Consumer
Services
(0.3%):
28,860
ADT,
Inc.
193,939
2,373
Adtalem
Global
Education,
Inc.*
121,972
541
American
Public
Education,
Inc.*
7,682
1,957
Bright
Horizons
Family
Solutions,
Inc.*
221,846
418
Carriage
Services,
Inc.
11,303
5,672
Chegg,
Inc.*
42,937
6,110
Coursera,
Inc.*
85,662
3,669
Frontdoor,
Inc.*
119,536
112
Graham
Holdings
Co.,
Class
B
85,980
959
Grand
Canyon
Education,
Inc.*
130,626
4,616
H&R
Block,
Inc.
226,692
6,794
Laureate
Education,
Inc.
98,989
2,547
Mister
Car
Wash,
Inc.*
19,739
2,352
OneSpaWorld
Holdings,
Ltd.*
31,117
2,522
Perdoceo
Education
Corp.
44,286
5,854
Service
Corp.
International
434,425
825
Strategic
Education,
Inc.
85,899
2,112
Stride,
Inc.*
133,162
1,696
Universal
Technical
Institute,
Inc.*
27,034
2,122,826
Diversified
Telecommunication
Services
(1.0%):
398
Anterix,
Inc.*
13,377
124,113
AT&T,
Inc.
2,184,389
Shares
Value
Common
Stocks,
continued
Diversified
Telecommunication
Services,
continued
461
ATN
International,
Inc.
$
14,524
1,203
Cogent
Communications
Holdings,
Inc.
78,592
4,558
Consolidated
Communications
Holdings,
Inc.*
19,691
6,010
EchoStar
Corp.,
Class
A*
85,643
7,588
Frontier
Communications
Parent,
Inc.*
185,906
2,352
GCI
Liberty,
Inc.*
1,080
IDT
Corp.,
Class
B
40,835
3,409
Iridium
Communications,
Inc.
89,179
1,489
Liberty
Latin
America,
Ltd.,
Class
A*
10,378
8,852
Liberty
Latin
America,
Ltd.,
Class
C*
61,875
26,553
Lumen
Technologies,
Inc.*
41,423
1,333
Shenandoah
Telecommunications
Co.
23,154
110,642
Verizon
Communications,
Inc.
4,642,538
7,491,504
Electric
Utilities
(1.1%):
1,925
ALLETE,
Inc.
114,807
3,861
Alliant
Energy
Corp.
194,594
6,241
American
Electric
Power
Co.,
Inc.
537,350
2,629
Avangrid,
Inc.
95,801
4,116
Constellation
Energy
Corp.
760,843
8,467
Duke
Energy
Corp.
818,843
5,190
Edison
International
367,089
2,869
Entergy
Corp.
303,196
4,141
Evergy,
Inc.
221,047
3,165
Eversource
Energy
189,172
12,598
Exelon
Corp.
473,307
8,401
FirstEnergy
Corp.
324,447
1,272
Genie
Energy,
Ltd.,
Class
B
19,182
1,318
Hawaiian
Electric
Industries,
Inc.
14,854
1,110
IDACORP,
Inc.
103,108
1,299
MGE
Energy,
Inc.
102,257
19,747
NextEra
Energy,
Inc.
1,262,031
4,318
NRG
Energy,
Inc.
292,285
5,640
OGE
Energy
Corp.
193,452
1,274
Otter
Tail
Corp.
110,074
28,498
PG&E
Corp.
477,626
3,288
Pinnacle
West
Capital
Corp.
245,712
2,033
PNM
Resources,
Inc.
76,522
1,923
Portland
General
Electric
Co.
80,766
10,089
PPL
Corp.
277,750
11,604
Southern
Co.
(The)
832,471
7,883
Xcel
Energy,
Inc.
423,711
8,912,297
Electrical
Equipment
(0.9%):
1,082
Acuity
Brands,
Inc.
290,766
424
Allient,
Inc.
15,128
4,623
AMETEK,
Inc.
845,547
1,778
Atkore,
Inc.
338,460
3,300
Eaton
Corp.
plc
1,031,844
5,341
Emerson
Electric
Co.
605,776
844
Encore
Wire
Corp.
221,786
1,312
EnerSys
123,931
9,782
FuelCell
Energy,
Inc.*
11,641
1,659
Generac
Holdings,
Inc.*
209,266
14,859
GrafTech
International,
Ltd.
20,505
1,003
Hubbell,
Inc.
416,295
1,831
LSI
Industries,
Inc.
27,685
2,129
NEXTracker,
Inc.,
Class
A*
119,799
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
42
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Electrical
Equipment,
continued
5,927
nVent
Electric
plc
$
446,896
14,602
Plug
Power,
Inc.*
50,231
606
Powell
Industries,
Inc.
86,234
400
Preformed
Line
Products
Co.
51,468
2,091
Regal
Rexnord
Corp.
376,589
2,250
Rockwell
Automation,
Inc.
655,492
7,206
Sensata
Technologies
Holding
plc
264,748
3,376
Shoals
Technologies
Group,
Inc.,
Class
A*
37,744
5,277
SunPower
Corp.*^
15,831
11,971
Sunrun,
Inc.*
157,778
1,298
Thermon
Group
Holdings,
Inc.*
42,471
3,331
Vertiv
Holdings
Co.,
Class
A
272,043
1,148
Vicor
Corp.*
43,900
6,779,854
Electronic
Equipment,
Instruments
&
Components
(1.2%):
1,470
Advanced
Energy
Industries,
Inc.
149,911
7,176
Amphenol
Corp.,
Class
A
827,752
3,284
Arrow
Electronics,
Inc.*
425,147
5,071
Avnet,
Inc.
251,420
888
Badger
Meter,
Inc.
143,687
550
Bel
Fuse,
Inc.,
Class
B
33,170
1,317
Belden,
Inc.
121,967
1,054
Benchmark
Electronics,
Inc.
31,631
3,354
CDW
Corp.
857,886
3,610
Cognex
Corp.
153,136
1,971
Coherent
Corp.*
119,482
17,152
Corning,
Inc.
565,330
1,637
Crane
NXT
Co.
101,330
1,576
CTS
Corp.
73,741
2,838
Daktronics,
Inc.*
28,266
1,413
ePlus,
Inc.*
110,977
1,439
Fabrinet*
272,000
392
FARO
Technologies,
Inc.*
8,432
12,223
Flex,
Ltd.*
349,700
640
Frequency
Electronics,
Inc.*
6,970
1,278
Insight
Enterprises,
Inc.*
237,095
1,164
IPG
Photonics
Corp.*
105,563
2,007
Itron,
Inc.*
185,688
4,558
Jabil,
Inc.
610,544
2,920
Keysight
Technologies,
Inc.*
456,630
1,603
Kimball
Electronics,
Inc.*
34,705
5,811
Knowles
Corp.*
93,557
672
Littelfuse,
Inc.
162,859
1,471
Methode
Electronics,
Inc.
17,917
1,008
Novanta,
Inc.*
176,168
594
OSI
Systems,
Inc.*
84,835
770
PAR
Technology
Corp.*
34,927
1,121
PC
Connection,
Inc.
73,908
1,323
Plexus
Corp.*
125,447
771
Rogers
Corp.*
91,510
2,630
Sanmina
Corp.*
163,533
738
ScanSource,
Inc.*
32,501
2,341
TD
SYNNEX
Corp.
264,767
4,283
TE
Connectivity,
Ltd.
622,063
846
Teledyne
Technologies,
Inc.*
363,205
3,693
Trimble,
Inc.*
237,681
5,237
TTM
Technologies,
Inc.*
81,959
5,343
Vishay
Intertechnology,
Inc.
121,179
4,805
Vontier
Corp.
217,955
Shares
Value
Common
Stocks,
continued
Electronic
Equipment,
Instruments
&
Components,
continued
540
Zebra
Technologies
Corp.*
$
162,778
9,390,909
Energy
Equipment
&
Services
(0.8%):
6,728
Archrock,
Inc.
132,340
22,576
Baker
Hughes
Co.
756,296
519
Bristow
Group,
Inc.*
14,117
562
Cactus,
Inc.,
Class
A
28,151
6,139
ChampionX
Corp.
220,329
1,337
Core
Laboratories,
Inc.
22,836
562
DMC
Global,
Inc.*
10,953
1,028
Dril-Quip,
Inc.*
23,161
1,095
Expro
Group
Holdings
NV*
21,867
306
Forum
Energy
Technologies,
Inc.*
6,114
760
Geospace
Technologies
Corp.*
10,024
1,086
Gulf
Island
Fabrication,
Inc.*
7,982
34,240
Halliburton
Co.
1,349,741
5,456
Helix
Energy
Solutions
Group,
Inc.*
59,143
2,819
Helmerich
&
Payne,
Inc.
118,567
11,498
Liberty
Energy,
Inc.
238,239
1,436
Mammoth
Energy
Services,
Inc.*
5,227
734
Nabors
Industries,
Ltd.*
63,219
935
Natural
Gas
Services
Group,
Inc.*
18,167
4,799
Newpark
Resources,
Inc.*
34,649
9,191
NOV,
Inc.
179,408
5,115
Oceaneering
International,
Inc.*
119,691
3,066
Oil
States
International,
Inc.*
18,887
2,926
Patterson-UTI
Energy,
Inc.
34,936
8,148
ProPetro
Holding
Corp.*
65,836
10,425
RPC,
Inc.
80,689
19,506
Schlumberger
NV
1,069,124
493
SEACOR
Marine
Holdings,
Inc.*
6,872
3,974
Select
Water
Solutions,
Inc.
36,680
16,526
TechnipFMC
plc
414,968
4,086
TETRA
Technologies,
Inc.*
18,101
2,580
Tidewater,
Inc.*
237,360
32,945
Transocean,
Ltd.*
206,895
4,546
US
Silica
Holdings,
Inc.*
56,416
2,181
Valaris,
Ltd.*
164,142
3,081
Weatherford
International
plc*
355,609
6,206,736
Entertainment
(1.0%):
1,869
Atlanta
Braves
Holdings,
Inc.*
73,003
247
Atlanta
Braves
Holdings,
Inc.*
10,349
6,453
Cinemark
Holdings,
Inc.*
115,960
5,516
Electronic
Arts,
Inc.
731,808
1,993
Endeavor
Group
Holdings,
Inc.,
Class
A
51,280
2,645
IMAX
Corp.*
42,770
619
Liberty
Media
Corp.-Liberty
Formula
One*
36,360
2,702
Liberty
Media
Corp.-Liberty
Formula
One*
177,251
2,653
Liberty
Media
Corp.-Liberty
Live*
116,255
1,139
Liberty
Media
Corp.-Liberty
Live*
48,237
2,111
Lions
Gate
Entertainment
Corp.,
Class
A*
21,004
4,430
Lions
Gate
Entertainment
Corp.,
Class
B*
41,243
3,788
Live
Nation
Entertainment,
Inc.*
400,657
894
Madison
Square
Garden
Entertainment
Corp.*
35,054
519
Madison
Square
Garden
Sports
Corp.*
95,766
1,459
Marcus
Corp.
(The)
20,805
3,357
Netflix,
Inc.*
2,038,807
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
43
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Entertainment,
continued
3,472
Playtika
Holding
Corp.
$
24,478
1,419
Reading
International,
Inc.,
Class
A*
2,611
4,024
ROBLOX
Corp.,
Class
A*
153,636
454
Roku,
Inc.*
29,587
894
Sphere
Entertainment
Co.*
43,878
752
Spotify
Technology
SA*
198,453
2,974
Take-Two
Interactive
Software,
Inc.*
441,609
988
TKO
Group
Holdings,
Inc.
85,373
20,258
Walt
Disney
Co.
(The)
2,478,769
34,743
Warner
Bros
Discovery,
Inc.*
303,306
2,097
Warner
Music
Group
Corp.,
Class
A
69,243
7,887,552
Financial
Services
(3.7%):
13,003
Affirm
Holdings,
Inc.*
484,492
981
A-Mark
Precious
Metals,
Inc.
30,107
3,955
Apollo
Global
Management,
Inc.
444,740
6,202
AvidXchange
Holdings,
Inc.*
81,556
19,826
Berkshire
Hathaway,
Inc.,
Class
B*
8,337,229
3,322
Block,
Inc.*
280,975
252
BM
Technologies,
Inc.*
416
1,635
Cannae
Holdings,
Inc.*
36,362
687
Cass
Information
Systems,
Inc.
33,093
2,189
Corebridge
Financial,
Inc.
62,890
1,235
Enact
Holdings,
Inc.
38,507
9,536
Equitable
Holdings,
Inc.
362,463
6,088
Essent
Group,
Ltd.
362,297
1,694
Euronet
Worldwide,
Inc.*
186,221
3,577
EVERTEC,
Inc.
142,722
403
Federal
Agricultural
Mortgage
Corp.,
Class
C
79,343
12,065
Fidelity
National
Information
Services,
Inc.
894,982
6,830
Fiserv,
Inc.*
1,091,571
2,700
Flywire
Corp.*
66,987
5,511
Global
Payments,
Inc.
736,600
1,101
I3
Verticals,
Inc.,
Class
A*
25,202
1,320
International
Money
Express,
Inc.*
30,136
1,539
Jack
Henry
&
Associates,
Inc.
267,370
3,895
Jackson
Financial,
Inc.,
Class
A
257,615
27,585
Marqeta,
Inc.,
Class
A*
164,407
11,847
Mastercard,
Inc.,
Class
A
5,705,160
988
Merchants
Bancorp
42,662
16,357
MGIC
Investment
Corp.
365,742
1,888
Mr
Cooper
Group,
Inc.*
147,170
4,617
NCR
Atleos
Corp.*
91,186
4,107
NMI
Holdings,
Inc.,
Class
A*
132,820
465
Ocwen
Financial
Corp.*
12,560
9,963
PayPal
Holdings,
Inc.*
667,421
1,468
Paysafe,
Ltd.*
23,180
2,818
PennyMac
Financial
Services,
Inc.
256,692
8,853
Radian
Group,
Inc.
296,310
995
Remitly
Global,
Inc.*
20,636
3,168
Repay
Holdings
Corp.*
34,848
4,694
Rocket
Cos.,
Inc.,
Class
A*
68,298
1,495
Shift4
Payments,
Inc.,
Class
A*
98,775
5,111
Toast,
Inc.,
Class
A*
127,366
19,927
Visa,
Inc.,
Class
A
5,561,227
4,007
Voya
Financial,
Inc.
296,197
1,074
Walker
&
Dunlop,
Inc.
108,538
728
Waterstone
Financial,
Inc.
8,860
6,143
Western
Union
Co.
(The)
85,879
Shares
Value
Common
Stocks,
continued
Financial
Services,
continued
446
WEX,
Inc.*
$
105,938
28,755,748
Food
Products
(1.0%):
1,309
Archer-Daniels-Midland
Co.
82,218
2,035
B&G
Foods,
Inc.
23,280
3,050
Bunge
Global
SA
312,686
270
Calavo
Growers,
Inc.
7,509
2,277
Cal-Maine
Foods,
Inc.
134,001
8,996
Campbell
Soup
Co.
399,872
6,563
Conagra
Brands,
Inc.
194,527
6,345
Darling
Ingredients,
Inc.*
295,106
1,004
Farmer
Bros.
Co.*
3,584
7,922
Flowers
Foods,
Inc.
188,148
2,403
Fresh
Del
Monte
Produce,
Inc.
62,262
1,992
Freshpet,
Inc.*
230,793
9,484
General
Mills,
Inc.
663,596
5,693
Hain
Celestial
Group,
Inc.
(The)*
44,747
3,050
Hershey
Co.
(The)
593,225
6,327
Hormel
Foods
Corp.
220,749
1,283
Ingredion,
Inc.
149,919
566
J
&
J
Snack
Foods
Corp.
81,821
2,407
JM
Smucker
Co.
(The)
302,969
300
John
B
Sanfilippo
&
Son,
Inc.
31,776
8,431
Kellanova
483,012
11,485
Kraft
Heinz
Co.
(The)
423,797
3,361
Lamb
Weston
Holdings,
Inc.
358,047
452
Lancaster
Colony
Corp.
93,849
3,531
McCormick
&
Co.,
Inc.
271,216
778
McCormick
&
Co.,
Inc.
MD
60,233
3,145
Mission
Produce,
Inc.*
37,331
15,451
Mondelez
International,
Inc.,
Class
A
1,081,570
4,602
Pilgrim's
Pride
Corp.*
157,941
2,182
Post
Holdings,
Inc.*
231,903
20
Seaboard
Corp.
64,478
266
Seneca
Foods
Corp.,
Class
A*
15,135
3,330
Simply
Good
Foods
Co.
(The)*
113,320
1,104
Tootsie
Roll
Industries,
Inc.
35,366
1,935
TreeHouse
Foods,
Inc.*
75,368
4,785
Tyson
Foods,
Inc.,
Class
A
281,023
1,200
Utz
Brands,
Inc.
22,128
1,400
Vital
Farms,
Inc.*
32,550
2,207
WK
Kellogg
Co.
41,492
7,902,547
Gas
Utilities
(0.2%):
2,126
Atmos
Energy
Corp.
252,718
785
Chesapeake
Utilities
Corp.
84,230
2,252
National
Fuel
Gas
Co.
120,977
4,288
New
Jersey
Resources
Corp.
183,998
1,716
Northwest
Natural
Holding
Co.
63,870
1,836
ONE
Gas,
Inc.
118,477
232
RGC
Resources,
Inc.
4,696
944
Southwest
Gas
Holdings,
Inc.
71,867
1,603
Spire,
Inc.
98,376
7,935
UGI
Corp.
194,725
1,193,934
Ground
Transportation
(1.2%):
957
ArcBest
Corp.
136,373
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
44
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Ground
Transportation,
continued
678
Avis
Budget
Group,
Inc.
$
83,028
419
Covenant
Logistics
Group,
Inc.
19,425
31,130
CSX
Corp.
1,153,989
1,925
Heartland
Express,
Inc.
22,985
19,110
Hertz
Global
Holdings,
Inc.*
149,631
3,565
JB
Hunt
Transport
Services,
Inc.
710,326
5,657
Knight-Swift
Transportation
Holdings,
Inc.
311,248
1,241
Landstar
System,
Inc.
239,215
4,222
Marten
Transport,
Ltd.
78,023
1,515
Norfolk
Southern
Corp.
386,128
2,842
Old
Dominion
Freight
Line,
Inc.
623,279
1,600
PAM
Transportation
Services,
Inc.*
25,936
4,704
RXO,
Inc.*
102,876
1,902
Ryder
System,
Inc.
228,601
411
Saia,
Inc.*
240,435
3,510
Schneider
National,
Inc.,
Class
B
79,466
11,706
Uber
Technologies,
Inc.*
901,245
1,170
U-Haul
Holding
Co.*
79,022
3,356
U-Haul
Holding
Co.
223,778
11,829
Union
Pacific
Corp.
2,909,106
586
Universal
Logistics
Holdings,
Inc.
21,606
2,380
Werner
Enterprises,
Inc.
93,106
2,834
XPO,
Inc.*
345,833
9,164,660
Health
Care
Equipment
&
Supplies
(1.9%):
16,521
Abbott
Laboratories
1,877,777
2,269
Accuray,
Inc.*
5,604
977
Align
Technology,
Inc.*
320,378
912
AngioDynamics,
Inc.*
5,353
1,619
Artivion,
Inc.*
34,258
1,507
AtriCure,
Inc.*
45,843
36
Atrion
Corp.
16,688
2,829
Avanos
Medical,
Inc.*
56,325
744
Axonics,
Inc.*
51,314
8,180
Baxter
International,
Inc.
349,613
3,200
Becton
Dickinson
&
Co.
791,840
14,346
Boston
Scientific
Corp.*
982,558
1,265
CONMED
Corp.
101,301
2,632
Cooper
Cos.,
Inc.
(The)
267,043
7,906
DENTSPLY
SIRONA,
Inc.
262,400
2,612
Dexcom,
Inc.*
362,284
4,976
Edwards
Lifesciences
Corp.*
475,507
994
Embecta
Corp.
13,190
1,499
Enovis
Corp.*
93,613
7,392
Envista
Holdings
Corp.*
158,041
4,567
GE
HealthCare
Technologies,
Inc.
415,186
1,246
Glaukos
Corp.*
117,485
3,817
Globus
Medical,
Inc.*
204,744
1,142
Haemonetics
Corp.*
97,470
2,894
Hologic,
Inc.*
225,616
1,288
IDEXX
Laboratories,
Inc.*
695,430
516
Inari
Medical,
Inc.*
24,758
433
Inogen,
Inc.*
3,494
515
Insulet
Corp.*
88,271
1,895
Integer
Holdings
Corp.*
221,109
3,384
Integra
LifeSciences
Holdings
Corp.*
119,963
2,221
Intuitive
Surgical,
Inc.*
886,379
1,817
Lantheus
Holdings,
Inc.*
113,090
809
LeMaitre
Vascular,
Inc.
53,685
Shares
Value
Common
Stocks,
continued
Health
Care
Equipment
&
Supplies,
continued
725
LENSAR,
Inc.*
$
2,574
2,659
LivaNova
plc*
148,745
692
Masimo
Corp.*
101,620
14,589
Medtronic
plc
1,271,431
2,177
Merit
Medical
Systems,
Inc.*
164,908
3,060
Neogen
Corp.*
48,287
600
Nevro
Corp.*
8,664
128
OmniAb
Operations,
Inc.
-
Vesting
12.5*(a)
128
OmniAb
Operations,
Inc.
-
Vesting
15*(a)
1,974
Omnicell,
Inc.*
57,700
2,205
OraSure
Technologies,
Inc.*
13,561
825
Orthofix
Medical,
Inc.*
11,979
1,309
OrthoPediatrics
Corp.*
38,170
768
Penumbra,
Inc.*
171,402
1,925
ResMed,
Inc.
381,208
180
Shockwave
Medical,
Inc.*
58,613
1,569
STAAR
Surgical
Co.*
60,061
1,882
STERIS
plc
423,111
2,926
Stryker
Corp.
1,047,128
1,018
Teleflex,
Inc.
230,241
193
UFP
Technologies,
Inc.*
48,675
227
Utah
Medical
Products,
Inc.
16,142
1,100
Varex
Imaging
Corp.*
19,910
4,097
Zimmer
Biomet
Holdings,
Inc.
540,722
217
Zimvie,
Inc.*
3,578
14,406,040
Health
Care
Providers
&
Services
(2.7%):
3,584
Acadia
Healthcare
Co.,
Inc.*
283,924
1,600
Accolade,
Inc.*
16,768
643
Addus
HomeCare
Corp.*
66,448
2,527
Agiliti,
Inc.*
25,573
5,599
agilon
health,
Inc.*
34,154
1,363
Amedisys,
Inc.*
125,614
2,275
AMN
Healthcare
Services,
Inc.*
142,210
1,245
Astrana
Health,
Inc.*
52,278
9,264
Brookdale
Senior
Living,
Inc.*
61,235
4,020
Cardinal
Health,
Inc.
449,838
431
Castle
Biosciences,
Inc.*
9,547
2,596
Cencora,
Inc.
630,802
10,064
Centene
Corp.*
789,823
322
Chemed
Corp.
206,701
5,151
Cigna
Group
(The)
1,870,792
5,028
Community
Health
Systems,
Inc.*
17,598
483
CorVel
Corp.*
127,010
1,732
Cross
Country
Healthcare,
Inc.*
32,423
19,437
CVS
Health
Corp.
1,550,295
2,342
DaVita,
Inc.*
323,313
2,901
Elevance
Health,
Inc.
1,504,285
4,542
Encompass
Health
Corp.
375,078
1,271
Enhabit,
Inc.*
14,807
1,449
Ensign
Group,
Inc.
(The)
180,285
790
Fulgent
Genetics,
Inc.*
17,143
2,029
HCA
Healthcare,
Inc.
676,732
2,817
HealthEquity,
Inc.*
229,952
3,026
Henry
Schein,
Inc.*
228,524
1,267
Humana,
Inc.
439,294
1,529
InfuSystem
Holdings,
Inc.*
13,104
1,463
Laboratory
Corp.
of
America
Holdings
319,607
1,558
McKesson
Corp.
836,412
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
45
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Health
Care
Providers
&
Services,
continued
864
ModivCare,
Inc.*
$
20,261
1,227
Molina
Healthcare,
Inc.*
504,088
575
National
HealthCare
Corp.
54,343
819
National
Research
Corp.
32,441
4,300
NeoGenomics,
Inc.*
67,596
10,235
OPKO
Health,
Inc.*^
12,282
6,542
Option
Care
Health,
Inc.*
219,419
3,971
Owens
&
Minor,
Inc.*
110,036
4,988
Patterson
Cos.,
Inc.
137,918
5,162
Pediatrix
Medical
Group,
Inc.*
51,775
792
Pennant
Group,
Inc.
(The)*
15,547
629
PetIQ,
Inc.*
11,498
5,181
Premier,
Inc.,
Class
A
114,500
1,933
Privia
Health
Group,
Inc.*
37,867
861
Progyny,
Inc.*
32,847
2,320
Quest
Diagnostics,
Inc.
308,815
3,100
R1
RCM,
Inc.*
39,928
2,720
RadNet,
Inc.*
132,355
5,624
Select
Medical
Holdings
Corp.
169,564
585
Surgery
Partners,
Inc.*
17,451
5,327
Tenet
Healthcare
Corp.*
559,921
11,709
UnitedHealth
Group,
Inc.
5,792,442
2,677
Universal
Health
Services,
Inc.,
Class
B
488,445
542
US
Physical
Therapy,
Inc.
61,176
20,644,084
Health
Care
Technology
(0.1%):
8,941
American
Well
Corp.,
Class
A*
7,248
2,856
Certara,
Inc.*
51,065
3,003
Definitive
Healthcare
Corp.*
24,234
3,607
Doximity,
Inc.,
Class
A*
97,064
1,873
Evolent
Health,
Inc.,
Class
A*
61,416
3,097
GoodRx
Holdings,
Inc.,
Class
A*
21,989
1,056
Health
Catalyst,
Inc.*
7,952
1,357
HealthStream,
Inc.
36,178
3,015
Schrodinger,
Inc.*
81,405
394
Simulations
Plus,
Inc.
16,213
5,070
Teladoc
Health,
Inc.*
76,557
339
TruBridge,
Inc.*
3,125
1,211
Veeva
Systems,
Inc.,
Class
A*
280,577
3,628
Veradigm,
Inc.*
27,936
792,959
Hotels,
Restaurants
&
Leisure
(2.1%):
3,434
Airbnb,
Inc.,
Class
A*
566,473
9,200
Aramark
299,184
6
Biglari
Holdings,
Inc.,
Class
A*
5,550
67
Biglari
Holdings,
Inc.,
Class
B*
12,709
2,189
BJ's
Restaurants,
Inc.*
79,198
4,525
Bloomin'
Brands,
Inc.
129,777
308
Booking
Holdings,
Inc.
1,117,387
1,059
Boyd
Gaming
Corp.
71,292
1,618
Brinker
International,
Inc.*
80,382
6,589
Caesars
Entertainment,
Inc.*
288,203
19,605
Carnival
Corp.*
320,346
2,943
Carrols
Restaurant
Group,
Inc.
27,988
2,527
Cheesecake
Factory,
Inc.
(The)
91,351
333
Chipotle
Mexican
Grill,
Inc.*
967,954
1,340
Choice
Hotels
International,
Inc.
169,309
2,252
Churchill
Downs,
Inc.
278,685
Shares
Value
Common
Stocks,
continued
Hotels,
Restaurants
&
Leisure,
continued
429
Chuy's
Holdings,
Inc.*
$
14,470
1,219
Cracker
Barrel
Old
Country
Store,
Inc.
88,658
3,109
Darden
Restaurants,
Inc.
519,669
1,810
Dave
&
Buster's
Entertainment,
Inc.*
113,306
1,239
Denny's
Corp.*
11,101
362
Dine
Brands
Global,
Inc.
16,826
562
Domino's
Pizza,
Inc.
279,247
1,747
DoorDash,
Inc.,
Class
A*
240,597
4,152
DraftKings,
Inc.*
188,542
1,288
El
Pollo
Loco
Holdings,
Inc.*
12,545
2,986
Expedia
Group,
Inc.*
411,321
2,093
First
Watch
Restaurant
Group,
Inc.*
51,530
6,175
Hilton
Grand
Vacations,
Inc.*
291,522
2,983
Hilton
Worldwide
Holdings,
Inc.
636,304
789
Hyatt
Hotels
Corp.,
Class
A
125,940
323
Jack
in
the
Box,
Inc.
22,119
3,372
Krispy
Kreme,
Inc.
51,372
2,177
Las
Vegas
Sands
Corp.
112,551
3,371
Life
Time
Group
Holdings,
Inc.*
52,318
1,893
Light
&
Wonder,
Inc.*
193,256
3,105
Marriott
International,
Inc.,
Class
A
783,422
1,545
Marriott
Vacations
Worldwide
Corp.
166,443
8,429
McDonald's
Corp.
2,376,556
1,328
MGM
Resorts
International*
62,695
341
Nathan's
Famous,
Inc.
24,143
2,319
Norwegian
Cruise
Line
Holdings,
Ltd.*
48,537
977
Papa
John's
International,
Inc.
65,068
2,176
Penn
Entertainment,
Inc.*
39,625
3,216
Planet
Fitness,
Inc.,
Class
A*
201,418
9,227
Playa
Hotels
&
Resorts
NV*
89,502
763
Potbelly
Corp.*
9,240
878
Red
Robin
Gourmet
Burgers,
Inc.*
6,725
4,589
Royal
Caribbean
Cruises,
Ltd.*
637,917
1,202
Shake
Shack,
Inc.,
Class
A*
125,044
3,662
Six
Flags
Entertainment
Corp.*
96,384
12,930
Starbucks
Corp.
1,181,673
7,074
Sweetgreen,
Inc.,
Class
A*
178,689
2,298
Texas
Roadhouse,
Inc.
354,972
2,060
Travel
+
Leisure
Co.
100,858
1,834
United
Parks
&
Resorts,
Inc.*
103,089
1,455
Vail
Resorts,
Inc.
324,218
7,189
Wendy's
Co.
(The)
135,441
872
Wingstop,
Inc.
319,501
3,640
Wyndham
Hotels
&
Resorts,
Inc.
279,370
1,374
Wynn
Resorts,
Ltd.
140,464
4,503
Yum!
Brands,
Inc.
624,341
16,414,317
Household
Durables
(1.1%):
906
Beazer
Homes
USA,
Inc.*
29,717
283
Cavco
Industries,
Inc.*
112,934
1,809
Century
Communities,
Inc.
174,569
5,619
D.R.
Horton,
Inc.
924,607
1,530
Ethan
Allen
Interiors,
Inc.
52,892
431
Flexsteel
Industries,
Inc.
16,076
3,356
Garmin,
Ltd.
499,608
2,761
GoPro,
Inc.,
Class
A*
6,157
1,329
Green
Brick
Partners,
Inc.*
80,046
1,366
Helen
of
Troy,
Ltd.*
157,418
500
Hooker
Furnishings
Corp.
12,005
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
46
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Household
Durables,
continued
145
Hovnanian
Enterprises,
Inc.,
Class
A*
$
22,756
1,698
Installed
Building
Products,
Inc.
439,324
596
iRobot
Corp.*
5,221
2,155
KB
Home
152,746
2,550
La-Z-Boy,
Inc.
95,931
6,216
Leggett
&
Platt,
Inc.
119,036
3,171
Lennar
Corp.,
Class
A
545,349
119
Lennar
Corp.,
Class
B
18,347
1,327
LGI
Homes,
Inc.*
154,423
1,017
Lifetime
Brands,
Inc.
10,658
1,420
M/I
Homes,
Inc.*
193,532
2,061
MDC
Holdings,
Inc.
129,658
1,004
Meritage
Homes
Corp.
176,162
1,730
Mohawk
Industries,
Inc.*
226,440
10,746
Newell
Brands,
Inc.
86,290
102
NVR,
Inc.*
826,196
7,958
PulteGroup,
Inc.
959,894
7,911
Purple
Innovation,
Inc.
13,765
503
SharkNinja,
Inc.
31,332
2,434
Skyline
Champion
Corp.*
206,914
2,407
Sonos,
Inc.*
45,877
4,109
Taylor
Morrison
Home
Corp.*
255,457
4,489
Tempur
Sealy
International,
Inc.
255,065
2,183
Toll
Brothers,
Inc.
282,415
1,110
TopBuild
Corp.*
489,210
5,751
Tri
Pointe
Homes,
Inc.*
222,334
320
Universal
Electronics,
Inc.*
3,203
3,376
Vizio
Holding
Corp.,
Class
A*
36,933
1,621
VOXX
International
Corp.*
13,227
1,445
Whirlpool
Corp.
172,865
1,732
Worthington
Enterprises,
Inc.
107,782
8,364,371
Household
Products
(1.0%):
6,591
BJ's
Wholesale
Club
Holdings,
Inc.*
498,609
2,328
Central
Garden
&
Pet
Co.,
Class
A*
85,950
3,717
Church
&
Dwight
Co.,
Inc.
387,720
1,597
Clorox
Co.
(The)
244,517
8,227
Colgate-Palmolive
Co.
740,841
1,918
Energizer
Holdings,
Inc.
56,466
5,408
Kimberly-Clark
Corp.
699,525
333
Oil-Dri
Corp.
of
America
24,828
31,083
Procter
&
Gamble
Co.
(The)
5,043,217
4,384
Reynolds
Consumer
Products,
Inc.
125,207
1,769
Spectrum
Brands
Holdings,
Inc.
157,459
441
WD-40
Co.
111,710
8,176,049
Independent
Power
and
Renewable
Electricity
Producers
(0.2%):
12,230
AES
Corp.
(The)
219,284
3,258
Brookfield
Renewable
Corp.,
Class
A
80,049
1,323
Clearway
Energy,
Inc.,
Class
A
28,458
3,836
Clearway
Energy,
Inc.,
Class
C
88,420
1,138
Ormat
Technologies,
Inc.
75,324
6,557
Sunnova
Energy
International,
Inc.*
40,194
18,390
Vistra
Corp.
1,280,864
1,812,593
Shares
Value
Common
Stocks,
continued
Industrial
Conglomerates
(0.5%):
4,514
3M
Co.
$
478,800
5,892
General
Electric
Co.
1,034,223
9,880
Honeywell
International,
Inc.
2,027,870
3,540,893
Insurance
(3.0%):
8,625
Aflac,
Inc.
740,542
4,708
Allstate
Corp.
(The)
814,531
2,897
Ambac
Financial
Group,
Inc.*
45,280
5,969
American
Equity
Investment
Life
Holding
Co.*
335,577
2,248
American
Financial
Group,
Inc.
306,807
12,520
American
International
Group,
Inc.
978,688
745
AMERISAFE,
Inc.
37,377
2,348
Aon
plc,
Class
A
783,575
8,002
Arch
Capital
Group,
Ltd.*
739,705
2,177
Arthur
J.
Gallagher
&
Co.
544,337
1,480
Assurant,
Inc.
278,595
1,625
Assured
Guaranty,
Ltd.
141,781
4,126
Axis
Capital
Holdings,
Ltd.
268,273
2,993
Brighthouse
Financial,
Inc.*
154,259
6,038
Brown
&
Brown,
Inc.
528,567
3,450
BRP
Group,
Inc.,
Class
A*
99,843
5,116
Chubb,
Ltd.
1,325,709
3,165
Cincinnati
Financial
Corp.
392,998
2,176
Citizens,
Inc.*
4,657
895
Crawford
&
Co.,
Class
A
8,440
2,354
Crawford
&
Co.,
Class
B
21,351
1,631
Donegal
Group,
Inc.,
Class
A
23,062
800
eHealth,
Inc.*
4,824
1,977
Employers
Holdings,
Inc.
89,736
447
Enstar
Group,
Ltd.*
138,910
398
Erie
Indemnity
Co.,
Class
A
159,825
621
Everest
Group,
Ltd.
246,847
419
F&G
Annuities
&
Life,
Inc.
16,990
6,854
Fidelity
National
Financial,
Inc.
363,947
3,923
First
American
Financial
Corp.
239,499
27,784
Genworth
Financial,
Inc.*
178,651
4,859
Globe
Life,
Inc.
565,442
318
Goosehead
Insurance,
Inc.,
Class
A*
21,185
2,383
Greenlight
Capital
Re,
Ltd.,
Class
A*
29,716
769
Hanover
Insurance
Group,
Inc.
(The)
104,715
10,947
Hartford
Financial
Services
Group,
Inc.
(The)
1,128,088
397
HCI
Group,
Inc.
46,084
387
Heritage
Insurance
Holdings,
Inc.*
4,122
1,991
Horace
Mann
Educators
Corp.
73,647
153
Investors
Title
Co.
24,968
1,185
James
River
Group
Holdings,
Ltd.
11,020
3,603
Kemper
Corp.
223,098
381
Kinsale
Capital
Group,
Inc.
199,926
2,749
Lincoln
National
Corp.
87,776
4,808
Loews
Corp.
376,418
5,556
Maiden
Holdings,
Ltd.*
12,501
182
Markel
Group,
Inc.*
276,909
7,633
Marsh
&
McLennan
Cos.,
Inc.
1,572,245
2,590
Mercury
General
Corp.
133,644
7,939
MetLife,
Inc.
588,359
162
National
Western
Life
Group,
Inc.,
Class
A
79,698
10,590
Old
Republic
International
Corp.
325,325
5,300
Oscar
Health,
Inc.,
Class
A*
78,811
400
Palomar
Holdings,
Inc.*
33,532
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
47
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Insurance,
continued
1,239
Primerica,
Inc.
$
313,417
4,641
Principal
Financial
Group,
Inc.
400,565
3,052
ProAssurance
Corp.
39,249
5,063
Progressive
Corp.
(The)
1,047,130
8,892
Prudential
Financial,
Inc.
1,043,921
2,391
Reinsurance
Group
of
America,
Inc.
461,176
1,883
RenaissanceRe
Holdings,
Ltd.
442,561
1,758
RLI
Corp.
261,010
825
Safety
Insurance
Group,
Inc.
67,807
1,725
Selective
Insurance
Group,
Inc.
188,318
5,145
SiriusPoint,
Ltd.*
65,393
1,878
Stewart
Information
Services
Corp.
122,183
1,767
Tiptree,
Inc.
30,534
6,041
Travelers
Cos.,
Inc.
(The)
1,390,276
1,346
Trupanion,
Inc.*
37,163
728
United
Fire
Group,
Inc.
15,849
1,869
Universal
Insurance
Holdings,
Inc.
37,978
7,186
Unum
Group
385,601
5,505
W
R
Berkley
Corp.
486,862
145
White
Mountains
Insurance
Group,
Ltd.
260,173
1,780
Willis
Towers
Watson
plc
489,500
23,597,078
Interactive
Media
&
Services
(4.3%):
67,793
Alphabet,
Inc.,
Class
A*
10,231,997
59,210
Alphabet,
Inc.,
Class
C*
9,015,315
5,394
Bumble,
Inc.,
Class
A*
61,222
5,023
Cargurus,
Inc.*
115,931
1,955
Cars.com,
Inc.*
33,587
2,881
DHI
Group,
Inc.*
7,346
4,788
Match
Group,
Inc.*
173,709
26,544
Meta
Platforms,
Inc.,
Class
A
12,889,235
6,298
Pinterest,
Inc.,
Class
A*
218,352
1,563
QuinStreet,
Inc.*
27,602
764
Shutterstock,
Inc.
34,999
14,592
Snap,
Inc.,
Class
A*
167,516
1,344
Travelzoo*
13,682
5,311
TripAdvisor,
Inc.*
147,593
2,857
TrueCar,
Inc.*
9,685
4,440
Vimeo,
Inc.*
18,159
2,324
Yelp,
Inc.*
91,566
664
Zedge,
Inc.,
Class
B*
1,839
1,918
Ziff
Davis,
Inc.*
120,911
13,421
ZoomInfo
Technologies,
Inc.*
215,139
33,595,385
IT
Services
(1.3%):
8,592
Accenture
plc,
Class
A
2,978,073
3,160
Akamai
Technologies,
Inc.*
343,682
2,838
Amdocs,
Ltd.
256,470
1,701
Cloudflare,
Inc.,
Class
A*
164,708
9,997
Cognizant
Technology
Solutions
Corp.,
Class
A
732,680
2,202
DigitalOcean
Holdings,
Inc.*
84,072
11,221
DXC
Technology
Co.*
237,997
54
Edgio,
Inc.*
521
943
EPAM
Systems,
Inc.*
260,419
4,318
Fastly,
Inc.,
Class
A*
56,005
1,554
Gartner,
Inc.*
740,745
585
Globant
SA*
118,112
2,237
GoDaddy,
Inc.,
Class
A*
265,487
Shares
Value
Common
Stocks,
continued
IT
Services,
continued
2,548
Grid
Dynamics
Holdings,
Inc.*
$
31,315
1,357
Hackett
Group,
Inc.
(The)
32,975
13,118
International
Business
Machines
Corp.
2,505,013
12,162
Kyndryl
Holdings,
Inc.*
264,645
427
MongoDB,
Inc.*
153,139
2,093
Okta,
Inc.*
218,970
1,698
Perficient,
Inc.*
95,580
1,687
Snowflake,
Inc.,
Class
A*
272,619
3,945
Twilio,
Inc.,
Class
A*
241,237
2,221
Unisys
Corp.*
10,905
1,690
VeriSign,
Inc.*
320,272
10,385,641
Leisure
Products
(0.2%):
2,948
Acushnet
Holdings
Corp.
194,421
895
American
Outdoor
Brands,
Inc.*
7,876
2,517
Brunswick
Corp.
242,941
2,100
Clarus
Corp.
14,175
658
Escalade,
Inc.
9,047
1,267
Funko,
Inc.,
Class
A*
7,906
5,388
Hasbro,
Inc.
304,530
303
Johnson
Outdoors,
Inc.,
Class
A
13,971
931
Malibu
Boats,
Inc.,
Class
A*
40,294
662
Marine
Products
Corp.
7,778
451
MasterCraft
Boat
Holdings,
Inc.*
10,698
12,086
Mattel,
Inc.*
239,424
3,127
Polaris,
Inc.
313,075
1,410
Smith
&
Wesson
Brands,
Inc.
24,478
6,367
Topgolf
Callaway
Brands
Corp.*
102,954
3,865
Vista
Outdoor,
Inc.*
126,695
3,466
YETI
Holdings,
Inc.*
133,614
1,793,877
Life
Sciences
Tools
&
Services
(1.2%):
237
10X
Genomics,
Inc.,
Class
A*
8,895
6,251
Adaptive
Biotechnologies
Corp.*
20,066
3,947
Agilent
Technologies,
Inc.
574,328
12,039
Avantor,
Inc.*
307,837
599
Azenta,
Inc.*
36,108
1,634
BioLife
Solutions,
Inc.*
30,311
456
Bio-Rad
Laboratories,
Inc.,
Class
A*
157,717
2,351
Bio-Techne
Corp.
165,487
4,004
Bruker
Corp.
376,136
1,053
Charles
River
Laboratories
International,
Inc.*
285,310
2,030
CryoPort,
Inc.*
35,931
6,217
Danaher
Corp.
1,552,509
2,171
Fortrea
Holdings,
Inc.*
87,144
1,979
Harvard
Bioscience,
Inc.*
8,391
55
Illumina,
Inc.*
7,552
3,190
IQVIA
Holdings,
Inc.*
806,719
4,035
Maravai
LifeSciences
Holdings,
Inc.,
Class
A*
34,983
931
Medpace
Holdings,
Inc.*
376,264
125
Mesa
Laboratories,
Inc.
13,716
328
Mettler-Toledo
International,
Inc.*
436,663
1,666
OmniAb,
Inc.*
9,030
10,633
Pacific
Biosciences
of
California,
Inc.*
39,874
453
Quanterix
Corp.*
10,673
1,140
Repligen
Corp.*
209,669
1,101
Revvity,
Inc.
115,605
9,819
Sotera
Health
Co.*
117,926
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
48
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Life
Sciences
Tools
&
Services,
continued
4,279
Thermo
Fisher
Scientific,
Inc.
$
2,486,997
1,395
Waters
Corp.*
480,201
792
West
Pharmaceutical
Services,
Inc.
313,402
9,105,444
Machinery
(2.8%):
7,267
3D
Systems
Corp.*
32,265
4,421
AGCO
Corp.
543,871
228
Alamo
Group,
Inc.
52,059
935
Albany
International
Corp.
87,432
4,819
Allison
Transmission
Holdings,
Inc.
391,110
1,618
Astec
Industries,
Inc.
70,723
2,323
Barnes
Group,
Inc.
86,299
837
Blue
Bird
Corp.*
32,091
9,372
Caterpillar,
Inc.
3,434,182
1,531
Columbus
McKinnon
Corp.
68,329
707
Commercial
Vehicle
Group,
Inc.*
4,546
1,637
Crane
Co.
221,208
3,715
Cummins,
Inc.
1,094,625
4,416
Deere
&
Co.
1,813,828
3,969
Donaldson
Co.,
Inc.
296,405
471
Douglas
Dynamics,
Inc.
11,360
3,043
Dover
Corp.
539,189
475
Energy
Recovery,
Inc.*
7,500
1,250
Enerpac
Tool
Group
Corp.
44,575
453
Enpro,
Inc.
76,453
2,189
Esab
Corp.
242,038
372
ESCO
Technologies,
Inc.
39,823
2,677
Federal
Signal
Corp.
227,197
4,041
Flowserve
Corp.
184,593
6,191
Fortive
Corp.
532,550
1,334
Franklin
Electric
Co.,
Inc.
142,485
10,083
Gates
Industrial
Corp.
plc*
178,570
889
Gencor
Industries,
Inc.*
14,837
606
Gorman-Rupp
Co.
(The)
23,967
2,592
Graco,
Inc.
242,248
2,100
Greenbrier
Cos.,
Inc.
(The)
109,410
650
Helios
Technologies,
Inc.
29,048
2,088
Hillenbrand,
Inc.
105,006
2,481
Hillman
Solutions
Corp.*
26,398
490
Hurco
Cos.,
Inc.
9,878
896
Hyster-Yale
Materials
Handling,
Inc.
57,496
1,133
IDEX
Corp.
276,475
4,769
Illinois
Tool
Works,
Inc.
1,279,666
6,807
Ingersoll
Rand,
Inc.
646,325
2,882
ITT,
Inc.
392,038
757
John
Bean
Technologies
Corp.
79,402
528
Kadant,
Inc.
173,237
3,829
Kennametal,
Inc.
95,495
787
L.B.
Foster
Co.,
Class
A*
21,493
1,212
Lincoln
Electric
Holdings,
Inc.
309,593
221
Lindsay
Corp.
26,003
1,300
Luxfer
Holdings
plc
13,481
1,213
Manitex
International,
Inc.*
8,321
2,529
Manitowoc
Co.,
Inc.
(The)*
35,760
1,367
Middleby
Corp.
(The)*
219,800
285
Miller
Industries,
Inc.
14,278
5,006
Mueller
Industries,
Inc.
269,974
8,698
Mueller
Water
Products,
Inc.,
Class
A
139,951
1,258
NN,
Inc.*
5,963
Shares
Value
Common
Stocks,
continued
Machinery,
continued
864
Nordson
Corp.
$
237,203
158
Omega
Flex,
Inc.
11,207
1,463
Oshkosh
Corp.
182,451
6,108
Otis
Worldwide
Corp.
606,341
8,160
PACCAR,
Inc.
1,010,942
1,285
Parker-Hannifin
Corp.
714,190
1,058
Park-Ohio
Holdings
Corp.
28,227
6,299
Pentair
plc
538,187
1,666
Proto
Labs,
Inc.*
59,559
440
RBC
Bearings,
Inc.*
118,954
3,787
REV
Group,
Inc.
83,655
612
Shyft
Group,
Inc.
(The)
7,601
745
Snap-on,
Inc.
220,684
1,832
SPX
Technologies,
Inc.*
225,574
340
Standex
International
Corp.
61,955
3,210
Stanley
Black
&
Decker,
Inc.
314,355
1,047
Symbotic,
Inc.*
47,115
537
Tennant
Co.
65,305
3,009
Terex
Corp.
193,780
2,371
Timken
Co.
(The)
207,297
3,046
Titan
International,
Inc.*
37,953
2,821
Toro
Co.
(The)
258,488
4,719
Trinity
Industries,
Inc.
131,424
1,510
Wabash
National
Corp.
45,209
615
Watts
Water
Technologies,
Inc.,
Class
A
130,718
3,716
Westinghouse
Air
Brake
Technologies
Corp.
541,347
4,017
Xylem,
Inc.
519,157
21,679,727
Marine
Transportation
(0.1%):
3,979
Costamare,
Inc.
45,162
1,219
Eagle
Bulk
Shipping,
Inc.
76,151
1,300
Genco
Shipping
&
Trading,
Ltd.
26,429
2,793
Kirby
Corp.*
266,229
2,141
Matson,
Inc.
240,648
654,619
Media
(1.1%):
17,563
Altice
USA,
Inc.,
Class
A*
45,839
1,413
AMC
Networks,
Inc.,
Class
A*
17,140
1,200
Boston
Omaha
Corp.,
Class
A*
18,552
383
Cable
One,
Inc.
162,059
2,262
Charter
Communications,
Inc.,
Class
A*
657,405
88,422
Comcast
Corp.,
Class
A
3,833,094
147
comScore,
Inc.*
2,264
367
DallasNews
Corp.
1,402
4,792
Entravision
Communications
Corp.,
Class
A
7,859
2,931
EW
Scripps
Co.
(The),
Class
A*
11,519
4,922
Fox
Corp.,
Class
A
153,911
4,178
Fox
Corp.,
Class
B
119,574
7,573
Gannett
Co,
Inc.*
18,478
7,897
Gray
Television,
Inc.
49,909
2,014
Integral
Ad
Science
Holding
Corp.*
20,080
14,602
Interpublic
Group
of
Cos.,
Inc.
(The)
476,463
1,162
John
Wiley
&
Sons,
Inc.,
Class
A
44,307
192
John
Wiley
&
Sons,
Inc.,
Class
B
7,298
334
Liberty
Broadband
Corp.,
Class
A*
19,078
3,041
Liberty
Broadband
Corp.,
Class
C*
174,036
9,922
Liberty
Media
Corp.-Liberty
SiriusXM*
294,783
4,454
Liberty
Media
Corp.-Liberty
SiriusXM*
132,284
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
49
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Media,
continued
8,352
Magnite,
Inc.*
$
89,784
131
Marchex,
Inc.,
Class
B*
179
5,563
New
York
Times
Co.
(The),
Class
A
240,433
8,473
News
Corp.,
Class
A
221,823
3,669
News
Corp.,
Class
B
99,283
1,883
Nexstar
Media
Group,
Inc.
324,422
6,836
Omnicom
Group,
Inc.
661,451
445
Paramount
Global,
Class
A
9,714
16,169
Paramount
Global,
Class
B
190,309
1,353
Scholastic
Corp.
51,022
1,768
Sinclair,
Inc.
23,815
22,459
Sirius
XM
Holdings,
Inc.
87,141
7,339
Stagwell,
Inc.*
45,649
1,890
TechTarget,
Inc.*
62,521
7,839
TEGNA,
Inc.
117,115
1,103
Thryv
Holdings,
Inc.*
24,520
3,857
Trade
Desk,
Inc.
(The),
Class
A*
337,179
5,104
WideOpenWest,
Inc.*
18,476
8,872,170
Metals
&
Mining
(1.0%):
6,731
Alcoa
Corp.
227,440
895
Alpha
Metallurgical
Resources,
Inc.
296,397
799
Ampco-Pittsburgh
Corp.*
1,734
919
Arch
Resources,
Inc.
147,766
759
Ascent
Industries
Co.*
7,734
5,393
ATI,
Inc.*
275,960
1,638
Carpenter
Technology
Corp.
116,986
7,172
Century
Aluminum
Co.*
110,377
13,692
Cleveland-Cliffs,
Inc.*
311,356
18,225
Coeur
Mining,
Inc.*
68,708
3,650
Commercial
Metals
Co.
214,510
2,118
Compass
Minerals
International,
Inc.
33,337
13,361
Ferroglobe
plc
66,538
841
Fortitude
Gold
Corp.
4,592
17,927
Freeport-McMoRan,
Inc.
842,928
943
Haynes
International,
Inc.
56,693
22,580
Hecla
Mining
Co.
108,610
151
Kaiser
Aluminum
Corp.
13,493
794
Materion
Corp.
104,610
1,230
McEwen
Mining,
Inc.*
12,128
2,052
Metallus,
Inc.*
45,657
8,393
MP
Materials
Corp.*
120,020
15,242
Newmont
Corp.
546,273
6,812
Nucor
Corp.
1,348,095
700
Olympic
Steel,
Inc.
49,616
1,365
Radius
Recycling,
Inc.
28,842
1,315
Reliance,
Inc.
439,447
2,355
Royal
Gold,
Inc.
286,863
2,617
Ryerson
Holding
Corp.
87,670
1,238
Southern
Copper
Corp.
131,872
6,178
Steel
Dynamics,
Inc.
915,765
3,673
SunCoke
Energy,
Inc.
41,395
1,070
Tredegar
Corp.
6,976
10,745
United
States
Steel
Corp.
438,181
548
Universal
Stainless
&
Alloy
Products,
Inc.*
12,286
1,489
Warrior
Met
Coal,
Inc.
90,382
1,732
Worthington
Steel,
Inc.
62,092
7,673,329
Shares
Value
Common
Stocks,
continued
Multi-Utilities
(0.5%):
2,507
Ameren
Corp.
$
185,418
2,650
Avista
Corp.
92,803
1,766
Black
Hills
Corp.
96,424
9,408
CenterPoint
Energy,
Inc.
268,034
4,376
CMS
Energy
Corp.
264,048
3,188
Consolidated
Edison,
Inc.
289,502
9,461
Dominion
Energy,
Inc.
465,386
2,889
DTE
Energy
Co.
323,972
8,905
NiSource,
Inc.
246,312
1,876
Northwestern
Energy
Group,
Inc.
95,545
7,274
Public
Service
Enterprise
Group,
Inc.
485,758
6,667
Sempra
478,891
305
Unitil
Corp.
15,967
3,468
WEC
Energy
Group,
Inc.
284,792
3,592,852
Oil,
Gas
&
Consumable
Fuels
(5.6%):
332
Adams
Resources
&
Energy,
Inc.
9,628
18,724
Antero
Midstream
Corp.
263,259
9,749
Antero
Resources
Corp.*
282,721
4,071
APA
Corp.
139,961
1,287
Ardmore
Shipping
Corp.
21,133
6,491
Berry
Corp.
52,253
2,994
California
Resources
Corp.
164,969
4,374
Callon
Petroleum
Co.*
156,414
600
Centrus
Energy
Corp.,
Class
A*
24,918
4,794
Cheniere
Energy,
Inc.
773,176
4,080
Chesapeake
Energy
Corp.
362,426
29,192
Chevron
Corp.
4,604,746
369
Chord
Energy
Corp.
65,771
1,953
Civitas
Resources,
Inc.
148,252
7,534
Clean
Energy
Fuels
Corp.*
20,191
7,609
CNX
Resources
Corp.*
180,485
19,166
Comstock
Resources,
Inc.
177,860
22,012
ConocoPhillips
2,801,687
2,035
CONSOL
Energy,
Inc.
170,452
30,229
Coterra
Energy,
Inc.
842,785
5,103
CVR
Energy,
Inc.
181,973
3,077
Delek
US
Holdings,
Inc.
94,587
27,546
Devon
Energy
Corp.
1,382,258
8,048
DHT
Holdings,
Inc.
92,552
6,536
Diamondback
Energy,
Inc.
1,295,239
1,758
Dorian
LPG,
Ltd.
67,613
4,645
DT
Midstream,
Inc.
283,810
20,754
EnLink
Midstream
LLC
283,085
11,018
EOG
Resources,
Inc.
1,408,541
8,641
EQT
Corp.
320,322
7,111
Equitrans
Midstream
Corp.
88,816
82,778
Exxon
Mobil
Corp.
9,622,115
3,222
FutureFuel
Corp.
25,937
3,367
Green
Plains,
Inc.*
77,845
845
Gulfport
Energy
Corp.*
135,301
5,545
Hess
Corp.
846,389
11,760
HF
Sinclair
Corp.
709,951
2,789
International
Seaways,
Inc.
148,375
37,129
Kinder
Morgan,
Inc.
680,946
25,708
Kosmos
Energy,
Ltd.*
153,220
9,480
Magnolia
Oil
&
Gas
Corp.,
Class
A
246,006
13,453
Marathon
Oil
Corp.
381,258
8,028
Marathon
Petroleum
Corp.
1,617,642
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
50
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
6,327
Matador
Resources
Co.
$
422,454
9,234
Murphy
Oil
Corp.
421,994
4,420
New
Fortress
Energy,
Inc.
135,208
4,784
Nordic
American
Tankers,
Ltd.
18,753
700
Northern
Oil
and
Gas,
Inc.
27,776
12,594
Occidental
Petroleum
Corp.
818,484
13,425
ONEOK,
Inc.
1,076,282
13,008
Ovintiv,
Inc.
675,115
3,509
Par
Pacific
Holdings,
Inc.*
130,044
6,718
PBF
Energy,
Inc.,
Class
A
386,755
7,799
Peabody
Energy
Corp.
189,204
6,243
Permian
Resources
Corp.
110,251
7,657
Phillips
66
1,250,694
1,401
PHX
Minerals,
Inc.
4,777
4,857
Pioneer
Natural
Resources
Co.
1,274,962
6
PrimeEnergy
Resources
Corp.*
602
16,463
Range
Resources
Corp.
566,821
1,122
REX
American
Resources
Corp.*
65,873
3,060
Scorpio
Tankers,
Inc.
218,943
4,935
SFL
Corp.,
Ltd.
65,043
820
SilverBow
Resources,
Inc.*
27,995
1,508
Sitio
Royalties
Corp.,
Class
A
37,278
5,843
SM
Energy
Co.
291,274
42,492
Southwestern
Energy
Co.*
322,089
3,310
Talos
Energy,
Inc.*
46,108
2,932
Targa
Resources
Corp.
328,355
6,407
Teekay
Corp.*
46,643
1,031
Teekay
Tankers,
Ltd.,
Class
A
60,221
303
Texas
Pacific
Land
Corp.
175,289
2,864
Uranium
Energy
Corp.*
19,332
10,006
Valero
Energy
Corp.
1,707,924
1,578
Vital
Energy,
Inc.*
82,908
622
Vitesse
Energy,
Inc.
14,760
9,330
W&T
Offshore,
Inc.
24,725
24,490
Williams
Cos.,
Inc.
(The)
954,375
3,599
World
Kinect
Corp.
95,194
43,501,373
Paper
&
Forest
Products
(0.1%):
545
Clearwater
Paper
Corp.*
23,833
2,520
Glatfelter
Corp.*
5,040
4,052
Louisiana-Pacific
Corp.
340,003
3,875
Mercer
International,
Inc.
38,556
2,050
Sylvamo
Corp.
126,567
533,999
Passenger
Airlines
(0.4%):
5,767
Alaska
Air
Group,
Inc.*
247,923
639
Allegiant
Travel
Co.
48,059
14,564
American
Airlines
Group,
Inc.*
223,558
1,569
Copa
Holdings
SA,
Class
A
163,427
30,124
Delta
Air
Lines,
Inc.
1,442,036
2,340
Frontier
Group
Holdings,
Inc.*
18,977
1,057
Hawaiian
Holdings,
Inc.*
14,090
15,406
JetBlue
Airways
Corp.*
114,313
1,602
SkyWest,
Inc.*
110,666
7,927
Southwest
Airlines
Co.
231,389
2,445
Spirit
Airlines,
Inc.^
11,834
Shares
Value
Common
Stocks,
continued
Passenger
Airlines,
continued
16,149
United
Airlines
Holdings,
Inc.*
$
773,214
3,399,486
Personal
Care
Products
(0.3%):
4,436
BellRing
Brands,
Inc.*
261,857
31,189
Coty,
Inc.,
Class
A*
373,020
1,940
Edgewell
Personal
Care
Co.
74,962
1,623
elf
Beauty,
Inc.*
318,157
1,396
Estee
Lauder
Cos.,
Inc.
(The)
215,193
2,298
Herbalife,
Ltd.*
23,095
1,161
Inter
Parfums,
Inc.
163,132
29,375
Kenvue,
Inc.
630,388
654
Medifast,
Inc.
25,061
1,236
Nature's
Sunshine
Products,
Inc.*
25,672
1,616
Nu
Skin
Enterprises,
Inc.,
Class
A
22,349
340
United-Guardian,
Inc.
2,628
645
USANA
Health
Sciences,
Inc.*
31,283
2,166,797
Pharmaceuticals
(3.1%):
2,030
Aclaris
Therapeutics,
Inc.*
2,517
4,386
Amneal
Pharmaceuticals,
Inc.*
26,579
2,003
Amphastar
Pharmaceuticals,
Inc.*
87,952
900
ANI
Pharmaceuticals,
Inc.*
62,217
300
Arvinas,
Inc.*
12,384
379
Assertio
Holdings,
Inc.*
364
40,413
Bristol-Myers
Squibb
Co.
2,191,597
4,717
Catalent,
Inc.*
266,275
1,180
Collegium
Pharmaceutical,
Inc.*
45,808
4,216
Corcept
Therapeutics,
Inc.*
106,201
1,468
Cumberland
Pharmaceuticals,
Inc.*
2,466
17,823
Elanco
Animal
Health,
Inc.*
290,158
10,879
Eli
Lilly
&
Co.
8,463,427
2,317
Harmony
Biosciences
Holdings,
Inc.*
77,805
3,292
Innoviva,
Inc.*
50,170
1,328
Jazz
Pharmaceuticals
plc*
159,918
37,612
Johnson
&
Johnson
5,949,842
640
Ligand
Pharmaceuticals,
Inc.*
46,784
20,850
Merck
&
Co.,
Inc.
2,751,158
3,567
Nektar
Therapeutics*
3,332
9,608
Organon
&
Co.
180,630
1,467
Pacira
BioSciences,
Inc.*
42,866
5,568
Perrigo
Co.
plc
179,234
60,273
Pfizer,
Inc.
1,672,576
793
Phibro
Animal
Health
Corp.,
Class
A
10,253
2,307
Pliant
Therapeutics,
Inc.*
34,374
1,580
Prestige
Consumer
Healthcare,
Inc.*
114,645
4,279
Royalty
Pharma
plc,
Class
A
129,953
2,134
SIGA
Technologies,
Inc.
18,267
3,089
Supernus
Pharmaceuticals,
Inc.*
105,366
923
Taro
Pharmaceutical
Industries,
Ltd.*
39,080
14,776
Viatris,
Inc.
176,425
6,705
Zoetis,
Inc.
1,134,553
24,435,176
Professional
Services
(1.3%):
11,903
Alight,
Inc.,
Class
A*
117,245
1,184
ASGN,
Inc.*
124,036
6,826
Automatic
Data
Processing,
Inc.
1,704,725
494
Barrett
Business
Services,
Inc.
62,600
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
51
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Professional
Services,
continued
2,627
Booz
Allen
Hamilton
Holding
Corp.
$
389,952
2,630
Broadridge
Financial
Solutions,
Inc.
538,782
469
CACI
International,
Inc.,
Class
A*
177,671
2,664
CBIZ,
Inc.*
209,124
2,143
Clarivate
plc*
15,922
2,464
Concentrix
Corp.
163,166
6,347
Conduent,
Inc.*
21,453
456
CRA
International,
Inc.
68,208
1,011
CSG
Systems
International,
Inc.
52,107
3,153
Dayforce,
Inc.*
208,760
10,835
Dun
&
Bradstreet
Holdings,
Inc.
108,783
1,850
Equifax,
Inc.
494,912
1,590
ExlService
Holdings,
Inc.*
50,562
715
Exponent,
Inc.
59,123
5,623
First
Advantage
Corp.
91,205
825
Forrester
Research,
Inc.*
17,787
723
FTI
Consulting,
Inc.*
152,040
4,350
Genpact,
Ltd.
143,332
421
Heidrick
&
Struggles
International,
Inc.
14,171
660
Huron
Consulting
Group,
Inc.*
63,769
800
ICF
International,
Inc.
120,504
614
Insperity,
Inc.
67,301
2,389
Jacobs
Solutions,
Inc.
367,261
5,145
KBR,
Inc.
327,531
1,042
Kelly
Services,
Inc.,
Class
A
26,092
1,395
Kforce,
Inc.
98,375
1,797
Korn
Ferry
118,171
2,680
Leidos
Holdings,
Inc.
351,321
1,891
ManpowerGroup,
Inc.
146,817
1,840
Maximus,
Inc.
154,376
659
Mistras
Group,
Inc.*
6,300
841
NV5
Global,
Inc.*
82,426
3,183
Parsons
Corp.*
264,030
4,712
Paychex,
Inc.
578,634
917
Paycom
Software,
Inc.
182,492
713
Paylocity
Holding
Corp.*
122,536
2,125
Resources
Connection,
Inc.
27,965
4,784
Robert
Half,
Inc.
379,276
1,300
Science
Applications
International
Corp.
169,507
5,295
SS&C
Technologies
Holdings,
Inc.
340,839
4,296
TransUnion
342,821
1,196
TriNet
Group,
Inc.
158,458
1,029
TrueBlue,
Inc.*
12,883
2,127
TTEC
Holdings,
Inc.
22,057
2,946
Verisk
Analytics,
Inc.
694,461
7,657
Verra
Mobility
Corp.*
191,195
633
Willdan
Group,
Inc.*
18,351
10,421,415
Real
Estate
Management
&
Development
(0.3%):
3,814
Anywhere
Real
Estate,
Inc.*
23,570
5,596
CBRE
Group,
Inc.,
Class
A*
544,155
6,525
CoStar
Group,
Inc.*
630,315
13,717
Cushman
&
Wakefield
plc*
143,480
2,085
DigitalBridge
Group,
Inc.
40,178
1,626
Douglas
Elliman,
Inc.
2,569
1,163
eXp
World
Holdings,
Inc.
12,014
2,407
Forestar
Group,
Inc.*
96,737
232
FRP
Holdings,
Inc.*
14,245
1,569
Howard
Hughes
Holdings,
Inc.*
113,941
Shares
Value
Common
Stocks,
continued
Real
Estate
Management
&
Development,
continued
1,776
Jones
Lang
LaSalle,
Inc.*
$
346,480
7,959
Kennedy-Wilson
Holdings,
Inc.
68,288
2,533
Marcus
&
Millichap,
Inc.
86,553
10,029
Newmark
Group,
Inc.,
Class
A
111,222
6,528
Opendoor
Technologies,
Inc.*
19,780
997
Rafael
Holdings,
Inc.,
Class
B*
1,715
910
RE/MAX
Holdings,
Inc.
7,981
357
RMR
Group,
Inc.
(The),
Class
A
8,568
1,857
St.
Joe
Co.
(The)
107,650
1,447
Tejon
Ranch
Co.*
22,298
1,463
Zillow
Group,
Inc.,
Class
A*
70,019
3,370
Zillow
Group,
Inc.,
Class
C*
164,388
2,636,146
Semiconductors
&
Semiconductor
Equipment
(7.9%):
12,971
Advanced
Micro
Devices,
Inc.*
2,341,136
5,662
Allegro
MicroSystems,
Inc.*
152,648
1,120
Alpha
&
Omega
Semiconductor,
Ltd.*
24,685
1,283
Ambarella,
Inc.*
65,138
14,377
Amkor
Technology,
Inc.
463,514
6,126
Analog
Devices,
Inc.
1,211,662
11,074
Applied
Materials,
Inc.
2,283,791
1,575
Axcelis
Technologies,
Inc.*
175,644
1,701
AXT,
Inc.*
7,808
5,222
Broadcom,
Inc.
6,921,291
437
CEVA,
Inc.*
9,924
2,615
Cirrus
Logic,
Inc.*
242,044
2,261
Cohu,
Inc.*
75,359
1,719
Credo
Technology
Group
Holding,
Ltd.*
36,426
1,551
Diodes,
Inc.*
109,346
2,467
Enphase
Energy,
Inc.*
298,458
1,826
Entegris,
Inc.
256,626
1,384
First
Solar,
Inc.*
233,619
3,423
FormFactor,
Inc.*
156,191
448
GLOBALFOUNDRIES,
Inc.*
23,345
1,314
GSI
Technology,
Inc.*
4,468
948
Ichor
Holdings,
Ltd.*
36,612
53,778
Intel
Corp.
2,375,374
2,079
KLA
Corp.
1,452,327
2,536
Kulicke
&
Soffa
Industries,
Inc.
127,586
1,802
Lam
Research
Corp.
1,750,769
2,460
Lattice
Semiconductor
Corp.*
192,446
1,767
MACOM
Technology
Solutions
Holdings,
Inc.*
168,996
7,811
Marvell
Technology,
Inc.
553,644
2,503
MaxLinear,
Inc.*
46,731
8,667
Microchip
Technology,
Inc.
777,517
8,687
Micron
Technology,
Inc.
1,024,110
505
MKS
Instruments,
Inc.
67,165
501
Monolithic
Power
Systems,
Inc.
339,387
150
NVE
Corp.
13,527
31,137
NVIDIA
Corp.
28,134,148
4,591
NXP
Semiconductors
NV
1,137,512
8,995
ON
Semiconductor
Corp.*
661,582
1,797
Onto
Innovation,
Inc.*
325,401
1,438
PDF
Solutions,
Inc.*
48,417
2,358
Photronics,
Inc.*
66,779
1,882
Power
Integrations,
Inc.
134,657
3,475
Qorvo,
Inc.*
399,034
16,010
QUALCOMM,
Inc.
2,710,493
3,254
Rambus,
Inc.*
201,130
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
52
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Semiconductors
&
Semiconductor
Equipment,
continued
2,303
Semtech
Corp.*
$
63,309
656
Silicon
Laboratories,
Inc.*
94,280
318
SiTime
Corp.*
29,647
3,163
Skyworks
Solutions,
Inc.
342,616
1,050
SMART
Global
Holdings,
Inc.*
27,636
744
SolarEdge
Technologies,
Inc.*
52,809
834
Synaptics,
Inc.*
81,365
2,246
Teradyne,
Inc.
253,416
12,837
Texas
Instruments,
Inc.
2,236,334
1,851
Ultra
Clean
Holdings,
Inc.*
85,035
1,085
Universal
Display
Corp.
182,768
1,442
Veeco
Instruments,
Inc.*
50,715
2,493
Wolfspeed,
Inc.*
73,544
61,411,941
Software
(7.7%):
2,814
A10
Networks,
Inc.
38,524
4,271
ACI
Worldwide,
Inc.*
141,840
4,656
Adeia,
Inc.
50,844
4,154
Adobe,
Inc.*
2,096,108
436
Agilysys,
Inc.*
36,737
695
Alarm.com
Holdings,
Inc.*
50,367
583
Altair
Engineering,
Inc.,
Class
A*
50,225
1,009
American
Software,
Inc.,
Class
A
11,553
1,210
ANSYS,
Inc.*
420,064
1,357
AppLovin
Corp.,
Class
A*
93,932
591
Aspen
Technology,
Inc.*
126,048
596
Atlassian
Corp.,
Class
A*
116,286
8,147
Aurora
Innovation,
Inc.*
22,975
3,273
Autodesk,
Inc.*
852,355
2,272
Aware,
Inc.*
4,249
3,426
Bentley
Systems,
Inc.,
Class
B
178,906
2,047
BILL
Holdings,
Inc.*
140,670
2,195
Blackbaud,
Inc.*
162,737
4,589
Box,
Inc.,
Class
A*
129,960
2,635
Cadence
Design
Systems,
Inc.*
820,223
6,884
CCC
Intelligent
Solutions
Holdings,
Inc.*
82,333
2,772
Cerence,
Inc.*
43,659
6,544
Cleanspark,
Inc.*
138,798
1,830
Cognyte
Software,
Ltd.*
15,134
838
CommVault
Systems,
Inc.*
84,998
2,791
Confluent,
Inc.,
Class
A*
85,181
491
Consensus
Cloud
Solutions,
Inc.*
7,787
2,213
Corpay,
Inc.*
682,799
1,072
Crowdstrike
Holdings,
Inc.,
Class
A*
343,672
1,100
Datadog,
Inc.,
Class
A*
135,960
4,872
Digital
Turbine,
Inc.*
12,765
2,388
DocuSign,
Inc.*
142,205
2,077
Dolby
Laboratories,
Inc.,
Class
A
173,990
2,382
DoubleVerify
Holdings,
Inc.*
83,751
7,735
Dropbox,
Inc.,
Class
A*
187,961
2,740
Dynatrace,
Inc.*
127,246
2,146
E2open
Parent
Holdings,
Inc.*
9,528
277
Elastic
NV*
27,766
1,707
Envestnet,
Inc.*
98,852
429
Everbridge,
Inc.*
14,942
237
Fair
Isaac
Corp.*
296,158
291
Five9,
Inc.*
18,074
10,182
Fortinet,
Inc.*
695,532
5,936
Freshworks,
Inc.,
Class
A*
108,095
Shares
Value
Common
Stocks,
continued
Software,
continued
19,639
Gen
Digital,
Inc.
$
439,914
1,056
Gitlab,
Inc.,
Class
A*
61,586
1,795
Guidewire
Software,
Inc.*
209,494
339
HubSpot,
Inc.*
212,404
1,949
Informatica,
Inc.,
Class
A*
68,215
1,354
InterDigital,
Inc.
144,147
2,055
Intuit,
Inc.
1,335,750
3,554
Jamf
Holding
Corp.*
65,216
3,557
JFrog,
Ltd.*
157,291
3,815
LiveRamp
Holdings,
Inc.*
131,618
1,545
Manhattan
Associates,
Inc.*
386,605
9,761
Matterport,
Inc.*
22,060
88,387
Microsoft
Corp.
37,186,179
4,817
N-able,
Inc.*
62,958
701
nCino,
Inc.*
26,203
9,235
NCR
Voyix
Corp.*
116,638
1,918
Nutanix,
Inc.,
Class
A*
118,379
3,994
Olo,
Inc.,
Class
A*
21,927
879
OneSpan,
Inc.*
10,223
23,305
Oracle
Corp.
2,927,341
14,448
Palantir
Technologies,
Inc.,
Class
A*
332,449
2,399
Palo
Alto
Networks,
Inc.*
681,628
5,963
PowerSchool
Holdings,
Inc.*
126,952
1,540
Procore
Technologies,
Inc.*
126,542
1,843
Progress
Software
Corp.
98,250
1,556
PTC,
Inc.*
293,991
389
Q2
Holdings,
Inc.*
20,446
482
Qualys,
Inc.*
80,431
468
Roper
Technologies,
Inc.
262,473
8,527
Salesforce,
Inc.
2,568,162
1,627
Samsara,
Inc.,
Class
A*
61,484
1,200
Sapiens
International
Corp.
NV
38,592
1,065
SentinelOne,
Inc.,
Class
A*
24,825
791
ServiceNow,
Inc.*
603,058
502
Smartsheet,
Inc.,
Class
A*
19,327
5,655
SolarWinds
Corp.*
71,366
347
SPS
Commerce,
Inc.*
64,160
254
Synchronoss
Technologies,
Inc.*
2,121
1,087
Synopsys,
Inc.*
621,221
2,249
Teradata
Corp.*
86,969
534
Tyler
Technologies,
Inc.*
226,955
1,729
UiPath,
Inc.,
Class
A*
39,196
537
Unity
Software,
Inc.*
14,338
1,022
Verint
Systems,
Inc.*
33,879
1,088
Vertex,
Inc.,
Class
A*
34,555
1,209
Workday,
Inc.,
Class
A*
329,755
1,862
Xperi,
Inc.*
22,456
2,885
Zoom
Video
Communications,
Inc.,
Class
A*
188,592
780
Zscaler,
Inc.*
150,251
60,090,361
Specialty
Retail
(2.6%):
893
1-800-Flowers.com,
Inc.,
Class
A*
9,671
1,093
Aaron's
Co.,
Inc.
(The)
8,198
2,382
Abercrombie
&
Fitch
Co.*
298,536
3,539
Academy
Sports
&
Outdoors,
Inc.
239,024
2,780
Advance
Auto
Parts,
Inc.
236,550
8,443
American
Eagle
Outfitters,
Inc.
217,745
200
America's
Car-Mart,
Inc.*
12,774
793
Asbury
Automotive
Group,
Inc.*
186,974
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
53
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Specialty
Retail,
continued
2,911
AutoNation,
Inc.*
$
482,003
34
AutoZone,
Inc.*
107,156
3,164
Barnes
&
Noble
Education,
Inc.*
2,291
6,125
Bath
&
Body
Works,
Inc.
306,373
7,676
Best
Buy
Co.,
Inc.
629,662
1,432
Beyond,
Inc.*
51,423
1,657
Big
5
Sporting
Goods
Corp.
5,833
969
Boot
Barn
Holdings,
Inc.*
92,200
2,908
Buckle,
Inc.
(The)
117,105
583
Build-A-Bear
Workshop,
Inc.
17,414
1,747
Burlington
Stores,
Inc.*
405,636
2,280
Caleres,
Inc.
93,548
3,853
CarMax,
Inc.*
335,635
1,339
Carvana
Co.*
117,711
1,987
Cato
Corp.
(The),
Class
A
11,465
1,979
Chewy,
Inc.,
Class
A*
31,486
501
Children's
Place,
Inc.
(The)*
5,782
566
Citi
Trends,
Inc.*
15,356
1,572
Conn's,
Inc.*
5,266
3,425
Designer
Brands,
Inc.,
Class
A
37,435
3,630
Destination
XL
Group,
Inc.*
13,068
2,689
Dick's
Sporting
Goods,
Inc.
604,649
1,082
Five
Below,
Inc.*
196,253
3,104
Floor
&
Decor
Holdings,
Inc.,
Class
A*
402,340
3,907
Foot
Locker,
Inc.
111,349
1,792
GameStop
Corp.,
Class
A*
22,436
15,273
Gap,
Inc.
(The)
420,771
435
Genesco,
Inc.*
12,241
630
Group
1
Automotive,
Inc.
184,105
2,846
Guess?,
Inc.
89,564
583
Haverty
Furniture
Cos.,
Inc.
19,892
499
Hibbett,
Inc.
38,328
12,590
Home
Depot,
Inc.
(The)
4,829,524
1,642
Lands'
End,
Inc.*
17,881
7,985
Leslie's,
Inc.*
51,903
1,208
Lithia
Motors,
Inc.
363,439
6,784
Lowe's
Cos.,
Inc.
1,728,088
527
MarineMax,
Inc.*
17,528
1,792
Monro,
Inc.
56,520
451
Murphy
USA,
Inc.
189,059
4,509
National
Vision
Holdings,
Inc.*
99,919
2,192
ODP
Corp.
(The)*
116,286
683
O'Reilly
Automotive,
Inc.*
771,025
2,019
Penske
Automotive
Group,
Inc.
327,058
11,500
Petco
Health
&
Wellness
Co.,
Inc.*
26,220
588
PetMed
Express,
Inc.
2,817
1,458
Revolve
Group,
Inc.*
30,866
58
RH*
20,199
4,801
Ross
Stores,
Inc.
704,595
6,562
Sally
Beauty
Holdings,
Inc.*
81,500
1,200
Shoe
Carnival,
Inc.
43,968
2,488
Signet
Jewelers,
Ltd.
248,974
472
Sleep
Number
Corp.*
7,566
844
Sonic
Automotive,
Inc.,
Class
A
48,057
1,606
Sportsman's
Warehouse
Holdings,
Inc.*
4,995
4,730
Stitch
Fix,
Inc.,
Class
A*
12,487
854
Tilly's,
Inc.,
Class
A*
5,807
18,326
TJX
Cos.,
Inc.
(The)
1,858,623
2,853
Tractor
Supply
Co.
746,687
Shares
Value
Common
Stocks,
continued
Specialty
Retail,
continued
1,173
Ulta
Beauty,
Inc.*
$
613,338
3,729
Upbound
Group,
Inc.
131,298
5,247
Urban
Outfitters,
Inc.*
227,825
2,580
Valvoline,
Inc.*
114,991
4,115
Victoria's
Secret
&
Co.*
79,749
2,246
Williams-Sonoma,
Inc.
713,172
75
Winmark
Corp.
27,128
729
Zumiez,
Inc.*
11,074
20,525,414
Technology
Hardware,
Storage
&
Peripherals
(4.8%):
193,448
Apple,
Inc.
33,172,463
728
AstroNova,
Inc.*
12,973
2,960
Corsair
Gaming,
Inc.*
36,526
3,550
Dell
Technologies,
Inc.,
Class
C
405,090
29,165
Hewlett
Packard
Enterprise
Co.
517,095
15,139
HP,
Inc.
457,501
4,166
NetApp,
Inc.
437,305
3,329
Pure
Storage,
Inc.,
Class
A*
173,075
3,324
Seagate
Technology
Holdings
plc
309,298
3,380
Stratasys,
Ltd.*
39,276
1,038
Super
Micro
Computer,
Inc.*
1,048,411
6,642
Western
Digital
Corp.*
453,250
8,831
Xerox
Holdings
Corp.
158,075
37,220,338
Textiles,
Apparel
&
Luxury
Goods
(0.9%):
7,561
Capri
Holdings,
Ltd.*
342,513
1,949
Carter's,
Inc.
165,041
2,187
Columbia
Sportswear
Co.
177,541
3,185
Crocs,
Inc.*
458,003
810
Culp,
Inc.*
3,888
484
Deckers
Outdoor
Corp.*
455,570
8,476
Figs,
Inc.,
Class
A*
42,210
1,494
Fossil
Group,
Inc.*
1,524
2,480
G-III
Apparel
Group,
Ltd.*
71,945
16,912
Hanesbrands,
Inc.*
98,090
2,195
Kontoor
Brands,
Inc.
132,249
2,925
Levi
Strauss
&
Co.,
Class
A
58,471
1,991
Lululemon
Athletica,
Inc.*
777,784
1,088
Movado
Group,
Inc.
30,388
14,735
NIKE,
Inc.,
Class
B
1,384,795
720
Oxford
Industries,
Inc.
80,928
2,495
PVH
Corp.
350,822
2,424
Ralph
Lauren
Corp.
455,130
570
Rocky
Brands,
Inc.
15,464
4,932
Skechers
USA,
Inc.,
Class
A*
302,134
3,554
Steven
Madden,
Ltd.
150,263
700
Superior
Group
of
Cos.,
Inc.
11,564
14,393
Tapestry,
Inc.
683,380
10,508
Under
Armour,
Inc.,
Class
A*
77,549
12,274
Under
Armour,
Inc.,
Class
C*
87,636
1,027
Unifi,
Inc.*
6,152
802
Vera
Bradley,
Inc.*
5,454
16,991
VF
Corp.
260,642
4,439
Wolverine
World
Wide,
Inc.
49,761
6,736,891
Tobacco
(0.3%):
20,940
Altria
Group,
Inc.
913,403
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
54
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Tobacco,
continued
18,241
Philip
Morris
International,
Inc.
$
1,671,240
1,286
Universal
Corp.
66,512
7,266
Vector
Group,
Ltd.
79,635
2,730,790
Trading
Companies
&
Distributors
(0.9%):
5,434
Air
Lease
Corp.
279,525
1,661
Applied
Industrial
Technologies,
Inc.
328,130
3,284
Beacon
Roofing
Supply,
Inc.*
321,898
424
BlueLinx
Holdings,
Inc.*
55,222
1,071
Boise
Cascade
Co.
164,259
4,200
Core
&
Main,
Inc.,
Class
A*
240,450
6,303
DNOW,
Inc.*
95,806
644
DXP
Enterprises,
Inc.*
34,602
11,327
Fastenal
Co.
873,765
475
Ferguson
plc
103,754
1,483
GATX
Corp.
198,766
977
Global
Industrial
Co.
43,750
1,243
GMS,
Inc.*
120,994
1,547
H&E
Equipment
Services,
Inc.
99,286
1,362
Herc
Holdings,
Inc.
229,225
2,780
Hudson
Technologies,
Inc.*
30,608
730
McGrath
RentCorp
90,060
2,381
MRC
Global,
Inc.*
29,929
1,669
MSC
Industrial
Direct
Co.,
Inc.
161,960
3,756
Rush
Enterprises,
Inc.,
Class
A
201,021
547
Rush
Enterprises,
Inc.,
Class
B
29,150
1,560
SiteOne
Landscape
Supply,
Inc.*
272,298
1,803
Titan
Machinery,
Inc.*
44,732
173
Transcat,
Inc.*
19,277
1,974
United
Rentals,
Inc.
1,423,471
878
W.W.
Grainger,
Inc.
893,189
542
Watsco,
Inc.
234,128
84
Watsco,
Inc.,
Class
B
35,944
1,596
WESCO
International,
Inc.
273,363
6,928,562
Water
Utilities
(0.1%):
830
American
States
Water
Co.
59,959
2,242
American
Water
Works
Co.,
Inc.
273,995
491
Artesian
Resources
Corp.,
Class
A
18,221
1,755
California
Water
Service
Group
81,572
5,702
Essential
Utilities,
Inc.
211,259
355
Middlesex
Water
Co.
18,638
669
Pure
Cycle
Corp.*
6,356
626
SJW
Group
35,425
372
York
Water
Co.
(The)
13,492
718,917
Wireless
Telecommunication
Services
(0.2%):
5,179
Gogo,
Inc.*
45,472
1,649
Spok
Holdings,
Inc.
26,301
5,350
Telephone
and
Data
Systems,
Inc.
85,707
8,413
T-Mobile
US,
Inc.
1,373,170
1,151
United
States
Cellular
Corp.*
42,011
1,572,661
Total
Common
Stocks
(Cost
$526,234,640)
774,313,719
Shares
Value
Preferred
Stock
(0.0%
):
Trading
Companies
&
Distributors
(0.0%
):
1,076
WESCO
International,
Inc.,
Series
A,
10.63%
$
28,310
Total
Preferred
Stock
(Cost
$28,514)
28,310
Rights
(0.0%
):
Diversified
Telecommunication
Services
(0.0%
):
79
Communications
Systems
I
CVR,
Expires
on
1/1/29*
104
3,312
Mirati
Therapeutics
CVR,
Expires
on
1/1/26*
2,319
2,423
Health
Care
Equipment
&
Supplies
(0.0%
):
278
ABIOMED,
Inc.
CVR,
Expires
on
1/2/26*
4,339
Health
Care
Providers
&
Services
(0.0%
):
900
Chinook
Therapeutics
CVR,
Expires
on
1/1/26*
1,125
Household
Products
(0.0%
):
2,126
Spectrum
-
Crv
CVR,
Expires
on
1/1/26*
Paper
&
Forest
Products
(0.0%
):
2,344
Resolute
Fst
CVR,
Expires
on
1/1/26*
3,328
Pharmaceuticals
(0.0%
):
3,743
Achillion
Pharm
CVR,
Expires
on
1/29/49*
1,011
Total
Rights
(Cost
$–)
12,226
Unaffiliated
Investment
Companies
(0.0%
):
Money
Markets
(0.0%
):
223,058
BlackRock
Liquidity
FedFund,
Institutional
Class,
5.07%(b)(c)
223,058
69,299
Dreyfus
Treasury
Securities
Cash
Management
Fund,
Institutional
Shares,
5.19%(c)
69,299
Total
Unaffiliated
Investment
Companies
(Cost
$292,357)
292,357
Total
Investment
Securities
(Cost
$526,555,511)
99.8%
774,646,612
Net
other
assets
(liabilities)
0.2%
1,435,674
Net
Assets
100.0%
$
776,082,286
AZL
DFA
U.S.
Core
Equity
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
55
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Percentages
indicated
are
based
on
net
assets
as
of
March
31,
2024
.
ADR—American
Depository
Receipt
CVR—Contingency
Valued
Rights
*
Non-income
producing
security.
Represents
less
than
0.05%.
^
This
security
or
a
partial
position
of
this
security
was
on
loan
as
of
March
31,
2024.
The
total
value
of
securities
on
loan
as
of
March
31,
2024
was
$219,081.
(a)
Security
was
valued
using
significant
unobservable
inputs
as
of
March
31,
2024.
(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
March
31,
2024.
(c)
The
rate
represents
the
effective
yield
at
March
31,
2024.
Amounts
shown
as
“—“
are
either
$0
or
round
to
less
than
$1.
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
56
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks
(99.9%):
Aerospace
&
Defense
(1.3%):
3,610
AAR
Corp.*
$
216,131‌
2,472
AeroVironment
,
Inc.*
378,908‌
1,778
AerSale
Corp.*
12,766‌
2,475
Astronics
Corp.*
47,124‌
392
Astronics
Corp.,
Class
B*
7,083‌
4,074
BWX
Technologies,
Inc.
418,074‌
1,341
Cadre
Holdings,
Inc.
48,544‌
849
Curtiss-Wright
Corp.
217,293‌
1,538
Ducommun,
Inc.*
78,899‌
4,744
Hexcel
Corp.
345,600‌
1,976
Innovative
Solutions
and
Support,
Inc.*
14,464‌
2,977
Kaman
Corp.
136,555‌
12,407
Kratos
Defense
&
Security
Solutions,
Inc.*
228,041‌
2,680
Mercury
Systems,
Inc.*
79,060‌
2,370
Moog,
Inc.,
Class
A
378,371‌
927
National
Presto
Industries,
Inc.
77,683‌
3,369
Park
Aerospace
Corp.
56,027‌
4,524
Triumph
Group,
Inc.*
68,041‌
759
V2X,
Inc.*
35,453‌
682
Woodward,
Inc.
105,110‌
2,949,227‌
Air
Freight
&
Logistics
(0.3%):
738
Air
T,
Inc.*
16,383‌
5,771
Air
Transport
Services
Group,
Inc.*
79,409‌
483
CH
Robinson
Worldwide,
Inc.
36,776‌
2,327
Forward
Air
Corp.
72,393‌
1,559
GXO
Logistics,
Inc.*
83,812‌
5,750
Hub
Group,
Inc.,
Class
A
248,515‌
6,342
Radiant
Logistics,
Inc.*
34,374‌
571,662‌
Automobile
Components
(1.5%):
7,943
Adient
plc*
261,484‌
12,836
American
Axle
&
Manufacturing
Holdings,
Inc.*
94,473‌
151
Autoliv
,
Inc.
18,185‌
3,753
BorgWarner,
Inc.
130,379‌
2,031
Cooper-Standard
Holdings,
Inc.*
33,633‌
12,420
Dana,
Inc.
157,734‌
2,903
Dorman
Products,
Inc.*
279,820‌
3,535
Fox
Factory
Holding
Corp.*
184,067‌
9,977
Garrett
Motion,
Inc.*
99,171‌
2,068
Gentex
Corp.
74,696‌
3,051
Gentherm
,
Inc.*
175,677‌
25,578
Goodyear
Tire
&
Rubber
Co.
(The)*
351,186‌
2,187
LCI
Industries
269,132‌
162
Lear
Corp.
23,471‌
5,082
Modine
Manufacturing
Co.*
483,756‌
1,578
Motorcar
Parts
of
America,
Inc.*
12,687‌
1,849
Patrick
Industries,
Inc.
220,900‌
2,198
Standard
Motor
Products,
Inc.
73,743‌
3,353
Stoneridge,
Inc.*
61,829‌
2,236
Visteon
Corp.*
262,976‌
1,503
XPEL,
Inc.*
81,192‌
3,350,191‌
Automobiles
(0.4%):
7,274
Harley-Davidson,
Inc.
318,165‌
2,799
Thor
Industries,
Inc.
328,434‌
Shares
Value
Common
Stocks,
continued
Automobiles,
continued
2,661
Winnebago
Industries,
Inc.
$
196,914‌
843,513‌
Banks
(10.0%):
2,374
1st
Source
Corp.
124,445‌
410
ACNB
Corp.
15,416‌
1,200
Amalgamated
Financial
Corp.
28,800‌
2,183
Amerant
Bancorp,
Inc.
50,842‌
939
American
National
Bankshares
,
Inc.
44,847‌
6,673
Ameris
Bancorp
322,840‌
1,100
Ames
National
Corp.
22,198‌
1,879
Arrow
Financial
Corp.
47,013‌
13,645
Associated
Banc-Corp.
293,504‌
7,304
Atlantic
Union
Bankshares
Corp.
257,904‌
13
Auburn
National
Bancorp,
Inc.
250‌
5,496
Axos
Financial,
Inc.*
297,004‌
9,817
Banc
of
California,
Inc.
149,317‌
2,869
BancFirst
Corp.
252,558‌
3,925
Bancorp,
Inc.
(The)*
131,330‌
3,880
Bank
of
Hawaii
Corp.
242,073‌
2,100
Bank
of
Marin
Bancorp
35,217‌
2,482
Bank
of
NT
Butterfield
&
Son,
Ltd.
(The)
79,399‌
9,516
Bank
OZK
432,597‌
2,838
BankFinancial
Corp.
29,799‌
7,570
BankUnited
,
Inc.
211,960‌
2,106
Banner
Corp.
101,088‌
872
Bar
Harbor
Bankshares
23,091‌
1,944
BayCom
Corp.
40,066‌
595
BCB
Bancorp,
Inc.
6,218‌
4,093
Berkshire
Hills
Bancorp,
Inc.
93,812‌
2,284
Blue
Foundry
Bancorp*
21,378‌
4,211
BOK
Financial
Corp.
387,412‌
2,024
Bridgewater
Bancshares,
Inc.*
23,559‌
5,008
Brookline
Bancorp,
Inc.
49,880‌
667
Business
First
Bancshares,
Inc.
14,861‌
2,546
Byline
Bancorp,
Inc.
55,299‌
227
C&F
Financial
Corp.
11,123‌
15,888
Cadence
Bank
460,752‌
436
Cambridge
Bancorp
29,718‌
1,727
Camden
National
Corp.
57,889‌
2,243
Capital
City
Bank
Group,
Inc.
62,131‌
7,770
Capitol
Federal
Financial,
Inc.
46,309‌
700
Capstar
Financial
Holdings,
Inc.
14,070‌
7,027
Cathay
General
Bancorp
265,831‌
1,822
Central
Pacific
Financial
Corp.
35,984‌
668
Chemung
Financial
Corp.
28,377‌
2,124
Citizens
&
Northern
Corp.
39,889‌
280
Citizens
Community
Bancorp,
Inc.
3,402‌
718
Citizens
Holding
Co.
5,643‌
1,272
City
Holding
Co.
132,568‌
822
Civista
Bancshares,
Inc.
12,642‌
2,204
CNB
Financial
Corp.
44,940‌
573
Coastal
Financial
Corp.*
22,273‌
85
Codorus
Valley
Bancorp,
Inc.
1,935‌
56
Colony
Bankcorp
,
Inc.
644‌
8,798
Columbia
Financial,
Inc.*
151,414‌
1,558
Comerica,
Inc.
85,674‌
1,032
Commerce
Bancshares,
Inc.
54,902‌
2,562
Community
Bank
System,
Inc.
123,053‌
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
57
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Banks,
continued
2,074
Community
Trust
Bancorp,
Inc.
$
88,456‌
966
Community
West
Bancshares
19,214‌
525
Community
West
Bancshares
8,127‌
3,778
ConnectOne
Bancorp,
Inc.
73,671‌
4,772
CrossFirst
Bankshares
,
Inc.*
66,044‌
775
Cullen/Frost
Bankers,
Inc.
87,242‌
2,984
Customers
Bancorp,
Inc.*
158,331‌
6,743
CVB
Financial
Corp.
120,295‌
2,220
Dime
Community
Bancshares,
Inc.
42,757‌
609
Eagle
Bancorp
Montana,
Inc.
7,820‌
3,312
Eagle
Bancorp,
Inc.
77,799‌
2,687
Eastern
Bankshares
,
Inc.
37,027‌
759
Enterprise
Bancorp,
Inc.
19,711‌
2,149
Enterprise
Financial
Services
Corp.
87,163‌
1,888
Equity
Bancshares,
Inc.,
Class
A
64,891‌
347
Esquire
Financial
Holdings,
Inc.
16,472‌
1,537
ESSA
Bancorp,
Inc.
28,020‌
2,582
Farmers
National
Banc
Corp.
34,496‌
2,391
FB
Financial
Corp.
90,045‌
2,566
Financial
Institutions,
Inc.
48,292‌
3,627
First
Bancorp
131,007‌
16,388
First
BanCorp
287,446‌
1,555
First
Bancorp,
Inc.
(The)
38,315‌
3,288
First
Bancshares,
Inc.
(The)
85,324‌
726
First
Bank
9,975‌
5,592
First
Busey
Corp.
134,488‌
1,054
First
Business
Financial
Services,
Inc.
39,525‌
242
First
Capital,
Inc.
7,018‌
4,622
First
Commonwealth
Financial
Corp.
64,338‌
2,238
First
Community
Bankshares
,
Inc.
77,502‌
9,070
First
Financial
Bancorp
203,349‌
5,933
First
Financial
Bankshares
,
Inc.
194,662‌
1,162
First
Financial
Corp.
44,539‌
1,717
First
Financial
Northwest,
Inc.
35,302‌
2,543
First
Foundation,
Inc.
19,200‌
6,483
First
Hawaiian,
Inc.
142,367‌
5,823
First
Horizon
Corp.
89,674‌
402
First
Internet
Bancorp
13,965‌
9,316
First
Interstate
BancSystem
,
Inc.,
Class
A
253,488‌
3,081
First
Merchants
Corp.
107,527‌
1,114
First
Mid
Bancshares,
Inc.
36,406‌
2,923
First
of
Long
Island
Corp.
(The)
32,416‌
84
First
Savings
Financial
Group,
Inc.
1,407‌
234
First
United
Corp.
5,361‌
908
First
US
Bancshares,
Inc.
8,408‌
1,446
Five
Star
Bancorp
32,535‌
3,754
Flushing
Financial
Corp.
47,338‌
29,250
FNB
Corp.
412,425‌
1,162
FS
Bancorp,
Inc.
40,333‌
16,231
Fulton
Financial
Corp.
257,911‌
2,039
German
American
Bancorp,
Inc.
70,631‌
9,503
Glacier
Bancorp,
Inc.
382,781‌
1,038
Great
Southern
Bancorp,
Inc.
56,903‌
440
Guaranty
Bancshares,
Inc.
13,358‌
7,678
Hancock
Whitney
Corp.
353,495‌
3,857
Hanmi
Financial
Corp.
61,403‌
5,211
HarborOne
Bancorp,
Inc.
55,549‌
45
Hawthorn
Bancshares,
Inc.
919‌
1,822
HBT
Financial,
Inc.
34,691‌
Shares
Value
Common
Stocks,
continued
Banks,
continued
4,161
Heartland
Financial
USA,
Inc.
$
146,259‌
4,406
Heritage
Commerce
Corp.
37,803‌
3,578
Heritage
Financial
Corp.
69,377‌
4,106
Hilltop
Holdings,
Inc.
128,600‌
150
Hingham
Institution
For
Savings
(The)
26,169‌
629
HMN
Financial,
Inc.
13,272‌
973
Home
Bancorp,
Inc.
37,276‌
16,016
Home
BancShares
,
Inc.
393,513‌
86
Home
Federal
Bancorp,
Inc.
of
Louisiana
1,061‌
2,273
HomeStreet
,
Inc.
34,209‌
2,317
HomeTrust
Bancshares,
Inc.
63,347‌
12,058
Hope
Bancorp,
Inc.
138,788‌
5,857
Horizon
Bancorp,
Inc.
75,145‌
869
IF
Bancorp,
Inc.
14,347‌
1,306
Independent
Bank
Corp.
33,107‌
2,325
Independent
Bank
Corp.
120,946‌
4,005
Independent
Bank
Group,
Inc.
182,828‌
5,641
International
Bancshares
Corp.
316,686‌
8,307
Kearny
Financial
Corp.
53,497‌
390
Kentucky
First
Federal
Bancorp
1,490‌
4,232
Lakeland
Bancorp,
Inc.
51,207‌
1,608
Lakeland
Financial
Corp.
106,643‌
1,046
Landmark
Bancorp,
Inc.
20,167‌
1,512
LCNB
Corp.
24,101‌
4,363
Live
Oak
Bancshares,
Inc.
181,108‌
3,707
Macatawa
Bank
Corp.
36,292‌
2,078
Mercantile
Bank
Corp.
79,982‌
400
Metropolitan
Bank
Holding
Corp.*
15,400‌
782
Mid
Penn
Bancorp,
Inc.
15,648‌
2,497
Midland
States
Bancorp,
Inc.
62,750‌
2,171
MidWestOne
Financial
Group,
Inc.
50,888‌
300
MVB
Financial
Corp.
6,693‌
3,634
National
Bank
Holdings
Corp.,
Class
A
131,078‌
769
National
Bankshares
,
Inc.
25,692‌
4,312
NBT
Bancorp,
Inc.
158,164‌
17,423
New
York
Community
Bancorp,
Inc.
56,102‌
679
Nicolet
Bankshares
,
Inc.
58,387‌
822
Northeast
Bank
45,489‌
5,256
Northfield
Bancorp,
Inc.
51,088‌
657
Northrim
Bancorp,
Inc.
33,185‌
11,422
Northwest
Bancshares,
Inc.
133,066‌
609
Norwood
Financial
Corp.
16,571‌
3,132
OceanFirst
Financial
Corp.
51,396‌
4,849
OFG
Bancorp
178,492‌
183
Ohio
Valley
Banc
Corp.
4,474‌
5,768
Old
National
Bancorp
100,421‌
1,004
Old
Point
Financial
Corp.
17,108‌
3,314
Old
Second
Bancorp,
Inc.
45,866‌
2,466
Origin
Bancorp,
Inc.
77,038‌
1,234
Orrstown
Financial
Services,
Inc.
33,034‌
9,250
Pacific
Premier
Bancorp,
Inc.
222,000‌
1,210
Park
National
Corp.
164,379‌
1,636
Parke
Bancorp,
Inc.
28,180‌
1,842
Pathward
Financial,
Inc.
92,984‌
1,140
Peapack
-Gladstone
Financial
Corp.
27,736‌
478
Penns
Woods
Bancorp,
Inc.
9,278‌
434
Peoples
Bancorp
of
North
Carolina,
Inc.
12,087‌
3,466
Peoples
Bancorp,
Inc.
102,628‌
488
Peoples
Financial
Services
Corp.
21,038‌
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
58
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Banks,
continued
4,704
Pinnacle
Financial
Partners,
Inc.
$
403,980‌
4,363
Popular,
Inc.
384,337‌
1,407
Preferred
Bank
108,015‌
4,368
Premier
Financial
Corp.
88,670‌
2,309
Primis
Financial
Corp.
28,101‌
1,001
Prosperity
Bancshares,
Inc.
65,846‌
1,677
Provident
Financial
Holdings,
Inc.
22,438‌
3,721
Provident
Financial
Services,
Inc.
54,215‌
1,518
QCR
Holdings,
Inc.
92,203‌
351
RBB
Bancorp
6,322‌
5,096
Renasant
Corp.
159,607‌
1,809
Republic
Bancorp,
Inc.,
Class
A
92,259‌
1,982
Riverview
Bancorp,
Inc.
9,355‌
3,285
S&T
Bancorp,
Inc.
105,383‌
4,043
Sandy
Spring
Bancorp,
Inc.
93,717‌
579
SB
Financial
Group,
Inc.
7,979‌
4,000
Seacoast
Banking
Corp.
101,560‌
4,920
ServisFirst
Bancshares,
Inc.
326,491‌
2,960
Shore
Bancshares,
Inc.
34,040‌
1,997
Sierra
Bancorp
40,339‌
11,160
Simmons
First
National
Corp.,
Class
A
217,174‌
389
South
Plains
Financial,
Inc.
10,410‌
1,252
Southern
First
Bancshares,
Inc.*
39,764‌
707
Southern
Missouri
Bancorp,
Inc.
30,903‌
3,030
Southside
Bancshares,
Inc.
88,567‌
3,541
SouthState
Corp.
301,091‌
3,145
Stellar
Bancorp,
Inc.
76,612‌
1,053
Sterling
Bancorp,
Inc.*
5,433‌
2,571
Stock
Yards
Bancorp,
Inc.
125,748‌
682
Summit
Financial
Group,
Inc.
18,523‌
1,323
Summit
State
Bank
14,355‌
3,773
Synovus
Financial
Corp.
151,146‌
1,409
Territorial
Bancorp,
Inc.
11,357‌
2,562
Texas
Capital
Bancshares,
Inc.*
157,691‌
9,668
TFS
Financial
Corp.
121,430‌
491
Timberland
Bancorp,
Inc.
13,218‌
694
Tompkins
Financial
Corp.
34,901‌
7,007
Towne
Bank
196,616‌
1,824
TriCo
Bancshares
67,087‌
2,060
Triumph
Financial,
Inc.*
163,399‌
2,210
TrustCo
Bank
Corp.
62,234‌
5,665
Trustmark
Corp.
159,243‌
2,644
UMB
Financial
Corp.
230,002‌
249
Union
Bankshares
,
Inc.
7,595‌
450
United
Bancshares,
Inc.
8,505‌
10,945
United
Bankshares
,
Inc.
391,722‌
10,718
United
Community
Banks,
Inc.
282,098‌
916
United
Security
Bancshares
7,062‌
42
Unity
Bancorp,
Inc.
1,159‌
2,426
Univest
Financial
Corp.
50,509‌
18,424
Valley
National
Bancorp
146,655‌
1,563
Veritex
Holdings,
Inc.
32,026‌
7,342
WaFd
,
Inc.
213,138‌
1,921
Washington
Trust
Bancorp,
Inc.
51,636‌
3,013
Webster
Financial
Corp.
152,970‌
5,051
WesBanco
,
Inc.
150,570‌
1,569
West
BanCorp
,
Inc.
27,975‌
1,354
Westamerica
BanCorp
66,184‌
1,437
Western
Alliance
Bancorp
92,241‌
Shares
Value
Common
Stocks,
continued
Banks,
continued
3,525
Western
New
England
BanCorp
,
Inc.
$
27,037‌
4,726
Wintrust
Financial
Corp.
493,347‌
5,646
WSFS
Financial
Corp.
254,860‌
35
WVS
Financial
Corp.
441‌
1,818
Zions
Bancorp
NA
78,901‌
22,130,246‌
Beverages
(0.5%):
881
Boston
Beer
Co.,
Inc.
(The),
Class
A*
268,194‌
551
Coca-Cola
Consolidated,
Inc.
466,372‌
2,000
MGP
Ingredients,
Inc.
172,260‌
2,943
National
Beverage
Corp.*
139,675‌
1,583
Vita
Coco
Co.,
Inc.
(The)*
38,672‌
985
Willamette
Valley
Vineyards,
Inc.*
4,935‌
1,090,108‌
Biotechnology
(2.5%):
2,535
4D
Molecular
Therapeutics,
Inc.*
80,765‌
1,733
AC
Immune
SA*
5,130‌
900
Adicet
Bio,
Inc.*
2,115‌
8,156
ADMA
Biologics,
Inc.*
53,830‌
330
Adverum
Biotechnologies,
Inc.*
4,666‌
5,190
Agios
Pharmaceuticals,
Inc.*
151,756‌
4,660
Aldeyra
Therapeutics,
Inc.*
15,238‌
13,711
Alkermes
plc*
371,157‌
2,613
Allogene
Therapeutics,
Inc.*
11,680‌
3,616
AnaptysBio
,
Inc.*
81,432‌
1,461
Anika
Therapeutics,
Inc.*
37,109‌
2,476
Arcturus
Therapeutics
Holdings,
Inc.*
83,615‌
629
Arcus
Biosciences,
Inc.*
11,876‌
6,613
Ardelyx
,
Inc.*
48,275‌
7,293
Avid
Bioservices
,
Inc.*
48,863‌
5,639
Avidity
Biosciences,
Inc.*
143,907‌
1,064
Avita
Medical,
Inc.*
17,056‌
1,365
Beam
Therapeutics,
Inc.*
45,100‌
2,162
Black
Diamond
Therapeutics,
Inc.*
10,961‌
3,255
Bluebird
Bio,
Inc.*
4,166‌
930
C4
Therapeutics,
Inc.*
7,598‌
1,034
CareDx
,
Inc.*
10,950‌
1,851
Caribou
Biosciences,
Inc.*
9,514‌
142
CASI
Pharmaceuticals
Holdings,
Inc.*
513‌
9,586
Catalyst
Pharmaceuticals,
Inc.*
152,801‌
1,100
Century
Therapeutics,
Inc.*
4,598‌
3,141
Cogent
Biosciences,
Inc.*
21,108‌
2,225
Crinetics
Pharmaceuticals,
Inc.*
104,152‌
3,121
CRISPR
Therapeutics
AG*
212,727‌
1,634
Cue
Biopharma,
Inc.*
3,088‌
2,020
Cullinan
Oncology,
Inc.*
34,421‌
4,970
Deciphera
Pharmaceuticals,
Inc.*
78,178‌
1,858
Denali
Therapeutics,
Inc.*
38,126‌
902
Dianthus
Therapeutics,
Inc.*
27,060‌
5,385
Dynavax
Technologies
Corp.*
66,828‌
7,241
Editas
Medicine,
Inc.*
53,728‌
3,775
Emergent
BioSolutions
,
Inc.*
9,551‌
2,404
Enanta
Pharmaceuticals,
Inc.*
41,974‌
12,115
Exelixis
,
Inc.*
287,489‌
2,705
G1
Therapeutics,
Inc.*
11,686‌
2,547
Gritstone
bio,
Inc.*
6,546‌
5,188
Halozyme
Therapeutics,
Inc.*
211,048‌
6,467
Ideaya
Biosciences,
Inc.*
283,772‌
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
59
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Biotechnology,
continued
1,919
IGM
Biosciences,
Inc.*
$
18,518‌
592
ImmuCell
Corp.*
3,138‌
1,574
Immuneering
Corp.,
Class
A*
4,549‌
1,281
Immunovant
,
Inc.*
41,389‌
2,885
Intellia
Therapeutics,
Inc.*
79,366‌
2,237
Iovance
Biotherapeutics
,
Inc.*
33,152‌
1,631
iTeos
Therapeutics,
Inc.*
22,247‌
2,004
KalVista
Pharmaceuticals,
Inc.*
23,768‌
613
Keros
Therapeutics,
Inc.*
40,581‌
514
Kiniksa
Pharmaceuticals,
Ltd.,
Class
A*
10,141‌
2,238
Krystal
Biotech,
Inc.*
398,207‌
6,099
Kura
Oncology,
Inc.*
130,092‌
2,505
Kymera
Therapeutics,
Inc.*
100,701‌
5,865
MacroGenics
,
Inc.*
86,333‌
900
MediciNova
,
Inc.*
1,305‌
2,101
MeiraGTx
Holdings
plc*
12,753‌
2,157
MiMedx
Group,
Inc.*
16,609‌
901
Morphic
Holding,
Inc.*
31,715‌
4,120
Myriad
Genetics,
Inc.*
87,838‌
4,899
Nurix
Therapeutics,
Inc.*
72,015‌
1,111
Olema
Pharmaceuticals,
Inc.*
12,577‌
14,857
PDL
BioPharma
,
Inc.*
17,680‌
1,808
PMV
Pharmaceuticals,
Inc.*
3,074‌
6,654
Poseida
Therapeutics,
Inc.*
21,226‌
2,098
Protagonist
Therapeutics,
Inc.*
60,695‌
2,444
Prothena
Corp.
plc*
60,538‌
2,162
RAPT
Therapeutics,
Inc.*
19,415‌
5,356
REGENXBIO,
Inc.*
112,851‌
1,964
Relay
Therapeutics,
Inc.*
16,301‌
427
Repare
Therapeutics,
Inc.*
2,011‌
4,849
Replimune
Group,
Inc.*
39,616‌
5,027
REVOLUTION
Medicines,
Inc.*
162,020‌
2,920
Rocket
Pharmaceuticals,
Inc.*
78,665‌
4,519
Sage
Therapeutics,
Inc.*
84,686‌
10,666
Sangamo
Therapeutics,
Inc.*
7,148‌
1,550
Scholar
Rock
Holding
Corp.*
27,528‌
4,069
SpringWorks
Therapeutics,
Inc.*
200,276‌
1,779
Stoke
Therapeutics,
Inc.*
24,017‌
1,873
Sutro
Biopharma,
Inc.*
10,583‌
1,710
Tango
Therapeutics,
Inc.*
13,577‌
446
Twist
Bioscience
Corp.*
15,302‌
7,073
Vanda
Pharmaceuticals,
Inc.*
29,070‌
2,332
Vaxart
,
Inc.*
3,032‌
3,248
Veracyte
,
Inc.*
71,976‌
683
Verastem
,
Inc.*
8,059‌
1,521
Vericel
Corp.*
79,122‌
1,753
Viking
Therapeutics,
Inc.*
143,746‌
1,685
Voyager
Therapeutics,
Inc.*
15,687‌
5,839
Xencor
,
Inc.*
129,217‌
1,840
Y-
mAbs
Therapeutics,
Inc.*
29,918‌
784
Zentalis
Pharmaceuticals,
Inc.*
12,356‌
5,632,539‌
Broadline
Retail
(0.6%):
1,321
Big
Lots,
Inc.
5,720‌
643
Dillard's,
Inc.,
Class
A
303,265‌
823
Etsy,
Inc.*
56,557‌
6,694
Kohl's
Corp.
195,130‌
15,078
Macy's,
Inc.
301,409‌
6,409
Nordstrom,
Inc.
129,910‌
Shares
Value
Common
Stocks,
continued
Broadline
Retail,
continued
4,178
Ollie's
Bargain
Outlet
Holdings,
Inc.*
$
332,444‌
16,641
Qurate
Retail,
Inc.,
Class
A*
20,468‌
1,344,903‌
Building
Products
(2.0%):
6,564
AAON,
Inc.
578,288‌
1,627
American
Woodmark
Corp.*
165,401‌
2,098
Apogee
Enterprises,
Inc.
124,202‌
3,762
Armstrong
World
Industries,
Inc.
467,316‌
7,325
AZEK
Co.,
Inc.
(The)*
367,861‌
1,354
AZZ,
Inc.
104,678‌
1,351
CSW
Industrials,
Inc.
316,945‌
2,928
Gibraltar
Industries,
Inc.*
235,792‌
2,150
Griffon
Corp.
157,681‌
3,136
Hayward
Holdings,
Inc.*
48,012‌
2,035
Insteel
Industries,
Inc.
77,778‌
1,557
Janus
International
Group,
Inc.*
23,557‌
8,072
JELD-WEN
Holding,
Inc.*
171,369‌
1,719
Masonite
International
Corp.*
225,962‌
1,917
Masterbrand,
Inc.*
35,925‌
3,805
Quanex
Building
Products
Corp.
146,226‌
9,360
Resideo
Technologies,
Inc.*
209,851‌
1,123
Simpson
Manufacturing
Co.,
Inc.
230,417‌
676
Tecnoglass
,
Inc.
35,172‌
3,275
Trex
Co.,
Inc.*
326,681‌
3,722
UFP
Industries,
Inc.
457,843‌
645
Zurn
Elkay
Water
Solutions
Corp.
21,588‌
4,528,545‌
Capital
Markets
(2.3%):
2,771
Affiliated
Managers
Group,
Inc.
464,059‌
6,551
Artisan
Partners
Asset
Management,
Inc.,
Class
A
299,839‌
6,324
AssetMark
Financial
Holdings,
Inc.*
223,933‌
22,939
BGC
Group,
Inc.,
Class
A
178,236‌
4,408
Brightsphere
Investment
Group,
Inc.
100,679‌
4,088
Cohen
&
Steers,
Inc.
314,326‌
393
Diamond
Hill
Investment
Group,
Inc.
60,589‌
2,795
Donnelley
Financial
Solutions,
Inc.*
173,318‌
7,443
Federated
Hermes,
Inc.
268,841‌
3,218
Hamilton
Lane,
Inc.,
Class
A
362,862‌
211
Hennessy
Advisors,
Inc.
1,456‌
762
Houlihan
Lokey
,
Inc.
97,681‌
7,672
Invesco,
Ltd.
127,278‌
8,484
Janus
Henderson
Group
plc
279,039‌
1,499
Lazard,
Inc.
62,763‌
523
MarketAxess
Holdings,
Inc.
114,668‌
5,313
Moelis
&
Co.,
Class
A
301,619‌
10,720
Open
Lending
Corp.*
67,107‌
853
Oppenheimer
Holdings,
Inc.,
Class
A
34,052‌
1,395
Piper
Sandler
Cos.
276,894‌
2,336
PJT
Partners,
Inc.,
Class
A
220,191‌
850
Silvercrest
Asset
Management
Group,
Inc.,
Class
A
13,439‌
2,326
StepStone
Group,
Inc.,
Class
A
83,131‌
2,434
Stifel
Financial
Corp.
190,266‌
2,732
StoneX
Group,
Inc.*
191,950‌
207
Value
Line,
Inc.
8,383‌
681
Victory
Capital
Holdings,
Inc.,
Class
A
28,895‌
8,277
Virtu
Financial,
Inc.,
Class
A
169,844‌
644
Virtus
Investment
Partners,
Inc.
159,699‌
1,478
Westwood
Holdings
Group,
Inc.
18,209‌
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
60
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Capital
Markets,
continued
13,581
WisdomTree
,
Inc.
$
124,809‌
5,018,055‌
Chemicals
(2.8%):
2,655
AdvanSix
,
Inc.
75,933‌
2,222
Alto
Ingredients,
Inc.*
4,844‌
4,315
American
Vanguard
Corp.
55,879‌
34,405
Arcadium
Lithium
plc*
148,286‌
1,064
Arq
,
Inc.*
6,895‌
4,002
Ashland,
Inc.
389,675‌
1,028
Aspen
Aerogels,
Inc.*
18,093‌
7,916
Avient
Corp.
343,554‌
3,167
Axalta
Coating
Systems,
Ltd.*
108,913‌
2,790
Balchem
Corp.
432,310‌
4,552
Cabot
Corp.
419,694‌
11,207
Chemours
Co.
(The)
294,296‌
10,380
Ecovyst
,
Inc.*
115,737‌
19,685
Element
Solutions,
Inc.
491,731‌
2,229
Hawkins,
Inc.
171,187‌
4,518
HB
Fuller
Co.
360,265‌
5,123
Huntsman
Corp.
133,352‌
3,296
Ingevity
Corp.*
157,219‌
2,240
Innospec
,
Inc.
288,826‌
2,142
Intrepid
Potash,
Inc.*
44,682‌
2,348
Koppers
Holdings,
Inc.
129,539‌
7,406
Kronos
Worldwide,
Inc.
87,391‌
8,341
LSB
Industries,
Inc.*
73,234‌
6,267
Mativ
Holdings,
Inc.
117,506‌
2,943
Minerals
Technologies,
Inc.
221,549‌
740
NewMarket
Corp.
469,619‌
1,579
Olin
Corp.
92,845‌
4,870
Orion
SA
114,542‌
958
Quaker
Chemical
Corp.
196,630‌
5,893
Rayonier
Advanced
Materials,
Inc.*
28,169‌
3,508
Sensient
Technologies
Corp.
242,719‌
2,109
Stepan
Co.
189,894‌
13,830
Tronox
Holdings
plc
239,951‌
6,264,959‌
Commercial
Services
&
Supplies
(1.9%):
5,686
ABM
Industries,
Inc.
253,709‌
9,986
ACCO
Brands
Corp.
56,021‌
675
Acme
United
Corp.
31,718‌
1,948
ACV
Auctions,
Inc.,
Class
A*
36,564‌
1,200
Aris
Water
Solutions,
Inc.,
Class
A
16,980‌
3,837
Brady
Corp.,
Class
A
227,457‌
3,882
BrightView
Holdings,
Inc.*
46,196‌
3,525
Brink's
Co.
(The)
325,640‌
3,935
Casella
Waste
Systems,
Inc.*
389,053‌
3,592
CECO
Environmental
Corp.*
82,688‌
2,718
Cimpress
plc*
240,570‌
436
Civeo
Corp.
11,707‌
325
CompX
International,
Inc.
11,148‌
2,746
Deluxe
Corp.
56,540‌
3,383
Ennis,
Inc.
69,385‌
4,634
Enviri
Corp.*
42,401‌
7,473
Healthcare
Services
Group,
Inc.*
93,263‌
3,889
HNI
Corp.
175,511‌
5,694
Interface,
Inc.
95,773‌
2,418
Liquidity
Services,
Inc.*
44,975‌
Shares
Value
Common
Stocks,
continued
Commercial
Services
&
Supplies,
continued
2,479
Matthews
International
Corp.,
Class
A
$
77,047‌
2,673
MillerKnoll
,
Inc.
66,183‌
1,198
Montrose
Environmental
Group,
Inc.*
46,926‌
1,886
MSA
Safety,
Inc.
365,111‌
2,566
NL
Industries,
Inc.
18,809‌
7,507
OPENLANE,
Inc.*
129,871‌
2,198
Perma
-Fix
Environmental
Services,
Inc.*
26,134‌
8,017
Pitney
Bowes,
Inc.
34,714‌
5,379
Quad/Graphics,
Inc.
28,562‌
2,243
SP
Plus
Corp.*
117,129‌
9,533
Steelcase,
Inc.,
Class
A
124,692‌
3,917
Stericycle,
Inc.*
206,622‌
308
Tetra
Tech,
Inc.
56,891‌
1,404
UniFirst
Corp.
243,496‌
2,033
Viad
Corp.*
80,283‌
3,364
Virco
Mfg.
Corp.
36,769‌
1,804
VSE
Corp.
144,320‌
4,110,858‌
Communications
Equipment
(0.7%):
1,444
Applied
Optoelectronics,
Inc.*
20,014‌
1,336
Aviat
Networks,
Inc.*
51,222‌
180
BK
Technologies
Corp.*
2,628‌
6,031
Calix,
Inc.*
199,988‌
1,792
Cambium
Networks
Corp.*
7,723‌
4,192
Ciena
Corp.*
207,294‌
588
Clearfield,
Inc.*
18,134‌
1,983
Comtech
Telecommunications
Corp.*
6,802‌
4,365
Digi
International,
Inc.*
139,374‌
1,222
DZS,
Inc.*
1,613‌
9,501
Extreme
Networks,
Inc.*
109,642‌
10,628
Harmonic,
Inc.*
142,840‌
6,719
Infinera
Corp.*
40,516‌
3,767
KVH
Industries,
Inc.*
19,212‌
1,172
Lantronix
,
Inc.*
4,172‌
2,674
Lumentum
Holdings,
Inc.*
126,614‌
3,410
NETGEAR,
Inc.*
53,776‌
6,389
NetScout
Systems,
Inc.*
139,536‌
2,391
Network-1
Technologies,
Inc.
4,949‌
131
Optical
Cable
Corp.*
371‌
19,376
Ribbon
Communications,
Inc.*
62,003‌
19,090
Viavi
Solutions,
Inc.*
173,528‌
1,531,951‌
Construction
&
Engineering
(1.9%):
2,929
Ameresco
,
Inc.,
Class
A*
70,677‌
11,494
API
Group
Corp.*
451,369‌
4,150
Arcosa
,
Inc.
356,319‌
1,736
Argan
,
Inc.
87,737‌
268
Cadeler
A/S,
ADR*
4,862‌
1,448
Comfort
Systems
USA,
Inc.
460,044‌
1,234
Concrete
Pumping
Holdings,
Inc.*
9,749‌
2,109
Construction
Partners,
Inc.,
Class
A*
118,420‌
2,329
Dycom
Industries,
Inc.*
334,281‌
5,634
Fluor
Corp.*
238,206‌
4,440
Granite
Construction,
Inc.
253,657‌
8,770
Great
Lakes
Dredge
&
Dock
Corp.*
76,738‌
2,133
IES
Holdings,
Inc.*
259,458‌
645
Limbach
Holdings,
Inc.*
26,716‌
1,445
MasTec
,
Inc.*
134,746‌
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
61
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Construction
&
Engineering,
continued
2,806
Matrix
Service
Co.*
$
36,562‌
8,407
MDU
Resources
Group,
Inc.
211,856‌
1,455
MYR
Group,
Inc.*
257,171‌
1,279
Northwest
Pipe
Co.*
44,356‌
5,203
Orion
Group
Holdings,
Inc.*
42,665‌
3,181
Primoris
Services
Corp.
135,415‌
3,094
Sterling
Infrastructure,
Inc.*
341,299‌
2,090
Tutor
Perini
Corp.*
30,221‌
1,223
Valmont
Industries,
Inc.
279,187‌
695
WillScot
Mobile
Mini
Holdings
Corp.*
32,318‌
4,294,029‌
Construction
Materials
(0.6%):
1,863
Eagle
Materials,
Inc.
506,270‌
2,430
Knife
River
Corp.*
197,025‌
10,645
Summit
Materials,
Inc.,
Class
A*
474,448‌
466
United
States
Lime
&
Minerals,
Inc.
138,933‌
1,316,676‌
Consumer
Finance
(1.3%):
1,070
Atlanticus
Holdings
Corp.*
31,661‌
4,441
Bread
Financial
Holdings,
Inc.
165,383‌
1,688
Consumer
Portfolio
Services,
Inc.*
12,761‌
357
Credit
Acceptance
Corp.*
196,903‌
2,212
Encore
Capital
Group,
Inc.*
100,889‌
2,734
Enova
International,
Inc.*
171,777‌
6,061
EZCORP,
Inc.,
Class
A*
68,671‌
3,601
FirstCash
Holdings,
Inc.
459,272‌
5,932
Green
Dot
Corp.,
Class
A*
55,346‌
1,592
LendingClub
Corp.*
13,994‌
1,127
LendingTree
,
Inc.*
47,717‌
6,374
Navient
Corp.
110,908‌
2,397
Nelnet,
Inc.,
Class
A
226,876‌
2,564
NerdWallet
,
Inc.,
Class
A*
37,691‌
1,556
Nicholas
Financial,
Inc.*
10,519‌
7,867
OneMain
Holdings,
Inc.
401,925‌
964
Oportun
Financial
Corp.*
2,342‌
4,400
PRA
Group,
Inc.*
114,752‌
3,634
PROG
Holdings,
Inc.
125,155‌
1,735
Regional
Management
Corp.
42,004‌
18,149
SLM
Corp.
395,467‌
710
World
Acceptance
Corp.*
102,936‌
2,894,949‌
Consumer
Staples
Distribution
&
Retail
(0.8%):
3,292
Andersons,
Inc.
(The)
188,862‌
3,641
Chefs'
Warehouse,
Inc.
(The)*
137,120‌
5,307
Grocery
Outlet
Holding
Corp.*
152,735‌
1,269
Ingles
Markets,
Inc.,
Class
A
97,307‌
2,609
Natural
Grocers
by
Vitamin
Cottage,
Inc.
47,092‌
2,666
PriceSmart
,
Inc.
223,944‌
3,390
SpartanNash
Co.
68,512‌
7,995
Sprouts
Farmers
Market,
Inc.*
515,518‌
6,288
United
Natural
Foods,
Inc.*
72,249‌
1,673
Village
Super
Market,
Inc.,
Class
A
47,865‌
2,304
Weis
Markets,
Inc.
148,378‌
1,699,582‌
Containers
&
Packaging
(0.7%):
3,223
Graphic
Packaging
Holding
Co.
94,047‌
Shares
Value
Common
Stocks,
continued
Containers
&
Packaging,
continued
2,284
Greif,
Inc.,
Class
A
$
157,710‌
1,032
Greif,
Inc.,
Class
B
71,745‌
4,016
Myers
Industries,
Inc.
93,051‌
12,513
O-I
Glass,
Inc.*
207,591‌
997
Pactiv
Evergreen,
Inc.
14,277‌
5,335
Ranpak
Holdings
Corp.*
41,986‌
4,099
Sealed
Air
Corp.
152,483‌
7,385
Silgan
Holdings,
Inc.
358,615‌
5,968
Sonoco
Products
Co.
345,189‌
4,005
TriMas
Corp.
107,054‌
1,643,748‌
Distributors
(0.0%
):
12
AMCON
Distributing
Co.
2,208‌
1,626
Educational
Development
Corp.*
3,366‌
1,262
Weyco
Group,
Inc.
40,232‌
45,806‌
Diversified
Consumer
Services
(1.3%):
6,162
ADT,
Inc.
41,409‌
3,783
Adtalem
Global
Education,
Inc.*
194,446‌
1,366
American
Public
Education,
Inc.*
19,397‌
916
Bright
Horizons
Family
Solutions,
Inc.*
103,838‌
2,057
Carriage
Services,
Inc.
55,621‌
8,867
Chegg
,
Inc.*
67,123‌
7,816
Coursera,
Inc.*
109,580‌
2,164
European
Wax
Center,
Inc.,
Class
A*
28,089‌
6,387
Frontdoor
,
Inc.*
208,088‌
332
Graham
Holdings
Co.,
Class
B
254,870‌
2,562
Grand
Canyon
Education,
Inc.*
348,970‌
10,512
H&R
Block,
Inc.
516,244‌
4,565
Laureate
Education,
Inc.
66,512‌
7,411
OneSpaWorld
Holdings,
Ltd.*
98,048‌
7,117
Perdoceo
Education
Corp.
124,975‌
2,463
Strategic
Education,
Inc.
256,448‌
4,210
Stride,
Inc.*
265,440‌
3,924
Universal
Technical
Institute,
Inc.*
62,549‌
2,821,647‌
Diversified
Telecommunication
Services
(0.4%):
2,223
Anterix
,
Inc.*
74,715‌
1,667
ATN
International,
Inc.
52,519‌
1,565
Bandwidth,
Inc.,
Class
A*
28,577‌
1,437
Cogent
Communications
Holdings,
Inc.
93,879‌
5,491
Consolidated
Communications
Holdings,
Inc.*
23,721‌
4,493
EchoStar
Corp.,
Class
A*
64,025‌
2,121
Frontier
Communications
Parent,
Inc.*
51,964‌
2,807
IDT
Corp.,
Class
B
106,133‌
5,258
Iridium
Communications,
Inc.
137,549‌
2,939
Liberty
Global,
Ltd.,
Class
A*
49,728‌
3,079
Liberty
Global,
Ltd.,
Class
C*
54,314‌
3,452
Liberty
Latin
America,
Ltd.,
Class
A*
24,060‌
13,915
Liberty
Latin
America,
Ltd.,
Class
C*
97,266‌
1,745
Ooma
,
Inc.*
14,885‌
5,245
Shenandoah
Telecommunications
Co.
91,106‌
964,441‌
Electric
Utilities
(1.0%):
4,918
ALLETE,
Inc.
293,309‌
3,043
Genie
Energy,
Ltd.,
Class
B
45,888‌
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
62
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Electric
Utilities,
continued
8,791
Hawaiian
Electric
Industries,
Inc.
$
99,075‌
3,498
IDACORP,
Inc.
324,929‌
3,245
MGE
Energy,
Inc.
255,446‌
3,430
OGE
Energy
Corp.
117,649‌
3,462
Otter
Tail
Corp.
299,117‌
2,309
Pinnacle
West
Capital
Corp.
172,552‌
7,274
PNM
Resources,
Inc.
273,793‌
6,533
Portland
General
Electric
Co.
274,386‌
513
Via
Renewables,
Inc.*
5,546‌
2,161,690‌
Electrical
Equipment
(1.2%):
365
Acuity
Brands,
Inc.
98,086‌
2,264
Allient
,
Inc.
80,780‌
2,221
American
Superconductor
Corp.*
30,006‌
11,274
Array
Technologies,
Inc.*
168,095‌
2,920
Atkore
,
Inc.
555,851‌
1,326
Encore
Wire
Corp.
348,446‌
3,526
EnerSys
333,066‌
411
Espey
Mfg.
&
Electronics
Corp.
10,378‌
1,220
Fluence
Energy,
Inc.*
21,155‌
921
Generac
Holdings,
Inc.*
116,175‌
19,087
GrafTech
International,
Ltd.
26,340‌
2,894
LSI
Industries,
Inc.
43,757‌
917
NEXTracker
,
Inc.,
Class
A*
51,600‌
1,123
Powell
Industries,
Inc.
159,803‌
576
Preformed
Line
Products
Co.
74,114‌
2,273
Sensata
Technologies
Holding
plc
83,510‌
75
Servotronics
,
Inc.*
1,031‌
3,914
Shoals
Technologies
Group,
Inc.,
Class
A*
43,759‌
7,686
Sunrun
,
Inc.*
101,301‌
3,233
Thermon
Group
Holdings,
Inc.*
105,784‌
3,104
Ultralife
Corp.*
27,346‌
2,185
Vicor
Corp.*
83,554‌
2,563,937‌
Electronic
Equipment,
Instruments
&
Components
(3.3%):
3,246
Advanced
Energy
Industries,
Inc.
331,027‌
739
Arrow
Electronics,
Inc.*
95,671‌
7,321
Avnet,
Inc.
362,975‌
2,316
Badger
Meter,
Inc.
374,752‌
254
Bel
Fuse,
Inc.,
Class
A
17,986‌
740
Bel
Fuse,
Inc.,
Class
B
44,629‌
3,529
Belden,
Inc.
326,821‌
3,971
Benchmark
Electronics,
Inc.
119,170‌
311
Climb
Global
Solutions,
Inc.
22,044‌
2,477
Cognex
Corp.
105,074‌
1,672
Coherent
Corp.*
101,357‌
2,894
Crane
NXT
Co.
179,139‌
2,693
CTS
Corp.
126,005‌
6,442
Daktronics,
Inc.*
64,162‌
1,365
Data
I/O
Corp.*
4,805‌
1,751
ePlus
,
Inc.*
137,523‌
3,170
Fabrinet
*
599,193‌
2,068
FARO
Technologies,
Inc.*
44,483‌
640
Frequency
Electronics,
Inc.*
6,970‌
865
Identiv
,
Inc.*
6,851‌
2,717
Insight
Enterprises,
Inc.*
504,058‌
2,298
IPG
Photonics
Corp.*
208,406‌
3,939
Itron
,
Inc.*
364,436‌
Shares
Value
Common
Stocks,
continued
Electronic
Equipment,
Instruments
&
Components,
continued
2,808
Kimball
Electronics,
Inc.*
$
60,793‌
8,226
Knowles
Corp.*
132,439‌
533
Littelfuse
,
Inc.
129,172‌
1,600
Luna
Innovations,
Inc.*
5,128‌
4,257
Methode
Electronics,
Inc.
51,850‌
3,114
Mirion
Technologies,
Inc.*
35,406‌
3,504
Napco
Security
Technologies,
Inc.
140,721‌
3,256
nLight
,
Inc.*
42,328‌
2,813
Novanta
,
Inc.*
491,628‌
1,515
OSI
Systems,
Inc.*
216,372‌
1,935
PAR
Technology
Corp.*
87,772‌
2,619
PC
Connection,
Inc.
172,671‌
2,336
Plexus
Corp.*
221,499‌
1,762
Rogers
Corp.*
209,132‌
5,060
Sanmina
Corp.*
314,631‌
2,444
ScanSource
,
Inc.*
107,634‌
3,056
SmartRent
,
Inc.*
8,190‌
9,276
TTM
Technologies,
Inc.*
145,169‌
10,916
Vishay
Intertechnology
,
Inc.
247,575‌
1,643
Vishay
Precision
Group,
Inc.*
58,047‌
6,043
Vontier
Corp.
274,110‌
7,299,804‌
Energy
Equipment
&
Services
(2.3%):
15,126
Archrock
,
Inc.
297,528‌
3,515
Bristow
Group,
Inc.*
95,608‌
5,646
Cactus,
Inc.,
Class
A
282,808‌
11,410
ChampionX
Corp.
409,505‌
4,409
Core
Laboratories,
Inc.
75,306‌
653
DMC
Global,
Inc.*
12,727‌
3,762
Dril
-Quip,
Inc.*
84,758‌
1,282
Expro
Group
Holdings
NV*
25,602‌
782
Forum
Energy
Technologies,
Inc.*
15,624‌
1,260
Geospace
Technologies
Corp.*
16,619‌
2,641
Gulf
Island
Fabrication,
Inc.*
19,411‌
15,555
Helix
Energy
Solutions
Group,
Inc.*
168,616‌
8,573
Helmerich
&
Payne,
Inc.
360,580‌
12,218
Liberty
Energy,
Inc.
253,157‌
595
Mammoth
Energy
Services,
Inc.*
2,166‌
1,083
Nabors
Industries,
Ltd.*
93,279‌
1,299
Natural
Gas
Services
Group,
Inc.*
25,240‌
10,874
Newpark
Resources,
Inc.*
78,510‌
1,750
Nine
Energy
Service,
Inc.*
3,920‌
4,068
NOV,
Inc.
79,407‌
8,535
Oceaneering
International,
Inc.*
199,719‌
6,786
Oil
States
International,
Inc.*
41,802‌
1,387
Patterson-UTI
Energy,
Inc.
16,561‌
12,578
ProPetro
Holding
Corp.*
101,630‌
19,536
RPC,
Inc.
151,209‌
1,598
SEACOR
Marine
Holdings,
Inc.*
22,276‌
9,033
Select
Water
Solutions,
Inc.
83,375‌
1,537
Solaris
Oilfield
Infrastructure,
Inc.,
Class
A
13,326‌
21,863
TechnipFMC
plc
548,980‌
8,903
TETRA
Technologies,
Inc.*
39,440‌
3,988
Tidewater,
Inc.*
366,896‌
31,786
Transocean,
Ltd.*
199,616‌
8,704
US
Silica
Holdings,
Inc.*
108,017‌
3,853
Valaris
,
Ltd.*
289,977‌
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
63
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Energy
Equipment
&
Services,
continued
3,663
Weatherford
International
plc*
$
422,783‌
5,005,978‌
Entertainment
(0.4%):
4,252
Atlanta
Braves
Holdings,
Inc.*
166,083‌
1,562
Atlanta
Braves
Holdings,
Inc.*
65,448‌
7,111
Cinemark
Holdings,
Inc.*
127,785‌
6,033
IMAX
Corp.*
97,554‌
5,688
Lions
Gate
Entertainment
Corp.,
Class
A*
56,596‌
12,011
Lions
Gate
Entertainment
Corp.,
Class
B*
111,822‌
1,260
Madison
Square
Garden
Entertainment
Corp.*
49,405‌
578
Madison
Square
Garden
Sports
Corp.*
106,652‌
1,570
Marcus
Corp.
(The)
22,388‌
2,680
Playstudios
,
Inc.*
7,450‌
2,329
Playtika
Holding
Corp.
16,419‌
2,715
Reading
International,
Inc.,
Class
A*
4,996‌
1,660
Sphere
Entertainment
Co.*
81,473‌
914,071‌
Financial
Services
(2.3%):
1,888
Acacia
Research
Corp.*
10,063‌
500
Alerus
Financial
Corp.
10,915‌
2,519
A-Mark
Precious
Metals,
Inc.
77,308‌
18,316
AvidXchange
Holdings,
Inc.*
240,855‌
622
BM
Technologies,
Inc.*
1,026‌
608
Cannae
Holdings,
Inc.*
13,522‌
4,597
Cantaloupe,
Inc.*
29,559‌
1,466
Cass
Information
Systems,
Inc.
70,617‌
8,331
Essent
Group,
Ltd.
495,778‌
3,213
Euronet
Worldwide,
Inc.*
353,205‌
5,239
EVERTEC,
Inc.
209,036‌
1,005
Federal
Agricultural
Mortgage
Corp.,
Class
C
197,864‌
5,994
Flywire
Corp.*
148,711‌
2,986
I3
Verticals,
Inc.,
Class
A*
68,349‌
2,738
International
Money
Express,
Inc.*
62,509‌
2,500
Jackson
Financial,
Inc.,
Class
A
165,350‌
13,088
Marqeta
,
Inc.,
Class
A*
78,004‌
4,042
Merchants
Bancorp
174,534‌
13,863
MGIC
Investment
Corp.
309,977‌
3,941
Mr
Cooper
Group,
Inc.*
307,201‌
5,682
NCR
Atleos
Corp.*
112,219‌
7,344
NMI
Holdings,
Inc.,
Class
A*
237,505‌
1,437
Ocwen
Financial
Corp.*
38,813‌
700
Paymentus
Holdings,
Inc.,
Class
A*
15,925‌
10,730
Payoneer
Global,
Inc.*
52,148‌
2,338
Paysafe
,
Ltd.*
36,917‌
862
Paysign
,
Inc.*
3,155‌
2,891
PennyMac
Financial
Services,
Inc.
263,341‌
4,780
Radian
Group,
Inc.
159,987‌
8,458
Remitly
Global,
Inc.*
175,419‌
4,573
Repay
Holdings
Corp.*
50,303‌
3,768
Security
National
Financial
Corp.,
Class
A*
29,805‌
3,309
Shift4
Payments,
Inc.,
Class
A*
218,626‌
1,764
Voya
Financial,
Inc.
130,395‌
2,577
Walker
&
Dunlop,
Inc.
260,432‌
1,247
Waterstone
Financial,
Inc.
15,176‌
17,505
Western
Union
Co.
(The)
244,720‌
5,069,269‌
Shares
Value
Common
Stocks,
continued
Food
Products
(1.8%):
444
Alico
,
Inc.
$
13,000‌
4,537
B&G
Foods,
Inc.
51,903‌
2,392
Calavo
Growers,
Inc.
66,522‌
3,667
Cal-Maine
Foods,
Inc.
215,803‌
2,871
Darling
Ingredients,
Inc.*
133,530‌
2,411
Farmer
Bros.
Co.*
8,607‌
13,296
Flowers
Foods,
Inc.
315,780‌
4,536
Fresh
Del
Monte
Produce,
Inc.
117,528‌
2,131
Freshpet
,
Inc.*
246,898‌
7,444
Hain
Celestial
Group,
Inc.
(The)*
58,510‌
2,212
Ingredion,
Inc.
258,472‌
1,615
J
&
J
Snack
Foods
Corp.
233,464‌
865
John
B
Sanfilippo
&
Son,
Inc.
91,621‌
2,181
Lancaster
Colony
Corp.
452,841‌
2,759
Limoneira
Co.
53,966‌
7,341
Pilgrim's
Pride
Corp.*
251,943‌
4,197
Post
Holdings,
Inc.*
446,057‌
1,220
Rocky
Mountain
Chocolate
Factory,
Inc.*
4,417‌
74
Seaboard
Corp.
238,570‌
708
Seneca
Foods
Corp.,
Class
A*
40,285‌
12
Seneca
Foods
Corp.,
Class
B*
674‌
8,759
Simply
Good
Foods
Co.
(The)*
298,069‌
3,986
Tootsie
Roll
Industries,
Inc.
127,675‌
4,199
TreeHouse
Foods,
Inc.*
163,551‌
797
Utz
Brands,
Inc.
14,697‌
5,157
Vital
Farms,
Inc.*
119,900‌
4,024,283‌
Gas
Utilities
(0.8%):
1,683
Chesapeake
Utilities
Corp.
180,586‌
4,076
National
Fuel
Gas
Co.
218,963‌
8,391
New
Jersey
Resources
Corp.
360,058‌
3,221
Northwest
Natural
Holding
Co.
119,886‌
4,457
ONE
Gas,
Inc.
287,610‌
873
RGC
Resources,
Inc.
17,669‌
3,356
Southwest
Gas
Holdings,
Inc.
255,492‌
4,473
Spire,
Inc.
274,508‌
3,372
UGI
Corp.
82,749‌
1,797,521‌
Ground
Transportation
(0.7%):
2,111
ArcBest
Corp.
300,818‌
626
Avis
Budget
Group,
Inc.
76,660‌
1,328
Covenant
Logistics
Group,
Inc.
61,566‌
2,131
Daseke
,
Inc.*
17,687‌
2,500
FTAI
Infrastructure,
Inc.
15,700‌
4,045
Heartland
Express,
Inc.
48,297‌
4,262
Hertz
Global
Holdings,
Inc.*
33,372‌
1,342
Landstar
System,
Inc.
258,684‌
5,246
Marten
Transport,
Ltd.
96,946‌
1,698
PAM
Transportation
Services,
Inc.*
27,525‌
774
RXO,
Inc.*
16,927‌
1,507
Ryder
System,
Inc.
181,126‌
4,258
Schneider
National,
Inc.,
Class
B
96,401‌
2,327
Universal
Logistics
Holdings,
Inc.
85,797‌
5,665
Werner
Enterprises,
Inc.
221,615‌
774
XPO,
Inc.*
94,451‌
1,633,572‌
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
64
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Health
Care
Equipment
&
Supplies
(2.4%):
10,348
Accuray
,
Inc.*
$
25,560‌
2,365
AngioDynamics
,
Inc.*
13,883‌
2,193
Apyx
Medical
Corp.*
2,982‌
4,704
Artivion
,
Inc.*
99,537‌
4,319
AtriCure
,
Inc.*
131,384‌
141
Atrion
Corp.
65,361‌
4,538
Avanos
Medical,
Inc.*
90,352‌
2,841
Axogen
,
Inc.*
22,927‌
4,112
Axonics
,
Inc.*
283,605‌
2,651
CONMED
Corp.
212,292‌
3,767
DENTSPLY
SIRONA,
Inc.
125,027‌
1,118
Electromed
,
Inc.*
18,056‌
2,424
Embecta
Corp.
32,166‌
4,017
Enovis
Corp.*
250,862‌
6,467
Envista
Holdings
Corp.*
138,264‌
427
FONAR
Corp.*
9,121‌
4,226
Glaukos
Corp.*
398,470‌
3,641
Haemonetics
Corp.*
310,759‌
1,421
Inari
Medical,
Inc.*
68,180‌
1,790
Inogen
,
Inc.*
14,445‌
185
Inspire
Medical
Systems,
Inc.*
39,736‌
2,899
Integer
Holdings
Corp.*
338,255‌
7,233
Integra
LifeSciences
Holdings
Corp.*
256,410‌
1,681
iRadimed
Corp.
73,947‌
2,006
IRIDEX
Corp.*
5,978‌
249
Kewaunee
Scientific
Corp.*
8,478‌
5,751
Lantheus
Holdings,
Inc.*
357,942‌
1,899
LeMaitre
Vascular,
Inc.
126,018‌
1,127
LENSAR,
Inc.*
4,001‌
4,935
LivaNova
plc*
276,064‌
546
Masimo
Corp.*
80,180‌
4,826
Merit
Medical
Systems,
Inc.*
365,569‌
314
OmniAb
Operations,
Inc.
-
Vesting
12.5*(a)
—‌
314
OmniAb
Operations,
Inc.
-
Vesting
15*(a)
—‌
4,344
Omnicell
,
Inc.*
126,975‌
8,786
OraSure
Technologies,
Inc.*
54,034‌
4,817
Orthofix
Medical,
Inc.*
69,943‌
2,663
OrthoPediatrics
Corp.*
77,653‌
1,571
Pulmonx
Corp.*
14,563‌
175
QuidelOrtho
Corp.*
8,389‌
400
Semler
Scientific,
Inc.*
11,684‌
1,010
SI-BONE,
Inc.*
16,534‌
3,128
Sight
Sciences,
Inc.*
16,516‌
337
Silk
Road
Medical,
Inc.*
6,174‌
4,332
STAAR
Surgical
Co.*
165,829‌
879
Surmodics
,
Inc.*
25,790‌
1,169
Tactile
Systems
Technology,
Inc.*
18,996‌
2,471
Tandem
Diabetes
Care,
Inc.*
87,498‌
671
UFP
Technologies,
Inc.*
169,226‌
550
Utah
Medical
Products,
Inc.
39,110‌
4,899
Varex
Imaging
Corp.*
88,672‌
600
Zimvie
,
Inc.*
9,894‌
755
Zynex
,
Inc.*
9,339‌
5,262,630‌
Health
Care
Providers
&
Services
(3.0%):
3,781
Acadia
Healthcare
Co.,
Inc.*
299,531‌
6,905
Accolade,
Inc.*
72,364‌
1,235
AdaptHealth
Corp.*
14,215‌
1,548
Addus
HomeCare
Corp.*
159,970‌
Shares
Value
Common
Stocks,
continued
Health
Care
Providers
&
Services,
continued
2,135
Amedisys
,
Inc.*
$
196,762‌
2,834
AMN
Healthcare
Services,
Inc.*
177,153‌
5,781
Astrana
Health,
Inc.*
242,744‌
19,092
Brookdale
Senior
Living,
Inc.*
126,198‌
1,638
Castle
Biosciences,
Inc.*
36,282‌
17,271
Community
Health
Systems,
Inc.*
60,449‌
1,286
CorVel
Corp.*
338,167‌
3,547
Cross
Country
Healthcare,
Inc.*
66,400‌
5,272
Encompass
Health
Corp.
435,362‌
2,372
Enhabit
,
Inc.*
27,634‌
4,638
Ensign
Group,
Inc.
(The)
577,060‌
7,407
Enzo
Biochem
,
Inc.*
9,407‌
774
Fulgent
Genetics,
Inc.*
16,796‌
5,537
HealthEquity
,
Inc.*
451,985‌
4,818
Hims
&
Hers
Health,
Inc.*
74,534‌
1,999
InfuSystem
Holdings,
Inc.*
17,131‌
1,190
Joint
Corp.
(The)*
15,541‌
1,339
ModivCare
,
Inc.*
31,400‌
1,428
National
HealthCare
Corp.
134,960‌
2,441
National
Research
Corp.
96,688‌
11,926
NeoGenomics
,
Inc.*
187,477‌
26,516
OPKO
Health,
Inc.*
31,819‌
13,338
Option
Care
Health,
Inc.*
447,357‌
6,906
Owens
&
Minor,
Inc.*
191,365‌
9,200
Patterson
Cos.,
Inc.
254,380‌
10,007
Pediatrix
Medical
Group,
Inc.*
100,370‌
3,565
Pennant
Group,
Inc.
(The)*
69,981‌
3,801
PetIQ
,
Inc.*
69,482‌
10,308
Premier,
Inc.,
Class
A
227,807‌
429
Privia
Health
Group,
Inc.*
8,404‌
3,233
Progyny
,
Inc.*
123,339‌
1,080
Psychemedics
Corp.
3,164‌
3,561
R1
RCM,
Inc.*
45,866‌
5,839
RadNet
,
Inc.*
284,126‌
10,830
Select
Medical
Holdings
Corp.
326,525‌
10,156
Surgery
Partners,
Inc.*
302,953‌
2,123
Tenet
Healthcare
Corp.*
223,149‌
1,274
US
Physical
Therapy,
Inc.
143,796‌
6,720,093‌
Health
Care
Technology
(0.5%):
7,056
Certara
,
Inc.*
126,161‌
1,418
Definitive
Healthcare
Corp.*
11,443‌
4,294
Doximity
,
Inc.,
Class
A*
115,552‌
8,570
Evolent
Health,
Inc.,
Class
A*
281,010‌
3,819
GoodRx
Holdings,
Inc.,
Class
A*
27,115‌
6,108
Health
Catalyst,
Inc.*
45,993‌
3,597
HealthStream
,
Inc.
95,896‌
1,239
iCAD
,
Inc.*
1,995‌
445
OptimizeRx
Corp.*
5,407‌
2,741
Schrodinger,
Inc.*
74,007‌
1,580
Simulations
Plus,
Inc.
65,017‌
7,069
Teladoc
Health,
Inc.*
106,742‌
7,215
Veradigm
,
Inc.*
55,555‌
1,011,893‌
Hotels,
Restaurants
&
Leisure
(2.7%):
3,277
Accel
Entertainment,
Inc.*
38,636‌
6,589
Aramark
214,274‌
4,213
Bally's
Corp.*
58,729‌
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
65
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Hotels,
Restaurants
&
Leisure,
continued
3
Biglari
Holdings,
Inc.,
Class
A*
$
2,775‌
319
Biglari
Holdings,
Inc.,
Class
B*
60,508‌
2,366
BJ's
Restaurants,
Inc.*
85,602‌
6,673
Bloomin
'
Brands,
Inc.
191,382‌
3,803
Brinker
International,
Inc.*
188,933‌
3,041
Carrols
Restaurant
Group,
Inc.
28,920‌
2,100
Century
Casinos,
Inc.*
6,636‌
4,367
Cheesecake
Factory,
Inc.
(The)
157,867‌
2,078
Choice
Hotels
International,
Inc.
262,555‌
2,161
Chuy's
Holdings,
Inc.*
72,890‌
1,809
Cracker
Barrel
Old
Country
Store,
Inc.
131,569‌
3,429
Dave
&
Buster's
Entertainment,
Inc.*
214,655‌
6,787
Denny's
Corp.*
60,811‌
795
Dine
Brands
Global,
Inc.
36,952‌
557
Dutch
Bros,
Inc.,
Class
A*
18,381‌
5,001
El
Pollo
Loco
Holdings,
Inc.*
48,710‌
100
Flanigan's
Enterprises,
Inc.
2,557‌
2,709
Full
House
Resorts,
Inc.*
15,089‌
4,240
Hilton
Grand
Vacations,
Inc.*
200,170‌
1,648
Inspired
Entertainment,
Inc.*
16,249‌
5,547
International
Game
Technology
plc
125,307‌
1,587
Jack
in
the
Box,
Inc.
108,678‌
289
Kura
Sushi
USA,
Inc.,
Class
A*
33,281‌
3,042
Light
&
Wonder,
Inc.*
310,558‌
1,127
Lindblad
Expeditions
Holdings,
Inc.*
10,515‌
2,879
Marriott
Vacations
Worldwide
Corp.
310,155‌
538
Nathan's
Famous,
Inc.
38,090‌
1,669
Noodles
&
Co.*
3,188‌
7,325
Norwegian
Cruise
Line
Holdings,
Ltd.*
153,312‌
1,507
ONE
Group
Hospitality,
Inc.
(The)*
8,394‌
2,706
Papa
John's
International,
Inc.
180,220‌
809
Penn
Entertainment,
Inc.*
14,732‌
3,146
Planet
Fitness,
Inc.,
Class
A*
197,034‌
9,502
Playa
Hotels
&
Resorts
NV*
92,169‌
1,540
PlayAGS
,
Inc.*
13,829‌
2,311
Portillo's,
Inc.,
Class
A*
32,770‌
897
Potbelly
Corp.*
10,863‌
300
RCI
Hospitality
Holdings,
Inc.
17,400‌
1,368
Red
Robin
Gourmet
Burgers,
Inc.*
10,479‌
662
Red
Rock
Resorts,
Inc.,
Class
A
39,601‌
2,644
Sabre
Corp.*
6,398‌
3,298
Shake
Shack,
Inc.,
Class
A*
343,091‌
4,527
Six
Flags
Entertainment
Corp.*
119,151‌
1,870
Soho
House
&
Co.,
Inc.*
10,603‌
845
Sweetgreen
,
Inc.,
Class
A*
21,345‌
632
Texas
Roadhouse,
Inc.
97,625‌
5,527
Travel
+
Leisure
Co.
270,602‌
5,103
United
Parks
&
Resorts,
Inc.*
286,840‌
15,354
Wendy's
Co.
(The)
289,269‌
1,312
Wingstop
,
Inc.
480,717‌
2,164
Wyndham
Hotels
&
Resorts,
Inc.
166,087‌
5,917,153‌
Household
Durables
(2.6%):
608
Bassett
Furniture
Industries,
Inc.
8,974‌
3,160
Beazer
Homes
USA,
Inc.*
103,648‌
713
Cavco
Industries,
Inc.*
284,530‌
3,006
Century
Communities,
Inc.
290,079‌
2,505
Ethan
Allen
Interiors,
Inc.
86,598‌
820
Flexsteel
Industries,
Inc.
30,586‌
Shares
Value
Common
Stocks,
continued
Household
Durables,
continued
7,358
GoPro,
Inc.,
Class
A*
$
16,408‌
1,624
Green
Brick
Partners,
Inc.*
97,814‌
2,142
Helen
of
Troy,
Ltd.*
246,844‌
670
Hooker
Furnishings
Corp.
16,087‌
347
Hovnanian
Enterprises,
Inc.,
Class
A*
54,458‌
2,314
Installed
Building
Products,
Inc.
598,701‌
1,482
iRobot
Corp.*
12,982‌
4,791
KB
Home
339,586‌
1,138
Koss
Corp.*
2,925‌
800
Landsea
Homes
Corp.*
11,624‌
4,680
La-Z-Boy,
Inc.
176,062‌
1,413
Legacy
Housing
Corp.*
30,408‌
6,614
Leggett
&
Platt,
Inc.
126,658‌
2,144
LGI
Homes,
Inc.*
249,497‌
2,522
Lifetime
Brands,
Inc.
26,431‌
625
Lovesac
Co.
(The)*
14,125‌
1,513
M/I
Homes,
Inc.*
206,207‌
773
MDC
Holdings,
Inc.
48,629‌
1,818
Meritage
Homes
Corp.
318,986‌
1,255
Mohawk
Industries,
Inc.*
164,267‌
6,102
Newell
Brands,
Inc.
48,999‌
9,527
Purple
Innovation,
Inc.
16,577‌
1,075
SharkNinja
,
Inc.
66,962‌
4,598
Skyline
Champion
Corp.*
390,876‌
9,581
Sonos
,
Inc.*
182,614‌
9,126
Taylor
Morrison
Home
Corp.*
567,363‌
4,515
Tempur
Sealy
International,
Inc.
256,542‌
8,624
Tri
Pointe
Homes,
Inc.*
333,404‌
798
Universal
Electronics,
Inc.*
7,988‌
2,661
Vizio
Holding
Corp.,
Class
A*
29,111‌
498
Whirlpool
Corp.
59,576‌
4,664
Worthington
Enterprises,
Inc.
290,241‌
5,813,367‌
Household
Products
(0.5%):
1,235
Central
Garden
&
Pet
Co.*
52,895‌
4,903
Central
Garden
&
Pet
Co.,
Class
A*
181,019‌
780
Oil-
Dri
Corp.
of
America
58,157‌
7,981
Reynolds
Consumer
Products,
Inc.
227,937‌
3,022
Spectrum
Brands
Holdings,
Inc.
268,988‌
1,195
WD-40
Co.
302,706‌
1,091,702‌
Independent
Power
and
Renewable
Electricity
Producers
(0.3%):
2,245
Clearway
Energy,
Inc.,
Class
A
48,290‌
3,475
Clearway
Energy,
Inc.,
Class
C
80,099‌
2,957
Montauk
Renewables,
Inc.*
12,301‌
5,289
Ormat
Technologies,
Inc.
350,079‌
11,366
Sunnova
Energy
International,
Inc.*
69,673‌
560,442‌
Insurance
(3.3%):
4,463
Ambac
Financial
Group,
Inc.*
69,757‌
9,019
American
Equity
Investment
Life
Holding
Co.*
507,048‌
2,102
AMERISAFE,
Inc.
105,457‌
4,377
Assured
Guaranty,
Ltd.
381,893‌
5,537
Axis
Capital
Holdings,
Ltd.
360,016‌
5,181
Brighthouse
Financial,
Inc.*
267,029‌
5,658
BRP
Group,
Inc.,
Class
A*
163,743‌
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
66
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Insurance,
continued
451
CNO
Financial
Group,
Inc.
$
12,393‌
2,876
Crawford
&
Co.,
Class
A
27,121‌
3,445
Crawford
&
Co.,
Class
B
31,246‌
3,777
Donegal
Group,
Inc.,
Class
A
53,407‌
1,337
eHealth,
Inc.*
8,062‌
2,911
Employers
Holdings,
Inc.
132,130‌
1,252
Enstar
Group,
Ltd.*
389,072‌
5,076
First
American
Financial
Corp.
309,890‌
2,527
Fundamental
Global,
Inc.*
3,487‌
29,676
Genworth
Financial,
Inc.*
190,817‌
1,161
Goosehead
Insurance,
Inc.,
Class
A*
77,346‌
4,998
Greenlight
Capital
Re,
Ltd.,
Class
A*
62,325‌
2,888
Hanover
Insurance
Group,
Inc.
(The)
393,259‌
489
HCI
Group,
Inc.
56,763‌
1,369
Heritage
Insurance
Holdings,
Inc.*
14,580‌
4,168
Horace
Mann
Educators
Corp.
154,174‌
135
Investors
Title
Co.
22,031‌
3,776
James
River
Group
Holdings,
Ltd.
35,117‌
5,318
Kemper
Corp.
329,291‌
1,473
Kingstone
Cos.,
Inc.*
6,555‌
2,079
Lincoln
National
Corp.
66,382‌
5,949
Maiden
Holdings,
Ltd.*
13,385‌
4,857
Mercury
General
Corp.
250,621‌
375
National
Western
Life
Group,
Inc.,
Class
A
184,485‌
929
NI
Holdings,
Inc.*
14,074‌
6,373
Old
Republic
International
Corp.
195,779‌
839
Oscar
Health,
Inc.,
Class
A*
12,476‌
1,294
Primerica,
Inc.
327,330‌
5,241
ProAssurance
Corp.
67,399‌
3,174
RLI
Corp.
471,244‌
1,548
Safety
Insurance
Group,
Inc.
127,230‌
4,757
Selective
Insurance
Group,
Inc.
519,322‌
12,459
SiriusPoint
,
Ltd.*
158,354‌
2,858
Stewart
Information
Services
Corp.
185,941‌
4,224
Tiptree,
Inc.
72,991‌
3,007
United
Fire
Group,
Inc.
65,462‌
3,710
Universal
Insurance
Holdings,
Inc.
75,387‌
207
White
Mountains
Insurance
Group,
Ltd.
371,420‌
7,343,291‌
Interactive
Media
&
Services
(0.7%):
3,144
Angi
,
Inc.*
8,237‌
5,206
Bumble,
Inc.,
Class
A*
59,088‌
8,288
Cargurus
,
Inc.*
191,287‌
5,622
Cars.com,
Inc.*
96,586‌
2,200
DHI
Group,
Inc.*
5,610‌
2,393
Eventbrite,
Inc.,
Class
A*
13,114‌
673
MediaAlpha
,
Inc.,
Class
A*
13,709‌
6,656
QuinStreet
,
Inc.*
117,545‌
3,102
Shutterstock
,
Inc.
142,103‌
1,095
Travelzoo
*
11,147‌
9,123
TripAdvisor,
Inc.*
253,528‌
11,137
TrueCar
,
Inc.*
37,755‌
3,726
Vimeo,
Inc.*
15,239‌
6,503
Yelp,
Inc.*
256,218‌
3,909
Ziff
Davis,
Inc.*
246,423‌
694
ZipRecruiter,
Inc.*
7,974‌
5,459
ZoomInfo
Technologies,
Inc.*
87,508‌
1,563,071‌
Shares
Value
Common
Stocks,
continued
IT
Services
(0.4%):
1,700
Brightcove
,
Inc.*
$
3,298‌
1,516
CSP,
Inc.
27,985‌
2,734
DigitalOcean
Holdings,
Inc.*
104,384‌
6,761
DXC
Technology
Co.*
143,401‌
259
Edgio
,
Inc.*
2,499‌
6,592
Fastly
,
Inc.,
Class
A*
85,498‌
4,258
Grid
Dynamics
Holdings,
Inc.*
52,331‌
2,529
Hackett
Group,
Inc.
(The)
61,455‌
1,300
Information
Services
Group,
Inc.
5,252‌
9,426
Kyndryl
Holdings,
Inc.*
205,110‌
2,877
Perficient
,
Inc.*
161,946‌
4,235
Unisys
Corp.*
20,794‌
873,953‌
Leisure
Products
(0.9%):
5,375
Acushnet
Holdings
Corp.
354,481‌
1,271
American
Outdoor
Brands,
Inc.*
11,185‌
2,357
Brunswick
Corp.
227,498‌
1,402
Escalade,
Inc.
19,278‌
2,876
Funko
,
Inc.,
Class
A*
17,946‌
1,135
Hasbro,
Inc.
64,150‌
1,267
Johnson
Outdoors,
Inc.,
Class
A
58,421‌
1,956
Malibu
Boats,
Inc.,
Class
A*
84,656‌
3,527
Marine
Products
Corp.
41,442‌
1,734
MasterCraft
Boat
Holdings,
Inc.*
41,131‌
8,431
Mattel,
Inc.*
167,018‌
1,909
Polaris,
Inc.
191,129‌
4,406
Smith
&
Wesson
Brands,
Inc.
76,488‌
2,044
Solo
Brands,
Inc.,
Class
A*
4,436‌
10,855
Topgolf
Callaway
Brands
Corp.*
175,525‌
4,296
Vista
Outdoor,
Inc.*
140,823‌
6,555
YETI
Holdings,
Inc.*
252,695‌
1,928,302‌
Life
Sciences
Tools
&
Services
(0.4%):
3,215
10X
Genomics,
Inc.,
Class
A*
120,659‌
13,233
Adaptive
Biotechnologies
Corp.*
42,478‌
1,229
Azenta
,
Inc.*
74,084‌
3,370
BioLife
Solutions,
Inc.*
62,514‌
2,937
Codexis
,
Inc.*
10,250‌
1,999
CryoPort
,
Inc.*
35,382‌
1,219
Cytek
Biosciences,
Inc.*
8,179‌
5,439
Harvard
Bioscience,
Inc.*
23,061‌
4,788
Maravai
LifeSciences
Holdings,
Inc.,
Class
A*
41,512‌
522
Mesa
Laboratories,
Inc.
57,279‌
4,067
OmniAb
,
Inc.*
22,043‌
17,553
Pacific
Biosciences
of
California,
Inc.*
65,824‌
647
Personalis
,
Inc.*
964‌
3,541
Quanterix
Corp.*
83,426‌
15,049
Sotera
Health
Co.*
180,739‌
828,394‌
Machinery
(4.8%):
5,892
3D
Systems
Corp.*
26,160‌
1,167
AGCO
Corp.
143,564‌
1,034
Alamo
Group,
Inc.
236,093‌
2,622
Albany
International
Corp.
245,183‌
6,645
Allison
Transmission
Holdings,
Inc.
539,308‌
806
Art's-Way
Manufacturing
Co.,
Inc.*
1,644‌
2,342
Astec
Industries,
Inc.
102,369‌
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
67
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Machinery,
continued
4,717
Barnes
Group,
Inc.
$
175,237‌
433
Blue
Bird
Corp.*
16,601‌
2,716
Columbus
McKinnon
Corp.
121,215‌
4,961
Commercial
Vehicle
Group,
Inc.*
31,899‌
2,283
Crane
Co.
308,502‌
887
Donaldson
Co.,
Inc.
66,241‌
2,646
Douglas
Dynamics,
Inc.
63,822‌
500
Eastern
Co.
(The)
17,045‌
5,334
Energy
Recovery,
Inc.*
84,224‌
4,682
Enerpac
Tool
Group
Corp.
166,960‌
1,894
Enpro
,
Inc.
319,650‌
1,739
Esab
Corp.
192,281‌
2,311
ESCO
Technologies,
Inc.
247,393‌
5,141
Federal
Signal
Corp.
436,317‌
9,916
Flowserve
Corp.
452,963‌
3,813
Franklin
Electric
Co.,
Inc.
407,267‌
11,667
Gates
Industrial
Corp.
plc*
206,623‌
2,514
Gencor
Industries,
Inc.*
41,959‌
1,794
Gorman-Rupp
Co.
(The)
70,953‌
459
Graham
Corp.*
12,522‌
3,262
Greenbrier
Cos.,
Inc.
(The)
169,950‌
2,837
Helios
Technologies,
Inc.
126,786‌
4,894
Hillenbrand,
Inc.
246,119‌
1,170
Hurco
Cos.,
Inc.
23,587‌
1,014
Hyster
-Yale
Materials
Handling,
Inc.
65,068‌
219
ITT,
Inc.
29,791‌
2,900
John
Bean
Technologies
Corp.
304,181‌
951
Kadant
,
Inc.
312,023‌
7,094
Kennametal,
Inc.
176,924‌
1,529
L.B.
Foster
Co.,
Class
A*
41,757‌
1,058
Lindsay
Corp.
124,484‌
3,189
Luxfer
Holdings
plc
33,070‌
3,228
Manitex
International,
Inc.*
22,144‌
2,653
Manitowoc
Co.,
Inc.
(The)*
37,513‌
589
Mayville
Engineering
Co.,
Inc.*
8,440‌
535
Middleby
Corp.
(The)*
86,023‌
1,424
Miller
Industries,
Inc.
71,342‌
8,666
Mueller
Industries,
Inc.
467,357‌
13,246
Mueller
Water
Products,
Inc.,
Class
A
213,128‌
3,562
NN,
Inc.*
16,884‌
920
Omega
Flex,
Inc.
65,256‌
3,102
Oshkosh
Corp.
386,850‌
1,229
Park-Ohio
Holdings
Corp.
32,790‌
2,556
Proto
Labs,
Inc.*
91,377‌
579
RBC
Bearings,
Inc.*
156,533‌
6,810
REV
Group,
Inc.
150,433‌
3,869
Shyft
Group,
Inc.
(The)
48,053‌
3,392
SPX
Technologies,
Inc.*
417,657‌
952
Standex
International
Corp.
173,473‌
466
Taylor
Devices,
Inc.*
23,193‌
1,591
Tennant
Co.
193,482‌
5,603
Terex
Corp.
360,833‌
3,793
Timken
Co.
(The)
331,622‌
6,175
Titan
International,
Inc.*
76,941‌
7,208
Trinity
Industries,
Inc.
200,743‌
1,747
Twin
Disc,
Inc.
28,878‌
4,168
Wabash
National
Corp.
124,790‌
2,097
Watts
Water
Technologies,
Inc.,
Class
A
445,717‌
10,619,187‌
Shares
Value
Common
Stocks,
continued
Marine
Transportation
(0.4%):
9,113
Costamare
,
Inc.
$
103,433‌
290
Eagle
Bulk
Shipping,
Inc.
18,116‌
4,090
Genco
Shipping
&
Trading,
Ltd.
83,150‌
4,186
Kirby
Corp.*
399,009‌
3,317
Matson,
Inc.
372,831‌
976,539‌
Media
(0.8%):
6,248
Altice
USA,
Inc.,
Class
A*
16,307‌
3,441
AMC
Networks,
Inc.,
Class
A*
41,739‌
3,595
Boston
Omaha
Corp.,
Class
A*
55,579‌
21
Cable
One,
Inc.
8,886‌
1,276
Cardlytics,
Inc.*
18,489‌
391
comScore,
Inc.*
6,021‌
139
Daily
Journal
Corp.*
50,264‌
976
DallasNews
Corp.
3,728‌
10,295
Entravision
Communications
Corp.,
Class
A
16,884‌
6,737
EW
Scripps
Co.
(The),
Class
A*
26,476‌
1,002
Gambling.com
Group,
Ltd.*
9,148‌
5,880
Gannett
Co,
Inc.*
14,347‌
7,507
Gray
Television,
Inc.
47,444‌
7,600
Integral
Ad
Science
Holding
Corp.*
75,772‌
4,285
John
Wiley
&
Sons,
Inc.,
Class
A
163,387‌
538
Liberty
Broadband
Corp.,
Class
C*
30,790‌
5,805
Magnite
,
Inc.*
62,404‌
348
Marchex
,
Inc.,
Class
B*
477‌
4,316
New
York
Times
Co.
(The),
Class
A
186,537‌
911
Nexstar
Media
Group,
Inc.
156,956‌
7,702
Paramount
Global,
Class
B
90,653‌
2,614
PubMatic,
Inc.,
Class
A*
62,004‌
3,170
Scholastic
Corp.
119,541‌
1,907
Sinclair,
Inc.
25,687‌
7,113
Stagwell
,
Inc.*
44,243‌
3,284
TechTarget
,
Inc.*
108,635‌
10,206
TEGNA,
Inc.
152,478‌
3,183
Thryv
Holdings,
Inc.*
70,758‌
4,009
WideOpenWest
,
Inc.*
14,513‌
1,680,147‌
Metals
&
Mining
(2.1%):
2,156
Alcoa
Corp.
72,851‌
1,262
Alpha
Metallurgical
Resources,
Inc.
417,937‌
2,124
Ampco
-Pittsburgh
Corp.*
4,609‌
1,706
Arch
Resources,
Inc.
274,308‌
1,338
Ascent
Industries
Co.*
13,634‌
9,701
ATI,
Inc.*
496,400‌
4,363
Carpenter
Technology
Corp.
311,605‌
10,293
Century
Aluminum
Co.*
158,409‌
27,193
Coeur
Mining,
Inc.*
102,518‌
9,748
Commercial
Metals
Co.
572,890‌
3,655
Compass
Minerals
International,
Inc.
57,530‌
15,692
Ferroglobe
plc
78,146‌
515
Fortitude
Gold
Corp.
2,812‌
1,311
Haynes
International,
Inc.
78,817‌
49,711
Hecla
Mining
Co.
239,110‌
754
Kaiser
Aluminum
Corp.
67,377‌
1,808
Materion
Corp.
238,204‌
937
McEwen
Mining,
Inc.*
9,239‌
4,513
Metallus
,
Inc.*
100,414‌
10,635
MP
Materials
Corp.*
152,081‌
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
68
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Metals
&
Mining,
continued
665
Olympic
Steel,
Inc.
$
47,135‌
2,862
Radius
Recycling,
Inc.
60,474‌
807
Royal
Gold,
Inc.
98,301‌
2,761
Ryerson
Holding
Corp.
92,493‌
6,647
SunCoke
Energy,
Inc.
74,912‌
2,908
Tredegar
Corp.
18,960‌
9,051
United
States
Steel
Corp.
369,100‌
1,458
Universal
Stainless
&
Alloy
Products,
Inc.*
32,688‌
2,207
Warrior
Met
Coal,
Inc.
133,965‌
5,028
Worthington
Steel,
Inc.
180,254‌
4,557,173‌
Multi-Utilities
(0.4%):
6,708
Avista
Corp.
234,914‌
5,511
Black
Hills
Corp.
300,901‌
5,408
Northwestern
Energy
Group,
Inc.
275,429‌
1,588
Unitil
Corp.
83,132‌
894,376‌
Oil,
Gas
&
Consumable
Fuels
(4.4%):
2,827
Amplify
Energy
Corp.*
18,686‌
36,413
Antero
Midstream
Corp.
511,967‌
3,591
Antero
Resources
Corp.*
104,139‌
3,948
Ardmore
Shipping
Corp.
64,826‌
9,758
Berry
Corp.
78,552‌
5,609
California
Resources
Corp.
309,056‌
4,863
Callon
Petroleum
Co.*
173,901‌
882
Centrus
Energy
Corp.,
Class
A*
36,629‌
735
Chord
Energy
Corp.
131,006‌
2,610
Civitas
Resources,
Inc.
198,125‌
21,990
Clean
Energy
Fuels
Corp.*
58,933‌
14,051
CNX
Resources
Corp.*
333,290‌
17,410
Comstock
Resources,
Inc.
161,565‌
2,872
CONSOL
Energy,
Inc.
240,559‌
8,027
CVR
Energy,
Inc.
286,243‌
6,165
Delek
US
Holdings,
Inc.
189,512‌
15,281
DHT
Holdings,
Inc.
175,732‌
4,120
Dorian
LPG,
Ltd.
158,455‌
2,631
DT
Midstream,
Inc.
160,754‌
3,500
Encore
Energy
Corp.*
15,330‌
35,592
EnLink
Midstream
LLC
485,475‌
19,166
Equitrans
Midstream
Corp.
239,383‌
2,943
Evolution
Petroleum
Corp.
18,070‌
5,794
FutureFuel
Corp.
46,642‌
5,232
Green
Plains,
Inc.*
120,964‌
824
Gulfport
Energy
Corp.*
131,939‌
3,562
International
Seaways,
Inc.
189,498‌
3,167
Kinetik
Holdings,
Inc.
126,268‌
35,919
Kosmos
Energy,
Ltd.*
214,077‌
13,505
Magnolia
Oil
&
Gas
Corp.,
Class
A
350,455‌
4,763
Matador
Resources
Co.
318,026‌
8,623
Murphy
Oil
Corp.
394,071‌
245
NACCO
Industries,
Inc.,
Class
A
7,399‌
2,623
New
Fortress
Energy,
Inc.
80,238‌
19,107
Nordic
American
Tankers,
Ltd.
74,899‌
897
Northern
Oil
and
Gas,
Inc.
35,593‌
5,300
Overseas
Shipholding
Group,
Inc.,
Class
A
33,920‌
5,769
Par
Pacific
Holdings,
Inc.*
213,799‌
8,951
PBF
Energy,
Inc.,
Class
A
515,309‌
11,090
Peabody
Energy
Corp.
269,043‌
Shares
Value
Common
Stocks,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
2,410
PHX
Minerals,
Inc.
$
8,218‌
6
PrimeEnergy
Resources
Corp.*
601‌
8,178
Range
Resources
Corp.
281,569‌
1,817
REX
American
Resources
Corp.*
106,676‌
4,515
SandRidge
Energy,
Inc.
65,784‌
4,627
Scorpio
Tankers,
Inc.
331,062‌
11,301
SFL
Corp.,
Ltd.
148,947‌
982
SilverBow
Resources,
Inc.*
33,525‌
3,500
Sitio
Royalties
Corp.,
Class
A
86,520‌
8,873
SM
Energy
Co.
442,319‌
40,654
Southwestern
Energy
Co.*
308,157‌
8,844
Talos
Energy,
Inc.*
123,197‌
6,156
Teekay
Corp.*
44,816‌
2,668
Teekay
Tankers,
Ltd.,
Class
A
155,838‌
14,059
Uranium
Energy
Corp.*
94,898‌
1,542
Vital
Energy,
Inc.*
81,017‌
11,767
W&T
Offshore,
Inc.
31,183‌
5,268
World
Kinect
Corp.
139,339‌
9,755,994‌
Paper
&
Forest
Products
(0.3%):
1,958
Clearwater
Paper
Corp.*
85,623‌
3,299
Glatfelter
Corp.*
6,598‌
6,048
Louisiana-Pacific
Corp.
507,488‌
7,454
Mercer
International,
Inc.
74,167‌
851
Sylvamo
Corp.
52,541‌
726,417‌
Passenger
Airlines
(0.6%):
10,366
Alaska
Air
Group,
Inc.*
445,634‌
1,668
Allegiant
Travel
Co.
125,450‌
3,400
Blade
Air
Mobility,
Inc.*
9,690‌
1,769
Copa
Holdings
SA,
Class
A
184,259‌
1,436
Frontier
Group
Holdings,
Inc.*
11,646‌
6,778
Hawaiian
Holdings,
Inc.*
90,351‌
25,978
JetBlue
Airways
Corp.*
192,757‌
4,173
SkyWest,
Inc.*
288,271‌
7,810
Spirit
Airlines,
Inc.
37,801‌
2,159
Sun
Country
Airlines
Holdings,
Inc.*
32,579‌
1,418,438‌
Personal
Care
Products
(0.9%):
3,738
Beauty
Health
Co.
(The)*
16,597‌
9,485
BellRing
Brands,
Inc.*
559,900‌
4,686
Edgewell
Personal
Care
Co.
181,067‌
2,478
elf
Beauty,
Inc.*
485,762‌
4,508
Herbalife,
Ltd.*
45,305‌
2,661
Inter
Parfums
,
Inc.
373,897‌
900
Lifevantage
Corp.
5,445‌
1,046
Medifast
,
Inc.
40,083‌
1,387
Natural
Alternatives
International,
Inc.*
8,447‌
369
Natural
Health
Trends
Corp.
2,472‌
2,335
Nature's
Sunshine
Products,
Inc.*
48,498‌
4,261
Nu
Skin
Enterprises,
Inc.,
Class
A
58,930‌
340
United-Guardian,
Inc.
2,628‌
1,873
USANA
Health
Sciences,
Inc.*
90,840‌
1,919,871‌
Pharmaceuticals
(1.3%):
1,113
Aclaris
Therapeutics,
Inc.*
1,380‌
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
69
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Pharmaceuticals,
continued
9,876
Amneal
Pharmaceuticals,
Inc.*
$
59,849‌
3,800
Amphastar
Pharmaceuticals,
Inc.*
166,858‌
1,824
ANI
Pharmaceuticals,
Inc.*
126,093‌
464
Arvinas
,
Inc.*
19,154‌
1,693
Assertio
Holdings,
Inc.*
1,624‌
961
Catalent
,
Inc.*
54,249‌
3,130
Collegium
Pharmaceutical,
Inc.*
121,507‌
8,031
Corcept
Therapeutics,
Inc.*
202,301‌
3,415
Cumberland
Pharmaceuticals,
Inc.*
5,737‌
11,175
Elanco
Animal
Health,
Inc.*
181,929‌
1,163
EyePoint
Pharmaceuticals,
Inc.*
24,039‌
969
Fulcrum
Therapeutics,
Inc.*
9,147‌
4,130
Harmony
Biosciences
Holdings,
Inc.*
138,685‌
7,015
Innoviva
,
Inc.*
106,909‌
350
Intra-Cellular
Therapies,
Inc.*
24,220‌
1,140
Jazz
Pharmaceuticals
plc*
137,279‌
1,693
Ligand
Pharmaceuticals,
Inc.*
123,758‌
10,744
Nektar
Therapeutics*
10,037‌
882
NGM
Biopharmaceuticals,
Inc.*
1,402‌
7,543
Organon
&
Co.
141,808‌
4,377
Pacira
BioSciences
,
Inc.*
127,896‌
9,320
Perrigo
Co.
plc
300,011‌
2,388
Phibro
Animal
Health
Corp.,
Class
A
30,877‌
4,591
Prestige
Consumer
Healthcare,
Inc.*
333,123‌
420
Relmada
Therapeutics,
Inc.*
1,953‌
911
scPharmaceuticals
,
Inc.*
4,573‌
5,073
SIGA
Technologies,
Inc.
43,425‌
4,909
Supernus
Pharmaceuticals,
Inc.*
167,446‌
2,116
Taro
Pharmaceutical
Industries,
Ltd.*
89,591‌
3,288
Terns
Pharmaceuticals,
Inc.*
21,569‌
352
Ventyx
Biosciences,
Inc.*
1,936‌
855
Xeris
Biopharma
Holdings,
Inc.*
1,890‌
2,782,255‌
Professional
Services
(2.9%):
4,207
Alight,
Inc.,
Class
A*
41,439‌
4,073
ASGN,
Inc.*
426,688‌
935
Asure
Software,
Inc.*
7,274‌
670
Barrett
Business
Services,
Inc.
84,902‌
496
CACI
International,
Inc.,
Class
A*
187,900‌
4,344
CBIZ,
Inc.*
341,004‌
3,175
Clarivate
plc*
23,590‌
1,628
Concentrix
Corp.
107,806‌
24,230
Conduent
,
Inc.*
81,897‌
490
CRA
International,
Inc.
73,294‌
2,395
CSG
Systems
International,
Inc.
123,438‌
9,712
Dun
&
Bradstreet
Holdings,
Inc.
97,509‌
12,997
ExlService
Holdings,
Inc.*
413,305‌
3,948
Exponent,
Inc.
326,460‌
2,254
Forrester
Research,
Inc.*
48,596‌
1,460
Franklin
Covey
Co.*
57,320‌
656
FTI
Consulting,
Inc.*
137,950‌
2,037
Genpact
,
Ltd.
67,119‌
2,543
Heidrick
&
Struggles
International,
Inc.
85,597‌
1,095
HireRight
Holdings
Corp.*
15,626‌
1,874
Huron
Consulting
Group,
Inc.*
181,066‌
1,077
IBEX
Holdings,
Ltd.*
16,618‌
1,636
ICF
International,
Inc.
246,431‌
2,835
Insperity
,
Inc.
310,744‌
668
KBR,
Inc.
42,525‌
Shares
Value
Common
Stocks,
continued
Professional
Services,
continued
3,977
Kelly
Services,
Inc.,
Class
A
$
99,584‌
1,724
Kforce
,
Inc.
121,577‌
4,729
Korn
Ferry
310,979‌
2,210
Legalzoom.com,
Inc.*
29,481‌
1,919
ManpowerGroup
,
Inc.
148,991‌
1,332
Mastech
Digital,
Inc.*
11,988‌
3,715
Maximus,
Inc.
311,689‌
3,943
Mistras
Group,
Inc.*
37,695‌
1,409
NV5
Global,
Inc.*
138,096‌
5,163
Parsons
Corp.*
428,271‌
3,871
Paycor
HCM,
Inc.*
75,252‌
10,167
Planet
Labs
PBC*
25,926‌
4,105
Resources
Connection,
Inc.
54,022‌
3,126
Science
Applications
International
Corp.
407,599‌
1,400
TaskUS
,
Inc.,
Class
A*
16,310‌
2,657
TriNet
Group,
Inc.
352,026‌
3,174
TrueBlue
,
Inc.*
39,739‌
4,590
TTEC
Holdings,
Inc.
47,598‌
3,489
Upwork
,
Inc.*
42,775‌
8,419
Verra
Mobility
Corp.*
210,222‌
505
Willdan
Group,
Inc.*
14,640‌
6,470,558‌
Real
Estate
Management
&
Development
(0.8%):
1,064
AMREP
Corp.*
24,727‌
3,740
Anywhere
Real
Estate,
Inc.*
23,113‌
395
CKX
Lands,
Inc.*
5,214‌
10,668
Compass,
Inc.,
Class
A*
38,405‌
15,704
Cushman
&
Wakefield
plc*
164,264‌
3,547
DigitalBridge
Group,
Inc.
68,351‌
12,237
Douglas
Elliman
,
Inc.
19,334‌
913
eXp
World
Holdings,
Inc.
9,431‌
1,627
Five
Point
Holdings
LLC,
Class
A*
5,092‌
5,226
Forestar
Group,
Inc.*
210,033‌
971
FRP
Holdings,
Inc.*
59,619‌
4,346
Howard
Hughes
Holdings,
Inc.*
315,607‌
10
J.W.
Mays,
Inc.*
450‌
12,649
Kennedy-Wilson
Holdings,
Inc.
108,528‌
3,651
Marcus
&
Millichap,
Inc.
124,755‌
1,035
Maui
Land
&
Pineapple
Co.,
Inc.*
22,418‌
14,380
Newmark
Group,
Inc.,
Class
A
159,474‌
13,559
Opendoor
Technologies,
Inc.*
41,084‌
1,207
Rafael
Holdings,
Inc.,
Class
B*
2,076‌
688
RE/MAX
Holdings,
Inc.
6,034‌
2,198
RMR
Group,
Inc.
(The),
Class
A
52,752‌
5,104
St.
Joe
Co.
(The)
295,879‌
308
Stratus
Properties,
Inc.*
7,032‌
3,773
Tejon
Ranch
Co.*
58,142‌
1,821,814‌
Semiconductors
&
Semiconductor
Equipment
(3.0%):
1,931
Aehr
Test
Systems*
23,944‌
4,098
Allegro
MicroSystems
,
Inc.*
110,482‌
2,944
Alpha
&
Omega
Semiconductor,
Ltd.*
64,886‌
3,209
Ambarella
,
Inc.*
162,921‌
11,837
Amkor
Technology,
Inc.
381,625‌
1,301
Amtech
Systems,
Inc.*
7,038‌
2,714
Axcelis
Technologies,
Inc.*
302,665‌
2,777
AXT,
Inc.*
12,746‌
2,382
CEVA,
Inc.*
54,095‌
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
70
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Semiconductors
&
Semiconductor
Equipment,
continued
4,473
Cirrus
Logic,
Inc.*
$
414,021‌
4,518
Cohu
,
Inc.*
150,585‌
5,352
Credo
Technology
Group
Holding,
Ltd.*
113,409‌
3,895
Diodes,
Inc.*
274,598‌
2,057
Everspin
Technologies,
Inc.*
16,291‌
6,794
FormFactor
,
Inc.*
310,010‌
4,679
GSI
Technology,
Inc.*
15,909‌
3,150
Ichor
Holdings,
Ltd.*
121,653‌
1,349
inTEST
Corp.*
17,874‌
5,112
Kulicke
&
Soffa
Industries,
Inc.
257,185‌
4,502
MACOM
Technology
Solutions
Holdings,
Inc.*
430,571‌
4,444
Magnachip
Semiconductor
Corp.*
24,798‌
7,379
MaxLinear
,
Inc.*
137,766‌
534
MKS
Instruments,
Inc.
71,022‌
3,121
Navitas
Semiconductor
Corp.*
14,887‌
739
NVE
Corp.
66,643‌
3,680
Onto
Innovation,
Inc.*
666,374‌
3,423
PDF
Solutions,
Inc.*
115,252‌
4,690
Photronics
,
Inc.*
132,821‌
2,109
Pixelworks
,
Inc.*
5,441‌
4,754
Power
Integrations,
Inc.
340,149‌
4,581
Rambus,
Inc.*
283,152‌
5,490
Semtech
Corp.*
150,920‌
2,296
Silicon
Laboratories,
Inc.*
329,981‌
463
SiTime
Corp.*
43,166‌
2,252
SMART
Global
Holdings,
Inc.*
59,273‌
3,363
Synaptics
,
Inc.*
328,094‌
4,350
Ultra
Clean
Holdings,
Inc.*
199,839‌
1,328
Universal
Display
Corp.
223,702‌
4,871
Veeco
Instruments,
Inc.*
171,313‌
6,607,101‌
Software
(3.6%):
8,280
A10
Networks,
Inc.
113,353‌
9,516
ACI
Worldwide,
Inc.*
316,026‌
9,800
Adeia
,
Inc.
107,016‌
2,830
Agilysys
,
Inc.*
238,456‌
4,477
Alarm.com
Holdings,
Inc.*
324,448‌
1,066
Alkami
Technology,
Inc.*
26,192‌
3,451
Altair
Engineering,
Inc.,
Class
A*
297,304‌
3,072
American
Software,
Inc.,
Class
A
35,174‌
7,298
AvePoint
,
Inc.*
57,800‌
2,785
Aware,
Inc.*
5,208‌
1,976
BILL
Holdings,
Inc.*
135,791‌
4,494
Blackbaud
,
Inc.*
333,185‌
11,848
Box,
Inc.,
Class
A*
335,535‌
6,409
CCC
Intelligent
Solutions
Holdings,
Inc.*
76,652‌
2,942
Cerence
,
Inc.*
46,336‌
7,140
Cleanspark
,
Inc.*
151,439‌
3,427
CommVault
Systems,
Inc.*
347,601‌
2,247
Consensus
Cloud
Solutions,
Inc.*
35,637‌
7,972
DoubleVerify
Holdings,
Inc.*
280,296‌
2,945
Dropbox,
Inc.,
Class
A*
71,563‌
5,396
E2open
Parent
Holdings,
Inc.*
23,958‌
1,400
eGain
Corp.*
9,030‌
4,266
Envestnet
,
Inc.*
247,044‌
1,893
Everbridge
,
Inc.*
65,933‌
7,337
Freshworks
,
Inc.,
Class
A*
133,607‌
2,787
Guidewire
Software,
Inc.*
325,271‌
2,645
HashiCorp
,
Inc.,
Class
A*
71,283‌
Shares
Value
Common
Stocks,
continued
Software,
continued
1,910
Informatica
,
Inc.,
Class
A*
$
66,850‌
1,029
Intapp
,
Inc.*
35,295‌
2,150
InterDigital
,
Inc.
228,889‌
6,619
Jamf
Holding
Corp.*
121,459‌
4,429
JFrog
,
Ltd.*
195,850‌
6,678
LiveRamp
Holdings,
Inc.*
230,391‌
9,933
Matterport
,
Inc.*
22,449‌
594
MeridianLink
,
Inc.*
11,108‌
4,178
Mitek
Systems,
Inc.*
58,910‌
2,242
Model
N,
Inc.*
63,830‌
3,696
N-able,
Inc.*
48,307‌
1,206
nCino
,
Inc.*
45,080‌
11,365
NCR
Voyix
Corp.*
143,540‌
4,082
Olo
,
Inc.,
Class
A*
22,410‌
2,642
ON24,
Inc.
18,864‌
3,431
OneSpan
,
Inc.*
39,903‌
6,795
PowerSchool
Holdings,
Inc.*
144,666‌
3,574
Progress
Software
Corp.
190,530‌
1,486
Q2
Holdings,
Inc.*
78,104‌
2,916
Qualys
,
Inc.*
486,593‌
7,922
Rimini
Street,
Inc.*
25,826‌
1,258
Riot
Platforms,
Inc.*
15,398‌
3,449
Sapiens
International
Corp.
NV
110,920‌
3,865
SentinelOne
,
Inc.,
Class
A*
90,093‌
491
Smartsheet
,
Inc.,
Class
A*
18,903‌
5,797
SolarWinds
Corp.*
73,158‌
539
SoundThinking
,
Inc.*
8,559‌
2,369
Sprinklr
,
Inc.,
Class
A*
29,068‌
2,387
SPS
Commerce,
Inc.*
441,356‌
6
Synchronoss
Technologies,
Inc.*
50‌
2,600
Telos
Corp.*
10,816‌
7,634
Teradata
Corp.*
295,207‌
3,856
Terawulf
,
Inc.*
10,141‌
870
Upland
Software,
Inc.*
2,688‌
1,495
Varonis
Systems,
Inc.*
70,519‌
5,881
Verint
Systems,
Inc.*
194,955‌
2,808
Vertex,
Inc.,
Class
A*
89,182‌
3,188
Xperi
,
Inc.*
38,447‌
5,793
Yext
,
Inc.*
34,932‌
8,024,384‌
Specialty
Retail
(3.5%):
2,021
1-800-Flowers.com,
Inc.,
Class
A*
21,887‌
3,889
Aaron's
Co.,
Inc.
(The)
29,168‌
4,840
Abercrombie
&
Fitch
Co.*
606,597‌
5,892
Academy
Sports
&
Outdoors,
Inc.
397,946‌
16,719
American
Eagle
Outfitters,
Inc.
431,183‌
840
America's
Car-Mart,
Inc.*
53,651‌
1,082
Arhaus
,
Inc.
16,652‌
7,086
Arko
Corp.
40,390‌
1,669
Asbury
Automotive
Group,
Inc.*
393,517‌
2,474
AutoNation,
Inc.*
409,645‌
1,989
Beyond,
Inc.*
71,425‌
1,634
Big
5
Sporting
Goods
Corp.
5,752‌
2,497
Boot
Barn
Holdings,
Inc.*
237,590‌
3,986
Buckle,
Inc.
(The)
160,516‌
1,732
Build-A-Bear
Workshop,
Inc.
51,735‌
3,535
Caleres
,
Inc.
145,041‌
407
Camping
World
Holdings,
Inc.,
Class
A
11,335‌
2,166
CarParts.com,
Inc.*
3,509‌
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
71
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Specialty
Retail,
continued
1,799
Cato
Corp.
(The),
Class
A
$
10,380‌
1,618
Children's
Place,
Inc.
(The)*
18,672‌
853
Citi
Trends,
Inc.*
23,142‌
2,251
Conn's,
Inc.*
7,541‌
4,201
Container
Store
Group,
Inc.
(The)*
4,789‌
5,322
Designer
Brands,
Inc.,
Class
A
58,169‌
4,253
Destination
XL
Group,
Inc.*
15,311‌
738
Duluth
Holdings,
Inc.,
Class
B*
3,616‌
8,313
Foot
Locker,
Inc.
236,920‌
3,793
GameStop
Corp.,
Class
A*
47,488‌
15,391
Gap,
Inc.
(The)
424,022‌
1,751
Genesco,
Inc.*
49,273‌
753
Group
1
Automotive,
Inc.
220,049‌
4,262
Guess?,
Inc.
134,125‌
1,984
Haverty
Furniture
Cos.,
Inc.
67,694‌
1,265
Hibbett,
Inc.
97,165‌
861
J.
Jill,
Inc.*
27,526‌
1,300
Lands'
End,
Inc.*
14,157‌
8,685
Leslie's,
Inc.*
56,453‌
206
Lithia
Motors,
Inc.
61,977‌
1,529
LL
Flooring
Holdings,
Inc.*
2,798‌
1,251
MarineMax
,
Inc.*
41,608‌
3,233
Monro
,
Inc.
101,969‌
1,320
Murphy
USA,
Inc.
553,344‌
6,975
National
Vision
Holdings,
Inc.*
154,566‌
2,301
ODP
Corp.
(The)*
122,068‌
443
OneWater
Marine,
Inc.*
12,470‌
3,370
PetMed
Express,
Inc.
16,142‌
2,414
Revolve
Group,
Inc.*
51,104‌
599
RH*
208,608‌
9,361
Sally
Beauty
Holdings,
Inc.*
116,264‌
2,801
Shoe
Carnival,
Inc.
102,629‌
3,726
Signet
Jewelers,
Ltd.
372,861‌
2,863
Sleep
Number
Corp.*
45,894‌
1,077
Sonic
Automotive,
Inc.,
Class
A
61,324‌
5,038
Sportsman's
Warehouse
Holdings,
Inc.*
15,668‌
3,300
Stitch
Fix,
Inc.,
Class
A*
8,712‌
1,307
Tile
Shop
Holdings,
Inc.*
9,188‌
2,271
Tilly's,
Inc.,
Class
A*
15,443‌
4,699
Upbound
Group,
Inc.
165,452‌
7,876
Urban
Outfitters,
Inc.*
341,976‌
8,308
Valvoline,
Inc.*
370,288‌
3,486
Victoria's
Secret
&
Co.*
67,559‌
924
Warby
Parker,
Inc.,
Class
A*
12,576‌
345
Winmark
Corp.
124,786‌
2,194
Zumiez
,
Inc.*
33,327‌
7,794,632‌
Technology
Hardware,
Storage
&
Peripherals
(0.2%):
1,308
AstroNova
,
Inc.*
23,309‌
1,682
Corsair
Gaming,
Inc.*
20,756‌
1,518
Immersion
Corp.
11,355‌
1,673
Intevac,
Inc.*
6,424‌
2,058
IonQ
,
Inc.*
20,559‌
4,629
Stratasys
,
Ltd.*
53,789‌
1,590
TransAct
Technologies,
Inc.*
8,332‌
600
Turtle
Beach
Corp.*
10,344‌
9,858
Xerox
Holdings
Corp.
176,458‌
331,326‌
Shares
Value
Common
Stocks,
continued
Textiles,
Apparel
&
Luxury
Goods
(1.4%):
4,805
Capri
Holdings,
Ltd.*
$
217,666‌
3,008
Carter's,
Inc.
254,717‌
4,005
Columbia
Sportswear
Co.
325,126‌
1,656
Crocs,
Inc.*
238,133‌
2,291
Culp,
Inc.*
10,997‌
9,256
Figs,
Inc.,
Class
A*
46,095‌
2,091
Fossil
Group,
Inc.*
2,133‌
4,343
G-III
Apparel
Group,
Ltd.*
125,990‌
5,770
Hanesbrands,
Inc.*
33,466‌
4,221
Kontoor
Brands,
Inc.
254,315‌
816
Lakeland
Industries,
Inc.
14,933‌
4,068
Levi
Strauss
&
Co.,
Class
A
81,319‌
1,625
Movado
Group,
Inc.
45,386‌
1,227
Oxford
Industries,
Inc.
137,915‌
3,679
PVH
Corp.
517,304‌
674
Rocky
Brands,
Inc.
18,286‌
6,920
Steven
Madden,
Ltd.
292,578‌
418
Superior
Group
of
Cos.,
Inc.
6,905‌
3,324
Tapestry,
Inc.
157,824‌
11,206
Under
Armour
,
Inc.,
Class
A*
82,700‌
11,499
Under
Armour
,
Inc.,
Class
C*
82,103‌
957
Unifi,
Inc.*
5,732‌
1,916
Vera
Bradley,
Inc.*
13,029‌
4,637
VF
Corp.
71,132‌
6,915
Wolverine
World
Wide,
Inc.
77,517‌
3,113,301‌
Tobacco
(0.1%):
763
Turning
Point
Brands,
Inc.
22,356‌
2,298
Universal
Corp.
118,853‌
13,115
Vector
Group,
Ltd.
143,740‌
284,949‌
Trading
Companies
&
Distributors
(2.5%):
8,849
Air
Lease
Corp.
455,193‌
3,201
Alta
Equipment
Group,
Inc.
41,453‌
3,314
Applied
Industrial
Technologies,
Inc.
654,681‌
4,936
Beacon
Roofing
Supply,
Inc.*
483,827‌
1,029
BlueLinx
Holdings,
Inc.*
134,017‌
2,610
Boise
Cascade
Co.
400,296‌
9,484
DNOW,
Inc.*
144,157‌
1,758
DXP
Enterprises,
Inc.*
94,457‌
1,975
EVI
Industries,
Inc.
49,178‌
3,079
GATX
Corp.
412,678‌
4,153
Global
Industrial
Co.
185,971‌
1,159
GMS,
Inc.*
112,817‌
2,840
H&E
Equipment
Services,
Inc.
182,271‌
2,230
Herc
Holdings,
Inc.
375,309‌
2,500
Hudson
Technologies,
Inc.*
27,525‌
2,160
McGrath
RentCorp
266,479‌
9,914
MRC
Global,
Inc.*
124,619‌
4,207
MSC
Industrial
Direct
Co.,
Inc.
408,247‌
5,493
Rush
Enterprises,
Inc.,
Class
A
293,985‌
1,314
Rush
Enterprises,
Inc.,
Class
B
70,023‌
1,068
SiteOne
Landscape
Supply,
Inc.*
186,419‌
2,818
Titan
Machinery,
Inc.*
69,915‌
949
Transcat
,
Inc.*
105,747‌
858
WESCO
International,
Inc.
146,958‌
5,426,222‌
AZL
DFA
U.S.
Small
Cap
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
72
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Percentages
indicated
are
based
on
net
assets
as
of
March
31,
2024.
Shares
Value
Common
Stocks,
continued
Water
Utilities
(0.4%):
3,041
American
States
Water
Co.
$
219,682‌
933
Artesian
Resources
Corp.,
Class
A
34,624‌
4,896
California
Water
Service
Group
227,566‌
1,256
Consolidated
Water
Co.,
Ltd.
36,813‌
1,516
Middlesex
Water
Co.
79,590‌
3,435
Pure
Cycle
Corp.*
32,632‌
2,786
SJW
Group
157,660‌
1,701
York
Water
Co.
(The)
61,695‌
850,262‌
Wireless
Telecommunication
Services
(0.2%):
8,428
Gogo
,
Inc.*
73,998‌
2,722
Spok
Holdings,
Inc.
43,416‌
11,047
Telephone
and
Data
Systems,
Inc.
176,973‌
3,950
United
States
Cellular
Corp.*
144,175‌
438,562‌
Total
Common
Stocks
(Cost
$183,708,918)
220,925,559‌
Preferred
Stocks
(0.0%
):
Media
(0.0%
):
430
Liberty
Broadband
Corp.,
Series
A,
7.00%
10,019‌
Trading
Companies
&
Distributors
(0.0%
):
2,540
WESCO
International,
Inc.,
Series
A,
10.63%
66,828‌
Total
Preferred
Stocks
(Cost
$70,827)
76,847‌
Rights
(0.0%
):
Diversified
Telecommunication
Services
(0.0%
):
79
Communications
Systems
I
CVR,
Expires
on
1/1/29*
104‌
123
Mirati
Therapeutics
CVR,
Expires
on
1/1/26*
86‌
190‌
Shares
Value
Rights,
continued
Health
Care
Providers
&
Services
(0.0%
):
1,262
Albireo
Pharma,
Inc.
CVR,
Expires
on
3/2/26*
$
7,067‌
5,276
Chinook
Therapeutics
CVR,
Expires
on
1/1/26*
6,595‌
2,004
Chinook
Therapeutics
CVR,
Expires
on
12/31/49*
1,984‌
8,452
Xeris
BioPharma
Hold
CVR,
Expires
on
10/6/49*
—‌
15,646‌
Household
Products
(0.0%
):
9,500
Spectrum
-
Crv
CVR,
Expires
on
1/1/26*
—‌
Paper
&
Forest
Products
(0.0%
):
5,401
Resolute
Fst
CVR,
Expires
on
1/1/26*
7,670‌
Pharmaceuticals
(0.0%
):
8,857
Achillion
Pharm
CVR,
Expires
on
1/29/49*
2,391‌
Total
Rights
(Cost
$–)
25,897‌
Unaffiliated
Investment
Company
(0.3%):
Money
Markets
(0.3%):
611,890
Dreyfus
Treasury
Securities
Cash
Management
Fund,
Institutional
Shares,
5.19%(b)
611,890‌
Total
Unaffiliated
Investment
Company
(Cost
$611,890)
611,890‌
Total
Investment
Securities
(Cost
$184,391,635)
100.2%
221,640,193‌
Net
other
assets
(liabilities)
(0.2)%
(448,508‌)
Net
Assets
100.0%
$
221,191,685‌
ADR—American
Depository
Receipt
CVR—Contingency
Valued
Rights
*
Non-income
producing
security.
Represents
less
than
0.05%.
(a)
Security
was
valued
using
significant
unobservable
inputs
as
of
March
31,
2024.
(b)
The
rate
represents
the
effective
yield
at
March
31,
2024.
Amounts
shown
as
“—“
are
either
$0
or
round
to
less
than
$1.
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
73
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Asset
Backed
Securities
(
5
.8
%
):
$
2,173,668
American
Homes
4
Rent
Trust,
Class
A,
Series
2014-SFR3,
3.68%,
12/17/36(a)
$
2,137,684
2,015,000
ARI
Fleet
Lease
Trust,
Class
A2,
Series
2024-A,
5.30%,
11/15/32,
Callable
9/15/27
@
100(a)
2,010,234
6,894,000
BA
Credit
Card
Trust,
Class
A1,
Series
2023-A1,
4.79%,
5/15/28
6,858,367
1,018,000
Carmax
Auto
Owner
Trust,
Class
A3,
Series
2023-2,
5.05%,
1/18/28,
Callable
1/15/27
@
100
1,013,326
2,769,468
Chesapeake
Funding
II
LLC,
Class
A1,
Series
2023-
2A,
6.16%,
10/15/35,
Callable
7/15/26
@
100(a)
2,786,507
800,120
College
Ave
Student
Loans
LLC,
Class
A2,
Series
2021-C,
2.32%,
7/26/55,
Callable
12/25/34
@
100(a)
715,984
1,518,387
College
Ave
Student
Loans
LLC,
Class
A2,
Series
2023-A,
5.33%,
5/25/55,
Callable
4/25/37
@
100(a)
1,484,438
881,737
College
Ave
Student
Loans
LLC,
Class
A2,
Series
2021-B,
1.76%,
6/25/52,
Callable
1/25/34
@
100(a)
785,501
117,129
College
Ave
Student
Loans
LLC,
Class
A1,
Series
2021-A,
6.54%(TSFR1M+121bps),
7/25/51,
Callable
2/25/32
@
100(a)
116,691
2,008,290
Credit
Acceptance
Auto
Loan
Trust,
Class
A,
Series
2021-4,
1.26%,
10/15/30,
Callable
3/15/25
@
100(a)
1,980,354
421,133
Credit
Acceptance
Auto
Loan
Trust,
Class
A,
Series
2021-3A,
1.00%,
5/15/30,
Callable
11/15/24
@
100(a)
417,728
5,359,000
Discover
Card
Execution
Note
Trust,
Class
A,
Series
2023-A1,
4.31%,
3/15/28
5,288,996
361,020
EDvestinU
Private
Education
Loan
Issue
No
3
LLC,
Class
A,
Series
2021-A,
1.80%,
11/25/45(a)
321,143
3,371,689
ELFI
Graduate
Loan
Program
LLC,
Class
A,
Series
2023-A,
6.37%,
2/4/48,
Callable
3/25/34
@
100(a)
3,452,537
423,000
Enterprise
Fleet
Financing
LLC,
Class
A3,
Series
2024-1,
5.16%,
9/20/30,
Callable
9/20/27
@
100(a)
422,088
773,000
Enterprise
Fleet
Financing
LLC,
Class
A3,
Series
2022-3,
4.29%,
7/20/29,
Callable
4/20/26
@
100(a)
749,175
1,145,855
Enterprise
Fleet
Financing
LLC,
Class
A2,
Series
2023-2,
5.56%,
4/22/30,
Callable
10/20/26
@
100(a)
1,146,784
6,023,000
Ford
Credit
Auto
Owner
Trust,
Class
A,
Series
2023-
1,
4.85%,
8/15/35,
Callable
2/15/28
@
100(a)
5,991,751
3,402,000
Ford
Credit
Auto
Owner
Trust,
Class
A,
Series
2023-
2,
5.28%,
2/15/36,
Callable
8/15/28
@
100(a)
3,445,670
5,657,000
Ford
Credit
Auto
Owner
Trust
2024-REV1,
Class
A,
Series
2024-1,
4.87%,
8/15/36,
Callable
2/15/29
@
100(a)
5,659,181
8,149,000
Ford
Credit
Floorplan
Master
Owner
Trust
A,
Class
A1,
Series
2023-1,
4.92%,
5/15/28(a)
8,113,612
2,984,000
Foundation
Finance
Trust,
Class
A,
Series
2024-1A,
5.50%,
12/15/49,
Callable
9/15/29
@
100(a)
2,983,650
2,196,000
GM
Financial
Revolving
Receivables
Trust,
Class
A,
Series
2024-1,
4.98%,
12/11/36,
Callable
3/11/29
@
100(a)
2,208,840
2,354,692
GoodLeap
Sustainable
Home
Solutions
Trust,
Class
A,
Series
2023-3C,
6.50%,
7/20/55,
Callable
12/20/39
@
100(a)
2,434,065
607,107
GoodLeap
Sustainable
Home
Solutions
Trust,
Class
A,
Series
2022-3CS,
4.95%,
7/20/49,
Callable
4/20/40
@
100(a)
570,706
Principal
Amount
Value
Asset
Backed
Securities,
continued
$
379,520
GoodLeap
Sustainable
Home
Solutions
Trust,
Class
A,
Series
2022-1GS,
2.70%,
1/20/49,
Callable
4/20/41
@
100(a)
$
313,859
4,109,000
John
Deere
Owner
Trust,
Class
A3,
Series
2023-B,
5.18%,
3/15/28,
Callable
12/15/26
@
100
4,110,211
6,682,000
John
Deere
Owner
Trust,
Class
A3,
Series
2024-A,
4.96%,
11/15/28,
Callable
10/15/27
@
100
6,682,997
156,000
Mercedes-Benz
Auto
Receivables
Trust,
Class
A3,
Series
2022-1,
5.21%,
8/16/27,
Callable
9/15/26
@
100
155,701
1,692,721
MMAF
Equipment
Finance
LLC,
Class
A4,
Series
2024-A,
5.10%,
7/13/49,
Callable
3/13/31
@
100(a)
1,693,643
146,459
Mosaic
Solar
Loan
Trust,
Class
A,
Series
2022-2A,
4.38%,
1/21/53,
Callable
7/20/38
@
100(a)
138,571
45,085
Navient
Private
Education
Loan
Trust,
Class
A2A,
Series
2018-BA,
3.61%,
12/15/59,
Callable
2/15/28
@
100(a)
44,117
5,322,497
Navient
Private
Education
Refi
Loan
Trust,
Class
A,
Series
2021-EA,
0.97%,
12/16/69,
Callable
12/15/29
@
100(a)
4,604,376
1,513,897
Navient
Private
Education
Refi
Loan
Trust,
Class
A,
Series
2021-DA,
6.51%(PRIME-(199)bps),
4/15/60,
Callable
5/15/32
@
100(a)
1,448,720
792,954
Navient
Private
Education
Refi
Loan
Trust,
Class
A1B,
Series
2020-IA,
6.44%(TSFR1M+111bps),
4/15/69,
Callable
1/15/32
@
100(a)
789,030
1,640,298
Navient
Private
Education
Refi
Loan
Trust,
Class
A2A,
Series
2019-D,
3.01%,
12/15/59,
Callable
9/15/31
@
100(a)
1,552,424
992,780
Navient
Private
Education
Refi
Loan
Trust,
Class
A,
Series
2020-FA,
1.22%,
7/15/69,
Callable
7/15/27
@
100(a)
899,202
4,578,198
Navient
Private
Education
Refi
Loan
Trust,
Class
A,
Series
2023-A,
5.51%,
10/15/71,
Callable
10/15/32
@
100(a)
4,600,069
348,519
Navient
Private
Education
Refi
Loan
Trust,
Class
A,
Series
2021-A,
0.84%,
5/15/69,
Callable
6/15/28
@
100(a)
304,996
74,731
Navient
Student
Loan
Trust,
Class
A2,
Series
2018-
EA,
4.00%,
12/15/59,
Callable
8/15/25
@
100(a)
73,328
1,246,000
Navistar
Financial
Dealer
Note
Master
Owner
Trust
II,
Class
A,
Series
2023-1,
6.18%,
8/25/28(a)
1,256,028
2,712,833
Nelnet
Student
Loan
Trust,
Class
AFL,
Series
2021-
CA,
6.18%(TSFR1M+85bps),
4/20/62,
Callable
9/20/31
@
100(a)
2,679,698
4,489,265
Nelnet
Student
Loan
Trust,
Class
AFL,
Series
2021-
BA,
6.22%(TSFR1M+89bps),
4/20/62,
Callable
7/20/29
@
100(a)
4,441,903
2,355,253
Nelnet
Student
Loan
Trust,
Class
APT2,
Series
2021-A,
1.36%,
4/20/62,
Callable
9/20/29
@
100(a)
2,110,017
6,506,000
OneMain
Financial
Issuance
Trust,
Class
A,
Series
2023-1A,
5.50%,
6/14/38,
Callable
6/14/28
@
100
6,610,330
3,537,000
OneMain
Financial
Issuance
Trust,
Class
A2,
Series
2023-2A,
6.82%(SOFR30A+150bps),
9/14/36,
Callable
9/14/26
@
100(a)
3,593,357
3,221,000
PFS
Financing
Corp.,
Class
A,
Series
2023-C,
5.52%,
10/16/28(a)
3,252,491
8,497,000
PFS
Financing
Corp.,
Class
A,
Series
2024-B,
4.95%,
2/15/29(a)
8,465,062
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
74
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Asset
Backed
Securities,
continued
$
189,000
PFS
Financing
Corp.,
Class
A,
Series
2023-A,
5.80%,
3/15/28(a)
$
190,971
1,400,000
PFS
Financing
Corp.,
Class
A,
Series
2021-A,
0.71%,
4/15/26(a)
1,397,803
7,235,000
PFS
Financing
Corp.,
Class
A,
Series
2023-B,
5.27%,
5/15/28(a)
7,254,392
291,171
Prodigy
Finance
CM2021-1
DAC,
Class
A,
Series
2021-1A,
6.69%(TSFR1M+136bps),
7/25/51,
Callable
11/25/26
@
100(a)
288,713
1,874,000
Regional
Management
Issuance
Trust,
Class
A,
Series
2021-2,
1.90%,
8/15/33,
Callable
8/15/26
@
100(a)
1,679,233
9,412,751
SMB
Private
Education
Loan
Trust,
Class
A1B,
Series
2023-B,
7.12%(SOFR30A+180bps),
10/16/56(a)
9,604,332
180,697
SMB
Private
Education
Loan
Trust,
Class
A2B,
Series
2017-B,
6.19%(TSFR1M+86bps),
10/15/35(a)
180,064
881,376
SMB
Private
Education
Loan
Trust,
Class
APT1,
Series
2021-C,
1.39%,
1/15/53(a)
777,653
2,762,136
SMB
Private
Education
Loan
Trust,
Class
A2A1,
Series
2021-A,
6.17%(TSFR1M+84bps),
1/15/53(a)
2,720,137
460,927
SMB
Private
Education
Loan
Trust,
Class
B,
Series
2021-A,
2.31%,
1/15/53(a)
430,212
4,961,289
SMB
Private
Education
Loan
Trust,
Class
A1B,
Series
2022-D,
7.12%(SOFR30A+180bps),
10/15/58(a)
5,049,037
206,375
SMB
Private
Education
Loan
Trust,
Class
A2B,
Series
2020-A,
6.27%(TSFR1M+94bps),
9/15/37(a)
204,795
3,366,000
SMB
Private
Education
Loan
Trust,
Class
A1B,
Series
2024-A,
6.77%(SOFR30A+145bps),
3/15/56,
Callable
5/15/36
@
100(a)
3,379,792
2,509,212
SMB
Private
Education
Loan
Trust,
Class
APT,
Series
2022-A,
2.85%,
11/16/54(a)
2,296,359
1,188,430
SMB
Private
Education
Loan
Trust,
Class
A1A,
Series
2023-C,
5.67%,
11/15/52(a)
1,201,287
1,256,228
SMB
Private
Education
Loan
Trust,
Class
A1A,
Series
2020-B,
1.29%,
7/15/53(a)
1,160,429
651,078
SoFi
Professional
Loan
Program
LLC,
Class
A2FX,
Series
2017-F,
2.84%,
1/25/41,
Callable
9/25/25
@
100(a)
634,918
313,574
SoFi
Professional
Loan
Program
LLC,
Class
A2FX,
Series
2019-B,
3.09%,
8/17/48,
Callable
8/15/26
@
100(a)
299,216
825,762
SoFi
Professional
Loan
Program
Trust,
Class
A2FX,
Series
2020-A,
2.54%,
5/15/46,
Callable
9/15/27
@
100(a)
773,101
433,614
SoFi
Professional
Loan
Program
Trust,
Class
AFX,
Series
2020-C,
1.95%,
2/15/46,
Callable
6/15/28
@
100(a)
391,699
10,964,000
Toyota
Auto
Loan
Extended
Note
Trust,
Class
A,
Series
2023-1A,
4.93%,
6/25/36,
Callable
6/25/28
@
100(a)
10,985,803
Total
Asset
Backed
Securities
(Cost
$175,634,625)
173,815,088
Collateralized
Mortgage
Obligations
(
7
.7
%
):
1,412,529
A&D
Mortgage
Trust,
Class
A1,
Series
2023-NQM5,
7.05%,
11/25/68,
Callable
11/25/26
@
100(a)(b)
1,424,743
Principal
Amount
Value
Collateralized
Mortgage
Obligations,
continued
$
2,200,000
AGL
CLO
28,
Ltd.,
Class
AL2,
Series
2023-28A,
7.00%(TSFR3M+170bps),
1/21/37,
Callable
1/21/26
@
100(a)
$
2,213,035
2,810,000
Alen
Mortgage
Trust,
Class
A,
Series
2021-ACEN,
6.59%(TSFR1M+126bps),
4/15/38(a)
2,557,367
780,099
Allegro
CLO
VIII,
Ltd.,
Class
A,
Series
2018-2A,
6.68%(TSFR3M+136bps),
7/15/31,
Callable
4/15/24
@
100(a)
780,839
836,635
Anchorage
Capital
CLO
7,
Ltd.,
Class
AR2,
Series
2015-7A,
6.67%(TSFR3M+135bps),
1/28/31,
Callable
4/28/24
@
100(a)
835,798
1,420,291
Angel
Oak
Mortgage
Trust,
Class
A1,
Series
2023-6,
6.50%,
12/25/67,
Callable
8/25/26
@
100(a)(b)
1,421,183
4,174,351
Angel
Oak
Mortgage
Trust,
Class
A1,
Series
2024-1,
5.21%,
8/25/68,
Callable
1/25/27
@
100(a)(b)
4,132,276
5,498,886
Angel
Oak
Mortgage
Trust,
Class
A1,
Series
2024-2,
5.99%,
1/25/69,
Callable
1/25/27
@
100(a)(b)
5,544,964
1,114,445
Apidos
CLO
XX,
Class
A1RA,
Series
2015-20A,
6.68%(TSFR3M+136bps),
7/16/31,
Callable
4/16/24
@
100(a)
1,114,890
950,000
Apidos
CLO
XXV,
Class
A1R2,
Series
2016-25A,
6.46%(TSFR3M+115bps),
10/20/31,
Callable
10/20/24
@
100(a)
947,625
266,492
Ares
XL
CLO,
Ltd.,
Class
A1RR,
Series
2016-40A,
6.45%(TSFR3M+113bps),
1/15/29,
Callable
4/15/24
@
100(a)
266,786
380,484
Ares
XXXIIR
CLO,
Ltd.,
Class  A1A,
Series
2014-
32RA,
6.51%(TSFR3M+120bps),
5/15/30,
Callable
5/15/24
@
100(a)
380,797
1,422,581
Arroyo
Mortgage
Trust,
Class
A1,
Series
2022-2,
4.95%,
7/25/57,
Callable
7/25/25
@
100(a)
1,410,973
2,230,000
Bain
Capital
CLO,
Ltd.,
Class
A1,
Series
2024-1A,
6.87%(TSFR3M+155bps),
4/16/37,
Callable
4/16/26
@
100(a)
2,229,135
1,530,000
Ballyrock
CLO
2019-2,
Ltd.,
Class
BRR,
Series
2019-
2A,
7.62%(TSFR3M+240bps),
2/20/36,
Callable
2/20/25
@
100
1,528,996
495,000
BANK,
Class
A5,
Series
2021-BN38,
2.52%,
12/15/64,
Callable
12/15/31
@
100
414,530
3,759,966
Barclays
Mortgage
Loan
Trust,
Class
A1,
Series
2024-NQM1,
5.90%,
1/25/64,
Callable
1/25/27
@
100(a)(b)
3,739,135
952,493
Battalion
CLO
VIII,
Ltd.,
Class
A1R2,
Series
2015-
8A,
6.63%(TSFR3M+133bps),
7/18/30,
Callable
4/18/24
@
100(a)
953,194
3,850,000
BBCMS
Mortgage
Trust,
Class
A,
Series
2018-TALL,
6.25%(TSFR1M+92bps),
3/15/37(a)
3,695,784
2,665,000
BBCMS
Mortgage
Trust,
Class
A4,
Series
2023-C22,
6.52%,
11/15/56,
Callable
10/15/33
@
100(b)
2,925,128
3,120,000
Benchmark
Mortgage
Trust,
Class
A5,
Series
2019-
B12,
3.12%,
8/15/52,
Callable
8/15/29
@
100
2,834,270
1,040,000
Benchmark
Mortgage
Trust,
Class
B,
Series
2019-
B15,
3.56%,
12/15/72,
Callable
12/15/29
@
100
817,269
2,643,457
BRAVO
Residential
Funding
Trust,
Class
A1,
Series
2023-NQM6,
6.60%,
9/25/63,
Callable
8/25/26
@
100(a)(b)
2,644,538
514,803
BSPRT
Issuer,
Ltd.,
Class
A,
Series
2021-FL7,
6.76%(TSFR1M+143bps),
12/15/38,
Callable
4/15/24
@
100(a)
512,294
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
75
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Collateralized
Mortgage
Obligations,
continued
$
2,600,000
BX
Commercial
Mortgage
Trust,
Class
A,
Series
2020-VIV4,
2.84%,
3/9/44,
Callable
3/9/30
@
100(a)
$
2,251,036
3,635,000
BX
Commercial
Mortgage
Trust,
Class
A,
Series
2023-XL3,
7.09%(TSFR1M+176bps),
12/9/40(a)
3,654,854
1,070,000
BX
Commercial
Mortgage
Trust,
Class
B,
Series
2024-MF,
7.02%(TSFR1M+169bps),
2/15/39(a)
1,065,470
2,546,000
BX
Commercial
Mortgage
Trust,
Class
A,
Series
2024-XL4,
6.77%(TSFR1M+144bps),
2/15/39(a)
2,546,202
4,646,000
BX
Trust,
Class
A,
Series
2024-BIO,
6.97%(TSFR1M+164bps),
2/15/41(a)
4,652,347
1,700,000
BX
Trust,
Class
A,
Series
2024-CNYN,
6.74%(TSFR1M+144bps),
4/15/29(a)
1,700,000
780,000
BX
Trust,
Class
B,
Series
2024-PAT,
8.29%(TSFR1M+304bps),
3/15/26(a)
779,572
1,930,000
BX
Trust,
Class
A,
Series
2024-PAT,
7.34%(TSFR1M+209bps),
3/15/26(a)
1,929,014
3,400,000
BX
Trust,
Class
A,
Series
2023-DELC,
8.02%(TSFR1M+269bps),
6/15/38(a)
3,430,187
940,000
BX
Trust,
Class
B,
Series
2024-BIO,
7.27%(TSFR1M+194bps),
2/15/41(a)
939,630
615,000
Cantor
Commercial
Real
Estate
Lending,
Class
A4,
Series
2019-CF2,
2.62%,
11/15/52,
Callable
10/15/29
@
100
535,301
603,000
Cantor
Commercial
Real
Estate
Lending,
Class
B,
Series
2019-CF3,
3.50%,
1/15/53,
Callable
12/15/29
@
100(b)
482,888
1,950,000
CEDR
Commercial
Mortgage
Trust,
Class
A,
Series
2022-SNAI,
6.31%(TSFR1M+99bps),
2/15/39(a)
1,852,302
3,734,551
CENT
Trust,
Class
A,
Series
2023-CITY,
7.95%(TSFR1M+262bps),
9/15/28(a)
3,771,639
220,126
Chase
Home
Lending
Mortgage
Trust,
Class
A11,
Series
2019-ATR2,
6.34%(TSFR1M+101bps),
7/25/49,
Callable
5/25/35
@
100(a)
207,211
1,169,198
CIFC
Funding,
Ltd.,
Class
A1,
Series
2013-3RA,
6.56%(TSFR3M+124bps),
4/24/31,
Callable
4/24/24
@
100(a)
1,170,597
284,858
CIFC
Funding,
Ltd.,
Class
A1,
Series
2017-5A,
6.76%(TSFR3M+144bps),
11/16/30,
Callable
4/17/24
@
100(a)
285,069
128,807
CIM
Trust,
Class
A1,
Series
2021-R6,
1.43%,
7/25/61,
Callable
9/25/26
@
100(a)(b)
111,345
638,683
CIM
Trust,
Class
A11,
Series
2019-INV3,
5.50%(SOFR30A+106bps),
8/25/49,
Callable
2/25/33
@
100(a)
606,758
1,460,000
COAST
Commercial
Mortgage
Trust,
Class
A,
Series
2023-2HTL,
7.92%(TSFR1M+259bps),
8/15/36(a)
1,463,391
803,241
COLT
Mortgage
Loan
Trust,
Class
A1,
Series
2023-
4,
7.16%,
10/25/68,
Callable
10/25/26
@
100(a)(b)
815,280
667,000
COMM
Mortgage
Trust,
Class
A5,
Series
2015-
CR24,
3.70%,
8/10/48,
Callable
6/10/26
@
100
649,242
3,075,000
COMM
Mortgage
Trust,
Class
A4,
Series
2015-
CR26,
3.63%,
10/10/48,
Callable
8/10/27
@
100
2,949,775
1,084,387
Cross
Mortgage
Trust,
Class
A1A,
Series
2023-H2,
7.14%,
11/25/68,
Callable
10/25/26
@
100(a)(b)
1,101,937
1,195,000
CSAIL
Commercial
Mortgage
Trust,
Class
B,
Series
2019-C15,
4.48%,
3/15/52,
Callable
2/15/29
@
100
1,058,266
2,178,573
CSMC,
Class
A,
Series
2020-NET,
2.26%,
8/15/37(a)
2,026,061
2,335,000
CSMC,
Class
B,
Series
2021-BHAR,
6.94%(TSFR1M+161bps),
11/15/38(a)
2,317,571
Principal
Amount
Value
Collateralized
Mortgage
Obligations,
continued
$
1,523,010
CSMC,
Class
A1,
Series
2021-NQM8,
1.84%,
10/25/66,
Callable
11/25/24
@
100(a)(b)
$
1,229,153
1,725,049
Dewolf
Park
CLO,
Ltd.,
Class
AR,
Series
2017-1A,
6.50%(TSFR3M+118bps),
10/15/30,
Callable
4/15/24
@
100(a)
1,726,294
1,440,000
Diameter
Capital
CLO
1,
Ltd.,
Class
A1A,
Series
2021-1A,
6.82%(TSFR3M+150bps),
7/15/36,
Callable
4/15/24
@
100(a)
1,441,117
324,378
Dryden
30
Senior
Loan
Fund,
Class
AR,
Series
2013-
30A,
6.39%(TSFR3M+108bps),
11/15/28,
Callable
5/15/24
@
100(a)
322,841
1,826,888
Dryden
37
Senior
Loan
Fund,
Class
AR,
Series
2015-
37A,
6.68%(TSFR3M+136bps),
1/15/31,
Callable
4/15/24
@
100(a)
1,823,234
452,280
Dryden
60
CLO,
Ltd.,
Class
A,
Series
2018-60A,
6.63%(TSFR3M+131bps),
7/15/31,
Callable
4/15/24
@
100(a)
451,827
3,860,000
Elmwood
CLO
26,
Ltd.,
Class
A1,
Series
2024-1A,
6.79%(TSFR3M+150bps),
4/18/37,
Callable
4/18/26
@
100(a)
3,862,605
1,593,339
Flagstar
Mortgage
Trust,
Class
A6,
Series
2021-
13IN,
2.50%,
12/30/51,
Callable
1/25/46
@
100(a)
(b)
1,380,479
449,026
Flagstar
Mortgage
Trust,
Class
A11,
Series
2019-
1INV,
5.50%(TSFR1M+106bps),
10/25/49,
Callable
12/25/30
@
100(a)
426,715
755,366
Flatiron
CLO
18,
Ltd.,
Class
A,
Series
2018-1A,
6.53%(TSFR3M+121bps),
4/17/31,
Callable
4/17/24
@
100(a)
753,976
879,681
FRESB
Mortgage
Trust,
Class
A10H,
Series
2019-
SB60,
3.50%(US0001M+350bps),
1/25/39,
Callable
12/25/28
@
100
802,471
586,114
FS
RIALTO,
Class
A,
Series  2021-FL2,
6.66%(TSFR1M+133bps),
4/16/26,
Callable
4/16/24
@
100(a)
576,726
2,024,524
Galaxy
XXVI
CLO,
Ltd.,
Class
A,
Series
2018-26A,
6.79%(TSFR3M+146bps),
11/22/31,
Callable
5/22/24
@
100(a)
2,027,075
896,905
Galaxy
XXVII
CLO,
Ltd.,
Class
A,
Series
2018-27A,
6.61%(TSFR3M+128bps),
5/16/31,
Callable
5/16/24
@
100(a)
898,510
2,431,598
GCAT
Trust,
Class
A1,
Series
2021-NQM7,
1.92%,
8/25/66,
Callable
7/25/35
@
100(a)(b)
2,130,273
1,209,082
Great
Wolf
Trust,
Class
A,
Series
2019-WOLF,
6.67%(TSFR1M+135bps),
12/15/36(a)
1,208,722
148,455
Grippen
Park
CLO,
Ltd.,
Class
A,
Series
2017-1A,
6.84%(TSFR3M+152bps),
1/20/30,
Callable
4/20/24
@
100(a)
148,663
2,105,000
GS
Mortgage
Securities
Corp.
Trust,
Class
B,
Series
2023-FUN,
8.12%(TSFR1M+279bps),
3/15/28(a)
2,110,872
2,090,000
GS
Mortgage
Securities
Corp.
Trust,
Class
A,
Series
2023-FUN,
7.42%(TSFR1M+209bps),
3/15/28(a)
2,095,248
3,412,167
GS
Mortgage-Backed
Securities
Corp.
Trust,
Class
A4,
Series
2022-PJ2,
2.50%,
6/25/52,
Callable
8/25/43
@
100(a)(b)
2,746,794
1,004,322
GS
Mortgage-Backed
Securities
Trust,
Class
A2,
Series
2021-PJ2,
2.50%,
7/25/51,
Callable
8/25/46
@
100(a)(b)
810,946
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
76
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Collateralized
Mortgage
Obligations,
continued
$
1,556,775
GS
Mortgage-Backed
Securities
Trust,
Class
A2,
Series
2021-PJ6,
2.50%,
11/25/51,
Callable
12/25/42
@
100(a)(b)
$
1,253,204
960,653
Homeward
Opportunities
Fund
Trust,
Class
A1,
Series
2022-1,
5.08%,
7/25/67,
Callable
8/25/25
@
100(a)(b)
964,955
1,525,000
IMT
Trust,
Class
BFX,
Series
2017-APTS,
3.50%,
6/15/34(a)(b)
1,510,330
270,000
J.P.
Morgan
Chase
Commercial
Mortgage
Securities
Trust,
Class
D,
Series
2022-OPO,
3.45%,
1/5/39(a)
(b)
188,189
1,500,000
J.P.
Morgan
Chase
Commercial
Mortgage
Securities
Trust,
Class
A,
Series
2022-NXSS,
7.50%(TSFR1M+218bps),
8/15/39(a)
1,503,004
392,105
J.P.
Morgan
Mortgage
Trust,
Class
A11,
Series
2019-INV2,
6.34%(TSFR1M+101bps),
2/25/50,
Callable
4/25/27
@
100(a)
375,169
143,519
J.P.
Morgan
Mortgage
Trust,
Class
A11,
Series
2019-7,
6.34%(TSFR1M+101bps),
2/25/50,
Callable
8/25/34
@
100(a)
135,037
62,236
J.P.
Morgan
Mortgage
Trust,
Class
A11,
Series
2019-LTV3,
6.29%(TSFR1M+96bps),
2/25/50,
Callable
10/25/31
@
100(a)
62,082
343,008
J.P.
Morgan
Mortgage
Trust,
Class
A11,
Series
2019-INV3,
6.00%(TSFR1M+111bps),
5/25/50,
Callable
7/25/32
@
100(a)
327,355
914,344
J.P.
Morgan
Mortgage
Trust,
Class
A12,
Series
2021-12,
5.00%,
2/25/52,
Callable
4/25/45
@
100(a)(b)
880,056
237,423
J.P.
Morgan
Mortgage
Trust,
Class
A5,
Series
2019-LTV3,
3.50%,
2/25/50,
Callable
10/25/31
@
100(a)(b)
229,854
45,556
J.P.
Morgan
Mortgage
Trust,
Class
A11,
Series
2020-LTV1,
6.00%(TSFR1M+111bps),
6/25/50,
Callable
11/25/36
@
100(a)
45,526
529,300
J.P.
Morgan
Mortgage
Trust,
Class
A3,
Series
2021-
7,
2.50%,
11/25/51,
Callable
1/25/47
@
100(a)(b)
426,086
2,184,275
J.P.
Morgan
Mortgage
Trust,
Class
A3B,
Series
2022-INV3,
3.00%,
9/25/52,
Callable
2/25/48
@
100(a)(b)
1,832,061
1,402,602
J.P.
Morgan
Mortgage
Trust,
Class
A12,
Series
2021-14,
5.00%,
5/25/52,
Callable
10/25/47
@
100(a)(b)
1,350,004
1,744,903
J.P.
Morgan
Mortgage
Trust,
Class
A3,
Series
2024-
2,
6.00%,
8/25/54,
Callable
10/25/33
@
100(a)(b)
1,742,722
977,117
J.P.
Morgan
Mortgage
Trust,
Class
A4,
Series
2021-
10,
2.50%,
12/25/51,
Callable
4/25/47
@
100(a)(b)
842,181
710,297
J.P.
Morgan
Mortgage
Trust,
Class
A3,
Series
2021-
12,
2.50%,
2/25/52,
Callable
4/25/45
@
100(a)(b)
571,789
700,000
JPMDB
Commercial
Mortgage
Securities
Trust,
Class
A5,
Series
2017-C5,
3.69%,
3/15/50,
Callable
8/15/27
@
100
653,890
3,149,000
JPMorgan
Securities
LLC,
Class
A,
Series
2024-1,
2/12/31(a)
3,148,862
1,530,000
KSL
Commercial
Mortgage
Trust,
Class
A,
Series
2023-HT,
7.62%(TSFR1M+229bps),
12/15/36(a)
1,538,806
728,950
LCM
XVIII
LP,
Class
A1R,
Series
18A,
6.60%(TSFR3M+128bps),
4/20/31,
Callable
4/20/24
@
100(a)
729,169
Principal
Amount
Value
Collateralized
Mortgage
Obligations,
continued
$
1,503,944
Life
Mortgage
Trust,
Class
A,
Series
2021-BMR,
6.14%(TSFR1M+81bps),
3/15/38(a)
$
1,486,984
1,757,817
LoanCore
Issuer,
Ltd.,
Class
A,
Series
2021-CRE6,
6.74%(TSFR1M+141bps),
11/15/38,
Callable
4/15/24
@
100(a)
1,729,252
973,952
Madison
Park
Funding
XVIII,
Ltd.,
Class
ARR,
Series
2015-18A,
6.52%(TSFR3M+120bps),
10/21/30,
Callable
4/21/24
@
100(a)
975,218
1,000,000
Madison
Park
Funding
XXXV,
Ltd.,
Class
A1R,
Series
2019-35A,
6.57%(TSFR3M+125bps),
4/20/32,
Callable
4/20/24
@
100(a)
999,756
3,916,113
Mello
Mortgage
Capital
Acceptance,
Class
A3,
Series
2022-INV2,
3.00%,
4/25/52,
Callable
7/25/48
@
100(a)(b)
3,265,059
630,000
MF1,
Class
A,
Series
2021-W10,
6.40%(TSFR1M+107bps),
12/15/24(a)
625,277
3,348,056
MFA
Trust,
Class
A1,
Series
2023-NQM3,
6.62%,
7/25/68,
Callable
8/25/26
@
100(a)(b)
3,349,546
1,256,027
MFA
Trust,
Class
A1,
Series
2023-INV2,
6.78%,
9/25/66,
Callable
9/25/26
@
100(a)(b)
1,271,892
1,505,000
MHP,
Class
A,
Series
2021-STOR,
6.14%(TSFR1M+81bps),
7/15/38(a)
1,494,372
1,115,000
MIRA
Trust,
Class
A,
Series
2023-MILE,
6.75%,
6/10/38(a)
1,158,712
1,067,684
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust,
Class
A3,
Series
2015-C24,
3.48%,
5/15/48,
Callable
8/15/25
@
100
1,036,355
1,540,000
Morgan
Stanley
Capital
I
Trust,
Class
A4,
Series
2016-BNK2,
3.05%,
11/15/49,
Callable
11/15/26
@
100
1,427,191
1,840,000
MSWF
Commercial
Mortgage
Trust,
Class
A5,
Series
2023-2,
6.01%,
12/15/56,
Callable
12/15/33
@
100
1,971,043
825,788
Neuberger
Berman
CLO
XV,
Class
A1R2,
Series
2013-15A,
6.50%(TSFR3M+118bps),
10/15/29,
Callable
4/15/24
@
100(a)
826,861
9,469,711
Neuberger
Berman
Loan
Advisers
CLO
25,
Ltd.,
Class
AR,
Series
2017-25A,
6.49%(TSFR3M+119bps),
10/18/29,
Callable
4/18/24
@
100(a)
9,476,187
800,000
Neuberger
Berman
Loan
Advisers
CLO
32,
Ltd.,
Class
AR,
Series
2019-32A,
6.56%(TSFR3M+125bps),
1/20/32,
Callable
4/19/24
@
100(a)
801,040
4,060,856
OBX
Trust,
Class
A1,
Series
2023-NQM6,
6.52%,
7/25/63,
Callable
7/25/26
@
100(a)(b)
4,099,782
721,770
OBX
Trust,
Class
A1,
Series
2023-NQM9,
7.16%,
10/25/63,
Callable
10/25/26
@
100(a)(b)
728,231
1,410,421
OBX
Trust,
Class
A1,
Series
2022-INV3,
3.00%,
2/25/52,
Callable
1/25/46
@
100(a)(b)
1,182,991
1,917,633
OCP
CLO,
Ltd.,
Class
A1,
Series
2018-15A,
6.68%(TSFR3M+136bps),
7/20/31,
Callable
4/20/24
@
100(a)
1,917,633
470,000
OCP
CLO,
Ltd.,
Class
AR,
Series
2019-16A,
6.59%(TSFR3M+126bps),
4/10/33,
Callable
4/10/24
@
100(a)
470,233
292,088
Octagon
Investment
Partners
30,
Ltd.,
Class
A1R,
Series
2017-1A,
6.58%(TSFR3M+126bps),
3/17/30,
Callable
4/20/24
@
100(a)
292,294
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
77
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Collateralized
Mortgage
Obligations,
continued
$
3,124,597
OCTAGON
INVESTMENT
PARTNERS
35,
Ltd.,
Class
A1A,
Series
2018-1A,
6.64%(TSFR3M+132bps),
1/20/31,
Callable
4/20/24
@
100(a)
$
3,122,305
348,054
Octagon
Investment
Partners
XIV,
Ltd.,
Class
AARR,
Series
2012-1A,
6.53%(TSFR3M+121bps),
7/15/29,
Callable
4/15/24
@
100(a)
348,133
948,762
Octagon
Investment
Partners
XVI,
Ltd.,
Class
A1R,
Series
2013-1A,
6.60%(TSFR3M+128bps),
7/17/30,
Callable
4/17/24
@
100(a)
950,016
1,200,000
Octagon
Investment
Partners
XVII,
Ltd.,
Class
A2R2,
Series
2013-1A,
6.69%(TSFR3M+136bps),
1/25/31,
Callable
4/25/24
@
100(a)
1,197,148
1,510,000
One
New
York
Plaza
Trust,
Class
A,
Series
2020-
1NYP,
6.39%(TSFR1M+106bps),
1/15/26(a)
1,472,617
2,700,000
Palmer
Square
CLO,
Ltd.,
Class
A1A,
Series
2022-
4A,
7.47%(TSFR3M+215bps),
10/20/35,
Callable
1/20/25
@
100(a)
2,723,626
3,558,218
PRKCM
Trust,
Class
A1,
Series
2023-AFC3,
6.58%,
9/25/58,
Callable
8/25/26
@
100(a)
3,606,495
2,057,571
PRKCM
Trust,
Class
A1,
Series
2021-AFC2,
2.07%,
11/25/56,
Callable
8/25/45
@
100(a)(b)
1,707,345
795,020
PRPM
LLC,
Class
A1,
Series
2024-RCF1,
4.00%,
1/25/54,
Callable
1/25/26
@
100(a)(b)
763,830
2,895,000
Rad
CLO
7,
Ltd.,
Class
A1R,
Series
2020-7A,
6.68%(TSFR3M+135bps),
4/17/36,
Callable
4/17/25
@
100(a)
2,920,942
593,430
RCKT
Mortgage
Trust,
Class
A1,
Series
2021-1,
2.50%,
3/25/51,
Callable
2/25/48
@
100(a)(b)
476,228
1,560,580
Regatta
X
Funding,
Ltd.,
Class
A,
Series
2017-3A,
6.70%(TSFR3M+138bps),
1/17/31,
Callable
4/17/24
@
100(a)
1,561,493
912,178
RR
3,
Ltd.,
Class
A1R2,
Series
2018-3A,
6.67%(TSFR3M+135bps),
1/15/30,
Callable
4/15/24
@
100(a)
912,180
487,253
Seasoned
Credit
Risk
Transfer
Trust,
Class
MA,
Series
2018-2,
3.50%,
11/25/57,
Callable
7/25/43
@
100
461,649
1,283,236
Seasoned
Credit
Risk
Transfer
Trust,
Class
MA,
Series
2019-2,
3.50%,
8/25/58,
Callable
11/25/52
@
100
1,202,597
125,000
SG
Commercial
Mortgage
Securities
Trust,
Class
A4,
Series
2016-C5,
3.06%,
10/10/48,
Callable
7/10/26
@
100
117,098
767,908
SG
Residential
Mortgage
Trust,
Class
A1,
Series
2022-2,
5.35%,
9/25/67,
Callable
8/25/25
@
100(a)
(b)
785,642
1,250,000
Signal
Peak
CLO
4,
Ltd.,
Class
XR,
Series
2017-4A,
6.54%(TSFR3M+121bps),
10/26/34,
Callable
4/26/24
@
100(a)
1,248,068
1,000,000
Signal
Peak
CLO
8,
Ltd.,
Class
A,
Series
2020-8A,
6.85%(TSFR3M+153bps),
4/20/33,
Callable
4/20/24
@
100(a)
998,085
1,595,000
Taubman
Centers
Commercial
Mortgage
Trust,
Class
A,
Series
2022-DPM,
7.51%(TSFR1M+219bps),
5/15/37(a)
1,606,665
545,509
TCI-Flatiron
CLO,  Ltd.,
Class
AR,
Series
2017-1A,
6.54%(TSFR3M+122bps),
11/18/30,
Callable
5/17/24
@
100(a)
544,487
Principal
Amount
Value
Collateralized
Mortgage
Obligations,
continued
$
4,028,780
TCI-Symphony
CLO,
Ltd.,
Class
AR,
Series
2017-
1A,
6.51%(TSFR3M+119bps),
7/15/30,
Callable
4/15/24
@
100(a)
$
4,031,757
6,750,000
TRESTLES
CLO
V,
Ltd.,
Class
A1,
Series
2021-5A,
6.75%(TSFR3M+143bps),
10/20/34,
Callable
4/20/24
@
100(a)
6,755,515
2,858,967
UWM
Mortgage
Trust,
Class
A10,
Series
2021-
INV5,
5.00%,
1/25/52,
Callable
9/25/43
@
100(a)(b)
2,741,034
2,414,965
Verus
Securitization
Trust,
Class
A1,
Series
2022-3,
4.13%,
2/25/67,
Callable
3/25/25
@
100(a)
2,247,864
1,759,871
Verus
Securitization
Trust,
Class
A1,
Series
2022-2,
4.26%,
2/25/67,
Callable
12/25/27
@
100(a)(b)
1,640,346
565,914
Voya
CLO,
Ltd.,
Class
AR,
Series
2019-1A,
6.64%(TSFR3M+132bps),
4/15/31,
Callable
4/15/24
@
100(a)
566,084
1,250,000
Wells
Fargo
Commercial
Mortgage
Trust,
Class
AS,
Series
2015-NXS1,
3.41%,
5/15/48,
Callable
4/15/25
@
100
1,191,508
8,322,327
Wells
Fargo
Commercial
Mortgage
Trust,
Class
XA,
Series
2016-LC25,
0.82%,
12/15/59,
Callable
9/15/26
@
100(b)
145,585
775,000
Wells
Fargo
Commercial
Mortgage
Trust,
Class
A4,
Series
2015-C28,
3.54%,
5/15/48,
Callable
5/15/25
@
100
754,574
1,015,000
Wells
Fargo
Commercial
Mortgage
Trust,
Class
A4,
Series
2015-NXS4,
3.72%,
12/15/48,
Callable
11/15/25
@
100
985,798
1,500,000
Whitebox
CLO
III,
Ltd.,
Class
A1,
Series
2021-3A,
6.80%(TSFR3M+148bps),
10/15/34,
Callable
4/15/24
@
100(a)
1,501,326
Total
Collateralized
Mortgage
Obligations
(Cost
$234,915,596)
230,837,315
Corporate
Bonds
(
24
.1
%
):
Aerospace
&
Defense
(
1
.3
%
):
1,522,000
BAE
Systems
Holdings,
Inc.,
3.85%,
12/15/25,
Callable
9/15/25
@
100(a)
1,486,084
1,213,000
Boeing
Co.
(The),
2.20%,
2/4/26,
Callable
4/15/24
@
100
1,136,323
856,000
Boeing
Co.
(The),
3.10%,
5/1/26,
Callable
3/1/26
@
100
812,487
2,143,000
Boeing
Co.
(The),
3.95%,
8/1/59,
Callable
2/1/59
@
100
1,459,167
491,000
Boeing
Co.
(The),
5.93%,
5/1/60,
Callable
11/1/59
@
100
460,127
215,000
Huntington
Ingalls
Industries,
Inc.,
3.48%,
12/1/27,
Callable
9/1/27
@
100
202,014
360,000
Huntington
Ingalls
Industries,
Inc.,
4.20%,
5/1/30,
Callable
2/1/30
@
100
337,773
1,553,000
L3Harris
Technologies,
Inc.,
5.40%,
1/15/27
1,563,553
2,669,000
L3Harris
Technologies,
Inc.,
4.40%,
6/15/28,
Callable
3/15/28
@
100
2,588,874
4,247,000
L3Harris
Technologies,
Inc.,
4.40%,
6/15/28,
Callable
3/15/28
@
100
4,134,480
3,698,000
L3Harris
Technologies,
Inc.,
5.05%,
6/1/29,
Callable
5/1/29
@
100
3,685,516
3,525,000
L3Harris
Technologies,
Inc.,
5.25%,
6/1/31,
Callable
4/1/31
@
100
3,518,020
1,195,000
L3Harris
Technologies,
Inc.,
5.60%,
7/31/53,
Callable
1/31/53
@
100
1,215,014
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
78
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Aerospace
&
Defense,
continued
$
759,000
Lockheed
Martin
Corp.,
3.80%,
3/1/45,
Callable
9/1/44
@
100
$
623,317
2,253,000
Northrop
Grumman
Corp.,
4.70%,
3/15/33,
Callable
12/15/32
@
100
2,194,469
169,000
Northrop
Grumman
Corp.,
5.20%,
6/1/54,
Callable
12/1/53
@
100
164,486
115,000
RTX
Corp.,
7.00%,
11/1/28
122,477
6,959,000
RTX
Corp.,
4.13%,
11/16/28,
Callable
8/16/28
@
100
6,728,741
631,000
RTX
Corp.,
5.75%,
1/15/29,
Callable
12/15/28
@
100
652,210
2,763,000
RTX
Corp.,
2.38%,
3/15/32,
Callable
12/15/31
@
100
2,272,852
568,000
RTX
Corp.,
6.10%,
3/15/34,
Callable
12/15/33
@
100
607,246
415,000
RTX
Corp.,
4.20%,
12/15/44,
Callable
6/15/44
@
100
332,718
4,525,000
RTX
Corp.,
2.82%,
9/1/51,
Callable
3/1/51
@
100
2,873,818
855,000
Textron,
Inc.,
3.00%,
6/1/30,
Callable
3/1/30
@
100
755,016
39,926,782
Air
Freight
&
Logistics
(
0
.0
%
):
888,000
Aon
North
America,
Inc.,
5.75%,
3/1/54,
Callable
9/1/53
@
100
911,497
295,610
United
Airlines
Pass
Through
Trust,
Series
2019-1,
Class
AA,
4.15%,
8/25/31
274,899
1,186,396
Banks
(
3
.0
%
):
2,453,000
Bank
of
America
Corp.,
3.71%
(TSFR3M+177
bps),
4/24/28,
Callable
4/24/27
@
100
2,345,706
335,000
Bank
of
America
Corp.,
3.97%
(TSFR3M+133
bps),
3/5/29,
Callable
3/5/28
@
100,
MTN
320,356
1,935,000
Bank
of
America
Corp.,
2.09%
(SOFR+106
bps),
6/14/29,
Callable
6/14/28
@
100
1,711,398
13,408,000
Bank
of
America
Corp.,
3.97%
(TSFR3M+147
bps),
2/7/30,
Callable
2/7/29
@
100,
MTN
12,654,926
2,258,000
Bank
of
America
Corp.,
3.19%
(TSFR3M+144
bps),
7/23/30,
Callable
7/23/29
@
100,
MTN
2,046,669
1,758,000
Bank
of
America
Corp.,
2.50%
(TSFR3M+125
bps),
2/13/31,
Callable
2/13/30
@
100,
MTN
1,515,434
2,342,000
Bank
of
America
Corp.,
2.69%
(SOFR+132
bps),
4/22/32,
Callable
4/22/31
@
100
1,976,559
4,581,000
Bank
of
America
Corp.,
2.97%
(SOFR+133
bps),
2/4/33,
Callable
2/4/32
@
100
3,869,236
1,313,000
Bank
of
America
Corp.,
5.87%
(SOFR+184
bps),
9/15/34,
Callable
9/15/33
@
100
1,362,742
8,519,000
Bank
of
America
Corp.,
5.47%
(SOFR+165
bps),
1/23/35,
Callable
1/23/34
@
100
8,586,505
4,055,000
Citigroup,
Inc.,
3.67%
(TSFR3M+165
bps),
7/24/28,
Callable
7/24/27
@
100
3,856,371
5,708,000
Citigroup,
Inc.,
3.98%
(TSFR3M+160
bps),
3/20/30,
Callable
3/20/29
@
100
5,380,555
1,832,000
Citigroup,
Inc.,
2.98%
(SOFR+142
bps),
11/5/30,
Callable
11/5/29
@
100
1,628,465
33,000
Citigroup,
Inc.,
2.52%
(SOFR+118
bps),
11/3/32,
Callable
11/3/31
@
100
27,029
1,437,000
Citigroup,
Inc.,
3.79%
(SOFR+194
bps),
3/17/33,
Callable
3/17/32
@
100
1,276,468
Principal
Amount
Value
Corporate
Bonds,
continued
Banks,
continued
$
2,001,000
Citigroup,
Inc.,
6.27%
(SOFR+234
bps),
11/17/33,
Callable
11/17/32
@
100
$
2,105,374
213,000
HSBC
USA,
Inc.,
5.29%,
3/4/27
214,326
1,599,000
JPMorgan
Chase
&
Co.,
1.47%
(SOFR+77
bps),
9/22/27,
Callable
9/22/26
@
100
1,453,331
215,000
JPMorgan
Chase
&
Co.,
3.54%
(TSFR3M+164
bps),
5/1/28,
Callable
5/1/27
@
100
205,451
1,135,000
JPMorgan
Chase
&
Co.,
5.30%
(SOFR+145
bps),
7/24/29,
Callable
7/24/28
@
100
1,145,255
6,966,000
JPMorgan
Chase
&
Co.,
3.70%
(TSFR3M+142
bps),
5/6/30,
Callable
5/6/29
@
100
6,527,149
661,000
JPMorgan
Chase
&
Co.,
2.74%
(TSFR3M+151
bps),
10/15/30,
Callable
10/15/29
@
100
585,647
1,961,000
JPMorgan
Chase
&
Co.,
1.95%
(SOFR+107
bps),
2/4/32,
Callable
2/4/31
@
100
1,592,003
8,001,000
JPMorgan
Chase
&
Co.,
5.34%
(SOFR+162
bps),
1/23/35,
Callable
1/23/34
@
100
8,042,493
374,000
KeyCorp,
6.40%
(SOFRINDX+242
bps),
3/6/35,
Callable
3/6/34
@
100
382,658
11,105,000
Wells
Fargo
&
Co.,
5.20%
(SOFR+150
bps),
1/23/30,
Callable
1/22/29
@
100
11,096,627
2,235,000
Wells
Fargo
&
Co.,
5.39%
(SOFR+202
bps),
4/24/34,
Callable
4/24/33
@
100
2,215,437
3,991,000
Wells
Fargo
&
Co.,
5.56%
(SOFR+199
bps),
7/25/34,
Callable
7/25/33
@
100
4,010,915
2,005,000
Wells
Fargo
&
Co.,
5.50%
(SOFR+178
bps),
1/23/35,
Callable
1/23/34
@
100
2,005,884
90,140,969
Biotechnology
(
1
.0
%
):
2,907,000
AbbVie,
Inc.,
4.55%,
3/15/35,
Callable
9/15/34
@
100
2,809,182
4,892,000
AbbVie,
Inc.,
4.50%,
5/14/35,
Callable
11/14/34
@
100
4,703,032
1,838,000
AbbVie,
Inc.,
4.30%,
5/14/36,
Callable
11/14/35
@
100
1,723,542
712,000
Amgen,
Inc.,
1.65%,
8/15/28,
Callable
6/15/28
@
100
622,298
10,910,000
Amgen,
Inc.,
4.05%,
8/18/29,
Callable
6/18/29
@
100
10,478,215
1,149,000
Amgen,
Inc.,
3.00%,
1/15/52,
Callable
7/15/51
@
100
769,457
1,628,000
Amgen,
Inc.,
4.20%,
2/22/52,
Callable
8/22/51
@
100
1,334,169
785,000
Amgen,
Inc.,
5.65%,
3/2/53,
Callable
9/2/52
@
100
801,069
1,007,000
Amgen,
Inc.,
4.40%,
2/22/62,
Callable
8/22/61
@
100
826,277
1,609,000
Amgen,
Inc.,
5.75%,
3/2/63,
Callable
9/2/62
@
100
1,640,031
3,329,000
Gilead
Sciences,
Inc.,
1.65%,
10/1/30,
Callable
7/1/30
@
100
2,740,749
2,929,000
Gilead
Sciences,
Inc.,
2.60%,
10/1/40,
Callable
4/1/40
@
100
2,063,773
63,000
Gilead
Sciences,
Inc.,
4.80%,
4/1/44,
Callable
10/1/43
@
100
58,241
30,570,035
Broadline
Retail
(
0
.0
%
):
741,000
eBay,
Inc.,
6.30%,
11/22/32,
Callable
8/22/32
@
100
793,994
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
79
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Capital
Markets
(
2
.8
%
):
$
2,463,000
FactSet
Research
Systems,
Inc.,
3.45%,
3/1/32,
Callable
12/1/31
@
100
$
2,165,750
3,795,000
Goldman
Sachs
Group,
Inc.
(The),
1.43%
(SOFR+80
bps),
3/9/27,
Callable
3/9/26
@
100
3,515,601
6,582,000
Goldman
Sachs
Group,
Inc.
(The),
3.62%
(SOFR+185
bps),
3/15/28,
Callable
3/15/27
@
100
6,299,620
7,059,000
Goldman
Sachs
Group,
Inc.
(The),
3.81%
(TSFR3M+142
bps),
4/23/29,
Callable
4/23/28
@
100
6,684,689
536,000
Goldman
Sachs
Group,
Inc.
(The),
4.22%
(TSFR3M+156
bps),
5/1/29,
Callable
5/1/28
@
100
513,251
139,000
Goldman
Sachs
Group,
Inc.
(The),
6.48%
(SOFR+177
bps),
10/24/29,
Callable
10/24/28
@
100
146,539
697,000
Goldman
Sachs
Group,
Inc.
(The),
1.99%
(SOFR+109
bps),
1/27/32,
Callable
1/27/31
@
100
564,714
6,629,000
Goldman
Sachs
Group,
Inc.
(The),
2.65%
(SOFR+126
bps),
10/21/32,
Callable
10/21/31
@
100
5,518,696
2,083,000
Goldman
Sachs
Group,
Inc.
(The),
3.10%
(SOFR+141
bps),
2/24/33,
Callable
2/24/32
@
100
1,773,858
4,637,000
Goldman
Sachs
Group,
Inc.
(The),
6.56%
(SOFR+195
bps),
10/24/34,
Callable
10/24/33
@
100^
5,042,807
552,000
Moody's
Corp.,
4.25%,
2/1/29,
Callable
11/1/28
@
100
537,114
366,000
Moody's
Corp.,
2.55%,
8/18/60,
Callable
2/18/60
@
100
201,113
3,000
Morgan
Stanley,
3.77%
(TSFR3M+140
bps),
1/24/29,
Callable
1/24/28
@
100
2,852
819,000
Morgan
Stanley,
5.16%
(SOFR+159
bps),
4/20/29,
Callable
4/20/28
@
100
814,953
3,227,000
Morgan
Stanley,
6.41%
(SOFR+183
bps),
11/1/29,
Callable
11/1/28
@
100
3,371,854
2,384,000
Morgan
Stanley,
5.17%
(SOFR+145
bps),
1/16/30,
Callable
1/16/29
@
100
2,373,091
13,400,000
Morgan
Stanley,
4.43%
(TSFR3M+189
bps),
1/23/30,
Callable
1/23/29
@
100,
MTN
12,972,835
9,173,000
Morgan
Stanley,
2.70%
(SOFR+114
bps),
1/22/31,
Callable
1/22/30
@
100,
MTN
8,019,726
2,220,000
Morgan
Stanley,
1.79%
(SOFR+103
bps),
2/13/32,
Callable
2/13/31
@
100,
MTN
1,770,246
208,000
Morgan
Stanley,
2.51%
(SOFR+120
bps),
10/20/32,
Callable
10/20/31
@
100,
MTN
171,321
5,567,000
Morgan
Stanley,
2.94%
(SOFR+129
bps),
1/21/33,
Callable
1/21/32
@
100
4,715,054
5,017,000
Morgan
Stanley,
5.25%
(SOFR+187
bps),
4/21/34,
Callable
4/21/33
@
100
4,956,977
3,989,000
Morgan
Stanley,
5.42%
(SOFR+188
bps),
7/21/34,
Callable
7/21/33
@
100
3,993,579
231,000
Morgan
Stanley,
6.63%
(SOFR+205
bps),
11/1/34,
Callable
11/1/33
@
100
252,384
4,591,000
Morgan
Stanley,
5.47%
(SOFR+173
bps),
1/18/35,
Callable
1/18/34
@
100
4,636,377
2,406,000
Nasdaq,
Inc.,
5.55%,
2/15/34,
Callable
11/15/33
@
100
2,448,928
83,463,929
Principal
Amount
Value
Corporate
Bonds,
continued
Chemicals
(
0
.0
%
):
$
447,000
Eastman
Chemical
Co.,
4.50%,
12/1/28,
Callable
9/1/28
@
100
$
434,373
Commercial
Services
&
Supplies
(
0
.1
%
):
964,000
Republic
Services,
Inc.,
4.88%,
4/1/29,
Callable
3/1/29
@
100
963,545
612,000
Republic
Services,
Inc.,
2.38%,
3/15/33,
Callable
12/15/32
@
100
494,967
107,000
Waste
Management,
Inc.,
2.95%,
6/1/41,
Callable
12/1/40
@
100
79,809
551,000
Waste
Management,
Inc.,
4.10%,
3/1/45,
Callable
9/1/44
@
100
475,926
2,014,247
Communications
Equipment
(
0
.1
%
):
2,670,000
Cisco
Systems,
Inc.,
4.95%,
2/26/31,
Callable
12/26/30
@
100
2,691,117
435,000
Juniper
Networks,
Inc.,
3.75%,
8/15/29,
Callable
5/15/29
@
100
404,694
184,000
Juniper
Networks,
Inc.,
2.00%,
12/10/30,
Callable
9/10/30
@
100
149,684
1,142,000
Motorola
Solutions,
Inc.,
2.30%,
11/15/30,
Callable
8/15/30
@
100
955,316
4,200,811
Consumer
Finance
(
0
.0
%
):
79,000
Toyota
Motor
Credit
Corp.,
4.80%,
1/5/34
77,518
Consumer
Staples
Distribution
&
Retail
(
0
.0
%
):
195,000
B.A.T
Capital
Corp.,
5.83%,
2/20/31,
Callable
12/20/30
@
100
195,762
67,000
B.A.T
Capital
Corp.,
6.00%,
2/20/34,
Callable
11/20/33
@
100
67,667
263,429
Containers
&
Packaging
(
0
.0
%
):
952,000
Amcor
Flexibles
North
America,
Inc.,
2.69%,
5/25/31,
Callable
2/25/31
@
100
808,401
Diversified
Consumer
Services
(
0
.0
%
):
145,000
California
Institute
of
Technology,
4.32%,
8/1/45
132,183
360,000
Massachusetts
Institute
of
Technology,
4.68%,
7/1/14^
327,506
459,689
Diversified
Telecommunication
Services
(
1
.2
%
):
749,000
AT&T,
Inc.,
2.55%,
12/1/33,
Callable
9/1/33
@
100
597,760
939,000
AT&T,
Inc.,
4.50%,
5/15/35,
Callable
11/15/34
@
100
878,271
254,000
AT&T,
Inc.,
3.50%,
9/15/53,
Callable
3/15/53
@
100
177,990
7,431,000
AT&T,
Inc.,
3.55%,
9/15/55,
Callable
3/15/55
@
100
5,191,936
646,000
AT&T,
Inc.,
3.80%,
12/1/57,
Callable
6/1/57
@
100
465,575
6,253,000
AT&T,
Inc.,
3.65%,
9/15/59,
Callable
3/15/59
@
100
4,337,112
481,000
AT&T,
Inc.,
3.85%,
6/1/60,
Callable
12/1/59
@
100
348,913
2,454,000
T-Mobile
USA,
Inc.,
2.70%,
3/15/32,
Callable
12/15/31
@
100
2,065,640
426,000
T-Mobile
USA,
Inc.,
5.75%,
1/15/34,
Callable
10/15/33
@
100
444,264
2,030,000
T-Mobile
USA,
Inc.,
5.15%,
4/15/34,
Callable
1/15/34
@
100
2,023,928
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
80
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Diversified
Telecommunication
Services,
continued
$
2,887,000
Verizon
Communications,
Inc.,
3.15%,
3/22/30,
Callable
12/22/29
@
100
$
2,609,363
2,472,000
Verizon
Communications,
Inc.,
1.75%,
1/20/31,
Callable
10/20/30
@
100
2,008,179
993,000
Verizon
Communications,
Inc.,
2.55%,
3/21/31,
Callable
12/21/30
@
100
847,969
10,954,000
Verizon
Communications,
Inc.,
2.36%,
3/15/32,
Callable
12/15/31
@
100
9,001,690
3,322,000
Verizon
Communications,
Inc.,
4.27%,
1/15/36
3,057,536
1,168,000
Verizon
Communications,
Inc.,
3.00%,
11/20/60,
Callable
5/20/60
@
100^
728,155
34,784,281
Electric
Utilities
(
3
.0
%
):
297,000
AEP
Texas,
Inc.,
Series
E,
6.65%,
2/15/33
317,099
1,346,000
AEP
Texas,
Inc.,
5.40%,
6/1/33,
Callable
3/1/33
@
100
1,342,381
256,000
AEP
Texas,
Inc.,
Series
G,
4.15%,
5/1/49,
Callable
11/1/48
@
100
201,981
1,377,000
AEP
Texas,
Inc.,
3.45%,
5/15/51,
Callable
11/15/50
@
100
959,573
410,000
AEP
Texas,
Inc.,
5.25%,
5/15/52,
Callable
11/15/51
@
100
385,035
975,000
AEP
Transmission
Co.
LLC,
5.15%,
4/1/34,
Callable
1/1/34
@
100
972,099
1,005,000
AEP
Transmission
Co.
LLC,
3.15%,
9/15/49,
Callable
3/15/49
@
100
689,342
905,000
AEP
Transmission
Co.
LLC,
Series
M,
3.65%,
4/1/50,
Callable
10/1/49
@
100
685,233
818,000
AEP
Transmission
Co.
LLC,
Series
N,
2.75%,
8/15/51,
Callable
2/15/51
@
100
512,115
903,000
AEP
Transmission
Co.
LLC,
5.40%,
3/15/53,
Callable
9/15/52
@
100
898,140
823,000
Alabama
Power
Co.,
Series
B,
3.70%,
12/1/47,
Callable
6/1/47
@
100
637,845
212,000
Alabama
Power
Co.,
Series
A,
4.30%,
7/15/48,
Callable
1/15/48
@
100
180,454
643,000
Alabama
Power
Co.,
3.45%,
10/1/49,
Callable
4/1/49
@
100
475,010
91,000
Alabama
Power
Co.,
3.13%,
7/15/51,
Callable
1/15/51
@
100
62,844
908,000
Alabama
Power
Co.,
3.00%,
3/15/52,
Callable
9/15/51
@
100
613,507
218,000
American
Transmission
Systems,
Inc.,
2.65%,
1/15/32,
Callable
10/15/31
@
100(a)
180,406
151,000
Atlantic
City
Electric
Co.,
4.00%,
10/15/28,
Callable
7/15/28
@
100
145,795
1,216,000
Baltimore
Gas
and
Electric
Co.,
3.75%,
8/15/47,
Callable
2/15/47
@
100
942,295
642,000
Baltimore
Gas
and
Electric
Co.,
3.20%,
9/15/49,
Callable
3/15/49
@
100
448,876
1,310,000
Baltimore
Gas
and
Electric
Co.,
4.55%,
6/1/52,
Callable
12/1/51
@
100
1,152,194
117,000
Baltimore
Gas
and
Electric
Co.,
5.40%,
6/1/53,
Callable
12/1/52
@
100
116,571
366,000
Dominion
Energy
South
Carolina,
Inc.,
6.25%,
10/15/53,
Callable
4/15/53
@
100
408,118
983,000
DTE
Electric
Co.,
5.40%,
4/1/53,
Callable
10/1/52
@
100
986,375
Principal
Amount
Value
Corporate
Bonds,
continued
Electric
Utilities,
continued
$
429,000
Duke
Energy
Carolinas
LLC,
2.45%,
2/1/30,
Callable
11/1/29
@
100
$
376,527
2,897,000
Duke
Energy
Carolinas
LLC,
4.95%,
1/15/33,
Callable
10/15/32
@
100
2,872,856
2,218,000
Duke
Energy
Carolinas
LLC,
4.85%,
1/15/34,
Callable
10/15/33
@
100
2,176,379
118,000
Duke
Energy
Carolinas
LLC,
3.75%,
6/1/45,
Callable
12/1/44
@
100
92,421
718,000
Duke
Energy
Carolinas
LLC,
3.88%,
3/15/46,
Callable
9/15/45
@
100
567,025
654,000
Duke
Energy
Carolinas
LLC,
3.95%,
3/15/48,
Callable
9/15/47
@
100
519,126
426,000
Duke
Energy
Carolinas
LLC,
3.20%,
8/15/49,
Callable
2/15/49
@
100
297,085
198,000
Duke
Energy
Carolinas
LLC,
3.45%,
4/15/51,
Callable
10/15/50
@
100
144,168
985,000
Duke
Energy
Carolinas
LLC,
3.55%,
3/15/52,
Callable
9/15/51
@
100
720,568
3,972,000
Duke
Energy
Florida
LLC,
2.50%,
12/1/29,
Callable
9/1/29
@
100
3,513,548
2,209,000
Duke
Energy
Florida
LLC,
1.75%,
6/15/30,
Callable
3/15/30
@
100
1,833,868
265,000
Duke
Energy
Florida
LLC,
2.40%,
12/15/31,
Callable
9/15/31
@
100
221,527
285,000
Duke
Energy
Florida
LLC,
4.20%,
7/15/48,
Callable
1/15/48
@
100
236,077
1,396,000
Duke
Energy
Florida
LLC,
5.95%,
11/15/52,
Callable
5/15/52
@
100
1,481,639
672,000
Duke
Energy
Ohio,
Inc.,
4.30%,
2/1/49,
Callable
8/1/48
@
100
556,215
1,355,000
Duke
Energy
Progress
LLC,
3.45%,
3/15/29,
Callable
12/15/28
@
100
1,274,031
2,068,000
Duke
Energy
Progress
LLC,
5.25%,
3/15/33,
Callable
12/15/32
@
100
2,090,436
220,000
Duke
Energy
Progress
LLC,
5.70%,
4/1/35
222,790
177,000
Duke
Energy
Progress
LLC,
6.30%,
4/1/38
190,619
1,043,000
Duke
Energy
Progress
LLC,
4.10%,
5/15/42,
Callable
11/15/41
@
100
875,641
857,000
Duke
Energy
Progress
LLC,
4.38%,
3/30/44,
Callable
9/30/43
@
100
735,838
656,000
Duke
Energy
Progress
LLC,
2.50%,
8/15/50,
Callable
2/15/50
@
100
393,708
517,000
Edison
International,
5.75%,
6/15/27,
Callable
4/15/27
@
100
522,828
2,800,000
Edison
International,
6.95%,
11/15/29,
Callable
9/15/29
@
100
2,990,313
451,000
Entergy
Arkansas
LLC,
2.65%,
6/15/51,
Callable
12/15/50
@
100
273,981
1,887,000
Eversource
Energy,
Series
O,
4.25%,
4/1/29,
Callable
1/1/29
@
100
1,808,533
119,000
Exelon
Corp.,
5.63%,
6/15/35
120,542
193,000
FirstEnergy
Corp.,
2.05%,
3/1/25,
Callable
2/1/25
@
100
185,732
636,000
FirstEnergy
Corp.,
Series
C,
3.40%,
3/1/50,
Callable
9/1/49
@
100
433,802
637,000
FirstEnergy
Transmission
LLC,
4.55%,
4/1/49,
Callable
10/1/48
@
100(a)
537,805
1,120,000
Florida
Power
&
Light
Co.,
3.15%,
10/1/49,
Callable
4/1/49
@
100
788,532
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
81
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Electric
Utilities,
continued
$
1,161,000
Florida
Power
&
Light
Co.,
2.88%,
12/4/51,
Callable
6/4/51
@
100
$
763,346
1,391,000
Georgia
Power
Co.,
4.95%,
5/17/33,
Callable
11/17/32
@
100
1,372,192
118,000
Kentucky
Utilities
Co.,
5.45%,
4/15/33,
Callable
1/15/33
@
100
120,215
911,000
MidAmerican
Energy
Co.,
3.10%,
5/1/27,
Callable
2/1/27
@
100
865,284
941,000
MidAmerican
Energy
Co.,
2.70%,
8/1/52,
Callable
2/1/52
@
100
583,854
1,274,000
MidAmerican
Energy
Co.,
5.30%,
2/1/55,
Callable
8/1/54
@
100
1,259,191
864,000
Northern
States
Power
Co.,
Series
M,
2.90%,
3/1/50,
Callable
9/1/49
@
100
577,559
598,000
Ohio
Power
Co.,
Series
P,
2.60%,
4/1/30,
Callable
1/1/30
@
100
519,458
1,183,000
Ohio
Power
Co.,
Series
Q,
1.63%,
1/15/31,
Callable
10/15/30
@
100
944,643
494,000
Ohio
Power
Co.,
Series
G,
6.60%,
2/15/33
527,964
2,599,000
Ohio
Power
Co.,
5.00%,
6/1/33,
Callable
3/1/33
@
100
2,554,521
345,000
Ohio
Power
Co.,
Series
F,
5.85%,
10/1/35
353,579
290,000
Ohio
Power
Co.,
4.15%,
4/1/48,
Callable
10/1/47
@
100
233,326
362,000
Ohio
Power
Co.,
4.00%,
6/1/49,
Callable
12/1/48
@
100
283,587
663,000
Ohio
Power
Co.,
Series
R,
2.90%,
10/1/51,
Callable
4/1/51
@
100
425,399
128,000
Oncor
Electric
Delivery
Co.
LLC,
3.80%,
9/30/47,
Callable
3/30/47
@
100
99,553
774,000
Pacific
Gas
and
Electric
Co.,
6.15%,
1/15/33,
Callable
10/15/32
@
100
800,020
8,122,000
Pacific
Gas
and
Electric
Co.,
6.40%,
6/15/33,
Callable
3/15/33
@
100
8,555,755
728,000
Pacific
Gas
and
Electric
Co.,
3.50%,
8/1/50,
Callable
2/1/50
@
100
498,455
614,000
PECO
Energy
Co.,
3.05%,
3/15/51,
Callable
9/15/50
@
100
419,094
951,000
PECO
Energy
Co.,
2.85%,
9/15/51,
Callable
3/15/51
@
100
618,676
1,372,000
PECO
Energy
Co.,
4.38%,
8/15/52,
Callable
2/15/52
@
100
1,195,233
675,000
Public
Service
Co
of
New
Hampshire,
3.60%,
7/1/49,
Callable
1/1/49
@
100
516,489
545,000
Public
Service
Co
of
New
Hampshire,
5.15%,
1/15/53,
Callable
7/15/52
@
100
533,050
535,000
Public
Service
Electric
and
Gas
Co.,
3.65%,
9/1/28,
Callable
6/1/28
@
100
510,724
821,000
Public
Service
Electric
and
Gas
Co.,
4.90%,
12/15/32,
Callable
9/15/32
@
100
817,384
357,000
Public
Service
Electric
and
Gas
Co.,
4.65%,
3/15/33,
Callable
12/15/32
@
100,
MTN
348,636
340,000
Public
Service
Electric
and
Gas
Co.,
2.05%,
8/1/50,
Callable
2/1/50
@
100,
MTN
192,158
337,000
Public
Service
Electric
and
Gas
Co.,
5.45%,
8/1/53,
Callable
2/1/53
@
100
345,833
2,047,000
Public
Service
Electric
and
Gas
Co.,
5.45%,
3/1/54,
Callable
9/1/53
@
100
2,109,280
Principal
Amount
Value
Corporate
Bonds,
continued
Electric
Utilities,
continued
$
1,781,000
San
Diego
Gas
&
Electric
Co.,
5.35%,
4/1/53,
Callable
10/1/52
@
100
$
1,750,990
1,920,000
Southern
California
Edison
Co.,
5.30%,
3/1/28,
Callable
2/1/28
@
100
1,941,481
2,489,000
Southern
California
Edison
Co.,
5.65%,
10/1/28,
Callable
9/1/28
@
100
2,551,026
4,528,000
Southern
California
Edison
Co.,
2.85%,
8/1/29,
Callable
5/1/29
@
100
4,078,152
742,000
Southern
California
Edison
Co.,
2.75%,
2/1/32,
Callable
11/1/31
@
100
627,348
1,729,000
Southern
California
Edison
Co.,
5.95%,
11/1/32,
Callable
8/1/32
@
100
1,813,560
671,000
Southern
California
Edison
Co.,
Series
2004-G,
5.75%,
4/1/35
685,570
417,000
Southern
California
Edison
Co.,
Series
2005-E,
5.35%,
7/15/35
414,876
435,000
Southern
California
Edison
Co.,
3.65%,
2/1/50,
Callable
8/1/49
@
100
321,277
695,000
Southern
California
Edison
Co.,
Series
20A,
2.95%,
2/1/51,
Callable
8/1/50
@
100
450,060
460,000
Southern
California
Edison
Co.,
Series
H,
3.65%,
6/1/51,
Callable
12/1/50
@
100
338,249
3,000
Tampa
Electric
Co.,
4.45%,
6/15/49,
Callable
12/15/48
@
100
2,552
1,614,562
Texas
Electric
Market
Stabilization
Funding
N
LLC,
Series
A-1,
4.27%,
8/1/34(a)
1,564,162
463,000
Union
Electric
Co.,
2.63%,
3/15/51,
Callable
9/15/50
@
100
284,066
309,000
Union
Electric
Co.,
5.45%,
3/15/53,
Callable
9/15/52
@
100
306,018
514,000
Virginia
Electric
and
Power
Co.,
Series
B,
4.20%,
5/15/45,
Callable
11/15/44
@
100
430,464
1,604,000
Virginia
Electric
and
Power
Co.,
2.45%,
12/15/50,
Callable
6/15/50
@
100
940,266
89,812,023
Financial
Services
(
0
.5
%
):
3,190,000
BP
Capital
Markets
America,
Inc.,
4.99%,
4/10/34,
Callable
1/10/34
@
100
3,174,328
295,000
Franciscan
Missionaries
of
Our
Lady
Health
System,
Inc.,
Series
B,
3.91%,
7/1/49,
Callable
1/1/49
@
100
230,290
927,000
Glencore
Funding
LLC,
3.88%,
10/27/27,
Callable
7/27/27
@
100(a)
886,152
2,012,000
Glencore
Funding
LLC,
5.40%,
5/8/28,
Callable
4/8/28
@
100(a)
2,027,124
418,000
Glencore
Funding
LLC,
4.88%,
3/12/29,
Callable
12/12/28
@
100^(a)
409,707
4,180,000
Glencore
Funding
LLC,
5.37%,
4/4/29,
Callable
3/4/29
@
100(a)
4,180,000
1,418,000
Glencore
Funding
LLC,
6.38%,
10/6/30,
Callable
8/6/30
@
100(a)
1,493,391
537,000
Global
Payments,
Inc.,
3.20%,
8/15/29,
Callable
5/15/29
@
100
483,357
1,151,000
Global
Payments,
Inc.,
2.90%,
5/15/30,
Callable
2/15/30
@
100
995,921
915,000
Northwest
Florida
Timber
Finance
LLC,
4.75%,
3/4/29(a)
850,420
14,730,690
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
82
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Gas
Utilities
(
0
.7
%
):
$
262,000
Atmos
Energy
Corp.,
4.13%,
10/15/44,
Callable
4/15/44
@
100
$
226,181
13,884,000
Cheniere
Corpus
Christi
Holdings
LLC,
5.13%,
6/30/27,
Callable
1/1/27
@
100
13,853,455
2,650,000
Cheniere
Corpus
Christi
Holdings
LLC,
3.70%,
11/15/29,
Callable
5/18/29
@
100
2,464,500
36,000
Northern
States
Power
Co.,
Series
M,
5.40%,
3/15/54,
Callable
9/15/53
@
100
36,136
753,000
ONE
Gas,
Inc.,
2.00%,
5/15/30,
Callable
2/15/30
@
100
637,094
743,000
Piedmont
Natural
Gas
Co.,
Inc.,
3.50%,
6/1/29,
Callable
3/1/29
@
100
690,057
325,000
Piedmont
Natural
Gas
Co.,
Inc.,
2.50%,
3/15/31,
Callable
12/15/30
@
100
273,779
1,327,000
Southwest
Gas
Corp.,
5.45%,
3/23/28,
Callable
2/23/28
@
100
1,344,231
19,525,433
Ground
Transportation
(
0
.3
%
):
1,740,000
Burlington
Northern
Santa
Fe
LLC,
4.15%,
12/15/48,
Callable
6/15/48
@
100
1,466,719
855,000
Burlington
Northern
Santa
Fe
LLC,
3.05%,
2/15/51,
Callable
8/15/50
@
100
583,874
376,000
CSX
Corp.,
4.50%,
3/15/49,
Callable
9/15/48
@
100
331,165
1,125,000
Norfolk
Southern
Corp.,
2.55%,
11/1/29,
Callable
8/1/29
@
100
993,516
667,000
Norfolk
Southern
Corp.,
3.40%,
11/1/49,
Callable
5/1/49
@
100
485,052
520,000
Norfolk
Southern
Corp.,
2.90%,
8/25/51,
Callable
2/25/51
@
100
338,697
336,000
Norfolk
Southern
Corp.,
4.05%,
8/15/52,
Callable
2/15/52
@
100
270,789
120,000
Ryder
System,
Inc.,
6.30%,
12/1/28,
Callable
11/1/28
@
100
125,499
1,287,000
Union
Pacific
Corp.,
2.80%,
2/14/32,
Callable
12/15/31
@
100
1,113,776
843,000
Union
Pacific
Corp.,
2.89%,
4/6/36,
Callable
1/6/36
@
100
684,102
2,000
Union
Pacific
Corp.,
4.50%,
9/10/48,
Callable
3/10/48
@
100
1,768
779,000
Union
Pacific
Corp.,
2.95%,
3/10/52,
Callable
9/10/51
@
100
523,117
412,000
Union
Pacific
Corp.,
4.95%,
9/9/52,
Callable
3/9/52
@
100
397,162
305,000
Union
Pacific
Corp.,
4.95%,
5/15/53,
Callable
11/15/52
@
100
294,399
348,653
Union
Pacific
Railroad
Co.
Pass
Through
Trust,
Series
2014-1,
3.23%,
5/14/26
336,620
7,946,255
Health
Care
Equipment
&
Supplies
(
0
.1
%
):
1,686,000
Becton,
Dickinson
&
Co.,
4.87%,
2/8/29,
Callable
1/8/29
@
100
1,673,254
Health
Care
Providers
&
Services
(
1
.3
%
):
275,000
AHS
Hospital
Corp.,
Series
2021,
2.78%,
7/1/51,
Callable
1/1/51
@
100
180,843
610,000
City
of
Hope,
Series
2013,
5.62%,
11/15/43
601,985
350,000
CommonSpirit
Health,
2.78%,
10/1/30,
Callable
4/1/30
@
100
303,426
Principal
Amount
Value
Corporate
Bonds,
continued
Health
Care
Providers
&
Services,
continued
$
130,000
CommonSpirit
Health,
3.82%,
10/1/49,
Callable
4/1/49
@
100
$
101,022
965,000
Corewell
Health
Obligated
Group,
Series
2019-A,
3.49%,
7/15/49,
Callable
1/15/49
@
100
739,822
3,100,000
CVS
Health
Corp.,
1.30%,
8/21/27,
Callable
6/21/27
@
100
2,747,511
299,000
CVS
Health
Corp.,
4.30%,
3/25/28,
Callable
12/25/27
@
100
291,910
4,546,000
CVS
Health
Corp.,
5.00%,
1/30/29,
Callable
12/30/28
@
100
4,540,027
459,000
CVS
Health
Corp.,
5.25%,
1/30/31,
Callable
11/30/30
@
100
461,758
675,000
CVS
Health
Corp.,
2.13%,
9/15/31,
Callable
6/15/31
@
100
550,976
1,240,000
Duke
University
Health
System,
Inc.,
Series
2017,
3.92%,
6/1/47,
Callable
12/1/46
@
100
1,033,605
783,000
Elevance
Health,
Inc.,
3.60%,
3/15/51,
Callable
9/15/50
@
100
585,095
543,000
Elevance
Health,
Inc.,
4.55%,
5/15/52,
Callable
11/15/51
@
100
476,816
158,000
Elevance
Health,
Inc.,
5.13%,
2/15/53,
Callable
8/15/52
@
100
151,276
402,000
Evernorth
Health,
Inc.,
4.50%,
2/25/26,
Callable
11/27/25
@
100
396,156
4,231,000
HCA,
Inc.,
3.13%,
3/15/27,
Callable
2/15/27
@
100
3,993,082
1,556,000
HCA,
Inc.,
5.20%,
6/1/28,
Callable
5/1/28
@
100
1,556,093
2,708,000
HCA,
Inc.,
5.88%,
2/1/29,
Callable
8/1/28
@
100
2,765,545
1,267,000
HCA,
Inc.,
3.38%,
3/15/29,
Callable
1/15/29
@
100
1,159,857
4,822,000
HCA,
Inc.,
4.13%,
6/15/29,
Callable
3/15/29
@
100
4,562,818
2,833,000
HCA,
Inc.,
3.50%,
9/1/30,
Callable
3/1/30
@
100
2,556,783
1,801,000
HCA,
Inc.,
5.45%,
4/1/31,
Callable
2/1/31
@
100
1,807,430
1,434,000
HCA,
Inc.,
3.50%,
7/15/51,
Callable
1/15/51
@
100
987,009
197,000
Hoag
Memorial
Hospital
Presbyterian,
3.80%,
7/15/52,
Callable
1/15/52
@
100^
160,360
1,393,000
Humana,
Inc.,
1.35%,
2/3/27,
Callable
1/3/27
@
100
1,251,860
410,000
Mount
Nittany
Medical
Center
Obligated
Group,
Series
2022,
3.80%,
11/15/52
323,525
2,570,000
Solventum
Corp.,
5.45%,
2/25/27,
Callable
1/25/27
@
100(a)
2,580,146
827,000
Solventum
Corp.,
6.00%,
5/15/64,
Callable
11/15/63
@
100(a)
816,089
235,000
UnitedHealth
Group,
Inc.,
4.20%,
1/15/47,
Callable
7/15/46
@
100
200,371
400,000
UnitedHealth
Group,
Inc.,
2.90%,
5/15/50,
Callable
11/15/49
@
100
271,646
804,000
UnitedHealth
Group,
Inc.,
3.25%,
5/15/51,
Callable
11/15/50
@
100
580,488
538,000
UnitedHealth
Group,
Inc.,
4.75%,
5/15/52,
Callable
11/15/51
@
100
498,146
477,000
UnitedHealth
Group,
Inc.,
3.88%,
8/15/59,
Callable
2/15/59
@
100
369,078
530,000
UnitedHealth
Group,
Inc.,
5.20%,
4/15/63,
Callable
10/15/62
@
100
516,429
40,118,983
Hotels,
Restaurants
&
Leisure
(
0
.1
%
):
375,000
Marriott
International,
Inc.,
Series
II,
2.75%,
10/15/33,
Callable
7/15/33
@
100
304,245
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
83
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Hotels,
Restaurants
&
Leisure,
continued
$
2,737,000
Marriott
International,
Inc.,
5.30%,
5/15/34,
Callable
2/15/34
@
100
$
2,698,238
3,002,483
Industrial
REITs
(
0
.0
%
):
177,000
Prologis
LP,
2.25%,
1/15/32,
Callable
10/15/31
@
100
146,215
Insurance
(
0
.2
%
):
374,000
American
International
Group,
Inc.,
4.75%,
4/1/48,
Callable
10/1/47
@
100
340,374
775,000
Aon
Corp.,
4.50%,
12/15/28,
Callable
9/15/28
@
100
760,017
928,000
Aon
Corp.,
2.80%,
5/15/30,
Callable
2/15/30
@
100
818,228
735,000
Aon
Corp./Aon
Global
Holdings
plc,
2.60%,
12/2/31,
Callable
9/2/31
@
100
617,609
204,000
Hartford
Financial
Services
Group,
Inc.
(The),
4.30%,
4/15/43
173,320
2,128,000
Marsh
&
McLennan
Cos.,
Inc.,
4.38%,
3/15/29,
Callable
12/15/28
@
100
2,092,154
187,000
Marsh
&
McLennan
Cos.,
Inc.,
2.38%,
12/15/31,
Callable
9/15/31
@
100
155,600
1,421,000
Prologis
LP,
1.75%,
2/1/31,
Callable
11/1/30
@
100
1,163,535
6,120,837
Interactive
Media
&
Services
(
0
.1
%
):
2,665,000
Meta
Platforms,
Inc.,
4.65%,
8/15/62,
Callable
2/15/62
@
100
2,387,120
IT
Services
(
0
.0
%
):
722,000
DXC
Technology
Co.,
2.38%,
9/15/28,
Callable
7/15/28
@
100
627,334
Life
Sciences
Tools
&
Services
(
0
.2
%
):
440,000
Agilent
Technologies,
Inc.,
2.30%,
3/12/31,
Callable
12/12/30
@
100
369,323
2,019,000
Thermo
Fisher
Scientific,
Inc.,
2.00%,
10/15/31,
Callable
7/15/31
@
100
1,662,590
401,000
Thermo
Fisher
Scientific,
Inc.,
4.95%,
11/21/32,
Callable
8/21/32
@
100
402,427
2,252,000
Thermo
Fisher
Scientific,
Inc.,
5.09%,
8/10/33,
Callable
5/10/33
@
100
2,276,932
4,711,272
Machinery
(
0
.1
%
):
312,000
CNH
Industrial
Capital
LLC,
4.55%,
4/10/28,
Callable
3/10/28
@
100
305,394
2,668,000
CNH
Industrial
Capital
LLC,
5.50%,
1/12/29,
Callable
12/12/28
@
100
2,707,649
1,417,000
Otis
Worldwide
Corp.,
5.25%,
8/16/28,
Callable
7/16/28
@
100
1,434,204
4,447,247
Media
(
0
.4
%
):
2,976,000
Charter
Communications
Operating
LLC/Charter
Communications
Operating
Capital,
3.95%,
6/30/62,
Callable
12/30/61
@
100
1,788,737
3,856,000
Comcast
Corp.,
1.95%,
1/15/31,
Callable
10/15/30
@
100
3,201,251
3,201,000
Comcast
Corp.,
4.20%,
8/15/34,
Callable
2/15/34
@
100
2,976,712
2,551,000
Comcast
Corp.,
2.94%,
11/1/56,
Callable
5/1/56
@
100
1,601,610
Principal
Amount
Value
Corporate
Bonds,
continued
Media,
continued
$
1,514,000
Comcast
Corp.,
2.99%,
11/1/63,
Callable
5/1/63
@
100
$
933,638
678,000
Paramount
Global,
5.85%,
9/1/43,
Callable
3/1/43
@
100
550,685
210,000
Paramount
Global,
5.25%,
4/1/44,
Callable
10/1/43
@
100
156,321
162,000
Paramount
Global,
4.90%,
8/15/44,
Callable
2/15/44
@
100
116,246
234,000
Paramount
Global,
4.60%,
1/15/45,
Callable
7/15/44
@
100
160,370
220,000
Paramount
Global,
4.95%,
5/19/50,
Callable
11/19/49
@
100
155,769
11,641,339
Metals
&
Mining
(
0
.0
%
):
1,176,000
Newmont
Corp.,
2.60%,
7/15/32,
Callable
4/15/32
@
100^
982,174
88,000
Newmont
Corp./Newcrest
Finance
Pty,
Ltd.,
5.35%,
3/15/34,
Callable
12/15/33
@
100(a)
88,235
1,070,409
Multi-Utilities
(
0
.2
%
):
206,000
Ameren
Illinois
Co.,
3.25%,
3/15/50,
Callable
9/15/49
@
100
146,886
390,000
Ameren
Illinois
Co.,
2.90%,
6/15/51,
Callable
12/15/50
@
100
255,278
705,000
CenterPoint
Energy
Houston
Electric
LLC,
4.45%,
10/1/32,
Callable
7/1/32
@
100
676,605
139,000
CenterPoint
Energy
Houston
Electric
LLC,
4.95%,
4/1/33,
Callable
1/1/33
@
100
137,638
176,000
CenterPoint
Energy
Houston
Electric
LLC,
3.95%,
3/1/48,
Callable
9/1/47
@
100
143,645
315,000
CenterPoint
Energy
Houston
Electric
LLC,
3.35%,
4/1/51,
Callable
10/1/50
@
100
228,849
205,000
CenterPoint
Energy
Resources
Corp.,
4.00%,
4/1/28,
Callable
1/1/28
@
100
197,544
558,000
Consolidated
Edison
Co.
of
New
York,
Inc.,
5.90%,
11/15/53,
Callable
5/15/53
@
100
594,691
1,463,000
Consumers
Energy
Co.,
3.10%,
8/15/50,
Callable
2/15/50
@
100
1,027,209
1,800,000
Consumers
Energy
Co.,
4.20%,
9/1/52,
Callable
3/1/52
@
100
1,509,235
1,618,000
NiSource,
Inc.,
1.70%,
2/15/31,
Callable
11/15/30
@
100
1,290,009
6,207,589
Oil,
Gas
&
Consumable
Fuels
(
4
.2
%
):
165,000
Boardwalk
Pipelines
LP,
3.40%,
2/15/31,
Callable
11/15/30
@
100
146,223
147,000
BP
Capital
Markets
America,
Inc.,
4.89%,
9/11/33,
Callable
6/11/33
@
100
145,543
2,943,000
Cameron
LNG
LLC,
2.90%,
7/15/31,
Callable
4/15/31
@
100(a)
2,535,056
4,525,000
Cameron
LNG
LLC,
3.30%,
1/15/35,
Callable
9/15/34
@
100(a)
3,759,415
1,608,000
Cameron
LNG
LLC,
3.40%,
1/15/38,
Callable
7/15/37
@
100(a)
1,319,621
2,183,000
Cheniere
Energy,
Inc.,
5.65%,
4/15/34,
Callable
10/15/33
@
100(a)
2,191,662
7,253,000
Diamondback
Energy,
Inc.,
3.25%,
12/1/26,
Callable
10/1/26
@
100
6,953,676
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
84
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
$
17,553,000
Diamondback
Energy,
Inc.,
3.50%,
12/1/29,
Callable
9/1/29
@
100
$
16,229,925
15,045,000
Diamondback
Energy,
Inc.,
3.13%,
3/24/31,
Callable
12/24/30
@
100
13,340,537
832,000
Diamondback
Energy,
Inc.,
6.25%,
3/15/53,
Callable
9/15/52
@
100
895,621
243,000
Energy
Transfer
LP,
5.55%,
2/15/28,
Callable
1/15/28
@
100
246,450
310,000
Energy
Transfer
LP,
4.95%,
5/15/28,
Callable
2/15/28
@
100
307,699
1,026,000
Energy
Transfer
LP,
4.95%,
6/15/28,
Callable
3/15/28
@
100
1,016,400
423,000
Energy
Transfer
LP,
8.25%,
11/15/29,
Callable
8/15/29
@
100
479,294
421,000
Energy
Transfer
LP,
6.55%,
12/1/33,
Callable
9/1/33
@
100
451,307
824,000
Energy
Transfer
LP,
4.90%,
3/15/35,
Callable
9/15/34
@
100
777,779
1,948,000
Energy
Transfer
LP,
6.25%,
4/15/49,
Callable
10/15/48
@
100
1,992,732
5,639,000
Energy
Transfer
LP,
5.00%,
5/15/50,
Callable
11/15/49
@
100
4,936,679
10,000,000
EQT
Corp.,
3.90%,
10/1/27,
Callable
7/1/27
@
100
9,493,920
1,740,000
EQT
Corp.,
5.70%,
4/1/28,
Callable
3/1/28
@
100
1,747,882
3,000,000
EQT
Corp.,
5.00%,
1/15/29,
Callable
7/15/28
@
100
2,937,735
1,389,000
EQT
Corp.,
5.75%,
2/1/34,
Callable
11/1/33
@
100
1,383,618
563,000
Hess
Corp.,
5.80%,
4/1/47,
Callable
10/1/46
@
100
579,219
150,000
Kinder
Morgan,
Inc.,
4.30%,
3/1/28,
Callable
12/1/27
@
100
146,353
842,000
Kinder
Morgan,
Inc.,
5.00%,
2/1/29,
Callable
1/1/29
@
100
838,906
398,000
Kinder
Morgan,
Inc.,
5.40%,
2/1/34,
Callable
11/1/33
@
100
395,317
693,000
Kinder
Morgan,
Inc.,
5.30%,
12/1/34,
Callable
6/1/34
@
100
681,096
807,000
Kinder
Morgan,
Inc.,
3.25%,
8/1/50,
Callable
2/1/50
@
100
528,859
698,000
Kinder
Morgan,
Inc.,
3.60%,
2/15/51,
Callable
8/15/50
@
100
487,293
1,990,000
NGPL
PipeCo
LLC,
4.88%,
8/15/27,
Callable
2/15/27
@
100(a)
1,939,255
3,034,000
NGPL
PipeCo
LLC,
3.25%,
7/15/31,
Callable
4/15/31
@
100(a)
2,587,134
1,242,000
NGPL
PipeCo
LLC,
7.77%,
12/15/37(a)
1,372,410
5,010,000
Northwest
Pipeline
LLC,
4.00%,
4/1/27,
Callable
1/1/27
@
100
4,869,560
204,000
ONEOK,
Inc.,
3.95%,
3/1/50,
Callable
9/1/49
@
100
151,364
960,000
Ovintiv,
Inc.,
6.25%,
7/15/33,
Callable
4/15/33
@
100
996,428
532,000
Pioneer
Natural
Resources
Co.,
1.13%,
1/15/26,
Callable
12/15/25
@
100
495,285
2,028,000
Pioneer
Natural
Resources
Co.,
5.10%,
3/29/26
2,025,402
5,015,000
Sabine
Pass
Liquefaction
LLC,
5.00%,
3/15/27,
Callable
9/15/26
@
100
5,002,463
5,476,000
Sabine
Pass
Liquefaction
LLC,
4.20%,
3/15/28,
Callable
9/15/27
@
100
5,298,030
1,967,000
Sabine
Pass
Liquefaction
LLC,
5.90%,
9/15/37,
Callable
3/15/37
@
100
2,026,010
Principal
Amount
Value
Corporate
Bonds,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
$
4,606,000
Targa
Resources
Corp.,
5.20%,
7/1/27,
Callable
6/1/27
@
100
$
4,592,864
10,151,000
Targa
Resources
Corp.,
6.15%,
3/1/29,
Callable
2/1/29
@
100
10,579,951
1,058,000
Targa
Resources
Partners
LP/Targa
Resources
Partners
Finance
Corp.,
4.00%,
1/15/32,
Callable
7/15/26
@
102
949,555
758,000
Texas
Eastern
Transmission
LP,
3.50%,
1/15/28,
Callable
10/15/27
@
100(a)
712,808
2,198,000
Transcontinental
Gas
Pipe
Line
Co.
LLC,
4.00%,
3/15/28,
Callable
12/15/27
@
100
2,118,817
2,848,000
Transcontinental
Gas
Pipe
Line
Co.
LLC,
3.95%,
5/15/50,
Callable
11/15/49
@
100
2,253,944
124,917,097
Passenger
Airlines
(
0
.0
%
):
420,000
Delta
Airlines
Pass
Through
Trust,
Series
2019-AA,
3.20%,
4/25/24
419,167
Pharmaceuticals
(
0
.2
%
):
2,563,000
Bayer
US
Finance
LLC,
6.38%,
11/21/30,
Callable
9/21/30
@
100(a)
2,618,471
2,110,000
Bristol-Myers
Squibb
Co.,
5.10%,
2/22/31,
Callable
12/22/30
@
100
2,122,894
301,000
Eli
Lilly
&
Co.,
4.95%,
2/27/63,
Callable
8/27/62
@
100
290,571
5,031,936
Professional
Services
(
0
.0
%
):
75,000
Equifax,
Inc.,
5.10%,
6/1/28,
Callable
5/1/28
@
100
75,116
Real
Estate
Management
&
Development
(
0
.1
%
):
472,000
Invitation
Homes
Operating
Partnership
LP,
2.30%,
11/15/28,
Callable
9/15/28
@
100
415,303
1,987,000
VICI
Properties
LP/VICI
Note
Co.,
Inc.,
4.13%,
8/15/30,
Callable
2/15/25
@
102.06(a)
1,805,686
2,220,989
Retail
REITs
(
0
.1
%
):
593,000
NNN
REIT,
Inc.,
3.10%,
4/15/50,
Callable
10/15/49
@
100
392,508
474,000
NNN
REIT,
Inc.,
3.50%,
4/15/51,
Callable
10/15/50
@
100
343,650
402,000
NNN
REIT,
Inc.,
3.00%,
4/15/52,
Callable
10/15/51
@
100
261,434
388,000
Realty
Income
Corp.,
3.20%,
2/15/31,
Callable
11/15/30
@
100
343,339
499,000
Realty
Income
Corp.,
5.13%,
2/15/34,
Callable
11/15/33
@
100
487,996
1,828,927
Semiconductors
&
Semiconductor
Equipment
(
0
.4
%
):
1,998,000
Broadcom,
Inc.,
4.15%,
11/15/30,
Callable
8/15/30
@
100
1,890,949
702,000
Broadcom,
Inc.,
4.15%,
4/15/32,
Callable
1/15/32
@
100(a)
650,585
3,438,000
Broadcom,
Inc.,
4.30%,
11/15/32,
Callable
8/15/32
@
100
3,224,346
1,539,000
Broadcom,
Inc.,
3.14%,
11/15/35,
Callable
8/15/35
@
100(a)
1,240,069
124,000
Intel
Corp.,
3.73%,
12/8/47,
Callable
6/8/47
@
100
96,073
1,208,000
Intel
Corp.,
3.20%,
8/12/61,
Callable
2/12/61
@
100
787,633
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
85
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Semiconductors
&
Semiconductor
Equipment,
continued
$
1,177,000
KLA
Corp.,
4.10%,
3/15/29,
Callable
12/15/28
@
100
$
1,149,073
1,590,000
KLA
Corp.,
5.25%,
7/15/62,
Callable
1/15/62
@
100
1,561,547
61,000
QUALCOMM,
Inc.,
4.25%,
5/20/32,
Callable
2/20/32
@
100
58,733
238,000
Texas
Instruments,
Inc.,
5.15%,
2/8/54,
Callable
8/8/53
@
100
238,083
593,000
Texas
Instruments,
Inc.,
5.05%,
5/18/63,
Callable
11/18/62
@
100
576,513
11,473,604
Software
(
0
.3
%
):
347,000
Autodesk,
Inc.,
2.85%,
1/15/30,
Callable
10/15/29
@
100
309,181
2,565,000
Oracle
Corp.,
6.25%,
11/9/32,
Callable
8/9/32
@
100
2,738,702
3,021,000
Oracle
Corp.,
3.85%,
7/15/36,
Callable
1/15/36
@
100
2,581,103
1,854,000
Oracle
Corp.,
3.60%,
4/1/50,
Callable
10/1/49
@
100
1,333,595
1,075,000
Oracle
Corp.,
6.90%,
11/9/52,
Callable
5/9/52
@
100
1,233,974
1,094,000
Oracle
Corp.,
4.38%,
5/15/55,
Callable
11/15/54
@
100
876,222
655,000
RELX
Capital,
Inc.,
3.00%,
5/22/30,
Callable
2/22/30
@
100
586,261
9,659,038
Specialized
REITs
(
0
.9
%
):
3,255,000
American
Tower
Corp.,
5.80%,
11/15/28,
Callable
10/15/28
@
100
3,324,178
1,265,000
American
Tower
Corp.,
3.95%,
3/15/29,
Callable
12/15/28
@
100
1,195,104
6,977,000
American
Tower
Corp.,
3.80%,
8/15/29,
Callable
5/15/29
@
100
6,516,358
1,144,000
American
Tower
Corp.,
1.88%,
10/15/30,
Callable
7/15/30
@
100
927,102
1,406,000
American
Tower
Corp.,
2.70%,
4/15/31,
Callable
1/15/31
@
100
1,186,641
1,504,000
American
Tower
Corp.,
2.30%,
9/15/31,
Callable
6/15/31
@
100
1,225,743
83,000
American
Tower
Corp.,
4.05%,
3/15/32,
Callable
12/15/31
@
100
75,986
3,049,000
Crown
Castle,
Inc.,
2.25%,
1/15/31,
Callable
10/15/30
@
100
2,510,242
3,649,000
Crown
Castle,
Inc.,
2.50%,
7/15/31,
Callable
4/15/31
@
100
3,015,979
2,031,000
Equinix,
Inc.,
1.55%,
3/15/28,
Callable
1/15/28
@
100
1,761,978
1,793,000
Equinix,
Inc.,
2.00%,
5/15/28,
Callable
3/15/28
@
100
1,568,610
622,000
Equinix,
Inc.,
2.15%,
7/15/30,
Callable
4/15/30
@
100
516,375
1,290,000
Equinix,
Inc.,
2.50%,
5/15/31,
Callable
2/15/31
@
100
1,072,703
1,075,000
Equinix,
Inc.,
3.90%,
4/15/32,
Callable
1/15/32
@
100
971,335
497,000
Extra
Space
Storage
LP,
4.00%,
6/15/29,
Callable
3/15/29
@
100
467,810
26,336,144
Principal
Amount
Value
Corporate
Bonds,
continued
Specialty
Retail
(
0
.2
%
):
$
116,000
General
Motors
Financial
Co.,
Inc.,
5.80%,
6/23/28,
Callable
5/23/28
@
100
$
118,069
4,886,000
Lowe's
Cos.,
Inc.,
3.65%,
4/5/29,
Callable
1/5/29
@
100
4,624,814
2,736,000
Lowe's
Cos.,
Inc.,
2.63%,
4/1/31,
Callable
1/1/31
@
100
2,349,985
7,092,868
Technology
Hardware,
Storage
&
Peripherals
(
0
.1
%
):
678,000
Dell
International
LLC/EMC
Corp.,
3.45%,
12/15/51,
Callable
6/15/51
@
100
473,841
1,201,000
Hewlett
Packard
Enterprise
Co.,
5.25%,
7/1/28,
Callable
6/1/28
@
100
1,208,804
494,000
TSMC
Arizona
Corp.,
4.25%,
4/22/32,
Callable
1/22/32
@
100^
480,519
2,163,164
Tobacco
(
0
.7
%
):
5,919,000
Altria
Group,
Inc.,
4.80%,
2/14/29,
Callable
11/14/28
@
100
5,857,365
2,458,000
Altria
Group,
Inc.,
2.45%,
2/4/32,
Callable
11/4/31
@
100
1,988,365
1,430,000
Altria
Group,
Inc.,
6.88%,
11/1/33,
Callable
8/1/33
@
100
1,551,837
311,000
Altria
Group,
Inc.,
4.25%,
8/9/42
251,316
1,100,000
Altria
Group,
Inc.,
3.70%,
2/4/51,
Callable
8/4/50
@
100
768,643
2,661,000
B.A.T
Capital
Corp.,
3.46%,
9/6/29,
Callable
6/6/29
@
100
2,422,609
691,000
BAT
Capital
Corp.,
4.70%,
4/2/27,
Callable
2/2/27
@
100
676,298
1,479,000
BAT
Capital
Corp.,
2.26%,
3/25/28,
Callable
1/25/28
@
100
1,312,402
231,000
BAT
Capital
Corp.,
4.54%,
8/15/47,
Callable
2/15/47
@
100
177,244
2,084,000
BAT
Capital
Corp.,
4.76%,
9/6/49,
Callable
3/6/49
@
100
1,662,499
1,299,000
BAT
Capital
Corp.,
3.98%,
9/25/50,
Callable
3/25/50
@
100
904,434
1,260,000
BAT
Capital
Corp.,
7.08%,
8/2/53,
Callable
2/2/53
@
100
1,358,216
255,000
Philip
Morris
International,
Inc.,
5.25%,
9/7/28,
Callable
8/7/28
@
100
257,187
1,346,000
Philip
Morris
International,
Inc.,
3.38%,
8/15/29,
Callable
5/15/29
@
100
1,245,551
20,433,966
Water
Utilities
(
0
.0
%
):
612,000
CenterPoint
Energy
Resources
Corp.,
5.25%,
3/1/28,
Callable
2/1/28
@
100
617,555
Wireless
Telecommunication
Services
(
0
.2
%
):
1,710,000
Sprint
LLC,
7.63%,
3/1/26,
Callable
11/1/25
@
100
1,765,575
3,477,000
T-Mobile
USA,
Inc.,
3.75%,
4/15/27,
Callable
2/15/27
@
100
3,350,681
1,400,000
T-Mobile
USA,
Inc.,
4.95%,
3/15/28,
Callable
2/15/28
@
100
1,396,153
328,000
T-Mobile
USA,
Inc.,
5.05%,
7/15/33,
Callable
4/15/33
@
100
324,026
6,836,435
Total
Corporate
Bonds
(Cost
$726,915,665)
722,399,343
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
86
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Foreign
Bonds
(
0
.0
%
):
Chemicals
(
0
.0
%
):
$
100,000
Kazakhstan
Government
International
Bond,
Registered
Shares,
1.50%,
9/30/34,
MTN(a)
$
88,181
Sovereign
Bond
(
0
.0
%
):
152,000
Romanian
Government
International
Bond,
2.88%,
3/11/29,
MTN(a)
151,033
163,000
Romanian
Government
International
Bond,
Registered
Shares,
2.50%,
2/8/30,
MTN(a)
155,184
306,217
Total
Foreign
Bonds
(Cost
$364,295)
394,398
Yankee
Debt
Obligations
(
2
.8
%
):
Aerospace
&
Defense
(
0
.0
%
):
210,000
BAE
Systems
plc,
5.25%,
3/26/31,
Callable
2/26/31
@
100(a)
211,050
Banks
(
0
.2
%
):
415,000
Banco
del
Estado
de
Chile,
Registered
Shares,
2.70%,
1/9/25,
Callable
12/9/24
@
100^(a)
404,625
428,000
Banco
Inbursa
SA
Institucion
De
Banca
Multiple
Grupo
Financiero
Inbursa,
4.13%,
6/6/24^(a)
426,303
200,000
Bank
Gospodarstwa
Krajowego,
6.25%,
10/31/28(a)
208,072
317,000
Bank
Gospodarstwa
Krajowego,
5.38%,
5/22/33(a)
315,184
3,897,000
Barclays
plc,
5.69%
(SOFR+174
bps),
3/12/30,
Callable
3/12/29
@
100
3,922,786
446,000
Credicorp,
Ltd.,
2.75%,
6/17/25,
Callable
5/17/25
@
100(a)
426,488
497,000
Deutsche
Bank
AG,
3.74%
(SOFR+226
bps),
1/7/33,
Callable
10/7/31
@
100
409,053
348,000
Intercorp
Peru,
Ltd.,
3.88%,
8/15/29,
Callable
5/15/29
@
100(a)
306,240
6,418,751
Capital
Markets
(
0
.6
%
):
322,000
Gaci
First
Investment
Co.,
5.13%,
2/14/53,
Callable
8/14/52
@
100(a)
278,543
732,000
Pfizer
Investment
Enterprises
Pte,
Ltd.,
4.75%,
5/19/33,
Callable
2/19/33
@
100
720,021
2,282,000
Pfizer
Investment
Enterprises
Pte,
Ltd.,
5.30%,
5/19/53,
Callable
11/19/52
@
100
2,266,108
1,604,000
Pfizer
Investment
Enterprises
Pte,
Ltd.,
5.34%,
5/19/63,
Callable
11/19/62
@
100
1,571,148
8,711,000
UBS
Group
AG,
1.30%
(SOFRINDX+98
bps),
2/2/27,
Callable
2/2/26
@
100(a)
8,039,312
883,000
UBS
Group
AG,
3.09%
(SOFR+173
bps),
5/14/32,
Callable
5/14/31
@
100(a)
749,749
895,000
UBS
Group
AG,
2.75%
(H15T1Y+110
bps),
2/11/33,
Callable
2/11/32
@
100(a)
731,268
877,000
UBS
Group
AG,
9.02%
(SOFR+502
bps),
11/15/33,
Callable
11/15/32
@
100(a)
1,060,632
2,006,000
UBS
Group
AG,
5.70%
(H15T1Y+177
bps),
2/8/35,
Callable
2/8/34
@
100(a)
2,009,320
17,426,101
Chemicals
(
0
.0
%
):
660,000
MEGlobal
BV,
4.25%,
11/3/26(a)
634,399
561,000
SABIC
Capital
II
BV,
4.50%,
10/10/28(a)
548,300
1,182,699
Construction
Materials
(
0
.0
%
):
200,000
St.
Marys
Cement,
Inc.,
5.75%,
4/2/34,
Callable
1/2/34
@
100(a)
197,750
Principal
Amount
Value
Yankee
Debt
Obligations,
continued
Consumer
Staples
Distribution
&
Retail
(
0
.0
%
):
$
561,000
Cencosud
SA,
5.15%,
2/12/25,
Callable
11/12/24
@
100(a)
$
555,379
Containers
&
Packaging
(
0
.0
%
):
780,000
Smurfit
Kappa
Treasury
ULC,
5.44%,
4/3/34,
Callable
1/3/34
@
100(a)
780,000
Diversified
Telecommunication
Services
(
0
.0
%
):
344,000
CK
Hutchison
International
23,
Ltd.,
4.75%,
4/21/28,
Callable
3/21/28
@
100(a)
340,977
330,000
NTT
Finance
Corp.,
4.14%,
7/26/24(a)
328,404
669,381
Electric
Utilities
(
0
.0
%
):
597,000
Israel
Electric
Corp.,
Ltd.,
4.25%,
8/14/28,
MTN(a)
552,971
Electrical
Equipment
(
0
.0
%
):
515,000
Sociedad
Quimica
y
Minera
de
Chile
SA,
4.25%,
1/22/50,
Callable
7/22/49
@
100(a)
395,262
Energy
Equipment
&
Services
(
0
.0
%
):
200,000
QazaqGaz
NC
JSC,
Registered
Shares,
4.38%,
9/26/27(a)
188,000
Financial
Services
(
0
.2
%
):
470,000
Banco
Latinoamericano
de
Comercio
Exterior
SA,
2.38%,
9/14/25,
Callable
8/15/25
@
100(a)
443,441
200,000
Banco
Nacional
de
Panama,
2.50%,
8/11/30,
Callable
5/11/30
@
100(a)
154,750
910,000
BP
Capital
Markets
plc,
6.45%
(H15T5Y+215
bps),
12/31/99,
Callable
12/1/33
@
100
944,125
762,000
Consorcio
Transmantaro
SA,
4.70%,
4/16/34(a)
714,375
4,657,000
Credit
Suisse
AG,
5.00%,
7/9/27
4,598,354
250,000
Credit
Suisse
AG,
7.50%,
2/15/28
270,036
7,125,081
Food
Products
(
0
.0
%
):
697,000
Grupo
Bimbo
SAB
de
CV,
4.00%,
9/6/49(a)
537,731
Health
Care
Providers
&
Services
(
0
.0
%
):
578,534
Galaxy
Pipeline
Assets
Bidco,
Ltd.,
2.94%,
9/30/40(a)
463,380
Independent
Power
and
Renewable
Electricity
Producers
(
0
.0
%
):
265,166
AES
Panama
Generation
Holdings
SRL,
4.38%,
5/31/30,
Callable
2/28/30
@
100(a)
232,020
506,000
Colbun
SA,
3.15%,
1/19/32,
Callable
10/19/31
@
100(a)
427,570
527,000
Kallpa
Generacion
SA,
4.13%,
8/16/27,
Callable
5/16/27
@
100(a)
503,195
1,162,785
Interactive
Media
&
Services
(
0
.1
%
):
490,000
Baidu,
Inc.,
4.38%,
5/14/24,
Callable
5/7/24
@
100
489,178
475,000
Baidu,
Inc.,
4.38%,
3/29/28,
Callable
12/29/27
@
100^
465,964
515,000
Tencent
Holdings,
Ltd.,
3.60%,
1/19/28,
Callable
10/19/27
@
100(a)
489,108
1,444,250
Machinery
(
0
.1
%
):
1,402,000
CNH
Industrial
NV,
3.85%,
11/15/27,
Callable
8/15/27
@
100,
MTN
1,345,219
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
87
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Yankee
Debt
Obligations,
continued
Machinery,
continued
$
232,000
Trane
Technologies
Financing,
Ltd.,
3.50%,
3/21/26,
Callable
1/21/26
@
100
$
223,979
1,569,198
Metals
&
Mining
(
0
.3
%
):
1,209,000
Anglo
American
Capital
plc,
4.88%,
5/14/25(a)
1,192,941
3,745,000
Anglo
American
Capital
plc,
2.63%,
9/10/30,
Callable
6/10/30
@
100(a)
3,181,658
1,424,000
Anglo
American
Capital
plc,
2.88%,
3/17/31,
Callable
12/17/30
@
100(a)
1,208,556
1,006,000
Anglo
American
Capital
plc,
4.75%,
3/16/52,
Callable
9/16/51
@
100(a)
849,968
525,000
Antofagasta
plc,
2.38%,
10/14/30,
Callable
7/14/30
@
100(a)
433,863
858,000
Corp.
Nacional
del
Cobre
de
Chile,
Registered
Shares,
3.63%,
8/1/27,
Callable
5/1/27
@
100(a)
810,741
425,000
Freeport
Indonesia
PT,
Registered
Shares,
4.76%,
4/14/27,
Callable
3/14/27
@
100(a)
414,678
409,000
POSCO,
5.63%,
1/17/26(a)
410,078
8,502,483
Multi-Utilities
(
0
.1
%
):
1,980,000
Algonquin
Power
&
Utilities
Corp.,
5.37%,
6/15/26
1,970,405
Oil,
Gas
&
Consumable
Fuels
(
0
.1
%
):
715,000
EIG
Pearl
Holdings
Sarl,
4.39%,
11/30/46(a)
563,062
109,000
Enbridge,
Inc.,
6.20%,
11/15/30,
Callable
9/15/30
@
100
115,240
270,000
KazMunayGas
National
Co.
JSC,
3.50%,
4/14/33,
Callable
10/14/32
@
100(a)
223,425
470,000
Pertamina
Persero
PT,
3.10%,
1/21/30,
Callable
10/21/29
@
100(a)
420,062
495,000
QatarEnergy,
2.25%,
7/12/31,
Callable
4/12/31
@
100(a)
414,214
623,000
Saudi
Arabian
Oil
Co.,
3.25%,
11/24/50,
Callable
5/24/50
@
100(a)
419,746
604,000
Saudi
Arabian
Oil
Co.,
3.50%,
11/24/70,
Callable
5/24/70
@
100(a)
391,845
2,547,594
Paper
&
Forest
Products
(
0
.1
%
):
615,000
Celulosa
Arauco
y
Constitucion
SA,
4.20%,
1/29/30,
Callable
10/29/29
@
100(a)
559,951
552,000
Suzano
Austria
GmbH,
5.75%,
7/14/26(a)
550,557
327,000
Suzano
Austria
GmbH,
3.75%,
1/15/31,
Callable
10/15/30
@
100
288,240
278,000
Suzano
International
Finance
BV,
5.50%,
1/17/27
277,172
1,675,920
Pharmaceuticals
(
0
.0
%
):
1,149,000
Takeda
Pharmaceutical
Co.,
Ltd.,
2.05%,
3/31/30,
Callable
12/31/29
@
100
972,653
Semiconductors
&
Semiconductor
Equipment
(
0
.1
%
):
1,733,000
NXP
BV/NXP
Funding
LLC/NXP
USA,
Inc.,
2.50%,
5/11/31,
Callable
2/11/31
@
100
1,449,867
200,000
SK
Hynix,
Inc.,
Registered
Shares,
6.50%,
1/17/33(a)
213,707
1,663,574
Software
(
0
.0
%
):
650,000
SA
Global
Sukuk,
Ltd.,
2.69%,
6/17/31,
Callable
3/17/31
@
100(a)
557,375
Principal
Amount
Value
Yankee
Debt
Obligations,
continued
Sovereign
Bond
(
0
.7
%
):
$
434,000
Abu
Dhabi
Government
International
Bond,
3.88%,
4/16/50(a)
$
346,548
200,000
Chile
Government
International
Bond,
4.95%,
1/5/36,
Callable
10/5/35
@
100
193,717
3,516,000
Colombia
Government
International
Bond,
3.88%,
4/25/27,
Callable
1/25/27
@
100
3,300,023
275,000
Colombia
Government
International
Bond,
4.50%,
3/15/29,
Callable
12/15/28
@
100
252,340
567,000
Colombia
Government
International
Bond,
3.00%,
1/30/30,
Callable
10/30/29
@
100
468,710
1,905,000
Colombia
Government
International
Bond,
3.13%,
4/15/31,
Callable
1/15/31
@
100
1,513,707
860,000
Colombia
Government
International
Bond,
3.25%,
4/22/32,
Callable
1/22/32
@
100
667,553
425,000
Hungary
Government
International
Bond,
5.25%,
6/16/29(a)
419,847
240,000
Hungary
Government
International
Bond,
7.63%,
3/29/41
276,728
815,000
Mexico
Government
International
Bond,
3.75%,
1/11/28
773,471
378,000
Mexico
Government
International
Bond,
4.75%,
4/27/32,
Callable
1/27/32
@
100
357,592
4,915,000
Mexico
Government
International
Bond,
6.35%,
2/9/35,
Callable
11/9/34
@
100
5,058,616
200,000
Mexico
Government
International
Bond,
6.34%,
5/4/53,
Callable
11/4/52
@
100
196,662
322,000
Mexico
Government
International
Bond,
5.75%,
10/12/10
280,801
420,000
Panama
Government
International
Bond,
3.88%,
3/17/28,
Callable
12/17/27
@
100
386,400
655,000
Panama
Government
International
Bond,
3.16%,
1/23/30,
Callable
10/23/29
@
100
550,200
1,095,000
Panama
Government
International
Bond,
4.50%,
4/1/56,
Callable
10/1/55
@
100
728,175
200,000
Perusahaan
Penerbit
SBSN
Indonesia
III,
4.40%,
6/6/27(a)
196,250
430,000
Peruvian
Government
International
Bond,
2.78%,
1/23/31,
Callable
10/23/30
@
100
368,723
397,000
Peruvian
Government
International
Bond,
1.86%,
12/1/32,
Callable
9/1/32
@
100
302,022
116,000
Peruvian
Government
International
Bond,
3.00%,
1/15/34,
Callable
10/15/33
@
100
94,635
1,031,000
Peruvian
Government
International
Bond,
5.63%,
11/18/50
1,024,303
200,000
Qatar
Government
International
Bond,
4.00%,
3/14/29(a)
195,205
200,000
Qatar
Government
International
Bond,
3.75%,
4/16/30(a)
191,823
200,000
Qatar
Government
International
Bond,
Registered
Shares,
5.10%,
4/23/48(a)
194,148
412,000
Republic
of
Poland
Government
International
Bond,
5.50%,
4/4/53,
Callable
10/4/52
@
100
410,618
278,000
Romanian
Government
International
Bond,
5.25%,
11/25/27(a)
273,601
368,000
Romanian
Government
International
Bond,
3.63%,
3/27/32(a)
315,244
112,000
Romanian
Government
International
Bond,
7.13%,
1/17/33(a)
119,688
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
88
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Yankee
Debt
Obligations,
continued
Sovereign
Bond,
continued
$
236,000
Romanian
Government
International
Bond,
7.63%,
1/17/53(a)
$
261,330
212,000
Saudi
Government
International
Bond,
2.75%,
2/3/32(a)
181,979
200,000
Saudi
Government
International
Bond,
5.00%,
4/17/49(a)
181,741
200,000
Saudi
Government
International
Bond,
Registered
Shares,
3.25%,
11/17/51,
MTN(a)
134,100
478,000
Saudi
Government
International
Bond,
3.75%,
1/21/55(a)
344,270
196,520
Uruguay
Government
International
Bond,
4.50%,
8/14/24
195,538
20,756,308
Tobacco
(
0
.1
%
):
510,000
BAT
International
Finance
plc,
4.45%,
3/16/28,
Callable
2/16/28
@
100
494,921
2,268,000
BAT
International
Finance
plc,
5.93%,
2/2/29,
Callable
1/2/29
@
100
2,329,896
2,824,817
Wireless
Telecommunication
Services
(
0
.1
%
):
280,000
Bharti
Airtel,
Ltd.,
3.25%,
6/3/31,
Callable
3/5/31
@
100(a)
246,203
523,000
Empresa
Nacional
del
Petroleo,
3.75%,
8/5/26,
Callable
5/5/26
@
100(a)
498,157
285,000
Empresa
Nacional
del
Petroleo,
6.15%,
5/10/33,
Callable
2/10/33
@
100(a)
287,494
1,821,000
Rogers
Communications,
Inc.,
5.30%,
2/15/34,
Callable
11/15/33
@
100
1,800,692
2,832,546
Total
Yankee
Debt
Obligations
(Cost
$87,631,024)
85,183,444
Municipal
Bonds
(
0
.4
%
):
California
(
0
.1
%
):
905,000
California
State
University
Revenue,
Series
B,
2.72%,
11/1/52
617,219
1,240,000
Los
Angeles
Department
of
Water
&
Power
Revenue,
6.57%,
7/1/45
1,413,327
435,000
State
of
California,
GO,
7.50%,
4/1/34
512,160
440,000
University
of
California
Revenue,
Series
BF,
2.65%,
5/15/50,
Continuously
Callable
@100
290,893
347,000
University
of
California
Revenue,
Series
AQ,
4.77%,
5/15/15
315,520
50,000
University
of
California
Revenue,
Series
AD,
4.86%,
5/15/12
46,540
3,195,659
Louisiana
(
0
.1
%
):
2,870,000
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Authority
Revenue,
Series
A1-A3,
Class
A1-A3,
5.05%,
12/1/34
2,895,486
Michigan
(
0
.0
%
):
801,000
University
of
Michigan
Revenue,
Series
B,
3.50%,
4/1/52,
Continuously
Callable
@100
632,566
Minnesota
(
0
.0
%
):
406,000
University
of
Minnesota
Revenue,
4.05%,
4/1/52
355,514
Principal
Amount
Value
Municipal
Bonds,
continued
New
Jersey
(
0
.1
%
):
$
270,000
New
Jersey
Transportation
Trust
Fund
Authority
Revenue,
4.13%,
6/15/42
$
232,419
575,000
New
Jersey
Transportation
Trust
Fund
Authority
Revenue,
Series
B,
6.56%,
12/15/40
623,346
165,000
New
Jersey
Turnpike
Authority
Revenue,
Series
B,
2.78%,
1/1/40,
Continuously
Callable
@100
126,353
982,118
New
York
(
0
.1
%
):
1,420,000
New
York
State
Dormitory
Authority
Revenue,
2.15%,
3/15/31
1,196,378
1,045,000
New
York
State
Dormitory
Authority
Revenue,
2.05%,
3/15/30
915,096
2,111,474
Oklahoma
(
0
.0
%
):
255,000
Oklahoma
Development
Finance
Authority
Revenue,
Series
A2,
4.62%,
6/1/44
242,034
Texas
(
0
.0
%
):
430,000
State
of
Texas,
GO,
Series
B,
2.75%,
10/1/41,
Continuously
Callable
@100
309,596
Total
Municipal
Bonds
(Cost
$12,223,567)
10,724,447
U.S.
Government
Agency
Mortgages
(
32
.2
%
):
Government
National
Mortgage
Association
(
5
.6
%
):
6,957
4.50%,
9/15/33,
Pool
#615516
6,777
25,325
5.00%,
12/15/33,
Pool
#783571
24,892
8,819
6.50%,
8/20/38,
Pool
#4223
9,257
7,446
6.50%,
10/15/38,
Pool
#673213
7,449
5,014
6.50%,
11/20/38,
Pool
#4292
5,263
9,232
6.50%,
12/15/38,
Pool
#782510
9,473
94,844
5.00%,
1/15/39,
Pool
#782557
95,255
60,785
5.00%,
4/15/39,
Pool
#782619
60,690
50,230
5.00%,
4/15/39,
Pool
#711939
51,363
5,984
4.00%,
4/20/39,
Pool
#4422
5,617
5,909
5.00%,
6/15/39,
Pool
#782696
5,900
20,526
4.00%,
7/20/39,
Pool
#4494
19,266
35,063
5.00%,
10/20/39,
Pool
#4559
35,403
3,941
4.50%,
12/20/39,
Pool
#4598
3,921
10,175
4.50%,
1/15/40,
Pool
#728627
10,019
4,780
4.50%,
1/20/40,
Pool
#4617
4,756
3,931
4.50%,
2/20/40,
Pool
#4636
3,911
28,852
5.00%,
5/15/40,
Pool
#782958
28,998
250
4.50%,
5/20/40,
Pool
#4696
249
17,774
5.00%,
6/15/40,
Pool
#697862
17,864
24,630
4.50%,
7/15/40,
Pool
#745793
24,254
182,885
4.50%,
7/15/40,
Pool
#733795
180,095
9,743
4.50%,
7/20/40,
Pool
#4746
9,693
17,892
4.50%,
8/20/40,
Pool
#4771
17,799
10,754
4.50%,
9/20/40,
Pool
#748948
10,629
5,341
4.00%,
9/20/40,
Pool
#4800
5,110
39,809
4.50%,
10/15/40,
Pool
#783609
39,546
18,067
4.50%,
10/20/40,
Pool
#4834
17,974
140,915
4.00%,
10/20/40,
Pool
#4833
134,819
262,145
4.00%,
11/20/40,
Pool
#4853
256,700
129,481
4.00%,
12/20/40,
Pool
#4882
123,880
73,639
4.00%,
1/15/41,
Pool
#759138
70,226
116,219
4.00%,
1/20/41,
Pool
#4922
111,192
11,729
4.50%,
2/15/41,
Pool
#738019
11,540
496,945
4.00%,
2/20/41,
Pool
#742887
467,741
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
89
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Government
National
Mortgage
Association,
continued
$
1,986
4.00%,
2/20/41,
Pool
#4945
$
1,907
38,552
4.00%,
3/15/41,
Pool
#762838
36,765
2,882
5.00%,
4/20/41,
Pool
#5018
2,914
46,043
4.50%,
6/20/41,
Pool
#783590
45,759
6,299
5.00%,
6/20/41,
Pool
#5083
6,495
32,257
4.50%,
7/20/41,
Pool
#783584
32,058
98,870
4.00%,
7/20/41,
Pool
#742895
92,111
108,712
4.50%,
7/20/41,
Pool
#5115
108,098
3,423
5.00%,
7/20/41,
Pool
#5116
3,529
15,343
4.50%,
7/20/41,
Pool
#754367
15,113
32,664
4.50%,
11/15/41,
Pool
#783610
32,307
92,834
3.50%,
1/15/42,
Pool
#553461
87,380
128,577
4.00%,
4/20/42,
Pool
#MA0023
123,582
55,783
5.00%,
7/20/42,
Pool
#MA0223
55,757
125,880
3.50%,
4/15/43,
Pool
#AD2334
117,547
247,610
3.50%,
4/20/43,
Pool
#MA0934
230,466
140,726
3.50%,
5/20/43,
Pool
#MA1012
130,514
12,300
4.00%,
7/20/43,
Pool
#MA1158
11,822
483,942
4.50%,
6/20/44,
Pool
#MA1997
476,561
7,401
4.00%,
8/20/44,
Pool
#AJ2723
7,068
387,482
4.00%,
8/20/44,
Pool
#MA2149
370,483
14,156
4.00%,
8/20/44,
Pool
#AI4167
13,519
9,820
4.00%,
8/20/44,
Pool
#AJ4687
9,379
220,221
5.00%,
12/20/44,
Pool
#MA2448
227,053
18,857
3.00%,
12/20/44,
Pool
#MA2444
17,003
218,410
3.00%,
2/15/45,
Pool
#784439
197,500
988,327
3.50%,
5/20/45,
Pool
#MA2826
918,027
137,269
5.00%,
12/20/45,
Pool
#MA3313
137,963
4,985,556
3.50%,
3/20/46,
Pool
#MA3521
4,628,334
956,134
3.50%,
5/20/46,
Pool
#MA3663
887,624
321,412
3.50%,
7/20/46,
Pool
#MA3803
298,381
1,299,647
3.50%,
9/20/46,
Pool
#MA3937
1,199,223
132,293
3.50%,
10/20/46,
Pool
#AX4344
122,525
52,289
3.50%,
10/20/46,
Pool
#AX4343
48,461
65,887
3.50%,
10/20/46,
Pool
#AX4342
61,183
57,585
3.50%,
10/20/46,
Pool
#AX4341
53,757
7,311
4.00%,
10/20/46,
Pool
#AQ0542
7,013
85,040
3.50%,
10/20/46,
Pool
#AX4345
78,260
77,266
4.50%,
3/15/47,
Pool
#AZ8560
75,659
96,609
4.50%,
4/15/47,
Pool
#AZ8596
94,600
62,045
4.50%,
4/15/47,
Pool
#AZ8597
60,754
56,713
4.50%,
5/15/47,
Pool
#BA7888
55,533
1,223,882
4.00%,
6/20/47,
Pool
#MA4511
1,166,455
11,723
4.00%,
9/15/47,
Pool
#BC5919
11,113
13,549
4.00%,
10/15/47,
Pool
#BD3187
12,954
16,202
4.00%,
10/15/47,
Pool
#BE1031
15,156
15,271
4.00%,
11/15/47,
Pool
#BE1030
14,638
960,390
4.00%,
11/20/47,
Pool
#MA4838
915,329
17,636
4.00%,
12/15/47,
Pool
#BE4664
16,497
473,229
4.00%,
12/20/47,
Pool
#MA4901
451,025
21,490
4.00%,
1/15/48,
Pool
#BE0143
20,102
14,971
4.00%,
1/15/48,
Pool
#BE0204
14,183
204,406
4.50%,
9/20/48,
Pool
#BD0560
198,524
385,862
4.50%,
3/20/49,
Pool
#MA5818
376,422
16,496
4.50%,
4/20/49,
Pool
#MA5877
16,093
174,081
4.50%,
5/20/49,
Pool
#MA5932
169,822
320,838
4.50%,
4/20/50,
Pool
#MA6602
312,009
550,801
3.00%,
4/20/50,
Pool
#MA6599
487,712
249,914
4.00%,
5/20/50,
Pool
#MA6658
238,244
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Government
National
Mortgage
Association,
continued
$
70,701
3.00%,
5/20/50,
Pool
#MA6656
$
62,598
1,594,284
Class
LP
,
Series
2020-127,
1.50%,
6/20/50
1,229,517
5,427,555
2.00%,
8/20/50,
Pool
#MA6818
4,447,604
1,264,234
3.00%,
10/20/50,
Pool
#MA6932
1,124,898
957,499
2.00%,
11/20/50,
Pool
#MA6994
786,518
17,091,145
2.00%,
12/20/50,
Pool
#MA7051
14,004,699
11,886,157
2.00%,
1/20/51,
Pool
#MA7135
9,759,556
1,153,872
3.00%,
1/20/51,
Pool
#MA7137
1,024,206
1,803,836
2.00%,
2/20/51,
Pool
#MA7192
1,480,817
5,355,868
2.50%,
4/20/51,
Pool
#MA7312
4,571,067
6,080,695
3.00%,
6/20/51,
Pool
#MA7419
5,376,603
7,869,117
3.00%,
8/20/51,
Pool
#MA7535
6,960,640
2,793,783
2.50%,
10/20/51,
Pool
#MA7649
2,383,170
1,912,801
2.50%,
12/20/51,
Pool
#MA7767
1,631,019
1,974,724
3.00%,
12/20/51,
Pool
#MA7768
1,743,660
83,035
3.00%,
1/20/52,
Pool
#MA7828
73,319
4,496,040
2.50%,
5/20/52,
Pool
#MA8042
3,833,816
17,839,443
2.50%,
6/20/52,
Pool
#MA8097
15,210,916
5,189,088
2.50%,
7/20/52,
Pool
#MA8147
4,424,653
221,188
2.50%,
8/20/52,
Pool
#MA8197
188,939
1,188,454
2.50%,
12/20/52,
Pool
#MA8485
1,012,979
3,893,001
2.50%,
1/20/53,
Pool
#MA8564
3,318,164
187,055
6.00%,
4/20/53,
Pool
#CT7444
191,169
2,160,000
2.00%,
4/20/54,
TBA
1,769,513
12,394,797
3.50%,
4/20/54,
TBA
11,285,075
9,906,000
4.00%,
4/20/54,
TBA
9,272,945
9,670,700
3.00%,
4/20/54,
TBA
8,535,904
6,835,000
6.50%,
4/20/54,
TBA
6,949,273
2,275,000
5.50%,
4/20/54,
TBA
2,273,934
8,142,000
6.00%,
4/20/54,
TBA
8,214,515
5,205,000
4.50%,
4/20/54,
TBA
5,002,493
12,033,000
5.00%,
4/20/54,
TBA
11,829,943
167,477,908
Federal
National
Mortgage
Association
(
14
.4
%
):
36,738
2.50%,
9/1/27,
Pool
#AB6194
34,662
26,195
2.50%,
9/1/27,
Pool
#AP5205
25,238
10,528
2.50%,
2/1/28,
Pool
#AB8446
10,094
23,024
2.50%,
4/1/28,
Pool
#AB8870
21,832
16,787
3.00%,
4/1/28,
Pool
#AT3121
15,856
19,626
3.00%,
5/1/28,
Pool
#AT6033
18,542
70,512
2.50%,
8/1/28,
Pool
#AS0190
66,581
84,948
3.50%,
10/1/28,
Pool
#AV0198
82,427
3,707
3.00%,
10/1/28,
Pool
#AQ4132
3,498
43,134
3.00%,
10/1/28,
Pool
#AU8774
40,747
156,933
3.50%,
11/1/28,
Pool
#AV1360
152,197
5,085
3.00%,
11/1/28,
Pool
#AV0298
4,798
110,674
3.00%,
4/1/29,
Pool
#AW0937
104,253
102,737
3.00%,
5/1/29,
Pool
#AW2544
96,137
161,067
3.00%,
6/1/29,
Pool
#AS2676
153,440
38,479
3.00%,
7/1/29,
Pool
#AW1281
36,624
207,640
3.00%,
7/1/29,
Pool
#AW4229
196,099
38,097
3.50%,
9/1/29,
Pool
#AX0105
36,680
101,064
3.00%,
9/1/29,
Pool
#AS3220
96,204
294,951
3.00%,
9/1/29,
Pool
#AL6897
273,688
61,019
3.00%,
10/1/29,
Pool
#AS3594
57,673
11,923
3.50%,
10/1/29,
Pool
#AX2741
11,509
224,773
3.00%,
1/1/30,
Pool
#AL6144
216,086
2,605,000
4.94%,
1/15/30(c)
2,018,755
26,797
2.50%,
2/1/30,
Pool
#BM3403
25,386
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
90
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
National
Mortgage
Association,
continued
$
8,107
2.50%,
2/1/30,
Pool
#AS4485
$
7,648
9,182
2.50%,
2/1/30,
Pool
#AS4488
8,555
64,017
2.50%,
3/1/30,
Pool
#AS4688
60,710
49,176
3.00%,
3/1/30,
Pool
#AL6583
46,476
40,738
3.00%,
4/1/30,
Pool
#AL6584
38,975
25,132
2.50%,
4/1/30,
Pool
#AY3416
23,833
21,396
3.00%,
5/1/30,
Pool
#AL6761
20,236
12,686
2.50%,
5/1/30,
Pool
#AY0828
12,340
3,901,000
5.01%,
5/15/30(c)
2,975,472
120,347
3.00%,
6/1/30,
Pool
#AL9381
113,821
15,506
2.50%,
7/1/30,
Pool
#AZ2170
14,705
6,089
3.00%,
7/1/30,
Pool
#AZ2297
5,772
52,934
2.50%,
7/1/30,
Pool
#AS5403
49,298
44,896
3.00%,
7/1/30,
Pool
#AX9701
42,953
9,181
2.50%,
7/1/30,
Pool
#AS5405
8,704
33,764
3.00%,
7/1/30,
Pool
#AL7139
32,304
9,223
3.00%,
7/1/30,
Pool
#AX9700
8,742
83,906
2.50%,
8/1/30,
Pool
#BM3552
78,208
24,954
2.50%,
8/1/30,
Pool
#AS5548
23,240
31,017
2.50%,
8/1/30,
Pool
#AS5614
29,415
44,117
3.00%,
8/1/30,
Pool
#AS5623
41,789
2,853
3.00%,
8/1/30,
Pool
#AZ8597
2,705
7,727
3.00%,
8/1/30,
Pool
#AZ7833
7,324
8,697
3.00%,
8/1/30,
Pool
#AX3298
8,220
51,365
2.50%,
8/1/30,
Pool
#AS5616
48,458
32,698
3.50%,
8/1/30,
Pool
#AS5708
31,968
58,787
3.00%,
8/1/30,
Pool
#AL7225
56,244
47,307
3.00%,
8/1/30,
Pool
#AL7227
44,808
39,430
3.00%,
8/1/30,
Pool
#AS5622
37,724
34,642
2.50%,
9/1/30,
Pool
#AS5786
32,261
16,187
3.00%,
9/1/30,
Pool
#AZ5719
15,343
42,213
2.50%,
9/1/30,
Pool
#AS5872
40,032
10,206
3.00%,
9/1/30,
Pool
#AL7320
9,646
42,717
3.00%,
9/1/30,
Pool
#AS5728
40,371
37,277
3.00%,
9/1/30,
Pool
#AS5714
35,664
5,344
2.50%,
11/1/30,
Pool
#AL7800
5,041
42,110
2.50%,
11/1/30,
Pool
#AS6141
39,934
36,636
2.50%,
11/1/30,
Pool
#AS6115
34,563
31,621
2.50%,
11/1/30,
Pool
#AS6116
29,976
32,985
2.50%,
11/1/30,
Pool
#AS6142
30,718
486,297
3.00%,
1/1/31,
Pool
#BM3537
452,334
43,045
2.50%,
3/1/31,
Pool
#BM1595
40,602
1,028,206
1.50%,
6/1/31,
Pool
#MA4367
939,924
65,930
2.50%,
6/1/31,
Pool
#AS7320
62,056
1,889,627
1.50%,
7/1/31,
Pool
#MA4389
1,725,702
101,390
2.50%,
7/1/31,
Pool
#AS7605
95,434
107,692
2.50%,
7/1/31,
Pool
#AS7617
101,363
9,247
4.00%,
8/1/31,
Pool
#AY4688
8,933
19,503
4.00%,
8/1/31,
Pool
#AY4707
19,199
4,147
2.50%,
8/1/31,
Pool
#BC2777
3,904
680,258
3.00%,
8/1/31,
Pool
#AL9376
651,650
71,168
3.00%,
9/1/31,
Pool
#AL9378
67,476
191,644
2.50%,
10/1/31,
Pool
#AS8193
179,671
417,093
2.50%,
10/1/31,
Pool
#AS8195
393,759
265,803
2.50%,
10/1/31,
Pool
#AS8208
250,183
909,191
2.50%,
10/1/31,
Pool
#BC4773
858,322
37,386
2.00%,
10/1/31,
Pool
#MA2774
34,845
138,573
2.50%,
10/1/31,
Pool
#AS8009
129,917
63,518
2.00%,
11/1/31,
Pool
#BC9040
59,200
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
National
Mortgage
Association,
continued
$
81,858
2.50%,
11/1/31,
Pool
#BC2628
$
77,274
221,879
2.00%,
11/1/31,
Pool
#BM3054
206,797
155,780
2.50%,
11/1/31,
Pool
#AS8240
146,622
191,063
2.00%,
11/1/31,
Pool
#AS8251
178,072
66,999
2.50%,
11/1/31,
Pool
#BC2629
63,060
98,553
2.50%,
11/1/31,
Pool
#AS8241
92,397
72,994
2.50%,
11/1/31,
Pool
#AS8245
68,910
11,916
2.00%,
11/1/31,
Pool
#AS8291
11,105
138,026
2.50%,
11/1/31,
Pool
#BC2631
128,931
52,950
2.00%,
12/1/31,
Pool
#MA2845
49,350
7,972
3.00%,
2/1/32,
Pool
#BE5670
7,510
13,886
2.50%,
2/1/32,
Pool
#BM1036
13,001
255,165
2.50%,
3/1/32,
Pool
#AS9321
235,045
212,900
3.00%,
3/1/32,
Pool
#AS9327
200,558
243,995
2.50%,
3/1/32,
Pool
#AS9318
224,351
273,749
2.50%,
3/1/32,
Pool
#AS9319
255,281
142,723
2.50%,
3/1/32,
Pool
#AS9317
131,193
146,783
2.50%,
3/1/32,
Pool
#AS9316
137,296
347,436
2.00%,
3/1/32,
Pool
#BM3061
323,808
1,036,571
3.50%,
4/1/32,
Pool
#BM3503
1,000,332
1,295,000
Class
A2
,
Series
2022-M1S,
2.08%,
4/25/32
1,074,442
740,728
3.50%,
5/1/32,
Pool
#BM1602
722,577
1,089,615
3.00%,
6/1/32,
Pool
#BM1791
1,036,761
318,632
2.50%,
8/1/32,
Pool
#BM3578
292,482
118,500
3.00%,
9/1/32,
Pool
#BM3240
111,800
43,624
3.50%,
11/1/32,
Pool
#BJ2054
42,097
24,934
3.50%,
1/1/33,
Pool
#BJ2096
24,068
44,735
5.50%,
1/1/33,
Pool
#676661
45,683
630,686
2.50%,
2/1/33,
Pool
#BM3793
593,436
31,488
5.50%,
5/1/33,
Pool
#555424
31,534
1,434,059
3.00%,
5/1/33,
Pool
#FM1880
1,355,974
43,482
4.00%,
9/1/33,
Pool
#BK7642
42,344
122,515
4.00%,
10/1/33,
Pool
#CA2527
119,655
125,479
4.00%,
11/1/33,
Pool
#CA2555
123,200
237,684
2.50%,
12/1/33,
Pool
#FM1680
222,626
3,430,000
Class
A3
,
Series
2022-M5,
2.35%,
1/1/34
2,798,071
76,654
5.50%,
2/1/35,
Pool
#735989
77,521
230,139
5.00%,
2/1/35,
Pool
#735226
229,085
19,047
5.00%,
3/1/35,
Pool
#735288
18,963
7,191
6.00%,
4/1/35,
Pool
#735504
7,307
264,381
2.00%,
6/1/35,
Pool
#CA5939
235,077
551,694
2.00%,
6/1/35,
Pool
#CA5933
494,918
139,829
3.00%,
8/1/35,
Pool
#CA6876
131,597
150,285
3.00%,
8/1/35,
Pool
#CA6849
140,159
2,585,000
1.53%,
8/17/35,
Callable
5/17/24
@
100.00
1,841,784
1,708,000
1.55%,
8/24/35,
Callable
5/24/24
@
100.00
1,219,222
3,170,000
1.60%,
8/24/35,
Callable
5/24/24
@
100.00
2,274,301
277,457
2.00%,
9/1/35,
Pool
#CA7136
247,747
255,109
2.00%,
9/1/35,
Pool
#CA6840
228,634
35,600
5.00%,
9/1/35,
Pool
#889974
35,694
2,770,000
1.78%,
11/16/35,
Callable
5/16/24
@
100.00
2,024,119
90,539
3.00%,
12/1/35,
Pool
#CA8389
85,207
802,836
2.50%,
12/1/35,
Pool
#CA8387
733,336
945,318
1.50%,
12/1/35,
Pool
#CA8377
823,120
43,682
3.00%,
12/1/35,
Pool
#CA8391
40,845
919,816
2.50%,
12/1/35,
Pool
#CA8388
844,063
96,131
4.00%,
1/1/36,
Pool
#AB0686
92,234
346,408
2.00%,
2/1/36,
Pool
#FM6149
310,453
250,220
1.50%,
3/1/36,
Pool
#CA9422
220,873
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
91
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
National
Mortgage
Association,
continued
$
375,111
2.50%,
3/1/36,
Pool
#CA9444
$
343,918
492,187
2.00%,
3/1/36,
Pool
#CA9432
438,371
640,320
2.00%,
4/1/36,
Pool
#FM7495
572,322
406,757
1.50%,
5/1/36,
Pool
#CB0622
359,042
469,676
2.00%,
5/1/36,
Pool
#CB0428
419,796
1,443,051
1.50%,
6/1/36,
Pool
#FM7423
1,245,322
727,225
2.00%,
7/1/36,
Pool
#FM8117
648,909
1,764,935
2.00%,
9/1/36,
Pool
#FM8733
1,574,281
1,589,010
2.00%,
9/1/36,
Pool
#FM8695
1,424,882
184,134
5.50%,
9/1/36,
Pool
#995113
186,544
21,324
3.00%,
10/1/36,
Pool
#AL9227
19,483
68,599
3.00%,
11/1/36,
Pool
#AS8349
62,675
163,923
3.00%,
11/1/36,
Pool
#AS8348
151,418
343,397
2.00%,
11/1/36,
Pool
#FM9318
306,221
164,524
3.00%,
12/1/36,
Pool
#BE1896
150,314
5,424,530
1.50%,
12/1/36,
Pool
#FS0003
4,730,083
216,097
3.00%,
12/1/36,
Pool
#AS8553
197,446
335,594
2.00%,
1/1/37,
Pool
#FS0216
300,926
420,512
1.50%,
2/1/37,
Pool
#FS3221
368,920
333,263
2.00%,
2/1/37,
Pool
#FS0754
297,693
144,271
2.00%,
2/1/37,
Pool
#FS0610
128,292
760,080
2.00%,
2/1/37,
Pool
#CB2967
674,955
1,360,706
2.00%,
3/1/37,
Pool
#FS1331
1,213,649
1,740,110
2.00%,
3/1/37,
Pool
#FS1330
1,541,964
400,809
2.00%,
3/1/37,
Pool
#CB2966
356,537
1,027,307
2.00%,
4/1/37,
Pool
#FS3325
917,989
7,845
5.50%,
2/1/38,
Pool
#961545
7,973
7,017
6.00%,
3/1/38,
Pool
#889529
7,217
39,616
5.50%,
5/1/38,
Pool
#889441
40,219
18,933
6.00%,
5/1/38,
Pool
#889466
19,473
41,908
5.50%,
5/1/38,
Pool
#889692
42,909
28,723
5.50%,
6/1/38,
Pool
#995018
29,524
8,317
5.50%,
9/1/38,
Pool
#889995
8,495
19,856
6.00%,
10/1/38,
Pool
#889983
20,711
124,418
5.50%,
1/1/39,
Pool
#AB0200
129,840
37,310
4.50%,
4/1/39,
Pool
#930922
36,677
1,633,000
3.00%,
4/25/39,
TBA
1,519,200
4,272,000
2.50%,
4/25/39,
TBA
3,885,518
151,234
3.50%,
4/25/39,
TBA
143,696
1,012,000
4.00%,
4/25/39,
TBA
980,217
2,500,000
4.50%,
4/25/39,
TBA
2,462,500
45,034
4.50%,
5/1/39,
Pool
#AL1472
43,167
31,432
3.50%,
5/1/39,
Pool
#MA3660
29,156
435,066
5.00%,
6/1/39,
Pool
#AL7521
436,210
307,860
6.00%,
7/1/39,
Pool
#BF0056
316,630
20,870
5.50%,
10/1/39,
Pool
#AD0362
21,717
174,544
5.50%,
12/1/39,
Pool
#AC6680
179,842
131,316
3.50%,
12/1/39,
Pool
#MA3869
121,826
22,084
5.50%,
12/1/39,
Pool
#AD0571
23,021
2,147,114
4.50%,
1/1/40,
Pool
#AC8568
2,101,172
56,430
3.50%,
1/1/40,
Pool
#MA3891
52,362
100,817
3.50%,
2/1/40,
Pool
#MA3935
93,546
17,564
5.50%,
3/1/40,
Pool
#AL5304
18,461
15,935
4.50%,
4/1/40,
Pool
#AD4038
15,777
132,912
6.00%,
4/1/40,
Pool
#AL4141
138,838
25,195
6.50%,
5/1/40,
Pool
#AL1704
26,552
30,639
4.50%,
7/1/40,
Pool
#AB1226
29,983
36,266
4.50%,
7/1/40,
Pool
#AD7127
34,464
15,503
6.00%,
9/1/40,
Pool
#AE0823
16,308
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
National
Mortgage
Association,
continued
$
16,820
4.00%,
1/1/41,
Pool
#AL7167
$
16,086
33,685
6.00%,
6/1/41,
Pool
#AL4142
35,416
12,654
4.50%,
7/1/41,
Pool
#AB3314
12,443
217,368
5.00%,
7/1/41,
Pool
#AL7524
220,139
388,590
5.50%,
9/1/41,
Pool
#AL8430
399,429
23,374
4.50%,
9/1/41,
Pool
#AI8961
23,165
13,540,820
1.50%,
11/1/41,
Pool
#FS0316
10,814,375
6,875,471
1.50%,
12/1/41,
Pool
#MA4500
5,559,019
2,146,484
2.00%,
12/1/41,
Pool
#MA4501
1,808,086
120,453
3.50%,
1/1/42,
Pool
#AW8154
109,297
508,450
4.00%,
1/1/42,
Pool
#AB4307
489,735
542,435
2.00%,
2/1/42,
Pool
#MA4540
452,687
5,243,688
2.00%,
3/1/42,
Pool
#MA4570
4,334,212
48,997
3.50%,
4/1/42,
Pool
#AO0777
45,555
18,556
3.50%,
4/1/42,
Pool
#AK7510
17,097
814,849
2.00%,
4/1/42,
Pool
#MA4586
679,976
22,683
4.00%,
5/1/42,
Pool
#AO2114
21,574
6,839
3.50%,
5/1/42,
Pool
#AO2881
6,302
103,955
4.00%,
5/1/42,
Pool
#AO2961
98,872
7,857
3.50%,
6/1/42,
Pool
#AO3048
7,239
10,242
3.50%,
6/1/42,
Pool
#AK9225
9,437
23,831
3.50%,
7/1/42,
Pool
#AO9707
21,958
100,982
4.50%,
9/1/42,
Pool
#AL2482
98,676
605,508
4.50%,
1/1/43,
Pool
#AL8206
590,916
48,426
3.00%,
3/1/43,
Pool
#AR7576
42,519
38,586
3.00%,
3/1/43,
Pool
#AR7568
33,904
59,407
3.00%,
3/1/43,
Pool
#AR9218
52,383
51,406
3.00%,
4/1/43,
Pool
#AT2043
45,138
80,725
3.00%,
4/1/43,
Pool
#AT2040
71,180
49,350
3.00%,
4/1/43,
Pool
#AB8924
43,331
57,699
3.00%,
4/1/43,
Pool
#AR8630
50,877
20,223
3.00%,
4/1/43,
Pool
#AT2037
17,769
47,730
3.00%,
4/1/43,
Pool
#AB8923
42,086
564
3.50%,
4/1/43,
Pool
#CA1530
511
6,466
3.00%,
6/1/43,
Pool
#AB9564
5,802
406,672
5.00%,
12/1/43,
Pool
#AL7777
407,194
210,815
5.00%,
11/1/44,
Pool
#AL8878
205,290
170,048
3.50%,
2/1/45,
Pool
#BM1100
156,752
533,877
3.50%,
2/1/45,
Pool
#FM5294
493,525
114,522
5.00%,
6/1/45,
Pool
#BM3784
114,741
2,324,166
3.50%,
9/1/45,
Pool
#FM3224
2,127,403
84,175
4.50%,
9/1/45,
Pool
#AL7936
83,085
5,205,134
3.50%,
11/1/45,
Pool
#FM6411
4,799,418
2,901
4.50%,
11/1/45,
Pool
#AS6233
2,853
52,412
4.50%,
11/1/45,
Pool
#AL9501
51,072
114,315
4.50%,
12/1/45,
Pool
#BM1756
110,198
13,144
3.00%,
6/1/46,
Pool
#AS7365
11,608
352,740
4.50%,
7/1/46,
Pool
#BM1920
347,187
929,485
3.50%,
7/1/46,
Pool
#BA7748
852,340
277,984
4.50%,
7/1/46,
Pool
#BM3053
270,906
15,837
3.00%,
8/1/46,
Pool
#AL9031
14,177
913,177
3.00%,
9/1/46,
Pool
#BD1469
801,892
108,652
3.00%,
11/1/46,
Pool
#BD9643
96,040
142,849
3.00%,
11/1/46,
Pool
#BD9645
126,114
275,297
3.00%,
11/1/46,
Pool
#BD9644
243,348
205,895
3.50%,
12/1/46,
Pool
#BE2103
187,339
850,796
3.00%,
12/1/46,
Pool
#AS8486
747,104
737,252
3.50%,
2/1/47,
Pool
#AL9920
670,824
333,420
3.50%,
2/1/47,
Pool
#BE1534
301,924
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
92
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
National
Mortgage
Association,
continued
$
69,759
3.50%,
3/1/47,
Pool
#BH0158
$
63,166
163,252
3.50%,
5/1/47,
Pool
#BE9375
147,828
317,071
3.50%,
5/1/47,
Pool
#BM1174
290,797
275,799
4.00%,
5/1/47,
Pool
#BH0398
261,041
467,162
3.50%,
5/1/47,
Pool
#BD2417
423,030
130,585
3.50%,
6/1/47,
Pool
#BH0567
118,248
208,787
4.00%,
7/1/47,
Pool
#BH3401
197,619
279,691
4.00%,
8/1/47,
Pool
#BM1619
264,726
18,988
4.00%,
9/1/47,
Pool
#MA3121
17,905
136,098
4.50%,
10/1/47,
Pool
#BM3052
133,167
591,487
3.50%,
11/1/47,
Pool
#MA3182
540,324
591,442
3.50%,
12/1/47,
Pool
#MA3210
540,599
162,059
4.50%,
12/1/47,
Pool
#BH7067
156,753
1,226,645
3.50%,
1/1/48,
Pool
#FM5293
1,123,055
358,314
3.50%,
1/1/48,
Pool
#MA3238
327,319
408,212
4.00%,
1/1/48,
Pool
#BH9222
384,924
65,196
4.00%,
2/1/48,
Pool
#BJ9057
62,570
271,833
3.50%,
2/1/48,
Pool
#BH9277
247,812
68,800
4.00%,
2/1/48,
Pool
#BJ9058
65,110
348,078
3.50%,
3/1/48,
Pool
#BJ4916
317,332
112,453
3.50%,
3/1/48,
Pool
#BK1958
101,944
3,280,462
3.50%,
3/1/48,
Pool
#BJ0650
2,990,570
179,465
3.50%,
3/1/48,
Pool
#BJ0648
163,605
129,263
4.50%,
4/1/48,
Pool
#BM3846
126,949
3,088,998
4.50%,
4/1/48,
Pool
#FM7783
3,006,930
208,215
3.50%,
4/1/48,
Pool
#FM5295
192,376
33,430
4.00%,
4/1/48,
Pool
#MA3333
31,341
1,867,338
4.50%,
5/1/48,
Pool
#CA1704
1,842,045
1,593,275
3.50%,
5/1/48,
Pool
#MA3356
1,451,775
38,536
4.00%,
5/1/48,
Pool
#CA2708
36,126
27,993
4.00%,
6/1/48,
Pool
#MA3384
26,245
146,239
5.00%,
6/1/48,
Pool
#CA2317
146,091
68,876
4.50%,
7/1/48,
Pool
#BK6113
67,004
27,768
4.00%,
7/1/48,
Pool
#MA3415
26,031
9,097
4.50%,
7/1/48,
Pool
#BK4471
8,974
257,443
4.00%,
8/1/48,
Pool
#BK4772
241,322
587,232
5.00%,
9/1/48,
Pool
#MA3472
584,314
375,667
4.00%,
9/1/48,
Pool
#FM5566
351,610
80,540
4.00%,
10/1/48,
Pool
#CA2469
76,082
122,743
5.00%,
10/1/48,
Pool
#BK7881
122,133
42,466
5.00%,
10/1/48,
Pool
#MA3501
42,255
80,076
5.00%,
11/1/48,
Pool
#MA3527
79,678
8,474
3.50%,
11/1/48,
Pool
#FM1543
7,737
25,048
5.00%,
12/1/48,
Pool
#BN4404
24,945
1,130,921
4.00%,
1/1/49,
Pool
#FM5296
1,067,265
78,122
5.00%,
1/1/49,
Pool
#BN3949
77,734
27,902
5.00%,
1/1/49,
Pool
#BN4430
27,787
251,182
3.50%,
6/1/49,
Pool
#FM5315
229,186
732,321
4.00%,
9/1/49,
Pool
#FM3665
691,785
313,169
4.00%,
3/1/50,
Pool
#CA5368
291,402
4,391,578
3.00%,
3/1/50,
Pool
#FM5290
3,861,794
298,363
4.00%,
5/1/50,
Pool
#FM7973
279,630
423,782
4.00%,
6/1/50,
Pool
#CA6106
398,463
2,794,677
2.50%,
7/1/50,
Pool
#CA6343
2,361,440
2,712,682
2.50%,
7/1/50,
Pool
#CA6342
2,292,156
2,753,206
2.50%,
7/1/50,
Pool
#CA6341
2,326,394
1,603,652
2.50%,
7/1/50,
Pool
#CA6359
1,365,174
2,639,772
2.50%,
8/1/50,
Pool
#CA6636
2,230,582
1,650,855
3.00%,
8/1/50,
Pool
#FM5292
1,447,895
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
National
Mortgage
Association,
continued
$
813,900
2.50%,
8/1/50,
Pool
#CA6711
$
687,744
3,197,469
2.50%,
8/1/50,
Pool
#CA6577
2,701,861
1,809,650
2.00%,
8/1/50,
Pool
#FP0025
1,438,887
250,050
4.00%,
8/1/50,
Pool
#FM7703
234,352
365,864
2.00%,
9/1/50,
Pool
#BQ0697
291,298
1,174,897
2.00%,
9/1/50,
Pool
#MA4119
935,435
2,114,949
2.00%,
10/1/50,
Pool
#MA4158
1,673,622
1,917,112
1.50%,
10/1/50,
Pool
#MA4157
1,445,520
294,279
2.00%,
11/1/50,
Pool
#BQ6334
235,646
1,848,242
2.50%,
11/1/50,
Pool
#CA7597
1,573,366
1,667,791
1.50%,
11/1/50,
Pool
#MA4181
1,257,473
523,619
2.50%,
11/1/50,
Pool
#FM4874
445,780
403,423
2.00%,
12/1/50,
Pool
#FM5305
324,695
1,281,419
2.00%,
12/1/50,
Pool
#FM5176
1,028,521
32,182,985
2.00%,
1/1/51,
Pool
#MA4237
25,618,075
483,011
2.50%,
1/1/51,
Pool
#CA8592
408,124
1,533,972
4.00%,
1/1/51,
Pool
#FM7031
1,435,307
13,383,879
3.50%,
1/1/51,
Pool
#FM7599
12,112,748
2,586,791
2.00%,
2/1/51,
Pool
#BR1615
2,061,238
1,345,204
2.50%,
2/1/51,
Pool
#CA9038
1,132,327
177,019
2.50%,
3/1/51,
Pool
#BR4654
148,425
469,393
2.00%,
3/1/51,
Pool
#BN9004
377,518
2,241,714
1.50%,
3/1/51,
Pool
#MA4280
1,686,763
846,955
2.00%,
3/1/51,
Pool
#BN8997
682,335
1,687,806
4.00%,
3/1/51,
Pool
#FM7460
1,579,249
788,147
2.00%,
4/1/51,
Pool
#BR7802
632,325
274,097
2.00%,
4/1/51,
Pool
#FS0599
220,624
1,163,117
2.00%,
4/1/51,
Pool
#FM6863
936,145
623,600
2.00%,
4/1/51,
Pool
#BR7241
500,174
108,590
2.50%,
4/1/51,
Pool
#BR8283
90,120
210,573
2.50%,
4/1/51,
Pool
#BR8896
176,578
63,544
2.50%,
5/1/51,
Pool
#BR8296
52,735
8,516,066
4.00%,
5/1/51,
Pool
#FS1463
8,005,129
116,102
2.50%,
5/1/51,
Pool
#BR8915
97,354
1,997,093
2.50%,
5/1/51,
Pool
#CB0383
1,680,759
5,666,230
3.00%,
6/1/51,
Pool
#CB0848
4,900,662
191,886
2.50%,
7/1/51,
Pool
#BP3574
160,896
11,130,691
2.00%,
7/1/51,
Pool
#MA4378
8,826,773
9,989,589
2.00%,
8/1/51,
Pool
#CB1309
7,937,893
8,507,980
2.00%,
8/1/51,
Pool
#CB1310
6,760,582
4,066,904
4.00%,
10/1/51,
Pool
#FS1133
3,805,337
69,522
2.50%,
10/1/51,
Pool
#BT8452
58,297
679,394
2.50%,
10/1/51,
Pool
#CB1806
571,787
2,368,024
2.00%,
11/1/51,
Pool
#CB2054
1,905,887
1,032,202
2.00%,
11/1/51,
Pool
#FM9452
830,083
2,178,692
2.00%,
11/1/51,
Pool
#CB2079
1,738,532
894,425
2.50%,
11/1/51,
Pool
#FS0026
755,626
2,095,982
2.00%,
11/1/51,
Pool
#FM9538
1,680,953
1,144,381
2.00%,
11/1/51,
Pool
#CB2139
915,350
2,901,963
2.00%,
11/1/51,
Pool
#FS1334
2,308,182
2,425,047
3.00%,
11/1/51,
Pool
#CB2165
2,097,131
285,343
2.00%,
12/1/51,
Pool
#FS0598
231,150
523,350
2.50%,
12/1/51,
Pool
#CB2372
440,434
665,519
2.00%,
12/1/51,
Pool
#FM9730
535,643
1,504,445
2.00%,
12/1/51,
Pool
#FS0212
1,210,685
1,489,050
2.00%,
12/1/51,
Pool
#FS0211
1,189,166
1,074,172
3.00%,
12/1/51,
Pool
#CB2418
935,942
993,621
2.00%,
12/1/51,
Pool
#FM9925
794,411
1,034,781
2.50%,
1/1/52,
Pool
#CB2633
868,730
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
93
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
National
Mortgage
Association,
continued
$
3,352,371
2.50%,
1/1/52,
Pool
#CB2622
$
2,819,513
1,732,691
2.50%,
1/1/52,
Pool
#FS0193
1,445,977
2,228,079
2.50%,
1/1/52,
Pool
#FS0208
1,873,992
2,791,054
2.50%,
1/1/52,
Pool
#FS0209
2,348,894
1,371,464
2.00%,
1/1/52,
Pool
#CB2601
1,099,863
1,795,015
2.00%,
1/1/52,
Pool
#FS0497
1,443,555
2,495,999
2.50%,
1/1/52,
Pool
#FS0378
2,136,473
1,185,470
2.00%,
1/1/52,
Pool
#FS0290
950,726
1,829,319
2.50%,
1/1/52,
Pool
#CB2620
1,540,946
2,214,878
2.50%,
1/1/52,
Pool
#CB2621
1,866,152
836,894
2.00%,
2/1/52,
Pool
#FS0646
671,282
6,553,759
2.00%,
2/1/52,
Pool
#FS2040
5,200,072
1,597,667
2.00%,
2/1/52,
Pool
#CB2837
1,281,451
2,265,568
2.50%,
2/1/52,
Pool
#CB2856
1,895,584
697,230
2.00%,
2/1/52,
Pool
#CB2836
556,383
3,592,480
2.00%,
2/1/52,
Pool
#CB2838
2,881,903
527,254
2.50%,
2/1/52,
Pool
#CB2854
443,419
357,779
2.50%,
2/1/52,
Pool
#CB2863
305,237
1,912,085
2.50%,
2/1/52,
Pool
#CB2855
1,608,257
2,195,871
2.00%,
3/1/52,
Pool
#CB3101
1,761,466
4,009,750
2.00%,
3/1/52,
Pool
#CB3102
3,210,233
1,531,263
2.00%,
3/1/52,
Pool
#CB3105
1,228,176
864,885
2.50%,
3/1/52,
Pool
#FS1661
728,784
277,410
3.00%,
3/1/52,
Pool
#CB3115
242,151
768,428
4.00%,
4/1/52,
Pool
#FS1267
720,460
781,035
3.00%,
4/1/52,
Pool
#FS1520
683,757
547,826
3.50%,
5/1/52,
Pool
#BV8545
498,878
4,730,985
4.00%,
5/1/52,
Pool
#FS3377
4,438,311
1,234,365
3.00%,
5/1/52,
Pool
#FS1522
1,075,683
767,805
5.00%,
7/1/52,
Pool
#FS2409
761,524
903,837
5.00%,
7/1/52,
Pool
#FS2458
893,478
463,123
4.50%,
7/1/52,
Pool
#MA4656
441,847
1,103,928
5.00%,
7/1/52,
Pool
#FS2473
1,088,542
589,543
3.50%,
7/1/52,
Pool
#FS2812
533,714
9,839,501
4.50%,
8/1/52,
Pool
#CB4345
9,471,693
431,737
3.50%,
8/1/52,
Pool
#CB4324
391,979
277,157
3.50%,
9/1/52,
Pool
#CB4658
250,906
442,120
3.50%,
9/1/52,
Pool
#CB4661
398,716
373,538
3.50%,
9/1/52,
Pool
#CB4660
337,441
95,099
3.50%,
9/1/52,
Pool
#CB4657
86,014
457,133
6.00%,
11/1/52,
Pool
#FS3251
471,004
937,039
5.00%,
12/1/52,
Pool
#MA4841
915,768
2,858,204
6.00%,
1/1/53,
Pool
#FS3832
2,906,254
2,410,111
5.00%,
1/1/53,
Pool
#CB5450
2,359,906
1,026,836
5.50%,
1/1/53,
Pool
#CB5462
1,026,279
405,198
5.00%,
1/1/53,
Pool
#BX4207
397,361
1,362,851
5.50%,
1/1/53,
Pool
#BX6108
1,358,731
2,220,135
6.00%,
4/1/53,
Pool
#CB6094
2,251,089
8,743,827
5.00%,
4/1/53,
Pool
#CB6063
8,555,041
435,768
6.00%,
5/1/53,
Pool
#BY0568
441,839
766,796
5.50%,
5/1/53,
Pool
#BY2967
766,449
893,821
6.00%,
5/1/53,
Pool
#FS4641
906,280
765,233
5.50%,
5/1/53,
Pool
#BY0557
764,886
2,914,753
6.00%,
5/1/53,
Pool
#CB6329
2,955,396
3,054,445
5.50%,
5/1/53,
Pool
#FS4629
3,053,060
3,799,499
5.50%,
5/1/53,
Pool
#CB6321
3,797,777
2,166,023
5.50%,
6/1/53,
Pool
#CB6463
2,165,044
3,785,398
6.00%,
7/1/53,
Pool
#CB6757
3,838,195
7,141,348
6.00%,
8/1/53,
Pool
#CB6872
7,216,833
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
National
Mortgage
Association,
continued
$
3,993,271
6.50%,
8/1/53,
Pool
#FS5537
$
4,089,253
859,593
6.50%,
9/1/53,
Pool
#CB7142
881,719
2,310,461
6.50%,
10/1/53,
Pool
#CB7349
2,363,425
5,128,165
6.50%,
2/1/54,
Pool
#CB8018
5,259,866
5,644,800
4.50%,
4/25/54,
TBA
5,377,554
17,514,500
2.50%,
4/25/54,
TBA
14,493,249
777,000
6.50%,
4/25/54,
TBA
793,875
7,970,232
3.00%,
4/25/54,
TBA
6,864,362
4,186,200
1.50%,
4/25/54,
TBA
3,147,499
4,432,400
5.50%,
4/25/54,
TBA
4,412,316
4,101,700
6.50%,
5/25/54,
TBA
4,188,861
431,157,337
Federal
Home
Loan
Mortgage
Corporation
(
9
.3
%
):
3,097,194
Class
A2
,
Series
KC02,
3.37%,
7/25/25
3,028,593
48,495
3.00%,
9/1/27,
Pool
#U70060
45,740
29,272
3.00%,
7/1/28,
Pool
#U79018
27,989
591,000
,
Series
PRIN,
4.87%,
9/15/29(c)
465,516
4,510,000
Class
XFX
,
Series
KL06,
1.36%,
12/25/29,
Callable
12/25/24
@
100.00
248,732
14,676
3.00%,
1/1/30,
Pool
#V60696
14,234
18,218
3.00%,
1/1/30,
Pool
#V60724
17,132
31,596
2.50%,
3/1/30,
Pool
#V60770
29,985
34,224
2.50%,
5/1/30,
Pool
#J31418
32,265
63,512
3.00%,
5/1/30,
Pool
#J31689
60,520
78,871
2.50%,
5/1/30,
Pool
#J31728
76,721
48,281
2.50%,
5/1/30,
Pool
#V60796
46,964
122,768
3.00%,
6/1/30,
Pool
#V60840
115,694
10,239
2.50%,
7/1/30,
Pool
#J32209
9,653
12,933
2.50%,
7/1/30,
Pool
#J32204
12,087
2,678
2.50%,
7/1/30,
Pool
#J32491
2,605
59,101
3.00%,
7/1/30,
Pool
#G15520
55,830
3,637
2.50%,
7/1/30,
Pool
#V60905
3,538
8,445
3.00%,
7/1/30,
Pool
#J32181
8,046
53,560
2.50%,
8/1/30,
Pool
#V60886
50,826
12,638
3.00%,
8/1/30,
Pool
#V60909
11,910
8,540
3.00%,
8/1/30,
Pool
#J32436
8,068
44,388
2.50%,
8/1/30,
Pool
#V60902
42,122
42,826
2.50%,
9/1/30,
Pool
#V60903
40,085
135,511
2.50%,
9/1/30,
Pool
#V60904
131,814
7,179,379
Class
X1
,
Series
K121,
1.02%,
10/25/30
367,170
190,000
6.75%,
3/15/31
216,935
197,000
5.15%,
3/15/31(c)
144,527
236,723
2.50%,
4/1/31,
Pool
#G16186
221,729
4,262,657
1.50%,
5/1/31,
Pool
#RD5057
3,856,214
653,470
1.50%,
6/1/31,
Pool
#RD5059
595,148
570,000
Class
A2
,
Series
K142,
2.40%,
3/25/32,
Callable
3/25/32
@
100.00
485,414
2,300,000
Class
A2
,
Series
K144,
2.45%,
4/25/32
1,960,949
3,575,000
Class
A2
,
Series
K145,
2.58%,
5/25/32
3,074,243
1,740,000
Class
A2
,
Series
K146,
2.92%,
6/25/32
1,534,540
5,195
3.00%,
10/1/32,
Pool
#J37706
4,922
7,157
3.00%,
11/1/32,
Pool
#J37835
6,782
1,480,000
Class
A2
,
Series
K152,
3.78%,
11/25/32
1,385,885
4,700
3.00%,
12/1/32,
Pool
#J38060
4,454
1,670,000
Class
A2
,
Series
K154,
4.35%,
1/25/33
1,629,686
1,744,757
2.50%,
4/1/33,
Pool
#ZS8087
1,600,169
5,072,464
Class
A2
,
Series
KG08,
4.13%,
5/25/33
4,870,041
4,491,000
Class
A3
,
Series
K156,
3.70%,
6/25/33
4,166,956
86,797
3.50%,
1/1/34,
Pool
#ZS9068
82,170
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
94
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
Home
Loan
Mortgage
Corporation,
continued
$
934,621
2.50%,
1/1/35,
Pool
#SB0298
$
854,094
53,435
5.50%,
2/1/35,
Pool
#G04692
55,204
319,559
3.50%,
5/1/35,
Pool
#SC0063
305,594
1,550,000
1.46%,
8/17/35,
Callable
5/17/24
@
100.00
1,096,070
784,384
2.00%,
9/1/35,
Pool
#SB0539
699,461
1,664,294
2.00%,
1/1/36,
Pool
#SB0546
1,479,906
1,036,026
2.00%,
2/1/36,
Pool
#SB8507
937,168
926,412
2.00%,
2/1/36,
Pool
#RC1819
834,397
329,262
2.00%,
3/1/36,
Pool
#SB0544
294,897
292,692
1.50%,
4/1/36,
Pool
#SB0510
257,972
1,970,726
1.50%,
4/1/36,
Pool
#SB0514
1,704,278
1,942,543
2.00%,
5/1/36,
Pool
#RC1999
1,736,263
400,275
1.50%,
5/1/36,
Pool
#RC1975
346,121
4,456,458
2.00%,
6/1/36,
Pool
#RC2071
3,974,961
1,891,955
2.00%,
7/1/36,
Pool
#RC2097
1,687,517
3,155,000
1.72%,
9/22/36,
Callable
6/22/24
@
100.00
2,248,013
1,574,547
2.00%,
4/1/37,
Pool
#SB0679
1,403,819
38,243
3.00%,
9/1/37,
Pool
#ZA2471
35,322
790,293
3.00%,
6/1/38,
Pool
#SC0111
729,733
83,948
6.00%,
4/1/39,
Pool
#G07613
87,194
13,329
4.50%,
12/1/39,
Pool
#A90196
13,125
411,266
3.50%,
1/1/40,
Pool
#RB5028
381,562
51,426
3.50%,
2/1/40,
Pool
#RB5034
47,714
13,891
4.50%,
7/1/40,
Pool
#A93010
13,594
14,440
4.00%,
8/1/40,
Pool
#A93534
13,845
94,429
4.00%,
9/1/40,
Pool
#A93851
90,194
277,848
4.50%,
9/1/40,
Pool
#A93700
272,733
19,705
4.00%,
10/1/40,
Pool
#A95923
19,225
14,085
4.00%,
11/1/40,
Pool
#A94779
13,742
14,877
4.00%,
11/1/40,
Pool
#A94977
14,515
13,874
4.00%,
11/1/40,
Pool
#A95144
13,536
875
4.00%,
4/1/41,
Pool
#Q00093
843
35,238
4.50%,
5/1/41,
Pool
#Q00959
34,650
30,224
4.50%,
5/1/41,
Pool
#Q00804
29,721
217,976
5.50%,
6/1/41,
Pool
#G07553
224,163
17,410
4.00%,
10/1/41,
Pool
#Q03841
16,903
23,749
4.00%,
10/1/41,
Pool
#Q04022
23,057
47,798
5.00%,
10/1/41,
Pool
#G07642
48,096
332,809
2.00%,
2/1/42,
Pool
#RB5145
277,723
1,746,877
2.00%,
3/1/42,
Pool
#RB5148
1,457,526
113,054
3.50%,
4/1/42,
Pool
#Q07417
104,205
122,152
3.50%,
4/1/42,
Pool
#C03811
112,588
346,904
2.00%,
4/1/42,
Pool
#RB5153
285,759
10,246
3.50%,
5/1/42,
Pool
#Q08239
9,441
3,725
3.50%,
5/1/42,
Pool
#Q08306
3,433
15,768
3.50%,
8/1/42,
Pool
#Q12162
14,534
92,439
3.50%,
8/1/42,
Pool
#G07106
85,206
5,605
3.50%,
10/1/42,
Pool
#Q11909
5,166
146,218
3.00%,
1/1/43,
Pool
#Q14866
134,776
61,251
3.00%,
3/1/43,
Pool
#Q16403
54,367
118,582
3.00%,
3/1/43,
Pool
#Q16673
105,252
61,664
3.50%,
6/1/43,
Pool
#Q18718
57,963
104,237
3.50%,
7/1/43,
Pool
#Q20206
95,776
41,301
4.00%,
9/1/43,
Pool
#Q21579
39,283
105,620
4.50%,
12/1/43,
Pool
#Q23779
104,675
77,571
4.50%,
12/1/43,
Pool
#G60018
74,237
11,863
3.50%,
1/1/44,
Pool
#Q24368
10,900
487,092
3.50%,
4/1/44,
Pool
#G07848
444,759
45,882
4.00%,
4/1/44,
Pool
#Q25643
43,668
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
Home
Loan
Mortgage
Corporation,
continued
$
11,040
3.50%,
5/1/44,
Pool
#Q26218
$
10,229
59,149
3.50%,
6/1/44,
Pool
#Q28764
54,367
1,614,321
3.00%,
6/1/44,
Pool
#SD0498
1,426,011
41,503
4.00%,
7/1/44,
Pool
#G60901
39,487
11,227
3.50%,
7/1/44,
Pool
#Q27319
10,392
17,651
3.50%,
9/1/44,
Pool
#Q28604
16,337
1,648,384
3.50%,
9/1/44,
Pool
#SD0481
1,511,787
1,833,581
4.00%,
1/1/45,
Pool
#SD0490
1,752,381
1,624,984
4.00%,
1/1/45,
Pool
#SD0478
1,549,446
5,339
4.00%,
2/1/45,
Pool
#Q31128
5,126
13,192
4.00%,
2/1/45,
Pool
#Q31338
12,667
2,394,205
4.00%,
9/1/45,
Pool
#SD0507
2,298,759
13,079
3.50%,
9/1/45,
Pool
#Q36302
12,266
14,352
4.00%,
12/1/45,
Pool
#Q37957
13,718
17,159
4.00%,
12/1/45,
Pool
#Q37955
16,475
1,146,861
3.50%,
3/1/46,
Pool
#SD0485
1,046,714
212,670
3.50%,
9/1/46,
Pool
#SD0486
194,705
204,620
3.00%,
9/1/46,
Pool
#G60718
181,583
551,173
3.00%,
9/1/46,
Pool
#Q42979
489,122
716,511
3.00%,
12/1/46,
Pool
#V82781
631,326
58,939
3.00%,
12/1/46,
Pool
#Q45083
53,070
125,437
3.00%,
12/1/46,
Pool
#Q45080
110,691
220,808
3.00%,
12/1/46,
Pool
#Q45064
195,942
586,147
3.00%,
2/1/47,
Pool
#SD0496
518,240
318,336
3.50%,
3/1/47,
Pool
#G60968
294,719
765,184
4.50%,
7/1/47,
Pool
#G61047
746,049
604,277
4.00%,
7/1/47,
Pool
#SD0504
574,563
324,240
3.50%,
10/1/47,
Pool
#G61178
299,629
388,609
3.50%,
12/1/47,
Pool
#G61208
359,114
359,222
3.50%,
1/1/48,
Pool
#ZS4751
325,809
85,329
3.50%,
1/1/48,
Pool
#Q53648
78,837
50,846
3.50%,
1/1/48,
Pool
#Q53630
46,989
366,233
3.50%,
2/1/48,
Pool
#ZT1353
333,360
249,988
4.00%,
4/1/48,
Pool
#ZM6153
234,012
2,733,601
3.50%,
4/1/48,
Pool
#Q55389
2,479,248
534,909
4.00%,
4/1/48,
Pool
#SD0489
510,943
2,539,899
3.50%,
4/1/48,
Pool
#G08808
2,304,101
2,564,199
3.50%,
5/1/48,
Pool
#G08813
2,325,793
2,569,414
4.00%,
8/1/48,
Pool
#SD0492
2,435,392
861,068
4.50%,
8/1/48,
Pool
#G67715
842,721
2,027,332
4.00%,
5/1/49,
Pool
#SD0488
1,913,857
2,321,061
4.00%,
3/1/50,
Pool
#SD0296
2,185,834
1,625,648
4.50%,
3/1/50,
Pool
#SD0294
1,572,423
815,246
4.00%,
6/1/50,
Pool
#SD0520
765,091
97,171
3.00%,
7/1/50,
Pool
#QB1479
86,278
11,363
3.00%,
7/1/50,
Pool
#QB1158
9,993
25,452
3.00%,
7/1/50,
Pool
#QB1486
22,336
559,900
4.00%,
7/1/50,
Pool
#SD0878
525,092
461,048
2.50%,
7/1/50,
Pool
#QB1193
388,617
1,548,994
4.00%,
7/1/50,
Pool
#SD1146
1,467,555
13,071
3.00%,
7/1/50,
Pool
#QB1488
11,472
259,376
2.00%,
8/1/50,
Pool
#QB2296
208,196
740,440
1.50%,
8/1/50,
Pool
#RA3217
558,296
993,814
3.00%,
8/1/50,
Pool
#SD0519
883,649
73,920
3.00%,
8/1/50,
Pool
#QB2339
64,868
762,240
3.00%,
8/1/50,
Pool
#RA3282
670,262
736,385
3.00%,
8/1/50,
Pool
#RA3313
643,680
4,961,275
3.00%,
9/1/50,
Pool
#SD0592
4,382,923
1,063,851
2.00%,
9/1/50,
Pool
#SI2075
849,667
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
95
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
Home
Loan
Mortgage
Corporation,
continued
$
1,835,927
1.50%,
10/1/50,
Pool
#SD8082
$
1,384,305
571,870
2.00%,
11/1/50,
Pool
#SD7528
462,038
3,521,649
2.50%,
2/1/51,
Pool
#SD7534
2,997,995
5,088,923
2.00%,
3/1/51,
Pool
#SD8134
4,035,546
45,759,151
2.00%,
3/1/51,
Pool
#SD2903
36,370,176
1,893,927
2.00%,
4/1/51,
Pool
#SD7539
1,528,385
2,213,868
2.50%,
5/1/51,
Pool
#SD0702
1,869,029
1,030,632
2.00%,
5/1/51,
Pool
#SD7541
828,888
7,912,125
2.50%,
5/1/51,
Pool
#RA5077
6,648,364
3,297,298
2.00%,
7/1/51,
Pool
#SD0716
2,666,605
1,085,307
3.00%,
7/1/51,
Pool
#SD7544
948,671
965,783
2.00%,
9/1/51,
Pool
#SD0732
772,403
721,280
2.00%,
9/1/51,
Pool
#SD0730
578,650
3,231,785
2.00%,
10/1/51,
Pool
#RA6071
2,578,874
959,162
3.00%,
10/1/51,
Pool
#RA6015
836,304
2,175,413
2.50%,
11/1/51,
Pool
#RA6397
1,832,465
6,956,180
2.50%,
11/1/51,
Pool
#SD7548
5,839,856
386,864
2.00%,
12/1/51,
Pool
#SD0783
311,357
4,223,348
2.50%,
12/1/51,
Pool
#RA6388
3,548,748
986,911
2.00%,
12/1/51,
Pool
#SD0785
795,151
1,033,248
2.00%,
12/1/51,
Pool
#SD0786
828,653
189,177
2.00%,
12/1/51,
Pool
#SD0789
152,983
7,623,690
2.00%,
1/1/52,
Pool
#SD7549
6,142,261
21,986,874
2.50%,
1/1/52,
Pool
#SD7552
18,471,238
6,667,238
2.50%,
1/1/52,
Pool
#SD0923
5,567,923
1,805,725
2.00%,
1/1/52,
Pool
#SD0894
1,452,181
2,464,091
2.00%,
1/1/52,
Pool
#SD0892
1,976,152
1,284,727
2.00%,
2/1/52,
Pool
#RA6768
1,017,001
798,944
3.00%,
2/1/52,
Pool
#SD7550
702,366
21,930,282
3.00%,
3/1/52,
Pool
#SD7553
19,141,138
1,047,048
3.50%,
6/1/52,
Pool
#SD1049
944,336
79,218
5.00%,
6/1/52,
Pool
#QE4965
78,114
974,034
3.50%,
6/1/52,
Pool
#SD1053
882,115
554,497
4.00%,
6/1/52,
Pool
#SD1952
521,399
375,536
3.50%,
6/1/52,
Pool
#SD1086
338,700
438,360
4.50%,
7/1/52,
Pool
#SD8231
418,178
2,672,052
4.50%,
7/1/52,
Pool
#RA7506
2,554,564
1,282,025
5.00%,
7/1/52,
Pool
#SD1300
1,271,535
3,186,955
3.00%,
8/1/52,
Pool
#SD7556
2,762,845
856,867
4.50%,
8/1/52,
Pool
#QE8252
817,491
3,200,457
5.00%,
8/1/52,
Pool
#SD1465
3,155,873
113,715
5.00%,
9/1/52,
Pool
#QF0409
112,130
380,150
5.00%,
10/1/52,
Pool
#QF0895
374,847
669,697
5.00%,
11/1/52,
Pool
#SD1882
656,758
1,924,345
4.50%,
11/1/52,
Pool
#SD2000
1,833,296
435,766
6.00%,
11/1/52,
Pool
#RA8216
443,454
752,890
5.00%,
12/1/52,
Pool
#SD2081
738,343
1,421,386
5.00%,
12/1/52,
Pool
#SD1991
1,398,589
855,795
5.00%,
12/1/52,
Pool
#RA8295
839,266
886,911
5.00%,
1/1/53,
Pool
#RA8404
869,768
2,062,892
6.00%,
1/1/53,
Pool
#SD2163
2,085,281
489,170
5.50%,
1/1/53,
Pool
#SD2275
488,905
1,573,647
5.50%,
1/1/53,
Pool
#QF6560
1,575,458
1,115,793
6.00%,
2/1/53,
Pool
#RA8560
1,133,862
350,693
5.00%,
2/1/53,
Pool
#SD2306
343,919
4,411,941
5.50%,
3/1/53,
Pool
#RA8758
4,417,007
701,111
6.00%,
3/1/53,
Pool
#SD2598
712,462
1,451,198
6.00%,
4/1/53,
Pool
#SD2760
1,474,379
1,122,158
6.00%,
5/1/53,
Pool
#SD2886
1,137,802
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
Home
Loan
Mortgage
Corporation,
continued
$
2,931,018
6.00%,
5/1/53,
Pool
#RA9073
$
2,971,873
3,711,251
5.50%,
5/1/53,
Pool
#RA9063
3,709,568
3,265,311
5.50%,
5/1/53,
Pool
#SD2893
3,254,407
2,403,257
6.00%,
6/1/53,
Pool
#SD3176
2,436,760
478,116
5.50%,
8/1/53,
Pool
#RA9625
476,340
1,191,885
6.50%,
11/1/53,
Pool
#RJ0320
1,223,786
280,646,367
Federal
Farm
Credit
Banks
Funding
Corp.
(
1
.3
%
):
14,521,000
2.25%,
8/15/29,
Callable
8/15/24
@
100.00
12,934,740
10,440,000
2.17%,
10/29/29,
Callable
10/29/24
@
100.00
9,222,090
625,000
3.50%,
9/1/32
584,749
1,045,000
3.88%,
9/20/32
1,004,798
6,095,000
1.68%,
9/17/35,
Callable
4/11/24
@
100.00
4,402,638
3,450,000
1.84%,
1/25/36,
Callable
4/11/24
@
100.00
2,534,436
4,730,000
2.10%,
2/25/36,
Callable
4/11/24
@
100.00
3,570,199
2,569,000
2.50%,
4/14/36,
Callable
4/11/24
@
100.00
2,023,522
2,875,000
2.49%,
5/19/36,
Callable
4/11/24
@
100.00
2,259,908
38,537,080
Federal
Home
Loan
Mortgage
Corporation
-
REMICS
(
0
.3
%
):
189,493
Class
FL
,
Series
4248,
5.88%(SOFR30A+56bps),
5/15/41
187,948
984,543
Class
XZ
,
Series
4316,
4.50%,
3/15/44
961,968
832,678
Class
ZX
,
Series
4352,
4.00%,
4/15/44
787,319
340,867
Class
FB
,
Series
4606,
5.93%(SOFR30A+61bps),
8/15/46
337,092
854,433
Class
AO
,
Series
5341,
1.25%,
6/25/50
615,047
2,365,665
Class
TJ
,
Series
5002,
2.00%,
7/25/50
1,979,122
2,401,120
Class
AK
,
Series
4988,
1.00%,
7/25/50
1,853,976
3,702,677
Class
PO
,
Series
5319,
1.74%,
8/25/50
2,340,995
975,062
Class
ID
,
Series
5109,
2.50%,
5/25/51
144,656
9,208,123
FRESB
Mortgage
Trust
(
0
.1
%
):
2,448,965
Class
A10F
,
Series
2021-SB93,
1.81%,
10/25/31,
Callable
9/25/31
@
100.00
2,074,431
Federal
National
Mortgage
Association
-
REMICS
(
0
.2
%
):
2,499,534
Class
CY
,
Series
2010-136,
4.00%,
12/25/40
2,368,656
2,406,032
Class
ZA
,
Series
2011-8,
4.00%,
2/25/41
2,264,988
455,770
Class
UF
,
Series
2016-48,
5.83%(SOFR30A+51bps),
8/25/46
451,574
2,016,885
Class
AO
,
Series
2023-36,
1.25%,
8/25/50
1,450,471
1,048,732
Class
IO
,
Series
2021-88,
2.50%,
12/25/51
148,002
6,683,691
Federal
Home
Loan
Bank
(
1
.0
%
):
3,020,000
0.92%,
2/26/27,
Callable
5/26/24
@
100.00
2,724,550
22,560,000
2.06%,
9/27/29,
Callable
6/27/24
@
100.00
19,845,964
4,080,000
3.56%,
5/16/33
3,811,577
1,435,000
1.85%,
1/25/36,
Callable
4/25/24
@
100.00
1,055,460
1,720,000
1.87%,
2/8/36,
Callable
5/8/24
@
100.00
1,266,864
920,000
1.87%,
2/8/36,
Callable
5/8/24
@
100.00
677,625
29,382,040
Total
U.S.
Government
Agency
Mortgages
(Cost
$1,034,319,062)
965,166,977
U.S.
Treasury
Obligations
(
26
.7
%
):
U.S.
Treasury
Bonds
(
11
.1
%
):
2,480,000
5.38%,
2/15/31
2,659,800
14,025,000
4.75%,
2/15/37
14,919,094
7,185,000
5.00%,
5/15/37
7,811,442
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
96
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
U.S.
Treasury
Obligations,
continued
U.S.
Treasury
Bonds,
continued
$
12,855,000
1.13%,
8/15/40
$
7,966,083
33,230,000
1.88%,
2/15/41
23,188,309
23,885,000
3.13%,
11/15/41
20,093,256
2,795,000
2.00%,
11/15/41
1,963,488
5,045,000
2.38%,
2/15/42
3,757,737
16,285,000
2.75%,
11/15/42
12,763,369
33,675,000
4.00%,
11/15/42
31,764,996
1,360,000
3.88%,
2/15/43
1,259,062
4,335,000
3.88%,
5/15/43
4,007,166
7,022,500
3.63%,
8/15/43
6,255,511
11,075,000
4.38%,
8/15/43
10,960,789
6,000,000
4.75%,
11/15/43
6,233,438
2,980,000
4.50%,
2/15/44
3,001,419
1,205,000
3.13%,
8/15/44
988,100
15,000
2.50%,
2/15/45
10,983
955,000
3.00%,
5/15/45
762,508
1,770,000
2.88%,
8/15/45
1,379,494
12,235,000
3.00%,
11/15/45
9,726,825
18,635,000
2.25%,
8/15/46
12,770,798
6,855,000
2.88%,
11/15/46
5,289,061
3,105,000
2.75%,
11/15/47
2,323,898
5,645,000
3.00%,
2/15/48
4,422,505
63,515,000
3.13%,
5/15/48(d)
50,861,621
4,055,000
3.38%,
11/15/48
3,394,162
8,700,000
3.00%,
2/15/49
6,794,156
125,000
2.88%,
5/15/49
95,254
10,975,000
1.25%,
5/15/50
5,624,687
8,590,000
1.38%,
8/15/50
4,545,989
5,954,000
1.63%,
11/15/50
3,369,592
13,650,000
2.38%,
5/15/51
9,286,266
1,102,000
1.88%,
11/15/51
661,544
1,054,000
2.25%,
2/15/52
694,652
18,188,000
2.88%,
5/15/52
13,788,777
5,054,000
3.00%,
8/15/52
3,932,644
1,052,000
3.63%,
2/15/53
925,431
11,233,000
3.63%,
5/15/53
9,888,550
3,870,000
4.13%,
8/15/53
3,726,689
14,779,000
4.75%,
11/15/53
15,804,293
4,746,000
4.25%,
2/15/54
4,677,035
334,350,473
U.S.
Treasury
Notes
(
15
.6
%
):
27,685,000
4.25%,
12/31/24
27,494,666
3,992,000
2.88%,
6/15/25
3,895,942
5,640,000
3.00%,
7/15/25
5,507,812
7,618,000
5.00%,
9/30/25
7,638,235
890,000
3.00%,
10/31/25
865,803
1,550,000
2.88%,
11/30/25
1,503,500
68,766,000
4.88%,
11/30/25
68,884,192
7,810,000
0.38%,
12/31/25
7,244,995
95,875,000
3.88%,
1/15/26
94,526,758
84,589,000
4.00%,
2/15/26
83,558,072
43,666,000
4.63%,
2/28/26^
43,638,709
4,310,000
0.50%,
2/28/26
3,984,056
2,435,000
2.38%,
4/30/26
2,327,708
5,340,000
4.63%,
9/15/26
5,353,350
9,760,000
4.63%,
10/15/26
9,792,025
9,923,000
4.63%,
11/15/26
9,960,211
4,752,000
4.38%,
12/15/26
4,742,348
21,220,000
4.25%,
3/15/27
21,130,478
Principal
Amount
Value
U.S.
Treasury
Obligations,
continued
U.S.
Treasury
Notes,
continued
$
154,000
4.38%,
11/30/28
$
154,914
10,640,000
4.25%,
2/28/29^
10,659,950
14,735,000
4.13%,
3/31/29
14,672,837
5,545,000
4.00%,
10/31/29
5,482,619
998,000
3.88%,
11/30/29
980,691
3,087,000
3.75%,
5/31/30
3,008,378
882,000
4.00%,
7/31/30
871,113
895,000
4.63%,
9/30/30
915,417
2,637,000
3.75%,
12/31/30
2,566,131
10,598,000
4.00%,
1/31/31
10,467,181
2,729,000
4.25%,
2/28/31
2,735,822
5,485,000
4.13%,
3/31/31
5,455,004
6,775,000
4.00%,
2/15/34
6,669,141
466,688,058
Total
U.S.
Treasury
Obligations
(Cost
$877,291,779)
801,038,531
Shares
Affiliated
Investment
Company
(
1
.2
%
):
Money
Market
(
1
.2
%
):
35,721,532
BlackRock
Liquidity
FedFund,
Institutional
Class(c)(e)
35,721,532
Total
Affiliated
Investment
Company
(Cost
$35,721,532)
35,721,532
Unaffiliated
Investment
Company
(
4
.2
%
):
Money
Markets
(
4
.2
%
):
125,331,556
Dreyfus
Treasury
Securities
Cash
Management
Fund,
Institutional
Shares,
5.19%(c)
125,331,556
Total
Unaffiliated
Investment
Company
(Cost
$125,331,556)
125,331,556
Total
Investment
Securities
(Cost
$3,310,348,701)
105.1%
3,150,612,631
Net
other
assets
(liabilities)
(5.1)%
(
154,286,858
)
Net
Assets
100.0%
$
2,996,325,773
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
97
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Percentages
indicated
are
based
on
net
assets
as
of
March
31,
2024.
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
TSFR1M—Term
Secured
Overnight
Financing
Rate
1
Month
TSFR3M—Term
Secured
Overnight
Financing
Rate
3
Month
SOFR30A—Secured
Overnight
Financing
Rate
30-day
Average
TBA—To
Be
Announced
Security
US0001M—1
Month
US
Dollar
LIBOR
^
This
security
or
a
partial
position
of
this
security
was
on
loan
as
of
March
31,
2024.
The
total
value
of
securities
on
loan
as
of
March
31,
2024
was
$34,720,928.
Represents
less
than
0.05%.
(a)
Rule
144A,
Section
4(2)
or
other
security
which
is
restricted
to
resale
to
institutional
investors.
(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
March
31,
2024.
(c)
The
rate
represents
the
effective
yield
at
March
31,
2024.
(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
March
31,
2024.
Securities
Sold
Short
(-2.5%):
At
March
31,
2024,
the
Fund's
securities
sold
short
were
as
follows:
Security
Description
Coupon
Rate
Maturity
Date
Par
Amount
Proceeds
Received
Value
U.S.
Government
Agency
Mortgages
Federal
National
Mortgage
Association
Federal
National
Mortgage
Association,
TBA
2.00%
4/25/39
$
(
318,467‌
)
$
(
282,964‌
)
$
(
282,241‌
)
Federal
National
Mortgage
Association,
TBA
3.50%
4/25/54
(
218,000‌
)
(
195,221‌
)
(
195,212‌
)
Federal
National
Mortgage
Association,
TBA
4.00%
5/25/54
(
700,000‌
)
(
650,590‌
)
(
648,813‌
)
Federal
National
Mortgage
Association,
TBA
2.00%
4/25/54
(
32,330,512‌
)
(
25,757,263‌
)
(
25,576,466‌
)
Federal
National
Mortgage
Association,
TBA
1.50%
4/25/39
(
420,290‌
)
(
365,275‌
)
(
363,682‌
)
Federal
National
Mortgage
Association,
TBA
6.00%
4/25/54
(
13,085,200‌
)
(
13,210,430‌
)
(
13,211,963‌
)
Federal
National
Mortgage
Association,
TBA
5.00%
4/25/54
(
27,786,502‌
)
(
27,098,645‌
)
(
27,126,573‌
)
Federal
National
Mortgage
Association,
TBA
4.00%
4/25/54
(
3,688,900‌
)
(
3,440,252‌
)
(
3,417,996‌
)
Federal
National
Mortgage
Association,
TBA
3.50%
5/25/54
(
2,810,945‌
)
(
2,527,325‌
)
(
2,518,870‌
)
Government
National
Mortgage
Association
Government
National
Mortgage
Association,
TBA
2.50%
4/20/54
(
3,223,522‌
)
(
2,725,921‌
)
(
2,747,549‌
)
$(76,253,886)
$
(
76,089,365‌
)
AZL
Enhanced
Bond
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
98
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Futures
Contracts
At
March
31,
2024,
the
Fund's
open
futures
contracts
were
as
follows:
Short
Futures
Description
Expiration
Date
Number
of
Contracts
Notional
Amount
Value
and
Unrealized
Appreciation/
(Depreciation)
30-Day
Federal
Funds
March
Futures
(U.S.
Dollar)
3/28/24
20
$
(
7,889,589‌
)
$
382‌
U.S.
Treasury
10-Year
Note
June
Futures
(U.S.
Dollar)
6/18/24
42
(
4,813,594‌
)
(
26,097‌
)
$
(
25,715‌
)
Long
Futures
Description
Expiration
Date
Number
of
Contracts
Notional
Amount
Value
and
Unrealized
Appreciation/
(Depreciation)
U.S.
Treasury
10-Year
Note
June
Futures
(U.S.
Dollar)
6/18/24
195
$
21,605,391‌
$
91,731‌
U.S.
Treasury
2-Year
Note
June
Futures
(U.S.
Dollar)
6/28/24
930
190,170,469‌
(
101,550‌
)
U.S.
Treasury
5-Year
Note
June
Futures
(U.S.
Dollar)
6/28/24
653
69,881,203‌
207,174‌
U.S.
Treasury
Long
Bond
June
Futures
(U.S.
Dollar)
6/18/24
31
3,733,563‌
60,906‌
Ultra
Long
Term
U.S.
Treasury
Bond
June
Futures
(U.S.
Dollar)
6/18/24
4
516,000‌
4,308‌
$
262,569‌
Total
Net
Futures
Contracts
$
236,854‌
Forward
Currency
Contracts
At
March
31,
2024,
the
Fund's
open
forward
currency
contracts
were
as
follows:
Currency
Purchased
Currency
Sold
Counterparty
Settlement
Date
Net
Unrealized
Appreciation/
(Depreciation)
U.S.
Dollar
88,934‌
European
Euro
80,929‌
Bank
National
Paris
5/16/24
$
1,477
U.S.
Dollar
144,190‌
European
Euro
132,000‌
UBS
Warburg
6/20/24
1,332
Total
Net
Forward
Currency
Contracts
$
2,809‌
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
99
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks
(41.4%):
Aerospace
&
Defense
(0.9%):
19,362
Boeing
Co.
(The)*
$
3,736,672
10,550
Lockheed
Martin
Corp.
4,798,879
2,444
Northrop
Grumman
Corp.
1,169,845
40,379
Textron,
Inc.
3,873,557
13,578,953
Automobiles
(0.5%):
327,954
Ford
Motor
Co.
4,355,229
22,452
Tesla,
Inc.*
3,946,837
8,302,066
Banks
(1.2%):
194,710
Bank
of
America
Corp.
7,383,403
60,720
JPMorgan
Chase
&
Co.
12,162,216
19,545,619
Beverages
(0.4%):
64,003
Coca-Cola
Co.
(The)
3,915,704
19,601
Molson
Coors
Beverage
Co.,
Class
B
1,318,167
2,420
PepsiCo,
Inc.
423,524
5,657,395
Biotechnology
(0.9%):
8,090
AbbVie,
Inc.
1,473,189
1,939
Amgen,
Inc.
551,296
107,470
Exelixis,
Inc.*
2,550,263
62,291
Gilead
Sciences,
Inc.
4,562,816
58,197
Incyte
Corp.*
3,315,483
8,737
United
Therapeutics
Corp.*
2,007,064
14,460,111
Broadline
Retail
(1.8%):
152,725
Amazon.com,
Inc.*
27,548,536
7,825
eBay,
Inc.
413,003
27,961,539
Capital
Markets
(0.7%):
6,639
Ameriprise
Financial,
Inc.
2,910,803
14,531
CME
Group,
Inc.
3,128,379
9,946
Goldman
Sachs
Group,
Inc.
(The)
4,154,345
5,808
Tradeweb
Markets,
Inc.,
Class
A
605,019
10,798,546
Chemicals
(0.5%):
19,748
Eastman
Chemical
Co.
1,979,145
18,042
Ecolab,
Inc.
4,165,898
4,486
Linde
plc
2,082,939
8,227,982
Commercial
Services
&
Supplies
(0.6%):
6,793
Cintas
Corp.
4,666,995
21,455
Republic
Services,
Inc.
4,107,345
8,774,340
Communications
Equipment
(0.0%
):
8,155
Cisco
Systems,
Inc.
407,016
Construction
&
Engineering
(0.0%
):
4,367
AECOM
428,315
Shares
Value
Common
Stocks,
continued
Construction
Materials
(0.2%):
13,780
Vulcan
Materials
Co.
$
3,760,838
Consumer
Finance
(0.4%):
24,213
American
Express
Co.
5,513,058
Consumer
Staples
Distribution
&
Retail
(0.9%):
6,258
Costco
Wholesale
Corp.
4,584,799
16,011
Kroger
Co.
(The)
914,709
46,113
Sysco
Corp.
3,743,453
85,467
Walmart,
Inc.
5,142,549
14,385,510
Diversified
Consumer
Services
(0.1%):
8,518
Duolingo,
Inc.*
1,878,900
Diversified
Telecommunication
Services
(0.5%):
218,730
AT&T,
Inc.
3,849,648
79,900
Verizon
Communications,
Inc.
3,352,604
7,202,252
Electric
Utilities
(0.2%):
4,744
Hawaiian
Electric
Industries,
Inc.
53,465
50,253
NextEra
Energy,
Inc.
3,211,669
8,592
PG&E
Corp.
144,002
7,817
Xcel
Energy,
Inc.
420,164
3,829,300
Electrical
Equipment
(0.6%):
21,576
AMETEK,
Inc.
3,946,250
7,893
Eaton
Corp.
plc
2,467,983
27,637
Emerson
Electric
Co.
3,134,589
9,548,822
Electronic
Equipment,
Instruments
&
Components
(0.1%):
14,072
Amphenol
Corp.,
Class
A
1,623,205
Entertainment
(0.8%):
26,853
Electronic
Arts,
Inc.
3,562,587
5,911
Netflix,
Inc.*
3,589,928
12,327
Spotify
Technology
SA*
3,253,095
18,227
Walt
Disney
Co.
(The)
2,230,256
12,635,866
Financial
Services
(2.4%):
34,583
Berkshire
Hathaway,
Inc.,
Class
B*
14,542,843
42,858
Block,
Inc.*
3,624,930
19,404
Mastercard,
Inc.,
Class
A
9,344,384
69,259
PayPal
Holdings,
Inc.*
4,639,660
19,374
Visa,
Inc.,
Class
A
5,406,896
37,558,713
Food
Products
(0.2%):
82,131
Kraft
Heinz
Co.
(The)
3,030,634
168
Seaboard
Corp.
541,618
3,572,252
Ground
Transportation
(1.1%):
121,210
CSX
Corp.
4,493,255
7,136
Old
Dominion
Freight
Line,
Inc.
1,564,996
66,402
Uber
Technologies,
Inc.*
5,112,290
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
100
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Ground
Transportation,
continued
22,179
Union
Pacific
Corp.
$
5,454,481
16,625,022
Health
Care
Equipment
&
Supplies
(0.8%):
17,858
Becton
Dickinson
&
Co.
4,418,962
18,515
Edwards
Lifesciences
Corp.*
1,769,293
4,373
GE
HealthCare
Technologies,
Inc.
397,549
27,989
Hologic,
Inc.*
2,182,023
4,305
IDEXX
Laboratories,
Inc.*
2,324,399
32,328
Lantheus
Holdings,
Inc.*
2,012,095
13,104,321
Health
Care
Providers
&
Services
(1.6%):
48,997
Centene
Corp.*
3,845,284
6,744
Cigna
Group
(The)
2,449,353
41,338
CVS
Health
Corp.
3,297,119
9,905
Elevance
Health,
Inc.
5,136,139
20,121
UnitedHealth
Group,
Inc.
9,953,859
24,681,754
Health
Care
Technology
(0.2%):
13,968
Veeva
Systems,
Inc.,
Class
A*
3,236,246
Hotels,
Restaurants
&
Leisure
(0.8%):
231
Booking
Holdings,
Inc.
838,040
1,628
Chipotle
Mexican
Grill,
Inc.*
4,732,221
74,408
International
Game
Technology
plc
1,680,877
12,779
McDonald's
Corp.
3,603,039
22,331
Starbucks
Corp.
2,040,830
6,046
Wendy's
Co.
(The)
113,907
13,008,914
Household
Durables
(0.3%):
220
NVR,
Inc.*
1,781,992
15,541
Toll
Brothers,
Inc.
2,010,539
492
TopBuild
Corp.*
216,839
4,009,370
Household
Products
(0.5%):
28,254
Colgate-Palmolive
Co.
2,544,273
37,557
Procter
&
Gamble
Co.
(The)
6,093,623
8,637,896
Industrial
Conglomerates
(0.3%):
41,485
3M
Co.
4,400,314
Insurance
(1.0%):
4,025
Allstate
Corp.
(The)
696,365
3,527
Aon
plc,
Class
A
1,177,030
185
Marsh
&
McLennan
Cos.,
Inc.
38,106
44,713
MetLife,
Inc.
3,313,680
25,047
Progressive
Corp.
(The)
5,180,221
5,474
Selective
Insurance
Group,
Inc.
597,597
12,771
Travelers
Cos.,
Inc.
(The)
2,939,118
27,492
Unum
Group
1,475,221
15,417,338
Interactive
Media
&
Services
(3.0%):
86,874
Alphabet,
Inc.,
Class
A*
13,111,893
95,599
Alphabet,
Inc.,
Class
C*
14,555,904
Shares
Value
Common
Stocks,
continued
Interactive
Media
&
Services,
continued
39,423
Meta
Platforms,
Inc.,
Class
A
$
19,143,020
46,810,817
IT
Services
(0.1%):
306
Accenture
plc,
Class
A
106,063
16,022
Twilio,
Inc.,
Class
A*
979,745
3,025
Wix.com,
Ltd.*
415,877
1,501,685
Life
Sciences
Tools
&
Services
(0.1%):
14,773
Agilent
Technologies,
Inc.
2,149,619
247
Thermo
Fisher
Scientific,
Inc.
143,559
2,293,178
Machinery
(0.8%):
5,603
Allison
Transmission
Holdings,
Inc.
454,740
17,395
Caterpillar,
Inc.
6,374,050
5,491
Deere
&
Co.
2,255,373
1,759
Donaldson
Co.,
Inc.
131,362
22,954
PACCAR,
Inc.
2,843,771
12,059,296
Media
(0.3%):
103,554
Comcast
Corp.,
Class
A
4,489,066
Metals
&
Mining
(0.4%):
21,747
Nucor
Corp.
4,303,731
17,990
Steel
Dynamics,
Inc.
2,666,658
6,970,389
Oil,
Gas
&
Consumable
Fuels
(1.2%):
4,800
Chevron
Corp.
757,152
36,331
ConocoPhillips
4,624,210
13,455
Coterra
Energy,
Inc.
375,125
72,909
Devon
Energy
Corp.
3,658,574
36,516
EOG
Resources,
Inc.
4,668,205
28,417
Exxon
Mobil
Corp.
3,303,192
1,397
Marathon
Petroleum
Corp.
281,495
743
Pioneer
Natural
Resources
Co.
195,038
4,011
Sanchez
Energy
Corp.*(a)
327,237
18,190,228
Passenger
Airlines
(0.1%):
66,871
American
Airlines
Group,
Inc.*
1,026,470
Pharmaceuticals
(1.9%):
92,824
Bristol-Myers
Squibb
Co.
5,033,846
7,426
Eli
Lilly
&
Co.
5,777,131
7,946
Jazz
Pharmaceuticals
plc*
956,857
28,464
Johnson
&
Johnson
4,502,720
63,301
Merck
&
Co.,
Inc.
8,352,567
204,288
Pfizer,
Inc.
5,668,992
30,292,113
Professional
Services
(0.3%):
2,821
CACI
International,
Inc.,
Class
A*
1,068,680
51,125
SS&C
Technologies
Holdings,
Inc.
3,290,916
4,359,596
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
101
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Residential
REITs
(0.0%
):
2,352
Invitation
Homes,
Inc.
$
83,755
Semiconductors
&
Semiconductor
Equipment
(4.7%):
6,717
Advanced
Micro
Devices,
Inc.*
1,212,351
29,009
Applied
Materials,
Inc.
5,982,526
8,921
Broadcom,
Inc.
11,823,983
27,507
Cirrus
Logic,
Inc.*
2,546,048
136,577
Intel
Corp.
6,032,606
3,640
KLA
Corp.
2,542,795
40,210
NVIDIA
Corp.
36,332,147
8,653
Qorvo,
Inc.*
993,624
36,582
QUALCOMM,
Inc.
6,193,333
73,659,413
Software
(4.4%):
12,829
Adobe,
Inc.*
6,473,513
3,172
Cadence
Design
Systems,
Inc.*
987,380
27,419
DocuSign,
Inc.*
1,632,801
25,391
Dropbox,
Inc.,
Class
A*
617,001
108,016
Microsoft
Corp.
45,444,492
11,242
Pegasystems,
Inc.
726,683
13,694
RingCentral,
Inc.,
Class
A*
475,730
23,032
Salesforce,
Inc.
6,936,778
84,384
Teradata
Corp.*
3,263,129
47,929
Zoom
Video
Communications,
Inc.,
Class
A*
3,133,119
69,690,626
Specialized
REITs
(0.4%):
35,369
Crown
Castle,
Inc.
3,743,101
9,339
Public
Storage
2,708,871
6,451,972
Specialty
Retail
(0.8%):
22,362
Home
Depot,
Inc.
(The)
8,578,063
16,663
TJX
Cos.,
Inc.
(The)
1,689,962
3,391
Ulta
Beauty,
Inc.*
1,773,086
12,041,111
Technology
Hardware,
Storage
&
Peripherals
(2.3%):
205,345
Apple,
Inc.
35,212,561
8,038
NetApp,
Inc.
843,749
36,056,310
Textiles,
Apparel
&
Luxury
Goods
(0.1%):
43,573
Tapestry,
Inc.
2,068,846
Total
Common
Stocks
(Cost
$496,342,844)
650,816,644
Contracts
Warrants
(0.0%
):
Oil,
Gas
&
Consumable
Fuels
(0.0%
):
63
California
Resources
Corp.,
10/27/24*
1,232
2,121
Occidental
Petroleum
Corp.,
8/3/27
91,415
92,647
Total
Warrants
(Cost
$20,366)
92,647
Principal
Amount
Asset
Backed
Securities
(0.4%):
$
585,409
Aaset
Trust,
Class
A,
Series
2021-1A,
2.95%,
11/16/41(b)
524,946
Principal
Amount
Value
Asset
Backed
Securities,
continued
$
138,939
Aaset
Trust,
Class
B,
Series
2020-1A,
4.34%,
1/16/40(b)
$
85,327
103,183
Aaset
Trust,
Class
A,
Series
2020-1A,
3.35%,
1/16/40(b)
91,664
31,725
Aaset
Trust,
Class
A,
Series
2019-1,
3.84%,
5/15/39(b)
27,282
178,277
Aaset
Trust,
Class
A,
Series
2019-2,
3.38%,
10/16/39(b)
161,300
1,174,802
Aaset
Trust,
Class
A,
Series
2021-2A,
2.80%,
1/15/47(b)
1,011,914
161,438
AASET
US,
Ltd.,
Class
A,
Series
2018-1A,
3.84%,
1/16/38(b)
114,217
330,206
Blackbird
Capital
Aircraft
Lease
Securitization,
Ltd.,
Class
A,
Series
2016-1A,
4.21%,
12/16/41,
Callable
12/15/24
@
100(b)(c)
325,313
879,256
Blackbird
Capital
II
Aircraft
Lease,
Ltd.,
Class
A,
Series
2021-1A,
2.44%,
7/15/46,
Callable
7/15/28
@
100(b)
767,789
68,571
Castlelake
Aircraft
Securitization
Trust,
Class
A,
Series
2018-1,
4.13%,
6/15/43(b)
63,925
193,711
Castlelake
Aircraft
Structured
Trust,
Class
A,
Series
2019-1A,
3.97%,
4/15/39(b)
174,607
186,315
Castlelake
Aircraft
Structured
Trust,
Class
B,
Series
2019-1A,
5.10%,
4/15/39(b)
126,212
102,931
Castlelake
Aircraft
Structured
Trust,
Class
A,
Series
2021-1A,
3.47%,
1/15/46(b)
97,047
359,073
CF
Hippolyta
Issuer
LLC,
Class
A1,
Series
2021-1A,
1.53%,
3/15/61,
Callable
4/15/24
@
100(b)
323,635
345,920
DB
Master
Finance
LLC,
Class
A2II,
Series
2017-1A,
4.03%,
11/20/47,
Callable
5/20/24
@
100(b)
330,486
167,005
Horizon
Aircraft
Finance
I,
Ltd.,
Class
A,
Series
2018-1,
4.46%,
12/15/38(b)
146,721
168,184
Horizon
Aircraft
Finance
II,
Ltd.,
Class
A,
Series
2019-1,
3.72%,
7/15/39(b)
148,573
544,880
Planet
Fitness
Master
Issuer
LLC,
Class
A2II,
Series
2022-1A,
4.01%,
12/5/51,
Callable
12/5/27
@
100(b)
481,807
210,650
Planet
Fitness
Master
Issuer
LLC,
Class
A2,
Series
2019-1A,
3.86%,
12/5/49,
Callable
12/5/25
@
100(b)
190,968
606,620
Planet
Fitness
Master
Issuer
LLC,
Class
A2I,
Series
2022-1A,
3.25%,
12/5/51,
Callable
12/5/24
@
100(b)
566,507
182,823
Project
Silver,
Class
A,
Series
2019-1,
3.97%,
7/15/44(b)
157,108
190,852
SAPPHIRE
AVIATION
FINANCE
II,
LTD.,
Class
B,
Series
2020-1A,
4.34%,
3/15/40(b)
144,614
184,063
SAPPHIRE
AVIATION
FINANCE
II,
LTD.,
Class
A,
Series
2020-1A,
3.23%,
3/15/40(b)
167,503
138,053
Thunderbolt
Aircraft
Lease,
Ltd.,
Class
A,
Series
2017-A,
6.21%,
5/17/32,
Callable
4/15/24
@
100(b)
(c)
133,526
244,932
Thunderbolt
II
Aircraft
Lease,
Ltd.,
Class
A,
Series
2018-A,
4.15%,
9/15/38(b)(c)
200,599
271,250
Thunderbolt
III
Aircraft
Lease,
Ltd.,
Class
A,
Series
2019-1,
3.67%,
11/15/39(b)
237,149
Total
Asset
Backed
Securities
(Cost
$7,724,901)
6,800,739
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
102
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Collateralized
Mortgage
Obligations
(5.7%):
$
523,000
Aimco
CLO
11,
Ltd.,
Class
AR,
Series
2020-11A,
6.71%(TSFR3M+139bps),
10/17/34,
Callable
4/17/24
@
100(b)
$
522,686
387,000
Aimco
CLO
14,
Ltd.,
Class
A,
Series
2021-14A,
6.57%(TSFR3M+125bps),
4/20/34,
Callable
4/20/24
@
100(b)
385,492
250,000
Allegro
CLO
XIII,
Ltd.,
Class
A,
Series
2021-1A,
6.72%(TSFR3M+140bps),
7/20/34,
Callable
4/20/24
@
100(b)
250,234
2,812,000
Allegro
CLO
XIV,
Ltd.,
Class
A1,
Series
2021-2A,
6.74%(TSFR3M+142bps),
10/15/34,
Callable
4/15/24
@
100(b)
2,813,110
624,000
Allegro
CLO
XV,
Ltd.,
Class
A,
Series
2022-1A,
6.82%(TSFR3M+150bps),
7/20/35,
Callable
7/20/24
@
100(b)
624,411
256,000
Ares
LIV
CLO,
Ltd.,
Class
A,
Series
2019-54A,
6.90%(TSFR3M+158bps),
10/15/32,
Callable
4/15/24
@
100(b)
256,120
853,000
Ares
LV
CLO,
Ltd.,
Class
A1R,
Series
2020-55A,
6.71%(TSFR3M+139bps),
7/15/34,
Callable
4/15/24
@
100(b)
851,614
660,000
Ares
XLI
CLO,
Ltd.,
Class
AR2,
Series
2016-41A,
6.65%(TSFR3M+133bps),
4/15/34,
Callable
4/15/24
@
100(b)
657,929
555,000
BAMLL
Commercial
Mortgage
Securities
Trust,
Class
A,
Series
2022-DKLX,
6.48%(TSFR1M+115bps),
1/15/39(b)
550,091
177,000
BAMLL
Commercial
Mortgage
Securities
Trust,
Class
ANM,
Series
2019-BPR,
3.11%,
11/5/32(b)
159,399
105,000
BAMLL
Commercial
Mortgage
Securities
Trust,
Class
B,
Series
2022-DKLX,
6.88%(TSFR1M+155bps),
1/15/39(b)
103,404
100,000
BAMLL
Commercial
Mortgage
Securities
Trust,
Class
C,
Series
2022-DKLX,
7.48%(TSFR1M+215bps),
1/15/39(b)
96,985
30,000
BANK,
Class
A5,
Series
2019-BN21,
2.85%,
10/15/52,
Callable
10/15/29
@
100
26,292
310,000
Barings
CLO,
Ltd.,
Class
A,
Series
2020-4A,
6.80%(TSFR3M+148bps),
1/20/32,
Callable
4/20/24
@
100(b)
310,135
786,000
Barings
CLO,
Ltd.,
Class
AR,
Series
2020-1A,
6.73%(TSFR3M+141bps),
10/15/36,
Callable
4/15/24
@
100(b)
786,116
417,000
Beechwood
Park
CLO,
Ltd.,
Class
A1R,
Series
2019-
1A,
6.62%(TSFR3M+130bps),
1/17/35,
Callable
4/17/24
@
100(b)
415,290
34,000
Benchmark
Mortgage
Trust,
Class
A5,
Series
2018-
B4,
4.12%,
7/15/51,
Callable
7/15/28
@
100(c)
32,561
1,139,000
Bethpage
Park
CLO,
Ltd.,
Class
A,
Series
2021-1A,
6.71%(TSFR3M+139bps),
1/15/35,
Callable
4/15/24
@
100(b)
1,135,474
338,000
BLP
Commercial
Mortgage
Trust,
Class
A,
Series
2024-IND2,
6.67%(TSFR1M+134bps),
3/15/41(b)
338,106
1,835,000
BPR
Trust,
Class
A,
Series
2022-OANA,
7.22%(TSFR1M+190bps),
4/15/37(b)
1,844,131
488,000
BPR
Trust,
Class
B,
Series
2022-OANA,
7.77%(TSFR1M+245bps),
4/15/37(b)
488,630
207,052
Bristol
Park
CLO,
Ltd.,
Class
AR,
Series
2016-1A,
6.57%(TSFR3M+125bps),
4/15/29,
Callable
4/15/24
@
100(b)
206,327
Principal
Amount
Value
Collateralized
Mortgage
Obligations,
continued
$
785,000
BX
Commercial
Mortgage
Trust,
Class
A,
Series
2024-XL4,
6.77%(TSFR1M+144bps),
2/15/39(b)
$
785,062
1,842,000
BX
Commercial
Mortgage
Trust,
Class
A,
Series
2024-XL5,
6.69%(TSFR1M+139bps),
3/15/39(b)
1,842,927
315,000
BX
Commercial
Mortgage
Trust,
Class
B,
Series
2024-XL5,
6.99%(TSFR1M+169bps),
3/15/39(b)
314,803
418,000
BX
Commercial
Mortgage
Trust,
Class
C,
Series
2024-XL5,
7.24%(TSFR1M+194bps),
3/15/39(b)
417,477
338,940
BX
Commercial
Mortgage
Trust,
Class
C,
Series
2022-LP2,
6.89%(TSFR1M+156bps),
2/15/39(b)
334,907
338,940
BX
Commercial
Mortgage
Trust,
Class
B,
Series
2022-LP2,
6.64%(TSFR1M+131bps),
2/15/39(b)
335,526
338,940
BX
Commercial
Mortgage
Trust,
Class
D,
Series
2022-LP2,
7.29%(TSFR1M+196bps),
2/15/39(b)
334,301
1,125,505
BX
Commercial
Mortgage
Trust,
Class
A,
Series
2022-LP2,
6.34%(TSFR1M+101bps),
2/15/39(b)
1,119,845
100,000
BX
Commercial
Mortgage
Trust,
Class
B,
Series
2024-XL4,
7.12%(TSFR1M+179bps),
2/15/39(b)
99,877
100,000
BX
Commercial
Mortgage
Trust,
Class
C,
Series
2023-XL3,
7.97%(TSFR1M+264bps),
12/9/40(b)
100,776
525,000
BX
Commercial
Mortgage
Trust,
Class
A,
Series
2023-XL3,
7.09%(TSFR1M+176bps),
12/9/40(b)
527,867
116,000
BX
Commercial
Mortgage
Trust,
Class
B,
Series
2023-XL3,
7.52%(TSFR1M+219bps),
12/9/40(b)
116,912
119,000
BX
Commercial
Mortgage
Trust,
Class
D,
Series
2019-IMC,
7.27%(TSFR1M+195bps),
4/15/34(b)
118,811
113,000
BX
Commercial
Mortgage
Trust,
Class
C,
Series
2019-IMC,
6.97%(TSFR1M+165bps),
4/15/34(b)
112,852
172,000
BX
Commercial
Mortgage
Trust,
Class
B,
Series
2019-IMC,
6.67%(TSFR1M+135bps),
4/15/34(b)
171,821
5,017,000
BX
Commercial
Mortgage
Trust,
Class
A,
Series
2019-IMC,
6.37%(TSFR1M+105bps),
4/15/34(b)
5,012,567
4,413,720
BX
Commercial
Mortgage
Trust
2021-SOAR,
Class
A,
Series
2021-SOAR,
6.11%(TSFR1M+78bps),
6/15/38(b)
4,383,597
730,000
BX
Mortgage
Trust,
Class
E,
Series
2021-PAC,
7.39%(TSFR1M+206bps),
10/15/36(b)
716,876
210,000
BX
Mortgage
Trust,
Class
D,
Series
2021-PAC,
6.74%(TSFR1M+141bps),
10/15/36(b)
204,975
2,708,000
BX
Mortgage
Trust,
Class
A,
Series
2021-PAC,
6.13%(TSFR1M+80bps),
10/15/36(b)
2,684,265
162,000
BX
Mortgage
Trust,
Class
B,
Series
2021-PAC,
6.34%(TSFR1M+101bps),
10/15/36(b)
159,663
216,000
BX
Mortgage
Trust,
Class
C,
Series
2021-PAC,
6.54%(TSFR1M+121bps),
10/15/36(b)
212,283
756,316
BX
Trust,
Class
A,
Series
2022-IND
A,
6.82%(TSFR1M+149bps),
4/15/24(b)
756,757
385,813
BX
Trust,
Class
B,
Series
2022-IND,
7.27%(TSFR1M+194bps),
4/15/24(b)
386,024
155,000
BX
Trust,
Class
C,
Series
2024-CNYN,
7.24%(TSFR1M+194bps),
4/15/29(b)
154,806
87,267
BX
Trust,
Class
C,
Series
2022-IND,
7.62%(TSFR1M+229bps),
4/15/24(b)
87,315
72,723
BX
Trust,
Class
D,
Series
2022-IND,
8.16%(TSFR1M+284bps),
4/15/24(b)
72,820
468,370
BX
Trust,
Class
A,
Series
2022-GPA,
7.49%(TSFR1M+217bps),
10/15/39(b)
469,584
186,000
BX
Trust,
Class
B,
Series
2024-CNYN,
6.99%(TSFR1M+169bps),
4/15/29(b)
185,767
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
103
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Collateralized
Mortgage
Obligations,
continued
$
1,169,000
BX
Trust,
Class
A,
Series
2024-CNYN,
6.74%(TSFR1M+144bps),
4/15/29(b)
$
1,169,000
15,807,179
Cedar
Funding
V
CLO,
Ltd.,
Class
A1R,
Series
2016-
5A,
6.68%(TSFR3M+136bps),
7/17/31,
Callable
4/17/24
@
100(b)
15,828,934
235,000
Cedar
Funding
VI
CLO,
Ltd.,
Class
ARR,
Series
2016-
6A,
6.63%(TSFR3M+131bps),
4/20/34,
Callable
4/20/24
@
100(b)
235,000
643,000
Cedar
Funding
X
CLO,
Ltd.,
Class
AR,
Series
2019-
10A,
6.68%(TSFR3M+136bps),
10/20/32,
Callable
4/20/24
@
100(b)
642,274
485,000
Cedar
Funding
XII
CLO,
Ltd.,
Class
A1R,
Series
2020-12A,
6.72%(TSFR3M+139bps),
10/25/34,
Callable
4/25/24
@
100(b)
485,136
942,000
Cedar
Funding
XV
CLO,
Ltd.,
Class
A,
Series
2022-
15A,
6.64%(TSFR3M+132bps),
4/20/35,
Callable
4/20/24
@
100(b)
939,038
791,000
Columbia
Cent
CLO
29,
Ltd.,
Class
AR,
Series
2020-
29A,
6.75%(TSFR3M+143bps),
10/20/34,
Callable
4/20/24
@
100(b)
788,060
410,000
Columbia
Cent
CLO
30,
Ltd.,
Class
A1,
Series
2020-
30A,
6.89%(TSFR3M+157bps),
1/20/34,
Callable
4/20/24
@
100(b)
408,838
310,000
Columbia
Cent
CLO
31,
Ltd.,
Class
A1,
Series
2021-
31A,
6.78%(TSFR3M+146bps),
4/20/34,
Callable
4/20/24
@
100(b)
308,921
44,291
COMM
Mortgage
Trust,
Class
A5,
Series
2014-
CR18,
3.83%,
7/15/47,
Callable
7/15/24
@
100
44,093
242,397
Credit
Suisse
Mortgage
Capital
Certificates,
Class
B,
Series
2019-ICE4,
6.60%(TSFR1M+128bps),
5/15/36(b)
242,259
3,557,895
CSMC,
Class
A,
Series
2020-NET,
2.26%,
8/15/37(b)
3,308,824
860,000
CSMC
Trust,
Class
D,
Series
2017-PFHP,
7.62%(TSFR1M+230bps),
12/15/30(b)
791,285
527,000
Dryden
76
CLO,
Ltd.,
Class
A1R,
Series
2019-76A,
6.73%(TSFR3M+141bps),
10/20/34,
Callable
4/20/24
@
100(b)
525,323
250,000
Dryden
78
CLO,
Ltd.,
Class
A,
Series
2020-78A,
6.76%(TSFR3M+144bps),
4/17/33,
Callable
4/17/24
@
100(b)
250,155
577,000
Dryden
83
CLO,
Ltd.,
Class
A,
Series
2020-83A,
6.78%(TSFR3M+148bps),
1/18/32,
Callable
4/18/24
@
100(b)
576,577
1,019,000
Dryden
85
CLO,
Ltd.,
Class
AR,
Series
2020-85A,
6.73%(TSFR3M+141bps),
10/15/35,
Callable
4/15/24
@
100(b)
1,019,029
670,000
Dryden
90
CLO,
Ltd.,
Class
A1A,
Series
2021-90A,
6.71%(TSFR3M+139bps),
2/20/35,
Callable
5/20/24
@
100(b)
670,400
157,000
DTP
Commercial
Mortgage
Trust,
Class
A,
Series
2023-STE2,
5.65%,
1/15/41(b)(c)
157,523
930,000
Eaton
Vance
CLO,
Ltd.,
Class
AR,
Series
2020-2A,
6.73%(TSFR3M+141bps),
1/15/35,
Callable
4/15/24
@
100(b)
926,744
250,000
Eaton
Vance
CLO,
Ltd.,
Class
A13R,
Series
2013-
1A,
6.83%(TSFR3M+151bps),
1/15/34,
Callable
4/15/24
@
100(b)
249,514
Principal
Amount
Value
Collateralized
Mortgage
Obligations,
continued
$
363,000
Eaton
Vance
CLO,
Ltd.,
Class
AR,
Series
2019-1A,
6.68%(TSFR3M+136bps),
4/15/31,
Callable
4/15/24
@
100(b)
$
363,171
1,467,292
ELP
Commercial
Mortgage
Trust,
Class
A,
Series
2021-ELP,
6.14%(TSFR1M+82bps),
11/15/36(b)
1,454,460
411,415
Extended
Stay
America
Trust,
Class
D,
Series
2021-
ESH,
7.69%(TSFR1M+236bps),
7/15/38(b)
410,923
205,708
Extended
Stay
America
Trust,
Class
C,
Series
2021-
ESH,
7.14%(TSFR1M+181bps),
7/15/38(b)
205,504
278,848
Extended
Stay
America
Trust,
Class
B,
Series
2021-
ESH,
6.82%(TSFR1M+149bps),
7/15/38(b)
278,692
489,127
Extended
Stay
America
Trust,
Class
A,
Series
2021-
ESH,
6.52%(TSFR1M+119bps),
7/15/38(b)
488,959
508,000
Flatiron
CLO
20,
Ltd.,
Class
A,
Series
2020-1A,
6.88%(TSFR3M+156bps),
11/20/33,
Callable
5/20/24
@
100(b)
508,000
250,000
Flatiron
CLO
21,
Ltd.,
Class
A1,
Series
2021-1A,
6.68%(TSFR3M+137bps),
7/19/34,
Callable
4/19/24
@
100(b)
250,200
643,000
GS
Mortgage
Securities
Corp.
Trust,
Class
A,
Series
2021-IP,
6.39%(TSFR1M+106bps),
10/15/36(b)
634,052
100,000
GS
Mortgage
Securities
Corp.
Trust,
Class
B,
Series
2021-IP,
6.59%(TSFR1M+126bps),
10/15/36(b)
97,444
100,000
GS
Mortgage
Securities
Corp.
Trust,
Class
C,
Series
2021-IP,
6.99%(TSFR1M+166bps),
10/15/36(b)
96,264
800,000
INTOWN
Mortgage
Trust,
Class
A,
Series
2022-
STAY,
7.81%(TSFR1M+249bps),
8/15/37,
Callable
8/15/24
@
100(b)
804,105
556,000
Invesco
CLO,
Ltd.,
Class
A,
Series
2021-3A,
6.71%(TSFR3M+139bps),
10/22/34,
Callable
4/22/24
@
100(b)
554,230
41,000
J.P.
Morgan
Chase
Commercial
Mortgage
Securities
Trust,
Class
CFX,
Series
2018-WPT,
4.95%,
7/5/33,
Callable
7/5/25
@
100(b)
34,589
64,000
J.P.
Morgan
Chase
Commercial
Mortgage
Securities
Trust,
Class
DFX,
Series
2018-WPT,
5.35%,
7/5/33,
Callable
7/5/25
@
100(b)
51,712
1,420,000
Life
Mortgage
Trust,
Class
A1,
Series
2022-BMR2,
6.62%(TSFR1M+130bps),
5/15/39,
Callable
5/15/24
@
100(b)
1,407,544
98,297
Life
Mortgage
Trust,
Class
B,
Series
2021-BMR,
6.32%(TSFR1M+99bps),
3/15/38(b)
97,009
98,297
Life
Mortgage
Trust,
Class
C,
Series
2021-BMR,
6.54%(TSFR1M+121bps),
3/15/38(b)
96,976
98,297
Life
Mortgage
Trust,
Class
D,
Series
2021-BMR,
6.84%(TSFR1M+151bps),
3/15/38(b)
96,944
98,297
Life
Mortgage
Trust,
Class
E,
Series
2021-BMR,
7.19%(TSFR1M+186bps),
3/15/38(b)
96,038
426,000
Life
Mortgage
Trust,
Class
D,
Series
2022-BMR2,
7.87%(TSFR1M+254bps),
5/15/39,
Callable
5/15/24
@
100(b)
408,789
479,000
Life
Mortgage
Trust,
Class
C,
Series
2022-BMR2,
7.42%(TSFR1M+209bps),
5/15/39,
Callable
5/15/24
@
100(b)
471,853
280,147
Life
Mortgage
Trust,
Class
A,
Series
2021-BMR,
6.14%(TSFR1M+81bps),
3/15/38(b)
276,987
855,000
Life
Mortgage
Trust,
Class
B,
Series
2022-BMR2,
7.12%(TSFR1M+179bps),
5/15/39,
Callable
5/15/24
@
100(b)
844,376
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
104
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Collateralized
Mortgage
Obligations,
continued
$
320,000
Madison
Park
Funding
L,
Ltd.,
Class
A,
Series
2021-
50A,
6.71%(TSFR3M+140bps),
4/19/34,
Callable
4/19/24
@
100(b)
$
320,319
910,000
Madison
Park
Funding
LII,
Ltd.,
Class
A,
Series
2021-52A,
6.68%(TSFR3M+136bps),
1/22/35,
Callable
4/22/24
@
100(b)
910,453
379,000
Madison
Park
Funding
XIX,
Ltd.,
Class
AR3,
Series
2015-19A,
6.92%(TSFR3M+160bps),
1/22/37,
Callable
1/22/26
@
100(b)
380,163
250,000
Madison
Park
Funding
XLV,
Ltd.,
Class
AR,
Series
2020-45A,
6.70%(TSFR3M+138bps),
7/15/34,
Callable
4/15/24
@
100(b)
249,473
250,000
Magnetite
XXI,
Ltd.,
Class
AR,
Series
2019-21A,
6.60%(TSFR3M+128bps),
4/20/34,
Callable
4/20/24
@
100(b)
250,240
680,000
Magnetite
XXIX,
Ltd.,
Class
A,
Series
2021-29A,
6.57%(TSFR3M+125bps),
1/15/34,
Callable
4/15/24
@
100(b)
680,544
250,000
Magnetite
XXVII,
Ltd.,
Class
AR,
Series
2020-27A,
6.72%(TSFR3M+140bps),
10/20/34,
Callable
4/20/24
@
100(b)
249,595
968,000
Magnetite
XXX,
Ltd.,
Class
A,
Series
2021-30A,
6.72%(TSFR3M+139bps),
10/25/34,
Callable
4/25/24
@
100(b)
965,002
218,108
MHC
Commercial
Mortgage
Trust,
Class
A,
Series
2021-MHC,
6.24%(TSFR1M+92bps),
4/15/38(b)
217,028
262,286
Milos
CLO,
Ltd.,
Class
AR,
Series
2017-1A,
6.65%(TSFR3M+133bps),
10/20/30,
Callable
4/20/24
@
100(b)
262,475
196,000
Morgan
Stanley
Capital
I
Trust,
Class
B,
Series
2018-BOP,
6.62%(TSFR1M+130bps),
6/15/35(b)
153,656
471,200
Morgan
Stanley
Capital
I
Trust,
Class
C,
Series
2018-BOP,
6.87%(TSFR1M+155bps),
6/15/35(b)
309,634
385,000
Morgan
Stanley
Capital
I
Trust,
Class
A,
Series
2019-MEAD,
3.17%,
11/10/36,
Callable
11/10/24
@
100(b)
366,015
56,000
Morgan
Stanley
Capital
I
Trust,
Class
B,
Series
2019-MEAD,
3.18%,
11/10/36,
Callable
11/10/24
@
100(b)
52,659
53,000
Morgan
Stanley
Capital
I
Trust,
Class
C,
Series
2019-MEAD,
3.18%,
11/10/36,
Callable
11/10/24
@
100(b)(c)
48,333
132,000
Morgan
Stanley
Capital
I
Trust,
Class
A4,
Series
2018-H4,
4.31%,
12/15/51,
Callable
1/15/29
@
100
127,066
267,921
OPEN
Trust,
Class
B,
Series
2023-AIR,
9.16%(TSFR1M+384bps),
10/15/28(b)
269,574
444,941
OPEN
Trust,
Class
A,
Series
2023-AIR,
8.41%(TSFR1M+309bps),
10/15/28(b)
449,355
326,000
Peace
Park
CLO,
Ltd.,
Class
A,
Series
2021-1A,
6.71%(TSFR3M+139bps),
10/20/34,
Callable
4/20/24
@
100(b)
326,308
333,000
Rockland
Park
CLO,
Ltd.,
Class
A,
Series
2021-1A,
6.70%(TSFR3M+138bps),
4/20/34,
Callable
4/20/24
@
100(b)
333,294
130,000
SPGN
Mortgage
Trust,
Class
C,
Series
2022-TFLM,
7.98%(TSFR1M+265bps),
2/15/39,
Callable
2/15/25
@
100(b)
123,650
250,000
SPGN
Mortgage
Trust,
Class
B,
Series
2022-TFLM,
7.33%(TSFR1M+200bps),
2/15/39,
Callable
2/15/25
@
100(b)
240,899
Principal
Amount
Value
Collateralized
Mortgage
Obligations,
continued
$
226,777
SREIT
Trust,
Class
D,
Series
2021-MFP,
7.02%(TSFR1M+169bps),
11/15/38(b)
$
224,965
554,980
SREIT
Trust,
Class
B,
Series
2021-MFP,
6.52%(TSFR1M+119bps),
11/15/38(b)
551,220
969,302
SREIT
Trust,
Class
A,
Series
2021-MFP,
6.17%(TSFR1M+85bps),
11/15/38(b)
962,251
344,471
SREIT
Trust,
Class
C,
Series
2021-MFP,
6.77%(TSFR1M+144bps),
11/15/38(b)
341,885
370,560
Symphony
CLO
XIX,
Ltd.,
Class
A,
Series
2018-19A,
6.54%(TSFR3M+122bps),
4/16/31,
Callable
4/16/24
@
100(b)
370,865
500,000
Symphony
CLO
XXVI,
Ltd.,
Class
AR,
Series
2021-
26A,
6.66%(TSFR3M+134bps),
4/20/33,
Callable
4/20/24
@
100(b)
499,190
1,054,000
Symphony
CLO
XXXII,
Ltd.,
Class
A1,
Series
2022-
32A,
6.64%(TSFR3M+132bps),
4/23/35,
Callable
4/23/24
@
100(b)
1,049,820
285,000
VLS
Commercial
Mortgage
Trust,
Class
A,
Series
2020-LAB,
2.13%,
10/10/42(b)
231,165
20,000
VLS
Commercial
Mortgage
Trust,
Class
B,
Series
2020-LAB,
2.45%,
10/10/42(b)
16,099
551,000
Voya
CLO,
Ltd.,
Class
A1R,
Series
2020-2A,
6.73%(TSFR3M+142bps),
7/19/34,
Callable
4/19/24
@
100(b)
551,198
564,000
Voya
CLO,
Ltd.,
Class
AR,
Series
2020-1A,
6.73%(TSFR3M+141bps),
7/16/34,
Callable
4/16/24
@
100(b)
563,648
335,000
Voya
CLO,
Ltd.,
Class
A,
Series
2019-2A,
6.85%(TSFR3M+153bps),
7/20/32(b)
335,000
1,073,000
Voya
CLO,
Ltd.,
Class
AR,
Series
2020-3A,
6.73%(TSFR3M+141bps),
10/20/34,
Callable
4/20/24
@
100(b)
1,072,284
155,000
Wells
Fargo
Commercial
Mortgage
Trust,
Class
A5,
Series
2018-C48,
4.30%,
1/15/52,
Callable
12/15/28
@
100
149,845
185,000
Wells
Fargo
Commercial
Mortgage
Trust,
Class
A,
Series
2021-FCMT,
6.64%(TSFR1M+131bps),
5/15/31(b)
181,439
Total
Collateralized
Mortgage
Obligations
(Cost
$89,929,347)
89,057,957
Convertible
Bonds
(0.1%):
Capital
Markets
(0.0%
):
10,000
Coinbase
Global,
Inc.,
0.25%,
4/1/30(b)
10,576
Financial
Services
(0.0%
):
181,000
Global
Payments,
Inc.,
1.50%,
3/1/31(b)
191,013
Independent
Power
and
Renewable
Electricity
Producers
(0.0%
):
69,000
Sunnova
Energy
International,
Inc.,
0.25%,
12/1/26
35,911
Media
(0.1%):
846,000
DISH
Network
Corp.,
3.38%,
8/15/26
529,423
Real
Estate
Management
&
Development
(0.0%
):
262,000
Realogy
Group
LLC/Realogy
Co-Issuer
Corp.,
0.25%,
6/15/26
208,025
Semiconductors
&
Semiconductor
Equipment
(0.0%
):
336,000
Wolfspeed,
Inc.,
1.88%,
12/1/29
188,568
Total
Convertible
Bonds
(Cost
$1,423,035)
1,163,516
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
105
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Bank
Loans
(0.1%):
Construction
&
Engineering
(0.0%
):
$
35,000
Convergint
Tech
Term
2Ln,
12.07%
(Term
SOFR+675bps ),
3/31/29(b)
$
32,583
4,875
Convergint
Tech
Term
B
1Ln,
9.07%
(Term
SOFR+375bps ),
3/31/28(b)
4,864
37,447
Consumer
Discretionary
Products
(0.0%
):
74,617
Tory
Burch
Term
B
1Ln,
8.57%
(Term
SOFR+325bps ),
4/16/28(b)
74,431
Distributors
(0.0%
):
248,723
US
LBM
Term
B
1Ln,
9.07%
(Term
SOFR+375bps ),
12/18/27(b)
248,134
Diversified
Consumer
Services
(0.0%
):
15,000
Ascend
Learning
Term
2Ln,
11.07%
(Term
SOFR+575bps ),
12/10/29(b)
14,733
161,700
Ascend
Learning
Term
B
1Ln,
8.82%
(Term
SOFR+350bps ),
12/10/28(b)
160,629
175,362
Electrical
Equipment
(0.0%
):
118,500
Westinghouse
Term
B
1Ln,
8.07%
(Term
SOFR+275bps ),
1/20/31(b)
118,328
Health
Care
Providers
&
Services
(0.0%
):
247,475
Cano
Health
Term
B
1Ln,
9.32%
(Term
SOFR+400bps ),
11/23/27(b)
68,880
25,673
Cano
Health
Term
DIP
1Ln
Super
Priority,
5.32%
(Term
SOFR+0bps ),
10/7/24(b)
26,187
39,353
Cano
Health
Term
DIP
DD
1Ln
Super
Priority,
5.32%
(Term
SOFR+0bps ),
10/7/24(b)(d)
40,140
135,207
Hotels,
Restaurants
&
Leisure
(0.0%
):
245,000
City
Football
Group
Term
B
1Ln,
8.32%
(Term
SOFR+300bps ),
7/21/28(b)
244,542
Industrial
Services
(0.0%
):
64,838
Brandsafway
Term
B
1Ln,
10.82%
(Term
SOFR+550bps ),
8/1/30(b)
65,057
Media
(0.0%
):
44,325
Authentic
Brands
Term
B1
1Ln,
8.82%
(Term
SOFR+350bps ),
12/21/28(b)
44,466
172,368
Diamond
Sports
Group
Term
2Ln,
5.32%
(Term
SOFR+0bps ),
8/24/26(b)(d)
4,633
56,621
Diamond
Sports
Term
Super
Priority
DIP,
15.32%,
8/2/27(b)
92,221
141,320
Metals
&
Mining
(0.0%
):
145,000
American
Rock
Salt
Term
1Ln,
9.32%
(Term
SOFR+400bps ),
6/4/28(b)
125,727
Software
(0.1%):
5,000
Applied
Systems
Term
2Ln,
5.32%
(Term
SOFR+0bps ),
2/23/32(b)
5,169
327,355
Finastra
Term
1Ln,
12.57%
(Term
SOFR+725bps ),
9/13/29(b)
327,355
7,645
Finastra
Term
CAN
1Ln,
12.57%
(Term
SOFR+725bps ),
9/13/29
7,645
3,385
Ion
Analytics
Term
1Ln,
9.32%
(Term
SOFR+400bps ),
2/16/28(b)
3,378
343,547
Principal
Amount
Value
Bank
Loans,
continued
Software
&
Computer
Services
(0.0%
):
$
219,483
UKG
Term
2Ln,
10.57%
(Term
SOFR+525bps ),
5/3/27(b)
$
221,037
Software
&
Tech
Services
(0.0%
):
109,764
Athenahealth
Term
B
1Ln,
8.57%
(Term
SOFR+325bps ),
2/15/29(b)
108,581
Total
Bank
Loans
(Cost
$2,248,897)
2,038,720
Corporate
Bonds
(17.6%):
Aerospace
&
Defense
(0.4%):
1,145,000
Boeing
Co.
(The),
5.04%,
5/1/27,
Callable
3/1/27
@
100
1,123,539
145,000
Boeing
Co.
(The),
5.15%,
5/1/30,
Callable
2/1/30
@
100
139,567
1,100,000
Boeing
Co.
(The),
5.71%,
5/1/40,
Callable
11/1/39
@
100
1,050,308
100,000
Boeing
Co.
(The),
5.81%,
5/1/50,
Callable
11/1/49
@
100
94,391
1,150,000
Boeing
Co.
(The),
5.93%,
5/1/60,
Callable
11/1/59
@
100
1,077,691
310,000
BWX
Technologies,
Inc.,
4.13%,
6/30/28,
Callable
5/6/24
@
102.06(b)
288,300
310,000
Howmet
Aerospace,
Inc.,
5.95%,
2/1/37
318,525
145,000
Moog,
Inc.,
4.25%,
12/15/27,
Callable
5/6/24
@
102.13(b)
136,300
90,000
Spirit
AeroSystems,
Inc.,
9.75%,
11/15/30,
Callable
11/15/26
@
104.88(b)
100,688
35,000
TransDigm,
Inc.,
7.50%,
3/15/27,
Callable
5/6/24
@
100
35,000
855,000
TransDigm,
Inc.,
5.50%,
11/15/27,
Callable
5/6/24
@
101.38
833,625
400,000
TransDigm,
Inc.,
6.38%,
3/1/29,
Callable
3/1/26
@
103.19(b)
400,000
300,000
TransDigm,
Inc.,
7.13%,
12/1/31,
Callable
12/1/26
@
103.56(b)
309,375
5,907,309
Air
Freight
&
Logistics
(0.1%):
255,000
Cargo
Aircraft
Management,
Inc.,
4.75%,
2/1/28,
Callable
4/22/24
@
101.19^(b)
230,456
245,000
GN
Bondco
LLC,
9.50%,
10/15/31,
Callable
10/15/26
@
104.75^(b)
243,775
485,000
Navios
South
American
Logistics,
Inc./Navios
Logistics
Finance
US,
Inc.,
10.75%,
7/1/25,
Callable
5/6/24
@
102.69(b)
485,970
960,201
Automobile
Components
(0.0%
):
125,000
Dana,
Inc.,
4.50%,
2/15/32,
Callable
2/15/27
@
102.25
107,500
35,000
MIWD
Holdco
II
LLC/MIWD
Finance
Corp.,
5.50%,
2/1/30,
Callable
2/1/25
@
102.75(b)
32,112
90,000
Phinia,
Inc.,
6.75%,
4/15/29,
Callable
4/15/26
@
103.38(b)
90,900
230,512
Automobiles
(0.0%
):
55,000
LCM
Investments
Holdings
II
LLC,
4.88%,
5/1/29,
Callable
5/6/24
@
102.44(b)
50,325
75,000
LCM
Investments
Holdings
II
LLC,
8.25%,
8/1/31,
Callable
8/1/26
@
104.13(b)
78,187
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
106
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Automobiles,
continued
$
165,000
Thor
Industries,
Inc.,
4.00%,
10/15/29,
Callable
10/15/24
@
102(b)
$
147,263
275,775
Banks
(2.2%):
151,000
Bank
of
America
Corp.,
4.45%,
3/3/26
148,777
1,300,000
Bank
of
America
Corp.,
3.42%
(TSFR3M+130
bps),
12/20/28,
Callable
12/20/27
@
100
1,218,826
980,000
Bank
of
America
Corp.,
2.30%
(SOFR+122
bps),
7/21/32,
Callable
7/21/31
@
100
802,876
6,359,000
Bank
of
America
Corp.,
5.01%
(SOFR+216
bps),
7/22/33,
Callable
7/22/32
@
100
6,231,699
2,455,000
Citigroup,
Inc.,
3.35%
(TSFR3M+116
bps),
4/24/25,
Callable
4/24/24
@
100
2,449,066
1,098,000
Citigroup,
Inc.,
4.30%,
11/20/26
1,071,888
1,156,000
Citigroup,
Inc.,
4.41%
(SOFR+391
bps),
3/31/31,
Callable
3/31/30
@
100
1,096,650
2,635,000
Citigroup,
Inc.,
4.91%
(SOFR+209
bps),
5/24/33,
Callable
5/24/32
@
100
2,522,267
165,000
First-Citizens
Bank
&
Trust
Co.,
6.13%,
3/9/28
168,959
2,500,000
JPMorgan
Chase
&
Co.,
4.49%
(TSFR3M+379
bps),
3/24/31,
Callable
3/24/30
@
100
2,407,740
181,000
JPMorgan
Chase
&
Co.,
2.96%
(TSFR3M+252
bps),
5/13/31,
Callable
5/13/30
@
100
158,197
5,828,000
JPMorgan
Chase
&
Co.,
4.59%
(SOFR+180
bps),
4/26/33,
Callable
4/26/32
@
100
5,565,414
937,000
JPMorgan
Chase
&
Co.,
4.91%
(SOFR+208
bps),
7/25/33,
Callable
7/25/32
@
100
915,418
724,000
Santander
Holdings
USA,
Inc.,
6.50%
(SOFR+236
bps),
3/9/29,
Callable
3/9/28
@
100
741,930
3,705,000
Wells
Fargo
&
Co.,
2.41%
(TSFR3M+109
bps),
10/30/25,
Callable
10/30/24
@
100,
MTN
3,634,677
1,099,000
Wells
Fargo
&
Co.,
3.53%
(SOFR+151
bps),
3/24/28,
Callable
3/24/27
@
100
1,047,095
2,645,000
Wells
Fargo
&
Co.,
4.48%
(TSFR3M+403
bps),
4/4/31,
Callable
4/4/30
@
100,
MTN
2,525,063
272,000
Wells
Fargo
&
Co.,
5.50%
(SOFR+178
bps),
1/23/35,
Callable
1/23/34
@
100
272,120
1,528,000
Wells
Fargo
&
Co.,
5.01%
(TSFR3M+450
bps),
4/4/51,
Callable
4/4/50
@
100,
MTN
1,439,674
185,000
Wells
Fargo
&
Co.,
7.63%
(H15T5Y+361
bps),
12/31/99,
Callable
9/15/28
@
100^
197,950
175,000
Western
Alliance
Bancorp,
3.00%
(TSFR3M+225
bps),
6/15/31,
Callable
6/15/26
@
100
151,255
34,767,541
Beverages
(0.2%):
2,400,000
Anheuser-Busch
Cos.
LLC/Anheuser-Busch
InBev
Worldwide,
Inc.,
4.70%,
2/1/36,
Callable
8/1/35
@
100
2,328,535
285,000
Triton
Water
Holdings,
Inc.,
6.25%,
4/1/29,
Callable
5/6/24
@
103.13(b)
258,638
2,587,173
Biotechnology
(0.1%):
411,000
Amgen,
Inc.,
5.15%,
3/2/28,
Callable
2/2/28
@
100
413,147
375,000
Amgen,
Inc.,
5.25%,
3/2/30,
Callable
1/2/30
@
100
380,418
424,000
Amgen,
Inc.,
5.25%,
3/2/33,
Callable
12/2/32
@
100
427,667
403,000
Amgen,
Inc.,
5.60%,
3/2/43,
Callable
9/2/42
@
100
409,353
200,000
Amgen,
Inc.,
5.65%,
3/2/53,
Callable
9/2/52
@
100
204,094
Principal
Amount
Value
Corporate
Bonds,
continued
Biotechnology,
continued
$
365,000
Amgen,
Inc.,
5.75%,
3/2/63,
Callable
9/2/62
@
100
$
372,040
175,000
Emergent
BioSolutions,
Inc.,
3.88%,
8/15/28,
Callable
5/6/24
@
101.94(b)
81,375
2,288,094
Broadline
Retail
(0.0%
):
20,000
Kohl's
Corp.,
4.25%,
7/17/25,
Callable
4/17/25
@
100^
19,500
Building
Products
(0.1%):
795,000
Advanced
Drainage
Systems,
Inc.,
5.00%,
9/30/27,
Callable
4/22/24
@
101.25(b)
770,156
120,000
Builders
FirstSource,
Inc.,
4.25%,
2/1/32,
Callable
8/1/26
@
102.13(b)
107,400
87,000
Carrier
Global
Corp.,
5.90%,
3/15/34,
Callable
12/15/33
@
100
91,500
91,000
Carrier
Global
Corp.,
6.20%,
3/15/54,
Callable
9/15/53
@
100
100,199
70,000
Eco
Material
Technologies,
Inc.,
7.88%,
1/31/27,
Callable
5/6/24
@
103.94(b)
70,963
1,140,218
Capital
Markets
(1.0%):
2,707,000
Ares
Capital
Corp.,
3.88%,
1/15/26,
Callable
12/15/25
@
100
2,618,884
105,000
Charles
Schwab
Corp.
(The),
Series
G,
5.38%
(H15T5Y+497
bps),
Callable
6/1/25
@
100
103,425
250,000
Charles
Schwab
Corp.
(The),
Series
H,
4.00%
(H15T10Y+308
bps),
12/31/99,
Callable
12/1/30
@
100
209,688
2,880,000
Goldman
Sachs
Group,
Inc.
(The),
3.80%,
3/15/30,
Callable
12/15/29
@
100
2,698,204
1,263,000
Goldman
Sachs
Group,
Inc.
(The),
2.38%
(SOFR+125
bps),
7/21/32,
Callable
7/21/31
@
100
1,035,752
3,062,000
Goldman
Sachs
Group,
Inc.
(The),
3.10%
(SOFR+141
bps),
2/24/33,
Callable
2/24/32
@
100
2,607,562
128,000
Goldman
Sachs
Group,
Inc.
(The),
6.75%,
10/1/37
139,713
2,534,000
Morgan
Stanley,
3.62%
(SOFR+312
bps),
4/1/31,
Callable
4/1/30
@
100
2,312,407
2,236,000
Morgan
Stanley,
4.89%
(SOFR+208
bps),
7/20/33,
Callable
7/20/32
@
100
2,166,946
1,700,000
Morgan
Stanley,
6.34%
(SOFR+256
bps),
10/18/33,
Callable
10/18/32
@
100
1,815,646
497,000
Sixth
Street
Specialty
Lending,
Inc.,
6.13%,
3/1/29,
Callable
2/1/29
@
100
490,894
145,000
USA
Compression
Partners
LP/USA
Compression
Finance
Corp.,
7.13%,
3/15/29,
Callable
3/15/26
@
103.56(b)
146,994
16,346,115
Chemicals
(0.4%):
180,000
Allied
Universal
Holdco
LLC,
7.88%,
2/15/31,
Callable
2/15/27
@
103.94(b)
181,575
399,000
Celanese
US
Holdings
LLC,
6.35%,
11/15/28,
Callable
10/15/28
@
100
413,750
405,000
Celanese
US
Holdings
LLC,
6.55%,
11/15/30,
Callable
9/15/30
@
100
425,265
236,000
Celanese
US
Holdings
LLC,
6.70%,
11/15/33,
Callable
8/15/33
@
100
251,021
15,000
CF
Industries,
Inc.,
4.95%,
6/1/43
13,406
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
107
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Chemicals,
continued
$
510,000
Chemours
Co.
(The),
5.38%,
5/15/27,
Callable
2/15/27
@
100
$
487,050
915,000
Chemours
Co.
(The),
5.75%,
11/15/28,
Callable
4/15/24
@
102.88(b)
844,088
368,000
Kobe
US
Midco
2,
Inc.,
9.25%,
11/1/26,
Callable
5/6/24
@
102.31(b)
313,260
555,000
LSB
Industries,
Inc.,
6.25%,
10/15/28,
Callable
10/15/24
@
103.13(b)
529,331
55,000
Neogen
Food
Safety
Corp.,
8.63%,
7/20/30,
Callable
7/20/27
@
102.16(b)
59,056
650,000
Olympus
Water
US
Holding
Corp.,
4.25%,
10/1/28,
Callable
10/1/24
@
102.13(b)
588,250
480,000
SCIH
Salt
Holdings,
Inc.,
4.88%,
5/1/28,
Callable
5/6/24
@
102.44(b)
447,000
70,000
SCIH
Salt
Holdings,
Inc.,
6.63%,
5/1/29,
Callable
5/6/24
@
103.31(b)
64,662
135,000
Scotts
Miracle-Gro
Co.
(The),
4.38%,
2/1/32,
Callable
8/1/26
@
102.19
115,088
330,000
Tronox,
Inc.,
4.63%,
3/15/29,
Callable
5/6/24
@
102.31(b)
294,525
450,000
WR
Grace
Holdings
LLC,
4.88%,
6/15/27,
Callable
5/6/24
@
102.44(b)
426,937
125,000
WR
Grace
Holdings
LLC,
5.63%,
8/15/29,
Callable
8/15/24
@
102.81(b)
111,719
40,000
WR
Grace
Holdings
LLC,
7.38%,
3/1/31,
Callable
3/1/26
@
103.69(b)
40,400
5,606,383
Commercial
Services
&
Supplies
(0.2%):
125,000
ADT
Security
Corp.
(The),
4.13%,
8/1/29,
Callable
8/1/28
@
100^(b)
113,906
602,000
Allied
Universal
Holdco
LLC/Allied
Universal
Finance
Corp./Atlas
Luxco
4
Sarl,
4.63%,
6/1/28,
Callable
6/1/24
@
102.31(b)
546,315
430,000
Aramark
Services,
Inc.,
5.00%,
2/1/28,
Callable
5/6/24
@
101.67(b)
413,875
55,000
Clean
Harbors,
Inc.,
6.38%,
2/1/31,
Callable
2/1/26
@
103.19(b)
55,275
240,000
CoreCivic,
Inc.,
8.25%,
4/15/29,
Callable
4/15/26
@
104.13
250,800
41,000
GEO
Group,
Inc.
(The),
10.50%,
6/30/28,
Callable
4/15/24
@
102^
41,718
85,000
GEO
Group,
Inc.
(The),
9.50%,
12/31/28,
Callable
4/15/24
@
102(b)
85,850
25,000
Legends
Hospitality
Holding
Co.
LLC/Legends
Hospitality
Co.-Issuer,
Inc.,
5.00%,
2/1/26,
Callable
5/6/24
@
101.25(b)
24,812
25,000
Pitney
Bowes,
Inc.,
6.88%,
3/15/27,
Callable
4/15/24
@
103.44(b)
22,812
45,000
Pitney
Bowes,
Inc.,
7.25%,
3/15/29,
Callable
4/15/24
@
103.63^(b)
40,219
405,000
Rand
Parent
LLC,
8.50%,
2/15/30,
Callable
2/15/26
@
104.25^(b)
398,925
165,000
Safehold
GL
Holdings
LLC,
2.85%,
1/15/32,
Callable
8/15/31
@
100
133,658
270,000
Stericycle,
Inc.,
3.88%,
1/15/29,
Callable
4/22/24
@
101.94(b)
244,350
200,000
TKC
Holdings,
Inc.,
6.88%,
5/15/28,
Callable
5/15/24
@
103.44(b)
188,500
Principal
Amount
Value
Corporate
Bonds,
continued
Commercial
Services
&
Supplies,
continued
$
190,000
TKC
Holdings,
Inc.,
10.50%,
5/15/29,
Callable
5/15/24
@
105.25(b)
$
180,500
2,741,515
Communications
Equipment
(0.0%
):
250,000
Viavi
Solutions,
Inc.,
3.75%,
10/1/29,
Callable
10/1/24
@
101.88(b)
214,375
Construction
&
Engineering
(0.2%):
300,000
AECOM,
5.13%,
3/15/27,
Callable
12/15/26
@
100
294,000
350,000
APX
Group,
Inc.,
6.75%,
2/15/27,
Callable
5/6/24
@
101.69(b)
350,438
25,000
Arcosa,
Inc.,
4.38%,
4/15/29,
Callable
5/6/24
@
102.19(b)
23,000
480,000
Artera
Services
LLC,
8.50%,
2/15/31,
Callable
2/15/27
@
104.25(b)
492,000
270,000
Dycom
Industries,
Inc.,
4.50%,
4/15/29,
Callable
5/6/24
@
102.25(b)
252,450
55,000
Global
Infrastructure
Solutions,
Inc.,
5.63%,
6/1/29,
Callable
6/1/24
@
102.81(b)
49,775
25,000
Great
Lakes
Dredge
&
Dock
Corp.,
5.25%,
6/1/29,
Callable
6/1/24
@
102.63(b)
22,219
785,000
Pike
Corp.,
5.50%,
9/1/28,
Callable
5/6/24
@
102.75(b)
749,675
135,000
Pike
Corp.,
8.63%,
1/31/31,
Callable
1/31/27
@
104.31(b)
143,437
190,000
Railworks
Holdings
LP/Railworks
Rally,
Inc.,
8.25%,
11/15/28,
Callable
11/15/24
@
104.13(b)
188,100
200,000
VM
Consolidated,
Inc.,
5.50%,
4/15/29,
Callable
5/6/24
@
102.75(b)
191,250
2,756,344
Construction
Materials
(0.0%
):
80,000
AmeriTex
HoldCo
Intermediate
LLC,
10.25%,
10/15/28,
Callable
10/15/25
@
105.13^(b)
86,000
210,000
Smyrna
Ready
Mix
Concrete
LLC,
8.88%,
11/15/31,
Callable
11/15/26
@
104.44(b)
223,650
90,000
Summit
Materials
LLC/Summit
Materials
Finance
Corp.,
7.25%,
1/15/31,
Callable
1/15/27
@
103.63(b)
93,263
402,913
Consumer
Finance
(1.1%):
100,000
Ally
Financial,
Inc.,
5.13%,
9/30/24
99,514
224,000
Ally
Financial,
Inc.,
5.80%,
5/1/25,
Callable
4/1/25
@
100
223,179
1,500,000
Ally
Financial,
Inc.,
5.75%,
11/20/25,
Callable
10/21/25
@
100
1,490,561
1,000,000
Ally
Financial,
Inc.,
7.10%,
11/15/27,
Callable
10/15/27
@
100^
1,043,794
590,000
Ally
Financial,
Inc.,
Series
B,
4.70%
(H15T5Y+387
bps),
12/31/99,
Callable
5/15/26
@
100
511,020
577,000
Capital
One
Financial
Corp.,
2.64%
(SOFR+129
bps),
3/3/26,
Callable
3/3/25
@
100
560,373
740,000
Capital
One
Financial
Corp.,
4.98%
(SOFR+216
bps),
7/24/26,
Callable
7/24/25
@
100
734,604
2,665,000
Capital
One
Financial
Corp.,
3.65%,
5/11/27,
Callable
4/11/27
@
100
2,542,863
343,000
Capital
One
Financial
Corp.,
3.80%,
1/31/28,
Callable
12/31/27
@
100
325,255
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
108
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Consumer
Finance,
continued
$
738,000
Capital
One
Financial
Corp.,
3.27%
(SOFR+179
bps),
3/1/30,
Callable
3/1/29
@
100
$
664,996
1,100,000
Capital
One
Financial
Corp.,
5.25%
(SOFR+260
bps),
7/26/30,
Callable
7/26/29
@
100
1,081,505
250,000
Discover
Bank,
5.97%
(USISOA05+173
bps),
8/9/28
248,604
2,253,000
Discover
Financial
Services,
4.50%,
1/30/26,
Callable
11/30/25
@
100
2,219,119
174,000
Discover
Financial
Services,
6.70%,
11/29/32,
Callable
8/29/32
@
100
183,579
200,000
Encore
Capital
Group,
Inc.,
9.25%,
4/1/29,
Callable
4/1/26
@
104.63(b)
204,250
295,000
OneMain
Finance
Corp.,
3.50%,
1/15/27,
Callable
5/6/24
@
101.75
272,875
155,000
OneMain
Finance
Corp.,
3.88%,
9/15/28,
Callable
9/15/24
@
101.94
137,950
430,000
OneMain
Finance
Corp.,
4.00%,
9/15/30,
Callable
9/15/25
@
102
366,575
797,000
Synchrony
Financial,
4.25%,
8/15/24,
Callable
5/15/24
@
100
791,808
3,605,000
Synchrony
Financial,
3.95%,
12/1/27,
Callable
9/1/27
@
100
3,357,639
17,060,063
Consumer
Staples
Distribution
&
Retail
(0.4%):
25,000
Albertsons
Cos.,
Inc./Safeway,
Inc./New
Albertsons
LP/Albertsons
LLC,
4.63%,
1/15/27,
Callable
5/6/24
@
102.31(b)
24,156
210,000
Albertsons
Cos.,
Inc./Safeway,
Inc./New
Albertsons
LP/Albertsons
LLC,
6.50%,
2/15/28,
Callable
2/15/25
@
103.25(b)
212,100
50,000
Albertsons
Cos.,
Inc./Safeway,
Inc./New
Albertsons
LP/Albertsons
LLC,
3.50%,
3/15/29,
Callable
5/6/24
@
101.75(b)
44,688
605,000
Albertsons
Cos.,
Inc./Safeway,
Inc./New
Albertsons
LP/Albertsons
LLC,
4.88%,
2/15/30,
Callable
2/15/25
@
103.66^(b)
573,237
240,000
C&S
Group
Enterprises
LLC,
5.00%,
12/15/28,
Callable
5/6/24
@
102.5(b)
191,400
135,000
Chobani
LLC/Chobani
Finance
Corp.,
Inc.,
7.63%,
7/1/29,
Callable
1/1/26
@
103.81(b)
136,181
1,380,000
JBS
USA
LUX
SA/JBS
USA
Food
Co./JBS
USA
Finance,
Inc.,
2.50%,
1/15/27,
Callable
12/15/26
@
100
1,273,050
475,000
JBS
USA
LUX
SA/JBS
USA
Food
Co./JBS
USA
Finance,
Inc.,
5.13%,
2/1/28,
Callable
1/1/28
@
100
466,687
180,000
JBS
USA
LUX
SA/JBS
USA
Food
Co./JBS
USA
Finance,
Inc.,
5.50%,
1/15/30,
Callable
1/15/25
@
102.75
177,075
1,375,000
JBS
USA
LUX
SA/JBS
USA
Food
Co./JBS
USA
Finance,
Inc.,
3.00%,
5/15/32,
Callable
2/15/32
@
100
1,113,750
975,000
JBS
USA
LUX
SA/JBS
USA
Food
Co./JBS
USA
Finance,
Inc.,
5.75%,
4/1/33,
Callable
1/1/33
@
100
956,719
180,000
KeHE
Distributors
LLC/KeHE
Finance
Corp./
NextWave
Distribution,
Inc.,
9.00%,
2/15/29,
Callable
2/15/26
@
104.5(b)
182,475
445,000
Performance
Food
Group,
Inc.,
6.88%,
5/1/25,
Callable
5/6/24
@
100(b)
444,444
Principal
Amount
Value
Corporate
Bonds,
continued
Consumer
Staples
Distribution
&
Retail,
continued
$
70,000
Performance
Food
Group,
Inc.,
4.25%,
8/1/29,
Callable
8/1/24
@
102.13(b)
$
63,875
93,000
Sysco
Corp.,
5.95%,
4/1/30,
Callable
1/1/30
@
100
96,908
45,000
United
Natural
Foods,
Inc.,
6.75%,
10/15/28,
Callable
5/6/24
@
103.38(b)
37,350
660,000
US
Foods,
Inc.,
4.63%,
6/1/30,
Callable
6/1/25
@
102.31(b)
611,325
120,000
US
Foods,
Inc.,
7.25%,
1/15/32,
Callable
9/15/26
@
103.63(b)
124,650
6,730,070
Containers
&
Packaging
(0.2%):
200,000
Ardagh
Metal
Packaging
Finance
USA
LLC/Ardagh
Metal
Packaging
Finance
plc,
6.00%,
6/15/27,
Callable
6/15/24
@
103^(b)
194,500
150,000
Ardagh
Metal
Packaging
Finance
USA
LLC/Ardagh
Metal
Packaging
Finance
plc,
4.00%,
9/1/29,
Callable
5/15/24
@
102(b)
120,562
570,000
Ardagh
Packaging
Finance
plc/Ardagh
Holdings
USA,
Inc.,
4.13%,
8/15/26,
Callable
4/15/24
@
101.03(b)
517,275
190,000
Ball
Corp.,
3.13%,
9/15/31,
Callable
6/15/31
@
100
161,263
570,000
Clydesdale
Acquisition
Holdings,
Inc.,
6.63%,
4/15/29,
Callable
4/15/25
@
103.31(b)
567,862
65,000
Graphic
Packaging
International
LLC,
3.75%,
2/1/30,
Callable
8/1/29
@
100(b)
57,850
195,000
Mauser
Packaging
Solutions
Holding
Co.,
7.88%,
8/15/26,
Callable
8/15/24
@
103.94(b)
198,169
180,000
Owens-Brockway
Glass
Container,
Inc.,
7.25%,
5/15/31,
Callable
5/15/26
@
103.63(b)
183,375
330,000
Sealed
Air
Corp.,
5.00%,
4/15/29,
Callable
4/15/25
@
102.5(b)
316,800
135,000
Sealed
Air
Corp./Sealed
Air
Corp.
U.S.,
6.13%,
2/1/28,
Callable
2/1/25
@
103.06^(b)
135,338
2,452,994
Distributors
(0.0%
):
145,000
LBM
Acquisition
LLC,
6.25%,
1/15/29,
Callable
5/6/24
@
103.13(b)
135,756
75,000
USI,
Inc.,
7.50%,
1/15/32,
Callable
1/15/27
@
103.75(b)
75,094
210,850
Diversified
Consumer
Services
(0.0%
):
110,000
Sotheby's,
7.38%,
10/15/27,
Callable
4/15/24
@
101.84^(b)
102,162
150,000
Wand
NewCo.
3,
Inc.,
7.63%,
1/30/32,
Callable
1/30/27
@
103.81(b)
154,875
257,037
Diversified
REITs
(0.4%):
430,000
Global
Net
Lease,
Inc./Global
Net
Lease
Operating
Partnership
LP,
3.75%,
12/15/27,
Callable
9/15/27
@
100(b)
367,650
189,000
Piedmont
Operating
Partnership
LP,
2.75%,
4/1/32,
Callable
1/1/32
@
100
135,731
96,000
Store
Capital
LLC,
4.63%,
3/15/29,
Callable
12/15/28
@
100
90,530
1,277,000
Store
Capital
LLC,
2.75%,
11/18/30,
Callable
8/18/30
@
100
1,025,753
131,000
Ventas
Realty
LP,
4.00%,
3/1/28,
Callable
12/1/27
@
100
124,777
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
109
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Diversified
REITs,
continued
$
367,000
Ventas
Realty
LP,
3.00%,
1/15/30,
Callable
10/15/29
@
100
$
323,799
1,430,000
Ventas
Realty
LP,
4.75%,
11/15/30,
Callable
8/15/30
@
100
1,379,261
400,000
WP
Carey,
Inc.,
4.60%,
4/1/24
399,880
3,000,000
WP
Carey,
Inc.,
4.25%,
10/1/26,
Callable
7/1/26
@
100
2,925,942
66,000
WP
Carey,
Inc.,
3.85%,
7/15/29,
Callable
4/15/29
@
100
61,561
6,834,884
Diversified
Telecommunication
Services
(0.5%):
138,000
AT&T,
Inc.,
4.30%,
2/15/30,
Callable
11/15/29
@
100
132,545
400,000
AT&T,
Inc.,
5.15%,
11/15/46,
Callable
5/15/46
@
100
378,260
1,200,000
AT&T,
Inc.,
3.80%,
12/1/57,
Callable
6/1/57
@
100
864,845
20,000
Cablevision
Lightpath
LLC,
3.88%,
9/15/27,
Callable
4/15/24
@
101.94(b)
17,900
15,000
Cablevision
Lightpath
LLC,
5.63%,
9/15/28,
Callable
4/15/24
@
102.81(b)
12,562
300,000
Cogent
Communications
Group,
Inc.,
7.00%,
6/15/27,
Callable
6/15/24
@
103.5(b)
298,500
25,000
Consolidated
Communications,
Inc.,
5.00%,
10/1/28,
Callable
4/15/24
@
103.75(b)
20,812
2,346,000
Discovery
Communications
LLC,
3.63%,
5/15/30,
Callable
2/15/30
@
100
2,093,531
392,000
Discovery
Communications
LLC,
4.65%,
5/15/50,
Callable
11/15/49
@
100
304,338
640,000
Frontier
Communications
Holdings
LLC,
5.88%,
10/15/27,
Callable
5/6/24
@
102.94(b)
617,600
5,496
Frontier
Communications
Holdings
LLC,
5.88%,
11/1/29,
Callable
11/1/24
@
102.94
4,651
145,000
Frontier
Communications
Holdings
LLC,
8.75%,
5/15/30,
Callable
5/15/25
@
104.38(b)
147,900
90,000
Northwest
Fiber
LLC/Northwest
Fiber
Finance
Sub,
Inc.,
4.75%,
4/30/27(b)
92,025
15,000
Northwest
Fiber
LLC/Northwest
Fiber
Finance
Sub,
Inc.,
6.00%,
2/15/28(b)
15,431
209,000
Verizon
Communications,
Inc.,
2.55%,
3/21/31,
Callable
12/21/30
@
100
178,475
265,000
Warnermedia
Holdings,
Inc.,
3.64%,
3/15/25
259,795
519,000
Warnermedia
Holdings,
Inc.,
3.76%,
3/15/27,
Callable
2/15/27
@
100
495,585
180,000
Warnermedia
Holdings,
Inc.,
4.05%,
3/15/29,
Callable
1/15/29
@
100
168,507
753,000
Warnermedia
Holdings,
Inc.,
4.28%,
3/15/32,
Callable
12/15/31
@
100
670,729
391,000
Warnermedia
Holdings,
Inc.,
5.05%,
3/15/42,
Callable
9/15/41
@
100
335,247
576,000
Warnermedia
Holdings,
Inc.,
5.14%,
3/15/52,
Callable
9/15/51
@
100
478,407
55,000
Zayo
Group
Holdings,
Inc.,
4.00%,
3/1/27,
Callable
5/6/24
@
100(b)
45,237
185,000
Zayo
Group
Holdings,
Inc.,
6.13%,
3/1/28,
Callable
5/6/24
@
101.53(b)
129,500
7,762,382
Principal
Amount
Value
Corporate
Bonds,
continued
Electric
Utilities
(0.5%):
$
10,000
Alliant
Holdings
Intermediate
LLC/Alliant
Holdings
Co.-Issuer,
4.25%,
10/15/27,
Callable
5/6/24
@
102.13(b)
$
9,400
941,000
Alliant
Holdings
Intermediate
LLC/Alliant
Holdings
Co.-Issuer,
6.75%,
10/15/27,
Callable
5/6/24
@
101.69(b)
923,356
155,000
Alliant
Holdings
Intermediate
LLC/Alliant
Holdings
Co.-Issuer,
5.88%,
11/1/29,
Callable
11/1/24
@
102.94(b)
143,763
165,000
Cleco
Corporate
Holdings
LLC,
3.38%,
9/15/29,
Callable
6/15/29
@
100
143,460
54,000
Duquesne
Light
Holdings,
Inc.,
2.53%,
10/1/30,
Callable
7/1/30
@
100(b)
44,705
587,000
Duquesne
Light
Holdings,
Inc.,
2.78%,
1/7/32,
Callable
10/7/31
@
100(b)
478,814
173,000
Exelon
Corp.,
2.75%,
3/15/27,
Callable
2/15/27
@
100
161,832
1,075,000
Exelon
Corp.,
4.05%,
4/15/30,
Callable
1/15/30
@
100
1,012,407
210,000
Exelon
Corp.,
3.35%,
3/15/32,
Callable
12/15/31
@
100
184,826
136,000
IPALCO
Enterprises,
Inc.,
3.70%,
9/1/24
135,864
17,000
NextEra
Energy
Operating
Partners
LP,
4.25%,
9/15/24,
Callable
7/15/24
@
100(b)
16,405
230,000
NextEra
Energy
Operating
Partners,
LP,
7.25%,
1/15/29,
Callable
10/15/28
@
100(b)
234,600
430,000
NRG
Energy,
Inc.,
5.75%,
1/15/28,
Callable
4/22/24
@
101.92
425,700
20,000
NRG
Energy,
Inc.,
3.38%,
2/15/29,
Callable
4/15/24
@
101.69(b)
17,750
40,000
NRG
Energy,
Inc.,
3.63%,
2/15/31,
Callable
2/15/26
@
101.81(b)
34,500
36,042
NSG
Holdings
LLC/NSG
Holdings,
Inc.,
7.75%,
12/15/25(b)
35,681
1,370,000
PG&E
Corp.,
5.00%,
7/1/28,
Callable
4/15/24
@
102.5
1,322,050
311,000
PG&E
Corp.,
5.25%,
7/1/30,
Callable
7/1/25
@
102.63
295,796
140,000
Puget
Energy,
Inc.,
4.10%,
6/15/30,
Callable
3/15/30
@
100
127,360
714,000
Puget
Energy,
Inc.,
4.22%,
3/15/32,
Callable
12/15/31
@
100
646,059
15,000
TerraForm
Power
Operating
LLC,
5.00%,
1/31/28,
Callable
7/31/27
@
100(b)
14,250
47,159
Topaz
Solar
Farms
LLC,
5.75%,
9/30/39(b)
47,100
605,000
Vistra
Operations
Co.
LLC,
5.00%,
7/31/27,
Callable
4/15/24
@
101.25(b)
585,337
230,000
Vistra
Operations
Co.
LLC,
7.75%,
10/15/31,
Callable
10/15/26
@
103.88(b)
240,350
7,281,365
Electrical
Equipment
(0.1%):
725,000
TK
Elevator
US
Newco,
Inc.,
5.25%,
7/15/27,
Callable
5/6/24
@
102.63(b)
697,812
310,000
Vertiv
Group
Corp.,
4.13%,
11/15/28,
Callable
11/15/24
@
102.06(b)
288,300
986,112
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
110
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Electronic
Equipment,
Instruments
&
Components
(0.0%
):
$
565,000
Coherent
Corp.,
5.00%,
12/15/29,
Callable
12/14/24
@
102.5(b)
$
530,394
Energy
Equipment
&
Services
(0.0%
):
180,000
Kodiak
Gas
Services
LLC,
7.25%,
2/15/29,
Callable
2/15/26
@
103.63(b)
183,150
Entertainment
(0.0%
):
310,000
ROBLOX
Corp.,
3.88%,
5/1/30,
Callable
11/1/24
@
101.94(b)
272,025
Financial
Services
(1.2%):
295,000
Acuris
Finance
U.S.,
Inc./Acuris
Finance
SARL,
5.00%,
5/1/28,
Callable
5/6/24
@
102.5(b)
266,975
75,000
Arsenal
AIC
Parent
LLC,
8.00%,
10/1/30,
Callable
10/1/26
@
104(b)
78,844
1,268,000
Athene
Global
Funding,
5.34%,
1/15/27(b)
1,259,402
573,000
Athene
Global
Funding,
5.58%,
1/9/29(b)
576,302
2,052,000
Blackstone
Private
Credit
Fund,
4.70%,
3/24/25
2,025,864
888,000
Blackstone
Private
Credit
Fund,
7.05%,
9/29/25
902,976
40,000
Block,
Inc.,
2.75%,
6/1/26,
Callable
5/1/26
@
100
37,400
40,000
Block,
Inc.,
3.50%,
6/1/31,
Callable
3/1/31
@
100
34,700
200,000
Boost
Newco
Borrower
LLC,
7.50%,
1/15/31,
Callable
1/15/27
@
103.75(b)
208,750
360,000
Champions
Financing,
Inc.,
8.75%,
2/15/29,
Callable
2/15/26
@
104.38(b)
376,200
120,000
Cobra
AcquisitionCo
LLC,
6.38%,
11/1/29,
Callable
11/1/24
@
103.25(b)
101,100
242,000
Corebridge
Financial,
Inc.,
3.50%,
4/4/25,
Callable
3/4/25
@
100
236,870
824,000
Corebridge
Financial,
Inc.,
3.65%,
4/5/27,
Callable
3/5/27
@
100
787,505
339,000
Corebridge
Financial,
Inc.,
3.85%,
4/5/29,
Callable
2/5/29
@
100
315,651
404,000
Corebridge
Financial,
Inc.,
3.90%,
4/5/32,
Callable
1/5/32
@
100
361,368
92,000
Corebridge
Financial,
Inc.,
4.35%,
4/5/42,
Callable
10/5/41
@
100
76,958
271,000
Corebridge
Financial,
Inc.,
4.40%,
4/5/52,
Callable
10/5/51
@
100
220,147
295,000
Ford
Motor
Credit
Co
LLC,
4.13%,
8/17/27,
Callable
6/17/27
@
100
280,184
550,000
Ford
Motor
Credit
Co
LLC,
4.00%,
11/13/30,
Callable
8/13/30
@
100
488,911
968,000
Ford
Motor
Credit
Co.
LLC,
4.06%,
11/1/24,
Callable
10/1/24
@
100
958,326
55,000
Ford
Motor
Credit
Co.
LLC,
5.13%,
6/16/25,
Callable
5/16/25
@
100
54,505
400,000
Ford
Motor
Credit
Co.
LLC,
2.90%,
2/10/29,
Callable
12/10/28
@
100
351,204
55,000
Greystar
Real
Estate
Partners
LLC,
7.75%,
9/1/30,
Callable
9/1/26
@
103.88(b)
57,200
50,000
HAT
Holdings
I
LLC/HAT
Holdings
II
LLC,
3.38%,
6/15/26,
Callable
3/15/26
@
100(b)
47,000
140,000
HAT
Holdings
I
LLC/HAT
Holdings
II
LLC,
8.00%,
6/15/27,
Callable
3/15/27
@
100^(b)
145,775
640,000
Hightower
Holding
LLC,
6.75%,
4/15/29,
Callable
5/6/24
@
103.38(b)
600,000
505,000
HUB
International,
Ltd.,
5.63%,
12/1/29,
Callable
12/1/24
@
102.81(b)
472,806
Principal
Amount
Value
Corporate
Bonds,
continued
Financial
Services,
continued
$
240,000
HUB
International,
Ltd.,
7.25%,
6/15/30,
Callable
6/15/26
@
103.63(b)
$
246,000
1,400,000
Icahn
Enterprises
LP/Icahn
Enterprises
Finance
Corp.,
5.25%,
5/15/27,
Callable
11/15/26
@
100
1,295,000
358,000
Jackson
Financial,
Inc.,
5.17%,
6/8/27,
Callable
5/8/27
@
100^
357,547
91,000
Jackson
Financial,
Inc.,
3.13%,
11/23/31,
Callable
8/23/31
@
100
75,820
386,000
Jackson
Financial,
Inc.,
5.67%,
6/8/32,
Callable
3/8/32
@
100^
385,728
70,000
Jane
Street
Group/JSG
Finance,
Inc.,
4.50%,
11/15/29,
Callable
11/15/24
@
102.25^(b)
64,662
95,000
Jefferson
Capital
Holdings
LLC,
9.50%,
2/15/29,
Callable
2/15/26
@
104.75(b)
97,019
40,000
Ladder
Capital
Finance
Holdings
LLLP/Ladder
Capital
Finance
Corp.,
4.75%,
6/15/29,
Callable
6/15/24
@
102.38(b)
36,200
570,000
Level
3
Financing,
Inc.,
4.25%,
7/1/28,
Callable
5/6/24
@
102.13
273,600
15,000
Level
3
Financing,
Inc.,
3.63%,
1/15/29,
Callable
4/15/24
@
101.81
6,525
845,000
MPT
Operating
Partnership
LP/MPT
Finance
Corp.,
5.25%,
8/1/26,
Callable
5/6/24
@
100.88^
776,344
335,000
MPT
Operating
Partnership
LP/MPT
Finance
Corp.,
5.00%,
10/15/27,
Callable
5/6/24
@
101.67^
280,144
360,000
MPT
Operating
Partnership
LP/MPT
Finance
Corp.,
3.50%,
3/15/31,
Callable
3/15/26
@
101.75
246,150
2,296,000
Pine
Street
Trust
I,
4.57%,
2/15/29,
Callable
11/15/28
@
100(b)
2,173,221
212,000
Sun
Communities
Operating
LP,
2.30%,
11/1/28,
Callable
9/1/28
@
100
184,257
272,000
Sun
Communities
Operating
LP,
2.70%,
7/15/31,
Callable
4/15/31
@
100
223,652
355,000
Uniti
Group
LP/Uniti
Fiber
Holdings,
Inc./CSL
Capital
LLC,
6.00%,
1/15/30,
Callable
1/15/25
@
103(b)
263,587
18,308,379
Food
Products
(0.1%):
154,000
JBS
USA
Food
Co.,
3.63%,
1/15/32,
Callable
1/15/27
@
101.81(b)
120,890
650,000
Pilgrim's
Pride
Corp.,
4.25%,
4/15/31,
Callable
4/15/26
@
102.13
585,813
45,000
Post
Holdings,
Inc.,
5.63%,
1/15/28,
Callable
4/22/24
@
101.88(b)
44,156
69,000
Post
Holdings,
Inc.,
4.50%,
9/15/31,
Callable
9/15/26
@
102.25(b)
61,755
335,000
Post
Holdings,
Inc.,
6.25%,
2/15/32,
Callable
2/15/27
@
103.13(b)
335,837
1,148,451
Ground
Transportation
(0.1%):
1,050,000
Uber
Technologies,
Inc.,
4.50%,
8/15/29,
Callable
8/15/24
@
102.25(b)
996,188
230,000
XPO,
Inc.,
7.13%,
2/1/32,
Callable
2/1/27
@
103.56(b)
236,325
1,232,513
Health
Care
Equipment
&
Supplies
(0.1%):
600,000
Hologic,
Inc.,
4.63%,
2/1/28,
Callable
5/6/24
@
101.54(b)
576,000
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
111
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Health
Care
Equipment
&
Supplies,
continued
$
600,000
Medline
Borrower
LP,
3.88%,
4/1/29,
Callable
10/1/24
@
101.94(b)
$
545,250
1,121,250
Health
Care
Providers
&
Services
(0.8%):
495,000
180
Medical,
Inc.,
3.88%,
10/15/29,
Callable
10/7/24
@
101.94(b)
443,025
140,000
AHP
Health
Partners,
Inc.,
5.75%,
7/15/29,
Callable
7/15/24
@
102.88(b)
127,400
35,000
Cano
Health
LLC,
6.25%,
10/1/28,
Callable
10/1/24
@
103.13(b)(d)
4
55,000
Catalent
Pharma
Solutions,
Inc.,
3.13%,
2/15/29,
Callable
5/6/24
@
101.56(b)
52,525
115,000
Catalent
Pharma
Solutions,
Inc.,
3.50%,
4/1/30,
Callable
4/1/25
@
101.75(b)
110,113
1,365,000
Centene
Corp.,
4.25%,
12/15/27,
Callable
4/22/24
@
101.42
1,303,575
1,485,000
Centene
Corp.,
2.45%,
7/15/28,
Callable
5/15/28
@
100
1,314,225
410,000
Centene
Corp.,
4.63%,
12/15/29,
Callable
12/15/24
@
102.31
388,987
245,000
Centene
Corp.,
3.38%,
2/15/30,
Callable
2/15/25
@
101.69
216,825
610,000
Centene
Corp.,
2.63%,
8/1/31,
Callable
5/1/31
@
100
500,200
255,000
CHS/Community
Health
Systems,
Inc.,
5.63%,
3/15/27,
Callable
4/22/24
@
102.81(b)
234,600
255,000
CHS/Community
Health
Systems,
Inc.,
6.00%,
1/15/29,
Callable
4/22/24
@
103(b)
221,850
385,000
CHS/Community
Health
Systems,
Inc.,
6.13%,
4/1/30,
Callable
4/1/25
@
103.06(b)
277,200
285,000
CHS/Community
Health
Systems,
Inc.,
5.25%,
5/15/30,
Callable
5/15/25
@
102.63(b)
231,563
45,000
CHS/Community
Health
Systems,
Inc.,
4.75%,
2/15/31,
Callable
2/15/26
@
102.38(b)
34,594
585,000
CHS/Community
Health
Systems,
Inc.,
10.88%,
1/15/32,
Callable
2/15/27
@
105.44(b)
602,550
299,000
Community
Health
Systems,
Inc.,
8.00%,
3/15/26,
Callable
5/6/24
@
100^(b)
297,505
185,000
Coty,
Inc./HFC
Prestige
Products,
Inc./HFC
Prestige
International
US
LLC,
6.63%,
7/15/30,
Callable
7/16/26
@
103.31(b)
187,312
343,000
CVS
Health
Corp.,
5.00%,
1/30/29,
Callable
12/30/28
@
100
342,549
140,000
CVS
Health
Corp.,
5.25%,
1/30/31,
Callable
11/30/30
@
100
140,841
495,000
DaVita,
Inc.,
4.63%,
6/1/30,
Callable
6/1/25
@
102.31(b)
441,787
534,000
HCA,
Inc.,
5.63%,
9/1/28,
Callable
3/1/28
@
100
540,007
503,000
HCA,
Inc.,
5.88%,
2/1/29,
Callable
8/1/28
@
100
513,689
510,000
HCA,
Inc.,
3.50%,
9/1/30,
Callable
3/1/30
@
100
460,275
99,000
HCA,
Inc.,
3.63%,
3/15/32,
Callable
12/15/31
@
100
87,345
50,000
HealthEquity,
Inc.,
4.50%,
10/1/29,
Callable
10/1/24
@
102.25(b)
46,063
314,000
Humana,
Inc.,
3.70%,
3/23/29,
Callable
2/23/29
@
100
295,709
400,000
IQVIA,
Inc.,
5.00%,
10/15/26,
Callable
5/6/24
@
100.83(b)
390,000
Principal
Amount
Value
Corporate
Bonds,
continued
Health
Care
Providers
&
Services,
continued
$
350,000
LifePoint
Health,
Inc.,
11.00%,
10/15/30,
Callable
10/15/26
@
105.5(b)
$
374,062
120,000
Medline
Borrower
LP/Medline
Co-Issuer,
Inc.,
6.25%,
4/1/29,
Callable
4/1/26
@
103.13(b)
120,600
55,000
ModivCare
Escrow
Issuer,
Inc.,
5.00%,
10/1/29,
Callable
10/1/24
@
102.5(b)
39,875
150,000
ModivCare,
Inc.,
5.88%,
11/15/25,
Callable
5/6/24
@
101.47(b)
146,063
40,000
Molina
Healthcare,
Inc.,
3.88%,
11/15/30,
Callable
8/17/30
@
100(b)
35,400
470,000
Molina
Healthcare,
Inc.,
3.88%,
5/15/32,
Callable
2/15/32
@
100(b)
407,725
315,000
Organon
&
Co./Organon
Foreign
Debt
Co.-Issuer
B.V.,
4.13%,
4/30/28,
Callable
5/6/24
@
102.06(b)
292,950
25,000
Owens
&
Minor,
Inc.,
4.50%,
3/31/29,
Callable
5/6/24
@
102.25^(b)
22,812
94,122
Radiology
Partners,
Inc.,
8.50%,
1/31/29,
Callable
5/6/24
@
100^(b)
86,592
127,000
Surgery
Center
Holdings,
Inc.,
6.75%,
7/1/25,
Callable
4/25/24
@
100(b)
127,000
175,000
Surgery
Center
Holdings,
Inc.,
7.25%,
4/15/32,
Callable
4/15/27
@
103.63(b)
176,531
590,000
Tenet
Healthcare
Corp.,
6.25%,
2/1/27,
Callable
4/22/24
@
100
588,525
510,000
Tenet
Healthcare
Corp.,
6.13%,
10/1/28,
Callable
5/6/24
@
103.06
508,088
295,000
Tenet
Healthcare
Corp.,
4.25%,
6/1/29,
Callable
6/1/24
@
102.13
273,244
140,000
Tenet
Healthcare
Corp.,
4.38%,
1/15/30,
Callable
12/1/24
@
102.19
129,150
117,000
Toledo
Hospital
(The),
Series
B,
5.33%,
11/15/28
109,541
85,000
Toledo
Hospital
(The),
6.02%,
11/15/48
70,444
35,000
US
Renal
Care,
Inc.,
10.63%,
7/15/27,
Callable
5/6/24
@
102.66(b)
22,137
13,333,057
Health
Care
REITs
(0.3%):
45,000
CTR
Partnership
LP/CareTrust
Capital
Corp.,
3.88%,
6/30/28,
Callable
3/30/28
@
100(b)
41,681
66,000
Healthcare
Realty
Holdings
LP,
3.50%,
8/1/26,
Callable
5/1/26
@
100
62,923
63,000
Healthcare
Realty
Holdings
LP,
3.10%,
2/15/30,
Callable
11/15/29
@
100
54,853
101,000
Omega
Healthcare
Investors,
Inc.,
4.50%,
1/15/25,
Callable
10/15/24
@
100
99,423
1,278,000
Omega
Healthcare
Investors,
Inc.,
4.50%,
4/1/27,
Callable
1/1/27
@
100
1,234,960
2,482,000
Omega
Healthcare
Investors,
Inc.,
3.63%,
10/1/29,
Callable
7/1/29
@
100
2,213,177
133,000
Omega
Healthcare
Investors,
Inc.,
3.38%,
2/1/31,
Callable
11/1/30
@
100
113,505
1,214,000
Sabra
Health
Care
LP,
3.20%,
12/1/31,
Callable
9/1/31
@
100
1,007,620
4,828,142
Health
Care
Technology
(0.0%
):
25,000
Clarivate
Science
Holdings
Corp.,
3.88%,
7/1/28,
Callable
6/30/24
@
101.94(b)
23,062
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
112
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Health
Care
Technology,
continued
$
625,000
Clarivate
Science
Holdings
Corp.,
4.88%,
7/1/29,
Callable
6/30/24
@
102.44(b)
$
578,125
601,187
Hotel
&
Resort
REITs
(0.0%
):
40,000
Service
Properties
Trust,
4.95%,
2/15/27,
Callable
8/15/26
@
100
36,850
540,000
Service
Properties
Trust,
5.50%,
12/15/27,
Callable
9/15/27
@
100
513,000
45,000
Service
Properties
Trust,
4.95%,
10/1/29,
Callable
7/1/29
@
100
36,900
586,750
Hotels,
Restaurants
&
Leisure
(0.4%):
15,000
Affinity
Interactive,
6.88%,
12/15/27,
Callable
5/6/24
@
103.44(b)
14,025
500,000
Boyd
Gaming
Corp.,
4.75%,
6/15/31,
Callable
6/15/26
@
102.38(b)
458,750
550,000
Caesars
Entertainment,
Inc.,
8.13%,
7/1/27,
Callable
4/15/24
@
104.06(b)
562,375
145,000
Caesars
Entertainment,
Inc.,
4.63%,
10/15/29,
Callable
10/15/24
@
102.31^(b)
131,769
345,000
Caesars
Entertainment,
Inc.,
6.50%,
2/15/32,
Callable
2/15/27
@
103.25(b)
348,450
125,000
Carrols
Restaurant
Group,
Inc.,
5.88%,
7/1/29,
Callable
7/1/24
@
102.94(b)
126,250
460,000
Churchill
Downs,
Inc.,
5.75%,
4/1/30,
Callable
4/1/25
@
102.88(b)
443,900
30,000
ClubCorp
Holdings,
Inc.,
8.50%,
9/15/25,
Callable
5/6/24
@
100(b)
27,150
275,000
Fertitta
Entertainment
LLC/Fertitta
Entertainment
Finance
Co.,
Inc.,
4.63%,
1/15/29,
Callable
1/15/25
@
102.31(b)
250,938
160,000
Fertitta
Entertainment
LLC/Fertitta
Entertainment
Finance
Co.,
Inc.,
6.75%,
1/15/30,
Callable
1/15/25
@
103.38(b)
143,600
530,000
Golden
Entertainment,
Inc.,
7.63%,
4/15/26,
Callable
4/15/24
@
100(b)
530,000
120,000
Hilton
Domestic
Operating
Co.,
Inc.,
5.88%,
4/1/29,
Callable
4/1/26
@
102.94(b)
120,000
500,000
Hilton
Domestic
Operating
Co.,
Inc.,
4.00%,
5/1/31,
Callable
5/1/26
@
102(b)
446,875
40,000
Hilton
Grand
Vacations
Borrower
Escrow
LLC/Hilton
Grand
Vacations
Borrower
Escrow,
5.00%,
6/1/29,
Callable
6/1/24
@
102.5^(b)
37,200
240,000
Hilton
Grand
Vacations
Borrower
Escrow
LLC/Hilton
Grand
Vacations
Borrower
Escrow,
6.63%,
1/15/32,
Callable
1/15/27
@
103.31(b)
240,600
75,000
Jacobs
Entertainment,
Inc.,
6.75%,
2/15/29,
Callable
2/15/25
@
103.38(b)
72,375
45,000
Life
Time,
Inc.,
5.75%,
1/15/26,
Callable
5/6/24
@
101.44(b)
44,662
40,000
Marriott
Ownership
Resorts,
Inc.,
4.50%,
6/15/29,
Callable
6/15/24
@
102.25^(b)
36,450
510,000
Station
Casinos
LLC,
4.50%,
2/15/28,
Callable
5/6/24
@
101.13(b)
479,400
390,000
Wynn
Las
Vegas
LLC/Wynn
Las
Vegas
Capital
Corp.,
5.25%,
5/15/27,
Callable
2/15/27
@
100(b)
380,737
105,000
Wynn
Resorts
Finance
LLC/Wynn
Resorts
Capital
Corp.,
7.13%,
2/15/31,
Callable
11/15/30
@
100(b)
108,675
Principal
Amount
Value
Corporate
Bonds,
continued
Hotels,
Restaurants
&
Leisure,
continued
$
700,000
Yum!
Brands,
Inc.,
3.63%,
3/15/31,
Callable
12/15/30
@
100
$
619,500
5,623,681
Household
Durables
(0.1%):
70,000
Ashton
Woods
USA
LLC/Ashton
Woods
Finance
Co.,
4.63%,
4/1/30,
Callable
4/1/25
@
102.31(b)
63,700
95,000
Beazer
Homes
USA,
Inc.,
7.50%,
3/15/31,
Callable
3/15/27
@
103.75(b)
95,950
150,000
Century
Communities,
Inc.,
3.88%,
8/15/29,
Callable
2/15/29
@
100(b)
134,250
120,000
Landsea
Homes
Corp.,
8.88%,
4/1/29,
Callable
4/1/26
@
104.44(b)
119,100
90,000
LGI
Homes,
Inc.,
8.75%,
12/15/28,
Callable
12/15/25
@
104.38(b)
94,950
290,000
Newell
Brands,
Inc.,
6.88%,
4/1/36,
Callable
10/1/35
@
100
254,837
130,000
Tempur
Sealy
International,
Inc.,
3.88%,
10/15/31,
Callable
10/15/26
@
101.94(b)
109,850
265,000
TopBuild
Corp.,
4.13%,
2/15/32,
Callable
10/15/26
@
102.06(b)
233,200
1,105,837
Household
Products
(0.0%
):
55,000
Central
Garden
&
Pet
Co.,
4.13%,
4/30/31,
Callable
4/30/26
@
102.06(b)
48,262
Independent
Power
and
Renewable
Electricity
Producers
(0.2%):
1,457,000
AES
Corp.
(The),
3.30%,
7/15/25,
Callable
6/15/25
@
100(b)
1,410,927
1,412,000
AES
Corp.
(The),
3.95%,
7/15/30,
Callable
4/15/30
@
100(b)
1,284,920
218,000
AES
Corp.
(The),
2.45%,
1/15/31,
Callable
10/15/30
@
100
178,637
30,000
Clearway
Energy
Operating
LLC,
4.75%,
3/15/28,
Callable
4/15/24
@
102.38(b)
28,275
125,000
Leeward
Renewable
Energy
Operations
LLC,
4.25%,
7/1/29,
Callable
7/1/24
@
102.13(b)
107,188
35,000
Pattern
Energy
Operations
LP/Pattern
Energy
Operations,
Inc.,
4.50%,
8/15/28,
Callable
5/6/24
@
103.38(b)
32,637
85,000
Sunnova
Energy
Corp.,
5.88%,
9/1/26,
Callable
5/6/24
@
102.94^(b)
66,300
120,000
Sunnova
Energy
Corp.,
11.75%,
10/1/28,
Callable
4/1/28
@
100^(b)
92,700
3,201,584
Industrial
Conglomerates
(0.0%
):
490,000
Brand
Industrial
Services,
Inc.,
10.38%,
8/1/30,
Callable
8/1/26
@
105.19(b)
530,425
75,000
Global
Partners
LP/GLP
Finance
Corp.,
8.25%,
1/15/32,
Callable
1/15/27
@
104.13(b)
77,719
35,000
Roller
Bearing
Co.
of
America,
Inc.,
4.38%,
10/15/29,
Callable
10/15/24
@
102.19(b)
31,937
640,081
Industrial
REITs
(0.0%
):
735,000
LXP
Industrial
Trust,
4.40%,
6/15/24,
Callable
5/6/24
@
100
730,087
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
113
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Insurance
(0.4%):
$
585,000
Acrisure
LLC/Acrisure
Finance,
Inc.,
6.00%,
8/1/29,
Callable
8/1/24
@
103(b)
$
534,544
70,000
AmWINS
Group,
Inc.,
4.88%,
6/30/29,
Callable
6/30/24
@
102.44(b)
64,925
40,000
AssuredPartners,
Inc.,
5.63%,
1/15/29,
Callable
5/6/24
@
102.81(b)
36,800
190,000
AssuredPartners,
Inc.,
7.50%,
2/15/32,
Callable
2/15/27
@
103.75(b)
186,675
70,000
BroadStreet
Partners,
Inc.,
5.88%,
4/15/29,
Callable
5/6/24
@
102.94(b)
64,662
2,771,000
Five
Corners
Funding
Trust
II,
2.85%,
5/15/30,
Callable
2/15/30
@
100(b)
2,420,804
436,000
Pacific
LifeCorp,
5.13%,
1/30/43(b)
407,746
500,000
Peachtree
Corners
Funding
Trust,
3.98%,
2/15/25(b)
490,036
185,000
Ryan
Specialty
LLC,
4.38%,
2/1/30,
Callable
2/1/25
@
102.19(b)
171,356
180,000
Station
Casinos
LLC,
6.63%,
3/15/32,
Callable
3/15/27
@
103.31(b)
182,025
227,000
Unum
Group,
4.00%,
6/15/29,
Callable
3/15/29
@
100
212,980
1,000,000
Unum
Group,
5.75%,
8/15/42
972,633
5,745,186
IT
Services
(0.0%
):
500,000
Gartner,
Inc.,
4.50%,
7/1/28,
Callable
5/6/24
@
102.25(b)
475,000
45,000
Gartner,
Inc.,
3.75%,
10/1/30,
Callable
10/1/25
@
101.88(b)
40,106
35,000
Twilio,
Inc.,
3.63%,
3/15/29,
Callable
4/15/24
@
101.81
31,325
35,000
Twilio,
Inc.,
3.88%,
3/15/31,
Callable
3/15/26
@
101.94
30,538
576,969
Leisure
Products
(0.0%
):
120,000
Amer
Sports
Co.,
6.75%,
2/16/31,
Callable
2/16/27
@
103.38(b)
119,400
110,000
Fiesta
Purchaser,
Inc.,
7.88%,
3/1/31,
Callable
3/1/27
@
103.94(b)
113,575
5,000
Mattel,
Inc.,
5.88%,
12/15/27,
Callable
5/6/24
@
102.94(b)
5,012
170,000
Mattel,
Inc.,
6.20%,
10/1/40
169,575
407,562
Life
Sciences
Tools
&
Services
(0.0%
):
15,000
Charles
River
Laboratories
International,
Inc.,
4.25%,
5/1/28,
Callable
4/22/24
@
102.13(b)
14,062
30,000
Charles
River
Laboratories
International,
Inc.,
3.75%,
3/15/29,
Callable
5/6/24
@
101.88(b)
27,300
41,362
Machinery
(0.1%):
220,000
Esab
Corp.,
6.25%,
4/15/29,
Callable
4/15/26
@
103.13(b)
221,100
55,000
GrafTech
Finance,
Inc.,
4.63%,
12/15/28,
Callable
5/6/24
@
102.31(b)
35,406
110,000
GrafTech
Global
Enterprises,
Inc.,
9.88%,
12/15/28,
Callable
12/15/25
@
104.94^(b)
81,675
170,000
ITT
Holdings
LLC,
6.50%,
8/1/29,
Callable
8/1/24
@
103.25(b)
154,275
230,000
Madison
IAQ
LLC,
4.13%,
6/30/28,
Callable
6/30/24
@
102.06^(b)
211,600
Principal
Amount
Value
Corporate
Bonds,
continued
Machinery,
continued
$
650,000
Madison
IAQ
LLC,
5.88%,
6/30/29,
Callable
6/30/24
@
102.94(b)
$
594,750
45,000
Mueller
Water
Products,
Inc.,
4.00%,
6/15/29,
Callable
6/15/24
@
102(b)
40,613
1,339,419
Media
(0.8%):
300,000
Advantage
Sales
&
Marketing,
Inc.,
6.50%,
11/15/28,
Callable
4/15/24
@
103.25(b)
282,000
255,000
Allen
Media
LLC/Allen
Media
Co.-Issuer,
Inc.,
10.50%,
2/15/28,
Callable
5/6/24
@
105.25(b)
117,300
25,000
Arches
Buyer,
Inc.,
4.25%,
6/1/28,
Callable
5/6/24
@
102.13(b)
21,813
10,000
Arches
Buyer,
Inc.,
6.13%,
12/1/28,
Callable
5/6/24
@
103.06(b)
8,350
880,000
CCO
Holdings
LLC/CCO
Holdings
Capital
Corp.,
4.50%,
8/15/30,
Callable
2/15/25
@
102.25(b)
739,200
390,000
CCO
Holdings
LLC/CCO
Holdings
Capital
Corp.,
4.50%,
5/1/32,
Callable
5/1/26
@
102.25
312,000
240,000
Central
Parent
LLC/CDK
Global
II
LLC/CDK
Financing
Co.,
Inc.,
8.00%,
6/15/29,
Callable
6/15/25
@
104(b)
248,700
1,500,000
Charter
Communications
Operating
LLC/Charter
Communications
Operating
Capital,
4.91%,
7/23/25,
Callable
4/23/25
@
100
1,482,223
813,000
Charter
Communications
Operating
LLC/Charter
Communications
Operating
Capital,
4.40%,
4/1/33,
Callable
1/1/33
@
100^
720,083
1,256,000
Charter
Communications
Operating
LLC/Charter
Communications
Operating
Capital,
5.38%,
5/1/47,
Callable
11/1/46
@
100
1,010,505
809,000
Charter
Communications
Operating
LLC/Charter
Communications
Operating
Capital,
5.25%,
4/1/53,
Callable
10/1/52
@
100
639,535
1,064,000
Charter
Communications
Operating
LLC/Charter
Communications
Operating
Capital,
5.50%,
4/1/63,
Callable
10/1/62
@
100
833,531
345,000
Clear
Channel
Outdoor
Holdings,
Inc.,
5.13%,
8/15/27,
Callable
5/6/24
@
101.28(b)
324,731
120,000
Clear
Channel
Outdoor
Holdings,
Inc.,
7.88%,
4/1/30,
Callable
10/1/26
@
103.94(b)
119,700
435,000
CMG
Media
Corp.,
8.88%,
12/15/27,
Callable
4/15/24
@
102.22(b)
289,275
635,000
CSC
Holdings
LLC,
4.13%,
12/1/30,
Callable
12/1/25
@
102.06(b)
450,850
185,000
CSC
Holdings
LLC,
4.63%,
12/1/30,
Callable
12/1/25
@
102.31(b)
92,963
680,000
Diamond
Sports
Group
LLC/Diamond
Sports
Finance
Co.,
5.38%,
8/15/26,
Callable
4/22/24
@
101.34(b)
(d)
19,550
790,000
DISH
Network
Corp.,
11.75%,
11/15/27,
Callable
5/15/25
@
105.88(b)
806,787
93,000
Fox
Corp.,
5.48%,
1/25/39,
Callable
7/25/38
@
100
88,269
140,000
Gray
Television,
Inc.,
4.75%,
10/15/30,
Callable
10/15/25
@
102.38^(b)
91,875
25,000
Match
Group
Holdings
II
LLC,
4.13%,
8/1/30,
Callable
5/1/25
@
102.06(b)
22,156
190,000
Match
Group
Holdings
II
LLC,
3.63%,
10/1/31,
Callable
10/1/26
@
101.81(b)
161,500
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
114
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Media,
continued
$
350,000
TEGNA,
Inc.,
4.75%,
3/15/26,
Callable
5/6/24
@
101.19(b)
$
340,375
1,620,000
Time
Warner
Cable
LLC,
6.55%,
5/1/37
1,525,766
280,000
Time
Warner
Cable
LLC,
7.30%,
7/1/38
281,336
69,000
Time
Warner
Cable
LLC,
5.50%,
9/1/41,
Callable
3/1/41
@
100
57,258
435,000
Univision
Communications,
Inc.,
6.63%,
6/1/27,
Callable
4/15/24
@
103.31(b)
424,669
180,000
Univision
Communications,
Inc.,
8.00%,
8/15/28,
Callable
8/15/25
@
104(b)
183,375
245,000
Univision
Communications,
Inc.,
4.50%,
5/1/29,
Callable
5/6/24
@
102.25(b)
218,663
11,914,338
Metals
&
Mining
(0.1%):
400,000
ATI,
Inc.,
5.88%,
12/1/27,
Callable
5/6/24
@
101.47
394,000
60,000
ATI,
Inc.,
4.88%,
10/1/29,
Callable
10/1/24
@
102.44
56,250
45,000
ATI,
Inc.,
5.13%,
10/1/31,
Callable
10/1/26
@
102.56
41,625
45,000
Cleveland-Cliffs,
Inc.,
4.63%,
3/1/29,
Callable
5/6/24
@
102.31(b)
41,906
45,000
Cleveland-Cliffs,
Inc.,
4.88%,
3/1/31,
Callable
3/1/26
@
102.44(b)
40,613
120,000
Cleveland-Cliffs,
Inc.,
7.00%,
3/15/32,
Callable
3/15/27
@
103.5(b)
121,650
60,000
Commercial
Metals
Co.,
4.13%,
1/15/30,
Callable
1/15/25
@
102.06
54,975
60,000
Commercial
Metals
Co.,
4.38%,
3/15/32,
Callable
3/15/27
@
102.19
54,000
200,000
Kaiser
Aluminum
Corp.,
4.63%,
3/1/28,
Callable
5/6/24
@
101.16(b)
186,500
125,000
Novelis
Corp.,
3.88%,
8/15/31,
Callable
8/15/26
@
101.94(b)
107,031
200,000
Panther
Escrow
Issuer
LLC,
7.13%,
6/1/31,
Callable
6/1/27
@
103.56(b)
203,250
1,301,800
Mortgage
Real
Estate
Investment
Trusts
(REITs)
(0.0%
):
75,000
Rithm
Capital
Corp.,
8.00%,
4/1/29,
Callable
4/1/26
@
104(b)
72,750
45,000
Starwood
Property
Trust,
Inc.,
4.75%,
3/15/25,
Callable
9/15/24
@
100
44,325
117,075
Multi-Utilities
(0.1%):
1,100,000
NiSource,
Inc.,
2.95%,
9/1/29,
Callable
6/1/29
@
100
992,464
1,000,000
NiSource,
Inc.,
5.25%,
2/15/43,
Callable
8/15/42
@
100
942,836
1,935,300
Office
REITs
(0.0%
):
400,000
Hudson
Pacific
Properties
LP,
4.65%,
4/1/29,
Callable
1/1/29
@
100^
341,000
72,000
Vornado
Realty
LP,
2.15%,
6/1/26,
Callable
5/1/26
@
100
65,211
406,211
Oil,
Gas
&
Consumable
Fuels
(2.0%):
45,000
Apache
Corp.,
5.10%,
9/1/40,
Callable
3/1/40
@
100
38,644
Principal
Amount
Value
Corporate
Bonds,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
$
10,000
Apache
Corp.,
7.38%,
8/15/47
$
10,025
95,000
Calumet
Specialty
Products
Partners
LP/Calumet
Finance
Corp.,
9.75%,
7/15/28,
Callable
7/15/25
@
104.88(b)
93,575
300,000
CITGO
Petroleum
Corp.,
6.38%,
6/15/26,
Callable
5/6/24
@
103.19(b)
300,375
125,000
CITGO
Petroleum
Corp.,
8.38%,
1/15/29,
Callable
10/15/25
@
104.19(b)
130,937
50,000
CNX
Midstream
Partners
LP,
4.75%,
4/15/30,
Callable
4/15/25
@
102.38(b)
44,500
20,000
CNX
Resources
Corp.,
6.00%,
1/15/29,
Callable
5/6/24
@
104.5(b)
19,550
114,000
Columbia
Pipelines
Operating
Co.
LLC,
5.93%,
8/15/30,
Callable
6/15/30
@
100(b)
116,646
309,000
Columbia
Pipelines
Operating
Co.
LLC,
6.04%,
11/15/33,
Callable
8/15/33
@
100(b)
320,134
92,000
Columbia
Pipelines
Operating
Co.
LLC,
6.50%,
8/15/43,
Callable
2/15/43
@
100(b)
98,700
166,000
Columbia
Pipelines
Operating
Co.
LLC,
6.54%,
11/15/53,
Callable
5/15/53
@
100(b)
179,870
99,000
Columbia
Pipelines
Operating
Co.
LLC,
6.71%,
8/15/63,
Callable
2/15/63
@
100(b)
108,704
305,000
Comstock
Resources,
Inc.,
6.75%,
3/1/29,
Callable
4/22/24
@
103.38(b)
290,894
25,000
Comstock
Resources,
Inc.,
5.88%,
1/15/30,
Callable
1/15/25
@
102.94^(b)
22,594
485,000
Continental
Resources,
Inc.,
5.75%,
1/15/31,
Callable
7/15/30
@
100(b)
481,969
250,000
CQP
Holdco
LP/BIP-V
Chinook
Holdco
LLC,
7.50%,
12/15/33,
Callable
12/15/28
@
103.75(b)
256,875
20,000
CVR
Energy,
Inc.,
5.75%,
2/15/28,
Callable
4/22/24
@
101.92(b)
18,700
350,000
CVR
Energy,
Inc.,
8.50%,
1/15/29,
Callable
1/15/26
@
104.25(b)
355,250
230,000
DCP
Midstream
Operating
LP,
5.38%,
7/15/25,
Callable
4/15/25
@
100
229,540
2,905,000
DCP
Midstream
Operating
LP,
5.63%,
7/15/27,
Callable
4/15/27
@
100
2,929,692
321,000
DCP
Midstream
Operating
LP,
5.13%,
5/15/29,
Callable
2/15/29
@
100
318,994
25,000
Delek
Logistics
Partners
LP/Delek
Logistics
Finance
Corp.,
7.13%,
6/1/28,
Callable
6/1/24
@
103.56(b)
24,188
335,000
Delek
Logistics
Partners
LP/Delek
Logistics
Finance
Corp.,
8.63%,
3/15/29,
Callable
3/15/26
@
104.31(b)
341,281
26,000
Devon
Energy
Corp.,
5.25%,
10/15/27,
Callable
4/15/24
@
101.75
25,985
40,000
DT
Midstream,
Inc.,
4.13%,
6/15/29,
Callable
6/15/24
@
102.06(b)
36,600
1,000,000
Emera
US
Finance
LP,
3.55%,
6/15/26,
Callable
3/15/26
@
100
961,108
300,000
Endeavor
Energy
Resources
LP/EER
Finance,
Inc.,
5.75%,
1/30/28,
Callable
5/6/24
@
101.92(b)
302,250
65,000
Energy
Transfer
LP,
4.50%,
4/15/24
64,963
124,000
Energy
Transfer
LP,
3.90%,
5/15/24,
Callable
5/6/24
@
100
123,713
42,000
Energy
Transfer
LP,
5.75%,
4/1/25,
Callable
5/6/24
@
100
41,947
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
115
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
$
2,229,000
Energy
Transfer
LP,
4.95%,
6/15/28,
Callable
3/15/28
@
100
$
2,208,143
106,000
Energy
Transfer
LP,
5.25%,
4/15/29,
Callable
1/15/29
@
100
106,158
109,000
Energy
Transfer
LP,
3.75%,
5/15/30,
Callable
2/15/30
@
100
100,316
140,000
Energy
Transfer
LP,
7.38%,
2/1/31,
Callable
2/1/26
@
103.69(b)
146,650
128,000
Energy
Transfer
LP,
Series
20Y,
5.80%,
6/15/38,
Callable
12/15/37
@
100
126,625
83,000
Energy
Transfer
LP,
6.00%,
6/15/48,
Callable
12/15/47
@
100
82,393
73,000
Energy
Transfer
LP,
6.25%,
4/15/49,
Callable
10/15/48
@
100
74,676
1,908,000
Energy
Transfer
LP,
5.00%,
5/15/50,
Callable
11/15/49
@
100
1,670,364
400,000
Energy
Transfer
LP,
Series
A,
9.60%
(TSFR3M+429
bps),
12/31/99,
Callable
4/22/24
@
100
397,500
350,000
EnLink
Midstream
LLC,
5.63%,
1/15/28,
Callable
7/15/27
@
100(b)
346,500
400,000
EQM
Midstream
Partners
LP,
7.50%,
6/1/27,
Callable
6/1/24
@
103.75(b)
410,000
50,000
EQM
Midstream
Partners
LP,
6.50%,
7/1/27,
Callable
1/1/27
@
100(b)
50,437
45,000
EQM
Midstream
Partners
LP,
4.50%,
1/15/29,
Callable
7/15/28
@
100(b)
42,075
30,000
EQT
Corp.,
5.00%,
1/15/29,
Callable
7/15/28
@
100
29,377
255,000
Genesis
Energy
LP/Genesis
Energy
Finance
Corp.,
8.00%,
1/15/27,
Callable
5/6/24
@
104
256,912
650,000
Hess
Corp.,
4.30%,
4/1/27,
Callable
1/1/27
@
100
636,155
71,000
Hess
Corp.,
7.30%,
8/15/31
79,675
50,000
Hess
Corp.,
7.13%,
3/15/33
56,170
2,002,000
Hess
Corp.,
5.60%,
2/15/41
2,037,251
1,166,000
Hess
Corp.,
5.80%,
4/1/47,
Callable
10/1/46
@
100
1,199,590
405,000
Hess
Midstream
Operations
LP,
5.63%,
2/15/26,
Callable
5/6/24
@
100(b)
399,938
80,000
Hess
Midstream
Operations
LP,
4.25%,
2/15/30,
Callable
2/15/25
@
102.13(b)
73,200
230,000
Kinetik
Holdings
LP,
6.63%,
12/15/28,
Callable
12/15/25
@
103.31(b)
233,450
125,000
Kinetik
Holdings
LP,
5.88%,
6/15/30,
Callable
6/15/25
@
102.94(b)
122,344
205,000
Matador
Resources
Co.,
6.50%,
4/15/32,
Callable
4/15/27
@
103.25(b)
205,769
278,000
Mesquite
Energy,
Inc.,
7.25%,
2/15/23(a)(b)(d)
159,000
MPLX
LP,
4.88%,
12/1/24,
Callable
9/1/24
@
100
158,149
722,000
MPLX
LP,
4.95%,
9/1/32,
Callable
6/1/32
@
100
699,480
251,000
Murphy
Oil
Corp.,
5.88%,
12/1/27,
Callable
4/22/24
@
101.96
249,118
208,000
New
Fortress
Energy,
Inc.,
6.75%,
9/15/25,
Callable
4/25/24
@
101.69(b)
206,700
250,000
New
Fortress
Energy,
Inc.,
6.50%,
9/30/26,
Callable
5/6/24
@
101.63(b)
240,313
360,000
New
Fortress
Energy,
Inc.,
8.75%,
3/15/29,
Callable
3/15/26
@
104.38(b)
360,000
180,000
NGL
Energy
Operating
LLC/NGL
Energy
Finance
Corp.,
8.13%,
2/15/29,
Callable
2/15/26
@
104.06(b)
184,050
Principal
Amount
Value
Corporate
Bonds,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
$
406,000
Occidental
Petroleum
Corp.,
5.55%,
3/15/26,
Callable
12/15/25
@
100
$
406,508
310,000
Occidental
Petroleum
Corp.,
3.50%,
8/15/29,
Callable
5/15/29
@
100
280,163
255,000
Occidental
Petroleum
Corp.,
8.88%,
7/15/30,
Callable
1/15/30
@
100
296,756
779,000
Occidental
Petroleum
Corp.,
7.50%,
5/1/31
866,638
16,000
Occidental
Petroleum
Corp.,
7.88%,
9/15/31
18,080
78,000
Occidental
Petroleum
Corp.,
6.45%,
9/15/36
83,070
410,000
Occidental
Petroleum
Corp.,
6.60%,
3/15/46,
Callable
9/15/45
@
100
440,053
295,000
Occidental
Petroleum
Corp.,
4.40%,
4/15/46,
Callable
10/15/45
@
100
239,688
430,000
Occidental
Petroleum
Corp.,
4.10%,
2/15/47,
Callable
8/15/46
@
100
309,600
280,000
PBF
Holding
Co.
LLC/PBF
Finance
Corp.,
6.00%,
2/15/28,
Callable
5/6/24
@
101.5
275,100
20,000
PDC
Energy,
Inc.,
5.75%,
5/15/26,
Callable
5/6/24
@
101.44
19,975
65,000
Permian
Resources
Operating
LLC,
5.88%,
7/1/29,
Callable
7/1/24
@
102.94(b)
63,862
265,000
Permian
Resources
Operating
LLC,
7.00%,
1/15/32,
Callable
1/15/27
@
103.5(b)
273,612
95,000
Prairie
Acquiror,
LP,
9.00%,
8/1/29,
Callable
2/1/26
@
104.5(b)
97,731
270,000
Range
Resources
Corp.,
4.88%,
5/15/25,
Callable
2/15/25
@
100
267,975
335,000
Sabine
Pass
Liquefaction
LLC,
4.50%,
5/15/30,
Callable
11/15/29
@
100
321,600
229,000
Sitio
Royalties
Operating
Partnership
LP/Sitio
Finance
Corp.,
7.88%,
11/1/28,
Callable
11/1/25
@
103.94(b)
237,015
10,000
SM
Energy
Co.,
5.63%,
6/1/25,
Callable
5/6/24
@
100
9,925
50,000
SM
Energy
Co.,
6.75%,
9/15/26,
Callable
5/6/24
@
101.13
49,812
300,000
SM
Energy
Co.,
6.50%,
7/15/28,
Callable
7/15/24
@
103.25
300,000
130,000
Southwestern
Energy
Co.,
4.75%,
2/1/32,
Callable
2/1/27
@
102.38
119,275
5,000
Sunoco
LP/Sunoco
Finance
Corp.,
6.00%,
4/15/27,
Callable
5/6/24
@
101
4,963
242,000
Sunoco
LP/Sunoco
Finance
Corp.,
5.88%,
3/15/28,
Callable
5/6/24
@
101.96
238,370
430,000
Sunoco
LP/Sunoco
Finance
Corp.,
4.50%,
5/15/29,
Callable
5/15/24
@
102.25
396,675
350,000
Tallgrass
Energy
Partners
LP/Tallgrass
Energy
Finance
Corp.,
6.00%,
12/31/30,
Callable
12/31/25
@
103(b)
331,625
50,000
Talos
Production,
Inc.,
9.00%,
2/1/29,
Callable
2/1/26
@
104.5(b)
52,813
25,000
Targa
Resources
Partners
LP/Targa
Resources
Partners
Finance
Corp.,
5.50%,
3/1/30,
Callable
3/1/25
@
102.75
24,875
445,000
Targa
Resources
Partners
LP/Targa
Resources
Partners
Finance
Corp.,
4.88%,
2/1/31,
Callable
2/1/26
@
102.44
424,975
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
116
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
$
45,000
Targa
Resources
Partners
LP/Targa
Resources
Partners
Finance
Corp.,
4.00%,
1/15/32,
Callable
7/15/26
@
102
$
40,388
43,000
Transcontinental
Gas
Pipe
Line
Co.
LLC,
3.25%,
5/15/30,
Callable
2/15/30
@
100
38,913
600,000
Venture
Global
Calcasieu
Pass
LLC,
3.88%,
8/15/29,
Callable
2/15/29
@
100(b)
537,750
1,000,000
Western
Midstream
Operating
LP,
3.10%,
2/1/25,
Callable
1/1/25
@
100
977,500
40,000
Western
Midstream
Operating
LP,
3.95%,
6/1/25,
Callable
3/1/25
@
100
39,200
137,000
Western
Midstream
Operating
LP,
4.65%,
7/1/26,
Callable
4/1/26
@
100
134,260
1,000,000
Western
Midstream
Operating
LP,
4.50%,
3/1/28,
Callable
12/1/27
@
100
962,500
66,000
Western
Midstream
Operating
LP,
4.75%,
8/15/28,
Callable
5/15/28
@
100
64,020
755,000
Williams
Cos.,
Inc.
(The),
4.65%,
8/15/32,
Callable
5/15/32
@
100
726,130
171,000
Williams
Cos.,
Inc.
(The),
5.30%,
8/15/52,
Callable
2/15/52
@
100
162,964
31,612,040
Paper
&
Forest
Products
(0.0%
):
45,000
Mercer
International,
Inc.,
5.13%,
2/1/29,
Callable
4/15/24
@
102.56
39,262
Passenger
Airlines
(0.0%
):
80,000
American
Airlines,
Inc.,
7.25%,
2/15/28,
Callable
2/15/25
@
103.63(b)
81,100
195,000
American
Airlines,
Inc.,
8.50%,
5/15/29,
Callable
11/15/25
@
104.25(b)
205,481
286,581
Personal
Care
Products
(0.0%
):
125,000
BellRing
Brands,
Inc.,
7.00%,
3/15/30,
Callable
3/15/27
@
101.75(b)
128,750
Pharmaceuticals
(0.2%):
1,000,000
Bayer
US
Finance
II
LLC,
4.25%,
12/15/25,
Callable
10/15/25
@
100(b)
974,846
76,000
Elanco
Animal
Health,
Inc.,
6.65%,
8/28/28,
Callable
5/28/28
@
100
76,855
40,000
Viatris,
Inc.,
1.65%,
6/22/25,
Callable
5/22/25
@
100
38,043
1,406,000
Viatris,
Inc.,
2.70%,
6/22/30,
Callable
3/22/30
@
100
1,192,592
90,000
Viatris,
Inc.,
3.85%,
6/22/40,
Callable
12/22/39
@
100
66,202
2,348,538
Professional
Services
(0.0%
):
140,000
ASGN,
Inc.,
4.63%,
5/15/28,
Callable
5/6/24
@
102.31(b)
131,950
335,000
CoreLogic,
Inc.,
4.50%,
5/1/28,
Callable
5/6/24
@
102.25^(b)
299,825
120,000
TriNet
Group,
Inc.,
7.13%,
8/15/31,
Callable
8/15/26
@
103.56^(b)
123,150
554,925
Real
Estate
Management
&
Development
(0.3%):
371,000
American
Homes
4
Rent
LP,
3.63%,
4/15/32,
Callable
1/15/32
@
100
326,521
Principal
Amount
Value
Corporate
Bonds,
continued
Real
Estate
Management
&
Development,
continued
$
110,400
Anywhere
Real
Estate
Group
LLC/Anywhere
Co.-
Issuer
Corp.,
7.00%,
4/15/30,
Callable
4/15/25
@
102.63(b)
$
97,980
1,265,000
Brandywine
Operating
Partners
LP,
3.95%,
11/15/27,
Callable
8/15/27
@
100
1,133,010
1,039,000
Brandywine
Operating
Partnership
LP,
4.10%,
10/1/24,
Callable
7/1/24
@
100
1,027,311
719,000
Brandywine
Operating
Partnership
LP,
8.05%,
3/15/28,
Callable
2/15/28
@
100
726,256
62,000
Brandywine
Operating
Partnership
LP,
4.55%,
10/1/29,
Callable
7/1/29
@
100
53,165
210,000
CBRE
Services,
Inc.,
2.50%,
4/1/31,
Callable
1/1/31
@
100
173,891
68,000
COPT
Defense
Properties
LP,
2.25%,
3/15/26,
Callable
2/15/26
@
100
63,828
68,000
COPT
Defense
Properties
LP,
2.00%,
1/15/29,
Callable
11/15/28
@
100
56,962
93,000
COPT
Defense
Properties
LP,
2.75%,
4/15/31,
Callable
1/15/31
@
100
76,408
550,000
Invitation
Homes
Operating
Partnership
LP,
4.15%,
4/15/32,
Callable
1/15/32
@
100^
500,947
175,000
Kennedy-Wilson,
Inc.,
4.75%,
2/1/30,
Callable
9/1/24
@
102.38
139,125
300,000
Pine
Street
Trust
II,
5.57%,
2/15/49,
Callable
8/15/48
@
100(b)
279,106
7,000
Realogy
Group
LLC/Realogy
Co-Issuer
Corp.,
5.75%,
1/15/29,
Callable
4/22/24
@
102.88(b)
4,952
60,000
VICI
Properties
LP/VICI
Note
Co.,
Inc.,
3.50%,
2/15/25,
Callable
4/15/24
@
100(b)
58,650
25,000
VICI
Properties
LP/VICI
Note
Co.,
Inc.,
4.63%,
6/15/25,
Callable
3/15/25
@
100(b)
24,625
335,000
VICI
Properties
LP/VICI
Note
Co.,
Inc.,
4.25%,
12/1/26,
Callable
4/15/24
@
101.06(b)
321,181
5,063,918
Retail
REITs
(0.4%):
536,000
Boston
Properties
LP,
6.75%,
12/1/27,
Callable
11/1/27
@
100
555,667
355,000
Brixmor
Operating
Partnership
LP,
3.85%,
2/1/25,
Callable
11/1/24
@
100
349,057
15,000
Kite
Realty
Group
Trust,
4.75%,
9/15/30,
Callable
6/15/30
@
100
14,352
2,200,000
Tanger
Properties
LP,
3.13%,
9/1/26,
Callable
6/1/26
@
100
2,059,834
581,000
Tanger
Properties
LP,
2.75%,
9/1/31,
Callable
6/1/31
@
100
476,295
93,000
VICI
Properties
LP,
4.38%,
5/15/25
91,489
731,000
VICI
Properties
LP,
4.75%,
2/15/28,
Callable
1/15/28
@
100
710,897
1,082,000
VICI
Properties
LP,
4.95%,
2/15/30,
Callable
12/15/29
@
100
1,044,130
249,000
VICI
Properties
LP,
5.13%,
5/15/32,
Callable
2/15/32
@
100
237,484
5,539,205
Semiconductors
&
Semiconductor
Equipment
(0.4%):
65,000
Broadcom,
Inc.,
1.95%,
2/15/28,
Callable
12/15/27
@
100(b)
57,922
4,456,000
Broadcom,
Inc.,
2.45%,
2/15/31,
Callable
11/15/30
@
100(b)
3,754,835
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
117
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Semiconductors
&
Semiconductor
Equipment,
continued
$
564,000
Broadcom,
Inc.,
2.60%,
2/15/33,
Callable
11/15/32
@
100(b)
$
458,081
1,648,000
Broadcom,
Inc.,
3.50%,
2/15/41,
Callable
8/15/40
@
100(b)
1,267,975
310,000
Entegris,
Inc.,
4.38%,
4/15/28,
Callable
4/15/24
@
101.09(b)
291,400
50,000
ON
Semiconductor
Corp.,
3.88%,
9/1/28,
Callable
5/6/24
@
101.94(b)
45,812
285,000
Qorvo,
Inc.,
4.38%,
10/15/29,
Callable
10/15/24
@
102.19
266,119
6,142,144
Software
(0.3%):
465,000
AthenaHealth
Group,
Inc.,
6.50%,
2/15/30,
Callable
2/15/25
@
103.25(b)
424,312
600,000
Black
Knight
InfoServ
LLC,
3.63%,
9/1/28,
Callable
4/15/24
@
101.81(b)
567,000
15,000
Booz
Allen
Hamilton,
Inc.,
4.00%,
7/1/29,
Callable
7/1/24
@
102(b)
13,969
35,000
Boxer
Parent
Co.,
Inc.,
7.13%,
10/2/25,
Callable
5/6/24
@
101.78(b)
35,000
770,000
Cloud
Software
Group,
Inc.,
6.50%,
3/31/29,
Callable
9/30/25
@
103.25(b)
728,612
150,000
Fair
Isaac
Corp.,
4.00%,
6/15/28,
Callable
4/22/24
@
101(b)
140,250
205,000
Neptune
Bidco
US,
Inc.,
9.29%,
4/15/29,
Callable
10/15/25
@
104.65(b)
193,213
400,000
Oracle
Corp.,
2.30%,
3/25/28,
Callable
1/25/28
@
100
360,730
2,340,000
Oracle
Corp.,
2.88%,
3/25/31,
Callable
12/25/30
@
100
2,030,750
400,000
SS&C
Technologies,
Inc.,
5.50%,
9/30/27,
Callable
5/6/24
@
101.38(b)
390,000
150,000
UKG,
Inc.,
6.88%,
2/1/31,
Callable
2/1/27
@
103.44(b)
152,250
165,000
Veritas
US,
Inc./Veritas
Bermuda,
Ltd.,
7.50%,
9/1/25,
Callable
5/6/24
@
100(b)
150,975
5,187,061
Specialized
REITs
(0.0%
):
297,000
SBA
Tower
Trust,
2.84%,
1/15/25,
Callable
5/6/24
@
100(b)
290,061
97,000
SBA
Tower
Trust,
1.88%,
1/15/26,
Callable
1/15/25
@
100(b)
90,096
74,000
SBA
Tower
Trust,
2.33%,
1/15/28,
Callable
7/15/26
@
100(b)
65,127
99,000
VICI
Properties
LP,
5.75%,
4/1/34,
Callable
1/1/34
@
100
97,763
543,047
Specialty
Retail
(0.3%):
55,000
ACProducts
Holdings,
Inc.,
6.38%,
5/15/29,
Callable
5/15/24
@
103.19(b)
41,525
80,000
Asbury
Automotive
Group,
Inc.,
4.63%,
11/15/29,
Callable
11/15/24
@
102.31(b)
73,600
85,000
Asbury
Automotive
Group,
Inc.,
5.00%,
2/15/32,
Callable
11/15/26
@
102.5(b)
76,713
65,000
At
Home
Group,
Inc.,
4.88%,
7/15/28,
Callable
5/6/24
@
102.44(b)
29,575
32,000
AutoNation,
Inc.,
4.75%,
6/1/30,
Callable
3/1/30
@
100
30,719
Principal
Amount
Value
Corporate
Bonds,
continued
Specialty
Retail,
continued
$
49,000
AutoZone,
Inc.,
3.63%,
4/15/25,
Callable
3/15/25
@
100
$
48,011
1,229,000
AutoZone,
Inc.,
4.00%,
4/15/30,
Callable
1/15/30
@
100
1,162,909
565,000
Bath
&
Body
Works,
Inc.,
6.63%,
10/1/30,
Callable
10/1/25
@
103.31(b)
575,594
150,000
Carvana
Co.,
5.88%,
10/1/28,
Callable
4/15/24
@
104.41(b)
100,500
430,000
Carvana
Co.,
4.88%,
9/1/29,
Callable
9/1/24
@
102.44(b)
275,200
125,000
Carvana
Co.,
10.25%,
5/1/30,
Callable
5/1/27
@
105.13(b)
101,250
65,000
Foot
Locker,
Inc.,
4.00%,
10/1/29,
Callable
10/1/24
@
102^(b)
54,437
125,000
Gap,
Inc.
(The),
3.88%,
10/1/31,
Callable
10/1/26
@
101.94(b)
105,625
80,000
Lowe's
Cos.,
Inc.,
3.35%,
4/1/27,
Callable
3/1/27
@
100
76,391
1,138,000
Lowe's
Cos.,
Inc.,
4.45%,
4/1/62,
Callable
10/1/61
@
100
927,356
155,000
Michaels
Cos.,
Inc.
(The),
5.25%,
5/1/28,
Callable
4/15/24
@
102.63^(b)
131,750
240,000
Staples,
Inc.,
7.50%,
4/15/26,
Callable
5/6/24
@
100(b)
234,300
15,000
Upbound
Group,
Inc.,
6.38%,
2/15/29,
Callable
5/6/24
@
103.19(b)
14,475
25,000
Valvoline,
Inc.,
4.25%,
2/15/30,
Callable
2/15/25
@
102.13(b)
24,969
350,000
Valvoline,
Inc.,
3.63%,
6/15/31,
Callable
6/15/26
@
101.81(b)
300,125
85,000
Victoria's
Secret
&
Co.,
4.63%,
7/15/29,
Callable
7/15/24
@
102.31^(b)
69,487
4,454,511
Technology
Hardware,
Storage
&
Peripherals
(0.0%
):
500,000
CommScope,
Inc.,
4.75%,
9/1/29,
Callable
9/1/24
@
102.38(b)
356,250
55,000
Dell
International
LLC/EMC
Corp.,
5.85%,
7/15/25,
Callable
6/15/25
@
100
55,271
59,000
Dell
International
LLC/EMC
Corp.,
6.02%,
6/15/26,
Callable
3/15/26
@
100
59,773
101,000
Dell
International
LLC/EMC
Corp.,
6.10%,
7/15/27,
Callable
5/15/27
@
100
104,097
87,000
Dell
International
LLC/EMC
Corp.,
6.20%,
7/15/30,
Callable
4/15/30
@
100
91,731
667,122
Textiles,
Apparel
&
Luxury
Goods
(0.2%):
130,000
Crocs,
Inc.,
4.13%,
8/15/31,
Callable
8/15/26
@
102.06^(b)
112,288
40,000
Kontoor
Brands,
Inc.,
4.13%,
11/15/29,
Callable
11/15/24
@
102.06^(b)
35,950
45,000
Levi
Strauss
&
Co.,
3.50%,
3/1/31,
Callable
3/1/26
@
101.75(b)
39,262
108,000
Tapestry,
Inc.,
7.05%,
11/27/25
110,122
292,000
Tapestry,
Inc.,
7.00%,
11/27/26
300,524
467,000
Tapestry,
Inc.,
7.35%,
11/27/28,
Callable
10/27/28
@
100
490,704
522,000
Tapestry,
Inc.,
7.70%,
11/27/30,
Callable
9/27/30
@
100
555,928
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
118
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Textiles,
Apparel
&
Luxury
Goods,
continued
$
522,000
Tapestry,
Inc.,
7.85%,
11/27/33,
Callable
8/27/33
@
100
$
566,066
235,000
Wolverine
World
Wide,
Inc.,
4.00%,
8/15/29,
Callable
8/15/24
@
102(b)
188,000
2,398,844
Tobacco
(0.1%):
294,000
Altria
Group,
Inc.,
4.25%,
8/9/42
237,578
191,000
Altria
Group,
Inc.,
4.50%,
5/2/43
159,360
72,000
Altria
Group,
Inc.,
5.95%,
2/14/49,
Callable
8/14/48
@
100
73,017
175,000
BAT
Capital
Corp.,
6.42%,
8/2/33,
Callable
5/2/33
@
100
182,180
144,000
Reynolds
American,
Inc.,
4.45%,
6/12/25,
Callable
3/12/25
@
100
142,135
120,000
Reynolds
American,
Inc.,
5.70%,
8/15/35,
Callable
2/15/35
@
100
116,364
45,000
Turning
Point
Brands,
Inc.,
5.63%,
2/15/26,
Callable
4/15/24
@
101.41(b)
43,763
954,397
Trading
Companies
&
Distributors
(0.2%):
2,465,000
Air
Lease
Corp.,
3.38%,
7/1/25,
Callable
6/1/25
@
100
2,401,014
130,000
Beacon
Roofing
Supply,
Inc.,
6.50%,
8/1/30,
Callable
8/1/26
@
103.25(b)
131,788
175,000
Fortress
Transportation
and
Infrastructure
Investors
LLC,
7.88%,
12/1/30,
Callable
12/1/26
@
103.94(b)
183,531
30,000
Foundation
Building
Materials,
Inc.,
6.00%,
3/1/29,
Callable
5/6/24
@
103(b)
27,600
30,000
SRS
Distribution,
Inc.,
4.63%,
7/1/28,
Callable
7/1/24
@
102.31(b)
30,225
15,000
SRS
Distribution,
Inc.,
6.13%,
7/1/29,
Callable
7/1/24
@
103.06(b)
15,263
90,000
SRS
Distribution,
Inc.,
6.00%,
12/1/29,
Callable
12/1/24
@
103(b)
91,912
305,000
United
Rentals
North
America,
Inc.,
6.13%,
3/15/34,
Callable
3/15/29
@
103.06(b)
305,381
3,186,714
Wireless
Telecommunication
Services
(0.3%):
1,155,000
Sprint
Capital
Corp.,
8.75%,
3/15/32
1,396,106
2,860,000
T-Mobile
USA,
Inc.,
3.75%,
4/15/27,
Callable
2/15/27
@
100
2,756,096
40,000
T-Mobile
USA,
Inc.,
4.75%,
2/1/28,
Callable
4/15/24
@
101.58
39,500
45,000
T-Mobile
USA,
Inc.,
3.38%,
4/15/29,
Callable
4/15/24
@
101.69
41,542
430,000
T-Mobile
USA,
Inc.,
3.88%,
4/15/30,
Callable
1/15/30
@
100
402,958
4,636,202
Total
Corporate
Bonds
(Cost
$300,555,909)
276,843,038
Yankee
Debt
Obligations
(4.3%):
Aerospace
&
Defense
(0.1%):
28,000
Bombardier,
Inc.,
7.13%,
6/15/26,
Callable
5/6/24
@
103.56(b)
28,406
620,000
Bombardier,
Inc.,
6.00%,
2/15/28,
Callable
5/6/24
@
103^(b)
609,925
638,331
Principal
Amount
Value
Yankee
Debt
Obligations,
continued
Banks
(0.7%):
$
2,377,000
Barclays
plc,
5.09%
(US0003M+305
bps),
6/20/30,
Callable
6/20/29
@
100
$
2,284,323
200,000
Commonwealth
Bank
of
Australia,
3.61%,
9/12/34,
Callable
9/12/29
@
100(b)
179,809
1,000,000
HSBC
Holdings
plc,
4.95%,
3/31/30
994,154
200,000
Intesa
Sanpaolo
SpA,
5.02%,
6/26/24(b)
199,250
3,069,000
Intesa
Sanpaolo
SpA,
5.71%,
1/15/26(b)
3,044,577
680,000
Societe
Generale
SA,
1.04%
(H15T1Y+75
bps),
6/18/25,
Callable
6/18/24
@
100(b)
669,800
3,863,000
Societe
Generale
SA,
1.49%
(H15T1Y+110
bps),
12/14/26,
Callable
12/14/25
@
100(b)
3,587,062
239,000
UniCredit
SpA,
5.86%
(USISDA05+370
bps),
6/19/32,
Callable
6/19/27
@
100(b)
233,136
141,000
UniCredit
SpA,
7.30%
(USISDA05+491
bps),
4/2/34,
Callable
4/2/29
@
100(b)
144,687
186,000
Westpac
Banking
Corp.,
4.11%
(H15T5Y+200
bps),
7/24/34,
Callable
7/24/29
@
100
171,168
11,507,966
Biotechnology
(0.0%
):
60,000
Grifols
SA,
4.75%,
10/15/28,
Callable
10/15/24
@
102.38^(b)
49,650
Capital
Markets
(0.6%):
4,610,000
Deutsche
Bank
AG,
4.50%,
4/1/25
4,539,357
4,009,000
UBS
Group
AG,
2.59%
(SOFR+156
bps),
9/11/25,
Callable
9/11/24
@
100(b)
3,952,381
774,000
UBS
Group
AG,
1.49%
(H15T1Y+85
bps),
8/10/27,
Callable
8/10/26
@
100(b)
703,527
314,000
UBS
Group
AG,
4.19%
(SOFR+373
bps),
4/1/31,
Callable
4/1/30
@
100(b)
290,774
9,486,039
Chemicals
(0.2%):
225,000
Axalta
Coating
Systems
Dutch
Holding
B
B.V.,
7.25%,
2/15/31,
Callable
11/15/26
@
103.63(b)
233,156
125,000
Cerdia
Finanz
GmbH,
10.50%,
2/15/27,
Callable
5/6/24
@
105.25(b)
129,375
510,000
Methanex
Corp.,
5.13%,
10/15/27,
Callable
4/15/27
@
100
492,788
255,000
Methanex
Corp.,
5.65%,
12/1/44,
Callable
6/1/44
@
100
218,344
530,000
NOVA
Chemicals
Corp.,
5.25%,
6/1/27,
Callable
3/3/27
@
100(b)
496,875
60,000
NOVA
Chemicals
Corp.,
9.00%,
2/15/30,
Callable
8/15/26
@
104.5(b)
61,800
500,000
Nufarm
Australia,
Ltd./Nufarm
Americas,
Inc.,
5.00%,
1/27/30,
Callable
1/27/25
@
102.5(b)
457,500
125,000
SNF
Group
SACA,
3.13%,
3/15/27,
Callable
5/6/24
@
101.56(b)
115,156
2,204,994
Commercial
Services
&
Supplies
(0.0%
):
33,000
Allied
Universal
Holdco
LLC/Allied
Universal
Finance
Corp./Atlas
Luxco
4
Sarl,
4.63%,
6/1/28,
Callable
6/1/24
@
102.31(b)
30,030
85,000
GFL
Environmental,
Inc.,
6.75%,
1/15/31,
Callable
1/15/27
@
103.38(b)
87,019
117,049
Communications
Equipment
(0.0%
):
160,000
Nokia
Oyj,
6.63%,
5/15/39
154,800
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
119
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Yankee
Debt
Obligations,
continued
Containers
&
Packaging
(0.0%
):
$
15,000
Intelligent
Packaging,
Ltd.
Finco,
Inc./Intelligent
Packaging,
Ltd.
Co.-Issuer
LLC,
6.00%,
9/15/28,
Callable
5/6/24
@
101.5(b)
$
14,194
130,000
OI
European
Group
BV,
4.75%,
2/15/30,
Callable
11/15/24
@
102.38(b)
119,275
285,000
Trivium
Packaging
Finance
BV,
5.50%,
8/15/26,
Callable
5/6/24
@
101.38(b)
280,012
413,481
Diversified
Consumer
Services
(0.1%):
980,000
GEMS
MENASA
Cayman,
Ltd./GEMS
Education
Delaware
LLC,
7.13%,
7/31/26,
Callable
5/6/24
@
101.78(b)
980,000
Diversified
Telecommunication
Services
(0.2%):
365,000
Altice
France
Holding
SA,
6.00%,
2/15/28,
Callable
5/6/24
@
101.5(b)
100,375
470,000
Altice
France
SA,
5.13%,
1/15/29,
Callable
5/6/24
@
102.56(b)
314,900
155,000
Altice
France
SA,
5.13%,
7/15/29,
Callable
5/6/24
@
102.56(b)
103,850
711,000
C&W
Senior
Finance,
Ltd.,
6.88%,
9/15/27,
Callable
4/15/24
@
101.72(b)
671,006
250,000
Intelsat
Jackson
Holdings
SA,
6.50%,
3/15/30,
Callable
3/15/25
@
102(b)
232,700
550,000
Telecom
Italia
Capital
SA,
6.38%,
11/15/33
518,375
55,000
Telecom
Italia
Capital
SA,
6.00%,
9/30/34
50,188
780,000
Vmed
O2
UK
Financing
I
plc,
4.25%,
1/31/31,
Callable
1/31/26
@
102.13(b)
655,200
2,646,594
Electrical
Equipment
(0.0%
):
665,000
Sensata
Technologies
BV,
4.00%,
4/15/29,
Callable
5/6/24
@
102(b)
606,812
Energy
Equipment
&
Services
(0.0%
):
190,000
Valaris,
Ltd.,
8.38%,
4/30/30,
Callable
4/30/26
@
104.19(b)
195,225
Financial
Services
(0.6%):
54,000
1375209
BC,
Ltd.,
9.00%,
1/30/28,
Callable
4/15/24
@
101^(b)
52,920
361,000
AerCap
Ireland
Capital
DAC/AerCap
Global
Aviation
Trust,
1.65%,
10/29/24,
Callable
9/29/24
@
100
352,152
151,000
AerCap
Ireland
Capital
DAC/AerCap
Global
Aviation
Trust,
6.50%,
7/15/25,
Callable
6/15/25
@
100
152,498
163,000
AerCap
Ireland
Capital
DAC/AerCap
Global
Aviation
Trust,
4.45%,
4/3/26,
Callable
2/3/26
@
100
160,034
503,000
AerCap
Ireland
Capital
DAC/AerCap
Global
Aviation
Trust,
2.45%,
10/29/26,
Callable
9/29/26
@
100
466,838
3,068,000
AerCap
Ireland
Capital
DAC/AerCap
Global
Aviation
Trust,
6.45%,
4/15/27,
Callable
3/15/27
@
100(b)
3,139,567
527,000
AerCap
Ireland
Capital
DAC/AerCap
Global
Aviation
Trust,
3.00%,
10/29/28,
Callable
8/29/28
@
100
475,929
564,000
AerCap
Ireland
Capital
DAC/AerCap
Global
Aviation
Trust,
3.30%,
1/30/32,
Callable
10/30/31
@
100
483,940
445,000
Altice
Financing
SA,
5.00%,
1/15/28,
Callable
5/6/24
@
101.25(b)
366,013
2,000,000
Avolon
Holdings
Funding,
Ltd.,
2.88%,
2/15/25,
Callable
1/15/25
@
100(b)
1,943,954
767,000
Avolon
Holdings
Funding,
Ltd.,
6.38%,
5/4/28,
Callable
4/4/28
@
100(b)
780,748
Principal
Amount
Value
Yankee
Debt
Obligations,
continued
Financial
Services,
continued
$
300,000
GGAM
Finance,
Ltd.,
7.75%,
5/15/26,
Callable
11/15/25
@
100(b)
$
305,625
170,000
GGAM
Finance,
Ltd.,
8.00%,
2/15/27,
Callable
8/15/26
@
100(b)
175,100
150,000
GGAM
Finance,
Ltd.,
6.88%,
4/15/29,
Callable
4/15/26
@
103.44(b)
151,313
390,000
Imperial
Brands
Finance
plc,
6.13%,
7/27/27,
Callable
6/27/27
@
100(b)
397,821
40,000
Macquarie
Airfinance
Holdings,
Ltd.,
6.40%,
3/26/29,
Callable
2/26/29
@
100(b)
40,650
110,000
Macquarie
Airfinance
Holdings,
Ltd.,
8.13%,
3/30/29,
Callable
9/30/25
@
104.06(b)
116,325
20,000
NCL
Finance,
Ltd.,
6.13%,
3/15/28,
Callable
12/15/27
@
100(b)
19,750
9,581,177
Health
Care
Providers
&
Services
(0.0%
):
30,000
Jazz
Securities
DAC,
4.38%,
1/15/29,
Callable
7/15/24
@
102.19(b)
27,937
Hotels,
Restaurants
&
Leisure
(0.2%):
35,000
1011778
BC
ULC/New
Red
Finance,
Inc.,
5.75%,
4/15/25,
Callable
5/6/24
@
100(b)
34,912
525,000
1011778
BC
ULC/New
Red
Finance,
Inc.,
4.00%,
10/15/30,
Callable
10/15/25
@
102(b)
465,937
565,000
Carnival
Corp.,
7.63%,
3/1/26,
Callable
4/15/24
@
101.91^(b)
572,062
Carnival
Corp.,
7.00%,
8/15/29,
Callable
8/15/26
@
103.5(b)
Carnival
Corp.,
10.50%,
6/1/30,
Callable
6/1/25
@
105.25(b)
45,000
Melco
Resorts
Finance,
Ltd.,
5.75%,
7/21/28,
Callable
5/7/24
@
102.88(b)
42,469
40,000
Melco
Resorts
Finance,
Ltd.,
5.38%,
12/4/29,
Callable
12/4/24
@
102.69(b)
36,400
900,000
NCL
Corp.,
Ltd.,
5.88%,
3/15/26,
Callable
12/15/25
@
100(b)
887,625
170,000
NCL
Corp.,
Ltd.,
5.88%,
2/15/27,
Callable
4/15/24
@
102.94(b)
167,663
65,000
Ontario
Gaming
GTA
LP/OTG
Co.-Issuer,
Inc.,
8.00%,
8/1/30,
Callable
8/1/25
@
104(b)
66,869
310,000
Royal
Caribbean
Cruises,
Ltd.,
5.50%,
8/31/26,
Callable
2/28/26
@
100(b)
306,125
115,000
Royal
Caribbean
Cruises,
Ltd.,
5.38%,
7/15/27,
Callable
10/15/26
@
100(b)
112,988
95,000
Royal
Caribbean
Cruises,
Ltd.,
7.25%,
1/15/30,
Callable
12/15/25
@
103.63(b)
98,325
120,000
Royal
Caribbean
Cruises,
Ltd.,
6.25%,
3/15/32,
Callable
3/15/27
@
103.13(b)
120,900
115,000
Studio
City
Co.,
Ltd.,
7.00%,
2/15/27,
Callable
5/6/24
@
103.5(b)
114,569
240,000
Viking
Cruises,
Ltd.,
9.13%,
7/15/31,
Callable
7/15/26
@
104.56(b)
262,200
3,289,044
Insurance
(0.1%):
1,414,000
AIA
Group,
Ltd.,
3.38%,
4/7/30,
Callable
1/7/30
@
100(b)
1,298,370
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
120
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Yankee
Debt
Obligations,
continued
Insurance,
continued
$
200,000
Swiss
Re
Finance
Luxembourg
SA,
5.00%
(H15T5Y+358
bps),
4/2/49,
Callable
4/2/29
@
100(b)
$
193,937
1,492,307
Machinery
(0.0%
):
390,000
HTA
Group,
Ltd.,
7.00%,
12/18/25,
Callable
5/6/24
@
101.75(b)
388,050
Media
(0.1%):
430,000
Virgin
Media
Vendor
Financing
Notes
IV
DAC,
5.00%,
7/15/28,
Callable
5/6/24
@
102.5(b)
394,525
VZ
Secured
Financing
BV,
5.00%,
1/15/32,
Callable
1/15/27
@
–(b)
335,000
Ziggo
Bond
Co.
BV,
5.13%,
2/28/30,
Callable
2/15/25
@
102.56(b)
286,425
680,950
Metals
&
Mining
(0.1%):
45,000
Alcoa
Nederland
Holding
BV,
4.13%,
3/31/29,
Callable
4/19/24
@
102.06(b)
41,231
45,000
Alcoa
Nederland
Holding
BV,
7.13%,
3/15/31,
Callable
3/15/27
@
103.56(b)
45,844
695,000
ERO
Copper
Corp.,
6.50%,
2/15/30,
Callable
2/15/25
@
103.25(b)
659,381
35,000
First
Quantum
Minerals,
Ltd.,
6.88%,
10/15/27,
Callable
4/15/24
@
103.44(b)
33,469
5,000
FMG
Resources
August
2006
Pty,
Ltd.,
4.50%,
9/15/27,
Callable
6/15/27
@
100(b)
4,787
180,000
Mineral
Resources,
Ltd.,
8.00%,
11/1/27,
Callable
11/1/24
@
104(b)
183,600
110,000
Mineral
Resources,
Ltd.,
9.25%,
10/1/28,
Callable
10/1/25
@
104.63^(b)
115,638
1,083,950
Oil,
Gas
&
Consumable
Fuels
(0.9%):
160,000
Baytex
Energy
Corp.,
7.38%,
3/15/32,
Callable
3/15/27
@
103.69(b)
161,600
185,000
Consolidated
Energy
Finance
SA,
12.00%,
2/15/31,
Callable
2/15/27
@
106(b)
193,325
680,000
eG
Global
Finance
plc,
12.00%,
11/30/28,
Callable
5/30/26
@
106(b)
719,100
331,000
MEG
Energy
Corp.,
7.13%,
2/1/27,
Callable
5/6/24
@
101.78(b)
335,965
2,500,000
Petroleos
Mexicanos,
4.50%,
1/23/26
2,343,750
916,000
Petroleos
Mexicanos,
6.84%,
1/23/30,
Callable
10/23/29
@
100
803,790
4,780,000
Petroleos
Mexicanos,
5.95%,
1/28/31,
Callable
10/28/30
@
100
3,818,025
2,228,000
Petroleos
Mexicanos,
6.75%,
9/21/47
1,476,050
5,000,000
Petroleos
Mexicanos,
6.35%,
2/12/48
3,175,000
336,000
Petroleos
Mexicanos,
6.95%,
1/28/60,
Callable
7/28/59
@
100
221,340
255,000
Seadrill
Finance,
Ltd.,
8.38%,
8/1/30,
Callable
8/1/26
@
104.19(b)
265,200
45,000
Teine
Energy,
Ltd.,
6.88%,
4/15/29,
Callable
5/6/24
@
103.44(b)
43,594
273,375
Transocean
Poseidon,
Ltd.,
6.88%,
2/1/27,
Callable
5/7/24
@
101.72(b)
273,033
400,000
Transocean,
Inc.,
11.50%,
1/30/27,
Callable
4/15/24
@
105.75(b)
417,000
Principal
Amount
Value
Yankee
Debt
Obligations,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
$
153,000
Transocean,
Inc.,
8.75%,
2/15/30,
Callable
2/15/26
@
104.38(b)
$
159,120
14,405,892
Passenger
Airlines
(0.0%
):
240,000
VistaJet
Malta
Finance
plc/Vista
Management
Holding,
Inc.,
7.88%,
5/1/27,
Callable
5/6/24
@
103.94^(b)
203,100
215,000
VistaJet
Malta
Finance
plc/Vista
Management
Holding,
Inc.,
6.38%,
2/1/30,
Callable
2/1/25
@
103.19^(b)
157,756
360,856
Pharmaceuticals
(0.0%
):
570,000
Bausch
Health
Cos.,
Inc.,
5.50%,
11/1/25,
Callable
5/6/24
@
100(b)
535,800
97,000
Bausch
Health
Cos.,
Inc.,
11.00%,
9/30/28(b)
64,747
19,000
Bausch
Health
Cos.,
Inc.,
14.00%,
10/15/30,
Callable
10/15/25
@
106(b)
11,020
611,567
Software
(0.0%
):
205,000
Elastic
NV,
4.13%,
7/15/29,
Callable
7/15/24
@
102.06(b)
182,962
60,000
Open
Text
Corp.,
3.88%,
2/15/28,
Callable
5/6/24
@
100.97(b)
55,575
305,000
Open
Text
Corp.,
3.88%,
12/1/29,
Callable
12/1/24
@
101.94(b)
271,450
509,987
Sovereign
Bond
(0.3%):
300,000
Abu
Dhabi
Government
International
Bond,
3.88%,
4/16/50(b)
239,549
900,000
Dominican
Republic
International
Bond,
5.50%,
1/27/25(b)
893,250
3,150,000
Dominican
Republic
International
Bond,
6.00%,
7/19/28(b)
3,134,250
350,000
Qatar
Government
International
Bond,
4.40%,
4/16/50(b)
309,050
200,000
Saudi
Government
International
Bond,
3.25%,
10/22/30(b)
181,247
200,000
Saudi
Government
International
Bond,
4.50%,
4/22/60(b)
164,273
4,921,619
Technology
Hardware,
Storage
&
Peripherals
(0.0%
):
115,000
Seagate
HDD
Cayman,
8.25%,
12/15/29,
Callable
7/15/26
@
104.13(b)
123,481
Transportation
Infrastructure
(0.0%
):
355,000
Seaspan
Corp.,
5.50%,
8/1/29,
Callable
8/1/24
@
102.75(b)
307,519
Wireless
Telecommunication
Services
(0.1%):
450,000
Millicom
International
Cellular
SA,
6.25%,
3/25/29,
Callable
4/15/24
@
103.13(b)
437,625
295,000
Millicom
International
Cellular
SA,
4.50%,
4/27/31,
Callable
4/27/26
@
102.25(b)
252,962
690,587
Total
Yankee
Debt
Obligations
(Cost
$73,971,198)
67,475,864
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
121
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
U.S.
Government
Agency
Mortgages
(12.9%):
Federal
National
Mortgage
Association
(6.8%):
$
24,356
2.50%,
5/1/31,
Pool
#BC0919
$
22,857
34,653
2.50%,
8/1/31,
Pool
#BC2778
32,520
24,231
2.50%,
10/1/31,
Pool
#AS8010
22,635
155,469
2.50%,
1/1/32,
Pool
#BE3032
143,861
28,215
2.50%,
9/1/32,
Pool
#MA3124
26,427
14,531
3.00%,
3/1/33,
Pool
#BM4614
13,777
524,779
2.00%,
10/1/35,
Pool
#BK5705
469,187
469,907
1.50%,
1/1/36,
Pool
#MA4228
409,712
173,700
1.50%,
2/1/36,
Pool
#FM6507
151,624
187,873
1.50%,
4/1/36,
Pool
#MA4302
163,221
258,175
6.00%,
5/1/36,
Pool
#745512
268,717
314,099
2.00%,
6/1/36,
Pool
#BP3507
279,235
1,157,363
2.00%,
7/1/36,
Pool
#MA4383
1,028,899
47,719
2.50%,
9/1/36,
Pool
#MA4419
43,485
1,990,814
2.50%,
11/1/36,
Pool
#CB2246
1,831,357
379,002
2.50%,
12/1/36,
Pool
#MA4498
345,378
106,863
2.00%,
12/1/36,
Pool
#BU1384
95,182
2,296,763
2.00%,
2/1/37,
Pool
#FS0427
2,037,078
450,184
4.50%,
5/1/39,
Pool
#FM1194
451,715
36,731
2.50%,
3/1/40,
Pool
#FM2646
32,251
27,674
2.50%,
5/1/40,
Pool
#MA4016
24,299
160,151
2.00%,
10/1/40,
Pool
#FM4644
134,696
826,883
2.00%,
11/1/40,
Pool
#MA4176
700,394
149,380
2.50%,
11/1/40,
Pool
#FM9485
129,653
46,909
1.50%,
11/1/40,
Pool
#MA4175
37,933
47,061
1.50%,
12/1/40,
Pool
#MA4202
38,054
9,921
3.50%,
12/1/40,
Pool
#AH1556
9,193
16,843
2.00%,
12/1/40,
Pool
#MA4204
14,266
57,805
2.00%,
12/1/40,
Pool
#FM5042
48,798
49,346
1.50%,
1/1/41,
Pool
#MA4231
39,902
119,377
2.50%,
2/1/41,
Pool
#MA4269
104,208
50,668
1.50%,
2/1/41,
Pool
#MA4266
41,605
17,946
2.00%,
2/1/41,
Pool
#MA4268
15,051
18,436
2.00%,
3/1/41,
Pool
#MA4287
15,462
51,610
1.50%,
3/1/41,
Pool
#MA4286
42,377
110,560
2.50%,
4/1/41,
Pool
#MA4312
96,536
190,558
2.00%,
4/1/41,
Pool
#CB0116
160,138
19,104
2.00%,
4/1/41,
Pool
#MA4311
16,093
296,698
2.00%,
5/1/41,
Pool
#MA4333
249,928
46,340
2.50%,
5/1/41,
Pool
#CB0469
40,482
140,245
2.00%,
6/1/41,
Pool
#FM7891
117,857
19,681
2.00%,
6/1/41,
Pool
#MA4364
16,579
165,259
2.50%,
7/1/41,
Pool
#CB1076
144,375
74,819
2.50%,
7/1/41,
Pool
#CB2014
65,326
277,558
2.00%,
7/1/41,
Pool
#CB1071
238,799
130,094
2.00%,
7/1/41,
Pool
#FM8066
109,588
185,197
2.00%,
7/1/41,
Pool
#CB1069
155,108
168,118
2.00%,
8/1/41,
Pool
#CB1337
144,642
19,850
2.00%,
8/1/41,
Pool
#FM8410
16,720
276,800
2.50%,
8/1/41,
Pool
#CB1342
241,816
236,225
2.00%,
8/1/41,
Pool
#FM8393
198,996
173,026
2.00%,
8/1/41,
Pool
#FM8334
145,753
127,135
2.00%,
9/1/41,
Pool
#FM8862
107,172
135,459
2.50%,
9/1/41,
Pool
#FM8850
116,089
125,820
2.00%,
10/1/41,
Pool
#CB1837
108,247
73,569
2.00%,
10/1/41,
Pool
#BQ6615
61,972
269,390
2.00%,
10/1/41,
Pool
#FM9396
227,089
20,235
2.00%,
10/1/41,
Pool
#MA4446
17,046
155,654
2.50%,
10/1/41,
Pool
#CB1842
135,971
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
National
Mortgage
Association,
continued
$
296,781
2.00%,
11/1/41,
Pool
#FS0106
$
250,211
239,516
2.00%,
11/1/41,
Pool
#CB2110
206,063
106,653
2.50%,
11/1/41,
Pool
#MA4475
93,124
165,175
2.50%,
11/1/41,
Pool
#FM9558
141,554
341,209
2.00%,
11/1/41,
Pool
#BQ6743
287,410
75,889
2.00%,
11/1/41,
Pool
#BU6530
63,928
102,777
2.00%,
12/1/41,
Pool
#FM9851
88,426
198,614
2.00%,
12/1/41,
Pool
#BU7091
167,307
4,369,174
2.00%,
5/1/42,
Pool
#FS4603
3,696,913
396,478
4.50%,
9/1/42,
Pool
#MA4766
387,055
28,722
4.00%,
10/1/43,
Pool
#BM1167
27,621
211,191
4.50%,
3/1/44,
Pool
#AV0957
207,163
129,285
4.50%,
7/1/44,
Pool
#AS3062
125,529
146,355
4.50%,
12/1/44,
Pool
#AS4176
143,731
79,976
4.00%,
5/1/45,
Pool
#AZ1207
74,978
113,706
4.00%,
6/1/45,
Pool
#AY8096
106,600
35,737
4.00%,
6/1/45,
Pool
#AY8126
34,001
20,510
4.00%,
12/1/45,
Pool
#AS6352
19,515
6,825
4.50%,
1/1/46,
Pool
#AY3890
6,609
49,332
4.00%,
2/1/46,
Pool
#BC1578
46,442
53,689
4.50%,
3/1/46,
Pool
#BM4548
52,694
2,861
4.50%,
3/1/46,
Pool
#BC0287
2,776
19,022
4.00%,
4/1/46,
Pool
#AS7024
18,080
205,803
4.00%,
4/1/46,
Pool
#AL8468
197,657
75,122
3.00%,
5/1/46,
Pool
#BC0887
66,407
22,220
4.50%,
6/1/46,
Pool
#BD1238
21,536
141,644
4.00%,
6/1/46,
Pool
#AL9282
133,341
76,845
4.00%,
7/1/46,
Pool
#BC1443
72,831
87,358
4.00%,
9/1/46,
Pool
#BC2843
82,794
25,261
4.00%,
9/1/46,
Pool
#BD1489
23,781
38,176
4.50%,
10/1/46,
Pool
#BE1671
37,021
182,689
3.00%,
10/1/46,
Pool
#AL9371
160,254
12,299
4.00%,
10/1/46,
Pool
#BD7599
11,579
80,690
4.00%,
10/1/46,
Pool
#BC4754
76,475
227,376
3.00%,
11/1/46,
Pool
#AL9547
200,997
232,099
3.00%,
11/1/46,
Pool
#BC9026
205,171
48,585
4.50%,
11/1/46,
Pool
#BE2386
47,145
4,522
4.50%,
12/1/46,
Pool
#BC9079
4,388
97,447
4.50%,
12/1/46,
Pool
#BE4488
94,559
654,332
3.50%,
12/1/46,
Pool
#BM5096
600,596
214,891
3.50%,
12/1/46,
Pool
#BC9077
197,088
17,572
4.50%,
1/1/47,
Pool
#BE7087
17,067
28,111
4.50%,
1/1/47,
Pool
#BE6506
27,241
227,759
2.50%,
2/1/47,
Pool
#FS0594
188,920
301,361
4.00%,
2/1/47,
Pool
#AL9779
284,399
45,979
4.50%,
2/1/47,
Pool
#BE8498
44,477
84,595
3.00%,
3/1/47,
Pool
#BM3114
74,206
47,684
2.50%,
3/1/47,
Pool
#FS0976
39,662
39,856
4.00%,
5/1/47,
Pool
#BM1277
37,673
8,274
4.50%,
6/1/47,
Pool
#BE9387
8,037
12,414
4.50%,
6/1/47,
Pool
#BH0561
12,031
43,392
4.50%,
6/1/47,
Pool
#BE3663
42,146
5,044
4.00%,
6/1/47,
Pool
#BH4269
4,767
36,929
4.50%,
7/1/47,
Pool
#BE3749
35,869
21,819
4.00%,
7/1/47,
Pool
#AS9968
20,094
18,240
4.50%,
4/1/48,
Pool
#BJ5454
17,878
41,258
4.00%,
4/1/48,
Pool
#BM3700
38,999
5,920
4.50%,
5/1/48,
Pool
#BJ5507
5,803
215,498
4.50%,
10/1/48,
Pool
#CA2432
209,374
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
122
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
National
Mortgage
Association,
continued
$
257,021
4.50%,
12/1/48,
Pool
#CA2797
$
253,541
145,618
4.50%,
9/1/49,
Pool
#FM1534
141,346
206,846
4.00%,
11/1/49,
Pool
#CA4628
195,269
109,745
3.00%,
1/1/50,
Pool
#CA5019
95,756
595,540
3.50%,
1/1/50,
Pool
#FS3728
546,591
153,757
3.00%,
1/1/50,
Pool
#MA3905
134,376
447,143
4.00%,
3/1/50,
Pool
#FM3663
418,798
116,738
3.00%,
4/1/50,
Pool
#MA3991
101,236
115,433
2.00%,
7/1/50,
Pool
#CA6275
92,841
81,293
2.00%,
7/1/50,
Pool
#FM3897
65,250
525,877
3.00%,
8/1/50,
Pool
#FM6118
454,266
118,999
3.00%,
9/1/50,
Pool
#CA6998
102,795
45,493
3.00%,
9/1/50,
Pool
#FM4317
39,409
118,567
2.00%,
10/1/50,
Pool
#CA7323
96,407
140,225
2.50%,
10/1/50,
Pool
#CA7229
118,490
43,411
3.00%,
11/1/50,
Pool
#MA4184
37,782
80,116
2.00%,
11/1/50,
Pool
#CA7616
64,174
399,235
3.00%,
12/1/50,
Pool
#MA4211
347,467
131,280
3.00%,
12/1/50,
Pool
#FM7827
114,093
195,743
2.50%,
1/1/51,
Pool
#FM5651
164,415
222,429
3.00%,
1/1/51,
Pool
#MA4239
193,589
1,970,761
2.00%,
3/1/51,
Pool
#MA4281
1,562,825
4,143,122
3.00%,
4/1/51,
Pool
#BR9775
3,595,387
1,920,797
2.00%,
4/1/51,
Pool
#MA4305
1,523,166
954,192
2.50%,
4/1/51,
Pool
#FM6540
816,831
430,743
2.50%,
5/1/51,
Pool
#CB0388
358,887
201,508
2.50%,
5/1/51,
Pool
#CB0511
167,883
420,929
2.50%,
5/1/51,
Pool
#MA4326
350,103
790,069
2.00%,
5/1/51,
POOL#
FM7751
625,874
530,189
3.00%,
5/1/51,
Pool
#CB0531
460,114
1,194,329
3.00%,
6/1/51,
Pool
#CB0850
1,041,754
41,242
2.00%,
7/1/51,
Pool
#BQ1010
32,934
468,261
3.00%,
7/1/51,
Pool
#FM8077
406,349
739,769
2.50%,
7/1/51,
Pool
#CB0997
619,798
19,444
2.00%,
7/1/51,
Pool
#BT1461
15,600
458,257
2.50%,
8/1/51,
Pool
#CB1384
383,936
92,732
2.50%,
8/1/51,
Pool
#MA4399
77,131
334,041
2.50%,
9/1/51,
Pool
#CB1549
280,108
882,548
2.50%,
10/1/51,
Pool
#MA4438
734,059
42,053
3.00%,
10/1/51,
Pool
#CB1878
36,456
595,744
2.00%,
10/1/51,
Pool
#CB1801
477,959
450,177
2.00%,
10/1/51,
Pool
#CB1799
361,045
477,529
2.50%,
11/1/51,
Pool
#FM9517
396,887
1,111,981
2.50%,
11/1/51,
Pool
#MA4466
924,884
1,185,391
2.50%,
11/1/51,
Pool
#FM9501
993,949
756,960
2.00%,
11/1/51,
Pool
#FM9568
609,229
360,065
2.50%,
11/1/51,
Pool
#FM9505
301,708
478,075
2.00%,
11/1/51,
Pool
#FM9539
383,537
91,173
3.00%,
12/1/51,
Pool
#FM9777
78,906
321,402
2.50%,
12/1/51,
Pool
#CB2376
269,272
262,882
2.00%,
12/1/51,
Pool
#CB2347
211,574
365,740
2.50%,
12/1/51,
Pool
#CB2321
306,463
338,048
2.50%,
12/1/51,
Pool
#CB2320
283,467
817,392
2.50%,
12/1/51,
Pool
#CB2289
684,925
1,444,426
2.50%,
12/1/51,
Pool
#FM9865
1,211,211
391,904
3.00%,
12/1/51,
Pool
#BT9503
340,091
964,136
2.00%,
12/1/51,
Pool
#CB2349
773,463
260,214
2.00%,
12/1/51,
Pool
#CB2348
208,757
343,268
2.00%,
12/1/51,
Pool
#CB2350
274,130
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
National
Mortgage
Association,
continued
$
307,001
3.50%,
1/1/52,
Pool
#MA4514
$
277,289
85,993
3.50%,
1/1/52,
Pool
#CB2679
77,618
1,733,979
2.50%,
1/1/52,
Pool
#FS1648
1,437,624
635,401
2.00%,
1/1/52,
Pool
#FS0288
505,580
139,620
2.50%,
1/1/52,
Pool
#MA4512
116,128
248,942
3.00%,
1/1/52,
Pool
#CB2662
216,743
1,463,273
2.00%,
1/1/52,
Pool
#FS0286
1,173,889
279,761
3.50%,
2/1/52,
Pool
#CB2906
251,639
854,436
3.00%,
2/1/52,
Pool
#FS0631
744,958
198,803
2.00%,
2/1/52,
Pool
#CB2765
158,635
1,512,802
2.00%,
2/1/52,
Pool
#CB2842
1,204,913
178,586
3.50%,
2/1/52,
Pool
#CB2905
161,361
92,555
3.00%,
2/1/52,
Pool
#CB2886
80,351
396,388
3.50%,
3/1/52,
Pool
#CB3174
357,203
370,163
2.50%,
3/1/52,
Pool
#BV4139
309,706
470,593
3.50%,
3/1/52,
Pool
#CB3128
424,466
614,964
3.00%,
3/1/52,
Pool
#BV0350
532,836
27,694
2.50%,
4/1/52,
Pool
#CB3356
22,941
677,188
4.00%,
4/1/52,
Pool
#FS1647
633,575
1,494,000
4.50%,
8/1/52,
Pool
#CB4387
1,428,324
45,335
5.00%,
10/1/52,
Pool
#CB4893
44,606
370,734
5.50%,
10/1/52,
Pool
#CB4843
371,735
224,634
4.50%,
10/1/52,
Pool
#BX0507
214,308
264,204
5.00%,
11/1/52,
Pool
#FS3248
259,940
139,867
5.00%,
11/1/52,
Pool
#FS3295
138,792
458,551
5.00%,
11/1/52,
Pool
#CB5128
454,797
139,837
5.00%,
12/1/52,
Pool
#CB5273
137,331
327,213
5.00%,
12/1/52,
Pool
#MA4841
319,785
508,178
2.50%,
5/1/53,
Pool
#FS4919
420,872
290,216
6.00%,
6/1/53,
Pool
#CB6539
296,380
377,256
6.00%,
6/1/53,
Pool
#CB6538
386,914
752,585
5.50%,
6/1/53,
Pool
#CB6527
758,054
399,028
5.50%,
11/1/53,
Pool
#CB7436
397,254
1,551,347
5.50%,
4/1/54,
Pool
#CB8330
1,552,554
5,900,000
2.00%,
4/25/54,
TBA
4,667,453
1,100,000
5.50%,
4/25/54,
TBA
1,095,016
875,000
2.50%,
4/25/54,
TBA
724,062
650,000
5.00%,
4/25/54,
TBA
634,562
1,100,000
4.50%,
4/25/54,
TBA
1,047,922
6,650,000
3.50%,
4/25/54,
TBA
5,954,867
800,000
3.00%,
4/25/54,
TBA
689,000
6,000,000
6.50%,
4/25/54,
TBA
6,130,312
7,750,000
2.50%,
5/25/54,
TBA
6,421,602
6,400,000
3.00%,
5/25/54,
TBA
5,518,000
12,100,000
2.00%,
5/25/54,
TBA
9,587,359
106,085,123
Federal
Home
Loan
Mortgage
Corporation
(3.1%):
22,418
2.50%,
6/1/31,
Pool
#J34501
20,962
16,032
2.50%,
6/1/31,
Pool
#G18604
14,793
28,189
2.50%,
7/1/31,
Pool
#V61246
25,920
46,162
2.50%,
8/1/31,
Pool
#V61273
42,344
126,434
3.50%,
3/1/32,
Pool
#C91403
120,120
390,199
3.50%,
7/1/32,
Pool
#C91467
370,704
100,664
2.50%,
12/1/32,
Pool
#G18669
94,091
23,029
2.50%,
3/1/33,
Pool
#G18680
21,400
91,103
3.00%,
4/1/33,
Pool
#G18684
85,895
29,274
3.00%,
5/1/33,
Pool
#G16550
27,490
76,257
2.50%,
7/1/33,
Pool
#G16661
69,987
21,750
3.00%,
4/1/34,
Pool
#G16829
20,860
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
123
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
Home
Loan
Mortgage
Corporation,
continued
$
114,938
3.50%,
10/1/34,
Pool
#C91793
$
108,222
380,500
3.00%,
5/1/35,
Pool
#SB0836
356,146
2,725,482
2.00%,
6/1/35,
Pool
#QN2416
2,436,772
424,353
1.50%,
8/1/35,
Pool
#SB8066
370,010
494,631
1.50%,
11/1/35,
Pool
#SB8073
431,285
463,926
1.50%,
1/1/36,
Pool
#SB8083
404,502
875,828
1.50%,
2/1/36,
Pool
#RC1756
763,056
594,024
2.00%,
5/1/36,
Pool
#QN6400
528,082
1,080,121
2.00%,
6/1/36,
Pool
#SB8107
960,220
2,908,086
2.50%,
7/1/36,
Pool
#SB0535
2,654,623
402,634
1.50%,
12/1/36,
Pool
#SB8131
349,791
827,610
2.50%,
3/1/37,
Pool
#RC2527
756,651
321,891
4.00%,
5/1/37,
Pool
#C91938
310,897
23,934
2.50%,
6/1/40,
Pool
#QK0306
21,286
146,412
4.00%,
11/1/40,
Pool
#A95150
139,255
30,610
1.50%,
12/1/40,
Pool
#RB5089
24,751
50,828
1.50%,
2/1/41,
Pool
#RB5099
41,736
51,454
1.50%,
3/1/41,
Pool
#RB5104
42,250
462,480
2.00%,
3/1/41,
Pool
#SC0136
388,023
18,847
2.00%,
4/1/41,
Pool
#RB5108
15,877
51,282
1.50%,
4/1/41,
Pool
#RB5107
41,467
19,582
2.00%,
7/1/41,
Pool
#RB5118
16,496
682,887
2.00%,
7/1/41,
Pool
#SC0162
571,978
20,461
2.00%,
10/1/41,
Pool
#RB5131
17,236
84,162
2.50%,
10/1/41,
Pool
#RB5132
73,486
318,422
2.00%,
11/1/41,
Pool
#RB5135
268,230
151,581
2.00%,
11/1/41,
Pool
#QK1180
127,684
160,960
2.50%,
1/1/42,
Pool
#RB5142
140,535
171,515
3.50%,
7/1/42,
Pool
#ZA1228
159,504
76,397
3.50%,
7/1/42,
Pool
#ZA1231
71,047
224,074
3.50%,
9/1/42,
Pool
#ZL3774
200,684
219,850
4.50%,
10/1/42,
Pool
#RB5189
214,625
67,918
3.50%,
11/1/42,
Pool
#ZL4397
63,160
133,569
4.50%,
12/1/42,
Pool
#RB5198
130,393
410,859
3.50%,
1/1/44,
Pool
#G07922
376,621
208,395
3.50%,
1/1/44,
Pool
#G60271
194,535
53,066
4.00%,
2/1/45,
Pool
#G07949
52,015
49,155
3.50%,
11/1/45,
Pool
#Q37467
45,536
5,753
4.00%,
4/1/46,
Pool
#Q39975
5,540
12,673
4.00%,
4/1/46,
Pool
#V82292
12,187
98,832
3.50%,
9/1/46,
Pool
#Q43257
90,825
4,443
4.50%,
12/1/46,
Pool
#Q45028
4,375
155,920
3.00%,
12/1/46,
Pool
#G60989
138,360
4,596
4.50%,
1/1/47,
Pool
#Q45635
4,525
8,468
4.50%,
2/1/47,
Pool
#Q46222
8,273
432,804
2.50%,
4/1/47,
Pool
#SD0978
359,943
8,053
4.50%,
5/1/47,
Pool
#Q47942
7,867
15,957
4.50%,
5/1/47,
Pool
#Q47935
15,589
23,444
4.50%,
5/1/47,
Pool
#Q48095
22,903
32,175
4.50%,
6/1/47,
Pool
#Q48759
31,433
194,814
4.00%,
6/1/47,
Pool
#Q48877
184,824
14,165
4.50%,
7/1/47,
Pool
#Q49393
13,838
71,872
4.50%,
12/1/47,
Pool
#Q53017
70,119
24,532
4.00%,
2/1/48,
Pool
#G61343
23,286
11,311
4.00%,
2/1/48,
Pool
#Q54499
10,717
19,875
4.50%,
4/1/48,
Pool
#Q55724
19,557
46,532
4.50%,
4/1/48,
Pool
#Q55660
45,789
12,868
4.50%,
4/1/48,
Pool
#Q55500
12,663
26,165
4.50%,
5/1/48,
Pool
#Q55839
25,747
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
Home
Loan
Mortgage
Corporation,
continued
$
86,533
4.00%,
5/1/48,
Pool
#Q55992
$
81,830
127,637
4.00%,
6/1/48,
Pool
#G67713
121,872
41,594
4.00%,
7/1/48,
Pool
#Q59935
40,050
21,694
4.50%,
10/1/48,
Pool
#G67716
21,158
132,061
3.00%,
6/1/49,
Pool
#ZT2090
115,419
622,793
4.50%,
7/1/49,
Pool
#RA1171
605,102
131,976
3.00%,
4/1/50,
Pool
#QA9049
115,106
311,049
2.00%,
6/1/50,
Pool
#RA2677
249,648
289,714
2.50%,
8/1/50,
Pool
#SD0430
243,853
394,696
2.50%,
11/1/50,
Pool
#SD7530
332,462
28,462
3.00%,
11/1/50,
Pool
#SD8108
24,771
240,261
3.00%,
12/1/50,
Pool
#SD8115
209,106
340,570
2.50%,
2/1/51,
Pool
#RA4575
285,230
1,997,951
2.50%,
2/1/51,
Pool
#SD7535
1,688,503
322,194
2.50%,
3/1/51,
Pool
#RA4749
269,836
4,630,048
1.50%,
4/1/51,
Pool
#SD8139
3,498,762
1,208,731
2.00%,
5/1/51,
Pool
#SD7541
972,125
1,951,669
2.50%,
5/1/51,
Pool
#SD7540
1,634,185
42,208
2.00%,
5/1/51,
Pool
#QC1514
33,862
71,713
3.00%,
5/1/51,
Pool
#RA5267
62,235
24,276
2.00%,
7/1/51,
Pool
#QC4163
19,476
1,699,797
2.50%,
7/1/51,
Pool
#SD3095
1,408,102
320,867
2.50%,
7/1/51,
Pool
#RA5574
268,275
82,271
3.00%,
9/1/51,
Pool
#RA5901
71,396
378,637
3.00%,
9/1/51,
Pool
#QC6608
328,210
424,636
3.00%,
9/1/51,
Pool
#QC7496
368,492
408,484
3.00%,
10/1/51,
Pool
#QC9077
354,483
626,149
2.00%,
10/1/51,
Pool
#RA6076
500,797
95,061
3.00%,
11/1/51,
Pool
#RA6347
82,502
383,910
2.00%,
11/1/51,
Pool
#RA6302
305,591
431,367
3.00%,
11/1/51,
Pool
#QD1240
374,327
1,126,583
2.00%,
11/1/51,
Pool
#RA6241
901,007
1,967,756
2.50%,
12/1/51,
Pool
#RA6435
1,643,711
139,213
2.50%,
12/1/51,
Pool
#SD8183
115,788
438,844
2.00%,
12/1/51,
Pool
#RA6510
352,064
592,989
2.50%,
12/1/51,
Pool
#RA6434
496,889
410,962
3.00%,
12/1/51,
Pool
#QD3200
356,619
242,053
3.00%,
1/1/52,
Pool
#QD5561
208,867
367,859
3.00%,
1/1/52,
Pool
#RA6604
319,242
742,879
2.50%,
1/1/52,
Pool
#RA6622
620,756
162,816
3.50%,
2/1/52,
Pool
#RA6799
146,575
98,572
3.50%,
2/1/52,
Pool
#RA6700
88,970
945,432
2.00%,
2/1/52,
Pool
#SD8193
749,194
976,226
2.00%,
2/1/52,
Pool
#RA6823
781,374
957,146
2.00%,
2/1/52,
Pool
#RA6824
766,324
113,714
2.00%,
3/1/52,
Pool
#SD8199
90,157
2,220,240
3.00%,
3/1/52,
Pool
#RA6988
1,923,493
1,131,319
3.50%,
3/1/52,
Pool
#RA6987
1,020,695
659,935
3.50%,
3/1/52,
Pool
#RA6950
596,227
232,280
3.00%,
3/1/52,
Pool
#SD2219
201,641
625,841
3.50%,
3/1/52,
Pool
#RA6949
564,459
177,199
3.50%,
4/1/52,
Pool
#SD0927
161,661
299,346
3.00%,
5/1/52,
Pool
#RA7375
259,319
179,764
5.00%,
9/1/52,
Pool
#SD1572
176,860
740,924
4.00%,
10/1/52,
Pool
#SD1772
694,431
281,202
5.00%,
11/1/52,
Pool
#SD1862
277,355
638,948
5.00%,
12/1/52,
Pool
#SD1924
627,537
1,909,286
5.50%,
5/1/53,
Pool
#RA9058
1,928,315
204,872
6.00%,
6/1/53,
Pool
#RA9277
209,223
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
124
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
Home
Loan
Mortgage
Corporation,
continued
$
233,123
6.00%,
6/1/53,
Pool
#RA9276
$
239,096
954,335
5.50%,
6/1/53,
Pool
#RA9161
961,267
202,040
6.00%,
6/1/53,
Pool
#RA9278
206,179
799,183
5.50%,
3/1/54,
Pool
#RJ1067
796,704
49,060,358
Government
National
Mortgage
Association
(3.0%):
15,015
4.00%,
10/20/40,
Pool
#4833
14,365
45,174
4.00%,
1/20/41,
Pool
#4922
43,220
49,032
4.00%,
8/15/41,
Pool
#430354
46,499
519,087
4.00%,
1/20/42,
Pool
#5280
498,686
71,297
4.00%,
11/20/42,
Pool
#MA0535
68,527
169,469
3.00%,
12/20/42,
Pool
#AA5872
150,372
111,735
3.00%,
3/20/43,
Pool
#AA6146
100,624
20,819
3.50%,
3/20/43,
Pool
#AD8884
19,314
47,970
3.00%,
3/20/43,
Pool
#AD8812
43,020
8,148
3.50%,
4/20/43,
Pool
#AB9891
7,559
21,836
3.50%,
4/20/43,
Pool
#AD9075
20,257
44,442
4.00%,
5/20/46,
Pool
#MA3664
42,626
224,281
3.00%,
12/20/46,
Pool
#MA4126
201,547
35,823
4.00%,
1/15/47,
Pool
#AX5831
33,961
40,949
4.00%,
1/15/47,
Pool
#AX5857
39,200
317,539
3.00%,
1/20/47,
Pool
#MA4195
285,352
132,275
4.00%,
3/20/47,
Pool
#MA4322
126,066
22,468
4.00%,
4/20/47,
Pool
#MA4383
21,414
73,777
4.00%,
4/20/47,
Pool
#784303
70,261
74,535
4.00%,
4/20/47,
Pool
#784304
70,984
15,834
3.50%,
2/20/48,
Pool
#MA5019
14,498
13,360
4.00%,
4/20/48,
Pool
#BG7744
12,687
12,044
4.00%,
4/20/48,
Pool
#BG3507
11,437
2,639
3.50%,
12/20/49,
Pool
#BR8987
2,440
6,833
3.50%,
12/20/49,
Pool
#BR8985
6,276
2,720
3.50%,
12/20/49,
Pool
#BR8984
2,485
545,456
2.00%,
11/20/50,
Pool
#MA6994
448,053
600,099
2.00%,
12/20/50,
Pool
#MA7051
491,729
955,252
2.00%,
1/20/51,
Pool
#MA7135
784,344
1,665,168
2.00%,
2/20/51,
Pool
#MA7192
1,366,981
1,018,662
2.50%,
7/20/51,
Pool
#MA7472
869,405
193,612
2.50%,
8/20/51,
Pool
#785575
163,224
170,739
2.50%,
9/20/51,
Pool
#785616
143,922
838,087
2.50%,
9/20/51,
Pool
#MA7589
714,913
230,615
2.50%,
12/20/51,
Pool
#785792
194,412
62,637
2.50%,
12/20/51,
Pool
#MA7767
53,410
1,243,045
4.00%,
10/20/52,
Pool
#MA8346
1,163,500
3,170,914
4.50%,
4/20/53,
Pool
#MA8799
3,047,813
6,050,000
2.00%,
4/20/54,
TBA
4,956,273
3,725,000
3.00%,
4/20/54,
TBA
3,287,895
5,100,000
3.50%,
4/20/54,
TBA
4,643,391
800,000
5.00%,
4/20/54,
TBA
786,500
600,000
5.50%,
4/20/54,
TBA
599,719
2,475,000
2.50%,
4/20/54,
TBA
2,109,551
1,200,000
6.50%,
4/20/54,
TBA
1,220,062
1,000,000
6.50%,
5/20/54,
TBA
1,015,625
8,200,000
2.00%,
5/20/54,
TBA
6,725,281
3,400,000
3.00%,
5/20/54,
TBA
3,003,156
5,500,000
2.50%,
5/20/54,
TBA
4,692,188
1,300,000
5.50%,
5/20/54,
TBA
1,298,578
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Government
National
Mortgage
Association,
continued
$
1,600,000
5.00%,
5/20/54,
TBA
$
1,572,750
47,306,352
Total
U.S.
Government
Agency
Mortgages
(Cost
$213,357,798)
202,451,833
U.S.
Treasury
Obligations
(19.9%):
U.S.
Treasury
Bonds
(6.3%):
32,428,000
1.75%,
8/15/41
21,909,167
3,796,700
3.38%,
8/15/42
3,284,145
1,605,300
3.00%,
2/15/47
1,264,425
34,653,000
2.00%,
8/15/51
21,511,933
6,906,000
1.88%,
11/15/51
4,145,758
7,300,000
2.25%,
2/15/52
4,811,156
3,500,000
2.88%,
5/15/52
2,653,438
15,000,000
3.63%,
2/15/53
13,195,313
27,993,000
4.13%,
8/15/53
26,956,384
99,731,719
U.S.
Treasury
Notes
(13.6%):
6,472,000
1.25%,
12/31/26
5,943,116
5,255,200
1.25%,
5/31/28
4,651,673
17,310,000
1.25%,
9/30/28
15,197,639
26,000,000
4.00%,
2/28/30
25,703,438
2,800,000
3.63%,
3/31/30
2,712,500
19,600,000
3.75%,
5/31/30
19,100,812
9,500,000
4.88%,
10/31/30
9,853,281
14,200,000
4.38%,
11/30/30
14,328,688
11,400,000
4.00%,
1/31/31
11,259,281
25,300,000
4.25%,
2/28/31
25,363,250
19,672,000
2.88%,
5/15/32
17,876,930
8,600,000
4.13%,
11/15/32
8,548,938
32,000,000
3.50%,
2/15/33
30,335,000
12,800,000
3.38%,
5/15/33
12,004,000
3,276,000
3.88%,
8/15/33
3,193,076
7,400,000
4.00%,
2/15/34
7,284,375
213,355,997
Total
U.S.
Treasury
Obligations
(Cost
$352,207,594)
313,087,716
Shares
Unaffiliated
Investment
Companies
(2.9%):
Money
Markets
(2.9%):
8,615,041
BlackRock
Liquidity
FedFund,
Institutional
Class,
5.07%(e)(f)
8,615,041
36,183,904
Dreyfus
Treasury
Securities
Cash
Management
Fund,
Institutional
Shares,
5.19%(f)
36,183,904
Total
Unaffiliated
Investment
Companies
(Cost
$44,798,945)
44,798,945
Total
Investment
Securities
(Cost
$1,582,580,834)
105.3%
1,654,627,619
Net
other
assets
(liabilities)
(5.3)%
(83,730,987)
Net
Assets
100.0%
$
1,570,896,632
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
125
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Percentages
indicated
are
based
on
net
assets
as
of
March
31,
2024
CVR—Contingency
Valued
Rights
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
TSFR1M—Term
Secured
Overnight
Financing
Rate
1
Month
TSFR3M—Term
Secured
Overnight
Financing
Rate
3
Month
TBA—To
Be
Announced
Security
US0003M—3
Month
US
Dollar
LIBOR
USISDA05—5
Year
ICE
Swap
Rate
*
Non-income
producing
security.
Represents
less
than
0.05%.
^
This
security
or
a
partial
position
of
this
security
was
on
loan
as
of
March
31,
2024.
The
total
value
of
securities
on
loan
as
of
March
31,
2024
was
$8,236,282.
(a)
Security
was
valued
using
significant
unobservable
inputs
as
of
March
31,
2024.
(b)
Rule
144A,
Section
4(2)
or
other
security
which
is
restricted
to
resale
to
institutional
investors.
(c)
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
March
31,
2024.
(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
March
31,
2024.
(f)
The
rate
represents
the
effective
yield
at
March
31,
2024.
Amounts
shown
as
“—“
are
either
$0
or
round
to
less
than
$1.
Futures
Contracts
At
March
31,
2024,
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
June
Futures
(U.S.
Dollar)
6/21/24
5
$
1,327,125‌
$
22,512‌
$
22,512‌
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
126
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks
(0.3%):
Diversified
Telecommunication
Services
(0.0%
):
13
Intelsat
SA
$
338
Oil,
Gas
&
Consumable
Fuels
(0.3%):
22
Amplify
Energy
Corp.*
145
5,889
Sanchez
Energy
Corp.*(a)
480,395
480,540
Total
Common
Stocks
(Cost
$142,407)
480,878
Contracts
Warrant
(0.0%
):
Oil,
Gas
&
Consumable
Fuels
(0.0%
):
95
California
Resources
Corp.,
10/27/24*
1,858
Total
Warrant
(Cost
$—)
1,858
Principal
Amount
Asset
Backed
Securities
(2.1%):
$
48,886
Aaset
Trust,
Class
A,
Series
2019-1,
3.84%,
5/15/39(b)
42,040
138,939
Aaset
Trust,
Class
B,
Series
2020-1A,
4.34%,
1/16/40(b)
85,327
103,183
Aaset
Trust,
Class
A,
Series
2020-1A,
3.35%,
1/16/40(b)
91,664
178,523
AASET
US,
Ltd.,
Class
A,
Series
2018-1A,
3.84%,
1/16/38(b)
126,305
345,099
Blackbird
Capital
Aircraft
Lease
Securitization,
Ltd.,
Class
A,
Series
2016-1A,
4.21%,
12/16/41,
Callable
12/15/24
@
100(b)(c)
339,986
104,545
Castlelake
Aircraft
Securitization
Trust,
Class
A,
Series
2018-1,
4.13%,
6/15/43(b)
97,462
93,112
Castlelake
Aircraft
Structured
Trust,
Class
A,
Series
2021-1A,
3.47%,
1/15/46(b)
87,789
186,315
Castlelake
Aircraft
Structured
Trust,
Class
B,
Series
2019-1A,
5.10%,
4/15/39(b)
126,212
514,576
CF
Hippolyta
Issuer
LLC,
Class
A1,
Series
2021-1A,
1.53%,
3/15/61,
Callable
4/15/24
@
100(b)
463,791
171,013
Horizon
Aircraft
Finance
I,
Ltd.,
Class
A,
Series
2018-1,
4.46%,
12/15/38(b)
150,243
168,184
Horizon
Aircraft
Finance
II,
Ltd.,
Class
A,
Series
2019-1,
3.72%,
7/15/39(b)
148,573
248,920
Planet
Fitness
Master
Issuer
LLC,
Class
A2I,
Series
2022-1A,
3.25%,
12/5/51,
Callable
12/5/24
@
100(b)
232,460
212,660
Planet
Fitness
Master
Issuer
LLC,
Class
A2II,
Series
2022-1A,
4.01%,
12/5/51,
Callable
12/5/27
@
100(b)
188,043
322,678
Planet
Fitness
Master
Issuer
LLC,
Class
A2,
Series
2019-1A,
3.86%,
12/5/49,
Callable
12/5/25
@
100(b)
292,528
282,731
Project
Silver,
Class
A,
Series
2019-1,
3.97%,
7/15/44(b)
242,962
190,852
SAPPHIRE
AVIATION
FINANCE
II,
LTD.,
Class
B,
Series
2020-1A,
4.34%,
3/15/40(b)
144,614
373,491
Thunderbolt
II
Aircraft
Lease,
Ltd.,
Class
A,
Series
2018-A,
4.15%,
9/15/38(b)(c)
305,889
Total
Asset
Backed
Securities
(Cost
$3,679,613)
3,165,888
Principal
Amount
Value
Collateralized
Mortgage
Obligations
(11.2%):
$
273,000
Allegro
CLO
XIII,
Ltd.,
Class
A,
Series
2021-1A,
6.72%(TSFR3M+140bps),
7/20/34,
Callable
4/20/24
@
100(b)
$
273,255
254,000
Allegro
CLO
XV,
Ltd.,
Class
A,
Series
2022-1A,
6.82%(TSFR3M+150bps),
7/20/35,
Callable
7/20/24
@
100(b)
254,167
408,000
Ares
LVIII
CLO,
Ltd.,
Class
AR,
Series
2020-58A,
6.64%(TSFR3M+133bps),
1/15/35,
Callable
4/15/24
@
100(b)
407,755
273,000
BAMLL
Commercial
Mortgage
Securities
Trust,
Class
ANM,
Series
2019-BPR,
3.11%,
11/5/32(b)
245,853
100,000
BAMLL
Commercial
Mortgage
Securities
Trust,
Class
C,
Series
2022-DKLX,
7.48%(TSFR1M+215bps),
1/15/39(b)
96,985
227,000
BAMLL
Commercial
Mortgage
Securities
Trust,
Class
A,
Series
2022-DKLX,
6.48%(TSFR1M+115bps),
1/15/39(b)
224,992
100,000
BAMLL
Commercial
Mortgage
Securities
Trust,
Class
BNM,
Series
2019-BPR,
3.47%,
11/5/32(b)
83,395
100,000
BLP
Commercial
Mortgage
Trust,
Class
A,
Series
2024-IND2,
6.67%(TSFR1M+134bps),
3/15/41(b)
100,031
197,000
BPR
Trust,
Class
B,
Series
2022-OANA,
7.77%(TSFR1M+245bps),
4/15/37(b)
197,254
185,000
BX
Commercial
Mortgage
Trust,
Class
D,
Series
2019-IMC,
7.27%(TSFR1M+195bps),
4/15/34(b)
184,707
316,000
BX
Commercial
Mortgage
Trust,
Class
A,
Series
2024-XL5,
6.69%(TSFR1M+139bps),
3/15/39(b)
316,159
176,000
BX
Commercial
Mortgage
Trust,
Class
C,
Series
2019-IMC,
6.97%(TSFR1M+165bps),
4/15/34(b)
175,769
100,000
BX
Commercial
Mortgage
Trust,
Class
A,
Series
2023-XL3,
7.09%(TSFR1M+176bps),
12/9/40(b)
100,546
100,000
BX
Commercial
Mortgage
Trust,
Class
C,
Series
2023-XL3,
7.97%(TSFR1M+264bps),
12/9/40(b)
100
,776
100,000
BX
Commercial
Mortgage
Trust,
Class
B,
Series
2023-XL3,
7.52%(TSFR1M+219bps),
12/9/40(b)
100,787
266,000
BX
Commercial
Mortgage
Trust,
Class
B,
Series
2019-IMC,
6.67%(TSFR1M+135bps),
4/15/34(b)
265,723
100,000
BX
Commercial
Mortgage
Trust,
Class
B,
Series
2024-XL5,
6.99%(TSFR1M+169bps),
3/15/39(b)
99,937
139,000
BX
Commercial
Mortgage
Trust,
Class
A,
Series
2024-XL4,
6.77%(TSFR1M+144bps),
2/15/39(b)
139,011
100,000
BX
Commercial
Mortgage
Trust,
Class
C,
Series
2024-XL5,
7.24%(TSFR1M+194bps),
3/15/39(b)
99,875
400,000
BX
Commercial
Mortgage
Trust,
Class
A,
Series
2019-IMC,
6.37%(TSFR1M+105bps),
4/15/34(b)
399,647
139,279
BX
Commercial
Mortgage
Trust,
Class
D,
Series
2022-LP2,
7.29%(TSFR1M+196bps),
2/15/39(b)
137,373
139,279
BX
Commercial
Mortgage
Trust,
Class
C,
Series
2022-LP2,
6.89%(TSFR1M+156bps),
2/15/39(b)
137,622
139,279
BX
Commercial
Mortgage
Trust,
Class
B,
Series
2022-LP2,
6.64%(TSFR1M+131bps),
2/15/39(b)
137,876
100,000
BX
Commercial
Mortgage
Trust,
Class
B,
Series
2024-XL4,
7.12%(TSFR1M+179bps),
2/15/39(b)
99,877
100,000
BX
Mortgage
Trust,
Class
D,
Series
2021-PAC,
6.74%(TSFR1M+141bps),
10/15/36(b)
97,607
302,000
BX
Mortgage
Trust,
Class
E,
Series
2021-PAC,
7.39%(TSFR1M+206bps),
10/15/36(b)
296,571
100,000
BX
Mortgage
Trust,
Class
C,
Series
2021-PAC,
6.54%(TSFR1M+121bps),
10/15/36(b)
98,279
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
127
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Collateralized
Mortgage
Obligations,
continued
$
100,000
BX
Trust,
Class
C,
Series
2024-CNYN,
7.24%(TSFR1M+194bps),
4/15/29(b)
$
99,875
200,000
BX
Trust,
Class
A,
Series
2024-CNYN,
6.74%(TSFR1M+144bps),
4/15/29(b)
200,000
35,213
BX
Trust,
Class
C,
Series
2022-IND,
7.62%(TSFR1M+229bps),
4/15/24(b)
35,232
100,000
BX
Trust,
Class
B,
Series
2024-CNYN,
6.99%(TSFR1M+169bps),
4/15/29(b)
99,875
29,855
BX
Trust,
Class
D,
Series
2022-IND,
8.16%(TSFR1M+284bps),
4/15/24(b)
29,895
336,000
Cedar
Funding
VI
CLO,
Ltd.,
Class
ARR,
Series
2016-
6A,
6.63%(TSFR3M+131bps),
4/20/34,
Callable
4/20/24
@
100(b)
336,000
264,000
Cedar
Funding
X
CLO,
Ltd.,
Class
AR,
Series
2019-
10A,
6.68%(TSFR3M+136bps),
10/20/32,
Callable
4/20/24
@
100(b)
263,702
250,000
Cedar
Funding
XII
CLO,
Ltd.,
Class
A1R,
Series
2020-12A,
6.72%(TSFR3M+139bps),
10/25/34,
Callable
4/25/24
@
100(b)
250
,070
387,000
Cedar
Funding
XV
CLO,
Ltd.,
Class
A,
Series
2022-
15A,
6.64%(TSFR3M+132bps),
4/20/35,
Callable
4/20/24
@
100(b)
385,783
328,000
Columbia
Cent
CLO
29,
Ltd.,
Class
AR,
Series
2020-
29A,
6.75%(TSFR3M+143bps),
10/20/34,
Callable
4/20/24
@
100(b)
326,781
580,000
Columbia
Cent
CLO
30,
Ltd.,
Class
A1,
Series
2020-
30A,
6.89%(TSFR3M+157bps),
1/20/34,
Callable
4/20/24
@
100(b)
578,356
440,000
Columbia
Cent
CLO
31,
Ltd.,
Class
A1,
Series
2021-
31A,
6.78%(TSFR3M+146bps),
4/20/34,
Callable
4/20/24
@
100(b)
438,468
112,424
CSMC,
Class
A,
Series
2020-NET,
2.26%,
8/15/37(b)
104,554
1,384,000
CSMC
Trust,
Class
D,
Series
2017-PFHP,
7.62%(TSFR1M+230bps),
12/15/30(b)
1,273,417
250,000
Dryden
98
CLO,
Ltd.,
Class
A,
Series
2022-98A,
6.62%(TSFR3M+130bps),
4/20/35,
Callable
4/20/24
@
100(b)
250,103
100,000
DTP
Commercial
Mortgage
Trust,
Class
A,
Series
2023-STE2,
5.65%,
1/15/41(b)(c)
100,333
250,000
Eaton
Vance
CLO,
Ltd.,
Class
A13R,
Series
2013-
1A,
6.83%(TSFR3M+151bps),
1/15/34,
Callable
4/15/24
@
100(b)
249,514
378,000
Eaton
Vance
CLO,
Ltd.,
Class
AR,
Series
2020-2A,
6.73%(TSFR3M+141bps),
1/15/35,
Callable
4/15/24
@
100(b)
376,677
123,425
Extended
Stay
America
Trust,
Class
D,
Series
2021-
ESH,
7.69%(TSFR1M+236bps),
7/15/38(b)
123,277
91,426
Extended
Stay
America
Trust,
Class
C,
Series
2021-
ESH,
7.14%(TSFR1M+181bps),
7/15/38(b)
91,335
250,000
Flatiron
CLO
19,
Ltd.,
Class
AR,
Series
2019-1A,
6.67%(TSFR3M+134bps),
11/16/34,
Callable
5/16/24
@
100(b)
249,750
250,000
Flatiron
CLO
21,
Ltd.,
Class
A1,
Series
2021-1A,
6.68%(TSFR3M+137bps),
7/19/34,
Callable
4/19/24
@
100(b)
250,200
100,000
GS
Mortgage
Securities
Corp.
Trust,
Class
B,
Series
2021-IP,
6.59%(TSFR1M+126bps),
10/15/36(b)
97,444
Principal
Amount
Value
Collateralized
Mortgage
Obligations,
continued
$
2
50,000
Invesco
CLO,
Ltd.,
Class
A,
Series
2021-3A,
6.71%(TSFR3M+139bps),
10/22/34,
Callable
4/22/24
@
100(b)
$
249,204
63,000
J.P.
Morgan
Chase
Commercial
Mortgage
Securities
Trust,
Class
CFX,
Series
2018-WPT,
4.95%,
7/5/33,
Callable
7/5/25
@
100(b)
53,149
97,000
J.P.
Morgan
Chase
Commercial
Mortgage
Securities
Trust,
Class
DFX,
Series
2018-WPT,
5.35%,
7/5/33,
Callable
7/5/25
@
100(b)
78,377
506,000
KKR
CLO
41,
Ltd.,
Class
A1,
Series
2022-41A,
6.65%(TSFR3M+133bps),
4/15/35,
Callable
4/15/24
@
100(b)
506,171
98,297
Life
Mortgage
Trust,
Class
E,
Series
2021-BMR,
7.19%(TSFR1M+186bps),
3/15/38(b)
96,038
98,297
Life
Mortgage
Trust,
Class
D,
Series
2021-BMR,
6.84%(TSFR1M+151bps),
3/15/38(b)
96,944
173,000
Life
Mortgage
Trust,
Class
D,
Series
2022-BMR2,
7.87%(TSFR1M+254bps),
5/15/39,
Callable
5/15/24
@
100(b)
166,011
98,297
Life
Mortgage
Trust,
Class
C,
Series
2021-BMR,
6.54%(TSFR1M+121bps),
3/15/38(b)
96,976
194,000
Life
Mortgage
Trust,
Class
C,
Series
2022-BMR2,
7.42%(TSFR1M+209bps),
5/15/39,
Callable
5/15/24
@
100(b)
191,105
369,000
Madison
Park
Funding
LII,
Ltd.,
Class
A,
Series
2021-52A,
6.68%(TSFR3M+136bps),
1/22/35,
Callable
4/22/24
@
100(b)
369,184
400,000
Magnetite
XXX,
Ltd.,
Class
A,
Series
2021-30A,
6.72%(TSFR3M+139bps),
10/25/34,
Callable
4/25/24
@
100(b)
398,761
82,000
Morgan
Stanley
Capital
I
Trust,
Class
C,
Series
2019-MEAD,
3.18%,
11/10/36,
Callable
11/10/24
@
100(b)(c)
74,779
86,000
Morgan
Stanley
Capital
I
Trust,
Class
B,
Series
2019-MEAD,
3.18%,
11/10/36,
Callable
11/10/24
@
100(b)
80,869
300,000
Morgan
Stanley
Capital
I
Trust,
Class
B,
Series
2018-BOP,
6.62%(TSFR1M+130bps),
6/15/35(b)
235,188
723,200
Morgan
Stanley
Capital
I
Trust,
Class
C,
Series
2018-BOP,
6.87%(TSFR1M+155bps),
6/15/35(b)
475,228
593,000
Morgan
Stanley
Capital
I
Trust,
Class
A,
Series
2019-MEAD,
3.17%,
11/10/36,
Callable
11/10/24
@
100(b)
563,758
95,686
OPEN
Trust,
Class
A,
Series
2023-AIR,
8.41%(TSFR1M+309bps),
10/15/28(b)
96,636
95,686
OPEN
Trust,
Class
B,
Series
2023-AIR,
9.16%(TSFR1M+384bps),
10/15/28(b)
96,276
420,000
RR
7,
Ltd.,
Class
A1AB,
Series
2019-7A,
6.66%(TSFR3M+134bps),
1/15/37,
Callable
4/15/24
@
100(b)
420,069
103,000
SPGN
Mortgage
Trust,
Class
B,
Series
2022-TFLM,
7.33%(TSFR1M+200bps),
2/15/39,
Callable
2/15/25
@
100(b)
99,251
53,000
SPGN
Mortgage
Trust,
Class
C,
Series
2022-TFLM,
7.98%(TSFR1M+265bps),
2/15/39,
Callable
2/15/25
@
100(b)
50,411
139,702
SREIT
Trust,
Class
C,
Series
2021-MFP,
6.77%(TSFR1M+144bps),
11/15/38(b)
138,653
95,686
SREIT
Trust,
Class
D,
Series
2021-MFP,
7.02%(TSFR1M+169bps),
11/15/38(b)
94,922
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
128
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Collateralized
Mortgage
Obligations,
continued
$
350,000
Symphony
CLO
XXVI,
Ltd.,
Class
AR,
Series
2021-
26A,
6.66%(TSFR3M+134bps),
4/20/33,
Callable
4/20/24
@
100(b)
$
349,433
20,000
VLS
Commercial
Mortgage
Trust,
Class
B,
Series
2020-LAB,
2.45%,
10/10/42(b)
16,099
516,000
Voya
CLO,
Ltd.,
Class
A,
Series
2019-2A,
6.85%(TSFR3M+153bps),
7/20/32(b)
516,000
250,000
Voya
CLO,
Ltd.,
Class
A1R,
Series
2020-2A,
6.73%(TSFR3M+142bps),
7/19/34,
Callable
4/19/24
@
100(b)
250,090
250,000
Voya
CLO,
Ltd.,
Class
AR,
Series
2020-1A,
6.73%(TSFR3M+141bps),
7/16/34,
Callable
4/16/24
@
100(b)
249,844
Total
Collateralized
Mortgage
Obligations
(Cost
$17,795,840)
17,191,896
Convertible
Bonds
(0.1%):
Capital
Markets
(0.0%
):
10,000
Coinbase
Global,
Inc.,
0.25%,
4/1/30(b)
10,576
Financial
Services
(0.0%
):
32,000
Global
Payments,
Inc.,
1.50%,
3/1/31(b)
33,770
Independent
Power
and
Renewable
Electricity
Producers
(0.0%
):
12,000
Sunnova
Energy
International,
Inc.,
0.25%,
12/1/26
6,245
Media
(0.1%):
89,000
DISH
Network
Corp.,
3.38%,
8/15/26
55,696
Real
Estate
Management
&
Development
(0.0%
):
47,000
Realogy
Group
LLC/Realogy
Co-Issuer
Corp.,
0.25%,
6/15/26
37,318
Semiconductors
&
Semiconductor
Equipment
(0.0%
):
60,000
Wolfspeed,
Inc.,
1.88%,
12/1/29
33,673
Total
Convertible
Bonds
(Cost
$204,316)
177,278
Bank
Loans
(0.4%):
Construction
&
Engineering
(0.0%
):
50,000
Convergint
Tech
Term
2Ln,
12.07%
(Term
SOFR+675bps ),
3/31/29(b)
46,547
9,750
Convergint
Tech
Term
B
1Ln,
9.07%
(Term
SOFR+375bps ),
3/31/28(b)
9,728
56,275
Consumer
Discretionary
Products
(0.0%
):
9,949
Tory
Burch
Term
B
1Ln,
8.57%
(Term
SOFR+325bps ),
4/16/28(b)
9,924
Distributors
(0.0%
):
39,796
US
LBM
Term
B
1Ln,
9.07%
(Term
SOFR+375bps ),
12/18/27(b)
39,701
Diversified
Consumer
Services
(0.1%):
5,000
Ascend
Learning
Term
2Ln,
11.07%
(Term
SOFR+575bps ),
12/10/29(b)
4,911
73,500
Ascend
Learning
Term
B
1Ln,
8.82%
(Term
SOFR+350bps ),
12/10/28(b)
73,013
77,924
Electrical
Equipment
(0.0%
):
49,375
Westinghouse
Term
B
1Ln,
8.07%
(Term
SOFR+275bps ),
1/20/31(b)
49,303
Principal
Amount
Value
Bank
Loans,
continued
Health
Care
Providers
&
Services
(0.0%
):
$
103,939
Cano
Health
Term
B
1Ln,
9.32%
(Term
SOFR+400bps ),
11/23/27(b)
$
28,929
10,783
Cano
Health
Term
DIP
1Ln
Super
Priority,
5.32%
(Term
SOFR+0bps ),
10/7/24(b)
10,999
16,528
Cano
Health
Term
DIP
DD
1Ln
Super
Priority,
5.32%
(Term
SOFR+0bps ),
10/7/24(b)(d)
16,859
56,787
Hotels,
Restaurants
&
Leisure
(0.1%):
107,800
City
Football
Group
Term
B
1Ln,
8.32%
(Term
SOFR+300bps ),
7/21/28(b)
107,598
Industrial
Services
(0.0%
):
9,975
Brandsafway
Term
B
1Ln,
10.82%
(Term
SOFR+550bps ),
8/1/30(b)
10,009
Media
(0.1%):
19,700
Authentic
Brands
Term
B1
1Ln,
8.82%
(Term
SOFR+350bps ),
12/21/28(b)
19,763
75,095
Diamond
Sports
Group
Term
2Ln,
5.32%
(Term
SOFR+0bps ),
8/24/26(b)(d)
2,019
54,576
Diamond
Sports
Term
Super
Priority
DIP,
15.32%,
8/2/27(b)
88,890
110,672
Metals
&
Mining
(0.0%
):
30,000
American
Rock
Salt
Term
1Ln,
9.32%
(Term
SOFR+400bps ),
6/4/28(b)
26,012
Software
(0.1%):
5,000
Applied
Systems
Term
2Ln,
5.32%
(Term
SOFR+0bps ),
2/23/32(b)
5,169
1,255
Finastra
CAN
Term
1Ln,
12.57%
(Term
SOFR+725bps ),
9/13/29
1,255
53,745
Finastra
US
Term
1Ln,
12.57%
(Term
SOFR+725bps ),
9/13/29(b)
53,745
6,771
Ion
Analytics
Term
1Ln,
9.32%
(Term
SOFR+400bps ),
2/16/28(b)
6,756
66,925
Software
&
Computer
Services
(0.0%
):
36,034
UKG
Term
2Ln,
10.57%
(Term
SOFR+525bps ),
5/3/27(b)
36,290
Software
&
Tech
Services
(0.0%
):
48,296
Athenahealth
Term
B
1Ln,
8.57%
(Term
SOFR+325bps ),
2/15/29(b)
47,776
Total
Bank
Loans
(Cost
$773,788)
695,196
Corporate
Bonds
(28.6%):
Aerospace
&
Defense
(0.6%):
214,000
Boeing
Co.
(The),
5.15%,
5/1/30,
Callable
2/1/30
@
100
205,981
100,000
Boeing
Co.
(The),
5.71%,
5/1/40,
Callable
11/1/39
@
100
95,483
200,000
Boeing
Co.
(The),
5.81%,
5/1/50,
Callable
11/1/49
@
100
188,782
55,000
BWX
Technologies,
Inc.,
4.13%,
6/30/28,
Callable
5/6/24
@
102.06(b)
51,150
30,000
Howmet
Aerospace,
Inc.,
5.95%,
2/1/37
30,825
30,000
Moog,
Inc.,
4.25%,
12/15/27,
Callable
5/6/24
@
102.13(b)
28,200
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
129
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Aerospace
&
Defense,
continued
$
15,000
Spirit
AeroSystems,
Inc.,
9.75%,
11/15/30,
Callable
11/15/26
@
104.88(b)
$
16,781
55,000
TransDigm,
Inc.,
7.50%,
3/15/27,
Callable
5/6/24
@
100
55,000
160,000
TransDigm,
Inc.,
5.50%,
11/15/27,
Callable
5/6/24
@
101.38
156,000
100,000
TransDigm,
Inc.,
6.38%,
3/1/29,
Callable
3/1/26
@
103.19(b)
100,000
928,202
Air
Freight
&
Logistics
(0.1%):
45,000
Cargo
Aircraft
Management,
Inc.,
4.75%,
2/1/28,
Callable
4/22/24
@
101.19(b)
40,669
45,000
GN
Bondco
LLC,
9.50%,
10/15/31,
Callable
10/15/26
@
104.75^(b)
44,775
80,000
Navios
South
American
Logistics,
Inc./Navios
Logistics
Finance
US,
Inc.,
10.75%,
7/1/25,
Callable
5/6/24
@
102.69(b)
80,160
165,604
Automobile
Components
(0.1%):
20,000
Clarios
Global
LP/Clarios
US
Finance
Co.,
6.75%,
5/15/28,
Callable
5/15/25
@
103.38(b)
20,200
25,000
Dana,
Inc.,
4.50%,
2/15/32,
Callable
2/15/27
@
102.25
21,500
15,000
MIWD
Holdco
II
LLC/MIWD
Finance
Corp.,
5.50%,
2/1/30,
Callable
2/1/25
@
102.75(b)
13,762
15,000
Phinia,
Inc.,
6.75%,
4/15/29,
Callable
4/15/26
@
103.38(b)
15,150
70,612
Automobiles
(0.0%
):
10,000
LCM
Investments
Holdings
II
LLC,
4.88%,
5/1/29,
Callable
5/6/24
@
102.44(b)
9,150
15,000
LCM
Investments
Holdings
II
LLC,
8.25%,
8/1/31,
Callable
8/1/26
@
104.13(b)
15,637
30,000
Thor
Industries,
Inc.,
4.00%,
10/15/29,
Callable
10/15/24
@
102(b)
26,775
51,562
Banks
(3.0%):
128,000
Bank
of
America
Corp.,
4.45%,
3/3/26
126,116
790,000
Bank
of
America
Corp.,
5.01%
(SOFR+216
bps),
7/22/33,
Callable
7/22/32
@
100
774,185
770,000
Citigroup,
Inc.,
4.30%,
11/20/26
751,688
150,000
Citigroup,
Inc.,
4.91%
(SOFR+209
bps),
5/24/33,
Callable
5/24/32
@
100
143,583
100,000
Citizens
Financial
Group,
Inc.,
2.64%,
9/30/32,
Callable
7/2/32
@
100
76,312
120,000
First-Citizens
Bank
&
Trust
Co.,
6.13%,
3/9/28
122,879
1,250,000
JPMorgan
Chase
&
Co.,
4.59%
(SOFR+180
bps),
4/26/33,
Callable
4/26/32
@
100
1,193,680
449,000
Wells
Fargo
&
Co.,
3.53%
(SOFR+151
bps),
3/24/28,
Callable
3/24/27
@
100
427,794
925,000
Wells
Fargo
&
Co.,
4.90%
(SOFR+210
bps),
7/25/33,
Callable
7/25/32
@
100
887,748
30,000
Wells
Fargo
&
Co.,
7.63%
(H15T5Y+361
bps),
12/31/99,
Callable
9/15/28
@
100
32,100
30,000
Western
Alliance
Bancorp,
3.00%
(TSFR3M+225
bps),
6/15/31,
Callable
6/15/26
@
100^
25,929
4,562,014
Principal
Amount
Value
Corporate
Bonds,
continued
Beverages
(0.0%
):
$
65,000
Triton
Water
Holdings,
Inc.,
6.25%,
4/1/29,
Callable
5/6/24
@
103.13(b)
$
58,988
Biotechnology
(0.3%):
4,000
Amgen,
Inc.,
5.25%,
3/2/30,
Callable
1/2/30
@
100
4,058
174,000
Amgen,
Inc.,
5.25%,
3/2/33,
Callable
12/2/32
@
100
175,505
165,000
Amgen,
Inc.,
5.60%,
3/2/43,
Callable
9/2/42
@
100
167,601
70,000
Emergent
BioSolutions,
Inc.,
3.88%,
8/15/28,
Callable
5/6/24
@
101.94(b)
32,550
379,714
Broadline
Retail
(0.0%
):
15,000
Kohl's
Corp.,
4.25%,
7/17/25,
Callable
4/17/25
@
100^
14,625
Building
Products
(0.1%):
110,000
Advanced
Drainage
Systems,
Inc.,
5.00%,
9/30/27,
Callable
4/22/24
@
101.25(b)
106,563
25,000
Builders
FirstSource,
Inc.,
4.25%,
2/1/32,
Callable
8/1/26
@
102.13(b)
22,375
16,000
Carrier
Global
Corp.,
5.90%,
3/15/34,
Callable
12/15/33
@
100
16,828
16,000
Carrier
Global
Corp.,
6.20%,
3/15/54,
Callable
9/15/53
@
100
17,617
10,000
Eco
Material
Technologies,
Inc.,
7.88%,
1/31/27,
Callable
5/6/24
@
103.94(b)
10,137
173,520
Capital
Markets
(1.6%):
115,000
Affiliated
Managers
Group,
Inc.,
3.50%,
8/1/25^
112,043
380,000
Ares
Capital
Corp.,
3.88%,
1/15/26,
Callable
12/15/25
@
100^
367,631
40,000
Charles
Schwab
Corp.
(The),
Series
H,
4.00%
(H15T10Y+308
bps),
12/31/99,
Callable
12/1/30
@
100
33,550
20,000
Charles
Schwab
Corp.
(The),
Series
G,
5.38%
(H15T5Y+497
bps),
Callable
6/1/25
@
100
19,700
530,000
Goldman
Sachs
Group,
Inc.
(The),
3.80%,
3/15/30,
Callable
12/15/29
@
100
496,544
270,000
Goldman
Sachs
Group,
Inc.
(The),
3.10%
(SOFR+141
bps),
2/24/33,
Callable
2/24/32
@
100
229,929
90,000
Goldman
Sachs
Group,
Inc.
(The),
6.75%,
10/1/37
98,235
965,000
Morgan
Stanley,
6.34%
(SOFR+256
bps),
10/18/33,
Callable
10/18/32
@
100
1,030,646
88,000
Sixth
Street
Specialty
Lending,
Inc.,
6.13%,
3/1/29,
Callable
2/1/29
@
100
86,919
25,000
USA
Compression
Partners
LP/USA
Compression
Finance
Corp.,
7.13%,
3/15/29,
Callable
3/15/26
@
103.56(b)
25,344
2,500,541
Chemicals
(0.4%):
30,000
Allied
Universal
Holdco
LLC,
7.88%,
2/15/31,
Callable
2/15/27
@
103.94(b)
30,262
71,000
Celanese
US
Holdings
LLC,
6.35%,
11/15/28,
Callable
10/15/28
@
100
73,625
72,000
Celanese
US
Holdings
LLC,
6.55%,
11/15/30,
Callable
9/15/30
@
100
75,603
42,000
Celanese
US
Holdings
LLC,
6.70%,
11/15/33,
Callable
8/15/33
@
100
44,673
16,000
CF
Industries,
Inc.,
4.95%,
6/1/43
14,300
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
130
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Chemicals,
continued
$
75,000
Chemours
Co.
(The),
5.75%,
11/15/28,
Callable
4/15/24
@
102.88(b)
$
69,187
67,000
Kobe
US
Midco
2,
Inc.,
9.25%,
11/1/26,
Callable
5/6/24
@
102.31(b)
57,034
50,000
LSB
Industries,
Inc.,
6.25%,
10/15/28,
Callable
10/15/24
@
103.13(b)
47,687
25,000
Neogen
Food
Safety
Corp.,
8.63%,
7/20/30,
Callable
7/20/27
@
102.16(b)
26,844
80,000
SCIH
Salt
Holdings,
Inc.,
4.88%,
5/1/28,
Callable
5/6/24
@
102.44(b)
74,
500
10,000
SCIH
Salt
Holdings,
Inc.,
6.63%,
5/1/29,
Callable
5/6/24
@
103.31(b)
9,238
25,000
Scotts
Miracle-Gro
Co.
(The),
4.38%,
2/1/32,
Callable
8/1/26
@
102.19
21,312
55,000
Tronox,
Inc.,
4.63%,
3/15/29,
Callable
5/6/24
@
102.31(b)
49,088
55,000
WR
Grace
Holdings
LLC,
5.63%,
8/15/29,
Callable
8/15/24
@
102.81(b)
49,156
15,000
WR
Grace
Holdings
LLC,
7.38%,
3/1/31,
Callable
3/1/26
@
103.69(b)
15,150
657,659
Commercial
Services
&
Supplies
(0.4%):
25,000
ADT
Security
Corp.
(The),
4.13%,
8/1/29,
Callable
8/1/28
@
100^(b)
22,781
107,000
Allied
Universal
Holdco
LLC/Allied
Universal
Finance
Corp./Atlas
Luxco
4
Sarl,
4.63%,
6/1/28,
Callable
6/1/24
@
102.31(b)
97,103
70,000
Aramark
Services,
Inc.,
5.00%,
2/1/28,
Callable
5/6/24
@
101.67(b)
67,375
25,000
Clean
Harbors,
Inc.,
6.38%,
2/1/31,
Callable
2/1/26
@
103.19(b)
25,125
45,000
CoreCivic,
Inc.,
8.25%,
4/15/29,
Callable
4/15/26
@
104.13
47,025
56,000
GEO
Group,
Inc.
(The),
10.50%,
6/30/28,
Callable
4/15/24
@
102^
56,980
35,000
Legends
Hospitality
Holding
Co.
LLC/Legends
Hospitality
Co.-Issuer,
Inc.,
5.00%,
2/1/26,
Callable
5/6/24
@
101.25(b)
34,738
35,000
Pitney
Bowes,
Inc.,
6.88%,
3/15/27,
Callable
4/15/24
@
103.44(b)
31,937
75,000
Rand
Parent
LLC,
8.50%,
2/15/30,
Callable
2/15/26
@
104.25^(b)
73,875
25,000
Safehold
GL
Holdings
LLC,
2.85%,
1/15/32,
Callable
8/15/31
@
100^
20,251
50,000
Stericycle,
Inc.,
3.88%,
1/15/29,
Callable
4/22/24
@
101.94(b)
45,250
40,000
TKC
Holdings,
Inc.,
6.88%,
5/15/28,
Callable
5/15/24
@
103.44(b)
37,700
30,000
TKC
Holdings,
Inc.,
10.50%,
5/15/29,
Callable
5/15/24
@
105.25(b)
28,500
588,640
Communications
Equipment
(0.0%
):
50,000
Viavi
Solutions,
Inc.,
3.75%,
10/1/29,
Callable
10/1/24
@
101.88(b)
42,875
Construction
&
Engineering
(0.3%):
61,000
APX
Group,
Inc.,
6.75%,
2/15/27,
Callable
5/6/24
@
101.69(b)
61,076
Principal
Amount
Value
Corporate
Bonds,
continued
Construction
&
Engineering,
continued
$
40,000
Arcosa,
Inc.,
4.38%,
4/15/29,
Callable
5/6/24
@
102.19(b)
$
36,800
85,000
Artera
Services
LLC,
8.50%,
2/15/31,
Callable
2/15/27
@
104.25(b)
87,125
45,000
Dycom
Industries,
Inc.,
4.50%,
4/15/29,
Callable
5/6/24
@
102.25(b)
42,075
35,000
Global
Infrastructure
Solutions,
Inc.,
5.63%,
6/1/29,
Callable
6/1/24
@
102.81(b)
31,675
35,000
Great
Lakes
Dredge
&
Dock
Corp.,
5.25%,
6/1/29,
Callable
6/1/24
@
102.63(b)
31,106
25,000
Pike
Corp.,
8.63%,
1/31/31,
Callable
1/31/27
@
104.31(b)
26,563
35,000
Railworks
Holdings
LP/Railworks
Rally,
Inc.,
8.25%,
11/15/28,
Callable
11/15/24
@
104.13(b)
34,650
35,000
VM
Consolidated,
Inc.,
5.50%,
4/15/29,
Callable
5/6/24
@
102.75(b)
33,469
384,539
Construction
Materials
(0.1%):
15,000
AmeriTex
HoldCo
Intermediate
LLC,
10.25%,
10/15/28,
Callable
10/15/25
@
105.13(b)
16,125
35,000
Smyrna
Ready
Mix
Concrete
LLC,
8.88%,
11/15/31,
Callable
11/15/26
@
104.44(b)
37,275
15,000
Summit
Materials
LLC/Summit
Materials
Finance
Corp.,
7.25%,
1/15/31,
Callable
1/15/27
@
103.63(b)
15,544
68,944
Consumer
Finance
(1.5%):
370,000
Ally
Financial,
Inc.,
7.10%,
11/15/27,
Callable
10/15/27
@
100
386,204
85,000
Ally
Financial,
Inc.,
Series
B,
4.70%
(H15T5Y+387
bps),
12/31/99,
Callable
5/15/26
@
100^
73,622
636,000
Capital
One
Financial
Corp.,
3.80%,
1/31/28,
Callable
12/31/27
@
100
603,096
275,000
Capital
One
Financial
Corp.,
5.25%
(SOFR+260
bps),
7/26/30,
Callable
7/26/29
@
100
270,376
355,000
Discover
Financial
Services,
4.10%,
2/9/27,
Callable
11/9/26
@
100
342,325
110,000
OneMain
Finance
Corp.,
3.50%,
1/15/27,
Callable
5/6/24
@
101.75
101,750
75,000
OneMain
Finance
Corp.,
4.00%,
9/15/30,
Callable
9/15/25
@
102^
63,937
470,000
Synchrony
Financial,
3.95%,
12/1/27,
Callable
9/1/27
@
100
437,750
2,279,060
Consumer
Staples
Distribution
&
Retail
(0.7%):
35,000
Albertsons
Cos.,
Inc./Safeway,
Inc./New
Albertsons
LP/Albertsons
LLC,
4.63%,
1/15/27,
Callable
5/6/24
@
102.31(b)
33,819
80,000
Albertsons
Cos.,
Inc./Safeway,
Inc./New
Albertsons
LP/Albertsons
LLC,
3.50%,
3/15/29,
Callable
5/6/24
@
101.75(b)
71,500
50,000
Albertsons
Cos.,
Inc./Safeway,
Inc./New
Albertsons
LP/Albertsons
LLC,
4.88%,
2/15/30,
Callable
2/15/25
@
103.66^(b)
47,375
75,000
C&S
Group
Enterprises
LLC,
5.00%,
12/15/28,
Callable
5/6/24
@
102.5(b)
59,813
25,000
Chobani
LLC/Chobani
Finance
Corp.,
Inc.,
7.63%,
7/1/29,
Callable
1/1/26
@
103.81(b)
25,219
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
131
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Consumer
Staples
Distribution
&
Retail,
continued
$
550,000
JBS
USA
LUX
SA/JBS
USA
Food
Co./JBS
USA
Finance,
Inc.,
3.00%,
5/15/32,
Callable
2/15/32
@
100
$
445,500
180,000
JBS
USA
LUX
SA/JBS
USA
Food
Co./JBS
USA
Finance,
Inc.,
5.75%,
4/1/33,
Callable
1/1/33
@
100
176,625
30,000
KeHE
Distributors
LLC/KeHE
Finance
Corp./
NextWave
Distribution,
Inc.,
9.00%,
2/15/29,
Callable
2/15/26
@
104.5(b)
30,412
65,000
Performance
Food
Group,
Inc.,
6.88%,
5/1/25,
Callable
5/6/24
@
100(b)
64,919
30,000
Performance
Food
Group,
Inc.,
4.25%,
8/1/29,
Callable
8/1/24
@
102.13(b)
27,375
70,000
Sysco
Corp.,
5.95%,
4/1/30,
Callable
1/1/30
@
100
72,941
30,000
United
Natural
Foods,
Inc.,
6.75%,
10/15/28,
Callable
5/6/24
@
103.38(b)
24,900
25,000
US
Foods,
Inc.,
4.63%,
6/1/30,
Callable
6/1/25
@
102.31(b)
23,156
20,000
US
Foods,
Inc.,
7.25%,
1/15/32,
Callable
9/15/26
@
103.63(b)
20,775
1,124,329
Containers
&
Packaging
(0.3%):
65,000
Ardagh
Metal
Packaging
Finance
USA
LLC/Ardagh
Metal
Packaging
Finance
plc,
4.00%,
9/1/29,
Callable
5/15/24
@
102(b)
52,244
90,000
Ardagh
Packaging
Finance
plc/Ardagh
Holdings
USA,
Inc.,
4.13%,
8/15/26,
Callable
4/15/24
@
101.03(b)
81,675
30,000
Ball
Corp.,
6.00%,
6/15/29,
Callable
5/15/26
@
103
30,262
35,000
Ball
Corp.,
3.13%,
9/15/31,
Callable
6/15/31
@
100^
29,706
15,000
Clydesdale
Acquisition
Holdings,
Inc.,
6.63%,
4/15/29,
Callable
4/15/25
@
103.31(b)
14,944
75,000
Clydesdale
Acquisition
Holdings,
Inc.,
8.75%,
4/15/30,
Callable
4/15/25
@
104.38(b)
73,594
30,000
Graphic
Packaging
International
LLC,
3.75%,
2/1/30,
Callable
8/1/29
@
100(b)
26,700
35,000
Mauser
Packaging
Solutions
Holding
Co.,
7.88%,
8/15/26,
Callable
8/15/24
@
103.94(b)
35,569
30,000
Owens-Brockway
Glass
Container,
Inc.,
7.25%,
5/15/31,
Callable
5/15/26
@
103.63(b)
30,563
55,000
Sealed
Air
Corp.,
5.00%,
4/15/29,
Callable
4/15/25
@
102.5(b)
52,800
25,000
Sealed
Air
Corp./Sealed
Air
Corp.
U.S.,
6.13%,
2/1/28,
Callable
2/1/25
@
103.06^(b)
25,062
40,000
Sealed
Air
Corp/Sealed
Air
Corp.
US,
7.25%,
2/15/31,
Callable
11/15/26
@
103.63(b)
41,550
494,669
Distributors
(0.0%
):
40,000
LBM
Acquisition
LLC,
6.25%,
1/15/29,
Callable
5/6/24
@
103.13(b)
37,450
15,000
USI,
Inc.,
7.50%,
1/15/32,
Callable
1/15/27
@
103.75(b)
15,019
52,469
Diversified
Consumer
Services
(0.0%
):
20,000
Sotheby's,
7.38%,
10/15/27,
Callable
4/15/24
@
101.84^(b)
18,575
Principal
Amount
Value
Corporate
Bonds,
continued
Diversified
Consumer
Services,
continued
$
25,000
Wand
NewCo.
3,
Inc.,
7.63%,
1/30/32,
Callable
1/30/27
@
103.81(b)
$
25,813
44,388
Diversified
REITs
(0.4%):
75,000
Global
Net
Lease,
Inc./Global
Net
Lease
Operating
Partnership
LP,
3.75%,
12/15/27,
Callable
9/15/27
@
100(b)
64,125
35,000
Piedmont
Operating
Partnership
LP,
2.75%,
4/1/32,
Callable
1/1/32
@
100
25,135
112,000
Store
Capital
LLC,
2.75%,
11/18/30,
Callable
8/18/30
@
100
89,964
331,000
Ventas
Realty
LP,
4.75%,
11/15/30,
Callable
8/15/30
@
100
319,256
101,000
WP
Carey,
Inc.,
3.85%,
7/15/29,
Callable
4/15/29
@
100
94,
207
592,687
Diversified
Telecommunication
Services
(0.9%):
110,000
AT&T,
Inc.,
4.30%,
2/15/30,
Callable
11/15/29
@
100
105,652
70,000
AT&T,
Inc.,
5.15%,
11/15/46,
Callable
5/15/46
@
100
66,196
25,000
Cablevision
Lightpath
LLC,
5.63%,
9/15/28,
Callable
4/15/24
@
102.81(b)
20,937
40,000
Consolidated
Communications,
Inc.,
5.00%,
10/1/28,
Callable
4/15/24
@
103.75(b)
33,300
25,000
Frontier
Communications
Holdings
LLC,
5.88%,
10/15/27,
Callable
5/6/24
@
102.94(b)
24,12
5
8,244
Frontier
Communications
Holdings
LLC,
5.88%,
11/1/29,
Callable
11/1/24
@
102.94
6,976
60,000
Frontier
Communications
Holdings
LLC,
8.75%,
5/15/30,
Callable
5/15/25
@
104.38(b)
61,200
25,000
Northwest
Fiber
LLC/Northwest
Fiber
Finance
Sub,
Inc.,
6.00%,
2/15/28(b)
25,719
299,000
Verizon
Communications,
Inc.,
2.55%,
3/21/31,
Callable
12/21/30
@
100
255,330
213,000
Warnermedia
Holdings,
Inc.,
3.76%,
3/15/27,
Callable
2/15/27
@
100
203,391
74,000
Warnermedia
Holdings,
Inc.,
4.05%,
3/15/29,
Callable
1/15/29
@
100
69,275
110,000
Warnermedia
Holdings,
Inc.,
4.28%,
3/15/32,
Callable
12/15/31
@
100
97,982
155,000
Warnermedia
Holdings,
Inc.,
5.05%,
3/15/42,
Callable
9/15/41
@
100
132,898
234,000
Warnermedia
Holdings,
Inc.,
5.14%,
3/15/52,
Callable
9/15/51
@
100
194,353
25,000
Zayo
Group
Holdings,
Inc.,
4.00%,
3/1/27,
Callable
5/6/24
@
100^(b)
20,562
30,000
Zayo
Group
Holdings,
Inc.,
6.13%,
3/1/28,
Callable
5/6/24
@
101.53(b)
21,000
1,338,896
Electric
Utilities
(0.7%):
20,000
Alliant
Holdings
Intermediate
LLC/Alliant
Holdings
Co.-Issuer,
4.25%,
10/15/27,
Callable
5/6/24
@
102.13(b)
18,800
96,000
Alliant
Holdings
Intermediate
LLC/Alliant
Holdings
Co.-Issuer,
6.75%,
10/15/27,
Callable
5/6/24
@
101.69(b)
94,200
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
132
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Electric
Utilities,
continued
$
70,000
Alliant
Holdings
Intermediate
LLC/Alliant
Holdings
Co.-Issuer,
5.88%,
11/1/29,
Callable
11/1/24
@
102.94(b)
$
64,925
130,000
Cleco
Corporate
Holdings
LLC,
3.38%,
9/15/29,
Callable
6/15/29
@
100
113,029
160,000
Duquesne
Light
Holdings,
Inc.,
2.78%,
1/7/32,
Callable
10/7/31
@
100(b)
130,512
110,000
Exelon
Corp.,
4.05%,
4/15/30,
Callable
1/15/30
@
100
103,595
29,000
NextEra
Energy
Operating
Partners
LP,
4.25%,
9/15/24,
Callable
7/15/24
@
100(b)
27,985
40,000
NextEra
Energy
Operating
Partners,
LP,
7.25%,
1/15/29,
Callable
10/15/28
@
100(b)
40,800
40,000
NRG
Energy,
Inc.,
5.75%,
1/15/28,
Callable
4/22/24
@
101.92
39,600
30,000
NRG
Energy,
Inc.,
3.38%,
2/15/29,
Callable
4/15/24
@
101.69(b)
26,625
55,000
NRG
Energy,
Inc.,
3.63%,
2/15/31,
Callable
2/15/26
@
101.81(b)
47,438
11,945
NSG
Holdings
LLC/NSG
Holdings,
Inc.,
7.75%,
12/15/25(b)
11,826
100,000
Puget
Energy,
Inc.,
4.10%,
6/15/30,
Callable
3/15/30
@
100
90,971
141,000
Puget
Energy,
Inc.,
4.22%,
3/15/32,
Callable
12/15/31
@
100
127,583
40,000
TerraForm
Power
Operating
LLC,
5.00%,
1/31/28,
Callable
7/31/27
@
100(b)
38,000
18,863
Topaz
Solar
Farms
LLC,
5.75%,
9/30/39(b)
18,839
110,000
Vistra
Operations
Co.
LLC,
5.00%,
7/31/27,
Callable
4/15/24
@
101.25(b)
106,425
40,000
Vistra
Operations
Co.
LLC,
7.75%,
10/15/31,
Callable
10/15/26
@
103.88(b)
41,800
1,142,953
Electrical
Equipment
(0.1%):
120,000
TK
Elevator
US
Newco,
Inc.,
5.25%,
7/15/27,
Callable
5/6/24
@
102.63(b)
115,500
60,000
Vertiv
Group
Corp.,
4.13%,
11/15/28,
Callable
11/15/24
@
102.06(b)
55,800
171,300
Electronic
Equipment,
Instruments
&
Components
(0.1%):
110,000
Coherent
Corp.,
5.00%,
12/15/29,
Callable
12/14/24
@
102.5(b)
103,262
Energy
Equipment
&
Services
(0.0%
):
30,000
Kodiak
Gas
Services
LLC,
7.25%,
2/15/29,
Callable
2/15/26
@
103.63(b)
30,525
Entertainment
(0.0%
):
60,000
ROBLOX
Corp.,
3.88%,
5/1/30,
Callable
11/1/24
@
101.94(b)
52,650
Financial
Services
(2.5%):
55,000
Acuris
Finance
U.S.,
Inc./Acuris
Finance
SARL,
5.00%,
5/1/28,
Callable
5/6/24
@
102.5(b)
49,775
10,000
Arsenal
AIC
Parent
LLC,
8.00%,
10/1/30,
Callable
10/1/26
@
104(b)
10,513
224,000
Athene
Global
Funding,
5.34%,
1/15/27(b)
222,481
101,000
Athene
Global
Funding,
5.58%,
1/9/29(b)
101,582
480,000
Blackstone
Private
Credit
Fund,
4.70%,
3/24/25
473,886
25,000
Block,
Inc.,
2.75%,
6/1/26,
Callable
5/1/26
@
100
23,375
Principal
Amount
Value
Corporate
Bonds,
continued
Financial
Services,
continued
$
25,000
Block,
Inc.,
3.50%,
6/1/31,
Callable
3/1/31
@
100
$
21,688
65,000
Champions
Financing,
Inc.,
8.75%,
2/15/29,
Callable
2/15/26
@
104.38(b)
67,925
60,000
Cobra
AcquisitionCo
LLC,
6.38%,
11/1/29,
Callable
11/1/24
@
103.25(b)
50,550
190,000
Corebridge
Financial,
Inc.,
3.65%,
4/5/27,
Callable
3/5/27
@
100
181,585
130,000
Corebridge
Financial,
Inc.,
3.90%,
4/5/32,
Callable
1/5/32
@
100
116,282
70,000
Corebridge
Financial,
Inc.,
4.40%,
4/5/52,
Callable
10/5/51
@
100
56,864
45,000
EMRLD
Borrower
LP/Emerald
Co.-Issuer,
Inc.,
6.63%,
12/15/30,
Callable
6/15/26
@
103.31(b)
45,450
940,000
Ford
Motor
Credit
Co.
LLC,
4.06%,
11/1/24,
Callable
10/1/24
@
100
930,606
10,000
Greystar
Real
Estate
Partners
LLC,
7.75%,
9/1/30,
Callable
9/1/26
@
103.88(b)
10,400
25,000
HAT
Holdings
I
LLC/HAT
Holdings
II
LLC,
8.00%,
6/15/27,
Callable
3/15/27
@
100^(b)
26,031
75,000
Hightower
Holding
LLC,
6.75%,
4/15/29,
Callable
5/6/24
@
103.38(b)
70,312
50,000
HUB
International,
Ltd.,
5.63%,
12/1/29,
Callable
12/1/24
@
102.81(b)
46,813
80,000
HUB
International,
Ltd.,
7.25%,
6/15/30,
Callable
6/15/26
@
103.63(b)
82,000
165,000
Icahn
Enterprises
LP/Icahn
Enterprises
Finance
Corp.,
5.25%,
5/15/27,
Callable
11/15/26
@
100
152,625
70,000
Jackson
Financial,
Inc.,
5.17%,
6/8/27,
Callable
5/8/27
@
100^
69,911
17,000
Jackson
Financial,
Inc.,
3.13%,
11/23/31,
Callable
8/23/31
@
100
14,164
76,000
Jackson
Financial,
Inc.,
5.67%,
6/8/32,
Callable
3/8/32
@
100
75,946
30,000
Jane
Street
Group/JSG
Finance,
Inc.,
4.50%,
11/15/29,
Callable
11/15/24
@
102.25^(b)
27,712
15,000
Jefferson
Capital
Holdings
LLC,
9.50%,
2/15/29,
Callable
2/15/26
@
104.75(b)
15,319
25,000
Ladder
Capital
Finance
Holdings
LLLP/Ladder
Capital
Finance
Corp.,
4.75%,
6/15/29,
Callable
6/15/24
@
102.38^(b)
22,625
100,000
Level
3
Financing,
Inc.,
4.25%,
7/1/28,
Callable
5/6/24
@
102.13
48,000
20,000
Level
3
Financing,
Inc.,
3.63%,
1/15/29,
Callable
4/15/24
@
101.81
8,700
25,000
MPT
Operating
Partnership
LP/MPT
Finance
Corp.,
5.25%,
8/1/26,
Callable
5/6/24
@
100.88
22,969
140,000
MPT
Operating
Partnership
LP/MPT
Finance
Corp.,
5.00%,
10/15/27,
Callable
5/6/24
@
101.67^
117,075
150,000
MPT
Operating
Partnership
LP/MPT
Finance
Corp.,
3.50%,
3/15/31,
Callable
3/15/26
@
101.75
102,563
85,000
Olympus
Water
US
Holding
Corp.,
4.25%,
10/1/28,
Callable
10/1/24
@
102.13(b)
76,925
230,000
Pine
Street
Trust
I,
4.57%,
2/15/29,
Callable
11/15/28
@
100(b)
217,701
87,000
Sun
Communities
Operating
LP,
2.30%,
11/1/28,
Callable
9/1/28
@
100
7
5,615
232,000
Sun
Communities
Operating
LP,
2.70%,
7/15/31,
Callable
4/15/31
@
100
190,762
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
133
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Financial
Services,
continued
$
70,000
Uniti
Group
LP/Uniti
Fiber
Holdings,
Inc./CSL
Capital
LLC,
6.00%,
1/15/30,
Callable
1/15/25
@
103(b)
$
51,975
3,878,705
Food
Products
(0
.1%):
110,000
Pilgrim's
Pride
Corp.,
4.25%,
4/15/31,
Callable
4/15/26
@
102.13
99,137
15,000
Post
Holdings,
Inc.,
5.63%,
1/15/28,
Callable
4/22/24
@
101.88(b)
14,719
28,000
Post
Holdings,
Inc.,
4.50%,
9/15/31,
Callable
9/15/26
@
102.25(b)
25,060
60,000
Post
Holdings,
Inc.,
6.25%,
2/15/32,
Callable
2/15/27
@
103.13(b)
60,150
199,066
Ground
Transportation
(0.1%):
180,000
Uber
Technologies,
Inc.,
4.50%,
8/15/29,
Callable
8/15/24
@
102.25(b)
170,775
Health
Care
Equipment
&
Supplies
(0.1%):
105,000
Medline
Borrower
LP,
3.88%,
4/1/29,
Callable
10/1/24
@
101.94(b)
95,419
Health
Care
Providers
&
Services
(1.5%):
50,000
180
Medical,
Inc.,
3.88%,
10/15/29,
Callable
10/7/24
@
101.94(b)
44,750
30,000
AHP
Health
Partners,
Inc.,
5.75%,
7/15/29,
Callable
7/15/24
@
102.88(b)
27,300
5,000
Cano
Health
LLC,
6.25%,
10/1/28,
Callable
10/1/24
@
103.13(b)(d)
20,000
Catalent
Pharma
Solutions,
Inc.,
3.50%,
4/1/30,
Callable
4/1/25
@
101.75(b)
19,150
30,000
Centene
Corp.,
2.45%,
7/15/28,
Callable
5/15/28
@
100
26,550
630,000
Centene
Corp.,
4.63%,
12/15/29,
Callable
12/15/24
@
102.31
597,713
100,000
CHS/Community
Health
Systems,
Inc.,
5.63%,
3/15/27,
Callable
4/22/24
@
102.81(b)
92,000
100,000
CHS/Community
Health
Systems,
Inc.,
6.00%,
1/15/29,
Callable
4/22/24
@
103(b)
87,000
55,000
CHS/Community
Health
Systems,
Inc.,
6.13%,
4/1/30,
Callable
4/1/25
@
103.06(b)
39,600
90,000
CHS/Community
Health
Systems,
Inc.,
10.88%,
1/15/32,
Callable
2/15/27
@
105.44(b)
92,700
45,000
Community
Health
Systems,
Inc.,
8.00%,
3/15/26,
Callable
5/6/24
@
100(b)
44,775
30,000
Coty,
Inc./HFC
Prestige
Products,
Inc./HFC
Prestige
International
US
LLC,
6.63%,
7/15/30,
Callable
7/16/26
@
103.31(b)
30,375
62,000
CVS
Health
Corp.,
5.00%,
1/30/29,
Callable
12/30/28
@
100
61,919
25,000
CVS
Health
Corp.,
5.25%,
1/30/31,
Callable
11/30/30
@
100
25,150
85,000
DaVita,
Inc.,
4.63%,
6/1/30,
Callable
6/1/25
@
102.31(b)
75,863
203,000
HCA,
Inc.,
5.88%,
2/1/29,
Callable
8/1/28
@
100
207,314
110,000
HCA,
Inc.,
3.50%,
9/1/30,
Callable
3/1/30
@
100
99,275
25,000
HealthEquity,
Inc.,
4.50%,
10/1/29,
Callable
10/1/24
@
102.25(b)
23,031
64,000
Humana,
Inc.,
3.70%,
3/23/29,
Callable
2/23/29
@
100
60,272
Principal
Amount
Value
Corporate
Bonds,
continued
Health
Care
Providers
&
Services,
continued
$
50,000
LifePoint
Health,
Inc.,
11.00%,
10/15/30,
Callable
10/15/26
@
105.5(b)
$
53,438
20,000
Medline
Borrower
LP/Medline
Co-Issuer,
Inc.,
6.25%,
4/1/29,
Callable
4/1/26
@
103.13(b)
20,100
25,000
ModivCare
Escrow
Issuer,
Inc.,
5.00%,
10/1/29,
Callable
10/1/24
@
102.5(b)
18,125
25,000
ModivCare,
Inc.,
5.88%,
11/15/25,
Callable
5/6/24
@
101.47(b)
24,344
60,000
Molina
Healthcare,
Inc.,
3.88%,
11/15/30,
Callable
8/17/30
@
100(b)
53,100
70,000
Organon
&
Co./Organon
Foreign
Debt
Co.-Issuer
B.V.,
4.13%,
4/30/28,
Callable
5/6/24
@
102.06(b)
65,100
40,000
Owens
&
Minor,
Inc.,
4.50%,
3/31/29,
Callable
5/6/24
@
102.25^(b)
36,500
13,446
Radiology
Partners,
Inc.,
8.50%,
1/31/29,
Callable
5/6/24
@
100^(b)
12,370
21,000
Surgery
Center
Holdings,
Inc.,
6.75%,
7/1/25,
Callable
4/25/24
@
100(b)
21,000
30,000
Surgery
Center
Holdings,
Inc.,
7.25%,
4/15/32,
Callable
4/15/27
@
103.63(b)
30,262
195,000
Tenet
Healthcare
Corp.,
6.13%,
10/1/28,
Callable
5/6/24
@
103.06
194,269
65,000
Tenet
Healthcare
Corp.,
4.38%,
1/15/30,
Callable
12/1/24
@
102.19
59,962
35,000
Toledo
Hospital
(The),
6.02%,
11/15/48
29,006
20,000
US
Renal
Care,
Inc.,
10.63%,
7/15/27,
Callable
5/6/24
@
102.66(b)
12,650
2,284,963
Health
Care
REITs
(0.7%):
30,000
CTR
Partnership
LP/CareTrust
Capital
Corp.,
3.88%,
6/30/28,
Callable
3/30/28
@
100(b)
27,787
98,000
Healthcare
Realty
Holdings
LP,
3.10%,
2/15/30,
Callable
11/15/29
@
100
85,326
350,000
Omega
Healthcare
Investors,
Inc.,
4.50%,
4/1/27,
Callable
1/1/27
@
100
338,213
435,000
Omega
Healthcare
Investors,
Inc.,
3.63%,
10/1/29,
Callable
7/1/29
@
100
387,886
230,000
Sabra
Health
Care
LP,
3.20%,
12/1/31,
Callable
9/1/31
@
100
190,900
1,030,112
Health
Care
Technology
(0.0%
):
40,000
Clarivate
Science
Holdings
Corp.,
4.88%,
7/1/29,
Callable
6/30/24
@
102.44(b)
37,000
Hotel
&
Resort
REITs
(0.1%):
55,000
Service
Properties
Trust,
5.50%,
12/15/27,
Callable
9/15/27
@
100
52,250
60,000
Service
Properties
Trust,
4.95%,
10/1/29,
Callable
7/1/29
@
100
49,200
101,450
Hotels,
Restaurants
&
Leisure
(0.5%
):
25,000
Affinity
Interactive,
6.88%,
12/15/27,
Callable
5/6/24
@
103.44(b)
23,375
65,000
Caesars
Entertainment,
Inc.,
8.13%,
7/1/27,
Callable
4/15/24
@
104.06(b)
66,462
65,000
Caesars
Entertainment,
Inc.,
4.63%,
10/15/29,
Callable
10/15/24
@
102.31^(b)
59,069
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
134
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Hotels,
Restaurants
&
Leisure,
continued
$
70,000
Churchill
Downs,
Inc.,
6.75%,
5/1/31,
Callable
5/1/26
@
103.38(b)
$
70,262
10,000
ClubCorp
Holdings,
Inc.,
8.50%,
9/15/25,
Callable
5/6/24
@
100(b)
9,050
70,000
Fertitta
Entertainment
LLC/Fertitta
Entertainment
Finance
Co.,
Inc.,
6.75%,
1/15/30,
Callable
1/15/25
@
103.38(b)
62,825
25,000
Hilton
Grand
Vacations
Borrower
Escrow
LLC/Hilton
Grand
Vacations
Borrower
Escrow,
5.00%,
6/1/29,
Callable
6/1/24
@
102.5^(b)
23,250
20,000
Hilton
Grand
Vacations
Borrower
Escrow
LLC/Hilton
Grand
Vacations
Borrower
Escrow,
6.63%,
1/15/32,
Callable
1/15/27
@
103.31(b)
20,050
30,000
Jacobs
Entertainment,
Inc.,
6.75%,
2/15/29,
Callable
2/15/25
@
103.38(b)
28,950
25,000
Marriott
Ownership
Resorts,
Inc.,
4.50%,
6/15/29,
Callable
6/15/24
@
102.25^(b)
22,781
105,000
MGM
Resorts
International,
5.75%,
6/15/25,
Callable
3/15/25
@
100
104,738
85,000
Station
Casinos
LLC,
4.50%,
2/15/28,
Callable
5/6/24
@
101.13(b)
79,900
40,000
Wynn
Resorts
Finance
LLC/Wynn
Resorts
Capital
Corp.,
7.13%,
2/15/31,
Callable
11/15/30
@
100(b)
41,400
110,000
Yum!
Brands,
Inc.,
4.63%,
1/31/32,
Callable
10/1/26
@
102.31
101,475
713,587
Household
Durables
(0.2%):
35,000
Ashton
Woods
USA
LLC/Ashton
Woods
Finance
Co.,
4.63%,
4/1/30,
Callable
4/1/25
@
102.31(b)
31,850
15,000
Beazer
Homes
USA,
Inc.,
7.50%,
3/15/31,
Callable
3/15/27
@
103.75(b)
15,150
30,000
Century
Communities,
Inc.,
3.88%,
8/15/29,
Callable
2/15/29
@
100(b)
26,850
20,000
Landsea
Homes
Corp.,
8.88%,
4/1/29,
Callable
4/1/26
@
104.44(b)
19,850
15,000
LGI
Homes,
Inc.,
8.75%,
12/15/28,
Callable
12/15/25
@
104.38(b)
15,825
40,000
Newell
Brands,
Inc.,
6.88%,
4/1/36,
Callable
10/1/35
@
100
35,150
45,000
Tempur
Sealy
International,
Inc.,
4.00%,
4/15/29,
Callable
5/6/24
@
102^(b)
40,725
25,000
Tempur
Sealy
International,
Inc.,
3.88%,
10/15/31,
Callable
10/15/26
@
101.94(b)
21,125
50,000
TopBuild
Corp.,
4.13%,
2/15/32,
Callable
10/15/26
@
102.06(b)
44,000
250,525
Household
Products
(0.0%
):
35,000
Central
Garden
&
Pet
Co.,
4.13%,
4/30/31,
Callable
4/30/26
@
102.06(b)
30,713
Independent
Power
and
Renewable
Electricity
Producers
(0.5%):
350,000
AES
Corp.
(The),
3.30%,
7/15/25,
Callable
6/15/25
@
100(b)
338,932
280,000
AES
Corp.
(The),
3.95%,
7/15/30,
Callable
4/15/30
@
100(b)
254,800
20,000
Clearway
Energy
Operating
LLC,
4.75%,
3/15/28,
Callable
4/15/24
@
102.38^(b)
18,850
Principal
Amount
Value
Corporate
Bonds,
continued
Independent
Power
and
Renewable
Electricity
Producers,
continued
$
25,000
Leeward
Renewable
Energy
Operations
LLC,
4.25%,
7/1/29,
Callable
7/1/24
@
102.13(b)
$
21,438
20,000
Pattern
Energy
Operations
LP/Pattern
Energy
Operations,
Inc.,
4.50%,
8/15/28,
Callable
5/6/24
@
103.38(b)
18,650
40,000
Sunnova
Energy
Corp.,
5.88%,
9/1/26,
Callable
5/6/24
@
102.94^(b)
31,200
683,870
Industrial
Conglomerates
(0.1%):
85,000
Brand
Industrial
Services,
Inc.,
10.38%,
8/1/30,
Callable
8/1/26
@
105.19(b)
92,013
15,000
Global
Partners
LP/GLP
Finance
Corp.,
8.25%,
1/15/32,
Callable
1/15/27
@
104.13(b)
15,544
15,000
Roller
Bearing
Co.
of
America,
Inc.,
4.38%,
10/15/29,
Callable
10/15/24
@
102.19(b)
13,687
121,244
Industrial
REITs
(0.1%):
135,000
LXP
Industrial
Trust,
4.40%,
6/15/24,
Callable
5/6/24
@
100
134,098
Insurance
(0.7%):
35,000
AmWINS
Group,
Inc.,
4.88%,
6/30/29,
Callable
6/30/24
@
102.44(b)
32,462
25,000
AssuredPartners,
Inc.,
5.63%,
1/15/29,
Callable
5/6/24
@
102.81(b)
23,000
35,000
AssuredPartners,
Inc.,
7.50%,
2/15/32,
Callable
2/15/27
@
103.75(b)
34,387
30,000
BroadStreet
Partners,
Inc.,
5.88%,
4/15/29,
Callable
5/6/24
@
102.94(b)
27,713
340,000
Five
Corners
Funding
Trust
II,
2.85%,
5/15/30,
Callable
2/15/30
@
100(b)
297,031
160,000
Pacific
LifeCorp,
5.13%,
1/30/43(b)
149,632
250,000
Peachtree
Corners
Funding
Trust,
3.98%,
2/15/25(b)
245,018
35,000
Ryan
Specialty
LLC,
4.38%,
2/1/30,
Callable
2/1/25
@
102.19(b)
32,419
35,000
Station
Casinos
LLC,
6.63%,
3/15/32,
Callable
3/15/27
@
103.31(b)
35,394
280,000
Unum
Group,
4.00%,
6/15/29,
Callable
3/15/29
@
100
262,706
1,139,762
IT
Services
(0.1%):
30,000
Gartner,
Inc.,
3.75%,
10/1/30,
Callable
10/1/25
@
101.88(b)
26,738
50,000
Twilio,
Inc.,
3.88%,
3/15/31,
Callable
3/15/26
@
101.94^
43,625
70,363
Leisure
Products
(0.1%):
20,000
Amer
Sports
Co.,
6.75%,
2/16/31,
Callable
2/16/27
@
103.38(b)
19,900
20,000
Fiesta
Purchaser,
Inc.,
7.88%,
3/1/31,
Callable
3/1/27
@
103.94(b)
20,650
5,000
Mattel,
Inc.,
5.88%,
12/15/27,
Callable
5/6/24
@
102.94(b)
5,012
30,000
Mattel,
Inc.,
6.20%,
10/1/40
29,925
75,487
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
135
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Life
Sciences
Tools
&
Services
(0.0%
):
$
20,000
Charles
River
Laboratories
International,
Inc.,
4.25%,
5/1/28,
Callable
4/22/24
@
102.13(b)
$
18,750
15,000
Charles
River
Laboratories
International,
Inc.,
3.75%,
3/15/29,
Callable
5/6/24
@
101.88(b)
13,650
32,400
Machinery
(0.2%):
35,000
Esab
Corp.,
6.25%,
4/15/29,
Callable
4/15/26
@
103.13(b)
35,175
35,000
GrafTech
Finance,
Inc.,
4.63%,
12/15/28,
Callable
5/6/24
@
102.31(b)
22,531
20,000
GrafTech
Global
Enterprises,
Inc.,
9.88%,
12/15/28,
Callable
12/15/25
@
104.94^(b)
14,850
30,000
ITT
Holdings
LLC,
6.50%,
8/1/29,
Callable
8/1/24
@
103.25(b)
27,225
40,000
Madison
IAQ
LLC,
4.13%,
6/30/28,
Callable
6/30/24
@
102.06(b)
36,800
135,000
Madison
IAQ
LLC,
5.88%,
6/30/29,
Callable
6/30/24
@
102.94(b)
123,525
25,000
Mueller
Water
Products,
Inc.,
4.00%,
6/15/29,
Callable
6/15/24
@
102(b)
22,563
282,669
Media
(1.2%):
45,000
Allen
Media
LLC/Allen
Media
Co.-Issuer,
Inc.,
10.50%,
2/15/28,
Callable
5/6/24
@
105.25(b)
20,700
10,000
Arches
Buyer,
Inc.,
4.25%,
6/1/28,
Callable
5/6/24
@
102.13(b)
8,725
15,000
Arches
Buyer,
Inc.,
6.13%,
12/1/28,
Callable
5/6/24
@
103.06(b)
12,525
395,000
CCO
Holdings
LLC/CCO
Holdings
Capital
Corp.,
4.75%,
3/1/30,
Callable
9/1/24
@
102.38(b)
340,194
40,000
Central
Parent
LLC/CDK
Global
II
LLC/CDK
Financing
Co.,
Inc.,
8.00%,
6/15/29,
Callable
6/15/25
@
104(b)
41,450
160,000
Charter
Communications
Operating
LLC/Charter
Communications
Operating
Capital,
4.40%,
4/1/33,
Callable
1/1/33
@
100^
141,714
80,000
Charter
Communications
Operating
LLC/Charter
Communications
Operating
Capital,
5.38%,
5/1/47,
Callable
11/1/46
@
100
64,363
252,000
Charter
Communications
Operating
LLC/Charter
Communications
Operating
Capital,
5.25%,
4/1/53,
Callable
10/1/52
@
100
199,212
50,000
Clear
Channel
Outdoor
Holdings,
Inc.,
9.00%,
9/15/28,
Callable
9/15/25
@
104.5^(b)
51,875
20,000
Clear
Channel
Outdoor
Holdings,
Inc.,
7.88%,
4/1/30,
Callable
10/1/26
@
103.94(b)
19,950
65,000
CMG
Media
Corp.,
8.88%,
12/15/27,
Callable
4/15/24
@
102.22(b)
43,225
130,000
CSC
Holdings
LLC,
4.13%,
12/1/30,
Callable
12/1/25
@
102.06(b)
92,300
30,000
CSC
Holdings
LLC,
4.63%,
12/1/30,
Callable
12/1/25
@
102.31(b)
15,075
745,000
Diamond
Sports
Group
LLC/Diamond
Sports
Finance
Co.,
5.38%,
8/15/26,
Callable
4/22/24
@
101.34(b)
(d)
21,419
75,000
Fox
Corp.,
5.48%,
1/25/39,
Callable
7/25/38
@
100
71,185
30,000
Gray
Television,
Inc.,
4.75%,
10/15/30,
Callable
10/15/25
@
102.38^(b)
19,687
Principal
Amount
Value
Corporate
Bonds,
continued
Media,
continued
$
85,000
Match
Group
Holdings
II
LLC,
3.63%,
10/1/31,
Callable
10/1/26
@
101.81^(b)
$
72,250
140,000
TEGNA,
Inc.,
4.75%,
3/15/26,
Callable
5/6/24
@
101.19(b)
136,150
350,000
Time
Warner
Cable
LLC,
6.75%,
6/15/39
331,591
55,000
Univision
Communications,
Inc.,
6.63%,
6/1/27,
Callable
4/15/24
@
103.31(b)
53,694
60,000
Univision
Communications,
Inc.,
8.00%,
8/15/28,
Callable
8/15/25
@
104^(b)
61,125
1,818,409
Metals
&
Mining
(0.1%):
30,000
ATI,
Inc.,
4.88%,
10/1/29,
Callable
10/1/24
@
102.44
28,125
40,000
Cleveland-Cliffs,
Inc.,
6.75%,
4/15/30,
Callable
4/15/26
@
103.38(b)
40,000
25,000
Commercial
Metals
Co.,
4.13%,
1/15/30,
Callable
1/15/25
@
102.06
22,906
25,000
Novelis
Corp.,
3.88%,
8/15/31,
Callable
8/15/26
@
101.94(b)
21,406
35,000
Panther
Escrow
Issuer
LLC,
7.13%,
6/1/31,
Callable
6/1/27
@
103.56(b)
35,569
148,006
Mortgage
Real
Estate
Investment
Trusts
(REITs)
(0.0%
):
15,000
Rithm
Capital
Corp.,
8.00%,
4/1/29,
Callable
4/1/26
@
104(b)
14,550
Mortgage
Real
Estate
Investment
Trusts
(REITs)
(0.0%
):
30,000
Starwood
Property
Trust,
Inc.,
4.75%,
3/15/25,
Callable
9/15/24
@
100
29,550
Multi-Utilities
(0.0%
):
55,000
Sempra,
6.00%,
10/15/39
56,136
Office
REITs
(0.2%):
290,000
Hudson
Pacific
Properties
LP,
4.65%,
4/1/29,
Callable
1/1/29
@
100
247,225
50,000
Vornado
Realty
LP,
2.15%,
6/1/26,
Callable
5/1/26
@
100
45,285
292,510
Oil,
Gas
&
Consumable
Fuels
(3.2%):
25,000
Apache
Corp.,
7.38%,
8/15/47
25,063
15,000
Calumet
Specialty
Products
Partners
LP/Calumet
Finance
Corp.,
9.75%,
7/15/28,
Callable
7/15/25
@
104.88(b)
14,775
20,000
CITGO
Petroleum
Corp.,
8.38%,
1/15/29,
Callable
10/15/25
@
104.19(b)
20,950
10,000
CNX
Midstream
Partners
LP,
4.75%,
4/15/30,
Callable
4/15/25
@
102.38(b)
8,900
15,000
CNX
Resources
Corp.,
6.00%,
1/15/29,
Callable
5/6/24
@
104.5(b)
14,663
20,000
Columbia
Pipelines
Operating
Co.
LLC,
5.93%,
8/15/30,
Callable
6/15/30
@
100(b)
20,464
55,000
Columbia
Pipelines
Operating
Co.
LLC,
6.04%,
11/15/33,
Callable
8/15/33
@
100(b)
56,982
16,000
Columbia
Pipelines
Operating
Co.
LLC,
6.50%,
8/15/43,
Callable
2/15/43
@
100(b)
17,165
30,000
Columbia
Pipelines
Operating
Co.
LLC,
6.54%,
11/15/53,
Callable
5/15/53
@
100(b)
32,507
18,000
Columbia
Pipelines
Operating
Co.
LLC,
6.71%,
8/15/63,
Callable
2/15/63
@
100(b)
19,764
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
136
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
$
80,000
Comstock
Resources,
Inc.,
6.75%,
3/1/29,
Callable
4/22/24
@
103.38(b)
$
76,300
85,000
Continental
Resources,
Inc.,
5.75%,
1/15/31,
Callable
7/15/30
@
100(b)
84,469
25,000
CVR
Energy,
Inc.,
5.75%,
2/15/28,
Callable
4/22/24
@
101.92(b)
23,375
65,000
CVR
Energy,
Inc.,
8.50%,
1/15/29,
Callable
1/15/26
@
104.25(b)
65,975
105,00
0
DCP
Midstream
Operating
LP,
5.38%,
7/15/25,
Callable
4/15/25
@
100
104,790
60,000
DCP
Midstream
Operating
LP,
5.13%,
5/15/29,
Callable
2/15/29
@
100
59,625
100,000
DCP
Midstream
Operating
LP,
5.60%,
4/1/44,
Callable
10/1/43
@
100
96,750
35,000
Delek
Logistics
Partners
LP/Delek
Logistics
Finance
Corp.,
7.13%,
6/1/28,
Callable
6/1/24
@
103.56(b)
33,863
50,000
Delek
Logistics
Partners
LP/Delek
Logistics
Finance
Corp.,
8.63%,
3/15/29,
Callable
3/15/26
@
104.31(b)
50,937
18,000
Devon
Energy
Corp.,
5.25%,
10/15/27,
Callable
4/15/24
@
101.75
17,990
25,000
DT
Midstream,
Inc.,
4.13%,
6/15/29,
Callable
6/15/24
@
102.06(b)
22,875
124,000
Energy
Transfer
LP,
3.90%,
5/15/24,
Callable
5/6/24
@
100
123,713
190,000
Energy
Transfer
LP,
4.95%,
6/15/28,
Callable
3/15/28
@
100
188,222
105,000
Energy
Transfer
LP,
6.00%,
2/1/29,
Callable
5/6/24
@
103(b)
105,787
55,000
Energy
Transfer
LP,
7.38%,
2/1/31,
Callable
2/1/26
@
103.69(b)
57,613
427,000
Energy
Transfer
LP,
5.00%,
5/15/50,
Callable
11/15/49
@
100
373,818
65,000
Energy
Transfer
LP,
Series
A,
9.60%
(TSFR3M+429
bps),
12/31/99,
Callable
4/22/24
@
100
64,594
60,000
EnLink
Midstream
LLC,
5.63%,
1/15/28,
Callable
7/15/27
@
100(b)
59,400
70,000
EQM
Midstream
Partners
LP,
4.50%,
1/15/29,
Callable
7/15/28
@
100(b)
65,450
45,000
EQT
Corp.,
5.00%,
1/15/29,
Callable
7/15/28
@
100
44,066
45,000
Genesis
Energy
LP/Genesis
Energy
Finance
Corp.,
8.00%,
1/15/27,
Callable
5/6/24
@
104
45,337
150,000
Hess
Corp.,
4.30%,
4/1/27,
Callable
1/1/27
@
100
146,805
109,000
Hess
Corp.,
7.30%,
8/15/31
122,318
610,000
Hess
Corp.,
5.60%,
2/15/41
620,741
70,000
Hess
Midstream
Operations
LP,
5.63%,
2/15/26,
Callable
5/6/24
@
100(b)
69,125
35,000
Hess
Midstream
Operations
LP,
4.25%,
2/15/30,
Callable
2/15/25
@
102.13(b)
32,025
40,000
Kinetik
Holdings
LP,
6.63%,
12/15/28,
Callable
12/15/25
@
103.31(b)
40,600
20,000
Kinetik
Holdings
LP,
5.88%,
6/15/30,
Callable
6/15/25
@
102.94(b)
19,575
35,000
Matador
Resources
Co.,
6.50%,
4/15/32,
Callable
4/15/27
@
103.25(b)
35,131
408,000
Mesquite
Energy,
Inc.,
7.25%,
2/15/23(a)(b)(d)
200,000
MPLX
LP,
4.95%,
9/1/32,
Callable
6/1/32
@
100
193
,762
42,000
Murphy
Oil
Corp.,
5.88%,
12/1/27,
Callable
4/22/24
@
101.96
41,685
Principal
Amount
Value
Corporate
Bonds,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
$
65,000
New
Fortress
Energy,
Inc.,
8.75%,
3/15/29,
Callable
3/15/26
@
104.38(b)
$
65,000
30,000
NGL
Energy
Operating
LLC/NGL
Energy
Finance
Corp.,
8.13%,
2/15/29,
Callable
2/15/26
@
104.06(b)
30,675
30,000
Northern
Oil
and
Gas,
Inc.,
8.75%,
6/15/31,
Callable
6/15/26
@
104.38^(b)
31,650
50,000
Occidental
Petroleum
Corp.,
3.50%,
8/15/29,
Callable
5/15/29
@
100
45,188
112,000
Occidental
Petroleum
Corp.,
7.50%,
5/1/31
124,600
50,000
PBF
Holding
Co.
LLC/PBF
Finance
Corp.,
6.00%,
2/15/28,
Callable
5/6/24
@
101.5
49,125
15,000
PDC
Energy,
Inc.,
5.75%,
5/15/26,
Callable
5/6/24
@
101.44
14,981
30,000
Permian
Resources
Operating
LLC,
5.88%,
7/1/29,
Callable
7/1/24
@
102.94(b)
29,475
45,000
Permian
Resources
Operating
LLC,
7.00%,
1/15/32,
Callable
1/15/27
@
103.5(b)
46,462
15,000
Prairie
Acquiror,
LP,
9.00%,
8/1/29,
Callable
2/1/26
@
104.5(b)
15,431
45,000
Range
Resources
Corp.,
4.88%,
5/15/25,
Callable
2/15/25
@
100
44,663
230,000
Sabine
Pass
Liquefaction
LLC,
4.50%,
5/15/30,
Callable
11/15/29
@
100
220,800
38,000
Sitio
Royalties
Operating
Partnership
LP/Sitio
Finance
Corp.,
7.88%,
11/1/28,
Callable
11/1/25
@
103.94(b)
39,330
20,000
SM
Energy
Co.,
5.63%,
6/1/25,
Callable
5/6/24
@
100
19,850
25,000
Southwestern
Energy
Co.,
4.75%,
2/1/32,
Callable
2/1/27
@
102.38
22,937
5,000
Sunoco
LP/Sunoco
Finance
Corp.,
6.00%,
4/15/27,
Callable
5/6/24
@
101
4,963
95,000
Sunoco
LP/Sunoco
Finance
Corp.,
5.88%,
3/15/28,
Callable
5/6/24
@
101.96
93,575
60,000
Tallgrass
Energy
Partners
LP/Tallgrass
Energy
Finance
Corp.,
6.00%,
12/31/30,
Callable
12/31/25
@
103(b)
56,850
30,000
Targa
Resources
Partners
LP/Targa
Resources
Partners
Finance
Corp.,
5.50%,
3/1/30,
Callable
3/1/25
@
102.75
29,850
20,000
Targa
Resources
Partners
LP/Targa
Resources
Partners
Finance
Corp.,
4.00%,
1/15/32,
Callable
7/15/26
@
102
1
7,950
13,000
Western
Midstream
Operating
LP,
4.65%,
7/1/26,
Callable
4/1/26
@
100
12,740
400,000
Western
Midstream
Operating
LP,
4.50%,
3/1/28,
Callable
12/1/27
@
100
385,000
220,000
Williams
Cos.,
Inc.
(The),
4.65%,
8/15/32,
Callable
5/15/32
@
100
211,587
4,930,631
Passenger
Airlines
(0.1%):
35,000
American
Airlines,
Inc.,
7.25%,
2/15/28,
Callable
2/15/25
@
103.63(b)
35,481
35,000
American
Airlines,
Inc.,
8.50%,
5/15/29,
Callable
11/15/25
@
104.25(b)
36,881
72,362
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
137
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Personal
Care
Products
(0.0%
):
$
25,000
BellRing
Brands,
Inc.,
7.00%,
3/15/30,
Callable
3/15/27
@
101.75(b)
$
25,750
Pharmaceuticals
(0.1%):
230,000
Viatris,
Inc.,
2.70%,
6/22/30,
Callable
3/22/30
@
100
195,090
Professional
Services
(0.1%):
25,000
ASGN,
Inc.,
4.63%,
5/15/28,
Callable
5/6/24
@
102.31(b)
23,562
90,000
CoreLogic,
Inc.,
4.50%,
5/1/28,
Callable
5/6/24
@
102.25(b)
80,550
20,000
TriNet
Group,
Inc.,
7.13%,
8/15/31,
Callable
8/15/26
@
103.56^(b)
20,525
124,637
Real
Estate
Management
&
Development
(0.7%):
421,000
Brandywine
Operating
Partners
LP,
3.95%,
11/15/27,
Callable
8/15/27
@
100
377,073
288,000
Brandywine
Operating
Partnership
LP,
8.05%,
3/15/28,
Callable
2/15/28
@
100^
290,907
150,000
CBRE
Services,
Inc.,
2.50%,
4/1/31,
Callable
1/1/31
@
100
124,208
98,000
COPT
Defense
Properties
LP,
2.25%,
3/15/26,
Callable
2/15/26
@
100
91,987
27,000
COPT
Defense
Properties
LP,
2.00%,
1/15/29,
Callable
11/15/28
@
100
22,617
85,000
COPT
Defense
Properties
LP,
2.75%,
4/15/31,
Callable
1/15/31
@
100
69,835
35,000
Kennedy-Wilson,
Inc.,
4.75%,
2/1/30,
Callable
9/1/24
@
102.38
27,825
100,000
Pine
Street
Trust
II,
5.57%,
2/15/49,
Callable
8/15/48
@
100(b)
93,035
40,000
VICI
Properties
LP/VICI
Note
Co.,
Inc.,
4.63%,
6/15/25,
Callable
3/15/25
@
100(b)
39,400
1,136,887
Retail
REITs
(0.7%):
100,000
Boston
Properties
LP,
6.75%,
12/1/27,
Callable
11/1/27
@
100
103,669
22,000
Kite
Realty
Group
Trust,
4.75%,
9/15/30,
Callable
6/15/30
@
100
21,049
387,000
Tanger
Properties
LP,
3.13%,
9/1/26,
Callable
6/1/26
@
100
362,344
237,000
Tanger
Properties
LP,
2.75%,
9/1/31,
Callable
6/1/31
@
100
194,289
390,000
VICI
Properties
LP,
4.95%,
2/15/30,
Callable
12/15/29
@
100
376,350
1,057,701
Semiconductors
&
Semiconductor
Equipment
(0.6%):
55,000
Broadcom,
Inc.,
2.45%,
2/15/31,
Callable
11/15/30
@
100(b)
46,346
597,000
Broadcom,
Inc.,
2.60%,
2/15/33,
Callable
11/15/32
@
100(b)
484,883
490,000
Broadcom,
Inc.,
3.50%,
2/15/41,
Callable
8/15/40
@
100(b)
377,007
30,000
ON
Semiconductor
Corp.,
3.88%,
9/1/28,
Callable
5/6/24
@
101.94(b)
27,488
50,000
Qorvo,
Inc.,
4.38%,
10/15/29,
Callable
10/15/24
@
102.19
46,687
982,411
Principal
Amount
Value
Corporate
Bonds,
continued
Software
(0.6%):
$
90,000
AthenaHealth
Group,
Inc.,
6.50%,
2/15/30,
Callable
2/15/25
@
103.25(b)
$
82,125
20,000
Booz
Allen
Hamilton,
Inc.,
4.00%,
7/1/29,
Callable
7/1/24
@
102(b)
18,625
25,000
Boxer
Parent
Co.,
Inc.,
7.13%,
10/2/25,
Callable
5/6/24
@
101.78(b)
25,000
25,000
Cloud
Software
Group,
Inc.,
6.50%,
3/31/29,
Callable
9/30/25
@
103.25(b)
23,656
110,000
Cloud
Software
Group,
Inc.,
9.00%,
9/30/29,
Callable
9/30/25
@
104.5(b)
105,050
30,000
Fair
Isaac
Corp.,
4.00%,
6/15/28,
Callable
4/22/24
@
101(b)
28,050
55,000
MicroStrategy,
Inc.,
6.13%,
6/15/28,
Callable
6/15/24
@
103.06^(b)
53,144
555,000
Oracle
Corp.,
2.30%,
3/25/28,
Callable
1/25/28
@
100
500,512
25,000
UKG,
Inc.,
6.88%,
2/1/31,
Callable
2/1/27
@
103.44(b)
25,375
30,000
Veritas
US,
Inc./Veritas
Bermuda,
Ltd.,
7.50%,
9/1/25,
Callable
5/6/24
@
100(b)
27,450
888,987
Specialized
REITs
(0.0%
):
17,000
VICI
Properties
LP,
5.75%,
4/1/34,
Callable
1/1/34
@
100
16,788
Specialty
Retail
(0.4%):
35,000
ACProducts
Holdings,
Inc.,
6.38%,
5/15/29,
Callable
5/15/24
@
103.19(b)
26,425
35,000
Asbury
Automotive
Group,
Inc.,
4.63%,
11/15/29,
Callable
11/15/24
@
102.31(b)
32,200
30,000
At
Home
Group,
Inc.,
4.88%,
7/15/28,
Callable
5/6/24
@
102.44(b)
13,650
47,000
AutoNation,
Inc.,
4.75%,
6/1/30,
Callable
3/1/30
@
100
45,118
200,000
AutoZone,
Inc.,
4.00%,
4/15/30,
Callable
1/15/30
@
100
189,245
95,000
Bath
&
Body
Works,
Inc.,
6.63%,
10/1/30,
Callable
10/1/25
@
103.31(b)
96,781
66,000
Carvana
Co.,
5.88%,
10/1/28,
Callable
4/15/24
@
104.41(b)
44,220
10,000
Carvana
Co.,
4.88%,
9/1/29,
Callable
9/1/24
@
102.44(b)
6,400
55,000
Carvana
Co.,
10.25%,
5/1/30,
Callable
5/1/27
@
105.13(b)
44,550
30,000
Foot
Locker,
Inc.,
4.00%,
10/1/29,
Callable
10/1/24
@
102^(b)
25,125
25,000
Michaels
Cos.,
Inc.
(The),
5.25%,
5/1/28,
Callable
4/15/24
@
102.63^(b)
21,250
40,000
Staples,
Inc.,
7.50%,
4/15/26,
Callable
5/6/24
@
100(b)
39,050
20,000
Upbound
Group,
Inc.,
6.38%,
2/15/29,
Callable
5/6/24
@
103.19(b)
19,300
35,000
Valvoline,
Inc.,
4.25%,
2/15/30,
Callable
2/15/25
@
102.13(b)
34,956
50,000
Valvoline,
Inc.,
3.63%,
6/15/31,
Callable
6/15/26
@
101.81(b)
42,875
681,145
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
138
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Technology
Hardware,
Storage
&
Peripherals
(0.2%):
$
90,000
CommScope,
Inc.,
4.75%,
9/1/29,
Callable
9/1/24
@
102.38(b)
$
64,125
91,000
Dell
International
LLC/EMC
Corp.,
6.02%,
6/15/26,
Callable
3/15/26
@
100
92,192
148,000
Dell
International
LLC/EMC
Corp.,
6.10%,
7/15/27,
Callable
5/15/27
@
100
152,538
308,855
Textiles,
Apparel
&
Luxury
Goods
(0.3%):
25,000
Crocs,
Inc.,
4.13%,
8/15/31,
Callable
8/15/26
@
102.06^(b)
21,594
20,000
Kontoor
Brands,
Inc.,
4.13%,
11/15/29,
Callable
11/15/24
@
102.06^(b)
17,975
30,000
Levi
Strauss
&
Co.,
3.50%,
3/1/31,
Callable
3/1/26
@
101.75(b)
26,175
19,000
Tapestry,
Inc.,
7.05%,
11/27/25
19,373
53,000
Tapestry,
Inc.,
7.00%,
11/27/26
54,547
84,000
Tapestry,
Inc.,
7.35%,
11/27/28,
Callable
10/27/28
@
100
88,264
94,000
Tapestry,
Inc.,
7.70%,
11/27/30,
Callable
9/27/30
@
100
100,110
94,000
Tapestry,
Inc.,
7.85%,
11/27/33,
Callable
8/27/33
@
100
101,935
45,000
Wolverine
World
Wide,
Inc.,
4.00%,
8/15/29,
Callable
8/15/24
@
102(b)
36,000
465,973
Tobacco
(0.0%
):
30,000
Turning
Point
Brands,
Inc.,
5.63%,
2/15/26,
Callable
4/15/24
@
101.41(b)
29,175
Trading
Companies
&
Distributors
(0.3%):
290,000
Air
Lease
Corp.,
3.38%,
7/1/25,
Callable
6/1/25
@
100
282,472
20,000
Beacon
Roofing
Supply,
Inc.,
6.50%,
8/1/30,
Callable
8/1/26
@
103.25(b)
20,275
30,000
Fortress
Transportation
and
Infrastructure
Investors
LLC,
7.88%,
12/1/30,
Callable
12/1/26
@
103.94(b)
31,462
40,000
Foundation
Building
Materials,
Inc.,
6.00%,
3/1/29,
Callable
5/6/24
@
103(b)
36,800
25,000
SRS
Distribution,
Inc.,
6.13%,
7/1/29,
Callable
7/1/24
@
103.06(b)
25,438
40,000
SRS
Distribution,
Inc.,
6.00%,
12/1/29,
Callable
12/1/24
@
103(b)
40,850
55,000
United
Rentals
North
America,
Inc.,
6.13%,
3/15/34,
Callable
3/15/29
@
103.06(b)
55,069
492,366
Wireless
Telecommunication
Services
(0.5%):
175,000
Sprint
Capital
Corp.,
6.88%,
11/15/28
186,156
65,000
T-Mobile
USA,
Inc.,
4.75%,
2/1/28,
Callable
4/15/24
@
101.58
64,188
500,000
T-Mobile
USA,
Inc.,
3.88%,
4/15/30,
Callable
1/15/30
@
100
468,556
718,900
Total
Corporate
Bonds
(Cost
$47,306,439)
43,894,254
Principal
Amount
Value
Yankee
Debt
Obligations
(6.6%):
Aerospace
&
Defense
(0.1%):
$
43,000
Bombardier,
Inc.,
7.13%,
6/15/26,
Callable
5/6/24
@
103.56(b)
$
43,623
45,000
Bombardier,
Inc.,
6.00%,
2/15/28,
Callable
5/6/24
@
103(b)
44,269
87,892
Banks
(1.3%):
270,000
Barclays
plc,
5.09%
(US0003M+305
bps),
6/20/30,
Callable
6/20/29
@
100
259,473
200,000
Commonwealth
Bank
of
Australia,
3.61%,
9/12/34,
Callable
9/12/29
@
100(b)
179,809
550,000
Intesa
Sanpaolo
SpA,
5.71%,
1/15/26(b)
545,623
286,000
NatWest
Group
plc,
3.07%
(H15T1Y+255
bps),
5/22/28,
Callable
5/22/27
@
100
266,736
513,000
Societe
Generale
SA,
1.49%
(H15T1Y+110
bps),
12/14/26,
Callable
12/14/25
@
100(b)
476,356
47,000
UniCredit
SpA,
5.86%
(USISDA05+370
bps),
6/19/32,
Callable
6/19/27
@
100(b)
45,847
23,000
UniCredit
SpA,
7.30%
(USISDA05+491
bps),
4/2/34,
Callable
4/2/29
@
100(b)
23,601
135,000
Westpac
Banking
Corp.,
4.11%
(H15T5Y+200
bps),
7/24/34,
Callable
7/24/29
@
100
124,235
1,921,680
Biotechnology
(0.0%
):
10,000
Grifols
SA,
4.75%,
10/15/28,
Callable
10/15/24
@
102.38^(b)
8,275
Capital
Markets
(0.6%):
680,000
Deutsche
Bank
AG,
4.50%,
4/1/25
669,580
314,000
UBS
Group
AG,
1.49%
(H15T1Y+85
bps),
8/10/27,
Callable
8/10/26
@
100(b)
285,410
954,990
Chemicals
(0.2%):
25,000
Cerdia
Finanz
GmbH,
10.50%,
2/15/27,
Callable
5/6/24
@
105.25(b)
25,875
85,000
Methanex
Corp.,
5.13%,
10/15/27,
Callable
4/15/27
@
100
82,131
30,000
Methanex
Corp.,
5.25%,
12/15/29,
Callable
9/15/29
@
100
28,612
95,000
NOVA
Chemicals
Corp.,
5.25%,
6/1/27,
Callable
3/3/27
@
100(b)
89,063
10,000
NOVA
Chemicals
Corp.,
9.00%,
2/15/30,
Callable
8/15/26
@
104.5(b)
10,300
25,000
SNF
Group
SACA,
3.13%,
3/15/27,
Callable
5/6/24
@
101.56(b)
23,031
259,012
Commercial
Services
&
Supplies
(0.0%
):
15,000
GFL
Environmental,
Inc.,
6.75%,
1/15/31,
Callable
1/15/27
@
103.38(b)
15,356
Communications
Equipment
(0.0%
):
30,000
Nokia
Oyj,
6.63%,
5/15/39
29,025
Containers
&
Packaging
(0.1%):
10,000
Intelligent
Packaging,
Ltd.
Finco,
Inc./Intelligent
Packaging,
Ltd.
Co.-Issuer
LLC,
6.00%,
9/15/28,
Callable
5/6/24
@
101.5(b)
9,463
25,000
OI
European
Group
BV,
4.75%,
2/15/30,
Callable
11/15/24
@
102.38(b)
22,937
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
139
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Yankee
Debt
Obligations,
continued
Containers
&
Packaging,
continued
$
45,000
Trivium
Packaging
Finance
BV,
5.50%,
8/15/26,
Callable
5/6/24
@
101.38(b)
$
44,212
76,612
Diversified
Consumer
Services
(0.1%):
95,000
GEMS
MENASA
Cayman,
Ltd./GEMS
Education
Delaware
LLC,
7.13%,
7/31/26,
Callable
5/6/24
@
101.78(b)
95,000
Diversified
Telecommunication
Services
(0.3%):
270,000
Altice
France
Holding
SA,
6.00%,
2/15/28,
Callable
5/6/24
@
101.5(b)
74,250
185,000
Altice
France
SA,
5.13%,
1/15/29,
Callable
5/6/24
@
102.56(b)
123,950
130,000
C&W
Senior
Finance,
Ltd.,
6.88%,
9/15/27,
Callable
4/15/24
@
101.72(b)
122,688
45,000
Intelsat
Jackson
Holdings
SA,
6.50%,
3/15/30,
Callable
3/15/25
@
102(b)
41,886
20,000
Telecom
Italia
Capital
SA,
6.38%,
11/15/33
18,850
80,000
Telecom
Italia
Capital
SA,
6.00%,
9/30/34
73,000
454,624
Electrical
Equipment
(0.0%
):
45,000
Sensata
Technologies
BV,
4.00%,
4/15/29,
Callable
5/6/24
@
102(b)
41,063
Energy
Equipment
&
Services
(0.0%
):
30,000
Valaris,
Ltd.,
8.38%,
4/30/30,
Callable
4/30/26
@
104.19(b)
30,825
Financial
Services
(0.6%):
21,000
1375209
BC,
Ltd.,
9.00%,
1/30/28,
Callable
4/15/24
@
101^(b)
20,580
251,000
AerCap
Ireland
Capital
DAC/AerCap
Global
Aviation
Trust,
4.45%,
4/3/26,
Callable
2/3/26
@
100
246,433
209,000
AerCap
Ireland
Capital
DAC/AerCap
Global
Aviation
Trust,
2.45%,
10/29/26,
Callable
9/29/26
@
100
193,975
234,000
AerCap
Ireland
Capital
DAC/AerCap
Global
Aviation
Trust,
3.30%,
1/30/32,
Callable
10/30/31
@
100
200,783
50,000
GGAM
Finance,
Ltd.,
7.75%,
5/15/26,
Callable
11/15/25
@
100(b)
50,938
30,000
GGAM
Finance,
Ltd.,
8.00%,
2/15/27,
Callable
8/15/26
@
100(b)
30,900
25,000
GGAM
Finance,
Ltd.,
6.88%,
4/15/29,
Callable
4/15/26
@
103.44(b)
25,219
25,000
Macquarie
Airfinance
Holdings,
Ltd.,
8.38%,
5/1/28,
Callable
5/1/25
@
104.19(b)
26,500
5,000
Macquarie
Airfinance
Holdings,
Ltd.,
6.40%,
3/26/29,
Callable
2/26/29
@
100(b)
5,081
20,000
Macquarie
Airfinance
Holdings,
Ltd.,
8.13%,
3/30/29,
Callable
9/30/25
@
104.06(b)
21,150
25,000
NCL
Finance,
Ltd.,
6.13%,
3/15/28,
Callable
12/15/27
@
100(b)
24,687
846,246
Health
Care
Providers
&
Services
(0.0%
):
20,000
Jazz
Securities
DAC,
4.38%,
1/15/29,
Callable
7/15/24
@
102.19(b)
18,625
Hotels,
Restaurants
&
Leisure
(0.4%):
55,000
1011778
BC
ULC/New
Red
Finance,
Inc.,
5.75%,
4/15/25,
Callable
5/6/24
@
100(b)
54,863
Principal
Amount
Value
Yankee
Debt
Obligations,
continued
Hotels,
Restaurants
&
Leisure,
continued
$
80,000
1011778
BC
ULC/New
Red
Finance,
Inc.,
4.00%,
10/15/30,
Callable
10/15/25
@
102(b)
$
71,000
40,000
Carnival
Corp.,
7.00%,
8/15/29,
Callable
8/15/26
@
103.5(b)
41,750
45,000
Carnival
Corp.,
10.50%,
6/1/30,
Callable
6/1/25
@
105.25(b)
49,219
65,000
Melco
Resorts
Finance,
Ltd.,
5.38%,
12/4/29,
Callable
12/4/24
@
102.69(b)
59,150
45,000
NCL
Corp.,
Ltd.,
3.63%,
12/15/24,
Callable
4/15/24
@
100(b)
44,212
55,000
NCL
Corp.,
Ltd.,
8.38%,
2/1/28,
Callable
2/1/25
@
104.19(b)
57,956
10,000
Ontario
Gaming
GTA
LP/OTG
Co.-Issuer,
Inc.,
8.00%,
8/1/30,
Callable
8/1/25
@
104(b)
10,288
40,000
Royal
Caribbean
Cruises,
Ltd.,
5.50%,
8/31/26,
Callable
2/28/26
@
100(b)
39,500
50,000
Royal
Caribbean
Cruises,
Ltd.,
5.38%,
7/15/27,
Callable
10/15/26
@
100(b)
49,125
40,000
Royal
Caribbean
Cruises,
Ltd.,
7.25%,
1/15/30,
Callable
12/15/25
@
103.63(b)
41,400
30,000
Royal
Caribbean
Cruises,
Ltd.,
6.25%,
3/15/32,
Callable
3/15/27
@
103.13(b)
30,225
25,000
Studio
City
Co.,
Ltd.,
7.00%,
2/15/27,
Callable
5/6/24
@
103.5(b)
24,906
50,000
Viking
Cruises,
Ltd.,
9.13%,
7/15/31,
Callable
7/15/26
@
104.56(b)
54,625
628,219
Insurance
(0.3%):
230,000
AIA
Group,
Ltd.,
3.38%,
4/7/30,
Callable
1/7/30
@
100(b)
211,192
200,000
Swiss
Re
Finance
Luxembourg
SA,
5.00%
(H15T5Y+358
bps),
4/2/49,
Callable
4/2/29
@
100(b)
193,937
405,129
Machinery
(0.0%
):
65,000
HTA
Group,
Ltd.,
7.00%,
12/18/25,
Callable
5/6/24
@
101.75(b)
64,675
Media
(0.0%
):
50,000
Ziggo
Bond
Co.
BV,
5.13%,
2/28/30,
Callable
2/15/25
@
102.56(b)
42,750
Metals
&
Mining
(0.1%):
10,000
Alcoa
Nederland
Holding
BV,
7.13%,
3/15/31,
Callable
3/15/27
@
103.56(b)
10,187
85,000
ERO
Copper
Corp.,
6.50%,
2/15/30,
Callable
2/15/25
@
103.25(b)
80,644
55,000
First
Quantum
Minerals,
Ltd.,
6.88%,
10/15/27,
Callable
4/15/24
@
103.44(b)
52,594
5,000
FMG
Resources
August
2006
Pty,
Ltd.,
4.50%,
9/15/27,
Callable
6/15/27
@
100(b)
4,787
30,000
Mineral
Resources,
Ltd.,
8.00%,
11/1/27,
Callable
11/1/24
@
104(b)
30,600
20,000
Mineral
Resources,
Ltd.,
9.25%,
10/1/28,
Callable
10/1/25
@
104.63^(b)
21,025
199,837
Oil,
Gas
&
Consumable
Fuels
(1.4%):
30,000
Baytex
Energy
Corp.,
7.38%,
3/15/32,
Callable
3/15/27
@
103.69(b)
30,300
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
140
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Yankee
Debt
Obligations,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
$
35,000
Consolidated
Energy
Finance
SA,
12.00%,
2/15/31,
Callable
2/15/27
@
106(b)
$
36,575
125,000
eG
Global
Finance
plc,
12.00%,
11/30/28,
Callable
5/30/26
@
106(b)
132,187
58,000
MEG
Energy
Corp.,
7.13%,
2/1/27,
Callable
5/6/24
@
101.78(b)
58,870
785,000
Petroleos
Mexicanos,
6.84%,
1/23/30,
Callable
10/23/29
@
100
688,838
1,662,000
Petroleos
Mexicanos,
6.75%,
9/21/47
1,101,075
10,000
Seadrill
Finance,
Ltd.,
8.38%,
8/1/30,
Callable
8/1/26
@
104.19(b)
10,400
30,000
Teine
Energy,
Ltd.,
6.88%,
4/15/29,
Callable
5/6/24
@
103.44(b)
29,063
40,500
Transocean
Poseidon,
Ltd.,
6.88%,
2/1/27,
Callable
5/7/24
@
101.72(b)
40,449
63,000
Transocean,
Inc.,
8.75%,
2/15/30,
Callable
2/15/26
@
104.38(b)
65,520
2,193,277
Passenger
Airlines
(0.0%
):
95,000
VistaJet
Malta
Finance
plc/Vista
Management
Holding,
Inc.,
6.38%,
2/1/30,
Callable
2/1/25
@
103.19^(b)
69,706
Pharmaceuticals
(0.1%):
85,000
Bausch
Health
Cos.,
Inc.,
5.50%,
11/1/25,
Callable
5/6/24
@
100(b)
79,900
37,000
Bausch
Health
Cos.,
Inc.,
11.00%,
9/30/28(b)
24,697
7,000
Bausch
Health
Cos.,
Inc.,
14.00%,
10/15/30,
Callable
10/15/25
@
106(b)
4,060
108,657
Software
(0.1%):
30,000
Elastic
NV,
4.13%,
7/15/29,
Callable
7/15/24
@
102.06(b)
26,775
95,000
Open
Text
Corp.,
3.88%,
2/15/28,
Callable
5/6/24
@
100.97(b)
87,994
114,769
Sovereign
Bond
(0.7%):
444,000
Dominican
Republic
International
Bond,
5.50%,
1/27/25(b)
440,670
250,000
Dominican
Republic
International
Bond,
6.00%,
7/19/28(b)
248,750
200,000
Qatar
Government
International
Bond,
4.40%,
4/16/50(b)
176,600
230,000
Saudi
Government
International
Bond,
3.25%,
10/22/30(b)
208,434
1,074,454
Technology
Hardware,
Storage
&
Peripherals
(0.0%
):
20,000
Seagate
HDD
Cayman,
8.25%,
12/15/29,
Callable
7/15/26
@
104.13(b)
21,475
Transportation
Infrastructure
(0.0%
):
55,000
Seaspan
Corp.,
5.50%,
8/1/29,
Callable
8/1/24
@
102.75(b)
47,644
Wireless
Telecommunication
Services
(0.2%):
315,000
Millicom
International
Cellular
SA,
6.25%,
3/25/29,
Callable
4/15/24
@
103.13(b)
306,337
Principal
Amount
Value
Yankee
Debt
Obligations,
continued
Wireless
Telecommunication
Services,
continued
$
60,000
Millicom
International
Cellular
SA,
4.50%,
4/27/31,
Callable
4/27/26
@
102.25(b)
$
51,450
357,787
Total
Yankee
Debt
Obligations
(Cost
$11,408,040)
10,167,604
U.S.
Government
Agency
Mortgages
(22.3%):
Government
National
Mortgage
Association
(4.6%):
2,670
5.00%,
6/15/34,
Pool
#629493
2,615
1,999
5.00%,
3/15/38,
Pool
#676766
1,989
1,329
5.00%,
4/15/38,
Pool
#672672
1,322
4,868
5.00%,
8/15/38,
Pool
#687818
4,941
43,473
5.00%,
1/15/39,
Pool
#705997
44,453
540
5.00%,
3/15/39,
Pool
#697946
552
76,189
5.00%,
3/15/39,
Pool
#646746
77,906
82,201
4.00%,
10/15/40,
Pool
#783143
78,645
22,522
4.00%,
10/20/40,
Pool
#4833
21,548
67,761
4.00%,
1/20/41,
Pool
#4922
64,831
186,168
4.50%,
3/20/41,
Pool
#4978
185,115
65,485
4.50%,
5/20/41,
Pool
#5055
65,115
135,439
4.00%,
5/20/41,
Pool
#5054
130,115
63,893
4.50%,
6/15/41,
Pool
#366975
62,761
43,329
4.50%,
6/20/41,
Pool
#5082
42,748
175,417
3.50%,
12/20/41,
Pool
#5258
163,057
306,735
4.00%,
1/20/42,
Pool
#5280
294,679
169,469
3.00%,
12/20/42,
Pool
#AA5872
150,372
109,093
3.00%,
12/20/42,
Pool
#MA0624
98,937
19,083
3.00%,
1/20/43,
Pool
#MA0698
17,203
236,604
3.50%,
2/20/43,
Pool
#MA0783
219,431
111,735
3.00%,
3/20/43,
Pool
#AA6146
100,624
47,970
3.00%,
3/20/43,
Pool
#AD8812
43,020
31,229
3.50%,
3/20/43,
Pool
#AD8884
28,971
32,754
3.50%,
4/20/43,
Pool
#AD9075
30,385
12,222
3.50%,
4/20/43,
Pool
#AB9891
11,338
2,737
4.00%,
7/20/44,
Pool
#MA2074
2,617
115,963
4.00%,
4/15/46,
Pool
#784232
111,191
17,824
3.50%,
7/20/46,
Pool
#784391
16,506
9,958
3.00%,
10/20/46,
Pool
#MA4003
8,937
520,365
3.00%,
12/20/46,
Pool
#MA4126
467,619
56,304
4.00%,
1/15/47,
Pool
#AX5857
53,901
49,257
4.00%,
1/15/47,
Pool
#AX5831
46,696
163,433
3.00%,
1/20/47,
Pool
#MA4195
146,867
98,931
3.00%,
2/20/47,
Pool
#MA4261
88,656
162,311
4.00%,
4/20/47,
Pool
#784303
154,576
163,978
4.00%,
4/20/47,
Pool
#784304
156,166
48,176
4.00%,
4/20/48,
Pool
#BG3507
45,748
53,441
4.00%,
4/20/48,
Pool
#BG7744
50,748
227,273
2.00%,
11/20/50,
Pool
#MA6994
186,688
363,908
2.00%,
1/20/51,
Pool
#MA7135
298,800
264,806
2.00%,
2/20/51,
Pool
#MA7192
217,386
93,823
2.50%,
6/20/51,
Pool
#MA7418
80,076
186,596
2.50%,
9/20/51,
Pool
#MA7589
159,172
49,498
4.00%,
10/20/52,
Pool
#MA8346
46,330
693,637
4.50%,
4/20/53,
Pool
#MA8799
666,709
175,000
2.00%,
3/20/54,
TBA
143,450
200,000
6.50%,
4/20/54,
TBA
203,344
150,000
5.50%,
4/20/54,
TBA
149,930
275,000
2.00%,
4/20/54,
TBA
225,285
225,000
2.50%,
4/20/54,
TBA
191,777
600,000
2.50%,
5/20/54,
TBA
511,875
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
141
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Government
National
Mortgage
Association,
continued
$
200,000
5.50%,
5/20/54,
TBA
$
199,781
350,000
2.00%,
5/20/54,
TBA
287,055
300,000
6.50%,
5/20/54,
TBA
304,688
7,165,247
Federal
Home
Loan
Mortgage
Corporation
(6.9%):
16,032
2.50%,
6/1/31,
Pool
#G18604
14,793
28,189
2.50%,
7/1/31,
Pool
#V61246
25,920
46,162
2.50%,
8/1/31,
Pool
#V61273
42,344
172,410
3.50%,
3/1/32,
Pool
#C91403
163,800
532,089
3.50%,
7/1/32,
Pool
#C91467
505,506
4,627
2.50%,
8/1/32,
Pool
#G18654
4,325
4,901
2.50%,
11/1/32,
Pool
#G18665
4,581
150,996
2.50%,
12/1/32,
Pool
#G18669
141,137
23,029
2.50%,
3/1/33,
Pool
#G18680
21,400
9,358
2.50%,
4/1/33,
Pool
#G18683
8,696
53,850
3.00%,
4/1/33,
Pool
#G18684
50,772
4,732
2.50%,
5/1/33,
Pool
#G18687
4,356
101,676
2.50%,
7/1/33,
Pool
#G16661
93,317
21,750
3.00%,
4/1/34,
Pool
#G16829
20,860
201,142
3.50%,
10/1/34,
Pool
#C91793
189,389
402,364
4.00%,
5/1/37,
Pool
#C91938
388,622
16,937
3.50%,
4/1/40,
Pool
#V81744
15,501
35,365
3.50%,
5/1/40,
Pool
#V81750
32,370
36,908
3.50%,
6/1/40,
Pool
#V81792
33,782
22,331
3.50%,
8/1/40,
Pool
#V81886
20,438
15,044
3.50%,
9/1/40,
Pool
#V81958
13,769
23,975
4.50%,
1/1/41,
Pool
#A96051
23,715
23,128
4.50%,
3/1/41,
Pool
#A97673
22,742
132,138
2.00%,
3/1/41,
Pool
#SC0136
110,864
18,847
2.00%,
4/1/41,
Pool
#RB5108
15,877
36,776
4.50%,
4/1/41,
Pool
#A97942
36,164
128,496
5.00%,
6/1/41,
Pool
#G06596
131,281
19,582
2.00%,
7/1/41,
Pool
#RB5118
16,496
20,461
2.00%,
10/1/41,
Pool
#RB5131
17,236
451,220
4.50%,
1/1/42,
Pool
#G60517
450,110
135,392
2.00%,
4/1/42,
Pool
#SC0481
114,682
64,985
3.00%,
12/1/42,
Pool
#C04320
58,955
21,562
4.00%,
5/1/43,
Pool
#Q18481
20,508
21,725
4.00%,
7/1/43,
Pool
#Q19597
20,663
21,962
4.00%,
10/1/43,
Pool
#Q22499
20,888
154,073
3.50%,
1/1/44,
Pool
#G07922
141,234
20,823
4.00%,
1/1/44,
Pool
#V80950
19,702
78,147
3.50%,
1/1/44,
Pool
#G60271
72,950
88,061
4.00%,
1/1/45,
Pool
#Q30720
83,554
79,599
4.00%,
2/1/45,
Pool
#G07949
78,023
18,347
3.50%,
3/1/45,
Pool
#Q32328
16,996
38,353
3.50%,
3/1/45,
Pool
#Q32008
35,529
25,121
3.50%,
3/1/45,
Pool
#Q31974
23,271
96,378
3.50%,
5/1/45,
Pool
#Q33547
86,957
13,250
3.00%,
5/1/45,
Pool
#Q33468
11,986
19,003
3.50%,
6/1/45,
Pool
#Q33791
17,145
122,835
3.50%,
6/1/45,
Pool
#Q34164
110,827
102,747
3.00%,
6/1/45,
Pool
#Q34156
92,954
9,220
3.00%,
7/1/45,
Pool
#Q34979
8,197
28,478
3.00%,
7/1/45,
Pool
#Q34759
25,562
45,073
4.00%,
8/1/45,
Pool
#Q35845
43,317
7,284
4.00%,
9/1/45,
Pool
#Q37853
6,924
4,032
4.00%,
11/1/45,
Pool
#Q38812
3,781
147,454
3.50%,
11/1/45,
Pool
#Q37467
136,597
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
Home
Loan
Mortgage
Corporation,
continued
$
11,168
4.00%,
2/1/46,
Pool
#Q38783
$
10,570
1,552
4.00%,
2/1/46,
Pool
#Q38879
1,466
8,189
4.00%,
2/1/46,
Pool
#Q38782
7,885
5,753
4.00%,
4/1/46,
Pool
#Q39975
5,540
23,729
4.00%,
4/1/46,
Pool
#V82292
22,819
47,770
3.50%,
5/1/46,
Pool
#Q40647
43,781
164,243
3.50%,
5/1/46,
Pool
#G60553
151,347
55,882
3.50%,
5/1/46,
Pool
#G60603
51,353
148,248
3.50%,
9/1/46,
Pool
#Q43257
136,237
7,683
4.00%,
9/1/47,
Pool
#Q50433
7,360
14,195
4.00%,
10/1/47,
Pool
#Q51189
13,598
10,329
4.00%,
2/1/48,
Pool
#Q54192
9,786
106,564
4.00%,
5/1/48,
Pool
#Q55992
100,772
331,857
4.00%,
6/1/48,
Pool
#G67713
316,867
41,594
4.00%,
7/1/48,
Pool
#Q59935
40,050
260,743
2.50%,
8/1/50,
Pool
#SD0430
219,468
317,226
2.50%,
10/1/50,
Pool
#SD7525
268,102
460,478
2.50%,
11/1/50,
Pool
#SD7530
387,872
36,326
2.50%,
2/1/51,
Pool
#SD7535
30,700
31,020
2.50%,
2/1/51,
Pool
#RA4575
25,979
24,816
2.50%,
3/1/51,
Pool
#RA4749
20,783
337,196
1.50%,
4/1/51,
Pool
#QC0798
253,768
581,946
3.00%,
5/1/51,
Pool
#QC1881
506,677
120,692
2.00%,
5/1/51,
Pool
#SD7541
97,067
12,138
2.00%,
7/1/51,
Pool
#QC4163
9,738
127,391
3.00%,
9/1/51,
Pool
#QC7496
110,548
292,202
2.00%,
10/1/51,
Pool
#RA6076
233,705
170,627
2.00%,
11/1/51,
Pool
#RA6302
135,818
433,302
2.00%,
11/1/51,
Pool
#RA6241
346,541
1,026,655
2.50%,
12/1/51,
Pool
#RA6435
857,588
175,538
2.00%,
12/1/51,
Pool
#RA6510
140,826
305,892
2.50%,
1/1/52,
Pool
#RA6622
255,606
266,244
2.00%,
2/1/52,
Pool
#RA6823
213,102
526,782
2.00%,
2/1/52,
Pool
#RA6820
419,593
219,978
3.50%,
3/1/52,
Pool
#RA6950
198,742
139,368
3.00%,
3/1/52,
Pool
#SD2219
120,985
577,263
3.00%,
3/1/52,
Pool
#RA6988
500,108
208,614
3.50%,
3/1/52,
Pool
#RA6949
188,153
86,691
5.50%,
9/1/52,
Pool
#SD1579
87,366
43,584
4.00%,
10/1/52,
Pool
#SD1772
40,849
93,734
5.00%,
11/1/52,
Pool
#SD1862
92,451
10,552,931
Federal
National
Mortgage
Association
(10.8%):
62,645
2.50%,
6/1/29,
Pool
#MA3734
59,304
40,652
2.50%,
9/1/31,
Pool
#AS8012
38,010
179,618
2.50%,
12/1/32,
Pool
#CA3748
168,237
865
4.50%,
7/1/33,
Pool
#720240
857
2,042
4.50%,
7/1/33,
Pool
#729327
2,023
3,335
4.50%,
8/1/33,
Pool
#723124
3,204
8,444
4.50%,
8/1/33,
Pool
#726928
8,128
6,640
4.50%,
8/1/33,
Pool
#726956
6,401
1,793
4.50%,
8/1/33,
Pool
#727029
1,776
2,338
4.50%,
8/1/33,
Pool
#727160
2,261
11,960
4.50%,
8/1/33,
Pool
#729380
11,895
2,384
4.50%,
8/1/33,
Pool
#729713
2,300
11,467
4.50%,
9/1/33,
Pool
#727147
11,410
4,109
4.50%,
9/1/33,
Pool
#734922
4,089
17,556
4.50%,
12/1/33,
Pool
#AL5321
17,475
73,053
3.50%,
8/1/34,
Pool
#CA4090
70,721
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
142
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
National
Mortgage
Association,
continued
$
61,314
3.50%,
10/1/34,
Pool
#FM1579
$
58,716
13,407
6.00%,
10/1/34,
Pool
#AL2130
13,837
46,943
3.50%,
2/1/35,
Pool
#CA5291
44,621
1,080,511
2.00%,
6/1/35,
Pool
#BP5619
966,044
28,591
4.50%,
9/1/35,
Pool
#AB8198
28,453
161,471
2.00%,
10/1/35,
Pool
#BK5705
144,365
258,175
6.00%,
5/1/36,
Pool
#745512
268,716
130,324
6.00%,
1/1/37,
Pool
#932030
136,089
23,792
6.00%,
3/1/37,
Pool
#889506
24,646
35,553
6.00%,
1/1/38,
Pool
#889371
36,501
13,271
6.00%,
3/1/38,
Pool
#889219
13,883
6,662
6.00%,
7/1/38,
Pool
#889733
6,864
34,199
4.50%,
3/1/39,
Pool
#AB0051
34,055
182,507
4.50%,
4/1/39,
Pool
#AB0043
181,813
125,657
2.50%,
8/1/39,
Pool
#MA3761
110,353
15,955
4.50%,
11/1/39,
Pool
#AC5442
15,643
49,195
6.00%,
5/1/40,
Pool
#AL2129
50,810
45,758
2.00%,
10/1/40,
Pool
#FM4644
38,485
113,909
2.00%,
11/1/40,
Pool
#MA4176
96,484
18,762
4.00%,
12/1/40,
Pool
#AA4757
17,988
16,842
2.00%,
12/1/40,
Pool
#MA4204
14,266
24,112
4.50%,
2/1/41,
Pool
#AH5580
23,896
17,946
2.00%,
2/1/41,
Pool
#MA4268
15,051
18,436
2.00%,
3/1/41,
Pool
#MA4287
15,462
54,446
2.00%,
4/1/41,
Pool
#CB0116
45,754
19,104
2.00%,
4/1/41,
Pool
#MA4311
16,093
19,343
2.00%,
5/1/41,
Pool
#MA4333
16,294
40,069
2.00%,
6/1/41,
Pool
#FM7891
33,673
19,681
2.00%,
6/1/41,
Pool
#MA4364
16,579
152,225
2.00%,
10/1/41,
Pool
#MA4446
128,231
421,651
1.50%,
11/1/41,
Pool
#MA4473
340,919
3,196
6.00%,
1/1/42,
Pool
#AL2128
3,186
776,534
2.00%,
5/1/42,
Pool
#FS4603
657,053
127,858
2.50%,
2/1/43,
Pool
#AB8465
111,233
28,722
4.00%,
10/1/43,
Pool
#BM1167
27,621
123,521
4.50%,
3/1/44,
Pool
#AL5082
121,024
7,039
4.00%,
12/1/44,
Pool
#AY0045
6,797
65,580
4.00%,
5/1/45,
Pool
#AZ1207
61,482
39,699
3.00%,
5/1/45,
Pool
#AS4972
35,054
20,876
4.00%,
6/1/45,
Pool
#AZ2719
19,675
93,239
4.00%,
6/1/45,
Pool
#AY8096
87,412
26,020
4.00%,
6/1/45,
Pool
#AZ3341
24,522
29,305
4.00%,
6/1/45,
Pool
#AY8126
27,881
23,278
5.00%,
6/1/45,
Pool
#AZ3448
23,601
105,918
4.00%,
7/1/45,
Pool
#AZ0833
99,825
34,728
3.00%,
8/1/45,
Pool
#AZ8288
30,664
12,197
3.00%,
8/1/45,
Pool
#AZ3728
10,771
89,438
3.00%,
8/1/45,
Pool
#AS5634
78,976
11,184
4.00%,
11/1/45,
Pool
#AZ0560
10,485
40,448
4.00%,
12/1/45,
Pool
#BA6404
37,920
29,432
4.50%,
2/1/46,
Pool
#BM5199
28,795
7,776
4.00%,
5/1/46,
Pool
#BC2276
7,345
217,714
3.50%,
5/1/46,
Pool
#BC0880
199,649
82,388
4.00%,
7/1/46,
Pool
#BC1443
78,085
26,114
4.50%,
8/1/46,
Pool
#AL9111
25,517
93,649
4.00%,
9/1/46,
Pool
#BC2843
88,757
285,277
3.50%,
12/1/46,
Pool
#BC9077
261,643
46,214
3.50%,
2/1/47,
Pool
#BE5696
42,109
348,589
4.50%,
2/1/47,
Pool
#AL9846
341,049
Principal
Amount
Value
U.S.
Government
Agency
Mortgages,
continued
Federal
National
Mortgage
Association,
continued
$
5,044
4.00%,
6/1/47,
Pool
#BH4269
$
4,767
25,868
3.00%,
5/1/49,
Pool
#MA3670
22,609
98,659
3.50%,
1/1/50,
Pool
#FS3728
90,550
179,757
1.50%,
12/1/50,
Pool
#CA8005
135,725
238,548
2.50%,
4/1/51,
Pool
#FM6540
204,208
410,006
2.00%,
4/1/51,
Pool
#MA4305
325,129
140,310
2.50%,
5/1/51,
Pool
#MA4326
116,701
58,283
2.50%,
5/1/51,
Pool
#CB0388
48,560
427,370
1.50%,
6/1/51,
Pool
#MA4354
322,256
477,732
3.00%,
6/1/51,
Pool
#CB0850
416,702
9,722
2.00%,
7/1/51,
Pool
#BT1461
7,800
277,414
2.50%,
7/1/51,
Pool
#CB0997
232,425
41,660
2.50%,
8/1/51,
Pool
#CB1384
34,904
79,118
3.00%,
8/1/51,
Pool
#FM9973
68,841
167,021
2.50%,
9/1/51,
Pool
#CB1549
140,054
297,872
2.00%,
10/1/51,
Pool
#CB1801
238,979
225,088
2.00%,
10/1/51,
Pool
#CB1799
180,522
313,225
2.00%,
11/1/51,
Pool
#FM9568
252,095
197,824
2.00%,
11/1/51,
Pool
#FM9539
158,705
132,816
3.00%,
11/1/51,
Pool
#FM9632
115,883
169,613
3.00%,
11/1/51,
Pool
#FM9633
147,260
179,246
3.00%,
11/1/51,
Pool
#CB2164
156,284
677,362
2.50%,
11/1/51,
Pool
#FM9501
567,967
1,019,595
2.50%,
12/1/51,
Pool
#FM9865
854,972
482,067
2.00%,
12/1/51,
Pool
#CB2349
386,731
87,090
3.00%,
12/1/51,
Pool
#BT9503
75,576
91,173
3.00%,
12/1/51,
Pool
#FM9777
78,906
120,526
2.50%,
12/1/51,
Pool
#CB2376
100,977
128,726
2.00%,
12/1/51,
Pool
#CB2350
102,799
86,738
2.00%,
12/1/51,
Pool
#CB2348
69,586
56,764
3.00%,
12/1/51,
Pool
#CB2420
49,493
169,024
2.50%,
12/1/51,
Pool
#CB2320
141,733
131,441
2.00%,
12/1/51,
Pool
#CB2347
105,787
344,176
2.00%,
1/1/52,
Pool
#FS0288
273,856
792,607
2.00%,
1/1/52,
Pool
#FS0286
635,857
138,833
3.00%,
2/1/52,
Pool
#CB2886
120,527
213,609
3.00%,
2/1/52,
Pool
#FS0631
186,239
845,390
2.00%,
2/1/52,
Pool
#CB2842
673,334
47,060
3.50%,
3/1/52,
Pool
#CB3128
42,447
45,146
4.00%,
4/1/52,
Pool
#FS1647
42,239
185,367
5.50%,
10/1/52,
Pool
#CB4843
185,868
46,622
5.00%,
11/1/52,
Pool
#FS3295
46,264
88,068
5.00%,
11/1/52,
Pool
#FS3248
86,647
183,420
5.00%,
11/1/52,
Pool
#CB5128
181,919
45,070
5.50%,
6/1/53,
Pool
#CB6642
45,399
94,073
5.50%,
6/1/53,
Pool
#CB6527
94,756
94,314
6.00%,
6/1/53,
Pool
#CB6538
96,729
284,928
5.50%,
7/1/53,
Pool
#CB6673
286,798
148,297
5.50%,
8/1/53,
Pool
#CB6911
149,321
147,877
6.50%,
9/1/53,
Pool
#CB7134
153,241
146,319
6.50%,
11/1/53,
Pool
#CB7520
151,199
75,000
2.00%,
4/25/54,
TBA
59,332
50,000
3.00%,
4/25/54,
TBA
43,062
600,000
6.50%,
4/25/54,
TBA
613,031
150,000
3.00%,
5/25/54,
TBA
129,328
200,000
2.50%,
5/25/54,
TBA
165,719
350,000
2.00%,
5/25/54,
TBA
277,320
16,606,724
Total
U.S.
Government
Agency
Mortgages
(Cost
$38,045,572)
34,324,902
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
143
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Percentages
indicated
are
based
on
net
assets
as
of
March
31,
2024.
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
March
31,
2024
:
(Unaudited)
Principal
Amount
Value
U.S.
Treasury
Obligations
(27.7%):
U.S.
Treasury
Bonds
(13.6%):
$
3,103,000
1.75%,
8/15/41
$
2,096,464
7,836,000
2.00%,
8/15/51
4,864,442
5,300,000
3.63%,
2/15/53
4,662,344
700,000
3.63%,
5/15/53
616,219
8,364,000
4.13%,
8/15/53
8,054,271
600,000
4.25%,
2/15/54
591,281
20,885,021
U.S.
Treasury
Notes
(14.1%):
360,000
3.63%,
3/31/30
348,750
1,700,000
4.38%,
11/30/30
1,715,406
1,700,000
4.00%,
1/31/31
1,679,016
2,500,000
4.25%,
2/28/31
2,506,250
10,800,000
3.50%,
2/15/33
10,238,062
4,700,000
3.38%,
5/15/33
4,407,719
Principal
Amount
Value
U.S.
Treasury
Obligations,
continued
U.S.
Treasury
Notes,
continued
$
790,000
4.00%,
2/15/34
$
777,656
21,672,859
Total
U.S.
Treasury
Obligations
(Cost
$47,610,340)
42,557,880
Shares
Unaffiliated
Investment
Companies
(4.1%):
Money
Markets
(4.1%):
2,060,528
BlackRock
Liquidity
FedFund,
Institutional
Class,
5.07%(e)(f)
2,060,528
4,212,192
Dreyfus
Treasury
Securities
Cash
Management
Fund,
Institutional
Shares,
5.19%(f)
4,212,192
Total
Unaffiliated
Investment
Companies
(Cost
$6,272,720)
6,272,720
Total
Investment
Securities
(Cost
$173,239,075)
103.4%
158,930,354
Net
other
assets
(liabilities)
(3.4)%
(5,277,426)
Net
Assets
100.0%
$
153,652,928
CVR—Contingency
Valued
Rights
H15T1Y—1
Year
Treasury
Constant
Maturity
Rate
H15T5Y—5
Year
Treasury
Constant
Maturity
Rate
LIBOR—London
Interbank
Offered
Rate
SOFR—Secured
Overnight
Financing
Rate
TSFR1M—Term
Secured
Overnight
Financing
Rate
1
Month
TSFR3M—Term
Secured
Overnight
Financing
Rate
3
Month
TBA—To
Be
Announced
Security
US0003M—3
Month
US
Dollar
LIBOR
USISDA05—5
Year
ICE
Swap
Rate
*
Non-income
producing
security.
Represents
less
than
0.05%.
^
This
security
or
a
partial
position
of
this
security
was
on
loan
as
of
March
31,
2024.
The
total
value
of
securities
on
loan
as
of
March
31,
2024
was
$1,978,677.
(a)
Security
was
valued
using
significant
unobservable
inputs
as
of
March
31,
2024.
(b)
Rule
144A,
Section
4(2)
or
other
security
which
is
restricted
to
resale
to
institutional
investors.
(c)
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
March
31,
2024.
(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
March
31,
2024.
(f)
The
rate
represents
the
effective
yield
at
March
31,
2024.
Amounts
shown
as
“—“
are
either
$0
or
round
to
less
than
$1.
Country
Percentage
Australia
0.2‌%
Bermuda
0.1‌%
British
Virgin
Islands
—‌%
Canada
0.6‌%
Cayman
Islands
6.0‌%
Dominican
Republic
0.4‌%
Finland
—‌%
France
0.4‌%
Germany
0.4‌%
Hong
Kong
0.1‌%
Ireland
0.4‌%
Italy
0.4‌%
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
144
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Country
Percentage
Jersey
0.2‌%
Liberia
0.1‌%
Luxembourg
0.5‌%
Marshall
Island
—‌%
Mauritius
—‌%
Mexico
1.2‌%
Netherlands
0.1‌%
Panama
0.1‌%
Qatar
0.1‌%
Saudi
Arabia
0.1‌%
Spain
—‌%
Switzerland
0.2‌%
United
Arab
Emirates
0.1‌%
United
Kingdom
0.5‌%
United
States
87.8‌%
100.0‌%
Represents
less
than
0.05%.
Securities
Sold
Short
(-0.1%):
At
March
31,
2024,
the
Fund's
securities
sold
short
were
as
follows:
Security
Description
Coupon
Rate
Maturity
Date
Par
Amount
Proceeds
Received
Value
U.S.
Government
Agency
Mortgage
Government
National
Mortgage
Association
Government
National
Mortgage
Association
2.00%
3/20/54
$
(175,000)
$
(142,399)
$
(143,450)
$(142,399)
$(143,450)
AZL
International
Index
Fund
Consolidated
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
145
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks
(98.1%):
Aerospace
&
Defense
(2.3%):
43,536
Airbus
SE
$
8,029,379
223,715
BAE
Systems
plc
3,809,767
1,522
Dassault
Aviation
SA
334,924
1,993
Elbit
Systems,
Ltd.
416,778
7,036
Kongsberg
Gruppen
ASA
486,793
21,426
Leonardo
SpA
538,191
98,804
Melrose
Industries
plc
838,384
4,024
MTU
Aero
Engines
AG
1,020,918
3,184
Rheinmetall
AG
1,789,139
623,821
Rolls-Royce
Holdings
plc*
3,354,117
6,378
Saab
AB,
Class
B
567,296
25,202
Safran
SA
5,705,964
106,100
Singapore
Technologies
Engineering,
Ltd.
316,295
7,026
Thales
SA
1,197,604
28,405,549
Air
Freight
&
Logistics
(0.5%):
72,595
Deutsche
Post
AG
3,125,763
13,013
DSV
A/S
2,114,804
5,800
NIPPON
EXPRESS
HOLDINGS,
Inc.
296,003
25,400
SG
Holdings
Co.,
Ltd.
321,651
17,600
Yamato
Holdings
Co.,
Ltd.
253,434
6,111,655
Automobile
Components
(0.7%):
10,600
Aisin
Corp.
432,576
41,700
Bridgestone
Corp.
1,850,063
49,455
Cie
Generale
des
Etablissements
Michelin
SCA
1,895,848
8,230
Continental
AG
593,956
137,400
Denso
Corp.
2,629,375
16,300
Koito
Manufacturing
Co.,
Ltd.
219,535
54,000
Sumitomo
Electric
Industries,
Ltd.
836,329
8,457,682
Automobiles
(3.6%):
23,502
Bayerische
Motoren
Werke
AG
2,711,318
9,270
Ferrari
NV
4,039,826
339,100
Honda
Motor
Co.,
Ltd.
4,194,522
44,700
Isuzu
Motors,
Ltd.
604,054
41,400
Mazda
Motor
Corp.
484,239
59,252
Mercedes-Benz
Group
AG
4,718,967
178,600
Nissan
Motor
Co.,
Ltd.
708,380
14,578
Renault
SA
735,811
161,337
Stellantis
NV
4,577,231
44,600
Subaru
Corp.
1,015,232
117,200
Suzuki
Motor
Corp.
1,337,106
778,430
Toyota
Motor
Corp.
19,569,294
1,948
Volkswagen
AG
297,554
45,248
Volvo
Car
AB,
Class
B*
171,172
67,500
Yamaha
Motor
Co.,
Ltd.
621,759
45,786,465
Banks
(10.0%):
33,033
ABN
AMRO
Bank
NV,
CV
566,607
114,136
AIB
Group
plc
578,798
220,130
ANZ
Group
Holdings,
Ltd.
4,216,690
428,144
Banco
Bilbao
Vizcaya
Argentaria
SA
5,099,793
93,554
Banco
BPM
SpA
622,455
1,186,038
Banco
Santander
SA
5,794,448
Shares
Value
Common
Stocks,
continued
Banks,
continued
96,434
Bank
Hapoalim
BM
$
904,368
109,002
Bank
Leumi
Le-Israel
BM
906,210
80,996
Bank
of
Ireland
Group
plc
826,448
2,155
Banque
Cantonale
Vaudoise,
Registered
Shares
250,548
1,118,886
Barclays
plc
2,599,491
75,780
BNP
Paribas
SA
5,392,390
278,000
BOC
Hong
Kong
Holdings,
Ltd.
744,954
280,011
CaixaBank
SA^
1,357,281
41,200
Chiba
Bank,
Ltd.
(The)
343,017
75,819
Commerzbank
AG
1,041,054
122,927
Commonwealth
Bank
of
Australia
9,663,864
78,500
Concordia
Financial
Group,
Ltd.
394,651
78,119
Credit
Agricole
SA
1,163,585
50,923
Danske
Bank
A/S
1,526,378
133,000
DBS
Group
Holdings,
Ltd.
3,558,298
69,245
DNB
Bank
ASA
1,375,137
24,825
Erste
Group
Bank
AG
1,105,283
45,709
FinecoBank
Banca
Fineco
SpA
684,391
58,300
Hang
Seng
Bank,
Ltd.
638,917
1,405,332
HSBC
Holdings
plc
10,982,541
243,927
ING
Groep
NV
4,016,708
1,074,100
Intesa
Sanpaolo
SpA
3,896,486
92,143
Israel
Discount
Bank,
Ltd.,
Class
A
476,978
106,800
Japan
Post
Bank
Co.,
Ltd.
1,149,427
18,368
KBC
Group
NV
1,379,915
4,639,205
Lloyds
Banking
Group
plc
3,036,194
35,689
Mediobanca
Banca
di
Credito
Finanziario
SpA
531,655
815,100
Mitsubishi
UFJ
Financial
Group,
Inc.
8,292,505
10,975
Mizrahi
Tefahot
Bank,
Ltd.
411,802
176,763
Mizuho
Financial
Group,
Inc.
3,497,915
228,983
National
Australia
Bank,
Ltd.
5,168,246
408,264
NatWest
Group
plc
1,366,972
232,573
Nordea
Bank
Abp
2,591,037
245,299
Oversea-Chinese
Banking
Corp.,
Ltd.
2,454,522
153,787
Resona
Holdings,
Inc.
950,247
317,881
Sberbank
of
Russia*(a)(b)
33,000
Shizuoka
Financial
Group,
Inc.
313,812
12,770
SinoPac
Financial
Holdings
Co.,
Ltd.
8,584
116,222
Skandinaviska
Enskilda
Banken
AB,
Class
A
1,572,297
53,010
Societe
Generale
SA
1,426,011
168,045
Standard
Chartered
plc
1,423,779
93,269
Sumitomo
Mitsui
Financial
Group,
Inc.
5,453,269
47,506
Sumitomo
Mitsui
Trust
Holdings,
Inc.
1,024,416
106,048
Svenska
Handelsbanken
AB,
Class
A^
1,072,703
61,517
Swedbank
AB,
Class
A^
1,220,874
3,719
TCS
Group
Holding
plc,
GDR*(a)
Turkiye
Is
Bankasi
AS
113,218
UniCredit
SpA
4,295,870
95,173
United
Overseas
Bank,
Ltd.
2,069,017
97,280,589
VTB
Bank
PJSC*(a)(b)
258,473
Westpac
Banking
Corp.
4,401,283
125,840,121
Beverages
(1.7%):
63,924
Anheuser-Busch
InBev
SA/NV
3,887,867
35,100
Asahi
Group
Holdings,
Ltd.
1,288,818
7,368
Carlsberg
AS,
Class
B
1,009,695
14,869
Coca-Cola
Europacific
Partners
plc
1,050,091
16,149
Coca-Cola
HBC
AG
510,200
AZL
International
Index
Fund
Consolidated
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
146
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Beverages,
continued
45,956
Davide
Campari-Milano
NV,
Class
M
$
461,721
164,613
Diageo
plc
6,078,024
9,544
Heineken
Holding
NV
769,854
20,928
Heineken
NV
2,016,254
57,400
Kirin
Holdings
Co.,
Ltd.
797,673
14,904
Pernod
Ricard
SA
2,409,487
1,876
Remy
Cointreau
SA
188,923
10,600
Suntory
Beverage
&
Food,
Ltd.
358,364
60,896
Treasury
Wine
Estates,
Ltd.
496,269
21,323,240
Biotechnology
(0.8%):
4,411
Argenx
SE*
1,740,813
157
Celltrion,
Inc.
21,423
35,438
CSL,
Ltd.
6,659,133
4,785
Genmab
A/S*
1,431,889
22,071
Grifols
SA*
198,312
15,220
Swedish
Orphan
Biovitrum
AB*
379,707
10,431,277
Broadline
Retail
(0.8%):
7,159
Global-e
Online,
Ltd.*
260,229
2,694
Hanwha
Galleria
Corp.*
2,846
9,068
Next
plc
1,058,539
965
Ozon
Holdings
plc,
ADR*(a)
29,100
Pan
Pacific
International
Holdings
Corp.
773,748
106,697
Prosus
NV
3,343,020
109,300
Rakuten
Group,
Inc.
620,309
83,298
Wesfarmers,
Ltd.
3,715,330
9,774,021
Building
Products
(0.9%):
14,700
AGC,
Inc.
533,110
73,704
Assa
Abloy
AB,
Class
B
2,114,638
33,679
Cie
de
Saint-Gobain
SA
2,611,307
19,300
Daikin
Industries,
Ltd.
2,640,394
2,499
Geberit
AG,
Registered
Shares
1,476,832
11,157
Kingspan
Group
plc
1,015,522
112,612
Nibe
Industrier
AB,
Class
B
552,931
594
ROCKWOOL
A/S,
Class
B
196,083
10,800
TOTO,
Ltd.
303,034
11,443,851
Capital
Markets
(2.8%):
72,139
3i
Group
plc
2,554,928
124,417
abrdn
plc
221,918
3,998
Amundi
SA
274,264
14,457
ASX,
Ltd.
625,628
100,600
Daiwa
Securities
Group,
Inc.
765,690
140,674
Deutsche
Bank
AG,
Registered
Shares
2,212,383
14,090
Deutsche
Boerse
AG
2,882,563
26,438
EQT
AB
835,322
6,467
Euronext
NV
615,010
4,262
Futu
Holdings,
Ltd.,
ADR*
230,787
27,012
Hargreaves
Lansdown
plc
251,216
88,293
Hong
Kong
Exchanges
&
Clearing,
Ltd.
2,575,244
35,900
Japan
Exchange
Group,
Inc.
972,376
15,111
Julius
Baer
Group,
Ltd.
872,431
30,410
London
Stock
Exchange
Group
plc
3,641,731
26,963
Macquarie
Group,
Ltd.
3,508,457
Shares
Value
Common
Stocks,
continued
Capital
Markets,
continued
222,900
Nomura
Holdings,
Inc.
$
1,426,179
1,644
Partners
Group
Holding
AG
2,349,603
18,590
SBI
Holdings,
Inc.
487,289
63,052
Schroders
plc
300,322
64,600
Singapore
Exchange,
Ltd.
441,321
41,470
St
James's
Place
plc
243,966
45,462
The
Moscow
Exchange(a)(b)
242,273
UBS
Group
AG
7,447,210
35,735,838
Chemicals
(3.1%):
38,438
Air
Liquide
SA
8,009,419
12,787
Akzo
Nobel
NV
953,606
4,464
Arkema
SA
469,500
94,300
Asahi
Kasei
Corp.
690,783
65,132
BASF
SE
3,718,891
17,007
Clariant
AG,
Registered
Shares
229,866
13,496
Covestro
AG*
738,216
9,336
Croda
International
plc
578,925
13,562
DSM-Firmenich
AG
1,540,843
509
EMS-Chemie
Holding
AG
390,433
15,736
Evonik
Industries
AG
311,060
679
Givaudan
SA,
Registered
Shares
3,034,304
2,389
Hanwha
Solutions
Corp.
48,963
53,836
ICL
Group,
Ltd.
285,192
14,100
JSR
Corp.
403,438
97,000
Mitsubishi
Chemical
Group
Corp.
590,925
11,800
Mitsui
Chemicals,
Inc.
346,061
66,900
Nippon
Paint
Holdings
Co.,
Ltd.
481,252
12,000
Nippon
Sanso
Holdings
Corp.
376,766
8,900
Nissan
Chemical
Corp.
337,292
10,800
Nitto
Denko
Corp.
987,100
27,664
Novonesis
(Novozymes)
B
1,623,910
8,000
OCI
NV
218,918
34,383
Orica,
Ltd.
409,795
1,447
PhosAgro
PJSC*(a)(b)
27
PhosAgro
Public
Joint
Stock
Co.,
GDR*(a)
132,200
Shin-Etsu
Chemical
Co.,
Ltd.
5,801,163
11,149
Sika
AG,
Registered
Shares
3,320,234
5,641
Syensqo
SA*
534,000
9,583
Symrise
AG
1,147,017
104,900
Toray
Industries,
Inc.
503,991
14,846
Umicore
SA
319,956
12,572
Yara
International
ASA
398,499
38,800,318
Commercial
Services
&
Supplies
(0.4%):
99,599
Brambles,
Ltd.
1,049,939
14,400
Dai
Nippon
Printing
Co.,
Ltd.
441,429
183,555
Rentokil
Initial
plc
1,095,179
15,200
Secom
Co.,
Ltd.
1,102,293
37,053
Securitas
AB,
Class
B
381,723
16,200
TOPPAN
Holdings,
Inc.
406,011
4,476,574
Communications
Equipment
(0.2%):
384,362
Nokia
Oyj
1,359,739
212,188
Telefonaktiebolaget
LM
Ericsson,
Class
B^
1,168,216
2,527,955
AZL
International
Index
Fund
Consolidated
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
147
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Construction
&
Engineering
(0.8%):
16,050
ACS
Actividades
de
Construccion
y
Servicios
SA
$
671,481
13,469
Bouygues
SA
549,639
5,281
Eiffage
SA
598,677
37,731
Ferrovial
SE
1,493,069
31,800
Kajima
Corp.
652,189
49,300
Obayashi
Corp.
585,679
41,000
Shimizu
Corp.
264,878
24,861
Skanska
AB,
Class
B^
441,881
11,900
Taisei
Corp.
433,217
36,704
Vinci
SA
4,700,692
10,391,402
Construction
Materials
(0.8%):
50,796
CRH
plc
4,381,363
9,680
Heidelberg
Materials
AG
1,064,622
38,051
Holcim
AG
3,463,546
32,468
James
Hardie
Industries
plc,
CDI*
1,303,441
10,212,972
Consumer
Finance
(0.0%
):
Isracard,
Ltd.
2
Consumer
Staples
Distribution
&
Retail
(1.1%):
47,300
Aeon
Co.,
Ltd.
1,121,382
41,469
Carrefour
SA
709,585
96,427
Coles
Group,
Ltd.
1,066,293
102,013
Endeavour
Group,
Ltd.
366,230
117,810
J
Sainsbury
plc
402,527
21,353
Jeronimo
Martins
SGPS
SA
423,615
19,670
Kesko
Oyj,
Class
B
367,209
11,400
Kobe
Bussan
Co.,
Ltd.
279,271
69,634
Koninklijke
Ahold
Delhaize
NV
2,081,759
26,100
MatsukiyoCocokara
&
Co.
419,264
40,830
Ocado
Group
plc*
235,218
167,700
Seven
&
i
Holdings
Co.,
Ltd.
2,441,325
526,385
Tesco
plc
1,969,387
90,574
Woolworths
Group,
Ltd.
1,957,489
3,565
X5
Retail
Group
NV,
GDR*(a)
13,840,554
Containers
&
Packaging
(0.1%):
23,221
SIG
Group
AG
514,915
18,752
Smurfit
Kappa
Group
plc
855,305
1,370,220
Distributors
(0.0%
):
1,697
D'ieteren
Group
376,051
Diversified
Consumer
Services
(0.1%):
18,013
IDP
Education,
Ltd.
210,232
44,154
Pearson
plc
580,305
790,537
Diversified
REITs
(0.2%):
140,533
GPT
Group
(The)
419,534
324
KDX
Realty
Investment
Corp.
344,939
51,805
Land
Securities
Group
plc
429,852
294,602
Mirvac
Group
454,417
322
Nomura
Real
Estate
Master
Fund,
Inc.
318,452
Shares
Value
Common
Stocks,
continued
Diversified
REITs,
continued
178,980
Stockland
$
567,053
2,534,247
Diversified
Telecommunication
Services
(1.6%):
464,111
BT
Group
plc
642,076
34,279
Cellnex
Telecom
SA
1,211,907
236,718
Deutsche
Telekom
AG
5,745,593
10,800
Elisa
Oyj
481,731
276,525
HKT
Trust
&
HKT,
Ltd.
322,595
23,253
Infrastrutture
Wireless
Italiane
SpA
264,139
250,757
Koninklijke
KPN
NV
937,593
2,161,200
Nippon
Telegraph
&
Telephone
Corp.
2,573,319
138,090
Orange
SA
1,622,010
600,200
Singapore
Telecommunications,
Ltd.
1,125,115
142,233
Spark
New
Zealand,
Ltd.
404,753
1,896
Swisscom
AG,
Registered
Shares
1,159,318
761,503
Telecom
Italia
SpA/Milano*^
184,318
360,494
Telefonica
SA
1,592,547
47,918
Telenor
ASA
533,150
169,922
Telia
Co.
AB
435,540
305,854
Telstra
Group,
Ltd.
769,794
20,005,498
Electric
Utilities
(1.7%):
1,525
Acciona
SA
185,670
1,549
BKW
AG
237,720
49,000
Chubu
Electric
Power
Co.,
Inc.
639,208
41,570
CK
Infrastructure
Holdings,
Ltd.
243,278
118,000
CLP
Holdings,
Ltd.
940,799
236,366
EDP
-
Energias
de
Portugal
SA
921,979
1,961
Elia
Group
SA/NV
211,956
23,227
Endesa
SA
430,489
593,500
Enel
SpA
3,917,443
33,332
Fortum
Oyj^
411,317
449,899
Iberdrola
SA
5,585,097
952,130
Inter
Rao
Ues
PJSC*(a)(b)
49,600
Kansai
Electric
Power
Co.,
Inc.
(The)
706,805
47,377
Mercury
NZ,
Ltd.
196,044
131,008
Origin
Energy,
Ltd.
785,565
13,975
Orsted
AS
786,968
105,500
Power
Assets
Holdings,
Ltd.
617,418
30,305
Redeia
Corp.
SA
517,313
79,064
SSE
plc
1,648,227
107,486
Terna
-
Rete
Elettrica
Nazionale
891,256
110,900
Tokyo
Electric
Power
Co.
Holdings,
Inc.*
674,396
5,165
Verbund
AG
378,168
20,927,116
Electrical
Equipment
(1.9%):
118,014
ABB,
Ltd.,
Registered
Shares
5,478,258
8,900
Fuji
Electric
Co.,
Ltd.
596,819
19,660
Legrand
SA
2,079,703
142,700
Mitsubishi
Electric
Corp.
2,392,184
30,100
NIDEC
Corp.
1,242,639
19,468
Prysmian
SpA
1,016,580
39,838
Schneider
Electric
SE
9,007,423
36,789
Siemens
Energy
AG*
674,860
74,789
Vestas
Wind
Systems
A/S*
2,077,906
24,566,372
AZL
International
Index
Fund
Consolidated
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
148
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Electronic
Equipment,
Instruments
&
Components
(1.3%):
8,200
Azbil
Corp.
$
226,990
28,976
Halma
plc
865,642
10,200
Hamamatsu
Photonics
KK
359,585
151,868
Hexagon
AB,
Class
B
1,798,058
2,114
Hirose
Electric
Co.,
Ltd.
217,161
8,100
Ibiden
Co.,
Ltd.
363,608
14,180
Keyence
Corp.
6,594,562
94,600
Kyocera
Corp.
1,263,703
126,300
Murata
Manufacturing
Co.,
Ltd.
2,376,948
12,500
Omron
Corp.
448,096
18,100
Shimadzu
Corp.
504,856
28,700
TDK
Corp.
1,410,078
17,300
Yokogawa
Electric
Corp.
398,763
16,828,050
Energy
Equipment
&
Services
(0.1%):
33,003
Tenaris
SA
652,021
Entertainment
(0.8%):
48,936
Bollore
SE
326,678
26,800
Capcom
Co.,
Ltd.
502,506
7,100
Konami
Group
Corp.
483,400
23,300
Nexon
Co.,
Ltd.
387,050
76,600
Nintendo
Co.,
Ltd.
4,193,092
27,429
Sea,
Ltd.,
ADR*
1,473,212
6,500
Square
Enix
Holdings
Co.,
Ltd.
250,151
7,300
Toho
Co.,
Ltd.
242,650
60,896
Universal
Music
Group
NV
1,830,815
9,689,554
Financial
Services
(1.1%):
1,622
Adyen
NV*
2,747,160
18,074
Edenred
SE
963,425
2,915
Eurazeo
SE
255,316
6,631
EXOR
NV
736,846
6,764
Groupe
Bruxelles
Lambert
NV
511,478
8,804
Industrivarden
AB,
Class
A
302,935
9,776
Industrivarden
AB,
Class
C^
335,859
126,869
Investor
AB,
Class
B
3,180,908
5,444
L
E
Lundbergforetagen
AB,
Class
B
294,893
166,799
M&G
plc
464,694
62,300
Mitsubishi
HC
Capital,
Inc.
434,228
44,818
Nexi
SpA*
284,165
86,400
ORIX
Corp.
1,889,324
1,204
Sofina
SA
269,859
15,913
Washington
H
Soul
Pattinson
&
Co.,
Ltd.
348,485
43,195
Wise
plc,
Class
A*
506,830
19,597
Worldline
SA*
242,591
13,768,996
Food
&
Staples
Retailing
(0.0%
):
2,004
Magnit
PJSC*(a)(b)
Food
Products
(2.6%):
35,200
Ajinomoto
Co.,
Inc.
1,314,138
24,914
Associated
British
Foods
plc
786,287
273
Barry
Callebaut
AG,
Registered
Shares
396,313
274,400
China
Huishan
Dairy
Holdings
Co.,
Ltd.*(a)
7
Chocoladefabriken
Lindt
&
Spruengli
AG
844,417
68
Chocoladefabriken
Lindt
&
Spruengli
AG,
Class
PC
813,620
Shares
Value
Common
Stocks,
continued
Food
Products,
continued
47,157
Danone
SA
$
3,046,600
7,602
JDE
Peet's
NV
159,578
12,132
Kerry
Group
plc,
Class
A
1,041,087
50,500
Kikkoman
Corp.
648,105
32
Lotus
Bakeries
NV
308,941
16,904
MEIJI
Holdings
Co.,
Ltd.
368,856
31,757
Mowi
ASA
583,892
196,076
Nestle
SA,
Registered
Shares
20,822,895
15,300
Nissin
Foods
Holdings
Co.,
Ltd.
421,886
53,120
Orkla
ASA
374,923
4,854
Salmar
ASA
321,012
563,797
WH
Group,
Ltd.
372,083
145,100
Wilmar
International,
Ltd.
368,190
18,400
Yakult
Honsha
Co.,
Ltd.
375,876
33,368,699
Gas
Utilities
(0.3%):
89,389
APA
Group
490,070
18,899
Enagas
SA
280,818
838,135
Hong
Kong
&
China
Gas
Co.,
Ltd.
635,755
27,400
Osaka
Gas
Co.,
Ltd.
617,192
153,285
Snam
SpA
723,423
27,100
Tokyo
Gas
Co.,
Ltd.
617,352
3,364,610
Ground
Transportation
(0.6%):
139,342
Aurizon
Holdings,
Ltd.
363,365
57,700
Central
Japan
Railway
Co.
1,432,657
66,939
East
Japan
Railway
Co.
1,283,583
129,237
Grab
Holdings,
Ltd.*
405,804
16,800
Hankyu
Hanshin
Holdings,
Inc.
481,416
10,500
Keisei
Electric
Railway
Co.,
Ltd.
426,439
12,800
Kintetsu
Group
Holdings
Co.,
Ltd.
372,847
112,994
MTR
Corp.,
Ltd.
372,498
23,500
Odakyu
Electric
Railway
Co.,
Ltd.
323,804
14,300
Tobu
Railway
Co.,
Ltd.
357,342
35,300
Tokyu
Corp.
429,268
33,600
West
Japan
Railway
Co.
700,113
6,949,136
Health
Care
Equipment
&
Supplies
(2.0%):
36,453
Alcon,
Inc.
3,018,427
14,100
Asahi
Intecc
Co.,
Ltd.
247,233
3,108
BioMerieux
342,348
2,842
Carl
Zeiss
Meditec
AG,
Class
BR
355,020
4,749
Cochlear,
Ltd.
1,044,379
9,367
Coloplast
A/S,
Class
B
1,267,934
7,748
Demant
A/S*
386,343
1,912
DiaSorin
SpA
184,417
21,552
EssilorLuxottica
SA
4,887,196
43,974
Fisher
&
Paykel
Healthcare
Corp.,
Ltd.
673,634
17,368
Getinge
AB,
B
Shares
349,287
133
HLB,
Inc.*
10,841
25,900
Hoya
Corp.
3,242,641
55,444
Koninklijke
Philips
NV*
1,111,660
86,300
Olympus
Corp.
1,241,719
20,627
Siemens
Healthineers
AG*
1,262,103
65,734
Smith
&
Nephew
plc
831,065
3,793
Sonova
Holding
AG
1,098,008
8,247
Straumann
Holding
AG,
Class
R
1,316,654
AZL
International
Index
Fund
Consolidated
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
149
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Health
Care
Equipment
&
Supplies,
continued
37,500
Sysmex
Corp.
$
669,196
99,400
Terumo
Corp.
1,822,181
25,362,286
Health
Care
Providers
&
Services
(0.2%):
8,641
Amplifon
SpA
315,052
11,228
EBOS
Group,
Ltd.
229,656
15,701
Fresenius
Medical
Care
AG
603,763
30,247
Fresenius
SE
&
Co.
KGaA
815,635
13,523
Ramsay
Health
Care,
Ltd.
497,962
34,633
Sonic
Healthcare,
Ltd.
663,560
3,125,628
Health
Care
Technology
(0.0%
):
32,200
M3,
Inc.
464,090
Hotels,
Restaurants
&
Leisure
(1.7%):
13,933
Accor
SA
650,313
33,584
Amadeus
IT
Group
SA
2,153,517
41,237
Aristocrat
Leisure,
Ltd.
1,155,361
125,019
Compass
Group
plc
3,663,197
13,159
Delivery
Hero
SE*
376,357
48,536
Entain
plc
487,783
13,252
Evolution
AB
1,645,822
13,079
Flutter
Entertainment
plc*
2,582,972
164,000
Galaxy
Entertainment
Group,
Ltd.
824,419
437,457
Genting
Singapore,
Ltd.
286,351
12,080
InterContinental
Hotels
Group
plc
1,256,337
7,421
La
Francaise
des
Jeux
SAEM
302,436
169,008
Lottery
Corp.,
Ltd.
(The)
567,141
5,629
McDonald's
Holdings
Co.
Japan,
Ltd.
253,231
17,520
Meituan,
Class
W*
216,436
79,800
Oriental
Land
Co.,
Ltd.
2,556,540
184,732
Sands
China,
Ltd.*
520,995
6,718
Sodexo
SA
575,933
14,032
Whitbread
plc
587,649
7,400
Zensho
Holdings
Co.,
Ltd.
308,178
20,970,968
Household
Durables
(1.0%):
71,626
Barratt
Developments
plc
430,669
7,202
Berkeley
Group
Holdings
plc
433,002
11,900
Iida
Group
Holdings
Co.,
Ltd.
153,896
161,000
Panasonic
Holdings
Corp.
1,536,239
23,175
Persimmon
plc
384,443
1,891
SEB
SA
242,483
29,700
Sekisui
Chemical
Co.,
Ltd.
434,356
44,200
Sekisui
House,
Ltd.
1,005,510
16,000
Sharp
Corp.*
89,151
92,600
Sony
Group
Corp.
7,937,105
259,842
Taylor
Wimpey
plc
450,250
13,097,104
Household
Products
(0.4%):
44,516
Essity
AB,
Class
B^
1,057,403
7,943
Henkel
AG
&
Co.
KGaA
571,997
52,639
Reckitt
Benckiser
Group
plc
2,993,970
29,100
Unicharm
Corp.
926,205
5,549,575
Shares
Value
Common
Stocks,
continued
Independent
Power
and
Renewable
Electricity
Producers
(0.2%):
18,495
ACEN
Corp.
$
1,267
19,458
EDP
Renovaveis
SA
263,911
103,728
Meridian
Energy,
Ltd.
366,151
45,797
RWE
AG
1,554,030
2,185,359
Industrial
Conglomerates
(1.7%):
191,744
CK
Hutchison
Holdings,
Ltd.
927,013
7,191
DCC
plc
523,354
1,500
Hikari
Tsushin,
Inc.
281,877
67,820
Hitachi,
Ltd.
6,195,479
10,043
Investment
AB
Latour,
Class
B
263,890
6,600
Jardine
Cycle
&
Carriage,
Ltd.
118,201
12,100
Jardine
Matheson
Holdings,
Ltd.
451,196
111,400
Keppel,
Ltd.
606,400
17,272
Lifco
AB,
Class
B
450,519
56,119
Siemens
AG,
Registered
Shares
10,711,934
23,942
Smiths
Group
plc
496,617
21,026,480
Industrial
REITs
(0.4%):
267,083
CapitaLand
Ascendas
REIT
549,073
340
GLP
J-Reit
285,376
125,465
Goodman
Group
2,764,119
271,034
Mapletree
Logistics
Trust
293,248
184
Nippon
Prologis
REIT,
Inc.
327,937
93,922
Segro
plc
1,069,649
12,391
Warehouses
De
Pauw
CVA
353,363
5,642,765
Insurance
(5.1%):
18,341
Admiral
Group
plc
656,305
107,828
Aegon,
Ltd.
656,921
10,748
Ageas
SA/NV
497,768
832,800
AIA
Group,
Ltd.
5,589,055
28,766
Allianz
SE,
Registered
Shares+
8,619,558
11,400
ASR
Nederland
NV
558,032
75,218
Assicurazioni
Generali
SpA
1,904,357
202,847
Aviva
plc
1,272,745
133,045
AXA
SA
4,994,983
3,478
Baloise
Holding
AG,
Registered
Shares
544,935
69,900
Dai-ichi
Life
Holdings,
Inc.
1,783,836
15,186
Gjensidige
Forsikring
ASA
220,512
4,381
Hannover
Rueck
SE
1,198,837
2,522
Helvetia
Holding
AG,
Registered
Shares
347,642
172,232
Insurance
Australia
Group,
Ltd.
718,171
153,900
Japan
Post
Holdings
Co.,
Ltd.
1,549,382
15,600
Japan
Post
Insurance
Co.,
Ltd.
298,026
442,021
Legal
&
General
Group
plc
1,417,761
207,807
Medibank
Pvt,
Ltd.
509,070
94,833
MS&AD
Insurance
Group
Holdings,
Inc.
1,678,200
10,039
Muenchener
Rueckversicherungs-Gesellschaft
AG
in
Muenchen,
Class
R
4,897,679
19,973
NN
Group
NV
923,747
56,342
Phoenix
Group
Holdings
plc
393,132
33,033
Poste
Italiane
SpA
413,518
200,742
Prudential
plc
1,887,901
108,221
QBE
Insurance
Group,
Ltd.
1,278,530
33,685
Sampo
Oyj,
A
Shares
1,435,830
AZL
International
Index
Fund
Consolidated
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
150
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Insurance,
continued
65,775
Sompo
Holdings,
Inc.
$
1,379,014
90,654
Suncorp
Group,
Ltd.
968,444
2,121
Swiss
Life
Holding
AG
1,486,805
22,140
Swiss
Re
AG
2,846,745
36,036
T&D
Holdings,
Inc.
626,935
5,045
Talanx
AG
399,366
132,300
Tokio
Marine
Holdings,
Inc.
4,155,925
24,379
Tryg
A/S
501,938
10,824
Zurich
Insurance
Group
AG
5,837,063
64,448,668
Interactive
Media
&
Services
(0.3%):
19,843
Adevinta
ASA*
208,474
64,789
Auto
Trader
Group
plc
572,015
27,637
CAR
Group,
Ltd.
649,703
203,800
LY
Corp.
515,004
3,995
REA
Group,
Ltd.
482,783
5,263
Scout24
SE
396,632
25,003
SEEK,
Ltd.
408,121
3,760
VK
IPJSC,
GDR*(a)
9,068
Yandex
NV,
Class
A*(a)
3,232,732
Internet
&
Direct
Marketing
Retail
(0.0%
):
321
Ozon
Holdings
plc,
ADR*(a)(b)
IT
Services
(0.8%):
5,725
Bechtle
AG
302,484
11,452
Capgemini
SE
2,640,386
130,000
Fujitsu,
Ltd.
2,081,902
18,000
NEC
Corp.
1,309,871
27,538
Nomura
Research
Institute,
Ltd.
777,379
48,200
NTT
Data
Group
Corp.
766,114
5,300
Obic
Co.,
Ltd.
798,876
17,400
Otsuka
Corp.
369,147
10,400
SCSK
Corp.
192,865
15,700
TIS,
Inc.
336,117
3,857
Wix.com,
Ltd.*
530,260
10,105,401
Leisure
Products
(0.1%):
42,500
Bandai
Namco
Holdings,
Inc.
786,925
5,400
Shimano,
Inc.
806,455
10,700
Yamaha
Corp.
230,570
1,823,950
Life
Sciences
Tools
&
Services
(0.4%):
2,520
Bachem
Holding
AG^
241,366
10,204
Eurofins
Scientific
SE
649,729
5,415
Lonza
Group
AG,
Registered
Shares
3,242,720
16,594
QIAGEN
NV
709,506
2,016
Sartorius
Stedim
Biotech
574,424
5,417,745
Machinery
(3.0%):
20,659
Alfa
Laval
AB
812,234
22,536
Alstom
SA^
343,260
197,118
Atlas
Copco
AB,
Class
A
3,327,145
116,433
Atlas
Copco
AB,
Class
B
1,719,161
21,500
Daifuku
Co.,
Ltd.
515,797
Shares
Value
Common
Stocks,
continued
Machinery,
continued
39,603
Daimler
Truck
Holding
AG
$
2,005,887
47,096
Epiroc
AB,
Class
A
888,210
29,884
Epiroc
AB,
Class
B
506,196
69,100
FANUC
Corp.
1,932,907
12,696
GEA
Group
AG
536,710
7,700
Hitachi
Construction
Machinery
Co.,
Ltd.
232,530
7,500
Hoshizaki
Corp.
273,580
25,721
Husqvarna
AB,
B
Shares
220,157
20,933
Indutrade
AB
570,362
4,973
Knorr-Bremse
AG
376,074
67,600
Komatsu,
Ltd.
2,002,057
25,101
Kone
Oyj,
Class
B
1,167,395
73,500
Kubota
Corp.
1,170,537
16,200
Makita
Corp.
459,648
50,641
Metso
Oyj
600,798
27,100
MINEBEA
MITSUMI,
Inc.
531,295
21,600
MISUMI
Group,
Inc.
301,326
237,000
Mitsubishi
Heavy
Industries,
Ltd.
2,150,120
346
Rational
AG
298,158
77,223
Sandvik
AB
1,713,799
2,833
Schindler
Holding
AG,
Series
PC
713,407
1,644
Schindler
Holding
AG,
Registered
Shares
401,064
3,435,869
Seatrium,
Ltd.*
201,233
25,498
SKF
AB,
B
Shares^
519,838
4,200
SMC
Corp.
2,370,215
5,507
Spirax-Sarco
Engineering
plc
699,877
105,000
Techtronic
Industries
Co.,
Ltd.
1,423,588
10,700
Toyota
Industries
Corp.
1,118,669
1,943
VAT
Group
AG
1,005,090
15,205
Volvo
AB,
Class
A
418,794
111,383
Volvo
AB,
Class
B^
3,017,233
35,945
Wartsila
Oyj
Abp
545,957
18,000
Yaskawa
Electric
Corp.
765,773
37,856,081
Marine
Transportation
(0.3%):
228
AP
Moller
-
Maersk
A/S,
Class
A
291,421
305
AP
Moller
-
Maersk
A/S,
Class
B
396,634
29,100
Kawasaki
Kisen
Kaisha,
Ltd.
390,772
3,988
Kuehne
+
Nagel
International
AG,
Class
R
1,110,017
24,600
Mitsui
OSK
Lines,
Ltd.
749,595
34,100
Nippon
Yusen
KK
934,983
104,000
SITC
International
Holdings
Co.,
Ltd.
190,027
4,063,449
Media
(0.4%):
14,277
Dentsu
Group,
Inc.
395,561
102,708
Informa
plc
1,076,597
17,043
Publicis
Groupe
SA
1,857,074
48,554
Vivendi
SE
529,531
79,719
WPP
plc
754,284
4,613,047
Metals
&
Mining
(2.9%):
77,337
Alrosa
PAO*(a)(b)
93,239
Anglo
American
plc
2,303,495
29,973
Antofagasta
plc
773,594
38,457
ArcelorMittal
SA
1,056,368
372,067
BHP
Group,
Ltd.
10,742,513
30,911
BlueScope
Steel,
Ltd.
480,874
AZL
International
Index
Fund
Consolidated
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
151
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Metals
&
Mining,
continued
20,386
Boliden
AB
$
564,903
14,787
Endeavour
Mining
plc
300,834
125,551
Fortescue,
Ltd.
2,103,398
761,405
Glencore
plc
4,187,981
40,500
JFE
Holdings,
Inc.
669,957
12,769
Mineral
Resources,
Ltd.
590,889
1,857
MMC
Norilsk
Nickel
PJSC*(a)(b)
62,448
Nippon
Steel
Corp.
1,501,694
100,511
Norsk
Hydro
ASA
554,480
82,956
Northern
Star
Resources,
Ltd.
791,635
42,350
Novolipetsk
Steel
PJSC*(a)(b)
196,279
Pilbara
Minerals,
Ltd.^
491,810
1,026
Polyus
PJSC*(a)(b)
82,903
Rio
Tinto
plc
5,259,591
26,922
Rio
Tinto,
Ltd.
2,139,853
6,613
Severstal*(a)(b)
343,666
South32,
Ltd.
674,646
18,300
Sumitomo
Metal
Mining
Co.,
Ltd.
542,832
84,297
United
Co.
RUSAL
International
PJSC*(a)(b)
9,422
voestalpine
AG
264,346
35,995,693
Multi-Utilities
(0.8%):
388,862
Centrica
plc
626,085
163,379
E.ON
SE
2,270,579
133,163
Engie
SA
2,237,466
273,079
National
Grid
plc
3,673,113
70,800
Sembcorp
Industries,
Ltd.
283,309
49,815
Veolia
Environnement
SA
1,615,917
10,706,469
Office
REITs
(0.1%):
3,599
Covivio
SA
185,426
78,455
Dexus
405,360
3,301
Gecina
SA
336,926
100
Japan
Real
Estate
Investment
Corp.
356,581
111
Nippon
Building
Fund,
Inc.
444,405
1,728,698
Oil,
Gas
&
Consumable
Fuels
(4.0%):
21,578
Aker
BP
ASA
539,482
18,095
Ampol,
Ltd.
469,332
1,259,180
BP
plc
7,910,243
213,020
ENEOS
Holdings,
Inc.
1,025,611
159,819
Eni
SpA
2,533,588
66,738
Equinor
ASA
1,791,382
34,022
Galp
Energia
SGPS
SA
563,088
354,974
Gazprom
PJSC*(a)(b)
66,935
Idemitsu
Kosan
Co.,
Ltd.
458,773
72,800
Inpex
Corp.
1,109,435
12,219
LUKOIL
PJSC*(a)(b)
31,134
Neste
Oyj
843,932
27,220
Novatek
PJSC(a)(b)
11,220
OMV
AG
531,511
90,132
Repsol
SA
1,504,159
34,912
Rosneft
Oil
Co.
PJSC*(a)(b)
242,811
Santos,
Ltd.
1,226,113
477,528
Shell
plc
15,840,465
50
SK
Innovation
Co.,
Ltd.*
4,399
171,452
Surgutneftegas
PJSC*(a)(b)
Shares
Value
Common
Stocks,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
199,091
Surgutneftegas
Prefernce*(a)(b)
$
43,241
Tatneft
PJSC*(a)(b)
159,257
TotalEnergies
SE
10,949,012
138,958
Woodside
Energy
Group,
Ltd.
2,775,176
50,075,701
Paper
&
Forest
Products
(0.3%):
5,857
Holmen
AB,
B
Shares
238,335
33,304
Mondi
plc
586,758
41,849
Stora
Enso
Oyj,
Class
R
581,900
46,553
Svenska
Cellulosa
AB
SCA,
Class
B^
714,797
39,139
UPM-Kymmene
Oyj
1,302,517
3,424,307
Passenger
Airlines
(0.1%):
12,100
ANA
Holdings,
Inc.
252,676
43,566
Deutsche
Lufthansa
AG,
Registered
Shares*
342,182
8,970
Japan
Airlines
Co.,
Ltd.
170,201
70,174
Qantas
Airways,
Ltd.*
249,440
105,850
Singapore
Airlines,
Ltd.^
502,426
1,516,925
Personal
Care
Products
(1.8%):
7,318
Beiersdorf
AG
1,065,319
496,065
Haleon
plc
2,081,427
34,500
Kao
Corp.
1,291,009
17,616
L'Oreal
SA
8,353,456
28,800
Shiseido
Co.,
Ltd.
787,392
184,236
Unilever
plc
9,249,744
22,828,347
Pharmaceuticals
(8.9%):
134,700
Astellas
Pharma,
Inc.
1,447,775
113,839
AstraZeneca
plc
15,324,292
72,551
Bayer
AG,
Registered
Shares
2,224,693
26
Celltrion
Pharm,
Inc.
2,003
48,600
Chugai
Pharmaceutical
Co.,
Ltd.
1,857,797
136,600
Daiichi
Sankyo
Co.,
Ltd.
4,342,217
19,200
Eisai
Co.,
Ltd.
791,050
300,941
GSK
plc
6,461,983
12,542
Hikma
Pharmaceuticals
plc
303,336
2,520
Ipsen
SA
299,494
2,373
Kangmei
Pharmaceutical
Co.*(a)
18,800
Kyowa
Kirin
Co.,
Ltd.
338,041
9,381
Merck
KGaA
1,655,409
150,525
Novartis
AG,
Registered
Shares
14,579,920
239,651
Novo
Nordisk
A/S,
Class
B
30,703,867
26,500
Ono
Pharmaceutical
Co.,
Ltd.
434,384
7,694
Orion
Oyj,
Class
B
286,831
30,700
Otsuka
Holdings
Co.,
Ltd.
1,273,370
7,789
Recordati
Industria
Chimica
e
Farmaceutica
SpA
430,406
51,594
Roche
Holding
AG
13,172,944
2,343
Roche
Holding
AG,
Class
BR
630,763
30,290
Sandoz
Group
AG*
913,841
83,903
Sanofi
SA
8,231,214
17,500
Shionogi
&
Co.,
Ltd.
896,243
115,473
Takeda
Pharmaceutical
Co.,
Ltd.
3,209,691
83,515
Teva
Pharmaceutical
Industries,
Ltd.,
ADR*
1,178,397
AZL
International
Index
Fund
Consolidated
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
152
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Pharmaceuticals,
continued
9,010
UCB
SA
$
1,111,075
112,101,036
Professional
Services
(1.7%):
12,350
Adecco
Group
AG
488,331
22,303
Bureau
Veritas
SA
679,711
37,505
Computershare,
Ltd.
638,100
67,941
Experian
plc
2,965,432
11,261
Intertek
Group
plc
709,432
8,049
Randstad
NV
424,445
105,800
Recruit
Holdings
Co.,
Ltd.
4,661,324
138,209
RELX
plc
5,970,667
11,225
SGS
SA,
Registered
Shares
1,089,040
4,352
Teleperformance
SE
421,954
18,303
Wolters
Kluwer
NV
2,866,015
20,914,451
Real
Estate
Management
&
Development
(1.2%):
2,755
Azrieli
Group,
Ltd.
198,879
199,200
CapitaLand
Investment,
Ltd.
396,277
60,000
China
Evergrande
Group*
1,250
33,900
City
Developments,
Ltd.
147,217
149,244
CK
Asset
Holdings,
Ltd.
614,833
4,100
Daito
Trust
Construction
Co.,
Ltd.
467,465
44,100
Daiwa
House
Industry
Co.,
Ltd.
1,311,887
115,000
ESR
Group,
Ltd.
123,175
47,911
Fastighets
AB
Balder,
B
Shares*
351,488
128,000
Hang
Lung
Properties,
Ltd.
131,402
109,956
Henderson
Land
Development
Co.,
Ltd.
313,871
78,000
Hongkong
Land
Holdings,
Ltd.
239,510
29,800
Hulic
Co.,
Ltd.
305,986
5,255
LEG
Immobilien
SE*
451,032
82,100
Mitsubishi
Estate
Co.,
Ltd.
1,493,659
195,300
Mitsui
Fudosan
Co.,
Ltd.
2,104,597
7,100
Nomura
Real
Estate
Holdings,
Inc.
200,782
13,919
Sagax
AB,
Class
B
366,647
41,676
Shimao
Group
Holdings,
Ltd.*
2,503
242,601
Sino
Land
Co.,
Ltd.
252,197
20,700
Sumitomo
Realty
&
Development
Co.,
Ltd.
770,928
106,000
Sun
Hung
Kai
Properties,
Ltd.
1,021,434
81,000
Sunac
China
Holdings,
Ltd.*
11,594
33,964
Swire
Pacific,
Ltd.,
Class
A
279,682
96,400
Swire
Properties,
Ltd.
202,799
5,841
Swiss
Prime
Site
AG,
Registered
Shares
550,865
53,584
Vonovia
SE
1,584,498
81,931
Wharf
Holdings,
Ltd.
(The)
269,295
127,300
Wharf
Real
Estate
Investment
Co.,
Ltd.
414,664
14,580,416
Retail
REITs
(0.3%):
404,713
CapitaLand
Integrated
Commercial
Trust
594,981
507
Japan
Metropolitan
Fund
Invest
316,120
15,038
Klepierre
SA
389,235
193,120
Link
REIT
831,858
182,400
Mapletree
Pan
Asia
Commercial
Trust
173,306
394,258
Scentre
Group
873,253
8,677
Unibail-Rodamco-Westfield*
696,954
293,814
Vicinity,
Ltd.
407,806
4,283,513
Shares
Value
Common
Stocks,
continued
Semiconductors
&
Semiconductor
Equipment
(4.4%):
55,800
Advantest
Corp.
$
2,493,984
3,412
ASM
International
NV
2,078,324
29,605
ASML
Holding
NV
28,419,360
5,686
BE
Semiconductor
Industries
NV
868,028
6,800
Disco
Corp.
2,498,675
97,007
Infineon
Technologies
AG
3,297,370
5,400
Lasertec
Corp.
1,531,636
109,200
Renesas
Electronics
Corp.*
1,954,758
22,900
Rohm
Co.,
Ltd.
365,432
6,100
SCREEN
Holdings
Co.,
Ltd.
793,678
49,550
STMicroelectronics
NV
2,132,649
24,700
SUMCO
Corp.
390,984
34,500
Tokyo
Electron,
Ltd.
9,048,801
55,873,679
Software
(2.0%):
6,825
Check
Point
Software
Technologies,
Ltd.*
1,119,368
3,107
CyberArk
Software,
Ltd.*
825,312
49,664
Dassault
Systemes
SE
2,196,397
2,049
Monday.com,
Ltd.*
462,808
4,385
Nemetschek
SE
433,852
4,819
Nice,
Ltd.*
1,256,687
2,800
Oracle
Corp.
Japan
210,465
75,122
Sage
Group
plc
(The)
1,199,486
76,685
SAP
SE
14,927,999
4,270
Temenos
AG,
Registered
Shares
305,867
9,900
Trend
Micro,
Inc.
503,611
11,856
WiseTech
Global,
Ltd.
725,836
10,307
Xero,
Ltd.*
895,434
25,063,122
Specialty
Retail
(0.9%):
7,852
Avolta
AG*
326,755
12,700
Fast
Retailing
Co.,
Ltd.
3,936,169
48,182
H
&
M
Hennes
&
Mauritz
AB,
Class
B^
787,601
79,276
Industria
de
Diseno
Textil
SA
3,991,541
187,657
JD
Sports
Fashion
plc
318,101
146,299
Kingfisher
plc
460,072
5,700
Nitori
Holdings
Co.,
Ltd.
859,342
33,200
USS
Co.,
Ltd.
274,456
16,114
Zalando
SE*
460,464
10,300
ZOZO,
Inc.
255,645
11,670,146
Technology
Hardware,
Storage
&
Peripherals
(0.5%):
17,600
Brother
Industries,
Ltd.
327,102
73,700
Canon,
Inc.
2,194,185
82,800
FUJIFILM
Holdings
Corp.
1,860,315
12,355
Logitech
International
SA,
Class
R
1,105,794
37,500
Ricoh
Co.,
Ltd.
333,963
19,800
Seiko
Epson
Corp.
345,902
6,167,261
Textiles,
Apparel
&
Luxury
Goods
(3.1%):
11,824
adidas
AG
2,640,796
25,324
Burberry
Group
plc
388,429
39,363
Cie
Financiere
Richemont
SA,
Registered
Shares
6,022,526
2,316
FF
Group*(a)
2,330
Hermes
International
SCA
5,972,456
5,522
Kering
SA
2,182,350
AZL
International
Index
Fund
Consolidated
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
153
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Textiles,
Apparel
&
Luxury
Goods,
continued
20,278
LVMH
Moet
Hennessy
Louis
Vuitton
SE
$
18,337,664
15,560
Moncler
SpA
1,160,764
6,097
Pandora
A/S
984,991
8,021
Puma
SE
363,536
3,854
Swatch
Group
AG
(The)
174,770
2,177
Swatch
Group
AG
(The),
Class
BR
505,241
38,733,523
Tobacco
(0.7%):
148,162
British
American
Tobacco
plc
4,502,458
61,196
Imperial
Brands
plc
1,367,943
89,000
Japan
Tobacco,
Inc.
2,372,857
8,243,258
Trading
Companies
&
Distributors
(2.1%):
14,814
AerCap
Holdings
NV*
1,287,485
31,695
Ashtead
Group
plc
2,252,458
26,827
Beijer
Ref
AB^
397,831
10,002
Brenntag
SE
842,426
24,203
Bunzl
plc
931,834
4,318
IMCD
NV
760,892
86,600
ITOCHU
Corp.
3,714,062
106,000
Marubeni
Corp.
1,836,136
252,700
Mitsubishi
Corp.
5,837,063
94,900
Mitsui
&
Co.,
Ltd.
4,434,566
18,500
MonotaRO
Co.,
Ltd.
222,165
15,779
Reece,
Ltd.
289,220
16,836
Rexel
SA
454,280
12,214
Seven
Group
Holdings,
Ltd.
324,626
77,400
Sumitomo
Corp.
1,863,781
15,200
Toyota
Tsusho
Corp.
1,043,642
26,492,467
Transportation
Infrastructure
(0.3%):
5,358
Aena
SME
SA
1,054,597
2,687
Aeroports
de
Paris
SA
368,093
93,695
Auckland
International
Airport,
Ltd.
466,733
24,800
Getlink
SE
422,052
227,938
Transurban
Group
1,981,027
4,292,502
Water
Utilities
(0.1%):
18,968
Severn
Trent
plc
591,777
51,908
United
Utilities
Group
plc
674,806
1,266,583
Wireless
Telecommunication
Services
(1.0%):
109,200
KDDI
Corp.
3,229,248
29,884
Mobile
TeleSystems
PJSC*(a)(b)
211,200
SoftBank
Corp.
2,712,713
75,500
SoftBank
Group
Corp.
4,512,484
39,884
Tele2
AB,
B
Shares
327,592
1,698,407
Vodafone
Group
plc
1,503,471
12,285,508
Total
Common
Stocks
(Cost
$738,697,961)
1,235,979,516
Shares
Value
Preferred
Stocks
(0.5%):
Automobiles
(0.3%):
4,531
Bayerische
Motoren
Werke
AG,
8.57%,
5/15/20
$
485,771
8,108
Dr
Ing
hc
F
Porsche
AG,
1.09%
806,988
11,435
Porsche
Automobil
Holding
SE,
5.21%,
5/20/20
606,058
14,920
Volkswagen
AG,
7.13%,
5/8/20
1,978,485
3,877,302
Household
Products
(0.1%):
12,610
Henkel
AG
&
Co.
KGaA,
2.48%,
4/21/20
1,013,293
Life
Sciences
Tools
&
Services
(0.1%):
1,990
Sartorius
AG,
0.39%
791,329
Total
Preferred
Stocks
(Cost
$4,523,508)
5,681,924
Affiliated
Investment
Company
(1.2%):
Money
Market
(1.2%):
15,120,369
BlackRock
Liquidity
FedFund,
Institutional
Class+(c)
(d)
15,120,369
Total
Affiliated
Investment
Company
(Cost
$15,120,369)
15,120,369
Unaffiliated
Investment
Company
(0.0%
):
Money
Markets
(0.0%
):
31
Dreyfus
Treasury
Securities
Cash
Management
Fund,
Institutional
Shares,
5.19%(d)
31
Total
Unaffiliated
Investment
Company
(Cost
$31)
31
Total
Investment
Securities
(Cost
$758,341,869)
99.8%
1,256,781,840
Net
other
assets
(liabilities)
0.2%
2,541,549
Net
Assets
100.0%
$
1,259,323,389
AZL
International
Index
Fund
Consolidated
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
154
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Percentages
indicated
are
based
on
net
assets
as
of
March
31,
2024
ADR—American
Depository
Receipt
GDR—Global
Depositary
Receipt
REIT—Real
Estate
Investment
Trust
^
This
security
or
a
partial
position
of
this
security
was
on
loan
as
of
March
31,
2024.
The
total
value
of
securities
on
loan
as
of
March
31,
2024
was
$13,308,471.
+
Affiliated
Securities
Represents
less
than
0.05%.
*
Non-income
producing
security.
(a)
Security
was
valued
using
significant
unobservable
inputs
as
of
March
31,
2024.
(b)
These
securities
are
held
by
the
AZL
MSCI
Emerging
Markets
Equity
Index
Fund
(the
“Subsidiary”)
(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
March
31,
2024.
(d)
The
rate
represents
the
effective
yield
at
March
31,
2024.
Amounts
shown
as
“—“
are
either
$0
or
round
to
less
than
$1.
AZL
International
Index
Fund
Consolidated
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
155
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
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
March
31,
2024:
(Unaudited)
Country
Percentage
Australia
7.0‌%
Austria
0.2‌%
Belgium
0.8‌%
Chile
0.1‌%
China
—‌%
Cyprus
—‌%
Denmark
3.6‌%
Finland
1.0‌%
France
11.6‌%
Germany
8.5‌%
Greece
—‌%
Hong
Kong
1.9‌%
Ireland
1.4‌%
Israel
0.7‌%
Italy
2.3‌%
Japan
23.3‌%
Jordan
—‌%
Luxembourg
0.2‌%
Macau
—‌%
Netherlands
5.3‌%
New
Zealand
0.2‌%
Norway
0.6‌%
Philippines
—‌%
Portugal
0.2‌%
Republic
of
Korea
(South)
—‌%
Russia
—‌%
Russian
Federation
—‌%
Singapore
1.3‌%
Spain
2.7‌%
Sweden
3.0‌%
Switzerland
9.9‌%
Taiwan,
Province
Of
China
—‌%
Turkey
—‌%
United
Kingdom
13.0‌%
United
States
1.2‌%
100.0‌%
Represents
less
than
0.05%.
Futures
Contracts
At
March
31,
2024,
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
June
Futures
(Australian
Dollar)
6/20/24
13
$
1,683,524‌
$
29,088‌
DJ
EURO
STOXX
50
June
Futures
(Euro)
6/21/24
89
4,843,426‌
67,526‌
FTSE
100
Index
June
Futures
(British
Pounds)
6/21/24
30
3,024,001‌
50,057‌
SGX
NIKKEI
225
Index
June
Futures
(Japenese
Yen)
6/13/24
22
2,919,695‌
45,928‌
$
192,599‌
AZL
Mid
Cap
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
156
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks
(100.1%):
Aerospace
&
Defense
(1.3%):
28,171
BWX
Technologies,
Inc.
$
2,890,908
11,670
Curtiss-Wright
Corp.
2,986,820
25,769
Hexcel
Corp.
1,877,272
18,621
Woodward,
Inc.
2,869,868
10,624,868
Air
Freight
&
Logistics
(0.2%):
37,188
GXO
Logistics,
Inc.*
1,999,227
Automobile
Components
(1.4%):
28,529
Adient
plc*
939,174
22,904
Autoliv
,
Inc.
2,758,329
13,054
Fox
Factory
Holding
Corp.*
679,722
71,341
Gentex
Corp.
2,576,837
88,789
Goodyear
Tire
&
Rubber
Co.
(The)*
1,219,073
17,950
Lear
Corp.
2,600,596
8,623
Visteon
Corp.*
1,014,151
11,787,882
Automobiles
(0.4%):
39,333
Harley-Davidson,
Inc.
1,720,425
16,597
Thor
Industries,
Inc.
1,947,492
3,667,917
Banks
(5.4%):
45,474
Associated
Banc-Corp.
978,146
33,673
Bank
OZK
1,530,775
56,774
Cadence
Bank
1,646,446
65,944
Columbia
Banking
System,
Inc.
1,276,016
36,477
Commerce
Bancshares,
Inc.
1,940,576
20,063
Cullen/Frost
Bankers,
Inc.
2,258,492
44,306
East
West
Bancorp,
Inc.
3,505,048
38,690
First
Financial
Bankshares
,
Inc.
1,269,419
173,657
First
Horizon
Corp.
2,674,318
114,568
FNB
Corp.
1,615,409
34,015
Glacier
Bancorp,
Inc.
1,370,124
26,681
Hancock
Whitney
Corp.
1,228,393
56,857
Home
BancShares
,
Inc.
1,396,976
15,753
International
Bancshares
Corp.
884,373
219,130
New
York
Community
Bancorp,
Inc.
705,599
93,898
Old
National
Bancorp
1,634,764
24,119
Pinnacle
Financial
Partners,
Inc.
2,071,340
29,269
Prosperity
Bancshares,
Inc.
1,925,315
24,046
SouthState
Corp.
2,044,631
46,836
Synovus
Financial
Corp.
1,876,250
14,050
Texas
Capital
Bancshares,
Inc.*
864,777
13,627
UMB
Financial
Corp.
1,185,413
41,473
United
Bankshares
,
Inc.
1,484,319
135,661
Valley
National
Bancorp
1,079,862
54,691
Webster
Financial
Corp.
2,776,662
19,731
Wintrust
Financial
Corp.
2,059,719
46,225
Zions
Bancorp
NA
2,006,165
45,289,327
Beverages
(0.7%):
2,890
Boston
Beer
Co.,
Inc.
(The),
Class
A*
879,774
45,953
Celsius
Holdings,
Inc.*
3,810,422
Shares
Value
Common
Stocks,
continued
Beverages,
continued
1,480
Coca-Cola
Consolidated,
Inc.
$
1,252,687
5,942,883
Biotechnology
(1.9%):
38,641
Arrowhead
Pharmaceuticals,
Inc.*
1,105,133
30,290
Cytokinetics,
Inc.*
2,123,632
93,573
Exelixis
,
Inc.*
2,220,487
41,272
Halozyme
Therapeutics,
Inc.*
1,678,945
30,962
Neurocrine
Biosciences,
Inc.*
4,270,279
104,757
Roivant
Sciences,
Ltd.*
1,104,139
14,589
United
Therapeutics
Corp.*
3,351,385
15,854,000
Broadline
Retail
(0.5%):
85,983
Macy's,
Inc.
1,718,800
30,223
Nordstrom,
Inc.
612,620
18,665
Ollie's
Bargain
Outlet
Holdings,
Inc.*
1,485,174
3,816,594
Building
Products
(3.7%):
21,182
Advanced
Drainage
Systems,
Inc.
3,648,388
15,076
Carlisle
Cos.,
Inc.
5,907,530
39,337
Fortune
Brands
Innovations,
Inc.
3,330,664
9,998
Lennox
International,
Inc.
4,886,622
27,671
Owens
Corning
4,615,523
13,278
Simpson
Manufacturing
Co.,
Inc.
2,724,380
33,487
Trex
Co.,
Inc.*
3,340,328
19,386
UFP
Industries,
Inc.
2,384,672
30,838,107
Capital
Markets
(3.0%):
10,939
Affiliated
Managers
Group,
Inc.
1,831,954
68,797
Carlyle
Group,
Inc.
(The)
3,227,267
11,240
Evercore
,
Inc.
2,164,712
24,945
Federated
Hermes,
Inc.
901,013
16,466
Houlihan
Lokey
,
Inc.
2,110,777
33,463
Interactive
Brokers
Group,
Inc.
3,738,152
41,918
Janus
Henderson
Group
plc
1,378,683
55,152
Jefferies
Financial
Group,
Inc.
2,432,203
7,894
Morningstar,
Inc.
2,434,273
30,528
SEI
Investments
Co.
2,194,963
32,816
Stifel
Financial
Corp.
2,565,227
24,979,224
Chemicals
(2.4%):
319,162
Arcadium
Lithium
plc*
1,375,588
15,364
Ashland,
Inc.
1,495,993
27,977
Avient
Corp.
1,214,202
68,130
Axalta
Coating
Systems,
Ltd.*
2,342,991
17,288
Cabot
Corp.
1,593,953
46,774
Chemours
Co.
(The)
1,228,285
2,126
NewMarket
Corp.
1,349,202
37,596
Olin
Corp.
2,210,645
40,102
RPM
International,
Inc.
4,770,133
12,883
Scotts
Miracle-
Gro
Co.
(The)
960,943
10,500
Westlake
Corp.
1,604,400
20,146,335
AZL
Mid
Cap
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
157
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Commercial
Services
&
Supplies
(1.3%):
14,327
Brink's
Co.
(The)
$
1,323,528
15,933
Clean
Harbors,
Inc.*
3,207,472
11,383
MSA
Safety,
Inc.
2,203,635
28,260
Stericycle,
Inc.*
1,490,715
16,628
Tetra
Tech,
Inc.
3,071,358
11,296,708
Communications
Equipment
(0.4%):
44,939
Ciena
Corp.*
2,222,234
21,209
Lumentum
Holdings,
Inc.*
1,004,246
3,226,480
Construction
&
Engineering
(2.4%):
42,512
AECOM
4,169,577
11,030
Comfort
Systems
USA,
Inc.
3,504,341
14,587
EMCOR
Group,
Inc.
5,108,367
53,592
Fluor
Corp.*
2,265,870
18,636
MasTec
,
Inc.*
1,737,807
63,673
MDU
Resources
Group,
Inc.
1,604,560
6,414
Valmont
Industries,
Inc.
1,464,188
19,854,710
Construction
Materials
(0.5%):
10,697
Eagle
Materials,
Inc.
2,906,910
17,662
Knife
River
Corp.*
1,432,035
4,338,945
Consumer
Finance
(0.8%):
86,272
Ally
Financial,
Inc.
3,501,780
12,124
FirstCash
Holdings,
Inc.
1,546,295
72,715
SLM
Corp.
1,584,460
6,632,535
Consumer
Staples
Distribution
&
Retail
(1.7%):
11,474
Casey's
General
Stores,
Inc.
3,653,895
28,839
Grocery
Outlet
Holding
Corp.*
829,986
48,556
Performance
Food
Group
Co.*
3,624,220
31,274
Sprouts
Farmers
Market,
Inc.*
2,016,548
70,611
US
Foods
Holding
Corp.*
3,810,876
13,935,525
Containers
&
Packaging
(1.7%):
20,482
AptarGroup,
Inc.
2,947,155
36,364
Berry
Global
Group,
Inc.
2,199,295
37,251
Crown
Holdings,
Inc.
2,952,514
95,633
Graphic
Packaging
Holding
Co.
2,790,571
8,003
Greif,
Inc.,
Class
A
552,607
25,176
Silgan
Holdings,
Inc.
1,222,546
30,920
Sonoco
Products
Co.
1,788,413
14,453,101
Diversified
Consumer
Services
(0.9%):
1,108
Graham
Holdings
Co.,
Class
B
850,589
8,776
Grand
Canyon
Education,
Inc.*
1,195,379
43,626
H&R
Block,
Inc.
2,142,473
46,341
Service
Corp.
International
3,438,966
7,627,407
Diversified
REITs
(0.5%):
68,331
WP
Carey,
Inc.
3,856,602
Shares
Value
Common
Stocks,
continued
Diversified
Telecommunication
Services
(0.3%):
68,275
Frontier
Communications
Parent,
Inc.*
$
1,672,738
38,559
Iridium
Communications,
Inc.
1,008,703
2,681,441
Electric
Utilities
(0.8%):
17,463
ALLETE,
Inc.
1,041,493
15,238
IDACORP,
Inc.
1,415,458
64,702
OGE
Energy
Corp.
2,219,279
26,579
PNM
Resources,
Inc.
1,000,433
32,649
Portland
General
Electric
Co.
1,371,258
7,047,921
Electrical
Equipment
(1.5%):
9,477
Acuity
Brands,
Inc.
2,546,754
12,372
EnerSys
1,168,659
51,617
nVent
Electric
plc
3,891,922
20,582
Regal
Rexnord
Corp.
3,706,818
46,698
Sensata
Technologies
Holding
plc
1,715,685
13,029,838
Electronic
Equipment,
Instruments
&
Components
(2.4%):
16,843
Arrow
Electronics,
Inc.*
2,180,495
29,095
Avnet,
Inc.
1,442,530
12,931
Belden,
Inc.
1,197,540
52,567
Cognex
Corp.
2,229,892
40,828
Coherent
Corp.*
2,474,993
14,957
Crane
NXT
Co.
925,838
8,857
IPG
Photonics
Corp.*
803,241
7,628
Littelfuse
,
Inc.
1,848,646
10,919
Novanta
,
Inc.*
1,908,314
18,155
TD
SYNNEX
Corp.
2,053,330
39,145
Vishay
Intertechnology
,
Inc.
887,809
47,924
Vontier
Corp.
2,173,833
20,126,461
Energy
Equipment
&
Services
(1.0%):
59,366
ChampionX
Corp.
2,130,646
122,255
NOV,
Inc.
2,386,417
18,923
Valaris
,
Ltd.*
1,424,145
22,514
Weatherford
International
plc*
2,598,566
8,539,774
Entertainment
(0.2%):
18,566
TKO
Group
Holdings,
Inc.
1,604,288
Financial
Services
(1.7%):
37,766
Equitable
Holdings,
Inc.
1,435,486
32,875
Essent
Group,
Ltd.
1,956,391
13,820
Euronet
Worldwide,
Inc.*
1,519,233
83,885
MGIC
Investment
Corp.
1,875,668
34,877
Voya
Financial,
Inc.
2,578,108
102,250
Western
Union
Co.
(The)
1,429,455
13,332
WEX,
Inc.*
3,166,750
13,961,091
Food
Products
(1.1%):
49,774
Darling
Ingredients,
Inc.*
2,314,989
60,181
Flowers
Foods,
Inc.
1,429,299
20,731
Ingredion,
Inc.
2,422,417
6,180
Lancaster
Colony
Corp.
1,283,153
AZL
Mid
Cap
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
158
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Food
Products,
continued
12,482
Pilgrim's
Pride
Corp.*
$
428,382
15,705
Post
Holdings,
Inc.*
1,669,128
9,547,368
Gas
Utilities
(1.0%):
28,154
National
Fuel
Gas
Co.
1,512,433
30,457
New
Jersey
Resources
Corp.
1,306,910
16,950
ONE
Gas,
Inc.
1,093,784
18,762
Southwest
Gas
Holdings,
Inc.
1,428,351
16,639
Spire,
Inc.
1,021,135
66,841
UGI
Corp.
1,640,278
8,002,891
Ground
Transportation
(2.1%):
5,702
Avis
Budget
Group,
Inc.
698,267
40,105
Hertz
Global
Holdings,
Inc.*
314,022
50,398
Knight-Swift
Transportation
Holdings,
Inc.
2,772,898
11,028
Landstar
System,
Inc.
2,125,757
14,071
Ryder
System,
Inc.
1,691,194
8,249
Saia,
Inc.*
4,825,665
17,090
Werner
Enterprises,
Inc.
668,561
36,065
XPO,
Inc.*
4,401,012
17,497,376
Health
Care
Equipment
&
Supplies
(2.2%):
15,171
Enovis
Corp.*
947,429
53,229
Envista
Holdings
Corp.*
1,138,036
35,728
Globus
Medical,
Inc.*
1,916,450
15,668
Haemonetics
Corp.*
1,337,264
20,810
Integra
LifeSciences
Holdings
Corp.*
737,715
21,418
Lantheus
Holdings,
Inc.*
1,333,056
16,700
LivaNova
plc*
934,198
13,768
Masimo
Corp.*
2,021,831
61,171
Neogen
Corp.*
965,278
11,963
Penumbra,
Inc.*
2,669,902
15,174
QuidelOrtho
Corp.*
727,442
11,443
Shockwave
Medical,
Inc.*
3,726,184
18,454,785
Health
Care
Providers
&
Services
(2.1%):
28,659
Acadia
Healthcare
Co.,
Inc.*
2,270,366
9,581
Amedisys
,
Inc.*
882,985
4,604
Chemed
Corp.
2,955,446
30,882
Encompass
Health
Corp.
2,550,236
26,597
HealthEquity
,
Inc.*
2,171,113
55,145
Option
Care
Health,
Inc.*
1,849,563
25,263
Progyny
,
Inc.*
963,783
61,373
R1
RCM,
Inc.*
790,484
31,691
Tenet
Healthcare
Corp.*
3,331,041
17,765,017
Health
Care
REITs
(0.6%):
117,922
Healthcare
Realty
Trust,
Inc.
1,668,596
76,034
Omega
Healthcare
Investors,
Inc.
2,407,997
71,786
Sabra
Health
Care
REIT,
Inc.
1,060,279
5,136,872
Health
Care
Technology
(0.1%):
38,112
Doximity
,
Inc.,
Class
A*
1,025,594
Shares
Value
Common
Stocks,
continued
Hotel
&
Resort
REITs
(0.1%):
66,246
Park
Hotels
&
Resorts,
Inc.
$
1,158,643
Hotels,
Restaurants
&
Leisure
(3.6%):
81,966
Aramark
2,665,534
22,051
Boyd
Gaming
Corp.
1,484,473
7,510
Choice
Hotels
International,
Inc.^
948,888
21,044
Churchill
Downs,
Inc.
2,604,195
22,074
Hilton
Grand
Vacations,
Inc.*
1,042,114
13,696
Hyatt
Hotels
Corp.,
Class
A
2,186,156
27,938
Light
&
Wonder,
Inc.*
2,852,190
10,180
Marriott
Vacations
Worldwide
Corp.
1,096,691
45,514
Penn
Entertainment,
Inc.*
828,810
26,764
Planet
Fitness,
Inc.,
Class
A*
1,676,229
20,897
Texas
Roadhouse,
Inc.
3,227,960
22,850
Travel
+
Leisure
Co.
1,118,736
11,789
Vail
Resorts,
Inc.
2,626,943
52,496
Wendy's
Co.
(The)
989,025
9,109
Wingstop
,
Inc.
3,337,538
25,885
Wyndham
Hotels
&
Resorts,
Inc.
1,986,674
30,672,156
Household
Durables
(2.2%):
7,308
Helen
of
Troy,
Ltd.*
842,174
22,921
KB
Home
1,624,641
40,975
Leggett
&
Platt,
Inc.
784,671
33,321
Taylor
Morrison
Home
Corp.*
2,071,567
53,738
Tempur
Sealy
International,
Inc.
3,053,393
32,340
Toll
Brothers,
Inc.
4,183,826
9,829
TopBuild
Corp.*
4,331,935
17,202
Whirlpool
Corp.
2,057,875
18,950,082
Household
Products
(0.4%):
41,059
BJ's
Wholesale
Club
Holdings,
Inc.*
3,106,113
Independent
Power
and
Renewable
Electricity
Producers
(1.0%):
16,253
Ormat
Technologies,
Inc.
1,075,786
104,557
Vistra
Corp.
7,282,395
8,358,181
Industrial
REITs
(1.2%):
14,545
EastGroup
Properties,
Inc.
2,614,755
40,863
First
Industrial
Realty
Trust,
Inc.
2,146,942
65,224
Rexford
Industrial
Realty,
Inc.
3,280,767
56,574
STAG
Industrial,
Inc.
2,174,704
10,217,168
Insurance
(4.7%):
20,564
American
Financial
Group,
Inc.
2,806,575
20,755
Brighthouse
Financial,
Inc.*
1,069,713
35,096
CNO
Financial
Group,
Inc.
964,438
7,730
Erie
Indemnity
Co.,
Class
A
3,104,136
60,453
Fidelity
National
Financial,
Inc.
3,210,054
32,022
First
American
Financial
Corp.
1,954,943
11,365
Hanover
Insurance
Group,
Inc.
(The)
1,547,572
18,902
Kemper
Corp.
1,170,412
6,819
Kinsale
Capital
Group,
Inc.
3,578,202
82,753
Old
Republic
International
Corp.
2,542,172
11,432
Primerica,
Inc.
2,891,839
AZL
Mid
Cap
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
159
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Insurance,
continued
21,155
Reinsurance
Group
of
America,
Inc.
$
4,080,376
16,426
RenaissanceRe
Holdings,
Ltd.
3,860,603
12,251
RLI
Corp.
1,818,906
19,075
Selective
Insurance
Group,
Inc.
2,082,418
49,023
Unum
Group
2,630,574
39,312,933
Interactive
Media
&
Services
(0.3%):
13,752
Ziff
Davis,
Inc.*
866,926
92,924
ZoomInfo
Technologies,
Inc.*
1,489,572
2,356,498
IT
Services
(0.8%):
44,043
GoDaddy
,
Inc.,
Class
A*
5,227,023
72,476
Kyndryl
Holdings,
Inc.*
1,577,078
6,804,101
Leisure
Products
(0.8%):
21,340
Brunswick
Corp.
2,059,737
108,851
Mattel,
Inc.*
2,156,338
16,497
Polaris,
Inc.
1,651,680
26,999
YETI
Holdings,
Inc.*
1,040,811
6,908,566
Life
Sciences
Tools
&
Services
(1.2%):
17,506
Azenta
,
Inc.*
1,055,262
28,815
Bruker
Corp.
2,706,881
7,283
Medpace
Holdings,
Inc.*
2,943,424
16,108
Repligen
Corp.*
2,962,583
38,751
Sotera
Health
Co.*
465,400
10,133,550
Machinery
(4.9%):
19,386
AGCO
Corp.
2,384,866
12,965
Chart
Industries,
Inc.*
2,135,595
15,001
Crane
Co.
2,027,085
36,516
Donaldson
Co.,
Inc.
2,727,015
17,483
Esab
Corp.
1,933,095
40,665
Flowserve
Corp.
1,857,577
51,956
Graco
,
Inc.
4,855,808
25,444
ITT,
Inc.
3,461,147
17,864
Lincoln
Electric
Holdings,
Inc.
4,563,180
16,576
Middleby
Corp.
(The)*
2,665,255
20,410
Oshkosh
Corp.
2,545,331
8,939
RBC
Bearings,
Inc.*
2,416,659
20,905
Terex
Corp.
1,346,282
20,162
Timken
Co.
(The)
1,762,764
32,321
Toro
Co.
(The)
2,961,573
8,247
Watts
Water
Technologies,
Inc.,
Class
A
1,752,900
41,396,132
Marine
Transportation
(0.2%):
18,050
Kirby
Corp.*
1,720,526
Media
(0.6%):
1,380
Cable
One,
Inc.
583,919
50,512
New
York
Times
Co.
(The),
Class
A
2,183,129
10,302
Nexstar
Media
Group,
Inc.
1,774,932
61,099
TEGNA,
Inc.
912,819
5,454,799
Shares
Value
Common
Stocks,
continued
Metals
&
Mining
(2.3%):
55,736
Alcoa
Corp.
$
1,883,320
155,287
Cleveland-Cliffs,
Inc.*
3,531,226
36,119
Commercial
Metals
Co.
2,122,714
44,694
MP
Materials
Corp.*
639,124
17,923
Reliance,
Inc.
5,989,508
20,309
Royal
Gold,
Inc.
2,473,839
69,421
United
States
Steel
Corp.
2,830,988
19,470,719
Mortgage
Real
Estate
Investment
Trusts
(REITs)
(0.6%):
158,948
Annaly
Capital
Management,
Inc.
3,129,686
99,493
Starwood
Property
Trust,
Inc.
2,022,693
5,152,379
Multi-Utilities
(0.2%):
21,796
Black
Hills
Corp.
1,190,062
17,723
Northwestern
Energy
Group,
Inc.
902,632
2,092,694
Office
REITs
(0.5%):
31,876
COPT
Defense
Properties
770,443
46,018
Cousins
Properties,
Inc.
1,106,273
33,502
Kilroy
Realty
Corp.
1,220,478
50,343
Vornado
Realty
Trust
1,448,368
4,545,562
Oil,
Gas
&
Consumable
Fuels
(4.4%):
105,574
Antero
Midstream
Corp.
1,484,370
87,047
Antero
Resources
Corp.*
2,524,363
34,484
Chesapeake
Energy
Corp.
3,063,214
12,923
Chord
Energy
Corp.
2,303,396
26,832
Civitas
Resources,
Inc.
2,036,817
45,240
CNX
Resources
Corp.*
1,073,093
29,173
DT
Midstream,
Inc.
1,782,470
135,391
Equitrans
Midstream
Corp.
1,691,034
49,660
HF
Sinclair
Corp.
2,997,974
34,712
Matador
Resources
Co.
2,317,720
44,908
Murphy
Oil
Corp.
2,052,296
79,080
Ovintiv
,
Inc.
4,104,252
33,832
PBF
Energy,
Inc.,
Class
A
1,947,708
143,500
Permian
Resources
Corp.
2,534,210
74,245
Range
Resources
Corp.
2,556,255
340,708
Southwestern
Energy
Co.*
2,582,567
37,051,739
Paper
&
Forest
Products
(0.2%):
19,578
Louisiana-Pacific
Corp.
1,642,790
Personal
Care
Products
(0.9%):
40,932
BellRing
Brands,
Inc.*
2,416,216
116,874
Coty,
Inc.,
Class
A*
1,397,813
17,167
elf
Beauty,
Inc.*
3,365,247
7,179,276
Pharmaceuticals
(0.4%):
19,519
Jazz
Pharmaceuticals
plc*
2,350,478
41,592
Perrigo
Co.
plc
1,338,846
3,689,324
Professional
Services
(2.8%):
15,021
ASGN,
Inc.*
1,573,600
AZL
Mid
Cap
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
160
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Professional
Services,
continued
7,061
CACI
International,
Inc.,
Class
A*
$
2,674,919
14,937
Concentrix
Corp.
989,128
50,455
ExlService
Holdings,
Inc.*
1,604,469
15,274
Exponent,
Inc.
1,263,007
10,780
FTI
Consulting,
Inc.*
2,266,926
51,375
Genpact
,
Ltd.
1,692,806
10,985
Insperity
,
Inc.
1,204,066
42,085
KBR,
Inc.
2,679,131
15,375
ManpowerGroup
,
Inc.
1,193,715
19,151
Maximus,
Inc.
1,606,769
13,472
Paylocity
Holding
Corp.*
2,315,298
16,400
Science
Applications
International
Corp.
2,138,396
23,202,230
Real
Estate
Management
&
Development
(0.3%):
14,987
Jones
Lang
LaSalle,
Inc.*
2,923,814
Residential
REITs
(1.2%):
98,421
American
Homes
4
Rent,
Class
A
3,619,924
44,624
Apartment
Income
REIT
Corp.
1,448,941
58,097
Equity
LifeStyle
Properties,
Inc.
3,741,447
67,322
Independence
Realty
Trust,
Inc.
1,085,904
9,896,216
Retail
REITs
(0.9%):
30,610
Agree
Realty
Corp.
1,748,443
93,825
Brixmor
Property
Group,
Inc.
2,200,196
67,506
Kite
Realty
Group
Trust
1,463,530
56,400
NNN
REIT,
Inc.
2,410,536
7,822,705
Semiconductors
&
Semiconductor
Equipment
(2.7%):
21,921
Allegro
MicroSystems
,
Inc.*
590,990
32,625
Amkor
Technology,
Inc.
1,051,830
16,475
Cirrus
Logic,
Inc.*
1,524,926
42,649
Lattice
Semiconductor
Corp.*
3,336,431
16,992
MACOM
Technology
Solutions
Holdings,
Inc.*
1,625,115
19,500
MKS
Instruments,
Inc.
2,593,500
15,325
Onto
Innovation,
Inc.*
2,775,051
16,898
Power
Integrations,
Inc.
1,209,052
33,021
Rambus,
Inc.*
2,041,028
9,714
Silicon
Laboratories,
Inc.*
1,396,096
12,313
Synaptics
,
Inc.*
1,201,256
13,409
Universal
Display
Corp.
2,258,746
38,461
Wolfspeed
,
Inc.*
1,134,600
22,738,621
Software
(2.4%):
6,341
Appfolio
,
Inc.,
Class
A*
1,564,578
8,652
Aspen
Technology,
Inc.*
1,845,299
13,122
Blackbaud
,
Inc.*
972,865
13,721
CommVault
Systems,
Inc.*
1,391,721
18,509
Dolby
Laboratories,
Inc.,
Class
A
1,550,499
79,741
Dropbox,
Inc.,
Class
A*
1,937,706
74,939
Dynatrace
,
Inc.*
3,480,167
19,124
Manhattan
Associates,
Inc.*
4,785,399
11,377
Qualys
,
Inc.*
1,898,480
30,086
Teradata
Corp.*
1,163,426
20,590,140
Shares
Value
Common
Stocks,
continued
Specialized
REITs
(1.7%):
69,808
CubeSmart
$
3,156,718
23,313
EPR
Properties
989,637
83,992
Gaming
and
Leisure
Properties,
Inc.
3,869,511
27,353
Lamar
Advertising
Co.,
Class
A
3,266,222
23,352
National
Storage
Affiliates
Trust
914,464
23,898
PotlatchDeltic
Corp.
1,123,684
42,243
Rayonier,
Inc.
1,404,157
14,724,393
Specialty
Retail
(4.3%):
8,023
AutoNation,
Inc.*
1,328,448
19,787
Burlington
Stores,
Inc.*
4,594,344
18,023
Dick's
Sporting
Goods,
Inc.
4,052,652
16,966
Five
Below,
Inc.*
3,077,293
33,073
Floor
&
Decor
Holdings,
Inc.,
Class
A*
4,286,922
83,599
GameStop
Corp.,
Class
A*^
1,046,660
66,395
Gap,
Inc.
(The)
1,829,182
8,570
Lithia
Motors,
Inc.
2,578,370
5,923
Murphy
USA,
Inc.
2,482,922
6,194
Penske
Automotive
Group,
Inc.
1,003,366
4,745
RH*
1,652,494
39,755
Valvoline,
Inc.*
1,771,880
19,865
Williams-Sonoma,
Inc.
6,307,733
36,012,266
Technology
Hardware,
Storage
&
Peripherals
(0.6%):
91,943
Pure
Storage,
Inc.,
Class
A*
4,780,117
Textiles,
Apparel
&
Luxury
Goods
(1.4%):
35,854
Capri
Holdings,
Ltd.*
1,624,186
11,080
Carter's,
Inc.
938,254
9,933
Columbia
Sportswear
Co.
806,361
18,744
Crocs,
Inc.*
2,695,387
18,595
PVH
Corp.
2,614,643
41,303
Skechers
USA,
Inc.,
Class
A*
2,530,222
65,404
Under
Armour
,
Inc.,
Class
A*
482,682
51,670
Under
Armour
,
Inc.,
Class
C*
368,924
12,060,659
Trading
Companies
&
Distributors
(1.8%):
12,106
Applied
Industrial
Technologies,
Inc.
2,391,540
53,152
Core
&
Main,
Inc.,
Class
A*
3,042,952
10,998
GATX
Corp.
1,474,062
14,174
MSC
Industrial
Direct
Co.,
Inc.
1,375,445
9,741
Watsco
,
Inc.
4,207,820
13,720
WESCO
International,
Inc.
2,349,962
14,841,781
Water
Utilities
(0.3%):
78,486
Essential
Utilities,
Inc.
2,907,906
Total
Common
Stocks
(Cost
$545,125,524)
844,463,873
Affiliated
Investment
Company
(0.2%):
Money
Market
(0.2%):
1,923,089
BlackRock
Liquidity
FedFund
,
Institutional
Class+(a)
(b)
1,923,089
Total
Affiliated
Investment
Company
(Cost
$1,923,089)
1,923,089
AZL
Mid
Cap
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
161
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Percentages
indicated
are
based
on
net
assets
as
of
March
31,
2024
.
Shares
Value
Unaffiliated
Investment
Company
(0.4%):
Money
Markets
(0.4%):
3,517,012
Dreyfus
Treasury
Securities
Cash
Management
Fund,
Institutional
Shares,
5.19%(b)
$
3,517,012
Total
Unaffiliated
Investment
Company
(Cost
$3,517,012)
3,517,012
Total
Investment
Securities
(Cost
$550,565,625)
100.7%
849,903,974
Net
other
assets
(liabilities)
(0.7)%
(5,720,079)
Net
Assets
100.0%
$
844,183,895
REIT—Real
Estate
Investment
Trust
*
Non-income
producing
security.
^
This
security
or
a
partial
position
of
this
security
was
on
loan
as
of
March
31,
2024.
The
total
value
of
securities
on
loan
as
of
March
31,
2024
was
$1,822,661.
+
Affiliated
Securities
(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
March
31,
2024.
(b)
The
rate
represents
the
effective
yield
at
March
31,
2024.
Futures
Contracts
At
March
31,
2024,
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
June
Futures
(U.S.
Dollar)
6/21/24
8
$
2,461,920‌
$
20,208‌
$
20,208‌
AZL
Moderate
Index
Strategy
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
162
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Percentages
indicated
are
based
on
net
assets
as
of
March
31,
2024
.
Shares
Value
Affiliated
Investment
Companies
(100.1%):
Domestic
Equity
Funds
(45.5%):
5,617,560
AZL
Mid
Cap
Index
Fund,
Class
2
$
131,057,680
20,323,055
AZL
S&P
500
Index
Fund,
Class
2
452,797,660
5,256,215
AZL
Small
Cap
Stock
Index
Fund,
Class
2
65,755,248
649,610,588
1
Fixed
Income
Fund
(39.6%):
58,036,333
AZL
Enhanced
Bond
Index
Fund
565,854,248
International
Equity
Fund
(15.0%):
11,656,258
AZL
International
Index
Fund,
Class
2
214,824,826
Total
Affiliated
Investment
Companies
(Cost
$1,447,437,346)
1,430,289,662
Total
Investment
Securities
(Cost
$1,447,437,346)
100.1%
1,430,289,662
Net
other
assets
(liabilities)
(0.1)%
(786,445)
Net
Assets
100.0%
$
1,429,503,217
AZL
MSCI
Global
Equity
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
163
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks
(
99
.1
%
):
Aerospace
&
Defense
(
1
.7
%
):
3,678
Airbus
SE
$
678,337
435
Axon
Enterprise,
Inc.*
136,103
18,858
BAE
Systems
plc
321,143
3,564
Boeing
Co.
(The)*
687,816
1,669
CAE,
Inc.*
34,467
94
Dassault
Aviation
SA
20,685
169
Elbit
Systems,
Ltd.
35,342
1,415
General
Dynamics
Corp.
399,723
276
HEICO
Corp.
52,716
499
HEICO
Corp.,
Class
A
76,816
2,478
Howmet
Aerospace,
Inc.
169,570
271
Huntington
Ingalls
Industries,
Inc.
78,988
700
Kongsberg
Gruppen
ASA
48,430
1,226
L3Harris
Technologies,
Inc.
261,261
1,848
Leonardo
SpA
46,419
1,400
Lockheed
Martin
Corp.
636,818
9,399
Melrose
Industries
plc
79,754
376
MTU
Aero
Engines
AG
95,394
888
Northrop
Grumman
Corp.
425,050
268
Rheinmetall
AG
150,593
50,636
Rolls-Royce
Holdings
plc*
272,256
8,949
RTX
Corp.
872,796
2,103
Safran
SA
476,139
10,000
Singapore
Technologies
Engineering,
Ltd.
29,811
1,246
Textron,
Inc.
119,529
658
Thales
SA
112,158
344
TransDigm
Group,
Inc.
423,670
6,741,784
Air
Freight
&
Logistics
(
0
.4
%
):
768
CH
Robinson
Worldwide,
Inc.
58,476
6,226
Deutsche
Post
AG
268,076
1,173
DSV
A/S
190,630
856
Expeditors
International
of
Washington,
Inc.
104,064
1,462
FedEx
Corp.
423,600
300
NIPPON
EXPRESS
HOLDINGS,
Inc.
15,310
1,800
SG
Holdings
Co.,
Ltd.
22,794
4,541
United
Parcel
Service,
Inc.,
Class
B
674,929
1,600
Yamato
Holdings
Co.,
Ltd.
23,039
1,780,918
Automobile
Components
(
0
.3
%
):
800
Aisin
Corp.
32,647
1,756
Aptiv
plc*
139,865
1,650
BorgWarner,
Inc.
57,321
3,600
Bridgestone
Corp.
159,718
4,308
Cie
Generale
des
Etablissements
Michelin
SCA
165,146
819
Continental
AG
59,107
11,600
Denso
Corp.
221,985
2,000
Koito
Manufacturing
Co.,
Ltd.
26,937
419
Lear
Corp.
60,705
1,638
Magna
International,
Inc.
89,241
3,800
Sumitomo
Electric
Industries,
Ltd.
58,853
1,071,525
Automobiles
(
1
.9
%
):
1,918
Bayerische
Motoren
Werke
AG
221,271
775
Ferrari
NV
337,742
24,579
Ford
Motor
Co.
326,409
Shares
Value
Common
Stocks,
continued
Automobiles,
continued
8,590
General
Motors
Co.
$
389,557
27,800
Honda
Motor
Co.,
Ltd.
343,874
3,600
Isuzu
Motors,
Ltd.
48,649
3,600
Mazda
Motor
Corp.
42,108
4,940
Mercedes-Benz
Group
AG
393,433
16,900
Nissan
Motor
Co.,
Ltd.
67,030
1,315
Renault
SA
66,373
4,535
Rivian
Automotive,
Inc.,
Class
A*
49,658
13,506
Stellantis
NV
383,174
3,300
Subaru
Corp.
75,118
8,800
Suzuki
Motor
Corp.
100,397
17,673
Tesla,
Inc.*
3,106,737
65,600
Toyota
Motor
Corp.
1,649,147
201
Volkswagen
AG
30,702
4,663
Volvo
Car
AB,
Class
B*
17,640
5,400
Yamaha
Motor
Co.,
Ltd.
49,741
7,698,760
Banks
(
5
.6
%
):
2,689
ABN
AMRO
Bank
NV
46,124
8,372
AIB
Group
plc
42,456
18,635
ANZ
Group
Holdings,
Ltd.
356,962
36,179
Banco
Bilbao
Vizcaya
Argentaria
SA
430,942
8,091
Banco
BPM
SpA
53,833
100,381
Banco
Santander
SA
490,416
8,532
Bank
Hapoalim
BM
80,014
10,762
Bank
Leumi
Le-Israel
BM
89,472
43,901
Bank
of
America
Corp.
1,664,726
5,977
Bank
of
Ireland
Group
plc
60,987
4,410
Bank
of
Montreal
430,613
7,314
Bank
of
Nova
Scotia
(The)
378,390
236
Banque
Cantonale
Vaudoise,
Registered
Shares
27,438
91,128
Barclays
plc
211,716
6,391
BNP
Paribas
SA
454,774
20,000
BOC
Hong
Kong
Holdings,
Ltd.
53,594
23,593
CaixaBank
SA^
114,361
5,656
Canadian
Imperial
Bank
of
Commerce^
286,767
2,800
Chiba
Bank,
Ltd.
(The)
23,312
11,923
Citigroup,
Inc.
754,011
3,112
Citizens
Financial
Group,
Inc.
112,934
7,358
Commerzbank
AG
101,031
10,438
Commonwealth
Bank
of
Australia
820,580
8,400
Concordia
Financial
Group,
Ltd.
42,230
6,009
Credit
Agricole
SA
89,504
4,340
Danske
Bank
A/S
130,088
11,600
DBS
Group
Holdings,
Ltd.
310,348
5,470
DNB
Bank
ASA
108,629
2,099
Erste
Group
Bank
AG
93,454
4,028
Fifth
Third
Bancorp
149,882
3,940
FinecoBank
Banca
Fineco
SpA
58,993
62
First
Citizens
BancShares,
Inc.,
Class
A
101,370
3,900
Hang
Seng
Bank,
Ltd.
42,741
117,139
HSBC
Holdings
plc
915,431
8,659
Huntington
Bancshares,
Inc.
120,793
21,106
ING
Groep
NV
347,549
92,891
Intesa
Sanpaolo
SpA
336,978
7,605
Israel
Discount
Bank,
Ltd.,
Class
A
39,367
9,500
Japan
Post
Bank
Co.,
Ltd.
102,243
17,870
JPMorgan
Chase
&
Co.
3,579,361
AZL
MSCI
Global
Equity
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
164
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Banks,
continued
1,449
KBC
Group
NV
$
108,858
5,399
KeyCorp
85,358
394,371
Lloyds
Banking
Group
plc
258,102
1,027
M&T
Bank
Corp.
149,367
3,850
Mediobanca
Banca
di
Credito
Finanziario
SpA
57,353
68,500
Mitsubishi
UFJ
Financial
Group,
Inc.
696,892
859
Mizrahi
Tefahot
Bank,
Ltd.
32,231
15,050
Mizuho
Financial
Group,
Inc.
297,820
19,524
National
Australia
Bank,
Ltd.
440,665
2,204
National
Bank
of
Canada
185,609
34,369
NatWest
Group
plc
115,076
20,108
Nordea
Bank
Abp
224,018
21,200
Oversea-Chinese
Banking
Corp.,
Ltd.
212,132
2,475
PNC
Financial
Services
Group,
Inc.
(The)
399,960
5,712
Regions
Financial
Corp.
120,181
14,100
Resona
Holdings,
Inc.
87,124
8,796
Royal
Bank
of
Canada
887,263
2,200
Shizuoka
Financial
Group,
Inc.
20,921
9,956
Skandinaviska
Enskilda
Banken
AB,
Class
A^
134,689
4,271
Societe
Generale
SA
114,893
13,168
Standard
Chartered
plc
111,567
7,900
Sumitomo
Mitsui
Financial
Group,
Inc.
461,899
3,600
Sumitomo
Mitsui
Trust
Holdings,
Inc.
77,630
8,930
Svenska
Handelsbanken
AB,
Class
A
90,329
5,800
Swedbank
AB,
Class
A
115,108
10,819
Toronto-Dominion
Bank
(The)
653,022
8,033
Truist
Financial
Corp.
313,126
9,448
UniCredit
SpA
358,489
8,704
United
Overseas
Bank,
Ltd.
189,221
9,620
US
Bancorp
430,014
22,301
Wells
Fargo
&
Co.
1,292,566
21,963
Westpac
Banking
Corp.
373,986
22,749,883
Beverages
(
1
.4
%
):
5,455
Anheuser-Busch
InBev
SA/NV
331,774
2,900
Asahi
Group
Holdings,
Ltd.
106,484
1,892
Brown-Forman
Corp.,
Class
B
97,665
665
Carlsberg
AS,
Class
B
91,130
1,001
Celsius
Holdings,
Inc.*
83,003
25,296
Coca-Cola
Co.
(The)
1,547,609
1,460
Coca-Cola
Europacific
Partners
plc
103,110
1,283
Coca-Cola
HBC
AG
40,534
1,028
Constellation
Brands,
Inc.,
Class
A
279,369
3,162
Davide
Campari-Milano
NV,
Class
M
31,769
13,888
Diageo
plc
512,788
771
Heineken
Holding
NV
62,192
1,759
Heineken
NV
169,466
6,360
Keurig
Dr
Pepper,
Inc.
195,061
4,700
Kirin
Holdings
Co.,
Ltd.
65,315
1,314
Molson
Coors
Beverage
Co.,
Class
B
88,367
4,796
Monster
Beverage
Corp.*
284,307
8,505
PepsiCo,
Inc.
1,488,460
1,330
Pernod
Ricard
SA
215,017
125
Remy
Cointreau
SA
12,588
800
Suntory
Beverage
&
Food,
Ltd.
27,046
4,497
Treasury
Wine
Estates,
Ltd.
36,648
5,869,702
Shares
Value
Common
Stocks,
continued
Biotechnology
(
1
.6
%
):
10,962
AbbVie,
Inc.
$
1,996,180
717
Alnylam
Pharmaceuticals,
Inc.*
107,156
3,337
Amgen,
Inc.
948,776
381
Argenx
SE*
150,362
911
Biogen,
Inc.*
196,439
1,135
BioMarin
Pharmaceutical,
Inc.*
99,131
2,922
CSL,
Ltd.
549,071
1,266
Exact
Sciences
Corp.*
87,430
373
Genmab
A/S*
111,618
7,800
Gilead
Sciences,
Inc.
571,350
1,231
Grifols
SA*
11,061
1,359
Incyte
Corp.*
77,422
1,971
Moderna,
Inc.*
210,030
652
Neurocrine
Biosciences,
Inc.*
89,924
669
Regeneron
Pharmaceuticals,
Inc.*
643,906
1,510
Swedish
Orphan
Biovitrum
AB*
37,671
275
United
Therapeutics
Corp.*
63,173
1,573
Vertex
Pharmaceuticals,
Inc.*
657,530
6,608,230
Broadline
Retail
(
3
.0
%
):
57,571
Amazon.com,
Inc.*
10,384,657
380
Canadian
Tire
Corp.,
Ltd.,
Class
A
37,905
1,624
Dollarama,
Inc.
123,730
3,368
eBay,
Inc.
177,763
821
Etsy,
Inc.*
56,419
284
MercadoLibre,
Inc.*
429,397
661
Next
plc
77,161
2,700
Pan
Pacific
International
Holdings
Corp.
71,791
9,375
Prosus
NV
293,737
8,000
Rakuten
Group,
Inc.
45,402
7,170
Wesfarmers,
Ltd.
319,802
12,017,764
Building
Products
(
0
.7
%
):
709
A
O
Smith
Corp.
63,427
1,200
AGC,
Inc.
43,519
487
Allegion
plc
65,604
6,390
Assa
Abloy
AB,
Class
B
183,335
745
Builders
FirstSource,
Inc.*
155,370
326
Carlisle
Cos.,
Inc.
127,743
5,084
Carrier
Global
Corp.
295,533
2,733
Cie
de
Saint-Gobain
SA
211,904
1,500
Daikin
Industries,
Ltd.
205,212
708
Fortune
Brands
Innovations,
Inc.
59,946
228
Geberit
AG,
Registered
Shares
134,741
4,169
Johnson
Controls
International
plc
272,319
1,045
Kingspan
Group
plc
95,117
223
Lennox
International,
Inc.
108,993
1,508
Masco
Corp.
118,951
11,325
Nibe
Industrier
AB,
Class
B
55,606
571
Owens
Corning
95,243
52
ROCKWOOL
A/S,
Class
B
17,166
600
TOTO,
Ltd.
16,835
1,363
Trane
Technologies
plc
409,173
2,735,737
Capital
Markets
(
3
.0
%
):
6,218
3i
Group
plc
220,221
12,364
abrdn
plc
22,053
AZL
MSCI
Global
Equity
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
165
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Capital
Markets,
continued
645
Ameriprise
Financial,
Inc.
$
282,794
375
Amundi
SA
25,725
988
Ares
Management
Corp.,
Class
A
131,384
1,391
ASX,
Ltd.
60,196
4,739
Bank
of
New
York
Mellon
Corp.
(The)
273,061
916
BlackRock,
Inc.+
763,669
4,338
Blackstone,
Inc.
569,883
2,084
Brookfield
Asset
Management,
Ltd.,
Class
A
87,551
8,417
Brookfield
Corp.
352,241
1,473
Carlyle
Group,
Inc.
(The)
69,098
717
Cboe
Global
Markets,
Inc.
131,734
9,487
Charles
Schwab
Corp.
(The)
686,290
2,216
CME
Group,
Inc.
477,083
938
Coinbase
Global,
Inc.,
Class
A*
248,683
8,900
Daiwa
Securities
Group,
Inc.
67,740
12,609
Deutsche
Bank
AG,
Registered
Shares
198,302
1,170
Deutsche
Boerse
AG
239,361
2,202
EQT
AB
69,573
488
Euronext
NV
46,409
248
FactSet
Research
Systems,
Inc.
112,689
2,020
Franklin
Resources,
Inc.
56,782
458
Futu
Holdings,
Ltd.,
ADR*
24,801
2,037
Goldman
Sachs
Group,
Inc.
(The)
850,835
1,349
Hargreaves
Lansdown
plc
12,546
7,300
Hong
Kong
Exchanges
&
Clearing,
Ltd.
212,919
151
IGM
Financial,
Inc.^
3,894
3,521
Intercontinental
Exchange,
Inc.
483,891
3,400
Japan
Exchange
Group,
Inc.
92,091
1,414
Julius
Baer
Group,
Ltd.
81,637
3,520
KKR
&
Co.,
Inc.
354,042
2,596
London
Stock
Exchange
Group
plc
310,882
448
LPL
Financial
Holdings,
Inc.
118,362
2,207
Macquarie
Group,
Ltd.
287,177
220
MarketAxess
Holdings,
Inc.
48,235
1,004
Moody's
Corp.
394,602
7,612
Morgan
Stanley
716,746
478
MSCI,
Inc.
267,895
2,126
Nasdaq,
Inc.
134,151
18,400
Nomura
Holdings,
Inc.
117,729
1,377
Northern
Trust
Corp.
122,443
397
Onex
Corp.
29,743
143
Partners
Group
Holding
AG
204,375
1,270
Raymond
James
Financial,
Inc.
163,093
1,995
S&P
Global,
Inc.
848,773
1,400
SBI
Holdings,
Inc.
36,697
6,758
Schroders
plc
32,189
757
SEI
Investments
Co.
54,428
3,200
Singapore
Exchange,
Ltd.
21,861
3,801
St
James's
Place
plc
22,361
1,849
State
Street
Corp.
142,965
1,350
T.
Rowe
Price
Group,
Inc.
164,592
1,625
TMX
Group,
Ltd.
42,869
669
Tradeweb
Markets,
Inc.,
Class
A
69,690
20,485
UBS
Group
AG
629,687
12,290,723
Chemicals
(
2
.0
%
):
3,289
Air
Liquide
SA
685,337
1,367
Air
Products
and
Chemicals,
Inc.
331,183
994
Akzo
Nobel
NV
74,129
Shares
Value
Common
Stocks,
continued
Chemicals,
continued
772
Albemarle
Corp.
$
101,703
413
Arkema
SA
43,437
6,500
Asahi
Kasei
Corp.
47,615
5,580
BASF
SE
318,605
692
Celanese
Corp.
118,927
1,213
CF
Industries
Holdings,
Inc.
100,934
2,080
Clariant
AG,
Registered
Shares
28,113
4,501
Corteva,
Inc.
259,573
1,032
Covestro
AG*
56,449
763
Croda
International
plc
47,314
4,316
Dow,
Inc.
250,026
1,181
DSM-Firmenich
AG
134,179
2,563
DuPont
de
Nemours,
Inc.
196,505
795
Eastman
Chemical
Co.
79,675
1,579
Ecolab,
Inc.
364,591
36
EMS-Chemie
Holding
AG
27,614
988
Evonik
Industries
AG
19,530
648
FMC
Corp.
41,278
56
Givaudan
SA,
Registered
Shares
250,252
6,835
ICL
Group,
Ltd.
36,208
1,458
International
Flavors
&
Fragrances,
Inc.
125,373
1,200
JSR
Corp.
34,335
2,986
Linde
plc
1,386,460
1,576
LyondellBasell
Industries
NV,
Class
A
161,193
8,000
Mitsubishi
Chemical
Group
Corp.
48,736
1,000
Mitsui
Chemicals,
Inc.
29,327
2,249
Mosaic
Co.
(The)
73,003
6,600
Nippon
Paint
Holdings
Co.,
Ltd.
47,478
1,100
Nippon
Sanso
Holdings
Corp.
34,537
800
Nissan
Chemical
Corp.
30,318
1,000
Nitto
Denko
Corp.
91,398
2,431
Novonesis
(Novozymes)
B
142,703
2,887
Nutrien,
Ltd.
156,862
824
OCI
NV
22,549
2,876
Orica,
Ltd.
34,278
1,429
PPG
Industries,
Inc.
207,062
761
RPM
International,
Inc.
90,521
1,489
Sherwin-Williams
Co.
(The)
517,174
11,300
Shin-Etsu
Chemical
Co.,
Ltd.
495,863
955
Sika
AG,
Registered
Shares
284,404
456
Syensqo
SA*
43,167
798
Symrise
AG
95,515
9,200
Toray
Industries,
Inc.
44,201
1,137
Umicore
SA
24,504
301
Westlake
Corp.
45,993
1,092
Yara
International
ASA
34,614
7,914,745
Commercial
Services
&
Supplies
(
0
.6
%
):
8,487
Brambles,
Ltd.
89,467
560
Cintas
Corp.
384,737
5,220
Copart,
Inc.*
302,342
1,100
Dai
Nippon
Printing
Co.,
Ltd.
33,720
2,947
Element
Fleet
Management
Corp.
47,630
1,558
GFL
Environmental,
Inc.
53,732
1,016
RB
Global,
Inc.
77,393
16,211
Rentokil
Initial
plc
96,723
1,424
Republic
Services,
Inc.
272,611
1,446
Rollins,
Inc.
66,906
1,200
Secom
Co.,
Ltd.
87,023
AZL
MSCI
Global
Equity
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
166
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Commercial
Services
&
Supplies,
continued
2,676
Securitas
AB,
Class
B
$
27,568
1,600
TOPPAN
Holdings,
Inc.
40,100
1,380
Veralto
Corp.
122,351
1,625
Waste
Connections,
Inc.
279,516
2,534
Waste
Management,
Inc.
540,122
2,521,941
Communications
Equipment
(
0
.6
%
):
1,610
Arista
Networks,
Inc.*
466,868
25,348
Cisco
Systems,
Inc.
1,265,118
329
F5,
Inc.*
62,375
1,798
Juniper
Networks,
Inc.
66,634
1,060
Motorola
Solutions,
Inc.
376,279
32,835
Nokia
Oyj
116,159
18,166
Telefonaktiebolaget
LM
Ericsson,
Class
B
100,014
2,453,447
Construction
&
Engineering
(
0
.3
%
):
1,289
ACS
Actividades
de
Construccion
y
Servicios
SA
53,928
779
AECOM
76,404
977
Bouygues
SA
39,869
559
Eiffage
SA
63,371
3,183
Ferrovial
SE
125,956
2,700
Kajima
Corp.
55,375
4,900
Obayashi
Corp.
58,211
913
Quanta
Services,
Inc.
237,197
2,600
Shimizu
Corp.
16,797
1,831
Skanska
AB,
Class
B
32,544
772
Stantec,
Inc.
64,102
1,100
Taisei
Corp.
40,045
3,055
Vinci
SA
391,255
747
WSP
Global,
Inc.
124,515
1,379,569
Construction
Materials
(
0
.3
%
):
4,323
CRH
plc
372,876
769
Heidelberg
Materials
AG
84,576
3,304
Holcim
AG
300,743
2,772
James
Hardie
Industries
plc*
111,283
370
Martin
Marietta
Materials,
Inc.
227,158
802
Vulcan
Materials
Co.
218,882
1,315,518
Consumer
Finance
(
0
.4
%
):
1,862
Ally
Financial,
Inc.
75,579
3,613
American
Express
Co.
822,644
2,310
Capital
One
Financial
Corp.
343,936
1,479
Discover
Financial
Services
193,882
1
Isracard,
Ltd.
2
2,470
Synchrony
Financial
106,506
1,542,549
Consumer
Staples
Distribution
&
Retail
(
1
.7
%
):
4,000
Aeon
Co.,
Ltd.
94,831
2,104
Albertsons
Cos.,
Inc.,
Class
A
45,110
4,612
Alimentation
Couche-Tard,
Inc.
263,256
3,488
Carrefour
SA
59,684
8,877
Coles
Group,
Ltd.
98,162
2,737
Costco
Wholesale
Corp.
2,005,208
1,421
Dollar
General
Corp.
221,761
Shares
Value
Common
Stocks,
continued
Consumer
Staples
Distribution
&
Retail,
continued
1,333
Dollar
Tree,
Inc.*
$
177,489
787
Empire
Co.,
Ltd.
19,222
11,695
Endeavour
Group,
Ltd.
41,985
356
George
Weston,
Ltd.
48,104
9,589
J
Sainsbury
plc
32,763
1,662
Jeronimo
Martins
SGPS
SA
32,972
1,609
Kesko
Oyj,
Class
B
30,038
1,000
Kobe
Bussan
Co.,
Ltd.
24,497
5,777
Koninklijke
Ahold
Delhaize
NV
172,708
4,320
Kroger
Co.
(The)
246,802
1,010
Loblaw
Cos.,
Ltd.
111,932
2,700
MatsukiyoCocokara
&
Co.
43,372
1,439
Metro,
Inc.
77,262
3,324
Ocado
Group
plc*
19,149
14,700
Seven
&
i
Holdings
Co.,
Ltd.
213,998
3,025
Sysco
Corp.
245,570
2,899
Target
Corp.
513,732
40,777
Tesco
plc
152,561
4,484
Walgreens
Boots
Alliance,
Inc.
97,258
27,429
Walmart,
Inc.
1,650,403
7,412
Woolworths
Group,
Ltd.
160,188
6,900,017
Containers
&
Packaging
(
0
.2
%
):
8,627
Amcor
plc
82,043
532
Avery
Dennison
Corp.
118,769
1,847
Ball
Corp.
124,414
1,000
CCL
Industries,
Inc.
51,115
765
Crown
Holdings,
Inc.
60,634
2,127
International
Paper
Co.
82,996
562
Packaging
Corp.
of
America
106,656
2,350
SIG
Group
AG
52,110
1,807
Smurfit
Kappa
Group
plc
82,420
1,467
Westrock
Co.
72,543
833,700
Distributors
(
0
.1
%
):
91
D'ieteren
Group
20,165
907
Genuine
Parts
Co.
140,522
1,795
LKQ
Corp.
95,871
263
Pool
Corp.
106,120
362,678
Diversified
Consumer
Services
(
0
.0
%
):
1,753
IDP
Education,
Ltd.
20,460
3,287
Pearson
plc
43,200
63,660
Diversified
REITs
(
0
.1
%
):
11,976
GPT
Group
(The)
35,752
28
KDX
Realty
Investment
Corp.
29,809
4,133
Land
Securities
Group
plc
34,294
23,270
Mirvac
Group
35,893
17
Nomura
Real
Estate
Master
Fund,
Inc.
16,813
15,451
Stockland
48,953
1,532
WP
Carey,
Inc.
86,466
287,980
Diversified
Telecommunication
Services
(
0
.9
%
):
43,966
AT&T,
Inc.
773,802
AZL
MSCI
Global
Equity
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
167
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Diversified
Telecommunication
Services,
continued
692
BCE,
Inc.
$
23,518
41,110
BT
Group
plc
56,874
2,916
Cellnex
Telecom
SA
103,093
20,214
Deutsche
Telekom
AG
490,632
937
Elisa
Oyj
41,795
20,000
HKT
Trust
&
HKT,
Ltd.
23,332
2,027
Infrastrutture
Wireless
Italiane
SpA
23,025
19,439
Koninklijke
KPN
NV
72,683
1,489
Liberty
Global,
Ltd.,
Class
C*
26,266
185,800
Nippon
Telegraph
&
Telephone
Corp.
221,230
11,027
Orange
SA
129,523
717
Quebecor,
Inc.,
Class
B
15,717
50,700
Singapore
Telecommunications,
Ltd.
95,040
10,729
Spark
New
Zealand,
Ltd.
30,532
158
Swisscom
AG,
Registered
Shares
96,610
92,093
Telecom
Italia
SpA/Milano*^
22,291
32,488
Telefonica
SA
143,522
3,268
Telenor
ASA
36,361
18,848
Telia
Co.
AB
48,311
22,435
Telstra
Group,
Ltd.
56,466
3,112
TELUS
Corp.
49,791
25,917
Verizon
Communications,
Inc.
1,087,477
3,667,891
Electric
Utilities
(
1
.5
%
):
193
Acciona
SA
23,498
1,716
Alliant
Energy
Corp.
86,486
3,322
American
Electric
Power
Co.,
Inc.
286,024
165
BKW
AG
25,322
4,300
Chubu
Electric
Power
Co.,
Inc.
56,094
3,500
CK
Infrastructure
Holdings,
Ltd.
20,483
10,000
CLP
Holdings,
Ltd.
79,729
1,925
Constellation
Energy
Corp.
355,836
4,767
Duke
Energy
Corp.
461,017
2,527
Edison
International
178,735
20,856
EDP
-
Energias
de
Portugal
SA
81,352
240
Elia
Group
SA/NV
25,940
1,880
Emera,
Inc.
66,169
2,156
Endesa
SA
39,959
49,144
Enel
SpA
324,379
1,280
Entergy
Corp.
135,270
1,333
Evergy,
Inc.
71,156
2,337
Eversource
Energy
139,682
6,021
Exelon
Corp.
226,209
3,375
FirstEnergy
Corp.
130,342
2,811
Fortis,
Inc.
111,079
3,188
Fortum
Oyj^
39,340
2,288
Hydro
One,
Ltd.
66,728
38,045
Iberdrola
SA
472,295
4,800
Kansai
Electric
Power
Co.,
Inc.
(The)
68,400
4,873
Mercury
NZ,
Ltd.
20,164
12,649
NextEra
Energy,
Inc.
808,398
1,274
NRG
Energy,
Inc.
86,237
12,220
Origin
Energy,
Ltd.
73,275
976
Orsted
AS
54,961
12,362
PG&E
Corp.
207,187
6,500
Power
Assets
Holdings,
Ltd.
38,040
4,738
PPL
Corp.
130,437
1,850
Redeia
Corp.
SA
31,580
6,811
Southern
Co.
(The)
488,621
Shares
Value
Common
Stocks,
continued
Electric
Utilities,
continued
6,782
SSE
plc
$
141,383
7,914
Terna
-
Rete
Elettrica
Nazionale
65,622
9,900
Tokyo
Electric
Power
Co.
Holdings,
Inc.*
60,203
453
Verbund
AG
33,167
3,264
Xcel
Energy,
Inc.
175,440
5,986,239
Electrical
Equipment
(
1
.0
%
):
9,754
ABB,
Ltd.,
Registered
Shares
452,785
1,385
AMETEK,
Inc.
253,316
2,465
Eaton
Corp.
plc
770,756
3,531
Emerson
Electric
Co.
400,486
700
Fuji
Electric
Co.,
Ltd.
46,941
338
Hubbell,
Inc.
140,287
1,579
Legrand
SA
167,032
12,000
Mitsubishi
Electric
Corp.
201,165
2,600
NIDEC
Corp.
107,338
1,722
Prysmian
SpA
89,919
694
Rockwell
Automation,
Inc.
202,183
3,369
Schneider
Electric
SE
761,735
3,694
Siemens
Energy
AG*
67,763
2,286
Vertiv
Holdings
Co.,
Class
A
186,698
6,506
Vestas
Wind
Systems
A/S*
180,760
4,029,164
Electronic
Equipment,
Instruments
&
Components
(
0
.8
%
):
3,741
Amphenol
Corp.,
Class
A
431,524
800
Azbil
Corp.
22,145
818
CDW
Corp.
209,228
5,261
Corning,
Inc.
173,403
2,146
Halma
plc
64,111
900
Hamamatsu
Photonics
KK
31,728
13,015
Hexagon
AB,
Class
B
154,093
205
Hirose
Electric
Co.,
Ltd.
21,059
600
Ibiden
Co.,
Ltd.
26,934
769
Jabil,
Inc.
103,008
1,200
Keyence
Corp.
558,073
1,029
Keysight
Technologies,
Inc.*
160,915
8,400
Kyocera
Corp.
112,210
10,500
Murata
Manufacturing
Co.,
Ltd.
197,609
1,300
Omron
Corp.
46,602
1,400
Shimadzu
Corp.
39,050
2,400
TDK
Corp.
117,916
1,952
TE
Connectivity,
Ltd.
283,508
273
Teledyne
Technologies,
Inc.*
117,204
1,612
Trimble,
Inc.*
103,748
1,200
Yokogawa
Electric
Corp.
27,660
344
Zebra
Technologies
Corp.*
103,695
3,105,423
Energy
Equipment
&
Services
(
0
.2
%
):
6,256
Baker
Hughes
Co.
209,576
5,550
Halliburton
Co.
218,781
8,790
Schlumberger
NV
481,780
3,045
Tenaris
SA
60,158
970,295
Entertainment
(
1
.2
%
):
5,483
Bollore
SE
36,602
2,400
Capcom
Co.,
Ltd.
45,001
AZL
MSCI
Global
Equity
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
168
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Entertainment,
continued
1,652
Electronic
Arts,
Inc.
$
219,171
500
Konami
Group
Corp.
34,042
1,123
Liberty
Media
Corp.-Liberty
Formula
One*
73,669
1,072
Live
Nation
Entertainment,
Inc.*
113,385
2,720
Netflix,
Inc.*
1,651,938
2,500
Nexon
Co.,
Ltd.
41,529
6,300
Nintendo
Co.,
Ltd.
344,863
2,750
ROBLOX
Corp.,
Class
A*
104,995
702
Roku,
Inc.*
45,749
2,319
Sea,
Ltd.,
ADR*
124,553
400
Square
Enix
Holdings
Co.,
Ltd.
15,394
1,076
Take-Two
Interactive
Software,
Inc.*
159,775
600
Toho
Co.,
Ltd.
19,944
4,901
Universal
Music
Group
NV
147,347
11,365
Walt
Disney
Co.
(The)
1,390,621
13,820
Warner
Bros
Discovery,
Inc.*
120,649
4,689,227
Financial
Services
(
3
.0
%
):
135
Adyen
NV*
228,648
2,415
Apollo
Global
Management,
Inc.
271,567
8,132
Berkshire
Hathaway,
Inc.,
Class
B*
3,419,668
3,496
Block,
Inc.*
295,692
1,482
Edenred
SE
78,997
2,167
Equitable
Holdings,
Inc.
82,368
158
Eurazeo
SE
13,839
541
EXOR
NV
60,117
3,775
Fidelity
National
Information
Services,
Inc.
280,029
3,694
Fiserv,
Inc.*
590,375
1,654
Global
Payments,
Inc.
221,074
576
Groupe
Bruxelles
Lambert
NV
43,556
885
Industrivarden
AB,
Class
A
30,452
840
Industrivarden
AB,
Class
C
28,858
10,668
Investor
AB,
Class
B
267,472
426
Jack
Henry
&
Associates,
Inc.
74,009
418
L
E
Lundbergforetagen
AB,
Class
B
22,642
15,826
M&G
plc
44,090
5,182
Mastercard,
Inc.,
Class
A
2,495,496
4,100
Mitsubishi
HC
Capital,
Inc.
28,577
4,062
Nexi
SpA*
25,755
7,500
ORIX
Corp.
164,004
6,487
PayPal
Holdings,
Inc.*
434,564
142
Sofina
SA
31,827
1,929
Toast,
Inc.,
Class
A*
48,071
9,813
Visa,
Inc.,
Class
A
2,738,612
985
Washington
H
Soul
Pattinson
&
Co.,
Ltd.
21,571
4,104
Wise
plc,
Class
A*
48,154
1,617
Worldline
SA*
20,017
12,110,101
Food
Products
(
1
.3
%
):
2,800
Ajinomoto
Co.,
Inc.
104,534
3,439
Archer-Daniels-Midland
Co.
216,004
2,448
Associated
British
Foods
plc
77,259
23
Barry
Callebaut
AG,
Registered
Shares
33,389
822
Bunge
Global
SA
84,271
1,385
Campbell
Soup
Co.
61,563
5
Chocoladefabriken
Lindt
&
Spruengli
AG,
Class
PC
59,825
3,086
Conagra
Brands,
Inc.
91,469
3,970
Danone
SA
256,484
Shares
Value
Common
Stocks,
continued
Food
Products,
continued
1,198
Darling
Ingredients,
Inc.*
$
55,719
3,585
General
Mills,
Inc.
250,842
929
Hershey
Co.
(The)
180,691
1,634
Hormel
Foods
Corp.
57,010
476
JDE
Peet's
NV
9,992
678
JM
Smucker
Co.
(The)
85,340
1,607
Kellanova
92,065
1,071
Kerry
Group
plc,
Class
A
91,906
4,500
Kikkoman
Corp.
57,752
5,513
Kraft
Heinz
Co.
(The)
203,430
883
Lamb
Weston
Holdings,
Inc.
94,066
1,457
McCormick
&
Co.,
Inc.
111,912
1,600
MEIJI
Holdings
Co.,
Ltd.
34,913
8,505
Mondelez
International,
Inc.,
Class
A
595,350
3,271
Mowi
ASA
60,141
16,664
Nestle
SA,
Registered
Shares
1,769,685
900
Nissin
Foods
Holdings
Co.,
Ltd.
24,817
5,748
Orkla
ASA
40,570
461
Salmar
ASA
30,488
2,279
Saputo,
Inc.
44,843
1,811
Tyson
Foods,
Inc.,
Class
A
106,360
68,033
WH
Group,
Ltd.
44,899
10,600
Wilmar
International,
Ltd.
26,897
1,800
Yakult
Honsha
Co.,
Ltd.
36,770
5,091,256
Gas
Utilities
(
0
.1
%
):
1,573
AltaGas,
Ltd.
34,749
8,525
APA
Group
46,738
960
Atmos
Energy
Corp.
114,115
595
Enagas
SA
8,841
83,117
Hong
Kong
&
China
Gas
Co.,
Ltd.
63,047
2,200
Osaka
Gas
Co.,
Ltd.
49,556
14,344
Snam
SpA
67,696
2,500
Tokyo
Gas
Co.,
Ltd.
56,951
441,693
Ground
Transportation
(
1
.2
%
):
11,052
Aurizon
Holdings,
Ltd.
28,821
3,421
Canadian
National
Railway
Co.
450,534
5,786
Canadian
Pacific
Kansas
City,
Ltd.
510,205
4,500
Central
Japan
Railway
Co.
111,732
12,470
CSX
Corp.
462,263
5,700
East
Japan
Railway
Co.
109,300
8,772
Grab
Holdings,
Ltd.*
27,544
1,400
Hankyu
Hanshin
Holdings,
Inc.
40,118
549
JB
Hunt
Transport
Services,
Inc.
109,388
900
Keisei
Electric
Railway
Co.,
Ltd.
36,552
1,000
Kintetsu
Group
Holdings
Co.,
Ltd.
29,129
1,052
Knight-Swift
Transportation
Holdings,
Inc.
57,881
10,500
MTR
Corp.,
Ltd.
34,614
1,402
Norfolk
Southern
Corp.
357,328
2,700
Odakyu
Electric
Railway
Co.,
Ltd.
37,203
1,178
Old
Dominion
Freight
Line,
Inc.
258,347
527
TFI
International,
Inc.
84,046
1,000
Tobu
Railway
Co.,
Ltd.
24,989
2,900
Tokyu
Corp.
35,266
11,500
Uber
Technologies,
Inc.*
885,385
612
U-Haul
Holding
Co.
40,808
3,788
Union
Pacific
Corp.
931,583
AZL
MSCI
Global
Equity
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
169
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Ground
Transportation,
continued
3,000
West
Japan
Railway
Co.
$
62,510
4,725,546
Health
Care
Equipment
&
Supplies
(
2
.3
%
):
10,749
Abbott
Laboratories
1,221,731
3,208
Alcon,
Inc.
265,633
429
Align
Technology,
Inc.*
140,678
1,400
Asahi
Intecc
Co.,
Ltd.
24,548
3,137
Baxter
International,
Inc.
134,075
1,829
Becton
Dickinson
&
Co.
452,586
245
BioMerieux
26,987
9,022
Boston
Scientific
Corp.*
617,917
157
Carl
Zeiss
Meditec
AG,
Class
BR
19,612
451
Cochlear,
Ltd.
99,182
764
Coloplast
A/S,
Class
B
103,416
1,164
Cooper
Cos.,
Inc.
(The)
118,100
522
Demant
A/S*
26,029
2,366
Dexcom,
Inc.*
328,164
233
DiaSorin
SpA
22,473
3,647
Edwards
Lifesciences
Corp.*
348,507
1,860
EssilorLuxottica
SA
421,779
4,138
Fisher
&
Paykel
Healthcare
Corp.,
Ltd.
63,390
2,490
GE
HealthCare
Technologies,
Inc.
226,366
1,920
Getinge
AB,
B
Shares
38,613
1,511
Hologic,
Inc.*
117,798
2,200
Hoya
Corp.
275,437
496
IDEXX
Laboratories,
Inc.*
267,805
394
Insulet
Corp.*
67,532
2,154
Intuitive
Surgical,
Inc.*
859,640
5,269
Koninklijke
Philips
NV*
105,644
8,269
Medtronic
plc
720,643
7,300
Olympus
Corp.
105,035
943
ResMed,
Inc.
186,742
1,749
Siemens
Healthineers
AG*
107,016
5,148
Smith
&
Nephew
plc
65,085
322
Sonova
Holding
AG
93,214
606
STERIS
plc
136,241
732
Straumann
Holding
AG,
Class
R
116,866
2,123
Stryker
Corp.
759,758
3,300
Sysmex
Corp.
58,889
274
Teleflex,
Inc.
61,971
8,400
Terumo
Corp.
153,987
1,350
Zimmer
Biomet
Holdings,
Inc.
178,173
9,137,262
Health
Care
Providers
&
Services
(
1
.8
%
):
845
Amplifon
SpA
30,809
1,551
Cardinal
Health,
Inc.
173,557
1,023
Cencora,
Inc.
248,579
3,347
Centene
Corp.*
262,673
1,825
Cigna
Group
(The)
662,822
8,041
CVS
Health
Corp.
641,350
278
DaVita,
Inc.*
38,378
1,455
Elevance
Health,
Inc.
754,476
1,484
Fresenius
Medical
Care
AG
57,065
2,714
Fresenius
SE
&
Co.
KGaA
73,185
1,218
HCA
Healthcare,
Inc.
406,240
731
Henry
Schein,
Inc.*
55,205
789
Humana,
Inc.
273,562
553
Laboratory
Corp.
of
America
Holdings
120,808
Shares
Value
Common
Stocks,
continued
Health
Care
Providers
&
Services,
continued
830
McKesson
Corp.
$
445,585
384
Molina
Healthcare,
Inc.*
157,759
755
Quest
Diagnostics,
Inc.
100,498
1,328
Ramsay
Health
Care,
Ltd.
48,901
2,275
Sonic
Healthcare,
Ltd.
43,588
5,725
UnitedHealth
Group,
Inc.
2,832,158
372
Universal
Health
Services,
Inc.,
Class
B
67,875
7,495,073
Health
Care
REITs
(
0
.1
%
):
3,203
Healthpeak
Properties,
Inc.
60,056
2,556
Ventas,
Inc.
111,288
3,372
Welltower,
Inc.
315,080
486,424
Health
Care
Technology
(
0
.1
%
):
3,600
M3,
Inc.
51,886
965
Veeva
Systems,
Inc.,
Class
A*
223,581
275,467
Hotel
&
Resort
REITs
(
0
.0
%
):
4,256
Host
Hotels
&
Resorts,
Inc.
88,014
Hotels,
Restaurants
&
Leisure
(
1
.9
%
):
1,023
Accor
SA
47,748
2,698
Airbnb,
Inc.,
Class
A*
445,062
2,833
Amadeus
IT
Group
SA
181,661
3,286
Aristocrat
Leisure,
Ltd.
92,066
219
Booking
Holdings,
Inc.
794,506
1,314
Caesars
Entertainment,
Inc.*
57,474
6,824
Carnival
Corp.*
111,504
168
Chipotle
Mexican
Grill,
Inc.*
488,337
10,923
Compass
Group
plc
320,056
761
Darden
Restaurants,
Inc.
127,201
1,331
Delivery
Hero
SE*
38,068
211
Domino's
Pizza,
Inc.
104,842
1,608
DoorDash,
Inc.,
Class
A*
221,454
2,435
DraftKings,
Inc.*
110,573
4,276
Entain
plc
42,974
1,222
Evolution
AB
151,765
823
Expedia
Group,
Inc.*
113,368
1,140
Flutter
Entertainment
plc*
225,139
13,000
Galaxy
Entertainment
Group,
Ltd.
65,350
53,300
Genting
Singapore,
Ltd.
34,889
1,548
Hilton
Worldwide
Holdings,
Inc.
330,204
281
Hyatt
Hotels
Corp.,
Class
A
44,853
1,055
InterContinental
Hotels
Group
plc
109,721
397
La
Francaise
des
Jeux
SAEM
16,179
2,239
Las
Vegas
Sands
Corp.
115,756
14,501
Lottery
Corp.,
Ltd.
(The)
48,661
1,552
Marriott
International,
Inc.,
Class
A
391,585
4,480
McDonald's
Corp.
1,263,136
400
McDonald's
Holdings
Co.
Japan,
Ltd.
17,995
1,525
MGM
Resorts
International*
71,995
7,000
Oriental
Land
Co.,
Ltd.
224,258
1,872
Restaurant
Brands
International,
Inc.
148,730
1,567
Royal
Caribbean
Cruises,
Ltd.*
217,829
15,600
Sands
China,
Ltd.*
43,996
597
Sodexo
SA
51,181
6,986
Starbucks
Corp.
638,451
AZL
MSCI
Global
Equity
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
170
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Hotels,
Restaurants
&
Leisure,
continued
209
Vail
Resorts,
Inc.
$
46,572
1,279
Whitbread
plc
53,564
551
Wynn
Resorts,
Ltd.
56,329
1,774
Yum!
Brands,
Inc.
245,965
7,910,997
Household
Durables
(
0
.5
%
):
6,179
Barratt
Developments
plc
37,153
658
Berkeley
Group
Holdings
plc
39,561
1,886
D.R.
Horton,
Inc.
310,341
905
Garmin,
Ltd.
134,727
600
Iida
Group
Holdings
Co.,
Ltd.
7,759
1,532
Lennar
Corp.,
Class
A
263,473
19
NVR,
Inc.*
153,899
13,600
Panasonic
Holdings
Corp.
129,769
2,260
Persimmon
plc
37,491
1,267
PulteGroup,
Inc.
152,826
95
SEB
SA
12,182
2,100
Sekisui
Chemical
Co.,
Ltd.
30,712
3,500
Sekisui
House,
Ltd.
79,622
1,000
Sharp
Corp.*
5,572
7,800
Sony
Group
Corp.
668,568
19,704
Taylor
Wimpey
plc
34,143
2,097,798
Household
Products
(
0
.9
%
):
1,538
Church
&
Dwight
Co.,
Inc.
160,429
748
Clorox
Co.
(The)
114,526
4,909
Colgate-Palmolive
Co.
442,055
4,133
Essity
AB,
Class
B
98,173
659
Henkel
AG
&
Co.
KGaA
47,456
2,036
Kimberly-Clark
Corp.
263,357
14,548
Procter
&
Gamble
Co.
(The)
2,360,413
4,537
Reckitt
Benckiser
Group
plc
258,053
2,400
Unicharm
Corp.
76,388
3,820,850
Independent
Power
and
Renewable
Electricity
Producers
(
0
.1
%
):
4,828
AES
Corp.
(The)
86,566
787
Brookfield
Renewable
Corp.,
Class
A
19,315
2,038
EDP
Renovaveis
SA
27,641
7,411
Meridian
Energy,
Ltd.
26,160
2,059
Northland
Power,
Inc.^
33,643
3,871
RWE
AG
131,355
1,985
Vistra
Corp.
138,255
462,935
Industrial
Conglomerates
(
1
.0
%
):
3,352
3M
Co.
355,547
17,500
CK
Hutchison
Holdings,
Ltd.
84,606
654
DCC
plc
47,598
6,683
General
Electric
Co.
1,173,067
100
Hikari
Tsushin,
Inc.
18,792
5,600
Hitachi,
Ltd.
511,570
4,064
Honeywell
International,
Inc.
834,136
1,007
Investment
AB
Latour,
Class
B
26,460
1,000
Jardine
Cycle
&
Carriage,
Ltd.
17,909
1,100
Jardine
Matheson
Holdings,
Ltd.
41,018
11,400
Keppel,
Ltd.
62,055
Shares
Value
Common
Stocks,
continued
Industrial
Conglomerates,
continued
1,031
Lifco
AB,
Class
B
$
26,892
4,668
Siemens
AG,
Registered
Shares
891,023
2,548
Smiths
Group
plc
52,852
4,143,525
Industrial
REITs
(
0
.3
%
):
19,644
CapitaLand
Ascendas
REIT
40,385
28
GLP
J-Reit
23,502
10,033
Goodman
Group
221,037
21,123
Mapletree
Logistics
Trust
22,854
20
Nippon
Prologis
REIT,
Inc.
35,645
5,769
Prologis,
Inc.
751,239
7,464
Segro
plc
85,005
1,164
Warehouses
De
Pauw
CVA
33,195
1,212,862
Insurance
(
3
.1
%
):
1,729
Admiral
Group
plc
61,870
8,853
Aegon,
Ltd.
53,935
3,444
Aflac,
Inc.
295,702
1,180
Ageas
SA/NV
54,649
71,200
AIA
Group,
Ltd.
477,835
2,397
Allianz
SE,
Registered
Shares+
718,247
1,611
Allstate
Corp.
(The)
278,719
506
American
Financial
Group,
Inc.
69,059
4,375
American
International
Group,
Inc.
341,994
1,217
Aon
plc,
Class
A
406,137
2,247
Arch
Capital
Group,
Ltd.*
207,713
1,369
Arthur
J.
Gallagher
&
Co.
342,305
1,112
ASR
Nederland
NV
54,433
6,145
Assicurazioni
Generali
SpA
155,578
291
Assurant,
Inc.
54,778
16,693
Aviva
plc
104,739
11,417
AXA
SA
428,635
296
Baloise
Holding
AG,
Registered
Shares
46,377
1,549
Brown
&
Brown,
Inc.
135,599
2,535
Chubb,
Ltd.
656,894
1,005
Cincinnati
Financial
Corp.
124,791
5,600
Dai-ichi
Life
Holdings,
Inc.
142,911
141
Erie
Indemnity
Co.,
Class
A
56,621
281
Everest
Group,
Ltd.
111,697
135
Fairfax
Financial
Holdings,
Ltd.
145,536
1,514
Fidelity
National
Financial,
Inc.
80,393
1,848
Gjensidige
Forsikring
ASA
26,834
676
Globe
Life,
Inc.
78,666
1,806
Great-West
Lifeco,
Inc.
57,764
358
Hannover
Rueck
SE
97,965
1,857
Hartford
Financial
Services
Group,
Inc.
(The)
191,364
679
iA
Financial
Corp.,
Inc.
42,187
16,630
Insurance
Australia
Group,
Ltd.
69,344
1,131
Intact
Financial
Corp.
183,746
13,100
Japan
Post
Holdings
Co.,
Ltd.
131,884
1,700
Japan
Post
Insurance
Co.,
Ltd.
32,477
35,326
Legal
&
General
Group
plc
113,306
1,269
Loews
Corp.
99,350
11,216
Manulife
Financial
Corp.
280,152
77
Markel
Group,
Inc.*
117,154
3,048
Marsh
&
McLennan
Cos.,
Inc.
627,827
17,323
Medibank
Pvt,
Ltd.
42,437
3,783
MetLife,
Inc.
280,358
AZL
MSCI
Global
Equity
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
171
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Insurance,
continued
7,800
MS&AD
Insurance
Group
Holdings,
Inc.
$
138,032
855
Muenchener
Rueckversicherungs-Gesellschaft
AG
in
Muenchen,
Class
R
417,125
1,547
NN
Group
NV
71,548
6,201
Phoenix
Group
Holdings
plc
43,268
2,955
Poste
Italiane
SpA
36,992
3,531
Power
Corp.
of
Canada^
99,016
1,375
Principal
Financial
Group,
Inc.
118,676
3,647
Progressive
Corp.
(The)
754,272
2,167
Prudential
Financial,
Inc.
254,406
16,697
Prudential
plc
157,029
8,713
QBE
Insurance
Group,
Ltd.
102,936
2,747
Sampo
Oyj,
A
Shares
117,091
5,400
Sompo
Holdings,
Inc.
113,214
3,718
Sun
Life
Financial,
Inc.
202,892
7,083
Suncorp
Group,
Ltd.
75,667
182
Swiss
Life
Holding
AG
127,581
1,886
Swiss
Re
AG
242,500
3,200
T&D
Holdings,
Inc.
55,672
11,100
Tokio
Marine
Holdings,
Inc.
348,683
1,440
Travelers
Cos.,
Inc.
(The)
331,402
2,488
Tryg
A/S
51,225
1,270
W
R
Berkley
Corp.
112,319
623
Willis
Towers
Watson
plc
171,325
893
Zurich
Insurance
Group
AG
481,568
12,704,401
Interactive
Media
&
Services
(
4
.3
%
):
1,569
Adevinta
ASA*
16,484
36,633
Alphabet,
Inc.,
Class
A*
5,529,019
31,855
Alphabet,
Inc.,
Class
C*
4,850,242
6,294
Auto
Trader
Group
plc
55,569
2,390
CAR
Group,
Ltd.
56,185
19,800
LY
Corp.
50,035
1,762
Match
Group,
Inc.*
63,925
13,739
Meta
Platforms,
Inc.,
Class
A
6,671,384
3,899
Pinterest,
Inc.,
Class
A*
135,178
296
REA
Group,
Ltd.
35,771
483
Scout24
SE
36,400
2,004
SEEK,
Ltd.
32,711
6,600
Snap,
Inc.,
Class
A*
75,768
17,608,671
IT
Services
(
1
.4
%
):
3,885
Accenture
plc,
Class
A
1,346,580
866
Akamai
Technologies,
Inc.*
94,186
589
Bechtle
AG
31,120
954
Capgemini
SE
219,955
1,202
CGI,
Inc.*
132,625
1,686
Cloudflare,
Inc.,
Class
A*
163,255
3,124
Cognizant
Technology
Solutions
Corp.,
Class
A
228,958
352
EPAM
Systems,
Inc.*
97,208
11,000
Fujitsu,
Ltd.
176,161
483
Gartner,
Inc.*
230,232
771
GoDaddy,
Inc.,
Class
A*
91,502
5,615
International
Business
Machines
Corp.
1,072,240
472
MongoDB,
Inc.*
169,278
1,400
NEC
Corp.
101,879
2,520
Nomura
Research
Institute,
Ltd.
71,138
4,600
NTT
Data
Group
Corp.
73,115
Shares
Value
Common
Stocks,
continued
IT
Services,
continued
400
Obic
Co.,
Ltd.
$
60,293
958
Okta,
Inc.*
100,226
1,000
Otsuka
Corp.
21,215
900
SCSK
Corp.
16,690
7,473
Shopify,
Inc.,
Class
A*
576,586
1,688
Snowflake,
Inc.,
Class
A*
272,781
1,600
TIS,
Inc.
34,254
1,063
Twilio,
Inc.,
Class
A*
65,002
613
VeriSign,
Inc.*
116,170
301
Wix.com,
Ltd.*
41,382
5,604,031
Leisure
Products
(
0
.1
%
):
4,200
Bandai
Namco
Holdings,
Inc.
77,767
298
BRP,
Inc.
20,011
961
Hasbro,
Inc.
54,316
400
Shimano,
Inc.
59,737
1,200
Yamaha
Corp.
25,858
237,689
Life
Sciences
Tools
&
Services
(
1
.1
%
):
1,891
Agilent
Technologies,
Inc.
275,159
4,273
Avantor,
Inc.*
109,261
260
Bachem
Holding
AG^
24,903
108
Bio-Rad
Laboratories,
Inc.,
Class
A*
37,354
972
Bio-Techne
Corp.
68,419
306
Charles
River
Laboratories
International,
Inc.*
82,911
4,328
Danaher
Corp.
1,080,788
702
Eurofins
Scientific
SE
44,699
1,057
Illumina,
Inc.*
145,147
1,118
IQVIA
Holdings,
Inc.*
282,731
460
Lonza
Group
AG,
Registered
Shares
275,467
137
Mettler-Toledo
International,
Inc.*
182,387
1,609
QIAGEN
NV
68,796
295
Repligen
Corp.*
54,256
700
Revvity,
Inc.
73,500
206
Sartorius
Stedim
Biotech
58,696
2,376
Thermo
Fisher
Scientific,
Inc.
1,380,955
380
Waters
Corp.*
130,807
442
West
Pharmaceutical
Services,
Inc.
174,904
4,551,140
Machinery
(
2
.1
%
):
2,154
Alfa
Laval
AB
84,687
1,792
Alstom
SA^
27,295
16,261
Atlas
Copco
AB,
Class
A
274,469
9,677
Atlas
Copco
AB,
Class
B
142,883
3,146
Caterpillar,
Inc.
1,152,789
6,392
CNH
Industrial
NV
82,387
887
Cummins,
Inc.
261,354
2,100
Daifuku
Co.,
Ltd.
50,380
3,171
Daimler
Truck
Holding
AG
160,611
1,655
Deere
&
Co.
679,775
893
Dover
Corp.
158,231
4,031
Epiroc
AB,
Class
A
76,023
2,340
Epiroc
AB,
Class
B
39,637
6,300
FANUC
Corp.
176,227
2,124
Fortive
Corp.
182,706
952
GEA
Group
AG
40,245
1,041
Graco,
Inc.
97,292
AZL
MSCI
Global
Equity
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
172
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Machinery,
continued
800
Hitachi
Construction
Machinery
Co.,
Ltd.
$
24,159
600
Hoshizaki
Corp.
21,886
2,525
Husqvarna
AB,
B
Shares
21,612
495
IDEX
Corp.
120,790
1,851
Illinois
Tool
Works,
Inc.
496,679
2,137
Indutrade
AB
58,227
2,471
Ingersoll
Rand,
Inc.
234,621
395
Knorr-Bremse
AG
29,871
5,600
Komatsu,
Ltd.
165,851
1,984
Kone
Oyj,
Class
B
92,272
5,700
Kubota
Corp.
90,776
1,500
Makita
Corp.
42,560
5,113
Metso
Oyj
60,660
2,300
MINEBEA
MITSUMI,
Inc.
45,091
1,800
MISUMI
Group,
Inc.
25,110
19,000
Mitsubishi
Heavy
Industries,
Ltd.
172,372
329
Nordson
Corp.
90,324
2,591
Otis
Worldwide
Corp.
257,209
3,266
PACCAR,
Inc.
404,625
805
Parker-Hannifin
Corp.
447,411
930
Pentair
plc
79,459
32
Rational
AG
27,575
6,342
Sandvik
AB
140,747
275
Schindler
Holding
AG,
Series
PC
69,251
187
Schindler
Holding
AG,
Registered
Shares
45,620
217,569
Seatrium,
Ltd.*
12,743
2,448
SKF
AB,
B
Shares^
49,908
300
SMC
Corp.
169,301
319
Snap-on,
Inc.
94,494
405
Spirax-Sarco
Engineering
plc
51,471
920
Stanley
Black
&
Decker,
Inc.
90,096
9,000
Techtronic
Industries
Co.,
Ltd.
122,022
600
Toro
Co.
(The)
54,978
800
Toyota
Industries
Corp.
83,639
179
VAT
Group
AG
92,594
863
Volvo
AB,
Class
A
23,770
9,308
Volvo
AB,
Class
B
252,143
2,720
Wartsila
Oyj
Abp
41,313
1,184
Westinghouse
Air
Brake
Technologies
Corp.
172,485
1,515
Xylem,
Inc.
195,799
1,600
Yaskawa
Electric
Corp.
68,069
8,526,574
Marine
Transportation
(
0
.1
%
):
20
AP
Moller
-
Maersk
A/S,
Class
A
25,563
24
AP
Moller
-
Maersk
A/S,
Class
B
31,211
2,400
Kawasaki
Kisen
Kaisha,
Ltd.
32,229
343
Kuehne
+
Nagel
International
AG,
Class
R
95,470
2,100
Mitsui
OSK
Lines,
Ltd.
63,990
3,000
Nippon
Yusen
KK
82,256
12,000
SITC
International
Holdings
Co.,
Ltd.
21,926
352,645
Media
(
0
.6
%
):
618
Charter
Communications,
Inc.,
Class
A*
179,609
24,796
Comcast
Corp.,
Class
A
1,074,907
1,300
Dentsu
Group,
Inc.
36,018
1,721
Fox
Corp.,
Class
A
53,816
968
Fox
Corp.,
Class
B
27,704
8,843
Informa
plc
92,693
Shares
Value
Common
Stocks,
continued
Media,
continued
2,288
Interpublic
Group
of
Cos.,
Inc.
(The)
$
74,657
739
Liberty
Broadband
Corp.,
Class
C*
42,293
1,069
Liberty
Media
Corp.-Liberty
SiriusXM*
31,760
2,491
News
Corp.,
Class
A
65,214
1,148
Omnicom
Group,
Inc.
111,081
3,327
Paramount
Global,
Class
B
39,159
1,441
Publicis
Groupe
SA
157,017
6,283
Sirius
XM
Holdings,
Inc.^
24,378
2,895
Trade
Desk,
Inc.
(The),
Class
A*
253,081
3,675
Vivendi
SE
40,080
7,540
WPP
plc
71,342
2,374,809
Metals
&
Mining
(
1
.3
%
):
3,021
Agnico
Eagle
Mines,
Ltd.
180,158
7,856
Anglo
American
plc
194,085
2,646
Antofagasta
plc
68,292
2,946
ArcelorMittal
SA
80,923
10,401
Barrick
Gold
Corp.
173,017
31,090
BHP
Group,
Ltd.
897,647
2,969
BlueScope
Steel,
Ltd.
46,188
2,098
Boliden
AB
58,136
3,016
Cleveland-Cliffs,
Inc.*
68,584
4,279
First
Quantum
Minerals,
Ltd.
46,000
10,986
Fortescue,
Ltd.
184,052
1,109
Franco-Nevada
Corp.
132,156
8,771
Freeport-McMoRan,
Inc.
412,412
65,889
Glencore
plc
362,411
4,254
Ivanhoe
Mines,
Ltd.*
50,757
3,100
JFE
Holdings,
Inc.
51,281
7,700
Kinross
Gold
Corp.
47,244
4,089
Lundin
Mining
Corp.
41,844
958
Mineral
Resources,
Ltd.
44,332
7,254
Newmont
Corp.
259,983
5,300
Nippon
Steel
Corp.
127,450
10,117
Norsk
Hydro
ASA
55,812
8,015
Northern
Star
Resources,
Ltd.
76,486
1,567
Nucor
Corp.
310,109
1,988
Pan
American
Silver
Corp.
29,973
18,950
Pilbara
Minerals,
Ltd.
47,482
382
Reliance,
Inc.
127,657
7,016
Rio
Tinto
plc
445,114
2,398
Rio
Tinto,
Ltd.
190,601
23,062
South32,
Ltd.
45,273
986
Steel
Dynamics,
Inc.
146,155
1,800
Sumitomo
Metal
Mining
Co.,
Ltd.
53,393
2,960
Teck
Resources,
Ltd.,
Class
B
135,499
573
voestalpine
AG
16,076
2,771
Wheaton
Precious
Metals
Corp.
130,530
5,337,112
Mortgage
Real
Estate
Investment
Trusts
(REITs)
(
0
.0
%
):
3,240
Annaly
Capital
Management,
Inc.
63,796
Multi-Utilities
(
0
.6
%
):
1,565
Ameren
Corp.
115,747
993
Canadian
Utilities,
Ltd.,
Class
A
22,618
3,884
CenterPoint
Energy,
Inc.
110,655
31,540
Centrica
plc
50,781
AZL
MSCI
Global
Equity
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
173
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Multi-Utilities,
continued
1,930
CMS
Energy
Corp.
$
116,456
2,191
Consolidated
Edison,
Inc.
198,965
5,375
Dominion
Energy,
Inc.
264,396
1,228
DTE
Energy
Co.
137,708
13,584
E.ON
SE
188,785
12,131
Engie
SA
203,831
23,212
National
Grid
plc
312,218
2,789
NiSource,
Inc.
77,144
3,053
Public
Service
Enterprise
Group,
Inc.
203,879
3,843
Sempra
276,043
4,592
Veolia
Environnement
SA
148,957
1,964
WEC
Energy
Group,
Inc.
161,284
2,589,467
Office
REITs
(
0
.1
%
):
1,079
Alexandria
Real
Estate
Equities,
Inc.
139,094
861
Boston
Properties,
Inc.
56,232
316
Covivio
SA
16,281
6,489
Dexus
33,527
236
Gecina
SA
24,088
7
Japan
Real
Estate
Investment
Corp.
24,961
10
Nippon
Building
Fund,
Inc.
40,036
334,219
Oil,
Gas
&
Consumable
Fuels
(
4
.2
%
):
1,797
Aker
BP
ASA
44,928
1,369
Ampol,
Ltd.
35,508
1,657
APA
Corp.
56,968
3,848
ARC
Resources,
Ltd.
68,613
106,978
BP
plc
672,042
2,904
Cameco
Corp.
125,731
6,522
Canadian
Natural
Resources,
Ltd.
497,577
8,812
Cenovus
Energy,
Inc.
176,188
1,474
Cheniere
Energy,
Inc.
237,727
767
Chesapeake
Energy
Corp.
68,133
11,115
Chevron
Corp.
1,753,280
7,331
ConocoPhillips
933,090
5,070
Coterra
Energy,
Inc.
141,352
3,841
Devon
Energy
Corp.
192,741
1,036
Diamondback
Energy,
Inc.
205,304
13,129
Enbridge,
Inc.
474,501
17,150
ENEOS
Holdings,
Inc.
82,571
13,351
Eni
SpA
211,651
3,602
EOG
Resources,
Inc.
460,480
2,174
EQT
Corp.
80,590
5,860
Equinor
ASA
157,294
24,713
Exxon
Mobil
Corp.
2,872,639
3,214
Galp
Energia
SGPS
SA
53,194
1,754
Hess
Corp.
267,730
891
HF
Sinclair
Corp.
53,790
7,410
Idemitsu
Kosan
Co.,
Ltd.
50,788
1,308
Imperial
Oil,
Ltd.
90,229
6,200
Inpex
Corp.
94,485
1,180
Keyera
Corp.
30,397
12,555
Kinder
Morgan,
Inc.
230,259
3,361
Marathon
Oil
Corp.
95,251
2,388
Marathon
Petroleum
Corp.
481,182
2,999
Neste
Oyj
81,292
3,968
Occidental
Petroleum
Corp.
257,880
981
OMV
AG
46,472
Shares
Value
Common
Stocks,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
3,710
ONEOK,
Inc.
$
297,431
1,492
Ovintiv,
Inc.
77,435
697
Parkland
Corp.
22,201
3,603
Pembina
Pipeline
Corp.
127,185
2,747
Phillips
66
448,695
1,426
Pioneer
Natural
Resources
Co.
374,325
7,492
Repsol
SA
125,029
20,801
Santos,
Ltd.
105,038
40,269
Shell
plc
1,335,795
7,726
Suncor
Energy,
Inc.
285,161
1,228
Targa
Resources
Corp.
137,524
6,384
TC
Energy
Corp.^
256,604
111
Texas
Pacific
Land
Corp.
64,215
13,483
TotalEnergies
SE
926,964
2,246
Tourmaline
Oil
Corp.
105,020
2,124
Valero
Energy
Corp.
362,546
7,744
Williams
Cos.,
Inc.
(The)
301,784
12,188
Woodside
Energy
Group,
Ltd.
243,410
16,978,219
Paper
&
Forest
Products
(
0
.1
%
):
734
Holmen
AB,
B
Shares
29,868
3,130
Mondi
plc
55,145
2,811
Stora
Enso
Oyj,
Class
R
39,086
4,358
Svenska
Cellulosa
AB
SCA,
Class
B^
66,915
3,253
UPM-Kymmene
Oyj
108,258
391
West
Fraser
Timber
Co.,
Ltd.
33,765
333,037
Passenger
Airlines
(
0
.1
%
):
990
Air
Canada*
14,334
1,000
ANA
Holdings,
Inc.
20,882
962
Delta
Air
Lines,
Inc.
46,051
4,680
Deutsche
Lufthansa
AG,
Registered
Shares*
36,758
1,000
Japan
Airlines
Co.,
Ltd.
18,975
5,489
Qantas
Airways,
Ltd.*
19,511
8,850
Singapore
Airlines,
Ltd.
42,007
710
Southwest
Airlines
Co.
20,725
219,243
Personal
Care
Products
(
0
.6
%
):
707
Beiersdorf
AG
102,922
1,481
Estee
Lauder
Cos.,
Inc.
(The)
228,296
34,483
Haleon
plc
144,686
2,900
Kao
Corp.
108,520
10,540
Kenvue,
Inc.
226,188
1,496
L'Oreal
SA
709,399
2,800
Shiseido
Co.,
Ltd.
76,552
15,580
Unilever
plc
782,209
2,378,772
Pharmaceuticals
(
5
.0
%
):
11,300
Astellas
Pharma,
Inc.
121,454
9,492
AstraZeneca
plc
1,277,754
6,144
Bayer
AG,
Registered
Shares
188,399
12,741
Bristol-Myers
Squibb
Co.
690,944
997
Catalent,
Inc.*
56,281
4,000
Chugai
Pharmaceutical
Co.,
Ltd.
152,905
11,600
Daiichi
Sankyo
Co.,
Ltd.
368,739
1,700
Eisai
Co.,
Ltd.
70,041
AZL
MSCI
Global
Equity
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
174
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Pharmaceuticals,
continued
4,995
Eli
Lilly
&
Co.
$
3,885,910
25,399
GSK
plc
545,382
1,106
Hikma
Pharmaceuticals
plc
26,749
283
Ipsen
SA
33,634
415
Jazz
Pharmaceuticals
plc*
49,974
14,953
Johnson
&
Johnson
2,365,415
1,400
Kyowa
Kirin
Co.,
Ltd.
25,173
15,756
Merck
&
Co.,
Inc.
2,079,004
757
Merck
KGaA
133,583
12,688
Novartis
AG,
Registered
Shares
1,228,965
20,246
Novo
Nordisk
A/S,
Class
B
2,593,899
2,500
Ono
Pharmaceutical
Co.,
Ltd.
40,980
612
Orion
Oyj,
Class
B
22,815
2,400
Otsuka
Holdings
Co.,
Ltd.
99,547
34,623
Pfizer,
Inc.
960,788
582
Recordati
Industria
Chimica
e
Farmaceutica
SpA
32,160
4,386
Roche
Holding
AG
1,119,831
187
Roche
Holding
AG,
Class
BR
50,343
2,369
Royalty
Pharma
plc,
Class
A
71,947
2,809
Sandoz
Group
AG*
84,747
6,931
Sanofi
SA
679,958
1,600
Shionogi
&
Co.,
Ltd.
81,942
9,650
Takeda
Pharmaceutical
Co.,
Ltd.
268,232
7,029
Teva
Pharmaceutical
Industries,
Ltd.,
ADR*
99,179
733
UCB
SA
90,390
7,608
Viatris,
Inc.
90,840
2,891
Zoetis,
Inc.
489,186
20,177,090
Professional
Services
(
1
.0
%
):
981
Adecco
Group
AG
38,790
2,569
Automatic
Data
Processing,
Inc.
641,582
814
Booz
Allen
Hamilton
Holding
Corp.
120,830
694
Broadridge
Financial
Solutions,
Inc.
142,173
1,956
Bureau
Veritas
SA
59,611
3,893
Computershare,
Ltd.
66,234
1,003
Dayforce,
Inc.*
66,409
755
Equifax,
Inc.
201,978
5,630
Experian
plc
245,734
886
Intertek
Group
plc
55,817
725
Jacobs
Solutions,
Inc.
111,454
798
Leidos
Holdings,
Inc.
104,610
2,092
Paychex,
Inc.
256,898
353
Paycom
Software,
Inc.
70,250
310
Paylocity
Holding
Corp.*
53,277
647
Randstad
NV
34,118
8,800
Recruit
Holdings
Co.,
Ltd.
387,709
11,628
RELX
plc
502,333
581
Robert
Half,
Inc.
46,062
961
SGS
SA,
Registered
Shares
93,235
1,465
SS&C
Technologies
Holdings,
Inc.
94,302
405
Teleperformance
SE
39,267
926
Thomson
Reuters
Corp.
144,123
1,266
TransUnion
101,027
878
Verisk
Analytics,
Inc.
206,971
1,556
Wolters
Kluwer
NV
243,650
4,128,444
Real
Estate
Management
&
Development
(
0
.4
%
):
116
Azrieli
Group,
Ltd.
8,374
Shares
Value
Common
Stocks,
continued
Real
Estate
Management
&
Development,
continued
17,300
CapitaLand
Investment,
Ltd.
$
34,416
1,860
CBRE
Group,
Inc.,
Class
A*
180,867
3,700
City
Developments,
Ltd.
16,068
14,000
CK
Asset
Holdings,
Ltd.
57,675
2,510
CoStar
Group,
Inc.*
242,466
300
Daito
Trust
Construction
Co.,
Ltd.
34,205
3,500
Daiwa
House
Industry
Co.,
Ltd.
104,118
18,800
ESR
Group,
Ltd.
20,136
3,858
Fastighets
AB
Balder,
B
Shares*
28,303
257
FirstService
Corp.,
Class
WI
42,552
11,000
Hang
Lung
Properties,
Ltd.
11,292
6,324
Henderson
Land
Development
Co.,
Ltd.
18,052
6,600
Hongkong
Land
Holdings,
Ltd.
20,266
2,400
Hulic
Co.,
Ltd.
24,643
403
LEG
Immobilien
SE*
34,589
7,600
Mitsubishi
Estate
Co.,
Ltd.
138,268
16,500
Mitsui
Fudosan
Co.,
Ltd.
177,808
1,000
Nomura
Real
Estate
Holdings,
Inc.
28,279
1,352
Sagax
AB,
Class
B
35,614
24,117
Sino
Land
Co.,
Ltd.
25,071
2,100
Sumitomo
Realty
&
Development
Co.,
Ltd.
78,210
9,500
Sun
Hung
Kai
Properties,
Ltd.
91,544
2,000
Swire
Pacific,
Ltd.,
Class
A
16,469
9,200
Swire
Properties,
Ltd.
19,354
498
Swiss
Prime
Site
AG,
Registered
Shares
46,967
4,742
Vonovia
SE
140,223
11,000
Wharf
Real
Estate
Investment
Co.,
Ltd.
35,831
1,012
Zillow
Group,
Inc.,
Class
C*
49,365
1,761,025
Residential
REITs
(
0
.3
%
):
1,914
American
Homes
4
Rent,
Class
A
70,397
865
AvalonBay
Communities,
Inc.
160,509
739
Camden
Property
Trust
72,718
272
Canadian
Apartment
Properties
REIT
9,336
1,106
Equity
LifeStyle
Properties,
Inc.
71,226
2,399
Equity
Residential
151,401
428
Essex
Property
Trust,
Inc.
104,779
3,865
Invitation
Homes,
Inc.
137,633
795
Mid-America
Apartment
Communities,
Inc.
104,606
860
Sun
Communities,
Inc.
110,579
1,736
UDR,
Inc.
64,944
1,058,128
Retail
REITs
(
0
.3
%
):
30,906
CapitaLand
Integrated
Commercial
Trust
45,436
43
Japan
Metropolitan
Fund
Invest
26,811
3,984
Kimco
Realty
Corp.
78,126
1,137
Klepierre
SA
29,429
17,300
Link
REIT
74,519
15,100
Mapletree
Pan
Asia
Commercial
Trust
14,347
5,355
Realty
Income
Corp.
289,706
1,170
Regency
Centers
Corp.
70,855
460
RioCan
Real
Estate
Investment
Trust^
6,273
27,559
Scentre
Group
61,041
2,079
Simon
Property
Group,
Inc.
325,343
812
Unibail-Rodamco-Westfield*
65,222
24,703
Vicinity,
Ltd.
34,287
1,121,395
AZL
MSCI
Global
Equity
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
175
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Semiconductors
&
Semiconductor
Equipment
(
8
.2
%
):
10,045
Advanced
Micro
Devices,
Inc.*
$
1,813,022
4,900
Advantest
Corp.
219,006
3,075
Analog
Devices,
Inc.
608,204
5,190
Applied
Materials,
Inc.
1,070,334
287
ASM
International
NV
174,818
2,494
ASML
Holding
NV
2,394,119
536
BE
Semiconductor
Industries
NV
81,826
2,759
Broadcom,
Inc.
3,656,806
500
Disco
Corp.
183,726
833
Enphase
Energy,
Inc.*
100,776
941
Entegris,
Inc.
132,248
592
First
Solar,
Inc.*
99,930
8,258
Infineon
Technologies
AG
280,698
26,122
Intel
Corp.
1,153,809
831
KLA
Corp.
580,512
827
Lam
Research
Corp.
803,488
400
Lasertec
Corp.
113,454
760
Lattice
Semiconductor
Corp.*
59,455
5,470
Marvell
Technology,
Inc.
387,714
3,395
Microchip
Technology,
Inc.
304,565
6,883
Micron
Technology,
Inc.
811,437
278
Monolithic
Power
Systems,
Inc.
188,323
15,289
NVIDIA
Corp.
13,814,529
1,606
NXP
Semiconductors
NV
397,919
2,736
ON
Semiconductor
Corp.*
201,233
526
Qorvo,
Inc.*
60,401
6,942
QUALCOMM,
Inc.
1,175,281
8,700
Renesas
Electronics
Corp.*
155,736
2,000
Rohm
Co.,
Ltd.
31,915
500
SCREEN
Holdings
Co.,
Ltd.
65,055
992
Skyworks
Solutions,
Inc.
107,453
4,315
STMicroelectronics
NV
185,719
2,600
SUMCO
Corp.
41,156
932
Teradyne,
Inc.
105,158
5,610
Texas
Instruments,
Inc.
977,318
2,900
Tokyo
Electron,
Ltd.
760,624
33,297,767
Software
(
8
.3
%
):
2,808
Adobe,
Inc.*
1,416,917
529
ANSYS,
Inc.*
183,648
1,009
AppLovin
Corp.,
Class
A*
69,843
217
Aspen
Technology,
Inc.*
46,282
929
Atlassian
Corp.,
Class
A*
181,257
1,371
Autodesk,
Inc.*
357,036
1,205
Bentley
Systems,
Inc.,
Class
B
62,925
597
BILL
Holdings,
Inc.*
41,026
1,667
Cadence
Design
Systems,
Inc.*
518,904
593
Check
Point
Software
Technologies,
Ltd.*
97,258
129
Constellation
Software,
Inc.
352,407
467
Corpay,
Inc.*
144,088
1,417
Crowdstrike
Holdings,
Inc.,
Class
A*
454,276
280
CyberArk
Software,
Ltd.*
74,376
4,296
Dassault
Systemes
SE
189,991
1,620
Datadog,
Inc.,
Class
A*
200,232
633
Descartes
Systems
Group,
Inc.
(The)*
57,907
1,230
DocuSign,
Inc.*
73,246
1,395
Dropbox,
Inc.,
Class
A*
33,898
1,408
Dynatrace,
Inc.*
65,387
150
Fair
Isaac
Corp.*
187,441
Shares
Value
Common
Stocks,
continued
Software,
continued
4,030
Fortinet,
Inc.*
$
275,289
3,426
Gen
Digital,
Inc.
76,742
287
HubSpot,
Inc.*
179,823
1,739
Intuit,
Inc.
1,130,350
431
Manhattan
Associates,
Inc.*
107,849
43,706
Microsoft
Corp.
18,387,988
423
Nemetschek
SE
41,852
487
Nice,
Ltd.*
126,999
1,565
Open
Text
Corp.
60,733
10,295
Oracle
Corp.
1,293,155
300
Oracle
Corp.
Japan
22,550
11,371
Palantir
Technologies,
Inc.,
Class
A*
261,647
1,955
Palo
Alto
Networks,
Inc.*
555,474
708
PTC,
Inc.*
133,769
666
Roper
Technologies,
Inc.
373,519
6,257
Sage
Group
plc
(The)
99,907
6,012
Salesforce,
Inc.
1,810,694
6,492
SAP
SE
1,263,775
1,273
ServiceNow,
Inc.*
970,535
938
Synopsys,
Inc.*
536,067
400
Temenos
AG,
Registered
Shares
28,653
800
Trend
Micro,
Inc.
40,696
274
Tyler
Technologies,
Inc.*
116,453
2,586
UiPath,
Inc.,
Class
A*
58,625
1,510
Unity
Software,
Inc.*
40,317
1,150
WiseTech
Global,
Ltd.
70,404
1,328
Workday,
Inc.,
Class
A*
362,212
951
Xero,
Ltd.*
82,619
1,326
Zoom
Video
Communications,
Inc.,
Class
A*
86,681
554
Zscaler,
Inc.*
106,717
33,510,439
Specialized
REITs
(
0
.7
%
):
2,917
American
Tower
Corp.
576,370
2,682
Crown
Castle,
Inc.
283,836
1,960
Digital
Realty
Trust,
Inc.
282,318
584
Equinix,
Inc.
481,993
1,349
Extra
Space
Storage,
Inc.
198,303
1,540
Gaming
and
Leisure
Properties,
Inc.
70,948
1,821
Iron
Mountain,
Inc.
146,062
958
Public
Storage
277,877
638
SBA
Communications
Corp.
138,255
6,435
VICI
Properties,
Inc.
191,699
4,368
Weyerhaeuser
Co.
156,855
2,804,516
Specialty
Retail
(
1
.7
%
):
106
AutoZone,
Inc.*
334,075
1,229
Bath
&
Body
Works,
Inc.
61,475
1,107
Best
Buy
Co.,
Inc.
90,807
404
Burlington
Stores,
Inc.*
93,805
1,047
CarMax,
Inc.*
91,204
341
Dick's
Sporting
Goods,
Inc.
76,677
1,000
Fast
Retailing
Co.,
Ltd.
309,935
4,103
H
&
M
Hennes
&
Mauritz
AB,
Class
B
67,069
6,150
Home
Depot,
Inc.
(The)
2,359,140
6,853
Industria
de
Diseno
Textil
SA
345,048
17,355
JD
Sports
Fashion
plc
29,419
12,728
Kingfisher
plc
40,026
3,534
Lowe's
Cos.,
Inc.
900,216
AZL
MSCI
Global
Equity
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
176
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Specialty
Retail,
continued
500
Nitori
Holdings
Co.,
Ltd.
$
75,381
366
O'Reilly
Automotive,
Inc.*
413,170
2,117
Ross
Stores,
Inc.
310,691
7,032
TJX
Cos.,
Inc.
(The)
713,185
656
Tractor
Supply
Co.
171,688
296
Ulta
Beauty,
Inc.*
154,773
3,400
USS
Co.,
Ltd.
28,107
387
Williams-Sonoma,
Inc.
122,884
829
Zalando
SE*
23,689
1,200
ZOZO,
Inc.
29,784
6,842,248
Technology
Hardware,
Storage
&
Peripherals
(
4
.3
%
):
90,924
Apple,
Inc.
15,591,648
1,100
Brother
Industries,
Ltd.
20,444
6,400
Canon,
Inc.
190,540
1,510
Dell
Technologies,
Inc.,
Class
C
172,306
7,500
FUJIFILM
Holdings
Corp.
168,507
7,877
Hewlett
Packard
Enterprise
Co.
139,659
5,883
HP,
Inc.
177,784
1,075
Logitech
International
SA,
Class
R
96,214
1,232
NetApp,
Inc.
129,323
3,600
Ricoh
Co.,
Ltd.
32,060
1,345
Seagate
Technology
Holdings
plc
125,152
2,200
Seiko
Epson
Corp.
38,434
287
Super
Micro
Computer,
Inc.*
289,879
1,996
Western
Digital
Corp.*
136,207
17,308,157
Textiles,
Apparel
&
Luxury
Goods
(
1
.1
%
):
1,032
adidas
AG
230,489
2,711
Burberry
Group
plc
41,582
3,252
Cie
Financiere
Richemont
SA,
Registered
Shares
497,555
163
Deckers
Outdoor
Corp.*
153,425
1,244
Gildan
Activewear,
Inc.
46,172
197
Hermes
International
SCA
504,967
477
Kering
SA
188,515
699
Lululemon
Athletica,
Inc.*
273,064
1,694
LVMH
Moet
Hennessy
Louis
Vuitton
SE
1,531,907
1,224
Moncler
SpA
91,310
7,530
NIKE,
Inc.,
Class
B
707,670
526
Pandora
A/S
84,977
767
Puma
SE
34,763
437
Swatch
Group
AG
(The)
19,817
209
Swatch
Group
AG
(The),
Class
BR
48,505
4,454,718
Tobacco
(
0
.5
%
):
10,950
Altria
Group,
Inc.
477,639
12,473
British
American
Tobacco
plc
379,039
4,862
Imperial
Brands
plc
108,683
7,900
Japan
Tobacco,
Inc.
210,624
9,647
Philip
Morris
International,
Inc.
883,858
2,059,843
Trading
Companies
&
Distributors
(
0
.8
%
):
1,088
AerCap
Holdings
NV*
94,558
2,799
Ashtead
Group
plc
198,915
908
Brenntag
SE
76,477
2,452
Bunzl
plc
94,404
Shares
Value
Common
Stocks,
continued
Trading
Companies
&
Distributors,
continued
3,469
Fastenal
Co.
$
267,599
1,323
Ferguson
plc
289,518
327
IMCD
NV
57,622
7,600
ITOCHU
Corp.
325,945
9,200
Marubeni
Corp.
159,363
21,700
Mitsubishi
Corp.
501,244
7,900
Mitsui
&
Co.,
Ltd.
369,158
1,400
MonotaRO
Co.,
Ltd.
16,812
1,239
Reece,
Ltd.
22,710
7,000
Sumitomo
Corp.
168,559
483
Toromont
Industries,
Ltd.
46,485
1,400
Toyota
Tsusho
Corp.
96,125
410
United
Rentals,
Inc.
295,655
276
W.W.
Grainger,
Inc.
280,775
193
Watsco,
Inc.
83,370
3,445,294
Transportation
Infrastructure
(
0
.1
%
):
435
Aena
SME
SA
85,620
215
Aeroports
de
Paris
SA
29,453
8,354
Auckland
International
Airport,
Ltd.
41,615
1,886
Getlink
SE
32,096
19,315
Transurban
Group
167,868
356,652
Water
Utilities
(
0
.1
%
):
1,249
American
Water
Works
Co.,
Inc.
152,640
1,659
Essential
Utilities,
Inc.
61,466
1,696
Severn
Trent
plc
52,913
4,770
United
Utilities
Group
plc
62,010
329,029
Wireless
Telecommunication
Services
(
0
.4
%
):
8,900
KDDI
Corp.
263,189
2,319
Rogers
Communications,
Inc.,
Class
B
95,026
18,100
SoftBank
Corp.
232,482
6,500
SoftBank
Group
Corp.
388,492
2,292
Tele2
AB,
B
Shares
18,826
3,256
T-Mobile
US,
Inc.
531,444
148,132
Vodafone
Group
plc
131,130
1,660,589
Total
Common
Stocks
(Cost
$272,318,475)
401,598,031
Preferred
Stocks
(
0
.1
%
):
Automobiles
(
0
.1
%
):
335
Bayerische
Motoren
Werke
AG,
8.57%,
5/15/20
35,916
634
Dr
Ing
hc
F
Porsche
AG,
1.09%
63,102
1,151
Porsche
Automobil
Holding
SE,
5.21%,
5/20/20
61,003
1,331
Volkswagen
AG,
7.13%,
5/8/20
176,499
336,520
Household
Products
(
0
.0
%
):
1,047
Henkel
AG
&
Co.
KGaA,
2.48%,
4/21/20
84,133
Life
Sciences
Tools
&
Services
(
0
.0
%
):
144
Sartorius
AG,
0.39%
57,262
Total
Preferred
Stocks
(Cost
$577,209)
477,915
AZL
MSCI
Global
Equity
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
177
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Percentages
indicated
are
based
on
net
assets
as
of
March
31,
2024.
Contracts
Value
Warrant
(
0
.0
%
):
Software
(
0
.0
%
):
147
Constellation
Software,
Inc.,
3/31/40*(a)
$
Total
Warrant
(Cost
$—)
Shares
Affiliated
Investment
Company
(
0
.3
%
):
Money
Market
(
0
.3
%
):
1,148,353
BlackRock
Liquidity
FedFund,
Institutional
Class+(b)
(c)
1,148,353
Total
Affiliated
Investment
Company
(Cost
$1,148,353)
1,148,353
Total
Investment
Securities
(Cost
$274,044,037)
99.5%
403,224,299
Net
other
assets
(liabilities)
0.5%
1,877,420
Net
Assets
100.0%
$
405,101,719
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
March
31,
2024.
The
total
value
of
securities
on
loan
as
of
March
31,
2024
was
$1,086,906.
+
Affiliated
Securities
Represents
less
than
0.05%.
(a)
Security
was
valued
using
significant
unobservable
inputs
as
of
March
31,
2024.
(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
March
31,
2024.
(c)
The
rate
represents
the
effective
yield
at
March
31,
2024.
Amounts
shown
as
“—“
are
either
$0
or
round
to
less
than
$1.
AZL
MSCI
Global
Equity
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
178
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
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
March
31,
2024
:
(Unaudited)
Country
Percentage
Australia
1
.9‌
%
Austria
—‌
%
Belgium
0
.2‌
%
Bermuda
0
.1‌
%
Canada
3
.2‌
%
Chile
—‌
%
Denmark
1
.0‌
%
Finland
0
.3‌
%
France
3
.1‌
%
Germany
2
.2‌
%
Hong
Kong
0
.5‌
%
Ireland
1
.1‌
%
Israel
0
.2‌
%
Italy
0
.6‌
%
Japan
6
.1‌
%
Jordan
—‌
%
Luxembourg
—‌
%
Macau
—‌
%
Netherlands
1
.5‌
%
New
Zealand
0
.1‌
%
Norway
0
.2‌
%
Portugal
—‌
%
Singapore
0
.3‌
%
Spain
0
.7‌
%
Sweden
0
.8‌
%
Switzerland
2
.8‌
%
United
Kingdom
3
.6‌
%
United
States
69
.4‌
%
Uruguay
0
.1‌
%
100
.0‌
%
Represents
less
than
0.05%.
Futures
Contracts
At
March
31,
2024,
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
June
Futures
(Euro)
6/21/24
8
$
435,364‌
$
3,479‌
FTSE
100
Index
June
Futures
(British
Pounds)
6/21/24
3
302,400‌
2,965‌
S&P
500
Index
E-Mini
June
Futures
(U.S.
Dollar)
6/21/24
8
2,123,400‌
18,758‌
SGX
NIKKEI
225
Index
June
Futures
(Japenese
Yen)
6/13/24
2
265,427‌
210‌
$
25,412‌
Forward
Currency
Contracts
At
March
31,
2024,
the
Fund's
open
forward
currency
contracts
were
as
follows:
Currency
Purchased
Currency
Sold
Counterparty
Settlement
Date
Net
Unrealized
Appreciation/
(Depreciation)
U.S.
Dollar
150,666‌
Swiss
Franc
135,706‌
BOA
Merrill
Lynch
4/3/24
$
116
U.S.
Dollar
143,109‌
British
Pound
113,398‌
JPMorgan
Chase
4/3/24
11
Total
Net
Forward
Currency
Contracts
$
127‌
AZL
Russell
1000
Growth
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
179
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks
(
99
.3
%
):
Aerospace
&
Defense
(
0
.6
%
):
1,571
Axon
Enterprise,
Inc.*
$
491,534
1,699
Boeing
Co.
(The)*
327,890
399
BWX
Technologies,
Inc.
40,945
924
HEICO
Corp.
176,484
1,621
HEICO
Corp.,
Class
A
249,537
4,872
Lockheed
Martin
Corp.
2,216,127
169
Northrop
Grumman
Corp.
80,894
209
TransDigm
Group,
Inc.
257,404
3,840,815
Air
Freight
&
Logistics
(
0
.1
%
):
2,112
CH
Robinson
Worldwide,
Inc.
160,807
396
Expeditors
International
of
Washington,
Inc.
48,142
4,506
United
Parcel
Service,
Inc.,
Class
B
669,727
878,676
Automobiles
(
1
.8
%
):
62,402
Tesla,
Inc.*
10,969,648
Banks
(
0
.1
%
):
30
First
Citizens
BancShares,
Inc.,
Class
A
49,050
36,532
NU
Holdings,
Ltd.,
Class
A*
435,827
484,877
Beverages
(
1
.3
%
):
194
Boston
Beer
Co.,
Inc.
(The),
Class
A*
59,058
711
Brown-Forman
Corp.,
Class
A
37,648
3,134
Brown-Forman
Corp.,
Class
B
161,777
3,245
Celsius
Holdings,
Inc.*
269,075
43,690
Coca-Cola
Co.
(The)
2,672,954
391
Constellation
Brands,
Inc.,
Class
A
106,258
16,978
Monster
Beverage
Corp.*
1,006,456
21,521
PepsiCo,
Inc.
3,766,390
8,079,616
Biotechnology
(
2
.3
%
):
39,910
AbbVie,
Inc.
7,267,611
2,261
Alnylam
Pharmaceuticals,
Inc.*
337,906
8,204
Amgen,
Inc.
2,332,561
2,288
Apellis
Pharmaceuticals,
Inc.*
134,489
564
BioMarin
Pharmaceutical,
Inc.*
49,260
1,282
Exact
Sciences
Corp.*
88,535
5,259
Exelixis,
Inc.*
124,796
3,219
Incyte
Corp.*
183,386
2,743
Ionis
Pharmaceuticals,
Inc.*
118,909
2,412
Natera,
Inc.*
220,602
2,227
Neurocrine
Biosciences,
Inc.*
307,148
161
Regeneron
Pharmaceuticals,
Inc.*
154,961
5,898
Roivant
Sciences,
Ltd.*
62,165
1,977
Sarepta
Therapeutics,
Inc.*
255,942
1,855
Ultragenyx
Pharmaceutical,
Inc.*
86,610
5,325
Vertex
Pharmaceuticals,
Inc.*
2,225,903
13,950,784
Broadline
Retail
(
6
.3
%
):
203,765
Amazon.com,
Inc.*
36,755,131
25,007
Coupang,
Inc.*
444,874
847
eBay,
Inc.
44,705
1,540
Etsy,
Inc.*
105,829
Shares
Value
Common
Stocks,
continued
Broadline
Retail,
continued
506
Ollie's
Bargain
Outlet
Holdings,
Inc.*
$
40,262
37,390,801
Building
Products
(
0
.2
%
):
336
A
O
Smith
Corp.
30,058
1,521
Advanced
Drainage
Systems,
Inc.
261,977
1,845
Allegion
plc
248,540
331
Armstrong
World
Industries,
Inc.
41,117
1,499
Trane
Technologies
plc
450,000
2,447
Trex
Co.,
Inc.*
244,088
1,275,780
Capital
Markets
(
1
.2
%
):
2,280
Ameriprise
Financial,
Inc.
999,643
3,742
Ares
Management
Corp.,
Class
A
497,611
16,193
Blackstone,
Inc.
2,127,274
1,702
Blue
Owl
Capital,
Inc.
32,100
857
FactSet
Research
Systems,
Inc.
389,412
3,640
KKR
&
Co.,
Inc.
366,111
1,683
LPL
Financial
Holdings,
Inc.
444,649
866
MarketAxess
Holdings,
Inc.
189,871
3,272
Moody's
Corp.
1,285,994
599
Morningstar,
Inc.
184,714
870
MSCI,
Inc.
487,592
600
S&P
Global,
Inc.
255,270
844
Tradeweb
Markets,
Inc.,
Class
A
87,919
705
XP,
Inc.,
Class
A
18,090
7,366,250
Chemicals
(
0
.6
%
):
600
Axalta
Coating
Systems,
Ltd.*
20,634
4,338
Ecolab,
Inc.
1,001,644
476
FMC
Corp.
30,321
1,058
Linde
plc
491,251
1,388
PPG
Industries,
Inc.
201,121
467
RPM
International,
Inc.
55,550
1,055
Scotts
Miracle-Gro
Co.
(The)
78,692
4,476
Sherwin-Williams
Co.
(The)
1,554,649
3,433,862
Commercial
Services
&
Supplies
(
0
.8
%
):
1,756
Cintas
Corp.
1,206,425
19,435
Copart,
Inc.*
1,125,675
159
MSA
Safety,
Inc.
30,781
3,062
RB
Global,
Inc.
233,232
5,866
Rollins,
Inc.
271,420
245
Tetra
Tech,
Inc.
45,254
8,231
Waste
Management,
Inc.
1,754,438
4,667,225
Communications
Equipment
(
0
.5
%
):
5,699
Arista
Networks,
Inc.*
1,652,596
3,446
Motorola
Solutions,
Inc.
1,223,261
18
Ubiquiti,
Inc.
2,085
2,877,942
Construction
&
Engineering
(
0
.1
%
):
339
EMCOR
Group,
Inc.
118,718
886
Quanta
Services,
Inc.
230,183
AZL
Russell
1000
Growth
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
180
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Construction
&
Engineering,
continued
16
Valmont
Industries,
Inc.
$
3,652
1,267
WillScot
Mobile
Mini
Holdings
Corp.*
58,916
411,469
Construction
Materials
(
0
.1
%
):
509
Eagle
Materials,
Inc.
138,321
669
Vulcan
Materials
Co.
182,583
320,904
Consumer
Finance
(
0
.2
%
):
4,297
American
Express
Co.
978,384
2,428
SLM
Corp.
52,906
1,031,290
Consumer
Staples
Distribution
&
Retail
(
1
.8
%
):
846
Albertsons
Cos.,
Inc.,
Class
A
18,138
137
Casey's
General
Stores,
Inc.
43,628
10,020
Costco
Wholesale
Corp.
7,340,953
4,966
Dollar
General
Corp.
774,994
1,591
Performance
Food
Group
Co.*
118,752
11,293
Sysco
Corp.
916,766
10,453
Target
Corp.
1,852,376
11,065,607
Containers
&
Packaging
(
0
.1
%
):
593
Avery
Dennison
Corp.
132,387
3,495
Graphic
Packaging
Holding
Co.
101,984
2,032
Sealed
Air
Corp.
75,591
309,962
Distributors
(
0
.1
%
):
877
Pool
Corp.
353,869
Diversified
Consumer
Services
(
0
.0
%
):
181
Bright
Horizons
Family
Solutions,
Inc.*
20,518
196
Grand
Canyon
Education,
Inc.*
26,697
2,175
H&R
Block,
Inc.
106,815
1,134
Service
Corp.
International
84,154
238,184
Diversified
Telecommunication
Services
(
0
.0
%
):
2,580
Iridium
Communications,
Inc.
67,493
Electrical
Equipment
(
0
.2
%
):
6,727
ChargePoint
Holdings,
Inc.*^
12,781
573
Hubbell,
Inc.
237,824
2,603
Rockwell
Automation,
Inc.
758,332
449
Vertiv
Holdings
Co.,
Class
A
36,670
1,045,607
Electronic
Equipment,
Instruments
&
Components
(
0
.3
%
):
6,595
Amphenol
Corp.,
Class
A
760,733
2,848
CDW
Corp.
728,462
1,800
Jabil,
Inc.
241,110
1,039
Keysight
Technologies,
Inc.*
162,479
1,344
Vontier
Corp.
60,964
235
Zebra
Technologies
Corp.*
70,838
2,024,586
Shares
Value
Common
Stocks,
continued
Energy
Equipment
&
Services
(
0
.0
%
):
4,255
Halliburton
Co.
$
167,732
Entertainment
(
1
.2
%
):
723
Live
Nation
Entertainment,
Inc.*
76,472
9,655
Netflix,
Inc.*
5,863,771
507
Playtika
Holding
Corp.
3,574
10,547
ROBLOX
Corp.,
Class
A*
402,684
391
Roku,
Inc.*
25,482
3,159
Spotify
Technology
SA*
833,660
1,433
TKO
Group
Holdings,
Inc.
123,826
7,329,469
Financial
Services
(
4
.0
%
):
11,889
Apollo
Global
Management,
Inc.
1,336,918
4,645
Block,
Inc.*
392,874
7,546
Equitable
Holdings,
Inc.
286,823
440
Euronet
Worldwide,
Inc.*
48,369
3,681
Fiserv,
Inc.*
588,297
486
Jack
Henry
&
Associates,
Inc.
84,433
18,778
Mastercard,
Inc.,
Class
A
9,042,922
22,236
PayPal
Holdings,
Inc.*
1,489,590
354
Rocket
Cos.,
Inc.,
Class
A*
5,151
1,120
Shift4
Payments,
Inc.,
Class
A*
73,998
8,171
Toast,
Inc.,
Class
A*
203,621
604
UWM
Holdings
Corp.
4,385
36,077
Visa,
Inc.,
Class
A
10,068,369
1,195
Western
Union
Co.
(The)
16,706
416
WEX,
Inc.*
98,813
23,741,269
Food
Products
(
0
.1
%
):
318
Freshpet,
Inc.*
36,843
2,470
Hershey
Co.
(The)
480,415
3,156
Lamb
Weston
Holdings,
Inc.
336,209
853,467
Ground
Transportation
(
1
.1
%
):
180
Avis
Budget
Group,
Inc.
22,043
4,794
CSX
Corp.
177,714
415
JB
Hunt
Transport
Services,
Inc.
82,689
630
Landstar
System,
Inc.
121,439
6,755
Lyft,
Inc.,
Class
A*
130,709
4,206
Old
Dominion
Freight
Line,
Inc.
922,418
72
Saia,
Inc.*
42,120
44,507
Uber
Technologies,
Inc.*
3,426,594
792
U-Haul
Holding
Co.
52,810
5,895
Union
Pacific
Corp.
1,449,757
6,428,293
Health
Care
Equipment
&
Supplies
(
1
.7
%
):
2,491
Abbott
Laboratories
283,127
1,723
Align
Technology,
Inc.*
565,006
8,729
Dexcom,
Inc.*
1,210,712
13,575
Edwards
Lifesciences
Corp.*
1,297,227
544
GE
HealthCare
Technologies,
Inc.
49,455
835
Globus
Medical,
Inc.*
44,789
1,848
IDEXX
Laboratories,
Inc.*
997,791
636
Inspire
Medical
Systems,
Inc.*
136,606
1,617
Insulet
Corp.*
277,154
7,927
Intuitive
Surgical,
Inc.*
3,163,586
AZL
Russell
1000
Growth
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
181
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Health
Care
Equipment
&
Supplies,
continued
923
Masimo
Corp.*
$
135,543
2,552
Novocure,
Ltd.*
39,888
825
Penumbra,
Inc.*
184,124
3,332
ResMed,
Inc.
659,836
841
Shockwave
Medical,
Inc.*
273,855
2,033
Stryker
Corp.
727,550
10,046,249
Health
Care
Providers
&
Services
(
2
.1
%
):
6,287
agilon
health,
Inc.*
38,351
2,882
Cardinal
Health,
Inc.
322,496
3,709
Cencora,
Inc.
901,250
241
Chemed
Corp.
154,705
499
Cigna
Group
(The)
181,232
1,171
DaVita,
Inc.*
161,656
703
Elevance
Health,
Inc.
364,533
964
HCA
Healthcare,
Inc.
321,523
1,194
Humana,
Inc.
413,984
1,152
McKesson
Corp.
618,451
705
Molina
Healthcare,
Inc.*
289,635
17,680
UnitedHealth
Group,
Inc.
8,746,296
12,514,112
Health
Care
Technology
(
0
.1
%
):
1,096
Certara,
Inc.*
19,596
1,384
Doximity,
Inc.,
Class
A*
37,243
3,292
Veeva
Systems,
Inc.,
Class
A*
762,724
819,563
Hotels,
Restaurants
&
Leisure
(
2
.8
%
):
9,271
Airbnb,
Inc.,
Class
A*
1,529,344
789
Booking
Holdings,
Inc.
2,862,397
1,788
Caesars
Entertainment,
Inc.*
78,207
845
Cava
Group,
Inc.*
59,192
624
Chipotle
Mexican
Grill,
Inc.*
1,813,825
720
Choice
Hotels
International,
Inc.^
90,972
1,655
Churchill
Downs,
Inc.
204,806
1,228
Darden
Restaurants,
Inc.
205,260
781
Domino's
Pizza,
Inc.
388,063
5,488
DoorDash,
Inc.,
Class
A*
755,807
9,275
DraftKings,
Inc.*
421,178
2,184
Expedia
Group,
Inc.*
300,846
2,585
Hilton
Worldwide
Holdings,
Inc.
551,406
7,806
Las
Vegas
Sands
Corp.
403,570
5,461
Marriott
International,
Inc.,
Class
A
1,377,865
6,812
McDonald's
Corp.
1,920,644
2,604
Norwegian
Cruise
Line
Holdings,
Ltd.*
54,502
1,039
Planet
Fitness,
Inc.,
Class
A*
65,073
1,635
Royal
Caribbean
Cruises,
Ltd.*
227,281
25,106
Starbucks
Corp.
2,294,437
1,537
Texas
Roadhouse,
Inc.
237,421
853
Travel
+
Leisure
Co.
41,763
101
Vail
Resorts,
Inc.
22,506
3,673
Wendy's
Co.
(The)
69,199
689
Wingstop,
Inc.
252,450
161
Wynn
Resorts,
Ltd.
16,459
5,519
Yum!
Brands,
Inc.
765,209
17,009,682
Shares
Value
Common
Stocks,
continued
Household
Durables
(
0
.0
%
):
4
NVR,
Inc.*
$
32,400
866
Tempur
Sealy
International,
Inc.
49,206
53
TopBuild
Corp.*
23,359
104,965
Household
Products
(
0
.6
%
):
937
BJ's
Wholesale
Club
Holdings,
Inc.*
70,884
4,909
Church
&
Dwight
Co.,
Inc.
512,058
2,819
Clorox
Co.
(The)
431,617
7,197
Kimberly-Clark
Corp.
930,932
10,055
Procter
&
Gamble
Co.
(The)
1,631,424
3,576,915
Independent
Power
and
Renewable
Electricity
Producers
(
0
.1
%
):
9,454
AES
Corp.
(The)
169,510
2,350
Vistra
Corp.
163,678
333,188
Industrial
Conglomerates
(
0
.1
%
):
1,936
Honeywell
International,
Inc.
397,364
Insurance
(
0
.8
%
):
1,102
Arch
Capital
Group,
Ltd.*
101,869
303
Arthur
J.
Gallagher
&
Co.
75,762
2,139
Brown
&
Brown,
Inc.
187,248
146
Everest
Group,
Ltd.
58,035
481
Kinsale
Capital
Group,
Inc.
252,400
335
Lincoln
National
Corp.
10,696
8,963
Marsh
&
McLennan
Cos.,
Inc.
1,846,199
523
Primerica,
Inc.
132,298
9,899
Progressive
Corp.
(The)
2,047,311
333
RenaissanceRe
Holdings,
Ltd.
78,265
227
RLI
Corp.
33,703
2,186
Ryan
Specialty
Holdings,
Inc.
121,323
272
Willis
Towers
Watson
plc
74,800
5,019,909
Interactive
Media
&
Services
(
10
.5
%
):
134,400
Alphabet,
Inc.,
Class
A*
20,284,992
113,520
Alphabet,
Inc.,
Class
C*
17,284,555
5,664
Match
Group,
Inc.*
205,490
50,026
Meta
Platforms,
Inc.,
Class
A
24,291,625
13,101
Pinterest,
Inc.,
Class
A*
454,212
3,116
ZoomInfo
Technologies,
Inc.*
49,949
62,570,823
IT
Services
(
1
.5
%
):
14,290
Accenture
plc,
Class
A
4,953,057
6,614
Cloudflare,
Inc.,
Class
A*
640,433
1,279
EPAM
Systems,
Inc.*
353,209
1,696
Gartner,
Inc.*
808,432
991
Globant
SA*
200,083
1,866
GoDaddy,
Inc.,
Class
A*
221,457
1,527
MongoDB,
Inc.*
547,643
244
Okta,
Inc.*
25,527
7,138
Snowflake,
Inc.,
Class
A*
1,153,501
714
Twilio,
Inc.,
Class
A*
43,661
AZL
Russell
1000
Growth
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
182
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
IT
Services,
continued
123
VeriSign,
Inc.*
$
23,310
8,970,313
Leisure
Products
(
0
.0
%
):
7,878
Peloton
Interactive,
Inc.,
Class
A*
33,757
1,961
YETI
Holdings,
Inc.*
75,597
109,354
Life
Sciences
Tools
&
Services
(
1
.3
%
):
2,191
10X
Genomics,
Inc.,
Class
A*
82,228
5,346
Agilent
Technologies,
Inc.
777,897
3,260
Bio-Techne
Corp.
229,471
2,195
Bruker
Corp.
206,198
256
ICON
plc*
86,003
1,084
Illumina,
Inc.*
148,855
3,840
IQVIA
Holdings,
Inc.*
971,098
1,581
Maravai
LifeSciences
Holdings,
Inc.,
Class
A*
13,707
538
Medpace
Holdings,
Inc.*
217,433
483
Mettler-Toledo
International,
Inc.*
643,013
530
Repligen
Corp.*
97,478
1,721
Sotera
Health
Co.*
20,669
5,375
Thermo
Fisher
Scientific,
Inc.
3,124,004
1,341
Waters
Corp.*
461,612
1,653
West
Pharmaceutical
Services,
Inc.
654,109
7,733,775
Machinery
(
1
.3
%
):
8,655
Caterpillar,
Inc.
3,171,452
5,440
Deere
&
Co.
2,234,425
1,038
Donaldson
Co.,
Inc.
77,518
1,543
Graco,
Inc.
144,209
157
IDEX
Corp.
38,311
5,517
Illinois
Tool
Works,
Inc.
1,480,377
1,157
Lincoln
Electric
Holdings,
Inc.
295,544
624
Otis
Worldwide
Corp.
61,944
2,463
Toro
Co.
(The)
225,685
580
Xylem,
Inc.
74,959
7,804,424
Media
(
0
.3
%
):
2,252
Charter
Communications,
Inc.,
Class
A*
654,499
26
Liberty
Broadband
Corp.,
Class
A*
1,485
616
Liberty
Broadband
Corp.,
Class
C*
35,254
300
Nexstar
Media
Group,
Inc.
51,687
9,942
Trade
Desk,
Inc.
(The),
Class
A*
869,129
1,612,054
Metals
&
Mining
(
0
.0
%
):
1,973
Southern
Copper
Corp.
210,164
Oil,
Gas
&
Consumable
Fuels
(
0
.5
%
):
2,894
Antero
Midstream
Corp.
40,690
6,195
APA
Corp.
212,984
5,405
Cheniere
Energy,
Inc.
871,718
3,530
Hess
Corp.
538,819
1,464
New
Fortress
Energy,
Inc.
44,784
629
ONEOK,
Inc.
50,427
2,747
Ovintiv,
Inc.
142,569
5,034
Targa
Resources
Corp.
563,758
Shares
Value
Common
Stocks,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
420
Texas
Pacific
Land
Corp.
$
242,974
2,708,723
Passenger
Airlines
(
0
.0
%
):
4,952
American
Airlines
Group,
Inc.*
76,013
837
Delta
Air
Lines,
Inc.
40,067
116,080
Personal
Care
Products
(
0
.1
%
):
1,623
Estee
Lauder
Cos.,
Inc.
(The)
250,186
13,655
Kenvue,
Inc.
293,036
543,222
Pharmaceuticals
(
3
.0
%
):
19,140
Eli
Lilly
&
Co.
14,890,154
656
Jazz
Pharmaceuticals
plc*
78,996
10,628
Merck
&
Co.,
Inc.
1,402,365
10,506
Zoetis,
Inc.
1,777,720
18,149,235
Professional
Services
(
0
.9
%
):
8,011
Automatic
Data
Processing,
Inc.
2,000,667
2,945
Booz
Allen
Hamilton
Holding
Corp.
437,156
2,246
Broadridge
Financial
Solutions,
Inc.
460,115
322
Dayforce,
Inc.*
21,320
1,919
Equifax,
Inc.
513,371
157
FTI
Consulting,
Inc.*
33,015
1,141
Genpact,
Ltd.
37,596
968
KBR,
Inc.
61,623
7,292
Paychex,
Inc.
895,458
1,166
Paycom
Software,
Inc.
232,046
971
Paylocity
Holding
Corp.*
166,876
3,230
Verisk
Analytics,
Inc.
761,408
5,620,651
Real
Estate
Management
&
Development
(
0
.1
%
):
3,864
CoStar
Group,
Inc.*
373,262
Residential
REITs
(
0
.0
%
):
1,219
Equity
LifeStyle
Properties,
Inc.
78,504
685
Sun
Communities,
Inc.
88,077
166,581
Retail
REITs
(
0
.0
%
):
1,549
Simon
Property
Group,
Inc.
242,403
Semiconductors
&
Semiconductor
Equipment
(
13
.6
%
):
20,627
Advanced
Micro
Devices,
Inc.*
3,722,967
1,669
Allegro
MicroSystems,
Inc.*
44,996
15,968
Applied
Materials,
Inc.
3,293,081
9,750
Broadcom,
Inc.
12,922,748
3,030
Enphase
Energy,
Inc.*
366,569
198
Entegris,
Inc.
27,827
3,052
KLA
Corp.
2,132,036
2,819
Lam
Research
Corp.
2,738,856
3,016
Lattice
Semiconductor
Corp.*
235,942
8,619
Microchip
Technology,
Inc.
773,210
1,048
Monolithic
Power
Systems,
Inc.
709,936
53,740
NVIDIA
Corp.
48,557,314
21,999
QUALCOMM,
Inc.
3,724,431
2,986
Teradyne,
Inc.
336,910
AZL
Russell
1000
Growth
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
183
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Semiconductors
&
Semiconductor
Equipment,
continued
8,331
Texas
Instruments,
Inc.
$
1,451,344
445
Universal
Display
Corp.
74,960
81,113,127
Software
(
18
.3
%
):
10,211
Adobe,
Inc.*
5,152,471
1,619
ANSYS,
Inc.*
562,052
1,099
AppLovin
Corp.,
Class
A*
76,073
3,503
Atlassian
Corp.,
Class
A*
683,470
4,858
Autodesk,
Inc.*
1,265,120
4,222
Bentley
Systems,
Inc.,
Class
B
220,473
6,139
Cadence
Design
Systems,
Inc.*
1,910,948
4,220
Confluent,
Inc.,
Class
A*
128,794
1,513
Corpay,
Inc.*
466,821
4,806
Crowdstrike
Holdings,
Inc.,
Class
A*
1,540,756
6,202
Datadog,
Inc.,
Class
A*
766,567
4,639
DocuSign,
Inc.*
276,252
3,355
DoubleVerify
Holdings,
Inc.*
117,962
5,449
Dropbox,
Inc.,
Class
A*
132,411
5,681
Dynatrace,
Inc.*
263,826
1,838
Elastic
NV*
184,241
554
Fair
Isaac
Corp.*
692,284
1,643
Five9,
Inc.*
102,047
14,639
Fortinet,
Inc.*
999,990
2,209
Gen
Digital,
Inc.
49,482
1,918
Gitlab,
Inc.,
Class
A*
111,858
1,623
HashiCorp,
Inc.,
Class
A*
43,740
1,033
HubSpot,
Inc.*
647,236
6,178
Intuit,
Inc.
4,015,700
1,409
Manhattan
Associates,
Inc.*
352,574
168,321
Microsoft
Corp.
70,816,011
1,427
Nutanix,
Inc.,
Class
A*
88,074
14,335
Oracle
Corp.
1,800,619
43,422
Palantir
Technologies,
Inc.,
Class
A*
999,140
6,868
Palo
Alto
Networks,
Inc.*
1,951,405
842
Pegasystems,
Inc.
54,427
1,711
Procore
Technologies,
Inc.*
140,593
1,356
PTC,
Inc.*
256,203
1,786
RingCentral,
Inc.,
Class
A*
62,046
15,959
Salesforce,
Inc.
4,806,532
645
SentinelOne,
Inc.,
Class
A*
15,035
4,605
ServiceNow,
Inc.*
3,510,852
2,997
Smartsheet,
Inc.,
Class
A*
115,384
3,453
Synopsys,
Inc.*
1,973,390
2,254
Teradata
Corp.*
87,162
720
Tyler
Technologies,
Inc.*
306,007
6,456
UiPath,
Inc.,
Class
A*
146,358
2,389
Unity
Software,
Inc.*
63,786
4,538
Workday,
Inc.,
Class
A*
1,237,739
2,040
Zscaler,
Inc.*
392,965
109,586,876
Specialized
REITs
(
0
.7
%
):
10,505
American
Tower
Corp.
2,075,683
1,021
Crown
Castle,
Inc.
108,053
1,049
Equinix,
Inc.
865,771
3,178
Iron
Mountain,
Inc.
254,907
1,517
Lamar
Advertising
Co.,
Class
A
181,145
2,087
Public
Storage
605,355
Shares
Value
Common
Stocks,
continued
Specialized
REITs,
continued
277
SBA
Communications
Corp.
$
60,026
4,150,940
Specialty
Retail
(
3
.3
%
):
328
AutoZone,
Inc.*
1,033,741
682
Best
Buy
Co.,
Inc.
55,944
1,475
Burlington
Stores,
Inc.*
342,480
224
CarMax,
Inc.*
19,513
1,289
Five
Below,
Inc.*
233,799
2,393
Floor
&
Decor
Holdings,
Inc.,
Class
A*
310,181
22,620
Home
Depot,
Inc.
(The)
8,677,032
9,574
Lowe's
Cos.,
Inc.
2,438,785
437
Murphy
USA,
Inc.
183,190
1,126
O'Reilly
Automotive,
Inc.*
1,271,119
68
RH*
23,682
6,976
Ross
Stores,
Inc.
1,023,798
25,771
TJX
Cos.,
Inc.
(The)
2,613,695
2,423
Tractor
Supply
Co.
634,147
1,084
Ulta
Beauty,
Inc.*
566,802
686
Valvoline,
Inc.*
30,575
679
Victoria's
Secret
&
Co.*
13,159
736
Wayfair,
Inc.,
Class
A*
49,960
215
Williams-Sonoma,
Inc.
68,269
19,589,871
Technology
Hardware,
Storage
&
Peripherals
(
9
.6
%
):
329,843
Apple,
Inc.
56,561,478
3,937
HP,
Inc.
118,976
1,798
NetApp,
Inc.
188,736
5,212
Pure
Storage,
Inc.,
Class
A*
270,972
57,140,162
Textiles,
Apparel
&
Luxury
Goods
(
0
.5
%
):
1,386
Crocs,
Inc.*
199,307
574
Deckers
Outdoor
Corp.*
540,283
2,532
Lululemon
Athletica,
Inc.*
989,126
14,210
NIKE,
Inc.,
Class
B
1,335,456
99
Skechers
USA,
Inc.,
Class
A*
6,064
383
Tapestry,
Inc.
18,185
3,088,421
Trading
Companies
&
Distributors
(
0
.4
%
):
9,627
Fastenal
Co.
742,627
285
Ferguson
plc
62,252
366
SiteOne
Landscape
Supply,
Inc.*
63,885
324
United
Rentals,
Inc.
233,640
1,003
W.W.
Grainger,
Inc.
1,020,352
166
Watsco,
Inc.
71,707
2,194,463
Total
Common
Stocks
(Cost
$193,046,879)
594,222,348
Affiliated
Investment
Company
(
0
.0
%
):
Money
Market
(
0
.0
%
):
104,857
BlackRock
Liquidity
FedFund,
Institutional
Class+(a)
(b)
104,857
Total
Affiliated
Investment
Company
(Cost
$104,857)
104,857
AZL
Russell
1000
Growth
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
184
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Percentages
indicated
are
based
on
net
assets
as
of
March
31,
2024.
Shares
Value
Unaffiliated
Investment
Company
(
0
.7
%
):
Money
Markets
(
0
.7
%
):
4,020,055
Dreyfus
Treasury
Securities
Cash
Management
Fund,
Institutional
Shares,
5.19%(b)
$
4,020,055
Shares
Value
Unaffiliated
Investment
Company,
continued
Money
Markets,
continued
Total
Unaffiliated
Investment
Company
(Cost
$4,020,055)
$
4,020,055
Total
Investment
Securities
(Cost
$197,171,791)
100.0%
598,347,260
Net
other
assets
(liabilities)
0.0%
(
260,654
)
Net
Assets
100.0%
$
598,086,606
*
Non-income
producing
security.
Represents
less
than
0.05%.
^
This
security
or
a
partial
position
of
this
security
was
on
loan
as
of
March
31,
2024.
The
total
value
of
securities
on
loan
as
of
March
31,
2024
was
$101,602.
+
Affiliated
Securities
(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
March
31,
2024.
(b)
The
rate
represents
the
effective
yield
at
March
31,
2024.
Futures
Contracts
At
March
31,
2024,
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
June
Futures
(U.S.
Dollar)
6/21/24
9
$
3,325,500‌
$
4,355‌
S&P
500
Index
E-Mini
June
Futures
(U.S.
Dollar)
6/21/24
4
1,061,700‌
6,631‌
$
10,986‌
AZL
Russell
1000
Value
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
185
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks
(
99
.6
%
):
Aerospace
&
Defense
(
2
.5
%
):
15,422
Boeing
Co.
(The)*
$
2,976,292
2,347
BWX
Technologies,
Inc.
240,849
1,184
Curtiss-Wright
Corp.
303,033
7,762
General
Dynamics
Corp.
2,192,687
116
HEICO
Corp.
22,156
118
HEICO
Corp.,
Class
A
18,165
2,733
Hexcel
Corp.
199,099
11,914
Howmet
Aerospace,
Inc.
815,275
1,258
Huntington
Ingalls
Industries,
Inc.
366,669
5,961
L3Harris
Technologies,
Inc.
1,270,289
1,767
Mercury
Systems,
Inc.*
52,127
4,244
Northrop
Grumman
Corp.
2,031,433
45,390
RTX
Corp.
4,426,887
3,204
Spirit
AeroSystems
Holdings,
Inc.,
Class
A*
115,568
6,165
Textron,
Inc.
591,408
1,386
TransDigm
Group,
Inc.
1,706,998
1,935
Woodward,
Inc.
298,222
17,627,157
Air
Freight
&
Logistics
(
0
.8
%
):
868
CH
Robinson
Worldwide,
Inc.
66,089
3,895
Expeditors
International
of
Washington,
Inc.
473,515
7,339
FedEx
Corp.
2,126,402
3,668
GXO
Logistics,
Inc.*
197,192
16,482
United
Parcel
Service,
Inc.,
Class
B
2,449,720
5,312,918
Automobile
Components
(
0
.2
%
):
8,621
Aptiv
plc*
686,663
7,486
BorgWarner,
Inc.
260,064
7,259
Gentex
Corp.
262,195
1,838
Lear
Corp.
266,289
1,592
Phinia,
Inc.
61,180
9,262
QuantumScape
Corp.*
58,258
1,594,649
Automobiles
(
0
.6
%
):
124,025
Ford
Motor
Co.
1,647,052
36,340
General
Motors
Co.
1,648,019
4,306
Harley-Davidson,
Inc.
188,344
25,457
Lucid
Group,
Inc.*^
72,553
21,074
Rivian
Automotive,
Inc.,
Class
A*^
230,760
1,667
Thor
Industries,
Inc.
195,606
3,982,334
Banks
(
7
.4
%
):
217,505
Bank
of
America
Corp.
8,247,790
3,521
Bank
OZK
160,065
808
BOK
Financial
Corp.
74,336
60,360
Citigroup,
Inc.
3,817,166
14,472
Citizens
Financial
Group,
Inc.
525,189
6,512
Columbia
Banking
System,
Inc.
126,007
4,279
Comerica,
Inc.
235,302
3,857
Commerce
Bancshares,
Inc.
205,192
1,885
Cullen/Frost
Bankers,
Inc.
212,194
4,428
East
West
Bancorp,
Inc.
350,299
21,555
Fifth
Third
Bancorp
802,062
303
First
Citizens
BancShares,
Inc.,
Class
A
495,405
3,683
First
Hawaiian,
Inc.
80,879
Shares
Value
Common
Stocks,
continued
Banks,
continued
17,478
First
Horizon
Corp.
$
269,161
11,110
FNB
Corp.
156,651
45,909
Huntington
Bancshares,
Inc.
640,431
91,113
JPMorgan
Chase
&
Co.
18,249,934
29,388
KeyCorp
464,624
5,200
M&T
Bank
Corp.
756,288
24,050
New
York
Community
Bancorp,
Inc.
77,441
23,093
NU
Holdings,
Ltd.,
Class
A*
275,499
2,406
Pinnacle
Financial
Partners,
Inc.
206,627
12,568
PNC
Financial
Services
Group,
Inc.
(The)
2,030,989
2,238
Popular,
Inc.
197,145
2,801
Prosperity
Bancshares,
Inc.
184,250
29,146
Regions
Financial
Corp.
613,232
4,485
Synovus
Financial
Corp.
179,669
2,177
TFS
Financial
Corp.
27,343
41,794
Truist
Financial
Corp.
1,629,130
49,156
US
Bancorp
2,197,273
5,287
Webster
Financial
Corp.
268,421
113,661
Wells
Fargo
&
Co.
6,587,792
3,389
Western
Alliance
Bancorp
217,540
1,907
Wintrust
Financial
Corp.
199,072
4,762
Zions
Bancorp
NA
206,671
50,967,069
Beverages
(
1
.3
%
):
344
Brown-Forman
Corp.,
Class
A
18,215
1,295
Brown-Forman
Corp.,
Class
B
66,848
61,958
Coca-Cola
Co.
(The)
3,790,591
4,617
Constellation
Brands,
Inc.,
Class
A
1,254,716
30,181
Keurig
Dr
Pepper,
Inc.
925,651
5,349
Molson
Coors
Beverage
Co.,
Class
B
359,720
13,510
PepsiCo,
Inc.
2,364,385
8,780,126
Biotechnology
(
1
.6
%
):
834
Alnylam
Pharmaceuticals,
Inc.*
124,641
5,395
Amgen,
Inc.
1,533,907
4,540
Biogen,
Inc.*
978,960
5,205
BioMarin
Pharmaceutical,
Inc.*
454,605
3,702
Exact
Sciences
Corp.*
255,660
1,631
Exelixis,
Inc.*
38,704
39,447
Gilead
Sciences,
Inc.
2,889,493
1,651
Incyte
Corp.*
94,058
498
Ionis
Pharmaceuticals,
Inc.*
21,588
10,418
Moderna,
Inc.*
1,110,142
3,015
Regeneron
Pharmaceuticals,
Inc.*
2,901,907
1,438
United
Therapeutics
Corp.*
330,337
700
Vertex
Pharmaceuticals,
Inc.*
292,607
11,026,609
Broadline
Retail
(
0
.2
%
):
15,262
eBay,
Inc.
805,528
1,841
Etsy,
Inc.*
126,513
3,178
Kohl's
Corp.
92,639
8,435
Macy's,
Inc.
168,616
3,899
Nordstrom,
Inc.
79,033
1,430
Ollie's
Bargain
Outlet
Holdings,
Inc.*
113,785
1,386,114
AZL
Russell
1000
Value
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
186
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Building
Products
(
1
.2
%
):
3,412
A
O
Smith
Corp.
$
305,237
225
Allegion
plc
30,310
1,060
Armstrong
World
Industries,
Inc.
131,673
3,997
AZEK
Co.,
Inc.
(The)*
200,729
3,883
Builders
FirstSource,
Inc.*
809,800
1,513
Carlisle
Cos.,
Inc.
592,869
26,370
Carrier
Global
Corp.
1,532,888
4,007
Fortune
Brands
Innovations,
Inc.
339,273
2,751
Hayward
Holdings,
Inc.*
42,118
21,377
Johnson
Controls
International
plc
1,396,346
994
Lennox
International,
Inc.
485,827
7,055
Masco
Corp.
556,498
2,802
Owens
Corning
467,374
5,098
Trane
Technologies
plc
1,530,420
8,421,362
Capital
Markets
(
5
.4
%
):
1,077
Affiliated
Managers
Group,
Inc.
180,365
23,896
Bank
of
New
York
Mellon
Corp.
(The)
1,376,888
4,692
BlackRock,
Inc.+
3,911,720
11,902
Blue
Owl
Capital,
Inc.
224,472
6,839
Carlyle
Group,
Inc.
(The)
320,817
3,302
Cboe
Global
Markets,
Inc.
606,676
46,779
Charles
Schwab
Corp.
(The)
3,383,993
11,387
CME
Group,
Inc.
2,451,507
5,333
Coinbase
Global,
Inc.,
Class
A*
1,413,885
1,162
Evercore,
Inc.
223,790
8,831
Franklin
Resources,
Inc.
248,239
9,955
Goldman
Sachs
Group,
Inc.
(The)
4,158,104
1,573
Houlihan
Lokey,
Inc.
201,643
3,336
Interactive
Brokers
Group,
Inc.
372,665
17,813
Intercontinental
Exchange,
Inc.
2,448,041
12,151
Invesco,
Ltd.
201,585
4,151
Janus
Henderson
Group
plc
136,526
5,569
Jefferies
Financial
Group,
Inc.
245,593
15,782
KKR
&
Co.,
Inc.
1,587,354
2,974
Lazard,
Inc.
124,521
428
Moody's
Corp.
168,217
36,916
Morgan
Stanley
3,476,011
1,218
MSCI,
Inc.
682,628
11,753
Nasdaq,
Inc.
741,614
6,350
Northern
Trust
Corp.
564,642
5,938
Raymond
James
Financial,
Inc.
762,558
20,194
Robinhood
Markets,
Inc.,
Class
A*
406,505
9,169
S&P
Global,
Inc.
3,900,951
3,078
SEI
Investments
Co.
221,308
9,450
State
Street
Corp.
730,674
3,106
Stifel
Financial
Corp.
242,796
6,989
T.
Rowe
Price
Group,
Inc.
852,099
1,557
TPG,
Inc.
69,598
2,367
Tradeweb
Markets,
Inc.,
Class
A
246,570
3,390
Virtu
Financial,
Inc.,
Class
A
69,563
9,471
XP,
Inc.,
Class
A
243,026
37,197,144
Chemicals
(
2
.8
%
):
7,011
Air
Products
and
Chemicals,
Inc.
1,698,555
3,742
Albemarle
Corp.
492,971
1,586
Ashland,
Inc.
154,429
6,006
Axalta
Coating
Systems,
Ltd.*
206,546
Shares
Value
Common
Stocks,
continued
Chemicals,
continued
3,094
Celanese
Corp.
$
531,735
5,954
CF
Industries
Holdings,
Inc.
495,432
5,079
Chemours
Co.
(The)
133,375
22,152
Corteva,
Inc.
1,277,506
22,384
Dow,
Inc.
1,296,705
13,570
DuPont
de
Nemours,
Inc.
1,040,412
3,799
Eastman
Chemical
Co.
380,736
1,776
Ecolab,
Inc.
410,078
7,138
Element
Solutions,
Inc.
178,307
3,310
FMC
Corp.
210,847
47,683
Ginkgo
Bioworks
Holdings,
Inc.*^
55,312
5,041
Huntsman
Corp.
131,217
8,148
International
Flavors
&
Fragrances,
Inc.
700,647
13,861
Linde
plc
6,435,940
8,236
LyondellBasell
Industries
NV,
Class
A
842,378
10,665
Mosaic
Co.
(The)
346,186
209
NewMarket
Corp.
132,636
3,804
Olin
Corp.
223,675
5,587
PPG
Industries,
Inc.
809,556
3,157
RPM
International,
Inc.
375,525
1,226
Sherwin-Williams
Co.
(The)
425,827
1,030
Westlake
Corp.
157,384
19,143,917
Commercial
Services
&
Supplies
(
0
.5
%
):
293
Cintas
Corp.
201,300
1,590
Clean
Harbors,
Inc.*
320,083
2,242
Driven
Brands
Holdings,
Inc.*
35,401
935
MSA
Safety,
Inc.
181,007
1,459
RB
Global,
Inc.
111,132
6,571
Republic
Services,
Inc.
1,257,952
2,892
Stericycle,
Inc.*
152,553
1,364
Tetra
Tech,
Inc.
251,944
7,041
Veralto
Corp.
624,255
3,911
Vestis
Corp.
75,365
1,297
Waste
Management,
Inc.
276,456
3,487,448
Communications
Equipment
(
1
.1
%
):
4,501
Ciena
Corp.*
222,574
127,991
Cisco
Systems,
Inc.
6,388,031
1,901
F5,
Inc.*
360,411
10,197
Juniper
Networks,
Inc.
377,901
2,070
Lumentum
Holdings,
Inc.*
98,014
452
Motorola
Solutions,
Inc.
160,451
15
Ubiquiti,
Inc.
1,738
3,910
Viasat,
Inc.*
70,732
7,679,852
Construction
&
Engineering
(
0
.3
%
):
4,212
AECOM
413,113
963
EMCOR
Group,
Inc.
337,243
1,914
MasTec,
Inc.*
178,480
6,314
MDU
Resources
Group,
Inc.
159,113
3,330
Quanta
Services,
Inc.
865,134
650
Valmont
Industries,
Inc.
148,382
4,553
WillScot
Mobile
Mini
Holdings
Corp.*
211,714
2,313,179
AZL
Russell
1000
Value
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
187
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Construction
Materials
(
0
.3
%
):
417
Eagle
Materials,
Inc.
$
113,320
1,946
Martin
Marietta
Materials,
Inc.
1,194,727
3,267
Vulcan
Materials
Co.
891,630
2,199,677
Consumer
Finance
(
1
.0
%
):
8,551
Ally
Financial,
Inc.
347,085
12,272
American
Express
Co.
2,794,212
11,960
Capital
One
Financial
Corp.
1,780,724
217
Credit
Acceptance
Corp.*
119,686
7,833
Discover
Financial
Services
1,026,828
3,673
OneMain
Holdings,
Inc.
187,654
4,016
SLM
Corp.
87,509
28,948
SoFi
Technologies,
Inc.*
211,320
12,814
Synchrony
Financial
552,540
7,107,558
Consumer
Staples
Distribution
&
Retail
(
1
.7
%
):
12,206
Albertsons
Cos.,
Inc.,
Class
A
261,697
1,024
Casey's
General
Stores,
Inc.
326,093
6,541
Dollar
Tree,
Inc.*
870,934
2,935
Grocery
Outlet
Holding
Corp.*
84,469
20,636
Kroger
Co.
(The)
1,178,935
2,508
Performance
Food
Group
Co.*
187,197
7,251
US
Foods
Holding
Corp.*
391,336
22,839
Walgreens
Boots
Alliance,
Inc.
495,378
135,158
Walmart,
Inc.
8,132,457
11,928,496
Containers
&
Packaging
(
0
.6
%
):
45,675
Amcor
plc
434,369
2,037
AptarGroup,
Inc.
293,104
1,659
Avery
Dennison
Corp.
370,372
9,833
Ball
Corp.
662,351
3,842
Berry
Global
Group,
Inc.
232,364
3,407
Crown
Holdings,
Inc.
270,039
4,838
Graphic
Packaging
Holding
Co.
141,173
10,742
International
Paper
Co.
419,153
2,774
Packaging
Corp.
of
America
526,450
2,195
Sealed
Air
Corp.
81,654
2,585
Silgan
Holdings,
Inc.
125,527
3,142
Sonoco
Products
Co.
181,733
8,025
Westrock
Co.
396,836
4,135,125
Distributors
(
0
.2
%
):
4,393
Genuine
Parts
Co.
680,607
8,580
LKQ
Corp.
458,258
1,138,865
Diversified
Consumer
Services
(
0
.1
%
):
7,509
ADT,
Inc.
50,461
1,484
Bright
Horizons
Family
Solutions,
Inc.*
168,226
744
Grand
Canyon
Education,
Inc.*
101,340
1,826
H&R
Block,
Inc.
89,675
490
Mister
Car
Wash,
Inc.*
3,798
2,930
Service
Corp.
International
217,435
630,935
Shares
Value
Common
Stocks,
continued
Diversified
REITs
(
0
.1
%
):
6,769
WP
Carey,
Inc.
$
382,042
Diversified
Telecommunication
Services
(
1
.4
%
):
225,973
AT&T,
Inc.
3,977,125
7,650
Frontier
Communications
Parent,
Inc.*
187,425
5,506
GCI
Liberty,
Inc.*
132,830
Verizon
Communications,
Inc.
5,573,547
9,738,097
Electric
Utilities
(
3
.0
%
):
7,799
Alliant
Energy
Corp.
393,070
16,614
American
Electric
Power
Co.,
Inc.
1,430,465
2,547
Avangrid,
Inc.
92,813
10,149
Constellation
Energy
Corp.
1,876,043
24,328
Duke
Energy
Corp.
2,352,761
11,782
Edison
International
833,341
6,734
Entergy
Corp.
711,649
6,850
Evergy,
Inc.
365,653
10,909
Eversource
Energy
652,031
31,452
Exelon
Corp.
1,181,652
16,936
FirstEnergy
Corp.
654,068
3,909
Hawaiian
Electric
Industries,
Inc.
44,054
1,610
IDACORP,
Inc.
149,553
64,786
NextEra
Energy,
Inc.
4,140,473
7,226
NRG
Energy,
Inc.
489,128
6,606
OGE
Energy
Corp.
226,586
64,642
PG&E
Corp.
1,083,400
3,528
Pinnacle
West
Capital
Corp.
263,647
23,612
PPL
Corp.
650,038
34,276
Southern
Co.
(The)
2,458,960
17,558
Xcel
Energy,
Inc.
943,743
20,993,128
Electrical
Equipment
(
1
.5
%
):
1,028
Acuity
Brands,
Inc.
276,254
7,251
AMETEK,
Inc.
1,326,208
12,569
Eaton
Corp.
plc
3,930,075
18,083
Emerson
Electric
Co.
2,050,974
1,913
Generac
Holdings,
Inc.*
241,306
936
Hubbell,
Inc.
388,487
5,174
nVent
Electric
plc
390,120
17,751
Plug
Power,
Inc.*
61,063
2,085
Regal
Rexnord
Corp.
375,509
4,933
Sensata
Technologies
Holding
plc
181,238
6,327
Sunrun,
Inc.*
83,390
9,815
Vertiv
Holdings
Co.,
Class
A
801,591
10,106,215
Electronic
Equipment,
Instruments
&
Components
(
0
.8
%
):
9,088
Amphenol
Corp.,
Class
A
1,048,301
1,757
Arrow
Electronics,
Inc.*
227,461
2,875
Avnet,
Inc.
142,543
268
CDW
Corp.
68,549
5,401
Cognex
Corp.
229,110
3,590
Coherent
Corp.*
217,626
24,132
Corning,
Inc.
795,391
1,690
Crane
NXT
Co.
104,611
1,023
IPG
Photonics
Corp.*
92,776
1,507
Jabil,
Inc.
201,863
4,092
Keysight
Technologies,
Inc.*
639,907
AZL
Russell
1000
Value
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
188
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Electronic
Equipment,
Instruments
&
Components,
continued
801
Littelfuse,
Inc.
$
194,122
1,872
TD
SYNNEX
Corp.
211,723
1,470
Teledyne
Technologies,
Inc.*
631,100
7,716
Trimble,
Inc.*
496,602
3,520
Vontier
Corp.
159,667
1,351
Zebra
Technologies
Corp.*
407,245
5,868,597
Energy
Equipment
&
Services
(
0
.7
%
):
31,790
Baker
Hughes
Co.
1,064,965
22,490
Halliburton
Co.
886,556
13,007
NOV,
Inc.
253,896
45,110
Schlumberger
NV
2,472,479
13,281
TechnipFMC
plc
333,486
5,011,382
Entertainment
(
1
.6
%
):
2,102
AMC
Entertainment
Holdings,
Inc.*
7,820
8,475
Electronic
Arts,
Inc.
1,124,378
6,114
Liberty
Media
Corp.-Liberty
Formula
One*
401,079
630
Liberty
Media
Corp.-Liberty
Formula
One*
37,006
512
Liberty
Media
Corp.-Liberty
Live*
21,683
1,585
Liberty
Media
Corp.-Liberty
Live*
69,455
3,729
Live
Nation
Entertainment,
Inc.*
394,416
635
Madison
Square
Garden
Sports
Corp.*
117,170
3,508
Roku,
Inc.*
228,616
5,252
Take-Two
Interactive
Software,
Inc.*
779,870
57,720
Walt
Disney
Co.
(The)
7,062,619
70,348
Warner
Bros
Discovery,
Inc.*
614,138
10,858,250
Financial
Services
(
4
.5
%
):
7,072
Affirm
Holdings,
Inc.*
263,503
57,799
Berkshire
Hathaway,
Inc.,
Class
B*
24,305,636
10,669
Block,
Inc.*
902,384
810
Euronet
Worldwide,
Inc.*
89,043
18,616
Fidelity
National
Information
Services,
Inc.
1,380,935
13,659
Fiserv,
Inc.*
2,182,981
8,166
Global
Payments,
Inc.
1,091,468
1,577
Jack
Henry
&
Associates,
Inc.
273,972
8,393
MGIC
Investment
Corp.
187,667
2,165
NCR
Atleos
Corp.*
42,759
3,287
PayPal
Holdings,
Inc.*
220,196
2,385
Rocket
Cos.,
Inc.,
Class
A*
34,702
3,221
Voya
Financial,
Inc.
238,096
6,778
Western
Union
Co.
(The)
94,756
703
WEX,
Inc.*
166,984
31,475,082
Food
Products
(
1
.6
%
):
17,014
Archer-Daniels-Midland
Co.
1,068,649
4,545
Bunge
Global
SA
465,953
6,104
Campbell
Soup
Co.
271,323
15,072
Conagra
Brands,
Inc.
446,734
4,904
Darling
Ingredients,
Inc.*
228,085
5,883
Flowers
Foods,
Inc.
139,721
922
Freshpet,
Inc.*
106,823
17,920
General
Mills,
Inc.
1,253,862
1,205
Hershey
Co.
(The)
234,373
9,260
Hormel
Foods
Corp.
323,081
Shares
Value
Common
Stocks,
continued
Food
Products,
continued
2,161
Ingredion,
Inc.
$
252,513
3,280
JM
Smucker
Co.
(The)
412,854
8,199
Kellanova
469,721
25,229
Kraft
Heinz
Co.
(The)
930,950
8,052
McCormick
&
Co.,
Inc.
618,474
42,921
Mondelez
International,
Inc.,
Class
A
3,004,470
925
Pilgrim's
Pride
Corp.*
31,746
1,546
Post
Holdings,
Inc.*
164,309
7
Seaboard
Corp.
22,568
8,646
Tyson
Foods,
Inc.,
Class
A
507,780
2,138
WK
Kellogg
Co.
40,194
10,994,183
Gas
Utilities
(
0
.1
%
):
4,637
Atmos
Energy
Corp.
551,200
2,894
National
Fuel
Gas
Co.
155,466
6,716
UGI
Corp.
164,810
871,476
Ground
Transportation
(
1
.3
%
):
458
Avis
Budget
Group,
Inc.
56,087
55,211
CSX
Corp.
2,046,672
4,594
Hertz
Global
Holdings,
Inc.*
35,971
2,068
JB
Hunt
Transport
Services,
Inc.
412,049
4,921
Knight-Swift
Transportation
Holdings,
Inc.
270,754
113
Landstar
System,
Inc.
21,782
7,137
Norfolk
Southern
Corp.
1,819,007
466
Old
Dominion
Freight
Line,
Inc.
102,199
1,365
Ryder
System,
Inc.
164,059
729
Saia,
Inc.*
426,465
1,941
Schneider
National,
Inc.,
Class
B
43,944
1,699
U-Haul
Holding
Co.
113,289
141
U-Haul
Holding
Co.*
9,523
10,987
Union
Pacific
Corp.
2,702,033
3,577
XPO,
Inc.*
436,501
8,660,335
Health
Care
Equipment
&
Supplies
(
3
.4
%
):
51,197
Abbott
Laboratories
5,819,051
15,806
Baxter
International,
Inc.
675,548
9,118
Becton
Dickinson
&
Co.
2,256,249
46,163
Boston
Scientific
Corp.*
3,161,704
6,152
Cooper
Cos.,
Inc.
(The)
624,182
6,663
DENTSPLY
SIRONA,
Inc.
221,145
1,819
Enovis
Corp.*
113,596
5,182
Envista
Holdings
Corp.*
110,791
11,826
GE
HealthCare
Technologies,
Inc.
1,075,102
2,560
Globus
Medical,
Inc.*
137,318
7,295
Hologic,
Inc.*
568,718
590
ICU
Medical,
Inc.*
63,319
2,138
Integra
LifeSciences
Holdings
Corp.*
75,792
41,924
Medtronic
plc
3,653,677
1,752
QuidelOrtho
Corp.*
83,991
3,132
STERIS
plc
704,136
8,364
Stryker
Corp.
2,993,225
1,904
Tandem
Diabetes
Care,
Inc.*
67,421
1,511
Teleflex,
Inc.
341,743
6,694
Zimmer
Biomet
Holdings,
Inc.
883,474
23,630,182
AZL
Russell
1000
Value
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
189
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Health
Care
Providers
&
Services
(
3
.0
%
):
2,943
Acadia
Healthcare
Co.,
Inc.*
$
233,144
35
agilon
health,
Inc.*
214
939
Amedisys,
Inc.*
86,538
3,729
Cardinal
Health,
Inc.
417,275
16,819
Centene
Corp.*
1,319,955
143
Chemed
Corp.
91,796
8,406
Cigna
Group
(The)
3,052,975
40,416
CVS
Health
Corp.
3,223,580
6,488
Elevance
Health,
Inc.
3,364,288
2,858
Encompass
Health
Corp.
236,014
4,977
HCA
Healthcare,
Inc.
1,659,979
4,206
Henry
Schein,
Inc.*
317,637
2,183
Humana,
Inc.
756,890
2,662
Laboratory
Corp.
of
America
Holdings
581,541
2,592
McKesson
Corp.
1,391,515
846
Molina
Healthcare,
Inc.*
347,562
4,230
Premier,
Inc.,
Class
A
93,483
3,494
Quest
Diagnostics,
Inc.
465,086
5,224
R1
RCM,
Inc.*
67,285
3,169
Tenet
Healthcare
Corp.*
333,094
4,648
UnitedHealth
Group,
Inc.
2,299,366
1,814
Universal
Health
Services,
Inc.,
Class
B
330,982
20,670,199
Health
Care
REITs
(
0
.5
%
):
12,580
Healthcare
Realty
Trust,
Inc.
178,007
22,421
Healthpeak
Properties,
Inc.
420,394
21,340
Medical
Properties
Trust,
Inc.
100,298
7,795
Omega
Healthcare
Investors,
Inc.
246,868
12,614
Ventas,
Inc.
549,213
17,482
Welltower,
Inc.
1,633,518
3,128,298
Health
Care
Technology
(
0
.0
%
):
1,478
Certara,
Inc.*
26,427
2,123
Doximity,
Inc.,
Class
A*
57,130
5,216
Teladoc
Health,
Inc.*
78,761
162,318
Hotel
&
Resort
REITs
(
0
.1
%
):
22,030
Host
Hotels
&
Resorts,
Inc.
455,580
6,446
Park
Hotels
&
Resorts,
Inc.
112,741
568,321
Hotels,
Restaurants
&
Leisure
(
1
.4
%
):
7,188
Aramark
233,754
2,455
Boyd
Gaming
Corp.
165,271
3,698
Caesars
Entertainment,
Inc.*
161,750
31,317
Carnival
Corp.*
511,720
1,960
Darden
Restaurants,
Inc.
327,614
2,082
DoorDash,
Inc.,
Class
A*
286,733
1,185
Expedia
Group,
Inc.*
163,234
4,280
Hilton
Worldwide
Holdings,
Inc.
912,967
1,388
Hyatt
Hotels
Corp.,
Class
A
221,553
769
Las
Vegas
Sands
Corp.
39,757
1,156
Marriott
Vacations
Worldwide
Corp.
124,536
13,512
McDonald's
Corp.
3,809,708
8,904
MGM
Resorts
International*
420,358
9,874
Norwegian
Cruise
Line
Holdings,
Ltd.*
206,663
4,711
Penn
Entertainment,
Inc.*
85,787
Shares
Value
Common
Stocks,
continued
Hotels,
Restaurants
&
Leisure,
continued
1,523
Planet
Fitness,
Inc.,
Class
A*
$
95,385
5,226
Royal
Caribbean
Cruises,
Ltd.*
726,466
1,387
Travel
+
Leisure
Co.
67,908
1,056
Vail
Resorts,
Inc.
235,308
2,424
Wyndham
Hotels
&
Resorts,
Inc.
186,042
3,081
Wynn
Resorts,
Ltd.
314,971
1,026
Yum!
Brands,
Inc.
142,255
9,439,740
Household
Durables
(
1
.0
%
):
9,550
D.R.
Horton,
Inc.
1,571,452
4,900
Garmin,
Ltd.
729,463
4,046
Leggett
&
Platt,
Inc.
77,481
7,641
Lennar
Corp.,
Class
A
1,314,099
370
Lennar
Corp.,
Class
B
57,047
1,668
Mohawk
Industries,
Inc.*
218,325
10,966
Newell
Brands,
Inc.
88,057
85
NVR,
Inc.*
688,497
6,715
PulteGroup,
Inc.
809,963
4,154
Tempur
Sealy
International,
Inc.
236,030
3,329
Toll
Brothers,
Inc.
430,673
949
TopBuild
Corp.*
418,253
1,772
Whirlpool
Corp.
211,984
6,851,324
Household
Products
(
1
.8
%
):
2,671
BJ's
Wholesale
Club
Holdings,
Inc.*
202,061
868
Church
&
Dwight
Co.,
Inc.
90,541
25,850
Colgate-Palmolive
Co.
2,327,793
680
Kimberly-Clark
Corp.
87,958
60,339
Procter
&
Gamble
Co.
(The)
9,790,003
1,638
Reynolds
Consumer
Products,
Inc.
46,781
1,133
Spectrum
Brands
Holdings,
Inc.
100,848
12,645,985
Independent
Power
and
Renewable
Electricity
Producers
(
0
.1
%
):
8,880
AES
Corp.
(The)
159,219
4,588
Brookfield
Renewable
Corp.,
Class
A
112,727
1,184
Clearway
Energy,
Inc.,
Class
A
25,468
2,799
Clearway
Energy,
Inc.,
Class
C
64,517
7,728
Vistra
Corp.
538,255
900,186
Industrial
Conglomerates
(
1
.7
%
):
17,308
3M
Co.
1,835,860
34,219
General
Electric
Co.
6,006,461
18,304
Honeywell
International,
Inc.
3,756,896
11,599,217
Industrial
REITs
(
0
.7
%
):
8,307
Americold
Realty
Trust,
Inc.
207,010
1,478
EastGroup
Properties,
Inc.
265,700
4,343
First
Industrial
Realty
Trust,
Inc.
228,181
29,118
Prologis,
Inc.
3,791,746
6,599
Rexford
Industrial
Realty,
Inc.
331,930
5,632
STAG
Industrial,
Inc.
216,494
5,041,061
AZL
Russell
1000
Value
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
190
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Insurance
(
4
.1
%
):
18,312
Aflac,
Inc.
$
1,572,268
8,228
Allstate
Corp.
(The)
1,423,526
2,258
American
Financial
Group,
Inc.
308,172
22,149
American
International
Group,
Inc.
1,731,387
6,233
Aon
plc,
Class
A
2,080,077
9,781
Arch
Capital
Group,
Ltd.*
904,156
6,332
Arthur
J.
Gallagher
&
Co.
1,583,253
1,684
Assurant,
Inc.
316,996
1,766
Assured
Guaranty,
Ltd.
154,084
2,470
Axis
Capital
Holdings,
Ltd.
160,599
2,027
Brighthouse
Financial,
Inc.*
104,472
4,453
Brown
&
Brown,
Inc.
389,816
12,815
Chubb,
Ltd.
3,320,751
4,779
Cincinnati
Financial
Corp.
593,408
980
CNA
Financial
Corp.
44,512
1,143
Everest
Group,
Ltd.
454,342
8,316
Fidelity
National
Financial,
Inc.
441,580
3,299
First
American
Financial
Corp.
201,404
2,695
Globe
Life,
Inc.
313,617
1,107
Hanover
Insurance
Group,
Inc.
(The)
150,740
9,356
Hartford
Financial
Services
Group,
Inc.
(The)
964,136
1,875
Kemper
Corp.
116,100
4,835
Lincoln
National
Corp.
154,382
5,821
Loews
Corp.
455,726
408
Markel
Group,
Inc.*
620,764
3,078
Marsh
&
McLennan
Cos.,
Inc.
634,006
19,670
MetLife,
Inc.
1,457,744
8,555
Old
Republic
International
Corp.
262,810
435
Primerica,
Inc.
110,038
7,659
Principal
Financial
Group,
Inc.
661,048
4,653
Progressive
Corp.
(The)
962,333
11,394
Prudential
Financial,
Inc.
1,337,656
2,146
Reinsurance
Group
of
America,
Inc.
413,920
1,148
RenaissanceRe
Holdings,
Ltd.
269,814
932
RLI
Corp.
138,374
7,207
Travelers
Cos.,
Inc.
(The)
1,658,619
5,286
Unum
Group
283,647
6,228
W
R
Berkley
Corp.
550,804
77
White
Mountains
Insurance
Group,
Ltd.
138,161
2,848
Willis
Towers
Watson
plc
783,200
28,222,442
Interactive
Media
&
Services
(
0
.0
%
):
2,387
IAC,
Inc.*
127,323
407
Match
Group,
Inc.*
14,766
3,372
TripAdvisor,
Inc.*
93,708
5,149
ZoomInfo
Technologies,
Inc.*
82,538
318,335
IT
Services
(
1
.3
%
):
4,808
Akamai
Technologies,
Inc.*
522,918
3,689
Amdocs,
Ltd.
333,375
15,754
Cognizant
Technology
Solutions
Corp.,
Class
A
1,154,611
6,612
DXC
Technology
Co.*
140,240
1,876
GoDaddy,
Inc.,
Class
A*
222,644
28,679
International
Business
Machines
Corp.
5,476,542
7,343
Kyndryl
Holdings,
Inc.*
159,784
4,462
Okta,
Inc.*
466,814
4,484
Twilio,
Inc.,
Class
A*
274,196
Shares
Value
Common
Stocks,
continued
IT
Services,
continued
2,611
VeriSign,
Inc.*
$
494,811
9,245,935
Leisure
Products
(
0
.1
%
):
2,144
Brunswick
Corp.
206,939
4,005
Hasbro,
Inc.
226,362
10,962
Mattel,
Inc.*
217,157
1,680
Polaris,
Inc.
168,202
818,660
Life
Sciences
Tools
&
Services
(
1
.7
%
):
1,739
Agilent
Technologies,
Inc.
253,042
21,320
Avantor,
Inc.*
545,152
1,869
Azenta,
Inc.*
112,663
649
Bio-Rad
Laboratories,
Inc.,
Class
A*
224,470
1,639
Charles
River
Laboratories
International,
Inc.*
444,087
20,774
Danaher
Corp.
5,187,683
3,093
Fortrea
Holdings,
Inc.*
124,153
2,164
ICON
plc*
726,996
3,532
Illumina,
Inc.*
485,014
460
IQVIA
Holdings,
Inc.*
116,329
6,987
QIAGEN
NV*
300,371
956
Repligen
Corp.*
175,828
4,001
Revvity,
Inc.
420,105
4,674
Thermo
Fisher
Scientific,
Inc.
2,716,576
11,832,469
Machinery
(
2
.8
%
):
1,936
AGCO
Corp.
238,167
2,482
Allison
Transmission
Holdings,
Inc.
201,439
4,004
Caterpillar,
Inc.
1,467,186
30,278
CNH
Industrial
NV*
392,403
1,504
Crane
Co.
203,236
4,297
Cummins,
Inc.
1,266,111
558
Deere
&
Co.
229,193
2,147
Donaldson
Co.,
Inc.
160,338
4,363
Dover
Corp.
773,080
1,821
Esab
Corp.
201,348
4,196
Flowserve
Corp.
191,673
11,087
Fortive
Corp.
953,704
3,877
Gates
Industrial
Corp.
plc*
68,662
3,140
Graco,
Inc.
293,464
2,159
IDEX
Corp.
526,839
1,761
Illinois
Tool
Works,
Inc.
472,529
12,773
Ingersoll
Rand,
Inc.
1,212,796
2,623
ITT,
Inc.
356,807
1,651
Middleby
Corp.
(The)*
265,464
1,795
Nordson
Corp.
492,799
1,986
Oshkosh
Corp.
247,674
12,188
Otis
Worldwide
Corp.
1,209,903
16,225
PACCAR,
Inc.
2,010,115
4,032
Parker-Hannifin
Corp.
2,240,945
5,287
Pentair
plc
451,721
890
RBC
Bearings,
Inc.*
240,612
1,637
Snap-on,
Inc.
484,912
4,889
Stanley
Black
&
Decker,
Inc.
478,780
1,945
Timken
Co.
(The)
170,051
5,606
Westinghouse
Air
Brake
Technologies
Corp.
816,682
AZL
Russell
1000
Value
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
191
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Machinery,
continued
6,599
Xylem,
Inc.
$
852,855
19,171,488
Marine
Transportation
(
0
.0
%
):
1,914
Kirby
Corp.*
182,442
Media
(
1
.2
%
):
179
Cable
One,
Inc.
75,740
124,333
Comcast
Corp.,
Class
A
5,389,836
7,998
Fox
Corp.,
Class
A
250,097
4,461
Fox
Corp.,
Class
B
127,674
12,236
Interpublic
Group
of
Cos.,
Inc.
(The)
399,261
335
Liberty
Broadband
Corp.,
Class
A*
19,135
2,940
Liberty
Broadband
Corp.,
Class
C*
168,256
2,062
Liberty
Media
Corp.-Liberty
SiriusXM*
61,241
4,559
Liberty
Media
Corp.-Liberty
SiriusXM*
135,448
5,327
New
York
Times
Co.
(The),
Class
A
230,233
11,853
News
Corp.,
Class
A
310,312
3,460
News
Corp.,
Class
B
93,628
654
Nexstar
Media
Group,
Inc.
112,678
6,277
Omnicom
Group,
Inc.
607,362
33
Paramount
Global,
Class
A
720
18,108
Paramount
Global,
Class
B
213,131
21,218
Sirius
XM
Holdings,
Inc.^
82,326
8,277,078
Metals
&
Mining
(
1
.1
%
):
5,641
Alcoa
Corp.
190,609
16,065
Cleveland-Cliffs,
Inc.*
365,318
45,210
Freeport-McMoRan,
Inc.
2,125,774
3,553
MP
Materials
Corp.*
50,808
36,460
Newmont
Corp.
1,306,727
7,749
Nucor
Corp.
1,533,527
1,817
Reliance,
Inc.
607,205
2,032
Royal
Gold,
Inc.
247,518
6,168
SSR
Mining,
Inc.
27,509
4,748
Steel
Dynamics,
Inc.
703,796
7,025
United
States
Steel
Corp.
286,480
7,445,271
Mortgage
Real
Estate
Investment
Trusts
(REITs)
(
0
.1
%
):
18,499
AGNC
Investment
Corp.
183,140
15,791
Annaly
Capital
Management,
Inc.
310,924
15,555
Rithm
Capital
Corp.
173,594
9,551
Starwood
Property
Trust,
Inc.
194,172
861,830
Multi-Utilities
(
1
.2
%
):
8,277
Ameren
Corp.
612,167
19,914
CenterPoint
Energy,
Inc.
567,350
9,076
CMS
Energy
Corp.
547,646
11,001
Consolidated
Edison,
Inc.
999,001
26,486
Dominion
Energy,
Inc.
1,302,846
6,413
DTE
Energy
Co.
719,154
13,144
NiSource,
Inc.
363,563
15,730
Public
Service
Enterprise
Group,
Inc.
1,050,450
19,880
Sempra
1,427,980
Shares
Value
Common
Stocks,
continued
Multi-Utilities,
continued
9,852
WEC
Energy
Group,
Inc.
$
809,046
8,399,203
Office
REITs
(
0
.2
%
):
5,355
Alexandria
Real
Estate
Equities,
Inc.
690,313
4,994
Boston
Properties,
Inc.
326,158
4,629
Cousins
Properties,
Inc.
111,281
3,732
Highwoods
Properties,
Inc.
97,704
3,559
Kilroy
Realty
Corp.
129,654
476
NET
Lease
Office
Properties
11,329
5,487
Vornado
Realty
Trust
157,861
1,524,300
Oil,
Gas
&
Consumable
Fuels
(
7
.3
%
):
7,715
Antero
Midstream
Corp.
108,473
9,050
Antero
Resources
Corp.*
262,450
3,029
APA
Corp.
104,137
3,882
Chesapeake
Energy
Corp.
344,838
54,311
Chevron
Corp.
8,567,017
37,816
ConocoPhillips
4,813,221
23,751
Coterra
Energy,
Inc.
662,178
20,244
Devon
Energy
Corp.
1,015,844
5,661
Diamondback
Energy,
Inc.
1,121,840
3,110
DT
Midstream,
Inc.
190,021
18,504
EOG
Resources,
Inc.
2,365,551
11,305
EQT
Corp.
419,076
126,232
Exxon
Mobil
Corp.
14,673,208
3,810
Hess
Corp.
581,558
4,500
HF
Sinclair
Corp.
271,665
61,461
Kinder
Morgan,
Inc.
1,127,195
18,757
Marathon
Oil
Corp.
531,573
11,606
Marathon
Petroleum
Corp.
2,338,609
21,619
Occidental
Petroleum
Corp.
1,405,019
17,296
ONEOK,
Inc.
1,386,620
4,618
Ovintiv,
Inc.
239,674
13,874
Phillips
66
2,266,179
7,364
Pioneer
Natural
Resources
Co.
1,933,050
7,494
Range
Resources
Corp.
258,018
33,751
Southwestern
Energy
Co.*
255,833
10,711
Valero
Energy
Corp.
1,828,261
38,208
Williams
Cos.,
Inc.
(The)
1,488,966
50,560,074
Paper
&
Forest
Products
(
0
.0
%
):
1,965
Louisiana-Pacific
Corp.
164,883
Passenger
Airlines
(
0
.3
%
):
3,933
Alaska
Air
Group,
Inc.*
169,080
12,599
American
Airlines
Group,
Inc.*
193,395
19,305
Delta
Air
Lines,
Inc.
924,130
18,660
Southwest
Airlines
Co.
544,685
10,470
United
Airlines
Holdings,
Inc.*
501,304
2,332,594
Personal
Care
Products
(
0
.2
%
):
12,626
Coty,
Inc.,
Class
A*
151,007
4,980
Estee
Lauder
Cos.,
Inc.
(The)
767,667
36,585
Kenvue,
Inc.
785,114
1,703,788
AZL
Russell
1000
Value
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
192
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Pharmaceuticals
(
4
.5
%
):
64,264
Bristol-Myers
Squibb
Co.
$
3,485,037
5,708
Catalent,
Inc.*
322,217
16,000
Elanco
Animal
Health,
Inc.*
260,480
1,005
Jazz
Pharmaceuticals
plc*
121,022
76,069
Johnson
&
Johnson
12,033,355
65,422
Merck
&
Co.,
Inc.
8,632,433
8,008
Organon
&
Co.
150,550
4,233
Perrigo
Co.
plc
136,260
178,346
Pfizer,
Inc.
4,949,102
12,006
Royalty
Pharma
plc,
Class
A
364,622
37,436
Viatris,
Inc.
446,986
30,902,064
Professional
Services
(
0
.7
%
):
1,848
Automatic
Data
Processing,
Inc.
461,520
657
Broadridge
Financial
Solutions,
Inc.
134,593
716
CACI
International,
Inc.,
Class
A*
271,242
14,382
Clarivate
plc*
106,858
1,527
Concentrix
Corp.
101,118
4,356
Dayforce,
Inc.*
288,411
9,034
Dun
&
Bradstreet
Holdings,
Inc.
90,701
1,195
Equifax,
Inc.
319,687
824
FTI
Consulting,
Inc.*
173,279
4,016
Genpact,
Ltd.
132,327
3,959
Jacobs
Solutions,
Inc.
608,617
2,582
KBR,
Inc.
164,370
4,285
Leidos
Holdings,
Inc.
561,721
1,549
ManpowerGroup,
Inc.
120,264
838
Paycor
HCM,
Inc.*
16,291
3,358
Robert
Half,
Inc.
266,222
1,641
Science
Applications
International
Corp.
213,970
6,765
SS&C
Technologies
Holdings,
Inc.
435,463
6,054
TransUnion
483,109
4,949,763
Real
Estate
Management
&
Development
(
0
.3
%
):
9,632
CBRE
Group,
Inc.,
Class
A*
936,616
7,186
CoStar
Group,
Inc.*
694,167
1,072
Howard
Hughes
Holdings,
Inc.*
77,849
1,481
Jones
Lang
LaSalle,
Inc.*
288,928
1,901
Zillow
Group,
Inc.,
Class
A*
90,982
4,878
Zillow
Group,
Inc.,
Class
C*
237,949
2,326,491
Residential
REITs
(
0
.7
%
):
10,518
American
Homes
4
Rent,
Class
A
386,852
4,943
Apartment
Income
REIT
Corp.
160,499
4,447
AvalonBay
Communities,
Inc.
825,185
3,205
Camden
Property
Trust
315,372
3,820
Equity
LifeStyle
Properties,
Inc.
246,008
11,701
Equity
Residential
738,450
1,986
Essex
Property
Trust,
Inc.
486,193
19,607
Invitation
Homes,
Inc.
698,205
3,709
Mid-America
Apartment
Communities,
Inc.
488,030
2,974
Sun
Communities,
Inc.
382,397
9,550
UDR,
Inc.
357,266
5,084,457
Retail
REITs
(
0
.6
%
):
3,041
Agree
Realty
Corp.
173,702
Shares
Value
Common
Stocks,
continued
Retail
REITs,
continued
9,829
Brixmor
Property
Group,
Inc.
$
230,490
2,484
Federal
Realty
Investment
Trust
253,666
20,287
Kimco
Realty
Corp.
397,828
5,895
NNN
REIT,
Inc.
251,952
26,161
Realty
Income
Corp.
1,415,310
5,818
Regency
Centers
Corp.
352,338
8,059
Simon
Property
Group,
Inc.
1,261,153
4,336,439
Semiconductors
&
Semiconductor
Equipment
(
4
.1
%
):
21,806
Advanced
Micro
Devices,
Inc.*
3,935,765
15,718
Analog
Devices,
Inc.
3,108,863
4,101
Applied
Materials,
Inc.
845,749
1,708
Cirrus
Logic,
Inc.*
158,092
4,471
Entegris,
Inc.
628,354
3,378
First
Solar,
Inc.*
570,206
2,680
GLOBALFOUNDRIES,
Inc.*^
139,655
133,191
Intel
Corp.
5,883,046
217
Lam
Research
Corp.
210,831
26,962
Marvell
Technology,
Inc.
1,911,067
4,795
Microchip
Technology,
Inc.
430,159
34,494
Micron
Technology,
Inc.
4,066,498
2,059
MKS
Instruments,
Inc.
273,847
13,640
ON
Semiconductor
Corp.*
1,003,222
3,049
Qorvo,
Inc.*
350,117
4,452
QUALCOMM,
Inc.
753,724
5,031
Skyworks
Solutions,
Inc.
544,958
890
Teradyne,
Inc.
100,419
16,962
Texas
Instruments,
Inc.
2,954,950
875
Universal
Display
Corp.
147,394
4,106
Wolfspeed,
Inc.*
121,127
28,138,043
Software
(
1
.7
%
):
459
ANSYS,
Inc.*
159,346
4,848
AppLovin
Corp.,
Class
A*
335,579
857
Aspen
Technology,
Inc.*
182,781
3,385
BILL
Holdings,
Inc.*
232,617
10,677
CCC
Intelligent
Solutions
Holdings,
Inc.*
127,697
172
Corpay,
Inc.*
53,069
1,963
Dolby
Laboratories,
Inc.,
Class
A
164,440
959
Dropbox,
Inc.,
Class
A*
23,304
14,931
Gen
Digital,
Inc.
334,454
2,534
Guidewire
Software,
Inc.*
295,743
1,028
HashiCorp,
Inc.,
Class
A*
27,705
397
Informatica,
Inc.,
Class
A*
13,895
1,661
nCino,
Inc.*
62,088
4,330
NCR
Voyix
Corp.*
54,688
5,486
Nutanix,
Inc.,
Class
A*
338,596
28,682
Oracle
Corp.
3,602,746
1,773
PTC,
Inc.*
334,991
3,334
Roper
Technologies,
Inc.
1,869,841
7,266
Salesforce,
Inc.
2,188,374
5,569
SentinelOne,
Inc.,
Class
A*
129,813
347
Tyler
Technologies,
Inc.*
147,478
2,991
UiPath,
Inc.,
Class
A*
67,806
5,390
Unity
Software,
Inc.*
143,913
8,180
Zoom
Video
Communications,
Inc.,
Class
A*
534,727
11,425,691
AZL
Russell
1000
Value
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
193
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Specialized
REITs
(
1
.4
%
):
12,288
Crown
Castle,
Inc.
$
1,300,439
7,111
CubeSmart
321,559
9,573
Digital
Realty
Trust,
Inc.
1,378,895
2,252
EPR
Properties
95,597
1,465
Equinix,
Inc.
1,209,109
6,581
Extra
Space
Storage,
Inc.
967,407
7,917
Gaming
and
Leisure
Properties,
Inc.
364,736
4,689
Iron
Mountain,
Inc.
376,105
680
Lamar
Advertising
Co.,
Class
A
81,199
2,479
National
Storage
Affiliates
Trust
97,078
2,104
Public
Storage
610,286
4,571
Rayonier,
Inc.
151,940
3,031
SBA
Communications
Corp.
656,818
32,915
VICI
Properties,
Inc.
980,538
23,230
Weyerhaeuser
Co.
834,189
9,425,895
Specialty
Retail
(
0
.8
%
):
1,989
Advance
Auto
Parts,
Inc.
169,244
905
AutoNation,
Inc.*
149,850
89
AutoZone,
Inc.*
280,497
7,228
Bath
&
Body
Works,
Inc.
361,545
5,218
Best
Buy
Co.,
Inc.
428,032
4,727
CarMax,
Inc.*
411,769
1,645
Dick's
Sporting
Goods,
Inc.
369,895
8,551
GameStop
Corp.,
Class
A*^
107,058
6,032
Gap,
Inc.
(The)
166,182
841
Lithia
Motors,
Inc.
253,023
4,914
Lowe's
Cos.,
Inc.
1,251,743
277
O'Reilly
Automotive,
Inc.*
312,700
686
Penske
Automotive
Group,
Inc.
111,125
2,533
Petco
Health
&
Wellness
Co.,
Inc.*
5,775
393
RH*
136,866
769
Ross
Stores,
Inc.
112,858
3,253
Valvoline,
Inc.*
144,986
812
Victoria's
Secret
&
Co.*
15,737
1,827
Wayfair,
Inc.,
Class
A*
124,017
1,732
Williams-Sonoma,
Inc.
549,962
5,462,864
Technology
Hardware,
Storage
&
Peripherals
(
0
.4
%
):
40,158
Hewlett
Packard
Enterprise
Co.
712,001
21,530
HP,
Inc.
650,637
3,926
NetApp,
Inc.
412,112
2,095
Pure
Storage,
Inc.,
Class
A*
108,919
10,161
Western
Digital
Corp.*
693,387
2,577,056
Textiles,
Apparel
&
Luxury
Goods
(
0
.5
%
):
689
Birkenstock
Holding
plc*^
32,555
3,615
Capri
Holdings,
Ltd.*
163,760
1,080
Carter's,
Inc.
91,454
1,049
Columbia
Sportswear
Co.
85,158
Shares
Value
Common
Stocks,
continued
Textiles,
Apparel
&
Luxury
Goods,
continued
17,315
NIKE,
Inc.,
Class
B
$
1,627,264
1,926
PVH
Corp.
270,815
1,294
Ralph
Lauren
Corp.
242,961
4,081
Skechers
USA,
Inc.,
Class
A*
250,002
6,626
Tapestry,
Inc.
314,602
6,770
Under
Armour,
Inc.,
Class
A*
49,963
7,090
Under
Armour,
Inc.,
Class
C*
50,623
11,574
VF
Corp.
177,545
3,356,702
Tobacco
(
1
.0
%
):
56,375
Altria
Group,
Inc.
2,459,078
48,983
Philip
Morris
International,
Inc.
4,487,822
6,946,900
Trading
Companies
&
Distributors
(
0
.6
%
):
3,261
Air
Lease
Corp.
167,746
5,471
Core
&
Main,
Inc.,
Class
A*
313,215
4,600
Fastenal
Co.
354,844
6,136
Ferguson
plc
1,340,286
1,458
MSC
Industrial
Direct
Co.,
Inc.
141,484
913
SiteOne
Landscape
Supply,
Inc.*
159,364
1,712
United
Rentals,
Inc.
1,234,540
805
Watsco,
Inc.
347,736
1,391
WESCO
International,
Inc.
238,251
4,297,466
Water
Utilities
(
0
.2
%
):
6,221
American
Water
Works
Co.,
Inc.
760,268
7,790
Essential
Utilities,
Inc.
288,620
1,048,888
Wireless
Telecommunication
Services
(
0
.4
%
):
15,446
T-Mobile
US,
Inc.
2,521,096
Total
Common
Stocks
(Cost
$448,940,008)
689,516,759
Affiliated
Investment
Company
(
0
.1
%
):
Money
Market
(
0
.1
%
):
721,686
BlackRock
Liquidity
FedFund,
Institutional
Class+(a)
(b)
721,686
Total
Affiliated
Investment
Company
(Cost
$721,686)
721,686
Unaffiliated
Investment
Company
(
0
.3
%
):
Money
Markets
(
0
.3
%
):
2,252,637
Dreyfus
Treasury
Securities
Cash
Management
Fund,
Institutional
Shares,
5.19%(b)
2,252,637
Total
Unaffiliated
Investment
Company
(Cost
$2,252,637)
2,252,637
Total
Investment
Securities
(Cost
$451,914,331)
100.0%
692,491,082
Net
other
assets
(liabilities)
0.0%
(
122,028
)
Net
Assets
100.0%
$
692,369,054
REIT—Real
Estate
Investment
Trust
*
Non-income
producing
security.
^
This
security
or
a
partial
position
of
this
security
was
on
loan
as
of
March
31,
2024.
The
total
value
of
securities
on
loan
as
of
March
31,
2024
was
$689,972.
+
Affiliated
Securities
Represents
less
than
0.05%.
AZL
Russell
1000
Value
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
194
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Percentages
indicated
are
based
on
net
assets
as
of
March
31,
2024.
(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
March
31,
2024.
(b)
The
rate
represents
the
effective
yield
at
March
31,
2024.
Amounts
shown
as
“—“
are
either
$0
or
round
to
less
than
$1.
Futures
Contracts
At
March
31,
2024,
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
June
Futures
(U.S.
Dollar)
6/21/24
6
$
1,592,550‌
$
30,843‌
S&P
Midcap
400
E-Mini
June
Futures
(U.S.
Dollar)
6/21/24
5
1,538,700‌
53,640‌
$
84,483‌
AZL
S&P
500
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
195
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks
(99.5%):
Aerospace
&
Defense
(1.5%):
4,131
Axon
Enterprise,
Inc.*
$
1,292,507
34,542
Boeing
Co.
(The)*
6,666,261
13,641
General
Dynamics
Corp.
3,853,446
23,646
Howmet
Aerospace,
Inc.
1,618,096
2,526
Huntington
Ingalls
Industries,
Inc.
736,253
11,430
L3Harris
Technologies,
Inc.
2,435,733
13,062
Lockheed
Martin
Corp.
5,941,512
8,519
Northrop
Grumman
Corp.
4,077,704
79,743
RTX
Corp.
7,777,335
11,783
Textron,
Inc.
1,130,343
3,353
TransDigm
Group,
Inc.
4,129,555
39,658,745
Air
Freight
&
Logistics
(0.4%):
7,015
CH
Robinson
Worldwide,
Inc.
534,122
7,932
Expeditors
International
of
Washington,
Inc.
964,293
13,978
FedEx
Corp.
4,049,986
43,322
United
Parcel
Service,
Inc.,
Class
B
6,438,949
11,987,350
Automobile
Components
(0.1%):
16,490
Aptiv
plc*
1,313,428
13,763
BorgWarner,
Inc.
478,127
1,791,555
Automobiles
(1.3%):
233,807
Ford
Motor
Co.
3,104,957
70,115
General
Motors
Co.
3,179,715
166,831
Tesla,
Inc.*
29,327,222
35,611,894
Banks
(3.3%):
414,550
Bank
of
America
Corp.
15,719,736
114,214
Citigroup,
Inc.
7,222,893
28,247
Citizens
Financial
Group,
Inc.
1,025,084
8,188
Comerica,
Inc.
450,258
41,406
Fifth
Third
Bancorp
1,540,717
85,472
Huntington
Bancshares,
Inc.
1,192,335
174,071
JPMorgan
Chase
&
Co.
34,866,421
56,560
KeyCorp
894,214
10,232
M&T
Bank
Corp.
1,488,142
23,895
PNC
Financial
Services
Group,
Inc.
(The)
3,861,432
55,346
Regions
Financial
Corp.
1,164,480
80,450
Truist
Financial
Corp.
3,135,941
93,721
US
Bancorp
4,189,329
216,691
Wells
Fargo
&
Co.
12,559,410
89,310,392
Beverages
(1.4%):
10,695
Brown-Forman
Corp.,
Class
B
552,076
234,286
Coca-Cola
Co.
(The)
14,333,617
9,625
Constellation
Brands,
Inc.,
Class
A
2,615,690
60,704
Keurig
Dr
Pepper,
Inc.
1,861,792
11,520
Molson
Coors
Beverage
Co.,
Class
B
774,720
44,540
Monster
Beverage
Corp.*
2,640,331
82,756
PepsiCo,
Inc.
14,483,128
37,261,354
Shares
Value
Common
Stocks,
continued
Biotechnology
(1.9%):
106,305
AbbVie,
Inc.
$
19,358,141
32,207
Amgen,
Inc.
9,157,094
8,671
Biogen,
Inc.*
1,869,728
74,353
Gilead
Sciences,
Inc.
5,446,357
11,132
Incyte
Corp.*
634,190
20,464
Moderna,
Inc.*
2,180,644
6,333
Regeneron
Pharmaceuticals,
Inc.*
6,095,449
15,516
Vertex
Pharmaceuticals,
Inc.*
6,485,843
51,227,446
Broadline
Retail
(3.8%):
550,383
Amazon.com,
Inc.*
99,278,086
31,408
eBay,
Inc.
1,657,714
7,414
Etsy,
Inc.*
509,490
101,445,290
Building
Products
(0.5%):
7,599
A
O
Smith
Corp.
679,806
5,393
Allegion
plc
726,491
7,541
Builders
FirstSource,
Inc.*
1,572,676
49,171
Carrier
Global
Corp.
2,858,310
41,039
Johnson
Controls
International
plc
2,680,667
13,527
Masco
Corp.
1,067,010
13,679
Trane
Technologies
plc
4,106,436
13,691,396
Capital
Markets
(2.8%):
6,107
Ameriprise
Financial,
Inc.
2,677,553
46,567
Bank
of
New
York
Mellon
Corp.
(The)
2,683,191
8,393
BlackRock,
Inc.+
6,997,244
43,351
Blackstone,
Inc.
5,695,021
6,359
Cboe
Global
Markets,
Inc.
1,168,339
89,522
Charles
Schwab
Corp.
(The)
6,476,021
21,386
CME
Group,
Inc.
4,604,192
2,398
FactSet
Research
Systems,
Inc.
1,089,627
16,966
Franklin
Resources,
Inc.
476,914
19,635
Goldman
Sachs
Group,
Inc.
(The)
8,201,343
34,811
Intercontinental
Exchange,
Inc.
4,784,076
25,144
Invesco,
Ltd.
417,139
2,456
MarketAxess
Holdings,
Inc.
538,478
9,604
Moody's
Corp.
3,774,660
75,238
Morgan
Stanley
7,084,410
4,770
MSCI,
Inc.
2,673,347
22,790
Nasdaq,
Inc.
1,438,049
12,051
Northern
Trust
Corp.
1,071,575
10,507
Raymond
James
Financial,
Inc.
1,349,309
19,328
S&P
Global,
Inc.
8,223,098
18,389
State
Street
Corp.
1,421,837
13,528
T.
Rowe
Price
Group,
Inc.
1,649,334
74,494,757
Chemicals
(1.6%):
13,286
Air
Products
and
Chemicals,
Inc.
3,218,799
7,164
Albemarle
Corp.
943,785
6,225
Celanese
Corp.
1,069,828
11,387
CF
Industries
Holdings,
Inc.
947,512
41,795
Corteva,
Inc.
2,410,318
42,434
Dow,
Inc.
2,458,202
25,545
DuPont
de
Nemours,
Inc.
1,958,535
AZL
S&P
500
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
196
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Chemicals,
continued
7,370
Eastman
Chemical
Co.
$
738,621
15,254
Ecolab,
Inc.
3,522,149
7,350
FMC
Corp.
468,195
14,951
International
Flavors
&
Fragrances,
Inc.
1,285,636
29,196
Linde
plc
13,556,287
15,378
LyondellBasell
Industries
NV,
Class
A
1,572,862
20,154
Mosaic
Co.
(The)
654,199
14,133
PPG
Industries,
Inc.
2,047,872
14,299
Sherwin-Williams
Co.
(The)
4,966,472
41,819,272
Commercial
Services
&
Supplies
(0.6%):
5,147
Cintas
Corp.
3,536,144
52,274
Copart,
Inc.*
3,027,710
11,859
Republic
Services,
Inc.
2,270,287
15,853
Rollins,
Inc.
733,518
12,923
Veralto
Corp.
1,145,753
22,274
Waste
Management,
Inc.
4,747,703
15,461,115
Communications
Equipment
(0.8%):
15,169
Arista
Networks,
Inc.*
4,398,706
244,666
Cisco
Systems,
Inc.
12,211,280
3,669
F5,
Inc.*
695,606
19,462
Juniper
Networks,
Inc.
721,262
9,767
Motorola
Solutions,
Inc.
3,467,090
21,493,944
Construction
&
Engineering
(0.1%):
8,616
Quanta
Services,
Inc.
2,238,437
Construction
Materials
(0.2%):
3,755
Martin
Marietta
Materials,
Inc.
2,305,345
8,072
Vulcan
Materials
Co.
2,203,010
4,508,355
Consumer
Finance
(0.5%):
34,376
American
Express
Co.
7,827,071
23,139
Capital
One
Financial
Corp.
3,445,166
15,241
Discover
Financial
Services
1,997,943
24,420
Synchrony
Financial
1,052,990
14,323,170
Consumer
Staples
Distribution
&
Retail
(1.8%):
26,717
Costco
Wholesale
Corp.
19,573,676
13,356
Dollar
General
Corp.
2,084,337
12,203
Dollar
Tree,
Inc.*
1,624,830
39,988
Kroger
Co.
(The)
2,284,515
30,395
Sysco
Corp.
2,467,466
27,466
Target
Corp.
4,867,250
43,499
Walgreens
Boots
Alliance,
Inc.
943,493
257,743
Walmart,
Inc.
15,508,396
49,353,963
Containers
&
Packaging
(0.2%):
87,128
Amcor
plc
828,587
4,719
Avery
Dennison
Corp.
1,053,517
18,723
Ball
Corp.
1,261,181
20,189
International
Paper
Co.
787,775
5,282
Packaging
Corp.
of
America
1,002,418
Shares
Value
Common
Stocks,
continued
Containers
&
Packaging,
continued
14,967
Westrock
Co.
$
740,118
5,673,596
Distributors
(0.1%):
8,295
Genuine
Parts
Co.
1,285,144
15,877
LKQ
Corp.
847,991
2,275
Pool
Corp.
917,962
3,051,097
Diversified
Telecommunication
Services
(0.7%):
428,771
AT&T,
Inc.
7,546,370
253,144
Verizon
Communications,
Inc.
10,621,922
18,168,292
Electric
Utilities
(1.5%):
15,653
Alliant
Energy
Corp.
788,911
31,896
American
Electric
Power
Co.,
Inc.
2,746,246
19,285
Constellation
Energy
Corp.
3,564,832
46,423
Duke
Energy
Corp.
4,489,568
23,678
Edison
International
1,674,745
11,774
Entergy
Corp.
1,244,276
14,374
Evergy,
Inc.
767,284
20,804
Eversource
Energy
1,243,455
60,456
Exelon
Corp.
2,271,332
30,781
FirstEnergy
Corp.
1,188,762
122,917
NextEra
Energy,
Inc.
7,855,626
14,002
NRG
Energy,
Inc.
947,795
127,400
PG&E
Corp.
2,135,224
7,164
Pinnacle
West
Capital
Corp.
535,366
44,669
PPL
Corp.
1,229,738
65,667
Southern
Co.
(The)
4,710,951
33,016
Xcel
Energy,
Inc.
1,774,610
39,168,721
Electrical
Equipment
(0.7
%):
14,075
AMETEK,
Inc.
2,574,318
24,042
Eaton
Corp.
plc
7,517,453
34,493
Emerson
Electric
Co.
3,912,196
3,552
Generac
Holdings,
Inc.*
448,049
3,158
Hubbell,
Inc.
1,310,728
6,931
Rockwell
Automation,
Inc.
2,019,208
17,781,952
Electronic
Equipment,
Instruments
&
Components
(0.6%):
36,047
Amphenol
Corp.,
Class
A
4,158,021
8,126
CDW
Corp.
2,078,468
46,258
Corning,
Inc.
1,524,664
7,674
Jabil,
Inc.
1,027,932
10,620
Keysight
Technologies,
Inc.*
1,660,756
18,566
TE
Connectivity,
Ltd.
2,696,526
2,896
Teledyne
Technologies,
Inc.*
1,243,311
15,543
Trimble,
Inc.*
1,000,347
3,113
Zebra
Technologies
Corp.*
938,383
16,328,408
Energy
Equipment
&
Services
(0.3%):
59,851
Baker
Hughes
Co.
2,005,008
52,612
Halliburton
Co.
2,073,965
AZL
S&P
500
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
197
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Energy
Equipment
&
Services,
continued
86,517
Schlumberger
NV
$
4,741,997
8,820,970
Entertainment
(1.3%):
14,952
Electronic
Arts,
Inc.
1,983,682
8,208
Live
Nation
Entertainment,
Inc.*
868,160
26,026
Netflix,
Inc.*
15,806,371
9,702
Take-Two
Interactive
Software,
Inc.*
1,440,650
110,445
Walt
Disney
Co.
(The)
13,514,050
137,392
Warner
Bros
Discovery,
Inc.*
1,199,432
34,812,345
Financial
Services
(4.2%):
109,551
Berkshire
Hathaway,
Inc.,
Class
B*
46,068,387
36,057
Fidelity
National
Information
Services,
Inc.
2,674,708
36,121
Fiserv,
Inc.*
5,772,858
15,956
Global
Payments,
Inc.
2,132,679
4,422
Jack
Henry
&
Associates,
Inc.
768,234
49,676
Mastercard,
Inc.,
Class
A
23,922,472
64,579
PayPal
Holdings,
Inc.*
4,326,147
95,229
Visa,
Inc.,
Class
A
26,576,509
112,241,994
Food
Products
(0.8%):
32,661
Archer-Daniels-Midland
Co.
2,051,437
8,552
Bunge
Global
SA
876,751
11,271
Campbell
Soup
Co.
500,996
29,633
Conagra
Brands,
Inc.
878,322
34,491
General
Mills,
Inc.
2,413,335
8,814
Hershey
Co.
(The)
1,714,323
18,096
Hormel
Foods
Corp.
631,369
6,514
JM
Smucker
Co.
(The)
819,917
15,875
Kellanova
909,479
48,284
Kraft
Heinz
Co.
(The)
1,781,680
8,824
Lamb
Weston
Holdings,
Inc.
940,021
15,364
McCormick
&
Co.,
Inc.
1,180,109
80,671
Mondelez
International,
Inc.,
Class
A
5,646,970
17,855
Tyson
Foods,
Inc.,
Class
A
1,048,624
21,393,333
Gas
Utilities
(0.0%
):
9,056
Atmos
Energy
Corp.
1,076,487
Ground
Transportation
(1.1%):
118,789
CSX
Corp.
4,403,508
5,098
JB
Hunt
Transport
Services,
Inc.
1,015,776
13,548
Norfolk
Southern
Corp.
3,452,979
10,646
Old
Dominion
Freight
Line,
Inc.
2,334,774
124,546
Uber
Technologies,
Inc.*
9,588,797
36,715
Union
Pacific
Corp.
9,029,320
29,825,154
Health
Care
Equipment
&
Supplies
(2.6%):
104,516
Abbott
Laboratories
11,879,289
3,981
Align
Technology,
Inc.*
1,305,449
31,472
Baxter
International,
Inc.
1,345,113
17,204
Becton
Dickinson
&
Co.
4,257,130
Becton,
Dickinson
&
Co.
88,747
Boston
Scientific
Corp.*
6,078,282
11,912
Cooper
Cos.,
Inc.
(The)
1,208,591
Shares
Value
Common
Stocks,
continued
Health
Care
Equipment
&
Supplies,
continued
12,717
DENTSPLY
SIRONA,
Inc.
$
422,077
22,989
Dexcom,
Inc.*
3,188,574
36,755
Edwards
Lifesciences
Corp.*
3,512,308
25,668
GE
HealthCare
Technologies,
Inc.
2,333,478
14,086
Hologic,
Inc.*
1,098,145
4,953
IDEXX
Laboratories,
Inc.*
2,674,273
4,375
Insulet
Corp.*
749,875
21,214
Intuitive
Surgical,
Inc.*
8,466,295
80,522
Medtronic
plc
7,017,492
8,833
ResMed,
Inc.
1,749,199
6,030
STERIS
plc
1,355,665
20,480
Stryker
Corp.
7,329,178
2,833
Teleflex,
Inc.
640,740
12,481
Zimmer
Biomet
Holdings,
Inc.
1,647,242
68,258,395
Health
Care
Providers
&
Services
(2.6%):
14,523
Cardinal
Health,
Inc.
1,625,124
10,023
Cencora,
Inc.
2,435,489
32,266
Centene
Corp.*
2,532,236
17,612
Cigna
Group
(The)
6,396,502
75,378
CVS
Health
Corp.
6,012,149
3,162
DaVita,
Inc.*
436,514
14,077
Elevance
Health,
Inc.
7,299,487
11,938
HCA
Healthcare,
Inc.
3,981,681
7,696
Henry
Schein,
Inc.*
581,202
7,396
Humana,
Inc.
2,564,341
5,006
Laboratory
Corp.
of
America
Holdings
1,093,611
7,981
McKesson
Corp.
4,284,600
3,610
Molina
Healthcare,
Inc.*
1,483,096
6,571
Quest
Diagnostics,
Inc.
874,666
55,691
UnitedHealth
Group,
Inc.
27,550,338
3,527
Universal
Health
Services,
Inc.,
Class
B
643,536
69,794,572
Health
Care
REITs
(0.2%):
43,471
Healthpeak
Properties,
Inc.
815,081
23,778
Ventas,
Inc.
1,035,294
33,715
Welltower,
Inc.
3,150,330
5,000,705
Hotel
&
Resort
REITs
(0.0%
):
42,055
Host
Hotels
&
Resorts,
Inc.
869,697
Hotels,
Restaurants
&
Leisure
(2.0%):
26,108
Airbnb,
Inc.,
Class
A*
4,306,776
2,098
Booking
Holdings,
Inc.
7,611,292
12,299
Caesars
Entertainment,
Inc.*
537,958
59,415
Carnival
Corp.*
970,841
1,650
Chipotle
Mexican
Grill,
Inc.*
4,796,170
7,382
Darden
Restaurants,
Inc.
1,233,901
2,194
Domino's
Pizza,
Inc.
1,090,155
7,861
Expedia
Group,
Inc.*
1,082,853
15,315
Hilton
Worldwide
Holdings,
Inc.
3,266,843
21,486
Las
Vegas
Sands
Corp.
1,110,826
14,559
Marriott
International,
Inc.,
Class
A
3,673,381
43,708
McDonald's
Corp.
12,323,471
17,222
MGM
Resorts
International*
813,051
26,676
Norwegian
Cruise
Line
Holdings,
Ltd.*
558,329
14,519
Royal
Caribbean
Cruises,
Ltd.*
2,018,286
AZL
S&P
500
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
198
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Hotels,
Restaurants
&
Leisure,
continued
67,898
Starbucks
Corp.
$
6,205,198
6,205
Wynn
Resorts,
Ltd.
634,337
16,945
Yum!
Brands,
Inc.
2,349,424
54,583,092
Household
Durables
(0.4%):
17,885
D.R.
Horton,
Inc.
2,942,977
9,149
Garmin,
Ltd.
1,362,012
14,805
Lennar
Corp.,
Class
A
2,546,164
2,973
Mohawk
Industries,
Inc.*
389,136
198
NVR,
Inc.*
1,603,792
12,644
PulteGroup,
Inc.
1,525,119
10,369,200
Household
Products
(1.2%):
14,699
Church
&
Dwight
Co.,
Inc.
1,533,253
7,420
Clorox
Co.
(The)
1,136,076
49,978
Colgate-Palmolive
Co.
4,500,519
20,518
Kimberly-Clark
Corp.
2,654,003
141,678
Procter
&
Gamble
Co.
(The)
22,987,256
32,811,107
Independent
Power
and
Renewable
Electricity
Producers
(0.0%
):
37,805
AES
Corp.
(The)
677,844
Industrial
Conglomerates
(0.9%):
33,160
3M
Co.
3,517,281
65,530
General
Electric
Co.
11,502,481
39,694
Honeywell
International,
Inc.
8,147,194
23,166,956
Industrial
REITs
(0.3%):
55,549
Prologis,
Inc.
7,233,591
Insurance
(2.2%):
31,530
Aflac,
Inc.
2,707,166
15,911
Allstate
Corp.
(The)
2,752,762
42,448
American
International
Group,
Inc.
3,318,160
12,180
Aon
plc,
Class
A
4,064,710
21,512
Arch
Capital
Group,
Ltd.*
1,988,569
13,099
Arthur
J.
Gallagher
&
Co.
3,275,274
3,113
Assurant,
Inc.
585,991
14,344
Brown
&
Brown,
Inc.
1,255,674
24,402
Chubb,
Ltd.
6,323,290
9,349
Cincinnati
Financial
Corp.
1,160,865
2,625
Everest
Group,
Ltd.
1,043,437
4,938
Globe
Life,
Inc.
574,635
18,236
Hartford
Financial
Services
Group,
Inc.
(The)
1,879,220
10,648
Loews
Corp.
833,632
29,747
Marsh
&
McLennan
Cos.,
Inc.
6,127,287
36,767
MetLife,
Inc.
2,724,802
13,371
Principal
Financial
Group,
Inc.
1,154,051
35,397
Progressive
Corp.
(The)
7,320,808
21,019
Prudential
Financial,
Inc.
2,467,631
13,706
Travelers
Cos.,
Inc.
(The)
3,154,299
11,858
W
R
Berkley
Corp.
1,048,722
6,300
Willis
Towers
Watson
plc
1,732,500
57,493,485
Shares
Value
Common
Stocks,
continued
Interactive
Media
&
Services
(6.1%):
354,824
Alphabet,
Inc.,
Class
A*
$
53,553,586
297,068
Alphabet,
Inc.,
Class
C*
45,231,574
16,648
Match
Group,
Inc.*
603,989
132,467
Meta
Platforms,
Inc.,
Class
A
64,323,326
163,712,475
IT
Services
(1.2%):
37,752
Accenture
plc,
Class
A
13,085,221
8,802
Akamai
Technologies,
Inc.*
957,305
30,423
Cognizant
Technology
Solutions
Corp.,
Class
A
2,229,702
3,578
EPAM
Systems,
Inc.*
988,100
4,688
Gartner,
Inc.*
2,234,629
55,094
International
Business
Machines
Corp.
10,520,750
5,284
VeriSign,
Inc.*
1,001,371
31,017,078
Leisure
Products
(0.0%
):
8,539
Hasbro,
Inc.
482,624
Life
Sciences
Tools
&
Services
(1.4%):
17,829
Agilent
Technologies,
Inc.
2,594,298
1,170
Bio-Rad
Laboratories,
Inc.,
Class
A*
404,668
9,291
Bio-Techne
Corp.
653,994
3,132
Charles
River
Laboratories
International,
Inc.*
848,615
39,598
Danaher
Corp.
9,888,413
9,769
Illumina,
Inc.*
1,341,479
10,978
IQVIA
Holdings,
Inc.*
2,776,226
1,280
Mettler-Toledo
International,
Inc.*
1,704,051
7,301
Revvity,
Inc.
766,605
23,264
Thermo
Fisher
Scientific,
Inc.
13,521,270
3,597
Waters
Corp.*
1,238,195
4,420
West
Pharmaceutical
Services,
Inc.
1,749,038
37,486,852
Machinery
(1.8%):
30,688
Caterpillar,
Inc.
11,245,004
8,206
Cummins,
Inc.
2,417,898
15,615
Deere
&
Co.
6,413,705
8,299
Dover
Corp.
1,470,500
20,760
Fortive
Corp.
1,785,775
4,702
IDEX
Corp.
1,147,382
16,364
Illinois
Tool
Works,
Inc.
4,390,952
24,366
Ingersoll
Rand,
Inc.
2,313,552
3,374
Nordson
Corp.
926,298
24,739
Otis
Worldwide
Corp.
2,455,840
31,325
PACCAR,
Inc.
3,880,854
7,766
Parker-Hannifin
Corp.
4,316,265
10,113
Pentair
plc
864,055
3,267
Snap-on,
Inc.
967,751
9,082
Stanley
Black
&
Decker,
Inc.
889,400
10,576
Westinghouse
Air
Brake
Technologies
Corp.
1,540,712
14,565
Xylem,
Inc.
1,882,381
48,908,324
Media
(0.6%):
6,027
Charter
Communications,
Inc.,
Class
A*
1,751,627
238,581
Comcast
Corp.,
Class
A
10,342,486
13,483
Fox
Corp.,
Class
A
421,614
8,579
Fox
Corp.,
Class
B
245,531
24,101
Interpublic
Group
of
Cos.,
Inc.
(The)
786,416
AZL
S&P
500
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
199
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Media,
continued
24,122
News
Corp.,
Class
A
$
631,514
6,960
News
Corp.,
Class
B
188,338
11,591
Omnicom
Group,
Inc.
1,121,545
28,033
Paramount
Global,
Class
B
329,948
15,819,019
Metals
&
Mining
(0.4%):
85,937
Freeport-McMoRan,
Inc.
4,040,758
70,220
Newmont
Corp.
2,516,685
14,905
Nucor
Corp.
2,949,699
8,940
Steel
Dynamics,
Inc.
1,325,176
10,832,318
Multi-Utilities
(0.6%):
16,061
Ameren
Corp.
1,187,872
37,577
CenterPoint
Energy,
Inc.
1,070,569
17,179
CMS
Energy
Corp.
1,036,581
21,309
Consolidated
Edison,
Inc.
1,935,070
49,854
Dominion
Energy,
Inc.
2,452,318
12,747
DTE
Energy
Co.
1,429,449
24,045
NiSource,
Inc.
665,085
30,699
Public
Service
Enterprise
Group,
Inc.
2,050,079
37,656
Sempra
2,704,830
18,834
WEC
Energy
Group,
Inc.
1,546,648
16,078,501
Office
REITs
(0.1%):
9,366
Alexandria
Real
Estate
Equities,
Inc.
1,207,371
9,422
Boston
Properties,
Inc.
615,351
1,822,722
Oil,
Gas
&
Consumable
Fuels
(3.6%):
21,747
APA
Corp.
747,662
104,433
Chevron
Corp.
16,473,261
70,909
ConocoPhillips
9,025,297
45,836
Coterra
Energy,
Inc.
1,277,908
38,854
Devon
Energy
Corp.
1,949,694
10,946
Diamondback
Energy,
Inc.
2,169,169
35,341
EOG
Resources,
Inc.
4,517,993
24,253
EQT
Corp.
899,059
239,098
Exxon
Mobil
Corp.
27,792,751
16,463
Hess
Corp.
2,512,912
115,780
Kinder
Morgan,
Inc.
2,123,405
34,652
Marathon
Oil
Corp.
982,038
22,351
Marathon
Petroleum
Corp.
4,503,726
39,739
Occidental
Petroleum
Corp.
2,582,638
35,260
ONEOK,
Inc.
2,826,794
25,603
Phillips
66
4,181,994
13,750
Pioneer
Natural
Resources
Co.
3,609,375
13,531
Targa
Resources
Corp.
1,515,337
20,395
Valero
Energy
Corp.
3,481,223
72,804
Williams
Cos.,
Inc.
(The)
2,837,172
96,009,408
Passenger
Airlines
(0.2%):
38,680
American
Airlines
Group,
Inc.*
593,738
39,301
Delta
Air
Lines,
Inc.
1,881,339
35,383
Southwest
Airlines
Co.
1,032,830
Shares
Value
Common
Stocks,
continued
Passenger
Airlines,
continued
19,220
United
Airlines
Holdings,
Inc.*
$
920,253
4,428,160
Personal
Care
Products
(0.2%):
14,158
Estee
Lauder
Cos.,
Inc.
(The)
2,182,456
103,278
Kenvue,
Inc.
2,216,346
4,398,802
Pharmaceuticals
(3.8%):
122,251
Bristol-Myers
Squibb
Co.
6,629,672
10,664
Catalent,
Inc.*
601,983
48,013
Eli
Lilly
&
Co.
37,352,193
144,945
Johnson
&
Johnson
22,928,849
152,576
Merck
&
Co.,
Inc.
20,132,403
339,977
Pfizer,
Inc.
9,434,362
74,668
Viatris,
Inc.
891,536
27,586
Zoetis,
Inc.
4,667,827
102,638,825
Professional
Services
(0.7%):
24,734
Automatic
Data
Processing,
Inc.
6,177,069
7,310
Broadridge
Financial
Solutions,
Inc.
1,497,526
9,708
Dayforce,
Inc.*
642,767
7,300
Equifax,
Inc.
1,952,896
7,621
Jacobs
Solutions,
Inc.
1,171,576
8,240
Leidos
Holdings,
Inc.
1,080,182
19,356
Paychex,
Inc.
2,376,917
2,960
Paycom
Software,
Inc.
589,070
5,774
Robert
Half,
Inc.
457,763
8,833
Verisk
Analytics,
Inc.
2,082,203
18,027,969
Real
Estate
Management
&
Development
(0.1%):
17,649
CBRE
Group,
Inc.,
Class
A*
1,716,189
24,631
CoStar
Group,
Inc.*
2,379,354
4,095,543
Residential
REITs
(0.3%):
8,583
AvalonBay
Communities,
Inc.
1,592,662
6,785
Camden
Property
Trust
667,644
20,296
Equity
Residential
1,280,881
3,825
Essex
Property
Trust,
Inc.
936,398
35,363
Invitation
Homes,
Inc.
1,259,276
7,240
Mid-America
Apartment
Communities,
Inc.
952,639
18,110
UDR,
Inc.
677,495
7,366,995
Retail
REITs
(0.3%):
4,570
Federal
Realty
Investment
Trust
466,688
38,651
Kimco
Realty
Corp.
757,946
48,545
Realty
Income
Corp.
2,626,285
9,435
Regency
Centers
Corp.
571,384
19,952
Simon
Property
Group,
Inc.
3,122,288
7,544,591
Semiconductors
&
Semiconductor
Equipment
(10.2%):
97,284
Advanced
Micro
Devices,
Inc.*
17,558,789
30,034
Analog
Devices,
Inc.
5,940,425
50,141
Applied
Materials,
Inc.
10,340,579
26,496
Broadcom,
Inc.
35,118,063
AZL
S&P
500
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
200
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Semiconductors
&
Semiconductor
Equipment,
continued
8,282
Enphase
Energy,
Inc.*
$
1,001,956
6,398
First
Solar,
Inc.*
1,079,982
254,572
Intel
Corp.
11,244,445
8,169
KLA
Corp.
5,706,618
7,875
Lam
Research
Corp.
7,651,114
32,849
Microchip
Technology,
Inc.
2,946,884
66,371
Micron
Technology,
Inc.
7,824,477
2,858
Monolithic
Power
Systems,
Inc.
1,936,066
148,721
NVIDIA
Corp.
134,378,347
15,636
NXP
Semiconductors
NV
3,874,132
25,780
ON
Semiconductor
Corp.*
1,896,119
5,795
Qorvo,
Inc.*
665,440
67,196
QUALCOMM,
Inc.
11,376,283
9,319
Skyworks
Solutions,
Inc.
1,009,434
9,367
Teradyne,
Inc.
1,056,879
54,749
Texas
Instruments,
Inc.
9,537,823
272,143,855
Software
(10.7%):
27,215
Adobe,
Inc.*
13,732,689
5,260
ANSYS,
Inc.*
1,826,062
12,975
Autodesk,
Inc.*
3,378,950
16,369
Cadence
Design
Systems,
Inc.*
5,095,342
4,302
Corpay,
Inc.*
1,327,339
1,510
Fair
Isaac
Corp.*
1,886,911
38,801
Fortinet,
Inc.*
2,650,496
35,086
Gen
Digital,
Inc.
785,926
16,851
Intuit,
Inc.
10,953,150
447,395
Microsoft
Corp.
188,228,025
95,999
Oracle
Corp.
12,058,434
19,022
Palo
Alto
Networks,
Inc.*
5,404,721
7,104
PTC,
Inc.*
1,342,230
6,424
Roper
Technologies,
Inc.
3,602,836
58,274
Salesforce,
Inc.
17,550,963
12,343
ServiceNow,
Inc.*
9,410,303
9,231
Synopsys,
Inc.*
5,275,517
2,611
Tyler
Technologies,
Inc.*
1,109,701
285,619,595
Specialized
REITs
(1.0%):
27,938
American
Tower
Corp.
5,520,269
26,194
Crown
Castle,
Inc.
2,772,111
18,217
Digital
Realty
Trust,
Inc.
2,623,977
5,690
Equinix,
Inc.
4,696,128
12,539
Extra
Space
Storage,
Inc.
1,843,233
159
Gaming
and
Leisure
Properties,
Inc.
7,325
17,535
Iron
Mountain,
Inc.
1,406,482
9,647
Public
Storage
2,798,209
6,600
SBA
Communications
Corp.
1,430,220
63,600
VICI
Properties,
Inc.
1,894,644
44,549
Weyerhaeuser
Co.
1,599,755
26,592,353
Specialty
Retail
(2.1%):
1,050
AutoZone,
Inc.*
3,309,232
13,870
Bath
&
Body
Works,
Inc.
693,777
11,552
Best
Buy
Co.,
Inc.
947,611
Shares
Value
Common
Stocks,
continued
Specialty
Retail,
continued
9,265
CarMax,
Inc.*
$
807,074
59,926
Home
Depot,
Inc.
(The)
22,987,614
34,609
Lowe's
Cos.,
Inc.
8,815,951
3,596
O'Reilly
Automotive,
Inc.*
4,059,452
20,230
Ross
Stores,
Inc.
2,968,955
68,965
TJX
Cos.,
Inc.
(The)
6,994,430
6,466
Tractor
Supply
Co.
1,692,282
2,928
Ulta
Beauty,
Inc.*
1,530,993
54,807,371
Technology
Hardware,
Storage
&
Peripherals
(6.0%):
873,986
Apple,
Inc.
149,871,119
79,241
Hewlett
Packard
Enterprise
Co.
1,404,943
52,233
HP,
Inc.
1,578,481
12,470
NetApp,
Inc.
1,308,976
11,977
Seagate
Technology
Holdings
plc
1,114,460
2,956
Super
Micro
Computer,
Inc.*
2,985,649
20,102
Western
Digital
Corp.*
1,371,760
159,635,388
Textiles,
Apparel
&
Luxury
Goods
(0.5%):
1,559
Deckers
Outdoor
Corp.*
1,467,424
6,914
Lululemon
Athletica,
Inc.*
2,700,954
73,141
NIKE,
Inc.,
Class
B
6,873,791
2,327
Ralph
Lauren
Corp.
436,918
13,393
Tapestry,
Inc.
635,900
20,520
VF
Corp.
314,777
12,429,764
Tobacco
(0.5%):
106,804
Altria
Group,
Inc.
4,658,790
93,445
Philip
Morris
International,
Inc.
8,561,431
13,220,221
Trading
Companies
&
Distributors
(0.3%):
34,769
Fastenal
Co.
2,682,080
4,034
United
Rentals,
Inc.
2,908,958
2,653
W.W.
Grainger,
Inc.
2,698,897
8,289,935
Water
Utilities
(0.1%):
11,976
American
Water
Works
Co.,
Inc.
1,463,587
Wireless
Telecommunication
Services
(0.2%):
30,979
T-Mobile
US,
Inc.
5,056,392
Total
Common
Stocks
(Cost
$709,875,782)
2,654,208,095
Unaffiliated
Investment
Company
(0.5%):
Money
Markets
(0.5%):
12,468,560
Dreyfus
Treasury
Securities
Cash
Management
Fund,
Institutional
Shares,
5.19%(a)
12,468,560
Total
Unaffiliated
Investment
Company
(Cost
$12,468,560)
12,468,560
Total
Investment
Securities
(Cost
$722,344,342)
100.0%
2,666,676,655
Net
other
assets
(liabilities)
0.0%
(773,744)
Net
Assets
100.0%
$
2,665,902,911
*
Non-income
producing
security.
AZL
S&P
500
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
201
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Percentages
indicated
are
based
on
net
assets
as
of
March
31,
2024.
+
Affiliated
Securities
Represents
less
than
0.05%.
(a)
The
rate
represents
the
effective
yield
at
March
31,
2024.
Amounts
shown
as
“—“
are
either
$0
or
round
to
less
than
$1.
Futures
Contracts
At
March
31,
2024,
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
June
Futures
(U.S.
Dollar)
6/21/24
55
$
14,598,375‌
$
129,519‌
$
129,519‌
AZL
Small
Cap
Stock
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
202
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks
(99.3%):
Aerospace
&
Defense
(1.3%):
17,175
AAR
Corp.*
$
1,028,267‌
14,562
AeroVironment
,
Inc.*
2,232,063‌
14,730
Kaman
Corp.
675,665‌
26,989
Mercury
Systems,
Inc.*
796,176‌
15,667
Moog,
Inc.,
Class
A
2,501,237‌
2,010
National
Presto
Industries,
Inc.
168,438‌
40,011
Triumph
Group,
Inc.*
601,765‌
8,003,611‌
Air
Freight
&
Logistics
(0.3%):
15,953
Forward
Air
Corp.
496,298‌
32,605
Hub
Group,
Inc.,
Class
A
1,409,188‌
1,905,486‌
Automobile
Components
(1.4%):
61,319
American
Axle
&
Manufacturing
Holdings,
Inc.*
451,308‌
67,647
Dana,
Inc.
859,117‌
14,594
Dorman
Products,
Inc.*
1,406,716‌
16,781
Gentherm
,
Inc.*
966,250‌
13,440
LCI
Industries
1,653,926‌
11,082
Patrick
Industries,
Inc.
1,323,966‌
24,318
Phinia
,
Inc.
934,541‌
9,262
Standard
Motor
Products,
Inc.
310,740‌
10,536
XPEL,
Inc.*
569,155‌
8,475,719‌
Automobiles
(0.2%):
15,411
Winnebago
Industries,
Inc.
1,140,414‌
Banks
(8.9%):
36,293
Ameris
Bancorp
1,755,855‌
40,704
Atlantic
Union
Bankshares
Corp.
1,437,258‌
26,921
Axos
Financial,
Inc.*
1,454,811‌
71,761
Banc
of
California,
Inc.
1,091,485‌
8,226
BancFirst
Corp.
724,135‌
28,086
Bancorp,
Inc.
(The)*
939,758‌
21,162
Bank
of
Hawaii
Corp.
1,320,297‌
40,134
BankUnited
,
Inc.
1,123,752‌
19,469
Banner
Corp.
934,512‌
23,812
Berkshire
Hills
Bancorp,
Inc.
545,771‌
50,691
Brookline
Bancorp,
Inc.
504,882‌
67,488
Capitol
Federal
Financial,
Inc.
402,228‌
36,868
Cathay
General
Bancorp
1,394,716‌
17,342
Central
Pacific
Financial
Corp.
342,505‌
7,605
City
Holding
Co.
792,593‌
28,502
Community
Bank
System,
Inc.
1,368,951‌
14,985
Customers
Bancorp,
Inc.*
795,104‌
70,827
CVB
Financial
Corp.
1,263,554‌
19,371
Dime
Community
Bancshares,
Inc.
373,085‌
16,836
Eagle
Bancorp,
Inc.
395,478‌
19,180
FB
Financial
Corp.
722,319‌
21,952
First
Bancorp
792,906‌
89,589
First
BanCorp
1,571,391‌
54,496
First
Commonwealth
Financial
Corp.
758,584‌
53,179
First
Financial
Bancorp
1,192,273‌
72,319
First
Hawaiian,
Inc.
1,588,125‌
80,716
Fulton
Financial
Corp.
1,282,577‌
20,567
Hanmi
Financial
Corp.
327,427‌
20,499
Heritage
Financial
Corp.
397,476‌
Shares
Value
Common
Stocks,
continued
Banks,
continued
25,023
Hilltop
Holdings,
Inc.
$
783,720‌
70,950
Hope
Bancorp,
Inc.
816,635‌
22,730
Independent
Bank
Corp.
1,182,415‌
19,226
Independent
Bank
Group,
Inc.
877,667‌
13,303
Lakeland
Financial
Corp.
882,255‌
20,192
National
Bank
Holdings
Corp.,
Class
A
728,325‌
25,128
NBT
Bancorp,
Inc.
921,695‌
22,129
Northfield
Bancorp,
Inc.
215,094‌
71,774
Northwest
Bancshares,
Inc.
836,167‌
25,760
OFG
Bancorp
948,226‌
52,161
Pacific
Premier
Bancorp,
Inc.
1,251,864‌
7,722
Park
National
Corp.
1,049,034‌
13,565
Pathward
Financial,
Inc.
684,761‌
6,722
Preferred
Bank
516,048‌
45,720
Provident
Financial
Services,
Inc.
666,140‌
30,615
Renasant
Corp.
958,862‌
21,125
S&T
Bancorp,
Inc.
677,690‌
44,812
Seacoast
Banking
Corp.
1,137,777‌
26,030
ServisFirst
Bancshares,
Inc.
1,727,351‌
68,100
Simmons
First
National
Corp.,
Class
A
1,325,226‌
15,499
Southside
Bancshares,
Inc.
453,036‌
24,316
Stellar
Bancorp,
Inc.
592,338‌
6,606
Tompkins
Financial
Corp.
332,216‌
11,370
Triumph
Financial,
Inc.*
901,868‌
10,803
TrustCo
Bank
Corp.
304,213‌
33,612
Trustmark
Corp.
944,833‌
65,646
United
Community
Banks,
Inc.
1,727,803‌
26,198
Veritex
Holdings,
Inc.
536,797‌
35,996
WaFd
,
Inc.
1,044,964‌
13,780
Westamerica
BanCorp
673,566‌
34,023
WSFS
Financial
Corp.
1,535,798‌
54,828,192‌
Beverages
(0.2%):
7,977
MGP
Ingredients,
Inc.
687,059‌
12,349
National
Beverage
Corp.*
586,084‌
1,273,143‌
Biotechnology
(1.5%):
87,676
Alkermes
plc*
2,373,389‌
28,232
Arcus
Biosciences,
Inc.*
533,020‌
57,091
Catalyst
Pharmaceuticals,
Inc.*
910,031‌
68,201
Dynavax
Technologies
Corp.*
846,374‌
71,135
Ironwood
Pharmaceuticals,
Inc.*
619,586‌
46,189
Myriad
Genetics,
Inc.*
984,750‌
21,155
REGENXBIO,
Inc.*
445,736‌
24,995
Vericel
Corp.*
1,300,240‌
45,501
Vir
Biotechnology,
Inc.*
460,925‌
31,562
Xencor
,
Inc.*
698,467‌
9,172,518‌
Broadline
Retail
(0.3%):
58,420
Kohl's
Corp.
1,702,943‌
Building
Products
(2.6%):
35,050
AAON,
Inc.
3,087,905‌
8,383
American
Woodmark
Corp.*
852,216‌
10,570
Apogee
Enterprises,
Inc.
625,744‌
23,273
Armstrong
World
Industries,
Inc.
2,890,972‌
AZL
Small
Cap
Stock
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
203
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Building
Products,
continued
12,776
AZZ,
Inc.
$
987,712‌
15,435
Gibraltar
Industries,
Inc.*
1,242,980‌
20,565
Griffon
Corp.
1,508,237‌
65,691
Hayward
Holdings,
Inc.*
1,005,729‌
9,071
Insteel
Industries,
Inc.
346,694‌
66,036
Masterbrand,
Inc.*
1,237,515‌
16,683
Quanex
Building
Products
Corp.
641,128‌
76,274
Resideo
Technologies,
Inc.*
1,710,063‌
16,136,895‌
Capital
Markets
(1.7%):
38,569
Artisan
Partners
Asset
Management,
Inc.,
Class
A
1,765,303‌
9,201
B
Riley
Financial,
Inc.^
194,785‌
139,269
BGC
Group,
Inc.,
Class
A
1,082,120‌
18,124
Brightsphere
Investment
Group,
Inc.
413,952‌
12,761
Donnelley
Financial
Solutions,
Inc.*
791,310‌
24,068
Moelis
&
Co.,
Class
A
1,366,340‌
8,564
Piper
Sandler
Cos.
1,699,868‌
8,865
PJT
Partners,
Inc.,
Class
A
835,615‌
14,899
StoneX
Group,
Inc.*
1,046,804‌
3,905
Virtus
Investment
Partners,
Inc.
968,362‌
60,889
WisdomTree
,
Inc.
559,570‌
10,724,029‌
Chemicals
(2.5%):
14,936
AdvanSix
,
Inc.
427,170‌
17,454
Balchem
Corp.
2,704,497‌
9,788
Hawkins,
Inc.
751,718‌
29,743
HB
Fuller
Co.
2,371,707‌
17,532
Ingevity
Corp.*
836,277‌
12,877
Innospec
,
Inc.
1,660,360‌
11,006
Koppers
Holdings,
Inc.
607,201‌
28,111
Mativ
Holdings,
Inc.
527,081‌
16,855
Minerals
Technologies,
Inc.
1,268,845‌
7,468
Quaker
Chemical
Corp.
1,532,807‌
22,236
Sensient
Technologies
Corp.
1,538,509‌
11,010
Stepan
Co.
991,340‌
15,217,512‌
Commercial
Services
&
Supplies
(2.2%):
33,054
ABM
Industries,
Inc.
1,474,870‌
22,826
Brady
Corp.,
Class
A
1,353,125‌
59,135
CoreCivic
,
Inc.*
923,097‌
24,025
Deluxe
Corp.
494,675‌
41,023
Enviri
Corp.*
375,360‌
63,440
GEO
Group,
Inc.
(The)*
895,773‌
38,553
Healthcare
Services
Group,
Inc.*
481,141‌
24,279
HNI
Corp.
1,095,711‌
30,905
Interface,
Inc.
519,822‌
11,153
Liquidity
Services,
Inc.*
207,446‌
15,867
Matthews
International
Corp.,
Class
A
493,146‌
37,885
MillerKnoll
,
Inc.
938,033‌
54,605
OPENLANE,
Inc.*
944,667‌
80,345
Pitney
Bowes,
Inc.
347,894‌
7,951
UniFirst
Corp.
1,378,942‌
67,826
Vestis
Corp.
1,307,007‌
10,982
Viad
Corp.*
433,679‌
13,664,388‌
Shares
Value
Common
Stocks,
continued
Communications
Equipment
(1.0%):
37,981
ADTRAN
Holdings,
Inc.
$
206,617‌
30,076
Calix,
Inc.*
997,320‌
18,478
Digi
International,
Inc.*
590,002‌
66,660
Extreme
Networks,
Inc.*
769,256‌
57,790
Harmonic,
Inc.*
776,698‌
37,199
NetScout
Systems,
Inc.*
812,426‌
39,296
Viasat
,
Inc.*
710,865‌
114,930
Viavi
Solutions,
Inc.*
1,044,714‌
5,907,898‌
Construction
&
Engineering
(1.2%):
26,198
Arcosa
,
Inc.
2,249,360‌
15,331
Dycom
Industries,
Inc.*
2,200,459‌
22,554
Granite
Construction,
Inc.
1,288,510‌
8,545
MYR
Group,
Inc.*
1,510,329‌
7,248,658‌
Consumer
Finance
(0.8%):
17,177
Bread
Financial
Holdings,
Inc.
639,672‌
12,748
Encore
Capital
Group,
Inc.*
581,436‌
15,529
Enova
International,
Inc.*
975,687‌
28,177
EZCORP,
Inc.,
Class
A*
319,246‌
25,982
Green
Dot
Corp.,
Class
A*
242,412‌
48,416
Navient
Corp.
842,438‌
20,803
PRA
Group,
Inc.*
542,542‌
23,353
PROG
Holdings,
Inc.
804,277‌
1,879
World
Acceptance
Corp.*
272,418‌
5,220,128‌
Consumer
Staples
Distribution
&
Retail
(0.6%):
16,582
Andersons,
Inc.
(The)
951,309‌
18,376
Chefs'
Warehouse,
Inc.
(The)*
692,040‌
12,311
PriceSmart
,
Inc.
1,034,124‌
17,955
SpartanNash
Co.
362,871‌
31,310
United
Natural
Foods,
Inc.*
359,752‌
3,400,096‌
Containers
&
Packaging
(0.6%):
23,339
Myers
Industries,
Inc.
540,765‌
84,610
O-I
Glass,
Inc.*
1,403,680‌
45,630
Sealed
Air
Corp.
1,697,436‌
3,641,881‌
Diversified
Consumer
Services
(0.9%):
20,243
Adtalem
Global
Education,
Inc.*
1,040,490‌
40,474
Frontdoor
,
Inc.*
1,318,643‌
47,599
Mister
Car
Wash,
Inc.*
368,892‌
33,055
Perdoceo
Education
Corp.
580,446‌
11,336
Strategic
Education,
Inc.
1,180,304‌
20,612
Stride,
Inc.*
1,299,587‌
5,788,362‌
Diversified
REITs
(0.7%):
35,142
Alexander
&
Baldwin,
Inc.
578,789‌
24,902
American
Assets
Trust,
Inc.
545,603‌
33,299
Armada
Hoffler
Properties,
Inc.
346,309‌
85,973
Essential
Properties
Realty
Trust,
Inc.
2,292,040‌
100,630
Global
Net
Lease,
Inc.
781,895‌
4,544,636‌
AZL
Small
Cap
Stock
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
204
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Diversified
Telecommunication
Services
(0.6%):
4,629
ATN
International,
Inc.
$
145,837‌
22,180
Cogent
Communications
Holdings,
Inc.
1,449,019‌
39,389
Consolidated
Communications
Holdings,
Inc.*
170,160‌
61,928
EchoStar
Corp.,
Class
A*
882,474‌
526,989
Lumen
Technologies,
Inc.*
822,103‌
24,288
Shenandoah
Telecommunications
Co.
421,883‌
3,891,476‌
Electric
Utilities
(0.5%):
18,722
MGE
Energy,
Inc.
1,473,796‌
21,850
Otter
Tail
Corp.
1,887,840‌
3,361,636‌
Electrical
Equipment
(0.8%):
8,147
Encore
Wire
Corp.
2,140,869‌
4,720
Powell
Industries,
Inc.
671,656‌
45,787
SunPower
Corp.*^
137,361‌
112,747
Sunrun
,
Inc.*
1,486,005‌
11,409
Vicor
Corp.*
436,280‌
4,872,171‌
Electronic
Equipment,
Instruments
&
Components
(3.9%):
19,520
Advanced
Energy
Industries,
Inc.
1,990,650‌
49,440
Arlo
Technologies,
Inc.*
625,416‌
15,210
Badger
Meter,
Inc.
2,461,130‌
17,788
Benchmark
Electronics,
Inc.
533,818‌
14,944
CTS
Corp.
699,230‌
14,075
ePlus
,
Inc.*
1,105,451‌
18,871
Fabrinet
*
3,566,996‌
14,734
Insight
Enterprises,
Inc.*
2,733,452‌
23,852
Itron
,
Inc.*
2,206,787‌
43,435
Knowles
Corp.*
699,304‌
17,857
Methode
Electronics,
Inc.
217,498‌
7,921
OSI
Systems,
Inc.*
1,131,277‌
5,243
PC
Connection,
Inc.
345,671‌
14,048
Plexus
Corp.*
1,332,031‌
8,563
Rogers
Corp.*
1,016,342‌
29,286
Sanmina
Corp.*
1,821,004‌
12,832
ScanSource
,
Inc.*
565,121‌
51,348
TTM
Technologies,
Inc.*
803,596‌
23,854,774‌
Energy
Equipment
&
Services
(1.9%):
72,255
Archrock
,
Inc.
1,421,256‌
11,289
Bristow
Group,
Inc.*
307,061‌
24,058
Core
Laboratories,
Inc.
410,910‌
16,800
Dril
-Quip,
Inc.*
378,504‌
72,415
Helix
Energy
Solutions
Group,
Inc.*
784,978‌
52,878
Helmerich
&
Payne,
Inc.
2,224,049‌
80,158
Liberty
Energy,
Inc.
1,660,874‌
4,584
Nabors
Industries,
Ltd.*
394,820‌
52,480
Oceaneering
International,
Inc.*
1,228,032‌
171,721
Patterson-UTI
Energy,
Inc.
2,050,349‌
41,088
ProPetro
Holding
Corp.*
331,991‌
41,049
RPC,
Inc.
317,719‌
40,998
US
Silica
Holdings,
Inc.*
508,785‌
12,019,328‌
Entertainment
(0.5%):
55,046
Cinemark
Holdings,
Inc.*
989,177‌
Shares
Value
Common
Stocks,
continued
Entertainment,
continued
8,764
Madison
Square
Garden
Sports
Corp.*
$
1,617,133‌
11,706
Marcus
Corp.
(The)
166,927‌
2,773,237‌
Financial
Services
(1.7%):
35,308
EVERTEC,
Inc.
1,408,789‌
13,961
Jackson
Financial,
Inc.,
Class
A
923,381‌
35,253
Mr
Cooper
Group,
Inc.*
2,747,971‌
36,884
NCR
Atleos
Corp.*
728,459‌
46,388
NMI
Holdings,
Inc.,
Class
A*
1,500,188‌
127,667
Payoneer
Global,
Inc.*
620,462‌
24,877
Radian
Group,
Inc.
832,633‌
18,347
Walker
&
Dunlop,
Inc.
1,854,148‌
10,616,031‌
Food
Products
(1.3%):
40,895
B&G
Foods,
Inc.
467,839‌
9,302
Calavo
Growers,
Inc.
258,689‌
20,898
Cal-Maine
Foods,
Inc.
1,229,847‌
17,576
Fresh
Del
Monte
Produce,
Inc.
455,394‌
45,683
Hain
Celestial
Group,
Inc.
(The)*
359,068‌
8,008
J
&
J
Snack
Foods
Corp.
1,157,637‌
4,265
John
B
Sanfilippo
&
Son,
Inc.
451,749‌
47,637
Simply
Good
Foods
Co.
(The)*
1,621,087‌
8,227
Tootsie
Roll
Industries,
Inc.
263,498‌
25,723
TreeHouse
Foods,
Inc.*
1,001,911‌
33,833
WK
Kellogg
Co.
636,060‌
7,902,779‌
Gas
Utilities
(0.3%):
11,208
Chesapeake
Utilities
Corp.
1,202,618‌
18,753
Northwest
Natural
Holding
Co.
697,987‌
1,900,605‌
Ground
Transportation
(0.6%):
12,402
ArcBest
Corp.
1,767,285‌
22,214
Heartland
Express,
Inc.
265,235‌
26,952
Marten
Transport,
Ltd.
498,073‌
60,635
RXO,
Inc.*
1,326,088‌
3,856,681‌
Health
Care
Equipment
&
Supplies
(2.7%):
19,841
Artivion
,
Inc.*
419,836‌
23,681
Avanos
Medical,
Inc.*
471,489‌
16,006
CONMED
Corp.
1,281,760‌
30,382
Embecta
Corp.
403,169‌
25,651
Glaukos
Corp.*
2,418,633‌
10,515
ICU
Medical,
Inc.*
1,128,470‌
26,467
Inari
Medical,
Inc.*
1,269,887‌
17,615
Integer
Holdings
Corp.*
2,055,318‌
9,741
LeMaitre
Vascular,
Inc.
646,413‌
30,552
Merit
Medical
Systems,
Inc.*
2,314,314‌
4,420
OmniAb
Operations,
Inc.
-
Vesting
12.5*(a)(b)
—‌
4,420
OmniAb
Operations,
Inc.
-
Vesting
15*(a)(b)
—‌
23,714
Omnicell
,
Inc.*
693,160‌
37,910
OraSure
Technologies,
Inc.*
233,146‌
25,193
STAAR
Surgical
Co.*
964,388‌
33,943
Tandem
Diabetes
Care,
Inc.*
1,201,922‌
3,575
UFP
Technologies,
Inc.*
901,615‌
AZL
Small
Cap
Stock
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
205
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Health
Care
Equipment
&
Supplies,
continued
20,330
Varex
Imaging
Corp.*
$
367,973‌
16,771,493‌
Health
Care
Providers
&
Services
(3.3%):
42,216
AdaptHealth
Corp.*
485,906‌
7,784
Addus
HomeCare
Corp.*
804,399‌
18,474
Agiliti
,
Inc.*
186,957‌
19,389
AMN
Healthcare
Services,
Inc.*
1,212,006‌
21,349
Astrana
Health,
Inc.*
896,444‌
4,579
CorVel
Corp.*
1,204,094‌
17,052
Cross
Country
Healthcare,
Inc.*
319,213‌
24,985
Enhabit
,
Inc.*
291,075‌
29,755
Ensign
Group,
Inc.
(The)
3,702,117‌
10,815
Fulgent
Genetics,
Inc.*
234,685‌
6,180
ModivCare
,
Inc.*
144,921‌
6,639
National
HealthCare
Corp.
627,452‌
66,261
NeoGenomics
,
Inc.*
1,041,623‌
39,753
Owens
&
Minor,
Inc.*
1,101,556‌
42,990
Patterson
Cos.,
Inc.
1,188,673‌
41,668
Pediatrix
Medical
Group,
Inc.*
417,930‌
62,787
Premier,
Inc.,
Class
A
1,387,593‌
51,847
Privia
Health
Group,
Inc.*
1,015,683‌
33,724
RadNet
,
Inc.*
1,641,010‌
56,164
Select
Medical
Holdings
Corp.
1,693,345‌
7,309
US
Physical
Therapy,
Inc.
824,967‌
20,421,649‌
Health
Care
REITs
(0.7%):
68,551
CareTrust
REIT,
Inc.
1,670,588‌
12,099
Community
Healthcare
Trust,
Inc.
321,228‌
19,705
LTC
Properties,
Inc.
640,610‌
311,561
Medical
Properties
Trust,
Inc.^
1,464,337‌
6,109
Universal
Health
Realty
Income
Trust
224,261‌
4,321,024‌
Health
Care
Technology
(0.4%):
56,977
Certara
,
Inc.*
1,018,749‌
12,471
HealthStream
,
Inc.
332,477‌
28,734
Schrodinger,
Inc.*
775,818‌
7,681
Simulations
Plus,
Inc.
316,073‌
2,443,117‌
Hotel
&
Resort
REITs
(1.1%):
118,083
Apple
Hospitality
REIT,
Inc.
1,934,199‌
23,302
Chatham
Lodging
Trust
235,583‌
108,228
DiamondRock
Hospitality
Co.
1,040,071‌
60,948
Pebblebrook
Hotel
Trust
939,209‌
88,488
Service
Properties
Trust
599,949‌
49,786
Summit
Hotel
Properties,
Inc.
324,107‌
106,042
Sunstone
Hotel
Investors,
Inc.
1,181,308‌
53,923
Xenia
Hotels
&
Resorts,
Inc.
809,384‌
7,063,810‌
Hotels,
Restaurants
&
Leisure
(2.0%):
12,191
BJ's
Restaurants,
Inc.*
441,070‌
45,669
Bloomin
'
Brands,
Inc.
1,309,787‌
23,228
Brinker
International,
Inc.*
1,153,967‌
24,441
Cheesecake
Factory,
Inc.
(The)
883,542‌
7,617
Chuy's
Holdings,
Inc.*
256,922‌
11,695
Cracker
Barrel
Old
Country
Store,
Inc.
850,577‌
Shares
Value
Common
Stocks,
continued
Hotels,
Restaurants
&
Leisure,
continued
16,932
Dave
&
Buster's
Entertainment,
Inc.*
$
1,059,943‌
8,540
Dine
Brands
Global,
Inc.
396,939‌
11,228
Golden
Entertainment,
Inc.
413,527‌
10,358
Jack
in
the
Box,
Inc.
709,316‌
6,339
Monarch
Casino
&
Resort,
Inc.
475,362‌
16,733
Papa
John's
International,
Inc.
1,114,418‌
201,820
Sabre
Corp.*
488,404‌
19,656
Shake
Shack,
Inc.,
Class
A*
2,044,814‌
38,168
Six
Flags
Entertainment
Corp.*
1,004,582‌
12,603,170‌
Household
Durables
(3.6%):
3,839
Cavco
Industries,
Inc.*
1,531,991‌
14,353
Century
Communities,
Inc.
1,385,065‌
11,448
Ethan
Allen
Interiors,
Inc.
395,757‌
12,436
Green
Brick
Partners,
Inc.*
749,020‌
12,407
Installed
Building
Products,
Inc.
3,210,063‌
21,847
La-Z-Boy,
Inc.
821,884‌
10,189
LGI
Homes,
Inc.*
1,185,694‌
14,608
M/I
Homes,
Inc.*
1,990,924‌
31,737
MDC
Holdings,
Inc.
1,996,575‌
19,126
Meritage
Homes
Corp.
3,355,848‌
201,788
Newell
Brands,
Inc.
1,620,358‌
64,180
Sonos
,
Inc.*
1,223,271‌
49,878
Tri
Pointe
Homes,
Inc.*
1,928,283‌
16,043
Worthington
Enterprises,
Inc.
998,356‌
22,393,089‌
Household
Products
(0.7%):
5,781
Central
Garden
&
Pet
Co.*
247,600‌
26,755
Central
Garden
&
Pet
Co.,
Class
A*
987,795‌
34,846
Energizer
Holdings,
Inc.
1,025,866‌
7,077
WD-40
Co.
1,792,675‌
4,053,936‌
Independent
Power
and
Renewable
Electricity
Producers
(0.2%):
24,472
Clearway
Energy,
Inc.,
Class
A
526,392‌
40,535
Clearway
Energy,
Inc.,
Class
C
934,332‌
1,460,724‌
Industrial
REITs
(0.5%):
14,648
Innovative
Industrial
Properties,
Inc.
1,516,654‌
152,415
LXP
Industrial
Trust
1,374,783‌
2,891,437‌
Insurance
(2.8%):
25,976
Ambac
Financial
Group,
Inc.*
406,005‌
34,704
American
Equity
Investment
Life
Holding
Co.*
1,951,059‌
10,887
AMERISAFE,
Inc.
546,201‌
29,597
Assured
Guaranty,
Ltd.
2,582,338‌
15,192
Employers
Holdings,
Inc.
689,565‌
254,573
Genworth
Financial,
Inc.*
1,636,904‌
12,982
Goosehead
Insurance,
Inc.,
Class
A*
864,861‌
3,717
HCI
Group,
Inc.
431,469‌
23,445
Horace
Mann
Educators
Corp.
867,230‌
65,533
Lincoln
National
Corp.
2,092,469‌
14,443
Mercury
General
Corp.
745,259‌
12,937
Palomar
Holdings,
Inc.*
1,084,509‌
27,260
ProAssurance
Corp.
350,563‌
AZL
Small
Cap
Stock
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
206
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Insurance,
continued
8,530
Safety
Insurance
Group,
Inc.
$
701,081‌
48,469
SiriusPoint
,
Ltd.*
616,041‌
15,047
Stewart
Information
Services
Corp.
978,958‌
19,844
Trupanion
,
Inc.*
547,893‌
12,045
United
Fire
Group,
Inc.
262,220‌
17,354,625‌
Interactive
Media
&
Services
(0.9%):
44,774
Cargurus
,
Inc.*
1,033,384‌
32,700
Cars.com,
Inc.*
561,786‌
27,412
QuinStreet
,
Inc.*
484,096‌
12,514
Shutterstock
,
Inc.
573,266‌
56,690
TripAdvisor,
Inc.*
1,575,415‌
35,614
Yelp,
Inc.*
1,403,192‌
5,631,139‌
IT
Services
(0.5%):
97,757
DXC
Technology
Co.*
2,073,426‌
18,122
Perficient
,
Inc.*
1,020,087‌
3,093,513‌
Leisure
Products
(0.4%):
8,600
Sturm
Ruger
&
Co.,
Inc.
396,890‌
74,597
Topgolf
Callaway
Brands
Corp.*
1,206,234‌
29,939
Vista
Outdoor,
Inc.*
981,400‌
2,584,524‌
Life
Sciences
Tools
&
Services
(0.5%):
18,620
BioLife
Solutions,
Inc.*
345,401‌
51,931
Cytek
Biosciences,
Inc.*
348,457‌
46,465
Fortrea
Holdings,
Inc.*
1,865,105‌
2,646
Mesa
Laboratories,
Inc.
290,346‌
2,849,309‌
Machinery
(5.0%):
70,536
3D
Systems
Corp.*
313,180‌
5,157
Alamo
Group,
Inc.
1,177,498‌
15,992
Albany
International
Corp.
1,495,412‌
11,624
Astec
Industries,
Inc.
508,085‌
26,103
Barnes
Group,
Inc.
969,727‌
27,221
Enerpac
Tool
Group
Corp.
970,701‌
10,981
Enpro
,
Inc.
1,853,263‌
12,865
ESCO
Technologies,
Inc.
1,377,198‌
32,456
Federal
Signal
Corp.
2,754,541‌
21,682
Franklin
Electric
Co.,
Inc.
2,315,854‌
16,097
Greenbrier
Cos.,
Inc.
(The)
838,654‌
36,747
Hillenbrand,
Inc.
1,848,007‌
16,527
John
Bean
Technologies
Corp.
1,733,517‌
39,960
Kennametal,
Inc.
996,602‌
5,403
Lindsay
Corp.
635,717‌
59,699
Mueller
Industries,
Inc.
3,219,567‌
13,171
Proto
Labs,
Inc.*
470,863‌
24,346
SPX
Technologies,
Inc.*
2,997,723‌
5,918
Standex
International
Corp.
1,078,378‌
9,281
Tennant
Co.
1,128,662‌
26,140
Titan
International,
Inc.*
325,704‌
42,410
Trinity
Industries,
Inc.
1,181,119‌
22,726
Wabash
National
Corp.
680,416‌
30,870,388‌
Shares
Value
Common
Stocks,
continued
Marine
Transportation
(0.3%):
18,602
Matson,
Inc.
$
2,090,865‌
Media
(0.4%):
16,167
AMC
Networks,
Inc.,
Class
A*
196,106‌
29,730
EW
Scripps
Co.
(The),
Class
A*
116,839‌
21,786
John
Wiley
&
Sons,
Inc.,
Class
A
830,700‌
13,236
Scholastic
Corp.
499,129‌
13,835
TechTarget
,
Inc.*
457,662‌
15,856
Thryv
Holdings,
Inc.*
352,479‌
2,452,915‌
Metals
&
Mining
(2.5%):
6,121
Alpha
Metallurgical
Resources,
Inc.
2,027,092‌
9,447
Arch
Resources,
Inc.
1,518,983‌
67,287
ATI,
Inc.*
3,443,076‌
25,950
Carpenter
Technology
Corp.
1,853,349‌
27,172
Century
Aluminum
Co.*
418,177‌
17,384
Compass
Minerals
International,
Inc.
273,624‌
6,051
Haynes
International,
Inc.
363,786‌
8,301
Kaiser
Aluminum
Corp.
741,777‌
10,732
Materion
Corp.
1,413,941‌
19,380
Metallus
,
Inc.*
431,205‌
4,912
Olympic
Steel,
Inc.
348,163‌
41,229
SunCoke
Energy,
Inc.
464,651‌
26,759
Warrior
Met
Coal,
Inc.
1,624,271‌
15,437
Worthington
Steel,
Inc.
553,416‌
15,475,511‌
Mortgage
Real
Estate
Investment
Trusts
(REITs)
(0.1%):
54,467
Two
Harbors
Investment
Corp.
721,143‌
Mortgage
Real
Estate
Investment
Trusts
(REITs)
(1.6%):
71,062
Apollo
Commercial
Real
Estate
Finance,
Inc.
791,631‌
83,356
Arbor
Realty
Trust,
Inc.
1,104,467‌
25,321
ARMOUR
Residential
REIT,
Inc.
500,596‌
95,772
Blackstone
Mortgage
Trust,
Inc.,
Class
A
1,906,821‌
39,645
Ellington
Financial,
Inc.
468,207‌
42,166
Franklin
BSP
Realty
Trust,
Inc.
563,338‌
57,948
Hannon
Armstrong
Sustainable
Infrastructure
Capital,
Inc.
1,645,723‌
29,921
KKR
Real
Estate
Finance
Trust,
Inc.
301,005‌
47,993
New
York
Mortgage
Trust,
Inc.
345,550‌
46,504
PennyMac
Mortgage
Investment
Trust
682,679‌
88,141
Ready
Capital
Corp.
804,727‌
72,506
Redwood
Trust,
Inc.
461,863‌
9,576,607‌
Multi-Utilities
(0.3%):
41,132
Avista
Corp.
1,440,442‌
7,422
Unitil
Corp.
388,542‌
1,828,984‌
Office
REITs
(1.1%):
87,031
Brandywine
Realty
Trust
417,749‌
81,602
Douglas
Emmett,
Inc.
1,131,819‌
45,190
Easterly
Government
Properties,
Inc.
520,137‌
55,822
Highwoods
Properties,
Inc.
1,461,420‌
66,171
Hudson
Pacific
Properties,
Inc.
426,803‌
44,060
JBG
SMITH
Properties
707,163‌
AZL
Small
Cap
Stock
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
207
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Office
REITs,
continued
34,077
SL
Green
Realty
Corp.
$
1,878,665‌
6,543,756‌
Oil,
Gas
&
Consumable
Fuels
(2.9%):
33,866
California
Resources
Corp.
1,866,017‌
48,014
Comstock
Resources,
Inc.
445,570‌
13,668
CONSOL
Energy,
Inc.
1,144,832‌
16,422
CVR
Energy,
Inc.
585,608‌
17,383
Dorian
LPG,
Ltd.
668,550‌
31,232
Green
Plains,
Inc.*
722,084‌
96,677
Magnolia
Oil
&
Gas
Corp.,
Class
A
2,508,768‌
47,798
Northern
Oil
and
Gas,
Inc.
1,896,625‌
28,073
Par
Pacific
Holdings,
Inc.*
1,040,385‌
57,244
Peabody
Energy
Corp.
1,388,739‌
7,402
REX
American
Resources
Corp.*
434,571‌
62,149
SM
Energy
Co.
3,098,128‌
66,618
Talos
Energy,
Inc.*
927,989‌
12,251
Vital
Energy,
Inc.*
643,668‌
30,809
World
Kinect
Corp.
814,898‌
18,186,432‌
Paper
&
Forest
Products
(0.3%):
8,703
Clearwater
Paper
Corp.*
380,582‌
23,318
Mercer
International,
Inc.
232,014‌
18,452
Sylvamo
Corp.
1,139,227‌
1,751,823‌
Passenger
Airlines
(1.1%):
67,847
Alaska
Air
Group,
Inc.*
2,916,742‌
7,415
Allegiant
Travel
Co.
557,682‌
173,333
JetBlue
Airways
Corp.*
1,286,131‌
21,441
SkyWest,
Inc.*
1,481,144‌
19,595
Sun
Country
Airlines
Holdings,
Inc.*
295,689‌
6,537,388‌
Personal
Care
Products
(0.5%):
26,151
Edgewell
Personal
Care
Co.
1,010,475‌
9,501
Inter
Parfums
,
Inc.
1,334,986‌
5,433
Medifast
,
Inc.
208,193‌
26,603
Nu
Skin
Enterprises,
Inc.,
Class
A
367,919‌
5,365
USANA
Health
Sciences,
Inc.*
260,202‌
3,181,775‌
Pharmaceuticals
(1.8%):
19,149
Amphastar
Pharmaceuticals,
Inc.*
840,833‌
7,641
ANI
Pharmaceuticals,
Inc.*
528,222‌
16,476
Collegium
Pharmaceutical,
Inc.*
639,598‌
46,414
Corcept
Therapeutics,
Inc.*
1,169,169‌
16,742
Harmony
Biosciences
Holdings,
Inc.*
562,196‌
28,009
Innoviva
,
Inc.*
426,857‌
8,321
Ligand
Pharmaceuticals,
Inc.*
608,265‌
134,236
Organon
&
Co.
2,523,637‌
23,563
Pacira
BioSciences
,
Inc.*
688,511‌
10,190
Phibro
Animal
Health
Corp.,
Class
A
131,757‌
26,141
Prestige
Consumer
Healthcare,
Inc.*
1,896,791‌
28,291
Supernus
Pharmaceuticals,
Inc.*
965,006‌
10,980,842‌
Professional
Services
(1.1%):
15,452
CSG
Systems
International,
Inc.
796,396‌
Shares
Value
Common
Stocks,
continued
Professional
Services,
continued
9,996
Heidrick
&
Struggles
International,
Inc.
$
336,465‌
16,120
Kelly
Services,
Inc.,
Class
A
403,645‌
28,547
Korn
Ferry
1,877,251‌
6,280
NV5
Global,
Inc.*
615,503‌
14,604
Resources
Connection,
Inc.
192,189‌
10,977
TTEC
Holdings,
Inc.
113,831‌
89,119
Verra
Mobility
Corp.*
2,225,301‌
6,560,581‌
Real
Estate
Management
&
Development
(0.6%):
57,636
Anywhere
Real
Estate,
Inc.*
356,191‌
86,101
Cushman
&
Wakefield
plc*
900,616‌
40,490
eXp
World
Holdings,
Inc.
418,262‌
59,656
Kennedy-Wilson
Holdings,
Inc.
511,848‌
12,529
Marcus
&
Millichap,
Inc.
428,116‌
18,453
St.
Joe
Co.
(The)
1,069,720‌
3,684,753‌
Residential
REITs
(0.3%):
7,317
Centerspace
418,093‌
45,277
Elme
Communities
630,256‌
11,504
NexPoint
Residential
Trust,
Inc.
370,314‌
40,522
Veris
Residential,
Inc.
616,340‌
2,035,003‌
Retail
REITs
(1.9%):
53,364
Acadia
Realty
Trust
907,722‌
23,746
Getty
Realty
Corp.
649,453‌
114,724
Macerich
Co.
(The)
1,976,694‌
66,395
Phillips
Edison
&
Co.,
Inc.
2,381,589‌
64,256
Retail
Opportunity
Investments
Corp.
823,762‌
5,848
Saul
Centers,
Inc.
225,089‌
96,974
SITE
Centers
Corp.
1,420,669‌
57,920
Tanger
,
Inc.
1,710,378‌
61,163
Urban
Edge
Properties
1,056,285‌
21,853
Whitestone
REIT
274,255‌
11,425,896‌
Semiconductors
&
Semiconductor
Equipment
(2.8%):
11,905
Alpha
&
Omega
Semiconductor,
Ltd.*
262,386‌
16,911
Axcelis
Technologies,
Inc.*
1,885,915‌
11,943
CEVA,
Inc.*
271,225‌
23,239
Cohu
,
Inc.*
774,556‌
23,660
Diodes,
Inc.*
1,668,030‌
40,467
FormFactor
,
Inc.*
1,846,509‌
15,194
Ichor
Holdings,
Ltd.*
586,792‌
28,612
Kulicke
&
Soffa
Industries,
Inc.
1,439,470‌
38,831
MaxLinear
,
Inc.*
724,975‌
15,541
PDF
Solutions,
Inc.*
523,265‌
32,163
Photronics
,
Inc.*
910,856‌
33,363
Semtech
Corp.*
917,149‌
9,034
SiTime
Corp.*
842,240‌
27,034
SMART
Global
Holdings,
Inc.*
711,535‌
29,557
SolarEdge
Technologies,
Inc.*
2,097,956‌
23,007
Ultra
Clean
Holdings,
Inc.*
1,056,942‌
28,346
Veeco
Instruments,
Inc.*
996,929‌
17,516,730‌
Software
(3.8%):
36,610
A10
Networks,
Inc.
501,191‌
AZL
Small
Cap
Stock
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
208
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Software,
continued
58,428
ACI
Worldwide,
Inc.*
$
1,940,394‌
56,059
Adeia
,
Inc.
612,164‌
10,511
Agilysys
,
Inc.*
885,657‌
26,596
Alarm.com
Holdings,
Inc.*
1,927,412‌
27,254
BlackLine
,
Inc.*
1,760,063‌
75,793
Box,
Inc.,
Class
A*
2,146,458‌
22,189
Cerence
,
Inc.*
349,477‌
72,950
DoubleVerify
Holdings,
Inc.*
2,564,922‌
14,602
Envestnet
,
Inc.*
845,602‌
13,318
InterDigital
,
Inc.
1,417,834‌
35,140
LiveRamp
Holdings,
Inc.*
1,212,330‌
38,144
N-able,
Inc.*
498,542‌
68,622
NCR
Voyix
Corp.*
866,696‌
23,907
Progress
Software
Corp.
1,274,482‌
64,538
Sprinklr
,
Inc.,
Class
A*
791,881‌
19,722
SPS
Commerce,
Inc.*
3,646,598‌
24,593
Xperi
,
Inc.*
296,592‌
23,538,295‌
Specialized
REITs
(0.6%):
45,057
Four
Corners
Property
Trust,
Inc.
1,102,545‌
75,848
Outfront
Media,
Inc.
1,273,488‌
24,253
Safehold
,
Inc.
499,612‌
124,679
Uniti
Group,
Inc.
735,606‌
3,611,251‌
Specialty
Retail
(5.0%):
26,341
Abercrombie
&
Fitch
Co.*
3,301,318‌
39,037
Academy
Sports
&
Outdoors,
Inc.
2,636,559‌
30,851
Advance
Auto
Parts,
Inc.
2,625,112‌
97,331
American
Eagle
Outfitters,
Inc.
2,510,166‌
10,834
Asbury
Automotive
Group,
Inc.*
2,554,441‌
15,753
Boot
Barn
Holdings,
Inc.*
1,498,898‌
14,086
Buckle,
Inc.
(The)
567,243‌
17,607
Caleres
,
Inc.
722,415‌
22,214
Designer
Brands,
Inc.,
Class
A
242,799‌
42,769
Foot
Locker,
Inc.
1,218,917‌
7,057
Group
1
Automotive,
Inc.
2,062,267‌
14,051
Guess?,
Inc.
442,185‌
5,917
Haverty
Furniture
Cos.,
Inc.
201,888‌
5,964
Hibbett,
Inc.
458,095‌
95,103
Leslie's,
Inc.*
618,170‌
9,957
MarineMax
,
Inc.*
331,170‌
14,876
Monro
,
Inc.
469,189‌
40,713
National
Vision
Holdings,
Inc.*
902,200‌
17,047
ODP
Corp.
(The)*
904,343‌
53,908
Sally
Beauty
Holdings,
Inc.*
669,537‌
9,146
Shoe
Carnival,
Inc.
335,109‌
23,256
Signet
Jewelers,
Ltd.
2,327,228‌
7,598
Sonic
Automotive,
Inc.,
Class
A
432,630‌
22,705
Upbound
Group,
Inc.
799,443‌
29,596
Urban
Outfitters,
Inc.*
1,285,058‌
40,169
Victoria's
Secret
&
Co.*
778,475‌
30,894,855‌
Technology
Hardware,
Storage
&
Peripherals
(0.2%):
21,837
Corsair
Gaming,
Inc.*
269,468‌
Shares
Value
Common
Stocks,
continued
Technology
Hardware,
Storage
&
Peripherals,
continued
58,763
Xerox
Holdings
Corp.
$
1,051,858‌
1,321,326‌
Textiles,
Apparel
&
Luxury
Goods
(1.0%):
21,229
G-III
Apparel
Group,
Ltd.*
615,853‌
183,192
Hanesbrands,
Inc.*
1,062,514‌
26,445
Kontoor
Brands,
Inc.
1,593,311‌
7,999
Movado
Group,
Inc.
223,412‌
7,500
Oxford
Industries,
Inc.
843,000‌
36,939
Steven
Madden,
Ltd.
1,561,781‌
41,687
Wolverine
World
Wide,
Inc.
467,311‌
6,367,182‌
Tobacco
(0.2%):
12,899
Universal
Corp.
667,136‌
69,399
Vector
Group,
Ltd.
760,613‌
1,427,749‌
Trading
Companies
&
Distributors
(1.8%):
55,230
Air
Lease
Corp.
2,841,031‌
20,845
Boise
Cascade
Co.
3,196,998‌
54,023
DNOW,
Inc.*
821,150‌
6,191
DXP
Enterprises,
Inc.*
332,642‌
21,382
GMS,
Inc.*
2,081,324‌
32,400
Rush
Enterprises,
Inc.,
Class
A
1,734,048‌
11,007,193‌
Water
Utilities
(0.6%):
18,748
American
States
Water
Co.
1,354,356‌
29,473
California
Water
Service
Group
1,369,905‌
8,699
Middlesex
Water
Co.
456,697‌
14,240
SJW
Group
805,842‌
3,986,800‌
Wireless
Telecommunication
Services
(0.2%):
31,877
Gogo
,
Inc.*
279,880‌
51,015
Telephone
and
Data
Systems,
Inc.
817,260‌
1,097,140‌
Total
Common
Stocks
(Cost
$432,069,662)
613,654,969‌
Affiliated
Investment
Company
(0.2%):
Money
Market
(0.2%):
1,429,073
BlackRock
Liquidity
FedFund
,
Institutional
Class+(c)
(d)
1,429,073‌
Total
Affiliated
Investment
Company
(Cost
$1,429,073)
1,429,073‌
Unaffiliated
Investment
Company
(0.7%):
Money
Markets
(0.7%):
4,024,181
Dreyfus
Treasury
Securities
Cash
Management
Fund,
Institutional
Shares,
5.19%(d)
4,024,181‌
Total
Unaffiliated
Investment
Company
(Cost
$4,024,181)
4,024,181‌
Total
Investment
Securities
(Cost
$437,522,916)
100.2%
619,108,223‌
Net
other
assets
(liabilities)
(0.2)%
(1,211,711‌)
Net
Assets
100.0%
$
617,896,512‌
REIT—Real
Estate
Investment
Trust
AZL
Small
Cap
Stock
Index
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
209
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Percentages
indicated
are
based
on
net
assets
as
of.
March
31,
2024
*
Non-income
producing
security.
^
This
security
or
a
partial
position
of
this
security
was
on
loan
as
of
March
31,
2024.
The
total
value
of
securities
on
loan
as
of
March
31,
2024
was
$1,378,282.
+
Affiliated
Securities
(a)
Rule
144A,
Section
4(2)
or
other
security
which
is
restricted
to
resale
to
institutional
investors.
(b)
Security
was
valued
using
significant
unobservable
inputs
as
of
March
31,
2024.
(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
March
31,
2024.
(d)
The
rate
represents
the
effective
yield
at
March
31,
2024.
Futures
Contracts
At
March
31,
2024,
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
June
Futures
(U.S.
Dollar)
6/21/24
40
$
4,291,800‌
$
153,252‌
$
153,252‌
AZL
T.
Rowe
Price
Capital
Appreciation
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
210
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks
(62.4%):
Aerospace
&
Defense
(1.3%):
5,000
Northrop
Grumman
Corp.
$
2,393,300
129,000
RTX
Corp.
12,581,370
14,974,670
Banks
(0.6%):
39,816
PNC
Financial
Services
Group,
Inc.
(The)
6,434,266
Biotechnology
(1.9%):
57,420
AbbVie,
Inc.
10,456,182
8,700
Argenx
SE,
ADR*
3,425,364
33,654
Biogen,
Inc.*
7,256,812
21,138,358
Broadline
Retail
(2.4%):
146,534
Amazon.com,
Inc.*
26,431,803
Capital
Markets
(2.8%):
14,700
Goldman
Sachs
Group,
Inc.
(The)
6,140,043
93,797
Intercontinental
Exchange,
Inc.
12,890,522
66,357
KKR
&
Co.,
Inc.
6,674,187
63,200
Morgan
Stanley
5,950,912
31,655,664
Chemicals
(0.9%):
21,190
Linde
plc
9,838,941
Commercial
Services
&
Supplies
(3.6%):
12,711
Republic
Services,
Inc.
2,433,394
177,756
Veralto
Corp.
15,759,847
129,716
Waste
Connections,
Inc.,
ADR
22,312,449
40,505,690
Construction
Materials
(0.6%):
11,100
Martin
Marietta
Materials,
Inc.
6,814,734
Electric
Utilities
(1.1%):
322,567
Exelon
Corp.
12,118,842
Electrical
Equipment
(0.5%):
27,903
AMETEK,
Inc.
5,103,459
Electronic
Equipment,
Instruments
&
Components
(1.1%):
28,119
Teledyne
Technologies,
Inc.*
12,072,049
Financial
Services
(2.1%):
26,758
Mastercard,
Inc.,
Class
A
12,885,850
39,978
Visa,
Inc.,
Class
A
11,157,060
24,042,910
Health
Care
Equipment
&
Supplies
(3.2%):
90,109
Becton
Dickinson
&
Co.
22,297,472
98,465
GE
HealthCare
Technologies,
Inc.
8,951,453
21,859
Teleflex,
Inc.
4,943,850
36,192,775
Health
Care
Providers
&
Services
(2.7%):
8,100
Humana,
Inc.
2,808,432
54,446
UnitedHealth
Group,
Inc.
26,934,436
29,742,868
Shares
Value
Common
Stocks,
continued
Hotels,
Restaurants
&
Leisure
(2.0%):
29,203
Hilton
Worldwide
Holdings,
Inc.
$
6,229,292
12,800
McDonald's
Corp.
3,608,960
87,151
Yum!
Brands,
Inc.
12,083,486
21,921,738
Insurance
(1.1%):
7,800
Arthur
J.
Gallagher
&
Co.
1,950,312
49,299
Marsh
&
McLennan
Cos.,
Inc.
10,154,608
12,104,920
Interactive
Media
&
Services
(4.0%):
207,689
Alphabet,
Inc.,
Class
A*
31,346,501
28,419
Meta
Platforms,
Inc.,
Class
A
13,799,698
45,146,199
Life
Sciences
Tools
&
Services
(4.0%):
121,101
Avantor,
Inc.*
3,096,553
59,113
Danaher
Corp.
14,761,698
202,934
Revvity,
Inc.
21,308,070
10,204
Thermo
Fisher
Scientific,
Inc.
5,930,667
45,096,988
Machinery
(3.0%):
304,280
Fortive
Corp.
26,174,165
80,601
Ingersoll
Rand,
Inc.
7,653,065
33,827,230
Multi-Utilities
(3.5%):
148,719
Ameren
Corp.
10,999,257
397,341
CenterPoint
Energy,
Inc.
11,320,245
36,887
CMS
Energy
Corp.
2,225,762
71,752
DTE
Energy
Co.
8,046,269
144,221
NiSource,
Inc.
3,989,153
27,256
WEC
Energy
Group,
Inc.
2,238,263
38,818,949
Oil,
Gas
&
Consumable
Fuels
(2.9%):
298,760
Canadian
Natural
Resources,
Ltd.
22,801,363
105,700
Chesapeake
Energy
Corp.
9,389,331
32,190,694
Pharmaceuticals
(0.9%):
13,100
Eli
Lilly
&
Co.
10,191,276
Professional
Services
(0.0%
):
1,734
Equifax,
Inc.
463,880
Semiconductors
&
Semiconductor
Equipment
(3.4%):
16,200
Advanced
Micro
Devices,
Inc.*
2,923,938
6,016
KLA
Corp.
4,202,597
5,916
Lam
Research
Corp.
5,747,808
23,224
NVIDIA
Corp.
20,984,278
18,261
NXP
Semiconductors
NV
4,524,528
38,383,149
Software
(10.5%):
1,602,524
Aurora
Innovation,
Inc.*
4,519,118
21,841
Intuit,
Inc.
14,196,650
132,803
Microsoft
Corp.
55,872,878
62,617
PTC,
Inc.*
11,830,856
AZL
T.
Rowe
Price
Capital
Appreciation
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
211
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Shares
Value
Common
Stocks,
continued
Software,
continued
30,887
Roper
Technologies,
Inc.
$
17,322,665
47,302
Salesforce,
Inc.
14,246,416
117,988,583
Specialized
REITs
(0.3%):
14,293
SBA
Communications
Corp.
3,097,293
Technology
Hardware,
Storage
&
Peripherals
(1.5%):
97,740
Apple,
Inc.
16,760,455
Water
Utilities
(0.5%):
153,811
Essential
Utilities,
Inc.
5,698,697
Total
Common
Stocks
(Cost
$530,317,055)
698,757,079
Preferred
Stocks
(0.2%):
Capital
Markets
(0.0%
):
1,520
Charles
Schwab
Corp.
(The),
Series
D,
5.95%,
11/14/19
38,395
Electric
Utilities
(0.0%
):
29,746
SCE
Trust
IV,
Series
J,
5.38%,
12/31/49
699,329
Multi-Utilities
(0.2%):
48,165
CMS
Energy
Corp.,
5.88%,
10/15/78
1,166,074
27,845
CMS
Energy
Corp.,
5.88%,
3/1/79
689,721
1,855,795
Total
Preferred
Stocks
(Cost
$2,681,900)
2,593,519
Principal
Amount
Asset
Backed
Securities
(0.1%):
$
809,340
Domino's
Pizza
Master
Issuer
LLC,
Class
A23,
Series
2017-1A,
4.12%,
7/25/47,
Callable
7/25/24
@
100(a)
775,951
619,200
Domino's
Pizza
Master
Issuer
LLC,
Class
A2,
Series
2019-1A,
3.67%,
10/25/49,
Callable
10/25/26
@
100(a)
569,877
Total
Asset
Backed
Securities
(Cost
$1,420,193)
1,345,828
Bank
Loans
(10.4%):
Aerospace
&
Defense
(0.1%):
162,700
TransDigm,
Inc.,
5.32%
(Term
SOFR+0bps ),
8/24/28,
Callable
0
@
101
163,209
1,105,510
TransDigm,
Inc.
Term
Loan
I
1
Loan
Bankdebt,
5.32%
(Term
SOFR+0bps ),
3/15/30
1,107,357
1,270,566
Airlines
(0.2%):
2,338,190
SkyMiles
IP
Ltd.
(Delta
Air
Lines,
Inc.)
Initial
Term
Loan,
9.07%
(Term
SOFR+375bps ),
10/20/27
2,409,318
Building
Products
(0.7%):
2,308,325
Filtration
Group
Corporation
2021
Incremental
Term
Loan,
8.82%
(Term
SOFR+350bps ),
10/21/28
2,311,788
3,724,207
Filtration
Group
Corporation
2023
Extended
Dollar
Term
Loan,
9.57%
(Term
SOFR+425bps ),
10/21/28
3,733,517
2,008,374
Filtration
Group
Corporation
2023
Extended
Euro
Term
Loan,
9.69%
(EURIBOR
RFR+425bps ),
10/21/28
2,162,429
8,207,734
Principal
Amount
Value
Bank
Loans,
continued
Capital
Markets
(0.0%
):
$
334,631
Severin
Acquisition
LLC
Initial
Term
Loan
(First
Lien),
5.34%
(SOFR+0bps ),
8/1/27
$
334,979
Chemicals
(0.8%):
5,200,199
USI,
Inc.
2023
Second
Funding
New
Term
Loan,
8.59%
(SOFR+325bps ),
9/27/30
5,201,811
3,846,831
USI,
Inc.
2023-B
Term
Loan,
8.32%
(Term
SOFR+300bps ),
11/22/29
3,846,292
9,048,103
Diversified
Consumer
Services
(0.4%):
3,288,515
Loire
UK
Midco
3
Limited
Facility
B,
8.82%
(Term
SOFR+350bps ),
4/21/27
3,206,302
650,735
Loire
UK
Midco
3
Limited
Facility
B2,
9.07%
(Term
SOFR+375bps ),
4/21/27
634,467
3,840,769
Electrical
Equipment
(0.0%
):
265,355
Quartz
AcquireCo,
LLC
Term
Loan,
8.82%
(Term
SOFR+350bps ),
6/28/30
265,687
Financial
Services
(0.9%):
122,000
AmWINS
Group,
Inc.
Term
Loan,
7.57%
(Term
SOFR+225bps ),
2/19/28
121,979
1,534,810
Azalea
TopCo,
Inc.
2021
Term
Loan
(First
Lien),
9.07%
(Term
SOFR+375bps ),
7/24/26
1,522,347
830,084
Azalea
TopCo,
Inc.
2022
Incremental
Term
Loan
(First
Lien),
9.07%
(Term
SOFR+375bps ),
7/24/26
824,896
3,732,573
Azalea
TopCo,
Inc.
Initial
Term
Loan
(First
Lien),
8.82%
(Term
SOFR+350bps ),
7/24/26
3,708,461
2,115,792
SBA
Senior
Finance
II
LLC
Initial
Term
Loan
(2024),
7.34%
(SOFR+200bps ),
1/25/31
2,119,092
1,457,120
Trans
Union
LLC
2019
Replacement
Term
B-5
Loan,
7.07%
(Term
SOFR+175bps ),
11/16/26
1,455,634
128,066
Trans
Union
LLC
2024
Replacement
Term
B-7
Loan,
7.32%
(Term
SOFR+200bps ),
12/1/28
127,938
9,880,347
Health
Care
Providers
&
Services
(0.6%):
337,818
ADMI
Corp.
Amendment
No.
10
Extended
Term
Loan,
11.07%
(Term
SOFR+575bps ),
12/23/27
337,818
1,263,621
ADMI
Corp.
Amendment
No.
4
Refinancing
Term
Loan,
8.70%
(Term
SOFR+337.5bps ),
12/23/27
1,216,235
2,677,617
ADMI
Corp.
Amendment
No.
5
Incremental
Term
Loan,
9.07%
(Term
SOFR+375bps ),
12/23/27
2,582,775
2,880,716
Heartland
Dental,
LLC
2023
New
Term
Loan,
10.32%
(Term
SOFR+500bps ),
4/28/28
2,883,251
7,020,079
Hotels,
Restaurants
&
Leisure
(0.8%):
1,486,203
1011778
B.C.
Unlimited
Liability
Company
Term
B-5
Loan,
7.57%
(Term
SOFR+225bps ),
9/20/30
1,484,717
3,315,952
Hilton
Worldwide,
Series
B-3
Term
Loan,
5.34%
(SOFR+0bps ),
6/21/28
3,320,860
4,078,976
IRB
Holding
Corp.
2024
Replacement
Term
B
Loan,
8.07%
(Term
SOFR+275bps ),
12/15/27
4,078,079
8,883,656
Insurance
(2.8%):
5,588,509
Alliant
Holdings
Intermediate
LLC
TLB-6
New
Term
Loan,
8.82%
(Term
SOFR+350bps ),
11/6/30
5,609,466
360,616
AssuredPartners,
Inc.
2020
February
Refinancing
Term
Loan,
8.82%
(Term
SOFR+350bps ),
2/12/27
360,843
AZL
T.
Rowe
Price
Capital
Appreciation
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
212
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Bank
Loans,
continued
Insurance,
continued
$
200,235
AssuredPartners,
Inc.
2021
Term
Loan,
8.82%
(Term
SOFR+350bps ),
2/12/27
$
200,385
751,492
AssuredPartners,
Inc.
2022
Term
Loan,
8.82%
(Term
SOFR+350bps ),
2/12/27
751,966
1,967,177
AssuredPartners,
Inc.
2023
Term
Loan,
9.09%
(SOFR+375bps ),
2/12/27
1,968,003
1,248,584
AssuredPartners,
Inc.
2024
Term
Loan,
8.82%
(Term
SOFR+350bps ),
2/14/31
1,249,758
1,278,916
BroadStreet
Partners,
Inc.
2020
Initial
Term
Loan,
8.32%
(Term
SOFR+300bps ),
1/27/27
1,281,819
2,216,405
BroadStreet
Partners,
Inc.
2023
Term
B
Loan,
9.09%
(SOFR+375bps ),
1/27/29
2,220,837
16,343,040
HUB
International,
Limited
2024
Incremental
Term
Loan,
5.34%
(SOFR+0bps ),
6/20/30
16,345,982
1,108,974
Ryan
Specialty
Group,
LLC
Initial
Term
Loan,
8.07%
(Term
SOFR+275bps ),
9/1/27
1,109,528
31,098,587
Life
Sciences
Tools
&
Services
(0.0%
):
155,526
Avantor
Funding,
Inc.
2021
Incremental
B-5
Dollar
Term
Loan,
7.57%
(Term
SOFR+225bps ),
11/8/27
155,596
Media
(0.1%):
1,086,131
Charter
Communications
Operating,
LLC
Term
B-2
Loan,
7.07%
(Term
SOFR+175bps ),
2/1/27
1,085,859
Oil,
Gas
&
Consumable
Fuels
(0.0%
):
244,957
Medline
Borrower,
LP
Term
Loan
B
1L,
5.44%
(LIBOR+0bps ),
10/23/28
245,466
Software
(2.5%):
9,278,331
Applied
Systems,
Inc.
Initial
Term
Loan
(2024)
(First
Lien),
8.82%
(Term
SOFR+350bps ),
2/24/31
9,329,734
1,311,146
Applied
Systems,
Inc.
Initial
Term
Loan
(2024)
(Second
Lien),
10.57%
(Term
SOFR+525bps ),
2/23/32
1,355,397
3,556,648
Athenahealth
Group,
Inc.
Initial
Term
Loan,
8.57%
(Term
SOFR+325bps ),
2/15/29
3,518,308
739,569
Epicor
Software
Corporation
(fka
Eagle
Parent
Inc.)
Term
C
Loan,
8.57%
(Term
SOFR+325bps ),
7/30/27
741,692
136,070
Epicor
Software
Corporation
(fka
Eagle
Parent
Inc.)
Term
D
Loan,
9.07%
(Term
SOFR+375bps ),
7/30/27
136,654
200,000
RealPage,
Inc.
Initial
Loan
(Second
Lien),
11.82%
(Term
SOFR+650bps ),
4/23/29
197,834
1,472,711
RealPage,
Inc.
Initial
Term
Loan
(First
Lien),
8.32%
(Term
SOFR+300bps ),
4/24/28
1,431,799
3,203,572
Sophia,
LP
Term
B-1
Loan
(First
Lien),
8.82%
(Term
SOFR+350bps ),
10/9/29
3,215,585
7,348,640
UKG,
Inc.
2024
Refinancing
Term
Loan
(First
Lien),
5.34%
(SOFR+0bps ),
2/10/31
7,383,546
27,310,549
Software
&
Tech
Services
(0.1%):
1,084,718
Storable,
Inc.
Initial
Term
Loan
(First
Lien),
8.82%
(Term
SOFR+350bps ),
4/17/28
1,085,174
Principal
Amount
Value
Bank
Loans,
continued
Sovereign
Bond
(0.4%):
$
4,247,150
Mileage
Plus
Holdings
LLC
(Mileage
Plus
Intellectual
Property
Assets,
Ltd.)
Initial
Term
Loan,
10.57%
(Term
SOFR+525bps ),
6/21/27
$
4,368,279
Total
Bank
Loans
(Cost
$115,972,141)
116,510,748
Corporate
Bonds
(10.4%):
Aerospace
&
Defense
(0.7%):
376,000
Howmet
Aerospace,
Inc.,
5.90%,
2/1/27
380,700
758,000
Howmet
Aerospace,
Inc.,
3.00%,
1/15/29,
Callable
11/15/28
@
100^
682,200
1,294,000
TransDigm,
Inc.,
5.50%,
11/15/27,
Callable
5/6/24
@
101.38
1,261,650
2,931,000
TransDigm,
Inc.,
6.38%,
3/1/29,
Callable
3/1/26
@
103.19(a)
2,931,000
627,000
TransDigm,
Inc.,
7.13%,
12/1/31,
Callable
12/1/26
@
103.56(a)
646,594
2,308,000
TransDigm,
Inc.,
6.63%,
3/1/32,
Callable
3/1/27
@
103.31(a)
2,328,195
8,230,339
Automobile
Components
(0.1%):
643,000
Clarios
Global
LP/Clarios
US
Finance
Co.,
6.25%,
5/15/26,
Callable
5/6/24
@
101.56(a)
640,589
818,000
Clarios
Global
LP/Clarios
US
Finance
Co.,
8.50%,
5/15/27,
Callable
5/6/24
@
102.13(a)
819,022
1,459,611
Biotechnology
(0.1%):
1,274,000
Biogen,
Inc.,
3.15%,
5/1/50,
Callable
11/1/49
@
100
852,813
Capital
Markets
(0.4%):
152,000
Intercontinental
Exchange,
Inc.,
4.00%,
9/15/27,
Callable
8/15/27
@
100
147,348
1,456,000
MSCI,
Inc.,
4.00%,
11/15/29,
Callable
11/15/24
@
102(a)
1,344,980
737,000
MSCI,
Inc.,
3.63%,
9/1/30,
Callable
3/1/25
@
101.81(a)
654,088
1,010,000
MSCI,
Inc.,
3.88%,
2/15/31,
Callable
6/1/25
@
101.94(a)
898,900
969,000
MSCI,
Inc.,
3.63%,
11/1/31,
Callable
11/1/26
@
101.81(a)
839,396
676,000
MSCI,
Inc.,
3.25%,
8/15/33,
Callable
8/15/27
@
101.63(a)
556,010
4,440,722
Containers
&
Packaging
(0.1%):
625,000
Ball
Corp.,
6.00%,
6/15/29,
Callable
5/15/26
@
103
630,469
Distributors
(0.2%):
2,543,000
USI,
Inc.,
7.50%,
1/15/32,
Callable
1/15/27
@
103.75(a)
2,546,179
Diversified
Consumer
Services
(0.1%):
103,000
Service
Corp.
International,
4.63%,
12/15/27,
Callable
5/6/24
@
101.54
99,266
605,000
Service
Corp.
International,
3.38%,
8/15/30,
Callable
8/15/25
@
101.69
521,813
621,079
AZL
T.
Rowe
Price
Capital
Appreciation
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
213
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Electric
Utilities
(0.7%):
$
385,000
Alliant
Holdings
Intermediate
LLC/Alliant
Holdings
Co.-Issuer,
4.25%,
10/15/27,
Callable
5/6/24
@
102.13(a)
$
361,900
1,819,000
Alliant
Holdings
Intermediate
LLC/Alliant
Holdings
Co.-Issuer,
6.75%,
10/15/27,
Callable
5/6/24
@
101.69(a)
1,784,894
2,262,000
Alliant
Holdings
Intermediate
LLC/Alliant
Holdings
Co.-Issuer,
6.75%,
4/15/28,
Callable
4/15/25
@
103.38(a)
2,270,482
626,000
Alliant
Holdings
Intermediate
LLC/Alliant
Holdings
Co.-Issuer,
5.88%,
11/1/29,
Callable
11/1/24
@
102.94(a)
580,615
3,187,000
Alliant
Holdings
Intermediate
LLC/Alliant
Holdings
Co.-Issuer,
7.00%,
1/15/31,
Callable
1/15/27
@
103.5(a)
3,214,886
8,212,777
Entertainment
(0.0%
):
100,000
Live
Nation
Entertainment,
Inc.,
4.88%,
11/1/24,
Callable
5/6/24
@
100(a)
99,125
Financial
Services
(1.1%):
876,000
HUB
International,
Ltd.,
5.63%,
12/1/29,
Callable
12/1/24
@
102.81(a)
820,155
10,849,000
HUB
International,
Ltd.,
7.25%,
6/15/30,
Callable
6/15/26
@
103.63(a)
11,120,225
11,940,380
Health
Care
Equipment
&
Supplies
(0.5%):
3,320,000
Avantor
Funding,
Inc.,
4.63%,
7/15/28,
Callable
5/6/24
@
102.31(a)
3,145,700
871,000
Avantor
Funding,
Inc.,
3.88%,
11/1/29,
Callable
11/1/24
@
101.94^(a)
782,811
396,000
Becton,
Dickinson
&
Co.,
3.70%,
6/6/27,
Callable
3/6/27
@
100
380,225
287,000
GE
HealthCare
Technologies,
Inc.,
5.65%,
11/15/27,
Callable
10/15/27
@
100
292,338
574,000
Hologic,
Inc.,
3.25%,
2/15/29,
Callable
5/6/24
@
101.63(a)
513,730
854,000
Teleflex,
Inc.,
4.63%,
11/15/27,
Callable
4/22/24
@
101.54^
818,773
130,000
Teleflex,
Inc.,
4.25%,
6/1/28,
Callable
5/6/24
@
102.13(a)
121,712
6,055,289
Health
Care
Providers
&
Services
(0.5%):
852,000
Heartland
Dental
LLC/Heartland
Dental
Finance
Corp.,
8.50%,
5/1/26,
Callable
5/6/24
@
100^(a)
843,480
1,068,000
Heartland
Dental
LLC/Heartland
Dental
Finance
Corp.,
10.50%,
4/30/28,
Callable
5/15/25
@
105.25(a)
1,132,080
552,000
IQVIA,
Inc.,
5.00%,
5/15/27,
Callable
5/6/24
@
101.25(a)
538,890
852,000
IQVIA,
Inc.,
5.70%,
5/15/28,
Callable
4/15/28
@
100
864,354
355,000
IQVIA,
Inc.,
6.50%,
5/15/30,
Callable
5/15/26
@
103.25(a)
362,100
367,000
Medline
Borrower
LP/Medline
Co-Issuer,
Inc.,
6.25%,
4/1/29,
Callable
4/1/26
@
103.13(a)
368,835
714,000
Surgery
Center
Holdings,
Inc.,
10.00%,
4/15/27,
Callable
4/25/24
@
100(a)
714,892
Principal
Amount
Value
Corporate
Bonds,
continued
Health
Care
Providers
&
Services,
continued
$
428,000
Surgery
Center
Holdings,
Inc.,
7.25%,
4/15/32,
Callable
4/15/27
@
103.63(a)
$
431,745
5,256,376
Health
Care
Technology
(0.0%
):
306,000
Clarivate
Science
Holdings
Corp.,
3.88%,
7/1/28,
Callable
6/30/24
@
101.94(a)
282,285
220,000
Clarivate
Science
Holdings
Corp.,
4.88%,
7/1/29,
Callable
6/30/24
@
102.44(a)
203,500
485,785
Hotels,
Restaurants
&
Leisure
(2.5%):
1,438,000
Cedar
Fair
LP,
5.25%,
7/15/29,
Callable
7/15/24
@
102.63
1,358,910
1,301,000
Cedar
Fair
LP/Canada's
Wonderland
Co./Magnum
Management
Corp./Millennium
Op,
5.50%,
5/1/25,
Callable
5/6/24
@
100(a)
1,294,495
2,088,000
Cedar
Fair
LP/Canada's
Wonderland
Co./Magnum
Management
Corp./Millennium
Op,
5.38%,
4/15/27,
Callable
5/6/24
@
100.9
2,051,460
1,084,000
Cedar
Fair
LP/Canada's
Wonderland
Co./Magnum
Management
Corp./Millennium
Op,
6.50%,
10/1/28,
Callable
4/22/24
@
103.25^
1,086,710
564,000
Hilton
Domestic
Operating
Co.,
Inc.,
5.38%,
5/1/25,
Callable
4/15/24
@
101.34(a)
561,180
1,316,000
Hilton
Domestic
Operating
Co.,
Inc.,
5.75%,
5/1/28,
Callable
5/6/24
@
101.44(a)
1,312,710
734,000
Hilton
Domestic
Operating
Co.,
Inc.,
5.88%,
4/1/29,
Callable
4/1/26
@
102.94(a)
734,000
1,334,000
Hilton
Domestic
Operating
Co.,
Inc.,
3.75%,
5/1/29,
Callable
5/6/24
@
101.88^(a)
1,220,610
1,037,000
Hilton
Domestic
Operating
Co.,
Inc.,
4.88%,
1/15/30,
Callable
1/15/25
@
102.44
991,631
1,695,000
Hilton
Domestic
Operating
Co.,
Inc.,
4.00%,
5/1/31,
Callable
5/1/26
@
102(a)
1,514,906
1,509,000
Hilton
Domestic
Operating
Co.,
Inc.,
3.63%,
2/15/32,
Callable
8/15/26
@
101.81(a)
1,295,854
413,000
Hilton
Worldwide
Finance
LLC/Hilton
Worldwide
Finance
Corp.,
4.88%,
4/1/27,
Callable
4/22/24
@
100.61^
405,256
1,883,000
KFC
Holding
Co./Pizza
Hut
Holdings
LLC/Taco
Bell
of
America
LLC,
4.75%,
6/1/27,
Callable
5/6/24
@
101.58(a)
1,826,510
1,273,000
Life
Time,
Inc.,
5.75%,
1/15/26,
Callable
5/6/24
@
101.44(a)
1,263,453
80,000
Marriott
International,
Inc.,
Series
R,
3.13%,
6/15/26,
Callable
3/15/26
@
100
76,396
1,443,000
Six
Flags
Entertainment
Corp.,
5.50%,
4/15/27,
Callable
5/6/24
@
100.92(a)
1,406,925
737,000
Six
Flags
Theme
Parks,
Inc.,
7.00%,
7/1/25,
Callable
5/6/24
@
101.75(a)
737,921
383,000
Vail
Resorts,
Inc.,
6.25%,
5/15/25,
Callable
5/6/24
@
101.56(a)
383,000
1,021,000
Yum!
Brands,
Inc.,
4.75%,
1/15/30,
Callable
10/15/29
@
100(a)
964,845
1,205,000
Yum!
Brands,
Inc.,
3.63%,
3/15/31,
Callable
12/15/30
@
100
1,066,425
2,387,000
Yum!
Brands,
Inc.,
4.63%,
1/31/32,
Callable
10/1/26
@
102.31
2,202,008
AZL
T.
Rowe
Price
Capital
Appreciation
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
214
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Principal
Amount
Value
Corporate
Bonds,
continued
Hotels,
Restaurants
&
Leisure,
continued
$
2,468,000
Yum!
Brands,
Inc.,
5.38%,
4/1/32,
Callable
4/1/27
@
102.69
$
2,390,875
687,000
Yum!
Brands,
Inc.,
6.88%,
11/15/37
745,395
1,677,000
Yum!
Brands,
Inc.,
5.35%,
11/1/43,
Callable
5/1/43
@
100^
1,595,246
28,486,721
Insurance
(0.8%):
510,000
AmWINS
Group,
Inc.,
4.88%,
6/30/29,
Callable
6/30/24
@
102.44(a)
473,025
313,000
AssuredPartners,
Inc.,
7.50%,
2/15/32,
Callable
2/15/27
@
103.75(a)
307,523
1,215,000
BroadStreet
Partners,
Inc.,
5.88%,
4/15/29,
Callable
5/6/24
@
102.94(a)
1,122,356
6,300,000
HUB
International,
Ltd.,
7.38%,
1/31/32,
Callable
1/31/27
@
103.69(a)
6,323,625
293,000
Ryan
Specialty
LLC,
4.38%,
2/1/30,
Callable
2/1/25
@
102.19(a)
271,391
8,497,920
IT
Services
(0.1%):
474,000
Gartner,
Inc.,
4.50%,
7/1/28,
Callable
5/6/24
@
102.25(a)
450,300
889,000
Gartner,
Inc.,
3.63%,
6/15/29,
Callable
6/15/24
@
101.81(a)
802,323
341,000
Gartner,
Inc.,
3.75%,
10/1/30,
Callable
10/1/25
@
101.88(a)
303,916
1,556,539
Life
Sciences
Tools
&
Services
(0.2%):
541,000
Charles
River
Laboratories
International,
Inc.,
4.25%,
5/1/28,
Callable
4/22/24
@
102.13^(a)
507,187
491,000
Charles
River
Laboratories
International,
Inc.,
3.75%,
3/15/29,
Callable
5/6/24
@
101.88(a)
446,810
814,000
Charles
River
Laboratories
International,
Inc.,
4.00%,
3/15/31,
Callable
3/15/26
@
102(a)
724,460
211,000
PRA
Health
Sciences,
Inc.,
2.88%,
7/15/26,
Callable
5/6/24
@
101.44(a)
196,230
1,874,687
Media
(1.1%):
439,000
CCO
Holdings
LLC/CCO
Holdings
Capital
Corp.,
5.50%,
5/1/26,
Callable
5/6/24
@
100(a)
431,318
5,502,000
CCO
Holdings
LLC/CCO
Holdings
Capital
Corp.,
5.13%,
5/1/27,
Callable
5/6/24
@
100.85(a)
5,233,777
5,613,000
CCO
Holdings
LLC/CCO
Holdings
Capital
Corp.,
5.00%,
2/1/28,
Callable
4/22/24
@
101.67(a)
5,206,057
754,000
Lamar
Media
Corp.,
3.75%,
2/15/28,
Callable
4/22/24
@
100.94^
704,048
124,000
Lamar
Media
Corp.,
4.88%,
1/15/29,
Callable
5/6/24
@
102.44^
119,195
120,000
Lamar
Media
Corp.,
3.63%,
1/15/31,
Callable
1/15/26
@
101.81^
105,150
11,799,545
Metals
&
Mining
(0.1%):
1,223,000
Panther
Escrow
Issuer
LLC,
7.13%,
6/1/31,
Callable
6/1/27
@
103.56(a)
1,242,874
Oil,
Gas
&
Consumable
Fuels
(0.0%
):
94,000
Pioneer
Natural
Resources
Co.,
1.13%,
1/15/26,
Callable
12/15/25
@
100
87,513
194,000
Pioneer
Natural
Resources
Co.,
5.10%,
3/29/26
193,751
Principal
Amount
Value
Corporate
Bonds,
continued
Oil,
Gas
&
Consumable
Fuels,
continued
$
237,000
Pioneer
Natural
Resources
Co.,
2.15%,
1/15/31,
Callable
10/15/30
@
100
$
199,341
480,605
Passenger
Airlines
(0.3%):
1,662,274
Delta
Air
Lines,
Inc./SkyMiles
IP,
Ltd.,
4.75%,
10/20/28(a)
1,624,726
1,413,155
Mileage
Plus
Holdings
LLC/Mileage
Plus
Intellectual
Property
Assets,
Ltd.,
6.50%,
6/20/27,
Callable
5/6/24
@
103.25(a)
1,418,455
3,043,181
Professional
Services
(0.1%):
845,000
Korn
Ferry,
4.63%,
12/15/27,
Callable
5/6/24
@
101.16(a)
802,750
Real
Estate
Management
&
Development
(0.1%):
272,000
VICI
Properties
LP/VICI
Note
Co.,
Inc.,
5.75%,
2/1/27,
Callable
11/1/26
@
100(a)
270,980
235,000
VICI
Properties
LP/VICI
Note
Co.,
Inc.,
3.75%,
2/15/27,
Callable
5/6/24
@
100.94(a)
222,075
283,000
VICI
Properties
LP/VICI
Note
Co.,
Inc.,
4.13%,
8/15/30,
Callable
2/15/25
@
102.06(a)
257,176
750,231
Software
(0.2%):
228,000
Black
Knight
InfoServ
LLC,
3.63%,
9/1/28,
Callable
4/15/24
@
101.81(a)
215,460
675,000
Booz
Allen
Hamilton,
Inc.,
3.88%,
9/1/28,
Callable
5/6/24
@
101.94(a)
631,969
476,000
Booz
Allen
Hamilton,
Inc.,
4.00%,
7/1/29,
Callable
7/1/24
@
102(a)
443,275
345,000
Booz
Allen
Hamilton,
Inc.,
5.95%,
8/4/33,
Callable
5/4/33
@
100
357,075
60,000
Crowdstrike
Holdings,
Inc.,
3.00%,
2/15/29,
Callable
4/15/24
@
101.5
53,100
428,000
PTC,
Inc.,
4.00%,
2/15/28,
Callable
5/6/24
@
101.33(a)
399,110
618,000
UKG,
Inc.,
6.88%,
2/1/31,
Callable
2/1/27
@
103.44^(a)
627,270
2,727,259
Specialized
REITs
(0.3%):
113,000
American
Tower
Corp.,
1.50%,
1/31/28,
Callable
11/30/27
@
100
98,430
1,792,000
SBA
Communications
Corp.,
3.88%,
2/15/27,
Callable
4/15/24
@
100.97
1,700,160
1,367,000
SBA
Communications
Corp.,
3.13%,
2/1/29,
Callable
5/6/24
@
101.56
1,197,834
63,000
SBA
Tower
Trust,
6.60%,
1/15/28,
Callable
1/15/27
@
100(a)
64,566
679,000
VICI
Properties
LP,
5.75%,
4/1/34,
Callable
1/1/34
@
100
670,512
3,731,502
Technology
Hardware,
Storage
&
Peripherals
(0.1%):
290,000
Sensata
Technologies,
Inc.,
4.38%,
2/15/30,
Callable
11/15/29
@
100(a)
261,363
743,000
Sensata
Technologies,
Inc.,
3.75%,
2/15/31,
Callable
2/15/26
@
101.88(a)
637,122
898,485
Total
Corporate
Bonds
(Cost
$117,255,135)
116,723,243
AZL
T.
Rowe
Price
Capital
Appreciation
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
215
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Percentages
indicated
are
based
on
net
assets
as
of
March
31,
2024.
Principal
Amount
Value
Yankee
Debt
Obligations
(0.4%):
Automobile
Components
(0.1%):
$
467,000
Clarios
Global
LP,
6.75%,
5/15/25,
Callable
5/6/24
@
101.69(a)
$
466,416
Commercial
Services
&
Supplies
(0.2%):
580,000
GFL
Environmental,
Inc.,
4.00%,
8/1/28,
Callable
4/15/24
@
102(a)
532,875
1,304,000
GFL
Environmental,
Inc.,
4.75%,
6/15/29,
Callable
6/15/24
@
102.38(a)
1,222,500
476,000
GFL
Environmental,
Inc.,
4.38%,
8/15/29,
Callable
8/15/24
@
102.19(a)
436,135
319,000
GFL
Environmental,
Inc.,
6.75%,
1/15/31,
Callable
1/15/27
@
103.38(a)
326,576
2,518,086
Electrical
Equipment
(0.1%):
565,000
Sensata
Technologies
BV,
5.00%,
10/1/25(a)
557,937
359,000
Sensata
Technologies
BV,
4.00%,
4/15/29,
Callable
5/6/24
@
102(a)
327,588
403,000
Sensata
Technologies
BV,
5.88%,
9/1/30,
Callable
9/1/25
@
102.94(a)
393,933
1,279,458
Health
Care
Providers
&
Services
(0.0%
):
220,100
1011778
BC
ULC,
7.58%,
9/23/30,
Callable
5/4/24
@
100
219,880
Total
Yankee
Debt
Obligations
(Cost
$4,463,927)
4,483,840
Principal
Amount
Value
U.S.
Treasury
Obligations
(11.3%):
U.S.
Treasury
Notes
(11.3%):
$
33,096,500
3.38%,
5/15/33
$
31,038,312
32,804,100
3.88%,
8/15/33
31,973,746
41,884,900
4.50%,
11/15/33
42,853,488
20,427,600
4.00%,
2/15/34
20,108,419
125,973,965
Total
U.S.
Treasury
Obligations
(Cost
$124,796,768)
125,973,965
Shares
Unaffiliated
Investment
Companies
(5.1%):
Money
Markets
(5.1%):
1,666,900
BlackRock
Liquidity
FedFund,
Institutional
Class,
5.07%(b)(c)
1,666,900
55,111,425
Dreyfus
Treasury
Securities
Cash
Management
Fund,
Institutional
Shares,
5.19%(c)
55,111,425
Total
Unaffiliated
Investment
Companies
(Cost
$56,778,325)
56,778,325
Total
Investment
Securities
(Cost
$953,685,443)
100.3%
1,123,166,547
Net
other
assets
(liabilities)
(0.3)%
(2,923,056)
Net
Assets
100.0%
$
1,120,243,491
ADR—American
Depository
Receipt
EURIBOR
RFR—Euro
Interbank
Offered
Rate
Risk-Free
Rate
LIBOR—London
Interbank
Offered
Rate
SOFR—Secured
Overnight
Financing
Rate
^
This
security
or
a
partial
position
of
this
security
was
on
loan
as
of
March
31,
2024.
The
total
value
of
securities
on
loan
as
of
March
31,
2024
was
$1,599,326.
Represents
less
than
0.05%.
*
Non-income
producing
security.
(a)
Rule
144A,
Section
4(2)
or
other
security
which
is
restricted
to
resale
to
institutional
investors.
(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
March
31,
2024.
(c)
The
rate
represents
the
effective
yield
at
March
31,
2024.
AZL
T.
Rowe
Price
Capital
Appreciation
Fund
Schedule
of
Portfolio
Investments
March
31,
2024
(Unaudited)
216
See
accompanying
notes
to
the
schedules
of
portfolio
investments.
Options
Contracts
At
March
31,
2024,
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
Abbvie,
Inc.
Citigroup
Call
160.00
USD
1/20/25
94‌
$
15,040‌
$
(274,703‌)
Abbvie,
Inc.
Citigroup
Call
165.00
USD
1/20/25
94‌
15,510‌
(240,545‌)
Abbvie,
Inc.
Morgan
Stanley
Call
170.00
USD
1/20/25
31‌
5,270‌
(68,633‌)
Abbvie,
Inc.
Citigroup
Call
175.00
USD
1/20/25
120‌
21,000‌
(226,854‌)
Abbvie,
Inc.
Morgan
Stanley
Call
165.00
USD
1/21/25
30‌
4,950‌
(76,770‌)
Arthur
J.
Gallagher
Co.
JPMorgan
Chase
Call
250.00
USD
11/15/24
62‌
15,500‌
(120,194‌)
Danaher
Corp.
UBS
Call
300.00
USD
1/20/25
44‌
13,200‌
(33,028‌)
Exelon
Corp.
JPMorgan
Chase
Call
47.00
USD
6/21/24
14‌
658‌
(7‌)
Intercontinental
Exchange,
Inc.
Citigroup
Call
125.00
USD
1/17/25
90‌
11,250‌
(186,317‌)
Intercontinental
Exchange,
Inc.
Citigroup
Call
130.00
USD
1/17/25
90‌
11,700‌
(154,143‌)
Intercontinental
Exchange,
Inc.
Bank
of
America
Call
140.00
USD
1/20/25
64‌
8,960‌
(69,263‌)
Intercontinental
Exchange,
Inc.
Bank
of
America
Call
145.00
USD
1/20/25
65‌
9,425‌
(53,344‌)
Marsh
McLennan
Cos.,
Inc.
Goldman
Sachs
Call
210.00
USD
7/19/24
29‌
6,090‌
(19,138‌)
Marsh
McLennan
Cos.,
Inc.
Goldman
Sachs
Call
220.00
USD
7/19/24
29‌
6,380‌
(8,128‌)
Marsh
McLennan
Cos.,
Inc.
Goldman
Sachs
Call
210.00
USD
12/20/24
114‌
23,940‌
(147,090‌)
Mastercard,
Inc.
JPMorgan
Chase
Call
480.00
USD
1/20/25
17‌
8,160‌
(77,523‌)
Mastercard,
Inc.
JPMorgan
Chase
Call
490.00
USD
1/20/25
17‌
8,330‌
(67,571‌)
Mastercard,
Inc.
JPMorgan
Chase
Call
500.00
USD
1/20/25
16‌
8,000‌
(54,911‌)
McDonald
S
Corp.
UBS
Call
320.00
USD
1/20/25
43‌
13,760‌
(23,448‌)
McDonald
S
Corp.
UBS
Call
325.00
USD
1/20/25
42‌
13,650‌
(18,946‌)
McDonald
S
Corp.
UBS
Call
330.00
USD
1/20/25
43‌
14,190‌
(16,050‌)
New
Linde
plc
Wells
Fargo
Call
460.00
USD
1/17/25
28‌
12,880‌
(118,917‌)
New
Linde
plc
Wells
Fargo
Call
480.00
USD
1/17/25
28‌
13,440‌
(86,907‌)
New
Linde
plc
Wells
Fargo
Call
440.00
USD
1/20/25
21‌
9,240‌
(116,652‌)
New
Linde
plc
Wells
Fargo
Call
450.00
USD
1/20/25
21‌
9,450‌
(102,530‌)
Northrop
Grumman
Corp.
Call
490.00
USD
1/20/25
50‌
24,500‌
(179,134‌)
NXP
Semiconductors
NV
Wells
Fargo
Call
220.00
USD
6/21/24
11‌
2,420‌
(38,115‌)
Republic
Services,
Inc.
Wells
Fargo
Call
170.00
USD
7/19/24
13‌
2,210‌
(31,407‌)
Republic
Services,
Inc.
Wells
Fargo
Call
175.00
USD
7/19/24
13‌
2,275‌
(25,638‌)
Roper
Technologies,
Inc.
Citigroup
Call
580.00
USD
12/20/24
26‌
15,080‌
(85,253‌)
Roper
Technologies,
Inc.
Citigroup
Call
600.00
USD
12/20/24
36‌
21,600‌
(85,075‌)
Roper
Technologies,
Inc.
Citigroup
Call
620.00
USD
12/20/24
10‌
6,200‌
(16,850‌)
Roper
Technologies,
Inc.
Citigroup
Call
640.00
USD
12/20/24
10‌
6,400‌
(12,101‌)
Salesforce.com,
Inc.
Goldman
Sachs
Call
230.00
USD
6/21/24
7‌
1,610‌
(52,205‌)
Salesforce.com,
Inc.
Goldman
Sachs
Call
240.00
USD
6/21/24
7‌
1,680‌
(45,631‌)
Thermo
Fisher
Scientific,
Inc.
JPMorgan
Chase
Call
650.00
USD
1/20/25
19‌
12,350‌
(53,608‌)
UnitedHealth
Group,
Inc.
Citigroup
Call
580.00
USD
1/20/25
44‌
25,520‌
(59,085‌)
UnitedHealth
Group,
Inc.
JPMorgan
Chase
Call
600.00
USD
1/20/25
52‌
31,200‌
(49,664‌)
Visa,
Inc.
Goldman
Sachs
Call
250.00
USD
6/21/24
4‌
1,000‌
(13,220‌)
Visa,
Inc.
Goldman
Sachs
Call
260.00
USD
6/21/24
4‌
1,040‌
(9,814‌)
Visa,
Inc.
Goldman
Sachs
Call
305.00
USD
1/20/25
27‌
8,235‌
(32,563‌)
Visa,
Inc.
Goldman
Sachs
Call
310.00
USD
1/20/25
27‌
8,370‌
(27,885‌)
Visa,
Inc.
Goldman
Sachs
Call
315.00
USD
1/20/25
27‌
8,505‌
(23,854‌)
Yum
Brands,
Inc.
Wells
Fargo
Call
140.00
USD
1/20/25
56‌
7,840‌
(56,874‌)
Yum!
Brands,
Inc.
JPMorgan
Chase
Call
145.00
USD
1/20/25
63‌
9,135‌
(47,092‌)
Yum!
Brands,
Inc.
Wells
Fargo
Call
145.00
USD
1/20/25
160‌
23,200‌
(119,600‌)
Yum!
Brands,
Inc.
Wells
Fargo
Call
150.00
USD
1/20/25
160‌
24,000‌
(84,833‌)
Yum!
Brands,
Inc.
JPMorgan
Chase
Call
150.00
USD
1/20/25
63‌
9,450‌
(33,403‌)
Total
(Premiums
$2,223,156)
$
(3,544,516‌)
(a)
Notional
amount
is
expressed
as
the
number
of
contracts
multiplied
by
the
strike
price
of
the
underlying
asset.
ALLIANZ
VARIABLE
INSURANCE
PRODUCTS
TRUST
NOTES
TO
THE
SCHEDULES
OF
PORTFOLIO
INVESTMENTS
March
31,
2024
(Unaudited)
217
1.
Consolidation
of
Subsidiary
Effective
as
of
the
close
of
business
March
10,
2023,
the
International
Index
Fund
(the
“Fund”)
via
a
Purchase
Agreement
invested
in
shares
of
another
series
of
the
Trust
managed
by
the
Manager,
the
AZL
MSCI
Emerging
Markets
Equity
Index
Fund
(the
“Subsidiary”),
a
wholly-owned
and
controlled
subsidiary
of
the
Fund.
As
of
March
31,
2024,
the
Fund’s
aggregate
investment
in
the
Subsidiary
was
$1,
representing
less
than
0.01%
of
the
Fund’s
net
assets.
The
Subsidiary
is
a
disregarded
entity
for
federal
income
tax
purposes
and
holds
certain
Russian-based
securities
which
have
settlement
restrictions.
The
Subsidiary’s
financial
statements,
including
its
investments,
and
its
operating
results
have
been
consolidated
with
those
of
the
Fund.
All
intercompany
transactions
have
been
eliminated.
2.
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
March
31,
2024,
the
following
investments
are
noted
as
affiliated
securities
in
each
Fund’s
Schedule
of
Portfolio
Investments.
Value
12/31/23
Purchases
at
Cost
Proceeds
from
Sales
Net
Realized
Gains
(Losses)
Change
in
Net
Unrealized
Appreciation
(Depreciation)
Value
03/31/24
Shares
as
of
03/31/24
AZL
International
Index
Fund
Allianz
SE,
Registered
Shares
$
8,264,578
$
$
(598,578
)
$
246,866
$
706,692
$
8,619,558
28,766
Value
12/31/23
Purchases
at
Cost
Proceeds
from
Sales
Net
Realized
Gains
(Losses)
Change
in
Net
Unrealized
Appreciation
(Depreciation)
Value
03/31/24
Shares
as
of
03/31/24
AZL
Moderate
Index
Strategy
Fund
AZL
Enhanced
Bond
Index
Fund
$
565,006,998
$
7,638,147
$
(2,842,592
)
$
(540,737)
$
(3,407,568)
$
565,854,248
58,036,333
AZL
International
Index
Fund,
Class
2
215,889,716
(12,830,996
)
(966,109
)
12,732,215
214,824,826
11,656,258
AZL
Mid
Cap
Index
Fund,
Class
2.
128,616,815
(9,680,251
)
(2,531,257
)
14,652,373
131,057,680
5,617,560
AZL
S&P
500
Index
Fund,
Class
2
449,516,866
(41,205,482
)
(3,971,295
)
48,457,571
452,797,660
20,323,055
AZL
Small
Cap
Stock
Index
Fund,
Class
2
64,890,781
(538,306
)
(220,796
)
1,623,569
65,755,248
5,256,215
$
1,423,921,176
$
7,638,147
$
(67,097,627
)
$
(8,230,194)
$
74,058,160
$
1,430,289,662
100,889,421
Value
12/31/23
Purchases
at
Cost
Proceeds
from
Sales
Net
Realized
Gains
(Losses)
Change
in
Net
Unrealized
Appreciation
(Depreciation)
Value
03/31/24
Shares
as
of
03/31/24
AZL
MSCI
Global
Equity
Index
Fund
Allianz
SE,
Registered
Shares
$
697,572
$
$
(60,925
)
$
8,903
$
72,697
$
718,247
2,397
BlackRock,
Inc.,
Class
A
Shares
784,199
(39,514
)
(3,758
)
22,742
763,669
916
$
1,481,771
$
$
(100,439
)
$
5,145
$
95,439
$
1,481,916
3,313
Value
12/31/23
Purchases
at
Cost
Proceeds
from
Sales
Net
Realized
Gains
(Losses)
Change
in
Net
Unrealized
Appreciation
(Depreciation)
Value
03/31/24
Shares
as
of
03/31/24
AZL
Russell
1000
Value
Index
Fund
BlackRock
Inc.,
Class
A
$
3,907,193
$
$
(97,115)
$
18,733
$
82,909
$
3,911,720
4,692
Value
12/31/23
Purchases
at
Cost
Proceeds
from
Sales
Net
Realized
Gains
(Losses)
Change
in
Net
Unrealized
Appreciation
(Depreciation)
Value
03/31/24
Shares
as
of
03/31/24
AZL
S&P
500
Index
Fund
Allianz
SE,
Registered
Shares
$
7,298,082
$
$
(478,972
)
$
154,395
$
23,739
$
6,997,244
8,393
ALLIANZ
VARIABLE
INSURANCE
PRODUCTS
TRUST
NOTES
TO
THE
SCHEDULES
OF
PORTFOLIO
INVESTMENTS
March
31,
2024
(Unaudited)
218
3.
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
Trustees.
Not
all
restricted
securities
are
considered
illiquid.
The
illiquid
restricted
securities
held
as
of
March
31,
2024
are
identified
below.
AZL
Enhanced
Bond
Index
Fund
AZL
Fidelity
Institutional
Asset
Management
Multi-Strategy
Fund
AZL
Fidelity
Institutional
Asset
Management
Total
Bond
Fund
Security
Acquisition
Date(a)
Acquisition
Cost
Shares
or
Principal
Amount
Value
Percentage
of
Net
Assets
Signal
Peak
CLO
4,
Ltd.,
Series
2017-4A,
Class
XR,
6.56%,
10/26/34
3/16/23
$
1,228,75
0
1,250,000
$
1,248,
068
0.04%
Security
Acquisition
Date(a)
Acquisition
Cost
Shares
or
Principal
Amount
Value
Percentage
of
Net
Assets
Finastra
Term
1Ln,
12.57%,
9/13/29
9/22/23
$
320,808
327,355
$
327,355
0.02%
Mesquite
Energy,
Inc.,
7.25%,
2/15/23
10/30/18
256,808
278,000
0.00%
Acquisition
Date
(a)
Acquisition
Cost
Shares
or
Principal
Amount
Value
Percentage
of
Net
Assets
Finastra
Term
1Ln,
12.57%,
9/13/29
9/22/23
$
52,670
53,745
$
53,745
0.04%
Mesquite
Energy,
Inc.,
7.25%,
2/15/23
10/30/18
376,933
408,000
0.00%
(a)
Acquisition
date
represents
the
initial
purchase
date
of
the
security.