NPORT-EX 3 NPORT_EBWR_25487391_1022.htm

 

Lord Abbett
Quarterly Portfolio Holdings Report

 

Lord Abbett

Climate Focused Bond Fund

Emerging Markets Equity Fund

International Growth Fund

Short Duration High Yield Fund

 

For the period ended October 31, 2022

 

 

Schedule of Investments (unaudited)

CLIMATE FOCUSED BOND FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
LONG-TERM INVESTMENTS 94.26%                
                 
ASSET-BACKED SECURITIES 0.88%                
                 
Automobiles 0.50%                
Tesla Auto Lease Trust 2021-A B  1.02%  3/20/2025  $100,000   $94,944 
                 
Other 0.38%                
Sunrun Demeter Issuer 2021-2A A  2.27%  1/30/2057   95,149    72,918 
Total Asset-Backed Securities (cost $195,373)              167,862 
                 
CONVERTIBLE BONDS 0.76%                
                 
Auto Manufacturers 0.13%                
Lucid Group, Inc.  1.25%  12/15/2026   12,000    7,530 
NIO, Inc. (China)(a)  0.50%  2/1/2027   8,000    5,740 
Tesla, Inc.  2.00%  5/15/2024   1,000    10,990 
Total              24,260 
                 
Energy-Alternate Sources 0.56%                
Enphase Energy, Inc.  Zero Coupon  3/1/2026   19,000    23,380 
NextEra Energy Partners LP  Zero Coupon  6/15/2024   14,000    13,496 
Plug Power, Inc.  3.75%  6/1/2025   3,000    9,654 
SolarEdge Technologies, Inc. (Israel)(a)  Zero Coupon  9/15/2025   21,000    23,530 
SunPower Corp.  4.00%  1/15/2023   16,000    16,384 
Sunrun, Inc.  Zero Coupon  2/1/2026   30,000    20,070 
Total              106,514 
                 
REITS 0.07%                
HAT Holdings I LLC/HAT Holdings II LLC  Zero Coupon  5/1/2025   15,000    13,126 
Total Convertible Bonds (cost $182,537)              143,900 
                 
CORPORATE BONDS 67.26%                
                 
Agriculture 0.52%                
Darling Ingredients, Inc.  5.25%  4/15/2027   67,000    64,420 
Darling Ingredients, Inc.  6.00%  6/15/2030   36,000    34,699 
Total              99,119 
                 
Auto Manufacturers 0.20%                
Ford Motor Co.  3.25%  2/12/2032   50,000    37,626 
                 
Auto Parts & Equipment 0.78%                
Aptiv plc (Ireland)(a)  4.35%  3/15/2029   35,000    31,327 
BorgWarner, Inc.  3.375%  3/15/2025   65,000    62,108 

 

  See Notes to Schedule of Investments. 1
 

Schedule of Investments (unaudited)(continued)

CLIMATE FOCUSED BOND FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Auto Parts & Equipment (continued)                
Dana, Inc.  4.25%  9/1/2030  $68,000   $54,563 
Total              147,998 
                    
Banks 10.19%                
ABN AMRO Bank NV (Netherlands)†(a)2.47%
(1 Yr. Treasury CMT + 1.10%
)# 12/13/2029   200,000    155,605 
Bank of America Corp.  2.456%
(3 Mo. LIBOR + .87%
)# 10/22/2025   210,000    196,049 
Bank of Ireland Group plc(b)  0.375%
(1 Yr. EUSA + .77%
)# 5/10/2027  EUR 100,000    83,752 
Bank of Nova Scotia (The) (Canada)(a)  0.65%  7/31/2024  $125,000    115,137 
Bank of Nova Scotia (The) (Canada)(a)  2.375%  1/18/2023   80,000    79,624 
BNP Paribas SA (France)†(a)  1.675%
(SOFR + .91%
)# 6/30/2027   200,000    167,714 
CaixaBank SA(b)  1.25%
(5 Yr. EUSA + 3.63%
)# 6/18/2031  EUR 100,000    82,764 
Citigroup, Inc.  1.678%
(SOFR + 1.67%
)# 5/15/2024  $125,000    122,290 
Danske Bank A/S(b)  0.75%
(1 Yr. EUAMDB + .88%
)# 6/9/2029  EUR 100,000    78,083 
Development Bank of Japan, Inc. (Japan)†(a)  4.375%  9/22/2025  $200,000    197,252 
JPMorgan Chase & Co.  0.768%
(SOFR + .49%
)# 8/9/2025   221,000    201,769 
Kreditanstalt fuer Wiederaufbau (Germany)(a)  0.75%  9/30/2030   150,000    114,964 
Kreditanstalt fuer Wiederaufbau (Germany)(a)  1.75%  9/14/2029   175,000    149,000 
Landesbank Baden-Wuerttemberg(b)  1.50%  2/3/2025  GBP 100,000    104,560 
Royal Bank of Canada (Canada)(a)  1.15%  7/14/2026  $100,000    85,459 
Total              1,934,022 
                    
Biotechnology 0.26%                
Amgen, Inc.  3.00%  2/22/2029   56,000    48,938 
                    
Building Materials 0.77%                
Eco Material Technologies, Inc.  7.875%  1/31/2027   45,000    42,121 
Johnson Controls International plc/Tyco Fire & Security Finance SCA  1.75%  9/15/2030   72,000    55,312 
Owens Corning, Inc.  3.95%  8/15/2029   55,000    48,321 
Total              145,754 

 

2 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

CLIMATE FOCUSED BOND FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Chemicals 1.09%                
Air Liquide Finance SA(b)  0.375%  5/27/2031  EUR 100,000   $77,810 
Sociedad Quimica y Minera de Chile SA (Chile)†(a)  3.50%  9/10/2051  $200,000    128,424 
Total              206,234 
                 
Commercial Services 1.65%                
Bureau Veritas SA(b)  1.875%  1/6/2025  EUR 100,000    93,898 
Global Payments, Inc.  3.20%  8/15/2029  $50,000    41,611 
Global Payments, Inc.  3.75%  6/1/2023   30,000    29,697 
Massachusetts Institute of Technology  3.959%  7/1/2038   75,000    65,831 
Techem Verwaltungsgesellschaft 674 mbH(b)  6.00%  7/30/2026  EUR 87,920    81,561 
Total              312,598 
                 
Computers 0.42%                
Apple, Inc.  3.00%  6/20/2027  $85,000    79,201 
                 
Distribution/Wholesale 0.43%                
Rexel SA(b)  2.125%  6/15/2028  EUR 100,000    81,734 
                 
Diversified Financial Services 1.93%                
CDP Financial, Inc. (Canada)(a)  1.00%  5/26/2026  $250,000    219,558 
LeasePlan Corp. NV(b)  0.25%  2/23/2026  EUR100,000    84,838 
Visa, Inc.  0.75%  8/15/2027  $75,000    62,529 
Total              366,925 
                 
Electric 11.28%                
AB Ignitis Grupe(b)  2.00%  5/21/2030  EUR 100,000    77,773 
Audax Renovables SA(b)  4.20%  12/18/2027  EUR 100,000    59,048 
Clearway Energy Operating LLC  3.75%  2/15/2031  $70,000    58,619 
Drax Finco plc(b)  2.625%  11/1/2025  EUR 100,000    88,695 
EDP Finance BV (Netherlands)†(a)  6.30%  10/11/2027  $200,000    199,328 
Electricite de France SA(b)  1.00%  11/29/2033  EUR 100,000    67,054 
Enel Finance International NV (Netherlands)†(a)  2.25%  7/12/2031  $200,000    135,893 
Engie SA(b)  0.375%  6/21/2027  EUR 100,000    85,699 
Greenko Investment Co. (India)†(a)  4.875%  8/16/2023  $200,000    191,680 
Korea East-West Power Co. Ltd. (South Korea)†(a)  3.60%  5/6/2025   200,000    191,784 
Leeward Renewable Energy Operations LLC  4.25%  7/1/2029   102,000    82,769 
Liberty Utilities Finance GP 1  2.05%  9/15/2030   75,000    55,595 
MidAmerican Energy Co.  3.95%  8/1/2047   65,000    49,563 
NextEra Energy Capital Holdings, Inc.  1.90%  6/15/2028   86,000    71,072 
NextEra Energy Operating Partners LP  4.50%  9/15/2027   55,000    51,231 

 

  See Notes to Schedule of Investments. 3
 

Schedule of Investments (unaudited)(continued)

CLIMATE FOCUSED BOND FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Electric (continued)                
Northern States Power Co/MN  2.60%  6/1/2051  $50,000   $29,845 
Orsted A/S(b)  1.50%  11/26/2029  EUR 100,000    86,304 
Pattern Energy Operations LP/Pattern Energy Operations, Inc.  4.50%  8/15/2028  $64,000    57,708 
Ren Finance BV(b)  0.50%  4/16/2029  EUR 100,000    78,640 
Solar Star Funding LLC  5.375%  6/30/2035  $81,796    81,490 
Southwestern Public Service Co.  3.75%  6/15/2049   50,000    35,899 
Statnett SF(b)  0.518%  6/30/2023  SEK 2,000,000    177,779 
TenneT Holding BV(b)  0.125%  11/30/2032  EUR 100,000    67,425 
Tucson Electric Power Co.  1.50%  8/1/2030  $60,000    44,686 
Wisconsin Electric Power Co.  4.75%  9/30/2032   16,000    15,234 
Total              2,140,813 
                 
Electrical Components & Equipment 0.51%                
Schneider Electric SE(b)  1.841%  10/13/2025  EUR 100,000    96,626 
                 
Electronics 0.59%                
Amphenol Corp.  2.80%  2/15/2030  $75,000    62,375 
Hubbell, Inc.  3.50%  2/15/2028   55,000    50,037 
Total              112,412 
                 
Energy-Alternate Sources 5.28%                
Adani Green Energy UP Ltd./Prayatna Developers Pvt Ltd./Parampujya Solar Energ (India)†(a)  6.25%  12/10/2024   200,000    181,930 
Continental Wind LLC  6.00%  2/28/2033   55,881    55,234 
Cullinan Holdco Scsp†(b)  4.625%  10/15/2026  EUR 100,000    82,460 
EEW Energy from Waste GmbH(b)  0.361%  6/30/2026  EUR 100,000    85,050 
Enviva Partners LP/Enviva Partners Finance Corp.  6.50%  1/15/2026  $70,000    67,314 
Scatec ASA†(b)2.851%
(3 Mo. EURIBOR + 2.50%
)# 8/19/2025  EUR 100,000    89,931 
Sunnova Energy Corp.  5.875%  9/1/2026  $82,000    72,288 
Sweihan PV Power Co. PJSC (United Arab Emirates)†(a)  3.625%  1/31/2049   198,642    152,060 
TerraForm Power Operating LLC  4.75%  1/15/2030   80,000    72,085 
Topaz Solar Farms LLC  5.75%  9/30/2039   66,392    63,229 
Vestas Wind Systems Finance BV(b)  2.00%  6/15/2034  EUR 100,000    80,102 
Total              1,001,683 
                 
Environmental Control 1.96%                
Derichebourg SA(b)  2.25%  7/15/2028  EUR 100,000    83,376 
FCC Servicios Medio Ambiente Holding SAU(b)  1.661%  12/4/2026  EUR 100,000    88,535 

 

4 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

CLIMATE FOCUSED BOND FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Environmental Control (continued)                
Madison IAQ LLC  5.875%  6/30/2029  $58,000   $39,890 
Paprec Holding SA†(b)  3.50%  7/1/2028  EUR 100,000    79,270 
Seche Environnement SA(b)  2.25%  11/15/2028  EUR 100,000    80,845 
Total              371,916 
                 
Food 0.39%                
Kerry Group Financial Services Unltd Co.(b)  0.875%  12/1/2031  EUR 100,000    74,738 
                 
Forest Products & Paper 0.19%                
Suzano Austria GmbH (Brazil)(a)  3.125%  1/15/2032  $49,000    36,251 
                 
Health Care-Services 0.49%                
Kaiser Foundation Hospitals  3.15%  5/1/2027   67,000    61,571 
Seattle Children’s Hospital  2.719%  10/1/2050   55,000    32,372 
Total              93,943 
                 
Insurance 0.47%                
PartnerRe Ireland Finance DAC(b)  1.25%  9/15/2026  EUR 100,000    89,688 
                 
Investment Companies 0.37%                
CBRE Global Investors Open-Ended Fund SCA SICAV-SIF Pan European Core Fund(b)  0.90%  10/12/2029  EUR 100,000    69,793 
                 
Machinery-Diversified 0.77%                
Mueller Water Products, Inc.  4.00%  6/15/2029  $66,000    57,325 
nVent Finance Sarl (Luxembourg)(a)  2.75%  11/15/2031   67,000    49,320 
Xylem Inc/NY  2.25%  1/30/2031   50,000    39,369 
Total              146,014 
                 
Metal Fabricate-Hardware 0.44%                
Advanced Drainage Systems, Inc.  5.00%  9/30/2027   75,000    69,658 
Advanced Drainage Systems, Inc.  6.375%  6/15/2030   15,000    14,517 
Total              84,175 
                 
Mining 0.43%                
Novelis Sheet Ingot GmbH†(b)  3.375%  4/15/2029  EUR 100,000    81,210 
                 
Miscellaneous Manufacturing 1.34%                
Alstom SA(b)  0.25%  10/14/2026  EUR 100,000    86,727 
Eaton Corp.  4.15%  3/15/2033  $62,000    55,062 
Pentair Finance Sarl (Luxembourg)(a)  4.50%  7/1/2029   35,000    31,042 
Wabtec Transportation Netherlands BV(b)  1.25%  12/3/2027  EUR 100,000    81,099 
Total              253,930 

 

  See Notes to Schedule of Investments. 5
 

Schedule of Investments (unaudited)(continued)

CLIMATE FOCUSED BOND FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Multi-National 8.67%                
Asian Development Bank(b)  2.45%  1/17/2024  AUD 105,000   $65,991 
Asian Development Bank (Philippines)(a)  3.125%  9/26/2028  $135,000    126,061 
Asian Infrastructure Investment Bank (The) (China)(a)  0.50%  5/28/2025   150,000    134,770 
European Bank for Reconstruction & Development (United Kingdom)(a)  1.625%  9/27/2024   230,000    217,584 
European Investment Bank (Luxembourg)(a)  2.125%  4/13/2026   200,000    185,135 
Inter-American Development Bank  3.338%
(SOFR + .28%
)# 4/12/2027   200,000    200,096 
Inter-American Investment Corp.  2.625%  4/22/2025   75,000    71,425 
International Bank for Reconstruction & Development  3.019%
(SOFR Index + .29%
)# 11/22/2028   220,000    218,097 
International Bank for Reconstruction & Development  3.109%
(SOFR Index + .18%
)# 6/15/2026   100,000    99,370 
International Finance Corp.  3.14%
(SOFR Index + .09%
)# 6/30/2023   50,000    49,983 
International Finance Corp.  3.141%
(SOFR + .09%
)# 4/3/2024   230,000    229,967 
Nordic Investment Bank(b)  0.125%  6/10/2024  EUR 50,000    47,459 
Total              1,645,938 
                 
Municipal 1.12%                
Transport for London(b)  2.125%  4/24/2025  GBP 200,000    213,136 
                 
Packaging & Containers 0.49%                
OI European Group BV(b)  2.875%  2/15/2025  EUR 100,000    93,165 
                 
Pharmaceuticals 0.59%                
Eli Lilly & Co.(b)  0.50%  9/14/2033  EUR 100,000    73,831 
Pfizer, Inc.  2.625%  4/1/2030  $45,000    38,461 
Total              112,292 
                 
Real Estate 0.90%                
Blackstone Property Partners Europe Holdings Sarl(b)  1.625%  4/20/2030  EUR 100,000    69,402 
Canary Wharf Group Investment Holdings plc†(b)  2.625%  4/23/2025  GBP 100,000    100,624 
Total              170,026 
                 
REITS 2.00%                
Digital Dutch Finco BV(b)  1.00%  1/15/2032  EUR 100,000    66,416 
Equinix, Inc.(b)  1.00%  3/15/2033  EUR 100,000    69,150 

 

6 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

CLIMATE FOCUSED BOND FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
REITS (continued)                
Equinix, Inc.  1.55%  3/15/2028  $50,000   $39,916 
Goodman U.S. Finance Five LLC  4.625%  5/4/2032   28,000    25,047 
HAT Holdings I LLC/HAT Holdings II LLC  3.75%  9/15/2030   96,000    66,386 
Kilroy Realty LP  4.75%  12/15/2028   45,000    40,463 
Piedmont Operating Partnership LP  3.15%  8/15/2030   40,000    30,247 
Weyerhaeuser Co.  6.875%  12/15/2033   40,000    41,578 
Total              379,203 
                 
Retail 0.51%                
Walmart, Inc.  1.80%  9/22/2031   122,000    96,600 
                 
Semiconductors 0.71%                
Analog Devices, Inc.  2.95%  4/1/2025   63,000    60,301 
Micron Technology, Inc.  2.703%  4/15/2032   34,000    24,950 
NXP BV/NXP Funding LLC/NXP USA, Inc. (Netherlands)(a)  3.40%  5/1/2030   60,000    49,866 
Total              135,117 
                 
Software 0.19%                
Fiserv, Inc.  3.20%  7/1/2026   40,000    36,731 
                 
Sovereign 1.20%                
European Union(b)  1.25%  2/4/2043  EUR330,000    228,219 
                 
Telecommunications 2.18%                
NTT Finance Corp. (Japan)†(a)  4.372%  7/27/2027  $200,000    192,000 
Swisscom Finance BV(b)  0.375%  11/14/2028  EUR100,000    83,274 
Verizon Communications, Inc.  3.875%  2/8/2029  $55,000    50,038 
Vmed O2 UK Financing I plc†(b)  4.50%  7/15/2031  GBP100,000    89,502 
Total              414,814 
                 
Transportation 2.74%                
Central Japan Railway Co. (Japan)(a)  2.20%  10/2/2024  $200,000    188,561 
Ferrovie dello Stato Italiane SpA(b)  0.375%  3/25/2028  EUR100,000    79,416 
Getlink SE(b)  3.50%  10/30/2025  EUR100,000    94,525 
Hamburger Hochbahn AG(b)  0.125%  2/24/2031  EUR100,000    77,023 
Ile-de-France Mobilites(b)  0.40%  5/28/2031  EUR100,000    80,769 
Total              520,294 
                 
Water 3.21%                
Aegea Finance Sarl (Luxembourg)†(a)  6.75%  5/20/2029  $200,000    184,400 
American Water Capital Corp.  2.80%  5/1/2030   75,000    62,651 

 

  See Notes to Schedule of Investments. 7
 

Schedule of Investments (unaudited)(continued)

CLIMATE FOCUSED BOND FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Water (continued)                
Bazalgette Finance plc(b)   2.75%  3/10/2034  GBP100,000   $88,508 
Canal de Isabel II Gestion SA(b)  1.68%  2/26/2025  EUR100,000    94,193 
Essential Utilities, Inc.  2.40%  5/1/2031  $60,000    46,624 
Suez SACA(b)  2.875%  5/24/2034  EUR100,000    81,011 
United Utilities plc (United Kingdom)(a)  6.875%  8/15/2028  $50,000    51,528 
Total              608,915 
Total Corporate Bonds (cost $15,464,645)              12,767,791 
                 
FLOATING RATE LOANS(c) 1.76%                
                 
Building & Construction 0.17%                
Refficiency Holdings LLC 2021 Delayed Draw Term Loan(d)  3.75% - 7.50%
(1 Mo. LIBOR + 3.75%
)# 12/16/2027   3,191    3,067 
Refficiency Holdings LLC 2021 Term Loan  7.504%
(1 Mo. LIBOR + 3.75%
)# 12/16/2027   16,307    15,675 
Thermostat Purchaser III, Inc. Term Loan  7.57%
(3 Mo. LIBOR + 4.50%
)# 8/31/2028   13,862    13,030 
Total              31,772 
                 
Building Materials 0.09%                
Zurn Holdings, Inc. 2021 Term Loan B  5.754%
(1 Mo. LIBOR + 2.00%
)# 10/4/2028   16,912    16,793 
                 
Electric: Generation 0.30%                
ExGen Renewables IV, LLC 2020 Term Loan  5.57%
(3 Mo. LIBOR + 2.50%
)# 12/15/2027   29,519    29,295 
TerraForm Power Operating, LLC 2022 Term Loan B  6.403%
(3 Mo. SOFR + 2.75%
)# 5/21/2029   27,920    27,804 
Total              57,099 
                 
Environmental 0.43%                
Bingo Industries Ltd. Term Loan (Australia)(a)  7.174%
(3 Mo. LIBOR + 3.50%
)# 7/14/2028   29,700    26,507 
Denali Water Solutions Term Loan B  7.924%
(3 Mo. LIBOR + 4.25%
)# 3/27/2028   36,320    30,146(e) 
EWT Holdings III Corp. 2021 Term Loan  6.313%
(1 Mo. LIBOR + 2.50%
)# 4/1/2028   24,501    24,205 
Total              80,858 
     
8 See Notes to Schedule of Investments.  
 

Schedule of Investments (unaudited)(continued)

CLIMATE FOCUSED BOND FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Integrated Energy 0.10%                
Esdec Solar Group B.V. Term Loan B (Netherlands)(a)   8.92%
(6 Mo. LIBOR + 4.75%
)# 8/30/2028  $19,616   $18,734 
                 
Machinery 0.26%                
Array Technologies, Inc. Term Loan B  6.208%
(3 Mo. LIBOR + 3.25%
)# 10/14/2027   53,161    50,237 
                 
Personal & Household Products 0.18%                
AI Aqua Merger Sub, Inc. 2021 1st Lien Term Loan B  #(f) 7/31/2028   37,406    34,889 
                 
Support: Services 0.23%                
Element Materials Technology Group US Holdings, Inc. 2022 USD Delayed Draw Term Loan(d)  (f)  7/6/2029   14,385    13,981 
Element Materials Technology Group US Holdings, Inc. 2022 USD Term Loan  (f)  7/6/2029   31,167    30,290 
Total              44,271 
Total Floating Rate Loans (cost $352,319)              334,653 
                 
FOREIGN GOVERNMENT OBLIGATIONS 18.19%                
                 
Canada 0.86%                
Province of Ontario Canada(b)  1.55%  11/1/2029  CAD89,000    55,882 
Province of Quebec Canada(b)  1.85%  2/13/2027  CAD158,000    106,943 
Total              162,825 
                 
Finland 0.46%                
Nordic Investment Bank(b)  Zero Coupon  4/30/2027  EUR100,000    87,545 
                 
France 1.41%                
Action Logement Services(b)  0.50%  10/30/2034  EUR200,000    143,950 
French Republic Government Bond OAT†(b)  0.50%  6/25/2044  EUR95,000    57,164 
Societe Du Grand Paris EPIC(b)  0.30%  9/2/2036  EUR100,000    65,872 
Total              266,986 
                 
Germany 4.32%                
Bundesrepublik Deutschland Bundesanleihe(b)  Zero Coupon  8/15/2030  EUR394,000    332,900 
Bundesrepublik Deutschland Bundesanleihe(b)  Zero Coupon  8/15/2031  EUR370,000    305,400 
Bundesrepublik Deutschland Bundesanleihe(b)  Zero Coupon  8/15/2050  EUR242,258    132,621 
Bundesrepublik Deutschland Bundesanleihe(b)  Zero Coupon  8/15/2052  EUR93,000    48,876 
Total              819,797 
     
  See Notes to Schedule of Investments. 9
 

Schedule of Investments (unaudited)(continued)

CLIMATE FOCUSED BOND FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Italy 0.14%                
Italy Buoni Poliennali Del Tesoro†(b)  1.50%  4/30/2045  EUR 45,000   $26,529 
                 
Japan 1.82%                
Japan Bank for International Cooperation (Japan)(a)  1.625%  1/20/2027  $200,000    176,332 
Japan Finance Organization for Municipalities(b)  0.01%  2/2/2028  EUR 200,000    168,632 
Total              344,964 
                 
Luxembourg 0.50%                
European Investment Bank(b)  2.25%  3/15/2030  EUR 100,000    95,297 
                 
Netherlands 1.86%                
Nederlandse Financierings-Maatschappij voor Ontwikkelingslanden NV(b)  3.00%  10/25/2027  EUR 200,000    197,719 
Nederlandse Waterschapsbank NV (Netherlands)(a)  1.00%  5/28/2030  $200,000    156,495 
Total              354,214 
                 
Norway 1.00%                
Kommunalbanken AS (Norway)(a)  2.125%  2/11/2025   200,000    189,343 
                 
South Korea 2.02%                
Industrial Bank of Korea (South Korea)†(a)  0.625%  9/17/2024   200,000    184,142 
Korea Water Resources Corp. (South Korea)(a)  3.875%  5/15/2023   200,000    198,869 
Total              383,011 
                 
Spain 0.97%                
Adif Alta Velocidad(b)  0.55%  4/30/2030  EUR 100,000    81,524 
Autonomous Community of Madrid Spain(b)  0.419%  4/30/2030  EUR 75,000    60,963 
Spain Government Bond†(b)  1.00%  7/30/2042  EUR 66,000    42,031 
Total              184,518 
                 
Sweden 2.83%                
Kommuninvest I Sverige AB (Sweden)(a)  0.375%  6/19/2024  $200,000    186,442 
Kommuninvest I Sverige AB (Sweden)†(a)  1.625%  4/24/2023   200,000    197,101 
Sweden Government International Bond†(b)  0.125%  9/9/2030  SEK 1,000,000    76,996 
Sweden Government International Bond(b)  0.125%  9/9/2030  SEK1,000,000    76,996 
Total              537,535 
Total Foreign Government Obligations (cost $4,230,803)              3,452,564 
     
10 See Notes to Schedule of Investments.  
 

Schedule of Investments (unaudited)(continued)

CLIMATE FOCUSED BOND FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
MUNICIPAL BONDS 2.73%                
                 
Government Guaranteed 0.07%                
Metropolitan Government of Nashville & Davidson County Water & Sewer Revenue 2.611%  7/1/2036  $20,000   $14,386 
                 
Revenue - Utilities - Other 0.21%                
City of Corpus Christi TX Utility System Revenue  1.966%  7/15/2030   50,000    39,328 
                 
Sales Tax 0.30%                
Dallas Area Rapid Transit A  2.534%  12/1/2036   80,000    56,461 
                 
Tax Revenue 0.09%                
Regional Transportation District Sales Tax Revenue  2.337%  11/1/2036   25,000    17,161 
                 
Taxable Revenue - Water & Sewer 1.86%                
City of Aurora CO Water Revenue  2.348%  8/1/2036   30,000    21,439 
City of Dallas TX Waterworks & Sewer System Revenue  2.772%  10/1/2040   75,000    50,175 
City of Los Angeles CA Wastewater System Revenue  5.713%  6/1/2039   50,000    50,791 
City of Philadelphia PA Water & Wastewater Revenue  1.734%  11/1/2028   40,000    33,108 
City of San Francisco CA Public Utilities Commission Water Revenue 6.00%  11/1/2040   100,000    103,162 
New York City Municipal Water Finance Authority  5.75%  6/15/2041   50,000    51,242 
San Diego County Water Authority  1.951%  5/1/2034   60,000    42,560 
Total              352,477 
                 
Transportation 0.20%                
Metropolitan Transportation Authority  5.175%  11/15/2049   45,000    37,817 
Total Municipal Bonds (cost $712,729)              517,630 
                 
NON-AGENCY COMMERCIAL MORTGAGE-BACKED SECURITIES 1.22%               
JPMorgan Chase Commercial Mortgage Securities Trust 2021-1440 B5.162%
(1 Mo. LIBOR + 1.75%
)# 3/15/2036   110,000    105,549 
NYO Commercial Mortgage Trust 2021-1290 A4.508%
(1 Mo. LIBOR + 1.10%
)# 11/15/2038   50,000    46,521 
One Bryant Park Trust 2019-OBP A  2.516%  9/15/2054   100,000    79,900 
Total Non-Agency Commercial Mortgage-Backed Securities (cost $261,869)             231,970 
     
  See Notes to Schedule of Investments. 11
 

Schedule of Investments (unaudited)(continued)

CLIMATE FOCUSED BOND FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
U.S. TREASURY OBLIGATIONS 1.46%                
U.S. Treasury Bond  2.875%  5/15/2052  $60,000   $46,585 
U.S. Treasury Note  2.75%  8/15/2032   257,000    230,015 
Total U.S. Treasury Obligations (cost $306,211)              276,600 
Total Long-Term Investments (cost $21,706,486)              17,892,970 
                 
SHORT-TERM INVESTMENTS 4.53%                
                 
Repurchase Agreements 4.53%                
Repurchase Agreement dated 10/31/2022, 1.300% due 11/1/2022 with Fixed Income Clearing Corp. collateralized by $898,900 of U.S. Treasury Note at 3.00% due 6/30/2024; value: $876,603; proceeds: $859,408
(cost $859,377)
         859,377    859,377 
Total Investments in Securities 98.79% (cost $22,565,863)              18,752,347 
Less Unfunded Loan Commitments (0.08%) (cost $15,453)              (15,029)
Net Investments in Securities 98.71% (cost $22,550,410)              18,737,318 
Other Assets and Liabilities – Net(g) 1.29%              244,682 
Net Assets 100.00%             $18,982,000 
     
AUD   Australian Dollar.
CAD   Canadian Dollar.
EUR   Euro.
GBP   British Pound.
SEK   Swedish Krona.
CMT   Constant Maturity Rate.
EUAMDB   EUR Mid-Market Swap Rate.
EURIBOR   Euro Interbank Offered Rate.
EUSA   Euro Swap Rate.
LIBOR   London Interbank Offered Rate.
REITS   Real Estate Investment Trusts.
SOFR   Secured Overnight Financing Rate.
  Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and, unless registered under such Act or exempted from registration, may only be resold to qualified institutional buyers. At October 31, 2022, the total value of Rule 144A securities was $4,750,639, which represents 25.03% of net assets.
#   Variable rate security. The interest rate represents the rate in effect at October 31, 2022.
(a)   Foreign security traded in U.S. dollars.
(b)   Investment in non-U.S. dollar denominated securities.
(c)   Floating Rate Loans in which the Fund invests generally pay interest at rates which are periodically re-determined at a margin above the London Interbank Offered Rate (“LIBOR”) or the prime rate offered by major U.S. banks. The rate(s) shown is the rate(s) in effect at October 31, 2022.
(d)   Security partially/fully unfunded.
(e)   Level 3 Investment as described in Note 2(b) in the Notes to Schedule of Investments. Security valued utilizing third party pricing information without adjustment. Such valuations are based on unobservable inputs. A significant change in third party information could result in a significantly lower or higher value of such Level 3 investments.
(f)   Interest Rate to be determined.
(g)   Other Assets and Liabilities – Net include net unrealized appreciation/depreciation on forward foreign currency exchange contracts and futures contracts as follows:
     
12 See Notes to Schedule of Investments.  
 

Schedule of Investments (unaudited)(continued)

CLIMATE FOCUSED BOND FUND October 31, 2022

 

Forward Foreign Currency Exchange Contracts at October 31, 2022:

 

Forward
Foreign
Currency
Exchange
Contracts
  Transaction
Type
  Counterparty  Expiration
Date
  Foreign
Currency
  U.S. $
Cost on
Origination
Date
 U.S. $
Current
Value
 Unrealized
Appreciation
 
British pound  Buy  Goldman Sachs  12/8/2022  12,000      $13,684   $13,777          $93 
British pound  Buy  Morgan Stanley  12/8/2022  14,000   15,311    16,073      762 
British pound  Buy  Morgan Stanley  12/8/2022  174,000   186,199    199,763      13,564 
British pound  Buy  Morgan Stanley  12/8/2022  9,000   9,664    10,333      669 
British pound  Buy  Morgan Stanley  12/8/2022  38,000   40,929    43,626      2,697 
Euro  Buy  Bank of America  12/12/2022  24,000   23,623    23,793      170 
Euro  Buy  Goldman Sachs  12/12/2022  80,000   77,237    79,310      2,073 
Euro  Buy  Morgan Stanley  12/12/2022  86,000   83,339    85,258      1,919 
Euro  Buy  Morgan Stanley  12/12/2022  173,000   168,692    171,507      2,815 
Euro  Buy  State Street Bank and Trust  12/12/2022  136,000   131,440    134,826      3,386 
Australian dollar  Sell  Toronto Dominion Bank  11/25/2022  104,000   71,867    66,567      5,300 
British pound  Sell  Morgan Stanley  12/8/2022  756,000   871,797    867,934      3,863 
British pound  Sell  Morgan Stanley  12/8/2022  16,000   18,552    18,369      183 
Euro  Sell  Morgan Stanley  12/12/2022  88,000   88,918    87,241      1,677 
Euro  Sell  Morgan Stanley  12/12/2022  189,000   190,853    187,369      3,484 
Euro  Sell  State Street Bank and Trust  12/12/2022  5,260,000   5,289,719    5,214,614      75,105 
Euro  Sell  State Street Bank and Trust  12/12/2022  73,000   73,284    72,370      914 
Total Unrealized Appreciation on Forward Foreign Currency Exchange Contracts          $118,674 
                       
Forward
Foreign
Currency
Exchange
Contracts
  Transaction
Type
  Counterparty  Expiration
Date
  Foreign
Currency
  U.S. $
Cost on
Origination
Date
 U.S. $
Current
Value
 Unrealized
Depreciation
 
Euro  Buy  Morgan Stanley  12/12/2022  89,000      $  88,359     $  88,232           $(127)
Euro  Buy  Toronto Dominion Bank  12/12/2022  71,000   71,436    70,387      (1,049)
Canadian dollar  Sell  Toronto Dominion Bank  1/20/2023  223,000   162,036    163,866      (1,830)
Euro  Sell  Morgan Stanley  12/12/2022  132,000   130,256    130,861      (605)
Euro  Sell  Morgan Stanley  12/12/2022  456,000   448,308    452,065      (3,757)
Euro  Sell  Morgan Stanley  12/12/2022  38,000   37,658    37,672      (14)
Euro  Sell  State Street Bank and Trust  12/12/2022  69,000   67,782    68,405      (623)
Euro  Sell  State Street Bank and Trust  12/12/2022  64,000   63,412    63,448      (36)
Swedish krona  Sell  Bank of America  1/23/2023  3,656,000   327,971    333,401      (5,430)
Total Unrealized Depreciation on Forward Foreign Currency Exchange Contracts         $(13,471)

 

Futures Contracts at October 31, 2022:

 

Type  Expiration  Contracts  Position  Notional
Amount
   Notional
Value
   Unrealized
Appreciation
 
U.S. 10-Year Ultra Treasury Note  December 2022  7  Short  $(883,855)  $(811,891)          $71,964 
U.S. 5-Year Treasury Note  December 2022  14  Short   (1,551,372)   (1,492,312)     59,060 
U.S. Long Bond  December 2022  1  Short   (136,436)   (120,500)     15,936 
Total Unrealized Appreciation on Futures Contracts                $146,960 
     
  See Notes to Schedule of Investments. 13
 

Schedule of Investments (unaudited)(concluded)

CLIMATE FOCUSED BOND FUND October 31, 2022

 

Type  Expiration  Contracts  Position  Notional
Amount
   Notional
Value
   Unrealized
Depreciation
 
Euro-Bobl  December 2022  2  Long  EUR 244,672   EUR 236,528           $(5,815)
Euro-Bund  December 2022  2  Long   288,673    273,627      (12,298)
Euro-Buxl  December 2022  2  Long   318,605    285,051      (30,521)
U.S. Ultra Treasury Bond  December 2022  3  Long  $449,429   $382,969      (66,460)
Total Unrealized Depreciation on Futures Contracts                $(115,094)

 

The following is a summary of the inputs used as of October 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Asset-Backed Securities  $   $167,862   $   $167,862 
Convertible Bonds       143,900        143,900 
Corporate Bonds       12,767,791        12,767,791 
Floating Rate Loans                    
Environmental       50,712    30,146    80,858 
Remaining Industries       253,795        253,795 
Less Unfunded Commitments       (15,029)       (15,029)
Foreign Government Obligations       3,452,564        3,452,564 
Municipal Bonds       517,630        517,630 
Non-Agency Commercial Mortgage-Backed Securities       231,970        231,970 
U.S. Treasury Obligations       276,600        276,600 
Short-Term Investments                    
Repurchase Agreements       859,377        859,377 
Total  $   $18,707,172   $30,146   $18,737,318 
Other Financial Instruments                    
Forward Foreign Currency Exchange Contracts                    
Assets  $   $118,674   $   $118,674 
Liabilities       (13,471)       (13,471)
Futures Contracts                    
Assets   146,960            146,960 
Liabilities   (115,094)           (115,094)
Total  $31,866   $105,203   $   $137,069 
     
(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuer and/or geography. The table above is presented by Investment Type. Industries are presented within an Investment Type should such Investment Type include securities classified as two or more levels within the three- tier fair value hierarchy. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets. Management has determined not to provide a reconciliation as the balance of Level 3 investments was not considered to be material to the Fund’s net assets at the beginning or end of the period.

 

14 See Notes to Schedule of Investments.  
 

Schedule of Investments (unaudited)

EMERGING MARKETS EQUITY FUND October 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
LONG-TERM INVESTMENTS 93.26%          
           
COMMON STOCKS 92.20%          
           
Australia 1.32%          
Metals & Mining          
BHP Group Ltd.   2,207   $53,013 
           
Brazil 4.94%          
Health Care Providers & Services 0.92%          
Hapvida Participacoes e Investimentos SA   24,564    37,092 
Insurance 2.29%          
BB Seguridade Participacoes SA   16,018    92,067 
Internet & Direct Marketing Retail 0.79%          
MercadoLibre, Inc.*   35    31,557 
Oil, Gas & Consumable Fuels 0.94%          
Petroleo Brasileiro SA ADR   2,936    37,640 
Total Brazil        198,356 
           
Canada 0.31%          
Metals & Mining          
Capstone Copper Corp.*   5,398    12,521 
           
China 17.62%          
Automobiles 1.45%          
BYD Co. Ltd. Class H   2,594    58,114 
Banks 2.06%          
China Construction Bank Corp. Class H   87,867    46,630 
Industrial & Commercial Bank of China Ltd. Class H   82,848    35,970 
         82,600 
Beverages 0.92%          
Kweichow Moutai Co. Ltd. Class A   200    37,071 
Electrical Equipment 0.80%          
Contemporary Amperex Technology Co. Ltd. Class A  626    32,126 
Investments  Shares   U.S. $
Fair Value
 
China (continued)          
Electronic Equipment, Instruments & Components 0.43%     
Sunny Optical Technology Group Co. Ltd.   1,981  $17,167 
Entertainment 0.68%          
NetEase, Inc.   2,455    27,239 
Food & Staples Retailing 0.27%          
China Tourism Group Duty Free Corp. Ltd. Class A   500    10,987 
Gas Utilities 0.52%          
ENN Energy Holdings Ltd.   2,116    21,037 
Hotels, Restaurants & Leisure 0.29%          
Yum China Holdings, Inc.   291    11,779 
Interactive Media & Services 3.33%          
Tencent Holdings Ltd.   5,088    133,696 
Internet & Direct Marketing Retail 5.27%          
Alibaba Group Holding Ltd.*   10,887    84,646 
JD.com, Inc. Class A   2,357    42,922 
Kanzhun Ltd. ADR*   892    9,750 
Kuaishou Technology*   1,300    5,369 
Meituan Class B*   3,166    50,689 
Pinduoduo, Inc. ADR*   333    18,258 
         211,634 
Life Sciences Tools & Services 0.33%          
WuXi AppTec Co. Ltd. Class H   636    5,105 
Wuxi Biologics Cayman, Inc.*   1,840    8,279 
         13,384 
Real Estate Management & Development 0.57%     
ESR Group Ltd.   13,292    22,667 
Textiles, Apparel & Luxury Goods 0.70%          
ANTA Sports Products Ltd.   3,179    27,949 
Total China        707,450 
           
France 1.45%          
Textiles, Apparel & Luxury Goods          
LVMH Moet Hennessy Louis Vuitton SE   92    58,052 


 

  See Notes to Schedule of Investments. 15
 

Schedule of Investments (unaudited)(continued)

EMERGING MARKETS EQUITY FUND October 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
Germany 0.95%          
Semiconductors & Semiconductor Equipment     
Infineon Technologies AG   1,578   $38,291 
           
Hong Kong 0.96%          
Insurance          
AIA Group Ltd.   5,095    38,594 
           
India 22.35%          
Auto Components 0.52%          
Mahindra & Mahindra Ltd.   1,278    20,858 
Automobiles 1.73%          
Maruti Suzuki India Ltd.   603    69,520 
Banks 5.05%          
Axis Bank Ltd.   9,064    99,400 
Federal Bank Ltd.   28,812    45,821 
ICICI Bank Ltd. ADR   2,604    57,393 
         202,614 
Beverages 0.88%          
United Spirits Ltd.*   3,263    35,350 
Chemicals 0.97%          
Asian Paints Ltd.   1,033    38,885 
Electrical Equipment 0.79%          
KPIT Technologies Ltd.   3,682    31,585 
Health Care Providers & Services 1.14%          
Apollo Hospitals Enterprise Ltd. 837        45,704 
Hotels, Restaurants & Leisure 0.73%          
Jubilant Foodworks Ltd.   3,996    29,478 
Information Technology Services 1.80%          
Infosys Ltd. ADR   3,859    72,279 
Insurance 1.22%          
ICICI Prudential Life Insurance Co. Ltd.   8,006    49,167 
Life Sciences Tools & Services 0.50%          
Divi’s Laboratories Ltd.   456    19,891 
Oil, Gas & Consumable Fuels 2.20%          
Reliance Industries Ltd.   2,867    88,466 
Personal Products 1.47%          
Hindustan Unilever Ltd.   1,908    58,869 
Investments  Shares   U.S. $
Fair Value
 
India (continued)          
Pharmaceuticals 1.06%          
Torrent Pharmaceuticals Ltd.   2,129   $42,480 
Real Estate Management & Development 0.62%     
Phoenix Mills Ltd. (The)   1,449    25,004 
Wireless Telecommunication Services 1.67%     
Bharti Airtel Ltd.   6,677    67,149 
Total India        897,299 
           
Indonesia 4.76%          
Banks 1.53%          
Bank Mandiri Persero Tbk PT   90,761    61,314 
Diversified Telecommunication Services 1.28%     
Telkom Indonesia Persero Tbk PT   183,039    51,406 
Household Products 0.64%          
Unilever Indonesia Tbk PT   86,170    25,636 
Real Estate Management & Development 0.57%     
Pakuwon Jati Tbk PT   816,656    22,945 
Specialty Retail 0.74%          
Mitra Adiperkasa Tbk PT*   387,396    29,929 
Total Indonesia        191,230 
           
Macau 0.78%          
Hotels, Restaurants & Leisure          
Galaxy Entertainment Group Ltd.   6,815    31,135 
           
Mexico 6.80%          
Banks 2.12%          
Grupo Financiero Banorte SAB de CV Class O   10,482    85,203 
Consumer Finance 0.77%          
Gentera SAB de CV   29,933    30,759 
Food & Staples Retailing 1.49%          
Wal-Mart de Mexico SAB de CV   15,494    59,847 


 

16 See Notes to Schedule of Investments.  
 

Schedule of Investments (unaudited)(continued)

EMERGING MARKETS EQUITY FUND October 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
Mexico (continued)          
Transportation Infrastructure 2.42%          
Grupo Aeroportuario del Pacifico SAB de CV Class B   6,287   $97,385 
Total Mexico        273,194 
           
Netherlands 2.64%          
Oil, Gas & Consumable Fuels          
Shell plc   3,819    105,792 
           
Peru 1.95%          
Banks          
Credicorp Ltd.   287    42,005 
Intercorp Financial Services, Inc.   1,481    36,433 
         78,438 
           
Singapore 2.36%          
Banks          
United Overseas Bank Ltd.   4,825    94,661 
           
South Africa 2.07%          
Banks 0.84%          
Absa Group Ltd.   3,120    33,881 
Food & Staples Retailing 0.58%          
Clicks Group Ltd.   1,385    23,468 
Metals & Mining 0.65%          
Anglo American plc   345    10,334 
Sibanye Stillwater Ltd.   6,662    15,604 
         25,938 
Total South Africa        83,287 
           
South Korea 11.84%          
Aerospace & Defense 1.12%          
LIG Nex1 Co. Ltd.   628    44,773 
Chemicals 1.63%          
LG Chem Ltd.   149    65,387 
Electrical Equipment 1.17%          
LG Energy Solution Ltd.*   127    46,992 
Life Sciences Tools & Services 1.13%          
Samsung Biologics Co. Ltd.*   74    45,476 
Semiconductors & Semiconductor Equipment 1.22%
SK Hynix, Inc.   848    49,092 
Investments  Shares   U.S. $
Fair Value
 
South Korea (continued)          
Technology Hardware, Storage & Peripherals 5.57%     
Samsung Electronics Co. Ltd.   5,370   $223,498 
Total South Korea        475,218 
           
Taiwan 7.12%          
Electrical Equipment 0.30%          
Voltronic Power Technology Corp. 300        12,163 
Electronic Equipment, Instruments & Components 1.29%     
Delta Electronics, Inc.   6,500    51,719 
Semiconductors & Semiconductor Equipment 5.53%     
Taiwan Semiconductor Manufacturing Co. Ltd.  ADR158    9,725 
Taiwan Semiconductor Manufacturing Co. Ltd.   17,637    212,036 
         221,761 
Total Taiwan        285,643 
           
United Arab Emirates 1.98%          
Banks          
Abu Dhabi Commercial Bank PJSC   30,824    79,346 
Total Common Stocks
(cost $4,316,629)
        3,701,520 
           
PREFERRED STOCKS 1.06%          
           
Brazil 1.06%          
Banks          
Banco Bradesco SA
(cost $42,215)
   11,019    42,365 
Total Long-Term Investments 93.26%
(cost $4,358,844)
        3,743,885 
Other Assets and Liabilities – Net 6.74%        270,620 
Net Assets 100.00%       $4,014,505 

 

ADR   American Depositary Receipt.
  Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and, unless registered under such Act or exempted from registration, may only be resold to qualified institutional buyers. At October 31, 2022, the total value of Rule 144A securities was $223,844, which represents 5.58% of net assets.
*   Non-income producing security.


 

  See Notes to Schedule of Investments. 17
 

Schedule of Investments (unaudited)(concluded)

EMERGING MARKETS EQUITY FUND October 31, 2022

 

The following is a summary of the inputs used as of October 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Common Stocks                    
Brazil   $198,356   $   $   $198,356 
Canada   12,521            12,521 
China   28,008    679,442        707,450 
India   129,672    767,627        897,299 
Indonesia   29,929    161,301        191,230 
Mexico   273,194            273,194 
Peru   78,438            78,438 
South Africa   23,468    59,819        83,287 
Taiwan   9,725    275,918        285,643 
Remaining Countries       974,102        974,102 
Preferred Stocks   42,365            42,365 
Total  $825,676   $2,918,209   $   $3,743,885 

 

(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuer and/or geography. The table above is presented by Investment Type. Industries are presented within an Investment Type should such Investment Type include securities classified as two or more levels within the three- tier fair value hierarchy. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

18 See Notes to Schedule of Investments.  
 

Schedule of Investments (unaudited)

INTERNATIONAL GROWTH FUND October 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
LONG-TERM INVESTMENTS 92.42%        
         
COMMON STOCKS 92.42%        
         
Australia 1.80%        
Metals & Mining 0.79%        
BHP Group Ltd.   593   $14,244 
Software 1.01%          
WiseTech Global Ltd.   487    18,011 
Total Australia        32,255 
           
Brazil 1.06%          
Internet & Direct Marketing Retail          
MercadoLibre, Inc.*   21    18,934 
           
Canada 3.97%          
Banks 0.63%          
Royal Bank of Canada   122    11,288 
Information Technology Services 0.60%         
Shopify, Inc. Class A*   315    10,782 
Insurance 0.83%          
Intact Financial Corp.   98    14,891 
Oil, Gas & Consumable Fuels 0.62%          
Pembina Pipeline Corp.   338    11,160 
Transportation Infrastructure 1.29%          
Canadian Pacific Railway Ltd.   310    23,110 
Total Canada        71,231 
           
China 3.71%          
Automobiles 0.79%          
BYD Co. Ltd. Class H   635    14,226 
Interactive Media & Services 1.68%          
Tencent Holdings Ltd.   1,146    30,113 
Internet & Direct Marketing Retail 1.24%         
Alibaba Group Holding Ltd.*   1,134    8,817 
JD.com, Inc. Class A   731    13,312 
         22,129 
Total China        66,468 
Investments  Shares   U.S. $
Fair Value
 
Denmark 4.88%        
Biotechnology 1.20%        
Genmab A/S*   56   $21,572 
Pharmaceuticals 3.68%          
Novo Nordisk A/S Class B   606    65,891 
Total Denmark        87,463 
           
Egypt 0.66%          
Oil, Gas & Consumable Fuels          
Energean PLC   720    11,816 
           
France 14.27%          
Aerospace & Defense 1.67%          
Airbus SE   139    15,041 
Thales SA   118    15,007 
         30,048 
Beverages 1.30%          
Pernod Ricard SA   133    23,343 
Chemicals 1.47%          
Air Liquide SA   202    26,424 
Information Technology Services 1.10%         
Capgemini SE   120    19,667 
Personal Products 1.84%          
L’Oreal SA   105    32,970 
Professional Services 1.05%          
Teleperformance   70    18,755 
Software 1.06%          
Dassault Systemes SE   567    19,005 
Textiles, Apparel & Luxury Goods 4.78%         
Hermes International   19    24,593 
LVMH Moet Hennessy Louis Vuitton SE  97    61,207 
         85,800 
Total France        256,012 
           
Germany 2.45%          
Chemicals 1.17%          
Symrise AG   205    20,925 


 

  See Notes to Schedule of Investments. 19
 

Schedule of Investments (unaudited)(continued)

INTERNATIONAL GROWTH FUND October 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
Germany (continued)          
Semiconductors & Semiconductor Equipment 1.28%     
Aixtron SE   398   $9,780 
Infineon Technologies AG   546    13,249 
         23,029 
Total Germany        43,954 
           
Hong Kong 1.21%          
Insurance          
AIA Group Ltd.   2,866    21,709 
           
India 8.29%          
Automobiles 0.87%          
Maruti Suzuki India Ltd.   135    15,564 
Banks 2.82%          
Axis Bank Ltd.   1,509    16,548 
ICICI Bank Ltd. ADR   1,545    34,052 
         50,600 
Chemicals 0.96%          
Asian Paints Ltd.   458    17,241 
Oil, Gas & Consumable Fuels 1.16%          
Reliance Industries Ltd.   674    20,797 
Personal Products 0.89%          
Hindustan Unilever Ltd.   521    16,075 
Wireless Telecommunication Services 1.59%      
Bharti Airtel Ltd.   2,835    28,511 
Total India        148,788 
           
Indonesia 0.96%          
Banks          
Bank Rakyat Indonesia Persero Tbk PT   57,943    17,286 
           
Ireland 0.53%          
Banks          
Bank of Ireland Group plc   1,311    9,440 
Investments  Shares   U.S. $
Fair Value
 
Japan 11.96%        
Building Products 0.69%        
Daikin Industries Ltd.   83   $12,432 
Electrical Equipment 0.80%          
Fuji Electric Co. Ltd.   372    14,383 
Electronic Equipment, Instruments & Components 1.85%     
Keyence Corp.   88    33,182 
Health Care Equipment & Supplies 0.99%       
Hoya Corp.   190    17,663 
Household Durables 1.40%          
Sony Group Corp.   371    25,018 
Information Technology Services 0.84%         
Obic Co. Ltd.   100    15,006 
Machinery 0.61%          
Ebara Corp.   339    11,015 
Pharmaceuticals 2.31%          
Daiichi Sankyo Co. Ltd.   1,295    41,454 
Semiconductors & Semiconductor Equipment 0.57%     
Lasertec Corp.   73    10,257 
Specialty Retail 0.96%          
Fast Retailing Co. Ltd.   31    17,272 
Trading Companies & Distributors 0.94%       
ITOCHU Corp.   654    16,902 
Total Japan        214,584 
           
Netherlands 3.57%          
Information Technology Services 0.95%         
Adyen NV*   12    17,131 
Semiconductors & Semiconductor Equipment 2.62%     
ASML Holding NV   100    46,909 
Total Netherlands        64,040 
           
Norway 0.86%          
Oil, Gas & Consumable Fuels          
Equinor ASA   423    15,411 


 

20 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INTERNATIONAL GROWTH FUND October 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
Singapore 1.32%          
Banks          
DBS Group Holdings Ltd.   979   $23,669 
           
South Korea 1.27%          
Electrical Equipment 0.50%          
LG Energy Solution Ltd.*   24    8,880 
Technology Hardware, Storage & Peripherals 0.77%     
Samsung Electronics Co. Ltd.   334    13,901 
Total South Korea        22,781 
           
Spain 1.46%          
Banks 0.65%          
CaixaBank SA   3,523    11,683 
Textiles, Apparel & Luxury Goods 0.81%         
Industria de Diseno Textil SA   636    14,436 
Total Spain        26,119 
           
Sweden 3.85%          
Building Products 0.87%          
Nibe Industrier AB B Shares   1,956    15,603 
Electronic Equipment, Instruments & Components 1.04%     
Hexagon AB B Shares   1,897    18,754 
Machinery 1.94%          
Atlas Copco AB A Shares   1,987    21,208 
Epiroc AB Class A   884    13,532 
         34,740 
Total Sweden        69,097 
           
Switzerland 3.76%          
Chemicals 1.06%          
Sika AG Registered Shares   84    18,940 
Health Care Equipment & Supplies 0.79%       
Alcon, Inc.   234    14,247 
Investments  Shares   U.S. $
Fair Value
 
Switzerland (continued)        
Life Sciences Tools & Services 0.72%       
Lonza Group AG Registered Shares   25   $12,869 
Textiles, Apparel & Luxury Goods 1.19%         
Cie Financiere Richemont SA Class A   219    21,404 
Total Switzerland        67,460 
           
Taiwan 3.01%          
Electrical Equipment 0.31%          
Voltronic Power Technology Corp.   138    5,595 
Semiconductors & Semiconductor Equipment 2.70%          
Taiwan Semiconductor Manufacturing Co. Ltd. ADR   300    18,465 
Taiwan Semiconductor Manufacturing Co. Ltd.   2,494    29,983 
         48,448 
Total Taiwan        54,043 
           
United Kingdom 7.28%          
Beverages 2.17%          
Diageo plc   948    39,013 
Capital Markets 0.97%          
London Stock Exchange Group plc   201    17,423 
Commercial Services & Supplies 0.96%         
Rentokil Initial PLC   2,755    17,191 
Communications Equipment 0.51%          
Spirent Communications PLC   3,064    9,095 
Personal Products 0.68%          
Unilever plc   270    12,273 
Pharmaceuticals 1.99%          
AstraZeneca plc   304    35,669 
Total United Kingdom        130,664 


 

  See Notes to Schedule of Investments. 21
 

Schedule of Investments (unaudited)(concluded)

INTERNATIONAL GROWTH FUND October 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
United States 10.29%        
Electrical Equipment 2.19%        
Schneider Electric SE   311   $39,328 
Food Products 2.94%          
Nestle SA Registered Shares   484    52,688 
Information Technology Services 0.74%         
EPAM Systems, Inc.*   38    13,300 
Pharmaceuticals 2.93%          
Eli Lilly & Co.   45    16,294 
Roche Holding AG   109    36,166 
         52,460 
Software 0.70%          
Atlassian Corp. Class A   62    12,569 
Investments  Shares   U.S. $
Fair Value
 
United States (continued)        
Textiles, Apparel & Luxury Goods 0.79%     
Lululemon Athletica, Inc.*   43   $14,149 
Total United States        184,494 
Total Investments in Securities 92.42%
(cost $1,935,489)
        1,657,718 
Other Assets and Liabilities – Net 7.58%    135,874 
Net Assets 100.00%       $1,793,592 
ADR   American Depositary Receipt.
*   Non-income producing security.
  Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and, unless registered under such Act or exempted from registration, may only be resold to qualified institutional buyers. At October 31, 2022, the total value of Rule 144A securities was $17,131, which represents 0.96% of net assets.


 

The following is a summary of the inputs used as of October 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Common Stocks                    
Brazil  $18,934   $   $   $18,934 
Canada   71,231            71,231 
Egypt   11,816            11,816 
India   34,052    114,736        148,788 
Taiwan   18,465    35,578        54,043 
United States   56,312    128,182        184,494 
Remaining Countries       1,168,412        1,168,412 
Total  $210,810   $1,446,908   $   $1,657,718 

 

(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuer and/or geography. The table above is presented by Investment Type. Industries are presented within an Investment Type should such Investment Type include securities classified as two or more levels within the three- tier fair value hierarchy. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

22 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
LONG-TERM INVESTMENTS 87.67%                
                 
ASSET-BACKED SECURITIES 3.20%                
                 
Other                
Bain Capital Credit CLO Ltd. 2020-5A B1  5.793%
(3 Mo. LIBOR + 1.55%
)# 1/20/2032  $250,000   $236,442 
Barings CLO Ltd. 2019-3A BR  5.843%
(3 Mo. LIBOR + 1.60%
)# 4/20/2031   250,000    237,352 
Burnham Park CLO Ltd. BR  5.743%
(3 Mo. LIBOR + 1.50%
)# 10/20/2029   250,000    236,439 
Carlyle US CLO Ltd. 2019-3A CR  7.443%
(3 Mo. LIBOR + 3.20%
)# 10/20/2032   250,000    222,273 
CIFC Funding Ltd. 2011-4A B  5.659%
(3 Mo. LIBOR + 1.58%
)# 7/15/2033   250,000    236,871 
CIFC Funding Ltd. 2013-4A DRR  7.158%
(3 Mo. LIBOR + 2.80%
)# 4/27/2031   250,000    214,789 
Harbor Park CLO Ltd. 2018-1A B1  5.943%
(3 Mo. LIBOR + 1.70%
)# 1/20/2031   250,000    236,408 
Niagara Park Clo Ltd. 2019-1A BR  5.679%
(3 Mo. LIBOR + 1.60%
)# 7/17/2032   250,000    235,802 
Total Asset-Backed Securities (cost $1,913,012)           1,856,376 
                 
CONVERTIBLE BONDS 0.75%                
                 
Biotechnology 0.15%                
Apellis Pharmaceuticals, Inc.  3.50%  9/15/2026   29,000    51,258 
Guardant Health, Inc.  Zero Coupon  11/15/2027   50,000    35,595 
Total              86,853 
                 
Computers 0.07%                
Parsons Corp.  0.25%  8/15/2025   37,000    42,550 
                 
Internet 0.06%                
World Wrestling Entertainment, Inc.  3.375%  12/15/2023   10,000    31,780 
                 
Media 0.08%                
Liberty Media Corp.-Liberty Formula One  2.25%  8/15/2027   52,000    48,074 
                 
Oil & Gas 0.17%                
Pioneer Natural Resources Co.  0.25%  5/15/2025   38,000    97,679 
                 
REITS 0.22%                
Starwood Property Trust, Inc.  4.375%  4/1/2023   125,000    124,687 
Total Convertible Bonds (cost $433,445)              431,623 

 

See Notes to Schedule of Investments. 23
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
CORPORATE BONDS 77.80%                
                 
Advertising 0.03%                
National CineMedia LLC  5.875%  4/15/2028  $40,000   $16,136 
                 
Aerospace/Defense 3.11%                
Bombardier, Inc. (Canada)†(a)  6.00%  2/15/2028   105,000    93,647 
Bombardier, Inc. (Canada)†(a)  7.875%  4/15/2027   440,000    418,689 
BWX Technologies, Inc.  4.125%  4/15/2029   100,000    86,605 
Hexcel Corp.  4.20%  2/15/2027   125,000    113,958 
Howmet Aerospace, Inc.  6.875%  5/1/2025   145,000    148,467 
Rolls-Royce PLC(b)  0.875%  5/9/2024  EUR 100,000    92,835 
Spirit AeroSystems, Inc.  5.50%  1/15/2025  $35,000    33,823 
TransDigm, Inc.  5.50%  11/15/2027   892,000    815,145 
Total              1,803,169 
                 
Agriculture 1.28%                
BAT Capital Corp.  3.557%  8/15/2027   125,000    108,923 
Darling Ingredients, Inc.  5.25%  4/15/2027   95,000    91,342 
Imperial Brands Finance plc (United Kingdom)†(a)  6.125%  7/27/2027   200,000    193,166 
Kernel Holding SA (Ukraine)†(a)  6.50%  10/17/2024   200,000    67,178 
MHP SE (Ukraine)†(a)  7.75%  5/10/2024   200,000    96,340 
Viterra Finance BV (Netherlands)†(a)  4.90%  4/21/2027   200,000    182,974 
Total              739,923 
                 
Airlines 3.31%                
Air Canada (Canada)†(a)  3.875%  8/15/2026   248,000    219,801 
Allegiant Travel Co.  7.25%  8/15/2027   127,000    119,584 
American Airlines Group, Inc.  3.75%  3/1/2025   63,000    55,514 
American Airlines, Inc.  11.75%  7/15/2025   304,000    332,882 
American Airlines, Inc./AAdvantage Loyalty IP Ltd.  5.50%  4/20/2026   236,000    225,128 
American Airlines, Inc./AAdvantage Loyalty IP Ltd.  5.75%  4/20/2029   100,000    91,179 
Delta Air Lines, Inc.  4.375%  4/19/2028   315,000    281,435 
Delta Air Lines, Inc.  7.00%  5/1/2025   30,000    30,426 
Hawaiian Airlines 2013-1 Class A Pass Through Certificates  3.90%  7/15/2027   64,661    53,722 
Hawaiian Brand Intellectual Property Ltd./HawaiianMiles Loyalty Ltd.  5.75%  1/20/2026   126,817    117,074 
United Airlines, Inc.  4.375%  4/15/2026   425,000    388,670 
Total              1,915,415 

 

24 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Apparel 0.16%              
William Carter Co. (The)  5.625%  3/15/2027  $100,000   $95,208 
                 
Auto Manufacturers 2.86%                
Allison Transmission, Inc.  4.75%  10/1/2027   115,000    106,066 
Ford Motor Co.  4.346%  12/8/2026   405,000    377,432 
Ford Motor Co.  6.625%  10/1/2028   360,000    355,604 
Ford Motor Credit Co. LLC(b)  3.25%  9/15/2025  EUR550,000    511,647 
Ford Motor Credit Co. LLC  3.815%  11/2/2027  $200,000    172,256 
JB Poindexter & Co., Inc.  7.125%  4/15/2026   139,000    132,698 
Total              1,655,703 
                 
Auto Parts & Equipment 0.45%                
American Axle & Manufacturing, Inc.  6.50%  4/1/2027   85,000    78,323 
Clarios Global LP  6.75%  5/15/2025   45,000    45,096 
Titan International, Inc.  7.00%  4/30/2028   147,000    137,616 
Total              261,035 
                 
Banks 0.90%                
Citigroup, Inc.  3.875%
(5 Yr. Treasury CMT + 3.42%
)# (c)   80,000    65,880 
Fifth Third Bancorp  6.361%#
(SOFR + 2.19
)% 10/27/2028   22,000    22,110 
Goldman Sachs Group, Inc. (The)  2.64%
(SOFR + 1.11%
)# 2/24/2028   70,000    60,553 
Goldman Sachs Group, Inc. (The)  3.65%
(5 Yr. Treasury CMT + 2.92%
)# (c)   165,000    125,800 
JPMorgan Chase & Co.  4.00%
(SOFR + 2.75%
)# (c)   155,000    129,425 
Morgan Stanley  5.30%
(3 Mo. LIBOR + 3.16%
)# (c)   48,000    46,292 
Morgan Stanley  6.138%
(SOFR + 1.7%
)# 10/16/2026   50,000    50,182 
Texas Capital Bancshares, Inc.  4.00%
(5 Yr. Treasury CMT + 3.15%
)# 5/6/2031   25,000    21,668 
Total              521,910 
                 
Beverages 0.16%                
Molson Coors Beverage Co.(b)  1.25%  7/15/2024  EUR 100,000    94,548 
                 
Biotechnology 0.23%                
CDW LLC/CDW Finance Corp.  4.25%  4/1/2028  $150,000    132,514 

 

  See Notes to Schedule of Investments. 25
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Building Materials 0.59%                
Eco Material Technologies, Inc.  7.875%  1/31/2027  $125,000   $117,004 
Griffon Corp.  5.75%  3/1/2028   100,000    91,873 
SRM Escrow Issuer LLC  6.00%  11/1/2028   16,000    13,485 
Standard Industries, Inc.  5.00%  2/15/2027   130,000    117,833 
Total              340,195 
                 
Chemicals 1.18%                
ASP Unifrax Holdings, Inc.  5.25%  9/30/2028   45,000    35,895 
Celanese US Holdings LLC  5.90%  7/5/2024   160,000    157,262 
CF Industries, Inc.  4.50%  12/1/2026   35,000    33,175 
CVR Partners LP/CVR Nitrogen Finance Corp.  6.125%  6/15/2028   110,000    99,674 
Ingevity Corp.  3.875%  11/1/2028   40,000    33,823 
Iris Holding, Inc.  10.00%  12/15/2028   105,000    89,775 
Kobe US Midco 2, Inc. PIK 10.0%  9.25%  11/1/2026   95,000    73,625 
Rain CII Carbon LLC/CII Carbon Corp.  7.25%  4/1/2025   120,000    103,055 
SCIH Salt Holdings, Inc.  4.875%  5/1/2028   65,000    56,570 
Total              682,854 
                 
Coal 0.75%                
Alliance Resource Operating Partners LP/Alliance Resource Finance Corp.  7.50%  5/1/2025   200,000    196,481 
CONSOL Energy, Inc.  11.00%  11/15/2025   60,000    61,215 
Coronado Finance Pty Ltd. (Australia)†(a)  10.75%  5/15/2026   71,000    74,033 
SunCoke Energy, Inc.  4.875%  6/30/2029   65,000    53,398 
Warrior Met Coal, Inc.  7.875%  12/1/2028   47,000    46,411 
Total              431,538 
                 
Commercial Services 4.64%                
AA Bond Co. Ltd.(b)  6.50%  1/31/2026  GBP 100,000    93,980 
Ahern Rentals, Inc.  7.375%  5/15/2023  $24,000    16,908 
Alta Equipment Group, Inc.  5.625%  4/15/2026   213,000    184,298 
AMN Healthcare, Inc.  4.625%  10/1/2027   125,000    117,139 
Ashtead Capital, Inc.  4.375%  8/15/2027   200,000    181,043 
Block, Inc.  2.75%  6/1/2026   205,000    183,313 
Herc Holdings, Inc.  5.50%  7/15/2027   174,000    164,914 
Hertz Corp. (The)  5.50%  10/15/2024   22,000    275 
Hertz Corp. (The)  6.25%  10/15/2022   2,000    25 
IPD 3 BV(b)  5.50%  12/1/2025  EUR100,000    90,956 
Legends Hospitality Holding Co. LLC/Legends Hospitality Co-Issuer, Inc.  5.00%  2/1/2026  $98,000    85,896 

 

26 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Commercial Services (continued)                
NESCO Holdings II, Inc.  5.50%  4/15/2029  $165,000   $145,024 
PeopleCert Wisdom Issuer plc†(b)  5.75%  9/15/2026  EUR100,000    89,713 
Prime Security Services Borrower LLC/Prime Finance, Inc.  3.375%  8/31/2027  $140,000    121,481 
Prime Security Services Borrower LLC/Prime Finance, Inc.  5.75%  4/15/2026   270,000    263,296 
Sabre GLBL, Inc.  7.375%  9/1/2025   14,000    13,174 
Sabre GLBL, Inc.  9.25%  4/15/2025   33,000    32,034 
Service Corp International  4.625%  12/15/2027   169,000    156,824 
Shift4 Payments LLC/Shift4 Payments Finance Sub, Inc.  4.625%  11/1/2026   173,000    159,753 
Techem Verwaltungsgesellschaft 675 mbH(b)  2.00%  7/15/2025  EUR125,000    114,469 
United Rentals North America, Inc.  4.875%  1/15/2028  $207,000    192,854 
Verscend Escrow Corp.  9.75%  8/15/2026   100,000    100,415 
WASH Multifamily Acquisition, Inc.  5.75%  4/15/2026   122,000    113,950 
Williams Scotsman International, Inc.  4.625%  8/15/2028   75,000    67,853 
Total              2,689,587 
                 
Computers 0.43%                
Booz Allen Hamilton, Inc.  3.875%  9/1/2028   103,000    90,939 
Booz Allen Hamilton, Inc.  4.00%  7/1/2029   26,000    22,762 
NCR Corp.  5.00%  10/1/2028   50,000    42,134 
Science Applications International Corp.  4.875%  4/1/2028   100,000    91,195 
Total              247,030 
                 
Cosmetics/Personal Care 0.22%                
Coty, Inc.  5.00%  4/15/2026   137,000    128,769 
                 
Distribution/Wholesale 0.59%                
American Builders & Contractors Supply Co., Inc.  4.00%  1/15/2028   141,000    124,692 
BCPE Empire Holdings, Inc.  7.625%  5/1/2027   83,000    76,013 
H&E Equipment Services, Inc.  3.875%  12/15/2028   165,000    139,629 
Total              340,334 
                 
Diversified Financial Services 2.96%                
Advisor Group Holdings, Inc.  10.75%  8/1/2027   120,000    118,456 
AerCap Ireland Capital DAC/AerCap Global Aviation Trust (Ireland)(a)  4.625%  10/15/2027   300,000    269,987 
AG Issuer LLC  6.25%  3/1/2028   50,000    46,596 
AG TTMT Escrow Issuer LLC  8.625%  9/30/2027   109,000    109,555 
Air Lease Corp.  2.875%  1/15/2026   125,000    111,206 

 

  See Notes to Schedule of Investments. 27
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Diversified Financial Services (continued)                
Avolon Holdings Funding Ltd. (Ireland)†(a)  5.50%  1/15/2026  $150,000   $137,939 
Bread Financial Holdings, Inc.  4.75%  12/15/2024   82,000    71,780 
Bread Financial Holdings, Inc.  7.00%  1/15/2026   50,000    43,174 
Jefferson Capital Holdings LLC  6.00%  8/15/2026   198,000    165,132 
LFS Topco LLC  5.875%  10/15/2026   50,000    39,181 
Navient Corp.  5.875%  10/25/2024   145,000    140,418 
Navient Corp.  6.75%  6/25/2025   55,000    52,720 
OneMain Finance Corp.  3.50%  1/15/2027   160,000    131,519 
PennyMac Financial Services, Inc.  5.375%  10/15/2025   50,000    45,366 
Radian Group, Inc.  4.875%  3/15/2027   65,000    57,599 
Rocket Mortgage LLC/Rocket Mortgage Co-Issuer, Inc.  2.875%  10/15/2026   85,000    71,163 
VistaJet Malta Finance PLC/XO Management Holding, Inc. (Malta)†(a) 7.875%  5/1/2027   114,000    102,936 
Total              1,714,727 
                 
Electric 3.55%                
AES Corp. (The)  3.30%  7/15/2025   135,000    124,514 
Calpine Corp.  5.125%  3/15/2028   130,000    115,544 
Calpine Corp.  5.25%  6/1/2026   145,000    137,827 
DPL, Inc.  4.35%  4/15/2029   95,000    81,359 
Elwood Energy LLC  8.159%  7/5/2026   13,364    13,209 
FirstEnergy Corp.  4.40%  7/15/2027   32,000    30,105 
Greenko Investment Co. (India)†(a)  4.875%  8/16/2023   200,000    191,680 
Leeward Renewable Energy Operations LLC  4.25%  7/1/2029   196,000    159,047 
NextEra Energy Operating Partners LP  3.875%  10/15/2026   35,000    32,503 
NextEra Energy Operating Partners LP  4.50%  9/15/2027   220,000    204,924 
NRG Energy, Inc.  2.45%  12/2/2027   150,000    123,376 
Pacific Gas and Electric Co.  3.15%  1/1/2026   35,000    31,555 
Pacific Gas and Electric Co.  5.45%  6/15/2027   100,000    94,369 
Pike Corp.  5.50%  9/1/2028   151,000    129,294 
Talen Energy Supply LLC(d)  6.50%  6/1/2025   111,000    94,261 
Vistra Corp.7.00%
(5 Yr. Treasury CMT + 5.74%
)# (c)   59,000    52,325 
Vistra Corp.8.00%
(5 Yr. Treasury CMT + 6.93%
)# (c)   35,000    33,335 
Vistra Operations Co. LLC  3.70%  1/30/2027   85,000    76,072 
Vistra Operations Co. LLC  4.875%  5/13/2024   35,000    34,108 

 

28 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Electric (continued)                
Vistra Operations Co. LLC  5.50%  9/1/2026  $225,000   $216,546 
Vistra Operations Co. LLC  5.625%  2/15/2027   82,000    78,294 
Total              2,054,247 
                 
Electrical Components & Equipment 0.17%                
EnerSys  4.375%  12/15/2027   110,000    96,755 
                 
Electronics 0.25%                
Imola Merger Corp.  4.75%  5/15/2029   31,000    26,782 
Sensata Technologies BV  5.00%  10/1/2025   120,000    116,539 
Total              143,321 
                 
Energy-Alternate Sources 1.19%                
Cullinan Holdco Scsp†(b)  4.625%  10/15/2026  EUR100,000    82,460 
Enviva Partners LP/Enviva Partners Finance Corp.  6.50%  1/15/2026  $169,000    162,516 
Sunnova Energy Corp.  5.875%  9/1/2026   263,000    231,849 
TerraForm Power Operating LLC  5.00%  1/31/2028   195,000    181,091 
YPF Energia Electrica SA (Argentina)†(a)  10.00%  7/25/2026   42,000    33,461 
Total              691,377 
                 
Engineering & Construction 0.68%                
AECOM  5.125%  3/15/2027   174,000    165,156 
Cellnex Telecom SA(b)  1.00%  4/20/2027  EUR 100,000    82,497 
Fluor Corp.  4.25%  9/15/2028  $100,000    87,393 
Weekley Homes LLC/Weekley Finance Corp.  4.875%  9/15/2028   70,000    56,493 
Total              391,539 
                 
Entertainment 3.25%                
AMC Entertainment Holdings, Inc.  10.00%  6/15/2026   125,000    64,595 
Banijay Entertainment SASU(b)  3.50%  3/1/2025  EUR 100,000    93,296 
Boyne USA, Inc.  4.75%  5/15/2029  $89,000    78,072 
Caesars Entertainment, Inc.  6.25%  7/1/2025   284,000    277,538 
Caesars Entertainment, Inc.  8.125%  7/1/2027   130,000    126,653 
Caesars Resort Collection LLC/CRC Finco, Inc.  5.75%  7/1/2025   61,000    59,666 
Churchill Downs, Inc.  5.50%  4/1/2027   205,000    196,387 
Cinemark USA, Inc.  5.25%  7/15/2028   50,000    38,080 
Cinemark USA, Inc.  5.875%  3/15/2026   35,000    29,517 
Inter Media and Communication SpA(b)  6.75%  2/9/2027  EUR 100,000    93,342 
International Game Technology PLC(b)  3.50%  6/15/2026  EUR 100,000    93,836 
Juventus Football Club SpA(b)  3.375%  2/19/2024  EUR100,000    96,085 

 

  See Notes to Schedule of Investments. 29
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Entertainment (continued)                
Live Nation Entertainment, Inc.  4.75%  10/15/2027  $180,000   $160,418 
Live Nation Entertainment, Inc.  6.50%  5/15/2027   40,000    39,857 
Mohegan Gaming & Entertainment  8.00%  2/1/2026   171,000    144,566 
Penn Entertainment, Inc.  5.625%  1/15/2027   75,000    68,307 
Pinewood Finance Co. Ltd.†(b)  3.625%  11/15/2027  GBP 100,000    95,071 
Warnermedia Holdings, Inc.  3.638%  3/15/2025  $111,000    104,720 
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp.  7.75%  4/15/2025   25,000    24,413 
Total              1,884,419 
                 
Environmental Control 0.78%                
Clean Harbors, Inc.  4.875%  7/15/2027   130,000    122,531 
GFL Environmental, Inc. (Canada)†(a)  5.125%  12/15/2026   202,000    192,595 
Madison IAQ LLC  4.125%  6/30/2028   100,000    82,977 
Waste Pro USA, Inc.  5.50%  2/15/2026   61,000    56,531 
Total              454,634 
                 
Food 2.23%                
Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC  3.25%  3/15/2026   179,000    161,093 
Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC  4.625%  1/15/2027   250,000    232,089 
B&G Foods, Inc.  5.25%  4/1/2025   50,000    45,565 
Chobani LLC/hobani Finance Corp., Inc.  4.625%  11/15/2028   100,000    86,986 
Darling Global Finance BV(b)  3.625%  5/15/2026  EUR 100,000    94,864 
Lamb Weston Holdings, Inc.  4.875%  5/15/2028  $135,000    125,695 
Nathan’s Famous, Inc.  6.625%  11/1/2025   18,000    17,963 
Performance Food Group, Inc.  5.50%  10/15/2027   210,000    199,050 
Post Holdings, Inc.  5.625%  1/15/2028   107,000    100,173 
Post Holdings, Inc.  5.75%  3/1/2027   105,000    101,675 
SEG Holding LLC/SEG Finance Corp.  5.625%  10/15/2028   135,000    125,173 
Total              1,290,326 
                 
Food Service 0.38%                
Aramark Services, Inc.  6.375%  5/1/2025   223,000    220,979 
                 
Forest Products & Paper 0.19%                
Mercer International, Inc. (Canada)(a)  5.50%  1/15/2026   120,000    112,640 
                 
Gas 0.10%                
National Fuel Gas Co.  5.50%  1/15/2026   60,000    58,783 
   
30 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Health Care-Services 3.28%                
Acadia Healthcare Co., Inc.  5.50%  7/1/2028  $130,000   $120,788 
Air Methods Corp.  8.00%  5/15/2025   70,000    36,581 
Centene Corp.  2.45%  7/15/2028   90,000    74,161 
Centene Corp.  4.25%  12/15/2027   115,000    106,262 
CHS/Community Health Systems, Inc.  5.625%  3/15/2027   155,000    123,829 
Global Medical Response, Inc.  6.50%  10/1/2025   52,000    41,458 
Hadrian Merger Sub, Inc.  8.50%  5/1/2026   91,000    83,075 
HCA, Inc.  5.375%  9/1/2026   220,000    214,156 
Legacy LifePoint Health LLC  6.75%  4/15/2025   100,000    88,726 
ModivCare, Inc.  5.875%  11/15/2025   79,000    75,162 
Molina Healthcare, Inc.  4.375%  6/15/2028   129,000    115,897 
Select Medical Corp.  6.25%  8/15/2026   117,000    111,712 
Tenet Healthcare Corp.  4.875%  1/1/2026   245,000    231,993 
Tenet Healthcare Corp.  6.125%  10/1/2028   160,000    138,740 
Tenet Healthcare Corp.  6.25%  2/1/2027   150,000    143,427 
US Acute Care Solutions LLC  6.375%  3/1/2026   215,000    195,458 
Total              1,901,425 
                 
Home Builders 0.68%                
Forestar Group, Inc.  3.85%  5/15/2026   151,000    128,782 
M/I Homes, Inc.  4.95%  2/1/2028   55,000    47,272 
Meritage Homes Corp.  5.125%  6/6/2027   25,000    22,420 
Taylor Morrison Communities, Inc.  5.875%  6/15/2027   60,000    56,343 
Tri Pointe Homes, Inc.  5.25%  6/1/2027   160,000    137,848 
Total              392,665 
                 
Insurance 1.48%                
Acrisure LLC/Acrisure Finance, Inc.  7.00%  11/15/2025   150,000    141,319 
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer 4.25%  10/15/2027   125,000    112,820 
Global Atlantic Fin Co.4.70%
(5 Yr. Treasury CMT + 3.80%
)#  10/15/2051   85,000    62,850 
GTCR AP Finance, Inc.  8.00%  5/15/2027   50,000    47,710 
HUB International Ltd.  7.00%  5/1/2026   150,000    148,402 
Jackson Financial, Inc.  5.17%  6/8/2027   125,000    119,533 
Liberty Mutual Group, Inc.(b)3.625%
(5 Yr. EUSA + 3.70%
)#  5/23/2059  EUR 100,000    84,175 
Liberty Mutual Group, Inc.4.125%
(5 Yr. Treasury CMT + 3.32%
)#  12/15/2051  $60,000    45,081 
     
  See Notes to Schedule of Investments. 31
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Insurance (continued)                
Prudential Financial, Inc.  5.375%
(3 Mo. LIBOR + 3.03%
)#  5/15/2045  $100,000   $93,797 
Total              855,687 
                 
Internet 0.95%                
Cablevision Lightpath LLC  3.875%  9/15/2027   200,000    170,311 
Cogent Communications Group, Inc.  3.50%  5/1/2026   45,000    40,681 
Go Daddy Operating Co. LLC/GD Finance Co., Inc.  5.25%  12/1/2027   122,000    114,450 
Netflix, Inc.(b)  3.625%  5/15/2027  EUR 100,000    96,437 
Northwest Fiber LLC/Northwest Fiber Finance Sub, Inc.  4.75%  4/30/2027  $110,000    99,031 
NortonLifeLock, Inc.  6.75%  9/30/2027   31,000    30,603 
Total              551,513 
                 
Investment Companies 0.29%                
Huarong Finance II Co. Ltd. (Hong Kong)(a)  5.50%  1/16/2025   200,000    169,750 
                 
Iron-Steel 0.05%                
Baffinland Iron Mines Corp./Baffinland Iron Mines LP (Canada)†(a)  8.75%  7/15/2026   16,000    14,574 
United States Steel Corp.  6.875%  3/1/2029   17,000    15,625 
Total              30,199 
                 
Leisure Time 0.60%                
Life Time, Inc.  5.75%  1/15/2026   129,000    120,300 
Lindblad Expeditions LLC  6.75%  2/15/2027   152,000    135,441 
Pinnacle Bidco plc(b)  5.50%  2/15/2025  EUR 100,000    89,799 
Total              345,540 
                 
Lodging 2.42%                
Boyd Gaming Corp.  4.75%  12/1/2027  $175,000    161,672 
Full House Resorts, Inc.  8.25%  2/15/2028   51,000    44,445 
Genting New York LLC/GENNY Capital, Inc.  3.30%  2/15/2026   200,000    175,479 
Hilton Worldwide Finance LLC/Hilton Worldwide Finance Corp.  4.875%  4/1/2027   30,000    28,571 
Las Vegas Sands Corp.  3.50%  8/18/2026   110,000    96,166 
Marriott Ownership Resorts, Inc.  4.75%  1/15/2028   125,000    108,078 
MGM China Holdings Ltd. (Macao)†(a)  5.875%  5/15/2026   200,000    153,897 
MGM Resorts International  4.75%  10/15/2028   95,000    82,586 
MGM Resorts International  5.50%  4/15/2027   181,000    167,162 
Travel and Leisure Co.  6.625%  7/31/2026   79,000    77,073 
   
32 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Lodging (continued)                
Wynn Las Vegas LLC/Wynn Las Vegas Capital Corp.  5.25%  5/15/2027  $270,000   $235,379 
Wynn Las Vegas LLC/Wynn Las Vegas Capital Corp.  5.50%  3/1/2025   77,000    72,997 
Total              1,403,505 
                 
Machinery-Diversified 0.87%                
ATS Automation Tooling Systems, Inc. (Canada)†(a)  4.125%  12/15/2028   143,000    122,459 
Granite US Holdings Corp.  11.00%  10/1/2027   146,000    136,726 
nVent Finance Sarl (Luxembourg)(a)  4.55%  4/15/2028   125,000    111,783 
TK Elevator Midco GmbH(b)  4.375%  7/15/2027  EUR 160,000    134,446 
Total              505,414 
                 
Media 4.11%                
AMC Networks, Inc.  4.75%  8/1/2025  $185,000    169,521 
Block Communications, Inc.  4.875%  3/1/2028   90,000    78,393 
CCO Holdings LLC/CCO Holdings Capital Corp.  5.125%  5/1/2027   80,000    74,255 
CCO Holdings LLC/CCO Holdings Capital Corp.  5.375%  6/1/2029   70,000    62,650 
Cengage Learning, Inc.  9.50%  6/15/2024   64,000    60,660 
Charter Communications Operating LLC/Charter Communications Operating Capital  3.75%  2/15/2028   185,000    162,351 
CSC Holdings LLC  5.25%  6/1/2024   125,000    121,382 
Directv Financing LLC/Directv Financing Co.-Obligor, Inc.  5.875%  8/15/2027   120,000    108,295 
DISH DBS Corp.  5.875%  11/15/2024   561,000    518,027 
Gray Television, Inc.  7.00%  5/15/2027   50,000    47,708 
LCPR Senior Secured Financing DAC (Ireland)†(a)  6.75%  10/15/2027   200,000    186,744 
Nexstar Media, Inc.  4.75%  11/1/2028   34,000    29,918 
Nexstar Media, Inc.  5.625%  7/15/2027   160,000    151,412 
Sirius XM Radio, Inc.  3.125%  9/1/2026   180,000    161,234 
Univision Communications, Inc.  5.125%  2/15/2025   370,000    358,127 
Virgin Media Vendor Financing Notes III DAC(b)  4.875%  7/15/2028  GBP 100,000    92,254 
Total              2,382,931 
                 
Metal Fabricate-Hardware 0.38%                
Advanced Drainage Systems, Inc.  5.00%  9/30/2027  $120,000    111,453 
Cleveland-Cliffs, Inc.  5.875%  6/1/2027   115,000    107,217 
Total              218,670 
                 
Mining 0.63%                
Compass Minerals International, Inc.  4.875%  7/15/2024   32,000    30,360 
FMG Resources August 2006 Pty Ltd. (Australia)†(a)  4.50%  9/15/2027   114,000    102,297 
     
  See Notes to Schedule of Investments. 33
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Mining (continued)                
Hecla Mining Co.  7.25%  2/15/2028  $123,000   $116,860 
Novelis Corp.  3.25%  11/15/2026   96,000    84,269 
Taseko Mines Ltd. (Canada)†(a)  7.00%  2/15/2026   39,000    32,510 
Total              366,296 
                 
Miscellaneous Manufacturing 0.85%                
Amsted Industries, Inc.  5.625%  7/1/2027   145,000    134,324 
Hillenbrand, Inc.  5.00%  9/15/2026   265,000    250,660 
LSB Industries, Inc.  6.25%  10/15/2028   116,000    105,582 
Total              490,566 
                 
Oil & Gas 10.71%                
Aethon United BR LP/Aethon United Finance Corp.  8.25%  2/15/2026   148,000    150,646 
Baytex Energy Corp. (Canada)†(a)  8.75%  4/1/2027   106,000    108,538 
Berry Petroleum Co. LLC  7.00%  2/15/2026   237,000    212,461 
California Resources Corp.  7.125%  2/1/2026   284,000    279,134 
Callon Petroleum Co.  6.375%  7/1/2026   209,000    200,697 
Calumet Specialty Products Partners LP/Calumet Finance Corp.  8.125%  1/15/2027   55,000    52,135 
Chesapeake Energy Corp.  5.50%  2/1/2026   110,000    106,788 
Chord Energy Corp.  6.375%  6/1/2026   210,000    205,457 
Citgo Holding, Inc.  9.25%  8/1/2024   75,000    75,165 
CITGO Petroleum Corp.  6.375%  6/15/2026   120,000    118,487 
CITGO Petroleum Corp.  7.00%  6/15/2025   65,000    64,082 
Civitas Resources, Inc.  5.00%  10/15/2026   137,000    126,322 
CNX Resources Corp.  7.25%  3/14/2027   37,000    36,779 
Colgate Energy Partners III LLC  5.875%  7/1/2029   50,000    46,738 
Colgate Energy Partners III LLC  7.75%  2/15/2026   75,000    74,789 
Comstock Resources, Inc.  6.75%  3/1/2029   125,000    119,954 
Crescent Energy Finance LLC  7.25%  5/1/2026   263,000    244,552 
Earthstone Energy Holdings LLC  8.00%  4/15/2027   228,000    216,113 
Encino Acquisition Partners Holdings LLC  8.50%  5/1/2028   155,000    145,604 
EQT Corp.  3.90%  10/1/2027   150,000    135,002 
Gulfport Energy Corp.  8.00%  5/17/2026   124,731    124,563 
Hilcorp Energy I LP/Hilcorp Finance Co.  6.25%  11/1/2028   100,000    94,282 
Laredo Petroleum, Inc.  9.50%  1/15/2025   150,000    150,281 
Laredo Petroleum, Inc.  10.125%  1/15/2028   70,000    68,885 
Magnolia Oil & Gas Operating LLC/Magnolia Oil & Gas Finance Corp.  6.00%  8/1/2026   147,000    143,005 
   
34 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Oil & Gas (continued)                
Matador Resources Co.  5.875%  9/15/2026  $187,000   $184,195 
MEG Energy Corp. (Canada)†(a)  5.875%  2/1/2029   225,000    215,398 
Murphy Oil Corp.  6.375%  7/15/2028   51,000    49,968 
Nabors Industries, Inc.  5.75%  2/1/2025   33,000    31,802 
Nabors Industries, Inc.  7.375%  5/15/2027   29,000    28,565 
Nabors Industries, Inc.  9.00%  2/1/2025   75,000    76,159 
Occidental Petroleum Corp.  8.50%  7/15/2027   75,000    81,658 
Patterson-UTI Energy, Inc.  3.95%  2/1/2028   50,000    44,190 
PBF Holding Co. LLC/PBF Finance Corp.  7.25%  6/15/2025   128,000    126,952 
PDC Energy, Inc.  5.75%  5/15/2026   332,000    318,690 
Penn Virginia Holdings LLC  9.25%  8/15/2026   184,000    181,752 
Permian Resources Operating LLC  5.375%  1/15/2026   112,000    103,750 
Permian Resources Operating LLC  6.875%  4/1/2027   55,000    53,428 
Petroleos Mexicanos (Mexico)(a)  6.49%  1/23/2027   135,000    117,848 
Precision Drilling Corp. (Canada)†(a)  6.875%  1/15/2029   85,000    78,291 
Precision Drilling Corp. (Canada)†(a)  7.125%  1/15/2026   122,000    120,017 
Range Resources Corp.  4.875%  5/15/2025   237,000    229,136 
Rockcliff Energy II LLC  5.50%  10/15/2029   50,000    44,656 
SM Energy Co.  6.625%  1/15/2027   160,000    157,038 
SM Energy Co.  6.75%  9/15/2026   125,000    123,311 
Southwestern Energy Co.  5.375%  2/1/2029   30,000    28,020 
Tap Rock Resources LLC  7.00%  10/1/2026   180,000    168,346 
Vermilion Energy, Inc. (Canada)†(a)  5.625%  3/15/2025   220,000    213,167 
W&T Offshore, Inc.  9.75%  11/1/2023   130,000    128,888 
Total              6,205,684 
                 
Oil & Gas Services 1.26%                
Bristow Group, Inc.  6.875%  3/1/2028   78,000    72,319 
Enerflex Ltd. (Canada)(a)  9.00%  10/15/2027   115,000    112,051 
Oceaneering International, Inc.  4.65%  11/15/2024   217,000    207,980 
USA Compression Partners LP/USA Compression Finance Corp.  6.875%  4/1/2026   59,000    56,715 
USA Compression Partners LP/USA Compression Finance Corp.  6.875%  9/1/2027   38,000    36,381 
Weatherford International Ltd.  11.00%  12/1/2024   50,000    51,551 
Welltec International ApS (Denmark)†(a)  8.25%  10/15/2026   200,000    194,159 
Total              731,156 
     
  See Notes to Schedule of Investments. 35
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Packaging & Containers 1.58%                
Ball Corp.  4.875%  3/15/2026  $90,000   $86,596 
Berry Global, Inc.  4.875%  7/15/2026   234,000    220,382 
LABL, Inc.  6.75%  7/15/2026   123,000    117,137 
Mauser Packaging Solutions Holding Co.  5.50%  4/15/2024   190,000    186,551 
Pactiv LLC  7.95%  12/15/2025   51,000    47,559 
Silgan Holdings, Inc.  4.125%  2/1/2028   131,000    120,207 
Southwestern Energy Co.  7.75%  10/1/2027   100,000    102,996 
Trident TPI Holdings, Inc.  9.25%  8/1/2024   36,000    33,623 
Total              915,051 
                 
Pharmaceuticals 0.89%                
Grifols SA(b)  2.25%  11/15/2027  EUR 100,000    81,903 
Option Care Health, Inc.  4.375%  10/31/2029  $86,000    74,384 
Perrigo Finance Unlimited Co. (Ireland)(a)  4.375%  3/15/2026   200,000    187,879 
Teva Pharmaceutical Finance Netherlands III BV (Netherlands)(a) 3.15%  10/1/2026   200,000    169,348 
Total              513,514 
                 
Pipelines 1.58%                
Buckeye Partners LP  3.95%  12/1/2026   146,000    128,453 
Buckeye Partners LP  4.125%  3/1/2025   42,000    39,642 
Buckeye Partners LP6.375%
(3 Mo. LIBOR + 4.02%
)# 1/22/2078   53,000    42,731 
Cheniere Energy Partners LP  4.50%  10/1/2029   40,000    35,382 
Delek Logistics Partners LP/Delek Logistics Finance Corp.  7.125%  6/1/2028   100,000    89,705 
EnLink Midstream LLC  5.625%  1/15/2028   120,000    115,187 
EQM Midstream Partners LP  4.125%  12/1/2026   65,000    57,532 
EQM Midstream Partners LP  6.00%  7/1/2025   105,000    101,829 
Northriver Midstream Finance LP (Canada)†(a)  5.625%  2/15/2026   173,000    164,031 
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.  6.00%  3/1/2027   115,000    108,692 
Venture Global Calcasieu Pass LLC  3.875%  8/15/2029   35,000    30,107 
Total              913,291 
                 
REITS 2.00%                
GLP Capital LP/GLP Financing II, Inc.  5.375%  4/15/2026   120,000    114,697 
HAT Holdings I LLC/HAT Holdings II LLC  3.375%  6/15/2026   68,000    55,438 
HAT Holdings I LLC/HAT Holdings II LLC  6.00%  4/15/2025   199,000    189,985 
Iron Mountain, Inc.  4.875%  9/15/2027   70,000    64,908 
   
36 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
REITS (continued)                
SBA Communications Corp.  3.875%  2/15/2027  $205,000   $184,873 
Service Properties Trust  7.50%  9/15/2025   270,000    263,588 
Starwood Property Trust, Inc.  3.75%  12/31/2024   84,000    78,638 
VICI Properties LP/VICI Note Co., Inc.  3.50%  2/15/2025   103,000    95,899 
VICI Properties LP/VICI Note Co., Inc.  3.75%  2/15/2027   35,000    30,744 
VICI Properties LP/VICI Note Co., Inc.  4.25%  12/1/2026   50,000    45,607 
VICI Properties LP/VICI Note Co., Inc.  5.625%  5/1/2024   36,000    35,579 
Total              1,159,956 
                 
Retail 2.69%                
1011778 BC ULC/New Red Finance, Inc. (Canada)†(a)  3.50%  2/15/2029   125,000    105,007 
1011778 BC ULC/New Red Finance, Inc. (Canada)†(a)  4.375%  1/15/2028   135,000    118,720 
Bath & Body Works, Inc.  6.694%  1/15/2027   150,000    141,601 
BCPE Ulysses Intermediate, Inc. PIK 8.50%  7.75%  4/1/2027   6,000    3,983 
Beacon Roofing Supply, Inc.  4.50%  11/15/2026   130,000    118,831 
Brinker International, Inc.  5.00%  10/1/2024   190,000    184,568 
Dave & Buster’s, Inc.  7.625%  11/1/2025   106,000    105,863 
GPS Hospitality Holding Co. LLC/GPS Finco, Inc.  7.00%  8/15/2028   64,000    45,055 
IRB Holding Corp.  7.00%  6/15/2025   45,000    45,027 
Ken Garff Automotive LLC  4.875%  9/15/2028   28,000    23,288 
Lithia Motors, Inc.  4.625%  12/15/2027   80,000    71,304 
Macy’s Retail Holdings LLC  5.875%  4/1/2029   155,000    134,127 
Murphy Oil USA, Inc.  5.625%  5/1/2027   90,000    86,496 
Nordstrom, Inc.  4.00%  3/15/2027   108,000    91,705 
Party City Holdings, Inc.  6.125%  8/15/2023   17,000    7,225 
Party City Holdings, Inc.  6.625%  8/1/2026   20,000    6,500 
Party City Holdings, Inc.  8.75%  2/15/2026   27,000    17,139 
Rite Aid Corp.  8.00%  11/15/2026   36,000    23,416 
SRS Distribution, Inc.  4.625%  7/1/2028   104,000    91,548 
Stonegate Pub Co. Financing 2019 plc(b)  8.25%  7/31/2025  GBP 100,000    104,118 
White Cap Buyer LLC  6.875%  10/15/2028  $39,000    33,146 
Total              1,558,667 
                 
Semiconductors 0.12%                
Entegris Escrow Corp.  4.75%  4/15/2029   32,000    28,320 
Entegris, Inc.  4.375%  4/15/2028   45,000    39,646 
Total              67,966 
     
  See Notes to Schedule of Investments. 37
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Software 0.89%                
Boxer Parent Co., Inc.  7.125%  10/2/2025  $45,000   $44,316 
Picard Midco, Inc.  6.50%  3/31/2029   164,000    142,488 
SS&C Technologies, Inc.  5.50%  9/30/2027   194,000    180,717 
Twilio, Inc.  3.625%  3/15/2029   125,000    103,410 
ZoomInfo Technologies LLC/ZoomInfo Finance Corp.  3.875%  2/1/2029   52,000    43,538 
Total              514,469 
                 
Telecommunications 2.21%                
Altice France SA (France)†(a)  8.125%  2/1/2027   200,000    183,400 
CommScope, Inc.  6.00%  3/1/2026   225,000    217,429 
Frontier Communications Holdings LLC  5.875%  10/15/2027   135,000    124,369 
Maxar Technologies, Inc.  7.75%  6/15/2027   88,000    86,390 
Sprint Capital Corp.  6.875%  11/15/2028   150,000    155,023 
Sprint Corp.  7.625%  3/1/2026   490,000    512,239 
Total              1,278,850 
                 
Total Trucking & Leasing 0.36%                
Fortress Transportation and Infrastructure Investors LLC  5.50%  5/1/2028   95,000    79,682 
Fortress Transportation and Infrastructure Investors LLC  6.50%  10/1/2025   131,000    126,005 
Total              205,687 
                 
Transportation 0.21%                
Carriage Purchaser, Inc.  7.875%  10/15/2029   25,000    18,651 
Watco Cos. LLC/Watco Finance Corp.  6.50%  6/15/2027   110,000    103,772 
Total              122,423 
                 
Water 0.09%                
Solaris Midstream Holdings LLC  7.625%  4/1/2026   55,000    52,472 
Total Corporate Bonds (cost $46,578,157)              45,062,962 
                 
FLOATING RATE LOANS(e) 5.81%                
                 
Auto Parts & Equipment 0.33%                
Chassix Inc. 2017 1st Lien Term Loan  7.563% - 9.06%
(6 Mo. LIBOR + 5.50%
(6 Mo. LIBOR + 5.50%
)
)
11/15/2023   93,837    85,954 
Clarios Global LP 2021 USD Term Loan B (Canada)(a)  7.004%
(1 Mo. LIBOR + 3.25%
) 4/30/2026   62,000    60,426 
   
38 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Auto Parts & Equipment (continued)                
DexKo Global Inc. 2021 USD Term Loan B  7.424% - 7.50%
(3 Mo. LIBOR + 3.75%
(3 Mo. LIBOR + 3.75%
)
)
10/4/2028  $49,855   $45,457 
Total              191,837 
                 
Building & Construction 0.03%                
USIC Holdings, Inc. 2021 2nd Lien Term Loan  10.254%
(1 Mo. LIBOR + 6.50%
) 5/14/2029   16,454    15,220 
                 
Building Materials 0.17%                
ACProducts, Inc. 2021 Term Loan B  7.127% - 7.92%
(6 Mo. LIBOR + 4.25%
(6 Mo. LIBOR + 4.25%
)
)
5/17/2028   64,836    45,736 
Core & Main LP 2021 Term Loan B  6.096% - 7.42%
(6 Mo. LIBOR + 2.50%
(6 Mo. LIBOR + 2.50%
)
)
7/27/2028   49,874    48,767 
Icebox Holdco III, Inc. 2021 1st Lien Term Loan  7.424%
(3 Mo. LIBOR + 3.75%
) 12/22/2028   6,857    6,371 
Total              100,874 
                 
Cable & Satellite Television 0.21%                
DirecTV Financing, LLC Term Loan  (f)  8/2/2027   125,000    119,438 
                 
Commercial Services 0.15%                
R1 RCM, Inc. 2022 Term Loan B  (f)  6/21/2029   85,000    84,575 
                 
Diversified Capital Goods 0.28%                
Grinding Media Inc. 2021 Term Loan B  7.144% - 7.70%
(3 Mo. LIBOR + 4.00%
) 10/12/2028   106,006    91,430 
Tank Holding Corp. 2022 Term Loan  9.579% - 11.00%
(1 Mo. SOFR + 5.75%
) 3/31/2028   20,249    19,493 
Tiger Acquisition, LLC 2021 Term Loan  7.004%
(1 Mo. LIBOR + 3.25%
) 6/1/2028   54,861    51,395 
Total              162,318 
                 
Electric: Generation 0.19%                
Astoria Energy LLC 2020 Term Loan B  (f)  12/10/2027   49,754    48,777 
CPV Shore Holdings, LLC Term Loan  7.51%
(1 Mo. LIBOR + 3.75%
) 12/29/2025   32,142    29,637 
     
  See Notes to Schedule of Investments. 39
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Electric: Generation (continued)                
EFS Cogen Holdings I LLC 2020 Term Loan B  7.18% - 7.26%
(1 Mo. LIBOR + 3.50%
(3 Mo. LIBOR + 3.50%
)
)
10/1/2027  $31,977   $30,800 
Total              109,214 
                 
Electric: Integrated 0.24%                
Compass Power Generation LLC 2022 Term Loan B2  8.093%
(1 Mo. SOFR + 4.25%
) 4/14/2029   82,246    79,870 
Helix Gen Funding, LLC Term Loan B  7.504%
(1 Mo. LIBOR + 3.75%
) 6/3/2024   60,313    58,070 
Total              137,940 
                 
Energy: Exploration & Production 0.11%                
Kestrel Acquisition, LLC 2018 Term Loan B  8.01%
(1 Mo. LIBOR + 4.25%
) 6/2/2025   68,542    65,347 
                 
Gas Distribution 0.24%                
CQP Holdco LP 2021 Term Loan B  7.424%
(3 Mo. LIBOR + 3.75%
) 6/5/2028   74,811    73,979 
Freeport LNG Investments, LLLP Term Loan B  7.743%
(3 Mo. LIBOR + 3.50%
) 12/21/2028   69,823    65,502 
Total              139,481 
                 
Health Facilities 0.23%                
EyeCare Partners, LLC 2021 Incremental Term Loan  7.424%
(3 Mo. LIBOR + 3.75%
) 11/15/2028   49,750    43,780 
WP CityMD Bidco LLC 2021 1st Lien Term Loan B  (f)  12/22/2028   90,000    87,600 
Total              131,380 
                 
Health Services 0.15%                
Corgi Bidco, Inc Term Loan  8.784%
(3 Mo. SOFR + 5.00%
) 10/13/2029   93,072    87,720 
                 
Integrated Energy 0.11%                
Oregon Clean Energy, LLC Term Loan  7.579%
(1 Mo. LIBOR + 3.75%
) 3/1/2026   64,034    62,643 
                 
Investments & Miscellaneous Financial Services 0.23%                
Jane Street Group, LLC 2021 Term Loan  (f)  1/26/2028   140,000    136,288 
   
40 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Machinery 0.02%                
CMBF LLC Term Loan  9.317%
(1 Mo. LIBOR + 6.00%
) 8/2/2028  $16,407   $14,110 
                 
Media: Content 0.08%                
NEP/NCP Holdco, Inc. 2018 2nd Lien Term Loan  10.754%
(1 Mo. LIBOR + 7.00%
) 10/19/2026   50,000    44,714 
                 
Medical Products 0.23%                
Athenahealth, Inc. 2022 Delayed Draw Term loan(g)  3.50%  2/15/2029   13,782    12,628 
Athenahealth, Inc. 2022 Term Loan B  6.967%
(1 Mo. SOFR + 3.50%
) 2/15/2029   81,111    74,318 
Physician Partners LLC Term Loan  (f)  12/23/2028   49,875    47,303 
Total              134,249 
                 
Metals/Mining (Excluding Steel) 0.25%                
Peabody Energy Corporation 2018 Term Loan  6.326%
(1 Mo. LIBOR + 2.75%
) 3/31/2025   148,828    143,433 
                 
Oil & Gas 0.19%                
Parkway Generation, LLC Term Loan B  8.504%
(1 Mo. LIBOR + 4.75%
) 2/18/2029   97,506    96,856 
Parkway Generation, LLC Term Loan C  8.504%
(1 Mo. LIBOR + 4.75%
) 2/18/2029   13,721    13,630 
Total              110,486 
                 
Oil Field Equipment & Services 0.10%                
Ulterra Drilling Technologies, LP Term Loan B  9.004%
(1 Mo. LIBOR + 5.25%
) 11/26/2025   59,006    56,744 
                 
Personal & Household Products 0.06%                
Gibson Brands Inc. 2021 Term Loan  9.125%
(3 Mo. LIBOR + 5.00%
) 8/11/2028   40,222    32,178 
                 
Pharmaceuticals 0.37%                
Canopy Growth Corporation Term Loan (Canada)(a)  11.248%
(6 Mo. LIBOR + 8.50%
) 3/18/2026   12,464    10,575 
Jazz Financing Lux S.a.r.l. USD Term Loan (Luxembourg)(a)  (f)  5/5/2028   100,000    98,977 
Organon & Co USD Term Loan  6.188%
(3 Mo. LIBOR + 3.00%
) 6/2/2028   110,000    107,605 
Total              217,157 
     
  See Notes to Schedule of Investments. 41
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Printing & Publishing 0.11%                
Cengage Learning, Inc. 2021 Term Loan B  7.814%
(3 Mo. LIBOR + 4.75%
) 7/14/2026  $69,824   $61,998 
                 
Recreation & Travel 0.02%                
Bulldog Purchaser Inc. 2018 Term Loan  7.579%
(1 Mo. LIBOR + 3.75%
) 9/5/2025   15,647    13,707 
                 
Restaurants 0.15%                
IRB Holding Corp 2020 Term Loan B  (f)  2/5/2025   90,000    88,831 
                 
Software/Services 0.49%                
NortonLifeLock Inc. 2022 Term Loan B  (f)  9/12/2029   135,000    132,019 
Peraton Corp. Term Loan B  (f)  2/1/2028   90,000    86,850 
Riverbed Technology, Inc. 2021 Exit Term Loan PIK 2.00%  2.00% - 9.20%
(1 Mo. LIBOR + 6.00%
) 12/7/2026   52,466    20,527 
Tibco Software Inc. 2022 USD Term Loan  (f)  3/30/2029   50,000    45,735 
Total              285,131 
                 
Specialty Retail 0.35%                
PetSmart, Inc. 2021 Term Loan B  (f)  2/11/2028   144,773    139,676 
Wand NewCo 3, Inc. 2020 Term Loan  (f)  2/5/2026   64,833    60,992 
Total              200,668 
                 
Support: Services 0.39%                
Aramark Services, Inc. 2018 Term Loan B3  (f)  3/11/2025   100,000    97,593 
AVSC Holding Corp. 2020 Term Loan B1 PIK 0.25%  6.394%
(3 Mo. LIBOR + 3.25%
) 3/3/2025   54,892    47,916 
Sabre GLBL Inc. 2021 Term Loan B1  (f)  12/17/2027   21,149    18,955 
Sabre GLBL Inc. 2021 Term Loan B2  (f)  12/17/2027   33,712    30,215 
Sabre GLBL Inc. 2022 1st Lien Term Loan B  8.829%
(1 Mo. SOFR + 5.00%
) 6/30/2028   32,314    29,931 
Total              224,610 
                 
Theaters & Entertainment 0.07%                
Vue International Bidco p.l.c. 2019 EUR Term Loan B(b)  (f)  7/3/2026  EUR51,659    34,758 
Vue International Bidco p.l.c. 2022 EUR Term Loan(b)9.766%
(3 Mo. EURIBOR + 8.00%
) 6/30/2027  EUR6,827    6,376 
Total              41,134 
   
42 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Investments  Interest
Rate
  Maturity
Date
  Principal
Amount
   Fair
Value
 
Transportation: Infrastructure/Services 0.26%                
Uber Technologies, Inc. 2021 1st Lien Term Loan B  (f)  4/4/2025   $150,000   $148,955 
Total Floating Rate Loans (cost $3,452,524)              3,362,380 
                 
NON-AGENCY COMMERCIAL MORTGAGE-BACKED SECURITIES 0.06%          
Great Wolf Trust 2019-WOLF B  4.746%
(1 Mo. LIBOR + 1.33%
)#  12/15/2036   15,000    14,282 
KKR Industrial Portfolio Trust 2021-KDIP D  4.662%
(1 Mo. LIBOR + 1.25%
)#  12/15/2037   7,500    7,065 
KKR Industrial Portfolio Trust 2021-KDIP E  4.962%
(1 Mo. LIBOR + 1.55%
)#  12/15/2037   7,500    7,030 
KKR Industrial Portfolio Trust 2021-KDIP F  5.462%
(1 Mo. LIBOR + 2.05%
)#  12/15/2037   7,500    6,940 
Total Non-Agency Commercial Mortgage-Backed Securities (cost $35,625)        35,317 
                 
   Dividend
Rate
     Shares      
                 
PREFERRED STOCKS 0.05%                
                 
Commercial Banks                
Synovus Financial Corp. (cost $31,620)  6.30%
(3 Mo. LIBOR + 3.35%
)#      1,200    28,080 
Total Long-Term Investments (cost $52,444,383)              50,776,738 
                 
         Principal
Amount
      
                 
SHORT-TERM INVESTMENTS 10.14%                
                 
Repurchase Agreements 10.14%                
Repurchase Agreement dated 10/31/2022, 1.300% due 11/1/2022 with Fixed Income Clearing Corp. collateralized by $6,145,300 of U.S. Treasury Note at 3.00% due 6/30/2024; value: $5,992,866; proceeds: $5,875,534
(cost $5,875,322)
    $5,875,322    5,875,322 
Total Investments in Securities 97.81% (cost $58,319,705)           56,652,060 
Less Unfunded Loan Commitments (0.02%) (cost $12,748)           (12,628)
Net Investments in Securities 97.79% (cost $58,306,957)           56,639,432 
Other Assets and Liabilities – Net(h) 2.21%              1,279,607 
Net Assets 100.00%             $57,919,039 
     
  See Notes to Schedule of Investments. 43
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

EUR   Euro.
GBP   British Pound.
CMT   Constant Maturity Rate.
EURIBOR   Euro Interbank Offered Rate.
EUSA   Euro Swap Rate.
LIBOR   London Interbank Offered Rate.
PIK   Payment-in-kind.
REITS   Real Estate Investment Trusts.
SOFR   Secured Overnight Financing Rate.
#   Variable rate security. The interest rate represents the rate in effect at October 31, 2022.
  Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and, unless registered under such Act or exempted from registration, may only be resold to qualified institutional buyers. At October 31, 2022, the total value of Rule 144A securities was $30,577,250, which represents 52.79% of net assets.
(a)   Foreign security traded in U.S. dollars.
(b)   Investment in non-U.S. dollar denominated securities.
(c)   Security is perpetual in nature and has no stated maturity.
(d)   Defaulted (non-income producing security).
(e)   Floating Rate Loans in which the Fund invests generally pay interest at rates which are periodically re-determined at a margin above the London Interbank Offered Rate (“LIBOR”) or the prime rate offered by major U.S. banks. The rate(s) shown is the rate(s) in effect at October 31, 2022.
(f)   Interest Rate to be determined.
(g)   Security partially/fully unfunded.
(h)   Other Assets and Liabilities – Net include net unrealized appreciation/depreciation on forward foreign currency exchange contracts, futures contracts and swaps as follows:

 

Centrally Cleared Credit Default Swaps on Indexes - Sell Protection at October 31, 2022(1):

 

Referenced
Indexes
  Central
Clearing
Party
  Fund
Receives
(Quarterly)
  Termination
Date
  Notional
Amount
  Payments
Upfront(2)
  Value   Unrealized
Appreciation
(3) 
Markit CDX.NA.HY.S39(4)(5)   Bank of America   5.00%   12/20/2027   $4,250,000   $(52,920 ) $(32,265 ) $20,655  
     
(1)   If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities.
(2)   Upfront payments paid (received) by Central Clearing Party are presented net of amortization.
(3)   Total unrealized appreciation on Credit Default Swaps on Indexes amounted to $20,655. Total unrealized depreciation on Credit Default Swaps on Indexes amounted to $0.
(4)   Central Clearinghouse: Intercontinental Exchange (ICE).
(5)   The Referenced Index is for the Centrally Cleared Credit Default Swaps on Indexes, which is comprised of a basket of high yield securities.
   
44 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Consumer Price Index (“CPI”) Centrally Cleared Swaps at October 31, 2022:

 

Central
Clearingparty(1)
  Periodic
Payments
to be Made
By The Fund
(Quarterly)
  Periodic
Payments
to be Received
By The Fund
(Quarterly)
  Termination
Date
  Notional
Amount
 Value/Unrealized
Appreciation
 
Bank of America  2.410%  CPI Urban Consumer NSA  9/30/2023   $2,042,563                  $13,219 
Bank of America  2.673%  CPI Urban Consumer NSA  10/3/2027   1,498,000    13,042 
Bank of America  2.673%  CPI Urban Consumer NSA  10/3/2027   1,900,000    5,548(1) 
Bank of America  4.110%  CPI Urban Consumer NSA  7/1/2023   1,432,559    9,152 
Bank of America  4.415%  CPI Urban Consumer NSA  6/1/2023   1,676,000    9,563 
Bank of America  4.900%  CPI Urban Consumer NSA  1/15/2024   2,137,000    13,301 
Unrealized Appreciation on CPI Centrally Cleared Swaps       $63,825 
     
(1)   Includes upfront payment of $10,994.

 

Forward Foreign Currency Exchange Contracts at October 31, 2022:

 

Forward
Foreign
Currency
Exchange
Contracts
  Transaction
Type
  Counterparty  Expiration
Date
  Foreign
Currency
 U.S. $
Cost on
Origination
Date
 U.S. $
Current
Value
 Unrealized
Appreciation
 
British pound  Buy  Goldman Sachs  12/8/2022  9,000         $10,263      $10,333           $70 
British pound  Buy  Morgan Stanley  12/8/2022  84,000     95,198    96,437    1,239 
British pound  Buy  Morgan Stanley  12/8/2022  6,000     6,443    6,888    445 
Euro  Buy  Morgan Stanley  12/12/2022  115,000     111,132    114,008    2,876 
British pound  Sell  Morgan Stanley  12/8/2022  346,000     398,997    397,229    1,768 
British pound  Sell  State Street Bank and Trust  12/8/2022  89,000     103,595    102,177    1,418 
Euro  Sell  Bank of America  12/12/2022  95,000     94,680    94,180    500 
Euro  Sell  Bank of America  12/12/2022  137,000     136,629    135,818    811 
Euro  Sell  Morgan Stanley  12/12/2022  429,000     429,033    425,298    3,735 
Euro  Sell  Morgan Stanley  12/12/2022  96,000     96,941    95,172    1,769 
Euro  Sell  Morgan Stanley  12/12/2022  95,000     94,197    94,180    17 
Euro  Sell  State Street Bank and Trust  12/12/2022  945,000     950,339    936,846    13,493 
Euro  Sell  State Street Bank and Trust  12/12/2022  6,000     6,018    5,948    70 
Euro  Sell  State Street Bank and Trust  12/12/2022  209,000     208,913    207,197    1,716 
Total Unrealized Appreciation on Forward Foreign Currency Exchange Contracts                 $29,927 
                              
Forward
Foreign
Currency
Exchange
Contracts
  Transaction
Type
  Counterparty  Expiration
Date
  Foreign
Currency
 U.S. $
Cost on
Origination
Date
 U.S. $
Current
Value
 Unrealized
Depreciation
 
Euro  Buy  Morgan Stanley  12/12/2022  100,000    $100,252   $99,137   $(1,115)
Euro  Sell  Bank of America  12/12/2022  100,000     97,412    99,137    (1,725)
Euro  Sell  Morgan Stanley  12/12/2022  97,000     96,005    96,163    (158)
Euro  Sell  State Street Bank and Trust  12/12/2022  98,000     96,867    97,154    (287)
Euro  Sell  State Street Bank and Trust  12/12/2022  89,000     88,182    88,232    (50)
Total Unrealized Depreciation on Forward Foreign Currency Exchange Contracts                 $(3,335)
     
  See Notes to Schedule of Investments. 45
 

Schedule of Investments (unaudited)(concluded)

SHORT DURATION HIGH YIELD FUND October 31, 2022

 

Futures Contracts at October 31, 2022:

 

Type   Expiration   Contracts   Position   Notional
Amount
  Notional
Value
  Unrealized
Appreciation
 
U.S. 5-Year Treasury Note   December 2022   19   Short   $(2,028,984 ) $(2,025,281 ) $3,703  
                           
Type   Expiration   Contracts   Position   Notional
Amount
  Notional
Value
  Unrealized
Depreciation
 
U.S. 2-Year Treasury Note   December 2022   13   Long   $2,659,947   $2,656,977   $(2,970 )

 

The following is a summary of the inputs used as of October 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Asset-Backed Securities    $   $1,856,376     $   $1,856,376 
Convertible Bonds       431,623        431,623 
Corporate Bonds       45,062,962        45,062,962 
Floating Rate Loans       3,362,380        3,362,380 
Less Unfunded Commitments       (12,628)       (12,628)
Non-Agency Commercial Mortgage-Backed Securities       35,317        35,317 
Preferred Stocks   28,080            28,080 
Short-Term Investments                    
Repurchase Agreements       5,875,322        5,875,322 
Total  $28,080   $56,611,352   $   $56,639,432 
Other Financial Instruments                    
Centrally Cleared Credit Default Swap Contracts                    
Assets  $   $20,655   $   $20,655 
Liabilities                
Centrally Cleared CPI Swap Contracts                    
Assets       63,825        63,825 
Liabilities                
Forward Foreign Currency Exchange Contracts                    
Assets       29,927        29,927 
Liabilities       (3,335)       (3,335)
Futures Contracts                    
Assets   3,703            3,703 
Liabilities   (2,970)           (2,970)
Total  $733   $111,072   $   $111,805 
     
(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

46 See Notes to Schedule of Investments.
 

Notes to Schedule of Investments (unaudited)

 

1.     ORGANIZATION  

 

Lord Abbett Trust I (the “Trust”) is registered under the Investment Company Act of 1940, as amended (the “Act”), as a diversified, open-end management investment company and was organized as a Delaware statutory Trust on January 30, 2020. The Trust’s predecessor corporation was organized on May 1, 2001. The Trust currently consists of the following four funds separately, a “Fund” and collectively, the “Funds”). Lord Abbett Climate Focused Bond Fund (“Climate Focused Bond Fund”) Lord Abbett Emerging Markets Equity Fund (“Emerging Markets Equity Fund) Lord Abbett International Growth Fund (“International Growth Fund”) Lord Abbett Short Duration High Yield Fund (“Short Duration High Yield Fund”). Emerging Markets Equity Fund commenced operations on March 2, 2022 and the International Growth Fund commenced operations on June 18, 2021. Climate Focused Bond Fund’s investment objective is total return. Emerging Markets Equity Fund’s and International Growth Fund’s investment objective is to seek long-term capital appreciation. Short Duration High Yield Fund’s investment objective is to seek a high current income and the opportunity for capital appreciation to produce a high total return.

 

2.     SIGNIFICANT ACCOUNTING POLICIES  

 

(a) Investment Valuation–Under procedures approved by the Funds’ Board of Trustees (the “Board”), the Board has designated the determination of fair value of the Funds’ portfolio investments to Lord, Abbett & Co. LCC (“Lord Abbett”), as valuation designee. Accordingly, Lord Abbett is responsible for among other things, assessing and managing valuation risks, establishing, applying and testing fair value methodologies, and evaluating pricing services. Lord Abbett has formed a Pricing Committee that performs these responsibilities on behalf of Lord Abbett, administers the pricing and valuation of portfolio investments, and ensures that prices utilized reasonably reflect fair value. Among other things, these procedures allow Lord Abbett, subject to Board oversight, to utilize independent pricing services, quotations from securities and financial instrument dealers and other market sources to determine fair value.
   
  Securities actively traded on any recognized U.S. or non-U.S. exchange or on The NASDAQ Stock Market LLC are valued at the last sale price or official closing price on the exchange or system on which they are principally traded. Events occurring after the close of trading on non-U.S. exchanges may result in adjustments to the valuation of foreign securities to reflect their fair value as of the close of regular trading on the New York Stock Exchange. When valuing foreign equity securities that meet certain criteria, the Board has approved the use of an independent fair valuation service that values such securities to reflect market trading that occurs after the close of the applicable foreign markets of comparable securities or other instruments that correlate to the fair-valued securities. Unlisted equity securities are valued at the last quoted sale price or, if no sale price is available, at the mean between the most recently quoted bid and ask prices. Exchange traded options and futures contracts are valued at the last quoted sale price in the market where they are principally traded. If no sale has occurred, the mean between the most recently quoted bid and ask prices is used. Fixed income securities are valued based on evaluated prices supplied by independent pricing services, which reflect broker/dealer supplied valuations and the independent pricing services’ own electronic data processing techniques. Floating rate loans are valued at the average of bid and ask quotations obtained from dealers in loans on the basis of prices supplied by independent pricing services. Forward foreign currency exchange contracts are valued using daily forward exchange rates. Swaps are valued daily using independent pricing services or quotations from broker/dealers to the extent available.

 

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Notes to Schedule of Investments (unaudited)(continued)

 

  Securities for which prices are not readily available are valued at fair value as determined by the Pricing Committee. The Pricing Committee considers a number of factors, including observable and unobservable inputs, when arriving at fair value. The Pricing Committee may use observable inputs such as yield curves, broker quotes, observable trading activity, option adjusted spread models and other relevant information to determine the fair value of portfolio investments. The Board or a designated committee thereof periodically reviews reports that may include fair value determinations made by the Pricing Committee, related market activity, inputs and assumptions, and retrospective comparison of prices of subsequent purchases and sales transactions to fair value determinations made by the Pricing Committee.
   
  Short-term securities with 60 days or less remaining to maturity are valued using the amortized cost method, which approximates fair value.
   
(b) Fair Value Measurements–Fair value is defined as the price that each Fund would receive upon selling an investment or transferring a liability in an orderly transaction to an independent buyer in the principal or most advantageous market of the investment. A three-tier hierarchy is used to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk - for example, the risk inherent in a particular valuation technique used to measure fair value (such as a pricing model) and/or the risk inherent in the inputs to the valuation technique. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability. Observable inputs are based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability. Unobservable inputs are based on the best information available in the circumstances. The three-tier hierarchy classification is determined based on the lowest level of inputs that is significant to the fair value measurement, and is summarized in the three broad Levels listed below:

 

  Level 1 –  unadjusted quoted prices in active markets for identical investments;
       
  Level 2 – other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
       
  Level 3 – significant unobservable inputs (including each Fund’s own assumptions in determining the fair value of investments).

 

A summary of inputs used in valuing each Fund’s investments and other financial instruments as of October 31, 2022 and, if applicable, Level 3 rollforwards for the period then ended is included in each Fund’s Schedule of Investments.

 

Changes in valuation techniques may result in transfers into or out of an assigned level within the three-tier hierarchy. The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

 

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Notes to Schedule of Investments (unaudited)(concluded)

 

3.     FEDERAL TAX INFORMATION  

 

It is the policy of each Fund to meet the requirements of Subchapter M of the Internal Revenue Code applicable to regulated investment companies and to distribute substantially all taxable income and capital gains to its shareholders. Therefore, no income tax provision is required.

 

Each Fund files U.S. federal and various state and local tax returns. No income tax returns are currently under examination. The statute of limitations on each Fund’s filed U.S. federal tax returns remains open generally three years after the filing of the tax returns. The statute of limitations on each Fund’s, state and local tax returns may remain open for an additional year depending upon the jurisdiction.

 

4.     SECURITIES LENDING AGREEMENT  

 

The Funds have established a securities lending agreement with Citibank, N.A. for the lending of securities to qualified brokers in exchange for securities or cash collateral equal to at least the market value of securities loaned, plus interest, if applicable. Cash collateral is invested in an approved money market fund. In accordance with the Funds’ securities lending agreement, the market value of securities on loan is determined each day at the close of business and any additional collateral required to cover the value of securities on loan is delivered to the Funds on the next business day. As with other extensions of credit, the Funds may experience a delay in the recovery of their securities or incur a loss should the borrower of the securities breach its agreement with the Funds or the borrower becomes insolvent at a time when the collateral is insufficient to cover the cost of repurchasing securities on loan.

 

The initial collateral received by the Funds is required to have a value equal to at least 100% of the market value of the securities loaned. The collateral must be marked-to-market daily to cover increases in the market value of the securities loaned (or potentially a decline in the value of the collateral). In general, the risk of borrower default will be borne by Citibank, N.A.; the Funds will bear the risk of loss with respect to the investment of the cash collateral. The advantage of such loans is that the Funds continue to receive income on loaned securities while receiving a portion of any securities lending fees and earning returns on the cash amounts which may be reinvested for the purchase of investments in securities.

 

As of October 31, 2022 the funds did not have any securities out on loan.

 

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QPHR-TRI-1Q
(12/22)