0001752724-21-082119.txt : 20210423 0001752724-21-082119.hdr.sgml : 20210423 20210423134545 ACCESSION NUMBER: 0001752724-21-082119 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210228 FILED AS OF DATE: 20210423 PERIOD START: 20210531 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Fidelity Rutland Square Trust II CENTRAL INDEX KEY: 0001364924 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 0228 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-21991 FILM NUMBER: 21848760 BUSINESS ADDRESS: STREET 1: 245 SUMMER STREET CITY: BOSTON STATE: MA ZIP: 02210 BUSINESS PHONE: 617-563-7000 MAIL ADDRESS: STREET 1: 245 SUMMER STREET CITY: BOSTON STATE: MA ZIP: 02210 0001364924 S000060103 Strategic Advisers Tax-Sensitive Short Duration Fund C000196739 Strategic Advisers Tax-Sensitive Short Duration Fund FGNSX NPORT-P 1 primary_doc.xml NPORT-P false 0001364924 XXXXXXXX S000060103 C000196739 Fidelity Rutland Square Trust 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206839.32000000 0.003959722493 Long DBT MUN US N 2 2021-11-15 Fixed 0.05000000 N N N N N N DEUTSCHE BANK SPEARS/LIFERS TRUST N/A SEATTLE CITY WA DB-8078 Q=DB D7 25160RLR2 1000000.00000000 PA USD 1000000.00000000 0.019143954318 Long DBT MUN US N 2 2021-06-01 Variable 0.00100000 N N N N N N BALTIMORE MD PROJ REV N/A BALT MD WTR 5% 7/1/2024 05922KH77 635000.00000000 PA USD 731348.55000000 0.014000903232 Long DBT MUN US N 2 2024-07-01 Fixed 0.05000000 N N N N N N 2021-03-30 Stacie M. Smith Stacie M. Smith Stacie M. Smith President and Treasurer XXXX NPORT-EX 2 QTLY_3058_20210228.htm

Quarterly Holdings Report
for

Strategic Advisers® Tax-Sensitive Short Duration Fund

Offered exclusively to certain clients of Strategic Advisers LLC - not available for sale to the general public

February 28, 2021







TSS-QTLY-0421
1.9885906.103





Schedule of Investments February 28, 2021 (Unaudited)

Showing Percentage of Net Assets

Unclassified - 15.7%   
 Principal Amount Value 
Federated Hermes Municipal Ultrashort Fund Institutional Shares $3,986,948 $40,028,962 
Houston Airport System Rev. 0.12% 5/13/21 2,000,000 1,999,958 
JPMorgan Ultra-Short Municipal Fund Class I 61,714,999 620,852,795 
Nuveen NY AMT-Free Quality Municipal Income Fund Preferred Shares 0.4% (a)(b)(c) 6,800,000 6,800,000 
Vanguard Short-Term Tax-Exempt Fund Admiral Shares 9,417,468 150,020,266 
TOTAL UNCLASSIFIED   
(Cost $820,017,416)  819,701,981 
Municipal Bonds - 41.8%   
Alabama - 0.6%   
Alabama Pub. School & College Auth. Rev. Series 2020 A:   
5% 11/1/22 $1,500,000 $1,621,110 
5% 11/1/24 1,500,000 1,748,205 
Alabama Spl. Care Facilities Fing. Auth. Birmingham Rev. Bonds Series 2006 C1, 1.85%, tender 11/1/22 (c) 1,025,000 1,053,075 
Birmingham Arpt. Auth. Arpt. Series 2020:   
5% 7/1/24 (Build America Mutual Assurance Insured) 325,000 371,173 
5% 7/1/25 (Build America Mutual Assurance Insured) 325,000 382,554 
Black Belt Energy Gas District:   
(Proj. No. 4) Series 2019 A:   
4% 6/1/21 1,250,000 1,261,102 
4% 6/1/23 1,750,000 1,886,220 
Bonds:   
Series 2016 A, 4%, tender 6/1/21 (c) 9,725,000 9,798,817 
Series 2017 A, 4%, tender 7/1/22 (c) 4,750,000 4,956,388 
Chatom Indl. Dev. Board Gulf Opportunity Zone Series 2020, 5% 8/1/23 (FSA Insured) 1,350,000 1,493,505 
Health Care Auth. for Baptist Health Series 2006 B, 0.14%, tender 11/15/37 (c) 1,150,000 1,150,000 
Jefferson County Gen. Oblig. Series 2018 B, 5% 4/1/21 270,000 271,030 
Lower Alabama Gas District (No. 2 Proj.) Series 2020, 4% 12/1/21 100,000 102,713 
Mobile County Board of School Commissioners:   
Series 2016 A:   
5% 3/1/22 15,000 15,701 
5% 3/1/23 20,000 21,778 
5% 3/1/24 25,000 28,243 
5% 3/1/25 25,000 29,171 
Series 2016 B:   
5% 3/1/22 80,000 83,741 
5% 3/1/23 405,000 441,005 
5% 3/1/24 45,000 50,837 
Mobile Indl. Dev. Board Poll. Cont. Rev. Bonds Series 2009 E, 1%, tender 6/26/25 (c) 600,000 605,922 
Montgomery Med. Clinic Facilities Series 2015:   
5% 3/1/21 10,000 10,000 
5% 3/1/22 70,000 72,522 
Southeast Alabama Gas Supply District Bonds Series 2018 A, 4%, tender 4/1/24 (c) 4,000,000 4,360,200 
Univ. of South Alabama Univ. Rev. Series 2021, 4% 4/1/26 (d) 500,000 575,670 
TOTAL ALABAMA  32,390,682 
Alaska - 0.1%   
Alaska Hsg. Fin. Corp. Mtg. Rev. Series 2020 A:   
0.3% 12/1/21 665,000 665,745 
0.35% 6/1/22 660,000 660,911 
0.4% 12/1/22 750,000 751,110 
Alaska Int'l. Arpts. Revs. Series 2016 C:   
5% 10/1/22 (e) 1,105,000 1,182,096 
5% 10/1/23 (e) 425,000 471,206 
Alaska Muni. Bond Bank Series 1, 5% 12/1/21 1,000,000 1,034,357 
Anchorage Gen. Oblig.:   
Series B, 5% 9/1/22 30,000 32,152 
Series C, 5% 9/1/22 20,000 21,434 
TOTAL ALASKA  4,819,011 
Arizona - 1.4%   
Arizona Board of Regents Ctfs. of Prtn. Series 2015 A, 5% 6/1/22 150,000 158,847 
Arizona Ctfs. of Prtn. Series 2019 A:   
5% 10/1/24 195,000 226,093 
5% 10/1/25 445,000 533,039 
Arizona Health Facilities Auth. Rev.:   
(Scottsdale Lincoln Hospitals Proj.) Series 2014 A:   
5% 12/1/21 25,000 25,859 
5% 12/1/22 15,000 16,195 
5% 12/1/23 20,000 22,542 
5% 12/1/24 45,000 52,539 
Bonds Series 2013 A3, SIFMA Municipal Swap Index + 1.850% 1.88%, tender 2/1/23 (c)(f) 2,000,000 2,031,780 
Arizona Indl. Dev. Auth. Hosp. Rev. Series 2020 A:   
5% 2/1/24 600,000 678,834 
5% 2/1/26 750,000 903,623 
Chandler Indl. Dev. Auth. Indl. Dev. Rev. Bonds (Intel Corp. Proj.):   
Series 2005, 2.4%, tender 8/14/23 (c) 5,100,000 5,335,110 
Series 2007, 2.7%, tender 8/14/23 (c)(e) 6,820,000 7,165,365 
Series 2019, 5%, tender 6/3/24 (c)(e) 5,610,000 6,380,758 
Coconino County Poll. Cont. Corp. Rev. Bonds:   
Series 2017 A, 1.875%, tender 3/31/23 (c)(e) 845,000 867,621 
Series 2017 B, 1.65%, tender 3/31/23 (c) 1,020,000 1,046,204 
Glendale Union School District 205 Series A:   
5% 7/1/24 (FSA Insured) 225,000 258,251 
5% 7/1/25 (FSA Insured) 225,000 266,639 
Glendale Gen. Oblig.:   
Series 2015, 5% 7/1/22 (FSA Insured) 20,000 21,283 
Series 2017, 5% 7/1/22 75,000 79,356 
Glendale Trans. Excise Tax Rev. Series 2015:   
5% 7/1/21 (FSA Insured) 15,000 15,238 
5% 7/1/22 (FSA Insured) 25,000 26,604 
5% 7/1/23 (FSA Insured) 30,000 33,272 
Maricopa County Rev.:   
Bonds:   
Series 2019 B, SIFMA Municipal Swap Index + 0.380% 0.41%, tender 10/18/22 (c)(f) 4,065,000 4,057,968 
Series B, 5%, tender 10/18/22 (c) 2,980,000 3,196,050 
Series 2016 A, 5% 1/1/25 105,000 122,715 
Maricopa County Unified School District #48 Scottsdale Series D, 4% 7/1/23 500,000 543,410 
Mesa Util. Sys. Rev.:   
Series 2016, 5% 7/1/25 1,015,000 1,206,185 
Series 2020, 5% 7/1/24 635,000 729,977 
Phoenix Civic Impt. Board Arpt. Rev.:   
Series 2013, 5% 7/1/21 (e) 2,750,000 2,791,822 
Series 2017 A, 5% 7/1/22 (e) 715,000 758,501 
Series 2017 D:   
5% 7/1/22 840,000 891,685 
5% 7/1/24 250,000 286,678 
Series 2018, 5% 7/1/23 (e) 1,100,000 1,214,246 
Series 2019 B, 5% 7/1/23 (e) 1,000,000 1,102,630 
Phoenix Indl. Solid Waste Disp. Rev. Bonds (Republic Svc., Inc. Proj.) Series 2013, 0.18%, tender 12/1/35 (c)(e) 23,880,000 23,878,381 
Pima County Ctfs. of Prtn. Series 2014:   
5% 12/1/21 50,000 51,799 
5% 12/1/22 130,000 140,806 
5% 12/1/23 75,000 84,313 
Pima County Swr. Sys. Rev. Series 2020 A, 5% 7/1/23 270,000 299,576 
Tucson Ctfs. of Prtn.:   
Series 2015:   
5% 7/1/22 (FSA Insured) 290,000 308,084 
5% 7/1/23 (FSA Insured) 200,000 220,576 
Series 2016, 4% 7/1/21 (FSA Insured) 260,000 263,193 
Western Maricopa Ed. Ctr. District Series 2019 B, 4% 7/1/21 1,365,000 1,382,174 
Yavapai County Indl. Dev. Auth.:   
Series 2016, 5% 8/1/23 275,000 303,812 
Series 2019:   
5% 8/1/21 225,000 229,285 
5% 8/1/22 425,000 452,472 
5% 8/1/23 355,000 392,193 
Yuma Pledged Rev. Series 2021:   
4% 7/1/24 300,000 334,020 
4% 7/1/25 505,000 575,074 
TOTAL ARIZONA  71,962,677 
Arkansas - 0.1%   
Arkansas Dev. Fin. Auth. Multi-family Hsg. Rev. (NLR Rad Family Homes Proj.) Series 2020, 1.2%, tender 9/1/22 (c) 5,000,000 5,062,100 
Arkansas Dev. Fin. Auth. Pub. Safety Charges (Arkansas Division of Emergency Mgmt. Proj.) Series 2020, 5% 6/1/24 565,000 645,852 
Batesville Pub. Facilities Board Series 2020:   
5% 6/1/22 590,000 612,349 
5% 6/1/23 790,000 838,546 
TOTAL ARKANSAS  7,158,847 
California - 2.3%   
ABAG Fin. Auth. for Nonprofit Corps. Rev. (Sharp HealthCare Proj.) Series 2012 A, 4% 8/1/21 150,000 152,363 
Bay Area Toll Auth. San Francisco Bay Toll Bridge Rev. Bonds:   
Series 2017 G, 2%, tender 4/1/24 (c) 1,120,000 1,159,838 
Series A, 2.95%, tender 4/1/26 (c) 115,000 125,971 
Series B, 2.85%, tender 4/1/25 (c) 95,000 102,241 
Burbank Glendale Pasadena Arpt. Auth. Rev. Series B, 5% 7/1/23 (e) 1,290,000 1,405,094 
California Dept. of Wtr. Resources Pwr. Supply Rev. Series 2015 O, 5% 5/1/21 575,000 579,606 
California Gen. Oblig.:   
Bonds Series 2013, SIFMA Municipal Swap Index + 0.380% 0.41%, tender 12/1/22 (c)(f) 3,270,000 3,269,542 
Series 2017, 5% 8/1/26 1,175,000 1,442,536 
Series 2020:   
5% 3/1/22 3,180,000 3,334,286 
5% 11/1/24 500,000 582,340 
5.25% 9/1/22 35,000 37,674 
California Health Facilities Fing. Auth. Rev.:   
Bonds:   
(Stanford Hosp. & Clinics Proj.) Series 2008 B2, 0.3%, tender 3/2/21 (c) 4,050,000 4,050,000 
Series 2009 C, 5%, tender 10/18/22 (c) 535,000 575,344 
Series 2017 C, 5%, tender 11/1/22 (c) 200,000 215,904 
Series 2014 A, 5% 10/1/21 325,000 334,124 
Series 2018 A, 5% 11/15/22 195,000 210,588 
Series A, 4% 11/15/21 405,000 415,540 
California Infrastructure and Econ. Dev. Bank Rev. Bonds:   
(Brightline West Passenger Rail Proj.) Series 2020 A, 0.45%, tender 7/1/21 (b)(c)(e) 4,000,000 4,000,260 
Series 2018 A, 1 month U.S. LIBOR + 0.380% 0.46%, tender 3/4/21 (c)(f) 400,000 399,972 
Series 2018 C, 1 month U.S. LIBOR + 0.380% 0.46%, tender 3/4/21 (c)(f) 2,940,000 2,939,798 
Series 2018 D, 1 month U.S. LIBOR + 0.380% 0.46%, tender 3/3/21 (c)(f) 7,600,000 7,599,477 
California Muni. Fin. Auth. Solid Waste Disp. Rev. Bonds (Waste Mgmt., Inc. Proj.) Series 2017 A, 0.7%, tender 12/1/23 (c)(e) 1,600,000 1,611,344 
California Muni. Fin. Auth. Solid Waste Rev. Bonds (Republic Svcs., Inc. Proj.) 0.18%, tender 4/1/21 (c) 6,670,000 6,670,215 
California Poll. Cont. Fing. Auth. Solid Waste Disp. Rev. Bonds (Republic Svcs., Inc. Proj.) Series 2017 A1, 0.2%, tender 11/1/42 (b)(c)(e) 7,000,000 7,000,083 
California Pub. Fin. Auth. Rev. Series 2021 A:   
4% 10/15/23 (d) 285,000 307,911 
4% 10/15/24 (d) 380,000 420,231 
California Statewide Cmntys. Dev. Auth. Rev. Series 2007:   
0.1%, tender 7/1/40 (FSA Insured) (c) 4,275,000 4,275,000 
0.1%, tender 7/1/41 (FSA Insured) (c) 4,475,000 4,475,000 
Cathedral City Redev. Agcy. (Merged Redev. Proj.) Series 2021 C:   
4% 8/1/21 250,000 253,423 
4% 8/1/22 200,000 209,036 
4% 8/1/23 225,000 242,402 
Golden State Tobacco Securitization Corp. Tobacco Settlement Rev.:   
Series 2013 A, 4% 6/1/21 250,000 252,353 
Series 2017 A1:   
5% 6/1/21 270,000 273,085 
5% 6/1/22 40,000 42,293 
5% 6/1/23 45,000 49,535 
5% 6/1/24 25,000 28,514 
Series A, 0% 6/1/24 (AMBAC Insured) 75,000 73,466 
Long Beach Hbr. Rev.:   
Series 2020 B, 5% 5/15/24 (e) 350,000 396,480 
Series 2020 C, 4% 7/15/21 2,500,000 2,535,438 
Los Angeles Dept. Arpt. Rev.:   
Series 2015 C, 5% 5/15/21 (Escrowed to Maturity) 225,000 227,206 
Series 2016 A, 5% 5/15/22 (e) 250,000 264,065 
Series 2017 B, 5% 5/15/23 (e) 800,000 879,936 
Series 2018 C, 5% 5/15/21 (e) 360,000 363,433 
Series 2019 F, 5% 5/15/24 (e) 2,610,000 2,975,322 
Series D, 5% 5/15/21 (e) 200,000 201,907 
Series F, 5% 5/15/22 (e) 1,400,000 1,478,764 
Los Angeles Dept. of Wtr. & Pwr. Wtrwks. Rev. Series A, 4% 7/1/21 200,000 202,564 
Los Angeles Hbr. Dept. Rev. Series 2019 A, 5% 8/1/22 (e) 815,000 867,682 
Los Angeles Reg'l. Arpts. Impt. Rev. Series 2012, 4.5% 1/1/27 (e) 375,000 387,608 
Los Angeles Unified School District Series 2020 C, 5% 7/1/23 1,200,000 1,330,260 
Oakland Unified School District Alameda County Series 2013, 5.5% 8/1/23 20,000 21,886 
Palomar Pomerado Health Care Dis:   
Series 2006 A, 0.53%, tender 11/1/36 (FSA Insured) (c) 4,900,000 4,900,000 
Series 2006 B, 0.51%, tender 11/1/36 (FSA Insured) (c) 4,700,000 4,700,000 
Series 2006 C, 0.49%, tender 11/1/36 (FSA Insured) (c) 2,300,000 2,300,000 
Port of Oakland Rev.:   
Series 2012 P:   
5% 5/1/21 (e) 55,000 55,396 
5% 5/1/23 (Pre-Refunded to 5/1/22 @ 100) (e) 335,000 353,278 
Series H:   
5% 5/1/22 (e) 2,750,000 2,891,433 
5% 5/1/23 (e) 5,515,000 6,031,811 
5% 5/1/24 (e) 930,000 1,052,193 
Riverside County Teeter Plan Series A, 0.5% 10/21/21 590,000 591,243 
San Diego County Reg'l. Arpt. Auth. Arpt. Rev.:   
Series 2013 A, 5% 7/1/21 250,000 254,013 
Series 2013 B:   
5% 7/1/21 (e) 1,145,000 1,162,800 
5% 7/1/22 (e) 1,800,000 1,911,996 
Series 2020 C:   
5% 7/1/22 (e) 1,475,000 1,564,739 
5% 7/1/23 (e) 545,000 601,740 
San Diego County Reg'l. Trans. Commission Sales Tax Rev. Series A, 5% 10/1/22 (d) 4,050,000 4,344,678 
San Diego Pub. Facilities Fing. Auth. Lease Rev. Series 2016, 5% 10/15/22 1,940,000 2,083,250 
San Diego Pub. Facilities Fing. Auth. Wtr. Rev. Series 2020 A:   
5% 8/1/21 250,000 255,036 
5% 8/1/22 250,000 267,230 
San Francisco City & County Arpts. Commission Int'l. Arpt. Rev.:   
Series 2013 A, 5% 5/1/22 (e) 500,000 527,220 
Series 2016 A:   
3% 5/1/21 (Escrowed to Maturity) 400,000 401,780 
5% 5/1/21 (Escrowed to Maturity) 745,000 750,780 
5% 5/1/22 1,000,000 1,056,260 
Series 2016 D, 5% 5/1/21 (Escrowed to Maturity) 470,000 473,646 
Series 2017 D, 5% 5/1/21 (Escrowed to Maturity) (e) 300,000 302,277 
Series 2019 A:   
5% 1/1/22 (e) 2,900,000 3,012,967 
5% 1/1/24 (e) 655,000 737,216 
5% 1/1/25 (e) 575,000 668,679 
Series 2019 H, 5% 5/1/23 (e) 2,000,000 2,199,280 
San Jose Int. Arpt. Rev. Series 2017 A, 5% 3/1/21 (e) 2,550,000 2,550,000 
San Pablo Redev. Agcy. Series 2014 A, 5% 6/15/24 (FSA Insured) 30,000 34,211 
Washington Township Health Care District Rev. Series A:   
5% 7/1/21 350,000 354,980 
5% 7/1/22 200,000 211,216 
5% 7/1/23 200,000 218,912 
TOTAL CALIFORNIA  120,069,200 
Colorado - 0.8%   
Colorado Bridge Enterprise Rev. Series 2017, 4% 6/30/24 (e) 1,330,000 1,451,629 
Colorado Ctfs. of Prtn. Series 2020 A, 5% 12/15/21 2,000,000 2,075,688 
Colorado Health Facilities Auth.:   
Bonds:   
(Valley View Hosp. Assoc. Proj.) Series 2018, 2.8%, tender 5/15/23 (c) 495,000 514,260 
Series 2019 B:   
5%, tender 8/1/25 (c) 300,000 344,520 
5%, tender 8/1/26 (c) 340,000 401,571 
5%, tender 11/19/26 (c) 1,590,000 1,967,991 
Series 2019 A:   
5% 11/1/21 400,000 412,485 
5% 1/1/23 575,000 624,295 
Colorado Health Facilities Auth. Retirement Hsg. Rev. (Liberty Heights Proj.) Series 1991 A, 0% 7/15/22 (Escrowed to Maturity) 620,000 617,712 
Colorado Health Facilities Auth. Rev. Bonds:   
Series 2008 D3, 5%, tender 11/12/21 (c) 115,000 118,288 
Series 2016 C, 5%, tender 11/15/23 (c) 250,000 281,225 
Colorado Hsg. & Fin. Auth.:   
Series 2019 F, 4.25% 11/1/49 190,000 212,067 
Series 2019 H, 4.25% 11/1/49 105,000 117,360 
Colorado Reg'l. Trans. District (Denver Transit Partners Eagle P3 Proj.) Series 2020:   
5% 1/15/24 750,000 837,563 
5% 1/15/25 650,000 747,130 
Colorado Reg'l. Trans. District Ctfs. of Prtn.:   
Series 2013 A, 5% 6/1/23 250,000 275,158 
Series 2014 A, 5% 6/1/23 85,000 93,554 
Colorado Univ. Co. Hosp. Auth. Rev. Bonds Series 2017C-2, 5%, tender 3/1/22 (c) 1,120,000 1,145,117 
Denver City & County Arpt. Rev.:   
(Sub Lien Proj.) Series 2013 A, 5% 11/15/21 (e) 900,000 929,085 
Series 2011 A, 5.25% 11/15/22 (e) 1,750,000 1,809,868 
Series 2012 A:   
5% 11/15/22 (e) 520,000 560,825 
5% 11/15/23 (e) 250,000 269,663 
Series 2012 B:   
5% 11/15/21 400,000 413,244 
5% 11/15/22 250,000 269,853 
Series 2013 A, 5% 11/15/22 (e) 500,000 538,810 
Series 2013 B, 5% 11/15/21 360,000 371,920 
Series 2016 A, 5% 11/15/23 300,000 337,470 
Series 2017 A:   
5% 11/15/21 (e) 565,000 583,463 
5% 11/15/22 (e) 3,455,000 3,726,252 
Series 2018 A:   
5% 12/1/21 (e) 1,000,000 1,034,357 
5% 12/1/23 (e) 250,000 280,238 
Series 2020 A1, 5% 11/15/22 3,200,000 3,454,112 
Series 2020 B1:   
5% 11/15/21 (e) 3,855,000 3,980,972 
5% 11/15/22 (e) 4,045,000 4,362,573 
5% 11/15/23 (e) 935,000 1,047,742 
E-470 Pub. Hwy. Auth. Rev.:   
Bonds Series 2019 A, 1 month U.S. LIBOR + 0.420% 0.497%, tender 3/4/21 (c)(f) 2,250,000 2,250,049 
Series 2020 A:   
5% 9/1/23 275,000 305,896 
5% 9/1/24 450,000 517,743 
5% 9/1/25 300,000 355,476 
Series B, 0% 9/1/21 (Nat'l. Pub. Fin. Guarantee Corp. Insured) 830,000 828,024 
Vauxmont Metropolitan District Series 2019:   
5% 12/15/22 (FSA Insured) 100,000 107,341 
5% 12/15/23 (FSA Insured) 120,000 133,290 
TOTAL COLORADO  40,705,879 
Connecticut - 1.8%   
Bridgeport Gen. Oblig. Series 2020, 1.5% 12/9/21 1,500,000 1,509,685 
City of New Haven Series A, 5% 8/1/22 1,000,000 1,053,690 
Connecticut Gen. Oblig.:   
Series 2011 B, 5% 5/15/21 890,000 898,765 
Series 2011 D, 5% 11/1/22 185,000 190,876 
Series 2012 C, 5% 6/1/21 960,000 971,526 
Series 2014 A:   
4% 3/1/21 800,000 800,000 
4% 3/1/22 450,000 467,073 
Series 2014 H, 5% 11/15/21 925,000 956,565 
Series 2015 A:   
4% 3/15/23 250,000 268,655 
5% 3/15/22 1,260,000 1,322,702 
Series 2015 B, 5% 6/15/21 670,000 679,310 
Series 2015 C:   
SIFMA Municipal Swap Index + 0.900% 0.93% 6/15/21 (c)(f) 2,500,000 2,503,921 
5% 6/15/22 400,000 424,648 
Series 2015, 4% 11/15/21 290,000 297,860 
Series 2016 A:   
5% 3/15/24 380,000 431,577 
5% 3/15/26 70,000 84,521 
Series 2016 B:   
5% 5/15/21 1,920,000 1,938,908 
5% 5/15/22 450,000 475,934 
5% 5/15/24 455,000 519,783 
Series 2016 D, 5% 8/15/21 505,000 516,105 
Series 2016 E, 5% 10/15/23 240,000 268,850 
Series 2016 G, 5% 11/1/21 1,200,000 1,238,684 
Series 2017 B, 3% 4/15/22 500,000 515,705 
Series 2018 B, 5% 4/15/22 810,000 853,546 
Series 2018 F:   
5% 9/15/21 665,000 682,314 
5% 9/15/22 225,000 241,556 
Series 2019 A:   
5% 4/15/22 670,000 706,019 
5% 4/15/23 1,000,000 1,098,600 
Series 2020 A, 5% 1/15/23 1,470,000 1,597,831 
Series A:   
3% 1/15/22 1,725,000 1,767,087 
4% 1/15/25 3,500,000 3,948,910 
5% 10/15/21 1,450,000 1,493,616 
5% 3/15/23 690,000 755,481 
Series B:   
4% 6/15/21 250,000 252,759 
4% 6/15/22 250,000 262,195 
Series C:   
4% 6/1/24 1,050,000 1,167,579 
5% 6/15/21 1,350,000 1,368,759 
5% 6/1/24 300,000 317,004 
Series E, 4% 9/15/21 400,000 408,271 
Series H, 5% 11/15/22 390,000 421,734 
Connecticut Health & Edl. Facilities Auth. Rev.:   
(Quinnipiac Univ., Ct Proj.) Series 2016 M, 5% 7/1/21 400,000 406,381 
Bonds:   
Series 2014 A, 1.1%, tender 2/7/23 (c) 5,000,000 5,076,950 
Series 2014 B, 1.8%, tender 7/1/24 (c) 345,000 357,824 
Series 2015 A, 2.05%, tender 7/12/21 (c) 5,000,000 5,035,191 
Series 2017 B, 0.55%, tender 7/3/23 (c) 10,320,000 10,311,331 
Series U1, 2%, tender 2/8/22 (c) 975,000 991,724 
Series U2, 2%, tender 2/8/22 (c) 200,000 203,431 
Series X2, 0.25%, tender 2/9/24 (c) 7,700,000 7,609,217 
Series 2019 A, 5% 7/1/26 260,000 310,482 
Series 2020 K:   
5% 7/1/22 250,000 265,038 
5% 7/1/23 250,000 275,780 
Series A, 5% 7/1/21 (Escrowed to Maturity) 800,000 812,870 
Series L1:   
3% 7/1/21 (d) 150,000 150,962 
4% 7/1/22 (d) 800,000 835,424 
4% 7/1/23 (d) 225,000 242,273 
4% 7/1/25 (d) 600,000 678,246 
Series N:   
5% 7/1/21 610,000 619,174 
5% 7/1/22 780,000 817,830 
5% 7/1/23 830,000 900,442 
5% 7/1/24 375,000 418,534 
Connecticut Higher Ed. Supplemental Ln. Auth. Rev.:   
(Chesla Ln. Prog.) Series 2017 A, 5% 11/15/22 (e) 300,000 322,689 
(Chesla Loan Prog.) Series B:   
5% 11/15/22 (e) 115,000 122,580 
5% 11/15/23 (e) 425,000 465,639 
Series 2017 B:   
5% 11/15/21 (e) 655,000 675,978 
5% 11/15/23 (e) 125,000 139,070 
Connecticut Hsg. Fin. Auth.:   
Bonds Series 2019 E, 1.625%, tender 11/15/22 (c) 3,000,000 3,002,640 
Series 2013 B2, 4% 11/15/32 30,000 30,601 
Series 2021, 0.45% 11/15/25 700,000 690,123 
Series A2:   
0.15% 11/15/21 (e) 550,000 549,923 
0.2% 5/15/22 (e) 700,000 699,783 
0.25% 11/15/22 (e) 1,175,000 1,173,954 
0.35% 5/15/23 (e) 825,000 823,433 
0.4% 11/15/23 (e) 300,000 298,935 
Series C:   
5% 5/15/23 (e) 205,000 224,295 
5% 11/15/23 (e) 710,000 789,719 
Connecticut Muni. Elec. Energy Coop. Pwr. Supply Sys. Rev. Series 2012 A, 5% 1/1/23 395,000 410,456 
Connecticut Spl. Tax Oblig. Trans. Infrastructure Rev.:   
Series 2012 A, 5% 1/1/23 480,000 520,872 
Series 2014 B, 5% 9/1/22 600,000 643,032 
Series 2015 A, 5% 8/1/23 460,000 511,249 
Series 2016 A, 5% 9/1/21 700,000 716,904 
Series A:   
4% 5/1/21 250,000 251,580 
4% 1/1/23 315,000 336,080 
5% 8/1/21 300,000 306,030 
5% 1/1/22 355,000 369,163 
5% 5/1/22 1,480,000 1,562,540 
5% 12/1/23 200,000 207,132 
Series B:   
5% 9/1/21 200,000 204,830 
5% 10/1/21 1,205,000 1,238,972 
Hartford Gen. Oblig. Series 2012 A, 5% 4/1/21 (FSA Insured) 2,000,000 2,007,577 
New Britain Gen. Oblig. Series 2017 A, 5% 3/1/21 (Escrowed to Maturity) 90,000 90,000 
New Haven Gen. Oblig.:   
Series 2016 A, 5% 8/15/25 (FSA Insured) 20,000 23,571 
Series B, 5% 2/1/22 350,000 362,212 
Univ. of Connecticut Gen. Oblig.:   
Series 2016 A, 5% 3/15/22 190,000 199,292 
Series 2019 A, 5% 11/1/25 225,000 268,612 
TOTAL CONNECTICUT  92,237,174 
Delaware - 0.1%   
Delaware Econ. Dev. Auth. Rev. Bonds (Delmarva Pwr. & Lt. Co. Proj.) Series A, 1.05%, tender 7/1/25 (c) 565,000 572,752 
Delaware Trans. Auth. Grant Series 2020:   
5% 9/1/22 1,250,000 1,338,875 
5% 9/1/23 1,400,000 1,560,258 
TOTAL DELAWARE  3,471,885 
District Of Columbia - 0.6%   
District of Columbia Gen. Oblig. Series 2013 A, 5% 6/1/21 200,000 202,411 
District of Columbia Hsg. Fin. Agcy. Multi-family Hsg. Rev. Bonds:   
(218 Vine St. Apts. Proj.) Series 2020, 0.3%, tender 7/1/23 (c) 5,000,000 5,003,400 
(Liberty Place Apts. Proj.) Series 2018, 0.5%, tender 12/1/21 (c) 5,000,000 5,006,336 
(Park Southern Apts. Proj.) Series 2020, 0.7%, tender 6/1/23 (c) 9,000,000 9,021,960 
Metropolitan Washington DC Arpts. Auth. Sys. Rev.:   
Series 2011 C:   
5% 10/1/21 (e) 365,000 374,856 
5% 10/1/22 (e) 430,000 441,558 
5% 10/1/23 (e) 140,000 143,896 
5% 10/1/24 (e) 115,000 118,167 
Series 2012 A:   
5% 10/1/22 (e) 140,000 150,228 
5% 10/1/23 (e) 500,000 537,250 
Series 2014 A:   
5% 10/1/21 (e) 400,000 410,801 
5% 10/1/23 (e) 110,000 122,590 
Series 2017 A:   
5% 10/1/24 (e) 115,000 132,759 
5% 10/1/26 (e) 145,000 176,878 
Series 2018 A, 5% 10/1/26 (e) 150,000 182,978 
Series 2019 A:   
5% 10/1/21 (e) 130,000 133,510 
5% 10/1/22 (e) 290,000 311,187 
5% 10/1/23 (e) 50,000 55,723 
5% 10/1/25 (e) 155,000 184,349 
Series 2020 A:   
5% 10/1/21 (e) 1,200,000 1,232,402 
5% 10/1/22 (e) 1,750,000 1,877,855 
5% 10/1/23 (e) 925,000 1,030,866 
5% 10/1/24 (e) 2,575,000 2,972,657 
5% 10/1/25 (e) 530,000 630,356 
Washington D.C. Metropolitan Transit Auth. Rev. Series 2017 A1, 5% 7/1/24 1,120,000 1,283,912 
TOTAL DISTRICT OF COLUMBIA  31,738,885 
Florida - 1.7%   
Brevard County School Board Ctfs. of Prtn.:   
Series 2014, 5% 7/1/21 60,000 60,951 
Series 2015 C:   
5% 7/1/21 15,000 15,238 
5% 7/1/22 80,000 85,078 
5% 7/1/23 65,000 71,671 
Broward County Arpt. Sys. Rev.:   
Series 2012 P-1, 5% 10/1/22 (e) 300,000 321,423 
Series 2012 P1:   
5% 10/1/25 (e) 1,000,000 1,070,540 
5% 10/1/26 (Pre-Refunded to 10/1/22 @ 100) (e) 350,000 376,208 
Series 2012 P2, 5% 10/1/22 240,000 257,851 
Series 2012 Q, 5% 10/1/21 (e) 320,000 328,450 
Series 2012 Q2, 5% 10/1/30 (Pre-Refunded to 10/1/22 @ 100) (e) 200,000 214,976 
Series 2013 A, 5.125% 10/1/38 (Pre-Refunded to 10/1/23 @ 100) (e) 310,000 347,566 
Series 2013 C, 5% 10/1/21 450,000 462,365 
Series 2015 C, 5% 10/1/24 (e) 245,000 281,613 
Series 2017, 5% 10/1/25 (e) 500,000 591,210 
Series 2019 A, 5% 10/1/21 (e) 2,185,000 2,242,699 
Series 2019 B:   
5% 10/1/21 (e) 1,665,000 1,708,967 
5% 10/1/23 (e) 700,000 778,967 
Series A:   
5% 10/1/22 (e) 75,000 80,356 
5% 10/1/23 (e) 90,000 100,153 
Broward County Fin. Auth. Multi-family Hsg. Rev. Bonds Series 2019 B, 1.2%, tender 8/1/21 (c) 4,000,000 4,017,204 
Broward County Port Facilities Rev.:   
Series 2011 B:   
4.625% 9/1/27 (Pre-Refunded to 9/1/21 @ 100) (e) 475,000 485,127 
5% 9/1/21 (e) 415,000 423,548 
5% 9/1/21 (Escrowed to Maturity) (e) 240,000 245,564 
Series 2019 D, 5% 9/1/22 (e) 850,000 901,578 
Broward County School Board Ctfs. of Prtn.:   
(Broward County School District Proj.) Series 2017 C, 5% 7/1/22 70,000 74,443 
Series 2015 A:   
5% 7/1/21 100,000 101,585 
5% 7/1/22 345,000 366,897 
5% 7/1/23 60,000 66,335 
5% 7/1/24 30,000 34,391 
Series 2015 B:   
5% 7/1/22 100,000 106,347 
5% 7/1/23 85,000 93,975 
5% 7/1/24 25,000 28,659 
Central Florida Expressway Auth. Sr. Lien Rev.:   
Series 2019 A, 5% 7/1/21 625,000 634,421 
Series 2019 B, 5% 7/1/21 1,000,000 1,015,073 
Citizens Property Ins. Corp. Series 2012 A1:   
5% 6/1/21 2,915,000 2,949,556 
5% 6/1/22 1,145,000 1,213,128 
Escambia County Poll. Cont. Rev. (Gulf Pwr. Co. Proj.) Series 2003, 2.6% 6/1/23 2,500,000 2,616,500 
Florida Board of Ed. Lottery Rev. Series 2014 A, 5% 7/1/24 200,000 221,908 
Florida Board of Ed. Pub. Ed. Cap. Outlay Series B, 5% 6/1/26 (d) 1,775,000 2,168,802 
Florida Dev. Fin. Corp. Edl. Facilities (Nova Southeastern Univ. Proj.) Series 2020 A:   
5% 4/1/23 350,000 380,475 
5% 4/1/24 360,000 403,736 
5% 4/1/25 200,000 230,926 
Florida Governmental Util. Auth. Rev. Series 2019, 4% 10/1/21 400,000 408,554 
Florida Higher Edl. Facilities Fing. Auth. Series 2019, 5% 10/1/21 450,000 460,443 
Florida Hsg. Fin. Corp. Multi-family Mtg. Rev. Series 2019 A, 2% 8/1/21 2,500,000 2,519,650 
Florida Hsg. Fin. Corp. Rev. Series 2017:   
2% 7/1/21 210,000 211,087 
2.05% 1/1/22 165,000 167,172 
Florida Mid-Bay Bridge Auth. Rev. Series 2015 A:   
5% 10/1/21 20,000 20,485 
5% 10/1/22 45,000 47,948 
5% 10/1/23 55,000 60,935 
5% 10/1/24 45,000 51,485 
5% 10/1/25 40,000 47,100 
5% 10/1/26 45,000 52,827 
Florida Muni. Pwr. Agcy. Rev.:   
Series 2015 B, 5% 10/1/21 365,000 374,942 
Series 2016 A:   
5% 10/1/21 325,000 333,853 
5% 10/1/22 325,000 348,959 
Greater Orlando Aviation Auth. Arpt. Facilities Rev.:   
Series 2011 B, 4% 10/1/22 (e) 500,000 510,635 
Series 2011 C, 5% 10/1/21 220,000 226,163 
Series 2015 A:   
4% 10/1/22 (e) 430,000 454,858 
5% 10/1/23 (e) 200,000 223,218 
Series 2016, 5% 10/1/24 (e) 285,000 328,577 
Series 2017 A:   
5% 10/1/25 (e) 65,000 77,179 
5% 10/1/26 (e) 45,000 54,784 
Series 2019 A:   
5% 10/1/22 (e) 2,415,000 2,592,647 
5% 10/1/23 (e) 700,000 781,263 
Halifax Hosp. Med. Ctr. Rev. Series 2015, 5% 6/1/23 30,000 32,729 
Hillsborough County Aviation Auth. Rev. Series A:   
5% 10/1/21 (e) 990,000 1,016,731 
5% 10/1/25 (e) 705,000 786,265 
Hillsborough County School District Sales Tax Rev. Series 2015 B, 5% 10/1/22 (FSA Insured) 45,000 48,303 
Indian River County School Board Ctfs. of Prtn. Series 2014:   
5% 7/1/22 85,000 90,254 
5% 7/1/23 175,000 191,804 
Jacksonville Elec. Auth. Elec. Sys. Rev.:   
Series 2013 A, 5% 10/1/21 500,000 513,888 
Series 2013 B, 5% 10/1/21 820,000 842,776 
Series 2013 C, 5% 10/1/22 (Escrowed to Maturity) 535,000 575,505 
Series 2014 A, 5% 10/1/21 1,380,000 1,418,330 
Lee County School Board Ctfs. 2019 A, 5% 8/1/21 350,000 356,946 
Lee Memorial Health Sys. Hosp. Rev. Series 2019 A1, 5% 4/1/21 400,000 401,499 
Manatee County Rev. Series 2013, 5% 10/1/22 20,000 21,527 
Manatee County School District Series 2017:   
5% 10/1/21 (FSA Insured) 255,000 262,189 
5% 10/1/24 (FSA Insured) 30,000 34,163 
Miami Dade County Hsg. Multifamily Hsg. Rev. Bonds Series 2020, 1.4%, tender 4/1/22 (c) 4,000,000 4,023,920 
Miami-Dade County Aviation Rev.:   
Series 2012 A:   
5% 10/1/21 (e) 335,000 343,846 
5% 10/1/22 (e) 250,000 267,853 
5% 10/1/24 (e) 200,000 214,536 
Series 2014, 5% 10/1/22 (e) 485,000 519,634 
Series 2015 A, 5% 10/1/21 (e) 255,000 261,582 
Series 2016 A, 5% 10/1/23 335,000 374,349 
Series 2020 A:   
5% 10/1/23 2,250,000 2,514,285 
5% 10/1/25 1,255,000 1,497,642 
Miami-Dade County Expressway Auth.:   
(Waste Mgmt., Inc. of Florida Proj.) Series 2013 A:   
5% 7/1/21 345,000 350,305 
5% 7/1/22 45,000 47,769 
5% 7/1/23 45,000 47,797 
Series 2014 A, 5% 7/1/21 750,000 761,533 
Series 2014 B:   
5% 7/1/22 35,000 37,154 
5% 7/1/23 70,000 77,202 
Miami-Dade County Health Facilities Auth. Hosp. Rev. Series 2010, 5.25% 8/1/21 45,000 45,164 
Miami-Dade County Indl. Dev. Auth. Solid Waste Disp. Rev. Bonds:   
(Waste Mgmt. of Florida Proj.) Series 2018, 2.85%, tender 8/2/21 (c)(e) 3,960,000 4,003,179 
Series 2011, 0.55%, tender 11/1/41 (c)(e) 2,900,000 2,905,766 
Miami-Dade County School Board Ctfs. of Prtn.:   
Series 2006 C, 5% 10/1/21 200,000 205,567 
Series 2014 D:   
5% 11/1/21 435,000 448,845 
5% 11/1/22 120,000 129,500 
5% 11/1/23 200,000 223,798 
Series 2015 A:   
5% 5/1/21 415,000 418,261 
5% 5/1/22 985,000 1,039,697 
5% 5/1/23 1,075,000 1,180,393 
Series 2015 D, 5% 2/1/22 410,000 427,920 
Orange County Health Facilities Auth. Series B:   
5% 10/1/21 1,330,000 1,365,912 
5% 10/1/22 1,295,000 1,389,613 
Orlando & Orange County Expressway Auth. Rev. Series 2012, 5% 7/1/22 530,000 563,639 
Orlando Utils. Commission Util. Sys. Rev. Series 2011 C, 4% 10/1/21 250,000 255,493 
Palm Beach County Health Facilities Auth. Hosp. Rev.:   
Series 2014:   
5% 12/1/21 (Escrowed to Maturity) 35,000 36,246 
5% 12/1/23 (Escrowed to Maturity) 5,000 5,634 
5% 12/1/24 (Escrowed to Maturity) 10,000 11,673 
Series 2019, 5% 8/15/21 425,000 433,854 
Palm Beach County School Board Ctfs. of Prtn.:   
(Palm Beach County School District Proj.):   
Series 2018 A, 5% 8/1/21 2,000,000 2,039,948 
Series 2018 B, 5% 8/1/21 1,100,000 1,121,971 
Series 2014 B:   
4% 8/1/21 90,000 91,425 
5% 8/1/21 115,000 117,297 
5% 8/1/22 40,000 42,715 
Series 2015 B, 5% 8/1/21 205,000 209,095 
Pasco County School Board Ctfs. of Prtn. Bonds Series 2020 B, SIFMA Municipal Swap Index + 0.750% 0.78%, tender 8/2/23 (c)(f) 5,000,000 5,010,550 
Pasco County School District Sales Tax Rev. Series 2013:   
5% 10/1/21 120,000 122,955 
5% 10/1/22 20,000 21,346 
Pinellas County Hsg. Fin. Auth. Bonds (Lutheran Apts. Proj.) Series 2019 B, 1.25%, tender 8/1/21 (c) 1,625,000 1,631,852 
Seminole County School Board Ctfs. of Prtn. Series 2016 C:   
5% 7/1/25 20,000 23,664 
5% 7/1/26 25,000 30,475 
Tallahassee Health Facilities Rev. (Tallahassee Memorial Healthcare, Inc. Proj.) Series 2016 A, 5% 12/1/21 65,000 66,910 
Tampa Bay Wtr. Reg'l. Wtr. Supply Auth. Util. Sys. Rev. Series 2005, 5.5% 10/1/22 (FGIC Insured) 30,000 32,503 
Tampa Hosp. Rev. (H. Lee Moffitt Cancer Ctr. Proj.) Series 2020 B:   
5% 7/1/23 90,000 99,149 
5% 7/1/24 75,000 85,548 
5% 7/1/25 100,000 117,662 
5% 7/1/26 175,000 211,796 
5% 7/1/27 150,000 185,439 
Volusia County Edl. Facilities Auth. Rev. (Embry-Riddle Aeronautical Univ., Inc. Proj.) Series 2020 A:   
4% 10/15/21 390,000 398,332 
4% 10/15/22 300,000 316,611 
5% 10/15/23 590,000 655,844 
5% 10/15/24 1,000,000 1,146,970 
5% 10/15/25 1,000,000 1,178,770 
5% 10/15/26 750,000 906,188 
5% 10/15/27 165,000 203,326 
TOTAL FLORIDA  87,622,035 
Georgia - 1.7%   
Atlanta Arpt. Rev.:   
Series 2012 B, 5% 1/1/23 275,000 285,830 
Series 2014 B, 5% 1/1/22 30,000 31,202 
Series 2019 B, 5% 7/1/22 (e) 845,000 896,993 
Series 2019 E, 5% 7/1/21 430,000 436,874 
Atlanta Urban Residential Fin. Auth. Bonds:   
(Creekside at Adamsville Place Proj.) Series 2019, 1.95%, tender 5/1/21 (c) 7,000,000 7,020,055 
(Herndon Square Sr. Apts. Proj.) Series 2019, 1.36%, tender 12/1/21 (c) 3,195,000 3,224,339 
Atlanta Urban Residential Fin. Auth. Multi-family Hsg. Rev. Bonds (Parkside Proj.) Series 2019 B, 1.38%, tender 1/1/22 (c) 4,685,000 4,725,762 
Bartow County Dev. Auth. Poll. Cont. Rev. Bonds (Georgia Pwr. Co. Plant Bowen Proj.):   
Series 2009 1st, 2.75%, tender 3/15/23 (c) 1,500,000 1,566,675 
Series 2013, 1.55%, tender 8/19/22 (c) 2,370,000 2,410,788 
Brookhaven Dev. Auth. Rev. Series 2019 A, 5% 7/1/22 1,000,000 1,064,020 
Burke County Indl. Dev. Auth. Poll. Cont. Rev. Bonds:   
(Georgia Pwr. Co. Plant Vogtle Proj.):   
Series 1994, 2.25%, tender 5/25/23 (c) 1,700,000 1,763,206 
Series 1995 5, 2.05%, tender 11/19/21 (c) 375,000 379,595 
Series 2008, 1.65%, tender 6/18/21 (c) 940,000 943,647 
Series 2012 1st, 1.55%, tender 8/22/22 (c) 2,000,000 2,034,420 
Series 2013 1st, 2.925%, tender 3/12/24 (c) 990,000 1,055,588 
(Oglethorpe Pwr. Corp. Vogtle Proj.) Series 2017 E, 3.25%, tender 2/3/25 (c) 100,000 109,129 
Cobb County Kennestone Hosp. Auth. Rev.:   
(Wellstar Health Sys., Inc. Proj.) Series 2017 A, 5% 4/1/21 100,000 100,375 
(WellStar Health Sys., Inc. Proj.):   
Series 2020 A:   
5% 4/1/22 150,000 157,515 
5% 4/1/23 150,000 164,141 
Series 2020 B, 5% 4/1/22 1,120,000 1,176,112 
Fayette County Hosp. Auth. Rev. Bonds (Piedmont Healthcare, Inc. Proj.) Series 2019 A, 5%, tender 7/1/24 (c) 750,000 842,783 
Fulton County Dev. Auth. Hosp. R (Wellstar Health Sys., Inc. Proj.) Series 2017 A, 5% 4/1/21 85,000 85,319 
Fulton County Dev. Auth. Rev. Series 2019 C:   
5% 7/1/21 1,000,000 1,015,986 
5% 7/1/22 1,000,000 1,064,020 
5% 7/1/23 1,300,000 1,441,115 
Georgia Muni. Elec. Auth. Pwr. Rev.:   
Series 2012 A, 5% 11/1/21 435,000 448,637 
Series 2016 A:   
5% 1/1/22 595,000 617,974 
5% 1/1/23 280,000 303,092 
Series 2019 A, 5% 1/1/22 1,495,000 1,552,725 
Series 2020 A:   
3% 11/1/21 1,300,000 1,323,522 
3% 11/1/22 1,045,000 1,090,719 
4% 11/1/23 2,780,000 3,042,738 
4% 11/1/24 200,000 224,514 
4% 11/1/25 800,000 916,896 
5% 1/1/22 1,905,000 1,978,555 
5% 1/1/23 5,625,000 6,088,894 
5% 1/1/24 2,105,000 2,365,410 
5% 1/1/24 1,250,000 1,404,638 
5% 11/1/26 870,000 1,063,505 
Series C, 5% 1/1/22 1,200,000 1,246,334 
Georgia Muni. Gas Auth. Rev. (Gas Portfolio III Proj.):   
Series 2014 U:   
5% 10/1/22 20,000 21,491 
5% 10/1/23 55,000 61,536 
Series R, 5% 10/1/21 110,000 113,029 
Georgia Road & Thruway Auth. Rev. Series 2020, 5% 6/1/24 2,000,000 2,293,160 
Griffin-Spalding County Hosp. (Wellstar Health Sys., Inc. Proj.) Series 2017 A, 3% 4/1/21 35,000 35,075 
Lagrange-Troup County Hosp. Rev. (Wellstar Health Sys., Inc. Proj.) Series 2017 A, 5% 4/1/21 85,000 85,319 
Main Street Natural Gas, Inc.:   
Bonds:   
Series 2018 A, 4%, tender 9/1/23 (c) 1,000,000 1,080,500 
Series 2018 C, 4%, tender 12/1/23 (c) 500,000 543,870 
Series 2018 E, SIFMA Municipal Swap Index + 0.570% 0.6%, tender 12/1/23 (c)(f) 12,500,000 12,527,250 
Seroes 2018 B, 1 month U.S. LIBOR + 0.750% 0.827%, tender 9/1/23 (c)(f) 12,200,000 12,265,636 
Series 2018 A, 4% 3/1/23 200,000 214,542 
Series 2019 A, 5% 5/15/22 1,000,000 1,055,430 
Series 2019 C, 5% 9/1/21 285,000 291,375 
Monroe County Dev. Auth. Poll. Cont. Rev.:   
(Georgia Pwr. Co. Plant Scherer Proj.) Series 1995, 2.25% 7/1/25 435,000 447,541 
Bonds:   
(Georgia Pwr. Co. Plant Scherer Proj.) Series 2009 1, 2.05%, tender 11/19/21 (c) 705,000 713,638 
(Oglethorpe Pwr. Corp. Scherer Proj.) Series 2013 A, 1.5%, tender 2/3/25 (c) 1,500,000 1,536,015 
Private Colleges & Univs. Auth. Rev. (The Savannah College of Arts and Design Projs.) Series 2014, 5% 4/1/21 75,000 75,275 
TOTAL GEORGIA  91,024,324 
Hawaii - 0.2%   
Hawaii Dept. of Budget & Fin. Spl. Purp. Rev. (Queens Health Sys. Proj.) Series 2015 B, SIFMA Municipal Swap Index + 0.140% 0.48%, tender 7/1/39 (c)(f) 545,000 545,000 
Hawaii Gen. Oblig.:   
Series 2020 A:   
5% 7/1/24 (e) 250,000 284,275 
5% 7/1/25 (e) 350,000 409,374 
Series FE, 5% 10/1/21 400,000 411,349 
Series GA, 5% 10/1/21 5,000,000 5,141,857 
State of Hawaii Dept. of Trans. Series 2013:   
5% 8/1/21 (e) 10,000 10,171 
5% 8/1/21 (FSA Insured) (e) 300,000 305,333 
5% 8/1/22 (e) 45,000 47,579 
5% 8/1/23 (e) 30,000 33,037 
5.25% 8/1/24 (e) 890,000 985,622 
TOTAL HAWAII  8,173,597 
Idaho - 0.0%   
Idaho Health Facilities Auth. Rev. Series 2015 ID, 5% 12/1/21 250,000 258,974 
Idaho Hsg. & Fin. Assoc. Single Family Mtg.:   
(Idaho St Garvee Proj.) Series 2017 A, 5% 7/15/21 230,000 233,797 
Series 2019 A, 4% 1/1/50 50,000 55,475 
TOTAL IDAHO  548,246 
Illinois - 2.9%   
Chicago Board of Ed.:   
Series 1999, 0% 12/1/22 (Berkshire Hathaway Assurance Corp. Insured) (FGIC Insured) 560,000 555,184 
Series 2019 A, 5% 12/1/23 1,000,000 1,103,250 
Series 2021 B, 5% 12/1/21 400,000 412,608 
Chicago Gen. Oblig. Series 2020 A, 5% 1/1/25 1,500,000 1,691,715 
Chicago Midway Arpt. Rev.:   
Series 2013 B:   
5% 1/1/22 610,000 633,971 
5% 1/1/23 205,000 222,417 
Series 2014 A:   
5% 1/1/22 (e) 2,865,000 2,976,113 
5% 1/1/24 (e) 1,000,000 1,116,220 
Series 2014 B, 5% 1/1/23 225,000 244,116 
Series 2016 A, 5% 1/1/24 (e) 1,000,000 1,117,710 
Chicago Motor Fuel Tax Rev. Series 2013:   
5% 1/1/22 5,000 5,087 
5% 1/1/23 10,000 10,351 
Chicago O'Hare Int'l. Arpt. Rev.:   
Series 2012 A:   
5% 1/1/23 (Pre-Refunded to 1/1/22 @ 100) (e) 1,000,000 1,038,700 
5% 1/1/25 (Pre-Refunded to 1/1/22 @ 100) (e) 500,000 519,350 
Series 2012 B:   
5% 1/1/22 (e) 1,875,000 1,947,718 
5% 1/1/22 (Escrowed to Maturity) (e) 1,000,000 1,038,697 
Series 2013 A:   
5% 1/1/22 (Escrowed to Maturity) (e) 1,400,000 1,454,176 
5% 1/1/23 (e) 1,440,000 1,560,686 
Series 2013 B:   
5% 1/1/22 (Escrowed to Maturity) 135,000 140,398 
5% 1/1/23 395,000 428,559 
Series 2013 C, 5% 1/1/22 (Escrowed to Maturity) (e) 700,000 727,088 
Series 2013 D, 5% 1/1/22 (Escrowed to Maturity) 70,000 72,799 
Series 2015 B, 5% 1/1/23 350,000 379,736 
Series 2016 A:   
5% 1/1/23 (e) 250,000 270,953 
5% 1/1/24 (e) 305,000 342,091 
Series 2016 D, 5% 1/1/22 300,000 311,789 
Series 2017 C, 5% 1/1/22 110,000 114,323 
Series 2017 D:   
5% 1/1/24 (e) 1,000,000 1,121,610 
5% 1/1/27 (e) 85,000 103,422 
Chicago Transit Auth. Cap. Grant Receipts Rev. Series 2017:   
5% 6/1/21 635,000 642,158 
5% 6/1/25 25,000 29,250 
Chicago Wastewtr. Transmission Rev. Series 2012, 5% 1/1/23 25,000 25,914 
Cook County Cmnty. Consolidated School District No. 59 Series 2020, 4% 3/1/22 480,000 497,916 
Cook County Gen. Oblig.:   
Series 2011 A, 5.25% 11/15/22 20,000 20,703 
Series 2012 C:   
5% 11/15/21 120,000 124,034 
5% 11/15/22 590,000 637,690 
5% 11/15/23 250,000 269,528 
Series 2014 A:   
5% 11/15/21 35,000 36,177 
5% 11/15/22 275,000 297,228 
Series 2016 A, 5% 11/15/21 2,250,000 2,325,639 
Series 2021 A:   
3% 11/15/21 1,000,000 1,019,581 
5% 11/15/22 10,200,000 11,024,466 
5% 11/15/23 4,550,000 5,109,104 
5% 11/15/24 50,000 57,990 
5% 11/15/25 50,000 59,658 
Illinois Dev. Fin. Auth. Retirement Hsg. Regency Park Rev. Series 1991 A, 0% 7/15/23 (Escrowed to Maturity) 200,000 197,882 
Illinois Dev. Fin. Auth. Solid Waste Disp. Rev. Bonds (Waste Mgmt., Inc. Proj.) Series 2019, 0.55%, tender 11/1/21 (c)(e) 6,000,000 6,011,930 
Illinois Fin. Auth.:   
Bonds Series 2020 B, 5%, tender 11/15/24 (c) 1,450,000 1,647,505 
Series 2013 A:   
5% 6/1/23 540,000 593,185 
5% 6/1/23 (Escrowed to Maturity) 55,000 60,733 
Series 2020 A:   
5% 8/15/21 1,000,000 1,021,526 
5% 8/15/22 750,000 801,518 
Illinois Fin. Auth. Rev.:   
(Bradley Univ. Proj.) Series 2017 C, 5% 8/1/26 35,000 40,819 
(Edward-Elmhurst Healthcare) Series 2017 A, 5% 1/1/25 100,000 115,429 
Bonds:   
(Ascension Health Cr. Group Proj.) Series 2012 E2, 1.75%, tender 4/1/21 (c) 3,030,000 3,033,828 
Series 2016 B, 1 month U.S. LIBOR + 1.350% 1.436%, tender 3/1/21 (c)(f) 1,090,000 1,090,135 
Series 2017 B, 5%, tender 12/15/22 (c) 265,000 286,338 
Series E, 2.25%, tender 4/29/22 (c) 770,000 788,341 
Series 2011 IL, 5% 12/1/22 (Pre-Refunded to 12/1/21 @ 100) 25,000 25,899 
Series 2012 A:   
5% 10/1/21 200,000 205,543 
5% 5/15/22 250,000 263,598 
5% 5/15/23 (Pre-Refunded to 5/15/22 @ 100) 30,000 31,733 
Series 2012:   
5% 9/1/21 45,000 46,064 
5% 9/1/22 75,000 80,309 
Series 2014 A, 5.25% 7/1/44 (Pre-Refunded to 7/1/23 @ 100) 3,000,000 3,341,640 
Series 2014, 5% 8/1/22 1,000,000 1,064,640 
Series 2015 A:   
5% 11/15/22 10,000 10,785 
5% 11/15/22 1,000,000 1,076,730 
5% 11/15/24 35,000 40,121 
5% 11/15/25 45,000 53,031 
5% 11/15/26 45,000 52,861 
Series 2015 B, 5% 11/15/24 45,000 51,922 
Series 2016 A:   
5% 8/15/21 (Escrowed to Maturity) 15,000 15,327 
5% 2/15/23 20,000 21,796 
5% 8/15/23 (Escrowed to Maturity) 35,000 38,971 
5% 8/15/24 (Escrowed to Maturity) 50,000 57,749 
5% 7/1/25 250,000 294,273 
Series 2016 C:   
5% 2/15/22 225,000 235,275 
5% 2/15/23 700,000 764,295 
5% 2/15/24 115,000 130,219 
Series 2016:   
5% 5/15/21 740,000 746,827 
5% 12/1/21 5,000,000 5,169,866 
5% 7/1/22 65,000 69,170 
5% 11/15/23 235,000 262,998 
5% 5/15/25 10,000 11,622 
5% 12/1/25 325,000 384,456 
5% 5/15/26 20,000 23,855 
5% 5/15/27 25,000 29,659 
Series 2017 A, 5% 7/15/21 600,000 610,539 
Series 2017:   
5% 1/1/23 35,000 38,041 
5% 1/1/25 50,000 58,456 
Series 2019:   
5% 9/1/22 225,000 239,105 
5% 4/1/26 1,000,000 1,201,200 
Illinois Gen. Oblig.:   
Series 2006, 5% 6/1/21 405,000 409,146 
Series 2010, 5% 1/1/23 (FSA Insured) 250,000 253,840 
Series 2012 A, 4% 1/1/23 30,000 30,703 
Series 2012:   
5% 8/1/21 55,000 55,938 
5% 3/1/22 200,000 207,997 
5% 8/1/22 1,760,000 1,856,958 
5% 8/1/22 (FSA Insured) 2,800,000 2,966,964 
Series 2013:   
5% 7/1/21 3,270,000 3,314,655 
5% 7/1/22 375,000 394,534 
5.5% 7/1/24 835,000 910,576 
Series 2014:   
5% 2/1/22 65,000 67,395 
5% 4/1/23 50,000 53,887 
5% 2/1/25 50,000 54,704 
Series 2016:   
5% 11/1/21 1,505,000 1,545,835 
5% 1/1/22 1,650,000 1,705,552 
5% 2/1/24 450,000 496,220 
5% 1/1/26 300,000 343,215 
5% 2/1/26 1,235,000 1,415,409 
Series 2017 A:   
5% 12/1/22 5,000,000 5,333,000 
5% 12/1/23 750,000 823,883 
Series 2017 D:   
5% 11/1/21 2,180,000 2,238,264 
5% 11/1/23 420,000 458,913 
Series 2018 A:   
5% 5/1/21 1,650,000 1,661,693 
5% 10/1/21 1,500,000 1,535,697 
5% 10/1/26 1,340,000 1,555,740 
5.25% 5/1/22 1,660,000 1,741,124 
Series 2020 May, 5.125% 5/1/22 275,000 288,043 
Series 2020, 4.875% 5/1/21 1,350,000 1,359,246 
Illinois Health Facilities Auth. Rev. Series 2003, 1.6% 11/15/22 315,000 318,796 
Illinois Hsg. Dev. Auth. Multi-family Hsg. Rev. Bonds Series 2020, 0.325%, tender 8/1/22 (c) 12,250,000 12,261,025 
Illinois Muni. Elec. Agcy. Pwr. Supply Series 2015 A:   
5% 2/1/22 1,170,000 1,218,822 
5% 2/1/23 25,000 27,150 
Illinois Reg'l. Trans. Auth.:   
Series 1999, 5.75% 6/1/21 (FSA Insured) 300,000 304,104 
Series 2002 A, 6% 7/1/21 460,000 468,795 
Series 2017 A, 5% 7/1/21 210,000 213,322 
Illinois Sales Tax Rev.:   
Series 2013, 5% 6/15/24 400,000 436,924 
Series 2016 D, 5% 6/15/23 1,500,000 1,627,455 
Illinois State Univ. Revs. Series 2018 A, 5% 4/1/23 (FSA Insured) 290,000 314,934 
Illinois Toll Hwy. Auth. Toll Hwy. Rev. Series 2014 A:   
5% 12/1/21 1,165,000 1,206,639 
5% 12/1/22 1,090,000 1,180,405 
Kane County School District #129, Aurora West Side Series 2014 A, 2.75% 2/1/22 1,000,000 1,018,639 
Kane County School District No. 131:   
Series 2020 A:   
3% 12/1/21 (FSA Insured) 355,000 361,502 
4% 12/1/22 (FSA Insured) 235,000 248,484 
5% 12/1/23 (FSA Insured) 290,000 323,051 
Series 2020 B:   
3% 12/1/21 (FSA Insured) 510,000 519,341 
4% 12/1/22 (FSA Insured) 435,000 459,960 
Kane, Cook, DuPage, McHenry & DeKalb Counties Cmnty. College District #509 Elgin Series 2021 B:   
4% 12/15/23 155,000 170,618 
4% 12/15/24 450,000 508,671 
Kendall, Kane & Will Counties Cmnty. Unit School District #308:   
Series 2008, 0% 2/1/22 (FSA Insured) 265,000 263,529 
Series 2011, 5.5% 2/1/23 550,000 598,444 
Lake County Cmnty. Consolidated School District Series 2020, 4% 2/1/22 (FSA Insured) 310,000 319,533 
McHenry County Cmnty. School District #200 Series 2006 B:   
0% 1/15/24 (Pre-Refunded to 1/15/24 @ 100) 105,000 102,035 
0% 1/15/25 110,000 104,908 
0% 1/15/26 80,000 74,810 
McHenry County Conservation District Gen. Oblig. Series 2014, 5% 2/1/23 65,000 70,669 
Metropolitan Pier & Exposition:   
(McCormick Place Expansion Proj.) Series 1996 A, 0% 6/15/23 (Nat'l. Pub. Fin. Guarantee Corp. Insured) 105,000 102,386 
Series 1994, 0% 6/15/21 (Escrowed to Maturity) 470,000 469,490 
Series 2012 B, 5% 12/15/22 1,655,000 1,774,921 
Northern Illinois Univ. Revs. Series 2020 B, 5% 4/1/22 (Build America Mutual Assurance Insured) 250,000 261,413 
Railsplitter Tobacco Settlement Auth. Rev.:   
Series 2010:   
5.25% 6/1/21 500,000 506,008 
5.375% 6/1/21 310,000 313,821 
Series 2017:   
5% 6/1/22 2,320,000 2,449,943 
5% 6/1/23 2,470,000 2,711,517 
Skokie Pk District Series 2003, 0% 12/1/22 1,830,000 1,803,849 
Univ. of Illinois Board of Trustees Ctfs. of Prtn. Series 2014 C, 5% 3/15/23 265,000 288,392 
Univ. of Illinois Rev.:   
Series 2005 A, 5.5% 4/1/21 (Nat'l. Pub. Fin. Guarantee Corp. Insured) 700,000 702,789 
Series 2011 A, 5% 4/1/21 250,000 250,896 
Series 2011, 5% 4/1/22 350,000 351,250 
Series 2018 A, 5% 4/1/22 1,000,000 1,047,870 
Series 2019 A, 5% 4/1/22 485,000 508,217 
Waukegan Gen. Oblig.:   
Series 2018 A:   
4% 12/30/21 (FSA Insured) 410,000 421,525 
4% 12/30/22 (FSA Insured) 425,000 450,504 
Series 2018 B, 4% 12/30/22 (FSA Insured) 400,000 424,532 
Western Illinois Univ. Board Rev. Series 2020, 4% 4/1/22 1,200,000 1,241,892 
Whiteside & Lee Counties Cmnty. Unit School District Series 2018 A, 4% 12/1/21 1,325,000 1,360,648 
TOTAL ILLINOIS  151,519,176 
Indiana - 0.8%   
Hammond Loc Pub. Impt. Bd Bank Series 2021 A, 2% 12/31/21 1,170,000 1,181,339 
Indiana Dev. Fin. Auth. Solid Waste Disp. Rev. Bonds (Waste Mgmt., Inc. Proj.) Series 2001, 2.95%, tender 10/1/21 (c)(e) 500,000 507,826 
Indiana Fin. Auth. Health Sys. Rev. Bonds Series 2019 B, 2.25%, tender 7/1/25 (c) 710,000 748,006 
Indiana Fin. Auth. Hosp. Rev.:   
(Cmnty. Health Network Proj.) Series 2012 A, 5% 5/1/42 (Pre-Refunded to 5/1/23 @ 100) 2,000,000 2,205,340 
Bonds:   
Series 2011 H, 1.65%, tender 7/1/22 (c) 3,300,000 3,339,963 
Series 2011 L:   
SIFMA Municipal Swap Index + 0.280% 0.31%, tender 3/4/21 (c)(f) 3,300,000 3,299,907 
SIFMA Municipal Swap Index + 0.280% 0.31%, tender 3/4/21 (c)(f) 3,500,000 3,499,905 
Series 2015 B, 1.65%, tender 7/2/22 (c) 1,290,000 1,305,622 
Series 2013:   
5% 8/15/22 15,000 16,030 
5% 8/15/23 20,000 22,246 
Indiana Fin. Auth. Rev.:   
(Butler Univ. Proj.) Series 2019:   
3% 2/1/22 210,000 214,683 
3% 2/1/23 225,000 235,127 
4% 2/1/24 200,000 217,214 
4% 2/1/25 275,000 304,750 
(DePauw Univ. Proj.) Series 2019:   
5% 7/1/21 565,000 573,306 
5% 7/1/22 600,000 635,262 
Series 2012, 5% 3/1/21 (Escrowed to Maturity) 25,000 25,000 
Series 2016, 5% 9/1/26 205,000 249,784 
Indiana Fin. Auth. Wastewtr. Util. Rev. (CWA Auth. Proj.):   
Series 2011 A, 5.25% 10/1/22 215,000 221,321 
Series 2012 A, 5% 10/1/22 35,000 37,661 
Series 2014 A:   
5% 10/1/21 10,000 10,281 
5% 10/1/22 15,000 16,141 
Series 2015 A:   
5% 10/1/24 35,000 40,500 
5% 10/1/25 35,000 40,496 
Indiana Health Facility Fing. Auth. Rev. Bonds Series 2001 A2, 2%, tender 2/1/23 (c) 155,000 159,749 
Indiana Univ. Student Fee Revs. Series Z1, 3% 8/1/21 1,895,000 1,917,495 
Indianapolis Local Pub. Impt.:   
(Indianapolis Arpt. Auth. Proj.):   
Series 2016 A1:   
5% 1/1/23 (e) 45,000 48,616 
5% 1/1/24 (e) 60,000 67,279 
5% 1/1/25 (e) 65,000 75,189 
Series 2019 D, 5% 1/1/24 (e) 150,000 168,197 
Series 2019, 1.45% 6/1/21 3,000,000 3,001,156 
Series 2021 A:   
5% 6/1/22 1,265,000 1,336,979 
5% 6/1/23 255,000 280,334 
Indianapolis Multifamily Hsg. Rev. Bonds Series A, 1.4%, tender 9/1/21 (c) 4,000,000 4,023,243 
Lake Central Multi-District School Bldg. Corp. Series 2012 B, 5% 7/15/21 20,000 20,344 
Purdue Univ. Rev.:   
Series 2012 AA, 5% 7/1/27 255,000 270,496 
Series CC, 5% 7/1/21 300,000 304,816 
Warrick County Envir. Impt. Rev. Bonds (Southern Indiana Gas and Elec. Co.) Series 2015, 0.875%, tender 9/1/23 (c)(e) 2,800,000 2,795,548 
Whiting Envir. Facilities Rev. Bonds (BP Products North America, Inc. Proj.):   
Series 2015, 5%, tender 11/1/22 (c)(e) 1,780,000 1,912,539 
Series 2016 A, 5%, tender 3/1/23 (c)(e) 3,400,000 3,697,976 
Series 2019 A, 5%, tender 6/5/26 (c)(e) 1,645,000 2,003,840 
TOTAL INDIANA  41,031,506 
Iowa - 0.1%   
Iowa Fin. Auth. Rev. Series 2018 B, 5% 2/15/22 540,000 564,128 
Iowa Higher Ed. Ln. Auth. Rev. (Grinnell College Proj.) Series 2017, 4% 12/1/24 250,000 281,918 
Iowa Student Ln. Liquidity Corp. Student Ln. Rev.:   
Series 2015 A, 5% 12/1/21 (e) 1,000,000 1,034,895 
Series 2018 A:   
5% 12/1/21 (e) 500,000 517,063 
5% 12/1/22 (e) 725,000 780,687 
Series 2019 B, 5% 12/1/23 (e) 600,000 670,470 
TOTAL IOWA  3,849,161 
Kansas - 0.1%   
Desoto Unified School District # 232 Series 2015 A, 5% 9/1/22 35,000 37,521 
Kansas Dept. of Trans. Hwy. Rev. Series 2004 C1, 1 month U.S. LIBOR + 0.300% 0.386% 9/1/21 (c)(f) 5,000,000 5,004,616 
Univ. of Kansas Hosp. Auth. Health Facilities Rev. Series 2019 B, 5% 3/1/21 500,000 500,000 
Wichita Health Care Facilities Series III, 4% 5/15/21 455,000 455,568 
Wyandotte County/Kansas City Unified Govt. Util. Sys. Rev. Series 2016 A:   
5% 9/1/22 10,000 10,688 
5% 9/1/23 15,000 16,669 
5% 9/1/25 15,000 17,781 
TOTAL KANSAS  6,042,843 
Kentucky - 1.5%   
Ashland Med. Ctr. Rev.:   
(Ashland Hosp. Corp. D/B/A King's Daughters Med. Ctr. Proj.) Series 2016 A:   
5% 2/1/24 30,000 32,860 
5% 2/1/25 20,000 22,412 
Series 2019, 5% 2/1/22 500,000 516,050 
Carroll County Envir. Facilities Rev. Bonds (Kentucky Utils. Co. Proj.) Series 2008 A, 1.2%, tender 6/1/21 (c)(e) 1,025,000 1,027,149 
Kenton County Arpt. Board Arpt. Rev. Series 2016, 5% 1/1/22 285,000 295,980 
Kentucky Asset/Liability Commission Agcy. Fund Rev. Series A, 5% 9/1/22 2,000,000 2,140,320 
Kentucky Bond Dev. Corp. (Lexington Ctr. Corp. Proj.) Series 2018 A, 5% 9/1/21 (Escrowed to Maturity) 435,000 445,416 
Kentucky Bond Dev. Corp. Edl. Facilities:   
(Transylvania Univ. Proj.) Series 2021 A, 2% 3/1/23 320,000 326,886 
(Transylvania Univ. Proj.) Series 2021 A, 4% 3/1/25 340,000 376,139 
Kentucky Econ. Dev. Fin. Auth. Bonds Series 2009 B, 2.7%, tender 11/10/21 (c) 345,000 349,348 
Kentucky Econ. Dev. Fin. Auth. Hosp. Rev. Series 2017 A, 5% 6/1/21 230,000 231,718 
Kentucky Econ. Dev. Fin. Auth. Solid Waste Disp. Rev. Bonds (Republic Svcs., Inc. Proj.) Series A, 0.25%, tender 3/1/21 (c)(e) 5,420,000 5,420,000 
Kentucky Higher Ed. Student Ln. Corp. Rev.:   
Series 2019 A1 5% 6/1/23 (e) 250,000 273,385 
Series 2019 A1, 5% 6/1/22 (e) 200,000 210,894 
Kentucky Hsg. Corp. Hsg. Rev. Bonds (Westminster Village Proj.) Series 2019, 2%, tender 4/1/21 (c) 2,000,000 2,002,832 
Kentucky Hsg. Corp. Multi-family Rev. Bonds (City View Park Proj.) Series 2020, 1.16%, tender 8/1/22 (c) 4,000,000 4,036,145 
Kentucky Rural Wtr. Fin. Corp. Series 2020 E, 0.425% 12/1/21 3,000,000 3,000,330 
Kentucky State Property & Buildings Commission Rev.:   
(Kentucky St Proj.) Series D, 5% 5/1/21 1,230,000 1,239,501 
(Kentucky St Proj.) Series 2005 5% 8/1/21 (Nat'l. Pub. Fin. Guarantee Corp. Insured) 3,050,000 3,109,499 
Series 2002, 5.5% 8/1/21 (AMBAC Insured) 770,000 786,612 
Series 2005, 5% 8/1/22 (Nat'l. Pub. Fin. Guarantee Corp. Insured) 250,000 266,565 
Series 2016 B, 5% 11/1/23 1,885,000 2,102,359 
Series 2016:   
3% 2/1/24 350,000 373,538 
5% 11/1/23 375,000 418,770 
5% 2/1/24 275,000 309,084 
5% 10/1/24 325,000 373,695 
Series 2017:   
5% 4/1/21 600,000 602,278 
5% 4/1/22 400,000 420,312 
5% 4/1/23 600,000 655,770 
5% 4/1/24 900,000 1,016,964 
Series 2018:   
5% 5/1/21 1,145,000 1,153,844 
5% 5/1/22 385,000 406,006 
5% 5/1/23 1,415,000 1,551,463 
Series A:   
5% 8/1/21 300,000 305,852 
5% 10/1/21 765,000 785,929 
5% 11/1/21 350,000 360,948 
5% 2/1/22 350,000 365,034 
5% 8/1/22 905,000 922,575 
5% 11/1/22 610,000 657,440 
5% 11/1/25 350,000 413,956 
Series B:   
3% 5/1/21 275,000 276,224 
5% 11/1/21 975,000 1,005,499 
5% 8/1/22 2,270,000 2,420,410 
5% 8/1/23 2,695,000 2,979,430 
Series C, 5% 11/1/21 2,875,000 2,964,932 
Kentucky, Inc. Pub. Energy:   
Bonds Series 2019 A1, 4%, tender 6/1/25 (c) 1,000,000 1,121,290 
Series 2018 B, 4% 7/1/21 1,350,000 1,365,896 
Series A:   
4% 6/1/21 270,000 272,384 
4% 12/1/22 350,000 371,312 
Louisville & Jefferson County:   
Bonds:   
Series 2020 B, 5%, tender 10/1/23 (c) 840,000 934,979 
Series 2020 C, 5%, tender 10/1/26 (c) 2,015,000 2,456,990 
Series 2016 A, 5% 10/1/22 200,000 214,448 
Louisville & Jefferson County Gen. Oblig. Series 2020 A, 5% 10/1/24 2,005,000 2,323,153 
Louisville Reg'l. Arpt. Auth. Sys. Rev. Series 2014 A:   
5% 7/1/21 (e) 1,250,000 1,268,166 
5% 7/1/23 (e) 1,750,000 1,922,305 
5% 7/1/24 (e) 155,000 175,702 
Louisville/Jefferson County Metropolitan Gov. Series 2012 A:   
5% 12/1/28 (Pre-Refunded to 6/1/22 @ 100) 55,000 58,258 
5% 12/1/29 (Pre-Refunded to 6/1/22 @ 100) 230,000 243,625 
Louisville/Jefferson County Metropolitan Govt. Poll. Cont. Rev. Bonds (Louisville Gas and Elec. Co. Proj.):   
Series 2001 B, 2.55%, tender 5/3/21 (c) 2,000,000 2,007,441 
Series 2007 A, 1.65%, tender 6/1/21 (c) 7,250,000 7,273,976 
Series 2007 B, 1.65%, tender 6/1/21 (c) 2,000,000 2,006,614 
Paducah Elec. Plant Board Rev. Series 2019, 5% 10/1/22 2,005,000 2,144,889 
Trimble County Poll. Cont. Rev. Bonds (Louisville Gas and Elec. Co. Proj.):   
Series 2001 A, 2.3%, tender 9/1/21 (c) 600,000 605,928 
Series 2001 B, 2.55%, tender 5/3/21 (c) 2,590,000 2,599,636 
Univ. Louisville Revs. Series 2016 C, 3% 9/1/21 780,000 790,064 
TOTAL KENTUCKY  79,109,409 
Louisiana - 0.3%   
Louisiana Citizens Property Ins. Corp. Assessment Rev. Series 2015:   
5% 6/1/21 (FSA Insured) 1,770,000 1,790,983 
5% 6/1/22 (FSA Insured) 900,000 953,550 
Louisiana Gen. Oblig.:   
Series 2012 C, 5% 7/15/21 240,000 244,306 
Series 2015 A, 5% 5/1/21 350,000 352,786 
Series 2016 D, 5% 9/1/24 155,000 179,033 
5% 5/1/24 350,000 399,889 
Louisiana Local Govt. Envir. Facilities and Cmnty. Dev. Auth. Bonds (East Baton Rouge Sewerage Commission Proj.) Series 2020 B, 0.875%, tender 2/1/25 (c) 4,000,000 3,942,640 
Louisiana Offshore Term. Auth. Deepwater Port Rev. Bonds Series 2010 B-1A, 2%, tender 10/1/22 (c) 815,000 822,237 
Louisiana Stadium and Exposition District Series 2013 A:   
5% 7/1/21 35,000 35,530 
5% 7/1/22 20,000 21,211 
New Orleans Aviation Board Rev.:   
(North Term. Proj.) Series 2017 B:   
5% 1/1/22 (e) 280,000 290,189 
5% 1/1/23 (e) 1,070,000 1,153,942 
5% 1/1/24 (e) 20,000 22,360 
5% 1/1/25 (e) 5,000 5,761 
5% 1/1/26 (e) 15,000 17,754 
Series 2017 D2:   
5% 1/1/22 (e) 345,000 357,555 
5% 1/1/23 (e) 10,000 10,785 
5% 1/1/24 (e) 15,000 16,770 
5% 1/1/25 (e) 115,000 132,509 
St. John Baptist Parish Rev. Bonds (Marathon Oil Corp.) Series 2017, 2%, tender 4/1/23 (c) 4,780,000 4,842,522 
St. Tammany Parish Hosp. Svc. (St. Tammany Parish Hosp. Proj.) Series 2011, 4.5% 7/1/21 (Escrowed to Maturity) 600,000 608,358 
Tobacco Settlement Fing. Corp. Series 2013 A:   
5% 5/15/21 635,000 641,122 
5% 5/15/23 110,000 120,989 
TOTAL LOUISIANA  16,962,781 
Maine - 0.0%   
Maine Fin. Auth. Student Ln. Rev. Series 2019 A, 5% 12/1/23 (FSA Insured) (e) 500,000 556,985 
Maine Health & Higher Edl. Facilities Auth. Rev.:   
Series 2017 B, 4% 7/1/21 85,000 85,969 
Series 2020 A, 4% 7/1/22 425,000 445,515 
Maine Tpk. Auth. Tpk. Rev. Series 2015:   
5% 7/1/21 50,000 50,796 
5% 7/1/22 40,000 42,550 
5% 7/1/26 250,000 295,678 
TOTAL MAINE  1,477,493 
Maryland - 0.4%   
Baltimore County Gen. Oblig. Series 2020, 4% 1/1/22 830,000 852,146 
Baltimore Proj. Rev.:   
(Wtr. Proj.) Series 2020 A:   
5% 7/1/23 400,000 443,720 
5% 7/1/24 635,000 731,349 
Series 2017 D:   
5% 7/1/24 70,000 80,621 
5% 7/1/25 75,000 89,234 
Howard County Gen. Oblig. Series A:   
5% 8/15/21 100,000 102,222 
5% 8/15/22 1,000,000 1,070,960 
Maryland Cmnty. Dev. Admin Dept. Hsg. & Cmnty. Dev.:   
Series 2019 B:   
1.6% 3/1/21 1,390,000 1,390,000 
4% 9/1/49 270,000 299,460 
Series 2020 C, 0.625% 7/1/22 500,000 501,075 
Series A:   
0.2% 3/1/23 1,015,000 1,014,523 
0.25% 9/1/23 775,000 773,667 
Maryland Health & Higher Edl.:   
Bonds Series 2020, 5%, tender 7/1/25 (c) 1,000,000 1,157,570 
Series 2020:   
4% 7/1/21 1,065,000 1,075,396 
4% 1/1/22 200,000 204,914 
Maryland Health & Higher Edl. Facilities Auth. Rev.:   
Series 2012 B, 5% 7/1/21 240,000 243,845 
Series 2015:   
5% 7/1/22 20,000 21,148 
5% 7/1/23 20,000 21,945 
5% 7/1/24 45,000 51,042 
5% 7/1/25 40,000 46,730 
5% 7/1/25 (Pre-Refunded to 7/1/24 @ 100) 1,145,000 1,318,250 
Series 2019 A, 5% 10/1/21 380,000 390,261 
Series 2020 A:   
3% 7/1/21 210,000 211,787 
4% 7/1/22 100,000 104,717 
Series 2020 B:   
5% 4/15/21 440,000 442,499 
5% 4/15/23 675,000 740,495 
Maryland Trans. Auth. Series 2012 B, 5% 3/1/21 (Escrowed to Maturity) (e) 3,565,000 3,565,000 
Maryland Trans. Auth. Trans. Facility Projs. Rev. Series 2020, 5% 7/1/22 1,500,000 1,596,870 
Montgomery County Gen. Oblig. Bonds Series 2013 MD, 0.18%, tender 3/1/21 (c) 3,250,000 3,250,000 
TOTAL MARYLAND  21,791,446 
Massachusetts - 0.7%   
Boston Hsg. Auth. Cap. Prog. Series 2020 B:   
5% 4/1/23 450,000 494,100 
5% 4/1/24 475,000 541,106 
Massachusetts Bay Trans. Auth. Sales Tax Rev. Series B:   
5% 7/1/21 780,000 792,522 
5% 7/1/22 900,000 957,870 
Massachusetts Dev. Fin. Agcy. Rev.:   
Bonds Series S3, SIFMA Municipal Swap Index + 0.500% 0.53%, tender 1/26/23 (c)(f) 3,400,000 3,404,352 
Series 2016 A, 5% 7/15/22 30,000 32,003 
Series 2016 I:   
5% 7/1/21 10,000 10,137 
5% 7/1/22 15,000 15,820 
5% 7/1/23 15,000 16,481 
5% 7/1/24 25,000 28,410 
5% 7/1/25 20,000 23,421 
5% 7/1/26 20,000 24,044 
Series 2019 A:   
5% 7/1/21 200,000 202,671 
5% 7/1/22 450,000 473,972 
5% 7/1/24 155,000 176,140 
Series C:   
5% 10/1/21 (FSA Insured) 250,000 256,602 
5% 10/1/22 (FSA Insured) 275,000 294,638 
5% 10/1/23 (FSA Insured) 350,000 388,339 
5% 10/1/24 (FSA Insured) 325,000 372,450 
Massachusetts Edl. Fing. Auth. Rev.:   
Series 2011 J, 5.125% 7/1/22 (e) 2,080,000 2,112,947 
Series 2014, 5% 1/1/23 (e) 3,000,000 3,247,890 
Series 2015 A:   
5% 1/1/22 (e) 600,000 623,372 
5% 1/1/23 (e) 9,000,000 9,743,670 
Series 2016 J:   
5% 7/1/21 (e) 1,465,000 1,487,726 
5% 7/1/22 (e) 1,475,000 1,566,465 
5% 7/1/23 (e) 725,000 800,299 
Series 2016, 5% 7/1/24 (e) 350,000 399,102 
Series 2020 C, 5% 7/1/23 (e) 200,000 220,772 
Massachusetts Gen. Oblig. Bonds Series D2, 1.7%, tender 8/1/22 (c) 370,000 377,037 
Massachusetts Health & Edl. Facilities Auth. Rev.:   
(Partners Healthcare Sys., Inc. Proj.) Series 2007 G2, 0.1%, tender 3/5/21 (FSA Insured) (c) 3,930,000 3,930,000 
Bonds Series I, 0.7%, tender 7/1/25 (c)(d) 395,000 395,000 
Series 2010 A, 5% 10/1/21 250,000 256,899 
Massachusetts Port Auth. Rev.:   
Series 2017 A:   
5% 7/1/24 (e) 65,000 74,374 
5% 7/1/25 (e) 25,000 29,474 
Series 2019 C, 5% 7/1/24 (e) 345,000 394,752 
TOTAL MASSACHUSETTS  34,164,857 
Michigan - 1.4%   
Armada Area Schools Series 2014, 4% 5/1/22 305,000 317,883 
Brandon School District Series A, 5% 5/1/23 430,000 473,043 
Carman-Ainsworth Cmnty. School District Series 2021, 4% 5/1/24 (d) 1,335,000 1,472,545 
Chippewa Valley Schools:   
Series 2013, 5% 5/1/21 310,000 312,441 
Series A, 2% 5/1/21 250,000 250,741 
Clarkston Cmnty. Schools Series 2015, 5% 5/1/22 35,000 36,905 
Dearborn School District Series 2017, 5% 5/1/22 250,000 263,610 
Detroit Downtown Dev. Auth. Tax:   
Series 1, 5% 7/1/22 (FSA Insured) 500,000 530,765 
Series A, 5% 7/1/25 (FSA Insured) 550,000 625,015 
Detroit Swr. Disp. Rev. Series 2006 D, 3 month U.S. LIBOR + 0.600% 0.759% 7/1/32 (c)(f) 90,000 87,806 
Durand Area Schools Gen. Oblig. Series 2015, 5% 5/1/21 335,000 337,554 
Grand Blanc Cmnty. Schools Series 2013:   
5% 5/1/21 45,000 45,347 
5% 5/1/22 40,000 42,178 
Grand Rapids Pub. Schools Series 2017, 5% 5/1/23 (FSA Insured) 30,000 33,010 
Huron Valley School District Series 2011:   
5% 5/1/21 865,000 871,827 
5% 5/1/22 510,000 514,024 
Kalamazoo Hosp. Fin. Auth. Hosp. Facilities Rev. Series 2016:   
5% 5/15/22 20,000 21,100 
5% 5/15/24 10,000 11,321 
5% 5/15/25 15,000 17,507 
5% 5/15/26 15,000 18,000 
Kent Hosp. Fin. Auth. Hosp. Facilities Rev. (Spectrum Health Sys. Proj.) Series 2015 A, SIFMA Municipal Swap Index + 0.250% 0.28%, tender 9/24/21 (c)(f) 1,000,000 1,000,000 
Michigan Bldg. Auth. Rev. (Facilities Prog.) Series 2016 I, 5% 4/15/24 60,000 68,545 
Michigan Fin. Auth. Rev.:   
(Detroit Wtr. and Sewage Dept. Wtr. Supply Sys. Rev. Rfdg. Local Proj.):   
Series 2014 C3, 5% 7/1/22 (FSA Insured) 1,155,000 1,227,823 
Series 2014 D1, 5% 7/1/22 (FSA Insured) 2,845,000 3,024,377 
(Mclaren Health Care Corp. Proj.) Series 2015, 5% 5/15/21 145,000 146,368 
(Trinity Health Proj.) Series 2017, 5% 12/1/23 250,000 281,263 
Bonds:   
Series 2013 M1, 0.18%, tender 3/1/21 (c) 14,500,000 14,500,000 
Series 2016 MI2, SIFMA Municipal Swap Index + 0.480% 0.51%, tender 3/4/21 (c)(f) 5,000,000 5,004,794 
Series 2019 B, 3.5%, tender 11/15/22 (c) 5,750,000 6,032,038 
Series 2019 MI2, 5%, tender 2/1/25 (c) 1,605,000 1,865,957 
Series 2012, 5% 11/1/22 350,000 377,160 
Series 2015 A:   
5% 8/1/22 1,380,000 1,470,418 
5% 8/1/23 330,000 366,006 
Series 2015 MI:   
5% 12/1/22 475,000 514,572 
5% 12/1/24 100,000 116,511 
Series 2015, 5% 11/15/21 585,000 603,905 
Series 2016, 5% 11/15/22 715,000 770,498 
Series 2020 A:   
4% 6/1/22 1,000,000 1,045,250 
5% 6/1/24 1,000,000 1,137,100 
Michigan Gen. Oblig. Series 2016:   
5% 3/15/21 560,000 560,951 
5% 3/15/22 50,000 52,429 
5% 3/15/23 85,000 92,993 
Michigan Hosp. Fin. Auth. Rev.:   
Bonds:   
(Ascension Health Cr. Group Proj.) Series F5, 2.4%, tender 3/15/23 (c) 80,000 83,258 
Series 2010 F1, 4%, tender 6/1/23 (c) 200,000 216,036 
Series 2005 A4, 5% 11/1/21 3,805,000 3,925,322 
Series 2008 C, 5% 12/1/21 500,000 517,948 
Michigan State Univ. Revs. Series 2015 A, 5% 8/15/21 380,000 388,268 
Michigan Strategic Fund Ltd. Oblig. Rev.:   
Bonds:   
Series 2008 ET2, 1.45%, tender 9/1/21 (c) 2,700,000 2,715,281 
Series CC, 1.45%, tender 9/1/21 (c) 155,000 155,877 
Series 2019, 4% 11/15/22 730,000 754,805 
Michigan Trunk Line Fund Rev. Series 2020 A, 5% 11/15/21 1,500,000 1,550,969 
Northern Michigan Univ. Revs. Series 2018 A, 5% 12/1/22 700,000 756,392 
Novi Cmnty. School District Series I, 4% 5/1/23 550,000 594,325 
Oakland Univ. Rev. Series 2016, 5% 3/1/22 385,000 403,123 
Portage Pub. Schools Series 2016:   
5% 5/1/23 45,000 49,186 
5% 11/1/23 30,000 33,383 
5% 5/1/24 40,000 45,269 
5% 11/1/24 45,000 51,737 
5% 5/1/25 25,000 29,178 
5% 11/1/25 25,000 29,606 
5% 11/1/28 20,000 24,246 
Rockford Pub. Schools Gen. Oblig. Series 2019 I, 4% 5/1/22 285,000 297,038 
Royal Oak Hosp. Fin. Auth. Hosp. Rev. Series 2014 D:   
5% 9/1/21 35,000 35,810 
5% 9/1/23 10,000 11,126 
Saginaw Hosp. Fin. Auth. Hosp. Rev. Series 2020 J:   
5% 7/1/21 285,000 289,382 
5% 7/1/22 455,000 482,996 
5% 7/1/23 250,000 275,965 
Spring Lake Pub. Schools Series 2014, 5% 5/1/21 90,000 90,694 
Wayne County Arpt. Auth. Rev.:   
Series 2011 A:   
4.125% 12/1/22 (FSA Insured) (e) 530,000 544,633 
5% 12/1/21 (e) 8,505,000 8,803,747 
5% 12/1/22 (e) 250,000 258,533 
Series 2012 B, 5% 12/1/22 (e) 485,000 523,625 
Series 2017 B, 5% 12/1/21 (e) 300,000 310,192 
Wayne State Univ. Revs. Series 2015 A, 5% 11/15/21 200,000 206,680 
Zeeland Pub. Schools Series 2015, 5% 5/1/21 445,000 448,393 
TOTAL MICHIGAN  71,444,603 
Minnesota - 0.3%   
Apple Valley Sr. Living Series 2016 B, 4% 1/1/22 155,000 152,221 
Maple Grove Health Care Sys. Rev. Series 2017:   
4% 5/1/21 110,000 110,594 
4% 5/1/22 110,000 114,187 
5% 5/1/23 110,000 119,910 
Minneapolis & Saint Paul Hsg. & Redev. Auth. Health Care Sys. Rev. (Allina Health Sys. Proj.) Series 2017 A, 5% 11/15/23 230,000 258,396 
Minneapolis & Saint Paul Metropolitan Arpts. Commission Arpt. Rev.:   
Series 2014 A:   
5% 1/1/22 20,000 20,779 
5% 1/1/23 20,000 21,684 
Series 2014 B:   
5% 1/1/22 (e) 45,000 46,695 
5% 1/1/23 (e) 20,000 21,626 
Series 2016 B, 5% 1/1/22 985,000 1,023,370 
Series 2016 C, 5% 1/1/22 235,000 244,295 
Series 2019 B, 5% 1/1/22 (e) 3,000,000 3,113,014 
Series 2019 C, 5% 1/1/26 380,000 454,309 
Minneapolis Multi-family Rev. Bonds Series 2019, 1.55%, tender 11/1/21 (c) 4,050,000 4,084,087 
Minnesota Hsg. Fin. Agcy.:   
Bonds Series 2018 D, SIFMA Municipal Swap Index + 0.430% 0.46%, tender 7/3/23 (c)(f) 3,000,000 2,997,360 
Series H:   
0.55% 1/1/23 (e) 200,000 200,324 
0.65% 1/1/24 (e) 200,000 200,076 
Moorhead Edl. Facilities Rev. (The Concordia College Corp. Proj.) Series 2016, 5% 12/1/25 65,000 72,126 
Northern Muni. Pwr. Agcy. Elec. Sys. Rev. Series 2017:   
5% 1/1/22 25,000 25,967 
5% 1/1/23 25,000 27,091 
5% 1/1/24 35,000 39,393 
Rochester Health Care Facilities Rev. Bonds (Mayo Foundation Proj.) Series C, 4.5%, tender 11/15/21 (c) 1,905,000 1,960,828 
Southern Minnesota Muni. Pwr. Agcy. Pwr. Supply Sys. Rev. Series 1994 A, 0% 1/1/24 (Nat'l. Pub. Fin. Guarantee Corp. Insured) 290,000 283,150 
Western Minnesota Muni. Pwr. Agcy. Pwr. Supply Rev. Series 2014 A:   
5% 1/1/22 20,000 20,795 
5% 1/1/23 65,000 70,535 
5% 1/1/24 20,000 22,583 
TOTAL MINNESOTA  15,705,395 
Mississippi - 0.1%   
Jackson Gen. Oblig. Series 2021:   
5% 3/1/22 325,000 339,764 
5% 3/1/23 325,000 353,688 
5% 3/1/24 500,000 563,735 
Mississippi Bus. Fin. Corp. Solid Waste Disp. Rev. Bonds (Waste Mgmt., Inc. Proj.) Series 2004, 0.55%, tender 9/1/21 (c)(e) 1,700,000 1,702,617 
Mississippi Dev. Bank Spl. Obl (Jackson Mississippi Sales Tax Rev. Infrastructure Proj.) Series 2020, 5% 9/1/24 740,000 844,495 
Mississippi Hosp. Equip. & Facilities Auth.:   
(Forrest County Gen. Hosp. Rfdg. Proj.) Series 2019 B, 5% 1/1/22 350,000 363,334 
Bonds Series 2020 A2, 0.65%, tender 9/1/21 (c) 300,000 300,059 
Series I, 5% 10/1/22 420,000 450,685 
TOTAL MISSISSIPPI  4,918,377 
Missouri - 0.3%   
Cape Girardeau County Indl. Dev. Auth. (Southeast Hosp. Proj.) Series 2017 A:   
5% 3/1/21 10,000 10,000 
5% 3/1/22 15,000 15,450 
5% 3/1/23 20,000 21,159 
5% 3/1/24 15,000 16,264 
5% 3/1/25 15,000 16,560 
5% 3/1/26 20,000 22,420 
Missouri Health & Edl. Facilities Rev. Series 2020:   
5% 11/15/21 520,000 537,255 
5% 11/15/22 660,000 712,642 
5% 11/15/23 815,000 915,147 
Missouri Hsg. Dev. Commission Single Family Mtg. Rev. Series 2019, 4% 5/1/50 65,000 72,139 
Missouri State Pub. Util. Commn Rev. Series 2020, 0.5% 3/1/22 5,000,000 5,002,233 
Saint Louis Arpt. Rev.:   
Series 2017 A:   
5% 7/1/22 (FSA Insured) 605,000 643,061 
5% 7/1/23 (FSA Insured) 1,080,000 1,195,096 
Series 2017 B:   
5% 7/1/21 (FSA Insured) (e) 400,000 406,083 
5% 7/1/22 (FSA Insured) (e) 500,000 530,420 
Series 2019 B:   
5% 7/1/21 (e) 350,000 355,205 
5% 7/1/22 (e) 365,000 386,703 
5% 7/1/23 (e) 385,000 422,815 
5% 7/1/24 (e) 400,000 453,708 
5% 7/1/25 (e) 420,000 489,888 
Series 2019 C, 5% 7/1/25 660,000 777,190 
Saint Louis Muni. Fin. Corp. Leasehold Rev. Series 2017 B, 4% 6/1/21 (FSA Insured) 320,000 322,890 
TOTAL MISSOURI  13,324,328 
Montana - 0.1%   
Montana Board Hsg. Single Family:   
Series 2019 B, 4% 6/1/50 30,000 33,899 
Series A1, 3.5% 6/1/50 465,000 510,779 
Montana Board of Invt.:   
(Intercap Revolving Prog.) Series 2017, 1%, tender 3/1/21 (c) 1,425,000 1,425,000 
Series 2007, 1%, tender 3/1/21 (c) 1,520,000 1,520,000 
Montana Facility Fin. Auth. Rev. Series 2019 A, 5% 1/1/22 430,000 447,045 
TOTAL MONTANA  3,936,723 
Nebraska - 0.3%   
Central Plains Energy Proj. Gas Supply:   
Bonds Series 2019, 4%, tender 8/1/25 (c) 1,170,000 1,326,581 
Series 2019:   
4% 8/1/21 1,500,000 1,523,315 
4% 2/1/22 1,465,000 1,514,978 
4% 8/1/23 580,000 629,816 
Douglas County Hosp. Auth. #2 Health Facilities Rev. Series 2020:   
5% 11/15/21 100,000 103,289 
5% 11/15/22 130,000 140,277 
Gretna Ctfs. Prtn. Series 2021, 4% 12/15/25 (d) 2,620,000 2,933,326 
Nebraska Invt. Fin. Auth. Single Family Hsg. Rev. Series 2019 B, 4% 9/1/49 (e) 155,000 170,616 
Nebraska Pub. Pwr. District Rev.:   
Bonds Series 2020 A, 0.6%, tender 7/1/23 (c) 5,000,000 4,973,900 
Series B, 5% 1/1/23 250,000 270,233 
Omaha Pub. Pwr. District Elec. Rev. Series A, 5% 2/1/25 200,000 234,632 
TOTAL NEBRASKA  13,820,963 
Nevada - 1.3%   
Clark County Arpt. Rev.:   
(Sub Lien Proj.) Series 2017 A-1:   
5% 7/1/21 (e) 2,045,000 2,076,792 
5% 7/1/22 (e) 360,000 382,252 
Series 2017 C, 5% 7/1/21 (e) 11,625,000 11,804,938 
Series 2018 A, 5% 7/1/21 1,520,000 1,543,887 
Series 2019 A, 5% 7/1/23 200,000 221,414 
Series 2019 D:   
5% 7/1/21 6,170,000 6,268,634 
5% 7/1/22 10,000,000 10,640,200 
Clark County McCarran Int'l. Arpt. Passenger Facility Charge Rev.:   
(Clark County Arpt. Rev. Proj.) Series 2017 B:   
5% 7/1/21 (e) 800,000 812,437 
5% 7/1/22 (e) 300,000 318,543 
Series 2019 E:   
5% 7/1/22 480,000 510,730 
5% 7/1/24 300,000 344,226 
Clark County School District:   
Series 2012 A, 5% 6/15/21 1,010,000 1,023,590 
Series 2015 B, 5% 6/15/21 370,000 374,979 
Series 2016 A:   
5% 6/15/21 365,000 369,911 
5% 6/15/23 30,000 33,104 
Series 2017 A, 5% 6/15/22 2,000,000 2,118,960 
Series 2017 C, 5% 6/15/22 300,000 317,844 
Series 2019 C, 5% 6/15/21 370,000 374,979 
Series 2020 A:   
3% 6/15/22 500,000 516,920 
3% 6/15/23 (FSA Insured) 450,000 476,636 
Las Vegas Valley Wtr. District Wtr. Impt. Gen. Oblig. Series 2015 B, 5% 12/1/21 600,000 621,861 
Nevada Dept. of Bus. & Industry Bonds (Republic Svcs., Inc. Proj.) Series 2001, 0.3%, tender 12/1/26 (b)(c)(e) 3,200,000 3,200,631 
Nevada Gen. Oblig.:   
Series 2013 D1, 5% 3/1/24 60,000 65,569 
Series 2019 A, 5% 5/1/21 200,000 201,599 
Nevada Hsg. Division Bonds Series 2020:   
0.3%, tender 10/1/22 (c) 4,220,000 4,222,574 
1.19%, tender 4/1/21 (c) 5,000,000 5,003,808 
Washoe County Gas & Wtr. Facilities Bonds (Sierra Pacific Pwr. Co. Proj.) Series 2016 B, 3%, tender 6/1/22 (c) 1,240,000 1,279,903 
Washoe County Gas Facilities Rev. Bonds:   
(Sierra Pacific Pwr. Co. Proj.) Series 2016 C, 0.625%, tender 4/15/22 (c)(e) 1,590,000 1,592,035 
Series 2016 F, 2.05%, tender 4/15/22 (c)(e) 8,400,000 8,544,228 
Series 2016, 2.05%, tender 4/15/22 (c)(e) 1,210,000 1,230,776 
TOTAL NEVADA  66,493,960 
New Hampshire - 0.0%   
Nat'l. Fin. Auth. Solid Bonds (Waste Mgmt., Inc. Proj.) Series 2019 A2, 2.15%, tender 7/1/24 (c)(e) 555,000 580,369 
New Hampshire Bus. Fin. Auth. Wtr. Facility (Pennichuck Wtr. Works, Inc. Proj.) Series 2014 A, 5% 1/1/24 (Escrowed to Maturity) (e) 260,000 292,136 
New Hampshire Health & Ed. Facilities Auth. Rev.:   
(Southern NH Med. Ctr. Proj.) Series 2016, 3% 10/1/21 225,000 228,336 
Series 2012, 4% 7/1/21 35,000 35,352 
Series 2016:   
5% 10/1/21 25,000 25,660 
5% 10/1/23 425,000 471,206 
TOTAL NEW HAMPSHIRE  1,633,059 
New Jersey - 3.0%   
Camden County Impt. Auth. Health Care Redev. Rev. Series 2014 A:   
5% 2/15/22 55,000 57,107 
5% 2/15/23 70,000 75,855 
Garden State Preservation Trust Open Space & Farmland Preservation:   
Series 2005 C, 5.25% 11/1/21 (FSA Insured) 1,000,000 1,033,485 
Series B, 0% 11/1/22 (FSA Insured) 680,000 672,370 
Hudson County Impt. Auth. (Hudson County Courthouse Proj.) Series 2020, 4% 10/1/22 225,000 238,302 
Hudson County Impt. Auth. Rev. Series 2020 C1A, 1.5% 9/2/21 1,750,000 1,761,604 
Monmouth County Impt. Auth. Rev. Series 2020 A, 2% 7/12/21 1,250,000 1,258,317 
New Brunswick Parking Auth. Rev. Series 2020 B:   
5% 9/1/23 675,000 745,855 
5% 9/1/25 850,000 1,003,060 
New Jersey Econ. Dev. Auth. Series QQQ:   
5% 6/15/22 400,000 423,684 
5% 6/15/23 420,000 461,017 
5% 6/15/24 300,000 340,011 
5% 6/15/25 385,000 448,159 
5% 6/15/26 555,000 660,916 
New Jersey Econ. Dev. Auth. Motor Vehicle Rev. Series A, 5% 7/1/23 (Build America Mutual Assurance Insured) 250,000 276,218 
New Jersey Econ. Dev. Auth. Rev.:   
(New Jersey Gen. Oblig. Proj.) Series 2017 B, 5% 11/1/24 115,000 132,026 
(New Jersey Transit Corp. Proj.) Series 2017 B, 5% 11/1/22 1,900,000 2,045,122 
(Provident Montclair Proj.) Series 2017:   
4% 6/1/22 (FSA Insured) 20,000 20,706 
5% 6/1/23 (FSA Insured) 25,000 27,427 
5% 6/1/24 (FSA Insured) 20,000 22,716 
(The Goethals Bridge Replacement Proj.) Series 2013, 5% 1/1/24(e) 350,000 391,878 
Series 2005 N1, 5.5% 9/1/23 (Nat'l. Pub. Fin. Guarantee Corp. Insured) 100,000 111,883 
Series 2005, 5.25% 12/15/21 1,720,000 1,786,513 
Series 2012 II:   
5% 3/1/22 135,000 141,216 
5% 3/1/23 835,000 871,732 
Series 2012, 5% 6/15/22 (Assured Guaranty Corp. Insured) 900,000 953,262 
Series 2013:   
5% 3/1/23 4,920,000 5,350,156 
5% 3/1/24 380,000 411,494 
Series 2015 XX:   
5% 6/15/21 500,000 506,684 
5% 6/15/23 75,000 82,325 
Series 2016 BBB, 5% 6/15/21 1,090,000 1,104,571 
Series 2017 DDD, 5% 6/15/22 220,000 233,026 
Series 2019:   
5.25% 9/1/22 (b) 5,550,000 5,942,718 
5.25% 9/1/23 (b) 5,000,000 5,563,050 
5.25% 9/1/24 (b) 2,100,000 2,411,871 
Series UU, 3.1% 6/15/23 410,000 432,402 
New Jersey Econ. Dev. Auth. Wtr. Facilities Rev.:   
(New Jersey-American Wtr. Co., Inc. Proj.) Series 2020 C, 1.15% 6/1/23 (e) 2,500,000 2,519,900 
(NJ American Wtr. Co., Inc. Proj.) Series 2020 E, 0.85% 12/1/25 (e) 1,600,000 1,570,576 
Bonds (New Jersey-American Wtr. Co., Inc.) Series 2020, 1.2%, tender 6/1/23 (c)(e) 2,000,000 2,023,080 
New Jersey Edl. Facility:   
Series 2014, 5% 6/15/21 240,000 243,208 
Series 2015 B, 5% 7/1/21 (FSA Insured) 405,000 411,091 
Series 2016 A:   
5% 7/1/21 50,000 50,710 
5% 7/1/22 140,000 147,938 
5% 7/1/23 75,000 82,256 
5% 7/1/24 175,000 198,189 
Series 2016 E, 5% 7/1/22 625,000 662,163 
New Jersey Gen. Oblig.:   
Series 2013, 5% 6/1/23 430,000 473,370 
Series 2014, 5% 6/1/22 400,000 423,020 
Series 2016, 5% 6/1/21 500,000 505,738 
Series 2020 A:   
4% 6/1/23 24,320,000 26,230,093 
5% 6/1/24 1,530,000 1,745,210 
5% 6/1/25 2,330,000 2,742,107 
New Jersey Health Care Facilities Fing. Auth. Rev.:   
Series 2012 A, 5% 7/1/24 1,310,000 1,391,181 
Series 2013, 5% 7/1/22 325,000 345,673 
Series 2016 A:   
5% 7/1/21 2,000,000 2,029,335 
5% 7/1/22 5,000 5,293 
5% 7/1/22 300,000 318,873 
5% 7/1/23 15,000 16,411 
5% 7/1/24 20,000 22,594 
5% 7/1/24 10,000 11,297 
5% 7/1/24 25,000 28,739 
5% 7/1/25 10,000 11,623 
5% 7/1/26 5,000 5,962 
5% 7/1/27 5,000 5,918 
Series 2016, 5% 7/1/21 220,000 223,271 
Series 2019, 4% 7/1/21 395,000 399,704 
New Jersey Higher Ed. Student Assistance Auth. Student Ln. Rev.:   
Series 2012 1, 5% 12/1/22 (e) 400,000 431,600 
Series 2013, 5% 12/1/21 (e) 1,500,000 1,551,997 
Series 2015 1A:   
5% 12/1/21 (e) 4,650,000 4,811,191 
5% 12/1/22 (e) 200,000 215,800 
Series 2017 1A:   
5% 12/1/22 (e) 215,000 231,985 
5% 12/1/23 (e) 4,195,000 4,690,136 
Series 2017 1B, 5% 12/1/21 (e) 190,000 196,586 
Series 2018 B, 5% 12/1/21 (e) 835,000 863,945 
Series 2019 A:   
5% 12/1/22 245,000 264,847 
5% 12/1/23 4,260,000 4,786,451 
5% 12/1/24 260,000 301,561 
Series 2020 A, 5% 12/1/23 (e) 1,500,000 1,677,045 
Series 2020:   
5% 12/1/22 (e) 1,600,000 1,726,400 
5% 12/1/22 (e) 1,360,000 1,467,440 
5% 12/1/23 (e) 945,000 1,056,538 
5% 12/1/24 (e) 675,000 777,209 
New Jersey Hsg. & Mtg. Fin. Agcy. Bonds Series 2020 A, 0.75%, tender 6/1/22 (c) 2,000,000 2,009,960 
New Jersey Hsg. & Mtg. Fin. Agcy. Rev.:   
Series 2018 B, 2.5% 4/1/21 (e) 4,165,000 4,171,351 
Series 2019 D:   
4% 10/1/22 (e) 1,340,000 1,405,405 
4% 4/1/23 (e) 115,000 122,152 
4% 10/1/23 (e) 125,000 134,268 
4% 4/1/25 (e) 150,000 165,647 
New Jersey Tobacco Settlement Fing. Corp. Series 2018 A:   
5% 6/1/21 2,185,000 2,209,410 
5% 6/1/22 2,580,000 2,724,170 
5% 6/1/23 930,000 1,021,363 
New Jersey Tpk. Auth. Tpk. Rev. Series 2012 B, 5% 1/1/22 (Escrowed to Maturity) 350,000 364,144 
New Jersey Trans. Trust Fund Auth.:   
Series 2005 B:   
5.25% 12/15/22 (AMBAC Insured) 5,000,000 5,432,050 
5.25% 12/15/23 370,000 416,372 
Series 2006 A:   
5.25% 12/15/21 2,000,000 2,077,341 
5.25% 12/15/21 (FSA Insured) 395,000 410,531 
5.25% 12/15/23 (FSA Insured) 500,000 565,610 
5.5% 12/15/21 1,700,000 1,769,074 
Series 2006, 5.25% 12/15/21 (Nat'l. Pub. Fin. Guarantee Corp. Insured) 465,000 482,982 
Series 2010 D, 5.25% 12/15/23 555,000 624,558 
Series 2011 B, 5% 6/15/21 1,250,000 1,266,710 
Series 2013 AA, 5% 6/15/23 580,000 636,643 
Series 2016 A:   
5% 6/15/21 1,700,000 1,723,373 
5% 6/15/22 2,720,000 2,882,520 
5% 6/15/27 90,000 107,377 
Series 2016 A-2, 5% 6/15/23 1,205,000 1,327,621 
Series 2018 A:   
5% 6/15/21 3,995,000 4,049,926 
5% 6/15/22 4,475,000 4,742,381 
5% 6/15/24 405,000 461,712 
Series A:   
5% 6/15/21 265,000 268,543 
5% 12/15/23 250,000 279,610 
5% 12/15/24 210,000 242,080 
5% 12/15/25 200,000 236,152 
Series D, 5% 12/15/23 225,000 251,649 
New Jersey Transit Corp. Ctfs. of Prtn. Series 2014 A, 5% 9/15/21 860,000 880,033 
Newark Gen. Oblig. Series 2020:   
5% 10/1/21 250,000 256,172 
5% 10/1/21 100,000 102,421 
5% 10/1/22 900,000 956,889 
5% 10/1/22 650,000 691,087 
Rutgers State Univ. Rev. Series Q:   
5% 5/1/21 125,000 125,974 
5% 5/1/22 80,000 84,404 
5% 5/1/23 65,000 71,209 
Union County Gen. Oblig. Series 2020, 0.5% 3/1/22 1,700,000 1,705,927 
TOTAL NEW JERSEY  157,350,793 
New Mexico - 0.1%   
New Mexico Mtg. Fin. Auth. Series 2019 C, 4% 1/1/50 495,000 548,336 
New Mexico Muni. Energy Acquisition Auth. Gas Supply Rev.:   
Bonds Series 2019 A, 5%, tender 5/1/25 (c) 1,000,000 1,167,360 
Series 2019 A:   
4% 5/1/21 300,000 301,841 
4% 5/1/22 140,000 146,059 
4% 5/1/23 680,000 732,496 
4% 11/1/23 245,000 267,881 
4% 11/1/24 250,000 280,158 
4% 5/1/25 960,000 1,086,115 
New Mexico Severance Tax Rev. Series 2015 B, 5% 7/1/21 1,495,000 1,518,393 
TOTAL NEW MEXICO  6,048,639 
New York - 2.5%   
Albany County Arpt. Auth. Arpt. Rev. Series 2020 B, 5% 12/15/21 (e) 500,000 517,465 
Dorm. Auth. New York Univ. Rev. Series 2016 A:   
5% 7/1/22 10,000 10,608 
5% 7/1/24 40,000 45,555 
Genessee Valley Central School District Series 2012, 5% 6/15/21 (FSA Insured) 435,000 440,586 
Hempstead Town Gen. Oblig. Series 2017, 4% 4/1/21 (FSA Insured) 345,000 346,072 
Hudson Yards Infrastructure Corp. New York Rev. Series 2017 A:   
5% 2/15/24 640,000 722,886 
5% 2/15/25 350,000 408,275 
5% 2/15/26 725,000 870,957 
Long Island Pwr. Auth. Elec. Sys. Rev.:   
Bonds:   
Series 2019 B, 1.65%, tender 9/1/24 (c) 1,055,000 1,091,197 
Series 2020 B, 0.85%, tender 9/1/25 (c) 11,000,000 10,958,970 
Series 2011 A, 5% 5/1/36 (Pre-Refunded to 5/1/21 @ 100) 375,000 377,996 
Series 2017, 5% 9/1/21 (Escrowed to Maturity) 390,000 399,457 
Metropolitan Trans. Auth. Series 2019 A, 5% 3/1/22 640,000 669,534 
Monroe County Indl. Dev. Corp. (The Rochester Gen. Hosp. Proj.) Series 2017, 5% 12/1/26 350,000 425,026 
New York City Gen. Oblig.:   
Bonds Series D, 5%, tender 2/1/24 (c) 900,000 986,787 
Series 2006, 0.14%, tender 6/1/36 (FSA Insured) (c) 1,000,000 1,000,000 
Series 2007 C-4, 0.25%, tender 1/1/32 (FSA Insured) (c) 225,000 225,000 
Series 2007, 0.04%, tender 3/2/21 (FSA Insured) (c) 4,200,000 4,200,000 
Series 2008 A-3, 0.05%, tender 8/1/26 (FSA Insured) (c) 3,775,000 3,775,000 
Series 2008 C-4, 0.11%, tender 10/1/27 (c) 475,000 475,000 
Series 2008 J3, 5% 8/1/22 450,000 480,416 
Series 2013 D, 5% 8/1/23 1,605,000 1,749,915 
Series 2013 J, 5% 8/1/21 875,000 892,551 
Series 2014 J, 5% 8/1/21 200,000 204,012 
Series 2016 B, 5% 8/1/22 300,000 320,277 
Series 2016 E, 5% 8/1/24 840,000 967,495 
Series 2016, 5% 8/1/22 555,000 592,512 
Series 2017 A, 4% 8/1/21 660,000 670,509 
Series 2017 C, 5% 8/1/21 500,000 510,029 
Series 2017:   
5% 8/1/21 690,000 703,840 
5% 8/1/23 380,000 422,533 
Series 2019 B, 5% 8/1/21 200,000 204,012 
Series A:   
4% 8/1/23 400,000 435,164 
5% 8/1/21 150,000 153,009 
5% 8/1/22 440,000 469,740 
5% 8/1/25 570,000 655,677 
Series B:   
5% 8/1/21 250,000 255,015 
5% 8/1/21 360,000 367,221 
5% 8/1/21 (Escrowed to Maturity) 100,000 101,997 
Series C:   
3% 8/1/21 250,000 252,947 
5% 8/1/23 5,040,000 5,604,127 
5% 8/1/23 200,000 222,386 
5% 8/1/26 220,000 268,653 
Series D, 5% 8/1/25 710,000 773,531 
Series D1, 5% 10/1/21 250,000 257,018 
Series E:   
5% 8/1/21 1,085,000 1,106,763 
5% 8/1/21 365,000 372,321 
5% 8/1/22 400,000 427,036 
Series F1, 5% 3/1/37 (Pre-Refunded to 3/1/23 @ 100) 405,000 442,876 
Series H3, 5% 8/1/23 120,000 133,432 
Series J4, 5% 8/1/24 1,245,000 1,433,966 
New York City Health & Hosp. Corp. Rev. Series A, 4% 2/15/25 1,440,000 1,629,158 
New York City Hsg. Dev. Corp.:   
Bonds Series 2017 G-2, 2%, tender 12/31/21 (c) 2,305,000 2,306,265 
Series 2017 A2A, 1.9% 5/1/21 190,000 190,102 
Series G1, 2.35% 11/1/23 450,000 470,318 
New York City Hsg. Dev. Corp. Multifamily Hsg. Bonds Series A3, 1.125%, tender 11/1/24 (c) 2,000,000 2,013,040 
New York City Indl. Dev. Agcy. Rev. Series 2021 A, 5% 1/1/25 (Assured Guaranty Corp. Insured) (FSA Insured) 1,000,000 1,164,980 
New York City Muni. Wtr. Fin. Auth. Wtr. & Swr. Sys. Rev.:   
Series AA, 4% 6/15/24 845,000 943,527 
Series CC1, 4% 6/15/21 (Escrowed to Maturity) 465,000 470,159 
Series FF, 5% 6/15/21 (Escrowed to Maturity) 200,000 202,791 
New York City Transitional Fin. Auth. Bldg. Aid Rev. Series S1:   
5% 7/15/21 350,000 356,161 
5% 7/15/23 600,000 666,216 
5% 7/15/24 375,000 432,011 
New York City Transitional Fin. Auth. Rev.:   
Series 1:   
5% 11/1/22 215,000 232,058 
5% 11/1/22 400,000 431,736 
Series 2012 D1, 5% 11/1/22 640,000 660,282 
Series 2014 D1, 5% 2/1/27 350,000 395,770 
Series 2014, 5% 11/1/26 750,000 857,160 
Series 2015 C, 5% 11/1/22 370,000 399,356 
Series A1:   
5% 5/1/21 475,000 478,781 
5% 5/1/23 300,000 330,441 
5% 8/1/24 250,000 288,405 
Series A3, 5% 8/1/23 550,000 611,842 
Series B1:   
5% 8/1/22 200,000 213,518 
5% 8/1/24 315,000 363,390 
Series C, 5% 11/1/21 230,000 237,414 
Series C1, 3% 5/1/22 320,000 330,525 
Series D1, 5% 11/1/24 465,000 479,834 
Series I, 5% 5/1/21 225,000 226,787 
New York Dorm. Auth. Personal Income Tax Rev.:   
Series 2012 A:   
4% 12/15/22 325,000 347,250 
5% 12/15/23 600,000 650,892 
Series 2014 A, 5% 2/15/22 695,000 727,080 
Series 2016 D, 5% 2/15/23 350,000 382,078 
New York Dorm. Auth. Rev.:   
Bonds Series 2019 B1, 5%, tender 5/1/22 (c) 675,000 695,885 
Series 1, 5% 7/1/22 (Pre-Refunded to 1/1/22 @ 100) 300,000 312,021 
Series 2015 A:   
5% 5/1/23 300,000 329,343 
5% 7/1/24 275,000 316,033 
Series 2015, 5% 12/1/22 (b) 700,000 751,471 
New York Dorm. Auth. Sales Tax Rev.:   
Series 2015 A, 5% 3/15/23 1,130,000 1,238,695 
Series 2015 B, 5% 3/15/21 300,000 300,531 
Series 2017 A, 5% 3/15/24 445,000 507,073 
Series 2018 C, 5% 3/15/24 500,000 569,745 
New York Local Govt. Assistance Corp. Series 2018 A, 5% 4/1/21 270,000 271,065 
New York Metropolitan Trans. Auth. Dedicated Tax Fund Rev.:   
Bonds Series 2008 A, SIFMA Municipal Swap Index + 0.450% 0.48%, tender 6/1/22 (c)(f) 1,370,000 1,369,493 
Series 2012 A, 5% 11/15/21 325,000 335,597 
Series 2016 A, 5% 11/15/22 400,000 431,448 
Series 2017 B2:   
5% 11/15/23 1,000,000 1,121,080 
5% 11/15/24 100,000 115,928 
New York Metropolitan Trans. Auth. Rev.:   
Bonds Series 2011 B, 1 month U.S. LIBOR + 0.550% 0.627%, tender 11/1/22 (c)(f) 1,745,000 1,737,688 
Series 2005 B, 5.25% 11/15/21 (Nat'l. Pub. Fin. Guarantee Corp. Insured) 275,000 284,071 
Series 2008 B2, 5% 11/15/21 1,140,000 1,174,827 
Series 2012 B, 5% 11/15/22 45,000 48,222 
Series 2012 E, 5% 11/15/21 55,000 56,678 
Series 2012 F:   
5% 11/15/21 765,000 788,343 
5% 11/15/22 1,000,000 1,071,590 
Series 2014 C, 5% 11/15/21 60,000 61,831 
Series 2016 B, 5% 11/15/21 50,000 51,526 
Series 2020 A:   
4% 2/1/22 5,400,000 5,555,996 
5% 2/1/23 4,200,000 4,524,408 
New York St Mtg. Agcy. Homeowner:   
Series 186, 3.4% 4/1/22 (e) 1,160,000 1,191,146 
Series 198, 1.65% 10/1/21 (e) 2,245,000 2,260,730 
Series 2014 189, 2.5% 10/1/21 (e) 1,640,000 1,659,564 
Series 212:   
2.4% 4/1/22 (e) 1,130,000 1,153,515 
2.5% 10/1/22 (e) 1,160,000 1,196,412 
Series 214, 2.9% 10/1/22 (e) 805,000 833,779 
New York State Dorm. Auth.:   
Series 2017 A:   
5% 2/15/22 835,000 873,542 
5% 2/15/23 2,480,000 2,707,292 
Series 2017 B, 5% 2/15/23 400,000 436,660 
Series 2019 D, 5% 2/15/23 390,000 425,744 
Series 2020 A, 5% 3/15/23 250,000 273,940 
New York State Energy Research & Dev. Auth. Poll. Cont. Rev. Series 1999, 1.25%, tender 3/5/21 (AMBAC Insured) (c) 300,000 300,000 
New York State Hsg. Fin. Agcy. Rev.:   
Bonds Series 2019 F, 1.875%, tender 11/1/21 (c) 1,375,000 1,375,968 
Series J, 0.75% 5/1/25 360,000 358,362 
New York State Mtg. Agcy. Homeowner Mtg. Series 221, 3.5% 10/1/32 (e) 70,000 76,072 
New York Thruway Auth. Personal Income Tax Rev.:   
Series 2011 A:   
5% 3/15/22 225,000 225,392 
5% 3/15/25 250,000 250,435 
Series 2013 A, 5% 3/15/21 250,000 250,442 
New York Trans. Dev. Corp.:   
(Delta Air Lines, Inc. Laguardia Arpt. Terminals C&D Redev. Proj.) Series 2018, 5% 1/1/22 (e) 1,500,000 1,548,211 
(Term. 4 JFK Int'l. Arpt. Proj.):   
Series 2020 A:   
5% 12/1/22 (e) 250,000 268,338 
5% 12/1/23 (e) 175,000 193,230 
5% 12/1/25 (e) 1,100,000 1,283,447 
Series 2020 C:   
5% 12/1/22 1,750,000 1,887,288 
5% 12/1/23 1,000,000 1,115,710 
New York Urban Dev. Corp. Rev.:   
Series 2013 A1, 4% 3/15/23 250,000 268,868 
Series 2015 A, 5% 3/15/24 510,000 580,803 
Series 2016 A, 5% 3/15/22 210,000 220,541 
Niagara Frontier Trans. Auth. Arpt. Rev.:   
Series 2014 A, 5% 4/1/21 (e) 300,000 301,052 
Series 2019 A:   
5% 4/1/22 (e) 700,000 732,809 
5% 4/1/23 (e) 2,575,000 2,790,270 
5% 4/1/24 (e) 1,720,000 1,923,390 
Onondaga County Ind. Dev. Agcy. Swr. Facilities Rev. (Bristol-Meyers Squibb Co. Proj.) Series 1994, 5.75% 3/1/24 (e) 770,000 885,985 
Rockland County Gen. Oblig. Series 2014 A:   
5% 3/1/22 (FSA Insured) 925,000 968,924 
5% 3/1/23 (FSA Insured) 275,000 300,603 
Schenectady County Cap. Resources Corp. Rev. (Union College Proj.) Series 2017, 5% 1/1/22 275,000 285,595 
Suffolk County Gen. Oblig. Series B, 5% 10/15/21 (FSA Insured) 200,000 205,685 
Syracuse Gen. Oblig. Series 2018 A, 4% 5/1/21 (FSA Insured) 250,000 251,534 
Triborough Bridge & Tunnel Auth. Revs.:   
Bonds Series 2005 B 4A, U.S. SECURED OVERNIGHT FINL RATE (SOFR) INDX + 0.380% 0.393%, tender 2/1/24 (c)(f) 2,000,000 2,000,000 
Series 2013 B, 4% 11/15/21 405,000 416,006 
Series 2016 A, 5% 11/15/23 400,000 449,728 
Westchester County Healthcare Series 2000 A, 5% 11/1/22 (Pre-Refunded to 11/1/21 @ 100) 475,000 490,214 
Yonkers Gen. Oblig.:   
Series 2016 C, 4% 11/15/21 (FSA Insured) 225,000 231,017 
Series 2017 C, 5% 10/1/22 (Build America Mutual Assurance Insured) 55,000 59,109 
Series 2021 A:   
4% 2/15/24 250,000 274,680 
5% 2/15/26 (FSA Insured) 400,000 479,664 
Series 2021 B:   
4% 2/15/24 290,000 318,719 
5% 2/15/26 320,000 383,904 
TOTAL NEW YORK  129,871,585 
New York And New Jersey - 0.6%   
Port Auth. of New York & New Jersey:   
Series 167, 5% 9/15/21 (e) 465,000 465,793 
Series 173, 4% 12/1/21 675,000 694,451 
Series 185, 5% 9/1/21 (e) 1,000,000 1,023,589 
Series 188:   
5% 5/1/21 (e) 11,465,000 11,554,137 
5% 5/1/23 (e) 200,000 219,654 
Series 194, 5% 10/15/21 455,000 468,686 
Series 197, 5% 11/15/21 (e) 585,000 604,497 
Series 2013:   
5% 12/1/22 275,000 298,163 
5% 12/1/23 725,000 816,937 
5% 12/1/24 (e) 250,000 278,203 
Series 2018, 5% 9/15/22 (e) 4,105,000 4,401,792 
Series 202, 5% 10/15/22 (e) 4,435,000 4,772,991 
Series 207:   
5% 9/15/23 (e) 1,095,000 1,219,786 
5% 9/15/24 (e) 430,000 495,846 
Series 209, 5% 7/15/21 200,000 203,588 
Series 223:   
5% 7/15/22 (e) 2,500,000 2,661,175 
5% 7/15/23 (e) 925,000 1,023,957 
5% 7/15/24 (e) 1,250,000 1,433,463 
TOTAL NEW YORK AND NEW JERSEY  32,636,708 
North Carolina - 0.3%   
Charlotte Int'l. Arpt. Rev.:   
Series 2014 A, 5% 7/1/25 560,000 645,372 
Series 2017 B, 5% 7/1/25 (e) 100,000 117,476 
Series 2019 A, 5% 7/1/21 325,000 330,217 
Charlotte-Mecklenburg Hosp. Auth. Health Care Sys. Rev. Series 2016 A, 5% 1/15/22 1,650,000 1,718,762 
Columbus County Indl. Facilities And Poll. Cont. Fing. Auth. Rev. Bonds Series 2019 C, 2.1%, tender 10/1/24 (c)(e) 2,000,000 2,090,860 
New Hanover County Hosp. Rev. Series 2017, 5% 10/1/26 (Escrowed to Maturity) 290,000 355,633 
North Carolina Eastern Muni. Pwr. Agcy. Pwr. Sys. Rev. Series 1993 B, 6% 1/1/22 (Escrowed to Maturity) 1,750,000 1,834,788 
North Carolina Grant Anticipation Rev. Series 2017:   
5% 3/1/22 80,000 83,865 
5% 3/1/23 450,000 491,423 
North Carolina Hsg. Fin. Agcy. Home Ownership Rev. Series 43, 4% 7/1/50 2,760,000 3,081,181 
North Carolina Med. Care Commission Health Care Facilities Rev. Bonds Series 2019 B, 2.2%, tender 12/1/22 (c) 1,420,000 1,450,360 
North Carolina Muni. Pwr. Agcy. #1 Catawba Elec. Rev. Series 2015 E:   
5% 1/1/22 110,000 114,304 
5% 1/1/23 35,000 37,679 
Raleigh Durham Arpt. Auth. Arpt. Rev.:   
Series 2015 B, 5% 5/1/22 (e) 750,000 790,920 
Series 2017 A:   
4% 5/1/21 (e) 300,000 301,826 
5% 5/1/22 (e) 400,000 421,824 
5% 5/1/23 (e) 235,000 258,415 
Series 2020 B, 5% 5/1/21 850,000 856,765 
TOTAL NORTH CAROLINA  14,981,670 
North Dakota - 0.1%   
North Dakota Hsg. Fin. Agcy. Bonds (Home Mtg. Fin. Prog.) Series 2019 B, SIFMA Municipal Swap Index + 0.400% 0.43%, tender 3/4/21 (c)(f) 4,000,000 3,999,856 
Ohio - 0.7%   
Akron Bath Copley Hosp. District Rev. Series 2016, 5% 11/15/24 45,000 51,496 
Akron Gen. Oblig. Series 2020, 2% 12/1/21 850,000 860,455 
Allen County Hosp. Facilities Rev.:   
Bonds (Mercy Health) Series 2017 B, 5%, tender 5/5/22 (c) 350,000 368,554 
Series 2017 A:   
5% 8/1/21 780,000 795,018 
5% 8/1/22 5,300,000 5,646,514 
Series 2020 A:   
5% 12/1/21 1,000,000 1,034,742 
5% 12/1/22 1,550,000 1,674,868 
5% 12/1/23 1,000,000 1,123,870 
American Muni. Pwr., Inc. Rev. Bonds Series 2019 A, 2.3%, tender 2/15/22 (c) 1,800,000 1,811,842 
Cleveland Arpt. Sys. Rev.:   
Series 2016 A:   
5% 1/1/24 (FSA Insured) 25,000 27,958 
5% 1/1/25 (FSA Insured) 370,000 426,481 
5% 1/1/26 (FSA Insured) 10,000 11,576 
Series 2018 A, 5% 1/1/26 (e) 290,000 340,248 
Series 2019 B:   
5% 1/1/22 (e) 650,000 673,654 
5% 1/1/27 (e) 350,000 419,083 
Cleveland Pub. Pwr. Sys. Rev.:   
Series 2016, 5% 11/15/21 (FSA Insured) 1,180,000 1,218,559 
Series 2018, 5% 11/15/21 (FSA Insured) 320,000 330,457 
Cuyahoga Metropolitan Hsg. Auth. Bonds (Riverside Park Phase II Proj.) Series 2019, 2%, tender 4/1/21 (c) 3,000,000 3,004,328 
Fairfield County Hosp. Facilities Rev. (Fairfield Med. Ctr. Proj.) Series 2013:   
5% 6/15/22 45,000 47,080 
5% 6/15/23 40,000 43,128 
Franklin County Hosp. Facilities Rev.:   
Bonds:   
(Ohio Health Corp.) Series 2018 B, SIFMA Municipal Swap Index + 0.430% 0.46%, tender 3/4/21 (c)(f) 3,800,000 3,801,002 
(U.S. Health Corp. of Columbus Proj.) Series 2011 B, 5%, tender 5/15/23 (c) 1,160,000 1,275,640 
Series 2016 C, 5% 11/1/23 60,000 67,275 
Gahanna-Jefferson City School District (School Facilities Proj.) Series 2021:   
2% 12/1/22 425,000 437,924 
2% 12/1/23 (d) 355,000 370,769 
Gahanna-Jefferson School District Series 2021, 2% 12/1/21 (FSA Insured) (d) 800,000 810,432 
Hamilton County Convention Facilities Auth. Rev. Series 2014, 5% 12/1/21 45,000 46,032 
Hamilton County HealthCare Facilities Rev. Series 2012:   
5% 6/1/21 400,000 404,448 
5.25% 6/1/26 115,000 120,724 
Miami County Hosp. Facilities Rev. (Kettering Health Network Obligated Group Proj.) Series 2019:   
5% 8/1/24 770,000 886,024 
5% 8/1/25 310,000 367,886 
5% 8/1/26 535,000 652,042 
Miami Univ.:   
Series 2017, 5% 9/1/21 200,000 204,779 
Series 2020 A:   
5% 9/1/21 300,000 307,168 
5% 9/1/22 340,000 364,334 
Montgomery County Hosp. Rev. (Kettering Health Network Obligated Group Proj.)) Series 2021, 5% 8/1/23 485,000 538,913 
Ohio Higher Edl. Facility Commission Rev.:   
(Case Western Reserve Univ. Proj.) Series 2016, 5% 12/1/22 585,000 633,303 
(Xavier Univ. 2020 Proj.) Series 2020, 5% 5/1/24 490,000 554,381 
Ohio Hosp. Facilities Rev. Series 2017 A:   
5% 1/1/22 35,000 36,393 
5% 1/1/23 45,000 48,875 
5% 1/1/24 40,000 45,190 
5% 1/1/25 45,000 52,667 
Ohio Hsg. Fin. Agcy. Residential Mtg. Rev. (Mtg. Backed Securities Prog.) Series 2019 B, 4.5% 3/1/50 45,000 50,732 
Ohio Spl. Oblig. Series 2020 A, 5% 2/1/22 185,000 193,226 
Scioto County Hosp. Facilities Rev.:   
Series 2016:   
5% 2/15/22 25,000 26,080 
5% 2/15/23 45,000 48,902 
5% 2/15/24 35,000 39,423 
5% 2/15/25 35,000 40,709 
5% 2/15/26 405,000 485,226 
Series 2019, 5% 2/15/29 900,000 1,029,933 
Toledo Gen. Oblig. Series 2020:   
3% 12/1/24 510,000 546,001 
3% 12/1/24 425,000 455,001 
Univ. of Akron Gen. Receipts Series 2019 A:   
5% 1/1/24 300,000 336,033 
5% 1/1/25 400,000 461,880 
TOTAL OHIO  35,649,258 
Oklahoma - 0.1%   
Beckham Independent School District#6 Elk City Series 2019, 2% 7/1/21 1,405,000 1,411,199 
Oklahoma County Fin. Auth. Edl. Facilities:   
(Jones Pub. Schools Proj.) Series 2020:   
4% 9/1/21 200,000 203,230 
4% 9/1/22 305,000 319,683 
(Midwest City- Del City School Dis Proj.) Series 2018, 5% 10/1/21 240,000 246,552 
Oklahoma County Independent School District No. 9 Series 2018, 2.5% 6/1/21 1,535,000 1,542,070 
Oklahoma Dev. Fin. Auth. Health Sys. Rev. Series 2020 C, 0.13% 8/15/31 (c) 1,000,000 1,000,000 
Oklahoma Dev. Fin. Auth. Rev.:   
(Oklahoma City Univ. Proj.) Series 2019, 5% 8/1/23 560,000 605,315 
Series 2004 A, 2.375% 12/1/21 (c) 30,000 30,462 
Oklahoma Hsg. Fin. Agcy. Collateralized Bonds Series 2019, 1.6%, tender 1/1/22 185,000 185,672 
Oklahoma Tpk. Auth. Tpk. Rev. Series 2017 D, 5% 1/1/25 105,000 122,846 
Tulsa County Indl. Auth. Edl. Facilities Lease Rev. (Berryhill Pub. School Proj.) Series 2020:   
4% 9/1/24 445,000 488,668 
4% 9/1/25 690,000 770,965 
Univ. of Oklahoma Gen. Rev. Series 2020 B, 4% 7/1/24 490,000 543,675 
TOTAL OKLAHOMA  7,470,337 
Oregon - 0.2%   
Oregon Bus. Dev. Commission Bonds Series 250, 5%, tender 3/1/22 (c)(e) 2,970,000 3,104,001 
Oregon Bus. Dev. Commission Recovery Zone Facility Bonds (Intel Corp. Proj.) Series 232, 2.4%, tender 8/14/23 (c) 770,000 805,497 
Oregon Facilities Auth. Rev.:   
(Legacy Health Proj.) Series 2011 A, 5.25% 5/1/21 255,000 257,048 
Series 2011 C, 5% 10/1/21 300,000 308,422 
Port of Portland Arpt. Rev. Series 26 C:   
5% 7/1/21 (e) 1,815,000 1,842,419 
5% 7/1/22 (e) 1,300,000 1,378,546 
5% 7/1/23 (e) 2,000,000 2,205,760 
5% 7/1/24 (e) 1,000,000 1,141,000 
TOTAL OREGON  11,042,693 
Pennsylvania - 2.3%   
Albert Gallatin Area School District Series 2020 A, 4% 9/1/21 400,000 406,057 
Allegheny County Hosp. Dev. Auth. Rev. Series 2019 A, 5% 7/15/21 200,000 203,513 
Allegheny County Sanitation Auth. Swr. Rev. Series 2020 A, 4% 6/1/24 300,000 333,492 
Bethlehem Area School District Auth. Bonds (School District Rfdg. Proj.) Series 2018 A, 1 month U.S. LIBOR + 0.480% 0.562%, tender 3/4/21 (c)(f) 3,985,000 3,984,635 
Butler Area School District Series 2018, 5% 10/1/22 1,250,000 1,340,300 
Chester County Health & Ed. Auth. Rev. Series 2017, 5% 11/1/21 160,000 160,321 
Chester County Health & Ed. Facilities Auth. Health Sys. Rev. Series C, 3% 9/1/23 245,000 261,006 
Coatesville Area School District Series 2017, 5% 8/1/23 (FSA Insured) 710,000 786,921 
Commonwealth Fing. Auth. Rev.:   
Series 2019 B, 5% 6/1/24 275,000 312,348 
Series 2020 A, 5% 6/1/23 350,000 383,978 
Commonwealth Fing. Auth. Tobacco Series 2018, 5% 6/1/21 1,000,000 1,011,222 
Cumberland County Muni. Auth. Rev. Bonds Series 2014 T1, 3.75%, tender 4/30/22 (c) 1,000,000 1,005,650 
Delaware County Auth. Univ. Rev. Series 2020:   
4% 10/1/22 190,000 199,038 
5% 10/1/23 240,000 263,878 
Delaware Valley Reg'l. Fin. Auth. Local Govt. Rev. Bonds SIFMA Municipal Swap Index + 0.420% 0.45%, tender 9/1/22 (c)(f) 5,000,000 4,990,100 
Easton Area School District Series 2013 A, 5% 4/1/23 705,000 724,585 
Geisinger Auth. Health Sys. Rev.:   
Series 2020 A, 5% 4/1/22 6,075,000 6,384,825 
Series A1, 5% 6/1/22 225,000 227,621 
Hollidaysburg Area School District Series 2020, 4% 7/15/22 500,000 524,840 
Lancaster County Hosp. Auth. Health Ctr. Rev. Series 2016 A, 4% 8/15/22 470,000 495,615 
Laurel Highlands School District Series 2021:   
4% 2/1/24 635,000 689,845 
4% 2/1/25 345,000 382,181 
Lehigh County Gen. Purp. Hosp. Rev. Series 2019 A, 5% 7/1/21 1,000,000 1,015,208 
Lehigh County Indl. Dev. Auth. Poll. Cont. Rev. Bonds:   
(PPL Elec. Utils. Corp. Proj.) Series 2016 A, 1.8%, tender 9/1/22 (c) 1,260,000 1,286,687 
Series B, 1.8%, tender 8/15/22 (c) 985,000 1,005,242 
Monroeville Fin. Auth. UPMC Rev. Series 2012, 5% 2/15/22 290,000 303,100 
Montgomery County Higher Ed. & Health Auth. Rev.:   
Bonds Series 2017, 3%, tender 5/1/21 (c) 1,225,000 1,228,217 
Series 2014 A, 5% 10/1/23 5,000 5,390 
Series 2017, 3% 12/1/21 155,000 156,649 
Series 2019:   
5% 9/1/23 500,000 554,195 
5% 9/1/26 1,250,000 1,519,338 
New Kensington-Arnold School District Series 2019 A:   
4% 5/15/21 940,000 946,906 
4% 5/15/22 975,000 1,015,628 
Northeastern Hosp. & Ed. Auth. Series 2016 A, 5% 3/1/21 110,000 110,000 
Octorara Area School District Chester and Lancaster Counties Series 2020, 4% 4/1/23 700,000 750,750 
Pennsylvania Econ. Dev. Fing. Auth.:   
(Philadelphia Biosolids Facility Proj.) Series 2020, 3% 1/1/22 360,000 365,636 
Series 2020 A:   
5% 4/15/21 350,000 351,987 
5% 4/15/22 500,000 526,530 
Pennsylvania Econ. Dev. Fing. Auth. Indl. Dev. Rev. (The Pennsylvania Rapid Bridge Replacement Proj.) Series 2015, 5% 6/30/22 (e) 1,495,000 1,584,730 
Pennsylvania Econ. Dev. Fing. Auth. Solid Waste Disp. Rev. Bonds:   
(Republic Svcs., Inc. Proj.) Series 2019 A, 0.2%, tender 4/15/21 (c)(e) 1,700,000 1,700,020 
(Waste Mgmt., Inc. Proj.) Series 2013, 0.18%, tender 5/3/21 (c)(e) 5,000,000 4,999,661 
(Waste Mgmt., Inc. Proj.):   
Series 2004 A, 2.625%, tender 11/1/21 (c)(e) 600,000 608,921 
Series 2009, 2.8%, tender 12/1/21 (c) 600,000 611,641 
Series 2017 A, 0.7%, tender 8/2/21 (c)(e) 500,000 500,978 
Series 2011, 2.15%, tender 7/1/24 (c)(e) 445,000 466,956 
0.25%, tender 6/1/44 (c)(e) 3,000,000 3,000,145 
Pennsylvania Gen. Oblig.:   
Series 2011, 5% 7/1/21 300,000 304,826 
Series 2012 1, 5% 6/1/22 355,000 376,399 
Series 2015 1, 5% 8/15/23 580,000 646,497 
Series 2016:   
5% 9/15/21 600,000 615,654 
5% 1/15/22 290,000 302,216 
Pennsylvania Higher Edl. Facilities Auth. Rev.:   
Bonds:   
Series 2014 T3 and T4, 2.875%, tender 4/30/21 (c) 1,000,000 1,000,039 
3%, tender 4/30/22 (c) 1,565,000 1,596,347 
Series 2012 A, 5% 8/15/21 335,000 342,242 
Series 2014:   
5% 12/1/21 5,000 5,181 
5% 12/1/22 20,000 21,677 
Series 2015:   
5% 8/15/21 650,000 664,052 
5% 8/15/22 435,000 465,011 
Pennsylvania Hsg. Fin. Agcy.:   
Bonds:   
Series 2018 127C, 0.652%, tender 10/1/23 (c)(f) 4,000,000 4,005,920 
Series 2019, 1.4%, tender 1/1/23 (c) 4,500,000 4,574,430 
Series 2018 127A, 2.25% 4/1/21 (e) 950,000 951,258 
Pennsylvania Hsg. Fin. Agcy. Multifamily Hsg. Dev. Rev. Bonds Series 2018, 2.45%, tender 7/1/21 (c) 2,000,000 2,014,659 
Pennsylvania Hsg. Fin. Agcy. Single Family Mtg. Rev. Series 114A, 2.9% 10/1/21 (e) 585,000 593,746 
Pennsylvania Indl. Dev. Auth. Rev. Series 2012, 5% 7/1/21 335,000 340,265 
Pennsylvania Pub. School Bldg. Auth. School Rev. (The School District of The City of Harrisburg Proj.) Series 2016 A:   
5% 12/1/21 90,000 93,058 
5% 12/1/21 (Escrowed to Maturity) 20,000 20,712 
Pennsylvania Tpk. Commission Tpk. Rev.:   
Series 2018 A1, SIFMA Municipal Swap Index + 0.430% 0.46% 12/1/21 (c)(f) 3,500,000 3,501,143 
Series 2018 B, SIFMA Municipal Swap Index + 0.500% 0.53% 12/1/21 (c)(f) 3,460,000 3,460,523 
Philadelphia Arpt. Rev.:   
Series 2011 A:   
5% 6/15/21 (e) 1,725,000 1,747,454 
5% 6/15/22 (e) 1,400,000 1,418,144 
5% 6/15/23 (e) 270,000 273,737 
Series 2015 A, 5% 6/15/24 (e) 1,315,000 1,489,948 
Series 2017 A, 5% 7/1/24 40,000 45,597 
Series 2017 B:   
5% 7/1/21 (e) 2,800,000 2,842,109 
5% 7/1/22 (e) 620,000 657,293 
5% 7/1/24 (e) 435,000 493,560 
Series 2020 C:   
5% 7/1/21 (e) 7,500,000 7,612,793 
5% 7/1/22 (e) 2,750,000 2,915,413 
5% 7/1/23 (e) 8,930,000 9,809,248 
Philadelphia Auth. for Indl. Dev. Series 2020 C, 4% 11/1/24 535,000 593,171 
Philadelphia Auth. Indl. Dev. Lease Rev. Series 2019, 5% 10/1/21 500,000 511,426 
Philadelphia Gas Works Rev.:   
Series 15, 5% 8/1/21 25,000 25,488 
Series 2015 13, 5% 8/1/21 1,350,000 1,376,336 
Series 2017 15, 5% 8/1/22 480,000 511,805 
Philadelphia Gen. Oblig. Series 2019 A, 5% 8/1/21 250,000 254,644 
Philadelphia School District Series 2019 A:   
5% 9/1/21 115,000 117,631 
5% 9/1/23 185,000 204,564 
Phoenixville Area School District Gen. Oblig. Series 2016 B, 4% 8/15/21 500,000 508,203 
Pittsburgh & Allegheny County Sports & Exhibition Auth. Series 2020, 4% 2/1/23 (FSA Insured) 1,775,000 1,896,357 
Pittsburgh Wtr. & Swr. Auth. Wtr. & Swr. Sys. Rev.:   
Bonds Series 2017 C, 1 month U.S. LIBOR + 0.640% 0.68%, tender 12/1/23 (FSA Insured) (c)(f) 4,000,000 4,009,040 
Series 2019 A:   
5% 9/1/23 270,000 300,478 
5% 9/1/26 (FSA Insured) 625,000 761,538 
Quakertown Gen. Auth. Health Facilities Series 2017 A, 3.125% 7/1/21 705,000 700,641 
Reading School District Series 2017:   
5% 3/1/21 (FSA Insured) 50,000 50,000 
5% 3/1/25 (FSA Insured) 5,000 5,796 
5% 3/1/26 (FSA Insured) 5,000 5,936 
5% 3/1/27 (FSA Insured) 5,000 6,023 
5% 3/1/28 (FSA Insured) 5,000 6,160 
Southeastern Pennsylvania Trans. Auth. Rev. Series 2020:   
5% 6/1/21 500,000 505,991 
5% 6/1/22 1,000,000 1,060,150 
5% 6/1/23 750,000 828,675 
Westmoreland County Indl. Dev. Auth. (Excela Health Proj.) Series 2020 A:   
4% 7/1/23 350,000 373,279 
4% 7/1/24 450,000 490,725 
TOTAL PENNSYLVANIA  119,991,694 
Rhode Island - 0.1%   
Rhode Is Comm Corp. Spl. Facilities Rev. Series 2018, 5% 7/1/21 685,000 694,608 
Rhode Island Comm Corp. Rev. Series 2016 A:   
5% 6/15/21 350,000 354,792 
5% 6/15/24 1,010,000 1,156,046 
Rhode Island Health & Edl. Bldg. Corp. Higher Ed. Facilities Rev. Series 2016:   
5% 5/15/22 45,000 47,030 
5% 5/15/23 25,000 27,342 
5% 5/15/24 160,000 181,085 
5% 5/15/25 120,000 139,999 
Rhode Island Health & Edl. Bldg. Corp. Pub. Schools Rev. Series 2015, 5% 5/15/25 (FSA Insured) 130,000 152,075 
Rhode Island Hsg. & Mtg. Fin. Corp. Series 2019 70, 4% 10/1/49 105,000 115,859 
Rhode Island Student Ln. Auth. Student Ln. Rev.:   
Series 2019 A, 5% 12/1/28 (e) 490,000 604,351 
Series A, 4% 12/1/26 (e) 540,000 595,102 
Tobacco Settlement Fing. Corp. Series 2015 A:   
5% 6/1/21 555,000 561,270 
5% 6/1/26 75,000 88,331 
5% 6/1/27 20,000 23,446 
TOTAL RHODE ISLAND  4,741,336 
South Carolina - 0.6%   
Charleston County Arpt. District Series 2013 A, 5.25% 7/1/22 (e) 1,235,000 1,313,373 
Lancaster County School District ( South Carolina Gen. Oblig. Proj.) Series 2017, 5% 3/1/22 45,000 47,169 
Laurens County Wtr. & Swr. Cmnty. Wtrwks. Series 2020, 1.375% 2/1/22 (Pre-Refunded to 7/1/21 @ 100) 3,000,000 3,010,244 
Patriots Energy Group Fing. Agcy. Bonds Series 2018 A, 4%, tender 2/1/24 (c) 9,000,000 9,823,230 
Richland County School District #2 Gen. Oblig. (South Carolina Gen. Oblig. Proj.) Series 2015 A, 5% 2/1/23 85,000 92,653 
Scago Edl. Facilities Corp. for Colleton School District (School District of Colleton County Proj.) Series 2015:   
5% 12/1/23 95,000 105,553 
5% 12/1/26 25,000 28,758 
South Carolina Assoc. of Governmental Organizations Ctfs. of Prtn. Series 2020 C, 2% 3/1/21 10,000,000 10,000,000 
South Carolina Hsg. Fin. & Dev. Auth. Mtg. Rev. Series 2019 A, 4% 1/1/50 130,000 145,917 
South Carolina Ports Auth. Ports Rev. Series 2019 B, 5% 7/1/22 (e) 310,000 328,433 
South Carolina Pub. Svc. Auth. Rev.:   
Series 2011 B, 5% 12/1/21 (Escrowed to Maturity) 910,000 942,735 
Series 2014 C:   
5% 12/1/22 25,000 27,037 
5% 12/1/23 110,000 123,659 
Series 2015 A, 5% 12/1/21 (Escrowed to Maturity) 225,000 233,094 
Series 2015 C, 5% 12/1/21 395,000 408,875 
Series A:   
5% 12/1/21 350,000 362,294 
5% 12/1/21 530,000 548,617 
5% 12/1/22 750,000 811,103 
5% 12/1/23 1,015,000 1,141,033 
5% 12/1/23 620,000 696,985 
5% 12/1/24 365,000 424,820 
TOTAL SOUTH CAROLINA  30,615,582 
South Dakota - 0.1%   
South Dakota Board of Regents Hsg. and Auxiliary Facilities Series 2021:   
3% 4/1/22 250,000 257,415 
3% 4/1/23 275,000 289,369 
3% 4/1/24 425,000 456,004 
3% 4/1/25 500,000 544,430 
South Dakota Health & Edl. Facilities Auth. Rev.:   
Series 2014 B:   
4% 11/1/21 10,000 10,246 
5% 11/1/22 10,000 10,776 
Series 2020 A:   
5% 9/1/21 190,000 194,511 
5% 9/1/22 140,000 149,954 
5% 9/1/23 335,000 373,703 
South Dakota Hsg. Dev. Auth. Series 2017 D, 4% 11/1/47 895,000 968,005 
TOTAL SOUTH DAKOTA  3,254,413 
Tennessee - 0.7%   
Greeneville Health & Edl. Facilities Board Series 2018 A, 5% 7/1/22 1,500,000 1,590,225 
Lewisburg Indl. Dev. Board Bonds (Waste Mgmt. Tennessee Proj.) Series 2012, 0.18%, tender 5/3/21 (c)(e) 8,250,000 8,249,441 
Memphis Health, Edl. & Hsg. Facilities Board Bonds Series 2020, 0.25%, tender 12/1/22 (c) 1,250,000 1,251,200 
Metropolitan Nashville Arpt. Auth. Rev.:   
Series 2015 B, 5% 7/1/21 (e) 300,000 304,542 
Series 2019 B, 5% 7/1/25 (e) 1,810,000 2,126,316 
Tennergy Corp. Gas Rev. Bonds Series 2019 A, 5%, tender 10/1/24 (c) 10,650,000 12,229,502 
Tennessee Energy Acquisition Corp.:   
Bonds (Gas Rev. Proj.) Series A, 4%, tender 5/1/23 (c) 10,000,000 10,675,700 
Series 2006 A, 5.25% 9/1/21 1,235,000 1,265,162 
Series 2018, 5% 11/1/22 1,500,000 1,613,025 
TOTAL TENNESSEE  39,305,113 
Texas - 4.5%   
Alamito Pub. Facilities Corp. Bonds:   
(Cramer Three Apts. Proj.) Series 2018, 2.5%, tender 5/1/21 (c) 5,000,000 5,018,164 
Series 2019, 1.51%, tender 5/1/22 (c) 6,000,000 6,040,800 
Aledo Independent School District Series 2015, 0% 2/15/24 25,000 24,634 
Atascosa County Indl. Dev. Corp. Poll. Cont. Rev. Series 2020:   
5% 12/15/21 975,000 1,007,328 
5% 12/15/23 450,000 499,572 
5% 12/15/24 550,000 628,265 
Austin Affordable Pfc, Inc. Multifamily Hsg. Rev. Bonds Series 2019, 1.46%, tender 6/1/22 (c) 700,000 710,549 
Austin Arpt. Sys. Rev.:   
Series 2014, 5% 11/15/26 (e) 715,000 824,981 
Series 2019 B, 5% 11/15/22 (e) 600,000 646,680 
Series 2019:   
5% 11/15/21 (e) 2,505,000 2,586,133 
5% 11/15/22 (e) 585,000 630,513 
5% 11/15/23 (e) 500,000 559,425 
5% 11/15/24 (e) 515,000 595,242 
Austin Elec. Util. Sys. Rev. Series 2015 A, 5% 11/15/21 200,000 206,839 
Austin Gen. Oblig. Series 2019, 5% 5/1/25 780,000 923,341 
Austin-Bergstrom Landhost Ente Series 2017, 5% 10/1/21 280,000 285,377 
Burleson Independent School District Bonds Series 2018, 2.5%, tender 8/1/22 (c) 5,000,000 5,164,450 
Cap. Area Hsg. Fin. Corp. Multi-family Hsg. Rev. Bonds Series 2019, 2.1%, tender 9/1/22 (c) 2,800,000 2,818,424 
Central Reg'l. Mobility Auth.:   
Series 2016:   
5% 1/1/22 35,000 36,301 
5% 1/1/23 55,000 59,462 
5% 1/1/24 75,000 84,301 
5% 1/1/26 75,000 89,313 
Series 2020 B:   
5% 1/1/22 155,000 160,760 
5% 1/1/23 220,000 237,846 
5% 1/1/25 125,000 144,850 
5% 1/1/26 125,000 148,855 
Series 2020 F, 5% 1/1/25 2,000,000 2,276,680 
Clear Creek Independent School District Series 2019, 5% 2/15/25 500,000 587,955 
Coastal Bend Health Facilities Dev. Corp. Series 2005 B2, 0.14%, tender 7/1/31 (FSA Insured) (c) 3,825,000 3,825,000 
Corpus Christi Gen. Oblig. Series 2015, 5% 3/1/24 1,955,000 2,224,849 
Cypress-Fairbanks Independent School District Bonds:   
Series 2015 B2, 2.125%, tender 8/16/21 (c) 4,000,000 4,035,962 
Series 2017 A-2, 1.25%, tender 8/15/22 (c) 3,000,000 3,046,980 
Series 2017 A1, 2.125%, tender 8/16/21 (c) 7,030,000 7,093,203 
Dallas Fort Worth Int'l. Arpt. Rev.:   
Series 2012 C, 5% 11/1/21 305,000 314,645 
Series 2013 A, 5% 11/1/28 (e) 1,000,000 1,071,880 
Series 2013 F:   
5% 11/1/21 75,000 77,372 
5% 11/1/22 240,000 258,874 
Series 2014 A:   
4% 11/1/23 (e) 200,000 217,898 
5.25% 11/1/26 (e) 400,000 449,896 
Series 2014 B:   
5% 11/1/22 (e) 100,000 107,603 
5% 11/1/29 (e) 515,000 551,395 
Series 2014 C:   
5% 11/1/21 250,000 257,906 
5% 11/1/22 550,000 593,252 
Series 2014 D, 5% 11/1/21 (e) 2,515,000 2,591,956 
Series 2014 E, 5% 11/1/21 365,000 376,542 
Series 2020 A, 5% 11/1/23 2,250,000 2,522,813 
Series 2020 B:   
5% 11/1/21 4,030,000 4,157,437 
5% 11/1/22 3,000,000 3,235,920 
Dallas Gen. Oblig. Series 2020 A:   
5% 2/15/23 2,020,000 2,204,709 
5% 2/15/24 1,000,000 1,135,190 
Dallas Independent School District Bonds:   
Series 2016, 5%, tender 2/15/22 (c) 5,000 5,229 
Series B6:   
5%, tender 2/15/22 (c) 100,000 104,586 
5%, tender 2/15/22 (c) 100,000 104,596 
Denton Independent School District Series 2016, 0% 8/15/25 35,000 33,957 
El Paso Independent School District Bonds Series 2020, 2.5%, tender 8/1/21 (c) 2,500,000 2,524,298 
Fort Bend County Muni. Util. District Series 2021, 2% 4/1/24 (d) 750,000 782,798 
Fort Bend Independent School District Bonds:   
Series 2019 A, 1.95%, tender 8/1/22 (c) 5,585,000 5,725,351 
Series 2020 B, 0.875%, tender 8/1/25 (c) 2,725,000 2,723,638 
Series D, 1.5%, tender 8/1/21 (c) 70,000 70,391 
Fort Worth Gen. Oblig.:   
Series 2015 A, 5% 3/1/23 35,000 38,295 
Series 2019, 5% 3/1/24 4,520,000 5,138,110 
Fort Worth Independent School District Series 2015, 5% 2/15/22 35,000 36,619 
Goose Creek Consolidated Independent School District Bonds Series 2019 B, 0.27%, tender 10/1/21 (c) 3,000,000 3,002,088 
Harris County Cultural Ed. Facilities Fin. Corp. Med. Facilities Rev.:   
(Baylor College of Medicine Proj.) Series 2012 A, 5% 11/15/37 (Pre-Refunded to 11/15/22 @ 100) 435,000 470,396 
Series 2012 A, 5% 11/15/21 (Escrowed to Maturity) 200,000 206,767 
Series 2016, 5% 11/15/21 895,000 923,600 
Harris County Cultural Ed. Facilities Fin. Corp. Rev.:   
Bonds:   
Series 2019 B, 5%, tender 12/1/22 (c) 5,000,000 5,399,550 
Series 2019 C, SIFMA Municipal Swap Index + 0.420% 0.45%, tender 12/1/22 (c)(f) 3,250,000 3,239,210 
Series 2020 A, 0.9%, tender 5/15/25 (c) 1,770,000 1,771,398 
Series 2020 C, 5%, tender 12/1/22 (c) 6,180,000 6,690,839 
Series 2013 A, 5% 12/1/21 450,000 465,980 
Series 2013 B, SIFMA Municipal Swap Index + 0.900% 0.93% 6/1/22 (c)(f) 600,000 602,400 
Series 2014 A, 5% 12/1/26 120,000 138,442 
Series 2019 A, 5% 12/1/21 2,310,000 2,392,030 
Series 2020, 5% 6/1/22 1,000,000 1,058,980 
Harris County Gen. Oblig. Series 2012 B, 1.45% 8/15/21 (c) 4,075,000 4,098,969 
Harris County Health Facilities Dev. Corp. Rev.:   
Series 2005 A4, 0.14%, tender 7/1/31 (FSA Insured) (c) 1,150,000 1,150,000 
Series A3, 0.14%, tender 7/1/31 (FSA Insured) (c) 3,000,000 3,000,000 
Houston Arpt. Sys. Rev.:   
Series 2011 A, 5% 7/1/22 (Pre-Refunded to 7/1/21 @ 100) (e) 410,000 416,248 
Series 2012 A:   
5% 7/1/21 (e) 300,000 304,573 
5% 7/1/23 (Pre-Refunded to 7/1/22 @ 100) (e) 235,000 249,361 
Series 2012 B:   
5% 7/1/21 655,000 665,316 
5% 7/1/27 (Pre-Refunded to 7/1/22 @ 100) 4,000,000 4,255,560 
Series 2018 A:   
5% 7/1/21 (e) 275,000 279,192 
5% 7/1/22 (e) 860,000 912,443 
Series 2018 B, 5% 7/1/22 720,000 765,396 
Series 2018 C, 5% 7/1/21 (e) 635,000 644,679 
Series 2020 A, 5% 7/1/23 (e) 1,000,000 1,101,900 
Series A:   
5% 7/1/21 (e) 475,000 482,240 
5% 7/1/21 (Escrowed to Maturity) (e) 200,000 203,048 
Houston Independent School District Bonds:   
Series 2012:   
2.4%, tender 6/1/21 (c) 2,985,000 3,001,591 
4%, tender 6/1/23 (c) 1,000,000 1,079,710 
Series 2013 B, 2.4%, tender 6/1/21 (c) 3,100,000 3,117,230 
Houston Util. Sys. Rev.:   
Bonds Series 2018 C, 1 month U.S. LIBOR + 0.360% 0.442%, tender 3/4/21 (c)(f) 8,245,000 8,245,401 
Series 2014 C, 4% 5/15/21 415,000 418,263 
Irving Hosp. Auth. Hosp. Rev. Series 2017 A, 5% 10/15/21 65,000 66,872 
Jacksonville Independent School District Series 2020, 5% 2/15/24 1,915,000 2,172,682 
Katy Independent School District Bonds Series 2015 C, 1 month U.S. LIBOR + 0.280% 0.352%, tender 3/15/21 (c)(f) 4,800,000 4,800,061 
Klein Independent School District Series 2015 A, 5% 8/1/24 225,000 259,565 
Leander Independent School District Series 2013 A:   
0% 8/15/21 550,000 549,577 
0% 8/15/23 1,000,000 990,380 
Love Field Arpt. Modernization Rev.:   
Series 2015, 5% 11/1/23 (e) 375,000 417,608 
Series 2017:   
5% 11/1/23 (e) 100,000 111,362 
5% 11/1/24 (e) 750,000 861,983 
Lower Colorado River Auth. Rev.:   
(LCRA Transmission Corp. Proj.) Series 2011 B, 5% 5/15/23 465,000 469,538 
(LCRA Transmission Svc. Corp. Proj.) Series 2019, 5% 5/15/21 500,000 504,945 
(LCRA Transmission Svcs. Corp. Proj.):   
Series 2019 A, 5% 5/15/21 1,335,000 1,348,202 
Series 2019:   
5% 5/15/23 1,070,000 1,180,659 
5% 5/15/24 300,000 343,125 
Series 2020:   
5% 5/15/21 1,265,000 1,277,510 
5% 5/15/22 1,000,000 1,058,380 
5% 5/15/23 215,000 237,235 
5% 5/15/24 550,000 629,063 
Mansfield Independent School District Series 2016, 5% 2/15/24 110,000 124,697 
Midland County Pub. Facilities Corp. Bonds Series 2020, 0.35%, tender 6/1/23 (c) 2,000,000 2,001,340 
Mission Econ. Dev. Corp. Solid Waste Disp. Rev. Bonds:   
(Republic Svcs., Inc. Proj.) Series 2008 A, 0.18%, tender 5/3/21 (c)(e) 8,000,000 7,999,458 
(Waste Mgmt., Inc. Proj.) Series 2020 B, 0.25%, tender 7/1/40 (c)(e) 10,000,000 10,000,000 
New Caney Independent School District Bonds Series 2018, 3%, tender 8/15/21 (c) 1,090,000 1,104,055 
Newark Higher Ed. Fin. Corp. (Abilene Christian Univ. Proj.) Series 2016 A, 5% 4/1/26 55,000 65,225 
North East Texas Independent School District Bonds Series 2013 B, 1.42%, tender 8/1/21 (c) 285,000 286,497 
North Harris County Reg'l. Wtr. Auth. Series 2013, 4% 12/15/22 35,000 37,279 
North Texas Tollway Auth. Rev.:   
Series 2016 A:   
5% 1/1/22 200,000 207,859 
5% 1/1/23 250,000 270,953 
Series 2017 A, 5% 1/1/24 605,000 656,619 
Series 2019 A:   
5% 1/1/22 285,000 296,200 
5% 1/1/23 325,000 352,238 
Northside Independent School District Bonds:   
Series 2016, 2%, tender 6/1/21 (c) 3,205,000 3,219,647 
Series 2020, 0.7%, tender 6/1/25 (c) 5,000,000 4,978,350 
Odessa Hsg. Fin. Corp. Multifamily Hsg. Rev. Bonds Series 2020, 0.35%, tender 3/1/23 (c) 2,500,000 2,501,350 
Prosper Independent School District Bonds Series 2019 B, 2%, tender 8/15/23 (c) 1,000,000 1,038,150 
San Antonio Arpt. Sys. Rev. Series 2019 A:   
5% 7/1/21 (e) 640,000 649,755 
5% 7/1/21 (e) 1,330,000 1,350,272 
5% 7/1/22 (e) 275,000 291,770 
5% 7/1/22 (e) 265,000 281,160 
5% 7/1/23 (e) 195,000 214,773 
5% 7/1/25 (e) 400,000 469,716 
5% 7/1/26 (e) 500,000 604,840 
San Antonio Elec. & Gas Sys. Rev.:   
Bonds Series 2015 B, 2%, tender 12/1/21 (c) 3,550,000 3,565,692 
Series 2012, 5% 2/1/22 660,000 689,222 
San Antonio Hsg. Trust Fin. Corp. Bonds Series 2019, 1.4%, tender 1/1/22 (c) 5,000,000 5,038,908 
San Antonio Pub. Facilities Corp. and Rfdg. Lease (Convention Ctr. Proj.) Series 2012:   
5% 9/15/21 20,000 20,479 
5% 9/15/22 75,000 80,110 
San Antonio Wtr. Sys. Rev. Bonds:   
Series 2013 F, 2%, tender 11/1/21 (c) 1,000,000 1,011,868 
Series 2014 B, 2%, tender 11/1/22 (c) 120,000 123,505 
Tarrant County Cultural Ed. Facilities Fin. Corp. Hosp. Rev. (Scott & White Healthcare Proj.) Series 2013 A:   
5% 8/15/21 (Escrowed to Maturity) 15,000 15,327 
5% 8/15/23 (Escrowed to Maturity) 20,000 22,295 
Tarrant County Cultural Ed. Facilities Fin. Corp. Rev.:   
Series 2016 A:   
5% 2/15/25 345,000 402,587 
5% 2/15/26 35,000 42,008 
Series 2017 A, 5% 2/15/24 195,000 220,192 
Texas Gen. Oblig. Bonds:   
Series 2019 C2, 1.85%, tender 8/1/22 (c) 115,000 115,092 
Series 2019 E2, 2.25%, tender 3/8/21 (c) 420,000 420,143 
Texas Muni. Gas Acquisition And Supply Corp. Series 2021:   
5% 12/15/21 1,520,000 1,575,675 
5% 12/15/22 1,250,000 1,350,638 
5% 12/15/23 3,450,000 3,869,624 
Texas State Univ. Sys. Fing. Rev. Series 2019 A:   
4% 3/15/21 2,000,000 2,002,764 
5% 3/15/24 250,000 284,748 
Texas Wtr. Dev. Board Rev. Series 2019 A, 5% 4/15/21 850,000 854,952 
Tomball Independent School District Bonds Series 2014 B2, 2.125%, tender 8/15/21 (c) 1,000,000 1,008,990 
Trinity River Auth. Reg'l. Wastewtr. Sys. Rev. Series 2016, 5% 8/1/23 35,000 38,971 
Univ. of Texas Board of Regents Sys. Rev.:   
Series 2016 J, 5% 8/15/25 1,000,000 1,193,010 
Series 2017 C, 5% 8/15/21 1,945,000 1,987,950 
Weatherford Util. Sys. Rev. Series 2015, 5% 9/1/21 (FSA Insured) 250,000 256,037 
TOTAL TEXAS  233,860,727 
Utah - 0.0%   
Intermountain Pwr. Agcy. Pwr. Supply Rev. Series 2018 A, 5% 7/1/21 700,000 711,143 
Salt Lake City Arpt. Rev. Series 2018 A, 5% 7/1/23 (e) 250,000 275,290 
Utah County Hosp. Rev. Bonds Series 2018 B2, 5%, tender 8/1/24 (c) 135,000 152,696 
Utah Infrastructure Agcy. Series 2021, 3% 10/15/24 500,000 537,930 
TOTAL UTAH  1,677,059 
Vermont - 0.0%   
Vermont Student Assistant Corp. Ed. Ln. Rev.:   
Series 2017 A, 5% 6/15/23 (e) 700,000 767,529 
Series 2020 A, 5% 6/15/27 (e) 665,000 794,974 
TOTAL VERMONT  1,562,503 
Virginia - 1.1%   
Arlington County IDA Hosp. Facilities Series 2020:   
5% 7/1/23 340,000 375,482 
5% 7/1/24 425,000 486,136 
Charles City County Solid Wt Rev. Bonds Series 2002, 3%, tender 4/1/21 (c)(e) 5,750,000 5,762,862 
Charles City County Econ. Dev. Auth. Solid Waste Disp. Rev. Bonds (Waste Mgmt., Inc. Proj.) Series 2003 A, 2.4%, tender 5/2/22 (c)(e) 1,750,000 1,789,253 
Chesapeake Bay Bridge and Tunnel District Gen. Resolution Rev. Series 2019, 5% 11/1/23 2,000,000 2,223,860 
Chesapeake Trans. Sys. Toll Road Rev. Series 2012 A, 5% 7/15/21 10,000 10,162 
Fairfax County Indl. Dev. Auth. Bonds (Inova Health Sys. Proj.) Series 2018 B, 5%, tender 5/15/23 (c) 1,200,000 1,322,700 
Fredericksburg Econ. Dev. Auth. Rev. Series 2014, 5% 6/15/24 50,000 56,670 
Halifax County Indl. Dev. Auth. Bonds (Virginia Elec. and Pwr. Co. Proj.) Series 2010 A, 0.45%, tender 4/1/22 (c) 6,185,000 6,185,000 
Hampton Roads Trans. Accountability Commission Series 2019 A, 5% 7/1/22 14,500,000 15,408,280 
King George County Indl. Dev. Auth. Solid Waste Disp. Fac. Rev. (King George Landfill, Inc. Proj.) Series 2003 A, 2.5% 6/1/23 (c)(e) 735,000 766,965 
Louisa Indl. Dev. Auth. Poll. Cont. Rev. Bonds (Virginia Elec. and Pwr. Co. Proj.):   
Series 2008 A, 1.9%, tender 6/1/23 (c) 2,500,000 2,561,925 
Series 2008 B, 0.75%, tender 9/2/25 (c) 4,000,000 3,972,600 
Series 2008 C, 1.8%, tender 4/1/22 (c) 1,600,000 1,623,248 
Russell County Poll. Cont. (Appalachian Pwr. Co. Proj.) Series K 4.625% 11/1/21 250,000 250,827 
Spotsylvania County Econ. Dev. Bonds (Palmers Creek Apt. Proj.) Series 2019, 1.45%, tender 5/26/21 (c) 5,000,000 5,051,055 
Stafford County Econ. Dev. Auth. Hosp. Facilities Rev. Series 2016:   
5% 6/15/24 25,000 28,335 
5% 6/15/25 20,000 23,353 
5% 6/15/26 35,000 41,989 
Sussex County Indl. Dev. Auth. Solid Waste Disp. Rev. Bonds Series 2003 A, 2.4%, tender 5/2/22 (c)(e) 805,000 823,056 
Virginia Hsg. Dev. Auth. Series 2021, 1.55% 11/1/21 420,000 423,395 
Virginia Pub. Bldg. Auth. Pub. Facilities Rev.:   
Series 2020 A, 5% 8/1/22 1,940,000 2,072,832 
Series 2020 B, 5% 8/1/21 2,625,000 2,677,876 
Virginia Small Bus. Fing. Auth. Series 2020 A:   
5% 1/1/22 900,000 934,366 
5% 1/1/23 400,000 432,288 
Virginia Small Bus. Fing. Auth. Health Care Facilities Rev. Series 2020, 4% 11/1/21 300,000 307,579 
Wise County Indl. Dev. Auth. Waste & Sewage Rev. Bonds (Virginia Elec. and Pwr. Co. Proj.):   
Series 2009 A, 0.75%, tender 9/2/25 (c) 1,000,000 990,990 
Series 2010 A, 1.2%, tender 5/31/24 (c) 2,075,000 2,097,638 
York County Econ. Dev. Auth. Poll. Cont. Rev. Bonds (Virginia Elec. and Pwr. Co. Proj.) Series 2009 A, 1.9%, tender 6/1/23 (c) 300,000 307,404 
TOTAL VIRGINIA  59,008,126 
Washington - 1.6%   
Central Puget Sound Reg'l. Trans. Auth. Sales & Use Tax Rev. Bonds Series 2015 S2A, SIFMA Municipal Swap Index + 0.300% 0.33%, tender 3/4/21 (c)(f) 20,000,000 20,000,220 
King County Hsg. Auth. Rev.:   
Series 2018, 3.5% 5/1/21 500,000 502,635 
Series 2019:   
3% 11/1/23 1,175,000 1,253,349 
4% 11/1/24 135,000 151,860 
Series 2020:   
3% 6/1/21 400,000 402,686 
3% 6/1/22 250,000 258,080 
3% 6/1/23 400,000 421,564 
3% 6/1/25 275,000 298,771 
King County Swr. Rev.:   
Bonds:   
Series 2012, 2.6%, tender 3/1/21 (c) 3,600,000 3,600,000 
Series 2020 B, 0.875%, tender 1/1/26 (c) 2,000,000 1,995,900 
Series B, 5% 7/1/25 1,885,000 2,168,297 
Port of Seattle Gen. Oblig. Series 2011, 5.25% 12/1/21 (e) 300,000 303,726 
Port of Seattle Rev.:   
Series 2012 A, 5% 8/1/22 400,000 426,740 
Series 2012 B:   
5% 8/1/21 (e) 500,000 509,521 
5% 8/1/23 (e) 1,345,000 1,431,322 
Series 2015 B, 5% 3/1/21 355,000 355,000 
Series 2015 C, 5% 4/1/21 (e) 540,000 542,001 
Series 2016 B:   
5% 10/1/21 (e) 60,000 61,602 
5% 10/1/22 (e) 70,000 75,057 
5% 10/1/23 (e) 65,000 72,350 
Series 2017 C, 5% 5/1/22 (e) 5,540,000 5,834,950 
Series 2017 D, 5% 5/1/21 (e) 250,000 251,885 
Series 2018 A, 5% 5/1/22 (e) 11,475,000 12,085,929 
Series 2019:   
5% 4/1/21 (e) 1,000,000 1,003,706 
5% 4/1/22 (e) 790,000 829,145 
5% 4/1/23 (e) 615,000 669,883 
Port of Seattle Spl. Facility Rev. Series 2013, 5% 6/1/22 (e) 500,000 528,715 
Seattle Muni. Lt. & Pwr. Rev. Bonds Series 2018 B2, SIFMA Municipal Swap Index + 0.290% 0.32%, tender 3/4/21 (c)(f) 10,000,000 10,000,483 
Tacoma Elec. Sys. Rev. Series 2017:   
5% 1/1/22 15,000 15,604 
5% 1/1/25 25,000 29,228 
5% 1/1/26 35,000 42,250 
Tobacco Settlement Auth. Rev. Series 2018, 5% 6/1/22 375,000 396,450 
Washington Gen. Oblig.:   
(SR 520 Corridor Prog.) Series 2012 C, 5% 6/1/24 200,000 202,356 
Series R 2015 E, 5% 7/1/21 310,000 314,998 
Series R 2017 A, 5% 8/1/21 200,000 204,037 
Series R 2020 C:   
5% 7/1/21 1,000,000 1,016,121 
5% 7/1/22 2,500,000 2,661,450 
Washington Health Care Facilities Auth. Rev.:   
(Providence Health Systems Proj.) Series 2012 A, 5% 10/1/24 250,000 267,973 
(Virginia Mason Med. Ctr. Proj.) Series 2017:   
5% 8/15/25 205,000 238,380 
5% 8/15/26 115,000 137,055 
5% 8/15/27 50,000 60,827 
Bonds:   
Series 2012 B, 5%, tender 10/1/21 (c) 450,000 462,392 
Series 2019 B, 5%, tender 8/1/24 (c) 1,095,000 1,218,987 
Series 2011 B, 3.5% 10/1/21 475,000 484,202 
Series 2012 A, 5% 10/1/22 445,000 478,838 
Series 2015 B, 5% 8/15/23 600,000 667,536 
Series 2015, 5% 7/1/24 1,250,000 1,420,488 
Series 2018 B, 5% 10/1/25 1,220,000 1,452,837 
Washington Hsg. Fin. Commission Multi-family Hsg. Rev. (Columbia Park Apts. Proj.) Series 2019, 1.39%, tender 7/1/21 (c) 5,000,000 5,019,149 
TOTAL WASHINGTON  82,826,535 
West Virginia - 0.3%   
Harrison County Commission Solid Waste Disp. Rev. Bonds (Monongahela Pwr. Co. Proj.) Series 2018 A, 3%, tender 10/15/21 (c)(e) 6,900,000 6,975,598 
Mason Co. Poll. Cont. Rev. (Appalachian Pwr. Co. Proj.) Series 2003 L, 2.75% 10/1/22 3,245,000 3,370,095 
West Virginia Econ. Dev. Auth. Solid Waste Disp. Facilities Rev. Bonds:   
(Appalachian Pwr. Co. - Amos Proj.) Series 2015 A, 2.55%, tender 4/1/24 (c) 225,000 236,871 
(Appalachian Pwr. Co. Amos Proj.) Series 2010 A, 0.625%, tender 12/15/25 (c) 2,000,000 1,976,820 
West Virginia Hosp. Fin. Auth. Hosp. Rev. Series 2016 A:   
5% 6/1/22 2,195,000 2,321,608 
5% 6/1/24 1,490,000 1,697,006 
West Virginia Hsg. Dev. Fund Series 2017 A, 2.4% 11/1/22 (e) 960,000 984,538 
TOTAL WEST VIRGINIA  17,562,536 
Wisconsin - 0.7%   
Crosse Resources Recovery Rev. Series 1996, 6% 11/1/21 (e) 1,500,000 1,553,163 
Milwaukee County Arpt. Rev.:   
Series 2013 A:   
5% 12/1/22 (e) 30,000 32,356 
5.25% 12/1/23 (e) 35,000 39,308 
Series 2016 A, 5% 12/1/22 (e) 1,000,000 1,078,540 
Series 2021, 5% 12/1/21 300,000 310,515 
Milwaukee Gen. Oblig. Series 2020 N4, 5% 4/1/22 2,125,000 2,231,718 
Pub. Fin. Auth. Series 2020 A, 5% 1/1/25 300,000 345,795 
Pub. Fin. Auth. Hosp. Rev. Series 2020 A:   
5% 6/1/23 345,000 379,797 
5% 6/1/24 675,000 769,946 
5% 6/1/25 375,000 441,326 
5% 6/1/26 300,000 363,144 
Pub. Fin. Auth. Solid Waste Bonds (Waste Mgmt., Inc. Proj.) Series 2017 A-2, 0.18%, tender 5/3/21 (c)(e) 6,750,000 6,749,542 
Racine Unified School District Series 2021:   
2% 4/1/22 175,000 178,283 
2% 4/1/23 225,000 232,675 
2% 4/1/24 475,000 496,959 
2% 4/1/25 600,000 632,736 
Wisconsin Health & Edl. Facilities:   
(Agnesian Healthcare Proj.) Series 2017, 5% 7/1/21 100,000 101,538 
Bonds:   
(Ascension Health Cr. Group Proj.) Series 2013 B, 5%, tender 6/1/21 (c) 2,205,000 2,231,251 
Series 2018 B:   
5%, tender 1/26/22 (c) 5,710,000 5,944,917 
5%, tender 1/29/25 (c) 155,000 180,953 
Series 2018 C, SIFMA Municipal Swap Index + 0.450% 0.48%, tender 7/27/22 (c)(f) 3,885,000 3,888,613 
Series 2018 C3, SIFMA Municipal Swap Index + 0.550% 0.58%, tender 7/26/23 (c)(f) 4,000,000 4,007,320 
Series 2014 A, 5% 11/15/21 325,000 335,667 
Series 2014, 5% 5/1/21 15,000 15,104 
Series 2016 A, 5% 11/15/21 480,000 496,275 
Series 2018, 5% 4/1/26 195,000 235,743 
Series 2019 A:   
5% 11/15/22 200,000 216,310 
5% 12/1/23 35,000 39,233 
5% 12/1/24 100,000 115,543 
5% 12/1/25 125,000 148,828 
5% 12/1/26 200,000 243,868 
Series 2019, 5% 10/1/21 400,000 410,563 
Series 2020, 4% 7/1/21 820,000 829,490 
Wisconsin Health & Edl. Facilities Auth. Series 2014 A, 5% 12/1/24 775,000 895,861 
Wisconsin Health & Edl. Facilities Auth. Rev. Series 2012, 5% 10/1/21 30,000 30,792 
TOTAL WISCONSIN  36,203,672 
Wyoming - 0.2%   
Laramie County Hosp. Rev. (Cheyenne Reg'l. Med. Ctr. Proj.) Series 2021:   
4% 5/1/22 775,000 809,030 
4% 5/1/23 250,000 269,695 
4% 5/1/25 250,000 283,560 
Wyoming Cmnty. Dev. Auth. Hsg. Rev.:   
Bonds Series 2018 4, SIFMA Municipal Swap Index + 0.320% 0.35%, tender 3/4/21 (c)(f) 5,000,000 4,999,880 
Series 2020 3:   
5% 12/1/21 (e) 565,000 584,629 
5% 6/1/22 (e) 280,000 295,756 
5% 6/1/23 (e) 955,000 1,044,780 
TOTAL WYOMING  8,287,330 
TOTAL MUNICIPAL BONDS   
(Cost $2,162,482,713)  2,177,096,687 
Municipal Notes - 23.8%   
Alabama - 0.3%   
East Alabama Health Care Auth. Series 2012 B, 0.15% 3/5/21, VRDN (c) 5,000,000 $5,000,000 
Health Care Auth. for Baptist Health Series 2013 B, 0.16% 3/5/21, VRDN (c) 6,705,000 6,705,000 
Huntsville Health Care Auth. Participating VRDN Series XG 03 01, 0.07% 3/5/21 (Liquidity Facility Bank of America NA) (c)(g)(h) 5,000,000 5,000,000 
TOTAL ALABAMA  16,705,000 
Alaska - 0.1%   
Anchorage Gen. Oblig. TAN Series 2021, 1.5% 12/15/21 6,000,000 6,064,577 
Arizona - 0.2%   
Arizona St Indl. Dev. Auth. Multi Participating VRDN Series XF 10 91, 0.36% 3/5/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(e)(g)(h) 950,000 950,000 
Maricopa County Poll. Cont. Rev. Series 2010 B, 0.11% 3/5/21, VRDN (c) 2,800,000 2,800,000 
Maricopa County Rev. Participating VRDN Series Floaters YX 10 32, 0.06% 3/5/21 (Liquidity Facility Barclays Bank PLC) (c)(g)(h) 2,545,000 2,545,000 
Phoenix Civic Impt. Board Arpt. Rev. Participating VRDN Series XM 08 23, 0.21% 3/5/21 (Liquidity Facility Morgan Stanley Bank, West Valley City Utah) (c)(g)(h) 1,300,000 1,300,000 
Pima County Indl. Dev. Auth. Multi-family Hsg. Rev. Participating VRDN Series XF 10 96, 0.33% 3/5/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(g)(h) 200,000 200,000 
TOTAL ARIZONA  7,795,000 
California - 2.2%   
California Edl. Facilities Auth. Rev. Series 2020, 0.21% 3/3/21, CP 1,500,000 1,500,041 
California Health Facilities Fing. Auth. Rev. Participating VRDN Series Floaters XG 01 75, 0.18% 3/5/21 (Liquidity Facility Bank of America NA) (c)(g)(h) 4,825,000 4,825,000 
California Muni. Fin. Auth. Participating VRDN Series DBE 80 61, 0.56% 3/5/21 (Liquidity Facility Deutsche Bank AG) (c)(g)(h) 2,500,000 2,500,000 
California Statewide Cmntys. Dev. Auth. Rev. Series 2008 B:   
0.07% tender 4/1/21, CP mode 600,000 600,000 
0.11% tender 7/8/21, CP mode 4,100,000 4,100,000 
Contra Costa County Schools TRAN Series A, 2% 12/1/21 2,000,000 2,023,330 
Los Angeles County Gen. Oblig. TRAN Series A, 4% 6/30/21 15,000,000 15,193,278 
Los Angeles County Schools Pooled Fing. Prog. Ctfs. of Prtn. TRAN Series B:   
2% 12/30/21 2,500,000 2,537,953 
2% 12/30/21 2,915,000 2,959,498 
Los Angeles Gen. Oblig. TRAN Series 2020, 4% 6/24/21 15,000,000 15,183,053 
River Islands Pub. Fing. Auth. Participating VRDN Series MIZ 90 26, 0.33% 4/2/21 (Liquidity Facility Mizuho Cap. Markets Llc) (c)(g)(h)(i) 4,300,000 4,300,000 
Riverside County Gen. Oblig. TRAN Series 2020, 4% 6/30/21 5,000,000 5,063,752 
Riverside County Ind. Dev. Auth. Ind. Dev. Rev. Series 1999, 0.09% 3/5/21, LOC JPMorgan Chase Bank, VRDN (c)(e) 300,000 300,000 
Sacramento Gen. Oblig. Participating VRDN Series XG 00 67, 0.1% 3/5/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(g)(h) 1,500,000 1,500,000 
San Diego Unified School District TRAN Series 2020, 5% 6/30/21 3,280,000 3,332,878 
San Francisco City & County Series A1, 0.12% 4/7/21, LOC Bank of America NA, CP 4,000,000 4,000,088 
San Francisco City & County Arpts. Commission Int'l. Arpt. Rev.:   
Participating VRDN:   
Series Floaters XM 06 75, 0.21% 3/5/21 (Liquidity Facility Morgan Stanley Bank, West Valley City Utah) (c)(e)(g)(h) 1,850,000 1,850,000 
Series XM 09 16, 0.17% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(e)(g)(h) 2,200,000 2,200,000 
Series 2010 A1, 0.05% 3/5/21, LOC Bank of America NA, VRDN (c)(e) 16,000,000 16,000,000 
Series 2010 A2, 0.05% 3/5/21, LOC Bank of America NA, VRDN (c)(e) 4,000,000 4,000,000 
San Francisco City & County Multi-family Hsg. Rev. Participating VRDN Series MIZ 90 63, 0.28% 4/2/21 (Liquidity Facility Mizuho Cap. Markets Llc) (c)(g)(h) 16,325,000 16,325,000 
Transbay Joint Powers Auth. Participating VRDN Series YX 11 42, 0.11% 3/5/21 (Liquidity Facility Barclays Bank PLC) (c)(g)(h) 500,000 500,000 
Univ. of California Revs. Participating VRDN Series Floaters XM 04 34, 0.05% 3/5/21 (Liquidity Facility Barclays Bank PLC) (c)(g)(h) 5,800,000 5,800,000 
TOTAL CALIFORNIA  116,593,871 
Colorado - 1.3%   
Colorado Ed. Ln. Prog. TRAN Series 2020 A:   
3% 6/29/21 8,000,000 8,075,740 
4% 6/29/21 12,000,000 12,152,922 
Colorado Edl. & Cultural Facilities Auth. Rev. (Mesivta of Greater Los Angeles Proj.) Series 2005, 0.38% 3/5/21, LOC Deutsche Bank AG, VRDN (c) 675,000 675,000 
Colorado Gen. Fdg. Rev. TRAN Series 2020, 4% 6/25/21 20,000,000 20,246,230 
Colorado Hsg. & Fin. Auth. Series D, 0.06% 3/5/21 (Liquidity Facility Royal Bank of Canada), VRDN (c)(e) 2,500,000 2,500,000 
Denver City & County Arpt. Rev. Participating VRDN:   
Series Floaters XL 00 90, 0.21% 3/5/21 (Liquidity Facility Morgan Stanley Bank, West Valley City Utah) (c)(e)(g)(h) 23,100,000 23,100,000 
Series Floaters XM 07 15, 0.21% 3/5/21 (Liquidity Facility Morgan Stanley Bank, West Valley City Utah) (c)(e)(g)(h) 1,240,000 1,240,000 
TOTAL COLORADO  67,989,892 
Connecticut - 0.5%   
Connecticut Health & Edl. Facilities Auth. Rev.:   
Participating VRDN Series Floaters XG 02 04, 0.06% 3/5/21 (Liquidity Facility Barclays Bank PLC) (c)(g)(h) 1,200,000 1,200,000 
Series 2013 O, 0.03% 3/5/21, VRDN (c) 23,125,000 23,125,000 
Windsor Gen. Oblig. BAN Series 2020, 2% 6/24/21 3,000,000 3,016,268 
TOTAL CONNECTICUT  27,341,268 
Delaware - 0.1%   
Delaware Econ. Dev. Auth. Rev. (Delmarva Pwr. & Lt. Co. Proj.) Series 1994, 0.08% 3/1/21, VRDN (c)(e) 5,880,000 5,880,000 
District Of Columbia - 0.4%   
District of Columbia Rev. Series 2007, 0.09% 3/5/21, LOC Truist Bank, VRDN (c) 200,000 200,000 
Metropolitan Washington DC Arpts. Auth. Sys. Rev. Series 2010 D, 0.06% 3/5/21, LOC Barclays Bank PLC, VRDN (c)(e) 20,000,000 20,000,000 
Washington D.C. Metropolitan Transit Auth. Rev. Participating VRDN Series ZM 06 10, 0.13% 3/5/21 (Liquidity Facility Morgan Stanley Bank, West Valley City Utah) (c)(g)(h) 900,000 900,000 
TOTAL DISTRICT OF COLUMBIA  21,100,000 
Florida - 1.6%   
Broward County Arpt. Sys. Rev. Participating VRDN:   
Series XL 01 36, 0.19% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(e)(g)(h) 3,000,000 3,000,000 
Series XM 08 95, 0.19% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(e)(g)(h) 840,000 840,000 
Broward County School District TAN Series 2020, 2% 6/30/21 15,000,000 15,093,159 
Gainesville Utils. Sys. Rev. Participating VRDN Series YX 11 18, 0.06% 3/5/21 (Liquidity Facility Barclays Bank PLC) (c)(g)(h) 2,500,000 2,500,000 
Greater Orlando Aviation Auth. Arpt. Facilities Rev. Participating VRDN Series XM 08 91, 0.19% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(e)(g)(h) 1,100,000 1,100,000 
Highlands County Health Facilities Auth. Rev. (Adventist Health Sys./Sunbelt, Inc. Prog.) Series 2007 A1, 0.03% 3/5/21, VRDN (c) 2,750,000 2,750,000 
Jacksonville Elec. Auth. Elec. Sys. Rev.:   
Series 2000 F2, 0.12% tender 3/3/21 (Liquidity Facility U.S. Bank NA, Cincinnati), CP mode 1,200,000 1,200,003 
Series 3 C2, 0.05% 3/5/21 (Liquidity Facility Bank of Nova Scotia) (Liquidity Facility JPMorgan Chase Bank), VRDN (c) 1,750,000 1,750,000 
Jacksonville Health Care Series 2021, 0.17% 8/3/21, CP 2,000,000 2,000,000 
Lee County Indl. Dev. Auth. Rev. (Florida Pwr. & Lt. Co. Proj.) Series 2016 A, 0.06% 3/1/21, VRDN (c)(e) 700,000 700,000 
Lee Memorial Health Sys. Hosp. Rev. Series 2019 B, 0.11% 3/5/21, VRDN (c) 14,500,000 14,500,000 
Miami-Dade County Aviation Rev. Participating VRDN Series XM 08 70, 0.19% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(e)(g)(h) 2,100,000 2,100,000 
Miami-Dade County Expressway Auth. Participating VRDN Series XG 00 99, 0.1% 3/5/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(g)(h) 400,000 400,000 
Miami-Dade County Wtr. & Swr. Rev. Participating VRDN Series XX 11 09, 0.06% 3/5/21 (Liquidity Facility Barclays Bank PLC) (c)(g)(h) 2,100,000 2,100,000 
Saint Lucie County Solid Waste Disp. (Florida Pwr. & Lt. Co. Proj.) Series 2003, 0.06% 3/1/21, VRDN (c)(e) 2,510,000 2,510,000 
South Miami Health Facilities Auth. Hosp. Rev. Participating VRDN:   
Series Floaters XF 25 30, 0.1% 3/5/21 (Liquidity Facility Citibank NA) (c)(g)(h) 10,500,000 10,500,000 
Series XF 25 23, 0.13% 3/5/21 (Liquidity Facility Barclays Bank PLC) (c)(g)(h) 10,000,000 10,000,000 
Series ZM 05 71, 0.13% 3/5/21 (Liquidity Facility Morgan Stanley Bank, West Valley City Utah) (c)(g)(h) 5,230,000 5,230,000 
Tampa Hosp. Rev. Participating VRDN Series XM 08 85, 0.18% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 3,300,000 3,300,000 
TOTAL FLORIDA  81,573,162 
Georgia - 0.1%   
Atlanta Arpt. Rev. Series J2, 0.14% 8/4/21, LOC Bank of America NA, CP (e) 4,454,000 4,454,000 
Brookhaven Dev. Auth. Rev. Participating VRDN Series XX 11 22, 0.06% 3/5/21 (Liquidity Facility Barclays Bank PLC) (c)(g)(h) 1,050,000 1,050,000 
Griffin-Spalding County Hosp. Participating VRDN Series Floaters XL 00 76, 0.28% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 400,000 400,000 
Monroe County Dev. Auth. Rev. (Gulf Pwr. Co. Proj.) Series 2019, 0.06% 3/1/21, VRDN (c)(e) 500,000 500,000 
TOTAL GEORGIA  6,404,000 
Hawaii - 0.1%   
Hawaii Arpts. Sys. Rev. Participating VRDN Series XF 07 65, 0.15% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(e)(g)(h) 2,900,000 2,900,000 
Idaho - 0.0%   
Idaho Hsg. & Fin. Assoc. Single Family Mtg. Series A, 0.15% 3/5/21 (Liquidity Facility Fannie Mae) (Liquidity Facility Freddie Mac), VRDN (c) 1,115,000 1,115,000 
Illinois - 1.0%   
Chicago Midway Arpt. Rev. Series A, 0.19% 3/16/21, LOC JPMorgan Chase Bank, CP (e) 4,000,000 4,000,118 
Chicago O'Hare Int'l. Arpt. Rev. Participating VRDN:   
Series Floaters XL 00 49, 0.23% 3/4/21 (Liquidity Facility Barclays Bank PLC) (c)(e)(g)(h) 750,000 750,000 
Series XM 08 79, 0.18% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 2,500,000 2,500,000 
Series XM 08 84, 0.19% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(e)(g)(h) 2,500,000 2,500,000 
Chicago Transit Auth. Participating VRDN:   
Series 20 XF 28 97, 0.18% 3/5/21 (Liquidity Facility Barclays Bank PLC) (c)(g)(h) 900,000 900,000 
Series XM 09 03, 0.21% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 300,000 300,000 
Cook County Gen. Oblig. Participating VRDN Series 2015 XF0124, 0.21% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 1,280,000 1,280,000 
Illinois Fin. Auth. Rev.:   
Participating VRDN Series Floaters XF 25 35, 0.06% 3/5/21 (Liquidity Facility Barclays Bank PLC) (c)(g)(h) 700,000 700,000 
Series 2008 A2, 0.03% 3/5/21, VRDN (c) 20,000,000 20,000,000 
Metropolitan Pier & Exposition Participating VRDN Series XF 09 65, 0.28% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 3,600,000 3,600,000 
Reg'l. Transn Auth. Extend Series 2005 B, 0.55% 3/5/21, VRDN (c) 1,690,000 1,690,000 
Sales Tax Securitization Corp. Participating VRDN Series XF 06 03, 0.2% 3/5/21 (Liquidity Facility Royal Bank of Canada) (c)(g)(h) 13,615,000 13,615,000 
TOTAL ILLINOIS  51,835,118 
Indiana - 0.0%   
Indiana Fin. Auth. Hosp. Rev. (Parkview Health Sys. Oblig. Group Proj.) Series 2009 C, 0.06% 3/5/21, LOC Sumitomo Mitsui Banking Corp., VRDN (c) 785,000 785,000 
Iowa - 0.4%   
Iowa Fin. Auth. Midwestern Disaster Area Econ. Dev. Series 2012 IA, 0.1% 3/5/21, VRDN (c) 16,000,000 16,000,000 
Iowa Fin. Auth. Sewage And Solid Waste Disp. Facilities Rev. Series 2021, 0.07% 3/5/21, VRDN (c)(e) 2,000,000 2,000,000 
TOTAL IOWA  18,000,000 
Kansas - 0.0%   
Baldwin City BAN Series 2020 A, 4.4% 3/1/21 2,000,000 2,000,000 
Kentucky - 0.7%   
Kentucky Econ. Dev. Fin. Auth. Hosp. Rev. Participating VRDN Series XM 09 19, 0.18% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 1,100,000 1,100,000 
Kentucky Hsg. Corp. Hsg. Rev. Participating VRDN Series XF 10 93, 0.33% 3/5/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(g)(h) 800,000 800,000 
Kentucky Tpk. Auth. Econ. Dev. Road Rev. Participating VRDN Series XF 24 84, 0.15% 3/5/21 (Liquidity Facility Morgan Stanley Bank, West Valley City Utah) (c)(g)(h) 1,780,000 1,780,000 
Louisville & Jefferson County Metropolitan Swr. District Swr. & Drain Sys. Rev. BAN Series 2020, 5% 10/20/21 20,000,000 20,616,466 
Louisville & Jefferson County Reg'l. Arpt. Auth. Spl. Facilities Rev. (UPS Worldwide Forwarding, Inc. Proj.) Series 1999 C, 0.05% 3/1/21, VRDN (c)(e) 2,100,000 2,100,000 
Meade County Indl. Bldg. Rev. (Nucor Steel Brandenburg Proj.):   
Series 2020 A1, 0.07% 3/1/21, VRDN (c)(e) 1,400,000 1,400,000 
Series 2020 B1, 0.07% 3/1/21, VRDN (c)(e) 5,700,000 5,700,000 
TOTAL KENTUCKY  33,496,466 
Louisiana - 0.2%   
Louisiana Hsg. Corp. Multifamily Hsg. Rev. Participating VRDN Series MIZ 90 53, 0.33% 4/2/21 (Liquidity Facility Mizuho Cap. Markets Llc) (c)(g)(h) 585,000 585,000 
Saint James Parish Gen. Oblig. (Nucor Steel Louisiana LLC Proj.) Series 2010 A1, 0.1% 3/5/21, VRDN (c) 10,930,000 10,930,000 
TOTAL LOUISIANA  11,515,000 
Maryland - 0.4%   
Baltimore County Gen. Oblig. Participating VRDN Series Floaters XF 06 42, 0.06% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 300,000 300,000 
Baltimore Proj. Rev. Bonds Series Floaters G 42, 0.23%, tender 7/1/21 (Liquidity Facility Royal Bank of Canada) (c)(g)(h)(i) 4,500,000 4,500,000 
Maryland Econ. Dev. Corp. Student Hsg. Rev. Participating VRDN Series XF 28 32, 0.23% 3/5/21 (c)(g)(h) 14,985,000 14,985,000 
Maryland Gen. Oblig. Participating VRDN Series DB 807, 0.1% 3/5/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(g)(h) 1,300,000 1,300,000 
Maryland Health & Higher Edl. Facilities Auth. Rev. (Anne Arundel Health Sys. Proj.) Series 2009 B, 0.03% 3/5/21, LOC Bank of America NA, VRDN (c) 1,050,000 1,050,000 
TOTAL MARYLAND  22,135,000 
Massachusetts - 0.3%   
Massachusetts Edl. Fing. Auth. Rev. Participating VRDN Series Floaters XF 23 06, 0.33% 3/5/21 (Liquidity Facility Morgan Stanley Bank, West Valley City Utah) (c)(e)(g)(h) 1,745,000 1,745,000 
Middleborough Gen. Oblig. BAN Series 2020, 2% 10/1/21 13,000,000 13,137,108 
TOTAL MASSACHUSETTS  14,882,108 
Michigan - 0.4%   
Michigan Fin. Auth. Rev. RAN Series 2020 A2, 4% 8/20/21, LOC JPMorgan Chase Bank 12,500,000 12,724,555 
Univ. of Michigan Rev. Series 2020, 0.14% 3/4/21, CP 7,765,000 7,765,153 
TOTAL MICHIGAN  20,489,708 
Minnesota - 0.0%   
Minneapolis Health Care Sys. Rev. Participating VRDN Series XM 08 72, 0.21% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 1,000,000 1,000,000 
Mississippi - 0.2%   
Mississippi Bus. Fin. Corp. Solid Waste Disp. Rev. (Gulf Pwr. Co. Proj.) Series 2012, 0.06% 3/1/21, VRDN (c)(e) 12,030,000 12,030,000 
Missouri - 0.2%   
Kansas City Indl. Dev. Auth. Participating VRDN Series XM 09 21, 0.19% 3/5/21 (Liquidity Facility Morgan Stanley Bank, West Valley City Utah) (c)(e)(g)(h) 5,000,000 5,000,000 
Lees Summit Indl. Dev. Auth. Multi-family Hsg. Rev. Participating VRDN Series MIZ 90 55, 0.33% 4/2/21 (Liquidity Facility Mizuho Cap. Markets Llc) (c)(g)(h) 200,000 200,000 
Mercy Health Participating VRDN Series Floaters XL 00 80, 0.13% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 1,200,000 1,200,000 
Missouri Health & Edl. Facilities Auth. Edl. Facilities Rev. Participating VRDN Series XG 01 76, 0.2% 3/5/21 (Liquidity Facility Royal Bank of Canada) (c)(g)(h) 2,400,000 2,400,000 
TOTAL MISSOURI  8,800,000 
Nebraska - 0.1%   
Nebraska Invt. Fin. Auth. Multi-family Rev. Series 2007, 0.08% 3/5/21, LOC Citibank NA, VRDN (c)(e) 3,000,000 3,000,000 
Nebraska Invt. Fin. Auth. Single Family Hsg. Rev. Series B, 0.06% 3/5/21 (Liquidity Facility Fed. Home Ln. Bank Topeka), VRDN (c)(e) 3,800,000 3,800,000 
TOTAL NEBRASKA  6,800,000 
New Jersey - 0.8%   
Borough of Oceanport BAN Series 2021, 2% 2/24/22 1,100,000 1,118,295 
Brick Township Gen. Oblig. BAN Series 2020, 2% 6/22/21 2,005,000 2,015,742 
Hudson County Impt. Auth. Rev. BAN (Local Unit Ln. Prog.) Series 2021 A1, 1.5% 2/8/22 2,774,000 2,807,447 
Jersey City Gen. Oblig. BAN Series 2020, 2% 6/17/21 2,000,000 2,011,005 
Mercer County Gen. Oblig. BAN Series 2020, 2% 6/10/21 5,000,000 5,025,002 
New Jersey Tpk. Auth. Tpk. Rev. Participating VRDN Series XM 09 11, 0.21% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 1,305,000 1,305,000 
New Jersey Trans. Trust Fund Auth. Participating VRDN:   
Series Floaters XG 02 05, 0.06% 3/5/21 (Liquidity Facility Barclays Bank PLC) (c)(g)(h) 865,000 865,000 
Series XF 09 75, 0.28% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 800,000 800,000 
Newark Gen. Oblig. BAN Series 2020 C, 2% 10/5/21 2,000,000 2,019,936 
Ramsey Borough Gen. Oblig. BAN Series 2021, 1.25% 1/7/22 2,000,000 2,014,912 
Rutgers State Univ. Rev. Series A, 0.22% 3/17/21, CP 5,700,000 5,700,237 
Summit Gen. Oblig. BAN Series 2020, 2.5% 10/22/21 2,800,000 2,840,363 
Tender Option Bond Trust Receipts Participating VRDN Series XM 02 26, 0.07% 3/5/21 (Liquidity Facility Bank of America NA) (c)(g)(h) 8,000,000 8,000,000 
Union County Gen. Oblig. BAN Series 2020, 4% 6/18/21 2,000,000 2,022,808 
TOTAL NEW JERSEY  38,545,747 
New Mexico - 0.1%   
Farmington Poll. Cont. Rev. (Pub. Svc. Co. of New Mexico Proj.) Series 2010 A, 0.11% 3/5/21, VRDN (c) 5,100,000 5,100,000 
New York - 4.4%   
Connetquot Central School District TAN Series 2020, 1.75% 6/25/21 5,000,000 5,024,197 
Cortland Enlarged City School District RAN Series 2020, 1.5% 7/30/21 1,000,000 1,003,837 
East Rochester Hsg. Auth. Rev. (Home Good Sheperd Proj.) Series A, 0.19% 3/5/21, LOC RBS Citizens NA, VRDN (c) 300,000 300,000 
Erie County Gen. Oblig. RAN Series 2020, 3% 6/24/21 2,000,000 2,016,478 
Hempstead Indl. Dev. Auth. Participating VRDN Series DBE 80 63, 0.56% 3/5/21, LOC Deutsche Bank AG, (Liquidity Facility Deutsche Bank AG) (c)(e)(g)(h) 8,560,000 8,560,000 
Middletown BAN Series 2020, 1.5% 8/26/21 1,932,434 1,944,539 
New York City Gen. Oblig.:   
Series 2006, 0.11% 3/5/21 (FSA Insured), VRDN (c) 3,000,000 3,000,000 
Series 2014 I3, 0.03% 3/5/21 (Liquidity Facility Citibank NA), VRDN (c) 15,000,000 15,000,000 
Series 2017 A, 0.03% 3/5/21 (Liquidity Facility Citibank NA), VRDN (c) 6,650,000 6,650,000 
New York Dorm. Auth. Personal Income Tax Rev. Participating VRDN Series ROC II R 14005, 0.06% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 300,000 300,000 
New York Dorm. Auth. Rev. Participating VRDN Series XM 09 22, 0.09% 3/5/21 (Liquidity Facility Morgan Stanley Bank, West Valley City Utah) (c)(g)(h) 1,600,000 1,600,000 
New York Hsg. Fin. Agcy. Rev. Series 2002 A, 0.02% 3/5/21, LOC Fannie Mae, VRDN (c) 1,000,000 1,000,000 
New York Metropolitan Trans. Auth. Dedicated Tax Fund Rev. Participating VRDN Series ZM 06 00, 0.33% 3/5/21 (Liquidity Facility Wells Fargo Bank NA) (c)(g)(h) 2,100,000 2,100,000 
New York Metropolitan Trans. Auth. Rev.:   
BAN:   
Series 2018 B:   
5% 5/15/21 12,060,000 12,165,254 
5% 5/15/21 590,000 595,149 
5% 5/15/21 5,615,000 5,664,005 
Series 2018 C, 5% 9/1/21 4,030,000 4,116,271 
Series 2019 B, 5% 5/15/22 15,310,000 16,072,744 
Series 2019 D1, 5% 9/1/22 19,500,000 20,704,515 
Participating VRDN:   
Series XF 05 20, 0.42% 3/5/21 (Liquidity Facility Royal Bank of Canada) (c)(g)(h) 1,425,000 1,425,000 
Series XG 02 90, 0.07% 3/5/21 (Liquidity Facility Barclays Bank PLC) (c)(g)(h) 15,380,000 15,380,000 
Series ZF 02 18, 0.3% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 4,200,000 4,200,000 
New York Pwr. Auth. Series 1, 0.29% 7/13/21, CP 8,000,000 8,003,596 
New York State Dorm. Auth. RAN Series 2020 B, 5% 3/31/21 9,550,000 9,588,976 
New York State Energy Research & Dev. Auth. Facilities Rev. Series 2010 A4, 0.05% 3/5/21, LOC Bank of Nova Scotia, VRDN (c)(e) 500,000 500,000 
New York Thruway Auth. Gen. Rev. Participating VRDN:   
Series XF 09 18, 0.13% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 1,600,000 1,600,000 
Series XM 08 30, 0.18% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 1,700,000 1,700,000 
Series XM 08 31, 0.21% 3/5/21 (Liquidity Facility Morgan Stanley Bank, West Valley City Utah) (c)(g)(h) 2,000,000 2,000,000 
Series XM 08 80, 0.18% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 1,500,000 1,500,000 
New York Trans. Dev. Corp. RAN (Term. 4 JFK Int'l. Arpt. Proj.) Series 2020 C, 5% 12/1/21 2,100,000 2,170,538 
Oyster Bay Gen. Oblig. BAN Series C, 4% 8/27/21 9,500,000 9,667,809 
Port Washington Union Free School District BAN Series 2020, 1.5% 8/5/21 5,410,000 5,437,496 
Putnam County Indl. Dev. Agcy. Rev. Series 2006 A, 0.25% 3/5/21, LOC RBS Citizens NA, VRDN (c) 1,100,000 1,100,000 
Riverhead Central School District TAN Series 2020 B, 1.5% 6/25/21 5,000,000 5,019,288 
Rockland County Gen. Oblig. TAN Series 2020, 2% 4/1/21 3,000,000 3,004,495 
Suffolk County Gen. Oblig.:   
RAN Series 2020, 5% 3/19/21 2,000,000 2,004,754 
TAN:   
Series 2020 I, 3% 9/24/21 14,000,000 14,209,593 
Series I, 2% 7/22/21 5,000,000 5,034,227 
Syosset Central School District TAN Series 2020, 2% 6/25/21 5,000,000 5,027,832 
Town of Colonie Albany County BAN Series 2020, 1.25% 3/12/21 5,987,000 5,989,029 
Village of Garden City BAN Series 2021, 1% 2/18/22 2,000,000 2,015,787 
Westchester County TAN Series B, 2% 10/18/21 13,135,000 13,285,574 
TOTAL NEW YORK  227,680,983 
New York And New Jersey - 0.1%   
Port Auth. of New York & New Jersey Series 2021, 0.15% 4/12/21, CP (e) 4,000,000 4,000,098 
Ohio - 0.5%   
Allen County Hosp. Facilities Rev. (Catholic Healthcare Partners Proj.) Series 2010 C, 0.03% 3/1/21, LOC Bank of Montreal, VRDN (c) 3,200,000 3,200,000 
Lorain County Gen. Oblig. BAN (North Ridge Road Proj.) Series 2020 D, 1% 12/17/21 2,190,000 2,201,107 
Mahoning County BAN Series 2020, 1% 9/13/21 1,735,000 1,741,931 
Mahoning County Sales Tax TAN Series 2020, 1% 9/13/21 1,025,000 1,028,820 
Montgomery County Hosp. Rev. Participating VRDN Series Floaters E 132, 0.06% 3/5/21 (Liquidity Facility Royal Bank of Canada)(c)(g)(h) 10,000,000 10,000,000 
Ohio Hosp. Facilities Rev. Series 2019 D2, 0.03% 3/5/21, VRDN (c) 750,000 750,000 
Ohio Hsg. Fin. Agcy. Multi-family Hsg. Rev. Participating VRDN:   
Series MIZ 90 50, 0.33% 4/2/21 (Liquidity Facility Mizuho Cap. Markets Llc) (c)(g)(h) 1,100,000 1,100,000 
Series XF 10 92, 0.33% 3/5/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(g)(h) 5,100,000 5,100,000 
Sycamore Township BAN Series 2020, 1.55% 5/4/21 1,000,000 1,001,181 
TOTAL OHIO  26,123,039 
Oklahoma - 0.2%   
Oklahoma Dev. Fin. Auth. Health Sys. Rev. Series 2020 B, 0.12% 3/5/21, VRDN (c) 10,760,000 10,760,000 
Pennsylvania - 1.0%   
Pennsylvania Econ. Dev. Fing. Auth. Exempt Facilities Rev. Series 2009 B, 0.07% 3/5/21, LOC MUFG Bank Ltd., VRDN (c) 5,000,000 5,000,000 
Pennsylvania Hsg. Fin. Agcy. Multifamily Hsg. Dev. Rev. Participating VRDN Series XF 10 95, 0.33% 3/5/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(g)(h) 2,700,000 2,700,000 
Pennsylvania Hsg. Fin. Agcy. Single Family Mtg. Rev. Series 2006 93B, 0.06% 3/5/21 (Liquidity Facility Wells Fargo Bank NA), VRDN (c)(e) 6,000,000 6,000,000 
Philadelphia Auth. Indl. Mrf Participating VRDN Series MIZ 90 51, 0.33% 4/2/21 (Liquidity Facility Mizuho Cap. Markets Llc) (c)(g)(h) 1,000,000 1,000,000 
Philadelphia Auth. for Indl. Dev. Series 2017 B, 0.11% 3/4/24, VRDN (c) 10,210,000 10,210,000 
Philadelphia Gen. Oblig. TRAN Series 2020 A, 4% 6/30/21 10,185,000 10,313,148 
Philadelphia School District TRAN Series 2020 A, 4% 6/30/21 17,645,000 17,870,575 
TOTAL PENNSYLVANIA  53,093,723 
South Carolina - 1.2%   
Charleston County School District TAN (Sales Tax Proj. Phase IV) Series 2020 B, 5% 5/12/21 20,000,000 20,191,564 
County Square Redev. Corp. BAN:   
(Greenville County, SC Proj.) Series 2020, 2% 3/24/21 10,000,000 10,009,816 
(Greenville County, South Carolina Proj.) Series 2021, 2% 3/3/22 (d) 6,945,000 7,069,822 
Greenville Hosp. Sys. Facilities Rev. Participating VRDN Series XF 01 45, 0.27% 3/5/21 (Liquidity Facility Toronto-Dominion Bank) (c)(g)(h) 1,600,000 1,600,000 
South Carolina Jobs-Econ. Dev. Auth. Series 2018 C, 0.12% 3/4/24, VRDN (c) 10,000,000 10,000,000 
South Carolina Pub. Svc. Auth. Rev.:   
Participating VRDN:   
Series Floaters XM 03 84, 0.18% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 9,800,000 9,800,000 
Series YX 11 57, 0.18% 3/5/21 (Liquidity Facility Barclays Bank PLC) (c)(g)(h) 2,110,000 2,110,000 
Series 2019 A, 0.08% 3/5/21, LOC Bank of America NA, VRDN (c) 350,000 350,000 
South Carolina St. Pub. Svc. Auth. Rev. Participating VRDN Series XG 0046, 0.07% 3/5/21 (Liquidity Facility Toronto-Dominion Bank) (c)(g)(h) 265,000 265,000 
TOTAL SOUTH CAROLINA  61,396,202 
South Dakota - 0.0%   
South Dakota Health& Edl. Facilities Auth. Rev. Participating VRDN Series XG 03 02, 0.17% 3/5/21 (Liquidity Facility Barclays Bank PLC) (c)(g)(h) 600,000 600,000 
Tennessee - 0.2%   
Greeneville Health & Edl. Facilities Board Series 2018 B, 0.03% 3/5/21, LOC U.S. Bank NA, Cincinnati, VRDN (c) 800,000 800,000 
Tender Option Bond Trust Receipts Participating VRDN Series XF 10 97, 0.33% 3/5/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(g)(h) 990,000 990,000 
Tennessee Gen. Oblig.:   
Series 2020, 0.22% 4/21/21 (Liquidity Facility Tennessee Consldatd Retire Sys.), CP 2,000,000 2,000,236 
Series A:   
0.22% 4/28/21 (Liquidity Facility Tennessee Consldatd Retire Sys.), CP 1,784,000 1,784,268 
0.25% 3/10/21 (Liquidity Facility Tennessee Consldatd Retire Sys.), CP 5,000,000 5,000,296 
TOTAL TENNESSEE  10,574,800 
Texas - 3.1%   
Dallas Fort Worth Int'l. Arpt. Rev. Participating VRDN Series Floaters XF 10 61, 0.23% 3/5/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(e)(g)(h) 8,000,000 8,000,000 
Dallas/Fort Worth Int'l. Arpt. Facility Impt. Corp. Rev. (United Parcel Svc., Inc. Proj.) Series 2002, 0.05% 3/1/21, VRDN (c)(e) 300,000 300,000 
Deutsche Spears/Lifers Trust Participating VRDN Series Floaters XG 00 58, 0.11% 3/5/21 (Liquidity Facility Deutsche Bank AG) (c)(g)(h) 1,085,000 1,085,000 
Grand Parkway Trans. Corp. Participating VRDN Series XF 20 34, 0.06% 3/5/21 (Liquidity Facility Morgan Stanley Bank, West Valley City Utah) (c)(g)(h) 1,400,000 1,400,000 
Gulf Coast Waste Disp. Auth. Envir. Facilities Rev. (ExxonMobil Proj.) Series 2001 B, 0.02% 3/1/21, VRDN (c)(e) 600,000 600,000 
Harris County Cultural Ed. Facilities Fin. Corp. Rev.:   
Series 2016 B3. 0.15% tender 6/3/21, CP mode 4,000,000 4,000,212 
Series 2016 D, 0.04% 3/5/21, VRDN (c) 6,400,000 6,400,000 
Houston Gen. Oblig. TRAN Series 2020:   
4% 6/30/21 5,000,000 5,063,921 
5% 6/30/21 11,000,000 11,176,218 
Houston Util. Sys. Rev. Series B3, 0.12% 3/10/21, LOC Sumitomo Mitsui Banking Corp., CP 2,000,000 2,000,053 
Hurst Participating VRDN Series XF 10 94, 0.33% 3/5/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(g)(h) 1,600,000 1,600,000 
Lower Colorado River Auth. Rev. Series B, 0.13% 6/4/21, LOC State Street Bank & Trust Co., Boston, CP 1,000,000 1,000,065 
North Cent Tex Hsg. Fin. Corp. Mu Participating VRDN Series XF 10 99, 0.33% 3/5/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(g)(h) 400,000 400,000 
Port Arthur Navigation District Envir. Facilities Rev. (Motiva Enterprises LLC Proj.):   
Series 2001 A, 0.06% 3/1/21, VRDN (c) 2,920,000 2,920,000 
Series 2004, 0.25% 3/5/21, VRDN (c)(e) 33,015,000 33,015,000 
Series 2010 C, 0.08% 3/1/21, VRDN (c) 100,000 100,000 
Series 2010 D, 0.12% 3/5/21, VRDN (c) 6,200,000 6,200,000 
San Antonio Elec. & Gas Sys. Rev. Series 2021, 0.09% 3/24/21 (Liquidity Facility Bank of America NA), CP 2,500,000 2,500,000 
Texas Dept. of Hsg. & Cmnty. Affairs Residential Mtg. Rev. Participating VRDN Series XF 10 98, 0.33% 3/5/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(g)(h) 1,100,000 1,100,000 
Texas Gen. Oblig.:   
Participating VRDN Series DB 80 79, 0.1% 3/4/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(g)(h) 1,500,000 1,500,000 
Series 2018, 0.06% 3/5/21, LOC Fed. Home Ln. Bank of Dallas, VRDN (c) 1,400,000 1,400,000 
TRAN Series 2020, 4% 8/26/21 65,000,000 66,225,237 
Texas Private Activity Bond Surface Trans. Corp. Participating VRDN Series XM 07 56, 0.33% 3/5/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(e)(g)(h) 1,800,000 1,800,000 
Trinity Riv Pub. Facilities Corp. Tex M Participating VRDN Series XF 10 83, 0.33% 3/5/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(g)(h) 1,600,000 1,600,000 
TOTAL TEXAS  161,385,706 
Utah - 0.3%   
Salt Lake City Arpt. Rev. Participating VRDN:   
Series 17 XM 0493, 0.21% 3/5/21 (Liquidity Facility Morgan Stanley Bank, West Valley City Utah) (c)(e)(g)(h) 500,000 500,000 
Series Floaters XM 06 99, 0.33% 3/5/21 (Liquidity Facility Cr. Suisse AG) (c)(e)(g)(h) 11,030,000 11,030,000 
Series XM 08 82, 0.19% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(e)(g)(h) 1,400,000 1,400,000 
TOTAL UTAH  12,930,000 
Virginia - 0.3%   
Suffolk Econ. Dev. Auth. Hosp. Facilities Rev. Participating VRDN Series MIZ 90 25, 0.11% 3/5/21 (Liquidity Facility Mizuho Cap. Markets Llc) (c)(g)(h) 14,490,000 14,490,000 
Virginia Commonwealth Trans. Board Rev. Participating VRDN Series DB 80 80, 0.1% 3/5/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(g)(h) 2,300,000 2,300,000 
TOTAL VIRGINIA  16,790,000 
Washington - 0.3%   
Port of Seattle Rev. Series B1, 0.14% 3/10/21, LOC Bank of America NA, CP (e) 2,000,000 2,000,053 
Seattle Gen. Oblig. Participating VRDN Series DB 80 78, 0.1% 3/4/21 (Liquidity Facility Deutsche Bank AG New York Branch) (c)(g)(h) 1,000,000 1,000,000 
Washington Convention Ctr. Pub. Facilities Participating VRDN Series XG 02 96, 0.07% 3/5/21 (Liquidity Facility Barclays Bank PLC) (c)(g)(h) 7,985,000 7,985,000 
Washington Econ. Dev. Fin. Auth. Rev. Participating VRDN Series Floaters 005, 0.38% 4/9/21 (Liquidity Facility Barclays Bank PLC) (c)(e)(g)(h) 5,100,000 5,100,000 
Washington Health Care Facilities Auth. Rev. Participating VRDN Series XM 08 83, 0.18% 3/5/21 (Liquidity Facility JPMorgan Chase Bank) (c)(g)(h) 1,500,000 1,500,000 
TOTAL WASHINGTON  17,585,053 
West Virginia - 0.0%   
Putnam County W Solid Waste Dis Series 1991, 0.23% 3/4/21, LOC Wells Fargo Bank NA, VRDN (c)(e) 1,030,000 1,030,000 
Wisconsin - 0.5%   
JPMorgan Chase Participating VRDN Series Floaters XF 01 27, 0.07% 3/5/21 (c)(g)(h) 1,060,000 1,060,000 
Mauston School District BAN Series 2020, 1.5% 6/30/21 1,250,000 1,251,174 
Milwaukee School District RAN Series 2020 M8, 2% 7/1/21 10,000,000 10,061,619 
Wisconsin Health & Edl. Facilities Series 2020 C, 0.13% 3/5/21, VRDN (c) 6,750,000 6,750,000 
Wisconsin Hsg. & Econ. Dev. Auth. Series C, 0.03% 3/5/21 (Liquidity Facility Royal Bank of Canada), VRDN (c) 1,475,000 1,475,000 
Wisconsin Hsg. and Econ. Dev. Auth. Home Ownership Rev. Series 2004 E, 0.06% 3/5/21 (Liquidity Facility Fed. Home Ln. Bank Chicago), VRDN (c)(e) 6,225,000 6,225,000 
TOTAL WISCONSIN  26,822,793 
TOTAL MUNICIPAL NOTES   
(Cost $1,238,950,684)  1,239,648,314 
 Shares Value 
Money Market Funds - 18.4%   
Fidelity Investments Money Market Government Portfolio Institutional Class 0.01% (j)(k) 479,265,051 479,265,051 
Fidelity Municipal Cash Central Fund .05% (l)(m) 29,122,593 29,128,418 
Fidelity SAI Municipal Money Market Fund .01% (j)(k) 441,577,229 441,753,860 
State Street Institutional U.S. Government Money Market Fund Premier Class .03% (j) 10,311,311 10,311,311 
TOTAL MONEY MARKET FUNDS   
(Cost $960,399,640)  960,458,640 
TOTAL INVESTMENT IN SECURITIES - 99.7%   
(Cost $5,181,850,453)  5,196,905,622 
NET OTHER ASSETS (LIABILITIES) - 0.3%  15,046,561 
NET ASSETS - 100%  $5,211,952,183 

Security Type Abbreviations

BAN – BOND ANTICIPATION NOTE

CP – COMMERCIAL PAPER

RAN – REVENUE ANTICIPATION NOTE

TAN – TAX ANTICIPATION NOTE

TRAN – TAX AND REVENUE ANTICIPATION N

VRDN – VARIABLE RATE DEMAND NOTE (A debt instrument that is payable upon demand, either daily, weekly or monthly)

Legend

 (a) Non-income producing

 (b) Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. At the end of the period, the value of these securities amounted to $35,670,084 or 0.7% of net assets.

 (c) Coupon rates for floating and adjustable rate securities reflect the rates in effect at period end.

 (d) Security or a portion of the security purchased on a delayed delivery or when-issued basis.

 (e) Private activity obligations whose interest is subject to the federal alternative minimum tax for individuals.

 (f) Coupon is indexed to a floating interest rate which may be multiplied by a specified factor and/or subject to caps or floors.

 (g) Provides evidence of ownership in one or more underlying municipal bonds.

 (h) Coupon rates are determined by re-marketing agents based on current market conditions.

 (i) Restricted securities (including private placements) - Investment in securities not registered under the Securities Act of 1933 (excluding 144A issues). At the end of the period, the value of restricted securities (excluding 144A issues) amounted to $8,800,000 or 0.2% of net assets.

 (j) The rate quoted is the annualized seven-day yield of the fund at period end.

 (k) Affiliated Fund

 (l) Information in this report regarding holdings by state and security types does not reflect the holdings of the Fidelity Municipal Cash Central Fund.

 (m) Affiliated fund that is available only to investment companies and other accounts managed by Fidelity Investments. The rate quoted is the annualized seven-day yield of the fund at period end. A complete unaudited listing of the fund's holdings as of its most recent quarter end is available upon request. In addition, each Fidelity Central Fund's financial statements are available on the SEC's website or upon request.

Additional information on each restricted holding is as follows:

Security Acquisition Date Acquisition Cost 
Baltimore Proj. Rev. Bonds Series Floaters G 42, 0.23%, tender 7/1/21 (Liquidity Facility Royal Bank of Canada) 1/4/21 $4,500,000 
River Islands Pub. Fing. Auth. Participating VRDN Series MIZ 90 26, 0.33% 4/2/21 (Liquidity Facility Mizuho Cap. Markets Llc) 8/14/20 $4,300,000 

Affiliated Central Funds

Information regarding fiscal year to date income earned by the Fund from investments in Fidelity Central Funds is as follows:

Fund Income earned 
Fidelity Municipal Cash Central Fund $38,999 
Total $38,999 

Amounts in the income column in the above table include any capital gain distributions from underlying funds.

Affiliated Underlying Funds

Fiscal year to date information regarding the Fund's investments in affiliated Underlying Funds, excluding any Money Market Central Funds, is presented below. Exchanges between classes of the same affiliated Underlying Funds may occur.

Affiliate Value, beginning of period Purchases Sales Proceeds Dividend Income Realized Gain (loss) Change in Unrealized appreciation (depreciation) Value, end of period 
Fidelity Investments Money Market Government Portfolio Institutional Class 0.01% $249,972,338 $1,671,831,545 $1,442,538,832 $66,394 $-- $-- $479,265,051 
Fidelity SAI Municipal Money Market Fund .01% 190,501,215 275,152,234 23,878,415 127,396 (133) (21,041) 441,753,860 
Total $440,473,553 $1,946,983,779 $1,466,417,247 $193,790 $(133) $(21,041) $921,018,911 

Amounts in the income column in the above table include any capital gain distributions from underlying funds.

Investment Valuation

Investments are valued as of 4:00 p.m. Eastern time on the last calendar day of the period. Security transactions are accounted for as of trade date. The Board of Trustees (the Board) has delegated the day to day responsibility for the valuation of the Fund's investments to the Fair Value Committee (the Committee) established by the Fund's investment adviser. In accordance with valuation policies and procedures approved by the Board, the Fund attempts to obtain prices from one or more third party pricing vendors or brokers to value its investments. When current market prices, quotations or currency exchange rates are not readily available or reliable, investments will be fair valued in good faith by the Committee, in accordance with procedures adopted by the Board. Factors used in determining fair value vary by investment type and may include market or investment specific events, changes in interest rates and credit quality. The frequency with which these procedures are used cannot be predicted and they may be utilized to a significant extent. The Committee oversees the Fund’s valuation policies and procedures and reports to the Board on the Committee's activities and fair value determinations. The Board monitors the appropriateness of the procedures used in valuing the Fund's investments and ratifies the fair value determinations of the Committee. The Fund categorizes the inputs to valuation techniques used to value its investments into a disclosure hierarchy consisting of three levels: Level 1 - quoted prices in active markets for identical investments: Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds etc.): Level 3 - unobservable inputs (including the Fund's own assumptions based on the best information available). Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy. Valuation techniques used to value the Fund's investments by major category are as follows:

Debt securities, including restricted securities, are valued based on evaluated prices received from third party pricing vendors or from brokers who make markets in such securities. Municipal securities are valued by pricing vendors who utilize matrix pricing which considers yield or price of bonds of comparable quality, coupon, maturity and type or by broker supplied prices.

When independent prices are unavailable or unreliable, debt securities may be valued utilizing pricing methodologies which consider similar factors that would be used by third party pricing vendors. Debt securities are generally categorized as Level 2 in the hierarchy but may be Level 3 depending on the circumstances.

Investments in open-end mutual funds, including the Fidelity Central Funds, are valued at their closing net asset value each business day and are categorized as Level 1 in the hierarchy.

If an unaffiliated Underlying Fund's net asset value is unavailable, shares of that fund may be valued by another method that the Board believes reflects fair value in accordance with the Board's fair value pricing policies and is categorized as Level 2 in the hierarchy.

For additional information on the Fund's significant accounting policies, please refer to the Fund's most recent semiannual or annual shareholder report.





The fund's schedule of investments as of the date on the cover of this report has not been audited. This report is provided for the general information of the fund's shareholders. For more information regarding the fund and its holdings, please see the fund's most recent prospectus and annual report.

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