0001145549-20-031126.txt : 20200528 0001145549-20-031126.hdr.sgml : 20200528 20200528172506 ACCESSION NUMBER: 0001145549-20-031126 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200331 FILED AS OF DATE: 20200528 PERIOD START: 20201231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: JACKSON VARIABLE SERIES TRUST CENTRAL INDEX KEY: 0001532747 IRS NUMBER: 300024958 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22613 FILM NUMBER: 20922416 BUSINESS ADDRESS: STREET 1: 1 CORPORATE WAY CITY: LANSING STATE: MI ZIP: 48951 BUSINESS PHONE: (517) 367-4336 MAIL ADDRESS: STREET 1: 1 CORPORATE WAY CITY: LANSING STATE: MI ZIP: 48951 FORMER COMPANY: FORMER CONFORMED NAME: CURIAN VARIABLE SERIES TRUST DATE OF NAME CHANGE: 20111014 0001532747 S000041933 JNL/T. Rowe Price Capital Appreciation Fund C000130227 JNL/T. Rowe Price Capital Appreciation Fund (A) C000192354 JNL/T. 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N/A 12836382.25 PA USD 11644395.79 0.2049596066 Long LON CORP US N 2 2024-03-30 Floating 0 N N N N N N Hub International Limited N/A Hub International Limited N/A 86263890.96 PA USD 80139154.7 1.4105746587 Long LON CORP US N 2 2025-04-25 Floating 4.5508788 N N N N N N NiSource Finance Corp. ZHUWIE4VK4MIYES0UG62 NiSource Finance Corp. 65473QBF9 5555000 PA USD 5705312.19 0.1004224318 Long DBT CORP US N 2 2047-05-15 Fixed 4.375 N N N N N N SCE Trust III N/A SCE Trust III 78409B207 8179 NS USD 161126.3 0.0028360753 Long EP CORP US N 1 2500-12-31 Fixed 5.75 N N N N N N SCE Trust IV N/A SCE Trust IV 78409G206 343162 NS USD 6365655.1 0.1120455014 Long EP CORP US N 1 2500-12-31 Fixed 5.375 N N N N N N AmWINS Group, Inc. N/A AmWINS Group, Inc. N/A 1396544.39 PA USD 1286566.52 0.0226455861 Long LON CORP US N 2 2024-01-19 Floating 3.7500012 N N N N N N AmWINS Group, Inc. N/A AmWINS Group, Inc. N/A 279776.85 PA USD 257744.42 0.0045367055 Long LON CORP US N 2 2024-01-19 Floating 3.7662516 N N N N N N USI, Inc. N/A USI, Inc. N/A 16895911.86 PA USD 15375279.79 0.2706290093 Long LON CORP US N 2 2024-05-16 Floating 3.9893796 N N N N N N Solera, LLC 549300F7JH48O4IYRX29 Solera, LLC 83422AAA1 38165000 PA USD 37382230.89 0.6579858220 Long DBT CORP US N 2 2024-03-01 Fixed 10.5 N N N N N N H.B. Fuller Company N/A H.B. Fuller Company N/A 1074922.56 PA USD 926454.26 0.0163070462 Long LON CORP US N 2 2024-10-11 Floating 2.7728784 N N N N N N Eversource Energy SJ7XXD41SQU3ZNWUJ746 Eversource Energy 30040WAC2 2725000 PA USD 2721250.13 0.0478982651 Long DBT CORP US N 2 2022-03-15 Fixed 2.75 N N N N N N Eversource Energy SJ7XXD41SQU3ZNWUJ746 Eversource Energy 30040WAG3 1160000 PA USD 1203526.33 0.0211839487 Long DBT CORP US N 2 2023-12-01 Fixed 3.8 N N N N N N American Electric Power Company, Inc. 1B4S6S7G0TW5EE83BO58 American Electric Power Company, Inc. 025537101 1040076 NS USD 83185278.48 1.4641912089 Long EC CORP US N 1 N N N Charter Communications Operating, LLC 549300TPZNMN50BJ3745 Charter Communications Operating, LLC 161175AX2 2525000 PA USD 2538275.95 0.0446776329 Long DBT CORP US N 2 2020-07-23 Fixed 3.579 N N N N N N Amazon.com, Inc. ZXTILKJKG63JELOEG630 Amazon.com, Inc. 023135106 72842 NS USD 142021504.2 2.4998009471 Long EC CORP US N 1 N N N Ameren Corporation XRZQ5S7HYJFPHJ78L959 Ameren Corporation 023608102 698032 NS USD 50837670.56 0.8948226378 Long EC CORP US N 1 N N N Fortive Corporation 549300MU9YQJYHDQEF63 Fortive Corporation 34959J108 2312206 NS USD 127610649.1 2.2461473231 Long EC CORP US N 1 N N N Lennox International Inc. S7DWAC87RDMPBF77GJ92 Lennox International Inc. 526107AD9 340000 PA USD 329979.01 0.0058081475 Long DBT CORP US N 2 2023-11-15 Fixed 3 N N N N N N Level 3 Financing, Inc. N/A Level 3 Financing, Inc. 527298BD4 4014000 PA USD 4030576.58 0.0709444616 Long DBT CORP US N 2 2022-08-15 Fixed 5.375 N N N N N N NiSource Inc. 549300D8GOWWH0SJB189 NiSource Inc. 65473P105 3079403 NS USD 76892692.91 1.3534318457 Long EC CORP US N 1 N N N Sensata Technologies B.V. PUCKW5P5O3XMOZVH7T53 Sensata Technologies B.V. 81725WAG8 2715000 PA USD 2636189.85 0.0464010709 Long DBT CORP US N 2 2023-10-15 Fixed 4.875 N N N N N N Microsoft Corporation INR2EJN1ERAN0W5ZP974 Microsoft Corporation 594918104 1416100 NS USD 223333131 3.9310129515 Long EC CORP US N 1 N N N T. Rowe Price Government Reserve Fund N/A T. Rowe Price Government Reserve Fund 76105Y109 468447429.1 NS USD 468447429.1 8.2454085636 Long STIV RF US N 1 2099-12-01 Variable 2.6440965 N N N N N N Sensata Technologies B.V. PUCKW5P5O3XMOZVH7T53 Sensata Technologies B.V. 81725WAH6 670000 PA USD 652262.67 0.0114808447 Long DBT CORP US N 2 2024-11-01 Fixed 5.625 N N N N N N Sensata Technologies B.V. PUCKW5P5O3XMOZVH7T53 Sensata Technologies B.V. 81725WAJ2 4400000 PA USD 4191129.36 0.0737704420 Long DBT CORP US N 2 2025-10-01 Fixed 5 N N N N N N Sensata Technologies UK Financing Co. PLC N/A Sensata Technologies UK Financing Co. PLC 81727TAA6 2235000 PA USD 2187119.93 0.0384967368 Long DBT CORP US N 2 2026-02-15 Fixed 6.25 N N N N N N Service Corporation International 549300RKVM2ME20JHZ15 Service Corporation International 817565CB8 3800000 PA USD 3865755.31 0.0680433491 Long DBT CORP US N 2 2024-05-15 Fixed 5.375 N N N N N HUB International Limited 549300JQT6ATTUNS5E06 HUB International Limited 44332PAD3 1920000 PA USD 1902064.44 0.0334793137 Long DBT CORP US N 2 2026-05-01 Fixed 7 N N N N N N T. Rowe Price Institutional Floating Rate Fund 549300O4BT3AMY6OUC26 T. Rowe Price Institutional Floating Rate Fund 77958B402 129206.121 NS USD 1099544.09 0.0193536984 Long EC RF US N 1 N N N T-Mobile USA, Inc. 549300V2JRLO5DIFGE82 T-Mobile USA, Inc. 87264AAM7 1815000 PA USD 1824748.07 0.0321184245 Long DBT CORP US N 2 2023-03-01 Fixed 6 N N N N N N T-Mobile USA, Inc. 549300V2JRLO5DIFGE82 T-Mobile USA, Inc. 87264AAP0 1025000 PA USD 1076538.89 0.0189487708 Long DBT CORP US N 2 2026-01-15 Fixed 6.5 N N N N N N U.S. Bancorp N1GZ7BBF3NP8GI976H15 U.S. Bancorp 902973AZ9 2650000 PA USD 2562051.01 0.0450961112 Long DBT CORP US N 2 2500-12-31 Fixed 5.3 N N N N N N Linde Public Limited Company 8945002PAZHZLBGKGF02 Linde Public Limited Company N/A 335667 NS USD 58070391 1.0221298474 Long EC CORP IE N 1 N N N Shell International Finance B.V. 213800ITMMKU4Z7I4F78 Shell International Finance B.V. 822582BH4 2310000 PA USD 2310955.23 0.0406764321 Long DBT CORP US N 2 2020-05-11 Floating 2.18088 N N N N N N Hub International Limited N/A Hub International Limited N/A 520000 PA USD 487500 0.0085807637 Long LON CORP US N 2 2025-04-25 Floating 0 N N N N N N UnitedHealth Group Incorporated 549300GHBMY8T5GXDE41 UnitedHealth Group Incorporated 91324P102 404698 NS USD 100923587.2 1.7764132290 Long EC CORP US N 1 N N N Xylem Inc. 549300DF5MV96DRYLQ48 Xylem Inc. 98419MAB6 125000 PA USD 129803.61 0.0022847469 Long DBT CORP US N 2 2021-10-01 Fixed 4.875 N N N N N N LGC Group TL B 1L N/A LGC Group TL B 1L N/A 17685000 PA USD 15209100 0.2677039847 Long LON CORP US N 2 2027-01-24 Floating 0 N N N N N N Xylem Inc. 549300DF5MV96DRYLQ48 Xylem Inc. 98419MAJ9 220000 PA USD 218484.4 0.0038456677 Long DBT CORP US N 2 2026-11-01 Fixed 3.25 N N N N N N Yum! Brands, Inc. 549300JE8XHZZ7OHN517 Yum! Brands, Inc. 988498AD3 3355000 PA USD 3225061.02 0.0567661259 Long DBT CORP DE N 2 2037-11-15 Fixed 6.875 N N N N N N Xcel Energy Inc. LGJNMI9GH8XIDG5RCM61 Xcel Energy Inc. 98389B100 941970 NS USD 56800791 0.9997828986 Long EC CORP US N 1 N N N Hub International Limited N/A Hub International Limited N/A 630000 PA USD 585270 0.0103016688 Long LON CORP US N 2 2025-04-25 Floating 0 N N N N N N Yum! Brands, Inc. 549300JE8XHZZ7OHN517 Yum! Brands, Inc. 988498AG6 5645000 PA USD 5602054.59 0.0986049363 Long DBT CORP US N 2 2020-11-01 Fixed 3.875 N N N N N Yum! Brands, Inc. 549300JE8XHZZ7OHN517 Yum! Brands, Inc. 988498AH4 10046000 PA USD 9677856.49 0.1703454343 Long DBT CORP US N 2 2021-11-01 Fixed 3.75 N N N N N N Yum! Brands, Inc. 549300JE8XHZZ7OHN517 Yum! Brands, Inc. 988498AJ0 5450000 PA USD 5158214.03 0.0907926471 Long DBT CORP DE N 2 2023-11-01 Fixed 3.875 N N N N N N Yum! Brands, Inc. 549300JE8XHZZ7OHN517 Yum! Brands, Inc. 988498AK7 11005000 PA USD 9333804.91 0.1642895876 Long DBT CORP DE N 2 2043-11-01 Fixed 5.35 N N N N N N Refinitiv US Holdings Inc. N/A Refinitiv US Holdings Inc. N/A 116815306.1 PA USD 111655574 1.9653130081 Long LON CORP US N 2 2025-09-12 Floating 4.2393816 N N N N N N Fiserv, Inc. GI7UBEJLXYLGR2C7GV83 Fiserv, Inc. 337738108 2312851 NS USD 219697716.5 3.8670239615 Long EC CORP US N 1 N N N CPI Holdco, LLC N/A CPI Holdco, LLC N/A 1870000 PA USD 1608200 0.0283068392 Long LON CORP US N 3 2026-10-28 Floating 5.7001284 N N N N N N Hub International Limited N/A Hub International Limited N/A 15506137.5 PA USD 14537003.91 0.2558740407 Long LON CORP US N 2 2025-04-25 Floating 5.6917512 N N N N N N Intercontinental Exchange, Inc. 5493000F4ZO33MV32P92 Intercontinental Exchange, Inc. 45866F104 1247953 NS USD 100772204.8 1.7737486617 Long EC CORP US N 1 N N N Raytheon Company YR6K3WJN0KKLUPZSNL57 Raytheon Company 755111507 679250 NS USD 89083637.5 1.5680115673 Long EC CORP US N 1 N N N Reckitt Benckiser Treasury Services PLC 213800LAXWIUOOBZ3908 Reckitt Benckiser Treasury Services PLC 75625QAC3 9875000 PA USD 9774828.99 0.1720523023 Long DBT CORP US N 2 2022-06-24 Fixed 2.375 N N N N N N Reckitt Benckiser Treasury Services PLC 213800LAXWIUOOBZ3908 Reckitt Benckiser Treasury Services PLC 75625QAF6 3800000 PA USD 3796656 0.0668270930 Long DBT CORP US N 2 2022-06-24 Floating 1.7641296 N N N N N N Waste Connections, Inc. 549300HDLRTPBQU69P29 Waste Connections, Inc. 94106B101 386146 NS USD 29926315 0.5267500228 Long EC CORP CA N 1 N N N NuStar Logistics, L.P. N62BF2PKP51FIIOIUN20 NuStar Logistics, L.P. 67059TAB1 2190000 PA USD 1909238.36 0.0336055859 Long DBT CORP US N 2 2020-09-01 Fixed 4.8 N N N N N N Sirius XM Radio Inc. WP5O65E6BMU84LNO4227 Sirius XM Radio Inc. 82967NAL2 4215000 PA USD 4219612.85 0.0742717961 Long DBT CORP US N 2 2023-05-15 Fixed 4.625 N N N N N N Gartner, Inc. N/A Gartner, Inc. N/A 818219.18 PA USD 777308.22 0.0136818423 Long LON CORP US N 2 2022-03-20 Floating 2.4893784 N N N N N N Refinitiv US Holdings Inc. N/A Refinitiv US Holdings Inc. N/A 3665000 PA USD 3503116.95 0.0616603459 Long LON CORP US N 2 2025-09-12 Floating 0 N N N N N N Ultimate Software Group Inc(The) N/A Ultimate Software Group Inc(The) N/A 1880550 PA USD 1745770.98 0.0307283040 Long LON CORP US N 2 2026-04-08 Floating 4.7393784 N N N N N N Alphabet Inc. 5493006MHB84DD0ZWV18 Alphabet Inc. 02079K107 112800 NS USD 131164968 2.3087089035 Long EC CORP US N 1 N N N Alphabet Inc. 5493006MHB84DD0ZWV18 Alphabet Inc. 02079K305 6 NS USD 6971.7 0.0001227128 Long EC CORP US N 1 N N N The Bank of New York Mellon Corporation WFLLPEPC7FZXENRZV188 The Bank of New York Mellon Corporation 064058AD2 6475000 PA USD 5649437.5 0.0994389497 Long DBT CORP US N 2 2500-12-31 Fixed 4.95 N N N N N N The Bank of New York Mellon Corporation WFLLPEPC7FZXENRZV188 The Bank of New York Mellon Corporation 064058AF7 5560000 PA USD 5012858.75 0.0882341665 Long DBT CORP US N 2 2500-12-31 Fixed 4.625 N N N N N N Elanco Animal Health 549300SHPNDCE059M934 Elanco Animal Health 28414HAF0 3940000 PA USD 3962847.35 0.0697523211 Long DBT CORP US N 2 2021-08-27 Fixed 4.662 N N N N N N Korn Ferry 549300FOD20OM0GT5G40 Korn Ferry 50067PAA7 1285000 PA USD 1121921.31 0.0197475725 Long DBT CORP US N 2 2027-12-15 Fixed 4.625 N N N N N N The PNC Financial Services Group, Inc. CFGNEKW0P8842LEUIA51 The PNC Financial Services Group, Inc. 693475AQ8 9185000 PA USD 8450200 0.1487367570 Long DBT CORP US N 2 2500-12-31 Fixed 5 N N N N N N US Airways, Inc. 5493004XNBKB5SFUJI60 US Airways, Inc. 90345WAD6 312752.46 PA USD 303885.65 0.0053488635 Long ABS-CBDO CORP US N 2 2025-06-03 Fixed 4.625 N N N N N N US Airways, Inc. 5493004XNBKB5SFUJI60 US Airways, Inc. 90345WAE4 117982.4 PA USD 116214.53 0.0020455578 Long ABS-CBDO CORP US N 2 2021-06-03 Fixed 6.75 N N N N N N US Airways, Inc. 5493004XNBKB5SFUJI60 US Airways, Inc. 90346WAA1 191793.82 PA USD 183320.87 0.0032267345 Long ABS-CBDO CORP US N 2 2025-11-15 Fixed 3.95 N N N N N N Wendy's Funding, LLC 5493009DRVSTWJOXUL48 Wendy's Funding, LLC 95058XAD0 2303000 PA USD 2091115.71 0.0368069122 Long ABS-CBDO CORP US N 2 2048-03-15 Fixed 3.573 N N N N N N Hub International Limited N/A Hub International Limited N/A 4113288.71 PA USD 3821245.21 0.0672599016 Long LON CORP US N 2 2025-04-25 Floating 4.3868808 N N N N N N NVA Holdings, Inc. N/A NVA Holdings, Inc. N/A 11625000 PA USD 11574198.75 0.2037240287 Long LON CORP US N 2 2022-09-19 Floating 3.2393808 N N N N N N CITIGROUP INC. MBNUM2BPBDO7JBLYG310 OPTION N/A -1626 NC USD -158535 -0.0027904643 N/A DE CORP US N 2 CITIGROUP INC. MBNUM2BPBDO7JBLYG310 Call Written American Electric Power Company, Inc. American Electric Power Company, Inc. 100 105.000000000000 USD 2021-01-15 XXXX 96747 N N N CITIGROUP INC. MBNUM2BPBDO7JBLYG310 OPTION N/A -511 NC USD -20440 -0.0003597760 N/A DE CORP US N 2 CITIGROUP INC. MBNUM2BPBDO7JBLYG310 Call Written American Electric Power Company, Inc. American Electric Power Company, Inc. 100 115.000000000000 USD 2021-01-15 XXXX 69756.61 N N N GOLDMAN SACHS FOR8UP27PHTHYVLBNG30 OPTION N/A -377 NC USD -24614.33 -0.0004332508 N/A DE CORP US N 2 GOLDMAN SACHS FOR8UP27PHTHYVLBNG30 Call Written Aptiv PLC Aptiv PLC 100 100.000000000000 USD 2021-01-15 XXXX 173372.77 N N N GOLDMAN SACHS FOR8UP27PHTHYVLBNG30 OPTION N/A -377 NC USD -28331.55 -0.0004986797 N/A DE CORP US N 2 GOLDMAN SACHS FOR8UP27PHTHYVLBNG30 Call Written Aptiv PLC Aptiv PLC 100 97.500000000000 USD 2021-01-15 XXXX 201996.68 N N N GOLDMAN SACHS FOR8UP27PHTHYVLBNG30 OPTION N/A -583 NC USD -139920 -0.0024628112 N/A DE CORP US N 2 GOLDMAN SACHS FOR8UP27PHTHYVLBNG30 Call Written Becton, Dickinson and Company Becton, Dickinson and Company 100 300.000000000000 USD 2021-01-15 XXXX 463769.64 N N N JP MORGAN CHASE & CO ZBUT11V806EZRVTWT807 OPTION N/A -301 NC USD -99330 -0.0017483636 N/A DE CORP US N 2 JP MORGAN CHASE & CO ZBUT11V806EZRVTWT807 Call Written Danaher Corporation Danaher Corporation 100 185.000000000000 USD 2021-01-15 XXXX 43088.15 N N N JP MORGAN CHASE & CO ZBUT11V806EZRVTWT807 OPTION N/A -301 NC USD -92557.5 -0.0016291570 N/A DE CORP US N 2 JP MORGAN CHASE & CO ZBUT11V806EZRVTWT807 Call Written Danaher Corporation Danaher Corporation 100 190.000000000000 USD 2021-01-15 XXXX 9418.29 N N N JP MORGAN CHASE & CO ZBUT11V806EZRVTWT807 OPTION N/A -290 NC USD -11310 -0.0001990737 N/A DE CORP US N 2 JP MORGAN CHASE & CO ZBUT11V806EZRVTWT807 Call Written Facebook, Inc. Facebook, Inc. 100 265.000000000000 USD 2021-01-15 XXXX 277940 N N N JP MORGAN CHASE & CO ZBUT11V806EZRVTWT807 OPTION N/A -290 NC USD -16959.2 -0.0002985085 N/A DE CORP US N 2 JP MORGAN CHASE & CO ZBUT11V806EZRVTWT807 Call Written Facebook, Inc. Facebook, Inc. 100 270.000000000000 USD 2021-01-15 XXXX 238940.8 N N N JP MORGAN CHASE & CO ZBUT11V806EZRVTWT807 OPTION N/A -290 NC USD -15370 -0.0002705361 N/A DE CORP US N 2 JP MORGAN CHASE & CO ZBUT11V806EZRVTWT807 Call Written Facebook, Inc. Facebook, Inc. 100 275.000000000000 USD 2021-01-15 XXXX 209415 N N N JP MORGAN CHASE & CO ZBUT11V806EZRVTWT807 OPTION N/A -29084 NC USD -494428 -0.0087027073 N/A DE CORP US N 2 JP MORGAN CHASE & CO ZBUT11V806EZRVTWT807 Call Written General Electric Company General Electric Company 100 15.000000000000 USD 2021-01-15 XXXX 1663874.83 N N N CITIGROUP INC. MBNUM2BPBDO7JBLYG310 OPTION N/A -113 NC USD -271200 -0.0047735448 N/A DE CORP US N 2 CITIGROUP INC. MBNUM2BPBDO7JBLYG310 Call Written Alphabet Inc. Alphabet Inc. 100 1500.000000000000 USD 2021-01-15 XXXX 524891 N N N GOLDMAN SACHS FOR8UP27PHTHYVLBNG30 OPTION N/A -33 NC USD -16170 -0.0002846173 N/A DE CORP US N 2 GOLDMAN SACHS FOR8UP27PHTHYVLBNG30 Call Written Alphabet Inc. Alphabet Inc. 100 1740.000000000000 USD 2021-01-15 XXXX 135681 N N N GOLDMAN SACHS FOR8UP27PHTHYVLBNG30 OPTION N/A -33 NC USD -15345 -0.0002700960 N/A DE CORP US N 2 GOLDMAN SACHS FOR8UP27PHTHYVLBNG30 Call Written Alphabet Inc. Alphabet Inc. 100 1760.000000000000 USD 2021-01-15 XXXX 121586 N N N GOLDMAN SACHS FOR8UP27PHTHYVLBNG30 OPTION N/A -33 NC USD -12111 -0.0002131726 N/A DE CORP US N 2 GOLDMAN SACHS FOR8UP27PHTHYVLBNG30 Call Written Alphabet Inc. Alphabet Inc. 100 1780.000000000000 USD 2021-01-15 XXXX 111300 N N N GOLDMAN SACHS FOR8UP27PHTHYVLBNG30 OPTION N/A -33 NC USD -11715 -0.0002062024 N/A DE CORP US N 2 GOLDMAN SACHS FOR8UP27PHTHYVLBNG30 Call Written Alphabet Inc. Alphabet Inc. 100 1800.000000000000 USD 2021-01-15 XXXX 99166 N N N CITIGROUP INC. MBNUM2BPBDO7JBLYG310 OPTION N/A -152 NC USD -11704 -0.0002060087 N/A DE CORP US N 2 CITIGROUP INC. MBNUM2BPBDO7JBLYG310 Call Written Hilton Worldwide Holdings Inc. Hilton Worldwide Holdings Inc. 100 125.000000000000 USD 2021-01-15 XXXX 70562.13 N N N CITIGROUP INC. MBNUM2BPBDO7JBLYG310 OPTION N/A -152 NC USD -14440 -0.0002541666 N/A DE CORP US N 2 CITIGROUP INC. MBNUM2BPBDO7JBLYG310 Call Written Hilton Worldwide Holdings Inc. Hilton Worldwide Holdings Inc. 100 130.000000000000 USD 2021-01-15 XXXX 45177.19 N N N JP MORGAN CHASE & CO ZBUT11V806EZRVTWT807 OPTION N/A -3142 NC USD -4138014 -0.0728355285 N/A DE CORP US N 2 JP MORGAN CHASE & CO ZBUT11V806EZRVTWT807 Call Written Microsoft Corporation Microsoft Corporation 100 170.000000000000 USD 2021-01-15 XXXX -749469.73 N N N CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 OPTION N/A -2592 NC USD -3965760 -0.0698035883 N/A DE CORP US N 2 CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 Call Written Microsoft Corporation Microsoft Corporation 100 165.000000000000 USD 2021-01-15 XXXX -1814086.9 N N N CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 OPTION N/A -117 NC USD -42705 -0.0007516749 N/A DE CORP US N 2 CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 Call Written NextEra Energy, Inc. NextEra Energy, Inc. 100 310.000000000000 USD 2021-01-15 XXXX 55399.5 N N N CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 OPTION N/A -118 NC USD -26845 -0.0004725141 N/A DE CORP US N 2 CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 Call Written NextEra Energy, Inc. NextEra Energy, Inc. 100 320.000000000000 USD 2021-01-15 XXXX 43223.4 N N N CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 OPTION N/A -1272 NC USD -245496 -0.0043211142 N/A DE CORP US N 2 CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 Call Written NXP Semiconductors N.V. NXP Semiconductors N.V. 100 140.000000000000 USD 2021-01-15 XXXX 704409.2 N N N GOLDMAN SACHS FOR8UP27PHTHYVLBNG30 OPTION N/A -96 NC USD -6102.72 -0.0001074174 N/A DE CORP US N 2 GOLDMAN SACHS FOR8UP27PHTHYVLBNG30 Call Written Roper Technologies, Inc. Roper Technologies, Inc. 100 430.000000000000 USD 2020-08-21 XXXX 66715.2 N N N ROYAL BANK OF CANADA N/A OPTION N/A -99 NC USD -49500 -0.0008712775 N/A DE CORP US N 2 ROYAL BANK OF CANADA N/A Call Written Thermo Fisher Scientific Inc. Thermo Fisher Scientific Inc. 100 370.000000000000 USD 2021-01-15 XXXX 89674.2 N N N ROYAL BANK OF CANADA N/A OPTION N/A -98 NC USD -23520 -0.0004139888 N/A DE CORP US N 2 ROYAL BANK OF CANADA N/A Call Written Thermo Fisher Scientific Inc. Thermo Fisher Scientific Inc. 100 390.000000000000 USD 2021-01-15 XXXX 57642.62 N N N ROYAL BANK OF CANADA N/A OPTION N/A -493 NC USD -122017.5 -0.0021476991 N/A DE CORP US N 2 ROYAL BANK OF CANADA N/A Call Written Thermo Fisher Scientific Inc. Thermo Fisher Scientific Inc. 100 400.000000000000 USD 2021-01-15 XXXX 242196.69 N N N CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 OPTION N/A -908 NC USD -177060 -0.0031165334 N/A DE CORP US N 2 CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 Call Written Visa Inc. Visa Inc. 100 230.000000000000 USD 2021-01-15 XXXX 562063.12 N N N CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 OPTION N/A -673 NC USD -128879.5 -0.0022684811 N/A DE CORP US N 2 CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 Call Written Visa Inc. Visa Inc. 100 235.000000000000 USD 2021-01-15 XXXX 283540.9 N N N CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 OPTION N/A -908 NC USD -125758 -0.0022135378 N/A DE CORP US N 2 CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 Call Written Visa Inc. Visa Inc. 100 240.000000000000 USD 2021-01-15 XXXX 365675 N N N CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 OPTION N/A -389 NC USD -217840 -0.0038343252 N/A DE CORP US N 2 CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 Call Written Xcel Energy Inc. Xcel Energy Inc. 100 60.000000000000 USD 2020-10-16 XXXX -60139.4 N N N CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 OPTION N/A -389 NC USD -136150 -0.0023964533 N/A DE CORP US N 2 CREDIT SUISSE GROUP AG 1V8Y6QCX6YMJ2OELII46 Call Written Xcel Energy Inc. Xcel Energy Inc. 100 65.000000000000 USD 2020-10-16 XXXX -57144.1 N N N Jackson National Asset Management, LLC N/A JNL Securities Lending Collateral Fund 46628D411 14507302.5 NS USD 14507302.5 0.2553512493 Long STIV RF US N 1 N N 2020-05-28 Jackson Variable Series Trust Daniel W. Koors Daniel W. Koors Principal Financial Officer XXXX NPORT-EX 2 jvstsaf033120.htm JACKSON VARIABLE SERIES TRUST SUB-ADVISED FUNDS Untitled Document

Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares

 

Value ($)

 

JNL iShares Tactical Growth Fund

INVESTMENT COMPANIES 99.9%

Domestic Equity 36.3%

 

iShares Core S&P 500 ETF (a)

 

38

 

9,937

 
 

iShares Core S&P Mid-Cap ETF

 

128

 

18,365

 
 

iShares Edge MSCI USA Quality Factor ETF (a)

 

290

 

23,461

 
 

iShares Morningstar Large-Cap Value ETF

 

78

 

6,784

 
 

iShares S&P SmallCap 600 Index ETF (a)

 

64

 

3,612

 
 

iShares U.S. Consumer Services ETF (a)

 

25

 

4,415

 
 

iShares U.S. Technology ETF (a)

 

31

 

6,283

 
 

72,857

 

Domestic Fixed Income 18.7%

 

iShares 0-5 Year High Yield Corporate Bond ETF (a)

 

51

 

2,081

 
 

iShares Core Total U.S. Bond Market ETF (a)

 

78

 

8,963

 
 

iShares Liquidity Income ETF (a)

 

148

 

7,411

 
 

iShares MBS ETF (a)

 

133

 

14,649

 
 

iShares Short-Term Corporate Bond ETF (a)

 

84

 

4,420

 
 

37,524

 

Global Equity 13.8%

 

iShares Exponential Technologies ETF

 

512

 

18,247

 
 

iShares Global Healthcare ETF (a)

 

155

 

9,413

 
 

27,660

 

International Equity 12.6%

 

iShares Core MSCI EAFE ETF

 

188

 

9,393

 
 

iShares Edge MSCI Intl Quality Factor ETF (a)

 

615

 

15,892

 
 

25,285

 

Emerging Markets Equity 11.3%

 

iShares Core MSCI Emerging Markets ETF

 

561

 

22,710

 

Alternative 5.2%

 

iShares Global Infrastructure ETF (a)

 

192

 

6,564

 
 

iShares U.S. Real Estate ETF (a)

 

57

 

3,933

 
 

10,497

 

Emerging Markets Fixed Income 2.0%

 

iShares JPMorgan USD Emerging Markets Bond ETF (a)

 

43

 

4,127

 
 

Total Investment Companies (cost $221,280)

200,660

 

SHORT TERM INVESTMENTS 15.7%

Securities Lending Collateral 15.6%

 

JNL Securities Lending Collateral Fund - Institutional Class, 0.25% (b) (c)

 

31,367

 

31,367

 

Investment Companies 0.1%

 

JNL Government Money Market Fund - Institutional Class, 0.23% (b) (c)

 

143

 

143

 
 

Total Short Term Investments (cost $31,510)

31,510

 

Total Investments 115.6% (cost $252,790)

232,170

 

Other Assets and Liabilities, Net (15.6)%

(31,293)

 

Total Net Assets 100.0%

 

200,877

 

(a)  All or a portion of the security was on loan as of March 31, 2020.

(b)  Investment in affiliate.

(c)  Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

        

JNL iShares Tactical Moderate Fund

INVESTMENT COMPANIES 99.4%

Domestic Fixed Income 55.9%

 

iShares 0-5 Year High Yield Corporate Bond ETF (a)

 

101

 

4,134

 
 

iShares 0-5 Year TIPS Bond ETF (a)

 

37

 

3,732

 
 

iShares Core Total U.S. Bond Market ETF

 

166

 

19,182

 
 

iShares Liquidity Income ETF (a)

 

265

 

13,216

 
 

iShares MBS ETF

 

270

 

29,836

 
 

iShares Short-Term Corporate Bond ETF (a)

 

168

 

8,779

 
 

78,879

 

Domestic Equity 20.1%

 

iShares Core S&P 500 ETF

 

28

 

7,241

 
 

iShares Core S&P Mid-Cap ETF

 

44

 

6,386

 
 

iShares Edge MSCI USA Quality Factor ETF (a)

 

105

 

8,506

 
 

iShares Morningstar Large-Cap Value ETF

 

22

 

1,917

 
 

iShares S&P SmallCap 600 Index ETF (a)

 

16

 

886

 
 

iShares U.S. Consumer Services ETF (a)

 

7

 

1,290

 
  

Shares

 

Value ($)

 
 

iShares U.S. Technology ETF (a)

 

10

 

2,074

 
 

28,300

 

International Equity 6.4%

 

iShares Core MSCI EAFE ETF

 

53

 

2,615

 
 

iShares Edge MSCI Intl Quality Factor ETF (a)

 

249

 

6,439

 
 

9,054

 

Global Equity 5.6%

 

iShares Exponential Technologies ETF (a)

 

123

 

4,366

 
 

iShares Global Healthcare ETF (a)

 

58

 

3,562

 
 

7,928

 

Emerging Markets Fixed Income 4.7%

 

iShares JPMorgan USD Emerging Markets Bond ETF (a)

 

69

 

6,657

 

Emerging Markets Equity 4.6%

 

iShares Core MSCI Emerging Markets ETF

 

158

 

6,400

 

Alternative 2.1%

 

iShares Global Infrastructure ETF (a)

 

51

 

1,733

 
 

iShares U.S. Real Estate ETF (a)

 

17

 

1,149

 
 

2,882

 
 

Total Investment Companies (cost $147,265)

140,100

 

SHORT TERM INVESTMENTS 16.0%

Securities Lending Collateral 15.7%

 

JNL Securities Lending Collateral Fund - Institutional Class, 0.25% (b) (c)

 

22,119

 

22,119

 

Investment Companies 0.3%

 

JNL Government Money Market Fund - Institutional Class, 0.23% (b) (c)

 

475

 

475

 
 

Total Short Term Investments (cost $22,594)

22,594

 

Total Investments 115.4% (cost $169,859)

162,694

 

Other Assets and Liabilities, Net (15.4)%

(21,666)

 

Total Net Assets 100.0%

 

141,028

 

(a)  All or a portion of the security was on loan as of March 31, 2020.

(b)  Investment in affiliate.

(c)  Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

       

JNL iShares Tactical Moderate Growth Fund

INVESTMENT COMPANIES 99.9%

Domestic Fixed Income 37.1%

 

iShares 0-5 Year High Yield Corporate Bond ETF (a)

 

125

 

5,102

 
 

iShares 0-5 Year TIPS Bond ETF (a)

 

35

 

3,443

 
 

iShares Core Total U.S. Bond Market ETF (a)

 

215

 

24,754

 
 

iShares Liquidity Income ETF

 

296

 

14,763

 
 

iShares MBS ETF

 

319

 

35,230

 
 

iShares Short-Term Corporate Bond ETF (a)

 

207

 

10,841

 
 

94,133

 

Domestic Equity 28.8%

 

iShares Core S&P 500 ETF

 

52

 

13,436

 
 

iShares Core S&P Mid-Cap ETF (a)

 

122

 

17,486

 
 

iShares Edge MSCI USA Quality Factor ETF (a)

 

303

 

24,574

 
 

iShares Morningstar Large-Cap Value ETF

 

62

 

5,340

 
 

iShares S&P SmallCap 600 Index ETF (a)

 

49

 

2,761

 
 

iShares U.S. Consumer Services ETF

 

20

 

3,596

 
 

iShares U.S. Technology ETF (a)

 

28

 

5,771

 
 

72,964

 

Global Equity 10.6%

 

iShares Exponential Technologies ETF

 

490

 

17,437

 
 

iShares Global Healthcare ETF

 

157

 

9,554

 
 

26,991

 

International Equity 9.3%

 

iShares Core MSCI EAFE ETF

 

146

 

7,280

 
 

iShares Edge MSCI Intl Quality Factor ETF (a)

 

628

 

16,242

 
 

23,522

 

Emerging Markets Equity 7.0%

 

iShares Core MSCI Emerging Markets ETF

 

440

 

17,808

 

Emerging Markets Fixed Income 3.9%

 

iShares JPMorgan USD Emerging Markets Bond ETF (a)

 

102

 

9,896

 

1


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares

 

Value ($)

 

Alternative 3.2%

 

iShares Global Infrastructure ETF (a)

 

141

 

4,822

 
 

iShares U.S. Real Estate ETF (a)

 

46

 

3,205

 
 

8,027

 
 

Total Investment Companies (cost $267,833)

253,341

 

SHORT TERM INVESTMENTS 13.3%

Securities Lending Collateral 12.9%

 

JNL Securities Lending Collateral Fund - Institutional Class, 0.25% (b) (c)

 

32,625

 

32,625

 

Investment Companies 0.4%

 

JNL Government Money Market Fund - Institutional Class, 0.23% (b) (c)

 

1,161

 

1,161

 
 

Total Short Term Investments (cost $33,786)

33,786

 

Total Investments 113.2% (cost $301,619)

287,127

 

Other Assets and Liabilities, Net (13.2)%

(33,562)

 

Total Net Assets 100.0%

 

253,565

 

(a)  All or a portion of the security was on loan as of March 31, 2020.

(b)  Investment in affiliate.

(c)  Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

2


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 

JNL/DFA U.S. Small Cap Fund

COMMON STOCKS 100.0%

Financials 20.8%

 

1st Constitution Bancorp

 

1

 

8

 
 

1st Security Bank of Washington

 

 

17

 
 

1st Source Corporation

 

2

 

66

 
 

ACNB Corporation

 

1

 

22

 
 

Affiliated Managers Group, Inc.

 

3

 

160

 
 

Allegiance Bancshares, Inc.

 

2

 

46

 
 

A-Mark Precious Metals, Inc. (a)

 

1

 

10

 
 

Ambac Financial Group, Inc. (a)

 

5

 

59

 
 

American Equity Investment Life Holding Company

 

7

 

137

 
 

American National Bankshares Inc.

 

1

 

26

 
 

American National Insurance Company

 

2

 

140

 
 

American River Bankshares

 

1

 

9

 
 

Ameris Bancorp

 

5

 

124

 
 

Amerisafe, Inc.

 

2

 

102

 
 

Argo Group International Holdings, Ltd.

 

3

 

113

 
 

Arrow Financial Corporation

 

2

 

46

 
 

Artisan Partners Asset Management Inc. - Class A

 

4

 

89

 
 

Associated Banc-Corp

 

12

 

152

 
 

Associated Capital Group Inc. - Class A

 

 

11

 
 

Assured Guaranty Ltd.

 

6

 

146

 
 

Asta Funding, Inc. (a)

 

 

2

 
 

Atlantic Capital Bancshares, Inc. (a)

 

3

 

30

 
 

Atlantic Union Bank

 

6

 

132

 
 

Atlanticus Holdings Corporation (a)

 

2

 

19

 
 

Axos Financial, Inc. (a)

 

5

 

93

 
 

Banc of California, Inc.

 

5

 

38

 
 

BancFirst Corporation

 

3

 

87

 
 

BancorpSouth Bank

 

8

 

142

 
 

Bank of Hawaii Corporation (b)

 

2

 

121

 
 

Bank of Marin Bancorp

 

1

 

38

 
 

Bank of N.T. Butterfield & Son Limited (The)

 

4

 

73

 
 

Bank OZK

 

8

 

135

 
 

BankFinancial Corporation

 

2

 

14

 
 

BankUnited, Inc.

 

6

 

116

 
 

Banner Corporation

 

3

 

99

 
 

Bar Harbor Bankshares

 

2

 

26

 
 

Baycom Corp (a)

 

1

 

13

 
 

BCB Bancorp, Inc.

 

2

 

21

 
 

Berkshire Hills Bancorp, Inc.

 

4

 

61

 
 

BGC Partners, Inc. - Class A

 

24

 

60

 
 

Blucora, Inc. (a)

 

4

 

51

 
 

Boston Private Financial Holdings Inc.

 

7

 

51

 
 

Bridge Bancorp Inc.

 

2

 

40

 
 

Bridgewater Bancshares, Inc. (a)

 

3

 

32

 
 

Brighthouse Financial, Inc. (a)

 

6

 

153

 
 

Brightsphere Investment Group Inc.

 

8

 

49

 
 

Brookline Bancorp, Inc.

 

6

 

73

 
 

Bryn Mawr Bank Corp.

 

2

 

50

 
 

Byline Bancorp, Inc.

 

3

 

34

 
 

C&F Financial Corporation

 

 

16

 
 

Cadence Bancorporation - Class A

 

9

 

60

 
 

Cambridge Bancorp (b)

 

1

 

31

 
 

Camden National Corp.

 

2

 

49

 
 

Cannae Holdings, Inc. (a)

 

5

 

180

 
 

Capital City Bank Group Inc.

 

2

 

37

 
 

Capitol Federal Financial

 

11

 

127

 
 

Capstar Financial Holdings, Inc.

 

2

 

19

 
 

Carolina Financial Corp.

 

1

 

39

 
 

Cathay General Bancorp

 

6

 

140

 
 

CBTX, Inc.

 

2

 

42

 
 

Centerstate Bank Corporation

 

7

 

124

 
 

Central Pacific Financial Corp.

 

2

 

35

 
 

Central Valley Community Bancorp

 

1

 

12

 
 

Century Bancorp Inc. - Class A

 

 

22

 
 

Chemung Financial Corporation

 

 

6

 
 

CIT Group Inc.

 

6

 

104

 
 

Citizens & Northern Corp.

 

 

8

 
 

Citizens Inc. - Class A (a) (b)

 

4

 

26

 
 

City Holdings Co.

 

1

 

79

 
 

Civista Bancshares Inc.

 

2

 

30

 
 

CNB Financial Corp.

 

1

 

26

 
 

Cohen & Steers, Inc.

 

4

 

162

 
 

Columbia Banking System Inc.

 

6

 

155

 
 

Columbia Financial, Inc. (a)

 

9

 

124

 
 

Community Bank System Inc.

 

3

 

175

 
 

Community Bankers Trust Corp.

 

1

 

7

 
 

Community Trust Bancorp Inc.

 

2

 

48

 
 

ConnectOne Bancorp, Inc.

 

3

 

46

 
 

Cowen Inc. - Class A

 

2

 

19

 
 

Crawford & Co. - Class A

 

3

 

20

 
 

Crawford & Co. - Class B

 

3

 

18

 
 

Curo Group Holdings Corp.

 

3

 

19

 
 

Customers Bancorp, Inc. (a)

 

2

 

27

 
 

CVB Financial Corp.

 

8

 

170

 
 

Diamond Hill Investment Group, Inc.

 

 

34

 
 

Dime Community Bancshares Inc.

 

2

 

31

 
 

Donegal Group Inc. - Class A

 

4

 

55

 
 

Donnelley Financial Solutions, Inc. (a)

 

4

 

21

 
 

Eagle Bancorp Inc.

 

3

 

82

 
 

Eaton Vance Corp.

 

3

 

95

 
 

eHealth, Inc. (a)

 

2

 

236

 
 

Elevate Credit, Inc. (a)

 

4

 

5

 
 

Employer Holdings Inc.

 

3

 

104

 
 

Encore Capital Group, Inc. (a)

 

3

 

59

 
 

Enova International, Inc. (a)

 

3

 

46

 
 

Enstar Group Limited (a)

 

1

 

175

 
 

Enterprise Bancorp Inc.

 

2

 

49

 
 

Enterprise Financial Services Corp.

 

2

 

61

 
 

Equity Bancshares, Inc. - Class A (a)

 

2

 

27

 
 

Esquire Financial Holdings, Inc. (a)

 

1

 

14

 
 

Essent Group Ltd.

 

4

 

101

 
 

Evercore Inc. - Class A

 

3

 

143

 
 

EZCORP, Inc. - Class A (a)

 

4

 

17

 
 

Farmers National Banc Corp.

 

3

 

39

 
 

FB Financial Corporation

 

3

 

50

 
 

FBL Financial Group, Inc. - Class A

 

2

 

101

 
 

Federal Agricultural Mortgage Corporation - Class C

 

1

 

50

 
 

Federated Investors, Inc. - Class B

 

8

 

147

 
 

Fednat Holding Company

 

1

 

17

 
 

Financial Institutions Inc.

 

1

 

26

 
 

First Bancorp.

 

3

 

58

 
 

First Bancorp.

 

18

 

94

 
 

First Bancshares Inc.

 

2

 

31

 
 

First Bank of New Jersey

 

1

 

9

 
 

First Busey Corporation

 

5

 

80

 
 

First Commonwealth Financial Corporation

 

8

 

77

 
 

First Community Bancshares, Inc.

 

2

 

39

 
 

First Defiance Financial Corp.

 

3

 

45

 
 

First Financial Bancorp.

 

8

 

122

 
 

First Financial Bankshares, Inc.

 

8

 

208

 
 

First Financial Corporation

 

1

 

40

 
 

First Financial Northwest, Inc.

 

1

 

7

 
 

First Foundation Inc.

 

4

 

42

 
 

First Hawaiian, Inc.

 

8

 

130

 
 

First Horizon National Corporation

 

2

 

18

 
 

First Internet Bancorp

 

1

 

22

 
 

First Interstate BancSystem, Inc. - Class A

 

3

 

93

 
 

First Merchants Corporation

 

5

 

124

 
 

First Mid Bancshares, Inc.

 

1

 

31

 
 

First Midwest Bancorp, Inc.

 

9

 

118

 
 

First United Corporation

 

 

7

 
 

FirstCash, Inc.

 

3

 

185

 
 

Flagstar Bancorp, Inc.

 

5

 

96

 
 

Flushing Financial Corp.

 

3

 

34

 
 

FNB Corp.

 

19

 

142

 
 

Franklin Financial Network, Inc.

 

1

 

28

 
 

Fulton Financial Corp.

 

13

 

151

 
 

GAIN Capital Holdings, Inc. (b)

 

2

 

12

 
 

GAMCO Investors Inc. - Class A

 

1

 

14

 
 

Genworth Financial, Inc. - Class A (a)

 

4

 

13

 
 

German American Bancorp Inc.

 

3

 

70

 
 

Glacier Bancorp, Inc.

 

5

 

184

 
 

Global Indemnity Ltd - Class A

 

1

 

18

 
 

Goosehead Insurance, Inc. - Class A (a)

 

1

 

56

 
 

Great Southern Bancorp Inc.

 

1

 

51

 
 

Great Western Bancorp Inc.

 

5

 

99

 

3


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 
 

Green Dot Corporation - Class A (a)

 

4

 

106

 
 

Greenhill & Co. Inc.

 

2

 

23

 
 

Greenlight Capital Re, Ltd. - Class A (a)

 

4

 

21

 
 

Guaranty Bancshares Inc.

 

1

 

25

 
 

Hallmark Financial Services, Inc. (a)

 

2

 

7

 
 

Hamilton Lane Inc. - Class A

 

2

 

85

 
 

Hancock Whitney Co.

 

7

 

130

 
 

Hanmi Financial Corp.

 

3

 

31

 
 

HarborOne Bancorp, Inc. (a)

 

5

 

37

 
 

HCI Group, Inc.

 

1

 

37

 
 

Heartland Financial USA, Inc.

 

3

 

85

 
 

Hennessy Advisors Inc. (b)

 

1

 

5

 
 

Heritage Commerce Corp.

 

5

 

38

 
 

Heritage Financial Corporation

 

3

 

60

 
 

Heritage Insurance Holdings, Inc.

 

3

 

33

 
 

Hingham Institution for Savings

 

 

36

 
 

Home Bancorp, Inc.

 

1

 

16

 
 

Home BancShares, Inc.

 

12

 

146

 
 

HomeStreet, Inc.

 

2

 

46

 
 

HomeTrust Bancshares Inc.

 

1

 

18

 
 

Hope Bancorp, Inc.

 

10

 

84

 
 

Horace Mann Educators Corp.

 

4

 

132

 
 

Horizon Bancorp Inc.

 

4

 

37

 
 

Houlihan Lokey Inc. - Class A

 

2

 

117

 
 

Howard Bancorp Inc. (a)

 

2

 

23

 
 

IberiaBank Corp.

 

3

 

121

 
 

Impac Mortgage Holdings, Inc. (a) (b)

 

1

 

3

 
 

Independence Holding Co.

 

 

8

 
 

Independence Holdings, LLC

 

1

 

21

 
 

Independent Bank Corp.

 

2

 

157

 
 

Independent Bank Group, Inc.

 

3

 

73

 
 

Interactive Brokers Group, Inc.

 

4

 

173

 
 

International Bancshares Corporation

 

5

 

143

 
 

INTL FCStone Inc. (a)

 

2

 

58

 
 

Investors Bancorp, Inc.

 

17

 

137

 
 

Investors Title Co.

 

 

32

 
 

James River Group, Inc.

 

2

 

89

 
 

Janus Henderson Group PLC

 

11

 

164

 
 

Kearny Financial Corp

 

3

 

26

 
 

Kemper Corp.

 

1

 

106

 
 

Kingstone Cos. Inc.

 

1

 

7

 
 

Kinsale Capital Group, Inc.

 

1

 

127

 
 

Lakeland Bancorp Inc.

 

5

 

50

 
 

Lakeland Financial Corp.

 

2

 

81

 
 

Lazard Ltd - Class A

 

3

 

63

 
 

LCNB Corp.

 

1

 

6

 
 

Legg Mason, Inc.

 

5

 

266

 
 

LendingClub Corporation (a)

 

8

 

59

 
 

LendingTree, Inc. (a) (b)

 

1

 

124

 
 

Live Oak Bancshares, Inc.

 

3

 

41

 
 

Longlade, Dr Charles W

 

2

 

29

 
 

Luther Burbank Corporation

 

4

 

38

 
 

Macatawa Bank Corp.

 

5

 

34

 
 

Maiden Holdings, Ltd. (a)

 

5

 

4

 
 

Manning & Napier, Inc. - Class A (b)

 

3

 

3

 
 

Marlin Business Services Inc.

 

1

 

8

 
 

MBIA Inc. (a)

 

6

 

39

 
 

Mercantile Bank Corp.

 

1

 

31

 
 

Merchants Bancorp, Inc.

 

3

 

39

 
 

Mercury General Corp.

 

4

 

150

 
 

Meridian Bancorp, Inc.

 

5

 

54

 
 

Meta Financial Group, Inc.

 

3

 

63

 
 

Metropolitan Bank Holding Corp. (a)

 

1

 

21

 
 

Midland States Bancorp Inc.

 

2

 

38

 
 

MidWestOne Financial Group Inc.

 

1

 

30

 
 

Moelis & Company LLC - Class A

 

4

 

117

 
 

Mr. Cooper Group Inc. (a)

 

8

 

57

 
 

MVB Financial Corp.

 

1

 

16

 
 

National Bank Holdings Corp. - Class A

 

3

 

65

 
 

National Bankshares Inc.

 

 

10

 
 

National General Holdings Corp.

 

5

 

90

 
 

National Western Life Group Inc. - Class A

 

 

53

 
 

Navient Corporation

 

15

 

112

 
 

NBT Bancorp Inc.

 

3

 

109

 
 

Nelnet, Inc. - Class A

 

2

 

102

 
 

Nicholas Financial, Inc. (a)

 

2

 

11

 
 

Nicolet Bankshares, Inc. (a)

 

1

 

45

 
 

NMI Holdings Inc. - Class A (a)

 

5

 

60

 
 

Northeast Bank

 

 

2

 
 

Northfield Bancorp Inc.

 

4

 

49

 
 

Northrim BanCorp Inc.

 

1

 

15

 
 

Northwest Bancshares Inc.

 

9

 

102

 
 

OceanFirst Financial Corp.

 

5

 

83

 
 

Ocwen Financial Corp. (a)

 

6

 

3

 
 

OFG Bancorp

 

4

 

47

 
 

Old National Bancorp

 

10

 

136

 
 

Old Second Bancorp Inc.

 

3

 

19

 
 

On Deck Capital Inc. (a)

 

8

 

12

 
 

Oppenheimer Holdings Inc. - Class A

 

2

 

31

 
 

Opus Bank

 

4

 

62

 
 

Origin Bancorp, Inc.

 

2

 

40

 
 

Pacific Mercantile Bancorp (a)

 

1

 

5

 
 

Pacific Premier Bancorp, Inc.

 

5

 

88

 
 

PacWest Bancorp

 

7

 

120

 
 

Park National Corp.

 

1

 

94

 
 

Peapack Gladstone Financial Corp.

 

2

 

36

 
 

PennyMac Financial Services, Inc.

 

6

 

129

 
 

Peoples Bancorp Inc.

 

2

 

47

 
 

People's Utah Bancorp

 

2

 

31

 
 

Pinnacle Financial Partners, Inc.

 

4

 

164

 
 

Piper Jaffray Cos.

 

1

 

54

 
 

PJT Partners Inc. - Class A

 

2

 

78

 
 

Popular Inc.

 

1

 

41

 
 

Preferred Bank

 

1

 

40

 
 

Primerica, Inc.

 

 

44

 
 

ProAssurance Corporation

 

4

 

107

 
 

Protective Insurance Company - Class B

 

1

 

17

 
 

Provident Financial Holdings Inc.

 

1

 

20

 
 

Provident Financial Services, Inc.

 

5

 

69

 
 

Pzena Investment Management, Inc. - Class A

 

1

 

5

 
 

QCR Holdings, Inc.

 

1

 

37

 
 

Radian Group Inc.

 

2

 

23

 
 

RBB Bancorp

 

2

 

25

 
 

Regional Management Corp. (a)

 

1

 

16

 
 

Renasant Corporation

 

5

 

100

 
 

Republic Bancorp Inc. - Class A

 

2

 

51

 
 

Republic First Bancorp Inc. (a)

 

5

 

11

 
 

Riverview Bancorp Inc.

 

3

 

13

 
 

RLI Corp.

 

3

 

249

 
 

S&T Bancorp Inc.

 

3

 

72

 
 

Safeguard Scientifics Inc.

 

1

 

8

 
 

Safety Insurance Group, Inc.

 

1

 

99

 
 

Sandy Spring Bancorp Inc.

 

3

 

75

 
 

Seacoast Banking Corp. of Florida (a)

 

4

 

79

 
 

Selective Insurance Group Inc.

 

4

 

187

 
 

ServisFirst Bancshares, Inc.

 

4

 

119

 
 

Sierra BanCorp

 

2

 

32

 
 

Silvercrest Asset Management Group Inc. - Class A

 

1

 

8

 
 

Simmons First National Corp. - Class A

 

8

 

148

 
 

SLM Corporation

 

26

 

186

 
 

Smartfinancial, Inc.

 

2

 

24

 
 

South State Corp.

 

2

 

135

 
 

Southern First Bancshares Inc. (a)

 

1

 

24

 
 

Southern Missouri Bancorp Inc.

 

1

 

23

 
 

Southern National Bancorp of Virginia Inc.

 

2

 

24

 
 

Southside Bancshares, Inc.

 

3

 

85

 
 

Spirit Of Texas Bancshares Inc. (a)

 

2

 

19

 
 

State Auto Financial Corp.

 

3

 

95

 
 

Sterling Bancorp

 

12

 

121

 
 

Sterling Bancorp, Inc.

 

5

 

20

 
 

Stewart Information Services Corp.

 

2

 

65

 
 

Stifel Financial Corp.

 

4

 

179

 
 

Stock Yards Bancorp Inc.

 

2

 

57

 
 

Summit Financial Group, Inc.

 

1

 

17

 
 

Synovus Financial Corp.

 

1

 

15

 
 

TCF Financial Corporation

 

9

 

212

 
 

Telaria Inc. (a)

 

5

 

32

 
 

Territorial Bancorp Inc.

 

1

 

26

 
 

Texas Capital Bancshares, Inc. (a)

 

3

 

63

 
 

The Bancorp, Inc. (a)

 

5

 

32

 

4


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 
 

The First Bancorp, Inc.

 

2

 

39

 
 

The First of Long Island Corporation

 

2

 

43

 
 

The PRA Group, Inc. (a)

 

4

 

99

 
 

Third Point Reinsurance Ltd. (a)

 

9

 

66

 
 

Timberland Bancorp Inc.

 

1

 

13

 
 

Tompkins Financial Corp.

 

1

 

84

 
 

TowneBank

 

6

 

106

 
 

Trico Bancshares

 

3

 

76

 
 

Tristate Capital Holdings, Inc. (a)

 

3

 

28

 
 

Triumph Bancorp, Inc. (a)

 

2

 

55

 
 

Trupanion Inc. (a) (b)

 

1

 

37

 
 

TrustCo Bank Corp.

 

9

 

49

 
 

Trustmark Corp.

 

5

 

110

 
 

UMB Financial Corp.

 

3

 

132

 
 

Umpqua Holdings Corp.

 

13

 

143

 
 

United Bankshares Inc.

 

6

 

140

 
 

United Community Banks, Inc.

 

6

 

112

 
 

United Fire Group Inc.

 

2

 

70

 
 

United Insurance Holdings Corp.

 

5

 

43

 
 

Universal Insurance Holdings, Inc.

 

3

 

59

 
 

Univest Financial Corporation

 

2

 

39

 
 

Valley National Bancorp

 

26

 

187

 
 

Veritex Holdings Inc.

 

2

 

31

 
 

Virtu Financial Inc. - Class A

 

6

 

116

 
 

Virtus Partners, Inc.

 

1

 

44

 
 

Waddell & Reed Financial Inc. - Class A (b)

 

4

 

51

 
 

Walker & Dunlop, Inc.

 

2

 

95

 
 

Washington Federal Inc.

 

6

 

161

 
 

Washington Trust Bancorp, Inc.

 

1

 

52

 
 

Waterstone Financial, Inc.

 

2

 

36

 
 

Webster Financial Corp.

 

6

 

130

 
 

WesBanco Inc.

 

5

 

129

 
 

West Bancorporation, Inc.

 

2

 

34

 
 

Westamerica Bancorp

 

2

 

128

 
 

Western Alliance Bancorp

 

3

 

86

 
 

Western New England Bancorp Inc.

 

4

 

29

 
 

Westwood Holdings Group Inc.

 

1

 

18

 
 

White Mountains Insurance Group Ltd

 

 

165

 
 

Wintrust Financial Corporation

 

4

 

137

 
 

WisdomTree Investments, Inc.

 

12

 

29

 
 

World Acceptance Corp. (a)

 

1

 

35

 
 

WSFS Financial Corp.

 

4

 

101

 
 

22,745

 

Industrials 17.8%

 

AAON, Inc.

 

3

 

133

 
 

AAR Corp.

 

3

 

50

 
 

ABM Industries Incorporated

 

5

 

119

 
 

ACCO Brands Corporation

 

7

 

35

 
 

Actuant Corporation

 

5

 

79

 
 

Advanced Disposal Services, Inc. (a)

 

6

 

194

 
 

Advanced Drainage Systems, Inc.

 

3

 

97

 
 

Aegion Corporation (a)

 

1

 

26

 
 

Aerojet Rocketdyne Holdings, Inc. (a)

 

5

 

216

 
 

AeroVironment, Inc. (a)

 

2

 

124

 
 

Air Lease Corporation - Class A

 

4

 

79

 
 

Air Transport Services Group, Inc. (a)

 

5

 

89

 
 

Alamo Group Inc.

 

1

 

93

 
 

Albany International Corp. - Class A

 

2

 

118

 
 

Allegiant Travel Company

 

1

 

92

 
 

Allied Motion Technologies Inc.

 

1

 

24

 
 

Altra Industrial Motion Corp.

 

1

 

9

 
 

Ameresco, Inc. - Class A (a)

 

3

 

43

 
 

American Superconductor Corporation (a) (b)

 

2

 

14

 
 

American Woodmark Corporation (a)

 

1

 

62

 
 

Apogee Enterprises, Inc.

 

3

 

53

 
 

Applied Industrial Technologies, Inc.

 

3

 

137

 
 

ARC Document Solutions, Inc.

 

3

 

3

 
 

Arcbest Corporation

 

2

 

32

 
 

Arcosa, Inc.

 

3

 

130

 
 

Ardmore Shipping Services (Ireland) Limited

 

4

 

19

 
 

Argan, Inc.

 

2

 

59

 
 

Armstrong Flooring, Inc. (a)

 

2

 

3

 
 

Armstrong World Industries, Inc.

 

3

 

232

 
 

Astec Industries, Inc.

 

2

 

73

 
 

Astronics Corporation (a)

 

3

 

23

 
 

Astronics Corporation - Class B (a)

 

 

1

 
 

Atkore International Group Inc. (a)

 

4

 

79

 
 

Atlas Air Worldwide Holdings, Inc. (a)

 

2

 

56

 
 

Avis Budget Group, Inc. (a)

 

6

 

90

 
 

Axone Intelligence Inc. (a)

 

3

 

216

 
 

AZZ Inc.

 

3

 

71

 
 

Barnes Group Inc.

 

4

 

152

 
 

Barrett Business Services, Inc.

 

1

 

25

 
 

Beacon Roofing Supply, Inc. (a)

 

5

 

84

 
 

BG Staffing, Inc.

 

2

 

12

 
 

Blue Bird Global Corporation (a)

 

3

 

34

 
 

BlueLinx Holdings Inc. (a) (b)

 

1

 

4

 
 

Brady Corp. - Class A

 

3

 

130

 
 

Briggs & Stratton Corp.

 

3

 

6

 
 

BrightView Holdings, Inc. (a)

 

7

 

74

 
 

Brink's Co.

 

3

 

155

 
 

Builders FirstSource, Inc. (a)

 

10

 

118

 
 

CAI International Inc. (a)

 

2

 

24

 
 

Casella Waste Systems Inc. - Class A (a)

 

3

 

121

 
 

CBIZ Inc. (a)

 

4

 

89

 
 

Ceco Environmental Corp. (a)

 

3

 

13

 
 

Chart Industries, Inc. (a)

 

3

 

92

 
 

Cimpress Public Limited Company (a) (b)

 

2

 

100

 
 

CIRCOR International, Inc. (a)

 

2

 

19

 
 

Civeo Corporation (a)

 

12

 

5

 
 

Clean Harbors Inc. (a)

 

4

 

182

 
 

Colfax Corp. (a)

 

7

 

143

 
 

Columbus Mckinnon Corp.

 

2

 

50

 
 

Comfort Systems USA Inc.

 

3

 

109

 
 

Commercial Vehicle Group Inc. (a)

 

4

 

6

 
 

Construction Partners, Inc. - Class A (a)

 

3

 

49

 
 

Copa Holdings, S.A. - Class A

 

2

 

105

 
 

Cornerstone Building Brands, Inc. (a)

 

2

 

11

 
 

Costamare Inc.

 

9

 

41

 
 

Covanta Holding Corporation

 

10

 

86

 
 

Covenant Transportation Group, Inc. - Class A (a)

 

1

 

12

 
 

CRA International, Inc.

 

1

 

30

 
 

CSW Industrials Inc.

 

1

 

76

 
 

Cubic Corp.

 

2

 

101

 
 

Daseke Companies, Inc. (a)

 

7

 

10

 
 

Deluxe Corp.

 

3

 

84

 
 

Douglas Dynamics, Inc.

 

2

 

66

 
 

Ducommun Inc. (a)

 

1

 

29

 
 

DXP Enterprises Inc. (a)

 

2

 

23

 
 

Dycom Industries, Inc. (a)

 

3

 

72

 
 

Eagle Bulk Shipping Inc. (a) (b)

 

8

 

14

 
 

Eastern Co.

 

1

 

11

 
 

Echo Global Logistics, Inc. (a)

 

3

 

44

 
 

Elance, Inc. (a)

 

8

 

52

 
 

EMCOR Group, Inc.

 

2

 

102

 
 

Encore Wire Corp.

 

2

 

69

 
 

Energy Recovery, Inc. (a) (b)

 

6

 

42

 
 

EnerSys

 

3

 

131

 
 

Ennis Inc.

 

2

 

44

 
 

EnPro Industries, Inc.

 

2

 

64

 
 

ESCO Technologies Inc.

 

2

 

143

 
 

Evoqua Water Technologies Corp. (a)

 

8

 

93

 
 

Exponent, Inc.

 

3

 

220

 
 

Federal Signal Corporation

 

5

 

134

 
 

Fluor Corp.

 

4

 

24

 
 

Forrester Research Inc. (a)

 

2

 

55

 
 

Forward Air Corp.

 

2

 

118

 
 

Franklin Covey Co. (a)

 

1

 

21

 
 

Franklin Electric Co. Inc.

 

3

 

153

 
 

FreightCar America Inc. (a)

 

1

 

1

 
 

FTI Consulting Inc. (a)

 

2

 

237

 
 

Gates Industrial Corporation PLC (a)

 

9

 

64

 
 

GATX Corporation

 

2

 

137

 
 

Genco Shipping & Trading Limited

 

5

 

32

 
 

Generac Holdings Inc. (a)

 

4

 

355

 
 

Gibraltar Industries Inc. (a)

 

2

 

105

 
 

GMS Inc. (a)

 

3

 

54

 
 

Golden Ocean Group Limited (b)

 

1

 

4

 
 

Goldfield Corp. (a)

 

1

 

4

 

5


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 
 

Gorman-Rupp Co.

 

2

 

65

 
 

GP Strategies Corporation (a)

 

1

 

8

 
 

GrafTech International Ltd.

 

12

 

99

 
 

Graham Corp.

 

1

 

15

 
 

Granite Construction Incorporated

 

4

 

55

 
 

Great Lakes Dredge & Dock Corp. (a)

 

6

 

48

 
 

Greenbrier Cos. Inc.

 

3

 

48

 
 

Griffon Corp.

 

5

 

58

 
 

H&E Equipment Services, Inc.

 

3

 

51

 
 

Harsco Corporation (a)

 

6

 

44

 
 

Hawaiian Holdings, Inc.

 

4

 

41

 
 

HC2 Holdings, Inc. (a) (b)

 

1

 

2

 
 

Healthcare Services Group Inc.

 

6

 

147

 
 

Heartland Express Inc.

 

7

 

133

 
 

Heidrick & Struggles International Inc.

 

2

 

37

 
 

Helios Technologies, Inc.

 

3

 

104

 
 

Herc Holdings Inc. (a)

 

3

 

54

 
 

Heritage-Crystal Clean, LLC (a)

 

2

 

31

 
 

Herman Miller Inc.

 

5

 

103

 
 

Hertz Global Holdings, Inc. (a)

 

11

 

66

 
 

Hill International Inc. (a)

 

5

 

7

 
 

Hillenbrand Inc.

 

1

 

14

 
 

HNI Corp.

 

4

 

93

 
 

HUB Group Inc. - Class A (a)

 

2

 

98

 
 

Hudson Global, Inc. (a)

 

 

1

 
 

Hurco Cos. Inc.

 

1

 

30

 
 

Huron Consulting Group Inc. (a)

 

2

 

86

 
 

Huttig Building Products Inc. (a)

 

2

 

1

 
 

Hyster-Yale Materials Handling Inc. - Class A

 

1

 

47

 
 

ICF International, Inc.

 

2

 

108

 
 

IES Holdings, Inc. (a)

 

2

 

35

 
 

InnerWorkings, Inc. (a)

 

6

 

7

 
 

Innovative Solutions and Support, Inc. (a)

 

 

1

 
 

Insperity, Inc.

 

2

 

86

 
 

Insteel Industries, Inc.

 

2

 

27

 
 

Interface Inc.

 

5

 

39

 
 

IntriCon Corporation (a)

 

1

 

17

 
 

JELD-WEN Holding, Inc. (a)

 

8

 

78

 
 

John Bean Technologies Corp.

 

2

 

129

 
 

Kadant Inc.

 

1

 

68

 
 

Kaman Corp.

 

2

 

88

 
 

Kelly Services Inc. - Class A

 

3

 

36

 
 

Kennametal Inc.

 

6

 

111

 
 

Kforce Inc.

 

2

 

50

 
 

Kimball International Inc. - Class B

 

4

 

45

 
 

Kirby Corp. (a)

 

2

 

86

 
 

Knoll Inc.

 

4

 

46

 
 

Korn Ferry

 

5

 

113

 
 

Kratos Defense & Security Solutions, Inc. (a)

 

9

 

120

 
 

Landstar System Inc.

 

2

 

208

 
 

Lawson Products Inc. (a)

 

1

 

32

 
 

LB Foster Co. (a)

 

1

 

13

 
 

Lindsay Corp.

 

1

 

77

 
 

LSI Industries Inc.

 

3

 

12

 
 

Lydall Inc. (a)

 

2

 

12

 
 

Macquarie Infrastructure Corporation

 

5

 

128

 
 

Manitex International Inc. (a)

 

1

 

4

 
 

Manitowoc Co. Inc. (a)

 

4

 

35

 
 

Marten Transport Ltd.

 

5

 

94

 
 

Masonite International Corporation (a)

 

2

 

98

 
 

MasTec Inc. (a)

 

5

 

152

 
 

Mastech Digital, Inc. (a)

 

1

 

10

 
 

Matson Intermodal - Paragon, Inc.

 

3

 

99

 
 

Matthews International Corp. - Class A

 

3

 

68

 
 

McGrath RentCorp

 

2

 

104

 
 

Mercury Systems Inc. (a)

 

3

 

215

 
 

Meritor, Inc. (a)

 

6

 

80

 
 

Mesa Air Group, Inc. (a)

 

4

 

13

 
 

Miller Industries Inc.

 

1

 

38

 
 

Mistras Group, Inc. (a)

 

3

 

11

 
 

Mobile Mini, Inc.

 

4

 

92

 
 

Moog Inc. - Class A

 

2

 

118

 
 

MRC Global Inc. (a)

 

7

 

29

 
 

MSA Safety Inc.

 

2

 

233

 
 

MSC Industrial Direct Co. - Class A

 

1

 

82

 
 

Mueller Industries Inc.

 

5

 

108

 
 

Mueller Water Products Inc. - Class A

 

13

 

101

 
 

MYR Group Inc. (a)

 

1

 

38

 
 

National Presto Industries Inc.

 

1

 

44

 
 

Navistar International Corporation (a)

 

6

 

101

 
 

NN Inc.

 

4

 

7

 
 

Northwest Pipe Co. (a)

 

1

 

23

 
 

Now, Inc. (a)

 

9

 

48

 
 

NV5 Global, Inc. (a)

 

1

 

42

 
 

Nvent Electric Public Limited Company

 

10

 

163

 
 

Omega Flex Inc.

 

1

 

64

 
 

Orion Energy Systems, Inc. (a)

 

1

 

3

 
 

Orion Group Holdings, Inc. (a)

 

2

 

6

 
 

PAM Transportation Services Inc. (a)

 

1

 

16

 
 

Park-Ohio Holdings Corp.

 

1

 

22

 
 

Patrick Industries, Inc.

 

2

 

55

 
 

Patriot Transportation, Inc.

 

 

3

 
 

Performant Financial Corporation (a)

 

3

 

3

 
 

PGT Innovations, Inc. (a)

 

5

 

40

 
 

Pitney Bowes Inc.

 

17

 

34

 
 

Powell Industries Inc.

 

1

 

28

 
 

Preformed Line Products Co.

 

1

 

26

 
 

Primoris Services Corporation

 

5

 

76

 
 

Proto Labs Inc. (a)

 

2

 

149

 
 

Quad/Graphics Inc. - Class A

 

3

 

8

 
 

Quanex Building Products Corp.

 

2

 

22

 
 

Radiant Logistics, Inc. (a)

 

6

 

22

 
 

Raven Industries Inc.

 

3

 

60

 
 

RBC Bearings Incorporated (a)

 

1

 

160

 
 

Red Violet, Inc. (a) (b)

 

1

 

23

 
 

Regal-Beloit Corp.

 

3

 

160

 
 

Resideo Technologies, Inc. (a)

 

8

 

37

 
 

Resources Connection, Inc.

 

4

 

41

 
 

REV Group Inc.

 

6

 

23

 
 

Rexnord Corporation

 

6

 

140

 
 

RR Donnelley & Sons Co.

 

8

 

8

 
 

Rush Enterprises Inc. - Class A

 

2

 

64

 
 

Saia, Inc. (a)

 

2

 

145

 
 

Schneider National, Inc. - Class B

 

5

 

105

 
 

Scorpio Bulkers Inc.

 

7

 

17

 
 

Sharps Compliance Corp. (a)

 

 

1

 
 

Simpson Manufacturing Co. Inc.

 

3

 

156

 
 

SiteOne Landscape Supply, Inc. (a)

 

2

 

171

 
 

SkyWest Inc.

 

4

 

95

 
 

SP Plus Corporation (a)

 

2

 

38

 
 

Spartan Motors Inc.

 

3

 

45

 
 

Spirit Airlines Inc. (a)

 

6

 

75

 
 

SPX Corp. (a)

 

4

 

122

 
 

SPX Flow, Inc. (a)

 

4

 

104

 
 

Standex International Corp.

 

1

 

56

 
 

Steelcase Inc. - Class A

 

8

 

78

 
 

Stericycle Inc. (a)

 

2

 

105

 
 

Sterling Construction Co. Inc. (a)

 

3

 

31

 
 

Stock Building Supply Holdings, LLC (a)

 

5

 

95

 
 

SunRun Inc. (a)

 

9

 

90

 
 

Team, Inc. (a)

 

3

 

19

 
 

Tennant Co.

 

2

 

90

 
 

Terex Corp.

 

6

 

82

 
 

Tetra Tech, Inc.

 

3

 

244

 
 

Textainer Group Holdings Limited (a)

 

5

 

45

 
 

Thermon Group Holdings, Inc. (a)

 

3

 

48

 
 

Timken Co.

 

5

 

154

 
 

Titan International, Inc.

 

9

 

14

 
 

Titan Machinery Inc. (a)

 

2

 

16

 
 

TPI Composites, Inc. (a)

 

3

 

45

 
 

Transact, Inc. (a)

 

1

 

20

 
 

Trex Company, Inc. (a)

 

4

 

295

 
 

TriMas Corp. (a)

 

4

 

85

 
 

TriNet Group Inc. (a)

 

4

 

146

 
 

Trinity Industries Inc.

 

9

 

149

 
 

Triton Container International Limited - Class A

 

6

 

147

 
 

Triumph Group Inc.

 

1

 

10

 
 

TrueBlue, Inc. (a)

 

4

 

46

 
 

Tutor Perini Corp. (a)

 

5

 

31

 
 

Twin Disc Inc. (a)

 

1

 

5

 

6


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 
 

U.S. Xpress Enterprises, Inc. (a) (b)

 

5

 

16

 
 

Ultralife Corp. (a)

 

 

1

 
 

UniFirst Corp.

 

1

 

125

 
 

Universal Forest Products Inc.

 

4

 

138

 
 

Universal Logistics Holdings, Inc.

 

3

 

33

 
 

US Ecology Parent, Inc.

 

2

 

48

 
 

USA Truck Inc. (a)

 

1

 

4

 
 

Valmont Industries Inc.

 

1

 

137

 
 

Vectrus, Inc. (a)

 

1

 

41

 
 

Veritiv Corp. (a)

 

2

 

13

 
 

Viad Corp

 

2

 

37

 
 

Vicor Corp. (a)

 

2

 

109

 
 

Virgin Galactic Holdings, Inc. (a) (b)

 

3

 

41

 
 

VSE Corp.

 

1

 

16

 
 

Wabash National Corp.

 

4

 

28

 
 

Watts Water Technologies Inc. - Class A

 

2

 

138

 
 

Welbilt Inc. (a)

 

10

 

53

 
 

Werner Enterprises Inc.

 

4

 

152

 
 

WESCO International, Inc. (a)

 

3

 

72

 
 

Willscot Corp. (a) (b)

 

9

 

88

 
 

YRC Worldwide Inc. (a) (b)

 

4

 

7

 
 

19,460

 

Information Technology 15.5%

 

2U, Inc. (a) (b)

 

6

 

118

 
 

3D Systems Corporation (a) (b)

 

9

 

72

 
 

A10 Networks, Inc. (a)

 

7

 

46

 
 

Acacia Communications, Inc. (a)

 

3

 

175

 
 

ACI Worldwide, Inc. (a)

 

7

 

177

 
 

ACM Research, Inc. - Class A (a) (b)

 

1

 

27

 
 

Adesto Technologies Corporation (a) (b)

 

3

 

37

 
 

ADS Alliance Data Systems, Inc.

 

2

 

79

 
 

ADTRAN, Inc.

 

5

 

38

 
 

Advanced Energy Industries, Inc. (a)

 

3

 

140

 
 

Agilysys, Inc. (a)

 

2

 

36

 
 

Airgain, Inc. (a)

 

1

 

6

 
 

Alarm.Com Holdings, Inc. (a)

 

3

 

117

 
 

Alpha and Omega Semiconductor Limited (a)

 

3

 

16

 
 

Altair Engineering Inc. - Class A (a)

 

3

 

76

 
 

Ambarella Inc. (a)

 

3

 

130

 
 

American Software, Inc. - Class A

 

3

 

47

 
 

Amkor Technology, Inc. (a)

 

15

 

114

 
 

Amtech Systems, Inc. (a)

 

2

 

7

 
 

Anixter International Inc. (a)

 

2

 

188

 
 

AppFolio, Inc. - Class A (a)

 

1

 

97

 
 

Applied Optoelectronics, Inc. (a) (b)

 

2

 

12

 
 

Arlo Technologies, Inc. (a)

 

8

 

19

 
 

ASGN Incorporated (a)

 

4

 

137

 
 

AstroNova, Inc.

 

 

4

 
 

Avaya Holdings Corp. (a) (b)

 

9

 

73

 
 

Avid Technology, Inc. (a)

 

5

 

37

 
 

Avnet, Inc.

 

6

 

146

 
 

Aware Inc. (a)

 

5

 

14

 
 

Axcelis Technologies, Inc. (a)

 

3

 

59

 
 

AXT, Inc. (a)

 

4

 

14

 
 

Badger Meter, Inc.

 

2

 

120

 
 

Bel Fuse Inc. - Class B

 

1

 

13

 
 

Belden Inc.

 

3

 

122

 
 

Benchmark Electronics, Inc.

 

1

 

26

 
 

Blackbaud, Inc.

 

3

 

161

 
 

Blackline, Inc. (a)

 

1

 

74

 
 

Bottomline Technologies Inc. (a)

 

3

 

124

 
 

Brightcove Inc. (a)

 

4

 

31

 
 

Brooks Automation Inc.

 

5

 

155

 
 

Cabot Microelectronics Corporation

 

2

 

182

 
 

CACI International Inc. - Class A (a)

 

1

 

238

 
 

CalAmp Corp. (a)

 

5

 

21

 
 

Calix, Inc. (a)

 

6

 

41

 
 

Cardtronics Group Limited - Class A (a)

 

3

 

72

 
 

Casa Systems, Inc. (a)

 

8

 

27

 
 

Cass Information Systems, Inc.

 

1

 

41

 
 

CCUR Holdings, Inc.

 

1

 

5

 
 

CEVA Inc. (a)

 

2

 

51

 
 

ChannelAdvisor Corp. (a)

 

3

 

20

 
 

Cirrus Logic Inc. (a)

 

4

 

232

 
 

Clearfield, Inc. (a)

 

1

 

13

 
 

Coda Octopus Group, Inc. (a) (b)

 

1

 

6

 
 

Coherent Inc. (a)

 

1

 

151

 
 

Cohu Inc.

 

3

 

42

 
 

CommScope Holding Company, Inc. (a)

 

5

 

47

 
 

CommVault Systems Inc. (a)

 

4

 

144

 
 

Comtech Telecommunications Corp.

 

2

 

32

 
 

Conduent Inc. (a)

 

17

 

42

 
 

CoreLogic, Inc.

 

5

 

146

 
 

Cornerstone OnDemand, Inc. (a)

 

4

 

127

 
 

Cree, Inc. (a)

 

 

14

 
 

CSG Systems International, Inc.

 

3

 

105

 
 

CTS Corp.

 

3

 

68

 
 

Cyberoptics Corp. (a)

 

1

 

12

 
 

Daktronics Inc.

 

6

 

27

 
 

Dasan Zhone Solutions, Inc. (a)

 

3

 

12

 
 

Digi International Inc. (a)

 

3

 

29

 
 

Digital Turbine USA, Inc. (a)

 

8

 

35

 
 

Diodes Inc. (a)

 

4

 

145

 
 

DSP Group, Inc. (a)

 

2

 

32

 
 

Eastman Kodak Company (a)

 

4

 

6

 
 

Ebix Inc.

 

3

 

42

 
 

EchoStar Corp. - Class A (a)

 

3

 

87

 
 

Endurance International Group Holdings, Inc. (a)

 

14

 

27

 
 

Enphase Energy, Inc. (a)

 

4

 

126

 
 

Entegris, Inc.

 

3

 

155

 
 

Envestnet, Inc. (a)

 

3

 

157

 
 

ePlus Inc. (a)

 

1

 

67

 
 

EVERTEC, Inc.

 

5

 

115

 
 

EVO Payments, Inc. - Class A (a)

 

3

 

47

 
 

ExlService Holdings Inc. (a)

 

2

 

127

 
 

Extreme Networks, Inc. (a)

 

6

 

19

 
 

Fabrinet (a)

 

3

 

150

 
 

FARO Technologies Inc. (a)

 

2

 

73

 
 

FireEye, Inc. (a)

 

11

 

118

 
 

Fitbit, Inc. - Class A (a)

 

13

 

89

 
 

FormFactor Inc. (a)

 

6

 

119

 
 

Globalscape, Inc.

 

2

 

12

 
 

Globant S.A. (a)

 

2

 

195

 
 

GreenSky, Inc. - Class A (a) (b)

 

2

 

9

 
 

GSI Technology, Inc. (a)

 

3

 

24

 
 

GTT Communications Inc. (a) (b)

 

2

 

15

 
 

Hackett Group Inc.

 

3

 

36

 
 

Harmonic, Inc. (a)

 

10

 

55

 
 

I3 Verticals, Inc. - Class A (a)

 

1

 

18

 
 

Ichor Holdings, Ltd. (a)

 

2

 

42

 
 

Immersion Corp. (a)

 

4

 

20

 
 

Impinj, Inc. (a) (b)

 

2

 

37

 
 

Infinera Corporation (a)

 

16

 

84

 
 

INPHI Corporation (a)

 

2

 

135

 
 

Inseego Corp. (a) (b)

 

4

 

23

 
 

Insight Enterprises, Inc. (a)

 

3

 

113

 
 

Intelligent Systems Corporation (a) (b)

 

1

 

17

 
 

InterDigital Communications, Inc.

 

2

 

107

 
 

Intevac Inc. (a)

 

3

 

11

 
 

Iteris, Inc. (a)

 

4

 

13

 
 

Itron Inc. (a)

 

2

 

120

 
 

J2 Cloud Services, LLC

 

3

 

196

 
 

Jabil Inc.

 

5

 

128

 
 

KBR, Inc.

 

8

 

175

 
 

Kemet Corp.

 

5

 

115

 
 

Key Tronic Corp. (a)

 

3

 

7

 
 

Kimball Electronics Group, LLC (a)

 

2

 

24

 
 

Knowles Corporation (a)

 

7

 

97

 
 

Kulicke & Soffa Industries Inc.

 

5

 

101

 
 

Lattice Semiconductor Corp. (a)

 

9

 

154

 
 

Limelight Networks, Inc. (a)

 

11

 

61

 
 

Littelfuse Inc.

 

1

 

181

 
 

Liveramp, Inc. (a)

 

4

 

148

 
 

LogMeIn, Inc.

 

3

 

247

 
 

Lumentum Holdings Inc. (a)

 

3

 

194

 
 

Luna Innovations Incorporated (a)

 

3

 

20

 
 

MACOM Technology Solutions Holdings, Inc. (a)

 

3

 

63

 
 

MagnaChip Semiconductor, Ltd. (a)

 

3

 

32

 
 

Manhattan Associates Inc. (a)

 

4

 

191

 

7


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 
 

Mantech International Corp. - Class A

 

1

 

106

 
 

MAXIMUS Inc.

 

 

27

 
 

MaxLinear, Inc. - Class A (a)

 

6

 

73

 
 

Methode Electronics Inc.

 

3

 

89

 
 

MicroStrategy Inc. - Class A (a)

 

1

 

81

 
 

Mimecast Uk Limited (a)

 

4

 

132

 
 

Mitek Systems, Inc. (a)

 

5

 

36

 
 

MKS Instruments, Inc.

 

1

 

87

 
 

MoneyGram International, Inc. (a) (b)

 

6

 

8

 
 

MTS Systems Corp.

 

1

 

32

 
 

NAPCO Security Technologies Inc. (a)

 

1

 

22

 
 

NCR Corporation (a)

 

8

 

150

 
 

NeoPhotonics Corporation (a)

 

5

 

35

 
 

NETGEAR, Inc. (a)

 

2

 

50

 
 

NetScout Systems, Inc. (a)

 

6

 

131

 
 

Network-1 Technologies, Inc.

 

3

 

6

 
 

New Relic, Inc. (a)

 

1

 

39

 
 

NIC Inc.

 

6

 

138

 
 

Novantas Inc. (a)

 

2

 

171

 
 

Nuance Communications, Inc. (a)

 

2

 

30

 
 

NVE Corp.

 

1

 

35

 
 

Onespan, Inc. (a)

 

4

 

70

 
 

Onto Innovation Inc. (a)

 

4

 

113

 
 

OSI Systems Inc. (a)

 

1

 

95

 
 

PAR Technology Corp.

 

 

5

 
 

Paylocity Holding Corporation (a)

 

1

 

110

 
 

Paysign, Inc. (a) (b)

 

3

 

17

 
 

PC Connection, Inc.

 

2

 

81

 
 

PC-Tel, Inc.

 

3

 

18

 
 

PDF Solutions Inc. (a)

 

3

 

37

 
 

Perficient, Inc. (a)

 

3

 

74

 
 

Perspecta Inc.

 

9

 

172

 
 

PFSweb Inc. (a)

 

2

 

7

 
 

Photronics Inc. (a)

 

3

 

33

 
 

Pixelworks, Inc. (a)

 

6

 

16

 
 

Plantronics Inc. (b)

 

3

 

33

 
 

Plexus Corp. (a)

 

2

 

127

 
 

Power Integrations Inc.

 

2

 

148

 
 

PRGX Global, Inc. (a)

 

4

 

11

 
 

Progress Software Corp.

 

3

 

106

 
 

Pure Storage, Inc. - Class A (a)

 

1

 

14

 
 

QAD Inc. - Class A

 

2

 

60

 
 

Qualys, Inc. (a)

 

2

 

213

 
 

Quantum Corporation (a)

 

3

 

10

 
 

Rambus Inc. (a)

 

10

 

106

 
 

Ribbon Communications Inc. (a)

 

12

 

37

 
 

Rogers Corp. (a)

 

2

 

144

 
 

Rosetta Stone Inc. (a)

 

2

 

34

 
 

Sabre Corporation

 

13

 

77

 
 

SailPoint Technologies Holdings, Inc. (a)

 

4

 

66

 
 

Sanmina Corp. (a)

 

6

 

156

 
 

Sapiens International Corporation N.V.

 

4

 

73

 
 

ScanSource Inc. (a)

 

2

 

50

 
 

Science Applications International Corp.

 

4

 

262

 
 

Secureworks Corp. - Class A (a)

 

1

 

13

 
 

Semtech Corp. (a)

 

4

 

155

 
 

Servicesource International, Inc. (a)

 

4

 

4

 
 

Sharpspring Technologies, Inc. (a) (b)

 

1

 

6

 
 

ShotSpotter, Inc. (a) (b)

 

1

 

33

 
 

Silicon Laboratories Inc. (a)

 

2

 

129

 
 

SMART Global Holdings, Inc. (a)

 

2

 

60

 
 

SolarEdge Technologies Ltd. (a)

 

3

 

205

 
 

SPS Commerce, Inc. (a)

 

3

 

129

 
 

StarTek, Inc. (a)

 

2

 

6

 
 

Stratasys, Inc. (a) (b)

 

1

 

22

 
 

Super Micro Computer, Inc. (a)

 

4

 

79

 
 

Sykes Enterprises Inc. (a)

 

2

 

53

 
 

Synaptics Incorporated (a)

 

3

 

154

 
 

Synchronoss Technologies, Inc. (a)

 

3

 

10

 
 

SYNNEX Corporation

 

1

 

108

 
 

Systemax Inc.

 

3

 

61

 
 

Tech Data Corp. (a)

 

2

 

291

 
 

TeleNav Inc. (a)

 

5

 

20

 
 

Teradata Corporation (a)

 

5

 

110

 
 

Tessco Technologies Inc.

 

 

2

 
 

Transact Technologies Inc.

 

 

1

 
 

TTEC Holdings, Inc.

 

4

 

132

 
 

TTM Technologies, Inc. (a)

 

8

 

84

 
 

Tucows Inc. (a) (b)

 

1

 

28

 
 

Ultra Clean Holdings, Inc. (a)

 

4

 

51

 
 

Unisys Corp. (a)

 

6

 

73

 
 

Upland Software, Inc. (a)

 

1

 

36

 
 

Veeco Instruments Inc. (a)

 

5

 

47

 
 

Verint Systems Inc. (a)

 

4

 

172

 
 

ViaSat, Inc. (a)

 

3

 

120

 
 

Viavi Solutions Inc. (a)

 

15

 

164

 
 

Virtusa Corporation (a)

 

2

 

67

 
 

Vishay Intertechnology Inc.

 

8

 

112

 
 

Vishay Precision Group, Inc. (a)

 

1

 

22

 
 

Wayside Technology Group Inc.

 

 

4

 
 

Xperii Corp.

 

4

 

52

 
 

Zix Corporation (a)

 

4

 

16

 
 

16,871

 

Health Care 12.9%

 

Abeona Therapeutics Inc. (a)

 

4

 

9

 
 

AC Immune SA (a) (b)

 

2

 

11

 
 

Acadia Healthcare Company, Inc. (a)

 

5

 

100

 
 

Acceleron Pharma Inc. (a)

 

1

 

84

 
 

Accuray Incorporated (a)

 

10

 

19

 
 

Acorda Therapeutics, Inc. (a)

 

4

 

3

 
 

Adamas Pharmaceuticals, Inc. (a)

 

2

 

4

 
 

Addus HomeCare Corporation (a)

 

1

 

86

 
 

Aduro Biotech, Inc. (a)

 

8

 

21

 
 

Adverum Biotechnologies, Inc. (a)

 

6

 

61

 
 

Aeglea Biotherapeutics, Inc. (a)

 

3

 

12

 
 

Aerie Pharmaceuticals, Inc. (a)

 

2

 

22

 
 

Agios Pharmaceuticals, Inc. (a)

 

2

 

64

 
 

Akcea Therapeutics, Inc. (a) (b)

 

1

 

20

 
 

Akebia Therapeutics, Inc. (a)

 

10

 

73

 
 

Akorn, Inc. (a)

 

12

 

7

 
 

Albireo Pharma, Inc. (a)

 

2

 

28

 
 

Aldeyra Therapeutics, Inc. (a)

 

3

 

6

 
 

Alkermes Public Limited Company (a)

 

6

 

90

 
 

Allscripts Healthcare Solutions, Inc. (a)

 

13

 

93

 
 

AMAG Pharmaceuticals, Inc. (a) (b)

 

3

 

16

 
 

Amedisys, Inc. (a)

 

2

 

366

 
 

American Renal Associates Holdings, Inc. (a)

 

4

 

24

 
 

Amicus Therapeutics, Inc. (a)

 

7

 

62

 
 

AMN Healthcare Services, Inc. (a)

 

3

 

156

 
 

Amphastar Pharmaceuticals, Inc. (a)

 

4

 

61

 
 

Anaptysbio, Inc. (a)

 

2

 

34

 
 

AngioDynamics, Inc. (a)

 

3

 

31

 
 

ANI Pharmaceuticals, Inc. (a)

 

1

 

37

 
 

Anika Therapeutics, Inc. (a)

 

1

 

35

 
 

Apex Medical Corp. (a)

 

4

 

14

 
 

Apollo Medical Holdings, Inc. (a)

 

 

3

 
 

Applied Genetic Technologies Corporation (a)

 

2

 

7

 
 

Aravas Inc. (a)

 

 

1

 
 

Aravive Biologics, Inc. (a) (b)

 

2

 

12

 
 

Arcus Biosciences, Inc. (a)

 

4

 

61

 
 

Ardelyx, Inc. (a)

 

9

 

51

 
 

Arena Pharmaceuticals, Inc. (a)

 

2

 

77

 
 

Assembly Biosciences, Inc. (a)

 

3

 

49

 
 

Assertio Therapeutics, Inc. (a)

 

6

 

4

 
 

Atara Biotherapeutics, Inc. (a)

 

5

 

43

 
 

AtriCure, Inc. (a)

 

2

 

68

 
 

Atrion Corporation

 

 

92

 
 

Avanos Medical, Inc. (a)

 

4

 

101

 
 

AVROBIO, Inc. (a)

 

3

 

46

 
 

AxoGen, Inc. (a)

 

4

 

41

 
 

BioDelivery Sciences International, Inc. (a)

 

7

 

28

 
 

BioLife Solutions, Inc. (a) (b)

 

3

 

25

 
 

BioSpecifics Technologies Corp. (a)

 

1

 

40

 
 

BioTelemetry, Inc. (a)

 

3

 

103

 
 

Bioxcel Therapeutics, Inc. (a)

 

1

 

29

 
 

Bluebird Bio, Inc. (a)

 

1

 

29

 
 

Brookdale Senior Living Inc. (a)

 

16

 

49

 
 

Calithera Biosciences, Inc. (a)

 

6

 

25

 
 

Calyxt, Inc. (a) (b)

 

1

 

3

 

8


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 
 

Cantel Medical Corp.

 

2

 

83

 
 

Capital Senior Living Corp. (a)

 

4

 

2

 
 

Cara Therapeutics, Inc. (a) (b)

 

3

 

40

 
 

Cardiovascular Systems Inc. (a)

 

2

 

71

 
 

Caredx, Inc. (a) (b)

 

3

 

68

 
 

Cassava Sciences, Inc. (a)

 

1

 

4

 
 

Castlight Health, Inc. - Class B (a)

 

7

 

5

 
 

Catalyst Bio, Inc. (a)

 

1

 

4

 
 

Catalyst Pharmaceuticals, Inc. (a) (b)

 

12

 

44

 
 

Champions Oncology, Inc. (a)

 

 

4

 
 

Chembio Diagnostics, Inc. (a)

 

2

 

9

 
 

ChemoCentryx, Inc. (a)

 

4

 

151

 
 

Chiasma, Inc. (a)

 

4

 

15

 
 

Chimerix, Inc. (a)

 

4

 

6

 
 

Cidara Therapeutics Inc. (a) (b)

 

1

 

2

 
 

Codexis, Inc. (a) (b)

 

5

 

55

 
 

Collegium Pharmaceutical, Inc. (a)

 

3

 

47

 
 

Community Health Systems Inc. (a) (b)

 

10

 

33

 
 

Computer Programs & Systems Inc.

 

1

 

31

 
 

Concert Pharmaceuticals Inc. (a)

 

3

 

25

 
 

ConforMIS, Inc. (a) (b)

 

2

 

2

 
 

Conmed Corp.

 

2

 

101

 
 

Corcept Therapeutics Inc. (a)

 

10

 

116

 
 

Corvel Corp. (a)

 

2

 

83

 
 

Corvus Pharmaceuticals Inc. (a) (b)

 

1

 

3

 
 

Covetrus, Inc. (a)

 

8

 

62

 
 

Crinetics Pharmaceuticals, Inc. (a) (b)

 

 

4

 
 

CRISPR Therapeutics AG (a)

 

1

 

22

 
 

Cross Country Healthcare Inc. (a)

 

4

 

24

 
 

CryoLife Inc. (a)

 

2

 

42

 
 

Cumberland Pharmaceuticals Inc. (a)

 

3

 

10

 
 

Cutera Inc. (a)

 

1

 

13

 
 

Cyclerion Therapeutics, Inc. (a)

 

2

 

7

 
 

Cymabay Therapeutics, Inc. (a) (b)

 

5

 

7

 
 

Cytomx Therapeutics, Inc. (a)

 

5

 

35

 
 

Deciphera Pharmaceuticals, Inc. (a)

 

4

 

150

 
 

Denali Therapeutics Inc. (a)

 

7

 

123

 
 

Eagle Pharmaceuticals Inc. (a)

 

1

 

59

 
 

Eiger Biopharmaceuticals, Inc. (a)

 

3

 

19

 
 

Electromed, Inc. (a)

 

1

 

9

 
 

Emergent BioSolutions Inc. (a)

 

2

 

95

 
 

Enanta Pharmaceuticals, Inc. (a)

 

2

 

84

 
 

Endo International Public Limited Company (a)

 

19

 

70

 
 

Enzo Biochem Inc. (a)

 

4

 

9

 
 

Epizyme, Inc. (a)

 

4

 

61

 
 

Evolent Health, Inc. - Class A (a)

 

7

 

37

 
 

Exelixis, Inc. (a)

 

 

8

 
 

Fate Therapeutics, Inc. (a)

 

1

 

29

 
 

FibroGen, Inc. (a)

 

5

 

163

 
 

Five Prime Therapeutics, Inc. (a)

 

5

 

10

 
 

Five Star Senior Living Inc. (a)

 

2

 

6

 
 

Fluidigm Corporation (a)

 

7

 

18

 
 

Fonar Corporation (a)

 

1

 

8

 
 

Fulgent Genetics, Inc. (a)

 

1

 

14

 
 

G1 Therapeutics, Inc. (a)

 

3

 

32

 
 

Geron Corp. (a) (b)

 

10

 

12

 
 

Glaukos Corp. (a)

 

1

 

22

 
 

Global Blood Therapeutics, Inc. (a)

 

1

 

70

 
 

Globus Medical Inc. - Class A (a)

 

3

 

108

 
 

GlycoMimetics, Inc. (a)

 

5

 

10

 
 

Gritstone Oncology, Inc. (a) (b)

 

1

 

6

 
 

Hanger, Inc. (a)

 

3

 

52

 
 

Harvard Bioscience Inc. (a)

 

3

 

6

 
 

HealthEquity, Inc. (a)

 

 

7

 
 

Healthstream, Inc. (a)

 

2

 

58

 
 

Heron Therapeutics, Inc. (a)

 

2

 

23

 
 

Heska Corporation (a)

 

1

 

43

 
 

HMS Holdings Corp. (a)

 

6

 

140

 
 

Horizon Therapeutics Public Limited Company (a)

 

9

 

266

 
 

ICU Medical, Inc. (a)

 

1

 

144

 
 

InfuSystem Holdings, Inc. (a)

 

2

 

14

 
 

Innoviva, Inc. (a)

 

7

 

84

 
 

Inogen, Inc. (a)

 

2

 

110

 
 

Inovalon Holdings, Inc. - Class A (a)

 

4

 

64

 
 

Inovio Pharmaceuticals, Inc. (a) (b)

 

5

 

36

 
 

Insmed Inc. (a) (b)

 

3

 

42

 
 

Integer Holdings Corporation (a)

 

2

 

118

 
 

Integra LifeSciences Holdings Corp. (a)

 

2

 

91

 
 

Intellia Therapeutics, Inc. (a) (b)

 

4

 

52

 
 

Intersect ENT, Inc. (a)

 

1

 

16

 
 

Intra-Cellular Therapies, Inc. (a)

 

5

 

83

 
 

Invacare Corp.

 

5

 

34

 
 

Iovance Biotherapeutics Inc. (a)

 

1

 

34

 
 

Iradimed Corp. (a) (b)

 

1

 

23

 
 

Ironwood Pharmaceuticals, Inc. - Class A (a) (b)

 

12

 

117

 
 

Iveric Bio, Inc. (a)

 

5

 

19

 
 

Jounce Therapeutics Inc. (a)

 

3

 

13

 
 

Kala Pharmaceuticals Inc. (a)

 

2

 

15

 
 

KalVista Pharmaceuticals Inc. (a)

 

2

 

16

 
 

Karyopharm Therapeutics Inc. (a)

 

4

 

69

 
 

Kindred Healthcare Inc. (a)

 

4

 

18

 
 

Kiniksa Pharmaceuticals Ltd. - Class A (a)

 

2

 

31

 
 

Kura Oncology, Inc. (a)

 

3

 

29

 
 

Lannett Co. Inc. (a) (b)

 

 

2

 
 

Lantheus Holdings Inc. (a)

 

3

 

40

 
 

LeMaitre Vascular Inc.

 

2

 

49

 
 

Lexicon Pharmaceuticals, Inc. (a) (b)

 

4

 

8

 
 

LHC Group, Inc. (a)

 

2

 

258

 
 

Ligand Pharmaceuticals Incorporated (a) (b)

 

1

 

97

 
 

LivaNova PLC (a)

 

3

 

120

 
 

Luminex Corporation

 

4

 

112

 
 

MacroGenics Inc. (a)

 

4

 

25

 
 

Madrigal Pharmaceuticals Inc. (a)

 

1

 

80

 
 

Magellan Health Services Inc. (a)

 

2

 

92

 
 

Magenta Therapeutics, Inc. (a)

 

1

 

6

 
 

Mallinckrodt Public Limited Company (a) (b)

 

6

 

11

 
 

MediciNova, Inc. (a) (b)

 

3

 

11

 
 

Mednax, Inc. (a)

 

7

 

76

 
 

Medpace Holdings, Inc. (a)

 

2

 

151

 
 

MEI Pharma, Inc. (a)

 

4

 

7

 
 

Menlo Therapeutics Inc. (a)

 

2

 

5

 
 

Meridian Bioscience Inc. (a)

 

5

 

46

 
 

Merit Medical Systems Inc. (a)

 

3

 

90

 
 

Merrimack Pharmaceuticals Inc.

 

1

 

2

 
 

Mersana Therapeutics, Inc. (a)

 

4

 

26

 
 

Mesa Laboratories, Inc.

 

 

77

 
 

Millendo Therapeutics, Inc. (a)

 

1

 

6

 
 

Minerva Neurosciences Inc. (a)

 

3

 

16

 
 

Molecular Templates, Inc. (a)

 

2

 

32

 
 

Momenta Pharmaceuticals, Inc. (a)

 

5

 

146

 
 

Myokardia, Inc. (a)

 

1

 

65

 
 

Myriad Genetics, Inc. (a)

 

6

 

80

 
 

Nabriva Therapeutics Public Limited Company (a) (b)

 

6

 

3

 
 

NantKwest, Inc. (a) (b)

 

4

 

13

 
 

National Healthcare Corp.

 

1

 

87

 
 

National Research Corp. - Class A

 

3

 

135

 
 

Natus Medical Inc. (a)

 

3

 

70

 
 

Nektar Therapeutics (a)

 

2

 

31

 
 

Neogen Corp. (a)

 

3

 

194

 
 

Neogenomics Laboratories, Inc. (a)

 

5

 

127

 
 

Nextgen Healthcare Inc. (a)

 

6

 

58

 
 

NuVasive Inc. (a)

 

3

 

160

 
 

ObsEva SA (a) (b)

 

5

 

13

 
 

Omnicell, Inc. (a)

 

2

 

157

 
 

OPKO Health, Inc. (a) (b)

 

17

 

23

 
 

OptiNose, Inc. (a) (b)

 

 

 
 

Option Care Health, Inc. (a) (b)

 

1

 

12

 
 

Orasure Technologies, Inc. (a)

 

7

 

72

 
 

Orthofix Medical Inc. (a)

 

2

 

45

 
 

Orthopediatrics Corp. (a)

 

1

 

34

 
 

Otonomy, Inc. (a)

 

2

 

4

 
 

Owens & Minor Inc.

 

8

 

75

 
 

Oxford Immunotec Global PLC (a)

 

3

 

25

 
 

Pacira Biosciences, Inc. (a)

 

3

 

99

 
 

Patterson Cos. Inc.

 

7

 

106

 
 

PDL BioPharma, Inc. (a)

 

11

 

31

 
 

PetIQ, Inc. - Class A (a) (b)

 

2

 

45

 
 

Pfenex Inc. (a)

 

4

 

32

 
 

Phibro Animal Health Corporation - Class A

 

2

 

40

 

9


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 
 

Pieris AG (a)

 

4

 

8

 
 

PolarityTE, Inc. (a) (b)

 

2

 

2

 
 

Premier Healthcare Solutions, Inc. - Class A (a)

 

3

 

94

 
 

Prestige Consumer Healthcare Inc. (a)

 

4

 

134

 
 

Principia Biopharma Inc. (a) (b)

 

1

 

79

 
 

Progenics Pharmaceuticals Inc. (a)

 

3

 

11

 
 

Protagonist Therapeutics, Inc. (a)

 

2

 

13

 
 

Proteostasis Therapeutics, Inc. (a) (b)

 

4

 

4

 
 

Prothena Corporation Public Limited Company (a)

 

4

 

44

 
 

Providence Services Corp. (a)

 

1

 

53

 
 

Quidel Corporation (a)

 

2

 

233

 
 

R1 RCM Inc. (a)

 

10

 

91

 
 

RA Pharmaceuticals, Inc. (a)

 

1

 

44

 
 

RadNet Inc. (a)

 

4

 

43

 
 

Regenxbio Inc. (a)

 

2

 

79

 
 

Repligen Corporation (a)

 

3

 

245

 
 

Retrophin Inc. (a)

 

3

 

49

 
 

Revance Therapeutics Inc. (a)

 

3

 

44

 
 

Rhythm Pharmaceuticals, Inc. (a)

 

2

 

31

 
 

Rigel Pharmaceuticals Inc. (a)

 

7

 

10

 
 

Rocket Pharmaceuticals, Ltd. (a)

 

3

 

47

 
 

RTI Surgical, Inc. (a)

 

9

 

15

 
 

Sangamo Therapeutics Inc. (a) (b)

 

8

 

53

 
 

scPharmaceuticals Inc. (a)

 

 

1

 
 

SeaSpine Holdings Corporation (a)

 

2

 

20

 
 

Select Medical Holdings Corporation (a)

 

8

 

125

 
 

Sientra, Inc. (a)

 

6

 

11

 
 

SIGA Technologies, Inc. (a)

 

7

 

32

 
 

Simulations Plus Inc.

 

2

 

55

 
 

Solid Biosciences Inc. (a)

 

1

 

3

 
 

Spectrum Pharmaceuticals, Inc. (a)

 

9

 

22

 
 

Spero Therapeutics, Inc. (a)

 

2

 

19

 
 

Staar Surgical Co. (a)

 

3

 

109

 
 

Strongbridge Biopharma Public Limited Company (a)

 

3

 

6

 
 

Supernus Pharmaceuticals Inc. (a)

 

4

 

73

 
 

SurModics Inc. (a)

 

1

 

44

 
 

Symbion, Inc. (a)

 

5

 

31

 
 

Syndax Pharmaceuticals, Inc. (a)

 

3

 

29

 
 

Syneos Health, Inc. - Class A (a)

 

1

 

41

 
 

Synlogic Operating Company, Inc. (a)

 

2

 

3

 
 

Syros Pharmaceuticals, Inc. (a)

 

4

 

22

 
 

Tactile Systems Technology, Inc. (a)

 

2

 

66

 
 

Taro Pharmaceutical Industries Ltd (a)

 

2

 

127

 
 

Tenet Healthcare Corporation (a)

 

6

 

90

 
 

The Ensign Group, Inc.

 

3

 

116

 
 

The Joint Corp (a)

 

1

 

15

 
 

The Pennant Group, Inc. (a)

 

2

 

22

 
 

Translate Bio, Inc. (a) (b)

 

3

 

30

 
 

Triple-S Management Corp. - Class B (a)

 

2

 

26

 
 

U. S. Physical Therapy, Inc.

 

1

 

66

 
 

Ultragenyx Pharmaceutical Inc. (a)

 

2

 

99

 
 

United Therapeutics Corporation (a)

 

2

 

237

 
 

Utah Medical Products Inc.

 

 

47

 
 

Vanda Pharmaceuticals Inc. (a)

 

4

 

40

 
 

Varex Imaging Corporation (a)

 

3

 

63

 
 

Vericel Corporation (a)

 

4

 

33

 
 

ViewRay, Inc. (a) (b)

 

11

 

29

 
 

Viking Therapeutics, Inc. (a) (b)

 

3

 

14

 
 

Vocera Communications, Inc. (a) (b)

 

2

 

52

 
 

Voyager Therapeutics, Inc. (a)

 

3

 

24

 
 

Wave Life Sciences Ltd. (a) (b)

 

2

 

17

 
 

Wright Medical Group N.V. (a)

 

8

 

215

 
 

Xencor, Inc. (a)

 

4

 

122

 
 

Zogenix, Inc. (a)

 

2

 

45

 
 

Zynex, Inc. (a)

 

2

 

18

 
 

14,077

 

Consumer Discretionary 11.6%

 

1-800-Flowers.Com, Inc. - Class A (a)

 

3

 

37

 
 

Aaron's, Inc.

 

4

 

95

 
 

Abercrombie & Fitch Co. - Class A

 

5

 

50

 
 

Acushnet Holdings Corp.

 

6

 

142

 
 

Adient Public Limited Company (a)

 

7

 

63

 
 

Adtalem Global Education Inc. (a)

 

2

 

67

 
 

American Axle & Manufacturing Holdings, Inc. (a)

 

11

 

41

 
 

American Eagle Outfitters, Inc.

 

13

 

106

 
 

American Outdoor Brands Corporation (a)

 

5

 

44

 
 

American Public Education, Inc. (a)

 

1

 

27

 
 

America's Car Mart, Inc. (a)

 

1

 

30

 
 

Ark Restaurants Corp.

 

1

 

6

 
 

Asbury Automotive Group, Inc. (a)

 

2

 

87

 
 

Ascena Retail Group, Inc. (a) (b)

 

1

 

1

 
 

Aspen Group, Inc. (a)

 

3

 

22

 
 

At Home Group, Inc. (a) (b)

 

8

 

17

 
 

AutoNation, Inc. (a)

 

5

 

149

 
 

Barnes & Noble Education, Inc. (a)

 

5

 

7

 
 

Bassett Furniture Industries, Incorporated

 

1

 

5

 
 

BBX Capital Corporation - Class A

 

8

 

19

 
 

Bed Bath & Beyond Inc.

 

9

 

38

 
 

Big 5 Sporting Goods Corporation

 

3

 

3

 
 

Big Lots, Inc.

 

3

 

37

 
 

BJ's Restaurants, Inc.

 

2

 

26

 
 

Bloomin' Brands, Inc.

 

7

 

50

 
 

Boot Barn Holdings, Inc. (a)

 

2

 

31

 
 

Brinker International Inc.

 

3

 

37

 
 

Brunswick Corp.

 

3

 

110

 
 

Buckle Inc. (b)

 

4

 

56

 
 

Build-A-Bear Workshop Inc. (a)

 

1

 

2

 
 

Caleres Inc.

 

2

 

12

 
 

Callaway Golf Co.

 

8

 

78

 
 

Camping World Holdings, Inc. - Class A (b)

 

3

 

19

 
 

Capri Holdings Limited (a)

 

3

 

27

 
 

Carriage Services Inc.

 

2

 

32

 
 

Carrols Restaurant Group, Inc. (a)

 

4

 

7

 
 

Carter's Inc.

 

3

 

172

 
 

Cato Corp. - Class A

 

2

 

24

 
 

Cavco Industries Inc. (a)

 

1

 

100

 
 

Century Casinos Inc. (a)

 

3

 

6

 
 

Century Communities Inc. (a)

 

2

 

32

 
 

Cheesecake Factory Inc. (b)

 

3

 

58

 
 

Chico's FAS Inc.

 

13

 

17

 
 

Childrens Place Retail Stores Inc. (b)

 

1

 

23

 
 

Choice Hotels International Inc.

 

1

 

80

 
 

Churchill Downs Inc.

 

1

 

99

 
 

Chuy's Holdings Inc. (a)

 

2

 

15

 
 

Citi Trends, Inc.

 

1

 

7

 
 

Collectors Universe, Inc.

 

1

 

21

 
 

Conn's Inc. (a)

 

2

 

9

 
 

Container Store Group Inc. (a) (b)

 

7

 

16

 
 

Cooper Tire & Rubber Co.

 

4

 

67

 
 

Cooper-Standard Holdings Inc. (a)

 

1

 

15

 
 

Core-Mark Holding Co. Inc.

 

3

 

94

 
 

Cracker Barrel Old Country Store, Inc.

 

1

 

121

 
 

Crocs Inc. (a)

 

5

 

84

 
 

Culp Inc.

 

1

 

10

 
 

Dana Holding Corp.

 

12

 

92

 
 

Dave & Buster's Entertainment Inc.

 

3

 

34

 
 

Deckers Outdoor Corp. (a)

 

2

 

236

 
 

Del Taco Restaurants Inc. (a)

 

3

 

9

 
 

Delphi Technologies PLC (a)

 

7

 

60

 
 

Delta Apparel Inc. (a)

 

1

 

10

 
 

Denny's Corporation (a)

 

5

 

36

 
 

Designer Brands Inc. - Class A

 

5

 

27

 
 

Destination XL Group, Inc. (a)

 

6

 

2

 
 

Dick's Sporting Goods Inc.

 

5

 

98

 
 

Dillard's Inc. - Class A (b)

 

1

 

44

 
 

Dine Brands Global Inc.

 

2

 

43

 
 

Dixie Group Inc. - Class A (a)

 

1

 

1

 
 

Dorman Products Inc. (a)

 

3

 

149

 
 

Duluth Holdings Inc. - Class B (a) (b)

 

1

 

5

 
 

El Pollo Loco Holdings Inc. (a)

 

4

 

35

 
 

Eldorado Resorts, Inc. (a)

 

4

 

59

 
 

Escalade Inc.

 

2

 

13

 
 

Ethan Allen Interiors Inc.

 

2

 

25

 
 

Everi Holdings Inc. (a)

 

7

 

22

 
 

Express, Inc. (a)

 

6

 

9

 
 

Extended Stay America, Inc. - Class B

 

14

 

105

 
 

Fiesta Restaurant Group, Inc. (a)

 

3

 

14

 
 

Flexsteel Industries Inc.

 

1

 

12

 

10


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 
 

Floor & Decor Holdings Inc. (a)

 

4

 

131

 
 

Foot Locker, Inc.

 

4

 

80

 
 

Fossil Group, Inc. (a)

 

3

 

11

 
 

Fox Factory Holding Corp. (a)

 

3

 

136

 
 

Francesca's Holdings Corporation (a) (b)

 

 

 
 

Frontdoor, Inc. (a)

 

5

 

173

 
 

Funko Inc. - Class A (a) (b)

 

2

 

9

 
 

GameStop Corp. - Class A (b)

 

8

 

29

 
 

Garrett Motion Inc. (a)

 

8

 

22

 
 

Genesco Inc. (a)

 

1

 

18

 
 

Gentherm Incorporated (a)

 

3

 

87

 
 

G-III Apparel Group, Ltd. (a)

 

3

 

23

 
 

GNC Holdings, Inc. - Class A (a) (b)

 

1

 

1

 
 

Gopro Inc. - Class A (a)

 

11

 

28

 
 

Graham Holdings Co.

 

 

107

 
 

Grand Canyon Education, Inc. (a)

 

2

 

137

 
 

Grantley Adams International Airport Inc. - Class A (a) (b)

 

1

 

7

 
 

Green Brick Partners Inc. (a)

 

4

 

31

 
 

Group 1 Automotive Inc.

 

1

 

54

 
 

Groupon Inc. - Class A (a)

 

48

 

47

 
 

Grubhub Holdings Inc. (a)

 

1

 

24

 
 

Guess Inc.

 

5

 

36

 
 

H & R Block, Inc.

 

4

 

54

 
 

Hamilton Beach Brands Holding Company

 

1

 

8

 
 

Haverty Furniture Cos. Inc.

 

1

 

17

 
 

Helen of Troy Ltd (a)

 

1

 

192

 
 

Hibbett Sports Inc. (a)

 

2

 

17

 
 

Hilton Grand Vacations Inc. (a)

 

6

 

93

 
 

Hooker Furniture Corp.

 

2

 

26

 
 

Horizon Global Corporation (a)

 

1

 

2

 
 

Houghton Mifflin Harcourt Company (a)

 

11

 

20

 
 

Hudson Ltd. (a)

 

3

 

15

 
 

Installed Building Products, Inc. (a)

 

2

 

87

 
 

International Game Technology PLC

 

11

 

68

 
 

iRobot Corp. (a) (b)

 

2

 

68

 
 

J. Alexander's Holdings, Inc. (a)

 

1

 

5

 
 

J.Jill, Inc. (b)

 

2

 

1

 
 

Jack in the Box Inc.

 

2

 

69

 
 

Johnson Outdoors Inc. - Class A

 

1

 

51

 
 

K12 Inc. (a)

 

3

 

56

 
 

KAR Auction Services, Inc.

 

9

 

106

 
 

KB Home

 

6

 

117

 
 

Kontoor Brands, Inc.

 

4

 

80

 
 

Lakeland Industries Inc. (a)

 

2

 

25

 
 

Lands' End, Inc. (a)

 

3

 

17

 
 

Laureate Education Inc. - Class A (a)

 

7

 

71

 
 

La-Z-Boy Inc.

 

4

 

78

 
 

LCI Industries

 

2

 

129

 
 

Leaf Group Ltd. (a)

 

4

 

6

 
 

LGI Homes, Inc. (a)

 

2

 

86

 
 

Libbey Inc. (a) (b)

 

2

 

1

 
 

Lifetime Brands, Inc.

 

2

 

12

 
 

Lindblad Expeditions Holdings Inc. (a)

 

4

 

18

 
 

Liquidity Services, Inc. (a)

 

3

 

13

 
 

Lithia Motors Inc. - Class A

 

2

 

138

 
 

Lumber Liquidators, Inc. (a) (b)

 

2

 

10

 
 

M/I Homes, Inc. (a)

 

3

 

42

 
 

Macy's, Inc. (b)

 

14

 

70

 
 

Malibu Boats, Inc. - Class A (a)

 

2

 

53

 
 

Marine Products Corp.

 

2

 

18

 
 

MarineMax Inc. (a)

 

2

 

20

 
 

Marriott Vacations Worldwide Corporation

 

2

 

127

 
 

MasterCraft Boat Holdings, Inc. (a)

 

3

 

18

 
 

Mattel, Inc. (a) (b)

 

2

 

16

 
 

MDC Holdings Inc.

 

5

 

112

 
 

Meritage Homes Corporation (a)

 

4

 

155

 
 

Modine Manufacturing Co. (a)

 

6

 

18

 
 

Monarch Casino & Resort Inc. (a)

 

1

 

29

 
 

Monro Inc.

 

2

 

100

 
 

Motorcar Parts of America Inc. (a)

 

2

 

25

 
 

Movado Group Inc.

 

1

 

13

 
 

Murphy USA Inc. (a)

 

2

 

164

 
 

Nathan's Famous Inc.

 

1

 

31

 
 

National Vision Holdings, Inc. (a)

 

6

 

112

 
 

Nautilus, Inc. (a)

 

2

 

6

 
 

New Home Co. Inc. (a)

 

2

 

2

 
 

Noodles & Company - Class A (a)

 

5

 

22

 
 

Nordstrom Inc.

 

2

 

37

 
 

Obh Inc. - Class A (a)

 

 

3

 
 

Obh Inc. - Class B (a)

 

 

13

 
 

Office Depot Inc.

 

46

 

76

 
 

Ollie's Bargain Outlet Holdings Inc. (a)

 

3

 

129

 
 

Oxford Industries Inc.

 

2

 

58

 
 

Papa John's International Inc.

 

2

 

128

 
 

Party City Holdco Inc. (a)

 

7

 

3

 
 

Penn National Gaming Inc. (a) (b)

 

5

 

67

 
 

Penske Automotive Group, Inc.

 

5

 

147

 
 

Perdoceo Education Corporation (a)

 

5

 

59

 
 

PetMed Express Inc.

 

2

 

51

 
 

Pico Holdings Inc. (a)

 

1

 

11

 
 

Playa Hotels & Resorts N.V. (a)

 

9

 

16

 
 

PlayAGS, Inc. (a)

 

4

 

11

 
 

Potbelly Corporation (a)

 

2

 

7

 
 

Purple Innovation, Inc. (a)

 

2

 

11

 
 

Quotient Technology Inc. (a)

 

7

 

47

 
 

Qurate Retail, Inc. - Class A (a)

 

16

 

98

 
 

Red Lion Hotels Corp. (a)

 

2

 

3

 
 

Red Robin Gourmet Burgers, Inc. (a)

 

1

 

11

 
 

Red Rock Resorts, Inc. - Class A

 

5

 

47

 
 

Regis Corp. (a)

 

3

 

20

 
 

Rent-A-Center, Inc.

 

4

 

62

 
 

RH (a)

 

1

 

125

 
 

Rocky Brands Inc.

 

1

 

17

 
 

Ruth's Hospitality Group Inc.

 

3

 

17

 
 

Sally Beauty Holdings, Inc. (a)

 

9

 

72

 
 

Scientific Games Corporation - Class A (a)

 

7

 

67

 
 

Seaworld Entertainment, Inc. (a)

 

7

 

74

 
 

ServiceMaster Holding Corporation (a)

 

1

 

21

 
 

Shake Shack Inc. - Class A (a)

 

3

 

107

 
 

Shiloh Industries Inc. (a)

 

2

 

3

 
 

Shoe Carnival Inc. (b)

 

1

 

18

 
 

Shutterstock Inc.

 

3

 

91

 
 

Signet Jewelers Limited

 

5

 

29

 
 

Six Flags Operations Inc.

 

6

 

79

 
 

Skyline Corp. (a)

 

5

 

74

 
 

Sleep Number Corporation (a)

 

2

 

43

 
 

Sonic Automotive, Inc. - Class A

 

3

 

37

 
 

Sonos, Inc. (a)

 

6

 

48

 
 

Sportsman's Warehouse Holdings, Inc. (a)

 

6

 

38

 
 

Stamps.com Inc. (a)

 

2

 

197

 
 

Standard Motor Products Inc.

 

2

 

72

 
 

Steven Madden Ltd.

 

6

 

141

 
 

Stitch Fix, Inc. - Class A (a) (b)

 

2

 

26

 
 

Stoneridge, Inc. (a)

 

2

 

37

 
 

Strategic Education, Inc.

 

1

 

136

 
 

Strattec Security Corp.

 

1

 

8

 
 

Superior Industries International Inc.

 

1

 

1

 
 

Superior Uniform Group Inc.

 

2

 

21

 
 

Tailored Brands, Inc. (b)

 

4

 

6

 
 

Tandy Leather Factory, Inc. (a)

 

1

 

4

 
 

Taylor Morrison Home II Corporation - Class A (a)

 

4

 

49

 
 

Tempur Sealy International, Inc. (a)

 

3

 

139

 
 

Tenneco Inc. (b)

 

2

 

6

 
 

Texas Roadhouse Inc.

 

4

 

169

 
 

The Goodyear Tire & Rubber Company

 

17

 

97

 
 

The Lovesac Company (a)

 

2

 

9

 
 

The Michaels Companies, Inc. (a) (b)

 

13

 

21

 
 

The Rubicon Project, Inc. (a)

 

6

 

35

 
 

The Wendy's Company

 

11

 

158

 
 

Thor Industries Inc.

 

2

 

88

 
 

Tilly's Inc. - Class A

 

2

 

10

 
 

TopBuild Corp. (a)

 

2

 

163

 
 

Town Sports International Holdings, Inc. (a)

 

2

 

1

 
 

TRI Pointe Homes, Inc. (a)

 

6

 

54

 
 

Tupperware Brands Corp.

 

6

 

9

 
 

Twin River Worldwide Holdings, Inc.

 

2

 

31

 
 

Unifi Inc. (a)

 

2

 

20

 
 

Universal Electronics Inc. (a)

 

1

 

52

 
 

Universal Technical Institute Inc. (a)

 

3

 

17

 

11


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 
 

Urban Outfitters Inc. (a)

 

7

 

96

 
 

Veoneer, Inc. (a) (b)

 

4

 

28

 
 

Vera Bradley, Inc. (a)

 

1

 

6

 
 

Vincent Holding Corp. (a)

 

1

 

3

 
 

Vista Outdoor Inc. (a)

 

5

 

48

 
 

Visteon Corporation (a)

 

2

 

108

 
 

VOXX International Corporation - Class A (a)

 

1

 

4

 
 

Weyco Group Inc.

 

1

 

12

 
 

Williams-Sonoma Inc.

 

 

3

 
 

Wingstop Inc.

 

2

 

146

 
 

Winmark Corp.

 

1

 

66

 
 

Winnebago Industries Inc.

 

3

 

74

 
 

Wolverine World Wide, Inc.

 

5

 

83

 
 

WW International, Inc. (a)

 

4

 

75

 
 

Wyndham Destinations, Inc.

 

6

 

123

 
 

YETI Holdings, Inc. (a)

 

2

 

37

 
 

ZAGG Inc (a)

 

4

 

13

 
 

Zovio Inc. (a)

 

2

 

4

 
 

Zumiez Inc. (a)

 

3

 

45

 
 

12,716

 

Materials 5.6%

 

AdvanSix Inc. (a)

 

3

 

24

 
 

AgroFresh Solutions, Inc. (a)

 

4

 

7

 
 

Alcoa Corporation (a)

 

12

 

72

 
 

Allegheny Technologies Incorporated (a)

 

8

 

67

 
 

American Vanguard Corporation

 

3

 

39

 
 

Andina Acquisition Corporation (b)

 

1

 

6

 
 

Ashland Global Holdings Inc.

 

2

 

97

 
 

Balchem Corporation

 

2

 

206

 
 

Boise Cascade Company

 

3

 

78

 
 

Cabot Corp.

 

4

 

108

 
 

Carpenter Technology Corp.

 

3

 

60

 
 

Century Aluminum Co. (a)

 

11

 

39

 
 

Chase Corporation

 

1

 

67

 
 

Clearwater Paper Corporation (a)

 

2

 

36

 
 

Cleveland-Cliffs Inc. (b)

 

23

 

92

 
 

Coeur d'Alene Mines Corp. (a)

 

19

 

61

 
 

Commercial Metals Co.

 

9

 

144

 
 

Compass Minerals International, Inc.

 

3

 

105

 
 

Core Molding Technologies Inc. (a)

 

 

 
 

Domtar Corp.

 

4

 

92

 
 

Eagle Materials Inc.

 

3

 

167

 
 

Element Solutions, Inc. (a)

 

18

 

147

 
 

Ferro Corporation (a)

 

7

 

62

 
 

Ferroglobe PLC (a)

 

5

 

2

 
 

Ferroglobe Rep and Warranty Insurance Trust (a) (c)

 

9

 

 
 

Flotek Industries Inc. (a)

 

5

 

5

 
 

Forterra, Inc. (a)

 

5

 

32

 
 

FutureFuel Corp.

 

4

 

44

 
 

GCP Applied Technologies Inc. (a)

 

6

 

98

 
 

Gold Resource Corporation

 

8

 

22

 
 

Graphic Packaging Holding Company

 

13

 

163

 
 

Greif Inc. - Class A

 

2

 

70

 
 

Greif Inc. - Class B

 

1

 

38

 
 

H.B. Fuller Company

 

4

 

104

 
 

Hawkins Inc.

 

1

 

39

 
 

Haynes International Inc.

 

1

 

29

 
 

Hecla Mining Co.

 

39

 

72

 
 

Huntsman Corp.

 

4

 

54

 
 

Ingevity Corporation (a)

 

3

 

113

 
 

Innospec Inc.

 

2

 

127

 
 

Intrepid Potash, Inc. (a)

 

10

 

8

 
 

Kaiser Aluminum Corporation

 

2

 

156

 
 

Koppers Holdings Inc. (a)

 

2

 

22

 
 

Kraton Corporation (a)

 

2

 

15

 
 

Kronos Worldwide, Inc.

 

7

 

56

 
 

Livent Corporation (a)

 

13

 

66

 
 

Louisiana-Pacific Corp.

 

9

 

151

 
 

LSB Industries Inc. (a)

 

3

 

6

 
 

Materion Corp.

 

2

 

66

 
 

Mercer International Inc.

 

6

 

46

 
 

Minera Andes Inc.

 

4

 

3

 
 

Minerals Technologies Inc.

 

3

 

94

 
 

Myers Industries Inc.

 

4

 

43

 
 

Neenah Inc.

 

1

 

54

 
 

Nexa Resources S.A.

 

8

 

29

 
 

O-I Glass, Inc.

 

13

 

95

 
 

Olin Corporation

 

12

 

138

 
 

Olympic Steel, Inc.

 

1

 

10

 
 

Omnova Solutions Inc. (a)

 

4

 

40

 
 

P.H. Glatfelter Co.

 

4

 

44

 
 

Park Aerospace Technologies Corp.

 

2

 

25

 
 

PolyOne Corporation

 

7

 

127

 
 

PQ Group Holdings Inc. (a)

 

9

 

98

 
 

Rayonier Advanced Materials Inc.

 

7

 

7

 
 

Resolute Forest Products Inc. (a)

 

8

 

10

 
 

Ryerson Holding Corp. (a)

 

4

 

19

 
 

Schnitzer Steel Industries Inc. - Class A

 

2

 

31

 
 

Schweitzer-Mauduit International Inc.

 

2

 

67

 
 

Select Interior Concepts, Inc. (a)

 

2

 

4

 
 

Sensient Technologies Corporation

 

3

 

141

 
 

Silgan Holdings Inc.

 

7

 

201

 
 

Stepan Co.

 

2

 

151

 
 

Summit Materials, Inc. - Class A (a)

 

8

 

118

 
 

SunCoke Energy, Inc.

 

10

 

37

 
 

Synalloy Corp. (a)

 

2

 

14

 
 

The Chemours Company

 

13

 

111

 
 

TimkenSteel Corp. (a)

 

6

 

20

 
 

Trecora Resources (a)

 

1

 

7

 
 

Tredegar Corp.

 

3

 

49

 
 

Trinseo S.A.

 

4

 

69

 
 

Tronox Holdings PLC

 

13

 

64

 
 

U.S. Concrete, Inc. (a)

 

2

 

30

 
 

UFP Technologies Inc. (a)

 

1

 

40

 
 

United States Lime & Minerals Inc.

 

1

 

38

 
 

United States Steel Corporation (b)

 

10

 

64

 
 

Univar Solutions Inc. (a)

 

11

 

123

 
 

Universal Stainless & Alloy Products Inc. (a)

 

1

 

8

 
 

Valvoline, Inc.

 

11

 

146

 
 

Venator Materials PLC (a)

 

8

 

14

 
 

Verso Corporation - Class A (a)

 

3

 

35

 
 

W. R. Grace & Co.

 

4

 

136

 
 

Warrior Met Coal, Inc.

 

4

 

39

 
 

Worthington Industries Inc.

 

5

 

121

 
 

6,094

 

Consumer Staples 4.5%

 

Alico, Inc.

 

1

 

35

 
 

B&G Foods, Inc. (b)

 

3

 

56

 
 

BJ's Wholesale Club Holdings, Inc. (a)

 

8

 

196

 
 

Boston Beer Co. Inc. - Class A (a)

 

1

 

196

 
 

Calavo Growers Inc.

 

1

 

78

 
 

Cal-Maine Foods Inc.

 

4

 

155

 
 

Central Garden & Pet Co. (a)

 

1

 

32

 
 

Central Garden & Pet Co. - Class A (a)

 

3

 

78

 
 

Coca-Cola Consolidated Inc.

 

1

 

118

 
 

Craft Brewers Alliance Inc. (a)

 

2

 

28

 
 

Darling Ingredients Inc. (a)

 

10

 

201

 
 

Del Monte Fresh Produce Company

 

2

 

69

 
 

E.L.F. Beauty, Inc. (a) (b)

 

5

 

49

 
 

Edgewell Personal Care Colombia S A S (a)

 

4

 

97

 
 

Energizer Holdings, Inc.

 

1

 

30

 
 

Farmer Bros. Co. (a)

 

2

 

16

 
 

Flowers Foods Inc.

 

5

 

101

 
 

Freshpet Inc. (a)

 

2

 

141

 
 

Hain Celestial Group Inc. (a)

 

6

 

151

 
 

Hostess Brands, Inc. - Class A (a)

 

9

 

94

 
 

Ingles Markets Inc. - Class A

 

1

 

41

 
 

Inter Parfums Inc.

 

2

 

113

 
 

J&J Snack Foods Corp.

 

1

 

134

 
 

John B. Sanfilippo & Son Inc.

 

1

 

76

 
 

Lancaster Colony Corp.

 

2

 

226

 
 

Landec Corp. (a)

 

3

 

27

 
 

LifeVantage Corporation (a)

 

2

 

19

 
 

Limoneira Co.

 

2

 

25

 
 

Medifast, Inc. (b)

 

1

 

54

 
 

MGPI Processing, Inc. (b)

 

1

 

38

 
 

National Beverage Corp. (a) (b)

 

2

 

65

 
 

Natura & Co Holding SA - ADR (a)

 

8

 

80

 

12


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 
 

Natural Alternatives International Inc. (a)

 

1

 

5

 
 

Natural Grocers By Vitamin Cottage, Inc.

 

3

 

27

 
 

Natural Health Trends Corp. (b)

 

1

 

3

 
 

Nu Skin Enterprises, Inc. - Class A

 

4

 

92

 
 

Oil-Dri Corp. of America

 

 

13

 
 

Performance Food Group Company (a)

 

7

 

167

 
 

PriceSmart Inc.

 

2

 

127

 
 

Rite Aid Corporation (a) (b)

 

3

 

38

 
 

Rocky Mountain Chocolate Factory, Inc.

 

1

 

7

 
 

Sanderson Farms Inc.

 

1

 

159

 
 

Seaboard Corp.

 

 

11

 
 

Seneca Foods Corp. - Class A (a)

 

 

17

 
 

SpartanNash Co.

 

4

 

50

 
 

Spectrum Brands Legacy, Inc.

 

2

 

86

 
 

Sprouts Farmers Market, Inc. (a)

 

10

 

186

 
 

The Andersons, Inc.

 

3

 

61

 
 

The Chefs' Warehouse, Inc. (a)

 

3

 

29

 
 

The Simply Good Foods Company (a)

 

7

 

128

 
 

Tootsie Roll Industries Inc. (b)

 

1

 

38

 
 

Treehouse Foods, Inc. (a)

 

4

 

167

 
 

Turning Point Brands, Inc.

 

1

 

28

 
 

United Natural Foods Inc. (a)

 

5

 

49

 
 

United-Guardian Inc.

 

 

2

 
 

Universal Corp.

 

2

 

83

 
 

USANA Health Sciences, Inc. (a)

 

2

 

98

 
 

Vector Group Ltd.

 

12

 

110

 
 

Village Super Market Inc. - Class A

 

1

 

24

 
 

WD-40 Co.

 

1

 

170

 
 

Weis Markets Inc.

 

2

 

94

 
 

4,888

 

Utilities 4.1%

 

ALLETE, Inc.

 

3

 

190

 
 

American States Water Company

 

3

 

208

 
 

Artesian Resources Corporation - Class A

 

1

 

41

 
 

Atlantica Yield PLC

 

7

 

151

 
 

Avista Corporation

 

4

 

164

 
 

Black Hills Corporation

 

2

 

129

 
 

California Water Service Group

 

3

 

142

 
 

Chesapeake Utilities Corporation

 

1

 

111

 
 

Clearway Energy, Inc. - Class A

 

3

 

54

 
 

Clearway Energy, Inc. - Class C

 

5

 

95

 
 

Consolidated Water Co. Ltd.

 

1

 

24

 
 

El Paso Electric Company

 

2

 

166

 
 

Genie Energy Ltd. - Class B

 

3

 

25

 
 

Hawaiian Electric Industries Inc.

 

3

 

144

 
 

MGE Energy, Inc.

 

2

 

155

 
 

Middlesex Water Co.

 

1

 

82

 
 

National Fuel Gas Company

 

5

 

175

 
 

New Jersey Resources Corp.

 

5

 

181

 
 

Northwest Natural Holding Company

 

2

 

150

 
 

NorthWestern Corp.

 

3

 

187

 
 

One Gas, Inc.

 

2

 

155

 
 

Ormat Technologies Inc.

 

3

 

207

 
 

Otter Tail Corp.

 

3

 

134

 
 

PNM Resources, Inc.

 

5

 

180

 
 

Portland General Electric Co.

 

2

 

117

 
 

Pure Cycle Corporation (a)

 

2

 

28

 
 

RGC Resources, Inc.

 

1

 

25

 
 

SJW Corp.

 

2

 

125

 
 

South Jersey Industries Inc.

 

6

 

142

 
 

Southwest Gas Corp.

 

3

 

215

 
 

Spark Energy Inc. - Class A (b)

 

2

 

12

 
 

Spire, Inc.

 

3

 

222

 
 

Terraform Power, Inc. - Class A

 

12

 

186

 
 

Unitil Corp.

 

1

 

70

 
 

Vivint Solar, Inc. (a) (b)

 

6

 

28

 
 

York Water Co.

 

1

 

48

 
 

4,468

 

Communication Services 3.4%

 

Alaska Communications Systems Group, Inc. (a)

 

2

 

4

 
 

AMC Entertainment Holdings, Inc. - Class A

 

3

 

8

 
 

AMC Networks, Inc. - Class A (a)

 

4

 

88

 
 

Anterix Inc. (a) (b)

 

1

 

67

 
 

ATN International Limited

 

1

 

78

 
 

Bandwidth Inc. - Class A (a)

 

 

18

 
 

Boingo Wireless, Inc. (a)

 

5

 

55

 
 

Boston Omaha Corporation - Class A (a) (b)

 

2

 

41

 
 

Cable One, Inc.

 

 

33

 
 

Cargurus Inc. - Class A (a)

 

5

 

99

 
 

Cars.com Inc. (a)

 

6

 

26

 
 

Central European Media Enterprises Ltd - Class A (a)

 

16

 

49

 
 

Cincinnati Bell Inc. (a)

 

4

 

56

 
 

Cinemark Holdings, Inc.

 

6

 

65

 
 

Clear Channel Outdoor Holdings, Inc. (a)

 

37

 

23

 
 

Cogent Communications Group, Inc.

 

3

 

238

 
 

comScore, Inc. (a)

 

6

 

17

 
 

Consolidated Communications Holdings Inc.

 

6

 

29

 
 

Cumulus Media Inc. - Class A (a)

 

2

 

13

 
 

Daily Journal Corp. (a) (b)

 

 

11

 
 

DHI Group, Inc. (a)

 

6

 

12

 
 

Egain Corporation (a)

 

4

 

28

 
 

Emerald Holding, Inc.

 

5

 

14

 
 

Entercom Communications Corp. - Class A

 

14

 

23

 
 

Entravision Communications Corporation - Class A

 

4

 

8

 
 

Eventbrite, Inc. - Class A (a) (b)

 

6

 

45

 
 

EW Scripps Co. - Class A

 

5

 

41

 
 

Fluent Inc. (a)

 

7

 

8

 
 

Gannett Media Corp. (b)

 

8

 

11

 
 

Glu Mobile Inc. (a)

 

13

 

84

 
 

Gogo LLC (a) (b)

 

7

 

15

 
 

Gray Television, Inc. (a)

 

6

 

66

 
 

Hemisphere Media Group, Inc. - Class A (a)

 

2

 

15

 
 

IDT Corp. - Class B (a)

 

3

 

14

 
 

IMAX Corporation (a)

 

5

 

47

 
 

Intelsat Investments S.A. (a) (b)

 

8

 

13

 
 

Iridium Communications Inc. (a)

 

7

 

159

 
 

John Wiley & Sons Inc. - Class A

 

3

 

127

 
 

Lee Enterprises, Incorporated (a)

 

3

 

3

 
 

Liberty Braves Group - Class A (a)

 

1

 

21

 
 

Liberty Braves Group - Class C (a)

 

3

 

61

 
 

Liberty Latin America Ltd. - Class A (a)

 

3

 

31

 
 

Liberty Latin America Ltd. - Class C (a)

 

9

 

91

 
 

Liberty TripAdvisor Holdings Inc. - Class A (a)

 

5

 

9

 
 

Lions Gate Entertainment Corp. - Class A (a)

 

7

 

43

 
 

Lions Gate Entertainment Corp. - Class B (a)

 

9

 

50

 
 

Loral Spacecom Corporation (a)

 

2

 

30

 
 

Marchex, Inc. - Class B (a)

 

2

 

3

 
 

Marcus Corp.

 

2

 

22

 
 

Maxar Technologies Inc. (b)

 

5

 

49

 
 

Meredith Corporation (b)

 

3

 

40

 
 

MSG Networks Inc. - Class A (a)

 

4

 

41

 
 

National CineMedia, Inc.

 

7

 

22

 
 

New York Times Co. - Class A

 

3

 

92

 
 

Nexstar Media Group, Inc. - Class A

 

2

 

141

 
 

ORBCOMM Inc. (a)

 

7

 

18

 
 

QuinStreet, Inc. (a)

 

5

 

39

 
 

Reading International Inc. - Class A (a)

 

2

 

10

 
 

Saga Communications Inc. - Class A

 

 

8

 
 

Scholastic Corp.

 

2

 

50

 
 

Shenandoah Telecommunications Company

 

4

 

174

 
 

Spok Holdings, Inc.

 

1

 

11

 
 

TechTarget, Inc. (a)

 

3

 

61

 
 

TEGNA Inc.

 

13

 

144

 
 

Telephone & Data Systems Inc.

 

8

 

134

 
 

The Meet Group, Inc. (a)

 

6

 

35

 
 

Townsquare Media Inc. - Class A

 

1

 

5

 
 

Travelzoo (a)

 

1

 

6

 
 

Tribune Publishing Company, LLC

 

4

 

29

 
 

TripAdvisor Inc.

 

2

 

32

 
 

Truecar, Inc. (a)

 

10

 

25

 
 

US Cellular Corp. (a)

 

2

 

69

 
 

Vonage Holdings Corp. (a)

 

19

 

135

 
 

World Wrestling Entertainment, Inc. - Class A (b)

 

2

 

67

 
 

Yelp Inc. - Class A (a)

 

6

 

102

 
 

Zedge, Inc. - Class B (a)

 

1

 

1

 
 

Zynga Inc. - Class A (a)

 

12

 

81

 
 

3,733

 

13


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 

Energy 3.0%

 

Adams Resources & Energy, Inc.

 

1

 

19

 
 

Amplify Energy Corp.

 

5

 

3

 
 

Antero Resources Corporation (a) (b)

 

24

 

17

 
 

Apache Corporation

 

11

 

46

 
 

Apergy Corporation (a)

 

6

 

34

 
 

Arch Coal, Inc. - Class A

 

1

 

38

 
 

Archrock, Inc.

 

12

 

44

 
 

Aspen Aerogels, Inc. (a)

 

2

 

15

 
 

Berry Corporation (Bry)

 

8

 

19

 
 

Bonanza Creek Energy, Inc. (a)

 

2

 

22

 
 

Cactus Inc. - Class A

 

4

 

49

 
 

California Resources Corporation (a) (b)

 

3

 

3

 
 

Callon Petroleum Company (a)

 

25

 

14

 
 

Centennial Resource Development, LLC - Class A (a)

 

21

 

6

 
 

Chesapeake Energy Corporation (a) (b)

 

24

 

4

 
 

Cimarex Energy Co.

 

7

 

115

 
 

Clean Energy Fuels Corp. (a)

 

24

 

42

 
 

CNX Resources Corporation (a)

 

15

 

78

 
 

CONSOL Mining Corporation (a)

 

3

 

10

 
 

Contango Oil & Gas Company (a) (b)

 

12

 

18

 
 

Core Laboratories N.V.

 

3

 

34

 
 

CVR Energy, Inc.

 

6

 

96

 
 

Dawson Geophysical Co. (a)

 

2

 

2

 
 

Delek US Holdings, Inc.

 

5

 

78

 
 

Denbury Resources Inc. (a) (b)

 

19

 

3

 
 

DHT Holdings, Inc.

 

12

 

91

 
 

Diamond Offshore Drilling, Inc. (a) (b)

 

4

 

7

 
 

DMC Global Inc.

 

2

 

36

 
 

Dorian LPG Ltd. (a)

 

5

 

45

 
 

Dril-Quip Inc. (a)

 

3

 

90

 
 

Earthstone Energy, Inc. - Class A (a)

 

4

 

7

 
 

Enlink Midstream, LLC

 

23

 

26

 
 

EQT Corporation

 

18

 

130

 
 

Equitrans Midstream Corp. (b)

 

17

 

86

 
 

ERA Group Inc. (a)

 

2

 

12

 
 

Evolution Petroleum Corporation

 

3

 

8

 
 

Exterran Trinidad LLC (a)

 

3

 

12

 
 

Extraction Oil & Gas, Inc. (a) (b)

 

8

 

3

 
 

Forum Energy Technologies, Inc. (a)

 

7

 

1

 
 

Frank's International N.V. (a)

 

18

 

47

 
 

FTS International, Inc. (a)

 

4

 

1

 
 

GasLog Ltd.

 

4

 

16

 
 

Geospace Technologies Corporation (a)

 

2

 

14

 
 

Green Plains Renewable Energy Inc.

 

3

 

16

 
 

Gulf Island Fabrication Inc. (a)

 

2

 

5

 
 

Gulfport Energy Corporation (a) (b)

 

11

 

5

 
 

Helix Energy Solutions Group, Inc. (a)

 

10

 

17

 
 

Helmerich & Payne Inc.

 

7

 

115

 
 

HighPoint Resources Corporation (a)

 

5

 

1

 
 

Independence Contract Drilling, Inc. (a) (b)

 

 

 
 

International Seaways, Inc.

 

3

 

64

 
 

ION Geophysical Corp. (a)

 

1

 

1

 
 

KLX Energy Services Holdings, Inc. (a) (b)

 

1

 

1

 
 

Kosmos Energy Ltd.

 

23

 

20

 
 

Laredo Petroleum Holdings Inc. (a)

 

20

 

8

 
 

Liberty Oilfield Services Inc. - Class A

 

6

 

16

 
 

Lonestar Resources US Inc. - Class A (a)

 

2

 

1

 
 

Mammoth Energy Services, Inc. (b)

 

1

 

1

 
 

Matador Resources Co. (a)

 

10

 

25

 
 

Matrix Service Co. (a)

 

3

 

29

 
 

Montage Resources Corporation (a) (b)

 

4

 

9

 
 

Murphy Oil Corporation (b)

 

9

 

58

 
 

Nabors Industries Ltd

 

33

 

13

 
 

NACCO Industries Inc. - Class A

 

 

11

 
 

Natural Gas Services Group, Inc. (a)

 

1

 

5

 
 

NCS Multistage Holdings Inc. (a)

 

1

 

 
 

Newpark Resources Inc. (a)

 

8

 

7

 
 

NexTier Oilfield Solutions Inc. (a)

 

16

 

19

 
 

Nine Energy Service, Inc. (a) (b)

 

2

 

1

 
 

Noble Corporation PLC (a)

 

10

 

3

 
 

Nordic American Tankers Limited

 

13

 

59

 
 

Northern Oil and Gas Inc. (a) (b)

 

30

 

20

 
 

Oasis Petroleum Inc. (a)

 

30

 

10

 
 

Oceaneering International, Inc. (a)

 

8

 

25

 
 

Oil States International Inc. (a)

 

5

 

10

 
 

Overseas Shipholding Group, Inc. - Class A (a)

 

6

 

14

 
 

Pacific Drilling S.A. (a) (b)

 

3

 

1

 
 

Panhandle Oil and Gas Inc. - Class A

 

1

 

5

 
 

Par Pacific Holdings, Inc. (a)

 

4

 

30

 
 

Patterson-UTI Energy Inc.

 

18

 

41

 
 

PBF Energy Inc. - Class A

 

7

 

48

 
 

PDC Energy, Inc. (a)

 

7

 

42

 
 

Peabody Energy Corp.

 

6

 

17

 
 

Penn Virginia Corporation (a)

 

1

 

4

 
 

Primeenergy Resources Corporation (a)

 

 

8

 
 

Propetro Holding Corp. (a)

 

6

 

15

 
 

QEP Resources, Inc.

 

12

 

4

 
 

Range Resources Corporation (b)

 

13

 

30

 
 

Reg Biofuels, LLC (a)

 

4

 

75

 
 

REX Stores Corp. (a)

 

 

18

 
 

RigNet Inc. (a)

 

1

 

2

 
 

Ring Energy Inc. (a) (b)

 

8

 

5

 
 

RPC Inc. (b)

 

16

 

33

 
 

SandRidge Energy, Inc. (a)

 

3

 

3

 
 

Scorpio Tankers Inc.

 

5

 

94

 
 

SEACOR Holdings Inc. (a)

 

2

 

56

 
 

SEACOR Marine Holdings Inc. (a)

 

1

 

6

 
 

Select Energy Services, Inc. - Class A (a)

 

8

 

25

 
 

SFL Corporation Ltd.

 

9

 

88

 
 

SilverBow Resources, Inc. (a) (b)

 

1

 

3

 
 

SM Energy Company

 

9

 

11

 
 

Solaris Oilfield Infrastructure, Inc. - Class A

 

3

 

15

 
 

Southwestern Energy Co. (a)

 

32

 

54

 
 

Talos Energy Inc. (a)

 

4

 

24

 
 

Targa Resources Corp.

 

12

 

86

 
 

Teekay Tankers Ltd. - Class A (a)

 

3

 

58

 
 

TETRA Technologies, Inc. (a)

 

11

 

3

 
 

Tidewater Inc. (a)

 

3

 

22

 
 

Transocean Ltd. (a) (b)

 

25

 

29

 
 

TravelCenters of America, Inc. (a)

 

1

 

11

 
 

U.S. Silica Holdings, Inc. (b)

 

8

 

14

 
 

VAALCO Energy, Inc. (a)

 

4

 

4

 
 

Valaris PLC - Class A (b)

 

6

 

3

 
 

W&T Offshore, Inc. (a) (b)

 

16

 

27

 
 

Whiting Petroleum Corporation (a) (b)

 

5

 

3

 
 

World Fuel Services Corp.

 

5

 

118

 
 

WPX Energy, Inc. (a)

 

35

 

105

 
 

3,270

 

Real Estate 0.8%

 

Altisource Portfolio Solutions S.A. (a) (b)

 

1

 

7

 
 

Consolidated-Tomoka Land Co.

 

 

22

 
 

Cushman & Wakefield Plc (a)

 

6

 

68

 
 

Drive Shack Inc. (a)

 

5

 

8

 
 

Dwight A. Walker Real Estate, Inc. - Class A

 

2

 

37

 
 

Five Point Holdings, LLC - Class A (a) (b)

 

6

 

30

 
 

Florida Rock Properties, Inc. (a)

 

1

 

40

 
 

Forestar Group Inc. (a)

 

4

 

42

 
 

Griffin Industrial Realty Inc.

 

1

 

29

 
 

Kennedy-Wilson Holdings Inc.

 

10

 

129

 
 

Marcus & Millichap Inc. (a)

 

3

 

87

 
 

Maui Land & Pineapple Co. Inc. (a)

 

1

 

11

 
 

Newmark Group, Inc. - Class A

 

11

 

45

 
 

Rafael Holdings, Inc. - Class B (a)

 

2

 

25

 
 

Realogy Holdings Corp. (b)

 

5

 

15

 
 

Redfin Corporation (a)

 

5

 

70

 
 

St. Joe Co. (a) (b)

 

5

 

87

 
 

Tejon Ranch Co. (a)

 

3

 

38

 
 

The Howard Hughes Corporation (a)

 

1

 

38

 
 

The Rmr Group Inc. - Class A

 

1

 

39

 
 

867

 
 

Total Common Stocks (cost $150,842)

109,189

 

PREFERRED STOCKS 0.0%

Communication Services 0.0%

 

GCI Liberty, Inc. - Series A, 7.00%, (callable at 25 beginning 03/10/39) (d)

 

 

10

 
 

Total Preferred Stocks (cost $2)

10

 

14


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 

RIGHTS 0.0%

 

Achillion Pharmaceuticals, Inc. (a) (c)

 

11

 

5

 
 

First Eagle Private Credit, LLC (a) (c)

 

3

 

2

 
 

LyondellBasell Industries N.V. (a) (c)

 

2

 

1

 
 

Total Rights (cost $1)

8

 

OTHER EQUITY INTERESTS 0.0%

 

Calamos Asset Management Inc. (a) (e)

 

4

 

6

 
 

Total Other Equity Interests (cost $0)

6

 

SHORT TERM INVESTMENTS 4.6%

Securities Lending Collateral 3.4%

 

JNL Securities Lending Collateral Fund - Institutional Class, 0.25% (f) (g)

 

3,692

 

3,692

 

Investment Companies 1.2%

 

JNL Government Money Market Fund - Institutional Class, 0.23% (f) (g)

 

1,346

 

1,346

 
 

Total Short Term Investments (cost $5,038)

5,038

 

Total Investments 104.6% (cost $155,883)

 

114,251

 

Other Assets and Liabilities, Net (4.6)%

 

(5,022)

 

Total Net Assets 100.0%

 

109,229

 

(a) Non-income producing security.

(b) All or a portion of the security was on loan as of March 31, 2020.

(c) Security fair valued in good faith as a Level 3 security in accordance with the procedures approved by the Board of Trustees. Good faith fair valued securities are classified for Financial Accounting Standards Board ("FASB") Accounting Standards Codification ("ASC") Topic 820 "Fair Value Measurement" based on the applicable valuation inputs. See FASB ASC Topic 820 in the Schedules of Investments.

(d) Perpetual security. Next contractual call date presented, if applicable.

(e) Security fair valued in good faith as a Level 2 security in accordance with the procedures approved by the Board of Trustees. Good faith fair valued securities are classified for Financial Accounting Standards Board ("FASB") Accounting Standards Codification ("ASC") Topic 820 "Fair Value Measurement" based on the applicable valuation inputs. See FASB ASC Topic 820 in the Schedules of Investments.

(f) Investment in affiliate.

(g) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

15


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 

JNL/DoubleLine Total Return Fund

GOVERNMENT AND AGENCY OBLIGATIONS 54.8%

Collateralized Mortgage Obligations 25.5%

 

Federal Home Loan Mortgage Corporation

     
 

Series A-4260, REMIC, 3.00%, 02/15/32

 

7,550

 

7,898

 
 

Series AY-4092, REMIC, 3.00%, 08/15/32

 

8,200

 

9,107

 
 

Series EY-4215, REMIC, 3.00%, 06/15/33

 

10,000

 

11,015

 
 

Series UB-4247, REMIC, 3.00%, 09/15/33

 

6,199

 

6,865

 
 

Series EB-4247, REMIC, 3.50%, 09/15/33

 

5,000

 

5,663

 
 

Series A-4377, REMIC, 3.00%, 06/15/39

 

8,866

 

9,021

 
 

Series BK-4469, REMIC, 3.00%, 08/15/39

 

6,783

 

7,002

 
 

Series JA-3818, REMIC, 4.50%, 01/15/40

 

75

 

75

 
 

Series GA-4376, REMIC, 3.00%, 04/15/40

 

8,363

 

8,758

 
 

Series NY-4390, REMIC, 3.00%, 06/15/40

 

7,894

 

8,266

 
 

Series MA-4391, REMIC, 3.00%, 07/15/40

 

7,666

 

8,027

 
 

Interest Only, Series SP-3770, REMIC, 5.80%, (6.50% - (1M USD LIBOR * 1)), 11/15/40 (a)

 

1,634

 

189

 
 

Interest Only, Series SM-3780, REMIC, 5.80%, (6.50% - (1M USD LIBOR * 1)), 12/15/40 (a)

 

10,702

 

2,571

 
 

Series KA-4366, REMIC, 3.00%, 03/15/41

 

7,637

 

8,044

 
 

Series SL-4061, REMIC, 4.29%, (7.06% - (1M USD LIBOR * 1.75)), 06/15/42 (a)

 

1,482

 

1,571

 
 

Series B-4481, REMIC, 3.00%, 12/15/42

 

16,174

 

17,420

 
 

Series CS-4156, REMIC, 3.50%, (5.40% - (1M USD LIBOR * 1.2)), 01/15/43 (a)

 

5,045

 

5,249

 
 

Series UZ-4508, REMIC, 3.00%, 07/15/43

 

10,957

 

11,137

 
 

Series ZX-4404, REMIC, 4.00%, 04/15/44

 

60,833

 

67,546

 
 

Series CA-4573, REMIC, 3.00%, 11/15/44

 

27,425

 

29,370

 
 

Series LZ-4410, REMIC, 4.00%, 11/15/44

 

1,841

 

2,314

 
 

Series KZ-4440, REMIC, 3.00%, 02/15/45

 

12,526

 

13,259

 
 

Series HA-4582, REMIC, 3.00%, 09/15/45

 

19,343

 

20,859

 
 

Interest Only, Series MS-4291, REMIC, 5.20%, (5.90% - (1M USD LIBOR * 1)), 01/15/54 (a)

 

4,533

 

763

 
 

Series A-4734, REMIC, 3.00%, 07/15/42

 

18,400

 

19,312

 
 

Series KM-4141, REMIC, 1.75%, 12/15/42

 

21,178

 

21,530

 
 

Series DA-4464, REMIC, 2.50%, 01/15/43

 

3,459

 

3,604

 
 

Series EA-4951, REMIC, 2.50%, 09/15/44

 

2,881

 

2,969

 
 

Series EC-4745, REMIC, 3.00%, 12/15/44

 

14,152

 

14,573

 
 

Series 2020-M2-DNA2, REMIC, 3.50%, (1M USD LIBOR + 1.85%), 02/25/50 (a)

 

5,700

 

3,393

 
 

Federal National Mortgage Association, Inc.

     
 

Interest Only, Series 2010-CS-134, REMIC, 5.73%, (6.68% - (1M USD LIBOR * 1)), 12/25/25 (a)

 

1,188

 

114

 
 

Series 2013-AB-53, REMIC, 1.50%, 03/25/28

 

3,983

 

4,031

 
 

Series 2013-QZ-54, REMIC, 3.00%, 06/25/33

 

1,863

 

1,886

 
 

Series 2013-WB-100, REMIC, 3.00%, 10/25/33

 

20,000

 

21,504

 
 

Interest Only, Series 2005-S-2, REMIC, 5.65%, (6.60% - (1M USD LIBOR * 1)), 02/25/35 (a)

 

5,924

 

1,283

 
 

Interest Only, Series 2011-PS-84, REMIC, 5.65%, (6.60% - (1M USD LIBOR * 1)), 01/25/40 (a)

 

7,298

 

566

 
 

Series 2010-KD-120, REMIC, 4.00%, 10/25/40

 

946

 

1,005

 
 

Series 2014-MA-68, REMIC, 3.00%, 11/25/40

 

7,337

 

7,679

 
 

Series 2013-PB-59, REMIC, 2.00%, 09/25/41

 

4,069

 

4,141

 
 

Interest Only, Series 2011-ES-93, REMIC, 5.55%, (6.50% - (1M USD LIBOR * 1)), 09/25/41 (a)

 

1,794

 

410

 
 

Series 2012-BZ-14, REMIC, 4.00%, 03/25/42

 

2,071

 

2,344

 
 

Series 2012-Z-31, REMIC, 4.00%, 04/25/42

 

2,065

 

2,321

 
 

Series 2012-CZ-87, REMIC, 3.00%, 08/25/42

 

12,582

 

13,407

 
 

Series 2015-AP-95, REMIC, 3.00%, 08/25/42

 

10,421

 

10,879

 
 

Series 2013-NZ-31, REMIC, 3.00%, 04/25/43

 

17,118

 

17,597

 
 

Series 2015-AC-88, REMIC, 3.00%, 04/25/43

 

14,478

 

14,885

 
 

Series 2013-ZA-52, REMIC, 3.00%, 06/25/43

 

4,266

 

4,310

 
 

Series 2013-AZ-133, REMIC, 4.00%, 01/25/44

 

16,475

 

18,934

 
 

Series 2014-GZ-85, REMIC, 3.00%, 12/25/44

 

11,765

 

13,105

 
 

Series 2015-CE-78, REMIC, 2.50%, 11/25/45

 

21,748

 

22,748

 
 

Series 2014-KZ-11, REMIC, 2.50%, 10/25/41

 

3,894

 

4,049

 
 

Series 2017-CH-4, REMIC, 3.00%, 06/25/42

 

22,559

 

23,086

 
 

Series 2016-A-9, REMIC, 3.00%, 09/25/43

 

6,643

 

7,051

 
 

Series 2016-PA-81, REMIC, 3.00%, 02/25/44

 

15,874

 

16,919

 
 

Series 2018-JA-27, REMIC, 3.00%, 12/25/47

 

6,784

 

6,968

 
 

Series 2018-C-33, REMIC, 3.00%, 05/25/48

 

38,045

 

39,922

 
 

Series 2018-LA-38, REMIC, 3.00%, 06/25/48

 

14,070

 

14,739

 
 

Series 2018-A-64, REMIC, 3.00%, 09/25/48

 

17,857

 

18,715

 
 

Series 2019-BA-12, REMIC, 3.00%, 04/25/49

 

8,428

 

8,848

 
 

Government National Mortgage Association

     
 

Interest Only, Series 2010-PS-116, REMIC, 5.33%, (6.10% - (1M USD LIBOR * 1)), 03/20/40 (a)

 

5,159

 

429

 
 

Series 2012-Z-32, REMIC, 3.50%, 03/20/42

 

3,862

 

4,069

 
 

635,314

 

Mortgage-Backed Securities 24.4%

 

Federal Home Loan Mortgage Corporation

     
 

4.00%, 09/01/43 - 02/01/44

 

8,386

 

9,152

 
 

3.00%, 06/01/43 - 07/01/47

 

160,314

 

169,701

 
 

3.50%, 02/01/46 - 01/01/48

 

35,535

 

37,837

 
 

2.50%, 02/01/35 - 11/01/49

 

20,852

 

21,661

 
 

REMIC, 3.00%, 06/15/44

 

7,725

 

8,306

 
 

Federal National Mortgage Association, Inc.

     
 

4.50%, 04/01/26

 

2,433

 

2,572

 
 

2.41%, 10/01/29

 

10,000

 

10,983

 
 

2.48%, 11/01/29

 

25,000

 

26,632

 
 

2.31%, 12/01/29

 

9,100

 

9,707

 
 

2.32%, 12/01/29

 

4,800

 

5,127

 
 

2.44%, 01/01/32

 

10,000

 

10,813

 
 

2.50%, 02/01/35 - 01/01/40

 

34,629

 

36,019

 
 

2.71%, (1Y USD LIBOR + 1.67%), 05/01/44 (a)

 

16,434

 

16,764

 
 

3.50%, 09/01/43 - 04/01/48

 

60,261

 

64,217

 
 

3.00%, 10/01/46

 

2,721

 

2,863

 
 

3.00%, 03/01/35 - 02/01/47

 

115,552

 

121,503

 
 

4.00%, 08/01/47 - 06/01/48

 

43,680

 

46,696

 
 

Government National Mortgage Association

     
 

3.50%, 10/20/45

 

8,015

 

8,471

 
 

609,024

 

U.S. Treasury Bond 3.3%

 

Treasury, United States Department of

     
 

2.88%, 05/15/49

 

50,200

 

68,076

 
 

2.00%, 02/15/50

 

12,500

 

14,516

 
 

82,592

 

U.S. Treasury Note 1.6%

 

Treasury, United States Department of

     
 

3.13%, 11/15/28

 

2,000

 

2,413

 
 

2.63%, 02/15/29

 

20,900

 

24,407

 
 

2.38%, 05/15/29

 

4,400

 

5,059

 
 

1.50%, 02/15/30 (b)

 

8,000

 

8,624

 
 

40,503

 
 

Total Government And Agency Obligations (cost $1,279,781)

1,367,433

 

NON-U.S. GOVERNMENT AGENCY ASSET-BACKED SECURITIES 41.8%

 

522 Funding Clo I Ltd

     
 

Series 2019-A1-1A, 2.64%, (3M USD LIBOR + 1.39%), 01/18/33 (a)

 

2,500

 

2,325

 
 

ABFC Trust

     
 

Series 2007-A1A-WMC1, REMIC, 2.20%, (1M USD LIBOR + 1.25%), 06/25/37 (a) (c)

 

4,779

 

3,778

 
 

Aimco CLO

     
 

Series 2015-AR-AA, 2.68%, (3M USD LIBOR + 0.85%), 01/15/30 (a)

 

1,000

 

947

 
 

Alternative Loan Trust

     
 

Series 2005-A2-23CB, REMIC, 5.50%, 07/25/35

 

3,258

 

2,919

 
 

Series 2006-1A7-23CB, REMIC, 6.00%, 08/25/36

 

2,172

 

2,034

 
 

Series 2006-A16-19CB, REMIC, 6.00%, 08/25/36

 

2,200

 

1,730

 
 

Series 2007-1A6-3T1, REMIC, 6.25%, 04/25/37

 

14,904

 

10,092

 
 

AMSR Trust

     
 

Series 2019-E-SFR1, 3.47%, 01/20/27

 

3,300

 

2,505

 
 

Anchorage Capital CLO Ltd

     
 

Series 2018-A1A-10A, 3.03%, (3M USD LIBOR + 1.20%), 10/15/31 (a)

 

2,000

 

1,899

 
 

Aqua Finance Trust

     
 

Series 2017-A-A, 3.72%, 10/15/24

 

3,279

 

3,365

 
 

Assurant CLO III LTD

     
 

Series 2018-A-2A, 3.05%, (3M USD LIBOR + 1.23%), 10/20/31 (a)

 

1,500

 

1,370

 

16


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Assurant CLO IV LTD

     
 

Series 2019-A-1A, 3.17%, (3M USD LIBOR + 1.35%), 04/22/30 (a)

 

2,500

 

2,342

 
 

Atlas Senior Loan Fund X Ltd

     
 

Series 2018-A-10A, 2.92%, (3M USD LIBOR + 1.09%), 01/15/31 (a)

 

1,000

 

942

 
 

Atrium Hotel Portfolio Trust

     
 

Series 2017-E-ATRM, 3.76%, (1M USD LIBOR + 3.05%), 12/15/36 (a)

 

2,785

 

2,172

 
 

Avant Loans Funding Trust

     
 

Series 2018-A-B, 3.42%, 05/15/20

 

157

 

157

 
 

Banc of America Alternative Loan Trust

     
 

Series 2006-1CB1-1, REMIC, 6.00%, 02/25/36

 

8,448

 

8,545

 
 

Series 2006-5CB1-4, REMIC, 6.50%, 05/25/36

 

5,250

 

4,881

 
 

Series 2005-CB2-7, REMIC, 5.00%, 08/25/35

 

8,923

 

8,615

 
 

Bank 2019-BNK19

     
 

Series 2019-AS-BN19, REMIC, 3.45%, 07/17/29

 

3,534

 

3,456

 
 

Bank 2020-BNK25

     
 

Series 2020-AS-BN25, REMIC, 2.84%, 01/17/30

 

306

 

288

 
 

BBCMS Mortgage Trust

     
 

Series 2020-ASB-C6, 2.60%, 11/16/29

 

4,395

 

4,320

 
 

Series 2020-A4-C6, 2.64%, 01/17/30

 

867

 

870

 
 

Series 2020-AS-C6, 2.84%, 01/17/30

 

4,395

 

4,087

 
 

Series 2017-C-DELC, REMIC, 1.90%, (1M USD LIBOR + 1.20%), 08/15/36 (a)

 

722

 

599

 
 

Series 2017-D-DELC, REMIC, 2.40%, (1M USD LIBOR + 1.70%), 08/15/36 (a)

 

823

 

666

 
 

Series 2017-E-DELC, REMIC, 3.20%, (1M USD LIBOR + 2.50%), 08/15/36 (a)

 

1,660

 

1,325

 
 

Series 2017-F-DELC, REMIC, 4.20%, (1M USD LIBOR + 3.50%), 08/15/36 (a)

 

1,653

 

1,146

 
 

Series 2018-F-TALL, REMIC, 3.94%, (1M USD LIBOR + 3.24%), 03/16/37 (a) (c)

 

6,125

 

4,105

 
 

BBCMS Trust

     
 

Series 2015-D-STP, REMIC, 4.28%, 09/10/20 (a)

 

2,300

 

2,272

 
 

Series 2018-A-CBM, REMIC, 1.70%, (1M USD LIBOR + 1.00%), 07/15/20 (a)

 

2,389

 

2,133

 
 

Series 2018-A-BXH, REMIC, 1.70%, (1M USD LIBOR + 1.00%), 10/15/20 (a)

 

2,559

 

2,284

 
 

Bear Stearns Asset Backed Securities I Trust

     
 

Series 2006-21A3-AC2, REMIC, 6.00%, 03/25/36

 

1,151

 

1,161

 
 

Bellemeade Re Ltd

     
 

Series 2019-M1B-2A, 2.40%, (1M USD LIBOR + 1.45%), 04/25/29 (a)

 

4,027

 

3,769

 
 

Benchmark Mortgage Trust

     
 

Series 2019-A4-B13, REMIC, 2.95%, 10/17/29

 

2,199

 

2,283

 
 

Interest Only, Series 2018-XA-B7, REMIC, 0.45%, 05/16/53 (a)

 

91,436

 

2,631

 
 

BHMS

     
 

Series 2018-A-ATLS, REMIC, 1.95%, (1M USD LIBOR + 1.25%), 07/15/20 (a)

 

2,382

 

1,989

 
 

Birch Grove CLO Ltd

     
 

Series A-19A, 2.23%, (3M USD LIBOR + 1.49%), 06/16/31 (a)

 

2,500

 

2,338

 
 

BX Commercial Mortgage Trust

     
 

Series 2018-A-IND, 1.46%, (1M USD LIBOR + 0.75%), 10/15/20 (a)

 

1,727

 

1,632

 
 

BX Trust

     
 

Series 2017-D-SLCT, 2.76%, (1M USD LIBOR + 2.05%), 07/17/34 (a)

 

914

 

749

 
 

Series 2017-E-SLCT, 3.85%, (1M USD LIBOR + 3.15%), 07/17/34 (a)

 

1,549

 

1,084

 
 

Series 2018-A-GW, 1.51%, (1M USD LIBOR + 0.80%), 05/15/37 (a)

 

2,264

 

1,947

 
 

Series 2018-D-GW, 2.48%, (1M USD LIBOR + 1.77%), 05/15/37 (a)

 

198

 

156

 
 

Series 2018-A-EXCL, REMIC, 1.79%, (1M USD LIBOR + 1.09%), 09/15/20 (a)

 

2,782

 

2,536

 
 

Series 2019-E-OC11, REMIC, 4.08%, 12/11/29

 

5,172

 

3,723

 
 

Carrington Mortgage Loan Trust

     
 

Series 2007-A3-RFC1, REMIC, 1.09%, (1M USD LIBOR + 0.14%), 09/25/36 (a)

 

7,100

 

5,943

 
 

Catamaran CLO Ltd

     
 

Series 2018-A1-1A, 3.04%, (3M USD LIBOR + 1.25%), 10/27/31 (a)

 

3,000

 

2,770

 
 

CFCRE Mortgage Trust

     
 

Series 2016-C-C4, REMIC, 4.87%, 04/10/26 (a)

 

2,839

 

2,599

 
 

Interest Only, Series 2016-XA-C4, REMIC, 1.70%, 05/10/58 (a)

 

7,057

 

534

 
 

CFIP CLO Ltd

     
 

Series 2013-AR-1A, 3.16%, (3M USD LIBOR + 1.34%), 04/20/29 (a)

 

2,000

 

1,912

 
 

Chase Mortgage Finance Trust

     
 

Series 2006-2A1-S2, REMIC, 6.00%, 10/25/36

 

9,215

 

6,188

 
 

CHL Mortgage Pass-Through Trust

     
 

Series 2006-1A35-20, REMIC, 6.00%, 02/25/37

 

3,069

 

2,313

 
 

Series 2007-1A5-8, REMIC, 5.44%, 01/25/38

 

3,142

 

2,190

 
 

CHT Mortgage Trust

     
 

Series 2017-E-CSMO, REMIC, 3.71%, (1M USD LIBOR + 3.00%), 11/17/36 (a)

 

1,806

 

1,264

 
 

Series 2017-F-CSMO, REMIC, 4.45%, (1M USD LIBOR + 3.74%), 11/17/36 (a)

 

853

 

554

 
 

CIM Trust

     
 

Series 2017-B2-3RR, 10.50%, 01/29/57 (a)

 

35,590

 

34,522

 
 

Series 2016-B2-1RR, REMIC, 6.96%, 07/25/55 (a)

 

26,200

 

23,733

 
 

Series 2016-B2-2RR, REMIC, 7.57%, 02/29/56 (a)

 

26,200

 

23,858

 
 

Series 2016-B2-3RR, REMIC, 7.97%, 02/29/56 (a)

 

26,200

 

23,707

 
 

Citigroup Commercial Mortgage Trust

     
 

Interest Only, Series 2014-XA-GC21, REMIC, 1.18%, 05/10/47 (a)

 

24,157

 

954

 
 

Interest Only, Series 2016-XA-GC36, REMIC, 1.36%, 02/12/49 (a)

 

21,062

 

1,164

 
 

Interest Only, Series 2016-XA-P3, REMIC, 1.70%, 04/16/49 (a)

 

16,710

 

1,197

 
 

Citigroup Mortgage Loan Trust

     
 

Series 2019-A1-C, 3.23%, 09/25/59

 

4,294

 

4,031

 
 

Series 2007-1A1A-AR8, REMIC, 3.84%, 07/25/47 (a)

 

3,008

 

2,807

 
 

Citimortgage Alternative Loan Trust

     
 

Series 2006-1A1-A4, REMIC, 6.00%, 09/25/36

 

1,856

 

1,688

 
 

Series 2007-1A11-A5, REMIC, 6.00%, 05/25/37

 

1,612

 

1,541

 
 

CLI Funding VI LLC

     
 

Series 2019-A-1A, 3.71%, 05/18/29

 

4,594

 

4,515

 
 

CLNC Ltd

     
 

Series 2019-A-FL1, 2.90%, 09/19/25

 

3,766

 

3,311

 
 

COMM Mortgage Trust

     
 

Series 2018-A-HCLV, 1.70%, (1M USD LIBOR + 1.00%), 09/15/20 (a)

 

3,070

 

2,783

 
 

Series 2014-C-CR19, REMIC, 4.73%, 08/10/24 (a)

 

1,163

 

1,102

 
 

Series 2016-C-CR28, REMIC, 4.65%, 12/12/25 (a)

 

2,047

 

1,849

 
 

Series 2016-C-DC2, REMIC, 4.64%, 02/12/26 (a)

 

1,340

 

1,003

 
 

Interest Only, Series 2013-XA-CR12, REMIC, 1.13%, 10/15/46 (a)

 

31,311

 

1,055

 
 

Interest Only, Series 2014-XA-CR17, REMIC, 0.97%, 05/10/47 (a)

 

29,026

 

951

 
 

Interest Only, Series 2015-XA-DC1, REMIC, 1.03%, 02/10/48 (a)

 

24,708

 

907

 
 

Interest Only, Series 2015-XA-CR26, REMIC, 0.95%, 10/10/48 (a)

 

28,300

 

1,145

 
 

Interest Only, Series 2016-XA-DC2, REMIC, 1.00%, 02/12/49 (a)

 

19,264

 

852

 
 

Series 2016-F-GCT, REMIC, 3.46%, 08/12/21 (a)

 

3,461

 

3,176

 
 

Commonbond Student Loan Trust

     
 

Series 2018-C-BGS, REMIC, 4.12%, 08/25/28

 

288

 

280

 
 

Credit Suisse First Boston Mortgage Acceptance Corp.

     
 

Series 2005-7A1-11, REMIC, 6.00%, 12/25/35

 

7,413

 

5,974

 
 

Credit Suisse Mortgage Trust

     
 

Series 2018-A-TOP, 1.70%, (1M USD LIBOR + 1.00%), 08/17/20 (a)

 

2,700

 

2,443

 
 

Credit Suisse Securities (USA) LLC

     
 

Series 2005-3A2-9, REMIC, 6.00%, 10/25/35

 

4,566

 

2,431

 

17


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Series 2006-2A3-2, REMIC, 6.00%, 03/25/36

 

4,259

 

3,178

 
 

CSAIL Commercial Mortgage Trust

     
 

Interest Only, Series 2015-XA-C1, REMIC, 0.84%, 01/17/25 (a)

 

18,857

 

613

 
 

Series 2015-C-C4, REMIC, 4.58%, 11/18/25 (a)

 

1,911

 

1,762

 
 

Series 2019-A3-C19, REMIC, 2.56%, 03/15/30

 

4,374

 

4,319

 
 

CSMC

     
 

Series 2011-6A9-5R, REMIC, 3.82%, 11/27/37 (a)

 

7,111

 

6,884

 
 

CSMC Trust

     
 

Series 2019-A1-JR1, 4.10%, 09/27/66 (a)

 

3,885

 

3,763

 
 

Series 2017-D-MOON, REMIC, 3.30%, 07/12/22 (a)

 

2,373

 

2,245

 
 

CSMCM Trust

     
 

Interest Only, Series 2018-CERT-SP3, 3.57%, 09/25/58

 

32,072

 

30,548

 
 

CSMLT Trust

     
 

Series 2015-1A2-3, REMIC, 3.50%, 08/25/34 (a)

 

2,054

 

2,057

 
 

CVP CLO Ltd

     
 

Series 2017-A-2A, 3.01%, (3M USD LIBOR + 1.19%), 01/21/31 (a) (d)

 

2,000

 

1,875

 
 

DB Master Finance LLC

     
 

Series 2019-A2I-1A, 3.79%, 02/20/24

 

1,489

 

1,409

 
 

DBJPM Mortgage Trust

     
 

Interest Only, Series 2016-XA-C1, REMIC, 1.45%, 05/12/49 (a)

 

23,820

 

1,497

 
 

Deutsche Alt-A Securities Mortgage Loan Trust

     
 

Series 2007-2A1-2, REMIC, 1.25%, (1M USD LIBOR + 0.30%), 09/25/47 (a)

 

17,086

 

14,673

 
 

Domino's Pizza, Inc.

     
 

Series 2019-A2-1A, 3.67%, 10/25/29 (d)

 

4,987

 

4,440

 
 

Dryden 49 Senior Loan Fund

     
 

Series 2017-A-49A, 3.03%, (3M USD LIBOR + 1.21%), 07/18/30 (a) (d)

 

2,000

 

1,904

 
 

Elevation CLO Ltd

     
 

Series 2017-A-7A, 3.05%, (3M USD LIBOR + 1.22%), 07/15/30 (a) (d)

 

2,500

 

2,342

 
 

Elevation CLO, Ltd.

     
 

Series 2018-A1-9A, 2.95%, (3M USD LIBOR + 1.12%), 07/15/31 (a)

 

2,500

 

2,296

 
 

Elmwood CLO II Ltd

     
 

Series 2019-A-2A, 3.27%, (3M USD LIBOR + 1.45%), 04/21/31 (a)

 

500

 

467

 
 

Elmwood CLO III Ltd

     
 

Series 2019-A1-3A, 3.23%, (3M USD LIBOR + 1.37%), 10/15/32 (a)

 

5,000

 

4,559

 
 

Exantas Capital Corp

     
 

Series 2019-A-RSO7, 1.80%, (1M USD LIBOR + 1.00%), 04/15/22 (a)

 

3,484

 

3,073

 
 

First Horizon Mortgage Pass-Through Trust

     
 

Series 2006-1A2-FA2, REMIC, 6.00%, 05/25/36

 

4,073

 

2,886

 
 

FMC GMSR Issuer Trust

     
 

Series 2019-A-GT2, 4.23%, 09/25/24

 

13,200

 

8,291

 
 

Series 2019-A-GT1, 5.07%, 05/25/26 (a) (c)

 

10,500

 

10,625

 
 

Fort Washington CLO

     
 

Series 2019-A-1A, 3.33%, (3M USD LIBOR + 1.42%), 10/20/32 (a)

 

2,000

 

1,850

 
 

GCAT LLC

     
 

Series 2020-A1-1, 2.98%, 01/25/23 (c)

 

10,997

 

10,813

 
 

GMACM Mortgage Loan Trust

     
 

Series 2005-A7-AF1, REMIC, 5.75%, 07/25/35

 

4,632

 

4,157

 
 

Series 2005-A1-AF2, REMIC, 6.00%, 12/25/35

 

9,742

 

8,909

 
 

Great Wolf Trust

     
 

Series 2019-E-WOLF, REMIC, 3.44%, (1M USD LIBOR + 2.73%), 12/15/21 (a)

 

3,908

 

3,126

 
 

Series 2019-F-WOLF, REMIC, 3.84%, (1M USD LIBOR + 3.13%), 12/15/21 (a)

 

3,908

 

2,931

 
 

Greywolf CLO VI, Ltd.

     
 

Series 2018-A1-1A, 2.82%, (3M USD LIBOR + 1.03%), 04/26/31 (a)

 

1,000

 

944

 
 

Greywolf CLO VII, Ltd.

     
 

Series 2018-A1-7A, 3.00%, (3M USD LIBOR + 1.18%), 10/20/31 (a) (d)

 

2,000

 

1,885

 
 

GS Mortgage Securities Corp Trust

     
 

Series 2019-E-SOHO, 2.58%, (1M USD LIBOR + 1.87%), 06/15/21 (a)

 

3,566

 

2,938

 
 

Series 2018-A-LUAU, REMIC, 1.70%, (1M USD LIBOR + 1.00%), 11/16/20 (a)

 

3,201

 

2,885

 
 

GS Mortgage Securities Trust

     
 

Interest Only, Series 2016-XA-GS3, 1.25%, 10/13/49 (a)

 

27,732

 

1,579

 
 

Interest Only, Series 2015-XA-GC34, REMIC, 1.27%, 10/10/25 (a)

 

23,323

 

1,221

 
 

Interest Only, Series 2014-XA-GC24, REMIC, 0.74%, 09/10/47 (a)

 

43,159

 

1,160

 
 

Interest Only, Series 2015-XA-GS1, REMIC, 0.78%, 11/10/48 (a)

 

33,654

 

1,232

 
 

Series 2018-A-TWR, REMIC, 1.60%, (1M USD LIBOR + 0.90%), 07/15/21 (a)

 

1,000

 

914

 
 

Series 2018-D-TWR, REMIC, 2.30%, (1M USD LIBOR + 1.60%), 07/15/21 (a)

 

1,000

 

709

 
 

Series 2018-E-TWR, REMIC, 2.80%, (1M USD LIBOR + 2.10%), 07/15/21 (a)

 

1,000

 

679

 
 

Series 2018-F-TWR, REMIC, 3.50%, (1M USD LIBOR + 2.80%), 07/15/21 (a)

 

1,000

 

666

 
 

Series 2018-G-TWR, REMIC, 4.63%, (1M USD LIBOR + 3.92%), 07/15/21 (a)

 

1,000

 

631

 
 

Series 2015-B-GC34, REMIC, 4.47%, 10/10/25 (a)

 

782

 

765

 
 

Interest Only, Series 2017-C-2, REMIC, 1.13%, 08/12/50 (a)

 

34,081

 

1,370

 
 

Interest Only, Series 2019-XA-GC38, REMIC, 0.96%, 02/12/52

 

43,699

 

2,791

 
 

Interest Only, Series 2020-XA-GC45, REMIC, 0.68%, 02/14/53 (a)

 

48,971

 

2,332

 
 

Halcyon Loan Advisors Funding Ltd

     
 

Series 2012-B-1A, 4.69%, (3M USD LIBOR + 3.00%), 08/15/23 (a)

 

322

 

317

 
 

Series 2013-C-2A, 4.46%, (3M USD LIBOR + 2.70%), 08/01/25 (a) (d)

 

250

 

241

 
 

Series 2013-D-2A, 5.56%, (3M USD LIBOR + 3.80%), 08/01/25 (a)

 

1,000

 

920

 
 

Series 2014-A1R-1A, 2.95%, (3M USD LIBOR + 1.13%), 04/18/26 (a)

 

87

 

87

 
 

Halsey Point CLO I Ltd

     
 

Series 2019-A1A1-1A, 3.26%, (3M USD LIBOR + 1.35%), 01/20/33 (a)

 

5,000

 

4,516

 
 

Series 2019-B1-1A, 4.11%, (3M USD LIBOR + 2.20%), 01/20/33 (a)

 

3,000

 

2,555

 
 

Hardee's Funding LLC

     
 

Series 2018-AI-1A, 4.25%, 06/20/22

 

3,940

 

3,803

 
 

Headlands Residential LLC

     
 

Series 2019-RPL1, 3.97%, 06/25/22 (c)

 

5,800

 

4,956

 
 

HERO Funding Trust

     
 

Series 2016-A2-4A, 4.29%, 09/20/37

 

4,851

 

4,995

 
 

Hilton Orlando Trust

     
 

Series 2018-E-ORL, REMIC, 3.35%, (1M USD LIBOR + 2.65%), 12/15/34 (a)

 

3,425

 

2,681

 
 

Horizon Aircraft Finance I Limited

     
 

Series 2018-A-1, 4.46%, 12/15/25

 

5,334

 

3,905

 
 

Hospitality Investors Trust, Inc.

     
 

Series 2019-F-HIT, 3.85%, (1M USD LIBOR + 3.15%), 11/15/21 (a)

 

3,081

 

2,064

 
 

IndyMac INDA Mortgage Loan Trust

     
 

Series 2006-4A1-AR2, REMIC, 3.95%, 09/25/36 (a)

 

2,139

 

1,874

 
 

IndyMac MBS, Inc.

     
 

Series 2005-A6-A8CB, REMIC, 5.00%, 07/25/35

 

10,039

 

7,516

 
 

J.P. Morgan Chase Commercial Mortgage Securities Trust

     
 

Series 2018-A-LAQ, 1.70%, (1M USD LIBOR + 1.00%), 06/15/20 (a)

 

2,025

 

1,825

 
 

Series 2020-E-LOOP, 3.86%, 12/07/26

 

2,666

 

2,124

 
 

Series 2018-E-BCON, REMIC, 3.76%, 01/06/23 (a)

 

1,187

 

1,087

 
 

Series 2018-FFX-WPT, REMIC, 5.54%, 07/07/23

 

2,666

 

2,090

 
 

Jamestown CLO Ltd

     
 

Series 2014-A1AR-4A, 2.52%, (3M USD LIBOR + 0.69%), 07/15/26 (a)

 

107

 

106

 

18


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Series 2018-A1-6RA, 3.09%, (3M USD LIBOR + 1.15%), 04/25/30 (a) (d)

 

3,000

 

2,804

 
 

Series 2019-A1-14A, 3.29%, (3M USD LIBOR + 1.38%), 10/20/32 (a)

 

1,000

 

910

 
 

Series 2019-A2-14A, 4.11%, (3M USD LIBOR + 2.20%), 10/20/32 (a)

 

500

 

435

 
 

JP Morgan Chase & Co.

     
 

Series 2016-E-WIKI, REMIC, 4.01%, 10/07/21 (a)

 

3,075

 

2,535

 
 

JPMBB Commercial Mortgage Securities Trust

     
 

Series 2014-C-C21, REMIC, 4.66%, 07/15/24 (a)

 

2,000

 

1,876

 
 

Series 2015-C-C32, REMIC, 4.66%, 10/15/25 (a)

 

2,065

 

1,891

 
 

Series 2015-C-C33, REMIC, 4.62%, 11/15/25 (a)

 

2,224

 

2,029

 
 

JPMDB Commercial Mortgage Securities Trust

     
 

Interest Only, Series 2016-XA-C2, REMIC, 1.67%, 06/17/49 (a)

 

24,908

 

1,456

 
 

Series 2019-A4-COR6, REMIC, 3.06%, 10/15/29

 

2,201

 

2,286

 
 

Series 2019-AS-COR6, REMIC, 3.41%, 11/15/29

 

4,415

 

4,249

 
 

JPMorgan Chase Commercial Mortgage Securities Corp.

     
 

Series 2017-D-FL10, REMIC, 2.60%, (1M USD LIBOR + 1.90%), 06/15/32 (a)

 

109

 

92

 
 

JPMorgan Resecuritization Trust

     
 

Series 2009-4A2-10, REMIC, 2.78%, 03/26/37 (a)

 

2,825

 

2,615

 
 

Kingsland VIII Ltd

     
 

Series 2018-A-8A, 2.94%, (3M USD LIBOR + 1.12%), 04/21/31 (a)

 

2,000

 

1,844

 
 

KVK CLO Ltd

     
 

Series 2013-AR-1A, 2.74%, (3M USD LIBOR + 0.90%), 01/14/28 (a) (d)

 

4,000

 

3,827

 
 

Labrador Aviation Finance Limited

     
 

Series 2016-A1-1A, 4.30%, 01/15/24

 

16,042

 

12,279

 
 

Legacy Mortgage Asset Trust

     
 

Series 2018-A1-GS2, 4.00%, 06/25/20 (c)

 

7,473

 

7,187

 
 

Series 2019-A1-GS5, REMIC, 3.20%, 07/25/21 (c)

 

465

 

437

 
 

Series 2019-A-SL3, REMIC, 3.47%, 07/25/21

 

1,908

 

1,810

 
 

Loancore Issuer Ltd.

     
 

Series 2019-AS-CRE2, 2.20%, (1M USD LIBOR + 1.50%), 02/15/24 (a)

 

3,567

 

3,144

 
 

LSTAR Commercial Mortgage Trust

     
 

Interest Only, Series 2017-X-5, 1.00%, 03/11/50 (a)

 

41,064

 

1,480

 
 

Madison Park Funding XL, Ltd.

     
 

Series AR-9A, 2.85%, (3M USD LIBOR + 1.24%), 05/28/30 (a) (d)

 

2,000

 

1,902

 
 

Madison Park Funding XV, Ltd.

     
 

Series 2014-CR-15A, 5.24%, (3M USD LIBOR + 3.45%), 01/27/26 (a)

 

500

 

439

 
 

Madison Park Funding XVIII, Ltd.

     
 

Series 2015-DR-18A, 4.77%, (3M USD LIBOR + 2.95%), 10/21/30 (a)

 

1,500

 

1,123

 
 

Marathon CLO VII Ltd

     
 

Series 2014-A1R-7A, 3.12%, (3M USD LIBOR + 1.32%), 10/28/25 (a)

 

2,412

 

2,356

 
 

Marble Point CLO XIV Ltd

     
 

Series 2018-A-2A, 3.15%, (3M USD LIBOR + 1.33%), 01/20/32 (a)

 

2,500

 

2,324

 
 

Marlette Funding Trust

     
 

Series 2018-A-4A, 3.71%, 04/15/21

 

1,392

 

1,376

 
 

Master Asset Securitization Trust

     
 

Series 2006-1A13-1, REMIC, 5.75%, 05/25/36

 

4,291

 

3,776

 
 

MidOcean Credit CLO

     
 

Series 2018-A1-9A, 2.97%, (3M USD LIBOR + 1.15%), 07/21/31 (a) (d)

 

2,500

 

2,322

 
 

MidOcean Partners

     
 

Series 2018-A1-8A, 2.84%, (3M USD LIBOR + 1.15%), 02/20/31 (a) (d)

 

2,000

 

1,879

 
 

Morgan Stanley & Co. LLC

     
 

Series 2014-C-C19, REMIC, 4.00%, 12/15/24

 

2,000

 

1,510

 
 

Morgan Stanley Bank of America Merrill Lynch Trust

     
 

Series 2014-C-C18, REMIC, 4.52%, 09/15/24

 

1,500

 

1,399

 
 

Series 2015-C-C20, REMIC, 4.46%, 01/15/25 (a)

 

1,200

 

1,112

 
 

Series 2015-C-C25, REMIC, 4.53%, 09/15/25 (a)

 

2,320

 

1,755

 
 

Series 2016-C-C29, REMIC, 4.75%, 04/17/26 (a)

 

676

 

610

 
 

Interest Only, Series 2013-XA-C7, REMIC, 1.34%, 02/15/46 (a)

 

19,675

 

589

 
 

Interest Only, Series 2016-XA-C28, REMIC, 1.20%, 01/15/49 (a)

 

21,224

 

1,053

 
 

Interest Only, Series 2016-XA-C30, REMIC, 1.56%, 09/17/49 (a)

 

18,280

 

1,218

 
 

Series 2018-A-SUN, REMIC, 1.60%, (1M USD LIBOR + 0.90%), 07/15/20 (a)

 

2,389

 

1,792

 
 

Series 2016-C-C31, REMIC, 4.31%, 10/19/26 (a)

 

2,960

 

2,607

 
 

Morgan Stanley Capital Barclays Bank Trust

     
 

Series 2016-B-MART, REMIC, 2.48%, 09/15/21

 

3,538

 

3,281

 
 

Morgan Stanley Capital I Trust

     
 

Series 2020-ASB-L4, REMIC, 2.62%, 11/16/29

 

1,788

 

1,775

 
 

Series 2019-AS-L3, REMIC, 3.49%, 11/16/29

 

3,847

 

3,648

 
 

Interest Only, Series 2019-XA-L3, REMIC, 0.65%, 11/18/52 (a)

 

71,140

 

3,366

 
 

Morgan Stanley Mortgage Loan Trust

     
 

Series 2007-A1-8XS, REMIC, 5.75%, 04/25/37 (a)

 

1,363

 

852

 
 

Series 2007-3A22-12, REMIC, 6.00%, 08/25/37

 

1,638

 

1,114

 
 

MP CLO VIII Ltd

     
 

Series 2015-AR-2A, 2.71%, (3M USD LIBOR + 0.91%), 10/28/27 (a)

 

1,145

 

1,071

 
 

MRCD Mortgage Trust

     
 

Series 2019-G-PARK, 2.72%, 12/15/36

 

7,083

 

6,009

 
 

Nassau Ltd

     
 

Series 2018-A-IA, 2.98%, (3M USD LIBOR + 1.15%), 07/15/31 (a)

 

2,000

 

1,819

 
 

Natixis Commercial Mortgage Securities Trust

     
 

Series 2018-A-FL1, 2.61%, (1M USD LIBOR + 0.95%), 01/17/22 (a)

 

2,227

 

2,071

 
 

Series 2020-D-2PAC, 3.75%, 04/17/25

 

4,415

 

4,016

 
 

Series 2018-E-850T, REMIC, 2.66%, (1M USD LIBOR + 1.95%), 07/15/21 (a)

 

2,183

 

1,864

 
 

Newtek Small Business Finance, LLC

     
 

Series 2018-A-1, 3.33%, (1M USD LIBOR + 1.70%), 11/25/24 (a)

 

3,871

 

3,736

 
 

NLY 2019-FL2 Issuer Ltd.

     
 

Series 2019-AS-FL2, 2.30%, (1M USD LIBOR + 1.60%), 12/15/22 (a)

 

3,371

 

3,044

 
 

Series 2019-B-FL2, 2.60%, (1M USD LIBOR + 1.90%), 01/15/23 (a)

 

3,371

 

2,995

 
 

Nomura Asset Acceptance Corporation, Alternative Loan Trust

     
 

Series 2006-3A-AR1, REMIC, 3.98%, 02/25/36 (a)

 

599

 

461

 
 

Nomura Resecuritization Trust

     
 

Series 2011-2A10-4RA, REMIC, 2.93%, 07/26/41 (a)

 

10,761

 

9,140

 
 

NP SPE II LLC

     
 

Series 2019-A2-1A, 3.24%, 09/20/26

 

7,500

 

7,011

 
 

OFSI BSL IX, Ltd.

     
 

Series 2018-A-1A, 2.98%, (3M USD LIBOR + 1.15%), 07/15/31 (a) (d)

 

2,000

 

1,844

 
 

Park Avenue Institutional Advisers CLO Ltd

     
 

Series 2016-A1R-1A, 2.88%, (3M USD LIBOR + 1.20%), 08/25/31 (a) (d)

 

2,500

 

2,315

 
 

Pioneer Aircraft Finance Ltd

     
 

Series 2019-A-1, 3.97%, 06/15/26

 

4,732

 

3,309

 
 

PMT Credit Risk Transfer Trust

     
 

Series 2019-A-3R, REMIC, 3.66%, 10/27/22 (a)

 

3,884

 

2,983

 
 

PR Mortgage Loan Trust

     
 

Series 2014-APT-1, REMIC, 5.91%, 09/25/47

 

8,593

 

8,462

 
 

Pretium Mortgage Credit Partners I LLC

     
 

Series 2019-A1-CFL1, REMIC, 3.72%, 07/25/22 (c)

 

1,143

 

1,000

 

19


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Pretium Mortgage Credit Partners LLC

     
 

Series 2019-A1-NPL3, REMIC, 3.10%, 09/27/22 (c)

 

7,181

 

6,694

 
 

Primose Funding LLC

     
 

Series 2019-A2-1A, 4.48%, 07/30/26

 

9,975

 

9,061

 
 

PRPM, LLC

     
 

Series 2019-A1-2A, 3.97%, 04/25/22 (c)

 

8,881

 

8,400

 
 

Series 2019-A1-3A, 3.35%, 07/25/22 (c)

 

2,371

 

2,068

 
 

Series 2020-A1-1A, REMIC, 2.98%, 02/25/23 (c)

 

22,514

 

19,792

 
 

Series 2019-A1-GS1, REMIC, 3.47%, 10/25/23

 

7,116

 

6,269

 
 

Raptor Aircraft Finance I Limited

     
 

Series 2019-A-1, 4.21%, 08/23/26 (d)

 

4,098

 

3,072

 
 

Rate Adjustable Mortgage Trust

     
 

Series 2005-6A21-4, REMIC, 3.81%, 08/25/35 (a)

 

5,167

 

4,608

 
 

RBSGC Mortgage Loan Trust

     
 

Series 2007-1A4-B, REMIC, 1.40%, (1M USD LIBOR + 0.45%), 01/25/37 (a)

 

3,907

 

1,689

 
 

Interest Only, Series 2007-1A6-B, REMIC, 5.10%, (6.05% - (1M USD LIBOR * 1)), 01/25/37 (a)

 

3,907

 

737

 
 

Series 2007-2A1-A, REMIC, 6.75%, 01/25/37

 

5,095

 

4,687

 
 

Residential Accredit Loans, Inc.

     
 

Series 2005-A41-QA10, REMIC, 5.01%, 09/25/35 (a)

 

893

 

731

 
 

Series 2006-A21-QA1, REMIC, 4.68%, 01/25/36 (a)

 

5,118

 

4,039

 
 

Series 2006-A4-QS4, REMIC, 6.00%, 04/25/36

 

2,794

 

2,506

 
 

Series 2006-A4-QS5, REMIC, 6.00%, 05/25/36

 

3,245

 

2,994

 
 

Residential Asset Securitization Trust

     
 

Series 2006-2A11-A6, REMIC, 6.00%, 07/25/36

 

3,371

 

2,681

 
 

Series 2006-A1-A12, REMIC, 6.25%, 11/25/36

 

9,863

 

5,847

 
 

Series 2007-1A1-A3, REMIC, 1.40%, (1M USD LIBOR + 0.45%), 04/25/37 (a)

 

6,441

 

2,304

 
 

Series 2007-1A2-A3, REMIC, 39.13%, (46.38% - (1M USD LIBOR * 7.67)), 04/25/37 (a)

 

840

 

2,459

 
 

Series 2007-1A1-A8, REMIC, 6.00%, 08/25/37

 

18,829

 

13,992

 
 

RFMSI Trust

     
 

Series 2006-A14-S6, REMIC, 6.00%, 07/25/36

 

443

 

409

 
 

Series 2006-A1-S11, REMIC, 6.00%, 11/25/36

 

2,601

 

2,297

 
 

Series 2007-A4-S2, REMIC, 6.00%, 02/25/37

 

1,046

 

911

 
 

Series 2007-A2-S4, REMIC, 6.00%, 04/25/37

 

1,675

 

1,391

 
 

Series 2007-A2-S5, REMIC, 6.00%, 05/25/37

 

8,355

 

7,611

 
 

Series 2007-A20-S7, REMIC, 6.00%, 07/25/37

 

1,954

 

1,732

 
 

Rockford Tower CLO Ltd

     
 

Series 2017-A-3A, 3.01%, (3M USD LIBOR + 1.19%), 10/21/30 (a) (d)

 

1,000

 

941

 
 

Series 2018-A-1A, 2.79%, (3M USD LIBOR + 1.10%), 05/20/31 (a) (d)

 

3,000

 

2,805

 
 

Rosslyn Portfolio Trust

     
 

Series 2017-A-ROSS, 1.94%, (1M USD LIBOR + 0.95%), 06/15/20 (a)

 

1,485

 

1,376

 
 

Sapphire Aviation Finance II Limited

     
 

Series 2020-A-1A, 3.23%, 03/15/27

 

10,000

 

6,470

 
 

SBA Towers, LLC

     
 

Series 2017-C-1, 3.17%, 04/15/22 (d)

 

10,000

 

10,351

 
 

Servpro Master Issuer LLC

     
 

Series 2019-A2-1A, 3.88%, 10/27/26

 

2,992

 

2,877

 
 

Shenton Aircraft Investment I Ltd

     
 

Series 2015-A-1A, 4.75%, 11/15/27

 

9,499

 

7,668

 
 

Short-Term Investments Trust

     
 

Series 2018-A-SELF, 1.60%, (1M USD LIBOR + 0.90%), 10/15/20 (a)

 

2,295

 

2,089

 
 

SoFi Consumer Loan Program Trust

     
 

Series 2018-A-4, 3.54%, 12/25/21

 

691

 

691

 
 

SoFi Professional Loan Program LLC

     
 

Series 2017-BFX-F, 3.62%, 05/25/27

 

8,000

 

7,684

 
 

Sound Point CLO, Ltd.

     
 

Series 2013-A-3RA, 2.97%, (3M USD LIBOR + 1.15%), 04/18/31 (a) (d)

 

3,000

 

2,747

 
 

Series 2018-A1A-21, 2.97%, (3M USD LIBOR + 1.18%), 10/27/31 (a) (d)

 

3,250

 

2,980

 
 

Series 2015-ARR-2A, 3.21%, (3M USD LIBOR + 1.39%), 07/20/32 (a)

 

2,500

 

2,246

 
 

Sprite Limited

     
 

Series 2017-A-1, 4.25%, 12/15/24

 

4,343

 

3,265

 
 

Starm Mortgage Loan Trust

     
 

Series 2007-4A1-2, REMIC, 4.05%, 04/25/37 (a)

 

841

 

578

 
 

Steele Creek CLO Ltd

     
 

Series 2015-AR-1A, 2.96%, (3M USD LIBOR + 1.26%), 05/21/29 (a)

 

4,000

 

3,806

 
 

Series 2014-A-1RA, 2.89%, (3M USD LIBOR + 1.07%), 04/21/31 (a)

 

2,000

 

1,861

 
 

Series 2016-1A, 1.86%, (3M USD LIBOR + 1.12%), 06/16/31 (a) (d)

 

2,000

 

1,822

 
 

Series 2019-B-1A, 4.03%, (3M USD LIBOR + 2.20%), 04/15/32 (a)

 

1,000

 

849

 
 

Structured Adjustable Rate Mortgage Loan Trust

     
 

Series 2005-2A-21, REMIC, 4.03%, 11/25/35 (a)

 

6,341

 

5,330

 
 

Structured Asset Investment Loan Trust

     
 

Series 2006-A1-3, REMIC, 1.11%, (1M USD LIBOR + 0.16%), 06/25/36 (a) (c)

 

7,163

 

5,041

 
 

Structured Asset Securities Corporation

     
 

Series 2005-1A1-5, REMIC, 5.75%, 04/25/35

 

7,897

 

6,292

 
 

Textainer Marine Containers VII Ltd

     
 

Series 2019-A-1A, 3.96%, 10/20/26

 

4,633

 

4,432

 
 

The Goldman Sachs Group, Inc.

     
 

Series 2017-B-ROSS, 2.24%, (1M USD LIBOR + 1.25%), 06/15/20 (a) (d)

 

1,485

 

1,310

 
 

THL Credit Wind River CLO Ltd

     
 

Series 2013-AR-2A, 3.05%, (3M USD LIBOR + 1.23%), 10/18/30 (a)

 

2,645

 

2,487

 
 

Series 2014-AR-2A, 2.97%, (3M USD LIBOR + 1.14%), 01/15/31 (a)

 

1,000

 

937

 
 

Toorak Mortgage Corp Ltd

     
 

Series 2020-A2-1, 3.23%, 03/25/23 (c)

 

5,100

 

5,011

 
 

TPG Real Estate Finance Issuer LTD

     
 

Series 2019-AS-FL3, 2.25%, (1M USD LIBOR + 1.45%), 03/15/24 (a)

 

3,766

 

3,370

 
 

Trinity Rail Leasing LLC

     
 

Series 2010-A-1A, 5.19%, 01/16/31 (d)

 

4,001

 

4,203

 
 

UBS Commercial Mortgage Trust

     
 

Interest Only, Series 2017-XA-C1, REMIC, 1.56%, 06/17/50 (a)

 

19,939

 

1,587

 
 

Upgrade Receivables Trust

     
 

Series 2018-A-1A, 3.76%, 07/15/20

 

175

 

175

 
 

Upstart Securitization Trust

     
 

Series 2018-B-2, 4.45%, 12/22/25

 

2,133

 

2,044

 
 

Vantage Data Centers Issuer, LLC

     
 

Series 2018-A2-2A, 4.20%, 11/15/23

 

4,687

 

4,493

 
 

VCAT, LLC

     
 

Series 2019-A1-NPL2, 3.57%, 11/25/22

 

2,789

 

2,605

 
 

Velocity Commercial Capital Loan Trust

     
 

Series 2017-AFX-2, REMIC, 3.07%, 07/25/26 (a)

 

5,931

 

5,899

 
 

Venture 34 CLO Ltd

     
 

Series 2018-A-34A, 3.06%, (3M USD LIBOR + 1.23%), 10/15/31 (a)

 

2,750

 

2,549

 
 

Vericrest Opportunity Loan Transferee

     
 

Series 2019-A1A-NPL5, REMIC, 3.35%, 08/25/22 (c)

 

12,973

 

11,616

 
 

Vibrant Clo III Ltd

     
 

Series 2015-A1RR-3A, REMIC, 3.07%, (3M USD LIBOR + 1.25%), 10/20/31 (a)

 

1,200

 

1,094

 
 

Vibrant Clo Ltd

     
 

Series 2018-A1-10A, 3.02%, (3M USD LIBOR + 1.20%), 10/20/31 (a) (d)

 

3,000

 

2,832

 
 

Volt LXXX, LLC

     
 

Series 2019-A1A-NPL6, REMIC, 3.23%, 09/25/22 (c)

 

5,696

 

5,320

 
 

Volt LXXXV, LLC

     
 

Series 2020-A1A-NPL1, REMIC, 3.23%, 12/26/22 (c)

 

29,647

 

26,761

 
 

Volt LXXXVII, LLC

     
 

Series 2020-A1A-NPL3, 2.98%, 01/25/23 (c)

 

11,034

 

7,911

 
 

WaMu Mortgage Pass-Through Certificates Trust

     
 

Series 2006-1A5-5, REMIC, 6.00%, 07/25/36

 

1,748

 

1,622

 
 

Series 2006-1A7-5, REMIC, 6.00%, 07/25/36

 

3,122

 

2,912

 
 

Series 2007-2A2-2, REMIC, 5.50%, 04/25/37

 

2,166

 

2,095

 

20


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Series 2006-A4-7, REMIC, 4.24%, 09/25/36 (c)

 

20,971

 

9,447

 
 

Waterfall Commercial Mortgage Trust

     
 

Series 2015-A-SBC5, REMIC, 4.10%, 09/19/22 (a)

 

5,170

 

5,205

 
 

Wellfleet CLO Ltd

     
 

Series 2017-A1-3A, 2.99%, (3M USD LIBOR + 1.15%), 01/17/31 (a)

 

3,250

 

3,049

 
 

Series 2018-A1-2A, 3.03%, (3M USD LIBOR + 1.20%), 10/20/31 (a)

 

2,000

 

1,866

 
 

Wells Fargo Alternative Loan Trust

     
 

Series 2007-2A1-PA3, REMIC, 6.00%, 07/25/37

 

2,428

 

2,276

 
 

Series 2007-3A1-PA3, REMIC, 6.25%, 07/25/37

 

2,920

 

2,514

 
 

Series 2007-1A1-PA5, REMIC, 6.25%, 11/25/37

 

885

 

833

 
 

Wells Fargo Commercial Mortgage Trust

     
 

Series 2015-C-C31, REMIC, 4.61%, 11/15/25 (a)

 

1,850

 

1,419

 
 

Series 2015-D-NXS4, REMIC, 3.67%, 11/18/25 (a)

 

2,031

 

1,685

 
 

Series 2016-C-C32, REMIC, 4.73%, 01/16/26 (a)

 

1,577

 

1,189

 
 

Series 2016-C-C33, REMIC, 3.90%, 03/17/26

 

1,508

 

1,323

 
 

Series 2016-C-C34, REMIC, 5.03%, 04/17/26 (a)

 

2,855

 

2,170

 
 

Interest Only, Series 2015-XA-P2, REMIC, 0.98%, 12/15/48 (a)

 

26,616

 

978

 
 

Interest Only, Series 2015-XA-LC20, REMIC, 1.33%, 04/15/50 (a)

 

22,219

 

962

 
 

Interest Only, Series 2016-XA-C33, REMIC, 1.72%, 03/17/59 (a)

 

14,073

 

924

 
 

Series 2020-ASB-C55, REMIC, 2.65%, 10/17/29

 

2,920

 

2,873

 
 

Series 2019-A4-C54, REMIC, 3.15%, 11/16/29

 

4,415

 

4,600

 
 

Series 2020-A5-C55, REMIC, 2.73%, 01/17/30

 

1,460

 

1,463

 
 

Series 2020-AS-C55, REMIC, 2.94%, 01/17/30

 

2,920

 

2,732

 
 

Interest Only, Series 2019-XA-C54, REMIC, 0.97%, 12/17/52 (a)

 

37,669

 

2,261

 
 

Interest Only, Series 2017-XA-RC1, REMIC, 1.50%, 01/16/60 (a)

 

24,366

 

1,685

 
 

Wells Fargo Mortgage Backed Securities Trust

     
 

Series 2007-A38-7, REMIC, 6.00%, 06/25/37

 

1,809

 

1,734

 
 

WFRBS Commercial Mortgage Trust

     
 

Interest Only, Series 2014-XA-C19, REMIC, 1.03%, 03/15/47 (a)

 

19,831

 

569

 
 

Interest Only, Series 2014-XA-C25, REMIC, 0.82%, 11/15/47 (a)

 

26,084

 

794

 
 

WhiteHorse X, Ltd.

     
 

Series 2015-A1R-10A, 2.77%, (3M USD LIBOR + 0.93%), 04/19/27 (a) (d)

 

1,828

 

1,780

 
 

Willis Engine Structured Trust IV

     
 

Series 2018-A-A, 4.75%, 09/15/26 (c) (d)

 

1,806

 

1,262

 
 

York CLO-6 Ltd

     
 

Series 2019-A1-1A, 3.15%, (3M USD LIBOR + 1.35%), 07/22/32 (a)

 

3,500

 

3,258

 
 

ZAIS CLO 2, Limited

     
 

Series 2014-A1AR-2A, 2.99%, (3M USD LIBOR + 1.20%), 07/27/26 (a)

 

1,383

 

1,363

 
 

ZAIS CLO 5, Limited

     
 

Series 2016-A1-2A, 3.36%, (3M USD LIBOR + 1.53%), 10/16/28 (a)

 

2,000

 

1,907

 
 

Total Non-U.S. Government Agency Asset-Backed Securities (cost $1,142,740)

1,042,918

 

SHORT TERM INVESTMENTS 3.6%

Investment Companies 3.3%

 

JNL Government Money Market Fund - Institutional Class, 0.23% (e) (f)

 

81,400

 

81,400

 

Securities Lending Collateral 0.3%

 

JNL Securities Lending Collateral Fund - Institutional Class, 0.25% (e) (f)

 

8,820

 

8,820

 
 

Total Short Term Investments (cost $90,220)

90,220

 

Total Investments 100.2% (cost $2,512,741)

 

2,500,571

 

Other Assets and Liabilities, Net (0.2)%

 

(5,668)

 

Total Net Assets 100.0%

 

2,494,903

 

(a) Security has a variable rate. Interest rates reset periodically. Rate stated was in effect as of March 31, 2020. For securities based on a published reference rate and spread, the reference rate and spread are presented. Certain variable rate securities do not indicate a reference rate and spread because they are determined by the issuer, remarketing agent, or offering documents and are based on current market conditions. The coupon rate for securities with certain features outlined in the offering documents may vary from the stated reference rate and spread. This includes, but is not limited to, securities with deferred rates, contingent distributions, caps, floors, and fixed-rate to float-rate features. In addition, variable rates for government and agency collateralized mortgage obligations (“CMO”) and mortgage-backed securities (“MBS”) are determined by tranches of underlying mortgage-backed security pools’ cash flows into securities and pass-through rates which reflect the rate earned on the asset pool after management and guarantee fees are paid to the securitizing corporation. CMO and MBS variable rates are determined by a formula set forth in the security’s offering documents.

(b) All or a portion of the security was on loan as of March 31, 2020.

(c) Security is a step-up bond where the coupon may increase or step up at a future date or as the result of an upgrade or downgrade to the credit rating of the issuer. Rate stated was the coupon as of March 31, 2020.

(d) The Adviser has deemed this security, which is exempt from registration under the Securities Act of 1933, as amended, to be liquid based on procedures approved by the Board of Trustees. As of March 31, 2020, the value and the percentage of net assets of these liquid securities was $65,685 and 2.6% of the Fund.

(e) Investment in affiliate.

(f) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

21


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 

JNL/Eaton Vance Global Macro Absolute Return Advantage Fund (a)

GOVERNMENT AND AGENCY OBLIGATIONS 21.0%

Serbia 14.8%

 

Government of the Republic of Serbia

     
 

5.75%, 07/21/23, RSD

 

1,214,860

 

12,585

 
 

4.50%, 01/11/26, RSD

 

547,870

 

5,609

 
 

5.88%, 02/08/28, RSD

 

882,540

 

9,946

 
 

28,140

 

Romania 4.3%

 

Ministerul Finantelor Publice

     
 

4.63%, 04/03/49, EUR (b)

 

4,580

 

5,311

 
 

3.38%, 01/28/50, EUR (b)

 

2,849

 

2,795

 
 

8,106

 

Benin 0.7%

 

Government of the People's Republic of Benin

     
 

5.75%, 03/26/26, EUR (b)

 

1,428

 

1,312

 

United States of America 0.5%

 

Federal Home Loan Mortgage Corporation

     
 

Interest Only, Series S-4070, REMIC, 5.40%, (6.10% - (1M USD LIBOR * 1)), 06/15/32 (c)

 

1,947

 

279

 
 

Federal National Mortgage Association, Inc.

     
 

Interest Only, Series 2013-DS-15, REMIC, 5.25%, (6.20% - (1M USD LIBOR * 1)), 03/25/33 (c)

 

673

 

128

 
 

Interest Only, Series 2010-SJ-124, REMIC, 5.10%, (6.05% - (1M USD LIBOR * 1)), 11/25/38 (c)

 

700

 

24

 
 

Interest Only, Series 2012-SK-150, REMIC, 5.20%, (6.15% - (1M USD LIBOR * 1)), 01/25/43 (c)

 

1,722

 

303

 
 

Interest Only, Series 2018-BI-58, REMIC, 4.00%, 08/25/48

 

1,865

 

147

 
 

881

 

Suriname 0.4%

 

Republic of Suriname, Government of the

     
 

9.25%, 10/26/26 (b)

 

1,402

 

778

 

Egypt 0.3%

 

The Arab Republic of Egypt

     
 

8.50%, 01/31/47 (b)

 

635

 

515

 
 

Total Government And Agency Obligations (cost $41,062)

39,732

 

SENIOR LOAN INTERESTS 1.3%

Kenya 1.3%

 

Kenya, Government of

     
 

Term Loan, 8.37%, (3M LIBOR + 6.45%), 06/29/25 (c) (d)

 

2,500

 

2,351

 
 

Total Senior Loan Interests (cost $2,489)

2,351

 

CORPORATE BONDS AND NOTES 0.5%

Moldova 0.4%

 

Aragvi Finance International Designated Activity Company

     
 

12.00%, 04/09/24 (b)

 

919

 

767

 

Georgia 0.1%

 

Silknet JSC

     
 

11.00%, 04/02/24 (b)

 

289

 

244

 
 

Total Corporate Bonds And Notes (cost $1,239)

1,011

 

COMMON STOCKS 0.4%

Iceland 0.4%

 

EIK Fasteignafelag hf

 

6,445

 

289

 
 

Eimskipafelag Islands HF.

 

524

 

486

 
 

775

 

Vietnam 0.0%

 

Domesco Medical Import-Export Joint-Stock Corporation

 

1

 

2

 
 

Vietnam Prosperity Joint-Stock Commercial Bank (e)

 

61

 

44

 
 

46

 

Greece 0.0%

 

OPAP SA

 

1

 

7

 
 

Total Common Stocks (cost $1,765)

828

 

SHORT TERM INVESTMENTS 58.9%

Investment Companies 54.9%

 

JNL Government Money Market Fund - Institutional Class, 0.23% (f) (g)

 

103,956

 

103,956

 

U.S. Treasury Bill 4.0%

 

Treasury, United States Department of

     
 

1.60%, 04/09/20 (h) (i)

 

4,000

 

3,998

 
 

0.46%, 04/30/20 (h) (i)

 

3,500

 

3,499

 
 

7,497

 
 

Total Short Term Investments (cost $111,454)

111,453

 

Total Investments 82.1% (cost $158,009)

 

155,375

 

Total Securities Sold Short (0.6)% (proceeds $1,537)

 

(1,050)

 

Total Purchased Options 0.0% (cost $57)

 

 

Other Derivative Instruments 4.6%

 

8,776

 

Other Assets and Liabilities, Net 13.9%

 

26,201

 

Total Net Assets 100.0%

 

189,302

 

(a) Consolidated Schedule of Investments.

(b) Security is restricted to resale to institutional investors. See Restricted Securities table following the Schedules of Investments.

(c) Security has a variable rate. Interest rates reset periodically. Rate stated was in effect as of March 31, 2020. For securities based on a published reference rate and spread, the reference rate and spread are presented. Certain variable rate securities do not indicate a reference rate and spread because they are determined by the issuer, remarketing agent, or offering documents and are based on current market conditions. The coupon rate for securities with certain features outlined in the offering documents may vary from the stated reference rate and spread. This includes, but is not limited to, securities with deferred rates, contingent distributions, caps, floors, and fixed-rate to float-rate features. In addition, variable rates for government and agency collateralized mortgage obligations (“CMO”) and mortgage-backed securities (“MBS”) are determined by tranches of underlying mortgage-backed security pools’ cash flows into securities and pass-through rates which reflect the rate earned on the asset pool after management and guarantee fees are paid to the securitizing corporation. CMO and MBS variable rates are determined by a formula set forth in the security’s offering documents.

(d) Security fair valued in good faith as a Level 3 security in accordance with the procedures approved by the Board of Trustees. Good faith fair valued securities are classified for Financial Accounting Standards Board ("FASB") Accounting Standards Codification ("ASC") Topic 820 "Fair Value Measurement" based on the applicable valuation inputs. See FASB ASC Topic 820 in the Schedules of Investments.

(e) Non-income producing security.

(f) Investment in affiliate.

(g) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

(h) All or a portion of the security is pledged or segregated as collateral.

(i) The coupon rate represents the yield to maturity.

        
  

Shares/Par1

 

Value ($)

 

SECURITIES SOLD SHORT (0.6%)

COMMON STOCKS (0.6%)

United Kingdom (0.6%)

 

Ashmore Group PLC

 

(239)

 

(1,050)

 
 

Total Common Stocks (proceeds $1,537)

(1,050)

 
 

Total Securities Sold Short (0.6%) (proceeds $1,537)

 

(1,050)

 

22


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

          

JNL/Eaton Vance Global Macro Absolute Return Advantage Fund — Restricted Securities

  

Initial Acquisition

 

Cost ($)

 

Value ($)

 

Percent of

Net Assets (%)

 
 

Aragvi Finance International Designated Activity Company, 12.00%, 04/09/24

04/01/19

 

950

 

767

 

0.4

 
 

Government of the People's Republic of Benin, 5.75%, 03/26/26

03/19/19

 

1,604

 

1,312

 

0.7

 
 

Ministerul Finantelor Publice, 4.63%, 04/03/49

02/14/20

 

6,691

 

5,311

 

2.8

 
 

Ministerul Finantelor Publice, 3.38%, 01/28/50

02/14/20

 

3,475

 

2,795

 

1.5

 
 

Republic of Suriname, Government of the, 9.25%, 10/26/26

01/21/20

 

1,211

 

778

 

0.4

 
 

Silknet JSC, 11.00%, 04/02/24

03/26/19

 

289

 

244

 

0.1

 
 

The Arab Republic of Egypt, 8.50%, 01/31/47

08/23/19

 

684

 

515

 

0.3

 
    

14,904

 

11,722

 

6.2

 
                

JNL/Eaton Vance Global Macro Absolute Return Advantage Fund — Futures Contracts

Reference Entity

 

Contracts1

 

Expiration

 

Notional1

 

Variation

Margin

Receivable

(Payable) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

Long Contracts

S&P/ASX 200 Index

 

10

 

June 2020

 

AUD

1,275

 

(12)

  

5

 
              

Short Contracts

Euro BOBL

 

(13)

 

June 2020

 

EUR

(1,770)

 

4

  

13

 
              
                  

JNL/Eaton Vance Global Macro Absolute Return Advantage Fund — Centrally Cleared Interest Rate Swap Agreements

Floating Rate Index2

 

Paying /

Receiving

Floating Rate

 

Fixed Rate2 (%)

 

Expiration

 

Notional1

 

Variation

Margin

Receivable

(Payable) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

3M Canada Bankers Acceptance (Q)

 

Receiving

 

1.80

(S)

 

06/11/24

 

CAD

5,180

  

7

  

(139)

 

3M Canada Bankers Acceptance (Q)

 

Receiving

 

1.70

(S)

 

02/19/25

 

CAD

2,580

  

5

  

(67)

 

3M Canada Bankers Acceptance (Q)

 

Receiving

 

1.71

(S)

 

02/19/25

 

CAD

2,960

  

5

  

(78)

 

3M LIBOR (Q)

 

Receiving

 

2.22

(S)

 

03/28/24

  

177

  

  

(12)

 

3M LIBOR (Q)

 

Receiving

 

2.37

(S)

 

04/03/24

  

650

  

  

(49)

 

3M LIBOR (Q)

 

Receiving

 

1.40

(S)

 

08/23/24

  

100

  

  

(4)

 

3M LIBOR (Q)

 

Receiving

 

1.59

(S)

 

01/23/25

  

380

  

  

(20)

 

3M LIBOR (Q)

 

Receiving

 

1.46

(S)

 

01/30/25

  

201

  

  

(9)

 

3M LIBOR (Q)

 

Receiving

 

1.41

(S)

 

02/03/25

  

500

  

  

(22)

 

3M LIBOR (Q)

 

Receiving

 

1.16

(S)

 

02/28/25

  

200

  

  

(6)

 

3M LIBOR (Q)

 

Receiving

 

1.71

(S)

 

08/27/49

  

97

  

2

  

(22)

 

3M LIBOR (Q)

 

Receiving

 

1.70

(S)

 

08/27/49

  

111

  

3

  

(25)

 

3M LIBOR (Q)

 

Receiving

 

1.65

(S)

 

08/28/49

  

90

  

2

  

(19)

 

6M EURIBOR (S)

 

Receiving

 

0.37

(A)

 

02/12/50

 

EUR

236

  

5

  

(16)

 

6M EURIBOR (S)

 

Receiving

 

0.38

(A)

 

02/13/50

 

EUR

58

  

1

  

(4)

 

6M EURIBOR (S)

 

Receiving

 

0.38

(A)

 

02/13/50

 

EUR

200

  

4

  

(14)

 

6M EURIBOR (S)

 

Receiving

 

0.39

(A)

 

02/13/50

 

EUR

233

  

5

  

(17)

 

6M EURIBOR (S)

 

Receiving

 

0.37

(A)

 

02/17/50

 

EUR

423

  

8

  

(29)

 

6M EURIBOR (S)

 

Receiving

 

0.32

(A)

 

02/21/50

 

EUR

552

  

11

  

(29)

 

6M EURIBOR (S)

 

Receiving

 

0.26

(A)

 

02/25/50

 

EUR

2,000

  

39

  

(68)

 

7-Day China Fixing Repo Rate (Q)

 

Paying

 

3.18

(Q)

 

04/30/24

 

CNY

12,700

  

4

  

72

 

7-Day China Fixing Repo Rate (Q)

 

Paying

 

2.90

(Q)

 

06/06/24

 

CNY

12,113

  

4

  

49

 

7-Day China Fixing Repo Rate (Q)

 

Paying

 

2.90

(Q)

 

06/06/24

 

CNY

9,085

  

3

  

37

 

7-Day China Fixing Repo Rate (Q)

 

Paying

 

2.90

(Q)

 

06/06/24

 

CNY

9,085

  

3

  

37

 

7-Day China Fixing Repo Rate (Q)

 

Paying

 

2.90

(Q)

 

06/06/24

 

CNY

4,542

  

2

  

19

 

7-Day China Fixing Repo Rate (Q)

 

Paying

 

2.87

(Q)

 

06/10/24

 

CNY

6,056

  

2

  

24

 

7-Day China Fixing Repo Rate (Q)

 

Paying

 

2.95

(Q)

 

06/12/24

 

CNY

16,800

  

6

  

74

 

7-Day China Fixing Repo Rate (Q)

 

Paying

 

2.96

(Q)

 

06/12/24

 

CNY

9,000

  

3

  

40

 

HICP (A)

 

Receiving

 

1.57

(A)

 

08/15/32

 

EUR

778

  

(2)

  

(118)

 

HICP (A)

 

Receiving

 

1.59

(A)

 

08/15/32

 

EUR

1,783

  

(6)

  

(276)

 

HICP (A)

 

Receiving

 

1.60

(A)

 

08/15/32

 

EUR

1,741

  

(6)

  

(276)

 

HICP (A)

 

Receiving

 

1.74

(A)

 

02/15/33

 

EUR

86

  

  

(16)

 

HICP (A)

 

Paying

 

1.77

(A)

 

08/15/42

 

EUR

778

  

2

  

221

 

HICP (A)

 

Paying

 

1.79

(A)

 

08/15/42

 

EUR

1,741

  

3

  

511

 

HICP (A)

 

Paying

 

1.78

(A)

 

08/15/42

 

EUR

1,783

  

4

  

509

 

HICP (A)

 

Paying

 

1.93

(A)

 

02/15/43

 

EUR

86

  

  

30

 

HICP (A)

 

Paying

 

1.90

(A)

 

08/04/47

 

EUR

469

  

(1)

  

192

 

HICP (A)

 

Paying

 

1.89

(A)

 

08/07/47

 

EUR

29

  

  

12

 

U.S. CPURNSA (A)

 

Receiving

 

2.42

(A)

 

02/06/43

  

609

  

(3)

  

(216)

 

U.S. CPURNSA (A)

 

Receiving

 

2.16

(A)

 

08/04/47

  

631

  

(2)

  

(198)

 

U.S. CPURNSA (A)

 

Receiving

 

2.13

(A)

 

08/22/47

  

797

  

(3)

  

(239)

 

U.S. CPURNSA (A)

 

Receiving

 

2.15

(A)

 

08/25/47

  

792

  

(3)

  

(243)

 

23


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

                  

JNL/Eaton Vance Global Macro Absolute Return Advantage Fund — Centrally Cleared Interest Rate Swap Agreements (continued)

Floating Rate Index2

 

Paying /

Receiving

Floating Rate

 

Fixed Rate2 (%)

 

Expiration

 

Notional1

 

Variation

Margin

Receivable

(Payable) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

U.S. CPURNSA (A)

 

Receiving

 

2.15

(A)

 

09/01/47

  

790

  

(3)

  

(243)

 

U.S. CPURNSA (A)

 

Paying

 

2.41

(A)

 

02/06/33

  

609

  

3

  

118

 
            

107

  

(529)

 
                   

JNL/Eaton Vance Global Macro Absolute Return Advantage Fund — Centrally Cleared Credit Default Swap Agreements

Reference Entity2

 

Fixed

Receive/

Pay Rate

(%)

 

Expiration

 

Notional1

 

Value ($)

 

Variation

Margin

Receivable

(Payable) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

Credit default swap agreements - purchase protection

CDX.EM.31 (Q)

 

1.00

  

06/20/24

  

735

  

71

  

(1)

  

49

 

South Africa, Parliament of (Q)

 

1.00

  

12/20/23

  

2,215

  

210

  

(10)

  

97

 
          

281

  

(11)

  

146

 
                  

JNL/Eaton Vance Global Macro Absolute Return Advantage Fund — OTC Purchased Options

Reference Entity

 

Counterparty

 

Put/Call

 

Exercise Price ($)/

Swaption Rate (%)

 

Expiration

 

Notional/

Contracts1

 

Value ($)

Foreign Currency Options

USD/BRL Spot Rate

 

SCB

 

Put

 

BRL

3.57

 

07/20/20

  

3,350,000

   

 
                  

JNL/Eaton Vance Global Macro Absolute Return Advantage Fund — Forward Foreign Currency Contracts

                   

Purchased/

Sold

 

Counter-party

 

Expiration

 

Notional1

 

Value ($)

 

Unrealized

Appreciation

(Depreciation) ($)

AED/USD

 

BNP

 

04/05/21

 

AED

16,620

   

4,515

   

 

AED/USD

 

BNP

 

04/08/21

 

AED

45,084

   

12,246

   

1

 

AED/USD

 

BNP

 

04/12/21

 

AED

33,749

   

9,167

   

1

 

AED/USD

 

BNP

 

07/26/21

 

AED

1,100

   

299

   

 

AED/USD

 

BNP

 

01/31/22

 

AED

11,704

   

3,171

   

(2)

 

AED/USD

 

BNP

 

02/03/22

 

AED

27,140

   

7,352

   

(4)

 

AUD/USD

 

CIT

 

04/06/20

 

AUD

9,849

   

6,047

   

174

 

AUD/USD

 

CIT

 

04/07/20

 

AUD

8,159

   

5,010

   

144

 

AUD/USD

 

CIT

 

04/14/20

 

AUD

22,084

   

13,560

   

(1,036)

 

AUD/USD

 

SCB

 

04/16/20

 

AUD

3,725

   

2,287

   

66

 

AUD/USD

 

CIT

 

06/09/20

 

AUD

3,725

   

2,288

   

(182)

 

BRL/USD

 

SCB

 

07/23/20

 

BRL

3,483

   

667

   

(237)

 

CLP/USD

 

GSC

 

05/07/20

 

CLP

1,729,502

   

2,023

   

(183)

 

CNY/USD

 

CIT

 

04/21/20

 

CNY

2,000

   

282

   

1

 

CNY/USD

 

UBS

 

04/23/20

 

CNY

5,900

   

832

   

3

 

EGP/USD

 

GSC

 

04/06/20

 

EGP

163,601

   

10,373

   

65

 

EGP/USD

 

HSB

 

04/16/20

 

EGP

4,000

   

252

   

16

 

EGP/USD

 

CIT

 

04/21/20

 

EGP

3,488

   

220

   

3

 

EGP/USD

 

GSC

 

04/21/20

 

EGP

10,730

   

675

   

113

 

EGP/USD

 

HSB

 

04/21/20

 

EGP

32,700

   

2,058

   

346

 

EGP/USD

 

GSC

 

05/07/20

 

EGP

58,212

   

3,636

   

580

 

EGP/USD

 

JPM

 

08/03/20

 

EGP

5,506

   

332

   

30

 

EGP/USD

 

MSC

 

11/09/20

 

EGP

42,029

   

2,437

   

68

 

EGP/USD

 

GSC

 

11/12/20

 

EGP

5,000

   

290

   

8

 

EUR/USD

 

BOA

 

04/02/20

 

EUR

1,128

   

1,243

   

26

 

EUR/USD

 

JPM

 

04/02/20

 

EUR

2,763

   

3,044

   

(9)

 

EUR/USD

 

JPM

 

04/02/20

 

EUR

4,217

   

4,645

   

68

 

EUR/USD

 

MSC

 

04/02/20

 

EUR

2,403

   

2,648

   

(4)

 

EUR/USD

 

SCB

 

04/02/20

 

EUR

5,866

   

6,462

   

(160)

 

EUR/USD

 

SCB

 

04/02/20

 

EUR

14,688

   

16,182

   

239

 

EUR/USD

 

BOA

 

04/15/20

 

EUR

1,985

   

2,188

   

(2)

 

EUR/USD

 

JPM

 

04/15/20

 

EUR

5,038

   

5,553

   

30

 

EUR/USD

 

TDS

 

04/15/20

 

EUR

8,524

   

9,396

   

71

 

EUR/USD

 

GSC

 

04/24/20

 

EUR

2,284

   

2,519

   

(38)

 

EUR/USD

 

MSC

 

05/08/20

 

EUR

174

   

192

   

4

 

EUR/USD

 

MSC

 

07/10/20

 

EUR

6,118

   

6,765

   

124

 

GBP/USD

 

BNP

 

04/06/20

 

GBP

1,188

   

1,478

   

86

 

GHS/USD

 

JPM

 

05/22/20

 

GHS

1,521

   

260

   

3

 

GHS/USD

 

JPM

 

05/29/20

 

GHS

472

   

81

   

1

 

GHS/USD

 

SCB

 

05/29/20

 

GHS

238

   

41

   

 

GHS/USD

 

JPM

 

06/03/20

 

GHS

599

   

102

   

1

 

GHS/USD

 

SCB

 

06/04/20

 

GHS

1,966

   

335

   

4

 

GHS/USD

 

JPM

 

06/08/20

 

GHS

736

   

125

   

2

 

GHS/USD

 

SCB

 

06/08/20

 

GHS

1,227

   

208

   

3

 

GHS/USD

 

SCB

 

06/15/20

 

GHS

1,204

   

204

   

3

 

GHS/USD

 

JPM

 

06/17/20

 

GHS

709

   

120

   

2

 

GHS/USD

 

SCB

 

06/19/20

 

GHS

709

   

120

   

2

 

GHS/USD

 

JPM

 

06/22/20

 

GHS

978

   

165

   

3

 

GHS/USD

 

JPM

 

07/13/20

 

GHS

1,259

   

210

   

4

 

IDR/USD

 

SCB

 

07/21/20

 

IDR

18,969,443

   

1,151

   

(82)

 

INR/USD

 

CIT

 

04/03/20

 

INR

90,850

   

1,201

   

(61)

 

INR/USD

 

SCB

 

04/03/20

 

INR

90,850

   

1,201

   

(6)

 

INR/USD

 

CIT

 

04/07/20

 

INR

98,435

   

1,300

   

(2)

 

INR/USD

 

JPM

 

04/07/20

 

INR

130,030

   

1,718

   

 

INR/USD

 

SCB

 

04/07/20

 

INR

237,443

   

3,137

   

(13)

 

INR/USD

 

SCB

 

04/07/20

 

INR

8,978

   

119

   

 

INR/USD

 

SCB

 

04/13/20

 

INR

242,079

   

3,196

   

(43)

 

INR/USD

 

SCB

 

04/13/20

 

INR

75,251

   

993

   

1

 

INR/USD

 

CIT

 

04/15/20

 

INR

8,380

   

111

   

(6)

 

INR/USD

 

CIT

 

04/15/20

 

INR

155

   

2

   

 

INR/USD

 

CIT

 

05/22/20

 

INR

98,435

   

1,294

   

(71)

 

INR/USD

 

JPM

 

05/22/20

 

INR

130,030

   

1,709

   

(94)

 

JPY/USD

 

CIT

 

04/13/20

 

JPY

308,148

   

2,864

   

(97)

 

JPY/USD

 

CIT

 

04/13/20

 

JPY

1,104,632

   

10,266

   

315

 

JPY/USD

 

CIT

 

05/26/20

 

JPY

484,692

   

4,513

   

136

 

JPY/USD

 

CIT

 

06/10/20

 

JPY

609,528

   

5,678

   

(105)

 

KRW/USD

 

SCB

 

04/06/20

 

KRW

779,124

   

640

   

(15)

 

KRW/USD

 

SCB

 

04/06/20

 

KRW

16,947

   

14

   

 

KRW/USD

 

MSC

 

04/09/20

 

KRW

2,294,920

   

1,886

   

41

 

KRW/USD

 

SCB

 

04/09/20

 

KRW

1,907,953

   

1,568

   

(41)

 

KRW/USD

 

ANZ

 

04/22/20

 

KRW

177,840

   

146

   

3

 

KRW/USD

 

BOA

 

04/22/20

 

KRW

583,372

   

480

   

9

 

KRW/USD

 

SCB

 

04/22/20

 

KRW

934,993

   

769

   

16

 

KRW/USD

 

CIT

 

04/29/20

 

KRW

4,583,366

   

3,768

   

88

 

KRW/USD

 

CIT

 

05/12/20

 

KRW

7,415,268

   

6,100

   

141

 

NOK/USD

 

CIT

 

04/06/20

 

NOK

41,423

   

3,979

   

61

 

NOK/USD

 

CIT

 

04/17/20

 

NOK

41,423

   

3,979

   

(136)

 

NZD/USD

 

BOA

 

04/06/20

 

NZD

12,400

   

7,381

   

343

 

24


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

                   

Purchased/

Sold

 

Counter-party

 

Expiration

 

Notional1

 

Value ($)

 

Unrealized

Appreciation

(Depreciation) ($)

NZD/USD

 

CIT

 

04/07/20

 

NZD

2,510

   

1,494

   

71

 

NZD/USD

 

CIT

 

04/14/20

 

NZD

5,010

   

2,982

   

(160)

 

NZD/USD

 

CIT

 

04/14/20

 

NZD

8,108

   

4,826

   

229

 

NZD/USD

 

CIT

 

05/20/20

 

NZD

4,693

   

2,793

   

114

 

OMR/USD

 

BNP

 

08/17/20

 

OMR

347

   

889

   

(3)

 

OMR/USD

 

BNP

 

02/16/21

 

OMR

501

   

1,253

   

(12)

 

OMR/USD

 

BNP

 

04/08/21

 

OMR

1,932

   

4,803

   

(85)

 

OMR/USD

 

BNP

 

05/03/21

 

OMR

1,401

   

3,474

   

(22)

 

OMR/USD

 

SCB

 

05/27/21

 

OMR

723

   

1,788

   

6

 

OMR/USD

 

SCB

 

06/10/21

 

OMR

2,031

   

5,016

   

19

 

OMR/USD

 

BNP

 

08/19/21

 

OMR

1,903

   

4,664

   

(124)

 

OMR/USD

 

BNP

 

08/23/21

 

OMR

185

   

454

   

(3)

 

PHP/USD

 

ANZ

 

04/02/20

 

PHP

98,926

   

1,945

   

(2)

 

PHP/USD

 

SCB

 

04/02/20

 

PHP

104,466

   

2,054

   

19

 

PHP/USD

 

CIT

 

04/03/20

 

PHP

98,926

   

1,945

   

18

 

PHP/USD

 

SCB

 

04/03/20

 

PHP

98,926

   

1,945

   

5

 

PHP/USD

 

SCB

 

04/13/20

 

PHP

232,773

   

4,573

   

(16)

 

PHP/USD

 

SCB

 

04/13/20

 

PHP

102,046

   

2,004

   

11

 

PHP/USD

 

SCB

 

06/02/20

 

PHP

32,543

   

637

   

7

 

RUB/USD

 

CIT

 

04/09/20

 

RUB

284,440

   

3,625

   

(155)

 

SEK/USD

 

CIT

 

04/06/20

 

SEK

24,812

   

2,500

   

(92)

 

SGD/USD

 

BNP

 

04/06/20

 

SGD

702

   

494

   

8

 

SGD/USD

 

JPM

 

04/06/20

 

SGD

80

   

56

   

1

 

SGD/USD

 

SCB

 

04/06/20

 

SGD

789

   

555

   

(6)

 

SGD/USD

 

CIT

 

08/06/20

 

SGD

1,571

   

1,107

   

20

 

THB/USD

 

SCB

 

04/07/20

 

THB

316

   

10

   

 

THB/USD

 

SCB

 

04/10/20

 

THB

93,166

   

2,839

   

(114)

 

THB/USD

 

SCB

 

04/24/20

 

THB

28,529

   

869

   

(35)

 

TRY/USD

 

SCB

 

05/29/20

 

TRY

58,162

   

8,661

   

(177)

 

TWD/USD

 

SCB

 

04/06/20

 

TWD

1,000

   

33

   

(1)

 

TWD/USD

 

SCB

 

04/06/20

 

TWD

1,000

   

33

   

 

TWD/USD

 

SCB

 

04/09/20

 

TWD

128,700

   

4,258

   

(57)

 

TWD/USD

 

MSC

 

06/09/20

 

TWD

136,120

   

4,521

   

(58)

 

UAH/USD

 

GSC

 

04/03/20

 

UAH

4,975

   

180

   

2

 

UAH/USD

 

CIT

 

04/13/20

 

UAH

5,441

   

195

   

2

 

UAH/USD

 

GSC

 

04/13/20

 

UAH

7,191

   

258

   

3

 

UAH/USD

 

CIT

 

04/14/20

 

UAH

47,895

   

1,718

   

16

 

UAH/USD

 

CIT

 

04/16/20

 

UAH

48,951

   

1,753

   

15

 

UAH/USD

 

CIT

 

05/06/20

 

UAH

57,471

   

2,026

   

2

 

UAH/USD

 

GSC

 

05/12/20

 

UAH

9,170

   

322

   

2

 

UGX/USD

 

CIT

 

04/03/20

 

UGX

3,420,631

   

902

   

34

 

UGX/USD

 

SCB

 

04/14/20

 

UGX

223,645

   

59

   

3

 

UGX/USD

 

CIT

 

04/20/20

 

UGX

503,750

   

132

   

7

 

UGX/USD

 

SCB

 

06/15/20

 

UGX

465,123

   

121

   

5

 

UGX/USD

 

SCB

 

06/17/20

 

UGX

1,980,960

   

513

   

24

 

UGX/USD

 

CIT

 

06/26/20

 

UGX

518,750

   

134

   

5

 

UGX/USD

 

SCB

 

07/02/20

 

UGX

2,457,463

   

636

   

20

 

UGX/USD

 

SCB

 

07/10/20

 

UGX

2,088,947

   

539

   

15

 

UGX/USD

 

CIT

 

08/10/20

 

UGX

366,090

   

94

   

2

 

UGX/USD

 

SCB

 

08/14/20

 

UGX

512,942

   

131

   

2

 

USD/AED

 

BNP

 

04/05/21

 

AED

(16,620)

   

(4,515)

   

(4)

 

USD/AED

 

BNP

 

04/08/21

 

AED

(45,084)

   

(12,246)

   

(8)

 

USD/AED

 

BNP

 

04/12/21

 

AED

(33,749)

   

(9,167)

   

(7)

 

USD/AED

 

MSC

 

04/12/21

 

AED

(35,551)

   

(9,656)

   

(5)

 

USD/AED

 

BNP

 

07/26/21

 

AED

(1,100)

   

(298)

   

 

USD/AED

 

BNP

 

01/31/22

 

AED

(11,704)

   

(3,171)

   

5

 

USD/AED

 

BNP

 

02/03/22

 

AED

(27,140)

   

(7,352)

   

11

 

USD/AUD

 

CIT

 

04/06/20

 

AUD

(9,849)

   

(6,047)

   

414

 

USD/AUD

 

CIT

 

04/14/20

 

AUD

(18,008)

   

(11,058)

   

(320)

 

USD/AUD

 

CIT

 

04/14/20

 

AUD

(4,076)

   

(2,503)

   

162

 

USD/AUD

 

SCB

 

04/16/20

 

AUD

(3,725)

   

(2,287)

   

82

 

USD/AUD

 

CIT

 

06/09/20

 

AUD

(3,725)

   

(2,288)

   

(66)

 

USD/BRL

 

CIT

 

04/02/20

 

BRL

(3,945)

   

(760)

   

69

 

USD/BRL

 

SCB

 

04/02/20

 

BRL

(1,580)

   

(304)

   

55

 

USD/BRL

 

SCB

 

07/23/20

 

BRL

(3,483)

   

(667)

   

237

 

USD/CLP

 

SCB

 

05/07/20

 

CLP

(1,729,502)

   

(2,023)

   

199

 

USD/CNH

 

UBS

 

04/23/20

 

CNH

(5,900)

   

(832)

   

27

 

USD/CNY

 

CIT

 

04/21/20

 

CNY

(2,000)

   

(282)

   

8

 

USD/EGP

 

BNP

 

04/13/20

 

EGP

(33,964)

   

(2,146)

   

(37)

 

USD/EGP

 

CIT

 

04/13/20

 

EGP

(19,642)

   

(1,241)

   

(23)

 

USD/EGP

 

BNP

 

04/16/20

 

EGP

(28,477)

   

(1,797)

   

(34)

 

USD/EGP

 

GSC

 

04/21/20

 

EGP

(10,730)

   

(675)

   

(3)

 

USD/EGP

 

HSB

 

04/21/20

 

EGP

(10,500)

   

(661)

   

(4)

 

USD/EGP

 

GSC

 

05/07/20

 

EGP

(58,212)

   

(3,636)

   

(22)

 

USD/EGP

 

GSC

 

11/12/20

 

EGP

(5,000)

   

(290)

   

(1)

 

USD/EUR

 

JPM

 

04/01/20

 

EUR

(326)

   

(359)

   

2

 

USD/EUR

 

MSC

 

04/02/20

 

EUR

(6,292)

   

(6,931)

   

(132)

 

USD/EUR

 

SCB

 

04/02/20

 

EUR

(54,233)

   

(59,746)

   

(83)

 

USD/EUR

 

SCB

 

04/02/20

 

EUR

(5,409)

   

(5,959)

   

7

 

USD/EUR

 

CIT

 

04/15/20

 

EUR

(3,817)

   

(4,208)

   

(51)

 

USD/EUR

 

SCB

 

04/15/20

 

EUR

(4,891)

   

(5,392)

   

(80)

 

USD/EUR

 

SCB

 

04/15/20

 

EUR

(8,524)

   

(9,396)

   

104

 

USD/EUR

 

TDS

 

04/15/20

 

EUR

(43,394)

   

(47,831)

   

(363)

 

USD/EUR

 

MSC

 

05/08/20

 

EUR

(174)

   

(192)

   

2

 

USD/EUR

 

MSC

 

07/10/20

 

EUR

(6,118)

   

(6,765)

   

160

 

USD/GHS

 

JPM

 

05/22/20

 

GHS

(1,521)

   

(260)

   

(10)

 

USD/GHS

 

JPM

 

05/29/20

 

GHS

(472)

   

(81)

   

(4)

 

USD/GHS

 

SCB

 

05/29/20

 

GHS

(238)

   

(41)

   

(2)

 

USD/GHS

 

JPM

 

06/03/20

 

GHS

(599)

   

(102)

   

(5)

 

USD/GHS

 

SCB

 

06/04/20

 

GHS

(1,966)

   

(335)

   

(18)

 

USD/GHS

 

JPM

 

06/08/20

 

GHS

(736)

   

(125)

   

(6)

 

USD/GHS

 

SCB

 

06/08/20

 

GHS

(1,227)

   

(208)

   

(8)

 

USD/GHS

 

SCB

 

06/15/20

 

GHS

(1,204)

   

(204)

   

(8)

 

USD/GHS

 

JPM

 

06/17/20

 

GHS

(709)

   

(120)

   

(5)

 

USD/GHS

 

SCB

 

06/19/20

 

GHS

(709)

   

(120)

   

(5)

 

USD/GHS

 

JPM

 

06/22/20

 

GHS

(978)

   

(165)

   

(4)

 

USD/GHS

 

CIT

 

07/02/20

 

GHS

(1,277)

   

(214)

   

(6)

 

USD/GHS

 

JPM

 

07/13/20

 

GHS

(1,259)

   

(210)

   

(4)

 

USD/IDR

 

BOA

 

07/21/20

 

IDR

(8,436,116)

   

(512)

   

97

 

USD/IDR

 

SCB

 

07/21/20

 

IDR

(10,533,327)

   

(639)

   

121

 

USD/INR

 

CIT

 

04/03/20

 

INR

(90,850)

   

(1,201)

   

5

 

USD/INR

 

SCB

 

04/03/20

 

INR

(90,850)

   

(1,201)

   

42

 

USD/INR

 

CIT

 

04/07/20

 

INR

(98,435)

   

(1,300)

   

5

 

USD/INR

 

JPM

 

04/07/20

 

INR

(130,030)

   

(1,718)

   

7

 

USD/INR

 

SCB

 

04/07/20

 

INR

(246,421)

   

(3,256)

   

91

 

USD/INR

 

SCB

 

04/13/20

 

INR

(325,865)

   

(4,302)

   

48

 

USD/INR

 

CIT

 

05/22/20

 

INR

(98,435)

   

(1,294)

   

(18)

 

USD/INR

 

JPM

 

05/22/20

 

INR

(130,030)

   

(1,709)

   

6

 

USD/JPY

 

CIT

 

04/06/20

 

JPY

(15,131)

   

(141)

   

(5)

 

USD/JPY

 

CIT

 

04/13/20

 

JPY

(1,412,780)

   

(13,130)

   

(350)

 

USD/JPY

 

CIT

 

05/26/20

 

JPY

(341,329)

   

(3,178)

   

(99)

 

USD/JPY

 

CIT

 

05/26/20

 

JPY

(143,363)

   

(1,335)

   

4

 

USD/JPY

 

CIT

 

06/10/20

 

JPY

(487,173)

   

(4,539)

   

(141)

 

USD/JPY

 

CIT

 

06/10/20

 

JPY

(122,356)

   

(1,140)

   

21

 

USD/KRW

 

SCB

 

04/06/20

 

KRW

(796,071)

   

(654)

   

(14)

 

USD/KRW

 

MSC

 

04/09/20

 

KRW

(2,294,920)

   

(1,886)

   

51

 

USD/KRW

 

SCB

 

04/09/20

 

KRW

(1,907,953)

   

(1,568)

   

(34)

 

USD/KRW

 

ANZ

 

04/22/20

 

KRW

(177,840)

   

(146)

   

3

 

USD/KRW

 

BOA

 

04/22/20

 

KRW

(583,372)

   

(480)

   

22

 

USD/KRW

 

SCB

 

04/22/20

 

KRW

(934,993)

   

(769)

   

40

 

USD/KRW

 

CIT

 

04/29/20

 

KRW

(4,583,366)

   

(3,768)

   

176

 

USD/KRW

 

CIT

 

05/12/20

 

KRW

(7,415,268)

   

(6,099)

   

143

 

USD/NOK

 

CIT

 

04/17/20

 

NOK

(41,423)

   

(3,979)

   

(61)

 

USD/NZD

 

CIT

 

04/06/20

 

NZD

(12,264)

   

(7,300)

   

(347)

 

USD/NZD

 

CIT

 

04/07/20

 

NZD

(2,510)

   

(1,494)

   

127

 

USD/NZD

 

CIT

 

04/14/20

 

NZD

(13,118)

   

(7,809)

   

428

 

USD/NZD

 

CIT

 

05/20/20

 

NZD

(4,694)

   

(2,793)

   

2

 

USD/OMR

 

BNP

 

08/17/20

 

OMR

(347)

   

(889)

   

(7)

 

USD/OMR

 

BNP

 

02/16/21

 

OMR

(501)

   

(1,253)

   

15

 

USD/OMR

 

BNP

 

04/08/21

 

OMR

(1,932)

   

(4,803)

   

116

 

USD/OMR

 

BNP

 

05/03/21

 

OMR

(1,401)

   

(3,474)

   

96

 

USD/OMR

 

SCB

 

05/27/21

 

OMR

(723)

   

(1,788)

   

53

 

USD/OMR

 

SCB

 

06/10/21

 

OMR

(2,031)

   

(5,016)

   

144

 

USD/OMR

 

BNP

 

08/19/21

 

OMR

(1,903)

   

(4,664)

   

184

 

USD/OMR

 

BNP

 

08/23/21

 

OMR

(185)

   

(454)

   

18

 

USD/PHP

 

SCB

 

04/02/20

 

PHP

(203,392)

   

(3,999)

   

(16)

 

USD/PHP

 

CIT

 

04/03/20

 

PHP

(98,926)

   

(1,945)

   

(4)

 

USD/PHP

 

SCB

 

04/03/20

 

PHP

(98,926)

   

(1,945)

   

(5)

 

USD/PHP

 

SCB

 

04/13/20

 

PHP

(334,819)

   

(6,577)

   

(59)

 

USD/PHP

 

SCB

 

06/02/20

 

PHP

(32,543)

   

(637)

   

(4)

 

USD/RUB

 

CIT

 

04/09/20

 

RUB

(284,440)

   

(3,625)

   

897

 

USD/SEK

 

CIT

 

04/06/20

 

SEK

(24,812)

   

(2,500)

   

32

 

25


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

                   

Purchased/

Sold

 

Counter-party

 

Expiration

 

Notional1

 

Value ($)

 

Unrealized

Appreciation

(Depreciation) ($)

USD/SGD

 

CIT

 

04/06/20

 

SGD

(1,571)

   

(1,106)

   

(20)

 

USD/SGD

 

CIT

 

08/06/20

 

SGD

(1,571)

   

(1,107)

   

40

 

USD/THB

 

SCB

 

04/07/20

 

THB

(316)

   

(10)

   

 

USD/THB

 

SCB

 

04/10/20

 

THB

(93,166)

   

(2,839)

   

236

 

USD/THB

 

SCB

 

04/24/20

 

THB

(28,529)

   

(869)

   

70

 

USD/TRY

 

SCB

 

04/06/20

 

TRY

(58,162)

   

(8,794)

   

176

 

USD/TRY

 

SCB

 

04/15/20

 

TRY

(28,762)

   

(4,337)

   

263

 

USD/TRY

 

SCB

 

05/29/20

 

TRY

(58,162)

   

(8,659)

   

480

 

USD/TWD

 

SCB

 

04/06/20

 

TWD

(2,000)

   

(66)

   

 

USD/TWD

 

SCB

 

04/09/20

 

TWD

(128,700)

   

(4,258)

   

11

 

USD/TWD

 

MSC

 

06/09/20

 

TWD

(136,120)

   

(4,521)

   

28

 

USD/UAH

 

GSC

 

04/03/20

 

UAH

(4,975)

   

(180)

   

25

 

USD/UAH

 

CIT

 

04/13/20

 

UAH

(5,441)

   

(195)

   

24

 

USD/UAH

 

GSC

 

04/13/20

 

UAH

(7,191)

   

(258)

   

32

 

USD/UAH

 

BOA

 

04/14/20

 

UAH

(47,895)

   

(1,718)

   

248

 

USD/UAH

 

BOA

 

04/16/20

 

UAH

(48,951)

   

(1,753)

   

175

 

USD/UAH

 

CIT

 

05/06/20

 

UAH

(57,471)

   

(2,026)

   

270

 

USD/UAH

 

BOA

 

05/12/20

 

UAH

(12,099)

   

(425)

   

63

 

USD/UAH

 

MSC

 

05/12/20

 

UAH

(9,170)

   

(322)

   

45

 

USD/UGX

 

CIT

 

04/03/20

 

UGX

(3,420,631)

   

(903)

   

4

 

USD/UGX

 

SCB

 

04/14/20

 

UGX

(223,645)

   

(59)

   

1

 

USD/UGX

 

CIT

 

04/20/20

 

UGX

(503,750)

   

(132)

   

2

 

USD/UGX

 

SCB

 

06/15/20

 

UGX

(465,123)

   

(121)

   

1

 

USD/UGX

 

SCB

 

06/17/20

 

UGX

(1,980,960)

   

(513)

   

3

 

USD/UGX

 

CIT

 

06/26/20

 

UGX

(518,750)

   

(134)

   

1

 

USD/UGX

 

SCB

 

07/10/20

 

UGX

(2,088,947)

   

(539)

   

5

 

USD/UGX

 

CIT

 

08/10/20

 

UGX

(366,090)

   

(94)

   

1

 

USD/UGX

 

SCB

 

08/14/20

 

UGX

(512,942)

   

(131)

   

(2)

 

USD/UYU

 

JPM

 

05/11/20

 

UYU

(27,560)

   

(633)

   

(8)

 

USD/UYU

 

JPM

 

05/19/20

 

UYU

(20,465)

   

(469)

   

(5)

 

USD/ZAR

 

CIT

 

04/06/20

 

ZAR

(215,160)

   

(12,074)

   

126

 

USD/ZAR

 

CIT

 

04/20/20

 

ZAR

(106,054)

   

(5,938)

   

1,204

 

USD/ZAR

 

CIT

 

05/26/20

 

ZAR

(89,156)

   

(4,968)

   

1,095

 

USD/ZAR

 

SCB

 

07/20/20

 

ZAR

(46,151)

   

(2,556)

   

450

 

UYU/USD

 

JPM

 

05/11/20

 

UYU

27,560

   

633

   

(85)

 

UYU/USD

 

JPM

 

05/19/20

 

UYU

20,465

   

469

   

(62)

 

ZAR/USD

 

CIT

 

04/20/20

 

ZAR

106,054

   

5,938

   

(847)

 

ZAR/USD

 

CIT

 

05/26/20

 

ZAR

89,156

   

4,968

   

(30)

 

ZAR/USD

 

SCB

 

07/20/20

 

ZAR

46,151

   

2,556

   

(21)

 
           

(101,637)

   

6,430

 
                      

JNL/Eaton Vance Global Macro Absolute Return Advantage Fund — OTC Interest Rate Swap Agreements

Floating Rate Index2

 

Paying/

Receiving

Floating Rate

 

Counterparty

 

Fixed

Rate2 (%)

 

Expiration

 

Notional1

 

Premiums Paid

(Received) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

U.S. CPURNSA (A)

 

Receiving

 

BOA

 

1.97

(A)

 

06/23/27

  

10,060

   

   

(905)

 
                     
                           

JNL/Eaton Vance Global Macro Absolute Return Advantage Fund — OTC Credit Default Swap Agreements

Reference Entity2

 

Counter-party

 

Implied

Credit

Spread

(%)

 

Fixed

Receive/

Pay Rate

(%)

 

Expiration

 

Notional1 ($)

 

Value ($)

 

Premiums

Paid

(Received) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

Credit default swap agreements - purchase protection

Cabinet of Ministers of Ukraine (Q)

 

CGM

 

N/A

  

5.00

  

12/20/24

  

332

   

38

   

(2)

   

40

 

Cabinet of Ministers of Ukraine (Q)

 

JPM

 

N/A

  

5.00

  

12/20/24

  

317

   

37

   

   

37

 

Dubai, Government of (Q)

 

BOA

 

N/A

  

1.00

  

12/20/24

  

198

   

16

   

3

   

13

 

Government of the Sultanate of Oman (Q)

 

BOA

 

N/A

  

1.00

  

12/20/22

  

2,216

   

281

   

125

   

156

 

Government of the Sultanate of Oman (Q)

 

BOA

 

N/A

  

1.00

  

06/20/26

  

1,600

   

441

   

262

   

179

 

South Africa, Parliament of (Q)

 

GSC

 

N/A

  

1.00

  

12/20/23

  

9,200

   

870

   

1,206

   

(336)

 

South Africa, Parliament of (Q)

 

BNP

 

N/A

  

1.00

  

12/20/25

  

3,800

   

604

   

709

   

(105)

 

South Africa, Parliament of (Q)

 

CGM

 

N/A

  

1.00

  

06/20/29

  

2,930

   

743

   

376

   

367

 

The Arab Republic of Egypt (Q)

 

JPM

 

N/A

  

1.00

  

12/20/24

  

664

   

121

   

67

   

54

 
           

21,257

   

3,151

   

2,746

   

405

 

26


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 

JNL/FAMCO Flex Core Covered Call Fund

COMMON STOCKS 104.6%

Information Technology 31.2%

 

Apple Inc. (a)

 

25

 

6,459

 
 

Broadcom Inc. (a)

 

17

 

4,126

 
 

Corning Incorporated (a)

 

117

 

2,397

 
 

International Business Machines Corporation (a)

 

23

 

2,540

 
 

MasterCard Incorporated - Class A (a)

 

24

 

5,773

 
 

Microsoft Corporation (a)

 

50

 

7,822

 
 

Oracle Corporation (a)

 

64

 

3,074

 
 

Texas Instruments Incorporated (a)

 

29

 

2,858

 
 

35,049

 

Industrials 16.3%

 

Caterpillar Inc. (a)

 

20

 

2,367

 
 

Delta Air Lines Inc. (a)

 

67

 

1,903

 
 

Lockheed Martin Corporation (a)

 

11

 

3,627

 
 

Raytheon Company (a)

 

15

 

2,007

 
 

The Boeing Company (a)

 

20

 

3,042

 
 

Union Pacific Corporation (a)

 

11

 

1,523

 
 

United Parcel Service Inc. - Class B (a)

 

18

 

1,654

 
 

United Technologies Corporation (a)

 

22

 

2,113

 
 

18,236

 

Financials 16.2%

 

American Express Company (a)

 

37

 

3,125

 
 

BlackRock, Inc. (a)

 

11

 

4,708

 
 

JPMorgan Chase & Co. (a)

 

52

 

4,727

 
 

The Allstate Corporation (a)

 

26

 

2,403

 
 

The Blackstone Group Inc. (a)

 

71

 

3,235

 
 

18,198

 

Consumer Staples 13.0%

 

Constellation Brands, Inc. - Class A (a)

 

12

 

1,778

 
 

Costco Wholesale Corporation (a)

 

17

 

4,933

 
 

Mondelez International, Inc. - Class A (a)

 

80

 

4,011

 
 

The Kroger Co. (a)

 

127

 

3,825

 
 

14,547

 

Health Care 12.3%

 

Bristol-Myers Squibb Company (a)

 

59

 

3,300

 
 

Medtronic Public Limited Company (a)

 

51

 

4,644

 
 

Merck & Co., Inc. (a)

 

45

 

3,470

 
 

Stryker Corporation (a)

 

15

 

2,431

 
 

13,845

 

Consumer Discretionary 7.9%

 

The Home Depot, Inc. (a)

 

30

 

5,601

 
 

Whirlpool Corporation (a)

 

38

 

3,260

 
 

8,861

 

Energy 4.3%

 

Chevron Corporation (a)

 

44

 

3,152

 
 

ConocoPhillips (a)

 

54

 

1,657

 
 

4,809

 

Materials 2.1%

 

Dow Inc. (a)

 

29

 

845

 
 

Nucor Corporation (a)

 

41

 

1,477

 
 

2,322

 

Communication Services 1.3%

 

AT&T Inc. (a)

 

49

 

1,420

 
 

Total Common Stocks (cost $118,008)

117,287

 

SHORT TERM INVESTMENTS 1.9%

Investment Companies 1.9%

 

JNL Government Money Market Fund - Institutional Class, 0.23% (b) (c)

 

2,063

 

2,063

 
 

Total Short Term Investments (cost $2,063)

2,063

 

Total Investments 106.5% (cost $120,071)

 

119,350

 

Other Derivative Instruments (7.1)%

 

(7,926)

 

Other Assets and Liabilities, Net 0.6%

 

686

 

Total Net Assets 100.0%

 

112,110

 

(a) All or a portion of the security is subject to a written call option.

(b) Investment in affiliate.

(c) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

                  

JNL/FAMCO Flex Core Covered Call Fund — Exchange Traded Written Options

Reference Entity

 

Put/Call

 

Exercise Price ($)/ Swaption Rate (%)

 

Expiration

 

Notional/

Contracts1

 

Value ($)

Options on Securities

American Express Company

  

Call

   

140.00

 

07/17/20

  

365

   

(14)

 

Apple Inc.

  

Call

   

300.00

 

06/19/20

  

254

   

(104)

 

AT&T Inc.

  

Call

   

39.00

 

10/16/20

  

487

   

(10)

 

BlackRock, Inc.

  

Call

   

450.00

 

09/18/20

  

54

   

(281)

 

BlackRock, Inc.

  

Call

   

480.00

 

10/16/20

  

53

   

(195)

 

Bristol-Myers Squibb Company

  

Call

   

65.00

 

09/18/20

  

592

   

(68)

 

Broadcom Inc.

  

Call

   

230.00

 

09/18/20

  

174

   

(579)

 

Caterpillar Inc.

  

Call

   

115.00

 

08/21/20

  

204

   

(245)

 

Chevron Corporation

  

Call

   

90.00

 

09/18/20

  

435

   

(130)

 

ConocoPhillips

  

Call

   

40.00

 

06/19/20

  

288

   

(30)

 

ConocoPhillips

  

Call

   

36.00

 

08/21/20

  

250

   

(65)

 

Constellation Brands, Inc.

  

Call

   

175.00

 

07/17/20

  

124

   

(59)

 

Corning Incorporated

  

Call

   

25.00

 

08/21/20

  

263

   

(28)

 

Corning Incorporated

  

Call

   

22.00

 

08/21/20

  

904

   

(226)

 

Costco Wholesale Corporation

  

Call

   

320.00

 

07/17/20

  

173

   

(136)

 

Delta Air Lines, Inc.

  

Call

   

35.00

 

09/18/20

  

385

   

(157)

 

Delta Air Lines, Inc.

  

Call

   

30.00

 

09/18/20

  

282

   

(168)

 

Dow Inc.

  

Call

   

35.00

 

09/18/20

  

289

   

(59)

 

International Business Machines Corporation

  

Call

   

115.00

 

09/18/20

  

229

   

(223)

 

JPMorgan Chase & Co.

  

Call

   

105.00

 

09/18/20

  

525

   

(252)

 

Lockheed Martin Corporation

  

Call

   

320.00

 

09/18/20

  

107

   

(520)

 

MasterCard Incorporated

  

Call

   

250.00

 

10/16/20

  

239

   

(690)

 

Medtronic Public Limited Company

  

Call

   

90.00

 

08/21/20

  

515

   

(492)

 

Merck & Co., Inc.

  

Call

   

87.50

 

06/19/20

  

451

   

(32)

 

Microsoft Corporation

  

Call

   

180.00

 

09/18/20

  

248

   

(164)

 

Microsoft Corporation

  

Call

   

175.00

 

09/18/20

  

248

   

(218)

 

Mondelez International, Inc.

  

Call

   

60.00

 

06/19/20

  

578

   

(30)

 

Mondelez International, Inc.

  

Call

   

55.00

 

09/18/20

  

223

   

(53)

 

Nucor Corporation

  

Call

   

40.00

 

10/16/20

  

410

   

(177)

 

Oracle Corporation

  

Call

   

55.00

 

09/18/20

  

636

   

(148)

 

Raytheon Company

  

Call

   

140.00

 

06/19/20

  

153

   

(152)

 

27


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

                    

JNL/FAMCO Flex Core Covered Call Fund — Exchange Traded Written Options (continued)

Reference Entity

 

Put/Call

 

Exercise Price ($)/ Swaption Rate (%)

 

Expiration

 

Notional/

Contracts1

 

Value ($)

Stryker Corporation

  

Call

   

185.00

 

01/15/21

  

146

   

(270)

 

Texas Instruments Incorporated

  

Call

   

120.00

 

09/18/20

  

286

   

(104)

 

The Allstate Corporation

  

Call

   

115.00

 

07/17/20

  

262

   

(49)

 

The Blackstone Group Inc.

  

Call

   

52.50

 

01/15/21

  

223

   

(107)

 

The Blackstone Group Inc.

  

Call

   

47.00

 

01/15/21

  

487

   

(390)

 

The Boeing Company

  

Call

   

240.00

 

10/16/20

  

122

   

(96)

 

The Boeing Company

  

Call

   

200.00

 

10/16/20

  

82

   

(138)

 

The Home Depot, Inc.

  

Call

   

245.00

 

09/18/20

  

245

   

(99)

 

The Home Depot, Inc.

  

Call

   

230.00

 

09/18/20

  

55

   

(38)

 

The Kroger Co.

  

Call

   

30.00

 

06/19/20

  

634

   

(167)

 

The Kroger Co.

  

Call

   

31.00

 

10/16/20

  

636

   

(232)

 

Union Pacific Corporation

  

Call

   

155.00

 

06/19/20

  

108

   

(61)

 

United Parcel Service, Inc.

  

Call

   

100.00

 

07/17/20

  

177

   

(93)

 

United Technologies Corporation

  

Call

   

155.00

 

04/17/20

  

224

   

(2)

 

Whirlpool Corporation

  

Call

   

95.00

 

09/18/20

  

380

   

(375)

 
                

(7,926)

 

28


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 

JNL/Lazard International Strategic Equity Fund

COMMON STOCKS 92.2%

United Kingdom 18.1%

 

Aon PLC - Class A

 

36

 

5,907

 
 

Coca-Cola European Partners PLC

 

84

 

3,177

 
 

Compass Group PLC

 

106

 

1,651

 
 

Dechra Pharmaceuticals PLC

 

31

 

897

 
 

Diageo PLC

 

133

 

4,264

 
 

Informa Switzerland Limited

 

415

 

2,262

 
 

Linde Public Limited Company

 

8

 

1,323

 
 

Relx PLC

 

186

 

4,002

 
 

Rentokil Initial PLC

 

365

 

1,757

 
 

Rio Tinto PLC

 

107

 

4,894

 
 

Tesco PLC

 

1,426

 

4,030

 
 

34,164

 

Japan 12.8%

 

AEON Financial Service Co. Ltd.

 

124

 

1,319

 
 

Digital Garage Inc.

 

52

 

1,649

 
 

Fanuc Ltd.

 

7

 

915

 
 

Kao Corp.

 

53

 

4,366

 
 

Makita Corp.

 

130

 

3,945

 
 

NEXON Co.,Ltd.

 

175

 

2,857

 
 

Nintendo Co. Ltd.

 

15

 

5,947

 
 

Suzuki Motor Corp.

 

60

 

1,426

 
 

Yamaha Corp.

 

46

 

1,778

 
 

24,202

 

France 10.7%

 

AtoS SE

 

31

 

2,066

 
 

Engie

 

410

 

4,227

 
 

Eurazeo SA

 

25

 

1,149

 
 

Sanofi SA

 

81

 

7,052

 
 

Vivendi SA

 

269

 

5,788

 
 

20,282

 

Germany 8.5%

 

Beiersdorf AG

 

41

 

4,173

 
 

Infineon Technologies AG

 

81

 

1,169

 
 

Knorr - Bremse Aktiengesellschaft

 

20

 

1,746

 
 

SAP SE

 

36

 

4,024

 
 

TeamViewer AG (a)

 

43

 

1,715

 
 

Vonovia SE

 

66

 

3,262

 
 

16,089

 

Switzerland 8.3%

 

ABB Ltd.

 

258

 

4,486

 
 

Alcon AG (a)

 

44

 

2,259

 
 

Julius Bar Gruppe AG

 

78

 

2,627

 
 

Novartis AG

 

77

 

6,323

 
 

15,695

 

Ireland 7.7%

 

Accenture Public Limited Company - Class A

 

18

 

3,002

 
 

CRH Plc

 

118

 

3,232

 
 

Medtronic Public Limited Company

 

57

 

5,184

 
 

Ryanair Holdings Plc - ADR (a)

 

58

 

3,077

 
 

14,495

 

Canada 6.4%

 

CAE Inc.

 

262

 

3,310

 
 

National Bank of Canada (b)

 

94

 

3,618

 
 

Suncor Energy Inc.

 

136

 

2,168

 
 

Toromont Industries Ltd.

 

67

 

2,935

 
 

12,031

 

Hong Kong 5.1%

 

AIA Group Limited

 

762

 

6,865

 
 

ESR Cayman Limited (a)

 

451

 

965

 
 

Techtronic Industries Company Limited

 

270

 

1,742

 
 

9,572

 

Denmark 3.1%

 

Carlsberg A/S - Class B

 

25

 

2,815

 
 

Genmab A/S (a)

 

15

 

3,039

 
 

5,854

 

Italy 2.6%

 

Enel SpA

 

645

 

4,500

 
 

Technogym S.p.A.

 

81

 

534

 
 

5,034

 

Israel 2.2%

 

Bank Leumi Le-Israel BM

 

240

 

1,321

 
 

Israel Discount Bank Ltd. - Class A

 

946

 

2,794

 
 

4,115

 

Finland 2.0%

 

Sampo Oyj - Class A

 

127

 

3,715

 

Singapore 1.3%

 

DBS Group Holdings Ltd.

 

188

 

2,428

 

Spain 1.1%

 

Siemens Gamesa Renewable Energy, S.A.

 

142

 

2,131

 

Norway 1.1%

 

Equinor ASA

 

165

 

2,042

 

Sweden 0.7%

 

Hexagon Aktiebolag - Class B

 

31

 

1,323

 

Netherlands 0.5%

 

ASML Holding

 

4

 

1,029

 

Portugal 0.0%

 

Energias de Portugal SA

 

30

 

120

 
 

Total Common Stocks (cost $207,133)

174,321

 

PREFERRED STOCKS 2.3%

Germany 2.3%

 

Volkswagen AG (c)

 

37

 

4,338

 
 

Total Preferred Stocks (cost $6,652)

4,338

 

SHORT TERM INVESTMENTS 5.1%

Investment Companies 5.0%

 

JNL Government Money Market Fund - Institutional Class, 0.23% (d) (e)

 

9,534

 

9,534

 

Securities Lending Collateral 0.1%

 

JNL Securities Lending Collateral Fund - Institutional Class, 0.25% (d) (e)

 

102

 

102

 
 

Total Short Term Investments (cost $9,636)

9,636

 

Total Investments 99.6% (cost $223,421)

 

188,295

 

Other Assets and Liabilities, Net 0.4%

 

674

 

Total Net Assets 100.0%

 

188,969

 

(a) Non-income producing security.

(b) All or a portion of the security was on loan as of March 31, 2020.

(c) Convertible security.

(d) Investment in affiliate.

(e) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

29


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 

JNL/Mellon Equity Income Fund

COMMON STOCKS 98.2%

Financials 30.0%

 

American International Group, Inc.

 

111

 

2,680

 
 

Assurant, Inc.

 

43

 

4,450

 
 

Bank of America Corporation

 

277

 

5,880

 
 

Berkshire Hathaway Inc. - Class B (a)

 

71

 

12,975

 
 

Capital One Financial Corporation

 

28

 

1,392

 
 

Chubb Limited

 

42

 

4,698

 
 

Citigroup Inc.

 

90

 

3,805

 
 

JPMorgan Chase & Co.

 

133

 

12,002

 
 

LPL Financial Holdings Inc.

 

51

 

2,796

 
 

Morgan Stanley

 

195

 

6,622

 
 

State Street Corporation

 

36

 

1,894

 
 

The Charles Schwab Corporation

 

75

 

2,525

 
 

The Goldman Sachs Group, Inc.

 

54

 

8,388

 
 

U.S. Bancorp

 

100

 

3,453

 
 

Voya Financial, Inc.

 

129

 

5,224

 
 

Willis Towers Watson Public Limited Company

 

13

 

2,291

 
 

81,075

 

Health Care 13.7%

 

AbbVie Inc. (b)

 

52

 

3,950

 
 

Anthem, Inc.

 

16

 

3,715

 
 

Becton, Dickinson and Company

 

25

 

5,829

 
 

Bristol-Myers Squibb Company

 

53

 

2,963

 
 

CVS Health Corporation

 

44

 

2,627

 
 

Eli Lilly & Co.

 

13

 

1,835

 
 

Humana Inc.

 

8

 

2,624

 
 

Medtronic Public Limited Company

 

102

 

9,181

 
 

Merck & Co., Inc.

 

58

 

4,458

 
 

37,182

 

Information Technology 11.4%

 

Apple Inc.

 

8

 

2,008

 
 

Applied Materials, Inc.

 

91

 

4,173

 
 

Broadcom Inc.

 

6

 

1,478

 
 

Cisco Systems, Inc.

 

64

 

2,532

 
 

Corning Incorporated

 

173

 

3,548

 
 

Intel Corporation

 

115

 

6,200

 
 

International Business Machines Corporation

 

21

 

2,312

 
 

Microchip Technology Incorporated (b)

 

26

 

1,792

 
 

Qualcomm Incorporated

 

43

 

2,913

 
 

Western Digital Corporation

 

95

 

3,934

 
 

30,890

 

Materials 10.3%

 

CF Industries Holdings Inc.

 

314

 

8,531

 
 

Dow Inc.

 

39

 

1,155

 
 

Freeport-McMoRan Inc. - Class B

 

409

 

2,759

 
 

Louisiana-Pacific Corp.

 

106

 

1,828

 
 

Martin Marietta Materials Inc.

 

26

 

4,941

 
 

MOS Holdings Inc. (b)

 

130

 

1,402

 
 

Newmont Corporation (b)

 

46

 

2,071

 
 

Vulcan Materials Co.

 

47

 

5,060

 
 

27,747

 

Industrials 9.6%

 

Delta Air Lines Inc.

 

95

 

2,697

 
 

Eaton Corporation Public Limited Company

 

46

 

3,580

 
 

L3Harris Technologies, Inc. (b)

 

24

 

4,256

 
 

Northrop Grumman Systems Corp.

 

5

 

1,409

 
 

Quanta Services, Inc.

 

91

 

2,893

 
 

Trane Technologies Public Limited Company

 

22

 

1,799

 
 

Union Pacific Corporation

 

20

 

2,820

 
 

United Technologies Corporation

 

69

 

6,502

 
 

25,956

 

Energy 6.5%

 

ConocoPhillips

 

109

 

3,355

 
 

Hess Corporation

 

148

 

4,934

 
 

Marathon Petroleum Corporation

 

157

 

3,717

 
 

Phillips 66

 

61

 

3,259

 
 

Pioneer Natural Resources Co.

 

31

 

2,184

 
 

17,449

 

Consumer Staples 4.8%

 

Archer-Daniels-Midland Company

 

102

 

3,572

 
 

Colgate-Palmolive Co.

 

52

 

3,477

 
 

ConAgra Brands Inc.

 

44

 

1,282

 
 

PepsiCo, Inc.

 

20

 

2,373

 
 

Philip Morris International Inc.

 

33

 

2,410

 
 

13,114

 

Consumer Discretionary 4.2%

 

General Motors Company

 

168

 

3,498

 
 

Las Vegas Sands Corp.

 

62

 

2,632

 
 

Lennar Corporation - Class A

 

71

 

2,695

 
 

Lowe`s Companies, Inc.

 

29

 

2,463

 
 

11,288

 

Utilities 3.6%

 

Clearway Energy, Inc. - Class C

 

82

 

1,548

 
 

PPL Corporation

 

337

 

8,320

 
 

9,868

 

Communication Services 3.1%

 

Alphabet Inc. - Class A (a)

 

2

 

2,553

 
 

AT&T Inc.

 

117

 

3,406

 
 

Omnicom Group Inc.

 

42

 

2,317

 
 

8,276

 

Real Estate 1.0%

 

OUTFRONT Media Inc.

 

121

 

1,630

 
 

Weyerhaeuser Company

 

66

 

1,126

 
 

2,756

 
 

Total Common Stocks (cost $357,626)

265,601

 

SHORT TERM INVESTMENTS 4.3%

Securities Lending Collateral 2.5%

 

JNL Securities Lending Collateral Fund - Institutional Class, 0.25% (c) (d)

 

6,625

 

6,625

 

Investment Companies 1.8%

 

JNL Government Money Market Fund - Institutional Class, 0.23% (c) (d)

 

4,928

 

4,928

 
 

Total Short Term Investments (cost $11,553)

11,553

 

Total Investments 102.5% (cost $369,179)

 

277,154

 

Other Assets and Liabilities, Net (2.5)%

 

(6,727)

 

Total Net Assets 100.0%

 

270,427

 

(a) Non-income producing security.

(b) All or a portion of the security was on loan as of March 31, 2020.

(c) Investment in affiliate.

(d) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

30


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 

JNL/Neuberger Berman Commodity Strategy Fund (a)

CORPORATE BONDS AND NOTES 46.4%

Financials 27.0%

 

AIG Global Funding

     
 

2.39%, (3M USD LIBOR + 0.48%), 07/02/20 (b) (c)

 

185

 

184

 
 

Bayer US Finance II LLC

     
 

1.85%, (3M USD LIBOR + 0.63%), 06/25/21 (b) (c)

 

1,935

 

1,821

 
 

BMW US Capital, LLC

     
 

2.26%, (3M USD LIBOR + 0.41%), 04/12/21 (b) (c)

 

425

 

414

 
 

Capital One Financial Corporation

     
 

1.95%, (3M USD LIBOR + 0.95%), 03/09/22 (b)

 

705

 

675

 
 

Capital One, National Association

     
 

2.92%, (3M USD LIBOR + 1.15%), 01/30/23 (b)

 

1,430

 

1,360

 
 

Caterpillar Financial Services Corporation

     
 

1.28%, (3M USD LIBOR + 0.28%), 09/07/21 (b)

 

230

 

223

 
 

Daimler Finance North America LLC

     
 

2.59%, (3M USD LIBOR + 0.90%), 02/15/22 (b) (c)

 

1,015

 

959

 
 

Harley-Davidson Financial Services, Inc.

     
 

2.20%, (3M USD LIBOR + 0.50%), 05/21/20 (b) (c)

 

1,350

 

1,351

 
 

HSBC Holdings PLC

     
 

2.29%, (3M USD LIBOR + 0.60%), 05/18/21 (b)

 

1,895

 

1,856

 
 

Marsh & Mclennan Companies, Inc.

     
 

2.57%, (3M USD LIBOR + 1.20%), 12/29/21 (b)

 

1,060

 

1,059

 
 

MET Tower Global Funding

     
 

1.74%, (SOFR + 0.55%), 01/17/23 (b) (c)

 

935

 

851

 
 

Morgan Stanley

     
 

1.86%, (SOFR + 0.70%), 01/20/23 (b)

 

2,645

 

2,462

 
 

New York Life Global Funding

     
 

2.29%, (3M USD LIBOR + 0.44%), 07/12/22 (b) (c)

 

1,360

 

1,304

 
 

Santander UK PLC

     
 

2.20%, (3M USD LIBOR + 0.62%), 06/01/21 (b)

 

1,185

 

1,185

 
 

The Goldman Sachs Group, Inc.

     
 

2.43%, (3M USD LIBOR + 0.75%), 02/23/23 (b)

 

1,930

 

1,821

 
 

The Toronto-Dominion Bank

     
 

1.63%, (SOFR + 0.48%), 01/27/23 (b) (d)

 

1,225

 

1,145

 
 

U.S. Bank National Association

     
 

1.40%, (3M USD LIBOR + 0.40%), 12/09/22 (b)

 

395

 

384

 
 

Wells Fargo Bank, National Association

     
 

2.14%, (3M USD LIBOR + 0.31%), 01/15/21 (b)

 

930

 

921

 
 

Westpac Banking Corporation

     
 

2.23%, (3M USD LIBOR + 0.39%), 01/13/23 (b)

 

405

 

388

 
 

20,363

 

Health Care 7.4%

 

AbbVie Inc.

     
 

2.35%, (3M USD LIBOR + 0.65%), 11/21/22 (b) (c)

 

1,880

 

1,758

 
 

Bristol-Myers Squibb Company

     
 

2.07%, (3M USD LIBOR + 0.38%), 05/16/22 (b) (c)

 

825

 

805

 
 

Cigna Holding Company

     
 

1.49%, (3M USD LIBOR + 0.65%), 09/17/21 (b)

 

995

 

954

 
 

CVS Health Corporation

     
 

1.72%, (3M USD LIBOR + 0.72%), 03/09/21 (b)

 

2,125

 

2,067

 
 

5,584

 

Communication Services 6.7%

 

AT&T Inc.

     
 

2.78%, (3M USD LIBOR + 0.95%), 07/15/21 (b)

 

2,435

 

2,376

 
 

2.59%, (3M USD LIBOR + 0.89%), 02/15/23 (b)

 

70

 

68

 
 

Comcast Corporation

     
 

2.35%, (3M USD LIBOR + 0.44%), 10/01/21 (b)

 

355

 

344

 
 

Verizon Communications Inc.

     
 

1.74%, (3M USD LIBOR + 1.00%), 03/16/22 (b)

 

2,400

 

2,266

 
 

5,054

 

Energy 2.6%

 

BP Capital Markets P.L.C.

     
 

1.61%, (3M USD LIBOR + 0.87%), 09/16/21 (b)

 

375

 

366

 
 

MPLX LP

     
 

1.90%, (3M USD LIBOR + 0.90%), 09/09/21 (b)

 

1,690

 

1,631

 
 

1,997

 

Utilities 2.0%

 

Florida Power & Light Company

     
 

2.14%, (3M USD LIBOR + 0.40%), 05/06/22 (b)

 

1,590

 

1,492

 

Industrials 0.7%

 

Otis Worldwide Corporation

     
 

2.09%, (3M USD LIBOR + 0.45%), 04/05/23 (b) (c)

 

510

 

510

 
 

Total Corporate Bonds And Notes (cost $36,565)

35,000

 

NON-U.S. GOVERNMENT AGENCY ASSET-BACKED SECURITIES 10.2%

 

Fifth Third Auto Trust

     
 

Series 2019-A2B-1, 0.87%, (1M USD LIBOR + 0.17%), 01/15/21 (b)

 

299

 

291

 
 

Ford Credit Auto Lease Trust

     
 

Series 2019-A2B-B, 0.96%, (1M USD LIBOR + 0.26%), 02/15/21 (b)

 

720

 

721

 
 

Series 2017-A3-A, 1.67%, 06/15/21

 

151

 

151

 
 

Series 2019-A2A-A, REMIC, 2.78%, 10/15/20

 

267

 

266

 
 

GM Financial Automobile Leasing Trust

     
 

Series 2019-A2B-2, 0.95%, (1M USD LIBOR + 0.18%), 09/20/20 (b)

 

327

 

327

 
 

Series 2019-A2B-3, 1.04%, (1M USD LIBOR + 0.27%), 12/20/20 (b)

 

1,262

 

1,262

 
 

Madison Avenue Trust, LLC

     
 

Series 2013-B-650M, 4.03%, 10/15/20 (b)

 

1,350

 

1,341

 
 

Nelnet Student Loan Trust

     
 

Series 2019-A1-7A, 1.45%, (1M USD LIBOR + 0.50%), 01/25/68 (b)

 

772

 

734

 
 

Toyota Auto Receivables Owner Trust

     
 

Series 2018-A2A-C, 2.77%, 05/15/20

 

433

 

434

 
 

USAA Auto Owner Trust

     
 

Series 2019-A2-1, REMIC, 2.26%, 01/15/21

 

328

 

327

 
 

Verizon Owner Trust

     
 

Series 2017-A-1A, 2.06%, 09/20/21

 

141

 

141

 
 

Series 2019-A1B-A, 1.10%, (1M USD LIBOR + 0.33%), 04/20/22 (b)

 

1,000

 

983

 
 

Series 2019-A1B-C, 1.19%, (1M USD LIBOR + 0.42%), 11/21/22 (b)

 

300

 

294

 
 

World Omni Auto Receivables Trust

     
 

Series 2019-A2-A, 3.02%, 10/15/20

 

467

 

465

 
 

Total Non-U.S. Government Agency Asset-Backed Securities (cost $7,824)

7,737

 

SHORT TERM INVESTMENTS 34.1%

Investment Companies 34.1%

 

JNL Government Money Market Fund - Institutional Class, 0.23% (e) (f)

 

25,751

 

25,751

 
 

Total Short Term Investments (cost $25,751)

25,751

 

Total Investments 90.7% (cost $70,140)

 

68,488

 

Other Derivative Instruments (2.7)%

 

(2,024)

 

Other Assets and Liabilities, Net 12.0%

 

9,014

 

Total Net Assets 100.0%

 

75,478

 

(a) Consolidated Schedule of Investments.

(b) Security has a variable rate. Interest rates reset periodically. Rate stated was in effect as of March 31, 2020. For securities based on a published reference rate and spread, the reference rate and spread are presented. Certain variable rate securities do not indicate a reference rate and spread because they are determined by the issuer, remarketing agent, or offering documents and are based on current market conditions. The coupon rate for securities with certain features outlined in the offering documents may vary from the stated reference rate and spread. This includes, but is not limited to, securities with deferred rates, contingent distributions, caps, floors, and fixed-rate to float-rate features. In addition, variable rates for government and agency collateralized mortgage obligations (“CMO”) and mortgage-backed securities (“MBS”) are determined by tranches of underlying mortgage-backed security pools’ cash flows into securities and pass-through rates which reflect the rate earned on the asset pool after management and guarantee fees are paid to the securitizing corporation. CMO and MBS variable rates are determined by a formula set forth in the security’s offering documents.

(c) The Adviser has deemed this security, which is exempt from registration under the Securities Act of 1933, as amended, to be liquid based on procedures approved by the Board of Trustees. As of March 31, 2020, the value and the percentage of

31


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

net assets of these liquid securities was $9,957 and 13.2% of the Fund.

(d) Convertible security.

(e) Investment in affiliate.

(f) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

                

JNL/Neuberger Berman Commodity Strategy Fund — Futures Contracts

Reference Entity

 

Contracts1

 

Expiration

 

Notional1

 

Variation

Margin

Receivable

(Payable) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

Long Contracts

Aluminum

 

49

 

May 2020

  

2,182

 

(350)

  

(327)

 

Brent Crude

 

125

 

May 2020

  

4,499

 

(24)

  

(792)

 

Cattle Feeder

 

22

 

May 2020

  

1,375

 

22

  

(23)

 

Cocoa

 

48

 

July 2020

  

1,163

 

(6)

  

(78)

 

Coffee "C"

 

24

 

July 2020

  

989

 

3

  

94

 

Copper

 

73

 

July 2020

  

4,393

 

124

  

(317)

 

Corn

 

349

 

July 2020

  

6,925

 

(25)

  

(887)

 

Cotton No. 2

 

27

 

July 2020

  

819

 

5

  

(132)

 

Crude Oil, WTI

 

126

 

June 2020

  

3,966

 

39

  

(878)

 

Gasoline, RBOB

 

107

 

June 2020

  

4,139

 

(66)

  

(1,177)

 

Gold, 100 Oz.

 

41

 

June 2020

  

6,248

 

(197)

  

298

 

KC HRW Wheat

 

110

 

July 2020

  

2,778

 

37

  

(31)

 

Lead

 

84

 

May 2020

  

4,038

 

(488)

  

(378)

 

Lean Hogs

 

61

 

June 2020

  

2,069

 

13

  

(597)

 

Live Cattle

 

37

 

July 2020

  

1,653

 

46

  

(290)

 

Low Sulfur Gasoil

 

86

 

May 2020

  

4,026

 

53

  

(1,491)

 

Natural Gas

 

102

 

June 2020

  

1,989

 

(42)

  

(198)

 

New York Harbor ULSD

 

100

 

June 2020

  

4,853

 

(61)

  

(579)

 

Nickel

 

39

 

May 2020

  

2,999

 

(350)

  

(316)

 

Palladium

 

2

 

June 2020

  

490

 

21

  

(29)

 

Platinum

 

75

 

July 2020

  

2,993

 

27

  

(256)

 

Silver

 

44

 

July 2020

  

3,159

 

4

  

(37)

 

Soybean

 

71

 

July 2020

  

3,295

 

11

  

(137)

 

Soybean Meal

 

134

 

July 2020

  

4,125

 

(27)

  

148

 

Soybean Oil

 

35

 

July 2020

  

610

 

3

  

(36)

 

Sugar No. 11

 

48

 

September 2020

  

626

 

(16)

  

(61)

 

Wheat

 

105

 

July 2020

  

2,991

 

23

  

(38)

 

Zinc

 

72

 

May 2020

  

4,074

 

(803)

  

(650)

 
         

(2,024)

  

(9,195)

 

32


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 

JNL/Neuberger Berman Currency Fund

GOVERNMENT AND AGENCY OBLIGATIONS 30.9%

U.S. Government Agency Obligations 30.9%

 

Farm Credit Banks Consolidated Systemwide Bonds and Discount Notes

     
 

1.55%, 01/15/21 (a)

 

5,000

 

5,046

 
 

Federal Farm Credit Banks Funding Corporation

     
 

0.75%, (1M USD LIBOR), 06/19/20 (a) (b)

 

3,000

 

2,998

 
 

Federal Home Loan Banks Office of Finance

     
 

0.75%, (3M USD LIBOR + -0.14%), 12/18/20 (a) (b)

 

3,545

 

3,538

 
 

Federal National Mortgage Association, Inc.

     
 

1.50%, 06/22/20 (a)

 

8,000

 

8,021

 
 

Total Government And Agency Obligations (cost $19,546)

19,603

 

SHORT TERM INVESTMENTS 82.2%

Investment Companies 35.7%

 

JNL Government Money Market Fund - Institutional Class, 0.23% (c) (d)

 

22,583

 

22,583

 

U.S. Treasury Bill 33.1%

 

Treasury, United States Department of

     
 

0.55%, 05/05/20 (e)

 

9,000

 

8,995

 
 

0.00%, 07/02/20 (e)

 

12,000

 

11,996

 
 

20,991

 

Discount Notes 13.4%

 

Federal Home Loan Mortgage Corporation

     
 

1.53%, 06/03/20 (a) (e)

 

8,500

 

8,498

 
 

Total Short Term Investments (cost $52,052)

52,072

 

Total Investments 113.1% (cost $71,598)

 

71,675

 

Other Derivative Instruments 2.1%

 

1,309

 

Other Assets and Liabilities, Net (15.2)%

 

(9,615)

 

Total Net Assets 100.0%

 

63,369

 

(a) The security is a direct debt of the agency and not collateralized by mortgages.

(b) Security has a variable rate. Interest rates reset periodically. Rate stated was in effect as of March 31, 2020. For securities based on a published reference rate and spread, the reference rate and spread are presented. Certain variable rate securities do not indicate a reference rate and spread because they are determined by the issuer, remarketing agent, or offering documents and are based on current market conditions. The coupon rate for securities with certain features outlined in the offering documents may vary from the stated reference rate and spread. This includes, but is not limited to, securities with deferred rates, contingent distributions, caps, floors, and fixed-rate to float-rate features. In addition, variable rates for government and agency collateralized mortgage obligations (“CMO”) and mortgage-backed securities (“MBS”) are determined by tranches of underlying mortgage-backed security pools’ cash flows into securities and pass-through rates which reflect the rate earned on the asset pool after management and guarantee fees are paid to the securitizing corporation. CMO and MBS variable rates are determined by a formula set forth in the security’s offering documents.

(c) Investment in affiliate.

(d) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

(e) The coupon rate represents the yield to maturity.

JNL/Neuberger Berman Currency Fund — Forward Foreign Currency Contracts

                   

Purchased/

Sold

 

Counter-party

 

Expiration

 

Notional1

 

Value ($)

 

Unrealized

Appreciation

(Depreciation) ($)

AUD/USD

 

SCB

 

04/22/20

 

AUD

2,267

   

1,392

   

(34)

 

AUD/USD

 

SGB

 

04/22/20

 

AUD

20,960

   

12,871

   

(1,628)

 

AUD/USD

 

SSB

 

04/22/20

 

AUD

86,781

   

53,289

   

3,320

 

BRL/USD

 

GSC

 

04/22/20

 

BRL

30,162

   

5,804

   

(1,409)

 

CAD/USD

 

CIT

 

04/22/20

 

CAD

27,076

   

19,226

   

(1,488)

 

CAD/USD

 

SCB

 

04/22/20

 

CAD

4,659

   

3,308

   

(171)

 

CAD/USD

 

SGB

 

04/22/20

 

CAD

109,785

   

77,956

   

(6,077)

 

CAD/USD

 

SSB

 

04/22/20

 

CAD

4,691

   

3,331

   

(259)

 

CHF/USD

 

CIT

 

04/22/20

 

CHF

12,159

   

12,631

   

(47)

 

CHF/USD

 

CIT

 

04/22/20

 

CHF

2,806

   

2,915

   

47

 

CHF/USD

 

GSC

 

04/22/20

 

CHF

13,940

   

14,483

   

(62)

 

CHF/USD

 

GSC

 

04/22/20

 

CHF

8,464

   

8,794

   

102

 

CHF/USD

 

SCB

 

04/22/20

 

CHF

7,024

   

7,297

   

(137)

 

CHF/USD

 

SCB

 

04/22/20

 

CHF

2,677

   

2,781

   

34

 

CHF/USD

 

SSB

 

04/22/20

 

CHF

65,103

   

67,632

   

(66)

 

CLP/USD

 

GSC

 

04/22/20

 

CLP

303,623

   

355

   

(39)

 

CLP/USD

 

RBC

 

04/22/20

 

CLP

1,089,420

   

1,274

   

(130)

 

CZK/USD

 

CIT

 

04/22/20

 

CZK

45,560

   

1,835

   

(185)

 

CZK/USD

 

SSB

 

04/22/20

 

CZK

18,586

   

749

   

(72)

 

EUR/USD

 

CIT

 

04/22/20

 

EUR

2,644

   

2,915

   

(23)

 

EUR/USD

 

CIT

 

04/22/20

 

EUR

2,457

   

2,709

   

28

 

EUR/USD

 

GSC

 

04/22/20

 

EUR

33,937

   

37,416

   

(625)

 

EUR/USD

 

GSC

 

04/22/20

 

EUR

2,007

   

2,212

   

12

 

EUR/USD

 

JPM

 

04/22/20

 

EUR

36,719

   

40,485

   

(592)

 

EUR/USD

 

RBC

 

04/22/20

 

EUR

7,206

   

7,946

   

(122)

 

EUR/USD

 

SCB

 

04/22/20

 

EUR

12,653

   

13,951

   

(193)

 

EUR/USD

 

SCB

 

04/22/20

 

EUR

2,345

   

2,585

   

29

 

EUR/USD

 

SGB

 

04/22/20

 

EUR

119

   

131

   

(2)

 

EUR/USD

 

SSB

 

04/22/20

 

EUR

1,277

   

1,408

   

(4)

 

EUR/USD

 

SSB

 

04/22/20

 

EUR

2,539

   

2,800

   

48

 

GBP/USD

 

CIT

 

04/22/20

 

GBP

1,340

   

1,668

   

82

 

GBP/USD

 

GSC

 

04/22/20

 

GBP

3,187

   

3,966

   

(166)

 

GBP/USD

 

GSC

 

04/22/20

 

GBP

18,635

   

23,190

   

1,757

 

GBP/USD

 

JPM

 

04/22/20

 

GBP

26,012

   

32,370

   

(1,555)

 

GBP/USD

 

SCB

 

04/22/20

 

GBP

1,039

   

1,293

   

(52)

 

GBP/USD

 

SCB

 

04/22/20

 

GBP

774

   

964

   

8

 

GBP/USD

 

SGB

 

04/22/20

 

GBP

6,056

   

7,537

   

(365)

 

HUF/USD

 

GSC

 

04/22/20

 

HUF

919,312

   

2,804

   

(290)

 

JPY/USD

 

CIT

 

04/22/20

 

JPY

289,217

   

2,689

   

(41)

 

JPY/USD

 

CIT

 

04/22/20

 

JPY

1,727,213

   

16,060

   

279

 

JPY/USD

 

GSC

 

04/22/20

 

JPY

112,847

   

1,049

   

18

 

JPY/USD

 

RBC

 

04/22/20

 

JPY

1,323,736

   

12,308

   

192

 

JPY/USD

 

SCB

 

04/22/20

 

JPY

141,614

   

1,317

   

(11)

 

JPY/USD

 

SCB

 

04/22/20

 

JPY

1,187,815

   

11,045

   

194

 

JPY/USD

 

SSB

 

04/22/20

 

JPY

1,809,620

   

16,826

   

289

 

KRW/USD

 

CIT

 

04/22/20

 

KRW

3,354,942

   

2,758

   

(150)

 

KRW/USD

 

SCB

 

04/22/20

 

KRW

1,667,517

   

1,371

   

(19)

 

MXN/USD

 

CIT

 

04/22/20

 

MXN

25,105

   

1,060

   

54

 

MXN/USD

 

GSC

 

04/22/20

 

MXN

138,286

   

5,841

   

(1,420)

 

MXN/USD

 

SCB

 

04/22/20

 

MXN

24,764

   

1,046

   

(78)

 

MXN/USD

 

SSB

 

04/22/20

 

MXN

137,474

   

5,807

   

(1,396)

 

NOK/USD

 

CIT

 

04/22/20

 

NOK

236,906

   

22,759

   

(3,797)

 

NOK/USD

 

GSC

 

04/22/20

 

NOK

17,048

   

1,638

   

(206)

 

NOK/USD

 

RBC

 

04/22/20

 

NOK

137,367

   

13,197

   

(2,263)

 

NOK/USD

 

SGB

 

04/22/20

 

NOK

203,049

   

19,507

   

(3,370)

 

NZD/USD

 

CIT

 

04/22/20

 

NZD

1,283

   

764

   

5

 

NZD/USD

 

RBC

 

04/22/20

 

NZD

63

   

38

   

(4)

 

NZD/USD

 

RBC

 

04/22/20

 

NZD

41,241

   

24,547

   

1,172

 

NZD/USD

 

SCB

 

04/22/20

 

NZD

3,412

   

2,031

   

(99)

 

NZD/USD

 

SCB

 

04/22/20

 

NZD

41,300

   

24,582

   

1,170

 

NZD/USD

 

SSB

 

04/22/20

 

NZD

13,515

   

8,044

   

(798)

 

PLN/USD

 

CIT

 

04/22/20

 

PLN

9,449

   

2,284

   

(209)

 

SEK/USD

 

JPM

 

04/22/20

 

SEK

64,830

   

6,535

   

(346)

 

SEK/USD

 

RBC

 

04/22/20

 

SEK

363,074

   

36,598

   

(1,861)

 

SEK/USD

 

SCB

 

04/22/20

 

SEK

68,594

   

6,914

   

(365)

 

TRY/USD

 

GSC

 

04/22/20

 

TRY

4,212

   

634

   

(67)

 

TRY/USD

 

SSB

 

04/22/20

 

TRY

4,069

   

612

   

(65)

 

USD/AUD

 

JPM

 

04/22/20

 

AUD

(14,200)

   

(8,720)

   

1,102

 

USD/AUD

 

RBC

 

04/22/20

 

AUD

(18,782)

   

(11,533)

   

1,437

 

USD/AUD

 

SCB

 

04/22/20

 

AUD

(6,297)

   

(3,867)

   

(61)

 

33


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

                   

Purchased/

Sold

 

Counter-party

 

Expiration

 

Notional1

 

Value ($)

 

Unrealized

Appreciation

(Depreciation) ($)

USD/AUD

 

SCB

 

04/22/20

 

AUD

(9,816)

   

(6,028)

   

765

 

USD/AUD

 

SSB

 

04/22/20

 

AUD

(49,612)

   

(30,465)

   

3,844

 

USD/BRL

 

SCB

 

04/22/20

 

BRL

(23,563)

   

(4,535)

   

434

 

USD/CAD

 

CIT

 

04/22/20

 

CAD

(65,993)

   

(46,860)

   

(1,478)

 

USD/CAD

 

CIT

 

04/22/20

 

CAD

(1,760)

   

(1,250)

   

75

 

USD/CAD

 

JPM

 

04/22/20

 

CAD

(14,644)

   

(10,398)

   

809

 

USD/CAD

 

SCB

 

04/22/20

 

CAD

(3,382)

   

(2,402)

   

187

 

USD/CAD

 

SSB

 

04/22/20

 

CAD

(66,077)

   

(46,920)

   

(1,471)

 

USD/CAD

 

SSB

 

04/22/20

 

CAD

(1,918)

   

(1,362)

   

21

 

USD/CHF

 

CIT

 

04/22/20

 

CHF

(1,254)

   

(1,303)

   

2

 

USD/CHF

 

GSC

 

04/22/20

 

CHF

(851)

   

(885)

   

(13)

 

USD/CHF

 

JPM

 

04/22/20

 

CHF

(1,106)

   

(1,149)

   

 

USD/CHF

 

RBC

 

04/22/20

 

CHF

(40,792)

   

(42,376)

   

147

 

USD/CHF

 

SCB

 

04/22/20

 

CHF

(2,880)

   

(2,992)

   

 

USD/CHF

 

SGB

 

04/22/20

 

CHF

(69,273)

   

(71,965)

   

17

 

USD/CLP

 

CIT

 

04/22/20

 

CLP

(303,615)

   

(355)

   

39

 

USD/CZK

 

GSC

 

04/22/20

 

CZK

(64,146)

   

(2,584)

   

242

 

USD/EUR

 

CIT

 

04/22/20

 

EUR

(5,102)

   

(5,626)

   

(45)

 

USD/EUR

 

CIT

 

04/22/20

 

EUR

(7,705)

   

(8,494)

   

124

 

USD/EUR

 

GSC

 

04/22/20

 

EUR

(7,671)

   

(8,459)

   

(126)

 

USD/EUR

 

GSC

 

04/22/20

 

EUR

(8,381)

   

(9,242)

   

154

 

USD/EUR

 

RBC

 

04/22/20

 

EUR

(1,229)

   

(1,355)

   

16

 

USD/EUR

 

SCB

 

04/22/20

 

EUR

(2,465)

   

(2,718)

   

(10)

 

USD/EUR

 

SCB

 

04/22/20

 

EUR

(2,991)

   

(3,297)

   

65

 

USD/EUR

 

SSB

 

04/22/20

 

EUR

(74,789)

   

(82,460)

   

1,201

 

USD/GBP

 

CIT

 

04/22/20

 

GBP

(1,137)

   

(1,415)

   

(24)

 

USD/GBP

 

GSC

 

04/22/20

 

GBP

(17,538)

   

(21,825)

   

1,061

 

USD/GBP

 

SCB

 

04/22/20

 

GBP

(5,678)

   

(7,065)

   

338

 

USD/GBP

 

SSB

 

04/22/20

 

GBP

(29,887)

   

(37,192)

   

1,809

 

USD/HUF

 

CIT

 

04/22/20

 

HUF

(699,054)

   

(2,132)

   

217

 

USD/HUF

 

SSB

 

04/22/20

 

HUF

(220,279)

   

(672)

   

68

 

USD/JPY

 

CIT

 

04/22/20

 

JPY

(817,238)

   

(7,599)

   

(156)

 

USD/JPY

 

CIT

 

04/22/20

 

JPY

(304,725)

   

(2,833)

   

44

 

USD/JPY

 

GSC

 

04/22/20

 

JPY

(184,003)

   

(1,710)

   

(25)

 

USD/JPY

 

GSC

 

04/22/20

 

JPY

(151,608)

   

(1,410)

   

5

 

USD/JPY

 

JPM

 

04/22/20

 

JPY

(1,331,522)

   

(12,381)

   

(214)

 

USD/JPY

 

SCB

 

04/22/20

 

JPY

(822,258)

   

(7,646)

   

(124)

 

USD/JPY

 

SCB

 

04/22/20

 

JPY

(492,659)

   

(4,582)

   

135

 

USD/JPY

 

SGB

 

04/22/20

 

JPY

(1,428,258)

   

(13,280)

   

(236)

 

USD/JPY

 

GSC

 

05/20/20

 

JPY

(146,794)

   

(1,365)

   

71

 

USD/KRW

 

GSC

 

04/22/20

 

KRW

(4,158,106)

   

(3,417)

   

135

 

USD/KRW

 

SSB

 

04/22/20

 

KRW

(865,791)

   

(712)

   

39

 

USD/MXN

 

GSC

 

04/22/20

 

MXN

(264,446)

   

(11,170)

   

(703)

 

USD/MXN

 

GSC

 

04/22/20

 

MXN

(39,058)

   

(1,650)

   

434

 

USD/MXN

 

RBC

 

04/22/20

 

MXN

(10,103)

   

(427)

   

103

 

USD/MXN

 

SCB

 

04/22/20

 

MXN

(12,095)

   

(511)

   

123

 

USD/NOK

 

CIT

 

04/22/20

 

NOK

(112,720)

   

(10,829)

   

(713)

 

USD/NOK

 

GSC

 

04/22/20

 

NOK

(13,236)

   

(1,272)

   

(89)

 

USD/NOK

 

GSC

 

04/22/20

 

NOK

(206,947)

   

(19,881)

   

3,433

 

USD/NOK

 

JPM

 

04/22/20

 

NOK

(114,744)

   

(11,023)

   

1,895

 

USD/NOK

 

SCB

 

04/22/20

 

NOK

(123,937)

   

(11,906)

   

1,734

 

USD/NZD

 

JPM

 

04/22/20

 

NZD

(9,482)

   

(5,644)

   

634

 

USD/NZD

 

SCB

 

04/22/20

 

NZD

(27,122)

   

(16,143)

   

1,770

 

USD/NZD

 

SGB

 

04/22/20

 

NZD

(76,556)

   

(45,566)

   

5,105

 

USD/PLN

 

GSC

 

04/22/20

 

PLN

(9,449)

   

(2,283)

   

211

 

USD/SEK

 

RBC

 

04/22/20

 

SEK

(272,730)

   

(27,492)

   

(1,030)

 

USD/SEK

 

SCB

 

04/22/20

 

SEK

(37,477)

   

(3,778)

   

171

 

USD/SEK

 

SGB

 

04/22/20

 

SEK

(144,121)

   

(14,528)

   

775

 

USD/TRY

 

RBC

 

04/22/20

 

TRY

(16,787)

   

(2,526)

   

229

 

USD/ZAR

 

GSC

 

04/22/20

 

ZAR

(50,891)

   

(2,848)

   

641

 

USD/ZAR

 

SSB

 

04/22/20

 

ZAR

(10,278)

   

(575)

   

129

 

ZAR/USD

 

CIT

 

04/22/20

 

ZAR

21,152

   

1,184

   

(269)

 

ZAR/USD

 

GSC

 

04/22/20

 

ZAR

19,109

   

1,069

   

(197)

 

ZAR/USD

 

RBC

 

04/22/20

 

ZAR

20,915

   

1,171

   

(179)

 
           

2,670

   

1,309

 

34


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 

JNL/Nicholas Convertible Arbitrage Fund

CORPORATE BONDS AND NOTES 77.0%

Information Technology 39.4%

 

Akamai Technologies, Inc.

     
 

0.38%, 09/01/27 (a) (b) (c)

 

6,000

 

6,014

 
 

Alteryx, Inc.

     
 

0.50%, 08/01/24 (a) (b) (c)

 

4,720

 

4,266

 
 

Coupa Software Incorporated

     
 

0.13%, 06/15/25 (b) (c)

 

2,210

 

2,529

 
 

Cree, Inc.

     
 

0.88%, 09/01/23 (a) (b)

 

2,735

 

2,520

 
 

CyberArk Software Ltd.

     
 

0.00%, 11/15/24 (b) (c) (d)

 

2,105

 

1,862

 
 

DocuSign, Inc.

     
 

0.50%, 09/15/23 (a) (b)

 

2,280

 

3,201

 
 

Enphase Energy, Inc.

     
 

0.25%, 03/01/25 (b) (c)

 

855

 

688

 
 

Everbridge, Inc.

     
 

0.13%, 12/15/24 (a) (b) (c)

 

2,115

 

2,441

 
 

J2 Cloud Services, LLC

     
 

1.75%, 11/01/26 (b) (c)

 

1,950

 

1,779

 
 

Lumentum Holdings Inc.

     
 

0.50%, 12/15/26 (b) (c)

 

2,625

 

2,660

 
 

Microchip Technology Incorporated

     
 

1.63%, 02/15/27 (b)

 

1,075

 

1,110

 
 

Nuance Communications, Inc.

     
 

1.00%, 12/15/35 (b)

 

2,615

 

2,502

 
 

Okta, Inc.

     
 

0.13%, 09/01/25 (a) (b) (c)

 

2,925

 

2,780

 
 

On Semiconductor Corporation

     
 

1.63%, 10/15/23 (b)

 

1,345

 

1,341

 
 

Palo Alto Networks, Inc.

     
 

0.75%, 07/01/23 (b)

 

4,120

 

3,968

 
 

Proofpoint, Inc.

     
 

0.25%, 08/15/24 (b) (c)

 

1,450

 

1,359

 
 

RingCentral, Inc.

     
 

0.00%, 03/01/25 (b) (c) (d)

 

3,095

 

2,901

 
 

Splunk Inc.

     
 

0.50%, 09/15/23 (a) (b)

 

3,655

 

3,916

 
 

Square, Inc.

     
 

0.50%, 05/15/23 (b)

 

3,460

 

3,551

 
 

0.13%, 03/01/25 (b) (c)

 

1,510

 

1,308

 
 

Twilio Inc.

     
 

0.25%, 06/01/23 (b)

 

660

 

928

 
 

53,624

 

Health Care 14.3%

 

Bridgebio Pharma, Inc.

     
 

2.50%, 03/15/27 (b) (c)

 

750

 

705

 
 

Exact Sciences Corporation

     
 

0.38%, 03/01/28 (b)

 

3,110

 

2,457

 
 

Horizon Pharma Investment Limited

     
 

2.50%, 03/15/22 (a) (b)

 

1,125

 

1,303

 
 

Illumina, Inc.

     
 

0.50%, 06/15/21 (a) (b)

 

4,750

 

5,856

 
 

Insulet Corporation

     
 

0.38%, 09/01/26 (a) (b) (c)

 

2,785

 

2,859

 
 

Repligen Corporation

     
 

0.38%, 07/15/24 (b)

 

2,825

 

2,972

 
 

Sarepta Therapeutics, Inc.

     
 

1.50%, 11/15/24 (b)

 

975

 

1,477

 
 

Teladoc Health, Inc.

     
 

1.38%, 05/15/25 (b)

 

650

 

1,900

 
 

19,529

 

Communication Services 14.1%

 

Dish Network Corporation

     
 

3.38%, 08/15/26 (b)

 

3,175

 

2,552

 
 

Liberty Media Corporation

     
 

1.38%, 10/15/23 (a) (b)

 

2,785

 

2,675

 
 

2.25%, 12/01/48 (b) (c)

 

2,075

 

1,974

 
 

2.75%, 12/01/49 (a) (b) (c)

 

3,570

 

3,057

 
 

Snap Inc.

     
 

0.75%, 08/01/26 (a) (b) (c)

 

3,465

 

3,022

 
 

Twitter, Inc.

     
 

0.25%, 06/15/24 (b)

 

1,545

 

1,386

 
 

Zillow Group, Inc.

     
 

1.50%, 07/01/23 (b)

 

2,800

 

2,355

 
 

Zynga Inc.

     
 

0.25%, 06/01/24 (b) (c)

 

2,085

 

2,166

 
 

19,187

 

Consumer Discretionary 4.2%

 

Booking Holdings Inc.

     
 

0.90%, 09/15/21 (b)

 

2,000

 

2,010

 
 

Chegg, Inc.

     
 

0.13%, 03/15/25 (a) (b) (c)

 

3,945

 

3,775

 
 

5,785

 

Financials 4.1%

 

BOFA Finance LLC

     
 

0.13%, 09/01/22 (b)

 

2,850

 

2,824

 
 

JPMorgan Chase Bank, National Association

     
 

0.13%, 01/01/23 (b) (c)

 

2,695

 

2,779

 
 

5,603

 

Real Estate 0.9%

 

Hannon Armstrong Sustainable Infrastructure Capital, Inc.

     
 

4.13%, 09/01/22 (a) (b)

 

1,285

 

1,207

 
 

Total Corporate Bonds And Notes (cost $109,362)

104,935

 

PREFERRED STOCKS 5.7%

Health Care 3.4%

 

Danaher Corporation, 4.75%, 04/15/22 (b)

 

4

 

3,864

 
 

Elanco Animal Health, 5.00%, 02/01/23 (b) (e)

 

20

 

827

 
 

4,691

 

Information Technology 1.5%

 

Broadcom Inc., 8.00%, 09/30/22 (b)

 

2

 

1,967

 

Real Estate 0.8%

 

Crown Castle International Corp. - Series A, 6.88%, 08/01/20 (b)

 

1

 

1,038

 
 

Total Preferred Stocks (cost $8,225)

7,696

 

SHORT TERM INVESTMENTS 13.0%

Investment Companies 13.0%

 

JNL Government Money Market Fund - Institutional Class, 0.23% (f) (g)

 

17,744

 

17,744

 
 

Total Short Term Investments (cost $17,744)

17,744

 

Total Investments 95.7% (cost $135,331)

 

130,375

 

Total Securities Sold Short (35.9)% (proceeds $53,296)

 

(48,934)

 

Other Assets and Liabilities, Net 40.2%

 

54,819

 

Total Net Assets 100.0%

 

136,260

 

(a) All or a portion of the security is pledged or segregated as collateral.

(b) Convertible security.

(c) The Adviser has deemed this security, which is exempt from registration under the Securities Act of 1933, as amended, to be liquid based on procedures approved by the Board of Trustees. As of March 31, 2020, the value and the percentage of net assets of these liquid securities was $50,924 and 37.4% of the Fund.

(d) Security issued with a zero coupon. Income is recognized through the accretion of discount.

(e) Non-income producing security.

(f) Investment in affiliate.

(g) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

       
  

Shares/Par1

 

Value ($)

 

SECURITIES SOLD SHORT (35.9%)

COMMON STOCKS (32.3%)

Information Technology (15.3%)

 

Akamai Technologies, Inc.

 

(23)

 

(2,141)

 
 

Alteryx, Inc. - Class A

 

(11)

 

(1,066)

 
 

Broadcom Inc.

 

(5)

 

(1,191)

 
 

Coupa Software Incorporated

 

(9)

 

(1,258)

 
 

Cree, Inc.

 

(21)

 

(727)

 
 

CyberArk Software Ltd.

 

(9)

 

(766)

 

35


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

DocuSign, Inc.

 

(23)

 

(2,123)

 
 

Enphase Energy, Inc.

 

(5)

 

(161)

 
 

Everbridge, Inc.

 

(11)

 

(1,201)

 
 

J2 Cloud Services, LLC

 

(7)

 

(528)

 
 

Lumentum Holdings Inc.

 

(15)

 

(1,076)

 
 

Microchip Technology Incorporated

 

(11)

 

(724)

 
 

Nuance Communications, Inc.

 

(47)

 

(789)

 
 

Okta, Inc. - Class A

 

(7)

 

(880)

 
 

On Semiconductor Corporation

 

(34)

 

(424)

 
 

Palo Alto Networks, Inc.

 

(6)

 

(1,041)

 
 

Proofpoint, Inc.

 

(5)

 

(457)

 
 

RingCentral, Inc. - Class A

 

(3)

 

(673)

 
 

Splunk Inc.

 

(13)

 

(1,655)

 
 

Square, Inc. - Class A

 

(26)

 

(1,359)

 
 

Twilio Inc. - Class A

 

(7)

 

(600)

 
 

(20,840)

 

Health Care (9.4%)

 

Bridgebio Pharma, Inc.

 

(10)

 

(281)

 
 

Danaher Corporation

 

(21)

 

(2,898)

 
 

Elanco Animal Health

 

(19)

 

(434)

 
 

Exact Sciences Corporation

 

(16)

 

(920)

 
 

Horizon Therapeutics Public Limited Company

 

(19)

 

(573)

 
 

Illumina, Inc.

 

(12)

 

(3,313)

 
 

Insulet Corporation

 

(5)

 

(787)

 
 

Repligen Corporation

 

(12)

 

(1,183)

 
 

Sarepta Therapeutics, Inc.

 

(10)

 

(974)

 
 

Teladoc Health, Inc.

 

(10)

 

(1,504)

 
 

(12,867)

 

Communication Services (4.8%)

 

Charter Communications, Inc. - Class A

 

(1)

 

(382)

 
 

Dish Network Corporation - Class A

 

(24)

 

(488)

 
 

Live Nation Entertainment, Inc.

 

(14)

 

(641)

 
 

Sirius XM Holdings Inc.

 

(473)

 

(2,334)

 
 

Snap Inc. - Class A

 

(76)

 

(904)

 
 

Twitter, Inc.

 

(12)

 

(292)

 
 

Zillow Group, Inc. - Class C

 

(16)

 

(580)

 
 

Zynga Inc. - Class A

 

(126)

 

(862)

 
 

(6,483)

 

Consumer Discretionary (1.6%)

 

Alibaba Group Holding Limited - ADS

 

(4)

 

(681)

 
 

Booking Holdings Inc.

 

 

(269)

 
 

Chegg, Inc.

 

(35)

 

(1,232)

 
 

(2,182)

 

Real Estate (1.2%)

 

Crown Castle International Corp.

 

(7)

 

(1,018)

 
 

Hannon Armstrong Sustainable Infrastructure Capital, Inc.

 

(28)

 

(578)

 
 

(1,596)

 
 

Total Common Stocks (proceeds $47,692)

(43,968)

 

INVESTMENT COMPANIES (3.6%)

 

iShares Russell 2000 Growth ETF

 

(23)

 

(3,677)

 
 

SPDR S&P 500 ETF

 

(5)

 

(1,289)

 
 

Total Investment Companies (proceeds $5,604)

(4,966)

 
 

Total Securities Sold Short (35.9%) (proceeds $53,296)

 

(48,934)

 

36


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 

JNL/PIMCO Investment Grade Credit Bond Fund

CORPORATE BONDS AND NOTES 68.6%

Financials 32.0%

 

AerCap Ireland Capital Designated Activity Company

     
 

3.50%, 05/26/22 - 01/15/25

 

400

 

335

 
 

4.45%, 04/03/26

 

600

 

488

 
 

3.65%, 07/21/27

 

1,400

 

1,083

 
 

AerCap Ireland Limited

     
 

4.25%, 07/01/20

 

500

 

495

 
 

4.50%, 05/15/21

 

450

 

412

 
 

3.95%, 02/01/22

 

400

 

348

 
 

AIA Group Limited

     
 

3.60%, 04/09/29 (a)

 

1,200

 

1,246

 
 

AIB Group Public Limited Company

     
 

4.26%, 04/10/25 (a)

 

600

 

576

 
 

Ally Financial Inc.

     
 

3.88%, 05/21/24 (b)

 

100

 

94

 
 

8.00%, 11/01/31

 

500

 

579

 
 

Ambac LSNI, LLC

     
 

6.94%, (3M USD LIBOR + 5.00%), 02/12/23 (a) (c)

 

469

 

444

 
 

Amcor Finance (USA), Inc.

     
 

3.63%, 04/28/26 (a)

 

400

 

412

 
 

American Financial Group, Inc.

     
 

3.50%, 08/15/26

 

900

 

855

 
 

American International Group, Inc.

     
 

5.75%, 04/01/48

 

100

 

88

 
 

4.38%, 01/15/55

 

400

 

375

 
 

Avolon Holdings Funding Limited

     
 

5.13%, 10/01/23 (a)

 

800

 

669

 
 

5.25%, 05/15/24 (a)

 

500

 

403

 
 

Axis Bank Limited

     
 

3.25%, 05/21/20 (a)

 

500

 

500

 
 

Axis Bank Limited Singapore Branch

     
 

3.25%, 05/21/20 (d)

 

200

 

200

 
 

AXIS Specialty Finance PLC

     
 

4.00%, 12/06/27

 

700

 

743

 
 

Azul Investments LLP

     
 

5.88%, 10/26/24 (a)

 

100

 

57

 
 

Banco Bilbao Vizcaya Argentaria, S.A.

     
 

5.88%, (callable at 100 beginning 09/24/23), EUR (d) (e)

 

600

 

553

 
 

Banco Bradesco S.A.

     
 

2.85%, 01/27/23 (a)

 

2,500

 

2,373

 
 

Banco do Brasil S.A

     
 

4.75%, 03/20/24 (d)

 

200

 

194

 
 

4.63%, 01/15/25 (a)

 

300

 

289

 
 

Banco General, S.A.

     
 

4.13%, 08/07/27 (a)

 

200

 

184

 
 

Banco Mercantil Del Norte, S.A. Institucion De Banca Multiple, Grupo Financiero Banorte

     
 

6.75%, (callable at 100 beginning 09/27/24) (a) (e)

 

1,000

 

766

 
 

Banco Santander, S.A.

     
 

3.31%, 06/27/29

 

600

 

584

 
 

Banco Santander-Chile

     
 

2.70%, 01/10/25 (a)

 

1,600

 

1,505

 
 

Banco Votorantim S.A.

     
 

4.50%, 09/24/24 (d)

 

1,000

 

901

 
 

Bancolombia SA

     
 

4.63%, 12/18/29

 

1,200

 

1,061

 
 

Bank of America Corporation

     
 

4.30%, (callable at 100 beginning 01/28/25) (e)

 

2,700

 

2,323

 
 

5.13%, (callable at 100 beginning 06/20/24) (e)

 

1,600

 

1,495

 
 

3.56%, 04/23/27

 

500

 

523

 
 

3.82%, 01/20/28 (c)

 

5,000

 

5,290

 
 

3.42%, 12/20/28

 

631

 

651

 
 

4.27%, 07/23/29

 

900

 

972

 
 

3.97%, 02/07/30

 

10,100

 

10,877

 
 

Barclays Bank PLC

     
 

7.63%, 11/21/22

 

2,400

 

2,456

 
 

Barclays PLC

     
 

7.13%, (callable at 100 beginning 06/15/25), GBP (e)

 

900

 

950

 
 

7.75%, (callable at 100 beginning 09/15/23) (e) (f)

 

1,100

 

972

 
 

7.88%, (callable at 100 beginning 03/15/22) (d) (e)

 

2,200

 

2,034

 
 

1.88%, 03/23/21, EUR (d)

 

200

 

220

 
 

3.07%, (3M USD LIBOR + 1.38%), 05/16/24 (b) (c)

 

2,477

 

2,366

 
 

4.34%, 05/16/24 (c) (f)

 

200

 

200

 
 

Bayer US Finance II LLC

     
 

3.88%, 12/15/23 (a)

 

500

 

513

 
 

4.25%, 12/15/25 (a)

 

300

 

309

 
 

BBVA Bancomer, S.A.

     
 

6.75%, 09/30/22 (a)

 

1,051

 

1,043

 
 

6.75%, 09/30/22 (b) (d)

 

329

 

327

 
 

5.13%, 01/18/33 (b) (d)

 

600

 

495

 
 

5.88%, 09/13/34 (a)

 

500

 

405

 
 

BGC Partners, Inc.

     
 

5.13%, 05/27/21

 

1,100

 

1,110

 
 

Blackstone Holdings Finance Co. L.L.C.

     
 

1.50%, 04/10/29, EUR (a)

 

800

 

845

 
 

BNP Paribas

     
 

7.00%, (callable at 100 beginning 08/16/28) (a) (e)

 

200

 

197

 
 

2.82%, 11/19/25 (a)

 

5,500

 

5,344

 
 

4.40%, 08/14/28 (a)

 

900

 

964

 
 

Boral Finance Pty Limited

     
 

3.75%, 05/01/28 (a)

 

1,300

 

1,218

 
 

BPCE

     
 

2.90%, (3M USD LIBOR + 1.22%), 05/22/22 (a) (c)

 

500

 

491

 
 

2.75%, 01/11/23 (a)

 

2,500

 

2,469

 
 

Brookfield Financial, Inc.

     
 

3.90%, 01/25/28

 

500

 

506

 
 

Brookfield Financial, LLC

     
 

4.00%, 04/01/24

 

500

 

510

 
 

BTG Pactual Holding S.A.

     
 

5.50%, 01/31/23 (a)

 

600

 

569

 
 

4.50%, 01/10/25 (a)

 

2,700

 

2,347

 
 

Cantor Fitzgerald, L.P.

     
 

4.88%, 05/01/24 (a) (g)

 

600

 

616

 
 

Carlyle Finance LLC

     
 

3.50%, 09/19/29 (a)

 

500

 

471

 
 

Cemex Finance LLC

     
 

6.00%, 04/01/24 (d)

 

300

 

256

 
 

China Construction Bank (New Zealand) Limited

     
 

2.62%, (3M USD LIBOR + 0.75%), 12/20/21 (c) (d)

 

500

 

499

 
 

Cielo USA Inc.

     
 

3.75%, 11/16/22 (a)

 

600

 

555

 
 

Citigroup Inc.

     
 

4.70%, (callable at 100 beginning 01/30/25) (e)

 

1,600

 

1,365

 
 

5.00%, (callable at 100 beginning 09/12/24) (e)

 

2,200

 

2,022

 
 

5.95%, (callable at 100 beginning 05/15/25) (e)

 

1,100

 

1,065

 
 

2.90%, 12/08/21 (b)

 

100

 

101

 
 

2.88%, 07/24/23

 

900

 

907

 
 

2.60%, (3M USD LIBOR + 1.02%), 06/01/24 (c)

 

600

 

600

 
 

4.08%, 04/23/29

 

1,200

 

1,265

 
 

2.98%, 11/05/30

 

5,800

 

5,613

 
 

Citizens Bank, National Association

     
 

3.75%, 02/18/26

 

600

 

612

 
 

CME Group Inc.

     
 

3.00%, 03/15/25

 

725

 

760

 
 

Cooperatieve Rabobank U.A.

     
 

6.63%, (callable at 100 beginning 06/29/21), EUR (d) (e)

 

1,800

 

1,889

 
 

3.75%, 07/21/26

 

1,000

 

952

 
 

Credit Agricole SA

     
 

3.75%, 04/24/23 (a)

 

250

 

255

 
 

2.38%, 01/22/25 (a) (f)

 

500

 

488

 
 

Credit Suisse (USA), Inc.

     
 

3.00%, 10/29/21

 

300

 

306

 

37


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Credit Suisse Group AG

     
 

5.10%, (callable at 100 beginning 01/24/30) (a) (e)

 

3,100

 

2,443

 
 

6.38%, (callable at 100 beginning 08/21/26) (a) (e)

 

1,100

 

968

 
 

7.25%, (callable at 100 beginning 09/12/25) (a) (e)

 

3,200

 

2,919

 
 

7.50%, (callable at 100 beginning 07/17/23) (a) (e)

 

5,700

 

5,351

 
 

6.50%, 08/08/23 (d)

 

300

 

304

 
 

6.50%, 08/08/23 (a)

 

200

 

203

 
 

2.59%, 09/11/25 (a)

 

1,700

 

1,625

 
 

3.87%, 01/12/29 (a)

 

700

 

708

 
 

Credit Suisse Group Funding (Guernsey) Ltd

     
 

3.80%, 09/15/22

 

900

 

923

 
 

3.75%, 03/26/25

 

800

 

806

 
 

4.55%, 04/17/26

 

700

 

739

 
 

Credit Suisse Holdings (USA), Inc.

     
 

2.10%, 11/12/21

 

600

 

597

 
 

DAE Funding LLC

     
 

5.75%, 11/15/23 (a)

 

1,100

 

1,020

 
 

Daimler Finance North America LLC

     
 

3.75%, 11/05/21 (a)

 

3,700

 

3,672

 
 

Danske Bank A/S

     
 

3.24%, 12/20/25 (a)

 

1,000

 

952

 
 

Deutsche Bank Aktiengesellschaft

     
 

6.00%, (callable at 100 beginning 10/30/25) (e)

 

1,400

 

928

 
 

2.82%, (3M USD LIBOR + 0.97%), 07/13/20 (c)

 

1,100

 

1,094

 
 

3.15%, 01/22/21

 

500

 

493

 
 

4.25%, 10/14/21

 

2,200

 

2,092

 
 

5.00%, 02/14/22

 

900

 

887

 
 

2.88%, (3M USD LIBOR + 1.19%), 11/16/22 (c)

 

500

 

490

 
 

3.30%, 11/16/22

 

300

 

295

 
 

Diamond Finance International Limited

     
 

4.42%, 06/15/21 (a)

 

1,400

 

1,406

 
 

5.45%, 06/15/23 (a)

 

7,825

 

8,109

 
 

6.02%, 06/15/26 (a)

 

2,800

 

2,955

 
 

Digital Realty Trust, L.P.

     
 

3.60%, 07/01/29

 

100

 

97

 
 

Digital Stout Holding, LLC

     
 

3.75%, 10/17/30, GBP (d)

 

300

 

382

 
 

Discover Bank

     
 

3.10%, 06/04/20

 

250

 

249

 
 

2.70%, 02/06/30 (b)

 

1,300

 

1,145

 
 

Discover Financial Services

     
 

4.10%, 02/09/27

 

400

 

380

 
 

E*Trade Financial Corporation

     
 

5.88%, (callable at 100 beginning 09/15/26) (e)

 

1,000

 

944

 
 

4.50%, 06/20/28

 

2,500

 

2,568

 
 

Emerald Bay SA

     
 

0.00%, 10/19/20, EUR (a) (h)

 

100

 

107

 
 

Fairfax Financial Holdings Limited

     
 

2.75%, 03/29/28, EUR (a)

 

600

 

647

 
 

Fairstone Financial Inc.

     
 

7.88%, 07/15/24 (a)

 

500

 

472

 
 

Fidelity National Financial, Inc.

     
 

5.50%, 09/01/22

 

300

 

312

 
 

First American Financial Corporation

     
 

4.30%, 02/01/23

 

650

 

686

 
 

4.60%, 11/15/24

 

200

 

210

 
 

Flagstar Bancorp, Inc.

     
 

6.13%, 07/15/21

 

800

 

812

 
 

FMR LLC

     
 

4.95%, 02/01/33 (a)

 

700

 

848

 
 

Ford Motor Credit Company LLC

     
 

5.88%, 08/02/21

 

300

 

294

 
 

5.60%, 01/07/22

 

1,700

 

1,653

 
 

2.84%, (3M USD LIBOR + 1.08%), 08/03/22 (c)

 

1,400

 

1,107

 
 

3.55%, 10/07/22

 

2,200

 

2,020

 
 

3.09%, 01/09/23

 

4,600

 

4,137

 
 

3.10%, 05/04/23

 

200

 

177

 
 

1.74%, 07/19/24, EUR

 

3,000

 

2,587

 
 

Freedom Mortgage Corporation

     
 

10.75%, 04/01/24 (a)

 

1,200

 

1,032

 
 

8.13%, 11/15/24 (a)

 

100

 

80

 
 

8.25%, 04/15/25 (a)

 

100

 

79

 
 

GE Capital International Funding Company Unlimited Company

     
 

4.42%, 11/15/35

 

800

 

863

 
 

General Motors Financial Company, Inc.

     
 

3.39%, (3M USD LIBOR + 1.55%), 01/14/22 (c)

 

200

 

177

 
 

2.68%, (3M USD LIBOR + 1.31%), 06/30/22 (c)

 

400

 

337

 
 

3.55%, 07/08/22

 

1,500

 

1,385

 
 

Glencore Funding LLC

     
 

4.13%, 03/12/24 (a)

 

1,000

 

935

 
 

Greene King Finance PLC

     
 

5.32%, 09/15/31, GBP (d) (i)

 

396

 

571

 
 

High Street Funding Trust I

     
 

4.11%, 02/15/28

 

100

 

103

 
 

HSBC Holdings PLC

     
 

4.75%, (callable at 100 beginning 07/04/29), EUR (d) (e)

 

800

 

756

 
 

5.88%, (callable at 100 beginning 09/28/26), GBP (e)

 

700

 

772

 
 

6.50%, (callable at 100 beginning 03/23/28) (e) (f)

 

400

 

373

 
 

6.88%, (callable at 100 beginning 06/01/21) (b) (e) (f)

 

600

 

598

 
 

3.60%, 05/25/23

 

800

 

820

 
 

2.63%, 11/07/25 (f)

 

1,200

 

1,181

 
 

4.30%, 03/08/26

 

725

 

774

 
 

3.90%, 05/25/26

 

600

 

635

 
 

2.16%, (3M USD LIBOR + 1.38%), 09/12/26 (c) (f)

 

500

 

422

 
 

4.04%, 03/13/28 (c)

 

200

 

203

 
 

3.00%, 07/22/28, GBP (f)

 

700

 

857

 
 

4.58%, 06/19/29 (f)

 

1,100

 

1,165

 
 

3.97%, 05/22/30 (b)

 

6,700

 

6,778

 
 

Imperial Brands Finance PLC

     
 

3.75%, 07/21/22 (a)

 

900

 

898

 
 

3.50%, 02/11/23 (a)

 

400

 

397

 
 

3.13%, 07/26/24 (a) (g)

 

500

 

488

 
 

3.50%, 07/26/26 (a) (g)

 

800

 

754

 
 

Industrial and Commercial Bank of China Limited - Abu Dhabi Branch

     
 

2.68%, (3M USD LIBOR + 0.75%), 12/21/21 (c) (d)

 

800

 

799

 
 

ING Groep N.V.

     
 

5.75%, (callable at 100 beginning 11/16/26) (e)

 

700

 

604

 
 

4.63%, 01/06/26 (a)

 

1,000

 

1,055

 
 

Intesa Sanpaolo S.p.A.

     
 

7.75%, (callable at 100 beginning 01/11/27), EUR (d) (e)

 

600

 

606

 
 

6.50%, 02/24/21 (a)

 

250

 

253

 
 

5.71%, 01/15/26 (a)

 

875

 

883

 
 

Itau Unibanco Holding S.A.

     
 

3.25%, 01/24/25 (a)

 

2,300

 

2,137

 
 

Jefferies Finance LLC

     
 

7.25%, 08/15/24 (a)

 

400

 

348

 
 

JPMorgan Chase & Co.

     
 

4.00%, (callable at 100 beginning 04/01/25) (e)

 

4,700

 

4,020

 
 

4.60%, (callable at 100 beginning 02/01/25) (b) (e)

 

1,200

 

1,057

 
 

5.24%, (3M USD LIBOR + 3.47%), (callable at 100 beginning 07/30/20) (c) (e)

 

537

 

480

 
 

3.56%, 04/23/24

 

235

 

244

 
 

3.22%, 03/01/25

 

1,380

 

1,430

 
 

2.30%, 10/15/25

 

2,800

 

2,792

 
 

3.30%, 04/01/26

 

1,700

 

1,784

 
 

3.78%, 02/01/28 (c)

 

7,000

 

7,489

 
 

2.74%, 10/15/30

 

11,100

 

11,117

 
 

Lazard Group LLC

     
 

3.75%, 02/13/25

 

300

 

287

 
 

4.50%, 09/19/28

 

1,200

 

1,191

 
 

4.38%, 03/11/29

 

400

 

404

 
 

LeasePlan Corporation N.V.

     
 

2.88%, 10/24/24 (a)

 

5,300

 

5,211

 
 

Legg Mason, Inc.

     
 

3.95%, 07/15/24

 

100

 

106

 
 

Level 3 Financing, Inc.

     
 

3.88%, 11/15/29 (a)

 

1,300

 

1,233

 

38


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Lloyds Banking Group PLC

     
 

7.63%, (callable at 100 beginning 06/27/23), GBP (d) (e) (f)

 

1,000

 

1,042

 
 

2.00%, (3M USD LIBOR + 0.80%), 06/21/21 (c)

 

400

 

381

 
 

4.05%, 08/16/23 (f)

 

1,600

 

1,650

 
 

4.45%, 05/08/25 (f)

 

800

 

854

 
 

4.58%, 12/10/25

 

400

 

408

 
 

2.44%, 02/05/26 (f)

 

600

 

568

 
 

Meiji Yasuda Life Insurance Company

     
 

5.10%, 04/26/48 (a)

 

200

 

211

 
 

Mitsubishi UFJ Financial Group Inc

     
 

2.65%, (3M USD LIBOR + 0.86%), 07/26/23 (c)

 

300

 

281

 
 

2.80%, 07/18/24

 

1,800

 

1,824

 
 

Mitsubishi UFJ Lease & Finance Company Limited

     
 

2.65%, 09/19/22 (a)

 

700

 

693

 
 

Mizuho Financial Group Inc

     
 

2.63%, 04/12/21 (a)

 

700

 

707

 
 

1.65%, (3M USD LIBOR + 0.88%), 09/11/22 (c)

 

800

 

755

 
 

1.62%, (3M USD LIBOR + 0.85%), 09/13/23 (c)

 

2,200

 

2,095

 
 

2.87%, 09/13/30

 

4,400

 

4,220

 
 

Moody's Corporation

     
 

4.50%, 09/01/22

 

200

 

205

 
 

4.88%, 02/15/24

 

290

 

308

 
 

Morgan Stanley

     
 

3.13%, 01/23/23

 

3,400

 

3,476

 
 

2.28%, (3M CIDOR + 0.30%), 02/03/23, CAD (c)

 

2,200

 

1,540

 
 

3.88%, 01/27/26

 

300

 

324

 
 

MUFG Americas Holdings Corporation

     
 

3.00%, 02/10/25

 

800

 

783

 
 

MUFG Union Bank, National Association

     
 

2.10%, 12/09/22

 

1,300

 

1,259

 
 

Multibank, Inc.

     
 

4.38%, 11/09/22 (a)

 

200

 

183

 
 

Muthoot Finance Limited

     
 

4.40%, 09/02/23 (a)

 

2,300

 

1,799

 
 

National Rural Utilities Cooperative Finance Corporation

     
 

2.40%, 03/15/30

 

1,600

 

1,504

 
 

Nationstar Mortgage Holdings Inc.

     
 

6.00%, 01/15/27 (a)

 

800

 

671

 
 

Nationwide Building Society

     
 

10.25%, GBP (e)

 

535

 

872

 
 

Nationwide Financial Services, Inc.

     
 

3.90%, 11/30/49 (a) (b)

 

500

 

440

 
 

NatWest Markets PLC

     
 

7.50%, (callable at 100 beginning 08/10/20) (e) (f)

 

1,200

 

1,100

 
 

Navient Corporation

     
 

5.88%, 03/25/21

 

100

 

99

 
 

6.50%, 06/15/22

 

200

 

194

 
 

New York Life Insurance Company

     
 

4.45%, 05/15/69 (a)

 

600

 

617

 
 

Nippon Life Insurance Company of America

     
 

3.40%, 01/23/50 (a)

 

1,300

 

1,250

 
 

Nomura Holdings, Inc.

     
 

2.65%, 01/16/25

 

1,200

 

1,175

 
 

3.10%, 01/16/30

 

1,300

 

1,223

 
 

Nordea Bank Abp

     
 

6.63%, (callable at 100 beginning 03/26/26) (a) (e)

 

300

 

272

 
 

Novatek Finance Designated Activity Company

     
 

4.42%, 12/13/22 (d)

 

500

 

499

 
 

NTT Finance Corporation

     
 

1.90%, 07/21/21 (d)

 

2,050

 

2,037

 
 

Nuveen Finance, LLC

     
 

4.13%, 11/01/24 (a)

 

500

 

490

 
 

Ohio National Financial Services, Inc.

     
 

5.55%, 01/24/30 (a)

 

3,100

 

3,066

 
 

Pacific National Finance Pty Ltd

     
 

4.63%, 09/23/20 (a)

 

600

 

608

 
 

Petrobras Global Finance B.V.

     
 

5.09%, 01/15/30 (a)

 

178

 

162

 
 

7.25%, 03/17/44

 

900

 

909

 
 

Phosagro Bond Funding Designated Activity Company

     
 

3.05%, 01/23/25 (a)

 

600

 

575

 
 

Principal Financial Group, Inc.

     
 

3.70%, 05/15/29

 

100

 

103

 
 

Protective Life Corporation

     
 

4.30%, 09/30/28 (a)

 

1,000

 

1,007

 
 

3.40%, 01/15/30 (a)

 

700

 

701

 
 

RBS Capital Trust II

     
 

6.43%, (callable at 100 beginning 01/03/34) (e)

 

400

 

502

 
 

Reinsurance Group of America, Incorporated

     
 

3.95%, 09/15/26

 

600

 

630

 
 

Rio Oil Finance Trust

     
 

9.25%, 07/06/24 (d) (i)

 

334

 

328

 
 

9.25%, 07/06/24 (a)

 

139

 

137

 
 

9.75%, 01/06/27 (a)

 

169

 

162

 
 

8.20%, 04/06/28 (a)

 

600

 

535

 
 

RKPF Overseas 2019 (B) Limited

     
 

6.70%, 09/30/24 (d)

 

300

 

269

 
 

Santander Holdings USA, Inc.

     
 

3.40%, 01/18/23

 

1,100

 

1,056

 
 

3.50%, 06/07/24

 

600

 

585

 
 

3.24%, 10/05/26 (b)

 

2,200

 

2,003

 
 

4.40%, 07/13/27

 

100

 

98

 
 

Santander UK Group Holdings PLC

     
 

7.38%, (callable at 100 beginning 06/24/22), GBP (d) (e)

 

295

 

300

 
 

4.80%, 11/15/24

 

532

 

545

 
 

4.75%, 09/15/25 (a)

 

600

 

595

 
 

Santander UK PLC

     
 

3.40%, 06/01/21 (f)

 

500

 

502

 
 

3.75%, 11/15/21 (f)

 

2,100

 

2,112

 
 

1.63%, 02/12/23 (a)

 

5,400

 

5,510

 
 

2.88%, 06/18/24

 

800

 

800

 
 

Sasol Financing USA LLC

     
 

5.88%, 03/27/24

 

1,000

 

420

 
 

6.50%, 09/27/28

 

200

 

82

 
 

SB Capital S.A.

     
 

6.13%, 02/07/22 (d)

 

1,500

 

1,550

 
 

5.13%, 10/29/22 (d)

 

3,100

 

3,073

 
 

5.25%, 05/23/23 (d)

 

200

 

198

 
 

SBL Holdings, LLC

     
 

5.13%, 11/13/26 (a)

 

700

 

645

 
 

Shriram Transport Finance Company Limited

     
 

5.95%, 10/24/22 (d)

 

900

 

668

 
 

5.10%, 07/16/23 (a)

 

1,900

 

1,329

 
 

SLM Corporation

     
 

7.25%, 01/25/22

 

100

 

99

 
 

5.13%, 04/05/22

 

400

 

345

 
 

SMBC Aviation Capital Finance Designated Activity Company

     
 

2.65%, 07/15/21 (a)

 

1,700

 

1,705

 
 

3.00%, 07/15/22 (a)

 

800

 

821

 
 

3.55%, 04/15/24 (a)

 

1,100

 

1,149

 
 

Societe Generale

     
 

3.00%, 01/22/30 (a) (f)

 

3,100

 

2,842

 
 

Springleaf Finance Corporation

     
 

8.25%, 12/15/20

 

100

 

100

 
 

7.75%, 10/01/21

 

800

 

800

 
 

Standard Chartered PLC

     
 

3.79%, 05/21/25 (a)

 

1,000

 

983

 
 

2.82%, 01/30/26 (a)

 

1,600

 

1,501

 
 

State Bank of India

     
 

3.25%, 01/24/22 (d)

 

700

 

693

 
 

State Street Corporation

     
 

5.63%, (callable at 100 beginning 12/15/23) (b) (e)

 

400

 

350

 
 

Stearns Holdings, LLC

     
 

5.00%, 11/05/24 (a)

 

13

 

8

 
 

Stichting AK Rabobank Certificaten II

     
 

0.00%, EUR (c) (d) (e) (i)

 

600

 

596

 
 

Sumitomo Mitsui Financial Group, Inc.

     
 

2.68%, (3M USD LIBOR + 1.68%), 03/09/21 (c)

 

1,200

 

1,186

 
 

2.96%, (3M USD LIBOR + 1.14%), 10/19/21 (c)

 

1,300

 

1,250

 
 

2.62%, (3M USD LIBOR + 0.78%), 07/12/22 (c)

 

500

 

501

 

39


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

3.04%, 07/16/29

 

4,300

 

4,281

 
 

Sydney Airport Finance Company Pty Limited

     
 

3.63%, 04/28/26 (a)

 

200

 

197

 
 

Synchrony Financial

     
 

4.38%, 03/19/24

 

400

 

394

 
 

4.25%, 08/15/24

 

100

 

99

 
 

3.95%, 12/01/27

 

2,900

 

2,624

 
 

Syngenta Finance N.V.

     
 

3.93%, 04/23/21 (a)

 

300

 

291

 
 

3.13%, 03/28/22

 

1,200

 

1,047

 
 

4.44%, 04/24/23 (a)

 

200

 

183

 
 

4.89%, 04/24/25 (a)

 

200

 

187

 
 

5.18%, 04/24/28 (a)

 

1,900

 

1,732

 
 

Synovus Bank

     
 

2.29%, 02/10/23

 

4,500

 

4,437

 
 

Tesco Property Finance 5 PLC

     
 

5.66%, 10/13/41, GBP (d)

 

588

 

907

 
 

The Bank of New York Mellon Corporation

     
 

2.80%, 05/04/26

 

1,800

 

1,849

 
 

The Blackstone Group Inc.

     
 

2.50%, 01/10/30 (a) (b)

 

5,700

 

5,412

 
 

5.00%, 06/15/44 (a)

 

300

 

325

 
 

The Charles Schwab Corporation

     
 

5.00%, (callable at 100 beginning 12/01/27) (b) (e)

 

500

 

468

 
 

The Depository Trust & Clearing Corporation

     
 

4.88%, (callable at 100 beginning 06/15/20) (a) (e)

 

250

 

244

 
 

The Goldman Sachs Group, Inc.

     
 

5.25%, 07/27/21

 

500

 

518

 
 

2.43%, (3M USD LIBOR + 0.75%), 02/23/23 (c)

 

600

 

566

 
 

3.50%, 01/23/25

 

600

 

615

 
 

3.75%, 02/25/26

 

1,000

 

1,042

 
 

3.69%, 06/05/28 (c)

 

400

 

413

 
 

4.22%, 05/01/29

 

2,400

 

2,543

 
 

2.60%, 02/07/30

 

1,000

 

938

 
 

The PNC Financial Services Group, Inc.

     
 

2.55%, 01/22/30 (b)

 

3,100

 

3,001

 
 

The Royal Bank of Scotland Group Public Limited Company

     
 

7.65%, (callable at 100 beginning 09/30/31) (e)

 

100

 

128

 
 

8.63%, (callable at 100 beginning 08/15/21) (e) (f)

 

5,799

 

5,654

 
 

2.00%, 03/08/23, EUR

 

200

 

217

 
 

6.00%, 12/19/23

 

1,000

 

1,069

 
 

2.77%, (3M USD LIBOR + 1.55%), 06/25/24 (b) (c)

 

1,801

 

1,625

 
 

4.52%, 06/25/24 (c) (f)

 

1,100

 

1,118

 
 

4.27%, 03/22/25 (f)

 

1,400

 

1,454

 
 

1.75%, 03/02/26, EUR (d)

 

600

 

622

 
 

5.08%, 01/27/30 (c) (f)

 

200

 

218

 
 

UBS AG

     
 

7.63%, 08/17/22

 

2,403

 

2,494

 
 

5.13%, 05/15/24 (d)

 

900

 

897

 
 

4.75%, 02/12/26, EUR (c) (d)

 

400

 

434

 
 

UBS Group AG

     
 

7.13%, (callable at 100 beginning 08/10/21) (d) (e) (f)

 

2,300

 

2,243

 
 

3.13%, 08/13/30 (a)

 

400

 

389

 
 

UBS Group Funding (Jersey) Limited

     
 

4.13%, 09/24/25 (a)

 

250

 

264

 
 

UBS Group Funding (Switzerland) AG

     
 

3.49%, 05/23/23 (a)

 

2,600

 

2,622

 
 

UniCredit S.p.A.

     
 

7.50%, (callable at 100 beginning 06/03/26), EUR (d) (e)

 

1,400

 

1,396

 
 

6.57%, 01/14/22 (a)

 

500

 

509

 
 

7.83%, 12/04/23 (a)

 

1,200

 

1,284

 
 

Virgin Media Secured Finance PLC

     
 

6.25%, 03/28/29, GBP (d)

 

90

 

111

 
 

4.25%, 01/15/30, GBP (a)

 

300

 

336

 
 

Virgin Money UK PLC

     
 

4.00%, 09/03/27, GBP (d)

 

900

 

1,037

 
 

Volkswagen Group of America, Inc.

     
 

2.06%, (3M USD LIBOR + 0.86%), 09/24/21 (a) (c)

 

900

 

899

 
 

2.65%, (3M USD LIBOR + 0.94%), 11/12/21 (a) (c)

 

500

 

500

 
 

Volkswagen Leasing Gesellschaft Mit Beschrankter Haftung

     
 

2.13%, 04/04/22, EUR (d)

 

700

 

774

 
 

Wand Merger Corporation

     
 

8.13%, 07/15/23 (a)

 

300

 

294

 
 

Wells Fargo & Company

     
 

2.63%, 07/22/22

 

300

 

303

 
 

2.91%, (3M USD LIBOR + 1.11%), 01/24/23 (c)

 

1,500

 

1,398

 
 

3.01%, (3M USD LIBOR + 1.23%), 10/31/23 (c)

 

1,400

 

1,361

 
 

3.30%, 09/09/24 (b)

 

950

 

991

 
 

3.55%, 09/29/25

 

900

 

948

 
 

2.41%, 10/30/25

 

2,700

 

2,657

 
 

2.16%, 02/11/26

 

6,600

 

6,436

 
 

3.20%, 06/17/27

 

800

 

828

 
 

3.58%, 05/22/28 (c)

 

4,800

 

4,982

 
 

Wells Fargo Bank, National Association

     
 

2.26%, (3M USD LIBOR + 0.62%), 05/27/22 (c)

 

250

 

245

 
 

2.90%, 05/27/22

 

350

 

352

 
 

3.55%, 08/14/23

 

1,000

 

1,048

 
 

Willis North America Inc.

     
 

2.95%, 09/15/29

 

5,500

 

5,412

 
 

Woodside Finance Limited

     
 

4.60%, 05/10/21 (a)

 

600

 

602

 
 

3.65%, 03/05/25 (a)

 

600

 

575

 
 

4.50%, 03/04/29 (a)

 

2,000

 

1,794

 
 

XLIT Ltd

     
 

4.45%, 03/31/25

 

400

 

413

 
 

401,125

 

Energy 5.7%

 

Aker BP ASA

     
 

3.75%, 01/15/30 (a)

 

2,200

 

1,630

 
 

APT Pipelines Limited

     
 

4.20%, 03/23/25 (a)

 

500

 

537

 
 

Azure Power Solar Energy Private Limited

     
 

5.65%, 12/24/24 (a)

 

600

 

510

 
 

BP Capital Markets America Inc.

     
 

3.59%, 04/14/27

 

1,500

 

1,531

 
 

4.23%, 11/06/28 (b)

 

2,800

 

3,028

 
 

Cameron LNG, LLC

     
 

3.40%, 01/15/38 (a)

 

1,300

 

1,068

 
 

Cenovus Energy Inc.

     
 

4.25%, 04/15/27 (b)

 

1,100

 

539

 
 

Cheniere Corpus Christi Holdings, LLC

     
 

7.00%, 06/30/24

 

650

 

570

 
 

5.13%, 06/30/27

 

6,100

 

5,460

 
 

3.70%, 11/15/29 (a)

 

800

 

626

 
 

Cnooc Curtis Funding No.1 Pty Ltd

     
 

4.50%, 10/03/23 (d)

 

1,100

 

1,175

 
 

CNOOC Limited

     
 

3.00%, 05/09/23

 

600

 

612

 
 

Continental Resources, Inc.

     
 

3.80%, 06/01/24 (b)

 

500

 

253

 
 

El Paso LLC

     
 

6.50%, 09/15/20

 

200

 

201

 
 

Enable Midstream Partners, LP

     
 

4.40%, 03/15/27

 

800

 

448

 
 

4.95%, 05/15/28 (b)

 

500

 

248

 
 

5.00%, 05/15/44 (i)

 

645

 

262

 
 

Enbridge Inc.

     
 

2.19%, (3M USD LIBOR + 0.50%), 02/18/22 (c)

 

3,300

 

3,300

 
 

Endeavor Energy Resources, L.P.

     
 

5.75%, 01/30/28 (a)

 

500

 

338

 
 

Energy Transfer LP

     
 

4.25%, 03/15/23

 

200

 

180

 
 

4.20%, 04/15/27

 

1,200

 

992

 
 

5.50%, 06/01/27

 

2,472

 

2,166

 
 

3.75%, 05/15/30

 

1,000

 

782

 
 

4.90%, 03/15/35

 

554

 

423

 
 

7.50%, 07/01/38

 

200

 

187

 
 

6.05%, 06/01/41

 

1,300

 

1,127

 
 

6.50%, 02/01/42

 

100

 

90

 
 

Energy Transfer Operating, L.P.

     
 

6.25%, 04/15/49

 

600

 

508

 

40


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Enterprise Products Operating LLC

     
 

3.90%, 02/15/24

 

100

 

102

 
 

3.75%, 02/15/25 (b)

 

400

 

398

 
 

2.80%, 01/31/30 (b)

 

2,800

 

2,541

 
 

4.88%, 08/16/77 (c)

 

500

 

342

 
 

EQM Midstream Partners, LP

     
 

4.00%, 08/01/24

 

500

 

350

 
 

4.13%, 12/01/26

 

100

 

58

 
 

EQT Corporation

     
 

6.13%, 02/01/25 (g)

 

2,900

 

2,189

 
 

3.90%, 10/01/27

 

300

 

202

 
 

Gaz Capital S.A.

     
 

6.51%, 03/07/22 (d)

 

500

 

520

 
 

3.13%, 11/17/23, EUR (a)

 

400

 

447

 
 

2.95%, 01/24/24, EUR (d)

 

1,600

 

1,789

 
 

2.25%, 11/22/24, EUR (d)

 

200

 

220

 
 

4.95%, 03/23/27 (d)

 

600

 

628

 
 

Gaz Finance PLC

     
 

3.25%, 02/25/30 (a)

 

1,800

 

1,674

 
 

GPN Capital S.A.

     
 

4.38%, 09/19/22 (d)

 

300

 

299

 
 

Greenko Dutch B.V.

     
 

4.88%, 07/24/22 (d)

 

300

 

264

 
 

5.25%, 07/24/24 (d)

 

400

 

323

 
 

5.25%, 07/24/24 (a)

 

200

 

161

 
 

Halliburton Company

     
 

2.92%, 03/01/30 (b)

 

800

 

621

 
 

Hess Corporation

     
 

7.30%, 08/15/31

 

65

 

50

 
 

Kinder Morgan, Inc.

     
 

3.11%, (3M USD LIBOR + 1.28%), 01/15/23 (c)

 

1,300

 

1,192

 
 

Midwest Connector Capital Company LLC

     
 

3.63%, 04/01/22 (a)

 

400

 

384

 
 

MPLX LP

     
 

5.25%, 01/15/25 (a)

 

600

 

577

 
 

4.50%, 04/15/38

 

200

 

155

 
 

5.20%, 12/01/47 (a)

 

1,638

 

1,314

 
 

4.90%, 04/15/58

 

300

 

211

 
 

NGPL PipeCo LLC

     
 

4.38%, 08/15/22 (a) (b)

 

325

 

313

 
 

Occidental Petroleum Corporation

     
 

6.95%, 07/01/24

 

300

 

172

 
 

4.40%, 08/15/49 (b)

 

600

 

259

 
 

Ocyan S/A

     
 

0.00%, (callable at 100 beginning 05/11/20) (a) (e) (h)

 

90

 

1

 
 

Odebrecht Offshore Drilling Finance Ltd.

     
 

6.35%, 12/01/21 (a)

 

32

 

26

 
 

6.72%, 12/01/22 (d)

 

30

 

24

 
 

7.35%, 12/01/26 (a) (j)

 

136

 

42

 
 

7.72%, 12/01/26 (d) (j)

 

148

 

15

 
 

ONEOK Partners, L.P.

     
 

4.90%, 03/15/25

 

1,000

 

869

 
 

6.85%, 10/15/37

 

200

 

181

 
 

ONEOK, Inc.

     
 

4.00%, 07/13/27

 

300

 

250

 
 

4.35%, 03/15/29

 

2,500

 

2,050

 
 

Parsley Energy, LLC

     
 

5.63%, 10/15/27 (a)

 

100

 

71

 
 

4.13%, 02/15/28 (a) (b)

 

2,400

 

1,635

 
 

Petroleos Mexicanos

     
 

6.50%, 03/13/27 (b)

 

2,900

 

2,146

 
 

6.84%, 01/23/30 (a)

 

2,500

 

1,800

 
 

5.95%, 01/28/31 (a)

 

1,300

 

895

 
 

Pioneer Natural Resources Company

     
 

3.45%, 01/15/21

 

1,400

 

1,350

 
 

4.45%, 01/15/26 (b)

 

400

 

395

 
 

Plains All American Pipeline, L.P.

     
 

2.85%, 01/31/23

 

200

 

173

 
 

3.60%, 11/01/24

 

100

 

77

 
 

5.15%, 06/01/42

 

200

 

136

 
 

Ras Laffan Liquefied Natural Gas Company Limited

     
 

5.84%, 09/30/27 (a)

 

250

 

267

 
 

Regency Energy Partners LP

     
 

5.88%, 03/01/22

 

1,000

 

948

 
 

5.00%, 10/01/22

 

100

 

91

 
 

Rockies Express Pipeline LLC

     
 

4.80%, 05/15/30 (a)

 

2,200

 

1,301

 
 

Sabine Pass Liquefaction, LLC

     
 

5.63%, 02/01/21 (i)

 

100

 

98

 
 

6.25%, 03/15/22

 

300

 

295

 
 

5.63%, 04/15/23

 

800

 

744

 
 

5.75%, 05/15/24

 

1,510

 

1,415

 
 

5.88%, 06/30/26

 

1,200

 

1,143

 
 

Tennessee Gas Pipeline Company, L.L.C.

     
 

2.90%, 03/01/30 (a)

 

2,000

 

1,676

 
 

Terraform Power Operating, LLC

     
 

4.25%, 01/31/23 (a)

 

100

 

99

 
 

TransCanada PipeLines Limited

     
 

4.63%, 03/01/34

 

800

 

759

 
 

TransCanada Trust

     
 

5.30%, 03/15/77 (b) (c)

 

875

 

655

 
 

Transcontinental Gas Pipe Line Company, LLC

     
 

4.00%, 03/15/28

 

800

 

739

 
 

4.60%, 03/15/48

 

990

 

1,022

 
 

Transocean Guardian Limited

     
 

5.88%, 01/15/24 (a)

 

334

 

268

 
 

Transocean Ltd.

     
 

5.38%, 05/15/23 (a) (b)

 

200

 

168

 
 

Transocean Pontus Limited

     
 

6.13%, 08/01/25 (a)

 

84

 

66

 
 

Western Midstream Operating, LP

     
 

4.05%, 02/01/30 (g)

 

1,600

 

676

 
 

WPX Energy, Inc.

     
 

5.75%, 06/01/26 (b)

 

100

 

58

 
 

4.50%, 01/15/30

 

1,300

 

705

 
 

71,875

 

Real Estate 5.7%

 

Alexandria Real Estate Equities, Inc.

     
 

4.00%, 01/15/24

 

300

 

313

 
 

4.50%, 07/30/29

 

500

 

527

 
 

2.75%, 12/15/29 (b)

 

2,600

 

2,404

 
 

American Campus Communities Operating Partnership LP

     
 

3.75%, 04/15/23

 

1,050

 

1,062

 
 

2.85%, 02/01/30

 

1,600

 

1,490

 
 

American Homes 4 Rent, L.P.

     
 

4.25%, 02/15/28

 

1,200

 

1,189

 
 

American Tower Corporation

     
 

3.45%, 09/15/21

 

200

 

201

 
 

3.50%, 01/31/23

 

750

 

755

 
 

3.00%, 06/15/23

 

600

 

599

 
 

2.95%, 01/15/25

 

1,700

 

1,688

 
 

4.00%, 06/01/25

 

1,000

 

1,041

 
 

2.75%, 01/15/27

 

1,900

 

1,831

 
 

3.13%, 01/15/27

 

400

 

398

 
 

3.80%, 08/15/29 (b)

 

700

 

713

 
 

2.90%, 01/15/30

 

3,800

 

3,693

 
 

Brixmor Operating Partnership LP

     
 

3.25%, 09/15/23

 

200

 

200

 
 

3.90%, 03/15/27

 

700

 

686

 
 

CBL & Associates Limited Partnership

     
 

5.95%, 12/15/26 (b)

 

1,600

 

299

 
 

China Evergrande Group

     
 

6.25%, 06/28/21 (d)

 

1,000

 

863

 
 

Columbia Property Trust Operating Partnership, L.P.

     
 

3.65%, 08/15/26

 

700

 

750

 
 

Crown Castle International Corp.

     
 

4.88%, 04/15/22

 

300

 

311

 
 

5.25%, 01/15/23

 

400

 

428

 
 

3.15%, 07/15/23

 

3,000

 

2,992

 
 

3.80%, 02/15/28 (b)

 

900

 

898

 
 

4.30%, 02/15/29 (b)

 

1,800

 

1,876

 
 

4.00%, 11/15/49

 

1,501

 

1,403

 
 

Duke Realty Limited Partnership

     
 

3.05%, 03/01/50

 

1,600

 

1,291

 
 

EPR Properties

     
 

4.50%, 04/01/25 - 06/01/27

 

1,900

 

1,718

 
 

4.75%, 12/15/26

 

200

 

190

 

41


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

4.95%, 04/15/28

 

1,100

 

1,005

 
 

3.75%, 08/15/29

 

200

 

163

 
 

Equinix, Inc.

     
 

2.63%, 11/18/24

 

600

 

565

 
 

Essex Portfolio, L.P.

     
 

3.50%, 04/01/25

 

900

 

888

 
 

2.65%, 03/15/32

 

1,200

 

1,069

 
 

Fideicomiso Fibra Uno

     
 

6.95%, 01/30/44 (a)

 

1,000

 

969

 
 

Highwoods Realty Limited Partnership

     
 

3.05%, 02/15/30

 

400

 

361

 
 

Host Hotels & Resorts, L.P.

     
 

3.88%, 04/01/24

 

200

 

187

 
 

4.00%, 06/15/25

 

300

 

277

 
 

4.50%, 02/01/26

 

100

 

88

 
 

Kaisa Group Holdings Ltd.

     
 

7.25%, 06/30/20 (d)

 

300

 

294

 
 

7.88%, 06/30/21 (d)

 

200

 

178

 
 

8.50%, 06/30/22 (d)

 

300

 

245

 
 

Kilroy Realty, L.P.

     
 

4.38%, 10/01/25

 

300

 

304

 
 

3.05%, 02/15/30

 

6,000

 

5,493

 
 

Kimco Realty Corporation

     
 

2.80%, 10/01/26

 

700

 

694

 
 

Mack Cali Realty LP

     
 

4.50%, 04/18/22

 

500

 

457

 
 

Mid-America Apartments, L.P.

     
 

4.30%, 10/15/23

 

50

 

51

 
 

3.75%, 06/15/24

 

100

 

102

 
 

3.95%, 03/15/29

 

600

 

611

 
 

Mitsui Fudosan Co., Ltd.

     
 

3.65%, 07/20/27 (a) (b)

 

900

 

950

 
 

New Metro Global Limited

     
 

6.50%, 04/23/21 (d)

 

1,300

 

1,243

 
 

Newmark Group, Inc.

     
 

6.13%, 11/15/23 (g)

 

700

 

708

 
 

Omega Healthcare Investors, Inc.

     
 

4.38%, 08/01/23

 

800

 

786

 
 

Physicians Realty L.P.

     
 

4.30%, 03/15/27

 

995

 

1,011

 
 

3.95%, 01/15/28

 

200

 

187

 
 

ProLogis, L.P.

     
 

2.25%, 04/15/30

 

800

 

741

 
 

Reckson Operating Partnership, L.P.

     
 

4.50%, 12/01/22

 

100

 

104

 
 

Regency Centers, L.P.

     
 

2.95%, 09/15/29

 

300

 

278

 
 

Ronshine China Holdings Limited

     
 

11.25%, 08/22/21 (d)

 

500

 

492

 
 

8.75%, 10/25/22 (d)

 

800

 

749

 
 

Sabra Health Care Limited Partnership

     
 

4.80%, 06/01/24

 

1,000

 

951

 
 

SBA Communications Corporation

     
 

3.88%, 02/15/27 (a)

 

1,500

 

1,505

 
 

Seazen Group Limited

     
 

7.50%, 01/22/21 (d)

 

2,000

 

1,940

 
 

Select Income REIT

     
 

4.25%, 05/15/24

 

100

 

96

 
 

Service Properties Trust

     
 

4.50%, 06/15/23

 

200

 

151

 
 

4.95%, 02/15/27

 

300

 

234

 
 

SL Green Operating Partnership, L.P.

     
 

3.25%, 10/15/22

 

500

 

508

 
 

Spirit Realty, L.P.

     
 

4.45%, 09/15/26

 

200

 

195

 
 

4.00%, 07/15/29

 

500

 

470

 
 

Store Capital Corporation

     
 

4.63%, 03/15/29

 

200

 

202

 
 

Sunac China Holdings Limited

     
 

8.63%, 07/27/20 (d)

 

300

 

298

 
 

6.88%, 08/08/20 (d)

 

200

 

198

 
 

8.38%, 01/15/21 (d)

 

700

 

693

 
 

7.88%, 02/15/22 (d)

 

900

 

873

 
 

7.25%, 06/14/22 (d)

 

700

 

655

 
 

Times China Holdings Limited

     
 

7.63%, 02/21/22 (d)

 

400

 

384

 
 

UDR, Inc.

     
 

4.00%, 10/01/25

 

350

 

361

 
 

Vanke Real Estate (Hong Kong) Company Limited

     
 

4.20%, 06/07/24 (d)

 

800

 

833

 
 

Ventas Realty, Limited Partnership

     
 

4.40%, 01/15/29

 

900

 

917

 
 

Vereit Operating Partnership, L.P.

     
 

3.95%, 08/15/27

 

400

 

378

 
 

3.10%, 12/15/29

 

700

 

617

 
 

W.P. Carey Inc.

     
 

4.00%, 02/01/25

 

1,000

 

1,013

 
 

4.25%, 10/01/26

 

700

 

719

 
 

Washington Prime Group, L.P.

     
 

6.45%, 08/15/24 (b)

 

1,300

 

761

 
 

Weyerhaeuser Company

     
 

4.63%, 09/15/23

 

500

 

525

 
 

8.50%, 01/15/25

 

500

 

614

 
 

7.38%, 03/15/32

 

1,600

 

1,959

 
 

71,109

 

Communication Services 5.4%

 

21Vianet Group, Inc.

     
 

7.88%, 10/15/21 (d)

 

500

 

420

 
 

Activision Blizzard, Inc.

     
 

3.40%, 09/15/26

 

900

 

948

 
 

Altice Financing S.A.

     
 

2.25%, 01/15/25, EUR (a)

 

300

 

294

 
 

AT&T Inc.

     
 

3.95%, 01/15/25 (b)

 

100

 

105

 
 

4.10%, 02/15/28

 

1,520

 

1,594

 
 

4.80%, 06/15/44

 

200

 

223

 
 

4.35%, 06/15/45

 

100

 

105

 
 

4.75%, 05/15/46

 

4,900

 

5,450

 
 

5.15%, 11/15/46

 

2,200

 

2,566

 
 

5.45%, 03/01/47

 

1,400

 

1,685

 
 

4.50%, 03/09/48

 

600

 

652

 
 

4.55%, 03/09/49

 

700

 

754

 
 

Baidu, Inc.

     
 

3.00%, 06/30/20

 

400

 

401

 
 

4.38%, 05/14/24

 

200

 

210

 
 

4.88%, 11/14/28

 

1,100

 

1,230

 
 

CC Holdings GS V LLC

     
 

3.85%, 04/15/23

 

200

 

201

 
 

CCO Holdings, LLC

     
 

4.50%, 08/15/30 (a)

 

4,800

 

4,708

 
 

CenturyLink, Inc.

     
 

4.00%, 02/15/27 (a)

 

2,900

 

2,813

 
 

Charter Communications Operating, LLC

     
 

4.50%, 02/01/24

 

1,500

 

1,550

 
 

3.75%, 02/15/28

 

300

 

301

 
 

5.05%, 03/30/29

 

100

 

108

 
 

5.38%, 05/01/47

 

400

 

432

 
 

5.75%, 04/01/48

 

300

 

343

 
 

4.80%, 03/01/50

 

2,000

 

2,087

 
 

Comcast Corporation

     
 

3.15%, 03/01/26

 

200

 

210

 
 

2.35%, 01/15/27

 

200

 

199

 
 

3.30%, 02/01/27

 

400

 

420

 
 

4.15%, 10/15/28

 

1,700

 

1,912

 
 

2.65%, 02/01/30 (b)

 

2,000

 

2,020

 
 

4.50%, 01/15/43

 

500

 

598

 
 

4.60%, 08/15/45

 

400

 

488

 
 

3.40%, 07/15/46 (b)

 

1,200

 

1,316

 
 

4.70%, 10/15/48 (b)

 

4,500

 

5,756

 
 

4.00%, 11/01/49

 

300

 

351

 
 

Cox Communications, Inc.

     
 

3.15%, 08/15/24 (a)

 

800

 

818

 
 

Crown Communication Inc.

     
 

4.24%, 07/15/28

 

100

 

102

 
 

Deutsche Telekom AG

     
 

3.63%, 01/21/50 (a)

 

500

 

493

 
 

Diamond Sports Group, LLC

     
 

5.38%, 08/15/26 (a)

 

600

 

487

 

42


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Discovery Communications, LLC

     
 

3.45%, 03/15/25

 

100

 

96

 
 

4.13%, 05/15/29

 

700

 

673

 
 

DISH DBS Corporation

     
 

6.75%, 06/01/21

 

1,000

 

1,014

 
 

Globo Comunicacao e Participacoes S.A.

     
 

4.88%, 01/22/30 (a)

 

2,000

 

1,747

 
 

MTN (Mauritius) Investments Limited

     
 

4.76%, 11/11/24 (a)

 

200

 

180

 
 

Netflix, Inc.

     
 

3.88%, 11/15/29, EUR (a)

 

400

 

429

 
 

OI S.A. - In Judicial Reorganization

     
 

10.00%, 07/27/25 (b) (j)

 

400

 

273

 
 

RELX Capital Inc.

     
 

3.50%, 03/16/23

 

200

 

208

 
 

Rogers Communications Inc.

     
 

3.70%, 11/15/49

 

300

 

311

 
 

Spectrum Management Holding Company, LLC

     
 

4.13%, 02/15/21

 

1,000

 

1,003

 
 

6.75%, 06/15/39

 

1,200

 

1,363

 
 

4.50%, 09/15/42

 

300

 

283

 
 

Sprint Corporation

     
 

7.25%, 09/15/21

 

1,600

 

1,650

 
 

7.88%, 09/15/23

 

2,700

 

2,970

 
 

7.13%, 06/15/24

 

200

 

219

 
 

Sprint Spectrum Co LLC

     
 

3.36%, 09/20/21 (a)

 

563

 

560

 
 

TEGNA Inc.

     
 

4.63%, 03/15/28 (a)

 

1,100

 

975

 
 

Tencent Holdings Limited

     
 

3.98%, 04/11/29 (a)

 

2,100

 

2,327

 
 

The Walt Disney Company

     
 

2.00%, 09/01/29

 

3,200

 

3,113

 
 

Time Warner Cable Enterprises LLC

     
 

8.38%, 07/15/33

 

100

 

132

 
 

Univision Communications Inc.

     
 

5.13%, 02/15/25 (a)

 

900

 

767

 
 

Verizon Communications Inc.

     
 

4.13%, 03/16/27

 

300

 

335

 
 

Vodafone Group Public Limited Company

     
 

4.38%, 05/30/28

 

200

 

209

 
 

7.00%, 04/04/79

 

200

 

214

 
 

Zayo Group Holdings, Inc.

     
 

6.13%, 03/01/28 (a)

 

2,600

 

2,471

 
 

67,872

 

Industrials 4.5%

 

3M Company

     
 

3.25%, 08/26/49

 

1,800

 

1,897

 
 

A.P. Moller - Maersk A/S

     
 

3.88%, 09/28/25 (a)

 

800

 

709

 
 

Adani Ports and Special Economic Zone Limited

     
 

3.38%, 07/24/24 (a)

 

900

 

739

 
 

Aircastle Limited

     
 

4.40%, 09/25/23

 

600

 

575

 
 

Allegion Public Limited Company

     
 

3.50%, 10/01/29

 

2,100

 

2,034

 
 

Allegion US Holding Company Inc.

     
 

3.20%, 10/01/24

 

400

 

350

 
 

3.55%, 10/01/27

 

100

 

98

 
 

Ashtead Capital, Inc.

     
 

4.00%, 05/01/28 (a)

 

400

 

363

 
 

Aviation Capital Group LLC

     
 

7.13%, 10/15/20 (a)

 

750

 

740

 
 

2.44%, (3M USD LIBOR + 0.67%), 07/30/21 (a) (c)

 

200

 

192

 
 

2.88%, 01/20/22 (a)

 

300

 

276

 
 

3.88%, 05/01/23 (a)

 

700

 

629

 
 

4.38%, 01/30/24 (a)

 

200

 

177

 
 

3.50%, 11/01/27 (a)

 

1,532

 

1,168

 
 

Beacon Roofing Supply, Inc.

     
 

4.88%, 11/01/25 (a)

 

200

 

181

 
 

BOC Aviation Limited

     
 

2.75%, 09/18/22 (a)

 

400

 

406

 
 

3.50%, 10/10/24 (a)

 

2,300

 

2,410

 
 

Bombardier Inc.

     
 

5.75%, 03/15/22 (a) (b)

 

200

 

151

 
 

6.00%, 10/15/22 (a)

 

600

 

450

 
 

Builders FirstSource, Inc.

     
 

5.00%, 03/01/30 (a)

 

500

 

456

 
 

Carrier Global Corporation

     
 

2.24%, 02/15/25 (a)

 

2,000

 

1,946

 
 

Delhi International Airport Private Limited

     
 

6.13%, 10/31/26 (a)

 

300

 

259

 
 

DP World Crescent Limited

     
 

4.85%, 09/26/28 (a)

 

1,500

 

1,361

 
 

FedEx Corporation

     
 

3.10%, 08/05/29 (b)

 

400

 

391

 
 

Fortress Transportation And Infrastructure Investors LLC

     
 

6.50%, 10/01/25 (a)

 

600

 

440

 
 

Fortune Brands Home & Security, Inc.

     
 

4.00%, 09/21/23

 

200

 

201

 
 

3.25%, 09/15/29

 

800

 

741

 
 

GATX Corporation

     
 

3.50%, 03/15/28

 

500

 

494

 
 

General Electric Capital Corporation

     
 

5.55%, 01/05/26

 

1,800

 

1,934

 
 

General Electric Company

     
 

5.00%, (callable at 100 beginning 01/21/21) (b) (e)

 

2,300

 

1,903

 
 

0.38%, 05/17/22, EUR

 

1,200

 

1,264

 
 

GMR Hyderabad International Airport Limited

     
 

5.38%, 04/10/24 (d)

 

600

 

506

 
 

Indian Railway Finance Corporation Limited

     
 

3.25%, 02/13/30 (a)

 

2,700

 

2,458

 
 

International Lease Finance Corporation

     
 

8.25%, 12/15/20

 

600

 

582

 
 

8.63%, 01/15/22

 

200

 

192

 
 

Kansas City Southern

     
 

3.00%, 05/15/23

 

200

 

200

 
 

3.13%, 06/01/26

 

500

 

500

 
 

L3Harris Technologies, Inc.

     
 

2.25%, (3M USD LIBOR + 0.48%), 04/30/20 (c)

 

300

 

300

 
 

Masco Corporation

     
 

5.95%, 03/15/22

 

650

 

662

 
 

Massachusetts Institute of Technology

     
 

4.68%, 07/01/14

 

200

 

281

 
 

Norfolk Southern Corporation

     
 

4.15%, 02/28/48

 

400

 

432

 
 

Otis Worldwide Corporation

     
 

2.06%, 04/05/25 (a)

 

2,500

 

2,445

 
 

Owens Corning

     
 

4.20%, 12/01/24

 

200

 

193

 
 

3.40%, 08/15/26

 

800

 

763

 
 

Park Aerospace Holdings Limited

     
 

5.25%, 08/15/22 (a)

 

2,773

 

2,449

 
 

4.50%, 03/15/23 (a)

 

900

 

750

 
 

Penske Truck Leasing Co., L.P.

     
 

3.40%, 11/15/26 (a)

 

1,000

 

990

 
 

Prime Security Services Borrower, LLC

     
 

6.25%, 01/15/28 (a)

 

3,100

 

2,676

 
 

Reynolds Group Holdings Inc.

     
 

5.33%, (3M USD LIBOR + 3.50%), 07/15/21 (a) (c)

 

200

 

195

 
 

Spirit AeroSystems, Inc.

     
 

3.95%, 06/15/23

 

1,000

 

869

 
 

4.60%, 06/15/28 (b)

 

3,300

 

2,838

 
 

Standard Industries Inc.

     
 

5.00%, 02/15/27 (a)

 

200

 

181

 
 

4.75%, 01/15/28 (a) (b)

 

2,100

 

1,934

 
 

Textron Inc.

     
 

2.28%, (3M USD LIBOR + 0.55%), 11/10/20 (c)

 

700

 

700

 
 

3.38%, 03/01/28

 

3,000

 

2,840

 
 

The ADT Security Corporation

     
 

3.50%, 07/15/22 (b)

 

100

 

97

 
 

The Boeing Company

     
 

2.95%, 02/01/30 (b)

 

300

 

278

 
 

Triumph Group, Inc.

     
 

6.25%, 09/15/24 (a)

 

300

 

267

 

43


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Union Pacific Corporation

     
 

3.95%, 08/15/59

 

300

 

314

 
 

3.75%, 02/05/70

 

300

 

307

 
 

Verisk Analytics, Inc.

     
 

4.13%, 09/12/22 - 03/15/29

 

500

 

522

 
 

ZLS Prestigia Ltd

     
 

3.63%, 05/01/24

 

1,100

 

1,076

 
 

4.75%, 08/01/28

 

400

 

419

 
 

4.25%, 05/01/29

 

2,100

 

2,218

 
 

56,369

 

Consumer Discretionary 4.2%

 

Alibaba Group Holding Limited

     
 

3.60%, 11/28/24

 

300

 

316

 
 

Amazon.com, Inc.

     
 

3.80%, 12/05/24

 

100

 

111

 
 

5.20%, 12/03/25

 

100

 

119

 
 

3.15%, 08/22/27

 

300

 

328

 
 

Aptiv PLC

     
 

4.35%, 03/15/29

 

800

 

752

 
 

Bacardi Limited

     
 

4.45%, 05/15/25 (a)

 

2,100

 

2,196

 
 

2.75%, 07/15/26 (a)

 

300

 

316

 
 

D.R. Horton, Inc.

     
 

4.38%, 09/15/22

 

200

 

204

 
 

eBay Inc.

     
 

2.60%, 07/15/22

 

1,799

 

1,803

 
 

Expedia Group, Inc.

     
 

3.80%, 02/15/28

 

500

 

440

 
 

GLP Financing, LLC

     
 

3.35%, 09/01/24

 

400

 

354

 
 

5.25%, 06/01/25

 

400

 

366

 
 

5.75%, 06/01/28

 

300

 

261

 
 

5.30%, 01/15/29

 

700

 

581

 
 

Hilton Worldwide Holdings Inc.

     
 

4.88%, 04/01/27

 

400

 

380

 
 

Hyundai Capital America

     
 

1.69%, (3M USD LIBOR + 0.80%), 09/18/20 (a) (c)

 

800

 

801

 
 

IHOL Verwaltungs GmbH

     
 

3.88%, 05/15/27, EUR (a) (j)

 

400

 

331

 
 

6.38%, 05/15/29 (a) (j)

 

100

 

78

 
 

JD.com, Inc.

     
 

3.38%, 01/14/30

 

2,200

 

2,191

 
 

Las Vegas Sands Corp.

     
 

3.20%, 08/08/24

 

5,400

 

4,859

 
 

2.90%, 06/25/25 (b)

 

200

 

174

 
 

3.50%, 08/18/26

 

800

 

691

 
 

McDonald's Corporation

     
 

3.63%, 09/01/49

 

400

 

401

 
 

MCE Finance Limited

     
 

4.88%, 06/06/25 (a)

 

800

 

736

 
 

5.25%, 04/26/26 (a)

 

500

 

448

 
 

5.63%, 07/17/27 (a)

 

200

 

180

 
 

5.38%, 12/04/29 (a) (b)

 

4,300

 

3,655

 
 

MGM China Holdings Limited

     
 

5.88%, 05/15/26 (a)

 

1,500

 

1,246

 
 

MGM Resorts International

     
 

5.50%, 04/15/27

 

66

 

60

 
 

Newell Brands Inc.

     
 

3.85%, 04/01/23 (g)

 

1,300

 

1,321

 
 

Nissan Motor Acceptance Corporation

     
 

1.90%, 09/14/21 (a)

 

1,900

 

1,819

 
 

2.65%, 07/13/22 (a)

 

2,705

 

2,596

 
 

2.60%, 09/28/22 (a) (b)

 

2,050

 

1,951

 
 

Prosus N.V.

     
 

3.68%, 01/21/30 (a)

 

1,100

 

946

 
 

QVC, Inc.

     
 

5.13%, 07/02/22

 

200

 

166

 
 

4.38%, 03/15/23

 

900

 

861

 
 

4.85%, 04/01/24 (b)

 

200

 

173

 
 

4.45%, 02/15/25

 

500

 

427

 
 

Restaurant Brands International Limited Partnership

     
 

4.25%, 05/15/24 (a)

 

200

 

201

 
 

Sands China Ltd.

     
 

4.60%, 08/08/23 (g)

 

3,800

 

3,878

 
 

5.13%, 08/08/25 (g)

 

5,000

 

4,703

 
 

5.40%, 08/08/28 (g)

 

700

 

652

 
 

Schaeffler Finance B.V.

     
 

3.25%, 05/15/25, EUR (d)

 

100

 

104

 
 

SES S.A.

     
 

3.60%, 04/04/23 (a)

 

2,007

 

1,987

 
 

Station Casinos LLC

     
 

4.50%, 02/15/28 (a) (b)

 

300

 

242

 
 

Studio City Finance Limited

     
 

7.25%, 02/11/24 (a)

 

500

 

436

 
 

Whirlpool Corporation

     
 

4.75%, 02/26/29

 

200

 

202

 
 

Wyndham Destinations, Inc.

     
 

4.63%, 03/01/30 (a)

 

1,000

 

770

 
 

Wynn Las Vegas, LLC

     
 

5.50%, 03/01/25 (a)

 

200

 

186

 
 

Wynn Macau, Limited

     
 

4.88%, 10/01/24 (a)

 

400

 

368

 
 

5.50%, 10/01/27 (a)

 

1,800

 

1,589

 
 

5.13%, 12/15/29 (a) (b)

 

3,200

 

2,722

 
 

Wynn Resorts Finance, LLC

     
 

5.13%, 10/01/29 (a)

 

200

 

185

 
 

52,863

 

Utilities 3.8%

 

Adani Electricity Mumbai Limited

     
 

3.95%, 02/12/30 (a)

 

4,100

 

3,408

 
 

Adani Transmission Limited

     
 

4.00%, 08/03/26 (d)

 

500

 

445

 
 

Ameren Illinois Company

     
 

3.25%, 03/15/50

 

300

 

303

 
 

American Electric Power Company, Inc.

     
 

3.20%, 11/13/27

 

400

 

398

 
 

Arizona Public Service Company

     
 

3.50%, 12/01/49

 

400

 

403

 
 

CenterPoint Energy, Inc.

     
 

2.50%, 09/01/24 (b)

 

700

 

687

 
 

Centrais Eletricas Brasileiras SA

     
 

4.63%, 02/04/30 (a) (b)

 

1,800

 

1,593

 
 

Clearway Energy Operating LLC

     
 

5.75%, 10/15/25

 

900

 

892

 
 

Cleco Corporate Holdings LLC

     
 

3.74%, 05/01/26

 

2,200

 

2,162

 
 

Dominion Energy Gas Holdings, LLC

     
 

2.50%, 11/15/24

 

600

 

590

 
 

DTE Electric Company

     
 

2.25%, 03/01/30

 

1,400

 

1,353

 
 

Duquesne Light Holdings, Inc.

     
 

5.90%, 12/01/21 (a)

 

50

 

52

 
 

3.62%, 08/01/27 (a)

 

1,200

 

1,173

 
 

Enel Finance International N.V.

     
 

2.75%, 04/06/23 (a)

 

3,200

 

3,085

 
 

4.25%, 09/14/23 (a)

 

1,000

 

1,021

 
 

3.63%, 05/25/27 (a)

 

400

 

401

 
 

Exelon Corporation

     
 

3.95%, 06/15/25

 

500

 

511

 
 

4.45%, 04/15/46

 

600

 

586

 
 

FirstEnergy Corp.

     
 

4.25%, 03/15/23 (g)

 

300

 

299

 
 

Ipalco Enterprises Inc

     
 

3.70%, 09/01/24

 

503

 

521

 
 

Nevada Power Company

     
 

2.40%, 05/01/30

 

1,200

 

1,165

 
 

NextEra Energy Capital Holdings, Inc.

     
 

3.30%, 08/15/22

 

3,900

 

3,894

 
 

3.25%, 04/01/26

 

800

 

820

 
 

3.50%, 04/01/29

 

500

 

516

 
 

2.75%, 11/01/29

 

2,800

 

2,692

 
 

5.65%, 05/01/79 (b)

 

800

 

741

 
 

NiSource Inc.

     
 

2.95%, 09/01/29

 

700

 

673

 
 

Pacific Gas And Electric Company

     
 

0.00%, 10/01/20 - 12/01/27 (k) (l)

 

1,500

 

1,426

 
 

0.00%, 08/01/28 (a) (k) (l)

 

200

 

209

 

44


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

PECO Energy Company

     
 

3.00%, 09/15/49

 

800

 

791

 
 

ReNew Power Private Limited

     
 

5.88%, 03/05/27 (a)

 

700

 

493

 
 

San Diego Gas & Electric Company

     
 

4.10%, 06/15/49

 

200

 

212

 
 

Sempra Energy

     
 

3.55%, 06/15/24

 

200

 

199

 
 

3.75%, 11/15/25

 

200

 

204

 
 

3.40%, 02/01/28

 

800

 

802

 
 

Southern California Edison Company

     
 

3.70%, 08/01/25

 

1,100

 

1,134

 
 

6.05%, 03/15/39

 

400

 

494

 
 

3.60%, 02/01/45

 

400

 

370

 
 

4.00%, 04/01/47

 

1,100

 

1,137

 
 

4.13%, 03/01/48

 

5,000

 

5,194

 
 

Southern California Gas Company

     
 

2.55%, 02/01/30

 

1,600

 

1,587

 
 

Southern Company Gas Capital Corporation

     
 

3.25%, 06/15/26

 

2,700

 

2,719

 
 

The Southern Company

     
 

2.95%, 07/01/23

 

200

 

199

 
 

4.25%, 07/01/36

 

400

 

406

 
 

5.50%, 03/15/57

 

200

 

189

 
 

48,149

 

Health Care 3.0%

 

Adventist Health System/Sunbelt, Inc.

     
 

2.95%, 03/01/29

 

1,000

 

953

 
 

Allergan Funding SCS

     
 

3.45%, 03/15/22

 

975

 

972

 
 

Amgen Inc.

     
 

2.25%, 08/19/23 (b)

 

800

 

810

 
 

2.60%, 08/19/26

 

700

 

736

 
 

Anthem, Inc.

     
 

4.10%, 03/01/28

 

600

 

647

 
 

Bausch Health Companies Inc.

     
 

9.25%, 04/01/26 (a)

 

700

 

737

 
 

Boston Scientific Corporation

     
 

3.38%, 05/15/22

 

775

 

792

 
 

3.75%, 03/01/26

 

700

 

725

 
 

4.00%, 03/01/29

 

600

 

634

 
 

4.70%, 03/01/49

 

4,500

 

5,023

 
 

Bristol-Myers Squibb Company

     
 

3.20%, 06/15/26 (a)

 

2,300

 

2,457

 
 

3.40%, 07/26/29 (a)

 

1,300

 

1,429

 
 

4.35%, 11/15/47 (a)

 

200

 

252

 
 

4.55%, 02/20/48 (a)

 

100

 

128

 
 

Centene Corporation

     
 

4.25%, 12/15/27 (a)

 

600

 

605

 
 

Cigna Holding Company

     
 

3.40%, 09/17/21

 

1,997

 

2,029

 
 

CommonSpirit Health

     
 

2.76%, 10/01/24

 

500

 

501

 
 

Community Health Systems, Inc.

     
 

6.25%, 03/31/23

 

400

 

380

 
 

8.63%, 01/15/24 (a)

 

1,100

 

1,098

 
 

CVS Health Corporation

     
 

4.30%, 03/25/28

 

1,100

 

1,169

 
 

3.25%, 08/15/29

 

1,600

 

1,595

 
 

7.51%, 01/10/32 (a)

 

50

 

60

 
 

Fresenius Medical Care

     
 

4.75%, 10/15/24 (a)

 

700

 

697

 
 

GlaxoSmithKline Capital Inc.

     
 

6.38%, 05/15/38

 

200

 

301

 
 

HCA Inc.

     
 

5.25%, 06/15/26

 

300

 

326

 
 

4.50%, 02/15/27

 

2,116

 

2,176

 
 

5.50%, 06/15/47

 

900

 

1,004

 
 

Humana Inc.

     
 

3.95%, 08/15/49

 

400

 

392

 
 

Laboratory Corporation of America Holdings

     
 

3.60%, 02/01/25

 

900

 

936

 
 

Medtronic, Inc.

     
 

3.50%, 03/15/25

 

112

 

121

 
 

Merck & Co., Inc.

     
 

2.75%, 02/10/25

 

300

 

316

 
 

Mylan N.V.

     
 

3.95%, 06/15/26

 

2,700

 

2,740

 
 

Stryker Corporation

     
 

3.50%, 03/15/26

 

475

 

493

 
 

Teva Pharmaceutical Finance Netherlands II B.V.

     
 

0.38%, 07/25/20, EUR (d)

 

122

 

131

 
 

Teva Pharmaceutical Finance Netherlands III B.V.

     
 

2.20%, 07/21/21 (b)

 

389

 

371

 
 

Thermo Fisher Scientific Inc.

     
 

2.60%, 10/01/29

 

1,100

 

1,072

 
 

UnitedHealth Group Incorporated

     
 

3.50%, 08/15/39

 

800

 

857

 
 

Zimmer Biomet Holdings, Inc.

     
 

3.70%, 03/19/23

 

900

 

913

 
 

3.55%, 04/01/25

 

900

 

902

 
 

Zoetis Inc.

     
 

4.50%, 11/13/25

 

200

 

211

 
 

3.00%, 09/12/27 (b)

 

300

 

306

 
 

37,997

 

Information Technology 2.7%

 

Apple Inc.

     
 

2.20%, 09/11/29 (b)

 

1,500

 

1,539

 
 

Arrow Electronics, Inc.

     
 

3.25%, 09/08/24

 

600

 

563

 
 

Broadcom Corporation

     
 

3.00%, 01/15/22

 

1,400

 

1,385

 
 

3.63%, 01/15/24

 

1,500

 

1,481

 
 

3.88%, 01/15/27

 

1,700

 

1,619

 
 

Broadcom Inc.

     
 

3.13%, 10/15/22 (a)

 

400

 

396

 
 

3.63%, 10/15/24 (a)

 

200

 

196

 
 

4.25%, 04/15/26 (a)

 

600

 

609

 
 

Citrix Systems, Inc.

     
 

3.30%, 03/01/30

 

1,800

 

1,725

 
 

Dell International L.L.C.

     
 

4.00%, 07/15/24 (a) (g)

 

1,200

 

1,213

 
 

4.90%, 10/01/26 (a) (g)

 

400

 

398

 
 

Fiserv, Inc.

     
 

3.20%, 07/01/26

 

3,000

 

3,076

 
 

3.50%, 07/01/29

 

2,600

 

2,728

 
 

Flex Ltd.

     
 

5.00%, 02/15/23

 

100

 

100

 
 

4.75%, 06/15/25

 

1,400

 

1,408

 
 

4.88%, 06/15/29

 

300

 

285

 
 

Global Payments Inc.

     
 

4.15%, 08/15/49

 

500

 

483

 
 

KLA Corporation

     
 

4.10%, 03/15/29

 

900

 

973

 
 

Marvell Technology Group Ltd

     
 

4.20%, 06/22/23

 

500

 

505

 
 

4.88%, 06/22/28

 

400

 

413

 
 

Microchip Technology Incorporated

     
 

3.92%, 06/01/21

 

1,100

 

1,084

 
 

Micron Technology, Inc.

     
 

4.64%, 02/06/24

 

800

 

822

 
 

4.19%, 02/15/27

 

2,950

 

2,984

 
 

Motorola Solutions, Inc.

     
 

4.60%, 05/23/29

 

1,300

 

1,364

 
 

NXP B.V.

     
 

4.13%, 06/01/21 (a)

 

500

 

505

 
 

3.88%, 09/01/22 (a)

 

700

 

705

 
 

4.88%, 03/01/24 (a)

 

200

 

214

 
 

QualityTech, LP

     
 

4.75%, 11/15/25 (a)

 

100

 

97

 
 

Sunny Optical Technology (Group) Company Limited

     
 

3.75%, 01/23/23 (d)

 

1,400

 

1,475

 
 

Thomson Reuters Corporation

     
 

3.35%, 05/15/26 (b)

 

700

 

691

 
 

Visa Inc.

     
 

3.15%, 12/14/25

 

400

 

436

 
 

VMware, Inc.

     
 

3.90%, 08/21/27

 

1,800

 

1,774

 

45


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Western Digital Corporation

     
 

4.75%, 02/15/26 (b)

 

500

 

503

 
 

33,749

 

Consumer Staples 1.0%

 

Adecoagro S.A.

     
 

6.00%, 09/21/27 (d)

 

200

 

157

 
 

Anheuser-Busch InBev

     
 

3.70%, 02/01/24

 

2,200

 

2,281

 
 

BAT Capital Corp.

     
 

3.56%, 08/15/27

 

400

 

382

 
 

Campbell Soup Company

     
 

3.65%, 03/15/23

 

286

 

295

 
 

Conagra Brands, Inc.

     
 

4.60%, 11/01/25

 

1,200

 

1,271

 
 

Constellation Brands, Inc.

     
 

4.75%, 12/01/25

 

1,050

 

1,094

 
 

General Mills, Inc.

     
 

4.55%, 04/17/38

 

100

 

112

 
 

Kraft Heinz Foods Company

     
 

3.38%, 06/15/21

 

1,900

 

1,894

 
 

2.55%, (3M USD LIBOR + 0.82%), 08/10/22 (c)

 

1,400

 

1,302

 
 

3.95%, 07/15/25

 

2,200

 

2,184

 
 

Suntory Holdings Limited

     
 

2.25%, 10/16/24 (a)

 

1,300

 

1,310

 
 

Tesco PLC

     
 

6.13%, 02/24/22, GBP

 

50

 

66

 
 

The J. M. Smucker Company

     
 

3.50%, 03/15/25

 

100

 

102

 
 

12,450

 

Materials 0.6%

 

Boise Cascade Company

     
 

5.63%, 09/01/24 (a)

 

300

 

285

 
 

Crown Americas LLC

     
 

4.75%, 02/01/26

 

100

 

102

 
 

CSN Islands XII Corp

     
 

6.75%, 01/28/28 (a)

 

500

 

323

 
 

Graphic Packaging International, LLC

     
 

4.75%, 04/15/21

 

50

 

50

 
 

Huntsman International LLC

     
 

4.50%, 05/01/29

 

400

 

340

 
 

Joint Stock Company "Alrosa" (Public Stock Society)

     
 

4.65%, 04/09/24 (a)

 

900

 

905

 
 

Packaging Corporation of America

     
 

4.05%, 12/15/49 (b)

 

600

 

614

 
 

Steel Dynamics, Inc.

     
 

2.80%, 12/15/24

 

700

 

656

 
 

Unigel Luxembourg SA

     
 

8.75%, 10/01/26 (a)

 

600

 

378

 
 

Vale Overseas Ltd

     
 

6.25%, 08/10/26

 

1,500

 

1,635

 
 

Westlake Chemical Corporation

     
 

3.60%, 07/15/22

 

30

 

31

 
 

Westrock Company, Inc.

     
 

4.00%, 03/15/28

 

381

 

384

 
 

WestRock RKT, LLC

     
 

4.90%, 03/01/22

 

30

 

31

 
 

WRKCo Inc.

     
 

3.90%, 06/01/28

 

400

 

405

 
 

Yara International ASA

     
 

3.80%, 06/06/26 (a)

 

300

 

331

 
 

4.75%, 06/01/28 (a)

 

300

 

301

 
 

6,771

 
 

Total Corporate Bonds And Notes (cost $916,116)

860,329

 

GOVERNMENT AND AGENCY OBLIGATIONS 24.5%

U.S. Treasury Bond 11.5%

 

Treasury, United States Department of

     
 

3.50%, 02/15/39 (m)

 

814

 

1,144

 
 

Principal Only, 0.00%, 08/15/44 - 05/15/45 (h)

 

50

 

36

 
 

2.50%, 02/15/46 - 05/15/46 (m)

 

7,532

 

9,379

 
 

2.88%, 11/15/46 (m)

 

182

 

242

 
 

3.13%, 05/15/48 (m)

 

2,956

 

4,154

 
 

2.88%, 05/15/49 (m)

 

3,550

 

4,814

 
 

2.25%, 08/15/49

 

46,580

 

56,362

 
 

2.38%, 11/15/49

 

53,500

 

66,674

 
 

2.00%, 02/15/50 (m)

 

1,100

 

1,277

 
 

144,082

 

Mortgage-Backed Securities 7.3%

 

Federal National Mortgage Association, Inc.

     
 

3.00%, 07/01/43 - 08/01/43

 

458

 

486

 
 

TBA, 3.50%, 05/15/48 (n)

 

39,800

 

42,060

 
 

TBA, 4.00%, 05/15/48 (n)

 

12,900

 

13,763

 
 

TBA, 4.50%, 05/15/48 (n)

 

10,000

 

10,746

 
 

TBA, 2.50%, 06/15/48 (n)

 

4,700

 

4,854

 
 

TBA, 3.00%, 06/15/48 (n)

 

18,400

 

19,247

 
 

91,156

 

U.S. Treasury Note 4.2%

 

Treasury, United States Department of

     
 

1.75%, 11/15/29

 

20,989

 

23,068

 
 

1.50%, 02/15/30 (m)

 

27,982

 

30,164

 
 

53,232

 

Sovereign 1.2%

 

Cabinet of Ministers of Ukraine

     
 

7.75%, 09/01/22 (d)

 

400

 

378

 
 

Comision De Promocion Del Peru Para La Exportacion Y El Turismo

     
 

8.20%, 08/12/26, PEN (a)

 

13,800

 

5,111

 
 

6.35%, 08/12/28, PEN (a)

 

5,000

 

1,589

 
 

6.95%, 08/12/31, PEN (a)

 

2,400

 

816

 
 

5.40%, 08/12/34, PEN (a)

 

300

 

88

 
 

5.35%, 08/12/40, PEN (a)

 

700

 

200

 
 

Export-Import Bank of India

     
 

3.12%, (3M USD LIBOR + 1.02%), 03/28/22 (c)

 

600

 

600

 
 

3.25%, 01/15/30 (a)

 

600

 

552

 
 

Kuwait, Government of

     
 

3.50%, 03/20/27 (a)

 

1,300

 

1,352

 
 

Ministry of Diwan Amiri Affairs

     
 

3.88%, 04/23/23 (a)

 

1,400

 

1,443

 
 

Presidencia De La Nacion

     
 

50.58%, (Argentina Central Bank 7 Day Repurchase Rate), 06/21/20, ARS (c)

 

13,250

 

106

 
 

36.86%, (BADLAR + 2.00%), 04/03/22, ARS (c)

 

230

 

1

 
 

6.88%, 01/26/27

 

300

 

83

 
 

3.75%, 12/31/38 (i)

 

1,100

 

308

 
 

Saudi Arabia, Government of

     
 

4.00%, 04/17/25 (a)

 

900

 

933

 
 

Saudi Arabia, Kingdom of

     
 

3.25%, 10/26/26 (d)

 

800

 

802

 
 

The Export-Import Bank of China

     
 

3.63%, 07/31/24 (a)

 

500

 

544

 
 

The Republic of Indonesia, The Government of

     
 

2.88%, 07/08/21, EUR (a)

 

100

 

111

 
 

15,017

 

U.S. Treasury Inflation Indexed Securities 0.3%

 

Treasury, United States Department of

     
 

0.13%, 01/15/22 (m) (o)

 

570

 

561

 
 

0.38%, 01/15/27 (m) (o)

 

2,777

 

2,842

 
 

0.50%, 01/15/28 (m) (o)

 

711

 

741

 
 

4,144

 
 

Total Government And Agency Obligations (cost $276,416)

307,631

 

NON-U.S. GOVERNMENT AGENCY ASSET-BACKED SECURITIES 2.6%

 

Air Canada

     
 

Series 2013-A-1, 4.13%, 05/15/25

 

71

 

68

 
 

Series 2015-A-1, 3.60%, 03/15/27

 

158

 

158

 
 

Series 2017-A-1, 3.55%, 01/15/30

 

1,569

 

1,412

 
 

Alternative Loan Trust

     
 

Series 2005-2A1-27, REMIC, 3.32%, (12M US Federal Reserve Cumulative Average CMT + 1.35%), 08/25/35 (c)

 

92

 

71

 
 

American Airlines, Inc.

     
 

Series 2011-A-1, 5.25%, 01/31/21

 

20

 

19

 
 

Series 2015-A-1, 3.38%, 05/01/27

 

233

 

197

 
 

Series 2016-AA-2, 3.20%, 06/15/28

 

171

 

173

 
 

Series 2017-AA-2, 3.35%, 10/15/29

 

919

 

886

 
 

Series 2017-A-2, 3.60%, 10/15/29

 

551

 

503

 

46


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

American Home Mortgage Assets Trust

     
 

Series 2006-2A11-3, REMIC, 2.91%, (12M US Federal Reserve Cumulative Average CMT + 0.94%), 10/25/46 (c) (i)

 

471

 

355

 
 

Banc of America Alternative Loan Trust

     
 

Series 2005-4A1-10, REMIC, 5.75%, 11/25/35

 

29

 

27

 
 

Bayview Koitere Fund Trust

     
 

Series 2019-A1-RN3, 3.97%, 04/29/24 (i)

 

163

 

155

 
 

Bear Stearns ALT-A Trust

     
 

Series 2005-2A3-2, REMIC, 3.79%, 04/25/35 (c)

 

634

 

580

 
 

Bear Stearns Asset Backed Securities I Trust

     
 

Series 2006-1A3-HE9, REMIC, 1.18%, (1M USD LIBOR + 0.23%), 11/25/36 (c) (i)

 

1,000

 

761

 
 

British Airways PLC

     
 

Series 2013-A-1, 4.63%, 06/20/24

 

561

 

516

 
 

C-BASS Trust

     
 

Series 2007-AF4-CB1, REMIC, 3.46%, 01/25/37 (i)

 

678

 

238

 
 

Centex LLC

     
 

Series 2004-MV1-D, REMIC, 1.88%, (1M USD LIBOR + 0.93%), 09/25/34 (c)

 

31

 

30

 
 

CHL Mortgage Pass-Through Trust

     
 

Series 2007-A2-13, 6.00%, 08/25/37

 

844

 

646

 
 

Citigtoup Mortgage Loan Trust

     
 

Series 2007-A2B-AHL1, REMIC, 1.09%, (1M USD LIBOR + 0.14%), 12/25/36 (c)

 

76

 

64

 
 

Series 2007-3A3A-10, REMIC, 4.08%, 09/25/37 (c)

 

8

 

6

 
 

Countrywide Home Loans, Inc.

     
 

Series 2004-1AF2-R2, REMIC, 1.37%, (1M USD LIBOR + 0.42%), 11/25/34 (c)

 

974

 

843

 
 

Credit Suisse Mortgage Capital Certificates

     
 

Series 2019-A1-RPL4, 3.55%, 04/25/22

 

280

 

269

 
 

CVS Health Corporation

     
 

Series 2013-PTC, 4.70%, 01/10/36 (a)

 

814

 

944

 
 

CWABS Asset-Backed Certificates Trust

     
 

Series 2006-1A-24, REMIC, 1.09%, (1M USD LIBOR + 0.14%), 07/25/35 (c)

 

84

 

68

 
 

Series 2007-1A1-12, REMIC, 1.69%, (1M USD LIBOR + 0.74%), 06/25/37 (c) (i)

 

1,082

 

976

 
 

CWABS, Inc.

     
 

Series 2004-M1-4, REMIC, 1.67%, (1M USD LIBOR + 0.72%), 07/25/34 (c)

 

48

 

46

 
 

Series 2004-M1-5, REMIC, 1.80%, (1M USD LIBOR + 0.86%), 08/25/34 (c)

 

14

 

13

 
 

Series 2005-1A-AB4, REMIC, 1.43%, (1M USD LIBOR + 0.48%), 03/25/36 (c)

 

31

 

26

 
 

DC Office Trust

     
 

Series 2019-A-MTC, 2.97%, 10/15/29

 

2,250

 

2,190

 
 

Delta Air Lines, Inc.

     
 

Series 2007-A-1, 6.82%, 08/10/22

 

357

 

343

 
 

First Franklin Mortgage Loan Trust Asset-Backed Certificates

     
 

Series 2004-M3-FF8, REMIC, 2.37%, (1M USD LIBOR + 1.43%), 10/25/34 (c)

 

1,153

 

880

 
 

GS Mortgage Securities Corp.

     
 

Series 2005-1A1-15, REMIC, 1.46%, (1M USD LIBOR + 0.26%), 01/25/36 (c) (i)

 

794

 

701

 
 

GSAMP Trust

     
 

Series 2006-A1-FM2, REMIC, 1.09%, (1M USD LIBOR + 0.14%), 09/25/36 (c) (i)

 

3,166

 

1,388

 
 

GTP Acquisition Partners I, LLC

     
 

Series 2015-A-2, 3.48%, 06/16/25

 

300

 

328

 
 

HarborView Mortgage Loan Trust

     
 

Series 2006-1A1A-12, REMIC, 0.96%, (1M USD LIBOR + 0.21%), 12/19/36 (c) (i)

 

538

 

399

 
 

HomeBanc Mortgage Trust

     
 

Series 2005-A1-4, REMIC, 1.49%, (1M USD LIBOR + 0.54%), 10/25/35 (c)

 

7

 

7

 
 

HSI Asset Securitization Corporation

     
 

Series 2006-M1-OPT1, REMIC, 1.31%, (1M USD LIBOR + 0.36%), 12/25/35 (c)

 

100

 

93

 
 

IndyMac MBS, Inc.

     
 

Series 2005-2A1A-AR12, REMIC, 2.11%, (1M USD LIBOR + 0.48%), 07/25/35 (c) (i)

 

476

 

419

 
 

J.P. Morgan Mortgage Acquisition Trust

     
 

Series 2006-M1-NC2, REMIC, 1.22%, (1M USD LIBOR + 0.27%), 07/25/36 (c)

 

300

 

261

 
 

Series 2006-AF3-CW2, REMIC, 5.78%, 08/25/36 (i)

 

1,356

 

857

 
 

JetBlue Airways Corporation

     
 

2.75%, 05/15/32

 

300

 

263

 
 

Legacy Mortgage Asset Trust

     
 

Series 2019-A1-GS3, 3.75%, 04/25/21 (i)

 

2,153

 

2,037

 
 

Lehman ABS Corporation

     
 

Series 2004-M1-HE6, REMIC, 1.89%, (1M USD LIBOR + 0.95%), 09/25/34 (c)

 

36

 

34

 
 

Long Beach Mortgage Loan Trust

     
 

Series 2006-2A3-8, REMIC, 1.11%, (1M USD LIBOR + 0.16%), 09/25/36 (c) (i)

 

1,109

 

332

 
 

MASTR Asset Backed Securities Trust

     
 

Series 2005-M1-NC1, REMIC, 2.35%, (1M USD LIBOR + 0.72%), 12/25/34 (c) (i)

 

1,058

 

846

 
 

Merrill Lynch Mortgage Capital Inc.

     
 

Series 2005-M1-WMC1, REMIC, 1.70%, (1M USD LIBOR + 0.75%), 09/25/35 (c) (i)

 

777

 

666

 
 

Morgan Stanley Home Equity Loan Trust

     
 

Series 2007-A1-2, REMIC, 1.05%, (1M USD LIBOR + 0.10%), 04/25/37 (c)

 

12

 

7

 
 

MortgageIT Mortgage Loan Trust

     
 

Series 2006-1A2-1, REMIC, 1.15%, (1M USD LIBOR + 0.20%), 04/25/36 (c) (i)

 

558

 

445

 
 

New Century Home Equity Loan Trust

     
 

Series 2005-M2-D, REMIC, 1.42%, (1M USD LIBOR + 0.47%), 02/25/36 (c) (i)

 

300

 

202

 
 

Series 2006-A2B-2, REMIC, 1.11%, (1M USD LIBOR + 0.16%), 08/25/36 (c) (i)

 

590

 

542

 
 

New Residential Mortgage Loan Trust

     
 

Series 2018-A1-3A, REMIC, 4.50%, 05/25/58 (c)

 

896

 

879

 
 

Northwest Airlines, LLC

     
 

Series 2002-G-2-1, 6.26%, 05/20/23

 

13

 

13

 
 

Park Place Securities, Inc.

     
 

Series 2004-M2-WHQ1, REMIC, 1.94%, (1M USD LIBOR + 0.99%), 09/25/34 (c)

 

41

 

40

 
 

Renaissance Home Equity Loan Trust

     
 

Series 2007-AF3-3, REMIC, 7.24%, 09/25/37 (i)

 

162

 

83

 
 

Residential Accredit Loans, Inc.

     
 

Series 2005-A10-QS17, REMIC, 6.00%, 12/25/35

 

57

 

53

 
 

Series 2007-A2-QS3, REMIC, 6.00%, 02/25/37

 

62

 

51

 
 

Residential Asset Mortgage Products, Inc.

     
 

Series 2005-A2-EFC7, REMIC, 1.41%, (1M USD LIBOR + 0.46%), 12/25/35 (c)

 

194

 

149

 
 

Residential Asset Securities Corporation

     
 

Series 2006-AI3-KS9, REMIC, 1.11%, (1M USD LIBOR + 0.16%), 09/25/36 (c)

 

95

 

90

 
 

SBA Towers, LLC

     
 

Series 2016-C-1, 2.88%, 07/15/21 (a)

 

600

 

603

 
 

S-JETS Limited

     
 

Series 2017-A-1, 3.97%, 08/15/25

 

398

 

280

 
 

Spirit Airlines

     
 

Series 2015-A-1, 4.10%, 04/01/28

 

765

 

673

 
 

Sprite Limited

     
 

Series 2017-A-1, 4.25%, 12/15/24

 

267

 

201

 
 

Structured Asset Securities Corporation

     
 

Series 2005-2A4-2, REMIC, 4.74%, 08/25/35

 

7

 

7

 
 

United Airlines Pass Through Trust

     
 

Series 2014-A-2, 3.75%, 09/03/26

 

75

 

72

 
 

Series 2016-A-2, 3.10%, 10/07/28

 

447

 

402

 
 

Series 2019-AA-2, REMIC, 2.70%, 05/01/32

 

4,500

 

4,042

 
 

United Airlines, Inc.

     
 

Series 2012-A-1, 4.15%, 04/11/24

 

1,145

 

1,110

 
 

US Airways, Inc.

     
 

Series 2013-B-1, 5.38%, 11/15/21

 

108

 

104

 
 

Series 2013-A-1, 3.95%, 11/15/25

 

587

 

561

 
 

Total Non-U.S. Government Agency Asset-Backed Securities (cost $35,310)

32,703

 

47


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 

SENIOR LOAN INTERESTS 1.6%

Communication Services 0.4%

 

Ancestry.com Operations Inc.

     
 

2019 Extended Term Loan B, 5.86%, (1M LIBOR + 4.25%), 08/15/26 (c)

 

498

 

393

 
 

Charter Communications Operating, LLC

     
 

Term Loan, 3.36%, (1M LIBOR + 1.75%), 02/01/27 (c)

 

1,069

 

1,022

 
 

CSC Holdings, LLC

     
 

Term Loan, 3.11%, (1M LIBOR + 2.50%), 04/15/27 (c)

 

296

 

282

 
 

Diamond Sports Group, LLC

     
 

Term Loan, 4.18%, (1M LIBOR + 3.25%), 08/24/26 (c)

 

100

 

77

 
 

E.W. Scripps Company (The)

     
 

2019 Term Loan B2, 4.10%, (1M LIBOR + 2.50%), 05/01/26 (c)

 

99

 

94

 
 

Intelsat Jackson Holdings S.A.

     
 

2017 Term Loan B3, 5.68%, (6M LIBOR + 3.75%), 11/27/23 (c)

 

600

 

547

 
 

Level 3 Financing Inc.

     
 

2019 Term Loan B, 3.35%, (1M LIBOR + 1.75%), 03/01/27 (c)

 

1,484

 

1,380

 
 

Sprint Communications, Inc.

     
 

1st Lien Term Loan B, 4.12%, (1M LIBOR + 2.50%), 02/01/24 (c)

 

1,496

 

1,485

 
 

Univision Communications Inc.

     
 

Term Loan C5, 3.75%, (1M LIBOR + 2.75%), 03/15/24 (c)

 

98

 

83

 
 

5,363

 

Health Care 0.3%

 

Elanco Animal Health Inc

     
 

Term Loan, 0.00%, (3M LIBOR + 1.75%), 02/04/27 (c) (p)

 

2,700

 

2,552

 
 

Envision Healthcare Corporation

     
 

2018 1st Lien Term Loan, 4.74%, (1M LIBOR + 3.75%), 09/27/25 (c)

 

198

 

100

 
 

HCA Inc.

     
 

Term Loan, 3.35%, (3M LIBOR + 1.75%), 03/13/25 (c)

 

294

 

278

 
 

Ortho-Clinical Diagnostics SA

     
 

2018 Term Loan B, 4.77%, (1M LIBOR + 3.25%), 06/01/25 (c)

 

279

 

236

 
 

Parexel International Corporation

     
 

Term Loan B, 3.74%, (1M LIBOR + 2.75%), 08/06/24 (c)

 

199

 

169

 
 

Sotera Health Holdings, LLC

     
 

2019 Term Loan, 6.10%, (1M LIBOR + 4.50%), 11/19/26 (c)

 

200

 

173

 
 

U.S. Renal Care, Inc.

     
 

2019 Term Loan B, 6.63%, (1M LIBOR + 5.00%), 06/12/26 (c)

 

398

 

344

 
 

3,852

 

Materials 0.3%

 

Arconic Inc.

     
 

Term Loan, 0.00%, (3M LIBOR + 2.75%), 02/04/27 (c) (p) (q)

 

2,000

 

1,800

 
 

CPG International Inc.

     
 

2017 Term Loan, 5.93%, (3M LIBOR + 3.75%), 05/03/24 (c)

 

680

 

564

 
 

Innophos, Inc.

     
 

2020 Term Loan B, 4.76%, (1M LIBOR + 3.75%), 02/04/27 (c)

 

1,600

 

1,356

 
 

W.R. Grace & Co.

     
 

Term Loan, 3.69%, (3M LIBOR + 1.75%), 02/23/25 (c)

 

98

 

84

 
 

3,804

 

Financials 0.2%

 

Citadel Securities LP

     
 

2020 Term Loan B, 4.35%, (1M LIBOR + 2.75%), 02/20/26 (c)

 

298

 

265

 
 

Term Loan, 4.35%, (1M LIBOR + 2.75%), 02/27/26 (c)

 

598

 

532

 
 

Delos Finance Sarl

     
 

Term Loan, 3.69%, (3M LIBOR + 1.75%), 10/06/23 (c)

 

210

 

188

 
 

Fortress Investment Group LLC

     
 

Term Loan, 3.60%, (3M LIBOR + 2.00%), 12/27/22 (c)

 

147

 

141

 
 

Jefferies Finance LLC

     
 

Term Loan, 4.88%, (3M LIBOR + 3.25%), 05/22/26 (c)

 

1,490

 

1,232

 
 

RPI 2019 Intermediate Finance Trust

     
 

2020 Term Loan B1, 2.47%, (1M LIBOR + 1.75%), 02/07/27 (c)

 

194

 

178

 
 

RPI Intermediate Finance Trust

     
 

2020 Term Loan B1, 2.47%, (3M LIBOR + 1.75%), 02/07/27 (c)

 

96

 

88

 
 

2,624

 

Industrials 0.2%

 

AI Convoy (Luxembourg) S.A.R.L

     
 

Term Loan, 0.00%, (3M LIBOR + 3.50%), 01/20/27 (c) (p)

 

400

 

354

 
 

Altra Industrial Motion Corp.

     
 

2018 Term Loan B, 3.60%, (1M LIBOR + 2.00%), 09/26/25 (c)

 

177

 

154

 
 

Brand Energy & Infrastructure Services, Inc.

     
 

2017 Term Loan, 6.12%, (3M LIBOR + 4.25%), 06/16/24 (c)

 

228

 

181

 
 

2017 Term Loan, 6.06%, (3M LIBOR + 4.25%), 06/17/24 (c)

 

258

 

205

 
 

NCI Building Systems, Inc.

     
 

2018 Term Loan , 4.56%, (1M LIBOR + 3.75%), 04/12/25 (c)

 

1,684

 

1,423

 
 

Sequa Mezzanine Holdings L.L.C.

     
 

Term Loan, 6.74%, (3M LIBOR + 5.00%), 11/28/21 (c)

 

195

 

155

 
 

2,472

 

Information Technology 0.1%

 

Dell International LLC

     
 

2019 Term Loan B, 3.61%, (1M LIBOR + 2.00%), 09/11/25 (c)

 

518

 

493

 
 

MH Sub I, LLC

     
 

2017 1st Lien Term Loan, 5.35%, (6M LIBOR + 3.75%), 08/09/24 (c)

 

975

 

820

 
 

1,313

 

Consumer Discretionary 0.1%

 

Aramark Services, Inc.

     
 

2018 Term Loan B3, 3.35%, (1M LIBOR + 1.75%), 03/01/25 (c)

 

233

 

217

 
 

Caesars Resort Collection, LLC

     
 

2017 1st Lien Term Loan B, 3.74%, (1M LIBOR + 2.75%), 12/23/24 (c)

 

684

 

550

 
 

Diamond Resorts Corporation

     
 

Term Loan, 5.35%, (3M LIBOR + 3.75%), 09/02/23 (c) (q)

 

394

 

266

 
 

1,033

 
 

Total Senior Loan Interests (cost $22,994)

20,461

 

PREFERRED STOCKS 0.0%

Financials 0.0%

 

CoBank, ACB, 6.20%, (callable at 100 beginning 01/01/25) (e)

 

3

 

303

 

Real Estate 0.0%

 

VEREIT, Inc., 6.70%, (callable at 25 beginning 05/11/20) (e)

 

1

 

27

 
 

Total Preferred Stocks (cost $328)

330

 

OTHER EQUITY INTERESTS 0.0%

Financials 0.0%

 

Stearns Holdings, LLC (k) (q) (r)

 

482

 

 
 

Total Other Equity Interests (cost $0)

 

SHORT TERM INVESTMENTS 11.4%

Discount Notes 8.7%

 

Federal Home Loan Banks Office of Finance

     
 

1.56%, 04/13/20 (s) (t)

 

7,800

 

7,796

 
 

0.00%, 04/22/20 (s) (t)

 

1,300

 

1,300

 
 

1.06%, 04/29/20 (s) (t)

 

5,700

 

5,695

 
 

0.50%, 05/18/20 (s) (t)

 

22,940

 

22,926

 
 

0.17%, 06/15/20 (s) (t)

 

20,100

 

20,093

 
 

0.12%, 06/19/20 (s) (t)

 

32,800

 

32,789

 

48


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

0.01%, 06/26/20 (s) (t)

 

5,700

 

5,698

 
 

0.01%, 07/20/20 (s) (t)

 

9,600

 

9,595

 
 

0.27%, 09/15/20 (s) (t)

 

3,700

 

3,697

 
 

109,589

 

Securities Lending Collateral 2.7%

 

JNL Securities Lending Collateral Fund - Institutional Class, 0.25% (u) (v)

 

33,526

 

33,526

 

Treasury Securities 0.0%

 

Presidencia De La Nacion

     
 

99.49%, 06/08/20, ARS (s)

 

3,338

 

34

 
 

184.33%, 06/28/20, ARS (s)

 

259

 

3

 
 

110.05%, 08/13/20, ARS (s)

 

4,760

 

39

 
 

58.41%, 08/27/20, ARS (s)

 

3,338

 

37

 
 

32.44%, (BADLAR + 2.00%), 08/28/20, ARS (c) (s)

 

3,368

 

33

 
 

146

 
 

Total Short Term Investments (cost $143,397)

143,261

 

Total Investments 108.7% (cost $1,394,561)

 

1,364,715

 

Total Purchased Options 0.0% (cost $103)

 

83

 

Other Derivative Instruments (0.5)%

 

(6,255)

 

Other Assets and Liabilities, Net (8.2)%

 

(103,233)

 

Total Net Assets 100.0%

 

1,255,310

 

(a) The Adviser has deemed this security, which is exempt from registration under the Securities Act of 1933, as amended, to be liquid based on procedures approved by the Board of Trustees. As of March 31, 2020, the value and the percentage of net assets of these liquid securities was $263,844 and 21.0% of the Fund.

(b) All or a portion of the security was on loan as of March 31, 2020.

(c) Security has a variable rate. Interest rates reset periodically. Rate stated was in effect as of March 31, 2020. For securities based on a published reference rate and spread, the reference rate and spread are presented. Certain variable rate securities do not indicate a reference rate and spread because they are determined by the issuer, remarketing agent, or offering documents and are based on current market conditions. The coupon rate for securities with certain features outlined in the offering documents may vary from the stated reference rate and spread. This includes, but is not limited to, securities with deferred rates, contingent distributions, caps, floors, and fixed-rate to float-rate features. In addition, variable rates for government and agency collateralized mortgage obligations (“CMO”) and mortgage-backed securities (“MBS”) are determined by tranches of underlying mortgage-backed security pools’ cash flows into securities and pass-through rates which reflect the rate earned on the asset pool after management and guarantee fees are paid to the securitizing corporation. CMO and MBS variable rates are determined by a formula set forth in the security’s offering documents.

(d) Security is restricted to resale to institutional investors. See Restricted Securities table following the Schedules of Investments.

(e) Perpetual security. Next contractual call date presented, if applicable.

(f) Convertible security.

(g) The interest rate for this security is inversely affected by upgrades or downgrades to the credit rating of the issuer.

(h) Security issued with a zero coupon. Income is recognized through the accretion of discount.

(i) Security is a step-up bond where the coupon may increase or step up at a future date or as the result of an upgrade or downgrade to the credit rating of the issuer. Rate stated was the coupon as of March 31, 2020.

(j) Pay-in-kind security. Stated coupon is the pay-in-kind rate. The interest earned by the security may be paid in cash or additional par.

(k) Non-income producing security.

(l) As of March 31, 2020, issuer was in bankruptcy and/or was in default relating to principal and/or interest. Partial or no payments were paid on the last interest or dividend date.

(m) All or a portion of the security is pledged or segregated as collateral.

(n) All or a portion of the security was purchased on a delayed delivery basis. As of March 31, 2020, the total payable for investments purchased on a delayed delivery basis was $89,046.

(o) Treasury inflation indexed note, par amount is adjusted for inflation.

(p) This senior loan will settle after March 31, 2020. If a reference rate and spread is presented, it will go into effect upon settlement.

(q) Security fair valued in good faith as a Level 3 security in accordance with the procedures approved by the Board of Trustees. Good faith fair valued securities are classified for Financial Accounting Standards Board ("FASB") Accounting Standards Codification ("ASC") Topic 820 "Fair Value Measurement" based on the applicable valuation inputs. See FASB ASC Topic 820 in the Schedules of Investments.

(r) Contingent distributions represent the right to receive additional distributions, if any, during the reorganization of the underlying company.

(s) The coupon rate represents the yield to maturity.

(t) The security is a direct debt of the agency and not collateralized by mortgages.

(u) Investment in affiliate.

(v) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

49


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

          

JNL/PIMCO Investment Grade Credit Bond Fund — Restricted Securities

  

Initial Acquisition

 

Cost ($)

 

Value ($)

 

Percent of

Net Assets (%)

 
 

21Vianet Group, Inc., 7.88%, 10/15/21

10/25/19

 

510

 

420

 

 
 

Adani Transmission Limited, 4.00%, 08/03/26

01/02/20

 

515

 

445

 

 
 

Adecoagro S.A., 6.00%, 09/21/27

09/14/17

 

200

 

157

 

 
 

Axis Bank Limited Singapore Branch, 3.25%, 05/21/20

02/16/18

 

200

 

200

 

 
 

Banco Bilbao Vizcaya Argentaria, S.A., 5.88%, callable at 100 beginning 09/24/23

02/04/19

 

663

 

553

 

 
 

Banco do Brasil S.A, 4.75%, 03/20/24

01/13/20

 

212

 

194

 

 
 

Banco Votorantim S.A., 4.50%, 09/24/24

12/16/19

 

1,026

 

901

 

0.1

 
 

Barclays PLC, 7.88%, callable at 100 beginning 03/15/22

12/10/19

 

2,351

 

2,034

 

0.2

 
 

Barclays PLC, 1.88%, 03/23/21

10/18/19

 

228

 

220

 

 
 

BBVA Bancomer, S.A., 6.75%, 09/30/22

12/18/19

 

356

 

327

 

 
 

BBVA Bancomer, S.A., 5.13%, 01/18/33

01/11/18

 

597

 

495

 

 
 

Cabinet of Ministers of Ukraine, 7.75%, 09/01/22

11/05/19

 

424

 

378

 

 
 

Cemex Finance LLC, 6.00%, 04/01/24

12/18/15

 

277

 

256

 

 
 

China Construction Bank (New Zealand) Limited, 2.62%, 12/20/21

12/19/19

 

498

 

499

 

 
 

China Evergrande Group, 6.25%, 06/28/21

10/31/18

 

967

 

863

 

0.1

 
 

Cnooc Curtis Funding No.1 Pty Ltd, 4.50%, 10/03/23

08/04/17

 

1,152

 

1,175

 

0.1

 
 

Cooperatieve Rabobank U.A., 6.63%, callable at 100 beginning 06/29/21

08/19/16

 

2,083

 

1,889

 

0.2

 
 

Credit Suisse Group AG, 6.50%, 08/08/23

03/19/15

 

319

 

304

 

 
 

Digital Stout Holding, LLC, 3.75%, 10/17/30

10/28/19

 

430

 

382

 

 
 

Gaz Capital S.A., 6.51%, 03/07/22

03/01/19

 

520

 

520

 

 
 

Gaz Capital S.A., 2.95%, 01/24/24

02/28/19

 

1,847

 

1,789

 

0.1

 
 

Gaz Capital S.A., 2.25%, 11/22/24

03/13/19

 

225

 

220

 

 
 

Gaz Capital S.A., 4.95%, 03/23/27

09/18/18

 

572

 

628

 

0.1

 
 

GMR Hyderabad International Airport Limited, 5.38%, 04/10/24

09/23/19

 

618

 

506

 

 
 

GPN Capital S.A., 4.38%, 09/19/22

03/22/19

 

301

 

299

 

 
 

Greene King Finance PLC, 5.32%, 09/15/31

04/02/19

 

594

 

571

 

0.1

 
 

Greenko Dutch B.V., 4.88%, 07/24/22

10/25/19

 

302

 

264

 

 
 

Greenko Dutch B.V., 5.25%, 07/24/24

09/19/19

 

402

 

323

 

 
 

HSBC Holdings PLC, 4.75%, callable at 100 beginning 07/04/29

01/13/20

 

992

 

756

 

0.1

 
 

Industrial and Commercial Bank of China Limited - Abu Dhabi Branch, 2.68%, 12/21/21

12/19/19

 

797

 

799

 

0.1

 
 

Intesa Sanpaolo S.p.A., 7.75%, callable at 100 beginning 01/11/27

02/21/20

 

819

 

606

 

0.1

 
 

Kaisa Group Holdings Ltd., 7.25%, 06/30/20

02/19/20

 

301

 

294

 

 
 

Kaisa Group Holdings Ltd., 7.88%, 06/30/21

02/25/20

 

203

 

178

 

 
 

Kaisa Group Holdings Ltd., 8.50%, 06/30/22

02/12/20

 

304

 

245

 

 
 

Lloyds Banking Group PLC, 7.63%, callable at 100 beginning 06/27/23

09/27/16

 

1,300

 

1,042

 

0.1

 
 

New Metro Global Limited, 6.50%, 04/23/21

02/07/20

 

1,312

 

1,243

 

0.1

 
 

Novatek Finance Designated Activity Company, 4.42%, 12/13/22

02/27/19

 

508

 

499

 

 
 

NTT Finance Corporation, 1.90%, 07/21/21

12/11/19

 

2,044

 

2,037

 

0.2

 
 

Odebrecht Offshore Drilling Finance Ltd., 6.72%, 12/01/22

01/10/17

 

36

 

24

 

 
 

Odebrecht Offshore Drilling Finance Ltd., 7.72%, 12/01/26

01/10/17

 

81

 

15

 

 
 

Rio Oil Finance Trust, 9.25%, 07/06/24

07/26/16

 

312

 

328

 

 
 

RKPF Overseas 2019 (B) Limited, 6.70%, 09/30/24

12/06/19

 

304

 

269

 

 
 

Ronshine China Holdings Limited, 11.25%, 08/22/21

12/10/19

 

526

 

492

 

 
 

Ronshine China Holdings Limited, 8.75%, 10/25/22

01/21/20

 

840

 

749

 

0.1

 
 

Santander UK Group Holdings PLC, 7.38%, callable at 100 beginning 06/24/22

09/28/16

 

381

 

300

 

 
 

Saudi Arabia, Kingdom of, 3.25%, 10/26/26

10/19/16

 

793

 

802

 

0.1

 
 

SB Capital S.A., 6.13%, 02/07/22

04/17/19

 

1,558

 

1,550

 

0.1

 
 

SB Capital S.A., 5.13%, 10/29/22

09/19/19

 

3,273

 

3,073

 

0.2

 
 

SB Capital S.A., 5.25%, 05/23/23

09/19/19

 

210

 

198

 

 
 

Schaeffler Finance B.V., 3.25%, 05/15/25

03/27/15

 

108

 

104

 

 
 

Seazen Group Limited, 7.50%, 01/22/21

02/07/20

 

2,026

 

1,940

 

0.2

 
 

Shriram Transport Finance Company Limited, 5.95%, 10/24/22

11/01/19

 

909

 

668

 

0.1

 
 

State Bank of India, 3.25%, 01/24/22

07/17/17

 

702

 

693

 

0.1

 
 

Stichting AK Rabobank Certificaten II, 6.50%

01/17/17

 

738

 

596

 

0.1

 
 

Sunac China Holdings Limited, 8.63%, 07/27/20

12/04/18

 

300

 

298

 

 
 

Sunac China Holdings Limited, 6.88%, 08/08/20

05/17/19

 

201

 

198

 

 
 

Sunac China Holdings Limited, 8.38%, 01/15/21

03/01/19

 

709

 

693

 

0.1

 
 

Sunac China Holdings Limited, 7.88%, 02/15/22

02/10/20

 

938

 

873

 

0.1

 
 

Sunac China Holdings Limited, 7.25%, 06/14/22

12/10/19

 

709

 

655

 

0.1

 
 

Sunny Optical Technology (Group) Company Limited, 3.75%, 01/23/23

12/09/19

 

1,431

 

1,475

 

0.1

 
 

Tesco Property Finance 5 PLC, 5.66%, 10/13/41

01/31/17

 

723

 

907

 

0.1

 
 

Teva Pharmaceutical Finance Netherlands II B.V., 0.38%, 07/25/20

01/18/18

 

148

 

131

 

 
 

The Royal Bank of Scotland Group Public Limited Company, 1.75%, 03/02/26

06/04/19

 

679

 

622

 

0.1

 
 

Times China Holdings Limited, 7.63%, 02/21/22

12/10/19

 

411

 

384

 

 
 

UBS AG, 5.13%, 05/15/24

01/15/20

 

971

 

897

 

0.1

 
 

UBS AG, 4.75%, 02/12/26

08/27/19

 

461

 

434

 

 
 

UBS Group AG, 7.13%, callable at 100 beginning 08/10/21

01/28/20

 

2,427

 

2,243

 

0.2

 
 

UniCredit S.p.A., 7.50%, callable at 100 beginning 06/03/26

01/27/20

 

1,818

 

1,396

 

0.1

 
 

Vanke Real Estate (Hong Kong) Company Limited, 4.20%, 06/07/24

08/22/19

 

831

 

833

 

0.1

 
 

Virgin Media Secured Finance PLC, 6.25%, 03/28/29

07/06/16

 

116

 

111

 

 
 

Virgin Money UK PLC, 4.00%, 09/03/27

02/06/20

 

1,264

 

1,037

 

0.1

 

50


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

          

JNL/PIMCO Investment Grade Credit Bond Fund — Restricted Securities (continued)

  

Initial Acquisition

 

Cost ($)

 

Value ($)

 

Percent of

Net Assets (%)

 
 

Volkswagen Leasing Gesellschaft Mit Beschrankter Haftung, 2.13%, 04/04/22

02/04/19

 

817

 

774

 

0.1

 
    

54,720

 

50,273

 

4.0

 
                

JNL/PIMCO Investment Grade Credit Bond Fund — Futures Contracts

Reference Entity

 

Contracts1

 

Expiration

 

Notional1

 

Variation

Margin

Receivable

(Payable) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

Long Contracts

United States 10 Year Note

 

241

 

June 2020

  

32,053

 

(34)

  

1,370

 

United States 5 Year Note

 

927

 

July 2020

  

112,168

 

(43)

  

4,041

 

United States Ultra Bond

 

81

 

June 2020

  

16,306

 

(263)

  

1,665

 
         

(340)

  

7,076

 

Short Contracts

Euro Bund

 

(26)

 

June 2020

 

EUR

(4,545)

 

1

  

65

 

United States 2 Year Note

 

(39)

 

July 2020

  

(8,450)

 

1

  

(145)

 
         

2

  

(80)

 
                  

JNL/PIMCO Investment Grade Credit Bond Fund — Centrally Cleared Interest Rate Swap Agreements

Floating Rate Index2

 

Paying /

Receiving

Floating Rate

 

Fixed Rate2 (%)

 

Expiration

 

Notional1

 

Variation

Margin

Receivable

(Payable) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

28-Day MEXIBOR (M)

 

Paying

 

5.61

(M)

 

07/07/21

 

MXN

14,100

  

1

  

2

 

28-Day MEXIBOR (M)

 

Paying

 

5.84

(M)

 

09/14/21

 

MXN

1,600

  

  

1

 

28-Day MEXIBOR (M)

 

Paying

 

5.81

(M)

 

09/29/21

 

MXN

1,300

  

  

(3)

 

28-Day MEXIBOR (M)

 

Paying

 

5.75

(M)

 

09/30/21

 

MXN

1,600

  

  

(3)

 

28-Day MEXIBOR (M)

 

Paying

 

5.63

(M)

 

10/11/21

 

MXN

12,900

  

1

  

5

 

28-Day MEXIBOR (M)

 

Paying

 

7.68

(M)

 

12/29/22

 

MXN

52,400

  

3

  

126

 

28-Day MEXIBOR (M)

 

Paying

 

8.04

(M)

 

02/29/24

 

MXN

18,500

  

2

  

63

 

28-Day MEXIBOR (M)

 

Paying

 

7.85

(M)

 

04/17/24

 

MXN

82,300

  

7

  

255

 

28-Day MEXIBOR (M)

 

Paying

 

6.65

(M)

 

12/13/24

 

MXN

59,400

  

3

  

38

 

28-Day MEXIBOR (M)

 

Paying

 

6.48

(M)

 

02/21/25

 

MXN

120,800

  

6

  

17

 

3M Canada Bankers Acceptance (Q)

 

Paying

 

1.22

(S)

 

03/03/25

 

CAD

10,500

  

(20)

  

91

 

3M Canada Bankers Acceptance (Q)

 

Paying

 

1.24

(S)

 

03/04/25

 

CAD

4,700

  

(9)

  

44

 

3M Canada Bankers Acceptance (Q)

 

Paying

 

1.90

(S)

 

12/18/29

 

CAD

1,900

  

(8)

  

112

 

3M LIBOR (Q)

 

Receiving

 

1.30

(S)

 

03/11/25

  

4,500

  

(2)

  

(182)

 

3M LIBOR (Q)

 

Receiving

 

1.30

(S)

 

03/16/25

  

4,500

  

(2)

  

(183)

 

6M British Bankers' Association Yen LIBOR (S)

 

Receiving

 

1.00

(S)

 

09/20/24

 

JPY

127,500

  

(1)

  

(54)

 

6M British Bankers' Association Yen LIBOR (S)

 

Receiving

 

0.30

(S)

 

03/20/28

 

JPY

146,700

  

(2)

  

(33)

 

6M British Bankers' Association Yen LIBOR (S)

 

Receiving

 

0.45

(S)

 

03/20/29

 

JPY

132,800

  

(3)

  

(47)

 

6M BUBOR (S)

 

Paying

 

1.00

(A)

 

09/19/23

 

HUF

297,000

  

(7)

  

17

 

6M BUBOR (S)

 

Paying

 

1.25

(A)

 

09/19/23

 

HUF

906,900

  

(20)

  

45

 

6M EURIBOR (S)

 

Receiving

 

(0.15)

(A)

 

03/18/30

 

EUR

3,500

  

3

  

(16)

 

6M EURIBOR (S)

 

Receiving

 

0.15

(A)

 

06/17/30

 

EUR

2,400

  

2

  

(41)

 

6M EURIBOR (S)

 

Receiving

 

0.25

(A)

 

03/18/50

 

EUR

500

  

5

  

(43)

 

6M GBP LIBOR (S)

 

Receiving

 

0.75

(S)

 

03/18/30

 

GBP

1,500

  

(1)

  

(46)

 

6M GBP LIBOR (S)

 

Receiving

 

1.00

(S)

 

06/17/30

 

GBP

9,700

  

(5)

  

(241)

 

6M GBP LIBOR (S)

 

Receiving

 

0.75

(S)

 

03/18/50

 

GBP

1,700

  

(2)

  

(143)

 

6M GBP LIBOR (S)

 

Paying

 

0.75

(S)

 

03/18/25

 

GBP

300

  

  

4

 

BRAZIBOR (A)

 

Paying

 

6.43

(A)

 

01/04/27

 

BRL

11,700

  

13

  

(69)

 

BRAZIBOR (A)

 

Paying

 

7.05

(A)

 

01/04/27

 

BRL

14,400

  

16

  

21

 

Chilean Interbank Rate (S)

 

Paying

 

2.41

(S)

 

01/31/25

 

CLP

3,377,100

  

11

  

113

 

Chilean Interbank Rate (S)

 

Paying

 

2.39

(S)

 

02/05/25

 

CLP

3,315,000

  

11

  

138

 

Chilean Interbank Rate (S)

 

Paying

 

2.87

(S)

 

02/25/27

 

CLP

2,239,000

  

12

  

112

 

Chilean Interbank Rate (S)

 

Paying

 

3.24

(S)

 

12/04/29

 

CLP

432,800

  

4

  

27

 

Chilean Interbank Rate (S)

 

Paying

 

3.42

(S)

 

12/10/29

 

CLP

72,300

  

1

  

6

 

Chilean Interbank Rate (S)

 

Paying

 

3.03

(S)

 

02/06/30

 

CLP

2,374,700

  

27

  

84

 
            

46

  

217

 

51


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

                   

JNL/PIMCO Investment Grade Credit Bond Fund — Centrally Cleared Credit Default Swap Agreements

Reference Entity2

 

Fixed

Receive/

Pay Rate

(%)

 

Expiration

 

Notional1

 

Value ($)

 

Variation

Margin

Receivable

(Payable) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

Credit default swap agreements - purchase protection

CDX.NA.IG.33 (Q)

 

1.00

  

12/20/24

  

53,400

  

194

  

160

  

1,462

 

Darden Restaurants, Inc. (Q)

 

1.00

  

06/20/20

  

200

  

  

  

3

 

Newell Brands Inc. (Q)

 

1.00

  

06/20/23

  

1,300

  

5

  

(3)

  

21

 
          

199

  

157

  

1,486

 

Credit default swap agreements - sell protection

Anadarko Petroleum Corporation (Q)

 

1.00

  

06/20/21

  

(100)

  

(22)

  

(3)

  

(19)

 

Anadarko Petroleum Corporation (Q)

 

1.00

  

12/20/21

  

(400)

  

(108)

  

(16)

  

(89)

 

Anadarko Petroleum Corporation (Q)

 

1.00

  

06/20/22

  

(700)

  

(219)

  

(35)

  

(207)

 

AT&T Inc. (Q)

 

1.00

  

12/20/20

  

(7,500)

  

(14)

  

(2)

  

(64)

 

AT&T Inc. (Q)

 

1.00

  

12/20/24

  

(5,500)

  

(259)

  

3

  

(334)

 

Berkshire Hathaway Inc. (Q)

 

1.00

  

12/20/20

  

(200)

  

1

  

  

5

 

Berkshire Hathaway Inc. (Q)

 

1.00

  

06/20/21

  

(500)

  

6

  

  

 

Berkshire Hathaway Inc. (Q)

 

1.00

  

12/20/22

  

(5,600)

  

128

  

  

3

 

Berkshire Hathaway Inc. (Q)

 

1.00

  

12/20/22

  

(900)

  

21

  

  

4

 

British Telecommunications Public Limited Company (Q)

 

1.00

  

12/20/24

  

(700)

  

(6)

  

  

(15)

 

Canadian Natural Resources Limited (Q)

 

1.00

  

06/20/22

  

(200)

  

(3)

  

1

  

 

CDX.NA.IG.33 (Q)

 

1.00

  

12/20/29

  

(607,000)

  

(18,131)

  

(3,065)

  

(21,486)

 

D.R. Horton, Inc. (Q)

 

1.00

  

03/20/21

  

(100)

  

1

  

  

1

 

Daimler AG (Q)

 

1.00

  

12/20/20

  

(400)

  

1

  

  

(4)

 

Enbridge Inc. (Q)

 

1.00

  

12/20/21

  

(100)

  

(1)

  

(1)

  

3

 

Enbridge Inc. (Q)

 

1.00

  

06/20/22

  

(50)

  

(1)

  

  

(1)

 

Ford Motor Company (Q)

 

5.00

  

12/20/21

  

(100)

  

(6)

  

  

(21)

 

Ford Motor Company (Q)

 

5.00

  

06/20/23

  

(700)

  

(78)

  

(1)

  

(185)

 

General Electric Company (Q)

 

1.00

  

06/20/24

  

(300)

  

(12)

  

2

  

(8)

 

General Electric Company (Q)

 

1.00

  

12/20/24

  

(1,000)

  

(51)

  

7

  

(37)

 

Goldman Sachs Group Inc. (Q)

 

1.00

  

12/20/20

  

(800)

  

2

  

1

  

(11)

 

Goldman Sachs Group Inc. (Q)

 

1.00

  

06/20/21

  

(1,700)

  

2

  

2

  

(23)

 

Goldman Sachs Group Inc. (Q)

 

1.00

  

12/20/21

  

(1,400)

  

1

  

2

  

(17)

 

Host Hotels & Resorts, L.P. (Q)

 

1.00

  

12/20/20

  

(300)

  

1

  

  

(2)

 

ITRAXX.EUR.32 (Q)

 

1.00

  

12/20/24

  

(10,700)

  

24

  

(19)

  

(125)

 

ITRAXX.EUR.SR.26 (Q)

 

1.00

  

12/20/21

  

(1,400)

  

10

  

(4)

  

8

 

ITRAXX.EXJP.32 (Q)

 

1.00

  

12/20/24

  

(3,100)

  

12

  

12

  

(42)

 

MetLife, Inc. (Q)

 

1.00

  

06/20/22

  

(800)

  

10

  

(1)

  

 

MetLife, Inc. (Q)

 

1.00

  

12/20/22

  

(1,100)

  

14

  

(1)

  

(8)

 

MetLife, Inc. (Q)

 

1.00

  

12/20/24

  

(500)

  

4

  

  

(5)

 

Morgan Stanley (Q)

 

1.00

  

12/20/20

  

(300)

  

  

  

(4)

 

Prudential Financial, Inc. (Q)

 

1.00

  

06/20/21

  

(100)

  

1

  

  

 

Prudential Financial, Inc. (Q)

 

1.00

  

12/20/24

  

(800)

  

6

  

  

(6)

 

Rolls-Royce Group PLC (Q)

 

1.00

  

12/20/24

  

(2,700)

  

(387)

  

(69)

  

(395)

 

Rolls-Royce Group PLC (Q)

 

1.00

  

12/20/24

  

(2,500)

  

(359)

  

(64)

  

(364)

 

Ryder System, Inc. (Q)

 

1.00

  

06/20/22

  

(500)

  

4

  

1

  

(5)

 

Simon Property Group, L.P. (Q)

 

1.00

  

06/20/22

  

(400)

  

(6)

  

(1)

  

(7)

 

Sprint Communications, Inc. (Q)

 

5.00

  

09/20/20

  

(100)

  

2

  

  

(2)

 

Tesco PLC (Q)

 

1.00

  

12/20/24

  

(800)

  

  

1

  

 

The Boeing Company (Q)

 

1.00

  

12/20/20

  

(3,200)

  

(80)

  

(4)

  

(98)

 

The Sherwin-Williams Company (Q)

 

1.00

  

12/20/22

  

(1,000)

  

17

  

  

1

 

Viacom Inc. (Q)

 

1.00

  

06/20/21

  

(300)

  

1

  

(1)

  

(3)

 

Vodafone Group Public Limited Company (Q)

 

1.00

  

06/20/23

  

(400)

  

6

  

  

3

 

Vodafone Group Public Limited Company (Q)

 

1.00

  

06/20/24

  

(800)

  

11

  

(1)

  

3

 
          

(19,457)

  

(3,256)

  

(23,556)

 
                  

JNL/PIMCO Investment Grade Credit Bond Fund — OTC Purchased Options

Reference Entity

 

Counterparty

 

Put/Call

 

Exercise Price ($)/

Swaption Rate (%)

 

Expiration

 

Notional/

Contracts1

 

Value ($)

Interest Rate Swaptions

6M GBP LIBOR, 02/26/51

 

GSC

 

Put

  

0.86

 

02/26/21

 

GBP

1,700,000

   

83

 
                  
                   

JNL/PIMCO Investment Grade Credit Bond Fund — OTC Written Options

Reference Entity

 

Counterparty

 

Put/Call

 

Exercise Price ($)/ Swaption Rate(%)

 

Expiration

 

Notional/

Contracts1

 

Value ($)

Credit Default Swaptions

CDX.NA.IG.32, 06/20/24

 

GSC

 

Put

  

2.90

 

06/17/20

  

2,600,000

   

(2)

 

CDX.NA.IG.33, 12/20/24

 

DUB

 

Call

  

0.43

 

04/15/20

  

4,400,000

   

 

CDX.NA.IG.33, 12/20/24

 

GSC

 

Call

  

0.48

 

04/15/20

  

2,000,000

   

 

CDX.NA.IG.33, 12/20/24

 

GSC

 

Call

  

0.43

 

04/15/20

  

3,400,000

   

 

52


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

                   

JNL/PIMCO Investment Grade Credit Bond Fund — OTC Written Options (continued)

Reference Entity

 

Counterparty

 

Put/Call

 

Exercise Price ($)/ Swaption Rate(%)

 

Expiration

 

Notional/

Contracts1

 

Value ($)

CDX.NA.IG.33, 12/20/24

 

BNP

 

Put

  

0.65

 

05/20/20

  

4,100,000

   

(88)

 

CDX.NA.IG.33, 12/20/24

 

BNP

 

Put

  

0.68

 

05/20/20

  

300,000

   

(6)

 

CDX.NA.IG.33, 12/20/24

 

BNP

 

Put

  

0.80

 

06/17/20

  

1,800,000

   

(31)

 

CDX.NA.IG.33, 12/20/24

 

BOA

 

Put

  

0.65

 

04/15/20

  

6,700,000

   

(136)

 

CDX.NA.IG.33, 12/20/24

 

BOA

 

Put

  

0.80

 

06/17/20

  

2,400,000

   

(42)

 

CDX.NA.IG.33, 12/20/24

 

CSI

 

Put

  

0.63

 

04/15/20

  

4,000,000

   

(86)

 

CDX.NA.IG.33, 12/20/24

 

DUB

 

Put

  

0.60

 

04/15/20

  

4,400,000

   

(99)

 

CDX.NA.IG.33, 12/20/24

 

DUB

 

Put

  

0.85

 

06/17/20

  

1,900,000

   

(31)

 

CDX.NA.IG.33, 12/20/24

 

GSC

 

Put

  

0.70

 

04/15/20

  

2,000,000

   

(36)

 

CDX.NA.IG.33, 12/20/24

 

GSC

 

Put

  

0.55

 

04/15/20

  

3,400,000

   

(85)

 

CDX.NA.IG.33, 12/20/24

 

GSC

 

Put

  

0.80

 

06/17/20

  

2,500,000

   

(44)

 

CDX.NA.IG.33, 12/20/24

 

GSC

 

Put

  

2.50

 

03/17/21

  

3,200,000

   

(27)

 

CDX.NA.IG.33, 12/20/24

 

MSC

 

Put

  

0.65

 

04/15/20

  

4,500,000

   

(92)

 

CDX.NA.IG.33, 12/20/24

 

MSC

 

Put

  

0.85

 

06/17/20

  

2,400,000

   

(39)

 

ITRAXX.EUR.31.V2, 06/20/24

 

GSC

 

Put

  

3.00

 

06/17/20

 

EUR

2,800,000

   

(2)

 

ITRAXX.EUR.32, 12/20/24

 

GSC

 

Put

  

2.50

 

01/20/21

 

EUR

1,600,000

   

(19)

 

ITRAXX.EUR.32, 12/20/24

 

GSC

 

Put

  

2.50

 

03/17/21

 

EUR

2,900,000

   

(49)

 
                

(914)

 

Interest Rate Swaptions

6M GBP LIBOR, 02/26/31

 

GSC

 

Put

  

0.78

 

02/26/21

 

GBP

4,800,000

   

(83)

 
                  

JNL/PIMCO Investment Grade Credit Bond Fund — Forward Foreign Currency Contracts

                   

Purchased/

Sold

 

Counter-party

 

Expiration

 

Notional1

 

Value ($)

 

Unrealized

Appreciation

(Depreciation) ($)

BRL/USD

 

MSC

 

04/02/20

 

BRL

13,300

   

2,563

   

(397)

 

BRL/USD

 

MSC

 

05/05/20

 

BRL

5,281

   

1,015

   

(24)

 

COP/USD

 

GSC

 

05/29/20

 

COP

3,451,699

   

846

   

8

 

HUF/USD

 

MSC

 

04/09/20

 

HUF

8,938

   

27

   

(2)

 

HUF/USD

 

MSC

 

04/09/20

 

HUF

2,583

   

8

   

 

IDR/USD

 

CIT

 

06/17/20

 

IDR

40,602,818

   

2,472

   

(398)

 

JPY/USD

 

CIT

 

04/02/20

 

JPY

1,472,100

   

13,673

   

(32)

 

MXN/USD

 

CIT

 

04/22/20

 

MXN

9,504

   

401

   

(45)

 

MXN/USD

 

CIT

 

04/22/20

 

MXN

8,877

   

375

   

14

 

MXN/USD

 

JPM

 

04/22/20

 

MXN

5,301

   

224

   

14

 

MXN/USD

 

CIT

 

05/05/20

 

MXN

23,388

   

986

   

(218)

 

PLN/USD

 

SCB

 

06/10/20

 

PLN

5,069

   

1,225

   

(77)

 

RUB/USD

 

SCB

 

04/15/20

 

RUB

173,429

   

2,208

   

(487)

 

RUB/USD

 

UBS

 

04/15/20

 

RUB

70,733

   

901

   

(240)

 

USD/BRL

 

CIT

 

04/02/20

 

BRL

(454)

   

(88)

   

11

 

USD/BRL

 

GSC

 

04/02/20

 

BRL

(1,961)

   

(378)

   

52

 

USD/BRL

 

MSC

 

04/02/20

 

BRL

(10,885)

   

(2,098)

   

151

 

USD/CAD

 

BCL

 

05/15/20

 

CAD

(2,173)

   

(1,543)

   

95

 

USD/EUR

 

GSC

 

04/02/20

 

EUR

(21,908)

   

(24,135)

   

267

 

USD/EUR

 

GSC

 

05/04/20

 

EUR

(279)

   

(308)

   

(1)

 

USD/GBP

 

BNP

 

04/02/20

 

GBP

(8,614)

   

(10,715)

   

307

 

USD/HUF

 

MSC

 

04/09/20

 

HUF

(30,600)

   

(93)

   

6

 

USD/IDR

 

CIT

 

06/17/20

 

IDR

(19,378,011)

   

(1,180)

   

165

 

USD/MXN

 

CIT

 

05/05/20

 

MXN

(13,116)

   

(553)

   

38

 

USD/PEN

 

BNP

 

04/30/20

 

PEN

(5,076)

   

(1,477)

   

32

 

USD/PEN

 

CIT

 

05/18/20

 

PEN

(2,247)

   

(653)

   

6

 

USD/PEN

 

BNP

 

05/29/20

 

PEN

(11,181)

   

(3,250)

   

(85)

 

USD/RUB

 

UBS

 

04/15/20

 

RUB

(8,168)

   

(104)

   

(2)

 

USD/TRY

 

CIT

 

04/13/20

 

TRY

(407)

   

(61)

   

 
           

(19,712)

   

(842)

 
                           

JNL/PIMCO Investment Grade Credit Bond Fund — OTC Credit Default Swap Agreements

Reference Entity2

 

Counter-party

 

Implied

Credit

Spread

(%)

 

Fixed

Receive/

Pay Rate

(%)

 

Expiration

 

Notional1 ($)

 

Value ($)

 

Premiums

Paid

(Received) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

Credit default swap agreements - sell protection

Alibaba Group Holding Limited (Q)

 

BCL

 

0.98

  

1.00

  

12/20/24

  

(200)

   

   

3

   

(3)

 

Alibaba Group Holding Limited (Q)

 

BNP

 

0.98

  

1.00

  

12/20/24

  

(300)

   

   

4

   

(4)

 

BHP Billiton Finance (USA) Limited (Q)

 

BNP

 

0.19

  

1.00

  

06/20/21

  

(200)

   

2

   

(6)

   

8

 

CDX.NA.HY.25.V7 (Q)

 

BOA

 

N/A

  

5.00

  

12/20/20

  

(100)

   

3

   

1

   

2

 

CDX.NA.HY.27.V5 (Q)

 

BOA

 

N/A

  

5.00

  

12/20/21

  

(300)

   

14

   

46

   

(32)

 

CDX.NA.HY.27.V5 (Q)

 

CGM

 

N/A

  

5.00

  

12/20/21

  

(600)

   

27

   

52

   

(25)

 

CDX.NA.HY.27.V5 (Q)

 

JPM

 

N/A

  

5.00

  

12/20/21

  

(200)

   

9

   

17

   

(8)

 

CDX.NA.HY.29.V3 (Q)

 

GSC

 

N/A

  

5.00

  

12/20/22

  

(100)

   

4

   

14

   

(10)

 

CDX.NA.HY.29.V3 (Q)

 

JPM

 

N/A

  

5.00

  

12/20/22

  

(200)

   

8

   

32

   

(24)

 

CDX.NA.HY.31.V4 (Q)

 

BNP

 

N/A

  

5.00

  

12/20/23

  

(100)

   

2

   

12

   

(10)

 

CDX.NA.HY.31.V4 (Q)

 

CGM

 

N/A

  

5.00

  

12/20/23

  

(200)

   

3

   

21

   

(18)

 

CDX.NA.HY.31.V4 (Q)

 

GSC

 

N/A

  

5.00

  

12/20/23

  

(500)

   

6

   

59

   

(53)

 

CDX.NA.HY.31.V4 (Q)

 

JPM

 

N/A

  

5.00

  

12/20/23

  

(400)

   

4

   

45

   

(41)

 

CDX.NA.HY.31.V4 (Q)

 

MSC

 

N/A

  

5.00

  

12/20/23

  

(100)

   

1

   

12

   

(11)

 

CMBX.NA.AAA.10 (M)

 

GSC

 

N/A

  

0.50

  

11/17/59

  

(100)

   

(1)

   

(3)

   

2

 

CMBX.NA.AAA.10 (M)

 

MSC

 

N/A

  

0.50

  

11/17/59

  

(100)

   

(1)

   

(3)

   

2

 

53


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

                           

JNL/PIMCO Investment Grade Credit Bond Fund — OTC Credit Default Swap Agreements (continued)

Reference Entity2

 

Counter-party

 

Implied

Credit

Spread

(%)

 

Fixed

Receive/

Pay Rate

(%)

 

Expiration

 

Notional1 ($)

 

Value ($)

 

Premiums

Paid

(Received) ($)

 

Unrealized

Appreciation

(Depreciation) ($)

CMBX.NA.AAA.10 (M)

 

UBS

 

N/A

  

0.50

  

11/17/59

  

(100)

   

(1)

   

(3)

   

2

 

CMBX.NA.AAA.8 (M)

 

CSI

 

N/A

  

0.50

  

10/17/57

  

(300)

   

   

(15)

   

15

 

CMBX.NA.AAA.9 (M)

 

GSC

 

N/A

  

0.50

  

09/17/58

  

(4,000)

   

(25)

   

(161)

   

136

 

CMBX.NA.AAA.9 (M)

 

MSC

 

N/A

  

0.50

  

09/17/58

  

(500)

   

(3)

   

(19)

   

16

 

CNAC (HK) Finbridge Company Limited (Q)

 

BCL

 

2.06

  

1.00

  

12/20/24

  

(300)

   

(14)

   

(6)

   

(8)

 

CNOOC Finance (2002) Limited (Q)

 

BNP

 

0.92

  

1.00

  

12/20/24

  

(500)

   

2

   

10

   

(8)

 

Gazprom OAO (Q)

 

BOA

 

1.32

  

1.00

  

06/20/20

  

(100)

   

   

(16)

   

16

 

Gazprom OAO (Q)

 

JPM

 

1.32

  

1.00

  

06/20/20

  

(50)

   

   

(8)

   

8

 

Gobierno Federal de los Estados Unidos Mexicanos (Q)

 

BCL

 

1.81

  

1.00

  

06/20/23

  

(800)

   

(20)

   

(8)

   

(12)

 

Gobierno Federal de los Estados Unidos Mexicanos (Q)

 

BNP

 

2.06

  

1.00

  

06/20/24

  

(200)

   

(8)

   

(3)

   

(5)

 

Gobierno Federal de los Estados Unidos Mexicanos (Q)

 

BNP

 

1.95

  

1.00

  

12/20/23

  

(300)

   

(10)

   

(6)

   

(4)

 

Gobierno Federal de los Estados Unidos Mexicanos (Q)

 

CGM

 

2.06

  

1.00

  

06/20/24

  

(100)

   

(5)

   

(2)

   

(3)

 

Gobierno Federal de los Estados Unidos Mexicanos (Q)

 

GSC

 

1.81

  

1.00

  

06/20/23

  

(1,300)

   

(33)

   

(12)

   

(21)

 

Gobierno Federal de los Estados Unidos Mexicanos (Q)

 

GSC

 

2.23

  

1.00

  

12/20/24

  

(100)

   

(6)

   

(1)

   

(5)

 

Gobierno Federal de los Estados Unidos Mexicanos (Q)

 

JPM

 

2.06

  

1.00

  

06/20/24

  

(100)

   

(5)

   

(2)

   

(3)

 

Gobierno Federal de los Estados Unidos Mexicanos (Q)

 

MSC

 

2.23

  

1.00

  

12/20/24

  

(800)

   

(44)

   

(5)

   

(39)

 

Huarong Finance Co., Ltd. (Q)

 

BOA

 

0.65

  

1.00

  

10/23/20

  

(300)

   

1

   

   

1

 

MCDX.CDSI.24 (Q)

 

MSC

 

N/A

  

1.00

  

06/20/25

  

(150)

   

3

   

(5)

   

8

 

Mexico (United Mexican States) (Q)

 

BCL

 

1.47

  

1.00

  

06/20/22

  

(2,600)

   

(25)

   

(37)

   

12

 

Pemex Project Funding Master Trust (Q)

 

BCL

 

8.94

  

1.00

  

09/20/20

  

(900)

   

(33)

   

(46)

   

13

 

Pemex Project Funding Master Trust (Q)

 

BCL

 

9.20

  

1.00

  

06/20/22

  

(400)

   

(64)

   

(17)

   

(47)

 

Pemex Project Funding Master Trust (Q)

 

BNP

 

9.20

  

1.00

  

06/20/22

  

(1,700)

   

(271)

   

(103)

   

(168)

 

Pemex Project Funding Master Trust (Q)

 

DUB

 

9.20

  

1.00

  

06/20/22

  

(700)

   

(111)

   

(28)

   

(83)

 

Pemex Project Funding Master Trust (Q)

 

DUB

 

9.39

  

1.00

  

12/20/21

  

(200)

   

(26)

   

(18)

   

(8)

 

Pemex Project Funding Master Trust (Q)

 

GSC

 

8.94

  

1.00

  

09/20/20

  

(250)

   

(9)

   

(13)

   

4

 

Presidência Da República Federativa Do Brasil (Q)

 

CGM

 

2.56

  

1.00

  

12/20/24

  

(600)

   

(41)

   

(10)

   

(31)

 

Presidência Da República Federativa Do Brasil (Q)

 

CSI

 

0.93

  

1.00

  

09/20/20

  

(200)

   

   

(14)

   

14

 

Presidência Da República Federativa Do Brasil (Q)

 

DUB

 

1.79

  

1.00

  

06/20/22

  

(200)

   

(3)

   

(13)

   

10

 

Presidência Da República Federativa Do Brasil (Q)

 

GSC

 

2.56

  

1.00

  

12/20/24

  

(500)

   

(35)

   

(8)

   

(27)

 

Presidencia de la Republica de Colombia (Q)

 

DUB

 

1.05

  

1.00

  

06/20/21

  

(650)

   

(1)

   

(19)

   

18

 

Presidencia de la Republica de Colombia (Q)

 

UBS

 

1.05

  

1.00

  

06/20/21

  

(650)

   

   

(19)

   

19

 

PT Pertamina (Persero) (Q)

 

BCL

 

2.50

  

1.00

  

12/20/24

  

(400)

   

(26)

   

(4)

   

(22)

 

Segretariato Generale Della Presidenza Della Repubblica (Q)

 

BCL

 

1.57

  

1.00

  

06/20/24

  

(400)

   

(9)

   

(9)

   

 

Segretariato Generale Della Presidenza Della Repubblica (Q)

 

BCL

 

0.45

  

1.00

  

06/20/20

  

(1,200)

   

1

   

(2)

   

3

 

Segretariato Generale Della Presidenza Della Repubblica (Q)

 

BCL

 

1.68

  

1.00

  

12/20/24

  

(800)

   

(24)

   

2

   

(26)

 

Segretariato Generale Della Presidenza Della Repubblica (Q)

 

BOA

 

0.45

  

1.00

  

06/20/20

  

(400)

   

   

(1)

   

1

 

Segretariato Generale Della Presidenza Della Repubblica (Q)

 

BOA

 

1.57

  

1.00

  

06/20/24

  

(400)

   

(9)

   

(8)

   

(1)

 

Segretariato Generale Della Presidenza Della Repubblica (Q)

 

GSC

 

0.45

  

1.00

  

06/20/20

  

(300)

   

   

(1)

   

1

 

Sinopec Group Overseas Development (2018) Limited (Q)

 

BCL

 

0.95

  

1.00

  

12/20/24

  

(300)

   

1

   

5

   

(4)

 

Sinopec Group Overseas Development (2018) Limited (Q)

 

GSC

 

0.95

  

1.00

  

12/20/24

  

(200)

   

   

3

   

(3)

 

South Africa, Parliament of (Q)

 

BCL

 

4.01

  

1.00

  

12/20/24

  

(800)

   

(101)

   

(30)

   

(71)

 

South Africa, Parliament of (Q)

 

CGM

 

2.65

  

1.00

  

06/20/21

  

(600)

   

(12)

   

(50)

   

38

 

South Africa, Parliament of (Q)

 

GSC

 

4.01

  

1.00

  

12/20/24

  

(1,000)

   

(127)

   

(40)

   

(87)

 

State Grid Overseas Investment Limited (Q)

 

BCL

 

0.94

  

1.00

  

12/20/24

  

(300)

   

   

4

   

(4)

 

The Republic of Indonesia, The Government of (Q)

 

GSC

 

1.38

  

1.00

  

06/20/23

  

(300)

   

(3)

   

(4)

   

1

 
           

(30,650)

   

(1,015)

   

(436)

   

(579)

 

54


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 

JNL/T. Rowe Price Capital Appreciation Fund

COMMON STOCKS 68.0%

Health Care 16.4%

 

Alcon AG (a)

 

1,653

 

84,551

 
 

Avantor, Inc. (a)

 

1,766

 

22,063

 
 

Becton, Dickinson and Company (b)

 

415

 

95,293

 
 

Danaher Corporation (b)

 

1,000

 

138,449

 
 

Envista Holdings Corporation (a)

 

1,408

 

21,038

 
 

Humana Inc.

 

579

 

181,774

 
 

PerkinElmer Inc.

 

1,939

 

146,008

 
 

Thermo Fisher Scientific Inc. (b)

 

492

 

139,405

 
 

UnitedHealth Group Incorporated

 

405

 

100,924

 
 

929,505

 

Information Technology 15.5%

 

Fiserv, Inc. (a)

 

2,313

 

219,698

 
 

Global Payments Inc.

 

641

 

92,459

 
 

Maxim Integrated Products, Inc.

 

1,534

 

74,568

 
 

Microsoft Corporation (b)

 

1,416

 

223,333

 
 

NXP Semiconductors N.V. (b)

 

1,682

 

139,470

 
 

TE Connectivity Ltd.

 

447

 

28,129

 
 

Visa Inc. - Class A (b)

 

648

 

104,482

 
 

882,139

 

Industrials 10.7%

 

Fortive Corporation

 

2,326

 

128,396

 
 

General Electric Company (b)

 

27,245

 

216,325

 
 

Ingersoll Rand Inc. (a)

 

1,924

 

47,705

 
 

Raytheon Company

 

679

 

89,084

 
 

Roper Technologies, Inc. (b)

 

310

 

96,772

 
 

Waste Connections, Inc.

 

386

 

29,926

 
 

608,208

 

Consumer Discretionary 7.9%

 

Amazon.com, Inc. (a)

 

73

 

142,022

 
 

Aptiv PLC (b)

 

522

 

25,683

 
 

Hilton Worldwide Holdings Inc. (b)

 

1,572

 

107,269

 
 

Marriott International, Inc. - Class A

 

769

 

57,528

 
 

Yum! Brands, Inc.

 

1,665

 

114,097

 
 

446,599

 

Utilities 5.1%

 

Ameren Corporation

 

698

 

50,838

 
 

American Electric Power Company, Inc. (b)

 

1,069

 

85,501

 
 

NextEra Energy, Inc. (b)

 

80

 

19,316

 
 

NiSource Inc.

 

3,079

 

76,893

 
 

Xcel Energy Inc. (b)

 

911

 

54,941

 
 

287,489

 

Financials 4.6%

 

Intercontinental Exchange, Inc.

 

1,283

 

103,598

 
 

Marsh & McLennan Companies, Inc.

 

1,848

 

159,786

 
 

263,384

 

Communication Services 4.1%

 

Alphabet Inc. - Class A (a)

 

 

7

 
 

Alphabet Inc. - Class C (a) (b)

 

113

 

131,165

 
 

Facebook, Inc. - Class A (a) (b)

 

621

 

103,516

 
 

234,688

 

Consumer Staples 2.5%

 

Keurig Dr Pepper Inc. (c)

 

5,956

 

144,541

 

Materials 1.0%

 

Linde Public Limited Company

 

336

 

58,070

 

Energy 0.2%

 

Concho Resources Inc.

 

206

 

8,831

 
 

Total Common Stocks (cost $4,063,515)

3,863,454

 

CORPORATE BONDS AND NOTES 11.0%

Communication Services 4.2%

 

CCO Holdings, LLC

     
 

5.25%, 09/30/22

 

7,200

 

7,253

 
 

4.00%, 03/01/23 (c) (d)

 

5,947

 

5,936

 
 

5.88%, 04/01/24 (d)

 

6,915

 

7,071

 
 

5.13%, 05/01/23 - 05/01/27 (d)

 

30,321

 

30,529

 
 

5.00%, 02/01/28 (d)

 

32,914

 

33,039

 
 

Charter Communications Operating, LLC

     
 

3.58%, 07/23/20

 

2,525

 

2,538

 
 

Netflix, Inc.

     
 

5.38%, 02/01/21

 

2,870

 

2,901

 
 

5.50%, 02/15/22

 

1,605

 

1,653

 
 

4.38%, 11/15/26

 

22,835

 

23,204

 
 

4.88%, 04/15/28

 

36,102

 

36,739

 
 

5.88%, 02/15/25 - 11/15/28

 

49,755

 

53,344

 
 

6.38%, 05/15/29

 

23,290

 

25,678

 
 

Sirius XM Radio Inc.

     
 

4.63%, 05/15/23 (d)

 

4,215

 

4,220

 
 

T-Mobile USA, Inc.

     
 

6.00%, 03/01/23

 

1,815

 

1,825

 
 

6.50%, 01/15/26

 

1,025

 

1,077

 
 

237,007

 

Consumer Discretionary 1.9%

 

Cedar Fair, L.P.

     
 

5.38%, 06/01/24 - 04/15/27

 

13,422

 

11,668

 
 

5.25%, 07/15/29 (d)

 

2,145

 

1,829

 
 

Dollar Tree, Inc.

     
 

2.54%, (3M USD LIBOR + 0.70%), 04/17/20 (e)

 

315

 

315

 
 

Hilton Domestic Operating Company Inc.

     
 

4.25%, 09/01/24

 

3,095

 

2,894

 
 

KFC Holding Co.

     
 

5.00%, 06/01/24 (d)

 

11,835

 

11,575

 
 

5.25%, 06/01/26 (d)

 

13,015

 

13,109

 
 

4.75%, 06/01/27 (d)

 

22,450

 

21,135

 
 

Marriott International, Inc.

     
 

1.65%, (3M USD LIBOR + 0.65%), 03/08/21 (e)

 

1,485

 

1,473

 
 

Service Corporation International

     
 

5.38%, 05/15/24 (c)

 

3,800

 

3,866

 
 

Six Flags Operations Inc.

     
 

4.88%, 07/31/24 (c) (d)

 

5,680

 

4,866

 
 

5.50%, 04/15/27 (c) (d)

 

5,344

 

4,509

 
 

Yum! Brands, Inc.

     
 

3.88%, 11/01/20 (c)

 

5,645

 

5,602

 
 

3.75%, 11/01/21

 

10,046

 

9,678

 
 

3.88%, 11/01/23

 

5,450

 

5,158

 
 

6.88%, 11/15/37

 

3,355

 

3,225

 
 

5.35%, 11/01/43

 

11,005

 

9,334

 
 

110,236

 

Health Care 1.5%

 

Avantor, Inc.

     
 

6.00%, 10/01/24 (d)

 

10,440

 

10,945

 
 

9.00%, 10/01/25 (d)

 

54,087

 

56,907

 
 

Becton, Dickinson and Company

     
 

2.03%, (3M USD LIBOR + 1.03%), 06/06/22 (e)

 

2,765

 

2,621

 
 

Elanco Animal Health

     
 

4.66%, 08/27/21 (f)

 

3,940

 

3,963

 
 

Fresenius Medical Care

     
 

5.75%, 02/15/21 (d)

 

380

 

387

 
 

Hologic, Inc.

     
 

4.38%, 10/15/25 (d)

 

4,031

 

4,027

 
 

Teleflex Incorporated

     
 

4.88%, 06/01/26

 

4,900

 

4,878

 
 

4.63%, 11/15/27

 

2,185

 

2,201

 
 

85,929

 

Information Technology 1.1%

 

Amphenol Corporation

     
 

2.20%, 04/01/20

 

2,765

 

2,765

 
 

Fiserv, Inc.

     
 

2.70%, 06/01/20

 

4,825

 

4,817

 
 

Refinitiv US Holdings Inc.

     
 

6.25%, 05/15/26 (d)

 

7,023

 

7,345

 
 

8.25%, 11/15/26 (d)

 

8,750

 

9,292

 
 

Solera, LLC

     
 

10.50%, 03/01/24 (d)

 

38,165

 

37,382

 
 

61,601

 

Industrials 0.8%

 

General Electric Company

     
 

5.00%, (callable at 100 beginning 01/21/21) (g)

 

31,020

 

25,661

 
 

Korn Ferry

     
 

4.63%, 12/15/27 (d)

 

1,285

 

1,122

 
 

Lennox International Inc.

     
 

3.00%, 11/15/23

 

340

 

330

 

55


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 
 

Manitowoc Foodservice Companies, LLC

     
 

9.50%, 02/15/24

 

2,067

 

1,757

 
 

Reynolds Group Holdings Inc.

     
 

5.33%, (3M USD LIBOR + 3.50%), 07/15/21 (d) (e)

 

3,425

 

3,333

 
 

5.13%, 07/15/23 (d)

 

4,670

 

4,667

 
 

Sensata Technologies B.V.

     
 

4.88%, 10/15/23 (d)

 

2,715

 

2,636

 
 

5.63%, 11/01/24 (d)

 

670

 

652

 
 

5.00%, 10/01/25 (d)

 

4,400

 

4,191

 
 

Sensata Technologies UK Financing Co. PLC

     
 

6.25%, 02/15/26 (d)

 

2,235

 

2,187

 
 

Xylem Inc.

     
 

4.88%, 10/01/21

 

125

 

130

 
 

3.25%, 11/01/26

 

220

 

218

 
 

46,884

 

Financials 0.8%

 

HUB International Limited

     
 

7.00%, 05/01/26 (d)

 

1,920

 

1,902

 
 

Level 3 Financing, Inc.

     
 

5.38%, 08/15/22

 

4,014

 

4,031

 
 

Reckitt Benckiser Treasury Services PLC

     
 

1.76%, (3M USD LIBOR + 0.56%), 06/24/22 (d) (e)

 

3,800

 

3,797

 
 

2.38%, 06/24/22 (d)

 

9,875

 

9,775

 
 

State Street Corporation

     
 

5.25%, (callable at 100 beginning 09/15/20) (g)

 

2,150

 

1,871

 
 

The Bank of New York Mellon Corporation

     
 

4.63%, (callable at 100 beginning 09/20/26) (g)

 

5,560

 

5,013

 
 

4.95%, (callable at 100 beginning 06/20/20) (g)

 

6,475

 

5,649

 
 

The PNC Financial Services Group, Inc.

     
 

5.00%, (callable at 100 beginning 11/01/26) (g)

 

9,185

 

8,450

 
 

U.S. Bancorp

     
 

5.30%, (callable at 100 beginning 04/15/27) (g)

 

2,650

 

2,562

 
 

USIS Merger Sub, Inc.

     
 

6.88%, 05/01/25 (d)

 

974

 

919

 
 

43,969

 

Utilities 0.4%

 

Eversource Energy

     
 

2.75%, 03/15/22

 

2,725

 

2,721

 
 

3.80%, 12/01/23

 

1,160

 

1,204

 
 

NiSource Finance Corp.

     
 

3.49%, 05/15/27

 

9,215

 

9,286

 
 

4.38%, 05/15/47

 

5,555

 

5,705

 
 

NiSource Inc.

     
 

5.65%, (callable at 100 beginning 06/15/23) (g)

 

4,655

 

4,014

 
 

22,930

 

Real Estate 0.3%

 

SBA Communications Corporation

     
 

4.00%, 10/01/22

 

8,155

 

8,155

 
 

4.88%, 09/01/24

 

3,230

 

3,277

 
 

3.88%, 02/15/27 (d)

 

2,945

 

2,955

 
 

14,387

 

Energy 0.0%

 

NuStar Logistics, L.P.

     
 

4.80%, 09/01/20

 

2,190

 

1,909

 

Consumer Staples 0.0%

 

Conagra Brands, Inc.

     
 

2.55%, (3M USD LIBOR + 0.75%), 10/22/20 (e)

 

611

 

603

 
 

Total Corporate Bonds And Notes (cost $631,677)

625,455

 

SENIOR LOAN INTERESTS 7.0%

Information Technology 4.0%

 

CCC Information Services, Inc.

     
 

Term Loan, 0.00%, (1M LIBOR + 2.75%), 03/30/24 (e) (h)

 

12,836

 

11,644

 
 

2017 1st Lien Term Loan, 3.75%, (1M LIBOR + 2.75%), 03/30/24 (e)

 

36,437

 

33,053

 
 

Emerald TopCo Inc

     
 

Term Loan, 0.00%, (1M LIBOR + 3.50%), 07/16/26 (e) (h)

 

4,214

 

3,835

 
 

Term Loan, 4.49%, (1M LIBOR + 3.50%), 07/16/26 (e)

 

5,050

 

4,595

 
 

Gartner, Inc.

     
 

2016 Term Loan A, 2.49%, (1M LIBOR + 1.50%), 03/20/22 (e)

 

818

 

777

 
 

Kronos Incorporated

     
 

2017 Term Loan B, 4.76%, (3M LIBOR + 3.00%), 11/01/23 (e)

 

63,787

 

57,900

 
 

Refinitiv US Holdings Inc.

     
 

Term Loan, 0.00%, (1M LIBOR + 3.25%), 09/12/25 (e) (h)

 

3,665

 

3,503

 
 

2018 USD Term Loan, 4.24%, (1M LIBOR + 3.25%), 09/12/25 (e)

 

116,815

 

111,656

 
 

Ultimate Software Group Inc(The)

     
 

Term Loan B, 4.74%, (1M LIBOR + 3.75%), 04/08/26 (e)

 

1,881

 

1,746

 
 

228,709

 

Financials 1.8%

 

AmWINS Group, Inc.

     
 

2017 Term Loan B, 3.75%, (1M LIBOR + 2.75%), 01/19/24 (e)

 

1,397

 

1,287

 
 

2017 Term Loan B, 3.77%, (1M LIBOR + 2.75%), 01/19/24 (e)

 

280

 

258

 
 

Hub International Limited

     
 

Term Loan, 0.00%, (3M LIBOR + 4.00%), 04/25/25 (e) (h)

 

520

 

488

 
 

Term Loan, 0.00%, (3M LIBOR + 2.75%), 04/25/25 (e) (h)

 

630

 

585

 
 

2018 Term Loan B, 4.39%, (3M LIBOR + 2.75%), 04/25/25 (e)

 

4,113

 

3,821

 
 

2018 Term Loan B, 4.52%, (3M LIBOR + 2.75%), 04/25/25 (e)

 

220

 

204

 
 

Term Loan, 4.55%, (3M LIBOR + 2.75%), 04/25/25 (e)

 

86,264

 

80,139

 
 

2019 Incremental Term Loan B, 5.69%, (3M LIBOR + 4.00%), 04/25/25 (e)

 

15,506

 

14,537

 
 

101,319

 

Consumer Discretionary 0.4%

 

Delta 2 (LUX) S.a.r.l.

     
 

2018 USD Term Loan, 3.50%, (1M LIBOR + 2.50%), 02/01/24 (e)

 

3,050

 

2,708

 
 

Four Seasons Hotels Limited

     
 

Term Loan, 0.00%, (1M LIBOR + 2.00%), 11/30/23 (e) (h)

 

3,170

 

2,853

 
 

New 1st Lien Term Loan, 2.99%, (1M LIBOR + 2.00%), 11/30/23 (e)

 

1,247

 

1,122

 
 

LGC Group TL B 1L

     
 

Term Loan, 0.00%, (3M LIBOR + 3.50%), 01/24/27 (e) (h)

 

17,685

 

15,209

 
 

21,892

 

Consumer Staples 0.3%

 

Sunshine Luxembourg VII SARL

     
 

Term Loan, 0.00%, (3M LIBOR + 4.25%), 07/12/26 (e) (h)

 

3,965

 

3,545

 
 

USD Term Loan B1, 5.32%, (3M LIBOR + 4.25%), 07/12/26 (e)

 

16,723

 

14,950

 
 

18,495

 

Industrials 0.3%

 

CPI Holdco, LLC

     
 

2019 Term Loan, 5.70%, (3M LIBOR + 4.25%), 10/28/26 (e) (i)

 

1,870

 

1,608

 
 

USI, Inc.

     
 

Term Loan, 0.00%, (3M LIBOR + 3.00%), 05/16/24 (e) (h)

 

865

 

787

 
 

2017 Repriced Term Loan, 3.99%, (3M LIBOR + 3.00%), 05/16/24 (e)

 

16,896

 

15,375

 
 

17,770

 

Health Care 0.2%

 

NVA Holdings, Inc.

     
 

2019 Term Loan A3, 3.24%, (1M LIBOR + 2.25%), 09/19/22 (e)

 

11,625

 

11,574

 
 

Prestige Brands, Inc.

     
 

Term Loan B4, 2.99%, (1M LIBOR + 2.00%), 01/20/24 (e)

 

96

 

89

 
 

11,663

 

56


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

        
  

Shares/Par1

 

Value ($)

 

Materials 0.0%

 

H.B. Fuller Company

     
 

2017 Term Loan B, 2.77%, (1M LIBOR + 2.00%), 10/11/24 (e)

 

1,075

 

926

 
 

Total Senior Loan Interests (cost $428,613)

400,774

 

PREFERRED STOCKS 4.4%

Utilities 1.5%

 

Alabama Power Company - Series A, 5.00%, (callable at 100 beginning 10/01/22) (g)

 

55

 

1,405

 
 

American Electric Power Company, Inc., 6.13%, 03/15/22 (j)

 

128

 

6,180

 
 

CMS Energy Corporation, 5.88%, 10/15/78

 

585

 

14,742

 
 

CMS Energy Corporation, 5.88%, 03/01/79

 

750

 

18,938

 
 

DTE Energy Company, 5.25%, 12/01/77

 

367

 

8,803

 
 

Duke Energy Corporation, 5.63%, 09/15/78

 

358

 

9,173

 
 

NextEra Energy, Inc., 5.28%, 03/01/23 (a) (j)

 

354

 

15,624

 
 

NiSource Inc., 6.50%, (callable at 25 beginning 03/15/24) (g)

 

330

 

8,374

 
 

83,239

 

Financials 1.4%

 

JPMorgan Chase & Co., 5.75%, (callable at 25 beginning 12/01/23) (g)

 

174

 

4,414

 
 

The Charles Schwab Corporation, 5.95%, (callable at 100 beginning 06/01/21) (g)

 

4

 

101

 
 

The Charles Schwab Corporation - Series C, 6.00%, (callable at 25 beginning 12/01/20) (g)

 

73

 

1,849

 
 

U.S. Bancorp - Series F, 6.50%, (callable at 25 beginning 01/15/22) (g)

 

25

 

644

 
 

U.S. Bancorp, 5.50%, (callable at 25 beginning 10/15/23) (g)

 

200

 

4,984

 
 

Wells Fargo & Company - Series L, 7.50% (g) (j)

 

52

 

66,415

 
 

78,407

 

Health Care 1.3%

 

Avantor, Inc., 6.25%, 05/15/22 (j)

 

813

 

35,269

 
 

Becton, Dickinson and Company - Series A, 6.13%, 05/01/20 (j)

 

757

 

39,600

 
 

Elanco Animal Health, 5.00%, 02/01/23 (a) (c) (j)

 

31

 

1,257

 
 

76,126

 

Industrials 0.2%

 

Fortive Corporation - Series A, 5.00%, 07/01/21 (j)

 

14

 

9,779

 
 

Total Preferred Stocks (cost $266,222)

247,551

 

NON-U.S. GOVERNMENT AGENCY ASSET-BACKED SECURITIES 0.2%

 

Domino's Pizza, Inc.

     
 

Series 2018-A2I-1A, 4.12%, 10/25/25

 

3,393

 

3,260

 
 

Series 2017-A23-1A, 4.12%, 07/26/27

 

3,670

 

3,333

 
 

Series 2019-A2-1A, 3.67%, 10/25/29 (d)

 

2,933

 

2,610

 
 

United Airlines, Inc.

     
 

Series 2012-A-1, 4.15%, 04/11/24

 

14

 

13

 
 

US Airways, Inc.

     
 

Series 2012-B-2, 6.75%, 06/03/21

 

118

 

116

 
 

Series 2012-PTT-2A, 4.63%, 06/03/25

 

313

 

304

 
 

Series 2013-A-1, 3.95%, 11/15/25

 

192

 

183

 
 

Wendy's Funding, LLC

     
 

Series 2018-A2I-1A, 3.57%, 03/15/48

 

2,303

 

2,091

 
 

Total Non-U.S. Government Agency Asset-Backed Securities (cost $12,872)

11,910

 

TRUST PREFERREDS 0.1%

Utilities 0.1%

 

SCE Trust III, 5.75%, (callable at 25 beginning 03/15/24) (g)

 

8

 

161

 
 

SCE Trust IV, 5.38%, (callable at 25 beginning 09/15/25) (g)

 

343

 

6,366

 
 

Total Trust Preferreds (cost $7,346)

6,527

 

INVESTMENT COMPANIES 0.0%

 

T. Rowe Price Institutional Floating Rate Fund (k)

 

129

 

1,120

 
 

Total Investment Companies (cost $1,317)

1,120

 

SHORT TERM INVESTMENTS 9.3%

Investment Companies 9.0%

 

JNL Government Money Market Fund - Institutional Class, 0.23% (k) (l)

 

43,210

 

43,210

 
 

T. Rowe Price Government Reserve Fund, 0.88% (k) (l)

 

468,447

 

468,447

 
 

511,657

 

Securities Lending Collateral 0.3%

 

JNL Securities Lending Collateral Fund - Institutional Class, 0.25% (k) (l)

 

14,507

 

14,507

 
 

Total Short Term Investments (cost $526,164)

526,164

 

Total Investments 100.0% (cost $5,937,726)

 

5,682,955

 

Other Derivative Instruments (0.2)%

 

(10,860)

 

Other Assets and Liabilities, Net 0.2%

 

9,218

 

Total Net Assets 100.0%

 

5,681,313

 

(a) Non-income producing security.

(b) All or a portion of the security is subject to a written call option.

(c) All or a portion of the security was on loan as of March 31, 2020.

(d) The Adviser has deemed this security, which is exempt from registration under the Securities Act of 1933, as amended, to be liquid based on procedures approved by the Board of Trustees. As of March 31, 2020, the value and the percentage of net assets of these liquid securities was $304,849 and 5.4% of the Fund.

(e) Security has a variable rate. Interest rates reset periodically. Rate stated was in effect as of March 31, 2020. For securities based on a published reference rate and spread, the reference rate and spread are presented. Certain variable rate securities do not indicate a reference rate and spread because they are determined by the issuer, remarketing agent, or offering documents and are based on current market conditions. The coupon rate for securities with certain features outlined in the offering documents may vary from the stated reference rate and spread. This includes, but is not limited to, securities with deferred rates, contingent distributions, caps, floors, and fixed-rate to float-rate features. In addition, variable rates for government and agency collateralized mortgage obligations (“CMO”) and mortgage-backed securities (“MBS”) are determined by tranches of underlying mortgage-backed security pools’ cash flows into securities and pass-through rates which reflect the rate earned on the asset pool after management and guarantee fees are paid to the securitizing corporation. CMO and MBS variable rates are determined by a formula set forth in the security’s offering documents.

(f) The interest rate for this security is inversely affected by upgrades or downgrades to the credit rating of the issuer.

(g) Perpetual security. Next contractual call date presented, if applicable.

(h) This senior loan will settle after March 31, 2020. If a reference rate and spread is presented, it will go into effect upon settlement.

(i) Security fair valued in good faith as a Level 3 security in accordance with the procedures approved by the Board of Trustees. Good faith fair valued securities are classified for Financial Accounting Standards Board ("FASB") Accounting Standards Codification ("ASC") Topic 820 "Fair Value Measurement" based on the applicable valuation inputs. See FASB ASC Topic 820 in the Schedules of Investments.

(j) Convertible security.

(k) Investment in affiliate.

(l) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

Long Term Investments in Affiliates

                   

Affiliated Investment

 

Value Beginning of Period($)

 

Purchases($)

 

Sales Proceeds($)

 

Dividend Income($)

 

Realized Gain (Loss)($)

 

Change in Unrealized Appreciation (Depreciation) ($)

 

Value End of Period($)

 

Percentage of Net Assets(%)

 
 

T. Rowe Price Institutional Floating Rate Fund

 

1,263

 

14

 

 

15

 

 

(157)

 

1,120

 

 
                   

57


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

                   

JNL/T. Rowe Price Capital Appreciation Fund — OTC Written Options

Reference Entity

 

Counterparty

 

Put/Call

 

Exercise Price ($)/ Swaption Rate(%)

 

Expiration

 

Notional/

Contracts1

 

Value ($)

Options on Securities

Alphabet Inc.

 

CGM

 

Call

  

1,500.00

 

01/15/21

  

113

   

(271)

 

Alphabet Inc.

 

GSC

 

Call

  

1,780.00

 

01/15/21

  

33

   

(12)

 

Alphabet Inc.

 

GSC

 

Call

  

1,800.00

 

01/15/21

  

33

   

(12)

 

Alphabet Inc.

 

GSC

 

Call

  

1,740.00

 

01/15/21

  

33

   

(16)

 

Alphabet Inc.

 

GSC

 

Call

  

1,760.00

 

01/15/21

  

33

   

(16)

 

American Electric Power Company, Inc.

 

CGM

 

Call

  

115.00

 

01/15/21

  

511

   

(20)

 

American Electric Power Company, Inc.

 

CGM

 

Call

  

105.00

 

01/15/21

  

1,626

   

(159)

 

Aptiv PLC

 

GSC

 

Call

  

97.50

 

01/15/21

  

377

   

(28)

 

Aptiv PLC

 

GSC

 

Call

  

100.00

 

01/15/21

  

377

   

(24)

 

Becton, Dickinson and Company

 

GSC

 

Call

  

300.00

 

01/15/21

  

583

   

(140)

 

Danaher Corporation

 

JPM

 

Call

  

190.00

 

01/15/21

  

301

   

(93)

 

Danaher Corporation

 

JPM

 

Call

  

185.00

 

01/15/21

  

301

   

(99)

 

Facebook, Inc.

 

JPM

 

Call

  

275.00

 

01/15/21

  

290

   

(15)

 

Facebook, Inc.

 

JPM

 

Call

  

270.00

 

01/15/21

  

290

   

(17)

 

Facebook, Inc.

 

JPM

 

Call

  

265.00

 

01/15/21

  

290

   

(11)

 

General Electric Company

 

JPM

 

Call

  

15.00

 

01/15/21

  

29,084

   

(495)

 

Hilton Worldwide Holdings Inc.

 

CGM

 

Call

  

130.00

 

01/15/21

  

152

   

(14)

 

Hilton Worldwide Holdings Inc.

 

CGM

 

Call

  

125.00

 

01/15/21

  

152

   

(11)

 

Microsoft Corporation

 

CGM

 

Call

  

170.00

 

01/15/21

  

646

   

(851)

 

Microsoft Corporation

 

CGM

 

Call

  

165.00

 

01/15/21

  

646

   

(988)

 

Microsoft Corporation

 

CSI

 

Call

  

165.00

 

01/15/21

  

1,946

   

(2,977)

 

Microsoft Corporation

 

JPM

 

Call

  

170.00

 

01/15/21

  

2,496

   

(3,287)

 

NextEra Energy, Inc.

 

CSI

 

Call

  

320.00

 

01/15/21

  

118

   

(27)

 

NextEra Energy, Inc.

 

CSI

 

Call

  

310.00

 

01/15/21

  

117

   

(43)

 

NXP Semiconductors N.V.

 

CSI

 

Call

  

140.00

 

01/15/21

  

1,272

   

(245)

 

Roper Technologies, Inc.

 

GSC

 

Call

  

430.00

 

08/21/20

  

96

   

(6)

 

Thermo Fisher Scientific Inc.

 

RBC

 

Call

  

400.00

 

01/15/21

  

470

   

(116)

 

Thermo Fisher Scientific Inc.

 

RBC

 

Call

  

400.00

 

01/15/21

  

23

   

(6)

 

Thermo Fisher Scientific Inc.

 

RBC

 

Call

  

370.00

 

01/15/21

  

99

   

(50)

 

Thermo Fisher Scientific Inc.

 

RBC

 

Call

  

390.00

 

01/15/21

  

98

   

(24)

 

Visa Inc.

 

CSI

 

Call

  

235.00

 

01/15/21

  

673

   

(129)

 

Visa Inc.

 

CSI

 

Call

  

240.00

 

01/15/21

  

673

   

(93)

 

Visa Inc.

 

CSI

 

Call

  

230.00

 

01/15/21

  

673

   

(132)

 

Visa Inc.

 

GSC

 

Call

  

230.00

 

01/15/21

  

235

   

(46)

 

Visa Inc.

 

GSC

 

Call

  

240.00

 

01/15/21

  

235

   

(33)

 

Xcel Energy Inc.

 

CSI

 

Call

  

65.00

 

10/16/20

  

389

   

(136)

 

Xcel Energy Inc.

 

CSI

 

Call

  

60.00

 

10/16/20

  

389

   

(218)

 
                

(10,860)

 

58


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 

JNL/The London Company Focused U.S. Equity Fund

COMMON STOCKS 95.7%

Financials 23.0%

 

Berkshire Hathaway Inc. - Class B (a)

 

24

 

4,304

 
 

BlackRock, Inc.

 

6

 

2,818

 
 

MBIA Inc. (a)

 

195

 

1,392

 
 

The Charles Schwab Corporation

 

68

 

2,271

 
 

Wells Fargo & Company

 

46

 

1,318

 
 

12,103

 

Information Technology 19.4%

 

Apple Inc.

 

17

 

4,315

 
 

Citrix Systems Inc.

 

30

 

4,271

 
 

Texas Instruments Incorporated

 

17

 

1,659

 
 

10,245

 

Industrials 16.3%

 

Delta Air Lines Inc.

 

46

 

1,327

 
 

Norfolk Southern Corporation

 

16

 

2,359

 
 

Old Dominion Freight Line Inc.

 

29

 

3,855

 
 

Southwest Airlines Co.

 

30

 

1,074

 
 

8,615

 

Consumer Staples 12.5%

 

Altria Group, Inc.

 

98

 

3,787

 
 

Lamb Weston Holdings Inc.

 

49

 

2,788

 
 

6,575

 

Materials 8.6%

 

Martin Marietta Materials Inc.

 

14

 

2,703

 
 

NewMarket Corp.

 

5

 

1,849

 
 

4,552

 

Health Care 5.1%

 

Johnson & Johnson

 

21

 

2,702

 

Consumer Discretionary 3.9%

 

Dollar Tree Inc. (a)

 

28

 

2,059

 

Communication Services 2.8%

 

Fox Corporation - Class A

 

63

 

1,485

 

Energy 2.1%

 

Chevron Corporation

 

15

 

1,090

 

Real Estate 2.0%

 

STORE Capital Corp.

 

57

 

1,030

 
 

Total Common Stocks (cost $46,946)

50,456

 

SHORT TERM INVESTMENTS 4.5%

Investment Companies 4.5%

 

JNL Government Money Market Fund - Institutional Class, 0.23% (b) (c)

 

2,387

 

2,387

 
 

Total Short Term Investments (cost $2,387)

2,387

 

Total Investments 100.2% (cost $49,333)

 

52,843

 

Other Assets and Liabilities, Net (0.2)%

 

(89)

 

Total Net Assets 100.0%

 

52,754

 

(a) Non-income producing security.

(b) Investment in affiliate.

(c) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

59


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 

JNL/VanEck International Gold Fund

COMMON STOCKS 97.8%

Materials 97.8%

 

Agnico Eagle Mines Limited (a)

 

69

 

2,759

 
 

Alamos Gold Inc - Class A

 

258

 

1,290

 
 

AngloGold Ashanti - ADR

 

97

 

1,618

 
 

Argonaut Gold Inc. (b)

 

196

 

151

 
 

Auryn Resources Inc (b)

 

107

 

99

 
 

B2Gold Corp.

 

1,556

 

4,761

 
 

Barrick Gold Corporation

 

316

 

5,787

 
 

Bellevue Gold Limited (b)

 

2,419

 

597

 
 

BonTerra Resources Inc. (b)

 

224

 

130

 
 

Cardinal Resources Limited (a) (b)

 

1,723

 

350

 
 

Columbus Gold Corp. (b)

 

161

 

13

 
 

Corvus Gold Inc. (a) (b)

 

234

 

231

 
 

Eastmain Resources Inc. (a) (b)

 

262

 

12

 
 

Endeavour Mining Corporation (b)

 

21

 

295

 
 

Equinox Gold Corp. (a) (b)

 

146

 

971

 
 

Equinox Gold Corp. (a) (b)

 

117

 

772

 
 

Evolution Mining Limited

 

1,159

 

2,712

 
 

First Mining Gold Corp. (a) (b)

 

383

 

49

 
 

Franco-Nevada Corp. (a)

 

18

 

1,771

 
 

Gold Fields Limited - ADR

 

83

 

396

 
 

Gold Road Resources Limited (b)

 

1,874

 

1,578

 
 

Gold Standard Ventures Corp. (a) (b)

 

406

 

203

 
 

Kinross Gold Corp. (b)

 

504

 

2,006

 
 

Kirkland Lake Gold Ltd.

 

18

 

538

 
 

Kirkland Lake Gold Ltd.

 

175

 

5,177

 
 

Liberty Gold Corp. (a) (b)

 

934

 

577

 
 

Lundin Gold Inc. (a) (b)

 

62

 

345

 
 

Midas Gold Corp. (a) (b)

 

276

 

90

 
 

Newmont Corporation

 

140

 

6,349

 
 

Nighthawk Gold Corp. (a) (b)

 

35

 

32

 
 

Northern Star Resources Ltd.

 

421

 

2,708

 
 

NovaGold Resources Inc. (b)

 

48

 

352

 
 

OceanaGold Corporation

 

476

 

456

 
 

Orezone Gold Corporation (b)

 

502

 

155

 
 

Osisko Gold Royalties Ltd (a)

 

39

 

289

 
 

Osisko Mining Inc. (a) (b)

 

483

 

764

 
 

Otis Gold Corp. (b)

 

86

 

6

 
 

Pretium Resources Inc. (a) (b)

 

100

 

568

 
 

Probe Metals Inc. (b)

 

99

 

43

 
 

Pure Gold Mining Inc. (b)

 

1,118

 

484

 
 

Rio2 Limited (b)

 

 

 
 

Sabina Gold & Silver Corp. (a) (b)

 

281

 

234

 
 

Saracen Mineral Holdings Ltd. (a) (b)

 

706

 

1,593

 
 

SSR Mining Inc. (b)

 

97

 

1,102

 
 

West African Resources Ltd. (b)

 

4,201

 

1,066

 
 

Wheaton Precious Metals Corp.

 

131

 

3,617

 
 

Yamana Gold Inc. (a)

 

632

 

1,738

 
 

Total Common Stocks (cost $59,136)

56,834

 

WARRANTS 0.1%

 

BonTerra Resources Inc. (b) (c)

 

32

 

 
 

Marathon Gold Corp. (b) (c)

 

170

 

17

 
 

Probe Metals Inc. (b) (c)

 

164

 

 
 

Pure Gold Mining Inc. (b) (c)

 

427

 

9

 
 

Pure Gold Mining Inc. (b) (c)

 

283

 

33

 
 

Total Warrants (cost $128)

59

 

RIGHTS 0.1%

 

Leagold Mining Corp. (a) (b) (c)

 

90

 

47

 
 

Total Rights (cost $65)

47

 

SHORT TERM INVESTMENTS 11.9%

Securities Lending Collateral 10.2%

 

JNL Securities Lending Collateral Fund - Institutional Class, 0.25% (d) (e)

 

5,917

 

5,917

 

Investment Companies 1.7%

 

JNL Government Money Market Fund - Institutional Class, 0.23% (d) (e)

 

999

 

999

 
 

Total Short Term Investments (cost $6,916)

6,916

 

Total Investments 109.9% (cost $66,245)

 

63,856

 

Other Assets and Liabilities, Net (9.9)%

 

(5,727)

 

Total Net Assets 100.0%

 

58,129

 

(a) All or a portion of the security was on loan as of March 31, 2020.

(b) Non-income producing security.

(c) Security fair valued in good faith as a Level 2 security in accordance with the procedures approved by the Board of Trustees. Good faith fair valued securities are classified for Financial Accounting Standards Board ("FASB") Accounting Standards Codification ("ASC") Topic 820 "Fair Value Measurement" based on the applicable valuation inputs. See FASB ASC Topic 820 in the Schedules of Investments.

(d) Investment in affiliate.

(e) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

60


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

       
  

Shares/Par1

 

Value ($)

 

JNL/WCM Focused International Equity Fund

COMMON STOCKS 96.3%

Canada 11.9%

 

Canadian Pacific Railway Limited (a)

 

270

 

59,200

 
 

Lululemon Athletica Inc. (b)

 

313

 

59,301

 
 

Shopify Inc. - Class A (b)

 

124

 

51,535

 
 

170,036

 

Switzerland 11.8%

 

Alcon AG (b)

 

903

 

46,177

 
 

Geberit AG (a)

 

56

 

24,638

 
 

Nestle SA

 

540

 

55,189

 
 

Sika AG

 

252

 

41,697

 
 

167,701

 

United States of America 11.5%

 

Chubb Limited

 

343

 

38,367

 
 

Mettler-Toledo International Inc. (a) (b)

 

51

 

35,299

 
 

ResMed Inc.

 

384

 

56,630

 
 

Steris Limited

 

235

 

32,857

 
 

163,153

 

France 8.8%

 

Cie Generale d'Optique Essilor International SA

 

328

 

35,094

 
 

LVMH Moet Hennessy Louis Vuitton SE

 

150

 

55,759

 
 

Pernod-Ricard SA

 

243

 

34,602

 
 

125,455

 

United Kingdom 7.2%

 

Experian PLC

 

2,049

 

56,707

 
 

Smith & Nephew PLC

 

2,620

 

46,420

 
 

103,127

 

Ireland 5.5%

 

Accenture Public Limited Company - Class A

 

338

 

55,149

 
 

Icon Public Limited Company (b)

 

173

 

23,570

 
 

78,719

 

Australia 5.3%

 

CSL Ltd.

 

419

 

75,115

 

China 4.0%

 

Tencent Holdings Limited

 

1,166

 

57,380

 

Taiwan 3.8%

 

Taiwan Semiconductor Manufacturing Co. Ltd. - ADR

 

1,143

 

54,623

 

Hong Kong 3.4%

 

AIA Group Limited

 

5,341

 

48,119

 

Netherlands 3.2%

 

ASML Holding - ADR

 

176

 

46,090

 

Japan 3.2%

 

Keyence Corp.

 

141

 

45,428

 

Argentina 2.8%

 

MercadoLibre S.R.L (b)

 

82

 

40,108

 

Denmark 2.6%

 

DSV Panalpina A/S

 

414

 

37,469

 

Sweden 2.6%

 

Atlas Copco Aktiebolag - Class A

 

1,113

 

37,166

 

India 2.5%

 

HDFC Bank Limited - ADR (a)

 

904

 

34,782

 

Italy 2.3%

 

Ferrari N.V.

 

214

 

33,310

 

Mexico 2.1%

 

Wal - Mart de Mexico, S.A.B. de C.V.

 

12,590

 

29,735

 

Spain 1.8%

 

Amadeus IT Group SA

 

526

 

24,950

 
 

Total Common Stocks (cost $1,168,522)

1,372,466

 

SHORT TERM INVESTMENTS 6.5%

Investment Companies 3.6%

 

JNL Government Money Market Fund - Institutional Class, 0.23% (c) (d)

 

51,600

 

51,600

 

Securities Lending Collateral 2.9%

 

JNL Securities Lending Collateral Fund - Institutional Class, 0.25% (c) (d)

 

40,236

 

40,236

 
 

Total Short Term Investments (cost $91,836)

91,836

 

Total Investments 102.8% (cost $1,260,358)

 

1,464,302

 

Other Assets and Liabilities, Net (2.8)%

 

(39,266)

 

Total Net Assets 100.0%

 

1,425,036

 

(a) All or a portion of the security was on loan as of March 31, 2020.

(b) Non-income producing security.

(c) Investment in affiliate.

(d) Yield changes daily to reflect current market conditions. Rate was the quoted yield as of March 31, 2020.

61


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

Abbreviations:

  

ADR - American Depositary Receipt

LIBOR - London Interbank Offer Rate

ASX - Australian Stock Exchange

MBS - Mortgage-Backed Security

BRAZIBOR – Brazil Interbank Offered Rate

MCDX.CDSI – Municipal Credit Default Swap Index

Euro BOBL – debt instrument issued by the Republic of Germany with a

MEXIBOR - Mexico Interbank Offered Rate

term of 4.5 to 5.5 years

MSCI - Morgan Stanley Capital International

BUBOR - Budapest Interbank Offered Rate

OAO - Russian Open Joint Stock Company

CDX.EM - Credit Default Swap Index - Emerging Markets

RBOB - Reformulated Gasoline Blendstock for Oxygen Blending

CDX.NA.HY - Credit Default Swap Index - North American - High Yield

REMIC - Real Estate Mortgage Investment Conduit

CDX.NA.IG - Credit Default Swap Index - North American - Investment Grade

S&P - Standard & Poor’s

CLO – Collateralized Loan Obligation

SOFR - Secured Overnight Financing Rate

CMBX.NA - Commercial Mortgage-Backed Securities Index - North American

ULSD - Ultra Low Sulfur Diesel

CPURNSA - CPI Consumers Index Non-Seasonally Adjusted

UK - United Kingdom

EAFE - Europe Asia and Far East

US - United States

ETF - Exchange Traded Fund

WTI - West Texas Intermediate

EURIBOR - Europe Interbank Offered Rate

 

HICP - Harmonised Index of Consumer Prices

 

iTraxx - Group of international credit derivative indexes monitored

 

by the International Index Company

 
  
  

Currency Abbreviations:

   

AED - United Arab Emirates Dirham

GBP - British Pound

PLN - Polish Zloty

ARS - Argentine Peso

GHS - Ghanaian Cedi

RSD - Serbian Dinar

AUD - Australian Dollar

HUF - Hungarian Forint

RUB - Russian Ruble

BRL - Brazilian Real

IDR - Indonesian Rupiah

SEK - Swedish Krona

CAD - Canadian Dollar

INR – Indian Rupee

SGD - Singapore Dollar

CHF - Swiss Franc

JPY - Japanese Yen

THB - Thai Baht

CLP - Chilean Peso

KRW - Korean Won

TRY - New Turkish Lira

CNH - Chinese Offshore Yuan

MXN - Mexican Peso

TWD - New Taiwan Dollar

CNY - Chinese Yuan

NOK - Norwegian Krone

UAH - Ukrainian Hryvnia

COP - Colombian Peso

NZD - New Zealand Dollar

UGX - Ugandan Shilling

CZK - Czech Republic Korunas

OMR - Omani Rial

USD - United States Dollar

EGP - Egyptian Pound

PEN - Peruvian Nuevo Sol

UYU – Uruguayan Peso

EUR - European Currency Unit (Euro)

PHP - Philippine Peso

ZAR - South African Rand

   

Counterparty Abbreviations:

 

ANZ - ANZ Banking Group LTD.

BCL - Barclays Capital Inc.

BNP - BNP Paribas Securities

BOA - Bank of America

CGM - Citigroup Global Markets

CIT - Citibank, Inc.

CSI - Credit Suisse Securities, LLC

DUB - Deutsche Bank AG

GSC - Goldman Sachs & Co.

HSB - HSBC Securities Inc.

JPM - JPMorgan Chase Bank N.A.

MSC - Morgan Stanley & Co., Incorporated

RBC - Royal Bank of Canada

SCB - Standard Chartered Bank

SGB - Societe Generale Bannon LLC

SSB - State Street Brokerage Services, Inc.

UBS - UBS Securities LLC

 

1Rounded par and notional amounts are listed in USD unless otherwise noted. Options are quoted in unrounded number of contracts or unrounded notional. Futures and contracts for difference are quoted in unrounded contracts.

2For Funds with derivatives that received or paid periodic payments, the frequency of periodic payments are defined as follows: (A) - Annually; (B) - Bi-Monthly; (E) - Expiration Date; (M) - Monthly; (Q) - Quarterly; (S) - Semi-Annually.

"-" Amount rounds to less than one thousand or 0.05%.

62


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

Short Term Investments in Affiliates

Certain Funds invested in a money market fund which is managed by Jackson National Asset Management, LLC ("JNAM" or "Adviser"). The JNL Government Money Market Fund is offered as a cash management tool to the Funds and their affiliates and is not available for direct purchase by members of the public. JNAM serves as the Adviser and Administrator for the JNL Government Money Market Fund. JNL/T. Rowe Price Capital Appreciation Fund is sub-advised by T. Rowe Price Associates, Inc. and invested in T. Rowe Price Government Reserve Fund as a cash management tool. There was no realized or unrealized gain or loss relating to transactions in these investments during the period ended March 31, 2020. The following table details the investments held during the period ended March 31, 2020.

              

JNL Government Money Market Fund

 

Beginning Amortized Cost/ Value($)

 

Purchases ($)

 

Sales Proceeds($)

 

Dividend Income($)

 

Ending Amortized Cost/ Value($)

 

Percentage of Net Assets(%)

 

JNL iShares Tactical Growth Fund

 

2,855

 

9,605

 

12,317

 

7

 

143

 

0.1

 

JNL iShares Tactical Moderate Fund

 

1,538

 

10,093

 

11,156

 

5

 

475

 

0.3

 

JNL iShares Tactical Moderate Growth Fund

 

2,999

 

10,831

 

12,669

 

9

 

1,161

 

0.5

 

JNL/DFA U.S. Small Cap Fund

 

346

 

8,565

 

7,565

 

2

 

1,346

 

1.2

 

JNL/DoubleLine Total Return Fund

 

116,241

 

271,002

 

305,843

 

277

 

81,400

 

3.3

 

JNL/Eaton Vance Global Macro Absolute Return Advantage Fund

 

17,537

 

184,149

 

97,730

 

41

 

103,956

 

54.9

 

JNL/FAMCO Flex Core Covered Call Fund

 

1,540

 

18,071

 

17,548

 

8

 

2,063

 

1.8

 

JNL/Lazard International Strategic Equity Fund

 

11,461

 

33,143

 

35,070

 

35

 

9,534

 

5.0

 

JNL/Mellon Equity Income Fund

 

5,369

 

31,648

 

32,089

 

21

 

4,928

 

1.8

 

JNL/Neuberger Berman Commodity Strategy Fund

 

20,137

 

57,396

 

51,782

 

30

 

25,751

 

34.1

 

JNL/Neuberger Berman Currency Fund

 

2,225

 

83,153

 

62,795

 

7

 

22,583

 

35.6

 

JNL/Nicholas Convertible Arbitrage Fund

 

9,021

 

51,667

 

42,944

 

53

 

17,744

 

13.0

 

JNL/T. Rowe Price Capital Appreciation Fund

 

18,621

 

207,672

 

183,083

 

103

 

43,210

 

0.8

 

JNL/The London Company Focused U.S. Equity Fund

 

1,887

 

3,237

 

2,737

 

6

 

2,387

 

4.5

 

JNL/VanEck International Gold Fund

 

3,977

 

14,828

 

17,806

 

5

 

999

 

1.7

 

JNL/WCM Focused International Equity Fund

 

75,150

 

126,081

 

149,631

 

187

 

51,600

 

3.6

 

              

T. Rowe Price Government Reserve Fund

 

Beginning Amortized Cost/ Value($)

 

Purchases ($)

 

Sales Proceeds($)

 

Dividend Income($)

 

Ending Amortized Cost/ Value($)

 

Percentage of Net Assets(%)

 

JNL/T. Rowe Price Capital Appreciation Fund

 

1,093,861

 

771,249

 

1,396,663

 

4,118

 

468,447

 

8.2

 

Certain Funds participating in securities lending receive cash collateral daily, which is invested by JPMorgan Chase Bank, N.A. (“JPM Chase”) or State Street Bank and Trust Company (“State Street”) in the JNL Securities Lending Collateral Fund, which is an affiliate of the Funds' Adviser. JNAM serves as the Adviser and Administrator for the JNL Securities Lending Collateral Fund. The Fund receives income from the investment in the JNL Securities Lending Collateral Fund, which is aggregated with lending fees and rebates negotiated with the borrower. There was no realized or unrealized gain or loss relating to transactions in the cash collateral investments during the period ended March 31, 2020.

Securities Lending and Securities Lending Collateral. All Funds participate in agency based securities lending programs. JPM Chase and State Street (each a “Custodian” and together the “Custodians”) each serve as securities lending agent to the eligible Funds for which they are Custodian. Per the securities lending agreements, the securities lending agent is authorized to loan securities on behalf of the Funds to approved borrowers and is required to maintain collateral. Each Fund receives either cash or non-cash collateral against the loaned securities in an amount equal to at least 100% of the market value of the loaned securities. Generally, cash and non-cash collateral received for the following types of securities on loan are as follows: U.S. government fixed income – 102%; U.S. equities – 102%; U.S. corporate fixed income – 102%; international equities – 105%; international corporate fixed income – 105%; sovereign fixed income – 102%; and asset backed investments – 102%. Collateral is maintained over the life of the loan as determined at the close of Fund business each day; any additional collateral required due to changes in security values is typically delivered to the Fund on the next business day. The duration of each loan is determined by the agent and borrower and generally may be terminated at any time. Certain loans may be negotiated to mature on a specified date. The securities lending agents have agreed to indemnify the Fund in the event of default by a third party borrower. A Fund may experience a delay in the recovery of its securities or incur a loss if the borrower breaches its agreement with the Fund or becomes insolvent. For cash collateral, the Fund receives income from the investment of cash collateral, in addition to lending fees and rebates negotiated with the borrower. The Fund bears the market risk with respect to the collateral investment and securities loaned. The Fund also bears the risk that the agent may default on its obligations to the Fund. Non-cash collateral which a Fund receives may include U.S. government securities; U.S. government agencies’ debt securities; and U.S. government-sponsored agencies’ debt securities and mortgage-backed securities. For non-cash collateral, the Fund receives lending fees negotiated with the borrower. The securities lending agents have agreed to indemnify the Fund with respect to the market risk related to the non-cash collateral investments. Each Fund also bears the risk of any deficiency in the amount of collateral available for return to a borrower due to a decline in value of an approved investment. JPM Chase and State Street receive a portion of the earnings from the Funds' securities lending program.

Cash collateral received is invested in the JNL Securities Lending Collateral Fund, a registered government money market fund under the Investment Company Act of 1940 and a series of the JNL Investors Series Trust. JNAM serves as the Adviser and Administrator for the JNL Securities Lending Collateral Fund. The JNL Securities Lending Collateral Fund is only offered to the Funds and other JNAM affiliated funds. The JNL Securities Lending Collateral Fund pays JNAM an annual fee, accrued daily and payable monthly, for investment advisory services.

63


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

Security Valuation. Under the Jackson Variable Series Trust's ("Trust") valuation policy and procedures, the Trust’s Board of Trustees (“Board” or “Trustees”) has delegated the daily operational oversight of the securities valuation function to the JNAM Valuation Committee (“Valuation Committee”), which consists of certain officers of the Trust and JNAM management. The Valuation Committee is responsible for determining fair valuations for any security for which market quotations are not readily available. For those securities fair valued under procedures adopted by the Board, the Valuation Committee reviews and affirms the reasonableness of the fair valuation determinations after considering all relevant information that is reasonably available. The Valuation Committee’s fair valuation determinations are subject to review by the Board at its next regularly scheduled meeting covering the calendar quarter in which the fair valuation was determined. For fair valuation determinations that are deemed material, the Board is promptly notified, in detail, of the fair valuation.

The net asset value ("NAV") of a Fund's shares is generally determined once each day on which the New York Stock Exchange (“NYSE”) is open, at the close of the regular trading session of the NYSE (normally, 4:00 PM Eastern Time, Monday through Friday). Equity securities are generally valued at the official closing price of the exchange where the security is principally traded. If there is no official closing price for the security on the valuation date, the security may be valued at the most recent sale or quoted bid price prior to close. Stocks not listed on a national or foreign stock exchange may be valued at the closing bid price on the over the counter (“OTC”) market. The Adviser has retained an independent statistical fair value pricing service to assist in the fair valuation process for equities traded in foreign markets in order to adjust for possible changes in value that may occur between the close of the foreign exchange and the time at which the NAVs are determined. Investments in mutual funds are valued at the NAV per share determined as of the close of the NYSE on each valuation date. Short-term securities maturing within sixty (60) days are valued at amortized cost, unless it is determined that such practice does not approximate market value. Debt securities are generally valued by independent pricing services approved by the Board. Pricing services utilized to value debt and derivative instruments may use various pricing techniques which take into account appropriate factors such as: yield; credit quality; coupon rate; maturity; type of issue; trading characteristics; call features; credit ratings; broker quotes; and other relevant data. Futures contracts traded on an exchange are generally valued at the exchange’s settlement price. If the settlement price is not available, exchange traded futures are valued at the last sales price as of the close of business on the primary exchange. Options traded on an exchange are generally valued at the last traded price as of the close of business on the local exchange. If the last trade is determined to not be representative of fair value, exchange traded options are valued at the current day’s mid-price. Forward foreign currency contracts are generally valued at the foreign currency exchange rate as of the close of the NYSE. Derivatives, including swaps and certain types of over-the-counter options, are generally valued by approved pricing services. If the pricing services are unable to provide valuations, OTC derivatives are valued at the most recent bid quotation or evaluated price, as applicable, obtained from a broker/dealer or by pricing models using observable inputs.

Market quotations may not be readily available for certain investments or it may be determined that a quotation of an investment does not represent fair value. In such instances, the investment is valued as determined in good faith using procedures approved by the Board. Situations that may require an investment to be fair valued may include instances where a security is thinly traded, halted or restricted as to resale. In addition, investments may be fair valued based on the occurrence of a significant event. Significant events may be specific to a particular issuer, such as mergers, restructurings or defaults. Alternatively, significant events may affect an entire market, such as natural disasters, government actions, and significant changes in the value of U.S. securities markets. Securities are fair valued based on observable and unobservable inputs, including the Adviser’s or Valuation Committee’s own assumptions in determining the fair value of an investment. Under the procedures approved by the Board, the Adviser may utilize pricing services or other sources, including each Fund’s Sub-Adviser, to assist in determining the fair value of an investment. Factors considered to determine fair value may include fundamental analytical data relating to the security; the nature and duration of restrictions, if any, on the disposition of the security; trading volume on markets, exchanges, or among dealers; evaluation of the forces which influence the market in which the security is traded; the type of security; the financial statements of the issuer, or other financial information about the issuer; the cost of the security at its date of purchase; the size of the Fund’s holding; the discount from market value of unrestricted securities of the same class, if applicable, at the time of purchase or at a later date; reports prepared by analysts; information as to any transactions in or offers for the security; the existence of any merger proposal, tender offer or other extraordinary event relating to the security; the price and extent of public or dealer trading in similar securities or derivatives of the issuer or of comparable companies; trading in depositary receipts; foreign currency exchange activity; changes in the interest rate environment; trading prices of financial products that are tied to baskets of foreign securities; and any other matters considered relevant.

If an investment is valued at a fair value for purposes of calculating a Fund’s NAV, the value may be different from the last quoted price for the investment depending on the source and method used to determine the value. Although there can be no assurance, in general, the fair value of the investment is the amount the owner of such investment might reasonably expect to receive in an orderly transaction between market participants upon its current sale.

Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (“ASC”) Topic 820, “Fair Value Measurement”. This standard establishes a single authoritative definition of fair value, sets out a framework for measuring fair value and requires additional disclosures about fair value measurements. Various inputs are used in determining the value of a Fund’s investments under FASB ASC Topic 820 guidance. The inputs are summarized into three broad categories:

Level 1 includes valuations based on quoted prices of identical securities in active markets, including valuations for securities listed on a national or foreign stock exchange or investments in mutual funds.

Level 2 includes valuations determined from significant direct or indirect observable inputs. Direct observable inputs include broker quotes, third party prices, closing prices of similar securities in active markets, closing prices for identical or similar securities in non-active markets or corporate action or reorganization entitlement values. Indirect significant observable inputs include factors such as interest rates, yield curves, prepayment speeds or credit ratings. Level 2 includes valuations for fixed income securities, including certain term loans, OTC derivatives, centrally cleared swap agreements, broker quotes in active markets, securities subject to corporate actions, securities valued at amortized cost,

64


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

international equity securities priced by an independent statistical fair value pricing service, swap agreements valued by pricing services, or ADRs and GDRs for which quoted prices in active markets are not available or securities limited by foreign ownership.

Level 3 includes valuations determined from significant unobservable inputs including the Adviser's own assumptions in determining the fair value of the investment. Inputs used to determine the fair value of Level 3 securities include security specific inputs such as: credit quality, credit rating spreads, issuer news, trading characteristics, call features, maturity or anticipated cash flows; or industry specific inputs such as: trading activity of similar markets or securities, changes in the security’s underlying index or changes in comparable securities’ models. Level 3 valuations include securities, currency exchange rates and forward foreign currency contracts where forward rates are not available; term loans that do not meet certain liquidity thresholds; securities where prices may be unavailable due to halted trading, restricted to resale due to market events, or newly issued; or investments for which reliable quotes are otherwise not available.

To assess the continuing appropriateness of security valuation, the Adviser regularly compares current day prices with prior day prices, transaction prices and alternative vendor prices. When the comparison results exceed pre-defined thresholds, the Adviser challenges the prices exceeding tolerance levels with the pricing service or broker. To verify Level 3 unobservable inputs, the Adviser uses a variety of techniques as appropriate to substantiate these valuation approaches including a regular review of key inputs and assumptions, transaction back-testing or disposition analysis and review of related market activity.

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

The following table summarizes each Fund’s investments in securities and other financial instruments as of March 31, 2020 by valuation level. For Funds with significant Level 1 and Level 2 investments in common stock, additional detail regarding the sector or country, as applicable, is disclosed.

         
 

. Level 1 ($) .

 

. Level 2 ($) .

 

. Level 3 ($) .

 

. Total ($) .

 

JNL iShares Tactical Growth Fund

Assets - Securities

        

Investment Companies

200,660

 

 

 

200,660

 

Short Term Investments

31,510

 

 

 

31,510

 
 

232,170

 

 

 

232,170

 

JNL iShares Tactical Moderate Fund

Assets - Securities

        

Investment Companies

140,100

 

 

 

140,100

 

Short Term Investments

22,594

 

 

 

22,594

 
 

162,694

 

 

 

162,694

 

JNL iShares Tactical Moderate Growth Fund

Assets - Securities

        

Investment Companies

253,341

 

 

 

253,341

 

Short Term Investments

33,786

 

 

 

33,786

 
 

287,127

 

 

 

287,127

 

JNL/DFA U.S. Small Cap Fund

Assets - Securities

        

Common Stocks

109,189

 

 

 

109,189

 

Preferred Stocks

10

 

 

 

10

 

Rights

 

 

8

 

8

 

Other Equity Interests

 

6

 

 

6

 

Short Term Investments

5,038

 

 

 

5,038

 
 

114,237

 

6

 

8

 

114,251

 

JNL/DoubleLine Total Return Fund

Assets - Securities

        

Government And Agency Obligations

 

1,367,433

 

 

1,367,433

 

Non-U.S. Government Agency Asset-Backed Securities

 

1,042,918

 

 

1,042,918

 

Short Term Investments

90,220

 

 

 

90,220

 
 

90,220

 

2,410,351

 

 

2,500,571

 

JNL/Eaton Vance Global Macro Absolute Return Advantage Fund

Assets - Securities

        

Government And Agency Obligations

 

39,732

 

 

39,732

 

Senior Loan Interests

 

 

2,351

 

2,351

 

Corporate Bonds And Notes

 

1,011

 

 

1,011

 

Common Stocks

 

828

 

 

828

 

Short Term Investments

103,956

 

7,497

 

 

111,453

 
 

103,956

 

49,068

 

2,351

 

155,375

 

Liabilities - Securities

Common Stocks

 

(1,050

)

 

(1,050

)

 

 

(1,050

)

 

(1,050

)

Assets - Investments in Other Financial Instruments1

        

Futures Contracts

18

 

 

 

18

 

Centrally Cleared Interest Rate Swap Agreements

 

1,945

 

 

1,945

 

Centrally Cleared Credit Default Swap Agreements

 

146

 

 

146

 

OTC Purchased Options

 

 

 

 

Open Forward Foreign Currency Contracts

 

13,753

 

 

13,753

 

OTC Credit Default Swap Agreements

 

846

 

 

846

 
 

18

 

16,690

 

 

16,708

 

65


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

         
 

. Level 1 ($) .

 

. Level 2 ($) .

 

. Level 3 ($) .

 

. Total ($) .

 

JNL/Eaton Vance Global Macro Absolute Return Advantage Fund (continued)

Liabilities - Investments in Other Financial Instruments1

        

Centrally Cleared Interest Rate Swap Agreements

 

(2,474

)

 

(2,474

)

Open Forward Foreign Currency Contracts

 

(7,323

)

 

(7,323

)

OTC Interest Rate Swap Agreements

 

(905

)

 

(905

)

OTC Credit Default Swap Agreements

 

(441

)

 

(441

)

 

 

(11,143

)

 

(11,143

)

JNL/FAMCO Flex Core Covered Call Fund

Assets - Securities

        

Common Stocks

117,287

 

 

 

117,287

 

Short Term Investments

2,063

 

 

 

2,063

 
 

119,350

 

 

 

119,350

 

Liabilities - Investments in Other Financial Instruments1

        

Exchange Traded Written Options

(7,926

)

 

 

(7,926

)

 

(7,926

)

 

 

(7,926

)

JNL/Lazard International Strategic Equity Fund

Assets - Securities

        

Common Stocks

29,201

 

145,120

 

 

174,321

 

Preferred Stocks

4,338

 

 

 

4,338

 

Short Term Investments

9,636

 

 

 

9,636

 
 

43,175

 

145,120

 

 

188,295

 

JNL/Mellon Equity Income Fund

Assets - Securities

        

Common Stocks

265,601

 

 

 

265,601

 

Short Term Investments

11,553

 

 

 

11,553

 
 

277,154

 

 

 

277,154

 

JNL/Neuberger Berman Commodity Strategy Fund

Assets - Securities

        

Corporate Bonds And Notes

 

35,000

 

 

35,000

 

Non-U.S. Government Agency Asset-Backed Securities

 

7,737

 

 

7,737

 

Short Term Investments

25,751

 

 

 

25,751

 
 

25,751

 

42,737

 

 

68,488

 

Assets - Investments in Other Financial Instruments1

        

Futures Contracts

540

 

 

 

540

 
 

540

 

 

 

540

 

Liabilities - Investments in Other Financial Instruments1

        

Futures Contracts

(9,735

)

 

 

(9,735

)

 

(9,735

)

 

 

(9,735

)

JNL/Neuberger Berman Currency Fund

Assets - Securities

        

Government And Agency Obligations

 

19,603

 

 

19,603

 

Short Term Investments

22,583

 

29,489

 

 

52,072

 
 

22,583

 

49,092

 

 

71,675

 

Assets - Investments in Other Financial Instruments1

        

Open Forward Foreign Currency Contracts

 

40,830

 

 

40,830

 
 

 

40,830

 

 

40,830

 

Liabilities - Investments in Other Financial Instruments1

        

Open Forward Foreign Currency Contracts

 

(39,521

)

 

(39,521

)

 

 

(39,521

)

 

(39,521

)

JNL/Nicholas Convertible Arbitrage Fund

Assets - Securities

        

Corporate Bonds And Notes

 

104,935

 

 

104,935

 

Preferred Stocks

7,696

 

 

 

7,696

 

Short Term Investments

17,744

 

 

 

17,744

 
 

25,440

 

104,935

 

 

130,375

 

Liabilities - Securities

Common Stocks

(43,968

)

 

 

(43,968

)

Investment Companies

(4,966

)

 

 

(4,966

)

 

(48,934

)

 

 

(48,934

)

JNL/PIMCO Investment Grade Credit Bond Fund

Assets - Securities

        

Corporate Bonds And Notes

 

860,329

 

 

860,329

 

Government And Agency Obligations

 

307,631

 

 

307,631

 

Non-U.S. Government Agency Asset-Backed Securities

 

32,703

 

 

32,703

 

Senior Loan Interests

 

18,395

 

2,066

 

20,461

 

Preferred Stocks

330

 

 

 

330

 

Other Equity Interests

 

 

 

 

Short Term Investments

33,526

 

109,735

 

 

143,261

 
 

33,856

 

1,328,793

 

2,066

 

1,364,715

 

66


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

         
 

. Level 1 ($) .

 

. Level 2 ($) .

 

. Level 3 ($) .

 

. Total ($) .

 

JNL/PIMCO Investment Grade Credit Bond Fund (continued)

Assets - Investments in Other Financial Instruments1

        

Futures Contracts

7,141

 

 

 

7,141

 

Centrally Cleared Interest Rate Swap Agreements

 

1,321

 

 

1,321

 

Centrally Cleared Credit Default Swap Agreements

 

1,517

 

 

1,517

 

OTC Purchased Options

 

83

 

 

83

 

Open Forward Foreign Currency Contracts

 

1,166

 

 

1,166

 

OTC Credit Default Swap Agreements

 

350

 

 

350

 
 

7,141

 

4,437

 

 

11,578

 

Liabilities - Investments in Other Financial Instruments1

        

Futures Contracts

(145

)

 

 

(145

)

Centrally Cleared Interest Rate Swap Agreements

 

(1,104

)

 

(1,104

)

Centrally Cleared Credit Default Swap Agreements

 

(23,587

)

 

(23,587

)

OTC Written Options

 

(997

)

 

(997

)

Open Forward Foreign Currency Contracts

 

(2,008

)

 

(2,008

)

OTC Credit Default Swap Agreements

 

(929

)

 

(929

)

 

(145

)

(28,625

)

 

(28,770

)

JNL/T. Rowe Price Capital Appreciation Fund

Assets - Securities

        

Common Stocks

3,778,903

 

84,551

 

 

3,863,454

 

Corporate Bonds And Notes

 

625,455

 

 

625,455

 

Senior Loan Interests

 

399,166

 

1,608

 

400,774

 

Preferred Stocks

247,551

 

 

 

247,551

 

Non-U.S. Government Agency Asset-Backed Securities

 

11,910

 

 

11,910

 

Trust Preferreds

6,527

 

 

 

6,527

 

Investment Companies

1,120

 

 

 

1,120

 

Short Term Investments

526,164

 

 

 

526,164

 
 

4,560,265

 

1,121,082

 

1,608

 

5,682,955

 

Liabilities - Investments in Other Financial Instruments1

        

OTC Written Options

 

(10,860

)

 

(10,860

)

 

 

(10,860

)

 

(10,860

)

JNL/The London Company Focused U.S. Equity Fund

Assets - Securities

        

Common Stocks

50,456

 

 

 

50,456

 

Short Term Investments

2,387

 

 

 

2,387

 
 

52,843

 

 

 

52,843

 

JNL/VanEck International Gold Fund

Assets - Securities

        

Common Stocks

46,230

 

10,604

 

 

56,834

 

Warrants

 

59

 

 

59

 

Rights

 

47

 

 

47

 

Short Term Investments

6,916

 

 

 

6,916

 
 

53,146

 

10,710

 

 

63,856

 

JNL/WCM Focused International Equity Fund

Assets - Securities

        

Common Stocks

        

Canada

170,036

 

 

 

170,036

 

Switzerland

 

167,701

 

 

167,701

 

United States of America

163,153

 

 

 

163,153

 

France

 

125,455

 

 

125,455

 

United Kingdom

 

103,127

 

 

103,127

 

Ireland

78,719

 

 

 

78,719

 

Australia

 

75,115

 

 

75,115

 

China

 

57,380

 

 

57,380

 

Taiwan

54,623

 

 

 

54,623

 

Hong Kong

 

48,119

 

 

48,119

 

Netherlands

46,090

 

 

 

46,090

 

Japan

 

45,428

 

 

45,428

 

Argentina

40,108

 

 

 

40,108

 

Denmark

 

37,469

 

 

37,469

 

Sweden

 

37,166

 

 

37,166

 

India

34,782

 

 

 

34,782

 

Italy

 

33,310

 

 

33,310

 

Mexico

29,735

 

 

 

29,735

 

Spain

 

24,950

 

 

24,950

 

Short Term Investments

91,836

 

 

 

91,836

 
 

709,082

 

755,220

 

 

1,464,302

 

1 Derivatives, except for purchased and written options, are reflected at the unrealized appreciation (depreciation) on the instrument. Purchased and written options are reflected at value.

The Funds recognize transfers between levels as of the beginning of the period for financial reporting purposes. The following table is a rollforward of individually significant securities by issuer Level 3 valuations and transfers by category for which significant unobservable inputs were used to determine fair value during the period ended March 31, 2020:

67


Jackson Variable Series Trust Sub-Advised Funds (Unaudited)

Schedules of Investments (in thousands)

March 31, 2020

                          
  

Balance at Beginning of Period ($)

Transfers into Level 3 During the Period2 ($)

Transfers out of Level 3 During the Period2 ($)

Total Realized and Change in Unrealized Gain/(Loss) ($)

Purchases ($)

(Sales) ($)

Balance at End of Period ($)

Net Change in Unrealized Appreciation/

(Depreciation) on Investments Held at End of Period1 ($)

JNL/Eaton Vance Global Macro Absolute Return Advantage Fund

                   
 

Senior Loan Interests

 

3,623

  

  

  

(36)

  

  

(3,571)3

  

 

(16)

 
 

Senior Loan Interests

 

2,529

  

  

  

(178)

  

  

  

2,3514

 

(178)

 

1 Reflects the change in unrealized appreciation/ (depreciation) for Level 3 investments held at March 31, 2020.

2 There were no significant transfers between Level 3 and Level 2 valuations during the period ended March 31, 2020, other than those noted.

3 The fair value measurement of the senior loan interests held during the period in JNL/Eaton Vance Global Macro Absolute Return Advantage Fund was determined based on market comparable companies as well as discounted cash flow models and was considered a Level 3 valuation. The senior loan interests were sold during the period.

4 The fair value measurement of the senior loan interests held in JNL/Eaton Vance Global Macro Absolute Return Advantage Fund were determined based on discounted cash flow pricing model used to value the investment. The senior loan interest’s spread over the LIBOR rate is considered an unobservable input. Changes to the model inputs may result in changes to the senior loan interest’s fair value measurements at March 31, 2020.

   

Valuation Technique

Unobservable Input

Range (Weighted Average†)

Discounted cash flow model

LIBOR Spread

1,323.30 – 1,745.27 (1,483.09)

Unobservable inputs were weighted by the relative fair value of the instruments.

Significant changes in unobservable valuation inputs to a different amount might result in a significantly higher or lower fair value measurement than the one used in a security’s valuation.

For additional information on the Funds' policies regarding valuation of investments and other significant accounting matters, please refer to the Funds' most recent annual or semi-annual report.

68