0001752724-19-179381.txt : 20191126 0001752724-19-179381.hdr.sgml : 20191126 20191126141325 ACCESSION NUMBER: 0001752724-19-179381 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20190930 FILED AS OF DATE: 20191126 PERIOD START: 20191231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: KP Funds CENTRAL INDEX KEY: 0001573386 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22838 FILM NUMBER: 191249666 BUSINESS ADDRESS: STREET 1: ONE FREEDOM VALLEY DRIVE CITY: OAKS STATE: PA ZIP: 19456 BUSINESS PHONE: (800) 342-5734 MAIL ADDRESS: STREET 1: ONE FREEDOM VALLEY DRIVE CITY: OAKS STATE: PA ZIP: 19456 0001573386 S000041508 KP INTERNATIONAL EQUITY FUND C000129000 INSTITUTIONAL SHARES KPIEX NPORT-P 1 primary_doc.xml NPORT-P false 0001573386 XXXXXXXX S000041508 C000129000 KP FUNDS 811-22838 0001573386 549300A6S3MWY1JSUC48 ONE FREEDOM VALLEY DRIVE OAKS 19456 8003425734 KP International Equity Fund S000041508 549300YGWWW895T17J50 2019-12-31 2019-09-30 N 1898869674.06 2837320.35 1896032353.71 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 N INTESA SANPAOLO SPA 2W8N8UU78PMDQKZENC08 INTESA SANPAOLO COMMON STOCK N/A 113380.00000000 NS 268846.05000000 0.014179402027 Long EC IT N 1 N N N ALPS ALPINE CO., LTD. 529900PWNU4ASLY9VI90 ALPS ALPINE CO LTD COMMON STOCK N/A 5300.00000000 NS 98867.98000000 0.005214466926 Long EC JP N 1 N N N Aktiebolaget Industrivarden 549300TM1DLIQI3B3T37 INDUSTRIVARDEN AB-C SHS COMMON STOCK N/A 3830.00000000 NS 83844.05000000 0.004422079076 Long EC SE N 1 N N N L'OREAL SA 529900JI1GG6F7RKVI53 L'OREAL COMMON STOCK N/A 14062.00000000 NS 3937488.75000000 0.207669913558 Long EC FR N 1 N N N Akzo Nobel N.V. 724500XYIJUGXAA5QD70 AKZO NOBEL N.V. COMMON STOCK N/A 6001.00000000 NS 534973.12000000 0.028215400383 Long EC NL N 1 N N N JCDECAUX SA 9695009KV7AFPDEI5S30 JCDECAUX SA COMMON STOCK N/A 13962.00000000 NS 378013.54000000 0.019937082785 Long EC FR N 1 N N N T&D Holdings, Inc. 3538008ARJ1MACEWA242 T&D HOLDINGS INC COMMON STOCK N/A 14600.00000000 NS 154608.09000000 0.008154295980 Long EC JP N 1 N N N Skandinaviska Enskilda Banken AB F3JS33DEI6XQ4ZBPTN86 SKANDINAVISKA ENSKILDA BAN-A COMMON STOCK N/A 41871.00000000 NS 384850.55000000 0.020297678425 Long EC SE N 1 N N N ISS A/S 213800LEZA58SZNCBN19 ISS A/S COMMON STOCK N/A 3718.00000000 NS 92000.82000000 0.004852281123 Long EC DK N 1 N N N Taiwan Semiconductor Manufacturing Co., Ltd. 549300KB6NK5SBD14S87 TAIWAN SEMICONDUCTOR-SP ADR DEPOSITARY RECEIPT 874039100 139134.00000000 NS USD 6466948.32000000 0.341077951931 Long EC TW N 1 N N N KINROSS GOLD CORPORATION 549300UEBMAQDN0K0R06 KINROSS GOLD CORP COMMON STOCK 496902404 31400.00000000 NS 144574.86000000 0.007625126212 Long EC CA N 1 N N N S1 Corp N/A S-1 CORPORATION COMMON STOCK N/A 5884.00000000 NS 482565.23000000 0.025451318330 Long EC KR N 1 N N N LG Uplus Corp N/A LG UPLUS CORP COMMON STOCK N/A 101551.00000000 NS 1158860.64000000 0.061120298803 Long EC KR N 1 N N N SAMSUNG ELECTRONICS CO,.LTD 9884007ER46L6N7EI764 SAMSUNG ELECTR-GDR REG S DEPOSITARY RECEIPT 796050888 6240.00000000 NS USD 6397023.98000000 0.337390022247 Long EC KR N 1 N N N PT Bank Negara Indonesia (Persero) Tbk 549300HZ8J3MLVXQ8F85 BANK NEGARA INDONESIA PERSER COMMON STOCK N/A 2554700.00000000 NS 1322792.88000000 0.069766366455 Long EC ID N 1 N N N SMITHS GROUP PLC 213800MJL6IPZS3ASA11 SMITHS GROUP PLC COMMON STOCK N/A 109313.00000000 NS 2110159.84000000 0.111293451078 Long EC GB N 1 N N N JB FINANCIAL GROUP CO.,LTD N/A JB FINANCIAL GROUP CO LTD COMMON STOCK N/A 9678.00000000 NS 45471.19000000 0.002398228590 Long EC KR N 1 N N N LE GROUPE STARS INC. 54930026VVWZTYC29T51 STARS GROUP INC/THE COMMON STOCK 85570W100 5500.00000000 NS 82322.53000000 0.004341831500 Long EC CA N 1 N N N BRAMBLES LIMITED N/A BRAMBLES LTD COMMON STOCK N/A 41945.00000000 NS 322743.13000000 0.017022026515 Long EC AU N 1 N N N Dufry AG 549300X53WDBVW7TIF57 DUFRY AG-REG COMMON STOCK N/A 1234.00000000 NS 103215.59000000 0.005443767338 Long EC CH N 1 N N N GVC HOLDINGS PLC 213800GNI3K45LQR8L28 GVC HOLDINGS PLC COMMON STOCK N/A 15972.00000000 NS 145990.89000000 0.007699810064 Long EC IM N 1 N N N CARREFOUR S.A. 549300B8P6MUJ1YWTS08 CARREFOUR SA COMMON STOCK N/A 15406.00000000 NS 269676.79000000 0.014223216680 Long EC FR N 1 N N N PTG Energy Public Company Limited N/A PTG ENERGY PCL-NVDR DEPOSITARY RECEIPT N/A 827100.00000000 NS 508402.16000000 0.026814002356 Long EC TH N 1 N N N Mitsubishi UFJ Financial Group, Inc. 353800V2V8PUY9TK3E06 MITSUBISHI UFJ FINANCIAL GRO COMMON STOCK N/A 317200.00000000 NS 1608809.06000000 0.084851350603 Long EC JP N 1 N N N HINDUJA GLOBAL SOLUTIONS LIMITED 335800BXIL3V4Q8HFQ18 HINDUJA GLOBAL SOLUTIONS LTD COMMON STOCK N/A 1577.00000000 NS 12805.14000000 0.000675365057 Long EC IN N 1 N N N EUROFINS SCIENTIFIC SE 529900JEHFM47DYY3S57 EUROFINS SCIENTIFIC COMMON STOCK N/A 2428.00000000 NS 1128428.40000000 0.059515250243 Long EC LU N 1 N N N EURO N/A FX Forward Contract: EUR/GBP SETTLE 2019-10-01 N/A 1.00000000 NC -965.32000000 -0.00005091263 N/A DFE XX N 2 GOLDMAN, SACHS & CO. N/A 247619.72000000 GBP 278446.54000000 EUR 2019-10-01 -965.32000000 N N N MS&AD Insurance Group Holdings, Inc. 529900CXROT5S2HMMP26 MS&AD INSURANCE GROUP HOLDIN COMMON STOCK N/A 19700.00000000 NS 637687.86000000 0.033632752033 Long EC JP N 1 N N N Ping An Insurance (Group) Company of China, Ltd. 529900M9MC28JLN35U89 PING AN INSURANCE GROUP CO-H COMMON STOCK N/A 580000.00000000 NS 6663817.19000000 0.351461153970 Long EC CN N 1 N N N AMP LIMITED 5299000D93LTLU0UJR35 AMP LTD COMMON STOCK N/A 93765.00000000 NS 115498.30000000 0.006091578541 Long EC AU N 1 N N N Mitsubishi Corporation KVIPTY4PULAPGC1VVD26 MITSUBISHI CORP COMMON STOCK N/A 29300.00000000 NS 718375.03000000 0.037888331841 Long EC JP N 1 N N N WELCIA HOLDINGS CO.,LTD. N/A WELCIA HOLDINGS CO LTD COMMON STOCK N/A 1100.00000000 NS 55343.35000000 0.002918903250 Long EC JP N 1 N N N VIVENDI S.A. 969500FU4DRAEVJW7U54 VIVENDI COMMON STOCK N/A 23842.00000000 NS 654344.62000000 0.034511258139 Long EC FR N 1 N N N PetroChina Company Limited 529900RPY4YG47TRSV05 PETROCHINA CO LTD-H COMMON STOCK N/A 4138000.00000000 NS 2127682.87000000 0.112217645750 Long EC CN N 1 N N N SJM Holdings Limited 529900XEAB40COT5ZL30 SJM HOLDINGS LTD COMMON STOCK N/A 44000.00000000 NS 41823.49000000 0.002205842633 Long EC HK N 1 N N N Axel Springer SE 529900PXZU3YHO6HMD80 AXEL SPRINGER SE COMMON STOCK N/A 1368.00000000 NS 94383.90000000 0.004977968852 Long EC DE N 1 N N N EUROFINS SCIENTIFIC SE 529900JEHFM47DYY3S57 EUROFINS SCIENTIFIC COMMON STOCK N/A 289.00000000 NS 134314.58000000 0.007083981438 Long EC LU N 1 N N N Koninklijke KPN N.V. 549300YO0JZHAL7FVP81 KONINKLIJKE KPN NV COMMON STOCK N/A 90067.00000000 NS 280861.16000000 0.014813099547 Long EC NL N 1 N N N DANONE S.A. 969500KMUQ2B6CBAF162 DANONE COMMON STOCK N/A 59846.00000000 NS 5271838.56000000 0.278045812334 Long EC FR N 1 N N N SK hynix Inc. 988400XAIK6XISWQV045 SK HYNIX INC COMMON STOCK N/A 39014.00000000 NS 2681060.74000000 0.141403744232 Long EC KR N 1 N N N DELFI LIMITED N/A DELFI LTD COMMON STOCK N/A 1162400.00000000 NS 1009210.29000000 0.053227482538 Long EC SG N 1 N N N KERRY PROPERTIES LIMITED 5299006T5ULIIRZ7LK49 KERRY PROPERTIES LTD COMMON STOCK N/A 14000.00000000 NS 43137.66000000 0.002275154214 Long EC BM N 1 N N N COLES GROUP LIMITED 549300OHQRG2HN8LZ793 COLES GROUP LTD COMMON STOCK N/A 29958.00000000 NS 311390.60000000 0.016423274602 Long EC AU N 1 N N N Nokian Renkaat Oyj 743700YQIO8Y4L4WKR40 NOKIAN RENKAAT OYJ COMMON STOCK N/A 125690.00000000 NS 3545464.37000000 0.186993875028 Long EC FI N 1 N N N NOVOZYMES A/S 529900T6WNZXD2R3JW38 NOVOZYMES A/S-B SHARES COMMON STOCK N/A 5697.00000000 NS 239525.25000000 0.012632972719 Long EC DK N 1 N N N Ajisen (China) Holdings Ltd 529900UKY2IB38U0M011 AJISEN CHINA HOLDINGS LTD COMMON STOCK N/A 636000.00000000 NS 178521.76000000 0.009415543972 Long EC KY N 1 N N N KOMATSU LTD. 5493004LQ0B4T7QPQV17 KOMATSU LTD COMMON STOCK N/A 124900.00000000 NS 2858982.66000000 0.150787651613 Long EC JP N 1 N N N RATHBONE BROTHERS PUBLIC LIMITED COMPANY 213800MBTHM6UE8ZQP29 RATHBONE BROTHERS PLC COMMON STOCK N/A 7358.00000000 NS 200842.98000000 0.010592803419 Long EC GB N 1 N N N Power Assets Holdings Limited 254900JOWYUW1ZX4DF47 POWER ASSETS HOLDINGS LTD COMMON STOCK N/A 37000.00000000 NS 248548.68000000 0.013108883902 Long EC HK N 1 N N N VALEO S.A. 5493006IH2N2WMIBB742 VALEO SA COMMON STOCK N/A 6268.00000000 NS 203246.97000000 0.010719593977 Long EC FR N 1 N N N Koninklijke Ahold Delhaize N.V. 724500C9GNBV20UYRX36 KONINKLIJKE AHOLD DELHAIZE N COMMON STOCK N/A 45014.00000000 NS 1126245.40000000 0.059400115076 Long EC NL N 1 N N N CONVOY GLOBAL HOLDINGS LIMITED N/A CONVOY GLOBAL HOLDINGS LTD Common Stock N/A 402000.00000000 NS 2141.38000000 0.000112940055 Long EC KY N 2 N N N COCA-COLA EUROPEAN PARTNERS PLC 549300LTH67W4GWMRF57 COCA-COLA EUROPEAN PARTNERS COMMON STOCK N/A 2070.00000000 NS 115517.67000000 0.006092600148 Long EC GB N 1 N N N KUNLUN ENERGY COMPANY LIMITED 5299007GRIKP15GM4927 KUNLUN ENERGY CO LTD COMMON STOCK N/A 424000.00000000 NS 365158.15000000 0.019259067456 Long EC BM N 1 N N N Ferrari N.V. 549300RIVY5EX8RCON76 FERRARI NV COMMON STOCK N3167Y103 3223.00000000 NS 497254.02000000 0.026226030322 Long EC NL N 1 N N N DANSKE BANK A/S MAES062Z21O4RZ2U7M96 DANSKE BANK A/S COMMON STOCK N/A 17348.00000000 NS 241556.83000000 0.012740121735 Long EC DK N 1 N N N CHINA CONSTRUCTION BANK CORPORATION 5493001KQW6DM7KEDR62 CHINA CONSTRUCTION BANK-H COMMON STOCK N/A 5619000.00000000 NS 4287178.64000000 0.226113158439 Long EC CN N 1 N N N SAIPEM S.P.A. 549300PHV8MBDHWB8X12 SAIPEM SPA COMMON STOCK N/A 243886.00000000 NS 1103703.30000000 0.058211206039 Long EC IT N 1 N N N PCCW LIMITED 254900SI7GPUPA1TJX39 PCCW LTD COMMON STOCK N/A 114136.00000000 NS 64074.72000000 0.003379410687 Long EC HK N 1 N N N Beiersdorf Aktiengesellschaft L47NHHI0Z9X22DV46U41 BEIERSDORF AG COMMON STOCK N/A 63058.00000000 NS 7436619.83000000 0.392220091363 Long EC DE N 1 N N N SOCIETE BIC S.A. 969500UR00DF63I0VH67 SOCIETE BIC SA COMMON STOCK N/A 760.00000000 NS 51027.28000000 0.002691266311 Long EC FR N 1 N N N YAKULT HONSHA CO.,LTD. 353800YJPSPGG7KI0S71 YAKULT HONSHA CO LTD COMMON STOCK N/A 3100.00000000 NS 173169.94000000 0.009133279801 Long EC JP N 1 N N N GMO Payment Gateway, Inc. 353800Q6U21E2PM83F86 GMO PAYMENT GATEWAY INC COMMON STOCK N/A 1000.00000000 NS 66867.05000000 0.003526682963 Long EC JP N 1 N N N SIME DARBY BERHAD 2549004CE1XFEGY1IW40 SIME DARBY BERHAD COMMON STOCK N/A 170300.00000000 NS 91515.40000000 0.004826679239 Long EC MY N 1 N N N Erste Group Bank AG PQOH26KWDF7CG10L6792 ERSTE GROUP BANK AG COMMON STOCK N/A 7581.00000000 NS 250697.61000000 0.013222222158 Long EC AT N 1 N N N FamilyMart Co., Ltd. 529900GD7JL8DBCSE791 FAMILYMART CO LTD COMMON STOCK N/A 6400.00000000 NS 155849.25000000 0.008219756888 Long EC JP N 1 N N N ALLIANZ MALAYSIA BERHAD. 549300HV4GOIOIOKHO67 ALLIANZ MALAYSIA BHD COMMON STOCK N/A 6200.00000000 NS 20493.91000000 0.001080883981 Long EC MY N 1 N N N MALAYSIAN PACIFIC INDUSTRIES BHD N/A MALAYSIAN PACIFIC INDUSTRIES COMMON STOCK N/A 17267.00000000 NS 37692.95000000 0.001987990865 Long EC MY N 1 N N N OMRON Corporation 549300ZHW0TR2QZ0NY83 OMRON CORP COMMON STOCK N/A 99300.00000000 NS 5427634.68000000 0.286262767055 Long EC JP N 1 N N N KION GROUP AG 5299005KY91C4C6U9H17 KION GROUP AG COMMON STOCK D4S14D103 1675.00000000 NS 88088.71000000 0.004645949729 Long EC DE N 1 N N N RELX PLC 549300WSX3VBUFFJOO66 RELX PLC COMMON STOCK N/A 81754.00000000 NS 1942550.87000000 0.102453466376 Long EC GB N 1 N N N Nomura Research Institute, Ltd. N/A NOMURA RESEARCH INSTITUTE LT COMMON STOCK N/A 8000.00000000 NS 159149.13000000 0.008393798222 Long EC JP N 1 N N N TELECOM ITALIA SPA 549300W384M3RI3VXU42 TELECOM ITALIA SPA COMMON STOCK N/A 250858.00000000 NS 143137.28000000 0.007549305776 Long EC IT N 1 N N N JARDINE STRATEGIC HOLDINGS LIMITED 213800BZ6VW56K2S6677 JARDINE STRATEGIC HLDGS LTD COMMON STOCK N/A 5600.00000000 NS USD 167328.00000000 0.008825165861 Long EC BM N 1 N N N SBERBANK ROSSII PAO 549300WE6TAF5EEWQS81 SBERBANK PJSC -SPONSORED ADR DEPOSITARY RECEIPT 80585Y308 122106.00000000 NS USD 1730852.55000000 0.091288133697 Long EC RU N 1 N N N AMBEV S.A. 549300TH5Q6VRP8OT012 AMBEV SA-ADR DEPOSITARY RECEIPT 02319V103 374701.00000000 NS USD 1731118.62000000 0.091302166685 Long EC BR N 1 N N N Demant A/S 213800RM6L9LN78BVA56 DEMANT A/S COMMON STOCK N/A 2737.00000000 NS 70103.67000000 0.003697387856 Long EC DK N 1 N N N JTEKT Corporation N/A JTEKT CORP COMMON STOCK N/A 4600.00000000 NS 52711.21000000 0.002780079669 Long EC JP N 1 N N N GMK NORIL'SKIY NIKEL' PAO 253400JPTEEW143W3E47 MMC NORILSK NICKEL PJSC-ADR DEPOSITARY RECEIPT 55315J102 92434.00000000 NS USD 2366310.40000000 0.124803271176 Long EC RU N 1 N N N Acerinox, S.A. 95980020140005582721 ACERINOX SA COMMON STOCK N/A 36809.00000000 NS 314862.64000000 0.016606395950 Long EC ES N 1 N N N Shiseido Company, Limited 5299008QCD0YDT5OF506 SHISEIDO CO LTD COMMON STOCK N/A 10300.00000000 NS 821999.54000000 0.043353666322 Long EC JP N 1 N N N 1&1 Drillisch AG 5299003VKVDCUPSS5X23 1&1 DRILLISCH AG COMMON STOCK N/A 1354.00000000 NS 42207.81000000 0.002226112329 Long EC DE N 1 N N N GOLDEN AGRI-RESOURCES LTD 529900GAK9LTNC3IFY40 GOLDEN AGRI-RESOURCES LTD COMMON STOCK N/A 140800.00000000 NS 22920.81000000 0.001208882852 Long EC MU N 1 N N N IPH Limited 529900KRTADQ17ANK140 IPH LTD COMMON STOCK N/A 60976.00000000 NS 358466.89000000 0.018906158921 Long EC AU N 1 N N N Koninklijke Boskalis Westminster N.V. 724500W1FESNTNY5DL70 BOSKALIS WESTMINSTER COMMON STOCK N/A 20231.00000000 NS 422053.41000000 0.022259821103 Long EC NL N 1 N N N INVESTEC PLC 2138007Z3U5GWDN3MY22 INVESTEC PLC COMMON STOCK N/A 18321.00000000 NS 94318.32000000 0.004974510050 Long EC GB N 1 N N N HAYS PLC 213800QC8AWD4BO8TH08 HAYS PLC COMMON STOCK N/A 371181.00000000 NS 688225.83000000 0.036298211296 Long EC GB N 1 N N N PERSOL HOLDINGS CO.,LTD. N/A PERSOL HOLDINGS CO LTD COMMON STOCK N/A 4100.00000000 NS 77430.75000000 0.004083830629 Long EC JP N 1 N N N HERMES INTERNATIONAL S.C.A. 969500Y4IJGHJE2MTJ13 HERMES INTERNATIONAL COMMON STOCK N/A 834.00000000 NS 576319.66000000 0.030396087855 Long EC FR N 1 N N N Delivery Hero SE 529900C3EX1FZGE48X78 DELIVERY HERO SE COMMON STOCK N/A 2862.00000000 NS 127148.70000000 0.006706040630 Long EC DE N 1 N N N KOSE Corporation 353800NX4GGAVDHHY664 KOSE CORP COMMON STOCK N/A 800.00000000 NS 135028.90000000 0.007121655900 Long EC JP N 1 N N N Evonik Industries AG 41GUOJQTALQHLF39XJ34 EVONIK INDUSTRIES AG COMMON STOCK N/A 4334.00000000 NS 106995.43000000 0.005643122586 Long EC DE N 1 N N N WASHINGTON H. SOUL PATTINSON AND COMPANY LIMITED N/A WASHINGTON H. SOUL PATTINSON COMMON STOCK N/A 2441.00000000 NS 34648.07000000 0.001827398669 Long EC AU N 1 N N N SEGA SAMMY HOLDINGS INC. 5493006B6WMKNQ8QNP51 SEGA SAMMY HOLDINGS INC COMMON STOCK N/A 4500.00000000 NS 62927.17000000 0.003318886931 Long EC JP N 1 N N N TOSHIBA CORPORATION 549300LBHTST91VKHO68 TOSHIBA CORP COMMON STOCK N/A 13600.00000000 NS 415075.14000000 0.021891775168 Long EC JP N 1 N N N WOODSIDE PETROLEUM LTD. 2549005ZC5RXAOO7FH41 WOODSIDE PETROLEUM LTD COMMON STOCK 980228100 23573.00000000 NS 515185.54000000 0.027171769458 Long EC AU N 1 N N N TELEPERFORMANCE SE 9695004GI61FHFFNRG61 TELEPERFORMANCE COMMON STOCK N/A 1511.00000000 NS 327572.45000000 0.017276733140 Long EC FR N 1 N N N SOCIETE FINANCIERE IGM INC. 254900RYHLVJNTUFDA95 IGM FINANCIAL INC COMMON STOCK 449586106 1900.00000000 NS 53951.77000000 0.002845508933 Long EC CA N 1 N N N Siemens Gamesa Renewable Energy, S.A. 9598004BR8D81D3M1D64 SIEMENS GAMESA RENEWABLE ENE COMMON STOCK N/A 6791.00000000 NS 92153.37000000 0.004860326872 Long EC ES N 1 N N N VIPSHOP HOLDINGS LIMITED 549300I9F52K06HPZX60 VIPSHOP HOLDINGS LTD - ADR DEPOSITARY RECEIPT 92763W103 138917.00000000 NS USD 1239139.64000000 0.065354351025 Long EC KY N 1 N N N ADIDAS AG 549300JSX0Z4CW0V5023 ADIDAS AG COMMON STOCK N/A 6305.00000000 NS 1963032.31000000 0.103533692669 Long EC DE N 1 N N N Stora Enso Oyj 7437000ZP669LKUTZ738 STORA ENSO OYJ-R SHS COMMON STOCK N/A 14197.00000000 NS 171065.91000000 0.009022309649 Long EC FI N 1 N N N GWA GROUP LIMITED N/A GWA GROUP LTD COMMON STOCK N/A 111728.00000000 NS 255642.87000000 0.013483043656 Long EC AU N 1 N N N CLP HOLDINGS LIMITED 25490002BUTSMP94GO68 CLP HOLDINGS LTD COMMON STOCK N/A 41500.00000000 NS 436036.72000000 0.022997324868 Long EC HK N 1 N N N ASML Holding N.V. 724500Y6DUVHQD6OXN27 ASML HOLDING NV COMMON STOCK N/A 11081.00000000 NS 2744675.30000000 0.144758885291 Long EC NL N 1 N N N MICRO FOCUS INTERNATIONAL PLC 213800F8E4X648142844 MICRO FOCUS INTL-SPN ADR DEPOSITARY RECEIPT 594837403 4526.29760000 NS USD 64047.11000000 0.003377954488 Long EC GB N 1 N N N CARSALES.COM LIMITED 5299009TFWZGH2AN7D11 CARSALES.COM LTD COMMON STOCK N/A 79024.00000000 NS 815527.21000000 0.043012304531 Long EC AU N 1 N N N HERMES INTERNATIONAL S.C.A. 969500Y4IJGHJE2MTJ13 HERMES INTERNATIONAL COMMON STOCK N/A 1163.00000000 NS 803668.78000000 0.042386870584 Long EC FR N 1 N N N ALBARAKA TURK KATILIM BANKASI ANONIM SIRKETI 789000EJPSW14F8KVG81 ALBARAKA TURK KATILIM BANKAS COMMON STOCK N/A 44267.00000000 NS 10661.08000000 0.000562283654 Long EC TR N 1 N N N China Mobile Limited 529900U2JJ7GK68NI589 CHINA MOBILE LTD COMMON STOCK N/A 567000.00000000 NS 4691420.95000000 0.247433591563 Long EC HK N 1 N N N LEGRAND S.A. 969500XXRPGD7HCAFA90 LEGRAND SA COMMON STOCK N/A 42262.00000000 NS 3016246.59000000 0.159082021153 Long EC FR N 1 N N N HAKUHODO DY HOLDINGS INCORPORATED N/A HAKUHODO DY HOLDINGS INC COMMON STOCK N/A 5400.00000000 NS 77959.77000000 0.004111732051 Long EC JP N 1 N N N Siemens Healthineers AG 529900QBVWXMWANH7H45 SIEMENS HEALTHINEERS AG COMMON STOCK N/A 3599.00000000 NS 141591.45000000 0.007467776049 Long EC DE N 1 N N N MOORIM PAPER CO., LTD. 988400LIGM551XL3O124 MOORIM PAPER CO LTD COMMON STOCK N/A 15148.00000000 NS 33686.14000000 0.001776664830 Long EC KR N 1 N N N ENEVA S.A. 549300T1AP7HKCABII19 ENEVA SA COMMON STOCK N/A 16312.00000000 NS 120996.84000000 0.006381580976 Long EC BR N 1 N N N INDUSTRIAS BACHOCO, S.A.B. DE C.V. N/A INDUSTRIAS BACHOCO-SER B COMMON STOCK N/A 75859.00000000 NS 333242.97000000 0.017575806095 Long EC MX N 1 N N N Kurita Water Industries Ltd. 52990086GS2ON69UMX34 KURITA WATER INDUSTRIES LTD COMMON STOCK N/A 2300.00000000 NS 61538.96000000 0.003245670353 Long EC JP N 1 N N N PETS AT HOME GROUP PLC 2138003Y9ULD24PD3J93 PETS AT HOME GROUP PLC COMMON STOCK N/A 97204.00000000 NS 248833.45000000 0.013123903160 Long EC GB N 1 N N N Logitech international S.A. 549300SN6PRK6IJJC215 LOGITECH INTERNATIONAL-REG COMMON STOCK N/A 18808.00000000 NS 762835.37000000 0.040233246468 Long EC CH N 1 N N N WANT WANT CHINA HOLDINGS LIMITED 5299005HZCEKX4O1J230 WANT WANT CHINA HOLDINGS LTD COMMON STOCK N/A 1602996.00000000 NS 1282364.08000000 0.067634082165 Long EC KY N 1 N N N KANEKA CORPORATION 529900FWWCF6RY313R16 KANEKA CORP COMMON STOCK N/A 1000.00000000 NS 31121.39000000 0.001641395514 Long EC JP N 1 N N N GENMAB A/S 529900MTJPDPE4MHJ122 GENMAB A/S COMMON STOCK N/A 1656.00000000 NS 336158.37000000 0.017729569294 Long EC DK N 1 N N N ESTACIO PARTICIPACOES S.A. N/A YDUQS PART COMMON STOCK N/A 11700.00000000 NS 101147.79000000 0.005334708018 Long EC BR N 1 N N N OTSUKA CORPORATION 529900RG9DJ58J3UIE72 OTSUKA CORP COMMON STOCK N/A 3700.00000000 NS 147315.61000000 0.007769678070 Long EC JP N 1 N N N Ressources Teck Limitee T8KI5SQ2JRWHL7XY0E11 TECK RESOURCES LTD-CLS B COMMON STOCK 878742204 13400.00000000 NS 217256.29000000 0.011458469554 Long EC CA N 1 N N N AEGON N.V. O4QK7KMMK83ITNTHUG69 AEGON NV COMMON STOCK N/A 46959.00000000 NS 195366.06000000 0.010303941260 Long EC NL N 1 N N N PT Telekomunikasi Indonesia (Persero) Tbk 529900M5SQZAOKV1PC81 TELEKOMUNIKASI INDONESIA PER COMMON STOCK N/A 11216700.00000000 NS 3405704.61000000 0.179622705453 Long EC ID N 1 N N N SAP SE 529900D6BF99LW9R2E68 SAP SE COMMON STOCK N/A 70332.00000000 NS 8269933.80000000 0.436170500140 Long EC DE N 1 N N N TOTAL SA 529900S21EQ1BO4ESM68 TOTAL SA COMMON STOCK N/A 143927.00000000 NS 7511901.64000000 0.396190583209 Long EC FR N 1 N N N TOKYO GAS CO.,LTD. 353800678EIJLOQSWZ83 TOKYO GAS CO LTD COMMON STOCK N/A 10200.00000000 NS 257016.42000000 0.013555487040 Long EC JP N 1 N N N MACQUARIE GROUP LIMITED ACMHD8HWFMFUIQQ8Y590 MACQUARIE GROUP LTD COMMON STOCK N/A 8398.00000000 NS 742992.22000000 0.039186684686 Long EC AU N 1 N N N CHINA VANKE CO., LTD. 529900E66UJ2DWY7KW55 CHINA VANKE CO LTD-H COMMON STOCK N/A 441300.00000000 NS 1537120.58000000 0.081070377147 Long EC CN N 1 N N N T&D Holdings, Inc. 3538008ARJ1MACEWA242 T&D HOLDINGS INC COMMON STOCK N/A 16500.00000000 NS 174728.32000000 0.009215471437 Long EC JP N 1 N N N Metso Oyj 2138007FRMWVPUDCMA45 METSO OYJ COMMON STOCK N/A 2945.00000000 NS 110003.76000000 0.005801787073 Long EC FI N 1 N N N PAGEGROUP PLC 213800JK5ZEQW4AB8G71 PAGEGROUP PLC COMMON STOCK N/A 42996.00000000 NS 232185.06000000 0.012245838503 Long EC GB N 1 N N N U.S. DOLLARS N/A FX Forward Contract: USD/GBP SETTLE 2019-10-01 N/A 1.00000000 NC USD 133.71000000 0.000007052094 N/A DFE US N 2 STATE STREET BANK N/A 48509.31000000 GBP 59778.02000000 USD 2019-10-01 133.71000000 N N N SUZUKEN CO.,LTD. N/A SUZUKEN CO LTD COMMON STOCK N/A 2200.00000000 NS 118011.56000000 0.006224132186 Long EC JP N 1 N N N Viscofan, S.A. 95980020140005684765 VISCOFAN SA COMMON STOCK N/A 12377.00000000 NS 580085.45000000 0.030594702082 Long EC ES N 1 N N N ING Groep N.V. 549300NYKK9MWM7GGW15 ING GROEP NV COMMON STOCK N/A 101904.00000000 NS 1066722.64000000 0.056260782571 Long EC NL N 1 N N N EASYJET PLC 2138001S47XKWIB7TH90 EASYJET PLC COMMON STOCK N/A 40050.00000000 NS 566296.98000000 0.029867474512 Long EC GB N 1 N N N Atlas Copco Aktiebolag 213800T8PC8Q4FYJZR07 ATLAS COPCO AB-A SHS COMMON STOCK N/A 17680.00000000 NS 544549.85000000 0.028720493557 Long EC SE N 1 N N N HOYA CORPORATION 353800X4VR3BHEUCJB42 HOYA CORP COMMON STOCK N/A 111300.00000000 NS 9077962.54000000 0.478787322496 Long EC JP N 1 N N N BARRATT DEVELOPMENTS PLC 2138006R85VEOF5YNK29 BARRATT DEVELOPMENTS PLC COMMON STOCK N/A 25641.00000000 NS 204293.17000000 0.010774772360 Long EC GB N 1 N N N CTS EVENTIM AG & Co. KGaA 529900FDHSN08UBJII80 CTS EVENTIM AG & CO KGAA COMMON STOCK N/A 10609.00000000 NS 597823.69000000 0.031530247299 Long EC DE N 1 N N N ALS LIMITED 549300RYCQ8DMIO2J661 ALS LTD COMMON STOCK N/A 143036.00000000 NS 774268.67000000 0.040836258330 Long EC AU N 1 N N N AIA Group Limited ZP5ILWVSYE4LJGMMVD57 AIA GROUP LTD COMMON STOCK N/A 314600.00000000 NS 2972317.13000000 0.156765106048 Long EC HK N 1 N N N DAIFUKU CO.,LTD. N/A DAIFUKU CO LTD COMMON STOCK N/A 5600.00000000 NS 288480.92000000 0.015214978765 Long EC JP N 1 N N N TOTVS S.A. N/A TOTVS SA COMMON STOCK N/A 164100.00000000 NS 2281234.67000000 0.120316231183 Long EC BR N 1 N N N NIPPON TELEGRAPH AND TELEPHONE CORPORATION 353800VHQU5VIXVUA841 NIPPON TELEGRAPH & TELEPHONE COMMON STOCK N/A 36700.00000000 NS 1750059.65000000 0.092301149111 Long EC JP N 1 N N N ABB Ltd 5493000LKVGOO9PELI61 ABB LTD-REG COMMON STOCK N/A 47380.00000000 NS 930937.13000000 0.049099221760 Long EC CH N 1 N N N SCENTRE GROUP N/A SCENTRE GROUP REIT N/A 136726.00000000 NS 362673.33000000 0.019128013785 Long EC AU N 1 N N N Vicinity Centres N/A VICINITY CENTRES REIT N/A 85315.00000000 NS 147989.36000000 0.007805212801 Long EC AU N 1 N N N BLUESCOPE STEEL LIMITED N/A BLUESCOPE STEEL LTD COMMON STOCK N/A 13720.00000000 NS 111216.46000000 0.005865746952 Long EC AU N 1 N N N Orion Oyj 74370029VAHCXDR7B745 ORION OYJ-CLASS B COMMON STOCK N/A 2841.00000000 NS 105964.25000000 0.005588736383 Long EC FI N 1 N N N NITTO DENKO CORPORATION 3538009GX5P09USH2J25 NITTO DENKO CORP COMMON STOCK N/A 3600.00000000 NS 173266.13000000 0.009138353027 Long EC JP N 1 N N N BAIC MOTOR Corporation Limited 5299003EYHISIDNLZQ19 BAIC MOTOR CORP LTD-H COMMON STOCK N/A 571739.00000000 NS 353064.90000000 0.018621248699 Long EC CN N 1 N N N SCHNEIDER ELECTRIC SE 969500A1YF1XUYYXS284 SCHNEIDER ELECTRIC SE COMMON STOCK N/A 103689.00000000 NS 9097806.47000000 0.479833925417 Long EC FR N 1 N N N FLIGHT CENTRE TRAVEL GROUP LIMITED 254900BGNUI78EKEJY68 FLIGHT CENTRE TRAVEL GROUP L COMMON STOCK N/A 1077.00000000 NS 34601.48000000 0.001824941432 Long EC AU N 1 N N N HANG SENG BANK, LIMITED 5493009Z5F07LWZYMK62 HANG SENG BANK LTD COMMON STOCK N/A 19300.00000000 NS 416155.25000000 0.021948742023 Long EC HK N 1 N N N EMS-CHEMIE HOLDING AG 529900G1XFTGSE0DIX60 EMS-CHEMIE HOLDING AG-REG COMMON STOCK N/A 192.00000000 NS 119561.14000000 0.006305859695 Long EC CH N 1 N N N Cellnex Telecom S.A. 5493008T4YG3AQUI7P67 CELLNEX TELECOM SA COMMON STOCK N/A 4931.00000000 NS 203695.92000000 0.010743272370 Long EC ES N 1 N N N Toyo Seikan Group Holdings, Ltd. 5299004VWXGQPXR05T33 TOYO SEIKAN GROUP HOLDINGS L COMMON STOCK N/A 21500.00000000 NS 333262.43000000 0.017576832449 Long EC JP N 1 N N N EZION HOLDINGS LTD - WTS N/A EZION HOLDINGS LTD - WTS ISSUE 3:5 / TERMS 1.66667:1 N/A 77880.00000000 NC 0.00000000 0.000000 N/A DE SG N 3 CORPORATE ACTION N/A Call Purchased N/A N/A 77880.00000000 0.27630000 SGD 2023-04-16 XXXX 0.00000000 N N N BCE Inc. 5493001I9203PRB5KR45 BCE INC COMMON STOCK 05534B760 18198.00000000 NS 880196.13000000 0.046423054347 Long EC CA N 1 N N N SEAH HOLDINGS CORP N/A SEAH HOLDINGS CORP COMMON STOCK N/A 225.00000000 NS 15443.30000000 0.000814506143 Long EC KR N 1 N N N YAMATO HOLDINGS CO.,LTD. N/A YAMATO HOLDINGS CO LTD COMMON STOCK N/A 3300.00000000 NS 49625.90000000 0.002617355125 Long EC JP N 1 N N N BANQUE NATIONALE DU CANADA BSGEFEIOM18Y80CKCV46 NATIONAL BANK OF CANADA COMMON STOCK 633067103 8600.00000000 NS 427906.56000000 0.022568526278 Long EC CA N 1 N N N SYSMEX CORPORATION 5299001ZO4CKWACMZI55 SYSMEX CORP COMMON STOCK N/A 4220.00000000 NS 282257.02000000 0.014886719598 Long EC JP N 1 N N N Aroundtown SA 529900H4DWG3KWMBMQ39 AROUNDTOWN SA COMMON STOCK N/A 23905.00000000 NS 195519.33000000 0.010312024982 Long EC LU N 1 N N N Alfa Laval AB 549300UCKT2UK88AG251 ALFA LAVAL AB COMMON STOCK N/A 7725.00000000 NS 152474.59000000 0.008041771528 Long EC SE N 1 N N N IMERYS S.A. 54930075MZSSIB2TGC64 IMERYS SA COMMON STOCK N/A 2279.00000000 NS 91610.10000000 0.004831673880 Long EC FR N 1 N N N WPP PLC 549300LSGBXPYHXGDT93 WPP PLC COMMON STOCK N/A 208804.00000000 NS 2613548.00000000 0.137843006470 Long EC JE N 1 N N N NGK INSULATORS, LTD. 353800701BNCL25VYY16 NGK INSULATORS LTD COMMON STOCK N/A 6500.00000000 NS 92517.92000000 0.004879553865 Long EC JP N 1 N N N FIRST GEN CORPORATION 2549001NILAZ2IS02Y35 FIRST GEN CORPORATION COMMON STOCK N/A 162100.00000000 NS 76937.30000000 0.004057805229 Long EC PH N 1 N N N Essity Aktiebolag (publ) 549300G8E6YUVJ1DA153 ESSITY AKTIEBOLAG-B COMMON STOCK N/A 98566.00000000 NS 2876662.74000000 0.151720129372 Long EC SE N 1 N N N HANG LUNG PROPERTIES LIMITED 529900CIVTNMXQT59E61 HANG LUNG PROPERTIES LTD COMMON STOCK N/A 50000.00000000 NS 113553.72000000 0.005989018055 Long EC HK N 1 N N N Tokyo Ohka Kogyo Co Ltd N/A TOKYO OHKA KOGYO CO LTD COMMON STOCK N/A 5400.00000000 NS 200268.21000000 0.010562489063 Long EC JP N 1 N N N CANADIAN NATURAL RESOURCES LIMITED 549300T15RIMIKZC5Q38 CANADIAN NATURAL RESOURCES COMMON STOCK 136385101 69432.00000000 NS 1847362.34000000 0.097433059957 Long EC CA N 1 N N N ACOM CO., LTD. N/A ACOM CO LTD COMMON STOCK N/A 7800.00000000 NS 30586.82000000 0.001613201374 Long EC JP N 1 N N N PRICESMART, INC. 549300JVYOSTGVSDZS46 PRICESMART INC COMMON STOCK 741511109 11624.00000000 NS USD 826466.40000000 0.043589256184 Long EC US N 1 N N N JAMES HARDIE INDUSTRIES PUBLIC LIMITED COMPANY 635400NSGXKTVOO7JU45 JAMES HARDIE INDUSTRIES-CDI DEPOSITARY RECEIPT N/A 11943.00000000 NS 200394.83000000 0.010569167219 Long EC IE N 1 N N N DIRECT LINE INSURANCE GROUP PLC 213800FF2R23ALJQOP04 DIRECT LINE INSURANCE GROUP COMMON STOCK N/A 35654.00000000 NS 131602.11000000 0.006940921115 Long EC GB N 1 N N N PENTA-OCEAN CONSTRUCTION CO.,LTD. 529900QN42Q9UIW3AS17 PENTA-OCEAN CONSTRUCTION CO COMMON STOCK N/A 43300.00000000 NS 239476.53000000 0.012630403143 Long EC JP N 1 N N N PETROFAC LIMITED 2138004624W8CKCSJ177 PETROFAC LTD COMMON STOCK N/A 19226.00000000 NS 94627.73000000 0.004990828865 Long EC JE N 1 N N N HOYA CORPORATION 353800X4VR3BHEUCJB42 HOYA CORP COMMON STOCK N/A 6200.00000000 NS 505690.64000000 0.026670992138 Long EC JP N 1 N N N Kamigumi Co.,Ltd. N/A KAMIGUMI CO LTD COMMON STOCK N/A 2800.00000000 NS 63393.29000000 0.003343470899 Long EC JP N 1 N N N AGRICULTURAL BANK OF CHINA LIMITED 549300E7TSGLCOVSY746 AGRICULTURAL BANK OF CHINA-H COMMON STOCK N/A 5177000.00000000 NS 2027813.01000000 0.106950337953 Long EC CN N 1 N N N HINO MOTORS, LTD. 3538009ZU0PHKNHJM202 HINO MOTORS LTD COMMON STOCK 433406105 9600.00000000 NS 79019.65000000 0.004167631941 Long EC JP N 1 N N N AMOREPACIFIC Group N/A AMOREPACIFIC GROUP COMMON STOCK N/A 16271.00000000 NS 889623.71000000 0.046920281094 Long EC KR N 1 N N N Hankyu Hanshin Holdings,Inc. N/A HANKYU HANSHIN HOLDINGS INC COMMON STOCK N/A 5700.00000000 NS 219565.32000000 0.011580251759 Long EC JP N 1 N N N KANSAI PAINT CO.,LTD. 549300ERRV6FTKH9NN70 KANSAI PAINT CO LTD COMMON STOCK N/A 4500.00000000 NS 104504.05000000 0.005511722930 Long EC JP N 1 N N N KSL HOLDINGS BERHAD N/A KSL HOLDINGS BHD COMMON STOCK N/A 551500.00000000 NS 102739.43000000 0.005418653843 Long EC MY N 1 N N N ACS, ACTIVIDADES DE CONSTRUCCION Y SERVICIOS, S.A. 95980020140005558665 ACS ACTIVIDADES CONS Y SERV COMMON STOCK N/A 6599.00000000 NS 263680.93000000 0.013906984734 Long EC ES N 1 N N N ENEA SPOLKA AKCYJNA 2594003JTXPYO8NOG018 ENEA SA COMMON STOCK N/A 60238.00000000 NS 129110.40000000 0.006809504054 Long EC PL N 1 N N N Nippon Electric Glass Co., Ltd. 529900NCIGSAX4V03234 NIPPON ELECTRIC GLASS CO LTD COMMON STOCK N/A 1800.00000000 NS 40020.35000000 0.002110741935 Long EC JP N 1 N N N HUGO BOSS AG 529900LFVU534EBRXD13 HUGO BOSS AG -ORD COMMON STOCK N/A 1556.00000000 NS 83356.84000000 0.004396382785 Long EC DE N 1 N N N Telecom Egypt Company S.A.E. 2138002G9HYJY4EDCG86 TELECOM EGYPT COMMON STOCK N/A 129194.00000000 NS 95149.64000000 0.005018355294 Long EC EG N 1 N N N WILMAR INTERNATIONAL LIMITED 549300H2EAI4YRLWBB20 WILMAR INTERNATIONAL LTD COMMON STOCK N/A 48500.00000000 NS 130886.66000000 0.006903187055 Long EC SG N 1 N N N Dai Nippon Printing Co., Ltd. 529900S7NFNQ4FT6OP83 DAI NIPPON PRINTING CO LTD COMMON STOCK N/A 6600.00000000 NS 170363.93000000 0.008985286019 Long EC JP N 1 N N N CHR. HANSEN HOLDING A/S 549300MKPW8ZF3E8MW37 CHR HANSEN HOLDING A/S COMMON STOCK N/A 2717.00000000 NS 230609.54000000 0.012162742874 Long EC DK N 1 N N N DANONE S.A. 969500KMUQ2B6CBAF162 DANONE COMMON STOCK N/A 15935.00000000 NS 1403715.33000000 0.074034355334 Long EC FR N 1 N N N MILLICOM INTERNATIONAL CELLULAR S.A. 549300CTHC1CP86P2G96 MILLICOM INTL CELLULAR-SDR DEPOSITARY RECEIPT N/A 1642.00000000 NS 79664.28000000 0.004201630834 Long EC LU N 1 N N N HeidelbergCement AG LZ2C6E0W5W7LQMX5ZI37 HEIDELBERGCEMENT AG COMMON STOCK N/A 3752.00000000 NS 271216.11000000 0.014304403058 Long EC DE N 1 N N N Genomma Lab Internacional, S.A.B. de C.V N/A GENOMMA LAB INTERNACIONAL-B COMMON STOCK N/A 1782235.00000000 NS 1720460.97000000 0.090740063935 Long EC MX N 1 N N N ADELAIDE BRIGHTON LTD. 529900XNYGV6JJJ38J47 ADELAIDE BRIGHTON LTD COMMON STOCK N/A 473580.00000000 NS 974911.41000000 0.051418500749 Long EC AU N 1 N N N PANDORA A/S 5299007OWYZ6I1E46843 PANDORA A/S COMMON STOCK N/A 2445.00000000 NS 98121.96000000 0.005175120551 Long EC DK N 1 N N N AUSNET SERVICES LTD. 529900PPFC4A1KRQ2S64 AUSNET SERVICES COMMON STOCK N/A 53906.00000000 NS 66036.75000000 0.003482891516 Long EC AU N 1 N N N ROYAL DUTCH SHELL PLC 21380068P1DRHMJ8KU70 ROYAL DUTCH SHELL PLC-B SHS COMMON STOCK N/A 26921.00000000 NS 793088.93000000 0.041828871139 Long EC GB N 1 N N N Husqvarna Aktiebolag 549300GYQIIJ3UXB7655 HUSQVARNA AB-B SHS COMMON STOCK N/A 12023.00000000 NS 91454.46000000 0.004823465159 Long EC SE N 1 N N N NEWCREST MINING LIMITED 5299006MN50OZJUJI655 NEWCREST MINING LTD COMMON STOCK N/A 20264.00000000 NS 475282.64000000 0.025067222037 Long EC AU N 1 N N N FUCHS PETROLUB SE 529900SNF9E1P5ZO4P98 FUCHS PETROLUB SE PREFERRED STOCK N/A 77950.00000000 NS 2927787.28000000 0.154416525344 Long EP DE N 1 N N N Kobe Steel, Ltd. 549300ZDCYYUPHEE5K87 KOBE STEEL LTD COMMON STOCK N/A 7500.00000000 NS 39953.76000000 0.002107229864 Long EC JP N 1 N N N Svenska Handelsbanken AB NHBDILHZTYCNBV5UYZ31 SVENSKA HANDELSBANKEN-A SHS COMMON STOCK N/A 39450.00000000 NS 369411.07000000 0.019483373755 Long EC SE N 1 N N N HAIER ELECTRONICS GROUP CO., LTD. 2549005C2Y8BRVJ7PQ20 HAIER ELECTRONICS GROUP CO COMMON STOCK N/A 785416.00000000 NS 2049294.72000000 0.108083320202 Long EC BM N 1 N N N SCOR SE 96950056ULJ4JI7V3752 SCOR SE COMMON STOCK N/A 4101.00000000 NS 169364.55000000 0.008932577003 Long EC FR N 1 N N N Nutrien Ltd. 5493002QQ7GD21OWF963 NUTRIEN LTD COMMON STOCK 67077M108 15109.00000000 NS 752684.45000000 0.039697869528 Long EC CA N 1 N N N AIR WATER INC. N/A AIR WATER INC COMMON STOCK N/A 3300.00000000 NS 58965.09000000 0.003109920032 Long EC JP N 1 N N N UNITED OVERSEAS BANK LIMITED IO66REGK3RCBAMA8HR66 UNITED OVERSEAS BANK LTD COMMON STOCK N/A 36655.00000000 NS 680510.29000000 0.035891280476 Long EC SG N 1 N N N Qiagen N.V. 54930036WK3GMCN17Z57 QIAGEN N.V. COMMON STOCK N/A 63737.00000000 NS 2086890.56000000 0.110066189319 Long EC NL N 1 N N N ENI S.P.A. BUCRF72VH5RBN7X3VL35 ENI SPA COMMON STOCK N/A 66548.00000000 NS 1017945.69000000 0.053688202525 Long EC IT N 1 N N N INTER PIPELINE LTD. QQTTPMZD0WKQL0H5S472 INTER PIPELINE LTD COMMON STOCK 45833V109 36479.00000000 NS 640175.68000000 0.033763963929 Long EC CA N 1 N N N Suntory Beverage & Food Limited 549300FONLMVK7YYYH41 SUNTORY BEVERAGE & FOOD LTD COMMON STOCK 094259231 3600.00000000 NS 153821.97000000 0.008112834662 Long EC JP N 1 N N N ORICA LIMITED N/A ORICA LTD COMMON STOCK N/A 10376.00000000 NS 157854.09000000 0.008325495590 Long EC AU N 1 N N N Nagoya Railroad Co., Ltd. 353800P62OOYUY3I8T51 NAGOYA RAILROAD CO LTD COMMON STOCK N/A 4500.00000000 NS 134427.75000000 0.007089950218 Long EC JP N 1 N N N INFOSYS LIMITED 335800TYLGG93MM7PR89 INFOSYS LTD-SP ADR DEPOSITARY RECEIPT 456788108 509900.00000000 NS USD 5797563.00000000 0.305773421463 Long EC IN N 1 N N N AZRIELI GROUP LTD. N/A AZRIELI GROUP LTD COMMON STOCK N/A 1261.00000000 NS 99050.59000000 0.005224098091 Long EC IL N 2 N N N Nordea Bank Abp 529900ODI3047E2LIV03 NORDEA BANK ABP COMMON STOCK N/A 2184.00000000 NS 15477.75000000 0.000816323095 Long EC FI N 1 N N N TGS NOPEC GEOPHYSICAL COMPANY ASA 549300NUPLAXPB0WYH90 TGS NOPEC GEOPHYSICAL CO ASA COMMON STOCK N/A 151800.00000000 NS 3852711.41000000 0.203198611166 Long EC NO N 1 N N N CSL LIMITED 529900ECSECK5ZDQTE14 CSL LTD COMMON STOCK N/A 11810.00000000 NS 1862781.81000000 0.098246309265 Long EC AU N 1 N N N TOTO LTD. N/A TOTO LTD COMMON STOCK N/A 4100.00000000 NS 153382.66000000 0.008089664699 Long EC JP N 1 N N N COMPANHIA PARANAENSE DE ENERGIA 2549001AS1I9A71VG663 Cia Paranaense de Energia PREFERRED STOCK N/A 16900.00000000 NS 202761.77000000 0.010694003696 Long EP BR N 1 N N N BARRATT DEVELOPMENTS PLC 2138006R85VEOF5YNK29 BARRATT DEVELOPMENTS PLC COMMON STOCK N/A 37537.00000000 NS 299073.86000000 0.015773668598 Long EC GB N 1 N N N ALUMINA LIMITED 2138002VD9MW2WT8HR38 ALUMINA LTD COMMON STOCK N/A 62588.00000000 NS 100117.82000000 0.005280385632 Long EC AU N 1 N N N Tokio Marine Holdings, Inc. 5299009QN2NZ191KLS29 TOKIO MARINE HOLDINGS INC COMMON STOCK N/A 18000.00000000 NS 962053.18000000 0.050740335633 Long EC JP N 1 N N N Makita Corporation 529900CDR9E94BCM6294 MAKITA CORP COMMON STOCK N/A 6100.00000000 NS 191815.03000000 0.010116653844 Long EC JP N 1 N N N WH GROUP LIMITED 254900A4AYEDRWYSE928 WH GROUP LTD COMMON STOCK N/A 256101.00000000 NS 229382.22000000 0.012098011911 Long EC KY N 1 N N N N/A N/A STATE STREET INSTITUTIONAL TREASURY MONEY MARKET FUND 857492888 19480468.33000000 PA USD 19480468.33000000 1.027433328966 Long STIV XX N 2 N N N YAMAHA CORPORATION 529900S5TENP3IJS7S02 YAMAHA CORP COMMON STOCK N/A 3700.00000000 NS 165965.32000000 0.008753295779 Long EC JP N 1 N N N WOOLWORTHS GROUP LIMITED QNWEWQBS7HP85QHXQL92 WOOLWORTHS GROUP LTD COMMON STOCK N/A 175384.00000000 NS 4413039.72000000 0.232751287780 Long EC AU N 1 N N N Toyo Seikan Group Holdings, Ltd. 5299004VWXGQPXR05T33 TOYO SEIKAN GROUP HOLDINGS L COMMON STOCK N/A 3800.00000000 NS 58902.20000000 0.003106603106 Long EC JP N 1 N N N KLEPIERRE SA 969500PB4U31KEFHZ621 KLEPIERRE REIT N/A 5348.00000000 NS 181633.93000000 0.009579685159 Long EC FR N 1 N N N NATIONAL GRID PLC 8R95QZMKZLJX5Q2XR704 NATIONAL GRID PLC COMMON STOCK N/A 89293.00000000 NS 968234.71000000 0.051066360133 Long EC GB N 1 N N N MEDIBANK PRIVATE LIMITED BDYVSUPTML83OLINBJ17 MEDIBANK PRIVATE LTD COMMON STOCK N/A 70763.00000000 NS 162389.19000000 0.008564684546 Long EC AU N 1 N N N HAMAMATSU PHOTONICS K.K. N/A HAMAMATSU PHOTONICS KK COMMON STOCK N/A 3900.00000000 NS 144638.15000000 0.007628464235 Long EC JP N 1 N N N Wienerberger AG 529900VXIFBHO0SW2I31 WIENERBERGER AG COMMON STOCK N/A 33877.00000000 NS 824890.38000000 0.043506134185 Long EC AT N 1 N N N HANKOOK TIRE & TECHNOLOGY CO.,LTD 9884001BIEVM09M7AH02 HANKOOK TIRE & TECHNOLOGY CO COMMON STOCK N/A 15484.00000000 NS 417471.89000000 0.022018183876 Long EC KR N 1 N N N Kao Corporation 353800HM38HFCB8RGL63 KAO CORP COMMON STOCK N/A 17000.00000000 NS 1255287.86000000 0.066206035859 Long EC JP N 1 N N N ALIMENTATION COUCHE-TARD INC. 549300OSW32RVX8CCZ87 ALIMENTATION COUCHE-TARD -B COMMON STOCK 01626P403 49684.00000000 NS 1522565.12000000 0.080302697209 Long EC CA N 1 N N N ROYAL DUTCH SHELL PLC 21380068P1DRHMJ8KU70 ROYAL DUTCH SHELL PLC-B SHS COMMON STOCK N/A 97492.00000000 NS 2872100.82000000 0.151479525883 Long EC GB N 1 N N N ADEVINTA ASA 529900W8V3YLHRSZH763 ADEVINTA ASA-A COMMON STOCK N/A 10414.00000000 NS 120650.45000000 0.006363311773 Long EC NO N 1 N N N HYUNDAI DEVELOPMENT COMPANY N/A HDC HYUNDAI DEVELOPMENT CO-E COMMON STOCK N/A 3497.00000000 NS 96038.50000000 0.005065235295 Long EC KR N 1 N N N Telefonica Deutschland Holding AG 391200ECRPJ3SWQJUM30 TELEFONICA DEUTSCHLAND HOLDI COMMON STOCK N/A 22709.00000000 NS 63315.01000000 0.003339342278 Long EC DE N 1 N N N Rogers Communications Inc. 54930030NVF3Y2OL0A78 ROGERS COMMUNICATIONS INC-B COMMON STOCK 775109200 12342.00000000 NS 601146.74000000 0.031705510658 Long EC CA N 1 N N N THALES SA 529900FNDVTQJOVVPZ19 THALES SA COMMON STOCK N/A 6307.00000000 NS 725242.79000000 0.038250549289 Long EC FR N 1 N N N Aktiebolaget SKF 549300B6HWYEE57O8J84 SKF AB-B SHARES COMMON STOCK N/A 9670.00000000 NS 159823.35000000 0.008429357742 Long EC SE N 1 N N N UNICREDIT, SOCIETA PER AZIONI 549300TRUWO2CD2G5692 UNICREDIT SPA COMMON STOCK N/A 52321.00000000 NS 617037.31000000 0.032543606589 Long EC IT N 1 N N N COMPAGNIE FINANCIERE RICHEMONT SA 549300YIPGJ6UX2QPS51 CIE FINANCIERE RICHEMONT-REG COMMON STOCK N/A 13499.00000000 NS 990327.92000000 0.052231593942 Long EC CH N 1 N N N AEON CO.,LTD. 5299009MXFL34SA71416 AEON CO LTD COMMON STOCK N/A 16500.00000000 NS 302226.59000000 0.015939948989 Long EC JP N 1 N N N Asaleo Care Ltd 529900ATHKYU57Q0N319 ASALEO CARE LTD COMMON STOCK N/A 316571.00000000 NS 208328.03000000 0.010987577801 Long EC AU N 1 N N N ASAHI KASEI CORPORATION 353800GPI4Z3MGDGN142 ASAHI KASEI CORP COMMON STOCK N/A 33300.00000000 NS 327687.40000000 0.017282795800 Long EC JP N 1 N N N RIO TINTO PLC 213800YOEO5OQ72G2R82 RIO TINTO PLC COMMON STOCK N/A 58631.00000000 NS 3034241.30000000 0.160031093038 Long EC GB N 1 N N N Astellas Pharma Inc. 529900IB708DY2HBBB35 ASTELLAS PHARMA INC COMMON STOCK N/A 49100.00000000 NS 698639.08000000 0.036847423971 Long EC JP N 1 N N N SoftBank Corp. 353800M1YCTS9JRBJ535 SOFTBANK CORP COMMON STOCK N/A 44000.00000000 NS 595754.91000000 0.031421136292 Long EC JP N 1 N N N MRF LIMITED 335800EQP78LTJ76DZ82 MRF LTD COMMON STOCK Y6145L117 2216.00000000 NS 1979066.60000000 0.104379368639 Long EC IN N 1 N N N Siemens Aktiengesellschaft W38RGI023J3WT1HWRP32 SIEMENS AG-REG COMMON STOCK N/A 19932.00000000 NS 2134477.42000000 0.112576001977 Long EC DE N 1 N N N Kirin Holdings Company, Limited 353800GBVL72LLMTYM96 KIRIN HOLDINGS CO LTD COMMON STOCK 497350108 20800.00000000 NS 440142.43000000 0.023213867059 Long EC JP N 1 N N N Straumann Holding AG 50670046ML5FVIM60Z37 STRAUMANN HOLDING AG-REG COMMON STOCK N/A 276.00000000 NS 225600.72000000 0.011898569112 Long EC CH N 1 N N N Hitachi, Ltd. 549300T6IPOCDWLKC615 HITACHI LTD COMMON STOCK N/A 58000.00000000 NS 2158002.31000000 0.113816745045 Long EC JP N 1 N N N Abu Dhabi Islamic Bank PJSC 5493006DOLY8O98XHD74 ABU DHABI ISLAMIC BANK COMMON STOCK N/A 308336.00000000 NS 427270.94000000 0.022535002589 Long EC AE N 1 N N N Oji Holdings Corporation 529900LVC9GIIYUGE243 OJI HOLDINGS CORP COMMON STOCK N/A 22600.00000000 NS 105344.74000000 0.005556062363 Long EC JP N 1 N N N Best World International Ltd N/A BEST WORLD INTERNATIONAL LTD COMMON STOCK N/A 17700.00000000 NS 17416.34000000 0.000918567658 Long EC SG N 3 N N N Adyen NV 724500973ODKK3IFQ447 ADYEN NV COMMON STOCK N/A 256.00000000 NS 168644.64000000 0.008894607714 Long EC NL N 1 N N N Suncor Energy Inc. 549300W70ZOQDVLCHY06 SUNCOR ENERGY INC COMMON STOCK 867224107 41000.00000000 NS 1293270.94000000 0.068209328678 Long EC CA N 1 N N N CNOOC LIMITED 549300XIVJCBIGMRUD48 CNOOC LTD COMMON STOCK N/A 1230000.00000000 NS 1876928.18000000 0.098992413095 Long EC HK N 1 N N N SBM Offshore N.V. 549300RDGCRYZ5QE6513 SBM OFFSHORE NV COMMON STOCK N/A 314290.00000000 NS 5224064.55000000 0.275526129065 Long EC NL N 1 N N N H. LUNDBECK A/S 5493006R4KC2OI5D3470 H LUNDBECK A/S COMMON STOCK N/A 1960.00000000 NS 65009.53000000 0.003428714171 Long EC DK N 1 N N N TOTVS S.A. N/A TOTVS SA COMMON STOCK N/A 46900.00000000 NS 651979.93000000 0.034386540331 Long EC BR N 1 N N N The Wharf (Holdings) Limited 254900JCV4TBBPX9IW91 WHARF HOLDINGS LTD COMMON STOCK N/A 34000.00000000 NS 74179.93000000 0.003912376803 Long EC HK N 1 N N N Mannai Corporation Q.P.S.C. 254900RR1EWJDEQDTW70 MANNAI CORPORATION QSC COMMON STOCK N/A 7450.00000000 NS 6750.88000000 0.000356052995 Long EC QA N 1 N N N AIB GROUP PUBLIC LIMITED COMPANY 635400AKJBGNS5WNQL34 AIB GROUP PLC COMMON STOCK N/A 22258.00000000 NS 66084.77000000 0.003485424173 Long EC IE N 1 N N N Magna International Inc. 95RWVLFZX6VGDZNNTN43 MAGNA INTERNATIONAL INC COMMON STOCK 559222401 13196.00000000 NS 703401.53000000 0.037098603756 Long EC CA N 1 N N N VODAFONE GROUP PUBLIC LIMITED COMPANY 213800TB53ELEUKM7Q61 VODAFONE GROUP PLC COMMON STOCK N/A 132463.00000000 NS 263847.81000000 0.013915786272 Long EC GB N 1 N N N WNS (HOLDINGS) LIMITED 529900RM7QHUD3W9DM42 WNS HOLDINGS LTD-ADR DEPOSITARY RECEIPT 92932M101 2386.00000000 NS USD 140177.50000000 0.007393201900 Long EC JE N 1 N N N Kweichow Moutai Co., Ltd. N/A KWEICHOW MOUTAI CO LTD-A COMMON STOCK N/A 19500.00000000 NS 3141460.27000000 0.165686005507 Long EC CN N 1 N N N Axis Bank Limited 549300HVNWMJPOFVNI41 AXIS BANK LTD COMMON STOCK N/A 160693.00000000 NS 1553218.13000000 0.081919389558 Long EC IN N 1 N N N Hitachi High-Technologies Corporation 353800W8CVM6G32NTH93 HITACHI HIGH-TECHNOLOGIES CO COMMON STOCK N/A 1900.00000000 NS 109650.87000000 0.005783175048 Long EC JP N 1 N N N Ajinomoto Co., Inc. 353800UT0TLROREPIC92 AJINOMOTO CO INC COMMON STOCK N/A 11400.00000000 NS 215084.39000000 0.011343919821 Long EC JP N 1 N N N Autohome Inc 529900NYB6ZGZN3MVT56 AUTOHOME INC-ADR DEPOSITARY RECEIPT 05278C107 14770.00000000 NS USD 1227830.10000000 0.064757866478 Long EC KY N 1 N N N Atlas Copco Aktiebolag 213800T8PC8Q4FYJZR07 ATLAS COPCO AB-B SHS COMMON STOCK N/A 10330.00000000 NS 279970.54000000 0.014766126719 Long EC SE N 1 N N N CLP HOLDINGS LIMITED 25490002BUTSMP94GO68 CLP HOLDINGS LTD COMMON STOCK N/A 97000.00000000 NS 1019170.16000000 0.053752783174 Long EC HK N 1 N N N Swiss Life Holding AG 5493000KUC3Z24U77V93 SWISS LIFE HOLDING AG-REG COMMON STOCK N/A 866.00000000 NS 413975.85000000 0.021833796727 Long EC CH N 1 N N N AGGREKO PLC 2138003R7TGCSVF27H47 AGGREKO PLC COMMON STOCK N/A 306760.00000000 NS 3133567.86000000 0.165269746260 Long EC GB N 1 N N N THE BERKELEY GROUP HOLDINGS PLC 2138009OQSSLVVHQAL78 BERKELEY GROUP HOLDINGS/THE COMMON STOCK N/A 66400.00000000 NS 3411806.08000000 0.179944507451 Long EC GB N 1 N N N HIKARI TSUSHIN, INC. 3538001SOIIV8U3OXH94 HIKARI TSUSHIN INC COMMON STOCK N/A 500.00000000 NS 108115.61000000 0.005702202801 Long EC JP N 1 N N N EIFFAGE S.A. 969500OQXKE5WDM9M994 EIFFAGE COMMON STOCK N/A 2034.00000000 NS 210877.83000000 0.011122058628 Long EC FR N 1 N N N FAIRFAX FINANCIAL HOLDINGS LIMITED GLS7OQD0WOEDI8YAP031 FAIRFAX FINANCIAL HLDGS LTD COMMON STOCK 303901102 700.00000000 NS 308563.23000000 0.016274154256 Long EC CA N 1 N N N Chubu Electric Power Company, Incorporated 529900A76GOP0PGNHT63 CHUBU ELECTRIC POWER CO INC COMMON STOCK N/A 17100.00000000 NS 247505.20000000 0.013053848976 Long EC JP N 1 N N N Axel Springer SE 529900PXZU3YHO6HMD80 AXEL SPRINGER SE COMMON STOCK N/A 13864.00000000 NS 956533.95000000 0.050449241972 Long EC DE N 1 N N N Yum China Holdings Inc 529900DO9BYZ7VA3K502 YUM CHINA HOLDINGS INC COMMON STOCK 98850P109 28111.00000000 NS USD 1277082.73000000 0.067355534703 Long EC US N 1 N N N PEMBINA PIPELINE CORPORATION 5493002W3L9YICM6FU21 PEMBINA PIPELINE CORP COMMON STOCK 706327103 13472.00000000 NS 499384.78000000 0.026338410260 Long EC CA N 1 N N N Renesas Electronics Corporation 5299000EPC47VJQOFB81 RENESAS ELECTRONICS CORP COMMON STOCK N/A 93600.00000000 NS 607696.65000000 0.032050964152 Long EC JP N 1 N N N Pan Pacific International Holdings Corporation 529900QLHJM2E18A5763 PAN PACIFIC INTERNATIONAL HO COMMON STOCK N/A 11200.00000000 NS 186968.79000000 0.009861054830 Long EC JP N 1 N N N TIGER BRANDS LIMITED 529900C57HAFZAHHBC90 TIGER BRANDS LTD COMMON STOCK N/A 94590.00000000 NS 1315078.93000000 0.069359519494 Long EC ZA N 1 N N N NISSHIN SEIFUN GROUP INC. 529900N4QFZS1P6PYX29 NISSHIN SEIFUN GROUP INC COMMON STOCK N/A 5000.00000000 NS 92393.06000000 0.004872968534 Long EC JP N 1 N N N Shinhan Financial Group Co., Ltd. 988400EB8A6G49E5KO54 SHINHAN FINANCIAL GROUP LTD COMMON STOCK N/A 52750.00000000 NS 1843372.49000000 0.097222628421 Long EC KR N 1 N N N CYBERARK SOFTWARE LTD. 529900YEXNDM894PWS93 CYBERARK SOFTWARE LTD/ISRAEL COMMON STOCK M2682V108 900.00000000 NS USD 89838.00000000 0.004738210285 Long EC IL N 1 N N N COCA-COLA AMATIL LIMITED JOR7RJTXUXBRJ4UA5G70 COCA-COLA AMATIL LTD COMMON STOCK N/A 144617.00000000 NS 1039539.31000000 0.054827087099 Long EC AU N 1 N N N JSR Corporation 353800TL8FC0AWR22506 JSR CORP COMMON STOCK N/A 4400.00000000 NS 70359.31000000 0.003710870748 Long EC JP N 1 N N N Tokyo Electric Power Company Holdings, Incorporated 5299004EMJ3R4RVR5Y75 TOKYO ELECTRIC POWER COMPANY COMMON STOCK N/A 38900.00000000 NS 190317.69000000 0.010037681563 Long EC JP N 1 N N N KIRKLAND LAKE GOLD LTD. 529900G32H6145TBDT30 KIRKLAND LAKE GOLD LTD COMMON STOCK 49741E100 5100.00000000 NS 228467.37000000 0.012049761152 Long EC CA N 1 N N N MTU Aero Engines AG 529900807L67JY81RD65 MTU AERO ENGINES AG COMMON STOCK N/A 8463.00000000 NS 2248879.42000000 0.118609759775 Long EC DE N 1 N N N GS Retail Co.,Ltd N/A GS RETAIL CO LTD COMMON STOCK N/A 7415.00000000 NS 255711.03000000 0.013486638532 Long EC KR N 1 N N N ALTEN S.A. 969500Y7G9TY7Y24GN07 ALTEN SA COMMON STOCK N/A 6361.00000000 NS 726599.02000000 0.038322079187 Long EC FR N 1 N N N GETLINK S.E. 9695007ZEQ7M0OE74G82 GETLINK SE COMMON STOCK N/A 45534.00000000 NS 683900.86000000 0.036070104956 Long EC FR N 1 N N N TENCENT HOLDINGS LIMITED 254900N4SLUMW4XUYY11 TENCENT HOLDINGS LTD COMMON STOCK N/A 219500.00000000 NS 9247470.56000000 0.487727466353 Long EC KY N 1 N N N NIDEC CORPORATION 353800IF171MZTNL6Y31 NIDEC CORP COMMON STOCK N/A 5800.00000000 NS 778876.30000000 0.041079272644 Long EC JP N 1 N N N OMRON Corporation 549300ZHW0TR2QZ0NY83 OMRON CORP COMMON STOCK N/A 5100.00000000 NS 278760.69000000 0.014702317154 Long EC JP N 1 N N N WEIR GROUP PLC(THE) 549300KDR56WHY9I3D10 WEIR GROUP PLC/THE COMMON STOCK N/A 6158.00000000 NS 107932.14000000 0.005692526279 Long EC GB N 1 N N N The Chugoku Electric Power Company, Incorporated 353800MV866ELME96Q46 CHUGOKU ELECTRIC POWER CO COMMON STOCK N/A 7100.00000000 NS 91208.32000000 0.004810483313 Long EC JP N 1 N N N MONCLER S.P.A. 815600EBD7FB00525B20 MONCLER SPA COMMON STOCK N/A 4578.00000000 NS 163166.75000000 0.008605694395 Long EC IT N 1 N N N Compagnie des chemins de fer nationaux du Canada 3SU7BEP7TH9YEQOZCS77 CANADIAN NATL RAILWAY CO COMMON STOCK 136375102 77307.00000000 NS USD 6946807.02000000 0.366386523226 Long EC CA N 1 N N N DIAGEO PLC 213800ZVIELEA55JMJ32 DIAGEO PLC COMMON STOCK N/A 61861.00000000 NS 2535106.09000000 0.133705845527 Long EC GB N 1 N N N LG Corp. N/A LG CORP COMMON STOCK N/A 19264.00000000 NS 1127350.25000000 0.059458386761 Long EC KR N 1 N N N Iberdrola, S.A. 5QK37QC7NWOJ8D7WVQ45 IBERDROLA SA COMMON STOCK N/A 154853.00000000 NS 1609511.17000000 0.084888381089 Long EC ES N 1 N N N HOYA CORPORATION 353800X4VR3BHEUCJB42 HOYA CORP COMMON STOCK N/A 9200.00000000 NS 750379.65000000 0.039576310421 Long EC JP N 1 N N N TERUMO CORPORATION 353800JX1R4582QVK932 TERUMO CORP COMMON STOCK N/A 198000.00000000 NS 6372624.28000000 0.336103140198 Long EC JP N 1 N N N BAIDU, INC. 254900AL64IANZYI1E02 BAIDU INC - SPON ADR DEPOSITARY RECEIPT 056752108 13997.00000000 NS USD 1438331.72000000 0.075860083146 Long EC KY N 1 N N N RIOCAN REAL ESTATE INVESTMENT TRUST 549300S8HVUSEU3JBY60 RIOCAN REAL ESTATE INVST TR REIT 766910103 3900.00000000 NS 77655.58000000 0.004095688549 Long EC CA N 1 N N N SBI Holdings, Inc. 353800L6LMHYIPSMRQ17 SBI HOLDINGS INC COMMON STOCK N/A 6000.00000000 NS 128240.46000000 0.006763621926 Long EC JP N 1 N N N Helvetia Holding AG 529900SUJBXTORH0LT80 HELVETIA HOLDING AG-REG COMMON STOCK N/A 2176.00000000 NS 300220.63000000 0.015834151216 Long EC CH N 1 N N N UNI-PRESIDENT ENTERPRISES CORP. 254900DAXBDMVEXU5959 UNI-PRESIDENT ENTERPRISES CO COMMON STOCK N/A 1222000.00000000 NS 2944716.06000000 0.155309378251 Long EC TW N 2 N N N ASML Holding N.V. 724500Y6DUVHQD6OXN27 ASML HOLDING NV COMMON STOCK N/A 2325.00000000 NS 575883.95000000 0.030373107762 Long EC NL N 1 N N N LANXESS Aktiengesellschaft 529900PTLRE72EMYIJ77 LANXESS AG COMMON STOCK N/A 2296.00000000 NS 140141.91000000 0.007391324822 Long EC DE N 1 N N N Matsumotokiyoshi Holdings Co., Ltd. N/A MATSUMOTOKIYOSHI HOLDINGS CO COMMON STOCK N/A 6500.00000000 NS 237757.23000000 0.012539724310 Long EC JP N 1 N N N UPL LIMITED 335800RJSM1SLHO4UA95 UPL LTD COMMON STOCK Y9305P100 288176.00000000 NS 2455860.62000000 0.129526303451 Long EC IN N 1 N N N CYFROWY POLSAT SPOLKA AKCYJNA 259400EM1ITR201TTX36 CYFROWY POLSAT SA COMMON STOCK N/A 10902.00000000 NS 71826.35000000 0.003788244955 Long EC PL N 1 N N N Koninklijke DSM N.V. 724500SNT1MK246AHP04 KONINKLIJKE DSM NV COMMON STOCK N/A 4777.00000000 NS 574820.76000000 0.030317033297 Long EC NL N 1 N N N SEEK LIMITED 549300209NEKXBC8QO27 SEEK LTD COMMON STOCK N/A 8496.00000000 NS 123117.14000000 0.006493409237 Long EC AU N 1 N N N COMPANIA CERVECERIAS UNIDAS S.A. 529900BJW9B0O6LI2R39 CIA CERVECERIAS UNI-SPON ADR DEPOSITARY RECEIPT 204429104 12815.00000000 NS USD 284364.85000000 0.014997890170 Long EC CL N 1 N N N SEGRO PUBLIC LIMITED COMPANY 213800XC35KGM9NFC641 SEGRO PLC REIT N/A 29143.14960000 NS 290532.10000000 0.015323161518 Long EC GB N 1 N N N BANQUE ROYALE DU CANADA ES7IP3U3RHIGC71XBU11 ROYAL BANK OF CANADA COMMON STOCK 780087102 37300.00000000 NS 3025724.42000000 0.159581898171 Long EC CA N 1 N N N NXP Semiconductors N.V. 724500M9BY5293JDF951 NXP SEMICONDUCTORS NV COMMON STOCK N6596X109 7359.00000000 NS USD 803014.08000000 0.042352340582 Long EC NL N 1 N N N SOLVAY S.A. 549300MMVL80RTBP3O28 SOLVAY SA COMMON STOCK N/A 1901.00000000 NS 196840.22000000 0.010381690988 Long EC BE N 1 N N N HSBC HOLDINGS PLC MLU0ZO3ML4LN2LL2TL39 HSBC HOLDINGS PLC COMMON STOCK N/A 207652.00000000 NS 1600237.42000000 0.084399267600 Long EC GB N 1 N N N DNB ASA 5967007LIEEXZX78M803 DNB ASA COMMON STOCK N/A 24348.00000000 NS 428876.36000000 0.022619675194 Long EC NO N 1 N N N Koninklijke Vopak N.V. 724500UL634GFV1KYF10 VOPAK COMMON STOCK N/A 1983.00000000 NS 101930.61000000 0.005375995288 Long EC NL N 1 N N N The Kansai Electric Power Company, Incorporated 353800PFUKP5ONPJNZ86 KANSAI ELECTRIC POWER CO INC COMMON STOCK N/A 26000.00000000 NS 290598.84000000 0.015326681500 Long EC JP N 1 N N N East Japan Railway Company 353800SENYJ2DSM6PS44 EAST JAPAN RAILWAY CO COMMON STOCK N/A 8000.00000000 NS 762820.81000000 0.040232478549 Long EC JP N 1 N N N CHALLENGER LIMITED 529900ACCCAOHJ2V3169 CHALLENGER LTD COMMON STOCK N/A 14109.00000000 NS 70183.61000000 0.003701604029 Long EC AU N 1 N N N Kerry Group plc 635400TLVVBNXLFHWC59 KERRY GROUP PLC-A COMMON STOCK N/A 4189.00000000 NS 489912.15000000 0.025838807499 Long EC IE N 1 N N N SCHNEIDER ELECTRIC SE 969500A1YF1XUYYXS284 SCHNEIDER ELECTRIC SE COMMON STOCK N/A 4306.00000000 NS 377813.99000000 0.019926558176 Long EC FR N 1 N N N U.S. DOLLARS N/A FX Forward Contract: USD/EUR SETTLE 2019-10-01 N/A 1.00000000 NC USD 104.81000000 0.000005527859 N/A DFE US N 2 STATE STREET BANK N/A 26561.11000000 EUR 29055.20000000 USD 2019-10-01 104.81000000 N N N SOCIETE AURIFERE BARRICK 0O4KBQCJZX82UKGCBV73 BARRICK GOLD CORP COMMON STOCK 067901108 40000.00000000 NS 692002.87000000 0.036497418867 Long EC CA N 1 N N N PT Bank Rakyat Indonesia (Persero) Tbk 254900HB6S4B12GBNP64 BANK RAKYAT INDONESIA PERSER COMMON STOCK N/A 11097400.00000000 NS 3220943.15000000 0.169878068994 Long EC ID N 1 N N N TENARIS S.A. 549300Y7C05BKC4HZB40 TENARIS SA COMMON STOCK N/A 11316.00000000 NS 120058.36000000 0.006332083931 Long EC LU N 1 N N N BHP GROUP PLC 549300C116EOWV835768 BHP GROUP PLC COMMON STOCK N/A 289050.00000000 NS 6156941.63000000 0.324727667117 Long EC GB N 1 N N N HOCHTIEF Aktiengesellschaft 529900Y25S8NZIYTT924 HOCHTIEF AG COMMON STOCK N/A 731.00000000 NS 83340.71000000 0.004395532061 Long EC DE N 1 N N N TOYODA GOSEI CO., LTD. 353800ZV4HXVM4DWPO50 TOYODA GOSEI CO LTD COMMON STOCK N/A 2200.00000000 NS 44010.17000000 0.002321171888 Long EC JP N 1 N N N CARLSBERG A/S 5299001O0WJQYB5GYZ19 CARLSBERG AS-B COMMON STOCK N/A 2744.00000000 NS 405594.20000000 0.021391734123 Long EC DK N 1 N N N Banco de Sabadell, S.A. SI5RG2M0WQQLZCXKRM20 BANCO DE SABADELL SA COMMON STOCK N/A 156591.00000000 NS 151936.64000000 0.008013399122 Long EC ES N 1 N N N NTT DATA CORPORATION 353800SZGJGSLJRRWB43 NTT DATA CORP COMMON STOCK N/A 81500.00000000 NS 1050737.57000000 0.055417702548 Long EC JP N 1 N N N COMPASS GROUP PLC 2138008M6MH9OZ6U2T68 COMPASS GROUP PLC COMMON STOCK N/A 41486.00000000 NS 1067615.03000000 0.056307848751 Long EC GB N 1 N N N FIRST QUANTUM MINERALS LTD. 549300I7UVBGWRYMYZ18 FIRST QUANTUM MINERALS LTD COMMON STOCK 335934105 17500.00000000 NS 147016.64000000 0.007753909879 Long EC CA N 1 N N N SAP SE 529900D6BF99LW9R2E68 SAP SE COMMON STOCK N/A 25576.00000000 NS 3007334.17000000 0.158611964828 Long EC DE N 1 N N N KT CORPORATION 9884005ACF8449EANY26 KT CORP-SP ADR DEPOSITARY RECEIPT 48268K101 48866.00000000 NS USD 552674.46000000 0.029148999431 Long EC KR N 1 N N N SUPER GROUP LIMITED N/A SUPER GROUP LTD COMMON STOCK N/A 130668.00000000 NS 239421.39000000 0.012627494965 Long EC ZA N 1 N N N Seven & i Holdings Co., Ltd. 52990037G8JRM3TWGY86 SEVEN & I HOLDINGS CO LTD COMMON STOCK N/A 19600.00000000 NS 749014.57000000 0.039504313759 Long EC JP N 1 N N N AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED JHE42UYNWWTJB8YTTU19 AUST AND NZ BANKING GROUP COMMON STOCK N/A 156940.00000000 NS 3021030.65000000 0.159334340687 Long EC AU N 1 N N N Banco Bradesco S/A 549300CTUU1RFXHQJE44 Banco Bradesco SA PREFERRED STOCK N/A 77437.00000000 NS 632922.30000000 0.033381408221 Long EP BR N 1 N N N JUPITER FUND MANAGEMENT PLC 5493003DJ1G01IMQ7S28 JUPITER FUND MANAGEMENT COMMON STOCK N/A 91543.00000000 NS 400024.37000000 0.021097971731 Long EC GB N 1 N N N Link Real Estate Investment Trust 529900XUE70U36QX5M62 LINK REIT REIT N/A 54500.00000000 NS 601136.18000000 0.031704953706 Long EC HK N 1 N N N USS Co., Ltd. 5299000RRQD6UZXG4W72 USS CO LTD COMMON STOCK N/A 5100.00000000 NS 98910.52000000 0.005216710559 Long EC JP N 1 N N N ChipMOS TECHNOLOGIES INC. N/A CHIPMOS TECHNOLOGIES INC-ADR DEPOSITARY RECEIPT 16965P202 8333.00000000 NS USD 169076.57000000 0.008917388443 Long EC TW N 1 N N N CNOOC LIMITED 549300XIVJCBIGMRUD48 CNOOC LTD COMMON STOCK N/A 1438000.00000000 NS 2194327.42000000 0.115732593682 Long EC HK N 1 N N N Keihan Holdings Co.,Ltd. 353800ADZSZ9AD39RL13 KEIHAN HOLDINGS CO LTD COMMON STOCK N/A 2600.00000000 NS 115542.20000000 0.006093893902 Long EC JP N 1 N N N Sekisui Chemical Co., Ltd. 529900KQIVT7NWFNMI70 SEKISUI CHEMICAL CO LTD COMMON STOCK N/A 9900.00000000 NS 153181.04000000 0.008079030914 Long EC JP N 1 N N N JARDINE MATHESON HOLDINGS LIMITED 2138009KENVUNWOLPK41 JARDINE MATHESON HLDGS LTD COMMON STOCK N/A 5600.00000000 NS USD 299600.00000000 0.015801418125 Long EC BM N 1 N N N HARMONY GOLD MINING COMPANY LIMITED 378900986D05F0C29811 HARMONY GOLD MNG-SPON ADR DEPOSITARY RECEIPT 413216300 32915.00000000 NS USD 93478.60000000 0.004930221776 Long EC ZA N 1 N N N Mitsubishi Electric Corporation 549300TRXM9Y6561AX39 MITSUBISHI ELECTRIC CORP COMMON STOCK N/A 48000.00000000 NS 635930.64000000 0.033540073235 Long EC JP N 1 N N N ALPARGATAS S.A. N/A Alpargatas SA PREFERRED STOCK N/A 293872.00000000 NS 1830444.98000000 0.096540809360 Long EP BR N 1 N N N Knorr-Bremse Aktiengesellschaft 5299001GRRO0Z25YZT52 KNORR-BREMSE AG COMMON STOCK N/A 1228.00000000 NS 115429.08000000 0.006087927759 Long EC DE N 1 N N N BOLLORE S.A. 969500LEKCHH6VV86P94 BOLLORE COMMON STOCK N/A 22028.00000000 NS 91284.14000000 0.004814482190 Long EC FR N 1 N N N IMERYS S.A. 54930075MZSSIB2TGC64 IMERYS SA COMMON STOCK N/A 745.00000000 NS 29947.14000000 0.001579463554 Long EC FR N 1 N N N CHECK POINT SOFTWARE TECHNOLOGIES LTD. 2549003ZVBH73EPNS513 CHECK POINT SOFTWARE TECH COMMON STOCK M22465104 35365.00000000 NS USD 3872467.50000000 0.204240581254 Long EC IL N 1 N N N Henkel AG & Co. KGaA 549300VZCL1HTH4O4Y49 Henkel AG & Co KGaA PREFERRED STOCK N/A 4502.00000000 NS 445553.10000000 0.023499235080 Long EP DE N 1 N N N ICADE S.A. 969500UDH342QLTE1M42 ICADE REIT N/A 705.00000000 NS 63048.66000000 0.003325294522 Long EC FR N 1 N N N AGC Inc. JE4WFFEELMVPFZ0G1E77 AGC INC COMMON STOCK N/A 4400.00000000 NS 136323.70000000 0.007189945874 Long EC JP N 1 N N N BANK OF IRELAND GROUP PUBLIC LIMITED COMPANY 635400C8EK6DRI12LJ39 BANK OF IRELAND GROUP PLC COMMON STOCK N/A 11294.80000000 NS 44934.46000000 0.002369920529 Long EC IE N 1 N N N COLOPLAST A/S 529900NN7SOJ5QG82X67 COLOPLAST-B COMMON STOCK N/A 3054.00000000 NS 367820.20000000 0.019399468541 Long EC DK N 1 N N N DBS GROUP HOLDINGS LTD 5493007FKT78NKPM5V55 DBS GROUP HOLDINGS LTD COMMON STOCK N/A 214000.00000000 NS 3870781.03000000 0.204151633933 Long EC SG N 1 N N N Tencent Music Entertainment Group 213800XTZK2GOHQTYK41 TENCENT MUSIC ENTERTAINM-ADR DEPOSITARY RECEIPT 88034P109 183544.00000000 NS USD 2343856.88000000 0.123619034000 Long EC KY N 1 N N N COMMONWEALTH BANK OF AUSTRALIA MSFSBD3QN1GSN7Q6C537 COMMONWEALTH BANK OF AUSTRAL COMMON STOCK N/A 46091.00000000 NS 2514552.29000000 0.132621802844 Long EC AU N 1 N N N ASM PACIFIC TECHNOLOGY LIMITED 529900PYFA1HFYKPT360 ASM PACIFIC TECHNOLOGY COMMON STOCK N/A 7700.00000000 NS 94018.65000000 0.004958704940 Long EC KY N 1 N N N Shionogi & Co., Ltd. 35380049VXDTHZI3DY35 SHIONOGI & CO LTD COMMON STOCK N/A 6860.00000000 NS 380607.08000000 0.020073870535 Long EC JP N 1 N N N Hongkong Land Holdings Limited 213800XCHYNRPAYGXW28 HONGKONG LAND HOLDINGS LTD COMMON STOCK G4587L109 753200.00000000 NS USD 4232984.00000000 0.223254840125 Long EC BM N 1 N N N Randstad N.V. 7245009EAAUUQJ0U4T57 RANDSTAD NV COMMON STOCK N/A 4612.00000000 NS 226661.45000000 0.011954513832 Long EC NL N 1 N N N UNICHARM CORPORATION 353800UQ4BZIJTAQEG85 UNICHARM CORP COMMON STOCK N/A 10100.00000000 NS 319463.58000000 0.016849057421 Long EC JP N 1 N N N EREGLI DEMIR VE CELIK FABRIKALARI TURK ANONIM SIRKETI 789000VYQF5IDGG49908 EREGLI DEMIR VE CELIK FABRIK COMMON STOCK N/A 535664.00000000 NS 649778.36000000 0.034270425751 Long EC TR N 1 N N N PETRONET LNG LIMITED 335800KIIKNA7GRD9351 PETRONET LNG LTD COMMON STOCK Y68259103 464261.00000000 NS 1702603.03000000 0.089798205535 Long EC IN N 1 N N N MARKS AND SPENCER GROUP P.L.C. 213800EJP14A79ZG1X44 MARKS & SPENCER GROUP PLC COMMON STOCK N/A 50558.00000000 NS 114660.13000000 0.006047372017 Long EC GB N 1 N N N Constellation Software Inc. 549300B6PYHMCTDWQV29 CONSTELLATION SOFTWARE INC COMMON STOCK 21037X100 1901.00000000 NS 1898560.70000000 0.100133349322 Long EC CA N 1 N N N SIGMA HEALTHCARE LIMITED 529900BZSP3BK7GYAO50 SIGMA HEALTHCARE LTD COMMON STOCK N/A 163548.00000000 NS 66232.09000000 0.003493194083 Long EC AU N 1 N N N E.ON SE Q9MAIUP40P25UFBFG033 E.ON SE COMMON STOCK N/A 57938.00000000 NS 563232.61000000 0.029705854380 Long EC DE N 1 N N N WHITBREAD PLC 21380099VMZKRMN3EX36 WHITBREAD PLC COMMON STOCK N/A 3305.00000000 NS 174492.75000000 0.009203047071 Long EC GB N 1 N N N LES VETEMENTS DE SPORT GILDAN INC. 549300SB3IBI34M00Z45 GILDAN ACTIVEWEAR INC COMMON STOCK 375916103 13895.00000000 NS 493144.81000000 0.026009303535 Long EC CA N 1 N N N MITSUBISHI GAS CHEMICAL COMPANY,INC. 529900G5O4J27ZPLJJ89 MITSUBISHI GAS CHEMICAL CO COMMON STOCK N/A 4200.00000000 NS 56012.95000000 0.002954219103 Long EC JP N 1 N N N HENDERSON LAND DEVELOPMENT COMPANY LIMITED 529900SYQB7IVR9QGN76 HENDERSON LAND DEVELOPMENT COMMON STOCK N/A 37708.00000000 NS 175605.34000000 0.009261726977 Long EC HK N 1 N N N Thai Oil Public Company Limited 549300HG5527UPZLTT69 THAI OIL PCL-NVDR DEPOSITARY RECEIPT N/A 64700.00000000 NS 147550.27000000 0.007782054441 Long EC TH N 1 N N N DIAGEO PLC 213800ZVIELEA55JMJ32 DIAGEO PLC COMMON STOCK N/A 175820.00000000 NS 7205223.84000000 0.380015869766 Long EC GB N 1 N N N Tokio Marine Holdings, Inc. 5299009QN2NZ191KLS29 TOKIO MARINE HOLDINGS INC COMMON STOCK N/A 16600.00000000 NS 887226.82000000 0.046793865002 Long EC JP N 1 N N N L'OREAL SA 529900JI1GG6F7RKVI53 L'OREAL COMMON STOCK N/A 6588.00000000 NS 1844700.32000000 0.097292660454 Long EC FR N 1 N N N ALIBABA GROUP HOLDING LIMITED 5493001NTNQJDH60PM02 ALIBABA GROUP HOLDING-SP ADR DEPOSITARY RECEIPT 01609W102 6391.00000000 NS USD 1068766.93000000 0.056368601933 Long EC KY N 1 N N N Sumitomo Realty & Development Co., Ltd. N/A SUMITOMO REALTY & DEVELOPMEN COMMON STOCK N/A 8800.00000000 NS 334745.90000000 0.017655073202 Long EC JP N 1 N N N China Mobile Limited 529900U2JJ7GK68NI589 CHINA MOBILE LTD COMMON STOCK N/A 339500.00000000 NS 2809060.69000000 0.148154681248 Long EC HK N 1 N N N QUDIAN INC. 549300MY8WXPOW8RKH11 QUDIAN INC-SPON ADR DEPOSITARY RECEIPT 747798106 17657.00000000 NS USD 121656.73000000 0.006416384707 Long EC KY N 1 N N N Innocean Worldwide Inc. N/A INNOCEAN WORLDWIDE INC COMMON STOCK N/A 7836.00000000 NS 436297.79000000 0.023011094148 Long EC KR N 1 N N N DIAGEO PLC 213800ZVIELEA55JMJ32 DIAGEO PLC COMMON STOCK N/A 154822.00000000 NS 6344711.44000000 0.334630969117 Long EC GB N 1 N N N PETRON MALAYSIA REFINING & MARKETING BHD. 549300ZLB6N2UTYDJ385 PETRON MALAYSIA REFINING & M COMMON STOCK N/A 98639.00000000 NS 125330.66000000 0.006610154080 Long EC MY N 1 N N N SUMITOMO HEAVY INDUSTRIES, LTD. 353800VSTEIRMBC3S374 SUMITOMO HEAVY INDUSTRIES COMMON STOCK N/A 3100.00000000 NS 91745.66000000 0.004838823547 Long EC JP N 1 N N N Constellation Software Inc. 549300B6PYHMCTDWQV29 CONSTELLATION SOFTWARE INC COMMON STOCK 21037X100 500.00000000 NS 499358.42000000 0.026337019989 Long EC CA N 1 N N N Qiagen N.V. 54930036WK3GMCN17Z57 QIAGEN N.V. COMMON STOCK N/A 5877.00000000 NS 192426.00000000 0.010148877450 Long EC NL N 1 N N N Banco Bradesco S/A 549300CTUU1RFXHQJE44 BANCO BRADESCO-ADR DEPOSITARY RECEIPT 059460303 746064.00000000 NS USD 6072960.96000000 0.320298382467 Long EC BR N 1 N N N PT Modernland Realty Tbk 254900L4DA9N61J4B877 MODERNLAND REALTY TBK PT COMMON STOCK N/A 7.00000000 NS 0.12000000 0.000000006329 Long EC ID N 1 N N N INCHCAPE PLC 213800RGEH1MPPNM2T57 INCHCAPE PLC COMMON STOCK N/A 68520.00000000 NS 532028.13000000 0.028060076557 Long EC GB N 1 N N N Lonza Group AG 549300EFW4H2TCZ71055 LONZA GROUP AG-REG COMMON STOCK N/A 1956.00000000 NS 661243.83000000 0.034875134314 Long EC CH N 1 N N N BANCA CARIGE S.P.A. - CASSA DI RISPARMIO DI GENOVA E IMPERIA F1T87K3OQ2OV1UORLH26 BANCA CARIGE SPA Common Stock N/A 2052741.00000000 NS 839.02000000 0.000044251354 Long EC IT N 1 N N N TRYG A/S 213800ZRS8AC4LSTCE39 TRYG A/S COMMON STOCK N/A 3442.00000000 NS 98637.89000000 0.005202331585 Long EC DK N 1 N N N SOCIETE GENERALE SA O2RNE8IBXP4R0TD8PU41 SOCIETE GENERALE SA COMMON STOCK N/A 20212.00000000 NS 553837.92000000 0.029210362308 Long EC FR N 1 N N N TUI AG 529900SL2WSPV293B552 TUI AG-DI COMMON STOCK N/A 12110.00000000 NS 140827.46000000 0.007427481905 Long EC DE N 1 N N N AltaGas Ltd. DR5LKEURSR8SXLM64266 ALTAGAS LTD COMMON STOCK 021361100 7300.00000000 NS 107170.62000000 0.005652362407 Long EC CA N 1 N N N GVC HOLDINGS PLC 213800GNI3K45LQR8L28 GVC HOLDINGS PLC COMMON STOCK N/A 107128.00000000 NS 979195.57000000 0.051644454699 Long EC IM N 1 N N N EXPERIAN PLC 635400RXXHHYT1JTSZ26 EXPERIAN PLC COMMON STOCK N/A 23641.00000000 NS 755467.89000000 0.039844672930 Long EC JE N 1 N N N GRAVITY Co., Ltd. 529900NZDBA9C6G28L55 GRAVITY CO LTD-SPONSORED ADR DEPOSITARY RECEIPT 38911N206 417.00000000 NS USD 14011.20000000 0.000738974731 Long EC KR N 1 N N N COMPUTERSHARE LIMITED N/A COMPUTERSHARE LTD COMMON STOCK N/A 12105.00000000 NS 131949.97000000 0.006959267849 Long EC AU N 1 N N N HAW PAR CORPORATION LIMITED N/A HAW PAR CORP LTD COMMON STOCK N/A 35012.00000000 NS 338936.12000000 0.017876072596 Long EC SG N 1 N N N KINGBOARD HOLDINGS LIMITED 529900G89MY26MMSDR76 KINGBOARD HOLDINGS LTD COMMON STOCK N/A 255340.00000000 NS 676002.53000000 0.035653533478 Long EC KY N 1 N N N Quinenco S.A. N/A QUINENCO S.A. COMMON STOCK N/A 393289.00000000 NS 964627.37000000 0.050876102831 Long EC CL N 1 N N N LONGFOR GROUP HOLDINGS LIMITED 254900UJX27B2F1JYR13 LONGFOR GROUP HOLDINGS LTD COMMON STOCK N/A 192000.00000000 NS 717761.59000000 0.037855977963 Long EC KY N 1 N N N Otsuka Holdings Co., Ltd. N/A OTSUKA HOLDINGS CO LTD COMMON STOCK N/A 10000.00000000 NS 373641.62000000 0.019706500222 Long EC JP N 1 N N N ARISTOCRAT LEISURE LIMITED 529900TE2HO3OZKYKC27 ARISTOCRAT LEISURE LTD COMMON STOCK N/A 14456.00000000 NS 298566.81000000 0.015746925911 Long EC AU N 1 N N N COMPANIA CERVECERIAS UNIDAS S.A. 529900BJW9B0O6LI2R39 CIA CERVECERIAS UNIDAS SA COMMON STOCK N/A 68885.00000000 NS 769492.17000000 0.040584337524 Long EC CL N 1 N N N UNILEVER PLC 549300MKFYEKVRWML317 UNILEVER PLC COMMON STOCK N/A 35702.00000000 NS 2146571.17000000 0.113213847105 Long EC GB N 1 N N N OBAYASHI CORPORATION 529900YT4O5S0LCXWD54 OBAYASHI CORP COMMON STOCK N/A 72100.00000000 NS 717499.19000000 0.037842138537 Long EC JP N 1 N N N ELIS SA 969500UX71LCE8MAY492 ELIS SA COMMON STOCK N/A 18572.00000000 NS 328335.36000000 0.017316970322 Long EC FR N 1 N N N FREEPORT-MCMORAN INC. 549300IRDTHJQ1PVET45 FREEPORT-MCMORAN INC COMMON STOCK 35671D857 75130.00000000 NS USD 718994.10000000 0.037920982655 Long EC US N 1 N N N ATACADAO S.A. 549300SMI26ISJIRM371 ATACADAO SA COMMON STOCK N/A 131000.00000000 NS 668092.28000000 0.035236333319 Long EC BR N 1 N N N ORKLA ASA 549300PZS8G8RG6RVZ52 ORKLA ASA COMMON STOCK N/A 20673.00000000 NS 188059.28000000 0.009918569144 Long EC NO N 1 N N N Nomura Holdings, Inc. 549300B3CEAHYG7K8164 NOMURA HOLDINGS INC COMMON STOCK N/A 141600.00000000 NS 599663.72000000 0.031627293639 Long EC JP N 1 N N N SANTEN PHARMACEUTICAL CO., LTD. 529900TPT3I7C17MIM03 SANTEN PHARMACEUTICAL CO LTD COMMON STOCK N/A 9800.00000000 NS 170214.10000000 0.008977383728 Long EC JP N 1 N N N RENTOKIL INITIAL PLC 549300VN4WV7Z6T14K68 RENTOKIL INITIAL PLC COMMON STOCK N/A 46956.00000000 NS 270081.73000000 0.014244573910 Long EC GB N 1 N N N MALAYSIA AIRPORTS HOLDINGS BERHAD 2549003NBM1LN55SZ370 MALAYSIA AIRPORTS HLDGS BHD COMMON STOCK N/A 114200.00000000 NS 235927.87000000 0.012443240725 Long EC MY N 1 N N N TESCO PLC 2138002P5RNKC5W2JZ46 TESCO PLC COMMON STOCK N/A 2071110.00000000 NS 6137112.66000000 0.323681853212 Long EC GB N 1 N N N MAGNIT PAO 2534009KKPTVL99W2Y12 MAGNIT PJSC COMMON STOCK N/A 8284.00000000 NS 454467.23000000 0.023969381593 Long EC RU N 1 N N N Meiji Holdings Co.,Ltd. 5299002D52YIP6DWMV49 MEIJI HOLDINGS CO LTD COMMON STOCK N/A 3100.00000000 NS 225923.70000000 0.011915603631 Long EC JP N 1 N N N KOITO MANUFACTURING CO., LTD. N/A KOITO MANUFACTURING CO LTD COMMON STOCK N/A 5300.00000000 NS 258811.56000000 0.013650165805 Long EC JP N 1 N N N ZHANGZHOU PIENTZEHUANG PHARMACEUTICAL.LTD N/A ZHANGZHOU PIENTZEHUANG PHA-A COMMON STOCK N/A 107400.00000000 NS 1532824.16000000 0.080843776584 Long EC CN N 1 N N N RECKITT BENCKISER GROUP PLC 5493003JFSMOJG48V108 RECKITT BENCKISER GROUP PLC COMMON STOCK N/A 55533.00000000 NS 4331698.27000000 0.228461200122 Long EC GB N 1 N N N AK ALROSA PAO N/A ALROSA PJSC COMMON STOCK N/A 622332.00000000 NS 714882.95000000 0.037704153549 Long EC RU N 1 N N N TELEPERFORMANCE SE 9695004GI61FHFFNRG61 TELEPERFORMANCE COMMON STOCK N/A 3001.00000000 NS 650592.28000000 0.034313353288 Long EC FR N 1 N N N HOSHIZAKI CORPORATION 5299001QAMLGU3SRBG20 HOSHIZAKI CORP COMMON STOCK N/A 1500.00000000 NS 117780.35000000 0.006211937774 Long EC JP N 1 N N N TOYOTA TSUSHO CORPORATION 549300CEE2ENIUJNXB84 TOYOTA TSUSHO CORP COMMON STOCK N/A 5200.00000000 NS 167602.31000000 0.008839633441 Long EC JP N 1 N N N Mitsui Chemicals,Inc. 353800H2UB5ZEZRZQC02 MITSUI CHEMICALS INC COMMON STOCK N/A 4400.00000000 NS 98315.84000000 0.005185346115 Long EC JP N 1 N N N YAMAZAKI BAKING CO., LTD. N/A YAMAZAKI BAKING CO LTD COMMON STOCK 984632109 3100.00000000 NS 55276.76000000 0.002915391179 Long EC JP N 1 N N N COMPASS GROUP PLC 2138008M6MH9OZ6U2T68 COMPASS GROUP PLC COMMON STOCK N/A 219330.00000000 NS 5644313.85000000 0.297690798311 Long EC GB N 1 N N N Bankia S.A. 549300685QG7DJS55M76 BANKIA SA COMMON STOCK N/A 33866.00000000 NS 63950.70000000 0.003372869659 Long EC ES N 1 N N N ST. JAMES'S PLACE PLC 213800M993ICXOMBCP87 ST JAMES'S PLACE PLC COMMON STOCK N/A 13550.00000000 NS 163171.12000000 0.008605924876 Long EC GB N 1 N N N Ping An Insurance (Group) Company of China, Ltd. 529900M9MC28JLN35U89 PING AN INSURANCE GROUP CO-H COMMON STOCK N/A 361000.00000000 NS 4147651.73000000 0.218754269772 Long EC CN N 1 N N N AUCKLAND INTERNATIONAL AIRPORT LIMITED 549300HFZIZDJWB7AK60 AUCKLAND INTL AIRPORT LTD COMMON STOCK N/A 25382.00000000 NS 145432.36000000 0.007670352233 Long EC NZ N 1 N N N Yung Tay Engineering Co Ltd N/A YUNGTAY ENGINEERING CO LTD COMMON STOCK N/A 641000.00000000 NS 1306769.36000000 0.068921258513 Long EC TW N 2 N N N KEYERA CORP. N/A KEYERA CORP COMMON STOCK 493271100 5800.00000000 NS 140835.57000000 0.007427909641 Long EC CA N 1 N N N METCASH LIMITED 25490065W4SN3LZMX216 METCASH LTD COMMON STOCK N/A 158425.00000000 NS 319717.84000000 0.016862467529 Long EC AU N 1 N N N Kyowa Kirin Co., Ltd. 529900TBXKVTQGYA3582 KYOWA KIRIN CO LTD COMMON STOCK N/A 6100.00000000 NS 118361.16000000 0.006242570690 Long EC JP N 1 N N N VESTEL ELEKTRONIK SANAYI VE TICARET ANONIM SIRKETI 789000X20ITI3ANQEL70 VESTEL ELEKTRONIK SANAYI COMMON STOCK N/A 182299.00000000 NS 323470.16000000 0.017060371325 Long EC TR N 1 N N N SAMSUNG SDS CO.,LTD. N/A SAMSUNG SDS CO LTD COMMON STOCK N/A 2933.00000000 NS 467112.40000000 0.024636309559 Long EC KR N 1 N N N HSBC HOLDINGS PLC MLU0ZO3ML4LN2LL2TL39 HSBC HOLDINGS PLC COMMON STOCK N/A 783332.00000000 NS 6036624.62000000 0.318381941541 Long EC GB N 1 N N N EURAZEO SE 969500C656AA39O94N60 EURAZEO SE COMMON STOCK N/A 912.00000000 NS 67843.09000000 0.003578160987 Long EC FR N 1 N N N MonotaRO Co Ltd N/A MONOTARO CO LTD COMMON STOCK N/A 2800.00000000 NS 73181.97000000 0.003859742680 Long EC JP N 1 N N N The Chiba Bank, Ltd. FGJPAKKCTZVSKZXNBS63 CHIBA BANK LTD/THE COMMON STOCK N/A 12700.00000000 NS 65305.90000000 0.003444345233 Long EC JP N 1 N N N SHUI ON LAND LIMITED 5299008W71Y7DHTU7753 SHUI ON LAND LTD COMMON STOCK N/A 287500.00000000 NS 57223.42000000 0.003018061368 Long EC KY N 1 N N N CARNIVAL PLC 4DR1VPDQMHD3N3QW8W95 CARNIVAL PLC COMMON STOCK N/A 4408.00000000 NS 182648.19000000 0.009633178972 Long EC GB N 1 N N N Sekisui Chemical Co., Ltd. 529900KQIVT7NWFNMI70 SEKISUI CHEMICAL CO LTD COMMON STOCK N/A 20300.00000000 NS 314098.50000000 0.016566093895 Long EC JP N 1 N N N Amadeus IT Group SA 9598004A3FTY3TEHHN09 AMADEUS IT GROUP SA COMMON STOCK N/A 89504.00000000 NS 6411329.94000000 0.338144543127 Long EC ES N 1 N N N RELX PLC 549300WSX3VBUFFJOO66 RELX PLC COMMON STOCK N/A 15777.00000000 NS 375393.10000000 0.019798876283 Long EC GB N 1 N N N thyssenkrupp AG 549300UDG16DOYUPR330 THYSSENKRUPP AG COMMON STOCK N/A 10582.00000000 NS 146538.10000000 0.007728670859 Long EC DE N 1 N N N MAGNITOGORSKIY METALLURGICHESKIY KOMBINAT PAO 253400XSJ4C01YMCXG44 MAGNITOGORS-SPON GDR REGS DEPOSITARY RECEIPT 559189204 43766.00000000 NS USD 339186.50000000 0.017889278067 Long EC RU N 1 N N N INDUSTRIAL AND COMMERCIAL BANK OF CHINA LIMITED 5493002ERZU2K9PZDL40 IND & COMM BK OF CHINA-H COMMON STOCK N/A 5281000.00000000 NS 3537421.69000000 0.186569690283 Long EC CN N 1 N N N Koninklijke Boskalis Westminster N.V. 724500W1FESNTNY5DL70 BOSKALIS WESTMINSTER COMMON STOCK N/A 165258.00000000 NS 3447565.72000000 0.181830532229 Long EC NL N 1 N N N NTT DOCOMO, INC. 353800TVPXCGWDZIIU09 NTT DOCOMO INC COMMON STOCK N/A 34600.00000000 NS 880960.00000000 0.046463342161 Long EC JP N 1 N N N HARVEY NORMAN - RTS N/A HARVEY NORMAN - RTS ISSUE 1:17 / TERMS 1:1 N/A 771.00000000 NC 934.10000000 0.000049266036 N/A DE AU N 2 HARVEY NORMAN - RTS N/A N/A N/A 2019-10-16 XXXX 934.10000000 N N N NEWCREST MINING LIMITED 5299006MN50OZJUJI655 NEWCREST MINING LTD COMMON STOCK N/A 50898.00000000 NS 1193788.77000000 0.062962468317 Long EC AU N 1 N N N TOBU RAILWAY CO., LTD. N/A TOBU RAILWAY CO LTD COMMON STOCK N/A 5200.00000000 NS 168323.70000000 0.008877680788 Long EC JP N 1 N N N Baloise Holding AG 529900G5XKBZN48T6283 BALOISE HOLDING AG - REG COMMON STOCK N/A 1306.00000000 NS 233969.04000000 0.012339928669 Long EC CH N 1 N N N METRO INC. 549300KQ7DCG4IXSNW78 METRO INC/CN COMMON STOCK 59162N109 6710.00000000 NS 295425.37000000 0.015581240975 Long EC CA N 1 N N N NEC Corporation 5493000QYMPFRTEY4K28 NEC CORP COMMON STOCK N/A 6600.00000000 NS 278344.51000000 0.014680367107 Long EC JP N 1 N N N NH Foods Ltd. 353800NLDBIOUQILWU82 NH FOODS LTD COMMON STOCK N/A 2300.00000000 NS 92425.43000000 0.004874675783 Long EC JP N 1 N N N VEOLIA ENVIRONNEMENT S.A. 969500LENY69X51OOT31 VEOLIA ENVIRONNEMENT COMMON STOCK N/A 13455.00000000 NS 341115.57000000 0.017991020529 Long EC FR N 1 N N N TOSOH CORPORATION 529900YSLFVJF2MDBX02 TOSOH CORP COMMON STOCK N/A 6000.00000000 NS 79241.62000000 0.004179339020 Long EC JP N 1 N N N Hong Kong Exchanges and Clearing Limited 213800YTVSXYQN17BW16 HONG KONG EXCHANGES & CLEAR COMMON STOCK N/A 31272.00000000 NS 917687.59000000 0.048400418284 Long EC HK N 1 N N N SHRIRAM TRANSPORT FINANCE COMPANY LIMITED 335800TM2YO24B76XL26 SHRIRAM TRANSPORT FINANCE COMMON STOCK N/A 26362.00000000 NS 398133.57000000 0.020998247694 Long EC IN N 1 N N N Modern Times Group MTG AB 549300E8NDODRSX29339 MODERN TIMES GROUP-B SHS COMMON STOCK N/A 15460.00000000 NS 128120.72000000 0.006757306632 Long EC SE N 1 N N N ADEVINTA ASA 529900W8V3YLHRSZH763 ADEVINTA ASA-B COMMON STOCK N/A 8764.00000000 NS 101341.86000000 0.005344943602 Long EC NO N 1 N N N HON HAI PRECISION INDUSTRY CO., LTD. 30030004CM3GSZXX7O56 HON HAI PRECISION-GDR REG S DEPOSITARY RECEIPT 438090805 168705.00000000 NS USD 795444.08000000 0.041953085792 Long EC TW N 1 N N N TDK CORPORATION 3538005O8WNU39U8NX03 TDK CORP COMMON STOCK N/A 3400.00000000 NS 304073.99000000 0.016037384035 Long EC JP N 1 N N N NON-STANDARD FINANCE PLC 213800DVBNIJ1J2OF119 NON-STANDARD FINANCE PLC COMMON STOCK N/A 128595.00000000 NS 63245.26000000 0.003335663543 Long EC GB N 1 N N N SPECTRIS PLC 213800Z4CO2CZO3M3T10 SPECTRIS PLC COMMON STOCK N/A 123540.00000000 NS 3712382.24000000 0.195797409930 Long EC GB N 1 N N N A2 Milk Company Ltd 529900PVC9CV0KFA2U62 A2 MILK CO LTD COMMON STOCK N/A 18245.00000000 NS 151496.12000000 0.007990165342 Long EC NZ N 1 N N N HSBC HOLDINGS PLC MLU0ZO3ML4LN2LL2TL39 HSBC HOLDINGS PLC COMMON STOCK N/A 519453.00000000 NS 3989258.02000000 0.210400313696 Long EC GB N 1 N N N AEROPORTS DE PARIS S.A. 969500PJMBSFHYC37989 ADP COMMON STOCK N/A 736.00000000 NS 130920.03000000 0.006904947046 Long EC FR N 1 N N N CNP ASSURANCES SA 969500QKVPV2H8UXM738 CNP ASSURANCES COMMON STOCK N/A 4404.00000000 NS 85106.78000000 0.004488677623 Long EC FR N 1 N N N Vitro, Sociedad Anonima Bursatil de Capital Variable 549300HYQMZQCPSS5D75 VITRO S.A.B.-SERIES A COMMON STOCK N/A 18814.00000000 NS 41176.48000000 0.002171718215 Long EC MX N 1 N N N Aena SME, S.A. 959800R7QMXKF0NFMT29 AENA SME SA COMMON STOCK N/A 1692.00000000 NS 309825.93000000 0.016340751221 Long EC ES N 1 N N N Telefonica S.A. 549300EEJH4FEPDBBR25 TELEFONICA SA COMMON STOCK 879382109 120224.00000000 NS 917401.35000000 0.048385321495 Long EC ES N 1 N N N Red Electrica Corporacion, S.A. 5493009HMD0C90GUV498 RED ELECTRICA CORPORACION SA Common Stock N/A 10976.00000000 NS 222936.73000000 0.011758065708 Long EC ES N 1 N N N Li Ning Co Ltd 529900T77L2FV3FZ3U81 LI NING CO LTD COMMON STOCK N/A 441500.00000000 NS 1267431.77000000 0.066846526512 Long EC KY N 1 N N N Enaex S.A. 254900160P11QBXX5398 ENAEX SA COMMON STOCK N/A 25488.00000000 NS 279663.64000000 0.014749940287 Long EC CL N 1 N N N STANDARD CHARTERED PLC U4LOSYZ7YG4W3S5F2G91 STANDARD CHARTERED PLC COMMON STOCK N/A 73417.00000000 NS 617623.18000000 0.032574506378 Long EC GB N 1 N N N CapitaLand Mall Trust 54930031292WUTXF0L29 CAPITALAND MALL TRUST REIT N/A 65900.00000000 NS 125396.66000000 0.006613635033 Long EC SG N 1 N N N Wartsila Oyj Abp 743700G7A9J1PHM3X223 WARTSILA OYJ ABP COMMON STOCK N/A 27037.00000000 NS 302794.84000000 0.015969919469 Long EC FI N 1 N N N Gestamp Automocion, S.A. 95980020140005484363 GESTAMP AUTOMOCION SA COMMON STOCK N/A 78474.00000000 NS 366081.42000000 0.019307762300 Long EC ES N 1 N N N SMITHS GROUP PLC 213800MJL6IPZS3ASA11 SMITHS GROUP PLC COMMON STOCK N/A 165630.00000000 NS 3197293.77000000 0.168630760110 Long EC GB N 1 N N N KYOCERA CORPORATION N/A KYOCERA CORP COMMON STOCK N/A 75700.00000000 NS 4694275.14000000 0.247584126442 Long EC JP N 1 N N N KIA MOTORS CORPORATION 988400V8MJK9N7OI5X76 KIA MOTORS CORP COMMON STOCK N/A 59695.00000000 NS 2275711.24000000 0.120024916006 Long EC KR N 1 N N N Swedish Match AB 529900YVXCGNWAUYZG78 SWEDISH MATCH AB COMMON STOCK N/A 4420.00000000 NS 182788.79000000 0.009640594457 Long EC SE N 1 N N N CyberAgent,Inc. 3538006T5KZABPGS8Q08 CYBERAGENT INC COMMON STOCK N/A 2600.00000000 NS 99791.91000000 0.005263196580 Long EC JP N 1 N N N Wal-Mart de Mexico, S.A.B. de C.V. N/A WALMART DE MEXICO SAB DE CV COMMON STOCK N/A 494523.00000000 NS 1465726.68000000 0.077304940347 Long EC MX N 1 N N N MPHASIS LIMITED 335800NSYTIQLQKUYP62 MPHASIS LTD COMMON STOCK N/A 21511.00000000 NS 290480.82000000 0.015320456923 Long EC IN N 1 N N N BARCLAYS PLC 213800LBQA1Y9L22JB70 BARCLAYS PLC COMMON STOCK N/A 942866.00000000 NS 1743579.27000000 0.091959362749 Long EC GB N 1 N N N Elisa Oyj 743700TU2S3DXWGU7H32 ELISA OYJ COMMON STOCK N/A 3695.00000000 NS 190495.06000000 0.010047036361 Long EC FI N 1 N N N RYOHIN KEIKAKU CO., LTD. 549300PMNF56J66BY371 RYOHIN KEIKAKU CO LTD COMMON STOCK N/A 6000.00000000 NS 111981.50000000 0.005906096474 Long EC JP N 1 N N N MS&AD Insurance Group Holdings, Inc. 529900CXROT5S2HMMP26 MS&AD INSURANCE GROUP HOLDIN COMMON STOCK N/A 12200.00000000 NS 394913.29000000 0.020828404601 Long EC JP N 1 N N N Tokyu Fudosan Holdings Corporation N/A TOKYU FUDOSAN HOLDINGS CORP COMMON STOCK N/A 14700.00000000 NS 93672.14000000 0.004940429408 Long EC JP N 1 N N N Copa Holdings, S.A. 529900BB9UQJV6QQHA59 COPA HOLDINGS SA-CLASS A COMMON STOCK P31076105 33300.00000000 NS USD 3288375.00000000 0.173434540479 Long EC PA N 1 N N N CHEMIN DE FER CANADIEN PACIFIQUE LIMITEE N/A CANADIAN PACIFIC RAILWAY LTD COMMON STOCK 13645T100 3600.00000000 NS 800024.15000000 0.042194646543 Long EC CA N 1 N N N BP P.L.C. 213800LH1BZH3DI6G760 BP PLC COMMON STOCK N/A 518285.00000000 NS 3286955.81000000 0.173359689963 Long EC GB N 1 N N N ASICS Corporation 3538002LJMRZ83SU0B85 ASICS CORP COMMON STOCK N/A 29700.00000000 NS 506788.44000000 0.026728891994 Long EC JP N 1 N N N Bayerische Motoren Werke Aktiengesellschaft YEH5ZCD6E441RHVHD759 BAYERISCHE MOTOREN WERKE AG COMMON STOCK N/A 12297.00000000 NS 865710.30000000 0.045659046814 Long EC DE N 1 N N N Ooredoo Q.P.S.C. 549300D3EIDZJB62TR20 OOREDOO QPSC COMMON STOCK N/A 636880.00000000 NS 1264403.76000000 0.066686824068 Long EC QA N 1 N N N Alcon AG 549300LDT5AP8S0NBM78 ALCON INC COMMON STOCK N/A 10893.00000000 NS 635211.26000000 0.033502131899 Long EC CH N 1 N N N CLOSE BROTHERS GROUP PLC 213800W73SYHR14I3X91 CLOSE BROTHERS GROUP PLC COMMON STOCK N/A 12842.00000000 NS 222478.24000000 0.011733884158 Long EC GB N 1 N N N Grupo Financiero Inbursa, S.A.B de C.V. N/A GRUPO FINANCIERO INBURSA-O COMMON STOCK N/A 243300.00000000 NS 310073.73000000 0.016353820618 Long EC MX N 1 N N N Keio Corporation N/A KEIO CORP COMMON STOCK N/A 2500.00000000 NS 155606.94000000 0.008206977043 Long EC JP N 1 N N N SINGAPORE EXCHANGE LIMITED 549300IQ650PPXM76X03 SINGAPORE EXCHANGE LTD COMMON STOCK N/A 20400.00000000 NS 125013.93000000 0.006593449196 Long EC SG N 1 N N N Idemitsu Kosan Co.,Ltd. 549300P0R46FF6DUA630 IDEMITSU KOSAN CO LTD COMMON STOCK N/A 5122.00000000 NS 144718.71000000 0.007632713108 Long EC JP N 1 N N N Julius Baer Gruppe AG 5299007MF0604ZGJER92 JULIUS BAER GROUP LTD COMMON STOCK N/A 53980.00000000 NS 2391659.34000000 0.126140217772 Long EC CH N 1 N N N Brookfield Asset Management Inc. C6J3FGIWG6MBDGTE8F80 BROOKFIELD ASSET MANAGE-CL A COMMON STOCK 112585104 21900.00000000 NS 1162897.69000000 0.061333219748 Long EC CA N 1 N N N Nordea Bank Abp 529900ODI3047E2LIV03 NORDEA BANK ABP COMMON STOCK N/A 81554.00000000 NS 578347.81000000 0.030503055966 Long EC FI N 1 N N N Anglo American Platinum Limited 529900RORCZ0E5S5FX81 ANGLO AMERICAN PLATINUM LTD COMMON STOCK N/A 5603.00000000 NS 337781.91000000 0.017815197580 Long EC ZA N 1 N N N SASOL LIMITED N/A SASOL LTD COMMON STOCK 803866102 63430.00000000 NS 1059861.06000000 0.055898891067 Long EC ZA N 1 N N N Epiroc Aktiebolag 5493004Q73OEYW1SPE91 EPIROC AB-A COMMON STOCK N/A 17155.00000000 NS 185943.64000000 0.009806986660 Long EC SE N 1 N N N IHI Corporation 549300ETQIESIUQ2OE26 IHI CORP COMMON STOCK N/A 3500.00000000 NS 76004.62000000 0.004008614085 Long EC JP N 1 N N N VODAFONE GROUP PUBLIC LIMITED COMPANY 213800TB53ELEUKM7Q61 VODAFONE GROUP PLC COMMON STOCK N/A 689864.00000000 NS 1374112.80000000 0.072473067103 Long EC GB N 1 N N N INTESA SANPAOLO SPA 2W8N8UU78PMDQKZENC08 INTESA SANPAOLO COMMON STOCK N/A 382913.00000000 NS 907961.27000000 0.047887435476 Long EC IT N 1 N N N Gold Fields Limited N/A GOLD FIELDS LTD-SPONS ADR DEPOSITARY RECEIPT 38059T106 77361.00000000 NS USD 380616.12000000 0.020074347320 Long EC ZA N 1 N N N East African Breweries Limited N/A EAST AFRICAN BREWERIES LTD COMMON STOCK N/A 371978.00000000 NS 693988.81000000 0.036602160751 Long EC KE N 1 N N N HARGREAVES LANSDOWN PLC 2138008ZCE93ZDSESG90 HARGREAVES LANSDOWN PLC COMMON STOCK N/A 7211.00000000 NS 184329.09000000 0.009721832522 Long EC GB N 1 N N N PIRELLI & C. S.P.A. 815600A0C9AFC1F2A709 PIRELLI & C SPA COMMON STOCK N/A 11293.00000000 NS 66812.43000000 0.003523802210 Long EC IT N 1 N N N Sampo Oyj 743700UF3RL386WIDA22 SAMPO OYJ-A SHS COMMON STOCK N/A 11700.00000000 NS 465209.76000000 0.024535961060 Long EC FI N 1 N N N Sartorius Aktiengesellschaft 529900EQV2DY4FOAMU38 Sartorius AG PREFERRED STOCK N/A 964.00000000 NS 175889.78000000 0.009276728830 Long EP DE N 1 N N N United Urban Investment Corporation 353800GYZWBD7BDCN841 UNITED URBAN INVESTMENT CORP REIT N/A 73.00000000 NS 139754.91000000 0.007370913778 Long EC JP N 1 N N N NEC Corporation 5493000QYMPFRTEY4K28 NEC CORP COMMON STOCK N/A 17900.00000000 NS 754904.05000000 0.039814935041 Long EC JP N 1 N N N SYARIKAT TAKAFUL MALAYSIA KELUARGA BERHAD 254900WE9F9WEZI7X514 SYARIKAT TAKAFUL MALAYSIA KE COMMON STOCK N/A 24000.00000000 NS 33818.96000000 0.001783669985 Long EC MY N 1 N N N Takeda Pharmaceutical Company Limited 549300ZLMVP4X0OGR454 TAKEDA PHARMACEUTICAL CO LTD COMMON STOCK N/A 5000.00000000 NS 170635.84000000 0.008999627019 Long EC JP N 1 N N N Calbee Inc 529900CIHZID6O8LJH81 CALBEE INC COMMON STOCK N/A 2800.00000000 NS 87010.40000000 0.004589077809 Long EC JP N 1 N N N PROVIDENT FINANCIAL PLC 213800U93SZC44VXN635 PROVIDENT FINANCIAL PLC COMMON STOCK N/A 63557.00000000 NS 318210.89000000 0.016782988400 Long EC GB N 1 N N N Sony Financial Holdings Inc. 353800O7BDSU41WOZA60 SONY FINANCIAL HOLDINGS INC COMMON STOCK N/A 7300.00000000 NS 158118.84000000 0.008339458959 Long EC JP N 1 N N N HOSHIZAKI CORPORATION 5299001QAMLGU3SRBG20 HOSHIZAKI CORP COMMON STOCK N/A 4100.00000000 NS 321932.95000000 0.016979296232 Long EC JP N 1 N N N Aktiebolaget Electrolux 549300Y3HHZB1ZGFPJ93 ELECTROLUX AB-SER B COMMON STOCK N/A 6185.00000000 NS 146644.83000000 0.007734299982 Long EC SE N 1 N N N Essity Aktiebolag (publ) 549300G8E6YUVJ1DA153 ESSITY AKTIEBOLAG-B COMMON STOCK N/A 15330.00000000 NS 447408.23000000 0.023597077820 Long EC SE N 1 N N N EXPERIAN PLC 635400RXXHHYT1JTSZ26 EXPERIAN PLC COMMON STOCK N/A 235484.00000000 NS 7525087.80000000 0.396886043915 Long EC JE N 1 N N N Fukuoka Financial Group, Inc. N/A FUKUOKA FINANCIAL GROUP INC COMMON STOCK N/A 4700.00000000 NS 88718.61000000 0.004679171735 Long EC JP N 1 N N N Koninklijke KPN N.V. 549300YO0JZHAL7FVP81 KONINKLIJKE KPN NV COMMON STOCK N/A 275990.00000000 NS 860635.65000000 0.045391401065 Long EC NL N 1 N N N EXOR N.V. 5493002ENHZ6NYET7405 EXOR NV COMMON STOCK N/A 2815.00000000 NS 188634.18000000 0.009948890356 Long EC NL N 1 N N N MELCO RESORTS & ENTERTAINMENT LIMITED 529900NRV6LBR3T6B421 MELCO RESORTS & ENTERT-ADR DEPOSITARY RECEIPT 585464100 5873.00000000 NS USD 113994.93000000 0.006012288227 Long EC KY N 1 N N N KUBOTA CORPORATION 549300CSY4INHEHQQT13 KUBOTA CORP COMMON STOCK N/A 229100.00000000 NS 3463250.40000000 0.182657769168 Long EC JP N 1 N N N Dai-ichi Life Holdings, Inc. 549300ZUFXI7JXZVTZ25 DAI-ICHI LIFE HOLDINGS INC COMMON STOCK N/A 27700.00000000 NS 417325.32000000 0.022010453523 Long EC JP N 1 N N N HYUNDAI MOTOR COMPANY 9884004RQX8PRBXQ8S60 HYUNDAI MOTOR CO COMMON STOCK N/A 6700.00000000 NS 750574.76000000 0.039586600857 Long EC KR N 1 N N N NTT DATA CORPORATION 353800SZGJGSLJRRWB43 NTT DATA CORP COMMON STOCK N/A 16000.00000000 NS 206279.77000000 0.010879549053 Long EC JP N 1 N N N Nomura Holdings, Inc. 549300B3CEAHYG7K8164 NOMURA HOLDINGS INC COMMON STOCK N/A 85600.00000000 NS 362508.58000000 0.019119324588 Long EC JP N 1 N N N CHEMIN DE FER CANADIEN PACIFIQUE LIMITEE N/A CANADIAN PACIFIC RAILWAY LTD COMMON STOCK 13645T100 6578.00000000 NS 1461821.91000000 0.077098996076 Long EC CA N 1 N N N BUREAU VERITAS S.A. 969500TPU5T3HA5D1F11 BUREAU VERITAS SA COMMON STOCK N/A 7497.00000000 NS 180587.59000000 0.009524499391 Long EC FR N 1 N N N LES COMPAGNIES LOBLAW LIMITEE 5493008LN3O1DIDTSH67 LOBLAW COMPANIES LTD COMMON STOCK 539481101 4900.00000000 NS 279091.22000000 0.014719749874 Long EC CA N 1 N N N ORIX CORPORATION 35380016EMHNBOVYE123 ORIX CORP COMMON STOCK N/A 34900.00000000 NS 519989.83000000 0.027425155956 Long EC JP N 1 N N N Magna International Inc. 95RWVLFZX6VGDZNNTN43 MAGNA INTERNATIONAL INC COMMON STOCK 559222401 8000.00000000 NS 426433.18000000 0.022490817689 Long EC CA N 1 N N N ADMIRAL GROUP PLC 213800FGVM7Z9EJB2685 ADMIRAL GROUP PLC COMMON STOCK N/A 36092.00000000 NS 939898.14000000 0.049571840805 Long EC GB N 1 N N N SUN HUNG KAI PROPERTIES LIMITED 529900LUMD393RD3S874 SUN HUNG KAI PROPERTIES COMMON STOCK N/A 41393.00000000 NS 595727.11000000 0.031419670072 Long EC HK N 1 N N N RIO TINTO PLC 213800YOEO5OQ72G2R82 RIO TINTO PLC COMMON STOCK N/A 29624.00000000 NS 1533085.98000000 0.080857585420 Long EC GB N 1 N N N Galp Energia, SGPS, S.A. 2138003319Y7NM75FG53 GALP ENERGIA SGPS SA COMMON STOCK N/A 12880.00000000 NS 194083.73000000 0.010236308975 Long EC PT N 1 N N N MERCK Kommanditgesellschaft auf Aktien 529900OAREIS0MOPTW25 MERCK KGAA COMMON STOCK N/A 3326.00000000 NS 374663.04000000 0.019760371665 Long EC DE N 1 N N N CAE INC. 549300FFM2BEH2GF1E44 CAE INC COMMON STOCK 124765108 7200.00000000 NS 182927.88000000 0.009647930302 Long EC CA N 1 N N N SECOM CO., LTD. 529900TYCL9N3E9PGE47 SECOM CO LTD COMMON STOCK N/A 5600.00000000 NS 510564.62000000 0.026928054207 Long EC JP N 1 N N N WESTPAC BANKING CORPORATION EN5TNI6CI43VEPAMHL14 WESTPAC BANKING CORP COMMON STOCK N/A 89877.00000000 NS 1798037.43000000 0.094831579560 Long EC AU N 1 N N N HONDA MOTOR CO., LTD. 549300P7ZYCQJ36CCS16 HONDA MOTOR CO LTD COMMON STOCK N/A 225600.00000000 NS 5838997.46000000 0.307958745987 Long EC JP N 1 N N N HDFC BANK LIMITED 335800ZQ6I4E2JXENC50 HDFC BANK LTD-ADR DEPOSITARY RECEIPT 40415F101 10376.00000000 NS USD 591950.80000000 0.031220501002 Long EC IN N 1 N N N HOMESERVE PLC 213800EKBJTGNMXEDF11 HOMESERVE PLC COMMON STOCK N/A 137901.00000000 NS 2010925.55000000 0.106059664333 Long EC GB N 1 N N N Bankia S.A. 549300685QG7DJS55M76 BANKIA SA COMMON STOCK N/A 217155.00000000 NS 410063.59000000 0.021627457421 Long EC ES N 1 N N N NETEASE, INC. 5299004AF4DSJDB0PA32 NETEASE INC-ADR DEPOSITARY RECEIPT 64110W102 5182.00000000 NS USD 1379344.76000000 0.072749009651 Long EC KY N 1 N N N Lion Corporation 529900MPGS2GM7VPG855 LION CORP COMMON STOCK N/A 5600.00000000 NS 110368.55000000 0.005821026723 Long EC JP N 1 N N N Hitachi High-Technologies Corporation 353800W8CVM6G32NTH93 HITACHI HIGH-TECHNOLOGIES CO COMMON STOCK N/A 5600.00000000 NS 323181.50000000 0.017045146902 Long EC JP N 1 N N N BAJAJ FINANCE LIMITED 335800YTEXC3DO4Z6F68 BAJAJ FINANCE LTD COMMON STOCK Y05473122 52624.00000000 NS 3004415.70000000 0.158458039712 Long EC IN N 1 N N N BROTHER INDUSTRIES, LTD. 549300O5FACQ67KI6R92 BROTHER INDUSTRIES LTD COMMON STOCK 114813108 5800.00000000 NS 104923.01000000 0.005533819599 Long EC JP N 1 N N N Nitori Holdings Co., Ltd. N/A NITORI HOLDINGS CO LTD COMMON STOCK N/A 2100.00000000 NS 307061.27000000 0.016194938308 Long EC JP N 1 N N N Meiji Holdings Co.,Ltd. 5299002D52YIP6DWMV49 MEIJI HOLDINGS CO LTD COMMON STOCK N/A 2800.00000000 NS 204060.12000000 0.010762480903 Long EC JP N 1 N N N CONVATEC GROUP PLC 213800LS272L4FIDOH92 CONVATEC GROUP PLC COMMON STOCK N/A 408870.00000000 NS 880771.46000000 0.046453398238 Long EC GB N 1 N N N POLSKIE GORNICTWO NAFTOWE I GAZOWNICTWO SPOLKA AKCYJNA 2594008YSYXYOTBSQL93 POLSKIE GORNICTWO NAFTOWE I COMMON STOCK N/A 65399.00000000 NS 76715.52000000 0.004046108171 Long EC PL N 1 N N N COUNTRY GARDEN HOLDINGS COMPANY LIMITED 549300MGHLPT1EFHGF84 COUNTRY GARDEN HOLDINGS CO COMMON STOCK N/A 91621.00000000 NS 116079.53000000 0.006122233609 Long EC KY N 1 N N N Capitec Bank Holdings Limited N/A CAPITEC BANK HOLDINGS LTD COMMON STOCK N/A 27388.00000000 NS 2328187.96000000 0.122792628271 Long EC ZA N 1 N N N AEON Financial Service Co., Ltd. N/A AEON FINANCIAL SERVICE CO LT COMMON STOCK N/A 2500.00000000 NS 37595.38000000 0.001982844856 Long EC JP N 1 N N N SHO-BOND Holdings Co.,Ltd. N/A SHO-BOND HOLDINGS CO LTD COMMON STOCK N/A 3600.00000000 NS 126187.28000000 0.006655333689 Long EC JP N 1 N N N BAUSCH HEALTH COMPANIES INC. B3BS7ACMDUWISF18KY76 BAUSCH HEALTH COS INC COMMON STOCK 071734107 8100.00000000 NS 176691.70000000 0.009319023467 Long EC CA N 1 N N N COMPAGNIE FINANCIERE RICHEMONT SA 549300YIPGJ6UX2QPS51 CIE FINANCIERE RICHEMONT-REG COMMON STOCK N/A 17487.00000000 NS 1282899.79000000 0.067662336430 Long EC CH N 1 N N N BRITANNIA INDUSTRIES LTD 335800RRN5EVHNNAXN80 BRITANNIA INDUSTRIES LTD COMMON STOCK N/A 40906.00000000 NS 1699385.34000000 0.089628499043 Long EC IN N 1 N N N Isetan Mitsukoshi Holdings Ltd. 529900SY5RZO92EFG035 ISETAN MITSUKOSHI HOLDINGS L COMMON STOCK N/A 8600.00000000 NS 68561.39000000 0.003616045362 Long EC JP N 1 N N N RECKITT BENCKISER GROUP PLC 5493003JFSMOJG48V108 RECKITT BENCKISER GROUP PLC COMMON STOCK N/A 25851.00000000 NS 2016435.85000000 0.106350287011 Long EC GB N 1 N N N TRAVIS PERKINS PLC 2138001I27OUBAF22K83 TRAVIS PERKINS PLC COMMON STOCK N/A 408690.00000000 NS 6487302.38000000 0.342151459984 Long EC GB N 1 N N N AISIN SEIKI CO., LTD. 3538004IOK08PDY6I723 AISIN SEIKI CO LTD COMMON STOCK N/A 4100.00000000 NS 128735.26000000 0.006789718527 Long EC JP N 1 N N N The Bank of East Asia, Limited CO6GC26LCGGRTUESIP55 BANK OF EAST ASIA LTD COMMON STOCK N/A 30013.00000000 NS 73905.72000000 0.003897914497 Long EC HK N 1 N N N Coca-Cola Bottlers Japan Holdings Inc. 353800XN1G90665VTQ16 COCA-COLA BOTTLERS JAPAN HOL COMMON STOCK N/A 3400.00000000 NS 76222.89000000 0.004020126020 Long EC JP N 1 N N N Spin Master Corp N/A SPIN MASTER CORP-SUB VTG SHR COMMON STOCK 848510103 15307.00000000 NS 467696.24000000 0.024667102282 Long EC CA N 1 N N N UMICORE S.A. 529900F3AIQECS8ZSV61 UMICORE COMMON STOCK N/A 5314.00000000 NS 200577.48000000 0.010578800493 Long EC BE N 1 N N N Shimadzu Corporation N/A SHIMADZU CORP COMMON STOCK N/A 5800.00000000 NS 146334.34000000 0.007717924207 Long EC JP N 1 N N N THE BERKELEY GROUP HOLDINGS PLC 2138009OQSSLVVHQAL78 BERKELEY GROUP HOLDINGS/THE COMMON STOCK N/A 3339.00000000 NS 171566.57000000 0.009048715316 Long EC GB N 1 N N N FUCHS PETROLUB SE 529900SNF9E1P5ZO4P98 FUCHS PETROLUB SE PREFERRED STOCK N/A 1930.00000000 NS 72490.44000000 0.003823270202 Long EP DE N 1 N N N LEGRAND S.A. 969500XXRPGD7HCAFA90 LEGRAND SA COMMON STOCK N/A 7037.00000000 NS 502231.96000000 0.026488575419 Long EC FR N 1 N N N Taiwan Semiconductor Manufacturing Co., Ltd. 549300KB6NK5SBD14S87 TAIWAN SEMICONDUCTOR-SP ADR DEPOSITARY RECEIPT 874039100 241246.00000000 NS USD 11213114.08000000 0.591398878719 Long EC TW N 1 N N N INPEX CORPORATION 353800VHYYADPR6MXQ47 INPEX CORP COMMON STOCK N/A 26000.00000000 NS 238322.31000000 0.012569527599 Long EC JP N 1 N N N HIROSE ELECTRIC CO., LTD. N/A HIROSE ELECTRIC CO LTD COMMON STOCK N/A 8150.00000000 NS 997974.57000000 0.052634891385 Long EC JP N 1 N N N Vitasoy International Holdings Ltd N/A VITASOY INTL HOLDINGS LTD COMMON STOCK N/A 18000.00000000 NS 72916.80000000 0.003845757160 Long EC HK N 1 N N N JXTG Holdings, Inc. 3538001KQ5SAOZSQTT44 JXTG HOLDINGS INC COMMON STOCK N/A 85200.00000000 NS 387999.82000000 0.020463776329 Long EC JP N 1 N N N GEORGIA CAPITAL PLC 213800Q65T5GNBOW7H65 GEORGIA CAPITAL PLC COMMON STOCK N/A 21170.00000000 NS 265500.24000000 0.014002938266 Long EC GB N 1 N N N Galp Energia, SGPS, S.A. 2138003319Y7NM75FG53 GALP ENERGIA SGPS SA COMMON STOCK N/A 100828.00000000 NS 1519338.07000000 0.080132497055 Long EC PT N 1 N N N Vifor Pharma AG 529900KO6CN2D9OE1F19 VIFOR PHARMA AG COMMON STOCK N/A 1194.00000000 NS 190755.27000000 0.010060760283 Long EC CH N 1 N N N CAPITALAND LIMITED 2549006LYGY45GHGWZ89 CAPITALAND LTD COMMON STOCK N/A 63300.00000000 NS 161667.69000000 0.008526631398 Long EC SG N 1 N N N SSP GROUP PLC 213800QGNIWTXFMENJ24 SSP GROUP PLC COMMON STOCK N/A 140545.00000000 NS 1071398.36000000 0.056507388067 Long EC GB N 1 N N N Azbil Corporation N/A AZBIL CORP COMMON STOCK N/A 10800.00000000 NS 288566.01000000 0.015219466557 Long EC JP N 1 N N N REMY COINTREAU S.A. 5493004V6A3Z027YT216 REMY COINTREAU COMMON STOCK N/A 502.00000000 NS 66643.70000000 0.003514903101 Long EC FR N 1 N N N Nintendo Co., Ltd. 353800FEEXU6I9M0ZF27 NINTENDO CO LTD COMMON STOCK N/A 2900.00000000 NS 1073368.79000000 0.056611311927 Long EC JP N 1 N N N RECKITT BENCKISER GROUP PLC 5493003JFSMOJG48V108 RECKITT BENCKISER GROUP PLC COMMON STOCK N/A 18267.00000000 NS 1424866.88000000 0.075149924378 Long EC GB N 1 N N N EDP - Energias de Portugal, S.A. 529900CLC3WDMGI9VH80 EDP-ENERGIAS DE PORTUGAL SA COMMON STOCK N/A 67937.00000000 NS 263759.68000000 0.013911138145 Long EC PT N 1 N N N AIA Group Limited ZP5ILWVSYE4LJGMMVD57 AIA GROUP LTD COMMON STOCK N/A 554400.00000000 NS 5237929.49000000 0.276257389793 Long EC HK N 1 N N N JBS S.A. N/A JBS SA COMMON STOCK N/A 201700.00000000 NS 1588376.27000000 0.083773690195 Long EC BR N 1 N N N LG HOUSEHOLD & HEALTH CARE LTD N/A LG HOUSEHOLD & HEALTH CARE COMMON STOCK N/A 2398.00000000 NS 2620228.23000000 0.138195333263 Long EC KR N 1 N N N CANADIAN UTILITIES LIMITED LWV4QIQODEH3VBHUFX07 CANADIAN UTILITIES LTD-A COMMON STOCK 136717832 3700.00000000 NS 109057.63000000 0.005751886553 Long EC CA N 1 N N N HOUSING DEVELOPMENT FINANCE CORPORATION LIMITED 335800OX2H9AP7NHLT64 HOUSING DEVELOPMENT FINANCE COMMON STOCK Y37246207 92640.00000000 NS 2584408.26000000 0.136306126577 Long EC IN N 1 N N N Chanjet Information Technology Co Ltd N/A CHANJET INFORMATION TECH-H COMMON STOCK N/A 800.00000000 NS 898.22000000 0.000047373664 Long EC CN N 1 N N N COMPAGNIE FINANCIERE RICHEMONT SA 549300YIPGJ6UX2QPS51 CIE FINANCIERE RICHEMONT-REG COMMON STOCK N/A 86510.00000000 NS 6346638.14000000 0.334732586581 Long EC CH N 1 N N N OMRON Corporation 549300ZHW0TR2QZ0NY83 OMRON CORP COMMON STOCK N/A 4900.00000000 NS 267828.90000000 0.014125755790 Long EC JP N 1 N N N Fukuoka Financial Group, Inc. N/A FUKUOKA FINANCIAL GROUP INC COMMON STOCK N/A 9700.00000000 NS 183100.12000000 0.009657014535 Long EC JP N 1 N N N Otsuka Holdings Co., Ltd. N/A OTSUKA HOLDINGS CO LTD COMMON STOCK N/A 19200.00000000 NS 717391.91000000 0.037836480405 Long EC JP N 1 N N N TOYOTA INDUSTRIES CORPORATION 35380000WKGEAHEMW830 TOYOTA INDUSTRIES CORP COMMON STOCK N/A 3600.00000000 NS 206427.75000000 0.010887353773 Long EC JP N 1 N N N Kirin Holdings Company, Limited 353800GBVL72LLMTYM96 KIRIN HOLDINGS CO LTD COMMON STOCK 497350108 75200.00000000 NS 1591284.16000000 0.083927057303 Long EC JP N 1 N N N DKSH Holding AG 549300HUUUNHO6FJUS42 DKSH HOLDING AG COMMON STOCK N/A 4900.00000000 NS 244594.96000000 0.012900357924 Long EC CH N 1 N N N Wheaton Precious Metals Corp. 549300XSFG5ZCGVYD886 WHEATON PRECIOUS METALS CORP COMMON STOCK 962879102 11532.00000000 NS 302390.22000000 0.015948579116 Long EC CA N 1 N N N Sika AG 549300R3N69ECGYPU434 SIKA AG-REG COMMON STOCK N/A 3366.00000000 NS 492396.17000000 0.025969818976 Long EC CH N 1 N N N PEREGRINE HOLDINGS LIMITED N/A PEREGRINE HOLDINGS LTD COMMON STOCK N/A 175380.00000000 NS 202303.64000000 0.010669841134 Long EC ZA N 1 N N N voestalpine AG 529900ZAXBMQDIWPNB72 VOESTALPINE AG COMMON STOCK N/A 2540.00000000 NS 58359.62000000 0.003077986506 Long EC AT N 1 N N N UNILEVER PLC 549300MKFYEKVRWML317 UNILEVER PLC COMMON STOCK N/A 28937.00000000 NS 1739827.74000000 0.091761500619 Long EC GB N 1 N N N Taiwan Semiconductor Manufacturing Co., Ltd. 549300KB6NK5SBD14S87 TAIWAN SEMICONDUCTOR-SP ADR DEPOSITARY RECEIPT 874039100 111632.00000000 NS USD 5188655.36000000 0.273658587621 Long EC TW N 1 N N N China International Travel Service Corporation Limited N/A CHINA INTERNATIONAL TRAVEL-A COMMON STOCK N/A 217950.00000000 NS 2841312.76000000 0.149855710765 Long EC CN N 1 N N N Maruichi Steel Tube Ltd. N/A MARUICHI STEEL TUBE LTD COMMON STOCK N/A 1200.00000000 NS 31663.35000000 0.001669979414 Long EC JP N 1 N N N Zalando SE 529900YRFFGH5AXU4S86 ZALANDO SE COMMON STOCK N/A 3762.00000000 NS 171725.03000000 0.009057072769 Long EC DE N 1 N N N TDK CORPORATION 3538005O8WNU39U8NX03 TDK CORP COMMON STOCK N/A 4500.00000000 NS 402450.87000000 0.021225949505 Long EC JP N 1 N N N EXPERIAN PLC 635400RXXHHYT1JTSZ26 EXPERIAN PLC COMMON STOCK N/A 49350.00000000 NS 1577020.45000000 0.083174764761 Long EC JE N 1 N N N JUST EAT PLC 213800DZ8PDXRQBBBM02 JUST EAT PLC COMMON STOCK N/A 180268.00000000 NS 1481047.55000000 0.078112989322 Long EC GB N 1 N N N ASX LIMITED N/A ASX LTD COMMON STOCK N/A 4870.00000000 NS 266477.84000000 0.014054498567 Long EC AU N 1 N N N UNISEM (M) BERHAD N/A UNISEM (M) BERHAD COMMON STOCK N/A 181325.00000000 NS 83581.86000000 0.004408250726 Long EC MY N 1 N N N Aktiebolaget Volvo 549300HGV012CNC8JD22 VOLVO AB-B SHS COMMON STOCK 928856301 39121.00000000 NS 549415.97000000 0.028977141076 Long EC SE N 1 N N N LENDLEASE GROUP N/A LENDLEASE GROUP UNIT N/A 14440.00000000 NS 171144.78000000 0.009026469388 Long EC AU N 1 N N N BP P.L.C. 213800LH1BZH3DI6G760 BP PLC COMMON STOCK N/A 314184.00000000 NS 1992550.28000000 0.105090521061 Long EC GB N 1 N N N TEVA PHARMACEUTICAL INDUSTRIES LIMITED 549300BAFGM4RC74ZJ94 TEVA PHARMACEUTICAL IND LTD COMMON STOCK N/A 9198.00000000 NS 63135.79000000 0.003329889908 Long EC IL N 2 N N N Padini Holdings Berhad N/A PADINI HOLDINGS BERHAD COMMON STOCK N/A 207100.00000000 NS 188947.22000000 0.009965400623 Long EC MY N 1 N N N LENOVO GROUP LIMITED 254900VUZRGD5U73RE46 LENOVO GROUP LTD COMMON STOCK N/A 2257422.00000000 NS 1506349.70000000 0.079447468132 Long EC HK N 1 N N N GROEP BRUSSEL LAMBERT NV 549300KV0ZEHT2KVU152 GROUPE BRUXELLES LAMBERT SA COMMON STOCK N/A 2169.00000000 NS 208278.09000000 0.010984943879 Long EC BE N 1 N N N Metallurgical Corporation of China Ltd. 3003002HS6H57JTIFW38 METALLURGICAL CORP OF CHIN-H COMMON STOCK N/A 62000.00000000 NS 13922.45000000 0.000734293904 Long EC CN N 1 N N N Brookfield Asset Management Inc. C6J3FGIWG6MBDGTE8F80 BROOKFIELD ASSET MANAGE-CL A COMMON STOCK 112585104 54758.00000000 NS 2907669.02000000 0.153355453788 Long EC CA N 1 N N N PTT Exploration and Production Public Company Limited 2549001O8YYGP5N7Q076 PTT EXPLOR & PROD PCL-NVDR DEPOSITARY RECEIPT N/A 112100.00000000 NS 443488.64000000 0.023390351917 Long EC TH N 1 N N N Banco Bilbao Vizcaya Argentaria, S.A. K8MS7FD7N5Z2WQ51AZ71 BANCO BILBAO VIZCAYA ARGENTA COMMON STOCK N/A 171646.00000000 NS 894365.70000000 0.047170381784 Long EC ES N 1 N N N DCC PUBLIC LIMITED COMPANY 213800UPS1QEE4TD3T45 DCC PLC COMMON STOCK N/A 14441.00000000 NS 1259954.21000000 0.066452147165 Long EC IE N 1 N N N RYOHIN KEIKAKU CO., LTD. 549300PMNF56J66BY371 RYOHIN KEIKAKU CO LTD COMMON STOCK N/A 8100.00000000 NS 151175.03000000 0.007973230504 Long EC JP N 1 N N N Sony Financial Holdings Inc. 353800O7BDSU41WOZA60 SONY FINANCIAL HOLDINGS INC COMMON STOCK N/A 3800.00000000 NS 82308.44000000 0.004341088370 Long EC JP N 1 N N N DENSO CORPORATION 549300RYPA10CQM3QK38 DENSO CORP COMMON STOCK N/A 37600.00000000 NS 1651444.16000000 0.087099998940 Long EC JP N 1 N N N SINGAPORE TELECOMMUNICATIONS LIMITED 2549003XJKIQO8YDYD89 SINGAPORE TELECOMMUNICATIONS COMMON STOCK N/A 1615200.00000000 NS 3622703.76000000 0.191067613003 Long EC SG N 1 N N N Credit Suisse Group AG 549300506SI9CRFV9Z86 CREDIT SUISSE GROUP AG-REG COMMON STOCK N/A 66259.00000000 NS 812262.78000000 0.042840132891 Long EC CH N 1 N N N CITY DEVELOPMENTS LIMITED 254900BPLPJS0RJ72373 CITY DEVELOPMENTS LTD COMMON STOCK N/A 11500.00000000 NS 81706.04000000 0.004309316760 Long EC SG N 1 N N N USHIO INC. N/A USHIO INC COMMON STOCK N/A 9900.00000000 NS 139721.62000000 0.007369158006 Long EC JP N 1 N N N BASF SE 529900PM64WH8AF1E917 BASF SE COMMON STOCK N/A 63420.00000000 NS 4432287.05000000 0.233766424994 Long EC DE N 1 N N N MEDIOBANCA BANCA DI CREDITO FINANZIARIO SOCIETA PER AZIONI PSNL19R2RXX5U3QWHI44 MEDIOBANCA SPA COMMON STOCK N/A 15321.00000000 NS 167325.82000000 0.008825050884 Long EC IT N 1 N N N Aozora Bank,Ltd. X0XUGKC9FD2CYUQNC010 AOZORA BANK LTD COMMON STOCK N/A 2800.00000000 NS 69970.87000000 0.003690383756 Long EC JP N 1 N N N SUPERMAX CORPORATION BERHAD N/A SUPERMAX CORP BHD COMMON STOCK N/A 100400.00000000 NS 38366.37000000 0.002023508191 Long EC MY N 1 N N N Sandvik Aktiebolag 5299008ZUAXN43LVZF54 SANDVIK AB COMMON STOCK N/A 65330.00000000 NS 1017706.69000000 0.053675597254 Long EC SE N 1 N N N LA BANQUE TORONTO-DOMINION PT3QB789TSUIDF371261 TORONTO-DOMINION BANK COMMON STOCK 891160509 47600.00000000 NS 2775484.02000000 0.146383790053 Long EC CA N 1 N N N SEGA SAMMY HOLDINGS INC. 5493006B6WMKNQ8QNP51 SEGA SAMMY HOLDINGS INC COMMON STOCK N/A 31800.00000000 NS 444685.32000000 0.023453466874 Long EC JP N 1 N N N Caixabank, S.A. 7CUNS533WID6K7DGFI87 CAIXABANK SA COMMON STOCK N/A 90500.00000000 NS 237724.39000000 0.012537992272 Long EC ES N 1 N N N AKBANK TURK ANONIM SIRKETI 789000TUMN63Z28TJ497 AKBANK T.A.S. COMMON STOCK N/A 1085533.00000000 NS 1560922.25000000 0.082325718068 Long EC TR N 1 N N N SMILES FIDELIDADE S.A. N/A SMILES FIDELIDADE SA COMMON STOCK N/A 4100.00000000 NS 37240.88000000 0.001964147917 Long EC BR N 1 N N N Shimadzu Corporation N/A SHIMADZU CORP COMMON STOCK N/A 6100.00000000 NS 153903.35000000 0.008117126783 Long EC JP N 1 N N N Enbridge Inc. 98TPTUM4IVMFCZBCUR27 ENBRIDGE INC COMMON STOCK 29250N105 52800.00000000 NS 1853190.93000000 0.097740469795 Long EC CA N 1 N N N NEOENERGIA S.A. N/A NEOENERGIA SA COMMON STOCK N/A 9896.00000000 NS 48897.07000000 0.002578915381 Long EC BR N 1 N N N INTERNATIONAL PERSONAL FINANCE PLC 213800II1O44IRKUZB59 INTERNATIONAL PERSONAL FINAN COMMON STOCK N/A 134234.00000000 NS 182871.56000000 0.009644959889 Long EC GB N 1 N N N Oesterreichische Post Aktiengesellschaft 529900MVUWACNUTK8467 OESTERREICHISCHE POST AG COMMON STOCK N/A 10508.00000000 NS 368794.18000000 0.019450837918 Long EC AT N 1 N N N SHIMANO INC. 529900L32YT3P9DECR10 SHIMANO INC COMMON STOCK N/A 900.00000000 NS 135509.83000000 0.007147020974 Long EC JP N 1 N N N TELUS Corporation L2TEUTQ8OSHMJWVLCE40 TELUS CORP COMMON STOCK 87971M103 5300.00000000 NS 188621.35000000 0.009948213680 Long EC CA N 1 N N N AVIVA PLC YF0Y5B0IB8SM0ZFG9G81 AVIVA PLC COMMON STOCK N/A 103306.00000000 NS 507187.74000000 0.026749951761 Long EC GB N 1 N N N Sino Land Company Limited 529900G5P51053HJVZ92 SINO LAND CO COMMON STOCK N/A 84614.00000000 NS 127174.16000000 0.006707383434 Long EC HK N 1 N N N HELLENIC PETROLEUM S.A. 213800YUBJMZYR1SNG35 HELLENIC PETROLEUM SA COMMON STOCK N/A 8507.00000000 NS 77515.91000000 0.004088322113 Long EC GR N 1 N N N MANULIFE FINANCIAL CORP 5493007GBX87QOZACS27 MANULIFE FINANCIAL CORP COMMON STOCK 56501R106 50700.00000000 NS 929924.14000000 0.049045794929 Long EC CA N 1 N N N Alcon AG 549300LDT5AP8S0NBM78 ALCON INC COMMON STOCK N/A 14086.00000000 NS 821406.94000000 0.043322411581 Long EC CH N 1 N N N FIRST PACIFIC COMPANY LIMITED 254900VS1MDQSDM9DE09 FIRST PACIFIC CO COMMON STOCK N/A 532000.00000000 NS 203631.17000000 0.010739857344 Long EC BM N 1 N N N Swiss Prime Site AG 506700XI9H64OPR34158 SWISS PRIME SITE-REG COMMON STOCK N/A 2052.00000000 NS 200769.30000000 0.010588917409 Long EC CH N 1 N N N Mediaset Espana Comunicacion, S.A. 95980020140005021479 MEDIASET ESPANA COMUNICACION COMMON STOCK N/A 16938.00000000 NS 109182.13000000 0.005758452896 Long EC ES N 1 N N N Poly Property Group Co., Limited N/A POLY PROPERTY GROUP CO LTD COMMON STOCK N/A 111374.00000000 NS 38793.40000000 0.002046030486 Long EC HK N 1 N N N Alcon AG 549300LDT5AP8S0NBM78 ALCON INC COMMON STOCK N/A 1513.00000000 NS 88228.65000000 0.004653330404 Long EC CH N 1 N N N ENGIE S.A. LAXUQCHT4FH58LRZDY46 ENGIE COMMON STOCK N/A 238936.00000000 NS 3901229.77000000 0.205757552731 Long EC FR N 1 N N N LafargeHolcim Ltd 529900EHPFPYHV6IQO98 LAFARGEHOLCIM LTD-REG COMMON STOCK N/A 144914.00000000 NS 7132083.24000000 0.376158309010 Long EC CH N 1 N N N G4S PLC 549300L3KWKK8X35QR12 G4S PLC COMMON STOCK N/A 336759.00000000 NS 783401.20000000 0.041317923634 Long EC GB N 1 N N N MONEYSUPERMARKET.COM GROUP PLC 54930016B7VO33FBE722 MONEYSUPERMARKET.COM COMMON STOCK N/A 17435.00000000 NS 81117.95000000 0.004278299884 Long EC GB N 1 N N N TAIHEIYO CEMENT CORPORATION N/A TAIHEIYO CEMENT CORP COMMON STOCK N/A 9500.00000000 NS 254006.94000000 0.013396761901 Long EC JP N 1 N N N MAPFRE, S.A. 95980020140005693107 MAPFRE SA COMMON STOCK N/A 31658.00000000 NS 85263.74000000 0.004496955963 Long EC ES N 1 N N N PEUGEOT SA 969500TZ5950IT5FPQ42 PEUGEOT SA COMMON STOCK N/A 15436.00000000 NS 384945.21000000 0.020302670956 Long EC FR N 1 N N N LVMH MOET HENNESSY LOUIS VUITTON SE IOG4E947OATN0KJYSD45 LVMH MOET HENNESSY LOUIS VUI COMMON STOCK N/A 18093.00000000 NS 7191093.39000000 0.379270605584 Long EC FR N 1 N N N CORPORATION FINANCIERE POWER 549300RD0SS3HPUKXF62 POWER FINANCIAL CORP COMMON STOCK 73927C100 6600.00000000 NS 153037.70000000 0.008071470916 Long EC CA N 1 N N N MTU Aero Engines AG 529900807L67JY81RD65 MTU AERO ENGINES AG COMMON STOCK N/A 1337.00000000 NS 355282.03000000 0.018738183939 Long EC DE N 1 N N N Komercni banka, a.s. IYKCAVNFR8QGF00HV840 KOMERCNI BANKA AS COMMON STOCK N/A 739.00000000 NS 24983.68000000 0.001317682156 Long EC CZ N 1 N N N Keikyu Corporation N/A KEIKYU CORP COMMON STOCK N/A 6000.00000000 NS 116254.34000000 0.006131453388 Long EC JP N 1 N N N Benesse Holdings, Inc. 549300XOPEJA8L2IV934 BENESSE HOLDINGS INC COMMON STOCK N/A 1500.00000000 NS 38927.17000000 0.002053085746 Long EC JP N 1 N N N SHIMANO INC. 529900L32YT3P9DECR10 SHIMANO INC COMMON STOCK N/A 1900.00000000 NS 286076.30000000 0.015088154980 Long EC JP N 1 N N N HUAZHU GROUP LIMITED 549300Y5ML31FVN83730 HUAZHU GROUP LTD-ADR DEPOSITARY RECEIPT 44332N106 98061.00000000 NS USD 3237974.22000000 0.170776316852 Long EC KY N 1 N N N Givaudan SA 213800SVRMQA1TD91D41 GIVAUDAN-REG COMMON STOCK N/A 243.00000000 NS 677833.78000000 0.035750116746 Long EC CH N 1 N N N The Chiba Bank, Ltd. FGJPAKKCTZVSKZXNBS63 CHIBA BANK LTD/THE COMMON STOCK N/A 14100.00000000 NS 72504.97000000 0.003824036539 Long EC JP N 1 N N N TURKIYE SISE VE CAM FABRIKALARI ANONIM SIRKETI 789000KWOK751Q6R8875 TURK SISE VE CAM FABRIKALARI COMMON STOCK N/A 421190.00000000 NS 348318.98000000 0.018370940734 Long EC TR N 1 N N N Fortis Inc. 549300MQYQ9Y065XPR71 FORTIS INC COMMON STOCK 349553107 11085.00000000 NS 468634.83000000 0.024716605129 Long EC CA N 1 N N N N/A N/A STATE STREET INSTITUTIONAL TREASURY MONEY MARKET FUND 857492888 4353.35000000 PA USD 4353.35000000 0.000229603149 Long STIV XX N 2 N N N MIZRAHI TEFAHOT BANK LTD YZO9YEGEO4VYDZMDWF93 MIZRAHI TEFAHOT BANK LTD COMMON STOCK N/A 3633.00000000 NS 90330.96000000 0.004764209841 Long EC IL N 2 N N N Nokia Oyj 549300A0JPRWG1KI7U06 NOKIA OYJ COMMON STOCK N/A 147846.00000000 NS 749325.75000000 0.039520725927 Long EC FI N 1 N N N COVIVIO SA 969500P8M3W2XX376054 COVIVIO REIT N/A 1216.00000000 NS 128694.78000000 0.006787583542 Long EC FR N 1 N N N BANK HAPOALIM B.M. B6ARUI4946ST4S7WOU88 BANK HAPOALIM BM COMMON STOCK N/A 28849.00000000 NS 227522.03000000 0.011999902298 Long EC IL N 2 N N N Deutsche Telekom AG 549300V9QSIG4WX4GJ96 DEUTSCHE TELEKOM AG-REG COMMON STOCK N/A 86005.00000000 NS 1443056.42000000 0.076109271931 Long EC DE N 1 N N N PATISSERIE HOLDINGS PLC N/A PATISSERIE HOLDINGS PLC Common Stock N/A 3055.00000000 NS 0.00000000 0.000000 Long EC GB N 2 N N N innogy SE 52990099A8H045CKYJ64 INNOGY SE COMMON STOCK N/A 2688.00000000 NS 130844.69000000 0.006900973485 Long EC DE N 1 N N N KOITO MANUFACTURING CO., LTD. N/A KOITO MANUFACTURING CO LTD COMMON STOCK N/A 2700.00000000 NS 131847.40000000 0.006953858131 Long EC JP N 1 N N N Huadian Power International Corporation Limited 529900207FCOKWBDRE79 HUADIAN POWER INTL CORP-H COMMON STOCK N/A 26000.00000000 NS 9885.55000000 0.000521380870 Long EC CN N 1 N N N NIPPON SUISAN KAISHA,LTD. 529900MPH5BMANQ3EC50 NIPPON SUISAN KAISHA LTD COMMON STOCK N/A 28300.00000000 NS 159919.54000000 0.008434430967 Long EC JP N 1 N N N TOWN HEALTH INTERNATIONAL MEDICAL GROUP LIMITED N/A TOWN HEALTH INTERNATIONAL ME Common Stock N/A 154000.00000000 NS 6778.77000000 0.000357523962 Long EC BM N 2 N N N AEON CO. (M) BHD. N/A AEON CO (M) BHD COMMON STOCK N/A 120400.00000000 NS 41983.28000000 0.002214270232 Long EC MY N 1 N N N NATURA COSMETICOS S.A. N/A NATURA COSMETICOS SA COMMON STOCK N/A 157654.00000000 NS 1294258.16000000 0.068261396355 Long EC BR N 1 N N N Brenntag AG NNROIXVWJ7CPSR27SV97 BRENNTAG AG COMMON STOCK N/A 21222.00000000 NS 1027016.47000000 0.054166611028 Long EC DE N 1 N N N TOYOTA MOTOR CORPORATION 5493006W3QUS5LMH6R84 TOYOTA MOTOR CORP COMMON STOCK N/A 59400.00000000 NS 3964211.79000000 0.209079332546 Long EC JP N 1 N N N Dongyang E&P Inc N/A DONGYANG E&P INC COMMON STOCK N/A 10103.00000000 NS 99243.61000000 0.005234278297 Long EC KR N 1 N N N NOVOLIPETSK STEEL PAO 213800913TPW32I84456 NOVOLIPETSK STEEL PJSC-GDR DEPOSITARY RECEIPT 67011E204 37865.00000000 NS USD 822427.80000000 0.043376253490 Long EC RU N 1 N N N Beigene Ltd 549300JFUK6FRD5MH739 BEIGENE LTD-ADR DEPOSITARY RECEIPT 07725L102 900.00000000 NS USD 110214.00000000 0.005812875491 Long EC KY N 1 N N N SPECTRIS PLC 213800Z4CO2CZO3M3T10 SPECTRIS PLC COMMON STOCK N/A 22887.00000000 NS 687755.32000000 0.036273395791 Long EC GB N 1 N N N DOMAIN HOLDINGS AUSTRALIA LIMITED N/A DOMAIN HOLDINGS AUSTRALIA LT COMMON STOCK N/A 137316.00000000 NS 314190.32000000 0.016570936639 Long EC AU N 1 N N N DASSAULT AVIATION SA 969500CVFTUT88V8QN95 DASSAULT AVIATION SA COMMON STOCK N/A 62.00000000 NS 87715.13000000 0.004626246478 Long EC FR N 1 N N N Sumitomo Metal Mining Co., Ltd. 353800CF81IXL9974H84 SUMITOMO METAL MINING CO LTD COMMON STOCK N/A 5800.00000000 NS 179538.50000000 0.009469168585 Long EC JP N 1 N N N Airbus SE MINO79WLOO247M1IL051 AIRBUS SE COMMON STOCK N/A 15208.00000000 NS 1975861.45000000 0.104210323528 Long EC NL N 1 N N N JGC CORPORATION 5493003WMGG79YLARU68 JGC CORP COMMON STOCK N/A 5800.00000000 NS 75795.61000000 0.003997590539 Long EC JP N 1 N N N VINCI S.A. 213800WFQ334R8UXUG83 VINCI SA COMMON STOCK N/A 13168.00000000 NS 1418315.32000000 0.074804383861 Long EC FR N 1 N N N ALDAR PROPERTIES PJSC N/A ALDAR PROPERTIES PJSC COMMON STOCK N/A 290415.00000000 NS 165244.37000000 0.008715271639 Long EC AE N 1 N N N COMPASS GROUP PLC 2138008M6MH9OZ6U2T68 COMPASS GROUP PLC COMMON STOCK N/A 111737.00000000 NS 2875478.49000000 0.151657669995 Long EC GB N 1 N N N RYANAIR HOLDINGS PUBLIC LIMITED COMPANY 635400BR2ROC1FVEBQ56 RYANAIR HOLDINGS PLC-SP ADR DEPOSITARY RECEIPT 783513203 18100.00000000 NS USD 1201478.00000000 0.063368011503 Long EC IE N 1 N N N The Kansai Electric Power Company, Incorporated 353800PFUKP5ONPJNZ86 KANSAI ELECTRIC POWER CO INC COMMON STOCK N/A 18100.00000000 NS 202301.50000000 0.010669728267 Long EC JP N 1 N N N Shinsei Bank, Limited 549300PZYOQ2NW83V760 SHINSEI BANK LTD COMMON STOCK N/A 5700.00000000 NS 82976.18000000 0.004376306123 Long EC JP N 1 N N N HOYA CORPORATION 353800X4VR3BHEUCJB42 HOYA CORP COMMON STOCK N/A 9900.00000000 NS 807473.76000000 0.042587551758 Long EC JP N 1 N N N APA Group 549300T9RBSX164T8H40 APA GROUP UNIT N/A 29961.00000000 NS 231746.34000000 0.012222699657 Long EC AU N 1 N N N JAFCO Co., Ltd. 353800R7EWCVA2488G32 JAFCO CO LTD COMMON STOCK N/A 7400.00000000 NS 279232.37000000 0.014727194367 Long EC JP N 1 N N N KOMATSU LTD. 5493004LQ0B4T7QPQV17 KOMATSU LTD COMMON STOCK N/A 24300.00000000 NS 556231.21000000 0.029336588529 Long EC JP N 1 N N N UCB S.A. 2138008J191VLSGY5A09 UCB SA COMMON STOCK N/A 3361.00000000 NS 243978.11000000 0.012867824197 Long EC BE N 1 N N N SINGAPORE TELECOMMUNICATIONS LIMITED 2549003XJKIQO8YDYD89 SINGAPORE TELECOMMUNICATIONS COMMON STOCK N/A 215400.00000000 NS 483116.88000000 0.025480413298 Long EC SG N 1 N N N VESTAS WIND SYSTEMS A/S 549300DYMC8BGZZC8844 VESTAS WIND SYSTEMS A/S COMMON STOCK N/A 31709.00000000 NS 2461747.34000000 0.129836779165 Long EC DK N 1 N N N NISSIN FOODS HOLDINGS CO.,LTD. 529900YMZMNSHC1W6V41 NISSIN FOODS HOLDINGS CO LTD COMMON STOCK N/A 1700.00000000 NS 122635.84000000 0.006468024649 Long EC JP N 1 N N N Fresenius Medical Care AG & Co. KGaA 549300CP8NY40UP89Q40 FRESENIUS MEDICAL CARE AG & COMMON STOCK N/A 24388.00000000 NS 1640096.79000000 0.086501519174 Long EC DE N 1 N N N OIL AND NATURAL GAS CORPORATION LIMITED 335800FPDZ9MRSNO7N41 OIL & NATURAL GAS CORP LTD COMMON STOCK Y64606133 120753.00000000 NS 224573.37000000 0.011844384910 Long EC IN N 1 N N N Alviva Holdings Limited N/A ALVIVA HOLDINGS LTD COMMON STOCK N/A 10469.00000000 NS 10921.77000000 0.000576032891 Long EC ZA N 1 N N N ONWARD HOLDINGS CO., LTD. N/A ONWARD HOLDINGS CO LTD COMMON STOCK N/A 20000.00000000 NS 103768.79000000 0.005472944055 Long EC JP N 1 N N N Momentum Metropolitan Holdings Limited N/A MOMENTUM METROPOLITAN HOLDIN COMMON STOCK N/A 121518.00000000 NS 149640.85000000 0.007892315218 Long EC ZA N 1 N N N LPS Brasil Consultoria de Imoveis SA N/A LPS BRASIL CONS DE IMOVEIS COMMON STOCK N/A 148835.00000000 NS 284777.98000000 0.015019679355 Long EC BR N 1 N N N CHINA TELECOM CORPORATION LIMITED 529900JXXCCUCX634T88 CHINA TELECOM CORP LTD-ADR DEPOSITARY RECEIPT 169426103 10259.00000000 NS USD 467502.63000000 0.024656890958 Long EC CN N 1 N N N INTER PIPELINE LTD. QQTTPMZD0WKQL0H5S472 INTER PIPELINE LTD COMMON STOCK 45833V109 11000.00000000 NS 193040.72000000 0.010181298838 Long EC CA N 1 N N N PT Unilever Indonesia Tbk 549300MUHUFNRRI19O72 UNILEVER INDONESIA TBK PT COMMON STOCK N/A 508400.00000000 NS 1665417.40000000 0.087836971597 Long EC ID N 1 N N N Interpark Corporation N/A INTERPARK CORP COMMON STOCK N/A 21256.00000000 NS 94360.54000000 0.004976736805 Long EC KR N 1 N N N GRUPO TELEVISA, S.A.B. 549300O4AF0C816ILN62 GRUPO TELEVISA SA-SPON ADR DEPOSITARY RECEIPT 40049J206 48770.00000000 NS USD 476970.60000000 0.025156247944 Long EC MX N 1 N N N ORIGIN ENERGY LIMITED ZSN2LWNPYW6ISMRUC664 ORIGIN ENERGY LTD COMMON STOCK N/A 46932.00000000 NS 252463.93000000 0.013315380906 Long EC AU N 1 N N N Naturgy Energy Group, S.A. TL2N6M87CW970S5SV098 NATURGY ENERGY GROUP SA COMMON STOCK N/A 7623.00000000 NS 202234.21000000 0.010666179277 Long EC ES N 1 N N N SK hynix Inc. 988400XAIK6XISWQV045 SK HYNIX INC COMMON STOCK N/A 15842.00000000 NS 1088669.82000000 0.057418314506 Long EC KR N 1 N N N Prosus N.V. 635400Z5LQ5F9OLVT688 PROSUS NV COMMON STOCK N/A 12756.00000000 NS 936397.48000000 0.049387209989 Long EC NL N 2 N N N TOYOTA MOTOR CORPORATION 5493006W3QUS5LMH6R84 TOYOTA MOTOR CORP COMMON STOCK N/A 34400.00000000 NS 2295772.49000000 0.121082980757 Long EC JP N 1 N N N Tokyo Electron Limited 549300H5LSF8DP3RIJ34 TOKYO ELECTRON LTD COMMON STOCK N/A 4100.00000000 NS 779805.78000000 0.041128295014 Long EC JP N 1 N N N NEXON Co., Ltd. 5299005SFO0GAJFLKN43 NEXON CO LTD COMMON STOCK N/A 6900.00000000 NS 83661.50000000 0.004412451076 Long EC JP N 1 N N N Astellas Pharma Inc. 529900IB708DY2HBBB35 ASTELLAS PHARMA INC COMMON STOCK N/A 13100.00000000 NS 186398.61000000 0.009830982558 Long EC JP N 1 N N N BOMBARDIER INC. W7L3VLU8EHQY34Z36697 BOMBARDIER INC-B COMMON STOCK 097751200 56700.00000000 NS 76607.16000000 0.004040393079 Long EC CA N 1 N N N ENKA INSAAT VE SANAYI ANONIM SIRKETI 789000EE9HXTYDRH9O46 ENKA INSAAT VE SANAYI AS COMMON STOCK N/A 49360.00000000 NS 49386.22000000 0.002604713991 Long EC TR N 1 N N N SAWAI PHARMACEUTICAL CO., LTD. N/A SAWAI PHARMACEUTICAL CO LTD COMMON STOCK N/A 2600.00000000 NS 134178.03000000 0.007076779556 Long EC JP N 1 N N N Pola Orbis Holdings Inc 353800E8OIV0XYBABS79 POLA ORBIS HOLDINGS INC COMMON STOCK N/A 2000.00000000 NS 44744.51000000 0.002359902240 Long EC JP N 1 N N N EMBRAER S.A. 549300EM51WYXFHUY333 EMBRAER SA COMMON STOCK N/A 52622.00000000 NS 227714.79000000 0.012010068792 Long EC BR N 1 N N N E.SUN FINANCIAL HOLDING COMPANY,LTD. 549300X6CNQE512OPC90 E.SUN FINANCIAL HOLDING CO COMMON STOCK N/A 2074723.00000000 NS 1755934.83000000 0.092611016186 Long EC TW N 2 N N N Sinotruk (Hong Kong) Limited 529900BB4WA4W576X724 SINOTRUK HONG KONG LTD COMMON STOCK N/A 611126.00000000 NS 906041.84000000 0.047786201444 Long EC HK N 1 N N N TAIHEIYO CEMENT CORPORATION N/A TAIHEIYO CEMENT CORP COMMON STOCK N/A 2800.00000000 NS 74865.20000000 0.003948519119 Long EC JP N 1 N N N SER EDUCACIONAL S.A. N/A SER EDUCACIONAL SA COMMON STOCK N/A 36622.00000000 NS 198492.75000000 0.010468848256 Long EC BR N 1 N N N State Bank of India 5493001JZ37UBBZF6L49 STATE BANK OF INDI-GDR REG S DEPOSITARY RECEIPT 856552203 43740.00000000 NS USD 1625378.40000000 0.085725246028 Long EC IN N 1 N N N HOUSING DEVELOPMENT FINANCE CORPORATION LIMITED 335800OX2H9AP7NHLT64 HOUSING DEVELOPMENT FINANCE COMMON STOCK Y37246207 112340.00000000 NS 3133985.58000000 0.165291777530 Long EC IN N 1 N N N NTT DOCOMO, INC. 353800TVPXCGWDZIIU09 NTT DOCOMO INC COMMON STOCK N/A 18300.00000000 NS 465941.27000000 0.024574542153 Long EC JP N 1 N N N BANCOLOMBIA S.A. 54930052NWJRPNMP1W58 BANCOLOMBIA S.A.-SPONS ADR DEPOSITARY RECEIPT 05968L102 23080.00000000 NS USD 1141306.00000000 0.060194436965 Long EC CO N 1 N N N GREAT EASTERN HOLDINGS LIMITED N/A GREAT EASTERN HOLDINGS LTD COMMON STOCK N/A 49700.00000000 NS 816616.87000000 0.043069775070 Long EC SG N 1 N N N INFORMA PLC 5493006VM2LKUPSEDU20 INFORMA PLC COMMON STOCK N/A 31366.00000000 NS 328581.13000000 0.017329932654 Long EC GB N 1 N N N COCA-COLA EUROPEAN PARTNERS PLC 549300LTH67W4GWMRF57 COCA-COLA EUROPEAN PARTNERS COMMON STOCK G25839104 6250.00000000 NS USD 346562.50000000 0.018278300964 Long EC GB N 1 N N N Nordea Bank Abp 529900ODI3047E2LIV03 NORDEA BANK ABP COMMON STOCK N/A 76628.00000000 NS 543414.62000000 0.028660619579 Long EC FI N 1 N N N Uchi Technologies Bhd N/A UCHI TECHNOLOGIES BHD COMMON STOCK N/A 80529.00000000 NS 54045.02000000 0.002850427098 Long EC MY N 1 N N N ISRAEL CHEMICALS LTD. 529900FQVQD88SHIGM04 ISRAEL CHEMICALS LTD COMMON STOCK N/A 16537.00000000 NS 82136.61000000 0.004332025761 Long EC IL N 2 N N N Roche Holding AG 549300U41AUUVOAAOB37 ROCHE HOLDING AG-GENUSSCHEIN COMMON STOCK N/A 18263.00000000 NS 5314852.31000000 0.280314431322 Long EC CH N 1 N N N RENAULT S.A. 969500F7JLTX36OUI695 RENAULT SA COMMON STOCK N/A 4837.00000000 NS 277629.15000000 0.014642637793 Long EC FR N 1 N N N China Aoyuan Group Limited 549300YSOKQO5QD6MP25 CHINA AOYUAN GROUP LTD COMMON STOCK N/A 76199.00000000 NS 86332.36000000 0.004553316816 Long EC KY N 1 N N N Securitas AB 635400TTYKE8EIWDS617 SECURITAS AB-B SHS COMMON STOCK N/A 8369.00000000 NS 128203.86000000 0.006761691579 Long EC SE N 1 N N N Hongkong Land Holdings Limited 213800XCHYNRPAYGXW28 HONGKONG LAND HOLDINGS LTD COMMON STOCK G4587L109 28400.00000000 NS USD 159608.00000000 0.008417999813 Long EC BM N 1 N N N The Yokohama Rubber Company, Limited 52990036XNWY2FMYWB76 YOKOHAMA RUBBER CO LTD COMMON STOCK N/A 2700.00000000 NS 53962.54000000 0.002846076961 Long EC JP N 1 N N N Muenchener Rueckversicherungs-Gesellschaft Aktiengesellschaft in Muenchen 529900MUF4C20K50JS49 MUENCHENER RUECKVER AG-REG COMMON STOCK N/A 3777.00000000 NS 977317.84000000 0.051545419997 Long EC DE N 1 N N N Tsingtao Brewery Company Limited 5299001HPFTEVOPKOQ55 TSINGTAO BREWERY CO LTD-H COMMON STOCK N/A 84000.00000000 NS 506934.43000000 0.026736591757 Long EC CN N 1 N N N Vonovia SE 5299005A2ZEP6AP7KM81 VONOVIA SE COMMON STOCK N/A 13121.00000000 NS 665724.82000000 0.035111469416 Long EC DE N 1 N N N Tsogo Sun Gaming Limited N/A TSOGO SUN GAMING LTD COMMON STOCK N/A 153344.00000000 NS 133549.51000000 0.007043630333 Long EC ZA N 1 N N N ING Groep N.V. 549300NYKK9MWM7GGW15 ING GROEP NV COMMON STOCK N/A 305875.00000000 NS 3201874.18000000 0.168872338793 Long EC NL N 1 N N N Credito Real S.A.B de C.V., Sofom, E.R. 549300W2IL7TPPCTKL39 CREDITO REAL SAB DE CV SOFOM COMMON STOCK N/A 2787.00000000 NS 3173.40000000 0.000167370561 Long EC MX N 1 N N N ASSOCIATED BRITISH FOODS PLC GBQKSY6W7G0OHCQ8OQ72 ASSOCIATED BRITISH FOODS PLC COMMON STOCK N/A 8986.00000000 NS 254451.05000000 0.013420185024 Long EC GB N 1 N N N NHN Corporation N/A NHN CORP COMMON STOCK N/A 6396.00000000 NS 333127.78000000 0.017569730777 Long EC KR N 1 N N N Nestle S.A. KY37LUS27QQX7BB93L28 NESTLE SA-REG COMMON STOCK N/A 135519.00000000 NS 14702667.52000000 0.775443915354 Long EC CH N 1 N N N CASINO GUICHARD-PERRACHON S.A. 969500VHL8F83GBL6L29 CASINO GUICHARD PERRACHON COMMON STOCK N/A 1370.00000000 NS 65388.84000000 0.003448719631 Long EC FR N 1 N N N COMPANIA SUD AMERICANA DE VAPORES S.A. 549300F26ZOE5LM26551 CIA SUD AMERICANA DE VAPORES COMMON STOCK N/A 16447748.00000000 NS 571154.06000000 0.030123645247 Long EC CL N 1 N N N ANGLO AMERICAN PLC 549300S9XF92D1X8ME43 ANGLO AMERICAN PLC COMMON STOCK N/A 28053.00000000 NS 651526.06000000 0.034362602448 Long EC GB N 1 N N N PeptiDream Inc N/A PEPTIDREAM INC COMMON STOCK N/A 2400.00000000 NS 113868.21000000 0.006005604797 Long EC JP N 1 N N N Astral Foods Ltd N/A ASTRAL FOODS LTD COMMON STOCK N/A 3160.00000000 NS 30671.51000000 0.001617668070 Long EC ZA N 1 N N N THE HONG KONG AND CHINA GAS COMPANY LIMITED 254900P7BETXGC7YU827 HONG KONG & CHINA GAS COMMON STOCK N/A 267228.00000000 NS 520974.76000000 0.027477102855 Long EC HK N 1 N N N RINNAI CORPORATION N/A RINNAI CORP COMMON STOCK N/A 2600.00000000 NS 174575.72000000 0.009207423051 Long EC JP N 1 N N N TOHO CO., LTD. 529900IYHHYWU4O3H185 TOHO CO LTD COMMON STOCK N/A 3100.00000000 NS 135754.91000000 0.007159946914 Long EC JP N 1 N N N BUNZL PUBLIC LIMITED COMPANY 213800Q1Q9DV4L78UM09 BUNZL PLC COMMON STOCK N/A 8342.00000000 NS 217958.10000000 0.011495484218 Long EC GB N 1 N N N FINECOBANK BANCA FINECO S.P.A. 549300L7YCATGO57ZE10 FINECOBANK SPA COMMON STOCK N/A 15933.00000000 NS 168660.88000000 0.008895464239 Long EC IT N 1 N N N TELENOR ASA 549300IM1QSBY4SLPM26 TELENOR ASA COMMON STOCK N/A 18888.00000000 NS 378999.46000000 0.019989081898 Long EC NO N 1 N N N INTERNATIONAL FLAVORS & FRAGRANCES INC. BZLRL03D3GPGMOGFO832 INTL FLAVORS & FRAGRANCES COMMON STOCK 459506101 0.41000000 NS 49.31000000 0.000002600694 Long EC US N 2 N N N PUMA SE 529900GRZ2BQY5ZM9N49 PUMA SE COMMON STOCK N/A 2259.00000000 NS 174816.62000000 0.009220128530 Long EC DE N 1 N N N X5 RETAIL GROUP NV 213800J17UJJJDGUVF56 X 5 RETAIL GROUP NV-REGS GDR DEPOSITARY RECEIPT 98387E205 22281.00000000 NS USD 779389.38000000 0.041106333363 Long EC NL N 1 N N N Central Japan Railway Company 353800YAR3OVUITHTG64 CENTRAL JAPAN RAILWAY CO COMMON STOCK N/A 3740.00000000 NS 768580.81000000 0.040536270833 Long EC JP N 1 N N N TELEVISION BROADCASTS LIMITED N/A TELEVISION BROADCASTS LTD COMMON STOCK N/A 142200.00000000 NS 231868.53000000 0.012229144167 Long EC HK N 1 N N N ENGIE S.A. LAXUQCHT4FH58LRZDY46 ENGIE COMMON STOCK N/A 47459.00000000 NS 774887.27000000 0.040868884356 Long EC FR N 1 N N N Taiwan Semiconductor Manufacturing Co., Ltd. 549300KB6NK5SBD14S87 TAIWAN SEMICONDUCTOR MANUFAC COMMON STOCK N/A 456000.00000000 NS 4014475.81000000 0.211730343216 Long EC TW N 2 N N N BASF SE 529900PM64WH8AF1E917 BASF SE COMMON STOCK N/A 23677.00000000 NS 1654734.48000000 0.087273536063 Long EC DE N 1 N N N TOTAL SA 529900S21EQ1BO4ESM68 TOTAL SA COMMON STOCK N/A 62213.00000000 NS 3247048.42000000 0.171254905732 Long EC FR N 1 N N N VEON Ltd. 5493008CA3NMHYEVT131 VEON LTD DEPOSITARY RECEIPT 91822M106 23598.00000000 NS USD 56635.20000000 0.002987037636 Long EC BM N 1 N N N Mizuho Financial Group, Inc. 353800CI5L6DDAN5XZ33 MIZUHO FINANCIAL GROUP INC COMMON STOCK N/A 631200.00000000 NS 966721.11000000 0.050986530272 Long EC JP N 1 N N N Sun Life Financial Inc. 549300V040JZX5S66Z78 SUN LIFE FINANCIAL INC COMMON STOCK 866796105 15600.00000000 NS 697546.14000000 0.036789780439 Long EC CA N 1 N N N TURKIYE GARANTI BANKASI ANONIM SIRKETI 5493002XSS7K7RHN1V37 TURKIYE GARANTI BANKASI COMMON STOCK N/A 536360.00000000 NS 969760.16000000 0.051146814984 Long EC TR N 1 N N N Raubex Group Ltd N/A RAUBEX GROUP LTD COMMON STOCK N/A 307768.00000000 NS 387326.38000000 0.020428257948 Long EC ZA N 1 N N N G4S PLC 549300L3KWKK8X35QR12 G4S PLC COMMON STOCK N/A 36332.00000000 NS 84518.99000000 0.004457676570 Long EC GB N 1 N N N Zurich Insurance Group AG 529900QVNRBND50TXP03 ZURICH INSURANCE GROUP AG COMMON STOCK N/A 3904.00000000 NS 1494241.77000000 0.078808875126 Long EC CH N 1 N N N Adecco Group AG NI14Y5UMU60O7JE9P611 ADECCO GROUP AG-REG COMMON STOCK N/A 24367.00000000 NS 1348174.68000000 0.071105046143 Long EC CH N 1 N N N VENTURE CORPORATION LIMITED 254900B1NLZC3J1MAE72 VENTURE CORP LTD COMMON STOCK N/A 70000.00000000 NS 775386.17000000 0.040895197198 Long EC SG N 1 N N N WPP PLC 549300LSGBXPYHXGDT93 WPP PLC COMMON STOCK N/A 67487.00000000 NS 844718.08000000 0.044551881108 Long EC JE N 1 N N N DAVIDE CAMPARI-MILANO S.P.A. 213800ED5AN2J56N6Z02 DAVIDE CAMPARI-MILANO SPA COMMON STOCK N/A 55358.00000000 NS 500199.27000000 0.026381367861 Long EC IT N 1 N N N Nippon Building Fund Inc. 52990053R8NL2MB32172 NIPPON BUILDING FUND INC REIT N/A 36.00000000 NS 276346.82000000 0.014575005508 Long EC JP N 1 N N N ORICA LIMITED N/A ORICA LTD COMMON STOCK N/A 89500.00000000 NS 1361598.01000000 0.071813015602 Long EC AU N 1 N N N Sumitomo Mitsui Financial Group, Inc. 35380028MYWPB6AUO129 SUMITOMO MITSUI FINANCIAL GR COMMON STOCK N/A 35100.00000000 NS 1199486.71000000 0.063262987451 Long EC JP N 1 N N N INSAS BERHAD N/A INSAS BHD COMMON STOCK N/A 326100.00000000 NS 63864.82000000 0.003368340201 Long EC MY N 1 N N N TERNA - RETE ELETTRICA NAZIONALE SOCIETA PER AZIONI 8156009E94ED54DE7C31 TERNA SPA COMMON STOCK N/A 37486.00000000 NS 240817.12000000 0.012701108160 Long EC IT N 1 N N N CHINA EVERBRIGHT BANK COMPANY LIMITED 549300U6PKQ4H1P34E17 CHINA EVERBRIGHT BANK CO L-H COMMON STOCK N/A 489000.00000000 NS 208385.11000000 0.010990588298 Long EC CN N 1 N N N Zurich Insurance Group AG 529900QVNRBND50TXP03 ZURICH INSURANCE GROUP AG COMMON STOCK N/A 13436.00000000 NS 5142580.03000000 0.271228495649 Long EC CH N 1 N N N ProSiebenSat.1 Media SE 529900NY0WWQUKOMWQ37 PROSIEBENSAT.1 MEDIA SE COMMON STOCK N/A 98471.00000000 NS 1356636.66000000 0.071551345489 Long EC DE N 1 N N N Sumitomo Dainippon Pharma Co., Ltd. 529900D60UKVYLJ2OJ79 SUMITOMO DAINIPPON PHARMA CO COMMON STOCK N/A 3900.00000000 NS 64023.12000000 0.003376689214 Long EC JP N 1 N N N RECORDATI INDUSTRIA CHIMICA E FARMACEUTICA S.P.A. 815600FBF92FD3531704 RECORDATI SPA COMMON STOCK N/A 2896.00000000 NS 124240.10000000 0.006552636074 Long EC IT N 1 N N N HDFC LIFE INSURANCE COMPANY LIMITED 335800RQI8GAFHIRGZ37 HDFC LIFE INSURANCE CO LTD COMMON STOCK N/A 232268.00000000 NS 1970231.02000000 0.103913364987 Long EC IN N 1 N N N RYANAIR HOLDINGS PUBLIC LIMITED COMPANY 635400BR2ROC1FVEBQ56 RYANAIR HOLDINGS PLC-SP ADR DEPOSITARY RECEIPT 783513203 27945.00000000 NS USD 1854989.10000000 0.097835308367 Long EC IE N 1 N N N YASKAWA Electric Corporation 3538003K39GR98R0CK58 YASKAWA ELECTRIC CORP COMMON STOCK N/A 6200.00000000 NS 227357.23000000 0.011991210464 Long EC JP N 1 N N N COMPAGNIE DE SAINT-GOBAIN S.A. NFONVGN05Z0FMN5PEC35 COMPAGNIE DE SAINT GOBAIN COMMON STOCK N/A 12979.00000000 NS 509274.42000000 0.026860006845 Long EC FR N 1 N N N L E Lundbergforetagen Aktiebolag (publ) 529900BPSFZS6O3A9R04 LUNDBERGS AB-B SHS COMMON STOCK N/A 1719.00000000 NS 64680.45000000 0.003411357927 Long EC SE N 1 N N N AEON Mall Co., Ltd. N/A AEON MALL CO LTD COMMON STOCK N/A 2100.00000000 NS 33114.45000000 0.001746512918 Long EC JP N 1 N N N HelloFresh SE 391200ZAF4V6XD2M9G57 HELLOFRESH SE COMMON STOCK N/A 52129.00000000 NS 790909.44000000 0.041713921096 Long EC DE N 1 N N N Wirecard AG 529900A8LX4KL0YUTH71 WIRECARD AG COMMON STOCK N/A 3095.00000000 NS 495047.52000000 0.026109655725 Long EC DE N 1 N N N HONG LEONG BANK BERHAD 549300BUPYUQGB5BFX94 HONG LEONG BANK BERHAD COMMON STOCK N/A 25700.00000000 NS 100418.44000000 0.005296240847 Long EC MY N 1 N N N BOSIDENG INTERNATIONAL HOLDINGS LIMITED N/A BOSIDENG INTL HLDGS LTD COMMON STOCK N/A 344000.00000000 NS 146594.03000000 0.007731620703 Long EC KY N 1 N N N POLSKI KONCERN NAFTOWY ORLEN SPOLKA AKCYJNA 259400VVMM70CQREJT74 POLSKI KONCERN NAFTOWY ORLEN COMMON STOCK N/A 64848.00000000 NS 1596094.26000000 0.084180750232 Long EC PL N 1 N N N SCHIBSTED ASA 5967007LIEEXZXHT0O36 SCHIBSTED ASA-CL A COMMON STOCK N/A 10414.00000000 NS 308036.41000000 0.016246368865 Long EC NO N 1 N N N SONY CORPORATION 529900R5WX9N2OI2N910 SONY CORP COMMON STOCK N/A 9700.00000000 NS 569395.61000000 0.030030901576 Long EC JP N 1 N N N JFE Holdings, Inc. N/A JFE HOLDINGS INC COMMON STOCK N/A 12500.00000000 NS 150289.02000000 0.007926500816 Long EC JP N 1 N N N KT CORPORATION 9884005ACF8449EANY26 KT CORP-SP ADR DEPOSITARY RECEIPT 48268K101 36622.00000000 NS USD 414194.82000000 0.021845345581 Long EC KR N 1 N N N WHEELOCK AND COMPANY LIMITED 254900QXFKSHVV2YBM95 WHEELOCK & CO LTD COMMON STOCK N/A 23000.00000000 NS 131026.96000000 0.006910586717 Long EC HK N 1 N N N UNITED OVERSEAS BANK LIMITED IO66REGK3RCBAMA8HR66 UNITED OVERSEAS BANK LTD COMMON STOCK N/A 33156.00000000 NS 615550.38000000 0.032465183349 Long EC SG N 1 N N N LafargeHolcim Ltd 529900EHPFPYHV6IQO98 LAFARGEHOLCIM LTD-REG COMMON STOCK N/A 69.00000000 NS 3394.84000000 0.000179049687 Long EC CH N 1 N N N ULKER BISKUVI SANAYI ANONIM SIRKETI 7890009HEU9BS7J3DA93 ULKER BISKUVI SANAYI COMMON STOCK N/A 99979.00000000 NS 347899.30000000 0.018348806090 Long EC TR N 1 N N N RELX PLC 549300WSX3VBUFFJOO66 RELX PLC COMMON STOCK N/A 35197.00000000 NS 836313.37000000 0.044108602280 Long EC GB N 1 N N N TOTAL SA 529900S21EQ1BO4ESM68 TOTAL SA COMMON STOCK N/A 9372.00000000 NS 489147.57000000 0.025798482238 Long EC FR N 1 N N N ZOZO, Inc. 549300GC7XPQMZA0OW13 ZOZO INC COMMON STOCK N/A 5400.00000000 NS 124455.95000000 0.006564020374 Long EC JP N 1 N N N LLOYDS BANKING GROUP PLC 549300PPXHEU2JF0AM85 LLOYDS BANKING GROUP PLC COMMON STOCK N/A 8595770.00000000 NS 5719874.00000000 0.301675970286 Long EC GB N 1 N N N Cenovus Energy Inc. 549300EIRQ0Z2B9C1W06 CENOVUS ENERGY INC COMMON STOCK 15135U109 26500.00000000 NS 248628.15000000 0.013113075286 Long EC CA N 1 N N N BANCO SANTANDER, S.A. 5493006QMFDDMYWIAM13 BANCO SANTANDER SA COMMON STOCK N/A 27557.00000000 NS 112228.99000000 0.005919149521 Long EC ES N 1 N N N ACCOR S.A. 969500QZC2Q0TK11NV07 ACCOR SA COMMON STOCK N/A 4691.00000000 NS 195571.24000000 0.010314762805 Long EC FR N 1 N N N LG Display Co., Ltd. 988400P37K91W0SABO95 LG DISPLAY CO LTD COMMON STOCK N/A 24679.00000000 NS 291943.19000000 0.015397584826 Long EC KR N 1 N N N ORACLE CORPORATION JAPAN 529900MIMKY9RU60Z323 ORACLE CORP JAPAN COMMON STOCK N/A 1500.00000000 NS 129988.44000000 0.006855813390 Long EC JP N 1 N N N WPP PLC 549300LSGBXPYHXGDT93 WPP PLC COMMON STOCK N/A 32421.00000000 NS 405805.63000000 0.021402885304 Long EC JE N 1 N N N LLOYDS BANKING GROUP PLC 549300PPXHEU2JF0AM85 LLOYDS BANKING GROUP PLC COMMON STOCK N/A 1853314.00000000 NS 1233248.75000000 0.065043655377 Long EC GB N 1 N N N HINDUSTAN UNILEVER LIMITED 5493007IW5N37IKRPM32 HINDUSTAN UNILEVER LTD COMMON STOCK N/A 10075.00000000 NS 281762.16000000 0.014860619833 Long EC IN N 1 N N N WESFARMERS LIMITED 5493003L32ZX9557ST85 WESFARMERS LTD COMMON STOCK N/A 29419.00000000 NS 790283.55000000 0.041680910584 Long EC AU N 1 N N N ILIAD S.A. 969500FZ9BTRZS3JNB97 ILIAD SA COMMON STOCK N/A 670.00000000 NS 62963.80000000 0.003320818860 Long EC FR N 1 N N N Grupo Aval Acciones y Valores S.A. 549300BBUKBHWLSUZM17 Grupo Aval Acciones y Valores SA PREFERRED STOCK N/A 771793.00000000 NS 289422.38000000 0.015264632981 Long EP CO N 1 N N N Tele2 AB 213800EKD193RVI9HL76 TELE2 AB-B SHS COMMON STOCK N/A 13022.00000000 NS 193794.53000000 0.010221056071 Long EC SE N 1 N N N BRITANNIA INDUSTRIES LTD 335800RRN5EVHNNAXN80 BRITANNIA INDUSTRIES LTD 8.000000% 08/28/2022 N/A 916020.00000000 PA 13182.82000000 0.000695284549 Long DBT NUSS IN N 2 2022-08-28 Fixed 8.00000000 N N N N N N Nestle S.A. KY37LUS27QQX7BB93L28 NESTLE SA-REG COMMON STOCK N/A 79576.00000000 NS 8633324.26000000 0.455336336592 Long EC CH N 1 N N N BCE Inc. 5493001I9203PRB5KR45 BCE INC COMMON STOCK 05534B760 4100.00000000 NS 198307.73000000 0.010459089983 Long EC CA N 1 N N N SAPUTO INC. 549300HH4U1DPY0TBT90 SAPUTO INC COMMON STOCK 802912105 6000.00000000 NS 184413.33000000 0.009726275484 Long EC CA N 1 N N N POLYUS PAO 549300FUXVT7TF6ZKV71 POLYUS PJSC-REG S-GDR DEPOSITARY RECEIPT 73181M117 5556.00000000 NS USD 320859.00000000 0.016922654266 Long EC RU N 1 N N N MOTHERSON SUMI SYSTEMS LIMITED N/A MOTHERSON SUMI SYSTEMS LTD COMMON STOCK Y6139B141 876930.00000000 NS 1298650.51000000 0.068493056432 Long EC IN N 1 N N N PT Adaro Energy Tbk 529900P2WAH7XA87OI24 ADARO ENERGY TBK PT COMMON STOCK N/A 1540100.00000000 NS 139959.77000000 0.007381718446 Long EC ID N 1 N N N INSURANCE AUSTRALIA GROUP LIMITED 549300PFEWKNHRG25N08 INSURANCE AUSTRALIA GROUP COMMON STOCK N/A 58212.00000000 NS 310392.75000000 0.016370646281 Long EC AU N 1 N N N Birlasoft Limited 335800287UMX47DWBF82 BIRLASOFT LTD COMMON STOCK N/A 5074.00000000 NS 4958.10000000 0.000261498702 Long EC IN N 1 N N N Sompo Holdings, Inc. 353800CWW4SRGEYEB512 SOMPO HOLDINGS INC COMMON STOCK N/A 8900.00000000 NS 371803.93000000 0.019609577298 Long EC JP N 1 N N N ASIAN PAINTS LIMITED 335800HEHXGYRUNERD75 ASIAN PAINTS LTD COMMON STOCK N/A 69437.00000000 NS 1726548.35000000 0.091061122803 Long EC IN N 1 N N N SHIMAMURA CO., Ltd. N/A SHIMAMURA CO LTD COMMON STOCK N/A 700.00000000 NS 55417.34000000 0.002922805609 Long EC JP N 1 N N N GLOBALTRANS INVESTMENT PLC 213800D6EVVEJJW3MD09 GLOBALTRA-SPONS GDR REG S DEPOSITARY RECEIPT 37949E204 37410.00000000 NS USD 321726.00000000 0.016968381334 Long EC CY N 1 N N N Heineken Holding N.V. 724500M1WJLFM9TYBS04 HEINEKEN HOLDING NV COMMON STOCK N/A 3037.00000000 NS 302385.85000000 0.015948348634 Long EC NL N 1 N N N BANCO DO ESTADO DO RIO GRANDE DO SUL S.A. 254900W2BN097WLYIM20 Banco do Estado do Rio Grande do Sul SA PREFERRED STOCK N/A 103400.00000000 NS 560183.40000000 0.029545033812 Long EP BR N 1 N N N PERNOD RICARD S.A. 52990097YFPX9J0H5D87 PERNOD RICARD SA COMMON STOCK N/A 35920.00000000 NS 6397296.91000000 0.337404417043 Long EC FR N 1 N N N STANDARD LIFE ABERDEEN PLC 0TMBS544NMO7GLCE7H90 STANDARD LIFE ABERDEEN PLC COMMON STOCK N/A 65429.00000000 NS 229919.81000000 0.012126365330 Long EC GB N 1 N N N AMPLIFON S.P.A. ZYXJDNVM2JI3VBM8G556 AMPLIFON SPA COMMON STOCK N/A 13483.00000000 NS 330656.59000000 0.017439395976 Long EC IT N 1 N N N SES S.A. 5493008JPA4HYMH1HX51 SES DEPOSITARY RECEIPT N/A 9380.00000000 NS 170992.51000000 0.009018438407 Long EC LU N 1 N N N BANQUE DE MONTREAL NQQ6HPCNCCU6TUTQYE16 BANK OF MONTREAL COMMON STOCK 063671101 16500.00000000 NS 1215284.75000000 0.064096203190 Long EC CA N 1 N N N PARK24 Co., Ltd. 549300LFG2WZWCWM4M68 PARK24 CO LTD COMMON STOCK N/A 2500.00000000 NS 57988.44000000 0.003058409836 Long EC JP N 1 N N N KAJIMA CORPORATION N/A KAJIMA CORP COMMON STOCK N/A 11100.00000000 NS 145467.75000000 0.007672218763 Long EC JP N 1 N N N QATAR NATIONAL BANK (Q.P.S.C.) 549300FFSRVBS0SQXY75 QATAR NATIONAL BANK COMMON STOCK N/A 134324.00000000 NS 711501.33000000 0.037525801108 Long EC QA N 1 N N N TAISHO PHARMACEUTICAL HOLDINGS CO., LTD. N/A TAISHO PHARMACEUTICAL HOLDIN COMMON STOCK N/A 900.00000000 NS 65341.04000000 0.003446198577 Long EC JP N 1 N N N Nordic Entertainment Group AB 5493006E0IJD0DHJSR89 NORDIC ENTERTAINMENT GROUP-B COMMON STOCK N/A 15460.00000000 NS 365610.50000000 0.019282925171 Long EC SE N 1 N N N MITSUBISHI MATERIALS CORPORATION 35380076QOBOSOUBRT89 MITSUBISHI MATERIALS CORP COMMON STOCK N/A 2500.00000000 NS 67398.84000000 0.003554730480 Long EC JP N 1 N N N GUANGNAN (HOLDINGS) LIMITED 529900CRA732XR8BSS08 GUANGNAN HOLDINGS COMMON STOCK N/A 210000.00000000 NS 21702.80000000 0.001144642914 Long EC HK N 1 N N N FLETCHER BUILDING LIMITED 549300UPHQTT2LG75045 FLETCHER BUILDING LTD COMMON STOCK N/A 23733.00000000 NS 76537.45000000 0.004036716454 Long EC NZ N 1 N N N Beijing North Star Company Limited 529900JJLWU1AYG2NT48 BEIJING NORTH STAR CO LTD-H COMMON STOCK Y0770G105 45571.00000000 NS 13721.83000000 0.000723712861 Long EC CN N 1 N N N HALMA PUBLIC LIMITED COMPANY 2138007FRGLUR9KGBT40 HALMA PLC COMMON STOCK N/A 9640.00000000 NS 233618.67000000 0.012321449554 Long EC GB N 1 N N N SMITH & NEPHEW PLC 213800ZTMDN8S67S1H61 SMITH & NEPHEW PLC COMMON STOCK N/A 23033.00000000 NS 554790.26000000 0.029260590354 Long EC GB N 1 N N N GENTING SINGAPORE LIMITED 254900Y2N3AK93K1O866 GENTING SINGAPORE LTD COMMON STOCK N/A 146000.00000000 NS 92956.63000000 0.004902692183 Long EC SG N 1 N N N DS SMITH PLC 39RSBE4RCI4M15BLWH36 DS SMITH PLC COMMON STOCK N/A 210304.00000000 NS 931914.79000000 0.049150785226 Long EC GB N 1 N N N Lion Corporation 529900MPGS2GM7VPG855 LION CORP COMMON STOCK N/A 8000.00000000 NS 157669.36000000 0.008315752613 Long EC JP N 1 N N N ROHM COMPANY LIMITED 5493009V2FGDEP7JFE59 ROHM CO LTD COMMON STOCK N/A 2300.00000000 NS 175491.33000000 0.009255713894 Long EC JP N 1 N N N KONE Oyj 2138001CNF45JP5XZK38 KONE OYJ-B COMMON STOCK N/A 8963.00000000 NS 510345.97000000 0.026916522231 Long EC FI N 1 N N N A.P. MOELLER - MAERSK A/S 549300D2K6PKKKXVNN73 AP MOLLER-MAERSK A/S-B COMMON STOCK N/A 167.00000000 NS 188845.47000000 0.009960034153 Long EC DK N 1 N N N COBHAM PLC 213800A41R9NL49E5632 COBHAM PLC COMMON STOCK N/A 865086.00000000 NS 1668352.03000000 0.087991749019 Long EC GB N 1 N N N PT Mitra Pinasthika Mustika Tbk 254900G3H7GQPAKD4N18 MITRA PINASTHIKA MSTK TBK PT COMMON STOCK N/A 462700.00000000 NS 22328.25000000 0.001177630221 Long EC ID N 1 N N N PHOSAGRO PAO 25340053KRUNNYUWF472 PHOSAGRO PJSC-GDR REG S DEPOSITARY RECEIPT 71922G209 56063.00000000 NS USD 716025.42000000 0.037764409378 Long EC RU N 1 N N N DEUTSCH MOTORS INC. N/A DEUTSCH MOTORS INC COMMON STOCK N/A 36373.00000000 NS 237185.47000000 0.012509568707 Long EC KR N 1 N N N Lawson, Inc. 529900IWO8XQO92PR233 LAWSON INC COMMON STOCK N/A 900.00000000 NS 46030.06000000 0.002427704353 Long EC JP N 1 N N N TURKIYE GARANTI BANKASI ANONIM SIRKETI 5493002XSS7K7RHN1V37 TURKIYE GARANTI BANKASI COMMON STOCK N/A 856708.00000000 NS 1548962.05000000 0.081694916596 Long EC TR N 1 N N N Galaxy Entertainment Group Limited 549300ZSEBV3HR826S10 GALAXY ENTERTAINMENT GROUP L COMMON STOCK N/A 55000.00000000 NS 342096.53000000 0.018042758043 Long EC HK N 1 N N N Sandvik Aktiebolag 5299008ZUAXN43LVZF54 SANDVIK AB COMMON STOCK N/A 28520.00000000 NS 444282.79000000 0.023432236751 Long EC SE N 1 N N N EUTELSAT COMMUNICATIONS S.A. 549300EFWH9UR17YSK05 EUTELSAT COMMUNICATIONS COMMON STOCK N/A 4495.00000000 NS 83656.28000000 0.004412175764 Long EC FR N 1 N N N Resona Holdings, Inc. 52990067JE75XZCYYT81 RESONA HOLDINGS INC COMMON STOCK N/A 52940.00000000 NS 226693.36000000 0.011956196821 Long EC JP N 1 N N N Nippon Prologis REIT, Inc. 353800PHBMSDLAFURY41 NIPPON PROLOGIS REIT INC REIT N/A 48.00000000 NS 131447.86000000 0.006932785706 Long EC JP N 1 N N N JD.COM, INC. 549300HVTWB0GJZ16V92 JD.COM INC-ADR DEPOSITARY RECEIPT 47215P106 12594.00000000 NS USD 355276.74000000 0.018737904936 Long EC KY N 1 N N N Iida Group Holdings Co.,Ltd. 35380051BV8PV1I4S949 IIDA GROUP HOLDINGS CO LTD COMMON STOCK N/A 3300.00000000 NS 53654.57000000 0.002829834095 Long EC JP N 1 N N N COCHLEAR LIMITED 5493001OLLWY8KV5UC08 COCHLEAR LTD COMMON STOCK N/A 1541.00000000 NS 216496.57000000 0.011418400618 Long EC AU N 1 N N N PRUDENTIAL PUBLIC LIMITED COMPANY 5493001Z3ZE83NGK8Y12 PRUDENTIAL PLC COMMON STOCK N/A 66889.00000000 NS 1213083.26000000 0.063980092830 Long EC GB N 1 N N N Sompo Holdings, Inc. 353800CWW4SRGEYEB512 SOMPO HOLDINGS INC COMMON STOCK N/A 19200.00000000 NS 802093.87000000 0.042303807128 Long EC JP N 1 N N N MRV Engenharia e Participacoes S/A N/A MRV ENGENHARIA COMMON STOCK N/A 244400.00000000 NS 1044079.95000000 0.055066568244 Long EC BR N 1 N N N FANUC CORPORATION 529900QTSW745LOKW705 FANUC CORP COMMON STOCK N/A 11100.00000000 NS 2088083.24000000 0.110129093309 Long EC JP N 1 N N N DELTA ELECTRONICS, INC. 529900UVZWNWGDLJSM52 DELTA ELECTRONICS INC COMMON STOCK N/A 231516.00000000 NS 990109.45000000 0.052220071459 Long EC TW N 2 N N N Roche Holding AG 549300U41AUUVOAAOB37 ROCHE HOLDING AG-GENUSSCHEIN COMMON STOCK N/A 36021.00000000 NS 10482740.79000000 0.552877738055 Long EC CH N 1 N N N NATIXIS S.A. KX1WK48MPD4Y2NCUIZ63 NATIXIS COMMON STOCK N/A 23654.00000000 NS 98099.63000000 0.005173942828 Long EC FR N 1 N N N Telia Company AB 213800FSR9RNDUOTXO25 TELIA CO AB COMMON STOCK N/A 70908.00000000 NS 317442.07000000 0.016742439514 Long EC SE N 1 N N N Empresas CMPC S.A. N/A EMPRESAS CMPC SA COMMON STOCK N/A 45712.00000000 NS 106325.93000000 0.005607812007 Long EC CL N 1 N N N POWSZECHNY ZAKLAD UBEZPIECZEN SPOLKA AKCYJNA QLPCKOOKVX32FUELX240 POWSZECHNY ZAKLAD UBEZPIECZE COMMON STOCK N/A 20387.00000000 NS 190036.67000000 0.010022860086 Long EC PL N 1 N N N Bayerische Motoren Werke Aktiengesellschaft YEH5ZCD6E441RHVHD759 BAYERISCHE MOTOREN WERKE AG COMMON STOCK N/A 8708.00000000 NS 613044.26000000 0.032333006280 Long EC DE N 1 N N N NGK SPARK PLUG CO., LTD. 549300RG3XQGTFM4HH31 NGK SPARK PLUG CO LTD COMMON STOCK N/A 4300.00000000 NS 81844.16000000 0.004316601446 Long EC JP N 1 N N N Hannover Rueck SE 529900KIN5BE45V5KB18 HANNOVER RUECK SE COMMON STOCK N/A 2432.00000000 NS 411134.10000000 0.021683917956 Long EC DE N 1 N N N TOYO SUISAN KAISHA, LTD. N/A TOYO SUISAN KAISHA LTD COMMON STOCK 892306101 17900.00000000 NS 716827.75000000 0.037806725639 Long EC JP N 1 N N N Kintetsu Group Holdings Co.,Ltd. N/A KINTETSU GROUP HOLDINGS CO L COMMON STOCK N/A 4600.00000000 NS 239519.08000000 0.012632647303 Long EC JP N 1 N N N BlackBerry Limited 549300HJD8NEGT71RF07 BLACKBERRY LTD COMMON STOCK 09228F103 13800.00000000 NS 72288.94000000 0.003812642746 Long EC CA N 1 N N N ORACLE CORPORATION JAPAN 529900MIMKY9RU60Z323 ORACLE CORP JAPAN COMMON STOCK N/A 900.00000000 NS 77993.06000000 0.004113487823 Long EC JP N 1 N N N Yamaha Motor Co., Ltd. 3538004LR5NXILJDHY88 YAMAHA MOTOR CO LTD COMMON STOCK N/A 6900.00000000 NS 124949.83000000 0.006590068452 Long EC JP N 1 N N N Rogers Communications Inc. 54930030NVF3Y2OL0A78 ROGERS COMMUNICATIONS INC-B COMMON STOCK 775109200 9200.00000000 NS 448108.09000000 0.023633989637 Long EC CA N 1 N N N UBS Group AG 549300SZJ9VS8SGXAN81 UBS GROUP AG-REG COMMON STOCK N/A 446716.00000000 NS 5071181.08000000 0.267462792503 Long EC CH N 1 N N N CNH Industrial N.V. 549300WGC2HZ5J67V817 CNH INDUSTRIAL NV COMMON STOCK N/A 25625.00000000 NS 260866.84000000 0.013758564799 Long EC NL N 1 N N N Sharp Corporation 353800YEPK9PD7QO3449 SHARP CORP COMMON STOCK N/A 5400.00000000 NS 59680.92000000 0.003147674135 Long EC JP N 1 N N N SONIC HEALTHCARE LIMITED 549300NQQ5L2NONWR862 SONIC HEALTHCARE LTD COMMON STOCK N/A 11992.00000000 NS 227036.90000000 0.011974315710 Long EC AU N 1 N N N Heineken N.V. 724500K5PTPSST86UQ23 HEINEKEN NV COMMON STOCK N/A 18842.00000000 NS 2036440.12000000 0.107405346539 Long EC NL N 1 N N N Nippon Yusen Kabushiki Kaisha 353800YPW4XM0ZN5I149 NIPPON YUSEN KK COMMON STOCK N/A 3700.00000000 NS 61766.47000000 0.003257669621 Long EC JP N 1 N N N TEVA PHARMACEUTICAL INDUSTRIES LIMITED 549300BAFGM4RC74ZJ94 TEVA PHARMACEUTICAL-SP ADR DEPOSITARY RECEIPT 881624209 18353.00000000 NS USD 126268.64000000 0.006659624755 Long EC IL N 1 N N N Electric Power Development Co., Ltd. 549300KMHPUAQI8VEH90 ELECTRIC POWER DEVELOPMENT C COMMON STOCK N/A 3900.00000000 NS 88910.98000000 0.004689317659 Long EC JP N 1 N N N NEW ORIENTAL EDUCATION & TECHNOLOGY GROUP INC. 529900NHZVBZQZ8EKN29 NEW ORIENTAL EDUCATIO-SP ADR DEPOSITARY RECEIPT 647581107 234.00000000 NS USD 25917.84000000 0.001366951357 Long EC KY N 1 N N N Hitachi, Ltd. 549300T6IPOCDWLKC615 HITACHI LTD COMMON STOCK N/A 109700.00000000 NS 4081600.92000000 0.215270636706 Long EC JP N 1 N N N AirAsia X Bhd 894500078MGUYUZ89B47 AIRASIA X BHD COMMON STOCK N/A 136400.00000000 NS 5212.32000000 0.000274906701 Long EC MY N 1 N N N SG HOLDINGS CO.,LTD. N/A SG HOLDINGS CO LTD COMMON STOCK N/A 3700.00000000 NS 90510.98000000 0.004773704405 Long EC JP N 1 N N N ENCANA CORPORATION CZ72ZHBVKZXQRV3XFE26 ENCANA CORP COMMON STOCK 292505104 38500.00000000 NS 176393.55000000 0.009303298525 Long EC CA N 1 N N N TC Energy Corporation 549300UGKOFV2IWJJG27 TC ENERGY CORP COMMON STOCK 87807B107 23958.00000000 NS 1240531.98000000 0.065427785426 Long EC CA N 1 N N N Grupo Financiero Banorte, S.A.B. de C.V. N/A GRUPO FINANCIERO BANORTE-O COMMON STOCK N/A 321100.00000000 NS 1730627.14000000 0.091276245187 Long EC MX N 1 N N N GECINA S.A. 9695003E4MMA10IBTR26 GECINA SA REIT N/A 1179.00000000 NS 185305.02000000 0.009773304745 Long EC FR N 1 N N N PEARSON PLC 2138004JBXWWJKIURC57 PEARSON PLC COMMON STOCK N/A 19839.00000000 NS 180019.70000000 0.009494547898 Long EC GB N 1 N N N East Japan Railway Company 353800SENYJ2DSM6PS44 EAST JAPAN RAILWAY CO COMMON STOCK N/A 10400.00000000 NS 991667.05000000 0.052302221956 Long EC JP N 1 N N N Kuehne + Nagel International AG 529900Q0YED3805QXQ66 KUEHNE + NAGEL INTL AG-REG COMMON STOCK N/A 1380.00000000 NS 203256.35000000 0.010720088694 Long EC CH N 1 N N N TURKIYE IS BANKASI ANONIM SIRKETI 789000FIRX9MDN0KTM91 TURKIYE IS BANKASI-C COMMON STOCK N/A 1029411.00000000 NS 1142979.81000000 0.060282716577 Long EC TR N 1 N N N Volkswagen AG 529900NNUPAGGOMPXZ31 Volkswagen AG PREFERRED STOCK N/A 4781.00000000 NS 813239.52000000 0.042891647835 Long EP DE N 1 N N N MOWI ASA 549300W1OGQF5LZIH349 MOWI ASA COMMON STOCK N/A 11604.00000000 NS 267726.24000000 0.014120341326 Long EC NO N 1 N N N DOGAN SIRKETLER GRUBU HOLDING ANONIM SIRKETI 789000J24Q4JM3H6UX22 DOGAN SIRKETLER GRUBU HLDGS COMMON STOCK N/A 2244390.00000000 NS 608095.75000000 0.032072013370 Long EC TR N 1 N N N JAPAN TOBACCO INC. 353800Z0ENYBQO0XRJ31 JAPAN TOBACCO INC COMMON STOCK N/A 31200.00000000 NS 682720.92000000 0.036007872896 Long EC JP N 1 N N N CIMIC GROUP LIMITED 529900Q5XXSXHRQERC81 CIMIC GROUP LTD COMMON STOCK N/A 2687.00000000 NS 57037.47000000 0.003008254046 Long EC AU N 1 N N N ITV PLC ZLECI7ED2QMWFGYCXZ59 ITV PLC COMMON STOCK N/A 566629.00000000 NS 877138.99000000 0.046261815537 Long EC GB N 1 N N N PERSOL HOLDINGS CO.,LTD. N/A PERSOL HOLDINGS CO LTD COMMON STOCK N/A 11900.00000000 NS 224738.03000000 0.011853069361 Long EC JP N 1 N N N Zooplus AG 549300VB13ZT2X88PU78 ZOOPLUS AG COMMON STOCK N/A 731.00000000 NS 87005.79000000 0.004588834669 Long EC DE N 1 N N N SMC CORPORATION 353800O40V08DOZ70X62 SMC CORP COMMON STOCK N/A 1500.00000000 NS 639537.57000000 0.033730308913 Long EC JP N 1 N N N POSCO 988400E5HRVX81AYLM04 POSCO COMMON STOCK N/A 1529.00000000 NS 290166.79000000 0.015303894442 Long EC KR N 1 N N N CANON INC. 529900JH1GSC035SSP77 CANON INC COMMON STOCK N/A 600.00000000 NS 15995.38000000 0.000843623789 Long EC JP N 1 N N N Bangchak Corporation Public Company Limited 254900M7L6ML94L1YX58 BANGCHAK CORP PCL-NVDR DEPOSITARY RECEIPT N/A 160900.00000000 NS 143355.40000000 0.007560809799 Long EC TH N 1 N N N EDENRED S.A. 9695006LOD5B2D7Y0N70 EDENRED COMMON STOCK N/A 32241.00000000 NS 1547267.19000000 0.081605526771 Long EC FR N 1 N N N CK INFRASTRUCTURE HOLDINGS LIMITED 5299005U11RQ1C27MR12 CK INFRASTRUCTURE HOLDINGS L COMMON STOCK N/A 16500.00000000 NS 111049.80000000 0.005856957017 Long EC BM N 1 N N N LG ELECTRONICS INC. 988400RMQFTGZIOG0609 LG ELECTRONICS INC COMMON STOCK N/A 31796.00000000 NS 1791623.46000000 0.094493295776 Long EC KR N 1 N N N Keisei Electric Railway Co.,Ltd. 529900VNP95IIHXPCY17 KEISEI ELECTRIC RAILWAY CO COMMON STOCK N/A 3400.00000000 NS 139773.41000000 0.007371889500 Long EC JP N 1 N N N NITTO DENKO CORPORATION 3538009GX5P09USH2J25 NITTO DENKO CORP COMMON STOCK N/A 4300.00000000 NS 206956.76000000 0.010915254668 Long EC JP N 1 N N N CTRIP.COM INTERNATIONAL, LTD. 2549004RMYDSRQL4KW41 CTRIP.COM INTERNATIONAL-ADR DEPOSITARY RECEIPT 22943F100 11564.00000000 NS USD 338709.56000000 0.017864123433 Long EC KY N 1 N N N JOHN WOOD GROUP P.L.C. 549300PLYY6I10B6S323 JOHN WOOD GROUP PLC COMMON STOCK N/A 18236.00000000 NS 85181.00000000 0.004492592113 Long EC GB N 1 N N N Kao Corporation 353800HM38HFCB8RGL63 KAO CORP COMMON STOCK N/A 12700.00000000 NS 937773.87000000 0.049459803160 Long EC JP N 1 N N N Husky Energy Inc. 5493001LRMU2TM8ZZZ78 HUSKY ENERGY INC COMMON STOCK 448055103 8400.00000000 NS 59091.97000000 0.003116611901 Long EC CA N 1 N N N Ramayana Lestari Sentosa Tbk PT N/A RAMAYANA LESTARI SENTOSA TBK COMMON STOCK N/A 470800.00000000 NS 39965.76000000 0.002107862765 Long EC ID N 1 N N N Nordea Bank Abp 529900ODI3047E2LIV03 NORDEA BANK ABP COMMON STOCK N/A 1118.00000000 NS 7923.14000000 0.000417880000 Long EC FI N 1 N N N ENEL - SPA WOCMU6HCI0OJWNPRZS33 ENEL SPA COMMON STOCK N/A 209801.00000000 NS 1566641.58000000 0.082627365347 Long EC IT N 1 N N N Youngone Holdings Co., Ltd N/A YOUNGONE HOLDINGS CO LTD COMMON STOCK N/A 595.00000000 NS 23578.15000000 0.001243552092 Long EC KR N 1 N N N Gentera, S.A.B. de C.V. N/A GENTERA SAB DE CV COMMON STOCK N/A 1225146.00000000 NS 1015677.94000000 0.053568597498 Long EC MX N 1 N N N Japan Airlines Co., Ltd. 3538002MH5L1QZZ93477 JAPAN AIRLINES CO LTD COMMON STOCK N/A 2700.00000000 NS 80207.17000000 0.004230263784 Long EC JP N 1 N N N Uniper SE 549300UXRTWGIBZQ4J67 UNIPER SE COMMON STOCK N/A 5228.00000000 NS 171461.21000000 0.009043158449 Long EC DE N 1 N N N DAIRY FARM INTERNATIONAL HOLDINGS LIMITED 213800NOTG41PZVNNX48 DAIRY FARM INTL HLDGS LTD COMMON STOCK N/A 22000.00000000 NS USD 138600.00000000 0.007310001842 Long EC BM N 1 N N N Hana Financial Group Inc. N/A HANA FINANCIAL GROUP COMMON STOCK N/A 10624.00000000 NS 313084.48000000 0.016512612740 Long EC KR N 1 N N N TAISEI CORPORATION 529900TF7XJKIOWMLQ79 TAISEI CORP COMMON STOCK N/A 5300.00000000 NS 205137.57000000 0.010819307465 Long EC JP N 1 N N N SINGAPORE AIRLINES LIMITED 549300ZG62N2599PWR15 SINGAPORE AIRLINES LTD COMMON STOCK N/A 12500.00000000 NS 82661.07000000 0.004359686681 Long EC SG N 1 N N N Shin-Etsu Chemical Co., Ltd. 353800PX8Q64N86H5W41 SHIN-ETSU CHEMICAL CO LTD COMMON STOCK N/A 9400.00000000 NS 1004984.97000000 0.053004631911 Long EC JP N 1 N N N Mitsubishi Tanabe Pharma Corporation 529900ZIO33Q0U4T6Y32 MITSUBISHI TANABE PHARMA COMMON STOCK N/A 5100.00000000 NS 55893.64000000 0.002947926489 Long EC JP N 1 N N N CRH PUBLIC LIMITED COMPANY 549300MIDJNNTH068E74 CRH PLC COMMON STOCK N/A 202730.00000000 NS 6980327.10000000 0.368154429767 Long EC IE N 1 N N N KDDI CORPORATION 5299003FU7V4I45FU310 KDDI CORP COMMON STOCK N/A 45600.00000000 NS 1191398.84000000 0.062836419308 Long EC JP N 1 N N N HISENSE HOME APPLIANCES GROUP CO., LTD. 529900PRGESPUBUBN103 HISENSE HOME APPLIANCES GR-H COMMON STOCK N/A 58000.00000000 NS 55722.98000000 0.002938925588 Long EC CN N 1 N N N KDDI CORPORATION 5299003FU7V4I45FU310 KDDI CORP COMMON STOCK N/A 29700.00000000 NS 775976.88000000 0.040926352257 Long EC JP N 1 N N N WORLDLINE S.A. 549300CJMQNCA0U4TS33 WORLDLINE SA COMMON STOCK N/A 2255.00000000 NS 142309.29000000 0.007505636162 Long EC FR N 1 N N N KOSE Corporation 353800NX4GGAVDHHY664 KOSE CORP COMMON STOCK N/A 1200.00000000 NS 202543.35000000 0.010682483851 Long EC JP N 1 N N N BIOMERIEUX SA 549300AK8Y0LBIQ4T071 BIOMERIEUX COMMON STOCK N/A 965.00000000 NS 79832.04000000 0.004210478784 Long EC FR N 1 N N N Fiat Chrysler Automobiles N.V. 549300LKT9PW7ZIBDF31 FIAT CHRYSLER AUTOMOBILES NV COMMON STOCK N/A 27921.00000000 NS 361295.86000000 0.019055363654 Long EC NL N 1 N N N Yandex N.V. 549300GGZHJ5Q1B18P93 YANDEX NV-A COMMON STOCK N97284108 63482.00000000 NS USD 2222504.82000000 0.117218718111 Long EC NL N 1 N N N THE HONGKONG AND SHANGHAI HOTELS, LIMITED 5299001258RHH99P1A15 HONGKONG & SHANGHAI HOTELS COMMON STOCK N/A 254249.00000000 NS 247511.37000000 0.013054174392 Long EC HK N 1 N N N ASSECO POLAND SPOLKA AKCYJNA 259400O79EWIK4XZPL40 ASSECO POLAND SA COMMON STOCK N/A 12648.00000000 NS 161013.54000000 0.008492130405 Long EC PL N 1 N N N OCADO GROUP PLC 213800LO8F61YB8MBC74 OCADO GROUP PLC COMMON STOCK N/A 11542.00000000 NS 187681.14000000 0.009898625391 Long EC GB N 1 N N N Kinnevik AB 2138006PZH76JOS6MN27 KINNEVIK AB - B COMMON STOCK N/A 5807.00000000 NS 152724.98000000 0.008054977527 Long EC SE N 1 N N N Alfresa Holdings Corporation N/A ALFRESA HOLDINGS CORP COMMON STOCK N/A 22900.00000000 NS 511053.87000000 0.026953858092 Long EC JP N 1 N N N EQUINOR ASA OW6OFBNCKXC4US5C7523 EQUINOR ASA COMMON STOCK N/A 26402.00000000 NS 502202.89000000 0.026487042218 Long EC NO N 1 N N N SKY NETWORK TELEVISION LIMITED N/A SKY NETWORK TELEVISION LTD COMMON STOCK N/A 154015.00000000 NS 108017.76000000 0.005697042025 Long EC NZ N 1 N N N Tsingtao Brewery Company Limited 5299001HPFTEVOPKOQ55 TSINGTAO BREWERY CO LTD-H COMMON STOCK N/A 226427.00000000 NS 1366471.94000000 0.072070075034 Long EC CN N 1 N N N BANCO BTG PACTUAL S.A. ZXLTQRYIK6IJH3R0IK66 BANCO BTG PACTUAL SA-UNIT UNIT N/A 2100.00000000 NS 29587.36000000 0.001560488139 Long EC BR N 1 N N N Magellan Financial Group Ltd 549300X5WFW6USQQ9U26 MAGELLAN FINANCIAL GROUP LTD COMMON STOCK N/A 3065.00000000 NS 106415.14000000 0.005612517096 Long EC AU N 1 N N N Tikkurila Oyj 743700PKLY067IZIF588 TIKKURILA OYJ COMMON STOCK N/A 103736.00000000 NS 1530933.37000000 0.080744053075 Long EC FI N 1 N N N LPP SA 259400NUS7MKGPJL4752 LPP SA COMMON STOCK N/A 440.00000000 NS 943617.37000000 0.049767999377 Long EC PL N 1 N N N DAIWA HOUSE INDUSTRY CO.,LTD. N/A DAIWA HOUSE INDUSTRY CO LTD COMMON STOCK N/A 10200.00000000 NS 330739.42000000 0.017443764572 Long EC JP N 1 N N N FAURECIA SE 969500F0VMZLK2IULV85 FAURECIA COMMON STOCK N/A 1901.00000000 NS 90173.54000000 0.004755907240 Long EC FR N 1 N N N Volkswagen AG 529900NNUPAGGOMPXZ31 Volkswagen AG PREFERRED STOCK N/A 6432.00000000 NS 1094071.65000000 0.057703216290 Long EP DE N 1 N N N SAMSUNG FIRE & MARINE INSURANCE CO.,LTD 988400JMBDK47EW0Z936 SAMSUNG FIRE & MARINE INS COMMON STOCK N/A 6140.00000000 NS 1144689.21000000 0.060372873266 Long EC KR N 1 N N N ANGLO AMERICAN PLC 549300S9XF92D1X8ME43 ANGLO AMERICAN PLC COMMON STOCK N/A 279290.00000000 NS 6425685.75000000 0.338901693181 Long EC GB N 1 N N N CLEANAWAY WASTE MANAGEMENT LIMITED 549300D5C72CV6CIBS66 CLEANAWAY WASTE MANAGEMENT L COMMON STOCK N/A 969854.00000000 NS 1276476.83000000 0.067323578498 Long EC AU N 1 N N N ANA HOLDINGS INC. 5493008IRKIY0G3TE305 ANA HOLDINGS INC COMMON STOCK N/A 2700.00000000 NS 90744.97000000 0.004786045439 Long EC JP N 1 N N N WM MORRISON SUPERMARKETS P L C 213800IN6LSRGTZSOS29 WM MORRISON SUPERMARKETS COMMON STOCK N/A 65418.00000000 NS 161109.85000000 0.008497209959 Long EC GB N 1 N N N DAIKIN INDUSTRIES,LTD. 549300Y7FWSTSHMW5Y57 DAIKIN INDUSTRIES LTD COMMON STOCK N/A 43200.00000000 NS 5665442.77000000 0.298805173810 Long EC JP N 1 N N N WH SMITH PLC 2138001KJNGUJ34G7X91 WH SMITH PLC COMMON STOCK N/A 30171.00000000 NS 737108.57000000 0.038876370888 Long EC GB N 1 N N N Boliden AB 21380059QU7IM1ONDJ56 BOLIDEN AB COMMON STOCK N/A 6579.00000000 NS 151207.96000000 0.007974967289 Long EC SE N 1 N N N Bangkok Bank Public Company Limited 549300CCL2BKJGMYXV60 BANGKOK BANK PCL-FOREIGN REG COMMON STOCK N/A 46900.00000000 NS 266050.35000000 0.014031952011 Long EC TH N 1 N N N TOYO SUISAN KAISHA, LTD. N/A TOYO SUISAN KAISHA LTD COMMON STOCK 892306101 2000.00000000 NS 80092.49000000 0.004224215364 Long EC JP N 1 N N N FERGUSON PLC 213800DU1LGY3R2S2X42 FERGUSON PLC COMMON STOCK N/A 5869.00000000 NS 428930.37000000 0.022622523775 Long EC JE N 1 N N N OMV Aktiengesellschaft 549300V62YJ9HTLRI486 OMV AG COMMON STOCK N/A 3841.00000000 NS 206143.90000000 0.010872383036 Long EC AT N 1 N N N BARCLAYS PLC 213800LBQA1Y9L22JB70 BARCLAYS PLC COMMON STOCK N/A 543171.00000000 NS 1004449.94000000 0.052976413510 Long EC GB N 1 N N N GOODBABY INTERNATIONAL HOLDINGS LIMITED 5299001OEMI45O3O6H29 GOODBABY INTERNATIONAL HOLDI COMMON STOCK N/A 326000.00000000 NS 49080.73000000 0.002588601924 Long EC KY N 1 N N N Schindler Holding AG 5299007DRLI319H7Q933 SCHINDLER HOLDING AG-REG COMMON STOCK N/A 541.00000000 NS 120661.89000000 0.006363915139 Long EC CH N 1 N N N Actoz Soft Co Ltd N/A ACTOZ SOFT CO LTD COMMON STOCK N/A 3934.00000000 NS 37164.40000000 0.001960114231 Long EC KR N 1 N N N EVRAZ PLC 5493005B7DAN39RXLK23 EVRAZ PLC COMMON STOCK N/A 12827.00000000 NS 73746.85000000 0.003889535421 Long EC GB N 1 N N N TUI AG 529900SL2WSPV293B552 TUI AG-DI COMMON STOCK N/A 38388.00000000 NS 446414.90000000 0.023544687891 Long EC DE N 1 N N N GRUPA LOTOS SPOLKA AKCYJNA 259400A9BI23M3K1NK82 GRUPA LOTOS SA COMMON STOCK N/A 60862.00000000 NS 1344090.85000000 0.070889657941 Long EC PL N 1 N N N SUNCORP GROUP LIMITED 549300BVOKRTHDIWVT46 SUNCORP GROUP LTD COMMON STOCK N/A 31771.12000000 NS 292709.72000000 0.015438012934 Long EC AU N 1 N N N Mitsui O.S.K. Lines, Ltd. 353800P8O843TMAZ6S09 MITSUI OSK LINES LTD COMMON STOCK N/A 2500.00000000 NS 63121.39000000 0.003329130427 Long EC JP N 1 N N N ITV PLC ZLECI7ED2QMWFGYCXZ59 ITV PLC COMMON STOCK N/A 95403.00000000 NS 147683.39000000 0.007789075419 Long EC GB N 1 N N N BRIDGESTONE CORPORATION 549300DHPOF90OYYD780 BRIDGESTONE CORP COMMON STOCK N/A 17500.00000000 NS 677179.19000000 0.035715592546 Long EC JP N 1 N N N NATIONAL AUSTRALIA BANK LIMITED F8SB4JFBSYQFRQEH3Z21 NATIONAL AUSTRALIA BANK LTD COMMON STOCK N/A 83180.00000000 NS 1667428.91000000 0.087943062086 Long EC AU N 1 N N N FANUC CORPORATION 529900QTSW745LOKW705 FANUC CORP COMMON STOCK N/A 4980.00000000 NS 936815.72000000 0.049409268685 Long EC JP N 1 N N N NOVO NORDISK A/S 549300DAQ1CVT6CXN342 NOVO NORDISK A/S-B COMMON STOCK N/A 46077.00000000 NS 2368778.68000000 0.124933452499 Long EC DK N 1 N N N Mitsubishi Corporation KVIPTY4PULAPGC1VVD26 MITSUBISHI CORP COMMON STOCK N/A 34760.00000000 NS 852242.87000000 0.044948751445 Long EC JP N 1 N N N NIIT TECHNOLOGIES LIMITED 3358004YL9JGBNP4KF72 NIIT TECHNOLOGIES LTD COMMON STOCK N/A 11729.00000000 NS 230860.15000000 0.012175960476 Long EC IN N 1 N N N Yum China Holdings Inc 529900DO9BYZ7VA3K502 YUM CHINA HOLDINGS INC COMMON STOCK 98850P109 93974.00000000 NS USD 4269238.82000000 0.225166981546 Long EC US N 1 N N N Gerresheimer AG 5299006GD4UWSYZOKC28 GERRESHEIMER AG COMMON STOCK N/A 3138.00000000 NS 225054.12000000 0.011869740490 Long EC DE N 1 N N N SOCIETE AURIFERE BARRICK 0O4KBQCJZX82UKGCBV73 BARRICK GOLD CORP COMMON STOCK 067901108 6440.00000000 NS 115606.60000000 0.006097290469 Long EC CA N 1 N N N BHP GROUP PLC 549300C116EOWV835768 BHP GROUP PLC COMMON STOCK N/A 25590.00000000 NS 545082.64000000 0.028748593816 Long EC GB N 1 N N N PT Bank Pembangunan Daerah Jawa Timur Tbk 529900DGM06AC0584V78 BPD JAWA TIMUR TBK PT COMMON STOCK N/A 467000.00000000 NS 20890.81000000 0.001101817168 Long EC ID N 1 N N N CORPORATION CAMECO N4BHALMXL3GMZKCUON55 CAMECO CORP COMMON STOCK 13321L108 9800.00000000 NS 93055.06000000 0.004907883550 Long EC CA N 1 N N N NATIONAL AUSTRALIA BANK LIMITED F8SB4JFBSYQFRQEH3Z21 NATIONAL AUSTRALIA BANK LTD COMMON STOCK N/A 72549.00000000 NS 1454319.55000000 0.076703308735 Long EC AU N 1 N N N CARNIVAL PLC 4DR1VPDQMHD3N3QW8W95 CARNIVAL PLC COMMON STOCK N/A 71330.00000000 NS 2955602.41000000 0.155883543032 Long EC GB N 1 N N N BRITISH AMERICAN TOBACCO P.L.C. 213800FKA5MF17RJKT63 BRITISH AMERICAN TOBACCO PLC COMMON STOCK N/A 6098.00000000 NS 225495.01000000 0.011892993785 Long EC GB N 1 N N N Nissan Chemical Corporation 3538002E4L1CUGJFFU25 NISSAN CHEMICAL CORP COMMON STOCK N/A 3200.00000000 NS 133031.21000000 0.007016294302 Long EC JP N 1 N N N Hana Financial Group Inc. N/A HANA FINANCIAL GROUP COMMON STOCK N/A 21439.00000000 NS 631797.64000000 0.033322091722 Long EC KR N 1 N N N AMBEV S.A. 549300TH5Q6VRP8OT012 AMBEV SA-ADR DEPOSITARY RECEIPT 02319V103 429850.00000000 NS USD 1985907.00000000 0.104740143073 Long EC BR N 1 N N N GS Engineering & Construction Corp 988400BQ69DJXXFA0D28 GS ENGINEERING & CONSTRUCT COMMON STOCK N/A 16789.00000000 NS 463183.55000000 0.024429095268 Long EC KR N 1 N N N EUROMONEY INSTITUTIONAL INVESTOR PLC 213800PZU2RGHMHE2S67 EUROMONEY INSTL INVESTOR PLC COMMON STOCK N/A 7500.00000000 NS 136479.33000000 0.007198154068 Long EC GB N 1 N N N MERIDIAN ENERGY LIMITED N/A MERIDIAN ENERGY LTD COMMON STOCK N/A 32722.00000000 NS 106550.94000000 0.005619679421 Long EC NZ N 1 N N N Restaurant Brands International Inc. 5299009RXTX9DN9AKJ98 RESTAURANT BRANDS INTERN COMMON STOCK 76131D103 6200.00000000 NS 440834.81000000 0.023250384369 Long EC CA N 1 N N N DRB-HICOM BERHAD N/A DRB-HICOM BHD COMMON STOCK N/A 116000.00000000 NS 65660.38000000 0.003463041116 Long EC MY N 1 N N N MERLIN ENTERTAINMENTS PLC 549300ZTI0VEFO6WV007 MERLIN ENTERTAINMENT COMMON STOCK N/A 332191.00000000 NS 1847797.37000000 0.097456004186 Long EC GB N 1 N N N ASSA ABLOY AB 549300YECS8HKCIMMB67 ASSA ABLOY AB-B COMMON STOCK N/A 112074.00000000 NS 2494442.17000000 0.131561160605 Long EC SE N 1 N N N Concordia Financial Group, Ltd. N/A CONCORDIA FINANCIAL GROUP LT COMMON STOCK N/A 27300.00000000 NS 104529.02000000 0.005513039890 Long EC JP N 1 N N N Franco-Nevada Corporation N/A FRANCO-NEVADA CORP COMMON STOCK 351858105 4900.00000000 NS 446486.77000000 0.023548478438 Long EC CA N 1 N N N NEOWIZ N/A NEOWIZ COMMON STOCK N/A 20154.00000000 NS 260317.94000000 0.013729614871 Long EC KR N 1 N N N COCA-COLA EUROPEAN PARTNERS PLC 549300LTH67W4GWMRF57 COCA-COLA EUROPEAN PARTNERS COMMON STOCK G25839104 4100.00000000 NS USD 227345.00000000 0.011990565432 Long EC GB N 1 N N N WIPRO LIMITED 335800IFS1IJHESG8362 WIPRO LTD COMMON STOCK N/A 551567.00000000 NS 1866346.92000000 0.098434339284 Long EC IN N 1 N N N AU Optronics Corp. 391200L7PIS4QXYJUQ72 AU OPTRONICS CORP-SPON ADR DEPOSITARY RECEIPT 002255107 590986.00000000 NS USD 1453825.56000000 0.076677254855 Long EC TW N 1 N N N Murata Manufacturing Co., Ltd. 529900QZG6DL8ZRI7140 MURATA MANUFACTURING CO LTD COMMON STOCK N/A 14900.00000000 NS 714510.98000000 0.037684535213 Long EC JP N 1 N N N CJ Hello Co., Ltd. N/A CJ HELLO CO LTD COMMON STOCK N/A 45601.00000000 NS 238269.66000000 0.012566750748 Long EC KR N 1 N N N XIWANG SPECIAL STEEL COMPANY LIMITED 5299004ZGJ44MCTNUB95 XIWANG SPECIAL STEEL CO LTD COMMON STOCK N/A 548000.00000000 NS 49642.11000000 0.002618210069 Long EC HK N 1 N N N KEYENCE CORPORATION 529900M7PQBS7A89DZ11 KEYENCE CORP COMMON STOCK N/A 2400.00000000 NS 1484947.98000000 0.078318704693 Long EC JP N 1 N N N Kakaku.com Inc N/A KAKAKU.COM INC COMMON STOCK N/A 3600.00000000 NS 88497.57000000 0.004667513707 Long EC JP N 1 N N N SANOFI SA 549300E9PC51EN656011 SANOFI COMMON STOCK N/A 29288.00000000 NS 2715333.78000000 0.143211363175 Long EC FR N 1 N N N SERCO GROUP PLC 549300PT2CIHYN5GWJ21 SERCO GROUP PLC COMMON STOCK N/A 499313.00000000 NS 915979.15000000 0.048310312226 Long EC GB N 1 N N N TC Energy Corporation 549300UGKOFV2IWJJG27 TC ENERGY CORP COMMON STOCK 87807B107 21206.00000000 NS 1098034.95000000 0.057912247533 Long EC CA N 1 N N N Chocoladefabriken Lindt & Spruengli AG 529900JYJNNOKKAGK736 CHOCOLADEFABRIKEN LINDT-PC COMMON STOCK N/A 28.00000000 NS 206763.19000000 0.010905045454 Long EC CH N 1 N N N Takeda Pharmaceutical Company Limited 549300ZLMVP4X0OGR454 TAKEDA PHARMACEUTICAL CO LTD COMMON STOCK N/A 38424.00000000 NS 1311302.29000000 0.069160333020 Long EC JP N 1 N N N Tohoku Electric Power Company, Incorporated 353800KTF7EYIIYHY088 TOHOKU ELECTRIC POWER CO INC COMMON STOCK N/A 10300.00000000 NS 100404.16000000 0.005295487695 Long EC JP N 1 N N N INFOSYS LIMITED 335800TYLGG93MM7PR89 INFOSYS LTD COMMON STOCK N/A 276815.00000000 NS 3146885.58000000 0.165972145667 Long EC IN N 1 N N N TELKOM SA SOC LIMITED N/A TELKOM SA SOC LTD COMMON STOCK N/A 202895.00000000 NS 945682.27000000 0.049876905747 Long EC ZA N 1 N N N Asahi Group Holdings, Ltd. 353800KAJ02XNHLCJW79 ASAHI GROUP HOLDINGS LTD COMMON STOCK N/A 9300.00000000 NS 460161.85000000 0.024269725624 Long EC JP N 1 N N N DASSAULT SYSTEMES SE 96950065LBWY0APQIM86 DASSAULT SYSTEMES SA COMMON STOCK N/A 11505.00000000 NS 1639594.48000000 0.086475026483 Long EC FR N 1 N N N JAPAN POST HOLDINGS Co.,Ltd. 5299003D9N4JBS256X18 JAPAN POST HOLDINGS CO LTD COMMON STOCK N/A 40500.00000000 NS 372693.64000000 0.019656502130 Long EC JP N 1 N N N NEW CHINA LIFE INSURANCE COMPANY LTD. 529900QCDGPLPB62KH67 NEW CHINA LIFE INSURANCE C-H COMMON STOCK N/A 115900.00000000 NS 458412.54000000 0.024177464013 Long EC CN N 1 N N N Hitachi Metals, Ltd. N/A HITACHI METALS LTD COMMON STOCK N/A 5300.00000000 NS 57154.22000000 0.003014411641 Long EC JP N 1 N N N EDENRED S.A. 9695006LOD5B2D7Y0N70 EDENRED COMMON STOCK N/A 6311.00000000 NS 302869.12000000 0.015973837124 Long EC FR N 1 N N N MGM China Holdings Limited 529900VZFN87OS7WJM66 MGM CHINA HOLDINGS LTD COMMON STOCK N/A 32400.00000000 NS 50515.84000000 0.002664292088 Long EC KY N 1 N N N Marubeni Corporation 4P4N3ORD02UGQT1T1W12 MARUBENI CORP COMMON STOCK N/A 39500.00000000 NS 262188.67000000 0.013828280381 Long EC JP N 1 N N N FUJIFILM Holdings Corporation 529900UBKMFM0ST6H474 FUJIFILM HOLDINGS CORP COMMON STOCK N/A 9200.00000000 NS 403310.98000000 0.021271313182 Long EC JP N 1 N N N NIPPON EXPRESS CO., LTD. 529900NTHOQWZAW95H82 NIPPON EXPRESS CO LTD COMMON STOCK N/A 1800.00000000 NS 91727.17000000 0.004837848353 Long EC JP N 1 N N N HISAMITSU PHARMACEUTICAL CO.,INC. 5299006QL3IBQ4CN7E12 HISAMITSU PHARMACEUTICAL CO COMMON STOCK N/A 1400.00000000 NS 61179.19000000 0.003226695466 Long EC JP N 1 N N N CHINA PACIFIC INSURANCE (GROUP) CO., LTD. 529900BA5ILEL308WX03 CHINA PACIFIC INSURANCE GR-H COMMON STOCK N/A 553000.00000000 NS 2032024.70000000 0.107172469711 Long EC CN N 1 N N N Daicel Corporation 353800ZG4XF6D7NZGS72 DAICEL CORP COMMON STOCK N/A 6500.00000000 NS 54885.55000000 0.002894758092 Long EC JP N 1 N N N M3 Inc N/A M3 INC COMMON STOCK N/A 11500.00000000 NS 276744.51000000 0.014595980361 Long EC JP N 1 N N N OBIC Co.,Ltd. N/A OBIC CO LTD COMMON STOCK N/A 1760.00000000 NS 200538.27000000 0.010576732491 Long EC JP N 1 N N N Heineken N.V. 724500K5PTPSST86UQ23 HEINEKEN NV COMMON STOCK N/A 6734.00000000 NS 727809.56000000 0.038385925143 Long EC NL N 1 N N N NEMAK, S.A.B. DE C.V. 5493000MY3DAIB0BP706 NEMAK SAB DE CV COMMON STOCK N/A 987217.00000000 NS 445233.17000000 0.023482361423 Long EC MX N 1 N N N STOCKLAND CORPORATION LTD N/A STOCKLAND REIT N/A 59707.00000000 NS 183361.69000000 0.009670810186 Long EC AU N 1 N N N ORANGE S.A. 969500MCOONR8990S771 ORANGE COMMON STOCK N/A 51383.00000000 NS 806193.43000000 0.042520024957 Long EC FR N 1 N N N OSAKA GAS CO., LTD. 353800024KMNOPQRWZ02 OSAKA GAS CO LTD COMMON STOCK N/A 10200.00000000 NS 194990.98000000 0.010284158897 Long EC JP N 1 N N N Resona Holdings, Inc. 52990067JE75XZCYYT81 RESONA HOLDINGS INC COMMON STOCK N/A 302400.00000000 NS 1294901.27000000 0.068295315080 Long EC JP N 1 N N N THE BANK OF NOVA SCOTIA L3I9ZG2KFGXZ61BMYR72 BANK OF NOVA SCOTIA COMMON STOCK 064149107 46599.00000000 NS 2646771.14000000 0.139595251885 Long EC CA N 1 N N N NATIONAL EXPRESS GROUP PLC 213800A8IQEMY8PA5X34 NATIONAL EXPRESS GROUP PLC COMMON STOCK N/A 42570.00000000 NS 226639.41000000 0.011953351405 Long EC GB N 1 N N N CITIC Limited 2549006I3Q3M98KHOT11 CITIC LTD COMMON STOCK N/A 383000.00000000 NS 483777.13000000 0.025515236016 Long EC HK N 1 N N N ZHONGSHENG GROUP HOLDINGS LIMITED 3003005VYMEBAJNJ2Y26 ZHONGSHENG GROUP HOLDINGS COMMON STOCK N/A 56500.00000000 NS 178416.50000000 0.009409992379 Long EC KY N 1 N N N ArcelorMittal S.A. 2EULGUTUI56JI9SAL165 ARCELORMITTAL COMMON STOCK N/A 32968.00000000 NS 463759.04000000 0.024459447598 Long EC LU N 1 N N N CALTEX AUSTRALIA LIMITED 5493009TD1CGVRZ27U11 CALTEX AUSTRALIA LTD COMMON STOCK N/A 16061.00000000 NS 285318.83000000 0.015048204712 Long EC AU N 1 N N N RICOH COMPANY,LTD. 549300HFIB2GRUMDID72 RICOH CO LTD COMMON STOCK N/A 17300.00000000 NS 155680.00000000 0.008210830352 Long EC JP N 1 N N N TINGYI (CAYMAN ISLANDS) HOLDING CORP. 5299009MPI9B60VN4P25 TINGYI (CAYMAN ISLN) HLDG CO COMMON STOCK N/A 749014.00000000 NS 1055043.52000000 0.055644805740 Long EC KY N 1 N N N Sekisui House,Ltd. 529900GMNDOYQSAJAE76 SEKISUI HOUSE LTD COMMON STOCK N/A 16600.00000000 NS 326242.77000000 0.017206603535 Long EC JP N 1 N N N SONY CORPORATION 529900R5WX9N2OI2N910 SONY CORP COMMON STOCK N/A 33100.00000000 NS 1942989.13000000 0.102476580961 Long EC JP N 1 N N N ASAHI INTECC CO., LTD. N/A ASAHI INTECC CO LTD COMMON STOCK N/A 4600.00000000 NS 120695.49000000 0.006365687260 Long EC JP N 1 N N N KIKKOMAN CORPORATION 529900T9K5UH9HXOND47 KIKKOMAN CORP COMMON STOCK N/A 3900.00000000 NS 186117.92000000 0.009816178486 Long EC JP N 1 N N N BAE SYSTEMS PLC 8SVCSVKSGDWMW2QHOH83 BAE SYSTEMS PLC COMMON STOCK N/A 84265.00000000 NS 590562.64000000 0.031147287062 Long EC GB N 1 N N N CARLSBERG A/S 5299001O0WJQYB5GYZ19 CARLSBERG AS-B COMMON STOCK N/A 7372.00000000 NS 1089664.89000000 0.057470796205 Long EC DK N 1 N N N BANCO SANTANDER, S.A. 5493006QMFDDMYWIAM13 BANCO SANTANDER SA COMMON STOCK N/A 438246.00000000 NS 1784806.24000000 0.094133743894 Long EC ES N 1 N N N Sika AG 549300R3N69ECGYPU434 SIKA AG-REG COMMON STOCK N/A 17366.00000000 NS 2540389.76000000 0.133984515350 Long EC CH N 1 N N N SOUTH32 LIMITED 213800LAZNPXSBKVHR17 SOUTH32 LTD COMMON STOCK N/A 133863.00000000 NS 236719.38000000 0.012484986320 Long EC AU N 1 N N N THOMSON REUTERS CORPORATION 549300561UZND4C7B569 THOMSON REUTERS CORP COMMON STOCK 884903709 5140.00000000 NS 343546.06000000 0.018119208742 Long EC CA N 1 N N N Daimler AG 529900R27DL06UVNT076 DAIMLER AG-REGISTERED SHARES COMMON STOCK N/A 23493.00000000 NS 1168158.81000000 0.061610700245 Long EC DE N 1 N N N DANSKE BANK A/S MAES062Z21O4RZ2U7M96 DANSKE BANK A/S COMMON STOCK N/A 9360.00000000 NS 130330.41000000 0.006873849475 Long EC DK N 1 N N N SUZUKI MOTOR CORPORATION 353800D83H0V3ZV1SV24 SUZUKI MOTOR CORP COMMON STOCK N/A 9300.00000000 NS 394535.03000000 0.020808454519 Long EC JP N 1 N N N COMPAGNIE PETROLIERE IMPERIALE LTEE 549300MO45LTBPAU4Z27 IMPERIAL OIL LTD COMMON STOCK 453038408 7300.00000000 NS 190096.99000000 0.010026041466 Long EC CA N 1 N N N McCarthy & Stone PLC 213800CEJ4OQ5YPU8Z37 MCCARTHY & STONE PLC COMMON STOCK N/A 82718.00000000 NS 147574.50000000 0.007783332373 Long EC GB N 1 N N N UNICREDIT, SOCIETA PER AZIONI 549300TRUWO2CD2G5692 UNICREDIT SPA COMMON STOCK N/A 74486.00000000 NS 878435.83000000 0.046330213104 Long EC IT N 1 N N N Companhia de Saneamento do Parana - Sanepar N/A CIA DE SANEAMENTO DO PA-UNIT UNIT N/A 6100.00000000 NS 124350.47000000 0.006558457178 Long EC BR N 1 N N N LEGAL & GENERAL GROUP PLC 213800JH9QQWHLO99821 LEGAL & GENERAL GROUP PLC COMMON STOCK N/A 157321.00000000 NS 480487.59000000 0.025341740032 Long EC GB N 1 N N N CHINA SCE GROUP HOLDINGS LIMITED 549300Q8UEI2ERAP6P49 CHINA SCE GROUP HOLDINGS LTD COMMON STOCK N/A 434000.00000000 NS 199897.93000000 0.010542959860 Long EC KY N 1 N N N GRINDROD LIMITED N/A GRINDROD LTD COMMON STOCK N/A 1060062.00000000 NS 314973.85000000 0.016612261356 Long EC ZA N 1 N N N Lundin Petroleum AB 549300IULC8F8IGXKI15 LUNDIN PETROLEUM AB COMMON STOCK N/A 4862.00000000 NS 145849.38000000 0.007692346584 Long EC SE N 1 N N N MARUI GROUP CO.,LTD. 52990081ZYFHQZEEMU57 MARUI GROUP CO LTD COMMON STOCK N/A 4900.00000000 NS 103415.49000000 0.005454310407 Long EC JP N 1 N N N TOHO CO., LTD. 529900IYHHYWU4O3H185 TOHO CO LTD COMMON STOCK N/A 3500.00000000 NS 153271.68000000 0.008083811423 Long EC JP N 1 N N N Lawson, Inc. 529900IWO8XQO92PR233 LAWSON INC COMMON STOCK N/A 1100.00000000 NS 56258.96000000 0.002967194092 Long EC JP N 1 N N N TATA CONSULTANCY SERVICES LIMITED 335800ZJKU9GPQRE2U66 TATA CONSULTANCY SVCS LTD COMMON STOCK Y85279100 163426.00000000 NS 4841061.25000000 0.255325877774 Long EC IN N 1 N N N UNITED MICROELECTRONICS CORP. 391200YJCAGH9LF96P73 UNITED MICROELECTRON-SP ADR DEPOSITARY RECEIPT 910873405 498001.00000000 NS USD 1040822.09000000 0.054894743117 Long EC TW N 1 N N N SHANGRI-LA ASIA LIMITED 529900FVJ8C1OTM8OL03 SHANGRI-LA ASIA LTD COMMON STOCK N/A 34000.00000000 NS 34704.06000000 0.001830351677 Long EC BM N 1 N N N Schindler Holding AG 5299007DRLI319H7Q933 SCHINDLER HOLDING-PART CERT COMMON STOCK N/A 1038.00000000 NS 232134.26000000 0.012243159223 Long EC CH N 1 N N N Sumitomo Mitsui Trust Holdings, Inc. 353800P843RLCDBLNT17 SUMITOMO MITSUI TRUST HOLDIN COMMON STOCK N/A 8900.00000000 NS 320688.09000000 0.016913640179 Long EC JP N 1 N N N WHARF REAL ESTATE INVESTMENT COMPANY LIMITED 529900QLPKS8U9QOPB59 WHARF REAL ESTATE INVESTMENT COMMON STOCK N/A 31000.00000000 NS 169284.36000000 0.008928347644 Long EC KY N 1 N N N Raiffeisen Bank International AG 9ZHRYM6F437SQJ6OUG95 RAIFFEISEN BANK INTERNATIONA COMMON STOCK N/A 4038.00000000 NS 93702.27000000 0.004942018516 Long EC AT N 1 N N N Investor Aktiebolag 549300VEBQPHRZBKUX38 INVESTOR AB-B SHS COMMON STOCK N/A 11986.00000000 NS 585781.73000000 0.030895133664 Long EC SE N 1 N N N ANHUI CONCH CEMENT COMPANY LIMITED 529900HS6X8TTV0FHV63 ANHUI CONCH CEMENT CO LTD-H COMMON STOCK N/A 349780.00000000 NS 2077428.20000000 0.109567128215 Long EC CN N 1 N N N SHENZHOU INTERNATIONAL GROUP HOLDINGS LIMITED 529900B4W41TCUKJFM73 SHENZHOU INTERNATIONAL GROUP COMMON STOCK N/A 213000.00000000 NS 2782857.22000000 0.146772665274 Long EC KY N 1 N N N BANQUE CANADIENNE IMPERIALE DE COMMERCE 2IGI19DL77OX0HC3ZE78 CAN IMPERIAL BK OF COMMERCE COMMON STOCK 136069101 11600.00000000 NS 957086.46000000 0.050478382298 Long EC CA N 1 N N N NISSAN MOTOR CO.,LTD. 353800DRBDH1LUTNAY26 NISSAN MOTOR CO LTD COMMON STOCK N/A 59700.00000000 NS 372196.72000000 0.019630293716 Long EC JP N 1 N N N BURBERRY GROUP PLC 213800PE1KEFCNFR1R50 BURBERRY GROUP PLC COMMON STOCK N/A 10870.00000000 NS 290558.09000000 0.015324532275 Long EC GB N 1 N N N IMI PLC 2138002W9Q21PF751R30 IMI PLC COMMON STOCK N/A 206450.00000000 NS 2437364.47000000 0.128550784760 Long EC GB N 1 N N N Deutsche Boerse Aktiengesellschaft 529900G3SW56SHYNPR95 DEUTSCHE BOERSE AG COMMON STOCK N/A 22658.00000000 NS 3541431.55000000 0.186781177181 Long EC DE N 1 N N N Airbus SE MINO79WLOO247M1IL051 AIRBUS SE COMMON STOCK N/A 12106.00000000 NS 1572841.84000000 0.082954377699 Long EC NL N 1 N N N ESSILORLUXOTTICA SA 549300M3VH1A3ER1TB49 ESSILORLUXOTTICA COMMON STOCK N/A 13161.00000000 NS 1897110.80000000 0.100056879107 Long EC FR N 1 N N N FOURLIS S.A. 213800V54ASIMZREDX49 FOURLIS SA COMMON STOCK N/A 71545.00000000 NS 429673.94000000 0.022661740932 Long EC GR N 1 N N N AMCOR PLC 549300GSODGFCDQ3DI89 AMCOR PLC-CDI DEPOSITARY RECEIPT N/A 136466.00000000 NS 1312536.19000000 0.069225411023 Long EC JE N 1 N N N L'AIR LIQUIDE SOCIETE ANONYME POUR L'ETUDE ET L'EXPLOITATION DES PROCEDES GEORGES CLAUDE SA 969500MMPQVHK671GT54 AIR LIQUIDE SA COMMON STOCK N/A 64419.00000000 NS 9169914.44000000 0.483637023495 Long EC FR N 1 N N N XINYI GLASS HOLDINGS LIMITED 52990082YXVVZFK1QJ17 XINYI GLASS HOLDINGS LTD COMMON STOCK N/A 1670000.00000000 NS 1838817.51000000 0.096982390959 Long EC KY N 1 N N N Canopy Growth Corporation 529900CSD7NH1UBC9X07 CANOPY GROWTH CORP COMMON STOCK 138035100 5700.00000000 NS 130577.05000000 0.006886857692 Long EC CA N 1 N N N TESCO PLC 2138002P5RNKC5W2JZ46 TESCO PLC COMMON STOCK N/A 232094.00000000 NS 687740.89000000 0.036272634728 Long EC GB N 1 N N N FUJI ELECTRIC CO., LTD. 5299000HVNGZZTYYM906 FUJI ELECTRIC CO LTD COMMON STOCK N/A 3100.00000000 NS 94756.07000000 0.004997597736 Long EC JP N 1 N N N CROWN RESORTS LIMITED 549300D88XW2GD6R0Y98 CROWN RESORTS LTD COMMON STOCK N/A 8200.00000000 NS 66691.86000000 0.003517443142 Long EC AU N 1 N N N Nabtesco Corporation 529900DVHQXYRTGW7739 NABTESCO CORP COMMON STOCK N/A 2800.00000000 NS 86621.97000000 0.004568591344 Long EC JP N 1 N N N MISC BERHAD N/A MISC BHD COMMON STOCK N/A 71900.00000000 NS 133943.16000000 0.007064392110 Long EC MY N 1 N N N Hitachi, Ltd. 549300T6IPOCDWLKC615 HITACHI LTD COMMON STOCK N/A 24900.00000000 NS 926452.72000000 0.048862706281 Long EC JP N 1 N N N YARA INTERNATIONAL ASA 213800WKOUWXWFJ5Z514 YARA INTERNATIONAL ASA COMMON STOCK N/A 4769.00000000 NS 205382.07000000 0.010832202815 Long EC NO N 1 N N N SANKYO CO., LTD. 3538009H2R9ZBZAOAK48 SANKYO CO LTD COMMON STOCK N/A 1300.00000000 NS 44665.90000000 0.002355756214 Long EC JP N 1 N N N New World Development Company Limited 2549008GWMWXTIRL4S48 NEW WORLD DEVELOPMENT COMMON STOCK N/A 21623.00000000 NS 28085.04000000 0.001481253204 Long EC HK N 1 N N N SATS LTD. 529900SEP1R0K8049D51 SATS LTD COMMON STOCK N/A 20400.00000000 NS 71436.53000000 0.003767685180 Long EC SG N 1 N N N THE BANK OF NOVA SCOTIA L3I9ZG2KFGXZ61BMYR72 BANK OF NOVA SCOTIA COMMON STOCK 064149107 31900.00000000 NS 1811884.36000000 0.095561890410 Long EC CA N 1 N N N Epiroc Aktiebolag 5493004Q73OEYW1SPE91 EPIROC AB-B COMMON STOCK N/A 10544.00000000 NS 108931.26000000 0.005745221582 Long EC SE N 1 N N N THOMAS COOK GROUP PLC N/A THOMAS COOK GROUP PLC COMMON STOCK N/A 693862.00000000 NS 0.00000000 0.000000 Long EC GB N 2 N N N EASYJET PLC 2138001S47XKWIB7TH90 EASYJET PLC COMMON STOCK N/A 3477.00000000 NS 49163.91000000 0.002592988980 Long EC GB N 1 N N N NMC HEALTH PLC 2138008YQEVWBE1V2M52 NMC HEALTH PLC COMMON STOCK N/A 2122.00000000 NS 70706.37000000 0.003729175288 Long EC GB N 1 N N N Seven & i Holdings Co., Ltd. 52990037G8JRM3TWGY86 SEVEN & I HOLDINGS CO LTD COMMON STOCK N/A 36200.00000000 NS 1383384.05000000 0.072962048737 Long EC JP N 1 N N N CANON INC. 529900JH1GSC035SSP77 CANON INC COMMON STOCK N/A 145100.00000000 NS 3868215.03000000 0.204016298689 Long EC JP N 1 N N N OIL SEARCH LIMITED 529900NIUGGGKB5VMO41 OIL SEARCH LTD COMMON STOCK N/A 281182.00000000 NS 1389218.50000000 0.073269767643 Long EC PG N 1 N N N THE BIDVEST GROUP LIMITED 5299002ARE4TRMIRGM72 BIDVEST GROUP LTD COMMON STOCK N/A 140532.00000000 NS 1770545.46000000 0.093381605885 Long EC ZA N 1 N N N ENI S.P.A. BUCRF72VH5RBN7X3VL35 ENI SPA COMMON STOCK N/A 198517.00000000 NS 3036598.01000000 0.160155389967 Long EC IT N 1 N N N SGS SA 2138007JNS19JHNA2336 SGS SA-REG COMMON STOCK N/A 140.00000000 NS 347036.72000000 0.018303312141 Long EC CH N 1 N N N Sampo Oyj 743700UF3RL386WIDA22 SAMPO OYJ-A SHS COMMON STOCK N/A 47148.00000000 NS 1874676.05000000 0.098873631894 Long EC FI N 1 N N N Covestro AG 3912005AWHKLQ1CPLV11 COVESTRO AG COMMON STOCK N/A 4660.00000000 NS 230595.01000000 0.012161976537 Long EC DE N 1 N N N STMicroelectronics N.V. 213800Z8NOHIKRI42W10 STMICROELECTRONICS NV COMMON STOCK N/A 17206.00000000 NS 332503.93000000 0.017536827857 Long EC NL N 1 N N N NINE ENTERTAINMENT CO. HOLDINGS LIMITED 529900WLXD3X7TFOAI42 NINE ENTERTAINMENT CO HOLDIN COMMON STOCK N/A 342518.00000000 NS 451962.21000000 0.023837262540 Long EC AU N 1 N N N KERING S.A. 549300VGEJKB7SVUZR78 KERING COMMON STOCK N/A 1982.00000000 NS 1010042.94000000 0.053271397928 Long EC FR N 1 N N N BARCLAYS PLC 213800LBQA1Y9L22JB70 BARCLAYS PLC COMMON STOCK N/A 444403.00000000 NS 821804.86000000 0.043343398565 Long EC GB N 1 N N N SEVERN TRENT PLC 213800RPBXRETY4A4C59 SEVERN TRENT PLC COMMON STOCK N/A 6149.00000000 NS 163684.02000000 0.008632976102 Long EC GB N 1 N N N NITTO DENKO CORPORATION 3538009GX5P09USH2J25 NITTO DENKO CORP COMMON STOCK N/A 77200.00000000 NS 3715595.84000000 0.195966900708 Long EC JP N 1 N N N TOHO GAS CO., LTD. 353800BCVTE4F8012906 TOHO GAS CO LTD COMMON STOCK N/A 1900.00000000 NS 72573.41000000 0.003827646182 Long EC JP N 1 N N N JARDINE MATHESON HOLDINGS LIMITED 2138009KENVUNWOLPK41 JARDINE MATHESON HLDGS LTD COMMON STOCK N/A 105600.00000000 NS USD 5649600.00000000 0.297969598933 Long EC BM N 1 N N N CK HUTCHISON HOLDINGS LIMITED 254900Z8HM1VEPOQ2G79 CK HUTCHISON HOLDINGS LTD COMMON STOCK N/A 70832.00000000 NS 625384.28000000 0.032983840110 Long EC KY N 1 N N N ROYAL DUTCH SHELL PLC 21380068P1DRHMJ8KU70 ROYAL DUTCH SHELL PLC-B SHS COMMON STOCK N/A 244900.00000000 NS 7214720.09000000 0.380516718287 Long EC GB N 1 N N N Swiss Re AG 529900PS9YW3YY29F326 SWISS RE AG COMMON STOCK N/A 7850.00000000 NS 818781.62000000 0.043183947699 Long EC CH N 1 N N N RTL Group S.A. 5493000C8J3C3SZYS040 RTL GROUP COMMON STOCK N/A 927.00000000 NS 44578.29000000 0.002351135512 Long EC LU N 1 N N N DCC PUBLIC LIMITED COMPANY 213800UPS1QEE4TD3T45 DCC PLC COMMON STOCK N/A 2463.00000000 NS 214892.82000000 0.011333816091 Long EC IE N 1 N N N AUTO TRADER GROUP PLC 213800QLK9BZILB1DI86 AUTO TRADER GROUP PLC COMMON STOCK N/A 100740.00000000 NS 631707.47000000 0.033317336002 Long EC GB N 1 N N N MEDIPAL HOLDINGS CORPORATION 353800PJDODZEA4NP730 MEDIPAL HOLDINGS CORP COMMON STOCK N/A 4600.00000000 NS 102359.31000000 0.005398605661 Long EC JP N 1 N N N Telefonaktiebolaget LM Ericsson 549300W9JLPW15XIFM52 ERICSSON LM-B SHS COMMON STOCK N/A 80704.00000000 NS 644874.48000000 0.034011786704 Long EC SE N 1 N N N TEMENOS AG 5067007NW6550481FH64 TEMENOS AG - REG COMMON STOCK N/A 1687.00000000 NS 282279.44000000 0.014887902068 Long EC CH N 1 N N N N/A N/A STATE STREET INSTITUTIONAL TREASURY MONEY MARKET FUND 857492888 23773.51000000 PA USD 23773.51000000 0.001253855713 Long STIV XX N 2 N N N KUBOTA CORPORATION 549300CSY4INHEHQQT13 KUBOTA CORP COMMON STOCK N/A 280400.00000000 NS 4238740.35000000 0.223558439902 Long EC JP N 1 N N N MERIDA INDUSTRY CO., LTD. N/A MERIDA INDUSTRY CO LTD COMMON STOCK N/A 66428.00000000 NS 378537.80000000 0.019964733157 Long EC TW N 2 N N N CANON INC. 529900JH1GSC035SSP77 CANON INC COMMON STOCK N/A 25800.00000000 NS 687801.16000000 0.036275813471 Long EC JP N 1 N N N Industria de Diseno Textil, S.A. 549300TTCXZOGZM2EY83 INDUSTRIA DE DISENO TEXTIL COMMON STOCK E6282N100 28057.00000000 NS 868495.75000000 0.045805956227 Long EC ES N 1 N N N RELX PLC 549300WSX3VBUFFJOO66 RELX PLC COMMON STOCK N/A 174759.00000000 NS 4158162.09000000 0.219308604194 Long EC GB N 1 N N N BRITISH AMERICAN TOBACCO P.L.C. 213800FKA5MF17RJKT63 BRITISH AMERICAN TOBACCO PLC COMMON STOCK N/A 59763.00000000 NS 2209947.29000000 0.116556412430 Long EC GB N 1 N N N HK ELECTRIC INVESTMENTS LIMITED 5299006PUX29DFJ1DE03 HK ELECTRIC INVESTMENTS -SS UNIT N/A 67158.00000000 NS 64007.33000000 0.003375856423 Long EC KY N 1 N N N CREDIT AGRICOLE SA 969500TJ5KRTCJQWXH05 CREDIT AGRICOLE SA COMMON STOCK N/A 30101.00000000 NS 365488.94000000 0.019276513888 Long EC FR N 1 N N N STANDARD CHARTERED PLC U4LOSYZ7YG4W3S5F2G91 STANDARD CHARTERED PLC COMMON STOCK N/A 147435.00000000 NS 1240302.31000000 0.065415672236 Long EC GB N 1 N N N L'AIR LIQUIDE SOCIETE ANONYME POUR L'ETUDE ET L'EXPLOITATION DES PROCEDES GEORGES CLAUDE SA 969500MMPQVHK671GT54 AIR LIQUIDE SA COMMON STOCK N/A 54749.00000000 NS 7793409.48000000 0.411037789769 Long EC FR N 1 N N N H & M Hennes & Mauritz AB 529900O5RR7R39FRDM42 HENNES & MAURITZ AB-B SHS COMMON STOCK N/A 20629.00000000 NS 399920.60000000 0.021092498723 Long EC SE N 1 N N N COMPAGNIE FINANCIERE RICHEMONT SA 549300YIPGJ6UX2QPS51 FINANCIERE RICHEMONT-DEP REC DEPOSITARY RECEIPT N/A 74996.00000000 NS 553024.32000000 0.029167451648 Long EC CH N 1 N N N PT Perusahaan Gas Negara Tbk 549300OX1VFDX7ZPN240 PERUSAHAAN GAS NEGARA TBK PT COMMON STOCK N/A 1639600.00000000 NS 242561.47000000 0.012793108172 Long EC ID N 1 N N N L'AIR LIQUIDE SOCIETE ANONYME POUR L'ETUDE ET L'EXPLOITATION DES PROCEDES GEORGES CLAUDE SA 969500MMPQVHK671GT54 AIR LIQUIDE SA COMMON STOCK N/A 11080.00000000 NS 1577215.60000000 0.083185057307 Long EC FR N 1 N N N The Swatch Group AG 529900NTES2LEON1JZ55 SWATCH GROUP AG/THE-BR COMMON STOCK N/A 747.00000000 NS 198266.92000000 0.010456937594 Long EC CH N 1 N N N BRIGHTOIL PETROLEUM (HOLDINGS) LIMITED 2549005WGFMWUP2R7X75 BRIGHTOIL PETROLEUM HOLDINGS Common Stock N/A 155000.00000000 NS 7416.08000000 0.000391136785 Long EC BM N 2 N N N West Japan Railway Company N/A WEST JAPAN RAILWAY CO COMMON STOCK N/A 15800.00000000 NS 1334287.17000000 0.070372595034 Long EC JP N 1 N N N New World Development Company Limited 2549008GWMWXTIRL4S48 NEW WORLD DEVELOPMENT COMMON STOCK N/A 155836.00000000 NS 202407.66000000 0.010675327327 Long EC HK N 1 N N N JCDECAUX SA 9695009KV7AFPDEI5S30 JCDECAUX SA COMMON STOCK N/A 1842.00000000 NS 49871.15000000 0.002630290031 Long EC FR N 1 N N N EMIRATES NBD BANK (P.J.S.C) 54930029BCN8HF3B1286 EMIRATES NBD PJSC COMMON STOCK N/A 10430.00000000 NS 36771.84000000 0.001939409943 Long EC AE N 1 N N N WOOLWORTHS GROUP LIMITED QNWEWQBS7HP85QHXQL92 WOOLWORTHS GROUP LTD COMMON STOCK N/A 32634.00000000 NS 821141.83000000 0.043308429225 Long EC AU N 1 N N N HYUNDAI GLOVIS Co., LTD. 988400U6RDXNJ5ZRN304 HYUNDAI GLOVIS CO LTD COMMON STOCK N/A 2881.00000000 NS 375735.48000000 0.019816933991 Long EC KR N 1 N N N MINES AGNICO EAGLE LIMITEE YGE0EUBRF7IJOB3QRX76 AGNICO EAGLE MINES LTD COMMON STOCK 008474108 5912.96000000 NS 316881.28000000 0.016712862487 Long EC CA N 1 N N N GN STORE NORD A/S 5493008U3H3W0NKPFL10 GN STORE NORD A/S COMMON STOCK N/A 37719.00000000 NS 1531347.51000000 0.080765895529 Long EC DK N 1 N N N GRUPO LALA, S.A.B. DE C.V. 4469000001BR12ARD937 GRUPO LALA SAB DE CV COMMON STOCK N/A 648355.00000000 NS 740873.89000000 0.039074960327 Long EC MX N 1 N N N Asahi Group Holdings, Ltd. 353800KAJ02XNHLCJW79 ASAHI GROUP HOLDINGS LTD COMMON STOCK N/A 5200.00000000 NS 257294.80000000 0.013570169279 Long EC JP N 1 N N N WIX.COM LTD 5493008P6N29Q1AG9464 WIX.COM LTD COMMON STOCK M98068105 1200.00000000 NS USD 140088.00000000 0.007388481516 Long EC IL N 1 N N N POSTE ITALIANE - SOCIETA PER AZIONI 815600354DEDBD0BA991 POSTE ITALIANE SPA COMMON STOCK N/A 13080.00000000 NS 148696.31000000 0.007842498558 Long EC IT N 1 N N N BEC World Public Company Limited N/A BEC WORLD PCL-FOREIGN COMMON STOCK N/A 617700.00000000 NS 149451.69000000 0.007882338595 Long EC TH N 1 N N N ArcelorMittal S.A. 2EULGUTUI56JI9SAL165 ARCELORMITTAL COMMON STOCK N/A 16679.00000000 NS 234622.57000000 0.012374396963 Long EC LU N 1 N N N Grupo Financiero Banorte, S.A.B. de C.V. N/A GRUPO FINANCIERO BANORTE-O COMMON STOCK N/A 8924.00000000 NS 48097.53000000 0.002536746269 Long EC MX N 1 N N N MOTOR OIL (HELLAS) CORINTH REFINERIES S.A. 213800U3Y9UL7Y4QVM11 MOTOR OIL (HELLAS) SA COMMON STOCK N/A 58239.00000000 NS 1359695.01000000 0.071712648116 Long EC GR N 1 N N N ROLLS-ROYCE HOLDINGS PLC 213800EC7997ZBLZJH69 ROLLS-ROYCE HOLDINGS PLC COMMON STOCK N/A 110941.00000000 NS 1080887.34000000 0.057007853156 Long EC GB N 1 N N N ROHM COMPANY LIMITED 5493009V2FGDEP7JFE59 ROHM CO LTD COMMON STOCK N/A 4500.00000000 NS 343352.60000000 0.018109005330 Long EC JP N 1 N N N ALIBABA GROUP HOLDING LIMITED 5493001NTNQJDH60PM02 ALIBABA GROUP HOLDING-SP ADR DEPOSITARY RECEIPT 01609W102 58425.00000000 NS USD 9770412.75000000 0.515308334843 Long EC KY N 1 N N N PRYSMIAN S.P.A. 529900X0H1IO3RS1A464 PRYSMIAN SPA COMMON STOCK N/A 5988.00000000 NS 128574.89000000 0.006781260338 Long EC IT N 1 N N N CCL INDUSTRIES INC. 549300TD3EMSRRC0YH75 CCL INDUSTRIES INC - CL B COMMON STOCK 124900309 3800.00000000 NS 153279.24000000 0.008084210150 Long EC CA N 1 N N N J SAINSBURY PLC 213800VGZAAJIKJ9Y484 SAINSBURY (J) PLC COMMON STOCK N/A 41496.00000000 NS 112144.46000000 0.005914691264 Long EC GB N 1 N N N Andritz AG 549300VZKC61IR5U8G96 ANDRITZ AG COMMON STOCK N/A 6464.00000000 NS 264204.82000000 0.013934615592 Long EC AT N 1 N N N ITOCHU Techno-Solutions Corporation N/A ITOCHU TECHNO-SOLUTIONS CORP COMMON STOCK N/A 5900.00000000 NS 156169.25000000 0.008236634237 Long EC JP N 1 N N N Adecco Group AG NI14Y5UMU60O7JE9P611 ADECCO GROUP AG-REG COMMON STOCK N/A 4228.00000000 NS 233926.32000000 0.012337675543 Long EC CH N 1 N N N Wal-Mart de Mexico, S.A.B. de C.V. N/A WALMART DE MEXICO SAB DE CV COMMON STOCK N/A 83776.00000000 NS 248305.37000000 0.013096051315 Long EC MX N 1 N N N AUTO TRADER GROUP PLC 213800QLK9BZILB1DI86 AUTO TRADER GROUP PLC COMMON STOCK N/A 25400.00000000 NS 159275.06000000 0.008400439986 Long EC GB N 1 N N N AIR CANADA 4B4HI3CGXMBDC0G6BM51 AIR CANADA COMMON STOCK 008911877 3300.00000000 NS 107629.54000000 0.005676566636 Long EC CA N 1 N N N HONG LEONG INDUSTRIES BHD. N/A HONG LEONG INDUSTRIES BHD COMMON STOCK N/A 5500.00000000 NS 13556.25000000 0.000714979888 Long EC MY N 1 N N N Stabilus S.A. 529900JOSL94HJN4VZ28 STABILUS SA COMMON STOCK N/A 12178.00000000 NS 595978.29000000 0.031432917736 Long EC LU N 1 N N N Hitachi Chemical Company, Ltd. 549300HJBGCOVO2MLG52 HITACHI CHEMICAL CO LTD COMMON STOCK N/A 2500.00000000 NS 81502.89000000 0.004298602280 Long EC JP N 1 N N N POSCO 988400E5HRVX81AYLM04 POSCO- SPON ADR DEPOSITARY RECEIPT 693483109 90000.00000000 NS USD 4244400.00000000 0.223856939555 Long EC KR N 1 N N N SHOPIFY INC. 549300HGQ43STJLLP808 SHOPIFY INC - CLASS A COMMON STOCK 82509L107 2600.00000000 NS 809133.11000000 0.042675068725 Long EC CA N 1 N N N AKER BP ASA 549300NFTY73920OYK69 AKER BP ASA COMMON STOCK N/A 3097.00000000 NS 82857.64000000 0.004370054120 Long EC NO N 1 N N N Koninklijke Philips N.V. H1FJE8H61JGM1JSGM897 KONINKLIJKE PHILIPS NV COMMON STOCK N/A 23946.00000000 NS 1109251.53000000 0.058503829211 Long EC NL N 1 N N N Demant A/S 213800RM6L9LN78BVA56 DEMANT A/S COMMON STOCK N/A 43434.00000000 NS 1112489.19000000 0.058674588955 Long EC DK N 1 N N N Credit Saison Co.,Ltd. N/A CREDIT SAISON CO LTD COMMON STOCK N/A 3500.00000000 NS 46904.05000000 0.002473800086 Long EC JP N 1 N N N Jeronimo Martins, SGPS, S.A. 259400A8SZP10GB5IB19 JERONIMO MARTINS COMMON STOCK N/A 5808.00000000 NS 97995.40000000 0.005168445559 Long EC PT N 1 N N N ASSA ABLOY AB 549300YECS8HKCIMMB67 ASSA ABLOY AB-B COMMON STOCK N/A 26374.00000000 NS 587008.74000000 0.030959848277 Long EC SE N 1 N N N REDINGTON (INDIA) LIMITED 335800DTFNX7F2LM5227 REDINGTON INDIA LTD COMMON STOCK N/A 5025.00000000 NS 8327.87000000 0.000439226154 Long EC IN N 1 N N N MEGGITT PLC YMFO3TKB4UAWQTDZJJ31 MEGGITT PLC COMMON STOCK N/A 20578.00000000 NS 160664.81000000 0.008473737786 Long EC GB N 1 N N N Hulic Co.,Ltd. N/A HULIC CO LTD COMMON STOCK N/A 6800.00000000 NS 69493.64000000 0.003665213827 Long EC JP N 1 N N N BANK OF IRELAND GROUP PUBLIC LIMITED COMPANY 635400C8EK6DRI12LJ39 BANK OF IRELAND GROUP PLC COMMON STOCK N/A 127200.20000000 NS 504658.17000000 0.026616537898 Long EC IE N 1 N N N TPG TELECOM LIMITED N/A TPG TELECOM LTD COMMON STOCK N/A 10268.00000000 NS 48096.92000000 0.002536714096 Long EC AU N 1 N N N Henkel AG & Co. KGaA 549300VZCL1HTH4O4Y49 HENKEL AG & CO KGAA COMMON STOCK N/A 2759.00000000 NS 252603.35000000 0.013322734156 Long EC DE N 1 N N N MONDI PLC 213800LOZA69QFDC9N34 MONDI PLC COMMON STOCK N/A 12440.00000000 NS 238304.21000000 0.012568572974 Long EC GB N 1 N N N RSA INSURANCE GROUP PLC 549300HOGQ7E0TY86138 RSA INSURANCE GROUP PLC COMMON STOCK G7705H140 26754.00000000 NS 175726.19000000 0.009268100813 Long EC GB N 1 N N N ANGLO AMERICAN PLC 549300S9XF92D1X8ME43 ANGLO AMERICAN PLC COMMON STOCK N/A 27431.00000000 NS 631110.98000000 0.033285876096 Long EC GB N 1 N N N Fugro N.V. 7245000R8GNBSDTSZ396 FUGRO NV-CVA DEPOSITARY RECEIPT N/A 130830.00000000 NS 881544.97000000 0.046494194483 Long EC NL N 1 N N N SAP SE 529900D6BF99LW9R2E68 SAP SE COMMON STOCK N/A 40980.00000000 NS 4818601.59000000 0.254141316764 Long EC DE N 1 N N N ONEX CORPORATION 894500LB8PNE5C7CEN88 ONEX CORPORATION COMMON STOCK 68272K103 2100.00000000 NS 130183.04000000 0.006866076928 Long EC CA N 1 N N N Komercni banka, a.s. IYKCAVNFR8QGF00HV840 KOMERCNI BANKA AS COMMON STOCK N/A 14320.00000000 NS 484122.14000000 0.025533432436 Long EC CZ N 1 N N N ECOPETROL S.A. 254900IDGKCJICKBPA66 ECOPETROL SA-SPONSORED ADR DEPOSITARY RECEIPT 279158109 44797.00000000 NS USD 762892.91000000 0.040236281227 Long EC CO N 1 N N N UNITED OVERSEAS BANK LIMITED IO66REGK3RCBAMA8HR66 UNITED OVERSEAS BANK LTD COMMON STOCK N/A 381159.00000000 NS 7076323.08000000 0.373217422485 Long EC SG N 1 N N N LOPEZ HOLDINGS CORPORATION N/A LOPEZ HOLDINGS CORP COMMON STOCK N/A 759100.00000000 NS 64295.76000000 0.003391068716 Long EC PH N 1 N N N Mizuho Financial Group, Inc. 353800CI5L6DDAN5XZ33 MIZUHO FINANCIAL GROUP INC COMMON STOCK N/A 400200.00000000 NS 612930.59000000 0.032327011129 Long EC JP N 1 N N N Grupo Financiero Inbursa, S.A.B de C.V. N/A GRUPO FINANCIERO INBURSA-O COMMON STOCK N/A 337104.00000000 NS 429622.26000000 0.022659015240 Long EC MX N 1 N N N Wartsila Oyj Abp 743700G7A9J1PHM3X223 WARTSILA OYJ ABP COMMON STOCK N/A 11598.00000000 NS 129889.21000000 0.006850579830 Long EC FI N 1 N N N ANHEUSER-BUSCH INBEV N.V. 5493008H3828EMEXB082 ANHEUSER-BUSCH INBEV SA/NV COMMON STOCK N/A 19862.00000000 NS 1892526.23000000 0.099815081018 Long EC BE N 1 N N N SoftBank Group Corp. 5493003BZYYYCDIO0R13 SOFTBANK GROUP CORP COMMON STOCK N/A 43000.00000000 NS 1686196.53000000 0.088932898571 Long EC JP N 1 N N N HACI OMER SABANCI HOLDING ANONIM SIRKETI 78900090FFOWNLGP0F20 HACI OMER SABANCI HOLDING COMMON STOCK N/A 562312.00000000 NS 952953.04000000 0.050260378634 Long EC TR N 1 N N N Anglo American Platinum Limited 529900RORCZ0E5S5FX81 ANGLO AMERICAN PLATINUM LTD COMMON STOCK N/A 27742.00000000 NS 1672451.52000000 0.088207963156 Long EC ZA N 1 N N N Odakyu Electric Railway Co.,Ltd. N/A ODAKYU ELECTRIC RAILWAY CO COMMON STOCK N/A 8000.00000000 NS 191482.08000000 0.010099093489 Long EC JP N 1 N N N 3I GROUP PLC 35GDVHRBMFE7NWATNM84 3I GROUP PLC COMMON STOCK N/A 135038.00000000 NS 1936799.34000000 0.102150120814 Long EC GB N 1 N N N Deutsche Telekom AG 549300V9QSIG4WX4GJ96 DEUTSCHE TELEKOM AG-REG COMMON STOCK N/A 58871.00000000 NS 987781.80000000 0.052097307204 Long EC DE N 1 N N N HONG KONG DOLLAR N/A FX Forward Contract: HKD/USD SETTLE 2019-10-02 N/A 1.00000000 NC 3.83000000 0.000000202000 N/A DFE XX N 2 STATE STREET BANK N/A 8599.06000000 USD 67426.85000000 HKD 2019-10-02 3.83000000 N N N AGILE GROUP HOLDINGS LIMITED 549300ZRISRT38EEYY07 AGILE GROUP HOLDINGS LTD COMMON STOCK N/A 132000.00000000 NS 160332.75000000 0.008456224372 Long EC KY N 1 N N N NN Group N.V. 724500OHYNDT9OY6Q215 NN GROUP NV COMMON STOCK N/A 7494.00000000 NS 265790.45000000 0.014018244439 Long EC NL N 1 N N N Continental Aktiengesellschaft 529900A7YD9C0LLXM621 CONTINENTAL AG COMMON STOCK N/A 2887.00000000 NS 370366.22000000 0.019533750005 Long EC DE N 1 N N N NICE LTD 254900YTY4EF5Z4W0A51 NICE LTD COMMON STOCK N/A 1575.00000000 NS 230637.55000000 0.012164220170 Long EC IL N 2 N N N MIRVAC GROUP N/A MIRVAC GROUP REIT N/A 104499.00000000 NS 215826.88000000 0.011383080018 Long EC AU N 1 N N N SEIKO EPSON CORPORATION 549300NIOFQDR749W206 SEIKO EPSON CORP COMMON STOCK N/A 6500.00000000 NS 91375.72000000 0.004819312277 Long EC JP N 1 N N N TERNIUM S.A. 529900QG4KU23TEI2E46 TERNIUM SA-SPONSORED ADR DEPOSITARY RECEIPT 880890108 46079.00000000 NS USD 884256.01000000 0.046637179385 Long EC LU N 1 N N N TECO ELECTRIC & MACHINERY CO., LTD. N/A TECO ELECTRIC & MACHINERY COMMON STOCK N/A 1223387.00000000 NS 986418.74000000 0.052025417080 Long EC TW N 2 N N N NEXT PLC 213800WQD8ECPZP9PH98 NEXT PLC COMMON STOCK N/A 3602.00000000 NS 273966.53000000 0.014449464929 Long EC GB N 1 N N N PERNOD RICARD S.A. 52990097YFPX9J0H5D87 PERNOD RICARD SA COMMON STOCK N/A 5555.00000000 NS 989336.98000000 0.052179330065 Long EC FR N 1 N N N Neste Oyj 5493009GY1X8GQ66AM14 NESTE OYJ COMMON STOCK N/A 10891.00000000 NS 360512.79000000 0.019014063198 Long EC FI N 1 N N N iA Societe Financiere Inc. N/A IA FINANCIAL CORP INC COMMON STOCK 45075E104 2500.00000000 NS 113767.60000000 0.006000298453 Long EC CA N 1 N N N WORLEYPARSONS LIMITED 549300XDR86FY8OLGP97 WORLEYPARSONS LTD COMMON STOCK N/A 9615.00000000 NS 84430.34000000 0.004453001017 Long EC AU N 1 N N N Kyushu Railway Company 5299002CCI6HLWAN3K50 KYUSHU RAILWAY COMPANY COMMON STOCK N/A 4300.00000000 NS 137003.47000000 0.007225798111 Long EC JP N 1 N N N U.S. DOLLARS N/A FX Forward Contract: USD/ZAR SETTLE 2019-10-01 N/A 1.00000000 NC USD 38.19000000 0.000002014206 N/A DFE US N 2 STATE STREET BANK N/A 144223.09000000 ZAR 9561.01000000 USD 2019-10-01 38.19000000 N N N MANAPPURAM FINANCE LIMITED 335800JL5WTUSKOSPN77 MANAPPURAM FINANCE LTD COMMON STOCK N/A 72933.00000000 NS 145312.74000000 0.007664043269 Long EC IN N 1 N N N Seven Bank, Ltd. N/A SEVEN BANK LTD COMMON STOCK N/A 16800.00000000 NS 45991.21000000 0.002425655338 Long EC JP N 1 N N N B3 S.A. - BRASIL, BOLSA, BALCAO 4GTK5S46E6H318LMDS44 B3 SA-BRASIL BOLSA BALCAO COMMON STOCK N/A 265100.00000000 NS 2795865.65000000 0.147458752195 Long EC BR N 1 N N N Suncor Energy Inc. 549300W70ZOQDVLCHY06 SUNCOR ENERGY INC COMMON STOCK 867224107 153693.00000000 NS 4847968.05000000 0.255690154258 Long EC CA N 1 N N N DAIKIN INDUSTRIES,LTD. 549300Y7FWSTSHMW5Y57 DAIKIN INDUSTRIES LTD COMMON STOCK N/A 6500.00000000 NS 852439.31000000 0.044959112028 Long EC JP N 1 N N N INCITEC PIVOT LIMITED 254900UW2F3BKV6Z9V18 INCITEC PIVOT LTD COMMON STOCK N/A 39492.00000000 NS 90360.95000000 0.004765791565 Long EC AU N 1 N N N POWER CORPORATION DU CANADA 549300BE2CB8T87IJV50 POWER CORP OF CANADA COMMON STOCK 739239101 8131.00000000 NS 187310.35000000 0.009879069290 Long EC CA N 1 N N N Mebuki Financial Group, Inc. 353800K1RXV3E3JAE812 MEBUKI FINANCIAL GROUP INC COMMON STOCK N/A 26800.00000000 NS 65931.10000000 0.003477319354 Long EC JP N 1 N N N SENKO Group Holdings Co.,Ltd. 35380077MB9W0NB6BA14 SENKO GROUP HOLDINGS CO LTD COMMON STOCK N/A 19200.00000000 NS 149338.27000000 0.007876356630 Long EC JP N 1 N N N Recruit Holdings Co.,Ltd. 353800R2LRSMVVC4I806 RECRUIT HOLDINGS CO LTD COMMON STOCK N/A 35500.00000000 NS 1078871.68000000 0.056901543789 Long EC JP N 1 N N N Fraport AG Frankfurt Airport Services Worldwide 5299001ERX0K10IZUL40 FRAPORT AG FRANKFURT AIRPORT COMMON STOCK N/A 954.00000000 NS 80918.48000000 0.004267779494 Long EC DE N 1 N N N Sumitomo Mitsui Trust Holdings, Inc. 353800P843RLCDBLNT17 SUMITOMO MITSUI TRUST HOLDIN COMMON STOCK N/A 6200.00000000 NS 223400.69000000 0.011782535754 Long EC JP N 1 N N N CapitaLand Commercial Trust 5493006N1HMMKB2HAT92 CAPITALAND COMMERCIAL TRUST REIT N/A 73974.00000000 NS 110788.39000000 0.005843169805 Long EC SG N 1 N N N Deutsche Wohnen SE 529900QE24Q67I3FWZ10 DEUTSCHE WOHNEN SE COMMON STOCK N/A 9428.00000000 NS 344146.10000000 0.018150855882 Long EC DE N 1 N N N PRAIRIESKY ROYALTY LTD. 529900AXG582AP7CV733 PRAIRIESKY ROYALTY LTD COMMON STOCK 739721108 41976.00000000 NS 585512.68000000 0.030880943505 Long EC CA N 1 N N N CAP S.A. 54930079GPG23NTBB003 CAP SA COMMON STOCK N/A 11219.00000000 NS 97703.70000000 0.005153060801 Long EC CL N 1 N N N TOYOTA INDUSTRIES CORPORATION 35380000WKGEAHEMW830 TOYOTA INDUSTRIES CORP COMMON STOCK N/A 3600.00000000 NS 206427.75000000 0.010887353773 Long EC JP N 1 N N N CARLSBERG A/S 5299001O0WJQYB5GYZ19 CARLSBERG AS-B COMMON STOCK N/A 19618.00000000 NS 2899762.04000000 0.152938426094 Long EC DK N 1 N N N THE SHIZUOKA BANK, LTD. 549300TJ1GRR4PX8GJ82 SHIZUOKA BANK LTD/THE COMMON STOCK N/A 10500.00000000 NS 78173.41000000 0.004122999792 Long EC JP N 1 N N N INFORMA PLC 5493006VM2LKUPSEDU20 INFORMA PLC COMMON STOCK N/A 87722.00000000 NS 918950.26000000 0.048467013666 Long EC GB N 1 N N N CASIO COMPUTER CO.,LTD. 353800JRMIABSXKHV344 CASIO COMPUTER CO LTD COMMON STOCK N/A 4700.00000000 NS 72809.25000000 0.003840084788 Long EC JP N 1 N N N AXA SA F5WCUMTUM4RKZ1MAIE39 AXA SA COMMON STOCK N/A 50094.00000000 NS 1279281.52000000 0.067471502661 Long EC FR N 1 N N N Amadeus IT Group SA 9598004A3FTY3TEHHN09 AMADEUS IT GROUP SA COMMON STOCK N/A 11292.00000000 NS 808865.95000000 0.042660978248 Long EC ES N 1 N N N QUEBECOR INC. N/A QUEBECOR INC -CL B COMMON STOCK 748193208 4500.00000000 NS 102170.06000000 0.005388624292 Long EC CA N 1 N N N N/A N/A S&P/TSX 60 IX FUT DEC19 PHYSICAL INDEX FUTURE. N/A 15.00000000 NC 2255576.10000000 0.118962954170 N/A DE CA N 1 MORGAN STANLEY & CO, INC N/A Long S&P/TSE 60 IX FUT Dec 2019 N/A N/A 2019-12-22 2258937.22000000 CAD -3361.12000000 N N N YAMADA DENKI CO.,LTD. 353800MDZ4K1DQKLO464 YAMADA DENKI CO LTD COMMON STOCK N/A 13800.00000000 NS 66750.52000000 0.003520536971 Long EC JP N 1 N N N TAL EDUCATION GROUP 5493003PJZS0EC085V72 TAL EDUCATION GROUP- ADR DEPOSITARY RECEIPT 874080104 45895.00000000 NS USD 1571444.80000000 0.082880695412 Long EC KY N 1 N N N NOVO NORDISK A/S 549300DAQ1CVT6CXN342 NOVO NORDISK A/S-B COMMON STOCK N/A 115453.00000000 NS 5935338.79000000 0.313039953057 Long EC DK N 1 N N N IG GROUP HOLDINGS PLC 2138003A5Q1M7ANOUD76 IG GROUP HOLDINGS PLC COMMON STOCK N/A 69064.00000000 NS 511710.98000000 0.026988515201 Long EC GB N 1 N N N REA GROUP LTD N/A REA GROUP LTD COMMON STOCK N/A 1200.00000000 NS 87651.78000000 0.004622905291 Long EC AU N 1 N N N FIRST CAPITAL REALTY INC. 549300U55W8QFK2YTK38 FIRST CAPITAL REALTY INC COMMON STOCK 31943B100 5000.00000000 NS 83292.45000000 0.004392986746 Long EC CA N 1 N N N THE GPT GROUP N/A GPT GROUP REIT N/A 49314.00000000 NS 205032.59000000 0.010813770640 Long EC AU N 1 N N N IRB Brasil Resseguros SA 21380017DVWSU9AEU878 IRB BRASIL RESSEGUROS SA COMMON STOCK N/A 400500.00000000 NS 3613700.53000000 0.190592767202 Long EC BR N 1 N N N ESSILORLUXOTTICA SA 549300M3VH1A3ER1TB49 ESSILORLUXOTTICA COMMON STOCK N/A 29722.00000000 NS 4284319.38000000 0.225962356160 Long EC FR N 1 N N N VICAT S.A. 9695009YI1863TOVDP79 VICAT COMMON STOCK N/A 3699.00000000 NS 160463.23000000 0.008463106111 Long EC FR N 1 N N N SINGAPORE PRESS HOLDINGS LIMITED 254900KNRZSJOJRKPW61 SINGAPORE PRESS HOLDINGS LTD COMMON STOCK N/A 46200.00000000 NS 69526.46000000 0.003666944810 Long EC SG N 1 N N N Nestle S.A. KY37LUS27QQX7BB93L28 NESTLE SA-REG COMMON STOCK N/A 13750.00000000 NS 1491758.93000000 0.078677925884 Long EC CH N 1 N N N EMPIRE COMPANY LIMITED 549300TX0ZUSTEF7C719 EMPIRE CO LTD 'A' COMMON STOCK 291843407 4600.00000000 NS 124543.91000000 0.006568659535 Long EC CA N 1 N N N HIROSE ELECTRIC CO., LTD. N/A HIROSE ELECTRIC CO LTD COMMON STOCK N/A 830.00000000 NS 101634.22000000 0.005360363171 Long EC JP N 1 N N N BHARTI AIRTEL LIMITED 335800KQ1FPKOQ84OR26 BHARTI AIRTEL LTD COMMON STOCK N/A 176219.00000000 NS 912689.14000000 0.048136791453 Long EC IN N 1 N N N FIRSTRAND LIMITED 529900XYOP8CUZU7R671 FIRSTRAND LTD COMMON STOCK N/A 396960.00000000 NS 1630039.12000000 0.085971060399 Long EC ZA N 1 N N N MELROSE INDUSTRIES PLC 213800RGNXXZY2M7TR85 MELROSE INDUSTRIES PLC COMMON STOCK N/A 122461.00000000 NS 303551.39000000 0.016009821214 Long EC GB N 1 N N N GREAT-WEST LIFECO INC. 549300X81X4VZEESFU46 GREAT-WEST LIFECO INC COMMON STOCK 39138C106 6700.00000000 NS 160868.78000000 0.008484495514 Long EC CA N 1 N N N West Japan Railway Company N/A WEST JAPAN RAILWAY CO COMMON STOCK N/A 4300.00000000 NS 363128.79000000 0.019152035527 Long EC JP N 1 N N N Orsted A/S W9NG6WMZIYEU8VEDOG48 ORSTED A/S COMMON STOCK N/A 4783.00000000 NS 444508.03000000 0.023444116295 Long EC DK N 1 N N N INTERCONTINENTAL HOTELS GROUP PLC 2138007ZFQYRUSLU3J98 INTERCONTINENTAL HOTELS GROU COMMON STOCK N/A 4570.00000000 NS 285164.94000000 0.015040088289 Long EC GB N 1 N N N Trend Micro Incorporated 3538005O5UJ5RNAGVE16 TREND MICRO INC COMMON STOCK N/A 3400.00000000 NS 161627.75000000 0.008524524894 Long EC JP N 1 N N N UOL GROUP LIMITED 254900O9PRCWTMR86R25 UOL GROUP LTD COMMON STOCK N/A 12285.00000000 NS 66662.45000000 0.003515892008 Long EC SG N 1 N N N Bank of Communications Co., Ltd. 549300AX1UM10U30HK09 BANK OF COMMUNICATIONS CO-H COMMON STOCK N/A 3439506.00000000 NS 2246867.16000000 0.118503629729 Long EC CN N 1 N N N TEIJIN LIMITED 3538000RF6UCIMPKCO54 TEIJIN LTD COMMON STOCK N/A 4000.00000000 NS 76800.00000000 0.004050563791 Long EC JP N 1 N N N TABCORP HOLDINGS LIMITED 213800OCCFUN67NEY278 TABCORP HOLDINGS LTD COMMON STOCK N/A 49761.00000000 NS 162893.14000000 0.008591263734 Long EC AU N 1 N N N RINNAI CORPORATION N/A RINNAI CORP COMMON STOCK N/A 800.00000000 NS 53715.61000000 0.002833053449 Long EC JP N 1 N N N N/A N/A STATE STREET INSTITUTIONAL TREASURY MONEY MARKET FUND 857492888 9132513.02000000 PA USD 9132513.02000000 0.481664408422 Long STIV XX N 2 N N N KYOCERA CORPORATION N/A KYOCERA CORP COMMON STOCK N/A 12600.00000000 NS 781345.66000000 0.041209510927 Long EC JP N 1 N N N PORTO SEGURO S.A. N/A PORTO SEGURO SA COMMON STOCK N/A 90776.00000000 NS 1291197.63000000 0.068099978751 Long EC BR N 1 N N N ENERGA SPOLKA AKCYJNA 259400HYI1DKOD4Y1V58 ENERGA SA COMMON STOCK N/A 62376.00000000 NS 99472.46000000 0.005246348239 Long EC PL N 1 N N N Wynn Macau, Limited 254900NMDQ8ENTHU1I31 WYNN MACAU LTD COMMON STOCK N/A 38000.00000000 NS 74179.93000000 0.003912376803 Long EC KY N 1 N N N EUROCASH SPOLKA AKCYJNA 259400FVIQJS5VD8JO79 EUROCASH SA COMMON STOCK N/A 73473.00000000 NS 384761.73000000 0.020292993906 Long EC PL N 1 N N N JARDINE CYCLE & CARRIAGE LIMITED 254900WEP6OCEXFWML09 JARDINE CYCLE & CARRIAGE LTD COMMON STOCK N/A 2533.00000000 NS 54979.56000000 0.002899716341 Long EC SG N 1 N N N TORAY INDUSTRIES, INC. 35380099TCYR5FHT0A11 TORAY INDUSTRIES INC COMMON STOCK N/A 35100.00000000 NS 260381.13000000 0.013732947620 Long EC JP N 1 N N N Koninklijke Philips N.V. H1FJE8H61JGM1JSGM897 KONINKLIJKE PHILIPS NV COMMON STOCK N/A 26800.00000000 NS 1241457.49000000 0.065476598411 Long EC NL N 1 N N N Wilson Bayly Holmes - Ovcon Ltd N/A WILSON BAYLY HOLMES-OVCON COMMON STOCK N/A 9970.00000000 NS 94071.51000000 0.004961492867 Long EC ZA N 1 N N N BHP GROUP PLC 549300C116EOWV835768 BHP GROUP PLC COMMON STOCK N/A 54572.00000000 NS 1162416.95000000 0.061307864695 Long EC GB N 1 N N N WENDEL SE 969500M98ZMIZYJD5O34 WENDEL COMMON STOCK N/A 695.00000000 NS 95901.77000000 0.005058023920 Long EC FR N 1 N N N LA BANQUE TORONTO-DOMINION PT3QB789TSUIDF371261 TORONTO-DOMINION BANK COMMON STOCK 891160509 16309.00000000 NS 950953.13000000 0.050154899948 Long EC CA N 1 N N N Hexagon Aktiebolag 549300WJFW6ILNI4TA80 HEXAGON AB-B SHS COMMON STOCK N/A 6528.00000000 NS 314727.05000000 0.016599244700 Long EC SE N 1 N N N KONAMI HOLDINGS CORPORATION 353800FC4A5QCMIZFV94 KONAMI HOLDINGS CORP COMMON STOCK N/A 2400.00000000 NS 115865.90000000 0.006110966396 Long EC JP N 1 N N N FUJITSU LIMITED 3538000246DHJLRTUZ24 FUJITSU LTD COMMON STOCK N/A 5200.00000000 NS 416240.46000000 0.021953236145 Long EC JP N 1 N N N COCA-COLA AMATIL LIMITED JOR7RJTXUXBRJ4UA5G70 COCA-COLA AMATIL LTD COMMON STOCK N/A 12585.00000000 NS 90463.79000000 0.004771215523 Long EC AU N 1 N N N LONKING HOLDINGS LIMITED 5299004M92ACMGS3QI84 LONKING HOLDINGS LTD COMMON STOCK N/A 320000.00000000 NS 82473.17000000 0.004349776512 Long EC KY N 1 N N N Dogus Otomotiv Servis ve Ticaret AS 789000PVDP82LTUNS694 DOGUS OTOMOTIV SERVIS VE TIC COMMON STOCK N/A 91794.00000000 NS 126791.78000000 0.006687216056 Long EC TR N 1 N N N UBS Group AG 549300SZJ9VS8SGXAN81 UBS GROUP AG-REG COMMON STOCK N/A 99750.00000000 NS 1132375.63000000 0.059723433926 Long EC CH N 1 N N N TATNEFT' PAO 253400PAT768SVJMV121 TATNEFT PAO-SPONSORED ADR DEPOSITARY RECEIPT 876629205 5656.00000000 NS USD 359156.00000000 0.018942503765 Long EC RU N 1 N N N EQUINOR ASA OW6OFBNCKXC4US5C7523 EQUINOR ASA COMMON STOCK N/A 31106.00000000 NS 591679.53000000 0.031206193757 Long EC NO N 1 N N N Bayerische Motoren Werke Aktiengesellschaft YEH5ZCD6E441RHVHD759 BAYERISCHE MOTOREN WERKE AG COMMON STOCK N/A 69360.00000000 NS 4882952.47000000 0.257535292604 Long EC DE N 1 N N N The Bank of Kyoto, Ltd. 549300LRPVT8N6FNFC04 BANK OF KYOTO LTD/THE COMMON STOCK N/A 1100.00000000 NS 42982.66000000 0.002266979248 Long EC JP N 1 N N N OTP Bank Nyrt. 529900W3MOO00A18X956 OTP BANK PLC COMMON STOCK N/A 38899.00000000 NS 1619513.83000000 0.085415938542 Long EC HU N 1 N N N CRH PUBLIC LIMITED COMPANY 549300MIDJNNTH068E74 CRH PLC COMMON STOCK N/A 6900.00000000 NS 236529.74000000 0.012474984381 Long EC IE N 1 N N N MTR CORPORATION LIMITED 254900IH4U9NHH9AQM97 MTR CORP COMMON STOCK N/A 40877.00000000 NS 229479.06000000 0.012103119419 Long EC HK N 1 N N N Nomura Research Institute, Ltd. N/A NOMURA RESEARCH INSTITUTE LT COMMON STOCK N/A 9000.00000000 NS 179042.77000000 0.009443022934 Long EC JP N 1 N N N BHP GROUP LIMITED WZE1WSENV6JSZFK0JC28 BHP GROUP LTD COMMON STOCK N/A 76777.00000000 NS 1902855.34000000 0.100359856005 Long EC AU N 1 N N N YARA INTERNATIONAL ASA 213800WKOUWXWFJ5Z514 YARA INTERNATIONAL ASA COMMON STOCK N/A 165070.00000000 NS 7108915.60000000 0.374936407919 Long EC NO N 1 N N N Hannover Rueck SE 529900KIN5BE45V5KB18 HANNOVER RUECK SE COMMON STOCK N/A 1601.00000000 NS 270652.01000000 0.014274651456 Long EC DE N 1 N N N SMITH & NEPHEW PLC 213800ZTMDN8S67S1H61 SMITH & NEPHEW PLC COMMON STOCK N/A 17237.00000000 NS 415183.42000000 0.021897486041 Long EC GB N 1 N N N U.S. DOLLARS N/A FX Forward Contract: USD/EUR SETTLE 2019-10-01 N/A 1.00000000 NC USD 123.01000000 0.000006487758 N/A DFE US N 2 MORGAN STANLEY & CO, INC N/A 29526.45000000 EUR 32305.48000000 USD 2019-10-01 123.01000000 N N N Mitsui Fudosan Co., Ltd. 353800ND4ZKNZDYKMF33 MITSUI FUDOSAN CO LTD COMMON STOCK N/A 23500.00000000 NS 582256.65000000 0.030709214896 Long EC JP N 1 N N N HARVEY NORMAN HOLDINGS LTD 529900ONRWOF42PYKU59 HARVEY NORMAN HOLDINGS LTD COMMON STOCK N/A 13109.00000000 NS 40081.11000000 0.002113946522 Long EC AU N 1 N N N Banco Espirito Santo, S.A. - Em Liquidacao 635400JV7IJL16OWIT96 BANCO ESPIRITO SANTO-REG Common Stock N/A 46916.00000000 NS 51.14000000 0.000002697211 Long EC PT N 3 N N N SAFRAN S.A. 969500UIC89GT3UL7L24 SAFRAN SA COMMON STOCK N/A 8451.00000000 NS 1330557.89000000 0.070175906407 Long EC FR N 1 N N N Duzon Bizon Co Ltd N/A DOUZONE BIZON CO LTD COMMON STOCK N/A 13916.00000000 NS 760863.10000000 0.040129225564 Long EC KR N 1 N N N FORTESCUE METALS GROUP LTD 529900VEJFORCO6I4826 FORTESCUE METALS GROUP LTD COMMON STOCK N/A 35180.00000000 NS 208953.89000000 0.011020586731 Long EC AU N 1 N N N KINGSPAN GROUP PUBLIC LIMITED COMPANY 635400HM7V74SUB9OG75 KINGSPAN GROUP PLC COMMON STOCK N/A 3953.00000000 NS 193024.73000000 0.010180455498 Long EC IE N 1 N N N BID CORPORATION LIMITED N/A BID CORP LTD COMMON STOCK N/A 61725.00000000 NS 1312547.79000000 0.069226022827 Long EC ZA N 1 N N N CHUGAI PHARMACEUTICAL CO., LTD. 529900T9LAII161DCN95 CHUGAI PHARMACEUTICAL CO LTD COMMON STOCK N/A 5700.00000000 NS 442820.81000000 0.023355129417 Long EC JP N 1 N N N SANTOS LIMITED 5299000RK70B5O2M7077 SANTOS LTD COMMON STOCK N/A 47450.00000000 NS 247564.10000000 0.013056955463 Long EC AU N 1 N N N DASSAULT SYSTEMES SE 96950065LBWY0APQIM86 DASSAULT SYSTEMES SA COMMON STOCK N/A 3470.00000000 NS 494514.81000000 0.026081559686 Long EC FR N 1 N N N Yandex N.V. 549300GGZHJ5Q1B18P93 YANDEX NV-A COMMON STOCK N97284108 22113.00000000 NS USD 774176.13000000 0.040831377612 Long EC NL N 1 N N N TOYOTA MOTOR CORPORATION 5493006W3QUS5LMH6R84 TOYOTA MOTOR CORP COMMON STOCK N/A 39000.00000000 NS 2602765.32000000 0.137274309423 Long EC JP N 1 N N N Akzo Nobel N.V. 724500XYIJUGXAA5QD70 AKZO NOBEL N.V. COMMON STOCK N/A 58977.00000000 NS 5257642.03000000 0.277297062980 Long EC NL N 1 N N N NIHON KOHDEN CORPORATION N/A NIHON KOHDEN CORP COMMON STOCK N/A 122400.00000000 NS 3594173.41000000 0.189562873384 Long EC JP N 1 N N N DAILY MAIL AND GENERAL TRUST P L C 4OFD47D73QFJ1T1MOF29 DAILY MAIL&GENERAL TST-A NV COMMON STOCK N/A 20164.00000000 NS 211232.22000000 0.011140749765 Long EC GB N 1 N N N Svenska Handelsbanken AB NHBDILHZTYCNBV5UYZ31 SVENSKA HANDELSBANKEN-A SHS COMMON STOCK N/A 100304.00000000 NS 939249.87000000 0.049537649933 Long EC SE N 1 N N N ZOZO, Inc. 549300GC7XPQMZA0OW13 ZOZO INC COMMON STOCK N/A 4300.00000000 NS 99103.82000000 0.005226905532 Long EC JP N 1 N N N MUTHOOT FINANCE LIMITED 335800HAMJMBFL4RRF02 MUTHOOT FINANCE LTD COMMON STOCK N/A 67476.00000000 NS 643541.71000000 0.033941494128 Long EC IN N 1 N N N LVMH MOET HENNESSY LOUIS VUITTON SE IOG4E947OATN0KJYSD45 LVMH MOET HENNESSY LOUIS VUI COMMON STOCK N/A 7230.00000000 NS 2873575.70000000 0.151557313585 Long EC FR N 1 N N N CANADIAN NATURAL RESOURCES LIMITED 549300T15RIMIKZC5Q38 CANADIAN NATURAL RESOURCES COMMON STOCK 136385101 31100.00000000 NS 827471.03000000 0.043642242094 Long EC CA N 1 N N N ANADOLU CAM SANAYII ANONIM SIRKETI 789000UX7BXV6UTDLG71 ANADOLU CAM SANAYII AS COMMON STOCK N/A 44655.00000000 NS 24593.07000000 0.001297080714 Long EC TR N 1 N N N ALSTOM S.A. 96950032TUYMW11FB530 ALSTOM COMMON STOCK N/A 5138.00000000 NS 212974.96000000 0.011232664863 Long EC FR N 1 N N N AGEAS SA 5493005DJBML6LY3RV36 AGEAS COMMON STOCK N/A 4750.00000000 NS 263420.06000000 0.013893226003 Long EC BE N 1 N N N KURARAY CO.,LTD. 549300W9JPTOE739QZ31 KURARAY CO LTD COMMON STOCK N/A 8700.00000000 NS 106773.64000000 0.005631425001 Long EC JP N 1 N N N GLOBALTRANS INVESTMENT PLC 213800D6EVVEJJW3MD09 GLOBALTRA-SPONS GDR REG S DEPOSITARY RECEIPT 37949E204 574.00000000 NS USD 4936.40000000 0.000260354207 Long EC CY N 1 N N N Japan Prime Realty Investment Corporation 353800NJOQJAY1ODEX72 JAPAN PRIME REALTY INVESTMEN REIT N/A 18.00000000 NS 85401.16000000 0.004504203730 Long EC JP N 1 N N N INPEX CORPORATION 353800VHYYADPR6MXQ47 INPEX CORP COMMON STOCK N/A 89800.00000000 NS 823128.60000000 0.043413214884 Long EC JP N 1 N N N ABN AMRO Bank N.V. BFXS5XCH7N0Y05NIXW11 ABN AMRO BANK NV-CVA DEPOSITARY RECEIPT N/A 11334.00000000 NS 199818.47000000 0.010538769004 Long EC NL N 1 N N N KUBOTA CORPORATION 549300CSY4INHEHQQT13 KUBOTA CORP COMMON STOCK N/A 26900.00000000 NS 406640.92000000 0.021446939932 Long EC JP N 1 N N N Petrobras Distribuidora S.A. N/A PETROBRAS DISTRIBUIDORA SA COMMON STOCK N/A 214080.00000000 NS 1415881.88000000 0.074676040059 Long EC BR N 1 N N N JAPAN TOBACCO INC. 353800Z0ENYBQO0XRJ31 JAPAN TOBACCO INC COMMON STOCK N/A 300.00000000 NS 6564.62000000 0.000346229323 Long EC JP N 1 N N N GEA Group Aktiengesellschaft 549300PHUU0ZZWO8EO07 GEA GROUP AG COMMON STOCK N/A 6280.00000000 NS 169548.43000000 0.008942275149 Long EC DE N 1 N N N CRH PUBLIC LIMITED COMPANY 549300MIDJNNTH068E74 CRH PLC COMMON STOCK N/A 21118.00000000 NS 727127.45000000 0.038349949492 Long EC IE N 1 N N N GOODMAN GROUP N/A GOODMAN GROUP REIT N/A 41306.00000000 NS 395331.42000000 0.020850457494 Long EC AU N 1 N N N Nokian Renkaat Oyj 743700YQIO8Y4L4WKR40 NOKIAN RENKAAT OYJ COMMON STOCK N/A 3575.00000000 NS 100843.62000000 0.005318665570 Long EC FI N 1 N N N Symrise AG 529900D82I6R9601CF26 SYMRISE AG COMMON STOCK N/A 3386.00000000 NS 329052.46000000 0.017354791407 Long EC DE N 1 N N N JUMBO S.A. 549300TGIVUUMY40MZ05 JUMBO SA COMMON STOCK N/A 36289.00000000 NS 688623.60000000 0.036319190368 Long EC GR N 1 N N N OBIC Co.,Ltd. N/A OBIC CO LTD COMMON STOCK N/A 2400.00000000 NS 273461.27000000 0.014422816649 Long EC JP N 1 N N N CREDICORP LTD. N/A CREDICORP LTD COMMON STOCK G2519Y108 12296.00000000 NS USD 2562978.24000000 0.135175870548 Long EC BM N 1 N N N Orsted A/S W9NG6WMZIYEU8VEDOG48 ORSTED A/S COMMON STOCK N/A 4215.00000000 NS 391720.96000000 0.020660035638 Long EC DK N 1 N N N BT GROUP PLC 213800LRO7NS5CYQMN21 BT GROUP PLC COMMON STOCK N/A 222575.00000000 NS 488712.10000000 0.025775514802 Long EC GB N 1 N N N SOCIETE AURIFERE BARRICK 0O4KBQCJZX82UKGCBV73 BARRICK GOLD CORP COMMON STOCK 067901108 89069.00000000 NS 1540900.09000000 0.081269714991 Long EC CA N 1 N N N AEGEAN AIRLINES S.A. 213800VI8OH5EJM18L21 AEGEAN AIRLINES COMMON STOCK N/A 27543.00000000 NS 243166.86000000 0.012825037480 Long EC GR N 1 N N N Cheil Worldwide Inc N/A CHEIL WORLDWIDE INC COMMON STOCK N/A 24245.00000000 NS 502676.09000000 0.026511999598 Long EC KR N 1 N N N JUST EAT PLC 213800DZ8PDXRQBBBM02 JUST EAT PLC COMMON STOCK N/A 77140.00000000 NS 633767.54000000 0.033425987629 Long EC GB N 1 N N N Infineon Technologies AG TSI2PJM6EPETEQ4X1U25 INFINEON TECHNOLOGIES AG COMMON STOCK N/A 32544.00000000 NS 585704.74000000 0.030891073079 Long EC DE N 1 N N N Norsk Hydro ASA 549300N1SDN71ZZ8BO45 NORSK HYDRO ASA COMMON STOCK N/A 32182.00000000 NS 113196.70000000 0.005970188207 Long EC NO N 1 N N N VENTURE CORPORATION LIMITED 254900B1NLZC3J1MAE72 VENTURE CORP LTD COMMON STOCK N/A 7200.00000000 NS 79754.01000000 0.004206363348 Long EC SG N 1 N N N INGENICO GROUP S.A. 969500C1KK5OLNWK1S69 INGENICO GROUP COMMON STOCK N/A 1596.00000000 NS 155691.19000000 0.008211420532 Long EC FR N 1 N N N BANK OF QUEENSLAND LIMITED 549300WFIN7T02UKDG08 BANK OF QUEENSLAND LTD COMMON STOCK N/A 9088.00000000 NS 60848.79000000 0.003209269603 Long EC AU N 1 N N N METRO AG 5299006EQ03K3SSUYS12 METRO AG COMMON STOCK N/A 4134.00000000 NS 65244.99000000 0.003441132735 Long EC DE N 1 N N N FISHER & PAYKEL HEALTHCARE CORPORATION LIMITED N/A FISHER & PAYKEL HEALTHCARE C COMMON STOCK N/A 15577.00000000 NS 168750.10000000 0.008900169855 Long EC NZ N 1 N N N OLYMPUS CORPORATION 5299000Y52IFDI1I2A21 OLYMPUS CORP COMMON STOCK N/A 474700.00000000 NS 6392260.81000000 0.337138804487 Long EC JP N 1 N N N PRAIRIESKY ROYALTY LTD. 529900AXG582AP7CV733 PRAIRIESKY ROYALTY LTD COMMON STOCK 739721108 5900.00000000 NS 82297.62000000 0.004340517704 Long EC CA N 1 N N N Novartis AG 5493007HIVTX6SY6XD66 NOVARTIS AG-REG COMMON STOCK N/A 106540.00000000 NS 9237985.67000000 0.487227216978 Long EC CH N 1 N N N FLUTTER ENTERTAINMENT PLC 635400EG4YIJLJMZJ782 FLUTTER ENTERTAINMENT PLC COMMON STOCK N/A 3726.00000000 NS 348285.79000000 0.018369190236 Long EC IE N 1 N N N TATA CONSULTANCY SERVICES LIMITED 335800ZJKU9GPQRE2U66 TATA CONSULTANCY SVCS LTD COMMON STOCK Y85279100 83250.00000000 NS 2466060.17000000 0.130064245221 Long EC IN N 1 N N N State Bank of India 5493001JZ37UBBZF6L49 STATE BANK OF INDI-GDR REG S DEPOSITARY RECEIPT 856552203 53780.00000000 NS USD 2065152.00000000 0.108919660361 Long EC IN N 1 N N N RYMAN HEALTHCARE LIMITED 529900UR74KKRFG56I57 RYMAN HEALTHCARE LTD COMMON STOCK N/A 11389.00000000 NS 94781.74000000 0.004998951616 Long EC NZ N 1 N N N Nomura Real Estate Holdings, Inc. N/A NOMURA REAL ESTATE HOLDINGS COMMON STOCK N/A 3400.00000000 NS 73392.83000000 0.003870863799 Long EC JP N 1 N N N Bayer Aktiengesellschaft 549300J4U55H3WP1XT59 BAYER AG-REG COMMON STOCK N/A 92330.00000000 NS 6510106.82000000 0.343354205283 Long EC DE N 1 N N N SEIBU HOLDINGS INC. N/A SEIBU HOLDINGS INC COMMON STOCK N/A 5400.00000000 NS 94041.16000000 0.004959892156 Long EC JP N 1 N N N Dai-ichi Life Holdings, Inc. 549300ZUFXI7JXZVTZ25 DAI-ICHI LIFE HOLDINGS INC COMMON STOCK N/A 72800.00000000 NS 1096797.23000000 0.057846968056 Long EC JP N 1 N N N MISUMI Group Inc. 353800SJWGE5BEK2V032 MISUMI GROUP INC COMMON STOCK N/A 7000.00000000 NS 164633.53000000 0.008683054889 Long EC JP N 1 N N N HYSAN DEVELOPMENT COMPANY LIMITED 5299007BABFLKIH9HL03 HYSAN DEVELOPMENT CO COMMON STOCK N/A 17000.00000000 NS 68540.52000000 0.003614944643 Long EC HK N 1 N N N SWIRE PROPERTIES LIMITED 5299001L12PHYVQ92465 SWIRE PROPERTIES LTD COMMON STOCK N/A 28600.00000000 NS 89766.13000000 0.004734419738 Long EC HK N 1 N N N TechnoPro Holdings, Inc. 3538001DJ8I5PJQNHU53 TECHNOPRO HOLDINGS INC COMMON STOCK N/A 3200.00000000 NS 189410.40000000 0.009989829531 Long EC JP N 1 N N N Enauta Participacoes SA N/A ENAUTA PARTICIPACOES SA COMMON STOCK N/A 25000.00000000 NS 67630.18000000 0.003566931749 Long EC BR N 1 N N N PLAYTECH PLC 21380068TTB6Z9ZEU548 PLAYTECH PLC COMMON STOCK N/A 31572.00000000 NS 165524.84000000 0.008730064108 Long EC IM N 1 N N N ONO PHARMACEUTICAL CO., LTD. N/A ONO PHARMACEUTICAL CO LTD COMMON STOCK N/A 10300.00000000 NS 186424.05000000 0.009832324307 Long EC JP N 1 N N N ETABLISSEMENTEN FRANZ COLRUYT N.V. 5493000O0NZ1BCXO8K39 COLRUYT SA COMMON STOCK N/A 1327.00000000 NS 72723.42000000 0.003835557967 Long EC BE N 1 N N N CHINA MENGNIU DAIRY COMPANY LIMITED 2549005Q343BSJ8RSS21 CHINA MENGNIU DAIRY CO COMMON STOCK N/A 162000.00000000 NS 606644.81000000 0.031995488305 Long EC KY N 1 N N N ATCO LTD. 5299005SPZ1QYL51JD25 ATCO LTD -CLASS I COMMON STOCK 046789400 1700.00000000 NS 62207.80000000 0.003280946123 Long EC CA N 1 N N N CALTEX AUSTRALIA LIMITED 5493009TD1CGVRZ27U11 CALTEX AUSTRALIA LTD COMMON STOCK N/A 5787.00000000 NS 102804.31000000 0.005422075725 Long EC AU N 1 N N N QIWI PLC 253400VWDGA1977ZTQ68 QIWI PLC-SPONSORED ADR DEPOSITARY RECEIPT 74735M108 8864.00000000 NS USD 194564.80000000 0.010261681432 Long EC CY N 1 N N N RIGHTMOVE PLC 2138001JXGCFKBXYB828 RIGHTMOVE PLC COMMON STOCK N/A 381458.00000000 NS 2582419.68000000 0.136201245455 Long EC GB N 1 N N N SPARK NEW ZEALAND LIMITED 529900HUN51H3Y7QBB66 SPARK NEW ZEALAND LTD COMMON STOCK N/A 121154.00000000 NS 334572.67000000 0.017645936755 Long EC NZ N 1 N N N SWIRE PACIFIC LIMITED 549300KZOZHII0DGF611 SWIRE PACIFIC LTD - CL A COMMON STOCK N/A 13000.00000000 NS 120998.51000000 0.006381669055 Long EC HK N 1 N N N TROPICANA CORPORATION BERHAD N/A TROPICANA CORP BHD COMMON STOCK N/A 48.41000000 NS 9.77000000 0.000000515286 Long EC MY N 1 N N N Grifols, S.A. 959800HSSNXWRKBK4N60 GRIFOLS SA COMMON STOCK N/A 7930.00000000 NS 233715.76000000 0.012326570247 Long EC ES N 1 N N N CAPITA PLC CMIGEWPLHL4M7ZV0IZ88 CAPITA PLC COMMON STOCK N/A 289578.00000000 NS 515736.59000000 0.027200832780 Long EC GB N 1 N N N Colbun S.A. 5493003VQJLE2QB8IF36 COLBUN SA COMMON STOCK N/A 384866.00000000 NS 69414.70000000 0.003661050396 Long EC CL N 1 N N N HYDRO ONE LIMITED 5493007QZDXTP1W2VL44 HYDRO ONE LTD COMMON STOCK 448811208 8700.00000000 NS 160820.47000000 0.008481947561 Long EC CA N 1 N N N JAPAN TOBACCO INC. 353800Z0ENYBQO0XRJ31 JAPAN TOBACCO INC COMMON STOCK N/A 160200.00000000 NS 3505509.36000000 0.184886579236 Long EC JP N 1 N N N AXA SA F5WCUMTUM4RKZ1MAIE39 AXA SA COMMON STOCK N/A 37266.00000000 NS 951684.94000000 0.050193496864 Long EC FR N 1 N N N TAYLOR WIMPEY PLC 21380089BTRXTD8S3R66 TAYLOR WIMPEY PLC COMMON STOCK N/A 82862.00000000 NS 164540.13000000 0.008678128813 Long EC GB N 1 N N N WFD Unibail-Rodamco N.V. 7245002R31EKBDW59H93 UNIBAIL-RODAMCO-WESTFIELD REIT N/A 2964.00000000 NS 432095.87000000 0.022789477677 Long EC NL N 1 N N N GROUPE SNC-LAVALIN INC. UL01OYG5OMLM5G6CFM03 SNC-LAVALIN GROUP INC COMMON STOCK 78460T105 4200.00000000 NS 59155.38000000 0.003119956254 Long EC CA N 1 N N N POWSZECHNA KASA OSZCZEDNOSCI BANK POLSKI SPOLKA AKCYJNA P4GTT6GF1W40CVIMFR43 PKO BANK POLSKI SA COMMON STOCK N/A 21424.00000000 NS 210067.50000000 0.011079320434 Long EC PL N 1 N N N OTSUKA CORPORATION 529900RG9DJ58J3UIE72 OTSUKA CORP COMMON STOCK N/A 2700.00000000 NS 107500.58000000 0.005669765064 Long EC JP N 1 N N N CAE INC. 549300FFM2BEH2GF1E44 CAE INC COMMON STOCK 124765108 170300.00000000 NS 4326752.46000000 0.228200349616 Long EC CA N 1 N N N Eisai Co., Ltd. 353800HDEE0ZYEX4QV91 EISAI CO LTD COMMON STOCK N/A 6620.00000000 NS 336188.86000000 0.017731177389 Long EC JP N 1 N N N SINGAPORE TECHNOLOGIES ENGINEERING LTD 254900OEXGGWCR24DG90 SINGAPORE TECH ENGINEERING COMMON STOCK N/A 38700.00000000 NS 107519.44000000 0.005670759773 Long EC SG N 1 N N N Chocoladefabriken Lindt & Spruengli AG 529900JYJNNOKKAGK736 CHOCOLADEFABRIKEN LINDT-REG COMMON STOCK N/A 3.00000000 NS 248284.15000000 0.013094932136 Long EC CH N 1 N N N PARTRONCO.,LTD N/A PARTRON CO LTD COMMON STOCK N/A 20826.00000000 NS 222859.01000000 0.011753966622 Long EC KR N 1 N N N SEB SA 969500WP61NBK098AC47 SEB SA COMMON STOCK N/A 623.00000000 NS 94590.45000000 0.004988862653 Long EC FR N 1 N N N ADIDAS AG 549300JSX0Z4CW0V5023 ADIDAS AG COMMON STOCK N/A 4655.00000000 NS 1449312.51000000 0.076439228854 Long EC DE N 1 N N N METHANEX CORPORATION 549300TSJHRXT9QXRD13 METHANEX CORP COMMON STOCK 59151K108 1500.00000000 NS 53224.89000000 0.002807172034 Long EC CA N 1 N N N TAIYO NIPPON SANSO CORPORATION 353800F1K6653B4VPY57 TAIYO NIPPON SANSO CORP COMMON STOCK N/A 2900.00000000 NS 58549.83000000 0.003088018507 Long EC JP N 1 N N N Concordia Financial Group, Ltd. N/A CONCORDIA FINANCIAL GROUP LT COMMON STOCK N/A 17200.00000000 NS 65857.11000000 0.003473416994 Long EC JP N 1 N N N Scud Group Ltd N/A SCUD GROUP LTD COMMON STOCK N/A 252000.00000000 NS 10931.78000000 0.000576560836 Long EC KY N 1 N N N Swedish Match AB 529900YVXCGNWAUYZG78 SWEDISH MATCH AB COMMON STOCK N/A 11067.00000000 NS 457675.01000000 0.024138565415 Long EC SE N 1 N N N SCHRODERS PLC 2138001YYBULX5SZ2H24 SCHRODERS PLC COMMON STOCK N/A 2906.00000000 NS 109871.39000000 0.005794805652 Long EC GB N 1 N N N Shinhan Financial Group Co., Ltd. 988400EB8A6G49E5KO54 SHINHAN FINANCIAL GROUP LTD COMMON STOCK N/A 4668.00000000 NS 163125.36000000 0.008603511415 Long EC KR N 1 N N N Mitsui E&S Holdings Co., Ltd. 5493007T2YKKWF2NYN82 MITSUI E&S HOLDINGS CO LTD COMMON STOCK N/A 6400.00000000 NS 56112.83000000 0.002959486946 Long EC JP N 1 N N N Suntec Real Estate Investment Trust 549300C46QFXSI2F4K13 SUNTEC REIT REIT N/A 46100.00000000 NS 63372.28000000 0.003342362796 Long EC SG N 1 N N N IPSEN SA 549300M6SGDPB4Z94P11 IPSEN COMMON STOCK N/A 996.00000000 NS 94555.24000000 0.004987005618 Long EC FR N 1 N N N Koninklijke Ahold Delhaize N.V. 724500C9GNBV20UYRX36 KONINKLIJKE AHOLD DELHAIZE N COMMON STOCK N/A 30733.00000000 NS 768936.34000000 0.040555022096 Long EC NL N 1 N N N NETEASE, INC. 5299004AF4DSJDB0PA32 NETEASE INC-ADR DEPOSITARY RECEIPT 64110W102 12869.00000000 NS USD 3425470.42000000 0.180665188191 Long EC KY N 1 N N N SHIMIZU CORPORATION 353800BRAE0QFP3ZLY22 SHIMIZU CORP COMMON STOCK N/A 16200.00000000 NS 146530.40000000 0.007728264747 Long EC JP N 1 N N N Mitsubishi Chemical Holdings Corporation 353800YNKX4RQUGAR072 MITSUBISHI CHEMICAL HOLDINGS COMMON STOCK N/A 32500.00000000 NS 231475.14000000 0.012208396103 Long EC JP N 1 N N N KEPPEL CORPORATION LIMITED 254900SQ7IPDOY6IDW33 KEPPEL CORP LTD COMMON STOCK N/A 35600.00000000 NS 152738.85000000 0.008055709054 Long EC SG N 1 N N N AIA Group Limited ZP5ILWVSYE4LJGMMVD57 AIA GROUP LTD COMMON STOCK N/A 982200.00000000 NS 9279751.71000000 0.489430029600 Long EC HK N 1 N N N Deutsche Post AG 8ER8GIG7CSMVD8VUFE78 DEUTSCHE POST AG-REG COMMON STOCK N/A 25455.00000000 NS 850238.68000000 0.044843047025 Long EC DE N 1 N N N JARDINE MATHESON HOLDINGS LIMITED 2138009KENVUNWOLPK41 JARDINE MATHESON HLDGS LTD COMMON STOCK N/A 33100.00000000 NS USD 1770850.00000000 0.093397667847 Long EC BM N 1 N N N Brenntag AG NNROIXVWJ7CPSR27SV97 BRENNTAG AG COMMON STOCK N/A 4009.00000000 NS 194011.36000000 0.010232492057 Long EC DE N 1 N N N KENANGA INVESTMENT BANK BERHAD 254900IIYT9DIQAWQK96 KENANGA INVESTMENT BANK BHD COMMON STOCK N/A 85500.00000000 NS 10108.07000000 0.000533116957 Long EC MY N 1 N N N MABUCHI MOTOR CO., LTD. N/A MABUCHI MOTOR CO LTD COMMON STOCK N/A 2900.00000000 NS 107953.76000000 0.005693666555 Long EC JP N 1 N N N Tohoku Electric Power Company, Incorporated 353800KTF7EYIIYHY088 TOHOKU ELECTRIC POWER CO INC COMMON STOCK N/A 4600.00000000 NS 44840.69000000 0.002364974938 Long EC JP N 1 N N N KAISA GROUP HOLDINGS LTD. 254900N8L3L7NRJT0120 KAISA GROUP HOLDINGS LTD COMMON STOCK N/A 72275.00000000 NS 31721.81000000 0.001673062695 Long EC KY N 1 N N N MICRO FOCUS INTERNATIONAL PLC 213800F8E4X648142844 MICRO FOCUS INTERNATIONAL COMMON STOCK N/A 4238.00000000 NS 59236.43000000 0.003124230970 Long EC GB N 1 N N N MILLICOM INTERNATIONAL CELLULAR S.A. 549300CTHC1CP86P2G96 MILLICOM INTL CELLULAR-SDR DEPOSITARY RECEIPT N/A 6631.00000000 NS 321713.68000000 0.016967731556 Long EC LU N 1 N N N Rakuten, Inc. N/A RAKUTEN INC COMMON STOCK N/A 23100.00000000 NS 227528.32000000 0.012000234044 Long EC JP N 1 N N N Novartis AG 5493007HIVTX6SY6XD66 NOVARTIS AG-REG COMMON STOCK N/A 55852.00000000 NS 4842875.69000000 0.255421574453 Long EC CH N 1 N N N Open Text Corporation 549300HP7ONDQODZJV16 OPEN TEXT CORP COMMON STOCK 683715106 6700.00000000 NS 273289.81000000 0.014413773555 Long EC CA N 1 N N N PHOSAGRO PAO 25340053KRUNNYUWF472 PHOSAGRO PJSC-GDR REG S DEPOSITARY RECEIPT 71922G209 3930.00000000 NS USD 50186.10000000 0.002646901035 Long EC RU N 1 N N N Japan Exchange Group, Inc. 353800578ADEGIJTVW07 JAPAN EXCHANGE GROUP INC COMMON STOCK N/A 11600.00000000 NS 182274.22000000 0.009613455152 Long EC JP N 1 N N N MEGMILK SNOW BRAND Co.,Ltd. N/A MEGMILK SNOW BRAND CO LTD COMMON STOCK N/A 7800.00000000 NS 187632.83000000 0.009896077439 Long EC JP N 1 N N N Sumitomo Metal Mining Co., Ltd. 353800CF81IXL9974H84 SUMITOMO METAL MINING CO LTD COMMON STOCK N/A 3800.00000000 NS 117628.67000000 0.006203937911 Long EC JP N 1 N N N N/A N/A PAN AMER SILVER-CVR CONTINGENT VALUE RIGHTS 697900132 20581.00000000 NS 7767.29000000 0.000409660203 Long EC CA N 1 N N N WEIR GROUP PLC(THE) 549300KDR56WHY9I3D10 WEIR GROUP PLC/THE COMMON STOCK N/A 246130.00000000 NS 4313955.50000000 0.227525415985 Long EC GB N 1 N N N PIGEON CORPORATION N/A PIGEON CORP COMMON STOCK N/A 3100.00000000 NS 127727.17000000 0.006736550130 Long EC JP N 1 N N N DBS GROUP HOLDINGS LTD 5493007FKT78NKPM5V55 DBS GROUP HOLDINGS LTD COMMON STOCK N/A 16806.00000000 NS 303982.93000000 0.016032581374 Long EC SG N 1 N N N LOGAN PROPERTY HOLDINGS COMPANY LIMITED 549300NJ0E6Q0S1VOG90 LOGAN PROPERTY HOLDINGS CO L COMMON STOCK N/A 726000.00000000 NS 1033742.04000000 0.054521329131 Long EC KY N 1 N N N GJENSIDIGE FORSIKRING ASA 5967007LIEEXZX6FAO47 GJENSIDIGE FORSIKRING ASA COMMON STOCK N/A 5662.00000000 NS 112242.36000000 0.005919854678 Long EC NO N 1 N N N CANADIAN TIRE CORPORATION, LIMITED 549300RLHDA7VQYMUB14 CANADIAN TIRE CORP-CLASS A COMMON STOCK 136681202 1500.00000000 NS 168324.72000000 0.008877734584 Long EC CA N 1 N N N VESTAS WIND SYSTEMS A/S 549300DYMC8BGZZC8844 VESTAS WIND SYSTEMS A/S COMMON STOCK N/A 4944.00000000 NS 383830.42000000 0.020243875018 Long EC DK N 1 N N N INTESA SANPAOLO SPA 2W8N8UU78PMDQKZENC08 INTESA SANPAOLO COMMON STOCK N/A 1505399.00000000 NS 3569594.12000000 0.188266519451 Long EC IT N 1 N N N SYDNEY AIRPORT HOLDINGS PTY LIMITED N/A SYDNEY AIRPORT UNIT N/A 29245.00000000 NS 158503.60000000 0.008359751862 Long EC AU N 1 N N N BRIDGESTONE CORPORATION 549300DHPOF90OYYD780 BRIDGESTONE CORP COMMON STOCK N/A 15000.00000000 NS 580439.31000000 0.030613365265 Long EC JP N 1 N N N QBE INSURANCE GROUP LIMITED 549300D2FBW76FPUSG65 QBE INSURANCE GROUP LTD COMMON STOCK N/A 115678.00000000 NS 980646.25000000 0.051720966052 Long EC AU N 1 N N N CTEEP Companhia de Transmissao de Energia Eletrica Paulista N/A Cia de Transmissao de Energia Eletrica Paulista PREFERRED STOCK N/A 100468.00000000 NS 594110.34000000 0.031334398848 Long EP BR N 1 N N N IMPERIAL BRANDS PLC 549300DFVPOB67JL3A42 IMPERIAL BRANDS PLC COMMON STOCK N/A 25149.00000000 NS 565312.14000000 0.029815532361 Long EC GB N 1 N N N Volkswagen AG 529900NNUPAGGOMPXZ31 VOLKSWAGEN AG COMMON STOCK N/A 862.00000000 NS 148165.50000000 0.007814502727 Long EC DE N 1 N N N SAMSUNG ELECTRONICS CO,.LTD 9884007ER46L6N7EI764 SAMSUNG ELECTRONICS CO LTD COMMON STOCK N/A 97798.00000000 NS 4010359.82000000 0.211513258840 Long EC KR N 1 N N N BAIDU, INC. 254900AL64IANZYI1E02 BAIDU INC - SPON ADR DEPOSITARY RECEIPT 056752108 15977.00000000 NS USD 1641796.52000000 0.086591165851 Long EC KY N 1 N N N Suntory Beverage & Food Limited 549300FONLMVK7YYYH41 SUNTORY BEVERAGE & FOOD LTD COMMON STOCK 094259231 4600.00000000 NS 196550.29000000 0.010366399582 Long EC JP N 1 N N N AMADA HOLDINGS CO., LTD. 529900QF5O6TQGCPDX85 AMADA HOLDINGS CO LTD COMMON STOCK N/A 9400.00000000 NS 101193.99000000 0.005337144685 Long EC JP N 1 N N N DAVIDE CAMPARI-MILANO S.P.A. 213800ED5AN2J56N6Z02 DAVIDE CAMPARI-MILANO SPA COMMON STOCK N/A 15930.00000000 NS 143938.98000000 0.007591588810 Long EC IT N 1 N N N Sands China Ltd. 549300EVO6UZDGY05787 SANDS CHINA LTD COMMON STOCK N/A 61200.00000000 NS 277198.67000000 0.014619933539 Long EC KY N 1 N N N ADMIRAL GROUP PLC 213800FGVM7Z9EJB2685 ADMIRAL GROUP PLC COMMON STOCK N/A 5208.00000000 NS 135625.33000000 0.007153112642 Long EC GB N 1 N N N SNAM S.P.A. 8156002278562044AF79 SNAM SPA COMMON STOCK N/A 54174.00000000 NS 273624.55000000 0.014431428317 Long EC IT N 1 N N N Aeon Delight Co Ltd N/A AEON DELIGHT CO LTD COMMON STOCK N/A 3300.00000000 NS 103463.58000000 0.005456846756 Long EC JP N 1 N N N Sonova Holding AG 5299004A0QNX7FBNHS61 SONOVA HOLDING AG-REG COMMON STOCK N/A 3275.00000000 NS 761284.50000000 0.040151450923 Long EC CH N 1 N N N TravelSky Technology Ltd 5299007TAWP4DZ6QFG73 TRAVELSKY TECHNOLOGY LTD-H COMMON STOCK N/A 589000.00000000 NS 1223435.45000000 0.064526085095 Long EC CN N 1 N N N Calbee Inc 529900CIHZID6O8LJH81 CALBEE INC COMMON STOCK N/A 2100.00000000 NS 65257.80000000 0.003441808356 Long EC JP N 1 N N N VICTREX PLC 213800UYNPHAUNHPXL67 VICTREX PLC COMMON STOCK N/A 30919.00000000 NS 820390.77000000 0.043268817032 Long EC GB N 1 N N N NOMURA Co., Ltd. N/A NOMURA CO LTD COMMON STOCK N/A 17400.00000000 NS 218857.80000000 0.011542935940 Long EC JP N 1 N N N ORIENTAL LAND CO.,LTD. 353800PIFKBZ6KTU5994 ORIENTAL LAND CO LTD COMMON STOCK N/A 5200.00000000 NS 790640.46000000 0.041699734630 Long EC JP N 1 N N N Sumitomo Mitsui Financial Group, Inc. 35380028MYWPB6AUO129 SUMITOMO MITSUI FINANCIAL GR COMMON STOCK N/A 34400.00000000 NS 1175565.32000000 0.062001332292 Long EC JP N 1 N N N ITOCHU Corporation J48DJYXDTLHM30UMYI18 ITOCHU CORP COMMON STOCK N/A 16700.00000000 NS 344579.88000000 0.018173734183 Long EC JP N 1 N N N CHECK POINT SOFTWARE TECHNOLOGIES LTD. 2549003ZVBH73EPNS513 CHECK POINT SOFTWARE TECH COMMON STOCK M22465104 3349.00000000 NS USD 366715.50000000 0.019341204768 Long EC IL N 1 N N N Skanska AB 549300UINV5RINHGMG07 SKANSKA AB-B SHS COMMON STOCK N/A 8469.00000000 NS 171547.14000000 0.009047690545 Long EC SE N 1 N N N JAPAN POST HOLDINGS Co.,Ltd. 5299003D9N4JBS256X18 JAPAN POST HOLDINGS CO LTD COMMON STOCK N/A 83700.00000000 NS 770233.53000000 0.040623438122 Long EC JP N 1 N N N ALUMINA LIMITED 2138002VD9MW2WT8HR38 ALUMINA LTD COMMON STOCK N/A 454366.00000000 NS 726818.77000000 0.038333669179 Long EC AU N 1 N N N COMPAGNIE GENERALE DES ETABLISSEMENTS MICHELIN SCA 549300SOSI58J6VIW052 MICHELIN (CGDE) COMMON STOCK N/A 4507.00000000 NS 503032.03000000 0.026530772484 Long EC FR N 1 N N N ABC-MART,INC. N/A ABC-MART INC COMMON STOCK N/A 2200.00000000 NS 139782.66000000 0.007372377360 Long EC JP N 1 N N N Mazda Motor Corporation 52990044YZJLICDQKK92 MAZDA MOTOR CORP COMMON STOCK N/A 15600.00000000 NS 138434.22000000 0.007301258321 Long EC JP N 1 N N N BHP GROUP LIMITED WZE1WSENV6JSZFK0JC28 BHP GROUP LTD COMMON STOCK N/A 21722.00000000 NS 538362.06000000 0.028394138894 Long EC AU N 1 N N N NEXON Co., Ltd. 5299005SFO0GAJFLKN43 NEXON CO LTD COMMON STOCK N/A 12500.00000000 NS 151560.69000000 0.007993570874 Long EC JP N 1 N N N Ferrovial, S.A. 95980020140005757903 FERROVIAL SA COMMON STOCK N/A 8843.00000000 NS 255515.64000000 0.013476333328 Long EC ES N 1 N N N Endesa, Sociedad Anonima 549300LHK07F2CHV4X31 ENDESA SA COMMON STOCK N/A 8497.00000000 NS 223568.71000000 0.011791397418 Long EC ES N 1 N N N Yum China Holdings Inc 529900DO9BYZ7VA3K502 YUM CHINA HOLDINGS INC COMMON STOCK 98850P109 12382.00000000 NS USD 562514.26000000 0.029667967368 Long EC US N 1 N N N Deutsche Lufthansa Aktiengesellschaft 529900PH63HYJ86ASW55 DEUTSCHE LUFTHANSA-REG COMMON STOCK N/A 5900.00000000 NS 93760.01000000 0.004945063823 Long EC DE N 1 N N N CP All Public Company Limited N/A CP ALL PCL-FOREIGN COMMON STOCK N/A 910200.00000000 NS 2417974.50000000 0.127528124468 Long EC TH N 1 N N N Mitsubishi UFJ Lease & Finance Company Limited 353800MZ3QX9RLMH7B09 MITSUBISHI UFJ LEASE & FINAN COMMON STOCK N/A 11800.00000000 NS 68098.96000000 0.003591656010 Long EC JP N 1 N N N QBE INSURANCE GROUP LIMITED 549300D2FBW76FPUSG65 QBE INSURANCE GROUP LTD COMMON STOCK N/A 34899.00000000 NS 295852.05000000 0.015603744810 Long EC AU N 1 N N N Japan Retail Fund Investment Corporation 353800QDHNIP60E1LQ93 JAPAN RETAIL FUND INVESTMENT REIT N/A 65.00000000 NS 137424.28000000 0.007247992352 Long EC JP N 1 N N N SOHGO SECURITY SERVICES CO.,LTD. N/A SOHGO SECURITY SERVICES CO COMMON STOCK N/A 2000.00000000 NS 104693.64000000 0.005521722231 Long EC JP N 1 N N N Repsol S.A. BSYCX13Y0NOTV14V9N85 REPSOL SA COMMON STOCK N/A 37182.00000000 NS 581152.39000000 0.030650974328 Long EC ES N 1 N N N NOVO NORDISK A/S 549300DAQ1CVT6CXN342 NOVO NORDISK A/S-B COMMON STOCK N/A 37408.00000000 NS 1923112.90000000 0.101428274482 Long EC DK N 1 N N N ASTRAZENECA PLC PY6ZZQWO2IZFZC3IOL08 ASTRAZENECA PLC COMMON STOCK N/A 34136.00000000 NS 3047564.84000000 0.160733799401 Long EC GB N 1 N N N Stella International Holdings Ltd N/A STELLA INTERNATIONAL COMMON STOCK N/A 553448.00000000 NS 861485.59000000 0.045436228359 Long EC KY N 1 N N N RELX PLC 549300WSX3VBUFFJOO66 RELX PLC COMMON STOCK N/A 74896.00000000 NS 1779598.43000000 0.093859075058 Long EC GB N 1 N N N YUE YUEN INDUSTRIAL (HOLDINGS) LIMITED 254900YUFIBANZ1XU687 YUE YUEN INDUSTRIAL HLDG COMMON STOCK N/A 19500.00000000 NS 53367.06000000 0.002814670324 Long EC BM N 1 N N N WEG SA N/A WEG SA COMMON STOCK N/A 310200.00000000 NS 1814187.90000000 0.095683383063 Long EC BR N 1 N N N Carl Zeiss Meditec AG 529900GRL4MZ8NMOOK95 CARL ZEISS MEDITEC AG - BR COMMON STOCK N/A 1022.00000000 NS 116517.38000000 0.006145326569 Long EC DE N 1 N N N Deutsche Bank Aktiengesellschaft 7LTWFZYICNSX8D621K86 DEUTSCHE BANK AG-REGISTERED COMMON STOCK N/A 50504.00000000 NS 378228.15000000 0.019948401685 Long EC DE N 1 N N N ROYAL DUTCH SHELL PLC 21380068P1DRHMJ8KU70 ROYAL DUTCH SHELL PLC-A SHS COMMON STOCK N/A 30255.00000000 NS 887069.33000000 0.046785558709 Long EC GB N 1 N N N KOBAYASHI PHARMACEUTICAL CO.,LTD. 529900WBSL04KD6TKP95 KOBAYASHI PHARMACEUTICAL CO COMMON STOCK N/A 1300.00000000 NS 98830.06000000 0.005212466960 Long EC JP N 1 N N N LIXIL Group Corporation 353800KB8G4F9WUJJ886 LIXIL GROUP CORP COMMON STOCK N/A 7300.00000000 NS 128277.46000000 0.006765573369 Long EC JP N 1 N N N TIGER BRANDS LIMITED 529900C57HAFZAHHBC90 TIGER BRANDS LTD COMMON STOCK N/A 217170.00000000 NS 3019301.10000000 0.159243121252 Long EC ZA N 1 N N N ASHTEAD GROUP PUBLIC LIMITED COMPANY 2138007UTBN8X9K1A235 ASHTEAD GROUP PLC COMMON STOCK N/A 12267.00000000 NS 341474.81000000 0.018009967463 Long EC GB N 1 N N N Yahoo Japan Corporation 52990078MD2OL792YM35 YAHOO JAPAN CORP COMMON STOCK N/A 66600.00000000 NS 187249.94000000 0.009875883163 Long EC JP N 1 N N N THK CO.,LTD. N/A THK CO LTD COMMON STOCK N/A 3400.00000000 NS 89083.93000000 0.004698439339 Long EC JP N 1 N N N YAPI VE KREDI BANKASI ANONIM SIRKETI B85ZYWEZ5IZCZ2WNIO12 YAPI VE KREDI BANKASI COMMON STOCK N/A 1522527.00000000 NS 649776.89000000 0.034270348221 Long EC TR N 1 N N N AURORA CANNABIS INC. 549300F6VHCLKCUWDT34 AURORA CANNABIS INC COMMON STOCK 05156X108 18600.00000000 NS 81708.87000000 0.004309466019 Long EC CA N 1 N N N DAELIM INDUSTRIAL CO.,LTD 988400LJMYZ3ZOXJVE47 DAELIM INDUSTRIAL CO LTD COMMON STOCK N/A 5063.00000000 NS 440205.66000000 0.023217201918 Long EC KR N 1 N N N CI Financial Corp. 549300M9W7JJQSVCEM78 CI FINANCIAL CORP COMMON STOCK 125491100 6400.00000000 NS 93378.12000000 0.004924922289 Long EC CA N 1 N N N TELEFONICA BRASIL S.A. 529900MTGG2HSDBIWG79 Telefonica Brasil SA PREFERRED STOCK N/A 63800.00000000 NS 842999.31000000 0.044461230229 Long EP BR N 1 N N N LEGRAND S.A. 969500XXRPGD7HCAFA90 LEGRAND SA COMMON STOCK N/A 26880.00000000 NS 1918430.47000000 0.101181315089 Long EC FR N 1 N N N ROLLS-ROYCE HOLDINGS PLC 213800EC7997ZBLZJH69 ROLLS-ROYCE HOLDINGS PLC COMMON STOCK N/A 270485.00000000 NS 2635308.97000000 0.138990717370 Long EC GB N 1 N N N L'Occitane International S.A. 549300TLZP9DZV3ROI47 L'OCCITANE INTERNATIONAL SA COMMON STOCK N/A 136135.00000000 NS 270960.36000000 0.014290914364 Long EC LU N 1 N N N FUJI MEDIA HOLDINGS, INC. 353800TG2T8DSPV7H313 FUJI MEDIA HOLDINGS INC COMMON STOCK N/A 39200.00000000 NS 504297.80000000 0.026597531366 Long EC JP N 1 N N N FILA KOREA LTD. N/A FILA KOREA LTD COMMON STOCK N/A 5103.00000000 NS 247012.25000000 0.013027849947 Long EC KR N 1 N N N HONDA MOTOR CO., LTD. 549300P7ZYCQJ36CCS16 HONDA MOTOR CO LTD COMMON STOCK N/A 42600.00000000 NS 1102576.65000000 0.058151784585 Long EC JP N 1 N N N KBC GROEP N.V. 213800X3Q9LSAKRUWY91 KBC GROUP NV COMMON STOCK N/A 71982.00000000 NS 4677609.99000000 0.246705177833 Long EC BE N 1 N N N PTT Public Company Limited 549300QOGMPTKB6W7G56 PTT PCL-NVDR DEPOSITARY RECEIPT N/A 1380300.00000000 NS 2087260.91000000 0.110085722214 Long EC TH N 1 N N N COMPANIA DE MINAS BUENAVENTURA S.A.A. 529900WQB1ZU9KB6EL71 CIA DE MINAS BUENAVENTUR-ADR DEPOSITARY RECEIPT 204448104 31867.00000000 NS USD 483741.06000000 0.025513333622 Long EC PE N 1 N N N Andritz AG 549300VZKC61IR5U8G96 ANDRITZ AG COMMON STOCK N/A 2006.00000000 NS 81991.78000000 0.004324387178 Long EC AT N 1 N N N Bermaz Auto Bhd N/A BERMAZ AUTO BHD COMMON STOCK N/A 398300.00000000 NS 216891.33000000 0.011439220938 Long EC MY N 1 N N N CHINA OVERSEAS GRAND OCEANS GROUP LIMITED N/A CHINA OVERSEAS GRAND OCEANS COMMON STOCK N/A 93000.00000000 NS 42241.98000000 0.002227914514 Long EC HK N 1 N N N McDonald's Holdings Company (Japan), Ltd. N/A MCDONALD'S HOLDINGS CO JAPAN COMMON STOCK N/A 1500.00000000 NS 72554.91000000 0.003826670460 Long EC JP N 1 N N N Nomura Real Estate Master Fund, Inc. 353800TNNZOQ1CPZE086 NOMURA REAL ESTATE MASTER FU REIT N/A 110.00000000 NS 198584.97000000 0.010473712097 Long EC JP N 1 N N N HIROSE ELECTRIC CO., LTD. N/A HIROSE ELECTRIC CO LTD COMMON STOCK N/A 1300.00000000 NS 159186.13000000 0.008395749665 Long EC JP N 1 N N N YES BANK LIMITED 335800X6WKDDXJUSFZ86 YES BANK LTD COMMON STOCK N/A 154350.00000000 NS 90167.89000000 0.004755609250 Long EC IN N 1 N N N AGL ENERGY LIMITED 549300QAZ8A74DEDXO80 AGL ENERGY LTD COMMON STOCK Q01630195 17519.00000000 NS 226556.63000000 0.011948985446 Long EC AU N 1 N N N BANK OF CHINA LIMITED 54930053HGCFWVHYZX42 BANK OF CHINA LTD-H COMMON STOCK N/A 5105000.00000000 NS 2006124.25000000 0.105806435532 Long EC CN N 1 N N N AEON Financial Service Co., Ltd. N/A AEON FINANCIAL SERVICE CO LT COMMON STOCK N/A 17000.00000000 NS 255648.55000000 0.013483343229 Long EC JP N 1 N N N AerCap Holdings N.V. 549300SZYINBBLJQU475 AERCAP HOLDINGS NV COMMON STOCK N00985106 3102.00000000 NS USD 169834.50000000 0.008957362972 Long EC NL N 1 N N N TOKYU CORPORATION 3538005PGNIBTZYXAE45 TOKYU CORP COMMON STOCK N/A 13300.00000000 NS 249455.72000000 0.013156722748 Long EC JP N 1 N N N CASIO COMPUTER CO.,LTD. 353800JRMIABSXKHV344 CASIO COMPUTER CO LTD COMMON STOCK N/A 27100.00000000 NS 419815.03000000 0.022141765101 Long EC JP N 1 N N N Bangkok Bank Public Company Limited 549300CCL2BKJGMYXV60 BANGKOK BANK PUBLIC CO-NVDR DEPOSITARY RECEIPT N/A 21200.00000000 NS 120261.57000000 0.006342801575 Long EC TH N 1 N N N Daeyang Electric Co Ltd N/A DAEYANG ELECTRIC CO LTD COMMON STOCK N/A 3787.00000000 NS 40049.78000000 0.002112294124 Long EC KR N 1 N N N ROLLS-ROYCE HOLDINGS PLC 213800EC7997ZBLZJH69 ROLLS-ROYCE HOLDINGS PLC COMMON STOCK N/A 45315.00000000 NS 441499.62000000 0.023285447589 Long EC GB N 1 N N N Renesas Electronics Corporation 5299000EPC47VJQOFB81 RENESAS ELECTRONICS CORP COMMON STOCK N/A 21000.00000000 NS 136342.20000000 0.007190921596 Long EC JP N 1 N N N KT CORPORATION 9884005ACF8449EANY26 KT CORP COMMON STOCK N/A 17542.00000000 NS 402564.81000000 0.021231958896 Long EC KR N 1 N N N Odontoprev SA N/A ODONTOPREV S.A. COMMON STOCK N/A 327000.00000000 NS 1278109.24000000 0.067409674602 Long EC BR N 1 N N N Swisscom AG 5493005SL9HHOXS3B739 SWISSCOM AG-REG COMMON STOCK N/A 650.00000000 NS 320620.21000000 0.016910060072 Long EC CH N 1 N N N BANDAI NAMCO Holdings Inc. N/A BANDAI NAMCO HOLDINGS INC COMMON STOCK N/A 5200.00000000 NS 323662.43000000 0.017070511975 Long EC JP N 1 N N N Sumitomo Rubber Industries, Ltd. 353800JD4V72SJ3EOX37 SUMITOMO RUBBER INDUSTRIES COMMON STOCK N/A 4300.00000000 NS 50983.58000000 0.002688961499 Long EC JP N 1 N N N Kyushu Electric Power Company, Incorporated 549300BYNZPLKQVQH430 KYUSHU ELECTRIC POWER CO INC COMMON STOCK N/A 10200.00000000 NS 96221.97000000 0.005074911818 Long EC JP N 1 N N N Kasikornbank Public Company Limited 5493004COSQ54937AW41 KASIKORNBANK PCL-FOREIGN COMMON STOCK N/A 108900.00000000 NS 557229.03000000 0.029389215268 Long EC TH N 1 N N N JOHNSON MATTHEY PLC 2138001AVBSD1HSC6Z10 JOHNSON MATTHEY PLC COMMON STOCK N/A 4938.00000000 NS 185605.32000000 0.009789143082 Long EC GB N 1 N N N SAMSUNG ELECTRONICS CO,.LTD 9884007ER46L6N7EI764 SAMSUNG ELECTR-GDR REG S DEPOSITARY RECEIPT 796050888 770.00000000 NS USD 783860.00000000 0.041342121534 Long EC KR N 1 N N N BASF SE 529900PM64WH8AF1E917 BASF SE COMMON STOCK N/A 16567.00000000 NS 1157831.91000000 0.061066041818 Long EC DE N 1 N N N SMITHS GROUP PLC 213800MJL6IPZS3ASA11 SMITHS GROUP PLC COMMON STOCK N/A 10118.00000000 NS 195316.18000000 0.010301310503 Long EC GB N 1 N N N SARTORIUS STEDIM BIOTECH S.A. 52990006IVXY7GCSSR39 SARTORIUS STEDIM BIOTECH COMMON STOCK N/A 773.00000000 NS 108181.41000000 0.005705673206 Long EC FR N 1 N N N Showa Denko K.K. 5493006AIPA1V92YPP18 SHOWA DENKO K K COMMON STOCK N/A 3400.00000000 NS 88832.37000000 0.004685171633 Long EC JP N 1 N N N TOURMALINE OIL CORP. N/A TOURMALINE OIL CORP COMMON STOCK 89156V106 6300.00000000 NS 62341.40000000 0.003287992416 Long EC CA N 1 N N N NIKON CORPORATION 549300X7LIS9RFELXJ98 NIKON CORP COMMON STOCK 654111103 7400.00000000 NS 92256.18000000 0.004865749248 Long EC JP N 1 N N N N/A N/A STATE STREET INSTITUTIONAL TREASURY MONEY MARKET FUND 857492888 8220244.17000000 PA USD 8220244.17000000 0.433549783784 Long STIV XX N 2 N N N PUBLICIS GROUPE SA 2138004KW8BV57III342 PUBLICIS GROUPE COMMON STOCK N/A 5584.00000000 NS 274613.97000000 0.014483612026 Long EC FR N 1 N N N TELENET GROUP HOLDING N.V. 213800FA3K4S56INQI67 TELENET GROUP HOLDING NV COMMON STOCK N/A 1173.00000000 NS 55359.74000000 0.002919767687 Long EC BE N 1 N N N Enagas, S.A. 213800OU3FQKGM4M2U23 ENAGAS SA COMMON STOCK N/A 5896.00000000 NS 136624.59000000 0.007205815329 Long EC ES N 1 N N N Tokyo Century Corporation 35380096ZLHOF84DXR74 TOKYO CENTURY CORP COMMON STOCK N/A 900.00000000 NS 41576.88000000 0.002192835998 Long EC JP N 1 N N N DIAGEO PLC 213800ZVIELEA55JMJ32 DIAGEO PLC COMMON STOCK N/A 47979.00000000 NS 1966212.23000000 0.103701407106 Long EC GB N 1 N N N UIL Co.,Ltd N/A UIL CO LTD COMMON STOCK N/A 6402.00000000 NS 27777.77000000 0.001465047257 Long EC KR N 1 N N N SECOM CO., LTD. 529900TYCL9N3E9PGE47 SECOM CO LTD COMMON STOCK N/A 5400.00000000 NS 492330.17000000 0.025966338023 Long EC JP N 1 N N N Fibra Uno Administracion, S.A. de C.V N/A FIBRA UNO ADMINISTRACION SA REIT N/A 126171.00000000 NS 184838.53000000 0.009748701262 Long EC MX N 1 N N N HCL TECHNOLOGIES LIMITED 549300C1F8OLYSOQYB65 HCL TECHNOLOGIES LTD COMMON STOCK Y3121G147 1782.00000000 NS 27171.75000000 0.001433084722 Long EC IN N 1 N N N G.U.D. HOLDINGS LIMITED N/A G.U.D. HOLDINGS LTD COMMON STOCK N/A 64124.00000000 NS 435402.13000000 0.022963855503 Long EC AU N 1 N N N HKT Trust and HKT Limited N/A HKT TRUST AND HKT LTD-SS UNIT N/A 102740.00000000 NS 163068.96000000 0.008600536783 Long EC HK N 1 N N N CRODA INTERNATIONAL PUBLIC LIMITED COMPANY 2138004WCNBFJEEOXV26 CRODA INTERNATIONAL PLC COMMON STOCK N/A 3458.00000000 NS 206635.60000000 0.010898316138 Long EC GB N 1 N N N PRUDENTIAL PUBLIC LIMITED COMPANY 5493001Z3ZE83NGK8Y12 PRUDENTIAL PLC COMMON STOCK N/A 68113.00000000 NS 1235281.44000000 0.065150862936 Long EC GB N 1 N N N TELSTRA CORPORATION LIMITED PCTXNQGRJVR3OG33JG65 TELSTRA CORP LTD COMMON STOCK N/A 104832.00000000 NS 248355.02000000 0.013098669941 Long EC AU N 1 N N N Airports of Thailand Public Company Limited 5299006VS4CU6LW0TY22 AIRPORTS OF THAILAND PCL-FOR COMMON STOCK N/A 956800.00000000 NS 2338427.33000000 0.123332670216 Long EC TH N 1 N N N KYOCERA CORPORATION N/A KYOCERA CORP COMMON STOCK N/A 8500.00000000 NS 527098.27000000 0.027800067280 Long EC JP N 1 N N N Japan Real Estate Investment Corporation 3538003YAIR3CBGJJ928 JAPAN REAL ESTATE INVESTMENT REIT N/A 35.00000000 NS 234682.08000000 0.012377535622 Long EC JP N 1 N N N JASTRZEBSKA SPOLKA WEGLOWA SPOLKA AKCYJNA 259400D4E0H5BGXNIK97 JASTRZEBSKA SPOLKA WEGLOWA S COMMON STOCK N/A 6115.00000000 NS 33212.31000000 0.001751674223 Long EC PL N 1 N N N ITOCHU Techno-Solutions Corporation N/A ITOCHU TECHNO-SOLUTIONS CORP COMMON STOCK N/A 2400.00000000 NS 63526.47000000 0.003350495041 Long EC JP N 1 N N N VERBUND AG 5299006UDSEJCTTEJS30 VERBUND AG COMMON STOCK N/A 1907.00000000 NS 104342.81000000 0.005503218855 Long EC AT N 1 N N N MITSUBISHI MOTORS CORPORATION N/A MITSUBISHI MOTORS CORP COMMON STOCK N/A 16000.00000000 NS 69401.16000000 0.003660336273 Long EC JP N 1 N N N MEDIPAL HOLDINGS CORPORATION 353800PJDODZEA4NP730 MEDIPAL HOLDINGS CORP COMMON STOCK N/A 13200.00000000 NS 293726.71000000 0.015491650731 Long EC JP N 1 N N N SODEXO S.A. 969500LCBOG12HXPYM84 SODEXO SA COMMON STOCK N/A 2344.00000000 NS 263149.75000000 0.013878969390 Long EC FR N 1 N N N COMFORTDELGRO CORPORATION LIMITED 2549005O5PVA2JCH6Q33 COMFORTDELGRO CORP LTD COMMON STOCK N/A 59000.00000000 NS 102449.08000000 0.005403340285 Long EC SG N 1 N N N SOHGO SECURITY SERVICES CO.,LTD. N/A SOHGO SECURITY SERVICES CO COMMON STOCK N/A 4600.00000000 NS 240795.38000000 0.012699961555 Long EC JP N 1 N N N TERUMO CORPORATION 353800JX1R4582QVK932 TERUMO CORP COMMON STOCK N/A 17000.00000000 NS 547144.51000000 0.028857340378 Long EC JP N 1 N N N TESCO PLC 2138002P5RNKC5W2JZ46 TESCO PLC COMMON STOCK N/A 877306.00000000 NS 2599632.93000000 0.137109101799 Long EC GB N 1 N N N SUEZ S.A. 549300JQIZM6CL7POC81 SUEZ COMMON STOCK N/A 8607.00000000 NS 135324.29000000 0.007137235276 Long EC FR N 1 N N N GS Home Shopping Inc. N/A GS HOME SHOPPING INC COMMON STOCK N/A 1907.00000000 NS 247273.08000000 0.013041606569 Long EC KR N 1 N N N KONICA MINOLTA, INC. 549300SVK6KRUOL1A740 KONICA MINOLTA INC COMMON STOCK N/A 12000.00000000 NS 83458.96000000 0.004401768769 Long EC JP N 1 N N N DAEHAN FLOUR MILL CO.,LTD N/A DAEHAN FLOUR MILLS CO LTD COMMON STOCK N/A 86.00000000 NS 11827.11000000 0.000623782077 Long EC KR N 1 N N N YAMATO HOLDINGS CO.,LTD. N/A YAMATO HOLDINGS CO LTD COMMON STOCK N/A 7920.00000000 NS 119102.15000000 0.006281651774 Long EC JP N 1 N N N Grupo Aeroportuario del Pacifico, S.A.B. de C.V. 4469000001BZ368XFI90 GRUPO AEROPORT DEL PACIFIC-B COMMON STOCK N/A 212249.00000000 NS 2048492.17000000 0.108040992338 Long EC MX N 1 N N N HDFC BANK LIMITED 335800ZQ6I4E2JXENC50 HDFC BANK LIMITED COMMON STOCK N/A 192894.00000000 NS 3340930.57000000 0.176206411428 Long EC IN N 1 N N N RIO TINTO PLC 213800YOEO5OQ72G2R82 RIO TINTO PLC COMMON STOCK N/A 17112.00000000 NS 885571.41000000 0.046706555838 Long EC GB N 1 N N N LONDON STOCK EXCHANGE GROUP PLC 213800QAUUUP6I445N30 LONDON STOCK EXCHANGE GROUP COMMON STOCK N/A 8179.00000000 NS 734924.35000000 0.038761171377 Long EC GB N 1 N N N Novartis AG 5493007HIVTX6SY6XD66 NOVARTIS AG-REG COMMON STOCK N/A 18809.00000000 NS 1630911.14000000 0.086017052230 Long EC CH N 1 N N N SCHNEIDER ELECTRIC SE 969500A1YF1XUYYXS284 SCHNEIDER ELECTRIC SE COMMON STOCK N/A 14207.00000000 NS 1246540.49000000 0.065744684554 Long EC FR N 1 N N N Franco-Nevada Corporation N/A FRANCO-NEVADA CORP COMMON STOCK 351858105 8929.00000000 NS 813608.24000000 0.042911094761 Long EC CA N 1 N N N GETLINK S.E. 9695007ZEQ7M0OE74G82 GETLINK SE COMMON STOCK N/A 11940.00000000 NS 179333.60000000 0.009458361807 Long EC FR N 1 N N N HONG KONG DOLLAR N/A FX Forward Contract: HKD/USD SETTLE 2019-10-02 N/A 1.00000000 NC 125.24000000 0.000006605372 N/A DFE XX N 2 BROWN BROTHERS HARRIMAN & CO. N/A 426795.21000000 USD 3346074.43000000 HKD 2019-10-02 125.24000000 N N N Intact Corporation financiere 5493009LXGE7Y4U9OY43 INTACT FINANCIAL CORP COMMON STOCK 45823T106 3600.00000000 NS 362323.28000000 0.019109551548 Long EC CA N 1 N N N NATIONAL GRID PLC 8R95QZMKZLJX5Q2XR704 NATIONAL GRID PLC COMMON STOCK N/A 26993.00000000 NS 292694.38000000 0.015437203876 Long EC GB N 1 N N N Henkel AG & Co. KGaA 549300VZCL1HTH4O4Y49 HENKEL AG & CO KGAA COMMON STOCK N/A 38060.00000000 NS 3484626.20000000 0.183785165542 Long EC DE N 1 N N N Barry Callebaut AG 213800Y5RWKLDPUTT265 BARRY CALLEBAUT AG-REG COMMON STOCK N/A 60.00000000 NS 123721.26000000 0.006525271562 Long EC CH N 1 N N N DAIICHI SANKYO COMPANY, LIMITED 353800XGIU2IHQGC9504 DAIICHI SANKYO CO LTD COMMON STOCK N/A 14600.00000000 NS 918736.65000000 0.048455747508 Long EC JP N 1 N N N CARNIVAL PLC 4DR1VPDQMHD3N3QW8W95 CARNIVAL PLC COMMON STOCK N/A 15284.00000000 NS 633301.94000000 0.033401431086 Long EC GB N 1 N N N INTERTEK GROUP PLC 2138003GAT25WW1RN369 INTERTEK GROUP PLC COMMON STOCK N/A 45127.00000000 NS 3039501.62000000 0.160308531341 Long EC GB N 1 N N N N/A N/A STATE STREET INSTITUTIONAL TREASURY MONEY MARKET FUND 857492888 5877361.45000000 PA USD 5877361.45000000 0.309982128654 Long STIV XX N 2 N N N OLYMPUS CORPORATION 5299000Y52IFDI1I2A21 OLYMPUS CORP COMMON STOCK N/A 30000.00000000 NS 403976.88000000 0.021306433891 Long EC JP N 1 N N N NEUCA SPOLKA AKCYJNA 259400KFX90IZ97UDQ91 NEUCA SA COMMON STOCK N/A 96.00000000 NS 8594.30000000 0.000453278130 Long EC PL N 1 N N N LOTTE Himart Co.,Ltd N/A LOTTE HIMART CO LTD COMMON STOCK N/A 1119.00000000 NS 28065.04000000 0.001480198370 Long EC KR N 1 N N N DSV A/S 529900X41C0BSLK67H70 DSV A/S COMMON STOCK N/A 5692.00000000 NS 541616.45000000 0.028565781007 Long EC DK N 1 N N N SSI Group Inc N/A SSI GROUP INC COMMON STOCK N/A 279000.00000000 NS 15180.01000000 0.000800619776 Long EC PH N 1 N N N Geberit AG 52990093Z5OHD6T7BS47 GEBERIT AG-REG COMMON STOCK N/A 4708.00000000 NS 2248216.82000000 0.118574813114 Long EC CH N 1 N N N BANCO SANTANDER, S.A. 5493006QMFDDMYWIAM13 BANCO SANTANDER SA COMMON STOCK N/A 1189021.00000000 NS 4842422.06000000 0.255397649229 Long EC ES N 1 N N N Tsogo Sun Hotels Ltd N/A TSOGO SUN HOTELS LTD COMMON STOCK N/A 148686.00000000 NS 39760.86000000 0.002097055987 Long EC ZA N 1 N N N SUBARU CORPORATION 549300N244BVAEE6HH86 SUBARU CORP COMMON STOCK N/A 15800.00000000 NS 444226.59000000 0.023429272666 Long EC JP N 1 N N N Sumitomo Electric Industries, Ltd. 5493005SP87FL5TOS202 SUMITOMO ELECTRIC INDUSTRIES COMMON STOCK N/A 19100.00000000 NS 242183.58000000 0.012773177605 Long EC JP N 1 N N N IGG Inc 529900VBUXYUOTABSC33 IGG INC COMMON STOCK N/A 668000.00000000 NS 415917.94000000 0.021936225886 Long EC KY N 1 N N N ROYAL DUTCH SHELL PLC 21380068P1DRHMJ8KU70 ROYAL DUTCH SHELL PLC-A SHS COMMON STOCK N/A 113261.00000000 NS 3319942.26000000 0.175099451942 Long EC GB N 1 N N N Panasonic Corporation 254900GE1G59KGWPHX32 PANASONIC CORP COMMON STOCK N/A 55800.00000000 NS 451870.34000000 0.023832417158 Long EC JP N 1 N N N RITCHIE BROS. AUCTIONEERS INCORPORATED 5493002H8U24DJXQ4886 RITCHIE BROS AUCTIONEERS COMMON STOCK 767744105 30980.00000000 NS 1234897.38000000 0.065130606953 Long EC CA N 1 N N N DNB ASA 5967007LIEEXZX78M803 DNB ASA COMMON STOCK N/A 26643.00000000 NS 469301.50000000 0.024751766449 Long EC NO N 1 N N N NWS HOLDINGS LIMITED 2549002WHK9XGQC01O62 NWS HOLDINGS LTD COMMON STOCK N/A 42252.00000000 NS 65445.13000000 0.003451688462 Long EC BM N 1 N N N Japan Exchange Group, Inc. 353800578ADEGIJTVW07 JAPAN EXCHANGE GROUP INC COMMON STOCK N/A 13000.00000000 NS 204272.83000000 0.010773699594 Long EC JP N 1 N N N LLOYDS BANKING GROUP PLC 549300PPXHEU2JF0AM85 LLOYDS BANKING GROUP PLC COMMON STOCK N/A 1302494.00000000 NS 866717.18000000 0.045712151393 Long EC GB N 1 N N N UNITED UTILITIES GROUP PLC 2138002IEYQAOC88ZJ59 UNITED UTILITIES GROUP PLC COMMON STOCK N/A 17592.00000000 NS 178621.61000000 0.009420810233 Long EC GB N 1 N N N Lundin Mining Corporation 549300FQDIM6C8HTN269 LUNDIN MINING CORP COMMON STOCK 550372106 15100.00000000 NS 71006.53000000 0.003745006242 Long EC CA N 1 N N N BNP PARIBAS S.A. R0MUWSFPU8MPRO8K5P83 BNP PARIBAS COMMON STOCK N/A 25133.00000000 NS 1223681.55000000 0.064539064832 Long EC FR N 1 N N N KPIT Technologies Ltd 3358009MOTWWU66WMV49 KPIT TECHNOLOGIES LTD COMMON STOCK N/A 66647.00000000 NS 89622.78000000 0.004726859213 Long EC IN N 1 N N N SCHIBSTED ASA 5967007LIEEXZXHT0O36 SCHIBSTED ASA-B SHS COMMON STOCK N/A 8764.00000000 NS 245648.05000000 0.012955899698 Long EC NO N 1 N N N Allianz SE 529900K9B0N5BT694847 ALLIANZ SE-REG COMMON STOCK N/A 11052.00000000 NS 2576073.55000000 0.135866539669 Long EC DE N 1 N N N IRISH CONTINENTAL GROUP PLC 635400FQKB6QXERQOC74 IRISH CONTINENTAL GROUP PLC UNIT N/A 86661.00000000 NS 394828.15000000 0.020823914171 Long EC IE N 1 N N N GLOBAL PORTS INVESTMENTS PLC 2138007WMNVQAVLMP351 GLOBAL PORTS INV-GDR REG S DEPOSITARY RECEIPT 37951Q202 214134.00000000 NS USD 638119.32000000 0.033655507974 Long EC CY N 1 N N N Shaw Communications Inc. 549300SCT0RG6178CI40 SHAW COMMUNICATIONS INC-B COMMON STOCK 82028K200 12385.00000000 NS 243334.38000000 0.012833872772 Long EC CA N 1 N N N ABC-MART,INC. N/A ABC-MART INC COMMON STOCK N/A 700.00000000 NS 44476.30000000 0.002345756385 Long EC JP N 1 N N N CGI INC. 549300WSRCZY73ZG3090 CGI INC COMMON STOCK 12532H104 6500.00000000 NS 513975.17000000 0.027107932467 Long EC CA N 1 N N N TRANSURBAN GROUP 549300ZR71SUQ4VUTM79 TRANSURBAN GROUP UNIT N/A 69544.00000000 NS 689530.41000000 0.036367017084 Long EC AU N 1 N N N PT Media Nusantara Citra Tbk 254900Y0ZF75CIA04X94 MEDIA NUSANTARA CITRA TBK PT COMMON STOCK N/A 6123743.00000000 NS 532780.74000000 0.028099770500 Long EC ID N 1 N N N MARUTI SUZUKI INDIA LIMITED 335800D27PBEESKKD357 MARUTI SUZUKI INDIA LTD COMMON STOCK Y7565Y100 12372.00000000 NS 1172418.29000000 0.061835352530 Long EC IN N 1 N N N SMARTONE TELECOMMUNICATIONS HOLDINGS LIMITED 529900CT7EGMVQRYNQ45 SMARTONE TELECOMMUNICATIONS COMMON STOCK N/A 66447.00000000 NS 57734.29000000 0.003045005528 Long EC BM N 1 N N N Porsche Automobil Holding SE 52990053Z17ZYM1KFV27 Porsche Automobil Holding SE PREFERRED STOCK N/A 4066.00000000 NS 264575.63000000 0.013954172748 Long EP DE N 1 N N N ESPRIT HOLDINGS LIMITED 529900Y9K70J2INEUB08 ESPRIT HOLDINGS LTD COMMON STOCK N/A 1861777.00000000 NS 353936.45000000 0.018667215741 Long EC BM N 1 N N N SK TELECOM CO.,LTD 9884003WEA1PHW006037 SK TELECOM COMMON STOCK N/A 9902.00000000 NS 1999191.57000000 0.105440794092 Long EC KR N 1 N N N PChome Online Inc N/A PCHOME ONLINE INC COMMON STOCK N/A 150587.00000000 NS 630686.55000000 0.033263490929 Long EC TW N 2 N N N Hansol Technics Co., Ltd N/A HANSOL TECHNICS CO LTD COMMON STOCK N/A 9546.00000000 NS 55545.01000000 0.002929539144 Long EC KR N 1 N N N NIPPON PAINT HOLDINGS CO., LTD. 529900RYRJUN78A7PL87 NIPPON PAINT HOLDINGS CO LTD COMMON STOCK N/A 3700.00000000 NS 191972.25000000 0.010124945896 Long EC JP N 1 N N N SmartCentres Real Estate Investment Trust 549300HKEP2IYWZ14H97 SMARTCENTRES REAL ESTATE INV REIT 83179X108 2200.00000000 NS 53968.37000000 0.002846384445 Long EC CA N 1 N N N SUBARU CORPORATION 549300N244BVAEE6HH86 SUBARU CORP COMMON STOCK N/A 1100.00000000 NS 30927.17000000 0.001631152018 Long EC JP N 1 N N N Korea Investment Holdings Co., Ltd N/A KOREA INVESTMENT HOLDINGS CO COMMON STOCK N/A 6441.00000000 NS 405473.64000000 0.021385375582 Long EC KR N 1 N N N ITOCHU Corporation J48DJYXDTLHM30UMYI18 ITOCHU CORP COMMON STOCK N/A 35000.00000000 NS 722173.41000000 0.038088664921 Long EC JP N 1 N N N AURIZON HOLDINGS LIMITED 5299005PC1O6NOWL3H48 AURIZON HOLDINGS LTD COMMON STOCK N/A 51449.00000000 NS 204880.63000000 0.010805756009 Long EC AU N 1 N N N BNP PARIBAS S.A. R0MUWSFPU8MPRO8K5P83 BNP PARIBAS COMMON STOCK N/A 29025.00000000 NS 1413176.18000000 0.074533336798 Long EC FR N 1 N N N Roche Holding AG 549300U41AUUVOAAOB37 ROCHE HOLDING AG-GENUSSCHEIN COMMON STOCK N/A 10166.00000000 NS 2958483.74000000 0.156035509320 Long EC CH N 1 N N N Nippon Television Holdings, Inc. N/A NIPPON TELEVISION HOLDINGS COMMON STOCK N/A 40720.00000000 NS 521216.00000000 0.027489826266 Long EC JP N 1 N N N Hitachi Construction Machinery Co., Ltd. 5493009B7C53PDH8W826 HITACHI CONSTRUCTION MACHINE COMMON STOCK N/A 2400.00000000 NS 57821.97000000 0.003049629922 Long EC JP N 1 N N N DAIWA HOUSE INDUSTRY CO.,LTD. N/A DAIWA HOUSE INDUSTRY CO LTD COMMON STOCK N/A 14900.00000000 NS 483138.96000000 0.025481577835 Long EC JP N 1 N N N China National Building Material Company Limited 52990085PGF8YEPLBZ26 CHINA NATIONAL BUILDING MA-H COMMON STOCK N/A 226168.00000000 NS 203149.23000000 0.010714439002 Long EC CN N 1 N N N WFD Unibail-Rodamco N.V. 7245002R31EKBDW59H93 UNIBAIL-RODAMCO-WESTFIEL/CDI DEPOSITARY RECEIPT N/A 13660.00000000 NS 98191.13000000 0.005178768696 Long EC NL N 1 N N N TELECOM ITALIA SPA 549300W384M3RI3VXU42 TELECOM ITALIA-RSP COMMON STOCK N/A 152166.00000000 NS 83192.33000000 0.004387706245 Long EC IT N 1 N N N LINDE PUBLIC LIMITED COMPANY 8945002PAZHZLBGKGF02 LINDE PLC COMMON STOCK N/A 17632.00000000 NS 3420815.94000000 0.180419702928 Long EC IE N 1 N N N Wolters Kluwer N.V. 724500TEM53I0U077B74 WOLTERS KLUWER COMMON STOCK N/A 7371.00000000 NS 538120.68000000 0.028381408099 Long EC NL N 1 N N N Coca-Cola HBC AG 549300EFP3TNG7JGVE49 COCA-COLA HBC AG-DI COMMON STOCK N/A 5406.00000000 NS 176608.45000000 0.009314632719 Long EC CH N 1 N N N EMERA INCORPORATED NQZVQT2P5IUF2PGA1Q48 EMERA INC COMMON STOCK 290876101 5900.00000000 NS 259005.93000000 0.013660417212 Long EC CA N 1 N N N Ferrovial, S.A. 95980020140005757903 FERROVIAL SA COMMON STOCK N/A 12359.00000000 NS 357109.32000000 0.018834558350 Long EC ES N 1 N N N ELECTRICITE DE FRANCE SA 549300X3UK4GG3FNMO06 EDF COMMON STOCK N/A 16299.00000000 NS 182448.18000000 0.009622630101 Long EC FR N 1 N N N CAPGEMINI SE 96950077L0TN7BAROX36 CAPGEMINI SE COMMON STOCK N/A 4193.00000000 NS 494036.10000000 0.026056311699 Long EC FR N 1 N N N CNH Industrial N.V. 549300WGC2HZ5J67V817 CNH INDUSTRIAL NV COMMON STOCK N/A 163049.00000000 NS 1659866.44000000 0.087544204441 Long EC NL N 1 N N N 3I GROUP PLC 35GDVHRBMFE7NWATNM84 3I GROUP PLC COMMON STOCK N/A 24356.00000000 NS 349328.96000000 0.018424208812 Long EC GB N 1 N N N GENPACT LIMITED 529900OSEC6Q0L4L5B35 GENPACT LTD COMMON STOCK G3922B107 14133.00000000 NS USD 547653.75000000 0.028884198570 Long EC BM N 1 N N N GLAXOSMITHKLINE PLC 5493000HZTVUYLO1D793 GLAXOSMITHKLINE PLC COMMON STOCK N/A 129839.00000000 NS 2785126.45000000 0.146892348358 Long EC GB N 1 N N N PERSIMMON PUBLIC LIMITED COMPANY 213800XI72Y57UWN6F31 PERSIMMON PLC COMMON STOCK N/A 8240.00000000 NS 219852.21000000 0.011595382830 Long EC GB N 1 N N N SUMITOMO CHEMICAL COMPANY, LIMITED 353800RSAU9BD8U4DM91 SUMITOMO CHEMICAL CO LTD COMMON STOCK N/A 38800.00000000 NS 174039.31000000 0.009179131867 Long EC JP N 1 N N N UBISOFT ENTERTAINMENT S.A. 969500I7C8V1LBIMSM05 UBISOFT ENTERTAINMENT COMMON STOCK N/A 2183.00000000 NS 157847.36000000 0.008325140638 Long EC FR N 1 N N N MITSUI & CO., LTD. 2NRSB4GOU9DD6CNW5R48 MITSUI & CO LTD COMMON STOCK N/A 43000.00000000 NS 703112.14000000 0.037083340831 Long EC JP N 1 N N N TIMES CHINA HOLDINGS LIMITED 2549000KTINB9ZPZP710 TIMES CHINA HOLDINGS LTD COMMON STOCK N/A 270000.00000000 NS 420276.36000000 0.022166096436 Long EC KY N 1 N N N NSK Ltd. 353800FVQK6SULSPBC69 NSK LTD COMMON STOCK N/A 8200.00000000 NS 69012.72000000 0.003639849281 Long EC JP N 1 N N N BENDIGO AND ADELAIDE BANK LIMITED 549300Y9URD6W70K0360 BENDIGO AND ADELAIDE BANK COMMON STOCK N/A 12425.00000000 NS 96358.14000000 0.005082093657 Long EC AU N 1 N N N Fresenius Medical Care AG & Co. KGaA 549300CP8NY40UP89Q40 FRESENIUS MEDICAL CARE AG & COMMON STOCK N/A 5540.00000000 NS 372565.86000000 0.019649762793 Long EC DE N 1 N N N Partners Group Holding AG 549300I3IVVWZWDHI788 PARTNERS GROUP HOLDING AG COMMON STOCK N/A 480.00000000 NS 368302.19000000 0.019424889521 Long EC CH N 1 N N N SUNDRUG CO.,LTD. N/A SUNDRUG CO LTD COMMON STOCK N/A 4400.00000000 NS 138358.38000000 0.007297258389 Long EC JP N 1 N N N RWE Aktiengesellschaft 529900GB7KCA94ACC940 RWE AG COMMON STOCK N/A 14030.00000000 NS 438729.00000000 0.023139320336 Long EC DE N 1 N N N Daiwa Securities Group Inc. 353800WRC7Y23PWFJG38 DAIWA SECURITIES GROUP INC COMMON STOCK N/A 41300.00000000 NS 183878.10000000 0.009698046535 Long EC JP N 1 N N N TSURUHA HOLDINGS INC. N/A TSURUHA HOLDINGS INC COMMON STOCK N/A 1000.00000000 NS 108855.49000000 0.005741225342 Long EC JP N 1 N N N ADVANTEST CORPORATION 353800EMK32PDKS9XR54 ADVANTEST CORP COMMON STOCK N/A 5100.00000000 NS 225225.43000000 0.011878775673 Long EC JP N 1 N N N Ten Square Games SA 2594005719IKYHOINE82 TEN SQUARE GAMES SA COMMON STOCK N/A 193.00000000 NS 6458.84000000 0.000340650305 Long EC PL N 1 N N N Shin-Etsu Chemical Co., Ltd. 353800PX8Q64N86H5W41 SHIN-ETSU CHEMICAL CO LTD COMMON STOCK N/A 16100.00000000 NS 1721304.05000000 0.090784529421 Long EC JP N 1 N N N DBS GROUP HOLDINGS LTD 5493007FKT78NKPM5V55 DBS GROUP HOLDINGS LTD COMMON STOCK N/A 46228.00000000 NS 836161.05000000 0.044100568661 Long EC SG N 1 N N N ATLANTIA S.P.A. 8156008DEC771409C487 ATLANTIA SPA COMMON STOCK N/A 12420.00000000 NS 300391.08000000 0.015843141041 Long EC IT N 1 N N N Compagnie des chemins de fer nationaux du Canada 3SU7BEP7TH9YEQOZCS77 CANADIAN NATL RAILWAY CO COMMON STOCK 136375102 18800.00000000 NS 1688076.39000000 0.089032045613 Long EC CA N 1 N N N OLYMPUS CORPORATION 5299000Y52IFDI1I2A21 OLYMPUS CORP COMMON STOCK N/A 15700.00000000 NS 211414.57000000 0.011150367217 Long EC JP N 1 N N N BANDAI NAMCO Holdings Inc. N/A BANDAI NAMCO HOLDINGS INC COMMON STOCK N/A 20400.00000000 NS 1269752.60000000 0.066968931068 Long EC JP N 1 N N N MINEBEA MITSUMI Inc. 353800CCB0CZ75YZ4010 MINEBEA MITSUMI INC COMMON STOCK N/A 9600.00000000 NS 151913.06000000 0.008012155473 Long EC JP N 1 N N N MERLIN ENTERTAINMENTS PLC 549300ZTI0VEFO6WV007 MERLIN ENTERTAINMENT COMMON STOCK N/A 19724.00000000 NS 109713.86000000 0.005786497249 Long EC GB N 1 N N N Sumitomo Electric Industries, Ltd. 5493005SP87FL5TOS202 SUMITOMO ELECTRIC INDUSTRIES COMMON STOCK N/A 16500.00000000 NS 209216.18000000 0.011034420356 Long EC JP N 1 N N N Julius Baer Gruppe AG 5299007MF0604ZGJER92 JULIUS BAER GROUP LTD COMMON STOCK N/A 5699.00000000 NS 252502.16000000 0.013317397221 Long EC CH N 1 N N N TEKFEN HOLDING ANONIM SIRKETI N/A TEKFEN HOLDING AS COMMON STOCK N/A 5919.00000000 NS 20061.92000000 0.001058100087 Long EC TR N 1 N N N Interpark Holdings Corporation N/A INTERPARK HOLDINGS CORP COMMON STOCK N/A 47727.00000000 NS 93367.20000000 0.004924346349 Long EC KR N 1 N N N RIO TINTO LIMITED 529900X2VMAQT2PE0V24 RIO TINTO LTD COMMON STOCK N/A 9761.00000000 NS 610527.79000000 0.032200283334 Long EC AU N 1 N N N NIPPON SHOKUBAI CO., LTD. N/A NIPPON SHOKUBAI CO LTD COMMON STOCK N/A 4900.00000000 NS 278252.02000000 0.014675489026 Long EC JP N 1 N N N SEMBCORP INDUSTRIES LTD 254900J0FF14U6TPQM96 SEMBCORP INDUSTRIES LTD COMMON STOCK N/A 18500.00000000 NS 27840.68000000 0.001468365238 Long EC SG N 1 N N N ISRAEL DISCOUNT BANK LIMITED 549300XWZ7BG5G23OF51 ISRAEL DISCOUNT BANK-A COMMON STOCK 465074201 29556.00000000 NS 129863.92000000 0.006849245992 Long EC IL N 2 N N N MERCK Kommanditgesellschaft auf Aktien 529900OAREIS0MOPTW25 MERCK KGAA COMMON STOCK N/A 34257.00000000 NS 3858939.20000000 0.203527075497 Long EC DE N 1 N N N ROTORK P.L.C. 213800AH5RZIHGWRJ718 ROTORK PLC COMMON STOCK N/A 55988.00000000 NS 214435.60000000 0.011309701523 Long EC GB N 1 N N N Randstad N.V. 7245009EAAUUQJ0U4T57 RANDSTAD NV COMMON STOCK N/A 3053.00000000 NS 150042.80000000 0.007913514751 Long EC NL N 1 N N N FAST RETAILING CO., LTD. 353800ZCXKHDPY0N5218 FAST RETAILING CO LTD COMMON STOCK N/A 1500.00000000 NS 890774.57000000 0.046980979425 Long EC JP N 1 N N N JOHN WOOD GROUP P.L.C. 549300PLYY6I10B6S323 JOHN WOOD GROUP PLC COMMON STOCK N/A 54090.00000000 NS 252656.32000000 0.013325527884 Long EC GB N 1 N N N MANDOM CORPORATION N/A MANDOM CORP COMMON STOCK N/A 5100.00000000 NS 126267.75000000 0.006659577815 Long EC JP N 1 N N N TECHTRONIC INDUSTRIES COMPANY LIMITED 549300HZW2SBE758OK89 TECHTRONIC INDUSTRIES CO LTD COMMON STOCK N/A 36500.00000000 NS 254038.17000000 0.013398409025 Long EC HK N 1 N N N SUMCO CORPORATION 353800SUSRUOM0V6KU92 SUMCO CORP COMMON STOCK N/A 6600.00000000 NS 88508.67000000 0.004668099140 Long EC JP N 1 N N N SMURFIT KAPPA GROUP PUBLIC LIMITED COMPANY 635400CPLP8H5ITDVT56 SMURFIT KAPPA GROUP PLC COMMON STOCK N/A 5523.00000000 NS 164340.96000000 0.008667624245 Long EC IE N 1 N N N AMUNDI SA 96950010FL2T1TJKR531 AMUNDI SA COMMON STOCK N/A 1653.00000000 NS 115308.40000000 0.006081562889 Long EC FR N 1 N N N Alcon AG 549300LDT5AP8S0NBM78 ALCON INC COMMON STOCK N/A 21308.00000000 NS 1242548.57000000 0.065534143843 Long EC CH N 1 N N N ELBIT SYSTEMS LTD 529900Q9CB1REUMZSS32 ELBIT SYSTEMS LTD COMMON STOCK N/A 678.00000000 NS 112349.28000000 0.005925493822 Long EC IL N 2 N N N Swedbank AB M312WZV08Y7LYUC71685 SWEDBANK AB - A SHARES COMMON STOCK N/A 23888.00000000 NS 343855.38000000 0.018135522810 Long EC SE N 1 N N N CHINA RESOURCES CEMENT HOLDINGS LIMITED 529900E0EOYXYJ0GHY66 CHINA RESOURCES CEMENT COMMON STOCK N/A 404000.00000000 NS 405149.47000000 0.021368278300 Long EC KY N 1 N N N CK HUTCHISON HOLDINGS LIMITED 254900Z8HM1VEPOQ2G79 CK HUTCHISON HOLDINGS LTD COMMON STOCK N/A 171052.00000000 NS 1510238.77000000 0.079652584358 Long EC KY N 1 N N N OIL SEARCH LIMITED 529900NIUGGGKB5VMO41 OIL SEARCH LTD COMMON STOCK N/A 35164.00000000 NS 173732.60000000 0.009162955455 Long EC PG N 1 N N N TECHNIPFMC PLC 549300D5I93QWCJTCK36 TECHNIPFMC PLC COMMON STOCK N/A 7463.00000000 NS 179036.51000000 0.009442692771 Long EC GB N 1 N N N DAIWA HOUSE REIT INVESTMENT CORPORATION 3538001FWU534P8JMO05 DAIWA HOUSE REIT INVESTMENT REIT N/A 50.00000000 NS 140578.03000000 0.007414326539 Long EC JP N 1 N N N DEVRO PLC 549300Z9YLY7LEMLJ904 DEVRO PLC COMMON STOCK N/A 84569.00000000 NS 197356.43000000 0.010408916789 Long EC GB N 1 N N N TSUMURA & CO. N/A TSUMURA & CO COMMON STOCK N/A 5200.00000000 NS 138987.28000000 0.007330427654 Long EC JP N 1 N N N Nissan Chemical Corporation 3538002E4L1CUGJFFU25 NISSAN CHEMICAL CORP COMMON STOCK N/A 8100.00000000 NS 336735.26000000 0.017759995463 Long EC JP N 1 N N N Makita Corporation 529900CDR9E94BCM6294 MAKITA CORP COMMON STOCK N/A 5600.00000000 NS 176092.49000000 0.009287420104 Long EC JP N 1 N N N Takeaway.com N.V. 724500FVZIBSSQ7SHI95 TAKEAWAY.COM NV COMMON STOCK N/A 1061.00000000 NS 84651.49000000 0.004464664847 Long EC NL N 1 N N N MAEDA CORPORATION N/A MAEDA CORP COMMON STOCK N/A 32400.00000000 NS 282273.29000000 0.014887577706 Long EC JP N 1 N N N BAE SYSTEMS PLC 8SVCSVKSGDWMW2QHOH83 BAE SYSTEMS PLC COMMON STOCK N/A 137752.00000000 NS 965420.81000000 0.050917950219 Long EC GB N 1 N N N ST. JAMES'S PLACE PLC 213800M993ICXOMBCP87 ST JAMES'S PLACE PLC COMMON STOCK N/A 35554.00000000 NS 428146.56000000 0.022581184290 Long EC GB N 1 N N N The Swatch Group AG 529900NTES2LEON1JZ55 SWATCH GROUP AG/THE-BR COMMON STOCK N/A 19810.00000000 NS 5257921.95000000 0.277311826441 Long EC CH N 1 N N N FAIRFAX FINANCIAL HOLDINGS LIMITED GLS7OQD0WOEDI8YAP031 FAIRFAX FINANCIAL HLDGS LTD COMMON STOCK 303901102 7249.00000000 NS 3195392.69000000 0.168530493888 Long EC CA N 1 N N N THE SAGE GROUP PLC. 2138005RN5XYLTF8G138 SAGE GROUP PLC/THE COMMON STOCK N/A 28889.00000000 NS 245587.23000000 0.012952691947 Long EC GB N 1 N N N SCSK Corporation N/A SCSK CORP COMMON STOCK N/A 6600.00000000 NS 309475.14000000 0.016322249954 Long EC JP N 1 N N N ESSILORLUXOTTICA SA 549300M3VH1A3ER1TB49 ESSILORLUXOTTICA COMMON STOCK N/A 7332.00000000 NS 1056881.42000000 0.055741739740 Long EC FR N 1 N N N BLUESCOPE STEEL LIMITED N/A BLUESCOPE STEEL LTD COMMON STOCK N/A 82449.00000000 NS 668344.47000000 0.035249634252 Long EC AU N 1 N N N P/F Bakkafrost 2138007LH7OP4V112978 BAKKAFROST P/F COMMON STOCK N/A 24380.00000000 NS 1439059.54000000 0.075898469621 Long EC FO N 1 N N N CHINA MEIDONG AUTO HOLDINGS LIMITED N/A CHINA MEIDONG AUTO HOLDINGS COMMON STOCK N/A 42000.00000000 NS 37511.00000000 0.001978394510 Long EC KY N 1 N N N DAITO TRUST CONSTRUCTION CO.,LTD. 353800QQ4DRI3KXS3038 DAITO TRUST CONSTRUCT CO LTD COMMON STOCK N/A 1800.00000000 NS 229900.58000000 0.012125351107 Long EC JP N 1 N N N IMI PLC 2138002W9Q21PF751R30 IMI PLC COMMON STOCK N/A 13645.00000000 NS 161093.91000000 0.008496369256 Long EC GB N 1 N N N NIPPON TELEGRAPH AND TELEPHONE CORPORATION 353800VHQU5VIXVUA841 NIPPON TELEGRAPH & TELEPHONE COMMON STOCK N/A 16600.00000000 NS 791580.12000000 0.041749293911 Long EC JP N 1 N N N Yokogawa Electric Corporation 529900MV0U7C9WWF4L22 YOKOGAWA ELECTRIC CORP COMMON STOCK N/A 5700.00000000 NS 104221.04000000 0.005496796496 Long EC JP N 1 N N N KBC GROEP N.V. 213800X3Q9LSAKRUWY91 KBC GROUP NV COMMON STOCK N/A 6419.00000000 NS 417126.21000000 0.021999952120 Long EC BE N 1 N N N H&R Real Estate Investment Trust 549300TGNP6B6GUVGW10 H&R REAL ESTATE INV-REIT UTS REIT 403925407 4100.00000000 NS 71580.18000000 0.003775261527 Long EC CA N 1 N N N NIPPON STEEL CORPORATION 35380065QWQ4U2V3PA33 NIPPON STEEL CORP COMMON STOCK N/A 21600.00000000 NS 300751.91000000 0.015862171835 Long EC JP N 1 N N N Fortum Oyj 635400IUIZZIUJSAMF76 FORTUM OYJ COMMON STOCK N/A 11043.00000000 NS 261068.67000000 0.013769209659 Long EC FI N 1 N N N VODAFONE IDEA LIMITED 335800UBBFAK7HCF3209 VODAFONE IDEA LTD COMMON STOCK N/A 6303373.00000000 NS 547007.20000000 0.028850098413 Long EC IN N 1 N N N Companhia de Saneamento Basico do Estado de Sao Paulo - SABESP 254900UOXRZRS2TNWP19 CIA SANEAMENTO BASICO DE SP COMMON STOCK N/A 17600.00000000 NS 209254.02000000 0.011036416102 Long EC BR N 1 N N N LEONARDO - SOCIETA PER AZIONI 529900X4EEX1U9LN3U39 LEONARDO SPA COMMON STOCK N/A 9707.00000000 NS 114160.17000000 0.006021003269 Long EC IT N 1 N N N BRITISH LAND COMPANY PUBLIC LIMITED COMPANY(THE) RV5B68J2GV3QGMRPW209 BRITISH LAND CO PLC REIT N/A 22005.00000000 NS 158224.10000000 0.008345010552 Long EC GB N 1 N N N United Internet AG 3VEKWPJHTD4NKMBVG947 UNITED INTERNET AG-REG SHARE COMMON STOCK N/A 3313.00000000 NS 118188.59000000 0.006233469052 Long EC DE N 1 N N N CK ASSET HOLDINGS LIMITED 5299006GJZSGP78B8S35 CK ASSET HOLDINGS LTD COMMON STOCK N/A 68138.00000000 NS 461631.32000000 0.024347227994 Long EC KY N 1 N N N FLUTTER ENTERTAINMENT PLC 635400EG4YIJLJMZJ782 FLUTTER ENTERTAINMENT PLC COMMON STOCK N/A 1997.00000000 NS 186668.47000000 0.009845215438 Long EC IE N 1 N N N Vermilion Energy Inc. WT03B8BB1IX8WI9ZGV02 VERMILION ENERGY INC COMMON STOCK 923725105 3400.00000000 NS 56638.86000000 0.002987230670 Long EC CA N 1 N N N ISUZU MOTORS LIMITED 529900C0QSXVCC7AR494 ISUZU MOTORS LTD COMMON STOCK N/A 14300.00000000 NS 157448.79000000 0.008304119372 Long EC JP N 1 N N N BORAL LIMITED 549300KLCHOLFEMSPR08 BORAL LTD COMMON STOCK N/A 29759.00000000 NS 97014.67000000 0.005116720176 Long EC AU N 1 N N N BOC HONG KONG (HOLDINGS) LIMITED N/A BOC HONG KONG HOLDINGS LTD COMMON STOCK N/A 97500.00000000 NS 330900.65000000 0.017452268119 Long EC HK N 1 N N N KINGFISHER PLC 213800KBMEV7I92FY281 KINGFISHER PLC COMMON STOCK N/A 54348.00000000 NS 138190.43000000 0.007288400418 Long EC GB N 1 N N N THE ROYAL BANK OF SCOTLAND GROUP PUBLIC LIMITED COMPANY 2138005O9XJIJN4JPN90 ROYAL BANK OF SCOTLAND GROUP COMMON STOCK N/A 127823.00000000 NS 326272.33000000 0.017208162580 Long EC GB N 1 N N N BRAMBLES LIMITED N/A BRAMBLES LTD COMMON STOCK N/A 142295.00000000 NS 1094879.83000000 0.057745841090 Long EC AU N 1 N N N SHIMIZU CORPORATION 353800BRAE0QFP3ZLY22 SHIMIZU CORP COMMON STOCK N/A 45900.00000000 NS 415169.48000000 0.021896750822 Long EC JP N 1 N N N RAMSAY HEALTH CARE LIMITED 549300QBX122KF2JPI10 RAMSAY HEALTH CARE LTD COMMON STOCK N/A 4376.00000000 NS 191598.97000000 0.010105258469 Long EC AU N 1 N N N Kawasaki Heavy Industries, Ltd. 5493008FFSI8SQ74AT93 KAWASAKI HEAVY INDUSTRIES COMMON STOCK N/A 3200.00000000 NS 70792.14000000 0.003733698945 Long EC JP N 1 N N N West Fraser Timber Co. Ltd. 5493005WD1ZK6WBVR988 WEST FRASER TIMBER CO LTD COMMON STOCK 952845105 1300.00000000 NS 52005.89000000 0.002742879882 Long EC CA N 1 N N N GLENCORE PLC 2138002658CPO9NBH955 GLENCORE PLC COMMON STOCK N/A 344211.00000000 NS 1035836.79000000 0.054631809840 Long EC JE N 1 N N N DENSO CORPORATION 549300RYPA10CQM3QK38 DENSO CORP COMMON STOCK N/A 152700.00000000 NS 6706795.84000000 0.353727921724 Long EC JP N 1 N N N BANCO DO BRASIL S.A. QE0Q0253K88YAGNPE356 BANCO DO BRASIL S.A. COMMON STOCK N/A 65000.00000000 NS 713365.99000000 0.037624146476 Long EC BR N 1 N N N Changyou.Com Ltd 529900VD5LTPRWYYL682 CHANGYOU.COM LTD-ADR DEPOSITARY RECEIPT 15911M107 20909.00000000 NS USD 198635.50000000 0.010476377136 Long EC KY N 1 N N N GIANT MANUFACTURING CO., LTD. 549300M7TYVF50B2GY12 GIANT MANUFACTURING COMMON STOCK N/A 122414.00000000 NS 834998.84000000 0.044039271712 Long EC TW N 2 N N N Seohan N/A SEOHAN CO LTD COMMON STOCK N/A 15917.00000000 NS 17298.92000000 0.000912374726 Long EC KR N 1 N N N Stanley Electric Co., Ltd. N/A STANLEY ELECTRIC CO LTD COMMON STOCK N/A 3500.00000000 NS 92448.55000000 0.004875895172 Long EC JP N 1 N N N BANK LEUMI LE ISRAEL B.M. 7JDSZWRGUQY2DSTWCR57 BANK LEUMI LE-ISRAEL COMMON STOCK N/A 38010.00000000 NS 270450.07000000 0.014264000794 Long EC IL N 2 N N N Alfresa Holdings Corporation N/A ALFRESA HOLDINGS CORP COMMON STOCK N/A 4600.00000000 NS 102657.11000000 0.005414312144 Long EC JP N 1 N N N BANKINTER, S.A. VWMYAEQSTOPNV0SUGU82 BANKINTER SA COMMON STOCK N/A 16736.00000000 NS 105691.06000000 0.005574327874 Long EC ES N 1 N N N SEVERSTAL' PAO 213800OKDPTV6K4ONO53 SEVERSTAL - GDR REG S DEPOSITARY RECEIPT 818150302 53292.00000000 NS USD 764740.20000000 0.040333710471 Long EC RU N 1 N N N UBS Group AG 549300SZJ9VS8SGXAN81 UBS GROUP AG-REG COMMON STOCK N/A 32289.00000000 NS 366549.14000000 0.019332430656 Long EC CH N 1 N N N Bayer Aktiengesellschaft 549300J4U55H3WP1XT59 BAYER AG-REG COMMON STOCK N/A 24315.00000000 NS 1714429.19000000 0.090421937507 Long EC DE N 1 N N N Weichai Power Co., Ltd. 529900OKTPKBG85F9502 WEICHAI POWER CO LTD-H COMMON STOCK N/A 765000.00000000 NS 1102938.36000000 0.058170861791 Long EC CN N 1 N N N ATOS SE 5493001EZOOA66PTBR68 ATOS SE COMMON STOCK N/A 2415.00000000 NS 170253.20000000 0.008979445929 Long EC FR N 1 N N N ALIMENTATION COUCHE-TARD INC. 549300OSW32RVX8CCZ87 ALIMENTATION COUCHE-TARD -B COMMON STOCK 01626P403 22800.00000000 NS 698705.51000000 0.036850927603 Long EC CA N 1 N N N DAIFUKU CO.,LTD. N/A DAIFUKU CO LTD COMMON STOCK N/A 2400.00000000 NS 123634.68000000 0.006520705185 Long EC JP N 1 N N N OBAYASHI CORPORATION 529900YT4O5S0LCXWD54 OBAYASHI CORP COMMON STOCK N/A 16000.00000000 NS 159223.12000000 0.008397700581 Long EC JP N 1 N N N LAND SECURITIES GROUP PLC 213800V8IAVKS37D6B88 LAND SECURITIES GROUP PLC REIT N/A 19033.00000000 NS 200413.88000000 0.010570171949 Long EC GB N 1 N N N Mega Study Edu Co Ltd N/A MEGASTUDYEDU CO LTD COMMON STOCK N/A 1335.00000000 NS 38002.55000000 0.002004319700 Long EC KR N 1 N N N BUNZL PUBLIC LIMITED COMPANY 213800Q1Q9DV4L78UM09 BUNZL PLC COMMON STOCK N/A 58772.00000000 NS 1535582.99000000 0.080989282012 Long EC GB N 1 N N N J.FRONT RETAILING Co., Ltd. N/A J FRONT RETAILING CO LTD COMMON STOCK N/A 5200.00000000 NS 60788.90000000 0.003206110902 Long EC JP N 1 N N N AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED JHE42UYNWWTJB8YTTU19 AUST AND NZ BANKING GROUP COMMON STOCK N/A 73953.00000000 NS 1423564.93000000 0.075081257301 Long EC AU N 1 N N N N/A N/A STATE STREET INSTITUTIONAL TREASURY MONEY MARKET FUND 857492888 4528.39000000 PA USD 4528.39000000 0.000238835059 Long STIV XX N 2 N N N ICA Gruppen Aktiebolag 549300ZEFN8VKPK9I111 ICA GRUPPEN AB COMMON STOCK N/A 2452.00000000 NS 113283.62000000 0.005974772517 Long EC SE N 1 N N N Fresenius SE & Co. KGaA XDFJ0CYCOO1FXRFTQS51 FRESENIUS SE & CO KGAA COMMON STOCK N/A 10994.00000000 NS 514008.77000000 0.027109704588 Long EC DE N 1 N N N Bayerische Motoren Werke Aktiengesellschaft YEH5ZCD6E441RHVHD759 Bayerische Motoren Werke AG PREFERRED STOCK N/A 1313.00000000 NS 72915.03000000 0.003845663807 Long EP DE N 1 N N N TOPPAN PRINTING CO., LTD. 3538003H9W4KIDODQY20 TOPPAN PRINTING CO LTD COMMON STOCK 890747108 7600.00000000 NS 134392.60000000 0.007088096346 Long EC JP N 1 N N N Mitsubishi Estate Company, Limited 353800KOFMRGOXSJ5Z65 MITSUBISHI ESTATE CO LTD COMMON STOCK N/A 55900.00000000 NS 1077415.95000000 0.056824766090 Long EC JP N 1 N N N TREASURY WINE ESTATES LIMITED 529900LVOPJGAX6ILK66 TREASURY WINE ESTATES LTD COMMON STOCK N/A 18362.00000000 NS 230146.22000000 0.012138306582 Long EC AU N 1 N N N FUJIFILM Holdings Corporation 529900UBKMFM0ST6H474 FUJIFILM HOLDINGS CORP COMMON STOCK N/A 3900.00000000 NS 170968.79000000 0.009017187373 Long EC JP N 1 N N N YUE YUEN INDUSTRIAL (HOLDINGS) LIMITED 254900YUFIBANZ1XU687 YUE YUEN INDUSTRIAL HLDG COMMON STOCK N/A 300500.00000000 NS 822400.07000000 0.043374790962 Long EC BM N 1 N N N Beiersdorf Aktiengesellschaft L47NHHI0Z9X22DV46U41 BEIERSDORF AG COMMON STOCK N/A 2533.00000000 NS 298724.32000000 0.015755233259 Long EC DE N 1 N N N Akzo Nobel N.V. 724500XYIJUGXAA5QD70 AKZO NOBEL N.V. COMMON STOCK N/A 12284.00000000 NS 1095085.79000000 0.057756703774 Long EC NL N 1 N N N SPARK NEW ZEALAND LIMITED 529900HUN51H3Y7QBB66 SPARK NEW ZEALAND LTD COMMON STOCK N/A 50468.00000000 NS 139369.84000000 0.007350604525 Long EC NZ N 1 N N N Mitsubishi Estate Company, Limited 353800KOFMRGOXSJ5Z65 MITSUBISHI ESTATE CO LTD COMMON STOCK N/A 31100.00000000 NS 599421.04000000 0.031614494279 Long EC JP N 1 N N N SSE PLC 549300KI75VYLLMSK856 SSE PLC COMMON STOCK N/A 28084.00000000 NS 430077.36000000 0.022683017995 Long EC GB N 1 N N N GEA Group Aktiengesellschaft 549300PHUU0ZZWO8EO07 GEA GROUP AG COMMON STOCK N/A 4104.00000000 NS 110800.44000000 0.005843805343 Long EC DE N 1 N N N Cronos Group Inc. N/A CRONOS GROUP INC COMMON STOCK 22717L101 4700.00000000 NS 42464.43000000 0.002239646908 Long EC CA N 1 N N N Geberit AG 52990093Z5OHD6T7BS47 GEBERIT AG-REG COMMON STOCK N/A 937.00000000 NS 447446.72000000 0.023599107848 Long EC CH N 1 N N N NK LUKOIL PAO 549300LCJ1UJXHYBWI24 LUKOIL PJSC-SPON ADR DEPOSITARY RECEIPT 69343P105 6412.00000000 NS USD 530464.76000000 0.027977621740 Long EC RU N 1 N N N ANTOFAGASTA PLC 213800MY6QVH4FVLD628 ANTOFAGASTA PLC COMMON STOCK N/A 9432.00000000 NS 104257.52000000 0.005498720514 Long EC GB N 1 N N N Shin-Etsu Chemical Co., Ltd. 353800PX8Q64N86H5W41 SHIN-ETSU CHEMICAL CO LTD COMMON STOCK N/A 3900.00000000 NS 416961.85000000 0.021991283491 Long EC JP N 1 N N N SUL AMERICA S.A. N/A SUL AMERICA SA - UNITS UNIT N/A 169700.00000000 NS 1949429.24000000 0.102816243414 Long EC BR N 1 N N N CHINA UNICOM (HONG KONG) LIMITED 5299006RQXYNFYPOUS20 CHINA UNICOM HONG KONG LTD COMMON STOCK N/A 1718000.00000000 NS 1823718.69000000 0.096186053282 Long EC HK N 1 N N N FLUTTER ENTERTAINMENT PLC 635400EG4YIJLJMZJ782 FLUTTER ENTERTAINMENT PLC COMMON STOCK N/A 13097.00000000 NS 1225463.48000000 0.064633046878 Long EC IE N 1 N N N UNITED INDUSTRIAL CORPORATION LIMITED N/A UNITED INDUSTRIAL CORP LTD COMMON STOCK N/A 18948.00000000 NS 38659.60000000 0.002038973645 Long EC SG N 1 N N N IRB Brasil Resseguros SA 21380017DVWSU9AEU878 IRB BRASIL RESSEGUROS SA COMMON STOCK N/A 232200.00000000 NS 2095134.24000000 0.110500975149 Long EC BR N 1 N N N SAMSUNG ENGINEERING CO.,LTD 988400HDAY5KIVHGZ188 SAMSUNG ENGINEERING CO LTD COMMON STOCK N/A 11750.00000000 NS 165029.47000000 0.008703937444 Long EC KR N 1 N N N ARKEMA SA 9695000EHMS84KKP2785 ARKEMA COMMON STOCK N/A 1816.00000000 NS 169274.55000000 0.008927830248 Long EC FR N 1 N N N FOURLIS S.A. 213800V54ASIMZREDX49 FOURLIS SA COMMON STOCK N/A 2572.00000000 NS 15446.52000000 0.000814675971 Long EC GR N 1 N N N Itausa - Investimentos Itau S.A. N/A Itausa - Investimentos Itau SA PREFERRED STOCK N/A 201217.00000000 NS 641190.17000000 0.033817469873 Long EP BR N 1 N N N Ascendas Real Estate Investment Trust 549300ILIBAEMQZK3L20 ASCENDAS REAL ESTATE INV TRT REIT N/A 68100.00000000 NS 153725.72000000 0.008107758272 Long EC SG N 1 N N N Randstad N.V. 7245009EAAUUQJ0U4T57 RANDSTAD NV COMMON STOCK N/A 61429.00000000 NS 3018990.93000000 0.159226762354 Long EC NL N 1 N N N DENSO CORPORATION 549300RYPA10CQM3QK38 DENSO CORP COMMON STOCK N/A 11400.00000000 NS 500703.82000000 0.026407978694 Long EC JP N 1 N N N SUNDRUG CO.,LTD. N/A SUNDRUG CO LTD COMMON STOCK N/A 1500.00000000 NS 47167.63000000 0.002487701747 Long EC JP N 1 N N N Wilcon Depot Inc N/A WILCON DEPOT INC COMMON STOCK N/A 184519.00000000 NS 58741.34000000 0.003098119074 Long EC PH N 1 N N N INTERTEK GROUP PLC 2138003GAT25WW1RN369 INTERTEK GROUP PLC COMMON STOCK N/A 4076.00000000 NS 274536.50000000 0.014479526125 Long EC GB N 1 N N N JIANGSU HENGRUI MEDICINE CO.,LTD. N/A JIANGSU HENGRUI MEDICINE C-A COMMON STOCK N/A 149667.00000000 NS 1691574.24000000 0.089216528224 Long EC CN N 1 N N N UPM-Kymmene Oyj 213800EC6PW5VU4J9U64 UPM-KYMMENE OYJ COMMON STOCK N/A 13736.00000000 NS 406029.97000000 0.021414717381 Long EC FI N 1 N N N INDUSIND BANK LTD. 335800JDVJ8HSXG9G512 INDUSIND BANK LTD COMMON STOCK Y3990M134 99135.00000000 NS 1935382.41000000 0.102075389494 Long EC IN N 1 N N N Sonova Holding AG 5299004A0QNX7FBNHS61 SONOVA HOLDING AG-REG COMMON STOCK N/A 1457.00000000 NS 338684.43000000 0.017862798033 Long EC CH N 1 N N N Pargesa Holding SA 50670041A514US1R5558 PARGESA HOLDING SA-BR COMMON STOCK N/A 1077.00000000 NS 82821.25000000 0.004368134849 Long EC CH N 1 N N N TORAY INDUSTRIES, INC. 35380099TCYR5FHT0A11 TORAY INDUSTRIES INC COMMON STOCK N/A 49200.00000000 NS 364978.68000000 0.019249601900 Long EC JP N 1 N N N A.P. MOELLER - MAERSK A/S 549300D2K6PKKKXVNN73 AP MOELLER-MAERSK A/S-A COMMON STOCK N/A 101.00000000 NS 107783.27000000 0.005684674620 Long EC DK N 1 N N N FRESNILLO PLC 549300JXWH1UV5J0XV81 FRESNILLO PLC COMMON STOCK N/A 4917.00000000 NS 41328.17000000 0.002179718606 Long EC GB N 1 N N N CLICKS GROUP LIMITED N/A CLICKS GROUP LTD COMMON STOCK N/A 112517.00000000 NS 1597228.78000000 0.084240586763 Long EC ZA N 1 N N N Log Commercial Properties e Participacoes S/A N/A LOG COMMERCIAL PROPERTIES E COMMON STOCK N/A 6313.00000000 NS 36906.04000000 0.001946487881 Long EC BR N 1 N N N Alupar Investimento S.A. N/A ALUPAR INVESTIMENTO SA-UNIT UNIT N/A 17500.00000000 NS 105506.68000000 0.005564603356 Long EC BR N 1 N N N GLENCORE PLC 2138002658CPO9NBH955 GLENCORE PLC COMMON STOCK N/A 284529.00000000 NS 856235.30000000 0.045159319055 Long EC JE N 1 N N N Yangzijiang Shipbuilding (Holdings) Ltd. 254900Z3JEM14YIGLM66 YANGZIJIANG SHIPBUILDING COMMON STOCK N/A 60400.00000000 NS 41952.03000000 0.002212622053 Long EC SG N 1 N N N DISCO CORPORATION N/A DISCO CORP COMMON STOCK N/A 700.00000000 NS 132457.80000000 0.006986051674 Long EC JP N 1 N N N PORTO SEGURO S.A. N/A PORTO SEGURO SA COMMON STOCK N/A 16300.00000000 NS 231851.17000000 0.012228228571 Long EC BR N 1 N N N JUMBO S.A. 549300TGIVUUMY40MZ05 JUMBO SA COMMON STOCK N/A 40544.00000000 NS 769366.89000000 0.040577730042 Long EC GR N 1 N N N DENTSU INC. 5299007PBBE83ZLJZG91 DENTSU INC COMMON STOCK N/A 5400.00000000 NS 190030.06000000 0.010022511463 Long EC JP N 1 N N N TESCO PLC 2138002P5RNKC5W2JZ46 TESCO PLC COMMON STOCK N/A 254389.00000000 NS 753805.42000000 0.039756991410 Long EC GB N 1 N N N Deutsche Boerse Aktiengesellschaft 529900G3SW56SHYNPR95 DEUTSCHE BOERSE AG COMMON STOCK N/A 4934.00000000 NS 771181.18000000 0.040673418810 Long EC DE N 1 N N N SPIRAX-SARCO ENGINEERING PLC 213800WFVZQMHOZP2W17 SPIRAX-SARCO ENGINEERING PLC COMMON STOCK N/A 1869.00000000 NS 180279.41000000 0.009508245449 Long EC GB N 1 N N N ASSICURAZIONI GENERALI - SOCIETA PER AZIONI 549300X5UKJVE386ZB61 ASSICURAZIONI GENERALI COMMON STOCK N/A 28924.00000000 NS 560529.19000000 0.029563271370 Long EC IT N 1 N N N ANTOFAGASTA PLC 213800MY6QVH4FVLD628 ANTOFAGASTA PLC COMMON STOCK N/A 54135.00000000 NS 598386.41000000 0.031559926117 Long EC GB N 1 N N N JAPAN POST BANK Co.,Ltd. 5493006JVO6N2HC2XZ76 JAPAN POST BANK CO LTD COMMON STOCK N/A 9300.00000000 NS 90054.10000000 0.004749607770 Long EC JP N 1 N N N THALES SA 529900FNDVTQJOVVPZ19 THALES SA COMMON STOCK N/A 2677.00000000 NS 307828.59000000 0.016235408082 Long EC FR N 1 N N N SAMSUNG ELECTRONICS CO,.LTD 9884007ER46L6N7EI764 SAMSUNG ELECTRONICS CO LTD COMMON STOCK N/A 180435.00000000 NS 7399019.14000000 0.390236966448 Long EC KR N 1 N N N Mitsubishi Logistics Corporation 529900GJKGNRLQBJUH32 MITSUBISHI LOGISTICS CORP COMMON STOCK N/A 7300.00000000 NS 185462.20000000 0.009781594688 Long EC JP N 1 N N N Commerzbank Aktiengesellschaft 851WYGNLUQLFZBSYGB56 COMMERZBANK AG COMMON STOCK N/A 25737.00000000 NS 149293.50000000 0.007873995383 Long EC DE N 1 N N N QUADIENT SA 549300K4W3A5ITOPTK67 QUADIENT COMMON STOCK N/A 8266.00000000 NS 171181.62000000 0.009028412393 Long EC FR N 1 N N N EUROBANK ERGASIAS S.A. JEUVK5RWVJEN8W0C9M24 EUROBANK ERGASIAS SA COMMON STOCK N/A 2938921.00000000 NS 2844520.09000000 0.150024870853 Long EC GR N 1 N N N Mercari Inc N/A MERCARI INC COMMON STOCK N/A 1900.00000000 NS 47181.50000000 0.002488433275 Long EC JP N 1 N N N CHROMA ATE INC. N/A CHROMA ATE INC COMMON STOCK N/A 116000.00000000 NS 550722.25000000 0.029046036525 Long EC TW N 2 N N N N/A N/A MSCI EAFE DEC19 PHYSICAL INDEX FUTURE. N/A 231.00000000 NC USD 21926520.00000000 1.156442291561 N/A DE US N 1 MORGAN STANLEY & CO, INC N/A Long MSCI EAFE MINI FUTURE Dec 2019 N/A N/A 2019-12-23 21966269.68000000 USD -39749.68000000 N N N MARUI GROUP CO.,LTD. 52990081ZYFHQZEEMU57 MARUI GROUP CO LTD COMMON STOCK N/A 14100.00000000 NS 297583.35000000 0.015695056543 Long EC JP N 1 N N N ARCELIK ANONIM SIRKETI 789000748KTQCUMJ0R25 ARCELIK AS COMMON STOCK N/A 39404.00000000 NS 132858.54000000 0.007007187390 Long EC TR N 1 N N N ASIA CEMENT (CHINA) HOLDINGS CORPORATION 5299009O3HFIKDVFFJ49 ASIA CEMENT CHINA HOLDINGS COMMON STOCK N/A 28000.00000000 NS 33724.18000000 0.001778671125 Long EC KY N 1 N N N Symrise AG 529900D82I6R9601CF26 SYMRISE AG COMMON STOCK N/A 3765.00000000 NS 365883.79000000 0.019297338955 Long EC DE N 1 N N N TOKYO GAS CO.,LTD. 353800678EIJLOQSWZ83 TOKYO GAS CO LTD COMMON STOCK N/A 8800.00000000 NS 221739.65000000 0.011694929654 Long EC JP N 1 N N N DEXUS N/A DEXUS REIT N/A 29021.00000000 NS 233681.74000000 0.012324775974 Long EC AU N 1 N N N Mitsubishi Heavy Industries, Ltd. 353800TJ98PCAZROVE69 MITSUBISHI HEAVY INDUSTRIES COMMON STOCK N/A 8500.00000000 NS 332689.02000000 0.017546589822 Long EC JP N 1 N N N DAIRY FARM INTERNATIONAL HOLDINGS LIMITED 213800NOTG41PZVNNX48 DAIRY FARM INTL HLDGS LTD COMMON STOCK N/A 9400.00000000 NS USD 59220.00000000 0.003123364423 Long EC BM N 1 N N N U.S. DOLLARS N/A FX Forward Contract: USD/EUR SETTLE 2019-10-01 N/A 1.00000000 NC USD 73.92000000 0.000003898667 N/A DFE US N 2 MORGAN STANLEY & CO, INC N/A 17744.83000000 EUR 19414.97000000 USD 2019-10-01 73.92000000 N N N CENTRICA PLC E26EDV109X6EEPBKVH76 CENTRICA PLC COMMON STOCK N/A 158288.00000000 NS 143514.24000000 0.007569187293 Long EC GB N 1 N N N Unilever N.V. 549300TK7G7NZTVM1Z30 UNILEVER NV COMMON STOCK N/A 37964.00000000 NS 2282052.38000000 0.120359358611 Long EC NL N 1 N N N LES COMPAGNIES LOBLAW LIMITEE 5493008LN3O1DIDTSH67 LOBLAW COMPANIES LTD COMMON STOCK 539481101 29596.00000000 NS 1685710.96000000 0.088907288776 Long EC CA N 1 N N N LINE Corporation N/A LINE CORP COMMON STOCK N/A 1500.00000000 NS 53618.50000000 0.002827931701 Long EC JP N 1 N N N DOLLARAMA INC. 5493002GJ0NJP1HI0C79 DOLLARAMA INC COMMON STOCK 25675T107 7700.00000000 NS 275662.15000000 0.014538894837 Long EC CA N 1 N N N PROXIMUS N.V. 549300CWRXC5EP004533 PROXIMUS COMMON STOCK N/A 3760.00000000 NS 111676.68000000 0.005890019744 Long EC BE N 1 N N N ANHEUSER-BUSCH INBEV N.V. 5493008H3828EMEXB082 ANHEUSER-BUSCH INBEV SA/NV COMMON STOCK N/A 14099.00000000 NS 1343405.87000000 0.070853530920 Long EC BE N 1 N N N SCHIBSTED ASA 5967007LIEEXZXHT0O36 SCHIBSTED ASA-B SHS COMMON STOCK N/A 2770.00000000 NS 77640.93000000 0.004094915883 Long EC NO N 1 N N N LIXIL Group Corporation 353800KB8G4F9WUJJ886 LIXIL GROUP CORP COMMON STOCK N/A 23200.00000000 NS 407676.30000000 0.021501547650 Long EC JP N 1 N N N Japan Airport Terminal Co.,Ltd. 353800W9WEQSGUY2EO26 JAPAN AIRPORT TERMINAL CO COMMON STOCK N/A 1500.00000000 NS 64924.86000000 0.003424248529 Long EC JP N 1 N N N BANK OF IRELAND GROUP PUBLIC LIMITED COMPANY 635400C8EK6DRI12LJ39 BANK OF IRELAND GROUP PLC COMMON STOCK N/A 22963.00000000 NS 91104.15000000 0.004804989209 Long EC IE N 1 N N N BANQUE ROYALE DU CANADA ES7IP3U3RHIGC71XBU11 ROYAL BANK OF CANADA COMMON STOCK 780087102 11273.00000000 NS 914450.17000000 0.048229671197 Long EC CA N 1 N N N RAIA DROGASIL S.A. N/A RAIA DROGASIL SA COMMON STOCK N/A 94500.00000000 NS 2180235.62000000 0.114989367968 Long EC BR N 1 N N N United Development Company Q.P.S.C. N/A UNITED DEVELOPMENT CO COMMON STOCK N/A 170100.00000000 NS 62122.06000000 0.003276424048 Long EC QA N 1 N N N TUI AG 529900SL2WSPV293B552 TUI AG-DI COMMON STOCK N/A 30143.00000000 NS 350393.04000000 0.018480330217 Long EC DE N 1 N N N LafargeHolcim Ltd 529900EHPFPYHV6IQO98 LAFARGEHOLCIM LTD-REG COMMON STOCK N/A 12695.00000000 NS 624796.75000000 0.032952852770 Long EC CH N 1 N N N Novartis AG 5493007HIVTX6SY6XD66 NOVARTIS AG-REG COMMON STOCK N/A 70433.00000000 NS 6107180.82000000 0.322103196606 Long EC CH N 1 N N N OVERSEA-CHINESE BANKING CORPORATION LIMITED 5493007O3QFXCPOGWK22 OVERSEA-CHINESE BANKING CORP COMMON STOCK N/A 80171.00000000 NS 629929.50000000 0.033223562813 Long EC SG N 1 N N N BOUYGUES S.A. 969500MOCLNQFNZN0D63 BOUYGUES SA COMMON STOCK N/A 5636.00000000 NS 225754.52000000 0.011906680788 Long EC FR N 1 N N N SUMITOMO CORPORATION V82KK8NH1P0JS71FJC05 SUMITOMO CORP Common Stock N/A 31300.00000000 NS 488641.85000000 0.025771809697 Long EC JP N 1 N N N STANDARD BANK GROUP LIMITED 2549003PEZXUT7MDBU41 STANDARD BANK GROUP LTD COMMON STOCK N/A 179911.00000000 NS 2075183.40000000 0.109448733611 Long EC ZA N 1 N N N The Swatch Group AG 529900NTES2LEON1JZ55 SWATCH GROUP AG/THE-REG COMMON STOCK N/A 1404.00000000 NS 70548.17000000 0.003720831549 Long EC CH N 1 N N N LES VETEMENTS DE SPORT GILDAN INC. 549300SB3IBI34M00Z45 GILDAN ACTIVEWEAR INC COMMON STOCK 375916103 5500.00000000 NS 195199.46000000 0.010295154490 Long EC CA N 1 N N N COLOPLAST A/S 529900NN7SOJ5QG82X67 COLOPLAST-B COMMON STOCK N/A 26832.00000000 NS 3231614.83000000 0.170440911711 Long EC DK N 1 N N N Clariant AG 529900VSEKBY7TMPP349 CLARIANT AG-REG COMMON STOCK N/A 4528.00000000 NS 88150.93000000 0.004649231318 Long EC CH N 1 N N N GROUPE WSP GLOBAL INC. 549300IQ87LU6X6ERQ78 WSP GLOBAL INC COMMON STOCK 92938W202 2800.00000000 NS 163644.19000000 0.008630875400 Long EC CA N 1 N N N GEORGE WESTON LIMITEE 549300GEHU6LUSPS7Q65 WESTON (GEORGE) LTD COMMON STOCK 961148509 1940.00000000 NS 163212.74000000 0.008608119987 Long EC CA N 1 N N N USS Co., Ltd. 5299000RRQD6UZXG4W72 USS CO LTD COMMON STOCK N/A 11300.00000000 NS 219154.68000000 0.011558593901 Long EC JP N 1 N N N Cecep Costin New Materials Group Ltd N/A CECEP COSTIN NEW MATERIALS Common Stock N/A 1134000.00000000 NS 14.46539275 0.000000762929 Long EC KY N 3 N N N Euronext N.V. 724500QJ4QSZ3H9QU415 EURONEXT NV COMMON STOCK N/A 9002.00000000 NS 736372.96000000 0.038837573555 Long EC NL N 1 N N N Dream Hard Asset Alternatives Trust N/A DREAM HARD ASSET ALTERNATIVE UNIT 26153V101 5100.00000000 NS 28871.19000000 0.001522716104 Long EC CA N 1 N N N Bravura Solutions Ltd 529900RBSF446W3SB455 BRAVURA SOLUTIONS LTD COMMON STOCK N/A 43280.00000000 NS 120937.10000000 0.006378430186 Long EC AU N 1 N N N The Miyazaki Bank, Ltd. 353800S4OVI1UXARXE24 MIYAZAKI BANK LTD/THE COMMON STOCK N/A 900.00000000 NS 20160.00000000 0.001063272995 Long EC JP N 1 N N N Skellerup Holdings Ltd N/A SKELLERUP HOLDINGS LTD COMMON STOCK N/A 19474.00000000 NS 27925.75000000 0.001472851976 Long EC NZ N 1 N N N Clas Ohlson Aktiebolag 549300MH8OETHBBKJU80 CLAS OHLSON AB-B SHS COMMON STOCK N/A 25072.00000000 NS 240556.52000000 0.012687363669 Long EC SE N 1 N N N S Foods Inc. N/A S FOODS INC COMMON STOCK N/A 6600.00000000 NS 182022.66000000 0.009600187446 Long EC JP N 1 N N N Landis+Gyr Group AG 529900PZYVAKCYSLFL19 LANDIS+GYR GROUP AG COMMON STOCK N/A 1034.00000000 NS 92672.01000000 0.004887680836 Long EC CH N 1 N N N MITCHELLS & BUTLERS PLC 213800JHYNDNB1NS2W10 MITCHELLS & BUTLERS PLC COMMON STOCK N/A 67083.00000000 NS 315904.01000000 0.016661319590 Long EC GB N 1 N N N TOPPAN FORMS CO.,LTD. N/A TOPPAN FORMS CO LTD COMMON STOCK N/A 16800.00000000 NS 158793.99000000 0.008375067529 Long EC JP N 1 N N N TOA CORPORATION N/A TOA CORP COMMON STOCK N/A 1900.00000000 NS 21473.29000000 0.001132538163 Long EC JP N 1 N N N Magellan Financial Group Ltd 549300X5WFW6USQQ9U26 MAGELLAN FINANCIAL GROUP LTD COMMON STOCK N/A 38550.00000000 NS 1338435.06000000 0.070591361871 Long EC AU N 1 N N N USHIO INC. N/A USHIO INC COMMON STOCK N/A 12900.00000000 NS 182061.50000000 0.009602235934 Long EC JP N 1 N N N YAMAZEN CORPORATION N/A YAMAZEN CORP COMMON STOCK N/A 3900.00000000 NS 33905.20000000 0.001788218430 Long EC JP N 1 N N N ULS Group Inc N/A ULS GROUP INC COMMON STOCK N/A 500.00000000 NS 12702.89000000 0.000669972217 Long EC JP N 1 N N N Nihon Unisys, Ltd. N/A NIHON UNISYS LTD COMMON STOCK N/A 23500.00000000 NS 756346.82000000 0.039891029207 Long EC JP N 1 N N N KADOKAWA CORPORATION N/A KADOKAWA CORP COMMON STOCK N/A 10500.00000000 NS 146732.95000000 0.007738947582 Long EC JP N 1 N N N Auswide Bank Ltd 549300J4GJ6K0JZPI032 AUSWIDE BANK LTD COMMON STOCK N/A 19058.00000000 NS 69975.85000000 0.003690646410 Long EC AU N 1 N N N REACH PLC 213800GNI5XF3XOATR61 REACH PLC COMMON STOCK N/A 55123.00000000 NS 60185.19000000 0.003174270200 Long EC GB N 1 N N N ARCS COMPANY,LIMITED N/A ARCS CO LTD COMMON STOCK N/A 17900.00000000 NS 373975.49000000 0.019724109099 Long EC JP N 1 N N N iA Societe Financiere Inc. N/A IA FINANCIAL CORP INC COMMON STOCK 45075E104 21200.00000000 NS 964749.22000000 0.050882529410 Long EC CA N 1 N N N UNIEURO S.P.A. 815600583BE5BC67EB82 UNIEURO SPA COMMON STOCK N/A 6320.00000000 NS 80733.32000000 0.004258013838 Long EC IT N 1 N N N Nitta Corporation N/A NITTA CORP COMMON STOCK N/A 700.00000000 NS 18625.66000000 0.000982349270 Long EC JP N 1 N N N Clinuvel Pharmaceuticals Ltd 5299004VJH3VCYLK6519 CLINUVEL PHARMACEUTICALS LTD COMMON STOCK N/A 21357.00000000 NS 356048.50000000 0.018778608883 Long EC AU N 1 N N N BAWAG Group AG 529900S9YO2JHTIIDG38 BAWAG GROUP AG COMMON STOCK N/A 10356.00000000 NS 407706.76000000 0.021503154163 Long EC AT N 1 N N N BANCA GENERALI - SOCIETA PER AZIONI 815600903231FA2E7698 BANCA GENERALI SPA COMMON STOCK N/A 40458.00000000 NS 1247955.14000000 0.065819295623 Long EC IT N 1 N N N Hemfosa Fastigheter AB 549300PZRE1NF5Y4QZ03 HEMFOSA FASTIGHETER AB COMMON STOCK N/A 57196.00000000 NS 579277.96000000 0.030552113673 Long EC SE N 1 N N N Tokmanni Group Oyj 743700VMG6KWF0FW1560 TOKMANNI GROUP CORP COMMON STOCK N/A 10550.00000000 NS 117289.94000000 0.006186072709 Long EC FI N 1 N N N BEFIMMO S.A. 529900UM10B3V374TA43 BEFIMMO REIT N/A 5087.00000000 NS 312715.18000000 0.016493135224 Long EC BE N 1 N N N Restar Holdings Corporation N/A RESTAR HOLDINGS CORP COMMON STOCK N/A 6700.00000000 NS 108501.27000000 0.005722543172 Long EC JP N 1 N N N CITIC Telecom International Holdings Limited N/A CITIC TELECOM INTERNATIONAL COMMON STOCK N/A 410000.00000000 NS 149087.10000000 0.007863109493 Long EC HK N 1 N N N Maruzen Showa Unyu Co.,Ltd. N/A MARUZEN SHOWA UNYU CO LTD COMMON STOCK N/A 800.00000000 NS 22270.52000000 0.001174585441 Long EC JP N 1 N N N Altech Corporation N/A ALTECH CORP COMMON STOCK N/A 8030.00000000 NS 113923.88000000 0.006008540929 Long EC JP N 1 N N N Biotage AB 529900SR87NBUKX74L58 BIOTAGE AB COMMON STOCK N/A 26498.00000000 NS 275368.92000000 0.014523429384 Long EC SE N 1 N N N Tamedia AG 506700302V28Y6O14985 TAMEDIA AG-REG COMMON STOCK N/A 514.00000000 NS 50676.42000000 0.002672761353 Long EC CH N 1 N N N RICOH LEASING COMPANY,LTD. N/A RICOH LEASING CO LTD COMMON STOCK N/A 4700.00000000 NS 151704.05000000 0.008001131927 Long EC JP N 1 N N N Seikoh Giken Co Ltd N/A SEIKOH GIKEN CO LTD COMMON STOCK N/A 4500.00000000 NS 112203.47000000 0.005917803553 Long EC JP N 1 N N N Gremz Inc N/A GREMZ INC COMMON STOCK N/A 200.00000000 NS 3433.06000000 0.000181065475 Long EC JP N 1 N N N INTERMEDIATE CAPITAL GROUP PLC 549300OGASR5WRKJ8R68 INTERMEDIATE CAPITAL GROUP COMMON STOCK N/A 29743.00000000 NS 532098.03000000 0.028063763203 Long EC GB N 1 N N N AUDIOCODES LTD 529900TA48138NEVR854 AUDIOCODES LTD COMMON STOCK M15342104 24000.00000000 NS USD 453840.00000000 0.023936300407 Long EC IL N 1 N N N FEED ONE CO.,LTD. N/A FEED ONE CO LTD COMMON STOCK N/A 14100.00000000 NS 21125.55000000 0.001114197759 Long EC JP N 1 N N N DART GROUP PLC I72RQ3PNLDPW8R7JIJ56 DART GROUP PLC COMMON STOCK N/A 40787.00000000 NS 458866.91000000 0.024201428266 Long EC GB N 1 N N N Stroeer SE & Co. KGaA 529900MBF3N1ATE55378 STROEER SE & CO KGAA COMMON STOCK N/A 2569.00000000 NS 195586.40000000 0.010315562369 Long EC DE N 1 N N N CompuGroup Medical SE 529900CUXZGOCJZR7O57 COMPUGROUP MEDICAL SE COMMON STOCK N/A 6060.00000000 NS 364602.66000000 0.019229769960 Long EC DE N 1 N N N Bigben Interactive SA 9695008GVA59G8SVGO83 BIGBEN INTERACTIVE COMMON STOCK N/A 13371.00000000 NS 194414.14000000 0.010253735365 Long EC FR N 1 N N N Kyushu Financial Group, Inc. N/A KYUSHU FINANCIAL GROUP INC COMMON STOCK N/A 16900.00000000 NS 68772.25000000 0.003627166480 Long EC JP N 1 N N N JAPANESE YEN N/A FX Forward Contract: JPY/USD SETTLE 2019-10-01 N/A 1.00000000 NC -27.61000000 -0.00000145619 N/A DFE JP N 2 RECONCILIATION TEAM FX N/A 9186.92000000 USD 990350.00000000 JPY 2019-10-01 -27.61000000 N N N SUNNINGDALE TECH LTD. N/A SUNNINGDALE TECH LTD COMMON STOCK N/A 66700.00000000 NS 58874.94000000 0.003105165367 Long EC SG N 1 N N N SHIKUN & BINUI LTD 2138004NVQ51G35LN253 SHIKUN & BINUI LTD COMMON STOCK N/A 61086.00000000 NS 233016.19000000 0.012289673725 Long EC IL N 2 N N N Elekta AB (publ) 54930044O54BK617EP80 ELEKTA AB-B SHS COMMON STOCK N/A 25333.00000000 NS 333774.22000000 0.017603825132 Long EC SE N 1 N N N Altech Corporation N/A ALTECH CORP COMMON STOCK N/A 2519.00000000 NS 35737.77000000 0.001884871317 Long EC JP N 1 N N N Daiwa Office Investment Corporation N/A DAIWA OFFICE INVESTMENT CORP REIT N/A 45.00000000 NS 349179.19000000 0.018416309685 Long EC JP N 1 N N N CTS EVENTIM AG & Co. KGaA 529900FDHSN08UBJII80 CTS EVENTIM AG & CO KGAA COMMON STOCK N/A 10007.00000000 NS 563900.62000000 0.029741086374 Long EC DE N 1 N N N Tamron Co Ltd N/A TAMRON CO LTD COMMON STOCK N/A 5800.00000000 NS 124341.27000000 0.006557971954 Long EC JP N 1 N N N ALTRI, S.G.P.S., S.A. 213800AKSTYRLHY3X497 ALTRI SGPS SA COMMON STOCK N/A 76265.00000000 NS 506648.91000000 0.026721532942 Long EC PT N 1 N N N National Storage Reit N/A NATIONAL STORAGE REIT REIT N/A 194804.00000000 NS 236012.11000000 0.012447683687 Long EC AU N 1 N N N Adastria Co Ltd N/A ADASTRIA CO LTD COMMON STOCK N/A 18000.00000000 NS 404365.32000000 0.021326920883 Long EC JP N 1 N N N ASTM S.p.A. 8156003F2286CFA55E20 ASTM SPA COMMON STOCK N/A 13253.00000000 NS 423820.96000000 0.022353044723 Long EC IT N 1 N N N Eolus Vind Aktiebolag (publ). 549300NNUPH6DE8DVO06 EOLUS VIND AB-B SHS COMMON STOCK N/A 17511.00000000 NS 187134.08000000 0.009869772508 Long EC SE N 1 N N N DAH SING FINANCIAL HOLDINGS LIMITED 529900J55QMXMR5KMH32 DAH SING FINANCIAL HOLDINGS COMMON STOCK N/A 8073.00000000 NS 29870.63000000 0.001575428285 Long EC HK N 1 N N N PRASHKOVSKY INVESTMENTS AND CONSTRUCTION LTD N/A PRASHKOVSKY INVESTMENTS & CO COMMON STOCK N/A 2908.00000000 NS 48262.29000000 0.002545435994 Long EC IL N 2 N N N ELECOM CO.,LTD. 353800BXFUVR7EPC0G35 ELECOM CO LTD COMMON STOCK N/A 6300.00000000 NS 247047.40000000 0.013029703818 Long EC JP N 1 N N N Hosiden Corporation 353800IQGIGW1XT2JX97 HOSIDEN CORP COMMON STOCK N/A 17000.00000000 NS 173891.33000000 0.009171327148 Long EC JP N 1 N N N The Kiyo Bank, Ltd. 3538002347FGLMNPVY63 KIYO BANK LTD/THE COMMON STOCK N/A 3900.00000000 NS 60560.46000000 0.003194062584 Long EC JP N 1 N N N Siltronic AG 5299003NKV26NNGHHR90 SILTRONIC AG COMMON STOCK N/A 3547.00000000 NS 269464.83000000 0.014212037546 Long EC DE N 1 N N N APPLUS SERVICES, S.A. 213800M9XCA6NR98E873 APPLUS SERVICES SA COMMON STOCK N/A 21380.00000000 NS 277308.25000000 0.014625712976 Long EC ES N 1 N N N U.S. DOLLARS N/A FX Forward Contract: USD/JPY SETTLE 2019-10-01 N/A 1.00000000 NC USD 68.70000000 0.000003623355 N/A DFE US N 2 RECONCILIATION TEAM FX N/A 2463856.00000000 JPY 22855.81000000 USD 2019-10-01 68.70000000 N N N DUSKIN CO., LTD. N/A DUSKIN CO LTD COMMON STOCK N/A 5000.00000000 NS 128739.88000000 0.006789962193 Long EC JP N 1 N N N Fuyo General Lease Co., Ltd. N/A FUYO GENERAL LEASE CO LTD COMMON STOCK N/A 4500.00000000 NS 269687.86000000 0.014223800531 Long EC JP N 1 N N N The Bank of Okinawa, Ltd. 549300SOC0BTU7MGMI13 BANK OF OKINAWA LTD/THE COMMON STOCK N/A 1700.00000000 NS 53220.81000000 0.002806956848 Long EC JP N 1 N N N DUSKIN CO., LTD. N/A DUSKIN CO LTD COMMON STOCK N/A 14000.00000000 NS 360471.68000000 0.019011894986 Long EC JP N 1 N N N Axfood Aktiebolag 549300QIXCZWZLHE8L05 AXFOOD AB COMMON STOCK N/A 17839.00000000 NS 378922.79000000 0.019985038190 Long EC SE N 1 N N N 4imprint Group PLC 213800G95T751RN2CT94 4IMPRINT GROUP PLC COMMON STOCK N/A 8929.00000000 NS 329357.81000000 0.017370896090 Long EC GB N 1 N N N TOA ROAD CORPORATION N/A TOA ROAD CORP COMMON STOCK N/A 400.00000000 NS 12652.02000000 0.000667289246 Long EC JP N 1 N N N Cybozu Inc N/A CYBOZU INC COMMON STOCK N/A 15800.00000000 NS 148172.95000000 0.007814895653 Long EC JP N 1 N N N ATLANTICA YIELD PLC 549300ITBBGKJ651R879 ATLANTICA YIELD PLC COMMON STOCK G0751N103 22885.00000000 NS USD 551299.65000000 0.029076489592 Long EC GB N 1 N N N NAKABAYASHI CO.,LTD. 353800RZ8SMLW7SKV992 NAKABAYASHI CO LTD COMMON STOCK N/A 4800.00000000 NS 23084.39000000 0.001217510342 Long EC JP N 1 N N N Legs Co Ltd N/A LEGS CO LTD COMMON STOCK N/A 6700.00000000 NS 95860.35000000 0.005055839359 Long EC JP N 1 N N N JAPANESE YEN N/A FX Forward Contract: JPY/USD SETTLE 2019-10-01 N/A 1.00000000 NC -78.83000000 -0.00000415762 N/A DFE JP N 2 RECONCILIATION TEAM FX N/A 26223.76000000 USD 2826921.00000000 JPY 2019-10-01 -78.83000000 N N N AUSTRALIAN DOLLAR N/A FX Forward Contract: AUD/USD SETTLE 2019-10-01 N/A 1.00000000 NC -105.39000000 -0.00000555844 N/A DFE AU N 2 RECONCILIATION TEAM FX N/A 26954.29000000 USD 39779.06000000 AUD 2019-10-01 -105.39000000 N N N The Nanto Bank, Ltd. 353800923E4YW3IDES52 NANTO BANK LTD/THE COMMON STOCK N/A 3800.00000000 NS 88775.03000000 0.004682147423 Long EC JP N 1 N N N AIR FRANCE KLM SA 969500AQW31GYO8JZD66 AIR FRANCE-KLM COMMON STOCK N/A 41336.00000000 NS 432611.71000000 0.022816683963 Long EC FR N 1 N N N Tianyun International Holdings Limited 254900YZIGSNJZI7XL69 TIANYUN INTERNATIONAL HOLDIN COMMON STOCK N/A 328000.00000000 NS 43104.48000000 0.002273404244 Long EC VG N 1 N N N BLUE SQUARE REAL ESTATE LTD N/A BLUE SQUARE REAL ESTATE LTD COMMON STOCK N/A 570.00000000 NS 27142.83000000 0.001431559432 Long EC IL N 2 N N N Silverlake Axis Ltd N/A SILVERLAKE AXIS LTD COMMON STOCK N/A 335700.00000000 NS 111725.93000000 0.005892617274 Long EC BM N 1 N N N DAIKI ALUMINIUM INDUSTRY CO.,LTD. 353800ETXWM22FC94B33 DAIKI ALUMINIUM INDUSTRY CO COMMON STOCK N/A 34000.00000000 NS 222316.76000000 0.011725367426 Long EC JP N 1 N N N TOHO HOLDINGS CO.,LTD. 353800Z8BQ3ZHELA4J90 TOHO HOLDINGS CO LTD COMMON STOCK N/A 11700.00000000 NS 270628.44000000 0.014273408334 Long EC JP N 1 N N N TIS Inc. N/A TIS INC COMMON STOCK N/A 4200.00000000 NS 241997.69000000 0.012763373448 Long EC JP N 1 N N N NRW HOLDINGS LIMITED 5493003S2MORCH0HEL95 NRW HOLDINGS LTD COMMON STOCK N/A 139123.00000000 NS 217850.66000000 0.011489817648 Long EC AU N 1 N N N INFRATIL LIMITED N/A INFRATIL LTD COMMON STOCK N/A 113129.00000000 NS 348540.44000000 0.018382620914 Long EC NZ N 1 N N N SAIPEM S.P.A. 549300PHV8MBDHWB8X12 SAIPEM SPA COMMON STOCK N/A 10813.00000000 NS 48934.11000000 0.002580868934 Long EC IT N 1 N N N SK-Electronics CO.,LTD. N/A SK-ELECTRONICS LTD COMMON STOCK N/A 8400.00000000 NS 146985.43000000 0.007752263810 Long EC JP N 1 N N N Keg Royalties Income Fund N/A KEG ROYALTIES INCOME FUND-UT UNIT 487522104 1211.00000000 NS 15082.08000000 0.000795454780 Long EC CA N 1 N N N Daicel Corporation 353800ZG4XF6D7NZGS72 DAICEL CORP COMMON STOCK N/A 12000.00000000 NS 101327.17000000 0.005344168827 Long EC JP N 1 N N N AUTOGRILL S.P.A. 5299003D9N2698I3C257 AUTOGRILL SPA COMMON STOCK N/A 28548.00000000 NS 276465.69000000 0.014581274916 Long EC IT N 1 N N N CROMWELL PROPERTY GROUP N/A CROMWELL PROPERTY GROUP REIT N/A 749955.00000000 NS 642851.83000000 0.033905108672 Long EC AU N 1 N N N Ascom Holding AG 506700ZQR2RU51M31817 ASCOM HOLDING AG-REG COMMON STOCK N/A 9108.00000000 NS 94360.72000000 0.004976746299 Long EC CH N 1 N N N Enerflex Ltd 54930014N7872VUS3F89 ENERFLEX LTD COMMON STOCK 29269R105 72371.00000000 NS 634751.87000000 0.033477902882 Long EC CA N 1 N N N NISSO CORPORATION N/A NISSO CORP COMMON STOCK N/A 6700.00000000 NS 68781.50000000 0.003627654341 Long EC JP N 1 N N N ORGANO CORPORATION N/A ORGANO CORP COMMON STOCK N/A 3200.00000000 NS 141761.85000000 0.007476763237 Long EC JP N 1 N N N The Iyo Bank, Ltd. 549300WDPFPR0TE6OX32 IYO BANK LTD/THE COMMON STOCK N/A 16600.00000000 NS 86742.20000000 0.004574932480 Long EC JP N 1 N N N DAIHEN Corporation 353800VGTLA3QRNG5478 DAIHEN CORP COMMON STOCK N/A 5100.00000000 NS 154002.31000000 0.008122346103 Long EC JP N 1 N N N EDION Corporation 353800697NBCW7EAHZ97 EDION CORP COMMON STOCK N/A 35700.00000000 NS 344370.87000000 0.018162710637 Long EC JP N 1 N N N LES ALIMENTS HIGH LINER INCORPOREE 5493003THCPUJ8LV6J59 HIGH LINER FOODS INC COMMON STOCK 429695109 24000.00000000 NS 199992.45000000 0.010547945007 Long EC CA N 1 N N N Will Group Inc N/A WILL GROUP INC COMMON STOCK N/A 25500.00000000 NS 221452.02000000 0.011679759555 Long EC JP N 1 N N N Koninklijke VolkerWessels NV 724500827ELZ1D4JTI57 VOLKERWESSELS COMMON STOCK N/A 11388.00000000 NS 201577.29000000 0.010631532189 Long EC NL N 1 N N N KORIAN S.A. 969500WEPS61H6TJM037 KORIAN COMMON STOCK N/A 10251.00000000 NS 421449.99000000 0.022227995697 Long EC FR N 1 N N N MEITEC CORPORATION N/A MEITEC CORP COMMON STOCK N/A 6100.00000000 NS 298441.62000000 0.015740323176 Long EC JP N 1 N N N TANSEISHA CO.,LTD. N/A TANSEISHA CO LTD COMMON STOCK N/A 11500.00000000 NS 128587.28000000 0.006781913807 Long EC JP N 1 N N N Cache Logistics Trust 529900J4YL3CYGKS5I45 CACHE LOGISTICS TRUST REIT N/A 218300.00000000 NS 116877.33000000 0.006164310950 Long EC SG N 1 N N N ISRAEL DISCOUNT BANK LIMITED 549300XWZ7BG5G23OF51 ISRAEL DISCOUNT BANK-A COMMON STOCK 465074201 258190.00000000 NS 1134441.90000000 0.059832412552 Long EC IL N 2 N N N Atled Corp N/A ATLED CORP COMMON STOCK N/A 300.00000000 NS 4383.82000000 0.000231210189 Long EC JP N 1 N N N Swissquote Group Holding SA 549300O3WME82RDPEN66 SWISSQUOTE GROUP HOLDING-REG COMMON STOCK N/A 1695.00000000 NS 70479.94000000 0.003717232981 Long EC CH N 1 N N N MODEC, INC. N/A MODEC INC COMMON STOCK N/A 6000.00000000 NS 145886.71000000 0.007694315432 Long EC JP N 1 N N N Tama Home Co., Ltd. N/A TAMA HOME CO LTD COMMON STOCK N/A 36700.00000000 NS 472475.38000000 0.024919162327 Long EC JP N 1 N N N Amadeus FiRe AG 391200TJJ820ZDHNFJ33 AMADEUS FIRE AG COMMON STOCK N/A 1811.00000000 NS 200154.12000000 0.010556471761 Long EC DE N 1 N N N AEON REIT Investment Corporation. 353800P59F8MJB4FE788 AEON REIT INVESTMENT CORP REIT N/A 456.00000000 NS 627962.08000000 0.033119797706 Long EC JP N 1 N N N Amsterdam Commodities N.V. 7245001M40ANG7IIS437 AMSTERDAM COMMODITIES NV COMMON STOCK N/A 2462.00000000 NS 53293.64000000 0.002810798027 Long EC NL N 1 N N N AUTO TRADER GROUP PLC 213800QLK9BZILB1DI86 AUTO TRADER GROUP PLC COMMON STOCK N/A 20699.00000000 NS 129796.63000000 0.006845697002 Long EC GB N 1 N N N PCA Corp N/A PCA CORP COMMON STOCK N/A 2800.00000000 NS 100087.86000000 0.005278805491 Long EC JP N 1 N N N INGENICO GROUP S.A. 969500C1KK5OLNWK1S69 INGENICO GROUP COMMON STOCK N/A 2477.00000000 NS 241633.51000000 0.012744165969 Long EC FR N 1 N N N Bufab AB (publ) 5493002TF62S16D67T17 BUFAB AB COMMON STOCK N/A 4757.00000000 NS 49676.67000000 0.002620032822 Long EC SE N 1 N N N Genworth Mortgage Insurance Australia Ltd 529900RUQ2G0JXJOF423 GENWORTH MORTGAGE INSURANCE COMMON STOCK N/A 26236.00000000 NS 60207.21000000 0.003175431573 Long EC AU N 1 N N N KAUFMAN & BROAD SA 969500CE0X343D8ALO86 KAUFMAN & BROAD SA COMMON STOCK N/A 1631.00000000 NS 64957.70000000 0.003425980567 Long EC FR N 1 N N N CIE AUTOMOTIVE SOCIEDAD ANONIMA 95980020140005381252 CIE AUTOMOTIVE SA COMMON STOCK N/A 11384.00000000 NS 285384.81000000 0.015051684610 Long EC ES N 1 N N N Fortnox AB 549300MSNMHPC3O60W78 FORTNOX AB COMMON STOCK N/A 13561.00000000 NS 227576.78000000 0.012002789907 Long EC SE N 1 N N N ASHMORE GROUP PLC 549300U3L59WB4YI2X12 ASHMORE GROUP PLC COMMON STOCK N/A 69680.00000000 NS 433513.42000000 0.022864241696 Long EC GB N 1 N N N Nishi-Nippon Financial Holdings, Inc. N/A NISHI-NIPPON FINANCIAL HOLDI COMMON STOCK N/A 25600.00000000 NS 179229.60000000 0.009452876668 Long EC JP N 1 N N N IMMOFINANZ AG 5299000DUMZ99SBBX121 IMMOFINANZ AG COMMON STOCK N/A 14006.00000000 NS 390043.60000000 0.020571568794 Long EC AT N 1 N N N INTERVEST OFFICES & WAREHOUSES N.V. 549300MEVEE709A1SM83 INTERVEST OFFICES&WAREHOUSES REIT N/A 3756.00000000 NS 107873.39000000 0.005689427703 Long EC BE N 1 N N N NIPPON KANZAI Co., Ltd. N/A NIPPON KANZAI CO LTD COMMON STOCK N/A 4100.00000000 NS 70794.91000000 0.003733845040 Long EC JP N 1 N N N Boardwalk Real Estate Investment Trust N/A BOARDWALK REAL ESTATE INVEST REIT 096631106 928.00000000 NS 31107.28000000 0.001640651328 Long EC CA N 1 N N N NP3 Fastigheter AB 549300MGVITW8GYJHZ50 NP3 FASTIGHETER AB COMMON STOCK N/A 2267.00000000 NS 22775.82000000 0.001201235830 Long EC SE N 1 N N N EURO N/A FX Forward Contract: EUR/USD SETTLE 2019-10-01 N/A 1.00000000 NC -129.07000000 -0.00000680737 N/A DFE XX N 2 RECONCILIATION TEAM FX N/A 23989.48000000 USD 21891.21000000 EUR 2019-10-01 -129.07000000 N N N Kanamoto Co., Ltd. N/A KANAMOTO CO LTD COMMON STOCK N/A 7900.00000000 NS 196029.60000000 0.010338937498 Long EC JP N 1 N N N SKY Perfect JSAT Holdings Inc. 5299009SAF34W9TVEF26 SKY PERFECT JSAT HOLDINGS COMMON STOCK N/A 69600.00000000 NS 281296.65000000 0.014836068037 Long EC JP N 1 N N N WESTERN AREAS LIMITED 213800QVJGB47FY5Z403 WESTERN AREAS LTD COMMON STOCK N/A 61536.00000000 NS 128754.65000000 0.006790741188 Long EC AU N 1 N N N lastminute.com N.V. 724500GXHPNL7D2NNF08 LASTMINUTE.COM NV COMMON STOCK N/A 2209.00000000 NS 84548.67000000 0.004459241944 Long EC NL N 1 N N N ELKEM ASA 549300CVBE06T0SH6T76 ELKEM ASA COMMON STOCK N/A 42025.00000000 NS 102271.85000000 0.005393992871 Long EC NO N 1 N N N AKKA TECHNOLOGIES SE N/A AKKA TECHNOLOGIES COMMON STOCK N/A 2090.00000000 NS 143969.83000000 0.007593215892 Long EC BE N 1 N N N TIS Inc. N/A TIS INC COMMON STOCK N/A 12800.00000000 NS 737516.76000000 0.038897899529 Long EC JP N 1 N N N Kungsleden Aktiebolag 5493005OXRTBK0WSJN46 KUNGSLEDEN AB COMMON STOCK N/A 22241.00000000 NS 201984.49000000 0.010653008615 Long EC SE N 1 N N N BAUER Aktiengesellschaft 529900XMQYET3NBF2363 BAUER AG COMMON STOCK N/A 5492.00000000 NS 86198.79000000 0.004546272105 Long EC DE N 1 N N N Lagercrantz Group AB 5493002L6I4YHANEYR87 LAGERCRANTZ GROUP AB-B SHS COMMON STOCK N/A 4907.00000000 NS 62508.60000000 0.003296810831 Long EC SE N 1 N N N FRANCE BED HOLDINGS CO.,LTD. N/A FRANCE BED HOLDINGS CO LTD COMMON STOCK N/A 8700.00000000 NS 81267.05000000 0.004286163674 Long EC JP N 1 N N N Nippon Carbon Co., Ltd. N/A NIPPON CARBON CO LTD COMMON STOCK N/A 8400.00000000 NS 296379.19000000 0.015631547078 Long EC JP N 2 N N N BAUER Aktiengesellschaft 529900XMQYET3NBF2363 BAUER AG COMMON STOCK N/A 4134.00000000 NS 64884.52000000 0.003422120929 Long EC DE N 1 N N N Pasona Group Inc. N/A PASONA GROUP INC COMMON STOCK N/A 1200.00000000 NS 17235.61000000 0.000909035648 Long EC JP N 1 N N N Endava PLC 213800JJ6CRPCWCQVZ25 ENDAVA PLC- SPON ADR DEPOSITARY RECEIPT 29260V105 3900.00000000 NS USD 147615.00000000 0.007785468413 Long EC GB N 1 N N N YANLORD LAND GROUP LIMITED N/A YANLORD LAND GROUP LTD COMMON STOCK N/A 159300.00000000 NS 134848.61000000 0.007112147096 Long EC SG N 1 N N N Nordic Entertainment Group AB 5493006E0IJD0DHJSR89 NORDIC ENTERTAINMENT GROUP-B COMMON STOCK N/A 15193.00000000 NS 359296.27000000 0.018949901846 Long EC SE N 1 N N N ITOKI CORPORATION N/A ITOKI CORP COMMON STOCK N/A 6400.00000000 NS 26458.27000000 0.001395454563 Long EC JP N 1 N N N HEIWADO CO.,LTD. N/A HEIWADO CO LTD COMMON STOCK N/A 4200.00000000 NS 78775.49000000 0.004154754524 Long EC JP N 1 N N N SPAR NORD BANK A/S 549300DHT635Q5P8J715 SPAR NORD BANK A/S COMMON STOCK N/A 25771.00000000 NS 232128.80000000 0.012242871254 Long EC DK N 1 N N N SIMCORP A/S 5299000WVEJNSG42AK88 SIMCORP A/S COMMON STOCK N/A 7480.00000000 NS 656825.23000000 0.034642089767 Long EC DK N 1 N N N Grupo Empresarial San Jose S.A. 9598002SMUBZZBE58976 GRUPO EMPRESARIAL SAN JOSE COMMON STOCK N/A 18706.00000000 NS 138235.23000000 0.007290763247 Long EC ES N 1 N N N TANSEISHA CO.,LTD. N/A TANSEISHA CO LTD COMMON STOCK N/A 14700.00000000 NS 164368.09000000 0.008669055128 Long EC JP N 1 N N N The San-in Godo Bank, Ltd. 353800I3C5900CEME762 SAN-IN GODO BANK LTD/THE COMMON STOCK N/A 8300.00000000 NS 50356.53000000 0.002655889805 Long EC JP N 1 N N N FJ NEXT CO., LTD. N/A FJ NEXT CO LTD COMMON STOCK N/A 17700.00000000 NS 170411.10000000 0.008987773846 Long EC JP N 1 N N N Kura Sushi,Inc. N/A KURA SUSHI INC COMMON STOCK N/A 4500.00000000 NS 186242.77000000 0.009822763289 Long EC JP N 1 N N N Yossix Co Ltd N/A YOSSIX CO LTD COMMON STOCK N/A 6100.00000000 NS 178275.14000000 0.009402536810 Long EC JP N 1 N N N GCP Student Living Plc 2138004J4ID66FK38H25 GCP STUDENT LIVING PLC REIT N/A 4387.00000000 NS 9223.75000000 0.000486476403 Long EC GB N 1 N N N Vista Group International Ltd N/A VISTA GROUP INTERNATIONAL LT COMMON STOCK N/A 20539.00000000 NS 49388.36000000 0.002604826858 Long EC NZ N 1 N N N Nissin Electric Co.,Ltd. N/A NISSIN ELECTRIC CO LTD COMMON STOCK N/A 37200.00000000 NS 451044.62000000 0.023788867268 Long EC JP N 1 N N N T-Gaia Corp N/A T-GAIA CORP COMMON STOCK N/A 5300.00000000 NS 106808.79000000 0.005633278872 Long EC JP N 1 N N N Vita Group Ltd N/A VITA GROUP LTD COMMON STOCK N/A 96528.00000000 NS 79159.23000000 0.004174993630 Long EC AU N 1 N N N Computer Modelling Group Ltd N/A COMPUTER MODELLING GROUP LTD COMMON STOCK 205249105 41000.00000000 NS 189085.56000000 0.009972696912 Long EC CA N 1 N N N C & C GROUP PUBLIC LIMITED COMPANY 635400LNUHA2LDXXV850 C&C GROUP PLC COMMON STOCK N/A 55719.00000000 NS 252034.24000000 0.013292718318 Long EC IE N 1 N N N AF Poyry AB 549300Q87LKPPD4X9R30 AF POYRY AB COMMON STOCK N/A 8663.00000000 NS 174244.75000000 0.009189967125 Long EC SE N 1 N N N Champion Iron Ltd N/A CHAMPION IRON LTD COMMON STOCK N/A 138307.00000000 NS 231508.96000000 0.012210179828 Long EC AU N 1 N N N TOKAI Corp. N/A TOKAI CORP/GIFU COMMON STOCK N/A 2500.00000000 NS 54543.35000000 0.002876709877 Long EC JP N 1 N N N WHITEHAVEN COAL LIMITED 529900WCZ4I6ZO3RRP86 WHITEHAVEN COAL LTD COMMON STOCK N/A 35751.00000000 NS 75044.79000000 0.003957991004 Long EC AU N 1 N N N IWATANI CORPORATION 353800TSKIDNENNV2L96 IWATANI CORP COMMON STOCK N/A 9400.00000000 NS 317317.92000000 0.016735891630 Long EC JP N 1 N N N EML Payments Ltd N/A EML PAYMENTS LTD COMMON STOCK N/A 48999.00000000 NS 141878.46000000 0.007482913449 Long EC AU N 1 N N N Chilled & Frozen Logistics Holdings Co.,Ltd. N/A CHILLED & FROZEN LOGISTICS H COMMON STOCK N/A 1000.00000000 NS 11421.97000000 0.000602414298 Long EC JP N 1 N N N HILL & SMITH HOLDINGS PLC 2138003A3ISGQZBOWI83 HILL & SMITH HOLDINGS PLC COMMON STOCK N/A 11443.00000000 NS 175870.82000000 0.009275728847 Long EC GB N 1 N N N AZIMUT HOLDING S.P.A. 81560025690EF8540635 AZIMUT HOLDING SPA COMMON STOCK N/A 52377.00000000 NS 983064.23000000 0.051848494466 Long EC IT N 1 N N N PERION NETWORK LTD 529900SL7HYNVD6HG708 PERION NETWORK LTD COMMON STOCK M78673114 11171.00000000 NS USD 54626.19000000 0.002881079001 Long EC IL N 1 N N N Sumitomo Riko Company Limited N/A SUMITOMO RIKO COMPANY LTD COMMON STOCK N/A 11700.00000000 NS 93383.58000000 0.004925210259 Long EC JP N 2 N N N EURO N/A FX Forward Contract: EUR/USD SETTLE 2019-10-01 N/A 1.00000000 NC -139.13000000 -0.00000733795 N/A DFE XX N 2 RECONCILIATION TEAM FX N/A 25858.17000000 USD 23596.45000000 EUR 2019-10-01 -139.13000000 N N N YANGARRA RESOURCES LTD. N/A YANGARRA RESOURCES LTD COMMON STOCK 98474P501 8300.00000000 NS 9209.34000000 0.000485716395 Long EC CA N 1 N N N HEALIUS LTD 529900MBZK3SLWK8SJ55 HEALIUS LTD COMMON STOCK N/A 185469.00000000 NS 403087.35000000 0.021259518552 Long EC AU N 1 N N N Instalco AB 549300DZ9ONT2AXY4029 INSTALCO AB COMMON STOCK N/A 15693.00000000 NS 161010.25000000 0.008491956884 Long EC SE N 1 N N N FLY LEASING LIMITED 549300LI58A0MHGHTZ98 FLY LEASING LTD-ADR DEPOSITARY RECEIPT 34407D109 27300.00000000 NS USD 559923.00000000 0.029531299869 Long EC BM N 1 N N N Nishi-Nippon Financial Holdings, Inc. N/A NISHI-NIPPON FINANCIAL HOLDI COMMON STOCK N/A 24200.00000000 NS 169427.98000000 0.008935922410 Long EC JP N 1 N N N EVOLUTION MINING LIMITED 254900BCFW5QO5LW8F27 EVOLUTION MINING LTD COMMON STOCK N/A 152381.00000000 NS 465908.87000000 0.024572833321 Long EC AU N 1 N N N ERG S.P.A. 8156004604684CA44A90 ERG SPA COMMON STOCK N/A 8960.00000000 NS 180670.76000000 0.009528885920 Long EC IT N 1 N N N NIKKON Holdings Co.,Ltd. N/A NIKKON HOLDINGS CO LTD COMMON STOCK N/A 13900.00000000 NS 316245.09000000 0.016679308735 Long EC JP N 1 N N N MELISRON LIMITED 213800B9SL62L9VLO604 MELISRON COMMON STOCK N/A 4004.00000000 NS 258475.87000000 0.013632460938 Long EC IL N 2 N N N Concordia Financial Group, Ltd. N/A CONCORDIA FINANCIAL GROUP LT COMMON STOCK N/A 48400.00000000 NS 185318.84000000 0.009774033635 Long EC JP N 1 N N N Prima Meat Packers, Ltd. N/A PRIMA MEAT PACKERS LTD COMMON STOCK N/A 4000.00000000 NS 79500.58000000 0.004192997015 Long EC JP N 1 N N N COMPUTER ENGINEERING & CONSULTING LTD. N/A COMPUTER ENGINEER & CONSULT COMMON STOCK N/A 15300.00000000 NS 285552.83000000 0.015060546273 Long EC JP N 1 N N N Chow Sang Sang Holdings International Ltd N/A CHOW SANG SANG HLDG COMMON STOCK N/A 92297.00000000 NS 99036.42000000 0.005223350741 Long EC BM N 1 N N N Sintokogio,Ltd. N/A SINTOKOGIO LTD COMMON STOCK N/A 9200.00000000 NS 82619.19000000 0.004357477858 Long EC JP N 1 N N N IVE GROUP LIMITED N/A IVE GROUP LTD COMMON STOCK N/A 37823.00000000 NS 53610.18000000 0.002827492890 Long EC AU N 1 N N N SPAREBANK 1 SR-BANK ASA 549300Q3OIWRHQUQM052 SPAREBANK 1 SR BANK ASA COMMON STOCK N/A 53156.00000000 NS 579316.35000000 0.030554138428 Long EC NO N 1 N N N TINEXTA S.P.A. 815600925CD848EDBA96 TINEXTA SPA COMMON STOCK N/A 15276.00000000 NS 199468.63000000 0.010520317842 Long EC IT N 1 N N N The Hachijuni Bank, Ltd. FE70I3MHDCWOZWK19W48 HACHIJUNI BANK LTD/THE COMMON STOCK N/A 66100.00000000 NS 268984.97000000 0.014186728906 Long EC JP N 1 N N N TOMY COMPANY, LTD. N/A TOMY COMPANY LTD COMMON STOCK N/A 35400.00000000 NS 404337.57000000 0.021325457300 Long EC JP N 1 N N N Jupiter Mines Ltd 254900OFKP9ZQXBCHE19 JUPITER MINES LTD COMMON STOCK N/A 1056088.00000000 NS 277994.80000000 0.014661922801 Long EC AU N 1 N N N HLS Therapeutics Inc. N/A HLS THERAPEUTICS INC COMMON STOCK 40390B109 262.00000000 NS 2968.35000000 0.000156555872 Long EC CA N 1 N N N Codan Ltd N/A CODAN LTD COMMON STOCK N/A 16784.00000000 NS 62759.17000000 0.003310026322 Long EC AU N 1 N N N GREGGS PLC 213800I71QMUFJ64IW20 GREGGS PLC COMMON STOCK N/A 17777.00000000 NS 456823.72000000 0.024093666920 Long EC GB N 1 N N N SALMAR ASA 5967007LIEEXZXGDBK67 SALMAR ASA COMMON STOCK N/A 3345.00000000 NS 146703.27000000 0.007737382208 Long EC NO N 1 N N N MONTEA Comm. VA 5493006K5LQDD0GK1T60 MONTEA REIT N/A 1510.00000000 NS 127881.02000000 0.006744664443 Long EC BE N 1 N N N KAWAI MUSICAL INSTRUMENTS MANUFACTURING CO.,LTD. N/A KAWAI MUSICAL INSTRUMENTS MF COMMON STOCK N/A 2600.00000000 NS 69758.15000000 0.003679164538 Long EC JP N 1 N N N The Chiba Kogyo Bank, Ltd. 353800SQQ8B0KOKZ9Y27 CHIBA KOGYO BANK LTD/THE COMMON STOCK N/A 21100.00000000 NS 56396.76000000 0.002974461901 Long EC JP N 1 N N N ISRAEL CORPORATION LTD. 213800VASRTF37M7LO42 ISRAEL CORP LIMITED/THE COMMON STOCK N/A 514.00000000 NS 115506.17000000 0.006091993618 Long EC IL N 2 N N N HOCHIKI CORPORATION N/A HOCHIKI CORP COMMON STOCK N/A 1800.00000000 NS 24588.21000000 0.001296824389 Long EC JP N 1 N N N NOMURA Co., Ltd. N/A NOMURA CO LTD COMMON STOCK N/A 8300.00000000 NS 104397.69000000 0.005506113321 Long EC JP N 1 N N N SSP GROUP PLC 213800QGNIWTXFMENJ24 SSP GROUP PLC COMMON STOCK N/A 24199.00000000 NS 184473.08000000 0.009729426802 Long EC GB N 1 N N N Ube Industries, Ltd. 529900XMRZ2VNF3ZPS69 UBE INDUSTRIES LTD COMMON STOCK N/A 15800.00000000 NS 318411.10000000 0.016793547819 Long EC JP N 1 N N N BANCA FARMAFACTORING S.P.A. 815600522538355AE429 BANCA FARMAFACTORING SPA COMMON STOCK N/A 27598.00000000 NS 143935.42000000 0.007591401049 Long EC IT N 1 N N N GOLDCREST Co.,Ltd. N/A GOLDCREST CO LTD COMMON STOCK N/A 12100.00000000 NS 237243.93000000 0.012512651988 Long EC JP N 1 N N N Bure Equity AB 5493000EHCBQ7QQBGX32 BURE EQUITY AB COMMON STOCK N/A 27252.00000000 NS 398645.68000000 0.021025257254 Long EC SE N 1 N N N OSJB Holdings Corporation N/A OSJB HOLDINGS CORP COMMON STOCK N/A 48600.00000000 NS 110572.02000000 0.005831758080 Long EC JP N 1 N N N SSAB AB 529900329VS14ZIML164 SSAB AB-A SHARES COMMON STOCK N/A 64100.00000000 NS 178351.29000000 0.009406553092 Long EC SE N 1 N N N GLORY LTD. N/A GLORY LTD COMMON STOCK N/A 13600.00000000 NS 381114.45000000 0.020100630100 Long EC JP N 1 N N N The Nisshin OilliO Group,Ltd. 549300DMFXTY70ZEGQ59 NISSHIN OILLIO GROUP LTD/THE COMMON STOCK N/A 7200.00000000 NS 225738.73000000 0.011905847996 Long EC JP N 1 N N N The Hyakujushi Bank, Ltd. 5493009ZQOZS8JYRQN62 HYAKUJUSHI BANK LTD/THE COMMON STOCK N/A 5200.00000000 NS 106765.32000000 0.005630986190 Long EC JP N 1 N N N Scala, Inc. N/A SCALA INC COMMON STOCK N/A 8700.00000000 NS 78611.79000000 0.004146120705 Long EC JP N 1 N N N Charter Court Financial Services Group PLC 213800LWUMOSRMT5G527 CHARTER COURT FINANCIAL S COMMON STOCK N/A 21587.00000000 NS 80290.02000000 0.004234633435 Long EC GB N 1 N N N Hokkaido Electric Power Company, Incorporated N/A HOKKAIDO ELECTRIC POWER CO COMMON STOCK N/A 61300.00000000 NS 322586.82000000 0.017013782458 Long EC JP N 1 N N N TATE & LYLE PUBLIC LIMITED COMPANY 2138008K14474WPKZ244 TATE & LYLE PLC COMMON STOCK N/A 137720.00000000 NS 1246288.87000000 0.065731413684 Long EC GB N 1 N N N Signify N.V. 549300072P3J1X8NZO35 SIGNIFY NV COMMON STOCK N/A 3987.00000000 NS 109640.65000000 0.005782636028 Long EC NL N 1 N N N FURUNO ELECTRIC CO., LTD. N/A FURUNO ELECTRIC CO LTD COMMON STOCK N/A 18800.00000000 NS 163614.34000000 0.008629301060 Long EC JP N 1 N N N Japan Pulp & Paper Co., Ltd. N/A JAPAN PULP & PAPER CO LTD COMMON STOCK N/A 800.00000000 NS 27856.65000000 0.001469207524 Long EC JP N 1 N N N Recipharm AB (publ) 549300FHCTIFJOZ9D484 RECIPHARM AB-B SHS COMMON STOCK N/A 10147.00000000 NS 136062.29000000 0.007176158662 Long EC SE N 1 N N N Centuria Metropolitan REIT N/A CENTURIA METROPOLITAN REIT REIT N/A 3682.00000000 NS 7554.91000000 0.000398458917 Long EC AU N 1 N N N Relia Inc N/A RELIA INC COMMON STOCK N/A 43000.00000000 NS 535287.86000000 0.028232000311 Long EC JP N 2 N N N Garo AB 549300RKWROUEEV6VP74 GARO AB COMMON STOCK N/A 2645.00000000 NS 84100.04000000 0.004435580428 Long EC SE N 1 N N N Kina Securities Ltd N/A KINA SECURITIES LTD COMMON STOCK N/A 58214.00000000 NS 58347.98000000 0.003077372592 Long EC PG N 1 N N N ATOSS Software AG 529900Q9G9280ADNOA39 ATOSS SOFTWARE AG COMMON STOCK N/A 70.00000000 NS 9651.54000000 0.000509038782 Long EC DE N 1 N N N FRONTLINE LTD. 5493004BCIKYU1YL3H63 FRONTLINE LTD COMMON STOCK G3682E192 13600.00000000 NS USD 123760.00000000 0.006527314776 Long EC BM N 1 N N N VIENNA INSURANCE GROUP AG Wiener Versicherung Gruppe 549300JCRU23I1THU176 VIENNA INSURANCE GROUP AG COMMON STOCK N/A 10884.00000000 NS 283527.09000000 0.014953705270 Long EC AT N 1 N N N Inwido AB (publ) 529900A9NKQW5UTHBG13 INWIDO AB COMMON STOCK N/A 39659.00000000 NS 213522.58000000 0.011261547282 Long EC SE N 1 N N N TOYO MACHINERY & METAL CO., LTD. N/A TOYO MACHINERY & METAL CO COMMON STOCK N/A 2300.00000000 NS 12124.86000000 0.000639485923 Long EC JP N 1 N N N Wealth Management Inc N/A WEALTH MANAGEMENT INC/ TOKYO COMMON STOCK N/A 3000.00000000 NS 64758.38000000 0.003415468089 Long EC JP N 1 N N N MAMEZOU HOLDINGS CO.,LTD. N/A MAMEZOU HOLDINGS CO LTD COMMON STOCK N/A 7000.00000000 NS 111417.34000000 0.005876341708 Long EC JP N 1 N N N The Nanto Bank, Ltd. 353800923E4YW3IDES52 NANTO BANK LTD/THE COMMON STOCK N/A 6700.00000000 NS 156524.39000000 0.008255364930 Long EC JP N 1 N N N KOURAKUEN HOLDINGS CORPORATION N/A KOURAKUEN HOLDINGS CORP COMMON STOCK N/A 9800.00000000 NS 212450.40000000 0.011204998669 Long EC JP N 1 N N N Unipol Gruppo S.p.A. 8156005CE5E7340CCA86 UNIPOL GRUPPO SPA COMMON STOCK N/A 149856.00000000 NS 798060.34000000 0.042091071834 Long EC IT N 1 N N N SOPRA STERIA GROUP S.A. 96950020QIOHAAK9V551 SOPRA STERIA GROUP COMMON STOCK N/A 1409.00000000 NS 175535.66000000 0.009258051934 Long EC FR N 1 N N N Baby Bunting Group Ltd N/A BABY BUNTING GROUP LTD COMMON STOCK N/A 39286.00000000 NS 94132.18000000 0.004964692707 Long EC AU N 1 N N N MITSUI-SOKO HOLDINGS Co., Ltd. N/A MITSUI-SOKO HOLDINGS CO LTD COMMON STOCK N/A 13000.00000000 NS 201146.82000000 0.010608828462 Long EC JP N 1 N N N Internet Initiative Japan Inc. 529900EOCJNAPUHDFR78 INTERNET INITIATIVE JAPAN COMMON STOCK N/A 2300.00000000 NS 52221.97000000 0.002754276312 Long EC JP N 1 N N N IntegraFin Holdings plc 213800CYIZKXK9PQYE87 INTEGRAFIN HOLDINGS PLC COMMON STOCK N/A 1981.00000000 NS 9645.47000000 0.000508718639 Long EC GB N 1 N N N CYBERARK SOFTWARE LTD. 529900YEXNDM894PWS93 CYBERARK SOFTWARE LTD/ISRAEL COMMON STOCK M2682V108 700.00000000 NS USD 69874.00000000 0.003685274666 Long EC IL N 1 N N N FIERA MILANO S.P.A. 81560026FB4FD48C6110 FIERA MILANO SPA COMMON STOCK N/A 23270.00000000 NS 106145.11000000 0.005598275250 Long EC IT N 1 N N N MAX CO., LTD. N/A MAX CO LTD COMMON STOCK N/A 12400.00000000 NS 207689.25000000 0.010953887447 Long EC JP N 1 N N N Plaza Retail REIT N/A PLAZA RETAIL REIT REIT 72820F103 8900.00000000 NS 29893.95000000 0.001576658222 Long EC CA N 1 N N N SkiStar AB 529900CD7HSJ1CZS7089 SKISTAR AB COMMON STOCK N/A 12571.00000000 NS 160648.49000000 0.008472877041 Long EC SE N 1 N N N JAPANESE YEN N/A FX Forward Contract: JPY/USD SETTLE 2019-10-01 N/A 1.00000000 NC -34.51000000 -0.00000182011 N/A DFE JP N 2 RECONCILIATION TEAM FX N/A 11483.66000000 USD 1237939.00000000 JPY 2019-10-01 -34.51000000 N N N NIPPON PARKING DEVELOPMENT Co., Ltd. N/A NIPPON PARKING DEVELOPMENT C COMMON STOCK N/A 70700.00000000 NS 111158.38000000 0.005862683713 Long EC JP N 2 N N N Enea Aktiebolag 549300UNMLWLG6B2R803 ENEA AB COMMON STOCK N/A 3656.00000000 NS 53294.73000000 0.002810855516 Long EC SE N 1 N N N TAIHO KOGYO CO., LTD. N/A TAIHO KOGYO CO COMMON STOCK N/A 1858.00000000 NS 13231.54000000 0.000697854125 Long EC JP N 1 N N N SEIKO HOLDINGS CORPORATION N/A SEIKO HOLDINGS CORP COMMON STOCK N/A 14700.00000000 NS 324385.66000000 0.017108656366 Long EC JP N 1 N N N Accell Group N.V. 724500PZHSQTJODTGY09 ACCELL GROUP COMMON STOCK N/A 2608.00000000 NS 63105.71000000 0.003328303437 Long EC NL N 1 N N N AUSDRILL LIMITED 25490044GUNE4S2E6K11 AUSDRILL LTD COMMON STOCK N/A 70884.00000000 NS 106690.33000000 0.005627031088 Long EC AU N 1 N N N THE SHIGA BANK, LTD. 3538002NUIQ8JFEJNS94 SHIGA BANK LTD/THE COMMON STOCK N/A 10149.00000000 NS 230435.10000000 0.012153542609 Long EC JP N 1 N N N OZ MINERALS LIMITED 529900O2VBT5CL7EZT27 OZ MINERALS LTD COMMON STOCK N/A 25643.00000000 NS 166327.55000000 0.008772400411 Long EC AU N 1 N N N Sligro Food Group NV 724500YLB8OA6WK5CH48 SLIGRO FOOD GROUP NV COMMON STOCK N/A 140.00000000 NS 3959.80000000 0.000208846647 Long EC NL N 1 N N N Affimed NV 5493004V4FSXT1D04610 AFFIMED NV COMMON STOCK N01045108 41977.00000000 NS USD 123412.38000000 0.006508980701 Long EC NL N 1 N N N ACEA S.P.A. 549300Q3448N041CTH56 ACEA SPA COMMON STOCK N/A 25756.00000000 NS 514294.66000000 0.027124782918 Long EC IT N 1 N N N NZX LIMITED N/A NZX LTD COMMON STOCK N/A 83714.00000000 NS 67624.17000000 0.003566614771 Long EC NZ N 1 N N N Fullcast Holdings Co Ltd N/A FULLCAST HOLDINGS CO LTD COMMON STOCK N/A 1400.00000000 NS 28343.12000000 0.001494864786 Long EC JP N 1 N N N NICHIIGAKKAN CO.,LTD. 529900W8LLNJKWNAW689 NICHIIGAKKAN CO LTD COMMON STOCK N/A 7300.00000000 NS 119500.58000000 0.006302665656 Long EC JP N 1 N N N SeSa SpA 81560005C031D4E76707 SESA SPA COMMON STOCK N/A 3358.00000000 NS 146768.61000000 0.007740828352 Long EC IT N 1 N N N TRUSTPOWER LIMITED N/A TRUSTPOWER LTD COMMON STOCK N/A 32176.00000000 NS 166629.42000000 0.008788321553 Long EC NZ N 1 N N N SONAE - SGPS, S.A. 549300847SOBT7HY7R50 SONAE COMMON STOCK N/A 333324.00000000 NS 310628.16000000 0.016383062208 Long EC PT N 1 N N N VZ Holding AG 529900JMJUZCFUVQ0Q82 VZ HOLDING AG COMMON STOCK N/A 213.00000000 NS 63598.02000000 0.003354268711 Long EC CH N 1 N N N 888 Holdings Public Limited Company 213800H84UJQYSVF9750 888 HOLDINGS PLC COMMON STOCK N/A 31902.00000000 NS 60445.56000000 0.003188002561 Long EC GI N 1 N N N VESUVIUS PLC 213800ORZ521W585SY02 VESUVIUS PLC COMMON STOCK N/A 40499.00000000 NS 226767.71000000 0.011960118167 Long EC GB N 1 N N N Rovio Entertainment Oyj 743700H95H3OPXDV6568 ROVIO ENTERTAINMENT OY COMMON STOCK N/A 4620.00000000 NS 20625.76000000 0.001087837977 Long EC FI N 1 N N N A2A S.P.A. 81560076E3944316DB24 A2A SPA COMMON STOCK N/A 320230.00000000 NS 587776.52000000 0.031000342312 Long EC IT N 1 N N N Treasure Factory Co Ltd N/A TREASURE FACTORY CO LTD COMMON STOCK N/A 3200.00000000 NS 40012.95000000 0.002110351646 Long EC JP N 1 N N N Fastighets AB Balder 549300GHKJCEZOAEUU82 FASTIGHETS AB BALDER-B SHRS COMMON STOCK N/A 30067.00000000 NS 1138655.09000000 0.060054623423 Long EC SE N 1 N N N LOOKERS PLC 213800TSB8PJEACDAV33 LOOKERS PLC COMMON STOCK N/A 55987.00000000 NS 38824.89000000 0.002047691323 Long EC GB N 1 N N N Resurs Holding AB (publ) 5493006KHWZ6OVF3IO54 RESURS HOLDING AB COMMON STOCK N/A 64416.00000000 NS 381821.87000000 0.020137940644 Long EC SE N 1 N N N GDI Property Group Ltd N/A GDI PROPERTY GROUP REIT N/A 145595.00000000 NS 149369.53000000 0.007878005336 Long EC AU N 1 N N N Morguard North American Residential Real Estate Investment Trust N/A MORGUARD NORTH AMERICAN RESI REIT 61761E100 16100.00000000 NS 241223.53000000 0.012722542921 Long EC CA N 1 N N N NEMETSCHEK SE 529900R0S2IX1S358J38 NEMETSCHEK SE COMMON STOCK N/A 3480.00000000 NS 177590.11000000 0.009366407152 Long EC DE N 1 N N N Intertrust N.V. 724500NRH17KKW68GO66 INTERTRUST NV COMMON STOCK N/A 17082.00000000 NS 334017.55000000 0.017616658774 Long EC NL N 1 N N N AGGREKO PLC 2138003R7TGCSVF27H47 AGGREKO PLC COMMON STOCK N/A 52822.00000000 NS 539579.23000000 0.028458334529 Long EC GB N 1 N N N ENPLAS CORPORATION N/A ENPLAS CORP COMMON STOCK N/A 800.00000000 NS 25895.95000000 0.001365796841 Long EC JP N 1 N N N ISRA VISION AG 5299003X7GPVWMS70V40 ISRA VISION AG COMMON STOCK N/A 4153.00000000 NS 174363.80000000 0.009196246027 Long EC DE N 1 N N N Lifco AB (publ) 549300RTLL4VDQRCTW41 LIFCO AB-B SHS COMMON STOCK N/A 3212.00000000 NS 151463.11000000 0.007988424337 Long EC SE N 1 N N N MITSUI MATSUSHIMA HOLDINGS CO., LTD. N/A MITSUI MATSUSHIMA HOLDINGS C COMMON STOCK N/A 6300.00000000 NS 69977.34000000 0.003690724995 Long EC JP N 1 N N N ALONY-HETZ PROPERTIES AND INVESTMENTS LTD 213800PNXOBRJDRRDC27 ALONY HETZ PROPERTIES & INV COMMON STOCK N/A 31506.00000000 NS 461278.32000000 0.024328610168 Long EC IL N 2 N N N CAFE DE CORAL HOLDINGS LIMITED N/A CAFE DE CORAL HOLDINGS LTD COMMON STOCK N/A 222000.00000000 NS 594817.36000000 0.031371688296 Long EC BM N 1 N N N SK-Electronics CO.,LTD. N/A SK-ELECTRONICS LTD COMMON STOCK N/A 11500.00000000 NS 201230.06000000 0.010613218683 Long EC JP N 1 N N N KBC ANCORA BV 549300I4XZ0RR3ZOSZ55 KBC ANCORA COMMON STOCK N/A 12354.00000000 NS 549114.54000000 0.028961243141 Long EC BE N 1 N N N Select Harvests Ltd 549300JZYUFVKN0L4E13 SELECT HARVESTS LTD COMMON STOCK N/A 12654.00000000 NS 65678.94000000 0.003464020003 Long EC AU N 1 N N N Avio SpA 8156008F25C4B0E7C860 AVIO SPA COMMON STOCK N/A 15182.00000000 NS 196917.39000000 0.010385761066 Long EC IT N 1 N N N S IMMO AG 5299001QKV44IT3WPL26 S IMMO AG COMMON STOCK N/A 10910.00000000 NS 250908.48000000 0.013233343803 Long EC AT N 1 N N N Lindab International AB 54930085MH6IRQ1JP227 LINDAB INTERNATIONAL AB COMMON STOCK N/A 29780.00000000 NS 303727.84000000 0.016019127490 Long EC SE N 1 N N N THE SHIZUOKA BANK, LTD. 549300TJ1GRR4PX8GJ82 SHIZUOKA BANK LTD/THE COMMON STOCK N/A 68800.00000000 NS 512221.97000000 0.027015465690 Long EC JP N 1 N N N GREE,Inc. 5299003NKP8638R7J253 GREE INC COMMON STOCK N/A 44900.00000000 NS 204307.98000000 0.010775553465 Long EC JP N 1 N N N COLLINS FOODS LIMITED 529900SNO1ZIFF0A2094 COLLINS FOODS LTD COMMON STOCK N/A 32465.00000000 NS 219341.82000000 0.011568463985 Long EC AU N 1 N N N North Pacific Bank,Ltd. 549300A1ZLTL4KX3DZ92 NORTH PACIFIC BANK LTD COMMON STOCK N/A 52600.00000000 NS 111402.54000000 0.005875561130 Long EC JP N 1 N N N ELECTRA REAL ESTATE LTD N/A ELECTRA REAL ESTATE LTD COMMON STOCK N/A 7905.00000000 NS 47181.86000000 0.002488452262 Long EC IL N 2 N N N DIC Asset AG 52990044JL2ZPWONU738 DIC ASSET AG COMMON STOCK N/A 11935.00000000 NS 152720.96000000 0.008054765505 Long EC DE N 1 N N N Japan Petroleum Exploration Co., Ltd. 549300WXUNBZ356DMN17 JAPAN PETROLEUM EXPLORATION COMMON STOCK N/A 6100.00000000 NS 154523.93000000 0.008149857237 Long EC JP N 1 N N N SPAREBANKEN MORE 5967007LIEEXZX5PU005 SPAREBANKEN MORE-CAP CERT COMMON STOCK N/A 1457.00000000 NS 49486.74000000 0.002610015588 Long EC NO N 1 N N N TOC Co., Ltd. N/A TOC CO LTD COMMON STOCK N/A 2300.00000000 NS 17549.13000000 0.000925571231 Long EC JP N 1 N N N SUPER RETAIL GROUP LIMITED N/A SUPER RETAIL GROUP LTD COMMON STOCK N/A 32393.00000000 NS 216887.64000000 0.011439026321 Long EC AU N 1 N N N IRC LIMITED N/A IRC LTD COMMON STOCK N/A 2784000.00000000 NS 40848.72000000 0.002154431590 Long EC HK N 1 N N N Dream Office Real Estate Investment Trust N/A DREAM OFFICE REAL ESTATE INV REIT 26153P104 17165.00000000 NS 383632.60000000 0.020233441652 Long EC CA N 1 N N N DYNAM JAPAN HOLDINGS Co.,Ltd. 529900J18NI3W8LGUS68 DYNAM JAPAN HOLDINGS CO LTD COMMON STOCK N/A 96200.00000000 NS 122371.87000000 0.006454102418 Long EC JP N 1 N N N Talgo SA 95980037JECHVQDJDT59 TALGO SA COMMON STOCK N/A 15272.00000000 NS 84394.08000000 0.004451088602 Long EC ES N 1 N N N KAKEN PHARMACEUTICAL CO.,LTD. N/A KAKEN PHARMACEUTICAL CO LTD COMMON STOCK N/A 2200.00000000 NS 101937.57000000 0.005376362370 Long EC JP N 1 N N N Takasago Thermal Engineering Co., Ltd. N/A TAKASAGO THERMAL ENGINEERING COMMON STOCK N/A 15200.00000000 NS 251072.37000000 0.013241987643 Long EC JP N 1 N N N D'IETEREN S.A. 549300DV5KJ23OKVTW34 D'IETEREN SA/NV COMMON STOCK N/A 2498.00000000 NS 135454.57000000 0.007144106467 Long EC BE N 1 N N N A&D Company, Limited N/A A&D CO LTD COMMON STOCK N/A 5300.00000000 NS 35292.49000000 0.001861386485 Long EC JP N 1 N N N Mota-Engil, SGPS, S.A. 549300L6RR1203WN9F57 MOTA ENGIL SGPS SA COMMON STOCK N/A 46101.00000000 NS 90999.06000000 0.004799446582 Long EC PT N 1 N N N Roland DG Corporation N/A ROLAND DG CORP COMMON STOCK N/A 4500.00000000 NS 83112.14000000 0.004383476887 Long EC JP N 1 N N N Computer Institute of Japan, Ltd. N/A COMPUTER INSTITUTE OF JAPAN COMMON STOCK N/A 9400.00000000 NS 72244.16000000 0.003810280972 Long EC JP N 1 N N N ams AG 5299001JPPT2QFTV5D76 AMS AG COMMON STOCK A0699F101 8870.00000000 NS 394330.85000000 0.020797685716 Long EC AT N 1 N N N Career Design Center Co Ltd N/A CAREER DESIGN CENTER CO LTD COMMON STOCK N/A 5600.00000000 NS 73596.30000000 0.003881595156 Long EC JP N 1 N N N FURUSATO INDUSTRIES,LTD. N/A FURUSATO INDUSTRIES LTD COMMON STOCK N/A 1400.00000000 NS 18645.09000000 0.000983374042 Long EC JP N 1 N N N North Pacific Bank,Ltd. 549300A1ZLTL4KX3DZ92 NORTH PACIFIC BANK LTD COMMON STOCK N/A 34800.00000000 NS 73703.58000000 0.003887253287 Long EC JP N 1 N N N SAIZERIYA CO.,LTD. N/A SAIZERIYA CO LTD COMMON STOCK N/A 27400.00000000 NS 703720.69000000 0.037115436802 Long EC JP N 1 N N N AFI PROPERTIES LTD N/A AFI PROPERTIES LTD COMMON STOCK N/A 3545.00000000 NS 123967.72000000 0.006538270286 Long EC IL N 2 N N N KANDENKO CO.,LTD. 35380080NSN7GCYZ3X14 KANDENKO CO LTD COMMON STOCK N/A 57400.00000000 NS 512817.57000000 0.027046878656 Long EC JP N 1 N N N ALSO Holding AG 529900ACS8A6PTQI6141 ALSO HOLDING AG-REG COMMON STOCK N/A 2159.00000000 NS 308474.93000000 0.016269497163 Long EC CH N 1 N N N TAKASAGO INTERNATIONAL CORPORATION N/A TAKASAGO INTERNATIONAL CORP COMMON STOCK N/A 900.00000000 NS 21766.47000000 0.001148000979 Long EC JP N 1 N N N World Holdings Co Ltd N/A WORLD HOLDINGS CO LTD COMMON STOCK N/A 3400.00000000 NS 49305.90000000 0.002600477776 Long EC JP N 1 N N N Tamron Co Ltd N/A TAMRON CO LTD COMMON STOCK N/A 8100.00000000 NS 173649.02000000 0.009158547303 Long EC JP N 1 N N N COSMO ENERGY HOLDINGS COMPANY, LIMITED 353800Y4GZ7KR5X7L150 COSMO ENERGY HOLDINGS CO LTD COMMON STOCK N/A 4500.00000000 NS 92601.16000000 0.004883944085 Long EC JP N 1 N N N INTAGE HOLDINGS Inc. N/A INTAGE HOLDINGS INC COMMON STOCK N/A 3300.00000000 NS 28505.90000000 0.001503450083 Long EC JP N 1 N N N Daiwa Office Investment Corporation N/A DAIWA OFFICE INVESTMENT CORP REIT N/A 150.00000000 NS 1163930.64000000 0.061387699303 Long EC JP N 1 N N N TOYO CONSTRUCTION CO.,LTD. N/A TOYO CONSTRUCTION CO LTD COMMON STOCK N/A 29900.00000000 NS 129140.35000000 0.006811083668 Long EC JP N 1 N N N GREGGS PLC 213800I71QMUFJ64IW20 GREGGS PLC COMMON STOCK N/A 33705.00000000 NS 866132.84000000 0.045681332299 Long EC GB N 1 N N N Sanki Engineering Co., Ltd. N/A SANKI ENGINEERING CO LTD COMMON STOCK N/A 27300.00000000 NS 323181.50000000 0.017045146902 Long EC JP N 1 N N N Hamburger Hafen und Logistik Aktiengesellschaft 52990003RXKZ9J9ERW70 HAMBURGER HAFEN UND LOGISTIK COMMON STOCK N/A 4931.00000000 NS 122862.50000000 0.006479979086 Long EC DE N 1 N N N STARTS CORPORATION INC. N/A STARTS CORP INC COMMON STOCK N/A 4100.00000000 NS 100030.52000000 0.005275781281 Long EC JP N 1 N N N CRITEO S.A. 969500EELFB4RDMFHA76 CRITEO SA-SPON ADR DEPOSITARY RECEIPT 226718104 5700.00000000 NS USD 106533.00000000 0.005618733234 Long EC FR N 1 N N N Mitsubishi Shokuhin Co., Ltd. N/A MITSUBISHI SHOKUHIN CO LTD COMMON STOCK N/A 6100.00000000 NS 152605.78000000 0.008048690714 Long EC JP N 1 N N N Elekta AB (publ) 54930044O54BK617EP80 ELEKTA AB-B SHS COMMON STOCK N/A 15326.00000000 NS 201927.28000000 0.010649991262 Long EC SE N 1 N N N New Work SE 5299002VHN50DM9T9H37 NEW WORK SE COMMON STOCK N/A 551.00000000 NS 150141.15000000 0.007918701899 Long EC DE N 1 N N N Mapletree Commercial Trust 5493005JPUW1X1CVQG25 MAPLETREE COMMERCIAL TRUST REIT N/A 97900.00000000 NS 162204.54000000 0.008554945788 Long EC SG N 1 N N N Hokuhoku Financial Group, Inc. N/A HOKUHOKU FINANCIAL GROUP INC COMMON STOCK N/A 16100.00000000 NS 155602.31000000 0.008206732849 Long EC JP N 1 N N N Daitron Co.,Ltd. N/A DAITRON CO LTD COMMON STOCK N/A 1700.00000000 NS 20627.98000000 0.001087955063 Long EC JP N 1 N N N BLUESCOPE STEEL LIMITED N/A BLUESCOPE STEEL LTD COMMON STOCK N/A 123581.00000000 NS 1001766.89000000 0.052834904849 Long EC AU N 1 N N N NEC Capital Solutions Limited 353800ZI7YB13OFXXR18 NEC CAPITAL SOLUTIONS LTD COMMON STOCK N/A 1300.00000000 NS 26102.20000000 0.001376674820 Long EC JP N 1 N N N SIG Combibloc Group AG N/A SIG COMBIBLOC GROUP AG COMMON STOCK N/A 13245.00000000 NS 176502.68000000 0.009309054228 Long EC CH N 1 N N N IMMOBILIARE GRANDE DISTRIBUZIONE SOCIETA DI INVESTIMENTO IMMOBILIARE QUOTATA S.P.A. 815600CF8C0389D0E272 IMMOBILIARE GRANDE DISTRIBUZ REIT N/A 25870.00000000 NS 158467.74000000 0.008357860544 Long EC IT N 1 N N N DRAX GROUP PLC 549300YPSNTXR4ZHSR98 DRAX GROUP PLC COMMON STOCK N/A 296405.00000000 NS 1006591.10000000 0.053089341963 Long EC GB N 1 N N N Ebara Jitsugyo Co Ltd N/A EBARA JITSUGYO CO LTD COMMON STOCK N/A 4400.00000000 NS 81387.28000000 0.004292504810 Long EC JP N 1 N N N SILVERCORP METALS INC. 52990092RT3UCQ7G3177 SILVERCORP METALS INC COMMON STOCK 82835P103 32800.00000000 NS 127253.65000000 0.006711575873 Long EC CA N 1 N N N The Chugoku Bank, Limited M2M9DTFX7VM34QT15B77 CHUGOKU BANK LTD/THE COMMON STOCK N/A 13100.00000000 NS 122973.41000000 0.006485828670 Long EC JP N 1 N N N ILUKA RESOURCES LIMITED 2549009N2Y1F4YNB0955 ILUKA RESOURCES LTD COMMON STOCK N/A 162609.00000000 NS 876926.75000000 0.046250621635 Long EC AU N 1 N N N TATE & LYLE PUBLIC LIMITED COMPANY 2138008K14474WPKZ244 TATE & LYLE PLC COMMON STOCK N/A 15381.00000000 NS 139189.44000000 0.007341089920 Long EC GB N 1 N N N INABA DENKI SANGYO CO.,LTD. N/A INABA DENKI SANGYO CO LTD COMMON STOCK N/A 1300.00000000 NS 56749.13000000 0.002993046499 Long EC JP N 1 N N N ITALGAS S.P.A. 815600F25FF44EF1FA76 ITALGAS SPA COMMON STOCK N/A 223136.00000000 NS 1440277.49000000 0.075962706394 Long EC IT N 1 N N N Getinge AB 5493003PZ4F570G3W735 GETINGE AB-B SHS COMMON STOCK N/A 79719.00000000 NS 1115525.85000000 0.058834747614 Long EC SE N 1 N N N JB HI-FI LIMITED 529900TPC8H040Y3ZQ65 JB HI-FI LTD COMMON STOCK N/A 22425.00000000 NS 514616.05000000 0.027141733578 Long EC AU N 1 N N N SHIBAURA MECHATRONICS CORPORATION N/A SHIBAURA MECHATRONICS CORP COMMON STOCK N/A 2300.00000000 NS 61283.70000000 0.003232207503 Long EC JP N 1 N N N Ryoyo Electro Corp N/A RYOYO ELECTRO CORP COMMON STOCK N/A 7800.00000000 NS 133384.51000000 0.007034927950 Long EC JP N 1 N N N TRANSACTION CO., Ltd. N/A TRANSACTION CO LTD COMMON STOCK N/A 29300.00000000 NS 278570.17000000 0.014692268803 Long EC JP N 1 N N N TOKYU CONSTRUCTION CO., LTD. 529900AF5X5AZCMDF192 TOKYU CONSTRUCTION CO LTD COMMON STOCK N/A 32600.00000000 NS 249041.39000000 0.013134870273 Long EC JP N 1 N N N TOKYU CONSTRUCTION CO., LTD. 529900AF5X5AZCMDF192 TOKYU CONSTRUCTION CO LTD COMMON STOCK N/A 54100.00000000 NS 413286.47000000 0.021797437643 Long EC JP N 1 N N N Ingenia Communities Group N/A INGENIA COMMUNITIES GROUP REIT N/A 69206.00000000 NS 187776.73000000 0.009903666972 Long EC AU N 1 N N N TOSEI CORPORATION N/A TOSEI CORP COMMON STOCK N/A 6200.00000000 NS 73167.17000000 0.003858962103 Long EC JP N 1 N N N Nomad Foods Limited 5493000ZZ1837DS2SI43 NOMAD FOODS LTD COMMON STOCK G6564A105 44400.00000000 NS USD 910200.00000000 0.048005509938 Long EC VG N 1 N N N ISRAMCO NEGEV 2 LIMITED PARTNERSHIP 213800N8SB4D3Y6BFI15 ISRAMCO NEGEV 2 LP PARTNERSHIP SHARES N/A 45531.00000000 NS 7988.21000000 0.000421311903 Long EC IL N 2 N N N YOKOWO CO., LTD. N/A YOKOWO CO LTD COMMON STOCK N/A 3200.00000000 NS 87365.55000000 0.004607809029 Long EC JP N 1 N N N HKR INTERNATIONAL LIMITED 2549008D4GKSRL4VE775 HKR INTERNATIONAL LTD COMMON STOCK N/A 193600.00000000 NS 76820.50000000 0.004051644996 Long EC KY N 1 N N N NSD CO., LTD. N/A NSD CO LTD COMMON STOCK N/A 6500.00000000 NS 186658.96000000 0.009844713864 Long EC JP N 1 N N N Zehnder Group AG 8945000LUWFSSFRPU761 ZEHNDER GROUP AG-RG COMMON STOCK N/A 577.00000000 NS 23096.19000000 0.001218132694 Long EC CH N 1 N N N N/A N/A STATE STREET INSTITUTIONAL TREASURY MONEY MARKET FUND 857492888 433187.14000000 PA USD 433187.14000000 0.022847033129 Long STIV XX N 2 N N N The Bank of Kyoto, Ltd. 549300LRPVT8N6FNFC04 BANK OF KYOTO LTD/THE COMMON STOCK N/A 2300.00000000 NS 89872.83000000 0.004740047279 Long EC JP N 1 N N N Tethys Oil AB 549300WI3UNWMNQDVQ18 TETHYS OIL AB COMMON STOCK N/A 6487.00000000 NS 51597.88000000 0.002721360735 Long EC SE N 1 N N N BANCA MEDIOLANUM SPA 7LVZJ6XRIE7VNZ4UBX81 BANCA MEDIOLANUM SPA COMMON STOCK N/A 20623.00000000 NS 154874.24000000 0.008168333187 Long EC IT N 1 N N N MOUNT GIBSON IRON LIMITED 254900QOF9A5FW2FHD67 MOUNT GIBSON IRON LTD COMMON STOCK N/A 302733.00000000 NS 161420.55000000 0.008513596810 Long EC AU N 1 N N N HANG LUNG GROUP LIMITED 529900V2T2EPOQYH0981 HANG LUNG GROUP LTD COMMON STOCK N/A 70000.00000000 NS 174336.86000000 0.009194825165 Long EC HK N 1 N N N NIHON CHOUZAI Co.,Ltd. N/A NIHON CHOUZAI CO LTD COMMON STOCK N/A 1700.00000000 NS 58409.25000000 0.003080604077 Long EC JP N 2 N N N DICKER DATA LIMITED 549300Z9AR1B5G2UQJ37 DICKER DATA LTD COMMON STOCK N/A 59299.00000000 NS 318189.95000000 0.016781883989 Long EC AU N 1 N N N EML Payments Ltd N/A EML PAYMENTS LTD COMMON STOCK N/A 99625.00000000 NS 288467.96000000 0.015214295232 Long EC AU N 1 N N N ORANGE BELGIUM SA 5493007JS0ZHJVBUWP18 ORANGE BELGIUM COMMON STOCK N/A 2252.00000000 NS 46489.67000000 0.002451944973 Long EC BE N 1 N N N KANTO DENKA KOGYO CO.,LTD. N/A KANTO DENKA KOGYO CO LTD COMMON STOCK N/A 22200.00000000 NS 166512.83000000 0.008782172396 Long EC JP N 1 N N N Godo Steel, Ltd. N/A GODO STEEL LTD COMMON STOCK N/A 14000.00000000 NS 274238.15000000 0.014463790634 Long EC JP N 1 N N N SEC CARBON,LIMITED N/A SEC CARBON LTD COMMON STOCK N/A 2500.00000000 NS 188901.73000000 0.009963001402 Long EC JP N 1 N N N Kojima Co.,Ltd. N/A KOJIMA CO LTD COMMON STOCK N/A 60400.00000000 NS 272603.01000000 0.014377550544 Long EC JP N 1 N N N BEFIMMO S.A. 529900UM10B3V374TA43 BEFIMMO REIT N/A 1654.00000000 NS 101677.00000000 0.005362619461 Long EC BE N 1 N N N Relia Inc N/A RELIA INC COMMON STOCK N/A 17300.00000000 NS 215360.00000000 0.011358455966 Long EC JP N 2 N N N DIALOG SEMICONDUCTOR PLC 529900QA2LORU6646N15 DIALOG SEMICONDUCTOR PLC COMMON STOCK N/A 4887.00000000 NS 231334.44000000 0.012200975344 Long EC GB N 1 N N N UNITED ARROWS LTD. N/A UNITED ARROWS LTD COMMON STOCK N/A 6000.00000000 NS 175352.60000000 0.009248397035 Long EC JP N 1 N N N MERCIALYS S.A. 969500081CGAXB7YS433 MERCIALYS REIT N/A 17966.00000000 NS 238901.76000000 0.012600088787 Long EC FR N 1 N N N Avast PLC 213800IR8G8LCZH4BO27 AVAST PLC COMMON STOCK N/A 129031.00000000 NS 615558.99000000 0.032465637455 Long EC GB N 1 N N N CONSORT MEDICAL PLC 2138001TBP74FD66QT38 CONSORT MEDICAL PLC COMMON STOCK N/A 4741.00000000 NS 43952.66000000 0.002318138712 Long EC GB N 1 N N N Osaki Electric Co., Ltd. N/A OSAKI ELECTRIC CO LTD COMMON STOCK N/A 8700.00000000 NS 53024.74000000 0.002796615780 Long EC JP N 1 N N N PERSEUS MINING LIMITED 54930054ZDGKBCW3SM26 PERSEUS MINING LTD COMMON STOCK N/A 400046.00000000 NS 189007.89000000 0.009968600463 Long EC AU N 1 N N N Softbrain Co Ltd 529900TS4PMPC0YVMF25 SOFTBRAIN CO LTD COMMON STOCK N/A 12200.00000000 NS 73453.87000000 0.003874083153 Long EC JP N 1 N N N NS Solutions Corp N/A NS SOLUTIONS CORP COMMON STOCK N/A 8300.00000000 NS 270589.60000000 0.014271359846 Long EC JP N 1 N N N Gaztransport et Technigaz SA 969500BVOHVZUUFWDT54 GAZTRANSPORT ET TECHNIGA SA COMMON STOCK N/A 8621.00000000 NS 853671.35000000 0.045024091932 Long EC FR N 1 N N N Rejlers AB (publ) 549300K5464VN6QLVB64 REJLERS AB COMMON STOCK N/A 2297.00000000 NS 26367.30000000 0.001390656649 Long EC SE N 1 N N N EURO N/A FX Forward Contract: EUR/USD SETTLE 2019-10-01 N/A 1.00000000 NC -102.67000000 -0.00000541499 N/A DFE XX N 2 RECONCILIATION TEAM FX N/A 19081.81000000 USD 17412.79000000 EUR 2019-10-01 -102.67000000 N N N SUGI HOLDINGS CO.,LTD. 529900N86BFWB1FADG87 SUGI HOLDINGS CO LTD COMMON STOCK N/A 2300.00000000 NS 124439.31000000 0.006563142752 Long EC JP N 1 N N N IINO KAIUN KAISHA, LTD. N/A IINO KAIUN KAISHA LTD COMMON STOCK N/A 28300.00000000 NS 90036.53000000 0.004748681098 Long EC JP N 1 N N N Hiday Hidaka Corp N/A HIDAY HIDAKA CORP COMMON STOCK N/A 1300.00000000 NS 25092.25000000 0.001323408324 Long EC JP N 2 N N N PROPERTY FOR INDUSTRY LIMITED 2549004GA9AY0LPSSF23 PROPERTY FOR INDUSTRY LTD COMMON STOCK N/A 32158.00000000 NS 48329.73000000 0.002548992895 Long EC NZ N 1 N N N Lindab International AB 54930085MH6IRQ1JP227 LINDAB INTERNATIONAL AB COMMON STOCK N/A 36573.00000000 NS 373010.01000000 0.019673188027 Long EC SE N 1 N N N PIAGGIO & C. S.P.A. 8156000256C2431C2E92 PIAGGIO & C. S.P.A. COMMON STOCK N/A 66905.00000000 NS 197914.01000000 0.010438324515 Long EC IT N 1 N N N The Kita-Nippon Bank, Ltd. 353800BEJYJ7JD023D06 KITA-NIPPON BANK LTD/THE COMMON STOCK N/A 700.00000000 NS 11588.44000000 0.000611194211 Long EC JP N 1 N N N TOWA PHARMACEUTICAL CO., LTD. 35380036BH1C3PNO2426 TOWA PHARMACEUTICAL CO LTD COMMON STOCK N/A 15000.00000000 NS 347375.72000000 0.018321191583 Long EC JP N 1 N N N SINKO INDUSTRIES LTD. N/A SINKO INDUSTRIES LTD COMMON STOCK N/A 5800.00000000 NS 93497.34000000 0.004931210156 Long EC JP N 1 N N N People Infrastructure Ltd N/A PEOPLE INFRASTRUCTURE LTD COMMON STOCK N/A 53721.00000000 NS 114578.50000000 0.006043066711 Long EC AU N 1 N N N CITIC Telecom International Holdings Limited N/A CITIC TELECOM INTERNATIONAL COMMON STOCK N/A 485000.00000000 NS 176359.14000000 0.009301483682 Long EC HK N 1 N N N ARATA CORPORATION N/A ARATA CORP COMMON STOCK N/A 2200.00000000 NS 80675.14000000 0.004254945325 Long EC JP N 1 N N N The 77 Bank, Ltd. 549300U6CT3EHB9XS980 77 BANK LTD/THE COMMON STOCK N/A 29200.00000000 NS 432902.66000000 0.022832029166 Long EC JP N 1 N N N FORTERRA PLC N/A FORTERRA PLC COMMON STOCK N/A 29442.00000000 NS 102989.62000000 0.005431849292 Long EC GB N 1 N N N The Awa Bank, Ltd. 353800YH8XWV0XAHXR13 AWA BANK LTD/THE COMMON STOCK N/A 4100.00000000 NS 92408.79000000 0.004873798161 Long EC JP N 1 N N N Eurocommercial Properties N.V. 724500SFK53FPNM68L95 EUROCOMMERCIAL PROPERTIE-CV DEPOSITARY RECEIPT N/A 5067.00000000 NS 141162.68000000 0.007445161983 Long EC NL N 1 N N N MIRAI Corporation 353800HQCYM7P10R9D93 MIRAI CORP REIT N/A 243.00000000 NS 144058.27000000 0.007597880369 Long EC JP N 1 N N N transcosmos inc. N/A TRANSCOSMOS INC COMMON STOCK N/A 4300.00000000 NS 103597.69000000 0.005463919948 Long EC JP N 1 N N N INDEPENDENCE GROUP NL 2549005DZO8VGXM5QN07 INDEPENDENCE GROUP NL COMMON STOCK N/A 12153.00000000 NS 52825.22000000 0.002786092752 Long EC AU N 1 N N N NAKAMOTO PACKS CO.,LTD. N/A NAKAMOTO PACKS CO LTD COMMON STOCK N/A 900.00000000 NS 11969.48000000 0.000631290915 Long EC JP N 1 N N N INVESTEC PLC 2138007Z3U5GWDN3MY22 INVESTEC PLC COMMON STOCK N/A 73837.00000000 NS 380120.15000000 0.020048189011 Long EC GB N 1 N N N ONTEX GROUP N.V. 549300AQESC6JJOPW253 ONTEX GROUP NV COMMON STOCK N/A 4740.00000000 NS 85296.96000000 0.004498708043 Long EC BE N 1 N N N WORKSPACE GROUP PLC 2138003GUZRFIN3UT430 WORKSPACE GROUP PLC REIT 065083744 14454.00000000 NS 171053.78000000 0.009021669892 Long EC GB N 1 N N N Showa Sangyo Co., Ltd. 549300JPYQ7YV93EU469 SHOWA SANGYO CO LTD COMMON STOCK N/A 8700.00000000 NS 246617.34000000 0.013007021716 Long EC JP N 1 N N N I-O Data Device Inc N/A I-O DATA DEVICE INC COMMON STOCK N/A 1200.00000000 NS 9733.18000000 0.000513344615 Long EC JP N 1 N N N TAIYO YUDEN CO., LTD. 353800V9G3X5PLB9AD43 TAIYO YUDEN CO LTD COMMON STOCK N/A 7900.00000000 NS 192084.16000000 0.010130848222 Long EC JP N 1 N N N NIHON HOUSE HOLDINGS CO., LTD. N/A NIHON HOUSE HOLDINGS CO LTD COMMON STOCK N/A 5800.00000000 NS 27947.28000000 0.001473987505 Long EC JP N 1 N N N Vitec Software Group AB (publ) 5493005EB5RV1QHE6H94 VITEC SOFTWARE GROUP AB-B SH COMMON STOCK N/A 4373.00000000 NS 61747.65000000 0.003256677022 Long EC SE N 1 N N N DIP Corporation N/A DIP CORP COMMON STOCK N/A 8300.00000000 NS 201426.13000000 0.010623559751 Long EC JP N 1 N N N TOKYO KEIKI INC. N/A TOKYO KEIKI INC COMMON STOCK N/A 1900.00000000 NS 15586.59000000 0.000822063503 Long EC JP N 1 N N N PETS AT HOME GROUP PLC 2138003Y9ULD24PD3J93 PETS AT HOME GROUP PLC COMMON STOCK N/A 185063.00000000 NS 473744.54000000 0.024986100003 Long EC GB N 1 N N N PORR AG 529900ARBU9SBJFNX419 PORR AG COMMON STOCK N/A 4414.00000000 NS 90928.97000000 0.004795749915 Long EC AT N 1 N N N GLOBERIDE, Inc. N/A GLOBERIDE INC COMMON STOCK N/A 4300.00000000 NS 110915.14000000 0.005849854818 Long EC JP N 1 N N N Nitta Corporation N/A NITTA CORP COMMON STOCK N/A 3400.00000000 NS 90467.51000000 0.004771411723 Long EC JP N 1 N N N Japan Cash Machine Co Ltd N/A JAPAN CASH MACHINE CO LTD COMMON STOCK N/A 4500.00000000 NS 38122.54000000 0.002010648179 Long EC JP N 1 N N N Mapletree Commercial Trust 5493005JPUW1X1CVQG25 MAPLETREE COMMERCIAL TRUST REIT N/A 673300.00000000 NS 1115549.69000000 0.058836004977 Long EC SG N 1 N N N AUSTAL LIMITED 254900DJEFGICBICBU73 AUSTAL LTD COMMON STOCK N/A 130762.00000000 NS 383039.22000000 0.020202145773 Long EC AU N 1 N N N PHARMA MAR, S.A. 959800QWKZ45ZQC2AV58 PHARMA MAR SA COMMON STOCK N/A 5117.00000000 NS 10167.41000000 0.000536246651 Long EC ES N 1 N N N Business Brain Showa-Ota Inc N/A BUSINESS BRAIN SHOWA-OTA INC COMMON STOCK N/A 100.00000000 NS 2487.86000000 0.000131214005 Long EC JP N 1 N N N Corestate Capital Holding S.A. 529900GNB86RB7HRX793 CORESTATE CAPITAL HOLDING S. COMMON STOCK N/A 7115.00000000 NS 262119.74000000 0.013824644895 Long EC LU N 1 N N N Hokuetsu Corporation 549300CBTMD053ZJ7C79 HOKUETSU CORP COMMON STOCK N/A 60800.00000000 NS 303648.55000000 0.016014945599 Long EC JP N 1 N N N Fastighets AB Balder 549300GHKJCEZOAEUU82 FASTIGHETS AB BALDER-B SHRS COMMON STOCK N/A 21353.00000000 NS 808650.75000000 0.042649628231 Long EC SE N 1 N N N INCITEC PIVOT LIMITED 254900UW2F3BKV6Z9V18 INCITEC PIVOT LTD COMMON STOCK N/A 37867.00000000 NS 86642.82000000 0.004569691009 Long EC AU N 1 N N N Nyfosa AB 5493000YR2B83SILCJ50 NYFOSA AB COMMON STOCK N/A 15008.00000000 NS 102146.58000000 0.005387385916 Long EC SE N 1 N N N MIMASU SEMICONDUCTOR INDUSTRY CO., LTD. N/A MIMASU SEMICONDUCTOR INDUST COMMON STOCK N/A 7300.00000000 NS 117070.06000000 0.006174475861 Long EC JP N 1 N N N MELCO INTERNATIONAL DEVELOPMENT LIMITED 5299005YLKSGQRHYMI33 MELCO INTERNATIONAL DEVELOP. COMMON STOCK N/A 140000.00000000 NS 332954.82000000 0.017560608570 Long EC HK N 1 N N N JEOL Ltd. N/A JEOL LTD COMMON STOCK N/A 1500.00000000 NS 35556.07000000 0.001875288147 Long EC JP N 1 N N N NATIONAL EXPRESS GROUP PLC 213800A8IQEMY8PA5X34 NATIONAL EXPRESS GROUP PLC COMMON STOCK N/A 80113.00000000 NS 426515.46000000 0.022495157277 Long EC GB N 1 N N N F-TECH INC. N/A F-TECH INC COMMON STOCK N/A 8100.00000000 NS 51315.61000000 0.002706473330 Long EC JP N 1 N N N GENEL ENERGY PLC 549300IVCJDWC3LR8F94 GENEL ENERGY PLC COMMON STOCK N/A 91368.00000000 NS 207381.36000000 0.010937648800 Long EC JE N 1 N N N ASM International N.V. 7245001I22ND6ZFHX623 ASM INTERNATIONAL NV COMMON STOCK N/A 15865.00000000 NS 1460838.17000000 0.077047111940 Long EC NL N 1 N N N ELIS SA 969500UX71LCE8MAY492 ELIS SA COMMON STOCK N/A 39872.00000000 NS 704899.17000000 0.037177591860 Long EC FR N 1 N N N EUROTECH S.P.A. 815600B283DC6683D832 EUROTECH SPA COMMON STOCK N/A 65900.00000000 NS 518597.88000000 0.027351742125 Long EC IT N 1 N N N SECHE ENVIRONNEMENT SA 969500R9ENNIN33POO20 SECHE ENVIRONNEMENT COMMON STOCK N/A 1348.00000000 NS 53480.99000000 0.002820679188 Long EC FR N 1 N N N PGG WRIGHTSON LIMITED N/A PGG WRIGHTSON LTD COMMON STOCK N/A 6591.00000000 NS 9699.14000000 0.000511549287 Long EC NZ N 1 N N N FDM GROUP (HOLDINGS) PLC 213800YR62D7GUZLMZ71 FDM GROUP HOLDINGS PLC COMMON STOCK N/A 30857.00000000 NS 280376.77000000 0.014787551987 Long EC GB N 1 N N N IREN S.P.A. 8156001EBD33FD474E60 IREN SPA COMMON STOCK N/A 280855.00000000 NS 819174.45000000 0.043204666228 Long EC IT N 1 N N N Oki Electric Industry Company, Limited 529900VJ2Q0182B3J852 OKI ELECTRIC INDUSTRY CO LTD COMMON STOCK N/A 23700.00000000 NS 322429.60000000 0.017005490405 Long EC JP N 1 N N N The 77 Bank, Ltd. 549300U6CT3EHB9XS980 77 BANK LTD/THE COMMON STOCK N/A 11000.00000000 NS 163079.77000000 0.008601106921 Long EC JP N 1 N N N FURUKAWA CO.,LTD. 353800PX0BWY7U1VKE72 FURUKAWA CO LTD COMMON STOCK N/A 10700.00000000 NS 143788.21000000 0.007583636941 Long EC JP N 1 N N N Sankyo Tateyama,Inc. N/A SANKYO TATEYAMA INC COMMON STOCK N/A 7500.00000000 NS 86705.20000000 0.004572981037 Long EC JP N 1 N N N Pentamaster International Ltd N/A PENTAMASTER INTERNATIONAL LT COMMON STOCK N/A 140000.00000000 NS 31973.67000000 0.001686346223 Long EC KY N 1 N N N HOWDEN JOINERY GROUP PLC 213800KC1LJOJTY3JP45 HOWDEN JOINERY GROUP PLC COMMON STOCK N/A 91697.00000000 NS 631825.49000000 0.033323560579 Long EC GB N 1 N N N Evolution Gaming Group AB (publ) 549300SUH6ZR1RF6TA88 EVOLUTION GAMING GROUP COMMON STOCK N/A 23193.00000000 NS 456129.82000000 0.024057069443 Long EC SE N 1 N N N Altium Ltd 5299003MG7UFQSIFH576 ALTIUM LTD COMMON STOCK N/A 20028.00000000 NS 450822.29000000 0.023777141203 Long EC AU N 1 N N N FUJI SOFT INCORPORATED N/A FUJI SOFT INC COMMON STOCK N/A 4600.00000000 NS 194210.40000000 0.010242989768 Long EC JP N 1 N N N Eckert & Ziegler Strahlen- und Medizintechnik AG 391200EUDABLUKXCKG48 ECKERT & ZIEGLER STRAHLEN UN COMMON STOCK N/A 2742.00000000 NS 465632.23000000 0.024558242853 Long EC DE N 1 N N N Boyd Group Income Fund N/A BOYD GROUP INCOME FUND UNIT 103309100 1000.00000000 NS 132520.66000000 0.006989367019 Long EC CA N 1 N N N NSD CO., LTD. N/A NSD CO LTD COMMON STOCK N/A 8400.00000000 NS 241220.81000000 0.012722399463 Long EC JP N 1 N N N Digital Garage, Inc. 353800XMG9BC18FQ8862 DIGITAL GARAGE INC COMMON STOCK N/A 5800.00000000 NS 184258.96000000 0.009718133745 Long EC JP N 1 N N N Canadian Western Bank 549300QG7XFGLKN6HL17 CANADIAN WESTERN BANK COMMON STOCK 13677F101 10300.00000000 NS 258578.71000000 0.013637884896 Long EC CA N 1 N N N Kamigumi Co.,Ltd. N/A KAMIGUMI CO LTD COMMON STOCK N/A 5800.00000000 NS 131314.68000000 0.006925761564 Long EC JP N 1 N N N Daito Pharmaceutical Co.,Ltd. N/A DAITO PHARMACEUTICAL CO LTD COMMON STOCK N/A 4200.00000000 NS 117308.67000000 0.006187060562 Long EC JP N 1 N N N MERSEN SA OQXDLNM5DTBULYMF5U27 MERSEN COMMON STOCK N/A 8853.00000000 NS 275971.75000000 0.014555223673 Long EC FR N 1 N N N Champion Real Estate Investment Trust N/A CHAMPION REIT REIT N/A 257000.00000000 NS 166246.48000000 0.008768124640 Long EC HK N 1 N N N IMDEX LTD 529900H31NX5KRKXB865 IMDEX LTD COMMON STOCK N/A 28505.00000000 NS 26935.25000000 0.001420611306 Long EC AU N 1 N N N REDROW PLC 2138008WJZBBA7EYEL28 REDROW PLC COMMON STOCK N/A 55337.00000000 NS 420482.55000000 0.022176971251 Long EC GB N 1 N N N Pro Medicus Ltd N/A PRO MEDICUS LTD COMMON STOCK N/A 40009.00000000 NS 751253.98000000 0.039622424086 Long EC AU N 1 N N N Vitrolife AB 5493001WDZMONMSPPR49 VITROLIFE AB COMMON STOCK N/A 18166.00000000 NS 297105.97000000 0.015669878703 Long EC SE N 1 N N N DAH SING BANKING GROUP LIMITED 529900DXBMKJOLLQOM66 DAH SING BANKING GROUP LTD COMMON STOCK N/A 51600.00000000 NS 69390.77000000 0.003659788287 Long EC HK N 1 N N N Ascott Residence Trust 549300W6RTG7Y32IWY65 ASCOTT RESIDENCE TRUST REIT N/A 357000.00000000 NS 340947.08000000 0.017982134077 Long EC SG N 1 N N N SinterCast AB 549300365FORUXLUWL17 SINTERCAST AB COMMON STOCK N/A 348.00000000 NS 4631.02000000 0.000244247941 Long EC SE N 1 N N N RAITO KOGYO CO., LTD. N/A RAITO KOGYO CO LTD COMMON STOCK N/A 1500.00000000 NS 19671.68000000 0.001037518160 Long EC JP N 1 N N N IVU Traffic Technologies AG 3912003JRJW9PA9BPQ22 IVU TRAFFIC TECHNOLOGIES AG COMMON STOCK N/A 5518.00000000 NS 64353.71000000 0.003394125098 Long EC DE N 1 N N N KUREHA CORPORATION N/A KUREHA CORP COMMON STOCK N/A 11300.00000000 NS 671990.75000000 0.035441945317 Long EC JP N 1 N N N U.S. DOLLARS N/A FX Forward Contract: USD/GBP SETTLE 2019-10-01 N/A 1.00000000 NC USD -41.40000000 -0.00000218350 N/A DFE US N 2 RECONCILIATION TEAM FX N/A 64332.78000000 GBP 79058.55000000 USD 2019-10-01 -41.40000000 N N N Sto SE & Co. KGaA 5299006NYTD89XM31K74 STO SE & Co KGaA PREFERRED STOCK N/A 969.00000000 NS 101286.25000000 0.005342010636 Long EP DE N 1 N N N Hera S.p.A. 8156009414FD99443B48 HERA SPA COMMON STOCK N/A 157160.00000000 NS 645105.08000000 0.034023948944 Long EC IT N 1 N N N Elektron Technology PLC 213800556WJOWQNT2R68 ELEKTRON TECHNOLOGY PLC COMMON STOCK N/A 37991.00000000 NS 25457.82000000 0.001342689113 Long EC GB N 1 N N N Ferronordic AB 549300ZWVSKHHDQPES93 FERRONORDIC AB COMMON STOCK N/A 3314.00000000 NS 44774.46000000 0.002361481855 Long EC SE N 1 N N N Proto Corp N/A PROTO CORP COMMON STOCK N/A 7200.00000000 NS 78043.01000000 0.004116122272 Long EC JP N 1 N N N Pro Medicus Ltd N/A PRO MEDICUS LTD COMMON STOCK N/A 25102.00000000 NS 471343.38000000 0.024859458704 Long EC AU N 1 N N N Bolsas y Mercados Espanoles Sociedad Holding de Mercados y Sistemas Financieros, S.A. 9598003MSLCX8JT38V69 BOLSAS Y MERCADOS ESPANOLES COMMON STOCK N/A 8837.00000000 NS 223267.97000000 0.011775535874 Long EC ES N 1 N N N MITSUI-SOKO HOLDINGS Co., Ltd. N/A MITSUI-SOKO HOLDINGS CO LTD COMMON STOCK N/A 7600.00000000 NS 117593.53000000 0.006202084567 Long EC JP N 1 N N N NORTHERN STAR RESOURCES LTD 254900XFXCRYYZAX6M78 NORTHERN STAR RESOURCES LTD COMMON STOCK N/A 124068.00000000 NS 924487.02000000 0.048759031890 Long EC AU N 1 N N N Moberg Pharma AB (publ) 549300XFXK7DVGDRP410 MOBERG PHARMA AB COMMON STOCK N/A 30769.00000000 NS 211606.13000000 0.011160470420 Long EC SE N 1 N N N Torishima Pump Mfg. Co., Ltd. N/A TORISHIMA PUMP MFG CO LTD COMMON STOCK N/A 5600.00000000 NS 50548.90000000 0.002666035729 Long EC JP N 1 N N N Asian Pay Television Trust N/A ASIAN PAY TELEVISION TRUST UNIT N/A 403700.00000000 NS 48777.56000000 0.002572612218 Long EC SG N 1 N N N CINEWORLD GROUP PLC 213800J2J3TOOI176M73 CINEWORLD GROUP PLC COMMON STOCK N/A 88818.00000000 NS 248988.75000000 0.013132093949 Long EC GB N 1 N N N TAKUMA CO., LTD. N/A TAKUMA CO LTD COMMON STOCK N/A 20500.00000000 NS 232254.34000000 0.012249492449 Long EC JP N 1 N N N Takasago Thermal Engineering Co., Ltd. N/A TAKASAGO THERMAL ENGINEERING COMMON STOCK N/A 2000.00000000 NS 33035.84000000 0.001742366892 Long EC JP N 1 N N N KUMIAI CHEMICAL INDUSTRY Co., Ltd. N/A KUMIAI CHEMICAL INDUSTRY CO COMMON STOCK N/A 12100.00000000 NS 104185.90000000 0.005494943153 Long EC JP N 1 N N N Kewpie Corporation 529900LQQ53U4P4VZN24 KEWPIE CORP COMMON STOCK N/A 14200.00000000 NS 331344.28000000 0.017475665926 Long EC JP N 1 N N N Bunka Shutter Co., Ltd. 3538006KDHDR2E6VDJ47 BUNKA SHUTTER CO LTD COMMON STOCK N/A 38300.00000000 NS 327298.96000000 0.017262308808 Long EC JP N 1 N N N ZERIA PHARMACEUTICAL CO., LTD. N/A ZERIA PHARMACEUTICAL CO LTD COMMON STOCK N/A 4800.00000000 NS 84258.03000000 0.004443913092 Long EC JP N 1 N N N SUMITOMO DENSETSU CO.,LTD. N/A SUMITOMO DENSETSU CO LTD COMMON STOCK N/A 3400.00000000 NS 69210.64000000 0.003650287921 Long EC JP N 1 N N N METROPOLE TELEVISION S.A. 96950018NOMJX5XRH047 M6-METROPOLE TELEVISION COMMON STOCK N/A 10913.00000000 NS 179014.74000000 0.009441544583 Long EC FR N 1 N N N BEACH ENERGY LIMITED 8Q9PJD25OKTQT5FHUF40 BEACH ENERGY LTD COMMON STOCK N/A 295328.00000000 NS 504309.45000000 0.026598145807 Long EC AU N 1 N N N KAWADA TECHNOLOGIES,INC. N/A KAWADA TECHNOLOGIES INC COMMON STOCK N/A 1300.00000000 NS 83680.92000000 0.004413475320 Long EC JP N 1 N N N Encavis AG 391200ECRGNL09Y2KJ67 ENCAVIS AG COMMON STOCK N/A 35390.00000000 NS 327874.48000000 0.017292662720 Long EC DE N 1 N N N NetEnt AB (publ) 549300KMAL1H1YLMWP02 NETENT AB COMMON STOCK N/A 37077.00000000 NS 114311.38000000 0.006028978343 Long EC SE N 1 N N N Cloetta AB 549300CSLHPO6Y1AZN37 CLOETTA AB-B SHS COMMON STOCK N/A 124791.00000000 NS 358246.22000000 0.018894520407 Long EC SE N 1 N N N Riso Kyoiku Co Ltd N/A RISO KYOIKU CO LTD COMMON STOCK N/A 50400.00000000 NS 204629.83000000 0.010792528386 Long EC JP N 1 N N N NIKKISO CO.,LTD. 353800FFQ5RKIIYVIY98 NIKKISO CO LTD COMMON STOCK N/A 21500.00000000 NS 229068.21000000 0.012081450485 Long EC JP N 1 N N N SOITEC S.A. 969500ZR92SQCU9TST26 S.O.I.T.E.C. COMMON STOCK N/A 2723.00000000 NS 269192.56000000 0.014197677559 Long EC FR N 1 N N N AEDIFICA S.A. 529900DTKNXL0AXQFN28 AEDIFICA REIT N/A 3259.00000000 NS 377239.36000000 0.019896251203 Long EC BE N 1 N N N NEXUS AG 529900IBXKVGR2ZZGT64 NEXUS AG COMMON STOCK N/A 1524.00000000 NS 52324.33000000 0.002759674954 Long EC DE N 1 N N N KOURAKUEN HOLDINGS CORPORATION N/A KOURAKUEN HOLDINGS CORP COMMON STOCK N/A 3700.00000000 NS 80210.87000000 0.004230458928 Long EC JP N 1 N N N MASMOVIL IBERCOM, S.A. 959800YH56PYMFN7VV80 MASMOVIL IBERCOM SA COMMON STOCK N/A 16540.00000000 NS 336038.89000000 0.017723267714 Long EC ES N 1 N N N S IMMO AG 5299001QKV44IT3WPL26 S IMMO AG COMMON STOCK N/A 8538.00000000 NS 196357.16000000 0.010356213574 Long EC AT N 1 N N N Mutares AG 391200NWMO6NLQFSCU64 MUTARES SE & CO KGAA COMMON STOCK N/A 2898.00000000 NS 26122.34000000 0.001377737038 Long EC DE N 1 N N N PERSEUS MINING LIMITED 54930054ZDGKBCW3SM26 PERSEUS MINING LTD COMMON STOCK N/A 274721.00000000 NS 129796.16000000 0.006845672213 Long EC AU N 1 N N N SERVICE STREAM LIMITED N/A SERVICE STREAM LTD COMMON STOCK N/A 42098.00000000 NS 74444.86000000 0.003926349666 Long EC AU N 1 N N N Alfresa Holdings Corporation N/A ALFRESA HOLDINGS CORP COMMON STOCK N/A 6000.00000000 NS 133900.58000000 0.007062146367 Long EC JP N 1 N N N Parkway Life REIT 549300I4DKVD2OF5LW91 PARKWAYLIFE REAL ESTATE REIT N/A 118700.00000000 NS 268806.57000000 0.014177319784 Long EC SG N 1 N N N The Juroku Bank,Ltd. 549300RFU3D1M30ZZA20 JUROKU BANK LTD/THE COMMON STOCK N/A 9900.00000000 NS 216724.16000000 0.011430404105 Long EC JP N 1 N N N Frencken Group Ltd N/A FRENCKEN GROUP LTD COMMON STOCK N/A 314500.00000000 NS 153592.23000000 0.008100717780 Long EC SG N 1 N N N Nippon Electric Glass Co., Ltd. 529900NCIGSAX4V03234 NIPPON ELECTRIC GLASS CO LTD COMMON STOCK N/A 16300.00000000 NS 362406.47000000 0.019113939131 Long EC JP N 1 N N N Daiseki Co.,Ltd. N/A DAISEKI CO LTD COMMON STOCK N/A 3600.00000000 NS 91860.35000000 0.004844872494 Long EC JP N 1 N N N Integrated Research Ltd N/A INTEGRATED RESEARCH LTD COMMON STOCK N/A 28064.00000000 NS 58530.20000000 0.003086983188 Long EC AU N 1 N N N MEIDENSHA CORPORATION 529900VFKHJPVURD7985 MEIDENSHA CORP COMMON STOCK N/A 7900.00000000 NS 135386.82000000 0.007140533215 Long EC JP N 1 N N N LES INDUSTRIES DOREL INC. 549300BB7CUPIUJSMH15 DOREL INDUSTRIES-CL B COMMON STOCK 25822C205 7800.00000000 NS 53517.00000000 0.002822578417 Long EC CA N 1 N N N Orexo AB 549300LJ5CCWDPTK9Z08 OREXO AB COMMON STOCK N/A 17252.00000000 NS 93935.65000000 0.004954327378 Long EC SE N 1 N N N SPIRENT COMMUNICATIONS PLC 213800HKCUNWP1916L38 SPIRENT COMMUNICATIONS PLC COMMON STOCK N/A 10525.00000000 NS 25700.72000000 0.001355500076 Long EC GB N 1 N N N FUTURE PLC 213800K2581YRLEXV353 FUTURE PLC COMMON STOCK N/A 25141.00000000 NS 378980.54000000 0.019988084024 Long EC GB N 1 N N N CAC Holdings Corporation N/A CAC HOLDINGS CORP COMMON STOCK N/A 30200.00000000 NS 362539.65000000 0.019120963273 Long EC JP N 1 N N N CECONOMY AG 5299001X9L42HXEBCZ51 CECONOMY AG COMMON STOCK N/A 44754.00000000 NS 242289.25000000 0.012778750822 Long EC DE N 1 N N N HENGDELI HOLDINGS LIMITED 529900YZHJSSW59BA132 HENGDELI HOLDINGS LTD COMMON STOCK N/A 424000.00000000 NS 20286.56000000 0.001069947986 Long EC KY N 1 N N N JUKI CORPORATION N/A JUKI CORP COMMON STOCK N/A 6300.00000000 NS 52614.10000000 0.002774957921 Long EC JP N 1 N N N TORII PHARMACEUTICAL CO., LTD. N/A TORII PHARMACEUTICAL CO LTD COMMON STOCK N/A 7100.00000000 NS 189442.77000000 0.009991536780 Long EC JP N 1 N N N alstria office REIT-AG 529900QIJIGPI0DRL085 ALSTRIA OFFICE REIT-AG REIT N/A 24997.00000000 NS 428845.39000000 0.022618041783 Long EC DE N 1 N N N ONWARD HOLDINGS CO., LTD. N/A ONWARD HOLDINGS CO LTD COMMON STOCK N/A 17400.00000000 NS 90278.84000000 0.004761460943 Long EC JP N 1 N N N Codemasters Group Holdings PLC 213800NOITSDQVNP5W91 CODEMASTERS GROUP HOLDINGS P COMMON STOCK N/A 32388.00000000 NS 88007.62000000 0.004641672903 Long EC GB N 1 N N N Daido Metal Co., Ltd. 3538008B818OTAF32670 DAIDO METAL CO LTD COMMON STOCK N/A 37600.00000000 NS 221861.73000000 0.011701368363 Long EC JP N 1 N N N United Inc N/A UNITED INC COMMON STOCK N/A 15100.00000000 NS 165768.32000000 0.008742905661 Long EC JP N 1 N N N Shinsei Bank, Limited 549300PZYOQ2NW83V760 SHINSEI BANK LTD COMMON STOCK N/A 33300.00000000 NS 484755.61000000 0.025566842730 Long EC JP N 1 N N N TOPDANMARK A/S 549300PP3ULLF0SQRK46 TOPDANMARK A/S COMMON STOCK N/A 6382.00000000 NS 308015.27000000 0.016245253905 Long EC DK N 1 N N N BELLSYSTEM24 HOLDINGS, INC. N/A BELLSYSTEM24 HOLDINGS INC COMMON STOCK N/A 11300.00000000 NS 172543.82000000 0.009100257158 Long EC JP N 1 N N N Taiko Pharmaceutical Co Ltd N/A TAIKO PHARMACEUTICAL CO LTD COMMON STOCK N/A 4000.00000000 NS 91227.75000000 0.004811508085 Long EC JP N 1 N N N Wuestenrot & Wuerttembergische AG 5299003H07ZT0Z5ZNN35 WUESTENROT & WUERTTEMBERG COMMON STOCK N/A 6394.00000000 NS 125444.97000000 0.006616182986 Long EC DE N 1 N N N JUMBO INTERACTIVE LIMITED 52990094T9F7X0NC0X54 JUMBO INTERACTIVE LTD COMMON STOCK N/A 7446.00000000 NS 121571.24000000 0.006411875818 Long EC AU N 1 N N N AGGREKO PLC 2138003R7TGCSVF27H47 AGGREKO PLC COMMON STOCK N/A 53202.00000000 NS 543460.94000000 0.028663062575 Long EC GB N 1 N N N TOPPAN FORMS CO.,LTD. N/A TOPPAN FORMS CO LTD COMMON STOCK N/A 3500.00000000 NS 33082.08000000 0.001744805669 Long EC JP N 1 N N N Telekom Austria Aktiengesellschaft 529900KCNFQU5OJH7L33 TELEKOM AUSTRIA AG COMMON STOCK N/A 23811.00000000 NS 173105.79000000 0.009129896420 Long EC AT N 1 N N N INTERNATIONAL PERSONAL FINANCE PLC 213800II1O44IRKUZB59 INTERNATIONAL PERSONAL FINAN COMMON STOCK N/A 65146.00000000 NS 88750.62000000 0.004680859998 Long EC GB N 1 N N N POLYTEC ASSET HOLDINGS LIMITED 529900YI6VSU0PV4P115 POLYTEC ASSET HOLDINGS LTD COMMON STOCK N/A 415000.00000000 NS 49772.25000000 0.002625073876 Long EC KY N 1 N N N SPAREBANK 1 BV 5967007LIEEXZX4VQO21 SPAREBANK 1 BV COMMON STOCK N/A 17631.00000000 NS 72480.19000000 0.003822729599 Long EC NO N 1 N N N Borussia Dortmund GmbH & Co. KGaA 529900XO0YTOOKCLQB44 BORUSSIA DORTMUND GMBH & CO COMMON STOCK N/A 2047.00000000 NS 20593.38000000 0.001086130200 Long EC DE N 1 N N N MARSTON'S PLC 213800Q6RP3ZJ2CZR962 MARSTON'S PLC COMMON STOCK N/A 158026.00000000 NS 239960.30000000 0.012655918003 Long EC GB N 1 N N N Marvelous Inc N/A MARVELOUS INC COMMON STOCK N/A 8300.00000000 NS 63943.58000000 0.003372494138 Long EC JP N 1 N N N Yamaguchi Financial Group, Inc. 353800898JPV95YSY548 YAMAGUCHI FINANCIAL GROUP IN COMMON STOCK N/A 35800.00000000 NS 245674.91000000 0.012957316341 Long EC JP N 1 N N N Obic Business Consultants Co Ltd N/A OBIC BUSINESS CONSULTANTS COMMON STOCK N/A 1200.00000000 NS 48554.91000000 0.002560869275 Long EC JP N 1 N N N Dermapharm Holding SE 5299009F0KNZINQQQK37 DERMAPHARM HOLDING SE COMMON STOCK N/A 3957.00000000 NS 155654.28000000 0.008209473836 Long EC DE N 1 N N N Wihlborgs Fastigheter AB 549300RC1YDJPITF8X06 WIHLBORGS FASTIGHETER AB COMMON STOCK N/A 26369.00000000 NS 428587.83000000 0.022604457627 Long EC SE N 1 N N N ISRAS INVESTMENT COMPANY LTD. N/A ISRAS INVESTMENT COMPANY LTD COMMON STOCK N/A 368.00000000 NS 75298.55000000 0.003971374742 Long EC IL N 2 N N N MICRONICS JAPAN CO.,LTD. 353800FFW2OP7ZVXBO86 MICRONICS JAPAN CO LTD COMMON STOCK N/A 23900.00000000 NS 190978.96000000 0.010072558077 Long EC JP N 1 N N N FIRSTGROUP PLC 549300DEJZCPWA4HKM93 FIRSTGROUP PLC COMMON STOCK N/A 112445.00000000 NS 190102.03000000 0.010026307284 Long EC GB N 1 N N N SOMFY SA 969500D830K8WFLKFS83 SOMFY SA COMMON STOCK N/A 662.00000000 NS 59888.61000000 0.003158628062 Long EC FR N 1 N N N ValueCommerce Co Ltd N/A VALUECOMMERCE CO LTD COMMON STOCK N/A 11500.00000000 NS 181553.76000000 0.009575456855 Long EC JP N 1 N N N COFACE SA 96950025N07LTJYFSN57 COFACE SA COMMON STOCK N/A 35479.00000000 NS 402946.34000000 0.021252081443 Long EC FR N 1 N N N MIZUNO CORPORATION 353800HVH84K5YH37819 MIZUNO CORP COMMON STOCK N/A 2600.00000000 NS 67329.48000000 0.003551072315 Long EC JP N 1 N N N HKBN LTD. N/A HKBN LTD COMMON STOCK N/A 220000.00000000 NS 405322.99000000 0.021377430042 Long EC KY N 1 N N N EURO N/A FX Forward Contract: EUR/USD SETTLE 2019-10-01 N/A 1.00000000 NC -170.59000000 -0.00000899720 N/A DFE XX N 2 RECONCILIATION TEAM FX N/A 31704.87000000 USD 28931.76000000 EUR 2019-10-01 -170.59000000 N N N The Chiba Bank, Ltd. FGJPAKKCTZVSKZXNBS63 CHIBA BANK LTD/THE COMMON STOCK N/A 21500.00000000 NS 110557.23000000 0.005830978030 Long EC JP N 1 N N N Net One Systems Co.,Ltd. N/A NET ONE SYSTEMS CO LTD COMMON STOCK N/A 24800.00000000 NS 668137.80000000 0.035238734122 Long EC JP N 1 N N N BARCO N.V. 549300N17QCD827TII61 BARCO N.V. COMMON STOCK N/A 3131.00000000 NS 618371.39000000 0.032613968257 Long EC BE N 1 N N N SPAREBANK 1 OSTLANDET 549300VRM6G42M8OWN49 SPAREBANK 1 OESTLANDET COMMON STOCK N/A 26700.00000000 NS 245057.79000000 0.012924768373 Long EC NO N 1 N N N Huhtamaki Oyj 5493007050SJVMXN6L29 HUHTAMAKI OYJ COMMON STOCK N/A 11763.00000000 NS 468996.85000000 0.024735698685 Long EC FI N 1 N N N The Gunma Bank, Ltd. 54930054A69VC4I5BP89 GUNMA BANK LTD/THE COMMON STOCK N/A 26400.00000000 NS 85456.65000000 0.004507130367 Long EC JP N 1 N N N Scala, Inc. N/A SCALA INC COMMON STOCK N/A 16700.00000000 NS 150898.50000000 0.007958645837 Long EC JP N 1 N N N J D WETHERSPOON PLC 213800CHWARFAAN7UB85 WETHERSPOON (J.D.) PLC COMMON STOCK N/A 4377.00000000 NS 83416.53000000 0.004399530938 Long EC GB N 1 N N N Mitsubishi Logisnext Co., Ltd. N/A MITSUBISHI LOGISNEXT CO LTD COMMON STOCK N/A 6100.00000000 NS 57657.34000000 0.003040947053 Long EC JP N 1 N N N FAIRWOOD HOLDINGS LIMITED N/A FAIRWOOD HOLDINGS LTD COMMON STOCK N/A 27000.00000000 NS 76304.27000000 0.004024418140 Long EC BM N 1 N N N Sekisui House Reit, Inc. N/A SEKISUI HOUSE REIT INC REIT N/A 1383.00000000 NS 1239423.82000000 0.065369339166 Long EC JP N 1 N N N BANCA GENERALI - SOCIETA PER AZIONI 815600903231FA2E7698 BANCA GENERALI SPA COMMON STOCK N/A 15679.00000000 NS 483629.66000000 0.025507458195 Long EC IT N 1 N N N Future Corporation N/A FUTURE CORP COMMON STOCK N/A 5900.00000000 NS 102639.54000000 0.005413385473 Long EC JP N 1 N N N HOKUETSU INDUSTRIES CO., LTD. N/A HOKUETSU INDUSTRIES CO LTD COMMON STOCK N/A 4800.00000000 NS 55180.58000000 0.002910318481 Long EC JP N 1 N N N IMMOFINANZ AG 5299000DUMZ99SBBX121 IMMOFINANZ AG COMMON STOCK N/A 11293.00000000 NS 314491.10000000 0.016586800292 Long EC AT N 1 N N N SERVICE STREAM LIMITED N/A SERVICE STREAM LTD COMMON STOCK N/A 75075.00000000 NS 132760.41000000 0.007002011845 Long EC AU N 1 N N N SOCIETA INIZIATIVE AUTOSTRADALI E SERVIZI SOCIETA PER AZIONI 8156008C15C8E327D019 SIAS SPA COMMON STOCK N/A 11854.00000000 NS 206854.22000000 0.010909846532 Long EC IT N 1 N N N CREST NICHOLSON HOLDINGS PLC 213800ROIFXRRRKVQD25 CREST NICHOLSON HOLDINGS COMMON STOCK N/A 63627.00000000 NS 296499.90000000 0.015637913531 Long EC GB N 1 N N N Business Engineering Corp N/A TOYO BUSINESS ENGINEERING COMMON STOCK N/A 805.00000000 NS 22670.29000000 0.001195669997 Long EC JP N 1 N N N IREN S.P.A. 8156001EBD33FD474E60 IREN SPA COMMON STOCK N/A 266355.00000000 NS 776882.06000000 0.040974093004 Long EC IT N 1 N N N THE BANK OF SAGA LTD. 353800F5W4TG8U8OOA26 BANK OF SAGA LTD/THE COMMON STOCK N/A 1188.00000000 NS 16162.29000000 0.000852426909 Long EC JP N 1 N N N AIMIA INC. 5299005QK3KSTUZ66Y90 AIMIA INC COMMON STOCK 00900Q103 146400.00000000 NS 373500.40000000 0.019699052037 Long EC CA N 1 N N N ONE SOFTWARE TECHNOLOGIES LTD N/A ONE SOFTWARE TECHNOLOGIES LT COMMON STOCK N/A 492.00000000 NS 34491.37000000 0.001819134042 Long EC IL N 2 N N N YOKOHAMA REITO CO.,LTD. N/A YOKOHAMA REITO CO LTD COMMON STOCK N/A 14600.00000000 NS 139754.91000000 0.007370913778 Long EC JP N 1 N N N Perfect Shape Medical Ltd N/A PERFECT SHAPE MEDICAL LTD COMMON STOCK N/A 268000.00000000 NS 91981.07000000 0.004851239474 Long EC KY N 1 N N N CVS GROUP PLC 213800J41XDQ2NX48O05 CVS GROUP PLC COMMON STOCK N/A 18806.00000000 NS 235852.50000000 0.012439265582 Long EC GB N 1 N N N SOCIETA CATTOLICA DI ASSICURAZIONE - SOCIETA COOPERATIVA 815600DEEE5337E9A213 CATTOLICA ASSICURAZIONI SC COMMON STOCK N/A 11834.00000000 NS 100672.90000000 0.005309661504 Long EC IT N 1 N N N Nojima Corporation N/A NOJIMA CORP COMMON STOCK N/A 5900.00000000 NS 98874.45000000 0.005214808165 Long EC JP N 1 N N N Tokuyama Corporation 529900MHGZKHNMNCQB62 TOKUYAMA CORP COMMON STOCK N/A 4500.00000000 NS 103089.02000000 0.005437091819 Long EC JP N 1 N N N Techmatrix Corp N/A TECHMATRIX CORPORATION COMMON STOCK N/A 22000.00000000 NS 473063.58000000 0.024950185004 Long EC JP N 1 N N N DUNELM GROUP PLC 213800WCOWEI3T5DUV19 DUNELM GROUP PLC COMMON STOCK N/A 23621.00000000 NS 243380.73000000 0.012836317351 Long EC GB N 1 N N N CRANSWICK PLC 549300LDZLPU51XOSK43 CRANSWICK PLC COMMON STOCK N/A 6236.00000000 NS 226035.93000000 0.011921522834 Long EC GB N 1 N N N JOHNSON ELECTRIC HOLDINGS LIMITED 529900EDYRQ6K25JEC80 JOHNSON ELECTRIC HOLDINGS COMMON STOCK N/A 52500.00000000 NS 94045.45000000 0.004960118418 Long EC BM N 1 N N N Wihlborgs Fastigheter AB 549300RC1YDJPITF8X06 WIHLBORGS FASTIGHETER AB COMMON STOCK N/A 21368.00000000 NS 347304.21000000 0.018317420022 Long EC SE N 1 N N N PUNCH INDUSTRY CO.,LTD. N/A PUNCH INDUSTRY CO LTD COMMON STOCK N/A 4400.00000000 NS 20021.27000000 0.001055956137 Long EC JP N 1 N N N TOMONY Holdings, Inc. N/A TOMONY HOLDINGS INC COMMON STOCK N/A 56400.00000000 NS 182566.47000000 0.009628868918 Long EC JP N 1 N N N Van Lanschot Kempen N.V. 724500ZM85SCL0RS8L71 VAN LANSCHOT KEMPEN NV DEPOSITARY RECEIPT N/A 3116.00000000 NS 68435.37000000 0.003609398851 Long EC NL N 1 N N N The Hiroshima Bank, Ltd. 54930051TFGW2KIXPU60 HIROSHIMA BANK LTD/THE COMMON STOCK N/A 21100.00000000 NS 104207.17000000 0.005496064969 Long EC JP N 1 N N N TechnologyOne Ltd N/A TECHNOLOGY ONE LTD COMMON STOCK N/A 160999.00000000 NS 780224.50000000 0.041150379025 Long EC AU N 1 N N N TOKYO DOME CORPORATION N/A TOKYO DOME CORP COMMON STOCK N/A 29200.00000000 NS 280860.12000000 0.014813044695 Long EC JP N 1 N N N Evotec SE 529900F9KI6OYITO9B12 EVOTEC SE COMMON STOCK N/A 16787.00000000 NS 373625.88000000 0.019705670067 Long EC DE N 1 N N N Fonds de placement immobilier PRO N/A PRO REAL ESTATE INVESTMENT T REIT 742694300 18200.00000000 NS 98909.31000000 0.005216646741 Long EC CA N 1 N N N SUMITOMO DENSETSU CO.,LTD. N/A SUMITOMO DENSETSU CO LTD COMMON STOCK N/A 5500.00000000 NS 111958.38000000 0.005904877086 Long EC JP N 1 N N N Cube System Inc N/A CUBE SYSTEM INC COMMON STOCK N/A 7300.00000000 NS 51513.53000000 0.002716911971 Long EC JP N 1 N N N RHI Magnesita N.V. 724500UWG6A61XNA3Y36 RHI MAGNESITA NV COMMON STOCK N/A 8035.00000000 NS 401102.90000000 0.021154855254 Long EC NL N 1 N N N K'S HOLDINGS CORPORATION 3538003LJ09YLR6NHG27 K'S HOLDINGS CORP COMMON STOCK N/A 23100.00000000 NS 251242.54000000 0.013250962701 Long EC JP N 1 N N N FUTURE PLC 213800K2581YRLEXV353 FUTURE PLC COMMON STOCK N/A 11676.00000000 NS 176006.39000000 0.009282879042 Long EC GB N 1 N N N Teikoku Tsushin Kogyo Co Ltd N/A TEIKOKU TSUSHIN KOGYO CO LTD COMMON STOCK N/A 1600.00000000 NS 16795.38000000 0.000885817162 Long EC JP N 1 N N N FORMULA SYSTEMS (1985) LTD 5299007HN634606FI520 FORMULA SYSTEMS (1985) LTD COMMON STOCK N/A 1053.00000000 NS 67084.04000000 0.003538127388 Long EC IL N 2 N N N BayCurrent Consulting, Inc. N/A BAYCURRENT CONSULTING INC COMMON STOCK N/A 6100.00000000 NS 268258.96000000 0.014148437893 Long EC JP N 1 N N N Nexus Real Estate Investment Trust 549300VXQ93JIP08X629 NEXUS REAL ESTATE INVESTMENT UNIT 65342N109 36000.00000000 NS 54345.77000000 0.002866289169 Long EC CA N 1 N N N CAPITAL & REGIONAL PLC 21380097W74N9OYF5Z25 CAPITAL & REGIONAL PLC REIT N/A 394363.00000000 NS 96977.29000000 0.005114748691 Long EC GB N 1 N N N RWS HOLDINGS PLC 213800YGBGTTSKUVK111 RWS HOLDINGS PLC COMMON STOCK N/A 20269.00000000 NS 146289.89000000 0.007715579837 Long EC GB N 1 N N N Pricer AB 5493000MATG2DYK19F35 PRICER AB-B SHS COMMON STOCK N/A 39505.00000000 NS 50484.60000000 0.002662644437 Long EC SE N 1 N N N BRITVIC PLC 635400L3NVMYD4BVCI53 BRITVIC PLC COMMON STOCK N/A 49014.00000000 NS 592704.74000000 0.031260265092 Long EC GB N 1 N N N Internet Initiative Japan Inc. 529900EOCJNAPUHDFR78 INTERNET INITIATIVE JAPAN COMMON STOCK N/A 13100.00000000 NS 297438.15000000 0.015687398446 Long EC JP N 1 N N N Polar Capital Holdings PLC 549300OXX7YE1947B825 POLAR CAPITAL HOLDINGS PLC COMMON STOCK N/A 9928.00000000 NS 66405.58000000 0.003502344243 Long EC GB N 1 N N N Gurit Holding AG 529900VOD3V5IBEW8G44 GURIT HOLDING AG-BR COMMON STOCK N/A 53.00000000 NS 70946.35000000 0.003741832245 Long EC CH N 1 N N N Takashimaya Company, Limited 353800IFO566STDN4V78 TAKASHIMAYA CO LTD COMMON STOCK N/A 33900.00000000 NS 394729.25000000 0.020818698015 Long EC JP N 1 N N N Kainos Group PLC 213800H2PQMIF3OVZY47 KAINOS GROUP PLC COMMON STOCK N/A 8852.00000000 NS 49195.31000000 0.002594645070 Long EC GB N 1 N N N IBJ Leasing Company, Limited N/A IBJ LEASING CO LTD COMMON STOCK N/A 800.00000000 NS 21619.42000000 0.001140245310 Long EC JP N 1 N N N Per Aarsleff Holding A/S 5493008HS8STXVZXYZ63 PER AARSLEFF HOLDING A/S COMMON STOCK N/A 4521.00000000 NS 146521.07000000 0.007727772667 Long EC DK N 1 N N N WATAMI CO.,LTD. N/A WATAMI CO LTD COMMON STOCK N/A 6600.00000000 NS 82709.83000000 0.004362258367 Long EC JP N 1 N N N LAGARDERE SCA 969500VX2NV2AQQ65G45 LAGARDERE SCA COMMON STOCK N/A 39538.00000000 NS 874820.32000000 0.046139524902 Long EC FR N 1 N N N FERREXPO PLC 213800CEDKSNUTPAQZ41 FERREXPO PLC COMMON STOCK N/A 55583.00000000 NS 110132.67000000 0.005808586007 Long EC GB N 1 N N N VT HOLDINGS CO., LTD. N/A VT HOLDINGS CO LTD COMMON STOCK N/A 30800.00000000 NS 126475.84000000 0.006670552839 Long EC JP N 1 N N N ORGANO CORPORATION N/A ORGANO CORP COMMON STOCK N/A 9300.00000000 NS 411995.38000000 0.021729343341 Long EC JP N 1 N N N ASAHI CO.,LTD. N/A ASAHI CO LTD COMMON STOCK N/A 7900.00000000 NS 86872.60000000 0.004581810000 Long EC JP N 1 N N N Avanza Bank Holding AB 549300MBWR5H8SIJLE03 AVANZA BANK HOLDING AB COMMON STOCK N/A 10568.00000000 NS 86098.06000000 0.004540959432 Long EC SE N 1 N N N Stella International Holdings Ltd N/A STELLA INTERNATIONAL COMMON STOCK N/A 71500.00000000 NS 111295.41000000 0.005869910910 Long EC KY N 1 N N N TAKARA STANDARD CO.,LTD. N/A TAKARA STANDARD CO LTD COMMON STOCK N/A 6800.00000000 NS 112007.40000000 0.005907462485 Long EC JP N 1 N N N Nissin Foods Co Ltd 353800BDH75N9VLV9Z07 NISSIN FOODS CO LTD COMMON STOCK N/A 295000.00000000 NS 244650.85000000 0.012903305659 Long EC HK N 1 N N N Hi-P International Ltd 3003004U0WA3A7C8X434 HI-P INTERNATIONAL LTD COMMON STOCK N/A 69800.00000000 NS 57066.17000000 0.003009767733 Long EC SG N 1 N N N Shin Nippon Biomedical Laboratories Ltd N/A SHIN NIPPON BIOMEDICAL LABOR COMMON STOCK N/A 35200.00000000 NS 217466.82000000 0.011469573268 Long EC JP N 1 N N N WASEDA ACADEMY CO.,LTD. N/A WASEDA ACADEMY CO LTD COMMON STOCK N/A 2200.00000000 NS 16440.23000000 0.000867085942 Long EC JP N 1 N N N AC Immune SA 967600VLQ0ZC2HSOG765 AC IMMUNE SA COMMON STOCK H00263105 5143.00000000 NS USD 25457.85000000 0.001342690695 Long EC CH N 1 N N N TP ICAP PLC 5493009UWRK48KKUD358 TP ICAP PLC COMMON STOCK N/A 8614.00000000 NS 36010.38000000 0.001899249236 Long EC GB N 1 N N N Fiskars Oyj Abp 743700BKTW4EQIVKYY42 FISKARS OYJ ABP COMMON STOCK N/A 1923.00000000 NS 26032.09000000 0.001372977098 Long EC FI N 1 N N N KEIHIN CORPORATION N/A KEIHIN CORP COMMON STOCK N/A 9200.00000000 NS 134862.43000000 0.007112875987 Long EC JP N 1 N N N Innate Pharma SA 9695002Y8420ZB8HJE29 INNATE PHARMA SA COMMON STOCK N/A 4449.00000000 NS 33944.43000000 0.001790287488 Long EC FR N 1 N N N AUSTAL LIMITED 254900DJEFGICBICBU73 AUSTAL LTD COMMON STOCK N/A 107515.00000000 NS 314942.12000000 0.016610587861 Long EC AU N 1 N N N Jupiter Mines Ltd 254900OFKP9ZQXBCHE19 JUPITER MINES LTD COMMON STOCK N/A 1080632.00000000 NS 284455.54000000 0.015002673316 Long EC AU N 1 N N N BSR Real Estate Investment Trust N/A BSR REAL ESTATE INVESTMENT T REIT 05585D103 1786.00000000 NS 19493.20000000 0.001028104819 Long EC CA N 1 N N N Dios Fastigheter AB 549300G3VF7LZQ9IW435 DIOS FASTIGHETER AB COMMON STOCK N/A 30491.00000000 NS 266067.00000000 0.014032830161 Long EC SE N 1 N N N CAPCOM CO., LTD. 529900JJWQKXS3TC8744 CAPCOM CO LTD COMMON STOCK N/A 30400.00000000 NS 804949.83000000 0.042454435359 Long EC JP N 1 N N N U.S. DOLLARS N/A FX Forward Contract: USD/EUR SETTLE 2019-10-01 N/A 1.00000000 NC USD 159.86000000 0.000008431290 N/A DFE US N 2 RECONCILIATION TEAM FX N/A 27112.49000000 EUR 29711.22000000 USD 2019-10-01 159.86000000 N N N MARUDAI FOOD CO.,LTD. 353800LHI69F4PWPX646 MARUDAI FOOD CO LTD COMMON STOCK N/A 3500.00000000 NS 74030.06000000 0.003904472402 Long EC JP N 2 N N N Bergman & Beving AB 549300RC0HUZSJYJO751 BERGMAN & BEVING AKTIEBOLAG COMMON STOCK N/A 5478.00000000 NS 46632.88000000 0.002459498115 Long EC SE N 1 N N N The Bank of Nagoya, Ltd. 353800P9H4582TP8FA91 BANK OF NAGOYA LTD/THE COMMON STOCK N/A 1800.00000000 NS 52855.49000000 0.002787689244 Long EC JP N 1 N N N TINEXTA S.P.A. 815600925CD848EDBA96 TINEXTA SPA COMMON STOCK N/A 17220.00000000 NS 224852.69000000 0.011859116726 Long EC IT N 1 N N N One REIT, Inc. N/A ONE REIT INC REIT N/A 244.00000000 NS 716485.55000000 0.037788677424 Long EC JP N 1 N N N Ferrotec Holdings Corporation N/A FERROTEC HOLDINGS CORP COMMON STOCK N/A 17700.00000000 NS 137671.21000000 0.007261015864 Long EC JP N 2 N N N SWECO AB (publ) 549300Q4Y55VICYV6U90 SWECO AB-B SHS COMMON STOCK N/A 5194.00000000 NS 147524.89000000 0.007780715857 Long EC SE N 1 N N N N/A N/A STATE STREET INSTITUTIONAL TREASURY MONEY MARKET FUND 857492888 509623.72000000 PA USD 509623.72000000 0.026878429526 Long STIV XX N 2 N N N The Yamanashi Chuo Bank,Ltd. 353800DUD9B4IAIADJ68 YAMANASHI CHUO BANK LTD/THE COMMON STOCK N/A 6600.00000000 NS 62749.60000000 0.003309521584 Long EC JP N 1 N N N MONEYSUPERMARKET.COM GROUP PLC 54930016B7VO33FBE722 MONEYSUPERMARKET.COM COMMON STOCK N/A 39848.00000000 NS 185396.50000000 0.009778129557 Long EC GB N 1 N N N GOLDCREST Co.,Ltd. N/A GOLDCREST CO LTD COMMON STOCK N/A 12400.00000000 NS 243126.01000000 0.012822882981 Long EC JP N 1 N N N Credit Saison Co.,Ltd. N/A CREDIT SAISON CO LTD COMMON STOCK N/A 24400.00000000 NS 326988.21000000 0.017245919319 Long EC JP N 1 N N N Future Corporation N/A FUTURE CORP COMMON STOCK N/A 4300.00000000 NS 74805.09000000 0.003945348815 Long EC JP N 1 N N N Kaisa Prosperity Holdings Limited N/A KAISA PROSPERITY HOLDINGS LT COMMON STOCK N/A 90776.00000000 NS 162379.21000000 0.008564158184 Long EC KY N 1 N N N Samty Co.,Ltd. N/A SAMTY CO LTD COMMON STOCK N/A 19700.00000000 NS 343258.27000000 0.018104030204 Long EC JP N 1 N N N HOME INVEST BELGIUM S.A. 54930090SCENRBKUJO67 HOME INVEST BELGIUM REIT N/A 200.00000000 NS 25395.93000000 0.001339424928 Long EC BE N 1 N N N FRASERS PROPERTY LIMITED 254900IDI7TIHU0J2Q58 FRASERS PROPERTY LTD COMMON STOCK N/A 82600.00000000 NS 104583.44000000 0.005515910094 Long EC SG N 1 N N N OXFORD INSTRUMENTS PLC 213800J364EZD6UCE231 OXFORD INSTRUMENTS PLC COMMON STOCK N/A 3440.00000000 NS 54054.67000000 0.002850936055 Long EC GB N 1 N N N CAMTEK LTD N/A CAMTEK LTD COMMON STOCK M20791105 5747.00000000 NS USD 53906.86000000 0.002843140302 Long EC IL N 1 N N N DD Holdings Co., Ltd. N/A DD HOLDINGS CO LTD COMMON STOCK N/A 3600.00000000 NS 50341.73000000 0.002655109228 Long EC JP N 1 N N N TOKYO SEIMITSU CO.,LTD. N/A TOKYO SEIMITSU CO LTD COMMON STOCK N/A 4800.00000000 NS 140947.98000000 0.007433838337 Long EC JP N 1 N N N DIALOG SEMICONDUCTOR PLC 529900QA2LORU6646N15 DIALOG SEMICONDUCTOR PLC COMMON STOCK N/A 12508.00000000 NS 592087.41000000 0.031227706048 Long EC GB N 1 N N N Software Aktiengesellschaft 529900M1LIO0SLOBAS50 SOFTWARE AG COMMON STOCK N/A 17266.00000000 NS 474430.62000000 0.025022285040 Long EC DE N 1 N N N Kungsleden Aktiebolag 5493005OXRTBK0WSJN46 KUNGSLEDEN AB COMMON STOCK N/A 23712.00000000 NS 215343.56000000 0.011357588892 Long EC SE N 1 N N N REXEL S.A. 969500N6AVPA51648T62 REXEL SA COMMON STOCK N/A 40233.00000000 NS 430540.06000000 0.022707421587 Long EC FR N 1 N N N HOKUTO CORPORATION N/A HOKUTO CORP COMMON STOCK N/A 10500.00000000 NS 192665.90000000 0.010161530188 Long EC JP N 1 N N N Sectra AB 549300R9ZBT8YSFFK266 SECTRA AB-B SHS COMMON STOCK N/A 4088.00000000 NS 134964.78000000 0.007118274102 Long EC SE N 1 N N N Mitsuboshi Belting Ltd N/A MITSUBOSHI BELTING LTD COMMON STOCK N/A 3000.00000000 NS 49165.32000000 0.002593063346 Long EC JP N 1 N N N OYO Corporation N/A OYO CORP COMMON STOCK N/A 1600.00000000 NS 15863.12000000 0.000836648170 Long EC JP N 1 N N N TEKKEN CORPORATION N/A TEKKEN CORP COMMON STOCK N/A 5500.00000000 NS 140393.06000000 0.007404570904 Long EC JP N 1 N N N Tama Home Co., Ltd. N/A TAMA HOME CO LTD COMMON STOCK N/A 6400.00000000 NS 82393.53000000 0.004345576162 Long EC JP N 1 N N N Regional REIT Limited 549300D8G4NKLRIKBX73 REGIONAL REIT LTD REIT N/A 85190.00000000 NS 107887.15000000 0.005690153429 Long EC GG N 1 N N N PETS AT HOME GROUP PLC 2138003Y9ULD24PD3J93 PETS AT HOME GROUP PLC COMMON STOCK N/A 95504.00000000 NS 244481.60000000 0.012894379123 Long EC GB N 1 N N N JACCS CO., LTD. N/A JACCS CO LTD COMMON STOCK N/A 10100.00000000 NS 212975.72000000 0.011232704947 Long EC JP N 1 N N N GN STORE NORD A/S 5493008U3H3W0NKPFL10 GN STORE NORD A/S COMMON STOCK N/A 7019.00000000 NS 284963.23000000 0.015029449758 Long EC DK N 1 N N N eDreams ODIGEO S.A. 959800Y8LQ5MR2YZ4N96 EDREAMS ODIGEO SL COMMON STOCK N/A 7047.00000000 NS 32797.46000000 0.001729794322 Long EC LU N 1 N N N SASSEUR REAL ESTATE INVESTMENT TRUST N/A SASSEUR REAL ESTATE INVESTME REIT N/A 206600.00000000 NS 118834.42000000 0.006267531235 Long EC SG N 1 N N N Aalberts N.V. 549300EMP9DT6Q35HZ31 AALBERTS NV COMMON STOCK N/A 45790.00000000 NS 1814690.83000000 0.095709908454 Long EC NL N 1 N N N KAZ MINERALS PLC 2138001H9E453FQRFY56 KAZ MINERALS PLC COMMON STOCK N/A 28863.00000000 NS 153770.86000000 0.008110139033 Long EC GB N 1 N N N KOMERI CO.,LTD. N/A KOMERI CO LTD COMMON STOCK N/A 10700.00000000 NS 215929.71000000 0.011388503449 Long EC JP N 1 N N N IWAKI & CO.,LTD. N/A IWAKI & CO LTD COMMON STOCK N/A 6400.00000000 NS 28352.37000000 0.001495352647 Long EC JP N 1 N N N Pico Far East Holdings Ltd 254900NL3DXVIEY4HJ17 PICO FAR EAST HOLDINGS LTD COMMON STOCK N/A 18000.00000000 NS 5695.55000000 0.000300393080 Long EC KY N 2 N N N KAROON ENERGY LTD 529900VXILHR2CNBWD62 KAROON ENERGY LTD COMMON STOCK N/A 66346.00000000 NS 51721.21000000 0.002727865371 Long EC AU N 1 N N N Kemira Oyj 74370031Y7RK5H88CQ48 KEMIRA OYJ COMMON STOCK N/A 38797.00000000 NS 570873.71000000 0.030108859106 Long EC FI N 1 N N N HAMAKYOREX CO., LTD. N/A HAMAKYOREX CO LTD COMMON STOCK N/A 1000.00000000 NS 32092.49000000 0.001692612994 Long EC JP N 1 N N N Enlabs AB 549300ERMNQNCNJINM39 ENLABS AB COMMON STOCK N/A 10416.00000000 NS 22854.98000000 0.001205410865 Long EC SE N 1 N N N NAPHTHA ISRAEL PETROLEUM CORP. LTD. N/A NAPHTHA ISRAEL PETROLEUM CRP COMMON STOCK N/A 39166.00000000 NS 218201.06000000 0.011508298345 Long EC IL N 2 N N N Perfect Shape Medical Ltd N/A PERFECT SHAPE MEDICAL LTD COMMON STOCK N/A 224000.00000000 NS 76879.70000000 0.004054767306 Long EC KY N 1 N N N HAREL INSURANCE INVESTMENTS & FINANCIAL SERVICES LTD 213800BDNN3W11SXXD60 HAREL INSURANCE INVESTMENTS COMMON STOCK N/A 17726.00000000 NS 154042.93000000 0.008124488471 Long EC IL N 2 N N N GVC HOLDINGS PLC 213800GNI3K45LQR8L28 GVC HOLDINGS PLC COMMON STOCK N/A 11472.00000000 NS 104858.97000000 0.005530442019 Long EC IM N 1 N N N Intrum AB 549300UNCO2FCUWXX470 INTRUM AB COMMON STOCK N/A 10897.00000000 NS 273862.67000000 0.014443987174 Long EC SE N 1 N N N Akatsuki Inc. 353800EZN28NUOR4N912 AKATSUKI INC COMMON STOCK N/A 2400.00000000 NS 148272.83000000 0.007820163496 Long EC JP N 1 N N N Fukui Computer Holdings,Inc. N/A FUKUI COMPUTER HOLDINGS INC COMMON STOCK N/A 9000.00000000 NS 204596.53000000 0.010790772087 Long EC JP N 1 N N N CREO CO.,LTD. N/A CREO CO LTD COMMON STOCK N/A 4900.00000000 NS 67614.34000000 0.003566096320 Long EC JP N 1 N N N FURYU CORPORATION N/A FURYU CORP COMMON STOCK N/A 15300.00000000 NS 130041.16000000 0.006858593934 Long EC JP N 1 N N N Bank of The Ryukyus, Limited 353800OWJBJ7G9TXED62 BANK OF THE RYUKYUS LTD COMMON STOCK N/A 5600.00000000 NS 57592.60000000 0.003037532555 Long EC JP N 1 N N N ASR Nederland N.V. 7245000G0HS48PZWUD53 ASR NEDERLAND NV COMMON STOCK N/A 11193.00000000 NS 413209.05000000 0.021793354379 Long EC NL N 1 N N N JUMBO INTERACTIVE LIMITED 52990094T9F7X0NC0X54 JUMBO INTERACTIVE LTD COMMON STOCK N/A 6096.00000000 NS 99529.72000000 0.005249368229 Long EC AU N 1 N N N V Technology Co., Ltd. N/A V TECHNOLOGY CO LTD COMMON STOCK N/A 1700.00000000 NS 82543.35000000 0.004353477926 Long EC JP N 1 N N N TOSHIBA TEC CORPORATION 529900BU7UO2N2ITYD43 TOSHIBA TEC CORP COMMON STOCK N/A 9900.00000000 NS 292078.61000000 0.015404727109 Long EC JP N 1 N N N The Sumitomo Warehouse Co.,Ltd. N/A SUMITOMO WAREHOUSE CO LTD COMMON STOCK N/A 4200.00000000 NS 55197.23000000 0.002911196630 Long EC JP N 1 N N N Dios Fastigheter AB 549300G3VF7LZQ9IW435 DIOS FASTIGHETER AB COMMON STOCK N/A 32607.00000000 NS 284531.40000000 0.015006674302 Long EC SE N 1 N N N RAMELIUS RESOURCES LIMITED 254900E44AIGW7KKNR98 RAMELIUS RESOURCES LTD COMMON STOCK N/A 105266.00000000 NS 79930.51000000 0.004215672261 Long EC AU N 1 N N N NS UNITED KAIUN KAISHA, LTD. N/A NS UNITED KAIUN KAISHA LTD COMMON STOCK N/A 3600.00000000 NS 74713.53000000 0.003940519783 Long EC JP N 1 N N N AUSTRALIAN FINANCE GROUP LTD N/A AUSTRALIAN FINANCE GROUP LTD COMMON STOCK N/A 51007.00000000 NS 75739.85000000 0.003994649661 Long EC AU N 1 N N N DENKI KOGYO CO.,LTD. N/A DENKI KOGYO CO LTD COMMON STOCK N/A 6100.00000000 NS 172069.36000000 0.009075233324 Long EC JP N 1 N N N SHIKUN & BINUI LTD 2138004NVQ51G35LN253 SHIKUN & BINUI LTD COMMON STOCK N/A 16247.00000000 NS 61975.15000000 0.003268675762 Long EC IL N 2 N N N LAGARDERE SCA 969500VX2NV2AQQ65G45 LAGARDERE SCA COMMON STOCK N/A 24180.00000000 NS 535008.23000000 0.028217252145 Long EC FR N 1 N N N System Research Co Ltd N/A SYSTEM RESEARCH CO LTD COMMON STOCK N/A 4000.00000000 NS 71398.84000000 0.003765697344 Long EC JP N 1 N N N ADAIRS LIMITED 529900HLMXKO4QLZNW81 ADAIRS LTD COMMON STOCK N/A 68598.00000000 NS 87970.49000000 0.004639714603 Long EC AU N 1 N N N MARSTON'S PLC 213800Q6RP3ZJ2CZR962 MARSTON'S PLC COMMON STOCK N/A 714660.00000000 NS 1085201.34000000 0.057235380919 Long EC GB N 1 N N N ANEST IWATA Corporation N/A ANEST IWATA CORP COMMON STOCK N/A 6200.00000000 NS 54359.31000000 0.002867003292 Long EC JP N 1 N N N FURUKAWA CO.,LTD. 353800PX0BWY7U1VKE72 FURUKAWA CO LTD COMMON STOCK N/A 3900.00000000 NS 52408.79000000 0.002764129520 Long EC JP N 1 N N N Nyfosa AB 5493000YR2B83SILCJ50 NYFOSA AB COMMON STOCK N/A 49498.00000000 NS 336890.41000000 0.017768178340 Long EC SE N 1 N N N Indra Sistemas, S.A. 95980020140005308793 INDRA SISTEMAS SA COMMON STOCK N/A 31972.00000000 NS 276693.17000000 0.014593272602 Long EC ES N 1 N N N MAMEZOU HOLDINGS CO.,LTD. N/A MAMEZOU HOLDINGS CO LTD COMMON STOCK N/A 6700.00000000 NS 106642.31000000 0.005624498431 Long EC JP N 1 N N N Hoist Finance AB (publ) 549300NPK3FB2BEL4D08 HOIST FINANCE AB COMMON STOCK N/A 66707.00000000 NS 378799.51000000 0.019978536192 Long EC SE N 1 N N N TED BAKER PLC 549300HN14450OU4IL77 TED BAKER PLC COMMON STOCK N/A 7471.00000000 NS 89011.56000000 0.004694622421 Long EC GB N 1 N N N RITCHIE BROS. AUCTIONEERS INCORPORATED 5493002H8U24DJXQ4886 RITCHIE BROS AUCTIONEERS COMMON STOCK 767744105 2365.00000000 NS USD 94363.50000000 0.004976892921 Long EC CA N 1 N N N DUNELM GROUP PLC 213800WCOWEI3T5DUV19 DUNELM GROUP PLC COMMON STOCK N/A 67013.00000000 NS 690473.42000000 0.036416753050 Long EC GB N 1 N N N Sulzer AG 529900NZ6MAST5IJF669 SULZER AG-REG COMMON STOCK N/A 2965.00000000 NS 291583.34000000 0.015378605719 Long EC CH N 1 N N N Yangzijiang Shipbuilding (Holdings) Ltd. 254900Z3JEM14YIGLM66 YANGZIJIANG SHIPBUILDING COMMON STOCK N/A 352900.00000000 NS 245113.77000000 0.012927720854 Long EC SG N 1 N N N DCM Holdings Co., Ltd. N/A DCM HOLDINGS CO LTD COMMON STOCK N/A 13800.00000000 NS 135287.86000000 0.007135313895 Long EC JP N 1 N N N PHOENIX GROUP HOLDINGS PLC 2138001P49OLAEU33T68 PHOENIX GROUP HOLDINGS PLC COMMON STOCK N/A 24481.00000000 NS 208084.43000000 0.010974729919 Long EC GB N 1 N N N Menicon Co., Ltd. 3538000OOSRECSEX2327 MENICON CO LTD COMMON STOCK N/A 7500.00000000 NS 262890.17000000 0.013865278695 Long EC JP N 1 N N N Arjo AB (publ) 549300OWGJPYKC6JF790 ARJO AB - B SHARES COMMON STOCK N/A 89437.00000000 NS 339430.04000000 0.017902122784 Long EC SE N 1 N N N DIC Asset AG 52990044JL2ZPWONU738 DIC ASSET AG COMMON STOCK N/A 4382.00000000 NS 56072.33000000 0.002957350906 Long EC DE N 1 N N N NEWRIVER REIT PLC 2138004GX1VAUMH66L31 NEWRIVER REIT PLC REIT N/A 59164.00000000 NS 141415.72000000 0.007458507747 Long EC GB N 1 N N N LIFE CORPORATION N/A LIFE CORP COMMON STOCK N/A 4200.00000000 NS 83669.83000000 0.004412890414 Long EC JP N 1 N N N TOTAL ENERGY SERVICES INC. 549300R3W0R3EV800D58 TOTAL ENERGY SERVICES INC COMMON STOCK 89154B102 16428.00000000 NS 84939.28000000 0.004479843386 Long EC CA N 1 N N N JAPAN SECURITIES FINANCE CO., LTD. 3538000FYEWEUFDCS891 JAPAN SECURITIES FINANCE CO COMMON STOCK N/A 38500.00000000 NS 179102.89000000 0.009446193766 Long EC JP N 1 N N N THE HOUR GLASS LIMITED N/A HOUR GLASS LTD/THE COMMON STOCK N/A 112000.00000000 NS 65231.70000000 0.003440431798 Long EC SG N 1 N N N KANEMATSU CORPORATION 353800N574WR0FX80I71 KANEMATSU CORP COMMON STOCK N/A 14500.00000000 NS 162802.31000000 0.008586473204 Long EC JP N 1 N N N CAPCOM CO., LTD. 529900JJWQKXS3TC8744 CAPCOM CO LTD COMMON STOCK N/A 7200.00000000 NS 190646.01000000 0.010054997723 Long EC JP N 1 N N N Games Workshop Group PLC 213800RP9QJQYGWHNT41 GAMES WORKSHOP GROUP PLC COMMON STOCK N/A 11400.00000000 NS 661592.75000000 0.034893536953 Long EC GB N 1 N N N Concentric AB 5493002G9GMTKIP3PW19 CONCENTRIC AB COMMON STOCK N/A 5141.00000000 NS 62669.33000000 0.003305288007 Long EC SE N 2 N N N FAES FARMA SOCIEDAD ANONIMA 959800FXZQY7U3P1G969 FAES FARMA SA COMMON STOCK N/A 67059.00000000 NS 342432.36000000 0.018060470293 Long EC ES N 1 N N N SARACEN MINERAL HOLDINGS LIMITED 254900SQ035N7AB62C07 SARACEN MINERAL HOLDINGS LTD COMMON STOCK N/A 94015.00000000 NS 218921.40000000 0.011546290313 Long EC AU N 1 N N N Foster Electric Company, Limited N/A FOSTER ELECTRIC CO LTD COMMON STOCK N/A 9900.00000000 NS 167556.07000000 0.008837194664 Long EC JP N 1 N N N COMPUTACENTER PLC 549300XSXUZ1I19DB105 COMPUTACENTER PLC COMMON STOCK N/A 11819.00000000 NS 187898.43000000 0.009910085639 Long EC GB N 1 N N N Ascopiave SpA 815600ABFF26D15A4920 ASCOPIAVE SPA COMMON STOCK N/A 13940.00000000 NS 58876.58000000 0.003105251863 Long EC IT N 1 N N N Fukuoka Financial Group, Inc. N/A FUKUOKA FINANCIAL GROUP INC COMMON STOCK N/A 44400.00000000 NS 838107.75000000 0.044203240960 Long EC JP N 1 N N N IDP Education Ltd N/A IDP EDUCATION LTD COMMON STOCK N/A 24768.00000000 NS 260286.42000000 0.013727952452 Long EC AU N 1 N N N ANIMA HOLDING S.P.A. 549300T1EREIRH8ICX03 ANIMA HOLDING SPA COMMON STOCK N/A 30490.00000000 NS 116181.50000000 0.006127611681 Long EC IT N 1 N N N Corem Property Group AB 213800CHXQQD7TSS1T59 Corem Property Group AB PREFERRED STOCK N/A 2495.00000000 NS 93524.01000000 0.004932616778 Long EP SE N 2 N N N BEGBIES TRAYNOR GROUP PLC 21380075TB4ROF7KWK30 BEGBIES TRAYNOR GROUP PLC COMMON STOCK N/A 81.00000000 NS 78.68000000 0.000004149718 Long EC GB N 1 N N N Lovisa Holdings Ltd 549300R4Y8GURIO5MN11 LOVISA HOLDINGS LTD COMMON STOCK N/A 6241.00000000 NS 53960.41000000 0.002845964621 Long EC AU N 1 N N N NITTO KOGYO CORPORATION N/A NITTO KOGYO CORP COMMON STOCK N/A 8500.00000000 NS 160841.62000000 0.008483063049 Long EC JP N 1 N N N The Nisshin OilliO Group,Ltd. 549300DMFXTY70ZEGQ59 NISSHIN OILLIO GROUP LTD/THE COMMON STOCK N/A 3500.00000000 NS 109734.10000000 0.005787564741 Long EC JP N 1 N N N YAMABIKO CORPORATION N/A YAMABIKO CORP COMMON STOCK N/A 5600.00000000 NS 58887.40000000 0.003105822529 Long EC JP N 1 N N N The Keiyo Bank, Ltd. 353800HBJ702X2J5OX58 KEIYO BANK LTD/THE COMMON STOCK N/A 9200.00000000 NS 54370.40000000 0.002867588197 Long EC JP N 1 N N N Fuji Oil Company, Ltd. 3538007LG6U9IRDMI062 FUJI OIL CO LTD COMMON STOCK N/A 43600.00000000 NS 100002.77000000 0.005274317698 Long EC JP N 1 N N N ATLANTIC POWER CORPORATION 2U3V7WI7HVCB625AQQ40 ATLANTIC POWER CORP COMMON STOCK 04878Q863 32200.00000000 NS 75101.33000000 0.003960973021 Long EC CA N 1 N N N SWCC SHOWA HOLDINGS CO., LTD. N/A SWCC SHOWA HOLDINGS CO LTD COMMON STOCK N/A 15900.00000000 NS 127641.16000000 0.006732013815 Long EC JP N 1 N N N NAGASE & CO., LTD. N/A NAGASE & CO LTD COMMON STOCK N/A 25500.00000000 NS 355172.25000000 0.018732393954 Long EC JP N 1 N N N N/A N/A SIRIUS REAL ESTATE LTD COMMON STOCK N/A 76117.00000000 NS 70940.59000000 0.003741528453 Long EC GG N 1 N N N ALK-ABELLO A/S 529900SGCREUZCZ7P020 ALK-ABELLO A/S COMMON STOCK N/A 2516.00000000 NS 517528.45000000 0.027295338551 Long EC DK N 1 N N N FIRST PACIFIC COMPANY LIMITED 254900VS1MDQSDM9DE09 FIRST PACIFIC CO COMMON STOCK N/A 93857.00000000 NS 35925.21000000 0.001894757224 Long EC BM N 1 N N N SATO HOLDINGS CORPORATION N/A SATO HOLDINGS CORP COMMON STOCK N/A 4100.00000000 NS 110647.86000000 0.005835758012 Long EC JP N 1 N N N Topre Corporation N/A TOPRE CORP COMMON STOCK N/A 7800.00000000 NS 122924.39000000 0.006483243271 Long EC JP N 1 N N N ROUND ONE Corporation N/A ROUND ONE CORP COMMON STOCK N/A 7600.00000000 NS 113516.76000000 0.005987068721 Long EC JP N 1 N N N SAFILO GROUP S.P.A. 81560026FA1A26642782 SAFILO GROUP SPA COMMON STOCK N/A 71395.00000000 NS 73459.49000000 0.003874379561 Long EC IT N 1 N N N MALAM - TEAM LTD N/A MALAM - TEAM LTD COMMON STOCK N/A 175.00000000 NS 27159.35000000 0.001432430725 Long EC IL N 2 N N N FUJI MEDIA HOLDINGS, INC. 353800TG2T8DSPV7H313 FUJI MEDIA HOLDINGS INC COMMON STOCK N/A 10900.00000000 NS 140225.66000000 0.007395741941 Long EC JP N 1 N N N Gerresheimer AG 5299006GD4UWSYZOKC28 GERRESHEIMER AG COMMON STOCK N/A 11070.00000000 NS 793928.96000000 0.041873175763 Long EC DE N 1 N N N BTS Group AB 549300GBTPZH31MU7R34 BTS GROUP AB-B SHARES COMMON STOCK N/A 574.00000000 NS 11148.74000000 0.000588003679 Long EC SE N 1 N N N POLARIS INFRASTRUCTURE INC. 529900TVRAUXW0I7VZ94 POLARIS INFRASTRUCTURE INC COMMON STOCK 73106R100 10200.00000000 NS 101780.58000000 0.005368082448 Long EC CA N 1 N N N S.R. ACCORD LTD N/A S.R ACCORD LTD COMMON STOCK N/A 941.00000000 NS 12205.38000000 0.000643732686 Long EC IL N 2 N N N Sapiens International Corporation N.V. N/A SAPIENS INTERNATIONAL CORP COMMON STOCK G7T16G103 4688.00000000 NS USD 92072.32000000 0.004856052156 Long EC KY N 1 N N N The Juroku Bank,Ltd. 549300RFU3D1M30ZZA20 JUROKU BANK LTD/THE COMMON STOCK N/A 2500.00000000 NS 54728.32000000 0.002886465512 Long EC JP N 1 N N N RM PLC 2138005RKUCIEKLXWM61 RM PLC COMMON STOCK N/A 349.00000000 NS 1162.89000000 0.000061332814 Long EC GB N 1 N N N MAN GROUP PLC 2549003YWC1DW6LALB09 MAN GROUP PLC/JERSEY COMMON STOCK N/A 247591.00000000 NS 531980.76000000 0.028057578182 Long EC JE N 1 N N N Mebuki Financial Group, Inc. 353800K1RXV3E3JAE812 MEBUKI FINANCIAL GROUP INC COMMON STOCK N/A 117300.00000000 NS 288571.56000000 0.015219759274 Long EC JP N 1 N N N Nippon Sheet Glass Company, Limited 353800TWQ62HNEKBPW95 NIPPON SHEET GLASS CO LTD COMMON STOCK N/A 65100.00000000 NS 388944.28000000 0.020513588770 Long EC JP N 1 N N N K. WAH INTERNATIONAL HOLDINGS LIMITED 529900ZOP51K5LHLPK04 K WAH INTL HOLDINGS COMMON STOCK N/A 364000.00000000 NS 192270.69000000 0.010140686134 Long EC BM N 1 N N N NORITAKE CO., LIMITED 529900EN4XJGJXV4A581 NORITAKE CO LTD COMMON STOCK N/A 3100.00000000 NS 113965.32000000 0.006010726545 Long EC JP N 2 N N N AltaGas Canada Inc. 5493002OUQ05FKTI7O39 ALTAGAS CANADA INC COMMON STOCK 02137A109 5500.00000000 NS 109804.88000000 0.005791297800 Long EC CA N 1 N N N DOUTOR NICHIRES Holdings Co., Ltd. N/A DOUTOR NICHIRES HOLDINGS CO COMMON STOCK N/A 5600.00000000 NS 110938.27000000 0.005851074734 Long EC JP N 1 N N N Addtech AB 549300QZ5U2IDRHPWL60 ADDTECH AB-B SHARES COMMON STOCK N/A 789.00000000 NS 20518.38000000 0.001082174571 Long EC SE N 1 N N N DMS Inc N/A DMS INC COMMON STOCK N/A 454.00000000 NS 9271.05000000 0.000488971086 Long EC JP N 1 N N N H+H INTERNATIONAL A/S 213800GJODT6FV8QM841 H+H INTERNATIONAL A/S-B COMMON STOCK N/A 3440.00000000 NS 51525.05000000 0.002717519555 Long EC DK N 1 N N N Citadel Group Ltd N/A CITADEL GROUP LTD/THE COMMON STOCK N/A 1233.00000000 NS 3029.26000000 0.000159768370 Long EC AU N 1 N N N MITIE GROUP PLC 213800MTCLTKEHWZMJ03 MITIE GROUP PLC COMMON STOCK N/A 74027.00000000 NS 133252.43000000 0.007027961824 Long EC GB N 1 N N N Systena Corp N/A SYSTENA CORP COMMON STOCK N/A 33600.00000000 NS 499066.82000000 0.026321640504 Long EC JP N 2 N N N Regional Express Holdings Ltd 549300YSJJSJMIHCLI52 REGIONAL EXPRESS HOLDINGS LT COMMON STOCK N/A 12432.00000000 NS 11243.92000000 0.000593023635 Long EC AU N 1 N N N Swedish Orphan Biovitrum AB (publ) 549300124Y3MQI87PT35 SWEDISH ORPHAN BIOVITRUM AB COMMON STOCK N/A 8757.00000000 NS 134192.07000000 0.007077520050 Long EC SE N 1 N N N RICOH LEASING COMPANY,LTD. N/A RICOH LEASING CO LTD COMMON STOCK N/A 1800.00000000 NS 58099.42000000 0.003064263111 Long EC JP N 1 N N N METAWATER Co., Ltd. N/A METAWATER CO LTD COMMON STOCK N/A 1000.00000000 NS 33988.44000000 0.001792608651 Long EC JP N 1 N N N Avex Inc. N/A AVEX INC COMMON STOCK N/A 16000.00000000 NS 187338.73000000 0.009880566100 Long EC JP N 1 N N N Kardex AG 529900JKKMQ07D6QZ480 KARDEX AG-REG COMMON STOCK N/A 1154.00000000 NS 159331.90000000 0.008403437825 Long EC CH N 1 N N N Cembra Money Bank AG 549300ZDHOETLAIVTE82 CEMBRA MONEY BANK AG COMMON STOCK N/A 3595.00000000 NS 374610.49000000 0.019757600088 Long EC CH N 1 N N N Hioki EE Corp N/A HIOKI E E CORP COMMON STOCK N/A 1600.00000000 NS 53937.57000000 0.002844760000 Long EC JP N 1 N N N Helvetia Holding AG 529900SUJBXTORH0LT80 HELVETIA HOLDING AG-REG COMMON STOCK N/A 6993.00000000 NS 964817.49000000 0.050886130086 Long EC CH N 1 N N N JERUSALEM ECONOMY LTD N/A JERUSALEM ECONOMY LTD COMMON STOCK N/A 217834.00000000 NS 965352.80000000 0.050914363254 Long EC IL N 2 N N N Bunka Shutter Co., Ltd. 3538006KDHDR2E6VDJ47 BUNKA SHUTTER CO LTD COMMON STOCK N/A 38300.00000000 NS 327298.96000000 0.017262308808 Long EC JP N 1 N N N JUPITER FUND MANAGEMENT PLC 5493003DJ1G01IMQ7S28 JUPITER FUND MANAGEMENT COMMON STOCK N/A 32442.00000000 NS 141764.97000000 0.007476927792 Long EC GB N 1 N N N JMS Co Ltd N/A JMS CO LTD COMMON STOCK N/A 1100.00000000 NS 6572.02000000 0.000346619612 Long EC JP N 1 N N N AIRPORT CITY LTD N/A AIRPORT CITY LTD COMMON STOCK N/A 13429.00000000 NS 260404.22000000 0.013734165426 Long EC IL N 2 N N N Huber+Suhner AG 5067007PRZ9OSX7A6787 HUBER + SUHNER AG-REG COMMON STOCK N/A 1058.00000000 NS 68056.31000000 0.003589406576 Long EC CH N 1 N N N Softcat PLC 213800N42YZLR9GLVC42 SOFTCAT PLC COMMON STOCK N/A 29892.00000000 NS 368270.20000000 0.019423202314 Long EC GB N 1 N N N Tokyo Electron Device Ltd N/A TOKYO ELECTRON DEVICE LTD COMMON STOCK N/A 6300.00000000 NS 118104.97000000 0.006229058790 Long EC JP N 1 N N N VITAL KSK HOLDINGS, INC. 353800RLGNMAZY8D4488 VITAL KSK HOLDINGS INC COMMON STOCK N/A 22500.00000000 NS 217872.83000000 0.011490986932 Long EC JP N 1 N N N HEROUX-DEVTEK INC. 549300ZEMF0P4EU7CI78 HEROUX-DEVTEK INC COMMON STOCK 42774L109 10600.00000000 NS 137615.58000000 0.007258081842 Long EC CA N 1 N N N APPEN LIMITED 254900XDTS1IBK6ZMQ16 APPEN LTD COMMON STOCK N/A 17876.00000000 NS 255304.21000000 0.013465182147 Long EC AU N 1 N N N THE GO-AHEAD GROUP PLC 2138009TF1SYOMQLBJ60 GO-AHEAD GROUP PLC COMMON STOCK N/A 13255.00000000 NS 328233.64000000 0.017311605435 Long EC GB N 1 N N N LI & FUNG LIMITED 254900B5ACVOJC6VNM71 LI & FUNG LTD COMMON STOCK N/A 662000.00000000 NS 75172.56000000 0.003964729813 Long EC BM N 1 N N N CHARTER HALL GROUP N/A CHARTER HALL GROUP REIT N/A 71409.00000000 NS 561501.39000000 0.029614546866 Long EC AU N 1 N N N CARD FACTORY PLC 213800TTSOPFVCKPFQ11 CARD FACTORY PLC COMMON STOCK N/A 61293.00000000 NS 126458.12000000 0.006669618255 Long EC GB N 1 N N N P.S. Mitsubishi Construction Co., Ltd. N/A PS MITSUBISHI CONSTRUCTION COMMON STOCK N/A 32900.00000000 NS 219688.32000000 0.011586738990 Long EC JP N 1 N N N PAYPOINT PLC 5493004YKWI8U0GDD138 PAYPOINT PLC COMMON STOCK N/A 12245.00000000 NS 137308.53000000 0.007241887498 Long EC GB N 1 N N N Schaeffler AG 549300Q7E782X7GC1P43 Schaeffler AG PREFERRED STOCK N/A 42417.00000000 NS 325662.26000000 0.017175986441 Long EP DE N 1 N N N NuFlare Technology, Inc. N/A NUFLARE TECHNOLOGY INC COMMON STOCK N/A 7120.00000000 NS 505067.28000000 0.026638115062 Long EC JP N 1 N N N INDEPENDENCE GROUP NL 2549005DZO8VGXM5QN07 INDEPENDENCE GROUP NL COMMON STOCK N/A 124915.00000000 NS 542965.73000000 0.028636944350 Long EC AU N 1 N N N SUZUKEN CO.,LTD. N/A SUZUKEN CO LTD COMMON STOCK N/A 3200.00000000 NS 171653.18000000 0.009053283276 Long EC JP N 1 N N N EMIS GROUP PLC 213800K474ZZK76NX913 EMIS GROUP PLC COMMON STOCK N/A 86633.00000000 NS 1082233.44000000 0.057078848780 Long EC GB N 1 N N N RED 5 LIMITED 5299008TF8KHQ8CIQG34 RED 5 LTD COMMON STOCK N/A 636875.00000000 NS 128957.74000000 0.006801452504 Long EC AU N 1 N N N Clover Corporation Ltd N/A CLOVER CORP LTD COMMON STOCK N/A 53721.00000000 NS 108051.88000000 0.005698841572 Long EC AU N 1 N N N Infomedia Ltd N/A INFOMEDIA LTD COMMON STOCK N/A 21957.00000000 NS 30084.38000000 0.001586701827 Long EC AU N 1 N N N NIPPON ANTENNA CO.,LTD. N/A NIPPON ANTENNA CO LTD COMMON STOCK N/A 900.00000000 NS 7682.77000000 0.000405202473 Long EC JP N 1 N N N PRESSANCE CORPORATION N/A PRESSANCE CORP COMMON STOCK N/A 9700.00000000 NS 156276.53000000 0.008242292368 Long EC JP N 1 N N N The Shikoku Bank, Ltd. 353800WDXTE9PTGKDW46 SHIKOKU BANK LTD/THE COMMON STOCK N/A 2100.00000000 NS 19033.53000000 0.001003861034 Long EC JP N 1 N N N TATSUTA ELECTRIC WIRE AND CABLE CO.,LTD. 353800Y3VD3S9K8KD177 TATSUTA ELEC WIRE & CABLE COMMON STOCK N/A 6900.00000000 NS 29482.54000000 0.001554959752 Long EC JP N 1 N N N IMMOBILIARE GRANDE DISTRIBUZIONE SOCIETA DI INVESTIMENTO IMMOBILIARE QUOTATA S.P.A. 815600CF8C0389D0E272 IMMOBILIARE GRANDE DISTRIBUZ REIT N/A 8857.00000000 NS 54253.92000000 0.002861444842 Long EC IT N 1 N N N CENTURIA METROPOLITAN REIT - RTS N/A CENTURIA METROPOLITAN REIT - RTS ISSUE 1:10 / TERMS 1:1 N/A 368.00000000 NC 44.71000000 0.000002358082 N/A DE AU N 1 CENTURIA METROPOLITAN REIT - RTS N/A N/A N/A 2019-10-03 XXXX 44.71000000 N N N SSP GROUP PLC 213800QGNIWTXFMENJ24 SSP GROUP PLC COMMON STOCK N/A 18242.00000000 NS 139061.86000000 0.007334361131 Long EC GB N 1 N N N MIMASU SEMICONDUCTOR INDUSTRY CO., LTD. N/A MIMASU SEMICONDUCTOR INDUST COMMON STOCK N/A 6000.00000000 NS 96221.97000000 0.005074911818 Long EC JP N 1 N N N TMX Group Limited 549300N65GFVKSHGJW59 TMX GROUP LTD COMMON STOCK 87262K105 700.00000000 NS 60412.88000000 0.003186278962 Long EC CA N 1 N N N REGIS RESOURCES LIMITED 213800XH9YUXBLYBD749 REGIS RESOURCES LTD COMMON STOCK N/A 22433.00000000 NS 74191.71000000 0.003912998101 Long EC AU N 1 N N N Smartgroup Corporation Ltd N/A SMARTGROUP CORP LTD COMMON STOCK N/A 11065.00000000 NS 91188.28000000 0.004809426369 Long EC AU N 1 N N N Addnode Group Aktiebolag (publ) 213800CQXEA3W1YWXZ31 ADDNODE GROUP AB COMMON STOCK N/A 3262.00000000 NS 52521.78000000 0.002770088806 Long EC SE N 1 N N N SHOWA CORPORATION N/A SHOWA CORP COMMON STOCK N/A 9900.00000000 NS 142560.00000000 0.007518859038 Long EC JP N 1 N N N SINGAPORE MEDICAL GROUP LIMITED N/A SINGAPORE MEDICAL GROUP LTD COMMON STOCK N/A 27700.00000000 NS 6012.37000000 0.000317102711 Long EC SG N 1 N N N DART GROUP PLC I72RQ3PNLDPW8R7JIJ56 DART GROUP PLC COMMON STOCK N/A 26431.00000000 NS 297357.28000000 0.015683133223 Long EC GB N 1 N N N JUMBO Group Ltd N/A JUMBO GROUP LTD COMMON STOCK N/A 71700.00000000 NS 19453.39000000 0.001026005171 Long EC SG N 1 N N N SDL PLC 213800OF4AGCOPWAL341 SDL PLC COMMON STOCK N/A 8777.00000000 NS 57843.53000000 0.003050767033 Long EC GB N 1 N N N Foster Electric Company, Limited N/A FOSTER ELECTRIC CO LTD COMMON STOCK N/A 9800.00000000 NS 165863.58000000 0.008747929837 Long EC JP N 1 N N N Silicom Ltd 529900711TW6GY85XW07 SILICOM LTD COMMON STOCK M84116108 1618.00000000 NS USD 51128.80000000 0.002696620651 Long EC IL N 1 N N N FORMULA SYSTEMS (1985) LTD 5299007HN634606FI520 FORMULA SYSTEMS (1985) LTD COMMON STOCK N/A 1433.00000000 NS 91292.90000000 0.004814944208 Long EC IL N 2 N N N 2019-09-30 KP FUNDS Douglas B Grochowski Douglas B Grochowski VP XXXX NPORT-EX 2 KP_sf2ap2hz.htm SCHEDULE F HTML

  KP Retirement Path 2020 Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

 

 SCHEDULE OF INVESTMENTS

 

        

Description

 

 

Shares

 

    

Value 
    (000) 

 

 

Affiliated Registered Investment Companies — 75.0%

 

KP Fixed Income Fund

    37,217,960      $ 392,650  

KP International Equity Fund

    10,258,340        104,020  

KP Large Cap Equity Fund

    17,709,613        238,371  

KP Small Cap Equity Fund

 

   

 

4,359,470

 

 

 

    

 

46,908

 

 

 

    

 

 

 

Total Affiliated Registered Investment Companies
(Cost $732,835) (000)

 

    

 

    781,949 

 

 

 

    

 

 

 

Unaffiliated Registered Investment Companies — 24.9%

 

DFA Commodity Strategy Portfolio, Cl Institutional

    1,753,312        9,363  

DFA International Real Estate Securities, Cl Institutional

    1,936,251        10,417  

DFA Real Estate Securities Portfolio, Cl Institutional

    537,402        22,291  

Lazard Global Listed Infrastructure Portfolio, Cl Institutional

    679,013        10,430  

T. Rowe Price Institutional Floating Rate Fund, Cl Institutional

    1,028,296        10,118  

T. Rowe Price New Era Fund, Cl Institutional

    289,715        9,433  

Vanguard Inflation-Protected Securities Fund, Cl Institutional

    3,056,519        32,430  

Vanguard Short-Term Bond Index Fund, Cl Institutional

    8,376,250        88,704  

Vanguard Short-Term Inflation- Protected Securities Index Fund, Cl Institutional

    2,683,748       

 

66,074

 

 

 

    

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $252,992) (000)

 

    

 

    259,260 

 

 

 

    

 

 

 

Total Investments In Securities — 99.9%
(Cost $985,827) (000)

 

   $

 

1,041,209

 

 

 

    

 

 

 
 

 

Percentages are based on Net Assets of $1,042,412 (000).

Cl – Class

As of September 30, 2019, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended September 30, 2019, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period.

For the period ended September 30, 2019, there have been no changes to the Fund’s fair value methodologies.

For further financial information on individual Registered Investment Companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual Registered Investment Company’s website.

For more information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.


KP Retirement Path 2020 Fund

Schedule of Investments

September 30, 2019 (unaudited)

 

The following is a summary of the transactions with affiliates for the period ended September 30, 2019 (000):

 

     Value    
12/31/2018
     Purchases
at Cost
     Proceeds
from Sales
   

Change in
Unrealized
Appreciation
(Depreciation)

     Realized
Gain
(Loss)
     Value
9/30/2019
     Shares          Income     

Capital

Gain
Distributions 

 

KP Fixed Income Fund

  $ 384,055      $ 51,825      $ (75,946   $ 32,604      $ 112      $ 392,650        37,217,960      $ -        $ -        

KP International Equity Fund

    97,325        11,426        (16,640     11,608        301        104,020        10,258,340        -          -        

KP Large Cap Equity Fund

    204,684        32,145        (39,001     31,610        8,933        238,371        17,709,613        -          -        

KP Small Cap Equity Fund

    39,739        9,073        (8,625     6,054        667        46,908        4,359,470        -          -        
 

 

 

 

Totals

    $ 725,803      $ 104,469      $ (140,212   $ 81,876      $ 10,013      $ 781,949        69,545,383      $ -        $ -        
 

 

 

 

Amounts designated as “-” are $0 or have been rounded to $0.


  KP Retirement Path 2025 Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

 

 

 SCHEDULE OF INVESTMENTS

 

        

Description

 

 

Shares 

 

    

Value 

(000) 

 

 

Affiliated Registered Investment Companies — 79.9%

 

KP Fixed Income Fund

    41,226,209      $ 434,938  

KP International Equity Fund

    18,771,250        190,340  

KP Large Cap Equity Fund

    28,517,680        383,848  

KP Small Cap Equity Fund

    8,209,142       

 

88,330

 

 

 

    

 

 

 

Total Affiliated Registered Investment Companies
(Cost $1,024,450) (000)

 

    

 

1,097,456

 

 

 

    

 

 

 

Unaffiliated Registered Investment Companies — 20.0%

 

DFA Commodity Strategy Portfolio, Cl Institutional

    2,375,233        12,684  

DFA International Real Estate Securities, Cl Institutional

    2,612,730        14,056  

DFA Real Estate Securities Portfolio, Cl Institutional

    722,839        29,984  

Lazard Global Listed Infrastructure Portfolio, Cl Institutional

    915,684        14,065  

T. Rowe Price Institutional Floating Rate Fund, Cl Institutional

    1,388,143        13,659  

T. Rowe Price New Era Fund, Cl Institutional

    392,146        12,768  

Vanguard Inflation-Protected Securities Fund, Cl Institutional

    3,850,489        40,854  

Vanguard Short-Term Bond Index Fund, Cl Institutional

    7,564,694        80,110  

Vanguard Short-Term Inflation- Protected Securities Index Fund, Cl Institutional

    2,307,820       

 

56,818

 

 

 

    

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $267,671) (000)

 

    

 

274,998

 

 

 

    

 

 

 

Total Investments In Securities — 99.9%
(Cost $1,292,121) (000)

     $

 

1,372,454

 

 

 

    

 

 

 
 

 

Percentages are based on Net Assets of $1,373,681 (000).

Cl – Class

As of September 30, 2019, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended September 30, 2019, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period.

For the period ended September 30, 2019, there have been no changes to the Fund’s fair value methodologies.

For further financial information on individual Registered Investment Companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual Registered Investment Company’s website.

For more information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.


KP Retirement Path 2025 Fund

Schedule of Investments

September 30, 2019 (unaudited)

 

The following is a summary of the transactions with affiliates for the period ended September 30, 2019 (000):

 

     Value
12/31/2018
     Purchases
at Cost
     Proceeds
from Sales
   

Change in

Unrealized
Appreciation

(Depreciation)

     Realized
Gain
(Loss)
     Value
9/30/2019
     Shares      Income     

Capital

Gain
Distributions

 

KP Fixed Income Fund

    $ 395,872      $ 66,804      $ (62,129   $ 34,318      $ 73      $ 434,938        41,226,209      $ -        $ -        

KP International Equity Fund

    166,937        21,826        (18,888     19,747        718        190,340        18,771,250        -          -        

KP Large Cap Equity Fund

    310,376        51,763        (40,085     51,966        9,828        383,848        28,517,680        -          -        

KP Small Cap Equity Fund

    70,134        17,105        (10,726     11,038        779        88,330        8,209,142        -          -        
 

 

 

 

Totals

    $ 943,319      $ 157,498      $ (131,828   $ 117,069      $ 11,398      $ 1,097,456        96,724,281      $ -        $ -        
 

 

 

 

Amounts designated as “-” are $0 or have been rounded to $0.


  KP Retirement Path 2030 Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

 

 

   SCHEDULE OF INVESTMENTS

 

Description

 

  

Shares

 

    

Value

(000)

 

 

Affiliated Registered Investment Companies — 84.8%

 

KP Fixed Income Fund

     33,671,266      $ 355,232  

KP International Equity Fund

     24,381,928        247,233  

KP Large Cap Equity Fund

     32,848,030        442,134  

KP Small Cap Equity Fund

 

    

 

10,634,406

 

 

 

    

 

114,426

 

 

 

     

 

 

 

Total Affiliated Registered Investment Companies
(Cost $1,081,390) (000)

 

    

 

1,159,025

 

 

 

     

 

 

 

Unaffiliated Registered Investment Companies — 15.1%

 

DFA Commodity Strategy Portfolio, Cl Institutional

     2,306,227        12,315  

DFA International Real Estate Securities, Cl Institutional

     2,533,656        13,631  

DFA Real Estate Securities Portfolio, Cl Institutional

     700,247        29,046  

Lazard Global Listed Infrastructure Portfolio, Cl Institutional

     887,796        13,637  

T. Rowe Price Institutional Floating Rate Fund, Cl Institutional

     1,346,232        13,247  

T. Rowe Price New Era Fund, Cl Institutional

     380,607        12,393  

Vanguard Inflation-Protected Securities Fund, Cl Institutional

     3,640,076        38,621  

Vanguard Short-Term Bond Index Fund, Cl Institutional

     4,110,203        43,527  

Vanguard Short-Term Inflation- Protected Securities Index Fund, Cl Institutional

 

    

 

1,209,352

 

 

 

    

 

29,774

 

 

 

     

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $200,020) (000)

 

 

    

 

206,191

 

 

 

     

 

 

 

Total Investments In Securities — 99.9%
(Cost $1,281,410) (000)

 

 

   $

 

  1,365,216

 

 

 

     

 

 

 
 

 

Percentages are based on Net Assets of $1,366,096 (000).

Cl – Class

As of September 30, 2019, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended September 30, 2019, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period.

For the period ended September 30, 2019, there have been no changes to the Fund’s fair value methodologies.

For further financial information on individual Registered Investment Companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual Registered Investment Company’s website.

For more information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.


KP Retirement Path 2030 Fund

Schedule of Investments

September 30, 2019 (unaudited)

 

The following is a summary of the transactions with affiliates for the period ended September 30, 2019 (000):

 

     Value
12/31/2018
     Purchases
at Cost
     Proceeds
from Sales
    

Change in
Unrealized
Appreciation

(Depreciation)

    

Realized
Gain

(Loss)

    Value
9/30/2019
     Shares      Income     

Capital

Gain
Distributions

 

KP Fixed Income Fund

      $  317,485        $   60,239        $   (50,117)      $ 28,016      $ (391   $ 355,232        33,671,266      $ -        $ -        

KP International Equity Fund

    212,987        28,093        (19,792)        25,223        722       247,233        24,381,928        -          -        

KP Large Cap Equity Fund

    349,937        60,485        (37,875)        60,333        9,254       442,134        32,848,030        -          -        

KP Small Cap Equity Fund

    89,027        22,117        (11,624)        14,041        865       114,426        10,634,406        -          -        
 

 

 

 

Totals

      $  969,436        $  170,934        $  (119,408)      $ 127,613      $  10,450     $   1,159,025        101,535,630      $ -        $ -        
 

 

 

 

Amounts designated as “-” are $0 or have been rounded to $0.


  KP Retirement Path 2035 Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

 

 

   SCHEDULE OF INVESTMENTS

 

Description

 

  

Shares

 

    

Value

(000)

 

 

 

Affiliated Registered Investment Companies — 89.4%

 

KP Fixed Income Fund

     30,723,536      $ 324,133  

KP International Equity Fund

     34,162,449        346,407  

KP Large Cap Equity Fund

     39,912,506        537,223  

KP Small Cap Equity Fund

 

    

 

14,681,705

 

 

 

    

 

157,975

 

 

 

     

 

 

 

Total Affiliated Registered Investment Companies
(Cost $1,271,539) (000)

 

    

 

1,365,738

 

 

 

     

 

 

 

Unaffiliated Registered Investment Companies — 10.6%

 

DFA Commodity Strategy Portfolio, Cl Institutional

     2,328,590        12,435  

DFA International Real Estate Securities, Cl Institutional

     2,556,904        13,756  

DFA Real Estate Securities Portfolio, Cl Institutional

     706,302        29,298  

Lazard Global Listed Infrastructure Portfolio, Cl Institutional

     895,791        13,759  

T. Rowe Price Institutional Floating Rate Fund, Cl Institutional

     1,358,546        13,368  

T. Rowe Price New Era Fund, Cl Institutional

     384,275        12,512  

Vanguard Inflation-Protected Securities Fund, Cl Institutional

     3,633,052        38,546  

Vanguard Short-Term Bond Index Fund, Cl Institutional

     1,802,904        19,093  

Vanguard Short-Term Inflation- Protected Securities Index Fund, Cl Institutional

 

    

 

380,569

 

 

 

    

 

9,370

 

 

 

     

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $156,408) (000)

 

 

    

 

162,137

 

 

 

     

 

 

 

Total Investments In Securities — 100.0%
(Cost $1,427,947) (000)

 

 

   $

 

  1,527,875

 

 

 

     

 

 

 
 

 

Percentages are based on Net Assets of $1,528,518 (000).

Cl – Class

As of September 30, 2019, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended September 30, 2019, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period.

For the period ended September 30, 2019, there have been no changes to the Fund’s fair value methodologies.

For further financial information on individual Registered Investment Companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual Registered Investment Company’s website.

For more information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.


KP Retirement Path 2035 Fund

Schedule of Investments

September 30, 2019 (unaudited)

 

The following is a summary of the transactions with affiliates for the period ended September 30, 2019 (000):

 

      Value
12/31/2018
     Purchases
at Cost
    

Proceeds

from Sales

    

Change in
Unrealized
Appreciation

(Depreciation)

    

Realized

Gain

(Loss)

    Value
9/30/2019
        Shares      Income     

Capital

Gain
Distributions

 

KP Fixed Income Fund

     $ 287,371        $   56,066      $ (44,329)      $ 25,585      $ (560   $ 324,133        30,723,536      $ -        $ -        

KP International Equity Fund

     293,919        38,883        (22,157)        34,931        831       346,407        34,162,449        -          -        

KP Large Cap Equity Fund

     420,244        71,162        (37,574)        74,151        9,240       537,223        39,912,506        -          -        

KP Small Cap Equity Fund

     121,373        29,789        (13,419)        19,223        1,009       157,975        14,681,705        -          -        
  

 

 

 

Totals

     $   1,122,907        $  195,900      $ (117,479)      $ 153,890      $  10,520     $  1,365,738        119,480,196      $ -        $ -        
  

 

 

 

Amounts designated as “-“ are $0 or have been rounded to $0.


  KP Retirement Path 2040 Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

 

 

 SCHEDULE OF INVESTMENTS

 

Description

 

  

Shares

 

    

Value

(000)

 

 

 

Affiliated Registered Investment Companies — 92.6%

 

KP Fixed Income Fund

     23,128,840      $ 244,009  

KP International Equity Fund

     36,292,466        368,006  

KP Large Cap Equity Fund

     38,414,305        517,057  

KP Small Cap Equity Fund

 

    

 

15,574,937

 

 

 

    

 

167,586

 

 

 

     

 

 

 

Total Affiliated Registered Investment Companies
(Cost $1,207,783) (000)

 

 

    

 

1,296,658

 

 

 

     

 

 

 

Unaffiliated Registered Investment Companies — 7.4%

 

DFA Commodity Strategy Portfolio, Cl Institutional

     1,808,382        9,657  

DFA International Real Estate Securities, Cl Institutional

     1,984,959        10,679  

DFA Real Estate Securities Portfolio, Cl Institutional

     548,142        22,737  

Lazard Global Listed Infrastructure Portfolio, Cl Institutional

     695,393        10,681  

T. Rowe Price Institutional Floating Rate Fund, Cl Institutional

     1,054,749        10,379  

T. Rowe Price New Era Fund, Cl Institutional

     298,432        9,717  

Vanguard Inflation-Protected Securities Fund, Cl Institutional

 

    

 

2,811,998

 

 

 

    

 

29,835

 

 

 

     

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $99,664) (000)

 

 

    

 

103,685

 

 

 

     

 

 

 

Total Investments In Securities — 100.0%
(Cost $1,307,447) (000)

 

 

   $

 

    1,400,343

 

 

 

     

 

 

 
 

 

Percentages are based on Net Assets of $1,400,739 (000).

Cl – Class

As of September 30, 2019, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended September 30, 2019, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period.

For the period ended September 30, 2019, there have been no changes to the Fund’s fair value methodologies.

For further financial information on individual Registered Investment Companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual Registered Investment Company’s website.

For more information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.


KP Retirement Path 2040 Fund

Schedule of Investments

September 30, 2019 (unaudited)

 

The following is a summary of the transactions with affiliates for the period ended September 30, 2019 (000):

 

      Value
12/31/2018
     Purchases
at Cost
     Proceeds
from Sales
     Change in
Unrealized
Appreciation
(Depreciation)
     Realized
Gain
(Loss)
    Value
9/30/2019
     Shares      Income      Capital
Gain
Distributions
 

KP Fixed Income Fund

   $ 216,689      $   43,796        $    (35,266)       $ 19,426        (636   $ 244,009        23,128,840       $       -         $ -        

KP International Equity Fund

     310,602        42,943        (23,241)        36,822        880       368,006        36,292,466        -          -        

KP Large Cap Equity Fund

     403,097        69,924        (35,686)        70,939        8,783       517,057        38,414,305        -          -        

KP Small Cap Equity Fund

     127,786        32,599        (14,060)        20,269        992       167,586        15,574,937        -          -        

Totals

   $  1,058,174      $  189,262        $  (108,253)       $ 147,456      $  10,019     $  1,296,658        113,410,548       $   -         $       -        
                                                                               

Amounts designated as “-“ are $0 or have been rounded to $0.


  KP Retirement Path 2045 Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

 

 SCHEDULE OF INVESTMENTS

 

 

Description

 

  

Shares

 

    

Value

(000)

 

 

 

Affiliated Registered Investment Companies — 94.3%

 

KP Fixed Income Fund

     15,328,501      $ 161,716  

KP International Equity Fund

     30,961,100        313,946  

KP Large Cap Equity Fund

     31,008,916        417,380  

KP Small Cap Equity Fund

 

    

 

13,232,336

 

 

 

    

 

142,380

 

 

 

     

 

 

 

Total Affiliated Registered Investment Companies
(Cost $973,197) (000)

 

 

    

 

1,035,422

 

 

 

     

 

 

 

Unaffiliated Registered Investment Companies — 5.7%

 

DFA Commodity Strategy Portfolio, Cl Institutional

     1,110,497        5,930  

DFA International Real Estate Securities, Cl Institutional

     1,217,188        6,548  

DFA Real Estate Securities Portfolio, Cl Institutional

     335,788        13,929  

Lazard Global Listed Infrastructure Portfolio, Cl Institutional

     426,326        6,548  

T. Rowe Price Institutional Floating Rate Fund, Cl Institutional

     646,843        6,365  

T. Rowe Price New Era Fund, Cl Institutional

     183,207        5,965  

Vanguard Inflation-Protected Securities Fund, Cl Institutional

 

    

 

1,674,346

 

 

 

    

 

17,765

 

 

 

     

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $60,736) (000)

 

 

    

 

63,050

 

 

 

     

 

 

 

Total Investments In Securities — 100.0%
(Cost $1,033,933) (000)

 

 

   $

 

    1,098,472

 

 

 

     

 

 

 
 

 

Percentages are based on Net Assets of $1,098,705 (000).

Cl — Class

As of September 30, 2019, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended September 30, 2019, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period.

For the period ended September 30, 2019, there have been no changes to the Fund’s fair value methodologies.

For further financial information on individual Registered Investment Companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual Registered Investment Company’s website.

For more information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.


  KP Retirement Path 2045 Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

The following is a summary of the transactions with affiliates for the period ended September 30, 2019 (000):

 

      Value
12/31/2018
     Purchases
at Cost
     Proceeds
from
Sales
    Change in
Unrealized
Appreciation
(Depreciation)
     Realized
Gain
(Loss)
    Value
9/30/2019
     Shares      Income     

Capital

Gain
Distributions

 

KP Fixed Income Fund

   $     140,263       $ 33,096       $ (23,897   $     12,798       $ (544    $     161,716        15,328,501      $     -         $     -        

KP International Equity Fund

     257,387        43,650        (18,412)       31,608        (287     313,946        30,961,100        -          -        

KP Large Cap Equity Fund

     317,525        63,779        (26,889)       56,346        6,619       417,380        31,008,916        -          -        

KP Small Cap Equity Fund

     105,932        30,082        (11,217)       16,828        755       142,380        13,232,336        -          -        

Totals

   $     821,107       $     170,607       $ (80,415   $   117,580       $    6,543      $  1,035,422        90,530,853      $       -         $       -        
                                                                              

Amounts designated as “-“ are $0 or have been rounded to $0.


  KP Retirement Path 2050 Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

 

 

 SCHEDULE OF INVESTMENTS

 

Description

 

  

Shares

 

    

Value
(000)

 

 

Affiliated Registered Investment Companies — 94.9%

 

KP Fixed Income Fund

     8,162,857      $ 86,118  

KP International Equity Fund

     19,834,159        201,118  

KP Large Cap Equity Fund

     19,706,731        265,252  

KP Small Cap Equity Fund

 

    

 

8,597,731

 

 

 

    

 

92,512

 

 

 

     

 

 

 

Total Affiliated Registered Investment Companies
(Cost $615,791) (000)

 

 

    

 

645,000

 

 

 

     

 

 

 

Unaffiliated Registered Investment Companies — 5.1%

 

DFA Commodity Strategy Portfolio, Cl Institutional

     617,236        3,296  

DFA International Real Estate Securities, Cl Institutional

     675,179        3,633  

DFA Real Estate Securities Portfolio, Cl Institutional

     185,976        7,715  

Lazard Global Listed Infrastructure Portfolio, Cl Institutional

     236,350        3,630  

T. Rowe Price Institutional Floating Rate Fund, Cl Institutional

     358,776        3,530  

T. Rowe Price New Era Fund, Cl Institutional

     101,780        3,314  

Vanguard Inflation-Protected Securities Fund, Cl Institutional

 

    

 

885,795

 

 

 

    

 

9,398

 

 

 

     

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $33,380) (000)

 

 

    

 

34,516

 

 

 

     

 

 

 

Total Investments In Securities — 100.0%
(Cost $649,171) (000)

 

 

   $

 

    679,516

 

 

 

     

 

 

 
 

 

Percentages are based on Net Assets of $679,640 (000).

Cl – Class

As of September 30, 2019, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended September 30, 2019, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period.

For the period ended September 30, 2019, there have been no changes to the Fund’s fair value methodologies.

For further financial information on individual Registered Investment Companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual Registered Investment Company’s website.

For more information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.


KP Retirement Path 2050 Fund

Schedule of Investments

September 30, 2019 (unaudited)

 

The following is a summary of the transactions with affiliates for the period ended September 30, 2019 (000):

 

     Value
12/31/2018
     Purchases
at Cost
    

Proceeds

from Sales

    

Change in
Unrealized

Appreciation

(Depreciation)

    

Realized

Gain

(Loss)

    Value
9/30/2019
     Shares      Income     

Capital

Gain
Distributions

 

KP Fixed Income Fund

  $   70,886      $   21,595      $   (12,729)      $ 6,674      $ (308   $ 86,118        8,162,857      $ -        $ -        

KP International Equity Fund

    156,804        38,155        (13,032)        18,919        272       201,118        19,834,159        -          -        

KP Large Cap Equity Fund

    192,103        52,433        (17,822)        35,284        3,254       265,252        19,706,731        -          -        

KP Small Cap Equity Fund

    65,283        23,869        (7,493)        10,687        166       92,512        8,597,731        -          -        

Totals

  $   485,076      $   136,052      $   (51,076)      $ 71,564      $ 3,384     $ 645,000        56,301,478      $       -        $ -        
                                                                              

Amounts designated as “-“ are $0 or have been rounded to $0.


  KP Retirement Path 2055 Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

 SCHEDULE OF INVESTMENTS

     

Description

 

  

Shares

 

    

Value

(000)

 

 

Affiliated Registered Investment Companies — 94.9%

 

KP Fixed Income Fund

     2,628,860      $ 27,734  

KP International Equity Fund

     7,321,118        74,236  

KP Large Cap Equity Fund

     7,228,114        97,291  

KP Small Cap Equity Fund

 

    

 

3,105,009

 

 

 

    

 

33,410

 

 

 

     

 

 

 

Total Affiliated Registered Investment Companies
(Cost $228,337) (000)

 

 

    

 

232,671

 

 

 

     

 

 

 

Unaffiliated Registered Investment Companies — 5.1%

 

DFA Commodity Strategy Portfolio, Cl Institutional

     229,405        1,225  

DFA International Real Estate Securities, Cl Institutional

     249,890        1,344  

DFA Real Estate Securities Portfolio, Cl Institutional

     68,632        2,848  

Lazard Global Listed Infrastructure Portfolio, Cl Institutional

     87,386        1,342  

T. Rowe Price Institutional Floating Rate Fund, Cl Institutional

     132,801        1,307  

T. Rowe Price New Era Fund, Cl Institutional

     37,789        1,230  

Vanguard Inflation-Protected Securities Fund, Cl Institutional

 

    

 

297,495

 

 

 

    

 

3,156

 

 

 

     

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $12,056) (000)

 

 

    

 

12,452

 

 

 

     

 

 

 

Total Investments In Securities — 100.0%
(Cost $240,393) (000)

 

 

   $

 

    245,123

 

 

 

     

 

 

 
 

 

Percentages are based on Net Assets of $245,166 (000).

Cl – Class

As of September 30, 2019, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended September 30, 2019, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period.

For the period ended September 30, 2019, there have been no changes to the Fund’s fair value methodologies.

For further financial information on individual Registered Investment Companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual Registered Investment Company’s website.

For more information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.


KP Retirement Path 2055 Fund

Schedule of Investments

September 30, 2019 (unaudited)

 

The following is a summary of the transactions with affiliates for the period ended September 30, 2019 (000):

 

     Value
12/31/2018
     Purchases
at Cost
    

Proceeds

from Sales

    

Change in
Unrealized

Appreciation

(Depreciation)

    

Realized

Gain

(Loss)

    Value
9/30/2019
     Shares      Income     

Capital

Gain

Distributions

 

KP Fixed Income Fund

  $   20,678      $   9,291      $   (4,182)      $ 2,012      $ (65   $ 27,734        2,628,860      $ -        $ -        

KP International Equity Fund

    51,895        21,051        (5,165)        5,770        685       74,236        7,321,118        -          -        

KP Large Cap Equity Fund

    63,325        27,813        (6,919)        11,707        1,365       97,291        7,228,114        -          -        

KP Small Cap Equity Fund

    21,226        11,444        (2,795)        3,336        199       33,410        3,105,009        -          -        

Totals

  $   157,124      $   69,599      $   (19,061)      $ 22,825      $ 2,184     $ 232,671        20,283,101      $       -        $ -        
                                                                              

Amounts designated as “-“ are $0 or have been rounded to $0.


  KP Retirement Path 2060 Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

 

   SCHEDULE OF INVESTMENTS

 

     

Description

 

  

Shares

 

    

Value
(000)

 

 

Affiliated Registered Investment Companies — 94.9%

 

KP Fixed Income Fund

     539,639      $ 5,693  

KP International Equity Fund

     1,502,065        15,231  

KP Large Cap Equity Fund

     1,483,053        19,962  

KP Small Cap Equity Fund

 

    

 

636,922

 

 

 

    

 

6,853

 

 

 

     

 

 

 

Total Affiliated Registered Investment Companies
(Cost $47,677) (000)

 

    

 

47,739

 

 

 

     

 

 

 

Unaffiliated Registered Investment Companies — 5.1%

 

DFA Commodity Strategy Portfolio, Cl Institutional

     47,197        252  

DFA International Real Estate Securities, Cl Institutional

     51,465        277  

DFA Real Estate Securities Portfolio, Cl Institutional

     14,133        587  

Lazard Global Listed Infrastructure Portfolio, Cl Institutional

     17,997        276  

T. Rowe Price Institutional Floating Rate Fund, Cl Institutional

     27,344        269  

T. Rowe Price New Era Fund, Cl Institutional

     7,773        253  

Vanguard Inflation-Protected Securities Fund, Cl Institutional

     60,425       

 

641

 

 

 

     

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $2,472) (000)

 

 

    

 

2,555

 

 

 

     

 

 

 

Total Investments In Securities — 100.0%
(Cost $50,149) (000)

 

 

   $

 

    50,294

 

 

 

     

 

 

 
 

 

Percentages are based on Net Assets of $50,303 (000).

Cl – Class

As of September 30, 2019, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended September 30, 2019, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period.

For the period ended September 30, 2019, there have been no changes to the Fund’s fair value methodologies.

For further financial information on individual Registered Investment Companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual Registered Investment Company’s website.

For more information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.


KP Retirement Path 2060 Fund

Schedule of Investments

September 30, 2019 (unaudited)

 

The following is a summary of the transactions with affiliates for the period ended September 30, 2019 (000):

 

      Value
12/31/2018
     Purchases
at Cost
     Proceeds
from Sales
   

Change in
Unrealized
Appreciation

(Depreciation)

     Realized
Gain
(Loss)
    Value
9/30/2019
     Shares      Income     

Capital

Gain

Distributions

 

KP Fixed Income Fund

     $ 4,226        $   2,323        $  (1,259     $429        $     (26     $   5,693        539,639      $ -            $ -        

KP International Equity Fund

     10,591        5,501        (2,182     1,407        (86     15,231        1,502,065        -              -        

KP Large Cap Equity Fund

     12,924        7,196        (2,835     2,586        91       19,962        1,483,053        -              -        

KP Small Cap Equity Fund

     4,331        2,882        (1,083     877        (154     6,853        636,922        -              -        
  

 

 

 

Totals

     $  32,072        $ 17,902        $  (7,359     $5,299        $  (175     $ 47,739        4,161,679      $ -            $ -        
  

 

 

 

Amounts designated as “-“ are $0 or have been rounded to $0.


  KP Retirement Path 2065 Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

 

 SCHEDULE OF INVESTMENTS

 

     

Description

 

  

Shares

 

    

Value
(000)

 

 

Affiliated Registered Investment Companies — 95.1%

 

KP Fixed Income Fund

     130,877      $ 1,381  

KP International Equity Fund

     346,601        3,515  

KP Large Cap Equity Fund

     335,518        4,515  

KP Small Cap Equity Fund

 

     146,172       

 

1,573

 

 

 

     

 

 

 

Total Affiliated Registered Investment Companies
(Cost $10,632) (000)

 

 

    

 

10,984

 

 

 

     

 

 

 

Unaffiliated Registered Investment Companies — 5.0%

 

DFA Commodity Strategy Portfolio, Cl Institutional

     10,700        57  

DFA International Real Estate Securities, Cl Institutional

     11,197        60  

DFA Real Estate Securities Portfolio, Cl Institutional

     2,961        124  

Lazard Global Listed Infrastructure Portfolio, Cl Institutional

     3,896        60  

T. Rowe Price Institutional Floating Rate Fund, Cl Institutional

     5,932        58  

T. Rowe Price New Era Fund, Cl Institutional

     1,776        58  

Vanguard Inflation-Protected Securities Fund, Cl Institutional

 

     14,544       

 

154

 

 

 

     

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $556) (000)

 

 

    

 

571

 

 

 

     

 

 

 

Total Investments In Securities — 100.1%
(Cost $11,188) (000)

 

 

   $

 

    11,555

 

 

 

     

 

 

 
 

 

Percentages are based on Net Assets of $11,545 (000).

Cl – Class

As of September 30, 2019, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended September 30, 2019, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period.

For the period ended September 30, 2019, there have been no changes to the Fund’s fair value methodologies.

For further financial information on individual Registered Investment Companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual Registered Investment Company’s website.

For more information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.


KP Retirement Path 2065 Fund

Schedule of Investments

September 30, 2019 (unaudited)

 

The following is a summary of the transactions with affiliates for the period ended September 30, 2019 (000):

 

      Value
12/31/2018
     Purchases
at Cost
     Proceeds
from Sales
   

Change in
Unrealized
Appreciation
(Depreciation)

    

Realized
Gain

(Loss)

     Value
9/30/2019
     Shares      Income      Capital
Gain
Distributions
 

KP Fixed Income Fund

     $ -              $      1,420      $ (86   $ 45        $        2        $      1,381        130,877      $     -            $ -        

KP International Equity Fund

     -              3,496        (67     84        2        3,515        346,601        -              -        

KP Large Cap Equity Fund

     -              4,398        (86     199        4        4,515        335,518        -              -        

KP Small Cap Equity Fund

     -              1,579        (31     24        1        1,573        146,172        -              -        
  

 

 

 

Totals

     $         -              $    10,893      $ (270.00   $ 352        $        9        $    10,984        959,168      $     -            $ -        
  

 

 

 

Amounts designated as “-“ are $0 or have been rounded to $0.


  KP Retirement Path Retirement Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

 

 

 SCHEDULE OF INVESTMENTS

Description

 

  

Shares

 

    

Value

(000)

 

 

Affiliated Registered Investment Companies — 71.3%

 

KP Fixed Income Fund

     19,287,569      $     203,484  

KP International Equity Fund

     3,070,557        31,135  

KP Large Cap Equity Fund

     6,095,915        82,051  

KP Small Cap Equity Fund

    

 

1,224,989

 

 

 

    

 

13,181

 

 

 

     

 

 

 

Total Affiliated Registered Investment Companies
(Cost $310,251) (000)

 

    

 

329,851

 

 

 

     

 

 

 

Unaffiliated Registered Investment Companies — 28.6%

 

DFA Commodity Strategy Portfolio, Cl Institutional

     766,973        4,096  

DFA International Real Estate Securities, Cl Institutional

     848,094        4,563  

DFA Real Estate Securities Portfolio, Cl Institutional

     235,726        9,778  

Lazard Global Listed Infrastructure Portfolio, Cl Institutional

     297,484        4,569  

T. Rowe Price Institutional Floating Rate Fund, Cl Institutional

     450,446        4,432  

T. Rowe Price New Era Fund, Cl Institutional

     126,788        4,128  

Vanguard Inflation-Protected Securities Fund, Cl Institutional

     1,382,286        14,666  

Vanguard Short-Term Bond Index Fund, Cl Institutional

     4,545,179        48,133  

Vanguard Short-Term Inflation- Protected Securities Index Fund, Cl Institutional

     1,532,931       

 

37,742

 

 

 

     

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $128,933) (000)

 

    

 

132,107

 

 

 

     

 

 

 

Total Investments In Securities — 99.9%
(Cost $439,184) (000)

 

   $

 

461,958

 

 

 

     

 

 

 
 

 

Percentages are based on Net Assets of $462,586 (000).

Cl – Class

As of September 30, 2019, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended September 30, 2019, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period.

For the period ended September 30, 2019, there have been no changes to the Fund’s fair value methodologies.

For further financial information on individual Registered Investment Companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual Registered Investment Company’s website.

For more information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.


KP Retirement Path Retirement Income Fund

Schedule of Investments

September 30, 2019 (unaudited)

 

The following is a summary of the transactions with affiliates for the period ended September 30, 2019 (000):

 

      Value
12/31/2018
     Purchases
at Cost
     Proceeds
from Sales
    Change in
Unrealized
Appreciation
(Depreciation)
     Realized
Gain
(Loss)
     Value
9/30/2019
     Shares      Income     

Capital

Gain
Distributions

 

KP Fixed Income Fund

     $ 200,468      $ 29,422      $ (43,433   $ 16,918      $ 109      $ 203,484        19,287,569      $ -        $ -        

KP International Equity Fund

     32,947        3,706        (9,595     3,270        807        31,135        3,070,557        -          -        

KP Large Cap Equity Fund

     78,597        11,718        (23,670     11,338        4,068        82,051        6,095,915        -          -        

KP Small Cap Equity Fund

     12,946        2,888        (4,899     1,851        395        13,181        1,224,989        -          -        
  

 

 

 

Totals

     $     324,958      $ 47,734      $ (81,597   $ 33,377      $ 5,379      $     329,851        29,679,030      $ -        $ -        
  

 

 

 

Amounts designated as “-“ are $0 or have been rounded to $0.


  KP Large Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

 

 

 SCHEDULE OF INVESTMENTS

 

     

Description

 

  

Shares

 

    

Value

(000)

 

 

Common Stock — 97.9%

     

Communication Services – 10.5%

     

Activision Blizzard

     98,408      $ 5,208  

Alphabet, Cl A*

     49,844        60,867  

Alphabet, Cl C*

     33,377        40,687  

AMC Networks, Cl A*

     34,188        1,681  

AT&T

     354,408        13,411  

CBS, Cl B

     55,677        2,248  

CenturyLink

     36,330        453  

Charter Communications, Cl A*

     6,100        2,514  

Comcast, Cl A

     698,680        31,497  

Discovery, Cl A*

     5,793        154  

Discovery, Cl C*

     73,160        1,801  

DISH Network, Cl A*

     9,284        316  

Electronic Arts*

     75,653        7,400  

Facebook, Cl A*

     357,709        63,701  

Fox

     5,776        182  

Fox

     13,168        415  

IAC*

     21,677        4,725  

Interpublic Group of Companies

     14,426        311  

Netflix*

     35,143        9,405  

News, Cl A

     14,068        196  

News, Cl B

     5,200        74  

Nexstar Media Group, Cl A

     1,437        147  

Omnicom Group

     27,807        2,177  

Spotify Technology*

     23,451        2,673  

Take-Two Interactive Software*

     4,200        527  

Tencent Holdings ADR

     266,030        11,075  

Tencent Music Entertainment Group ADR*

     169,400        2,163  

T-Mobile US*

     11,900        937  

TripAdvisor*

     62,882        2,432  

Twitter*

     125,144        5,156  

Verizon Communications

     440,722        26,602  

Viacom, Cl B

     19,742        474  

Walt Disney

     101,830        13,271  
     

 

 

 
       

 

      314,880

 

 

 

     

 

 

 

Consumer Discretionary – 10.2%

     

Advance Auto Parts

     15,010        2,483  

Alibaba Group Holding ADR*

     69,665        11,650  

Amazon.com*

     52,793        91,644  

Aptiv

     148,856        13,013  

Aramark

     14,808        645  

AutoZone*

     2,996        3,250  

Best Buy

     66,905        4,616  

Booking Holdings*

     4,437        8,708  

BorgWarner

     7,997        293  

Capri Holdings*

     5,413        180  

CarMax*

     6,089        536  

Carnival

     15,057        658  

Description

 

  

Shares

 

    

Value

(000)

 

 

Chipotle Mexican Grill, Cl A*

     951      $ 799  

Darden Restaurants

     13,135        1,553  

Dick’s Sporting Goods

     18,269        746  

Dollar General

     61,224        9,731  

Dollar Tree*

     8,801        1,005  

DR Horton

     12,495        659  

eBay

     147,612        5,754  

Expedia Group

     5,180        696  

Extended Stay America

     38,102        558  

Foot Locker

     40,441        1,745  

Ford Motor

     418,088        3,830  

Gap

     30,470        529  

Garmin

     8,618        730  

General Motors

     57,708        2,163  

Genuine Parts

     5,415        539  

Goodyear Tire & Rubber

     24,311        350  

Graham Holdings, Cl B

     876        581  

H&R Block

     7,576        179  

Hanesbrands

     68,633        1,052  

Harley-Davidson

     21,405        770  

Hasbro

     4,401        522  

Hilton Worldwide Holdings

     93,198        8,678  

Home Depot

     59,402        13,783  

Kohl’s

     40,343        2,003  

L Brands

     29,291        574  

Las Vegas Sands

     67,580        3,903  

Lear

     21,512        2,536  

Leggett & Platt

     4,746        194  

Lennar, Cl A

     10,795        603  

LKQ*

     11,700        368  

Lowe’s

     59,254        6,516  

Lululemon Athletica*

     7,544        1,452  

Macy’s

     10,642        165  

Marriott International, Cl A

     10,423        1,296  

McDonald’s

     45,771        9,828  

MGM Resorts International

     18,900        524  

Mohawk Industries*

     2,301        286  

Newell Brands

     15,100        283  

NIKE, Cl B

     130,975              12,301  

Nordstrom

     3,749        126  

Norwegian Cruise Line Holdings*

     104,103        5,389  

NVR*

     696        2,587  

O’Reilly Automotive*

     8,170        3,256  

PulteGroup

     110,785        4,049  

PVH

     5,282        466  

Qurate Retail*

     27,378        282  

Ralph Lauren, Cl A

     11,319        1,081  

Restaurant Brands International

     57,314        4,077  

Ross Stores

     89,988        9,885  

Royal Caribbean Cruises

     6,492        703  

ServiceMaster Global Holdings*

     7,645        427  

Sinclair Broadcast Group, Cl A

     86,047        3,678  
 


  KP Large Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares

 

    

Value  

(000)  

 

 

Skechers U.S.A., Cl A*

     59,292      $ 2,215  

Starbucks

     112,449        9,943  

Tapestry

     62,770        1,635  

Target

     31,039        3,318  

Thor Industries

     3,850        218  

Tiffany

     4,092        379  

TJX

     86,224        4,806  

Toll Brothers

     7,107        292  

Tractor Supply

     16,652        1,506  

Ulta Beauty*

     7,578        1,899  

Under Armour, Cl A*

     6,400        128  

Under Armour, Cl C*

     6,520        118  

Urban Outfitters*

     55,049        1,546  

Vail Resorts

     4,925        1,121  

VF

     12,214        1,087  

Whirlpool

     6,248        989  

Wynn Resorts

     3,691        401  

Yum! Brands

     11,559        1,311  
     

 

 

 
       

 

      306,378

 

 

 

     

 

 

 

Consumer Staples – 6.4%

     

Altria Group

     119,573        4,890  

Archer-Daniels-Midland

     108,214        4,444  

Brown-Forman, Cl B

     6,405        402  

Bunge

     53,395        3,023  

Campbell Soup

     6,913        324  

Church & Dwight

     35,051        2,637  

Clorox

     4,825        733  

Coca-Cola

     176,867        9,629  

Colgate-Palmolive

     80,815        5,941  

Conagra Brands

     18,342        563  

Constellation Brands, Cl A

     6,262        1,298  

Costco Wholesale

     17,867        5,148  

Coty, Cl A

     16,399        172  

Danone

     29,501        2,599  

Diageo

     162,811        6,672  

Estee Lauder, Cl A

     20,956        4,169  

General Mills

     45,539        2,510  

Hershey

     5,161        800  

Hormel Foods

     10,470        458  

Ingredion

     14,950        1,222  

JM Smucker

     23,475        2,583  

Kellogg

     9,315        599  

Kimberly-Clark

     45,060        6,401  

Kraft Heinz

     23,577        659  

Kroger

     65,003        1,676  

Lamb Weston Holdings

     5,600        407  

McCormick

     4,630        724  

Molson Coors Brewing, Cl B

     37,405        2,151  

Mondelez International, Cl A

     53,917        2,983  

Monster Beverage*

     96,658        5,612  

Description

 

  

Shares

 

    

Value  

(000)  

 

 

Nestle

     86,752      $ 9,412  

PepsiCo

     112,001        15,355  

Philip Morris International

     182,929        13,890  

Pilgrim’s Pride*

     13,130        421  

Post Holdings*

     15,052        1,593  

Procter & Gamble

     260,964        32,459  

Reckitt Benckiser Group

     29,271        2,283  

Sprouts Farmers Market*

     9,313        180  

Sysco

     64,078        5,088  

Tyson Foods, Cl A

     110,815        9,545  

Walgreens Boots Alliance

     46,768        2,587  

Walmart

     153,636        18,233  
     

 

 

 
       

 

    192,475

 

 

 

     

 

 

 

Energy – 2.7%

     

Apache

     13,496        345  

Baker Hughes a GE, Cl A

     19,523        453  

Cabot Oil & Gas

     15,334        269  

Chevron

     148,317        17,590  

Cimarex Energy

     3,836        184  

Concho Resources

     42,200        2,865  

ConocoPhillips

     119,502        6,809  

Devon Energy

     60,387        1,453  

Diamondback Energy

     6,561        590  

EOG Resources

     60,445        4,486  

Exxon Mobil

     257,671        18,194  

Halliburton

     32,836        619  

Helmerich & Payne

     3,887        156  

Hess

     9,396        568  

HollyFrontier

     6,050        325  

Kinder Morgan

     72,523        1,495  

Marathon Oil

     164,340        2,016  

Marathon Petroleum

     25,096        1,525  

National Oilwell Varco

     13,846        294  

Noble Energy

     18,116        407  

Occidental Petroleum

     33,915        1,508  

ONEOK

     15,660        1,154  

Phillips 66

     22,506        2,305  

Pioneer Natural Resources

     16,698        2,100  

Range Resources

     31,082        119  

Schlumberger

     180,001        6,151  

Suncor Energy

     74,666        2,355  

TechnipFMC

     16,012        387  

Transocean*

     27,635        124  

Valero Energy

     35,657        3,039  

Whiting Petroleum*

     46,112        370  

Williams

     45,561        1,096  
     

 

 

 
       

 

81,351

 

 

 

     

 

 

 

Financials – 14.0%

     

Affiliated Managers Group

     1,800        150  

Aflac

     67,643        3,539  

Allstate

     80,241        8,721  
 


  KP Large Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares

 

    

Value  
(000)  

 

 

American Express

     84,311      $        9,972  

American Financial Group

     17,787        1,918  

American International Group

     32,856        1,830  

Ameriprise Financial

     20,536        3,021  

Aon

     72,128        13,962  

Arch Capital Group*

     25,569        1,073  

Arthur J Gallagher

     6,800        609  

Associated Banc-Corp

     46,785        947  

Assurant

     2,327        293  

Assured Guaranty

     29,982        1,333  

Athene Holding, Cl A*

     30,274        1,273  

Axis Capital Holdings

     8,781        586  

Bank of America

     531,778        15,512  

Bank of New York Mellon

     128,761        5,821  

BB&T

     176,535        9,422  

Berkshire Hathaway, Cl B*

     135,531        28,193  

BlackRock, Cl A

     15,058        6,711  

Capital One Financial

     65,595        5,968  

Cboe Global Markets

     4,200        483  

Charles Schwab

     218,299        9,132  

Chubb

     86,647        13,988  

Cincinnati Financial

     5,610        655  

CIT Group

     4,837        219  

Citigroup

     251,625        17,382  

Citizens Financial Group

     85,215        3,014  

CME Group, Cl A

     16,222        3,428  

CNA Financial

     14,521        715  

Comerica

     43,493        2,870  

Discover Financial Services

     44,076        3,574  

E*TRADE Financial

     9,375        410  

Everest Re Group

     10,445        2,779  

Fidelity National Financial

     21,440        952  

Fifth Third Bancorp

     136,432        3,736  

First American Financial

     20,918        1,234  

First Citizens BancShares, Cl A

     319        150  

First Republic Bank

     6,100        590  

Franklin Resources

     10,632        307  

Globe Life

     3,887        372  

Goldman Sachs Group

     52,214        10,820  

Hanover Insurance Group

     12,160        1,648  

Hartford Financial Services Group

     48,497        2,939  

Huntington Bancshares

     40,076        572  

Intercontinental Exchange

     85,695        7,907  

Invesco

     14,873        252  

Janus Henderson Group

     8,437        190  

JPMorgan Chase

     380,351        44,764  

KeyCorp

     37,134        663  

Lincoln National

     18,641        1,124  

Loews

     9,833        506  

LPL Financial Holdings

     19,844        1,625  

M&T Bank

     5,124        809  

MarketAxess Holdings

     1,400        459  

Description

 

  

Shares

 

    

Value  

(000)  

 

 

Marsh & McLennan

     75,026      $ 7,506  

Mercury General

     28,831        1,611  

MetLife

     224,189        10,573  

MGIC Investment

     389,455        4,899  

Moody’s

     29,702        6,084  

Morgan Stanley

     48,303        2,061  

Morningstar

     588        86  

MSCI, Cl A

     3,200        697  

Nasdaq

     65,782        6,536  

Northern Trust

     8,192        765  

Old Republic International

     8,671        204  

PacWest Bancorp

     4,991        181  

People’s United Financial

     14,854        232  

PNC Financial Services Group

     68,720        9,632  

Popular

     98,338        5,318  

Principal Financial Group

     9,877        564  

Progressive

     79,333        6,129  

Prudential Financial

     16,786        1,510  

Raymond James Financial

     4,600        379  

Regions Financial

     167,188        2,645  

Reinsurance Group of America, Cl A

     21,882        3,499  

S&P Global

     12,822        3,141  

Santander Consumer USA Holdings

     36,998        944  

State Street

     73,597        4,356  

SunTrust Banks

     57,162        3,933  

SVB Financial Group*

     1,900        397  

Synchrony Financial

     233,099        7,946  

T Rowe Price Group

     31,685        3,620  

TD Ameritrade Holding

     61,953        2,893  

Travelers

     96,986        14,421  

Unum Group

     23,485        698  

US Bancorp

     261,683        14,482  

Voya Financial

     7,261        395  

Wells Fargo

     582,428        29,378  

Willis Towers Watson

     4,822        931  

Wintrust Financial

     3,332        215  

Zions Bancorp

     44,567        1,984  
     

 

 

 
       

 

      421,967

 

 

 

     

 

 

 

Health Care – 13.8%

     

Abbott Laboratories

     231,868        19,400  

AbbVie

     83,527        6,325  

ABIOMED*

     1,700        302  

Agilent Technologies

     76,999        5,900  

Alexion Pharmaceuticals*

     42,099        4,123  

Align Technology*

     14,115        2,554  

Alkermes*

     7,758        151  

Allergan

     33,916        5,708  

AmerisourceBergen, Cl A

     6,001        494  

Amgen

     23,000        4,451  

Anthem

     21,287        5,111  
 


  KP Large Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares

 

    

Value  

(000)  

 

 

Avantor*

     177,672      $ 2,612  

Baxter International

     84,127        7,359  

Becton Dickinson

     48,299        12,218  

Biogen*

     34,561        8,046  

Boston Scientific*

     52,128        2,121  

Bristol-Myers Squibb

     90,802        4,605  

Cardinal Health

     77,453        3,655  

Celgene*

     38,891        3,862  

Centene*

     56,521        2,445  

Cerner

     12,249        835  

Cigna

     132,293        20,081  

Cooper

     1,900        564  

CVS Health

     49,001        3,090  

Danaher

     101,858                14,711  

DaVita*

     4,848        277  

DENTSPLY SIRONA

     18,358        979  

Edwards Lifesciences*

     7,782        1,711  

Eli Lilly

     50,460        5,643  

Exelixis*

     208,992        3,696  

Gilead Sciences

     103,338        6,550  

HCA Healthcare

     73,973        8,908  

Henry Schein*

     5,353        340  

Hill-Rom Holdings

     16,331        1,718  

Hologic*

     46,224        2,334  

Humana*

     5,073        1,297  

IDEXX Laboratories*

     3,212        873  

Illumina*

     5,560        1,691  

Incyte*

     29,336        2,178  

Integra LifeSciences Holdings*

     26,347        1,583  

Intuitive Surgical*

     23,187        12,519  

IQVIA Holdings*

     6,900        1,031  

Johnson & Johnson

     332,368        43,002  

Laboratory Corp of America Holdings*

     3,803        639  

Masimo*

     19,036        2,832  

McKesson

     73,100        9,990  

MEDNAX*

     37,983        859  

Medtronic

     312,704        33,966  

Merck

     235,417        19,817  

Mettler-Toledo International*

     900        634  

Mylan*

     100,548        1,989  

Nektar Therapeutics, Cl A*

     5,900        107  

Novartis

     13,733        1,191  

PerkinElmer

     4,296        366  

Perrigo

     4,632        259  

Pfizer

     646,641        23,234  

Quest Diagnostics

     5,062        542  

Regeneron Pharmaceuticals*

     2,907        806  

ResMed

     5,374        726  

Roche Holding

     7,827        2,278  

Stryker

     68,374        14,789  

Teleflex

     1,700        578  

Description

 

  

Shares

 

    

Value  

(000)  

 

 

Thermo Fisher Scientific

     70,046      $ 20,402  

UnitedHealth Group

     77,574        16,858  

Universal Health Services, Cl B

     3,100        461  

Varian Medical Systems*

     5,100        607  

Veeva Systems, Cl A*

     12,927        1,974  

Vertex Pharmaceuticals*

     70,557        11,954  

Waters*

     2,659        594  

WellCare Health Plans*

     10,563        2,738  

Zimmer Biomet Holdings

     31,876        4,376  

Zoetis, Cl A

     17,972        2,239  
     

 

 

 
       

 

      414,858

 

 

 

     

 

 

 

Industrials – 10.4%

     

3M

     49,182        8,086  

Acuity Brands

     6,372        859  

AGCO

     4,946        374  

Alaska Air Group

     4,400        286  

Allegion

     3,556        369  

Allison Transmission Holdings

     44,297        2,084  

American Airlines Group

     40,513        1,093  

AMETEK

     8,648        794  

AO Smith

     5,200        248  

Arconic

     16,255        423  

Armstrong World Industries

     16,690        1,614  

Boeing

     122,945        46,777  

Canadian National Railway

     31,886        2,865  

Caterpillar

     49,697        6,277  

CH Robinson Worldwide

     5,164        438  

Cintas

     3,176        851  

Clean Harbors*

     8,516        657  

Copa Holdings, Cl A

     1,631        161  

Copart*

     7,600        611  

CoStar Group*

     4,470        2,652  

CSX

     29,104        2,016  

Cummins

     40,390        6,570  

Curtiss-Wright

     1,286        166  

Deere

     11,967        2,019  

Delta Air Lines

     105,796        6,094  

Dover

     5,363        534  

Eaton

     126,941        10,555  

Emerson Electric

     22,918        1,532  

Equifax

     38,302        5,388  

Expeditors International of Washington

     6,458        480  

Fastenal

     21,818        713  

FedEx

     8,966        1,305  

Flowserve

     4,743        222  

Fortive

     37,278        2,556  

Fortune Brands Home & Security

     5,200        284  

Gardner Denver Holdings*

     45,538        1,288  

General Dynamics

     8,868        1,620  

General Electric

     329,238        2,943  
 


  KP Large Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares

 

    

Value  

(000)  

 

 

HD Supply Holdings*

     20,146      $ 789  

Honeywell International

     145,180        24,564  

Hubbell, Cl B

     10,532        1,384  

Huntington Ingalls Industries

     9,050        1,917  

IDEX

     11,304        1,853  

IHS Markit*

     15,130        1,012  

Illinois Tool Works

     64,332        10,067  

Ingersoll-Rand

     69,905        8,613  

ITT

     41,270        2,525  

Jacobs Engineering Group

     4,330        396  

JB Hunt Transport Services

     25,164        2,784  

JetBlue Airways*

     14,383        241  

Johnson Controls International

     222,080        9,747  

Kansas City Southern

     3,692        491  

L3Harris Technologies

     32,410        6,762  

Lockheed Martin

     35,071        13,680  

Masco

     33,051        1,378  

Nielsen Holdings

     13,000        276  

Norfolk Southern

     10,066        1,808  

Northrop Grumman

     53,706                20,128  

nVent Electric

     27,492        606  

Oshkosh

     43,553        3,301  

PACCAR

     49,017        3,432  

Parker-Hannifin

     19,214        3,470  

Pentair

     27,665        1,046  

Quanta Services

     5,476        207  

Raytheon

     15,308        3,003  

Regal Beloit

     20,237        1,474  

Republic Services, Cl A

     8,171        707  

Robert Half International

     8,653        482  

Rockwell Automation

     4,542        749  

Rollins

     5,250        179  

Roper Technologies

     3,873        1,381  

Ryder System

     3,796        197  

Snap-on

     2,029        318  

Southwest Airlines

     75,442        4,075  

Spirit AeroSystems Holdings, Cl A

     45,520        3,744  

Stanley Black & Decker

     44,359        6,406  

Teledyne Technologies*

     8,252        2,657  

Textron

     8,814        432  

Timken

     3,609        157  

TransDigm Group*

     1,900        989  

Uber Technologies*

     699        21  

Union Pacific

     66,766        10,815  

United Airlines Holdings*

     63,239        5,591  

United Parcel Service, Cl B

     26,350        3,157  

United Rentals*

     2,929        365  

United Technologies

     73,407        10,022  

Verisk Analytics, Cl A

     6,200        980  

Wabtec

     6,890        495  

Waste Management

     53,212        6,119  

WESCO International*

     15,818        756  

Description

 

  

Shares

 

    

Value  

(000)  

 

 

WW Grainger

     1,665      $ 495  

Xylem

     6,722        535  
     

 

 

 
       

 

      312,582

 

 

 

     

 

 

 

Information Technology – 21.6%

     

Accenture, Cl A

     104,993        20,195  

Adobe*

     45,924        12,686  

Advanced Micro Devices*

     41,000        1,189  

Akamai Technologies*

     48,949        4,473  

Alliance Data Systems

     4,145        531  

Amdocs

     38,767        2,563  

Amphenol, Cl A

     11,352        1,095  

Analog Devices

     72,243        8,072  

ANSYS*

     3,134        694  

Apple

     380,139        85,140  

Applied Materials

     170,169        8,491  

Arista Networks*

     2,000        478  

Arrow Electronics*

     12,487        931  

ASML Holding, Cl G

     27,533        6,840  

Aspen Technology*

     15,203        1,871  

Atlassian, Cl A*

     3,620        454  

Autodesk*

     9,749        1,440  

Automatic Data Processing

     16,468        2,658  

Avnet

     40,776        1,814  

Black Knight*

     27,246        1,664  

Booz Allen Hamilton Holding, Cl A

     30,757        2,184  

Broadcom

     27,726        7,654  

Broadridge Financial Solutions

     6,667        830  

CACI International, Cl A*

     5,960        1,378  

Cadence Design Systems*

     75,707        5,003  

CDW

     54,850        6,760  

Ciena*

     38,727        1,519  

Cisco Systems

     345,722        17,082  

Citrix Systems

     4,742        458  

Cognizant Technology Solutions, Cl A

     88,382        5,326  

Corning

     29,423        839  

Dell Technologies, Cl C*

     12,574        652  

Dropbox, Cl A*

     72,224        1,457  

DXC Technology

     107,194        3,162  

EPAM Systems*

     2,954        539  

F5 Networks*

     8,904        1,250  

Fidelity National Information Services

     116,863        15,515  

Fiserv*

     94,232        9,761  

FleetCor Technologies*

     3,203        919  

FLIR Systems

     5,047        265  

Fortinet*

     56,406        4,330  

Gartner*

     3,367        481  

Global Payments

     96,580        15,356  

Hewlett Packard Enterprise

     49,545        752  

HP

     246,348        4,661  

Intel

     328,877        16,947  
 


  KP Large Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares

 

    

Value  

(000)  

 

 

International Business Machines

     71,148      $ 10,346  

Intuit

     95,359        25,360  

IPG Photonics*

     1,300        176  

Jabil

     15,202        544  

Jack Henry & Associates

     2,800        409  

Juniper Networks

     13,080        324  

Keysight Technologies*

     29,737        2,892  

KLA

     5,976        953  

Lam Research

     21,614        4,995  

Leidos Holdings

     5,300        455  

Manhattan Associates*

     10,316        832  

Marvell Technology Group

     165,700        4,138  

Mastercard, Cl A

     70,876        19,248  

Maxim Integrated Products

     40,002        2,316  

Microchip Technology

     8,946        831  

Micron Technology*

     123,999        5,313  

Microsoft

     822,795        114,393  

Motorola Solutions

     6,265        1,068  

National Instruments

     14,745        619  

NetApp

     9,094        478  

NVIDIA

     22,966        3,998  

NXP Semiconductors

     19,974        2,180  

Oracle

     183,627                10,105  

Paychex

     12,167        1,007  

PayPal Holdings*

     180,149        18,662  

Perspecta

     40,912        1,069  

Proofpoint*

     14,841        1,915  

Qorvo*

     27,388        2,031  

QUALCOMM

     107,034        8,165  

salesforce.com*

     91,164        13,532  

Seagate Technology

     9,669        520  

ServiceNow*

     16,653        4,227  

Skyworks Solutions

     31,768        2,518  

Slack Technologies, Cl A*

     33,437        793  

Splunk*

     49,759        5,865  

Symantec

     29,510        697  

Synopsys*

     21,977        3,016  

TE Connectivity

     12,715        1,185  

Temenos ADR

     17,700        2,969  

Texas Instruments

     148,510        19,193  

VeriSign*

     19,084        3,600  

Visa, Cl A

     237,167        40,795  

VMware, Cl A*

     43,195        6,482  

Western Digital

     11,001        656  

Western Union

     15,563        361  

Workday, Cl A*

     22,855        3,884  

Xerox Holdings

     68,867        2,060  

Xilinx

     9,619        922  

Zebra Technologies, Cl A*

     8,984        1,854  

Description

 

  

Shares

 

    

Value  

(000)  

 

 

Zoom Video Communications, Cl A*

     1,306      $ 99  
     

 

 

 
       

 

      648,409

 

 

 

     

 

 

 

Materials – 2.0%

     

Air Products & Chemicals

     8,368        1,856  

Albemarle

     4,100        285  

Amcor

     59,740        582  

Avery Dennison

     3,068        348  

Ball

     12,504        910  

Berry Global Group*

     42,648        1,675  

Cabot

     11,408        517  

Celanese, Cl A

     6,162        754  

CF Industries Holdings

     44,373        2,183  

Corteva

     50,523        1,415  

Domtar

     30,549        1,094  

Dow

     28,152        1,341  

DuPont de Nemours

     83,216        5,934  

Eastman Chemical

     16,928        1,250  

Ecolab

     9,467        1,875  

FMC

     4,832        424  

Freeport-McMoRan

     53,048        508  

International Flavors & Fragrances

     3,942        484  

International Paper

     39,898        1,668  

Linde

     20,508        3,973  

LyondellBasell Industries, Cl A

     40,325        3,608  

Martin Marietta Materials

     2,400        658  

Mosaic

     12,681        260  

NewMarket

     1,053        497  

Newmont Goldcorp

     30,822        1,169  

Nucor

     11,642        593  

Packaging Corp of America

     3,682        391  

PPG Industries

     91,482        10,841  

Royal Gold

     13,558        1,670  

Sealed Air

     5,942        247  

Sherwin-Williams

     18,249        10,035  

Steel Dynamics

     51,676        1,540  

Vulcan Materials

     5,027        760  

Westrock

     9,278        338  
     

 

 

 
       

 

61,683

 

 

 

     

 

 

 

Real Estate – 2.1%

     

Alexandria Real Estate Equities‡

     4,300        662  

American Tower, Cl A

     29,549        6,534  

Apartment Investment & Management, Cl A‡

     5,556        290  

AvalonBay Communities‡

     16,034        3,453  

Boston Properties‡

     20,276        2,629  

Camden Property Trust‡

     15,573        1,729  

CBRE Group, Cl A*

     48,011        2,545  

Corporate Office Properties Trust‡

     52,163        1,553  

Cousins Properties‡

     40,308        1,515  

Crown Castle International‡

     15,573        2,165  
 


  KP Large Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares

 

    

Value  

(000)  

 

 

Digital Realty Trust‡

     7,800      $ 1,013  

Douglas Emmett‡

     39,309        1,684  

Duke Realty‡

     66,095        2,245  

Equinix

     3,171        1,829  

Equity Commonwealth‡ *

     23,874        818  

Equity LifeStyle Properties‡

     13,109        1,751  

Equity Residential‡

     19,246        1,660  

Essex Property Trust‡

     2,432        794  

Extra Space Storage‡

     4,800        561  

Federal Realty Investment Trust‡

     2,700        368  

Gaming and Leisure Properties‡

     44,178        1,689  

HCP‡

     17,595        627  

Host Hotels & Resorts‡

     28,018        484  

Iron Mountain‡

     10,286        333  

Kimco Realty‡

     15,245        318  

Macerich‡

     3,745        118  

Medical Properties Trust‡

     87,990        1,721  

Mid-America Apartment Communities‡

     4,300        559  

Outfront Media‡

     22,645        629  

Park Hotels & Resorts‡

     48,883        1,221  

Prologis‡

     53,493        4,559  

Public Storage‡

     14,376        3,526  

Realty Income‡

     11,900        912  

Regency Centers‡

     6,300        438  

Retail Properties of America, Cl A‡

     24,010        296  

SBA Communications, Cl A‡

     4,200        1,013  

Simon Property Group‡

     11,703        1,822  

SL Green Realty‡

     3,300        270  

UDR‡

     10,400        504  

Ventas‡

     13,813        1,009  

Vornado Realty Trust‡

     29,056        1,850  

Welltower‡

     15,303        1,387  

Weyerhaeuser‡

     28,082        778  
     

 

 

 
       

 

        61,861

 

 

 

     

 

 

 

Utilities – 4.2%

     

AES

     25,196        412  

Alliant Energy

     8,600        464  

Ameren

     15,748        1,261  

American Electric Power

     94,808        8,883  

American Water Works

     6,782        842  

Atmos Energy

     4,400        501  

CenterPoint Energy

     18,547        560  

CMS Energy

     10,664        682  

Consolidated Edison

     100,494        9,494  

Dominion Energy

     31,030        2,515  

DTE Energy

     31,858        4,236  

Duke Energy

     149,366        14,318  

Edison International

     13,268        1,001  

Entergy

     7,254        851  

Evergy

     9,300        619  

Description

 

  

Shares

 

    

Value  

(000)  

 

 

Eversource Energy

     21,229      $ 1,814  

Exelon

     218,375        10,550  

FirstEnergy

     169,533        8,177  

IDACORP

     9,145        1,030  

NextEra Energy

     47,499        11,067  

NiSource

     14,146        423  

NRG Energy

     10,164        402  

OGE Energy

     53,021        2,406  

Pinnacle West Capital

     85,877        8,336  

PPL

     26,999        850  

Public Service Enterprise Group

     83,526        5,185  

Sempra Energy

     35,027        5,170  

Southern

     271,577        16,775  

Vistra Energy

     28,315        757  

WEC Energy Group

     11,720        1,115  

Xcel Energy

     95,070        6,169  
     

 

 

 
       

 

      126,865

 

 

 

     

 

 

 

Total Common Stock
(Cost $2,461,076) (000)

       

 

2,943,309

 

 

 

     

 

 

 

Preferred Stock — 0.2%

     

Air BNB, Ser D* (A)(B)

     11,406        1,290  

Air BNB, Ser E* (A)(B)

     6,939        785  

Aurora Innovation(B)

     42,480        393  

Magic Leap* (A)(B)

     5,553        135  

Magic Leap, Ser C* (A)(B)

     13,521        328  

Uber Technologies(B)

     29,890        865  

Uipath Inc.(B)

     17,452       

 

687

 

 

 

     

 

 

 

Total Preferred Stock
(Cost $3,770) (000)

       

 

4,483

 

 

 

     

 

 

 

Short-Term Investment — 1.8%

     

State Street Institutional Treasury Money Market Fund, Cl Premier, 1.650% (C)

     55,090,707        55,091  
     

 

 

 

Total Short-Term Investment
(Cost $55,091) (000)

       

 

55,091

 

 

 

     

 

 

 

Total Investments In Securities — 99.9%
(Cost $2,519,937) (000)

      $

 

3,002,883

 

 

 

     

 

 

 

Percentages are based on Net Assets of $3,005,390 (000).

A list of the open futures contracts held by the Fund at September 30, 2019, is as follows (000):

Type of

Contract

  Number of
Contracts
Long
   

Expiration

Date

    Notional
Amount
    Value     Unrealized
(Depreciation)
 
S&P 500          

Index E-MINI

    253       Dec-2019     $ 37,934     $  37,678       $ (256)    
     

 

 

   

 

 

   

 

 

 
      $ 37,934     $  37,678       $ (256)    
     

 

 

   

 

 

   

 

 

 
 


KP Large Cap Equity Fund

Schedule of Investments

September 30, 2019 (unaudited)

 

*

Non-income producing security.

Real Estate Investment Trust

(A)

Level 3 security is fair valued using methods determined in good faith by the Fair Value Committee of the Board of Trustees. The total value of such securities as of September 30, 2019, was $2,538 (000) and represented 0.1% of net assets.

(B)

There is currently no rate available.

(C)

The rate reported is the 7-day effective yield as of September 30, 2019.

ADR — American Depositary Receipt

Cl — Class

S&P — Standard & Poor’s

Ser — Series

The following is a list of the level of inputs used as of September 30, 2019, in valuing the Fund’s investments and other financial instruments carried at value (000):

 

Investments in

    Securities

      Level 1             Level 2             Level 3^             Total      

Common Stock

  $ 2,943,309      $ —       $ —       $ 2,943,309   

Preferred Stock

    —        1,945        2,538        4,483   

Short-Term Investment

    55,091        —        —        55,091   
 

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments in Securities

 

  $

 

2,998,400 

 

 

 

  $

 

1,945 

 

 

 

  $

 

2,538 

 

 

 

  $

 

  3,002,883 

 

 

 

 

 

 

   

 

 

   

 

 

   

 

 

 

Other Financial

Instruments

      Level 1       Level 2         Level 3           Total    

 

 

Futures Contracts**

       

Unrealized Depreciation

  $ (256)     $ —      $ —       $ (256)  
 

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments

 

  $

 

(256)

 

 

 

  $

 

— 

 

 

 

  $

 

—  

 

 

 

  $

 

(256)

 

 

 

 

 

 

   

 

 

   

 

 

   

 

 

 

** Futures contracts are valued at the unrealized depreciation on the instruments.

^ A reconciliation of Level 3 investments is presented when the Fund has a significant amount of Level 3 investments in at the beginning and/or end of the period in relation to net assets.

For the period ended September 30, 2019, there were no transfers between Level 1 and Level 2 assets and liabilities. For the period ended September 30, 2019, there were no transfers in and out of Level 3. All transfers, if any, are recognized by the Fund at the end of the period.

For the period ended September 30, 2019, there have been no changes to the Fund’s fair value methodologies.

For more information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.

Amounts designated as “-“ are $0 or have been rounded to $0.

 


  KP Small Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

 

 

 SCHEDULE OF INVESTMENTS

 

     

 

Description

 

   Shares        Value  
(000)  
 

Common Stock — 95.8%

     

Communication Services – 1.6%

     

AH Belo, Cl A

     197,880      $ 742  

ATN International

     25,794        1,506  

Bandwidth, Cl A*

     23,225        1,512  

Beasley Broadcast Group, Cl A

     132,800        412  

Care.com*

     8,983        94  

Cincinnati Bell*

     16,333        83  

Cogent Communications Holdings

     14,060        775  

Consolidated Communications Holdings*

     23,015        110  

EW Scripps, Cl A

     68,394        908  

Frontier Communications*

     35,229        31  

Gannett

     37,928        407  

Iridium Communications*

     32,361        689  

John Wiley & Sons, Cl A

     13,336        586  

Marcus

     7,270        269  

Meredith

     44,328        1,625  

New Media Investment Group

     17,520        154  

ORBCOMM*

     205,456        978  

QuinStreet*

     15,283        192  

Scholastic

     10,283        388  

Sea ADR*

     43,882        1,358  

Spok Holdings

     5,700        68  

TechTarget*

     7,216        162  

Vonage Holdings*

     213,335        2,411  

World Wrestling Entertainment,

     

Cl A

     24,009        1,708  

Zynga, Cl A*

     558,172        3,249  
     

 

 

 
       

 

     20,417

 

 

 

     

 

 

 

Consumer Discretionary – 13.5%

     

1-800-Flowers.com, Cl A*

     143,688        2,126  

Aaron’s

     33,965        2,183  

Abercrombie & Fitch, Cl A

     21,023        328  

American Axle & Manufacturing Holdings*

     37,199        306  

American Public Education*

     5,586        125  

Asbury Automotive Group*

     6,583        674  

Aspen Group*

     431,845        2,241  

Barnes & Noble Education*

     11,026        34  

Big Lots

     106,439        2,608  

BJ’s Restaurants

     6,797        264  

Bloomin’ Brands

     221,202        4,187  

Boot Barn Holdings*

     39,801        1,389  

Brunswick

     121,991        6,358  

Buckle

     9,715        200  

Burlington Stores*

     5,757        1,150  

Caleres

     14,030        328  

Callaway Golf

     115,436        2,241  

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

Career Education*

     23,187      $ 368  

CarMax*

     14,390        1,266  

Carrols Restaurant Group*

     349,639        2,898  

Carter’s

     30,254                2,759  

Cato, Cl A

     7,745        136  

Cavco Industries*

     32,913        6,322  

Century Communities*

     69,787        2,138  

Chegg*

     53,253        1,595  

Chico’s FAS

     39,295        158  

Children’s Place

     5,363        413  

Chuy’s Holdings*

     12,064        299  

Conn’s*

     6,300        157  

Cooper Tire & Rubber

     233,271        6,093  

Cooper-Standard Holdings*

     5,412        221  

Core-Mark Holding

     15,456        496  

Crocs*

     20,878        580  

Dana

     242,043        3,495  

Dave & Buster’s Entertainment

     116,417        4,534  

Designer Brands, Cl A

     104,090        1,782  

Dine Brands Global

     5,796        440  

Dorman Products*

     9,663        769  

El Pollo Loco Holdings*

     6,956        76  

Ethan Allen Interiors

     8,234        157  

Everi Holdings*

     134,461        1,138  

Express*

     21,547        74  

Extended Stay America

     222,116        3,252  

Fiesta Restaurant Group*

     7,920        83  

Five Below*

     23,820        3,004  

Floor & Decor Holdings, Cl A*

     16,681        853  

Fossil Group*

     15,187        190  

Fox Factory Holding*

     31,464        1,958  

frontdoor*

     29,690        1,442  

GameStop, Cl A*

     29,525        163  

Garrett Motion*

     24,702        246  

Genesco*

     5,254        210  

Gentherm*

     11,243        462  

G-III Apparel Group*

     92,045        2,372  

Golden Entertainment*

     182,614        2,427  

Group 1 Automotive

     5,947        549  

Guess?

     14,151        262  

Habit Restaurants, Cl A*

     441,131        3,855  

Haverty Furniture

     6,212        126  

Helen of Troy*

     11,535        1,819  

Hibbett Sports*

     6,084        139  

Installed Building Products*

     7,110        408  

iRobot*

     9,458        583  

Jack in the Box

     21,095        1,922  

JC Penney*

     105,754        94  

Kontoor Brands

     15,658        550  

La-Z-Boy, Cl Z

     15,726        528  

LCI Industries

     8,325        765  

LGI Homes*

     6,351        529  
 


  KP Small Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  

(000)  

 

 

Liquidity Services*

     52,944      $ 392  

Lithia Motors, Cl A

     23,960        3,172  

Lovesac*

     120,614        2,252  

Lululemon Athletica*

     14,183        2,731  

Lumber Liquidators Holdings*

     9,359        92  

M/I Homes*

     9,355        352  

MarineMax*

     7,634        118  

MDC Holdings

     181,608               7,827  

Meritage Homes*

     12,109        852  

Michaels*

     26,900        263  

Modine Manufacturing*

     225,481        2,564  

Monarch Casino & Resort*

     3,994        167  

Monro

     67,906        5,365  

Motorcar Parts of America*

     6,244        106  

Movado Group

     5,476        136  

Office Depot

     180,957        318  

Oxford Industries

     5,690        408  

Papa John’s International

     124,283        6,506  

PetMed Express

     6,500        117  

Planet Fitness, Cl A*

     26,695        1,545  

Red Robin Gourmet Burgers*

     4,320        144  

Regis*

     8,137        165  

Rent-A-Center, Cl A

     16,203        418  

RH*

     5,440        929  

Roku, Cl A*

     11,067        1,126  

Ruth’s Hospitality Group

     9,380        191  

SeaWorld Entertainment*

     35,945        946  

Shake Shack, Cl A*

     10,195        1,000  

Shoe Carnival

     3,168        103  

Shutterstock*

     6,149        222  

Signet Jewelers

     17,400        292  

Skyline Champion*

     60,575        1,823  

Sleep Number*

     9,999        413  

Sonic Automotive, Cl A

     8,025        252  

Sonos*

     86,382        1,158  

Stamps.com*

     5,408        403  

Standard Motor Products

     6,636        322  

Steven Madden

     26,339        943  

Strategic Education

     7,365        1,001  

Sturm Ruger

     74,045        3,092  

Tailored Brands*

     15,981        70  

Taylor Morrison Home, Cl A*

     69,625        1,806  

Tile Shop Holdings

     12,601        40  

TopBuild*

     26,999        2,604  

Tupperware Brands

     16,200        257  

Unifi*

     4,579        100  

Universal Electronics*

     4,591        234  

Vera Bradley*

     6,862        69  

Vista Outdoor*

     19,201        119  

Vitamin Shoppe*

     4,654        30  

Wendy’s

     152,430        3,046  

William Lyon Homes, Cl A*

     11,148        227  

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

Wingstop, Cl A

     9,883      $ 863  

Winnebago Industries

     133,084        5,104  

Wolverine World Wide

     47,510        1,343  

Wyndham Destinations

     148,310        6,825  

Wyndham Hotels & Resorts

     29,580        1,530  

Zumiez*

     6,373        202  
     

 

 

 
       

 

   168,592

 

 

 

     

 

 

 

Consumer Staples – 5.1%

     

Andersons

     217,955        4,889  

Avon Products*

     149,463        658  

B&G Foods

     22,114        418  

Boston Beer, Cl A*

     2,089        761  

Calavo Growers

     5,280        503  

Cal-Maine Foods*

     10,247        409  

Casey’s General Stores

     32,684        5,267  

Central Garden & Pet*

     3,267        95  

Central Garden & Pet, Cl A*

     13,700        380  

Chefs’ Warehouse*

     52,008        2,097  

Church & Dwight

     33,662        2,533  

Coca-Cola Consolidated

     1,550        471  

Darling Ingredients*

     320,477        6,131  

Dean Foods*

     28,659        33  

elf Beauty*

     77,960        1,365  

Energizer Holdings

     144,025        6,277  

Fresh Del Monte Produce

     10,200        348  

Freshpet*

     29,630        1,475  

Grocery Outlet Holding*

     16,680        578  

Herbalife Nutrition*

     42,542        1,611  

Hostess Brands, Cl A*

     54,305        759  

Inter Parfums

     5,859        410  

J&J Snack Foods

     5,062        972  

John B Sanfilippo & Son

     2,899        280  

Landec*

     318,499        3,462  

Medifast

     4,026        417  

MGP Ingredients

     4,180        208  

National Beverage*

     4,000        177  

Nu Skin Enterprises, Cl A

     30,950        1,316  

Performance Food Group*

     61,061        2,809  

PriceSmart

     7,400        526  

Sanderson Farms

     48,420        7,327  

Seneca Foods, Cl A*

     2,135        67  

Simply Good Foods*

     65,370        1,895  

SpartanNash

     12,068        143  

TreeHouse Foods*

     16,886        936  

United Natural Foods*

     17,695        204  

Universal

     66,115        3,624  

USANA Health Sciences*

     4,415        302  

Vector Group

     37,695        449  

WD-40

     4,642        852  
     

 

 

 
       

 

63,434

 

 

 

     

 

 

 
 


  KP Small Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

Energy – 3.0%

     

Archrock

     42,621      $ 425  

Ardmore Shipping*

     254,915               1,705  

Bonanza Creek Energy*

     6,231        140  

C&J Energy Services*

     21,046        226  

Callon Petroleum*

     76,100        330  

Capital Product Partners (A)

     33,913        363  

Carrizo Oil & Gas*

     291,428        2,502  

CONSOL Energy*

     9,031        141  

Delek US Holdings

     39,268        1,425  

Denbury Resources*

     152,903        182  

Diamond Offshore Drilling*

     21,581        120  

Diamond S Shipping*

     23,498        259  

Diamondback Energy

     15,950        1,434  

DMC Global

     4,695        207  

Dril-Quip*

     12,061        605  

Era Group*

     6,300        67  

Euronav

     288,821        2,657  

Exterran*

     10,082        132  

Frank’s International*

     373,380        1,774  

Geospace Technologies*

     4,516        69  

Green Plains*

     11,658        124  

Gulf Island Fabrication*

     4,700        25  

Gulfport Energy*

     46,580        126  

Helix Energy Solutions Group*

     47,251        381  

HighPoint Resources*

     36,406        58  

Jagged Peak Energy*

     20,000        145  

Keane Group*

     155,926        945  

KLX Energy Services Holdings*

     7,804        67  

Laredo Petroleum*

     60,000        145  

Matrix Service*

     8,879        152  

McDermott International*

     60,500        122  

Nabors Industries

     109,691        205  

Newpark Resources*

     29,789        227  

Noble*

     80,561        102  

Oceaneering International*

     254,768        3,452  

Oil States International*

     20,050        267  

Par Pacific Holdings*

     12,191        279  

PDC Energy*

     19,550        543  

Penn Virginia*

     4,320        126  

ProPetro Holding*

     27,387        249  

QEP Resources

     79,100        293  

Range Resources

     69,400        265  

Renewable Energy Group*

     12,535        188  

REX American Resources*

     1,878        143  

Ring Energy*

     247,576        406  

RPC*

     134,641        755  

SEACOR Holdings*

     5,780        272  

SM Energy

     35,013        339  

Southwestern Energy*

     723,750        1,397  

SRC Energy*

     82,446        384  

TETRA Technologies*

     41,276        83  

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

Unit*

     18,693      $ 63  

US Silica Holdings

     24,403        233  

Valaris, Cl A*

     65,800        317  

Whiting Petroleum*

     30,179        242  

World Fuel Services

     230,750        9,216  
     

 

 

 
       

 

     37,099

 

 

 

     

 

 

 

Financials – 16.6%

     

Alerus Financial

     30,545        666  

Amalgamated Bank, Cl A

     77,081        1,235  

Ambac Financial Group*

     15,030        294  

American Equity Investment Life

     

Holding

     69,471        1,681  

Ameris Bancorp

     21,736        875  

AMERISAFE

     90,236        5,965  

Apollo Commercial Real Estate

     

Finance‡

     46,337        888  

ARMOUR Residential‡

     19,676        330  

Assetmark Financial Holdings*

     434        11  

Atlantic Union Bankshares

     20,858        777  

Axos Financial*

     18,223        504  

Banc of California

     14,336        203  

Bank of Hawaii

     62,853        5,401  

Banner

     30,296        1,702  

Berkshire Hills Bancorp

     56,954        1,668  

Blucora*

     16,002        346  

Boston Private Financial Holdings

     27,770        324  

Bridgewater Bancshares*

     47,471        567  

Brookline Bancorp

     26,409        389  

Byline Bancorp*

     86,457        1,546  

Cadence BanCorp, Cl A

     42,800        751  

Capstar Financial Holdings

     142,467        2,362  

Capstead Mortgage‡

     31,816        234  

Carolina Financial

     111,938        3,978  

Central Pacific Financial

     9,481        269  

City Holding

     5,578        425  

Columbia Banking System

     195,396        7,210  

Commerce Bancshares

     57,908        3,512  

Community Bank System

     17,318        1,068  

Community Bankers Trust

     331,114        2,848  

Customers Bancorp*

     94,757        1,965  

CVB Financial

     427,241        8,916  

Dime Community Bancshares

     10,488        225  

Donnelley Financial Solutions*

     11,384        140  

Eagle Bancorp

     11,451        511  

Eagle Bancorp Montana

     40,204        704  

eHealth*

     14,494        968  

Employers Holdings

     10,601        462  

Encore Capital Group*

     8,525        284  

Enova International*

     11,234        233  

Entegra Financial*

     80,201        2,409  

Essent Group

     119,500        5,697  

Evans Bancorp

     56,745        2,122  
 


  KP Small Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

EZCORP, Cl A*

     17,434      $ 113  

FB Financial

     66,660               2,503  

First American Financial

     94,740        5,591  

First BanCorp

     73,214        731  

First Bancorp NC

     49,071        1,762  

First Busey

     102,957        2,603  

First Commonwealth Financial

     33,340        443  

First Community

     74,191        1,445  

First Financial Bancorp

     79,716        1,951  

First Hawaiian

     174,049        4,647  

First Midwest Bancorp

     37,588        732  

FirstCash

     23,025        2,111  

Flagstar Bancorp

     9,500        355  

FNB

     364,057        4,198  

Franklin Financial Network

     4,159        126  

Glacier Bancorp

     28,821        1,166  

Goosehead Insurance, Cl A*

     34,600        1,707  

Granite Point Mortgage Trust‡

     18,242        342  

Great Western Bancorp

     18,910        624  

Greenhill

     6,019        79  

Hamilton Lane, Cl A

     42,600        2,426  

Hanmi Financial

     10,228        192  

HCI Group

     2,200        92  

Heritage Financial

     36,908        995  

HomeStreet*

     8,180        223  

Hope Bancorp

     42,112        604  

Horace Mann Educators

     76,699        3,553  

Independent Bank

     11,596        866  

International. FCStone*

     5,318        218  

Invesco Mortgage Capital‡

     48,010        735  

Investar Holding

     44,032        1,048  

James River Group Holdings

     52,795        2,705  

LegacyTexas Financial Group

     16,277        709  

LendingTree*

     5,630        1,748  

Malvern Bancorp*

     30,754        671  

Meta Financial Group

     11,599        378  

National Bank Holdings, Cl A

     93,618        3,201  

NBT Bancorp

     14,775        541  

New York Mortgage Trust‡

     87,985        536  

NMI Holdings, Cl A*

     22,771        598  

Northfield Bancorp

     15,711        252  

Northwest Bancshares

     33,334        546  

OFG Bancorp

     17,119        375  

Old Line Bancshares

     63,090        1,830  

Old National Bancorp

     110,658        1,904  

Old Point Financial

     23,186        551  

OneMain Holdings, Cl A

     48,140        1,766  

Opus Bank

     109,940        2,393  

Origin Bancorp

     43,176        1,457  

Oritani Financial

     12,931        229  

Orrstown Financial Services

     32,754        717  

Pacific Premier Bancorp

     20,130        628  

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

PacWest Bancorp

     208,828      $ 7,589  

PennyMac Mortgage Investment Trust‡

     28,458        633  

Piper Jaffray

     4,827        364  

PRA Group*

     15,149        512  

Preferred Bank

     4,611        242  

Primerica

     26,555               3,379  

ProAssurance

     28,693        1,155  

Prosperity Bancshares

     41,477        2,929  

Provident Financial Services

     20,702        508  

Redwood Trust‡

     36,592        600  

Reliant Bancorp

     32,953        790  

RLI

     13,170        1,224  

S&T Bancorp

     11,626        425  

Safety Insurance Group

     4,934        500  

Sandy Spring Bancorp

     100,956        3,403  

Seacoast Banking Corp of Florida*

     17,164        434  

ServisFirst Bancshares

     15,514        514  

Shore Bancshares

     104,590        1,612  

Signature Bank

     7,304        871  

Simmons First National, Cl A

     32,261        803  

SmartFinancial*

     90,580        1,887  

Solar Capital

     84,658        1,748  

South Plains Financial

     35,984        587  

Southern First Bancshares*

     52,340        2,086  

Southern National Bancorp of Virginia

     96,441        1,484  

Southside Bancshares

     10,443        356  

State Auto Financial

     26,940        873  

Stewart Information Services

     86,065        3,338  

SVB Financial Group*

     15,119        3,159  

Synovus Financial

     50,240        1,797  

TCF Financial

     131,127        4,992  

Texas Capital Bancshares*

     22,068        1,206  

Third Point Reinsurance*

     24,331        243  

Tompkins Financial

     4,112        334  

Triumph Bancorp*

     8,100        258  

TrustCo Bank

     31,845        260  

Umpqua Holdings

     81,147        1,336  

United Community Banks

     26,680        756  

United Fire Group

     7,084        333  

United Insurance Holdings

     6,802        95  

Universal Insurance Holdings

     10,841        325  

Veritex Holdings

     176,489        4,282  

Virtus Investment Partners

     2,306        255  

Waddell & Reed Financial, Cl A

     24,849        427  

Walker & Dunlop

     9,550        534  

WesBanco

     75,052        2,805  

Westamerica Bancorporation

     34,360        2,136  

Western Alliance Bancorp

     13,925        642  

WisdomTree Investments

     38,824        203  
 


  KP Small Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

World Acceptance*

     2,098      $ 267  
     

 

 

 
       

 

   208,072

 

 

 

     

 

 

 

Health Care – 12.4%

     

Acadia Healthcare*

     65,570        2,038  

ACADIA Pharmaceuticals*

     36,305        1,307  

Acorda Therapeutics*

     13,418        39  

Addus HomeCare*

     38,793        3,076  

Akorn*

     30,800        117  

Allscripts Healthcare Solutions*

     412,257        4,527  

Alphatec Holdings*

     303,018        1,521  

AMAG Pharmaceuticals*

     10,774        124  

Amedisys*

     7,220        946  

AMN Healthcare Services*

     15,683        903  

Amphastar Pharmaceuticals*

     11,903        236  

AngioDynamics*

     123,577        2,276  

ANI Pharmaceuticals*

     2,841        207  

Anika Therapeutics*

     4,764        262  

Arrowhead Pharmaceuticals*

     31,964        901  

Assertio Therapeutics*

     20,285        26  

Axogen*

     150,788        1,882  

BioDelivery Sciences International*

     525,776        2,214  

BioTelemetry*

     11,427        465  

Cambrex*

     11,341        675  

Cardiovascular Systems*

     11,611        552  

Catalent*

     36,280        1,729  

Charles River Laboratories International*

     16,706        2,211  

Chemed

     6,052        2,527  

Community Health Systems*

     39,474        142  

Computer Programs & Systems

     4,077        92  

CONMED

     63,168        6,074  

Corcept Therapeutics*

     35,341        500  

CorVel*

     3,000        227  

Cross Country Healthcare*

     175,321        1,806  

CryoLife*

     55,000        1,493  

CryoPort*

     79,506        1,300  

Cutera*

     4,600        134  

Cytokinetics*

     19,093        217  

DexCom*

     44,236        6,602  

Diplomat Pharmacy*

     18,983        93  

Eagle Pharmaceuticals*

     3,458        196  

Emergent BioSolutions*

     14,545        760  

Enanta Pharmaceuticals*

     5,397        324  

Encompass Health

     98,257        6,218  

Endo International*

     68,227        219  

Ensign Group

     16,766        795  

Exact Sciences*

     32,129        2,904  

GenMark Diagnostics*

     447,244        2,710  

Genomic Health*

     7,259        492  

Haemonetics*

     32,546        4,105  

HealthStream*

     8,453        219  

Heska*

     2,340        166  

Description

 

  

Shares  

 

    

Value  

(000)  

 

HMS Holdings*

     120,417      $ 4,150  

Horizon Therapeutics*

     94,223        2,566  

Innoviva*

     22,504        237  

Inogen*

     6,000        287  

Inspire Medical Systems*

     90,431        5,518  

Insulet*

     28,407        4,685  

Integer Holdings*

     10,869        821  

Integra LifeSciences Holdings*

     31,100        1,868  

Invacare

     11,143        84  

Lannett*

     11,185        125  

Lantheus Holdings*

     12,858        322  

LeMaitre Vascular

     5,300        181  

LHC Group*

     17,103        1,942  

Luminex

     13,901        287  

Magellan Health*

     7,216        448  

Masimo*

     13,155        1,957  

Medicines*

     24,502        1,225  

MEDNAX*

     51,440        1,164  

Medpace Holdings*

     9,008        757  

Meridian Bioscience*

     13,817        131  

Merit Medical Systems*

     82,026             2,499  

Mesa Laboratories

     8,923        2,122  

Mirati Therapeutics*

     7,400        577  

Momenta Pharmaceuticals*

     33,377        433  

MyoKardia*

     25,345        1,322  

Myriad Genetics*

     24,744        708  

NanoString Technologies*

     14,400        311  

Natera*

     51,194        1,679  

Natus Medical*

     11,535        367  

Neogen*

     17,505        1,192  

NeoGenomics*

     126,555        2,420  

Neurocrine Biosciences*

     17,915        1,614  

NextGen Healthcare*

     15,863        249  

Novocure*

     14,535        1,087  

Nuvectra*

     357,333        486  

Omnicell*

     41,320        2,986  

OraSure Technologies*

     190,152        1,420  

Orthofix Medical*

     6,322        335  

Owens & Minor

     21,240        123  

Oxford Immunotec Global*

     269,601        4,483  

Pacira BioSciences*

     13,900        529  

Penumbra*

     7,079        952  

PetIQ, Cl A*

     4,579        125  

Phibro Animal Health, Cl A

     6,758        144  

Prestige Consumer Healthcare*

     56,062        1,945  

Progenics Pharmaceuticals*

     28,149        142  

Providence Service*

     35,864        2,132  

Quidel*

     33,588        2,061  

R1 RCM*

     442,067        3,948  

Recro Pharma*

     77,112        854  

REGENXBIO*

     10,174        362  

Repligen*

     11,435        877  
 


  KP Small Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  

(000)  

 

Sage Therapeutics*

     12,660      $ 1,776  

Select Medical Holdings*

     36,546        606  

Spectrum Pharmaceuticals*

     35,037        291  

Supernus Pharmaceuticals*

     50,318        1,383  

Surmodics*

     4,373        200  

Tabula Rasa HealthCare*

     6,515        358  

Tactile Systems Technology*

     6,326        268  

Tandem Diabetes Care*

     79,154        4,669  

Teladoc Health*

     24,055        1,629  

Tivity Health*

     14,321        238  

Turning Point Therapeutics*

     17,216        647  

Twist Bioscience*

     33,514        800  

US Physical Therapy

     4,305        562  

Vanda Pharmaceuticals*

     17,444        232  

Varex Imaging*

     12,677        362  

Veracyte*

     67,241        1,614  

ViewRay*

     294,985        855  

Xencor*

     16,143        545  
     

 

 

 
       

 

   154,823

 

 

 

     

 

 

 

Industrials – 17.6%

     

AAON

     13,502        620  

AAR

     82,856        3,414  

ABM Industries

     25,450        924  

Actuant, Cl A

     18,212        400  

AECOM Technology*

     35,095        1,318  

Aegion, Cl A*

     10,735        230  

AerCap Holdings*

     60,402        3,307  

Aerojet Rocketdyne Holdings*

     24,405        1,233  

AeroVironment*

     49,135        2,632  

Air Transport Services Group*

     75,260        1,582  

Alamo Group

     3,195        376  

Albany International, Cl A

     52,665        4,748  

Allegiant Travel, Cl A

     4,339        649  

Altra Industrial Motion

     68,798        1,905  

American Woodmark*

     5,086        452  

Apogee Enterprises

     8,758        341  

Applied Industrial Technologies

     13,002        739  

ArcBest

     8,521        259  

Arcosa

     16,323        558  

ASGN*

     40,009        2,515  

Astec Industries

     7,446        232  

Atlas Air Worldwide Holdings*

     8,560        216  

AZZ

     52,638        2,293  

Barnes Group

     41,505        2,139  

Brady, Cl A

     16,575        879  

Briggs & Stratton

     14,029        85  

BrightView Holdings*

     67,460        1,157  

Brink’s

     22,880        1,898  

Builders FirstSource*

     64,640        1,330  

CAI International*

     85,698        1,866  

Casella Waste Systems, Cl A*

     42,996        1,846  

Chart Industries*

     12,049        751  

Description

 

  

Shares  

 

    

Value  

(000)  

 

CIRCOR International*

     6,611      $ 248  

Clean Harbors*

     84,585        6,530  

Columbus McKinnon

     59,406        2,164  

Comfort Systems USA

     12,474        552  

Commercial Vehicle Group*

     65,374        471  

Construction Partners, Cl A*

     160,479        2,500  

Continental Building Products*

     136,944        3,737  

CoStar Group*

     6,815        4,043  

Covanta Holding

     98,813        1,708  

Covenant Transportation Group, Cl A*

     12,630        208  

CPI Aerostructures*

     329,604        2,709  

Cubic

     10,359        730  

DXP Enterprises*

     5,181        180  

Dycom Industries*

     35,114        1,793  

Echo Global Logistics*

     9,446        214  

EMCOR Group

     67,677        5,828  

Encore Wire

     7,078        398  

EnPro Industries

     7,015        482  

ESCO Technologies

     8,655        689  

Evoqua Water Technologies*

     140,760        2,396  

Exponent

     17,433        1,219  

Federal Signal

     75,284        2,465  

Forrester Research*

     3,478        112  

Forward Air

     9,680        617  

Franklin Electric

     12,791        612  

FTI Consulting*

     20,464        2,169  

GATX

     61,658        4,780  

Genesee & Wyoming, Cl A*

     22,726        2,511  

Gibraltar Industries*

     10,756        494  

GMS*

     13,536        389  

Granite Construction

     77,720        2,497  

Greenbrier

     10,683        322  

Griffon

     14,153        297  

Harsco*

     86,949        1,649  

Hawaiian Holdings

     16,263        427  

Heartland Express

     66,055        1,421  

Heidrick & Struggles International

     6,392        174  

Herc Holdings*

     32,845        1,528  

Hillenbrand

     20,828        643  

Hub Group, Cl A*

     126,532        5,884  

Huron Consulting Group*

     29,463        1,807  

IAA*

     35,090        1,464  

InnerWorkings*

     264,046        1,170  

Insteel Industries

     5,985        123  

Interface, Cl A

     151,256        2,184  

ITT

     117,930        7,216  

John Bean Technologies

     10,629        1,057  

Kaman

     9,432        561  

Kansas City Southern

     21,516                2,862  

Kelly Services, Cl A

     10,264        249  

Korn Ferry

     19,004        734  
 


  KP Small Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  

(000)  

 

Kratos Defense & Security Solutions*

     126,680      $ 2,356  

Lindsay

     3,576        332  

Lydall*

     5,857        146  

Marten Transport

     12,763        265  

Masco

     75,886             3,163  

Matson

     14,460        542  

Matthews International, Cl A

     53,212        1,883  

McGrath RentCorp

     99,857        6,949  

Mercury Systems*

     89,306        7,249  

Mobile Mini

     15,168        559  

Moog, Cl A

     79,269        6,430  

MSC Industrial Direct, Cl A

     20,925        1,518  

Mueller Industries

     170,608        4,893  

Mueller Water Products, Cl A

     217,963        2,450  

MYR Group*

     5,618        176  

National Presto Industries

     1,632        145  

Navigant Consulting

     13,047        365  

Oshkosh

     79,179        6,002  

Owens Corning

     27,311        1,726  

Park Aerospace

     6,557        115  

Patrick Industries*

     7,508        322  

PGT Innovations*

     19,862        343  

Pitney Bowes

     56,278        257  

Powell Industries

     2,912        114  

Primoris Services

     189,170        3,710  

Proto Labs*

     9,033        922  

Quanex Building Products

     10,936        198  

Raven Industries

     12,036        403  

Resources Connection

     10,139        172  

RR Donnelley & Sons

     22,000        83  

Ryder System

     54,504        2,822  

Saia*

     19,766        1,852  

Simpson Manufacturing

     13,523        938  

SkyWest

     17,227        989  

SP Plus*

     77,054        2,851  

SPX*

     14,804        592  

SPX FLOW*

     14,355        566  

Standex International

     4,308        314  

Sterling Construction*

     174,812        2,299  

Team*

     117,200        2,115  

Tennant

     42,447        3,001  

Tetra Tech

     20,696        1,796  

Titan International

     16,981        46  

Titan Machinery*

     52,093        747  

TransUnion

     39,936        3,239  

Trex*

     22,300        2,028  

Triumph Group

     16,466        377  

TrueBlue*

     13,321        281  

UniFirst

     5,160        1,007  

Universal Forest Products

     20,685        825  

US Ecology

     7,375        472  

Description

 

  

Shares  

 

    

Value  

(000)  

 

US Xpress Enterprises, Cl A*

     188,580      $ 909  

Valmont Industries

     5,890        815  

Veritiv*

     4,372        79  

Viad

     6,707        450  

Vicor*

     5,385        159  

Wabash National

     103,196        1,497  

Wabtec

     22,351        1,606  

Watts Water Technologies, Cl A

     9,317        873  

Woodward

     9,970        1,075  
     

 

 

 
       

 

   220,519

 

 

 

     

 

 

 

Information Technology – 14.5%

     

3D Systems*

     38,672        315  

8x8*

     32,492        673  

ACI Worldwide*

     74,197        2,324  

ADTRAN

     15,718        178  

Advanced Energy Industries*

     51,506        2,957  

Agilysys*

     6,775        174  

Alarm.com Holdings*

     11,906        555  

Alpha & Omega Semiconductor*

     300        4  

Alteryx, Cl A*

     15,585        1,674  

Ambarella*

     72,456        4,553  

Anaplan*

     36,790        1,729  

Anixter International*

     9,773        676  

Applied Optoelectronics*

     5,966        67  

Arlo Technologies*

     24,961        85  

Aspen Technology*

     17,006        2,093  

Avalara*

     26,805        1,804  

Avaya Holdings*

     162,357        1,661  

Axcelis Technologies*

     10,990        188  

Badger Meter

     9,834        528  

Bel Fuse, Cl B

     3,256        49  

Belden

     31,630        1,687  

Benchmark Electronics

     65,424        1,901  

Black Knight*

     14,241        870  

Bottomline Technologies DE*

     74,030        2,913  

Brooks Automation

     60,728        2,249  

Cabot Microelectronics

     9,763        1,379  

CACI International, Cl A*

     6,030        1,395  

CalAmp*

     118,699        1,367  

Cardtronics*

     12,724        385  

CEVA*

     7,502        224  

Cohu

     13,709        185  

Comtech Telecommunications

     8,062        262  

Cree*

     60,166        2,948  

CSG Systems International

     11,204        579  

CTS

     11,159        361  

Daktronics

     13,088        97  

Diebold Nixdorf*

     25,300        283  

Digi International*

     9,316        127  

Diodes*

     13,498        542  

DSP Group*

     6,300        89  

Ebix

     7,240        305  
 


  KP Small Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  

(000)  

 

Enphase Energy*

     23,022      $ 512  

Entegris

     34,700        1,633  

ePlus*

     4,561        347  

Euronet Worldwide*

     42,231        6,178  

Everbridge*

     16,488        1,017  

EVERTEC

     74,538        2,327  

Evo Payments, Cl A*

     50,755        1,427  

ExlService Holdings*

     11,560        774  

Extreme Networks*

     39,899        290  

Fabrinet*

     12,426        650  

FARO Technologies*

     5,892        285  

Five9*

     55,920        3,005  

FormFactor*

     25,232        470  

Gartner*

     3,603        515  

Harmonic*

     29,350        193  

Ichor Holdings*

     7,528        182  

II-VI*

     915        32  

Impinj*

     26,212        808  

Infinera*

     69,151        377  

Inphi*

     18,528        1,131  

Insight Enterprises*

     32,878        1,831  

InterXion Holding*

     18,920        1,541  

Itron*

     85,543        6,327  

KBR

     122,566        3,008  

KEMET

     80,367        1,461  

Keysight Technologies*

     45,431        4,418  

Knowles*

     142,407        2,897  

Kulicke & Soffa Industries

     21,997        516  

Lattice Semiconductor*

     75,014        1,372  

LivePerson*

     76,192               2,720  

Lumentum Holdings*

     42        2  

MACOM Technology Solutions Holdings*

     54,947        1,181  

Manhattan Associates*

     29,233        2,358  

ManTech International, Cl A

     9,001        643  

MaxLinear, Cl A*

     21,728        486  

Methode Electronics

     12,251        412  

MicroStrategy, Cl A*

     2,716        403  

MKS Instruments

     10,650        983  

Model N*

     33,077        918  

Monotype Imaging Holdings*

     13,756        273  

MTS Systems

     32,112        1,774  

Nanometrics*

     8,128        265  

Napco Security Technologies*

     41,393        1,056  

NCR*

     187,725        5,925  

NETGEAR*

     10,652        343  

NIC

     83,671        1,728  

Novanta*

     29,195        2,386  

Okta, Cl A*

     14,845        1,462  

OneSpan*

     10,193        148  

OSI Systems*

     5,679        577  

PAR Technology*

     46,741        1,111  

Description

 

  

Shares  

 

    

Value  

(000)  

 

PDF Solutions*

     9,311      $ 122  

Perficient*

     10,907        421  

Perspecta

     193,201        5,046  

Photronics*

     22,228        242  

Plantronics

     145,313        5,423  

Plexus*

     9,756        610  

Power Integrations

     9,848        891  

Progress Software

     15,010        571  

PROS Holdings*

     47,218        2,814  

Q2 Holdings*

     47,831        3,772  

Qualys*

     11,225        848  

Rambus*

     37,190        488  

Rapid7*

     61,379        2,786  

RingCentral, Cl A*

     30,029        3,773  

Rogers*

     20,565        2,811  

Rudolph Technologies*

     10,179        268  

Sanmina*

     23,248        746  

ScanSource*

     8,483        259  

Silicon Laboratories*

     13,775        1,534  

SMART Global Holdings*

     4,202        107  

SolarEdge Technologies*

     15,996        1,339  

SPS Commerce*

     12,080        569  

SunPower, Cl A*

     203,500        2,232  

SVMK*

     72,885        1,246  

Sykes Enterprises*

     13,204        405  

Telaria*

     57,140        395  

Teradyne

     22,776        1,319  

TiVo

     95,284        726  

Tower Semiconductor*

     42,845        824  

TTEC Holdings

     31,933        1,529  

TTM Technologies*

     31,125        380  

Twilio, Cl A*

     20,268        2,229  

Tyler Technologies*

     9,922        2,605  

Ultra Clean Holdings*

     13,058        191  

Unisys*

     17,200        128  

Upland Software*

     22,562        787  

Veeco Instruments*

     16,483        193  

Viavi Solutions*

     300,618        4,210  

Virtusa*

     10,081        363  

Vishay Intertechnology

     238,367        4,036  

WEX*

     16,192        3,272  

Xperi

     33,086        684  

Zendesk*

     42,101        3,068  
     

 

 

 
       

 

   181,375

 

 

 

     

 

 

 

Materials – 5.2%

     

AdvanSix*

     9,560        246  

AK Steel Holding*

     105,043        238  

Alamos Gold, Cl A

     97,765        567  

American Vanguard

     8,709        137  

Balchem

     10,872        1,078  

Boise Cascade

     13,196        430  

Cabot

     65,869        2,985  
 


  KP Small Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  

(000)  

 

Century Aluminum*

     15,992      $ 106  

Clearwater Paper*

     5,351        113  

Commercial Metals

     154,023        2,677  

Compass Minerals International

     135,692        7,665  

Crown Holdings*

     85,150        5,625  

Eagle Materials

     6,395        576  

Ferro*

     27,117        322  

Fortuna Silver Mines*

     1,220,071        3,770  

FutureFuel

     8,138        97  

GCP Applied Technologies*

     17,900        345  

Graphic Packaging Holding

     93,045        1,372  

Hawkins

     3,078        131  

Haynes International

     4,065        146  

HB Fuller

     17,139        798  

Huntsman

     36,455        848  

Innophos Holdings

     113,420        3,682  

Innospec

     8,147        726  

Kaiser Aluminum

     5,449        539  

Koppers Holdings*

     6,998        204  

Kraton*

     68,982        2,227  

Livent*

     48,100        322  

Louisiana-Pacific

     146,731        3,607  

LSB Industries*

     6,185        32  

Materion

     6,735        413  

Mercer International

     14,484        182  

Myers Industries

     11,856        209  

Neenah

     5,655        368  

Olympic Steel

     2,849        41  

Owens-Illinois

     266,764        2,740  

PH Glatfelter

     201,088        3,095  

PolyOne

     43,390        1,417  

Quaker Chemical

     4,331        685  

Rayonier Advanced Materials*

     15,947        69  

Sandstorm Gold*

     650,738        3,670  

Schweitzer-Mauduit International

     19,847        743  

Silgan Holdings

     163,834        4,921  

Stepan

     6,860        666  

SunCoke Energy*

     29,285        165  

Tecnoglass

     174,566        1,419  

TimkenSteel*

     13,208        83  

Tredegar

     8,505        166  

Trinseo

     13,700        588  

US Concrete*

     5,206        288  

Valvoline

     82,345        1,814  

Warrior Met Coal

     17,200        336  
     

 

 

 
       

 

        65,689

 

 

 

     

 

 

 

Real Estate – 4.5%

     

Acadia Realty Trust‡

     27,915        798  

Agree Realty‡

     14,108        1,032  

American Assets Trust‡

     15,875        742  

Armada Hoffler Properties‡

     17,390        315  

CareTrust‡

     81,713        1,921  

Description

 

  

Shares  

 

    

Value  

(000)  

 

CatchMark Timber Trust, Cl A‡

     198,929      $ 2,123  

CBL & Associates Properties‡ *

     54,245        70  

Cedar Realty Trust‡

     26,754        80  

Chatham Lodging Trust‡

     15,453        280  

Community Healthcare Trust‡

     63,670        2,836  

DiamondRock Hospitality‡

     67,906        696  

Easterly Government Properties‡

     288,660        6,148  

Four Corners Property Trust‡

     23,058        652  

Franklin Street Properties‡

     35,256        298  

GEO Group‡

     201,928        3,501  

Getty Realty‡

     11,230        360  

Global Net Lease‡

     28,295        552  

Hannon Armstrong Sustainable Infrastructure Capital‡

     54,951        1,602  

Hersha Hospitality Trust, Cl A‡

     12,073        180  

Independence Realty Trust‡

     30,406        435  

Innovative Industrial Properties, Cl A‡

     16,858        1,557  

iStar‡

     76,792        1,002  

Kite Realty Group Trust‡

     28,035        453  

Lexington Realty Trust, Cl B‡

     82,392        845  

LTC Properties‡

     13,393        686  

Marcus & Millichap*

     7,802        277  

National Storage Affiliates Trust‡

     19,176        640  

Office Properties Income Trust‡

     16,263        498  

Omega Healthcare Investors‡

     43,202        1,805  

Pennsylvania Real Estate Investment Trust‡

     19,799        113  

Postal Realty Trust, Cl A

     121,798        1,929  

QTS Realty Trust, Cl A‡

     70,149        3,606  

Rayonier‡

     141,569        3,992  

RE/MAX Holdings, Cl A

     5,924        191  

Realogy Holdings

     37,967        254  

Retail Opportunity Investments‡

     268,018        4,886  

RLJ Lodging Trust‡

     172,246        2,926  

RPT Realty‡

     26,491        359  

Saul Centers‡

     3,886        212  

STAG Industrial‡

     72,962        2,151  

Summit Hotel Properties‡

     35,137        408  

Universal Health Realty Income Trust‡

     4,188        431  

Urstadt Biddle Properties, Cl A‡

     10,000        237  

Washington‡

     26,618        728  

Washington Prime Group‡

     62,936        261  

Whitestone, Cl B‡

     13,393        184  

Xenia Hotels & Resorts‡

     37,933        801  
     

 

 

 
       

 

        56,053

 

 

 

     

 

 

 

Utilities – 1.8%

     

ALLETE

     37,598        3,287  

American States Water

     75,275        6,764  

Avista

     71,066        3,442  

California Water Service Group

     16,192        857  
 


  KP Small Cap Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  

(000)  

 

 

El Paso Electric

     13,661      $ 916  

Northwest Natural Holding

     10,245        731  

South Jersey Industries

     105,043        3,457  

Unitil

     41,469        2,631  
     

 

 

 
       

 

22,085

 

 

 

     

 

 

 

Total Common Stock
(Cost $1,157,012) (000)

 

    

 

  1,198,158

 

 

 

     

 

 

 

Exchange Traded Funds — 0.2%

 

  

iShares Russell 2000 ETF

     11,061        1,674  

iShares Russell 2000 Value ETF

     12,631       

 

1,508

 

 

 

     

 

 

 

Total Exchange Traded Funds
(Cost $3,187) (000)

 

    

 

3,182

 

 

 

     

 

 

 

Rights — 0.0%

 

  
     Number of  
Rights  
        

A Schulman, Expires ‡‡ (B)

     8,148        4  

Media General, Expires ‡‡ (B)

     9,318        1  

Tobira Therapeutics, Expires 12/31/2028 (B)

     900        11  
     

 

 

 

Total Rights
(Cost $–) (000)

       

 

16

 

 

 

     

 

 

 

Short-Term Investment — 4.0%

 

  
     Shares           

State Street Institutional Treasury Money Market Fund, Cl Premier, 1.650%, (C)

     49,802,512        49,803  
     

 

 

 

Total Short-Term Investment
(Cost $49,803) (000)

 

    

 

49,803

 

 

 

     

 

 

 

Total Investments In Securities — 100.0%
(Cost $1,210,002) (000)

 

   $

 

1,251,159

 

 

 

     

 

 

 

Percentages are based on Net Assets of $1,251,254 (000).

A list of the open futures contracts held by the Fund at September 30, 2019, is as follows (000):

 

Type of

Contract

  Number of
Contracts
Long
   

Expiration

Date

    Notional
Amount
    Value    

Unrealized

(Depreciation)

 

Russell 2000

Index E-MINI

    75       Dec-2019     $     5,831     $     5,719       $        (112)  
     

 

 

   

 

 

   

 

 

 

 

*

Non-income producing security.

Real Estate Investment Trust

‡‡

Expiration date not available.

(A)

Security considered Master Limited Partnership. At September 30, 2019, this security amounted to $363 (000) or 0.0% of Net Assets.

(B)

Level 3 security is fair valued using methods determined in good faith by the Fair Value Committee of the Board of Trustees. The total value of such securities as of June 30, 2019, was $16 (000) and represented 0.0% of net assets.

(C)

The rate reported is the 7-day effective yield as of September 30, 2019.

ADR — American Depositary Receipt

Cl — Class

ETF — Exchange Traded Fund

The following is a list of the level of inputs used as of September 30, 2019, in valuing the Fund’s investments and other financial instruments carried at value (000):

 

Investments in
  Securities

      Level 1            Level 2            Level 3^            Total    

  Common Stock

  $   1,198,158      $         —      $         —      $   1,198,158  

  Exchange
Traded Funds

    3,182                      3,182  

  Rights

                  16        16  

  Short-Term Investment

    49,803                      49,803  
 

 

 

 

  

 

 

 

  

 

 

 

  

 

 

 

Total
Investments in Securities

  $

 

  1,251,143

 

 

 

   $

 

        —

 

 

 

   $

 

        16

 

 

 

   $

 

  1,251,159

 

 

 

 

 

 

 

  

 

 

 

  

 

 

 

  

 

 

 

Other Financial
Instruments
  Level 1    Level 2    Level 3    Total

  Futures
Contracts**

          

  Unrealized
Depreciation

  $ (112)      $         —      $         —      $ (112)  
 

 

 

 

  

 

 

 

  

 

 

 

  

 

 

 

Total Other
Financial Instruments

  $

 

(112)

 

 

 

   $

 

        —

 

 

 

   $

 

        —

 

 

 

   $

 

(112)

 

 

 

 

 

 

 

  

 

 

 

  

 

 

 

  

 

 

 

** Futures contracts are valued at the unrealized appreciation on the instrument.

^ A reconciliation of Level 3 investments and disclosures of significant unobservable inputs are presented when the Fund has a significant amount of Level 3 investments at the beginning and/or end of the period in relation to net assets. Management has concluded that Level 3 investments are not material in relation to net assets.

For the period ended September 30, 2019, there were no transfers between Level 1, Level 2 or Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period.

For more information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.

Amounts designated as “—“ are $0 or have been rounded to $0.

 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

 

 

 SCHEDULE OF INVESTMENTS

 

     

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

Common Stock — 96.3%

     

Australia – 3.7%

     

Adairs

     68,598      $ 88  

Adelaide Brighton

     473,580        975  

AGL Energy

     17,519        227  

ALS

     143,036        774  

Altium

     20,028        451  

Alumina

     516,954        827  

Amcor

     136,466        1,313  

AMP

     93,765        116  

APA Group

     29,961        232  

Appen

     17,876        255  

Aristocrat Leisure

     14,456        298  

Asaleo Care*

     316,571        208  

ASX

     4,870        266  

Aurizon Holdings

     51,449        205  

Ausdrill

     70,884        107  

AusNet Services

     53,906        66  

Austal

     238,277        698  

Australia & New Zealand Banking Group

     230,893                4,444  

Australian Finance Group

     51,007        76  

Auswide Bank

     19,058        70  

Baby Bunting Group

     39,286        94  

Bank of Queensland

     9,088        61  

Beach Energy

     295,328        504  

Bendigo & Adelaide Bank

     12,425        96  

BHP Group

     98,499        2,442  

BlueScope Steel

     219,750        1,781  

Boral

     29,759        97  

Brambles

     184,240        1,418  

Bravura Solutions

     43,280        121  

Caltex Australia

     21,848        388  

carsales.com

     79,024        815  

Centuria Metropolitan‡

     3,682        8  

Challenger

     14,109        70  

Champion Iron*

     138,307        232  

Charter Hall Group‡

     71,409        562  

CIMIC Group

     2,687        57  

Citadel Group

     1,233        3  

Cleanaway Waste Management

     978,948        1,288  

Clinuvel Pharmaceuticals

     21,357        356  

Clover

     53,721        108  

Coca-Cola Amatil

     160,492        1,154  

Cochlear

     1,541        216  

Codan

     16,784        63  

Coles Group

     29,958        311  

Collins Foods

     32,465        219  

Commonwealth Bank of Australia

     46,091        2,515  

Computershare

     12,105        132  

Cromwell Property Group‡

     749,955        642  

Crown Resorts

     8,200        67  

CSL

     11,810        1,863  

Dexus‡

     29,021        234  

Dicker Data

     59,299        318  

Domain Holdings Australia

     137,316        314  

EML Payments*

     148,624        431  

Evolution Mining

     152,381        466  

Flight Centre Travel Group

     1,077        35  

Fortescue Metals Group

     35,180        209  

GDI Property Group‡

     145,595        149  

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

Genworth Mortgage Insurance Australia

     26,236      $ 60  

Goodman Group‡

     41,306        395  

GPT Group‡

     49,314        205  

GUD Holdings

     64,124        435  

GWA Group

     111,728        256  

Harvey Norman Holdings

     13,109        40  

Healius

     185,469        403  

IDP Education

     24,768        260  

Iluka Resources

     162,609        877  

Imdex

     28,505        27  

Incitec Pivot

     77,359        177  

Independence Group NL

     137,068        596  

Infomedia

     21,957        30  

Ingenia Communities Group‡

     69,206        188  

Insurance Australia Group

     58,212        310  

Integrated Research

     28,064        59  

IPH

     60,976        358  

IVE Group

     37,823        54  

James Hardie Industries

     11,943        200  

JB Hi-Fi

     22,425        515  

Jumbo Interactive

     13,542        221  

Jupiter Mines

     2,136,720        562  

Karoon Gas Australia*

     66,346        52  

Kina Securities

     58,214        58  

Lend Lease Group

     14,440        171  

Lovisa Holdings

     6,241        54  

Macquarie Group

     8,398        743  

Magellan Financial Group

     41,615        1,445  

Medibank

     70,763        162  

Metcash

     158,425        320  

Mirvac Group‡

     104,499        216  

Mount Gibson Iron

     302,733        161  

National Australia Bank

     155,729                3,122  

National Storage‡

     194,804        236  

Newcrest Mining

     71,461        1,676  

Nine Entertainment Holdings

     342,518        452  

Northern Star Resources

     124,068        924  

NRW Holdings

     139,123        218  

Oil Search

     316,346        1,563  

Orica

     99,876        1,520  

Origin Energy

     46,932        252  

OZ Minerals

     25,643        166  

People Infrastructure

     53,721        115  

Perseus Mining*

     674,767        319  

Pro Medicus

     65,111        1,223  

QBE Insurance Group

     150,577        1,277  

Ramelius Resources

     105,266        80  

Ramsay Health Care

     4,376        192  

REA Group

     1,200        88  

Red 5*

     636,875        129  

Regional Express Holdings

     12,432        11  

Regis Resources

     22,433        74  

Rio Tinto

     9,761        611  

Santos

     47,450        248  

Saracen Mineral Holdings*

     94,015        219  

Scentre Group‡

     136,726        363  

SEEK

     8,496        123  

Select Harvests

     12,654        66  

Service Stream

     117,173        207  

Sigma Healthcare

     163,548        66  

SmartGroup

     11,065        91  

Sonic Healthcare

     11,992        227  

South32

     133,863        237  

Stockland‡

     59,707        183  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  

(000)  

 

 

Suncorp Group

     31,771      $ 293  

Super Retail Group

     32,393        217  

Sydney Airport

     29,245        159  

Tabcorp Holdings

     49,761        163  

Technology One

     160,999        780  

Telstra

     104,832        248  

TPG Telecom

     10,268        48  

Transurban Group

     69,544        689  

Treasury Wine Estates

     18,362        230  

Unibail-Rodamco-Westfield‡

     13,660        98  

Vicinity Centres‡

     85,315        148  

Vita Group

     96,528        79  

Washington H Soul Pattinson

     2,441        35  

Wesfarmers

     29,419        790  

Western Areas

     61,536        129  

Westpac Banking

     89,877        1,798  

Whitehaven Coal

     35,751        75  

Woodside Petroleum

     23,573        515  

Woolworths Group

     208,018        5,234  

WorleyParsons

     9,615        84  
     

 

 

 
       

 

        69,235

 

 

 

     

 

 

 

Austria – 0.2%

     

ANDRITZ

     8,470        346  

BAWAG Group(A)

     10,356        407  

Erste Group Bank*

     7,581        251  

IMMOFINANZ

     25,299        705  

Oesterreichische Post

     10,508        369  

OMV

     3,841        206  

Porr Ag

     4,414        91  

Raiffeisen Bank International

     4,038        94  

S IMMO

     19,448        447  

Telekom Austria, Cl A*

     23,811        173  

Verbund

     1,907        104  

Vienna Insurance Group Wiener
Versicherung Gruppe

     10,884        284  

Voestalpine

     2,540        58  

Wienerberger

     33,877        825  
     

 

 

 
       

 

4,360

 

 

 

     

 

 

 

Belgium – 0.6%

     

Aedifica‡

     3,259        377  

Ageas

     4,750        263  

Anheuser-Busch InBev

     33,961        3,237  

Barco

     3,131        618  

Befimmo‡

     6,741        415  

Colruyt

     1,327        73  

D’ieteren

     2,498        135  

Groupe Bruxelles Lambert

     2,169        208  

Home Invest Belgium‡

     200        25  

Intervest Offices & Warehouses‡

     3,756        108  

KBC Ancora

     12,354        549  

KBC Group

     78,401        5,096  

Montea C.V.A‡

     1,510        128  

Ontex Group

     4,740        85  

Orange Belgium

     2,252        46  

Proximus

     3,760        112  

Solvay

     1,901        197  

Telenet Group Holding

     1,173        55  

UCB

     3,361        244  

Umicore

     5,314        200  
     

 

 

 
       

 

12,171

 

 

 

     

 

 

 

Brazil – 2.0%

     

Alupar Investimento

     17,500        105  

Description

 

  

Shares  

 

    

Value  

(000)  

 

 

Ambev ADR

     804,551      $ 3,717  

Atacadao

     131,000        668  

B3 - Brasil Bolsa Balcao

     265,100        2,795  

Banco Bradesco ADR

     746,064        6,073  

Banco BTG Pactual

     2,100        30  

Banco do Brasil*

     65,000        713  

Cia de Saneamento Basico do
Estado de Sao Paulo

     17,600        210  

Cia de Saneamento do Parana

     6,100        124  

Embraer

     52,622        228  

Enauta Participacoes

     25,000        68  

Eneva*

     16,312        121  

IRB Brasil Resseguros S

     632,700        5,710  

JBS

     201,700        1,588  

LOG Commercial Properties e
Participacoes

     6,313        37  

LPS Brasil Consultoria de Imoveis*

     148,835        285  

MRV Engenharia e Participacoes

     244,400        1,044  

Natura Cosmeticos

     157,654        1,294  

Neoenergia

     9,896        49  

Odontoprev

     327,000        1,278  

Petrobras Distribuidora

     214,080        1,416  

Porto Seguro

     107,076        1,523  

Raia Drogasil

     94,500        2,180  

Ser Educacional(A)

     36,622        199  

Smiles Fidelidade

     4,100        37  

Sul America

     169,700        1,949  

TOTVS

     211,000        2,933  

WEG

     310,200        1,814  

YDUQS Part

     11,700        101  
     

 

 

 
       

 

        38,289

 

 

 

     

 

 

 

Canada – 4.2%

     

Agnico Eagle Mines

     5,913        317  

Aimia*

     146,400        374  

Air Canada, Cl B*

     3,300        108  

Alimentation Couche-Tard, Cl B

     72,484        2,221  

AltaGas

     7,300        107  

AltaGas Canada

     5,500        110  

Atco, Cl I

     1,700        62  

Atlantic Power*

     32,200        75  

Aurora Cannabis*

     18,600        82  

Bank of Montreal

     16,500        1,215  

Bank of Nova Scotia

     78,499        4,459  

Barrick Gold

     129,069        2,234  

Bausch Health*

     8,100        176  

BCE

     22,298        1,078  

BlackBerry*

     13,800        72  

Boardwalk‡

     928        31  

Bombardier, Cl B*

     56,700        77  

Boyd Group Income Fund

     1,000        133  

Brookfield Asset Management,
Cl A

     76,658        4,071  

BSR Real Estate Investment Trust‡

     1,786        19  

CAE

     177,500        4,509  

Cameco

     9,800        93  

Canadian Imperial Bank of
Commerce

     11,600        957  

Canadian National Railway

     18,800        1,688  

Canadian Natural Resources

     100,532        2,675  

Canadian Pacific Railway

     10,178        2,262  

Canadian Tire, Cl A

     1,500        168  

Canadian Utilities, Cl A

     3,700        109  

Canadian Western Bank

     10,300        259  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  

(000)  

 

 

Canopy Growth*

     5,700      $ 131  

CCL Industries, Cl B

     3,800        153  

Cenovus Energy

     26,500        249  

CGI, Cl A*

     6,500        514  

CI Financial

     6,400        93  

Computer Modelling Group

     41,000        189  

Constellation Software

     2,401        2,399  

Cronos Group*

     4,700        42  

Dollarama

     7,700        276  

Dorel Industries, Cl B

     7,800        54  

Dream Hard Asset Alternatives
Trust

     5,100        29  

Dream Office‡

            17,165        384  

Emera

     5,900        259  

Empire

     4,600        125  

Enbridge

     52,800        1,853  

Encana

     38,500        176  

Enerflex

     72,371        635  

Fairfax Financial Holdings

     7,949               3,503  

First Capital Realty‡

     5,000        83  

First Quantum Minerals

     17,500        147  

Fortis

     11,085        469  

Franco-Nevada

     13,829        1,260  

George Weston

     1,940        163  

Gildan Activewear

     19,395        688  

Great-West Lifeco

     6,700        161  

H&R Real Estate Investment
Trust‡

     4,100        72  

Heroux-Devtek*

     10,600        138  

High Liner Foods

     24,000        200  

HLS Therapeutics

     262        3  

Husky Energy

     8,400        59  

Hydro One

     8,700        161  

iA Financial

     23,700        1,079  

IGM Financial

     1,900        54  

Imperial Oil

     7,300        190  

Intact Financial

     3,600        362  

Inter Pipeline

     47,479        833  

Keg Royalties Income Fund

     1,211        15  

Keyera

     5,800        141  

Kinross Gold*

     31,400        145  

Kirkland Lake Gold

     5,100        228  

Loblaw

     34,496        1,965  

Lundin Mining

     15,100        71  

Magna International

     21,196        1,129  

Manulife Financial

     50,700        930  

Methanex

     1,500        53  

Metro, Cl A

     6,710        295  

Morguard North American Residential Real Estate Investment Trust‡

     16,100        241  

National Bank of Canada

     8,600        428  

Nexus Real Estate Investment Trust‡

     36,000        54  

Nutrien

     15,109        753  

Onex

     2,100        130  

Open Text

     6,700        273  

Pembina Pipeline

     13,472        499  

Plaza Retail‡

     8,900        30  

Polaris Infrastructure

     10,200        102  

Power Corp of Canada

     8,131        187  

Power Financial

     6,600        153  

PrairieSky Royalty

     47,876        668  

PRO Real Estate Investment Trust‡

     18,200        99  

Description

 

  

Shares  

 

    

Value  

(000)  

 

 

Quebecor, Cl B

     4,500      $ 102  

Restaurant Brands International

     6,200        441  

RioCan‡

     3,900        78  

Ritchie Bros Auctioneers

     30,980        1,235  

Rogers Communications, Cl B

     21,542        1,049  

Royal Bank of Canada

     48,573        3,940  

Saputo

     6,000        184  

Shaw Communications, Cl B

     12,432        244  

Shopify, Cl A*

     2,600        809  

Silvercorp Metals

            32,800        127  

SmartCentres‡

     2,200        54  

SNC-Lavalin Group

     4,200        59  

Spin Master* (A)

     15,307        468  

Stars Group*

     5,500        82  

Sun Life Financial

     15,600        698  

Suncor Energy

     194,693        6,142  

TC Energy

     45,164        2,339  

Teck Resources, Cl B

     13,400        217  

TELUS

     5,300        189  

Thomson Reuters

     5,140        344  

TMX Group

     700        60  

Toronto-Dominion Bank

     63,909        3,726  

Total Energy Services

     16,428        85  

Tourmaline Oil

     6,300        62  

Vermilion Energy

     3,400        57  

West Fraser Timber

     1,300        52  

Wheaton Precious Metals

     11,532        302  

WSP Global

     2,800        164  

Yangarra Resources*

     8,300        9  
     

 

 

 
       

 

     78,834

 

 

 

     

 

 

 

Chile – 0.2%

     

CAP

     11,219        98  

Cia Cervecerias Unidas

     68,885        769  

Cia Cervecerias Unidas ADR

     12,815        284  

Cia Sud Americana de Vapores*

     16,447,748        571  

Colbun

     384,866        69  

Enaex

     25,488        280  

Quinenco

     393,289        965  
     

 

 

 
       

 

3,036

 

 

 

     

 

 

 

China – 2.9%

     

Alibaba Group Holding ADR*

     64,816        10,840  

Anhui Conch Cement, Cl H

     349,780        2,077  

Asia Cement China Holdings

     28,000        34  

Autohome ADR*

     14,770        1,228  

Baidu ADR*

     29,974        3,080  

Bank of Communications, Cl H

     3,439,506        2,247  

BeiGene ADR*

     900        110  

Cecep Costin New Materials
Group* (B) (C)

     1,134,000         

Changyou.com ADR

     20,909        199  

China International Travel Service, Cl A

     217,950        2,841  

China Telecom ADR

     10,259        468  

Ctrip.com International ADR*

     11,564        339  

Huazhu Group ADR

     98,061        3,238  

JD.com ADR*

     12,594        355  

Jiangsu Hengrui Medicine, Cl A

     149,667        1,691  

Kunlun Energy

     424,000        365  

Kweichow Moutai, Cl A

     19,500        3,142  

NetEase ADR

     18,051        4,804  

New Oriental Education &
Technology Group ADR*

     234        26  

PetroChina, Cl H

     4,138,000        2,128  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  

(000)  

 

 

Qudian ADR*

     17,657      $ 122  

TAL Education Group ADR*

     45,895        1,571  

Tencent Music Entertainment
Group ADR*

     183,544        2,344  

TravelSky Technology, Cl H

     589,000        1,223  

Tsingtao Brewery, Cl H

     308,427        1,861  

Vipshop Holdings ADR*

     138,917        1,239  

Xiwang Special Steel

     548,000        50  

Yum China Holdings

     134,467        6,109  

Zhangzhou Pientzehuang Pharmaceutical, Cl A

     107,400        1,533  
     

 

 

 
       

 

55,264

 

 

 

     

 

 

 

Colombia – 0.1%

     

Bancolombia ADR

     23,080        1,141  

Ecopetrol ADR

     44,797        763  
     

 

 

 
       

 

1,904

 

 

 

     

 

 

 

Cypress – 0.0%

     

QIWI ADR

     8,864        195  
     

 

 

 

Czech Republic – 0.0%

     

Komercni Banka

     15,059        509  
     

 

 

 

Denmark – 1.5%

     

ALK-Abello

     2,516        518  

AP Moeller - Maersk, Cl A

     101        108  

AP Moeller - Maersk, Cl B

     167        189  

Carlsberg, Cl B

     29,734               4,395  

Chr Hansen Holding

     2,717        231  

Coloplast, Cl B

     29,886        3,598  

Danske Bank

     26,708        372  

Demant*

     46,171        1,183  

DSV

     5,692        542  

Genmab*

     1,656        336  

GN Store Nord

     44,738        1,816  

H Lundbeck

     1,960        65  

H+H International, Cl B*

     3,440        52  

ISS

     3,718        92  

Novo Nordisk, Cl B

     198,938        10,226  

Novozymes, Cl B

     5,697        239  

Orsted

     8,998        836  

Pandora

     2,445        98  

Per Aarsleff Holding

     4,521        147  

SimCorp

     7,480        657  

Spar Nord Bank

     25,771        232  

Topdanmark

     6,382        308  

Tryg

     3,442        99  

Vestas Wind Systems

     36,653        2,846  
     

 

 

 
       

 

29,185

 

 

 

     

 

 

 

Egypt – 0.0%

     

Telecom Egypt

     129,194        95  
     

 

 

 

Finland – 0.6%

     

Elisa

     3,695        190  

Fiskars Abp

     1,923        26  

Fortum

     11,043        261  

Huhtamaki

     11,763        469  

Kemira

     38,797        571  

Kone, Cl B

     8,963        510  

Metso

     2,945        110  

Neste

     10,891        361  

Nokia

     147,846        749  

Description

 

  

Shares  

 

    

Value  

(000)  

 

 

Nokian Renkaat

     132,265      $ 3,732  

Nordea Bank Abp

     3,302        23  

Orion, Cl B

     2,841        106  

Rovio Entertainment(A)

     2,675        12  

Sampo, Cl A

     58,848        2,340  

Stora Enso, Cl R

     14,197        171  

Tikkurila

     103,736        1,531  

Tokmanni Group

     10,550        117  

UPM-Kymmene

     13,736        406  

Wartsila, Cl B

     38,635        433  
     

 

 

 
       

 

12,118

 

 

 

     

 

 

 

France – 7.0%

     

Accor

     4,691        196  

Aeroports de Paris

     736        131  

Air France-KLM*

     41,336        433  

Air Liquide

     130,248        18,540  

Airbus Group

     27,314        3,548  

Akka Technologies

     2,090        144  

Alstom

     5,138        213  

Alten

     6,361        727  

Amundi(A)

     1,653        115  

Arkema

     1,816        169  

Atos

     2,415        170  

AXA

     87,360               2,231  

Bigben Interactive

     13,371        194  

BioMerieux

     965        80  

BNP Paribas

     54,158        2,637  

Bollore

     22,028        91  

Bouygues

     5,636        226  

Bureau Veritas

     7,497        181  

Capital Gemini

     4,193        494  

Carrefour

     15,406        270  

Casino Guichard Perrachon

     1,370        65  

Cie de Saint-Gobain

     12,979        509  

Cie Generale des Etablissements
Michelin SCA

     4,507        503  

CNP Assurances

     4,404        85  

Coface

     35,479        403  

Covivio‡

     1,216        129  

Credit Agricole

     30,101        365  

Criteo ADR*

     5,700        107  

Danone

     75,781        6,676  

Dassault Aviation

     62        88  

Dassault Systemes

     14,975        2,134  

Edenred

     38,552        1,851  

Eiffage

     2,034        211  

Electricite de France

     16,299        182  

Elis

     58,444        1,033  

Engie

     286,395        4,677  

EssilorLuxottica

     50,215        7,238  

Eurazeo

     912        68  

Eurofins Scientific

     2,717        1,263  

Eutelsat Communications

     4,495        84  

Faurecia

     1,901        90  

Gaztransport Et Technigaz

     8,621        854  

Gecina‡

     1,179        185  

Getlink

     57,474        863  

Hermes International

     1,997        1,380  

ICADE‡

     705        63  

Iliad

     670        63  

Imerys

     3,024        122  

Ingenico Group

     4,073        397  

Innate Pharma*

     4,449        34  

Ipsen

     996        95  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  

(000)  

 

 

JCDecaux

     15,804      $ 428  

Kaufman & Broad

     1,631        65  

Kering

     1,982        1,010  

Klepierre‡

     5,348        182  

Korian

     10,251        422  

LafargeHolcim

     69        3  

Lagardere

     63,718        1,409  

Legrand

     76,179        5,437  

L’Oreal

     20,650        5,782  

LVMH Moet Hennessy Louis
Vuitton

     25,323                10,065  

Mercialys‡

     17,966        239  

Mersen

     8,853        276  

Metropole Television

     10,913        179  

Natixis

     23,654        98  

Neopost

     8,266        171  

Orange

     51,383        806  

Pernod Ricard

     41,475        7,386  

Peugeot

     15,436        385  

Publicis Groupe

     5,584        275  

Remy Cointreau

     502        67  

Renault

     4,837        278  

Rexel

     40,233        431  

Safran

     8,451        1,331  

Sanofi

     29,288        2,715  

Sartorius Stedim Biotech

     773        108  

Schneider Electric

     122,202        10,721  

SCOR

     4,101        169  

SEB

     623        95  

Seche Environnement

     1,348        53  

SES, Cl A

     9,380        171  

Societe BIC

     760        51  

Societe Generale

     20,212        554  

Sodexo

     2,344        263  

SOITEC*

     2,723        269  

Somfy

     662        60  

Sopra Steria Group

     1,409        176  

STMicroelectronics

     17,206        333  

Suez

     8,607        135  

TechnipFMC

     7,463        179  

Teleperformance

     4,512        978  

Thales

     8,984        1,033  

TOTAL

     215,512        11,248  

Ubisoft Entertainment*

     2,183        158  

Valeo

     6,268        203  

Veolia Environnement

     13,455        341  

Vicat

     3,699        160  

Vinci

     13,168        1,418  

Vivendi

     23,842        654  

Wendel

     695        96  

Worldline*

     2,255        142  
     

 

 

 
       

 

   131,815

 

 

 

     

 

 

 

Germany – 5.5%

     

1&1 Drillisch

     1,354        42  

adidas

     10,960        3,413  

Affimed*

     41,977        123  

Allianz

     11,052        2,576  

alstria office‡

     24,997        429  

Amadeus Fire

     1,811        200  

Aroundtown

     23,905        196  

Atoss Software

     70        10  

Axel Springer

     15,232        1,051  

BASF

     103,664        7,245  

Bauer

     9,626        151  

Description

 

  

Shares  

 

    

Value  

(000)  

 

 

Bayer

     116,645      $ 8,225  

Bayerische Motoren Werke

     90,365        6,362  

Beiersdorf

     65,591        7,736  

Borussia Dortmund GmbH & KGaA

     2,047        21  

Brenntag

     25,231        1,221  

Carl Zeiss Meditec

     1,022        117  

CECONOMY*

     44,754        242  

Commerzbank

     25,737        149  

CompuGroup Medical

     6,060        365  

Continental

     2,887        370  

Corestate Capital Holding

     7,115        262  

Covestro

     4,660        231  

CTS Eventim & KGaA

     20,616                1,161  

Daimler

     23,493        1,168  

Delivery Hero*

     2,862        127  

Dermapharm Holding

     3,957        156  

Deutsche Bank

     50,504        378  

Deutsche Boerse

     27,592        4,313  

Deutsche Lufthansa

     5,900        94  

Deutsche Post

     25,455        850  

Deutsche Telekom

     144,876        2,431  

Deutsche Wohnen

     9,428        344  

DIC Asset

     18,239        233  

E.ON

     57,938        563  

Eckert & Ziegler Strahlen- und
Medizintechnik

     2,742        465  

Encavis

     35,390        328  

Evonik Industries

     4,334        107  

Evotec*

     16,787        374  

Fraport Frankfurt Airport Services
Worldwide

     954        81  

Fresenius & KGaA

     10,994        514  

Fresenius Medical Care & KGaA

     29,928        2,013  

GEA Group

     10,384        280  

Gerresheimer

     14,208        1,019  

Hamburger Hafen und Logistik

     4,931        123  

Hannover Rueck

     4,033        682  

HeidelbergCement

     3,752        271  

HelloFresh*

     52,129        791  

Henkel & KGaA

     41,469        3,797  

Hochtief

     731        83  

HUGO BOSS

     1,556        83  

Infineon Technologies

     32,544        586  

Innogy(A)

     2,688        131  

Isra Vision

     4,153        174  

IVU Traffic Technologies

     5,518        64  

KION Group

     1,675        88  

Knorr-Bremse

     1,228        115  

LANXESS

     2,296        140  

Linde

     17,632        3,420  

Merck KGaA

     37,583        4,234  

METRO

     4,134        65  

MTU Aero Engines

     9,800        2,604  

Muenchener Rueckversicherungs-
Gesellschaft in Muenchen

     3,777        978  

mutares

     2,898        26  

Nemetschek

     3,480        178  

New Work

     551        150  

Nexus

     1,524        52  

ProSiebenSat.1 Media

     98,471        1,356  

Puma

     2,259        175  

QIAGEN*

     69,614        2,279  

RWE

     14,030        439  

SAP

     136,888        16,097  

Siemens

     19,932        2,134  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

Siemens Healthineers

     3,599      $ 142  

Siltronic

     3,547        269  

Software

     17,266        474  

Stabilus

     12,178        597  

Stroeer & KGaA

     2,569        196  

Symrise, Cl A

     7,151        695  

Telefonica Deutschland Holding

     22,709        63  

ThyssenKrupp

     10,582        147  

TUI

     30,143        350  

Uniper

     5,228        171  

United Internet

     3,313        118  

Volkswagen

     862        148  

Vonovia

     13,121        666  

Wirecard

     3,095        495  

Wuestenrot & Wuerttembergische

     6,394        125  

Zalando*

     3,762        172  

zooplus*

     731        87  
     

 

 

 
       

 

103,966

 

 

 

     

 

 

 

Greece – 0.3%

     

Aegean Airlines

     27,543        243  

Eurobank Ergasias*

     2,938,921        2,845  

Fourlis Holdings*

     74,117        445  

Hellenic Petroleum

     8,507        78  

JUMBO

     76,833        1,458  

Motor Oil Hellas Corinth Refineries

     58,239        1,359  
     

 

 

 
       

 

6,428

 

 

 

     

 

 

 

Hong Kong – 6.0%

     

Agile Group Holdings

     132,000        160  

Agricultural Bank of China, Cl H

     5,177,000        2,028  

AIA Group

     1,851,200        17,490  

Ajisen China Holdings

     636,000        179  

ASM Pacific Technology

     7,700        94  

BAIC Motor, Cl H(A)

     571,739        353  

Bank of China, Cl H

     5,105,000                2,006  

Bank of East Asia

     30,013        74  

Beijing North Star, Cl H

     45,571        14  

BOC Hong Kong Holdings

     97,500        331  

Bosideng International Holdings

     344,000        147  

Brightoil Petroleum Holdings*

     155,000        7  

Cafe de Coral Holdings

     222,000        594  

Champion‡

     257,000        166  

Chanjet Information Technology, Cl H

     800        1  

China Aoyuan Group

     76,199        86  

China Construction Bank, Cl H

     5,619,000        4,287  

China Everbright Bank, Cl H

     489,000        208  

China Meidong Auto Holdings

     42,000        38  

China Mengniu Dairy

     162,000        607  

China Mobile

     906,500        7,500  

China National Building Material, Cl H

     226,168        203  

China Overseas Grand Oceans Group

     93,000        42  

China Pacific Insurance Group, Cl H

     553,000        2,032  

China Resources Cement Holdings

     404,000        405  

China SCE Group Holdings

     434,000        200  

China Unicom Hong Kong

     1,718,000        1,825  

China Vanke, Cl H

     441,300        1,537  

Chow Sang Sang Holdings International

     92,297        99  

CITIC

     383,000        484  

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

CITIC Telecom International Holdings

     895,000      $ 325  

CK Asset Holdings

     68,138        462  

CK Hutchison Holdings

     241,884        2,136  

CK Infrastructure Holdings

     16,500        111  

CLP Holdings

     138,500        1,455  

CNOOC

     2,668,000        4,072  

Convoy Global Holdings*

     402,000        2  

Country Garden Holdings

     91,621        116  

Dah Sing Banking Group

     51,600        69  

Dah Sing Financial Holdings

     8,073        30  

Dynam Japan Holdings

     96,200        122  

Esprit Holdings*

     1,861,777        354  

Fairwood Holdings

     27,000        76  

First Pacific

     625,857        240  

Galaxy Entertainment Group*

     55,000        342  

Goodbaby International Holdings*

     326,000        49  

Guangnan Holdings

     210,000        22  

Haier Electronics Group

     785,416        2,049  

Hang Lung Group

     70,000        174  

Hang Lung Properties

     50,000        114  

Hang Seng Bank

     19,300        416  

Henderson Land Development

     37,708        176  

Hengdeli Holdings

     424,000        20  

Hisense Home Appliances Group,
Cl H

     58,000        56  

HK Electric Investments & HK Electric Investments

     67,158        64  

HKBN

     220,000        405  

HKR International

     193,600        77  

HKT Trust

     102,740        163  

Hong Kong & China Gas

     267,228        521  

Hong Kong Exchanges and Clearing

     31,272        918  

Hongkong & Shanghai Hotels

     254,249        248  

HSBC Holdings

     1,004,657                7,742  

Huadian Power International, Cl H

     26,000        10  

Hysan Development

     17,000        69  

IGG

     668,000        416  

Industrial & Commercial Bank of China, Cl H

     5,281,000        3,537  

IRC*

     2,784,000        41  

Johnson Electric Holdings

     52,500        94  

K Wah International Holdings

     364,000        192  

Kaisa Group Holdings

     72,275        32  

Kaisa Property Holdings

     90,776        162  

Kerry Properties

     14,000        43  

Kingboard Holdings

     255,340        676  

Lenovo Group

     2,540,000        1,695  

Li & Fung

     662,000        75  

Li Ning

     441,500        1,267  

Link‡

     54,500        601  

L’Occitane International

     136,135        271  

Logan Property Holdings

     726,000        1,034  

Longfor Group Holdings(A)

     192,000        718  

Lonking Holdings

     320,000        82  

Melco International Development

     140,000        333  

Melco Resorts & Entertainment ADR

     5,873        114  

Metallurgical Corp of China, Cl H

     62,000        14  

MGM China Holdings

     32,400        51  

MTR

     40,877        229  

New China Life Insurance, Cl H

     115,900        458  

New World Development

     177,459        230  

Nissin Foods

     295,000        245  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

NWS Holdings

     42,252      $ 65  

PCCW

     114,136        64  

Pentamaster International

     140,000        32  

Perfect Shape Medical

     492,000        169  

Pico Far East Holdings

     18,000        6  

Ping An Insurance Group of China, Cl H

     941,000        10,811  

Poly Property Group

     111,374        39  

Polytec Asset Holdings

     415,000        50  

Power Assets Holdings

     37,000        249  

Sands China

     61,200        277  

Scud Group*

     252,000        11  

Shangri-La Asia

     34,000        35  

Shenzhou International Group Holdings

     213,000                2,783  

Shui On Land

     287,500        57  

Sino Land

     84,614        127  

Sinotruk Hong Kong

     611,126        906  

SJM Holdings

     44,000        42  

SmarTone Telecommunications Holdings

     66,447        58  

Stella International Holdings

     624,948        973  

Sun Hung Kai Properties

     41,393        596  

Swire Pacific, Cl A

     13,000        121  

Swire Properties

     28,600        90  

Techtronic Industries

     36,500        254  

Television Broadcasts

     142,200        232  

Tencent Holdings

     219,500        9,247  

Tianyun International Holdings

     328,000        43  

Times China Holdings

     270,000        420  

Tingyi Cayman Islands Holding

     749,014        1,055  

Town Health International Medical Group

     154,000        7  

Vitasoy International Holdings

     18,000        73  

Want Want China Holdings

     1,602,996        1,282  

Weichai Power, Cl H

     765,000        1,103  

WH Group

     256,101        229  

Wharf Holdings

     34,000        74  

Wharf Real Estate Investment

     31,000        169  

Wheelock

     23,000        131  

Wynn Macau

     38,000        74  

Xinyi Glass Holdings

     1,670,000        1,839  

Yue Yuen Industrial Holdings

     320,000        876  

Zhongsheng Group Holdings

     56,500        178  
     

 

 

 
       

 

113,859

 

 

 

     

 

 

 

Hungary – 0.1%

     

OTP Bank Nyrt

     38,899        1,620  
     

 

 

 

India – 2.9%

     

Asian Paints

     69,437        1,727  

Axis Bank

     160,693        1,553  

Bajaj Finance

     52,624        3,004  

Bharti Airtel

     176,219        913  

Birlasoft

     5,074        5  

Britannia Industries

     40,906        1,699  

HCL Technologies

     1,782        27  

HDFC Bank

     192,894        3,342  

HDFC Bank ADR

     10,376        592  

HDFC Life Insurance(A)

     232,268        1,970  

Hinduja Global Solutions

     1,577        13  

Hindustan Unilever

     10,075        282  

Housing Development Finance

     204,980        5,718  

IndusInd Bank

     99,135        1,936  

Infosys ADR

     509,900        5,798  

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

Infosys

     276,815      $ 3,147  

KPIT Technologies

     66,647        90  

Manappuram Finance

     72,933        145  

Maruti Suzuki India

     12,372        1,172  

Motherson Sumi Systems

     876,930        1,299  

Mphasis

     21,511        290  

MRF

     2,216        1,979  

Muthoot Finance

     67,476        644  

NIIT Technologies*

     11,729        231  

Oil & Natural Gas

     120,753        225  

Petronet LNG

     464,261        1,702  

Redington India

     5,025        8  

Shriram Transport Finance

     26,362        398  

State Bank of India GDR*

     43,740        1,625  

Tata Consultancy Services

     246,676        7,308  

UPL

     288,176                2,455  

Vodafone Idea*

     6,303,373        547  

Wipro

     551,567        1,866  

WNS Holdings ADR*

     2,386        140  

Yes Bank

     154,350        90  
     

 

 

 
       

 

53,940

 

 

 

     

 

 

 

Indonesia – 0.6%

     

Adaro Energy

     1,540,100        140  

Bank Negara Indonesia Persero

     2,554,700        1,323  

Bank Pembangunan Daerah Jawa Timur

     467,000        21  

Bank Rakyat Indonesia Persero

     11,097,400        3,220  

Media Nusantara Citra

     6,123,743        533  

Mitra Pinasthika Mustika

     462,700        22  

Modernland Realty*

     6         

Perusahaan Gas Negara

     1,639,600        243  

Ramayana Lestari Sentosa

     470,800        40  

Telekomunikasi Indonesia Persero

     11,216,700        3,406  

Unilever Indonesia

     508,400        1,665  
     

 

 

 
       

 

10,613

 

 

 

     

 

 

 

Ireland – 0.7%

     

AIB Group

     22,258        66  

Bank of Ireland Group

     150,163        596  

C&C Group

     55,719        252  

CRH

     223,848        7,708  

Fly Leasing ADR*

     27,300        560  

Irish Continental Group

     86,661        395  

Paddy Power Betfair

     5,723        535  

Ryanair Holdings ADR*

     46,045        3,056  

Smurfit Kappa Group

     5,523        164  
     

 

 

 
       

 

13,332

 

 

 

     

 

 

 

Israel – 0.5%

     

Africa Israel Properties*

     3,545        124  

Airport City*

     13,429        260  

Alony Hetz Properties & Investments

     31,506        462  

Azrieli Group

     1,261        99  

Bank Hapoalim

     28,849        228  

Bank Leumi Le-Israel

     38,010        270  

Blue Square Real Estate

     570        27  

Check Point Software Technologies*

     38,714        4,240  

Elbit Systems

     678        112  

Electra Real Estate*

     7,905        47  

Formula Systems 1985

     2,486        159  

Harel Insurance Investments & Financial Services

     17,726        154  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

International Flavors & Fragrances

          $  

Israel*

     514        116  

Israel Chemicals

     16,537        82  

Israel Discount Bank, Cl A

     287,746                1,265  

Isramco Negev 2

     45,531        8  

Isras Investment

     368        75  

Jerusalem Economy*

     217,834        966  

Malam - Team

     175        27  

Melisron

     4,004        258  

Mizrahi Tefahot Bank

     3,633        90  

Naphtha Israel Petroleum

     39,166        218  

NICE-Systems*

     1,575        231  

One Software Technologies

     492        34  

Prashkovsky Investments and Construction

     2,908        48  

S.R Accord

     941        12  

Shikun & Binui

     77,333        295  

Silicom*

     1,618        51  

Teva Pharmaceutical Industries*

     9,198        63  

Teva Pharmaceutical Industries ADR*

     18,353        126  
     

 

 

 
       

 

10,147

 

 

 

     

 

 

 

Italy – 1.7%

     

A2A

     320,230        588  

ACEA

     25,756        514  

Amplifon

     13,483        331  

Anima Holding(A)

     30,490        116  

Ascopiave

     13,940        59  

Assicurazioni Generali

     28,924        561  

ASTM

     13,253        423  

Atlantia

     12,420        300  

Autogrill

     28,548        276  

Avio

     15,182        197  

Azimut Holding

     52,377        983  

Banca Carige*

     2,052,741        1  

Banca Farmafactoring(A)

     27,598        144  

Banca Generali

     56,137        1,732  

Banca Mediolanum

     20,623        155  

CNH Industrial

     188,674        1,921  

Davide Campari-Milano

     71,288        644  

Enel

     209,801        1,566  

Eni

     265,065        4,055  

ERG

     8,960        181  

Eurotech*

     65,900        519  

EXOR

     2,815        188  

Ferrari

     3,223        497  

Fiat Chrysler Automobiles

     27,921        361  

Fiera Milano

     23,270        106  

FinecoBank Banca Fineco

     15,933        169  

Hera

     157,160        645  

Immobiliare Grande Distribuzione SIIQ‡

     34,727        213  

Intesa Sanpaolo

     2,001,692        4,747  

Iren

     547,210        1,596  

Italgas

     223,136        1,440  

Leonardo-Finmeccanica

     9,707        114  

Mediobanca Banca di Credito Finanziario

     15,321        167  

Moncler

     4,578        164  

Piaggio & C

     66,905        198  

Pirelli & C(A)

     11,293        67  

Poste Italiane

     13,080        149  

Prysmian

     5,988        129  

Recordati

     2,896        124  

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

Safilo Group*

     71,395      $ 73  

Saipem*

     254,699        1,153  

Sesa

     3,358        147  

Snam

     54,174        274  

Societa Cattolica di Assicurazioni SC

     11,834        101  

Societa Iniziative Autostradali e Servizi

     11,854        207  

Telecom Italia*

     250,858        143  

Telecom Italia RSP

     152,166        83  

Tenaris

     11,316        120  

Terna Rete Elettrica Nazionale

     37,486        241  

Tinexta Spa

     32,496        424  

UniCredit

     126,807                1,495  

Unieuro(A)

     6,320        81  

Unipol Gruppo

     149,856        797  
     

 

 

 
       

 

31,679

 

 

 

     

 

 

 

Japan – 15.3%

     

77 Bank

     40,200        596  

A&D

     5,300        35  

ABC-Mart

     3,000        191  

Acom

     7,800        31  

Adastria

     18,000        404  

Advantest

     5,100        225  

Aeon

     16,500        302  

Aeon Delight

     3,300        103  

AEON Financial Service

     19,500        293  

AEON Investment‡

     456        628  

Aeon Mall

     2,100        33  

AGC

     4,400        136  

Air Water

     3,300        59  

Aisin Seiki

     4,100        129  

Ajinomoto

     11,400        215  

Akatsuki

     2,400        148  

Alfresa Holdings

     33,500        747  

Alps Alpine

     5,300        99  

Altech

     10,549        150  

Amada Holdings

     9,400        101  

ANA Holdings

     2,700        91  

Anest Iwata

     6,200        54  

Aozora Bank

     2,800        70  

Arata

     2,200        81  

Arcs

     17,900        374  

Asahi

     7,900        87  

Asahi Group Holdings

     14,500        717  

Asahi Intecc

     4,600        121  

Asahi Kasei

     33,300        328  

Asics

     29,700        507  

Astellas Pharma

     62,200        885  

Atled

     300        4  

Avex

     16,000        187  

Awa Bank

     4,100        92  

Azbil

     10,800        289  

Bank of Kyoto

     3,400        133  

Bank of Nagoya

     1,800        53  

Bank of Okinawa

     1,700        53  

Bank of Saga

     1,188        16  

Bank of the Ryukyus

     5,600        58  

BayCurrent Consulting

     6,100        268  

Bell System24 Holdings

     11,300        173  

Benesse Holdings

     1,500        39  

Bridgestone

     32,500        1,258  

Brother Industries

     5,800        105  

Bunka Shutter

     76,600        655  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

Business Brain Showa-Ota

     100      $ 2  

CAC Holdings

     30,200        363  

Calbee

     5,000        155  

Canon

     170,900                4,557  

Capcom

     37,600        996  

Career Design Center

     5,600        74  

Casio Computer

     31,800        493  

Central Japan Railway

     3,740        769  

Chiba Bank

     47,400        244  

Chiba Kogyo Bank

     21,100        56  

Chilled & Frozen Logistics Holdings

     1,000        11  

Chubu Electric Power

     17,100        248  

Chugai Pharmaceutical

     5,700        443  

Chugoku Bank

     13,100        123  

Chugoku Electric Power

     7,100        91  

Coca-Cola Bottlers Japan Holdings

     3,400        76  

Computer Engineering & Consulting

     15,300        286  

Computer Institute of Japan

     9,400        72  

Concordia Financial Group

     92,100        353  

Cosmo Energy Holdings

     4,500        93  

Credit Saison

     27,900        374  

Creo

     4,900        68  

Cube System

     7,300        52  

CyberAgent

     2,600        100  

Cybozu

     15,800        148  

Dai Nippon Printing

     6,600        170  

Daicel

     18,500        156  

Daido Metal

     37,600        222  

Daifuku

     8,000        412  

Daihen

     5,100        154  

Dai-ichi Life Holdings

     100,900        1,520  

Daiichi Sankyo

     14,600        920  

Daiki Aluminium Industry

     34,000        222  

Daikin Industries

     49,700        6,518  

Daiseki

     3,600        92  

Daito Pharmaceutical

     4,200        117  

Daito Trust Construction

     1,800        230  

Daitron

     1,700        21  

Daiwa House Industry

     25,100        814  

Daiwa House Investment, Cl A‡

     50        141  

Daiwa Office Investment‡

     195        1,514  

Daiwa Securities Group

     41,300        184  

DCM Holdings

     13,800        135  

DD Holdings

     3,600        50  

Denki Kogyo

     6,100        172  

Denso

     201,700        8,858  

Dentsu

     5,400        190  

Digital Garage*

     5,800        184  

Dip

     8,300        201  

Disco

     700        132  

DMS

     454        9  

Doutor Nichires Holdings

     5,600        111  

Duskin

     19,000        489  

East Japan Railway

     18,400        1,755  

Ebara Jitsugyo

     4,400        81  

EDION

     35,700        344  

Eisai

     6,620        336  

Elecom

     6,300        247  

Electric Power Development

     3,900        89  

Enplas

     800        26  

FamilyMart

     6,400        156  

FANUC

     16,080        3,024  

Fast Retailing

     1,500        892  

Feed One

     14,100        21  

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

Ferrotec Holdings

     17,700      $ 138  

FJ Next

     17,700        170  

Foster Electric

     19,700        333  

France Bed Holdings

     8,700        81  

F-Tech

     8,100        51  

Fuji Electric

     3,100        95  

Fuji Heavy Industries

     16,900        475  

Fuji Media Holdings

     50,100        644  

Fuji Oil

     43,600        100  

Fuji Soft

     4,600        194  

FUJIFILM Holdings

     12,800        561  

Fujitsu

     5,200        416  

Fukui Computer Holdings

     9,000        205  

Fukuoka Financial Group

     58,800                1,110  

FULLCAST Holdings

     1,400        28  

Furukawa

     14,600        196  

Furuno Electric

     18,800        164  

Furusato Industries

     1,400        19  

Furyu

     15,300        130  

Future

     10,200        177  

Fuyo General Lease

     4,500        270  

GLOBERIDE

     4,300        111  

Glory

     13,600        381  

GMO Payment Gateway

     1,000        67  

Godo Steel

     14,000        274  

Goldcrest

     24,500        480  

Gree

     44,900        205  

gremz

     200        3  

Gunma Bank

     26,400        85  

Hachijuni Bank

     66,100        269  

Hakuhodo DY Holdings

     5,400        78  

Hamakyorex

     1,000        32  

Hamamatsu Photonics

     3,900        145  

Hankyu Hanshin Holdings

     5,700        220  

Heiwado

     4,200        79  

Hiday Hidaka

     1,300        25  

Hikari Tsushin

     500        108  

Hino Motors

     9,600        79  

Hioki EE

     1,600        54  

Hirose Electric

     10,280        1,259  

Hiroshima Bank

     21,100        104  

Hisamitsu Pharmaceutical

     1,400        61  

Hitachi

     192,600        7,165  

Hitachi Chemical*

     2,500        82  

Hitachi Construction Machinery

     2,400        58  

Hitachi High-Technologies

     7,500        433  

Hitachi Metals

     5,300        57  

Hochiki

     1,800        25  

Hokkaido Electric Power

     61,300        323  

Hokuetsu

     60,800        304  

Hokuetsu Industries

     4,800        55  

Hokuhoku Financial Group

     16,100        156  

Hokuto

     10,500        193  

Honda Motor

     268,200        6,942  

Hoshizaki Electric

     5,600        440  

Hosiden

     17,000        174  

Hoya

     136,600        11,141  

Hulic

     6,800        69  

Hyakujushi Bank

     5,200        107  

IBJ Leasing

     800        22  

Idemitsu Kosan

     5,122        145  

IHI

     3,500        76  

Iida Group Holdings

     3,300        54  

Iino Kaiun Kaisha

     28,300        90  

Inaba Denki Sangyo

     1,300        57  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  

(000)  

 

 

Inpex

     115,800      $ 1,061  

Intage Holdings

     3,300        29  

Internet Initiative Japan

     15,400        350  

I-O Data Device, Cl O

     1,200        10  

Isetan Mitsukoshi Holdings

     8,600        69  

Isuzu Motors

     14,300        157  

ITOCHU

     51,700                1,066  

Itochu Techno-Solutions

     8,300        220  

Itoki

     6,400        26  

Iwaki

     6,400        28  

Iwatani

     9,400        317  

Iyo Bank

     16,600        87  

J Front Retailing

     5,200        61  

Jaccs

     10,100        213  

Jafco*

     7,500        283  

Japan‡

     35        235  

Japan Airlines

     2,700        80  

Japan Airport Terminal

     1,500        65  

Japan Cash Machine

     3,500        30  

Japan Exchange Group

     24,900        391  

Japan Petroleum Exploration

     6,100        155  

Japan Post Bank

     9,300        90  

Japan Post Holdings

     124,200        1,143  

Japan Prime‡

     18        85  

Japan Pulp & Paper

     800        28  

Japan Retail Fund Investment‡

     65        137  

Japan Securities Finance

     38,500        179  

Japan Tobacco

     191,400        4,188  

Jeol

     1,500        36  

JFE Holdings

     12,500        150  

JGC

     5,800        76  

JMS

     1,100        7  

JSR

     4,400        70  

JTEKT

     4,600        53  

Juki

     6,300        53  

Juroku Bank

     12,400        271  

JX Holdings

     85,200        388  

Kadokawa

     10,500        147  

Kajima

     11,100        145  

Kakaku.com

     3,600        88  

Kaken Pharmaceutical

     2,200        102  

Kamigumi

     8,600        195  

Kanamoto

     7,900        196  

Kandenko

     57,400        513  

Kaneka

     1,000        31  

Kanematsu

     14,500        163  

Kansai Electric Power

     44,100        493  

Kansai Paint

     4,500        105  

Kanto Denka Kogyo

     22,200        167  

Kao

     29,900        2,207  

KAWADA TECHNOLOGIES

     1,300        84  

Kawai Musical Instruments Manufacturing

     2,600        70  

Kawasaki Heavy Industries

     3,200        71  

KDDI

     75,300        1,967  

Keihan Holdings

     2,600        116  

Keihin

     9,200        135  

Keikyu

     6,000        116  

Keio

     2,500        156  

Keisei Electric Railway

     3,400        140  

Keiyo Bank

     9,200        54  

Kewpie

     14,200        331  

Keyence

     2,400        1,485  

Kikkoman

     3,900        186  

Kintetsu Group Holdings

     4,600        240  

Description

 

  

Shares  

 

    

Value  

(000)  

 

 

Kirin Holdings

     96,000      $ 2,032  

Kita-Nippon Bank

     700        12  

Kiyo Bank

     3,900        61  

Kobayashi Pharmaceutical

     1,300        99  

Kobe Steel

     7,500        40  

Koito Manufacturing

     8,000        391  

Kojima

     60,400        273  

Komatsu

     149,200                3,414  

Komeri

     10,700        216  

Konami Holdings

     2,400        116  

Konica Minolta

     12,000        83  

Kose

     2,000        338  

Kourakuen Holdings

     13,500        293  

K’s Holdings

     23,100        251  

Kubota

     536,400        8,108  

Kumiai Chemical Industry

     12,100        104  

Kura

     4,500        186  

Kuraray

     8,700        107  

Kureha

     11,300        672  

Kurita Water Industries

     2,300        62  

Kyocera

     96,700        5,996  

Kyowa Hakko Kirin

     6,100        118  

Kyushu Electric Power

     10,200        96  

Kyushu Financial Group

     16,900        69  

Kyushu Railway

     4,300        137  

Lawson

     1,900        97  

Legs

     6,700        96  

Life

     4,200        84  

LINE*

     1,500        54  

Lion

     13,600        268  

LIXIL Group

     30,500        536  

M3

     11,500        277  

Mabuchi Motor

     3,000        112  

Maeda

     32,400        282  

Makita

     11,800        371  

Mamezou Holdings

     13,700        218  

Mandom

     5,100        126  

Marubeni

     39,500        262  

Marudai Food

     3,500        74  

Marui Group

     19,000        400  

Maruichi Steel Tube

     1,200        32  

Maruzen Showa Unyu

     800        22  

Marvelous

     8,300        64  

Matsumotokiyoshi Holdings

     6,500        238  

Max

     12,400        208  

Mazda Motor

     15,600        138  

McDonald’s Holdings Japan

     1,500        73  

Mebuki Financial Group

     144,100        355  

Medipal Holdings

     17,800        395  

Megmilk Snow Brand

     8,000        192  

Meidensha

     7,900        135  

MEIJI Holdings

     5,900        431  

Meitec

     6,100        298  

Menicon

     7,500        263  

Mercari*

     1,900        47  

METAWATER

     1,000        34  

Micronics Japan

     23,900        191  

Mimasu Semiconductor Industry

     13,300        213  

Minebea

     9,600        152  

Mirai‡

     243        144  

MISUMI Group

     7,000        165  

Mitsubishi

     64,060        1,570  

Mitsubishi Chemical Holdings

     32,500        231  

Mitsubishi Electric

     48,000        636  

Mitsubishi Estate

     87,000        1,678  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

Mitsubishi Gas Chemical

     4,200      $ 56  

Mitsubishi Heavy Industries

     8,500        333  

Mitsubishi Logisnext

     6,100        58  

Mitsubishi Logistics

     7,300        185  

Mitsubishi Materials

     2,500        67  

Mitsubishi Motors

     16,000        69  

Mitsubishi Shokuhin

     6,100        153  

Mitsubishi Tanabe Pharma

     5,100        56  

Mitsubishi UFJ Financial Group

     317,200                1,608  

Mitsubishi UFJ Lease & Finance

     11,800        68  

Mitsuboshi Belting

     3,000        49  

Mitsui

     43,000        703  

Mitsui Chemicals

     4,400        98  

Mitsui E&S Holdings*

     6,400        56  

Mitsui Fudosan

     23,500        582  

Mitsui Matsushima Holdings

     6,300        70  

Mitsui OSK Lines

     2,500        63  

Mitsui-Soko Holdings

     20,600        318  

Miyazaki Bank

     900        20  

Mizuho Financial Group

     1,031,400        1,580  

Mizuno

     2,600        67  

Modec

     6,000        146  

MonotaRO

     2,800        73  

MS&AD Insurance Group Holdings

     31,600        1,023  

Murata Manufacturing

     14,900        715  

Nabtesco

     2,800        87  

Nagase

     25,500        355  

Nagoya Railroad

     4,500        134  

Nakabayashi

     4,800        23  

Nakamoto Packs

     900        12  

Namco Bandai Holdings

     25,500        1,586  

Nanto Bank

     10,500        245  

NEC

     24,500        1,033  

NEC Capital Solutions

     1,300        26  

NET One Systems

     24,800        668  

Nexon

     19,400        235  

NGK Insulators

     6,500        93  

NGK Spark Plug

     4,300        82  

NH Foods

     2,300        92  

NichiiGakkan

     7,300        120  

Nidec

     5,800        779  

Nihon Chouzai

     1,700        58  

Nihon House Holdings

     5,800        28  

Nihon Kohden

     122,400        3,594  

Nihon Unisys

     23,500        756  

Nikkiso

     21,500        229  

Nikkon Holdings

     13,900        316  

Nikon

     7,400        92  

Nintendo

     2,900        1,074  

Nippon Antenna

     900        8  

Nippon Building Fund‡

     36        276  

Nippon Carbon

     8,400        296  

Nippon Electric Glass

     18,100        402  

Nippon Express

     1,800        92  

Nippon Kanzai

     4,100        71  

Nippon Paint Holdings

     3,700        192  

Nippon Parking Development

     70,700        111  

Nippon Prologis‡

     48        131  

Nippon Sheet Glass

     65,100        389  

Nippon Shokubai

     5,100        290  

Nippon Steel

     21,600        302  

Nippon Suisan Kaisha

     28,300        160  

Nippon Telegraph & Telephone

     53,300        2,541  

Nippon Television Holdings

     40,720        521  

Nippon Yusen

     3,700        62  

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

Nishi-Nippon Financial Holdings

     49,800      $ 349  

Nissan Chemical

     11,300        470  

Nissan Motor

     59,700        372  

Nisshin Oillio Group

     10,700        335  

Nisshin Seifun Group

     5,000        92  

Nissin Electric

     37,200        451  

Nissin Foods Holdings

     1,700        123  

Nisso

     6,700        69  

Nitori Holdings

     2,100        307  

Nitta

     4,100        109  

Nitto Denko

     85,100                4,095  

Nitto Kogyo

     8,500        161  

Nojima

     5,900        99  

Nomura

     25,700        324  

Nomura Holdings

     227,200        963  

Nomura Real Estate Holdings

     3,400        73  

Nomura Real Estate Master Fund‡

     110        199  

Nomura Research Institute

     17,000        338  

Noritake

     3,100        114  

North Pacific Bank

     87,400        185  

NS Solutions

     8,300        271  

NS United Kaiun Kaisha

     3,600        75  

NSD

     14,900        428  

NSK

     8,200        69  

NTT Data

     97,500        1,256  

NTT DOCOMO

     52,900        1,347  

NuFlare Technology

     7,120        505  

Obayashi

     88,100        877  

Obic

     4,160        474  

OBIC Business Consultants

     1,200        49  

Odakyu Electric Railway

     8,000        191  

Oji Holdings

     22,600        105  

Oki Electric Industry

     23,700        322  

Olympus

     520,400        7,007  

Omron

     109,300        5,973  

One‡

     244        716  

Ono Pharmaceutical

     10,300        186  

Onward Holdings

     37,400        194  

Oracle Japan

     2,400        208  

Organo

     12,500        554  

Oriental Land

     5,200        790  

ORIX

     34,900        519  

Osaka Gas

     10,200        195  

Osaki Electric

     8,700        53  

OSJB Holdings

     48,600        111  

Otsuka

     6,500        259  

Otsuka Holdings

     29,200        1,092  

Oyo

     1,600        16  

Pan Pacific International Holdings

     11,200        187  

Panasonic

     55,800        452  

Park24

     2,500        58  

Pasona Group

     1,200        17  

PCA

     2,800        100  

Penta-Ocean Construction

     43,300        239  

PeptiDream*

     2,400        114  

Persol Holdings

     16,000        302  

Pigeon

     3,100        128  

Pola Orbis Holdings

     2,000        45  

Pressance

     9,700        156  

Prima Meat Packers

     4,000        80  

Proto

     7,200        78  

PS Mitsubishi Construction

     32,900        220  

Punch Industry

     4,400        20  

Raito Kogyo

     1,500        20  

Rakuten*

     23,100        227  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

Recruit Holdings

     35,500      $         1,080  

Relia

     60,300        751  

Renesas Electronics*

     114,600        744  

Resona Holdings

     357,440        1,531  

Restar Holdings

     6,700        109  

Ricoh

     17,300        156  

Ricoh Leasing

     6,500        210  

Rinnai

     3,400        228  

Riso Kyoiku

     50,400        205  

Rohm

     7,000        534  

Roland DG

     4,500        83  

Round One

     7,600        114  

Ryohin Keikaku

     14,100        263  

Ryoyo Electro

     7,800        133  

S Foods

     6,600        182  

Saizeriya

     27,400        703  

SAMTY

     19,700        343  

San-In Godo Bank

     8,300        50  

Sanki Engineering

     27,300        323  

Sankyo

     1,300        45  

Sankyo Tateyama

     7,500        87  

Santen Pharmaceutical

     9,800        170  

Sato Holdings

     4,100        111  

Sawai Pharmaceutical

     2,600        134  

SBI Holdings

     6,000        128  

Scala

     25,400        230  

SCSK

     6,600        309  

SEC Carbon

     2,500        189  

Secom

     11,000        1,004  

Sega Sammy Holdings

     36,300        508  

Seibu Holdings

     5,400        94  

Seiko Epson

     6,500        91  

Seiko Holdings

     14,700        324  

Seikoh Giken

     4,500        112  

Sekisui Chemical

     30,200        467  

Sekisui House

     16,600        326  

Sekisui House‡

     1,383        1,239  

Senko

     19,200        149  

Seven & i Holdings

     55,800        2,132  

Seven Bank

     16,800        46  

SG Holdings

     3,700        91  

Sharp

     5,400        60  

Shibaura Mechatronics

     2,300        61  

Shiga Bank

     10,149        230  

Shikoku Bank

     2,100        19  

Shimadzu

     11,900        300  

Shimamura

     700        55  

Shimano

     2,800        422  

Shimizu

     62,100        562  

Shin Nippon Biomedical Laboratories*

     35,200        217  

Shin-Etsu Chemical

     29,400        3,143  

Shinsei Bank*

     39,000        568  

Shionogi

     6,860        381  

Shiseido

     10,300        822  

Shizuoka Bank

     79,300        590  

SHO-BOND Holdings

     3,600        126  

Showa

     9,900        143  

Showa Denko

     3,400        89  

Showa Sangyo

     8,700        247  

Sinko Industries

     5,800        93  

Sintokogio

     9,200        83  

SK-Electronics

     19,900        348  

SKY Perfect JSAT Holdings

     69,600        281  

SMC

     1,500        639  

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

Softbank

     44,000      $ 596  

SoftBank Group

     43,000        1,686  

Softbrain

     12,200        73  

Sohgo Security Services

     6,600        345  

Sompo Holdings

     28,100        1,174  

Sony

     42,800                2,513  

Sony Financial Holdings

     10,800        234  

Stanley Electric

     3,500        92  

Starts

     4,100        100  

Sugi Holdings

     2,300        124  

SUMCO

     6,600        89  

Sumitomo

     31,300        489  

Sumitomo Chemical

     38,800        174  

Sumitomo Dainippon Pharma

     3,900        64  

Sumitomo Densetsu

     8,900        181  

Sumitomo Electric Industries

     35,600        451  

Sumitomo Heavy Industries

     3,100        92  

Sumitomo Metal Mining

     9,600        297  

Sumitomo Mitsui Financial Group

     70,300        2,401  

Sumitomo Mitsui Trust Holdings

     15,100        544  

Sumitomo Realty & Development

     8,800        335  

Sumitomo Riko

     11,700        93  

Sumitomo Rubber Industries

     4,300        51  

Sumitomo Warehouse

     4,200        55  

Sundrug

     6,000        189  

Suntory Beverage & Food

     8,200        350  

Suzuken

     5,400        290  

Suzuki Motor

     9,300        395  

SWCC Showa Holdings

     15,900        128  

Sysmex

     4,220        282  

System Research

     4,000        71  

Systena

     33,600        498  

T&D Holdings

     31,300        331  

Taiheiyo Cement

     12,300        329  

Taiho Kogyo, Cl A

     1,858        13  

Taiko Pharmaceutical

     4,000        91  

Taisei

     5,300        205  

Taisho Pharmaceutical Holdings

     900        65  

Taiyo Nippon Sanso

     2,900        59  

Taiyo Yuden

     7,900        192  

Takara Standard

     6,800        112  

Takasago International

     900        22  

Takasago Thermal Engineering

     17,200        284  

Takashimaya

     33,900        395  

Takeda Pharmaceutical

     43,424        1,483  

Takuma

     20,500        232  

Tama Home

     43,100        556  

Tamron

     13,900        298  

Tanseisha

     26,200        293  

Tatsuta Electric Wire and Cable

     6,900        29  

TDK

     7,900        707  

TechMatrix

     22,000        473  

TechnoPro Holdings

     3,200        189  

Teijin

     4,000        77  

Teikoku Tsushin Kogyo

     1,600        17  

Tekken

     5,500        140  

Terumo

     215,000        6,919  

T-Gaia

     5,300        107  

THK

     3,400        89  

TIS

     17,000        980  

Toa

     1,900        21  

Toa Road

     400        13  

Tobu Railway

     5,200        168  

TOC

     2,300        18  

Toho

     6,600        289  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  

(000)  

 

 

Toho Gas

     1,900      $ 73  

Toho Holdings

     11,700        271  

Tohoku Electric Power

     12,200        119  

Tokai

     2,500        55  

Tokio Marine Holdings

     34,600               1,850  

Tokuyama

     4,500        103  

Tokyo Century

     900        42  

Tokyo Dome

     29,200        281  

Tokyo Electric Power Holdings*

     38,900        190  

Tokyo Electron

     4,100        781  

Tokyo Electron Device

     6,300        118  

Tokyo Gas

     19,000        478  

Tokyo Keiki

     1,900        16  

Tokyo Ohka Kogyo

     5,500        204  

Tokyo Seimitsu

     4,800        141  

Tokyu

     13,300        249  

Tokyu Construction

     89,000        680  

Tokyu Fudosan Holdings

     14,700        94  

TOMONY Holdings

     56,400        183  

Tomy

     35,400        404  

Toppan Forms

     20,300        192  

Toppan Printing

     7,600        134  

Topre

     7,800        123  

Toray Industries

     84,300        625  

Torii Pharmaceutical

     7,100        189  

Torishima Pump Manufacturing

     5,600        51  

Tosei

     6,200        73  

Toshiba

     13,600        415  

Toshiba TEC

     9,900        292  

Tosoh

     6,000        79  

TOTO

     4,100        153  

Towa Pharmaceutical

     15,000        347  

Toyo Business Engineering

     805        23  

Toyo Construction

     29,900        129  

Toyo Machinery & Metal

     2,300        12  

Toyo Seikan Group Holdings

     25,300        392  

Toyo Suisan Kaisha

     19,900        798  

Toyoda Gosei

     2,200        44  

Toyota Industries

     7,200        413  

Toyota Motor

     132,800        8,863  

Toyota Tsusho

     5,200        168  

Transaction

     29,300        279  

Transcosmos*

     4,300        104  

Treasure Factory

     3,200        40  

Trend Micro*

     3,400        162  

Tsumura

     5,400        144  

Tsuruha Holdings

     1,000        109  

Ube Industries

     15,800        318  

ULS Group

     500        13  

Unicharm

     10,100        319  

UNITED

     15,100        166  

United Arrows

     6,000        175  

United Urban Investment‡

     73        140  

Ushio

     22,800        322  

USS

     16,400        318  

V Technology

     1,700        83  

ValueCommerce

     11,500        182  

Vital KSK Holdings

     22,500        218  

VT Holdings

     30,800        126  

Waseda Academy

     2,200        16  

WATAMI

     6,600        83  

Wealth Management

     4,100        89  

Welcia Holdings

     1,100        55  

West Japan Railway

     20,100        1,698  

Will Group

     25,500        221  

Description

 

  

Shares  

 

    

Value  

(000)  

 

 

World Holdings

     3,400      $ 49  

Yahoo Japan

     66,600        187  

Yakult Honsha

     3,100        173  

YAMABIKO

     5,600        59  

Yamada Denki*

     13,800        67  

Yamaguchi Financial Group

     35,800        246  

Yamaha

     3,700        166  

Yamaha Motor

     6,900        125  

Yamanashi Chuo Bank

     6,600        63  

Yamato Holdings

     11,220        169  

Yamazaki Baking

     3,100        55  

Yamazen

     3,900        34  

Yaskawa Electric

     6,200        227  

Yokogawa Electric

     5,700        104  

Yokohama Reito

     14,600        140  

Yokohama Rubber

     2,700        54  

Yokowo

     3,200        87  

Yossix

     6,100        178  

ZERIA Pharmaceutical

     4,800        84  

ZOZO

     9,700        224  
     

 

 

 
       

 

   290,216

 

 

 

     

 

 

 

Kenya – 0.0%

     

East African Breweries

 

     371,978        694  
     

 

 

 

Luxembourg – 0.1%

     

RTL Group

     927        45  

Ternium ADR

     46,079        884  
     

 

 

 
       

 

929

 

 

 

     

 

 

 

Malaysia – 0.1%

     

Aeon M

     120,400        42  

AirAsia X*

     136,400        5  

Allianz Malaysia

     6,200        20  

Bermaz Auto

     398,300        218  

DRB-Hicom

     116,000        66  

Hong Leong Bank

     25,700        100  

Hong Leong Industries

     5,500        14  

Insas

     326,100        64  

Kenanga Investment Bank

     85,500        10  

KSL Holdings*

     551,500        103  

Malaysia Airports Holdings

     114,200        236  

Malaysian Pacific Industries

     17,267        38  

MISC

     71,900        134  

Padini Holdings

     207,100        189  

Petron Malaysia Refining & Marketing

     98,639        125  

Sime Darby

     170,300        91  

Supermax

     100,400        38  

Syarikat Takaful Malaysia Keluarga

     24,000        34  

Tropicana

     48         

Uchi Technologies

     80,529        54  

Unisem

     160,827        74  
     

 

 

 
       

 

1,655

 

 

 

     

 

 

 

Mexico – 0.6%

     

Credito Real SOFOM ER

     2,787        3  

Fibra Uno Administracion‡

     126,171        185  

Genomma Lab Internacional, Cl B*

     1,782,235        1,720  

Gentera

     1,225,146        1,016  

Grupo Aeroportuario del Pacifico, Cl B

     212,249        2,049  

Grupo Financiero Banorte, Cl O

     330,024        1,779  

Grupo Financiero Inbursa, Cl O

     580,404        740  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  

(000)  

 

Grupo Lala, Cl B

     648,355      $ 741  

Grupo Televisa ADR

     48,770        477  

Industrias Bachoco

     75,859        333  

Nemak(A)

     987,217        445  

Vitro

     18,814        41  

Wal-Mart de Mexico

     578,299                1,714  
     

 

 

 
       

 

11,243

 

 

 

     

 

 

 

Netherlands – 2.8%

     

Aalberts Industries

     45,790        1,815  

ABN AMRO Bank

     11,334        200  

Accell Group

     2,608        63  

Adyen*

     256        169  

Aegon

     48,837        203  

Akzo Nobel

     77,262        6,888  

Amsterdam Commodities

     2,462        53  

ArcelorMittal

     49,647        698  

ASM International

     15,865        1,461  

ASML Holding

     13,406        3,321  

ASR Nederland

     11,193        413  

Boskalis Westminster

     185,489        3,869  

Coca-Cola European Partners

     2,070        116  

Eurocommercial Properties‡

     5,067        141  

Euronext(A)

     9,002        736  

Fugro*

     130,830        882  

Heineken

     25,576        2,764  

Heineken Holding

     3,037        302  

ING Groep

     407,779        4,269  

Intertrust(A)

     17,082        334  

Koninklijke Ahold Delhaize

     75,747        1,895  

Koninklijke DSM

     4,777        575  

Koninklijke KPN

     366,057        1,141  

Koninklijke Philips

     50,746        2,351  

Koninklijke Volkerwessels

     11,388        202  

Koninklijke Vopak

     1,983        102  

NN Group

     7,494        266  

Prosus*

     12,756        936  

Randstad

     69,094        3,396  

RELX

     190,536        4,533  

Royal Dutch Shell, Cl A

     30,255        887  

SBM Offshore

     314,290        5,224  

Signify(A)

     3,987        110  

Sligro Food Group

     140        4  

Takeaway.com* (A)

     1,061        85  

Unibail-Rodamco-Westfield‡

     2,964        432  

Unilever

     37,964        2,282  

Van Lanschot Kempen

     3,116        68  

Wolters Kluwer

     7,371        538  
     

 

 

 
       

 

53,724

 

 

 

     

 

 

 

New Zealand – 0.1%

     

a2 Milk*

     18,245        151  

Auckland International Airport

     25,382        145  

Fisher & Paykel Healthcare

     15,577        169  

Fletcher Building

     23,733        77  

Infratil

     113,129        348  

Meridian Energy

     32,722        107  

NZX

     83,714        68  

PGG Wrightson

     6,591        10  

Property for Industry‡

     32,158        48  

Ryman Healthcare

     11,389        95  

Skellerup Holdings

     19,474        28  

SKY Network Television

     154,015        108  

Spark New Zealand

     171,622        474  

Trustpower

     32,176        167  

Description

 

  

Shares  

 

    

Value  

(000)  

 

Vista Group International

     20,539      $ 49  
     

 

 

 
       

 

2,044

 

 

 

     

 

 

 

Norway – 0.9%

     

Adevinta, Cl A*

     10,414        121  

Adevinta, Cl B*

     8,764        101  

Aker BP

     3,097        83  

Bakkafrost P

     24,380                1,439  

DNB

     50,991        899  

Elkem(A)

     42,025        102  

Equinor

     57,508        1,094  

Gjensidige Forsikring

     5,662        112  

Mowi

     11,604        268  

Norsk Hydro

     32,182        113  

Orkla

     20,673        188  

Salmar

     3,345        147  

Schibsted, Cl A

     10,414        308  

Schibsted, Cl B

     11,534        323  

SpareBank 1 BV

     17,631        72  

Sparebank 1 Oestlandet

     26,700        245  

SpareBank 1 SR-Bank

     53,156        580  

Sparebanken More

     1,457        49  

Telenor

     18,888        379  

TGS NOPEC Geophysical

     151,800        3,853  

Yara International

     169,839        7,314  
     

 

 

 
       

 

17,790

 

 

 

     

 

 

 

Peru – 0.2%

     

Cia de Minas Buenaventura ADR

     31,867        484  

Credicorp

     12,296        2,563  
     

 

 

 
       

 

3,047

 

 

 

     

 

 

 

Philippines – 0.0%

     

First Gen

     162,100        77  

Lopez Holdings

     759,100        64  

SSI Group

     279,000        15  

Wilcon Depot

     184,519        59  
     

 

 

 
       

 

215

 

 

 

     

 

 

 

Poland – 0.3%

     

Asseco Poland

     12,648        161  

Cyfrowy Polsat

     10,902        72  

Enea*

     60,238        130  

Energa

     62,376        99  

Eurocash

     73,473        385  

Grupa Lotos

     60,862        1,344  

Jastrzebska Spolka Weglowa

     6,115        33  

LPP

     440        944  

Neuca

     96        9  

Polski Koncern Naftowy Orlen

     64,848        1,595  

Polskie Gornictwo Naftowe i Gazownictwo

     65,399        77  

Powszechna Kasa Oszczednosci Bank Polski

     21,424        210  

Powszechny Zaklad Ubezpieczen

     20,387        190  

TEN Square Games

     193        6  
     

 

 

 
       

 

5,255

 

 

 

     

 

 

 

Portugal – 0.2%

     

Altri SGPS

     76,265        507  

Banco Espirito Santo* (B) (C)

     46,916         

EDP-Energias de Portugal

     67,937        264  

Galp Energia

     113,708        1,713  

Jeronimo Martins

     5,808        98  

Mota-Engil SGPS

     46,101        91  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  

(000)  

 

Sonae SGPS

     333,324      $ 311  
     

 

 

 
       

 

        2,984

 

 

 

     

 

 

 

Qatar – 0.1%

     

Mannai

     7,450        7  

Ooredoo QPSC

     636,880        1,264  

Qatar National Bank SAQ

     134,324        712  

United Development QSC

     170,100        62  
     

 

 

 
       

 

2,045

 

 

 

     

 

 

 

Russia – 0.5%

     

Alrosa PJSC

     622,332        715  

Lukoil PJSC ADR

     6,412        531  

Magnit PJSC

     8,284        454  

Magnitogorsk Iron & Steel Works PJSC GDR

     43,766        339  

MMC Norilsk Nickel PJSC ADR

     92,434        2,366  

Novolipetsk Steel PJSC GDR

     37,865        822  

PhosAgro PJSC GDR

     59,993        766  

Polyus PJSC GDR

     5,556        321  

Sberbank of Russia PJSC ADR

     122,106        1,731  

Severstal PJSC GDR

     53,292        765  

Tatneft PJSC ADR

     5,656        359  

VEON ADR

     23,598        57  
     

 

 

 
       

 

9,226

 

 

 

     

 

 

 

Singapore – 2.0%

     

Ascendas‡

     68,100        154  

Ascott Residence Trust‡

     357,000        341  

Asian Pay Television Trust

     403,700        49  

Best World International

     17,700        17  

Cache Logistics Trust‡

     218,300        117  

CapitaLand

     63,300        162  

CapitaLand Commercial Trust‡

     73,974        111  

CapitaLand Mall Trust‡

     65,900        125  

City Developments

     11,500        82  

ComfortDelGro

     59,000        102  

Dairy Farm International Holdings

     31,400        198  

DBS Group Holdings

     277,034        5,011  

Delfi

     1,162,400        1,009  

Frasers Property

     82,600        105  

Frencken Group

     314,500        154  

Genting Singapore

     146,000        93  

Golden Agri-Resources

     140,800        23  

Great Eastern Holdings

     49,700        817  

Haw Par

     35,012        339  

Hi-P International, Cl P

     69,800        57  

Hongkong Land Holdings

     781,600        4,392  

Hour Glass

     112,000        65  

Jardine Cycle & Carriage

     2,533        55  

Jardine Matheson Holdings

     144,300        7,720  

Jardine Strategic Holdings

     5,600        167  

Jumbo Group

     71,700        19  

Keppel

     35,600        153  

Mapletree Commercial Trust‡

     771,200        1,277  

Oversea-Chinese Banking

     80,171        630  

Parkway Life‡

     118,700        269  

Sasseur Real Estate Investment Trust‡

     206,600        119  

SATS

     20,400        71  

Sembcorp Industries

     18,500        28  

Silverlake Axis

     335,700        112  

Singapore Airlines

     12,500        83  

Singapore Exchange

     20,400        125  

Description

 

  

Shares  

 

    

Value  

(000)  

 

Singapore Medical Group*

     27,700      $ 6  

Singapore Press Holdings

     46,200        69  

Singapore Technologies Engineering

     38,700        108  

Singapore Telecommunications

     1,830,600                4,106  

Sunningdale Tech

     66,700        59  

Suntec‡

     46,100        63  

United Industrial

     18,948        39  

United Overseas Bank

     450,970        8,372  

UOL Group

     12,285        67  

Venture

     77,200        855  

Wilmar International

     48,500        131  

Yangzijiang Shipbuilding Holdings

     413,300        287  

Yanlord Land Group

     159,300        135  
     

 

 

 
       

 

38,648

 

 

 

     

 

 

 

South Africa – 1.2%

     

Alviva Holdings

     10,469        11  

Anglo American

     28,053        652  

Anglo American Platinum

     33,345        2,010  

Astral Foods

     3,160        31  

Bid

     61,725        1,313  

Bidvest Group

     140,532        1,771  

Capitec Bank Holdings

     27,388        2,328  

Cie Financiere Richemont

     74,996        553  

Clicks Group

     112,517        1,597  

FirstRand

     396,960        1,630  

Gold Fields ADR

     77,361        381  

Grindrod

     1,060,062        315  

Harmony Gold Mining ADR*

     32,915        93  

Momentum Metropolitan Holdings

     121,518        150  

Peregrine Holdings

     175,380        202  

Raubex Group

     307,768        387  

Sasol

     47,020        786  

Standard Bank Group

     179,911        2,075  

Super Group*

     130,668        239  

Telkom

     202,895        946  

Tiger Brands

     311,760        4,334  

Tsogo Sun Gaming

     153,344        133  

Tsogo Sun Hotels*

     148,686        40  

Wilson Bayly Holmes-Ovcon

     9,970        94  
     

 

 

 
       

 

22,071

 

 

 

     

 

 

 

South Korea – 2.8%

     

Actoz Soft*

     3,934        37  

AMOREPACIFIC Group

     16,271        890  

Cheil Worldwide

     24,245        503  

CJ Hello

     45,601        238  

Dae Han Flour Mills

     86        12  

Daelim Industrial

     5,063        440  

Daeyang Electric*

     3,787        40  

Deutsch Motors*

     36,373        237  

Dongyang E&P

     10,103        99  

Douzone Bizon

     13,916        761  

Fila Korea

     5,103        247  

Gravity ADR

     417        14  

GS Engineering & Construction

     16,789        464  

GS Home Shopping

     1,907        248  

GS Retail

     7,415        256  

Hana Financial Group

     32,063        945  

Hankook Tire & Technology

     15,484        417  

Hansol Technics*

     9,546        56  

HDC Hyundai Development - Engineering & Construction, Cl E

     3,497        96  

Hyundai Glovis

     2,881        376  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  

(000)  

 

Hyundai Motor

     6,700      $ 751  

Innocean Worldwide

     7,836        436  

Interpark

     21,256        94  

Interpark Holdings

     47,727        93  

JB Financial Group

     9,678        45  

Kia Motors

     59,695                2,275  

Korea Investment Holdings

     6,441        405  

KT

     17,542        403  

KT ADR

     85,488        967  

LG

     19,264        1,127  

LG Display

     24,679        292  

LG Electronics

     31,796        1,792  

LG Household & Health Care

     2,398        2,620  

LG Uplus

     101,551        1,158  

LOTTE Himart

     1,119        28  

MegaStudyEdu

     1,335        38  

Moorim Paper

     15,148        34  

Neowiz*

     20,154        260  

NHN*

     6,396        334  

Partron

     20,826        223  

POSCO

     1,529        290  

POSCO ADR

     90,000        4,245  

S-1, Cl 1

     5,884        483  

Samsung Electronics

     278,233        11,409  

Samsung Electronics GDR(A)

     6,240        6,397  

Samsung Engineering*

     11,750        165  

Samsung Fire & Marine Insurance

     6,140        1,145  

Samsung SDS

     2,933        467  

SeAH Holdings

     225        15  

Seohan

     15,917        17  

Shinhan Financial Group

     57,418        2,007  

SK Hynix

     54,856        3,769  

SK Telecom

     9,902        1,999  

UIL

     6,402        28  

Youngone Holdings

     595        24  
     

 

 

 
       

 

52,211

 

 

 

     

 

 

 

Spain – 1.4%

     

Acerinox

     36,809        315  

ACS Actividades de Construccion y Servicios

     6,599        264  

Aena SME

     1,692        310  

Amadeus IT Group, Cl A

     100,796        7,221  

Applus Services

     21,380        277  

Banco Bilbao Vizcaya Argentaria

     171,646        894  

Banco de Sabadell

     156,591        152  

Banco Santander

     1,654,824        6,740  

Bankia

     251,021        474  

Bankinter

     16,736        106  

Bolsas y Mercados Espanoles SHMSF

     8,837        223  

CaixaBank

     90,500        238  

Cellnex Telecom

     4,931        204  

CIE Automotive

     11,384        285  

eDreams ODIGEO*

     7,047        33  

Enagas

     5,896        137  

Endesa

     8,497        224  

Faes Farma

     67,059        342  

Ferrovial

     21,202        613  

Gestamp Automocion(A)

     78,474        366  

Grifols

     7,930        234  

Grupo Empresarial San Jose*

     18,706        138  

Iberdrola

     154,853        1,609  

Indra Sistemas*

     31,972        277  

Industria de Diseno Textil

     28,057        868  

Description

 

  

Shares  

 

    

Value  

(000)  

 

Mapfre

     31,658      $ 85  

Masmovil Ibercom*

     16,540        336  

Mediaset Espana Comunicacion

     16,938        109  

Naturgy Energy Group

     7,623        202  

Pharma Mar*

     5,117        10  

Red Electrica

     10,976        223  

Repsol

     37,182        581  

Siemens Gamesa Renewable Energy

     6,791        92  

Talgo* (A)

     15,272        84  

Telefonica

     120,224        917  

Viscofan

     12,377        580  
     

 

 

 
       

 

25,763

 

 

 

     

 

 

 

Sweden – 1.7%

     

AddNode Group, Cl B

     3,262        53  

AddTech, Cl B

     789        21  

AF POYRY, Cl B

     8,663        175  

Alfa Laval

     7,725        152  

Arjo

     89,437        339  

Assa Abloy, Cl B

     138,448                3,082  

Atlas Copco, Cl A

     17,680        545  

Atlas Copco, Cl B

     10,330        280  

Avanza Bank Holding

     10,568        86  

Axfood

     17,839        379  

Bergman & Beving, Cl B

     5,478        47  

Biotage

     26,498        275  

Boliden

     6,579        151  

BTS Group, Cl B*

     574        11  

Bufab

     4,757        49  

Bure Equity

     27,252        399  

Clas Ohlson, Cl B

     25,072        241  

Cloetta, Cl B

     124,791        358  

Concentric

     5,141        63  

Dios Fastigheter

     63,098        551  

Electrolux

     6,185        147  

Elekta, Cl B

     40,659        536  

Enea

     3,656        53  

Enlabs*

     10,416        23  

Eolus Vind, Cl B

     17,511        186  

Epiroc, Cl A

     17,155        186  

Epiroc, Cl B

     10,544        109  

Essity, Cl B

     113,896        3,324  

Evolution Gaming Group(A)

     23,193        456  

Fastighets Balder, Cl B*

     51,420        1,948  

Ferronordic Machines

     3,314        45  

Fortnox

     13,561        227  

GARO

     2,645        84  

Getinge, Cl B

     79,719        1,116  

Hemfosa Fastigheter

     57,196        579  

Hennes & Mauritz, Cl B

     20,629        399  

Hexagon, Cl B

     6,528        315  

Hoist Finance(A)

     66,707        379  

Husqvarna, Cl B

     12,023        91  

ICA Gruppen

     2,452        113  

Industrivarden, Cl C

     3,830        84  

Instalco

     15,693        161  

Intrum

     10,897        274  

Investor, Cl B

     11,986        585  

Inwido

     39,659        214  

Kinnevik

     5,807        153  

Kungsleden

     45,953        417  

L E Lundbergforetagen, Cl B

     1,719        65  

Lagercrantz Group, Cl B

     4,907        63  

Lifco, Cl B

     3,212        151  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares

 

    

Value 

(000) 

 

Lindab International

     66,353      $ 677  

Lundin Petroleum

     4,862        145  

Millicom International Cellular

     8,273        401  

Moberg Pharma*

     30,769        212  

Modern Times Group, Cl B

     15,460        128  

NetEnt

     37,077        114  

Nordea Bank Abp

     158,182        1,122  

Nordic Entertainment Group, Cl B

     30,653        725  

NP3 Fastigheter

     2,267        23  

Nyfosa*

     64,506        439  

Orexo*

     17,252        94  

Pricer, Cl B

     39,505        50  

Recipharm, Cl B

     10,147        136  

Rejlers, Cl B

     2,297        26  

Resurs Holding(A)

     64,416        382  

Sandvik

     93,850        1,463  

Sectra, Cl B*

     4,088        135  

Securitas, Cl B

     8,369        128  

Sintercast

     348        5  

Skandinaviska Enskilda Banken, Cl A

     41,871        385  

Skanska, Cl B

     8,469        172  

SKF, Cl B

     9,670        160  

SkiStar

     12,571        161  

SSAB, Cl A

     64,100        178  

Svenska Handelsbanken, Cl A

     139,754        1,308  

Sweco, Cl B

     5,194        148  

Swedbank, Cl A

     23,888        344  

Swedish Match

     15,487        640  

Swedish Orphan Biovitrum*

     8,757        134  

Tele2, Cl B

     13,022        194  

Telefonaktiebolaget LM Ericsson, Cl B

     80,704        645  

Telia

     70,908        317  

Tethys Oil

     6,487        52  

Vitec Software Group, Cl B

     4,373        62  

Vitrolife

     18,166        297  

Volvo, Cl B

     39,121        548  

Wihlborgs Fastigheter

     47,737        776  
     

 

 

 
       

 

     32,666

 

 

 

     

 

 

 

Switzerland – 6.7%

     

ABB

     47,380        931  

Adecco Group

     28,595        1,582  

Alcon*

     47,800        2,787  

ALSO Holding

     2,159        308  

ams

     8,870        394  

Ascom Holding

     9,108        94  

Baloise Holding

     1,306        234  

Barry Callebaut

     60        124  

Cembra Money Bank

     3,595        375  

Chocoladefabriken Lindt & Spruengli

     3        248  

Chocoladefabriken Lindt & Spruengli PC

     28        207  

Cie Financiere Richemont

     117,496        8,619  

Clariant

     4,528        88  

Coca-Cola

     5,406        177  

Credit Suisse Group

     66,259        812  

DKSH Holding

     4,900        245  

Dufry

     1,234        103  

EMS-Chemie Holding

     192        120  

Geberit

     5,645        2,696  

Givaudan

     243        678  

Gurit Holding

     53        71  

Description

 

  

Shares

 

    

Value 

(000) 

 

 

Helvetia Holding

     9,169      $ 1,265  

Huber + Suhner

     1,058        68  

Julius Baer Group

     59,679        2,644  

Kardex

     1,154        159  

Kuehne + Nagel International

     1,380        203  

LafargeHolcim

     157,609        7,757  

Landis+Gyr Group

     1,034        93  

Lastminute.com*

     2,209        85  

Logitech International

     18,808        763  

Lonza Group

     1,956        661  

Nestle

     228,845        24,827  

Novartis

     251,634        21,818  

Pargesa Holding

     1,077        83  

Partners Group Holding

     480        368  

Roche Holding

     64,450        18,756  

Schindler Holding

     541        121  

Schindler Holding PC

     1,038        232  

SGS

     140        347  

SIG Combibloc Group

     13,245        177  

Sika

     20,732        3,032  

Sonova Holding

     4,732        1,100  

Straumann Holding

     276        226  

Sulzer

     2,965        292  

Swatch Group

     1,404        71  

Swatch Group BR

     20,557        5,456  

Swiss Life Holding

     866        414  

Swiss Prime Site

     2,052        201  

Swiss Re

     7,850        819  

Swisscom

     650        321  

Swissquote Group Holding

     1,695        70  

Tamedia

     514        51  

Temenos*

     1,687        282  

UBS Group

     578,755        6,571  

Vifor Pharma

     1,194        191  

VZ Holding

     213        64  

Zehnder Group

     577        23  

Zurich Insurance Group

     17,340        6,637  
     

 

 

 
       

 

        127,141

 

 

 

     

 

 

 

Taiwan – 2.1%

     

AU Optronics ADR

     590,986        1,454  

ChipMOS Technologies ADR

     8,333        169  

Chroma ATE

     116,000        551  

Delta Electronics

     231,516        990  

E.Sun Financial Holding

     2,074,723        1,756  

Giant Manufacturing

     122,414        835  

Merida Industry

     66,428        379  

PChome Online

     150,587        631  

Taiwan Semiconductor

     

Manufacturing

     456,000        4,014  

Taiwan Semiconductor

     

Manufacturing ADR

     492,012        22,868  

Teco Electric and Machinery

     1,223,387        986  

Uni-President Enterprises

     1,222,000        2,945  

United Microelectronics ADR

     498,001        1,041  

Yungtay Engineering

     641,000        1,307  
     

 

 

 
       

 

39,926

 

 

 

     

 

 

 

Thailand – 0.5%

     

Airports of Thailand

     956,800        2,338  

Bangchak NVDR

     160,900        143  

Bangkok Bank

     46,900        266  

Bangkok Bank NVDR

     21,200        120  

BEC World*

     617,700        149  

CP ALL

     910,200        2,418  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares

 

    

Value 
(000) 

 

 

Kasikornbank

     108,900      $ 558  

PTG Energy NVDR

     827,100        508  

PTT NVDR

     1,380,300        2,088  

PTT Exploration & Production

     

NVDR

     112,100        443  

Thai Oil NVDR

     64,700        148  
     

 

 

 
       

 

       9,179

 

 

 

     

 

 

 

Turkey – 0.5%

     

Akbank T.A.S.

     1,085,533        1,560  

Albaraka Turk Katilim Bankasi*

     44,267        11  

Anadolu Cam Sanayii

     44,655        25  

Arcelik

     39,404        133  

Dogan Sirketler Grubu Holding

     2,244,390        609  

Dogus Otomotiv Servis ve Ticaret

     91,794        127  

Enka Insaat ve Sanayi

     49,360        49  

Eregli Demir ve Celik Fabrikalari

     535,664        650  

Haci Omer Sabanci Holding

     562,312        953  

Tekfen Holding

     5,919        20  

Turkiye Garanti Bankasi*

     1,393,068        2,518  

Turkiye Is Bankasi, Cl C

     1,029,411        1,143  

Turkiye Sise ve Cam Fabrikalari

     421,190        348  

Ulker Biskuvi Sanayi

     99,979        348  

Vestel Elektronik Sanayi ve

     

Ticaret*

     182,299        323  

Yapi ve Kredi Bankasi*

     1,522,527        650  
     

 

 

 
       

 

9,467

 

 

 

     

 

 

 

United Arab Emirates – 0.0%

     

Abu Dhabi Islamic Bank PJSC

     308,336        427  

Aldar Properties PJSC

     290,415        165  

Emirates NBD PJSC

     10,430        37  
     

 

 

 
       

 

629

 

 

 

     

 

 

 

United Kingdom – 13.9%

     

3i Group

     159,394        2,286  

4imprint Group

     8,929        329  

888 Holdings

     31,902        60  

Admiral Group

     41,300        1,076  

Aggreko

     412,784        4,217  

Anglo American

     306,721        7,057  

Antofagasta

     63,567        703  

Ashmore Group

     69,680        434  

Ashtead Group

     12,267        341  

Associated British Foods

     8,986        254  

AstraZeneca

     34,136        3,048  

Auto Trader Group

     146,839        921  

Avast(A)

     129,031        615  

Aviva

     103,306        507  

BAE Systems

     222,017        1,556  

Bank of Ireland Group

     11,295        45  

Barclays

     1,930,440        3,570  

Barratt Developments

     63,178        503  

Barrick Gold

     6,440        116  

Begbies Traynor Group

     81         

Berkeley Group Holdings

     69,739        3,584  

BHP Group

     369,212        7,863  

BP

     832,469        5,280  

British American Tobacco

     65,861        2,435  

British Land‡

     22,005        158  

Britvic

     49,014        593  

BT Group, Cl A

     222,575        489  

Bunzl

     67,114        1,754  

Burberry Group

     10,870        291  

Capita

     289,578        516  

Description

 

  

Shares

 

    

Value 
(000) 

 

 

Capital & Regional‡

     394,363      $ 97  

Card Factory

     61,293        126  

Carnival

     91,022               3,772  

Centrica

     158,288        144  

Charter Court Financial Services Group(A)

     21,587        80  

Cineworld Group

     88,818        249  

Close Brothers Group

     12,842        222  

Cobham*

     865,086        1,668  

Codemasters Group Holdings*

     32,388        88  

Compass Group

     372,553        9,587  

Computacenter

     11,819        188  

Consort Medical

     4,741        44  

ConvaTec Group

     408,870        881  

Cranswick

     6,236        226  

Crest Nicholson Holdings

     63,627        296  

CRH

     6,900        237  

Croda International

     3,458        207  

CVS Group

     18,806        236  

Daily Mail & General Trust, Cl A

     20,164        211  

Dart Group

     67,218        757  

DCC

     16,904        1,475  

Devro

     84,569        197  

Diageo

     440,482        18,051  

Dialog Semiconductor*

     17,395        823  

Direct Line Insurance Group

     35,654        132  

Drax Group

     296,405        1,007  

DS Smith

     210,304        932  

Dunelm Group

     90,634        934  

easyJet

     43,527        615  

Elektron Technology*

     37,991        25  

EMIS Group

     86,633        1,082  

Endava ADR*

     3,900        148  

Euromoney Institutional Investor

     7,500        136  

Evraz

     12,827        74  

Experian

     308,475        9,859  

FDM Group Holdings

     30,857        280  

Ferguson

     5,869        429  

Ferrexpo

     11,192        22  

Firstgroup*

     112,445        190  

Flutter Entertainment

     13,097        1,225  

Forterra(A)

     29,442        103  

Fresnillo

     4,917        41  

Future

     36,817        555  

G4S

     373,091        868  

Games Workshop Group

     11,400        662  

GCP Student Living‡

     4,387        9  

Genel Energy

     91,368        207  

Georgia Capital*

     21,170        266  

GlaxoSmithKline

     129,839        2,785  

Glencore

     628,740        1,892  

Global Ports Investments GDR*

     214,134        638  

Globaltrans Investment GDR

     37,984        327  

Go-Ahead Group

     13,255        328  

Greggs

     51,482        1,323  

GVC Holdings

     134,572        1,230  

Halma

     9,640        234  

Hargreaves Lansdown

     7,211        184  

Hays

     371,181        688  

Hill & Smith Holdings

     11,443        176  

HomeServe

     137,901        2,011  

Hon Hai Precision Industry GDR

     168,705        795  

Howden Joinery Group

     91,697        632  

HSBC Holdings

     526,317        4,042  

IG Group Holdings

     69,064        512  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares

 

    

Value 
(000) 

 

 

IMI

     220,095      $        2,599  

Imperial Brands

     25,149        565  

Inchcape

     68,520        532  

Informa

     119,088        1,248  

IntegraFin Holdings

     1,981        10  

InterContinental Hotels Group

     4,570        285  

Intermediate Capital Group

     29,743        532  

International Personal Finance

     199,380        272  

Intertek Group

     49,203        3,314  

Investec

     92,158        474  

ITV

     662,032        1,025  

J D Wetherspoon

     4,377        83  

J Sainsbury

     41,496        112  

John Wood Group

     72,326        337  

Johnson Matthey

     4,938        186  

Jupiter Fund Management

     123,985        542  

Just Eat*

     257,408        2,114  

Kainos Group

     8,852        49  

Kerry Group, Cl A

     4,189        490  

Kingfisher

     54,348        138  

Kingspan Group

     3,953        193  

Land Securities Group‡

     19,033        200  

Legal & General Group

     157,321        480  

Lloyds Banking Group

     11,751,578        7,820  

London Stock Exchange Group

     8,179        735  

Lookers

     55,987        39  

Man Group

     247,591        532  

Marks & Spencer Group

     50,558        115  

Marston’s

     872,686        1,325  

McCarthy & Stone(A)

     82,718        148  

Meggitt

     20,578        161  

Melrose Industries

     122,461        304  

Merlin Entertainments(A)

     351,915        1,958  

Micro Focus International ADR

     4,526        64  

Micro Focus International

     4,238        59  

Mitchells & Butlers

     67,083        316  

Mitie Group

     74,027        133  

Mondi

     12,440        238  

Moneysupermarket.com Group

     57,283        267  

National Express Group

     122,683        653  

National Grid

     116,286        1,260  

NewRiver‡

     59,164        141  

Next

     3,602        274  

NMC Health

     2,122        71  

Non-Standard Finance(A)

     128,595        63  

Ocado Group*

     11,542        188  

Oxford Instruments

     3,440        54  

Pagegroup

     42,996        232  

Patisserie Holdings*

     3,055         

PayPoint

     12,245        137  

Pearson

     19,839        180  

Persimmon

     8,240        220  

Petrofac

     19,226        95  

Pets at Home Group

     377,771        968  

Phoenix Group Holdings

     24,481        208  

Playtech

     31,572        166  

Polar Capital Holdings

     9,928        66  

Provident Financial

     63,557        318  

Prudential

     135,002        2,448  

Rathbone Brothers

     7,358        201  

Reach

     55,123        60  

Reckitt Benckiser Group

     99,651        7,773  

Redrow

     55,337        420  

Regional‡ (A)

     85,190        108  

RELX

     191,847        4,558  

Description

 

  

Shares

 

    

Value 

(000) 

 

 

Rentokil Initial

     46,956      $ 270  

Rhi Magnesita

     8,035        401  

Rightmove

     381,458        2,582  

Rio Tinto

     105,367        5,453  

RM

     349        1  

Rolls-Royce Holdings

     426,741        4,158  

Rotork

     55,988        214  

Royal Bank of Scotland Group

     127,823        326  

Royal Dutch Shell, Cl A

     113,261        3,320  

Royal Dutch Shell, Cl B

     369,313        10,879  

RSA Insurance Group

     26,754        176  

RWS Holdings

     20,269        146  

Sage Group

     28,889        246  

Samsung Electronics GDR

     770        784  

Schroders

     2,906        110  

SDL

     8,777        58  

Segro‡

     29,143        292  

Serco Group*

     499,313        916  

Severn Trent

     6,149        164  

Sirius Real Estate

     76,117        71  

Smith & Nephew

     40,270        970  

Smiths Group

     285,061        5,503  

Softcat

     29,892        368  

Spectris

     146,427        4,400  

Spirax-Sarco Engineering

     1,869        180  

Spirent Communications

     10,525        26  

SSE

     28,084        430  

SSP Group

     182,986        1,395  

St. James’s Place

     49,104        591  

Standard Chartered

     220,852        1,858  

Standard Life Aberdeen

     65,429        230  

State Bank of India GDR*

     53,780        2,065  

Tate & Lyle

     153,101        1,386  

Taylor Wimpey

     82,862        165  

Ted Baker

     7,471        89  

Tesco

     3,434,899        10,179  

Thomas Cook Group

     693,862         

TP ICAP

     8,614        36  

Travis Perkins

     408,690        6,487  

TUI

     50,498        587  

Unilever

     64,639        3,886  

United Utilities Group

     17,592        178  

Vesuvius

     40,499        227  

Victrex

     33,259        882  

Vodafone Group

     822,327        1,638  

Weir Group

     252,288        4,422  

WH Smith

     30,171        737  

Whitbread

     3,305        174  

WM Morrison Supermarkets

     65,418        161  

Workspace Group‡

     14,454        171  

WPP

     301,338        3,772  

X5 Retail Group GDR

     22,281        779  
     

 

 

 
       

 

   263,456

 

 

 

     

 

 

 

United States – 1.0%

     

Communication Services – 0.2%

     

Perion Network*

     11,171        55  

Yandex, Cl A*

     85,595        2,997  
     

 

 

 
       

 

3,052

 

 

 

     

 

 

 

Consumer Staples – 0.1%

     

Coca-Cola European Partners

     10,350        574  

Nomad Foods*

     44,400        910  
 


  KP International Equity Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares

 

    

Value 
(000) 

 

 

PriceSmart

     11,624      $ 826  
     

 

 

 
       

 

2,310

 

 

 

     

 

 

 

Energy – 0.0%

     

Frontline*

     13,600        124  
     

 

 

 

Health Care – 0.0%

     

AC Immune*

     5,143        25  
     

 

 

 

Industrials – 0.6%

     

AerCap Holdings*

     3,102        170  

Canadian National Railway

     77,307        6,947  

Copa Holdings, Cl A

     33,300        3,288  

Ritchie Bros Auctioneers

     2,365        94  
     

 

 

 
       

 

10,499

 

 

 

     

 

 

 

Information Technology – 0.1%

     

AudioCodes

     24,000        454  

Camtek*

     5,747        54  

CyberArk Software*

     1,600        160  

Genpact

     14,133        548  

NXP Semiconductors

     7,359        803  

Sapiens International

     4,688        92  

Wix.com*

     1,200        140  
     

 

 

 
       

 

2,251

 

 

 

     

 

 

 

Materials – 0.0%

     

Freeport-McMoRan

     75,130        719  
     

 

 

 

Utilities – 0.0%

     

Atlantica Yield

     22,885        551  
     

 

 

 
       

 

19,531

 

 

 

     

 

 

 

Total Common Stock
(Cost $1,766,302) (000)

       

 

1,824,349

 

 

 

     

 

 

 

Preferred Stock — 0.6%

     

Alpargatas*

     293,872        1,830  

Banco Bradesco

     77,437        633  

Banco do Estado do Rio Grande do Sul

     103,400        560  

Bayerische Motoren Werke

     1,313        73  

Cia de Transmissao de Energia Eletrica Paulista

     100,468        594  

Cia Paranaense de Energia

     16,900        203  

Corem Property Group

     2,495        94  

FUCHS PETROLUB

     79,880        2,999  

Grupo Aval Acciones y Valores

     771,793        289  

Henkel & KGaA

     4,502        446  

Itausa - Investimentos Itau

     201,217        642  

Porsche Automobil Holding

     4,066        265  

Sartorius

     964        176  

Schaeffler

     42,417        326  

STO & KGaA

     969        101  

Telefonica Brasil

     63,800        843  

Volkswagen

     11,213       

 

1,907

 

 

 

     

 

 

 

Total Preferred Stock
(Cost $10,792) (000)

       

 

11,981

 

 

 

     

 

 

 

Description

 

  

Face Amount

 

    

Value

(000)

 

 

Corporate Obligation — 0.0%

     

Consumer Staples – 0.0%

     

Britannia Industries 8.000%, 08/28/22 (INR)

   $ 916      $ 13  
     

 

 

 

Total Corporate Obligation
(Cost $13) (000)

        13  
     

 

 

 

Rights — 0.0%

     
     Number of
Rights
        

Centuria Metropolitan, Expires 10/3/2019*

     368         

Harvey Norman Holdings, Expires 10/16/2019*

     771        1  

Pan American Silver, Expires *

     20,581        8  
     

 

 

 

Total Rights
(Cost $–) (000)

        9  
     

 

 

 

Warrants — 0.0%

     
     Number of
Warrants
        

Ezion Holdings, Expires 4/16/2023* (B) (C)

     77,880         
     

 

 

 

Total Warrants
(Cost $–) (000)

         
     

 

 

 

Short-Term Investment — 2.3%

     
     Shares         

State Street Institutional Treasury

     

Money Market Fund, Cl Premier, 1.650% (D)

     43,686,053        43,686  
     

 

 

 

Total Short-Term Investment
(Cost $43,686) (000)

            43,686  
     

 

 

 

Total Investments In Securities — 99.2%
(Cost $1,820,793) (000)

 

   $   1,880,038  
     

 

 

 

Percentages are based on Net Assets of $1,895,060 (000).

A list of the open futures contracts held by the Fund at September 30, 2019, is as follows (000):

 

           
Type of Contract   Number
of
Contracts
Long)
    Expiration
Date
   

Notional
Amount

(Thousands)

    Value
(Thousands)
    Unrealized
Depreciation
(Thousands)

MSCI EAFE Index

    231       Dec-2019     $ 21,966     $ 21,927     $ (40

S&P TSX 60 Index

    15       Dec-2019       2,259       2,256       (5
     

 

 

   

 

 

   

 

 

 

      $ 24,225     $ 24,183     $ (45
     

 

 

   

 

 

   

 

 

 

 

Real Estate Investment Trust

*

Non-income producing security.

 


KP International Equity Fund

Schedule of Investments

September 30, 2019 (unaudited)

 

(A)

Security sold within terms of a private placement memorandum, exempt from registration under Section 144A of the Securities Act of 1933, as amended, and may be sold only to dealers in that program or other “accredited investors.” The total value of these securities at September 30, 2019 was $18,163 (000) and represents 1.0% of Net Assets.

(B)

Level 3 security in accordance with fair value hierarchy.

(C)

Security is fair valued using methods determined in good faith by the Fair Value Committee of the Board of Trustees. The total value of such securities as of September 30, 2019, was $0 (000) and represented 0.00% of net assets.

(D)

The rate reported is the 7-day effective yield as of September 30, 2019.

ADR — American Depositary Receipt

Cl — Class

EAFE — Europe, Australasia and Far East

GDR — Global Depositary Receipt

INR — Indian Rupee

MSCI — Morgan Stanley Capital International

NVDR — Non-voting Depository Receipt

PJSC — Public Joint-Stock Company

S&P — Standard & Poor’s

TSX — Toronto Stock Exchange

The following is a list of the level of inputs used as of September 30, 2019, in valuing the Fund’s investments and other financial instruments carried at value (000):

 

Investments In
  Securities
   Level 1      Level 2      Level 3^      Total  

Common Stock

           

Australia

   $ 69,235      $      $      $ 69,235  

Austria

     4,360                      4,360  

Belgium

     12,171                      12,171  

Brazil

     38,289                      38,289  

Canada

     78,834                      78,834  

Chile

     3,036                      3,036  

China

     55,264                      55,264  

Colombia

     1,904                      1,904  

Cypress

     195                      195  

Czech Republic

     509                      509  

Denmark

     29,185                      29,185  

Egypt

     95                      95  

Finland

     12,118                      12,118  

France

     131,815                      131,815  

Germany

     103,966                      103,966  

Greece

     6,428                      6,428  

Hong Kong

     113,859                      113,859  

Hungary

     1,620                      1,620  

India

     53,940                      53,940  

Indonesia

     10,613                      10,613  

Ireland

     13,332                      13,332  

Israel

     4,417        5,730               10,147  

Italy

     31,679                      31,679  

Japan

     290,216                      290,216  

Kenya

     694                      694  

Luxembourg

     929                      929  

Malaysia

     1,655                      1,655  

Mexico

     11,243                      11,243  

Netherlands

     53,724                      53,724  

New Zealand

     2,044                      2,044  

Norway

     17,790                      17,790  

Peru

     3,047                      3,047  

Philippines

     215                      215  

Poland

     5,255                      5,255  

Portugal

     2,984                      2,984  

Qatar

     2,045                      2,045  

Russia

     9,226                      9,226  

Singapore

     38,648                      38,648  

South Africa

     22,071                      22,071  
Investments In
  Securities
   Level 1      Level 2      Level 3^      Total  

South Korea

   $ 52,211      $      $      $ 52,211  

Spain

     25,763                      25,763  

Sweden

     32,666                      32,666  

Switzerland

     127,141                      127,141  

Taiwan

     25,532        14,394               39,926  

Thailand

     9,179                      9,179  

Turkey

     9,467                      9,467  

United Arab Emirates

     629                      629  

United Kingdom

     263,456                      263,456  

United States

     19,531                      19,531  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Common Stock

     1,804,225        20,124               1,824,349  
  

 

 

    

 

 

    

 

 

    

 

 

 

Preferred Stock

     11,981                      11,981  

Corporate Obligation

     13                      13  

Rights

     9                      9  

Warrants

                           

Short-Term Investment

     43,686                      43,686  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Investments in Securities

   $ 1,859,914      $ 20,124      $      $ 1,880,038  
  

 

 

    

 

 

    

 

 

    

 

 

 

 

Other Financial

Instruments

   Level 1     Level 2      Level 3      Total  

Futures Contracts**

          

Unrealized Depreciation

   $ (45   $      $        $        (45)  
  

 

 

   

 

 

    

 

 

    

 

 

 

Total Other Financial Instruments

   $ (45   $      $        $        (45)  
  

 

 

   

 

 

    

 

 

    

 

 

 

 

**

Futures contracts are valued at the unrealized depreciation on the instrument.

 

^

A reconciliation of Level 3 investments is presented when the Fund has a significant amount of Level 3 investments in at the beginning and/or end of the period in relation to net assets. Management has concluded that Level 3 investments are not material in relation to net assets.

For the period ended September 30, 2019, there were transfers between Level 1 and Level 2 assets and liabilities. Changes in the classifications between Levels 1 and 2 occur when foreign equity securities are fair valued using other observable market based inputs in place of the closing exchange price due to events occurring after the close of the exchange or market on which the investment is principally traded. Transfers, if any, between levels are considered to have occurred as of the end of the period.

For the period ended September 30, 2019, securities with a total value of $20,124 (000) transferred from Level 1 to Level 2. For the period ended September 30, 2019, securities with a total value of $ 0 (000) transferred from Level 1 to Level 3. For the period ended September 30, 2019, securities with a total value of $0 (000) were considered Level 3.

For more information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.

Amounts designated as “—“ are $0 or have been rounded to $0.

 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

 

 

SCHEDULE OF INVESTMENTS

 

     

Description

 

  

Face Amount  
(000)  

 

    

Value  

(000)  

 

 

U.S. Treasury Obligations — 27.3%

 

  

U.S. Treasury Bonds

     

5.375%, 02/15/31

   $ 1,000      $ 1,379  

5.000%, 05/15/37

     2,240        3,304  

4.750%, 02/15/37

     10,315        14,782  

4.625%, 02/15/40

     500        724  

4.500%, 02/15/36 - 05/15/38

     1,300        1,809  

4.375%, 02/15/38 - 05/15/41

     5,562        7,793  

4.250%, 11/15/40

     1,250        1,735  

3.875%, 08/15/40

     500        661  

3.750%, 08/15/41 - 11/15/43

     4,050        5,320  

3.625%, 08/15/43 - 02/15/44

     2,700        3,488  

3.500%, 02/15/39

     2,420        3,031  

3.375%, 05/15/44 - 11/15/48

     14,201        18,037  

3.125%, 02/15/42 - 05/15/48

     13,207        16,013  

3.000%, 11/15/44 - 02/15/49

     30,149        35,807  

2.875%, 05/15/43 - 05/15/49

     5,083        5,897  

2.750%, 08/15/42 - 11/15/47

     19,686        22,285  

2.500%, 02/15/45 - 05/15/46

     2,000        2,153  

2.250%, 08/15/46 - 08/15/49

     2,420        2,482  

U.S. Treasury Notes

     

3.125%, 11/15/28

     2,700        3,031  

3.000%, 09/30/25 - 10/31/25

     3,000        3,240  

2.875%, 10/15/21 - 08/15/28

     41,540        43,877  

2.750%, 08/15/21 - 02/15/28

     38,599        40,321  

2.625%, 11/15/20 - 02/15/29

     63,368        65,810  

2.500%, 02/28/21 - 01/31/25

     34,999        36,168  

2.375%, 12/31/20 - 05/15/29

     32,924        34,006  

2.250%, 02/15/21 - 11/15/27

     33,711        34,703  

2.125%, 08/15/21 - 05/31/26

     23,528        24,071  

2.000%, 01/15/21 - 11/15/26

     30,992        31,515  

1.875%, 12/15/20 - 07/31/26

     19,887        20,119  

1.750%, 11/15/20 - 07/31/24

     40,791        40,999  

1.625%, 10/15/20 - 08/15/29

     32,609        32,522  

1.500%, 08/31/21 - 08/15/26

     24,716        24,644  

1.375%, 10/31/20 - 08/31/26

     11,199        11,102  

1.250%, 03/31/21 - 08/31/24

     9,003        8,900  

1.125%, 02/28/21 - 09/30/21

     9,500        9,407  
     

 

 

 

Total U.S. Treasury Obligations
(Cost $580,936) (000)

       

 

    611,135

 

 

 

     

 

 

 

Corporate Obligations — 25.1%

 

Communication Services – 1.7%

 

Activision Blizzard

     

3.400%, 09/15/26

     50        52  

Alphabet

     

3.375%, 02/25/24

     100        107  

America Movil

     

6.125%, 03/30/40

     250        339  

AT&T

     

5.250%, 03/01/37

     3,073        3,617  

4.900%, 08/15/37

     150        170  

4.850%, 03/01/39

     70        79  

4.500%, 03/09/48

     100        108  

4.350%, 06/15/45

     600        631  

4.300%, 02/15/30

     333        366  

4.125%, 02/17/26

     200        216  

Description

 

  

Face Amount  
(000)  

 

    

Value  
(000)  

 

 

4.100%, 02/15/28

   $ 253      $ 274  

3.800%, 03/01/24

     200        211  

3.800%, 02/15/27

     150        159  

3.600%, 07/15/25

     2,073        2,182  

3.400%, 05/15/25

     2,447        2,553  

3.200%, 03/01/22

     3,050        3,124  

2.950%, 07/15/26

     200        202  

2.450%, 06/30/20

     2,002               2,007  

Baidu

     

3.875%, 09/29/23

     200        208  

Bell Canada

     

4.464%, 04/01/48

     15        18  

4.300%, 07/29/49

     30        34  

British Telecommunications

     

5.125%, 12/04/28

     200        229  

CBS

     

3.375%, 03/01/22

     150        153  

2.900%, 06/01/23

     100        102  

Charter Communications Operating

     

6.484%, 10/23/45

     150        182  

6.384%, 10/23/35

     150        182  

5.375%, 04/01/38

     100        112  

5.375%, 05/01/47

     100        109  

4.500%, 02/01/24

     100        107  

Comcast

     

4.950%, 10/15/58

     25        32  

4.700%, 10/15/48

     2,816        3,448  

4.600%, 10/15/38

     614        734  

4.400%, 08/15/35

     100        117  

4.250%, 10/15/30

     25        28  

4.250%, 01/15/33

     500        575  

4.150%, 10/15/28

     45        51  

4.000%, 08/15/47

     200        220  

3.999%, 11/01/49

     300        333  

3.950%, 10/15/25

     50        54  

3.900%, 03/01/38

     100        110  

3.700%, 04/15/24

     55        59  

3.450%, 10/01/21

     40        41  

3.375%, 02/15/25

     125        132  

3.300%, 10/01/20

     25        25  

3.150%, 03/01/26

     50        52  

2.750%, 03/01/23

     100        103  

Deutsche Telekom International Finance BV

     

8.750%, 06/15/30

     100        148  

Discovery Communications

     

5.300%, 05/15/49

     40        44  

5.000%, 09/20/37

     150        161  

3.800%, 03/13/24

     50        52  

2.950%, 03/20/23

     50        51  

Fox

     

4.709%, 01/25/29 (A)

     200        228  

Interpublic Group

     

5.400%, 10/01/48

     25        30  

3.750%, 10/01/21

     100        102  

NBCUniversal Media

     

4.375%, 04/01/21

     100        104  

Omnicom Group

     

3.600%, 04/15/26

     100        105  

Orange

     

5.375%, 01/13/42

     200        257  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

4.125%, 09/14/21

   $ 100      $ 104  

RELX Capital

     

3.125%, 10/15/22

     100        102  

Rogers Communications

     

4.350%, 05/01/49

     75        86  

4.300%, 02/15/48

     40        46  

2.900%, 11/15/26

     50        51  

Telefonica Emisiones

     

5.462%, 02/16/21

     110        115  

5.213%, 03/08/47

     150        175  

4.895%, 03/06/48

     150        167  

TELUS

     

4.600%, 11/16/48

     50        59  

Tencent Holdings

     

2.875%, 02/11/20 (A)

     643        644  

Thomson Reuters

     

3.350%, 05/15/26

     100        103  

TWDC Enterprises 18

     

3.700%, 12/01/42

     72        81  

3.150%, 09/17/25

     100        107  

Verizon Communications

     

5.250%, 03/16/37

     100        124  

5.012%, 04/15/49

     250        314  

4.862%, 08/21/46

     250        305  

4.812%, 03/15/39

     100        120  

4.522%, 09/15/48

     884        1,045  

4.400%, 11/01/34

     400        458  

4.329%, 09/21/28

     255        289  

4.272%, 01/15/36

     1,407        1,582  

4.016%, 12/03/29

     250        278  

3.875%, 02/08/29

     10        11  

3.376%, 02/15/25

     150        158  

2.625%, 08/15/26

     135        137  

Viacom

     

6.875%, 04/30/36

     100        131  

4.375%, 03/15/43

     495        510  

Vodafone Group

     

4.875%, 06/19/49

     1,546        1,721  

4.375%, 05/30/28

     200        221  

4.375%, 02/19/43

     300        310  

4.250%, 09/17/50

     455        463  

3.750%, 01/16/24

     200        211  

Walt Disney

     

6.400%, 12/15/35 (A)

     735        1,059  

4.500%, 02/15/21 (A)

     100        103  

3.700%, 10/15/25 (A)

     20        22  

2.750%, 09/01/49

     250        240  

2.000%, 09/01/29

     300        292  
     

 

 

 
       

 

    37,173

 

 

 

     

 

 

 

Consumer Discretionary – 1.0%

 

Adani Ports & Special Economic Zone

     

3.375%, 07/24/24 (A)

     1,919        1,929  

AI Candelaria Spain SLU

     

7.500%, 12/15/28 (A)

     360        409  

Alibaba Group Holding

     

4.000%, 12/06/37

     250        273  

Amazon.com

     

4.800%, 12/05/34

     100        125  

4.050%, 08/22/47

     150        180  

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

3.875%, 08/22/37

   $ 100      $ 115  

2.800%, 08/22/24

     250        260  

American Honda Finance

     

2.650%, 02/12/21

     100        101  

2.600%, 11/16/22

     50        51  

Aptiv

     

4.150%, 03/15/24

     40        42  

AutoNation

     

3.800%, 11/15/27

     25        25  

AutoZone

     

3.750%, 06/01/27

     100        107  

Best Buy

     

4.450%, 10/01/28

     25        27  

Block Financial

     

4.125%, 10/01/20

     200        203  

Booking Holdings

     

2.750%, 03/15/23

     50        51  

Council of Europe Development Bank

     

2.500%, 02/27/24

     60        62  

Diageo Capital

     

2.375%, 10/24/29

     200        198  

Diageo Investment

     

2.875%, 05/11/22

     100        102  

Dollar General

     

4.150%, 11/01/25

     25        27  

4.125%, 05/01/28

     35        38  

Dollar Tree

     

4.200%, 05/15/28

     45        48  

4.000%, 05/15/25

     100        106  

eBay

     

2.750%, 01/30/23

     250        253  

Expedia Group

     

4.500%, 08/15/24

     100        108  

3.250%, 02/15/30 (A)

     2,119               2,113  

Ford Motor

     

5.291%, 12/08/46

     150        139  

4.346%, 12/08/26

     45        45  

Ford Motor Credit

     

5.875%, 08/02/21

     200        209  

5.584%, 03/18/24

     200        213  

4.542%, 08/01/26

     1,068        1,067  

3.339%, 03/28/22

     200        200  

2.343%, 11/02/20

     200        199  

GEMS MENASA Cayman

     

7.125%, 07/31/26 (A)

     1,080        1,114  

General Motors

     

6.750%, 04/01/46

     250        286  

6.250%, 10/02/43

     907        994  

5.950%, 04/01/49

     100        107  

5.200%, 04/01/45

     150        148  

5.150%, 04/01/38

     100        101  

General Motors Financial

     

4.300%, 07/13/25

     100        104  

4.200%, 11/06/21

     100        103  

4.000%, 01/15/25

     100        103  

4.000%, 10/06/26

     50        50  

3.700%, 05/09/23

     100        102  

3.550%, 04/09/21

     150        152  

2.450%, 11/06/20

     2,774        2,773  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000)(1)  

 

    

Value 
(000) 

 

 

Grupo Televisa

     

7.250%, 05/14/43 (MXN)

     2,840      $ 107  

5.000%, 05/13/45

     200        213  

Hasbro

     

3.500%, 09/15/27

     30        31  

Home Depot

     

5.875%, 12/16/36

     150        208  

4.400%, 04/01/21

     100        103  

4.250%, 04/01/46

     100        120  

3.900%, 12/06/28

     40        45  

3.900%, 06/15/47

     50        57  

2.950%, 06/15/29

     100        105  

2.800%, 09/14/27

     50        52  

2.625%, 06/01/22

     100        102  

2.000%, 04/01/21

     100        100  

Hyatt Hotels

     

4.375%, 09/15/28

     50        55  

Las Vegas Sands

     

3.900%, 08/08/29

     40        41  

3.200%, 08/08/24

     45        46  

Lear

     

5.250%, 01/15/25

     45        47  

Leggett & Platt

     

4.400%, 03/15/29

     50        54  

Lowe’s

     

4.550%, 04/05/49

     1,037               1,193  

4.050%, 05/03/47

     100        107  

3.650%, 04/05/29

     200        214  

3.100%, 05/03/27

     100        103  

2.500%, 04/15/26

     50        50  

Macy’s Retail Holdings

     

3.625%, 06/01/24

     100        100  

Magna International

     

3.625%, 06/15/24

     50        53  

Marriott International

     

4.150%, 12/01/23

     50        53  

3.125%, 10/15/21

     100        101  

McDonald’s

     

4.450%, 03/01/47

     150        172  

3.625%, 09/01/49

     100        101  

3.500%, 03/01/27

     100        107  

3.375%, 05/26/25

     100        106  

3.350%, 04/01/23

     130        136  

2.750%, 12/09/20

     20        20  

Newell Brands

     

3.850%, 04/01/23

     99        102  

Nordstrom

     

5.000%, 01/15/44

     100        93  

4.000%, 03/15/27

     30        31  

O’Reilly Automotive

     

4.350%, 06/01/28

     50        56  

3.550%, 03/15/26

     50        53  

President & Fellows of Harvard College

     

3.150%, 07/15/46

     100        107  

QVC

     

4.450%, 02/15/25

     65        68  

Sands China

     

4.600%, 08/08/23

     200        212  

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

Starbucks

     

4.500%, 11/15/48

   $ 30      $ 35  

4.450%, 08/15/49

     100        116  

2.450%, 06/15/26

     200        201  

Target

     

4.000%, 07/01/42

     200        231  

3.500%, 07/01/24

     100        107  

3.375%, 04/15/29

     50        54  

Time Warner Cable

     

7.300%, 07/01/38

     431        545  

5.875%, 11/15/40

     200        224  

4.000%, 09/01/21

     100        102  

TJX

     

2.750%, 06/15/21

     100        101  

Toyota Motor Credit

     

4.250%, 01/11/21

     100        103  

3.650%, 01/08/29

     100        111  

3.450%, 09/20/23

     50        53  

2.750%, 05/17/21

     100        101  

2.700%, 01/11/23

     200        205  

2.250%, 10/18/23

     50        50  

University of Pennsylvania

     

3.610%, 02/15/19

     100        110  

USJ Acucar e Alcool

     

9.875%, 11/09/21 (A)

     343        223  

Whirlpool

     

4.000%, 03/01/24

     60        63  
     

 

 

 
       

 

     22,721

 

 

 

     

 

 

 

Consumer Staples – 1.0%

 

Adecoagro

     

6.000%, 09/21/27 (A)

     1,335        1,275  

Altria Group

     

6.200%, 02/14/59

     15        18  

5.950%, 02/14/49

     389        457  

5.800%, 02/14/39

     165        191  

5.375%, 01/31/44

     100        111  

4.800%, 02/14/29

     40        44  

4.000%, 01/31/24

     300        316  

3.800%, 02/14/24

     20        21  

Anheuser-Busch

     

4.900%, 02/01/46

     2,397        2,860  

4.700%, 02/01/36

     150        173  

Anheuser-Busch InBev Finance

 

  

3.300%, 02/01/23

     225        234  

Anheuser-Busch InBev Worldwide

 

  

5.800%, 01/23/59

     300        405  

4.950%, 01/15/42

     500        590  

4.600%, 04/15/48

     1,114        1,285  

4.439%, 10/06/48

     100        113  

4.150%, 01/23/25

     250        273  

4.000%, 04/13/28

     55        61  

Archer-Daniels-Midland

     

3.750%, 09/15/47

     100        111  

3.375%, 03/15/22

     60        62  

Bunge Finance

     

3.250%, 08/15/26

     120        120  

3.000%, 09/25/22

     30        30  

Campbell Soup

     

4.800%, 03/15/48

     110        123  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

4.150%, 03/15/28

   $ 50      $ 54  

3.650%, 03/15/23

     50        52  

Church & Dwight

     

2.450%, 08/01/22

     100        100  

Clorox

     

3.500%, 12/15/24

     50        53  

Coca-Cola

     

3.300%, 09/01/21

     100        103  

2.875%, 10/27/25

     50        53  

2.550%, 06/01/26

     50        51  

2.450%, 11/01/20

     50        50  

1.875%, 10/27/20

     50        50  

1.750%, 09/06/24

     100        99  

Colgate-Palmolive

     

2.300%, 05/03/22

     200        204  

Conagra Brands

     

5.400%, 11/01/48

     853               1,012  

5.300%, 11/01/38

     10        11  

4.850%, 11/01/28

     25        28  

4.600%, 11/01/25

     200        220  

4.300%, 05/01/24

     15        16  

3.800%, 10/22/21

     20        21  

Constellation Brands

     

4.650%, 11/15/28

     30        34  

4.250%, 05/01/23

     50        53  

3.750%, 05/01/21

     15        15  

3.200%, 02/15/23

     150        155  

2.650%, 11/07/22

     50        51  

Costco Wholesale

     

2.750%, 05/18/24

     150        155  

General Mills

     

4.200%, 04/17/28

     50        56  

3.700%, 10/17/23

     100        105  

3.150%, 12/15/21

     150        153  

Hershey

     

2.300%, 08/15/26

     50        50  

Ingredion

     

3.200%, 10/01/26

     50        51  

JM Smucker

     

3.375%, 12/15/27

     150        158  

Kellogg

     

4.000%, 12/15/20

     17        18  

3.400%, 11/15/27

     25        26  

Keurig Dr Pepper

     

5.085%, 05/25/48

     150        177  

4.985%, 05/25/38

     175        203  

4.597%, 05/25/28

     50        56  

Kimberly-Clark

     

3.950%, 11/01/28

     10        11  

2.750%, 02/15/26

     100        103  

Kraft Heinz Foods

     

5.000%, 06/04/42

     150        155  

4.625%, 01/30/29

     50        54  

4.625%, 10/01/39 (A)

     100        101  

3.950%, 07/15/25

     150        157  

3.375%, 06/15/21

     115        116  

Kroger

     

3.300%, 01/15/21

     100        101  

2.650%, 10/15/26

     200        198  

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

McCormick

     

3.150%, 08/15/24

   $ 100      $ 104  

Mead Johnson Nutrition

     

3.000%, 11/15/20

     30        30  

Molson Coors Brewing

     

4.200%, 07/15/46

     200        202  

Mondelez International

     

4.625%, 05/07/48

     100        114  

4.125%, 05/07/28

     50        56  

Mondelez International Holdings Netherlands BV

     

2.250%, 09/19/24 (A)

     3,785        3,767  

PepsiCo

     

3.600%, 03/01/24

     100        106  

3.450%, 10/06/46

     200        216  

3.000%, 10/15/27

     50        53  

2.850%, 02/24/26

     100        104  

2.375%, 10/06/26

     200        203  

2.000%, 04/15/21

     50        50  

Philip Morris International

 

  

4.500%, 03/20/42

     100        111  

3.375%, 08/11/25

     100        105  

2.500%, 11/02/22

     100        101  

1.875%, 02/25/21

     200        200  

Procter & Gamble

     

3.500%, 10/25/47

     100        114  

2.450%, 11/03/26

     50        51  

2.150%, 08/11/22

     100        101  

Reynolds American

     

4.450%, 06/12/25

     150        160  

Sysco

     

4.450%, 03/15/48

     50        59  

3.550%, 03/15/25

     50        53  

2.600%, 10/01/20

     50        50  

2.500%, 07/15/21

     35        35  

Tyson Foods

     

4.875%, 08/15/34

     200        236  

Unilever Capital

     

4.250%, 02/10/21

     150        154  

3.250%, 03/07/24

     150        158  

2.200%, 05/05/22

     100        101  

Walgreens Boots Alliance

 

  

4.800%, 11/18/44

     200        211  

3.450%, 06/01/26

     165        171  

Walmart

     

4.050%, 06/29/48

     35        42  

3.950%, 06/28/38

     115        135  

3.700%, 06/26/28

     100        111  

3.625%, 12/15/47

     250        281  

3.400%, 06/26/23

     50        53  

3.300%, 04/22/24

     100        105  

3.250%, 07/08/29

     140        151  

2.650%, 12/15/24

     50        51  

1.900%, 12/15/20

     300        301  
     

 

 

 
       

 

     21,968

 

 

 

     

 

 

 

Energy – 3.6%

 

Abu Dhabi Crude Oil Pipeline

     

4.600%, 11/02/47 (A)

     2,500        2,913  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

Apache

     

5.350%, 07/01/49

   $ 50      $ 52  

4.375%, 10/15/28

     100        102  

3.250%, 04/15/22

     41        42  

Azure Power Solar Energy Pvt

     

5.650%, 12/24/24 (A)

     220        220  

Baker Hughes a GE

     

3.337%, 12/15/27

     100        103  

Boardwalk Pipelines

     

4.950%, 12/15/24

     50        53  

BP Capital Markets

     

3.561%, 11/01/21

     200        206  

3.062%, 03/17/22

     200        205  

2.500%, 11/06/22

     250        253  

Canadian Natural Resources

 

  

3.900%, 02/01/25

     150        158  

3.850%, 06/01/27

     100        105  

Cenovus Energy

     

5.250%, 06/15/37

     200        218  

3.000%, 08/15/22

     20        20  

Cheniere Corpus Christi Holdings

     

7.000%, 06/30/24

     150        172  

Chevron

     

2.954%, 05/16/26

     50        52  

2.566%, 05/16/23

     50        51  

2.419%, 11/17/20

     100        101  

2.355%, 12/05/22

     150        152  

2.100%, 05/16/21

     50        50  

Cimarex Energy

     

3.900%, 05/15/27

     100        102  

CNOOC Finance 2015 USA

     

3.500%, 05/05/25

     200        208  

Concho Resources

     

4.850%, 08/15/48

     15        17  

4.375%, 01/15/25

     50        52  

4.300%, 08/15/28

     10        11  

ConocoPhillips

     

6.500%, 02/01/39

     300        434  

Continental Resources

     

5.000%, 09/15/22

     30        30  

4.900%, 06/01/44

     872        882  

4.500%, 04/15/23

     40        42  

4.375%, 01/15/28

     25        26  

3.800%, 06/01/24

     25        25  

Ecopetrol

     

7.375%, 09/18/43

     200        267  

5.875%, 09/18/23

     100        112  

5.875%, 05/28/45

     615        717  

Emera US Finance

     

4.750%, 06/15/46

     200        231  

2.700%, 06/15/21

     1,473               1,482  

Enable Midstream Partners

     

4.150%, 09/15/29

     100        97  

Enbridge

     

3.700%, 07/15/27

     100        106  

Enbridge Energy Partners

     

5.875%, 10/15/25

     100        116  

Encana

     

3.900%, 11/15/21

     50        51  

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

Energy Transfer Operating

     

6.250%, 04/15/49

   $ 900      $      1,093  

6.125%, 12/15/45

     150        176  

6.000%, 06/15/48

     125        148  

5.800%, 06/15/38

     225        257  

5.250%, 04/15/29

     50        56  

4.200%, 04/15/27

     200        211  

Energy Transfer Partners

     

4.500%, 11/01/23

     100        106  

Enterprise Products Operating

     

6.450%, 09/01/40

     150        202  

5.950%, 02/01/41

     100        128  

5.100%, 02/15/45

     774        911  

4.800%, 02/01/49

     25        29  

4.250%, 02/15/48

     25        27  

4.200%, 01/31/50

     35        37  

4.150%, 10/16/28

     175        194  

3.500%, 02/01/22

     25        26  

3.350%, 03/15/23

     100        104  

2.850%, 04/15/21

     30        30  

EOG Resources

     

3.150%, 04/01/25

     100        105  

2.625%, 03/15/23

     100        102  

EQM Midstream Partners

     

6.500%, 07/15/48

     100        97  

Equinor

     

3.950%, 05/15/43

     200        228  

3.700%, 03/01/24

     100        107  

2.450%, 01/17/23

     125        127  

Equities

     

3.900%, 10/01/27

     50        43  

Exxon Mobil

     

4.114%, 03/01/46

     150        178  

3.095%, 08/16/49

     1,127        1,132  

3.043%, 03/01/26

     50        52  

2.995%, 08/16/39

     25        25  

2.726%, 03/01/23

     35        36  

2.709%, 03/06/25

     150        155  

2.440%, 08/16/29

     25        25  

2.222%, 03/01/21

     20        20  

2.019%, 08/16/24

     25        25  

1.902%, 08/16/22

     10        10  

Fermaca Enterprises

     

6.375%, 03/30/38 (A)

     1,005        1,068  

Gazprom OAO Via Gaz Capital

     

5.150%, 02/11/26 (A)

     1,060        1,153  

Greenko Dutch BV

     

5.250%, 07/24/24 (A)

     575        575  

Halliburton

     

5.000%, 11/15/45

     100        111  

3.800%, 11/15/25

     150        159  

3.500%, 08/01/23

     100        104  

3.250%, 11/15/21

     3,280        3,347  

Hess

     

7.875%, 10/01/29

     726        917  

7.125%, 03/15/33

     1,036        1,293  

4.300%, 04/01/27

     200        209  

Hunt Oil of Peru Sucursal Del Peru

     

6.375%, 06/01/28 (A)

     730        818  

Husky Energy

     

4.000%, 04/15/24

     100        105  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000) 

 

    

Value 

(000) 

 

 

KazMunayGas National JSC

     

5.750%, 04/19/47 (A)

   $ 850      $ 996  

Kinder Morgan

     

5.550%, 06/01/45

     300        354  

4.300%, 03/01/28

     100        108  

Kinder Morgan Energy Partners

     

6.375%, 03/01/41

     150        184  

5.500%, 03/01/44

     100        116  

3.950%, 09/01/22

     1,158               1,204  

3.500%, 03/01/21

     20        20  

Kosmos Energy

     

7.125%, 04/04/26 (A)

     590        608  

Magellan Midstream Partners

     

4.250%, 02/01/21

     100        103  

3.950%, 03/01/50

     25        25  

Marathon Oil

     

6.600%, 10/01/37

     150        190  

Marathon Petroleum

     

6.500%, 03/01/41

     250        311  

3.800%, 04/01/28

     30        32  

3.400%, 12/15/20

     557        563  

MPLX

     

5.200%, 03/01/47

     200        222  

5.200%, 12/01/47 (A)

     150        164  

4.800%, 02/15/29

     70        77  

4.125%, 03/01/27

     65        69  

4.000%, 02/15/25

     25        26  

3.500%, 12/01/22 (A)

     25        26  

National Oilwell Varco

     

2.600%, 12/01/22

     100        101  

Newfield Exploration

     

5.625%, 07/01/24

     200        221  

5.375%, 01/01/26

     1,380        1,499  

Nexen

     

6.400%, 05/15/37

     150        210  

Noble Energy

     

6.000%, 03/01/41

     644        778  

4.950%, 08/15/47

     100        109  

4.150%, 12/15/21

     100        104  

Occidental Petroleum

     

7.500%, 05/01/31

     100        131  

6.600%, 03/15/46

     200        261  

5.550%, 03/15/26

     3,302        3,724  

4.850%, 03/15/21

     544        563  

4.400%, 04/15/46

     200        204  

4.400%, 08/15/49

     15        15  

4.300%, 08/15/39

     20        21  

3.500%, 08/15/29

     1,206        1,223  

3.400%, 04/15/26

     70        71  

2.900%, 08/15/24

     60        60  

2.700%, 08/15/22

     45        45  

Odebrecht Oil & Gas Finance

     

0.511%, 01/03/68 (A) (B)

     97        1  

ONEOK

     

5.200%, 07/15/48

     75        83  

4.550%, 07/15/28

     50        54  

4.450%, 09/01/49

     100        100  

4.000%, 07/13/27

     30        32  

ONEOK Partners

     

3.375%, 10/01/22

     100        102  

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

Pertamina Persero

     

6.500%, 11/07/48 (A)

   $ 1,217      $ 1,598  

4.700%, 07/30/49 (A)

     960        996  

Peru LNG Srl

     

5.375%, 03/22/30 (A)

     785        814  

Petroleos de Venezuela

     

9.000%, 11/17/21 (C)

     660        53  

8.500%, 10/27/20 (A) (C)

     123        41  

6.000%, 11/15/26 (A) (C)

     785        63  

5.375%, 04/12/27 (C)

     670        53  

Petroleos Mexicanos

     

7.690%, 01/23/50 (A)

     800        834  

6.875%, 08/04/26

     50        54  

6.840%, 01/23/30 (A)

     300        311  

6.750%, 09/21/47

     1,843        1,769  

6.625%, 06/15/35

     480        469  

6.500%, 03/13/27

     1,975               2,052  

6.500%, 01/23/29

     685        697  

6.500%, 06/02/41

     350        334  

6.490%, 01/23/27 (A)

     310        323  

6.375%, 01/23/45

     190        176  

6.350%, 02/12/48

     200        184  

5.350%, 02/12/28

     255        244  

4.875%, 01/24/22

     845        875  

3.500%, 01/30/23

     455        454  

Phillips 66

     

4.650%, 11/15/34

     300        346  

Phillips 66 Partners

     

3.605%, 02/15/25

     25        26  

2.450%, 12/15/24

     100        100  

Pioneer Natural Resources

     

3.450%, 01/15/21

     100        101  

Plains All American Pipeline

     

4.650%, 10/15/25

     6,884        7,358  

3.850%, 10/15/23

     150        155  

3.550%, 12/15/29

     995        973  

ReNew Power

     

6.450%, 09/27/22 (A)

     280        283  

Sabine Pass Liquefaction

     

5.625%, 02/01/21

     140        145  

5.625%, 03/01/25

     85        95  

5.000%, 03/15/27

     300        331  

Saudi Arabian Oil

     

4.250%, 04/16/39 (A)

     3,220        3,472  

2.875%, 04/16/24 (A)

     1,008        1,019  

Shell International Finance

     

4.550%, 08/12/43

     400        492  

2.875%, 05/10/26

     100        104  

1.875%, 05/10/21

     200        200  

Shell International Finance BV

     

3.875%, 11/13/28

     100        112  

Sinopec Group Overseas Development

     

2016 2.750%, 09/29/26 (A)

     460        459  

Southern Gas Corridor CJSC

     

6.875%, 03/24/26 (A)

     840        974  

Spectra Energy Partners

     

3.500%, 03/15/25

     100        104  

Stoneway Capital

     

10.000%, 03/01/27 (A)

     275        163  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000)(1)  

 

    

Value 
(000) 

 

 

Suncor Energy

     

6.500%, 06/15/38

     150      $ 207  

Sunoco Logistics Partners Operations

     

4.400%, 04/01/21

     100        103  

Total Capital

     

3.883%, 10/11/28

     50        56  

Total Capital Canada

     

2.750%, 07/15/23

     100        103  

Total Capital International

     

3.455%, 02/19/29

     25        27  

2.700%, 01/25/23

     100        102  

TransCanada PipeLines

     

5.100%, 03/15/49

     25        30  

4.875%, 01/15/26

     100        112  

4.625%, 03/01/34

     300        341  

4.250%, 05/15/28

     25        28  

Transportadora de Gas del Sur

     

6.750%, 05/02/25 (A)

     220        192  

Ultrapar International

     

5.250%, 06/06/29 (A)

     870        911  

Valero Energy

     

4.350%, 06/01/28

     1,856        2,015  

4.000%, 04/01/29

     35        37  

3.650%, 03/15/25

     100        106  

Western Midstream Operating

     

5.300%, 03/01/48

     200        173  

Williams

     

8.750%, 03/15/32

     3,208        4,621  

5.750%, 06/24/44

     20        23  

5.100%, 09/15/45

     300        330  

4.850%, 03/01/48

     25        27  

4.550%, 06/24/24

     45        48  

3.700%, 01/15/23

     15        16  

3.600%, 03/15/22

     100        103  

YPF

     

16.500%, 05/09/22 (ARS) (A)

     6,000        31  
     

 

 

 
       

 

     80,555

 

 

 

     

 

 

 

Financials – 7.4%

 

Aflac

     

4.750%, 01/15/49

     15        19  

3.625%, 06/15/23

     100        105  

AIG Global Funding

     

1.950%, 10/18/19 (A)

     1,400        1,400  

Allstate

     

4.200%, 12/15/46

     200        232  

American Express

     

4.200%, 11/06/25

     105        115  

3.400%, 02/27/23

     150        156  

3.125%, 05/20/26

     100        104  

2.500%, 08/01/22

     100        101  

2.500%, 07/30/24

     65        66  

American Express Credit

     

2.700%, 03/03/22

     100        102  

2.250%, 05/05/21

     100        100  

American Financial Group

     

3.500%, 08/15/26

     35        36  

American International Group

     

4.750%, 04/01/48

     150        175  

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

4.700%, 07/10/35

   $ 200      $ 228  

4.500%, 07/16/44

     1,857        2,069  

3.875%, 01/15/35

     200        210  

3.375%, 08/15/20

     2,095               2,120  

Andina de Fomento

     

4.375%, 06/15/22

     100        105  

3.750%, 11/23/23

     90        95  

Aon

     

4.500%, 12/15/28

     50        56  

Ares Capital

     

4.200%, 06/10/24

     65        67  

Assurant

     

4.000%, 03/15/23

     74        77  

Australia & New Zealand Banking Group NY

     

2.625%, 05/19/22

     250        254  

AXA Equitable Holdings

     

4.350%, 04/20/28

     150        160  

Banco del Estado de Chile

     

2.668%, 01/08/21 (A)

     1,738        1,738  

Banco Santander

     

3.306%, 06/27/29

     200        206  

3.125%, 02/23/23

     200        204  

Bangkok Bank

     

3.733%, VAR US Treas Yield Curve Rate T Note Const Mat 5 Yr+1.900%, 09/25/34 (A)

     625        633  

Bank of America

     

5.000%, 01/21/44

     250        317  

4.450%, 03/03/26

     130        142  

4.330%, VAR ICE LIBOR USD 3 Month+1.520%, 03/15/50

     150        177  

4.271%, VAR ICE LIBOR USD 3 Month+1.310%, 07/23/29

     200        222  

4.244%, VAR ICE LIBOR USD 3 Month+1.814%, 04/24/38

     100        114  

4.200%, 08/26/24

     165        177  

4.183%, 11/25/27

     250        270  

4.100%, 07/24/23

     100        107  

4.078%, VAR ICE LIBOR USD 3 Month+1.320%, 04/23/40

     100        112  

4.000%, 01/22/25

     912        968  

3.974%, VAR ICE LIBOR USD 3 Month+1.210%, 02/07/30

     40        44  

3.950%, 04/21/25

     200        212  

3.946%, VAR ICE LIBOR USD 3 Month+1.190%, 01/23/49

     100        112  

3.559%, VAR ICE LIBOR USD 3 Month+1.060%, 04/23/27

     5,187        5,471  

3.550%, VAR ICE LIBOR USD 3 Month+0.780%, 03/05/24

     250        260  

3.500%, 04/19/26

     50        53  

3.499%, VAR ICE LIBOR USD 3 Month+0.630%, 05/17/22

     2,983        3,042  

3.458%, VAR ICE LIBOR USD 3 Month+0.970%, 03/15/25

     100        104  

3.366%, VAR ICE LIBOR USD 3 Month+0.810%, 01/23/26

     200        208  

3.194%, VAR ICE LIBOR USD 3 Month+1.180%, 07/23/30

     100        103  

3.093%, VAR ICE LIBOR USD 3 Month+1.090%, 10/01/25

     100        103  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000)(1)  

 

    

Value 
(000) 

 

 

2.881%, VAR ICE LIBOR USD 3 Month+1.021%, 04/24/23

     200      $ 203  

2.503%, 10/21/22

     100        101  

2.151%, 11/09/20

     100        100  

Bank of Georgia JSC

     

11.000%, 06/01/20 (GEL) (A)

     870        291  

6.000%, 07/26/23 (A)

     750        767  

Bank of Montreal

     

3.300%, 02/05/24

     100        104  

3.100%, 04/13/21

     60        61  

2.900%, 03/26/22

     4,005               4,082  

2.500%, 06/28/24

     65        66  

Bank of New York Mellon

     

3.550%, 09/23/21

     100        103  

3.450%, 08/11/23

     50        53  

3.400%, 01/29/28

     50        53  

3.300%, 08/23/29

     100        105  

3.000%, 02/24/25

     100        104  

2.950%, 01/29/23

     50        51  

2.500%, 04/15/21

     100        101  

2.450%, 11/27/20

     50        50  

2.450%, 08/17/26

     50        50  

Bank of Nova Scotia

     

3.125%, 04/20/21

     150        153  

2.800%, 07/21/21

     100        101  

2.700%, 08/03/26

     200        203  

2.450%, 03/22/21

     50        50  

Barclays

     

4.610%, VAR ICE LIBOR USD 3 Month+1.400%, 02/15/23

     200        208  

4.375%, 01/12/26

     200        211  

4.338%, VAR ICE LIBOR USD 3 Month+1.356%, 05/16/24

     2,595        2,712  

Barclays Bank

     

2.650%, 01/11/21

     200        201  

BAT Capital

     

4.758%, 09/06/49

     50        49  

4.540%, 08/15/47

     100        96  

4.390%, 08/15/37

     150        145  

3.557%, 08/15/27

     100        101  

3.462%, 09/06/29

     50        49  

3.222%, 08/15/24

     50        51  

2.789%, 09/06/24

     35        35  

2.764%, 08/15/22

     50        50  

BB&T

     

3.875%, 03/19/29

     100        108  

3.750%, 12/06/23

     100        106  

3.700%, 06/05/25

     50        53  

3.050%, 06/20/22

     3,950        4,047  

2.750%, 04/01/22

     200        203  

2.500%, 08/01/24

     2,580        2,601  

2.200%, 03/16/23

     100        100  

Berkshire Hathaway

     

3.125%, 03/15/26

     200        211  

Berkshire Hathaway Finance

     

4.300%, 05/15/43

     200        236  

4.250%, 01/15/49

     50        59  

BlackRock

     

3.250%, 04/30/29

     100        107  

3.200%, 03/15/27

     100        106  

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

BOC Aviation

     

3.000%, 09/11/29 (A)

   $ 1,100      $ 1,083  

BP Capital Markets America

     

4.234%, 11/06/28

     100        113  

3.410%, 02/11/26

     100        106  

2.112%, 09/16/21

     100        100  

BPCE

     

4.000%, 04/15/24

     250        269  

Brighthouse Financial

     

3.700%, 06/22/27

     50        49  

Brookfield Finance

     

3.900%, 01/25/28

     100        105  

Canadian Imperial Bank of Commerce

     

3.100%, 04/02/24

     100        103  

2.700%, 02/02/21

     40        40  

Capital One Financial

     

4.250%, 04/30/25

     50        54  

3.900%, 01/29/24

     4,140               4,374  

3.800%, 01/31/28

     100        105  

3.750%, 07/28/26

     100        104  

3.450%, 04/30/21

     50        51  

3.300%, 10/30/24

     100        104  

3.200%, 02/05/25

     50        51  

3.050%, 03/09/22

     150        153  

Charles Schwab

     

3.550%, 02/01/24

     100        106  

Chubb INA Holdings

     

3.350%, 05/15/24

     100        106  

3.350%, 05/03/26

     150        160  

2.875%, 11/03/22

     150        154  

Citigroup

     

8.125%, 07/15/39

     250        410  

4.750%, 05/18/46

     100        117  

4.450%, 09/29/27

     3,790        4,135  

4.300%, 11/20/26

     1,425        1,535  

4.281%, VAR ICE LIBOR USD 3 Month+1.839%, 04/24/48

     100        117  

4.125%, 07/25/28

     85        91  

4.075%, VAR ICE LIBOR USD 3 Month+1.192%, 04/23/29

     150        163  

4.044%, VAR ICE LIBOR USD 3 Month+1.023%, 06/01/24

     50        53  

3.980%, VAR ICE LIBOR USD 3 Month+1.338%, 03/20/30

     150        163  

3.887%, VAR ICE LIBOR USD 3 Month+1.563%, 01/10/28

     200        214  

3.750%, 06/16/24

     100        106  

3.668%, VAR ICE LIBOR USD 3 Month+1.390%, 07/24/28

     100        106  

3.500%, 05/15/23

     100        104  

3.352%, VAR ICE LIBOR USD 3 Month+0.897%, 04/24/25

     100        104  

3.300%, 04/27/25

     100        105  

3.142%, VAR ICE LIBOR USD 3 Month+0.722%, 01/24/23

     185        188  

2.900%, 12/08/21

     100        101  

2.876%, VAR ICE LIBOR USD 3 Month+0.950%, 07/24/23

     3,549        3,594  

2.750%, 04/25/22

     100        102  

2.700%, 10/27/22

     300        304  

2.650%, 10/26/20

     100        101  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000)(1)  

 

    

Value 
(000) 

 

 

Citigroup Global Markets Holdings

     

15.920%, 11/19/21 (UAH) (A)(D)

     29,000      $ 1,294  

Citizens Financial Group

     

2.850%, 07/27/26

     150        152  

2.375%, 07/28/21

     30        30  

CME Group

     

3.000%, 03/15/25

     150        157  

CNO Financial Group

     

5.250%, 05/30/29

     100        110  

Comerica

     

4.000%, 02/01/29

     50        55  

3.700%, 07/31/23

     25        26  

Cooperatieve Rabobank UA

     

5.250%, 05/24/41

     100        137  

4.625%, 12/01/23

     851        914  

3.375%, 05/21/25

     250        266  

2.750%, 01/10/23

     250        254  

Credit Suisse Group Funding Guernsey

     

4.875%, 05/15/45

     250        306  

3.125%, 12/10/20

     250        252  

Deutsche Bank NY

     

3.700%, 05/30/24

     85        85  

3.150%, 01/22/21

     100        100  

Development Bank of Kazakhstan JSC

     

8.950%, 05/04/23 (KZT) (A)

     362,000        874  

Discover Bank

     

3.450%, 07/27/26

     250        258  

Discover Financial Services

     

4.100%, 02/09/27

     40        43  

E*TRADE Financial

     

4.500%, 06/20/28

     50        54  

Fibria Overseas Finance

     

5.500%, 01/17/27

     25        27  

Fidelity National Financial

     

4.500%, 08/15/28

     50        54  

Fifth Third Bancorp

     

3.650%, 01/25/24

     100        105  

Fifth Third Bank

     

3.950%, 07/28/25

     200        218  

First Republic Bank

     

4.625%, 02/13/47

     200        230  

FMS Wertmanagement

     

1.375%, 06/08/21

     200        199  

Goldman Sachs Group

     

5.750%, 01/24/22

     350        377  

5.150%, 05/22/45

     350        415  

4.411%, VAR ICE LIBOR USD 3 Month+1.430%, 04/23/39

     1,648               1,861  

4.223%, VAR ICE LIBOR USD 3 Month+1.301%, 05/01/29

     1,661        1,813  

4.017%, VAR ICE LIBOR USD 3 Month+1.373%, 10/31/38

     150        162  

3.750%, 05/22/25

     100        106  

3.750%, 02/25/26

     250        264  

3.691%, VAR ICE LIBOR USD 3 Month+1.510%, 06/05/28

     165        173  

3.625%, 02/20/24

     30        32  

Description

 

  

Face Amount 
(000)(1)  

 

    

Value 
(000) 

 

 

3.272%, VAR ICE LIBOR USD 3 Month+1.201%, 09/29/25

     75      $ 78  

3.200%, 02/23/23

     150        154  

2.908%, VAR ICE LIBOR USD 3 Month+1.053%, 06/05/23

     100        101  

2.876%, VAR ICE LIBOR USD 3 Month+0.821%, 10/31/22

     100        101  

2.625%, 04/25/21

     100        101  

2.600%, 04/23/20

     1,225               1,227  

2.600%, 12/27/20

     100        100  

2.350%, 11/15/21

     45        45  

Hanover Insurance Group

     

4.500%, 04/15/26

     100        107  

Hartford Financial Services Group

     

5.500%, 03/30/20

     630        640  

4.400%, 03/15/48

     100        115  

HSBC Bank

     

14.800%, 01/30/23 (EGP) (A)

     9,600        605  

12.508%, 03/09/20 (NGN) (A)(B)

     430,000        1,122  

HSBC Holdings

     

5.250%, 03/14/44

     200        247  

4.583%, VAR ICE LIBOR USD 3 Month+1.535%, 06/19/29

     200        222  

4.250%, 08/18/25

     200        211  

4.041%, VAR ICE LIBOR USD 3 Month+1.546%, 03/13/28

     200        212  

4.000%, 03/30/22

     100        104  

3.973%, VAR ICE LIBOR USD 3 Month+1.610%, 05/22/30

     1,691        1,806  

3.803%, VAR ICE LIBOR USD 3 Month+1.211%, 03/11/25

     5,816        6,061  

3.600%, 05/25/23

     200        208  

2.950%, 05/25/21

     200        202  

2.650%, 01/05/22

     300        302  

Huntington National Bank

     

2.500%, 08/07/22

     250        253  

Industrial & Commercial Bank of China NY

     

2.905%, 11/13/20

     250        251  

ING Groep

     

4.100%, 10/02/23

     200        212  

4.050%, 04/09/29

     200        220  

Intercontinental Exchange

     

4.000%, 10/15/23

     150        160  

Jefferies Group

     

6.875%, 04/15/21

     100        106  

JPMorgan Chase

     

5.600%, 07/15/41

     250        339  

4.350%, 08/15/21

     250        260  

4.203%, VAR ICE LIBOR USD 3 Month+1.260%, 07/23/29

     100        111  

4.005%, VAR ICE LIBOR USD 3 Month+1.120%, 04/23/29

     150        164  

3.964%, VAR ICE LIBOR USD 3 Month+1.380%, 11/15/48

     1,534        1,720  

3.897%, VAR ICE LIBOR USD 3 Month+1.220%, 01/23/49

     150        167  

3.882%, VAR ICE LIBOR USD 3 Month+1.360%, 07/24/38

     150        166  

3.797%, VAR ICE LIBOR USD 3 Month+0.890%, 07/23/24

     100        105  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000)(1)  

 

    

Value 
(000) 

 

 

3.702%, VAR ICE LIBOR USD 3 Month+1.160%, 05/06/30

     300      $ 321  

3.625%, 05/13/24

     100        106  

3.559%, VAR ICE LIBOR USD 3 Month+0.730%, 04/23/24

     75        78  

3.540%, VAR ICE LIBOR USD 3 Month+1.380%, 05/01/28

     200        211  

3.300%, 04/01/26

     100        105  

3.220%, VAR ICE LIBOR USD 3 Month+1.155%, 03/01/25

     160        166  

3.200%, 06/15/26

     100        104  

3.125%, 01/23/25

     150        155  

2.972%, 01/15/23

     400        407  

2.776%, VAR ICE LIBOR USD 3 Month+0.935%, 04/25/23

     75        76  

2.739%, VAR United States Secured Overnight Financing Rate+1.510%, 10/15/30

     1,594        1,583  

2.700%, 05/18/23

     100        102  

2.550%, 10/29/20

     180        181  

2.400%, 06/07/21

     50        50  

2.301%, VAR United States Secured Overnight Financing Rate+1.160%, 10/15/25

     1,958               1,950  

JPMorgan Chase Bank

     

8.375%, 03/17/34 (IDR) (A)(D)

     13,200,000        983  

8.250%, 05/17/36 (IDR) (A)(D)

     9,300,000        682  

5.625%, 05/17/23 (IDR) (A)(D)

     16,000,000        1,088  

KeyBank

     

2.400%, 06/09/22

     250        252  

KFW

     

2.500%, 11/20/24

     300        313  

1.875%, 11/30/20

     200        200  

Kreditanstalt fuer Wiederaufbau

     

2.875%, 04/03/28

     90        98  

2.625%, 04/12/21

     100        101  

2.500%, 02/15/22

     400        408  

2.375%, 12/29/22

     280        286  

2.125%, 03/07/22

     150        152  

1.750%, 09/15/21

     200        200  

1.750%, 08/22/22

     500        502  

1.375%, 08/05/24

     100        99  

Lazard Group

     

3.750%, 02/13/25

     50        52  

Lincoln National

     

3.625%, 12/12/26

     100        105  

3.050%, 01/15/30

     2,138        2,135  

Lloyds Banking Group

     

4.582%, 12/10/25

     200        210  

4.450%, 05/08/25

     200        215  

3.900%, 03/12/24

     200        209  

2.907%, VAR ICE LIBOR USD 3 Month+0.810%, 11/07/23

     200        201  

Loews

     

2.625%, 05/15/23

     100        101  

Manufacturers & Traders Trust

     

2.625%, 01/25/21

     250        252  

Manulife Financial

     

5.375%, 03/04/46

     50        66  

Markel

     

4.150%, 09/17/50

     25        25  

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

3.500%, 11/01/27

   $ 50      $ 51  

Marsh & McLennan

     

4.375%, 03/15/29

     45        51  

3.750%, 03/14/26

     150        161  

2.750%, 01/30/22

     30        31  

MetLife

     

6.400%, 12/15/36

     1,497        1,775  

3.600%, 04/10/24

     100        106  

3.600%, 11/13/25

     50        54  

Mitsubishi UFJ Financial Group

     

4.153%, 03/07/39

     35        40  

3.961%, 03/02/28

     225        247  

3.850%, 03/01/26

     200        215  

3.741%, 03/07/29

     150        163  

3.535%, 07/26/21

     30        31  

3.407%, 03/07/24

     50        52  

3.287%, 07/25/27

     50        52  

3.218%, 03/07/22

     1,635               1,673  

3.195%, 07/18/29

     1,935        1,999  

2.665%, 07/25/22

     50        50  

Mizuho Financial Group

     

3.922%, VAR ICE LIBOR USD 3 Month+1.000%, 09/11/24

     200        210  

2.601%, 09/11/22

     200        202  

Moody’s

     

4.250%, 02/01/29

     150        168  

Morgan Stanley

     

6.375%, 07/24/42

     200        290  

4.875%, 11/01/22

     100        107  

4.431%, VAR ICE LIBOR USD 3 Month+1.628%, 01/23/30

     150        168  

3.971%, VAR ICE LIBOR USD 3 Month+1.455%, 07/22/38

     100        110  

3.875%, 04/29/24

     400        425  

3.875%, 01/27/26

     200        215  

3.737%, VAR ICE LIBOR USD 3 Month+0.847%, 04/24/24

     90        94  

3.591%, VAR ICE LIBOR USD 3 Month+1.340%, 07/22/28

     150        158  

3.125%, 01/23/23

     150        154  

3.125%, 07/27/26

     250        258  

2.500%, 04/21/21

     250        252  

MUFG Americas Holdings

     

3.000%, 02/10/25

     160        163  

Nasdaq

     

3.850%, 06/30/26

     150        161  

National Australia Bank

     

3.375%, 09/20/21

     350        358  

National Rural Utilities Cooperative Finance

     

3.400%, 02/07/28

     100        107  

2.700%, 02/15/23

     100        102  

New York Life Global Funding

     

3.250%, 08/06/21 (A)

     2,012        2,055  

Northern Trust

     

3.650%, 08/03/28

     25        27  

3.375%, VAR ICE LIBOR USD 3 Month+1.131%, 05/08/32

     63        65  

ORIX

     

4.050%, 01/16/24

     50        53  

2.900%, 07/18/22

     30        31  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000)(1)  

 

    

Value 
(000) 

 

 

PNC Bank

     

2.500%, 01/22/21

     250      $ 251  

2.450%, 07/28/22

     250        253  

PNC Financial Services Group

     

3.500%, 01/23/24

     125        132  

3.450%, 04/23/29

     50        53  

Principal Financial Group

     

3.400%, 05/15/25

     100        105  

Progressive

     

4.125%, 04/15/47

     100        116  

4.000%, 03/01/29

     50        56  

Prudential Financial

     

4.600%, 05/15/44

     200        233  

3.700%, 03/13/51

     50        52  

3.500%, 05/15/24

     200        213  

Regions Financial

     

3.800%, 08/14/23

     50        53  

3.200%, 02/08/21

     50        50  

2.750%, 08/14/22

     50        51  

Reinsurance Group of America

     

3.900%, 05/15/29

     50        53  

RenaissanceRe Holdings

     

3.600%, 04/15/29

     50        53  

Royal Bank of Canada

     

3.200%, 04/30/21

     75        76  

2.800%, 04/29/22

     100        102  

2.750%, 02/01/22

     250        254  

2.550%, 07/16/24

     50        51  

Royal Bank of Scotland Group

     

6.125%, 12/15/22

     70        76  

6.100%, 06/10/23

     30        33  

6.000%, 12/19/23

     60        66  

5.125%, 05/28/24

     65        69  

5.076%, VAR ICE LIBOR USD 3
Month+1.905%, 01/27/30

     200        224  

4.269%, VAR ICE LIBOR USD 3
Month+1.762%, 03/22/25

     200        209  

S&P Global

     

4.000%, 06/15/25

     100        109  

Santander Holdings USA

     

4.450%, 12/03/21

     30        31  

4.400%, 07/13/27

     25        27  

3.500%, 06/07/24

     3,024        3,103  

Santander UK

     

2.875%, 06/18/24

     200        203  

Santander UK Group Holdings

     

3.373%, VAR ICE LIBOR USD 3
Month+1.080%, 01/05/24

     200        203  

3.125%, 01/08/21

     100        101  

Shriram Transport Finance

     

5.950%, 10/24/22 (A)

     1,080               1,090  

Standard Chartered Bank

     

11.000%, 08/05/25 (LKR) (A)(D)

     49,000        276  

10.750%, 03/03/21 (LKR) (A)(D)

     75,000        423  

8.250%, 05/19/36 (IDR) (A)(D)

     13,160,000        964  

Sumitomo Mitsui Financial Group

     

3.944%, 07/19/28

     100        110  

3.784%, 03/09/26

     50        54  

3.748%, 07/19/23

     100        105  

3.544%, 01/17/28

     50        53  

Description

 

  

Face Amount
(000)  

 

    

Value 
(000) 

 

 

3.446%, 01/11/27

   $ 50      $ 53  

3.364%, 07/12/27

     100        105  

3.202%, 09/17/29

     25        25  

3.102%, 01/17/23

     50        51  

3.040%, 07/16/29

     882        902  

2.934%, 03/09/21

     250        252  

2.846%, 01/11/22

     50        51  

2.784%, 07/12/22

     50        51  

2.778%, 10/18/22

     50        51  

2.724%, 09/27/29

     200        199  

2.696%, 07/16/24

     5,278               5,337  

SunTrust Banks

     

3.689%, VAR ICE LIBOR USD 3
Month+0.735%, 08/02/24

     150        157  

2.900%, 03/03/21

     50        50  

2.700%, 01/27/22

     150        152  

Svensk Exportkredit

     

2.875%, 05/22/21

     200        204  

1.625%, 09/12/21

     200        199  

Synchrony Financial

     

4.500%, 07/23/25

     100        107  

4.375%, 03/19/24

     35        37  

2.850%, 07/25/22

     30        30  

Syngenta Finance

     

5.676%, 04/24/48 (A)

     229        237  

4.892%, 04/24/25 (A)

     2,934        3,107  

4.441%, 04/24/23 (A)

     1,017        1,063  

TBC Bank JSC

     

5.750%, 06/19/24 (A)

     670        672  

TC Ziraat Bankasi

     

5.125%, 05/03/22 (A)

     200        194  

TD Ameritrade Holding

     

3.750%, 04/01/24

     100        106  

3.300%, 04/01/27

     30        32  

Toronto-Dominion Bank

     

3.250%, 06/11/21

     50        51  

2.650%, 06/12/24

     2,414        2,459  

2.500%, 12/14/20

     150        151  

2.125%, 04/07/21

     50        50  

1.950%, 04/02/20 (A)

     473        473  

1.800%, 07/13/21

     100        100  

Travelers

     

4.050%, 03/07/48

     100        115  

3.900%, 11/01/20

     100        102  

Unum Group

     

4.500%, 12/15/49

     100        96  

4.000%, 03/15/24

     50        53  

US Bancorp

     

3.150%, 04/27/27

     200        212  

2.625%, 01/24/22

     200        203  

2.400%, 07/30/24

     100        101  

2.375%, 07/22/26

     250        252  

Voya Financial

     

3.125%, 07/15/24

     50        52  

WEA Finance

     

3.250%, 10/05/20 (A)

     582        588  

3.150%, 04/05/22 (A)

     2,883        2,941  

Wells Fargo

     

4.900%, 11/17/45

     817        972  

4.650%, 11/04/44

     350        404  

4.150%, 01/24/29

     100        111  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

4.125%, 08/15/23

   $ 200      $ 212  

3.584%, VAR ICE LIBOR USD 3 Month+1.310%, 05/22/28

     200        212  

3.550%, 09/29/25

     100        106  

3.000%, 01/22/21

     100        101  

3.000%, 02/19/25

     100        103  

3.000%, 04/22/26

     100        102  

3.000%, 10/23/26

     250        257  

2.625%, 07/22/22

     7,639        7,724  

2.550%, 12/07/20

     85        85  

Wells Fargo Bank

     

6.600%, 01/15/38

     250        357  

3.550%, 08/14/23

     250        262  

2.600%, 01/15/21

     250        252  

2.082%, VAR ICE LIBOR USD 3 Month+0.650%, 09/09/22

     5,101        5,089  

Westpac Banking

     

4.322%, VAR USD ICE Swap 11:00 NY 5 Yr+2.236%, 11/23/31

     200        212  

3.300%, 02/26/24

     50        52  

2.700%, 08/19/26

     100        102  

2.600%, 11/23/20

     150        151  

2.000%, 08/19/21

     50        50  

Willis North America

     

4.500%, 09/15/28

     100        111  

3.600%, 05/15/24

     50        52  
     

 

 

 
       

 

   166,611

 

 

 

     

 

 

 

Health Care – 1.8%

     

Abbott Laboratories

     

4.900%, 11/30/46

     200        258  

3.750%, 11/30/26

     100        109  

3.400%, 11/30/23

     35        37  

2.900%, 11/30/21

     5,893        5,999  

AbbVie

     

4.875%, 11/14/48

     695        767  

4.700%, 05/14/45

     200        214  

4.500%, 05/14/35

     200        214  

4.300%, 05/14/36

     150        158  

4.250%, 11/14/28

     15        16  

3.750%, 11/14/23

     35        37  

3.375%, 11/14/21

     100        102  

3.200%, 11/06/22

     100        103  

2.850%, 05/14/23

     50        51  

2.300%, 05/14/21

     50        50  

Aetna

     

2.800%, 06/15/23

     25        25  

2.750%, 11/15/22

     150        152  

Agilent Technologies

     

3.050%, 09/22/26

     65        66  

Allergan Funding SCS

     

4.550%, 03/15/35

     300        318  

3.800%, 03/15/25

     190        199  

AmerisourceBergen

     

3.400%, 05/15/24

     100        104  

Amgen

     

4.563%, 06/15/48

     300        347  

1.850%, 08/19/21

     200        199  

Anthem

     

4.650%, 01/15/43

     150        166  

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

3.650%, 12/01/27

   $ 65      $ 68  

3.350%, 12/01/24

     150        156  

3.300%, 01/15/23

     200        207  

AstraZeneca

     

4.375%, 08/17/48

     100        119  

2.375%, 11/16/20

     150        151  

2.375%, 06/12/22

     100        100  

Baxter International

     

2.600%, 08/15/26

     100        101  

Becton Dickinson

     

4.685%, 12/15/44

     157        182  

3.700%, 06/06/27

     33        35  

3.125%, 11/08/21

     100        102  

Biogen

     

3.625%, 09/15/22

     100        104  

Boston Scientific

     

4.550%, 03/01/39

     150        177  

3.375%, 05/15/22

     100        103  

Bristol-Myers Squibb

     

4.250%, 10/26/49 (A)

     40        46  

4.125%, 06/15/39 (A)

     994        1,126  

3.400%, 07/26/29 (A)

     80        86  

3.200%, 06/15/26 (A)

     250        262  

2.900%, 07/26/24 (A)

     55        57  

2.600%, 05/16/22 (A)

     50        51  

2.000%, 08/01/22

     100        100  

Cardinal Health

     

3.200%, 03/15/23

     100        102  

3.079%, 06/15/24

     150        152  

Celgene

     

5.000%, 08/15/45

     250        313  

3.875%, 08/15/25

     100        108  

3.250%, 02/20/23

     100        104  

2.875%, 02/19/21

     45        45  

Cigna

     

4.900%, 12/15/48

     1,270        1,453  

4.800%, 08/15/38

     230        258  

4.375%, 10/15/28

     190        208  

3.750%, 07/15/23

     55        57  

3.400%, 09/17/21

     3,806               3,891  

Cigna Holding

     

4.000%, 02/15/22

     100        104  

CVS Health

     

5.125%, 07/20/45

     200        227  

5.050%, 03/25/48

     1,369        1,554  

4.780%, 03/25/38

     100        109  

4.300%, 03/25/28

     310        335  

3.875%, 07/20/25

     120        127  

3.700%, 03/09/23

     115        120  

3.350%, 03/09/21

     157        159  

3.250%, 08/15/29

     1,668        1,676  

2.875%, 06/01/26

     200        200  

2.125%, 06/01/21

     50        50  

CVS Pass-Through Trust

     

4.163%, 08/11/36 (A)

     573        598  

Danaher

     

3.350%, 09/15/25

     30        32  

Eli Lilly

     

3.875%, 03/15/39

     150        171  

3.100%, 05/15/27

     49        52  

2.350%, 05/15/22

     100        101  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

   Face Amount 
(000) 
     Value 
(000) 
 

Express Scripts Holding

     

4.750%, 11/15/21

   $ 100      $ 105  

Gilead Sciences

     

4.600%, 09/01/35

     400        474  

4.500%, 02/01/45

     150        174  

2.500%, 09/01/23

     35        35  

1.950%, 03/01/22

     15        15  

GlaxoSmithKline Capital

     

3.875%, 05/15/28

     150        166  

3.375%, 06/01/29

     100        107  

2.850%, 05/08/22

     100        102  

2.800%, 03/18/23

     125        128  

HCA

     

5.500%, 06/15/47

     40        45  

5.250%, 04/15/25

     35        39  

5.250%, 06/15/26

     40        45  

5.250%, 06/15/49

            1,582             1,726  

5.125%, 06/15/39

     25        27  

5.000%, 03/15/24

     55        60  

4.750%, 05/01/23

     35        37  

4.500%, 02/15/27

     30        32  

4.125%, 06/15/29

     20        21  

Humana

     

4.950%, 10/01/44

     200        232  

Johnson & Johnson

     

3.625%, 03/03/37

     150        167  

2.900%, 01/15/28

     150        158  

2.625%, 01/15/25

     100        103  

2.450%, 12/05/21

     100        101  

2.450%, 03/01/26

     200        204  

Kaiser Foundation Hospitals

     

4.875%, 04/01/42

     150        194  

3.150%, 05/01/27

     25        26  

Laboratory Corp of America Holdings

     

3.250%, 09/01/24

     100        104  

McKesson

     

2.850%, 03/15/23

     200        203  

Medtronic

     

4.625%, 03/15/45

     163        209  

4.375%, 03/15/35

     144        173  

2.750%, 04/01/23

     100        103  

Merck

     

4.150%, 05/18/43

     100        120  

4.000%, 03/07/49

     1,435        1,706  

3.900%, 03/07/39

     50        58  

3.400%, 03/07/29

     50        54  

2.900%, 03/07/24

     25        26  

2.750%, 02/10/25

     200        207  

Mylan

     

5.250%, 06/15/46

     200        213  

3.750%, 12/15/20

     100        102  

Northwell Healthcare

     

3.809%, 11/01/49

     1,003        1,045  

Novartis Capital

     

4.400%, 05/06/44

     150        185  

3.400%, 05/06/24

     100        106  

3.000%, 11/20/25

     50        53  

2.400%, 05/17/22

     50        51  

PerkinElmer

     

3.300%, 09/15/29

     30        30  

Description

 

   Face Amount 
(000) 
     Value 
(000) 
 

Pfizer

     

4.200%, 09/15/48

   $ 15      $ 18  

4.125%, 12/15/46

     100        116  

4.100%, 09/15/38

     25        28  

4.000%, 12/15/36

     250        286  

4.000%, 03/15/49

     50        58  

3.900%, 03/15/39

     25        28  

3.450%, 03/15/29

     50        54  

3.200%, 09/15/23

     25        26  

3.000%, 09/15/21

     20        20  

3.000%, 06/15/23

     100        104  

2.950%, 03/15/24

     50        52  

Providence St. Joseph Health Obligated Group

     

2.532%, 10/01/29

     40        40  

Quest Diagnostics

     

4.200%, 06/30/29

     150        166  

Sanofi

     

3.375%, 06/19/23

     200        210  

Shire Acquisitions Investments Ireland DAC

     

3.200%, 09/23/26

     60        62  

2.875%, 09/23/23

     50        51  

2.400%, 09/23/21

     150        151  

SSM Health Care

     

3.688%, 06/01/23

     20        21  

Stanford Health Care

     

3.795%, 11/15/48

     100        115  

Stryker

     

4.625%, 03/15/46

     100        122  

3.500%, 03/15/26

     25        27  

3.375%, 11/01/25

     50        53  

Takeda Pharmaceutical

     

5.000%, 11/26/28 (A)

     200        234  

Thermo Fisher Scientific

     

3.600%, 08/15/21

     100        102  

3.200%, 08/15/27

     100        105  

3.000%, 04/15/23

     200        206  

2.950%, 09/19/26

     30        31  

UnitedHealth Group

     

4.750%, 07/15/45

     100        121  

4.625%, 07/15/35

     200        242  

4.450%, 12/15/48

     10        12  

4.250%, 04/15/47

     100        114  

4.250%, 06/15/48

     50        57  

3.875%, 12/15/28

     10        11  

3.850%, 06/15/28

     50        55  

3.750%, 07/15/25

     50        54  

3.700%, 12/15/25

     10        11  

3.500%, 06/15/23

     50        52  

3.500%, 02/15/24

     10        10  

3.500%, 08/15/39

         1,396            1,453  

3.150%, 06/15/21

     50        51  

2.950%, 10/15/27

     150        155  

2.875%, 03/15/22

     100        102  

Zimmer Biomet Holdings

     

3.550%, 04/01/25

     150        158  

Zoetis

     

4.450%, 08/20/48

     125        148  

3.250%, 02/01/23

     50        51  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

3.000%, 09/12/27

   $ 50      $ 51  
     

 

 

 
        39,995  
     

 

 

 

Industrials – 1.8%

     

3M

     

5.700%, 03/15/37

     150        198  

4.000%, 09/14/48

     100        112  

2.000%, 02/14/25

     100        99  

ABB Finance USA

     

3.800%, 04/03/28

     150        166  

AerCap Ireland Capital

     

4.625%, 10/30/20

     225        230  

4.500%, 05/15/21

     1,375        1,420  

AerCap Ireland Capital DAC

     

4.125%, 07/03/23

     150        157  

2.875%, 08/14/24

     150        150  

Aeropuerto Internacional de Tocumen

     

6.000%, 11/18/48 (A)

     390        492  

Air Lease

     

4.625%, 10/01/28

     100        110  

3.250%, 03/01/25

     150        153  

Aircastle

     

5.500%, 02/15/22

     15        16  

5.125%, 03/15/21

     15        15  

5.000%, 04/01/23

     15        16  

4.250%, 06/15/26

            1,111               1,138  

4.125%, 05/01/24

     15        16  

Allegion US Holding

     

3.550%, 10/01/27

     50        51  

American Airlines Pass-Through Trust

     

4.950%, 01/15/23

     99        104  

3.150%, 02/15/32

     40        41  

Boeing

     

3.900%, 05/01/49

     25        28  

3.750%, 02/01/50

     50        54  

3.600%, 05/01/34

     25        27  

3.450%, 11/01/28

     50        54  

3.200%, 03/01/29

     25        26  

3.100%, 05/01/26

     25        26  

2.950%, 02/01/30

     50        51  

2.350%, 10/30/21

     150        151  

2.300%, 08/01/21

     30        30  

2.125%, 03/01/22

     50        50  

Burlington Northern Santa Fe

     

4.900%, 04/01/44

     200        252  

4.150%, 12/15/48

     105        123  

3.750%, 04/01/24

     200        213  

3.550%, 02/15/50

     1,627        1,724  

3.050%, 03/15/22

     100        102  

Canadian National Railway

     

4.450%, 01/20/49

     150        189  

Canadian Pacific Railway

     

4.000%, 06/01/28

     15        17  

2.900%, 02/01/25

     100        102  

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

Caterpillar

     

5.200%, 05/27/41

   $ 100      $ 132  

3.900%, 05/27/21

     50        51  

3.400%, 05/15/24

     100        106  

3.250%, 09/19/49

     1,448        1,505  

Caterpillar Financial Services

     

3.650%, 12/07/23

     100        106  

3.450%, 05/15/23

     150        158  

3.150%, 09/07/21

     55        56  

Cintas No. 2

     

3.700%, 04/01/27

     200        218  

CNH Industrial Capital

     

4.875%, 04/01/21

     10        10  

4.375%, 11/06/20

     15        15  

4.375%, 04/05/22

     10        11  

4.200%, 01/15/24

     50        53  

3.875%, 10/15/21

     10        10  

CSX

     

4.250%, 03/15/29

     65        73  

3.800%, 03/01/28

     100        109  

3.800%, 11/01/46

     200        210  

3.350%, 09/15/49

     100        98  

3.250%, 06/01/27

     50        53  

Deere

     

2.875%, 09/07/49

     15        15  

Delta Air Lines

     

4.375%, 04/19/28

     50        53  

2.600%, 12/04/20

     45        45  

DP World

     

5.625%, 09/25/48 (A)

     972        1,123  

4.700%, 09/30/49 (A)

     650        646  

Eaton

     

3.103%, 09/15/27

     100        104  

Embraer Netherlands Finance BV

     

5.400%, 02/01/27

     65        74  

Emerson Electric

     

2.625%, 02/15/23

     100        103  

Eskom Holdings SOC

     

6.750%, 08/06/23 (A)

     710        729  

6.350%, 08/10/28 (A)

              1,560            1,669  

FedEx

     

4.950%, 10/17/48

     100        111  

4.750%, 11/15/45

     100        108  

3.200%, 02/01/25

     200        206  

Fluor

     

4.250%, 09/15/28

     50        50  

Fortune Brands Home & Security

     

4.000%, 09/21/23

     50        53  

GATX

     

3.850%, 03/30/27

     200        210  

GE Capital International Funding Unlimited Co

     

4.418%, 11/15/35

     1,647        1,724  

2.342%, 11/15/20

     250        249  

General Dynamics

     

3.750%, 05/15/28

     55        61  

3.500%, 05/15/25

     200        214  

2.250%, 11/15/22

     100        101  

General Electric

     

6.875%, 01/10/39

     300        397  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

3.450%, 05/15/24

   $ 100      $ 103  

2.700%, 10/09/22

     1,545        1,549  

Georgian Oil and Gas JSC

     

6.750%, 04/26/21 (A)

     200        207  

Georgian Railway

     

7.750%, 07/11/22 (A)

     1,500        1,640  

Hillenbrand

     

4.500%, 09/15/26

     100        101  

Honeywell International

     

4.250%, 03/01/21

     125        129  

2.500%, 11/01/26

     150        153  

IHS Markit

     

4.250%, 05/01/29

     85        91  

Indonesia Asahan Aluminium Persero

     

6.757%, 11/15/48 (A)

     418        542  

6.530%, 11/15/28 (A)

     380        464  

5.710%, 11/15/23 (A)

     1,210        1,331  

5.230%, 11/15/21 (A)

         1,262               1,325  

Ingersoll-Rand Global Holding

     

4.250%, 06/15/23

     100        106  

Ingersoll-Rand Luxembourg Finance

     

3.800%, 03/21/29

     100        106  

John Deere Capital

     

3.350%, 06/12/24

     100        106  

3.050%, 01/06/28

     150        157  

2.800%, 03/04/21

     100        101  

2.800%, 03/06/23

     50        51  

2.800%, 09/08/27

     50        52  

2.650%, 06/24/24

     100        103  

Johnson Controls International

     

4.500%, 02/15/47

     150        165  

3.625%, 07/02/24

     40        42  

Kansas City Southern

     

4.700%, 05/01/48

     50        60  

Kazakhstan Temir Zholy National JSC

     

4.850%, 11/17/27 (A)

     2,275        2,492  

Kennametal

     

4.625%, 06/15/28

     25        27  

L3Harris Technologies

     

5.054%, 04/27/45

     100        125  

4.400%, 06/15/28 (A)

     150        169  

Latam Airlines, Pass-Through Trust

     

4.500%, 11/15/23

     398        398  

4.200%, 11/15/27

     824        843  

Lockheed Martin

     

4.700%, 05/15/46

     150        190  

2.900%, 03/01/25

     100        104  

2.500%, 11/23/20

     150        151  

Masco

     

4.500%, 05/15/47

     100        101  

4.375%, 04/01/26

     40        43  

3.500%, 04/01/21

     50        51  

Mexico City Airport Trust

     

3.875%, 04/30/28 (A)

     200        196  

Norfolk Southern

     

5.100%, 08/01/18

     50        61  

4.150%, 02/28/48

     60        68  

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

3.250%, 12/01/21

   $ 100      $ 102  

3.150%, 06/01/27

     25        26  

2.900%, 06/15/26

     35        36  

Northrop Grumman

     

4.030%, 10/15/47

     150        170  

3.500%, 03/15/21

     100        102  

3.250%, 08/01/23

     50        52  

Owens Corning

     

4.200%, 12/01/24

     100        105  

PACCAR Financial

     

3.150%, 08/09/21

     100        102  

Parker-Hannifin

     

4.000%, 06/14/49

     20        22  

3.300%, 11/21/24

     150        157  

Pelabuhan Indonesia III Persero

     

4.500%, 05/02/23 (A)

     350        370  

Republic Services

     

3.950%, 05/15/28

     50        55  

2.900%, 07/01/26

     150        155  

Rockwell Automation

     

3.500%, 03/01/29

     85        92  

Rockwell Collins

     

3.200%, 03/15/24

     150        156  

Roper Technologies

     

2.800%, 12/15/21

     150        152  

Ryder System

     

3.875%, 12/01/23

     25        27  

3.500%, 06/01/21

     50        51  

2.800%, 03/01/22

     30        30  

2.500%, 09/01/24

     20        20  

Stanley Black & Decker

     

2.900%, 11/01/22

     100        102  

Textron

     

3.650%, 03/15/27

     100        104  

Transnet

     

4.000%, 07/26/22 (A)

     425        427  

Union Pacific

     

4.800%, 09/10/58

     100        120  

3.799%, 10/01/51

     200        214  

3.646%, 02/15/24

     100        106  

3.600%, 09/15/37

     150        158  

3.550%, 08/15/39

     70        73  

United Airlines, Pass-Through Trust

     

4.300%, 08/15/25

     75        81  

3.750%, 09/03/26

     77        82  

2.700%, 05/01/32

     30        30  

United Parcel Service

     

3.750%, 11/15/47

     150        160  

3.400%, 03/15/29

     115        123  

3.400%, 09/01/49

         1,154               1,161  

3.125%, 01/15/21

     45        46  

3.050%, 11/15/27

     100        105  

United Technologies

     

4.625%, 11/16/48

     215        268  

4.450%, 11/16/38

     10        12  

4.125%, 11/16/28

     30        34  

3.950%, 08/16/25

     15        17  

3.750%, 11/01/46

     1,837        2,021  

3.650%, 08/16/23

     20        21  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount
(000)

 

    

Value
(000)

 

 

3.350%, 08/16/21

   $ 10      $             10  

3.100%, 06/01/22

     100        103  

2.650%, 11/01/26

     130        134  

2.300%, 05/04/22

     100        101  

1.950%, 11/01/21

     50        50  

Verisk Analytics

     

4.125%, 03/15/29

     110            121  

4.000%, 06/15/25

     50        54  

Wabtec

     

4.950%, 09/15/28

     150        165  

Waste Connections

     

3.500%, 05/01/29

     50        53  

Waste Management

     

4.150%, 07/15/49

     65        76  

4.000%, 07/15/39

     35        40  

3.500%, 05/15/24

     100        105  

3.450%, 06/15/29

     50        54  
     

 

 

 
       

 

    41,138

 

 

 

     

 

 

 

Information Technology – 1.7%

     

Amphenol

     

4.350%, 06/01/29

     25        28  

2.800%, 02/15/30

     50        48  

Analog Devices

     

3.125%, 12/05/23

     150        154  

Apple

     

4.650%, 02/23/46

     300        377  

3.850%, 08/04/46

     100        113  

3.750%, 09/12/47

     150        167  

3.450%, 05/06/24

     100        107  

3.000%, 06/20/27

     25        26  

3.000%, 11/13/27

     100        105  

2.950%, 09/11/49

     100        98  

2.850%, 05/06/21

     200        203  

2.850%, 05/11/24

     250        259  

2.500%, 02/09/22

     50        51  

2.400%, 01/13/23

     200        203  

2.300%, 05/11/22

     100        101  

2.250%, 02/23/21

     50        50  

2.200%, 09/11/29

     4,607        4,527  

2.150%, 02/09/22

     250        252  

1.550%, 08/04/21

     50        50  

Applied Materials

     

3.300%, 04/01/27

     125        133  

2.625%, 10/01/20

     50        50  

Arrow Electronics

     

3.500%, 04/01/22

     100        102  

Broadcom

     

4.750%, 04/15/29 (A)

     100        106  

4.250%, 04/15/26 (A)

     100        103  

3.875%, 01/15/27

     100        100  

3.625%, 01/15/24

     100        102  

3.625%, 10/15/24 (A)

     100        102  

3.125%, 10/15/22 (A)

     25        25  

3.000%, 01/15/22

     100        101  

2.200%, 01/15/21

     100        100  

C&W Senior Financing DAC

     

6.875%, 09/15/27 (A)

     790        819  

Cisco Systems

     

3.625%, 03/04/24

     100        107  

3.500%, 06/15/25

     50        54  

Description

 

  

Face Amount
(000)

 

    

Value

(000)

 

 

2.950%, 02/28/26

   $ 50      $ 53  

2.500%, 09/20/26

     100        103  

2.200%, 09/20/23

     100        101  

1.850%, 09/20/21

     100        100  

Corning

     

5.350%, 11/15/48

     100        127  

Dell International

     

8.350%, 07/15/46 (A)

     736        971  

6.020%, 06/15/26 (A)

     260        292  

5.450%, 06/15/23 (A)

     150        163  

5.300%, 10/01/29 (A)

     50        55  

4.900%, 10/01/26 (A)

     50        54  

4.420%, 06/15/21 (A)

     100        103  

Deutsche Telekom International Finance BV

     

2.225%, 01/17/20 (A)

     1,009               1,009  

Fidelity National Information Services

     

5.000%, 10/15/25

     28        32  

3.625%, 10/15/20

     200        202  

Fiserv

     

4.400%, 07/01/49

     1,554        1,734  

3.800%, 10/01/23

     100        106  

3.500%, 07/01/29

     45        48  

3.200%, 07/01/26

     150        155  

2.750%, 07/01/24

     1,683        1,712  

Flex

     

4.875%, 06/15/29

     50        53  

Global Payments

     

4.150%, 08/15/49

     100        106  

Hewlett Packard Enterprise

     

4.900%, 10/15/25

     100        111  

3.600%, 10/15/20

     200        202  

HP

     

6.000%, 09/15/41

     150        171  

IBM Credit

     

1.800%, 01/20/21

     100        100  

Intel

     

3.734%, 12/08/47

     200        223  

3.700%, 07/29/25

     25        27  

3.150%, 05/11/27

     100        106  

2.875%, 05/11/24

     150        156  

2.600%, 05/19/26

     100        103  

International Business Machines

     

4.250%, 05/15/49

     100        115  

4.150%, 05/15/39

     100        114  

4.000%, 06/20/42

     150        166  

3.625%, 02/12/24

     100        106  

3.500%, 05/15/29

     3,251        3,489  

3.450%, 02/19/26

     50        53  

3.300%, 05/15/26

     4,236        4,467  

3.000%, 05/15/24

     150        156  

2.850%, 05/13/22

     100        102  

2.800%, 05/13/21

     100        101  

2.250%, 02/19/21

     50        50  

1.875%, 08/01/22

     150        149  

Juniper Networks

     

4.500%, 03/15/24

     50        54  

KLA

     

4.100%, 03/15/29

     65        72  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

Lam Research

     

4.000%, 03/15/29

   $ 30      $             33  

3.750%, 03/15/26

     100        107  

2.800%, 06/15/21

     50        51  

Mastercard

     

3.950%, 02/26/48

     10        12  

3.650%, 06/01/49

     50        57  

3.500%, 02/26/28

     5        5  

2.950%, 11/21/26

     50        53  

2.950%, 06/01/29

     50        52  

Micron Technology

     

4.663%, 02/15/30

     100            104  

Microsoft

     

4.250%, 02/06/47

     500        620  

4.100%, 02/06/37

     200        237  

3.700%, 08/08/46

     100        114  

3.450%, 08/08/36

     300        332  

3.300%, 02/06/27

     160        173  

3.125%, 11/03/25

     100        106  

2.875%, 02/06/24

     35        36  

2.650%, 11/03/22

     150        154  

2.400%, 02/06/22

     150        152  

2.400%, 08/08/26

     100        102  

Motorola Solutions

     

4.600%, 05/23/29

     25        27  

NetApp

     

3.375%, 06/15/21

     50        51  

NXP BV

     

5.350%, 03/01/26 (A)

     2,496        2,802  

4.300%, 06/18/29 (A)

     1,703        1,819  

Oracle

     

3.900%, 05/15/35

     200        221  

3.850%, 07/15/36

     250        275  

3.800%, 11/15/37

     250        272  

2.950%, 11/15/24

     200        207  

2.950%, 05/15/25

     100        104  

2.500%, 05/15/22

     150        152  

2.400%, 09/15/23

     200        202  

1.900%, 09/15/21

     90        90  

PayPal Holdings

     

2.650%, 10/01/26

     936        942  

2.200%, 09/26/22

     200        201  

QUALCOMM

     

4.300%, 05/20/47

     150        168  

3.250%, 05/20/27

     50        52  

3.000%, 05/20/22

     100        103  

2.600%, 01/30/23

     200        203  

salesforce.com

     

3.250%, 04/11/23

     150        156  

Seagate HDD Cayman

     

4.750%, 01/01/25

     49        51  

Texas Instruments

     

4.150%, 05/15/48

     50        61  

2.750%, 03/12/21

     75        76  

Total System Services

     

4.800%, 04/01/26

     100        111  

Trimble

     

4.150%, 06/15/23

     100        104  

Tyco Electronics Group

     

3.125%, 08/15/27

     25        26  

Description

 

  

Face Amount 
(000) 

 

    

Value 

(000) 

 

 

Visa

     

4.300%, 12/14/45

   $ 150      $ 186  

3.150%, 12/14/25

     200        213  

2.800%, 12/14/22

     100        103  

VMware

     

2.950%, 08/21/22

     100        101  

Western Union

     

4.250%, 06/09/23

     50        53  
     

 

 

 
       

 

       38,227

 

 

 

     

 

 

 

Materials – 0.6%

     

Airgas

     

3.650%, 07/15/24

     100        106  

ArcelorMittal

     

7.000%, 10/15/39

     21        25  

6.250%, 02/25/22

     20        21  

6.125%, 06/01/25

     15        17  

5.500%, 03/01/21

     20        21  

4.250%, 07/16/29

     100        102  

Barrick

     

5.250%, 04/01/42

     150        182  

BHP Billiton Finance USA

     

5.000%, 09/30/43

     100        129  

Celanese US Holdings

     

5.875%, 06/15/21

     20        21  

4.625%, 11/15/22

     20        21  

Cemex

     

7.750%, 04/16/26 (A)

     200        217  

5.700%, 01/11/25 (A)

     385        396  

CNAC HK Finbridge

     

4.125%, 03/14/21

     2,000        2,033  

Dow Chemical

     

5.550%, 11/30/48 (A)

     50        61  

4.800%, 11/30/28 (A)

     100        113  

4.125%, 11/15/21

     250        259  

DuPont de Nemours

     

5.419%, 11/15/48

     40        51  

5.319%, 11/15/38

     35        43  

4.725%, 11/15/28

     100        114  

4.205%, 11/15/23

     100        107  

Eastman Chemical

     

3.800%, 03/15/25

     150        157  

Ecolab

     

3.250%, 01/14/23

     100        104  

FMC

     

4.500%, 10/01/49

     100        104  

Huntsman International

     

4.500%, 05/01/29

     20        21  

International Paper

     

5.150%, 05/15/46

     150        169  

3.650%, 06/15/24

     200        210  

LYB International Finance II BV

     

3.500%, 03/02/27

     100        103  

LYB International Finance III

     

4.200%, 10/15/49

     1,446        1,432  

LyondellBasell Industries

     

6.000%, 11/15/21

     1,024        1,092  

Martin Marietta Materials

     

4.250%, 12/15/47

     100        101  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value 
(000) 

 

 

Methanex

     

5.250%, 12/15/29

   $ 25      $ 25  

Minera Mexico

     

4.500%, 01/26/50 (A)

     982        966  

Mosaic

     

4.050%, 11/15/27

     100        104  

Nacional del Cobre de Chile

     

3.625%, 08/01/27 (A)

     505            532  

Newmont Goldcorp

     

5.450%, 06/09/44

     100        125  

3.700%, 03/15/23

     50        52  

3.500%, 03/15/22

     100        103  

Nucor

     

3.950%, 05/01/28

     150        164  

Nutrien

     

6.125%, 01/15/41

     150        186  

3.625%, 03/15/24

     100        104  

Orbia Advance

     

4.000%, 10/04/27 (A)

     465        471  

Packaging Corp of America

     

3.650%, 09/15/24

     100        105  

3.400%, 12/15/27

     35        36  

2.450%, 12/15/20

     35        35  

PPG Industries

     

2.400%, 08/15/24

     50        50  

Praxair

     

2.450%, 02/15/22

     200        203  

Rio Tinto Finance USA

     

3.750%, 06/15/25

     200        215  

RPM International

     

4.550%, 03/01/29

     50        54  

SASOL Financing USA

     

5.875%, 03/27/24

     200        216  

Sherwin-Williams

     

3.800%, 08/15/49

     50        51  

3.450%, 08/01/25

     100        105  

2.950%, 08/15/29

     50        50  

Southern Copper

     

5.875%, 04/23/45

     150        182  

3.875%, 04/23/25

     30        31  

Vale Overseas

     

6.875%, 11/21/36

     200        253  

4.375%, 01/11/22

     80        83  

Westlake Chemical

     

3.600%, 08/15/26

     100        103  

WRKCo

     

4.650%, 03/15/26

     100        110  

4.200%, 06/01/32

     50        54  
     

 

 

 
       

 

     12,300

 

 

 

     

 

 

 

Real Estate – 0.7%

     

Alexandria Real Estate Equities

     

4.000%, 01/15/24

     100        107  

4.000%, 02/01/50

     50        54  

3.450%, 04/30/25

     25        26  

American Campus Communities Operating Partnership

     

3.300%, 07/15/26

     100        103  

Description

 

  

Face Amount  
(000)  

 

    

Value 
(000) 

 

 

American Tower

     

4.000%, 06/01/25

   $ 200      $ 214  

3.375%, 05/15/24

     100        104  

2.750%, 01/15/27

     100         

2.250%, 01/15/22

     50        50  

AvalonBay Communities

     

3.500%, 11/15/24

     100        106  

3.300%, 06/01/29

     65        69  

Boston Properties

     

3.850%, 02/01/23

     100        105  

3.650%, 02/01/26

     150        159  

2.900%, 03/15/30

     2,002        1,996  

Brixmor Operating Partnership

     

3.875%, 08/15/22

     30        31  

3.250%, 09/15/23

     100        103  

Camden Property Trust

     

4.100%, 10/15/28

     10        11  

3.150%, 07/01/29

     30        31  

Crown Castle International

     

5.250%, 01/15/23

     100        109  

4.000%, 11/15/49

     10        10  

3.800%, 02/15/28

     150        160  

3.700%, 06/15/26

     35        37  

2.250%, 09/01/21

     55        55  

CubeSmart

     

4.375%, 02/15/29

     15        16  

Digital Realty Trust

     

3.625%, 10/01/22

     100        104  

3.600%, 07/01/29

     2,268               2,360  

Duke Realty

     

3.750%, 12/01/24

     100        106  

EPR Properties

     

4.750%, 12/15/26

     50        54  

Equinix

     

5.875%, 01/15/26

     45        48  

5.375%, 05/15/27

     35        38  

ERP Operating

     

4.625%, 12/15/21

     120        126  

4.150%, 12/01/28

     50        56  

Essex Portfolio

     

3.375%, 04/15/26

     100        105  

Federal Realty Investment Trust

     

3.200%, 06/15/29

     50        52  

GLP Capital

     

5.750%, 06/01/28

     15        17  

5.375%, 11/01/23

     15        16  

5.375%, 04/15/26

     25        28  

5.250%, 06/01/25

     15        17  

4.000%, 01/15/30

     65        65  

HCP

     

3.875%, 08/15/24

     150        160  

3.250%, 07/15/26

     100        103  

Healthcare Trust of America Holdings

     

3.750%, 07/01/27

     100        105  

Highwoods Realty

     

4.200%, 04/15/29

     50        54  

Host Hotels & Resorts

     

3.750%, 10/15/23

     100        104  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value 
(000) 

 

 

Kilroy Realty

     

3.450%, 12/15/24

   $ 50      $ 52  

3.050%, 02/15/30

     2,576        2,523  

Kimco Realty

     

4.450%, 09/01/47

     1,163        1,283  

3.300%, 02/01/25

     80        83  

3.200%, 05/01/21

     50        51  

Liberty Property

     

4.125%, 06/15/22

     100        104  

Life Storage

     

4.000%, 06/15/29

     50        54  

Mid-America Apartments

     

3.950%, 03/15/29

     50        55  

3.600%, 06/01/27

     25        26  

National Retail Properties

     

4.000%, 11/15/25

     35        38  

3.600%, 12/15/26

     100            105  

Office Properties Income Trust

     

4.250%, 05/15/24

     50        51  

Omega Healthcare Investors

     

4.375%, 08/01/23

     50        53  

3.625%, 10/01/29

     100        99  

Prologis

     

3.875%, 09/15/28

     35        39  

Public Storage

     

3.385%, 05/01/29

     30        32  

Realty Income

     

3.875%, 04/15/25

     25        27  

3.250%, 10/15/22

     100        103  

3.250%, 06/15/29

     25        26  

Regency Centers

     

3.600%, 02/01/27

     30        31  

2.950%, 09/15/29

     50        50  

Sabra Health Care

     

3.900%, 10/15/29

     50        49  

Service Properties Trust

     

5.250%, 02/15/26

     100        104  

5.000%, 08/15/22

     100        104  

Simon Property Group

     

3.375%, 10/01/24

     125        131  

3.300%, 01/15/26

     100        105  

3.250%, 09/13/49

     1,727        1,687  

2.625%, 06/15/22

     250        254  

2.450%, 09/13/29

     1,122               1,098  

UDR

     

4.400%, 01/26/29

     25        28  

4.000%, 10/01/25

     50        54  

Ventas Realty

     

3.750%, 05/01/24

     50        53  

2.650%, 01/15/25

     100        100  

VEREIT Operating Partnership

     

4.875%, 06/01/26

     20        22  

4.625%, 11/01/25

     50        55  

4.600%, 02/06/24

     15        16  

4.125%, 06/01/21

     10        10  

Welltower

     

4.950%, 09/01/48

     100        120  

3.100%, 01/15/30

     30        30  

Description

 

  

Face Amount  
(000)  

 

    

Value 
(000) 

 

 

Weyerhaeuser

     

4.625%, 09/15/23

   $ 100      $ 109  

WP Carey

     

4.600%, 04/01/24

     50        53  
     

 

 

 
       

 

     16,441

 

 

 

     

 

 

 

Utilities – 3.8%

     

1MDB Energy

     

5.990%, 05/11/22

     2,000        2,102  

ABY Transmision Sur

     

6.875%, 04/30/43 (A)

     625        774  

AEP Transmission

     

3.800%, 06/15/49

     50        55  

3.100%, 12/01/26

     150        157  

Alabama Power

     

4.300%, 07/15/48

     30        35  

Ameren

     

2.500%, 09/15/24

     2,086        2,096  

Ameren Illinois

     

4.500%, 03/15/49

     25        31  

American Electric Power

     

3.650%, 12/01/21

     35        36  

American Water Capital

     

4.200%, 09/01/48

     100        115  

3.400%, 03/01/25

     100        105  

Arizona Public Service

     

4.500%, 04/01/42

     100        117  

3.150%, 05/15/25

     50        52  

Atmos Energy

     

4.125%, 03/15/49

     20        23  

3.375%, 09/15/49

     670        680  

3.000%, 06/15/27

     65        68  

Avangrid

     

3.800%, 06/01/29

     50        54  

Berkshire Hathaway Energy

     

6.125%, 04/01/36

     200        277  

3.750%, 11/15/23

     100        106  

Black Hills

     

4.350%, 05/01/33

     30        34  

3.050%, 10/15/29

     50        50  

CenterPoint Energy

     

4.250%, 11/01/28

     25        28  

3.850%, 02/01/24

     25        27  

3.700%, 09/01/49

     25        25  

3.600%, 11/01/21

     10        10  

2.950%, 03/01/30

     25        25  

2.500%, 09/01/22

     50        50  

CenterPoint Energy Houston Electric

     

4.250%, 02/01/49

     25        30  

2.250%, 08/01/22

     100        100  

Cleco Corporate Holdings

     

3.743%, 05/01/26

     100        103  

CMS Energy

     

3.000%, 05/15/26

     40        41  

Cometa Energia

     

6.375%, 04/24/35 (A)

     1,453        1,545  

Connecticut Light & Power

     

4.000%, 04/01/48

     25        29  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value 
(000) 

 

 

3.200%, 03/15/27

   $ 25      $ 26  

Consolidated Edison of New York

     

4.450%, 03/15/44

     150        175  

4.000%, 12/01/28

     100        112  

3.875%, 06/15/47

     100        110  

3.800%, 05/15/28

     50        55  

Consumers Energy

     

4.350%, 04/15/49

     100        123  

Delmarva Power & Light

     

4.150%, 05/15/45

     423        484  

Dominion Energy

     

5.950%, 06/15/35

     1,199        1,516  

4.050%, 09/15/42

     150        159  

3.071%, 08/15/24

     35        36  

2.750%, 01/15/22

     100        101  

2.450%, 01/15/23 (A)

     2,543               2,552  

Dominion Energy Gas Holdings

     

2.500%, 12/15/19

     1,300        1,300  

DPL

     

4.350%, 04/15/29 (A)

     125        123  

DTE Electric

     

3.950%, 03/01/49

     70        80  

3.750%, 08/15/47

     100        111  

DTE Energy

     

3.400%, 06/15/29

     70        73  

2.529%, 10/01/24

     2,962        2,971  

Duke Energy

     

3.750%, 09/01/46

     200        206  

2.650%, 09/01/26

     150        151  

Duke Energy Carolinas

     

5.300%, 02/15/40

     300        389  

3.700%, 12/01/47

     100        109  

3.200%, 08/15/49

     25        25  

3.050%, 03/15/23

     100        103  

2.950%, 12/01/26

     50        52  

Duke Energy Florida

     

3.800%, 07/15/28

     50        55  

2.100%, 12/15/19

     125        125  

Duke Energy Progress

     

3.700%, 09/01/28

     50        55  

3.450%, 03/15/29

     35        38  

Edison International

     

5.750%, 06/15/27

     2,126        2,387  

2.400%, 09/15/22

     80        79  

Empresa de Transmision Electrica

     

5.125%, 05/02/49 (A)

     400        460  

Enel Generacion Chile

     

4.250%, 04/15/24

     50        53  

Entergy

     

4.000%, 07/15/22

     50        52  

Entergy Louisiana

     

4.200%, 04/01/50

     50        59  

4.000%, 03/15/33

     130        148  

Entergy Texas

     

3.550%, 09/30/49

     25        26  

Eversource Energy

     

3.300%, 01/15/28

     100        104  

2.750%, 03/15/22

     5,309        5,377  

Description

 

  

Face Amount  
(000)  

 

    

Value 
(000) 

 

 

Exelon

     

5.100%, 06/15/45

   $ 1,211      $ 1,500  

3.400%, 04/15/26

     100        104  

Exelon Generation

     

5.600%, 06/15/42

     600        713  

FirstEnergy

     

4.250%, 03/15/23

     1,445        1,528  

3.900%, 07/15/27

     230        245  

FirstEnergy Transmission

     

5.450%, 07/15/44 (A)

     1,217        1,546  

4.550%, 04/01/49 (A)

     387        455  

Florida Power & Light

     

4.125%, 06/01/48

     50        59  

3.990%, 03/01/49

     50        58  

3.700%, 12/01/47

     100        111  

3.150%, 10/01/49

     1,447               1,473  

Fortis

     

2.100%, 10/04/21

     966        963  

Georgia Power

     

4.300%, 03/15/42

     200        220  

2.650%, 09/15/29

     1,208        1,187  

Interstate Power & Light

     

3.500%, 09/30/49

     1,160        1,166  

ITC Holdings

     

3.650%, 06/15/24

     25        26  

2.700%, 11/15/22

     2,183        2,204  

Kansas City Power & Light

     

3.650%, 08/15/25

     100        107  

Listrindo Capital BV

     

4.950%, 09/14/26 (A)

     530        537  

MidAmerican Energy

     

4.250%, 07/15/49

     1,279        1,540  

3.950%, 08/01/47

     100        114  

Minejesa Capital BV

     

5.625%, 08/10/37 (A)

     870        940  

National Fuel Gas

     

3.950%, 09/15/27

     50        51  

Nevada Power

     

3.700%, 05/01/29

     40        44  

NextEra Energy Capital Holdings

     

4.800%, VAR ICE LIBOR USD 3 Month+2.409%, 12/01/77

     200        203  

3.342%, 09/01/20

     5,136        5,194  

3.150%, 04/01/24

     100        103  

2.900%, 04/01/22

     2,233        2,273  

2.403%, 09/01/21

     2,508        2,524  

NiSource

     

5.800%, 02/01/42

     992        1,267  

4.375%, 05/15/47

     100        112  

3.650%, 06/15/23

     50        52  

2.650%, 11/17/22

     4,408        4,461  

Northern States Power

     

2.600%, 05/15/23

     100        101  

NSTAR Electric

     

2.375%, 10/15/22

     100        101  

Oglethorpe Power

     

5.050%, 10/01/48

     50        60  

Ohio Power

     

4.000%, 06/01/49

     20        23  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value 

(000) 

 

 

Oklahoma Gas & Electric

     

3.800%, 08/15/28

   $ 25      $ 27  

3.300%, 03/15/30

     25        26  

Oncor Electric Delivery

     

4.100%, 11/15/48

     50        59  

3.750%, 04/01/45

     100        110  

3.700%, 11/15/28 (A)

     100        110  

3.100%, 09/15/49 (A)

     1,875        1,879  

ONE Gas

     

4.500%, 11/01/48

     45        55  

PacifiCorp

     

4.100%, 02/01/42

     150        171  

PECO Energy

     

3.900%, 03/01/48

     15        17  

Perusahaan Listrik Negara

     

6.150%, 05/21/48 (A)

     845        1,082  

5.500%, 11/22/21 (A)

     776        822  

4.875%, 07/17/49 (A)

     368        400  

3.875%, 07/17/29 (A)

     450        466  

Piedmont Natural Gas

     

3.500%, 06/01/29

     100        107  

Pinnacle West Capital

     

2.250%, 11/30/20

     1,009        1,008  

Power Finance

     

6.150%, 12/06/28 (A)

     1,060               1,235  

PPL Capital Funding

     

4.000%, 09/15/47

     100        104  

3.500%, 12/01/22

     150        154  

PPL Electric Utilities

     

3.000%, 10/01/49

     35        34  

Progress Energy

     

7.750%, 03/01/31

     1,026        1,463  

PSEG Power

     

3.850%, 06/01/23

     50        53  

3.000%, 06/15/21

     50        50  

Public Service Electric & Gas

     

3.650%, 09/01/28

     100        110  

Public Service Enterprise Group

     

2.650%, 11/15/22

     150        152  

Public Service of Colorado

     

4.100%, 06/15/48

     65        76  

3.200%, 03/01/50

     100        102  

Public Service of New Hampshire

     

3.600%, 07/01/49

     25        27  

Puget Energy

     

6.500%, 12/15/20

     100        105  

Puget Sound Energy

     

4.223%, 06/15/48

     100        117  

Ruwais Power PJSC

     

6.000%, 08/31/36 (A)

     540        680  

San Diego Gas & Electric

     

4.300%, 04/01/42

     826        918  

4.150%, 05/15/48

     636        724  

Sempra Energy

     

6.000%, 10/15/39

     1,222        1,569  

3.800%, 02/01/38

     200        206  

3.750%, 11/15/25

     100        105  

3.550%, 06/15/24

     100        104  

2.900%, 02/01/23

     35        36  

Description

 

  

Face Amount  
(000)  

 

    

Value  

(000)  

 

 

Southern

     

4.250%, 07/01/36

   $ 150      $ 162  

2.350%, 07/01/21

     200        201  

Southern California Edison

     

4.875%, 03/01/49

     314        377  

4.125%, 03/01/48

     654        710  

3.650%, 03/01/28

     50        54  

3.500%, 10/01/23

     150        156  

2.850%, 08/01/29

     75        76  

Southern Gas Capital

     

3.250%, 06/15/26

     30        31  

Southwestern Electric Power

     

4.100%, 09/15/28

     25        28  

3.850%, 02/01/48

     100        106  

2.750%, 10/01/26

     50        50  

Southwestern Public Service

     

4.400%, 11/15/48

     100        120  

3.750%, 06/15/49

     50        55  

State Grid Overseas Investment 2013

     

3.125%, 05/22/23 (A)

     440        452  

Tampa Electric

     

4.450%, 06/15/49

     25        30  

4.300%, 06/15/48

     25        29  

Union Electric

     

3.500%, 04/15/24

     150        159  

3.250%, 10/01/49

     150        150  

Virginia Electric & Power

     

3.800%, 04/01/28

     100        109  

3.500%, 03/15/27

     100        107  

3.100%, 05/15/25

     100        104  

2.875%, 07/15/29

     150        154  

Vistra Operations

     

3.550%, 07/15/24 (A)

     1,877               1,889  

Washington Gas Light

     

3.650%, 09/15/49

     25        26  

WEC Energy Group

     

3.375%, 06/15/21

     65        66  

3.100%, 03/08/22

     25        26  

Westar Energy

     

3.250%, 09/01/49

     50        50  

Wisconsin Electric Power

     

4.300%, 10/15/48

     10        12  

Wisconsin Power & Light

     

3.050%, 10/15/27

     100        104  

Xcel Energy

     

2.400%, 03/15/21

     2,057        2,066  
     

 

 

 
       

 

84,627

 

 

 

     

 

 

 

Total Corporate Obligations
(Cost $539,311) (000)

 

    

 

561,756

 

 

 

     

 

 

 

Mortgage-Backed Securities — 24.6%

 

  

Agency Mortgage-Backed Obligations – 22.8%

 

  

FHLMC

     

5.000%, 02/01/39 - 12/01/48

     9,339        10,037  

4.500%, 05/01/42 - 01/01/49

     11,472        12,239  

4.000%, 05/01/26 - 03/01/49

     17,524        18,420  

3.500%, 06/01/33 - 07/01/48

     39,123        40,644  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value  

(000)  

 

 

3.000%, 11/01/27 - 10/01/49

   $ 28,702      $ 29,291  

2.500%, 01/01/32 - 12/01/32

     2,567        2,594  

FHLMC, Ser 2011-3830, Cl DZ

     

4.000%, 12/15/30

     936        998  

FHLMC, Ser 2011-3838, Cl FG

     

2.428%, VAR LIBOR USD 1 Month+0.400%, 03/15/40

     121        122  

FHLMC, Ser 2011-3896, Cl PA

     

4.000%, 03/15/40

     255        265  

FHLMC, Ser 2013-4212, Cl JP

     

3.000%, 12/15/40

     449        459  

FHLMC, Ser 2014-4384, Cl LA

     

3.500%, 09/15/40

     208        214  

FHLMC, Ser 2017-4681, Cl DA

     

3.000%, 04/15/45

     910        938  

FHLMC, Ser 2018-4798, Cl BA

     

4.000%, 05/15/44

     1,357        1,399  

FHLMC, Ser 2018-4821, Cl MA

     

3.500%, 10/15/53

     2,726               2,835  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K029, Cl A2

     

3.320%, 02/25/23

     1,000        1,042  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K055, Cl A2

     

2.673%, 03/25/26

     400        415  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K065, Cl A2

     

3.243%, 04/25/27

     1,026        1,105  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K068, Cl A2

     

3.244%, 08/25/27

     723        780  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K069, Cl A2

     

3.187%, 09/25/27 (E)

     400        430  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K070, Cl A2

     

3.303%, 11/25/27 (E)

     361        391  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K072, Cl A2

     

3.444%, 12/25/27

     100        109  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K078, Cl A2

     

3.854%, 06/25/28

     200        225  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K079, Cl A2

     

3.926%, 06/25/28

     1,505        1,706  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K081, Cl A2

     

3.900%, 08/25/28 (E)

     1,156        1,308  

Description

 

  

Face Amount  
(000)  

 

    

Value  

(000)  

 

 

FHLMC Multifamily Structured Pass-Through Certificates, Ser K083,
Cl A2

     

4.050%, 09/25/28 (E)

   $ 1,092      $ 1,251  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K085,
Cl A2

     

4.060%, 10/25/28 (E)

     200        229  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K086,
Cl A2

     

3.859%, 11/25/28 (E)

     120        136  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K094,
Cl A2

     

2.903%, 06/25/29

     1,126        1,195  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K095,
Cl A2

     

2.785%, 06/25/29

     1,413        1,487  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K723,
Cl A2

     

2.454%, 08/25/23

     350        355  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K730,
Cl A2

     

3.590%, 01/25/25 (E)

     425        455  

FNMA TBA

     

5.000%, 10/01/36

     2,985        3,197  

4.500%, 10/14/34

     1,535        1,616  

4.000%, 10/01/18 - 10/14/39

     2,445        2,537  

3.500%, 10/01/40

     11,075        11,391  

3.000%, 10/15/42

     14,435        14,652  

2.500%, 10/15/27

     3,815        3,847  

FNMA

     

5.500%, 09/01/40

     738        832  

5.000%, 07/01/41 - 09/01/48

     2,532        2,753  

4.500%, 01/01/30 - 09/01/49

     28,337             30,031  

4.000%, 08/01/27 - 09/01/49

     53,856        56,346  

3.500%, 08/01/31 - 08/01/49

     48,733        50,449  

3.000%, 02/01/32 - 08/01/49

     36,421        37,246  

2.500%, 12/01/27 - 08/01/34

     14,407        14,536  

FNMA, Ser 2006-104, Cl FC

     

2.268%, VAR LIBOR USD 1 Month+0.250%, 11/25/36

     279        279  

FNMA, Ser 2013-101, Cl A

     

3.000%, 09/25/30

     254        257  

FNMA, Ser 2015-M11, Cl A2

     

2.924%, 04/25/25 (E)

     850        883  

FNMA, Ser 2016-54, Cl GA

     

2.500%, 11/25/45

     1,809        1,839  

FNMA, Ser 2017-41, Cl MD

     

4.000%, 05/25/53

     1,103        1,155  

FNMA, Ser 2017-91, Cl PC

     

3.000%, 06/25/45

     587        598  

FNMA, Ser 2018-11, Cl PA

     

3.000%, 06/25/46

     1,504        1,576  

FNMA, Ser 2018-3, Cl PA

     

3.000%, 04/25/46

     1,631        1,689  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value  

(000)  

 

 

FNMA, Ser 2018-44, Cl PA

     

3.500%, 06/25/44

   $ 1,310      $ 1,343  

FNMA, Ser 2018-M12, Cl A2

     

3.776%, 08/25/30 (E)

     100        112  

FNMA, Ser 2018-M5, Cl A2

     

3.560%, 09/25/21 (E)

     127        129  

FNMA, Ser M7, Cl A2

     

3.150%, 03/25/28 (E)

     499        529  

GNMA

     

5.000%, 09/20/46 - 09/20/48

     1,960        2,112  

4.500%, 12/20/41 - 05/20/49

     14,325        15,054  

4.000%, 01/20/47 - 03/20/49

     17,392        18,151  

3.500%, 11/20/44 - 02/20/49

     23,885        24,888  

3.000%, 06/20/45 - 03/20/48

     10,502        10,821  

2.500%, 12/20/46

     382        386  

GNMA TBA

     

4.500%, 10/15/39

     1,000        1,045  

4.000%, 10/01/39

     14,450        15,027  

3.500%, 10/15/41

     23,945        24,806  

3.000%, 10/01/42

     24,060        24,689  
     

 

 

 
       

 

   509,875

 

 

 

     

 

 

 

Non-Agency Mortgage-Backed Obligations – 1.8%

 

  

Alternative Loan Trust, Ser 2003-22CB, Cl 3A1

     

6.000%, 12/25/33

     595        603  

BANK, Ser 2017-BNK8, Cl A4

     

3.488%, 11/15/50

     90        97  

BANK, Ser 2017-BNK8, Cl B

     

4.065%, 11/15/50 (E)

     50        54  

BANK, Ser 2018-BN13, Cl A5

     

4.217%, 08/15/61 (E)

     1,350        1,535  

BANK, Ser 2018-BN14, Cl A4

     

4.231%, 09/15/60 (E)

     96        109  

BANK, Ser 2018-BN15, Cl A4

     

4.407%, 11/15/61 (E)

     50        58  

BANK, Ser 2019-BN18, Cl A4

     

3.584%, 05/15/62

     454        496  

BANK, Ser 2019-BN19, Cl A3

     

3.183%, 08/15/61

     100        106  

BANK, Ser 2019-BN21, Cl A5

     

2.851%, 10/15/52

     958        987  

BBCMS Mortgage Trust, Ser 2018-C2, Cl A5

     

4.314%, 12/15/51

     1,011        1,157  

Benchmark Mortgage Trust, Ser 2018-B2, Cl A5

     

3.882%, 02/15/51 (E)

     100        111  

Benchmark Mortgage Trust, Ser 2018-B6, Cl A4

     

4.261%, 10/10/51

     50        57  

Benchmark Mortgage Trust, Ser 2019-B11, Cl A5

     

3.542%, 05/15/52

     200        218  

Benchmark Mortgage Trust, Ser 2019-B13, Cl A4

     

2.952%, 08/15/57

     958        993  

Description

 

  

Face Amount  
(000)  

 

    

Value  

(000)  

 

 

Benchmark Mortgage Trust, Ser 2019-B9, Cl A5

     

4.016%, 03/15/52

   $ 57      $ 64  

CD Mortgage Trust, Ser 2017-CD6, Cl A5

     

3.456%, 11/13/50

     100        107  

CD Mortgage Trust, Ser 2019-CD8, Cl A4

     

2.912%, 08/15/57

     1,049        1,083  

Citigroup Commercial Mortgage Trust, Ser 2015-GC33, Cl A4

     

3.778%, 09/10/58

     245        265  

Citigroup Commercial Mortgage Trust, Ser 2016-C3, Cl A4

     

3.154%, 11/15/49

     1,004        1,058  

Citigroup Commercial Mortgage Trust, Ser 2016-P6, Cl A5

     

3.720%, 11/10/26

     738        804  

Citigroup Commercial Mortgage Trust, Ser 2017-P7, Cl A4

     

3.712%, 04/14/50

     500        545  

Citigroup Commercial Mortgage Trust, Ser 2018-C5, Cl A4

     

4.228%, 06/10/51 (E)

     100        114  

Citigroup Mortgage Loan Trust, Ser 2018-A, Cl A1

     

4.000%, 01/25/68 (A) (E)

     599        599  

COMM Mortgage Trust, Ser 2013-CCRE9, Cl A4

     

4.373%, 07/10/45 (E)

     300        322  

COMM Mortgage Trust, Ser 2013-CR12, Cl A3

     

3.765%, 10/10/46

     1,340               1,409  

COMM Mortgage Trust, Ser 2013-CR7, Cl A4

     

3.213%, 03/10/46

     400        413  

COMM Mortgage Trust, Ser 2015-DC1, Cl A5

     

3.350%, 02/10/48

     700        735  

COMM Mortgage Trust, Ser 2015-LC23, Cl A4

     

3.774%, 10/10/48

     1,167        1,261  

COMM Mortgage Trust, Ser 2016-CR16, Cl A4

     

4.051%, 04/10/47

     683        733  

Commercial Mortgage Pass-Through Certificates, Ser CR28, Cl A4

     

3.762%, 02/10/49

     1,241        1,342  

Credit Suisse First Boston Mortgage Securities, Ser 2004-AR2, Cl 5A1

     

4.441%, 03/25/34 (E)

     24        24  

CSAIL Commercial Mortgage Trust, Ser 2016-C7, Cl A4

     

3.210%, 11/15/49

     500        522  

CSAIL Commercial Mortgage Trust, Ser 2016-C7, Cl A5

     

3.502%, 11/15/49

     597        637  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value  

(000)  

 

 

CSAIL Commercial Mortgage Trust, Ser 2019-C16, Cl A3

     

3.329%, 06/15/52

   $ 963      $ 1,026  

CSFB Mortgage-Backed Pass-Through Certificates, Ser 2003-27, Cl 4A4

     

5.750%, 11/25/33

     65        68  

CSMC Trust, Ser 2018-RPL7,
Cl A1

     

4.000%, 08/26/58 (A)

     487        492  

GS Mortgage Securities Trust, Ser 2013-GCJ12,Cl A4

     

3.135%, 06/10/46

     367        378  

GS Mortgage Securities Trust, Ser 2014-GC18,Cl A3

     

3.801%, 01/10/47

     1,424               1,506  

GS Mortgage Securities Trust, Ser 2014-GC18,Cl A4

     

4.074%, 01/10/47

     552        593  

GS Mortgage Securities Trust, Ser 2015-GC32,Cl A4

     

3.764%, 07/10/48

     500        540  

GS Mortgage Securities Trust, Ser 2016-GS4,Cl A4

     

3.442%, 11/10/49 (E)

     365        391  

GS Mortgage Securities Trust, Ser 2019-GC38,Cl A4

     

3.968%, 02/10/52

     100        112  

GS Mortgage Securities Trust, Ser 2019-GC42,Cl A4

     

3.001%, 09/01/52

     100        104  

GSR Mortgage Loan Trust, Ser 2005-4F, Cl 6A1

     

6.500%, 02/25/35

     32        33  

HarborView Mortgage Loan Trust, Ser 2004-3,Cl 1A

     

4.677%, 05/19/34 (E)

     27        28  

JPMBB Commercial Mortgage Securities Trust, Ser 2014-C19,
Cl A3

     

3.669%, 04/15/47

     500        511  

JPMCC Commercial Mortgage Securities Trust, Ser 2017-JP5,
Cl A2

     

3.240%, 03/15/50

     400        408  

JPMorgan Mortgage Trust, Ser 2003-A2, Cl 3A1

     

4.247%, 11/25/33 (E)

     108        111  

JPMorgan Mortgage Trust, Ser 2005-A1, Cl 6T1

     

4.683%, 02/25/35 (E)

     141        143  

JPMorgan Mortgage Trust, Ser 2005-A2, Cl 3A2

     

4.524%, 04/25/35 (E)

     37        38  

JPMorgan Mortgage Trust, Ser 2005-A3, Cl 4A1

     

4.854%, 06/25/35 (E)

     37        38  

MLCC Mortgage Investors, Ser 2006-2, Cl 2A

     

4.226%, 05/25/36 (E)

     143        146  

Description

 

  

Face Amount  
(000)  

 

    

Value  

(000)  

 

 

Morgan Stanley Bank of America Merrill Lynch Trust, Ser 2014-C19, Cl AS

     

3.832%, 12/15/47

   $ 500      $ 533  

Morgan Stanley Bank of America Merrill Lynch Trust, Ser 2015-C20, Cl A4

     

3.249%, 02/15/48

     935        979  

Morgan Stanley Bank of America Merrill Lynch Trust, Ser 2015-C23, Cl A4

     

3.719%, 07/15/50

     300        323  

Morgan Stanley Bank of America Merrill Lynch Trust, Ser 2015-C24, Cl A4

     

3.732%, 05/15/48

     1,839               1,977  

Morgan Stanley Capital I Trust, Ser 2014-CPT, Cl A

     

3.350%, 07/13/29 (A)

     1,104        1,123  

Morgan Stanley Capital I Trust, Ser 2017-HR2, Cl A4

     

3.587%, 12/15/50

     250        271  

Morgan Stanley Capital I Trust, Ser 2019-H7, Cl A4

     

3.261%, 07/15/52

     100        106  

Tharaldson Hotel Portfolio Trust, Ser 2018-THL, Cl A

     

2.792%, VAR LIBOR USD 1 Month+0.750%, 11/11/34 (A)

     293        293  

UBS Commercial Mortgage Trust, Ser 2018-C8, Cl A4

     

3.983%, 02/15/51

     300        333  

Wells Fargo Commercial Mortgage Trust, Ser 2015-C28, Cl A4

     

3.540%, 05/15/48

     700        745  

Wells Fargo Commercial Mortgage Trust, Ser 2015-C31, Cl A4

     

3.695%, 11/15/48

     811        873  

Wells Fargo Commercial Mortgage Trust, Ser 2015-P2, Cl A4

     

3.809%, 12/15/48

     638        692  

Wells Fargo Commercial Mortgage Trust, Ser 2016-C34, Cl A4

     

3.096%, 06/15/49

     1,215        1,268  

Wells Fargo Commercial Mortgage Trust, Ser 2016-LC25, Cl A4

     

3.640%, 12/15/59

     999        1,081  

Wells Fargo Commercial Mortgage Trust, Ser 2017-C42

     

3.589%, 12/15/50

     1,425        1,542  

Wells Fargo Commercial Mortgage Trust, Ser 2019-C49, Cl A4

     

3.760%, 03/15/52

     394        434  

Wells Fargo Commercial Mortgage Trust, Ser 2019-C49, Cl A5

     

4.023%, 03/15/52

     100        112  

Wells Fargo Commercial Mortgage Trust, Ser 2019-C52, Cl A5

     

2.892%, 08/15/52

     100        103  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value  

(000)  

 

 

Wells Fargo Mortgage-Backed Securities Trust, Ser 2003-J, Cl 1A9

     

4.564%, 10/25/33 (E)

   $ 341      $ 350  

Wells Fargo Mortgage-Backed Securities Trust, Ser 2005-AR10, Cl 2A4

     

4.968%, 05/01/35 (E)

     75        79  

WFRBS Commercial Mortgage Trust, Ser 2013-C13, Cl A3

     

2.749%, 05/15/45

     445        454  

WFRBS Commercial Mortgage Trust, Ser 2013-C14, Cl A4

     

3.073%, 06/15/46

     696        717  

WFRBS Commercial Mortgage Trust, Ser 2013-C14, Cl A5

     

3.337%, 06/15/46

     60        62  

WFRBS Commercial Mortgage Trust, Ser 2014-C25, Cl A5

     

3.631%, 11/15/47

     1,387        1,476  
     

 

 

 
       

 

41,210

 

 

 

     

 

 

 

Total Mortgage-Backed Securities
(Cost $542,209) (000)

 

    

 

551,085

 

 

 

     

 

 

 

Loan Participations — 9.6%

 

  

Airlines – 0.1%

     

American Airlines, Inc., 2017 Replacement Term Loan (New), 1st Lien

     

4.049%, 10/10/21

     500        500  

American Airlines, Inc., 2018 Replacement Term Loan

     

3.804%, VAR LIBOR+1.750%, 06/27/25

     1,230       

 

1,216

 

 

 

     

 

 

 
       

 

1,716

 

 

 

     

 

 

 

Automotive – 0.2%

 

  

Chassix Inc., Term Loan B

     

7.688%, 11/15/23

     240        229  

Chassix, Inc., Initial Loan, 1st Lien

     

9.750%, 11/15/23

     1        1  

8.063%, 11/15/23

     251        240  

Dayco Products, LLC, Term Loan, 1st Lien

     

6.374%, VAR LIBOR+4.250%, 05/08/23

     684        612  

Honeywell Technologies Sàrl, Dollar Tranche B Term Loan

     

4.820%, 09/19/25

     743        736  

Panther BF Aggregator 2 L.P., Initial Dollar Term Loan

     

5.544%, 04/30/26

     1,650        1,633  

TI Group Automotive Systems, LLC, Initial US Term Loan, 1st Lien

     

4.612%, VAR LIBOR+2.500%, 06/24/22

     1,438       

 

1,433

 

 

 

     

 

 

 
       

 

4,884

 

 

 

     

 

 

 

Description

 

  

Face Amount  
(000)  

 

    

Value  

(000)  

 

 

Broadcasting – 0.1%

     

Diamond Sports Group, LLC, Term Loan, 1st Lien

     

5.300%, 08/24/26

   $ 1,000      $ 1,005  
     

 

 

 

Building Materials – 0.2%

     

American Builders & Contractors Supply Co., Inc., Term B-2 Loan, 1st Lien

     

4.044%, VAR LIBOR+2.000%, 10/31/23

     1,596        1,595  

Beacon Roofing Supply, Inc., Initial Term Loan, 1st Lien

     

4.294%, VAR LIBOR+2.250%, 01/02/25

     1,234        1,230  

Foundation Building Materials Holding Company LLC, Term Loan, 1st Lien

     

5.044%, 05/09/25

     755        754  

Priso Acquisition Corporation (aka PrimeSource Building Products), Term B Loan, 1st Lien

     

5.112%, VAR LIBOR+3.000%, 05/08/22

     966        932  
     

 

 

 
       

 

       4,511

 

 

 

     

 

 

 

Chemicals – 1.1%

     

AkzoNobel (Starfruit), Term Loan B

     

5.292%, 10/01/25

     1,670        1,633  

Allnex (Luxembourg) & Cy S.C.A. (f/k/a AI Chem & Cy S.C.A.), Tranche B-2 Term Loan, 1st Lien

     

5.394%, VAR LIBOR+3.250%, 06/02/23

     692        659  

5.390%, VAR LIBOR+3.250%, 06/02/23

     2        2  

Allnex (Luxembourg) & Cy S.C.A. (f/k/a AI Chem & Cy S.C.A.), Tranche B-3 Term Loan

     

5.394%, VAR LIBOR+3.250%, 06/02/23

     521        497  

5.390%, VAR LIBOR+3.250%, 06/02/23

     1        1  

Archroma Finance S.a r.l., Facility B2, 1st Lien

     

6.341%, VAR LIBOR+4.250%, 08/12/24

     809        807  

6.330%, VAR LIBOR+4.250%, 08/12/24

     2        2  

Ascend Performance Term Loan B (2019)

     

7.354%, 08/14/26

     537        537  

ASP Chromaflo Intermediate Holdings, Inc., Initial Tranche B-1 Term Loan

     

5.612%, VAR LIBOR+3.500%, 11/20/23

     397        385  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value  
(000)  

 

 

ASP Chromaflo Intermediate Holdings, Inc., Initial Tranche B-2 Term Loan

     

5.612%, VAR LIBOR+3.500%, 11/20/23

   $ 516      $        500  

Axalta Coating Systems Dutch Holding B B.V. (Axalta Coating Systems U.S. Holdings, Inc.), Term B-3 Dollar Loan, 1st Lien

     

3.854%, VAR LIBOR+1.750%, 06/01/24

     1,570        1,570  

Berry Global, Term Loan, 1st Lien

     

4.549%, 07/01/26

     1,000        1,004  

Ferro Corporation, Tranche B-1 Term Loan, 1st Lien

     

4.354%, 02/14/24 (E)

     765        764  

Flint Group, Term Loan, 1st Lien

     

5.283%, 09/07/21 (E)

     731        613  

INEOS Styrolution US Holding LLC (fka Styrolution US Holding LLC), New 2024 Dollar Term Loan

     

4.104%, 03/29/24 (E)

     218        217  

Ineos US Finance LLC, New 2024 Dollar Term Loan

     

4.044%, VAR LIBOR+2.000%, 04/01/24

     1,482        1,464  

Klockner Pentaplast of America, Inc. (fka Kleopatra Acquisition Corp), Dollar Term Loan, 1st Lien

     

6.362%, VAR LIBOR+4.250%, 06/30/22

     689        608  

Messer Industries GmbH, Initial Term B-1 Loan

     

4.604%, 03/01/26

     875        873  

OCI Partners LP, Initial Term Loan, 1st Lien

     

6.330%, 02/14/25

     494        493  

Orion Engineered Carbons GmbH, Initial Dollar Term Loan, 1st Lien

     

4.330%, VAR LIBOR+2.000%, 07/25/24

     1,344        1,326  

PMHC II, Inc., Initial Term Loan

     

6.415%, 03/31/25

     219        176  

6.151%, 03/21/25

     235        189  

5.830%, 03/31/25

     288        231  

PQ Corporation, Third Amendment Tranche B-1 Term Loan

     

4.756%, 02/08/25 (E)

     839        840  

Ravago Holdings America, Inc., Term Loan, 1st Lien

     

4.800%, VAR LIBOR+2.750%, 06/30/23

     321        320  

Reynolds Group Holdings Inc., Incremental U.S. Term Loan

     

4.794%, VAR LIBOR+2.750%, 02/05/23

     552        553  

Reynolds Group Holdings Incremental US Term Loans

     

4.794%, VAR LIBOR+2.750%, 02/05/23

     928        930  

Description

 

  

Face Amount  
(000)  

 

    

Value  
(000)  

 

 

Schenectady International Group, Inc., Initial Term Loan

     

6.854%, 10/15/25

   $ 27      $ 26  

Schenectady International Group, Inc., Initial Term Loan, 1st Lien

     

7.063%, 10/15/25 (E)

     1,318               1,280  

Solenis Holdings LLC, Initial Dollar Term Loan

     

6.124%, 06/26/25

     746        724  

6.112%, 06/26/25

     2        2  

Spectrum Holdings III Corp., Closing Date Term Loan, 2nd Lien

     

9.112%, VAR LIBOR+7.000%, 01/26/26

     500        450  

Tricorbraun Holdings, Inc., Closing Date Term Loan, 1st Lien

     

6.136%, 11/30/23

     48        46  

6.008%, 11/30/23 (E)

     533        518  

Tronox Finance LLC, Initial Dollar Term Loan

     

4.854%, VAR LIBOR+3.000%, 09/23/24

     1,108        1,107  

Tronox Limited, Initial Dollar Term Loan

     

5.330%, 09/23/24

     708        708  

U.S. Farathane, LLC, Term B-4 Loan, 1st Lien

     

5.612%, VAR LIBOR+3.500%, 12/31/21

     1,146        1,077  

Univar USA Inc., Term B-3 Loan, 1st Lien

     

4.294%, VAR LIBOR+2.500%, 07/01/24

     842        844  

Vantage Specialty Chemicals, Inc., Closing Date Term Loan

     

5.756%, 10/28/24

     29        27  

Vantage Specialty Chemicals, Inc., Closing Date Term Loan, 1st Lien

     

5.612%, VAR LIBOR+4.000%, 10/28/24

     706        647  

Vantage Specialty Chemicals, Inc., Initial Loan

     

10.337%, VAR LIBOR+8.250%, 10/20/25

     205        182  

Wilsonart LLC, Tranche D Term Loan, 1st Lien

     

5.360%, VAR LIBOR+3.250%, 12/19/23

     490        480  
     

 

 

 
       

 

25,312

 

 

 

     

 

 

 

Commercial Services – 0.0%

 

  

Autokiniton US Holdings, Inc., Closing Date Term B Loan, 1st Lien

     

6.044%, 05/17/25 (E)

     578        554  

Belfor, Term Loan B, 1st Lien

     

6.044%, 02/13/26

     350        351  
     

 

 

 
       

 

905

 

 

 

     

 

 

 
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value  
(000)  

 

 

Communication Services – 0.6%

 

  

Altice Financing S.A., March 2017 Refinancing Term Loan

     

4.778%, VAR LIBOR+2.750%, 07/15/25

   $ 933      $ 908  

Centurylink, Term Loan B

     

4.794%, 01/31/25 (E)

     1,345               1,335  

CommScope, Inc., Term Loan B, 1st Lien

     

5.362%, 04/06/26

     1,225        1,220  

CPI International, Inc., Initial Term Loan, 1st Lien

     

9.362%, 07/25/25 (E)

     313        298  

Flight Bidco Inc., Initial Term Loan

     

5.610%, 07/23/25

     616        609  

Flight Bidco Inc., Initial Term Loan, 1st Lien

     

9.610%, 06/19/26

     556        549  

Level 3 Financing, Inc., Tranche B 2024 Term Loan

     

4.353%, VAR LIBOR+2.250%, 02/22/24

     1,920        1,923  

MTN Infrastructure TopCo, Inc., Initial Term Loan, 1st Lien

     

5.112%, VAR LIBOR+3.000%, 11/15/24

     995        983  

Numericable U.S. LLC, USD TLB-11 Term Loan, 1st Lien

     

4.794%, 07/31/25 (E)

     249        243  

SBA Senior Finance II LLC, Initial Term Loan, 1st Lien

     

4.050%, VAR LIBOR+2.000%, 04/11/25

     1,209        1,209  

Sprint Communications, Inc., Initial Term Loan, 1st Lien

     

4.563%, VAR LIBOR+2.500%, 02/02/24

     1,764        1,751  

Zayo Group LLC (Zayo Capital, Inc.), 2017 Incremental Refinancing B-2 Term Facility

     

4.362%, VAR LIBOR+2.250%, 01/19/24

     1,226        1,228  
     

 

 

 
       

 

12,256

 

 

 

     

 

 

 

Computers & Electronics – 1.3%

 

  

Air Newco LLC, 2018 Refinancing Dollar Term B Loan

     

6.792%, 05/31/24

     705        703  

Air Newco, LLC, Term Loan B, 1st Lien

     

0.000%, 09/21/26 (F)

     500        495  

Brooks Automation, Inc., Initial Term B Loan

     

4.790%, 10/04/24 (E)

     499        504  

Cohu, Inc., Initial Term B Loan, 1st Lien

     

5.200%, 09/19/25

     1,158        1,096  

Description

 

  

Face Amount  
(000)  

 

    

Value  
(000)  

 

 

CPI International, Inc., Initial Term Loan, 1st Lien

     

5.612%, VAR LIBOR+3.500%, 07/26/24

   $ 360      $ 353  

Cypress Intermediate Holdings III, Inc. (fka Jaguar Holding Inc.), Initial Term Loan

     

4.800%, VAR LIBOR+3.000%, 04/29/24

     1,234               1,228  

Epicor Software Corporation (fka Eagle Parent Inc.), Term B Loan, 1st Lien

     

5.300%, VAR LIBOR+3.250%, 06/01/22

     1,726        1,726  

Excelitas Technologies Corp. (fka EXC Holdings III Corp.), Initial USD Term Loan

     

5.604%, VAR LIBOR+3.500%, 11/15/24

     985        984  

Flexera Software LLC (fka Flexera Software, Inc.), Initial Term Loan

     

5.620%, 02/26/25

     649        650  

Flexera Software LLC (fka Flexera Software, Inc.), Initial Term Loan, 2nd Lien

     

0.000%, 02/26/26 (F)

     250        248  

Go Daddy Operating Company, LLC (GD Finance Co, Inc.), Tranche B-1 Term Loan, 1st Lien

     

4.044%, VAR LIBOR+2.250%, 02/15/24

     989        990  

Hyland Software Inc., 1st Lien

     

5.362%, 07/01/24

     641        640  

Infor (US), Inc. (fka Lawson Software Inc.) , Tranche B-6 Term Loan

     

5.080%, VAR LIBOR+2.750%, 02/01/22

     1,679        1,680  

Kronos Incorporated, Incremental Term Loan, 1st Lien

     

5.253%, VAR LIBOR+3.000%, 11/01/23

     1,261        1,263  

MA Financeco., LLC, Tranche B-2 Term Loan, 1st Lien

     

4.294%, VAR LIBOR+2.500%, 11/19/21

     181        181  

MA Financeco., LLC, Tranche B-3 Term Loan

     

4.544%, VAR LIBOR+2.750%, 06/21/24

     123        121  

MACOM Technology Solutions Holdings, Inc. (fka M/A-COM Technology Solutions Holdings, Inc.), Initial Term Loan, 1st Lien

     

4.362%, VAR LIBOR+2.250%, 05/07/24

     1,062        963  

Micro Holdings (Internet Brands), Term Loan (2017)

     

5.794%, 09/13/24

     995        987  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value  
(000)  

 

 

Micro Holdings (Internet Brands), Term Loan, 2nd Lien

     

9.544%, VAR LIBOR+7.500%, 09/15/25

   $ 244      $        244  

Microchip Technology Incorporated, Initial Term Loan, 1st Lien

     

4.050%, VAR LIBOR+2.000%, 05/23/25

     1,196        1,198  

Misys Limited, Dollar Term Loan

     

5.696%, VAR LIBOR+3.500%, 06/13/24

     250        243  

Oberthur Technologies Holding S.A.S. (fka OT Frenchco 1 SAS), Facility B1 (USD), 1st Lien

     

6.080%, VAR LIBOR+3.750%, 01/10/24

     1,368        1,329  

Project Alpha Intermediate Holding, Inc., Term Loan, 1st Lien

     

5.810%, VAR LIBOR+3.500%, 04/19/24

     249        246  

Project Alpha, Term Loan B, 1st Lien

     

6.560%, 04/26/24

     1,136        1,135  

Project Boost Purchaser, LLC, Term Loan, 1st Lien

     

5.612%, 06/01/26

     584        579  

Project Ruby Ultimate Parent Corp., New Term Loan

     

5.612%, VAR LIBOR+3.500%, 02/09/24

     1,564        1,544  

Seattle SpinCo, Inc., Initial Term Loan, 1st Lien

     

4.544%, VAR LIBOR+2.750%, 06/21/24

     828        816  

SolarWinds Holdings, Inc., 2018 Refinancing Term Loan

     

4.794%, 02/05/24

     500        500  

Solera, LLC (Solera Finance, Inc.), Dollar Term Loan, 1st Lien

     

4.862%, VAR LIBOR+2.750%, 03/03/23

     1,511        1,503  

SS&C Technologies Holdings, Inc., Term B-3 Loan, 1st Lien

     

4.294%, VAR LIBOR+2.500%, 04/16/25

     1,001        1,004  

SS&C Technologies Holdings, Inc., Term B-4 Loan, 1st Lien

     

4.294%, VAR LIBOR+2.500%, 04/16/25

     677        678  

TeamViewer, Term Loan B, 1st Lien

     

7.080%, 02/22/24

     442        442  

Ultimate Software Group Inc., Initial Term Loan

     

5.794%, 05/04/26

     1,500        1,508  

Description

 

  

Face Amount  
(000)  

 

    

Value  
(000)  

 

 

Vertiv Group Corporation (fka Cortes NP Acquisition Corporation), Term B Loan, 1st Lien

     

6.044%, VAR LIBOR+4.000%, 11/30/23

   $ 953      $ 905  
     

 

 

 
       

 

       28,686

 

 

 

     

 

 

 

Construction – 0.1%

 

  

Brand Energy & Infrastructure Services, Inc. (fka FR Brand Acquisition Corp), Initial Term Loan, 1st Lien

     

6.580%, 06/21/24

     4        4  

6.528%, VAR LIBOR+4.250%, 06/21/24

     410        400  

6.509%, VAR LIBOR+4.250%, 06/14/24

     260        254  

6.509%, VAR LIBOR+4.250%, 06/21/24

     203        198  

Pike Corporation, Initial Term Loan (2019), 1st Lien

     

5.300%, 07/24/26

     979        982  
     

 

 

 
       

 

1,838

 

 

 

     

 

 

 

Consumer Nondurables – 0.0%

 

  

Acuity Specialty Products, Inc., Initial Term Loan

     

6.330%, VAR LIBOR+4.000%, 08/12/24

     978        762  
     

 

 

 

Educational Services – 0.1%

 

  

Adtalem Global Education Inc., Term B Loan, 1st Lien

     

5.044%, 04/09/25 (E)

     243        243  

Learning Care Group (US) No. 2 Inc., Initial Term Loan, 1st Lien

     

5.580%, 03/13/25

     95        95  

5.526%, 03/13/25

     221        220  

5.506%, 03/13/25

     221        220  

Learning Care, Term Loan B, 1st Lien

     

5.435%, 03/13/25 (E)

     663        660  

Prometric Holdings Inc. (fka ETS Holdings Inc.), Initial Term Loan

     

5.120%, VAR LIBOR+3.000%, 01/17/25

     990        972  
     

 

 

 
       

 

2,410

 

 

 

     

 

 

 

Entertainment & Leisure – 0.3%

 

  

Alterra Mountain Company, Initial Bluebird Term Loan

     

5.044%, VAR LIBOR+3.000%, 07/31/24

     1,731        1,733  

AMC Entertainment Holdings, Inc. (fka AMC Entertainment Inc.), Term B-1 Loan, 1st Lien

     

5.230%, 04/22/26

     1,807        1,813  

Callaway Golf Company, Term Loan, 1st Lien

     

6.542%, 12/17/25

     890        901  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value  
(000)  

 

 

Crown Finance US, Inc., Initial Dollar Tranche Term Loan

     

4.294%, VAR LIBOR+2.500%, 02/28/25

   $ 615      $ 611  

Metro-Goldwyn-Mayer Inc., Initial Term Loan

     

4.620%, 06/27/25

     431        430  

Seaworld Parks & Entertainment, Inc. (f/k/a SW Acquisitions Co., Inc.), Term B-5 Loan, 1st Lien

     

5.112%, 04/01/24 (E)

     1,240               1,236  

Topgolf International, Inc., Initial Term Loan, 1st Lien

     

7.539%, 02/08/26

     229        230  

UFC Holdings, LLC, Term Loan

     

5.300%, 04/29/26

     748        749  
     

 

 

 
       

 

7,703

 

 

 

     

 

 

 

Environmental Services – 0.1%

 

  

GFL Environmental Inc., Effective Date Incremental Term Loan

     

5.044%, 05/30/25 (E)

     1,721        1,706  

Strategic Materials Holding Corp., Initial Term Loan

     

10.003%, 10/31/25

     500        350  

6.003%, VAR LIBOR+3.750%, 11/01/24

     739        640  
     

 

 

 
       

 

2,696

 

 

 

     

 

 

 

Financial Services – 0.3%

 

  

Altisource Solutions, Term Loan B, 1st Lien

     

6.104%, 03/29/24 (E)

     546        524  

Azalea TopCo, Inc., Initial Term Loan, 1st Lien

     

5.544%, 07/23/26

     571        569  

Citco Funding LLC, 2017 Term Loan, 1st Lien

     

4.612%, VAR LIBOR+3.000%, 03/23/22

     1,447        1,446  

Ditech Holding Corporation (fka Walter Investment Management Corp.), Tranche B Term Loan, 1st Lien

     

12.000%, VAR LIBOR+6.000%, 06/30/22 (C)

     458        184  

Hudson River Trading LLC, Repriced Term Loan, 1st Lien

     

5.830%, 03/20/25

     597        597  

Liquidnet Holdings, Inc., Term Loan

     

5.362%, 07/15/24

     654        651  

Newport Group Holdings II, Inc., Initial Term Loan

     

8.250%, 08/08/25

             

6.152%, 08/08/25

     192        190  

Triton, Term Loan B, 1st Lien

     

8.330%, 10/31/24

     624        581  

Description

 

  

Face Amount  
(000)  

 

    

Value  
(000)  

 

 

VFH Parent LLC, Term Loan B, 1st Lien

     

5.632%, 03/01/26

   $ 1,096      $ 1,097  
     

 

 

 
       

 

5,839

 

 

 

     

 

 

 

Food & Beverage – 0.1%

 

  

Arterra Wines Canada, Inc. (fka Canada Inc.), USD Term Loan B-1

     

5.169%, 12/15/23 (E)

     488        486  

JBS USA Lux S.A. (fka JBS USA, LLC), New Term Loan, 1st Lien

     

4.544%, 05/01/26

     671        673  

United Natural Foods, Inc., Initial Term Loan, 1st Lien

     

6.294%, 10/18/25

     1,642             1,368  

US Foods Inc., 1st Lien

     

0.000%, 08/17/26 (F)

     215        216  
     

 

 

 
       

 

2,743

 

 

 

     

 

 

 

Forest Products – 0.0%

 

  

ProAmpac PG Borrower LLC, Initial Term Loan

     

8.000%, VAR LIBOR+3.500%, 11/17/23

     1        1  

5.787%, VAR LIBOR+3.500%, 11/17/23

     122        117  

5.756%, VAR LIBOR+3.500%, 11/17/23

     80        76  

5.669%, 11/17/23

     178        170  

5.624%, VAR LIBOR+3.500%, 11/17/23

     105        101  
     

 

 

 
       

 

465

 

 

 

     

 

 

 

Gaming & Hotels – 0.4%

 

  

Caesars Resort Collection, LLC
(fka Caesars Growth Properties Holdings, LLC), Term B Loan, 1st Lien

     

4.794%, 12/23/24 (E)

     1,986        1,972  

CBAC Borrower, LLC, Term B Loan, 1st Lien

     

6.044%, VAR LIBOR+4.000%, 07/08/24

     500        480  

Gateway Casinos & Entertainment, Term Loan B (2018)

     

5.104%, 12/01/23

     1,247        1,229  

Golden Nugget, Inc., Initial B Term Loan, 1st Lien

     

4.807%, VAR LIBOR+2.750%, 10/04/23

     733        732  

4.794%, VAR LIBOR+2.750%, 10/04/23

     914        912  

Hanjin International Corp., Initial Term Loan

     

4.645%, VAR LIBOR+2.500%, 09/20/20

     1,000        1,000  

Hilton Worldwide Finance LLC, Refinanced Series B-2 Term Loan, 1st Lien

     

3.768%, 06/22/26

     750        754  
 


KP Fixed Income Fund

Schedule of Investments

September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value  

(000)  

 

 

MGM Growth Properties Operating Partnership LP, Term B Loan, 1st Lien

     

4.044%, VAR LIBOR+2.000%, 04/25/23

   $ 1,007      $ 1,008  

Stars Group Holdings B.V., USD Term Loan, 1st Lien

     

5.604%, 07/10/25

     1,077        1,081  
     

 

 

 
       

 

        9,168

 

 

 

     

 

 

 

Health Care – 0.4%

     

Bausch Health Companies Inc., Initial Term Loan, 1st Lien

     

5.039%, VAR LIBOR+3.000%, 06/02/25

     1,550        1,555  

Bulldog Purchaser Inc., Delayed Draw Term Loan

     

3.750%, 08/22/25

     38        38  

Bulldog Purchaser Inc., Initial Term Loan

     

5.862%, 08/22/25

     1,353        1,335  

Carestream Health, Inc., Extended Term Loan

     

7.794%, 02/28/21

     119        113  

DaVita Inc., Tranche B Term Loan, 1st Lien

     

0.000%, 08/07/26 (F)

     1,000        1,005  

Endo Luxembourg Finance Company I S.a r.l., Initial Term Loan, 1st Lien

     

6.294%, VAR LIBOR+4.250%, 04/27/24

     875        795  

Lifescan Global Corporation, Initial Term Loan

     

8.660%, 10/01/24 (E)

     260        234  

Radiology Partners, Term Loan, 1st Lien

     

10.895%, 07/09/26

     100        97  

Radiology Partners, Term Loan, 2nd Lien

     

10.561%, 07/09/26

     150        147  

Sterigenics-Nordion Holdings, LLC, Incremental Term Loan, 1st Lien

     

5.044%, VAR LIBOR+3.000%, 05/15/22

     1,234        1,219  

Surgery Center Holdings, Inc., Initial Term Loan, 1st Lien

     

5.300%, VAR LIBOR+3.250%, 09/02/24

     2,214        2,160  

Syneos Health Inc., Term A Loan, 1st Lien

     

0.000%, 03/26/24 (F)

     500        495  
     

 

 

 
       

 

9,193

 

 

 

     

 

 

 

Home Furnishings – 0.1%

     

Comfort Holding, LLC, Initial Term Loan

     

6.862%, VAR LIBOR+4.750%, 02/05/24

     839        828  

Description

 

  

Face Amount  
(000)  

 

    

Value  

(000)  

 

 

Serta Simmons Bedding, LLC, Initial Term Loan

     

5.682%, VAR LIBOR+3.500%, 10/20/23

   $ 232      $ 142  

5.539%, VAR LIBOR+3.500%, 10/20/23

     818        500  
     

 

 

 
       

 

1,470

 

 

 

     

 

 

 

Housing – 0.1%

     

DTZ US Borrower LLC, Term Loan B (2018)

     

5.294%, 08/15/25

     1,497        1,498  

Installed Building Products, Term Loan B (2018)

     

4.612%, 04/15/25 (E)

     504        504  
     

 

 

 
       

 

        2,002

 

 

 

     

 

 

 

Industrial Services – 0.1%

     

Delachaux Group, Facility B2, 1st Lien

     

6.822%, 04/01/26

     1,250        1,242  

PT Intermediate Holdings III, LLC, Term B Loan

     

6.330%, 12/09/24

     748        727  

SiteOne Landscape Supply, LLC (fka John Deere Landscapes LLC), Tranche E Term Loan

     

4.900%, 10/24/29

     776        776  
     

 

 

 
       

 

2,745

 

 

 

     

 

 

 

Information Technology – 0.0%

     

Mitchell International, Inc., Initial Term Loan

     

5.294%, 11/29/24 (E)

     619        593  
     

 

 

 

Insurance – 0.4%

     

Acrisure, LLC, 2017-2 Refinancing Term Loan

     

6.354%, VAR LIBOR+4.250%, 11/22/23

     1,069        1,063  

Acrisure, LLC, 2018-1 Additional Term Loan

     

5.862%, 11/22/23

     495        487  

Alliant Holdings Intermediate, LLC, Initial Term Loan (2018)

     

5.054%, VAR LIBOR+3.000%, 05/09/25

     1,395        1,370  

HIG Finance 2 Limited, Initial Dollar Term Loan

     

5.563%, 12/13/24

     968        968  

Hub International Limited, Initial Term Loan

     

5.267%, 04/25/25

     3        3  

Hub International, Ltd., Cov-Lite, Term Loan B, 1st Lien

     

5.267%, 04/25/25

     1,236        1,220  

NFP Corp., Term B Loan, 1st Lien

     

5.044%, VAR LIBOR+3.000%, 01/08/24

     1,686        1,656  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value 

(000) 

 

 

Sedgwick Claims Management Services, Inc. (Lightning Cayman Merger Sub, Ltd.), Initial Term Loan, 1st Lien

     

5.294%, 12/31/25

   $ 901      $ 885  

Sedgwick Claims Management Services, Inc., Term Loan B, 1st Lien

     

0.000%, 09/30/26 (F)

     268        268  

Viant Medical Holdings, Inc., Initial Term Loan

     

10.080%, 06/26/26

     122        113  
     

 

 

 
               8,033  
     

 

 

 

Investment Company – 0.0%

 

EIG Management Company, LLC,Initial Term Loan

     

5.866%, 01/31/25

     444        443  

StepStone Group, Term Loan B, 1st Lien

     

6.112%, 03/14/25

     478        478  
     

 

 

 
       

 

921

 

 

 

     

 

 

 

Leasing – 0.1%

 

Fly Funding II S.à r.l., Loan, 1st Lien

     

4.180%, VAR LIBOR+2.000%, 08/09/19

     635        636  

USS Ultimate Holdings, Inc., Initial Term Loan

     

5.950%, VAR LIBOR+3.750%, 08/09/24

     360        360  

USS Ultimate Holdings, Inc., Initial Term Loan, 1st Lien

     

6.080%, 08/09/24

     1        1  
     

 

 

 
       

 

997

 

 

 

     

 

 

 

Machinery – 0.3%

 

Airxcel, Inc., Initial Term Loan

     

6.612%, VAR LIBOR+4.500%, 04/25/25

     743        713  

Airxcel, Inc., Initial Term Loan, 1st Lien

     

10.862%, 04/27/26

     500        452  

Altra Industrial Motion Corp., Term Loan, 1st Lien

     

4.112%, 09/26/25

     1,387        1,384  

CPM Holdings, Inc., Initial Term Loan

     

10.362%, 10/24/26

     247        244  

5.794%, 10/24/25

     365        359  

Douglas Dynamics LLC, 2017 Replacement Term Loan Facility, 1st Lien

     

5.120%, 12/31/21 (E)

     352        351  

Filtration Group Corporation, Initial Dollar Term Loan

     

5.112%, 03/28/25

     920        921  

Description

 

  

Face Amount  
(000)  

 

    

Value 

(000) 

 

 

Graftech International Ltd., Initial Term Loan, 1st Lien

     

5.544%, VAR LIBOR+3.500%, 02/12/25

   $ 1,149      $ 1,116  

Pro Mach Group, Inc., Initial Term Loan

     

4.932%, 03/07/25

     744        724  
     

 

 

 
       

 

       6,264

 

 

 

     

 

 

 

Manufacturing – 0.1%

 

Blount International, Inc., Term Loan

     

5.946%, 04/12/23

     494        494  

LTI Boyd Corporation, Term Loan B

     

5.612%, 09/06/25

     665        628  

Pelican Products, Inc., Term Loan

     

9.789%, 04/17/26

     88        84  

5.539%, VAR LIBOR+3.500%, 04/19/25

     68        65  

Utex Industries, Term Loan, 1st Lien

     

6.112%, 05/14/21 (E)

     398        336  
     

 

 

 
       

 

     1,607

 

 

 

     

 

 

 

Media – 0.4%

 

Charter Communications Operating, LLC (aka CCO Safari LLC), Term B Loan, 1st Lien

     

4.050%, VAR LIBOR+2.000%, 04/30/25

     1,412        1,420  

CSC Holdings, LLC (fka CSC Holdings, Inc.), March 2017 Refinancing Term Loan

     

4.278%, VAR LIBOR+2.250%, 07/17/25

     749        748  

Metro-Goldwyn-Mayer Inc., Initial Term Loan

     

6.620%, 06/29/26

     526        519  

NEP Group, Inc., Initial Dollar Term Loan

     

5.362%, 10/20/25

     746        731  

NEP Group, Inc., Initial Loan

     

9.112%, 10/05/26

     500        488  

Numericable U.S. LLC, USD TLB-12 Term Loan

     

5.715%, VAR LIBOR+3.000%, 01/31/26

     1,476        1,464  

Technicolor S.A., First Incremental U.S. Term Loan

     

4.874%, VAR LIBOR+2.750%, 12/06/23

     488        423  

Virgin Media Bristol LLC, K Facility, 1st Lien

     

4.528%, 01/15/26 (E)

     1,250        1,250  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value  

(000)  

 

 

Ziggo Secured Finance
Partnership, Term Loan E Facility,
1st Lien

     

4.528%, VAR LIBOR+2.500%,
04/15/25

   $ 1,250      $ 1,247  
     

 

 

 
       

 

       8,290

 

 

 

     

 

 

 

Medical Devices – 0.0%

 

MedPlast Holdings Inc., Term
Loan, 1st Lien

     

6.080%, 06/26/25

     222        207  
     

 

 

 

Metals & Mining – 0.1%

 

Dynacast International LLC, Term
B-2 Loan, 1st Lien

     

5.354%, VAR LIBOR+3.250%,
01/28/22

     1,233        1,182  
     

 

 

 

Oil & Gas – 0.2%

 

Apergy Corp, Term Loan B

     

4.563%, 04/18/25 (E)

     399        399  

Apergy Corporation, Initial Term
Loan, 1st Lien

     

6.500%, 04/18/25

     34        34  

BCP Raptor, LLC, Initial Term
Loan, 1st Lien

     

6.794%, VAR LIBOR+4.250%,
06/24/24

     463        424  

Limetree Bay Terminals, LLC
(Limetree Bay Financing, LLC),
Advance, 1st Lien

     

6.112%, VAR LIBOR+4.000%,
02/15/24

     725        695  

Lower Cadence Holdings LLC,
Initial Term Loan, 1st Lien

     

6.054%, 05/08/26

     915        891  

Lucid Energy Group II Borrower,
LLC, Initial Term Loan, 1st Lien

     

5.112%, VAR LIBOR+3.000%,
02/17/25

     489        460  

PES Holdings, LLC, Tranche C
Loan

     

2.830%, 12/31/22

     570        97  

0.000%, 12/31/22 (F)

     10        2  

Seadrill Operating LP (Seadrill
Partners Finco LLC), Initial Term
Loan, 1st Lien

     

8.330%, VAR LIBOR+6.000%,
02/21/21

     339        185  

Traverse Midstream Partners LLC,
Advance, 1st Lien

     

6.260%, VAR LIBOR+4.000%,
09/27/24

     772        677  
     

 

 

 
        3,864  
     

 

 

 

Description

 

  

Face Amount  
(000)  

 

    

Value  

(000)  

 

 

Personal Services – 0.1%

 

William Morris Endeavor
Entertainment, LLC (IMG
Worldwide Holdings, LLC), Term
B-1 Loan, 1st Lien

     

4.870%, VAR LIBOR+2.750%,
05/18/25

   $ 138      $ 134  

4.800%, VAR LIBOR+2.750%,
05/18/25

     1,508        1,462  
     

 

 

 
       

 

       1,596

 

 

 

     

 

 

 

Professional & Business Services – 0.9%

 

Allied Universal Holdco LLC (f/k/a
USAGM Holdco, LLC), Delayed
Draw Term Loan, 1st Lien

     

6.507%, 07/10/26

     113        113  

Allied Universal Holdco LLC (f/k/a
USAGM Holdco, LLC), Initial
Term Loan, 1st Lien

     

6.507%, 07/10/26

     1,137        1,138  

ASGN Incorporated (fka On
Assignment, Inc.), Initial Term B-2
Loan

     

4.112%, VAR LIBOR+2.000%,
02/21/25

     445        446  

athenahealth, Inc., Term B Loan,
1st Lien

     

6.681%, 02/11/26

     1,539        1,533  

Avantor, Inc., Initial B-1 Dollar
Term Loan

     

5.044%, VAR LIBOR+4.000%,
11/21/24

     869        875  

BCP Renaissance Parent LLC,
Initial Term Loan, 1st Lien

     

5.756%, VAR LIBOR+3.500%,
10/31/24

     462        440  

Casmar Holdings (Australia) Pty
Limited, Initial Term Loan

     

5.500%, VAR LIBOR+4.500%,
12/20/23

     486        440  

Cast & Crew Payroll, LLC, Initial
Term Loan

     

6.120%, 02/09/26

     537        540  

Change Healthcare Holdings, Inc.
(fka Emdeon Inc.), Closing Date
Term Loan, 1st Lien

     

4.544%, VAR LIBOR+2.750%,
03/01/24

     1,717        1,708  

Cineworld (Crown Finance)
Incremental 2019 Term Loan

     

2.500%, 09/20/26

     160        159  

Clear Channel Outdoor Holdings,
Inc. Term Loan B

     

5.667%, 08/21/26

     1,080        1,083  

Flex Acquisition Company, Inc.,
Initial Term Loan, 1st Lien

     

5.319%, VAR LIBOR+3.000%,
12/29/23

     1,437        1,382  

Focus Financial Partners, LLC,
Tranche B-2 Term Loan

     

4.544%, 07/03/24

     874        877  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value 

(000) 

 

 

Fortress Investment, Term Loan B
(2018)

     

4.044%, 12/27/22 (E)

   $ 938      $ 940  

GHX Ultimate Parent Corporation,
Initial Term Loan

     

5.580%, VAR LIBOR+3.000%,
06/21/24

     739        729  

Inovalon Holdings, Inc., Term
Loan, 1st Lien

     

5.563%, VAR LIBOR+3.500%,
04/02/25

     1,487        1,494  

KinderCare (KUEHG Corp), Term
Loan B-3

     

6.080%, 02/14/25

     740        738  

KUEHG Corp (fka KC MergerSub,
Inc.), Term B-3 Loan, 1st Lien

     

6.080%, 02/14/25

     258        257  

Safe Fleet Holdings LLC, Initial
Term Loan

     

5.040%, VAR LIBOR+3.000%,
02/03/25

     741        716  

Tempo Acquisition, LLC, Initial
Term Loan, 1st Lien

     

5.044%, VAR LIBOR+3.000%,
05/01/24

     1,410        1,414  

Western Dental Services, Inc., 1st
Lien

     

7.360%, 06/23/23

     1,190        1,181  

Western Dental, Incremental Term
Loan B, 1st Lien

     

6.612%, 06/30/23

     162        161  

WEX Inc., Term B-3 Loan

     

4.294%, 05/14/26

     1,226        1,232  
     

 

 

 
       

 

       19,596

 

 

 

     

 

 

 

Real Estate – 0.3%

 

Capital Automotive L.P., Initial
Tranche B Term Loan

     

8.044%, VAR LIBOR+6.000%,
03/21/25

     361        362  

Capital Automotive L.P., Initial
Tranche B-2 Term Loan

     

4.550%, VAR LIBOR+2.500%,
03/21/24

     1,055        1,055  

Claros Mortgage Trust, Inc., Initial
Term Loan, 1st Lien

     

0.000%, 08/05/26 (F)

     409        409  

Forest City Enterprises, L.P., Initial
Term Loan, 1st Lien

     

6.044%, 12/08/25

     773        778  

iStar Inc. (fka iStar Financial Inc.),
Loan, 1st Lien

     

4.807%, VAR LIBOR+3.000%,
07/01/20

     554        555  

4.807%, VAR LIBOR+3.000%,
07/01/20

     566        567  

Description

 

  

Face Amount  
(000)  

 

    

Value 

(000) 

 

 

RE/MAX, LLC (fka RE/MAX
International, LLC), Term Loan,
1st Lien

     

4.794%, VAR LIBOR+2.750%,
12/15/23

   $ 486      $ 483  

RHP Hotel Properties, LP, Tranche
B Term Loan, 1st Lien

     

4.330%, VAR LIBOR+2.000%,
05/11/24

     733        733  

VICI Properties 1 LLC, Term B
Loan, 1st Lien

     

4.046%, 12/20/24 (E)

     1,164        1,167  
     

 

 

 
       

 

       6,109

 

 

 

     

 

 

 

Restaurants – 0.0%

 

Miller’s Ale House, Inc., Term B
Loan, 1st Lien

     

6.930%, 05/26/25

     981        902  

0.000%, 05/26/25 (F)

     8        7  

Miller’s Ale House, Inc., Term
Loan, 1st Lien

     

7.086%, 05/26/25

     3        2  
     

 

 

 
       

 

911

 

 

 

     

 

 

 

Retail Food & Drug – 0.0%

 

GOBP Holdings, Inc., 2019 Term
Loan, 1st Lien

     

5.759%, 10/22/25

     531        533  
     

 

 

 

Retailing – 0.4%

 

1011778 B.C. Unlimited Liability
Company (New Red Finance,
Inc.) (aka Burger King/Tim
Hortons), Term B-3 Loan, 1st Lien

     

4.294%, VAR LIBOR+2.250%,
02/16/24

     1,303        1,307  

Belron Finance US LLC, Initial
Term B Loan, 1st Lien

     

4.709%, VAR LIBOR+2.500%,
11/07/24

     985        987  

EG Group Limited, Additional
Facility Loan (USD)

     

6.330%, VAR LIBOR+4.000%,
02/07/25

     1,148        1,134  

Flynn Restaurant Group LP, Initial
Term Loan

     

9.042%, 06/22/26

     532        507  

5.612%, 06/20/25

     1,026        984  

IRB Holding Corp., Term B Loan,
1st Lien

     

5.550%, 02/05/25

     1,239        1,233  

K-Mac Holdings Corp., Initial Term
Loan

     

8.794%, VAR LIBOR+6.750%,
03/09/26

     296        293  

5.112%, 03/07/25 (E)

     497        487  

Mister Car Wash Holdings, Inc.,
Initial Term Loan, 1st Lien

     

5.658%, 05/14/26

     766        765  

1.750%, 05/08/26

     38        38  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)  

 

    

Value 
(000) 

 

 

Trugreen Limited Partnership, Initial Refinancing Term Loan

     

5.862%, 03/13/26

   $ 1,486      $ 1,489  
     

 

 

 
        9,224  
     

 

 

 

Securities & Trusts – 0.2%

 

Achilles Acquisition LLC, Closing Date Term Loan

     

6.125%, 10/04/25

     998        996  

AI Ladder (Luxembourg) Subco S.a r.l., Facility B, 1st Lien

     

6.830%, 05/02/25

     520        476  

AssuredPartners, Inc., 2017 September Refinancing Term Loan

     

5.612%, VAR LIBOR+3.250%, 10/22/24

         1,232               1,225  

Compass Group Diversified Holdings LLC, Term Loan

     

4.362%, VAR LIBOR+2.500%, 04/04/25

     690        692  

Lions Gate Capital Holdings LLC, Term B Loan, 1st Lien

     

4.362%, VAR LIBOR+2.250%, 03/24/25

     663        660  

RPI Finance Trust, Initial Term Loan B-6

     

4.044%, VAR LIBOR+2.000%, 03/27/23

     700        704  

Starfruit Finco B.V. (Starfruit US Holdco LLC), Initial Dollar Term Loan

     

5.292%, 10/01/25

     325        318  
     

 

 

 
       

 

5,071

 

 

 

     

 

 

 

Shipping & Ship Building – 0.1%

 

AI Mistral Holdco Limited, Initial Term Loan

     

5.112%, VAR LIBOR+3.000%, 01/17/24

     733        560  

Hornblower Sub, LLC (American Queen Sub, LLC), Term Loan

     

6.604%, 03/28/25 (E)

     884        885  

International Seaways Operating Corporation, Term Loan, 1st Lien

     

8.050%, VAR LIBOR+5.500%, 06/22/22

     556        556  

Navios Maritime Partners L.P (Navios Partners Finance (US) Inc.), Initial Term Loan, 1st Lien

     

7.440%, VAR LIBOR+5.000%, 09/04/20

     553        550  
     

 

 

 
       

 

2,551

 

 

 

     

 

 

 

Steel – 0.1%

 

Atkore International, Inc., Term Loan (2016)

     

4.860%, VAR LIBOR+2.750%, 12/22/23

     1,157        1,159  

Description

 

  

Face Amount  
(000)  

 

    

Value 
(000) 

 

 

Zekelman Industries, Inc. (fka JMC Steel Group, Inc.), Term Loan, 1st Lien

     

4.304%, VAR LIBOR+2.250%, 06/14/21

   $ 1,305      $ 1,304  
     

 

 

 
       

 

2,463

 

 

 

     

 

 

 

Technology – 0.1%

 

Kofax, Term Loan, 1st Lien

     

6.450%, 07/07/23

     997        994  
     

 

 

 

Textile & Apparel Manufacturing – 0.0%

 

Champ Acquisition Corporation, Initial Term Loan

     

7.830%, 12/17/25

     416        415  
     

 

 

 

Transportation – 0.1%

 

Agro Merchants North America

Holdings, Inc., Effective Date Loan

     

6.080%, VAR LIBOR+3.750%, 11/15/24

     324        325  

PODS, LLC, Tranche B-4 Term Loan

     

5.053%, 12/06/24

     1,496        1,492  

XPO Logistics, Inc., Refinancing Term Loan (2018)

     

4.112%, VAR LIBOR+2.000%, 02/24/25

         1,046               1,051  
     

 

 

 
       

 

2,868

 

 

 

     

 

 

 

Utilities – 0.0%

 

AI Alpine AT BidCo GmbH, Facility B (USD), 1st Lien

     

4.837%, 10/31/25

     995        970  
     

 

 

 

Total Loan Participations
(Cost $217,744) (000)

       

 

213,568

 

 

 

     

 

 

 

Sovereign Debt — 8.4%

 

1MDB Global Investments

     

4.400%, 03/09/23

     5,400        5,167  

Abu Dhabi Government
International Bond

     

3.125%, 09/30/49 (A)

     3,615        3,502  

2.125%, 09/30/24 (A)

     5,603        5,569  

African Development Bank

     

3.000%, 09/20/23

     100        105  

2.625%, 03/22/21

     125        126  

2.125%, 11/16/22

     50        51  

Angolan Government International Bond

     

9.500%, 11/12/25 (A)

     1,490        1,673  

9.375%, 05/08/48 (A)

     1,450        1,528  

8.250%, 05/09/28 (A)

     1,220        1,263  

Argentine Republic Government International Bond

     

8.280%, 12/31/33

     2,676        1,311  

7.625%, 04/22/46

     690        299  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)(1)   

 

    

Value  
(000)  

 

 

7.500%, 04/22/26

     2,066      $ 899  

7.125%, 07/06/36

     560        238  

7.125%, 06/28/17

     420        182  

6.875%, 01/11/48

     1,090        458  

3.750%, 5.250%, 03/31/29 12/31/38 (G)

     972        382  

Armenia International Bond

     

7.150%, 03/26/25 (A)

     2,215        2,580  

Asian Development Bank

     

3.125%, 09/26/28

     150        167  

2.875%, 11/27/20

     150        152  

2.750%, 03/17/23

     235        244  

2.375%, 08/10/27

     100        105  

2.000%, 01/22/25

     100        102  

1.750%, 06/08/21

     200        200  

1.750%, 09/19/29

     100        100  

1.625%, 03/16/21

     200        199  

Bahrain Government International Bond

     

7.000%, 01/26/26 (A)

     645        724  

6.750%, 09/20/29 (A)

     1,540               1,707  

5.625%, 09/30/31 (A)

     1,020        1,029  

Brazil Notas do Tesouro Nacional
Serie F

     

10.000%, 01/01/27 (BRL)

     7,300        2,058  

Brazilian Government International Bond

     

5.000%, 01/27/45

     1,130        1,170  

4.500%, 05/30/29

     910        947  

Canada Government International Bond

     

2.000%, 11/15/22

     100        101  

Chile Government International Bond

     

3.240%, 02/06/28

     200        212  

3.125%, 01/21/26

     107        113  

Colombia Government International Bond

     

7.375%, 09/18/37

     1,345        1,915  

6.125%, 01/18/41

     975        1,270  

5.000%, 06/15/45

     1,495        1,749  

4.500%, 03/15/29

     1,070        1,190  

4.375%, 07/12/21

     200        207  

4.000%, 02/26/24

     200        211  

3.875%, 04/25/27

     980        1,039  

Costa Rica Government International Bond

     

7.158%, 03/12/45 (A)

     565        565  

7.000%, 04/04/44 (A)

     550        545  

Council of Europe Development Bank

     

2.625%, 02/13/23

     30        31  

Development Bank of Kazakhstan JSC

     

8.950%, 05/04/23 (KZT)

     80,000        193  

Development Bank of Mongolia

     

7.250%, 10/23/23 (A)

     1,160        1,202  

Dominican Republic International Bond

     

9.750%, 06/05/26 (DOP)

     44,900        882  

7.450%, 04/30/44 (A)

     720        853  

Description

 

  

Face Amount  
(000)(1)   

 

    

Value  
(000)  

 

 

6.875%, 01/29/26 (A)

     1,035      $ 1,167  

6.850%, 01/27/45 (A)

     250        278  

6.600%, 01/28/24 (A)

     400        440  

6.500%, 02/15/48 (A)

     1,165        1,252  

6.400%, 06/05/49 (A)

     720        767  

5.950%, 01/25/27 (A)

     1,415               1,530  

5.500%, 01/27/25 (A)

     365        385  

Ecuador Government International
Bond

     

10.750%, 01/31/29 (A)

     270        292  

9.650%, 12/13/26 (A)

     1,345        1,411  

9.500%, 03/27/30 (A)

     740        750  

7.950%, 06/20/24 (A)

     1,770        1,805  

7.950%, 06/20/24

     210        214  

7.875%, 01/23/28 (A)

     1,140        1,080  

Egypt Government Bond

     

14.800%, 01/30/23 (EGP)

     9,600        597  

Egypt Government International Bond

     

8.700%, 03/01/49 (A)

     990        1,064  

8.500%, 01/31/47 (A)

     755        799  

7.903%, 02/21/48 (A)

     1,400        1,407  

7.500%, 01/31/27 (A)

     1,465        1,573  

6.200%, 03/01/24 (A)

     420        438  

5.577%, 02/21/23 (A)

     360        367  

El Salvador Government International Bond

     

7.650%, 06/15/35 (A)

     270        290  

7.125%, 01/20/50 (A)

     640        651  

6.375%, 01/18/27 (A)

     965        1,001  

European Bank for Reconstruction
& Development

     

2.750%, 03/07/23

     100        103  

1.625%, 09/27/24

     200        200  

European Investment Bank

     

3.250%, 01/29/24

     250        267  

3.125%, 12/14/23

     150        159  

2.875%, 12/15/21

     200        205  

2.875%, 08/15/23

     150        157  

2.500%, 03/15/23

     295        304  

2.375%, 05/13/21

     250        252  

2.375%, 05/24/27

     250        262  

2.250%, 03/15/22

     150        152  

2.250%, 06/24/24

     150        154  

2.125%, 10/15/21

     200        202  

2.125%, 04/13/26

     100        103  

2.000%, 12/15/22

     150        152  

1.375%, 09/15/21

     100        99  

Export Development Canada

     

2.500%, 01/24/23

     100        103  

2.000%, 05/17/22

     200        201  

Export-Import Bank of Korea

     

2.875%, 01/21/25

     200        206  

2.500%, 05/10/21

     200        201  

Financiera de Desarrollo

     

4.750%, 07/15/25 (A)

     950        1,043  

Gabon Government International
Bond

     

6.375%, 12/12/24 (A)

     815        801  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)(1)  

 

    

Value 
(000) 

 

 

Georgia Government International Bond

     

6.875%, 04/12/21 (A)

     1,330      $        1,405  

Ghana Government International Bond

     

10.750%, 10/14/30 (A)

     2,170        2,751  

8.950%, 03/26/51 (A)

     1,025        1,026  

8.627%, 06/16/49 (A)

     425        424  

7.875%, 08/07/23 (A)

     359        392  

7.875%, 03/26/27 (A)

     570        584  

7.625%, 05/16/29 (A)

     710        710  

Guatemala Government Bond

     

6.125%, 06/01/50 (A)

     1,300        1,514  

4.900%, 06/01/30 (A)

     470        497  

4.875%, 02/13/28 (A)

     1,150        1,215  

4.500%, 05/03/26 (A)

     1,210        1,246  

4.375%, 06/05/27 (A)

     830        847  

Hashemite Kingdom of Jordan Government AID Bond

     

2.503%, 10/30/20

     200        202  

Honduras Government International Bond

     

6.250%, 01/19/27 (A)

     480        519  

Hungary Government Bond

     

3.000%, 10/27/27 (HUF)

     284,000        1,023  

Indonesia Government International Bond

     

8.500%, 10/12/35 (A)

     970        1,523  

8.500%, 10/12/35

     260        408  

6.750%, 01/15/44 (A)

     360        517  

5.250%, 01/17/42 (A)

     690        830  

4.450%, 02/11/24

     200        214  

4.350%, 01/11/48

     200        221  

3.700%, 01/08/22 (A)

     210        216  

Inter-American Development Bank

     

3.125%, 09/18/28

     150        167  

2.625%, 04/19/21

     265        269  

2.375%, 07/07/27

     100        105  

2.125%, 11/09/20

     250        251  

2.125%, 01/15/25

     125        128  

2.000%, 07/23/26

     150        153  

1.875%, 03/15/21

     150        150  

1.750%, 04/14/22

     150        150  

1.750%, 09/14/22

     100        100  

International Bank for Reconstruction & Development

     

2.750%, 07/23/21

     250        255  

2.500%, 03/19/24

     200        207  

2.500%, 11/25/24

     300        313  

2.500%, 07/29/25

     150        157  

2.500%, 11/22/27

     200        212  

2.250%, 06/24/21

     50        50  

2.125%, 12/13/21

     200        202  

2.125%, 02/13/23

     100        102  

2.000%, 01/26/22

     200        202  

1.875%, 06/19/23

     100        101  

1.625%, 03/09/21

     150        150  

1.500%, 08/28/24

     100        99  

1.375%, 09/20/21

     300        298  

International Finance

     

2.875%, 07/31/23

     95        99  

2.000%, 10/24/22

     50        51  

Description

 

  

Face Amount  
(000)(1)   

 

    

Value 
(000) 

 

 

1.125%, 07/20/21

     100      $ 99  

Israel Government International Bond

     

3.150%, 06/30/23

     200        208  

Ivory Coast Government International Bond

     

6.375%, 03/03/28 (A)

     585        599  

6.125%, 06/15/33 (A)

     1,010        972  

5.750%, 12/31/32 (A) (C)

     616        604  

5.375%, 07/23/24 (A)

     1,095        1,121  

Japan Bank for International Cooperation

     

3.375%, 10/31/23

     200        212  

2.500%, 06/01/22

     200        203  

2.375%, 04/20/26

     200        205  

2.250%, 11/04/26

     200        204  

Jordan Government International Bond

     

7.375%, 10/10/47 (A)

     550        578  

Kenya Government International Bond

     

8.250%, 02/28/48 (A)

     385        393  

8.000%, 05/22/32 (A)

     690        722  

6.875%, 06/24/24 (A)

     1,080        1,139  

Korea Development Bank

     

2.500%, 01/13/21

     200        201  

Korea International Bond

     

2.750%, 01/19/27

     200        207  

Kreditanstalt fuer Wiederaufbau

     

3.125%, 12/15/21

     150        154  

2.375%, 03/24/21

     210        212  

Landwirtschaftliche Rentenbank

     

3.125%, 11/14/23

     150        159  

2.500%, 11/15/27

     150        159  

Lebanon Government International Bond

     

7.000%, 03/23/32

     655        424  

6.850%, 03/23/27

     310        200  

6.750%, 11/29/27

     675        436  

6.650%, 11/03/28

     246        158  

6.650%, 02/26/30

     220        143  

6.600%, 11/27/26

     527        340  

6.200%, 02/26/25

     697        462  

Mexican Udibonos

     

4.000%, 11/03/50 (MXN)

     20,123               1,147  

Mexico Government International Bond

     

5.550%, 01/21/45

     300        362  

4.500%, 04/22/29

     200        217  

4.500%, 01/31/50

     200        211  

4.350%, 01/15/47

     200        206  

4.150%, 03/28/27

     975        1,033  

4.125%, 01/21/26

     200        212  

3.750%, 01/11/28

     200        206  

Mongolia Government International Bond

     

10.875%, 04/06/21 (A)

     2,460        2,681  

8.750%, 03/09/24 (A)

     880        984  

5.625%, 05/01/23 (A)

     745        752  

5.125%, 12/05/22 (A)

     695        693  

5.125%, 12/05/22

     490        489  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)(1)  

 

    

Value 
(000) 

 

 

Nigeria Government International Bond

     

8.747%, 01/21/31 (A)

     520      $ 583  

7.875%, 02/16/32 (A)

     970               1,021  

7.696%, 02/23/38 (A)

     960        976  

7.625%, 11/21/25 (A)

     820        900  

7.143%, 02/23/30 (A)

     965        987  

6.500%, 11/28/27 (A)

     1,250        1,263  

Oesterreichische Kontrollbank

     

3.125%, 11/07/23

     100        106  

2.875%, 03/13/23

     50        52  

1.875%, 01/20/21

     150        150  

Oman Government International Bond

     

6.750%, 01/17/48 (A)

     1,400        1,320  

6.500%, 03/08/47 (A)

     795        734  

5.375%, 03/08/27 (A)

     315        309  

Oman Sovereign Sukuk SAOC

     

4.397%, 06/01/24 (A)

     890        894  

Panama Government International Bond

     

9.375%, 04/01/29

     535        821  

6.700%, 01/26/36

     1,455        2,070  

4.500%, 05/15/47

     200        238  

3.875%, 03/17/28

     200        217  

Peru Government Bond

     

6.150%, 08/12/32 (PEN)

     3,120        1,060  

5.940%, 02/12/29 (PEN)

     1,390        467  

5.400%, 08/12/34 (PEN) (A)

     4,880        1,544  

Perusahaan Penerbit SBSN Indonesia III

     

4.400%, 03/01/28 (A)

     440        480  

4.150%, 03/29/27 (A)

     1,090        1,166  

Peruvian Government International Bond

     

7.350%, 07/21/25

     100        127  

6.950%, 08/12/31 (PEN) (A)

     1,790        647  

5.625%, 11/18/50

     150        220  

Philippine Government International Bond

     

5.500%, 03/30/26

     200        239  

4.200%, 01/21/24

     200        217  

3.700%, 02/02/42

     300        347  

Poland Government International Bond

     

4.000%, 01/22/24

     125        135  

3.000%, 03/17/23

     150        155  

Province of Alberta Canada

     

3.300%, 03/15/28

     200        220  

2.200%, 07/26/22

     100        101  

Province of British Columbia Canada

     

2.000%, 10/23/22

     100        101  

Province of Manitoba Canada

     

2.125%, 06/22/26

     500        506  

2.050%, 11/30/20

     150        150  

Province of New Brunswick Canada

     

3.625%, 02/24/28

     100        112  

Province of Ontario Canada

     

2.500%, 04/27/26

     500        519  

Description

 

  

Face Amount  
(000)(1)   

 

    

Value 
(000) 

 

 

2.450%, 06/29/22

     200      $ 204  

2.300%, 06/15/26

     100        102  

Province of Quebec Canada

     

2.875%, 10/16/24

     100        105  

2.625%, 02/13/23

     200        206  

2.500%, 04/20/26

     300        311  

Provincia de Buenos Aires

     

7.875%, 06/15/27 (A)

     295        106  

6.500%, 02/15/23 (A)

     450        158  

Provincia de Cordoba

     

7.125%, 06/10/21 (A)

     970        601  

Qatar Government International Bond

     

5.103%, 04/23/48 (A)

     1,635               2,089  

4.817%, 03/14/49 (A)

     1,634        2,021  

Republic of Belarus International Bond

     

7.625%, 06/29/27 (A)

     915        1,030  

6.875%, 02/28/23 (A)

     1,210        1,293  

Republic of Italy Government International Bond

     

5.375%, 06/15/33

     300        362  

Republic of Poland Government Bond

     

2.750%, 04/25/28 (PLN)

     8,180        2,166  

Republic of South Africa Government Bond

     

6.500%, 02/28/41 (ZAR)

     21,100        979  

Republic of South Africa Government International Bond

     

5.875%, 06/22/30

     600        640  

5.750%, 09/30/49

     850        846  

4.300%, 10/12/28

     1,870        1,805  

Russian Federal Bond - OFZ

     

8.150%, 02/03/27 (RUB)

     130,500        2,166  

7.700%, 03/23/33 (RUB)

     46,000        744  

Russian Foreign Bond - Eurobond

     

5.250%, 06/23/47 (A)

     1,200        1,425  

5.100%, 03/28/35 (A)

     1,000        1,130  

4.750%, 05/27/26

     1,000        1,092  

4.750%, 05/27/26 (A)

     200        218  

Senegal Government International Bond

     

8.750%, 05/13/21 (A)

     376        407  

6.250%, 05/23/33 (A)

     735        740  

4.750%, 03/13/28 (EUR) (A)

     640        724  

Sri Lanka Government International Bond

     

7.850%, 03/14/29 (A)

     1,030        1,035  

7.550%, 03/28/30 (A)

     1,660        1,637  

6.850%, 11/03/25 (A)

     620        621  

6.750%, 04/18/28 (A)

     360        343  

6.200%, 05/11/27 (A)

     2,620        2,443  

5.875%, 07/25/22 (A)

     1,030        1,033  

5.750%, 04/18/23 (A)

     1,010        1,003  

Turkey Government International Bond

     

7.375%, 02/05/25

     716        761  

7.250%, 12/23/23

     960        1,015  

6.125%, 10/24/28

     1,035        1,010  

6.000%, 03/25/27

     1,445        1,419  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount  
(000)(1)   

 

    

Value  
(000)  

 

 

5.625%, 03/30/21

     1,210      $ 1,240  

4.250%, 04/14/26

     1,250        1,126  

Ukraine Government AID Bonds

     

1.471%, 09/29/21

     200        199  

Ukraine Government International Bond

     

8.994%, 02/01/24 (A)

     815        894  

7.750%, 09/01/21 (A)

     214        223  

7.750%, 09/01/22 (A)

     2,089        2,193  

7.750%, 09/01/23 (A)

     744        782  

7.750%, 09/01/24 (A)

     449        474  

7.750%, 09/01/25 (A)

     1,024        1,074  

7.750%, 09/01/27 (A)

     215        223  

6.750%, 06/20/26 (EUR) (A)

     670        786  

2.723%, 05/31/40 (A) (B)

     314        293  

Uruguay Government International Bond

     

9.875%, 06/20/22 (UYU) (A)

     34,150        912  

8.500%, 03/15/28 (UYU) (A)

     5,740        134  

5.100%, 06/18/50

     2,541        3,023  

4.975%, 04/20/55

     2,940        3,433  

4.500%, 08/14/24

     100        108  

4.375%, 01/23/31

     180        199  

Venezuela Government International Bond

     

7.750%, 10/13/19 (C)

     705        76  

7.650%, 04/21/25 (C)

     362        39  

7.000%, 03/31/38 (C)

     422        45  

Zambia Government International Bond

     

8.970%, 07/30/27 (A)

     505        359  

5.375%, 09/20/22 (A)

     680        474  
     

 

 

 

Total Sovereign Debt
(Cost $187,444) (000)

       

 

   188,814

 

 

 

     

 

 

 

Asset-Backed Securities — 6.1%

     

Automotive – 3.5%

 

American Credit Acceptance Receivables Trust, Ser 2018-3,
Cl A

     

2.920%, 08/12/21 (A)

     365        365  

American Credit Acceptance Receivables Trust, Ser 2018-3,
Cl B

     

3.490%, 06/13/22 (A)

     413        414  

American Credit Acceptance Receivables Trust, Ser 2019-2,
Cl A

     

2.850%, 07/12/22 (A)

     3,127        3,134  

Americredit Automobile Receivables Trust, Ser 2018-1,
Cl

     

A2A 2.710%, 07/19/21

     341        341  

Americredit Automobile Receivables Trust, Ser 2018-2,
Cl B

     

3.450%, 06/18/24

     2,063        2,107  

Description

 

  

Face Amount  
(000)   

 

    

Value  
(000)  

 

 

AmeriCredit Automobile Receivables Trust, Ser 2017-4,Cl B

     

2.360%, 12/19/22

   $ 1,319      $        1,322  

AmeriCredit Automobile Receivables Trust, Ser 2019-3,Cl A2A

     

2.170%, 01/18/23

     622        622  

BMW Floorplan Master Owner Trust, Ser 2018-1, Cl A2

     

2.348%, VAR ICE LIBOR USD 1 Month+0.320%, 05/15/23 (A)

     1,721        1,721  

Capital One Prime Auto Receivables Trust, Ser 2019-2, Cl A3

     

1.920%, 05/15/24

     1,252        1,253  

CarMax Auto Owner Trust, Ser 2019-1, Cl A4

     

3.260%, 08/15/24

     2,914        3,027  

CarMax Auto Owner Trust, Ser 2016-4, Cl A4

     

1.600%, 06/15/22

     250        249  

CarMax Auto Owner Trust, Ser 2018-2, Cl A4

     

3.160%, 07/17/23

     731        750  

CPS Auto Receivables Trust, Ser 2018-A, Cl A

     

2.160%, 05/17/21 (A)

     32        32  

CPS Auto Receivables Trust, Ser 2018-D, Cl A

     

3.060%, 01/18/22 (A)

     1,395        1,399  

CPS Auto Receivables Trust, Ser 2019-A, Cl A

     

3.180%, 06/15/22 (A)

     1,801        1,808  

CPS Auto Receivables Trust, Ser 2019-B, Cl A

     

2.890%, 05/16/22 (A)

     1,771        1,776  

CPS Auto Receivables Trust, Ser 2019-C, Cl A

     

2.550%, 09/15/22 (A)

     2,445        2,447  

Credit Acceptance Auto Loan Trust, Ser 2018-1A, Cl A

     

3.010%, 02/16/27 (A)

     1,099        1,106  

Credit Acceptance Auto Loan Trust, Ser 2018-3A, Cl A

     

3.550%, 08/15/27 (A)

     835        851  

Credit Acceptance Auto Loan Trust, Ser 2019-1A, Cl A

     

3.330%, 02/15/28 (A)

     2,183        2,230  

Drive Auto Receivables Trust, Ser 2018-4, Cl B

     

3.360%, 10/17/22

     1,818        1,824  

Drive Auto Receivables Trust, Ser 2018-4, Cl D

     

4.090%, 01/15/26

     100        103  

Drive Auto Receivables Trust, Ser 2019-1, Cl A2A

     

3.080%, 09/15/21

     894        895  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

Drive Auto Receivables Trust, Ser 2019-2, Cl B

     

3.170%, 11/15/23

   $ 1,599      $ 1,620  

Drive Auto Receivables Trust, Ser 2019-4, Cl B

     

2.230%, 01/16/24

     2,180               2,177  

DT Auto Owner Trust, Ser 2018-2A, Cl B

     

3.430%, 05/16/22 (A)

     1,913        1,919  

DT Auto Owner Trust, Ser 2018-3A, Cl A

     

3.020%, 02/15/22 (A)

     1,679        1,683  

DT Auto Owner Trust, Ser 2019-1A, Cl A

     

3.080%, 09/15/22 (A)

     2,070        2,078  

DT Auto Owner Trust, Ser 2019-2A, Cl A

     

2.850%, 09/15/22 (A)

     2,153        2,160  

DT Auto Owner Trust, Ser 2019-3A, Cl A

     

2.550%, 08/15/22 (A)

     1,164        1,166  

Exeter Automobile Receivables Trust, Ser 2018-3A, Cl A

     

2.900%, 01/18/22 (A)

     319        319  

Exeter Automobile Receivables Trust, Ser 2019-2A, Cl A

     

2.930%, 07/15/22 (A)

     2,574        2,584  

First Investors Auto Owner Trust, Ser 2018-1A, Cl A1

     

2.840%, 05/16/22 (A)

     246        246  

Flagship Credit Auto Trust, Ser 2019-1, Cl A

     

3.110%, 08/15/23 (A)

     2,359        2,380  

Flagship Credit Auto Trust, Ser 2019-2, Cl A

     

2.830%, 10/16/23 (A)

     4,537        4,569  

Ford Credit Auto Lease Trust, Ser 2019-B, Cl A3

     

2.220%, 10/15/22

     200        201  

Ford Credit Auto Owner Trust, Ser 2017-C, Cl A3

     

2.010%, 03/15/22

     1,027        1,027  

Ford Credit Auto Owner Trust, Ser 2019-A, Cl A4

     

2.850%, 08/15/24

     1,859        1,902  

Ford Credit Auto Owner Trust, Ser 2019-B, Cl A3

     

2.230%, 10/15/23

     100        101  

GM Financial Automobile Leasing Trust, Ser 2019-2, Cl A3

     

2.670%, 03/21/22

     25        25  

GM Financial Consumer Automobile, Ser 2017-1A, Cl A3

     

1.780%, 10/18/21 (A)

     1,123        1,121  

GM Financial Consumer Automobile Receivables Trust, Ser 2018-1, Cl A3

     

2.320%, 07/18/22

     1,130        1,133  

Description

 

  

Face Amount 
(000) 

 

    

Value  (000) 

 

 

GM Financial Consumer Automobile Receivables Trust, Ser 2019-1, Cl A3

     

2.970%, 11/16/23

   $ 57      $ 57  

GM Financial Consumer Automobile Receivables Trust, Ser 2019-3, Cl A3

     

2.180%, 04/16/24

     100        101  

Honda Auto Receivables Owner Trust, Ser 2017-4, Cl A3

     

2.050%, 11/22/21

     861        861  

Hyundai Auto Receivables Trust, Ser 2019-A, Cl A3

     

2.660%, 06/15/23

     1,911        1,934  

Mercedes-Benz Auto Receivables Trust, Ser 2019-1, Cl A3

     

1.940%, 03/15/24

     100        100  

Nissan Auto Receivables Owner Trust, Ser 2018-B, Cl A3

     

3.060%, 03/15/23

     30        30  

Nissan Auto Receivables Owner Trust, Ser 2019-A, Cl A2A

     

2.820%, 01/18/22

     2,673        2,684  

Nissan Auto Receivables Owner Trust, Ser 2019-A, Cl A3

     

2.900%, 10/16/23

     67        68  

Santander Drive Auto Receivables Trust, Ser 2018-1, Cl D

     

3.320%, 03/15/24

     85        86  

Santander Drive Auto Receivables Trust, Ser 2018-4, Cl C

     

3.560%, 07/15/24

     50        51  

Santander Drive Auto Receivables Trust, Ser 2019-1, Cl B

     

3.210%, 09/15/23

     1,548        1,566  

Toyota Auto Receivables Owner Trust, Ser 2019-C, Cl A3

     

1.910%, 09/15/23

     100        100  

USAA Auto Owner Trust, Ser 2019-1, Cl A4

     

2.140%, 11/15/24

     1,451        1,462  

Westlake Automobile Receivables Trust, Ser 2019-1A, Cl A2A

     

3.060%, 05/16/22 (A)

     3,417        3,431  

World Omni Auto Receivables Trust, Ser 2018-D, Cl A3

     

3.330%, 04/15/24

     5,000        5,122  

World Omni Auto Receivables Trust, Ser 2019-B, Cl A3

     

2.590%, 07/15/24

     2,883        2,924  
     

 

 

 
       

 

 

       78,764

 

 

 

 

 

     

 

 

 

Credit Card – 1.6%

 

American Express Credit Account Master Trust, Ser 2017-1, Cl A

     

1.930%, 09/15/22

     9,514        9,507  

American Express Credit Account Master Trust, Ser 2017-6, Cl A

     

2.040%, 05/15/23

     4,274        4,279  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

American Express Credit Account Master Trust, Ser 2019-1, Cl A

     

2.870%, 10/15/24

   $ 450      $ 461  

American Express Credit Account Master Trust, Ser 2019-3, Cl A

     

2.000%, 04/15/25

     4,184        4,202  

American Express Credit Account Master Trust, Ser 2019-4, Cl A

     

2.265%, VAR ICE LIBOR USD 1 Month+0.240%, 04/15/24

     3,246        3,248  

BA Credit Card Trust, Ser 2017-A1, Cl A1

     

1.950%, 08/15/22

     2,103        2,102  

BA Credit Card Trust, Ser 2019-A1, Cl A1

     

1.740%, 01/15/25

     100        100  

Capital One Multi-Asset Execution Trust, Ser 2017-A1, Cl A1

     

2.000%, 01/17/23

     2,123        2,122  

Capital One Multi-Asset Execution Trust, Ser 2017-A4, Cl A4

     

1.990%, 07/17/23

     1,177        1,177  

Capital One Multi-Asset Execution Trust, Ser 2019-A2, Cl A2

     

1.720%, 08/15/24

     4,913        4,893  

Citibank Credit Card Issuance Trust, Ser 2014-A1, Cl A1

     

2.880%, 01/23/23

     200        202  

Discover Card Execution Note Trust, Ser 2018-A5, Cl A5

     

3.320%, 03/15/24

     65        67  

Discover Card Execution Note Trust, Ser 2019-A1, Cl A1

     

3.040%, 07/15/24

     80        82  

Discover Card Execution Note Trust, Ser 2019-A2, Cl A

     

2.298%, VAR ICE LIBOR USD 1 Month+0.270%, 12/15/23

     1,582        1,584  

Synchrony Credit Card Master Note Trust, Ser 2018-2, Cl A

     

3.470%, 05/15/26

     200        209  
     

 

 

 
       

 

 

      34,235

 

 

 

 

 

     

 

 

 

Other Asset-Backed Securities – 1.0%

 

AJAX Mortgage Loan Trust, Ser 2017-A, Cl A

     

3.470%, 04/25/57 (A)

     197        197  

Bayview Opportunity Master Fund IVa Trust, Ser 2019-RN2, Cl A1

     

3.967%, 03/28/34 (A)

     229        230  

Bayview Opportunity Master Fund Trust, Ser 2018-RN8, Cl A1

     

4.066%, 09/28/33 (A)

     211        212  

Bayview Opportunity Master Fund Trust IVb, Ser 2019-RN1, Cl A1

     

4.090%, 02/28/34 (A)

     312        314  

CLUB Credit Trust, Ser 2018-P3, Cl A

     

3.820%, 01/15/26 (A)

     1,444        1,457  

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

Consumer Loan Underlying Bond CLUB Credit Trust, Ser 2019-P2, Cl A

     

2.470%, 10/15/26 (A)

   $ 2,007      $ 2,005  

Consumer Loan Underlying Bond Credit Trust, Ser 2019-P1, Cl A

     

2.940%, 07/15/26 (A)

     1,296        1,300  

Ford Credit Floorplan Master Owner Trust, Ser 2017-3, Cl A

     

2.480%, 09/15/24

     150        152  

GCAT, Ser 2018-1, Cl A1

     

3.844%, 06/25/48 (A)

     275        275  

Oak Hill Advisors Residential Loan Trust, Ser 2017-NPL1, Cl A1

     

3.000%, 06/25/57 (A)

     56        56  

Oak Hill Advisors Residential Loan Trust, Ser 2017-NPL2, Cl A1

     

3.000%, 07/25/57 (A)

     112        112  

PRPM, Ser 2017-2A, Cl A1

     

3.470%, 09/25/22 (A)

     479        480  

RCO V Mortgage, Ser 2018-1, Cl A1

     

4.000%, 05/25/23 (A)

     2,473        2,479  

SoFi Consumer Loan Program Trust, Ser 2019-3, Cl A

     

2.900%, 05/25/28 (A)

     2,318        2,335  

Vericrest Opportunity Loan Trust, Ser 2019-NPL3, Cl A1

     

3.967%, 03/25/49 (A)

     1,888        1,898  

Vericrest Opportunity Loan Trust, Ser 2019-NPL5, Cl A1A

     

3.352%, 09/25/49 (A)

     2,177        2,184  

Verizon Owner Trust, Ser 2019-A, Cl A1A

     

2.930%, 09/20/23

     1,845        1,878  

VOLT LXX, Ser 2018-NPL6, Cl A1A

     

4.115%, 09/25/48 (A)

     1,891        1,897  

VOLT LXXI, Ser 2018-NPL7, Cl A1A

     

3.967%, 09/25/48 (A)

     1,309        1,315  

VOLT LXXII, Ser 2018-NPL8, Cl A1A

     

4.213%, 10/26/48 (A)

     1,527        1,532  

VOLT LXXV, Ser 2019-NPL1, Cl A1A

     

4.336%, 01/25/49 (A)

     228        229  
     

 

 

 
       

 

 

22,537

 

 

 

 

 

     

 

 

 

Total Asset-Backed Securities
(Cost $134,663) (000)

       

 

 

    135,536

 

 

 

 

 

     

 

 

 

U.S. Government Agency Obligations — 0.6%

 

FFCB

     

2.870%, 07/30/29

     150        150  

2.590%, 08/27/29

     100        98  

2.400%, 06/19/23

     250        251  

1.680%, 10/13/20

     100        100  
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

FHLB

     

3.250%, 06/09/28 - 11/16/28

   $ 405      $ 450  

3.000%, 10/12/21

     400        411  

2.875%, 06/14/24

     500        528  

2.500%, 02/13/24

     220        228  

2.300%, 07/19/22

     200        200  

2.260%, 10/04/22

     150        150  

2.200%, 01/29/21

     155        155  

2.160%, 08/17/22

     100        100  

2.150%, 09/26/22

     200        199  

1.875%, 11/29/21

     150        151  

FHLMC

     

6.250%, 07/15/32

     1,279        1,888  

2.890%, 04/16/24

     100        100  

2.820%, 05/20/24

     250        250  

2.375%, 01/13/22

     250        254  

2.125%, 09/12/24

     250        250  

1.330%, 12/30/20

     400        398  

FNMA

     

6.625%, 11/15/30

     300        439  

2.875%, 09/12/23

     500        524  

2.625%, 09/06/24

     1,399        1,466  

2.250%, 04/12/22

     2,536        2,577  

2.125%, 04/24/26

     200        206  

1.875%, 12/28/20

     131        131  

1.750%, 07/02/24

     200        201  

1.500%, 11/30/20

     227        226  

1.375%, 09/06/22

     350        347  

Tennessee Valley Authority

     

5.250%, 09/15/39

     200        283  

2.875%, 02/01/27

     250       

 

266

 

 

 

     

 

 

 

Total U.S. Government Agency Obligations
(Cost $12,421) (000)

       

 

      12,977

 

 

 

     

 

 

 

Municipal Bonds — 0.3%

     

Bay Area, Toll Authority RB

     

6.263%, 04/01/49

     200        312  

California State GO

     

4.600%, 04/01/38

     315        351  

4.500%, 04/01/33

     25        29  

3.500%, 04/01/28

     25        27  

3.375%, 04/01/25

     20        21  

2.800%, 04/01/21

     15        15  

California State, Department of Water Resources, Power Supply Revenue RB

     

2.000%, 05/01/22

     100        101  

Chicago, O’Hare International Airport RB

     

4.572%, 01/01/54

     150        192  

4.472%, 01/01/49

     50        63  

Dallas/Fort Worth International Airport RB

     

2.994%, 11/01/38

     100        101  

Houston GO

     

3.961%, 03/01/47

     150        174  

Illinois State GO

     

5.100%, 06/01/33

     2,045        2,215  

Description

 

  

Face Amount 
(000) 

 

    

Value 
(000) 

 

 

Illinois State, Sales Tax Securitization RB

     

3.820%, 01/01/48

   $ 100      $ 108  

New Jersey State, Transportation Trust Fund Authority RB

     

5.754%, 12/15/28

     1,365        1,593  

New York State, Dormitory Authority RB

     

4.946%, 08/01/48

     100        111  

Pennsylvania State, Commonwealth Financing Authority RB

     

3.864%, 06/01/38

     150        167  

Port Authority of New York & New Jersey RB

     

4.031%, 09/01/48

     150        176  

3.287%, 08/01/69

     50        50  

South Carolina State, Public Service Authority RB

     

2.388%, 12/01/23

     100        101  

Texas State, Permanent University Fund - Texas A&M University System RB

     

3.660%, 07/01/47

     100        106  

University of California RB

     

4.858%, 05/15/12

     200        263  

3.349%, 07/01/29

     100        109  

University of Texas, Taxable Financing System RB

     

3.354%, 08/15/47

     250        272  

University of Virginia RB

     

3.227%, 09/01/19

     622        612  

Wisconsin State RB

     

3.154%, 05/01/27

     200       

 

213

 

 

 

     

 

 

 

Total Municipal Bonds
(Cost $6,881) (000)

 

    

 

     7,482

 

 

 

     

 

 

 
     Number of
Warrants
        

Warrants — 0.0%

 

  

Horizon Global

     2,585       

 

6

 

 

 

     

 

 

 

Total Warrants
(Cost $–) (000)

       

 

6

 

 

 

     

 

 

 
     Shares         

Preferred Stock — 0.0%

 

  

PES Energy (H)

     26,609       

 

3

 

 

 

     

 

 

 

Total Preferred Stock
(Cost $240) (000)

 

    

 

3

 

 

 

     

 

 

 
 


  KP Fixed Income Fund

  Schedule of Investments

  September 30, 2019 (unaudited)

 

Description

 

  

Shares  

 

    

Value  
(000)  

 

 

Short-Term Investment — 2.5%

     

State Street Institutional Treasury Money Market Fund, Cl Premier, 1.650% (I)

     55,229,003      $ 55,229    
     

 

 

 

Total Short-Term Investment
(Cost $55,229) (000)

 

    

 

55,229  

 

 

 

     

 

 

 

Total Investments In Securities — 104.5%
(Cost $2,277,078) (000)

 

   $

 

  2,337,591  

 

 

 

     

 

 

 

Percentages are based on net assets of $2,237,926 (000).

A list of the open forward foreign currency contracts held by the Fund at September 30, 2019 is as follows (000):

 

Counterparty

 

 

Maturity
Date

 

   

Currency to
Deliver

 

   

Currency to
Receive

 

   

Unrealized
Appreciation
(Depreciation)

 

 

HSBC

    10/01/19       IDR       54,892,000       USD       3,833     $ (34)  

HSBC

    10/17/19       EUR       2,447       USD       2,755       84   

BNP Paribas

    10/22/19       USD       694       ZAR       10,620        

BNP Paribas

    10/22/19       ZAR       10,620       USD       728       29   

HSBC

    10/24/19       USD       723       PEN       2,387       (15)  

Barclays PLC

    10/29/19       MYR       9,537       USD       2,280        

HSBC

    10/29/19       USD       2,319       MYR       9,537       (43)  

HSBC

    10/31/19       THB       71,560       USD       2,314       (27)  

Barclays PLC

    10/31/19       USD       2,351       THB       71,560       (10)  

HSBC

    11/13/19       CLP       1,650,800       USD       2,296       30   

HSBC

    11/20/19       USD       2,226       BRL       8,845       (105)  

Barclays PLC

    11/22/19       USD       1,111       RUB       73,940       21   

Barclays PLC

    11/22/19       RUB       191,860       USD       2,859       (78)  

Barclays PLC

    11/26/19       IDR       54,533,000       USD       3,814       (5)  

Barclays PLC

    12/16/19       HUF       318,700       USD       1,057       15   

HSBC

    12/18/19       MXN       2,760       USD       140        

HSBC

    12/20/19       USD       1,133       COP       3,844,000       (32)  

Barclays PLC

    12/23/19       PLN       8,917       USD       2,248       21   

Barclays PLC

    12/30/19       KRW       4,132,000       USD       3,467       12   
           

 

 

 
                $ (125)  
           

 

 

 

 

(1)

In U.S. dollars unless otherwise indicated.

(A)

Security sold within terms of a private placement memorandum, exempt from registration under Section 144A of the Securities Act of 1933, as amended, and may be sold only to dealers in that program or other “accredited investors.” The total value of these securities at September 30, 2019 was $282,504 (000) and represents 12.6% of Net Assets.

(B)

Zero coupon security. The rate reported on the Schedule of Investments is the effective yield at time of purchase.

(C)

Security in default on interest payments.

(D)

Credit-linked note.

(E)

Variable or floating rate security, the interest rate of which adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets.

(F)

Unsettled bank loan. Interest rate not available.

(G)

Step Bonds – Represents the current rate, the step rate, the step date and the final maturity date.

(H)

There is currently no rate available.

(I)

The rate reported is the 7-day effective yield as of September 30, 2019.

AID — Agency for International Development

ARS — Argentine Peso

BRL — Brazilian Real

CJSC — Closed Joint Stock Company

Cl — Class

CLP — Chilean Peso

COP — Colombian Peso

DAC — Designated Activity Company

DOP — Dominican Peso

EGP — Egyptian Pound

EUR — Euro

FFCB — Federal Farm Credit Bank

FHLB — Federal Home Loan Bank

FHLMC — Federal Home Loan Mortgage Corporation

FNMA — Federal National Mortgage Association

GEL — Georgian Lari

GNMA — Government National Mortgage Association

GO — General Obligation

HUF — Hungarian Forint

ICE — Intercontinental Exchange

IDR — Indonesian Rupiah

JSC — Joint Stock Company

KRW — Korean Won

KZT — Kazakhstan Tenge

LIBOR — London Interbank Offered Rate

LKR — Sri Lanka Rupee

LLC — Limited Liability Company

LP — Limited Partnership

Ltd. — Limited

MXN — Mexican Peso

MYR — Malaysian Ringgit

NGN — Nigerian Naira

PEN — Peruvian Sol

PJSC — Public Joint Stock Company

PLC — Public Limited Company

PLN —Polish Zloty

RB — Revenue Bond

RUB — Russian Ruble

Ser — Series

TBA — To Be Announced

THB — Thai Baht

UAH — Ukrainian Hryvnia

USD — U.S. Dollar

UYU — Uruguayan Peso

VAR — Variable Rate

ZAR — South African Rand

 


KP Fixed Income Fund

Schedule of Investments

September 30, 2019 (unaudited)

 

The following is a list of the level of inputs used as of September 30, 2019, in valuing the Fund’s investments and other financial instruments carried at value (000):

 

  Investments in
    Securities

  Level 1     Level 2     Level 3     Total  

U.S. Treasury Obligations

  $     $ 611,135     $     $ 611,135  

Corporate Obligations

          561,756             561,756  

Mortgage-Backed Securities

          551,085             551,085  

Loan Participations

          213,568             213,568  

Sovereign Debt

          188,814             188,814  

Asset-Backed Securities

          135,536             135,536  

U.S. Government Agency Obligations

          12,977             12,977  

Municipal Bonds

          7,482             7,482  

Warrants

          6             6  

Preferred Stock

          3             3  

Short-Term Investment

    55,229                   55,229  
 

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments in Securities

  $     55,229     $ 2,282,362     $          —     $   2,337,591  
 

 

 

   

 

 

   

 

 

   

 

 

 

 

Other Financial
  Instruments
   Level 1     Level 2     Level 3     Total  

Forwards Contracts **

        

Unrealized Appreciation

   $     $         224     $     $       224   

Unrealized Depreciation

           (349           (349)  
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments

   $          —     $ (125   $          —     $ (125)  
  

 

 

   

 

 

   

 

 

   

 

 

 

 

**

Forward foreign currency contracts are valued at the unrealized appreciation/(depreciation) on the instrument.

As of September 30, 2019, there were no transfers between Level 1 and Level 2 assets and liabilities. For the period ended September 30, 2019, there were no transfers between Level 2 and Level 3 assets and liabilities or Level 1 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period.

For the period ended September 30, 2019, there have been no changes to the Fund’s fair value methodologies.

For more information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual and annual financial statements.

Amounts designated as “—“ are $0 or have been rounded to $0.