NPORT-EX 2 NPORT_GUYC_9692372643.htm
2021
QUARTERLY
REPORT
Russell
Investment
Company
July
31,
2021
FUND
SHARE
CLASS
U.S.
Equity
Funds
Equity
Income
Fund
A,
C,
S,
Y
Sustainable
Equity
Fund
A,
C,
S,
Y
U.S.
Strategic
Equity
Fund
A,
C,
M,
S
U.S.
Small
Cap
Equity
Fund
A,
C,
M,
R6,
S,
Y
International
and
Global
Equity
Funds
International
Developed
Markets
Fund
A,
C,
M,
S,
Y
Global
Equity
Fund
A,
C,
M,
S,
Y
Emerging
Markets
Fund
A,
C,
M,
R6,
S,
Y
Tax-Managed
Equity
Funds
Tax-Managed
U.S.
Large
Cap
Fund
A,
C,
M,
S
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
A,
C,
M,
S
Tax-Managed
International
Equity
Fund
A,
C,
M,
S
Tax-Managed
Real
Assets
Fund
A,
C,
M,
S
Fixed
Income
Funds
Opportunistic
Credit
Fund
A,
C,
M,
S,
Y
Unconstrained
Total
Return
Fund
A,
C,
M,
S,
Y
Strategic
Bond
Fund
A,
C,
M,
R6,
S,
Y
Investment
Grade
Bond
Fund
A,
C,
M,
R6,
S,
Y
Short
Duration
Bond
Fund
A,
C,
M,
R6,
S,
Y
Tax-Exempt
Fixed
Income
Funds
Tax-Exempt
High
Yield
Bond
Fund
A,
C,
M,
S
Tax-Exempt
Bond
Fund
A,
C,
M,
S
Alternative
Funds
Global
Infrastructure
Fund
A,
C,
M,
S,
Y
Global
Real
Estate
Securities
Fund
A,
C,
M,
R6,
S,
Y
Specialty
Funds
Multi-Strategy
Income
Fund
A,
C,
M,
S,
Y
Multi-Asset
Growth
Strategy
Fund
A,
C,
M,
S,
Y
Multifactor
Equity
Funds
Multifactor
U.S.
Equity
Fund
A,
C,
M,
R6,
S,
Y
Multifactor
International
Equity
Fund
M,
R6,
S,
Y
Multifactor
Fixed
Income
Funds
Multifactor
Bond
Fund
Y
Russell
Investment
Company
Russell
Investment
Company
is
a
series
investment
company
with
31
different
investment
portfolios
referred
to
as
Funds.
This
Quarterly
Report
reports
on
25
of
these
Funds.
Page
Equity
Income
Fund
3
Sustainable
Equity
Fund
7
U.S.
Strategic
Equity
Fund
13
U.S.
Small
Cap
Equity
Fund
18
International
Developed
Markets
Fund
31
Global
Equity
Fund
41
Emerging
Markets
Fund
51
Tax-Managed
U.S.
Large
Cap
Fund
62
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
66
Tax-Managed
International
Equity
Fund
77
Tax-Managed
Real
Assets
Fund
92
Opportunistic
Credit
Fund
100
Unconstrained
Total
Return
Fund
141
Strategic
Bond
Fund
154
Investment
Grade
Bond
Fund
195
Short
Duration
Bond
Fund
215
Tax-Exempt
High
Yield
Bond
Fund
234
Tax-Exempt
Bond
Fund
280
Global
Infrastructure
Fund
334
Global
Real
Estate
Securities
Fund
340
Multi-Strategy
Income
Fund
345
Multi-Asset
Growth
Strategy
Fund
384
Multifactor
U.S.
Equity
Fund
422
Multifactor
International
Equity
Fund
430
Multifactor
Bond
Fund
443
Notes
to
Schedules
of
Investments
452
Notes
to
Quarterly
Report
454
Russell
Investment
Company
Quarterly
Report
July
31,
2021
(Unaudited)
Table
of
Contents
Russell
Investment
Company
Copyright
©
Russell
Investments
2021.
All
rights
reserved.
Russell
Investments’
ownership
is
composed
of
a
majority
stake
held
by
funds
managed
by
TA
Associates,
with
a
significant
minority
stake
held
by
funds
managed
by
Reverence
Capital
Partners.
Russell
Investments’
employees
and
Hamilton
Lane
Advisors,
LLC
also
hold
minority,
non-controlling,
ownership
stakes.
Fund
objectives,
risks,
charges
and
expenses
should
be
carefully
considered
before
in-
vesting.
A
prospectus
containing
this
and
other
important
information
must
precede
or
accompany
this
material.
Please
read
the
prospectus
carefully
before
investing.
Securities
distributed
through
Russell
Investments
Financial
Services,
LLC,
member
FINRA,
part
of
Russell
Investments.
Russell
Investment
Company
Equity
Income
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Equity
Income
Fund
3
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Common
Stocks
-
95.2%
Consumer
Discretionary
-
10.2%
Advance
Auto
Parts,
Inc.
3,330
706
Amazon.com,
Inc.(Æ)
745
2,480
Carnival
Corp.(Æ)
5,134
111
Comcast
Corp.
Class
A
47,191
2,777
Costco
Wholesale
Corp.
1,617
695
Dollar
Tree,
Inc.(Æ)
2,808
280
DR
Horton,
Inc.
5,578
532
General
Motors
Co.(Æ)
36,931
2,099
Home
Depot,
Inc.
(The)
4,247
1,394
Kohl's
Corp.
4,646
236
Lennar
Corp.
Class
A
10,844
1,140
Lowe's
Cos.,
Inc.
9,642
1,858
Macy's,
Inc.
6,063
103
Marriott
International,
Inc.
Class
A(Æ)
2,152
314
McDonald's
Corp.
3,472
843
Nike,
Inc.
Class
B
6,693
1,121
Nordstrom,
Inc.(Æ)
3,698
122
Omnicom
Group,
Inc.
14,876
1,083
PulteGroup,
Inc.
29,086
1,596
Starbucks
Corp.
6,664
809
Target
Corp.
4,933
1,288
Thomson
Reuters
Corp.
3,186
338
Thor
Industries,
Inc.
9,960
1,179
TJX
Cos.,
Inc.
(The)
6,744
464
Toll
Brothers,
Inc.
4,732
280
ViacomCBS
,
Inc.
Class
B
1,911
78
Walmart,
Inc.
5,484
782
Walt
Disney
Co.
(The)(Æ)
6,124
1,078
Yum
China
Holdings,
Inc.
2,007
125
Yum!
Brands,
Inc.
2,063
271
26,182
Consumer
Staples
-
8.0%
Altria
Group,
Inc.
24,156
1,160
Archer-Daniels-Midland
Co.
4,285
256
Coca-Cola
Co.
(The)
11,235
641
Coca-Cola
European
Partners
PLC
29,383
1,824
CVS
Health
Corp.
49,636
4,088
General
Mills,
Inc.
5,034
296
Ingredion,
Inc.
12,686
1,114
Kellogg
Co.
2,667
169
Kimberly-Clark
Corp.
1,010
137
Kraft
Heinz
Co.
(The)
3,187
123
Kroger
Co.
(The)
36,003
1,465
Molson
Coors
Beverage
Co.
Class
B
20,400
997
Mondelez
International,
Inc.
Class
A
8,970
567
PepsiCo,
Inc.
4,224
663
Philip
Morris
International,
Inc.
20,338
2,036
Procter
&
Gamble
Co.
(The)
21,183
3,013
Sysco
Corp.
3,612
268
Tyson
Foods,
Inc.
Class
A
19,187
1,371
Walgreens
Boots
Alliance,
Inc.
4,519
213
20,401
Energy
-
3.7%
BP
PLC
-
ADR
38,513
931
Canadian
Natural
Resources,
Ltd.
27,843
919
Chevron
Corp.
15,337
1,562
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
ConocoPhillips
Co.
10,950
614
Exxon
Mobil
Corp.
14,854
855
Hess
Corp.
16,817
1,285
Magna
International,
Inc.
Class
A
7,842
657
Occidental
Petroleum
Corp.
2,860
75
Phillips
66
24,481
1,799
Schlumberger,
Ltd.
2,996
86
Valero
Energy
Corp.
10,041
672
9,455
Financial
Services
-
22.2%
AerCap
Holdings,
Ltd.
/
AerCap
Global
Aviation
Trust(Æ)
16,838
892
Aflac,
Inc.
6,838
376
AGNC
Investment
Corp.(Æ)
21,319
338
Allstate
Corp.
(The)
3,970
516
American
Express
Co.
7,566
1,290
American
Tower
Corp.(ö)
1,962
555
Ameriprise
Financial,
Inc.
1,131
291
Aon
PLC
Class
A
4,962
1,290
Assurant,
Inc.
6,589
1,040
Banco
Santander
SA
-
ADR(Æ)
187,518
688
Bank
of
America
Corp.
42,966
1,648
Berkshire
Hathaway,
Inc.
Class
B(Æ)
12,114
3,372
Brookfield
Asset
Management,
Inc.
Class
A
648
35
Chubb,
Ltd.
12,739
2,150
Citigroup,
Inc.
57,606
3,896
Citizens
Financial
Group,
Inc.
27,608
1,164
CME
Group,
Inc.
Class
A
1,727
366
Corporate
Office
Properties
Trust(ö)
22,866
673
Crown
Castle
International
Corp.(ö)
1,863
360
Cullen/Frost
Bankers,
Inc.
1,997
214
Equity
Commonwealth(ö)
27,190
715
Equity
Residential(ö)
4,132
348
Essent
Group,
Ltd.
11,460
518
Fifth
Third
Bancorp
8,008
291
Franklin
Resources,
Inc.
4,337
128
Hartford
Financial
Services
Group,
Inc.
4,242
270
Huntington
Bancshares,
Inc.
12,627
178
Intercontinental
Exchange,
Inc.
3,374
404
JPMorgan
Chase
&
Co.
30,879
4,688
KeyCorp
11,033
217
KKR
&
Co.,
Inc.
Class
A
11,873
757
M&T
Bank
Corp.
1,221
163
Marsh
&
McLennan
Cos.,
Inc.
3,938
580
MasterCard,
Inc.
Class
A
3,517
1,357
Merck
&
Co.,
Inc.
43,286
3,327
MetLife,
Inc.
3,832
221
Morgan
Stanley
6,844
657
Navient
Corp.
10,616
217
New
York
Community
Bancorp,
Inc.
72,957
859
Northern
Trust
Corp.
15,030
1,696
PayPal
Holdings,
Inc.(Æ)
3,588
989
PNC
Financial
Services
Group,
Inc.
(The)
2,741
500
Popular,
Inc.
11,935
868
Prologis,
Inc.(ö)
6,818
873
Prudential
Financial,
Inc.
698
70
Public
Storage(ö)
1,357
424
Regions
Financial
Corp.
13,852
267
Ryman
Hospitality
Properties,
Inc.(ö)
9,371
719
Russell
Investment
Company
Equity
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
4
Equity
Income
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Santander
Consumer
USA
Holdings,
Inc.
8,807
361
Signature
Bank
1,321
300
Simon
Property
Group,
LP(ö)
2,670
338
SLM
Corp.
48,191
907
State
Street
Corp.
1,410
123
TFS
Financial
Corp.
13,523
263
Travelers
Cos.,
Inc.
(The)
2,369
353
Truist
Financial
Corp.
9,933
541
Two
Harbors
Investment
Corp.(ö)
117,942
756
US
Bancorp
34,569
1,920
Visa,
Inc.
Class
A
5,772
1,422
Voya
Financial,
Inc.
4,572
294
Wells
Fargo
&
Co.
128,712
5,914
56,947
Health
Care
-
13.2%
Abbott
Laboratories
7,280
881
AbbVie,
Inc.
11,265
1,310
Acadia
Pharmaceuticals,
Inc.(Æ)
2,581
56
Amgen,
Inc.
2,336
564
AstraZeneca
PLC
-
ADR
25,120
1,438
Baxter
International,
Inc.
4,119
319
Becton
Dickinson
and
Co.
5,303
1,356
Biogen,
Inc.(Æ)
1,136
371
BioMarin
Pharmaceutical,
Inc.(Æ)
1,308
100
Bristol-Myers
Squibb
Co.
21,592
1,465
Cerner
Corp.
3,521
283
Cigna
Corp.
9,864
2,264
Eli
Lilly
&
Co.
3,757
915
Envista
Holdings
Corp.(Æ)
16,902
728
Gilead
Sciences,
Inc.
4,423
302
GlaxoSmithKline
PLC
-
ADR
24,864
998
Haemonetics
Corp.(Æ)
8,891
540
Intra-Cellular
Therapies,
Inc.
Class
A(Æ)
11,994
412
IQVIA,
Inc.(Æ)
2,061
511
Jazz
Pharmaceuticals
PLC(Æ)
4,578
776
Johnson
&
Johnson
31,691
5,458
Medtronic
PLC
25,334
3,327
Organon
&
Co.
1,110
32
Pfizer,
Inc.
53,344
2,284
Regeneron
Pharmaceuticals,
Inc.(Æ)
375
215
Seagen
,
Inc.(Æ)
2,196
337
Stryker
Corp.
2,136
579
Thermo
Fisher
Scientific,
Inc.
2,073
1,119
United
Therapeutics
Corp.(Æ)
1,135
206
UnitedHealth
Group,
Inc.
7,305
3,011
Vertex
Pharmaceuticals,
Inc.(Æ)
1,117
225
Viatris
,
Inc.
56,871
800
Zimmer
Biomet
Holdings,
Inc.
4,000
654
33,836
Materials
and
Processing
-
4.5%
Air
Products
&
Chemicals,
Inc.
1,520
442
Alcoa
Corp.(Æ)
20,272
814
Carrier
Global
Corp.
2,319
128
Crown
Holdings,
Inc.
7,164
715
Dow,
Inc.
1,612
100
DuPont
de
Nemours,
Inc.
18,199
1,366
Eastman
Chemical
Co.
6,083
686
Ecolab,
Inc.
1,038
229
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Huntsman
Corp.
42,802
1,130
International
Flavors
&
Fragrances,
Inc.
12,704
1,914
Linde
PLC(Æ)
5,095
1,566
LyondellBasell
Industries
NV
Class
A
2,736
272
Newmont
Corp.
28,476
1,789
PPG
Industries,
Inc.
2,556
418
Westrock
Co.
1,344
66
11,635
Producer
Durables
-
7.0%
3M
Co.
2,573
509
Ametek
,
Inc.
1,556
216
Boeing
Co.
(The)(Æ)
1,411
320
Carlisle
Cos.,
Inc.
676
137
Cummins,
Inc.
981
228
Danaher
Corp.
3,030
901
Deere
&
Co.
6,242
2,256
Delta
Air
Lines,
Inc.(Æ)
5,033
201
Emerson
Electric
Co.
4,095
413
FedEx
Corp.
3,788
1,060
Fluor
Corp.(Æ)
1,489
25
General
Dynamics
Corp.
12,011
2,354
General
Electric
Co.
22,719
294
Honeywell
International,
Inc.
3,266
764
Illinois
Tool
Works,
Inc.
2,110
478
Johnson
Controls
International
PLC(Æ)
2,208
158
Lockheed
Martin
Corp.
926
344
Northrop
Grumman
Corp.
1,003
364
Otis
Worldwide
Corp.
1,160
104
Paychex,
Inc.
2,632
300
Stanley
Black
&
Decker,
Inc.
6,827
1,345
Textron,
Inc.
12,427
858
TreeHouse
Foods,
Inc.(Æ)
17,805
791
Union
Pacific
Corp.
3,347
732
United
Airlines
Holdings,
Inc.(Æ)
2,255
105
United
Parcel
Service,
Inc.
Class
B
3,149
603
Vontier
Corp.
32,938
1,066
Waste
Management,
Inc.
3,046
452
Westinghouse
Air
Brake
Technologies
Corp.
7,804
662
18,040
Technology
-
20.8%
Accenture
PLC
Class
A
2,462
782
Activision
Blizzard,
Inc.
1,985
166
Adobe,
Inc.(Æ)
1,836
1,141
Alphabet,
Inc.
Class
A(Æ)
902
2,430
Alphabet,
Inc.
Class
C(Æ)
886
2,396
Amdocs,
Ltd.
2,519
194
Amphenol
Corp.
Class
A
5,244
380
Apple,
Inc.
75,579
11,023
Applied
Materials,
Inc.
3,360
470
Arista
Networks,
Inc.(Æ)
2,600
989
Automatic
Data
Processing,
Inc.
2,424
508
Avnet,
Inc.
2,941
122
Broadcom,
Inc.
850
413
Cisco
Systems,
Inc.
18,081
1,001
Cognizant
Technology
Solutions
Corp.
Class
A
23,509
1,729
Corning,
Inc.
4,627
194
Corteva
,
Inc.
46,452
1,987
Russell
Investment
Company
Equity
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Equity
Income
Fund
5
cif
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
DXC
Technology
Co.(Æ)
18,897
756
Electronic
Arts,
Inc.
1,285
185
Facebook,
Inc.
Class
A(Æ)
8,823
3,144
Fidelity
National
Information
Services,
Inc.
1,510
225
Fiserv,
Inc.(Æ)
2,488
286
HP,
Inc.(Æ)
8,562
247
Intel
Corp.
23,151
1,244
International
Business
Machines
Corp.
2,871
405
Intuit,
Inc.
1,225
649
Jack
Henry
&
Associates,
Inc.
1,360
237
Juniper
Networks,
Inc.
49,622
1,396
Lam
Research
Corp.
831
530
Marvell
Technology
Group,
Ltd.
9,776
592
Micron
Technology,
Inc.
14,419
1,119
Microsoft
Corp.
26,671
7,598
Motorola
Solutions,
Inc.
1,469
329
NVIDIA
Corp.
4,228
824
Oracle
Corp.
30,043
2,618
QUALCOMM,
Inc.
8,093
1,212
Raytheon
Technologies
Corp.(Æ)
26,967
2,345
Salesforce.com,
Inc.(Æ)
1,235
299
Synopsys,
Inc.(Æ)
1,618
466
Texas
Instruments,
Inc.
3,985
760
53,391
Utilities
-
5.6%
American
Electric
Power
Co.,
Inc.
3,018
266
AT&T,
Inc.
45,301
1,271
CenterPoint
Energy,
Inc.
56,330
1,435
Dominion
Energy,
Inc.
5,071
380
Duke
Energy
Corp.
3,572
375
Edison
International
19,856
1,082
Entergy
Corp.
12,557
1,292
Exelon
Corp.
28,013
1,311
FirstEnergy
Corp.
27,012
1,035
NextEra
Energy,
Inc.
6,531
509
NiSource,
Inc.
41,680
1,032
PG&E
Corp.(Æ)
3,334
29
PPL
Corp.
26,697
757
Southern
Co.
(The)
8,586
548
T-Mobile
USA,
Inc.(Æ)
13,381
1,928
UGI
Corp.
11,325
521
Verizon
Communications,
Inc.
9,186
512
14,283
Total
Common
Stocks
(cost
$130,134)
244,170
Preferred
Stocks
-
0.0%
Financial
Services
-
0.0%
Brookfield
Property
Partners,
LP
6.25%
due
7/26/
81
466
12
Total
Preferred
Stocks
(cost
$12)
12
Short-Term
Investments
-
3.8%
U.S.
Cash
Management
Fund(@)
9,673,263
(∞)
9,671
Total
Short-Term
Investments
(cost
$9,671)
9,671
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Total
Investments
-
99.0%
(identified
cost
$139,817)
253,853
Other
Assets
and
Liabilities,
Net
-
1.0%
2,480
Net
Assets
-
100.0%
256,333
Russell
Investment
Company
Equity
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
6
Equity
Income
Fund
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
S&P
500
E-Mini
Index
Futures
23
USD
5,048
09/21
45
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
45
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical    
Expedient
(a)
Total
Common
Stocks
Consumer
Discretionary
$
26,182
$
$
$
$
26,182
Consumer
Staples
20,401
20,401
Energy
9,455
9,455
Financial
Services
56,947
56,947
Health
Care
33,836
33,836
Materials
and
Processing
11,635
11,635
Producer
Durables
18,040
18,040
Technology
53,391
53,391
Utilities
14,283
14,283
Preferred
Stocks
12
12
Short-Term
Investments
9,671
9,671
Total
Investments
244,182
9,671
253,853
Other
Financial
Instruments
Assets
Futures
Contracts
45
45
Total
Other
Financial
Instruments
*
$
45
$
$
$
$
45
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Russell
Investment
Company
Sustainable
Equity
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Sustainable
Equity
Fund
7
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Common
Stocks
-
103.3%
Consumer
Discretionary
-
13.7%
Academy
Sports
and
Outdoors,
Inc.(Æ)
6,239
231
Altice
USA,
Inc.
Class
A(Æ)
1,576
48
Amazon.com,
Inc.(Æ)
2,072
6,894
AutoZone,
Inc.(Æ)(Ð)
744
1,208
BJ's
Wholesale
Club
Holdings,
Inc.(Æ)
1,490
75
Bright
Horizons
Family
Solutions,
Inc.(Æ)
1,889
283
Columbia
Sportswear
Co.
7,387
736
Comcast
Corp.
Class
A
6,255
368
Costco
Wholesale
Corp.(Ð)
2,104
904
Dollar
General
Corp.
13,173
3,064
Dollar
Tree,
Inc.(Æ)
4,831
482
Domino's
Pizza,
Inc.(Ð)
1,692
889
DR
Horton,
Inc.
1,711
163
Driven
Brands,
Inc.(Æ)
2,436
78
Ford
Motor
Credit
Co.
LLC(Æ)
68,509
956
Garmin,
Ltd.
652
102
General
Motors
Co.(Æ)
10,425
593
Genuine
Parts
Co.
937
119
Grand
Canyon
Education,
Inc.(Æ)(Ð)
3,791
350
H&R
Block,
Inc.
5,603
138
Hasbro,
Inc.
11,143
1,108
Hilton
Worldwide
Holdings,
Inc.(Æ)
5,044
663
Home
Depot,
Inc.
(The)
1,830
601
Kontoor
Brands,
Inc.
3,138
174
LKQ
Corp.(Æ)
1,496
76
Lowe's
Cos.,
Inc.
18,480
3,560
Madison
Square
Garden
Sports
Corp.
Class
A(Æ)
875
142
Netflix,
Inc.(Æ)
5,136
2,658
Nike,
Inc.
Class
B
17,854
2,991
NVR,
Inc.(Æ)
18
94
Planet
Fitness,
Inc.
Class
A(Æ)
2,068
156
Pool
Corp.
752
359
PulteGroup,
Inc.
2,007
110
Ross
Stores,
Inc.
30,281
3,714
Service
Corp.
International
12,284
768
Starbucks
Corp.
20,856
2,533
Target
Corp.
1,859
485
TEGNA,
Inc.
26,072
462
Tesla,
Inc.(Æ)
650
447
Texas
Roadhouse,
Inc.
Class
A
878
81
TJX
Cos.,
Inc.
(The)
2,557
176
Ulta
Beauty,
Inc.(Æ)
356
120
Walmart,
Inc.
11,016
1,570
40,729
Consumer
Staples
-
10.2%
Archer-Daniels-Midland
Co.
21,179
1,265
Bunge,
Ltd.
8,564
665
Coca-Cola
Co.
(The)
46,099
2,629
Colgate-Palmolive
Co.
27,215
2,164
ConAgra
Foods,
Inc.
29,627
992
CVS
Health
Corp.
52,339
4,311
Grocery
Outlet
Holding
Corp.(Æ)
4,599
152
Herbalife
Nutrition,
Ltd.(Æ)
3,870
197
Hershey
Co.
(The)
4,960
887
Hormel
Foods
Corp.
9,115
423
JM
Smucker
Co.
(The)
8,941
1,172
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Kroger
Co.
(The)
66,225
2,695
Lancaster
Colony
Corp.
1,028
203
Medifast,
Inc.
718
205
Mondelez
International,
Inc.
Class
A
17,988
1,138
PepsiCo,
Inc.
9,618
1,510
Post
Holdings,
Inc.(Æ)(Ð)
6,401
655
Procter
&
Gamble
Co.
(The)
7,858
1,118
Sanderson
Farms,
Inc.
2,259
422
Sprouts
Farmers
Market,
Inc.(Æ)
4,790
118
Sysco
Corp.
26,652
1,978
Tyson
Foods,
Inc.
Class
A(Ð)
12,569
898
Unilever
PLC
-
ADR
67,710
3,894
Walgreens
Boots
Alliance,
Inc.
13,555
639
30,330
Energy
-
0.0%
Texas
Pacific
Land
Corp.
40
60
Financial
Services
-
21.6%
Alleghany
Corp.(Æ)
1,061
704
American
Express
Co.
364
62
American
Tower
Corp.(ö)
13,378
3,784
Americold
Realty
Trust(ö)
8,671
337
Arch
Capital
Group,
Ltd.(Æ)
9,950
388
AvalonBay
Communities,
Inc.(ö)
665
152
Bank
of
America
Corp.
5,693
218
Berkshire
Hathaway,
Inc.
Class
B(Æ)(
Û
)
12,871
3,583
Brighthouse
Financial,
Inc.(Æ)
6,334
273
Capital
One
Financial
Corp.
384
62
CBRE
Group,
Inc.
Class
A(Æ)
16,090
1,552
Charles
Schwab
Corp.
(The)
39,237
2,666
Citigroup,
Inc.
1,562
106
CME
Group,
Inc.
Class
A
4,339
920
CNA
Financial
Corp.
6,441
283
CNO
Financial
Group,
Inc.
14,763
337
CoreSite
Realty
Corp.
Class
A(ö)
1,960
271
Crown
Castle
International
Corp.(ö)
2,899
559
CubeSmart(ö)
9,138
453
DigitalBridge
Group,
Inc.(Æ)(ö)
17,302
120
Discover
Financial
Services
502
62
Duke
Realty
Corp.(ö)
1,594
81
Dun
&
Bradstreet
Holdings,
Inc.(Æ)
11,262
236
Equinix,
Inc.(Æ)(ö)
1,476
1,211
Equity
Commonwealth(ö)
26,353
693
Equity
Residential(ö)
1,848
155
Everest
Re
Group,
Ltd.(Ð)
2,893
731
Extra
Space
Storage,
Inc.(ö)
5,879
1,023
First
Republic
Bank
21,858
4,264
Global
Payments,
Inc.
16,136
3,122
Interactive
Brokers
Group,
Inc.
Class
A
3,506
217
Intercontinental
Exchange,
Inc.
12,137
1,454
JPMorgan
Chase
&
Co.
8,890
1,349
Kennedy-Wilson
Holdings,
Inc.
9,772
197
Lamar
Advertising
Co.
Class
A(ö)
5,105
544
Life
Storage,
Inc.(Æ)(ö)
2,962
348
Markel
Corp.(Æ)
3,122
3,765
MarketAxess
Holdings,
Inc.
554
263
Marsh
&
McLennan
Cos.,
Inc.
21,134
3,111
MasterCard,
Inc.
Class
A
1,457
562
Merck
&
Co.,
Inc.
26,591
2,044
Russell
Investment
Company
Sustainable
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
8
Sustainable
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Mercury
General
Corp.(Ð)
7,707
469
Mid-America
Apartment
Communities,
Inc.
(ö)
413
80
Moody's
Corp.
9,816
3,692
PayPal
Holdings,
Inc.(Æ)
1,795
495
Prologis,
Inc.(ö)
9,213
1,180
Public
Storage(ö)
4,350
1,359
Realty
Income
Corp.(ö)
1,824
128
Regency
Centers
Corp.(ö)
957
63
Regions
Financial
Corp.
3,896
75
RenaissanceRe
Holdings,
Ltd.
2,871
438
Rexford
Industrial
Realty,
Inc.(ö)
1,142
70
Safehold,
Inc.(Æ)
500
45
SBA
Communications
Corp.(ö)
3,203
1,092
State
Street
Corp.
32,565
2,838
Sun
Communities,
Inc.(ö)
349
68
Synchrony
Financial
1,744
82
Travelers
Cos.,
Inc.
(The)
8,073
1,202
Upstart
Holdings,
Inc.(Æ)
487
59
US
Bancorp
80,701
4,483
Virtu
Financial,
Inc.
Class
A
7,356
189
Visa,
Inc.
Class
A(
Û
)
14,272
3,517
Western
Alliance
Bancorp
642
60
63,946
Health
Care
-
13.7%
Abbott
Laboratories
1,448
175
AbbVie,
Inc.
2,776
323
Agilent
Technologies,
Inc.
706
108
Agios
Pharmaceuticals,
Inc.(Æ)(Ð)
2,912
140
AmerisourceBergen
Corp.
Class
A
5,976
730
Amgen,
Inc.
10,511
2,540
AMN
Healthcare
Services,
Inc.(Æ)
1,186
119
Arena
Pharmaceuticals,
Inc.(Æ)
1,326
82
Becton
Dickinson
and
Co.
253
65
Biogen,
Inc.(Æ)
248
81
BioMarin
Pharmaceutical,
Inc.(Æ)
3,339
256
Boston
Scientific
Corp.(Æ)
3,590
164
Bristol-Myers
Squibb
Co.
1,438
98
Cardinal
Health,
Inc.
5,098
303
Centene
Corp.(Æ)
9,075
623
Charles
River
Laboratories
International,
Inc.(Æ)
236
96
Cooper
Cos.,
Inc.
(The)
399
168
DexCom,
Inc.(Æ)
1,118
576
Eli
Lilly
&
Co.
6,416
1,562
Exelixis,
Inc.(Æ)
8,554
144
Gilead
Sciences,
Inc.(
Û
)
21,957
1,500
Hill-Rom
Holdings,
Inc.
6,574
910
Humana,
Inc.
3,185
1,357
IDEXX
Laboratories,
Inc.(Æ)
145
98
Illumina,
Inc.(Æ)
269
133
Incyte
Corp.(Æ)(
Û
)
9,427
729
Insulet
Corp.(Æ)
1,195
334
Intuitive
Surgical,
Inc.(Æ)
220
218
Ionis
Pharmaceuticals,
Inc.(Æ)
3,862
143
Johnson
&
Johnson(
Û
)
38,651
6,657
McKesson
Corp.
3,642
742
Medtronic
PLC
19,110
2,510
Molina
Healthcare,
Inc.(Æ)
3,053
833
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Penumbra,
Inc.(Æ)
893
238
Perrigo
Co.
PLC
19,518
937
Pfizer,
Inc.
2,784
119
PTC
Therapeutics,
Inc.(Æ)(Ð)
2,445
94
Qiagen
NV(Æ)
5,835
308
Quest
Diagnostics,
Inc.
7,054
1,000
Regeneron
Pharmaceuticals,
Inc.(Æ)
1,507
866
ResMed,
Inc.
1,978
538
STERIS
PLC
300
65
Stryker
Corp.
650
176
Teleflex,
Inc.
3,059
1,216
Thermo
Fisher
Scientific,
Inc.
4,452
2,405
United
Therapeutics
Corp.(Æ)(
Û
)
5,399
982
UnitedHealth
Group,
Inc.
9,920
4,090
Veeva
Systems,
Inc.
Class
A(Æ)
2,200
732
Vertex
Pharmaceuticals,
Inc.(Æ)(
Û
)
6,404
1,290
Viatris,
Inc.(
Û
)
57,530
809
West
Pharmaceutical
Services,
Inc.
408
168
Zoetis,
Inc.
Class
A
319
65
40,615
Materials
and
Processing
-
2.5%
Air
Products
&
Chemicals,
Inc.
4,498
1,310
Ball
Corp.
5,674
459
Carrier
Global
Corp.
14,999
829
Copart,
Inc.(Æ)
1,089
160
Ecolab,
Inc.
9,878
2,182
Fastenal
Co.
1,358
74
Huntsman
Corp.
6,984
184
Linde
PLC(Æ)
3,037
934
Newmont
Corp.
13,003
817
Olin
Corp.
3,492
164
Terminix
Global
Holdings,
Inc.(Æ)
4,939
259
7,372
Producer
Durables
-
9.1%
Allegiant
Travel
Co.
Class
A(Æ)
760
144
Arcosa,
Inc.
1,548
85
Avalara,
Inc.(Æ)
400
67
CH
Robinson
Worldwide,
Inc.(Ð)
9,479
846
Cintas
Corp.
352
139
Curtiss-Wright
Corp.
(
Û
)
675
80
Danaher
Corp.
597
178
Deere
&
Co.
262
95
Expeditors
International
of
Washington,
Inc.
9,189
1,178
Fortive
Corp.
24,493
1,780
frontdoor,
Inc.(Æ)
5,601
274
FTI
Consulting,
Inc.(Æ)
1,584
231
Generac
Holdings,
Inc.(Æ)
349
146
Healthcare
Services
Group,
Inc.
2,773
72
Honeywell
International,
Inc.
19,448
4,546
Illinois
Tool
Works,
Inc.
411
93
Insperity,
Inc.
1,063
105
Jacobs
Engineering
Group,
Inc.
3,045
412
Keysight
Technologies,
Inc.(Æ)
475
78
Knight-Swift
Transportation
Holdings,
Inc.
(Æ)
15,271
759
L3Harris
Technologies,
Inc.
846
192
Landstar
System,
Inc.(Ð)
6,048
950
Mettler-Toledo
International,
Inc.(Æ)
1,533
2,258
Russell
Investment
Company
Sustainable
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Sustainable
Equity
Fund
9
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
MSA
Safety,
Inc.
317
52
Northrop
Grumman
Corp.(
Û
)
3,517
1,277
Old
Dominion
Freight
Line,
Inc.
263
71
Otis
Worldwide
Corp.
6,768
606
Paychex,
Inc.
1,793
204
Republic
Services,
Inc.
Class
A
7,526
891
Rollins,
Inc.
1,953
75
Roper
Technologies,
Inc.
3,617
1,777
Ryder
System,
Inc.(Ð)
6,565
500
Schneider
National,
Inc.
Class
B(Ð)
24,542
551
Stanley
Black
&
Decker,
Inc.
8,394
1,654
Terex
Corp.(
Û
)
5,749
275
TransDigm
Group,
Inc.(Æ)
1,855
1,189
United
Parcel
Service,
Inc.
Class
B
4,220
808
United
Rentals,
Inc.(Æ)
256
84
Vontier
Corp.
22,034
713
WW
Grainger,
Inc.
3,198
1,422
Zebra
Technologies
Corp.
Class
A(Æ)
296
164
27,021
Technology
-
28.9%
Accenture
PLC
Class
A
1,641
521
Activision
Blizzard,
Inc.
12,691
1,060
Adobe,
Inc.(Æ)
6,943
4,316
Advanced
Micro
Devices,
Inc.(Æ)
2,020
215
Airbnb,
Inc.
Class
A(Æ)
425
61
Akamai
Technologies,
Inc.(Æ)
3,658
439
Alphabet,
Inc.
Class
A(Æ)
606
1,633
Alphabet,
Inc.
Class
C(Æ)(
Û
)
3,164
8,556
Amdocs,
Ltd.
10,500
810
Amphenol
Corp.
Class
A
25,336
1,837
Ansys,
Inc.(Æ)
753
277
Apple,
Inc.
69,652
10,158
Applied
Materials,
Inc.
1,987
278
Arista
Networks,
Inc.(Æ)
414
157
Arrow
Electronics,
Inc.(Æ)
1,194
142
Atlassian
Corp.
PLC
Class
A(Æ)
6,286
2,044
Automatic
Data
Processing,
Inc.
12,539
2,629
Avaya
Holdings
Corp.(Æ)
2,113
51
Avnet,
Inc.(Ð)
15,593
644
Bentley
Systems,
Inc.
Class
B
2,858
174
Booking
Holdings,
Inc.(Æ)
96
209
Broadcom,
Inc.
222
108
Cadence
Design
Systems,
Inc.(Æ)
2,438
360
Ciena
Corp.(Æ)
14,176
824
Cirrus
Logic,
Inc.(Æ)(
Û
)
9,669
799
Cisco
Systems,
Inc.
7,108
394
Cognizant
Technology
Solutions
Corp.
Class
A(
Û
)
3,009
222
CommVault
Systems,
Inc.(Æ)
2,169
164
Corteva,
Inc.
13,572
581
Dell
Technologies,
Inc.
Class
C(Æ)
10,738
1,038
Dropbox,
Inc.
Class
A(Æ)(
Û
)
27,784
875
Duck
Creek
Technologies,
Inc.(Æ)
4,068
179
Elastic
NV(Æ)
428
63
Electronic
Arts,
Inc.(
Û
)
10,043
1,446
EPAM
Systems,
Inc.(Æ)(
Û
)
118
66
Etsy,
Inc.(Æ)
326
60
F5
Networks,
Inc.(Æ)
1,204
249
Facebook,
Inc.
Class
A(Æ)(
Û
)
10,618
3,783
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Fidelity
National
Information
Services,
Inc.
1,878
280
Fiserv,
Inc.(Æ)
1,718
198
Fortinet,
Inc.(Æ)
1,667
454
GoDaddy,
Inc.
Class
A(Æ)(
Û
)
(Ð)
8,293
695
Hewlett
Packard
Enterprise
Co.
Class
H
25,648
372
HP,
Inc.(Æ)
23,382
675
Inovalon
Holdings,
Inc.
Class
A(Æ)
2,316
88
Intel
Corp.(
Û
)
(Ð)
37,371
2,007
Intuit,
Inc.
8,843
4,686
Jabil
Circuit,
Inc.
3,788
226
Jamf
Holding
Corp.(Æ)
2,838
93
Juniper
Networks,
Inc.
30,613
861
KLA
Corp.
587
204
Lam
Research
Corp.
259
165
McAfee
Corp.
Class
A
3,665
99
Microchip
Technology,
Inc.
30,175
4,318
Micron
Technology,
Inc.
16,832
1,306
Microsoft
Corp.(
Û
)
29,746
8,473
Monolithic
Power
Systems,
Inc.
281
126
NetApp,
Inc.
5,061
403
New
Relic,
Inc.(Æ)
4,451
307
NortonLifeLock,
Inc.(Æ)
11,953
297
Nutanix,
Inc.
Class
A(Æ)
3,847
139
NVIDIA
Corp.
4,324
843
Okta,
Inc.(Æ)
1,980
491
Opendoor
Technologies,
Inc(Æ)
3,844
57
Paycom
Software,
Inc.(Æ)
286
114
Pure
Storage,
Inc.
Class
A(Æ)
7,580
148
QUALCOMM,
Inc.
877
131
Salesforce.com,
Inc.(Æ)
7,881
1,907
SAP
SE
-
ADR
12,904
1,855
ServiceNow,
Inc.(Æ)
2,065
1,214
SolarWinds
Corp.(Æ)
7,145
80
Synopsys,
Inc.(Æ)
1,261
363
Take-Two
Interactive
Software,
Inc.(Æ)
4,857
842
TE
Connectivity,
Ltd.
2,224
328
Twitter,
Inc.(Æ)
11,881
829
Tyler
Technologies,
Inc.(Æ)
1,194
588
VeriSign,
Inc.(Æ)(
Û
)
4,698
1,017
VMware,
Inc.
Class
A(Æ)
348
54
Western
Digital
Corp.(Æ)
5,909
384
Workday,
Inc.
Class
A(Æ)
496
116
Xilinx,
Inc.
519
78
Zynga,
Inc.
Class
A(Æ)
32,635
330
85,663
Utilities
-
3.6%
American
Water
Works
Co.,
Inc.
7,213
1,227
AT&T,
Inc.(Ð)
64,246
1,803
Atmos
Energy
Corp.(Ð)
8,749
862
Avangrid,
Inc.(Ð)
16,006
834
Consolidated
Edison
Co.,
Inc.
21,262
1,569
DT
Midstream,
Inc.
5,716
242
Edison
International
4,265
232
Eversource
Energy(Æ)
14,274
1,232
Exelon
Corp.
893
42
Portland
General
Electric
Co.
4,608
225
Southwest
Gas
Holdings,
Inc.
2,748
192
Spire,
Inc.
2,851
202
Russell
Investment
Company
Sustainable
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
10
Sustainable
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Verizon
Communications,
Inc.(Ð)
35,017
1,954
10,616
Total
Common
Stocks
(cost
$213,434)
306,352
Short-Term
Investments
-
5.2%
U.S.
Cash
Management
Fund(@)
15,505,630
(∞)
15,503
Total
Short-Term
Investments
(cost
$15,503)
15,503
Other
Securities
-
0.0%
U.S.
Cash
Collateral
Fund(@)(×)
47,400
(∞)
47
Total
Other
Securities
(cost
$47)
47
Total
Investments
-
108.5%
(identified
cost
$228,984)
321,902
Securities
Sold
Short
-
(8.3)%
Consumer
Discretionary
-
(2.0)%
Acushnet
Holdings
Corp.
(7,836)
(401)
AMC
Entertainment
Holdings,
Inc.
Class
A(Æ)
(14,084)
(521)
Boot
Barn
Holdings,
Inc.(Æ)
(742)
(64)
Caesars
Entertainment,
Inc.(Æ)
(4,423)
(386)
Cardlytics,
Inc.(Æ)
(932)
(117)
Carvana
Co.(Æ)
(1,165)
(393)
Cinemark
Holdings,
Inc.(Æ)
(2,765)
(43)
DISH
Network
Corp.
Class
A(Æ)
(9,417)
(394)
Fox
Factory
Holding
Corp.(Æ)
(3,392)
(548)
fuboTV,
Inc.(Æ)
(1,775)
(46)
GrowGeneration
Corp.(Æ)
(2,300)
(94)
Hillenbrand,
Inc.
(2,414)
(109)
Leggett
&
Platt,
Inc.
(7,895)
(379)
Marriott
Vacations
Worldwide
Corp.(Æ)
(1,924)
(284)
Overstock.com,
Inc.(Æ)
(460)
(32)
Penn
National
Gaming,
Inc.(Æ)
(5,263)
(360)
Restoration
Hardware(Æ)
(593)
(394)
Stitch
Fix,
Inc.
Class
A(Æ)
(2,116)
(114)
Tesla,
Inc.(Æ)
(211)
(145)
Wayfair,
Inc.
Class
A(Æ)
(1,264)
(305)
World
Wrestling
Entertainment,
Inc.
Class
A
(2,897)
(143)
Wynn
Resorts,
Ltd.(Æ)
(3,828)
(376)
YETI
Holdings,
Inc.(Æ)
(3,671)
(354)
(6,002)
Consumer
Staples
-
(0.1)%
Celsius
Holdings,
Inc.(Æ)
(2,482)
(170)
Energy
-
(0.4)%
ChampionX
Corp.(Æ)
(2,276)
(53)
Devon
Energy
Corp.
(14,926)
(386)
FuelCell
Energy,
Inc.(Æ)
(5,864)
(37)
Halliburton
Co.
(18,705)
(387)
Sunrun,
Inc.(Æ)
(5,633)
(298)
(1,161)
Financial
Services
-
(1.1)%
Apollo
Global
Management,
Inc.
(6,720)
(396)
Ares
Management
Corp.
Class
A
(7,287)
(522)
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Artisan
Partners
Asset
Management,
Inc.
Class
A
(338)
(16)
Brixmor
Property
Group,
Inc.(ö)
(11,712)
(270)
Hamilton
Lane,
Inc.
Class
A
(2,110)
(196)
Hannon
Armstrong
Sustainable
Infrastructure
Capital,
Inc.(ö)
(8,451)
(480)
Independent
Bank
Group,
Inc.
(1,421)
(99)
Kimco
Realty
Corp.(ö)
(15,136)
(323)
Pebblebrook
Hotel
Trust(ö)
(2,786)
(63)
RLJ
Lodging
Trust(ö)
(3,722)
(53)
Rocket
Companies,
Inc.
Class
A
(6,091)
(105)
Trupanion,
Inc.(Æ)
(2,168)
(249)
Weyerhaeuser
Co.(ö)
(11,503)
(388)
(3,160)
Health
Care
-
(1.5)%
10x
Genomics,
Inc.
Class
A(Æ)
(773)
(141)
AbbVie,
Inc.
(3,469)
(403)
Arrowhead
Pharmaceuticals,
Inc.(Æ)
(1,217)
(84)
Berkeley
Lights,
Inc.(Æ)
(337)
(15)
BioCryst
Pharmaceuticals,
Inc.(Æ)
(7,631)
(123)
Bio-Techne
Corp.(Æ)
(1,086)
(524)
Blueprint
Medicines
Corp.(Æ)
(4,094)
(360)
Catalent,
Inc.(Æ)
(3,393)
(407)
Editas
Medicine,
Inc.(Æ)
(1,591)
(67)
Exact
Sciences
Corp.(Æ)
(2,975)
(321)
Fate
Therapeutics,
Inc.(Æ)
(3,753)
(311)
Fulgent
Genetics,
Inc.(Æ)
(425)
(39)
HCA
Healthcare,
Inc.
(1,607)
(399)
Insmed,
Inc.(Æ)
(1,575)
(39)
Intra-Cellular
Therapies,
Inc.
Class
A(Æ)
(4,918)
(169)
Invitae
Corp.(Æ)
(9,524)
(267)
R1
RCM,
Inc.(Æ)
(14,842)
(318)
Rocket
Pharmaceuticals,
Inc.(Æ)
(937)
(34)
Sorrento
Therapeutics,
Inc.(Æ)
(4,891)
(40)
Surgery
Partners,
Inc.(Æ)
(1,355)
(74)
TG
Therapeutics,
Inc.(Æ)
(802)
(28)
Veracyte,
Inc.(Æ)
(10,287)
(458)
(4,621)
Materials
and
Processing
-
(0.8)%
Builders
FirstSource,
Inc.(Æ)
(8,845)
(394)
Fastenal
Co.
(7,319)
(401)
HB
Fuller
Co.
(2,708)
(175)
Installed
Building
Products,
Inc.
(613)
(74)
JELD-WEN
Holding,
Inc.(Æ)
(2,671)
(71)
Quaker
Chemical
Corp.
(1,641)
(413)
RBC
Bearings,
Inc.(Æ)
(1,721)
(404)
Trex
Co.,
Inc.(Æ)
(4,077)
(396)
(2,328)
Producer
Durables
-
(1.1)%
Altra
Industrial
Motion
Corp.
(2,683)
(168)
Applied
Industrial
Technologies,
Inc.
(1,278)
(115)
ASGN,
Inc.(Æ)
(1,505)
(152)
Bloom
Energy
Corp.
Class
A(Æ)
(1,844)
(40)
Casella
Waste
Systems,
Inc.
Class
A(Æ)
(3,566)
(245)
Colfax
Corp.(Æ)
(5,681)
(261)
Cryoport,
Inc.(Æ)
(3,546)
(219)
Emerson
Electric
Co.
(4,019)
(405)
Herc
Holdings,
Inc.(Æ)
(526)
(65)
Russell
Investment
Company
Sustainable
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Sustainable
Equity
Fund
11
cif
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Kennametal,
Inc.
(1,924)
(70)
LCI
Industries
(815)
(119)
Middleby
Corp.(Æ)
(1,670)
(320)
Parker-Hannifin
Corp.
(1,290)
(403)
Plug
Power,
Inc.(Æ)
(1,148)
(31)
Proto
Labs,
Inc.(Æ)
(802)
(63)
SPX
FLOW,
Inc.
(1,355)
(111)
Square,
Inc.
Class
A(Æ)
(1,528)
(378)
Woodward,
Inc.
(2,096)
(255)
(3,420)
Technology
-
(1.2)%
3D
Systems
Corp.(Æ)
(6,462)
(178)
ADT,
Inc.
(9,209)
(97)
Advanced
Micro
Devices,
Inc.(Æ)
(4,037)
(429)
Analog
Devices,
Inc.
(2,699)
(452)
Appian
Corp.(Æ)
(821)
(96)
BigCommerce
Holdings,
Inc.(Æ)
(603)
(39)
Brooks
Automation,
Inc.
(2,188)
(195)
Bumble,
Inc.
Class
A(Æ)
(652)
(33)
Cognex
Corp.
(4,582)
(414)
Coupa
Software,
Inc.(Æ)
(709)
(154)
Covetrus,
Inc.(Æ)
(2,490)
(63)
Cree,
Inc.(Æ)
(3,808)
(353)
Digital
Turbine,
Inc.(Æ)
(1,171)
(74)
Fastly,
Inc.
Class
A(Æ)
(1,082)
(52)
II-VI,
Inc.(Æ)
(977)
(68)
Outset
Medical,
Inc.(Æ)
(2,445)
(100)
Rogers
Corp.(Æ)
(378)
(72)
Roku,
Inc.(Æ)
(844)
(361)
Sabre
Corp.(Æ)
(13,426)
(158)
SailPoint
Technologies
Holding,
Inc.(Æ)
(1,425)
(71)
(3,459)
Utilities
-
(0.1)%
Antero
Midstream
Corp.
(18,597)
(177)
Equitrans
Midstream
Corp.
(10,539)
(87)
(264)
Total
Securities
Sold
Short
(proceeds
$22,744)
(24,585)
Other
Assets
and
Liabilities,
Net
-
(0.2)%
(563)
Net
Assets
-
100.0%
296,754
Russell
Investment
Company
Sustainable
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
12
Sustainable
Equity
Fund
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
S&P
500
E-Mini
Index
Futures
34
USD
7,462
09/21
55
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
55
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical    
Expedient
(a)
Total
Common
Stocks
Consumer
Discretionary
$
40,729
$
$
$
$
40,729
Consumer
Staples
30,330
30,330
Energy
60
60
Financial
Services
63,946
63,946
Health
Care
40,615
40,615
Materials
and
Processing
7,372
7,372
Producer
Durables
27,021
27,021
Technology
85,663
85,663
Utilities
10,616
10,616
Short-Term
Investments
15,503
15,503
Other
Securities
47
47
Total
Investments
306,352
15,550
321,902
Securities
Sold
Short
**
(24,585)
(24,585)
Other
Financial
Instruments
Assets
Futures
Contracts
55
55
Total
Other
Financial
Instruments
*
$
55
$
$
$
$
55
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
**
Refer
to
Schedule
of
Investments
for
detailed
sector
breakout.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Russell
Investment
Company
U.S.
Strategic
Equity
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
U.S.
Strategic
Equity
Fund
13
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Common
Stocks
-
96.3%
Consumer
Discretionary
-
14.2%
Advance
Auto
Parts,
Inc.
12,306
2,610
Amazon.com,
Inc.(Æ)
37,643
125,260
Amerco
,
Inc.
3,771
2,217
AutoNation,
Inc.(Æ)
12,587
1,527
AutoZone,
Inc.(Æ)
539
875
Best
Buy
Co.,
Inc.
36,313
4,080
BorgWarner,
Inc.
8,100
397
Brunswick
Corp.
13,600
1,420
CarMax,
Inc.(Æ)
9,625
1,289
Charter
Communications,
Inc.
Class
A(Æ)
82,338
61,264
Comcast
Corp.
Class
A
243,000
14,296
Costco
Wholesale
Corp.
23,216
9,976
Dick's
Sporting
Goods,
Inc.
9,012
939
Dollar
General
Corp.
19,832
4,614
Dollar
Tree,
Inc.(Æ)
8,469
845
DR
Horton,
Inc.
159,377
15,209
eBay,
Inc.
55,696
3,799
Floor
&
Decor
Holdings,
Inc.
Class
A(Æ)
14,387
1,755
Foot
Locker,
Inc.
16,833
960
Ford
Motor
Credit
Co.
LLC(Æ)
350,593
4,891
Gap,
Inc.
(The)
64,539
1,883
Garmin,
Ltd.
18,659
2,933
General
Motors
Co.(Æ)
716,467
40,724
Genuine
Parts
Co.
20,723
2,630
Graham
Holdings
Co.
Class
B
2,302
1,530
Grand
Canyon
Education,
Inc.(Æ)
10,350
956
Home
Depot,
Inc.
(The)
37,846
12,421
Kohl's
Corp.
28,762
1,461
Lear
Corp.
2,224
389
Lennar
Corp.
Class
A
41,608
4,375
Liberty
SiriusXM
Group
Class
C(Æ)
38,198
1,765
LKQ
Corp.(Æ)
86,551
4,392
Lowe's
Cos.,
Inc.
20,419
3,935
Lululemon
Athletica
,
Inc.(Æ)
4,758
1,904
McDonald's
Corp.
3,642
884
Mohawk
Industries,
Inc.(Æ)
6,615
1,289
Netflix,
Inc.(Æ)
72,405
37,475
Nike,
Inc.
Class
B
337,074
56,463
NVR,
Inc.(Æ)
470
2,455
Ollie's
Bargain
Outlet
Holdings,
Inc.(Æ)
15,638
1,456
Omnicom
Group,
Inc.
268,289
19,537
O'Reilly
Automotive,
Inc.(Æ)
3,399
2,052
Penske
Automotive
Group,
Inc.
19,669
1,743
Polaris,
Inc.
18,875
2,474
Pool
Corp.
2,445
1,168
PulteGroup,
Inc.
395,584
21,706
Ross
Stores,
Inc.
24,861
3,050
Starbucks
Corp.
245,756
29,842
Target
Corp.
33,956
8,864
Tesla,
Inc.(Æ)
22,378
15,378
Thor
Industries,
Inc.
156,660
18,542
TJX
Cos.,
Inc.
(The)
34,560
2,378
Tractor
Supply
Co.
13,674
2,474
Ulta
Beauty,
Inc.(Æ)
12,391
4,161
ViacomCBS
,
Inc.
Class
B
31,554
1,291
Walmart,
Inc.
71,846
10,242
Walt
Disney
Co.
(The)(Æ)
61,371
10,803
Whirlpool
Corp.
5,819
1,289
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Williams-Sonoma,
Inc.
17,408
2,641
Yum
China
Holdings,
Inc.
20,498
1,275
600,453
Consumer
Staples
-
4.7%
Altria
Group,
Inc.
74,891
3,598
Archer-Daniels-Midland
Co.
56,550
3,377
Casey's
General
Stores,
Inc.
3,765
744
Church
&
Dwight
Co.,
Inc.
31,611
2,737
Clorox
Co.
(The)
19,058
3,447
Coca-Cola
Co.
(The)
128,843
7,348
Colgate-Palmolive
Co.
73,351
5,831
CVS
Health
Corp.
412,295
33,957
Estee
Lauder
Cos.,
Inc.
(The)
Class
A
8,580
2,864
General
Mills,
Inc.
43,678
2,571
Hormel
Foods
Corp.
11,157
517
Ingredion,
Inc.
221,602
19,459
JM
Smucker
Co.
(The)
19,214
2,519
Kimberly-Clark
Corp.
35,734
4,850
Kraft
Heinz
Foods
Co.
60,137
2,314
Kroger
Co.
(The)
671,323
27,323
Molson
Coors
Beverage
Co.
Class
B
67,723
3,311
Mondelez
International,
Inc.
Class
A
51,175
3,237
Monster
Beverage
Corp.(Æ)
16,800
1,585
PepsiCo,
Inc.
49,126
7,710
Philip
Morris
International,
Inc.
107,002
10,710
Procter
&
Gamble
Co.
(The)
130,802
18,604
Tyson
Foods,
Inc.
Class
A
337,444
24,114
US
Foods
Holding
Corp.(Æ)
35,810
1,230
Walgreens
Boots
Alliance,
Inc.
94,252
4,444
198,401
Energy
-
1.8%
BP
PLC
-
ADR
645,213
15,601
Canadian
Natural
Resources,
Ltd.
464,687
15,344
Chevron
Corp.
196,602
20,016
ConocoPhillips
Co.
178,612
10,013
Exxon
Mobil
Corp.
161,887
9,320
Kinder
Morgan,
Inc.
135,363
2,353
ONEOK,
Inc.
26,132
1,358
Pioneer
Natural
Resources
Co.
5,481
797
74,802
Financial
Services
-
18.5%
AerCap
Holdings
Ltd.
/
AerCap
Global
Aviation
Trust(Æ)
282,251
14,959
Aflac,
Inc.
59,106
3,251
Allstate
Corp.
(The)
26,101
3,394
American
Express
Co.
6,982
1,191
American
International
Group,
Inc.
25,553
1,210
American
Tower
Corp.(ö)
7,428
2,101
Banco
Santander
SA
-
ADR(Æ)
3,143,398
11,536
Bank
of
America
Corp.
871,861
33,445
Bank
of
New
York
Mellon
Corp.
(The)
34,343
1,763
Berkshire
Hathaway,
Inc.
Class
B(Æ)
175,560
48,857
BlackRock,
Inc.
Class
A
1,792
1,554
Capital
One
Financial
Corp.
22,094
3,573
Cboe
Global
Markets,
Inc.
3,251
385
CBRE
Group,
Inc.
Class
A(Æ)
40,060
3,864
Charles
Schwab
Corp.
(The)
29,482
2,003
Russell
Investment
Company
U.S.
Strategic
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
14
U.S.
Strategic
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Chubb,
Ltd.
20,670
3,488
Citigroup,
Inc.
971,735
65,709
Citizens
Financial
Group,
Inc.
404,294
17,045
Comerica,
Inc.
30,343
2,083
Crown
Castle
International
Corp.(ö)
11,639
2,247
Discover
Financial
Services
13,338
1,658
Equinix
,
Inc.(Æ)(ö)
923
757
Equity
Commonwealth(ö)
453,307
11,917
Essent
Group,
Ltd.
192,090
8,677
Everest
Re
Group,
Ltd.
840
212
Fifth
Third
Bancorp
72,355
2,626
First
Republic
Bank
6,870
1,340
Global
Payments,
Inc.
733
142
Goldman
Sachs
Group,
Inc.
(The)
22,455
8,418
Hartford
Financial
Services
Group,
Inc.
20,216
1,286
JPMorgan
Chase
&
Co.
300,118
45,552
KeyCorp
58,671
1,153
KKR
&
Co.,
Inc.
Class
A
923,087
58,856
M&T
Bank
Corp.
10,794
1,445
MasterCard,
Inc.
Class
A
172,816
66,697
Merck
&
Co.,
Inc.
92,744
7,129
MetLife,
Inc.
28,215
1,628
Morgan
Stanley
193,549
18,577
New
York
Community
Bancorp,
Inc.
1,059,365
12,479
Northern
Trust
Corp.
21,389
2,414
PayPal
Holdings,
Inc.(Æ)
239,236
65,917
People's
United
Financial,
Inc.
23,806
374
PNC
Financial
Services
Group,
Inc.
(The)
39,665
7,235
Popular,
Inc.
199,936
14,547
Progressive
Corp.
(The)
20,591
1,959
Prudential
Financial,
Inc.
16,217
1,626
Raymond
James
Financial,
Inc.
11,885
1,539
Regions
Financial
Corp.
91,773
1,767
Reinsurance
Group
of
America,
Inc.
Class
A
9,053
997
RenaissanceRe
Holdings,
Ltd.
29
4
Rocket
Companies,
Inc.
Class
A
44,237
763
Ryman
Hospitality
Properties,
Inc.(Æ)(ö)
177,986
13,652
SLM
Corp.
807,564
15,206
State
Street
Corp.
13,883
1,210
Synchrony
Financial
54,839
2,579
Travelers
Cos.,
Inc.
(The)
20,578
3,064
Truist
Financial
Corp.
122,454
6,665
Two
Harbors
Investment
Corp.(ö)
1,967,149
12,609
US
Bancorp
107,896
5,993
Visa,
Inc.
Class
A
364,210
89,738
Wells
Fargo
&
Co.
1,206,164
55,411
779,476
Health
Care
-
15.0%
10x
Genomics,
Inc.
Class
A(Æ)
174,114
31,903
Abbott
Laboratories
67,828
8,206
AbbVie,
Inc.
198,208
23,052
Abiomed
,
Inc.(Æ)
3,128
1,023
Agilent
Technologies,
Inc.
27,508
4,215
Align
Technology,
Inc.(Æ)
64,374
44,791
Alkermes
PLC(Æ)
94,763
2,452
Alnylam
Pharmaceuticals,
Inc.(Æ)
15,665
2,803
Amgen,
Inc.
22,600
5,459
Anthem,
Inc.(Æ)
7,272
2,793
AstraZeneca
PLC
-
ADR
424,430
24,294
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Baxter
International,
Inc.
26,553
2,054
Becton
Dickinson
and
Co.
17,186
4,395
Biogen,
Inc.(Æ)
18,123
5,921
BioMarin
Pharmaceutical,
Inc.(Æ)
6,613
507
Boston
Scientific
Corp.(Æ)
62,153
2,834
Bristol-Myers
Squibb
Co.
304,888
20,693
Centene
Corp.(Æ)
44,103
3,026
Cerner
Corp.
42,122
3,386
Cigna
Corp.
17,170
3,940
Cooper
Cos.,
Inc.
(The)
5,586
2,356
DexCom
,
Inc.(Æ)
5,748
2,963
Edwards
Lifesciences
Corp.(Æ)
518,308
58,190
Eli
Lilly
&
Co.
27,837
6,778
Exact
Sciences
Corp.(Æ)
9,735
1,050
Exelixis
,
Inc.(Æ)
92,124
1,552
Gilead
Sciences,
Inc.
43,802
2,991
GlaxoSmithKline
PLC
-
ADR
414,454
16,636
Haemonetics
Corp.(Æ)
145,327
8,834
HCA
Healthcare,
Inc.
6,315
1,567
Hologic
,
Inc.(Æ)
14,690
1,102
Humana,
Inc.
2,749
1,171
IDEXX
Laboratories,
Inc.(Æ)
2,975
2,019
Illumina,
Inc.(Æ)
2,905
1,440
Incyte
Corp.(Æ)
30,662
2,372
Insulet
Corp.(Æ)
2,810
786
Integra
LifeSciences
Holdings
Corp.(Æ)
7,553
547
Intra-Cellular
Therapies,
Inc.
Class
A(Æ)
193,334
6,637
Intuitive
Surgical,
Inc.(Æ)
55,179
54,708
Jazz
Pharmaceuticals
PLC(Æ)
81,605
13,834
Johnson
&
Johnson
304,001
52,349
Laboratory
Corp.
of
America
Holdings(Æ)
14,684
4,349
Masimo
Corp.(Æ)
3,966
1,080
Medtronic
PLC
150,508
19,763
Moderna
,
Inc.(Æ)
20,912
7,395
Neurocrine
Biosciences,
Inc.(Æ)
5,389
502
Organon
&
Co.
9,274
269
Pfizer,
Inc.
768,412
32,896
Quest
Diagnostics,
Inc.
8,708
1,235
Regeneron
Pharmaceuticals,
Inc.(Æ)
5,232
3,006
ResMed
,
Inc.
16,758
4,555
Sage
Therapeutics,
Inc.(Æ)
17,324
758
Seagen
,
Inc.(Æ)
7,553
1,159
STERIS
PLC
8,595
1,873
Stryker
Corp.
19,781
5,359
Teleflex,
Inc.
2,802
1,114
Thermo
Fisher
Scientific,
Inc.
17,440
9,418
United
Therapeutics
Corp.(Æ)
17,834
3,245
UnitedHealth
Group,
Inc.
41,534
17,121
Veeva
Systems,
Inc.
Class
A(Æ)
127,429
42,397
Vertex
Pharmaceuticals,
Inc.(Æ)
18,264
3,682
Viatris
,
Inc.
914,001
12,860
West
Pharmaceutical
Services,
Inc.
13,286
5,470
Zimmer
Biomet
Holdings,
Inc.
67,016
10,952
Zoetis,
Inc.
Class
A
31,399
6,365
634,452
Materials
and
Processing
-
3.7%
Air
Products
&
Chemicals,
Inc.
927
270
Alcoa
Corp.(Æ)
331,280
13,301
Ball
Corp.
26,410
2,136
Russell
Investment
Company
U.S.
Strategic
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
U.S.
Strategic
Equity
Fund
15
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Berry
Plastics
Group,
Inc.(Æ)
17,431
1,121
Carrier
Global
Corp.
36,048
1,992
Copart
,
Inc.(Æ)
11,271
1,657
Crown
Holdings,
Inc.
146,984
14,663
Dow,
Inc.
29,814
1,853
DowDuPont
,
Inc.
288,343
21,640
Eastman
Chemical
Co.
101,542
11,446
Ecolab,
Inc.
559
123
Fastenal
Co.
27,014
1,480
Freeport-McMoRan,
Inc.
52,181
1,988
Huntsman
Corp.
725,702
19,166
International
Paper
Co.
61,665
3,562
Lennox
International,
Inc.
3,495
1,151
Linde
PLC(Æ)
17,602
5,411
LyondellBasell
Industries
NV
Class
A
22,865
2,271
Newmont
Corp.
503,898
31,655
Nucor
Corp.
40,402
4,203
Owens
Corning
3,365
324
Reliance
Steel
&
Aluminum
Co.
2,803
440
Sherwin-Williams
Co.
(The)
3,049
887
Southern
Copper
Corp.
68,755
4,513
Steel
Dynamics,
Inc.
15,418
994
Trane
Technologies
PLC
28,704
5,844
Westrock
Co.
14,537
715
154,806
Producer
Durables
-
5.4%
3M
Co.
12,249
2,425
Ametek
,
Inc.
3,118
434
Aptiv
PLC(Æ)
10,656
1,778
Avery
Dennison
Corp.
4,333
913
Booz
Allen
Hamilton
Holding
Corp.
Class
A
10,010
859
Carlisle
Cos.,
Inc.
7,066
1,429
Caterpillar,
Inc.
4,181
864
CH
Robinson
Worldwide,
Inc.
19,423
1,732
Cintas
Corp.
6,621
2,610
CoStar
Group,
Inc.(Æ)
40,810
3,626
CSX
Corp.
55,395
1,790
Cummins,
Inc.
19,734
4,580
Danaher
Corp.
27,965
8,319
Deere
&
Co.
6,005
2,171
Eaton
Corp.
PLC
14,926
2,359
Emerson
Electric
Co.
21,989
2,218
Expeditors
International
of
Washington,
Inc.
14,707
1,886
FedEx
Corp.
74,524
20,863
General
Dynamics
Corp.
3,063
600
Gentex
Corp.
5,148
175
Honeywell
International,
Inc.
32,621
7,626
IDEX
Corp.
3,590
814
IHS
Markit
,
Ltd.(Æ)
20,885
2,440
Illinois
Tool
Works,
Inc.
9,751
2,210
Johnson
Controls
International
PLC(Æ)
94,509
6,750
Kansas
City
Southern
12,439
3,331
Keysight
Technologies,
Inc.(Æ)
5,940
977
Lockheed
Martin
Corp.
7,714
2,867
Magna
International,
Inc.
Class
A
131,590
11,031
Norfolk
Southern
Corp.
4,770
1,230
Northrop
Grumman
Corp.
6,024
2,187
Old
Dominion
Freight
Line,
Inc.
3,547
955
Otis
Worldwide
Corp.
18,034
1,615
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
PACCAR
Financial
Corp.
35,058
2,909
Paychex,
Inc.
6,219
708
Quanta
Services,
Inc.
37,203
3,382
Republic
Services,
Inc.
Class
A
20,865
2,470
Roper
Technologies,
Inc.
5,775
2,838
S&P
Global,
Inc.
1,210
519
Snap-on,
Inc.
8,918
1,944
Stanley
Black
&
Decker,
Inc.
4,646
916
Textron,
Inc.
208,314
14,376
Toro
Co.
(The)
18,395
2,092
TreeHouse
Foods,
Inc.(Æ)
297,553
13,211
Union
Pacific
Corp.
15,584
3,409
United
Parcel
Service,
Inc.
Class
B
46,071
8,816
United
Rentals,
Inc.(Æ)
8,004
2,638
Verisk
Analytics,
Inc.
Class
A
14,411
2,737
Vontier
Corp.
559,187
18,090
Waste
Management,
Inc.
252,742
37,472
Waters
Corp.(Æ)
2,227
868
Westinghouse
Air
Brake
Technologies
Corp.
9,916
842
XPO
Logistics,
Inc.(Æ)
14,464
2,006
227,907
Technology
-
28.7%
Accenture
PLC
Class
A
21,366
6,788
Activision
Blizzard,
Inc.
13,687
1,145
Adobe,
Inc.(Æ)
62,051
38,573
Advanced
Micro
Devices,
Inc.(Æ)
62,172
6,602
Airbnb,
Inc.
Class
A(Æ)
142,128
20,468
Alphabet,
Inc.
Class
A(Æ)
16,272
43,845
Alphabet,
Inc.
Class
C(Æ)
9,097
24,602
Amphenol
Corp.
Class
A
29,248
2,120
Analog
Devices,
Inc.
35,293
5,909
Ansys
,
Inc.(Æ)
231
85
Apple,
Inc.
619,624
90,378
Applied
Materials,
Inc.
49,262
6,893
Arista
Networks,
Inc.(Æ)
43,341
16,487
Automatic
Data
Processing,
Inc.
8,811
1,847
Broadcom,
Inc.
17,655
8,570
CACI
International,
Inc.
Class
A(Æ)
2,300
614
Cadence
Design
Systems,
Inc.(Æ)
18,371
2,712
CDW
Corp.
4,593
842
Cisco
Systems,
Inc.
177,754
9,842
Cognizant
Technology
Solutions
Corp.
Class
A
113,468
8,343
Corning,
Inc.
45,235
1,894
Corteva
,
Inc.
487,055
20,836
Coupa
Software,
Inc.(Æ)
129,692
28,143
Datadog
,
Inc.
Class
A(Æ)
349,970
38,742
Dell
Technologies,
Inc.
Class
C(Æ)
44,963
4,344
DXC
Technology
Co.(Æ)
308,780
12,345
Electronic
Arts,
Inc.
5,960
858
Entegris
,
Inc.
6,469
780
F5
Networks,
Inc.(Æ)
13,506
2,789
Facebook,
Inc.
Class
A(Æ)
126,390
45,033
Fidelity
National
Information
Services,
Inc.
12,476
1,860
Fiserv,
Inc.(Æ)
15,236
1,754
Fortinet,
Inc.(Æ)
8,065
2,196
Hewlett
Packard
Enterprise
Co.
Class
H
197,056
2,857
HP,
Inc.(Æ)
166,272
4,800
Intel
Corp.
225,631
12,121
Russell
Investment
Company
U.S.
Strategic
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
16
U.S.
Strategic
Equity
Fund
cif
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
International
Business
Machines
Corp.
26,062
3,674
Intuit,
Inc.
10,186
5,398
Juniper
Networks,
Inc.
834,706
23,489
KLA
Corp.
13,017
4,532
Lam
Research
Corp.
6,766
4,313
Leidos
Holdings,
Inc.
20,263
2,156
Marvell
Technology
Group,
Ltd.
169,679
10,267
Match
Group,
Inc.(Æ)
299,558
47,711
Maxim
Integrated
Products,
Inc.
28,351
2,833
Microchip
Technology,
Inc.
21,852
3,127
Micron
Technology,
Inc.
310,129
24,060
Microsoft
Corp.
707,916
201,692
Monolithic
Power
Systems,
Inc.
5,444
2,446
Motorola
Solutions,
Inc.
11,497
2,574
NVIDIA
Corp.
110,528
21,552
ON
Semiconductor
Corp.(Æ)
59,963
2,342
Oracle
Corp.
56,289
4,905
Paycom
Software,
Inc.(Æ)
93,804
37,522
Qorvo
,
Inc.(Æ)
7,900
1,498
QUALCOMM,
Inc.
47,766
7,155
Raytheon
Technologies
Corp.(Æ)
50,393
4,382
Salesforce.com,
Inc.(Æ)
27,770
6,718
ServiceNow
,
Inc.(Æ)
92,703
54,499
Skyworks
Solutions,
Inc.
18,965
3,499
Snowflake,
Inc.
Class
A(Æ)
168,317
44,725
Synopsys,
Inc.(Æ)
5,711
1,645
Take-Two
Interactive
Software,
Inc.(Æ)
12,852
2,229
Teradyne,
Inc.
28,482
3,617
Texas
Instruments,
Inc.
48,954
9,332
Twilio
,
Inc.
Class
A(Æ)
167,781
62,681
Uber
Technologies,
Inc.(Æ)
1,356,026
58,933
Wix.com,
Ltd.(Æ)
107,129
31,993
Workday,
Inc.
Class
A(Æ)
3,510
823
Xilinx,
Inc.
11,399
1,708
Zoom
Video
Communications,
Inc.
Class
A(Æ)
82,735
31,282
Zynga,
Inc.
Class
A(Æ)
230,931
2,332
1,211,661
Utilities
-
4.3%
American
Electric
Power
Co.,
Inc.
8,378
738
AT&T,
Inc.
854,756
23,976
Avangrid
,
Inc.
27,409
1,429
Cheniere
Energy,
Inc.(Æ)
24,435
2,075
Consolidated
Edison,
Inc.
26,161
1,930
Dominion
Energy,
Inc.
7,331
549
DT
Midstream,
Inc.
5,503
233
DTE
Energy
Co.
11,007
1,291
Duke
Energy
Corp.
39,298
4,131
Edison
International
330,707
18,024
Evergy
,
Inc.
38,147
2,488
Eversource
Energy(Æ)
19,150
1,652
Exelon
Corp.
70,530
3,301
FirstEnergy
Corp.
452,794
17,351
National
Fuel
Gas
Co.
16,180
832
NextEra
Energy,
Inc.
53,807
4,192
NiSource,
Inc.
694,906
17,213
Pinnacle
West
Capital
Corp.
14,728
1,230
PPL
Corp.
517,697
14,687
Public
Service
Enterprise
Group,
Inc.
12,533
780
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Sempra
Energy
10,893
1,423
Southern
Co.
(The)
25,958
1,658
T-Mobile
USA,
Inc.(Æ)
263,528
37,953
UGI
Corp.
186,000
8,554
Verizon
Communications,
Inc.
219,631
12,251
WEC
Energy
Group,
Inc.(Æ)
29,263
2,755
182,696
Total
Common
Stocks
(cost
$2,696,692)
4,064,654
Short-Term
Investments
-
3.0%
U.S.
Cash
Management
Fund(@)
127,750,715
(∞)
127,725
Total
Short-Term
Investments
(cost
$127,725)
127,725
Total
Investments
-
99.3%
(identified
cost
$2,824,417)
4,192,379
Other
Assets
and
Liabilities,
Net
-
0.7%
30,698
Net
Assets
-
100.0%
4,223,077
Russell
Investment
Company
U.S.
Strategic
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
U.S.
Strategic
Equity
Fund
17
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
S&P
500
E-Mini
Index
Futures
205
USD
44,992
09/21
1,407
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
1,407
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical    
Expedient
(a)
Total
Common
Stocks
Consumer
Discretionary
$
600,453
$
$
$
$
600,453
Consumer
Staples
198,401
198,401
Energy
74,802
74,802
Financial
Services
779,476
779,476
Health
Care
634,452
634,452
Materials
and
Processing
154,806
154,806
Producer
Durables
227,907
227,907
Technology
1,211,661
1,211,661
Utilities
182,696
182,696
Short-Term
Investments
127,725
127,725
Total
Investments
4,064,654
127,725
4,192,379
Other
Financial
Instruments
Assets
Futures
Contracts
1,407
1,407
Total
Other
Financial
Instruments
*
$
1,407
$
$
$
$
1,407
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Russell
Investment
Company
U.S.
Small
Cap
Equity
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
18
U.S.
Small
Cap
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Common
Stocks
-
99.4%
Consumer
Discretionary
-
12.5%
1-800-Flowers.com,
Inc.
Class
A(Æ)
38,374
1,170
Abercrombie
&
Fitch
Co.
Class
A(Æ)(Ð)
45,080
1,704
Academy
Sports
and
Outdoors,
Inc.(Æ)(Û)
56,064
2,078
Adtalem
Global
Education,
Inc.(Æ)(Ð)
18,060
656
AerSale
Corp.(Æ)(Ñ)
73,781
840
Altice
USA,
Inc.
Class
A(Æ)(Û)
3,723
114
Amerco
,
Inc.(Û)
812
477
American
Axle
&
Manufacturing
Holdings,
Inc.(Æ)(Ð)
195,224
1,892
American
Eagle
Outfitters,
Inc.
18,434
635
American
Outdoor
Brands,
Inc.(Æ)
6,220
168
American
Public
Education,
Inc.(Æ)
54,212
1,605
America's
Car-Mart,
Inc.(Æ)
36,183
5,753
Audacy
,
Inc.(Æ)
59,269
212
B.
Riley
Financial,
Inc.
53,046
3,584
Barnes
&
Noble
Education,
Inc.(Æ)
120,034
1,002
Bassett
Furniture
Industries,
Inc.(Ð)
3,268
74
Beazer
Homes
USA,
Inc.(Æ)
23,892
436
BJ's
Restaurants,
Inc.(Æ)
68,301
2,772
Bluegreen
Vacations
Holding
Corp.(Æ)
29,102
504
Boot
Barn
Holdings,
Inc.(Æ)
84,124
7,270
Boston
Omaha
Corp.
Class
A(Æ)
54,588
1,786
Brinker
International,
Inc.(Æ)
58,438
3,176
Buckle,
Inc.
(The)
17,044
717
Cable
One,
Inc.(Ð)(Û)
104
196
Caleres
,
Inc.
139,805
3,459
Cardlytics,
Inc.(Æ)
22,374
2,818
Carriage
Services,
Inc.
Class
A
5,143
191
Carrols
Restaurant
Group,
Inc.(Æ)
205,433
1,008
Carter's,
Inc.
27,746
2,712
Cavco
Industries,
Inc.(Æ)
13,708
3,221
Celestica,
Inc.(Æ)
186,258
1,652
Central
Garden
&
Pet
Co.
Class
A(Æ)
7,594
329
Century
Casinos,
Inc.(Æ)
209,482
2,348
Century
Communities,
Inc.
15,119
1,050
Citi
Trends,
Inc.(Æ)
9,771
779
Conn's,
Inc.(Æ)
18,700
416
Container
Store
Group,
Inc.
(The)(Æ)(Ð)
24,749
260
Cooper-Standard
Holdings,
Inc.(Æ)(Ð)
15,178
395
Cracker
Barrel
Old
Country
Store,
Inc.
6,661
907
Crocs,
Inc.(Æ)
12,203
1,657
Dana
Holding
Corp.(Ð)
135,534
3,274
Del
Taco
Restaurants,
Inc.(Æ)
143,870
1,224
Delta
Apparel,
Inc.(Æ)
44,685
1,430
Denny's
Corp.(Æ)
43,311
609
Designer
Brands,
Inc.
Class
A(Æ)
115,107
1,677
Dillard's,
Inc.
Class
A
10,159
1,862
Dine
Brands
Global,
Inc.(Æ)
3,171
246
Drive
Shack,
Inc.(Æ)
149,918
378
Escalade,
Inc.
16,734
380
Ethan
Allen
Interiors,
Inc.
22,473
534
Everi
Holdings,
Inc.(Æ)
47,244
1,072
Fiesta
Restaurant
Group,
Inc.(Æ)
55,557
744
First
Cash
Financial
Services,
Inc.
10,134
803
Foot
Locker,
Inc.
26,437
1,508
Fossil
Group,
Inc.(Æ)
139,777
1,764
Franklin
Covey
Co.(Æ)
20,050
734
Genesco,
Inc.(Æ)
66,253
3,806
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
GMS,
Inc.(Æ)
15,960
784
Goodyear
Tire
&
Rubber
Co.
(The)(Æ)
140,957
2,214
GoPro,
Inc.
Class
A(Æ)(Ð)
141,920
1,453
Gray
Television,
Inc.
55,622
1,233
Group
1
Automotive,
Inc.
5,144
894
H&R
Block,
Inc.
91,571
2,248
Hamilton
Beach
Brands
Holding
Co.
Class
A
49,881
932
HealthStream
,
Inc.(Æ)
13,198
386
Hibbett
Sports,
Inc.
15,422
1,367
Horizon
Global
Corp.(Æ)
147,081
1,309
IAC/InterActiveCorp.(Æ)(Û)
1,118
153
iHeartMedia
,
Inc.
Class
A(Æ)(Û)
19,979
516
iMedia
Brands,
Inc.(Æ)
82,818
528
International
Game
Technology
PLC(Æ)
154,266
2,893
IntriCon
Corp.(Æ)
22,406
538
JOANN,
Inc.
116,804
1,806
KB
Home
46,480
1,973
Kontoor
Brands,
Inc.(Ð)(Û)
52,854
2,928
Kura
Sushi
USA,
Inc.
Class
A(Æ)
37,295
1,813
Lands'
End,
Inc.(Æ)
14,295
548
Landsea
Homes
Corp.(Æ)
223,511
1,880
Laureate
Education,
Inc.
Class
A(Æ)
23,818
353
La-Z-Boy,
Inc.
11,194
376
Liberty
TripAdvisor
Holdings,
Inc.
Class
A(Æ)
80,340
336
Lumber
Liquidators
Holdings,
Inc.(Æ)
19,424
371
M/I
Homes,
Inc.(Æ)(Ð)
5,210
337
Madison
Square
Garden
Entertainment
Corp.
(Æ)
26,972
1,887
Madison
Square
Garden
Sports
Corp.
Class
A(Æ)(Ð)(Û)
8,089
1,316
Marchex
,
Inc.
Class
B(Æ)
12,919
33
MarineMax
,
Inc.(Æ)
17,031
916
MasterCraft
Boat
Holdings,
Inc.(Æ)
23,736
633
Meredith
Corp.(Æ)(Û)
7,152
312
Meritor,
Inc.(Æ)(Ð)
22,940
558
Monro
Muffler
Brake,
Inc.
33,509
1,944
Motorcar
Parts
of
America,
Inc.(Æ)
32,420
721
Movado
Group,
Inc.
52,432
1,577
Nathan's
Famous,
Inc.
5,900
379
National
Presto
Industries,
Inc.
4,139
399
Noodles
&
Co.
Class
A(Æ)(Ð)
14,667
175
nVent
Electric
PLC
69,472
2,196
OneWater
Marine,
Inc.
Class
A
1,437
68
Overstock.com,
Inc.(Æ)
8,588
598
Perdoceo
Education
Corp.(Æ)(Ð)
28,825
342
Potbelly
Corp.(Æ)
88,031
614
QuinStreet
,
Inc.(Æ)
99,149
1,818
Qurate
Retail,
Inc.
Class
A
173,491
2,058
REV
Group,
Inc.
16,750
253
Sally
Beauty
Holdings,
Inc.(Æ)
51,835
981
Scholastic
Corp.
55,849
1,877
Scientific
Games
Corp.
Class
A(Æ)
31,233
1,927
Service
Corp.
International(Û)
7,688
480
Shoe
Carnival,
Inc.
3,080
104
Shutterstock
,
Inc.
6,496
705
Signet
Jewelers,
Ltd.(Ð)
20,139
1,296
Sinclair
Broadcast
Group,
Inc.
Class
A
13,684
387
Skyline
Champion
Corp.(Æ)
135,632
7,651
SMART
Global
Holdings,
Inc.(Æ)(Ð)
85,015
3,982
Russell
Investment
Company
U.S.
Small
Cap
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
U.S.
Small
Cap
Equity
Fund
19
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Sonic
Automotive,
Inc.
Class
A
12,902
704
Stamps.com,
Inc.(Æ)
3,779
1,235
Stride,
Inc.(Æ)
31,923
979
TEGNA,
Inc.
22,423
397
Tenneco,
Inc.
Class
A(Æ)(Ð)
83,864
1,460
Texas
Roadhouse,
Inc.
Class
A
54,491
5,022
The
Aaron's
Co.,
Inc.
84,978
2,453
Tilly's,
Inc.
Class
A
3,325
49
Townsquare
Media,
Inc.
Class
A(Æ)
190,477
2,341
Travelzoo
,
Inc.(Æ)
27,637
380
Universal
Electronics,
Inc.(Æ)
36,037
1,684
Universal
Technical
Institute,
Inc.(Æ)(Ð)
7,281
44
Vista
Outdoor,
Inc.(Æ)
65,249
2,635
Visteon
Corp.(Æ)
12,404
1,415
WideOpenWest
,
Inc.(Æ)
21,742
484
Wingstop
,
Inc.(Ð)
13,375
2,291
Wolverine
World
Wide,
Inc.
91,436
3,067
WW
International,
Inc.(Æ)
21,262
654
Wyndham
Hotels
&
Resorts,
Inc.
32,301
2,328
YETI
Holdings,
Inc.(Æ)
44,230
4,261
Zumiez
,
Inc.(Æ)
13,256
579
186,886
Consumer
Staples
-
3.4%
Adecoagro
SA(Æ)
86,359
826
Albertsons
Co.,
Inc.
Class
A(Û)
69,800
1,508
Alico
,
Inc.
21,824
825
Andersons,
Inc.
(The)
40,976
1,094
Bunge,
Ltd.(Û)
40,086
3,112
Coca-Cola
Consolidated,
Inc.
1,814
724
elf
Beauty,
Inc.(Æ)
348,105
9,612
Energizer
Holdings,
Inc.
-
GDR(Æ)
41,699
1,713
Farmer
Brothers
Co.(Æ)
92,204
893
Fresh
Del
Monte
Produce,
Inc.(Ð)
26,504
818
Grocery
Outlet
Holding
Corp.(Æ)
125,004
4,141
Helen
of
Troy,
Ltd.(Æ)
4,092
914
Herbalife
Nutrition,
Ltd.(Æ)(Û)
30,044
1,530
Ingles
Markets,
Inc.
Class
A
8,389
501
Ingredion,
Inc.
29,587
2,598
J&J
Snack
Foods
Corp.
14,061
2,311
Lancaster
Colony
Corp.
3,691
730
Lifevantage
Corp.(Æ)
8,641
70
Medifast
,
Inc.
5,234
1,494
MGP
Ingredients,
Inc.
4,918
293
Nomad
Foods,
Ltd.(Æ)
50,447
1,318
Performance
Food
Group
Co.(Æ)
21,167
970
Pilgrim's
Pride
Corp.(Æ)(Û)
25,709
569
Post
Holdings,
Inc.(Æ)(Ð)(Û)
6,337
649
Primo
Water
Corp.
55,111
911
Quanex
Building
Products
Corp.
63,520
1,578
Rite
Aid
Corp.(Æ)
25,365
386
Sanderson
Farms,
Inc.(Û)
18,302
3,420
SpartanNash
Co.
12,657
246
Spectrum
Brands
Holdings,
Inc.(Û)
28,113
2,455
Turning
Point
Brands,
Inc.
37,737
2,001
United
Natural
Foods,
Inc.(Æ)(Ð)
33,053
1,094
USANA
Health
Sciences,
Inc.(Æ)
618
59
51,363
Energy
-
3.4%
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Antero
Resources
Corp.(Æ)
108,359
1,474
Arch
Coal,
Inc.(Æ)
30,669
2,016
Berry
Petroleum
Corp.
6,132
34
ChampionX
Corp.(Æ)
112,171
2,607
CONSOL
Energy,
Inc.(Æ)
4,598
97
CVR
Energy,
Inc.
14,800
202
Delek
US
Holdings,
Inc.
194,570
3,381
Exterran
Corp.(Æ)
10,951
48
Green
Brick
Partners,
Inc.(Æ)
262,215
6,574
Hostess
Brands,
Inc.
Class
A(Æ)
25,378
408
Liberty
Oilfield
Services,
Inc.
Class
A(Æ)
49,301
502
Luxfer
Holdings
PLC
-
ADR
80,476
1,678
Marathon
Oil
Corp.(Û)
182,455
2,115
Matrix
Service
Co.(Æ)
190,783
2,081
Nabors
Industries,
Inc.(Æ)
1,562
137
National
Energy
Servicees
Reunited
Corp.(Æ)
463,320
5,977
Natural
Gas
Services
Group,
Inc.(Æ)
81,851
819
Newpark
Resources,
Inc.(Æ)
234,740
758
NexTier
Oilfield
Solutions,
Inc.(Æ)
411,548
1,572
NOW,
Inc.(Æ)
56,460
557
Oil
States
International,
Inc.(Æ)
60,927
345
Par
Pacific
Holdings,
Inc.(Æ)(Ð)
37,440
613
Patterson-UTI
Energy,
Inc.
368,960
2,959
PBF
Energy,
Inc.
Class
A(Æ)(Ð)
62,979
578
Peabody
Energy
Corp.(Æ)
57,954
679
REX
American
Resources
Corp.(Æ)(Ð)
2,858
234
SM
Energy
Co.
125,535
2,348
Solaris
Oilfield
Infrastructure,
Inc.
Class
A
128,339
1,117
SunCoke
Energy,
Inc.
33,807
261
Talon
Metals
Corp.(Æ)(Ñ)
1,025,500
460
Targa
Resources
Corp.(Û)
39,751
1,674
TPI
Composites,
Inc.(Æ)
44,391
1,737
W&T
Offshore,
Inc.(Æ)
328,168
1,329
Warrior
Met
Coal,
Inc.
122,998
2,296
World
Fuel
Services
Corp.
31,092
1,071
50,738
Financial
Services
-
20.6%
AerCap
Holdings
NV(Æ)
36,691
1,945
Agree
Realty
Corp.(ö)
41,341
3,107
Alleghany
Corp.(Æ)(Û)
1,747
1,158
Alliance
Data
Systems
Corp.
15,201
1,417
Alpine
Income
Property
Trust,
Inc.(ö)
191,739
3,763
Amalgamated
Financial
Corp.
3,796
58
Amerant
Bancorp,
Inc.(Æ)
1,233
27
American
Campus
Communities,
Inc.(ö)
23,266
1,171
American
Equity
Investment
Life
Holding
Co.
24,789
795
Ameris
Bancorp
36,147
1,757
Apple
Hospitality
REIT,
Inc.(ö)
152,982
2,287
Argo
Group
International
Holdings,
Ltd.
12,574
655
Armada
Hoffler
Properties,
Inc.(Ð)(ö)
13,872
180
Assurant,
Inc.(Ð)(Û)
958
151
Atlantic
Capital
Bancshares,
Inc.(Æ)
57,109
1,371
Atlantic
Union
Bankshares
Corp.(Æ)
26,027
923
Axis
Capital
Holdings,
Ltd.
45,310
2,305
Axos
Financial,
Inc.(Æ)
16,831
805
Banc
of
California,
Inc.
419,187
7,177
Bancorp,
Inc.
(The)(Æ)
31,686
741
BancorpSouth
Bank
23,910
617
Russell
Investment
Company
U.S.
Small
Cap
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
20
U.S.
Small
Cap
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
BankUnited
,
Inc.
14,985
593
Banner
Corp.
43,621
2,314
Bar
Harbor
Bankshares
14,687
421
Baycom
Corp.(Æ)
3,795
69
Blucora
,
Inc.(Æ)
163,810
2,762
Bridgewater
Bancshares,
Inc.(Æ)
5,585
91
Brighthouse
Financial,
Inc.(Æ)(Ð)
52,601
2,265
Brixmor
Property
Group,
Inc.(ö)
117,526
2,705
Bryn
Mawr
Bank
Corp.
39,275
1,537
Byline
Bancorp,
Inc.
71,072
1,749
Cadence
Bancorp
221,866
4,216
Cambridge
Bancorp
6,069
519
Capital
Bancorp,
Inc.
39,895
906
Capital
City
Bank
Group,
Inc.
59,046
1,437
Capstar
Financial
Holdings,
Inc.
166,772
3,535
Carter
Bankshares
,
Inc.(Æ)
1,679
19
CatchMark
Timber
Trust,
Inc.
Class
A(ö)
39,180
458
Cathay
General
Bancorp
14,647
555
CBTX,
Inc.
6,348
167
Chemung
Financial
Corp.
632
29
Chimera
Investment
Corp.(ö)
15,130
223
CIT
Group,
Inc.
13,022
628
Civista
Bancshares,
Inc.
35,863
821
Clipper
Realty,
Inc.(ö)
100,412
835
CNO
Financial
Group,
Inc.
68,284
1,560
Columbia
Banking
System,
Inc.
19,245
672
Community
Bank
System,
Inc.
8,776
629
CorEnergy
Infrastructure
Trust,
Inc.(ö)
6,609
36
CorePoint
Lodging,
Inc.(Æ)(ö)
12,462
167
Cousins
Properties,
Inc.(ö)
59,284
2,355
Cowen
Group,
Inc.
Class
A
65,865
2,633
CTO
Realty
Growth,
Inc.(Ð)(ö)
61,212
3,439
Curo
Group
Holdings
Corp.
49,921
787
Customers
Bancorp,
Inc.(Æ)(Ð)
23,770
861
CVB
Financial
Corp.
79,019
1,506
DigitalBridge
Group,
Inc.(Æ)(Ð)(ö)
208,143
1,449
Diversified
Healthcare
Trust(Æ)(Ð)
14,459
56
Donegal
Group,
Inc.
Class
A
43,719
676
Easterly
Government
Properties,
Inc.(ö)
50,015
1,135
Eastern
Bankshares
,
Inc.
30,228
552
EastGroup
Properties,
Inc.(ö)
4,035
711
Emerald
Holding,
Inc.(Æ)
145,851
576
Employers
Holdings,
Inc.
1,832
76
Encore
Capital
Group,
Inc.(Æ)(Ð)
13,912
659
Enova
International,
Inc.(Æ)(Ð)
18,874
625
Enstar
Group,
Ltd.(Æ)
3,116
801
Enterprise
Financial
Services
Corp.
24,556
1,094
Equity
Commonwealth(ö)
32,698
860
Essent
Group,
Ltd.
66,870
3,021
Evercore
,
Inc.
Class
A
4,489
593
Everest
Re
Group,
Ltd.(Ð)
3,592
908
EZCORP,
Inc.
Class
A(Æ)(Ð)
308,698
1,766
Farmland
Partners,
Inc.(ö)
900
11
Federal
Agricultural
Mortgage
Corp.
Class
C
31,367
3,058
Federated
Hermes,
Inc.
Class
B
13,954
453
First
BanCorp
61,295
744
First
Community
Corp.
35,337
723
First
Financial
Bankshares
,
Inc.
11,281
551
First
Financial
Corp.
2,372
95
First
Foundation,
Inc.
167,630
3,952
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
First
Internet
Bancorp
17,762
538
First
Interstate
BancSystem
,
Inc.
Class
A
75,537
3,167
First
Merchants
Corp.
47,189
1,922
First
Mid-Illinois
Bancshares,
Inc.
25,363
1,032
Five
Star
Bancorp
63,785
1,554
Flagstar
Bancorp,
Inc.
13,334
610
Flushing
Financial
Corp.
20,359
449
FNB
Corp.
84,589
969
Forestar
Group,
Inc.(Æ)
67,624
1,385
Four
Corners
Property
Trust,
Inc.(ö)
14,765
424
Franchise
Group,
Inc.(Æ)
73,698
2,503
Gaming
and
Leisure
Properties,
Inc.(ö)(Û)
103,939
4,920
Genworth
Financial,
Inc.
Class
A(Æ)
343,709
1,148
GEO
Group,
Inc.
(The)(ö)
135,981
941
Glacier
Bancorp,
Inc.
20,045
1,034
Global
Medical
REIT,
Inc.(ö)
87,155
1,356
Great
Western
Bancorp,
Inc.
13,621
420
Green
Dot
Corp.
Class
A(Æ)(Ð)
31,811
1,466
Greenhill
&
Co.,
Inc.
6,699
107
Greenlight
Capital
Re,
Ltd.
Class
A(Æ)(Ð)
2,488
22
Guaranty
Bancshares,
Inc.
17,397
582
Hallmark
Financial
Services,
Inc.(Æ)(Ð)
17,503
83
Hancock
Holding
Co.
57,266
2,503
Hanmi
Financial
Corp.
12,737
232
Hanover
Insurance
Group,
Inc.
(The)(Ð)
16,238
2,207
HarborOne
Bancorp,
Inc.
6,365
87
Heritage
Insurance
Holdings,
Inc.
2,288
17
Hilltop
Holdings,
Inc.
21,324
676
Home
Bancorp,
Inc.
14,041
493
Home
BancShares
,
Inc.
194,445
4,119
HomeStreet
,
Inc.
118,897
4,483
HomeTrust
Bancshares,
Inc.
5,315
140
Horace
Mann
Educators
Corp.
18,410
733
Houlihan
Lokey
,
Inc.
Class
A
20,799
1,853
Howard
Hughes
Corp.
(The)(Æ)(Ð)(Û)
8,307
770
Hudson
Pacific
Properties,
Inc.(ö)
66,387
1,810
I3
Verticals,
Inc.
Class
A(Æ)
103,878
3,316
Independent
Bank
Corp.
50,584
1,064
Innovative
Industrial
Properties,
Inc.(ö)
9,165
1,970
International
Bancshares
Corp.
10,964
428
Investar
Holding
Corp.
40,153
881
Investors
Bancorp,
Inc.
38,722
535
iStar
,
Inc.(ö)
45,235
1,096
James
River
Group
Holdings,
Ltd.
61,152
2,225
Kearny
Financial
Corp.
187,600
2,257
Kemper
Corp.
24,146
1,594
Kennedy-Wilson
Holdings,
Inc.
14,481
292
Ladder
Capital
Corp.
Class
A(ö)
87,254
996
LendingClub
Corp.(Æ)(Ð)
88,355
2,156
LendingTree
,
Inc.(Æ)
12,720
2,483
Live
Oak
Bancshares,
Inc.
10,106
608
LTC
Properties,
Inc.(ö)
39,379
1,490
Merchants
Bancorp
6,578
241
Metropolitan
Bank
Holding
Corp.(Æ)
11,460
814
MFA
Financial,
Inc.(ö)
297,056
1,387
MoneyGram
International,
Inc.(Æ)
98,046
1,014
Mr.
Cooper
Group,
Inc.(Æ)
22,862
850
National
Bank
Holdings
Corp.
Class
A
104,975
3,723
National
Retail
Properties,
Inc.(ö)
45,012
2,200
New
York
Mortgage
Trust,
Inc.(ö)
109,572
479
Russell
Investment
Company
U.S.
Small
Cap
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
U.S.
Small
Cap
Equity
Fund
21
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
NexPoint
Residential
Trust,
Inc.(ö)
4,919
290
NMI
Holdings,
Inc.
Class
A(Æ)
127,247
2,802
Northeast
Bank
45,520
1,453
Northrim
BanCorp
,
Inc.
613
25
OceanFirst
Financial
Corp.
40,958
799
ODP
Corp.
(The)(Æ)
20,395
965
Office
Properties
Income
Trust(ö)
24,013
696
OFG
Bancorp
19,457
449
Old
National
Bancorp
78,595
1,265
Old
Second
Bancorp,
Inc.
126,381
1,463
Oportun
Financial
Corp.(Æ)
30,230
637
Origin
Bancorp,
Inc.
895
36
Pacific
Premier
Bancorp,
Inc.
17,449
663
PCB
Bancorp(Æ)
126,095
2,388
PCSB
Financial
Corp.
123,509
2,228
Peapack
Gladstone
Financial
Corp.
8,744
282
PennyMac
Financial
Services,
Inc.(Ð)
26,804
1,685
Peoples
Bancorp,
Inc.
120,146
3,544
Piedmont
Office
Realty
Trust,
Inc.
Class
A(ö)
19,629
373
Plymouth
Industrial
REIT,
Inc.(ö)
103,804
2,396
Popular,
Inc.
80,289
5,841
Potlatch
Corp.(ö)
22,546
1,171
PRA
Group,
Inc.(Æ)
11,107
431
Premier
Financial
Corp.
119,541
3,201
Primis
Financial
Corp.(Æ)
55,468
863
ProAssurance
Corp.
19,301
391
PROG
Holdings,
Inc.
66,028
2,890
PS
Business
Parks,
Inc.(ö)
3,989
613
Pzena
Investment
Management,
Inc.
Class
A
163,230
1,869
QCR
Holdings,
Inc.
33,303
1,635
QTS
Realty
Trust,
Inc.
Class
A(ö)
22,656
1,761
Radian
Group,
Inc.
28,962
654
Rayonier,
Inc.(ö)
67,450
2,544
Realogy
Holdings
Corp.(Æ)(Ð)
92,716
1,643
Redfin
Corp.(Æ)
8,047
471
Reinsurance
Group
of
America,
Inc.
Class
A(Û)
19,599
2,159
RenaissanceRe
Holdings,
Ltd.(Ð)
14,718
2,247
Renasant
Corp.
14,546
512
Repay
Holdings
Corp.(Æ)
127,788
3,183
Retail
Value,
Inc.(ö)
24,342
595
Riverview
Bancorp,
Inc.
44,742
312
RLI
Corp.
3,778
409
RMR
Group,
Inc.
(The)
Class
A
42,736
1,677
Sculptor
Capital
Management,
Inc.
15,491
360
Selective
Insurance
Group,
Inc.
30,621
2,491
ServisFirst
Bancshares,
Inc.
5,334
379
Sierra
Bancorp
3,150
76
Silvercrest
Asset
Management
Group,
Inc.
Class
A
72,665
1,160
Simmons
First
National
Corp.
Class
A
16,437
447
SiriusPoint
,
Ltd.(Æ)(Ð)
20,408
200
SLM
Corp.
102,034
1,921
SmartFinancial
,
Inc.
14,526
354
South
State
Corp.
22,110
1,522
Southern
Missouri
Bancorp,
Inc.
12,609
566
SP
Plus
Corp.(Æ)
101,259
3,320
Spirit
Realty
Capital,
Inc.(ö)
30,241
1,519
STAG
Industrial,
Inc.(ö)
45,453
1,878
Stewart
Information
Services
Corp.
49,600
2,927
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
StoneX
Group,
Inc.(Æ)(Ð)
36,207
2,337
Summit
Hotel
Properties,
Inc.(Æ)(ö)
143,294
1,291
Target
Hospitality
Corp.
Class
A(Æ)
288,780
1,034
Terreno
Realty
Corp.(ö)
6,742
461
Territorial
Bancorp,
Inc.
94,867
2,423
Texas
Capital
Bancshares,
Inc.(Æ)(Ð)
21,814
1,374
Tiptree
Financial,
Inc.
Class
A
177,789
1,709
TPG
RE
Finance
Trust,
Inc.(ö)
103,561
1,363
TriCo
Bancshares
21,056
830
Triumph
Bancorp,
Inc.(Æ)
55,768
4,276
UMB
Financial
Corp.
23,706
2,219
UMH
Properties,
Inc.(ö)
162,337
3,780
United
Bankshares
,
Inc.
22,845
789
United
Community
Banks,
Inc.
69,516
2,003
United
Fire
Group,
Inc.
7,070
176
United
Insurance
Holdings
Corp.(Ð)
15,271
67
Universal
Insurance
Holdings,
Inc.
63,343
897
Unum
Group(Ð)
82,748
2,267
Urstadt
Biddle
Properties,
Inc.
Class
A(ö)
22,050
420
Valley
National
Bancorp
181,552
2,340
Velocity
Financial,
Inc.(Æ)
62,051
785
Veritex
Holdings,
Inc.
54,291
1,821
Virtus
Investment
Partners,
Inc.
1,727
477
Voya
Financial,
Inc.(Ð)(Û)
28,375
1,827
Walker
&
Dunlop,
Inc.
6,651
688
Washington
Trust
Bancorp,
Inc.
43,283
2,110
Webster
Financial
Corp.
81,747
3,933
West
Bancorporation,
Inc.
10,069
297
Westamerica
BanCorp
22,469
1,248
Westwood
Holdings
Group,
Inc.
35,216
893
WSFS
Financial
Corp.
13,480
590
309,264
Health
Care
-
19.2%
4D
Molecular
Therapeutics,
Inc.(Æ)
4,091
102
Acadia
Pharmaceuticals,
Inc.(Æ)
36,766
795
Acceleron
Pharma,
Inc.(Æ)
56,083
7,014
Accuray
,
Inc.(Æ)
159,915
656
Aeglea
BioTherapeutics
,
Inc.(Æ)
7,258
44
Aerie
Pharmaceuticals,
Inc.(Æ)(Ð)
37,643
594
Agios
Pharmaceuticals,
Inc.(Æ)(Ð)
66,215
3,184
Akebia
Therapeutics,
Inc.(Æ)(Ð)
177,971
440
Alkermes
PLC(Æ)(Ð)
92,530
2,394
Allakos
,
Inc.(Æ)
5,238
417
Allscripts
Healthcare
Solutions,
Inc.(Æ)(Ð)
123,272
2,105
ALX
Oncology
Holdings,
Inc.(Æ)
15,143
887
Amicus
Therapeutics,
Inc.(Æ)(Ð)
189,073
1,756
AMN
Healthcare
Services,
Inc.(Æ)
7,487
753
Amneal
Pharmaceuticals,
Inc.(Æ)(Ð)
104,109
513
Amphastar
Pharmaceuticals,
Inc.(Æ)
87,397
1,831
AngioDynamics
,
Inc.(Æ)(Ð)
11,516
307
Angion
Biomedica
Corp.(Æ)
89,082
947
ANI
Pharmaceuticals,
Inc.(Æ)(Ð)
58,943
2,000
Anika
Therapeutics,
Inc.(Æ)
68,868
2,764
Antares
Pharma,
Inc.(Æ)
125,553
552
Apellis
Pharmaceuticals,
Inc.(Æ)
30,575
1,956
Applied
Genetic
Technologies
Corp.(Æ)(Ð)
23,980
86
Applied
Therapeutics,
Inc.(Æ)
27,147
467
Ardelyx
,
Inc.(Æ)(Ð)
29,186
51
Arena
Pharmaceuticals,
Inc.(Æ)
52,426
3,243
Russell
Investment
Company
U.S.
Small
Cap
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
22
U.S.
Small
Cap
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Argenx
SE
-
ADR(Æ)
17,303
5,268
Arrowhead
Pharmaceuticals,
Inc.(Æ)
92,114
6,383
Arvinas
,
Inc.(Æ)
21,284
2,152
Ascendis
Pharma
A/S
-
ADR(Æ)
13,188
1,559
Atara
Biotherapeutics
,
Inc.(Æ)(Ð)
9,376
120
Athenex
,
Inc.(Æ)(Ð)
29,963
113
Athira
Pharma,
Inc.(Æ)
76,794
738
Avid
Bioservices
,
Inc.(Æ)
491,422
12,606
AVROBIO,
Inc.(Æ)(Ð)
19,866
146
Axsome
Therapeutics,
Inc.(Æ)
7,114
346
Beam
Therapeutics,
Inc.(Æ)
35,283
3,246
Beyondspring
,
Inc.(Æ)(Ð)
8,149
78
Biohaven
Pharmaceutical
Holding
Co.,
Ltd.
(Æ)
31,454
3,964
BioLife
Solutions,
Inc.(Æ)
255,687
11,993
Bluebird
Bio,
Inc.(Æ)(Ð)
53,498
1,359
Blueprint
Medicines
Corp.(Æ)
23,337
2,051
BridgeBio
Pharma,
Inc.(Æ)
76,005
4,062
Cara
Therapeutics,
Inc.(Æ)(Ð)
21,448
257
Cardiovascular
Systems,
Inc.(Æ)(Ð)
12,226
493
CareDx
,
Inc.(Æ)
11,219
943
Castle
Biosciences,
Inc.(Æ)
5,773
403
Castlight
Health,
Inc.
Class
B(Æ)
72,454
169
Catalyst
Pharmaceuticals,
Inc.(Æ)
45,890
268
Clovis
Oncology,
Inc.(Æ)(Ñ)
90,097
435
Computer
Programs
&
Systems,
Inc.
23,585
745
Concert
Pharmaceuticals,
Inc.(Æ)(Ð)
24,154
80
CONMED
Corp.
34,579
4,770
CorVel
Corp.(Æ)
6,243
879
Crinetics
Pharmaceuticals,
Inc.(Æ)
46,770
841
Cytokinetics,
Inc.(Æ)
89,015
2,642
CytomX
Therapeutics,
Inc.(Æ)
58,125
314
Deciphera
Pharmaceuticals,
Inc.(Æ)(Ð)
55,084
1,680
Denali
Therapeutics,
Inc.(Æ)
27,591
1,408
Dicerna
Pharmaceuticals,
Inc.(Æ)
106,228
3,985
Eagle
Pharmaceuticals,
Inc.(Æ)(Ð)
5,802
270
Editas
Medicine,
Inc.(Æ)(Ñ)
9,513
398
Eiger
BioPharmaceuticals
,
Inc.(Æ)(Ð)
7,122
57
Emergent
BioSolutions
,
Inc.(Æ)
12,461
821
Enanta
Pharmaceuticals,
Inc.(Æ)
11,481
485
Endo
International
PLC(Æ)(Ð)
161,994
820
Ensign
Group,
Inc.
(The)
19,213
1,634
Epizyme
,
Inc.(Æ)(Ð)
29,052
193
Esperion
Therapeutics,
Inc.(Æ)(Ñ)
53,731
827
Exelixis
,
Inc.(Æ)
33,398
563
Fennec
Pharmaceuticals,
Inc.(Æ)(Ñ)
6,044
39
FibroGen
,
Inc.(Æ)(Ð)
76,435
994
Flexion
Therapeutics,
Inc.(Æ)(Ð)
38,310
227
F-Star
Therapeutics,
Inc.(Æ)
89,257
464
G1
Therapeutics,
Inc.(Æ)
88,957
1,540
Global
Blood
Therapeutics,
Inc.(Æ)(Ð)
13,839
378
Gossamer
Bio,
Inc.(Æ)
30,960
243
Halozyme
Therapeutics,
Inc.(Æ)
16,574
685
Hanger,
Inc.(Æ)(Ð)
4,816
118
Heska
Corp.(Æ)
40,644
9,783
Hill-Rom
Holdings,
Inc.
15,996
2,215
Homology
Medicines,
Inc.(Æ)(Ð)
34,805
221
IDEAYA
Biosciences,
Inc.(Æ)
81,175
1,989
IGM
Biosciences,
Inc.(Æ)
16,838
1,145
Impel
Neuropharma
,
Inc.(Æ)
65,461
920
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
InfuSystems
Holdings,
Inc.(Æ)
207,093
3,779
Inhibrx
,
Inc.(Æ)(Ñ)
74,684
2,126
Inozyme
Pharma,
Inc.(Æ)
64,806
1,087
Insmed
,
Inc.(Æ)
24,459
602
Inspire
Medical
Systems,
Inc.(Æ)
4,811
881
Intellia
Therapeutics,
Inc.(Æ)
8,594
1,219
Intercept
Pharmaceuticals,
Inc.(Æ)(Ð)
29,842
516
Invacare
Corp.(Æ)(Ð)
162,030
1,171
Ionis
Pharmaceuticals,
Inc.(Æ)(Ð)
54,639
2,029
iRadimed
Corp.(Æ)
117,745
3,963
iRhythm
Technologies,
Inc.(Æ)
25,110
1,284
Ironwood
Pharmaceuticals,
Inc.
Class
A(Æ)
(Ð)
43,333
575
iTeos
Therapeutics,
Inc.(Æ)
4,339
104
Jazz
Pharmaceuticals
PLC(Æ)(Ð)
2,445
414
Karyopharm
Therapeutics,
Inc.(Æ)(Ð)
22,009
183
Kiniksa
Pharmaceuticals,
Ltd.
Class
A(Æ)(Ð)
5,539
85
Kura
Oncology,
Inc.(Æ)
23,826
451
Lannett
Co.,
Inc.(Æ)
27,251
126
Lantheus
Holdings,
Inc.(Æ)
115,170
3,014
LeMaitre
Vascular,
Inc.
134,487
7,324
LHC
Group,
Inc.(Æ)
24,855
5,348
LivaNova
PLC(Æ)
24,528
2,117
Magenta
Therapeutics,
Inc.(Æ)(Ð)
1,508
11
MedAvail
Holdings,
Inc.(Æ)
151,351
1,277
MEDNAX,
Inc.(Æ)
32,624
950
Medpace
Holdings,
Inc.(Æ)
45,311
7,972
Minerva
Neurosciences,
Inc.(Æ)
40,098
74
Mirati
Therapeutics,
Inc.(Æ)
18,235
2,919
ModivCare
,
Inc.(Æ)
6,890
1,171
Molecular
Templates,
Inc.(Æ)(Ð)
145,221
1,017
Molina
Healthcare,
Inc.(Æ)
11,478
3,134
Mustang
Bio,
Inc.(Æ)
251,194
726
Natus
Medical,
Inc.(Æ)
74,955
2,001
Nektar
Therapeutics(Æ)(Ð)
9,123
144
Nemaura
Medical,
Inc.(Æ)(Ñ)
95,344
723
Neogen
Corp.(Æ)
136,979
5,967
NeoGenomics
,
Inc.(Æ)
110,903
5,113
Nevro
Corp.(Æ)
5,472
848
NextGen
Healthcare,
Inc.(Æ)(Ð)
26,757
434
NGM
Biopharmaceuticals,
Inc.(Æ)
8,161
166
Omnicell
,
Inc.(Æ)
27,626
4,047
Optinose
,
Inc.(Æ)
12,534
36
OraSure
Technologies,
Inc.(Æ)(Ð)
14,805
175
Orthofix
Medical,
Inc.(Æ)
13,699
544
Owens
&
Minor,
Inc.
33,083
1,530
Pacific
Biosciences
of
California,
Inc.(Æ)
54,476
1,751
Pennpant
Group,
Inc.
(The)(Æ)
21,778
745
Phathom
Pharmaceuticals,
Inc.(Æ)(Ð)
5,160
166
Phibro
Animal
Health
Corp.
Class
A
33,108
784
Phreesia
,
Inc.(Æ)
63,487
4,339
Pliant
Therapeutics,
Inc.(Æ)(Ñ)
14,564
294
Poseida
Therapeutics,
Inc.(Æ)
20,755
168
Precision
BioSciences
,
Inc.(Æ)
54,031
533
Prestige
Brands
Holdings,
Inc.(Æ)
11,584
609
Protagonist
Therapeutics,
Inc.(Æ)
30,989
1,532
Protech
Home
Medical
Corp.(Æ)
86,016
475
PTC
Therapeutics,
Inc.(Æ)(Ð)
88,547
3,394
Quidel
Corp.(Æ)(Ð)
9,515
1,346
Radius
Health,
Inc.(Æ)(Ð)
24,678
373
Russell
Investment
Company
U.S.
Small
Cap
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
U.S.
Small
Cap
Equity
Fund
23
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
RadNet
,
Inc.(Æ)
91,874
3,375
Reata
Pharmaceuticals,
Inc.
Class
A(Æ)
22,733
2,849
Recro
Pharma,
Inc.(Æ)
145,638
265
Recursion
Pharmaceuticals,
Inc.
Class
A(Æ)
(Ñ)
15,745
478
REGENXBIO,
Inc.(Æ)(Ð)
12,572
406
Repligen
Corp.(Æ)
39,650
9,742
Rockwell
Medical,
Inc.(Æ)(Ñ)
419,246
306
Sarepta
Therapeutics,
Inc.(Æ)(Ð)
3,747
254
Savara
,
Inc.(Æ)
28,096
36
Schrodinger,
Inc.(Æ)
51,895
3,512
Scpharmaceuticals
,
Inc.(Æ)
73,212
401
Selecta
Biosciences,
Inc.(Æ)
61,540
213
ShockWave
Medical,
Inc.(Æ)
4,621
841
SIGA
Technologies,
Inc.(Æ)
273,355
1,741
SpringWorks
Therapeutics,
Inc.(Æ)
16,888
1,447
STAAR
Surgical
Co.(Æ)
6,140
785
Surmodics
,
Inc.(Æ)
2,828
156
Syros
Pharmaceuticals,
Inc.(Æ)(Ð)
978
5
Tactile
Systems
Technology,
Inc.(Æ)
47,572
2,330
Tenet
Healthcare
Corp.(Æ)
43,388
3,117
TG
Therapeutics,
Inc.(Æ)
22,358
782
Theravance
Biopharma,
Inc.(Æ)(Ð)
21,333
277
Travere
Therapeutics,
Inc.(Æ)(Ð)
32,217
443
Tricida
,
Inc.(Æ)
19,061
68
Turning
Point
Therapeutics,
Inc.(Æ)
7,072
451
Twist
Bioscience
Corp.(Æ)
17,524
2,156
United
Therapeutics
Corp.(Æ)(Û)
15,901
2,893
UNITY
Biotechnology,
Inc.(Æ)
13,962
51
UroGen
Pharma,
Ltd.(Æ)(Ñ)
30,709
476
Utah
Medical
Products,
Inc.
38,326
3,426
Vanda
Pharmaceuticals,
Inc.(Æ)(Ð)
18,157
296
Varex
Imaging
Corp.(Æ)(Ð)
24,238
662
Vincerx
Pharma,
Inc.(Æ)
28,219
374
Voyager
Therapeutics,
Inc.(Æ)(Ð)
17,144
54
WaVe
Life
Sciences,
Ltd.(Æ)(Ð)
7,597
42
Werewolf
Therapeutics,
Inc.(Æ)
71,565
1,247
Xencor
,
Inc.(Æ)
40,848
1,257
Zentalis
Pharmaceuticals,
Inc.(Æ)
29,685
1,580
Zogenix
,
Inc.(Æ)(Ð)
105,936
1,717
Zymeworks
,
Inc.(Æ)
54,159
1,738
287,518
Materials
and
Processing
-
7.0%
AdvanSix
,
Inc.(Æ)
10,887
364
American
Vanguard
Corp.
70,963
1,172
Apogee
Enterprises,
Inc.(Ð)
15,239
605
Arconic
Corp.(Æ)
108,402
3,896
Ashland
Global
Holdings,
Inc.(Ð)
23,090
1,964
Beacon
Roofing
Supply,
Inc.(Æ)
11,567
619
Belden,
Inc.(Ð)
13,634
668
BlueLinx
Holdings,
Inc.(Æ)
2,739
118
Boise
Cascade
Co.(Ð)
21,639
1,107
BrightView
Holdings,
Inc.(Æ)
72,704
1,165
Cabot
Corp.(Ð)
86,316
4,753
Caesarstone
,
Ltd.
42,469
564
Capstone
Mining
Corp.(Æ)
90,316
405
Carpenter
Technology
Corp.
15,208
580
Chemours
Co.
(The)
47,088
1,566
Clearwater
Paper
Corp.(Æ)(Ð)
7,596
224
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Compass
Minerals
International,
Inc.
15,974
1,095
Constellium
SE(Æ)
48,671
918
Cornerstone
Building
Brands,
Inc.(Æ)
66,010
1,110
Culp,
Inc.
204,871
3,067
Danimer
Scientific,
Inc.(Æ)
73,244
1,222
Gold
Resource
Corp.
370,152
781
Haynes
International,
Inc.
17,816
672
HB
Fuller
Co.
32,028
2,070
Horizonte  Minerals  PLC(Æ)
4,635,861
416
Huntsman
Corp.
113,411
2,995
Ingevity
Corp.(Æ)
25,996
2,208
Insteel
Industries,
Inc.
112,618
4,373
Interface,
Inc.
Class
A(Ð)
165,258
2,383
Kaiser
Aluminum
Corp.
3,449
420
Koppers
Holdings,
Inc.(Æ)
90,794
2,788
Kraton
Corp.(Æ)(Ð)
19,196
733
Landec
Corp.(Æ)(Ð)
168,377
1,842
LB
Foster
Co.
Class
A(Æ)
2,289
42
LiqTech
International,
Inc.(Æ)(Ñ)
199,688
1,314
Louisiana-Pacific
Corp.
33,343
1,849
Masonite
International
Corp.(Æ)
9,405
1,064
Mosaic
Co.
(The)
102,059
3,187
MRC
Global,
Inc.(Æ)
38,603
354
Mueller
Water
Products,
Inc.
Class
A
28,249
419
Neenah
Paper,
Inc.
22,933
1,153
Neo
Lithium
Corp.(Æ)
181,127
517
NN,
Inc.(Æ)
7,600
52
Northwest
Pipe
Co.(Æ)
24,042
683
Nouveau
Monde
Graphite,
Inc.(Æ)
32,462
228
O-I
Glass,
Inc.
Class
I(Æ)(Ð)
75,024
1,110
Olin
Corp.
51,665
2,430
Omega
Flex,
Inc.
14,014
2,198
Orion
Engineered
Carbons
SA(Æ)
19,809
358
Pactiv
Evergreen,
Inc.
77,208
1,117
Patrick
Industries,
Inc.
8,678
717
Quaker
Chemical
Corp.
15,793
3,976
Rayonier
Advanced
Materials,
Inc.(Æ)
27,890
194
Ryerson
Holding
Corp.
4,424
70
Schnitzer
Steel
Industries,
Inc.
Class
A
2,636
138
Schweitzer-Mauduit
International,
Inc.
54,853
2,157
Simpson
Manufacturing
Co.,
Inc.
5,291
595
SiteOne
Landscape
Supply,
Inc.(Æ)
18,672
3,263
Stelco
Holdings,
Inc.
46,635
1,540
Stepan
Co.
15,654
1,846
Summit
Materials,
Inc.
Class
A(Æ)
24,709
830
Trinseo
SA
26,601
1,446
Tronox
Holdings
PLC
Class
A
308,906
5,692
Unifi,
Inc.(Æ)(Ð)
28,870
681
Univar
Solutions,
Inc.
-
ADR(Æ)
77,938
1,913
Universal
Stainless
&
Alloy
Products,
Inc.(Æ)
91,505
1,031
Valvoline,
Inc.
174,474
5,352
Venator
Materials
PLC(Æ)
212,275
673
Veritiv
Corp.(Æ)
29,621
1,815
Verso
Corp.
Class
A(Ð)
22,886
436
Westlake
Chemical
Corp.
2,610
216
Zymergen
,
Inc.(Æ)(Ñ)
79,158
2,754
104,273
Producer
Durables
-
15.3%
ABM
Industries,
Inc.(Û)
21,294
990
Russell
Investment
Company
U.S.
Small
Cap
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
24
U.S.
Small
Cap
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Acacia
Research
Corp.(Æ)(Ð)
8,437
48
ACCO
Brands
Corp.
47,709
427
Adient
PLC(Æ)
28,432
1,198
AGCO
Corp.(Û)
21,158
2,795
Air
Transport
Services
Group,
Inc.(Æ)
79,113
1,915
Allegiant
Travel
Co.
Class
A(Æ)(Û)
8,272
1,573
Allied
Motion
Technologies,
Inc.
110,657
3,642
Allison
Transmission
Holdings,
Inc.
Class
A
62,802
2,506
Alta
Equipment
Group,
Inc.(Æ)
156,936
1,976
Applied
Industrial
Technologies,
Inc.
7,558
678
ArcBest
Corp.
27,883
1,648
Arcosa
,
Inc.
34,654
1,898
Ardmore
Shipping
Corp.(Æ)
360,642
1,309
Argan
,
Inc.(Ð)
64,896
2,917
ASGN,
Inc.(Æ)
10,585
1,070
Astec
Industries,
Inc.
4,181
256
Astronics
Corp.(Æ)
17,478
299
Atlas
Air
Worldwide
Holdings,
Inc.(Æ)(Ð)
13,725
919
Barrett
Business
Services,
Inc.
19,995
1,464
Blue
Bird
Corp.(Æ)
77,672
1,942
Bowman
Consulting
Group,
Ltd.(Æ)
26,764
342
Brady
Corp.
Class
A
8,669
474
Brink's
Co.
(The)
19,231
1,480
Bristow
Group,
Inc.(Æ)
2,660
69
Brookfield
Infrastructure
Corp.
Class
A
5,252
340
Cactus,
Inc.
Class
A
10,362
373
Casper
Sleep,
Inc.(Æ)
5,064
35
Chart
Industries,
Inc.(Æ)
20,700
3,218
Cimpress
NV(Æ)(Ð)
2,501
256
Clean
Harbors,
Inc.(Æ)(Ð)
3,869
368
Concrete
Pumping
Holdings,
Inc.(Æ)
169,558
1,475
CoreCivic
,
Inc.(Æ)(Ð)
74,981
771
Covanta
Holding
Corp.
110,986
2,231
Covenant
Transportation
Group,
Inc.
Class
A(Æ)(Ð)
73,169
1,537
CRA
International,
Inc.
56,175
4,816
Crane
Co.
23,235
2,259
Deluxe
Corp.
46,424
2,038
DHT
Holdings,
Inc.
262,711
1,524
Dorian
LPG,
Ltd.(Ð)
10,050
122
Ducommun,
Inc.(Æ)
2,314
125
DXP
Enterprises,
Inc.(Æ)
8,711
284
Dycom
Industries,
Inc.(Æ)
6,902
479
Echo
Global
Logistics,
Inc.(Æ)
23,283
720
Element
Solutions,
Inc.(Æ)(Ð)
257,929
6,033
EMCOR
Group,
Inc.
27,504
3,350
Ennis,
Inc.
15,653
309
Euronav
NV
471,415
4,078
Evo
Payments,
Inc.
Class
A(Æ)
250,296
7,309
Ferroglobe
Representation
and
Warranty
Insurance
Trust(Æ)(Š)
98,500
Flowserve
Corp.
101,812
4,285
Fluor
Corp.(Æ)
52,703
878
Franklin
Electric
Co.,
Inc.
7,665
627
frontdoor
,
Inc.(Æ)(Ð)
63,529
3,109
Frontier
Group
Holdings,
Inc.(Æ)
72,295
1,066
Frontline,
Ltd.(Æ)(Ð)
8,364
67
Genasys
,
Inc.(Æ)
366,057
2,050
Genco
Shipping
&
Trading,
Ltd.
5,215
92
GP
Strategies
Corp.(Æ)
53,371
1,086
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Greenbrier
Cos.,
Inc.
88,677
3,795
GreenSky
,
Inc.
Class
A(Æ)
9,704
64
Hackett
Group,
Inc.
(The)
23,113
414
Harsco
Corp.(Æ)
113,020
2,274
Heidrick
&
Struggles
International,
Inc.
78,594
3,357
Herman
Miller,
Inc.
82,325
3,552
HNI
Corp.
10,329
385
Hub
Group,
Inc.
Class
A(Æ)
10,225
678
Huntington
Ingalls
Industries,
Inc.(Ð)(Û)
2,078
426
Hyster
-Yale
Materials
Handling,
Inc.
12,652
906
ICF
International,
Inc.
14,805
1,356
Insperity
,
Inc.(Ð)(Û)
11,905
1,179
International
Seaways,
Inc.
18,285
301
JetBlue
Airways
Corp.(Æ)
37,304
552
KBR,
Inc.
55,584
2,151
Kennametal,
Inc.
86,271
3,127
Kimball
International,
Inc.
Class
B
233,177
2,887
Knight-Swift
Transportation
Holdings,
Inc.
(Æ)
42,777
2,126
Korn
&
Ferry
International
15,309
1,052
Kratos
Defense
&
Security
Solutions,
Inc.(Æ)
111,880
3,043
Manitowoc
Co.,
Inc.
(The)(Æ)(Ð)
47,414
1,097
ManpowerGroup
,
Inc.(Û)
21,445
2,543
Marten
Transport,
Ltd.
67,097
1,061
Matson,
Inc.
9,221
619
MAXIMUS,
Inc.
40,560
3,610
Mesa
Air
Group,
Inc.(Æ)
146,834
1,309
Mesa
Laboratories,
Inc.
28,217
8,310
Methode
Electronics,
Inc.
26,856
1,285
Mitek
Systems,
Inc.(Æ)
172,815
3,821
Modine
Manufacturing
Co.(Æ)(Ð)
25,263
423
MYR
Group,
Inc.(Æ)
7,080
677
Nordic
American
Tankers,
Ltd.(Ñ)
135,819
354
Orion
Energy
Systems,
Inc.(Æ)
9,369
47
Orion
Group
Holdings,
Inc.(Æ)
244,040
1,310
Park-Ohio
Holdings
Corp.(Ð)
2,023
59
Pitney
Bowes,
Inc.
195,525
1,565
Powell
Industries,
Inc.
18,822
548
Primoris
Services
Corp.
12,348
369
Radiant
Logistics,
Inc.(Æ)
187,339
1,165
Ranpak
Holdings
Corp.(Æ)
65,404
1,676
Resources
Connection,
Inc.
72,644
1,125
Rexnord
Corp.
42,530
2,396
Roth
CH
Acquisition
I
Co.
Parent
Corp.(Æ)
(Ñ)
80,249
1,188
RR
Donnelley
&
Sons
Co.(Æ)
66,149
405
Rush
Enterprises,
Inc.
Class
A
17,848
839
Ryder
System,
Inc.(Ð)
25,595
1,949
Saia,
Inc.(Æ)
34,439
7,783
Schneider
National,
Inc.
Class
B
27,186
610
Scorpio
Tankers,
Inc.
32,728
535
SFL
Corp.,
Ltd.(Æ)
43,155
296
SHYFT
Group,
Inc.
(The)(Æ)
14,821
585
SkyWest,
Inc.(Æ)
16,359
662
Sleep
Number
Corp.(Æ)
15,384
1,526
StealthGas
,
Inc.(Æ)
287,265
735
Steelcase,
Inc.
Class
A
42,495
584
Team,
Inc.(Æ)
68,117
420
Teekay
Tankers,
Ltd.
Class
A(Æ)(Ð)(Ñ)
201,133
2,545
Tennant
Co.
37,639
2,978
Russell
Investment
Company
U.S.
Small
Cap
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
U.S.
Small
Cap
Equity
Fund
25
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Terex
Corp.
28,723
1,376
Tetra
Tech,
Inc.
5,862
783
Textainer
Group
Holdings,
Ltd.(Æ)
18,250
589
Textron,
Inc.(Ð)
20,073
1,385
Thermon
Group
Holdings,
Inc.(Æ)
41,998
700
Titan
International,
Inc.(Æ)(Ð)
28,247
243
Titan
Machinery,
Inc.(Æ)
9,066
259
TopBuild
Corp.(Æ)
25,565
5,182
Travel
+
Leisure
Co.(Æ)
23,342
1,209
TreeHouse
Foods,
Inc.(Æ)
24,888
1,105
TriNet
Group,
Inc.(Æ)(Ð)
21,075
1,749
Triumph
Group,
Inc.(Æ)
49,897
951
TrueBlue
,
Inc.(Æ)
44,766
1,217
Tutor
Perini
Corp.(Æ)
290,501
4,087
UFP
Industries,
Inc.(Æ)
11,404
847
Universal
Truckload
Services,
Inc.
73,183
1,687
US
Xpress
Enterprises,
Inc.
Class
A(Æ)(Ð)
6,980
61
USA
Truck,
Inc.(Æ)
90,464
1,263
Vectrus
,
Inc.(Æ)
49,435
2,239
Vishay
Precision
Group,
Inc.(Æ)
26,261
954
VSE
Corp.
11,781
590
Wabash
National
Corp.
3,000
44
Werner
Enterprises,
Inc.
13,525
618
WESCO
International,
Inc.(Æ)
39,926
4,250
Whole
Earth
Brands,
Inc.(Æ)
94,818
1,219
WNS
Holdings,
Ltd.
-
ADR(Æ)
103,656
8,535
Xerox
Holdings
Corp.(Ð)
68,078
1,643
228,564
Technology
-
13.3%
8x8,
Inc.(Æ)
78,576
2,008
A10
Networks,
Inc.(Æ)
47,763
610
Absolute
Software
Corp.
292,761
4,011
ADTRAN,
Inc.
48,248
1,081
Agilysys
,
Inc.(Æ)
42,759
2,375
Alarm.com
Holdings,
Inc.(Æ)
6,543
545
Alight,
Inc.
Class
A(Æ)(Ñ)
126,674
1,192
Alpha
&
Omega
Semiconductor,
Ltd.(Æ)
6,721
175
Ambarella
,
Inc.(Æ)
16,028
1,579
American
Software,
Inc.
Class
A
228,753
5,033
Amkor
Technology,
Inc.
15,478
381
APi
Group
Corp.(Æ)(Þ)
163,990
3,759
Appfolio
,
Inc.
Class
A(Æ)
18,473
2,616
Appian
Corp.(Æ)(Ñ)
5,507
641
Applied
Optoelectronics,
Inc.(Æ)
2,691
21
Arlo
Technologies,
Inc.(Æ)
78,746
481
Arrow
Electronics,
Inc.(Æ)
18,089
2,145
Avaya
Holdings
Corp.(Æ)(Ð)
66,648
1,614
Aviat
Networks,
Inc.(Æ)
2,423
90
Avid
Technology,
Inc.(Æ)
24,651
922
Avnet,
Inc.(Ð)
32,302
1,335
Axcelis
Technologies,
Inc.(Æ)
82,703
3,188
Bandwidth,
Inc.
Class
A(Æ)
4,599
596
Bel
Fuse,
Inc.
Class
B(Ð)
5,553
76
Benchmark
Electronics,
Inc.
39,651
1,047
Benefitfocus
,
Inc.(Æ)
14,620
192
Blackline,
Inc.(Æ)
6,172
706
CalAmp
Corp.(Æ)
25,597
310
Casa
Systems,
Inc.(Æ)
29,418
221
Cerence
,
Inc.(Æ)
25,887
2,783
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
ChannelAdvisor
Corp.(Æ)
25,440
592
Ciena
Corp.(Æ)
45,309
2,634
Cirrus
Logic,
Inc.(Æ)(Û)
27,885
2,303
CommScope
Holding
Co.,
Inc.(Æ)
247,596
5,239
CommVault
Systems,
Inc.(Æ)
15,485
1,171
comScore,
Inc.(Æ)(Ð)
395,453
1,586
Comtech
Telecommunications
Corp.(Ð)
12,211
305
Concentrix
Corp.(Æ)
12,514
2,049
Covetrus
,
Inc.(Æ)
16,068
409
CSG
Systems
International,
Inc.(Ð)
17,916
813
Daily
Journal
Corp.(Æ)
2,705
901
Daktronics,
Inc.(Æ)
26,856
164
Diebold
Nixdorf,
Inc.(Æ)
205,524
2,140
Domo,
Inc.
Class
B(Æ)
3,261
288
Donnelley
Financial
Solutions,
Inc.(Æ)
28,767
927
Dropbox,
Inc.
Class
A(Æ)(Û)
9,835
310
DSP
Group,
Inc.(Æ)(Ð)
71,369
1,146
E2open
Parent
Holdings,
Inc.(Æ)(Ñ)
153,838
1,546
Ebix
,
Inc.
2,437
74
EchoStar
Corp.
Class
A(Æ)
25,881
577
eGain
Corp.(Æ)
107,126
1,250
EMCORE
Corp.(Æ)
7,463
65
Endava
PLC
-
ADR(Æ)
46,343
5,961
Extreme
Networks,
Inc.(Æ)(Ð)
72,822
802
GTY
Technology
Holdings,
Inc.(Æ)
78,942
546
Harmonic,
Inc.(Æ)(Ð)
33,542
297
HC2
Holdings,
Inc.(Æ)
173,885
640
IBEX
Holdings,
Ltd.(Æ)
87,484
1,805
Infinera
Corp.(Æ)(Ð)
132,809
1,316
Inspired
Entertainment,
Inc.(Æ)
70,996
823
Intevac,
Inc.(Æ)
4,811
31
Jabil
Circuit,
Inc.
19,712
1,174
Kimball
Electronics,
Inc.(Æ)
97,311
1,984
Kulicke
&
Soffa
Industries,
Inc.
77,618
4,219
KVH
Industries,
Inc.(Æ)
48,581
550
Lattice
Semiconductor
Corp.(Æ)
16,134
916
Liberty
Latin
America,
Ltd.
Class
C(Æ)(Ð)
72,981
1,009
Limelight
Networks,
Inc.(Æ)(Ð)
90,537
254
LiveRamp
Holdings,
Inc.(Æ)
23,238
930
Maxar
Technologies,
Inc.
24,306
882
Mercury
Systems,
Inc.(Æ)
46,010
3,037
Mimecast,
Ltd.(Æ)
89,989
4,999
Model
N,
Inc.(Æ)
81,940
2,652
NAPCO
Security
Technologies,
Inc.(Æ)
145,730
5,152
NeoPhotonics
Corp.(Æ)(Ð)
114,764
1,114
NETGEAR,
Inc.(Æ)
43,717
1,497
NetScout
Systems,
Inc.(Æ)(Ð)
57,422
1,651
New
Relic,
Inc.(Æ)
25,843
1,785
nLight
,
Inc.(Æ)
126,565
4,391
Nutanix
,
Inc.
Class
A(Æ)(Ð)(Û)
51,280
1,847
ON24,
Inc.(Æ)(Ñ)
50,947
1,861
OneSpan
,
Inc.(Æ)
132,870
3,277
Ooma
,
Inc.(Æ)
69,756
1,294
PAE,
Inc.(Æ)
364,012
3,247
PC
Connection,
Inc.(Ð)
587
28
PCTEL,
Inc.
133,758
889
PDF
Solutions,
Inc.(Æ)
147,603
2,762
Pegasystems
,
Inc.
57,024
7,279
Plantronics,
Inc.(Æ)(Ð)
29,888
932
PlayAGS
,
Inc.(Æ)
19,761
153
Russell
Investment
Company
U.S.
Small
Cap
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
26
U.S.
Small
Cap
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Power
Integrations,
Inc.
10,889
1,056
Pure
Storage,
Inc.
Class
A(Æ)
88,024
1,718
QAD,
Inc.
Class
A
60,501
5,248
Qualys
,
Inc.(Æ)
17,551
1,782
Quantum
Corp.(Æ)
218,061
1,352
Radcom
,
Ltd.(Æ)
72,195
794
Rambus,
Inc.(Æ)
57,261
1,355
Ribbon
Communications,
Inc.(Æ)(Ð)
62,822
434
SailPoint
Technologies
Holding,
Inc.(Æ)
13,283
664
ScanSource
,
Inc.(Æ)(Ð)
7,980
220
Semtech
Corp.(Æ)
7,386
457
Silicon
Laboratories,
Inc.(Æ)
20,555
3,062
Simulations
Plus,
Inc.(Ñ)
156,931
7,406
Super
Micro
Computer,
Inc.(Æ)
33,479
1,274
Switch,
Inc.
Class
A
109,705
2,267
Synaptics
,
Inc.(Æ)
14,507
2,204
Synchronoss
Technologies,
Inc.(Æ)
21,862
62
Tenable
Holdings,
Inc.(Æ)
3,480
149
TrueCar
,
Inc.(Æ)
119,128
627
Unisys
Corp.(Æ)
131,981
2,950
Upwork
,
Inc.(Æ)
15,473
801
Varonis
Systems,
Inc.(Æ)
13,758
842
Veeco
Instruments,
Inc.(Æ)(Ð)
39,662
920
Verint
Systems,
Inc.(Æ)
17,986
767
VirnetX
Holding
Corp.(Æ)(Ñ)
170,920
701
Workiva
,
Inc.(Æ)
100,877
13,090
Yelp,
Inc.
Class
A(Æ)(Ð)(Û)
38,004
1,421
Zix
Corp.(Æ)
453,868
3,363
199,194
Utilities
-
4.7%
ALLETE,
Inc.
95,874
6,743
American
States
Water
Co.
5,745
507
Artesian
Resources
Corp.
Class
A
15,653
612
Avista
Corp.
32,326
1,385
Black
Hills
Corp.
7,860
532
Bonanza
Creek
Energy,
Inc.
3,752
144
Brigham
Minerals,
Inc.
Class
A
369,371
7,255
Cogent
Communications
Holdings,
Inc.(Ð)
22,711
1,762
DT
Midstream,
Inc.
19,896
844
Gogo
,
Inc.(Æ)(Ñ)
177,962
1,845
IDT
Corp.
Class
B(Æ)
27,430
1,366
Iridium
Communications,
Inc.(Æ)
18,623
786
J2
Global,
Inc.(Æ)
15,442
2,181
Laredo
Petroleum,
Inc.(Æ)
5,180
285
MDU
Resources
Group,
Inc.
186,741
5,924
MGE
Energy,
Inc.
8,565
669
New
Jersey
Resources
Corp.
17,590
678
Northern
Oil
and
Gas,
Inc.
188,661
3,258
Northwest
Natural
Holding
Co.
43,010
2,249
NorthWestern
Corp.
7,088
439
Oasis
Petroleum,
Inc.
20,296
1,861
ONE
Gas,
Inc.
13,032
962
Ovintiv
,
Inc.
63,392
1,626
Plains
GP
Holdings,
LP
Class
A(Æ)(Ð)
39,345
413
PNM
Resources,
Inc.
13,509
653
Portland
General
Electric
Co.(Û)
52,626
2,573
Pure
Cycle
Corp.(Æ)
87,049
1,346
RGC
Resources,
Inc.(Ñ)
141,551
3,590
Shenandoah
Telecommunications
Co.
5,376
284
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
South
Jersey
Industries,
Inc.
201,445
5,071
Southwest
Gas
Holdings,
Inc.
5,921
414
Spire,
Inc.
31,299
2,221
Spok
Holdings,
Inc.
167,285
1,378
Telephone
&
Data
Systems,
Inc.
41,877
936
US
Cellular
Corp.(Æ)(Ð)(Û)
8,731
317
Vidler
Water
Resources,
Inc.(Æ)
119,033
1,603
Vine
Energy,
Inc.
Class
A(Æ)
88,554
1,241
Vistra
Corp.(Ð)(Û)
135,269
2,590
Vonage
Holdings
Corp.(Æ)
29,278
418
Yellow
Corp.(Æ)
93,065
484
York
Water
Co.
(The)
11,969
573
70,018
Total
Common
Stocks
(cost
$1,184,284)
1,487,818
Short-Term
Investments
-
4.8%
U.S.
Cash
Management
Fund(@)
71,998,807
(∞)
71,984
Total
Short-Term
Investments
(cost
$71,984)
71,984
Other
Securities
-
1.6%
U.S.
Cash
Collateral
Fund(@)(×)
23,440,179
(∞)
23,440
Total
Other
Securities
(cost
$23,440)
23,440
Total
Investments
-
105.8%
(identified
cost
$1,279,708)
1,583,242
Securities
Sold
Short
-
(4.5)%
Consumer
Discretionary
-
(0.9)%
1-800-Flowers.com,
Inc.
Class
A(Æ)
(11,332)
(346)
Akoustis
Technologies,
Inc.(Æ)
(13,900)
(135)
AMC
Entertainment
Holdings,
Inc.
Class
A(Æ)
(68,724)
(2,544)
AMMO,
Inc.(Æ)
(17,013)
(115)
Bally's
Corp.(Æ)
(4,313)
(212)
Callaway
Golf
Co.(Æ)
(36,878)
(1,168)
Cardlytics,
Inc.(Æ)
(1,560)
(196)
CarParts.com,
Inc.(Æ)
(37,184)
(655)
Chicken
Soup
For
The
Soul
Entertainment,
Inc.(Æ)
(3,923)
(141)
Cinemark
Holdings,
Inc.(Æ)
(46,456)
(721)
Clear
Channel
Worldwide
Holdings,
Inc.(Æ)
(119,161)
(317)
Dorman
Products,
Inc.(Æ)
(1,914)
(194)
Express,
Inc.(Æ)
(25,401)
(119)
Fox
Factory
Holding
Corp.(Æ)
(8,373)
(1,353)
fuboTV
,
Inc.(Æ)
(4,317)
(112)
GameStop
Corp.
Class
A(Æ)
(12,761)
(2,056)
GrowGeneration
Corp.(Æ)
(4,217)
(172)
Leggett
&
Platt,
Inc.
(23,000)
(1,105)
LifeMD
,
Inc.(Æ)
(17,719)
(174)
Lindblad
Expeditions
Holdings,
Inc.(Æ)
(11,460)
(157)
Lovesac
Co.
(The)(Æ)
(1,369)
(83)
Madison
Square
Garden
Entertainment
Corp.
(Æ)
(3,223)
(225)
Marcus
Corp.(Æ)
(17,015)
(273)
National
CineMedia
,
Inc.
(37,405)
(130)
Rocky
Brands,
Inc.
(718)
(39)
Russell
Investment
Company
U.S.
Small
Cap
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
U.S.
Small
Cap
Equity
Fund
27
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
SEACOR
Marine
Holdings,
Inc.(Æ)
(7,591)
(29)
Stitch
Fix,
Inc.
Class
A(Æ)
(2,806)
(151)
Transcat
,
Inc.(Æ)
(500)
(32)
YETI
Holdings,
Inc.(Æ)
(6,888)
(665)
(13,619)
Consumer
Staples
(0.1)%
Celsius
Holdings,
Inc.(Æ)
(400)
(27)
Chefs'
Warehouse
Holdings,
Inc.(Æ)
(11,609)
(336)
Laird
Superfood,
Inc.(Æ)
(2,040)
(57)
MGP
Ingredients,
Inc.
(4,017)
(240)
Utz
Brands,
Inc.
(12,120)
(274)
Vital
Farms,
Inc.(Æ)
(5,680)
(99)
(1,033)
Energy
-
(0.2)%
Aemetis
,
Inc.(Æ)
(9,156)
(80)
Beam
Global(Æ)
(2,617)
(80)
ChampionX
Corp.(Æ)
(21,496)
(500)
CleanSpark
,
Inc.(Æ)
(6,095)
(82)
Contango
Oil
&
Gas
Co.(Æ)
(17,803)
(68)
Energous
Corp.(Æ)
(25,435)
(64)
Flux
Power
Holdings,
Inc.(Æ)
(5,278)
(52)
FuelCell
Energy,
Inc.(Æ)
(2,709)
(17)
Gevo
,
Inc.(Æ)
(14,326)
(87)
Liberty
Oilfield
Services,
Inc.
Class
A(Æ)
(53,562)
(546)
Ring
Energy,
Inc.(Æ)
(61,534)
(165)
Smart
Sand,
Inc.(Æ)
(25,383)
(72)
Solaris
Oilfield
Infrastructure,
Inc.
Class
A
(14,063)
(122)
Sunrun
,
Inc.(Æ)
(16,645)
(882)
Sunworks
,
Inc.(Æ)
(4,923)
(43)
(2,860)
Financial
Services
-
(0.5)%
Apollo
Commercial
Real
Estate
Finance,
Inc.(ö)
(11,919)
(181)
Apollo
Global
Management,
Inc.
(21,666)
(1,275)
Arbor
Realty
Trust,
Inc.(ö)
(61,269)
(1,120)
BRP
Group,
Inc.
Class
A(Æ)
(26,329)
(718)
Ellington
Residential
Mortgage(ö)
(7,465)
(83)
Emerald
Holding,
Inc.(Æ)
(18,390)
(73)
Franchise
Group,
Inc.(Æ)
(942)
(32)
Hannon
Armstrong
Sustainable
Infrastructure
Capital,
Inc.(ö)
(20,062)
(1,140)
I3
Verticals,
Inc.
Class
A(Æ)
(851)
(27)
Indus
Realty
Trust,
Inc.(ö)
(200)
(14)
Invesco
Mortgage
Capital,
Inc.(ö)
(109,912)
(378)
Orchid
Island
Capital,
Inc.(ö)
(168,081)
(832)
Repay
Holdings
Corp.(Æ)
(30,467)
(759)
Rocket
Companies,
Inc.
Class
A
(42,594)
(734)
Target
Hospitality
Corp.
Class
A(Æ)
(15,125)
(54)
Western
Asset
Mortgage
Capital
Corp.(ö)
(68,774)
(213)
(7,633)
Health
Care
-
(1.2)%
89Bio,
Inc.(Æ)
(3,436)
(54)
AcelRx
Pharmaceuticals,
Inc.(Æ)
(93,966)
(111)
ADMA
Biologics,
Inc.(Æ)
(280,601)
(435)
Agile
Therapeutics,
Inc.(Æ)
(23,883)
(29)
Altimmune
,
Inc.(Æ)
(2,468)
(22)
Ampio
Pharmaceuticals,
Inc.(Æ)
(61,936)
(87)
Anavex
Life
Sciences
Corp.(Æ)
(7,133)
(128)
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
AquaBounty
Technologies,
Inc.(Æ)
(30,200)
(149)
Arcus
Biosciences,
Inc.(Æ)
(1,599)
(50)
Asensus
Surgical,
Inc.(Æ)
(54,553)
(128)
Aspira
Women's
Health,
Inc.(Æ)
(14,334)
(64)
Atossa
Therapeutics,
Inc.(Æ)
(24,094)
(72)
Avidity
Biosciences,
Inc.(Æ)
(4,540)
(88)
Aytu
BioScience
,
Inc.(Æ)
(12,539)
(50)
Berkeley
Lights,
Inc.(Æ)
(786)
(36)
BioCryst
Pharmaceuticals,
Inc.(Æ)
(60,557)
(976)
BioLife
Solutions,
Inc.(Æ)
(5,708)
(268)
Bionano
Genomics,
Inc.(Æ)
(77,452)
(459)
Bio-
Techne
Corp.(Æ)
(185)
(89)
CareDx
,
Inc.(Æ)
(35)
(3)
Cassava
Sciences,
Inc.(Æ)
(986)
(69)
Catalent
,
Inc.(Æ)
(10,302)
(1,234)
CEL-SCI
Corp.(Æ)
(4,512)
(36)
ChromaDex
Corp.(Æ)
(12,874)
(112)
ClearPoint
Neuro,
Inc.(Æ)
(5,310)
(118)
Co-Diagnostics,
Inc.(Æ)
(10,466)
(106)
Curis
,
Inc.(Æ)
(2,625)
(20)
DarioHealth
Corp.(Æ)
(4,345)
(64)
DermTech
,
Inc.(Æ)
(3,119)
(105)
Dynavax
Technologies
Corp.(Æ)
(10,882)
(102)
Evolus
,
Inc.(Æ)
(7,392)
(80)
Fate
Therapeutics,
Inc.(Æ)
(10,737)
(889)
Fulgent
Genetics,
Inc.(Æ)
(733)
(68)
Genprex
,
Inc.(Æ)
(198)
(1)
HealthEquity
,
Inc.(Æ)
(10,449)
(773)
iBio
,
Inc.(Æ)
(63,700)
(79)
IGM
Biosciences,
Inc.(Æ)
(1,184)
(81)
Immunic
,
Inc.(Æ)
(8,126)
(72)
Immunovant
,
Inc.(Æ)
(9,615)
(101)
INmune
Bio,
Inc.(Æ)
(8,882)
(135)
Inotiv
,
Inc.(Æ)
(5,123)
(134)
Inovio
Pharmaceuticals,
Inc.(Æ)
(3,024)
(25)
Instil
Bio,
Inc.(Æ)
(5,334)
(80)
Intra-Cellular
Therapies,
Inc.
Class
A(Æ)
(21,756)
(747)
Invitae
Corp.(Æ)
(21,786)
(610)
Jaguar
Health,
Inc.(Æ)
(34,713)
(49)
Kadmon
Holdings,
Inc.(Æ)
(20,371)
(77)
Kura
Oncology,
Inc.(Æ)
(3,274)
(62)
Kymera
Therapeutics,
Inc.(Æ)
(6,524)
(393)
Lineage
Cell
Therapeutics,
Inc.(Æ)
(16,265)
(43)
MannKind
Corp.(Æ)
(34,642)
(142)
Marinus
Pharmaceuticals,
Inc.(Æ)
(4,684)
(69)
Matinas
BioPharma
Holdings,
Inc.(Æ)
(76,237)
(54)
Mersana
Therapeutics,
Inc.(Æ)
(5,385)
(59)
Milestone
Scientific,
Inc.(Æ)
(10,487)
(21)
Misonix
,
Inc.(Æ)
(3,539)
(94)
NeoGenomics
,
Inc.(Æ)
(22,312)
(1,029)
Neubase
Therapeutics,
Inc.(Æ)
(16,540)
(58)
Ocular
Therapeutix
,
Inc.(Æ)
(3,031)
(33)
OncoCyte
Corp.(Æ)
(34,329)
(176)
Oncternal
Therapeutics,
Inc.(Æ)
(21,868)
(85)
PDS
Biotechnology
Corp.(Æ)
(6,752)
(72)
PLx
Pharma,
Inc.(Æ)
(4,483)
(84)
Protagonist
Therapeutics,
Inc.(Æ)
(2,620)
(130)
Russell
Investment
Company
U.S.
Small
Cap
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
28
U.S.
Small
Cap
Equity
Fund
cif
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Quanterix
Corp.(Æ)
(6,604)
(351)
R1
RCM,
Inc.(Æ)
(7,420)
(159)
Repligen
Corp.(Æ)
(5,861)
(1,440)
Replimune
Group,
Inc.(Æ)
(5,180)
(170)
Rigel
Pharmaceuticals,
Inc.(Æ)
(108,897)
(436)
Rocket
Pharmaceuticals,
Inc.(Æ)
(1,919)
(69)
Rubius
Therapeutics,
Inc.(Æ)
(3,411)
(73)
Sangamo
BioSciences
,
Inc.(Æ)
(53,282)
(510)
Seelos
Therapeutics,
Inc.(Æ)
(40,104)
(90)
Seres
Therapeutics,
Inc.(Æ)
(17,582)
(125)
Sientra
,
Inc.(Æ)
(21,367)
(176)
Sorrento
Therapeutics,
Inc.(Æ)
(4,301)
(35)
Spero
Therapeutics,
Inc.(Æ)
(5,550)
(74)
TFF
Pharmaceuticals,
Inc.(Æ)
(5,536)
(46)
TherapeuticsMD
,
Inc.(Æ)
(447,570)
(448)
Tonix
Pharmaceuticals
Holding
Corp.(Æ)
(34,206)
(24)
Vaxart
,
Inc.(Æ)
(14,954)
(108)
Veracyte
,
Inc.(Æ)
(26,377)
(1,175)
ViewRay
,
Inc.(Æ)
(31,424)
(208)
ZIOPHARM
Oncology,
Inc.(Æ)
(151,399)
(343)
(17,929)
Materials
and
Processing
-
(0.3)%
Builders
FirstSource
,
Inc.(Æ)
(26,345)
(1,172)
Cleveland-Cliffs,
Inc.(Æ)
(40,632)
(1,016)
Marrone
Bio
Innovations,
Inc.(Æ)
(31,083)
(39)
Quaker
Chemical
Corp.
(2,511)
(632)
RBC
Bearings,
Inc.(Æ)
(672)
(158)
Trex
Co.,
Inc.(Æ)
(11,564)
(1,122)
Uranium
Energy
Corp.(Æ)
(112,710)
(245)
(4,384)
Producer
Durables
-
(0.3)%
Aerovironment
,
Inc.(Æ)
(2,619)
(265)
Altra
Industrial
Motion
Corp.
(8,798)
(551)
American
Airlines
Group,
Inc.(Æ)
(45,981)
(937)
American
Superconductor
Corp.(Æ)
(10,596)
(149)
Aqua
Metals,
Inc.(Æ)
(23,455)
(54)
CryoPort
,
Inc.(Æ)
(8,633)
(533)
Custom
Truck
One
Source,
Inc.(Æ)
(8,437)
(66)
ExOne
Co.
(The)(Æ)
(4,200)
(70)
Genasys
,
Inc.(Æ)
(24,593)
(138)
Hawaiian
Holdings,
Inc.(Æ)
(9,308)
(184)
Hydrofarm
Holdings
Group,
Inc.(Æ)
(1,528)
(75)
Iteris
,
Inc.(Æ)
(22,292)
(139)
Liquidity
Services,
Inc.(Æ)
(4,627)
(92)
Magnite
,
Inc.(Æ)
(1,974)
(60)
Mesa
Laboratories,
Inc.
(1,334)
(393)
Purple
Innovation,
Inc.(Æ)
(12,518)
(330)
Sharps
Compliance
Corp.(Æ)
(5,993)
(60)
Vivint
Smart
Home,
Inc.(Æ)
(12,814)
(155)
Workhorse
Group,
Inc.(Æ)
(8,730)
(101)
(4,352)
Technology
-
(0.9)%
3D
Systems
Corp.(Æ)
(32,151)
(885)
ADT,
Inc.
(15,827)
(166)
Airgain
,
Inc.(Æ)
(4,613)
(84)
American
Software,
Inc.
Class
A
(3,820)
(84)
Aspen
Technology,
Inc.(Æ)
(8,552)
(1,251)
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Aterian
,
Inc.(Æ)
(2,182)
(20)
Atomera
,
Inc.(Æ)
(5,575)
(98)
AudioEye
,
Inc.(Æ)
(6,521)
(90)
AXT,
Inc.(Æ)
(22,273)
(227)
Brooks
Automation,
Inc.
(15,632)
(1,391)
Bumble,
Inc.
Class
A(Æ)
(1,672)
(85)
Clearfield,
Inc.(Æ)
(5,421)
(236)
Cree,
Inc.(Æ)
(12,642)
(1,173)
Digimarc
Corp.(Æ)
(4,413)
(127)
Digital
Turbine,
Inc.(Æ)
(2,507)
(158)
eMagin
Corp.(Æ)
(25,643)
(75)
Flying
Eagle
Acquisition
Corp.(Æ)
(37,544)
(529)
HyreCar
,
Inc.(Æ)
(6,906)
(121)
Ideanoics
,
Inc.(Æ)
(24,088)
(57)
Identiv
,
Inc.(Æ)
(5,409)
(88)
II-VI,
Inc.(Æ)
(16,643)
(1,162)
Immersion
Corp.(Æ)
(44,882)
(339)
Intellicheck
,
Inc.(Æ)
(12,900)
(116)
LivePerson
,
Inc.(Æ)
(10,020)
(638)
Luna
Innovations,
Inc.(Æ)
(4,508)
(56)
MicroStrategy
,
Inc.
Class
A(Æ)
(1,902)
(1,191)
NAPCO
Security
Technologies,
Inc.(Æ)
(6,322)
(223)
nLight
,
Inc.(Æ)
(9,968)
(346)
Onto
Innovation,
Inc.(Æ)
(21,799)
(1,528)
PAR
Technology
Corp.(Æ)
(7,111)
(434)
Powerfleet
,
Inc.(Æ)
(14,925)
(102)
Sabre
Corp.(Æ)
(92,353)
(1,089)
TechTarget
,
Inc.(Æ)
(3,410)
(249)
Vuzix
Corp.(Æ)
(4,607)
(68)
(14,486)
Utilities
(0.1)%
Anterix
Inc.(Æ)
(3,784)
(221)
Brigham
Minerals,
Inc.
Class
A
(11,611)
(228)
Evolution
Petroleum
Corp.
(14,361)
(60)
Globalstar
,
Inc.(Æ)
(116,702)
(161)
Tellurian,
Inc.(Æ)
(45,242)
(171)
(841)
Total
Securities
Sold
Short
(proceeds
$58,249)
(67,137)
Other
Assets
and
Liabilities,
Net
-
(1.3)%
(19,818)
Net
Assets
-
100.0%
1,496,287
Russell
Investment
Company
U.S.
Small
Cap
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
U.S.
Small
Cap
Equity
Fund
29
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
0.3%
APi
Group
Corp.
04/08/20
163,990
10
.09
1,655
3,759
3,759
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
Russell
2000
E-Mini
Index
Futures
629
USD
69,869
09/21
(1,581)
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
(1,581)
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical    
Expedient
(a)
Total
Common
Stocks
Consumer
Discretionary
$
186,886
$
$
$
$
186,886
Consumer
Staples
51,363
51,363
Energy
50,738
50,738
Financial
Services
309,264
309,264
Health
Care
287,518
287,518
Materials
and
Processing
104,273
104,273
Producer
Durables
228,564
228,564
Technology
199,194
199,194
Utilities
70,0
18
70,0
18
Short-Term
Investments
71,984
71,984
Other
Securities
23,440
23,440
Total
Investments
1,487,8
18
95,424
1,583,24
2
Securities
Sold
Short
**
(67,1
37
)
(67,1
37
)
Other
Financial
Instruments
Liabilities
Futures
Contracts
(1,581)
(1,581)
Total
Other
Financial
Instruments
*
$
(1,581)
$
$
$
$
(1,581)
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
**
Refer
to
Schedule
of
Investments
for
detailed
sector
breakout.
Russell
Investment
Company
U.S.
Small
Cap
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
30
U.S.
Small
Cap
Equity
Fund
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Russell
Investment
Company
International
Developed
Markets
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
International
Developed
Markets
Fund
31
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Common
Stocks
-
91.9%
Argentina
-
0.0%
YPF
SA
-
ADR(Æ)
155,182
677
Australia
-
2.2%
Australia
&
New
Zealand
Banking
Group,
Ltd.
-
ADR
60,158
1,225
BGP
Holdings
PLC(Æ)(Š)
559,805
BHP
Group
PLC
129,405
4,203
BHP
Group,
Ltd.
-
ADR
140,872
5,521
BlueScope
Steel,
Ltd.
51,231
921
Commonwealth
Bank
of
Australia
-
ADR
100,401
7,346
CSL,
Ltd.
7,574
1,608
Fortescue
Metals
Group,
Ltd.
191,751
3,521
Goodman
Group(ö)
45,025
749
Insurance
Australia
Group,
Ltd.(Æ)
524,069
1,871
Magellan
Financial
Group,
Ltd.
-
ADR
17,405
626
Medibank
Pvt,
Ltd.
527,105
1,282
National
Australia
Bank,
Ltd.
-
ADR
49,797
948
Newcrest
Mining,
Ltd.
47,730
930
Rio
Tinto
PLC
81,959
6,986
Rio
Tinto,
Ltd.
-
ADR
14,869
1,463
Sonic
Healthcare,
Ltd.
27,804
818
South32,
Ltd.
Class
B
992,988
2,174
Suncorp
Group,
Ltd.(Æ)
69,676
591
Telstra
Corp.,
Ltd.
289,154
803
Wesfarmers,
Ltd.(Æ)
16,580
745
Westpac
Banking
Corp.
39,098
701
45,032
Austria
-
0.3%
Erste
Group
Bank
AG
145,078
5,626
Belgium
-
0.4%
Ageas
SA
67,993
3,587
Colruyt
SA
11,419
649
KBC
Groep
NV
38,969
3,131
Solvay
SA
5,334
712
UCB
SA
8,308
899
8,978
Brazil
-
0.5%
Ambev
SA
2,735,000
8,738
Cia
de
Saneamento
Basico
do
Estado
de
Sao
Paulo(Æ)
230,300
1,568
10,306
Canada
-
4.5%
Alimentation
Couche-Tard,
Inc.
Class
B
26,440
1,066
ARC
Resources,
Ltd.
167,349
1,266
B2Gold
Corp.
345,688
1,449
Bank
of
Montreal(Ñ)
14,880
1,473
Bank
of
Nova
Scotia
(The)
15,792
986
Barrick
Gold
Corp.
167,397
3,644
CAE,
Inc.(Æ)
423,636
12,928
Cameco
Corp.
Class
A
98,295
1,750
Canadian
Imperial
Bank
of
Commerce
9,976
1,160
Canadian
National
Railway
Co.
177,760
19,316
Canadian
Natural
Resources,
Ltd.
25,408
838
CGI
Group,
Inc.(Æ)
8,597
782
Constellation
Software,
Inc.
671
1,075
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Dollarama,
Inc.
68,578
3,229
Enbridge,
Inc.
31,505
1,242
Great-West
Lifeco,
Inc.
16,734
504
iA
Financial
Corp.,
Inc.
7,435
411
Kinross
Gold
Corp.
293,292
1,924
Loblaw
Cos.,
Ltd.
13,835
936
Magna
International,
Inc.
Class
A
10,822
907
Manulife
Financial
Corp.
46,014
890
Metro,
Inc.
Class
A
29,493
1,529
National
Bank
of
Canada
21,403
1,638
Open
Text
Corp.
17,369
902
Power
Corp.
of
Canada
13,155
420
Royal
Bank
of
Canada
-
GDR
79,949
8,086
Shopify,
Inc.
Class
A(Æ)
3,575
5,363
Sun
Life
Financial,
Inc.
114,707
5,974
Thomson
Reuters
Corp.(Æ)
6,472
686
Toronto-Dominion
Bank
(The)
110,866
7,371
Tourmaline
Oil
Corp.
48,624
1,327
WSP
Global,
Inc.
7,447
884
91,956
China
-
1.3%
Alibaba
Group
Holding,
Ltd.
-
ADR(Æ)
82,996
16,200
Dongfeng
Motor
Group
Co.,
Ltd.
Class
H
3,838,000
3,417
Tencent
Holdings,
Ltd.
99,588
6,146
Yatsen
Holding,
Ltd.
-
ADR(Æ)(Ñ)
17,210
116
25,879
Denmark
-
1.3%
AP
Moller
-
Maersk
A/S
Class
B
3,724
10,337
Coloplast
A/S
Class
B
5,108
934
Danske
Bank
A/S
244,350
4,277
Drilling
Co.
of
1972
A/S
(The)(Æ)
9,797
378
DSV
Panalpina
A/S
24,447
5,955
Genmab
A/S(Æ)
2,063
931
Novo
Nordisk
A/S
Class
B
31,475
2,915
Novozymes
A/S
Class
B
9,013
708
26,435
Finland
-
1.9%
Elisa
OYJ
38,662
2,485
Fortum
OYJ
35,425
978
Kone
OYJ
Class
B
54,327
4,499
Neste
OYJ
20,743
1,276
Nokia
OYJ(Æ)
2,922,665
17,922
Nordea
Bank
AB
128,186
1,500
Orion
OYJ
Class
B
10,943
466
Sampo
OYJ
Class
A
72,678
3,504
Stora
Enso
OYJ
Class
R
59,606
1,179
UPM-Kymmene
OYJ
102,706
4,199
38,008
France
-
9.1%
Accor
SA(Æ)
84,716
3,000
Air
Liquide
SA
Class
A
4,386
762
Airbus
Group
SE(Æ)
37,491
5,143
Amundi
SA(Þ)
80,835
7,475
Arkema
SA
7,021
894
Atos
SE
6,875
329
AXA
SA
265,241
6,866
BNP
Paribas
SA
115,285
7,014
Russell
Investment
Company
International
Developed
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
32
International
Developed
Markets
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Bouygues
SA
-
ADR
91,791
3,540
Bureau
Veritas
SA
88,988
2,937
Capgemini
SE
17,381
3,760
Carrefour
SA
35,861
667
Cie
de
Saint-Gobain
SA
141,453
10,119
Cie
Generale
des
Etablissements
Michelin
SCA
Class
B
77,745
12,696
Credit
Agricole
SA
24,354
339
Danone
SA
14,289
1,052
Dassault
Aviation
SA
1,293
1,541
Dassault
Systemes
SE
13,645
753
Eiffage
SA
7,816
796
Engie
SA
396,774
5,295
EssilorLuxottica
SA
4,710
889
Faurecia
SE
2,581
116
Hermes
International
1,119
1,712
L'Oreal
SA
17,380
7,961
LVMH
Moet
Hennessy
Louis
Vuitton
SE
-
ADR
17,907
14,330
Orange
SA
-
ADR
428,856
4,779
Publicis
Groupe
SA
-
ADR
113,225
7,146
Renault
SA(Æ)
62,856
2,391
Rexel
SA
Class
H(Æ)
948,692
20,004
Sanofi
-
ADR
89,432
9,216
Schneider
Electric
SE
61,446
10,296
SCOR
SE
-
ADR
141,106
3,947
Societe
Generale
SA
159,905
4,685
Technip
Energies
NV
-
ADR(Æ)
175,512
2,378
Total
SE
252,799
11,023
Vinci
SA
13,553
1,433
Vivendi
SA
-
ADR
120,895
4,084
Worldline
SA(Æ)(Þ)
41,101
3,846
185,214
Germany
-
4.6%
Allianz
SE
8,727
2,173
BASF
SE
154,515
12,141
Bayer
AG
18,138
1,082
Bayerische
Motoren
Werke
AG
11,825
1,176
Brenntag
AG
5,222
522
Ceconomy
AG(Æ)
229,294
1,101
Continental
AG(Æ)
20,348
2,765
Covestro
AG(Þ)
189,800
12,214
Daimler
AG
79,682
7,118
Deutsche
Boerse
AG
23,908
3,993
Deutsche
Post
AG
18,232
1,235
Deutsche
Telekom
AG
68,498
1,423
E.ON
SE
115,254
1,418
Evonik
Industries
AG
19,013
661
Fresenius
Medical
Care
AG
&
Co.
108,696
8,582
Fresenius
SE
&
Co.
KGaA
126,078
6,632
Hannover
Rueck
SE
10,141
1,707
HeidelbergCement
AG
8,889
789
Infineon
Technologies
AG
-
ADR
105,233
4,012
Metro
AG
74,760
969
Muenchener
Rueckversicherungs-
Gesellschaft
AG
17,194
4,650
RWE
AG
29,855
1,063
SAP
SE
-
ADR
13,489
1,935
Scout24
AG(Þ)
9,727
833
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Siemens
AG
36,431
5,688
Siemens
Energy
AG(Æ)
24,113
656
Symrise
AG
6,464
953
Vonovia
SE
14,774
985
Zalando
SE(Æ)(Þ)
39,255
4,366
92,842
Hong
Kong
-
2.8%
AIA
Group,
Ltd.
1,191,346
14,290
CK
Asset
Holdings,
Ltd.
678,657
4,628
CK
Hutchison
Holdings,
Ltd.
Class
B
77,631
568
CLP
Holdings,
Ltd.
481,500
4,967
Galaxy
Entertainment
Group,
Ltd.(Æ)
449,000
3,055
Hang
Seng
Bank,
Ltd.
161,200
3,089
Henderson
Land
Development
Co.,
Ltd.
148,720
665
Hong
Kong
Exchanges
&
Clearing,
Ltd.
18,900
1,208
Jardine
Matheson
Holdings,
Ltd.
17,100
1,016
Link
Real
Estate
Investment
Trust(ö)
91,400
875
New
World
Development
Co.,
Ltd.
149,250
709
Power
Assets
Holdings,
Ltd.
268,500
1,736
Sino
Land
Co.,
Ltd.
350,793
537
Sun
Hung
Kai
Properties,
Ltd.
66,000
946
Techtronic
Industries
Co.,
Ltd.
879,289
15,736
WH
Group,
Ltd.(Þ)
686,000
569
Xinyi
Glass
Holdings,
Ltd.
398,000
1,487
56,081
India
-
1.3%
Canara
Bank(Æ)
577,323
1,190
Housing
Development
Finance
Corp.,
Ltd.
546,245
17,999
NTPC,
Ltd.
186,941
298
Oil
&
Natural
Gas
Corp.,
Ltd.
1,525,045
2,351
Reliance
Industries,
Ltd.
-
GDR(Þ)
47,795
2,643
Zee
Entertainment
Enterprises,
Ltd.
518,695
1,415
25,896
Indonesia
-
0.1%
Bank
Mandiri
Persero
Tbk
PT
4,464,800
1,764
Ireland
-
1.5%
AIB
Group
PLC(Æ)
872,514
2,135
Bank
of
Ireland
Group
PLC(Æ)
510,478
2,709
CRH
PLC
19,392
966
DCC
PLC
11,278
944
Flutter
Entertainment
PLC(Æ)
28,775
4,917
Kerry
Group
PLC
Class
A
89,330
13,245
Kingspan
Group
PLC
9,078
987
Ryanair
Holdings
PLC
-
ADR(Æ)
31,143
3,396
Smurfit
Kappa
Group
PLC
13,652
770
30,069
Israel
-
0.1%
Bank
Hapoalim
BM(Æ)
78,886
628
Bank
Leumi
Le-Israel
BM(Æ)
95,301
729
Check
Point
Software
Technologies,
Ltd.
(Æ)
7,544
959
Israel
Discount
Bank,
Ltd.
Class
A(Æ)
143,483
673
2,989
Russell
Investment
Company
International
Developed
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
International
Developed
Markets
Fund
33
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Italy
-
2.1%
Assicurazioni
Generali
SpA
277,174
5,538
BPER
Banca
SpA
684,635
1,336
Davide
Campari-Milano
SpA(Æ)
285,115
4,013
Enel
SpA
970,667
8,963
Eni
SpA
-
ADR
491,275
5,803
Ferrari
NV
15,923
3,474
FinecoBank
Banca
Fineco
SpA
92,975
1,665
Intesa
Sanpaolo
SpA
405,724
1,120
Moncler
SpA
48,011
3,306
Saipem
SpA(Æ)(Ñ)
642,684
1,477
Telecom
Italia
SpA
1,026,920
452
UniCredit
SpA
472,128
5,647
42,794
Japan
-
16.6%
Alfresa
Holdings
Corp.
82,300
1,259
Alps
Alpine
Co.,
Ltd.
133,400
1,386
Asahi
Glass
Co.,
Ltd.
18,600
799
Asahi
Kasei
Corp.
58,900
642
Astellas
Pharma,
Inc.
283,300
4,512
Benesse
Holdings,
Inc.
15,700
361
Bridgestone
Corp.
136,300
5,999
Brother
Industries,
Ltd.
22,700
461
Canon,
Inc.
229,100
5,261
Casio
Computer
Co.,
Ltd.
32,000
521
Chiyoda
Corp.(Æ)(Ñ)
164,500
585
Chubu
Electric
Power
Co.,
Inc.
52,200
629
Concordia
Financial
Group,
Ltd.
185,200
665
Dai-ichi
Life
Holdings,
Inc.
205,025
3,788
Daiichi
Sankyo
Co.,
Ltd.
94,700
1,875
Daikin
Industries,
Ltd.
4,000
831
Daito
Trust
Construction
Co.,
Ltd.
12,800
1,507
Daiwa
House
Industry
Co.,
Ltd.
16,100
494
DeNA
Co.,
Ltd.
107,000
2,019
Eisai
Co.,
Ltd.
49,110
4,031
ENEOS
Holdings,
Inc.
142,800
595
Fuji
Media
Holdings,
Inc.
26,900
292
FUJIFILM
Holdings
Corp.
14,600
1,049
Fujitsu,
Ltd.
7,200
1,223
Fukuoka
Financial
Group,
Inc.
152,500
2,573
Gree,
Inc.
315,900
1,743
Hino
Motors,
Ltd.
398,000
3,481
Hitachi
Metals,
Ltd.
215,000
4,197
Hitachi,
Ltd.
18,700
1,074
Honda
Motor
Co.,
Ltd.
620,870
19,862
Hoya
Corp.
6,200
875
Iida
Group
Holdings
Co.,
Ltd.
199,500
4,815
Inpex
Corp.
442,000
3,116
Isuzu
Motors,
Ltd.
995,800
13,260
ITOCHU
Corp.
53,400
1,591
Japan
Airlines
Co.,
Ltd.(Æ)
162,900
3,410
Japan
Exchange
Group,
Inc.
94,200
2,144
Japan
Tobacco,
Inc.
254,700
4,981
JGC
Holdings
Corp.
245,900
2,229
Kajima
Corp.
46,000
595
Kamigumi
Co.,
Ltd.
75,500
1,602
Kao
Corp.
90,100
5,417
KDDI
Corp.
172,700
5,270
Keyence
Corp.
24,900
13,866
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Komatsu,
Ltd.
474,000
12,359
Kyocera
Corp.
57,300
3,542
Marubeni
Corp.
58,700
503
MEIJI
Holdings
Co.,
Ltd.
41,900
2,595
Menicon
Co.,
Ltd.
122,500
8,955
Mitsubishi
Chemical
Holdings
Corp.
115,300
968
Mitsubishi
Corp.
36,900
1,040
Mitsubishi
Electric
Corp.
309,400
4,188
Mitsubishi
Estate
Co.,
Ltd.
218,800
3,433
Mitsubishi
Heavy
Industries,
Ltd.
57,700
1,676
Mitsubishi
Motors
Corp.(Æ)
309,500
868
Mitsubishi
UFJ
Financial
Group,
Inc.
1,327,100
7,031
Mitsui
&
Co.,
Ltd.
263,700
6,086
Mizuho
Financial
Group,
Inc.
57,300
818
MS&AD
Insurance
Group
Holdings,
Inc.
104,800
3,240
Murata
Manufacturing
Co.,
Ltd.
46,000
3,814
Nikon
Corp.
210,200
1,958
Nintendo
Co.,
Ltd.
8,520
4,390
Nippon
Telegraph
&
Telephone
Corp.
37,464
960
Nippon
Television
Holdings,
Inc.
140,200
1,562
Nissan
Motor
Co.,
Ltd.(Æ)
554,600
3,210
Nitori
Holdings
Co.,
Ltd.
4,200
799
Nitto
Denko
Corp.
24,800
1,845
Nomura
Holdings,
Inc.
447,800
2,238
Obayashi
Corp.
66,400
546
Ono
Pharmaceutical
Co.,
Ltd.
182,800
4,181
ORIX
Corp.
58,800
1,028
Otsuka
Corp.
19,000
993
Otsuka
Holdings
Co.,
Ltd.
87,300
3,470
Panasonic
Corp.
763,000
9,139
Pigeon
Corp.
25,300
732
Resona
Holdings,
Inc.
1,691,000
6,373
Secom
Co.,
Ltd.
13,900
1,050
Sekisui
Chemical
Co.,
Ltd.
83,500
1,441
Sekisui
House,
Ltd.
50,700
1,004
Shimamura
Co.,
Ltd.
35,100
3,392
Shimano,
Inc.
3,300
844
Shin-Etsu
Chemical
Co.,
Ltd.
99,694
16,268
SMC
Corp.
5,100
3,031
SoftBank
Corp.
88,800
2,932
Sompo
Japan
Nipponkoa
Holdings,
Inc.
19,100
790
Sony
Corp.
42,450
4,431
Subaru
Corp.
36,300
712
Sumitomo
Chemical
Co.,
Ltd.
115,600
602
Sumitomo
Corp.
57,000
775
Sumitomo
Electric
Industries,
Ltd.
61,500
874
Sumitomo
Heavy
Industries,
Ltd.
52,700
1,468
Sumitomo
Mitsui
Banking
Corp.
325,700
10,980
Sumitomo
Mitsui
Trust
Holdings,
Inc.
124,500
4,091
Suzuki
Motor
Corp.
37,100
1,510
T&D
Holdings,
Inc.
567,900
7,279
Taiheiyo
Cement
Corp.
75,300
1,753
Takeda
Pharmaceutical
Co.,
Ltd.
196,600
6,535
Terumo
Corp.
27,700
1,075
THK
Co.,
Ltd.
64,600
1,849
Tokio
Marine
Holdings,
Inc.
8,600
410
Tokyo
Electron,
Ltd.
2,200
906
Toppan
Printing
Co.,
Ltd.
84,900
1,442
Toray
Industries,
Inc.
141,700
934
Tosoh
Corp.
31,400
552
Russell
Investment
Company
International
Developed
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
34
International
Developed
Markets
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Toyota
Industries
Corp.
128,100
10,737
Toyota
Motor
Corp.
33,900
3,044
Toyota
Tsusho
Corp.
15,800
747
Trend
Micro,
Inc.
23,100
1,202
Unicharm
Corp.
28,000
1,123
USS
Co.,
Ltd.
42,900
746
337,954
Jersey
-
0.1%
Allfunds
Group
PLC(Æ)
82,348
1,448
Luxembourg
-
0.9%
ArcelorMittal
SA(Æ)
222,514
7,772
Eurofins
Scientific
SE
78,577
9,399
RTL
Group
SA
40,619
2,298
19,469
Macao
-
0.1%
Sands
China,
Ltd.(Æ)
684,715
2,343
Malaysia
-
0.1%
CIMB
Group
Holdings
BHD
1,420,400
1,497
Mexico
-
0.8%
America
Movil
SAB
de
CV
Class
L
-
ADR
249,787
4,159
Grupo
Televisa
SAB
-
ADR
890,435
12,065
16,224
Netherlands
-
4.9%
ABN
AMRO
Bank
NV(Þ)
284,508
3,305
Adyen
NV(Æ)(Þ)
1,745
4,751
Akzo
Nobel
NV
27,432
3,392
ASML
Holding
NV
14,930
11,353
Exor
NV
7,836
645
Heineken
NV
180,376
21,008
ING
Groep
NV
1,432,470
18,344
Koninklijke
Ahold
Delhaize
NV
45,887
1,427
Koninklijke
KPN
NV
580,381
1,907
Koninklijke
Philips
NV
85,180
3,929
NN
Group
NV
17,700
879
PostNL
NV
-
ADR
291,429
1,578
Randstad
NV
23,888
1,734
Royal
Dutch
Shell
PLC
Class
A
580,170
11,786
Royal
Dutch
Shell
PLC
Class
B
659,693
13,020
Stellantis
NV
24,811
477
Wolters
Kluwer
NV
9,212
1,051
100,586
New
Zealand
-
0.6%
Fisher
&
Paykel
Healthcare
Corp.,
Ltd.
506,298
11,140
Spark
New
Zealand,
Ltd.
198,467
655
11,795
Norway
-
0.5%
Gjensidige
Forsikring
ASA
20,127
460
Mowi
ASA
82,731
2,107
Norsk
Hydro
ASA
775,909
5,162
Orkla
ASA
92,275
839
Yara
International
ASA
18,887
995
9,563
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Russia
-
0.5%
Gazprom
PJSC
-
ADR
464,583
3,616
Lukoil
PJSC
-
ADR
14,137
1,212
Sberbank
of
Russia
PJSC
-
ADR
118,832
1,978
VEON,
Ltd.(Æ)
766,790
1,342
Yandex
NV
Class
A(Æ)
28,445
1,932
10,080
Singapore
-
0.7%
DBS
Group
Holdings,
Ltd.
193,438
4,341
Oversea-Chinese
Banking
Corp.,
Ltd.
92,460
837
Singapore
Technologies
Engineering,
Ltd.
124,800
369
Singapore
Telecommunications,
Ltd.
231,200
387
United
Overseas
Bank,
Ltd.
46,900
908
Venture
Corp.,
Ltd.
96,200
1,350
Wilmar
International,
Ltd.
1,631,100
5,241
13,433
South
Africa
-
0.3%
Gold
Fields,
Ltd.
-
ADR
201,952
1,983
Impala
Platinum
Holdings,
Ltd.
20,194
364
MTN
Group,
Ltd.(Æ)
302,850
2,176
Old
Mutual,
Ltd.
1,682,419
1,481
6,004
South
Korea
-
2.2%
Hankook
Tire
&
Technology
Co.,
Ltd.
53,070
2,235
KB
Financial
Group,
Inc.
118,018
5,243
KT
Corp.
-
ADR
339,404
4,884
LG
Household
&
Health
Care,
Ltd.
7,211
9,156
POSCO
32,581
10,342
Samsung
Electronics
Co.,
Ltd.
69,083
4,724
Shinhan
Financial
Group
Co.,
Ltd.
244,712
8,322
44,906
Spain
-
2.0%
ACS
Actividades
de
Construccion
y
Servicios
SA
22,380
588
Amadeus
IT
Group
SA
Class
A(Æ)
94,848
6,209
Banco
Bilbao
Vizcaya
Argentaria
SA
-
ADR
63,195
405
Banco
Santander
SA
-
ADR
164,879
603
CaixaBank
SA
3,277,951
9,745
Cellnex
Telecom
SA(Þ)
180,380
11,755
Endesa
SA
-
ADR
43,940
1,069
Iberdrola
SA
97,224
1,172
Industria
de
Diseno
Textil
SA
195,525
6,634
Naturgy
Energy
Group
SA
27,929
722
Repsol
SA
-
ADR
69,651
762
Telefonica
SA
-
ADR
181,807
834
40,498
Sweden
-
1.6%
Assa
Abloy
AB
Class
B
147,489
4,729
Atlas
Copco
AB(Æ)
53,558
3,626
Boliden
AB(Æ)
66,760
2,605
Epiroc
AB
Class
A
23,249
543
Hexagon
AB(Æ)
57,582
955
Husqvarna
AB
Class
B
27,950
391
ICA
Gruppen
AB
9,256
458
Russell
Investment
Company
International
Developed
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
International
Developed
Markets
Fund
35
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Investor
AB
Class
B
67,765
1,679
Kinnevik
AB
Class
B(Æ)
15,109
659
Sandvik
AB
345,858
9,008
Skandinaviska
Enskilda
Banken
AB
Class
A
74,299
1,004
Skanska
AB
Class
B
36,277
1,024
SKF
AB
Class
B
30,959
824
Svenska
Handelsbanken
AB
Class
A
59,821
675
Swedbank
AB
Class
A
36,101
703
Swedish
Match
AB
306,100
2,741
Volvo
AB
Class
B
42,530
1,003
32,627
Switzerland
-
8.5%
ABB,
Ltd.
186,857
6,831
Adecco
Group
AG
112,232
6,723
Alcon,
Inc.
43,624
3,176
Baloise
Holding
AG
3,218
508
Chocoladefabriken
Lindt
&
Spruengli
AG
72
808
Credit
Suisse
Group
AG
Class
A
316,293
3,179
EMS-Chemie
Holding
AG
871
965
Geberit
AG
1,012
831
Givaudan
SA
199
993
Julius
Baer
Group,
Ltd.
114,327
7,563
Kuehne
&
Nagel
International
AG
1,694
572
LafargeHolcim,
Ltd.(Æ)
131,841
7,729
Lonza
Group
AG
5,828
4,536
Nestle
SA
276,794
35,075
Novartis
AG
157,170
14,538
Partners
Group
Holding
AG
6,305
10,779
Roche
Holding
AG
63,955
24,732
Schindler
Holding
AG
2,825
914
SGS
SA
1,279
4,143
Sika
AG
2,635
928
Straumann
Holding
AG
403
747
Swiss
Life
Holding
AG
2,106
1,088
Swiss
Re
AG
8,355
756
Swisscom
AG
7,195
4,329
Temenos
AG
41,057
6,526
UBS
Group
AG
1,144,956
18,879
Zurich
Insurance
Group
AG
11,633
4,689
172,537
Taiwan
-
2.6%
Catcher
Technology
Co.,
Ltd.
908,000
6,005
Hon
Hai
Precision
Industry
Co.,
Ltd.
3,757,241
14,837
MediaTek,
Inc.
138,000
4,487
Shin
Kong
Financial
Holding
Co.,
Ltd.
4,555,000
1,493
Taiwan
Semiconductor
Manufacturing
Co.,
Ltd.
462,000
9,620
Taiwan
Semiconductor
Manufacturing
Co.,
Ltd.
-
ADR
145,243
16,941
53,383
Thailand
-
0.2%
Kasikornbank
PCL
1,104,300
3,452
Turkey
-
0.1%
Turk
Telekomunikasyon
AS
1,148,322
888
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Turkcell
Iletisim
Hizmetleri
AS
715,783
1,307
2,195
United
Kingdom
-
11.4%
3i
Group
PLC
45,011
800
Anglo
American
PLC
218,667
9,687
Ashtead
Group
PLC
10,081
755
AstraZeneca
PLC
66,912
7,685
Aviva
PLC
857,129
4,612
Babcock
International
Group
PLC(Æ)
505,968
1,799
BAE
Systems
PLC
731,442
5,854
Barclays
PLC
2,273,185
5,509
Barratt
Developments
PLC
70,683
691
Berkeley
Group
Holdings
PLC
27,736
1,867
BP
PLC
2,131,181
8,545
British
American
Tobacco
PLC
45,904
1,711
British
Land
Co.
PLC
(The)(ö)
295,516
2,096
BT
Group
PLC(Æ)
1,827,139
4,408
Centrica
PLC(Æ)
2,378,800
1,503
Compass
Group
PLC(Æ)
550,799
11,636
Croda
International
PLC(Æ)
9,335
1,092
Diageo
PLC
107,052
5,311
Direct
Line
Insurance
Group
PLC
337,951
1,395
Endeavour
Mining
Corp.
46,630
1,110
Experian
PLC
46,556
2,049
Ferguson
PLC
7,450
1,044
GlaxoSmithKline
PLC
-
ADR
77,547
1,532
Halma
PLC
34,412
1,381
HSBC
Holdings
PLC
1,669,163
9,213
Imperial
Tobacco
Group
PLC
23,934
513
Intermediate
Capital
Group
PLC(Æ)
167,411
5,045
J
Sainsbury
PLC
4,114,717
16,198
John
Wood
Group
PLC(Æ)
2,641,889
8,000
Johnson
Matthey
PLC
12,462
515
Kingfisher
PLC
747,429
3,826
Land
Securities
Group
PLC(ö)
197,092
1,943
Legal
&
General
Group
PLC
187,324
680
Linde
PLC
60,729
18,605
Lloyds
Banking
Group
PLC
940,284
596
M&G
PLC
231,082
724
Marks
&
Spencer
Group
PLC(Æ)
891,124
1,677
Mondi
PLC
101,389
2,811
Natwest
Group
PLC
1,760,554
4,950
Persimmon
PLC
Class
A
72,530
2,926
Reckitt
Benckiser
Group
PLC
4,406
338
RELX
PLC
64,875
1,906
Segro
PLC(ö)
92,192
1,560
Smith
&
Nephew
PLC
227,937
4,646
Spirax-Sarco
Engineering
PLC
3,538
738
St.
James's
Place
PLC
122,775
2,707
Standard
Chartered
PLC
1,544,234
9,251
Taylor
Wimpey
PLC
409,788
937
TechnipFMC
PLC(Æ)
666,783
4,814
Tesco
PLC
3,174,028
10,275
Travis
Perkins
PLC(Æ)
450,552
10,658
Unilever
PLC
126,532
7,286
Vodafone
Group
PLC
4,218,092
6,765
Wausau
Paper
Corp.
512,554
6,636
Russell
Investment
Company
International
Developed
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
36
International
Developed
Markets
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Wm
Morrison
Supermarkets
PLC
167,262
622
231,433
United
States
-
3.2%
Accenture
PLC
Class
A
49,947
15,867
Allegion
PLC
103,571
14,148
Amdocs,
Ltd.
117,767
9,081
Aon
PLC
Class
A
51,393
13,364
James
Hardie
Industries
PLC
78,314
2,639
Lululemon
Athletica,
Inc.(Æ)
10,901
4,362
Ovintiv,
Inc.
88,537
2,276
Pagseguro
Digital,
Ltd.
Class
A(Æ)(Ñ)
63,867
3,541
65,278
Total
Common
Stocks
(cost
$1,675,578)
1,867,251
Preferred
Stocks
-
2.2%
Germany
-
1.4%
Henkel
AG
&
Co.
KGaA
2.229%
(Ÿ)
9,713
985
Porsche
Automobil
Holding
SE
2.688%
(Ÿ)
9,774
1,058
Sartorius
AG
0.125%
(Ÿ)
15,311
9,261
Volkswagen
AG
2.520%
(Ÿ)
69,730
17,017
28,321
South
Korea
-
0.8%
Samsung
Electronics
Co.,
Ltd.
4.399%
(Ÿ)
272,319
17,094
Total
Preferred
Stocks
(cost
$32,485)
45,415
Short-Term
Investments
-
3.5%
United
States
-
3.5%
U.S.
Cash
Management
Fund(@)
70,831,287
(∞)
70,817
Total
Short-Term
Investments
(cost
$70,817)
70,817
Other
Securities
-
0.4%
U.S.
Cash
Collateral
Fund(@)(×)
8,448,661
(∞)
8,449
Total
Other
Securities
(cost
$8,449)
8,449
Total
Investments
-
98.0%
(identified
cost
$1,787,329)
1,991,932
Other
Assets
and
Liabilities,
Net
-
2.0%
40,229
Net
Assets
-
100.0%
2,032,161
Russell
Investment
Company
International
Developed
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
International
Developed
Markets
Fund
37
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
2.5%
ABN
AMRO
Bank
NV
10/03/19
EUR
284,508
17
.64
5,019
3,305
Adyen
NV
07/25/19
EUR
1,745
898
.31
1,568
4,751
Amundi
SA
02/28/19
EUR
80,835
66
.71
5,393
7,475
Cellnex
Telecom
SA
02/27/18
EUR
180,380
38
.64
6,970
11,755
Covestro
AG
06/26/19
EUR
189,800
43
.77
8,307
12,214
Reliance
Industries,
Ltd.
10/21/20
47,795
56
.09
2,681
2,643
Scout24
AG
12/17/20
EUR
9,727
83
.16
809
833
WH
Group,
Ltd.
06/26/19
HKD
686,000
1
.02
697
569
Worldline
SA
02/14/20
EUR
41,101
77
.61
3,190
3,846
Zalando
SE
12/12/19
EUR
39,255
62
.01
2,434
4,366
51,757
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
Amsterdam
Index
Futures
53
EUR
7,963
08/21
156
CAC40
Euro
Index
Futures
323
EUR
21,349
08/21
264
DAX
Index
Futures
43
EUR
16,715
09/21
(235)
EURO
STOXX
50
Index
Futures
307
EUR
12,550
09/21
(155)
FTSE
100
Index
Futures
122
GBP
8,499
09/21
(179)
FTSE/MIB
Index
Futures
39
EUR
4,945
09/21
(51)
Hang
Seng
Index
Futures
39
HKD
50,499
08/21
76
IBEX
35
Index
Futures
54
EUR
4,684
08/21
(11)
MSCI
Singapore
Index
Futures
94
SGD
3,392
08/21
41
OMXS30
Index
Futures
251
SEK
59,493
08/21
72
S&P/TSX
60
Index
Futures
384
CAD
93,112
09/21
1,271
SPI
200
Index
Futures
496
AUD
90,520
09/21
117
TOPIX
Index
Futures
569
JPY
10,839,450
09/21
(2,802)
Short
Positions
MSCI
Emerging
Markets
Index
Futures
2,970
USD
189,738
09/21
13,656
S&P
500
E-Mini
Index
Futures
487
USD
106,884
09/21
(3,842)
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
8,378
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
EUR
1,632
USD
1,936
08/03/21
(1)
Bank
of
America
JPY
155,801
USD
1,419
08/03/21
(1)
Bank
of
America
JPY
442,000
USD
4,000
09/15/21
(30)
Bank
of
Montreal
USD
17,401
AUD
22,500
09/15/21
(886)
Bank
of
Montreal
USD
20,879
CAD
25,245
09/15/21
(645)
Bank
of
Montreal
USD
7,868
EUR
6,445
09/15/21
(216)
Bank
of
Montreal
USD
5,173
GBP
3,662
09/15/21
(82)
Bank
of
Montreal
USD
25,298
JPY
2,770,626
09/15/21
(35)
Bank
of
New
York
USD
17,456
AUD
22,500
09/15/21
(941)
Russell
Investment
Company
International
Developed
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
38
International
Developed
Markets
Fund
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
New
York
USD
20,922
CAD
25,245
09/15/21
(687)
Bank
of
New
York
USD
7,884
EUR
6,445
09/15/21
(233)
Bank
of
New
York
USD
5,182
GBP
3,662
09/15/21
(91)
Bank
of
New
York
USD
25,375
JPY
2,770,626
09/15/21
(111)
Citigroup
USD
17,402
AUD
22,500
09/15/21
(887)
Citigroup
USD
20,887
CAD
25,245
09/15/21
(652)
Citigroup
USD
7,870
EUR
6,445
09/15/21
(219)
Citigroup
USD
5,170
GBP
3,662
09/15/21
(79)
Citigroup
USD
25,308
JPY
2,770,626
09/15/21
(45)
Citigroup
JPY
2,430,410
USD
21,995
09/15/21
(166)
JPMorgan
Chase
USD
17,401
AUD
22,500
09/15/21
(886)
JPMorgan
Chase
USD
20,879
CAD
25,245
09/15/21
(645)
JPMorgan
Chase
USD
22,017
DKK
139,050
09/15/21
173
JPMorgan
Chase
USD
7,868
EUR
6,445
09/15/21
(216)
JPMorgan
Chase
USD
5,173
GBP
3,662
09/15/21
(82)
JPMorgan
Chase
USD
25,298
JPY
2,770,626
09/15/21
(35)
Royal
Bank
of
Canada
USD
17,467
AUD
22,500
09/15/21
(953)
Royal
Bank
of
Canada
USD
20,919
CAD
25,245
09/15/21
(685)
Royal
Bank
of
Canada
USD
7,887
EUR
6,445
09/15/21
(235)
Royal
Bank
of
Canada
USD
5,184
GBP
3,662
09/15/21
(93)
Royal
Bank
of
Canada
USD
25,379
JPY
2,770,626
09/15/21
(116)
Royal
Bank
of
Canada
USD
5,912
NOK
52,000
09/15/21
(26)
State
Street
USD
16,167
NOK
133,730
09/15/21
(1,027)
State
Street
USD
4,016
NZD
5,600
09/15/21
(115)
State
Street
USD
9,262
SEK
76,460
09/15/21
(377)
State
Street
USD
317
SGD
420
09/15/21
(7)
State
Street
CHF
13,140
USD
14,701
09/15/21
179
State
Street
DKK
76,550
USD
12,563
09/15/21
347
State
Street
HKD
2,290
USD
295
09/15/21
State
Street
TWD
4,497
USD
161
08/02/21
Total
Unrealized
Appreciation
(Depreciation)
on
Open
Foreign
Currency
Exchange
Contracts
(10,806)
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
Common
Stocks
Argentina
$
677
$
$
$
$
677
Australia
45,032
45,032
Austria
5,626
5,626
Belgium
8,978
8,978
Brazil
10,306
10,306
Canada
91,956
91,956
China
16,316
9,563
25,879
Denmark
26,435
26,435
Finland
38,008
38,008
France
2,378
182,836
185,214
Germany
92,842
92,842
Hong
Kong
56,081
56,081
India
25,896
25,896
Russell
Investment
Company
International
Developed
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
International
Developed
Markets
Fund
39
It
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
Indonesia
1,764
1,764
Ireland
3,396
26,673
30,069
Israel
959
2,030
2,989
Italy
42,794
42,794
Japan
337,954
337,954
Jersey
1,448
1,448
Luxembourg
19,469
19,469
Macao
2,343
2,343
Malaysia
1,497
1,497
Mexico
16,224
16,224
Netherlands
100,586
100,586
New
Zealand
11,795
11,795
Norway
9,563
9,563
Russia
3,274
6,806
10,080
Singapore
13,433
13,433
South
Africa
1,983
4,021
6,004
South
Korea
4,884
40,022
44,906
Spain
40,498
40,498
Sweden
32,627
32,627
Switzerland
172,537
172,537
Taiwan
16,941
36,442
53,383
Thailand
3,452
3,452
Turkey
2,195
2,195
United
Kingdom
5,924
225,509
231,433
United
States
62,639
2,639
65,278
Preferred
Stocks
45,415
45,415
Short-Term
Investments
70,817
70,817
Other
Securities
8,449
8,449
Total
Investments
237,857
1,674,809
79,266
1,991,932
Other
Financial
Instruments
Assets
Futures
Contracts
15,654
15,654
Foreign
Currency
Exchange
Contracts
699
699
Liabilities
Futures
Contracts
(7,276)
(7,276
)
Foreign
Currency
Exchange
Contracts
(2)
(11,505)
(11,507
)
Total
Other
Financial
Instruments
*
$
8,376
$
(10,806)
$
$
$
(2,430
)
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
Russell
Investment
Company
International
Developed
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
40
International
Developed
Markets
Fund
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Amounts
in
thousands
Sector
Exposure
Fair
Value
$
Common
Stocks
Consumer
Discretionary
..........................................................
263,785
Consumer
Staples
...................................................................
124,216
Energy
....................................................................................
89,460
Financial
Services
...................................................................
424,170
Health
Care
.............................................................................
152,996
Materials
and
Processing
........................................................
235,085
Producer
Durables
..................................................................
262,913
Technology
..............................................................................
235,132
Utilities
...................................................................................
79,494
Preferred
Stocks
Consumer
Discretionary
..........................................................
18,075
Consumer
Staples
...................................................................
985
Technology
..............................................................................
26,355
Short-Term
Investments
................................................................
70,817
Other
Securities
...........................................................................
8,449
Total
Investments
....................................................................
1,991,932
Russell
Investment
Company
Global
Equity
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Global
Equity
Fund
41
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Common
Stocks
-
93.3%
Argentina
-
0.0%
YPF
SA
-
ADR(Æ)
101,986
445
Australia
-
0.4%
ASX,
Ltd.
-
ADR
7,504
425
BHP
Group
PLC
39,127
1,271
BHP
Group,
Ltd.
-
ADR
31,683
1,242
Brambles,
Ltd.
35,226
301
Commonwealth
Bank
of
Australia
-
ADR
18,152
1,327
Rio
Tinto
PLC
4,353
371
Wesfarmers,
Ltd.(Æ)
6,830
307
5,244
Austria
-
0.1%
Erste
Group
Bank
AG
52,535
2,037
Belgium
-
0.3%
Ageas
SA
52,299
2,760
KBC
Groep
NV
24,574
1,974
4,734
Brazil
-
0.1%
Cia
de
Saneamento
Basico
do
Estado
de
Sao
Paulo(Æ)
207,700
1,414
Canada
-
2.5%
ARC
Resources,
Ltd.
102,750
777
Barrick
Gold
Corp.
129,058
2,810
CAE,
Inc.(Æ)
180,957
5,522
Cameco
Corp.
Class
A
69,910
1,244
Canadian
National
Railway
Co.
74,650
8,112
Dollarama
,
Inc.
47,586
2,241
Intact
Financial
Corp.
4,353
593
Kinross
Gold
Corp.
214,523
1,407
Kirkland
Lake
Gold,
Ltd.(Æ)
11,165
477
Royal
Bank
of
Canada
-
GDR
16,787
1,698
Shopify,
Inc.
Class
A(Æ)
176
264
Sun
Life
Financial,
Inc.
22,365
1,165
Suncor
Energy,
Inc.
185,920
3,660
Thomson
Reuters
Corp.(Æ)
7,851
832
Toronto-Dominion
Bank
(The)
21,961
1,460
Tourmaline
Oil
Corp.
36,445
995
33,257
China
-
1.0%
Alibaba
Group
Holding,
Ltd.
-
ADR(Æ)
33,975
6,632
China
Construction
Bank
Corp.
Class
H
2,977,074
2,078
China
Hongxing
Sports,
Ltd.(Æ)(Š)
6,320,000
Dongfeng
Motor
Group
Co.,
Ltd.
Class
H
2,954,000
2,630
Huazhu
Group,
Ltd.
-
ADR(Æ)
37,751
1,698
Industrial
&
Commercial
Bank
of
China,
Ltd.
Class
H
1,048,000
583
13,621
Denmark
-
0.2%
AP
Moller
-
Maersk
A/S
Class
B
254
705
Drilling
Co.
of
1972
A/S
(The)(Æ)
4,033
156
DSV
Panalpina
A/S
7,191
1,751
2,612
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Finland
-
0.5%
Elisa
OYJ
6,205
399
Kone
OYJ
Class
B
4,747
393
Nokia
OYJ(Æ)
709,169
4,349
Orion
OYJ
Class
B
5,082
216
Sampo
OYJ
Class
A
16,399
791
UPM-
Kymmene
OYJ
22,365
914
7,062
France
-
4.5%
AXA
SA
178,586
4,623
BNP
Paribas
SA
184,040
11,197
Cie
de
Saint-Gobain
SA
94,876
6,787
Dassault
Aviation
SA
877
1,045
Dassault
Systemes
SE
6,430
355
Engie
SA
325,879
4,349
LVMH
Moet
Hennessy
Louis
Vuitton
SE
-
ADR
5,440
4,353
Orange
SA
-
ADR
255,790
2,850
Renault
SA(Æ)
49,485
1,883
Rexel
SA
Class
H(Æ)
114,430
2,413
Safran
SA
15,410
2,019
Sanofi
-
ADR
9,076
935
Schneider
Electric
SE
14,118
2,366
SCOR
SE
-
ADR
48,844
1,366
Societe
Generale
SA
123,128
3,607
Total
SA
161,297
7,033
Worldline
SA(Æ)(Þ)
34,172
3,198
60,379
Germany
-
3.1%
Bayerische
Motoren
Werke
Aktiengesellschaft
96,946
9,644
Brenntag
AG
33,030
3,299
Ceconomy
AG(Æ)
164,511
790
Continental
AG(Æ)
14,089
1,915
Daimler
AG
209,663
18,730
Deutsche
Boerse
AG
4,589
766
Fresenius
SE
&
Co.
KGaA
88,001
4,629
Hannover
Rueck
SE
2,604
438
Metro
AG
53,698
696
Muenchener
Rueckversicherungs-
Gesellschaft
AG
4,983
1,348
42,255
Hong
Kong
-
0.9%
AIA
Group,
Ltd.
602,200
7,223
CK
Asset
Holdings,
Ltd.
432,000
2,946
CLP
Holdings,
Ltd.
55,000
567
Hang
Seng
Bank,
Ltd.
24,300
466
Link
Real
Estate
Investment
Trust(ö)
22,898
219
Power
Assets
Holdings,
Ltd.
46,500
301
11,722
India
-
0.6%
HDFC
Bank,
Ltd.
-
ADR
114,610
8,088
Indonesia
-
0.1%
Bank
Mandiri
Persero
Tbk
PT
4,551,300
1,798
Russell
Investment
Company
Global
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
42
Global
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Ireland
-
0.7%
AIB
Group
PLC(Æ)
655,693
1,605
Bank
of
Ireland
Group
PLC(Æ)
384,186
2,039
Kerry
Group
PLC
Class
A
36,894
5,470
9,114
Italy
-
1.2%
Assicurazioni
Generali
SpA
176,258
3,522
BPER
Banca
SpA
466,677
911
Eni
SpA
-
ADR
377,750
4,462
Ferrari
NV
6,994
1,526
FinecoBank
Banca
Fineco
SpA
16,981
304
Saipem
SpA
(Æ)(Ñ)
431,735
992
UniCredit
SpA
346,076
4,139
15,856
Japan
-
7.7%
Alfresa
Holdings
Corp.
46,100
705
Alps
Alpine
Co.,
Ltd.
100,500
1,044
Astellas
Pharma,
Inc.
76,700
1,222
Benesse
Holdings,
Inc.
9,700
223
Canon,
Inc.
39,900
916
Chiyoda
Corp.(Æ)(Ñ)
97,700
348
Dai-ichi
Life
Holdings,
Inc.
159,400
2,945
DeNA
Co.,
Ltd.
77,000
1,453
Eisai
Co.,
Ltd.
16,800
1,379
Fuji
Media
Holdings,
Inc.
18,100
197
Fujitsu,
Ltd.
3,700
629
Gree
,
Inc.
212,100
1,170
Hino
Motors,
Ltd.
306,500
2,681
Honda
Motor
Co.,
Ltd.
207,577
6,640
Inpex
Corp.
344,900
2,432
Isuzu
Motors,
Ltd.
268,500
3,575
Japan
Airlines
Co.,
Ltd.(Æ)
128,700
2,694
Japan
Exchange
Group,
Inc.
11,500
262
JGC
Holdings
Corp.
188,400
1,708
Kamigumi
Co.,
Ltd.
56,700
1,203
Kao
Corp.
20,800
1,251
KDDI
Corp.
38,900
1,187
Keyence
Corp.
6,300
3,508
Kyocera
Corp.
11,100
686
Medipal
Holdings
Corp.
8,400
158
Mitsubishi
Electric
Corp.
61,500
833
Mitsubishi
Estate
Co.,
Ltd.
175,800
2,759
Mitsubishi
Heavy
Industries,
Ltd.
38,700
1,124
Mitsubishi
Motors
Corp.(Æ)
229,800
645
Mitsubishi
UFJ
Financial
Group,
Inc.
931,900
4,937
Nikon
Corp.
157,800
1,470
Nintendo
Co.,
Ltd.
2,000
1,030
Nippon
Television
Holdings,
Inc.
55,500
618
Nissan
Motor
Co.,
Ltd.(Æ)
480,700
2,783
Nitto
Denko
Corp.
6,200
461
Nomura
Holdings,
Inc.
233,300
1,166
Ono
Pharmaceutical
Co.,
Ltd.
91,700
2,097
Otsuka
Holdings
Co.,
Ltd.
19,900
791
Resona
Holdings,
Inc.
807,400
3,043
Shimamura
Co.,
Ltd.
27,000
2,609
Shin-Etsu
Chemical
Co.,
Ltd.
40,300
6,576
Sumitomo
Heavy
Industries,
Ltd.
47,500
1,323
Sumitomo
Metal
Mining
Co.,
Ltd.
53,200
2,166
Sumitomo
Mitsui
Banking
Corp.
248,500
8,375
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Sumitomo
Mitsui
Trust
Holdings,
Inc.
88,100
2,895
Sushiro
Global
Holdings,
Ltd.
23,100
943
T&D
Holdings,
Inc.
324,900
4,164
Taiheiyo
Cement
Corp.
53,500
1,245
Takeda
Pharmaceutical
Co.,
Ltd.
120,100
3,992
THK
Co.,
Ltd.
48,200
1,380
Toppan
Printing
Co.,
Ltd.
56,500
959
Toyota
Industries
Corp.
47,800
4,007
104,607
Luxembourg
-
0.6%
Eurofins
Scientific
SE
48,730
5,829
RTL
Group
SA
29,770
1,684
7,513
Malaysia
-
0.1%
CIMB
Group
Holdings
BHD
1,035,300
1,091
Mexico
-
0.2%
America
Movil
SAB
de
CV
Class
L
-
ADR
195,694
3,258
Netherlands
-
2.8%
ABN
AMRO
Bank
NV(Þ)
223,068
2,591
Heineken
NV
106,993
12,461
ING
Groep
NV
1,003,766
12,854
Koninklijke
Philips
NV
8,113
374
PostNL
NV
-
ADR
204,918
1,110
Royal
Dutch
Shell
PLC
Class
B
407,478
8,042
37,432
Norway
-
0.3%
Mowi
ASA
13,039
332
Norsk
Hydro
ASA
585,120
3,893
4,225
Russia
-
0.4%
Gazprom
PJSC
-
ADR
356,840
2,778
Lukoil
PJSC
-
ADR
9,117
781
Sberbank
of
Russia
PJSC
-
ADR
88,563
1,474
VEON,
Ltd.(Æ)
525,150
919
5,952
Singapore
-
0.3%
DBS
Group
Holdings,
Ltd.
47,140
1,058
United
Overseas
Bank,
Ltd.
120,801
2,338
Venture
Corp.,
Ltd.
21,200
298
3,694
South
Africa
-
0.7%
Anglo
American
PLC
103,892
4,602
Gold
Fields,
Ltd.
-
ADR
135,897
1,335
Impala
Platinum
Holdings,
Ltd.
15,876
286
MTN
Group,
Ltd.(Æ)
204,935
1,473
Old
Mutual,
Ltd.
1,605,210
1,413
9,109
South
Korea
-
2.5%
Hankook
Tire
&
Technology
Co.,
Ltd.
39,529
1,664
KB
Financial
Group,
Inc.
90,809
4,034
KT
Corp.
-
ADR
261,809
3,767
Samsung
Electronics
Co.,
Ltd.
246,843
16,881
Russell
Investment
Company
Global
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Global
Equity
Fund
43
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Shinhan
Financial
Group
Co.,
Ltd.
143,707
4,887
SK
Hynix,
Inc.
29,560
2,908
34,141
Spain
-
0.6%
Banco
de
Sabadell
SA
-
ADR(Æ)
1,390,651
963
CaixaBank
SA
1,255,895
3,733
Cellnex
Telecom
SA(Þ)
45,954
2,995
Industria
de
Diseno
Textil
SA
28,306
960
8,651
Sweden
-
0.3%
Autoliv
,
Inc.
2,016
203
Boliden
AB(Æ)
12,969
506
Kinnevik
AB
Class
B(Æ)
11,030
481
Sandvik
AB
87,099
2,269
3,459
Switzerland
-
4.4%
ABB,
Ltd.
28,290
1,034
Adecco
Group
AG
77,814
4,661
EMS-
Chemie
Holding
AG
348
386
Julius
Baer
Group,
Ltd.
17,233
1,140
LafargeHolcim
,
Ltd.(Æ)
88,760
5,204
Nestle
SA
147,886
18,739
Novartis
AG
50,589
4,679
Partners
Group
Holding
AG
697
1,192
Roche
Holding
AG
30,193
11,676
SGS
SA
205
664
Swisscom
AG
877
528
UBS
Group
AG
394,602
6,506
Wizz
Air
Holdings
PLC(Æ)(Þ)
38,024
2,615
59,024
Taiwan
-
3.4%
Accton
Technology
Corp.
301,000
3,507
Catcher
Technology
Co.,
Ltd.
350,000
2,315
Hon
Hai
Precision
Industry
Co.,
Ltd.
642,000
2,535
MediaTek
,
Inc.
70,000
2,276
Realtek
Semiconductor
Corp.
90,000
1,896
Shin
Kong
Financial
Holding
Co.,
Ltd.
3,138,000
1,028
Taiwan
Semiconductor
Manufacturing
Co.,
Ltd.
-
ADR
275,462
32,130
45,687
Thailand
-
0.4%
Kasikornbank
PCL
1,212,700
3,791
Siam
Commercial
Bank
PCL
(The)
505,400
1,438
5,229
Turkey
-
0.2%
Turk
Telekomunikasyon
AS
1,018,936
788
Turkcell
Iletisim
Hizmetleri
AS
767,697
1,402
2,190
United
Kingdom
-
4.3%
AstraZeneca
PLC
-
ADR
4,142
237
Babcock
International
Group
PLC(Æ)
339,326
1,207
BAE
Systems
PLC
554,549
4,438
Berkeley
Group
Holdings
PLC
4,406
297
BP
PLC
1,458,679
5,848
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
British
Land
Co.
PLC
(The)(ö)
200,487
1,422
BT
Group
PLC(Æ)
1,223,959
2,953
Centrica
PLC(Æ)
1,608,892
1,016
Endeavour
Mining
Corp.(Ñ)
33,758
804
Ferguson
PLC
2,150
301
Intermediate
Capital
Group
PLC(Æ)
70,305
2,119
J
Sainsbury
PLC
963,718
3,794
Kingfisher
PLC
454,399
2,326
Land
Securities
Group
PLC(ö)
133,754
1,318
Liberty
Global
PLC
Class
C(Æ)
9,656
259
Linde
PLC
33,869
10,378
Linde
PLC(Æ)
4,349
1,337
Marks
&
Spencer
Group
PLC(Æ)
596,635
1,123
Natwest
Group
PLC
780,220
2,193
Persimmon
PLC
Class
A
12,831
518
Reckitt
Benckiser
Group
PLC
3,356
258
Schroders
PLC
4,806
244
St.
James's
Place
PLC
14,599
322
Standard
Chartered
PLC
517,555
3,100
Unilever
PLC
102,741
5,916
Wausau
Paper
Corp.
346,069
4,480
58,208
United
States
-
47.9%
3M
Co.
2,512
497
Abbott
Laboratories
15,037
1,819
AbbVie,
Inc.
1,646
191
Accenture
PLC
Class
A
21,954
6,974
Adobe,
Inc.(Æ)
12,322
7,660
Advance
Auto
Parts,
Inc.
1,118
237
Aflac,
Inc.
32,106
1,766
Air
Products
&
Chemicals,
Inc.
2,945
857
Airbnb,
Inc.
Class
A(Æ)
11,666
1,680
Align
Technology,
Inc.(Æ)
5,283
3,676
Allegion
PLC
44,123
6,027
Allstate
Corp.
(The)
6,179
804
Alphabet,
Inc.
Class
A(Æ)
4,733
12,753
Alphabet,
Inc.
Class
C(Æ)
11,337
30,659
Amazon.com,
Inc.(Æ)
6,078
20,225
Amcor
PLC
16,492
191
Amerco
,
Inc.
377
222
American
Express
Co.
7,412
1,264
American
International
Group,
Inc.
8,982
425
American
Water
Works
Co.,
Inc.
4,105
698
AmerisourceBergen
Corp.
Class
A
3,678
449
Analog
Devices,
Inc.
1,893
317
Ansys
,
Inc.(Æ)
18,013
6,637
Anthem,
Inc.(Æ)
19,912
7,646
API
Group
Corp.(Æ)(Þ)
234,340
5,371
Apple,
Inc.
176,310
25,716
Aptiv
PLC(Æ)
26,482
4,419
Aramark
5,011
176
Archer-Daniels-Midland
Co.
6,883
411
Ares
Management
Corp.
Class
A
44,101
3,158
Arrow
Electronics,
Inc.(Æ)
4,872
578
Arthur
J
Gallagher
&
Co.
2,116
295
AT&T,
Inc.
33,586
942
Atmos
Energy
Corp.
2,638
260
Automatic
Data
Processing,
Inc.
6,411
1,344
Baker
Hughes,
a
GE
Co.
LLC
9,088
193
Russell
Investment
Company
Global
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
44
Global
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Bank
of
America
Corp.
33,448
1,283
Bank
of
New
York
Mellon
Corp.
(The)
8,200
421
Becton
Dickinson
and
Co.
27,290
6,979
Berkshire
Hathaway,
Inc.
Class
B(Æ)
5,335
1,485
Best
Buy
Co.,
Inc.
5,528
621
Biogen,
Inc.(Æ)
1,460
477
Bio-Rad
Laboratories,
Inc.
Class
A(Æ)
9,821
7,263
BlackRock,
Inc.
Class
A
2,061
1,787
Blackstone
Group,
Inc.
(The)
Class
A
12,073
1,392
Boeing
Co.
(The)(Æ)
1,627
368
Booking
Holdings,
Inc.(Æ)
1,770
3,856
BorgWarner,
Inc.
6,036
296
Boston
Beer
Co.,
Inc.
Class
A(Æ)
1,348
957
Boston
Scientific
Corp.(Æ)
37,895
1,728
Broadridge
Financial
Solutions,
Inc.
3,668
636
Bunge,
Ltd.
4,435
344
Capital
One
Financial
Corp.
3,245
525
CarMax,
Inc.(Æ)
2,616
350
Carnival
Corp.(Æ)
9,294
201
Cboe
Global
Markets,
Inc.
2,917
346
CBRE
Group,
Inc.
Class
A(Æ)
3,479
336
Centene
Corp.(Æ)
7,118
488
CenterPoint
Energy,
Inc.
8,243
210
Charles
Schwab
Corp.
(The)
182,325
12,389
Chegg
,
Inc.(Æ)
37,362
3,311
Chevron
Corp.
8,836
900
Chipotle
Mexican
Grill,
Inc.
Class
A(Æ)
675
1,258
Chubb,
Ltd.
3,236
546
Cigna
Corp.
30,230
6,937
Cincinnati
Financial
Corp.
4,965
585
Cisco
Systems,
Inc.
47,102
2,608
Citigroup,
Inc.
91,342
6,177
Clorox
Co.
(The)
5,864
1,061
CME
Group,
Inc.
Class
A
50,237
10,657
Coca-Cola
Co.
(The)
39,932
2,277
Cognizant
Technology
Solutions
Corp.
Class
A
21,297
1,566
Colgate-Palmolive
Co.
17,635
1,402
Comcast
Corp.
Class
A
20,789
1,223
ConAgra
Foods,
Inc.
10,975
368
ConocoPhillips
Co.
7,769
436
Consolidated
Edison
Co.,
Inc.
5,062
373
Constellation
Brands,
Inc.
Class
A
15,089
3,385
Cooper
Cos.,
Inc.
(The)
8,577
3,618
Copart
,
Inc.(Æ)
21,823
3,208
Corning,
Inc.
16,071
673
Corteva
,
Inc.
12,293
526
CoStar
Group,
Inc.(Æ)
18,930
1,682
Cummins,
Inc.
4,783
1,110
CVS
Health
Corp.
7,003
577
Danaher
Corp.
50,373
14,985
DexCom
,
Inc.(Æ)
5,049
2,603
Discover
Financial
Services
2,550
317
Discovery,
Inc.
Class
A(Æ)(Ñ)
7,825
227
DISH
Network
Corp.
Class
A(Æ)
6,093
255
Diversey
Holdings,
Ltd.(Æ)
201,904
3,368
Dollar
Tree,
Inc.(Æ)
39,326
3,924
Dow,
Inc.
5,243
326
DowDuPont
,
Inc.
5,156
387
DR
Horton,
Inc.
92,180
8,797
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
DT
Midstream,
Inc.
1,365
58
DTE
Energy
Co.
2,731
320
Duke
Energy
Corp.
5,884
618
Eastman
Chemical
Co.
2,963
334
Eaton
Corp.
PLC
9,457
1,495
Edison
International
3,063
167
Eli
Lilly
&
Co.
3,619
881
Emerson
Electric
Co.
3,286
332
Entergy
Corp.
2,825
291
EOG
Resources,
Inc.
4,834
352
Eversource
Energy(Æ)
2,708
234
Exelon
Corp.
9,467
443
Exxon
Mobil
Corp.
21,089
1,214
Facebook,
Inc.
Class
A(Æ)
87,401
31,140
Fair
Isaac
Corp.(Æ)
5,345
2,800
Fastenal
Co.
17,401
953
FedEx
Corp.
1,829
512
Fidelity
National
Information
Services,
Inc.
73,447
10,947
Fifth
Third
Bancorp
5,876
213
FirstEnergy
Corp.
5,606
215
Five
Below,
Inc.(Æ)
14,349
2,790
FleetCor
Technologies,
Inc.(Æ)
10,287
2,656
Ford
Motor
Credit
Co.
LLC(Æ)
49,240
687
Fortive
Corp.
4,824
351
Fox
Corp.
Class
A
10,352
369
Garmin,
Ltd.
3,537
556
General
Dynamics
Corp.
2,861
561
General
Electric
Co.
12,013
156
General
Mills,
Inc.
6,623
390
General
Motors
Co.(Æ)
57,888
3,290
Genuine
Parts
Co.
5,878
746
Global
Payments,
Inc.
14,664
2,836
Goldman
Sachs
Group,
Inc.
(The)
2,166
812
Halliburton
Co.
94,740
1,959
HCA
Healthcare,
Inc.
27,913
6,928
Henry
Schein,
Inc.(Æ)
2,487
199
Hershey
Co.
(The)
4,733
847
Hewlett
Packard
Enterprise
Co.
Class
H
34,955
507
Home
Depot,
Inc.
(The)
8,303
2,725
Honeywell
International,
Inc.
6,897
1,612
Hormel
Foods
Corp.
14,285
663
Host
Hotels
&
Resorts,
Inc.(Æ)(ö)
12,857
205
HP,
Inc.(Æ)
20,742
599
Humana,
Inc.
1,239
528
Huntington
Ingalls
Industries,
Inc.
1,352
277
II-VI,
Inc.(Æ)
21,665
1,512
Illinois
Tool
Works,
Inc.
5,760
1,306
Illumina,
Inc.(Æ)
4,072
2,019
Intel
Corp.
31,451
1,690
International
Business
Machines
Corp.
6,050
853
International
Flavors
&
Fragrances,
Inc.
2,149
324
International
Paper
Co.
3,527
204
Interpublic
Group
of
Cos.,
Inc.
(The)
12,188
431
Jacobs
Engineering
Group,
Inc.
2,300
311
Jazz
Pharmaceuticals
PLC(Æ)
1,412
239
JM
Smucker
Co.
(The)
2,628
345
Johnson
&
Johnson
37,666
6,486
Johnson
Controls
International
PLC(Æ)
50,348
3,596
JPMorgan
Chase
&
Co.
48,556
7,370
Russell
Investment
Company
Global
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Global
Equity
Fund
45
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Juniper
Networks,
Inc.
19,899
560
Keurig
Dr
Pepper,
Inc.
8,862
312
Kimberly-Clark
Corp.
12,094
1,641
Kinder
Morgan,
Inc.
28,100
488
Knight-Swift
Transportation
Holdings,
Inc.(Æ)
4,375
217
Kraft
Heinz
Foods
Co.
13,536
521
Kroger
Co.
(The)
7,782
317
L3Harris
Technologies,
Inc.
7,669
1,739
Laboratory
Corp.
of
America
Holdings(Æ)
1,323
392
Lam
Research
Corp.
476
303
Lear
Corp.
1,490
261
Leidos
Holdings,
Inc.
2,138
228
Lennar
Corp.
Class
A
79,610
8,371
Lennar
Corp.
Class
B
1,261
109
Liberty
SiriusXM
Group
Class
C(Æ)
8,253
381
LKQ
Corp.(Æ)
6,158
313
Lockheed
Martin
Corp.
2,887
1,073
Loews
Corp.
4,028
216
Lululemon
Athletica
,
Inc.(Æ)
6,425
2,571
Lumen
Technologies,
Inc.
28,439
355
LyondellBasell
Industries
NV
Class
A
2,766
275
Manhattan
Associates,
Inc.(Æ)
9,763
1,558
Marathon
Petroleum
Corp.
5,388
298
Marsh
&
McLennan
Cos.,
Inc.
41,187
6,064
Marvell
Technology
Group,
Ltd.
54,514
3,299
MasterCard,
Inc.
Class
A
30,146
11,635
Match
Group,
Inc.(Æ)
39,655
6,316
Maxim
Integrated
Products,
Inc.
2,924
292
McDonald's
Corp.
4,482
1,088
Medical
Properties
Trust,
Inc.
(ö)
12,733
268
Medtronic
PLC
65,181
8,559
Merck
&
Co.,
Inc.
2,612
201
MetLife,
Inc.
7,756
448
MGM
Resorts
International
6,549
246
Micron
Technology,
Inc.
137,764
10,688
Microsoft
Corp.
69,409
19,775
Mohawk
Industries,
Inc.(Æ)
1,200
234
Molson
Coors
Beverage
Co.
Class
B
5,433
266
Mondelez
International,
Inc.
Class
A
24,557
1,553
Morgan
Stanley
7,806
749
Mosaic
Co.
(The)
6,233
195
MultiPlan
Corp.(Æ)(Ñ)
150,594
1,212
Newell
Rubbermaid,
Inc.
7,128
176
Newmont
Corp.
12,827
806
News
Corp.
Class
A
9,525
235
NextEra
Energy,
Inc.
8,443
658
Northern
Trust
Corp.
2,216
250
Northrop
Grumman
Corp.
435
158
Nucor
Corp.
5,997
624
NVIDIA
Corp.
4,193
818
Oak
Street
Health,
Inc.(Æ)
19,526
1,231
Ollie's
Bargain
Outlet
Holdings,
Inc.(Æ)
32,626
3,037
Omnicom
Group,
Inc.
4,370
318
ONEOK,
Inc.
4,230
220
Organon
&
Co.
1,447
42
Ovintiv
,
Inc.
64,043
1,646
Owens
Corning
2,150
207
PACCAR
Financial
Corp.
4,945
410
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Packaging
Corp.
of
America
1,291
183
Paychex,
Inc.
9,458
1,077
Paycom
Software,
Inc.(Æ)
4,620
1,848
PayPal
Holdings,
Inc.(Æ)
851
234
PepsiCo,
Inc.
36,987
5,805
Pfizer,
Inc.
243,243
10,413
PG&E
Corp.(Æ)
16,041
141
Phillips
66
3,817
280
Pioneer
Natural
Resources
Co.
1,640
238
Planet
Fitness,
Inc.
Class
A(Æ)
26,054
1,960
PNC
Financial
Services
Group,
Inc.
(The)
3,622
661
Procter
&
Gamble
Co.
(The)
53,696
7,637
Progressive
Corp.
(The)
13,746
1,308
Prologis,
Inc.(ö)
2,717
348
Prudential
Financial,
Inc.
4,372
438
Public
Service
Enterprise
Group,
Inc.
7,015
437
Public
Storage(ö)
3,227
1,008
PulteGroup,
Inc.
4,230
232
Qorvo
,
Inc.(Æ)
8,252
1,564
Raytheon
Technologies
Corp.(Æ)
11,034
959
Republic
Services,
Inc.
Class
A
8,524
1,009
RingCentral,
Inc.
Class
A(Æ)
7,284
1,947
Rockwell
Automation,
Inc.
2,864
880
Royal
Caribbean
Cruises,
Ltd.(Æ)
2,611
201
S&P
Global,
Inc.
20,963
8,987
Salesforce.com,
Inc.(Æ)
17,431
4,217
Sempra
Energy
4,287
560
Sensata
Technologies
Holding
PLC(Æ)
3,184
187
Skyworks
Solutions,
Inc.
1,679
310
Snap-on,
Inc.
2,685
585
Southern
Co.
(The)
4,724
302
Stanley
Black
&
Decker,
Inc.
6,228
1,227
Starbucks
Corp.
14,426
1,752
State
Street
Corp.
3,630
316
Steel
Dynamics,
Inc.
4,645
299
Synchrony
Financial
29,098
1,368
T.
Rowe
Price
Group,
Inc.
8,222
1,679
TE
Connectivity,
Ltd.
9,039
1,333
Teleflex,
Inc.
5,436
2,160
Tesla,
Inc.(Æ)
1,237
850
Texas
Instruments,
Inc.
9,996
1,905
Textron,
Inc.
4,447
307
TJX
Cos.,
Inc.
(The)
41,705
2,870
T-Mobile
USA,
Inc.(Æ)
1,388
200
Tradeweb
Markets,
Inc.
Class
A
15,143
1,313
Travelers
Cos.,
Inc.
(The)
11,424
1,701
Truist
Financial
Corp.
9,463
515
Tyson
Foods,
Inc.
Class
A
15,320
1,095
UGI
Corp.
8,149
375
Union
Pacific
Corp.
4,222
924
United
Rentals,
Inc.(Æ)
348
115
UnitedHealth
Group,
Inc.
37,397
15,416
Universal
Health
Services,
Inc.
Class
B
2,157
346
US
Bancorp
12,151
675
Valero
Energy
Corp.
3,838
257
Ventas,
Inc.
(ö)
4,135
247
Verizon
Communications,
Inc.
13,648
761
ViacomCBS
,
Inc.
Class
B
4,837
198
Viatris
,
Inc.
21,316
300
Russell
Investment
Company
Global
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
46
Global
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Visa,
Inc.
Class
A
2,993
737
Vornado
Realty
Trust
(ö)
4,606
200
Walgreens
Boots
Alliance,
Inc.
10,807
510
Walmart,
Inc.
14,598
2,081
Walt
Disney
Co.
(The)(Æ)
44,684
7,865
Waste
Management,
Inc.
10,738
1,592
Wells
Fargo
&
Co.
149,619
6,873
West
Pharmaceutical
Services,
Inc.
10,432
4,295
Western
Digital
Corp.(Æ)
6,300
409
Westinghouse
Air
Brake
Technologies
Corp.
3,776
320
Westrock
Co.
4,111
202
Whirlpool
Corp.
1,031
228
Workday,
Inc.
Class
A(Æ)
5,818
1,364
WW
Grainger,
Inc.
1,213
539
Xilinx,
Inc.
3,181
477
Zoetis,
Inc.
Class
A
52,366
10,615
647,572
Total
Common
Stocks
(cost
$1,047,810)
1,260,680
Preferred
Stocks
-
0.7%
South
Korea
-
0.7%
Samsung
Electronics
Co.,
Ltd.
4.399%
(Ÿ)
157,554
9,890
Total
Preferred
Stocks
(cost
$8,886)
9,890
Short-Term
Investments
-
3.4%
United
States
-
3.4%
U.S.
Cash
Management
Fund(@)
45,889,420
(∞)
45,880
Total
Short-Term
Investments
(cost
$45,880)
45,880
Other
Securities
-
0.3%
U.S.
Cash
Collateral
Fund(@)(×)
3,682,566
(∞)
3,683
Total
Other
Securities
(cost
$3,683)
3,683
Total
Investments
-
97.7%
(identified
cost
$1,106,259)
1,320,133
Other
Assets
and
Liabilities,
Net
-
2.3%
31,091
Net
Assets
-
100.0%
1,351,224
Russell
Investment
Company
Global
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Global
Equity
Fund
47
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
1.2%
ABN
AMRO
Bank
NV
10/04/19
EUR
223,068
13
.36
2,980
2,591
API
Group
Corp.
10/05/17
234,340
10
.16
2,382
5,371
Cellnex
Telecom
SA
06/14/19
EUR
45,954
49
.84
2,290
2,995
Wizz
Air
Holdings
PLC
11/13/20
GBP
38,024
63
.82
2,427
2,615
Worldline
SA
06/07/19
EUR
34,172
79
.65
2,722
3,198
16,770
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report
.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
Hang
Seng
Index
Futures
1
HKD
1,295
08/21
6
MSCI
Singapore
Index
Futures
2
SGD
72
08/21
1
Russell
2000
E-Mini
Index
Futures
307
USD
34,102
09/21
(1,515)
S&P
500
E-Mini
Index
Futures
683
USD
149,901
09/21
5,399
S&P/TSX
60
Index
Futures
63
CAD
15,276
09/21
179
SPI
200
Index
Futures
183
AUD
33,398
09/21
43
Short
Positions
Amsterdam
Index
Futures
36
EUR
5,409
08/21
(106)
CAC40
Euro
Index
Futures
214
EUR
14,144
08/21
(177)
DAX
Index
Futures
29
EUR
11,273
09/21
159
EURO
STOXX
50
Index
Futures
204
EUR
8,340
09/21
93
FTSE
100
Index
Futures
70
GBP
4,877
09/21
113
FTSE/MIB
Index
Futures
27
EUR
3,423
09/21
33
IBEX
35
Index
Futures
36
EUR
3,123
08/21
6
MSCI
Emerging
Markets
Index
Futures
1,815
USD
115,951
09/21
8,345
OMXS30
Index
Futures
166
SEK
39,346
08/21
(49)
TOPIX
Index
Futures
27
JPY
514,350
09/21
82
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
12,612
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
EUR
816
USD
967
08/03/21
Bank
of
America
GBP
3,900
USD
5,400
09/15/21
(21)
Bank
of
America
HKD
13,697
USD
1,762
08/03/21
Bank
of
America
JPY
1,049,940
USD
9,504
09/15/21
(70)
Bank
of
Montreal
USD
2,436
AUD
3,150
09/15/21
(124)
Bank
of
Montreal
USD
2,905
CAD
3,512
09/15/21
(90)
Bank
of
Montreal
USD
1,924
JPY
210,694
09/15/21
(3)
Bank
of
Montreal
USD
1,950
NOK
16,134
09/15/21
(124)
Bank
of
Montreal
USD
1,750
NZD
2,440
09/15/21
(51)
Bank
of
Montreal
CHF
6,363
USD
7,120
09/15/21
88
Bank
of
Montreal
EUR
8,696
USD
10,616
09/15/21
293
Bank
of
Montreal
SEK
12,890
USD
1,561
09/15/21
63
Bank
of
New
York
USD
2,444
AUD
3,150
09/15/21
(132)
Bank
of
New
York
USD
2,911
CAD
3,512
09/15/21
(96)
Russell
Investment
Company
Global
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
48
Global
Equity
Fund
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
New
York
USD
1,930
JPY
210,694
09/15/21
(8)
Bank
of
New
York
USD
1,957
NOK
16,134
09/15/21
(130)
Bank
of
New
York
USD
1,758
NZD
2,440
09/15/21
(58)
Bank
of
New
York
CHF
6,363
USD
7,141
09/15/21
108
Bank
of
New
York
EUR
8,696
USD
10,638
09/15/21
314
Bank
of
New
York
SEK
12,890
USD
1,565
09/15/21
67
Citigroup
USD
2,436
AUD
3,150
09/15/21
(124)
Citigroup
USD
2,906
CAD
3,512
09/15/21
(91)
Citigroup
USD
1,925
JPY
210,694
09/15/21
(3)
Citigroup
USD
1,951
NOK
16,134
09/15/21
(125)
Citigroup
USD
1,750
NZD
2,440
09/15/21
(50)
Citigroup
CHF
6,363
USD
7,124
09/15/21
92
Citigroup
EUR
8,696
USD
10,620
09/15/21
295
Citigroup
SEK
12,890
USD
1,562
09/15/21
64
JPMorgan
Chase
USD
2,436
AUD
3,150
09/15/21
(124)
JPMorgan
Chase
USD
2,905
CAD
3,512
09/15/21
(90)
JPMorgan
Chase
USD
1,924
JPY
210,694
09/15/21
(3)
JPMorgan
Chase
USD
1,950
NOK
16,134
09/15/21
(124)
JPMorgan
Chase
USD
1,750
NZD
2,440
09/15/21
(51)
JPMorgan
Chase
CHF
6,363
USD
7,121
09/15/21
88
JPMorgan
Chase
EUR
8,696
USD
10,616
09/15/21
293
JPMorgan
Chase
SEK
12,890
USD
1,561
09/15/21
63
Royal
Bank
of
Canada
USD
2,446
AUD
3,150
09/15/21
(133)
Royal
Bank
of
Canada
USD
2,910
CAD
3,512
09/15/21
(95)
Royal
Bank
of
Canada
USD
1,930
JPY
210,694
09/15/21
(9)
Royal
Bank
of
Canada
USD
1,959
NOK
16,134
09/15/21
(133)
Royal
Bank
of
Canada
USD
1,759
NZD
2,440
09/15/21
(59)
Royal
Bank
of
Canada
CHF
6,363
USD
7,144
09/15/21
112
Royal
Bank
of
Canada
EUR
8,696
USD
10,642
09/15/21
317
Royal
Bank
of
Canada
SEK
12,890
USD
1,566
09/15/21
68
State
Street
USD
429
DKK
2,611
09/15/21
(12)
State
Street
USD
2,973
GBP
2,105
09/15/21
(47)
State
Street
HKD
2,830
USD
365
09/15/21
1
State
Street
SGD
120
USD
91
09/15/21
2
State
Street
TWD
1,727
USD
62
08/02/21
Total
Unrealized
Appreciation
(Depreciation)
on
Open
Foreign
Currency
Exchange
Contracts
148
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
Common
Stocks
Argentina
$
445
$
$
$
$
445
Australia
5,244
5,244
Austria
2,037
2,037
Belgium
4,734
4,734
Brazil
1,414
1,414
Canada
33,257
33,257
China
8,330
5,291
13,621
Denmark
2,612
2,612
Finland
7,062
7,062
France
60,379
60,379
Russell
Investment
Company
Global
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Global
Equity
Fund
49
It
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
Germany
42,255
42,255
Hong
Kong
11,722
11,722
India
8,088
8,088
Indonesia
1,798
1,798
Ireland
9,114
9,114
Italy
15,856
15,856
Japan
104,607
104,607
Luxembourg
7,513
7,513
Malaysia
1,091
1,091
Mexico
3,258
3,258
Netherlands
37,432
37,432
Norway
4,225
4,225
Russia
919
5,033
5,952
Singapore
3,694
3,694
South
Africa
1,335
7,774
9,109
South
Korea
3,767
30,374
34,141
Spain
8,651
8,651
Sweden
203
3,256
3,459
Switzerland
59,024
59,024
Taiwan
32,130
13,557
45,687
Thailand
5,229
5,229
Turkey
2,190
2,190
United
Kingdom
2,637
55,571
58,208
United
States
647,572
647,572
Preferred
Stocks
9,890
9,890
Short-Term
Investments
45,880
45,880
Other
Securities
3,683
3,683
Total
Investments
743,355
527,215
49,563
1,320,133
Other
Financial
Instruments
Assets
Futures
Contracts
14,459
14,459
Foreign
Currency
Exchange
Contracts
2,328
2,328
Liabilities
Futures
Contracts
(1,847)
(1,847
)
Foreign
Currency
Exchange
Contracts
(1)
(2,179)
(2,180
)
Total
Other
Financial
Instruments
*
$
12,611
$
149
$
$
$
12,760
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
Russell
Investment
Company
Global
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
50
Global
Equity
Fund
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Amounts
in
thousands
Sector
Exposure
Fair
Value
$
Common
Stocks
Consumer
Discretionary
..........................................................
175,521
Consumer
Staples
...................................................................
57,389
Energy
....................................................................................
44,977
Financial
Services
...................................................................
266,277
Health
Care
.............................................................................
153,471
Materials
and
Processing
........................................................
78,176
Producer
Durables
..................................................................
132,926
Technology
..............................................................................
310,791
Utilities
...................................................................................
41,152
Preferred
Stocks
Technology
..............................................................................
9,890
Short-Term
Investments
................................................................
45,880
Other
Securities
...........................................................................
3,683
Total
Investments
....................................................................
1,320,133
Russell
Investment
Company
Emerging
Markets
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Emerging
Markets
Fund
51
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Common
Stocks
-
92.7%
Argentina
-
0.2%
Globant
SA(Æ)
10,465
2,503
MercadoLibre
,
Inc.(Æ)
46
72
2,575
Bangladesh
-
0.5%
BRAC
Bank,
Ltd.
3,316,063
1,927
GrameenPhone
,
Ltd.
660,948
2,953
Square
Pharmaceuticals,
Ltd.
790,995
2,071
6,951
Brazil
-
4.4%
Adecoagro
SA(Æ)
118,337
1,131
Afya
,
Ltd.
Class
A(Æ)
87,965
2,023
Atacadao
SA
408,300
1,489
Azul
SA
-
ADR(Æ)
99,437
2,230
B3
SA
-
Brasil
Bolsa
Balcao
1,389,489
4,068
Banco
BTG
Pactual
SA(Æ)
527,600
2,964
Banco
do
Brasil
SA
211,500
1,284
BB
Seguridade
Participacoes
SA
221,500
909
Caixa
Seguridade
Participacoes
SA(Æ)
648,800
1,365
Cia
de
Saneamento
Basico
do
Estado
de
Sao
Paulo(Æ)
55,500
378
Cia
Siderurgica
Nacional
SA
79,200
711
CPFL
Energia
SA
177,000
860
CSN
Mineracao
SA
1,560,000
2,756
Energisa
SA
192,000
1,576
Equatorial
Energia
SA
135,900
631
Hapvida
Participacoes
e
Investimentos
SA(Þ)
125,000
342
JBS
SA
677,000
4,166
Localiza
Rent
a
Car
SA
119,600
1,427
Marfrig
Global
Foods
SA
141,700
534
Minerva
SA
719,500
1,239
Natura
&
Co
Holding
SA(Æ)
143,900
1,485
Notre
Dame
Intermedica
Participacoes
SA
16,400
252
Pagseguro
Digital,
Ltd.
Class
A(Æ)
45,073
2,499
Petrobras
Distribuidora
SA
261,000
1,420
Petroleo
Brasileiro
SA
132,500
700
Petroleo
Brasileiro
SA
-
ADR
51,713
531
Telefonica
Brasil
,
SA
73,100
578
Vale
SA
472,700
9,872
Vale
SA
Class
B
-
ADR
177,972
3,741
WEG
SA
491,500
3,370
56,531
Canada
-
0.5%
First
Quantum
Minerals,
Ltd.
153,630
3,291
Ivanhoe
Mines,
Ltd.
Class
A(Æ)
258,848
1,921
Parex
Resources,
Inc.
73,350
1,205
6,417
Chile
-
0.0%
Cencosud
SA
202,640
368
China
-
25.4%
360
DigiTech
,
Inc.
-
ADR(Æ)
14,089
299
3SBio,
Inc.
Class
A(Æ)(Þ)
781,000
652
Agricultural
Bank
of
China,
Ltd.
Class
H
17,870,000
5,962
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Airtac
International
Group
37,000
1,194
Alibaba
Group
Holding,
Ltd.(Æ)
1,000,400
24,446
Alibaba
Group
Holding,
Ltd.
-
ADR(Æ)
67,320
13,140
A-Living
Services
Co.,
Ltd.
Class
H(Þ)
690,500
2,650
Aluminum
Corp.
of
China,
Ltd.
Class
H(Æ)
4,466,000
2,712
Anhui
Conch
Cement
Co.,
Ltd.
Class
H
698,235
3,340
Anta
Sports
Products,
Ltd.
24,000
524
Autohome
,
Inc.
-
ADR
6,570
298
BAIC
Motor
Corp.,
Ltd.
Class
H(Þ)
1,000,000
357
Baidu,
Inc.
-
ADR(Æ)
37,492
6,149
Bank
of
China,
Ltd.
Class
H
12,133,000
4,217
Bank
of
Communications
Co.,
Ltd.
Class
H
2,702,000
1,565
Baoshan
Iron
&
Steel
Co.
Ltd.
Class
A
2,034,300
2,500
Beijing
Sinnet
Technology
Co.,
Ltd
Class
A
748,137
1,879
BGI
Genomics
Co.,
Ltd(Æ)
22,400
390
BYD
Co.,
Ltd.
Class
A
18,800
775
BYD
Co.,
Ltd.
Class
H
26,000
801
Centre
Testing
International
Group
Co.,
Ltd.
Class
A
205,200
864
Cheerwin
Group,
Ltd.(Þ)
401,500
290
China
CITIC
Bank
Corp.,
Ltd.
Class
H
4,769,000
2,135
China
Conch
Venture
Holdings,
Ltd.
245,000
897
China
Construction
Bank
Corp.
Class
H
20,822,554
14,537
China
Feihe
,
Ltd.(Þ)
58,000
112
China
Forestry
Holdings
Co.,
Ltd.(Æ)(Š)
871,100
China
Gas
Holdings,
Ltd.
308,600
957
China
Hongqiao
Group,
Ltd.
683,500
914
China
International
Capital
Corp.,
Ltd.
Class
H(Þ)
475,600
1,095
China
International
Travel
Service
Corp.,
Ltd.
Class
A
42,200
1,577
China
Life
Insurance
Co.,
Ltd.
Class
H
664,000
1,110
China
Longyuan
Power
Group
Corp.,
Ltd.
Class
H
3,457,057
6,468
China
Medical
System
Holdings,
Ltd.
468,000
951
China
Merchants
Bank
Co.,
Ltd.
Class
A
118,300
853
China
Merchants
Bank
Co.,
Ltd.
Class
H
960,852
7,334
China
National
Building
Material
Co.,
Ltd.
Class
H
1,074,000
1,169
China
Overseas
Land
&
Investment,
Ltd.
467,000
981
China
Pacific
Insurance
Group
Co.,
Ltd.
Class
H
297,400
838
China
Petroleum
&
Chemical
Corp.
Class
H
3,886,000
1,771
China
Resources
Gas
Group,
Ltd.
626,000
3,858
China
Resources
Land,
Ltd.
324,000
1,085
China
Resources
Pharmaceutical
Group,
Ltd.(Þ)
648,500
347
China
Shenhua
Energy
Co.,
Ltd.
Class
H
1,179,594
2,236
China
Taiping
Insurance
Holdings
Co.,
Ltd.
239,800
337
China
Tower
Corp.,
Ltd.
Class
H(Þ)
4,496,000
596
China
Vanke
Co.,
Ltd.
Class
H
194,300
507
China
Yangtze
Power
Co.,
Ltd.
Class
A
596,000
1,754
China
Yongda
Automobiles
Services
Holdings,
Ltd.
494,500
928
China
Youran
Dairy
Group,
Ltd.(Æ)(Þ)
1,251,000
713
Russell
Investment
Company
Emerging
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
52
Emerging
Markets
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Chinasoft
International,
Ltd.(Æ)
230,000
414
Chongqing
Brewery
Co.,
Ltd
Class
A(Æ)
38,400
919
CIFI
Holdings
Group
Co.,
Ltd.
3,622,000
2,185
CITIC
Securities
Co.,
Ltd.
Class
H
243,500
542
CITIC,
Ltd.
617,000
668
Contemporary
Amperex
Technology
Co.,
Ltd.
Class
A
71,160
6,073
COSCO
SHIPPING
Holdings
Co.,
Ltd.
Class
A(Æ)
551,200
1,513
Country
Garden
Services
Holdings
Co.,
Ltd.
195,000
1,584
CSPC
Pharmaceutical
Group,
Ltd.
1,595,000
2,155
Daqo
New
Energy
Corp.
-
ADR(Æ)
18,007
1,067
Dongfeng
Motor
Group
Co.,
Ltd.
Class
H
208,000
185
Fosun
International,
Ltd.
323,000
428
FuJian
Green
Pine
Co.,
Ltd
Class
A
158,118
378
Ganfeng
Lithium
Co.,
Ltd.
Class
H(Þ)
45,800
994
Gree
Electric
Appliances,
Inc.
of
Zhuhai
Class
A
322,400
2,374
Guangzhou
Automobile
Group
Co.,
Ltd.
Class
H
2,914,435
2,525
Haier
Smart
Home
Co.,
Ltd.
Class
H
203,800
699
Haitian
International
Holdings,
Ltd.
137,000
502
Hengan
International
Group
Co.,
Ltd.
218,500
1,301
Industrial
&
Commercial
Bank
of
China,
Ltd.
Class
H
10,169,401
5,657
Industrial
Bank
Co.,
Ltd.
Class
A
1,444,389
3,957
JD
Logistics,
Inc.(Æ)(Þ)
1,041,100
3,758
JD.com,
Inc.
Class
A(Æ)
125,000
4,439
JD.com,
Inc.
-
ADR(Æ)
29,113
2,064
Jiangsu
Changshu
Rural
Commercial
Bank
Co.,
Ltd.
Class
A
1,360,300
1,242
Jiangsu
Expressway
Co.,
Ltd.
Class
H
1,929,060
2,061
Jiangsu
Yanghe
Brewery
Joint-Stock
Co.,
Ltd.
Class
A
66,198
1,672
JiuGui
Liquor
Co.,
Ltd.
Class
A
39,100
1,163
Joinn
Laboratories
China
Co.,
Ltd.
Class
A
19,900
586
JOYY,
Inc.(Æ)
7,626
408
JW
(Cayman)
Therapeutics
Co.,
Ltd(Æ)
(Ñ)(Þ)
359,000
954
Kuaishou
Technology(Æ)(Þ)
47,200
670
Kweichow
Moutai
Co.,
Ltd.
Class
A
11,463
2,983
Lenovo
Group,
Ltd.
1,114,000
1,042
Li
Ning
Co.,
Ltd.
574,000
6,067
Longfor
Group
Holdings,
Ltd.(Þ)
489,000
2,286
LONGi
Green
Energy
Technology
Co.,
Ltd.
Class
A
77,440
1,034
Meituan-Dianping
Class
B(Æ)(Þ)
107,500
2,979
Midea
Real
Estate
Holding,
Ltd.(Þ)
520,000
879
MMG,
Ltd.(Æ)
3,287,000
1,680
Muyuan
Foodstuff
Co.,
Ltd.
Class
A
45,780
300
NetEase
,
Inc.
-
ADR
21,244
2,171
New
Oriental
Education
&
Technology
Group,
Inc.
-
ADR(Æ)
43,894
95
NIO,
Inc.
-
ADR(Æ)
8,660
387
PetroChina
Co.,
Ltd.
Class
H
13,058,000
5,435
Pharmaron
Beijing
Co.,
Ltd.
Class
H(Þ)
147,500
3,234
PICC
Property
&
Casualty
Co.,
Ltd.
Class
H
734,000
595
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Pinduoduo
,
Inc.
-
ADR(Æ)
3,059
280
Ping
An
Bank
Co.,
Ltd.
Class
A
870,500
2,387
Ping
An
Insurance
Group
Co.
of
China,
Ltd.
Class
A
376,100
3,129
Ping
An
Insurance
Group
Co.
of
China,
Ltd.
Class
H
744,000
6,531
Postal
Savings
Bank
of
China
Co.,
Ltd.
Class
H(Þ)
1,045,000
675
Riyue
Heavy
Industry
Co.,
Ltd.
Class
A
455,500
2,457
SAIC
Motor
Corp.,
Ltd.
Class
A
456,988
1,302
SF
Holding,
Ltd.
Class
A
39,400
362
Shaanxi
Coal
Industry
Co.,
Ltd.
Class
A
845,510
1,464
Shanghai
International
Airport
Co.,
Ltd.
Class
A
319,700
1,910
Shanghai
Pharmaceuticals
Holding
Co.,
Ltd.
Class
H
1,122,600
2,402
Shenzhen
Inovance
Control
Technology
Co.,
Ltd.
Class
A
136,918
1,653
Shenzhen
Mindray
Bio-Medical
Electronics
Co.,
Ltd.
Class
A
52,300
3,166
Shenzhen
Overseas
Chinese
Town
Co.,
Ltd.
Class
A
283,600
284
Shimao
Services
Holdings,
Ltd.(Þ)
773,000
1,794
Sinopharm
Group
Co.,
Ltd.
Class
H
153,600
404
Sinotruk
Hong
Kong,
Ltd.
488,500
844
Sunac
China
Holdings,
Ltd.
279,000
725
Suofeiya
Home
Collection
Co.,
Ltd.
Class
A
438,500
1,298
Tencent
Holdings,
Ltd.
572,580
35,336
Times
Property
Holdings,
Ltd.
1,855,000
1,754
Topsports
International
Holdings,
Ltd.(Þ)
310,000
433
Trip.com
Group,
Ltd.
-
ADR(Æ)
98,719
2,560
Tsingtao
Brewery
Co.,
Ltd.
Class
H
220,000
1,736
Vipshop
Holdings,
Ltd.
-
ADR
109,698
1,824
Wanhua
Chemical
Group
Co.,
Ltd.
Class
A
28,000
494
Weichai
Power
Co.,
Ltd.
Class
H
1,006,000
2,203
Wingtech
Technology
Co.,
Ltd.
Class
A
138,738
2,359
Wuliangye
Yibin
Co.,
Ltd.
Class
A
93,800
3,209
Wus
Printed
Circuit
(
Kunshan
)
Co.,
Ltd.
Class
A
983,945
2,014
WuXi
AppTec
Co.,
Ltd.
Class
A
94,960
2,206
WuXi
AppTec
Co.,
Ltd.
Class
H(Þ)
265,283
5,904
WuXi
Biologics
(Cayman),
Inc.(Æ)(Þ)
182,000
2,778
Xianhe
Co.,
Ltd.
Class
A
400,500
2,461
Yifeng
Pharmacy
Chain
Co.,
Ltd.
Class
A
288,434
2,180
Yum
China
Holdings,
Inc.
11,826
735
Zai
Lab,
Ltd.
-
ADR(Æ)
3,465
501
Zhongsheng
Group
Holdings,
Ltd.
437,000
4,024
Zijin
Mining
Group
Co.,
Ltd.
Class
H
1,544,000
2,203
Zoomlion
Heavy
Industry
Science
and
Technology
Co.,
Ltd.
Class
A
547,460
646
Zoomlion
Heavy
Industry
Science
and
Technology
Co.,
Ltd.
Class
H
295,000
254
328,249
Egypt
-
0.3%
Cleopatra
Hospital(Æ)
3,236,980
983
Commercial
International
Bank
Egypt
SAE(Æ)
307,165
1,117
Russell
Investment
Company
Emerging
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Emerging
Markets
Fund
53
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Commercial
International
Bank
Egypt
SAE
-
GDR
2
Eastern
Co.
SAE
2,034,850
1,525
Edita
Food
Industries
SAE
1,152,556
565
4,190
France
-
0.2%
LVMH
Moet
Hennessy
Louis
Vuitton
SE
-
ADR
2,713
2,171
Sartorius
Stedim
Biotech
1,054
601
Teleperformance
-
GDR
395
167
2,939
Georgia
-
0.1%
Georgia
Capital
PLC(Æ)
95,645
837
TBC
Bank
Group
PLC
49,179
829
1,666
Greece
-
0.3%
Alpha
Bank
AE(Æ)
2,550,631
3,278
Guernsey
-
0.3%
VinaCapital
Vietnam
Opportunity
Fund,
Ltd.
507,354
3,229
Hong
Kong
-
2.9%
AIA
Group,
Ltd.
278,200
3,337
ASM
Pacific
Technology,
Ltd.
204,200
2,634
Cathay
Pacific
Airways,
Ltd.(Æ)
1,708,000
1,371
China
Common
Rich
Renewable
Energy
Investments,
Ltd.(Æ)(Š)
1,630,000
China
Huishan
Dairy
Holdings
Co.,
Ltd(Æ)(Š)
1,269,000
69
China
Lumena
New
Materials
Corp.
(Æ)(Š)
75,600
China
Metal
Recycling
Holdings,
Ltd.
(Æ)(Š)
335,400
Galaxy
Entertainment
Group,
Ltd.(Æ)
654,000
4,450
Geely
Automobile
Holdings,
Ltd.
717,000
2,399
Hong
Kong
Exchanges
&
Clearing,
Ltd.
10,600
677
Kingboard
Holdings,
Ltd.
505,500
2,651
Kingboard
Laminates
Holdings,
Ltd.
183,000
367
Kunlun
Energy
Co.,
Ltd.
6,804,000
5,892
Melco
Crown
Entertainment,
Ltd.
-
ADR(Æ)
92,127
1,282
Nine
Dragons
Paper
Holdings,
Ltd.
1,400,000
1,766
Orient
Overseas
International,
Ltd.
141,500
2,601
PAX
Global
Technology,
Ltd.
612,000
663
Real
Gold
Mining,
Ltd.(Æ)(Š)
463,232
Shimao
Group
Holdings,
Ltd.
942,500
1,859
Sun
Art
Retail
Group,
Ltd.
2,312,711
1,439
Techtronic
Industries
Co.,
Ltd.
53,000
949
Tianhe
Chemicals
Group,
Ltd.(Æ)(Š)
25,778,000
WH
Group,
Ltd.(Þ)
2,974,500
2,468
36,874
Hungary
-
0.6%
MOL
Hungarian
Oil
&
Gas
PLC(Æ)
133,402
1,063
OTP
Bank
PLC(Æ)
119,571
6,448
7,511
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
India
-
10.1%
ACC,
Ltd.
86,485
2,788
Apollo
Hospitals
Enterprise,
Ltd.
46,460
2,519
Asian
Paints,
Ltd.
54,145
2,156
AU
Small
Finance
Bank,
Ltd.(Æ)(Þ)
53,431
882
Aurobindo
Pharma,
Ltd.
35,705
440
Axis
Bank,
Ltd.(Æ)
258,784
2,469
Bajaj
Auto,
Ltd.
15,673
808
Bajaj
Finance,
Ltd.
14,399
1,211
Balrampur
Chini
Mills,
Ltd.
Class
A
150,203
771
Bharat
Electronics,
Ltd.
264,997
660
Bharat
Petroleum
Corp.,
Ltd.
111,588
668
Bharti
Airtel,
Ltd.
203,312
1,539
Britannia
Industries,
Ltd.
10,539
485
Divi's
Laboratories,
Ltd.
62,528
4,123
Dr
Reddy's
Laboratories,
Ltd.
11,889
752
Escorts,
Ltd.
85,169
1,357
GAIL
India,
Ltd.
1,667,104
3,128
Glenmark
Pharmaceuticals,
Ltd.
162,754
1,329
Godrej
Consumer
Products,
Ltd.
42,663
568
Grasim
Industries,
Ltd.
39,910
834
HCL
Technologies,
Ltd.
126,243
1,740
HDFC
Bank,
Ltd.
243,842
4,692
Hero
MotoCorp,
Ltd.
18,158
675
Hindalco
Industries,
Ltd.
416,775
2,494
Housing
Development
Finance
Corp.,
Ltd.
96,954
3,195
ICICI
Bank,
Ltd.
1,319,290
12,132
ICICI
Prudential
Life
Insurance
Co.,
Ltd.(Þ)
41,487
353
IndusInd
Bank,
Ltd.
203,437
2,695
Infosys,
Ltd.
230,737
5,027
Infosys,
Ltd.
-
ADR
284,236
6,287
JSW
Steel,
Ltd.
150,956
1,498
Larsen
&
Toubro,
Ltd.
305,950
6,607
Mahindra
&
Mahindra,
Ltd.
115,017
1,150
Maruti
Suzuki
India,
Ltd.
19,396
1,823
Motherson
Sumi
Systems,
Ltd.
350,603
1,109
NTPC,
Ltd.
411,044
655
Oil
&
Natural
Gas
Corp.,
Ltd.
243,924
376
Power
Grid
Corp.
of
India,
Ltd.
1,398,646
3,219
Power
Grid
Corp.
of
India,
Ltd.(Æ)(Š)
466,215
1,072
Reliance
Industries,
Ltd.
394,600
9,605
Shriram
Transport
Finance
Co.,
Ltd.
23,370
437
State
Bank
of
India
1,684,793
9,789
Sun
Pharmaceutical
Industries,
Ltd.
59,200
616
Tata
Consultancy
Services,
Ltd.
76,194
3,246
Tata
Motors,
Ltd.(Æ)
295,146
1,170
Tata
Steel,
Ltd.
317,979
6,144
Tech
Mahindra,
Ltd.
92,375
1,502
UltraTech
Cement,
Ltd.
31,577
3,236
United
Breweries,
Ltd.
74,725
1,435
United
Phosphorus,
Ltd.
70,330
768
Vedanta,
Ltd.
840,214
3,397
Wipro,
Ltd.
90,578
716
WNS
Holdings,
Ltd.
-
ADR(Æ)
18,150
1,494
129,841
Indonesia
-
1.3%
Astra
International
Tbk
PT
5,103,000
1,666
Russell
Investment
Company
Emerging
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
54
Emerging
Markets
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Bank
Central
Asia
Tbk
PT
604,600
1,248
Bank
Negara
Indonesia
Persero
Tbk
PT
8,772,900
2,897
Bank
Rakyat
Indonesia
Persero
Tbk
PT
16,121,595
4,140
Indofood
Sukses
Makmur
Tbk
PT
1,171,500
493
International
Nickel
Indonesia
Tbk
PT
1,322,800
505
Semen
Indonesia
Persero
Tbk
PT
3,316,081
1,768
Telekomunikasi
Indonesia
Persero
Tbk
PT
18,802,000
4,217
16,934
Japan
-
0.1%
Murata
Manufacturing
Co.,
Ltd.
14,700
1,219
Tokyo
Electron,
Ltd.
1,100
453
1,672
Kazakhstan
-
0.7%
Halyk
Bank
JSC
-
GDR
135,175
2,017
Kaspi.KZ
JSC
-
GDR
66,428
7,522
9,539
Kenya
-
0.5%
Equity
Group
Holdings,
Ltd.(Æ)
5,319,900
2,395
Safaricom
PLC
9,917,300
3,831
6,226
Kuwait
-
0.1%
Agility
Public
Warehousing
Co.
212,366
697
Mobile
Telecommunications
Co.
KSC
147,620
290
987
Luxembourg
-
0.0%
Ternium
SA
-
ADR
10,070
490
Malaysia
-
0.1%
Supermax
Corp.
BHD
1,175,353
911
Mexico
-
1.6%
America
Movil
SAB
de
CV
Class
L
-
ADR
29,263
487
Cemex
SAB
de
CV(Æ)
861,600
703
Cemex
SAB
de
CV
-
ADR(Æ)
665,863
5,414
Fibra
Uno
Administracion
SA
de
CV(ö)
385,300
420
Fomento
Economico
Mexicano
SAB
de
CV
214,875
1,875
Grupo
Aeroportuario
del
Sureste
SAB
de
CV
Class
B
19,140
348
Grupo
Cementos
de
Chihuahua
SAB
de
CV
150,060
1,220
Grupo
Financiero
Banorte
SAB
de
CV
Class
O
938,084
6,082
Grupo
Mexico
SAB
de
CV
203,800
934
Industrias
Bachoco
SAB
de
CV
303,100
1,109
Orbia
Advance
Corp.
SAB
de
CV
671,300
1,829
Wal-Mart
de
Mexico
SAB
de
CV
229,120
755
21,176
Morocco
-
0.4%
Attijariwafa
Bank
SA(Æ)
13,824
697
Label'Vie
SA
7,009
3,139
Maroc
Telecom
-
ADR
68,706
1,044
4,880
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Netherlands
-
0.1%
ASML
Holding
NV
2,189
1,665
Nigeria
-
0.3%
Guaranty
Trust
Holding
Co.
PLC
48,905,697
3,387
Pakistan
-
0.2%
Lucky
Cement,
Ltd.(Æ)
239,280
1,308
Meezan
Bank,
Ltd.
1,840,425
1,415
2,723
Panama
-
0.1%
Copa
Holdings
SA
Class
A(Æ)
10,224
725
Peru
-
0.1%
Credicorp
,
Ltd.
7,665
774
Philippines
-
0.6%
Ayala
Land,
Inc.
2,149,000
1,405
Bank
of
the
Philippine
Islands
823,510
1,326
Converge
ICT
Solutions,
Inc.(Æ)
3,385,100
1,545
Jollibee
Foods
Corp.
88,460
336
Megaworld
Corp.
19,599,000
1,087
Metro
Pacific
Investments
Corp.
5,961,000
418
Metropolitan
Bank
&
Trust
Co.
-
ADR
2,621,000
2,256
8,373
Poland
-
1.2%
Allegro.eu
SA(Æ)(Þ)
78,295
1,343
Bank
Pekao
SA
196,126
4,785
Dino
Polska
SA(Æ)(Þ)
36,782
2,944
InPost
SA(Æ)
92,470
1,811
KGHM
Polska
Miedz
SA
84,134
4,250
15,133
Romania
-
0.5%
Banca
Transilvania
SA
4,269,842
2,884
Fondul
Proprietatea
SA
8,496,600
3,766
6,650
Russia
-
4.4%
Fix
Price
Group,
Ltd.
-
GDR(Æ)
148,958
1,138
Gazprom
PJSC
529,992
2,064
Gazprom
PJSC
-
ADR
178,038
1,386
Lukoil
PJSC
159,511
13,706
Lukoil
PJSC
-
ADR
57,349
4,915
MMC
Norilsk
Nickel
PJSC
-
ADR
90,020
3,113
Mobile
TeleSystems
PJSC
-
ADR
48,178
414
Novatek
PJSC
-
GDR
2,455
546
Novolipetsk
Steel
PJSC
-
GDR
27,418
963
Polymetal
International
PLC
94,278
2,049
Rosneft
Oil
Co.
PJSC
118,810
882
Sberbank
of
Russia
PJSC
2,300,463
9,636
Sberbank
of
Russia
PJSC
-
ADR
486,287
8,095
Surgutneftegas
PJSC
-
ADR
243,064
1,066
Tatneft
PJSC
-
ADR
8,563
341
X5
Retail
Group
NV
-
GDR
102,886
3,333
Yandex
NV
Class
A(Æ)
51,106
3,472
57,119
Saudi
Arabia
-
0.8%
Al
Rajhi
Bank
70,957
2,100
Russell
Investment
Company
Emerging
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Emerging
Markets
Fund
55
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Saudi
Basic
Industries
Corp.
102,628
3,310
Saudi
Ceramic
Co.(Æ)
47,493
782
Saudi
Kayan
Petrochemical
Co.(Æ)
294,924
1,522
United
Electronics
Corp.,
Inc.
55,659
2,009
United
International
Transportation
Co.
57,626
741
10,464
Singapore
-
0.1%
DBS
Group
Holdings,
Ltd.
34,783
781
Slovenia
-
0.2%
Nova
Ljubljanska
Banka
-
GDR
196,574
3,008
South
Africa
-
1.3%
Absa
Group,
Ltd.
119,404
1,111
Anglo
American
PLC
33,881
1,501
Barloworld,
Ltd.
-
ADR
178,276
1,315
Bid
Corp.,
Ltd.(Æ)
107,749
2,364
Bidvest
Group,
Ltd.
(The)
135,116
1,842
Capitec
Bank
Holdings,
Ltd.
3,886
432
Impala
Platinum
Holdings,
Ltd.
92,206
1,662
MTN
Group,
Ltd.(Æ)
185,412
1,332
Naspers,
Ltd.
Class
N
18,193
3,502
Nedbank
Group,
Ltd.
47,767
551
Sasol,
Ltd.
-
ADR(Æ)
41,357
619
Standard
Bank
Group,
Ltd.
56,761
478
16,709
South
Korea
-
14.4%
Hana
Financial
Group,
Inc.
433,656
16,380
Hansol
Chemical
Co.,
Ltd.
5,222
1,216
Hanwha
Solutions
Corp.(Æ)
13,777
469
Hyundai
Engineering
&
Construction
Co.,
Ltd.
9,000
429
Hyundai
Glovis
Co.,
Ltd.
2,830
480
Hyundai
Home
Shopping
Network
Corp.
6,267
443
Hyundai
Mobis
Co.,
Ltd.
19,916
4,624
Hyundai
Motor
Co.
36,282
6,896
Hyundai
Steel
Co.
13,082
616
Kakao
Corp.
19,362
2,480
KB
Financial
Group,
Inc.
286,814
12,741
Kia
Motors
Corp.
119,111
8,683
Korea
Electric
Power
Corp.
23,017
499
Korea
Petrochemical
Industries
Co.,
Ltd.
7,219
1,601
KT&G
Corp.
12,327
883
Kumho
Petrochemical
Co.,
Ltd.
4,855
861
LG
Chem
,
Ltd.
12,568
9,217
LG
Corp.
Class
H
9,136
750
LG
Display
Co.,
Ltd.(Æ)(Ñ)
25,501
490
LG
Electronics,
Inc.
Class
H
21,512
2,956
Lotte
Chemical
Corp.
4,936
1,116
NAVER
Corp.
17,718
6,690
NCSoft
Corp.
3,054
2,188
NICE
Information
Service
Co.,
Ltd.
25,996
543
Orion
Corp.
19,237
1,967
POSCO
30,594
9,712
Samsung
Biologics
Co.,
Ltd.(Æ)(Þ)
1,509
1,169
Samsung
C&T
Corp.
6,793
838
Samsung
Electro-Mechanics
Co.,
Ltd.
8,880
1,487
Samsung
Electronics
Co.,
Ltd.
783,956
53,611
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Samsung
Fire
&
Marine
Insurance
Co.,
Ltd.
2,822
527
Samsung
Life
Insurance
Co.,
Ltd.
9,748
640
Samsung
Securities
Co.,
Ltd.
22,857
878
Shinhan
Financial
Group
Co.,
Ltd.
174,862
5,946
SK
Holdings
Co.,
Ltd.
3,936
920
SK
Hynix,
Inc.
192,780
18,966
SK
Innovation
Co.,
Ltd.(Æ)
3,978
879
SK
Telecom
Co.,
Ltd.
12,782
3,345
UNID
Co.,
Ltd.
4,072
419
Woori
Financial
Group,
Inc.
173,676
1,636
186,191
Sweden
-
0.1%
Atlas
Copco
AB(Æ)
6,606
447
Epiroc
AB
Class
A
31,127
728
1,175
Taiwan
-
13.4%
Accton
Technology
Corp.
125,000
1,456
ASE
Technology
Holding
Co.,
Ltd.
1,271,000
5,594
Asia
Cement
Corp.
324,000
602
Asustek
Computer,
Inc.
74,000
929
AU
Optronics
Corp.
1,668,000
1,230
Catcher
Technology
Co.,
Ltd.
78,000
516
Cathay
Financial
Holding
Co.,
Ltd.
932,000
1,809
China
Development
Financial
Holding
Corp.
1,630,000
824
China
Steel
Corp.
Class
H
1,280,000
1,663
Compal
Electronics,
Inc.
621,000
481
CTBC
Financial
Holding
Co.,
Ltd.
2,760,200
2,258
Delta
Electronics,
Inc.
137,000
1,410
Eclat
Textile
Co.,
Ltd.
100,000
2,181
Evergreen
Marine
Corp.
Taiwan,
Ltd.(Æ)
535,000
2,554
Far
Eastern
New
Century
Corp.
388,000
412
First
Financial
Holding
Co.,
Ltd.
666,025
542
Formosa
Chemicals
&
Fibre
Corp.
350,000
1,033
Formosa
Plastics
Corp.
371,000
1,332
Fubon
Financial
Holding
Co.,
Ltd.
1,903,000
5,112
Globalwafers
Co.,
Ltd.
9,000
272
Hon
Hai
Precision
Industry
Co.,
Ltd.
2,147,516
8,480
Innolux
Corp.
1,614,000
1,072
International
Games
System
Co.,
Ltd.
84,000
2,619
King
Yuan
Electronics
Co.,
Ltd.(Æ)
1,207,000
2,009
Largan
Precision
Co.,
Ltd.
19,000
1,997
Lite-On
Technology
Corp.
256,107
588
Makalot
Industrial
Co.,
Ltd.
221,000
1,882
MediaTek
,
Inc.
273,000
8,877
Micro-Star
International
Co.,
Ltd.
79,000
419
Nan
Ya
Plastics
Corp.
458,000
1,429
Nanya
Technology
Corp.
2,320,000
6,020
Nien
Made
Enterprise
Co.,
Ltd.
61,000
1,024
Novatek
Microelectronics
Corp.
28,000
515
Parade
Technologies,
Ltd.
38,000
2,333
Pegatron
Corp.
258,000
622
Quanta
Computer,
Inc.
320,000
886
Realtek
Semiconductor
Corp.
228,000
4,804
RichWave
Technology
Corp.
103,000
1,472
SEA,
Ltd.
-
ADR(Æ)
1,257
347
Silergy
Corp.
8,000
1,084
Silicon
Motion
Technology
Corp.
-
ADR
10,688
801
Russell
Investment
Company
Emerging
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
56
Emerging
Markets
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Simplo
Technology
Co.,
Ltd.
30,000
397
SinoPac
Financial
Holdings
Co.,
Ltd.
537,755
270
Sitronix
Technology
Corp.
36,000
497
Taiwan
Cement
Corp.
521,724
981
Taiwan
Semiconductor
Manufacturing
Co.,
Ltd.
3,146,000
65,507
Taiwan
Semiconductor
Manufacturing
Co.,
Ltd.
-
ADR
32,745
3,819
Tong
Hsing
Electronic
Industries,
Ltd.
298,000
2,598
Uni
-President
Enterprises
Corp.
1,295,000
3,393
United
Microelectronics
Corp.
4,547,000
9,457
United
Microelectronics
Corp.
-
ADR(Ñ)
53,708
566
Vanguard
International
Semiconductor
Corp.
83,000
344
Yang
Ming
Marine
Transport
Corp.(Æ)
158,000
668
Yuanta
Financial
Holding
Co.,
Ltd.
3,203,400
2,909
172,896
Tanzania,
United
Republic
of
-
0.3%
AngloGold
Ashanti,
Ltd.
-
ADR
178,392
3,577
Thailand
-
0.9%
Charoen
Pokphand
Foods
PCL
4,592,900
3,634
Fabrinet
(Æ)
13,920
1,316
Kasikornbank
PCL
375,300
1,173
Ngern
Tid
Lor
PCL(Æ)
1,207,100
1,434
PTT
Exploration
&
Production
PCL
810,900
2,530
Thai
Beverage
PCL
2,702,900
1,297
11,384
Togo
-
0.0%
Ecobank
Transnational,
Inc.(Æ)
41,250,753
526
Turkey
-
0.4%
D-MARKET
Elektronik
Hizmetler
ve
Ticaret
Anonim
Sirketi
-
ADR(Æ)(Ñ)
65,622
864
Eregli
Demir
ve
Celik
Fabrikalari
TAS
652,000
1,548
Ford
Otomotiv
Sanayi
AS
101,533
2,081
Kardemir
Karabuk
Demir
Celik
Sanayi
ve
Ticaret
AS
Class
D(Æ)
443,156
413
4,906
United
Arab
Emirates
-
0.0%
Aldar
Properties
PJSC
479,538
518
United
States
-
0.2%
Estee
Lauder
Cos.,
Inc.
(The)
Class
A
3,573
1,193
NVIDIA
Corp.
8,824
1,720
2,913
Vietnam
-
2.5%
Asia
Commercial
Bank
Joint
Stock
Bank(Æ)
887,825
1,398
FPT
Corp.
1,534,250
6,284
Ho
Chi
Minh
City
Development
Joint
Stock
Commercial
Bank(Æ)
2,532,400
3,718
Hoa
Phat
Group
JSC
352,155
726
Masan
Group
Corp.
240,000
1,401
Military
Commercial
Joint
Stock
Bank(Æ)
2,611,908
3,288
Mobile
World
Investment
Corp.
1,406,213
10,056
Vietnam
Dairy
Products
JSC
359,200
1,351
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Vietnam
Technological
&
Commercial
Joint
Stock
Bank(Æ)
279,600
624
Vincom
Retail
JSC(Æ)
2,535,300
3,056
31,902
Total
Common
Stocks
(cost
$846,336)
1,196,933
Preferred
Stocks
-
2.3%
Brazil
2.0%
Alpargatas
SA(Æ)
0.000%
47,000
464
Banco
Bradesco
SA
5.085%
(Ÿ)
1,306,942
6,085
Bradespar
SA
9.586%
(Ÿ)
27,000
383
Gerdau
SA
4.919%
(Ÿ)
378,200
2,237
Itau
Unibanco
Holding
SA
2.352%
(Ÿ)
887,242
5,162
Itausa
SA
2.809%
(Ÿ)
365,246
783
Petroleo
Brasileiro
SA
9.033%
(Ÿ)
2,083,800
10,767
25,881
Russia
-
0.1%
Surgutneftegas
OJSC
17.396%
(Ÿ)
2,019,638
1,054
South
Korea
-
0.2%
Samsung
Electronics
Co.,
Ltd.
4.399%
(Ÿ)
53,442
3,355
Total
Preferred
Stocks
(cost
$24,233)
30,290
Long-Term
Investments
-
0.0%
India
-
0.0%
Britannia
Industries,
Ltd.
5.500%
due
08/28/22
INR
306
4
8.000%
due
08/28/22
INR
917
4
8
Total
Long-Term
Investments
(cost
$17)
8
Short-Term
Investments
-
3.1%
United
States
-
3.1%
U.S.
Cash
Management
Fund(@)
40,050,267
(∞)
40,042
Total
Short-Term
Investments
(cost
$40,042)
40,042
Other
Securities
-
0.1%
U.S.
Cash
Collateral
Fund(@)(×)
1,371,275
(∞)
1,371
Total
Other
Securities
(cost
$1,371)
1,371
Total
Investments
-
98.2%
(identified
cost
$911,999)
1,268,644
Russell
Investment
Company
Emerging
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Emerging
Markets
Fund
57
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Other
Assets
and
Liabilities,
Net
-
1.8%
23,187
Net
Assets
-
100.0%
1,291,831
Russell
Investment
Company
Emerging
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
58
Emerging
Markets
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
3.4%
3SBio,
Inc.
06/18/19
HKD
781,000
1
.64
1,285
652
A-Living
Services
Co.,
Ltd.
06/18/19
HKD
690,500
1
.61
1,114
2,650
Allegro.eu
SA
10/21/20
PLN
78,295
19
.98
1,565
1,343
AU
Small
Finance
Bank,
Ltd.
05/19/21
INR
53,431
13
.46
719
882
BAIC
Motor
Corp.,
Ltd.
07/22/20
HKD
1,000,000
0
.50
495
357
Cheerwin
Group,
Ltd.
03/17/21
HKD
401,500
1
.10
442
290
China
Feihe
,
Ltd.
09/02/20
HKD
58,000
1
.97
114
112
China
International
Capital
Corp.,
Ltd.
10/28/20
HKD
475,600
2
.48
1,182
1,095
China
Resources
Pharmaceutical
Group,
Ltd.
06/16/21
HKD
648,500
0
.66
427
347
China
Tower
Corp.,
Ltd.
06/30/21
HKD
4,496,000
0
.14
625
596
China
Youran
Dairy
Group,
Ltd.
06/23/21
HKD
1,251,000
0
.81
1,010
713
Dino
Polska
SA
06/18/19
PLN
36,782
34
.65
1,275
2,944
Ganfeng
Lithium
Co.,
Ltd.
02/03/21
HKD
45,800
16
.44
753
994
Hapvida
Participacoes
e
Investimentos
SA
10/28/20
BRL
125,000
2
.24
281
342
ICICI
Prudential
Life
Insurance
Co.,
Ltd.
07/31/19
INR
41,487
5
.83
242
353
JD
Logistics,
Inc.
06/02/21
HKD
1,041,100
6
.07
6,318
3,758
JW
(Cayman)
Therapeutics
Co.,
Ltd
11/11/20
HKD
359,000
3
.78
1,358
954
Kuaishou
Technology
02/17/21
HKD
47,200
51
.95
2,452
670
Longfor
Group
Holdings,
Ltd.
11/19/18
HKD
489,000
3
.62
1,772
2,286
Meituan-Dianping
07/08/20
HKD
107,500
29
.80
3,204
2,979
Midea
Real
Estate
Holding,
Ltd.
02/19/20
HKD
520,000
2
.84
1,479
879
Pharmaron
Beijing
Co.,
Ltd.
12/04/19
HKD
147,500
5
.27
777
3,234
Postal
Savings
Bank
of
China
Co.,
Ltd.
03/17/21
HKD
1,045,000
0
.79
826
675
Samsung
Biologics
Co.,
Ltd.
03/03/20
KRW
1,509
609
.65
920
1,169
Shimao
Services
Holdings,
Ltd.
11/04/20
HKD
773,000
1
.97
1,523
1,794
Topsports
International
Holdings,
Ltd.
06/23/21
HKD
310,000
1
.63
505
433
WH
Group,
Ltd.
09/22/15
HKD
2,974,500
0
.69
2,063
2,468
WuXi
AppTec
Co.,
Ltd.
02/20/19
HKD
265,283
6
.79
1,801
5,904
WuXi
Biologics
(Cayman),
Inc.
10/28/20
HKD
182,000
14
.22
2,588
2,778
43,651
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
MSCI
China
Free
Index
Futures
806
USD
42,021
09/21
(5,780)
MSCI
Emerging
Markets
Index
Futures
930
USD
59,413
09/21
(4,169)
Short
Positions
MSCI
Emerging
Markets
Index
Futures
697
USD
44,528
09/21
3,205
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
(6,744)
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
HKD
4,672
USD
601
08/02/21
Bank
of
America
HKD
2,655
USD
342
08/03/21
Russell
Investment
Company
Emerging
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Emerging
Markets
Fund
59
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
ZAR
15,362
USD
1,034
08/02/21
(15)
State
Street
USD
7,059
CNY
45,380
09/15/21
(64)
State
Street
USD
4,168
KRW
4,650,000
09/15/21
(139)
State
Street
CNY
45,380
USD
7,050
09/15/21
55
State
Street
KRW
4,650,000
USD
4,167
09/15/21
137
State
Street
THB
9,302
USD
283
08/02/21
State
Street
TWD
227
USD
8
08/02/21
State
Street
TWD
10,500
USD
375
08/02/21
Total
Unrealized
Appreciation
(Depreciation)
on
Open
Foreign
Currency
Exchange
Contracts
(26)
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
Common
Stocks
Argentina
$
2,575
$
$
$
$
2,575
Bangladesh
6,951
6,951
Brazil
56,531
56,531
Canada
6,417
6,417
Chile
368
368
China
36,449
291,800
328,249
Egypt
4,190
4,190
France
2,939
2,939
Georgia
1,666
1,666
Greece
3,278
3,278
Guernsey
3,229
3,229
Hong
Kong
1,282
35,523
69
36,874
Hungary
7,511
7,511
India
7,781
120,988
1,072
129,841
Indonesia
16,934
16,934
Japan
1,672
1,672
Kazakhstan
9,539
9,539
Kenya
6,226
6,226
Kuwait
987
987
Luxembourg
490
490
Malaysia
911
911
Mexico
21,176
21,176
Morocco
4,880
4,880
Netherlands
1,665
1,665
Nigeria
3,387
3,387
Pakistan
2,723
2,723
Panama
725
725
Peru
774
774
Philippines
8,373
8,373
Poland
15,133
15,133
Russell
Investment
Company
Emerging
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
60
Emerging
Markets
Fund
It
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
Romania
6,650
6,650
Russia
3,886
53,233
57,119
Saudi
Arabia
10,464
10,464
Singapore
781
781
Slovenia
3,008
3,008
South
Africa
16,709
16,709
South
Korea
186,191
186,191
Sweden
1,175
1,175
Taiwan
5,533
167,363
172,896
Tanzania,
United
Republic
of
3,577
3,577
Thailand
1,316
10,068
11,384
Togo
526
526
Turkey
864
4,042
4,906
United
Arab
Emirates
518
518
United
States
2,913
2,913
Vietnam
31,902
31,902
Preferred
Stocks
25,881
4,409
30,290
Long-Term
Investments
8
8
Short-Term
Investments
40,042
40,042
Other
Securities
1,371
1,371
Total
Investments
181,925
1,044,165
1,141
41,413
1,268,644
Other
Financial
Instruments
Assets
Futures
Contracts
3,205
3,205
Foreign
Currency
Exchange
Contracts
192
192
Liabilities
Futures
Contracts
(9,949
)
(9,949
)
Foreign
Currency
Exchange
Contracts
(14)
(204)
(218
)
Total
Other
Financial
Instruments
*
$
(6,758)
$
(12)
$
$
$
(6,770
)
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Amounts
in
thousands
Russell
Investment
Company
Emerging
Markets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Emerging
Markets
Fund
61
Sector
Exposure
Fair
Value
$
Common
Stocks
Consumer
Discretionary
..........................................................
130,663
Consumer
Staples
...................................................................
54,704
Energy
....................................................................................
62,644
Financial
Services
...................................................................
293,337
Health
Care
.............................................................................
41,222
Materials
and
Processing
........................................................
153,237
Producer
Durables
..................................................................
64,797
Technology
..............................................................................
351,569
Utilities
...................................................................................
44,760
Preferred
Stocks
Consumer
Discretionary
..........................................................
464
Energy
....................................................................................
11,821
Financial
Services
...................................................................
12,413
Materials
and
Processing
........................................................
2,237
Technology
..............................................................................
3,355
Long-Term
Investments
.................................................................
8
Short-Term
Investments
................................................................
40,042
Other
Securities
...........................................................................
1,371
Total
Investments
....................................................................
1,268,644
Russell
Investment
Company
Tax-Managed
U.S.
Large
Cap
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
62
Tax-Managed
U.S.
Large
Cap
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Common
Stocks
-
96.6%
Consumer
Discretionary
-
13.8%
Advance
Auto
Parts,
Inc.
19,099
4,050
Amazon.com,
Inc.(Æ)
56,889
189,302
AutoZone,
Inc.(Æ)
3,781
6,139
Best
Buy
Co.,
Inc.
44,114
4,956
Capri
Holdings,
Ltd.(Æ)
339,108
19,095
Charter
Communications,
Inc.
Class
A(Æ)
16,698
12,424
Comcast
Corp.
Class
A
442,731
26,046
Costco
Wholesale
Corp.
65,676
28,222
DISH
Network
Corp.
Class
A(Æ)
183,200
7,674
Dollar
General
Corp.
5,400
1,256
Dollar
Tree,
Inc.(Æ)
53,466
5,335
DR
Horton,
Inc.
15,748
1,503
eBay,
Inc.
26,648
1,818
Expedia
Group,
Inc.(Æ)
5,900
949
Ford
Motor
Credit
Co.
LLC(Æ)
577,447
8,055
Fox
Corp.
Class
A
190,144
6,781
Garmin,
Ltd.
46,864
7,367
General
Motors
Co.(Æ)
29,701
1,688
Home
Depot,
Inc.
(The)
75,922
24,917
Lennar
Corp.
Class
A
106,341
11,182
Lennar
Corp.
Class
B
56
5
Lowe's
Cos.,
Inc.
194,881
37,552
McDonald's
Corp.
5,663
1,374
Mohawk
Industries,
Inc.(Æ)
63,981
12,470
Netflix,
Inc.(Æ)
62,099
32,141
Nike,
Inc.
Class
B
489,751
82,038
nVent
Electric
PLC
6,066
192
O'Reilly
Automotive,
Inc.(Æ)
39,735
23,994
PulteGroup,
Inc.
44,100
2,420
Ross
Stores,
Inc.
53,782
6,599
Royal
Caribbean
Cruises,
Ltd.(Æ)
10,518
809
Starbucks
Corp.
215,173
26,128
Target
Corp.
136,701
35,686
Tesla,
Inc.(Æ)
23,263
15,986
TJX
Cos.,
Inc.
(The)
324,871
22,354
Tractor
Supply
Co.
28,535
5,163
Ulta
Beauty,
Inc.(Æ)
13,081
4,393
VF
Corp.
26,000
2,085
ViacomCBS
,
Inc.
Class
B
23,776
973
Walmart,
Inc.
175,381
25,001
Walt
Disney
Co.
(The)(Æ)
163,912
28,852
Whirlpool
Corp.
35,905
7,954
Wyndham
Hotels
&
Resorts,
Inc.
59,865
4,314
Yum
China
Holdings,
Inc.
29,534
1,837
Yum!
Brands,
Inc.
409,470
53,800
802,879
Consumer
Staples
-
3.9%
Archer-Daniels-Midland
Co.
26,319
1,572
Clorox
Co.
(The)
8,673
1,569
Coca-Cola
Co.
(The)
222,093
12,666
Coca-Cola
European
Partners
PLC
386,780
24,004
Colgate-Palmolive
Co.
61,225
4,867
Constellation
Brands,
Inc.
Class
A
26,679
5,985
CVS
Health
Corp.
293,378
24,163
Estee
Lauder
Cos.,
Inc.
(The)
Class
A
19,398
6,476
General
Mills,
Inc.
30,681
1,806
Hershey
Co.
(The)
4,970
889
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Hormel
Foods
Corp.
6,896
320
Keurig
Dr
Pepper,
Inc.
14,941
526
Kimberly-Clark
Corp.
6,887
935
Kroger
Co.
(The)
28,838
1,174
Molson
Coors
Beverage
Co.
Class
B
509,659
24,917
Mondelez
International,
Inc.
Class
A
453,704
28,701
Monster
Beverage
Corp.(Æ)
63,368
5,977
PepsiCo,
Inc.
131,961
20,711
Philip
Morris
International,
Inc.
126,381
12,649
Procter
&
Gamble
Co.
(The)
272,411
38,745
Sysco
Corp.
51,834
3,846
Unilever
PLC
-
ADR
113,321
6,519
229,017
Energy
-
1.6%
Chevron
Corp.
77,606
7,901
Diamondback
Energy,
Inc.
90,098
6,949
Exxon
Mobil
Corp.
126,962
7,309
Hess
Corp.
237,512
18,155
Marathon
Petroleum
Corp.
3,280
181
Phillips
66
243,019
17,845
Pioneer
Natural
Resources
Co.
218,853
31,815
Valero
Energy
Corp.
64,668
4,331
94,486
Financial
Services
-
17.3%
American
Express
Co.
394,878
67,339
American
Tower
Corp.(ö)
89,691
25,365
Ameriprise
Financial,
Inc.
5,878
1,514
Aon
PLC
Class
A
92,973
24,176
Arthur
J
Gallagher
&
Co.
28,088
3,913
Assurant,
Inc.
59,987
9,467
AvalonBay
Communities,
Inc.(ö)
5,000
1,139
Bank
of
America
Corp.
820,165
31,462
Berkshire
Hathaway,
Inc.
Class
B(Æ)
181,030
50,379
Capital
One
Financial
Corp.
147,276
23,815
Charles
Schwab
Corp.
(The)
44,438
3,020
Chubb,
Ltd.
239,884
40,478
Citigroup,
Inc.
93,144
6,298
Citizens
Financial
Group,
Inc.
497,247
20,964
CME
Group,
Inc.
Class
A
2,510
532
Corporate
Office
Properties
Trust(ö)
67,641
1,991
Equinix
,
Inc.(Æ)(ö)
45,513
37,339
Everest
Re
Group,
Ltd.
900
228
Fifth
Third
Bancorp
223,451
8,109
First
Republic
Bank
2,386
465
FleetCor
Technologies,
Inc.(Æ)
181,850
46,957
Global
Payments,
Inc.
47,871
9,259
Goldman
Sachs
Group,
Inc.
(The)
12,071
4,525
Hartford
Financial
Services
Group,
Inc.
55,496
3,531
Healthpeak
Properties,
Inc.(ö)
330,214
12,208
Huntington
Bancshares,
Inc.
831,115
11,702
Intercontinental
Exchange,
Inc.
163,857
19,635
JPMorgan
Chase
&
Co.
294,374
44,680
KeyCorp
472,418
9,288
Kimco
Realty
Corp.(ö)
434,379
9,265
Markel
Corp.(Æ)
9,476
11,430
MasterCard,
Inc.
Class
A
83,464
32,212
MetLife,
Inc.
171,966
9,922
MGM
Growth
Properties
LLC
Class
A(ö)
13,400
507
Russell
Investment
Company
Tax-Managed
U.S.
Large
Cap
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
U.S.
Large
Cap
Fund
63
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Moody's
Corp.
58,542
22,012
Morgan
Stanley
161,650
15,515
Northern
Trust
Corp.
151,408
17,086
PayPal
Holdings,
Inc.(Æ)
346,434
95,452
PNC
Financial
Services
Group,
Inc.
(The)
22,409
4,088
Progressive
Corp.
(The)
96,437
9,177
Prologis,
Inc.(ö)
57,326
7,340
Prudential
Financial,
Inc.
67,246
6,743
Public
Storage(ö)
26,394
8,248
Raymond
James
Financial,
Inc.
6,917
896
Regions
Financial
Corp.
661,387
12,732
Simon
Property
Group,
Inc.(ö)
3
State
Street
Corp.
42,925
3,740
SVB
Financial
Group(Æ)
5,182
2,850
Synchrony
Financial
264,937
12,457
T.
Rowe
Price
Group,
Inc.
21,702
4,431
Torchmark
Corp.(Æ)
60,409
5,625
Truist
Financial
Corp.
187,233
10,191
US
Bancorp
442,325
24,567
Visa,
Inc.
Class
A
342,775
84,455
Voya
Financial,
Inc.
21,215
1,366
Wells
Fargo
&
Co.
1,211,928
55,676
Welltower
,
Inc.(ö)
91,405
7,939
Zions
Bancorp
NA
239,380
12,484
1,008,184
Health
Care
-
12.9%
Abbott
Laboratories
451,701
54,647
AbbVie,
Inc.
168,065
19,546
Amgen,
Inc.
53,187
12,847
Anthem,
Inc.(Æ)
58,028
22,283
AstraZeneca
PLC
-
ADR
72,852
4,170
Baxter
International,
Inc.
15,579
1,205
Becton
Dickinson
and
Co.
38,705
9,899
Biogen,
Inc.(Æ)
11,230
3,669
Boston
Scientific
Corp.(Æ)
131,117
5,979
Bristol
Myers
Squibb
Co.
166,954
11,331
Cerner
Corp.
88,688
7,130
Cigna
Corp.
222,208
50,995
Eli
Lilly
&
Co.
57,295
13,951
Henry
Schein,
Inc.(Æ)
114,024
9,139
Humana,
Inc.
17,246
7,344
Illumina,
Inc.(Æ)
69,090
34,251
Intuitive
Surgical,
Inc.(Æ)
63,012
62,475
IQVIA,
Inc.(Æ)
36,189
8,964
Johnson
&
Johnson
255,014
43,913
Laboratory
Corp.
of
America
Holdings(Æ)
43,950
13,016
McKesson
Corp.
76,085
15,508
Medtronic
PLC
163,349
21,449
Merck
&
Co.,
Inc.
430,533
33,095
Novo
Nordisk
A/S
-
ADR
146,069
13,526
Organon
&
Co.
34,963
1,014
Perrigo
Co.
PLC
170,739
8,201
Pfizer,
Inc.
204,057
8,736
Regeneron
Pharmaceuticals,
Inc.(Æ)
76,798
44,129
Sanofi
-
ADR
5,860
302
Stryker
Corp.
13,945
3,778
Teleflex,
Inc.
47,928
19,048
Thermo
Fisher
Scientific,
Inc.
83,852
45,281
UnitedHealth
Group,
Inc.
290,534
119,765
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Vertex
Pharmaceuticals,
Inc.(Æ)
52,810
10,645
Viatris
,
Inc.
25,321
356
Zimmer
Biomet
Holdings,
Inc.
35,057
5,729
Zoetis,
Inc.
Class
A
13,700
2,777
750,093
Materials
and
Processing
-
3.7%
Air
Products
&
Chemicals,
Inc.
9,859
2,869
Ball
Corp.
458,001
37,043
Carrier
Global
Corp.
231,724
12,803
Celanese
Corp.
Class
A
82,004
12,774
Crown
Holdings,
Inc.
14,346
1,431
Dow,
Inc.
33,546
2,085
DuPont
de
Nemours,
Inc.
308,391
23,145
Ecolab,
Inc.
102,635
22,665
Ingevity
Corp.(Æ)
16,174
1,374
International
Flavors
&
Fragrances,
Inc.
185,449
27,936
Linde
PLC(Æ)
170,265
52,337
Martin
Marietta
Materials,
Inc.
2,605
946
Masco
Corp.
34,631
2,068
PPG
Industries,
Inc.
4,260
697
Rio
Tinto
PLC
-
ADR
37,916
3,273
Trane
Technologies
PLC
42,168
8,586
212,032
Producer
Durables
-
9.6%
3M
Co.
1,700
336
Alaska
Air
Group,
Inc.(Æ)
48,296
2,803
Aptiv
PLC(Æ)
80,951
13,507
Boeing
Co.
(The)(Æ)
202
46
Booz
Allen
Hamilton
Holding
Corp.
Class
A
98,199
8,426
CSX
Corp.
189,300
6,118
Danaher
Corp.
208,019
61,884
Deere
&
Co.
86,649
31,331
Eaton
Corp.
PLC
51,024
8,064
Fortive
Corp.
26,077
1,895
General
Dynamics
Corp.
108,989
21,365
General
Electric
Co.
255,750
3,312
Honeywell
International,
Inc.
137,923
32,245
IHS
Markit
,
Ltd.(Æ)
518,321
60,561
Illinois
Tool
Works,
Inc.
1,831
415
Ingersoll
Rand,
Inc.(Æ)
191,209
9,344
Jacobs
Engineering
Group,
Inc.
34,336
4,644
Johnson
Controls
International
PLC(Æ)
20,895
1,492
Kansas
City
Southern
57,146
15,304
L3Harris
Technologies,
Inc.
82,067
18,608
Lockheed
Martin
Corp.
8,381
3,115
Mettler
-Toledo
International,
Inc.(Æ)
16,183
23,849
Norfolk
Southern
Corp.
42,340
10,917
Northrop
Grumman
Corp.
31,338
11,376
Old
Dominion
Freight
Line,
Inc.
29,612
7,970
Otis
Worldwide
Corp.
94,005
8,418
PACCAR
Financial
Corp.
40,168
3,334
Parker-Hannifin
Corp.
9,867
3,079
Pentair
PLC
6,066
447
S&P
Global,
Inc.
23,832
10,217
Southwest
Airlines
Co.(Æ)
147,980
7,476
Square,
Inc.
Class
A(Æ)
52,617
13,010
Stanley
Black
&
Decker,
Inc.
168,952
33,292
TE
Connectivity,
Ltd.
27,015
3,984
Russell
Investment
Company
Tax-Managed
U.S.
Large
Cap
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
64
Tax-Managed
U.S.
Large
Cap
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Textron,
Inc.
302,271
20,860
TopBuild
Corp.(Æ)
3,805
771
TransDigm
Group,
Inc.(Æ)
4,268
2,736
Travel
+
Leisure
Co.(Æ)
52,623
2,726
Union
Pacific
Corp.
195,351
42,735
United
Airlines
Holdings,
Inc.(Æ)
140,535
6,566
Vontier
Corp.
834
27
Waste
Management,
Inc.
4,229
627
Waters
Corp.(Æ)
24,577
9,580
Westinghouse
Air
Brake
Technologies
Corp.
337,728
28,663
557,475
Technology
-
29.8%
Accenture
PLC
Class
A
56,902
18,077
Adobe,
Inc.(Æ)
63,544
39,501
Advanced
Micro
Devices,
Inc.(Æ)
294,526
31,276
Allegion
PLC
17,438
2,382
Alphabet,
Inc.
Class
A(Æ)
16,294
43,905
Alphabet,
Inc.
Class
C(Æ)
63,653
172,145
Amphenol
Corp.
Class
A
16,272
1,180
Analog
Devices,
Inc.
65,878
11,029
Apple,
Inc.
1,539,931
224,615
Applied
Materials,
Inc.
109,156
15,274
ASML
Holding
NV
4,457
3,417
Autodesk,
Inc.(Æ)
190,039
61,027
Automatic
Data
Processing,
Inc.
76,295
15,994
Booking
Holdings,
Inc.(Æ)
5,511
12,004
Broadcom,
Inc.
42,023
20,398
CDK
Global
Inc.
996
48
Cisco
Systems,
Inc.
275,826
15,272
Citrix
Systems,
Inc.
25,203
2,539
Cognizant
Technology
Solutions
Corp.
Class
A
67,038
4,929
Corteva
,
Inc.
642,817
27,500
Dell
Technologies,
Inc.
Class
C(Æ)
66,958
6,469
Electronic
Arts,
Inc.
104,582
15,056
Etsy,
Inc.(Æ)
6,665
1,223
F5
Networks,
Inc.(Æ)
45,860
9,471
Facebook,
Inc.
Class
A(Æ)
417,846
148,880
Fidelity
National
Information
Services,
Inc.
35,385
5,274
Fortinet,
Inc.(Æ)
18,106
4,929
Hewlett
Packard
Enterprise
Co.
Class
H
17,170
249
HP,
Inc.(Æ)
96,622
2,789
Intel
Corp.
164,222
8,822
International
Business
Machines
Corp.
8,600
1,212
Intuit,
Inc.
117,930
62,499
KLA
Corp.
5,800
2,019
Lam
Research
Corp.
32,264
20,565
Leidos
Holdings,
Inc.
154,399
16,431
Lyft,
Inc.
Class
A(Æ)
47,629
2,635
Match
Group,
Inc.(Æ)
154,432
24,596
Micron
Technology,
Inc.
130,172
10,099
Microsoft
Corp.
967,650
275,694
Motorola
Solutions,
Inc.
95,500
21,384
MSCI,
Inc.
Class
A
71,292
42,487
NVIDIA
Corp.
216,312
42,179
NXP
Semiconductors
NV
19,883
4,104
Oracle
Corp.
316,047
27,540
Qorvo
,
Inc.(Æ)
74,161
14,060
QUALCOMM,
Inc.
54,875
8,220
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Raytheon
Technologies
Corp.(Æ)
271,127
23,574
Salesforce.com,
Inc.(Æ)
334,073
80,822
SAP
SE
-
ADR
59,771
8,590
Seagate
Technology
Holdings
PLC
41,972
3,689
Shopify,
Inc.
Class
A(Æ)
2,234
3,351
Synopsys,
Inc.(Æ)
19,663
5,663
Taiwan
Semiconductor
Manufacturing
Co.,
Ltd.
-
ADR
40,732
4,751
Texas
Instruments,
Inc.
79,192
15,096
VeriSign,
Inc.(Æ)
26,379
5,708
Workday,
Inc.
Class
A(Æ)
229,264
53,739
Xilinx,
Inc.
187,669
28,120
1,734,501
Utilities
-
4.0%
Ameren
Corp.
24,712
2,074
American
Electric
Power
Co.,
Inc.
26,048
2,295
AT&T,
Inc.
201,512
5,652
CenterPoint
Energy,
Inc.
456,067
11,611
Cheniere
Energy,
Inc.(Æ)
103,195
8,764
CMS
Energy
Corp.
37,178
2,297
ConocoPhillips
Co.
314,943
17,656
Consolidated
Edison
Co.,
Inc.
165,494
12,208
Dominion
Energy,
Inc.
27,634
2,069
DT
Midstream,
Inc.
31,772
1,347
DTE
Energy
Co.
63,544
7,455
Duke
Energy
Corp.
91,833
9,653
Entergy
Corp.
119,535
12,303
Exelon
Corp.
430,522
20,148
FirstEnergy
Corp.
283,392
10,860
NextEra
Energy,
Inc.
226,916
17,677
NiSource,
Inc.
38,538
955
Pinnacle
West
Capital
Corp.
51,219
4,279
PPL
Corp.
139,731
3,964
Public
Service
Enterprise
Group,
Inc.
14,344
893
RingCentral,
Inc.
Class
A(Æ)
108,424
28,979
Sempra
Energy
14,900
1,947
Southern
Co.
(The)
159
10
T-Mobile
USA,
Inc.(Æ)
84,041
12,104
Verizon
Communications,
Inc.
431,230
24,054
Xcel
Energy,
Inc.
137,295
9,370
230,624
Total
Common
Stocks
(cost
$2,657,389)
5,619,291
Short-Term
Investments
-
3.3%
U.S.
Cash
Management
Fund(@)
190,447,197
(∞)
190,409
Total
Short-Term
Investments
(cost
$190,408)
190,409
Total
Investments
-
99.9%
(identified
cost
$2,847,797)
5,809,700
Other
Assets
and
Liabilities,
Net
-
0.1%
5,939
Net
Assets
-
100.0%
5,815,639
Russell
Investment
Company
Tax-Managed
U.S.
Large
Cap
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
U.S.
Large
Cap
Fund
65
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical    
Expedient
(a)
Total
Common
Stocks
Consumer
Discretionary
$
802,879
$
$
$
$
802,879
Consumer
Staples
229,017
229,017
Energy
94,486
94,486
Financial
Services
1,008,184
1,008,184
Health
Care
750,093
750,093
Materials
and
Processing
212,032
212,032
Producer
Durables
557,475
557,475
Technology
1,734,501
1,734,501
Utilities
230,624
230,624
Short-Term
Investments
190,409
190,409
Total
Investments
5,619,291
190,409
5,809,700
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Russell
Investment
Company
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
66
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Common
Stocks
96.2%
Consumer
Discretionary
-
16.3%
1-800-Flowers.com,
Inc.
Class
A(Æ)
14,360
438
Abercrombie
&
Fitch
Co.
Class
A(Æ)
21,379
808
AMC
Networks,
Inc.
Class
A(Æ)
18,809
941
American
Eagle
Outfitters,
Inc.
163,471
5,635
American
Outdoor
Brands,
Inc.(Æ)
5,336
144
American
Public
Education,
Inc.(Æ)
6,747
200
Aramark
Services,
Inc.
5,768
203
Audacy
,
Inc.(Æ)
125,004
446
B.
Riley
Financial,
Inc.
10,843
733
Bally's
Corp.(Æ)
16,594
817
Bassett
Furniture
Industries,
Inc.
22,455
512
Bath
&
Body
Works
Inc.(Æ)
27,381
2,192
Beazer
Homes
USA,
Inc.(Æ)
39,527
722
Bed
Bath
&
Beyond,
Inc.(Æ)
27,391
782
Big
Lots,
Inc.
6,358
366
BJ's
Restaurants,
Inc.(Æ)
11,885
482
BJ's
Wholesale
Club
Holdings,
Inc.(Æ)
10,141
514
Bloomin
'
Brands,
Inc.(Æ)
149,667
3,761
Bluegreen
Vacations
Holding
Corp.(Æ)
18,363
318
Boot
Barn
Holdings,
Inc.(Æ)
6,772
585
BorgWarner,
Inc.
16,984
832
Boyd
Gaming
Corp.(Æ)
15,720
896
Brinker
International,
Inc.(Æ)
26,661
1,449
Brunswick
Corp.
27,819
2,904
Burlington
Stores,
Inc.(Æ)
10,156
3,400
Cable
One,
Inc.
1,352
2,553
Caleres
,
Inc.
34,500
854
Callaway
Golf
Co.(Æ)
14,281
452
Capri
Holdings,
Ltd.(Æ)
22,242
1,252
Carter's,
Inc.
8,753
856
Carvana
Co.(Æ)
1,087
367
Central
Garden
&
Pet
Co.
Class
A(Æ)
5,797
251
Century
Casinos,
Inc.(Æ)
39,565
444
Century
Communities,
Inc.
18,164
1,262
Cheesecake
Factory,
Inc.
(The)(Æ)
50,186
2,271
Chegg
,
Inc.(Æ)
37,464
3,320
Churchill
Downs,
Inc.
5,570
1,035
Cinemark
Holdings,
Inc.(Æ)
248,926
3,866
Citi
Trends,
Inc.(Æ)
44,489
3,548
Conn's,
Inc.(Æ)
29,533
657
Container
Store
Group,
Inc.
(The)(Æ)
58,500
615
Cooper-Standard
Holdings,
Inc.(Æ)
12,266
320
Cracker
Barrel
Old
Country
Store,
Inc.
700
95
Dana
Holding
Corp.
34,276
828
Darden
Restaurants,
Inc.
13,243
1,932
Dave
&
Buster's
Entertainment,
Inc.(Æ)
52,338
1,742
Deckers
Outdoor
Corp.(Æ)
9,224
3,790
Del
Taco
Restaurants,
Inc.(Æ)
74,499
634
Delta
Apparel,
Inc.(Æ)
10,694
342
Designer
Brands,
Inc.
Class
A(Æ)
38,222
557
Dick's
Sporting
Goods,
Inc.
32,474
3,382
Domino's
Pizza,
Inc.
7,114
3,738
Dorman
Products,
Inc.(Æ)
13,648
1,381
Ethan
Allen
Interiors,
Inc.
16,761
398
FactSet
Research
Systems,
Inc.
4,286
1,531
First
Cash
Financial
Services,
Inc.
9,286
735
Five
Below,
Inc.(Æ)
27,802
5,405
Fortune
Brands
Home
&
Security,
Inc.
7,667
747
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Fox
Factory
Holding
Corp.(Æ)
25,491
4,118
Gaia,
Inc.(Æ)(Ñ)
118,628
1,413
Genesco,
Inc.(Æ)
8,688
499
Gentex
Corp.
12,980
442
Gentherm
,
Inc.(Æ)
38,134
3,162
G-III
Apparel
Group,
Ltd.(Æ)
39,239
1,172
GMS,
Inc.(Æ)
8,715
428
Golden
Entertainment,
Inc.(Æ)
14,551
662
Goodyear
Tire
&
Rubber
Co.
(The)(Æ)
50,511
794
Grand
Canyon
Education,
Inc.(Æ)
15,870
1,466
Gray
Television,
Inc.
19,718
437
Group
1
Automotive,
Inc.
2,622
456
H&R
Block,
Inc.
5,376
132
Hamilton
Beach
Brands
Holding
Co.
Class
A
22,559
422
Harley-Davidson,
Inc.
19,169
759
Hasbro,
Inc.
6,498
646
Hillenbrand,
Inc.
10,655
483
Hilton
Grand
Vacations,
Inc.(Æ)
14,163
576
Hooker
Furniture
Corp.
9,225
306
Horizon
Global
Corp.(Æ)
52,026
463
IAC/InterActiveCorp.(Æ)
7,177
985
iHeartMedia
,
Inc.
Class
A(Æ)
19,814
512
International
Game
Technology
PLC(Æ)
47,959
899
Interpublic
Group
of
Cos.,
Inc.
(The)
14,186
502
IntriCon
Corp.(Æ)
14,322
344
Jack
in
the
Box,
Inc.
2,833
308
John
Wiley
&
Sons,
Inc.
Class
A
48,465
2,849
Just
Eat
Takaway.com
NV
-
ADR(Æ)
27,205
479
Kohl's
Corp.
26,737
1,358
Kontoor
Brands,
Inc.
53,770
2,978
Kura
Sushi
USA,
Inc.
Class
A(Æ)(Ñ)
15,144
736
Laureate
Education,
Inc.
Class
A(Æ)
15,582
231
Lee
Enterprises,
Inc.(Æ)
16,164
467
Leggett
&
Platt,
Inc.
4,525
217
LGI
Homes,
Inc.(Æ)
2,560
438
Liberty
Braves
Group
Class
C(Æ)
57,809
1,529
Liberty
Broadband
Corp.
Class
C(Æ)
19,402
3,444
Liberty
Media
Corp.-Liberty
Braves
Class
A(Æ)
6,510
173
Liberty
SiriusXM
Group
Class
C(Æ)
65,799
3,040
Lions
Gate
Entertainment
Corp.
Class
A(Æ)
68,062
1,023
Lithia
Motors,
Inc.
Class
A
19,481
7,349
LKQ
Corp.(Æ)
42,380
2,151
M/I
Homes,
Inc.(Æ)
5,931
384
Madison
Square
Garden
Entertainment
Corp.
(Æ)
30,067
2,103
Malibu
Boats,
Inc.
Class
A(Æ)
20,775
1,738
MarineMax
,
Inc.(Æ)
10,543
567
Marriott
Vacations
Worldwide
Corp.(Æ)
7,760
1,144
MDC
Holdings,
Inc.
8,817
470
Meredith
Corp.(Æ)
19,730
861
Meritage
Homes
Corp.(Æ)
5,627
611
Meritor,
Inc.(Æ)
13,699
333
Mohawk
Industries,
Inc.(Æ)
6,071
1,183
Monro
Muffler
Brake,
Inc.
16,360
949
Nautilus,
Inc.(Æ)
2,418
35
Newell
Rubbermaid,
Inc.
22,052
546
News
Corp.
Class
A
14,211
350
Nexstar
Media
Group,
Inc.
Class
A
50,218
7,386
Norwegian
Cruise
Line
Holdings,
Ltd.(Æ)
6,921
166
Russell
Investment
Company
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
67
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
nVent
Electric
PLC
34,460
1,089
NVR,
Inc.(Æ)
153
799
Ollie's
Bargain
Outlet
Holdings,
Inc.(Æ)
38,858
3,618
OneSpaWorld
Holdings,
Ltd.(Æ)
33,234
328
Penn
National
Gaming,
Inc.(Æ)
13,153
899
Pool
Corp.
12,749
6,092
PulteGroup,
Inc.
22,204
1,218
PVH
Corp.(Æ)
38,098
3,986
QuinStreet
,
Inc.(Æ)
58,446
1,072
Qurate
Retail,
Inc.
Class
A
159,448
1,891
RCI
Hospitality
Holdings,
Inc.
22,182
1,392
Red
Robin
Gourmet
Burgers,
Inc.(Æ)
33,438
877
Revolve
Group,
Inc.(Æ)
81,359
5,663
Rocky
Brands,
Inc.
1,919
104
Sensata
Technologies
Holding
PLC(Æ)
7,563
443
Service
Corp.
International
12,051
753
Shoe
Carnival,
Inc.
13,128
442
Shutterstock
,
Inc.
3,491
379
Signet
Jewelers,
Ltd.
22,099
1,422
Sinclair
Broadcast
Group,
Inc.
Class
A
25,353
717
Skechers
USA,
Inc.
Class
A(Æ)
27,104
1,455
Stamps.com,
Inc.(Æ)
1,989
650
Strategic
Eduation
,
Inc.(Æ)
8,382
665
Taylor
Morrison
Home
Corp.
Class
A(Æ)
20,519
550
TEGNA,
Inc.
6,655
118
Tempur
Sealy
International,
Inc.
8,908
385
Texas
Roadhouse,
Inc.
Class
A
9,894
912
The
Aaron's
Co.,
Inc.
98,567
2,846
Toll
Brothers,
Inc.
10,396
616
Tractor
Supply
Co.
3,445
623
Transcat
,
Inc.(Æ)
5,568
356
Travelzoo
,
Inc.(Æ)
28,260
388
TRI
Pointe
Group,
Inc.(Æ)
33,493
808
Tuesday
Morning
Corp.(Æ)
31,538
114
Tupperware
Brands
Corp.(Æ)
35,839
749
Urban
Outfitters,
Inc.(Æ)
43,349
1,612
Vail
Resorts,
Inc.(Æ)
544
166
Vera
Bradley,
Inc.(Æ)
90,947
1,001
Willis
Lease
Finance
Corp.(Æ)
10,710
446
Wingstop
,
Inc.
27,614
4,731
Wolverine
World
Wide,
Inc.
129,292
4,336
WW
International,
Inc.(Æ)
1
Wyndham
Hotels
&
Resorts,
Inc.
11,079
798
YETI
Holdings,
Inc.(Æ)
28,747
2,769
Zillow
Group,
Inc.(Æ)
4,441
472
211,664
Consumer
Staples
-
2.6%
B&G
Foods,
Inc.
Class
A(Ñ)
37,833
1,087
Calavo
Growers,
Inc.
14,070
793
Casey's
General
Stores,
Inc.
17,162
3,393
Church
&
Dwight
Co.,
Inc.
5,862
508
Energizer
Holdings,
Inc.
-
GDR(Æ)
21,517
888
Freshpet
,
Inc.(Æ)
3,749
549
Grocery
Outlet
Holding
Corp.(Æ)
41,617
1,378
Hain
Celestial
Group,
Inc.
(The)(Æ)
8,981
359
Helen
of
Troy,
Ltd.(Æ)
13,734
3,068
Herbalife
Nutrition,
Ltd.(Æ)
5,926
302
Lancaster
Colony
Corp.
8,002
1,583
Medifast
,
Inc.
8,067
2,303
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
MGP
Ingredients,
Inc.
5,280
315
Natural
Grocers
by
Vitamin
Cottage,
Inc.
37,215
416
Nomad
Foods,
Ltd.(Æ)
103,406
2,701
Nu
Skin
Enterprises,
Inc.
Class
A
20,503
1,101
Performance
Food
Group
Co.(Æ)
5,696
261
PetMed
Express,
Inc.(Ñ)
4,814
151
Pilgrim's
Pride
Corp.(Æ)
107,267
2,376
Post
Holdings,
Inc.(Æ)
5,407
553
Rite
Aid
Corp.(Æ)
9,150
139
Sanderson
Farms,
Inc.
9,770
1,825
SpartanNash
Co.
12,657
246
Spectrum
Brands
Holdings,
Inc.
55,699
4,865
Sprouts
Farmers
Market,
Inc.(Æ)
16,574
407
United
Natural
Foods,
Inc.(Æ)
10,455
346
US
Foods
Holding
Corp.(Æ)
27,704
951
Weis
Markets,
Inc.
6,526
344
33,208
Energy
-
2.3%
Berry
Petroleum
Corp.
66,534
369
Cabot
Oil
&
Gas
Corp.
1
ChampionX
Corp.(Æ)
72,623
1,688
Cimarex
Energy
Co.
60,365
3,936
CONSOL
Energy,
Inc.(Æ)
131,588
2,765
Delek
US
Holdings,
Inc.
190,855
3,317
Diamondback
Energy,
Inc.
5,896
455
Enphase
Energy,
Inc.(Æ)
2,701
512
EQT
Corp.(Æ)
17,282
318
First
Solar,
Inc.(Æ)
5,209
448
Green
Brick
Partners,
Inc.(Æ)
15,710
394
Helix
Energy
Solutions
Group,
Inc.(Æ)
109,796
456
Hostess
Brands,
Inc.
Class
A(Æ)
239,144
3,848
Liberty
Oilfield
Services,
Inc.
Class
A(Æ)
80,925
825
Marathon
Oil
Corp.
107,685
1,248
Matador
Resources
Co.
38,825
1,200
Matrix
Service
Co.(Æ)
11,305
123
Nabors
Industries,
Inc.(Æ)(Ñ)
9,816
859
National
Energy
Services
Reunited
Corp.(Æ)
23,060
297
Oil
States
International,
Inc.(Æ)
131,628
745
Pioneer
Natural
Resources
Co.
11,921
1,733
ProPetro
Holding
Corp.(Æ)
64,137
484
Renewable
Energy
Group,
Inc.(Æ)
9,800
600
Smart
Sand,
Inc.(Æ)
234,133
662
Solaris
Oilfield
Infrastructure,
Inc.
Class
A
23,079
201
Southwestern
Energy
Co.(Æ)
190,263
896
US
Silica
Holdings,
Inc.(Æ)
104,840
1,059
29,438
Financial
Services
-
20.7%
Affiliated
Managers
Group,
Inc.
11,012
1,745
Air
Lease
Corp.
Class
A
18,180
770
Alexandria
Real
Estate
Equities,
Inc.
(ö)
1,863
375
Alliance
Data
Systems
Corp.
53,844
5,021
Ally
Financial,
Inc.
77,389
3,975
Alpine
Income
Property
Trust,
Inc.
(ö)
61,670
1,210
Altabank
Corp.(Æ)
5,621
227
Amalgamated
Financial
Corp.
21,395
329
American
Equity
Investment
Life
Holding
Co.
95,695
3,071
American
Homes
4
Rent
Class
A(ö)
9,689
407
Russell
Investment
Company
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
68
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Americold
Realty
Trust
(ö)
2,220
86
Ameris
Bancorp
8,680
422
Apple
Hospitality
REIT,
Inc.
(ö)
26,356
394
Argo
Group
International
Holdings,
Ltd.
57,904
3,019
Arlington
Asset
Investment
Corp.
Class
A(Æ)
(ö)
2,259
9
Associated
Banc-Corp.
22,183
439
Assurant,
Inc.
5,539
874
Assured
Guaranty,
Ltd.
7,127
341
Atlantic
Capital
Bancshares,
Inc.(Æ)
40,153
964
Atlantic
Union
Bankshares
Corp.(Æ)
10,369
368
Axis
Capital
Holdings,
Ltd.
5,244
267
Axos
Financial,
Inc.(Æ)
11,130
533
Banc
of
California,
Inc.
19,127
327
Bancorp,
Inc.
(The)(Æ)
29,842
697
Bank
of
Commerce
Holdings
23,656
319
Bank
of
NT
Butterfield
&
Son,
Ltd.
(The)
26,529
879
Bank
OZK
39,979
1,628
Bank7
Corp.
9,950
191
BankUnited
,
Inc.
59,341
2,349
Banner
Corp.
10,529
558
BBX
Capital,
Inc.(Æ)
5,993
46
BGC
Partners,
Inc.
Class
A
487,069
2,606
Bridgewater
Bancshares,
Inc.(Æ)
45,425
737
Brighthouse
Financial,
Inc.(Æ)
17,423
750
Business
First
Bancshares,
Inc.
14,890
347
Byline
Bancorp,
Inc.
15,021
370
Cadence
Bancorp
88,593
1,683
Camden
Property
Trust
(ö)
3,242
484
Cannae
Holdings,
Inc.(Æ)
77,905
2,590
Capstar
Financial
Holdings,
Inc.
24,280
515
Carter
Bankshares
,
Inc.(Æ)
53,078
609
CatchMark
Timber
Trust,
Inc.
Class
A(ö)
21,728
254
Central
Valley
Community
Bancorp
9,015
202
Century
Bancorp,
Inc.
Class
A
2,407
275
Chatham
Lodging
Trust(Æ)(ö)
35,129
431
Civista
Bancshares,
Inc.
8,934
204
CNO
Financial
Group,
Inc.
188,759
4,311
Coastal
Financial
Corp.(Æ)
1,026
30
Cohen
&
Steers,
Inc.
13,642
1,135
Columbia
Banking
System,
Inc.
99,730
3,485
Columbia
Financial,
Inc.(Æ)
155,186
2,800
Commerce
Union
Bancshares,
Inc.
11,177
311
Community
Bank
System,
Inc.
28,319
2,029
Community
Bankers
Trust
Corp.
27,603
293
ConnectOne
Bancorp,
Inc.
15,388
405
CoreSite
Realty
Corp.
Class
A(ö)
1,610
222
Cowen
Group,
Inc.
Class
A
29,046
1,161
CTO
Realty
Growth,
Inc.
(ö)
16,673
937
Curo
Group
Holdings
Corp.
22,952
362
Customers
Bancorp,
Inc.(Æ)
76,169
2,759
CVB
Financial
Corp.
10,947
209
CyrusOne
,
Inc.(ö)
15,219
1,085
DiamondRock
Hospitality
Co.(Æ)(ö)
53,464
460
Discover
Financial
Services
20,475
2,545
Diversified
Healthcare
Trust(Æ)
437,474
1,706
Duke
Realty
Corp.
(ö)
52,523
2,672
Dynex
Capital,
Inc.
(ö)
3,447
60
Eagle
Bancorp,
Inc.
9,283
511
Ellington
Financial,
Inc.
(ö)
6,658
121
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Enova
International,
Inc.(Æ)
30,176
998
EPR
Properties
(ö)
9,375
472
Equity
Bancshares,
Inc.
Class
A(Æ)
24,876
733
Equity
LifeStyle
Properties,
Inc.
Class
A(ö)
2,923
245
Erie
Indemnity
Co.
Class
A
4,852
897
Euronet
Worldwide,
Inc.(Æ)
22,332
3,189
Everest
Re
Group,
Ltd.
318
80
FB
Financial
Corp.
10,199
386
Federal
Agricultural
Mortgage
Corp.
Class
C
4,641
452
Federated
Hermes,
Inc.
Class
B
7,801
253
First
BanCorp
106,817
1,296
First
Bancshares,
Inc.
10,613
409
First
Bank
42,747
570
First
Citizens
BancShares
,
Inc.
Class
A
372
291
First
Commonwealth
Financial
Corp.
59,331
781
First
Foundation,
Inc.
11,197
264
First
Hawaiian,
Inc.
6,723
185
First
Horizon
National
Corp.
120,482
1,861
First
Industrial
Realty
Trust,
Inc.
(ö)
54,380
2,979
First
Merchants
Corp.
43,652
1,778
First
Mid-Illinois
Bancshares,
Inc.
10,471
426
First
Midwest
Bancorp,
Inc.
56,840
1,020
First
Northwest
Bancorp
6,736
127
First
Savings
Financial
Group,
Inc.
4,408
324
First
United
Corp.
15,255
264
Flagstar
Bancorp,
Inc.
7,263
332
Flushing
Financial
Corp.
24,978
551
FNB
Corp.
233,254
2,673
Four
Corners
Property
Trust,
Inc.
(ö)
7,233
208
FS
Bancorp,
Inc.
15,930
554
FVC
Bankcorp
,
Inc.(Æ)
7,494
142
Gaming
and
Leisure
Properties,
Inc.
(ö)
152,152
7,203
Genworth
Financial,
Inc.
Class
A(Æ)
108,399
362
GEO
Group,
Inc.
(The)
(Ñ)(ö)
398,467
2,757
Glacier
Bancorp,
Inc.
37,575
1,937
Goosehead
Insurance,
Inc.
Class
A
26,295
3,160
Granite
Point
Mortgage
Trust,
Inc.
(ö)
34,701
490
Green
Dot
Corp.
Class
A(Æ)
14,472
667
Hancock
Holding
Co.
7,862
344
Hanover
Insurance
Group,
Inc.
(The)
23,918
3,250
HarborOne
Bancorp,
Inc.
18,935
258
Hartford
Financial
Services
Group,
Inc.
29,592
1,883
HBT
Financial,
Inc.
11,802
193
Healthcare
Realty
Trust,
Inc.
(ö)
19,335
616
Hersha
Hospitality
Trust
Class
A(Æ)(ö)
45,331
427
Hilltop
Holdings,
Inc.
13,181
418
Home
Bancorp,
Inc.
10,098
355
Home
BancShares
,
Inc.
40,342
854
HomeStreet
,
Inc.
12,145
458
Hope
Bancorp,
Inc.
29,558
392
Houlihan
Lokey
,
Inc.
Class
A
31,892
2,842
Howard
Hughes
Corp.
(The)(Æ)
40,392
3,745
Huntington
Bancshares,
Inc.
124,481
1,753
Independence
Realty
Trust,
Inc.
(ö)
61,288
1,182
Independent
Bank
Corp.
16,205
341
Independent
Bank
Group,
Inc.
20,643
1,439
Indus
Realty
Trust,
Inc.
(ö)
16,122
1,089
Innovative
Industrial
Properties,
Inc.
(ö)
1,490
320
Invesco,
Ltd.
32,753
798
Investar
Holding
Corp.
12,062
265
Russell
Investment
Company
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
69
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Invitation
Homes,
Inc.
(ö)
9,266
377
iStar
,
Inc.
(Ñ)(ö)
15,472
375
Janus
Henderson
Group
PLC
24,330
1,018
Jefferies
Financial
Group,
Inc.(Æ)
4,646
154
Jones
Lang
LaSalle,
Inc.(Æ)
11,794
2,625
Kearny
Financial
Corp.
57,154
688
Kennedy-Wilson
Holdings,
Inc.
5,795
117
KeyCorp
15,209
299
Kimco
Realty
Corp.
(ö)
4,738
101
Ladder
Capital
Corp.
Class
A(ö)
28,300
323
Lamar
Advertising
Co.
Class
A(ö)
5,068
540
Lazard,
Ltd.
Class
A
23,853
1,126
LendingTree
,
Inc.(Æ)
1,807
353
Life
Storage,
Inc.(Æ)(ö)
7,495
880
Lincoln
National
Corp.
34,473
2,124
Live
Oak
Bancshares,
Inc.
8,927
537
Macerich
Co.
(The)
(Ñ)(ö)
37,432
610
MainStreet
Bancshares,
Inc.(Æ)
23,568
568
MarketAxess
Holdings,
Inc.
4,731
2,248
Marlin
Business
Services
Corp.
19,503
440
Medical
Properties
Trust,
Inc.
(ö)
254,151
5,345
Merchants
Bancorp
2,470
90
Meridian
Bancorp,
Inc.
6,455
123
Meridian
Corp.
17,341
468
Meta
Financial
Group,
Inc.
18,377
913
Metropolitan
Bank
Holding
Corp.(Æ)
1,728
123
MFA
Financial,
Inc.
(ö)
136,621
638
MGIC
Investment
Corp.
87,321
1,208
Mid-America
Apartment
Communities,
Inc.
(ö)
16,377
3,162
Mr.
Cooper
Group,
Inc.(Æ)
20,365
757
MVB
Financial
Corp.
8,622
357
National
Health
Investors,
Inc.
(ö)
6,615
451
New
York
Mortgage
Trust,
Inc.
(ö)
129,643
567
Newmark
Group,
Inc.
Class
A
205,044
2,641
NexPoint
Residential
Trust,
Inc.
(ö)
10,303
607
NMI
Holdings,
Inc.
Class
A(Æ)
57,349
1,263
ODP
Corp.
(The)(Æ)
8,873
420
OFG
Bancorp
134,940
3,117
Old
National
Bancorp
2,901
47
Old
Second
Bancorp,
Inc.
88,864
1,029
Oportun
Financial
Corp.(Æ)
6,563
138
Oppenheimer
Holdings,
Inc.
Class
A
8,162
367
Origin
Bancorp,
Inc.
14,077
573
Pacific
Premier
Bancorp,
Inc.
52,215
1,983
PacWest
Bancorp
289,553
11,530
Parke
Bancorp,
Inc.
14,136
282
Peapack
Gladstone
Financial
Corp.
18,179
586
Pebblebrook
Hotel
Trust
(ö)
21,804
490
PennyMac
Financial
Services,
Inc.
4,710
296
PennyMac
Mortgage
Investment
Trust
(ö)
27,955
551
Perella
Weinberg
Partners(Ñ)
48,274
588
Pioneer
Bancorp,
Inc.(Æ)
25,388
294
Popular,
Inc.
31,311
2,278
Potlatch
Corp.
(ö)
44,199
2,296
Preferred
Bank
5,110
301
Primerica,
Inc.
2,921
427
PROG
Holdings,
Inc.
44,491
1,947
Progyny
,
Inc.(Æ)
34,130
1,901
Provident
Financial
Services,
Inc.
16,449
355
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
PS
Business
Parks,
Inc.
(ö)
3,323
511
Radian
Group,
Inc.
51,019
1,152
Raymond
James
Financial,
Inc.
24,414
3,161
Rayonier,
Inc.
(ö)
14,986
565
Realogy
Holdings
Corp.(Æ)
23,624
419
Reinsurance
Group
of
America,
Inc.
Class
A
1,837
202
Repay
Holdings
Corp.(Æ)
81,861
2,039
RLJ
Lodging
Trust
(ö)
30,482
437
RMR
Group,
Inc.
(The)
Class
A
2,668
105
Ryman
Hospitality
Properties,
Inc.(Æ)(ö)
4,049
311
Sabra
Health
Care
REIT,
Inc.
(ö)
41,389
769
Sandy
Spring
Bancorp,
Inc.
5,719
238
Santander
Consumer
USA
Holdings,
Inc.
12,870
528
Security
National
Financial
Corp.
Class
A(Æ)
12,753
108
Selective
Insurance
Group,
Inc.
41,173
3,349
Signature
Bank
8,348
1,895
SiriusPoint
,
Ltd.(Æ)
32,283
316
SL
Green
Realty
Corp.
(ö)
200
15
SLM
Corp.
75,562
1,423
SmartFinancial
,
Inc.
15,375
375
South
Plains
Financial,
Inc.
7,492
172
Southern
First
Bancshares,
Inc.(Æ)
13,265
657
Southern
Missouri
Bancorp,
Inc.
17,233
773
Spirit
of
Texas
Bancshares,
Inc.
39,297
915
St.
Joe
Co.
(The)
28,774
1,303
Starwood
Property
Trust,
Inc.
(ö)
211,731
5,511
Sterling
Bancorp
62,445
1,356
Stifel
Financial
Corp.
6,723
447
Summit
Financial
Group,
Inc.
24,637
573
Sun
Communities,
Inc.
(ö)
13,480
2,644
SVB
Financial
Group(Æ)
9,883
5,435
Synovus
Financial
Corp.
33,737
1,380
Texas
Capital
Bancshares,
Inc.(Æ)
28,980
1,825
Timberland
Bancorp,
Inc.
9,941
286
Tradeweb
Markets,
Inc.
Class
A
18,095
1,569
TriState
Capital
Holdings,
Inc.(Æ)
19,096
388
Triumph
Bancorp,
Inc.(Æ)
6,648
510
Trupanion
,
Inc.(Æ)
25,305
2,911
Two
Harbors
Investment
Corp.
(ö)
110,592
709
UMB
Financial
Corp.
6,975
653
Umpqua
Holdings
Corp.
148,944
2,811
United
Community
Banks,
Inc.
9,570
276
Unity
Bancorp,
Inc.
13,427
298
Unum
Group
41,015
1,124
Veritex
Holdings,
Inc.
21,695
728
Virtus
Investment
Partners,
Inc.
1,898
524
Voya
Financial,
Inc.
75,748
4,878
Walker
&
Dunlop,
Inc.
6,326
655
Webster
Financial
Corp.
21,173
1,018
Western
Alliance
Bancorp
14,653
1,360
Westwood
Holdings
Group,
Inc.
25,059
635
Wintrust
Financial
Corp.
3,628
259
World
Acceptance
Corp.(Æ)
5,306
1,006
WR
Berkley
Corp.
5,746
420
WSFS
Financial
Corp.
8,031
352
268,335
Health
Care
-
13.0%
4D
Molecular
Therapeutics,
Inc.(Æ)
92,143
2,292
Abeona
Therapeutics,
Inc.(Æ)(Ñ)
138,686
169
Russell
Investment
Company
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
70
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Acadia
Healthcare
Co.,
Inc.(Æ)
5,395
333
Accelerate
Diagnostics,
Inc.(Æ)(Ñ)
156,398
1,167
Aduro
Biotech
Holdings,
Inc.(Æ)(Š)
15,391
Adverum
Biotechnologies,
Inc.(Æ)
358,168
813
Affimed
NV(Æ)
22,956
153
Align
Technology,
Inc.(Æ)
9,207
6,406
Alkermes
PLC(Æ)
7,503
194
Alnylam
Pharmaceuticals,
Inc.(Æ)
2,931
524
AMN
Healthcare
Services,
Inc.(Æ)
61,155
6,150
Amneal
Pharmaceuticals,
Inc.(Æ)
369,504
1,822
AnaptysBio
,
Inc.(Æ)
15,870
365
Anavex
Life
Sciences
Corp.(Æ)(Ñ)
41,007
736
ANI
Pharmaceuticals,
Inc.(Æ)
9,834
334
Anika
Therapeutics,
Inc.(Æ)
7,991
321
Apyx
Medical
Corp.(Æ)
37,880
341
Atea
Pharmaceuticals,
Inc.(Æ)
86,652
2,170
Avid
Bioservices
,
Inc.(Æ)
21,940
563
Bio-Rad
Laboratories,
Inc.
Class
A(Æ)
2,258
1,670
Bio-
Techne
Corp.(Æ)
18,458
8,901
Brookdale
Senior
Living,
Inc.
Class
A(Æ)
63,226
475
Cassava
Sciences,
Inc.(Æ)(Ñ)
7,295
507
Catalyst
Pharmaceuticals,
Inc.(Æ)
339,480
1,983
Centene
Corp.(Æ)
33,693
2,312
Change
Healthcare,
Inc.(Æ)
144,248
3,132
Charles
River
Laboratories
International,
Inc.(Æ)
9,822
3,997
Chemed
Corp.
4,665
2,221
Chinook
Therapeutics,
Inc.(Æ)
15,391
201
Co-Diagnostics,
Inc.(Æ)(Ñ)
139,810
1,413
Cooper
Cos.,
Inc.
(The)
2,058
868
CorVel
Corp.(Æ)
11,987
1,688
DermTech
,
Inc.(Æ)(Ñ)
12,113
408
DexCom
,
Inc.(Æ)
2,330
1,201
Dynavax
Technologies
Corp.(Æ)(Ñ)
62,772
586
Eiger
BioPharmaceuticals
,
Inc.(Æ)
254,070
2,022
Emergent
BioSolutions
,
Inc.(Æ)
38,078
2,509
Encompass
Health
Corp.(Æ)
8,083
673
Ensign
Group,
Inc.
(The)
29,828
2,537
Envista
Holdings
Corp.(Æ)
34,354
1,480
Evolus
,
Inc.(Æ)(Ñ)
60,884
659
Exact
Sciences
Corp.(Æ)
8,202
884
Fennec
Pharmaceuticals,
Inc.(Æ)(Ñ)
31,728
207
Five
Star
Senior
Living,
Inc.(Æ)
50,091
284
Globus
Medical,
Inc.
Class
A(Æ)
6,567
546
Gritstone
Oncology,
Inc.(Æ)(Ñ)
83,651
559
Haemonetics
Corp.(Æ)
20,950
1,274
Halozyme
Therapeutics,
Inc.(Æ)
7,240
299
HealthEquity
,
Inc.(Æ)
24,992
1,849
Henry
Schein,
Inc.(Æ)
37,194
2,981
Horizon
Therapeutics
PLC(Æ)
24,512
2,452
Icon
PLC(Æ)
25,378
6,174
ImmunityBio
,
Inc.(Æ)(Ñ)
178,087
1,952
Inhibrx
,
Inc.(Æ)
89,386
2,544
Innoviva
,
Inc.(Æ)
27,555
391
Integra
LifeSciences
Holdings
Corp.(Æ)
36,168
2,618
Intersect
ENT,
Inc.(Æ)
20,433
477
Invitae
Corp.(Æ)(Ñ)
8,098
227
Ionis
Pharmaceuticals,
Inc.(Æ)
7,245
269
Jazz
Pharmaceuticals
PLC(Æ)
2,086
354
KalVista
Pharmaceuticals,
Inc.(Æ)
18,705
377
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Kinnate
Biopharma,
Inc.(Æ)
63,725
1,375
Laboratory
Corp.
of
America
Holdings(Æ)
7,934
2,350
LeMaitre
Vascular,
Inc.
29,363
1,599
Lexicon
Pharmaceuticals,
Inc.(Æ)
193,087
683
LHC
Group,
Inc.(Æ)
22,028
4,740
Ligand
Pharmaceuticals,
Inc.
Class
B(Æ)
9,008
1,022
Magellan
Health,
Inc.(Æ)
10,957
1,033
Medpace
Holdings,
Inc.(Æ)
13,364
2,351
Mirati
Therapeutics,
Inc.(Æ)
2,158
345
Moderna
,
Inc.(Æ)
1,559
551
ModivCare
,
Inc.(Æ)
55
9
Molina
Healthcare,
Inc.(Æ)
4,848
1,324
Myriad
Genetics,
Inc.(Æ)
41,162
1,302
Natera
,
Inc.(Æ)
3,441
394
NeoGenomics
,
Inc.(Æ)
56,216
2,592
Novavax
,
Inc.(Æ)
5,851
1,049
Olema
Pharmaceuticals,
Inc.(Æ)
95,284
2,237
Omnicell
,
Inc.(Æ)
19,108
2,799
Oranogenesis
Holdings,
Inc.(Æ)
10,901
167
Organon
&
Co.
21,169
614
Owens
&
Minor,
Inc.
11,924
551
Pennant
Group,
Inc.
(The)(Æ)
16,297
558
Pfenex
,
Inc.(Æ)(Š)
16,762
13
Prestige
Brands
Holdings,
Inc.(Æ)
7,856
413
PTC
Therapeutics,
Inc.(Æ)
11,847
454
Puma
Biotechnology,
Inc.(Æ)
221,070
1,662
Quest
Diagnostics,
Inc.
7,338
1,040
Quidel
Corp.(Æ)
5,964
844
Radius
Health,
Inc.(Æ)
20,225
306
REGENXBIO,
Inc.(Æ)
1,544
50
Repligen
Corp.(Æ)
12,331
3,030
ResMed
,
Inc.
5,478
1,489
Rigel
Pharmaceuticals,
Inc.(Æ)
77,409
310
Rubius
Therapeutics,
Inc.(Æ)
11,770
253
Sarepta
Therapeutics,
Inc.(Æ)
13,002
881
Satsuma
Pharmaceuticals,
Inc.(Æ)
69,351
363
Seagen
,
Inc.(Æ)
4,553
698
Seer,
Inc.(Æ)
65,969
2,107
STERIS
PLC
18,770
4,091
Summit
Therapeutics,
Inc.(Æ)
160,549
1,177
Supernus
Pharmaceuticals,
Inc.(Æ)
14,740
388
Sutro
Biopharma,
Inc.(Æ)
17,369
296
Syneos
Health,
Inc.
Class
A(Æ)
53,466
4,794
Tabula
Rasa
HealthCare,
Inc.(Æ)(Ñ)
8,067
347
Teladoc
Health,
Inc.(Æ)
1
Triple-S
Management
Corp.
Class
B(Æ)
42,763
1,040
United
Therapeutics
Corp.(Æ)
7,848
1,428
US
Physical
Therapy,
Inc.
19,081
2,255
Vanda
Pharmaceuticals,
Inc.(Æ)
59,417
969
Veeva
Systems,
Inc.
Class
A(Æ)
6,119
2,036
Veracyte
,
Inc.(Æ)
26,144
1,165
Vericel
Corp.(Æ)
53,967
2,857
Viemed
Healthcare,
Inc.(Æ)
147,286
1,025
West
Pharmaceutical
Services,
Inc.
14,698
6,052
Xeris
Pharmaceuticals,
Inc.(Æ)(Ñ)
77,815
239
XOMA
Corp.(Æ)(Ñ)
9,141
296
Y-
mAbs
Therapeutics,
Inc.(Æ)
52,873
1,750
ZAGG,
Inc.(Æ)(Š)
48,332
4
Russell
Investment
Company
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
71
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Zimmer
Biomet
Holdings,
Inc.
484
79
168,860
Materials
and
Processing
-
8.4%
AAON,
Inc.
11,226
698
Acuity
Brands,
Inc.
2,856
501
AdvanSix
,
Inc.(Æ)
27,650
925
Albemarle
Corp.
5,736
1,182
Alcoa
Corp.(Æ)
35,025
1,406
American
Woodmark
Corp.(Æ)
6,655
494
Arconic
Corp.(Æ)
85,007
3,055
Ashland
Global
Holdings,
Inc.
40,024
3,405
Atkore
International
Group,
Inc.(Æ)
11,750
883
Avient
Corp.(Æ)
7,371
358
Axalta
Coating
Systems,
Ltd.(Æ)
141,401
4,256
B2Gold
Corp.
67,497
283
Balchem
Corp.
20,807
2,807
Beacon
Roofing
Supply,
Inc.(Æ)
9,638
515
Belden,
Inc.
5,651
277
Berry
Plastics
Group,
Inc.(Æ)
101
6
Builders
FirstSource
,
Inc.(Æ)
11,757
523
Caesarstone
,
Ltd.
27,815
369
Century
Aluminum
Co.(Æ)
96,517
1,405
CF
Industries
Holdings,
Inc.
5,180
245
Cleveland-Cliffs,
Inc.(Æ)(Ñ)
46,372
1,159
Comfort
Systems
USA,
Inc.
8,542
639
Commercial
Metals
Co.
176,625
5,793
Compass
Minerals
International,
Inc.
5,721
392
Crown
Holdings,
Inc.
12,014
1,199
Domtar
Corp.(Æ)
39,358
2,161
Eagle
Materials,
Inc.
17,343
2,451
Element
Solutions,
Inc.(Æ)
182,667
4,273
FMC
Corp.
55,838
5,972
Fortitude
Gold
Corp.
63,468
489
GCP
Applied
Technologies,
Inc.(Æ)
2,986
69
Gold
Resource
Corp.
285,586
603
HB
Fuller
Co.
3,985
258
Hexcel
Corp.(Æ)
8,499
463
Huntsman
Corp.
21,662
572
IAA,
Inc.(Æ)
57,590
3,483
Ingevity
Corp.(Æ)
3,255
276
Innospec
,
Inc.
4,161
368
International
Paper
Co.
20,478
1,183
Intrepid
Potash,
Inc.(Æ)
20,193
612
ITT,
Inc.
39,309
3,849
JELD-WEN
Holding,
Inc.(Æ)
19,655
520
KAR
Auction
Services,
Inc.(Æ)
195,965
3,230
Koppers
Holdings,
Inc.(Æ)
14,523
446
LB
Foster
Co.
Class
A(Æ)
35,408
643
Lennox
International,
Inc.
3,222
1,061
Marrone
Bio
Innovations,
Inc.(Æ)
5,077
6
Masco
Corp.
24,332
1,453
Minerals
Technologies,
Inc.
16,922
1,357
Mosaic
Co.
(The)
29,413
919
MRC
Global,
Inc.(Æ)
31,956
293
NL
Industries,
Inc.
39,297
237
NN,
Inc.(Æ)
61,131
418
Olin
Corp.
23,277
1,095
Olympic
Steel,
Inc.
22,978
692
Orion
Engineered
Carbons
SA(Æ)
36,892
667
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Owens
Corning
10,132
974
Packaging
Corp.
of
America
4,726
669
Patrick
Industries,
Inc.
7,858
649
PGT
Innovations,
Inc.(Æ)
14,527
328
Quaker
Chemical
Corp.
3,484
877
RBC
Bearings,
Inc.(Æ)
1,937
455
Reliance
Steel
&
Aluminum
Co.
4,945
777
Resideo
Technologies,
Inc.(Æ)
50,050
1,476
Royal
Gold,
Inc.
3,241
394
RPM
International,
Inc.
6,601
572
Ryerson
Holding
Corp.
31,214
491
Schweitzer-Mauduit
International,
Inc.
4,419
174
Sealed
Air
Corp.
10,109
574
Sensient
Technologies
Corp.
12,567
1,096
Silgan
Holdings,
Inc.
145,543
5,897
Sonoco
Products
Co.
3,919
250
Steel
Dynamics,
Inc.
20,453
1,318
Stepan
Co.
1,580
186
Terminix
Global
Holdings,
Inc.(Æ)
39,775
2,088
Timken
Co.
(The)
7,696
612
TimkenSteel
Corp.(Æ)
22,790
304
Trex
Co.,
Inc.(Æ)
18,950
1,840
Trinseo
SA
18,283
994
UFP
Industries,
Inc.(Æ)
7,875
585
United
States
Steel
Corp.
44,494
1,178
US
Concrete,
Inc.(Æ)
17,571
1,279
Valhi,
Inc.
11,513
284
Valmont
Industries,
Inc.
2,427
575
Valvoline,
Inc.
66,342
2,035
Verso
Corp.
Class
A
74,349
1,414
Vulcan
Materials
Co.
12,507
2,251
Watsco
,
Inc.
4,901
1,384
Westlake
Chemical
Corp.
6,173
512
Worthington
Industries,
Inc.
9,630
616
WR
Grace
&
Co.
2,986
208
108,210
Producer
Durables
-
14.3%
AAR
Corp.(Æ)
11,205
401
ABM
Industries,
Inc.
4,060
189
ACCO
Brands
Corp.
430,219
3,846
AECOM(Æ)
40,397
2,543
Alamo
Group,
Inc.
5,697
836
Allison
Transmission
Holdings,
Inc.
Class
A
13,732
548
Alta
Equipment
Group,
Inc.(Æ)
66,347
835
Altra
Industrial
Motion
Corp.
10,334
648
AO
Smith
Corp.
22,536
1,585
Applied
Industrial
Technologies,
Inc.
4,001
359
ArcBest
Corp.
26,835
1,586
Arcosa
,
Inc.
62,132
3,402
Atlas
Air
Worldwide
Holdings,
Inc.(Æ)
22,222
1,488
Atlas
Technical
Consultants
LLC(Æ)
131,309
1,180
Avalara,
Inc.(Æ)
13,851
2,315
Avery
Dennison
Corp.
4,784
1,008
AZZ,
Inc.
4,573
242
Badger
Meter,
Inc.
12,047
1,217
Barnes
Group,
Inc.
26,877
1,362
Beyond
Meat,
Inc.(Æ)(Ñ)
739
91
Booz
Allen
Hamilton
Holding
Corp.
Class
A
9,028
775
Brady
Corp.
Class
A
44,653
2,442
Russell
Investment
Company
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
72
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Brink's
Co.
(The)
1,570
121
BWX
Technologies,
Inc.(Æ)
72,343
4,155
Carlisle
Cos.,
Inc.
3,258
659
CECO
Environmental
Corp.(Æ)
17,398
122
Chart
Industries,
Inc.(Æ)
6,668
1,037
CIRCOR
International,
Inc.(Æ)
14,686
453
Colfax
Corp.(Æ)
129,113
5,924
Construction
Partners,
Inc.
Class
A(Æ)
68,412
2,297
Costamare
,
Inc.
25,127
272
CoStar
Group,
Inc.(Æ)
44,390
3,944
Curtiss-Wright
Corp.
1,812
214
CyberOptics
Corp.(Æ)
23,232
1,088
Darling
Ingredients,
Inc.(Æ)
12,608
871
Dorian
LPG,
Ltd.
46,650
564
Ducommun,
Inc.(Æ)
5,070
274
DXP
Enterprises,
Inc.(Æ)
10,162
332
Dycom
Industries,
Inc.(Æ)
11,879
824
Eagle
Bulk
Shipping,
Inc.(Æ)
714
30
Echo
Global
Logistics,
Inc.(Æ)
26,334
815
EMCOR
Group,
Inc.
2,714
331
Encore
Wire
Corp.
5,691
446
EnPro
Industries,
Inc.
10,599
987
ESCO
Technologies,
Inc.
24,586
2,320
ExlService
Holdings,
Inc.(Æ)
4,894
554
Exponent,
Inc.
19,957
2,137
Flowserve
Corp.
907
38
Fluor
Corp.(Æ)
37,800
630
Forward
Air
Corp.
3,832
339
Franklin
Electric
Co.,
Inc.
24,410
1,996
frontdoor
,
Inc.(Æ)
12,984
635
FTI
Consulting,
Inc.(Æ)
2,997
437
Gates
Industrial
Corp.
PLC(Æ)
17,821
323
Generac
Holdings,
Inc.(Æ)
3,752
1,573
GP
Strategies
Corp.(Æ)
18,893
384
Graco
,
Inc.
4,371
341
Granite
Construction,
Inc.
19,483
749
Greenbrier
Cos.,
Inc.
6,067
260
H&E
Equipment
Services,
Inc.
20,683
704
Harsco
Corp.(Æ)
30,996
624
Hawaiian
Holdings,
Inc.(Æ)
36,899
728
HEICO
Corp.
18,810
2,544
Herc
Holdings,
Inc.(Æ)
7,337
910
Herman
Miller,
Inc.
14,380
620
HNI
Corp.
4,654
174
Howmet
Aerospace,
Inc.
66,445
2,181
Huntington
Ingalls
Industries,
Inc.
3,147
646
IDEX
Corp.
2,046
464
Information
Services
Group,
Inc.
167,166
998
Insperity
,
Inc.
1,176
116
International
Seaways,
Inc.
37,823
622
Itron
,
Inc.(Æ)
5,510
543
Jacobs
Engineering
Group,
Inc.
8,389
1,135
JetBlue
Airways
Corp.(Æ)
150,982
2,233
Kaman
Corp.
Class
A
31,597
1,401
Kennametal,
Inc.
11,295
409
Keysight
Technologies,
Inc.(Æ)
22,599
3,719
Knight-Swift
Transportation
Holdings,
Inc.
(Æ)
9,433
469
Kornit
Digital,
Ltd.(Æ)
13,697
1,810
Lamb
Weston
Holdings,
Inc.
2,167
145
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Landstar
System,
Inc.
6,155
966
Littelfuse
,
Inc.
9,594
2,552
Lydall
,
Inc.(Æ)
15,539
951
MasTec
,
Inc.(Æ)
21,130
2,139
MAXIMUS,
Inc.
23,374
2,080
Mayville
Engineering
Co.,
Inc.(Æ)
14,247
250
Mesa
Air
Group,
Inc.(Æ)
81,408
726
Middleby
Corp.(Æ)
8,536
1,635
Mistras
Group,
Inc.(Æ)
40,931
430
Modine
Manufacturing
Co.(Æ)
374,339
6,263
Moog,
Inc.
Class
A
2,336
182
MSC
Industrial
Direct
Co.,
Inc.
Class
A
4,816
429
Murphy
USA,
Inc.
1,877
277
MYR
Group,
Inc.(Æ)
11,935
1,141
Nordson
Corp.
6,859
1,551
NV5
Global,
Inc.(Æ)
30,811
2,927
Oshkosh
Corp.
3,167
379
Park-Ohio
Holdings
Corp.
8,275
241
Paylocity
Holding
Corp.(Æ)
19,836
4,115
Pentair
PLC
13,065
962
Proto
Labs,
Inc.(Æ)
8,133
636
Quanta
Services,
Inc.
41,291
3,753
Regal
Beloit
Corp.
9,258
1,363
Robert
Half
International,
Inc.
4,436
436
Rush
Enterprises,
Inc.
Class
A
47,322
2,224
Ryder
System,
Inc.
13,972
1,064
Saia,
Inc.(Æ)
16,739
3,783
Schneider
National,
Inc.
Class
B
9,335
209
SHYFT
Group,
Inc.
(The)(Æ)
18,176
717
SkyWest,
Inc.(Æ)
16,791
680
Smith
&
Wesson
Brands,
Inc.(Æ)
21,346
501
Snap-on,
Inc.
3,029
660
Spirit
Airlines,
Inc.(Æ)
48,491
1,308
SPX
Corp.(Æ)
51,202
3,413
Steelcase,
Inc.
Class
A
14,798
203
Stericycle,
Inc.(Æ)
12,268
865
Sterling
Construction
Co.,
Inc.(Æ)
21,014
461
Teledyne
Technologies,
Inc.(Æ)
4,593
2,080
Terex
Corp.
16,159
774
Tetra
Tech,
Inc.
14,434
1,927
Textainer
Group
Holdings,
Ltd.(Æ)
16,226
524
Textron,
Inc.
11,075
764
Thermon
Group
Holdings,
Inc.(Æ)
36,441
607
Tidewater,
Inc.(Æ)
10,522
119
TopBuild
Corp.(Æ)
4,653
943
Toro
Co.
(The)
9,799
1,115
Travel
+
Leisure
Co.(Æ)
25,838
1,338
TreeHouse
Foods,
Inc.(Æ)
11,231
499
Trimble
Navigation,
Ltd.(Æ)
49,203
4,207
Trinity
Industries,
Inc.
45,291
1,228
Ultralife
Corp.(Æ)
183,192
1,455
UniFirst
Corp.
4,504
981
United
Rentals,
Inc.(Æ)
7,327
2,415
Vectrus
,
Inc.(Æ)
8,359
379
Vontier
Corp.
96,185
3,112
Wabash
National
Corp.
27,234
399
Watts
Water
Technologies,
Inc.
Class
A
4,528
683
WESCO
International,
Inc.(Æ)
62,810
6,686
Westinghouse
Air
Brake
Technologies
Corp.
15,241
1,293
Whole
Earth
Brands,
Inc.(Æ)
67,087
863
Russell
Investment
Company
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
73
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
WNS
Holdings,
Ltd.
-
ADR(Æ)
2,766
228
Woodward,
Inc.
3,460
421
Xerox
Holdings
Corp.
19,010
459
XPO
Logistics,
Inc.(Æ)
40,117
5,564
Zebra
Technologies
Corp.
Class
A(Æ)
2,359
1,303
185,407
Technology
-
15.1%
8x8,
Inc.(Æ)
7,793
199
ACI
Worldwide,
Inc.(Æ)
114,097
3,914
ADTRAN,
Inc.
37,739
846
Advanced
Micro
Devices,
Inc.(Æ)
10,126
1,075
Alarm.com
Holdings,
Inc.(Æ)
30,980
2,578
Alpha
&
Omega
Semiconductor,
Ltd.(Æ)
12,831
333
Altair
Engineering,
Inc.
Class
A(Æ)
14,298
997
APi
Group
Corp.(Æ)(Þ)
184,975
4,240
Appfolio
,
Inc.
Class
A(Æ)
12,974
1,837
Arista
Networks,
Inc.(Æ)
2,393
910
Arrow
Electronics,
Inc.(Æ)
3,680
436
Avnet,
Inc.
13,838
572
Black
Knight,
Inc.(Æ)
17,469
1,447
Blackline,
Inc.(Æ)
25,917
2,965
BM
Technologies,
Inc.(Æ)(Ñ)
11,721
118
Bottomline
Technologies,
Inc.(Æ)
18,772
758
Box,
Inc.
Class
A(Æ)
16,682
399
Broadridge
Financial
Solutions,
Inc.
6,755
1,172
CACI
International,
Inc.
Class
A(Æ)
11,126
2,970
Calix,
Inc.(Æ)
8,224
385
Cars.com,
Inc.(Æ)
31,837
385
ChannelAdvisor
Corp.(Æ)
35,970
838
Check
Point
Software
Technologies,
Ltd.(Æ)
8,242
1,048
CMC
Materials,
Inc.(Æ)
6,539
946
Cognex
Corp.
21,135
1,911
Cognyte
Software,
Ltd.(Æ)
61,305
1,592
Cohu
,
Inc.(Æ)
5,969
211
CommScope
Holding
Co.,
Inc.(Æ)
143,401
3,034
Comtech
Telecommunications
Corp.
11,061
276
Concentrix
Corp.(Æ)
21,304
3,488
Daily
Journal
Corp.(Æ)
957
319
Descartes
Systems
Group,
Inc.
(The)(Æ)
41,978
3,050
Diodes,
Inc.(Æ)
27,037
2,217
Dolby
Laboratories,
Inc.
Class
A
32,282
3,135
Donnelley
Financial
Solutions,
Inc.(Æ)
22,618
728
Duck
Creek
Technologies,
Inc.(Æ)(Ñ)
45,761
2,010
DXC
Technology
Co.(Æ)
32,151
1,285
Dynatrace
,
Inc.(Æ)
31,296
1,999
Endava
PLC
-
ADR(Æ)
34,857
4,483
Entegris
,
Inc.
37,609
4,537
Envestnet
,
Inc.(Æ)
42,297
3,182
EPAM
Systems,
Inc.(Æ)
9,673
5,415
Etsy,
Inc.(Æ)
17,386
3,190
Everbridge
,
Inc.(Æ)
7,075
999
Fabrinet
(Æ)
5,341
505
Fair
Isaac
Corp.(Æ)
9,448
4,950
Five9,
Inc.(Æ)
26,188
5,271
Fortinet,
Inc.(Æ)
12,737
3,467
Frontier
Communications
Corp.(Æ)
20,668
618
Gartner,
Inc.(Æ)
3,010
797
Genpact
,
Ltd.
57,462
2,862
Globant
SA(Æ)
10,345
2,474
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
GoDaddy
,
Inc.
Class
A(Æ)
24,884
2,086
Guidewire
Software,
Inc.(Æ)
16,464
1,897
Ichor
Holdings,
Ltd.(Æ)
11,054
570
II-VI,
Inc.(Æ)
8,023
560
InterDigital
,
Inc.
5,524
364
IPG
Photonics
Corp.(Æ)
1,991
434
iRobot
Corp.(Æ)(Ñ)
5,884
515
Jabil
Circuit,
Inc.
6,244
372
Jack
Henry
&
Associates,
Inc.
4,909
855
Kimball
Electronics,
Inc.(Æ)
20,531
419
KVH
Industries,
Inc.(Æ)
19,340
219
Leidos
Holdings,
Inc.
16,546
1,761
LENSAR,
Inc.(Æ)(Ñ)
13,457
109
Liberty
Latin
America,
Ltd.
Class
C(Æ)
23,011
318
LiveRamp
Holdings,
Inc.(Æ)
17,295
692
Lumentum
Holdings,
Inc.
Class
E(Æ)
667
56
MACOM
Technology
Solutions
Holdings,
Inc.(Æ)
5,670
350
ManTech
International
Corp.
Class
A
27,700
2,423
Match
Group,
Inc.(Æ)
4,657
742
Medallia
,
Inc.(Æ)
23,613
800
Monolithic
Power
Systems,
Inc.
12,574
5,649
NAPCO
Security
Technologies,
Inc.(Æ)
642
23
NCR
Corp.(Æ)
127,695
5,670
NeoPhotonics
Corp.(Æ)
39,939
387
NetApp,
Inc.
19,161
1,525
NETGEAR,
Inc.(Æ)
12,951
444
Nice,
Ltd.
-
ADR(Æ)(Ñ)
13,795
3,844
Nuance
Communications,
Inc.(Æ)
43,046
2,363
Okta
,
Inc.(Æ)
1,985
492
ON
Semiconductor
Corp.(Æ)
12,467
487
Open
Text
Corp.
22,238
1,154
Paycom
Software,
Inc.(Æ)
560
224
Photronics
,
Inc.(Æ)
117,717
1,574
Plexus
Corp.(Æ)
29,571
2,671
Power
Integrations,
Inc.
15,546
1,508
Progress
Software
Corp.
36,263
1,653
Proofpoint
,
Inc.(Æ)
8,244
1,440
PTC,
Inc.(Æ)
24,073
3,261
Qualys
,
Inc.(Æ)
25,797
2,620
Quantum
Corp.(Æ)
76,558
475
Rambus,
Inc.(Æ)
18,176
430
Rogers
Corp.(Æ)
5,869
1,119
Roku,
Inc.(Æ)
2,979
1,276
Sabre
Corp.(Æ)
44,006
519
Sanmina
Corp.(Æ)
5,603
215
ScanSource
,
Inc.(Æ)
13,149
363
Silicon
Motion
Technology
Corp.
-
ADR
175,349
13,149
Simulations
Plus,
Inc.(Ñ)
24,926
1,176
Skyworks
Solutions,
Inc.
7,829
1,445
Smartsheet
,
Inc.
Class
A(Æ)
3,564
259
SPS
Commerce,
Inc.(Æ)
30,718
3,347
Super
Micro
Computer,
Inc.(Æ)
128,297
4,880
SYNNEX
Corp.
7,146
854
Take-Two
Interactive
Software,
Inc.(Æ)
5,769
1,000
Thryv
Holdings,
Inc.(Æ)(Ñ)
36,899
1,226
Tower
Semiconductor,
Ltd.(Æ)
21,940
611
Trade
Desk,
Inc.
(The)
Class
A(Æ)
5,340
437
TTM
Technologies,
Inc.(Æ)
22,640
317
Tyler
Technologies,
Inc.(Æ)
7,132
3,513
Russell
Investment
Company
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
74
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Unisys
Corp.(Æ)
24,113
539
Universal
Display
Corp.
3,685
864
Verint
Systems,
Inc.(Æ)
64,095
2,735
Vimeo,
Inc.(Æ)
11,651
522
Vishay
Intertechnology
,
Inc.
44,606
987
Wix.com,
Ltd.(Æ)
4,482
1,338
195,500
Utilities
-
3.5%
Algonquin
Power
&
Utilities
Corp.(Ñ)
83,868
1,339
Alliant
Energy
Corp.
6,259
366
American
States
Water
Co.
15,862
1,401
American
Water
Works
Co.,
Inc.
9,200
1,565
Black
Hills
Corp.
8,924
604
Bonanza
Creek
Energy,
Inc.
27,056
1,041
CMS
Energy
Corp.
31,381
1,939
Cogent
Communications
Holdings,
Inc.
20,249
1,571
Consolidated
Communications
Holdings,
Inc.
(Æ)
25,716
198
DT
Midstream,
Inc.
66,363
2,814
DTE
Energy
Co.
11,539
1,354
Earthstone
Energy,
Inc.
Class
A(Æ)
52,676
518
Essential
Utilities,
Inc.
10,235
503
Falcon
Minerals
Corp.
12,284
59
Goodrich
Petroleum
Corp.(Æ)
23,765
381
IDT
Corp.
Class
B(Æ)
2,325
116
Iridium
Communications,
Inc.(Æ)
47,158
1,991
J2
Global,
Inc.(Æ)
92,489
13,066
MDU
Resources
Group,
Inc.
115,754
3,672
National
Fuel
Gas
Co.
2,628
135
NextDecade
Corp.(Æ)(Ñ)
57,568
189
NorthWestern
Corp.
20,776
1,288
NRG
Energy,
Inc.
12,049
497
Ovintiv
,
Inc.
7,842
201
Rattler
Midstream,
LP
130,355
1,357
Southwest
Gas
Holdings,
Inc.
1,313
92
Talos
Energy,
Inc.(Æ)
40,238
464
UGI
Corp.
99,063
4,556
Viper
Energy
Partners,
LP
67,258
1,211
Vistra
Corp.
63,718
1,220
45,708
Total
Common
Stocks
(cost
$630,999)
1,246,330
Preferred
Stocks
-
0.1%
Consumer
Staples
-
0.1%
Qurate
Retail,
Inc.
8.000%
due
03/15/31
4,783
519
Producer
Durables
-
0.0%
WESCO
International,
Inc.
10.625%
due
06/22/25(¢)
3,454
107
Total
Preferred
Stocks
(cost
$459)
626
Warrants
and
Rights
-
0.0%
Nabors
Industries,
Inc.(Æ)(Ñ)
2026  Warrants
3,926
26
Whiting
Petroleum
Corp.
Class
A(Æ)
2024  Warrants
12,581
71
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Total
Warrants
and
Rights
(cost
$58)
97
Short-Term
Investments
-
3.7%
U.S.
Cash
Management
Fund(@)
48,277,152
(∞)
48,268
Total
Short-Term
Investments
(cost
$48,268)
48,268
Other
Securities
-
1.8%
U.S.
Cash
Collateral
Fund(@)(×)
23,723,250
(∞)
23,723
Total
Other
Securities
(cost
$23,723)
23,723
Total
Investments
-
101.8%
(identified
cost
$703,507)
1,319,044
Other
Assets
and
Liabilities,
Net
-
(1.8)%
(23,029)
Net
Assets
-
100.0%
1,296,015
Russell
Investment
Company
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
75
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
0.3%
APi
Group
Corp.
05/29/20
184,975
13
.45
2,487
4,240
4,240
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report
.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
S&P
MidCap
400
E-Mini
Index
Futures
39
USD
10,525
09/21
113
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
113
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical    
Expedient
(a)
Total
Common
Stocks
Consumer
Discretionary
$
211,664
$
$
$
$
211,664
Consumer
Staples
33,208
33,208
Energy
29,438
29,438
Financial
Services
268,335
268,335
Health
Care
168,843
17
168,860
Materials
and
Processing
108,210
108,210
Producer
Durables
185,407
185,407
Technology
195,500
195,500
Utilities
45,708
45,708
Preferred
Stocks
626
626
Warrants
and
Rights
97
97
Short-Term
Investments
48,268
48,268
Other
Securities
23,723
23,723
Total
Investments
1,247,036
17
71,991
1,319,044
Other
Financial
Instruments
Liabilities
Futures
Contracts
113
113
Total
Other
Financial
Instruments
*
$
113
$
$
$
$
113
Russell
Investment
Company
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
76
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Russell
Investment
Company
Tax-Managed
International
Equity
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
International
Equity
Fund
77
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Common
Stocks
-
92.5%
Argentina
-
0.1%
Grupo
Financiero
Galicia
SA
-
ADR
67,565
528
MercadoLibre
,
Inc.(Æ)
1,619
2,539
3,067
Australia
-
2.3%
Alumina,
Ltd.
1,045,788
1,287
ASX,
Ltd.
-
ADR
27,460
1,554
Australia
&
New
Zealand
Banking
Group,
Ltd.
-
ADR
87,929
1,791
BHP
Group
PLC
165,988
5,391
BHP
Group,
Ltd.
-
ADR
163,833
6,420
BlueScope
Steel,
Ltd.
97,862
1,759
Cochlear,
Ltd.
10,201
1,840
Commonwealth
Bank
of
Australia
-
ADR
144,201
10,549
Crown
Resorts,
Ltd.(Æ)
140,894
891
CSL,
Ltd.
12,110
2,571
Endeavour
Mining
Corp.(Æ)
28,891
141
Fortescue
Metals
Group,
Ltd.
132,168
2,427
Insurance
Australia
Group,
Ltd.(Æ)
664,055
2,371
Macquarie
Group,
Ltd.
8,546
986
Magellan
Financial
Group,
Ltd.
-
ADR
39,580
1,424
Medibank
Pvt
,
Ltd.
772,167
1,878
Newcrest
Mining,
Ltd.
64,780
1,263
Origin
Energy,
Ltd.
102,122
309
Rio
Tinto
PLC
82,648
7,044
Rio
Tinto,
Ltd.
-
ADR
17,946
1,766
Santos,
Ltd.
213,053
1,003
South32,
Ltd.
Class
B
533,311
1,168
Tabcorp
Holdings,
Ltd.
246,339
898
Telstra
Corp.,
Ltd.
69,457
193
Transurban
Group
-
ADR(Æ)
34,107
359
Wesfarmers,
Ltd.(Æ)
26,345
1,184
Westpac
Banking
Corp.
82,874
1,485
Woolworths
Group,
Ltd.
28,891
826
60,778
Austria
-
0.3%
Erste
Group
Bank
AG
96,020
3,723
OMV
AB
28,498
1,538
Raiffeisen
Bank
International
AG
39,823
940
Voestalpine
AG
14,152
624
6,825
Belgium
-
0.3%
Ageas
SA
65,975
3,482
Anheuser-Busch
InBev
SA
14,189
894
Colruyt
SA
511
29
KBC
Group
NV
28,619
2,299
Solvay
SA
1,603
214
UCB
SA
6,021
651
7,569
Bermuda
-
0.0%
Beijing
Enterprises
Water
Group,
Ltd.
(Æ)
3,342,000
1,229
Brazil
-
1.2%
Ambev
SA
2,020,889
6,457
Americanas
SA(Æ)
54,311
512
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Atacadao
SA
317,557
1,158
B3
SA
-
Brasil
Bolsa
Balcao
229,452
672
Cia
de
Saneamento
Basico
do
Estado
de
Sao
Paulo(Æ)
327,105
2,227
Cia
de
Saneamento
Basico
do
Estado
de
Sao
Paulo
-
ADR(Æ)
79,783
542
Cosan
SA
173,116
849
CSN
Mineracao
SA
1,327,182
2,344
Diagnosticos
da
America
SA(Æ)
153,501
1,633
Hapvida
Participacoes
e
Investimentos
SA(Þ)
105,525
288
Hypera
SA(Æ)
31,472
215
Minerva
SA
696,205
1,199
Pagseguro
Digital,
Ltd.
Class
A(Æ)
68,928
3,821
Petroleo
Brasileiro
SA
-
ADR
127,248
1,333
Rumo
SA(Æ)
1,530,865
6,073
TIM
SA(Æ)
73,977
161
Vale
SA
154,652
3,229
32,713
Canada
-
4.8%
Air
Canada
Class
B(Æ)
49,364
988
Algonquin
Power
&
Utilities
Corp.
2,714
43
ARC
Resources,
Ltd.
85,406
646
Atco,
Ltd.
Class
I
30,015
1,085
Bank
of
Montreal
7,324
725
Bank
of
Nova
Scotia
(The)
21,386
1,335
Barrick
Gold
Corp.
113,867
2,479
BCE,
Inc.
34,432
1,719
Brookfield
Asset
Management,
Inc.
Class
A(Æ)
17,154
926
CAE,
Inc.(Æ)
247,513
7,553
Cameco
Corp.
Class
A
74,549
1,327
Canadian
Apartment
Properties(ö)
10,910
545
Canadian
Imperial
Bank
of
Commerce
7,628
887
Canadian
National
Railway
Co.
124,914
13,573
Canadian
Natural
Resources,
Ltd.
1
Canadian
Pacific
Railway,
Ltd.
20,630
1,532
Canadian
Tire
Corp.,
Ltd.
Class
A
6,651
1,023
CCL
Industries,
Inc.
Class
B
1,170
67
Celestica,
Inc.(Æ)
132,800
1,178
Cenovus
Energy,
Inc.
158,385
1,322
CGI
Group,
Inc.(Æ)
11,541
1,050
CI
Financial
Corp.
82,153
1,498
Constellation
Software,
Inc.
615
985
Dollarama
,
Inc.
48,820
2,299
Emera
,
Inc.
27,441
1,280
Enbridge,
Inc.
16,482
650
Fairfax
Financial
Holdings,
Ltd.
2,865
1,207
First
Quantum
Minerals,
Ltd.
989,347
21,190
Fortis,
Inc.
23,359
1,059
George
Weston,
Ltd.
6,616
686
Great-West
Lifeco
,
Inc.
50,649
1,524
Hydro
One,
Ltd.(Þ)
32,728
808
iA
Financial
Corp.,
Inc.
14,976
829
Imperial
Oil,
Ltd.
32,973
903
Intact
Financial
Corp.
4,868
663
Ivanhoe
Mines,
Ltd.
Class
A(Æ)
191,788
1,423
Loblaw
Cos.,
Ltd.
32,182
2,177
Magna
International,
Inc.
Class
A
22,491
1,886
Russell
Investment
Company
Tax-Managed
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
78
Tax-Managed
International
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Manulife
Financial
Corp.
207,565
4,013
Metro,
Inc.
Class
A
24,071
1,248
National
Bank
of
Canada
10,700
819
Onex
Corp.
11,349
865
Open
Text
Corp.
21,132
1,098
Pembina
Pipeline
Corp.
10,204
337
Restaurant
Brands
International,
Inc.
10,135
691
Rogers
Communications,
Inc.
Class
B
16,168
825
Royal
Bank
of
Canada
-
GDR
73,381
7,422
Saputo,
Inc.
-
ADR
34,927
1,008
Shaw
Communications,
Inc.
Class
B
110,305
3,222
Shopify,
Inc.
Class
A(Æ)
1,109
1,663
Sun
Life
Financial,
Inc.
148,154
7,716
TC
Energy
Corp.(Æ)
11,820
576
Teck
Resources,
Ltd.
Class
B
117,899
2,691
TMX
Group,
Ltd.
12,840
1,410
Toronto-Dominion
Bank
(The)
148,777
9,892
Tourmaline
Oil
Corp.
29,769
813
Trisura
Group,
Ltd.(Æ)
436
16
127,395
Chile
-
0.4%
Banco
de
Chile
-
ADR
3
Latam
Airlines
Group
SA(Æ)
742,354
1,956
Liberty
Latin
America,
Ltd.
Class
C(Æ)
11,972
166
Sociedad
Quimica
y
Minera
de
Chile
SA
-
ADR
177,870
8,449
10,571
China
-
9.0%
Agricultural
Bank
of
China,
Ltd.
Class
H
8,454,940
2,821
Alibaba
Group
Holding,
Ltd.(Æ)
977,560
23,888
Aluminum
Corp.
of
China,
Ltd.(Æ)
1,464,258
1,367
Anhui
Conch
Cement
Co.,
Ltd.
Class
A
216,000
1,185
Anhui
Conch
Cement
Co.,
Ltd.
Class
H
303,039
1,449
Baidu,
Inc.
-
ADR(Æ)
15,882
2,605
Bank
of
China,
Ltd.
Class
H
5,170,616
1,797
Bank
of
Communications
Co.,
Ltd.
Class
H
721,000
418
Beijing
Sanju
Environmental
Protection
&
New
Materials
Co.,
Ltd.
Class
A(Æ)
568,116
510
Bilibili
,
Inc.
-
ADR(Æ)
14,600
1,249
Bilibili
,
Inc.
Class
Z(Æ)
24,260
2,082
CGN
Power
Co.,
Ltd.
Class
H(Þ)
1,529,212
331
China
Aoyuan
Group,
Ltd.
1,785,000
1,141
China
Bohai
Bank
Co.,
Ltd.
Class
H(Þ)
5,592,500
2,183
China
CITIC
Bank
Corp.,
Ltd.
Class
H
2,577,200
1,154
China
Communications
Services
Corp.,
Ltd.
Class
H
3,906,000
1,675
China
Construction
Bank
Corp.
Class
H
10,371,607
7,241
China
Everbright
Bank
Co.,
Ltd.
Class
H
4,329,000
1,477
China
Evergrande
Group
968,000
656
China
Fortune
Land
Development
Co.,
Ltd.
Class
A(Æ)
1,639,300
1,101
China
Huarong
Asset
Management
Co.,
Ltd.
Class
H(Æ)(Š)(Þ)
16,079,000
2,110
China
Life
Insurance
Co.,
Ltd.
Class
A
125,316
543
China
Life
Insurance
Co.,
Ltd.
Class
H
714,000
1,194
China
Longyuan
Power
Group
Corp.,
Ltd.
Class
H
601,000
1,124
China
Mengniu
Dairy
Co.,
Ltd.(Æ)
247,223
1,342
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
China
Merchants
Bank
Co.,
Ltd.
Class
A
41,016
296
China
Merchants
Bank
Co.,
Ltd.
Class
H
262,598
2,004
China
Minsheng
Banking
Corp.,
Ltd.
Class
A
1,968,900
1,214
China
Minsheng
Banking
Corp.,
Ltd.
Class
H
2,639,500
1,074
China
National
Building
Material
Co.,
Ltd.
Class
H
1,757,572
1,913
China
Oilfield
Services,
Ltd.
Class
H
500,000
365
China
Petroleum
&
Chemical
Corp.
Class
H
1,639,359
747
China
Resources
Land,
Ltd.
293,112
982
China
Southern
Airlines
Co.,
Ltd.
Class
H(Æ)
1,757,581
926
China
Tower
Corp.,
Ltd.
Class
H(Þ)
9,458,000
1,254
China
Vanke
Co.,
Ltd.
Class
A
12,290
39
CIFI
Holdings
Group
Co.,
Ltd.
2,912,000
1,757
CITIC
Securities
Co.,
Ltd.
Class
H
507,500
1,130
COSCO
SHIPPING
Energy
Transportation
Co.,
Ltd.
Class
A
287,132
226
COSCO
SHIPPING
Holdings
Co.,
Ltd.
Class
H(Æ)
1,852,124
2,808
Country
Garden
Services
Holdings
Co.,
Ltd.
769,345
6,248
CSPC
Pharmaceutical
Group,
Ltd.
826,707
1,117
ENN
Energy
Holdings,
Ltd.
139,100
2,914
Focus
Media
Information
Technology
Co.,
Ltd.
Class
A
1,152,283
1,339
Geely
Automobile
Holdings,
Ltd.
2,243,340
7,505
Greentown
China
Holdings,
Ltd.
445,630
492
Guangdong
Haid
Group
Co.,
Ltd.
Class
A
23,741
231
Guotai
Junan
Securities
Co.,
Ltd.
Class
A
9,117
23
Haier
Smart
Home
Co.,
Ltd.
Class
H
366,716
1,257
Hangzhou
Robam
Appliances
Co.,
Ltd.
Class
A
139,989
847
Han's
Laser
Technology
Industry
Group
Co.,
Ltd.
Class
A
75,829
433
Hello
Group,
Inc.(Æ)
98,686
1,223
Hengan
International
Group
Co.,
Ltd.
205,500
1,223
Huatai
Securities
Co.,
Ltd.
Class
A
532,800
1,191
Huaxin
Cement
Co.,
Ltd.
Class
A
452,463
1,039
Huazhu
Group,
Ltd.(Æ)
202,500
905
Huazhu
Group,
Ltd.
-
ADR(Æ)
106,919
4,809
Hubei
Biocause
Pharmaceutical
Co.,
Ltd.(Æ)
540,800
279
Industrial
&
Commercial
Bank
of
China,
Ltd.
Class
H
1,233,982
686
Industrial
Bank
Co.,
Ltd.
Class
A
1,068,769
2,928
Inner
Mongolia
BaoTou
Steel
Union
Co.,
Ltd.
Class
A(Æ)
4,312,381
1,914
JD.com,
Inc.
-
ADR(Æ)
55,575
3,939
Jiangsu
Expressway
Co.,
Ltd.
Class
H
243,270
260
Kuaishou
Technology(Æ)(Þ)
122,700
1,741
Kunlun
Energy
Co.,
Ltd.
3,484,464
3,018
Kweichow
Moutai
Co.,
Ltd.
Class
A
1,400
364
Lenovo
Group,
Ltd.
2,325,442
2,175
Li
Ning
Co.,
Ltd.
317,292
3,354
Longfor
Group
Holdings,
Ltd.(Þ)
146,500
685
Russell
Investment
Company
Tax-Managed
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
International
Equity
Fund
79
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
LONGi
Green
Energy
Technology
Co.,
Ltd.
Class
A
355,100
4,742
Luye
Pharma
Group,
Ltd.(Æ)(Þ)
1,637,501
882
Meituan-Dianping
Class
B(Æ)(Þ)
359,613
9,967
Midea
Real
Estate
Holding,
Ltd.(Þ)
667,600
1,128
New
Oriental
Education
&
Technology
Group,
Inc.
-
ADR(Æ)
164,480
357
NIO,
Inc.
-
ADR(Æ)
39,498
1,765
People's
Insurance
Co.
Group
of
China,
Ltd.
(The)
Class
H
3,559,000
1,105
PetroChina
Co.,
Ltd.
Class
H
14,446,000
6,012
Pinduoduo
,
Inc.
-
ADR(Æ)
24,926
2,283
Ping
An
Bank
Co.,
Ltd.
Class
A
167,200
459
Ping
An
Insurance
Group
Co.
of
China,
Ltd.
Class
A
73,711
613
Ping
An
Insurance
Group
Co.
of
China,
Ltd.
Class
H
1,165,248
10,229
Postal
Savings
Bank
of
China
Co.,
Ltd.
Class
H(Þ)
541,001
350
Qingdao
Rural
Commercial
Bank
Corp.
Class
A
2,046,200
1,233
SAIC
Motor
Corp.,
Ltd.
Class
A
429,791
1,224
Sangfor
Technologies,
Inc.
Class
A
116,320
4,379
Sany
Heavy
Industry
Co.,
Ltd.
Class
A
189,007
727
Shanghai
Pharmaceuticals
Holding
Co.,
Ltd.
Class
H
1,252,147
2,680
Shenzhen
Energy
Group
Co.,
Ltd.
Class
A
851,537
1,133
Shenzhen
Kangtai
Biological
Products
Co.,
Ltd.
Class
A
171,774
3,389
Shenzhou
International
Group
Holdings,
Ltd.
52,990
1,174
Sinopharm
Group
Co.,
Ltd.
Class
H
339,200
892
Sinotruk
Hong
Kong,
Ltd.
729,000
1,260
Songcheng
Performance
Development
Co.,
Ltd.
Class
A
364,294
715
Sunac
China
Holdings,
Ltd.
122,866
319
Sunac
Services
Holdings,
Ltd.(Þ)
3,953
11
Sunny
Optical
Technology
Group
Co.,
Ltd.
81,300
2,464
Tangshan
Jidong
Cement
Co.,
Ltd.
Class
A
689,900
1,273
Tencent
Holdings,
Ltd.
361,998
22,340
Times
Property
Holdings,
Ltd.
2,868,226
2,712
Tingyi
Cayman
Islands
Holding
Corp.
238,000
430
Tuya
,
Inc.
-
ADR(Æ)
51,509
1,024
Weibo
Corp.
-
ADR(Æ)
15,049
849
Weichai
Power
Co.,
Ltd.
Class
H
1,422,802
3,115
Wingtech
Technology
Co.,
Ltd.
Class
A
167,600
2,849
Yuan
Longping
High-tech
Agriculture
Co.,
Ltd.
Class
A(Æ)
447,274
1,385
Zhaojin
Mining
Industry
Co.,
Ltd.
577,497
566
Zhejiang
Huayou
Cobalt
Co.,
Ltd.
Class
A
243,730
4,973
Zhejiang
Longsheng
Group
Co.,
Ltd.
Class
A
639,700
1,216
Zhejiang
NHU
Co.,
Ltd.
Class
A
210,015
842
Zhongsheng
Group
Holdings,
Ltd.
243,500
2,242
240,825
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Cyprus
-
0.0%
Cairo
Mezz
PLC(Æ)
609,369
84
Czech
Republic
-
0.1%
Komercni
Banka
AS(Æ)
24,097
895
Moneta
Money
Bank
AS(Æ)(Þ)
390,994
1,590
2,485
Denmark
-
1.1%
AP
Moller
-
Maersk
A/S
Class
B
3,672
10,191
Carlsberg
A/S
Class
B
4,284
793
Chr
Hansen
Holding
A/S
9,350
841
Coloplast
A/S
Class
B
2,388
437
Danske
Bank
A/S
178,754
3,129
Demant
A/S(Æ)
6,818
417
Drilling
Co.
of
1972
A/S
(The)(Æ)
39,615
1,529
DSV
Panalpina
A/S
15,383
3,747
GN
Store
Nord
A/S
6,464
567
ISS
A/S(Æ)
25,710
607
Novo
Nordisk
A/S
Class
B
66,206
6,132
28,390
Finland
-
1.3%
Elisa
OYJ
38,567
2,479
Fortum
OYJ
9,309
257
Kone
OYJ
Class
B
45,123
3,737
Neste
OYJ
84,552
5,202
Nokia
OYJ(Æ)
2,192,968
13,446
Nokian
Renkaat
OYJ
24,387
1,029
Nordea
Bank
AB
194,836
2,280
Sampo
OYJ
Class
A
57,416
2,769
Stora
Enso
OYJ
Class
R
23,321
461
UPM-
Kymmene
OYJ
80,077
3,274
Wartsila
OYJ
Class
B
805
12
34,946
France
-
6.1%
Accor
SA(Æ)
29,973
1,061
Aeroports
de
Paris(Æ)
3,376
410
Air
Liquide
SA
Class
A
7,807
1,357
Airbus
Group
SE(Æ)
21,991
3,017
Amundi
SA(Þ)
71,702
6,631
AXA
SA
238,062
6,162
BioMerieux
6,339
756
BNP
Paribas
SA
110,894
6,747
Bollore
SA
209,658
1,172
Bouygues
SA
-
ADR
59,843
2,308
Bureau
Veritas
SA
67,609
2,232
Capgemini
SE
8,478
1,834
Cie
de
Saint-Gobain
SA
148,818
10,646
Cie
Generale
des
Etablissements
Michelin
SCA
Class
B
60,881
9,942
CNP
Assurances
27,463
466
Credit
Agricole
SA
94,621
1,316
Danone
SA
32,016
2,357
Dassault
Aviation
SA
971
1,157
Dassault
Systemes
SE
22,710
1,253
Eiffage
SA
3,684
375
Electricite
de
France
SA
35,504
430
Engie
SA
134,615
1,796
EssilorLuxottica
SA
5,166
975
Russell
Investment
Company
Tax-Managed
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
80
Tax-Managed
International
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Eurazeo
SE
6,613
640
Faurecia
SE
1,272
58
Hermes
International
1,416
2,167
Legrand
SA
-
ADR
4,175
470
L'Oreal
SA
16,598
7,603
LVMH
Moet
Hennessy
Louis
Vuitton
SE
-
ADR
13,313
10,654
Orange
SA
-
ADR
74,963
835
Pernod
Ricard
SA
3,723
822
Publicis
Groupe
SA
-
ADR
101,825
6,427
Renault
SA(Æ)
73,912
2,812
Rexel
SA
Class
H(Æ)
713,896
15,052
Safran
SA
11,503
1,507
Sanofi
-
ADR
60,898
6,275
Sartorius
Stedim
Biotech
4,885
2,788
Schneider
Electric
SE
99,682
16,702
SCOR
SE
-
ADR
118,768
3,322
Societe
Generale
SA
181,456
5,316
Sodexo
SA(Æ)
1,779
152
Suez
SA
30,982
723
Teleperformance
-
GDR
2,067
872
Thales
SA
4,450
467
Total
SA
160,978
7,020
Vinci
SA
7,511
794
Vivendi
SA
-
ADR
69,383
2,344
Worldline
SA(Æ)(Þ)
29,768
2,786
163,008
Germany
-
3.4%
1&1
Drillisch
AG
45,216
1,344
adidas
AG
3,971
1,443
Allianz
SE
7,474
1,861
BASF
SE
102,146
8,026
Bayerische
Motoren
Werke
Aktiengesellschaft
9,587
954
Beiersdorf
AG
5,046
600
Continental
AG(Æ)
13,569
1,844
Covestro
AG(Þ)
147,881
9,517
Daimler
AG
87,773
7,841
Delivery
Hero
SE(Æ)(Þ)
46,612
6,980
Deutsche
Bank
AG(Æ)
96,141
1,215
Deutsche
Boerse
AG
23,924
3,995
Deutsche
Lufthansa
AG(Æ)
35,690
404
Deutsche
Telekom
AG
50,036
1,040
Deutsche
Wohnen
SE
10,684
667
Fraport
AG
Frankfurt
Airport
Services
Worldwide(Æ)
9,505
626
Fresenius
Medical
Care
AG
&
Co.
62,001
4,895
Fresenius
SE
&
Co.
KGaA
88,998
4,681
GEA
Group
AG
38,618
1,713
Hannover
Rueck
SE
17,312
2,914
HeidelbergCement
AG
7,071
627
Infineon
Technologies
AG
-
ADR
61,815
2,357
Knorr-
Bremse
AG
3,269
371
Merck
&
Co.,
Inc.
6,103
1,250
Muenchener
Rueckversicherungs-
Gesellschaft
AG
22,674
6,132
Salzgitter
AG(Æ)
32,924
1,280
SAP
SE
-
ADR
26,175
3,755
Siemens
AG
28,881
4,509
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Siemens
Energy
AG(Æ)
14,440
393
Siemens
Healthineers
AG(Þ)
17,361
1,147
Symrise
AG
7,412
1,093
United
Internet
AG
11,283
467
Vonovia
SE
12,999
867
Zalando
SE(Æ)(Þ)
29,188
3,247
90,055
Greece
-
0.3%
Eurobank
Ergasias
SA(Æ)
7,312,428
6,880
National
Bank
of
Greece(Æ)
534,854
1,507
8,387
Hong
Kong
-
2.5%
AIA
Group,
Ltd.
907,346
10,883
BOC
Hong
Kong
Holdings,
Ltd.
50,551
163
China
Jinmao
Holdings
Group,
Ltd.
4,752,000
1,327
China
Resources
Beer
Holdings
Co.,
Ltd.
70,000
525
China
Resources
Gas
Group,
Ltd.
338,045
2,084
China
Traditional
Chinese
Medicine
Co.,
Ltd.(Æ)
1,360,000
850
CK
Asset
Holdings,
Ltd.
617,547
4,211
CLP
Holdings,
Ltd.
539,449
5,566
Galaxy
Entertainment
Group,
Ltd.(Æ)
1,347,843
9,170
Hang
Lung
Properties,
Ltd.
-
ADR
161,028
417
Hang
Seng
Bank,
Ltd.
222,220
4,258
HK
Electric
Investments
&
HK
Electric
Investments,
Ltd.
715,886
726
HKT
Trust
&
HKT,
Ltd.
976,712
1,327
Hong
Kong
&
China
Gas
Co.,
Ltd.
297,888
486
Jardine
Matheson
Holdings,
Ltd.
9,100
541
MTR
Corp.,
Ltd.
62,025
368
Nine
Dragons
Paper
Holdings,
Ltd.
325,000
410
Power
Assets
Holdings,
Ltd.
486,000
3,141
Sands
China,
Ltd.(Æ)
567,600
1,942
Shenzhen
International
Holdings,
Ltd.
919,000
1,214
Sun
Art
Retail
Group,
Ltd.
1,755,000
1,092
Sun
Hung
Kai
Properties,
Ltd.
107,500
1,541
Swire
Pacific,
Ltd.
Class
A
231,946
1,442
Swire
Properties,
Ltd.
161,592
460
Techtronic
Industries
Co.,
Ltd.
588,500
10,532
WH
Group,
Ltd.(Þ)
2,724,614
2,260
66,936
Hungary
-
0.1%
MOL
Hungarian
Oil
&
Gas
PLC(Æ)
187,346
1,493
OTP
Bank
PLC(Æ)
45,110
2,433
3,926
India
-
3.7%
Bharti
Airtel,
Ltd.
349,104
2,642
Britannia
Industries,
Ltd.
23,516
1,083
Canara
Bank(Æ)
706,199
1,456
Cipla
,
Ltd.
7,137
88
Dabur
India,
Ltd.
Class
A
41,708
337
Dr
Reddy's
Laboratories,
Ltd.
2,598
164
GAIL
India,
Ltd.
2,372,507
4,451
HCL
Technologies,
Ltd.
40,745
562
HDFC
Bank,
Ltd.
-
ADR
18,420
1,300
Hindustan
Unilever,
Ltd.
104,860
3,291
Russell
Investment
Company
Tax-Managed
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
International
Equity
Fund
81
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Housing
Development
Finance
Corp.,
Ltd.
588,333
19,387
ICICI
Bank,
Ltd.
535,534
4,925
ICICI
Bank,
Ltd.
-
ADR
106,819
1,986
ICICI
Lombard
General
Insurance
Co.,
Ltd.(Þ)
164,714
3,267
Infosys,
Ltd.
72,492
1,579
Infosys,
Ltd.
-
ADR
127,629
2,823
InterGlobe
Aviation,
Ltd.(Æ)(Þ)
98,346
2,178
Maruti
Suzuki
India,
Ltd.
53,045
4,987
Oil
&
Natural
Gas
Corp.,
Ltd.
1,059,984
1,634
Pidilite
Industries,
Ltd.
14,060
431
Power
Grid
Corp.
of
India,
Ltd.
1,371,068
3,156
Power
Grid
Corp.
of
India,
Ltd.(Æ)(Š)
457,023
1,051
Reliance
Industries,
Ltd.
393,469
10,786
Reliance
Industries,
Ltd.
-
GDR(Þ)
78,033
4,314
SBI
Cards
&
Payment
Services,
Ltd.(Æ)
267,071
3,712
Shriram
Transport
Finance
Co.,
Ltd.
41,069
767
State
Bank
of
India
837,980
4,869
Tata
Consultancy
Services,
Ltd.
188,756
8,040
Tata
Motors,
Ltd.(Æ)
519,472
2,059
Wipro,
Ltd.
130,668
1,033
Zee
Entertainment
Enterprises,
Ltd.
25,994
71
98,429
Indonesia
-
0.5%
Bank
Central
Asia
Tbk
PT
665,178
1,373
Bank
Mandiri
Persero
Tbk
PT
3,936,400
1,555
Bank
Negara
Indonesia
Persero
Tbk
PT
7,171,900
2,368
Bank
Tabungan
Negara
Persero
Tbk
PT(Æ)
10,458,905
953
Bumi
Serpong
Damai
Tbk
PT(Æ)
13,758,500
890
Gudang
Garam
Tbk
PT
271,440
616
Jasa
Marga
Persero
Tbk
PT(Æ)
3,561,000
972
Telkom
Indonesia
Persero
Tbk
PT
13,110,600
2,941
Unilever
Indonesia
Tbk
PT
3,633,700
1,065
United
Tractors
Tbk
PT
140,969
191
12,924
Ireland
-
1.3%
AerCap
Holdings
NV(Æ)
23,581
1,250
AIB
Group
PLC(Æ)
799,670
1,957
Allegion
PLC
74,823
10,221
Bank
of
Ireland
Group
PLC(Æ)
803,220
4,263
CRH
PLC
18,909
942
DCC
PLC
9,242
774
Flutter
Entertainment
PLC(Æ)
22,034
3,762
Kerry
Group
PLC
Class
A
64,751
9,600
Medtronic
PLC
585
77
Ryanair
Holdings
PLC
-
ADR(Æ)
5,228
570
33,416
Isle
of
Man
-
0.1%
NEPI
Rockcastle
PLC
347,128
2,347
Israel
-
0.1%
Bank
Hapoalim
BM(Æ)
195,439
1,554
Bank
Leumi
Le-Israel
BM(Æ)
66,942
512
Check
Point
Software
Technologies,
Ltd.
(Æ)
2,312
294
Mizrahi
Tefahot
Bank,
Ltd.
27,841
844
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
NICE,
Ltd.(Æ)
2,366
660
3,864
Italy
-
1.3%
Assicurazioni
Generali
SpA
189,063
3,777
Atlantia
SpA
(Æ)
70,909
1,288
Davide
Campari-Milano
NV
SpA
(Æ)
187,496
2,639
Enel
SpA
651,151
6,014
Eni
SpA
-
ADR
330,483
3,904
Ferrari
NV
13,254
2,892
FinecoBank
Banca
Fineco
SpA
83,796
1,500
Intesa
Sanpaolo
SpA
661,879
1,828
Mediobanca
Banca
di
Credito
Finanziario
SpA
19,127
224
Moncler
SpA
24,622
1,696
Pirelli
&
C
SpA
(Þ)
162,449
983
Saipem
SpA
(Æ)
672,171
1,544
Snam
Rete
Gas
SpA
3,110
19
Telecom
Italia
SpA
1,179,560
519
Terna
Rete
Elettrica
Nazionale
SpA
56,676
451
UniCredit
SpA
361,799
4,327
Unipol
Gruppo
SpA
111,971
597
34,202
Japan
-
11.6%
Aeon
Co.,
Ltd.
13,900
381
Alps
Alpine
Co.,
Ltd.
49,100
510
As
One
Corp.
8,474
1,152
Asahi
Group
Holdings,
Ltd.
13,200
594
Astellas
Pharma,
Inc.
304,100
4,844
Bank
of
Kyoto,
Ltd.
(The)
17,700
763
BML,
Inc.
24,000
832
Bridgestone
Corp.
198,500
8,736
Canon,
Inc.
226,100
5,193
Century
Tokyo
Leasing
Corp.
14,400
793
Citizen
Watch
Co.,
Ltd.
481,200
1,883
Concordia
Financial
Group,
Ltd.
95,300
342
Dai-ichi
Life
Holdings,
Inc.
151,885
2,806
Daiichi
Sankyo
Co.,
Ltd.
10,200
202
Daikin
Industries,
Ltd.
200
42
Daiseki
Co.,
Ltd.
1,200
56
Daito
Trust
Construction
Co.,
Ltd.
19,600
2,307
Daiwa
House
Industry
Co.,
Ltd.
16,900
519
Denso
Corp.
106,200
7,292
Dentsu
,
Inc.
24,300
846
Ebara
Corp.
600
30
Eisai
Co.,
Ltd.
58,900
4,835
Fuji
Electric
Co.,
Ltd.
16,300
712
Fuji
Seal
International,
Inc.
19,900
404
FUJIFILM
Holdings
Corp.
26,421
1,898
Fujitsu,
Ltd.
20,614
3,502
Fukuoka
Financial
Group,
Inc.
93,500
1,578
GMO
Payment
Gateway,
Inc.
7,500
969
Hamamatsu
Photonics
KK
7,900
440
Hankyu
Hanshin
Holdings,
Inc.
12,400
366
Hikari
Tsushin,
Inc.
7,000
1,213
Hino
Motors,
Ltd.
277,000
2,423
Hitachi
Metals,
Ltd.
443,400
8,655
Hitachi,
Ltd.
25,000
1,436
Hogy
Medical
Co.,
Ltd.
15,300
481
Honda
Motor
Co.,
Ltd.
441,565
14,124
Russell
Investment
Company
Tax-Managed
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
82
Tax-Managed
International
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Hoshizaki
Corp.
1,500
126
Hoya
Corp.
4,600
649
Iida
Group
Holdings
Co.,
Ltd.
134,900
3,256
Isuzu
Motors,
Ltd.
855,500
11,390
ITOCHU
Corp.
80,018
2,384
Japan
Airlines
Co.,
Ltd.(Æ)
89,600
1,876
Japan
Exchange
Group,
Inc.
92,000
2,094
Japan
Post
Insurance
Co.,
Ltd.
Class
A
32,800
583
Japan
Tobacco,
Inc.
286,900
5,611
JFE
Holdings,
Inc.
84,700
1,038
JSR
Corp.
30,300
1,014
Kamigumi
Co.,
Ltd.
82,100
1,742
Kansai
Electric
Power
Co.,
Inc.
(The)
94,100
890
Kao
Corp.
106,200
6,385
Kawasaki
Heavy
Industries,
Ltd.
1,500
31
KDDI
Corp.
193,800
5,914
Keio
Corp.
8,400
470
Keyence
Corp.
17,800
9,910
Kirin
Holdings
Co.,
Ltd.
171,000
3,129
Koito
Manufacturing
Co.,
Ltd.
12,600
771
Komatsu,
Ltd.
267,900
6,985
Kubota
Corp.
36,400
761
Kyowa
Kirin
Co.,
Ltd.
33,800
1,099
Lawson,
Inc.
4,900
246
McDonald's
Holdings
Co.
Japan,
Ltd.
13,100
591
Medipal
Holdings
Corp.
30,500
575
MEIJI
Holdings
Co.,
Ltd.
57,300
3,549
Menicon
Co.,
Ltd.
73,500
5,373
Mitsubishi
Chemical
Holdings
Corp.
43,700
367
Mitsubishi
Electric
Corp.
280,300
3,794
Mitsubishi
Estate
Co.,
Ltd.
154,400
2,423
Mitsubishi
Heavy
Industries,
Ltd.
26,400
767
Mitsubishi
UFJ
Financial
Group,
Inc.
1,163,500
6,165
Mitsui
&
Co.,
Ltd.
58,000
1,339
Mitsui
Chemicals,
Inc.
8,400
268
Mizuho
Financial
Group,
Inc.
90,400
1,291
MS&AD
Insurance
Group
Holdings,
Inc.
90,300
2,792
Murata
Manufacturing
Co.,
Ltd.
35,300
2,927
Nakanishi,
Inc.
6,477
135
NEC
Corp.
7,600
386
Nidec
Corp.
5,600
629
Nintendo
Co.,
Ltd.
8,275
4,264
Nippon
Prologis
REIT,
Inc.(ö)
246
821
Nippon
Shinyaku
Co.,
Ltd.
8,700
654
Nippon
Steel
Corp.
82,100
1,435
Nippon
Telegraph
&
Telephone
Corp.
30,800
789
Nissan
Motor
Co.,
Ltd.(Æ)
460,000
2,663
Nissin
Foods
Holdings
Co.,
Ltd.
7,900
562
Nitori
Holdings
Co.,
Ltd.
8,500
1,617
Nitto
Denko
Corp.
40,600
3,021
Nomura
Holdings,
Inc.
122,500
612
NTT
Data
Corp.
54,700
848
Obayashi
Corp.
14,000
115
Obic
Co.,
Ltd.
300
53
Odakyu
Electric
Railway
Co.,
Ltd.
21,900
523
Ono
Pharmaceutical
Co.,
Ltd.
195,400
4,469
Oriental
Land
Co.,
Ltd.
5,700
780
Osaka
Gas
Co.,
Ltd.
35,500
665
Otsuka
Corp.
36,200
1,891
Otsuka
Holdings
Co.,
Ltd.
103,700
4,122
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Pan
Pacific
International
Holdings
Corp.
30,400
635
Panasonic
Corp.
628,000
7,522
Pigeon
Corp.
45,300
1,311
Qol
Holdings
Co.,
Ltd.
3,300
46
Recruit
Holdings
Co.,
Ltd.
21,900
1,133
Resona
Holdings,
Inc.
1,031,000
3,885
Rinnai
Corp.
5,800
538
Secom
Co.,
Ltd.
9,463
715
Sekisui
House,
Ltd.
26,200
519
Seven
&
i
Holdings
Co.,
Ltd.
11,600
517
Shimadzu
Corp.
3,000
121
Shimano,
Inc.
2,387
611
Shin-Etsu
Chemical
Co.,
Ltd.
76,700
12,514
Shizuoka
Bank,
Ltd.
(The)
137,900
998
SMC
Corp.
3,900
2,318
SoftBank
Group
Corp.
127,184
2,936
Sompo
Japan
Nipponkoa
Holdings,
Inc.
21,801
902
Sony
Corp.
27,200
2,839
Subaru
Corp.
61,100
1,199
Sumitomo
Dainippon
Pharma
Co.,
Ltd.
68,600
1,186
Sumitomo
Electric
Industries,
Ltd.
31,500
448
Sumitomo
Heavy
Industries,
Ltd.
21,800
607
Sumitomo
Mitsui
Banking
Corp.
212,702
7,170
Sumitomo
Mitsui
Trust
Holdings,
Inc.
37,400
1,229
Suntory
Beverage
&
Food,
Ltd.
34,800
1,224
Suzuki
Motor
Corp.
9,300
378
T&D
Holdings,
Inc.
491,400
6,298
Taiheiyo
Cement
Corp.
84,200
1,960
Taisei
Corp.
10,200
345
Takeda
Pharmaceutical
Co.,
Ltd.
87,800
2,919
THK
Co.,
Ltd.
73,900
2,115
Toho
Co.,
Ltd.
16,400
714
Tokio
Marine
Holdings,
Inc.
51,000
2,433
Tokyo
Electric
Power
Co.
Holdings,
Inc.
(Æ)
207,200
554
Tokyo
Electron,
Ltd.
28,900
11,906
Tokyu
Fudosan
Holdings
Corp.
36,000
203
Toray
Industries,
Inc.
96,500
636
Toshiba
Corp.
29,700
1,279
Toyota
Industries
Corp.
30,800
2,582
Toyota
Motor
Corp.
42,400
3,808
Toyota
Tsusho
Corp.
5,300
250
Transcosmos
,
Inc.
16,100
457
Trend
Micro,
Inc.
33,800
1,759
Unicharm
Corp.
25,688
1,030
USS
Co.,
Ltd.
30,800
536
Yamada
Denki
Co.,
Ltd.
113,000
532
310,605
Jersey
-
0.1%
Glencore
PLC(Æ)
668,040
3,003
Kazakhstan
-
0.1%
NAC
Kazatomprom
JSC
-
GDR
132,221
3,295
Kenya
-
0.1%
Safaricom
PLC
6,616,360
2,556
Luxembourg
-
0.9%
ArcelorMittal
SA(Æ)
253,185
8,843
Eurofins
Scientific
SE
78,139
9,347
Russell
Investment
Company
Tax-Managed
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
International
Equity
Fund
83
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Globant
SA(Æ)
3,541
847
RTL
Group
SA
61,002
3,451
Tenaris
SA
186,230
1,905
24,393
Malaysia
-
0.3%
Axiata
Group
BHD
524,800
464
CIMB
Group
Holdings
BHD
804,400
848
Dialog
Group
BHD
1,179,587
769
Hong
Leong
Bank
BHD
197,291
842
Hong
Leong
Financial
Group
BHD
261,314
1,066
IHH
Healthcare
BHD
377,448
505
Malayan
Banking
BHD
155,450
295
Nestle
Malaysia
BHD
13,437
424
Public
Bank
BHD
680,000
641
Supermax
Corp.
BHD
1,588,800
1,231
Tenaga
Nasional
BHD
546,718
1,248
8,333
Mexico
-
1.2%
America
Movil
SAB
de
CV
591,491
496
America
Movil
SAB
de
CV
Class
L
-
ADR
225,394
3,753
Arca
Continental
SAB
de
CV
131,093
793
Cemex
SAB
de
CV(Æ)
1,138,599
929
Cemex
SAB
de
CV
-
ADR(Æ)
745,325
6,059
Coca-Cola
Femsa
SAB
de
CV
53,530
303
El
Puerto
de
Liverpool
SAB
de
CV
258,973
1,224
Fomento
Economico
Mexicano
SAB
de
CV
68,153
595
Grupo
Cementos
de
Chihuahua
SAB
de
CV
205,062
1,668
Grupo
Financiero
Banorte
SAB
de
CV
Class
O
217,927
1,413
Grupo
Financiero
Inbursa
SAB
de
CV
Class
O(Æ)
1,287,868
1,247
Grupo
Televisa
SAB
de
CV
-
ADR
594,597
8,056
Industrias
Bachoco
SAB
de
CV
361,944
1,325
Industrias
Penoles
SAB
de
CV(Æ)
92,806
1,309
Infraestuctura
Energetica
Nova
SAB
de
CV(Æ)
1,944
8
Megacable
Holdings
SAB
de
CV
160,407
562
Orbia
Advance
Corp.
SAB
de
CV
451,254
1,230
Promotora
y
Operadora
de
Infraestructura
SAB
de
CV
70,773
534
Wal-Mart
de
Mexico
SAB
de
CV
151,623
500
32,004
Netherlands
-
3.4%
ABN
AMRO
Bank
NV(Þ)
270,263
3,140
Adyen
NV(Æ)(Þ)
1,034
2,815
Aegon
NV
424,596
1,805
Akzo
Nobel
NV
16,891
2,089
ASML
Holding
NV
15,916
12,103
Exor
NV
6,092
502
Heineken
NV
128,889
15,011
ING
Groep
NV
1,180,465
15,115
Koninklijke
Ahold
Delhaize
NV
36,770
1,143
Koninklijke
KPN
NV
638,961
2,100
Koninklijke
Philips
NV
61,837
2,852
PostNL
NV
-
ADR
169,785
920
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Royal
Dutch
Shell
PLC
Class
A
331,499
6,734
Royal
Dutch
Shell
PLC
Class
B
443,672
8,757
Stellantis
NV
197,433
3,792
Technip
Energies
NV
-
ADR(Æ)
110,240
1,494
Wolters
Kluwer
NV
9,140
1,043
X5
Retail
Group
NV
-
GDR
72,354
2,344
Yandex
NV
Class
A(Æ)
116,227
7,895
91,654
New
Zealand
-
0.4%
Fisher
&
Paykel
Healthcare
Corp.,
Ltd.
365,730
8,047
Meridian
Energy,
Ltd.
4,494
16
Spark
New
Zealand,
Ltd.
515,261
1,701
9,764
Norway
-
0.5%
DNB
Bank
ASA(Æ)
38,357
786
Gjensidige
Forsikring
ASA
29,105
666
Mowi
ASA
88,244
2,248
Norsk
Hydro
ASA
940,510
6,256
Orkla
ASA
181,935
1,654
Yara
International
ASA
7,033
370
11,980
Peru
-
0.0%
Credicorp
,
Ltd.
1,427
144
Philippines
-
0.3%
Ayala
Land,
Inc.
2,251,500
1,472
Bank
of
the
Philippine
Islands
1,481,150
2,384
BDO
Unibank
,
Inc.
219,920
449
GT
Capital
Holdings,
Inc.
46,220
503
Megaworld
Corp.
21,761,000
1,207
Metropolitan
Bank
&
Trust
Co.
-
ADR
701,600
604
Monde
Nissin
Corp.(Æ)(Þ)
5,684,800
1,681
SM
Investments
Corp.
19,900
363
8,663
Poland
-
0.6%
Bank
Millennium
SA(Æ)
1,350,714
1,729
Bank
Pekao
SA
208,964
5,097
CD
Projekt
SA
13,274
637
Cyfrowy
Polsat
SA
68,324
606
KGHM
Polska
Miedz
SA
58,793
2,970
PGE
Polska
Grupa
Energetyczna
SA(Æ)
728,361
1,641
Polski
Koncern
Naftowy
ORLEN
SA
32,559
617
Polskie
Gornictwo
Naftowe
i
Gazownictwo
SA
259,718
424
Powszechna
Kasa
Oszczednosci
Bank
Polski
SA(Æ)
118,891
1,167
Santander
Bank
Polska
SA
15,180
1,010
15,898
Portugal
-
0.0%
Energias
de
Portugal
SA
55,699
289
Russia
-
1.4%
Gazprom
PJSC
377,058
1,469
Gazprom
PJSC
-
ADR
334,362
2,603
Lukoil
PJSC
82,814
7,116
Lukoil
PJSC
-
ADR
10,868
931
Russell
Investment
Company
Tax-Managed
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
84
Tax-Managed
International
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Novatek
PJSC
-
GDR
5,629
1,252
Novolipetsk
Steel
PJSC
-
GDR
19,476
684
Polyus
PJSC
-
GDR
22,942
2,211
Rosneft
Oil
Co.
PJSC
478,377
3,552
Sberbank
of
Russia
PJSC
1,482,749
6,211
Sberbank
of
Russia
PJSC
-
ADR
641,201
10,673
Tatneft
PJSC
-
ADR
12,360
493
VEON,
Ltd.(Æ)
779,759
1,365
38,560
Singapore
-
0.6%
CapitaLand,
Ltd.
479,100
1,426
DBS
Group
Holdings,
Ltd.
205,623
4,615
Genting
Singapore,
Ltd.
268,900
161
Jardine
Cycle
&
Carriage,
Ltd.
4,100
62
Oversea-Chinese
Banking
Corp.,
Ltd.
140,495
1,271
Singapore
Exchange,
Ltd.
161,900
1,420
Singapore
Technologies
Engineering,
Ltd.
396,700
1,173
United
Overseas
Bank,
Ltd.
42,300
819
UOL
Group,
Ltd.
128,700
693
Wilmar
International,
Ltd.
1,664,400
5,348
16,988
South
Africa
-
1.5%
Anglo
American
PLC
165,108
7,315
AngloGold
Ashanti,
Ltd.
-
ADR
51,190
1,026
Aspen
Pharmacare
Holdings,
Ltd.
106,119
1,306
Bidvest
Group,
Ltd.
(The)
163,201
2,224
Clicks
Group,
Ltd.
37,166
672
Discovery
Holdings,
Ltd.(Æ)
50,418
404
FirstRand,
Ltd.
2,211,486
8,199
Gold
Fields,
Ltd.
-
ADR
389,243
3,822
Harmony
Gold
Mining
Co.,
Ltd.
402,029
1,647
Impala
Platinum
Holdings,
Ltd.
37,548
677
MTN
Group,
Ltd.(Æ)
189,397
1,361
Northam
Platinum,
Ltd.(Æ)
87,830
1,385
Old
Mutual,
Ltd.
21,868
19
Pick
n
Pay
Stores,
Ltd.
142,378
507
Sibanye
Stillwater,
Ltd.
2,005,286
8,726
Thungela
Resources,
Ltd.(Æ)
13,250
41
Tiger
Brands,
Ltd.
36,079
475
39,806
South
Korea
-
5.6%
BNK
Financial
Group,
Inc.
109,729
738
CJ
Logistics
Corp.(Æ)
2,716
416
CLIO
Cosmetics
Co.,
Ltd.
18,351
356
Coway
Co.,
Ltd.
12,443
929
Daewoo
Engineering
&
Construction
Co.,
Ltd.(Æ)
220,752
1,436
Fila
Holdings
Corp.
19,328
880
Hana
Financial
Group,
Inc.
177,203
6,693
Hankook
Tire
&
Technology
Co.,
Ltd.
53,122
2,237
Hanon
Systems
40,874
555
Hyundai
Department
Store
Co.,
Ltd.
10,518
733
Hyundai
Engineering
&
Construction
Co.,
Ltd.
13,169
628
Hyundai
Motor
Co.
25,700
4,885
Industrial
Bank
of
Korea
10,045
90
KB
Financial
Group,
Inc.
288,067
12,796
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Kia
Motors
Corp.
93,614
6,825
Korea
Aerospace
Industries,
Ltd.
1,345
38
Korea
Electric
Power
Corp.
58,444
1,267
Korea
Gas
Corp.(Æ)
31,733
995
KT
Corp.
-
ADR
269,767
3,882
KT&G
Corp.
6,567
470
Kumho
Petrochemical
Co.,
Ltd.
8,981
1,593
LG
Chem
,
Ltd.
8,738
6,408
LG
Electronics,
Inc.
Class
H
16,667
2,290
LG
Household
&
Health
Care,
Ltd.
5,127
6,510
LG
Uplus
Corp.
35,871
454
NAVER
Corp.
20,807
7,857
NCSoft
Corp.
4,524
3,242
Netmarble
Corp.(Þ)
4,996
603
Ottogi
Corp.
741
348
Pearl
Abyss
Corp.(Æ)
13,380
865
POSCO
36,498
11,587
Samsung
Biologics
Co.,
Ltd.(Æ)(Þ)
3,890
3,013
Samsung
Electro-Mechanics
Co.,
Ltd.
30,822
5,162
Samsung
Electronics
Co.,
Ltd.
413,273
28,260
Samsung
Engineering
Co.,
Ltd.(Æ)
81,362
1,657
Seegene
,
Inc.
19,052
1,159
Shinhan
Financial
Group
Co.,
Ltd.
283,503
9,641
SK
Hynix,
Inc.
117,851
11,593
SK
Telecom
Co.,
Ltd.
3,477
910
150,001
Spain
-
1.1%
Abertis
Infraestructuras
SA(Æ)(Š)
27,820
160
Aena
SME
SA(Æ)(Þ)
2,813
448
Amadeus
IT
Group
SA
Class
A(Æ)
51,969
3,402
Banco
Santander
SA
-
ADR
452,034
1,654
Bankinter
SA
47,357
258
CaixaBank
SA
1,862,722
5,538
Cellnex
Telecom
SA(Þ)
129,661
8,449
Endesa
SA
-
ADR
64,674
1,574
Ferrovial
SA
3,241
96
Iberdrola
SA
97,607
1,177
Industria
de
Diseno
Textil
SA
117,223
3,977
Linea
Directa
Aseguradora
SA
47,357
96
Red
Electrica
Corp.
SA
96,947
1,918
28,747
Sweden
-
1.2%
Assa
Abloy
AB
Class
B
100,972
3,238
Atlas
Copco
AB(Æ)
20,626
1,396
Boliden
AB(Æ)
44,225
1,726
Essity
Aktiebolag
Class
B
19,788
647
Kinnevik
AB
Class
B(Æ)
49,339
2,152
L
E
Lundbergforetagen
AB
Class
B
17,474
1,248
Loomis
AB
13,196
442
Sandvik
AB
341,055
8,884
Securitas
AB
Class
B
52,827
931
Skandinaviska
Enskilda
Banken
AB
Class
A
112,699
1,523
Skanska
AB
Class
B
25,741
726
Svenska
Cellulosa
AB
SCA
Class
B
32,919
612
Svenska
Handelsbanken
AB
Class
A
128,227
1,448
Swedbank
AB
Class
A
31,782
619
Swedish
Match
AB
442,840
3,965
Telefonaktiebolaget
LM
Ericsson
Class
B
196,074
2,261
Russell
Investment
Company
Tax-Managed
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
International
Equity
Fund
85
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Volvo
AB
Class
B
22,016
519
32,337
Switzerland
-
5.9%
ABB,
Ltd.
120,601
4,409
Adecco
Group
AG
104,966
6,288
Alcon,
Inc.
21,038
1,532
Baloise
Holding
AG
6,483
1,024
Chocoladefabriken
Lindt
&
Spruengli
AG
63
1,231
Cie
Financiere
Richemont
SA
Class
A
14,031
1,797
Credit
Suisse
Group
AG
Class
A
255,019
2,563
Geberit
AG
1,645
1,351
Georg
Fischer
AG
174
282
Givaudan
SA
273
1,363
Julius
Baer
Group,
Ltd.
91,207
6,034
Kuehne
&
Nagel
International
AG
5,614
1,894
LafargeHolcim
,
Ltd.(Æ)
102,916
6,033
Lonza
Group
AG
3,947
3,072
Nestle
SA
235,330
29,818
Novartis
AG
170,329
15,755
Partners
Group
Holding
AG
7,156
12,234
Roche
Holding
AG
55,698
21,539
Schindler
Holding
AG
4,955
1,586
SGS
SA
994
3,220
Sika
AG
3,360
1,183
STMicroelectronics
NV
44,447
1,820
Swiss
Life
Holding
AG
1,577
815
Swiss
Prime
Site
AG
Class
A
134
14
Swiss
Re
AG
32,294
2,923
Swisscom
AG
4,883
2,938
Temenos
AG
38,270
6,083
UBS
Group
AG
922,636
15,213
Zurich
Insurance
Group
AG
9,970
4,019
158,033
Taiwan
-
5.7%
Advantech
Co.,
Ltd.
36,000
469
Asustek
Computer,
Inc.
64,340
807
Catcher
Technology
Co.,
Ltd.
194,000
1,283
Cathay
Financial
Holding
Co.,
Ltd.
388,000
753
Chang
Hwa
Commercial
Bank,
Ltd.
712,030
422
China
Airlines,
Ltd.(Æ)
2,520,000
1,562
China
Development
Financial
Holding
Corp.
1,469,520
743
China
Life
Insurance
Co.,
Ltd.
1,107,896
1,045
China
Steel
Corp.
Class
H
765,001
994
Chunghwa
Telecom
Co.,
Ltd.
206,590
853
Chunghwa
Telecom
Co.,
Ltd.
-
ADR
11,428
474
Compal
Electronics,
Inc.
838,482
649
CTBC
Financial
Holding
Co.,
Ltd.
1,604,000
1,312
E.Sun
Financial
Holding
Co.,
Ltd.
984,954
935
Eva
Airways
Corp.
1,248,718
820
Evergreen
Marine
Corp.
Taiwan,
Ltd.(Æ)
650,876
3,107
First
Financial
Holding
Co.,
Ltd.
501,424
408
Formosa
Petrochemical
Corp.
226,000
786
Formosa
Plastics
Corp.
182,651
656
Fubon
Financial
Holding
Co.,
Ltd.
1,779,000
4,779
Globalwafers
Co.,
Ltd.
99,847
3,023
Hiwin
Technologies
Corp.
142,501
1,635
Hon
Hai
Precision
Industry
Co.,
Ltd.
2,343,101
9,253
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Hon
Hai
Precision
Industry
Co.,
Ltd.
-
GDR
19,317
153
Hua
Nan
Financial
Holdings
Co.,
Ltd.
1,138,802
787
Innolux
Corp.
2,421,586
1,609
International
Games
System
Co.,
Ltd.
85,000
2,650
King
Yuan
Electronics
Co.,
Ltd.(Æ)
1,407,000
2,342
Largan
Precision
Co.,
Ltd.
7,421
780
Lite-On
Technology
Corp.
292,126
671
MediaTek
,
Inc.
326,629
10,621
Mega
Financial
Holding
Co.,
Ltd.
636,000
753
Nan
Ya
Plastics
Corp.
304,000
948
Nanya
Technology
Corp.
2,001,000
5,192
Pou
Chen
Corp.
Class
B
392,000
495
President
Chain
Store
Corp.
43,490
437
Realtek
Semiconductor
Corp.
65,588
1,382
Ruentex
Development
Co.,
Ltd.
675,917
1,511
Shin
Kong
Financial
Holding
Co.,
Ltd.
5,091,011
1,668
SinoPac
Financial
Holdings
Co.,
Ltd.
1,198,000
602
Synnex
Technology
International
Corp.
301,773
572
Taishin
Financial
Holding
Co.,
Ltd.
821,000
498
Taiwan
Business
Bank
1,750,191
594
Taiwan
Cooperative
Financial
Holding
Co.,
Ltd.
1,337,398
1,045
Taiwan
High
Speed
Rail
Corp.
78,267
85
Taiwan
Semiconductor
Manufacturing
Co.,
Ltd.
2,500,042
52,058
Taiwan
Semiconductor
Manufacturing
Co.,
Ltd.
-
ADR
142,744
16,650
Uni
-President
Enterprises
Corp.
165,000
432
United
Microelectronics
Corp.
3,708,000
7,713
Win
Semiconductors
Corp.
59,849
740
WPG
Holdings,
Ltd.
402,308
785
Yageo
Corp.
7,416
149
Yuanta
Financial
Holding
Co.,
Ltd.
1,659,877
1,507
152,197
Thailand
-
0.5%
Advanced
Info
Service
PCL
62,600
342
Bangkok
Commercial
Asset
Management
PCL
4,482,800
2,252
Bangkok
Dusit
Medical
Services
PCL
Class
F
1,728,400
1,184
Bangkok
Expressway
&
Metro
PCL
4,394,100
1,023
CP
ALL
PCL
822,200
1,476
Kasikornbank
PCL
903,200
2,828
Minor
International
PCL(Æ)
1,944,968
1,762
PTT
Global
Chemical
PCL
40,000
69
PTT
PCL
173,000
182
Siam
Cement
PCL
(The)
60,900
768
Thai
Union
Group
PCL
Class
F
231,700
156
12,042
Turkey
-
0.2%
Arcelik
AS
207,287
812
Ford
Otomotiv
Sanayi
AS
36,176
742
Haci
Omer
Sabanci
Holding
AS
670,473
754
KOC
Holding
AS
183,082
446
Turkcell
Iletisim
Hizmetleri
AS
680,333
1,242
3,996
Russell
Investment
Company
Tax-Managed
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
86
Tax-Managed
International
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
United
Arab
Emirates
-
0.2%
Aldar
Properties
PJSC
1,646,273
1,777
Emaar
Properties
PJSC
1,615,413
1,749
Emirates
NBD
Bank
PJSC
231,816
845
Emirates
Telecommunications
Group
Co.
PJSC(Š)
231,251
1,435
5,806
United
Kingdom
-
7.4%
Admiral
Group
PLC
32,679
1,542
Allfunds
Group
PLC(Æ)
72,214
1,270
Antofagasta
PLC
262,523
5,451
Associated
British
Foods
PLC
29,852
832
AstraZeneca
PLC
68,598
7,878
Aviva
PLC
306,602
1,650
Babcock
International
Group
PLC(Æ)
641,020
2,280
BAE
Systems
PLC
508,033
4,066
Bank
of
Georgia
Group
PLC
31,959
666
Barclays
PLC
2,745,379
6,654
Berkeley
Group
Holdings
PLC
19,522
1,314
BP
PLC
948,602
3,803
British
American
Tobacco
PLC
32,133
1,198
British
Land
Co.
PLC
(The)(ö)
210,840
1,495
BT
Group
PLC(Æ)
1,463,411
3,530
Bunzl
PLC
25,073
929
Centrica
PLC(Æ)
3,735,528
2,360
Compass
Group
PLC(Æ)
374,974
7,922
Croda
International
PLC(Æ)
10,312
1,207
Diageo
PLC
108,238
5,370
Direct
Line
Insurance
Group
PLC
283,402
1,170
Endeavour
Mining
Corp.
172,203
4,103
Experian
PLC
34,474
1,518
Ferguson
PLC
4,011
562
GlaxoSmithKline
PLC
-
ADR
53,135
1,050
Halma
PLC
32,461
1,303
HSBC
Holdings
PLC
1,510,076
8,335
InterContinental
Hotels
Group
PLC(Æ)
16,324
1,078
Intertek
Group
PLC
16,050
1,150
J
Sainsbury
PLC
3,766,647
14,827
John
Wood
Group
PLC(Æ)
1,798,564
5,446
Johnson
Matthey
PLC
38,854
1,604
Kingfisher
PLC
1,011,123
5,176
Land
Securities
Group
PLC(ö)
144,710
1,426
Linde
PLC
39,701
12,163
Lloyds
Banking
Group
PLC
1,069,450
678
London
Stock
Exchange
Group
PLC
6,042
629
Marks
&
Spencer
Group
PLC(Æ)
517,558
974
Meggitt
PLC(Æ)
11,943
78
Mondi
PLC
41,477
1,150
National
Grid
PLC
19,682
252
Natwest
Group
PLC
1,723,073
4,844
Pearson
PLC
62,098
749
Persimmon
PLC
Class
A
16,203
654
Prudential
PLC
41,633
783
Reckitt
Benckiser
Group
PLC
15,072
1,157
RELX
PLC
80,443
2,368
Rentokil
Initial
PLC
89,370
704
Segro
PLC(ö)
184,736
3,126
Smith
&
Nephew
PLC
132,397
2,699
Smiths
Group
PLC
33,668
727
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Spirax-Sarco
Engineering
PLC
12,289
2,563
Standard
Chartered
PLC
1,263,972
7,572
Stock
Spirits
Group
PLC
136,928
489
Taylor
Wimpey
PLC
178,234
407
TechnipFMC
PLC(Æ)
324,733
2,345
Tesco
PLC
2,158,677
6,988
Travis
Perkins
PLC(Æ)
382,692
9,053
Tullow
Oil
PLC(Æ)
4,411,833
2,747
Unilever
PLC
188,378
10,847
Vodafone
Group
PLC
2,616,108
4,196
Wausau
Paper
Corp.
360,990
4,673
Wickes
Group
PLC(Æ)
428,811
1,493
197,273
United
States
-
1.4%
Abbott
Laboratories
1,667
202
Accenture
PLC
Class
A
35,551
11,293
Amdocs,
Ltd.
82,039
6,326
Aon
PLC
Class
A
34,925
9,081
James
Hardie
Industries
PLC
62,720
2,114
Lululemon
Athletica
,
Inc.(Æ)
9,280
3,714
MasterCard,
Inc.
Class
A
1,606
620
Ovintiv
,
Inc.
55,295
1,421
Visa,
Inc.
Class
A
1,936
477
Willis
Towers
Watson
PLC(Æ)
5,777
1,191
36,439
Total
Common
Stocks
(cost
$1,770,560)
2,469,177
Preferred
Stocks
-
2.4%
Brazil
-
0.8%
Banco
Bradesco
SA
5.085%
(Ÿ)
1,953,087
9,094
Petroleo
Brasileiro
SA
9.033%
(Ÿ)
2,294,931
11,857
20,951
Germany
-
0.9%
Henkel
AG
&
Co.
KGaA
2.229%
(Ÿ)
1,912
194
Porsche
Automobil
Holding
SE
2.688%
(Ÿ)
39,018
4,224
Sartorius
AG
0.125%
(Ÿ)
8,782
5,312
Volkswagen
AG
2.520%
(Ÿ)
56,335
13,748
23,478
South
Korea
-
0.7%
Samsung
Electronics
Co.,
Ltd.
4.399%
(Ÿ)
326,589
20,501
Total
Preferred
Stocks
(cost
$44,286)
64,930
Long-Term
Investments
-
0.0%
India
-
0.0%
Britannia
Industries,
Ltd.
5.500%
due
08/28/22
INR
682
9
Russell
Investment
Company
Tax-Managed
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
International
Equity
Fund
87
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
8.000%
due
08/28/22
INR
705
3
12
Total
Long-Term
Investments
(cost
$19)
12
Warrants
and
Rights
-
0.0%
Switzerland
-
0.0%
Cie
Financiere
Richemont
SA
(Æ)
2023
Warrants 
28,062
20
Thailand
-
0.0%
Minor
International
PCL
(Æ)
2021
Warrants 
95,105
1
Minor
International
PCL
(Æ)
2023
Warrants
62,200
9
Minor
International
PCL
(Æ)
2024
Warrants 
41,016
5
Minor
International
PCL
(Æ)
2024
Warrants
15,353
2
17
Total
Warrants
and
Rights
(cost
$—)
37
Short-Term
Investments
-
2.7%
United
States
-
2.7%
U.S.
Cash
Management
Fund(@)
71,792,832
(∞)
71,778
Total
Short-Term
Investments
(cost
$71,778)
71,778
Total
Investments
-
97.6%
(identified
cost
$1,886,643)
2,605,934
Other
Assets
and
Liabilities,
Net
-
2.4%
65,419
Net
Assets
-
100.0%
2,671,353
Russell
Investment
Company
Tax-Managed
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
88
Tax-Managed
International
Equity
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
3.2%
ABN
AMRO
Bank
NV
09/10/20
EUR
270,263
9
.42
2,545
3,140
Adyen
NV
09/10/20
EUR
1,034
1,965
.49
2,032
2,815
Aena
SME
SA
03/17/20
EUR
2,813
107
.08
301
448
Amundi
SA
02/26/19
EUR
71,702
64
.80
4,646
6,631
Cellnex
Telecom
SA
04/18/19
EUR
129,661
53
.14
6,890
8,449
CGN
Power
Co.,
Ltd.
09/11/20
HKD
1,529,212
0
.21
321
331
China
Bohai
Bank
Co.,
Ltd.
07/20/21
HKD
5,592,500
0
.38
2,101
2,183
China
Huarong
Asset
Management
Co.,
Ltd.
03/25/21
HKD
16,079,000
0
.13
2,063
2,110
China
Tower
Corp.,
Ltd.
07/20/21
HKD
9,458,000
0
.14
1,286
1,254
Covestro
AG
03/17/20
EUR
147,881
34
.44
5,093
9,517
Delivery
Hero
SE
09/26/19
EUR
46,612
55
.15
2,571
6,980
Hapvida
Participacoes
e
Investimentos
SA
04/18/19
BRL
105,525
1
.43
150
288
Hydro
One,
Ltd.
04/18/19
CAD
32,728
16
.10
527
808
ICICI
Lombard
General
Insurance
Co.,
Ltd.
12/12/18
INR
164,714
16
.02
2,638
3,267
InterGlobe
Aviation,
Ltd.
03/25/21
INR
98,346
23
.73
2,333
2,178
Kuaishou
Technology
03/25/21
HKD
122,700
28
.58
3,506
1,741
Longfor
Group
Holdings,
Ltd.
01/18/19
HKD
146,500
2
.91
427
685
Luye
Pharma
Group,
Ltd.
04/28/20
HKD
1,637,501
0
.49
803
882
Meituan-Dianping
01/13/20
HKD
359,613
28
.09
10,100
9,967
Midea
Real
Estate
Holding,
Ltd.
06/22/21
HKD
667,600
2
.12
1,417
1,128
Monde
Nissin
Corp.
06/22/21
PHP
5,684,800
0
.31
1,758
1,681
Moneta
Money
Bank
AS
12/21/20
CZK
390,994
3
.11
1,215
1,590
Netmarble
Corp.
04/28/20
KRW
4,996
76
.55
382
603
Pirelli
&
C
SpA
04/28/20
EUR
162,449
3
.74
607
983
Postal
Savings
Bank
of
China
Co.,
Ltd.
01/18/19
HKD
541,001
0
.54
290
350
Reliance
Industries,
Ltd.
06/03/15
78,033
14
.13
1,102
4,314
Samsung
Biologics
Co.,
Ltd.
12/02/20
KRW
3,890
662
.88
2,579
3,013
Siemens
Healthineers
AG
12/21/20
EUR
17,361
50
.00
868
1,147
Sunac
Services
Holdings,
Ltd.
11/03/20
HKD
3,953
1
.50
6
11
WH
Group,
Ltd.
10/26/15
HKD
2,724,614
0
.73
1,986
2,260
Worldline
SA
03/25/21
EUR
29,768
89
.73
2,671
2,786
Zalando
SE
09/10/20
EUR
29,188
102
.79
3,000
3,247
86,787
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
Amsterdam
Index
Futures
62
EUR
9,315
08/21
178
Australian
Dollar
Currency
Futures
619
USD
45,410
09/21
(2,492)
British
Pound
Currency
Futures
283
USD
24,573
09/21
(401)
CAC40
Euro
Index
Futures
381
EUR
25,182
08/21
311
Canadian
Dollar
Currency
Futures
639
USD
51,203
09/21
(1,611)
DAX
Index
Futures
50
EUR
19,436
09/21
(257)
Euro
Currency
Futures
425
USD
63,038
09/21
(1,820)
EURO
STOXX
50
Index
Futures
362
EUR
14,799
09/21
(141)
FTSE
100
Index
Futures
177
GBP
12,331
09/21
(312)
FTSE/MIB
Index
Futures
46
EUR
5,832
09/21
(40)
IBEX
35
Index
Futures
63
EUR
5,465
08/21
(12)
Japnese
Yen
Currency
Futures
1,049
USD
119,501
09/21
(531)
Russell
Investment
Company
Tax-Managed
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
International
Equity
Fund
89
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
New
Zealand
Dollar
Currency
Futures
45
USD
3,133
09/21
(96)
Norwegian
Krone
Currency
Futures
93
USD
21,061
09/21
(1,417)
OMXS30
Index
Futures
288
SEK
68,263
08/21
83
S&P/TSX
60
Index
Futures
149
CAD
36,130
09/21
290
SPI
200
Index
Futures
306
AUD
55,845
09/21
72
TOPIX
Index
Futures
527
JPY
10,039,349
09/21
(2,467)
Short
Positions
Hang
Seng
Index
Futures
49
HKD
63,448
08/21
44
MSCI
Emerging
Markets
Index
Futures
2,108
USD
134,670
09/21
8,270
MSCI
Singapore
Index
Futures
111
SGD
4,005
08/21
(50)
S&P
500
E-Mini
Index
Futures
442
USD
97,007
09/21
(3,486)
Swiss
Franc
Currency
Futures
190
USD
26,234
09/21
352
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
(5,533)
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
USD
368
HKD
2,863
08/02/21
Bank
of
America
USD
366
HKD
2,845
08/03/21
State
Street
USD
326
PHP
16,389
08/02/21
2
Total
Unrealized
Appreciation
(Depreciation)
on
Open
Foreign
Currency
Exchange
Contracts
2
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
Common
Stocks
Argentina
$
3,067
$
$
$
$
3,067
Australia
141
60,637
60,778
Austria
6,825
6,825
Belgium
7,569
7,569
Bermuda
1,229
1,229
Brazil
32,713
32,713
Canada
127,395
127,395
Chile
10,571
10,571
China
20,103
218,612
2,110
240,825
Cyprus
84
84
Czech
Republic
2,485
2,485
Denmark
28,390
28,390
Finland
34,946
34,946
France
163,008
163,008
Germany
283
89,772
90,055
Greece
8,387
8,387
Hong
Kong
66,936
66,936
Hungary
3,926
3,926
Russell
Investment
Company
Tax-Managed
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
90
Tax-Managed
International
Equity
Fund
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
India
6,109
91,269
1,051
98,429
Indonesia
12,924
12,924
Ireland
12,118
21,298
33,416
Isle
of
Man
2,347
2,347
Israel
294
3,570
3,864
Italy
34,202
34,202
Japan
310,605
310,605
Jersey
3,003
3,003
Kazakhstan
3,295
3,295
Kenya
2,556
2,556
Luxembourg
847
23,546
24,393
Malaysia
8,333
8,333
Mexico
32,004
32,004
Netherlands
9,389
82,265
91,654
New
Zealand
9,764
9,764
Norway
786
11,194
11,980
Peru
144
144
Philippines
1,681
6,982
8,663
Poland
15,898
15,898
Portugal
289
289
Russia
1,365
37,195
38,560
Singapore
16,988
16,988
South
Africa
4,889
34,917
39,806
South
Korea
3,882
146,119
150,001
Spain
28,587
160
28,747
Sweden
32,337
32,337
Switzerland
158,033
158,033
Taiwan
17,124
135,073
152,197
Thailand
12,042
12,042
Turkey
3,996
3,996
United
Arab
Emirates
4,371
1,435
5,806
United
Kingdom
6,448
190,825
197,273
United
States
34,325
2,114
36,439
Preferred
Stocks
20,951
43,979
64,930
Long-Term
Investments
12
12
Warrants
and
Rights
37
37
Short-Term
Investments
71,778
71,778
Total
Investments
346,666
2,182,734
4,756
71,778
2,605,934
Other
Financial
Instruments
Assets
Futures
Contracts
9,600
9,600
Foreign
Currency
Exchange
Contracts
2
2
Russell
Investment
Company
Tax-Managed
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
International
Equity
Fund
91
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
Liabilities
Futures
Contracts
(15,133)
(15,133
)
Total
Other
Financial
Instruments
*
$
(5,531)
$
$
$
$
(5,531
)
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Amounts
in
thousands
Sector
Exposure
Fair
Value
$
Common
Stocks
Consumer
Discretionary
..........................................................
338,852
Consumer
Staples
...................................................................
147,115
Energy
....................................................................................
137,334
Financial
Services
...................................................................
608,006
Health
Care
.............................................................................
156,695
Materials
and
Processing
........................................................
308,942
Producer
Durables
..................................................................
272,426
Technology
..............................................................................
398,378
Utilities
...................................................................................
101,429
Preferred
Stocks
Consumer
Discretionary
..........................................................
17,972
Consumer
Staples
...................................................................
194
Energy
....................................................................................
11,857
Financial
Services
...................................................................
9,094
Technology
..............................................................................
25,813
Long-Term
Investments
.................................................................
12
Warrants
and
Rights
....................................................................
37
Short-Term
Investments
................................................................
71,778
Total
Investments
....................................................................
2,605,934
Russell
Investment
Company
Tax-Managed
Real
Assets
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
92
Tax-Managed
Real
Assets
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Common
Stocks
-
95.9%
Australia
-
4.3%
Atlas
Arteria,
Ltd.
66,546
307
Aurizon
Holdings,
Ltd.
858,901
2,440
BHP
Group
PLC
44,197
1,435
BHP
Group,
Ltd.
-
ADR
79,355
3,110
Fortescue
Metals
Group,
Ltd.
145,023
2,663
Mineral
Resources,
Ltd.
51,111
2,377
Newcrest
Mining,
Ltd.
24,177
471
Perenti
Global,
Ltd.
398,302
267
Qube
Holdings,
Ltd.
380,496
817
Rio
Tinto,
Ltd.
-
ADR
5,058
498
Sandfire
Resources,
Ltd.
211,728
1,081
South32,
Ltd.
Class
B
440,322
964
Sydney
Airport(Æ)
366,906
2,107
Transurban
Group
-
ADR(Æ)
1,162,923
12,237
Western
Areas,
Ltd.
119,545
230
31,004
Austria
-
0.2%
OMV
AB
32,632
1,761
Bermuda
-
0.1%
BW
Energy,
Ltd.(Æ)
182
1
China
Water
Affairs
Group,
Ltd.
415,320
313
Kunlun
Energy
Co.,
Ltd.
442,000
382
696
Brazil
-
1.2%
Adecoagro
SA(Æ)
179,457
1,715
CCR
SA
786,736
1,964
Cia
Energetica
de
Minas
Gerais
-
ADR
133,673
299
Petroleo
Brasileiro
SA
372,886
1,969
Petroleo
Brasileiro
SA
-
ADR
18,545
198
Sao
Martinho
SA
194,006
1,195
Ultrapar
Participacoes
SA
-
ADR
94,146
322
Vale
SA
Class
B
-
ADR
65,701
1,381
9,043
Canada
-
4.9%
Agnico
Eagle
Mines,
Ltd.
6,480
419
Anaergia
,
Inc.(Æ)
47,667
693
ARC
Resources,
Ltd.
111,946
847
Barrick
Gold
Corp.
42,872
933
Canadian
Natural
Resources,
Ltd.
9,372
309
Canadian
Solar,
Inc.(Æ)
34,514
1,389
Emera
,
Inc.
49,011
2,286
Enbridge,
Inc.
145,827
5,748
Enerflex
,
Ltd.
88,543
514
Franco-Nevada
Corp.
Class
T
9,445
1,511
Gibson
Energy,
Inc.
103
2
Imperial
Oil,
Ltd.
18,672
512
Ivanhoe
Mines,
Ltd.
Class
A(Æ)
312,964
2,323
Kirkland
Lake
Gold,
Ltd.(Æ)
8,181
350
Largo
Resources,
Ltd.(Æ)
100,814
1,648
Nutrien
,
Ltd.
33,198
1,974
Pembina
Pipeline
Corp.
197,683
6,535
Suncor
Energy,
Inc.
22,490
443
TC
Energy
Corp.(Æ)
103,783
5,059
Teck
Resources,
Ltd.
Class
B
24,544
560
Westshore
Terminals
Investment
Corp.
36,169
624
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Wheaton
Precious
Metals
Corp.
18,409
851
35,530
Chile
-
0.2%
Sociedad
Quimica
y
Minera
de
Chile
SA
-
ADR
37,910
1,801
China
-
1.1%
China
Gas
Holdings,
Ltd.
1,005,143
3,118
COSCO
SHIPPING
Ports,
Ltd.
409,093
292
ENN
Energy
Holdings,
Ltd.
58,212
1,220
Jiangsu
Expressway
Co.,
Ltd.
Class
H
2,674,654
2,858
Zhejiang
Expressway
Co.,
Ltd.
Class
H
340,000
287
7,775
Colombia
-
0.0%
Ecopetrol
SA
-
ADR
8,955
121
Cyprus
-
0.1%
Ros
Agro
PLC
-
GDR
66,112
964
Denmark
-
0.3%
Drilling
Co.
of
1972
A/S
(The)(Æ)
14,410
556
Vestas
Wind
Systems
A/S
35,070
1,293
1,849
Finland
-
0.5%
Neste
OYJ
22,833
1,405
Stora
Enso
OYJ
Class
R
20,738
410
UPM-
Kymmene
OYJ
38,787
1,586
3,401
France
-
3.4%
Aeroports
de
Paris(Æ)
37,448
4,543
Eiffage
SA
21,359
2,176
Engie
SA
66,577
888
Eramet
SA(Æ)
2,144
171
Gaztransport
Et
Technigaz
SA
130
10
Getlink
SE
346,111
5,541
Rubis
SCA
68,937
2,765
Suez
SA
37,980
887
Total
SA
68,602
2,991
Veolia
Environnement
SA
12,373
407
Vilmorin
&
Cie
SA
11,761
791
Vinci
SA
32,254
3,411
24,581
Germany
-
0.4%
E.ON
SE
30,071
370
Fraport
AG
Frankfurt
Airport
Services
Worldwide(Æ)
15,679
1,033
Hamburger
Hafen
und
Logistik
AG
8,852
210
K+S
AG(Æ)
71,840
1,031
ThyssenKrupp
AG
-
ADR(Æ)
8,043
80
2,724
Ghana
-
0.6%
Kosmos
Energy,
Ltd.(Æ)
1,777,235
4,105
Hong
Kong
-
0.7%
China
Merchants
Port
Holdings
Co.,
Ltd.
250,088
349
China
Resources
Gas
Group,
Ltd.
98,001
604
Russell
Investment
Company
Tax-Managed
Real
Assets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
Real
Assets
Fund
93
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
CLP
Holdings,
Ltd.
181,548
1,873
Guangdong
Investment,
Ltd.
1,105,290
1,549
Nine
Dragons
Paper
Holdings,
Ltd.
172,585
218
Shenzhen
International
Holdings,
Ltd.
457,210
604
5,197
Hungary
-
0.3%
MOL
Hungarian
Oil
&
Gas
PLC(Æ)
244,503
1,948
India
-
0.4%
Reliance
Industries,
Ltd.
-
GDR(Þ)
16,120
891
Vedanta,
Ltd.
-
ADR
134,675
2,159
3,050
Ireland
-
0.2%
Smurfit
Kappa
Group
PLC
21,704
1,224
Israel
-
0.3%
Equital
,
Ltd.(Æ)
7,253
193
ICL
Group,
Ltd.
80,378
584
Israel
Corp.,
Ltd.
(The)(Æ)
4,758
1,511
Naphtha
Israel
Petroleum
Corp.,
Ltd.(Æ)
56,274
259
2,547
Italy
-
1.9%
Atlantia
SpA
(Æ)
545,702
9,916
Enav
SpA
(Æ)(Þ)
100,966
467
Enel
SpA
128,291
1,185
Eni
SpA
-
ADR
15,138
179
Hera
SpA
175,229
746
Infrastrutture
Wireless
Italiane
SpA
(Þ)
148,532
1,681
14,174
Japan
-
0.7%
East
Japan
Railway
Co.
4,600
307
Ebara
Corp.
28,800
1,426
Hitachi
Zosen
Corp.
2,500
18
Inpex
Corp.
53,700
379
Japan
Airport
Terminal
Co.,
Ltd.(Æ)
2,700
117
Japan
Petroleum
Exploration
Co.,
Ltd.
21,500
356
JFE
Holdings,
Inc.
5,600
69
Kubota
Corp.
15,000
313
Nippon
Steel
Corp.
30,000
524
Nittetsu
Mining
Co.,
Ltd.
4,500
248
Sumitomo
Metal
Mining
Co.,
Ltd.
21,500
876
Takuma
Co.,
Ltd.
14,600
234
West
Japan
Railway
Co.
800
43
4,910
Jersey
-
0.8%
Amcor
PLC
109,223
1,264
Glencore
PLC(Æ)
994,653
4,470
5,734
Luxembourg
-
0.3%
ArcelorMittal
SA(Æ)
37,979
1,326
Corp.
America
Airports
SA(Æ)
98,028
546
1,872
Mexico
-
1.6%
Grupo
Aeroportuario
del
Centro
Norte
SAB
de
CV
-
ADR(Æ)
12,505
612
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Grupo
Aeroportuario
del
Pacifico
SAB
de
CV
-
ADR(Æ)
11,308
1,297
Grupo
Aeroportuario
del
Sureste
SAB
de
CV
Class
B
303,166
5,507
Grupo
Aeroportuario
del
Sureste
SAB
de
CV
-
ADR(Æ)
4,011
727
Grupo
Mexico
SAB
de
CV
558,631
2,560
Infraestuctura
Energetica
Nova
SAB
de
CV(Æ)
167,097
660
Promotora
y
Operadora
de
Infraestructura
SAB
de
CV
82,682
624
11,987
Netherlands
-
1.2%
OCI
NV(Æ)
3,438
84
Royal
Dutch
Shell
PLC
Class
A
190,792
3,828
Royal
Dutch
Shell
PLC
Class
B
237,457
4,686
8,598
New
Zealand
-
0.4%
Auckland
International
Airport,
Ltd.(Æ)
631,030
3,189
Norway
-
0.5%
Austevoll
Seafood
ASA
94,261
1,189
Borregaard
ASA
-
ADR
22,679
590
BW
Offshore,
Ltd.(Æ)
50,269
171
DNO
ASA(Æ)
659,139
625
Equinor
ASA
Class
N
57,663
1,128
3,703
Poland
-
0.2%
Polskie
Gornictwo
Naftowe
i
Gazownictwo
SA
782,341
1,277
Russia
-
1.6%
Gazprom
Neft
PJSC
138,626
806
Gazprom
PJSC
-
ADR
70,374
548
Lukoil
PJSC
-
ADR
38,257
3,279
MMC
Norilsk
Nickel
PJSC
-
ADR
29,664
1,026
Novatek
PJSC
-
GDR
17,528
3,900
PhosAgro
PJSC
-
GDR
35,269
671
Rosneft
Oil
Co.
PJSC
-
GDR
97,843
720
Surgutneftegas
PJSC
-
ADR
2
8
,
079
142
Tatneft
PJSC
-
ADR
16,198
645
11,737
Singapore
-
0.1%
Wilmar
International,
Ltd.
265,000
851
South
Africa
-
0.5%
Anglo
American
PLC
68,844
3,050
Sibanye
Stillwater,
Ltd.
90,868
395
Thungela
Resources,
Ltd.(Æ)
7,364
23
3,468
South
Korea
-
0.3%
Korea
Zinc
Co.,
Ltd.
1,035
493
POSCO
3,313
1,052
Young
Poong
Corp.
760
452
1,997
Russell
Investment
Company
Tax-Managed
Real
Assets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
94
Tax-Managed
Real
Assets
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Spain
-
2.1%
Aena
SME
SA(Æ)(Þ)
79,386
12,644
Iberdrola
SA
120,281
1,449
Repsol
SA
-
ADR
91,585
1,001
15,094
Sweden
-
0.2%
Svenska
Cellulosa
AB
SCA
Class
B
94,077
1,750
Switzerland
-
0.9%
Flughafen
Zurich
AG(Æ)
31,088
4,997
Gurit
Holding
AG
316
715
SIG
Combibloc
Group
AG(Æ)
18,348
542
6,254
Thailand
-
0.2%
PTT
Exploration
&
Production
PCL
231,000
721
PTT
PCL
493,600
520
1,241
United
Kingdom
-
2.1%
Antofagasta
PLC
29,173
606
BP
PLC
297,464
1,193
Central
Asia
Metals
PLC
45,010
153
EnQuest
PLC(Æ)
1,644,647
554
Ferrexpo
PLC
154,122
1,034
Genuit
Group
PLC
36,210
322
Harbour
Energy
PLC(Æ)
24,648
112
James
Fisher
and
Sons
Public
Ltd.,
Co.(Æ)
16,335
210
John
Wood
Group
PLC(Æ)
168,746
511
Mondi
PLC
38,165
1,058
National
Grid
PLC
195,324
2,499
Petrofac,
Ltd.(Æ)
52,526
75
Scottish
&
Southern
Energy
PLC
219,469
4,407
Severn
Trent
PLC
Class
H
63,142
2,456
15,190
United
States
-
61.1%
Aemetis
,
Inc.(Æ)
20,985
184
AGCO
Corp.
7,682
1,015
Agree
Realty
Corp.(ö)
63,354
4,761
Albemarle
Corp.
3,893
802
Alexander
&
Baldwin,
Inc.
20,622
413
Alexandria
Real
Estate
Equities,
Inc.(ö)
22,683
4,567
Alliant
Energy
Corp.
38,123
2,231
Ameresco
,
Inc.
Class
A(Æ)
33,270
2,280
American
Campus
Communities,
Inc.(ö)
36,949
1,859
American
Electric
Power
Co.,
Inc.
10,682
941
American
Homes
4
Rent
Class
A(ö)
184,492
7,749
American
Tower
Corp.(ö)
9,600
2,715
American
Water
Works
Co.,
Inc.
5,961
1,014
Americold
Realty
Trust(ö)
22,890
889
Apartment
Income
REIT
Corp.(ö)
94,708
4,985
Apple
Hospitality
REIT,
Inc.(ö)
232,289
3,473
Archer-Daniels-Midland
Co.
6,233
372
Atmos
Energy
Corp.
11,565
1,140
AvalonBay
Communities,
Inc.(ö)
56,799
12,941
Avery
Dennison
Corp.
2,165
456
Avista
Corp.
7,577
325
Bonanza
Creek
Energy,
Inc.
12,673
488
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Boston
Properties,
Inc.(ö)
56,458
6,627
Brixmor
Property
Group,
Inc.(ö)
34,729
799
Camden
Property
Trust(ö)
8,255
1,233
Centennial
Resource
Development,
Inc.
Class
A(Æ)
20,008
104
CenterPoint
Energy,
Inc.
74,571
1,899
Chatham
Lodging
Trust(Æ)(ö)
15,171
186
Cheniere
Energy,
Inc.(Æ)
69,865
5,934
Chevron
Corp.
11,431
1,164
Clean
Energy
Fuels
Corp.(Æ)
156,660
1,177
CNX
Resources
Corp.(Æ)
22,415
271
ConocoPhillips
Co.
13,303
746
CoreSite
Realty
Corp.
Class
A(ö)
26,881
3,715
Corteva
,
Inc.
21,042
900
Cousins
Properties,
Inc.(ö)
4,864
193
Crown
Castle
International
Corp.(ö)
10,735
2,073
CSX
Corp.
41,556
1,343
CubeSmart
(ö)
15,152
752
CyrusOne
,
Inc.(ö)
60,123
4,285
Darling
Ingredients,
Inc.(Æ)
38,936
2,689
Deere
&
Co.
2,372
858
DiamondRock
Hospitality
Co.(Æ)(ö)
27,431
236
Digital
Realty
Trust,
Inc.(ö)
21,030
3,242
Dominion
Energy,
Inc.
92,469
6,923
Douglas
Emmett,
Inc.(ö)
5,324
178
DT
Midstream,
Inc.
1,317
56
DTE
Energy
Co.
2,635
309
Duke
Energy
Corp.
51,768
5,441
Duke
Realty
Corp.(ö)
39,588
2,014
Easterly
Government
Properties,
Inc.(ö)
9,712
220
EastGroup
Properties,
Inc.(ö)
41,845
7,374
Edison
International
2,654
145
Empire
State
Realty
Trust,
Inc.
Class
A(ö)
296,365
3,387
Enterprise
Products
Partners,
LP
178,419
4,026
EOG
Resources,
Inc.
8,795
641
EPR
Properties(ö)
39,054
1,964
Equinix
,
Inc.(Æ)(ö)
27,950
22,931
Equity
LifeStyle
Properties,
Inc.
Class
A(ö)
30,624
2,566
Equity
Residential(ö)
129,704
10,912
Essential
Properties
Realty
Trust,
Inc.(ö)
187,418
5,585
Essential
Utilities,
Inc.
19,208
943
Essex
Property
Trust,
Inc.(ö)
9,185
3,014
Evergy
,
Inc.
12,229
798
Eversource
Energy(Æ)
49,378
4,260
Exelon
Corp.
100,372
4,697
Extra
Space
Storage,
Inc.(ö)
69,523
12,107
Exxon
Mobil
Corp.
32,569
1,875
Farmland
Partners,
Inc.(ö)
34,149
430
Federal
Realty
Investment
Trust(ö)
2,601
306
First
Industrial
Realty
Trust,
Inc.(ö)
45,496
2,492
First
Solar,
Inc.(Æ)
8,213
707
FirstEnergy
Corp.
49,914
1,913
Five
Star
Senior
Living,
Inc.(Æ)
33,402
190
FMC
Corp.
7,889
844
Freeport-McMoRan,
Inc.
89,952
3,427
Gaming
and
Leisure
Properties,
Inc.(ö)
44,116
2,088
GrafTech
International,
Ltd.
128,236
1,458
Halliburton
Co.
31,579
653
Russell
Investment
Company
Tax-Managed
Real
Assets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
Real
Assets
Fund
95
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Healthcare
Realty
Trust,
Inc.(ö)
9,323
297
Healthpeak
Properties,
Inc.(ö)
24,252
897
Host
Hotels
&
Resorts,
Inc.(Æ)(ö)
56,029
893
Howard
Hughes
Corp.
(The)(Æ)
23,401
2,170
Hudson
Pacific
Properties,
Inc.(ö)
10,463
285
Hyatt
Hotels
Corp.
Class
A(Æ)
14,044
1,122
Independence
Realty
Trust,
Inc.(ö)
12,398
239
International
Paper
Co.
3,165
183
Invitation
Homes,
Inc.(ö)
77,722
3,162
Iron
Mountain,
Inc.(ö)
13,139
575
JBG
Smith
Properties(ö)
22,802
744
Kilroy
Realty
Corp.(ö)
8,121
563
Kimco
Realty
Corp.(ö)
288,551
6,155
Kinder
Morgan,
Inc.
228,476
3,971
Lamar
Advertising
Co.
Class
A(ö)
7,259
774
Laredo
Petroleum,
Inc.(Æ)
14,793
815
Life
Storage,
Inc.(Æ)(ö)
72,259
8,480
Livent
Corp.(Æ)
50,089
977
Macerich
Co.
(The)(ö)
11,901
194
Mack-Cali
Realty
Corp.(Æ)(ö)
26,987
486
Macquarie
Infrastructure
Corp.
21,244
839
Magellan
Midstream
Partners,
LP
55,344
2,579
Magnolia
Oil
&
Gas
Corp.(Æ)
85,219
1,193
Medical
Properties
Trust,
Inc.(ö)
196,035
4,123
MGM
Growth
Properties
LLC
Class
A(ö)
51,360
1,941
Mid-America
Apartment
Communities,
Inc.(ö)
51,467
9,938
Mosaic
Co.
(The)
76,288
2,382
National
Retail
Properties,
Inc.(ö)
2,618
128
NetSTREIT
Corp.(ö)
79,014
2,050
Newmont
Corp.
16,820
1,057
NexPoint
Residential
Trust,
Inc.(ö)
8,444
498
NextEra
Energy,
Inc.
179,441
13,977
NexTier
Oilfield
Solutions,
Inc.(Æ)
92,913
355
NiSource,
Inc.
45,498
1,127
Norfolk
Southern
Corp.
3,128
806
Omega
Healthcare
Investors,
Inc.(ö)
60,838
2,207
ONEOK,
Inc.
11,060
575
Outfront
Media
Capital
LLC
/
Outfront
Media
Capital
Corp.(ö)
8,554
204
Ovintiv
,
Inc.
9,708
250
Paramount
Group,
Inc.(ö)
37,793
369
Park
Hotels
&
Resorts,
Inc.(Æ)(ö)
128,724
2,381
Pebblebrook
Hotel
Trust(ö)
30,168
678
Phillips
66
640
47
Pinnacle
West
Capital
Corp.
9,828
821
Pioneer
Natural
Resources
Co.
3,888
565
PNM
Resources,
Inc.
17,363
839
Portland
General
Electric
Co.
8,886
435
Prologis,
Inc.(ö)
207,091
26,517
ProPetro
Holding
Corp.(Æ)
73,657
556
PS
Business
Parks,
Inc.(ö)
3,276
503
Public
Service
Enterprise
Group,
Inc.
11,268
701
Public
Storage(ö)
11,238
3,512
QTS
Realty
Trust,
Inc.
Class
A(ö)
3,904
303
Rayonier,
Inc.(ö)
12,312
464
Realty
Income
Corp.(ö)
21,690
1,525
Regency
Centers
Corp.(ö)
8,241
539
Renewable
Energy
Group,
Inc.(Æ)
50,950
3,121
Republic
Services,
Inc.
Class
A
28,833
3,413
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Retail
Opportunity
Investments
Corp.(ö)
12,311
218
Retail
Properties
of
America,
Inc.
Class
A(ö)
287,613
3,627
REX
American
Resources
Corp.(Æ)
5,827
478
Rexford
Industrial
Realty,
Inc.(ö)
68,608
4,221
Rexnord
Corp.
13,656
769
RLJ
Lodging
Trust(ö)
28,817
414
Ryman
Hospitality
Properties,
Inc.(Æ)(ö)
32,465
2,490
Sabra
Health
Care
REIT,
Inc.(ö)
77,626
1,443
Safehold
,
Inc.(Æ)
2,644
239
SBA
Communications
Corp.(ö)
9,882
3,370
Select
Energy
Services,
Inc.
Class
A(Æ)
53,353
317
Sempra
Energy
7,298
953
Seritage
Growth
Properties(Æ)(ö)
25,044
397
Simon
Property
Group,
LP(ö)
111,831
14,150
SITE
Centers
Corp.(ö)
25,058
397
SL
Green
Realty
Corp.(ö)
73,815
5,496
SolarEdge
Technologies,
Inc.(Æ)
4,775
1,239
Southern
Co.
(The)
24,837
1,586
Southwestern
Energy
Co.(Æ)
40,314
190
Spirit
Realty
Capital,
Inc.(ö)
25,394
1,275
STAG
Industrial,
Inc.(ö)
45,756
1,891
STORE
Capital
Corp.(ö)
76,137
2,755
Sun
Communities,
Inc.(ö)
52,913
10,377
Sunrun
,
Inc.(Æ)
22,542
1,194
Talos
Energy,
Inc.(Æ)
49,527
572
Terreno
Realty
Corp.(ö)
14,094
963
UDR,
Inc.(ö)
28,253
1,554
UGI
Corp.
32,778
1,507
Union
Pacific
Corp.
4,120
901
Ventas,
Inc.(ö)
96,731
5,783
VEREIT,
Inc.(ö)
6,350
311
VICI
Properties,
Inc.(ö)
250,717
7,820
W&T
Offshore,
Inc.(Æ)
165,536
670
WEC
Energy
Group,
Inc.(Æ)
11,895
1,120
Weingarten
Realty
Investors(ö)
46,176
1,486
Welltower
,
Inc.(ö)
140,989
12,246
Weyerhaeuser
Co.(ö)
54,876
1,851
Williams
Cos.,
Inc.
(The)
46,843
1,174
WP
Carey,
Inc.(ö)
8,005
647
Xcel
Energy,
Inc.
80,121
5,468
442,959
Total
Common
Stocks
(cost
$531,884)
695,306
Preferred
Stocks
-
1.0%
Brazil
-
0.9%
Bradespar
SA
9.586%
(Ÿ)
371,239
5,272
Petroleo
Brasileiro
SA
9.033%
(Ÿ)
238,415
1,231
6,503
Russia
-
0.1%
Tatneft
PJSC
8.037%
(Ÿ)
149,903
937
Total
Preferred
Stocks
(cost
$4,311)
7,440
Russell
Investment
Company
Tax-Managed
Real
Assets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
96
Tax-Managed
Real
Assets
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Short-Term
Investments
-
2.3%
United
States
-
2.3%
U.S.
Cash
Management
Fund(@)
16,417,814
(∞)
16,415
Total
Short-Term
Investments
(cost
$16,415)
16,415
Total
Investments
-
99.2%
(identified
cost
$552,610)
719,161
Other
Assets
and
Liabilities,
Net
-
0.8%
6,077
Net
Assets
-
100.0%
725,238
Russell
Investment
Company
Tax-Managed
Real
Assets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
Real
Assets
Fund
97
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
2.2%
Aena
SME
SA
06/13/19
EUR
79,386
171
.82
13,641
12,644
Enav
SpA
07/28/21
EUR
100,966
4
.67
472
467
Infrastrutture
Wireless
Italiane
SpA
01/06/21
EUR
148,532
11
.59
1,723
1,681
Reliance
Industries,
Ltd.
02/24/21
16,120
57
.71
930
891
15,683
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
S&P
500
E-Mini
Index
Futures
69
USD
15,144
09/21
517
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
517
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
USD
65
GBP
47
08/02/21
Bank
of
America
USD
320
HKD
2,488
08/02/21
Bank
of
America
USD
240
HKD
1,868
08/03/21
Bank
of
America
AUD
1,182
USD
874
08/03/21
6
Royal
Bank
of
Canada
USD
18
GBP
13
08/03/21
Total
Unrealized
Appreciation
(Depreciation)
on
Open
Foreign
Currency
Exchange
Contracts
6
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
Common
Stocks
Australia
$
$
31,004
$
$
$
31,004
Austria
1,761
1,761
Bermuda
696
696
Brazil
9,043
9,043
Canada
35,530
35,530
Chile
1,801
1,801
China
7,775
7,775
Colombia
121
121
Russell
Investment
Company
Tax-Managed
Real
Assets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
98
Tax-Managed
Real
Assets
Fund
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
Cyprus
964
964
Denmark
1,849
1,849
Finland
3,401
3,401
France
24,581
24,581
Germany
2,724
2,724
Ghana
4,105
4,105
Hong
Kong
5,197
5,197
Hungary
1,948
1,948
India
2,159
891
3,050
Ireland
1,224
1,224
Israel
2,547
2,547
Italy
14,174
14,174
Japan
4,910
4,910
Jersey
1,263
4,471
5,734
Luxembourg
545
1,327
1,872
Mexico
11,987
11,987
Netherlands
8,598
8,598
New
Zealand
3,189
3,189
Norway
3,703
3,703
Poland
1,277
1,277
Russia
115
11,622
11,737
Singapore
851
851
South
Africa
23
3,445
3,468
South
Korea
1,997
1,997
Spain
15,094
15,094
Sweden
1,750
1,750
Switzerland
6,254
6,254
Thailand
1,241
1,241
United
Kingdom
15,190
15,190
United
States
442,959
442,959
Preferred
Stocks
6,503
937
7,440
Short-Term
Investments
16,415
16,415
Total
Investments
516,154
186,592
16,415
719,161
Other
Financial
Instruments
Assets
Futures
Contracts
517
517
Foreign
Currency
Exchange
Contracts
6
6
Total
Other
Financial
Instruments
*
$
523
$
$
$
$
523
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
Russell
Investment
Company
Tax-Managed
Real
Assets
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Managed
Real
Assets
Fund
99
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Amounts
in
thousands
Sector
Exposure
Fair
Value
$
Common
Stocks
Consumer
Discretionary
..........................................................
1,122
Consumer
Staples
...................................................................
3,276
Energy
....................................................................................
81,804
Financial
Services
...................................................................
314,475
Health
Care
.............................................................................
190
Materials
and
Processing
........................................................
75,028
Producer
Durables
..................................................................
93,280
Technology
..............................................................................
3,371
Utilities
...................................................................................
122,760
Preferred
Stocks
Energy
....................................................................................
2,168
Financial
Services
...................................................................
5,272
Short-Term
Investments
................................................................
16,415
Total
Investments
....................................................................
719,161
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
100
Opportunistic
Credit
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Long-Term
Fixed
Income
Investments
-
84.9%
Asset-Backed
Securities
-
5.5%
ACE
Securities
Corp.
Mortgage
Loan
Trust
Series
2007-D1
Class
A3
7.250%
due
02/25/38
(~)(Ê)(Þ)
716
681
Affirm
Asset
Securitization
Trust
Series
2021-B
Class
B
1.240%
due
08/15/26
(Þ)
1,050
1,050
CLI
Funding
VI
LLC
Series
2020-1A
Class
A
2.080%
due
09/18/45
(Þ)
907
916
Commonbond
Student
Loan
Trust
Series
2017-AGS
Class
C
5.280%
due
05/25/41
(Þ)
82
85
Series
2020-AGS
Class
A
1.980%
due
08/25/50
(Þ)
393
400
Series
2020-AGS
Class
B
3.160%
due
08/25/50
(Þ)
150
153
Series
2021-AGS
Class
B
1.400%
due
03/25/52
(Þ)
1,000
1,001
DB
Master
Finance
LLC
Series
2019-1A
Class
A23
4.352%
due
05/20/49
(Þ)
393
433
Series
2019-1A
Class
A2II
4.021%
due
05/20/49
(Þ)
197
207
Domino's
Pizza
Master
Issuer
LLC
Series
2019-1A
Class
A2
3.668%
due
10/25/49
(Þ)
936
1,018
Series
2021-1A
Class
A2II
3.151%
due
04/25/51
(Þ)
599
641
Drive
Auto
Receivables
Trust
Series
2020-2
Class
B
1.420%
due
03/17/25
650
656
Earnest
Student
Loan
Program
LLC
Series
2017-A
Class
C
4.130%
due
01/25/41
(Þ)
43
43
ELFI
Graduate
Loan
Program
Series
2020-A
Class
A
1.730%
due
08/25/45
(Þ)
174
176
Exeter
Automobile
Receivables
Trust
Series
2020-2A
Class
B
2.080%
due
07/15/24
(Þ)
650
654
GoodLeap
Sustainable
Home
Solutions
Trust
Series
2021-3CS
Class
A
2.100%
due
05/20/48
(Þ)
1,525
1,534
Helios
Issuer
LLC
Series
2018-1A
Class
A
4.870%
due
07/20/48
(Þ)
886
965
Series
2018-1A
Class
B
7.710%
due
07/20/48
(Þ)
783
814
Series
2020-AA
Class
A
2.980%
due
06/20/47
(Þ)
423
444
J.G.
Wentworth
XLII
LLC
Series
2018-2A
Class
B
4.700%
due
10/15/77
(Þ)
500
561
Marlette
Funding
Trust
Series
2018-4A
Class
C
4.910%
due
12/15/28
(Þ)
1,000
1,009
Series
2019-2A
Class
B
3.530%
due
07/16/29
(Þ)
500
506
Series
2021-1A
Class
C
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
1.410%
due
06/16/31
(Þ)
900
901
MedPro
Group,
Inc.
Series
2017-1A
Class
A
2.188%
due
01/23/29
500
500
Mosaic
Solar
Loan
Trust
Series
2018-2GS
Class
A
4.200%
due
02/22/44
(Þ)
263
288
Series
2018-2GS
Class
B
4.740%
due
02/22/44
(Þ)
200
214
Series
2020-1A
Class
B
3.100%
due
04/20/46
(Þ)
360
381
Series
2020-2A
Class
B
2.210%
due
08/20/46
(Þ)
408
410
Series
2021-1A
Class
B
2.050%
due
12/20/46
(Þ)
991
996
Series
2021-2A
Class
B
2.090%
due
04/22/47
(Þ)
547
548
Navient
Private
Education
Refi
Loan
Trust
Series
2020-HA
Class
A
1.310%
due
01/15/69
(Þ)
425
429
Series
2021-A
Class
B
2.240%
due
05/15/69
(Þ)
450
459
Primose
Funding
LLC
Series
2019-1A
Class
A2
4.475%
due
07/30/49
(Þ)
983
1,027
Santander
Drive
Auto
Receivables
Trust
Series
2019-3
Class
C
2.490%
due
10/15/25
400
404
Series
2019-3
Class
D
2.680%
due
10/15/25
1,100
1,127
Series
2020-3
Class
B
0.690%
due
03/17/25
300
301
Series
2020-4
Class
D
1.480%
due
01/15/27
950
964
SMB
Private
Education
Loan
Trust
Series
2020-PTA
Class
A2A
1.600%
due
09/15/54
(Þ)
750
762
SoFi
Alternative
Trust
Series
2019-F
Class
PT1
2.825%
due
02/15/45
(~)(Ê)(Þ)
546
560
SoFi
Consumer
Loan
Program
Trust
Series
2018-2
Class
C
4.250%
due
04/26/27
(Þ)
400
411
Series
2018-3
Class
C
4.670%
due
08/25/27
(Þ)
425
438
Series
2018-4
Class
B
3.960%
due
11/26/27
(Þ)
17
17
Series
2018-4
Class
D
4.760%
due
11/26/27
(Þ)
1,000
1,036
Series
2019-1
Class
D
4.420%
due
02/25/28
(Þ)
500
515
SoFi
Professional
Loan
Program
LLC
Series
2017-D
Class
BFX
3.610%
due
09/25/40
(Þ)
400
414
Series
2017-E
Class
B
3.490%
due
11/26/40
(Þ)
500
524
Series
2019-A
Class
A2FX
3.690%
due
06/15/48
(Þ)
478
496
Series
2019-B
Class
BFX
3.730%
due
08/17/48
(Þ)
600
625
Series
2019-C
Class
BFX
3.050%
due
11/16/48
(Þ)
1,000
1,020
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
101
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
SoFi
Professional
Loan
Program
Trust
Series
2017-B
Class
CFX
4.440%
due
05/25/40
(~)(Ê)(Þ)
425
445
Series
2017-C
Class
C
4.210%
due
07/25/40
(~)(Ê)(Þ)
424
442
Series
2018-B
Class
BFX
3.830%
due
08/25/47
(Þ)
850
888
Series
2020-C
Class
BFX
3.360%
due
02/15/46
(Þ)
600
624
SolarCity
Corp.
Series
2017-2A
Class
B
6.990%
due
02/20/48
(Þ)
1,000
992
Sonic
Capital
LLC
Series
2020-1A
Class
A2I
3.845%
due
01/20/50
(Þ)
544
579
Series
2021-1A
Class
A2I
3.375%
due
08/20/51
600
600
Sunnova
Helios
Issuer
LLC
Series
2020-2A
Class
A
2.730%
due
11/01/55
(Þ)
347
359
Sunnova
Sol
III
Issuer
LLC
Series
2021-1
Class
A
2.580%
due
04/28/56
(Þ)
889
904
Sunrun
Xanadu
Issuer
Series
2019-1A
Class
A
3.980%
due
06/30/54
(Þ)
504
546
TCW
Group,
Inc.
(The)
Series
2021-2A
Class
D
3.375%
due
07/25/34
1,500
1,500
Tesla
Auto
Lease
Trust
Series
2020-A
Class
D
2.330%
due
02/20/24
(Þ)
550
565
Triton
Container
International,
Ltd.
Series
2021-1A
Class
A
1.860%
due
03/20/46
(Þ)
486
487
Wendy's
Co.
(The)
Series
2021-1A
Class
A2II
2.775%
due
06/15/51
(Þ)
1,050
1,078
Wendy's
Funding
LLC
Series
2018-1A
Class
A2II
3.884%
due
03/15/48
(Þ)
483
516
Westlake
Automobile
Receivables
Trust
Series
2021-2A
Class
D
1.230%
due
12/15/26
(Þ)
500
501
40,740
Corporate
Bonds
and
Notes
-
29.0%
3M
Co.
2.875%
due
10/15/27
292
320
Abbott
Laboratories
4.750%
due
11/30/36
241
317
Acrisure
LLC
/
Acrisure
Finance,
Inc.
4.250%
due
02/25/29
(Þ)
1,000
974
Acuris
Finance
US,
Inc.
/
Acuris
Finance
SARL
5.000%
due
05/01/28
(Þ)
556
550
AdaptHealth
LLC
4.625%
due
08/01/29
(Þ)
368
367
Air
Methods
Corp.
8.000%
due
05/15/25
(Þ)
282
266
Allegheny
Technologies,
Inc.
7.875%
due
08/15/23
378
413
Alliance
Data
Systems
Corp.
4.750%
due
12/15/24
(Þ)
350
359
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Alliance
Resource
Partners,
LP
7.500%
due
05/01/25
(Þ)
300
303
Ally
Financial,
Inc.
8.000%
due
11/01/31
224
326
Alphabet,
Inc.
1.998%
due
08/15/26
256
270
Alta
Equipment
Group,
Inc.
5.625%
due
04/15/26
(Þ)
90
93
Altria
Group,
Inc.
5.800%
due
02/14/39
213
267
Amazon.com,
Inc.
2.500%
due
11/29/22
265
272
AMC
Entertainment
Holdings,
Inc.
10.500%
due
04/15/25
(Þ)
270
287
American
Airlines
Group,
Inc.
11.750%
due
07/15/25
(Þ)
325
406
5.500%
due
04/20/26
(Þ)
892
933
5.750%
due
04/20/29
(Þ)
343
370
American
Airlines
Pass-Through
Trust
4.950%
due
01/15/23
65
67
American
Homes
4
Rent,
LP
4.250%
due
02/15/28
261
299
American
Tower
Corp.
3.500%
due
01/31/23
314
329
Antero
Resources
Corp.
8.375%
due
07/15/26
(Þ)
127
144
5.375%
due
03/01/30
(Þ)
164
167
Anthem,
Inc.
4.850%
due
08/15/54
261
343
Apache
Corp.
5.100%
due
09/01/40
140
150
4.750%
due
04/15/43
286
294
5.350%
due
07/01/49
583
614
Apache
Finance
Canada
Corp.
7.750%
due
12/15/29
147
175
Apollo
Management
Holdings,
LP
4.950%
due
01/14/50
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.266%)(Ê)(Þ)
274
285
Apple,
Inc.
1.800%
due
09/11/24
304
316
Applied
Materials,
Inc.
5.100%
due
10/01/35
249
335
APX
Group,
Inc.
5.750%
due
07/15/29
(Þ)
769
772
Aramark
Services,
Inc.
5.000%
due
02/01/28
(Þ)
354
368
Arch
Capital
Group,
Ltd.
3.635%
due
06/30/50
288
320
Arcosa
,
Inc.
4.375%
due
04/15/29
(Þ)
162
166
Ardagh
Packaging
Finance
PLC
/
Ardagh
Holdings
USA,
Inc.
Series
144a
5.250%
due
08/15/27
(Þ)
361
369
Ares
Capital
Corp.
3.500%
due
02/10/23
157
163
3.250%
due
07/15/25
156
165
Aretec
Escrow
Issuer,
Inc.
7.500%
due
04/01/29
(Þ)
299
315
Austin
BidCo
,
Inc.
7.125%
due
12/15/28
(Þ)
1,435
1,467
Avantor
,
Inc.
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
102
Opportunistic
Credit
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
4.625%
due
07/15/28
(Þ)
358
377
Avaya
Holdings
Corp.
2.250%
due
06/15/23
359
401
Aviation
Capital
Group
LLC
4.875%
due
10/01/25
(Þ)
278
311
Avis
Budget
Car
Rental
LLC
/
Avis
Budget
Finance,
Inc.
5.750%
due
07/15/27
(Þ)
200
209
Axalta
Coating
Systems
LLC
/
Axalta
Coating
Systems
Dutch
Holding
B
BV
4.750%
due
06/15/27
(Þ)
354
373
Ball
Corp.
4.000%
due
11/15/23
259
275
Banff
Merger
Sub,
Inc.
Series
144a
9.750%
due
09/01/26
(Þ)
827
869
Bank
of
America
Corp.
4.330%
due
03/15/50
(USD
3
Month
LIBOR
+
1.520%)(Ê)
214
267
Bank
of
America
NA
Series
BKNT
6.000%
due
10/15/36
233
332
Bausch
Health
Cos.,
Inc.
6.125%
due
04/15/25
(Þ)
921
940
4.875%
due
06/01/28
(Þ)
462
477
6.250%
due
02/15/29
(Þ)
623
620
5.250%
due
01/30/30
(Þ)
154
145
5.250%
due
02/15/31
(Þ)
1,059
993
BCPE
Ulysses
Intermediate,
Inc.
7.750%
due
04/01/27
(Þ)
686
690
Becton,
Dickinson
and
Co.
3.700%
due
06/06/27
285
318
Berkshire
Hathaway
Energy
Co.
Series
WI
4.050%
due
04/15/25
258
287
Berkshire
Hathaway
Finance
Corp.
2.850%
due
10/15/50
339
347
Berry
Global,
Inc.
0.950%
due
02/15/24
(Þ)
332
332
5.625%
due
07/15/27
(Þ)
224
236
BGC
Partners,
Inc.
Series
WI
5.375%
due
07/24/23
141
152
Blackstone
Holdings
Finance
Co.
LLC
5.000%
due
06/15/44
(Þ)
205
282
Boardwalk
Pipelines,
LP
4.800%
due
05/03/29
178
208
Booz
Allen
Hamilton
Holding
Corp.
3.875%
due
09/01/28
(Þ)
446
455
Boxer
Parent
Co.,
Inc.
9.125%
due
03/01/26
(Þ)
175
183
Boyd
Gaming
Corp.
Series
WI
4.750%
due
12/01/27
441
457
BP
Capital
Markets
America,
Inc.
2.937%
due
04/06/23
318
331
Brighthouse
Financial,
Inc.
Series
WI
4.700%
due
06/22/47
308
346
Broadridge
Financial
Solutions,
Inc.
2.900%
due
12/01/29
251
269
Brookfield
Property
REIT,
Inc.
5.750%
due
05/15/26
(Þ)
357
370
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Buckeye
Partners,
LP
4.125%
due
12/01/27
215
219
5.850%
due
11/15/43
227
228
Builders
FirstSource
,
Inc.
5.000%
due
03/01/30
(Þ)
429
456
Cablevision
Lightpath
LLC
5.625%
due
09/15/28
(Þ)
239
243
Carlyle
Holdings
II
Finance
LLC
5.625%
due
03/30/43
(Þ)
256
350
Carnival
Corp.
5.750%
due
03/01/27
(Þ)
1,073
1,090
Carvana
Co.
5.625%
due
10/01/25
(Þ)
244
253
CBL
&
Associates,
LP
5.950%
due
12/15/26
475
269
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp.
4.750%
due
03/01/30
(Þ)
642
680
Series
DMTN
5.000%
due
02/01/28
(Þ)
157
165
CDW
LLC
/
CDW
Finance
Corp.
5.500%
due
12/01/24
249
274
Centene
Corp.
Series
WI
4.625%
due
12/15/29
418
458
CenturyLink,
Inc.
Series
P
7.600%
due
09/15/39
11
13
CF
Industries,
Inc.
3.450%
due
06/01/23
462
478
5.150%
due
03/15/34
364
451
4.950%
due
06/01/43
62
76
Charter
Communications
Operating
LLC
/
Charter
Communications
Operating
Capital
Series
WI
4.908%
due
07/23/25
269
305
Cheniere
Energy
Partners,
LP
Series
WI
4.500%
due
10/01/29
426
460
Cheniere
Energy,
Inc.
Series
WI
4.625%
due
10/15/28
357
376
Chevron
Corp.
2.566%
due
05/16/23
320
332
0.426%
due
08/11/23
328
329
CHS/Community
Health
Systems,
Inc.
6.125%
due
04/01/30
(Þ)
340
344
4.750%
due
02/15/31
(Þ)
294
298
Cigna
Corp.
Series
WI
6.125%
due
11/15/41
130
188
Cisco
Systems,
Inc.
2.200%
due
09/20/23
318
330
Citigroup,
Inc.
6.125%
due
08/25/36
237
334
Clarios
Global,
LP
/
Clarios
US
Finance
Co.
8.500%
due
05/15/27
(Þ)
700
756
Clear
Channel
Worldwide
Holdings,
Inc.
5.125%
due
08/15/27
(Þ)
326
335
7.750%
due
04/15/28
(Þ)
447
466
7.500%
due
06/01/29
(Þ)
390
405
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
103
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Cleveland-Cliffs
Inc.
6.250%
due
10/01/40
130
140
Coca-Cola
Co.
(The)
2.900%
due
05/25/27
295
325
Colt
Merger
Sub,
Inc.
5.750%
due
07/01/25
(Þ)
281
295
6.250%
due
07/01/25
(Þ)
502
530
8.125%
due
07/01/27
(Þ)
847
932
Columbia
Pipeline
Group,
Inc.
Series
WI
5.800%
due
06/01/45
127
178
Comcast
Cable
Communications
Holdings,
Inc.
9.455%
due
11/15/22
179
200
Comcast
Corp.
3.600%
due
03/01/24
304
329
5.650%
due
06/15/35
236
323
CommScope
,
Inc.
5.500%
due
03/01/24
(Þ)
250
257
Compass
Group
Diversified
Holdings
LLC
5.250%
due
04/15/29
(Þ)
433
449
Comstock
Resources,
Inc.
5.875%
due
01/15/30
(Þ)
180
181
Consolidated
Communications
Holdings,
Inc.
5.000%
due
10/01/28
(Þ)
517
520
Constellation
Brands,
Inc.
4.250%
due
05/01/23
310
330
Constellation
Merger
Sub,
Inc.
8.500%
due
09/15/25
(Þ)
391
385
Continental
Resources,
Inc.
4.500%
due
04/15/23
618
643
Continental
Wind
LLC
6.000%
due
02/28/33
(Þ)
184
213
CoreCivic
,
Inc.
8.250%
due
04/15/26
416
441
CoreLogic
,
Inc.
4.500%
due
05/01/28
(Þ)
470
468
Coronado
Finance
Pty,
Ltd.
10.750%
due
05/15/26
(Þ)
424
460
CoStar
Group,
Inc.
2.800%
due
07/15/30
(Þ)
323
334
Costco
Wholesale
Corp.
1.375%
due
06/20/27
277
281
CPI
CG,
Inc.
8.625%
due
03/15/26
(Þ)
434
462
CQP
Holdco,
LP
/
BIP-V
Chinook
Holdco
LLC
5.500%
due
06/15/31
(Þ)
1,138
1,181
CRC
Escrow
Issuer
LLC
/
CRC
Finco
,
Inc.
5.250%
due
10/15/25
(Þ)
541
545
Credit
Acceptance
Corp.
5.125%
due
12/31/24
(Þ)
242
250
Crestwood
Midstream
Partners,
LP
5.625%
due
05/01/27
(Þ)
376
384
Crown
Americas
LLC
/
Crown
Americas
Capital
Corp.
IV
4.500%
due
01/15/23
264
275
Crown
Americas
LLC
/
Crown
Americas
Capital
Corp.
V
Series
WI
4.250%
due
09/30/26
224
240
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Crown
Castle
International
Corp.
5.200%
due
02/15/49
252
334
Crown
Cork
&
Seal
Co.,
Inc.
7.375%
due
12/15/26
452
555
CrownRock
,
LP
/
CrownRock
Finance,
Inc.
5.000%
due
05/01/29
(Þ)
154
161
CSC
Holdings
LLC
Series
144a
4.625%
due
12/01/30
(Þ)
1,217
1,199
Curo
Group
Holdings
Corp.
8.250%
due
09/01/25
(Þ)
263
275
Cushman
&
Wakefield
U.S.
Borrower
LLC
6.750%
due
05/15/28
(Þ)
412
443
CVR
Energy,
Inc.
5.250%
due
02/15/25
(Þ)
533
518
5.750%
due
02/15/28
(Þ)
402
390
D.R.
Horton,
Inc.
4.750%
due
02/15/23
260
274
Daimler
Finance
NA
LLC
3.350%
due
02/22/23
(Þ)
316
330
Danaher
Corp.
4.375%
due
09/15/45
271
347
DaVita,
Inc.
4.625%
due
06/01/30
(Þ)
228
236
DCP
Midstream
Operating,
LP
6.750%
due
09/15/37
(Þ)
89
110
5.600%
due
04/01/44
210
241
Delek
Logistics
Partners,
LP
Series
WI
6.750%
due
05/15/25
379
386
Delta
Air
Lines,
Inc.
4.750%
due
10/20/28
(Þ)
220
246
3.750%
due
10/28/29
122
121
Deutsche
Bank
AG
4.875%
due
12/01/32
(USD
ICE
Swap
Rate
NY
5
Year
Rate
+
2.553%)(Ê)
240
260
DH
Europe
Finance
II
SARL
Series
3YR
2.050%
due
11/15/22
284
291
Diebold
Nixdorf,
Inc.
9.375%
due
07/15/25
(Þ)
250
275
Series
REGS
9.000%
due
07/15/25
EUR
300
388
DIRECTV
Holdings
LLC
/
DIRECTV
Financing
Co.,
Inc.
5.875%
due
08/15/27
(Þ)
367
379
Discover
Bank
Series
BKNT
4.200%
due
08/08/23
300
322
DISH
DBS
Corp.
Series
WI
5.875%
due
11/15/24
100
108
7.750%
due
07/01/26
213
243
DISH
Network
Corp.
Series
NCd
3.375%
due
08/15/26
947
971
Diversified
Healthcare
Trust
4.750%
due
02/15/28
195
197
4.375%
due
03/01/31
480
469
Dollar
General
Corp.
3.250%
due
04/15/23
310
323
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
104
Opportunistic
Credit
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Dominion
Energy,
Inc.
Series
F
5.250%
due
08/01/33
233
298
Duke
Energy
Corp.
4.800%
due
12/15/45
269
340
El
Paso
Natural
Gas
Co.
LLC
8.375%
due
06/15/32
175
264
Embarq
Corp.
7.995%
due
06/01/36
203
227
Emergent
BioSolutions
,
Inc.
3.875%
due
08/15/28
(Þ)
839
834
Enbridge
Energy
Partners,
LP
7.375%
due
10/15/45
192
309
Encompass
Health
Corp.
4.500%
due
02/01/28
351
364
Endurance
International
Group
Holdings,
Inc.
6.000%
due
02/15/29
(Þ)
1,500
1,455
Energy
Transfer
Operating,
LP
6.125%
due
12/15/45
263
338
EnerSys
5.000%
due
04/30/23
(Þ)
233
243
EnLink
Midstream
LLC
5.375%
due
06/01/29
9
9
EnLink
Midstream
Partners,
LP
4.400%
due
04/01/24
78
82
4.850%
due
07/15/26
59
62
5.600%
due
04/01/44
523
510
5.450%
due
06/01/47
152
147
Enova
International,
Inc.
8.500%
due
09/01/24
(Þ)
140
143
8.500%
due
09/15/25
(Þ)
115
120
Enstar
Finance
LLC
5.750%
due
09/01/40
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.468%)(Ê)
479
511
Enterprise
Products
Operating
LLC
5.950%
due
02/01/41
212
298
EPR
Properties
Co.
4.950%
due
04/15/28
330
357
3.750%
due
08/15/29
380
386
EQM
Midstream
Partners,
LP
6.000%
due
07/01/25
(Þ)
163
178
4.500%
due
01/15/29
(Þ)
217
220
4.750%
due
01/15/31
(Þ)
195
198
Series
30Y
6.500%
due
07/15/48
324
356
Equities
Corp.
7.000%
due
02/01/30
129
169
Essex
Portfolio,
LP
3.250%
due
05/01/23
318
331
Everi
Holdings,
Inc.
5.000%
due
07/15/29
(Þ)
100
102
Exelon
Generation
Co.
LLC
5.600%
due
06/15/42
174
209
Exxon
Mobil
Corp.
1.571%
due
04/15/23
307
314
Fiat
Chrysler
Automobiles
NV
Series
WI
5.250%
due
04/15/23
304
326
First
Student
Bidco
Inc.
4.000%
due
07/31/29
(Þ)
425
426
FirstEnergy
Corp.
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
B
3.900%
due
07/15/27
1,354
1,509
Series
C
7.375%
due
11/15/31
62
87
4.850%
due
07/15/47
255
321
3.400%
due
03/01/50
131
132
FirstMerit
Corp.
4.350%
due
02/04/23
301
317
Ford
Holdings
LLC
9.300%
due
03/01/30
308
422
Ford
Motor
Co.
8.500%
due
04/21/23
508
564
9.000%
due
04/22/25
260
320
4.346%
due
12/08/26
799
862
9.625%
due
04/22/30
646
933
7.450%
due
07/16/31
742
982
4.750%
due
01/15/43
167
183
5.291%
due
12/08/46
340
389
Ford
Motor
Credit
Co.
LLC
4.250%
due
09/20/22
117
120
3.087%
due
01/09/23
370
377
3.021%
due
03/06/24
700
875
3.664%
due
09/08/24
200
209
4.687%
due
06/09/25
868
942
4.134%
due
08/04/25
200
214
4.542%
due
08/01/26
540
587
4.125%
due
08/17/27
327
350
5.113%
due
05/03/29
806
913
Forestar
Group,
Inc.
3.850%
due
05/15/26
(Þ)
388
392
Freeport-McMoRan,
Inc.
3.875%
due
03/15/23
300
311
5.400%
due
11/14/34
695
884
Frontier
Communications
Corp.
5.000%
due
05/01/28
(Þ)
650
672
6.750%
due
05/01/29
(Þ)
176
187
FS
KKR
Capital
Corp.
4.125%
due
02/01/25
276
293
Gartner,
Inc.
4.500%
due
07/01/28
(Þ)
358
379
Gates
Global
LLC
/
Gates
Corp.
6.250%
due
01/15/26
(Þ)
771
801
GE
Capital
Funding
LLC
Series
WI
4.550%
due
05/15/32
251
303
GE
Capital
International
Funding
Co.,
ULC
Series
WI
4.418%
due
11/15/35
264
324
General
Electric
Co.
3.625%
due
05/01/30
116
131
Series
MTNA
6.750%
due
03/15/32
121
169
General
Motors
Co.
4.875%
due
10/02/23
67
73
General
Motors
Financial
Co.,
Inc.
5.200%
due
03/20/23
296
317
Genesis
Energy,
LP
/
Genesis
Energy
Finance
Corp.
5.625%
due
06/15/24
425
422
6.500%
due
10/01/25
711
706
8.000%
due
01/15/27
367
378
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
105
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
7.750%
due
02/01/28
391
395
Genworth
Holdings,
Inc.
4.800%
due
02/15/24
55
55
6.500%
due
06/15/34
251
258
Genworth
Mortgage
Holdings,
Inc.
6.500%
due
08/15/25
(Þ)
225
244
GEO
Group,
Inc.
(The)
5.875%
due
10/15/24
304
271
Georgia
Power
Co.
5.400%
due
06/01/40
58
75
Global
Net
Lease,
Inc.
3.750%
due
12/15/27
(Þ)
368
366
Global
Partners,
LP
/
GLP
Finance
Corp.
Series
WI
6.875%
due
01/15/29
411
433
GLP
Capital,
LP
/
GLP
Financing
II,
Inc.
5.250%
due
06/01/25
250
282
Goldman
Sachs
Capital
I
6.345%
due
02/15/34
205
291
Graphic
Packaging
International
LLC
3.500%
due
03/15/28
(Þ)
461
467
GYP
Holdings
III
Corp.
4.625%
due
05/01/29
(Þ)
195
197
Hadrian
Merger
Sub,
Inc.
8.500%
due
05/01/26
(Þ)
270
281
Harvest
Midstream
I,
LP
7.500%
due
09/01/28
(Þ)
505
540
Hat
Holdings
I
LLC
3.375%
due
06/15/26
(Þ)
465
471
Hawaiian
Electric
Industries,
Inc.
5.750%
due
01/20/26
(Þ)
559
586
HC2
Holdings,
Inc.
8.500%
due
02/01/26
(Þ)
454
452
HCA,
Inc.
5.875%
due
05/01/23
228
247
7.690%
due
06/15/25
74
90
4.500%
due
02/15/27
175
200
7.500%
due
11/15/95
46
68
HCRX
Investments
Holdco,
L.P.
4.500%
due
08/01/29
(Þ)
218
222
Hecla
Mining
Co.
7.250%
due
02/15/28
750
812
Hess
Midstream,
LP
5.125%
due
06/15/28
(Þ)
361
378
High
Ridge
Brands
Co.
8.875%
due
03/15/25
(Š)
970
12
Hilcorp
Energy
I,
LP
/
Hilcorp
Finance
Co.
5.750%
due
10/01/25
(Þ)
362
366
6.250%
due
11/01/28
(Þ)
160
167
Hilton
Domestic
Operating
Co.,
Inc.
5.750%
due
05/01/28
(Þ)
344
370
Hilton
Grand
Vacations,
Inc.
4.875%
due
07/01/31
(Þ)
309
303
Hilton
Worldwide
Finance
LLC
Series
WI
4.875%
due
04/01/27
237
245
Hologic
,
Inc.
4.625%
due
02/01/28
(Þ)
345
364
Home
Depot,
Inc.
(The)
2.500%
due
04/15/27
132
142
Howard
Hughes
Corp.
(The)
5.375%
due
08/01/28
(Þ)
356
377
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Howmet
Aerospace,
Inc.
5.900%
due
02/01/27
426
504
5.950%
due
02/01/37
108
137
HSBC
Holdings
PLC
7.200%
due
07/15/97
173
318
Humana,
Inc.
8.150%
due
06/15/38
188
306
Icahn
Enterprises,
LP
/
Icahn
Enterprises
Finance
Corp.
Series
WI
4.750%
due
09/15/24
840
875
6.250%
due
05/15/26
888
933
5.250%
due
05/15/27
792
833
iHeartCommunications
,
Inc.
8.375%
due
05/01/27
300
319
IHS
Markit
,
Ltd.
4.125%
due
08/01/23
339
360
Imola
Merger
Corp.
4.750%
due
05/15/29
(Þ)
397
410
International
Business
Machines
Corp.
3.300%
due
01/27/27
292
323
International
Paper
Co.
5.000%
due
09/15/35
262
336
Intrado
Corp.
Series
0005
8.500%
due
10/15/25
(Þ)
264
257
IQVIA,
Inc.
5.000%
due
05/15/27
(Þ)
260
271
Iron
Mountain,
Inc.
4.875%
due
09/15/29
(Þ)
448
469
5.250%
due
07/15/30
(Þ)
261
278
iStar
,
Inc.
4.250%
due
08/01/25
248
257
ITT
Holdings
LLC
6.500%
due
08/01/29
(Þ)
710
708
Jazz
Securities
DAC
4.375%
due
01/15/29
(Þ)
731
762
JBS
Investments
II
GmbH
7.000%
due
01/15/26
(Þ)
352
373
5.750%
due
01/15/28
(Þ)
495
522
3.625%
due
01/15/32
(Þ)
653
657
JBS
USA
LUX
SA
/
JBS
USA
Food
Co.
/
JBS
USA
Finance,
Inc.
6.750%
due
02/15/28
(Þ)
1,043
1,142
6.500%
due
04/15/29
(Þ)
1,383
1,549
5.500%
due
01/15/30
(Þ)
668
746
JC
Penney
Corp.,
Inc.
7.400%
due
04/01/37
(Š)(Ø)(Æ)
281
Jefferies
Group
LLC
Series
EMTN
6.250%
due
01/15/36
160
218
Jefferson
Capital
Holdings
LLC
6.000%
due
08/15/26
(Þ)
309
313
Johnson
&
Johnson
0.950%
due
09/01/27
330
327
Kenan
Advantage
Group,
Inc.
7.875%
due
07/31/23
(Þ)
2,285
2,285
Kennedy-Wilson,
Inc.
4.750%
due
03/01/29
444
456
Kimberly-Clark
Corp.
1.050%
due
09/15/27
164
163
Kinder
Morgan
Energy
Partners,
LP
7.500%
due
11/15/40
203
302
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
106
Opportunistic
Credit
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Kinder
Morgan,
Inc.
5.300%
due
12/01/34
250
315
Kraft
Heinz
Foods
Co.
6.875%
due
01/26/39
248
364
7.125%
due
08/01/39
(Þ)
311
464
Series
WI
5.000%
due
07/15/35
377
466
5.200%
due
07/15/45
263
333
4.375%
due
06/01/46
594
684
4.875%
due
10/01/49
529
660
Kroger
Co.
(The)
3.850%
due
08/01/23
301
319
L
Brands,
Inc.
6.950%
due
03/01/33
140
171
6.750%
due
07/01/36
152
194
Series
WI
6.875%
due
11/01/35
465
598
Ladder
Capital
Finance
Holdings
LLLP
5.250%
due
10/01/25
(Þ)
251
255
Las
Vegas
Sands
Corp.
3.200%
due
08/08/24
279
291
LCPR
Senior
Secured
Financing
Designated
Activity
Co.
6.750%
due
10/15/27
(Þ)
813
867
5.125%
due
07/15/29
(Þ)
735
752
Live
Nation
Entertainment,
Inc.
5.625%
due
03/15/26
(Þ)
160
167
4.750%
due
10/15/27
(Þ)
115
117
Lockheed
Martin
Corp.
Series
B
6.150%
due
09/01/36
217
315
Loews
Corp.
6.000%
due
02/01/35
169
235
Lowe's
Cos.,
Inc.
3.875%
due
09/15/23
308
328
LPL
Holdings,
Inc.
4.625%
due
11/15/27
(Þ)
231
238
Lubrizol
Corp.
6.500%
due
10/01/34
86
128
M/I
Homes,
Inc.
Series
WI
5.625%
due
08/01/25
628
645
Magic
Mergeco
,
Inc.
5.250%
due
05/01/28
(Þ)
249
258
7.875%
due
05/01/29
(Þ)
607
630
Magnolia
Oil
&
Gas
Corp.
6.000%
due
08/01/26
(Þ)
354
361
Main
Street
Capital
Corp.
5.200%
due
05/01/24
174
190
Markel
Corp.
5.000%
due
04/05/46
161
211
Marriott
International,
Inc.
Series
WI
3.750%
due
03/15/25
266
287
Marsh
&
McLennan
Cos.,
Inc.
3.300%
due
03/14/23
315
329
Match
Group,
Inc.
4.625%
due
06/01/28
(Þ)
432
453
Mattel,
Inc.
6.200%
due
10/01/40
47
59
Mauser
Packaging
Solutions
Holding
Co.
Series
144a
7.250%
due
04/15/25
(Þ)
145
142
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
McDonald's
Corp.
5.700%
due
02/01/39
237
335
Merck
&
Co.,
Inc.
2.800%
due
05/18/23
214
224
5.750%
due
11/15/36
231
332
MGIC
Investment
Corp.
5.250%
due
08/15/28
342
364
MGM
Growth
Properties
LLC
/
MGM
Finance
Co.
Series
WI
5.625%
due
05/01/24
258
279
MGM
Resorts
International
6.000%
due
03/15/23
428
452
MidAmerican
Energy
Co.
4.400%
due
10/15/44
247
312
Midcap
Financial
Issuer
Trust
6.500%
due
05/01/28
(Þ)
224
233
Midcontinent
Communications
/
Midcontinent
Finance
Corp.
5.375%
due
08/15/27
(Þ)
166
173
Mileage
Plus
Holdings
LLC
/
Mileage
Plus
Intellectual
Property
Assets,
Ltd.
6.500%
due
06/20/27
(Þ)
648
706
Millennium
Escrow
Corp.
6.625%
due
08/01/26
(Þ)
307
313
Minerals
Technologies,
Inc.
5.000%
due
07/01/28
(Þ)
431
450
Molina
Healthcare,
Inc.
4.375%
due
06/15/28
(Þ)
183
191
3.875%
due
11/15/30
(Þ)
455
482
Mondelez
International,
Inc.
2.125%
due
09/19/22
(Þ)
273
278
MoneyGram
International,
Inc.
5.375%
due
08/01/26
(Þ)
197
204
Motiva
Enterprises
LLC
6.850%
due
01/15/40
(Þ)
230
300
MPT
Operating
Partnership,
LP
/
MPT
Finance
Corp.
4.625%
due
08/01/29
347
374
MSCI,
Inc.
4.000%
due
11/15/29
(Þ)
350
373
Murphy
Oil
Corp.
6.375%
due
07/15/28
272
288
7.050%
due
05/01/29
107
119
4.750%
due
09/15/29
348
369
5.875%
due
12/01/42
67
67
Nasdaq,
Inc.
0.445%
due
12/21/22
320
320
National
Grid
USA
5.803%
due
04/01/35
263
334
Nationstar
Mortgage
Holdings,
Inc.
6.000%
due
01/15/27
(Þ)
354
369
Navient
Corp.
5.000%
due
03/15/27
243
253
Series
MTN
5.625%
due
08/01/33
79
77
NCR
Corp.
6.125%
due
09/01/29
(Þ)
426
462
Neiman
Marcus
Group,
Inc.
7.125%
due
04/01/26
(Þ)
782
835
Nestle
Holdings,
Inc.
0.375%
due
01/15/24
(Þ)
330
329
Netflix,
Inc.
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
107
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
5.875%
due
02/15/25
320
368
Nevada
Power
Co.
5.375%
due
09/15/40
201
269
New
Residential
Investment
Corp.
6.250%
due
10/15/25
(Þ)
373
373
Newell
Brands,
Inc.
4.200%
due
04/01/26
745
830
5.500%
due
04/01/46
47
61
Newmark
Group,
Inc.
Series
WI
6.125%
due
11/15/23
220
238
News
Corp.
3.875%
due
05/15/29
(Þ)
455
463
NGL
Energy
Operating
LLC
7.500%
due
02/01/26
(Þ)
704
723
NGPL
PipeCo
LLC
4.875%
due
08/15/27
(Þ)
263
304
Nielsen
Holdings
PLC
5.625%
due
10/01/28
(Þ)
350
370
NIKE,
Inc.
2.750%
due
03/27/27
254
276
Nordstrom,
Inc.
4.000%
due
03/15/27
102
107
4.375%
due
04/01/30
102
108
5.000%
due
01/15/44
532
529
Northern
Natural
Gas
Co.
4.300%
due
01/15/49
(Þ)
162
198
Northwest
Fibers,
Inc.
6.000%
due
02/15/28
(Þ)
241
237
10.750%
due
06/01/28
(Þ)
63
71
Novelis
Corp.
3.250%
due
11/15/26
(Þ)
82
83
3.875%
due
08/15/31
(Þ)
84
85
Occidental
Petroleum
Corp.
6.950%
due
07/01/24
200
223
5.875%
due
09/01/25
509
564
6.375%
due
09/01/28
415
483
3.500%
due
08/15/29
1,254
1,251
6.125%
due
01/01/31
626
740
6.450%
due
09/15/36
719
868
4.300%
due
08/15/39
323
320
6.200%
due
03/15/40
640
741
4.500%
due
07/15/44
87
86
6.600%
due
03/15/46
468
576
4.400%
due
04/15/46
608
597
4.100%
due
02/15/47
609
576
4.200%
due
03/15/48
34
33
4.400%
due
08/15/49
85
82
Oceaneering
International,
Inc.
4.650%
due
11/15/24
258
256
Onemain
Finance
Corp.
5.375%
due
11/15/29
221
243
Oracle
Corp.
4.000%
due
11/15/47
233
259
Organon
Finance
1
LLC
5.125%
due
04/30/31
(Þ)
764
787
Outfront
Media
Capital
LLC
/
Outfront
Media
Capital
Corp.
5.000%
due
08/15/27
(Þ)
358
365
4.250%
due
01/15/29
(Þ)
197
197
4.625%
due
03/15/30
(Þ)
146
147
Ovintiv
,
Inc.
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
5.150%
due
11/15/41
300
329
Pactiv
LLC
7.950%
due
12/15/25
200
225
Par
Pharmaceutical,
Inc.
7.500%
due
04/01/27
(Þ)
568
579
PBF
Holding
Co.
LLC
Series
WI
7.250%
due
06/15/25
545
327
PBF
Holding
Co.
LLC
/
PBF
Finance
Corp.
Series
WI
6.000%
due
02/15/28
138
72
PBF
Logistics,
LP
/
PBF
Logistics
Finance
Corp.
Series
WI
6.875%
due
05/15/23
398
386
Peabody
Energy
Corp.
6.000%
due
12/31/24
(Þ)
205
164
Peninsula
Pacific
Entertainment
LLC
8.500%
due
11/15/27
(Þ)
229
247
PepsiCo,
Inc.
Series
383
3.000%
due
10/15/27
199
220
Performance
Food
Group
Co.
5.500%
due
10/15/27
(Þ)
424
442
PetSmart
LLC
4.750%
due
02/25/28
(Þ)
1,000
1,038
7.750%
due
02/25/29
(Þ)
1,000
1,096
Pfizer,
Inc.
3.000%
due
06/15/23
316
332
PG&E
Corp.
5.250%
due
07/01/30
500
488
PIC
AU
Holdings
LLC
/
PIC
AU
Holdings
Corp.
10.000%
due
12/31/24
(Þ)
546
543
Pilgrim's
Pride
Corp.
5.875%
due
09/30/27
(Þ)
415
444
Plastipak
Holdings,
Inc.
6.250%
due
10/15/25
(Þ)
700
714
Post
Holdings,
Inc.
5.750%
due
03/01/27
(Þ)
219
228
5.500%
due
12/15/29
(Þ)
129
138
Procter
&
Gamble
Co.
(The)
2.450%
due
11/03/26
250
269
Progress
Energy,
Inc.
7.750%
due
03/01/31
135
196
Providence
Service
Corp.
(The)
5.875%
due
11/15/25
(Þ)
350
371
PTC,
Inc.
4.000%
due
02/15/28
(Þ)
442
457
QTS
Realty
Trust,
Inc.
3.875%
due
10/01/28
(Þ)
237
254
Radian
Group,
Inc.
4.500%
due
10/01/24
237
253
Radiate
Holdco
LLC
4.500%
due
09/15/26
(Þ)
451
467
Range
Resources
Corp.
8.250%
due
01/15/29
(Þ)
163
180
Realogy
Group
LLC
/
Realogy
Co-Issuer
Corp.
9.375%
due
04/01/27
(Þ)
224
248
Regency
Energy
Partners,
LP
/
Regency
Energy
Finance
Corp.
4.500%
due
11/01/23
309
331
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
108
Opportunistic
Credit
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Regions
Financial
Corp.
7.375%
due
12/10/37
183
285
Reliance
Steel
&
Aluminum
Co.
4.500%
due
04/15/23
286
302
Rent-A-Center,
Inc.
6.375%
due
02/15/29
(Þ)
101
108
Republic
Services,
Inc.
3.375%
due
11/15/27
290
321
Resideo
Funding,
Inc.
6.125%
due
11/01/26
(Þ)
748
785
Retail
Properties
of
America,
Inc.
4.000%
due
03/15/25
276
294
RHP
Hotel
Properties,
LP
Series
WI
4.750%
due
10/15/27
454
470
RLJ
Lodging
Trust
3.750%
due
07/01/26
(Þ)
174
176
Rockies
Express
Pipeline
LLC
4.800%
due
05/15/30
(Þ)
650
661
Royal
Caribbean
Cruises,
Ltd.
11.500%
due
06/01/25
(Þ)
249
285
7.500%
due
10/15/27
177
202
3.700%
due
03/15/28
350
330
Sabine
Pass
Liquefaction
LLC
5.625%
due
04/15/23
276
296
Safeway,
Inc.
7.250%
due
02/01/31
452
534
Santander
Holdings
USA,
Inc.
3.450%
due
06/02/25
107
115
Series
WI
3.244%
due
10/05/26
149
160
SBA
Communications
Corp.
Series
WI
3.875%
due
02/15/27
363
374
Scientific
Games
International,
Inc.
7.250%
due
11/15/29
(Þ)
164
184
Scotts
Miracle-
Gro
Co.
(The)
Series
WI
4.500%
due
10/15/29
424
442
Seagate
HDD
Cayman
4.750%
due
06/01/23
528
562
Sealed
Air
Corp.
5.125%
due
12/01/24
(Þ)
339
368
6.875%
due
07/15/33
(Þ)
200
256
Service
Properties
Trust
5.000%
due
08/15/22
634
643
4.500%
due
06/15/23
477
487
4.650%
due
03/15/24
273
278
7.500%
due
09/15/25
375
423
4.950%
due
02/15/27
73
72
5.500%
due
12/15/27
186
198
3.950%
due
01/15/28
77
72
4.950%
due
10/01/29
109
106
4.375%
due
02/15/30
122
114
Sherwin-Williams
Co.
(The)
3.450%
due
06/01/27
278
309
Shire
Acquisitions
Investments
Ireland
DAC
2.875%
due
09/23/23
315
329
Silgan
Holdings,
Inc.
Series
WI
4.125%
due
02/01/28
357
370
Solar
Star
Funding
LLC
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
5.375%
due
06/30/35
(Þ)
230
265
Southern
Power
Co.
Series
F
4.950%
due
12/15/46
277
341
Southwestern
Energy
Co.
6.200%
due
01/23/25
275
301
Spectra
Energy
Partners,
LP
3.375%
due
10/15/26
274
299
Spirit
AeroSystems
,
Inc.
4.600%
due
06/15/28
103
100
Sprint
Capital
Corp.
6.875%
due
11/15/28
1,550
2,000
8.750%
due
03/15/32
492
759
Sprint
Communications,
Inc.
6.000%
due
11/15/22
255
270
Sprint
Corp.
7.625%
due
03/01/26
269
329
Series
WI
7.875%
due
09/15/23
892
1,009
Staples,
Inc.
7.500%
due
04/15/26
(Þ)
725
736
10.750%
due
04/15/27
(Þ)
839
814
Starbucks
Corp.
2.000%
due
03/12/27
310
322
Starwood
Property
Trust,
Inc.
Series
WI
4.750%
due
03/15/25
141
149
Stericycle,
Inc.
3.875%
due
01/15/29
(Þ)
366
371
Synchrony
Financial
3.700%
due
08/04/26
214
235
Synovus
Financial
Corp.
5.900%
due
02/07/29
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
3.379%)(Ê)
234
254
Targa
Resources
Partners,
LP
/
Targa
Resources
Partners
Finance
Corp.
4.875%
due
02/01/31
(Þ)
331
358
Taylor
Morrison
Communities,
Inc.
5.125%
due
08/01/30
(Þ)
350
381
TCI
Communications,
Inc.
7.875%
due
02/15/26
144
186
Team
Health
Holdings,
Inc.
6.375%
due
02/01/25
(Þ)
284
263
Teleflex,
Inc.
4.250%
due
06/01/28
(Þ)
357
372
Tenet
Healthcare
Corp.
4.875%
due
01/01/26
(Þ)
500
516
6.125%
due
10/01/28
(Þ)
350
373
6.875%
due
11/15/31
139
159
Tennessee
Gas
Pipeline
Co.
LLC
7.000%
due
10/15/28
218
287
Terraform
Global
Operating
LLC
6.125%
due
03/01/26
(Þ)
273
281
Terrier
Media
Buyer,
Inc.
8.875%
due
12/15/27
(Þ)
668
714
Texas
Capital
Bancshares,
Inc.
4.000%
due
05/06/31
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.150%)(Ê)
458
477
Texas
Eastern
Transmission,
LP
3.500%
due
01/15/28
(Þ)
271
298
Thermo
Fisher
Scientific,
Inc.
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
109
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.650%
due
12/15/25
227
251
Time
Warner
Cable
LLC
6.750%
due
06/15/39
202
287
Time
Warner
Entertainment
Co.,
LP
8.375%
due
07/15/33
214
328
T-Mobile
USA,
Inc.
4.750%
due
02/01/28
138
147
Series
WI
1.500%
due
02/15/26
328
332
TransDigm
,
Inc.
8.000%
due
12/15/25
(Þ)
245
263
6.250%
due
03/15/26
(Þ)
869
911
Transocean
Guardian,
Ltd.
5.875%
due
01/15/24
(Þ)
51
48
Transocean
Poseidon,
Ltd.
6.875%
due
02/01/27
(Þ)
47
46
Transocean,
Inc.
7.250%
due
11/01/25
(Þ)
503
401
7.500%
due
01/15/26
(Þ)
246
191
8.000%
due
02/01/27
(Þ)
363
268
9.350%
due
12/15/41
417
265
Trident
TPI
Holdings,
Inc.
9.250%
due
08/01/24
(Þ)
673
709
Trinity
Industries,
Inc.
4.550%
due
10/01/24
268
285
Triumph
Group,
Inc.
6.250%
due
09/15/24
(Þ)
704
708
Series
WI
7.750%
due
08/15/25
1,329
1,336
TWDC
Enterprises
18
Corp.
2.350%
due
12/01/22
272
279
Tyson
Foods,
Inc.
4.875%
due
08/15/34
265
334
Uber
Technologies,
Inc.
6.250%
due
01/15/28
(Þ)
227
245
United
Airlines,
Inc.
4.625%
due
04/15/29
(Þ)
195
201
Series
144a
4.375%
due
04/15/26
(Þ)
187
192
United
Parcel
Service,
Inc.
2.500%
due
04/01/23
319
330
United
Rentals
NA,
Inc.
5.500%
due
05/15/27
228
240
United
States
Steel
Corp.
6.650%
due
06/01/37
188
203
United
Technologies
Corp.
5.400%
due
05/01/35
241
323
Uniti
Group,
LP
/
Uniti
Fiber
Holdings,
Inc.
/
CSL
Capital
LLC
7.125%
due
12/15/24
(Þ)
307
316
7.875%
due
02/15/25
(Þ)
31
33
6.500%
due
02/15/29
(Þ)
453
459
Uniti
Group,
LP
/
Uniti
Group
Finance,
Inc.
/
CSL
Capital
LLC
4.750%
due
04/15/28
(Þ)
270
271
Univision
Communications,
Inc.
6.625%
due
06/01/27
(Þ)
353
380
Unum
Group
5.750%
due
08/15/42
237
299
Upjohn,
Inc.
2.700%
due
06/22/30
(Þ)
265
272
US
Foods,
Inc.
4.750%
due
02/15/29
(Þ)
448
457
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Valero
Energy
Corp.
7.500%
due
04/15/32
223
315
Vector
Group,
Ltd.
5.750%
due
02/01/29
(Þ)
433
439
Venture
Global
Calcasieu
Pass
LLC
3.875%
due
08/15/29
(Þ)
236
241
4.125%
due
08/15/31
(Þ)
269
279
Veritas
US,
Inc.
/
Veritas
Bermuda,
Ltd.
10.500%
due
02/01/24
(Þ)
2,892
2,946
7.500%
due
09/01/25
(Þ)
700
724
Verizon
Communications,
Inc.
2.625%
due
08/15/26
251
268
VICI
Properties,
LP
/
VICI
Note
Co.,
Inc.
4.125%
due
08/15/30
(Þ)
354
372
Vistra
Operations
Co.
LLC
5.000%
due
07/31/27
(Þ)
443
457
Voya
Financial,
Inc.
Series
WI
4.700%
due
01/23/48
(USD
3
Month
LIBOR
+
2.084%)(Ê)
302
318
Wachovia
Corp.
5.500%
due
08/01/35
255
338
Walmart,
Inc.
3.400%
due
06/26/23
261
276
Walt
Disney
Co.
(The)
3.700%
due
03/23/27
287
325
Warrior
Met
Coal,
Inc.
8.000%
due
11/01/24
(Þ)
853
868
Webster
Financial
Corp.
4.100%
due
03/25/29
254
285
Wells
Fargo
&
Co.
5.950%
due
08/26/36
243
339
3.900%
due
05/01/45
264
314
Western
Gas
Partners,
LP
5.500%
due
08/15/48
25
28
Western
Midstream
Operating,
LP
4.050%
due
02/01/30
146
164
5.450%
due
04/01/44
290
325
5.300%
due
03/01/48
432
476
5.250%
due
02/01/50
266
313
Westinghouse
Air
Brake
Technologies
Corp.
4.950%
due
09/15/28
237
278
Williams
Scotsman
International,
Inc.
4.625%
due
08/15/28
(Þ)
359
370
Windstream
Escrow
LLC
7.750%
due
08/15/28
(Þ)
391
399
Wyndham
Destinations,
Inc.
5.750%
due
04/01/27
190
206
Xerox
Corp.
4.125%
due
03/15/23
531
555
6.750%
due
12/15/39
118
133
XPO
CNW,
Inc.
6.700%
due
05/01/34
251
301
XPO
Logistics,
Inc.
6.250%
due
05/01/25
(Þ)
598
635
Yum!
Brands,
Inc.
3.875%
due
11/01/23
367
388
6.875%
due
11/15/37
92
118
Zions
Bancorp
NA
3.250%
due
10/29/29
316
337
213,702
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
110
Opportunistic
Credit
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
International
Debt
-
25.7%
1011778
B.C.
Unlimited
Liability
Co.
/
New
Red
Finance,
Inc.
4.000%
due
10/15/30
(Þ)
480
479
1MDB
Global
Investments,
Ltd.
Series
REGS
4.400%
due
03/09/23
1,000
1,004
ABN
AMRO
Bank
NV
4.800%
due
04/18/26
(Þ)
237
270
Abu
Dhabi
National
Energy
Co.
PJSC
4.375%
due
04/23/25
(Þ)
506
567
ADIB
Capital
Invest
2,
Ltd.
7.125%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.270%)(Ê)(ƒ)
602
646
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
5.875%
due
10/10/79
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.535%)(Ê)
225
236
Aeropuerto
Internacional
de
Tocumen
SA
Series
REGS
5.625%
due
05/18/36
548
623
Agua
y
Saneamientos
Argentinos
SA
6.625%
due
02/01/23
1,669
918
Air
Liquide
Finance
SA
2.250%
due
09/27/23
(Þ)
282
292
Alibaba
Group
Holding,
Ltd.
Series
WI
4.500%
due
11/28/34
225
265
Alimentation
Couche-Tard,
Inc.
3.550%
due
07/26/27
(Þ)
238
265
AMC
Entertainment
Holdings,
Inc.
10.500%
due
04/24/26
(Þ)
414
439
Apidos
CLO
XXXI
Series
2021-31A
Class
CR
2.029%
due
04/15/31
(USD
3
Month
LIBOR
+
1.900%)(Ê)(Þ)
1,140
1,141
Argentine
Republic
Government
International
Bond
1.000%
due
07/09/29
268
103
0.750%
due
07/09/30
(~)(Ê)
976
355
1.500%
due
07/09/35
(~)(Ê)
1,418
457
3.875%
due
01/09/38
(~)(Ê)
2,284
904
Ashtead
Capital,
Inc.
4.250%
due
11/01/29
(Þ)
296
321
Aston
Martin
Capital
Holdings,
Ltd.
10.500%
due
11/30/25
(Þ)
400
444
AstraZeneca
PLC
0.300%
due
05/26/23
333
333
ATS
Automation
Tooling
Systems,
Inc.
4.125%
due
12/15/28
(Þ)
371
377
Avation
Capital
SA
6.500%
due
10/31/26
(Þ)
526
429
Babson
CLO,
Ltd.
Series
2014-IA
Class
C
4.585%
due
07/20/25
(USD
3
Month
LIBOR
+
3.450%)(Ê)(Þ)
250
250
Bahrain
Government
International
Bond
7.000%
due
01/26/26
(Þ)
2,000
2,241
Banco
de
Credito
del
Peru
4.250%
due
04/01/23
(Þ)
269
279
Banco
de
Credito
e
Inversiones
SA
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
4.000%
due
02/11/23
(Þ)
269
282
Banco
do
Brasil
SA
Series
REGS
9.000%
due
06/29/49
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
10
Year
+
6.362%)(Ê)(ƒ)
491
547
9.250%
due
10/29/49
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
10
Year
+
7.327%)(Ê)(ƒ)
379
411
Banco
Inbursa
SA
Institucion
de
Banca
Multiple
4.375%
due
04/11/27
(Þ)
235
252
Banco
Nacional
de
Costa
Rica
Series
REGS
6.250%
due
11/01/23
335
360
Banco
Santander
SA
2.749%
due
12/03/30
331
334
Bancolombia
SA
3.000%
due
01/29/25
322
325
Bangkok
Bank
PCL
9.025%
due
03/15/29
(Þ)
169
236
Bank
of
Nova
Scotia
(The)
3.400%
due
02/11/24
254
272
Banque
Centrale
de
Tunisie
SA
Series
REGS
5.750%
due
01/30/25
1,048
886
Barclays
Bank
PLC
6.860%
due
09/29/49
(USD
6
Month
LIBOR
+
1.730%)(Ê)(ƒ)(Þ)
345
468
6.278%
due
12/29/49
(USD
3
Month
LIBOR
+
1.550%)(Ê)(ƒ)
225
303
Barclays
PLC
4.950%
due
01/10/47
241
316
Barings
CLO,
Ltd.
Series
2021-1A
Class
D
2.900%
due
04/25/34
(USD
3
Month
LIBOR
+
2.900%)(Ê)(Þ)
1,000
999
Bayer
US
Finance
II
LLC
3.875%
due
12/15/23
(Þ)
310
332
3.375%
due
10/08/24
(Þ)
292
314
Benefit
Street
Partners
CLO
IV,
Ltd.
Series
2021-IVA
Class
BRRR
2.284%
due
01/20/32
(USD
3
Month
LIBOR
+
2.150%)(Ê)(Þ)
500
498
Betony
CLO
2,
Ltd.
Series
2018-1A
Class
B
2.055%
due
04/30/31
(USD
3
Month
LIBOR
+
1.850%)(Ê)(Þ)
1,000
993
Bharti
Airtel
International
Netherlands
BV
Series
144a
5.125%
due
03/11/23
(Þ)
307
325
BlueMountain
CLO,
Ltd.
Series
2018-3A
Class
C
3.191%
due
10/25/30
(USD
3
Month
LIBOR
+
2.200%)(Ê)(Þ)
500
496
BNP
Paribas
SA
4.625%
due
03/13/27
(Þ)
243
276
Boxer
Parent
Co.,
Inc.
Series
REGS
6.500%
due
10/02/25
EUR
300
375
Brazil
Loan
Trust
1
5.477%
due
07/24/23
(Þ)
684
708
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
111
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Brookfield
Finance,
Inc.
4.700%
due
09/20/47
236
296
Brookfield
Residential
Properties,
Inc.
6.250%
due
09/15/27
(Þ)
438
463
Canadian
Imperial
Bank
of
Commerce
3.100%
due
04/02/24
296
315
Canadian
Natural
Resources,
Ltd.
5.850%
due
02/01/35
240
315
Canadian
Pacific
Railway
Co.
6.125%
due
09/15/15
214
341
Carlyle
Global
Market
Strategies
CLO,
Ltd.
Series
2018-4A
Class
BR
3.235%
due
10/20/27
(USD
3
Month
LIBOR
+
2.100%)(Ê)(Þ)
500
500
Carnival
Corp.
1.875%
due
11/07/22
EUR
720
843
1.000%
due
10/28/29
EUR
160
151
Series
REGS
7.625%
due
03/01/26
EUR
200
258
Cedar
Funding
V
CLO,
Ltd.
Series
2018-5A
Class
CR
3.235%
due
07/17/31
(USD
3
Month
LIBOR
+
2.100%)(Ê)(Þ)
250
249
Celulosa
Arauco
y
Constitucion
SA
Series
WI
3.875%
due
11/02/27
182
196
Cemig
Geracao
e
Transmissao
SA
Series
REGS
9.250%
due
12/05/24
397
457
Cenovus
Energy,
Inc.
6.750%
due
11/15/39
162
221
CEZ
AS
Series
REGS
5.625%
due
04/03/42
383
489
Chalco
Hong
Kong
Investment
Co.,
Ltd.
4.250%
due
12/29/49
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
7.931%)(Ê)(ƒ)
390
391
4.250%
due
12/31/99
(~)(Ê)(ƒ)
93
93
China
Evergrande
Group
9.500%
due
03/29/24
500
199
8.750%
due
06/28/25
596
246
CIFC
Funding,
Ltd.
Series
2017-1A
Class
C
3.559%
due
04/23/29
(USD
3
Month
LIBOR
+
2.450%)(Ê)(Þ)
500
500
Series
2018-4RA
Class
B
2.334%
due
10/17/30
500
500
CIFC
LLC
Series
2021-2A
Class
CR
2.234%
due
04/17/34
(USD
3
Month
LIBOR
+
2.100%)(Ê)(Þ)
1,000
1,001
CNH
Industrial
NV
4.500%
due
08/15/23
307
330
Colombia
Government
International
Bond
3.875%
due
04/25/27
300
317
7.375%
due
09/18/37
1,000
1,294
6.125%
due
01/18/41
600
703
5.000%
due
06/15/45
500
523
Comision
Federal
de
Electricidad
Series
REGS
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
5.750%
due
02/14/42
625
695
Commerzbank
AG
8.125%
due
09/19/23
(Þ)
370
420
Commonwealth
Bank
of
Australia
4.316%
due
01/10/48
(Þ)
281
343
Consolidated
Energy
Finance
SA
6.875%
due
06/15/25
(Þ)
335
340
6.500%
due
05/15/26
(Þ)
727
735
Corp.
Nacional
del
Cobre
de
Chile
3.700%
due
01/30/50
(Þ)
400
421
Costa
Rica
Government
International
Bond
7.000%
due
04/04/44
(Þ)
2,000
2,100
Coty,
Inc.
Series
REGS
3.875%
due
04/15/26
EUR
650
774
Credit
Agricole
SA
3.250%
due
10/04/24
(Þ)
301
322
4.375%
due
03/17/25
(Þ)
283
312
Credit
Suisse
Group
AG
Series
WI
3.800%
due
06/09/23
255
270
Danone
SA
2.589%
due
11/02/23
(Þ)
277
289
Danske
Bank
A/S
1.226%
due
06/22/24
(Þ)
325
329
Deutsche
Bank
AG
3.950%
due
02/27/23
312
327
3.700%
due
05/30/24
258
276
4.500%
due
04/01/25
555
598
4.296%
due
05/24/28
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
2.248%)(Ê)
462
478
Series
1254
4.100%
due
01/13/26
255
281
Deutsche
Telekom
International
Finance
BV
2.485%
due
09/19/23
(Þ)
312
324
Development
Bank
of
Mongolia
LLC
Series
REGS
7.250%
due
10/23/23
350
374
Development
Bank
of
the
Republic
of
Belarus
JSC
Series
REGS
6.750%
due
05/02/24
1,177
1,095
DKT
Finance
ApS
9.375%
due
06/17/23
(Þ)
1,325
1,351
Dominican
Republic
Government
International
Bond
7.450%
due
04/30/44
(Þ)
1,000
1,220
6.850%
due
01/27/45
(Þ)
750
852
Dryden
30
Senior
Loan
Fund
Series
2017-30A
Class
DR
2.992%
due
11/15/28
(USD
3
Month
LIBOR
+
2.600%)(Ê)(Þ)
500
484
Ecopetrol
SA
7.375%
due
09/18/43
1,018
1,242
5.875%
due
05/28/45
101
108
Ecuador
Government
International
Bond
5.500%
due
07/31/30
(~)(Ê)(Þ)
475
415
8.408%
due
07/31/30
(Þ)
107
59
2.500%
due
07/31/35
(~)(Ê)(Þ)
1,614
1,118
1.500%
due
07/31/40
(~)(Ê)(Þ)
461
283
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
112
Opportunistic
Credit
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Egypt
Government
International
Bond
5.875%
due
06/11/25
(Þ)
500
531
6.875%
due
04/30/40
(Þ)
2,000
1,923
8.700%
due
03/01/49
(Þ)
750
783
El
Salvador
Government
International
Bond
Series
REGS
5.875%
due
01/30/25
1,500
1,343
7.650%
due
06/15/35
498
436
Electricite
de
France
SA
5.250%
due
01/29/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
10
Year
Rate
+
3.709%)(Ê)
(ƒ)(Þ)
333
349
Emirates
NBD
Bank
PJSC
6.125%
due
12/31/99
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
6
Year
Rate
+
3.656%)(Ê)(ƒ)
534
572
Series
.
6.125%
due
12/31/99
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
6
Year
Rate
+
5.702%)(Ê)(ƒ)
362
397
Empresa
de
Transporte
de
Pasajeros
Metro
SA
Series
REGS
5.000%
due
01/25/47
568
703
Empresa
Nacional
del
Petroleo
Series
REGS
4.500%
due
09/14/47
538
556
Enbridge,
Inc.
3.700%
due
07/15/27
167
186
Enel
Finance
International
NV
6.000%
due
10/07/39
(Þ)
202
288
Eskom
Holdings
SOC,
Ltd.
8.450%
due
08/10/28
200
225
Series
REGS
7.125%
due
02/11/25
2,711
2,847
8.450%
due
08/10/28
402
452
Ethiopia
Government
International
Bond
6.625%
due
12/11/24
(Þ)
1,000
888
Export-Import
Bank
of
India
Series
GMTN
3.875%
due
03/12/24
200
213
Series
REGS
3.375%
due
08/05/26
200
214
Fairfax
Financial
Holdings,
Ltd.
Series
WI
4.850%
due
04/17/28
248
289
Falabella
SA
4.375%
due
01/27/25
(Þ)
299
322
First
Quantum
Minerals,
Ltd.
7.250%
due
04/01/23
(Þ)
775
790
7.500%
due
04/01/25
(Þ)
175
181
6.875%
due
03/01/26
(Þ)
366
382
6.875%
due
10/15/27
(Þ)
119
129
Fly
Leasing,
Ltd.
Series
0005
5.250%
due
10/15/24
378
379
Ford
Motor
Credit
Co.
LLC
2.330%
due
11/25/25
EUR
242
301
2.386%
due
02/17/26
EUR
345
430
Fortescue
Metals
Group,
Ltd.
5.125%
due
05/15/24
(Þ)
414
447
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Franshion
Brilliant,
Ltd.
5.750%
due
12/29/49
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.859%)(Ê)(ƒ)
226
219
4.875%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.750%)(Ê)(ƒ)
488
418
Fresenius
Medical
Care
US
Finance
II,
Inc.
4.750%
due
10/15/24
(Þ)
263
291
Gabon
Government
International
Bond
6.375%
due
12/12/24
(Þ)
500
531
Gazprom
OAO
Via
Gaz
Capital
SA
Series
REGS
7.288%
due
08/16/37
1,000
1,394
Ghana
Government
International
Bond
8.125%
due
01/18/26
(Þ)
700
742
10.750%
due
10/14/30
(Þ)
250
311
GlaxoSmithKline
Capital,
Inc.
2.800%
due
03/18/23
276
287
Global
Aircraft
Leasing
Co.,
Ltd.
6.500%
due
09/15/24
(Þ)
1,988
1,997
Global
Finance
SA
Series
2021-1A
Class
A
1.860%
due
04/17/41
(Þ)
872
875
goeasy
,
Ltd.
4.375%
due
05/01/26
(Þ)
456
470
Greenland
Global
Investment,
Ltd.
5.875%
due
07/03/24
457
343
Gtlk
Europe
Captial
DAC
4.800%
due
02/26/28
200
210
Highlands
Holdings
Bond
Issuer,
Ltd.
7.625%
due
10/15/25
(Þ)
663
702
HOM
RE,
Ltd.
Series
2019-1
Class
M2
3.368%
due
05/25/29
(USD
1
Month
LIBOR
+
3.250%)(Ê)(Þ)
1,000
1,013
Honduras
Government
International
Bond
Series
REGS
7.500%
due
03/15/24
500
533
HSBC
Holdings
PLC
6.500%
due
05/02/36
228
317
Huarong
Finance
2017
Co.,
Ltd.
4.750%
due
04/27/27
465
305
4.000%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
6.983%)(Ê)(ƒ)
500
332
Huarong
Finance
2019
Co.,
Ltd.
Series
GMTN
4.250%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
6.979%)(Ê)(ƒ)
500
250
Huarong
Finance
II
Co.,
Ltd.
5.500%
due
01/16/25
200
142
Hudbay
Minerals,
Inc.
6.125%
due
04/01/29
(Þ)
165
178
Indonesia
Asahan
Aluminium
(
Persero
)
PT
Series
REGS
6.757%
due
11/15/48
200
259
Instituto
Costarricense
de
Electricidad
Series
REGS
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
113
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
6.375%
due
05/15/43
1,034
905
International
Bank
of
Azerbaijan
OJSC
Series
REGS
3.500%
due
09/01/24
200
200
Intesa
Sanpaolo
SpA
3.375%
due
01/12/23
(Þ)
160
166
5.017%
due
06/26/24
(Þ)
571
620
3.875%
due
07/14/27
(Þ)
149
163
Inversiones
CMPC
SA
4.375%
due
05/15/23
(Þ)
315
328
4.750%
due
09/15/24
(Þ)
294
321
ION
Trading
Technologies
SARL
5.750%
due
05/15/28
(Þ)
447
463
Iraq
Government
International
Bond
Series
REGS
5.800%
due
01/15/28
813
776
Jordan
Government
International
Bond
Series
REGS
5.750%
due
01/31/27
200
215
7.375%
due
10/10/47
1,500
1,572
Kaisa
Group
Holdings,
Ltd.
10.875%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
3
Year
+
15.718%)(Ê)(ƒ)
1,000
843
Kazakhstan
Temir
Zholy
Finance
BV
Series
REGS
6.950%
due
07/10/42
664
923
KazMunayGas
National
Co.
JSC
Series
REGS
5.750%
due
04/19/47
366
455
KCA
Deutag
UK
Finance
PLC
Series
REGS
9.875%
due
12/01/25
293
320
Kenya
Government
International
Bond
8.250%
due
02/28/48
200
221
Series
REGS
6.875%
due
06/24/24
1,000
1,099
Kondor
Finance
PLC
Series
REGS
7.625%
due
11/08/26
1,110
1,134
Kraft
Heinz
Foods
Co.
2.000%
due
06/30/23
EUR
250
307
1.500%
due
05/24/24
EUR
300
368
4.125%
due
07/01/27
GBP
500
780
2.250%
due
05/25/28
EUR
403
526
Lamar
Funding,
Ltd.
Series
REGS
3.958%
due
05/07/25
690
689
LBC
Tank
Terminals
Holding
Netherlands
BV
6.875%
due
05/15/23
(Þ)
750
745
LCM
28,
Ltd.
Series
2018-28A
Class
C
3.285%
due
10/20/30
(USD
3
Month
LIBOR
+
2.150%)(Ê)(Þ)
500
500
Lebanon
Government
International
Bond
Series
GMTN
6.200%
due
02/26/25
500
60
Series
REGS
6.000%
due
01/27/23
230
27
Lloyds
Banking
Group
PLC
4.650%
due
03/24/26
283
323
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
6.413%
due
01/29/49
(USD
3
Month
LIBOR
+
1.495%)(Ê)(ƒ)(Þ)
211
292
Series
144a
6.657%
due
12/29/49
(USD
3
Month
LIBOR
+
1.270%)(Ê)(ƒ)(Þ)
255
361
Loanpal
Solar
Loan,
Ltd.
Series
2021-2GS
Class
A
2.220%
due
03/20/48
(Þ)
648
658
Lukoil
International
Finance
BV
4.563%
due
04/24/23
(Þ)
311
329
Madison
Park
Funding
XXXI,
Ltd.
Series
2018-31A
Class
C
3.193%
due
01/23/31
(USD
3
Month
LIBOR
+
2.150%)(Ê)(Þ)
250
250
Marks
&
Spencer
PLC
7.125%
due
12/01/37
(Þ)
204
242
Mattamy
Group
Corp.
4.625%
due
03/01/30
(Þ)
627
650
Mauser
Packaging
Solutions
Holding
Co.
Series
REGS
4.750%
due
04/15/24
EUR
300
355
MEG
Energy
Corp.
7.125%
due
02/01/27
(Þ)
800
839
Meituan
2.125%
due
10/28/25
(Þ)
276
268
Methanex
Corp.
5.250%
due
12/15/29
527
583
Mexico
City
Airport
Trust
Series
REGS
5.500%
due
07/31/47
225
227
Mongolian
Mining
Corp./Energy
Resources
LLC
Series
REGS
9.250%
due
04/15/24
754
645
Morgan
Stanley
Bank
of
America
Merril
Lynch
Trust
Series
2015-C25
Class
D
3.068%
due
10/15/48
450
445
Morocco
Government
International
Bond
5.500%
due
12/11/42
(Þ)
250
286
Mozambique
International
Bond
9.000%
due
09/15/31
(~)(Ê)(Þ)
1,279
1,087
MPT
Operating
Partnership,
LP
/
MPT
Finance
Corp.
3.692%
due
06/05/28
GBP
600
893
Mumtalakt
Sukuk
Holding
Co.
5.625%
due
02/27/24
401
425
Nabors
Industries,
Inc.
7.250%
due
01/15/26
(Þ)
466
436
7.500%
due
01/15/28
(Þ)
103
93
Nakilat
,
Inc.
Series
REGS
6.067%
due
12/31/33
360
444
National
Bank
of
Canada
2.150%
due
10/07/22
(Þ)
269
275
National
Bank
of
Fujairah
PJSC
5.875%
due
12/31/99
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.301%)(Ê)(ƒ)
200
208
Neuberger
Berman
CLO
XXII,
Ltd.
Series
2018-22A
Class
CR
3.335%
due
10/17/30
(USD
3
Month
LIBOR
+
2.200%)(Ê)(Þ)
500
500
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
114
Opportunistic
Credit
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Neuberger
Berman
CLO,
Ltd.
Series
2021-31A
Class
CR
1.000%
due
04/20/31
(USD
3
Month
LIBOR
+
1.950%)(Ê)(Þ)
500
500
Nigeria
Government
International
Bond
6.500%
due
11/28/27
(Þ)
500
531
nogaholding
Sukuk
,
Ltd.
Series
REGS
5.250%
due
04/08/29
247
258
Nokia
OYJ
6.625%
due
05/15/39
14
19
Nordea
Bank
AB
4.250%
due
09/21/22
(Þ)
266
277
NTT
Finance
Corp.
0.373%
due
03/03/23
(Þ)
333
333
Nutrien
,
Ltd.
4.900%
due
06/01/43
262
341
Oaktree
CLO,
Ltd.
1.000%
due
07/15/34
(~)(Ê)(Þ)
1,000
1,001
Series
2021-1A
Class
ER
6.636%
due
07/15/34
(USD
3
Month
LIBOR
+
6.510%)(Ê)(Þ)
250
247
OCP
SA
Series
REGS
4.500%
due
10/22/25
343
371
6.875%
due
04/25/44
200
245
6.875%
due
04/25/44
326
400
Octagon
Investment
Partners
48,
Ltd.
Series
2020-3A
Class
B
1.984%
due
10/20/31
(USD
3
Month
LIBOR
+
1.850%)(Ê)(Þ)
500
501
Octagon
Loan
Funding,
Ltd.
Series
2018-1A
Class
CRR
2.586%
due
11/18/31
(USD
3
Month
LIBOR
+
2.200%)(Ê)(Þ)
250
249
OHA
Credit
Partners
XIV,
Ltd.
Series
2017-14A
Class
C
2.909%
due
01/21/30
(USD
3
Month
LIBOR
+
1.800%)(Ê)(Þ)
500
500
Oil
and
Gas
Holding
Co.
BSCC
(The)
Series
REGS
7.500%
due
10/25/27
1,071
1,186
OJSC
Russian
Agricultural
Bank
Series
REGS
8.500%
due
10/16/23
200
226
Oman
Government
International
Bond
Series
REGS
4.750%
due
06/15/26
600
620
5.625%
due
01/17/28
500
526
6.500%
due
03/08/47
500
496
6.750%
due
01/17/48
600
606
OmGrid
Funding,
Ltd.
Series
REGS
5.196%
due
05/16/27
516
531
Open
Text
Corp.
3.875%
due
02/15/28
(Þ)
364
376
OQ
SAOC
Series
REGS
5.125%
due
05/06/28
645
647
Oschadbank
Via
SSB
#1
PLC
7.028%
due
01/19/24
(USD
6
Month
LIBOR
+
6.875%)(Ê)
875
818
9.625%
due
03/20/25
(~)(Ê)(Þ)
290
313
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Oztel
Holdings
SPC,
Ltd.
Series
REGS
6.625%
due
04/24/28
200
220
Pakistan
Government
International
Bond
Series
REGS
7.875%
due
03/31/36
1,700
1,691
Paraguay
Government
International
Bond
6.100%
due
08/11/44
(Þ)
551
687
Parkland
Fuel
Corp.
5.875%
due
07/15/27
(Þ)
108
115
4.500%
due
10/01/29
(Þ)
456
469
Pertamina
Persero
PT
Series
REGS
6.450%
due
05/30/44
2,300
2,993
Perusahaan
Perseroan
(
Persero
)
PT
Perusahaan
Listrik
Negara
Series
REGS
5.250%
due
10/24/42
440
496
6.250%
due
01/25/49
245
311
Petrobras
Global
Finance
BV
6.875%
due
01/20/40
228
269
6.850%
due
06/05/15
1,293
1,442
Petro-Canada
6.800%
due
05/15/38
212
309
Petroleos
de
Venezuela
SA
5.375%
due
04/12/27
1,000
42
Series
REGS
6.000%
due
05/16/24
8,000
340
6.000%
due
11/15/26
3,986
169
5.500%
due
04/12/37
2,150
91
Petroleos
del
Peru
SA
Series
REGS
5.625%
due
06/19/47
952
983
Petroleos
Mexicanos
6.625%
due
06/15/38
4,000
3,701
6.500%
due
06/02/41
650
588
5.500%
due
06/27/44
1,000
819
Series
REGS
6.625%
due
09/29/49
(~)(Ê)(ƒ)
804
691
Series
WI
6.875%
due
08/04/26
45
49
6.500%
due
01/23/29
90
93
5.625%
due
01/23/46
1,000
821
6.750%
due
09/21/47
1,333
1,192
7.690%
due
01/23/50
1,800
1,750
6.950%
due
01/28/60
1,050
942
PETRONAS
Capital,
Ltd.
Series
REGS
4.550%
due
04/21/50
1,000
1,229
Popular,
Inc.
6.125%
due
09/14/23
262
282
POSCO
2.375%
due
01/17/23
(Þ)
272
278
Power
Finance
Corp.,
Ltd.
3.750%
due
12/06/27
400
417
Power
Sector
Assets
&
Liabilities
Management
Corp.
Series
REGS
7.390%
due
12/02/24
607
730
Prima
Capital
CRE
Securitization,
Ltd.
Series
2019-RK1
Class
DD
3.500%
due
04/15/38
(Þ)
480
477
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
115
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Privatbank
CJSC
Via
UK
SPV
Credit
Finance
PLC
Series
DPW
10.250%
due
01/23/49
1,240
186
Prosus
NV
3.680%
due
01/21/30
(Þ)
254
268
Provincia
de
Buenos
Aires
7.875%
due
06/15/27
(~)(Ê)(Þ)
300
144
PTTEP
Canada
International
Finance,
Ltd.
Series
REGS
6.350%
due
06/12/42
370
521
Qatar
Government
International
Bond
Series
REGS
4.817%
due
03/14/49
300
390
Quebecor
Media,
Inc.
5.750%
due
01/15/23
257
276
Radnor
RE,
Ltd.
Series
2021-1
Class
M1C
2.710%
due
12/27/33
(SOFR
30
Day
Average
+
2.700%)(Ê)(Þ)
500
501
Republic
of
Egypt
Government
International
Bond
Series
REGS
8.700%
due
03/01/49
250
261
Republic
of
Nigeria
Government
International
Bond
Series
REGS
7.696%
due
02/23/38
250
256
Reynolds
American,
Inc.
5.700%
due
08/15/35
270
334
Russian
Agricultural
Bank
OJSC
Via
RSHB
Capital
SA
Series
REGS
8.500%
due
10/16/23
475
536
Russian
Federation
International
Bond
Series
REGS
7.500%
due
03/31/30
(~)(Ê)
338
388
SABIC
Capital
II
BV
4.000%
due
10/10/23
(Þ)
217
232
Saka
Energi
Indonesia
PT
Series
REGS
4.450%
due
05/05/24
1,072
984
Sands
China,
Ltd.
Series
WI
4.600%
due
08/08/23
304
322
Santander
UK
Group
Holdings
PLC
3.373%
due
01/05/24
(USD
3
Month
LIBOR
+
1.080%)(Ê)
275
286
Santander
UK
PLC
5.000%
due
11/07/23
(Þ)
148
161
Saudi
Arabia
Government
International
Bond
4.500%
due
10/26/46
1,500
1,760
Series
REGS
4.625%
due
10/04/47
250
299
Saudi
Arabian
Oil
Co.
2.875%
due
04/16/24
(Þ)
281
295
4.375%
due
04/16/49
400
468
4.375%
due
04/16/49
(Þ)
200
234
Saudi
Electricity
Global
Sukuk
Co.
Series
REGS
5.500%
due
04/08/44
450
575
5.500%
due
04/08/44
51
65
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Saudi
Government
International
Bond
3.750%
due
01/21/55
(Þ)
600
637
Scenery
Journey,
Ltd.
13.750%
due
11/06/23
400
152
Schneider
Electric
SE
2.950%
due
09/27/22
(Þ)
269
277
Seagate
HDD
Cayman
5.750%
due
12/01/34
271
320
Seaspan
Corp.
5.500%
due
08/01/29
(Þ)
669
667
Senegal
Government
International
Bond
Series
REGS
6.750%
due
03/13/48
250
256
Silver
Creek
CLO,
Ltd.
Series
2017-1A
Class
CR
3.435%
due
07/20/30
(USD
3
Month
LIBOR
+
2.300%)(Ê)(Þ)
250
250
Sinopec
Group
Overseas
Development,
Ltd.
Series
REGS
2.750%
due
09/29/26
350
375
SK
Hynix,
Inc.
1.000%
due
01/19/24
(Þ)
320
319
Societe
Generale
SA
5.000%
due
01/17/24
(Þ)
266
289
Sri
Lanka
Government
International
Bond
7.550%
due
03/28/30
(Þ)
500
306
Series
REGS
6.850%
due
03/14/24
200
130
6.825%
due
07/18/26
1,300
819
6.200%
due
05/11/27
200
122
Standard
Chartered
PLC
5.200%
due
01/26/24
(Þ)
174
191
7.014%
due
12/30/49
(USD
3
Month
LIBOR
+
1.460%)(Ê)(ƒ)(Þ)
415
571
Standard
Industries,
Inc.
Series
REGS
2.250%
due
11/21/26
EUR
353
412
State
Bank
of
India
4.875%
due
04/17/24
(Þ)
262
286
5.500%
due
09/29/49
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.274%)(Ê)(ƒ)
200
200
State
Oil
Co.
of
Azerbaijan
Republic
6.950%
due
03/18/30
531
659
Statoil
ASA
2.450%
due
01/17/23
269
278
Sumitomo
Mitsui
Financial
Group,
Inc.
2.778%
due
10/18/22
305
314
Superior
Plus
Corp.
4.500%
due
03/15/29
(Þ)
217
223
Sura
Asset
Management
SA
4.375%
due
04/11/27
(Þ)
246
264
Symphony
CLO
XIV,
Ltd.
Series
2019-14A
Class
DR
4.411%
due
07/14/26
(USD
3
Month
LIBOR
+
3.100%)(Ê)(Þ)
500
501
Symphony
CLO
XIX,
Ltd.
Series
2018-19A
Class
C
2.926%
due
04/16/31
(USD
3
Month
LIBOR
+
1.750%)(Ê)(Þ)
500
500
Takeda
Pharmaceutical
Co.,
Ltd.
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
116
Opportunistic
Credit
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
WI
4.400%
due
11/26/23
305
331
TC
Ziraat
Bankasi
AS
Series
REGS
5.125%
due
09/29/23
330
338
5.375%
due
03/02/26
325
321
Telecom
Italia
Capital
SA
5.303%
due
05/30/24
(Þ)
219
237
6.375%
due
11/15/33
600
709
6.000%
due
09/30/34
260
298
7.721%
due
06/04/38
50
67
Telesat
Canada
/
Telesat
LLC
5.625%
due
12/06/26
(Þ)
462
428
Tencent
Holdings,
Ltd.
3.280%
due
04/11/24
(Þ)
263
279
Tervita
Corp.
11.000%
due
12/01/25
(Þ)
326
373
Textainer
Marine
Containers
VII,
Ltd.
Series
2021-2A
Class
A
2.230%
due
04/20/46
(Þ)
931
950
Toronto-Dominion
Bank
(The)
0.300%
due
06/02/23
333
333
Total
Capital
International
SA
2.700%
due
01/25/23
268
278
TotalEnergies
Capital
Canada,
Ltd.
2.750%
due
07/15/23
260
272
Trinidad
Generation
UnLtd
Series
REGS
5.250%
due
11/04/27
529
542
Trinidad
Petroleum
Holdings,
Ltd.
Series
REGS
9.750%
due
06/15/26
463
519
Tsinghua
Unic
,
Ltd.
5.375%
due
01/31/23
(~)(Ê)
1,200
544
6.500%
due
01/31/28
(~)(Ê)
450
205
Turkey
Government
International
Bond
7.375%
due
02/05/25
600
651
5.875%
due
06/26/31
1,000
978
6.750%
due
05/30/40
1,000
990
4.875%
due
04/16/43
500
402
6.625%
due
02/17/45
2,000
1,918
5.750%
due
05/11/47
700
604
Turkiye
Ihracat
Kredi
Bankasi
Anonim
Sirketi
Series
REGS
5.750%
due
07/06/26
249
249
Turkiye
Ihracat
Kredi
Bankasi
AS
Series
REGS
5.375%
due
10/24/23
294
303
6.125%
due
05/03/24
627
652
UBS
Group
AG
4.125%
due
04/15/26
(Þ)
241
271
Ukraine
Government
International
Bond
Series
GDp
0.750%
due
05/31/40
(~)(Ê)(Þ)
195
227
Series
REGS
7.253%
due
03/15/33
1,500
1,546
Ukraine
Railways
Via
Rail
Capital
Markets
PLC
8.250%
due
07/09/24
452
471
Ukreximbank
Via
Biz
Finance
PLC
7.289%
due
02/09/23
(USD
6
Month
LIBOR
+
7.000%)(Ê)(Þ)
2,022
2,002
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
UniCredit
SpA
7.296%
due
04/02/34
(USD
ICE
Swap
Rate
NY
5
Year
Rate
+
4.914%)(Ê)(Þ)
205
249
Unilever
Capital
Corp.
0.375%
due
09/14/23
334
335
Uzbek
Industrial
and
Construction
Bank
5.750%
due
12/02/24
900
953
Vale
Overseas,
Ltd.
6.250%
due
08/10/26
263
316
Vale
SA
5.625%
due
09/11/42
861
1,096
Venture
33
CLO,
Ltd.
2.406%
due
07/15/31
(~)(Ê)(Þ)
1,000
994
Venture
XX
CLO,
Ltd.
Series
2017-20A
Class
CR
3.119%
due
04/15/27
(USD
3
Month
LIBOR
+
1.900%)(Ê)(Þ)
250
250
Vermilion
Energy,
Inc.
Series
144a
5.625%
due
03/15/25
(Þ)
296
297
Vodafone
Group
PLC
7.000%
due
04/04/79
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.873%)(Ê)
588
730
Volkswagen
Group
of
America
Finance
LLC
2.700%
due
09/26/22
(Þ)
273
280
VTB
Bank
Series
REGS
6.950%
due
10/17/22
200
211
9.500%
due
12/31/49
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
10
Year
+
8.067%)(Ê)(ƒ)
1,014
1,101
Wynn
Macau,
Ltd.
5.625%
due
08/26/28
(Þ)
279
286
YPF
Energia
Electrica
SA
Series
REGS
10.000%
due
07/25/26
103
91
YPF
SA
7.000%
due
01/01/23
(~)(Ê)(Þ)
195
102
9.000%
due
01/01/23
(~)(Ê)(Þ)
93
67
Series
REGS
8.750%
due
04/04/24
180
160
ZF
NA
Capital,
Inc.
4.750%
due
04/29/25
(Þ)
321
348
189,905
Loan
Agreements
-
0.0%
Charming
Charlie,
Inc.
Converted
Term
Loan
A
0.000%
due
04/24/23
(~)(Ê)(Š)(Ø)(Æ)
374
Charming
Charlie,
Inc.
Converted
Term
Loan
B
0.000%
due
04/24/23
(~)(Ê)(Š)(Ø)(Æ)
460
Mortgage-Backed
Securities
-
13.4%
Arroyo
Mortgage
Trust
Series
2019-2
Class
A3
3.800%
due
04/25/49
(~)(Ê)(Þ)
228
231
Ascendas
Real
Estate
Investment
Trust
Series
2019-CRE3
Class
D
2.845%
due
09/14/36
(USD
1
Month
LIBOR
+
2.650%)(Ê)(Þ)
930
913
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
117
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
BAMLL
Commercial
Mortgage
Securities
Trust
Series
2015-200P
Class
F
3.716%
due
04/14/33
(~)(Ê)(Þ)
1,500
1,541
Bank
Commercial
Mortgage
Pass-
Through
Certificates
Series
2017-BNK4
Class
D
3.357%
due
05/15/50
(Þ)
1,000
960
Series
2017-BNK5
Class
XA
Interest
Only
STRIP
1.217%
due
06/15/60
(~)(Ê)
5,969
247
Series
2017-BNK6
Class
D
3.100%
due
07/15/60
(Þ)
140
129
Series
2021-BN31
Class
XA
Interest
Only
STRIP
1.000%
due
02/15/54
(~)(Ê)
1,585
164
Barclays
Commercial
Mortgage
Securities
LLC
Series
2020-BID
Class
C
3.785%
due
10/15/37
(USD
1
Month
LIBOR
+
3.640%)(Ê)(Þ)
600
606
BBCMS
Trust
Series
2021-AGW
Class
E
3.223%
due
06/15/36
(USD
1
Month
LIBOR
+
3.150%)(Ê)(Þ)
3,000
3,001
Benchmark
2019-B14
Mortgage
Trust
Series
2019-B14
Class
D
2.500%
due
12/15/62
(Þ)
990
917
Benchmark
2019-B9
Mortgage
Trust
Series
2019-B9
Class
D
3.000%
due
03/15/52
(Þ)
810
791
Benchmark
2021-B23
Mortgage
Trust
Series
2021-B23
Class
XA
Interest
Only
STRIP
1.280%
due
02/15/54
(~)(Ê)
1,957
186
BMD2
Re-
Remic
Trust
Series
2019-FRR1
Class
6B10
2.526%
due
05/25/52
(~)(Ê)(Þ)
892
836
BX
Commercial
Mortgage
Trust
Series
2021-IRON
Class
E
2.500%
due
02/15/38
(USD
1
Month
LIBOR
+
2.350%)(Ê)(Þ)
577
579
BX
Trust
Series
2019-OC11
Class
E
4.076%
due
12/09/41
(~)(Ê)(Þ)
180
192
Series
2021-SOAR
Class
E
1.900%
due
06/15/38
(USD
1
Month
LIBOR
+
1.800%)(Ê)(Þ)
1,500
1,508
CALI
Mortgage
Trust
Series
2019-101C
Class
E
4.469%
due
03/10/39
(~)(Ê)(Þ)
320
327
Cantor
Commercial
Real
Estate
Lending
Series
2019-CF2
Class
D
2.500%
due
11/15/52
(Þ)
775
704
CD
Mortgage
Trust
Series
2019-CD8
Class
XA
Interest
Only
STRIP
1.553%
due
08/15/57
(~)(Ê)
2,786
269
CFCRE
Commercial
Mortgage
Trust
Series
2016-C7
Class
XA
Interest
Only
STRIP
0.873%
due
12/10/54
(~)(Ê)
15,997
521
Chase
Home
Lending
Mortgage
Trust
Series
2019-1
Class
A15
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.500%
due
03/25/50
(~)(Ê)(Þ)
137
140
Series
2019-1
Class
A5
4.000%
due
03/25/50
(~)(Ê)(Þ)
800
816
Series
2019-ATR2
Class
A3
3.500%
due
07/25/49
(~)(Ê)(Þ)
257
264
CIM
Commercial
Trust
Corp.
Series
2021-J1
Class
A19
2.500%
due
03/25/51
(~)(Ê)(Þ)
953
970
Series
2021-J2
Class
A19
2.500%
due
04/25/51
(~)(Ê)(Þ)
480
488
CIM
Trust
Series
2018-INV1
Class
A10
4.000%
due
08/25/48
(~)(Ê)(Þ)
500
509
Series
2019-INV1
Class
A1
4.000%
due
02/25/49
(~)(Ê)(Þ)
163
165
Series
2019-J2
Class
A13
3.500%
due
10/25/49
(~)(Ê)(Þ)
715
729
Citigroup
Commercial
Mortgage
Trust
Series
2014-GC19
Class
E
4.761%
due
03/10/47
(~)(Ê)(Þ)
1,000
1,021
Series
2014-GC19
Class
F
3.665%
due
03/10/47
(~)(Ê)(Þ)
443
284
Series
2016-C2
Class
E
4.594%
due
08/10/49
(Þ)
120
92
Series
2016-P4
Class
F
4.880%
due
07/10/49
(~)(Ê)(Þ)
313
183
Series
2016-P5
Class
D
3.000%
due
10/10/49
(Þ)
670
549
Series
2018-C6
Class
D
5.235%
due
11/10/51
(~)(Ê)(Þ)
410
446
Series
2019-GC41
Class
XA
Interest
Only
STRIP
1.188%
due
08/10/56
(~)(Ê)
2,262
149
Citigroup
Mortgage
Loan
Trust
Series
2021-J2
Class
A4A
2.500%
due
07/25/51
(~)(Ê)(Þ)
597
605
Citigroup
Mortgage
Loan
Trust,
Inc.
Series
2021-J1
Class
A4A
2.500%
due
04/25/51
(~)(Ê)(Þ)
684
693
Commercial
Mortgage
Trust
Series
2013-CR8
Class
D
4.084%
due
06/10/46
(~)(Ê)(Þ)
1,310
1,331
Series
2013-CR10
Class
F
4.949%
due
08/10/46
(~)(Ê)(Þ)
160
145
Series
2013-GAM
Class
F
3.531%
due
02/10/28
(~)(Ê)(Þ)
250
228
Series
2016-CD1
Class
XA
Interest
Only
STRIP
1.532%
due
08/10/49
(~)(Ê)
7,508
422
Series
2017-COR2
Class
XA
Interest
Only
STRIP
1.321%
due
09/10/50
(~)(Ê)
5,297
316
Csail
Commercial
Mortgage
Trust
Series
2015-C2
Class
C
4.330%
due
06/15/57
(~)(Ê)
100
94
DBWF
Mortgage
Trust
Series
2015-LCM
Class
D
3.535%
due
06/10/34
(~)(Ê)(Þ)
1,000
922
Deephaven
Residential
Mortgage
Trust
Series
2021-1
Class
M1
2.093%
due
05/25/65
(~)(Ê)(Þ)
1,000
1,004
Ellington
Financial,
Inc.
Series
2019-2
Class
A3
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
118
Opportunistic
Credit
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.046%
due
11/25/59
(~)(Ê)(Þ)
521
530
Fannie
Mae
Connecticut
Avenue
Securities
Trust
Series
2016-C02
Class
1M2
6.168%
due
09/25/28
(USD
1
Month
LIBOR
+
6.000%)(Ê)
451
474
Series
2018-C02
Class
2M2
2.368%
due
08/25/30
(USD
1
Month
LIBOR
+
2.200%)(Ê)
834
843
Series
2018-C03
Class
1M2
2.318%
due
10/25/30
(USD
1
Month
LIBOR
+
2.150%)(Ê)
689
699
Series
2018-C05
Class
1M2
2.518%
due
01/25/31
(USD
1
Month
LIBOR
+
2.350%)(Ê)
750
759
Series
2018-C06
Class
1M2
2.168%
due
03/25/31
(USD
1
Month
LIBOR
+
2.000%)(Ê)
166
167
Series
2018-C06
Class
2M2
2.268%
due
03/25/31
(USD
1
Month
LIBOR
+
2.100%)(Ê)
610
616
Series
2018-R07
Class
1M2
2.568%
due
04/25/31
(USD
1
Month
LIBOR
+
2.400%)(Ê)(Þ)
538
541
Series
2019-R04
Class
2M2
2.268%
due
06/25/39
(USD
1
Month
LIBOR
+
2.100%)(Ê)(Þ)
165
165
Series
2020-R02
Class
2M2
2.168%
due
01/25/40
(USD
1
Month
LIBOR
+
2.000%)(Ê)(Þ)
490
492
Flagstar
Mortgage
Trust
Series
2018-1
Class
B1
4.008%
due
03/25/48
(~)(Ê)(Þ)
145
147
Series
2018-6RR
Class
B1
5.010%
due
10/25/48
(~)(Ê)(Þ)
473
490
Series
2018-3INV
Class
A3
4.000%
due
05/25/48
(~)(Ê)(Þ)
173
176
Fontainebleau
Florida
Hotel
LLC
Series
2019-FBLU
Class
F
4.095%
due
12/10/36
(~)(Ê)(Þ)
180
184
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
Series
2018-DNA1
Class
M2
1.968%
due
07/25/30
(USD
1
Month
LIBOR
+
1.800%)(Ê)
848
853
Series
2018-HQA1
Class
M2
2.468%
due
09/25/30
(USD
1
Month
LIBOR
+
2.300%)(Ê)
581
586
Series
2018-HQA2
Class
M2
2.468%
due
10/25/48
(USD
1
Month
LIBOR
+
2.300%)(Ê)(Þ)
1,000
1,008
Series
2020-DNA5
Class
M2
2.887%
due
10/25/50
(SOFR
30
Day
Average
+
2.800%)(Ê)(Þ)
700
708
Series
2021-DNA1
Class
M2
1.879%
due
01/25/51
(SOFR
30
Day
Average
+
1.800%)(Ê)(Þ)
1,000
1,003
Series
2021-HQA1
Class
M2
2.300%
due
08/25/33
(SOFR
30
Day
Average
+
2.250%)(Ê)(Þ)
1,000
1,011
FREMF
Mortgage
Trust
Series
2016-K57
Class
D
1.309%
due
08/25/49
(Þ)
1,450
1,006
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2016-K57
Class
X2A
Interest
Only
STRIP
0.100%
due
08/25/49
(Þ)
1
9
,
177
71
Series
2016-K57
Class
X2B
Series
2019-KG01
Class
C
6.217%
due
05/25/29
(Þ)
400
250
Series
2019-KG01
Class
X2A
Interest
Only
STRIP
0.100%
due
04/25/29
(Þ)
5,106
24
Series
2019-KG01
Class
X2B
Interest
Only
STRIP
0.100%
due
05/25/29
(Þ)
570
3
FRR
Re-REMIC
Trust
Series
2018-C1
Class
CK32
1.000%
due
10/27/46
(~)(Ê)(Þ)
1,500
1,292
GAM
Re-REMIC
Trust
Series
2021-FRR1
Class
1C
0.000%
due
07/28/27
(Þ)
2,095
1,484
Series
2021-FRR1
Class
2C
0.000%
due
12/29/27
(Þ)
905
627
GCT
Commerical
Mortage
Trust
Series
2021-GCT
Class
D
1.000%
due
02/15/23
(USD
1
Month
LIBOR
+
2.350%)(Ê)(Þ)
1,500
1,501
Goldman
Sachs
Mortgage
Securities
Trust
Series
2019-GC40
Class
DBD
3.668%
due
07/10/52
(~)(Ê)(Þ)
390
395
Series
2019-PJ2
Class
B2
4.496%
due
11/25/49
(~)(Ê)(Þ)
967
987
Series
2020-PJ1
Class
A6
3.500%
due
05/25/50
(~)(Ê)(Þ)
47
47
Great
Wolf
Capital
Trust
Series
2019-WOLF
Class
D
2.039%
due
12/15/36
(USD
1
Month
LIBOR
+
1.933%)(Ê)(Þ)
1,500
1,495
Great
Wolf
Trust
Series
2019-WOLF
Class
E
2.847%
due
12/15/36
(USD
1
Month
LIBOR
+
2.732%)(Ê)(Þ)
1,500
1,476
GS
Mortgage
Securities
Trust
Series
2012-GCJ7
Class
E
5.000%
due
05/10/45
(~)(Ê)(Þ)
800
639
Series
2013-GC16
Class
G
3.500%
due
11/10/46
(Þ)
90
60
Series
2019-GC39
Class
D
3.000%
due
05/10/52
(Þ)
300
284
Series
2019-GC40
Class
XA
Interest
Only
STRIP
1.231%
due
07/10/52
(~)(Ê)
2,411
164
Series
2020-PJ1
Class
B2
3.710%
due
05/25/50
(~)(Ê)(Þ)
974
1,010
Series
2021-PJ6
Class
A12
2.500%
due
11/25/51
(~)(Ê)(Þ)
1
,
791
1,821
GS
Mortgage-Backed
Securities
Trust
Series
2021-PJ3
Class
A4
2.500%
due
08/25/51
(~)(Ê)(Þ)
975
989
Series
2021-PJ5
Class
B3
2.600%
due
10/25/51
(~)(Ê)(Þ)
398
389
HOM
RE,
Ltd.
Series
2021-1
Class
M1C
2.423%
due
07/25/33
(USD
1
Month
LIBOR
+
2.300%)(Ê)(Þ)
1,400
1,388
Homeward
Opportunities
Fund
I
Trust
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
119
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2019-2
Class
A3
3.007%
due
09/25/59
(~)(Ê)(Þ)
440
441
JP
Morgan
Commercial
Mortgage
Securities
Trust
Series
2011-C4
Class
G
3.873%
due
07/15/46
(~)(Ê)(Þ)
1,000
992
Series
2011-C5
Class
B
5.586%
due
08/15/46
(~)(Ê)(Þ)
483
483
Series
2011-C5
Class
D
5.605%
due
08/15/46
(~)(Ê)(Þ)
1,217
1,084
Series
2011-C5
Class
E
4.000%
due
08/15/46
(~)(Ê)(Þ)
950
696
Series
2013-C10
Class
E
3.500%
due
12/15/47
(~)(Ê)(Þ)
1,000
861
Series
2013-C13
Class
F
3.986%
due
01/15/46
(~)(Ê)(Þ)
320
251
Series
2013-C17
Class
E
3.867%
due
01/15/47
(~)(Ê)(Þ)
61
0
510
Series
2015-C27
Class
XA
Interest
Only
STRIP
1.306%
due
02/15/48
(~)(Ê)
2,758
95
Series
2018-WPT
Class
FFX
5.542%
due
07/05/33
(Þ)
330
336
Series
2019-MFP
Class
E
2.345%
due
07/15/36
(USD
1
Month
LIBOR
+
2.160%)(Ê)(Þ)
320
316
JP
Morgan
Mortgage
Trust
Series
2016-5
Class
B3
2.636%
due
12/25/46
(~)(Ê)(Þ)
906
908
Series
2018-3
Class
B3
3.757%
due
09/25/48
(~)(Ê)(Þ)
835
871
Series
2018-6
Class
B1
3.933%
due
12/25/48
(~)(Ê)(Þ)
277
287
Series
2019-1
Class
A3
4.000%
due
05/25/49
(~)(Ê)(Þ)
94
95
Series
2019-2
Class
A3
4.000%
due
08/25/49
(~)(Ê)(Þ)
86
86
Series
2019-7
Class
B2A
3.194%
due
02/25/50
(~)(Ê)(Þ)
384
386
Series
2019-8
Class
A15
3.500%
due
03/25/50
(~)(Ê)(Þ)
165
169
Series
2019-HYB1
Class
B1
3.937%
due
10/25/49
(~)(Ê)(Þ)
681
714
Series
2019-INV1
Class
B2
5.118%
due
10/25/49
(~)(Ê)(Þ)
481
514
Series
2020-1
Class
A15
3.500%
due
06/25/50
(~)(Ê)(Þ)
1,145
1,164
Series
2020-5
Class
B1
3.736%
due
12/25/50
(~)(Ê)(Þ)
441
461
Series
2020-8
Class
A3
3.000%
due
03/25/51
(~)(Ê)(Þ)
317
325
JPMorgan
Chase
Commercial
Mortgage
Securities
Corp.
Series
2021-MHC
Class
E
2.550%
due
04/15/38
(USD
1
Month
LIBOR
+
2.450%)(Ê)(Þ)
300
302
JPMorgan
Commercial
Mortgage
Securities
Trust
Series
2014-C20
Class
D
5.376%
due
07/15/47
(~)(Ê)(Þ)
1,500
1,351
JPMorgan
Mortgage
Trust
Series
2016-2
Class
B4
2.519%
due
06/25/46
(~)(Ê)(Þ)
1,000
1,027
Series
2017-6
Class
A7
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.500%
due
12/25/48
(~)(Ê)(Þ)
229
231
Series
2019-LTV3
Class
A5
3.500%
due
03/25/50
(~)(Ê)(Þ)
767
777
Series
2021-1
Class
A15
2.500%
due
06/25/51
(~)(Ê)(Þ)
447
456
Series
2021-4
Class
A15
2.500%
due
08/25/51
(~)(Ê)(Þ)
290
294
LSTAR
Commercial
Mortgage
Trust
Series
2015-3
Class
D
3.360%
due
04/20/48
(~)(Ê)(Þ)
600
594
Mello
Mortgage
Capital
Acceptance
Series
2018-MTG2
Class
B2
4.485%
due
10/25/48
(~)(Ê)(Þ)
938
987
Mello
Warehouse
Securitization
Trust
Series
2021-1
Class
C
1.000%
due
02/25/55
(USD
1
Month
LIBOR
+
1.100%)(Ê)(Þ)
550
549
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
Series
2012-C6
Class
E
4.760%
due
11/15/45
(~)(Ê)(Þ)
1,520
1,448
Series
2014-C18
Class
D
3.389%
due
10/15/47
(Þ)
250
227
Series
2015-C22
Class
C
4.243%
due
04/15/48
(~)(Ê)
1,500
1,507
Series
2016-C29
Class
XB
Interest
Only
STRIP
1.110%
due
05/15/49
(~)(Ê)
7,710
326
Morgan
Stanley
Capital
I
Trust
Series
2011-C1
Class
M
Interest
Only
STRIP
4.193%
due
09/15/47
(Þ)
125
6
Series
2017-HR2
Class
XA
Interest
Only
STRIP
0.932%
due
12/15/50
(~)(Ê)
3,008
123
Series
2019-H6
Class
D
3.000%
due
06/15/52
(Þ)
377
349
Series
2019-H7
Class
XA
Interest
Only
STRIP
1.464%
due
07/15/52
(~)(Ê)
6,330
533
Series
2019-L3
Class
XA
Interest
Only
STRIP
0.645%
due
11/15/52
(~)(Ê)
5,554
264
Series
2021-L5
Class
XA
Interest
Only
STRIP
1.425%
due
04/15/31
1,510
148
MRCD
Mortgage
Trust
Series
2019-PARK
Class
E
2.718%
due
12/15/36
(Þ)
120
120
Onslow
Bay
Financial
LLC
Series
2020-INV1
Class
A21
3.500%
due
12/25/49
(~)(Ê)(Þ)
250
254
RCKT
Mortgage
Trust
Series
2020-1
Class
A13
3.000%
due
02/25/50
(~)(Ê)(Þ)
461
468
ReadyCap
Commercial
Mortgage
Trust
Series
2018-4
Class
D
5.235%
due
02/27/51
(~)(Ê)(Þ)
270
244
Sequoia
Mortgage
Trust
Series
2019-1
Class
A1
4.000%
due
02/25/49
(~)(Ê)(Þ)
45
45
Series
2019-4
Class
A19
3.500%
due
11/25/49
(~)(Ê)(Þ)
114
116
Series
2019-5
Class
A7
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
120
Opportunistic
Credit
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.500%
due
12/25/49
(~)(Ê)(Þ)
1,200
1,219
Series
2019-CH3
Class
A1
4.000%
due
09/25/49
(~)(Ê)(Þ)
238
241
SFO
Commercial
Mortgage
Trust
Series
2021-555
Class
C
1.910%
due
05/15/38
(USD
1
Month
LIBOR
+
1.800%)(Ê)(Þ)
250
251
UBS
Bank
of
America
Merrill
Lynch
Mortgage
Trust
Series
2012-WRM
Class
D
4.379%
due
06/10/30
(~)(Ê)(Þ)
2,600
1,587
UBS-Barclays
Commercial
Mortgage
Trust
Series
2012-C4
Class
D
4.621%
due
12/10/45
(~)(Ê)(Þ)
22
0
153
UWM
Mortgage
Trust
Series
2021-1
Class
A15
2.500%
due
06/25/51
(~)(Ê)(Þ)
973
988
Verus
Securitization
Trust
Series
2021-1
Class
M1
1.968%
due
01/25/66
(~)(Ê)(Þ)
1,000
996
Washington
Mutual
Mortgage
Pass-
Through
Certificates
Trust
Series
2004-AR7
Class
A6
4.508%
due
07/25/34
(~)(Ê)
377
392
Series
2006-AR15
Class
1A
2.531%
due
11/25/46
(Federal
Reserve
U.S.
12
Month
Cumulative
Avg
1
year
CMT
+
0.840%)(Ê)
285
266
Wells
Fargo
Commercial
Mortage
Trust
Series
2021-SAVE
Class
C
1.000%
due
02/15/40
(USD
1
Month
LIBOR
+
1.800%)(Ê)(Þ)
1,364
1,373
Wells
Fargo
Commercial
Mortgage
Trust
Series
2014-LC18
Class
XA
Interest
Only
STRIP
1.188%
due
12/15/47
(~)(Ê)
4,475
122
Series
2015-C30
Class
D
4.647%
due
09/15/58
(~)(Ê)(Þ)
510
529
Series
2017-C41
Class
XA
Interest
Only
STRIP
1.366%
due
11/15/50
(~)(Ê)
5,098
301
Series
2018-C45
Class
D
3.000%
due
06/15/51
(Þ)
390
346
Series
2019-C52
Class
XA
Interest
Only
STRIP
1.767%
due
08/15/52
(~)(Ê)
2,182
221
Series
2019-C54
Class
D
2.500%
due
12/15/52
(Þ)
710
653
Wells
Fargo
Mortgage
Backed
Securities
Trust
Series
2020-1
Class
A17
3.000%
due
12/25/49
(~)(Ê)(Þ)
36
37
Series
2020-4
Class
A17
3.000%
due
07/25/50
(~)(Ê)(Þ)
301
306
Series
2020-RR1
Class
A1
3.000%
due
05/25/50
(~)(Ê)(Þ)
481
486
Series
2021-1
Class
A17
2.500%
due
12/25/50
(~)(Ê)(Þ)
952
967
Wells
Fargo
Re-REMIC
Trust
Series
2013-FRR1
Class
BK26
0.546%
due
01/27/45
(Þ)
210
195
WFRBS
Commercial
Mortgage
Trust
Series
2013-C11
Class
E
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
4.399%
due
03/15/45
(~)(Ê)(Þ)
530
458
Series
2013-C12
Class
D
4.540%
due
03/15/48
(~)(Ê)(Þ)
740
728
Series
2013-C12
Class
E
3.500%
due
03/15/48
(Þ)
1,270
1,106
Series
2013-C14
Class
D
3.978%
due
06/15/46
(~)(Ê)(Þ)
1,500
1,343
Series
2014-C21
Class
C
4.234%
due
08/15/47
(~)(Ê)
630
648
Series
2014-C21
Class
D
3.497%
due
08/15/47
(Þ)
2,077
1,948
Woodward
Capital
Management
LLC
Series
2021-1
Class
A13
2.500%
due
03/25/51
(~)(Ê)(Þ)
195
198
98,890
Non-US
Bonds
-
11.1%
Accor
SA
2.375%
due
09/17/23
EUR
900
1,140
ACS
Actividades
de
Construccion
y
Servicios
SA
1.375%
due
06/17/25
EUR
400
483
ADO
Properties
SA
Series
1-15
1.500%
due
07/26/24
EUR
300
344
Afflelou
SAS
Series
REGS
4.250%
due
05/19/26
EUR
150
181
Air
Canada
Class
A
Pass
Through
Trust
4.625%
due
08/15/29
(Þ)
CAD
143
116
Altice
Finco
SA
Series
REGS
4.750%
due
01/15/28
EUR
400
465
ams
AG
2.125%
due
11/03/27
EUR
500
569
APCOA
Parking
Holdings
GmbH
Series
REGS
4.625%
due
01/15/27
EUR
160
191
ArcelorMittal
SA
2.250%
due
01/17/24
EUR
1,229
1,530
Argentine
Republic
Government
International
Bond
12.169%
due
12/15/35
(~)(Ê)
EUR
40,000
320
Assicurazioni
Generali
SpA
6.269%
due
06/29/49
(GBP
3
Month
LIBOR
+
2.350%)(Ê)(ƒ)
GBP
350
564
4.596%
due
11/30/49
(3
Month
EURIBOR
+
4.500%)(Ê)(ƒ)
EUR
374
501
Autostrade
Per
L'Italia
SpA
4.375%
due
09/16/25
EUR
700
955
1.875%
due
09/26/29
EUR
500
616
Azzurra
Aeroporti
SpA
2.125%
due
05/30/24
EUR
200
243
2.625%
due
05/30/27
EUR
300
373
Banco
de
Sabadell
SA
1.125%
due
03/27/25
EUR
400
486
Banijay
Group
SAS
Series
REGS
6.500%
due
03/01/26
EUR
900
1,105
Bayer
US
Finance
II
LLC
2.375%
due
04/02/75
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
2.007%)(Ê)
EUR
100
120
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
121
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.375%
due
11/12/79
(EURIBOR
ICE
Swap
Rate
+
2.647%)(Ê)
EUR
500
601
Bellis
Finco
PLC
Series
REGS
4.000%
due
02/16/27
GBP
300
415
Bertelsmann
SE
&
Co.
KGaA
3.000%
due
04/23/75
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
2.639%)(Ê)
EUR
200
246
3.500%
due
04/23/75
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
3.206%)(Ê)
EUR
200
260
Boparan
Finance
PLC
Series
REGS
7.625%
due
11/30/25
GBP
850
1,046
Brazil
Notas
do
Tesouro
Nacional
Series
NTNF
10.000%
due
01/01/23
BRL
8,000
1,589
10.000%
due
01/01/27
BRL
1,400
281
10.000%
due
01/01/31
BRL
1,750
348
Brunello
Bidco
SpA
Series
REGS
3.500%
due
02/15/28
EUR
100
119
Casino
Guichard
Perrachon
SA
3.580%
due
02/07/25
EUR
200
226
5.250%
due
04/15/27
EUR
650
769
Centurion
Bidco
SpA
Series
REGS
5.875%
due
09/30/26
EUR
200
247
CeramTec
BondCo
GmbH
Series
REGS
5.250%
due
12/15/25
EUR
950
1,145
Chrome
Holdco
SASU
Series
REGS
5.000%
due
05/31/29
EUR
450
547
Cidron
Aida
Finco
SARL
Series
REGS
5.000%
due
04/01/28
EUR
450
538
Series
REGS
6.250%
due
04/01/28
GBP
400
564
Commerzbank
AG
4.000%
due
03/23/26
EUR
287
387
Series
eMTN
4.000%
due
03/30/27
EUR
419
575
Constellation
Automotive
Financing
PLC
Series
REGS
4.875%
due
07/15/27
GBP
460
640
Co-operative
Group
Holdings,
Ltd.
5.035%
due
07/08/26
(~)(Ê)
GBP
300
500
CPUK
Finance,
Ltd.
6.500%
due
08/28/26
GBP
150
220
Series
REGS
4.875%
due
08/28/25
GBP
275
386
Credito
Emiliano
SpA
1.500%
due
10/25/25
(3
Month
EURIBOR
+
1.800%)(Ê)
EUR
725
888
Daily
Mail
&
General
Trust
PLC
6.375%
due
06/21/27
GBP
250
389
Deutsche
Bank
AG
2.750%
due
02/17/25
EUR
829
1,040
Deutsche
Lufthansa
AG
0.250%
due
09/06/24
EUR
350
402
Diamond
(BC)
BV
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
REGS
5.625%
due
08/15/25
EUR
400
482
DKT
Finance
ApS
Series
REGS
7.000%
due
06/17/23
EUR
1,125
1,355
Dufry
One
BV
3.625%
due
04/15/26
CHF
750
828
3.375%
due
04/15/28
EUR
350
411
eG
Global
Finance
PLC
6.250%
due
03/30/26
GBP
500
693
Electricite
de
France
SA
5.000%
due
01/22/49
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
12
Year
Rate
+
3.043%)(Ê)(ƒ)
EUR
500
671
3.375%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
3.995%)(Ê)(ƒ)
EUR
600
757
4.000%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
6
Year
Rate
+
3.436%)(Ê)(ƒ)
EUR
400
509
Series
EMTn
5.875%
due
07/22/49
(GBP
Swap
[versus
SONIA]
15
Year
Rate
+
3.323%)(Ê)(ƒ)
GBP
300
478
5.375%
due
12/31/49
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
12
Year
Rate
+
3.794%)(Ê)(ƒ)
EUR
100
134
Energizer
Holdings,
Inc.
Series
REGS
3.500%
due
06/30/29
EUR
250
297
Explorer
II
AS
3.375%
due
02/24/25
EUR
450
503
Foodco
Bondco
SA
Series
REGS
6.250%
due
05/15/26
EUR
550
604
Galaxy
Bidco
,
Ltd.
Series
REGS
6.500%
due
07/31/26
GBP
300
438
Gatwick
Airport
Finance
PLC
4.375%
due
04/07/26
GBP
300
419
Heathrow
Finance
PLC
5.250%
due
03/01/24
(~)(Ê)
GBP
100
145
4.375%
due
03/01/27
(~)(Ê)
GBP
100
141
Immobiliare
Grande
Distribuzione
SIIQ
SpA
2.125%
due
11/28/24
EUR
439
522
International
Consolidated
Airlines
Group
SA
1.500%
due
07/04/27
EUR
300
320
Intesa
Sanpaolo
SpA
6.625%
due
09/13/23
EUR
844
1,130
IPD
3
BV
Series
REGS
5.500%
due
12/01/25
EUR
150
185
Lion/Polaris
Lux
4
SA
Series
REGS
4.000%
due
07/01/26
(3
Month
EURIBOR
+
4.000%)(Ê)
EUR
100
120
LSF9
Balta
Issuer
SARL
Series
REGS
7.750%
due
12/31/24
EUR
348
414
Malaysia
Government
International
Bond
Series
0219
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
122
Opportunistic
Credit
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.885%
due
08/15/29
MYR
3,000
747
Mangrove
LuxCo
III
SARL
Series
REGS
7.775%
due
10/09/25
EUR
200
216
Marcolin
SpA
Series
REGS
6.125%
due
11/15/26
EUR
300
363
Marks
&
Spencer
PLC
4.750%
due
06/12/25
GBP
312
487
3.250%
due
07/10/27
GBP
300
447
Mexican
Bonos
Series
M
20
10.000%
due
12/05/24
MXN
20,000
1,119
8.500%
due
05/31/29
MXN
8,500
470
Motion
Finco
SARL
Series
REGS
7.000%
due
05/15/25
EUR
700
876
Naviera
Armas
SA
Series
REGS
6.500%
due
07/31/23
(3
Month
EURIBOR
+
6.500%)(Ê)
EUR
100
88
4.250%
due
11/15/24
(3
Month
EURIBOR
+
4.250%)(Ê)
EUR
650
571
NEW
Areva
Holding
SA
4.875%
due
09/23/24
EUR
250
335
NGG
Finance
PLC
1.625%
due
12/05/79
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
2.141%)(Ê)
EUR
400
481
NH
Hotel
Group,
SA
Series
REGS
4.000%
due
07/02/26
EUR
1,200
1,421
Nidda
BondCo
GmbH
Series
REGS
7.250%
due
09/30/25
EUR
700
850
Nobel
Bidco
BV
Series
REGS
3.125%
due
06/15/28
EUR
250
296
Nobian
Finance
BV
Series
REGS
3.625%
due
07/15/26
EUR
350
415
Novelis
Sheet
Ingot
GmbH
Series
REGS
3.375%
due
04/15/29
EUR
200
246
Novomatic
AG
1.625%
due
09/20/23
EUR
275
321
Petrobras
Global
Finance
BV
4.750%
due
01/14/25
EUR
200
266
6.250%
due
12/14/26
GBP
580
922
5.375%
due
10/01/29
GBP
1,000
1,523
Petroleos
Mexicanos
4.875%
due
02/21/28
EUR
100
118
Series
10.7
4.750%
due
02/26/29
EUR
1,400
1,622
Provident
Financial
PLC
7.000%
due
06/04/23
GBP
293
411
Raiffeisenlandesbank
Niederoesterreich
-
Wien
AG
5.875%
due
11/27/23
EUR
300
394
Renault
SA
1.000%
due
03/08/23
EUR
215
257
1.250%
due
06/24/25
EUR
600
706
1.000%
due
11/28/25
EUR
504
596
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Renk
AG
Series
JUN
5.750%
due
07/15/25
EUR
200
249
Republic
of
South
Africa
Government
International
Bond
Series
2035
8.875%
due
02/28/35
ZAR
2,620
162
Series
R186
10.500%
due
12/21/26
ZAR
12,500
972
Rolls-Royce
PLC
3.375%
due
06/18/26
GBP
800
1,108
1.625%
due
05/09/28
EUR
340
374
RWE
AG
3.500%
due
04/21/75
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
3.245%)(Ê)
EUR
130
166
RZD
Capital
PLC
7.900%
due
10/19/24
RUB
115,000
1,585
Sani/
Ikos
Financial
Holdings
1
SARL
Series
REGS
5.625%
due
12/15/26
EUR
362
433
Santander
UK
Group
Holdings
PLC
7.037%
due
08/29/49
(U.K.
Government
Bonds
5
Year
Note
Generic
Bid
Yield
+
3.750%)(Ê)(ƒ)
GBP
245
380
Schaeffler
AG
1.875%
due
03/26/24
EUR
499
612
2.875%
due
03/26/27
EUR
200
255
Stonegate
Pub
Co.
Financing
PLC
8.000%
due
07/13/25
GBP
200
288
Series
REGS
5.750%
due
07/31/25
(3
Month
EURIBOR
+
5.750%)(Ê)
EUR
100
118
8.250%
due
07/31/25
GBP
100
146
Summer
(BC)
Holdco
A
SARL
Series
REGS
9.250%
due
10/31/27
EUR
721
928
Sunshine
Mid
BV
Series
REGS
6.500%
due
05/15/26
EUR
700
859
Techem
Verwaltungsgesellschaft
674
mbH
Series
REGS
6.000%
due
07/30/26
EUR
900
1,098
Tele
Columbus
AG
Series
REGS
3.875%
due
05/02/25
EUR
600
716
Telecom
Italia
SpA
7.750%
due
01/24/33
EUR
364
637
5.250%
due
03/17/55
EUR
200
293
Teollisuuden
Voima
OYJ
2.625%
due
01/13/23
EUR
770
948
Teva
Pharmaceutical
Industries,
Ltd.
1.125%
due
10/15/24
EUR
300
337
1.875%
due
03/31/27
EUR
785
868
1.625%
due
10/15/28
EUR
115
123
Titan
Holdings
II
BV
Series
REGS
5.125%
due
07/15/29
EUR
267
322
Travelex
Issuerco
,
Ltd.
Series
REGS
0.500%
due
08/05/25
GBP
999
2,257
Trivium
Packaging
Finance
BV
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
123
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
REGS
3.750%
due
08/15/26
(3
Month
EURIBOR
+
3.750%)(Ê)
EUR
400
474
TVL
Finance
PLC
Series
REGS
5.453%
due
07/15/25
(GBP
3
Month
LIBOR
+
5.375%)(Ê)
GBP
250
330
Unibail
-
Rodamco
-Westfield
2.125%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
1.675%)(Ê)(ƒ)
EUR
400
470
UniCredit
SpA
4.875%
due
02/20/29
(EURIBOR
ICE
Swap
Rate
+
4.739%)(Ê)
EUR
1,226
1,583
Unilabs
SubHolding
AB
Series
REGS
5.750%
due
05/15/25
EUR
450
542
United
Group
BV
Series
REGS
4.000%
due
11/15/27
EUR
300
352
3.625%
due
02/15/28
EUR
300
347
4.625%
due
08/15/28
EUR
300
360
Valeo
SA
3.250%
due
01/22/24
EUR
900
1,151
Verisure
Midholding
AB
Series
REGS
5.250%
due
02/15/29
EUR
925
1,131
Virgin
Media
Finance
PLC
Series
REGS
4.875%
due
07/15/28
GBP
350
495
Viridian
Group
FinanceCo
PLC
/
Viridian
Power
&
Energy
Holdings
DAC
Series
REGS
4.750%
due
09/15/24
GBP
600
841
Vittoria
Assicurazioni
SpA
5.750%
due
07/11/28
EUR
100
135
Vmed
O2
UK
Financing
I
PLC
Series
REGS
4.000%
due
01/31/29
GBP
300
413
4.500%
due
07/15/31
GBP
250
351
Vodafone
Group
PLC
4.875%
due
10/03/78
(GBP
Swap
Semiannual
[versus
6
Month
LIBOR]
5
Year
Rate
+
3.267%)(Ê)
GBP
582
879
3.100%
due
01/03/79
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
2.669%)(Ê)
EUR
652
807
Series
NC10
3.000%
due
08/27/80
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
3.227%)(Ê)
EUR
375
463
Wheel
Bidco
,
Ltd.
Series
REGS
6.750%
due
07/15/26
GBP
374
521
ZF
Europe
Finance
BV
1.250%
due
10/23/23
EUR
700
844
2.000%
due
02/23/26
EUR
500
604
82,117
United
States
Government
Treasuries
-
0.2%
United
States
Treasury
Notes
1.250%
due
05/15/50
1,250
1,064
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Total
Long-Term
Fixed
Income
Investments
(cost
$628,942
)
626,418
Common
Stocks
-
1.2%
Consumer
Discretionary
-
0.0%
Charming
Charlie,
Inc.(Æ)(Š)
3,957,093
Education
Management
Corp.(Æ)(Š)
4,460,190
Energy
-
0.3%
Tourmaline
Oil
Corp.
58,980
1,610
Tourmaline
Oil
Corp.(Æ)(Š)
255,236
205
1,815
Financial
Services
-
0.0%
Travelex
Topco,
Ltd.(Æ)(Š)
6,217
Materials
and
Processing
-
0.6%
Specialty
Steel
Holdco,
Inc.(Æ)(Š)
22
4,577
Producer
Durables
-
0.3%
Affinion
Group,
Inc.(Æ)(Š)
8,007
Kelly
Topco,
Ltd.(Æ)
5,852
484
Real
Alloy(Æ)(Š)
39
1,639
2,123
Technology
-
0.0%
Avaya
Holdings
Corp.(Æ)
4
Total
Common
Stocks
(cost
$7,121)
8,515
Preferred
Stocks
-
0.4%
Consumer
Discretionary
-
0.0%
Education
Management
Corp.(Š)(Æ)
0.000%
2,128
Producer
Durables
-
0.4%
Sequa
Corp.(Š)(Æ)
0.000%
3,142
3,142
Total
Preferred
Stocks
(cost
$2,392)
3,142
Warrants
and
Rights
-
0.0%
Education
Management
Corp.(Æ)
1,564,221
2022
Warrants
Travelex
Issuerco
,
Ltd.(Æ)
675
71
2022
Warrants
Total
Warrants
and
Rights
(cost
$—)
71
Short-Term
Investments
-
10.7%
Argentine
Republic
Government
International
Bond
1.500%
due
07/09/22
(~)(Ê)
ARP
300
101
3.500%
due
07/09/22
(~)(Ê)
ARP
2,600
971
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
124
Opportunistic
Credit
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Charming
Charlie,
Inc.
Delayed
Draw
Term
Loan
0.000%
due
05/28/22
(~)(Ê)(Š)
87
39
Charming
Charlie,
Inc.
Term
Loan
0.000%
due
05/15/22
(~)(Ê)(Š)
16
7
Education
Management
LLC
Term
Loan
B
11.750%
due
07/02/22
(~)(Ê)
285
FirstEnergy
Corp.
Series
A
2.850%
due
07/15/22
107
108
Huarong
Finance
2017
Co.,
Ltd.
1.979%
due
04/27/22
(USD
3
Month
LIBOR
+
1.850%)(Ê)
461
388
Lebanon
Government
International
Bond
Series
GMTN
6.250%
due
05/27/22
(Æ)(Ø)
750
90
Newell
Brands,
Inc.
4.000%
due
06/15/22
228
232
Norfolk
Southern
Corp.
4.100%
due
05/15/21
310
357
Petroleos
de
Venezuela
SA
Series
REGS
9.000%
due
11/17/21
(Æ)(Ø)
313
13
SESI
LLC
Series
144a
7.125%
due
12/15/21
(Þ)(Æ)(Ø)(Š)
341
136
Sherwin-Williams
Co.
(The)
2.750%
due
06/01/22
12
12
Siemens
Financieringsmaatschappij
NV
Class
C
2.900%
due
05/27/22
(Þ)
274
280
Suncor
Energy
Ventures
Corp.
4.500%
due
04/01/22
(Þ)
81
83
TC
Ziraat
Bankasi
AS
Series
REGS
5.125%
due
05/03/22
392
399
Transnet
SOC,
Ltd.
Series
REGS
4.000%
due
07/26/22
639
649
Travelex
Financing
PLC
Series
REGS
8.000%
due
05/15/22
(~)(Ê)
EUR
1,400
U.S.
Cash
Management
Fund(@)
74,882,362(∞)
74,867
United
Airlines
Pass-Through
Trust
Series
071A
6.636%
due
07/02/22
299
310
Total
Short-Term
Investments
(cost
$81,968)
79,042
Total
Investments
-
97.2%
(identified
cost
$720,423)
717,188
Other
Assets
and
Liabilities,
Net
-
2.8%
20,855
Net
Assets
-
100.0%
738,043
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
125
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
40.5%
ABN
AMRO
Bank
NV
07/08/20
237,000
111.28
264
270
Abu
Dhabi
National
Energy
Co.
PJSC
05/10/18
506,000
98.91
501
567
ACE
Securities
Corp.
Mortgage
Loan
Trust
02/23/21
716,458
98.15
703
681
Acrisure
LLC
/
Acrisure
Finance,
Inc.
01/29/21
1,000,000
100.00
1,000
974
Acuris
Finance
US,
Inc.
/
Acuris
Finance
SARL
05/07/21
556,000
100.00
556
550
AdaptHealth
LLC
01/28/21
368,000
102.52
377
367
Affirm
Asset
Securitization
Trust
07/27/21
1,050,000
99.98
1,050
1,050
Air
Canada
Class
A
Pass
Through
Trust
07/27/21
143,000
79.41
114
116
Air
Liquide
Finance
SA
01/03/20
282,000
100.48
283
292
Air
Methods
Corp.
12/09/19
282,000
71.49
202
266
Alimentation
Couche-Tard,
Inc.
09/24/18
238,000
95.72
228
265
Alliance
Data
Systems
Corp.
11/30/20
350,000
96.81
339
359
Alliance
Resource
Partners,
LP
09/03/19
300,000
100.01
300
303
Alta
Equipment
Group,
Inc.
03/24/21
90,000
100.00
90
93
AMC
Entertainment
Holdings,
Inc.
07/31/20
414,000
104.22
431
439
AMC
Entertainment
Holdings,
Inc.
04/29/21
270,000
106.89
289
287
American
Airlines
Group,
Inc.
12/07/20
325,000
113.98
370
406
American
Airlines
Group,
Inc.
03/10/21
343,000
100.00
343
370
American
Airlines
Group,
Inc.
03/10/21
892,000
100.00
892
933
Antero
Resources
Corp.
12/17/20
127,000
100.79
128
144
Antero
Resources
Corp.
05/17/21
164,000
100.00
164
167
Apidos
CLO
XXXI
04/28/21
1,140,000
100.00
1,140
1,141
Apollo
Management
Holdings,
LP
05/05/20
274,000
92.02
252
285
APX
Group,
Inc.
07/01/21
769,000
100.00
769
772
Aramark
Services,
Inc.
01/28/21
354,000
104.15
369
368
Arcosa
,
Inc.
03/31/21
162,000
100.00
162
166
Ardagh
Packaging
Finance
PLC
/
Ardagh
Holdings
USA,
Inc.
01/28/21
361,000
103.75
375
369
Aretec
Escrow
Issuer,
Inc.
04/01/21
299,000
100.00
299
315
Arroyo
Mortgage
Trust
05/12/20
227,783
97.03
221
231
Ascendas
Real
Estate
Investment
Trust
08/09/19
930,000
100.00
930
913
Ashtead
Capital,
Inc.
04/15/21
296,000
106.97
317
321
Aston
Martin
Capital
Holdings,
Ltd.
05/06/21
400,000
108.60
434
444
ATS
Automation
Tooling
Systems,
Inc.
01/28/21
371,000
101.68
377
377
Austin
BidCo
,
Inc.
01/26/21
1,435,000
103.66
1,491
1,467
Avantor
,
Inc.
01/28/21
358,000
104.68
375
377
Avation
Capital
SA
07/06/21
526,000
83.40
439
429
Aviation
Capital
Group
LLC
11/02/20
278,000
99.26
276
311
Avis
Budget
Car
Rental
LLC
/
Avis
Budget
Finance,
Inc.
02/18/21
200,000
102.33
205
209
Axalta
Coating
Systems
LLC
/
Axalta
Coating
Systems
Dutch
Holding
B
BV
01/28/21
354,000
104.95
372
373
Babson
CLO,
Ltd.
11/27/18
250,000
100.08
250
250
Bahrain
Government
International
Bond
11/17/15
2,000,000
100.00
2,000
2,241
BAMLL
Commercial
Mortgage
Securities
Trust
04/30/21
1,500,000
102.04
1,531
1,541
Banco
de
Credito
del
Peru
12/05/19
269,000
102.72
276
279
Banco
de
Credito
e
Inversiones
SA
10/25/19
269,000
102.24
275
282
Banco
Inbursa
SA
Institucion
de
Banca
Multiple
09/24/18
235,000
96.19
226
252
Banff
Merger
Sub,
Inc.
12/18/19
827,000
102.65
849
869
Bangkok
Bank
PCL
09/24/18
169,000
124.68
211
236
Bank
Commercial
Mortgage
Pass-Through
Certificates
08/01/19
140,000
90.95
127
129
Bank
Commercial
Mortgage
Pass-Through
Certificates
06/11/21
1,000,000
96.25
963
960
Barclays
Bank
PLC
07/06/21
345,000
136.18
470
468
Barclays
Commercial
Mortgage
Securities
LLC
10/02/20
600,000
99.52
597
606
Barings
CLO,
Ltd.
03/04/21
1,000,000
100.00
1,000
999
Bausch
Health
Cos.,
Inc.
06/13/17
921,000
89.44
824
940
Bausch
Health
Cos.,
Inc.
12/17/19
154,000
100.00
154
145
Bausch
Health
Cos.,
Inc.
11/18/20
1,059,000
96.33
1,020
993
Bausch
Health
Cos.,
Inc.
05/24/21
462,000
100.23
463
477
Bausch
Health
Cos.,
Inc.
05/27/21
623,000
97.91
610
620
Bayer
US
Finance
II
LLC
08/02/19
292,000
102.08
298
314
Bayer
US
Finance
II
LLC
07/15/21
310,000
106.87
331
332
BBCMS
Trust
06/18/21
3,000,000
100.00
3,000
3,001
BCPE
Ulysses
Intermediate,
Inc.
01/21/21
686,000
101.24
695
690
B.C.
Unlimited
Liability
Co.
/
New
Red
Finance,
Inc.
07/06/21
480,000
97.48
468
479
Benchmark
2019-B14
Mortgage
Trust
11/07/19
990,000
88.85
880
917
Benchmark
2019-B9
Mortgage
Trust
03/15/19
810,000
84.54
685
791
Benefit
Street
Partners
CLO
IV,
Ltd.
01/20/21
500,000
100.00
500
498
Berry
Global,
Inc.
07/22/19
224,000
104.28
234
236
Berry
Global,
Inc.
07/15/21
332,000
100.12
332
332
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
126
Opportunistic
Credit
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Betony
CLO
2,
Ltd.
03/24/21
1,000,000
100.00
1,000
993
Bharti
Airtel
International
Netherlands
BV
06/17/21
307,000
105.78
325
325
Blackstone
Holdings
Finance
Co.
LLC
08/04/20
205,000
130.88
268
282
BlueMountain
CLO,
Ltd.
10/03/18
500,000
100.00
500
496
BMD2
Re-
Remic
Trust
02/03/21
892,000
88.78
792
836
BNP
Paribas
SA
05/14/20
243,000
106.10
258
276
Booz
Allen
Hamilton
Holding
Corp.
03/03/21
446,000
102.30
456
455
Boxer
Parent
Co.,
Inc.
05/14/20
175,000
100.00
175
183
Brazil
Loan
Trust
1
07/25/13
684,429
101.00
691
708
Brookfield
Property
REIT,
Inc.
06/06/19
357,000
102.69
367
370
Brookfield
Residential
Properties,
Inc.
03/15/21
438,000
103.91
455
463
Builders
FirstSource
,
Inc.
03/03/21
429,000
106.61
457
456
BX
Commercial
Mortgage
Trust
02/04/21
577,000
100.00
577
579
BX
Trust
12/06/19
180,000
97.07
175
192
BX
Trust
06/11/21
1,500,000
100.00
1,500
1,508
Cablevision
Lightpath
LLC
01/06/21
239,000
104.25
249
243
CALI
Mortgage
Trust
03/07/19
320,000
98.93
317
327
Cantor
Commercial
Real
Estate
Lending
02/16/21
775,000
89.59
694
704
Carlyle
Global
Market
Strategies
CLO,
Ltd.
10/05/18
500,000
100.00
500
500
Carlyle
Holdings
II
Finance
LLC
05/04/21
256,000
127.43
326
350
Carnival
Corp.
02/10/21
1,073,000
99.78
1,071
1,090
Carvana
Co.
11/13/20
244,000
99.76
243
253
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp.
08/22/19
157,000
103.81
163
165
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp.
09/17/19
642,000
100.00
642
680
Cedar
Funding
V
CLO,
Ltd.
03/22/19
250,000
98.20
246
249
Chase
Home
Lending
Mortgage
Trust
07/29/19
257,441
101.05
260
264
Chase
Home
Lending
Mortgage
Trust
10/30/19
137,310
100.84
138
140
Chase
Home
Lending
Mortgage
Trust
10/30/19
800,000
101.70
814
816
CHS/Community
Health
Systems,
Inc.
01/26/21
294,000
100.00
294
298
CHS/Community
Health
Systems,
Inc.
05/04/21
340,000
100.00
340
344
CIFC
Funding,
Ltd.
03/27/19
500,000
99.73
499
500
CIFC
LLC
03/18/21
1,000,000
100.00
1,000
1,001
CIM
Commercial
Trust
Corp.
03/01/21
953,429
102.10
973
970
CIM
Commercial
Trust
Corp.
03/29/21
480,243
100.43
482
488
CIM
Trust
09/27/18
500,000
96.69
483
509
CIM
Trust
03/22/19
162,872
101.52
165
165
CIM
Trust
11/07/19
714,882
100.63
719
729
Citigroup
Commercial
Mortgage
Trust
10/19/18
1,000,000
92.90
929
1,021
Citigroup
Commercial
Mortgage
Trust
03/12/19
443,000
85.53
379
284
Citigroup
Commercial
Mortgage
Trust
03/13/19
670,000
85.09
570
549
Citigroup
Commercial
Mortgage
Trust
04/04/19
410,000
101.55
416
446
Citigroup
Commercial
Mortgage
Trust
06/14/19
120,000
85.85
103
92
Citigroup
Commercial
Mortgage
Trust
08/12/19
313,000
77.57
243
183
Citigroup
Mortgage
Loan
Trust
06/25/21
596,571
100.43
599
605
Citigroup
Mortgage
Loan
Trust,
Inc.
05/06/21
683,811
101.30
693
693
Clarios
Global,
LP
/
Clarios
US
Finance
Co.
01/07/20
700,000
105.28
737
756
Clear
Channel
Worldwide
Holdings,
Inc.
08/09/19
326,000
100.12
326
335
Clear
Channel
Worldwide
Holdings,
Inc.
02/02/21
447,000
100.78
451
466
Clear
Channel
Worldwide
Holdings,
Inc.
05/17/21
390,000
100.04
390
405
CLI
Funding
VI
LLC
03/23/21
906,667
100.25
909
916
Colt
Merger
Sub,
Inc.
06/19/20
502,000
100.00
502
530
Colt
Merger
Sub,
Inc.
06/19/20
281,000
100.00
281
295
Colt
Merger
Sub,
Inc.
06/19/20
847,000
104.40
875
932
Commercial
Mortgage
Trust
10/02/18
1,310,000
96.86
1,269
1,331
Commercial
Mortgage
Trust
11/04/19
250,000
96.76
242
228
Commercial
Mortgage
Trust
01/21/20
160,000
96.94
155
145
Commerzbank
AG
06/17/19
370,000
109.67
406
420
Commonbond
Student
Loan
Trust
11/27/18
81,546
100.78
82
85
Commonbond
Student
Loan
Trust
06/02/20
392,922
99.98
393
400
Commonbond
Student
Loan
Trust
06/02/20
150,446
99.98
150
153
Commonbond
Student
Loan
Trust
03/10/21
1,000,000
100.00
1,000
1,001
Commonwealth
Bank
of
Australia
06/17/21
281,000
118.04
332
343
CommScope
,
Inc.
02/07/19
250,000
100.00
250
257
Compass
Group
Diversified
Holdings
LLC
04/07/21
433,000
104.62
453
449
Comstock
Resources,
Inc.
06/14/21
180,000
100.10
180
181
Consolidated
Communications
Holdings,
Inc.
03/04/21
517,000
100.00
517
520
Consolidated
Energy
Finance
SA
12/06/19
335,000
98.44
330
340
Consolidated
Energy
Finance
SA
01/23/20
727,000
99.60
724
735
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
127
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Constellation
Merger
Sub,
Inc.
09/03/19
391,000
90.48
354
385
Continental
Wind
LLC
09/24/18
183,811
101.94
187
213
CoreLogic
,
Inc.
07/06/21
470,000
99.59
468
468
Coronado
Finance
Pty,
Ltd.
05/04/21
424,000
98.19
416
460
Corp.
Nacional
del
Cobre
de
Chile
03/12/20
400,000
87.79
351
421
Costa
Rica
Government
International
Bond
01/07/15
2,000,000
97.94
1,959
2,100
CoStar
Group,
Inc.
06/17/21
323,000
101.13
327
334
CPI
CG,
Inc.
04/07/21
434,000
105.21
457
462
CQP
Holdco,
LP
/
BIP-V
Chinook
Holdco
LLC
05/27/21
1,138,000
100.00
1,138
1,181
CRC
Escrow
Issuer
LLC
/
CRC
Finco
,
Inc.
05/07/20
541,000
86.49
470
545
Credit
Acceptance
Corp.
05/08/20
242,000
90.82
220
250
Credit
Agricole
SA
06/10/20
283,000
108.02
306
312
Credit
Agricole
SA
01/28/21
301,000
107.49
324
322
Crestwood
Midstream
Partners,
LP
01/28/21
376,000
98.57
371
384
CrownRock
,
LP
/
CrownRock
Finance,
Inc.
04/13/21
154,000
100.00
154
161
CSC
Holdings
LLC
07/06/21
1,217,000
99.10
1,206
1,199
Curo
Group
Holdings
Corp.
10/03/19
263,000
90.23
237
275
Cushman
&
Wakefield
U.S.
Borrower
LLC
03/15/21
412,000
108.06
445
443
CVR
Energy,
Inc.
01/10/20
402,000
100.00
402
390
CVR
Energy,
Inc.
01/10/20
533,000
99.86
532
518
Daimler
Finance
NA
LLC
07/08/21
316,000
104.36
330
330
Danone
SA
10/24/19
277,000
100.84
279
289
Danske
Bank
A/S
01/28/21
325,000
101.18
329
329
DaVita,
Inc.
11/13/20
228,000
104.91
239
236
DB
Master
Finance
LLC
03/20/19
393,000
100.00
393
433
DB
Master
Finance
LLC
03/20/19
196,500
100.00
197
207
DBWF
Mortgage
Trust
10/25/18
1,000,000
89.06
891
922
DCP
Midstream
Operating,
LP
11/06/18
89,000
104.15
93
110
Deephaven
Residential
Mortgage
Trust
02/03/21
1,000,000
100.00
1,000
1,004
Delta
Air
Lines,
Inc.
09/16/20
220,000
100.00
220
246
Deutsche
Telekom
International
Finance
BV
01/28/21
312,000
104.02
325
324
Diebold
Nixdorf,
Inc.
09/04/20
250,000
106.10
265
275
DIRECTV
Holdings
LLC
/
DIRECTV
Financing
Co.,
Inc.
07/22/21
367,000
100.00
367
379
DKT
Finance
ApS
03/28/19
1,325,000
103.81
1,375
1,351
Dominican
Republic
Government
International
Bond
04/24/14
1,000,000
103.05
1,031
1,220
Dominican
Republic
Government
International
Bond
01/20/15
750,000
100.00
750
852
Domino's
Pizza
Master
Issuer
LLC
11/06/19
935,750
100.00
936
1,018
Domino's
Pizza
Master
Issuer
LLC
04/08/21
598,500
100.00
599
641
Dryden
30
Senior
Loan
Fund
10/05/18
500,000
99.03
495
484
Earnest
Student
Loan
Program
LLC
11/27/18
43,284
96.54
42
43
Ecuador
Government
International
Bond
08/07/20
107,413
55.73
60
59
Ecuador
Government
International
Bond
08/07/20
460,800
59.87
276
283
Ecuador
Government
International
Bond
08/07/20
1,614,425
60.90
983
1,118
Ecuador
Government
International
Bond
08/07/20
475,200
78.60
374
415
Egypt
Government
International
Bond
03/02/15
2,000,000
100.56
2,011
1,923
Egypt
Government
International
Bond
12/16/16
500,000
95.14
476
531
Egypt
Government
International
Bond
04/05/19
750,000
105.27
790
783
Electricite
de
France
SA
07/07/21
333,000
104.78
349
349
ELFI
Graduate
Loan
Program
06/18/20
173,633
99.97
174
176
Ellington
Financial,
Inc.
11/05/19
521,450
99.99
521
530
Emergent
BioSolutions
,
Inc.
04/26/21
839,000
94.80
795
834
Endurance
International
Group
Holdings,
Inc.
01/27/21
1,500,000
100.00
1,500
1,455
Enel
Finance
International
NV
09/24/18
202,000
107.91
218
288
EnerSys
05/11/20
233,000
99.27
231
243
Enova
International,
Inc.
10/04/17
140,000
100.34
140
143
Enova
International,
Inc.
10/24/19
115,000
94.33
108
120
EQM
Midstream
Partners,
LP
06/16/20
163,000
100.00
163
178
EQM
Midstream
Partners,
LP
01/04/21
195,000
100.00
195
198
EQM
Midstream
Partners,
LP
01/04/21
217,000
100.00
217
220
Ethiopia
Government
International
Bond
12/04/14
1,000,000
100.04
1,000
888
Everi
Holdings,
Inc.
06/30/21
100,000
100.00
100
102
Exeter
Automobile
Receivables
Trust
06/02/20
650,000
99.99
650
654
Falabella
SA
06/17/21
299,000
108.10
323
322
Fannie
Mae
Connecticut
Avenue
Securities
Trust
10/31/18
537,998
99.86
537
541
Fannie
Mae
Connecticut
Avenue
Securities
Trust
01/24/20
164,877
100.80
166
165
Fannie
Mae
Connecticut
Avenue
Securities
Trust
02/03/20
490,013
96.78
474
492
First
Quantum
Minerals,
Ltd.
03/16/17
775,000
100.48
779
790
First
Quantum
Minerals,
Ltd.
02/20/18
366,000
100.00
366
382
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
128
Opportunistic
Credit
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
First
Quantum
Minerals,
Ltd.
11/07/19
175,000
99.46
174
181
First
Quantum
Minerals,
Ltd.
09/17/20
119,000
100.00
119
129
First
Student
Bidco
Inc.
07/13/21
425,000
100.00
425
426
Flagstar
Mortgage
Trust
10/24/18
472,690
103.31
488
490
Flagstar
Mortgage
Trust
06/03/19
172,506
102.98
178
176
Flagstar
Mortgage
Trust
02/04/21
144,905
102.95
149
147
Fontainebleau
Florida
Hotel
LLC
11/22/19
180,000
98.70
178
184
Forestar
Group,
Inc.
05/12/21
388,000
100.80
391
392
Fortescue
Metals
Group,
Ltd.
03/15/21
414,000
107.20
444
447
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
10/19/18
1,000,000
99.91
999
1,008
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
10/13/20
700,000
100.00
700
708
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
02/01/21
1,000,000
99.88
999
1,003
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
02/17/21
1,000,000
100.00
1,000
1,011
FREMF
Mortgage
Trust
03/24/21
19,177,141
0.40
74
71
FREMF
Mortgage
Trust
03/24/21
1,450,103
68.81
998
1,006
FREMF
Mortgage
Trust
05/10/21
5,105,890
0.46
24
24
FREMF
Mortgage
Trust
05/10/21
570,000
0.59
3
3
FREMF
Mortgage
Trust
05/10/21
400,000
60.50
242
250
Fresenius
Medical
Care
US
Finance
II,
Inc.
03/05/19
263,000
103.20
271
291
Frontier
Communications
Corp.
11/19/20
176,000
100.00
176
187
Frontier
Communications
Corp.
11/19/20
650,000
100.00
650
672
FRR
Re-REMIC
Trust
06/10/21
1,500,000
93.57
1,404
1,292
Gabon
Government
International
Bond
10/22/14
500,000
102.36
512
531
GAM
Re-REMIC
Trust
04/01/21
2,095,000
67.11
1,394
1,484
GAM
Re-REMIC
Trust
04/01/21
905,000
67.42
610
627
Gartner,
Inc.
02/18/21
358,000
106.08
380
379
Gates
Global
LLC
/
Gates
Corp.
11/20/19
771,000
98.95
763
801
GCT
Commerical
Mortage
Trust
01/29/21
1,500,000
100.00
1,500
1,501
Genworth
Mortgage
Holdings,
Inc.
11/13/20
225,000
106.03
239
244
Ghana
Government
International
Bond
09/11/14
700,000
99.32
695
742
Ghana
Government
International
Bond
10/07/15
250,000
100.00
250
311
Global
Aircraft
Leasing
Co.,
Ltd.
07/26/19
1,987,527
94.09
1,870
1,997
Global
Finance
SA
03/08/21
871,771
98.63
860
875
Global
Net
Lease,
Inc.
01/28/21
368,000
101.90
375
366
goeasy
,
Ltd.
05/12/21
456,000
101.42
462
470
Goldman
Sachs
Mortgage
Securities
Trust
06/26/19
390,000
99.13
388
395
Goldman
Sachs
Mortgage
Securities
Trust
08/01/19
967,000
106.16
1,027
987
Goldman
Sachs
Mortgage
Securities
Trust
03/16/20
47,169
99.24
47
47
GoodLeap
Sustainable
Home
Solutions
Trust
06/09/21
1,524,568
99.95
1,524
1,534
Graphic
Packaging
International
LLC
07/06/21
461,000
101.39
467
467
Great
Wolf
Capital
Trust
03/19/21
1,500,000
98.41
1,476
1,495
Great
Wolf
Trust
04/30/21
1,500,000
98.00
1,470
1,476
GS
Mortgage
Securities
Trust
10/30/18
800,000
69.98
560
639
GS
Mortgage
Securities
Trust
04/15/19
90,000
82.23
74
60
GS
Mortgage
Securities
Trust
09/11/19
300,000
92.95
279
284
GS
Mortgage
Securities
Trust
06/03/21
973,942
104.11
1,014
1,010
GS
Mortgage
Securities
Trust
06/15/21
1,790,976
100.77
1,805
1,821
GS
Mortgage-Backed
Securities
Trust
03/12/21
975,243
101.48
990
989
GS
Mortgage-Backed
Securities
Trust
05/14/21
398,364
96.53
385
389
GYP
Holdings
III
Corp.
04/15/21
195,000
100.00
195
197
Hadrian
Merger
Sub,
Inc.
11/07/18
270,000
98.67
266
281
Harvest
Midstream
I,
LP
08/05/20
505,000
102.42
517
540
Hat
Holdings
I
LLC
07/06/21
465,000
101.34
471
471
Hawaiian
Electric
Industries,
Inc.
01/28/21
559,000
99.50
556
586
HC2
Holdings,
Inc.
03/03/21
454,000
100.03
454
452
HCRX
Investments
Holdco,
L.P.
07/15/21
218,000
100.00
218
222
Helios
Issuer
LLC
10/26/18
885,737
99.98
886
965
Helios
Issuer
LLC
10/26/18
782,506
99.98
782
814
Helios
Issuer
LLC
06/15/20
423,063
99.99
423
444
Hess
Midstream,
LP
01/28/21
361,000
104.03
376
378
Highlands
Holdings
Bond
Issuer,
Ltd.
10/23/20
663,000
102.10
677
702
Hilcorp
Energy
I,
LP
/
Hilcorp
Finance
Co.
12/10/19
362,000
92.19
334
366
Hilcorp
Energy
I,
LP
/
Hilcorp
Finance
Co.
12/11/19
160,000
93.47
150
167
Hilton
Domestic
Operating
Co.,
Inc.
02/18/21
344,000
108.51
373
370
Hilton
Grand
Vacations,
Inc.
06/14/21
309,000
100.00
309
303
Hologic
,
Inc.
01/28/21
345,000
106.43
367
364
HOM
RE,
Ltd.
01/28/21
1,400,000
100.00
1,400
1,388
HOM
RE,
Ltd.
03/09/21
1,000,000
99.64
996
1,013
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
129
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Homeward
Opportunities
Fund
I
Trust
08/19/19
439,515
99.97
439
441
Howard
Hughes
Corp.
(The)
02/18/21
356,000
106.28
378
377
Hudbay
Minerals,
Inc.
09/09/20
165,000
100.00
165
178
Imola
Merger
Corp.
04/01/21
397,000
100.00
397
410
Intesa
Sanpaolo
SpA
10/14/16
571,000
95.65
549
620
Intesa
Sanpaolo
SpA
04/01/19
160,000
99.04
158
166
Intesa
Sanpaolo
SpA
01/28/21
149,000
109.52
163
163
Intrado
Corp.
12/13/17
264,000
98.69
261
257
Inversiones
CMPC
SA
01/28/21
294,000
109.17
321
321
Inversiones
CMPC
SA
07/08/21
315,000
105.10
331
328
ION
Trading
Technologies
SARL
05/03/21
447,000
100.00
447
463
IQVIA,
Inc.
12/09/19
260,000
104.77
272
271
Iron
Mountain,
Inc.
06/17/20
261,000
100.00
261
278
Iron
Mountain,
Inc.
05/12/21
448,000
101.99
457
469
ITT
Holdings
LLC
06/23/21
710,000
100.00
710
708
J.G.
Wentworth
XLII
LLC
10/02/18
500,000
99.97
500
561
Jazz
Securities
DAC
04/22/21
731,000
101.58
745
762
JBS
Investments
II
GmbH
04/01/19
352,000
101.06
356
373
JBS
Investments
II
GmbH
07/23/19
495,000
100.00
495
522
JBS
Investments
II
GmbH
06/08/21
653,000
98.92
646
657
JBS
USA
LUX
SA
/
JBS
USA
Food
Co.
/
JBS
USA
Finance,
Inc.
02/01/18
1,043,000
100.00
1,043
1,142
JBS
USA
LUX
SA
/
JBS
USA
Food
Co.
/
JBS
USA
Finance,
Inc.
07/23/19
668,000
100.00
668
746
JBS
USA
LUX
SA
/JBS
USA
Food
Co./JBS
USA
Finance,
Inc.
04/01/19
1,383,000
101.25
1,400
1,549
Jefferson
Capital
Holdings
LLC
07/28/21
309,000
100.00
309
313
JP
Morgan
Commercial
Mortgage
Securities
Trust
10/04/18
1,000,000
86.13
861
861
JP
Morgan
Commercial
Mortgage
Securities
Trust
11/01/18
1,000,000
96.65
967
992
JP
Morgan
Commercial
Mortgage
Securities
Trust
01/23/19
1,216,628
99.32
1,208
1,084
JP
Morgan
Commercial
Mortgage
Securities
Trust
03/26/19
330,000
101.26
334
336
JP
Morgan
Commercial
Mortgage
Securities
Trust
04/23/19
950,000
96.05
912
696
JP
Morgan
Commercial
Mortgage
Securities
Trust
04/24/19
320,000
92.59
296
251
JP
Morgan
Commercial
Mortgage
Securities
Trust
06/27/19
320,000
100.00
320
316
JP
Morgan
Commercial
Mortgage
Securities
Trust
09/12/19
610,000
91.53
571
510
JP
Morgan
Commercial
Mortgage
Securities
Trust
09/17/20
483,453
101.09
489
483
JP
Morgan
Mortgage
Trust
12/06/18
834,818
89.84
750
871
JP
Morgan
Mortgage
Trust
01/18/19
93,894
99.95
94
95
JP
Morgan
Mortgage
Trust
03/22/19
85,714
101.16
87
86
JP
Morgan
Mortgage
Trust
07/12/19
481,284
109.27
526
514
JP
Morgan
Mortgage
Trust
07/25/19
905,750
98.23
890
908
JP
Morgan
Mortgage
Trust
01/24/20
1,144,913
103.25
1,187
1,164
JP
Morgan
Mortgage
Trust
01/28/20
165,235
101.79
168
169
JP
Morgan
Mortgage
Trust
01/30/20
383,984
101.13
388
386
JP
Morgan
Mortgage
Trust
07/15/20
680,814
104.00
708
714
JP
Morgan
Mortgage
Trust
07/21/20
440,585
107.20
472
461
JP
Morgan
Mortgage
Trust
08/20/20
277,367
105.66
293
287
JP
Morgan
Mortgage
Trust
10/28/20
316,544
103.27
327
325
JPMorgan
Chase
Commercial
Mortgage
Securities
Corp.
04/01/21
300,000
100.00
300
302
JPMorgan
Commercial
Mortgage
Securities
Trust
03/19/21
1,500,000
88.10
1,322
1,351
JPMorgan
Mortgage
Trust
11/10/20
228,735
102.93
235
231
JPMorgan
Mortgage
Trust
12/07/20
766,579
104.26
799
777
JPMorgan
Mortgage
Trust
01/19/21
447,001
103.45
462
456
JPMorgan
Mortgage
Trust
01/28/21
1,000,000
99.75
998
1,027
JPMorgan
Mortgage
Trust
05/21/21
289,583
101.06
293
294
Kenan
Advantage
Group,
Inc.
06/28/17
2,285,000
99.99
2,285
2,285
Kraft
Heinz
Foods
Co.
06/15/20
311,000
125.81
391
464
Ladder
Capital
Finance
Holdings
LLLP
01/06/21
251,000
100.14
251
255
LBC
Tank
Terminals
Holding
Netherlands
BV
08/08/17
750,000
101.86
764
745
LCM
28,
Ltd.
10/16/18
500,000
100.00
500
500
LCPR
Senior
Secured
Financing
Designated
Activity
Co.
10/22/19
813,000
102.12
830
867
LCPR
Senior
Secured
Financing
Designated
Activity
Co.
03/23/21
735,000
100.00
735
752
Live
Nation
Entertainment,
Inc.
05/21/18
160,000
100.66
161
167
Live
Nation
Entertainment,
Inc.
04/08/20
115,000
87.05
100
117
Lloyds
Banking
Group
PLC
07/06/18
255,000
106.85
272
361
Lloyds
Banking
Group
PLC
05/11/20
211,000
106.02
224
292
Loanpal
Solar
Loan,
Ltd.
03/05/21
647,607
99.99
648
658
LPL
Holdings,
Inc.
11/12/20
231,000
102.46
237
238
LSTAR
Commercial
Mortgage
Trust
09/13/19
600,000
96.89
581
594
Lukoil
International
Finance
BV
07/08/21
311,000
106.01
330
329
Madison
Park
Funding
XXXI,
Ltd.
11/08/18
250,000
100.00
250
250
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
130
Opportunistic
Credit
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Magic
Mergeco
,
Inc.
04/09/21
249,000
100.00
249
258
Magic
Mergeco
,
Inc.
04/09/21
607,000
100.00
607
630
Magnolia
Oil
&
Gas
Corp.
01/28/21
354,000
103.24
366
361
Marks
&
Spencer
PLC
09/27/18
204,000
108.58
222
242
Marlette
Funding
Trust
11/06/18
1,000,000
99.99
1,000
1,009
Marlette
Funding
Trust
04/24/19
500,000
99.98
500
506
Marlette
Funding
Trust
04/26/21
900,000
99.97
900
901
Match
Group,
Inc.
03/03/21
432,000
104.02
449
453
Mattamy
Group
Corp.
04/29/20
627,000
90.07
565
650
Mauser
Packaging
Solutions
Holding
Co.
04/15/21
145,000
97.41
141
142
MEG
Energy
Corp.
01/16/20
800,000
93.87
751
839
Meituan
01/05/21
276,000
101.80
281
268
Mello
Mortgage
Capital
Acceptance
01/24/20
938,173
105.27
988
987
Mello
Warehouse
Securitization
Trust
01/29/21
550,000
100.00
550
549
Midcap
Financial
Issuer
Trust
04/21/21
224,000
100.00
224
233
Midcontinent
Communications
/
Midcontinent
Finance
Corp.
07/24/19
166,000
100.00
166
173
Mileage
Plus
Holdings
LLC
/
Mileage
Plus
Intellectual
Property
Assets,
Ltd.
06/25/20
648,000
100.87
654
706
Millennium
Escrow
Corp.
07/15/21
307,000
100.26
308
313
Minerals
Technologies,
Inc.
03/03/21
431,000
104.32
450
450
Molina
Healthcare,
Inc.
05/28/20
183,000
100.00
183
191
Molina
Healthcare,
Inc.
06/09/21
455,000
102.99
469
482
Mondelez
International,
Inc.
01/05/21
273,000
101.98
278
278
MoneyGram
International,
Inc.
07/14/21
197,000
100.00
197
204
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
04/23/19
1,520,000
99.13
1,507
1,448
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
08/01/19
250,000
93.63
234
227
Morgan
Stanley
Capital
I
Trust
06/05/19
377,000
87.00
328
349
Morgan
Stanley
Capital
I
Trust
06/20/19
124,536
96.10
120
6
Morocco
Government
International
Bond
03/02/15
250,000
110.78
277
286
Mosaic
Solar
Loan
Trust
11/27/18
200,320
98.37
197
214
Mosaic
Solar
Loan
Trust
11/27/18
262,907
98.94
260
288
Mosaic
Solar
Loan
Trust
06/12/20
360,427
99.98
360
381
Mosaic
Solar
Loans
LLC
03/10/21
990,686
99.40
985
996
Mosaic
Solar
Loans
LLC
03/24/21
407,908
100.15
409
410
Mosaic
Solar
Loans
LLC
06/15/21
547,431
99.49
545
548
Motiva
Enterprises
LLC
09/04/20
230,000
119.92
276
300
Mozambique
International
Bond
12/20/13
1,279,000
92.95
1,189
1,087
MRCD
Mortgage
Trust
12/05/19
120,000
95.35
114
120
MSCI,
Inc.
01/28/21
350,000
106.39
372
373
Nabors
Industries,
Inc.
01/07/20
103,000
101.48
105
93
Nabors
Industries,
Inc.
01/07/20
466,000
91.60
427
436
National
Bank
of
Canada
10/05/20
269,000
101.96
274
275
Nationstar
Mortgage
Holdings,
Inc.
01/28/21
354,000
105.35
373
369
Navient
Private
Education
Refi
Loan
Trust
11/03/20
425,393
99.99
425
429
Navient
Private
Education
Refi
Loan
Trust
01/19/21
450,000
99.96
450
459
NCR
Corp.
03/03/21
426,000
107.21
457
462
Neiman
Marcus
Group,
Inc.
03/19/21
782,000
101.17
791
835
Nestle
Holdings,
Inc.
01/28/21
330,000
100.07
330
329
Neuberger
Berman
CLO
XXII,
Ltd.
03/20/19
500,000
98.44
492
500
Neuberger
Berman
CLO,
Ltd.
03/24/21
500,000
100.00
500
500
New
Residential
Investment
Corp.
02/18/21
373,000
99.59
371
373
News
Corp.
05/12/21
455,000
100.92
459
463
NGL
Energy
Operating
LLC
01/25/21
704,000
103.38
728
723
NGPL
PipeCo
LLC
10/24/19
263,000
105.49
277
304
Nielsen
Holdings
PLC
02/18/21
350,000
106.40
372
370
Nigeria
Government
International
Bond
06/29/18
500,000
95.20
476
531
Nordea
Bank
AB
01/05/21
266,000
104.23
277
277
Northern
Natural
Gas
Co.
10/02/19
162,000
116.73
189
198
Northwest
Fibers,
Inc.
12/08/20
63,000
113.79
72
71
Northwest
Fibers,
Inc.
02/09/21
241,000
100.00
241
237
Novelis
Corp.
07/26/21
82,000
100.00
82
83
Novelis
Corp.
07/26/21
84,000
100.00
84
85
NTT
Finance
Corp.
07/08/21
333,000
100.04
333
333
Oaktree
CLO,
Ltd.
05/17/21
250,000
99.01
248
247
Oaktree
CLO,
Ltd.
05/27/21
1,000,000
100.00
1,000
1,001
Octagon
Investment
Partners
48,
Ltd.
08/19/20
500,000
100.00
500
501
Octagon
Loan
Funding,
Ltd.
03/27/19
250,000
98.29
246
249
OHA
Credit
Partners
XIV,
Ltd.
03/22/19
500,000
97.19
486
500
Onslow
Bay
Financial
LLC
01/15/20
249,562
101.74
254
254
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
131
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Open
Text
Corp.
01/28/21
364,000
102.35
373
376
Organon
Finance
1
LLC
04/08/21
764,000
101.68
779
787
Oschadbank
Via
SSB
#1
PLC
09/02/15
290,000
72.04
209
313
Outfront
Media
Capital
LLC
/
Outfront
Media
Capital
Corp.
07/23/20
146,000
93.97
137
147
Outfront
Media
Capital
LLC
/
Outfront
Media
Capital
Corp.
01/11/21
197,000
100.00
197
197
Outfront
Media
Capital
LLC
/
Outfront
Media
Capital
Corp.
01/28/21
358,000
103.01
369
365
Par
Pharmaceutical,
Inc.
03/14/19
568,000
100.00
568
579
Paraguay
Government
International
Bond
08/04/14
551,000
100.00
551
687
Parkland
Fuel
Corp.
10/24/19
108,000
105.00
113
115
Parkland
Fuel
Corp.
06/09/21
456,000
101.63
463
469
Peabody
Energy
Corp.
01/25/21
204,775
64.81
133
164
Peninsula
Pacific
Entertainment
LLC
11/13/20
229,000
105.55
242
247
Performance
Food
Group
Co.
03/03/21
424,000
105.42
447
442
PetSmart
LLC
01/29/21
1,000,000
100.00
1,000
1,038
PetSmart
LLC
01/29/21
1,000,000
100.00
1,000
1,096
PIC
AU
Holdings
LLC
/
PIC
AU
Holdings
Corp.
01/25/21
546,000
93.74
512
543
Pilgrim's
Pride
Corp.
03/03/21
415,000
107.43
446
444
Plastipak
Holdings,
Inc.
08/05/20
700,000
100.40
703
714
POSCO
01/04/21
272,000
102.36
278
278
Post
Holdings,
Inc.
03/09/18
219,000
100.56
220
228
Post
Holdings,
Inc.
10/24/19
129,000
106.02
137
138
Prima
Capital
CRE
Securitization,
Ltd.
05/24/19
480,000
95.38
458
477
Primose
Funding
LLC
03/30/21
982,500
101.98
1,002
1,027
Prosus
NV
12/02/20
254,000
108.88
277
268
Providence
Service
Corp.
(The)
01/28/21
350,000
106.34
372
371
Provincia
de
Buenos
Aires
02/08/17
300,000
99.02
297
144
PTC,
Inc.
03/03/21
442,000
103.46
457
457
QTS
Realty
Trust,
Inc.
11/12/20
237,000
101.79
241
254
Radiate
Holdco
LLC
09/11/20
451,000
100.00
451
467
Radnor
RE,
Ltd.
06/18/21
500,000
100.00
500
501
Range
Resources
Corp.
01/05/21
163,000
101.13
165
180
RCKT
Mortgage
Trust
02/06/20
460,905
100.78
465
468
ReadyCap
Commercial
Mortgage
Trust
11/01/19
270,000
102.20
276
244
Realogy
Group
LLC
/
Realogy
Co-Issuer
Corp.
08/22/19
224,000
93.87
210
248
Rent-A-Center,
Inc.
02/04/21
101,000
100.00
101
108
Resideo
Funding,
Inc.
10/25/19
748,000
100.65
753
785
RLJ
Lodging
Trust
06/10/21
174,000
100.00
174
176
Rockies
Express
Pipeline
LLC
05/06/20
650,000
91.62
596
661
Royal
Caribbean
Cruises,
Ltd.
09/09/20
249,000
112.79
281
285
SABIC
Capital
II
BV
04/07/20
217,000
100.51
218
232
Santander
UK
PLC
05/01/19
148,000
102.20
151
161
Saudi
Arabian
Oil
Co.
04/09/19
200,000
98.61
197
234
Saudi
Arabian
Oil
Co.
04/07/20
281,000
99.03
278
295
Saudi
Government
International
Bond
03/09/20
600,000
92.47
555
637
Schneider
Electric
SE
01/04/21
269,000
103.00
277
277
Scientific
Games
International,
Inc.
05/22/20
164,000
85.53
140
184
Sealed
Air
Corp.
10/26/16
200,000
106.87
214
256
Sealed
Air
Corp.
10/24/19
339,000
106.16
360
368
Seaspan
Corp.
07/09/21
669,000
100.00
669
667
Sequoia
Mortgage
Trust
01/09/19
44,628
100.17
45
45
Sequoia
Mortgage
Trust
09/17/19
237,651
101.82
242
241
Sequoia
Mortgage
Trust
10/08/19
114,208
101.39
116
116
Sequoia
Mortgage
Trust
11/14/19
1,200,000
102.99
1,236
1,219
SESI
LLC
06/17/19
341,000
90.16
307
136
SFO
Commercial
Mortgage
Trust
04/30/21
250,000
100.00
250
251
Siemens
Financieringsmaatschappij
NV
10/24/19
274,000
100.77
276
280
Silver
Creek
CLO,
Ltd.
08/06/19
250,000
99.48
249
250
SK
Hynix,
Inc.
03/09/21
320,000
100.01
320
319
SMB
Private
Education
Loan
Trust
06/11/20
750,000
98.41
738
762
Societe
Generale
SA
02/05/20
266,000
105.57
281
289
SoFi
Alternative
Trust
12/18/19
546,336
100.47
549
560
SoFi
Consumer
Loan
Program
Trust
11/05/18
1,000,000
99.98
1,000
1,036
SoFi
Consumer
Loan
Program
Trust
11/27/18
400,000
98.68
395
411
SoFi
Consumer
Loan
Program
Trust
11/27/18
425,000
99.74
424
438
SoFi
Consumer
Loan
Program
Trust
02/12/19
500,000
99.97
500
515
SoFi
Consumer
Loan
Program
Trust
11/07/19
17,235
101.84
18
17
SoFi
Professional
Loan
Program
LLC
10/30/18
400,000
95.26
381
414
SoFi
Professional
Loan
Program
LLC
10/30/18
500,000
95.67
478
524
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
132
Opportunistic
Credit
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
SoFi
Professional
Loan
Program
LLC
03/26/19
600,000
99.98
600
625
SoFi
Professional
Loan
Program
LLC
08/06/19
1,000,000
99.96
1,000
1,020
SoFi
Professional
Loan
Program
LLC
05/19/20
478,365
103.96
497
496
SoFi
Professional
Loan
Program
Trust
11/27/18
424,000
97.22
412
442
SoFi
Professional
Loan
Program
Trust
11/27/18
425,000
98.94
420
445
SoFi
Professional
Loan
Program
Trust
03/15/19
850,000
100.38
853
888
SoFi
Professional
Loan
Program
Trust
05/14/20
600,000
99.93
600
624
Solar
Star
Funding
LLC
04/07/20
229,962
111.74
257
265
SolarCity
Corp.
10/26/18
1,000,000
100.27
1,003
992
Sonic
Capital
LLC
01/15/20
544,042
100.00
544
579
Sri
Lanka
Government
International
Bond
08/02/19
500,000
99.89
499
306
Standard
Chartered
PLC
10/14/16
415,000
122.61
507
571
Standard
Chartered
PLC
10/01/19
174,000
104.66
182
191
Staples,
Inc.
02/09/21
725,000
101.87
739
736
Staples,
Inc.
04/19/21
839,000
103.32
867
814
State
Bank
of
India
01/06/20
262,000
105.18
276
286
Stericycle,
Inc.
01/28/21
366,000
102.71
376
371
Suncor
Energy
Ventures
Corp.
03/01/19
81,000
100.28
81
83
Sunnova
Helios
Issuer
LLC
11/20/20
346,951
99.97
347
359
Sunnova
Sol
III
Issuer
LLC
06/11/21
889,388
99.96
889
904
Sunrun
Xanadu
Issuer
05/31/19
504,131
99.99
504
546
Superior
Plus
Corp.
03/01/21
217,000
100.00
217
223
Sura
Asset
Management
SA
12/02/20
246,000
111.44
274
264
Symphony
CLO
XIV,
Ltd.
10/04/19
500,000
100.00
500
501
Symphony
CLO
XIX,
Ltd.
03/21/19
500,000
96.66
483
500
Targa
Resources
Partners,
LP
/
Targa
Resources
Partners
Finance
Corp.
08/11/20
331,000
100.00
331
358
Taylor
Morrison
Communities,
Inc.
07/08/20
350,000
100.00
350
381
Team
Health
Holdings,
Inc.
02/07/19
284,000
87.46
248
263
Telecom
Italia
Capital
SA
12/06/19
219,000
104.99
230
237
Teleflex,
Inc.
01/28/21
357,000
105.11
375
372
Telesat
Canada
/
Telesat
LLC
06/09/21
462,000
100.27
463
428
Tencent
Holdings,
Ltd.
01/04/21
263,000
105.77
278
279
Tenet
Healthcare
Corp.
08/12/19
500,000
100.00
500
516
Tenet
Healthcare
Corp.
09/01/20
350,000
100.00
350
373
Terraform
Global
Operating
LLC
04/16/20
273,000
100.00
273
281
Terrier
Media
Buyer,
Inc.
12/12/19
668,000
98.09
655
714
Tervita
Corp.
03/03/21
326,000
108.61
354
373
Tesla
Auto
Lease
Trust
07/30/20
550,000
100.00
550
565
Texas
Eastern
Transmission,
LP
12/05/19
271,000
102.92
279
298
Textainer
Marine
Containers
VII,
Ltd.
03/24/21
931,002
99.98
931
950
TransDigm
,
Inc.
03/26/20
869,000
100.21
871
911
TransDigm
,
Inc.
04/02/20
245,000
100.00
245
263
Transocean
Guardian,
Ltd.
04/28/21
50,920
93.59
48
48
Transocean
Poseidon,
Ltd.
04/26/21
47,000
94.70
45
46
Transocean,
Inc.
04/26/21
246,000
72.13
177
191
Transocean,
Inc.
04/26/21
503,000
75.77
381
401
Transocean,
Inc.
06/29/21
363,000
83.93
305
268
Trident
TPI
Holdings,
Inc.
12/13/19
673,000
100.23
675
709
Triton
Container
International,
Ltd.
02/19/21
485,833
99.81
485
487
Triumph
Group,
Inc.
09/09/19
704,000
101.30
713
708
Uber
Technologies,
Inc.
11/12/20
227,000
104.57
237
245
UBS
Bank
of
America
Merrill
Lynch
Mortgage
Trust
11/06/18
2,600,000
79.14
2,058
1,587
UBS
Group
AG
07/07/20
241,000
111.90
270
271
UBS-Barclays
Commercial
Mortgage
Trust
02/14/20
220,000
97.21
211
153
Ukraine
Government
International
Bond
04/23/15
195,000
38.26
75
227
Ukreximbank
Via
Biz
Finance
PLC
03/12/15
2,022,333
86.64
1,752
2,002
UniCredit
SpA
05/08/20
205,000
105.77
217
249
United
Airlines,
Inc.
04/14/21
187,000
100.00
187
192
United
Airlines,
Inc.
04/14/21
195,000
100.00
195
201
Uniti
Group,
LP
/
Uniti
Fiber
Holdings,
Inc.
/
CSL
Capital
LLC
12/10/20
307,000
100.43
310
316
Uniti
Group,
LP
/
Uniti
Fiber
Holdings,
Inc.
/
CSL
Capital
LLC
12/11/20
31,000
106.05
33
33
Uniti
Group,
LP
/
Uniti
Fiber
Holdings,
Inc.
/
CSL
Capital
LLC
06/09/21
453,000
100.89
457
459
Uniti
Group,
LP
/
Uniti
Group
Finance,
Inc.
/
CSL
Capital
LLC
04/06/21
270,000
100.00
270
271
Univision
Communications,
Inc.
06/04/20
353,000
100.00
353
380
Upjohn,
Inc.
07/07/20
265,000
104.31
276
272
US
Foods,
Inc.
03/03/21
448,000
101.61
455
457
UWM
Mortgage
Trust
05/27/21
973,042
100.54
978
988
Vector
Group,
Ltd.
03/03/21
433,000
104.41
452
439
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
133
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Venture
33
CLO,
Ltd.
02/11/21
1,000,000
100.00
1,000
994
Venture
Global
Calcasieu
Pass
LLC
07/29/21
236,000
100.00
236
241
Venture
Global
Calcasieu
Pass
LLC
07/29/21
269,000
100.00
269
279
Venture
XX
CLO,
Ltd.
11/27/18
250,000
99.56
249
250
Veritas
US,
Inc.
/
Veritas
Bermuda,
Ltd.
11/10/17
2,892,000
98.96
2,862
2,946
Veritas
US,
Inc.
/
Veritas
Bermuda,
Ltd.
08/13/20
700,000
100.00
700
724
Vermilion
Energy,
Inc.
07/22/19
296,000
98.73
292
297
Verus
Securitization
Trust
02/08/21
1,000,000
100.00
1,000
996
VICI
Properties,
LP
/
VICI
Note
Co.,
Inc.
01/28/21
354,000
104.46
370
372
Vistra
Operations
Co.
LLC
04/29/21
443,000
103.78
460
457
Volkswagen
Group
of
America
Finance
LLC
01/05/21
273,000
102.51
280
280
Warrior
Met
Coal,
Inc.
12/10/19
853,000
101.72
868
868
Wells
Fargo
Commercial
Mortage
Trust
01/29/21
1,363,533
100.00
1,364
1,373
Wells
Fargo
Commercial
Mortgage
Trust
03/21/19
390,000
84.90
331
346
Wells
Fargo
Commercial
Mortgage
Trust
07/29/19
510,000
102.06
521
529
Wells
Fargo
Commercial
Mortgage
Trust
11/08/19
710,000
83.93
596
653
Wells
Fargo
Mortgage
Backed
Securities
Trust
02/14/20
36,371
100.85
37
37
Wells
Fargo
Mortgage
Backed
Securities
Trust
08/10/20
301,305
103.20
311
306
Wells
Fargo
Mortgage
Backed
Securities
Trust
03/12/21
952,498
101.47
966
967
Wells
Fargo
Mortgage-Backed
Securities
Trust
09/17/20
481,486
102.45
493
486
Wells
Fargo
Re-REMIC
Trust
10/16/19
210,000
89.25
187
195
Wendy's
Co.
(The)
06/15/21
1,050,000
100.00
1,050
1,078
Wendy's
Funding
LLC
03/26/19
482,500
98.94
477
516
Westlake
Automobile
Receivables
Trust
06/08/21
500,000
100.00
500
501
WFRBS
Commercial
Mortgage
Trust
05/14/19
1,270,000
84.75
1,063
1,106
WFRBS
Commercial
Mortgage
Trust
08/01/19
530,000
100.48
533
458
WFRBS
Commercial
Mortgage
Trust
08/15/19
740,000
100.22
742
728
WFRBS
Commercial
Mortgage
Trust
02/23/21
2,077,000
83.19
1,728
1,948
WFRBS
Commercial
Mortgage
Trust
03/19/21
1,500,000
85.40
1,281
1,343
Williams
Scotsman
International,
Inc.
01/28/21
359,000
103.68
372
370
Windstream
Escrow
LLC
10/09/20
391,000
101.80
398
399
Woodward
Capital
Management
LLC
03/11/21
194,801
101.76
198
198
Wynn
Macau,
Ltd.
12/15/20
279,000
102.80
287
286
XPO
Logistics,
Inc.
04/23/20
598,000
100.75
602
635
YPF
SA
08/15/18
92,947
54.51
58
67
YPF
SA
08/15/18
194,950
77.92
152
102
ZF
NA
Capital,
Inc.
05/04/20
321,000
94.75
304
348
299,122
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
Australia
10
Year
Government
Bond
Futures
642
AUD
93,345
09/21
1,766
Canadian
10
Year
Government
Bond
Futures
93
CAD
13,765
09/21
308
Euro-
Bobl
Futures
16
EUR
2,166
09/21
24
Euro-Bund
Futures
13
EUR
2,295
09/21
72
Euro-Schatz
Futures
17
EUR
1,910
09/21
4
Long
Gilt
Futures
12
GBP
1,557
09/21
40
United
States
2
Year
Treasury
Note
Futures
74
USD
16,329
09/21
(2)
United
States
5
Year
Treasury
Note
Futures
131
USD
16,302
09/21
80
United
States
10
Year
Treasury
Note
Futures
830
USD
111,596
09/21
2,055
United
States
10
Year
Ultra
Treasury
Note
Futures
71
USD
10,668
09/21
352
United
States
Treasury
Long
Bond
Futures
62
USD
10,213
09/21
506
United
States
Treasury
Ultra
Bond
Futures
62
USD
12,371
09/21
889
Short
Positions
Euro-Bund
Futures
291
EUR
51,382
09/21
(1,701)
Japanese
10
Year
Government
Bond
Futures
9
JPY
1,370,700
09/21
(65)
Long
Gilt
Futures
194
GBP
25,179
09/21
(693)
United
States
2
Year
Treasury
Note
Futures
144
USD
31,775
09/21
1
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
134
Opportunistic
Credit
Fund
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
United
States
5
Year
Treasury
Note
Futures
34
USD
4,231
09/21
(25)
United
States
10
Year
Treasury
Note
Futures
137
USD
18,420
09/21
(292)
United
States
10
Year
Ultra
Treasury
Note
Futures
38
USD
5,710
09/21
(213)
United
States
Treasury
Long
Bond
Futures
89
USD
14,660
09/21
(663)
United
States
Treasury
Ultra
Bond
Futures
12
USD
2,394
09/21
(105)
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
2,338
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
USD
240
BRL
1,220
09/09/21
(7)
Bank
of
America
USD
4,414
BRL
23,482
09/09/21
73
Bank
of
America
USD
5
MXN
100
09/09/21
Bank
of
America
USD
17
MXN
347
09/09/21
Bank
of
America
USD
51
MXN
1,026
09/09/21
Bank
of
America
USD
2,996
MXN
60,336
09/09/21
20
Bank
of
America
USD
65
PLN
240
09/09/21
(3)
Bank
of
America
USD
241
TRY
2,177
09/09/21
12
Bank
of
America
USD
315
TRY
2,849
09/09/21
17
Bank
of
America
USD
6,756
TRY
60,230
09/09/21
256
Bank
of
America
USD
95
ZAR
1,368
09/09/21
(2)
Bank
of
America
USD
177
ZAR
2,587
09/09/21
(1)
Bank
of
America
USD
3,117
ZAR
43,406
09/09/21
(168)
Bank
of
America
AUD
150
USD
116
09/09/21
6
Bank
of
America
AUD
389
USD
293
09/09/21
7
Bank
of
America
AUD
566
USD
419
09/09/21
4
Bank
of
America
AUD
13,885
USD
10,772
09/09/21
581
Bank
of
America
BRL
423
USD
80
09/09/21
(1)
Bank
of
America
BRL
1,430
USD
287
09/09/21
13
Bank
of
America
GBP
27
USD
38
08/25/21
Bank
of
America
GBP
246
USD
340
08/25/21
(2)
Bank
of
America
GBP
9,823
USD
13,443
08/25/21
(211)
Bank
of
America
NOK
1,200
USD
144
09/09/21
8
Bank
of
America
NOK
2,282
USD
267
09/09/21
8
Bank
of
America
NOK
5,136
USD
587
09/09/21
6
Bank
of
America
NOK
89,464
USD
10,721
09/09/21
593
Bank
of
America
PHP
232
USD
5
09/09/21
Bank
of
America
PHP
3,470
USD
71
09/09/21
2
Bank
of
America
PHP
10,446
USD
207
09/09/21
(1)
Bank
of
America
PHP
208,980
USD
4,315
09/09/21
140
Bank
of
America
PLN
406
USD
107
09/09/21
2
Bank
of
America
PLN
429
USD
111
09/09/21
Bank
of
America
PLN
11,429
USD
3,109
09/09/21
142
Bank
of
America
TRY
830
USD
96
09/09/21
(1)
Bank
of
America
ZAR
1,460
USD
104
09/09/21
5
Bank
of
Montreal
EUR
5,990
USD
7,312
09/15/21
201
Bank
of
Montreal
GBP
609
USD
861
09/15/21
14
Bank
of
New
York
USD
3,184
NOK
26,250
09/15/21
(212)
Bank
of
New
York
EUR
5,990
USD
7,327
09/15/21
216
Bank
of
New
York
GBP
609
USD
862
09/15/21
15
Bank
of
New
York
SEK
30,500
USD
3,702
09/15/21
158
BNP
Paribas
USD
51
CAD
64
08/25/21
BNP
Paribas
CAD
56
USD
45
08/25/21
BNP
Paribas
CAD
66
USD
53
08/25/21
Citigroup
USD
217
CHF
195
09/09/21
(2)
Citigroup
USD
2,866
EUR
2,404
09/09/21
(12)
Citigroup
USD
4,186
EUR
3,424
09/09/21
(121)
Citigroup
USD
2,235
GBP
1,615
09/09/21
11
Citigroup
USD
6,271
GBP
4,423
09/09/21
(123)
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
135
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Citigroup
USD
11,008
GBP
7,756
09/09/21
(227)
Citigroup
USD
3,175
NOK
26,250
09/15/21
(203)
Citigroup
USD
197
NZD
280
09/09/21
(1)
Citigroup
USD
281
NZD
402
09/09/21
(1)
Citigroup
USD
7,644
NZD
10,477
09/09/21
(347)
Citigroup
CHF
114
USD
125
09/09/21
Citigroup
CHF
531
USD
578
09/09/21
(9)
Citigroup
CHF
16,747
USD
18,700
09/09/21
195
Citigroup
EUR
16
USD
19
09/09/21
1
Citigroup
EUR
6,124
USD
7,283
09/09/21
13
Citigroup
EUR
5,990
USD
7,315
09/15/21
204
Citigroup
GBP
9,145
USD
12,781
09/09/21
69
Citigroup
GBP
609
USD
860
09/15/21
13
Citigroup
KRW
158,682
USD
140
09/09/21
3
Citigroup
KRW
243,320
USD
213
09/09/21
2
Citigroup
KRW
3,458,358
USD
3,104
09/09/21
106
Citigroup
KRW
4,793,234
USD
4,284
09/09/21
129
Citigroup
NZD
40
USD
29
09/09/21
1
Citigroup
SEK
30,500
USD
3,696
09/15/21
152
Citigroup
TWD
2,675
USD
96
09/09/21
Citigroup
TWD
2,935
USD
105
09/09/21
Citigroup
TWD
84,279
USD
3,066
09/09/21
47
Citigroup
TWD
121,065
USD
4,425
09/09/21
88
JPMorgan
Chase
USD
1,005
EUR
851
08/25/21
4
JPMorgan
Chase
USD
3,173
NOK
26,250
09/15/21
(201)
JPMorgan
Chase
CAD
2,267
USD
1,797
08/25/21
(20)
JPMorgan
Chase
CHF
759
USD
826
08/25/21
(12)
JPMorgan
Chase
EUR
23,740
USD
28,005
08/25/21
(168)
JPMorgan
Chase
EUR
5,990
USD
7,312
09/15/21
201
JPMorgan
Chase
GBP
433
USD
595
08/25/21
(7)
JPMorgan
Chase
GBP
609
USD
861
09/15/21
14
JPMorgan
Chase
SEK
30,500
USD
3,694
09/15/21
150
Royal
Bank
of
Canada
USD
174
CAD
216
09/09/21
(1)
Royal
Bank
of
Canada
USD
11,415
CAD
14,208
09/09/21
(27)
Royal
Bank
of
Canada
USD
18,847
CAD
22,764
09/09/21
(602)
Royal
Bank
of
Canada
USD
320
EUR
270
09/15/21
1
Royal
Bank
of
Canada
USD
3,187
NOK
26,250
09/15/21
(216)
Royal
Bank
of
Canada
CAD
13,551
USD
11,215
09/09/21
354
Royal
Bank
of
Canada
EUR
5,990
USD
7,330
09/15/21
219
Royal
Bank
of
Canada
GBP
185
USD
257
09/15/21
Royal
Bank
of
Canada
GBP
609
USD
863
09/15/21
16
Royal
Bank
of
Canada
SEK
30,500
USD
3,705
09/15/21
161
State
Street
USD
13
EUR
11
09/15/21
State
Street
USD
32
EUR
27
09/15/21
State
Street
USD
60
EUR
50
09/15/21
State
Street
USD
714
EUR
585
09/15/21
(20)
State
Street
USD
38
INR
2,852
09/09/21
State
Street
USD
87
INR
6,484
09/09/21
State
Street
USD
3,059
INR
225,626
09/09/21
(38)
State
Street
USD
2,772
JPY
303,736
09/09/21
(2)
State
Street
USD
56
MYR
231
09/09/21
(1)
State
Street
USD
75
MYR
312
09/09/21
(2)
State
Street
USD
117
MYR
498
09/09/21
State
Street
USD
4,268
MYR
17,689
09/09/21
(99)
State
Street
USD
25
PEN
98
09/09/21
(1)
State
Street
USD
4,408
PEN
16,513
09/09/21
(342)
State
Street
USD
15
SEK
125
09/09/21
(1)
State
Street
CZK
2,530
USD
118
09/09/21
State
Street
CZK
3,145
USD
147
09/09/21
1
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
136
Opportunistic
Credit
Fund
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
State
Street
CZK
25,651
USD
1,226
09/09/21
33
State
Street
CZK
64,790
USD
3,108
09/09/21
96
State
Street
EUR
20
USD
24
09/15/21
State
Street
EUR
23
USD
28
09/15/21
1
State
Street
EUR
35
USD
43
09/15/21
1
State
Street
EUR
40
USD
47
09/15/21
State
Street
EUR
50
USD
59
09/15/21
State
Street
EUR
60
USD
73
09/15/21
2
State
Street
GBP
1,242
USD
1,716
08/16/21
(11)
State
Street
GBP
20
USD
28
09/15/21
State
Street
GBP
21
USD
30
09/15/21
1
State
Street
GBP
1,282
USD
1,810
09/15/21
28
State
Street
HKD
548
USD
71
09/09/21
State
Street
HKD
681
USD
88
09/09/21
State
Street
HKD
23,828
USD
3,071
09/09/21
4
State
Street
HKD
33,508
USD
4,319
09/09/21
7
State
Street
INR
4,265
USD
58
09/09/21
1
State
Street
PEN
582
USD
151
09/09/21
7
State
Street
PEN
28,171
USD
7,287
09/09/21
352
State
Street
SEK
1,647
USD
193
09/09/21
1
State
Street
SEK
1,846
USD
217
09/09/21
2
State
Street
SEK
63,300
USD
7,645
09/09/21
290
UBS
USD
7,096
CLP
5,144,643
09/09/21
(325)
UBS
USD
43
COP
160,961
09/09/21
(1)
UBS
USD
69
COP
256,300
09/09/21
(3)
UBS
USD
240
COP
921,162
09/09/21
(3)
UBS
USD
4,270
COP
16,007,666
09/09/21
(150)
UBS
USD
211
RUB
15,562
09/09/21
1
UBS
USD
7,364
RUB
549,471
09/09/21
115
UBS
CLP
5,144,643
USD
7,057
09/09/21
285
UBS
RUB
5,067
USD
69
09/09/21
UBS
RUB
5,795
USD
78
09/09/21
(1)
Total
Unrealized
Appreciation
(Depreciation)
on
Open
Foreign
Currency
Exchange
Contracts
1,972
Credit
Default
Swap
Contracts
Amounts
in
thousands
Credit
Indices
Reference
Entity
Counterparty
Purchase/Sell
Protection
Notional
Amount
Fund
(Pays)/
Receives
Fixed
Rate
Termination
Date
Premiums
Paid/(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
CDX
NA
Emerging
Markets
Index
Goldman
Sachs
Purchase
USD
36,200
(1.000%)
(2)
06/20/26
1,010
73
1,083
CDX
NA
Investment
Grade
Index
Goldman
Sachs
Purchase
USD
35,900
(1.000%)
(2)
06/20/26
(727)
(138)
(865)
Total
Open
Credit
Indices
Contracts
(å)
283
(65)
218
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical    
Expedient
(a)
Total
Long-Term
Fixed
Income
Investments
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
137
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical    
Expedient
(a)
Total
Asset-Backed
Securities
40,740
$
40,740
Corporate
Bonds
and
Notes
213,690
12
213,702
International
Debt
189,905
189,905
Loan
Agreements
Mortgage-Backed
Securities
98,890
98,890
Non-US
Bonds
82,117
82,117
United
States
Government
Treasuries
1,064
1,064
Common
Stocks
Consumer
Discretionary
Energy
1,610
205
1,815
Financial
Services
Materials
and
Processing
4,577
4,577
Producer
Durables
484
1,639
2,123
Technology
Preferred
Stocks
3,142
3,142
Warrants
and
Rights
71
71
Short-Term
Investments
3,993
182
74,867
79,042
Total
Investments
1,610
630,954
9,757
74,867
717,188
Other
Financial
Instruments
Assets
Futures
Contracts
6,097
6,097
Foreign
Currency
Exchange
Contracts
5,8
81
5,881
Credit
Default
Swap
Contracts
1,083
1,083
Liabilities
Futures
Contracts
(3,759)
(3,759)
Foreign
Currency
Exchange
Contracts
(3,90
9
)
(3,90
9
)
Credit
Default
Swap
Contracts
(865)
(865)
Total
Other
Financial
Instruments
*
$
2,338
$
2,190
$
$
$
4,52
8
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Category
and
Subcategory
Valuation
Techniquue
(s)
Unobservable
Input(s)
Input/Range(s)
Weighted
Average
Fair
Value
($)
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
138
Opportunistic
Credit
Fund
Long-Term
Fixed
Income
Investments
Corporate
Bonds
and
Notes
Other*
$
12
Common
Stocks
Energy
Other*
205
Materials
and
Processing
Discounted
cash
flow***
Discount
rate**
12.6%
4,577
Market
approach***
EBITDA
multiple****
5.5x
Discount
to
guideline
comparables
39.6%
Producer
Durables
Discounted
cash
flow***
Discount
rate**
10.1%
1,639
Market
approach***
EBITDA
multiple****
4.0x
Discount
to
guideline
comparables
50.0%
Preferred
Stocks
Producer
Durables
Market
approach***
EBITDA
multiple****
11.4x
3,142
Discount
to
guideline
comparables
31.5%
Short-Term
Investments
Other*
182
Total
Investments
$
9,757
*
Level
3
investments
with
a
listed
Valuation
Technique
of
"Other"
for
the
period
ended
July
31,
2021
were
less
than
1%
of
net
assets.
**
The
discount
rates
were
determined
by
calculating
the
weighted
average
cost
of
capital
for
the
companies.
***
A
50%/50%
weighted
average
was
applied
to
the
Market
approach
and
Discounted
cash
flow.
****
A
relative
value
analysis
of
comparable
publicly
traded
companies
was
used
to
derive
the
last
twelve
months
EBIDTA
multiple.
A
reconciliation
of
investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
value
for
the
period
ended
July
31,
2021
were
as
follows:
Category
and
Subcategory
Beginning
Balance
11/01/2020
Gross
Purchases
Gross
Sales
Accrued
Discounts/
(Premiums)
Realized
Gain
(Loss)
Net
Transfers
into
Level
3
Net
Transfers
out
of
Level
3
Net
Change
in
Unrealized
Appreciation/
(Depreciation)
Ending
Balance
of
7/31/2021
Net
Change
in
Unrealized
Appreciation/
(Depreciation)
on
Investments
held
as
of
7/31/2021
Long-Term
Fixed
Income
Asset
Backed
Securities
$
104
$
$
$
$
$
$
$
(104)
$
$
Corporate
Bonds
and
Notes
12
12
12
Loan
Agreements
39
(39)
Common
Stocks
Energy
205
205
205
Materials
and
Processing
3,265
1,312
4,577
1,312
Producer
Durables
1,504
135
1,639
135
Preferred
Stocks
2,774
368
3,142
368
Short-Term
Investments
7
175
182
175
Total
Investments
$
7,693
$
$
$
$
$
$
$
2,064
$
9,757
$
2,027
Amounts
in
thousands
Country
Exposure
Fair
Value
$
Argentina
.....................................................................................
4,693
Australia
......................................................................................
790
Austria
.........................................................................................
1,284
Azerbaijan
...................................................................................
859
Bahrain
........................................................................................
3,852
Barbados
......................................................................................
875
Belarus
.........................................................................................
1,095
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Opportunistic
Credit
Fund
139
Amounts
in
thousands
Country
Exposure
Fair
Value
$
Belgium
.......................................................................................
745
Bermuda
......................................................................................
4,133
Brazil
...........................................................................................
8,383
Canada
.........................................................................................
13,034
Cayman
Islands
............................................................................
18,104
Chile
............................................................................................
3,774
China
...........................................................................................
4,349
Colombia
......................................................................................
4,776
Costa
Rica
....................................................................................
3,365
Czech
Republic
............................................................................
489
Denmark
......................................................................................
3,035
Dominican
Republic
....................................................................
2,072
Ecuador
.......................................................................................
1,875
Egypt
...........................................................................................
3,498
El
Salvador
..................................................................................
1,779
Ethiopia
.......................................................................................
888
Finland
........................................................................................
1,244
France
..........................................................................................
12,988
Gabon
..........................................................................................
531
Germany
......................................................................................
14,812
Ghana
..........................................................................................
1,053
Honduras
.....................................................................................
533
India
............................................................................................
1,655
Indonesia
.....................................................................................
5,043
Iraq
..............................................................................................
776
Ireland
.........................................................................................
3,511
Italy
.............................................................................................
10,265
Japan
...........................................................................................
978
Jersey
...........................................................................................
1,681
Jordan
..........................................................................................
1,787
Kazakhstan
..................................................................................
1,378
Kenya
...........................................................................................
1,320
Lebanon
.......................................................................................
177
Liberia
.........................................................................................
202
Luxembourg
.................................................................................
11,210
Macao
..........................................................................................
608
Malaysia
.......................................................................................
2,980
Marshall
Islands
..........................................................................
667
Mexico
.........................................................................................
15,149
Mongolia
......................................................................................
374
Morocco
.......................................................................................
1,302
Mozambique
.................................................................................
1,087
Netherlands
.................................................................................
9,910
Nigeria
.........................................................................................
787
Norway
.........................................................................................
781
Oman
...........................................................................................
2,895
Pakistan
.......................................................................................
1,691
Panama
........................................................................................
623
Paraguay
......................................................................................
687
Peru
.............................................................................................
1,262
Philippines
...................................................................................
730
Puerto
Rico
..................................................................................
282
Qatar
............................................................................................
834
Russia
..........................................................................................
1,253
Saudi
Arabia
................................................................................
4,500
Russell
Investment
Company
Opportunistic
Credit
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
140
Opportunistic
Credit
Fund
Amounts
in
thousands
Country
Exposure
Fair
Value
$
Senegal
........................................................................................
256
Singapore
.....................................................................................
429
South
Africa
.................................................................................
5,307
South
Korea
.................................................................................
597
Spain
............................................................................................
4,307
Sri
Lanka
.....................................................................................
1,377
Sweden
.........................................................................................
1,673
Switzerland
..................................................................................
541
Thailand
.......................................................................................
236
Trinidad
and
Tobago
....................................................................
1,061
Tunisia
.........................................................................................
886
Turkey
..........................................................................................
7,805
Ukraine
........................................................................................
3,378
United
Arab
Emirates
..................................................................
1,964
United
Kingdom
...........................................................................
26,003
United
States
................................................................................
448,948
Uzbekistan
...................................................................................
953
Venezuela,
Bolivarian
Republic
of
...............................................
655
Virgin
Islands,
British
..................................................................
2,037
Zambia
.........................................................................................
1,482
Total
Investments
....................................................................
717,188
Russell
Investment
Company
Unconstrained
Total
Return
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Unconstrained
Total
Return
Fund
141
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Long-Term
Investments
48.0%
Corporate
Bonds
and
Notes
-
8.8%
Air
Lease
Corp.
3.250%
due
03/01/25
100
107
Aircastle
,
Ltd.
4.125%
due
05/01/24
200
214
Alcoa
Corp.
4.125%
due
03/31/29
(Þ)
200
210
Ally
Financial,
Inc.
5.750%
due
11/20/25
600
686
Ardagh
Packaging
Finance
PLC
/
Ardagh
Holdings
USA,
Inc.
5.250%
due
04/30/25
(Þ)
200
209
Centene
Corp.
2.500%
due
03/01/31
500
501
CF
Industries,
Inc.
3.450%
due
06/01/23
170
176
Charter
Communications
Operating
LLC
/
Charter
Communications
Operating
Capital
4.500%
due
02/01/24
400
435
CIT
Group,
Inc.
5.000%
due
08/01/23
250
270
4.750%
due
02/16/24
350
377
Clearway
Energy
Operating
LLC
3.750%
due
02/15/31
(Þ)
114
114
CSC
Holdings
LLC
5.250%
due
06/01/24
350
378
DCP
Midstream
Operating,
LP
5.375%
due
07/15/25
200
221
Devon
Energy
Corp.
5.250%
due
09/15/24
(Þ)
350
390
EnLink
Midstream
Partners,
LP
4.400%
due
04/01/24
300
315
Enterprise
Products
Operating
LLC
5.375%
due
02/15/78
(USD
3
Month
LIBOR
+
2.570%)(Ê)
100
103
EQM
Midstream
Partners,
LP
6.000%
due
07/01/25
(Þ)
250
272
Series
5Y
4.750%
due
07/15/23
213
222
Hanesbrands,
Inc.
4.625%
due
05/15/24
(Þ)
550
582
HCA,
Inc.
5.375%
due
02/01/25
1,200
1,359
JPMorgan
Chase
&
Co.
Series
CC
4.625%
due
12/31/99
(USD
3
Month
LIBOR
+
2.580%)(Ê)(ƒ)
100
101
MPLX,
LP
1.750%
due
03/01/26
250
254
Mylan,
Inc.
3.125%
due
01/15/23
(Þ)
330
342
Navient
Corp.
5.875%
due
10/25/24
153
167
Netflix,
Inc.
3.625%
due
06/15/25
(Þ)
300
322
Novelis
Corp.
3.875%
due
08/15/31
(Þ)
26
26
NRG
Energy,
Inc.
2.000%
due
12/02/25
(Þ)
160
165
Onemain
Finance
Corp.
6.875%
due
03/15/25
263
298
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Plains
All
American
Pipeline,
LP
/
PAA
Finance
Corp.
3.600%
due
11/01/24
600
642
Post
Holdings,
Inc.
4.500%
due
09/15/31
(Þ)
300
304
Prime
Security
Services
Borrower
LLC
/
Prime
Finance,
Inc.
5.250%
due
04/15/24
(Þ)
250
267
PulteGroup,
Inc.
5.500%
due
03/01/26
77
90
PVH
Corp.
Series
WI
4.625%
due
07/10/25
150
167
Range
Resources
Corp.
5.000%
due
03/15/23
273
283
Seagate
HDD
Cayman
4.750%
due
01/01/25
350
386
Sealed
Air
Corp.
5.125%
due
12/01/24
(Þ)
550
597
Silgan
Holdings,
Inc.
Series
WI
4.750%
due
03/15/25
150
152
Southwest
Airlines
Co.
4.750%
due
05/04/23
50
54
Sprint
Corp.
Series
WI
7.875%
due
09/15/23
275
311
Steel
Dynamics,
Inc.
2.400%
due
06/15/25
97
102
Taylor
Morrison
Communities,
Inc.
/
Taylor
Morrison
Holdings
II,
Inc.
5.625%
due
03/01/24
(Þ)
800
865
Tenet
Healthcare
Corp.
4.625%
due
07/15/24
580
587
TerraForm
Power
Operating
LLC
4.250%
due
01/31/23
(Þ)
500
513
T-Mobile
USA,
Inc.
2.250%
due
02/15/26
400
405
Western
Digital
Corp.
4.750%
due
02/15/26
543
603
15,144
International
Debt
-
10.2%
AerCap
Ireland
Capital,
Ltd.
/
AerCap
Global
Aviation
Trust
3.500%
due
01/15/25
250
266
Akbank
TAS
Series
REGS
5.125%
due
03/31/25
200
202
Aker
BP
ASA
Series
REGS
3.000%
due
01/15/25
273
289
Arcelik
AS
Series
REGS
5.000%
due
04/03/23
250
259
Ardagh
Metal
Packaging
Finance
USA
LLC
/
Ardagh
Metal
Packaging
Finance
PLC
Series
REGS
3.000%
due
09/01/29
EUR
100
119
Ashland
Services
BV
Series
REGS
2.000%
due
01/30/28
EUR
400
482
Auto
Ahorro
Automotriz
SA
de
CV
Russell
Investment
Company
Unconstrained
Total
Return
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
142
Unconstrained
Total
Return
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.325%
due
03/24/25
EUR
652
837
Avolon
Holdings
Funding,
Ltd.
5.250%
due
05/15/24
(Þ)
50
55
Ball
Corp.
0.875%
due
03/15/24
EUR
750
898
Banco
BTG
Pactual
SA
2.750%
due
01/11/26
(Þ)
200
195
Series
REGS
5.500%
due
01/31/23
200
210
Banco
Mercantil
del
Norte
SA
Series
REGS
6.750%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.967%)(Ê)(ƒ)
200
214
Barry
Callebaut
Services
NV
5.500%
due
06/15/23
(Þ)
200
216
Berry
Global,
Inc.
Series
REGS
7.000%
due
01/15/25
EUR
750
905
Bharti
Airtel
International
BV
Series
REGS
5.350%
due
05/20/24
400
439
BNP
Paribas
SA
Series
REGS
4.500%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.944%)(Ê)(ƒ)
200
205
Canpack
SA
Eastern
Land
3.125%
due
11/01/25
(Þ)
348
354
Cemex
SAB
de
CV
Series
REGS
3.875%
due
07/11/31
200
207
Country
Garden
Holdings
Co.,
Ltd.
2.700%
due
07/12/26
200
188
Crown
Finance
US,
Inc.
Term
Loan
B1
7.147%
due
05/23/24
(USD
3
Month
LIBOR
+
8.250%)(Ê)
67
83
Deutsche
Bank
AG
6.000%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.524%)(Ê)(ƒ)
200
210
DNB
Bank
ASA
4.875%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.140%)(Ê)(ƒ)
200
212
Ecopetrol
SA
4.125%
due
01/16/25
200
209
Electricite
de
France
SA
3.625%
due
10/13/25
200
221
Export-Import
Bank
of
India
Series
REGS
2.250%
due
01/13/31
200
187
First
Quantum
Minerals,
Ltd.
7.250%
due
04/01/23
(Þ)
200
204
Ford
Motor
Credit
Co.
LLC
4.535%
due
03/06/25
GBP
400
599
3.250%
due
09/15/25
EUR
100
129
Fortescue
Metals
Group,
Ltd.
5.125%
due
05/15/24
(Þ)
300
324
Gerdau
Trade,
Inc.
Series
REGS
4.750%
due
04/15/23
200
214
HSBC
Bank
PLC
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
1M
0.417%
due
06/29/49
(USD
6
Month
LIBOR
+
0.250%)(Ê)(ƒ)
170
162
Huntsman
International
LLC
Series
WI
4.250%
due
04/01/25
EUR
800
1,072
IMS
Health
Holdings,
Inc.
Term
Loan
B1
0.000%
due
03/07/24
(USD
3
Month
LIBOR
+
2.000%)(Ê)(v)
EUR
1,178
1,387
Intesa
Sanpaolo
SpA
5.017%
due
06/26/24
(Þ)
300
325
Itau
Unibanco
Holding
SA
Series
REGS
3.875%
due
04/15/31
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.446%)(Ê)
200
198
Klabin
Austria
GmbH
Series
REGS
3.200%
due
01/12/31
200
198
Liberty
Mutual
Group,
Inc.
Series
REGS
3.625%
due
05/23/59
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
3.700%)(Ê)
EUR
100
124
Macquarie
Bank,
Ltd.
3.052%
due
03/03/36
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
1.700%)(Ê)(Þ)
200
202
MARB
BondCo
PLC
Series
REGS
3.950%
due
01/29/31
200
194
MPT
Operating
Partnership,
LP
/
MPT
Finance
Corp.
2.500%
due
03/24/26
GBP
178
253
Natwest
Group
PLC
4.600%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.100%)(Ê)(ƒ)
200
205
Netflix,
Inc.
Series
REGS
3.000%
due
06/15/25
EUR
600
777
NXP
BV
/
NXP
Funding
LLC
4.625%
due
06/01/23
(Þ)
300
321
Orbia
Advance
Corp
SAB
de
CV
1.875%
due
05/11/26
(Þ)
200
201
Sberbank
of
Russia
Via
SB
Capital
SA
Series
REGS
5.125%
due
10/29/22
200
209
Severstal
OAO
Via
Steel
Capital
SA
Series
REGS
3.150%
due
09/16/24
250
260
Silgan
Holdings,
Inc.
Series
WI
3.250%
due
03/15/25
EUR
200
239
2.250%
due
06/01/28
EUR
300
358
Suzano
Austria
GmbH
Series
REGS
5.750%
due
07/14/26
200
233
Swiss
Re
Finance
(Luxembourg)
SA
4.250%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.864%)(Ê)(ƒ)
200
212
Turk
Telekomunikasyon
AS
Russell
Investment
Company
Unconstrained
Total
Return
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Unconstrained
Total
Return
Fund
143
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
REGS
4.875%
due
06/19/24
200
209
Turkiye
Garanti
Bankasi
AS
Series
REGS
5.875%
due
03/16/23
250
262
Turkiye
Vakiflar
Bankasi
TAO
Series
REGS
5.250%
due
02/05/25
286
285
VEON
Holdings
BV
Series
REGS
4.000%
due
04/09/25
250
263
VTR
Comunicaciones
SpA
Series
REGS
4.375%
due
04/15/29
400
400
17,681
Loan
Agreements
-
2.5%
Alvogen
Group,
Inc.
Extended
Term
Loan
6.250%
due
12/31/23
(USD
3
Month
LIBOR
+
5.250%)(Ê)
727
717
Ascena
Retail
Group,
Inc.
Term
Loan
B
5.250%
due
08/21/22
(USD
1
Month
LIBOR
+
4.500%)(Ê)
9
Banff
Merger
Sub,
Inc.
2021
Term
Loan
3.842%
due
10/02/25
(USD
1
Month
LIBOR
+
3.750%)(Ê)
302
299
CIBT
Global,
Inc.,
Term
Loan
4.750%
due
06/01/24
(USD
3
Month
LIBOR
+
3.750%)(Ê)
Fort
Dearborn
Holding
Co.,
Inc.
1st
Lien
Term
Loan
5.000%
due
10/19/23
(USD
3
Month
LIBOR
+
4.000%)(Ê)
1
1
Goodyear
Tire
&
Rubber
Co.
(The)
2nd
Lien
Term
Loan
0.000%
due
03/07/25
(USD
1
Month
LIBOR
+
2.000%)(Ê)(v)
2,000
1,970
Outerstuff
LLC
Term
Loan
6.000%
due
12/31/23
(USD
3
Month
LIBOR
+
5.000%)(Ê)
453
327
Rackspace
Technology,
Inc.
2021
Term  Loan
3.500%
due
02/02/28
1
1
Reynolds
Group
Holdings,
Inc.
1st
Lien
Term
Loan
B
3.342%
due
02/05/23
(USD
1
Month
LIBOR
+
2.750%)(Ê)
376
374
Reynolds
Group
Holdings,
Inc.
2020
Term
Loan
3.342%
due
02/16/26
(USD
1
Month
LIBOR
+
3.250%)(Ê)
151
150
Western
Digital
Corp.
1st
Lien
Term
Loan
B4
0.000%
due
04/29/23
(USD
1
Month
LIBOR
+
1.750%)(Ê)(v)
435
435
4,274
Mortgage-Backed
Securities
-
7.4%
Bear
Stearns
ALT-A
Trust
Series
2005-8
Class
21A1
3.753%
due
10/25/35
(~)(Ê)
Fannie
Mae
30
Year
TBA(Ï)
2.000%
1,000
1,020
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.500%
4,000
4,167
3.000%
4,000
4,188
4.000%
1,000
1,069
Fannie
Mae
REMICS
Series
2010-35
Class
SG
Interest
Only
STRIP
6.232%
due
04/25/40
(-1
x
USD
1
Month
LIBOR
+
6.400%)(Ê)
307
66
Series
2010-140
Class
GS
Interest
Only
STRIP
5.832%
due
07/25/39
(USD
1
Month
LIBOR
+
6.000%)(Ê)
60
1
Series
2011-101
Class
SA
Interest
Only
STRIP
5.732%
due
10/25/41
(USD
1
Month
LIBOR
+
5.900%)(Ê)
301
57
Series
2012-36
Class
SN
Interest
Only
STRIP
6.282%
due
04/25/42
(-1
x
USD
1
Month
LIBOR
+
6.450%)(Ê)
158
31
Series
2012-49
Class
QI
Interest
Only
STRIP
4.500%
due
12/25/40
260
10
Series
2012-103
Class
SD
Interest
Only
STRIP
5.882%
due
09/25/42
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
215
41
Series
2012-116
Class
SA
Interest
Only
STRIP
7.032%
due
10/25/42
(-1
x
USD
1
Month
LIBOR
+
7.200%)(Ê)
47
10
Series
2013-35
Class
IP
Interest
Only
STRIP
3.000%
due
06/25/42
309
12
Series
2013-41
Class
SP
Interest
Only
STRIP
6.032%
due
06/25/40
(-1
x
USD
1
Month
LIBOR
+
6.200%)(Ê)
227
8
Series
2016-24
Class
CI
Interest
Only
STRIP
4.000%
due
02/25/46
180
18
Series
2016-70
Class
QI
Interest
Only
STRIP
3.500%
due
10/25/46
693
79
Series
2016-97
Class
KI
Interest
Only
STRIP
3.000%
due
06/25/40
159
1
Series
2017-7
Class
JI
Interest
Only
STRIP
4.000%
due
02/25/47
368
29
Series
2017-15
Class
LI
Interest
Only
STRIP
4.000%
due
06/25/46
181
7
Series
2017-78
Class
KI
Interest
Only
STRIP
3.500%
due
10/25/47
126
10
Series
2017-82
Class
NI
Interest
Only
STRIP
4.000%
due
10/25/47
345
31
Series
2018-94
Class
KI
Interest
Only
STRIP
4.500%
due
12/25/48
612
32
Series
2018-95
Class
SA
Interest
Only
STRIP
5.982%
due
01/25/49
(-1
x
USD
1
Month
LIBOR
+
6.150%)(Ê)
33
5
Russell
Investment
Company
Unconstrained
Total
Return
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
144
Unconstrained
Total
Return
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2018-95
Class
SL
Interest
Only
STRIP
5.982%
due
01/25/49
(-1
x
USD
1
Month
LIBOR
+
6.150%)(Ê)
22
4
Series
2021-27
Class
GI
Interest
Only
STRIP
4.500%
due
05/25/51
392
68
Freddie
Mac
REMICS
Series
2011-3904
Class
NI
Interest
Only
STRIP
3.500%
due
08/15/26
275
11
Series
2012-3981
Class
WS
Interest
Only
STRIP
6.365%
due
05/15/41
(-1
x
USD
1
Month
LIBOR
+
6.550%)(Ê)
326
36
Series
2012-4074
Class
KS
Interest
Only
STRIP
6.515%
due
02/15/41
(-1
x
USD
1
Month
LIBOR
+
6.700%)(Ê)
339
26
Series
2012-4127
Class
PI
Interest
Only
STRIP
4.500%
due
07/15/42
535
59
Series
2013-4182
Class
PI
Interest
Only
STRIP
3.000%
due
12/15/41
1,952
63
Series
2014-4299
Class
JI
Interest
Only
STRIP
4.000%
due
07/15/43
251
12
Series
2014-4386
Class
IL
Interest
Only
STRIP
4.000%
due
12/15/43
328
39
Series
2014-4413
Class
HI
Interest
Only
STRIP
3.500%
due
03/15/40
(Š)
21
Series
2015-4475
Class
CI
Interest
Only
STRIP
3.500%
due
01/15/44
201
6
Series
2016-4550
Class
AI
Interest
Only
STRIP
3.000%
due
10/15/40
339
9
Series
2016-4560
Class
PI
Interest
Only
STRIP
3.500%
due
05/15/45
137
9
Series
2016-4601
Class
IC
Interest
Only
STRIP
4.000%
due
12/15/45
229
20
Series
2016-4621
Class
QI
Interest
Only
STRIP
3.500%
due
10/15/46
439
39
Series
2016-4635
Class
PI
Interest
Only
STRIP
4.000%
due
12/15/46
252
23
Series
2017-4663
Class
KI
Interest
Only
STRIP
3.500%
due
11/15/42
(Š)
34
Series
2017-4663
Class
PI
Interest
Only
STRIP
4.000%
due
03/15/47
372
29
Series
2017-4707
Class
AI
Interest
Only
STRIP
4.000%
due
07/15/47
317
24
Series
2017-4731
Class
QS
Interest
Only
STRIP
6.015%
due
11/15/47
(-1
x
USD
1
Month
LIBOR
+
6.200%)(Ê)
431
77
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2021-5125
Class
MI
Interest
Only
STRIP
4.500%
due
11/25/48
384
61
Ginnie
Mae
REMICS
Series
2009-121
Class
UI
Interest
Only
STRIP
5.000%
due
12/20/39
60
10
Series
2010-35
Class
QI
Interest
Only
STRIP
4.500%
due
03/20/40
252
40
Series
2011-22
Class
PS
Interest
Only
STRIP
5.810%
due
07/20/40
(-1
x
USD
1
Month
LIBOR
+
6.000%)(Ê)
380
16
Series
2011-135
Class
DI
Interest
Only
STRIP
5.000%
due
04/16/40
23
4
Series
2011-151
Class
SC
Interest
Only
STRIP
6.555%
due
07/16/40
(USD
1
Month
LIBOR
+
6.750%)(Ê)
162
8
Series
2011-168
Class
IO
Interest
Only
STRIP
5.500%
due
10/16/37
6
Series
2012-129
Class
IO
Interest
Only
STRIP
4.500%
due
11/16/42
260
41
Series
2013-23
Class
IK
Interest
Only
STRIP
3.000%
due
09/20/37
499
18
Series
2013-34
Class
HI
Interest
Only
STRIP
4.500%
due
03/20/43
174
27
Series
2013-99
Class
AS
Interest
Only
STRIP
5.860%
due
06/20/43
(USD
1
Month
LIBOR
+
6.050%)(Ê)
5
1
Series
2013-184
Class
SK
Interest
Only
STRIP
5.860%
due
12/20/43
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
39
7
Series
2014-27
Class
S
Interest
Only
STRIP
5.910%
due
02/20/44
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
40
6
Series
2014-44
Class
IA
Interest
Only
STRIP
3.500%
due
05/20/28
273
15
Series
2014-58
Class
SA
Interest
Only
STRIP
5.910%
due
04/20/44
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
32
6
Series
2014-60
Class
SE
Interest
Only
STRIP
5.910%
due
04/20/44
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
256
50
Series
2014-139
Class
NI
Interest
Only
STRIP
3.500%
due
08/20/28
594
13
Series
2014-161
Class
HI
Interest
Only
STRIP
4.500%
due
06/20/44
197
22
Series
2015-35
Class
AI
Interest
Only
STRIP
5.000%
due
03/16/45
377
53
Russell
Investment
Company
Unconstrained
Total
Return
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Unconstrained
Total
Return
Fund
145
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2015-62
Class
IL
Interest
Only
STRIP
3.500%
due
02/16/42
572
25
Series
2015-89
Class
IP
Interest
Only
STRIP
4.000%
due
02/20/45
336
37
Series
2015-89
Class
LI
Interest
Only
STRIP
5.000%
due
12/20/44
338
55
Series
2015-96
Class
NI
Interest
Only
STRIP
3.500%
due
01/20/39
227
3
Series
2015-105
Class
LI
Interest
Only
STRIP
5.000%
due
10/20/39
190
30
Series
2015-106
Class
CI
Interest
Only
STRIP
4.000%
due
05/20/45
417
45
Series
2015-144
Class
IA
Interest
Only
STRIP
4.000%
due
01/16/43
537
41
Series
2015-149
Class
KI
Interest
Only
STRIP
4.000%
due
10/20/45
277
39
Series
2015-162
Class
BI
Interest
Only
STRIP
4.000%
due
11/20/40
784
44
Series
2016-27
Class
IB
Interest
Only
STRIP
4.000%
due
11/20/45
614
79
Series
2016-47
Class
CI
Interest
Only
STRIP
4.000%
due
09/20/45
224
22
Series
2016-49
Class
IO
Interest
Only
STRIP
4.500%
due
11/16/45
289
47
Series
2016-77
Class
SC
Interest
Only
STRIP
5.910%
due
10/20/45
(USD
1
Month
LIBOR
+
6.100%)(Ê)
367
77
Series
2016-104
Class
GI
Interest
Only
STRIP
4.500%
due
01/20/46
230
30
Series
2016-136
Class
YI
Interest
Only
STRIP
3.500%
due
03/20/45
63
3
Series
2016-138
Class
DI
Interest
Only
STRIP
4.000%
due
10/20/46
204
29
Series
2016-156
Class
PI
Interest
Only
STRIP
3.500%
due
11/20/46
118
2
Series
2017-11
Class
PI
Interest
Only
STRIP
4.000%
due
12/20/46
215
12
Series
2017-17
Class
EI
Interest
Only
STRIP
4.000%
due
09/20/44
229
4
Series
2017-26
Class
EI
Interest
Only
STRIP
5.000%
due
02/20/40
385
38
Series
2017-38
Class
DI
Interest
Only
STRIP
5.000%
due
03/16/47
384
69
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2017-130
Class
IB
Interest
Only
STRIP
4.000%
due
08/20/47
247
35
Series
2017-136
Class
GI
Interest
Only
STRIP
3.500%
due
09/20/47
313
23
Series
2018-127
Class
IA
Interest
Only
STRIP
3.500%
due
04/20/42
172
11
Series
2019-78
Class
SJ
Interest
Only
STRIP
5.860%
due
06/20/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
129
14
Series
2021-97
Class
QI
Interest
Only
STRIP
3.000%
due
06/20/51
885
73
Series
2021-105
Class
IP
Interest
Only
STRIP
3.000%
due
06/20/51
740
71
12,802
Non-US
Bonds
-
10.2%
ABN
AMRO
Bank
NV
4.375%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
4.674%)(Ê)(ƒ)
EUR
200
256
ADLER
Group
SA
1.875%
due
01/14/26
EUR
400
456
Alpha
Services
and
Holdings
SA
5.500%
due
06/11/31
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
5.823%)(Ê)
EUR
100
119
Altice
Financing
SA
Series
REGS
2.250%
due
01/15/25
EUR
463
532
Banco
BPM
SpA
1.525%
due
02/18/25
EUR
250
302
Bank
of
Ireland
Group
1.000%
due
11/25/25
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
1
Year
Rate
+
1.250%)(Ê)
EUR
100
122
BAWAG
Group
AG
5.000%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
4.415%)(Ê)(ƒ)
EUR
200
256
Caisse
Nationale
de
Reassurance
Mutuelle
Agricole
Groupama
6.375%
due
05/29/49
(3
Month
EURIBOR
+
5.770%)(Ê)(ƒ)
EUR
100
137
Caixa
Geral
de
Depositos
SA
10.750%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
10.925%)(Ê)(ƒ)
EUR
200
252
CaixaBank
SA
6.375%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
6.224%)(Ê)(ƒ)
EUR
200
258
Commerzbank
AG
1.750%
due
01/22/25
GBP
200
281
Cooperatieve
Rabobank
UA
3.250%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
3.702%)(Ê)(ƒ)
EUR
200
245
Deutsche
Lufthansa
AG
3.000%
due
05/29/26
EUR
100
120
EDP
-
Energias
de
Portugal
SA
Russell
Investment
Company
Unconstrained
Total
Return
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
146
Unconstrained
Total
Return
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
1.700%
due
07/20/80
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
1.844%)(Ê)
EUR
200
241
Enel
SpA
2.500%
due
11/24/78
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
2.096%)(Ê)
EUR
100
124
Erna
Srl
Series
2019-1
Class
A
2.250%
due
07/25/31
(3
Month
EURIBOR
+
2.250%)(Ê)
EUR
425
507
Eurofins
Scientific
SE
2.125%
due
07/25/24
EUR
400
503
Gazprom
OAO
Via
Gaz
Capital
SA
4.250%
due
04/06/24
GBP
400
591
Gazprom
PJSC
2.950%
due
04/15/25
EUR
100
126
Grifols
SA
Series
REGS
1.625%
due
02/15/25
EUR
639
765
Heimstaden
Bostad
AB
2.625%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
3.149%)(Ê)(ƒ)
EUR
200
235
Ibercaja
Banco
SA
2.750%
due
07/23/30
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
2.882%)(Ê)
EUR
100
118
IHO
Verwaltungs
GmbH
Series
REGS
3.625%
due
05/15/25
EUR
400
483
Iliad
SA
1.875%
due
02/11/28
100
116
Infrastrutture
Wireless
Italiane
SpA
1.750%
due
04/19/31
EUR
300
362
International
Consolidated
Airlines
0.500%
due
07/04/23
EUR
300
345
Kleopatra
Finco
SARL
4.250%
due
03/01/26
(Þ)
EUR
100
118
Lagarder
SCA
Bond
Issuance
2.125%
due
10/16/26
EUR
100
119
LKQ
Italia
Bondco
SpA
Series
REGS
3.875%
due
04/01/24
EUR
100
128
Logicor
Financing
SARL
1.500%
due
07/13/26
EUR
100
126
Loxam
SAS
3.250%
due
01/14/25
EUR
200
239
Matterhorn
Telecom
SA
Series
REGS
2.625%
due
09/15/24
EUR
350
420
Nexans
SA
3.750%
due
08/08/23
EUR
200
252
Nexi
SpA
1.625%
due
04/30/26
EUR
100
119
OJSC
Novolipetsk
Steel
Series
REGS
1.450%
due
06/02/26
EUR
200
238
Orsted
A/S
Series
GBP
2.500%
due
02/18/21
(U.K.
Government
Bonds
5
Year
Note
Generic
Bid
Yield
+
1.886%)(Ê)
GBP
200
277
Pension
Insurance
Corp.
PLC
6.500%
due
07/03/24
GBP
200
317
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Petrobras
Global
Finance
BV
4.750%
due
01/14/25
EUR
200
266
Q-Park
Holding
I
BV
Series
REGS
1.500%
due
03/01/25
EUR
290
329
Renault
SA
2.375%
due
05/25/26
EUR
100
120
Rothesay
Life
PLC
8.000%
due
10/30/25
GBP
150
262
Samhallsbyggnadsbolaget
I
Norden
AB
2.625%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
3.227%)(Ê)(ƒ)
EUR
200
240
Sappi
Papier
Holding
GmbH
Series
REGS
3.125%
due
04/15/26
EUR
100
119
SIG
Combibloc
Purchase
Co.
2.125%
due
06/18/25
(Þ)
EUR
723
908
SoftBank
Group
Corp.
3.125%
due
09/19/25
EUR
250
300
Solvay
SA
2.500%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
2.977%)(Ê)(ƒ)
EUR
100
124
SPCM
SA
Series
REGS
2.000%
due
02/01/26
EUR
100
121
Telefonica
Europe
BV
2.376%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
8
Year
Rate
+
2.616%)(Ê)(ƒ)
EUR
200
234
Telenet
Finance
Luxembourg
Notes
SARL
Series
REGS
3.500%
due
03/01/28
EUR
100
123
TenneT
Holding
BV
2.374%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
2.719%)(Ê)(ƒ)
EUR
200
248
Tesco
Personal
Finance
Group
PLC
3.500%
due
07/25/25
GBP
150
219
Thanes
Water
Kemble
Finance
PLC
Series
REGS
4.625%
due
05/19/26
GBP
120
172
Thyssenkrupp
AG
2.875%
due
02/22/24
EUR
500
605
Trivium
Packaging
Finance
BV
Series
REGS
3.750%
due
08/15/26
EUR
100
120
Ubisoft
Entertainment
SA
1.289%
due
01/30/23
EUR
300
362
Unione
di
Banche
Italiane
SpA
1.625%
due
04/21/25
EUR
400
499
Unipol
Gruppo
Finanziario
SpA
3.000%
due
03/18/25
EUR
100
128
UnipolSai
Assicurazioni
SpA
6.375%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
6.744%)(Ê)(ƒ)
EUR
200
275
United
Group
BV
4.625%
due
08/15/28
(Þ)
EUR
100
120
Series
REGS
3.625%
due
02/15/28
EUR
100
116
Russell
Investment
Company
Unconstrained
Total
Return
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Unconstrained
Total
Return
Fund
147
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Veolia
Environnement
SA
2.500%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
2.840%)(Ê)(ƒ)
EUR
200
242
Verallia
SA
1.625%
due
05/14/28
EUR
300
362
Volvo
Car
AB
2.125%
due
04/02/24
EUR
500
619
Wizz
Air
Finance
Co.
BV
1.350%
due
01/19/24
EUR
180
218
17,656
United
States
Government
Treasuries
-
8.9%
United
States
Treasury
Notes
0.250%
due
08/31/25
8,900
8,786
1.125%
due
02/15/31
6,700
6,641
15,427
Total
Long-Term
Investments
(cost
$80,214)
82,984
Common
Stocks
-
0.0%
Consumer
Discretionary
-
0.0%
Constellis
Holdings
LLC(Æ)
4,968
19
Health
Care
-
0.0%
Carestream
Health,
Inc.(Æ)(Š)
8
19
Total
Common
Stocks
(cost
$51)
38
Short-Term
Investments
-
37.4%
Phoenix
Group
Holdings
PLC
4.125%
due
07/20/22
200
287
U.S.
Cash
Management
Fund(@)
52,317,482
(∞)
52,306
United
States
Cash
Management
Bills
Series
WI
0.010%
due
09/07/21
(ç)(ž)
234
234
0.054%
due
10/19/21
(ž)
72
72
0.053%
due
10/26/21
(ž)
18
18
United
States
Treasury
Bills
0.047%
due
11/26/21
(ž)
9,500
9,499
Series
WI
0.011%
due
08/03/21
(ç)(ž)
55
55
0.018%
due
09/21/21
(ç)(ž)
1,094
1,094
0.024%
due
09/28/21
(ç)(ž)
1,201
1,201
Total
Short-Term
Investments
(cost
$64,743)
64,766
Total
Investments
-
85.4%
(identified
cost
$145,008)
147,788
Securities
Sold
Short
-
(3.0)%
Long-Term
Investments
-
(3.0)%
Mortgage-Backed
Securities
-
(3.0)%
Fannie
Mae
30
Year
TBA(Ï)
2.000%
(1,000)
(1,020)
2.500%
(4,000)
(4,167)
(5,187)
Total
Securities
Sold
Short
(proceeds
$5,168)
(5,187)
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Other
Assets
and
Liabilities,
Net
-
17.6%
30,382
Net
Assets
-
100.0%
172,983
Russell
Investment
Company
Unconstrained
Total
Return
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
148
Unconstrained
Total
Return
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
5.0%
Alcoa
Corp.
07/13/21
200,000
104.26
209
210
Ardagh
Packaging
Finance
PLC
/
Ardagh
Holdings
USA,
Inc.
05/28/20
200,000
103.61
207
209
Avolon
Holdings
Funding,
Ltd.
11/18/19
50,000
105.80
53
55
Banco
BTG
Pactual
SA
01/06/21
200,000
99.48
199
195
Barry
Callebaut
Services
NV
04/24/20
200,000
104.30
209
216
Canpack
SA
Eastern
Land
10/15/20
348,000
100.00
348
354
Clearway
Energy
Operating
LLC
07/15/21
114,000
100.25
114
114
Devon
Energy
Corp.
06/07/21
350,000
110.53
387
390
EQM
Midstream
Partners,
LP
01/05/21
250,000
107.94
270
272
First
Quantum
Minerals,
Ltd.
11/18/19
200,000
100.58
201
204
Fortescue
Metals
Group,
Ltd.
01/29/20
300,000
104.17
313
324
Hanesbrands,
Inc.
04/24/20
550,000
101.04
556
582
Intesa
Sanpaolo
SpA
04/27/20
300,000
98.77
296
325
Kleopatra
Finco
SARL
02/04/21
EUR
100,000
119.67
120
118
Macquarie
Bank,
Ltd.
07/15/21
200,000
100.58
201
202
Mylan,
Inc.
11/18/19
330,000
100.63
332
342
Netflix,
Inc.
06/11/20
300,000
102.07
306
322
Novelis
Corp.
07/26/21
26,000
100.00
26
26
NRG
Energy,
Inc.
11/17/20
160,000
99.95
160
165
NXP
BV
/
NXP
Funding
LLC
07/14/21
300,000
107.16
321
321
Orbia
Advance
Corp
SAB
de
CV
06/24/21
200,000
100.98
202
201
Post
Holdings,
Inc.
07/15/21
300,000
100.82
302
304
Prime
Security
Services
Borrower
LLC
/
Prime
Finance,
Inc.
11/18/19
250,000
101.68
254
267
Sealed
Air
Corp.
05/13/20
550,000
105.24
579
597
SIG
Combibloc
Purchase
Co.
06/11/20
EUR
723,000
113.00
817
908
Taylor
Morrison
Communities,
Inc.
/
Taylor
Morrison
Holdings
II,
Inc.
07/07/21
800,000
108.48
868
865
TerraForm
Power
Operating
LLC
05/20/20
500,000
101.28
506
513
United
Group
BV
07/20/21
EUR
100,000
117.83
118
120
8,721
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
Australia
10
Year
Government
Bond
Futures
83
AUD
12,068
09/21
227
Canadian
10
Year
Government
Bond
Futures
21
CAD
3,108
09/21
69
Japanese
10
Year
Government
Bond
Futures
5
JPY
761,501
09/21
29
Short
Positions
Euro-Bund
Futures
38
EUR
6,710
09/21
(223)
Long
Gilt
Futures
50
GBP
6,490
09/21
(179)
United
States
10
Year
Treasury
Note
Futures
29
USD
3,899
09/21
(32)
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
(109)
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Northern
Trust
EUR
200
USD
243
09/15/21
5
Royal
Bank
of
Canada
EUR
200
USD
238
09/15/21
Royal
Bank
of
Canada
EUR
6,000
USD
7,101
09/15/21
(23)
Royal
Bank
of
Canada
EUR
7,250
USD
8,802
09/15/21
195
Royal
Bank
of
Canada
GBP
500
USD
694
09/15/21
(1)
State
Street
USD
179
EUR
150
09/15/21
(1)
State
Street
EUR
7,250
USD
8,801
09/15/21
194
Russell
Investment
Company
Unconstrained
Total
Return
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Unconstrained
Total
Return
Fund
149
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
State
Street
GBP
2,200
USD
3,105
09/15/21
46
Total
Unrealized
Appreciation
(Depreciation)
on
Open
Foreign
Currency
Exchange
Contracts
415
Total
Return
Swap
Contracts
Amounts
in
thousands
Underlying
Reference
Entity
Counterparty
Notional
Amount
Terms
Termination
Date
Premiums
Paid
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Long
Markit
IOS
Index
Fannie
Mae
30
Year
4.000%
Goldman
Sachs
USD
1,181
1
Month
LIBOR
(1)
01/12/45
(8)
(8)
Markit
IOS
Index
Fannie
Mae
30
Year
4.000%
JPMorgan
Chase
USD
1,181
1
Month
LIBOR
(1)
01/12/45
8
8
Total
Open
Total
Return
Swap
Contracts
(å)
Interest
Rate
Swap
Contracts
Amounts
in
thousands
Counterparty
Notional
Amount
Fund
Receives
Fund
Pays
Termination
Date
Premiums
Paid
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Barclays
USD
4,136
Three
Month
LIBOR
(2)
0.305%
(3)
06/24/23
1
(6)
(5)
Barclays
USD
4,136
0.305%
(2)
Three
Month
LIBOR
(2)
06/24/23
5
5
Barclays
USD
551
Three
Month
LIBOR
(2)
1.462%
(3)
06/24/31
(11)
(11)
Barclays
USD
551
1.462%
(2)
Three
Month
LIBOR
(2)
06/24/31
1
10
11
Barclays
USD
415
Three
Month
LIBOR
(2)
1.802%
(3)
06/24/51
(16)
(16)
Barclays
USD
415
1.802%
(2)
Three
Month
LIBOR
(2)
06/24/51
3
13
16
Total
Open
Interest
Rate
Swap
Contracts
(å)
5
(5)
Credit
Default
Swap
Contracts
Amounts
in
thousands
Corporate
Issues
Reference
Entity
Counterparty
Purchase/Sell
Protection
Implied
Credit
Spread
Notional
Amount
Fund
(Pays)/
Receives
Fixed
Rate
Termination
Date
Premiums
Paid/
(Received)
$
Unrealized
Appreciation
(Depreciation))
$
Fair
Value
$
Aegon
N.V.
Goldman
Sachs
Sell
1.116%
EUR
250
1.000%
(2)
12/20/26
(3)
1
(2)
AES
Corp.
(The)
Goldman
Sachs
Sell
0.981%
USD
600
5.000%
(2)
12/20/26
131
(5)
126
Anglo
American
Capital
PLC
JPMorgan
Chase
Sell
0.784%
USD
175
5.000%
(2)
06/20/25
2
26
28
Anglo
American
Capital
PLC
JPMorgan
Chase
Sell
1.143%
EUR
700
5.000%
(2)
12/20/26
170
2
172
Anglo
American
Capital
PLC
JPMorgan
Chase
Sell
3.705%
EUR
600
5.000%
(2)
12/20/26
44
2
46
Apache
Corp.
JPMorgan
Chase
Sell
2.183%
USD
350
1.000%
(2)
12/20/26
(20)
(1)
(21)
ArcelorMittal
SA
JPMorgan
Chase
Sell
1.394%
EUR
450
5.000%
(2)
12/20/26
101
1
102
Ardagh
Packaging
Finance
PLC
/
Ardagh
Holdings
USA,
Inc.
Goldman
Sachs
Sell
1.738%
EUR
330
5.000%
(2)
06/20/25
42
7
49
AT&T
Inc.
Barclays
Sell
0.411%
USD
350
1.000%
(2)
12/20/24
7
7
Russell
Investment
Company
Unconstrained
Total
Return
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
150
Unconstrained
Total
Return
Fund
Credit
Default
Swap
Contracts
Amounts
in
thousands
Corporate
Issues
Reference
Entity
Counterparty
Purchase/Sell
Protection
Implied
Credit
Spread
Notional
Amount
Fund
(Pays)/
Receives
Fixed
Rate
Termination
Date
Premiums
Paid/
(Received)
$
Unrealized
Appreciation
(Depreciation))
$
Fair
Value
$
Banco
Santander
SA
Goldman
Sachs
Sell
1.139%
EUR
150
1.000%
(2)
12/20/26
(2)
1
(1)
Barclays
PLC
JPMorgan
Chase
Sell
1.031%
EUR
400
1.000%
(2)
12/20/26
(2)
1
(1)
Calpine
Corp.
JPMorgan
Chase
Sell
3.307%
USD
400
5.000%
(2)
12/20/26
26
7
33
Cellnex
Telecom
SA
Bank
of
America
Sell
1.430%
EUR
400
5.000%
(2)
12/20/26
92
(2)
90
CNH
Industrial
Finance
SA
Bank
of
America
Sell
0.961%
EUR
300
5.000%
(2)
12/20/26
78
(1)
77
Credit
Suisse
Group
AG
JPMorgan
Chase
Sell
0.933%
EUR
250
1.000%
(2)
12/20/26
1
1
Crown
European
Holdings
SA
Bank
of
America
Sell
1.390%
EUR
800
1.000%
(2)
12/20/26
(27)
7
(20)
Dell,
Inc.
Goldman
Sachs
Sell
1.008%
USD
800
1.000%
(2)
12/20/26
3
(3)
Devon
Energy
Corp.
Goldman
Sachs
Sell
1.240%
USD
450
1.000%
(2)
12/20/26
(2)
(4)
(6)
Elis
SA
Barclays
Sell
1.693%
EUR
400
5.000%
(2)
12/20/26
82
1
83
Enbridge
Inc.
Goldman
Sachs
Sell
0.764%
USD
100
1.000%
(2)
12/20/26
2
(1)
1
Faurecia
SE
JPMorgan
Chase
Sell
1.798%
EUR
150
5.000%
(2)
12/20/26
29
1
30
General
Electric
Co.
Goldman
Sachs
Sell
0.840%
USD
200
1.000%
(2)
12/20/26
2
2
General
Motors
Co.
JPMorgan
Chase
Sell
1.019%
USD
550
5.000%
(2)
12/20/26
114
114
HeidelbergCement
AG
Bank
of
America
Sell
0.860%
EUR
150
5.000%
(2)
12/20/26
40
40
Hess
Corp.
JPMorgan
Chase
Sell
1.271%
USD
700
1.000%
(2)
12/20/26
(6)
(4)
(10)
Iron
Mountain
Inc.
Goldman
Sachs
Sell
1.551%
USD
370
5.000%
(2)
12/20/26
67
(2)
65
J
Sainsbury
PLC
JPMorgan
Chase
Sell
0.947%
EUR
650
1.000%
(2)
12/20/26
10
(8)
2
Jaguar
Land
Rover
Automotive
PLC
JPMorgan
Chase
Sell
1.107%
EUR
300
5.000%
(2)
12/20/21
2
4
6
KB
Home
Goldman
Sachs
Sell
1.935%
USD
500
5.000%
(2)
12/20/26
73
5
78
Kinder
Morgan,
Inc.
Goldman
Sachs
Sell
0.740%
USD
150
1.000%
(2)
12/20/26
3
(1)
2
Koninklijke
KPN
N.V.
Bank
of
America
Sell
0.498%
EUR
450
1.000%
(2)
12/20/24
10
(1)
9
Kraft
Heinz
Foods
Co.
Goldman
Sachs
Sell
0.889%
USD
791
1.000%
(2)
12/20/26
7
(2)
5
L
Brands,
Inc.
Bank
of
America
Sell
1.627%
USD
550
1.000%
(2)
12/20/26
(16)
(2)
(18)
Lennar
Corp.
JPMorgan
Chase
Sell
0.942%
USD
1,100
5.000%
(2)
12/20/26
231
2
233
Lumen
Technologies,
Inc.
Goldman
Sachs
Sell
3.035%
USD
440
1.000%
(2)
12/20/26
(44)
(44)
Marathon
Oil
Corp.
JPMorgan
Chase
Sell
1.305%
USD
300
1.000%
(2)
12/20/26
(2)
(3)
(5)
Marks
&
Spencer
PLC
JPMorgan
Chase
Sell
2.108%
EUR
500
1.000%
(2)
12/20/26
(30)
(4)
(34)
NatWest
Group
PLC
Goldman
Sachs
Sell
0.981%
EUR
150
1.000%
(2)
12/20/26
Navient
Corp.
JPMorgan
Chase
Sell
3.237%
USD
275
5.000%
(2)
12/20/26
23
23
Nokia
OYJ
Goldman
Sachs
Sell
0.963%
EUR
350
5.000%
(2)
12/20/26
89
1
90
NRG
Energy,
Inc.
JPMorgan
Chase
Sell
1.995%
USD
350
5.000%
(2)
12/20/26
54
(1)
53
Occidental
Petroleum
Corp.
Goldman
Sachs
Sell
2.400%
USD
400
1.000%
(2)
12/20/26
(18)
(10)
(28)
OI
European
Group
B.V.
JPMorgan
Chase
Sell
2.496%
EUR
275
5.000%
(2)
12/20/26
40
2
42
Prudential
Co.
JPMorgan
Chase
Sell
0.991%
EUR
200
1.000%
(2)
12/20/26
PulteGroup,
Inc.
JPMorgan
Chase
Sell
0.891%
USD
300
5.000%
(2)
12/20/26
64
1
65
Rexel
,
Inc.
JPMorgan
Chase
Sell
1.251%
EUR
520
5.000%
(2)
12/20/26
123
1
124
Schaeffler
AG
Bank
of
America
Sell
1.684%
EUR
250
5.000%
(2)
12/20/26
51
51
Smurfit
Kappa
Acquisitions
ULC
Goldman
Sachs
Sell
0.696%
EUR
425
5.000%
(2)
12/20/26
118
118
Stellantis
NV
Goldman
Sachs
Sell
1.156%
EUR
750
5.000%
(2)
12/20/26
184
(1)
183
Telecom
Italia
SpA
JPMorgan
Chase
Sell
1.848%
EUR
800
1.000%
(2)
12/20/26
(37)
(5)
(42)
Tesco
PLC
Barclays
Sell
0.738%
EUR
850
1.000%
(2)
12/20/26
15
(1)
14
thyssenkrupp
AG
Barclays
Sell
2.359%
EUR
150
1.000%
(2)
06/20/25
(16)
7
(9)
T-Mobile
Goldman
Sachs
Sell
1.090%
USD
350
5.000%
(2)
12/20/26
69
2
71
Toll
Brothers
Finance
Corp.
Goldman
Sachs
Sell
1.177%
USD
800
1.000%
(2)
12/20/26
(11)
4
(7)
Russell
Investment
Company
Unconstrained
Total
Return
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Unconstrained
Total
Return
Fund
151
Credit
Default
Swap
Contracts
Amounts
in
thousands
Corporate
Issues
Reference
Entity
Counterparty
Purchase/Sell
Protection
Implied
Credit
Spread
Notional
Amount
Fund
(Pays)/
Receives
Fixed
Rate
Termination
Date
Premiums
Paid/
(Received)
$
Unrealized
Appreciation
(Depreciation))
$
Fair
Value
$
Unicredit
,
Societa
Per
Azioni
JPMorgan
Chase
Sell
1.792%
EUR
200
1.000%
(2)
12/20/26
(11)
1
(10)
UPC
Holding
BV
Goldman
Sachs
Sell
2.431%
EUR
450
5.000%
(2)
12/20/26
67
3
70
Valeo
SA
JPMorgan
Chase
Sell
1.433%
EUR
150
1.000%
(2)
12/20/26
(3)
(1)
(4)
Virgin
Media
Finance
PLC
Goldman
Sachs
Sell
2.766%
EUR
770
5.000%
(2)
12/20/26
110
(6)
104
Vodafone
Group
Goldman
Sachs
Sell
0.365%
EUR
300
1.000%
(2)
12/20/24
7
1
8
Ziggo
Bond
Finance
BV
Goldman
Sachs
Sell
2.636%
EUR
350
5.000%
(2)
12/20/26
51
(1)
50
Total
Open
Corporate
Issues
Contracts
2,183
22
2,205
Credit
Indices
Reference
Entity
Counterparty
Purchase/Sell
Protection
Notional
Amount
Fund
(Pays)/
Receives
Fixed
Rate
Termination
Date
Premiums
Paid/
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
CDX
NA
High
Yield
Index
Morgan
Stanley
Purchase
USD
3,000
(5.000%)
(2)
06/20/26
(294)
18
(276)
CMBX
NA
Index
Bank
of
America
Purchase
USD
15,000
(5.000%)
(2)
06/20/26
152
(1,525)
(1,373)
CMBX
NA
Index
Bank
of
America
Sell
USD
15,000
5.000%
(2)
06/20/26
(124)
1,497
1,373
CMBX
NA
Index
Barclays
Sell
USD
175
5.000%
(2)
12/20/26
21
3
24
CMBX
NA
Index
Citigroup
Purchase
USD
(5.000%)
(2)
10/17/57
CMBX
NA
Index
Citigroup
Sell
USD
6
5.000%
(2)
05/11/63
(3)
(3)
CMBX
NA
Index
Credit
Suisse
Sell
USD
27
5.000%
(2)
05/11/63
(5)
(7)
(12)
CMBX
NA
Index
Goldman
Sachs
Purchase
USD
(5.000%)
(2)
10/17/57
CMBX
NA
Index
Goldman
Sachs
Sell
USD
3
5.000%
(2)
05/11/63
(1)
(1)
CMBX
NA
Index
JPMorgan
Chase
Sell
USD
25
5.000%
(2)
05/11/63
(12)
1
(11)
CMBX
NA
Index
JPMorgan
Chase
Purchase
USD
(5.000%)
(2)
10/17/57
CMBX
NA
Index
Morgan
Stanley
Sell
USD
68
5.000%
(2)
05/11/63
(23)
(8)
(31)
CMBX
NA
Index
Morgan
Stanley
Purchase
USD
(5.000%)
(2)
10/17/57
iTraxx
Europe
Crossover
Morgan
Stanley
Purchase
EUR
18,000
(5.000%)
(2)
06/20/26
(239)
(2,330)
(2,569)
iTraxx
Europe
Crossover
Morgan
Stanley
Sell
EUR
15,000
5.000%
(2)
06/20/26
(159)
2,299
2,140
Total
Open
Credit
Indices
Contracts
(687)
(52)
(739)
Total
Open
Credit
Default
Swap
Contracts
(å)
1,496
(30)
1,466
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical    
Expedient
(a)
Total
Long-Term
Investments
Corporate
Bonds
and
Notes
$
$
15,144
$
$
$
15,144
International
Debt
17,
681
17,
681
Loan
Agreements
4,274
4,274
Mortgage-Backed
Securities
12,802
12,802
Non-US
Bonds
17,
656
17,
656
United
States
Government
Treasuries
15,427
15,427
Common
Stocks
Consumer
Discretionary
19
19
Health
Care
19
19
Russell
Investment
Company
Unconstrained
Total
Return
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
152
Unconstrained
Total
Return
Fund
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical    
Expedient
(a)
Total
Short-Term
Investments
12,460
52,306
64,766
Total
Investments
95,463
19
52,306
147,788
Securities
Sold
Short
**
(5,187)
(5,187)
Other
Financial
Instruments
Assets
Futures
Contracts
325
325
Foreign
Currency
Exchange
Contracts
440
440
Total
Return
Swap
Contracts
8
8
Interest
Rate
Swap
Contracts
32
32
Credit
Default
Swap
Contracts
6,004
6,004
Liabilities
Futures
Contracts
(434)
(434)
Foreign
Currency
Exchange
Contracts
(25)
(2
5
)
Total
Return
Swap
Contracts
(8)
(8)
Interest
Rate
Swap
Contracts
(32)
(32)
Credit
Default
Swap
Contracts
(4,538)
(4,538)
Total
Other
Financial
Instruments
*
$
(109)
$
1,881
$
$
$
1,772
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
**
Refer
to
Schedule
of
Investments
for
detailed
sector
breakout.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Amounts
in
thousands
Country
Exposure
Fair
Value
$
Australia
......................................................................................
526
Austria
.........................................................................................
375
Belgium
.......................................................................................
340
Brazil
...........................................................................................
1,299
Cayman
Islands
............................................................................
188
Chile
............................................................................................
400
Colombia
......................................................................................
209
Denmark
......................................................................................
277
France
..........................................................................................
2,495
Germany
......................................................................................
2,154
Greece
.........................................................................................
119
India
............................................................................................
627
Russell
Investment
Company
Unconstrained
Total
Return
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Unconstrained
Total
Return
Fund
153
Amounts
in
thousands
Country
Exposure
Fair
Value
$
Ireland
.........................................................................................
682
Italy
.............................................................................................
2,770
Japan
...........................................................................................
300
Luxembourg
.................................................................................
2,620
Mexico
.........................................................................................
623
Netherlands
.................................................................................
2,251
Norway
.........................................................................................
500
Poland
..........................................................................................
354
Portugal
.......................................................................................
493
Russia
..........................................................................................
260
Spain
............................................................................................
1,487
Sweden
.........................................................................................
1,094
Switzerland
..................................................................................
1,338
Turkey
..........................................................................................
1,217
United
Kingdom
...........................................................................
2,027
United
States
................................................................................
120,345
Virgin
Islands,
British
..................................................................
214
Zambia
.........................................................................................
204
Total
Investments
....................................................................
147,788
United
States
................................................................................
(5,187)
Total
Securities
Sold
Short
......................................................
(5,187)
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
154
Strategic
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Long-Term
Investments
-
83.1%
Asset-Backed
Securities
-
6.7%
AMSR
Trust
Series
2021-SFR2
Class
A
1.527%
due
08/17/26
(Þ)
4,750
4,790
Amur
Equipment
Finance
Receivables
IX
LLC
Series
2021-1A
Class
C
1.750%
due
06/21/27
(Þ)
2,645
2,655
Blackbird
Capital
Aircraft
Lease
Securitization,
Ltd.
Series
2016-1A
Class
AA
2.487%
due
12/16/41
(~)(Ê)(Þ)
4,537
4,570
Chase
Auto
Credit
Liked
Notes
Series
2021-1
Class
B
0.875%
due
09/25/28
(Þ)
17,593
17,614
CLI
Funding
VI
LLC
Series
2020-2A
Class
A
2.030%
due
09/15/45
(Þ)
1,290
1,308
Series
2020-3A
Class
A
2.070%
due
10/18/45
(Þ)
5,278
5,336
Conseco
Finance
Corp.
Series
1996-4
Class
M1
7.750%
due
06/15/27
(~)(Ê)
759
796
Countrywide
Asset-Backed
Certificates
Series
2007-4
Class
A4W
4.640%
due
04/25/47
8,116
8,563
FirstKey
Homes
Trust
Series
2020-SFR1
Class
A
1.339%
due
09/17/25
(Þ)
3,208
3,233
Series
2020-SFR2
Class
A
1.266%
due
10/19/37
(Þ)
11,893
11,936
FNA
VI
LLC
Series
2021-1A
Class
A
1.350%
due
01/10/32
(~)(Ê)(Þ)
2,531
2,531
Goldentree
Loan
Management
US
CLO
7,
Ltd.
Series
2021-7A
Class
AR
1.204%
due
04/20/34
(USD
3
Month
LIBOR
+
1.070%)(Ê)(Þ)
4,156
4,158
Greenpoint
Manufactured
Housing
Contract
Trust
Series
2000-4
Class
A3
2.190%
due
08/21/31
(USD
1
Month
LIBOR
+
2.000%)(Ê)
3,775
3,775
Greenwood
Park
CLO,
Ltd.
Series
2018-1A
Class
A2
2.229%
due
04/15/31
(USD
3
Month
LIBOR
+
1.010%)(Ê)(Þ)
3,133
3,137
GSAA
Home
Equity
Trust
Series
2006-S1
Class
2M2
5.850%
due
08/25/34
(~)(Ê)(Þ)
770
808
Invitation
Homes
Trust
Series
2017-SFR2
Class
A
3.153%
due
12/17/36
(USD
1
Month
LIBOR
+
0.850%)(Ê)(Þ)
4,982
4,990
Series
2018-SFR2
Class
A
3.207%
due
06/17/37
(USD
1
Month
LIBOR
+
0.900%)(Ê)
5,709
5,720
Irwin
Home
Equity
Loan
Trust
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2006-1
Class
2A3
6.270%
due
09/25/35
(~)(Ê)(Þ)
688
703
JPMorgan
Chase
Bank
Series
2021-2
Class
B
0.889%
due
12/26/28
(Þ)
5,750
5,755
Mid-State
Capital
Corp.
Trust
Series
2005-1
Class
A
5.745%
due
01/15/40
863
923
Mill
City
Mortgage
Trust
Series
2015-1
Class
B1
3.790%
due
06/25/56
(~)(Ê)(Þ)
5,865
6,100
Navient
Private
Education
Refi
Loan
Trust
Series
2020-HA
Class
A
1.310%
due
01/15/69
(Þ)
2,732
2,756
Series
2021-A
Class
A
0.840%
due
05/15/69
(Þ)
11,796
11,790
Series
2021-BA
Class
A
0.940%
due
07/15/69
(Þ)
9,532
9,543
Series
2021-CA
Class
A
1.060%
due
10/15/69
(Þ)
8,831
8,864
Navient
Student
Loan
Trust
Series
2020-EA
Class
A
1.690%
due
05/15/69
(Þ)
10,319
10,502
Series
2020-FA
Class
A
1.220%
due
07/15/69
(Þ)
2,095
2,108
Octane
Receivables
Trust
Series
2021-1A
Class
A
0.930%
due
03/22/27
(Þ)
7,790
7,799
OneMain
Financial
Issuance
Trust
Series
2019-2A
Class
A
3.140%
due
10/14/36
(Þ)
2,282
2,475
Series
2020-1A
Class
A
3.840%
due
05/14/32
(Þ)
5,379
5,600
Series
2020-2A
Class
A
1.750%
due
09/14/35
(Þ)
19,725
20,236
Series
2021-1A
Class
A1
1.550%
due
06/16/36
(Þ)
19,801
20,003
Option
One
Mortgage
Loan
Trust
Series
2007-FXD1
Class
3A4
5.860%
due
01/25/37
(~)(Ê)
3,397
3,464
Preston
Ridge
Partners
Mortgage
LLC
Series
2020-1A
Class
A1
2.981%
due
02/25/25
(~)(Ê)(Þ)
8,208
8,247
Prodigy
Finance
Desiganted
Activity
Co.
Series
2021-1
Class
A1
1.351%
due
07/25/51
5,364
5,374
Rockfield
Park
Clo
Designated
Activity
Co.
Series
2021-1A
Class
A1
0.900%
due
07/16/34
(3
Month
EURIBOR
+
0.900%)(Ê)(Þ)
EUR
5,467
6,464
SoFi
Professional
Loan
Program
Trust
Series
2020-C
Class
AFX
1.950%
due
02/15/46
(Þ)
1,778
1,806
Soundview
Home
Equity
Loan
Trust
Series
2006-EQ1
Class
A3
0.249%
due
10/25/36
303
302
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
155
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
SpringCastle
America
Funding
LLC
Series
2020-AA
Class
A
1.970%
due
09/25/37
(Þ)
15,913
16,136
TAL
Advantage
VII
LLC
Series
2020-1A
Class
A
2.050%
due
09/20/45
(Þ)
8,085
8,197
Towd
Point
Mortgage
Trust
Series
2015-5
Class
M1
3.500%
due
05/25/55
(~)(Ê)(Þ)
5,710
5,856
Series
2016-4
Class
B1
3.848%
due
07/25/56
(~)(Ê)(Þ)
3,280
3,616
Series
2019-SJ1
Class
M1
4.400%
due
11/25/58
(~)(Ê)(Þ)
3,362
3,397
Series
2020-MH1
Class
A1
2.250%
due
02/25/60
(~)(Ê)(Þ)
8,415
8,518
Voya
CLO,
Ltd.
Series
2017-1A
Class
A1R
2.035%
due
01/18/29
(USD
3
Month
LIBOR
+
0.900%)(Ê)(Þ)
4,418
4,418
276,872
Corporate
Bonds
and
Notes
-
22.4%
3M
Co.
2.875%
due
10/15/27
3,271
3,582
Abbott
Laboratories
4.750%
due
11/30/36
3,743
4,928
4.900%
due
11/30/46
320
449
AbbVie,
Inc.
3.600%
due
05/14/25
1,400
1,530
Series
WI
2.600%
due
11/21/24
1,280
1,354
3.800%
due
03/15/25
610
668
2.950%
due
11/21/26
2,730
2,959
3.200%
due
11/21/29
2,190
2,404
4.050%
due
11/21/39
2,540
2,995
4.250%
due
11/21/49
610
746
Adobe,
Inc.
2.150%
due
02/01/27
2,310
2,433
Aetna,
Inc.
2.750%
due
11/15/22
400
410
Agilent
Technologies,
Inc.
2.300%
due
03/12/31
1,120
1,143
Air
Lease
Corp.
0.700%
due
02/15/24
2,040
2,034
3.375%
due
07/01/25
1,990
2,145
1.875%
due
08/15/26
1,420
1,433
Alexandria
Real
Estate
Equities,
Inc.
2.000%
due
05/18/32
760
757
3.000%
due
05/18/51
830
839
Ally
Financial,
Inc.
8.000%
due
11/01/31
2,351
3,361
Alphabet,
Inc.
1.998%
due
08/15/26
3,054
3,215
1.100%
due
08/15/30
490
470
1.900%
due
08/15/40
440
408
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.050%
due
08/15/50
490
444
2.250%
due
08/15/60
380
344
Altria
Group,
Inc.
2.350%
due
05/06/25
120
126
4.400%
due
02/14/26
671
762
4.800%
due
02/14/29
797
933
2.450%
due
02/04/32
1,840
1,811
3.400%
due
02/04/41
1,660
1,606
4.500%
due
05/02/43
3,122
3,413
3.875%
due
09/16/46
260
263
5.950%
due
02/14/49
170
221
Amazon.com,
Inc.
1.200%
due
06/03/27
3,631
3,666
2.100%
due
05/12/31
1,530
1,581
2.500%
due
06/03/50
340
327
3.100%
due
05/12/51
740
797
Series
WI
3.150%
due
08/22/27
370
411
3.875%
due
08/22/37
270
327
4.250%
due
08/22/57
110
144
American
Airlines
Group,
Inc.
5.500%
due
04/20/26
(Þ)
570
597
5.750%
due
04/20/29
(Þ)
500
539
American
Airlines
Pass-Through
Trust
Series
2013-2
Class
A
4.950%
due
01/15/23
188
192
American
Express
Co.
2.500%
due
07/30/24
500
528
3.550%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.854%)(Ê)(ƒ)
330
332
American
International
Group,
Inc.
4.750%
due
04/01/48
270
353
American
Tower
Corp.
3.500%
due
01/31/23
3,901
4,083
Americo
Life,
Inc.
3.450%
due
04/15/31
(Þ)
430
444
AmFam
Holdings,
Inc.
2.805%
due
03/11/31
(Þ)
940
980
3.833%
due
03/11/51
(Þ)
820
904
Amgen,
Inc.
4.400%
due
05/01/45
180
224
Series
WI
4.663%
due
06/15/51
180
238
Anthem,
Inc.
4.101%
due
03/01/28
400
461
5.100%
due
01/15/44
2,398
3,219
4.375%
due
12/01/47
80
100
Aon
Corp.
8.205%
due
01/01/27
1,109
1,458
Apache
Corp.
4.375%
due
10/15/28
890
943
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
156
Strategic
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
4.250%
due
01/15/30
390
407
4.750%
due
04/15/43
563
578
4.250%
due
01/15/44
120
118
5.350%
due
07/01/49
194
204
Apollo
Commercial
Real
Estate
Finance,
Inc.
4.750%
due
08/23/22
3,070
3,101
Apollo
Investment
Corp.
5.250%
due
03/03/25
99
104
Apple,
Inc.
4.500%
due
02/23/36
3,219
4,146
2.650%
due
05/11/50
1,000
985
Applied
Materials,
Inc.
5.100%
due
10/01/35
3,498
4,702
Ares
Capital
Corp.
3.250%
due
07/15/25
3,501
3,712
Arthur
J
Gallagher
&
Co.
2.500%
due
05/20/31
1,420
1,440
AT&T,
Inc.
3.800%
due
02/15/27
590
662
4.250%
due
03/01/27
200
229
1.650%
due
02/01/28
510
511
2.550%
due
12/01/33
(Þ)
120
121
4.500%
due
05/15/35
530
634
3.100%
due
02/01/43
1,290
1,289
4.800%
due
06/15/44
251
306
4.350%
due
06/15/45
47
55
3.550%
due
09/15/55
(Þ)
150
155
3.800%
due
12/01/57
(Þ)
1,010
1,076
3.500%
due
02/01/61
760
759
Series
WI
4.300%
due
02/15/30
270
315
Aviation
Capital
Group
LLC
5.500%
due
12/15/24
(Þ)
610
691
Avnet,
Inc.
4.875%
due
12/01/22
1,230
1,298
Bank
of
America
Corp.
4.000%
due
01/22/25
120
132
4.271%
due
07/23/29
(USD
3
Month
LIBOR
+
1.310%)(Ê)
400
462
3.974%
due
02/07/30
(USD
3
Month
LIBOR
+
1.210%)(Ê)
70
80
2.884%
due
10/22/30
(USD
3
Month
LIBOR
+
1.190%)(Ê)
2,550
2,708
1.922%
due
10/24/31
(SOFR
+
1.370%)(Ê)
3,640
3,587
2.687%
due
04/22/32
(SOFR
+
1.320%)(Ê)
2,400
2,505
2.299%
due
07/21/32
(SOFR
+
1.220%)(Ê)
1,330
1,343
2.676%
due
06/19/41
(SOFR
+
1.930%)(Ê)
310
306
3.311%
due
04/22/42
(SOFR
+
1.580%)(Ê)
2,100
2,257
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
5.000%
due
01/21/44
745
1,013
4.875%
due
04/01/44
2,370
3,158
4.330%
due
03/15/50
(USD
3
Month
LIBOR
+
1.520%)(Ê)
60
75
4.083%
due
03/20/51
(USD
3
Month
LIBOR
+
3.150%)(Ê)
1,350
1,633
Series
GMTN
4.450%
due
03/03/26
160
181
3.500%
due
04/19/26
200
221
Bank
of
America
NA
Series
BKNT
6.000%
due
10/15/36
3,006
4,279
BAT
Capital
Corp.
Series
WI
3.557%
due
08/15/27
910
985
Becton
Dickinson
and
Co.
3.734%
due
12/15/24
2,850
3,102
4.685%
due
12/15/44
79
101
Bed
Bath
&
Beyond,
Inc.
3.749%
due
08/01/24
950
978
Berkshire
Hathaway
Energy
Co.
Series
WI
3.500%
due
02/01/25
2,864
3,107
Berkshire
Hathaway
Finance
Corp.
4.200%
due
08/15/48
3,491
4,399
Berkshire
Hathaway,
Inc.
4.500%
due
02/11/43
3,614
4,704
Berry
Global,
Inc.
0.950%
due
02/15/24
(Þ)
4,119
4,124
Berry
Petroleum
Corp.
7.000%
due
02/15/26
(Þ)
1,960
1,931
BGC
Partners,
Inc.
Series
WI
5.375%
due
07/24/23
1,767
1,910
Boardwalk
Pipelines,
LP
3.375%
due
02/01/23
1,082
1,116
4.800%
due
05/03/29
1,963
2,293
Boeing
Co.
(The)
4.875%
due
05/01/25
1,000
1,121
2.196%
due
02/04/26
3,280
3,310
3.100%
due
05/01/26
120
128
2.700%
due
02/01/27
140
145
2.800%
due
03/01/27
150
156
3.200%
due
03/01/29
1,260
1,330
5.150%
due
05/01/30
700
834
3.250%
due
02/01/35
300
310
5.705%
due
05/01/40
590
767
3.750%
due
02/01/50
1,170
1,216
5.805%
due
05/01/50
250
341
3.950%
due
08/01/59
1,030
1,067
5.930%
due
05/01/60
120
166
Bon
Secours
Mercy
Health,
Inc.
3.464%
due
06/01/30
300
335
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
157
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
BP
Capital
Markets
America,
Inc.
2.750%
due
05/10/23
3,063
3,189
3.410%
due
02/11/26
500
549
3.119%
due
05/04/26
20
22
3.000%
due
02/24/50
3,630
3,583
Brighthouse
Financial,
Inc.
Series
WI
4.700%
due
06/22/47
1,409
1,583
Bristol-Myers
Squibb
Co.
2.350%
due
11/13/40
270
264
Series
WI
3.900%
due
02/20/28
1,305
1,513
3.400%
due
07/26/29
790
895
5.000%
due
08/15/45
1,055
1,471
Broadcom,
Inc.
Series
WI
5.000%
due
04/15/30
3,400
4,059
4.300%
due
11/15/32
1,140
1,317
Broadridge
Financial
Solutions,
Inc.
2.900%
due
12/01/29
3,006
3,221
Buckeye
Partners,
LP
3.950%
due
12/01/26
529
536
5.850%
due
11/15/43
236
237
Bunge,
Ltd.
Finance
Corp.
3.750%
due
09/25/27
3,491
3,888
Burlington
Northern
Santa
Fe
LLC
4.400%
due
03/15/42
340
430
4.150%
due
12/15/48
1,805
2,277
Cameron
LNG
LLC
3.701%
due
01/15/39
(Þ)
250
283
Carlyle
Holdings
II
Finance
LLC
5.625%
due
03/30/43
(Þ)
2,589
3,537
Carrier
Global
Corp.
Series
WI
2.700%
due
02/15/31
20
21
3.577%
due
04/05/50
110
122
CBL
&
Associates,
LP
5.250%
due
12/01/23
(Æ)(Ø)
400
226
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp.
5.125%
due
05/01/27
(Þ)
240
251
4.500%
due
08/15/30
(Þ)
50
53
Series
WI
4.500%
due
05/01/32
1,970
2,061
Centene
Corp.
2.450%
due
07/15/28
450
456
2.625%
due
08/01/31
380
383
Series
WI
4.250%
due
12/15/27
280
295
4.625%
due
12/15/29
990
1,085
3.375%
due
02/15/30
1,200
1,252
CenterPoint
Energy
Houston
Electric
LLC
4.500%
due
04/01/44
650
859
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
CF
Industries,
Inc.
3.450%
due
06/01/23
852
882
5.150%
due
03/15/34
65
80
Charles
Schwab
Corp.
(The)
2.000%
due
03/20/28
500
519
Series
H
4.000%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
10
Year
+
3.079%)(Ê)(ƒ)
890
927
Charter
Communications
Operating
LLC
/
Charter
Communications
Operating
Capital
5.375%
due
04/01/38
550
688
3.500%
due
06/01/41
730
745
5.750%
due
04/01/48
1,320
1,705
3.850%
due
04/01/61
230
229
Series
WI
4.908%
due
07/23/25
3,973
4,510
3.750%
due
02/15/28
320
356
6.384%
due
10/23/35
70
95
6.484%
due
10/23/45
60
84
6.834%
due
10/23/55
80
120
Chevron
Corp.
2.566%
due
05/16/23
1,973
2,046
0.426%
due
08/11/23
3,521
3,528
3.850%
due
01/15/28
210
241
5.250%
due
11/15/43
100
139
4.950%
due
08/15/47
130
178
2.343%
due
08/12/50
470
437
CHS/Community
Health
Systems,
Inc.
6.875%
due
04/15/29
(Þ)
510
537
Cigna
Corp.
2.400%
due
03/15/30
610
634
3.200%
due
03/15/40
1,960
2,089
3.875%
due
10/15/47
2,807
3,232
Series
WI
4.375%
due
10/15/28
1,940
2,282
4.800%
due
08/15/38
790
1,001
Cimarex
Energy
Co.
4.375%
due
06/01/24
650
706
3.900%
due
05/15/27
1,240
1,380
4.375%
due
03/15/29
1,110
1,271
Cintas
Corp.
No.
2
3.700%
due
04/01/27
340
382
Cisco
Systems,
Inc.
3.625%
due
03/04/24
2,347
2,541
CIT
Bank
NA
Series
BKNT
2.969%
due
09/27/25
(SOFR
+
1.715%)(Ê)
2,270
2,392
Citigroup,
Inc.
3.106%
due
04/08/26
(SOFR
+
2.842%)(Ê)
340
364
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
158
Strategic
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.980%
due
03/20/30
(USD
3
Month
LIBOR
+
1.338%)(Ê)
300
342
2.976%
due
11/05/30
(SOFR
+
1.422%)(Ê)
820
877
4.412%
due
03/31/31
(SOFR
+
3.914%)(Ê)
670
787
2.572%
due
06/03/31
(SOFR
+
2.107%)(Ê)
340
352
2.561%
due
05/01/32
(SOFR
+
1.167%)(Ê)
3,710
3,837
8.125%
due
07/15/39
1,595
2,780
6.675%
due
09/13/43
2,774
4,325
4.650%
due
07/23/48
235
311
Clorox
Co.
(The)
1.800%
due
05/15/30
770
770
Coca-Cola
Co.
(The)
1.450%
due
06/01/27
3,587
3,663
1.375%
due
03/15/31
330
320
4.125%
due
03/25/40
430
524
2.500%
due
06/01/40
20
20
Columbia
Pipeline
Group,
Inc.
Series
WI
5.800%
due
06/01/45
1,392
1,946
Comcast
Cable
Communications
Holdings,
Inc.
9.455%
due
11/15/22
2,416
2,701
Comcast
Corp.
3.700%
due
04/15/24
3,381
3,664
3.400%
due
04/01/30
830
926
4.250%
due
10/15/30
330
392
7.050%
due
03/15/33
530
785
6.550%
due
07/01/39
830
1,261
3.250%
due
11/01/39
180
196
3.750%
due
04/01/40
70
81
3.400%
due
07/15/46
50
55
4.000%
due
03/01/48
320
383
4.700%
due
10/15/48
70
92
4.950%
due
10/15/58
310
438
CommonSpirit
Health
2.782%
due
10/01/30
320
338
4.350%
due
11/01/42
50
60
3.910%
due
10/01/50
320
362
Commonwealth
Edison
Co.
6.450%
due
01/15/38
440
658
Comstock
Resources,
Inc.
5.875%
due
01/15/30
(Þ)
1,370
1,378
ConocoPhillips
Co.
3.750%
due
10/01/27
(Þ)
390
444
Consolidated
Edison
Co.
of
New
York,
Inc.
Series
06-A
5.850%
due
03/15/36
2,197
3,008
Constellation
Brands,
Inc.
4.250%
due
05/01/23
4,072
4,331
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
4.750%
due
11/15/24
290
326
Consumers
Energy
Co.
2.500%
due
05/01/60
390
365
Continental
Resources,
Inc.
4.500%
due
04/15/23
1,096
1,140
Corning,
Inc.
3.900%
due
11/15/49
360
414
Costco
Wholesale
Corp.
1.375%
due
06/20/27
3,516
3,562
1.600%
due
04/20/30
460
459
Covey
Park
Energy
LLC
7.500%
due
05/15/25
(Þ)
670
693
Crown
Castle
International
Corp.
5.200%
due
02/15/49
3,248
4,308
Crown
Cork
&
Seal
Co.,
Inc.
7.375%
due
12/15/26
356
438
CVS
Health
Corp.
2.625%
due
08/15/24
260
274
3.625%
due
04/01/27
150
167
4.300%
due
03/25/28
954
1,105
3.250%
due
08/15/29
385
424
3.750%
due
04/01/30
400
455
4.780%
due
03/25/38
960
1,205
4.125%
due
04/01/40
180
213
2.700%
due
08/21/40
1,640
1,634
5.125%
due
07/20/45
360
476
5.050%
due
03/25/48
1,000
1,332
DCP
Midstream
Operating,
LP
8.125%
due
08/16/30
146
194
6.450%
due
11/03/36
(Þ)
200
240
6.750%
due
09/15/37
(Þ)
288
355
5.600%
due
04/01/44
175
201
Series
A
7.375%
due
12/31/99
(USD
3
Month
LIBOR
+
5.148%)(Ê)(ƒ)
210
204
Dell
International
LLC
/
EMC
Corp.
Series
WI
8.100%
due
07/15/36
500
777
Delta
Air
Lines,
Inc.
3.800%
due
04/19/23
140
144
2.900%
due
10/28/24
281
285
7.000%
due
05/01/25
(Þ)
1,190
1,400
4.500%
due
10/20/25
(Þ)
650
699
7.375%
due
01/15/26
440
518
4.750%
due
10/20/28
(Þ)
750
838
3.750%
due
10/28/29
237
235
Devon
Energy
Corp.
5.850%
due
12/15/25
900
1,057
5.250%
due
10/15/27
(Þ)
91
97
5.875%
due
06/15/28
(Þ)
519
573
4.500%
due
01/15/30
(Þ)
790
862
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
159
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
7.875%
due
09/30/31
20
28
5.600%
due
07/15/41
350
437
4.750%
due
05/15/42
640
731
5.000%
due
06/15/45
1,540
1,817
DH
Europe
Finance
II
SARL
2.600%
due
11/15/29
2,992
3,177
Diamondback
Energy,
Inc.
3.500%
due
12/01/29
1,490
1,615
4.400%
due
03/24/51
600
686
Discover
Bank
Series
BKNT
3.450%
due
07/27/26
3,000
3,292
Discover
Financial
Services
4.100%
due
02/09/27
3,174
3,604
Dollar
General
Corp.
3.250%
due
04/15/23
3,990
4,155
Dominion
Energy,
Inc.
Series
C
3.375%
due
04/01/30
310
344
Domtar
Corp.
6.250%
due
09/01/42
2,899
3,075
DPL,
Inc.
Series
AI
4.350%
due
04/15/29
164
180
DR
Horton,
Inc.
2.500%
due
10/15/24
1,000
1,048
Duke
Energy
Carolinas
LLC
6.100%
due
06/01/37
660
929
Duke
Energy
Indiana
LLC
Series
YYY
3.250%
due
10/01/49
290
314
Duke
Energy
Ohio,
Inc.
3.650%
due
02/01/29
140
158
2.125%
due
06/01/30
460
469
eBay,
Inc.
2.600%
due
05/10/31
270
280
Edison
International
4.950%
due
04/15/25
580
644
4.125%
due
03/15/28
2,972
3,203
Series
A
5.375%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.698%)(Ê)(ƒ)
770
780
El
Paso
Natural
Gas
Co.
LLC
7.500%
due
11/15/26
1,170
1,498
Electronic
Arts,
Inc.
2.950%
due
02/15/51
170
170
Eli
Lilly
&
Co.
5.500%
due
03/15/27
2,870
3,561
Embarq
Corp.
7.995%
due
06/01/36
313
351
Enbridge
Energy
Partners,
LP
7.375%
due
10/15/45
2,006
3,229
Energy
Transfer
Operating,
LP
4.500%
due
04/15/24
1,100
1,197
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.900%
due
05/15/25
320
338
3.750%
due
05/15/30
570
622
6.125%
due
12/15/45
440
565
6.250%
due
04/15/49
120
158
Series
10Y
4.950%
due
06/15/28
160
187
Series
H
6.500%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.694%)(Ê)(ƒ)
1,460
1,498
Energy
Transfer,
LP
5.500%
due
06/01/27
1,140
1,354
6.625%
due
12/31/99
(USD
3
Month
LIBOR
+
4.155%)(Ê)(ƒ)
440
432
6.750%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.134%)(Ê)(ƒ)
1,060
1,059
7.125%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.306%)(Ê)(ƒ)
1,750
1,809
EnLink
Midstream
LLC
5.625%
due
01/15/28
(Þ)
1,210
1,280
EnLink
Midstream
Partners,
LP
5.450%
due
06/01/47
93
90
Enstar
Group,
Ltd.
4.950%
due
06/01/29
2,800
3,246
Enterprise
Products
Operating
LLC
4.150%
due
10/16/28
680
790
2.800%
due
01/31/30
380
408
7.550%
due
04/15/38
40
63
5.700%
due
02/15/42
140
192
4.850%
due
03/15/44
340
425
3.700%
due
01/31/51
890
974
3.950%
due
01/31/60
600
676
5.375%
due
02/15/78
(USD
3
Month
LIBOR
+
2.570%)(Ê)
1,220
1,260
Series
D
6.875%
due
03/01/33
770
1,108
Series
E
5.250%
due
08/16/77
(USD
3
Month
LIBOR
+
3.033%)(Ê)
3,381
3,500
EOG
Resources,
Inc.
4.150%
due
01/15/26
230
259
4.375%
due
04/15/30
900
1,079
4.950%
due
04/15/50
150
204
EPR
Properties
Co.
4.500%
due
06/01/27
650
692
EQM
Midstream
Partners,
LP
Series
30Y
6.500%
due
07/15/48
100
110
EQT
Corp.
3.000%
due
10/01/22
1,190
1,206
3.125%
due
05/15/26
(Þ)
130
134
3.900%
due
10/01/27
780
845
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
160
Strategic
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
7.000%
due
02/01/30
430
565
3.625%
due
05/15/31
(Þ)
110
117
Equities
Corp.
6.125%
due
02/01/25
30
35
Essex
Portfolio,
LP
3.250%
due
05/01/23
3,952
4,113
Exelon
Corp.
4.950%
due
06/15/35
2,200
2,772
Exelon
Generation
Co.
LLC
5.600%
due
06/15/42
2,552
3,070
Exxon
Mobil
Corp.
2.726%
due
03/01/23
3,346
3,462
3.482%
due
03/19/30
200
227
4.227%
due
03/19/40
840
1,025
4.114%
due
03/01/46
250
305
4.327%
due
03/19/50
60
76
3.452%
due
04/15/51
480
536
FedEx
Corp.
4.500%
due
02/01/65
1,136
1,381
Fidelity
&
Guaranty
Life
Holdings,
Inc.
5.500%
due
05/01/25
(Þ)
450
518
FirstEnergy
Corp.
Series
B
3.900%
due
07/15/27
1,020
1,137
Series
C
7.375%
due
11/15/31
840
1,174
4.850%
due
07/15/47
497
625
3.400%
due
03/01/50
325
326
Florida
Power
&
Light
Co.
3.150%
due
10/01/49
150
166
Ford
Holdings
LLC
9.300%
due
03/01/30
266
364
Ford
Motor
Co.
6.625%
due
10/01/28
547
655
4.750%
due
01/15/43
356
391
5.291%
due
12/08/46
135
154
Ford
Motor
Credit
Co.
LLC
4.250%
due
09/20/22
930
955
5.125%
due
06/16/25
200
220
4.125%
due
08/17/27
480
514
2.900%
due
02/16/28
200
200
5.113%
due
05/03/29
1,014
1,148
3.625%
due
06/17/31
210
218
Series
FXD
3.350%
due
11/01/22
1,710
1,749
Series
GMTN
4.389%
due
01/08/26
281
305
Fortinet,
Inc.
2.200%
due
03/15/31
1,470
1,494
Fox
Corp.
Series
WI
5.476%
due
01/25/39
520
680
Freeport-McMoRan,
Inc.
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.875%
due
03/15/23
393
407
5.400%
due
11/14/34
673
856
FS
KKR
Capital
Corp.
3.400%
due
01/15/26
4,006
4,184
GE
Capital
International
Funding
Co.,
ULC
Series
WI
4.418%
due
11/15/35
4,194
5,146
General
Dynamics
Corp.
3.250%
due
04/01/25
140
152
3.500%
due
05/15/25
60
66
3.625%
due
04/01/30
370
425
4.250%
due
04/01/40
800
1,000
4.250%
due
04/01/50
90
117
General
Electric
Co.
Series
GMTN
6.875%
due
01/10/39
653
993
Series
MTNA
6.750%
due
03/15/32
3,056
4,257
General
Motors
Co.
4.875%
due
10/02/23
3,280
3,566
5.400%
due
10/02/23
180
198
6.125%
due
10/01/25
320
379
6.250%
due
10/02/43
450
627
6.750%
due
04/01/46
390
568
General
Motors
Financial
Co.,
Inc.
5.200%
due
03/20/23
3,796
4,071
Genting
New
York
LLC
3.300%
due
02/15/26
(Þ)
1,780
1,790
Gilead
Sciences,
Inc.
5.650%
due
12/01/41
190
270
4.750%
due
03/01/46
315
410
GLP
Capital,
LP
/
GLP
Financing
II,
Inc.
5.375%
due
04/15/26
1,167
1,351
5.300%
due
01/15/29
1,806
2,128
Goldman
Sachs
Group,
Inc.
(The)
4.250%
due
10/21/25
510
572
3.500%
due
11/16/26
590
644
3.814%
due
04/23/29
(USD
3
Month
LIBOR
+
1.158%)(Ê)
770
868
4.223%
due
05/01/29
(USD
3
Month
LIBOR
+
1.301%)(Ê)
120
138
3.800%
due
03/15/30
1,450
1,646
5.150%
due
05/22/45
620
835
Series
DMTN
2.383%
due
07/21/32
(SOFR
+
1.248%)(Ê)
3,210
3,266
Halliburton
Co.
5.000%
due
11/15/45
90
110
Hartford
Financial
Services
Group,
Inc.
6.625%
due
03/30/40
2,344
3,514
HCA,
Inc.
7.690%
due
06/15/25
322
391
5.125%
due
06/15/39
160
204
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
161
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
5.500%
due
06/15/47
2,633
3,502
Hershey
Co.
(The)
1.700%
due
06/01/30
580
585
Hexcel
Corp.
4.700%
due
08/15/25
2,964
3,278
Hilton
Domestic
Operating
Co.,
Inc.
5.375%
due
05/01/25
(Þ)
430
450
5.750%
due
05/01/28
(Þ)
310
333
Home
Depot,
Inc.
(The)
3.750%
due
02/15/24
3,794
4,086
2.125%
due
09/15/26
3,374
3,563
2.500%
due
04/15/27
80
86
3.900%
due
12/06/28
40
47
2.700%
due
04/15/30
330
357
3.300%
due
04/15/40
150
168
3.350%
due
04/15/50
460
519
Howmet
Aerospace,
Inc.
5.950%
due
02/01/37
437
554
HSBC
Holdings
PLC
7.200%
due
07/15/97
2,189
4,029
Humana,
Inc.
3.850%
due
10/01/24
400
435
4.500%
due
04/01/25
80
90
3.950%
due
03/15/27
130
147
8.150%
due
06/15/38
2,243
3,646
4.625%
due
12/01/42
150
188
4.950%
due
10/01/44
210
276
IHS
Markit
,
Ltd.
4.125%
due
08/01/23
359
382
Intel
Corp.
4.950%
due
03/25/60
550
779
International
Business
Machines
Corp.
3.625%
due
02/12/24
3,814
4,108
International
Lease
Finance
Corp.
5.875%
due
08/15/22
1,370
1,443
International
Paper
Co.
8.700%
due
06/15/38
1,225
2,083
JC
Penney
Corp.,
Inc.
7.400%
due
04/01/37
(Š)
250
Jefferies
Financial
Group,
Inc.
6.625%
due
10/23/43
3,000
4,158
Jefferies
Group
LLC
6.500%
due
01/20/43
2,635
3,703
Johnson
&
Johnson
2.100%
due
09/01/40
770
754
2.450%
due
09/01/60
540
531
JPMorgan
Chase
&
Co.
2.182%
due
06/01/28
(SOFR
+
1.890%)(Ê)
3,933
4,063
4.203%
due
07/23/29
(USD
3
Month
LIBOR
+
1.260%)(Ê)
50
58
4.452%
due
12/05/29
(USD
3
Month
LIBOR
+
1.330%)(Ê)
230
270
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
8.750%
due
09/01/30
800
1,223
2.739%
due
10/15/30
(SOFR
+
1.510%)(Ê)
490
518
2.522%
due
04/22/31
(SOFR
+
2.040%)(Ê)
170
177
2.956%
due
05/13/31
(SOFR
+
2.515%)(Ê)
1,450
1,544
1.953%
due
02/04/32
(SOFR
+
1.065%)(Ê)
2,150
2,120
2.580%
due
04/22/32
(SOFR
+
1.250%)(Ê)
1,910
1,987
4.950%
due
06/01/45
700
940
4.260%
due
02/22/48
(USD
3
Month
LIBOR
+
1.580%)(Ê)
390
481
3.109%
due
04/22/51
(SOFR
+
2.440%)(Ê)
280
292
3.328%
due
04/22/52
(SOFR
+
1.580%)(Ê)
2,660
2,891
Series
KK
3.650%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.850%)(Ê)(ƒ)
900
908
Kaiser
Foundation
Hospitals
4.150%
due
05/01/47
130
165
Series
2019
3.266%
due
11/01/49
90
100
Series
2021
2.810%
due
06/01/41
330
346
3.002%
due
06/01/51
300
318
Kimberly-Clark
Corp.
1.050%
due
09/15/27
3,654
3,623
Kinder
Morgan
Energy
Partners,
LP
7.300%
due
08/15/33
2,714
3,900
5.500%
due
03/01/44
40
52
5.400%
due
09/01/44
30
38
Kinder
Morgan,
Inc.
4.300%
due
06/01/25
750
835
4.300%
due
03/01/28
410
472
5.550%
due
06/01/45
310
408
5.050%
due
02/15/46
170
211
5.200%
due
03/01/48
180
230
Series
GMTN
7.750%
due
01/15/32
2,240
3,285
KKR
Group
Finance
Co.
II
LLC
5.500%
due
02/01/43
(Þ)
50
69
KKR
Group
Finance
Co.
III
LLC
5.125%
due
06/01/44
(Þ)
800
1,062
Kraft
Heinz
Foods
Co.
6.875%
due
01/26/39
377
553
7.125%
due
08/01/39
(Þ)
428
638
Series
WI
5.200%
due
07/15/45
855
1,083
4.875%
due
10/01/49
728
908
L
Brands,
Inc.
7.600%
due
07/15/37
65
83
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
162
Strategic
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
L3Harris
Technologies,
Inc.
2.900%
due
12/15/29
1,770
1,905
5.054%
due
04/27/45
260
347
Lam
Research
Corp.
1.900%
due
06/15/30
510
519
2.875%
due
06/15/50
210
218
Las
Vegas
Sands
Corp.
3.200%
due
08/08/24
960
1,002
2.900%
due
06/25/25
6,873
7,079
Lehman
Brothers
Holdings,
Inc.
0.000%
due
09/27/27
(Æ)(Ø)
735
5
6.875%
due
05/02/49
(Æ)(Ø)
682
5
6.625%
due
12/31/49
(Æ)(Ø)
456
3
Lennar
Corp.
4.500%
due
04/30/24
110
120
Series
WI
5.000%
due
06/15/27
20
23
4.750%
due
11/29/27
70
82
Lennox
International,
Inc.
1.700%
due
08/01/27
400
403
Liberty
Interactive
LLC
8.250%
due
02/01/30
294
335
Lithia
Motors,
Inc.
4.625%
due
12/15/27
(Þ)
430
458
3.875%
due
06/01/29
(Þ)
760
800
Lockheed
Martin
Corp.
1.850%
due
06/15/30
520
528
4.500%
due
05/15/36
100
128
Series
B
6.150%
due
09/01/36
2,696
3,911
Lowe's
Cos.,
Inc.
3.875%
due
09/15/23
3,844
4,096
4.500%
due
04/15/30
210
251
1.700%
due
10/15/30
510
499
3.000%
due
10/15/50
660
667
LPL
Holdings,
Inc.
4.375%
due
05/15/31
(Þ)
310
317
Macy's
Retail
Holdings,
Inc.
4.500%
due
12/15/34
345
319
6.375%
due
03/15/37
50
51
Markel
Corp.
5.000%
due
05/20/49
2,599
3,460
Marriott
International,
Inc.
3.750%
due
10/01/25
1,013
1,099
Series
FXD
3.600%
due
04/15/24
400
427
Mars,
Inc.
2.375%
due
07/16/40
(Þ)
870
850
Marsh
&
McLennan
Cos.,
Inc.
3.300%
due
03/14/23
3,200
3,338
Massachusetts
Mutual
Life
Insurance
Co.
3.375%
due
04/15/50
(Þ)
790
846
Mastercard
,
Inc.
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.300%
due
03/26/27
480
536
3.850%
due
03/26/50
680
840
Mattel,
Inc.
6.200%
due
10/01/40
73
92
McDonald's
Corp.
3.500%
due
07/01/27
3,889
4,345
3.600%
due
07/01/30
310
352
4.450%
due
03/01/47
300
376
4.450%
due
09/01/48
300
382
3.625%
due
09/01/49
60
68
4.200%
due
04/01/50
530
654
MDC
Holdings,
Inc.
2.500%
due
01/15/31
560
552
6.000%
due
01/15/43
260
344
Merck
&
Co.,
Inc.
2.800%
due
05/18/23
2,666
2,785
1.450%
due
06/24/30
290
288
2.350%
due
06/24/40
420
417
2.450%
due
06/24/50
190
184
Microchip
Technology,
Inc.
0.972%
due
02/15/24
(Þ)
1,620
1,623
0.983%
due
09/01/24
(Þ)
640
639
Microsoft
Corp.
3.300%
due
02/06/27
70
78
3.500%
due
02/12/35
2,633
3,126
3.450%
due
08/08/36
450
532
2.525%
due
06/01/50
1,110
1,109
2.921%
due
03/17/52
1,170
1,261
MidAmerican
Energy
Co.
3.650%
due
04/15/29
160
183
3.150%
due
04/15/50
370
400
Midwest
Connector
Capital
Co.
LLC
3.900%
due
04/01/24
(Þ)
2,885
3,023
Mileage
Plus
Holdings
LLC
/
Mileage
Plus
Intellectual
Property
Assets,
Ltd.
6.500%
due
06/20/27
(Þ)
950
1,034
Molson
Coors
Brewing
Co.
4.200%
due
07/15/46
160
182
Mondelez
International,
Inc.
2.125%
due
09/19/22
(Þ)
403
411
2.250%
due
09/19/24
(Þ)
1,696
1,774
1.875%
due
10/15/32
3,796
3,750
2.625%
due
09/04/50
190
183
Morgan
Stanley
3.737%
due
04/24/24
(USD
3
Month
LIBOR
+
0.847%)(Ê)
690
728
2.188%
due
04/28/26
(SOFR
+
1.990%)(Ê)
130
135
1.593%
due
05/04/27
(SOFR
+
0.879%)(Ê)
560
568
3.622%
due
04/01/31
(SOFR
+
3.120%)(Ê)
270
304
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
163
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
1.794%
due
02/13/32
(SOFR
+
1.034%)(Ê)
280
272
3.217%
due
04/22/42
(SOFR
+
1.485%)(Ê)
1,020
1,097
2.802%
due
01/25/52
(SOFR
+
1.430%)(Ê)
1,230
1,220
Series
GMTN
4.431%
due
01/23/30
(USD
3
Month
LIBOR
+
1.628%)(Ê)
40
47
2.699%
due
01/22/31
(SOFR
+
1.143%)(Ê)
110
116
2.239%
due
07/21/32
(SOFR
+
1.178%)(Ê)
670
676
Motiva
Enterprises
LLC
6.850%
due
01/15/40
(Þ)
615
803
MPLX,
LP
4.800%
due
02/15/29
430
509
4.500%
due
04/15/38
770
886
4.700%
due
04/15/48
150
176
Series
0006
5.200%
due
03/01/47
150
186
MPT
Operating
Partnership,
LP
/
MPT
Finance
Corp.
5.000%
due
10/15/27
410
434
4.625%
due
08/01/29
390
420
Murphy
Oil
Corp.
7.050%
due
05/01/29
30
33
5.875%
due
12/01/42
91
91
Nasdaq,
Inc.
0.445%
due
12/21/22
3,609
3,611
2.500%
due
12/21/40
460
436
Navient
Corp.
Series
MTN
5.625%
due
08/01/33
460
447
NBCUniversal
Media
LLC
4.450%
due
01/15/43
30
38
Nestle
Holdings,
Inc.
3.350%
due
09/24/23
(Þ)
2,895
3,075
Netflix,
Inc.
5.375%
due
11/15/29
(Þ)
190
234
4.875%
due
06/15/30
(Þ)
380
458
Nevada
Power
Co.
5.450%
due
05/15/41
1,389
1,913
New
York
Life
Insurance
Co.
3.750%
due
05/15/50
(Þ)
630
730
4.450%
due
05/15/69
(Þ)
180
231
Newell
Brands,
Inc.
3.850%
due
04/01/23
264
276
4.200%
due
04/01/26
570
635
5.375%
due
04/01/36
118
150
5.500%
due
04/01/46
85
110
NGPL
PipeCo
LLC
7.768%
due
12/15/37
(Þ)
2,298
3,356
NIKE,
Inc.
2.750%
due
03/27/27
4,168
4,526
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Northern
Natural
Gas
Co.
4.300%
due
01/15/49
(Þ)
2,615
3,199
Northern
Oil
and
Gas,
Inc.
8.125%
due
03/01/28
(Þ)
680
712
Northrop
Grumman
Corp.
5.150%
due
05/01/40
570
765
5.250%
due
05/01/50
370
532
Series
000N
4.030%
due
10/15/47
730
884
Northwest
Pipeline
LLC
Series
WI
4.000%
due
04/01/27
500
564
Northwestern
Mutual
Life
Insurance
Co.
(The)
3.450%
due
03/30/51
(Þ)
2,150
2,378
3.625%
due
09/30/59
(Þ)
280
316
NRG
Energy,
Inc.
2.450%
due
12/02/27
(Þ)
1,490
1,523
Nuveen
LLC
4.000%
due
11/01/28
(Þ)
400
466
NVIDIA
Corp.
3.500%
due
04/01/40
190
218
3.500%
due
04/01/50
10
11
3.700%
due
04/01/60
80
97
Occidental
Petroleum
Corp.
5.550%
due
03/15/26
350
383
3.400%
due
04/15/26
350
354
3.000%
due
02/15/27
1,240
1,231
7.500%
due
05/01/31
155
197
6.450%
due
09/15/36
539
651
7.950%
due
06/15/39
170
221
4.300%
due
08/15/39
323
320
6.200%
due
03/15/40
572
662
4.500%
due
07/15/44
175
172
4.625%
due
06/15/45
200
201
6.600%
due
03/15/46
110
135
4.100%
due
02/15/47
422
399
Oceaneering
International,
Inc.
4.650%
due
11/15/24
355
353
Omega
Healthcare
Investors,
Inc.
4.375%
due
08/01/23
632
672
3.250%
due
04/15/33
4,263
4,358
Oncor
Electric
Delivery
Co.
LLC
3.100%
due
09/15/49
310
333
Oracle
Corp.
3.900%
due
05/15/35
3,643
4,144
3.950%
due
03/25/51
1,070
1,190
4.100%
due
03/25/61
1,350
1,523
Otis
Worldwide
Corp.
Series
WI
2.565%
due
02/15/30
220
232
Ovintiv
,
Inc.
5.150%
due
11/15/41
283
311
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
164
Strategic
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Owl
Rock
Capital
Corp.
2.875%
due
06/11/28
4,137
4,181
Pacific
Gas
and
Electric
Co.
4.250%
due
08/01/23
530
560
2.100%
due
08/01/27
410
399
2.500%
due
02/01/31
260
245
3.300%
due
08/01/40
60
54
4.950%
due
07/01/50
200
207
3.500%
due
08/01/50
110
98
PacifiCorp
6.000%
due
01/15/39
970
1,402
4.100%
due
02/01/42
1,710
2,031
Pactiv
LLC
7.950%
due
12/15/25
202
227
8.375%
due
04/15/27
125
143
Parsley
Energy
LLC
4.125%
due
02/15/28
(Þ)
50
52
PayPal
Holdings,
Inc.
1.650%
due
06/01/25
390
401
2.300%
due
06/01/30
610
642
3.250%
due
06/01/50
190
211
PepsiCo,
Inc.
2.625%
due
03/19/27
3,351
3,629
1.625%
due
05/01/30
170
170
Pfizer,
Inc.
2.550%
due
05/28/40
210
216
2.700%
due
05/28/50
370
377
Series
5YR
3.200%
due
09/15/23
3,876
4,102
Philip
Morris
International,
Inc.
2.875%
due
05/01/24
750
796
3.250%
due
11/10/24
3,543
3,840
2.100%
due
05/01/30
300
305
1.750%
due
11/01/30
1,340
1,319
Pioneer
Natural
Resources
Co.
2.150%
due
01/15/31
1,300
1,283
Plains
All
American
Pipeline,
LP
Series
B
6.125%
due
06/16/23
(USD
3
Month
LIBOR
+
4.110%)(Ê)
1,080
965
Plains
All
American
Pipeline,
LP
/
PAA
Finance
Corp.
6.650%
due
01/15/37
2,901
3,824
Series
WI
6.700%
due
05/15/36
50
63
Precision
Castparts
Corp.
4.375%
due
06/15/45
342
423
Procter
&
Gamble
Co.
(The)
2.800%
due
03/25/27
3,312
3,612
3.000%
due
03/25/30
260
290
1.200%
due
10/29/30
590
571
Progress
Energy,
Inc.
7.750%
due
03/01/31
2,142
3,105
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Prologis,
LP
1.250%
due
10/15/30
800
767
Range
Resources
Corp.
5.000%
due
03/15/23
225
233
8.250%
due
01/15/29
(Þ)
540
598
Series
WI
4.875%
due
05/15/25
640
663
9.250%
due
02/01/26
1,020
1,107
Raymond
James
Financial,
Inc.
3.750%
due
04/01/51
630
708
Raytheon
Technologies
Corp.
3.650%
due
08/16/23
19
20
Series
WI
3.200%
due
03/15/24
3,032
3,230
Regency
Energy
Partners,
LP
/
Regency
Energy
Finance
Corp.
4.500%
due
11/01/23
3,840
4,113
Reliance
Steel
&
Aluminum
Co.
4.500%
due
04/15/23
2,952
3,120
Republic
Services,
Inc.
2.500%
due
08/15/24
3,620
3,804
3.375%
due
11/15/27
1,300
1,439
Retail
Properties
of
America,
Inc.
4.000%
due
03/15/25
3,259
3,474
Rockies
Express
Pipeline
LLC
3.600%
due
05/15/25
(Þ)
98
100
4.950%
due
07/15/29
(Þ)
289
298
4.800%
due
05/15/30
(Þ)
300
305
Royal
Caribbean
Cruises,
Ltd.
11.500%
due
06/01/25
(Þ)
539
617
7.500%
due
10/15/27
100
114
3.700%
due
03/15/28
170
161
S&P
Global,
Inc.
1.250%
due
08/15/30
270
260
3.250%
due
12/01/49
110
121
2.300%
due
08/15/60
210
187
Series
WI
2.950%
due
01/22/27
1,271
1,385
Sabal
Trail
Transmission
LLC
4.832%
due
05/01/48
(Þ)
845
1,065
Safeway,
Inc.
7.250%
due
02/01/31
356
420
salesforce.com,
Inc.
1.500%
due
07/15/28
240
243
1.950%
due
07/15/31
190
193
2.900%
due
07/15/51
1,660
1,703
3.050%
due
07/15/61
600
625
San
Diego
Gas
&
Electric
Co.
Series
RRR
3.750%
due
06/01/47
370
430
Series
VVV
1.700%
due
10/01/30
940
927
Santander
Holdings
USA,
Inc.
Series
FXD
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
165
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.500%
due
06/07/24
1,456
1,558
Series
WI
3.244%
due
10/05/26
1,550
1,668
Seagate
HDD
Cayman
4.750%
due
06/01/23
480
511
Sealed
Air
Corp.
6.875%
due
07/15/33
(Þ)
300
384
Senior
Housing
Properties
Trust
4.750%
due
05/01/24
440
454
4.750%
due
02/15/28
383
387
Service
Properties
Trust
4.500%
due
06/15/23
760
777
4.350%
due
10/01/24
1,198
1,206
4.750%
due
10/01/26
220
216
4.375%
due
02/15/30
565
528
Sherwin-Williams
Co.
(The)
2.300%
due
05/15/30
3,826
3,958
Shire
Acquisitions
Investments
Ireland
DAC
2.875%
due
09/23/23
3,703
3,871
Simon
Property
Group,
LP
3.500%
due
09/01/25
720
789
Skyworks
Solutions,
Inc.
1.800%
due
06/01/26
620
631
Solar
Star
Funding
LLC
5.375%
due
06/30/35
(Þ)
2,497
2,874
Southern
California
Edison
Co.
2.250%
due
06/01/30
1,020
1,026
3.650%
due
02/01/50
690
704
Series
C
4.125%
due
03/01/48
470
515
Series
G
2.500%
due
06/01/31
470
476
Southern
Power
Co.
Series
F
4.950%
due
12/15/46
3,139
3,870
Southwest
Airlines
Co.
4.750%
due
05/04/23
1,580
1,693
5.250%
due
05/04/25
250
285
Southwestern
Energy
Co.
6.200%
due
01/23/25
287
314
Spectra
Energy
Partners,
LP
4.750%
due
03/15/24
2,787
3,054
Spirit
AeroSystems
,
Inc.
4.600%
due
06/15/28
460
445
Sprint
Capital
Corp.
8.750%
due
03/15/32
761
1,173
Starbucks
Corp.
2.550%
due
11/15/30
3,760
3,962
Sunoco
Logistics
Partners
Operations,
LP
3.900%
due
07/15/26
330
363
6.100%
due
02/15/42
2,633
3,307
5.300%
due
04/01/44
50
59
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
SVB
Financial
Group
Series
C
4.000%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.202%)(Ê)(ƒ)
180
187
Synchrony
Financial
5.150%
due
03/19/29
2,751
3,286
SYNNEX
Corp.
1.250%
due
08/09/24
(Þ)
2,050
2,050
Sysco
Corp.
3.250%
due
07/15/27
3,573
3,910
Targa
Resources
Partners,
LP
/
Targa
Resources
Partners
Finance
Corp.
5.500%
due
03/01/30
230
253
4.875%
due
02/01/31
(Þ)
270
292
4.000%
due
01/15/32
(Þ)
1,520
1,571
Target
Corp.
3.375%
due
04/15/29
510
577
TCI
Communications,
Inc.
7.875%
due
02/15/26
2,358
3,052
Teachers
Insurance
&
Annuity
Association
of
America
4.900%
due
09/15/44
(Þ)
400
524
4.375%
due
09/15/54
(USD
3
Month
LIBOR
+
2.661%)(Ê)(Þ)
200
210
Tenet
Healthcare
Corp.
6.875%
due
11/15/31
255
292
Tennessee
Gas
Pipeline
Co.
LLC
2.900%
due
03/01/30
(Þ)
1,780
1,875
Texas
Eastern
Transmission,
LP
2.800%
due
10/15/22
(Þ)
290
296
4.150%
due
01/15/48
(Þ)
1,000
1,147
Texas
Instruments,
Inc.
2.900%
due
11/03/27
450
494
2.250%
due
09/04/29
940
994
1.750%
due
05/04/30
270
273
3.875%
due
03/15/39
750
917
Thermo
Fisher
Scientific,
Inc.
5.300%
due
02/01/44
2,813
3,990
Time
Warner
Cable
LLC
6.550%
due
05/01/37
320
441
7.300%
due
07/01/38
960
1,409
6.750%
due
06/15/39
70
100
5.500%
due
09/01/41
2,500
3,161
Time
Warner
Entertainment
Co.,
LP
8.375%
due
03/15/23
2,157
2,425
8.375%
due
07/15/33
340
521
T-Mobile
USA,
Inc.
2.625%
due
02/15/29
170
170
2.875%
due
02/15/31
380
382
Series
WI
3.875%
due
04/15/30
1,160
1,310
2.550%
due
02/15/31
3,509
3,592
3.000%
due
02/15/41
400
403
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
166
Strategic
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.300%
due
02/15/51
690
703
Transcontinental
Gas
Pipe
Line
Co.
LLC
4.450%
due
08/01/42
1,130
1,365
Series
WI
7.850%
due
02/01/26
1,940
2,464
3.250%
due
05/15/30
190
207
Trinity
Industries,
Inc.
4.550%
due
10/01/24
415
441
TWDC
Enterprises
18
Corp.
Series
MTNB
7.000%
due
03/01/32
3,155
4,603
Tyson
Foods,
Inc.
4.875%
due
08/15/34
3,130
3,950
Union
Pacific
Corp.
2.891%
due
04/06/36
(Þ)
950
1,012
3.750%
due
02/05/70
320
366
Series
WI
3.839%
due
03/20/60
390
458
United
Airlines
Pass-Through
Trust
4.875%
due
01/15/26
1,289
1,352
United
Airlines,
Inc.
4.625%
due
04/15/29
(Þ)
140
144
United
Continental
Holdings,
Inc.
4.250%
due
10/01/22
740
751
United
Parcel
Service,
Inc.
2.500%
due
04/01/23
4,018
4,157
United
States
Steel
Corp.
6.650%
due
06/01/37
278
300
United
Technologies
Corp.
4.625%
due
11/16/48
690
909
UnitedHealth
Group,
Inc.
3.875%
due
12/15/28
130
151
2.875%
due
08/15/29
400
437
2.000%
due
05/15/30
660
675
5.700%
due
10/15/40
400
576
Unum
Group
4.500%
due
12/15/49
3,195
3,448
Upjohn,
Inc.
2.700%
due
06/22/30
(Þ)
3,090
3,174
Valero
Energy
Corp.
7.500%
due
04/15/32
2,499
3,529
Verizon
Communications,
Inc.
4.125%
due
03/16/27
3,126
3,580
2.100%
due
03/22/28
290
298
3.150%
due
03/22/30
150
163
7.750%
due
12/01/30
340
501
2.550%
due
03/21/31
520
541
4.500%
due
08/10/33
1,490
1,816
6.400%
due
09/15/33
521
723
5.250%
due
03/16/37
890
1,189
2.650%
due
11/20/40
310
304
3.400%
due
03/22/41
980
1,059
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
4.125%
due
08/15/46
270
321
5.500%
due
03/16/47
50
71
4.000%
due
03/22/50
180
211
2.875%
due
11/20/50
900
876
3.550%
due
03/22/51
2,510
2,731
3.000%
due
11/20/60
1,410
1,364
3.700%
due
03/22/61
4,550
5,026
Series
WI
4.329%
due
09/21/28
166
195
4.862%
due
08/21/46
390
513
2.987%
due
10/30/56
220
214
ViacomCBS
,
Inc.
6.875%
due
04/30/36
2,934
4,269
Visa,
Inc.
2.050%
due
04/15/30
180
187
2.700%
due
04/15/40
260
272
Vistra
Operations
Co.
LLC
4.300%
due
07/15/29
(Þ)
3,936
4,307
Vontier
Corp.
1.800%
due
04/01/26
(Þ)
630
632
2.400%
due
04/01/28
(Þ)
1,530
1,536
Voya
Financial,
Inc.
Series
WI
4.700%
due
01/23/48
(USD
3
Month
LIBOR
+
2.084%)(Ê)
3,276
3,449
Wachovia
Corp.
5.500%
due
08/01/35
3,040
4,027
Walmart,
Inc.
3.400%
due
06/26/23
1,019
1,076
2.650%
due
12/15/24
3,274
3,498
3.700%
due
06/26/28
300
345
4.050%
due
06/29/48
430
547
Walt
Disney
Co.
(The)
Series
WI
6.650%
due
11/15/37
200
310
5.400%
due
10/01/43
450
640
Waste
Management,
Inc.
3.150%
due
11/15/27
720
794
Wells
Fargo
&
Co.
0.805%
due
05/19/25
(SOFR
+
0.510%)(Ê)
880
882
2.188%
due
04/30/26
(SOFR
+
2.000%)(Ê)
130
135
3.000%
due
10/23/26
450
488
3.196%
due
06/17/27
(USD
3
Month
LIBOR
+
1.170%)(Ê)
500
543
2.393%
due
06/02/28
(SOFR
+
2.100%)(Ê)
4,251
4,450
4.478%
due
04/04/31
(SOFR
+
4.032%)(Ê)
690
822
3.068%
due
04/30/41
(SOFR
+
2.530%)(Ê)
610
639
5.375%
due
11/02/43
470
641
4.750%
due
12/07/46
390
501
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
167
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
5.013%
due
04/04/51
(SOFR
+
4.502%)(Ê)
1,670
2,326
Western
Gas
Partners,
LP
5.500%
due
08/15/48
160
178
Western
Midstream
Operating,
LP
2.229%
due
01/13/23
(USD
3
Month
LIBOR
+
2.100%)(Ê)
650
647
3.100%
due
02/01/25
390
409
4.650%
due
07/01/26
520
557
4.500%
due
03/01/28
130
140
4.050%
due
02/01/30
1,130
1,268
5.450%
due
04/01/44
870
977
5.300%
due
03/01/48
500
551
5.250%
due
02/01/50
450
529
Westinghouse
Air
Brake
Technologies
Corp.
Series
WI
3.450%
due
11/15/26
3,948
4,252
Williams
Cos.,
Inc.
(The)
7.750%
due
06/15/31
300
421
Wyndham
Destinations,
Inc.
5.750%
due
04/01/27
117
127
Wynn
Resorts
Finance
LLC
/
Wynn
Resorts
Capital
Corp.
7.750%
due
04/15/25
(Þ)
760
809
Xerox
Corp.
4.800%
due
03/01/35
455
464
XTO
Energy,
Inc.
6.750%
due
08/01/37
3,121
4,643
Yum!
Brands,
Inc.
6.875%
due
11/15/37
81
104
922,197
International
Debt
-
14.5%
ABN
AMRO
Bank
NV
4.750%
due
07/28/25
(Þ)
3,745
4,211
Abu
Dhabi
Government
International
Bond
1.700%
due
03/02/31
(Þ)
460
448
3.875%
due
04/16/50
(Þ)
1,380
1,606
Abu
Dhabi
National
Energy
Co.
PJSC
4.375%
due
04/23/25
(Þ)
390
437
Adani
Ports
&
Special
Economic
Zone,
Ltd.
4.000%
due
07/30/27
(Þ)
3,264
3,402
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
3.300%
due
01/23/23
200
207
4.500%
due
09/15/23
470
503
3.150%
due
02/15/24
1,100
1,155
1.750%
due
01/30/26
510
507
AES
Panama
Generation
Holdings
SRL
4.375%
due
05/31/30
(Þ)
3,981
4,119
African
Export-Import
Bank
(The)
2.634%
due
05/17/26
(Þ)
5,740
5,849
Series
REGS
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.634%
due
05/17/26
1,300
1,325
Air
Liquide
Finance
SA
2.250%
due
09/27/23
(Þ)
3,973
4,117
Alibaba
Group
Holding,
Ltd.
2.125%
due
02/09/31
640
633
2.700%
due
02/09/41
750
720
3.150%
due
02/09/51
1,430
1,413
Series
WI
3.600%
due
11/28/24
2,950
3,195
Alimentation
Couche-Tard,
Inc.
3.550%
due
07/26/27
(Þ)
2,912
3,239
Alrosa
Finance
SA
4.650%
due
04/09/24
(Þ)
1,500
1,618
Anglo
American
Capital
PLC
3.625%
due
09/11/24
(Þ)
3,257
3,523
4.750%
due
04/10/27
(Þ)
220
255
4.500%
due
03/15/28
(Þ)
930
1,072
Anheuser-Busch
InBev
Worldwide,
Inc.
4.900%
due
02/01/46
490
628
5.550%
due
01/23/49
770
1,081
4.500%
due
06/01/50
300
373
Arbor
Realty
CLO,
Ltd.
Series
2021-FL2
Class
A
1.200%
due
05/15/36
(USD
1
Month
LIBOR
+
1.100%)(Ê)(Þ)
4,043
4,046
Argentine
Republic
Government
International
Bond
1.000%
due
07/09/29
129
49
0.750%
due
07/09/30
(~)(Ê)
2,195
798
1.500%
due
07/09/35
(~)(Ê)
473
153
3.500%
due
07/09/41
(~)(Ê)
1,530
571
AstraZeneca
PLC
0.300%
due
05/26/23
4,157
4,158
Australia
&
New
Zealand
Banking
Group,
Ltd.
2.570%
due
11/25/35
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
1.700%)(Ê)(Þ)
4,391
4,338
Avolon
Holdings
Funding,
Ltd.
3.950%
due
07/01/24
(Þ)
480
513
2.875%
due
02/15/25
(Þ)
390
404
4.250%
due
04/15/26
(Þ)
1,680
1,837
Avon
Products,
Inc.
8.950%
due
03/15/43
72
93
Banco
de
Bogota
SA
Series
EMTQ
4.375%
due
08/03/27
(Þ)
2,846
2,960
Banco
Inbursa
SA
Institucion
de
Banca
Multiple
4.125%
due
06/06/24
(Þ)
3,856
4,116
Banco
Mercantil
del
Norte
SA
8.375%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
10
Year
+
7.760%)(Ê)(ƒ)(Þ)
480
579
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
168
Strategic
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Banco
Santander
Mexico
SA
Institucion
de
Banca
Multiple
Grupo
Financiero
Santander
4.125%
due
11/09/22
(Þ)
4,236
4,406
Banco
Santander
SA
3.848%
due
04/12/23
3,628
3,831
Bancolombia
SA
3.000%
due
01/29/25
3,257
3,290
Bank
of
China,
Ltd.
5.000%
due
11/13/24
(Þ)
3,100
3,455
Bank
of
Nova
Scotia
(The)
1.625%
due
05/01/23
3,300
3,377
Barclays
Bank
PLC
6.860%
due
09/29/49
(USD
6
Month
LIBOR
+
1.730%)(Ê)(ƒ)(Þ)
256
347
Barclays
PLC
4.338%
due
05/16/24
(USD
3
Month
LIBOR
+
1.356%)(Ê)
600
638
5.088%
due
06/20/30
(USD
3
Month
LIBOR
+
3.054%)(Ê)
2,140
2,511
4.950%
due
01/10/47
3,234
4,245
6.125%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.867%)(Ê)(ƒ)
2,600
2,895
Barings
CLO,
Ltd.
Series
2017-IA
Class
AR
3.392%
due
01/20/28
(USD
3
Month
LIBOR
+
0.800%)(Ê)(Þ)
4,864
4,866
Barrick
NA
Finance
LLC
5.700%
due
05/30/41
600
837
BAT
Capital
Corp.
2.259%
due
03/25/28
610
614
3.734%
due
09/25/40
380
381
Bayer
US
Finance
II
LLC
3.875%
due
12/15/23
(Þ)
3,861
4,130
Bayer
US
Finance
LLC
3.375%
due
10/08/24
(Þ)
1,891
2,032
BDS,
Ltd.
Series
2021-FL7
Class
A
1.180%
due
06/16/36
(USD
1
Month
LIBOR
+
1.070%)(Ê)(Þ)
6,121
6,123
Bellemeade
Re,
Ltd.
Series
2018-1A
Class
M2
3.050%
due
04/25/28
(USD
1
Month
LIBOR
+
2.900%)(Ê)(Þ)
3,510
3,552
Series
2020-2A
Class
M1B
3.583%
due
08/26/30
(USD
1
Month
LIBOR
+
3.200%)(Ê)(Þ)
3,761
3,801
Series
2021-2A
Class
M1A
1.210%
due
06/25/31
(SOFR
30
Day
Average
+
1.200%)(Ê)(Þ)
10,243
10,262
Series
2021-2A
Class
M1B
1.510%
due
06/25/31
(SOFR
30
Day
Average
+
1.500%)(Ê)(Þ)
4,493
4,493
Series
2021-2A
Class
M1C
1.860%
due
06/25/31
(SOFR
30
Day
Average
+
1.850%)(Ê)(Þ)
2,279
2,290
Bermuda
Government
International
Bond
2.375%
due
08/20/30
(Þ)
1,390
1,394
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Bharti
Airtel
International
Netherlands
BV
5.125%
due
03/11/23
(Þ)
2,880
3,045
BlueMountain
CLO,
Ltd.
Series
2017-2A
Class
A1R
2.278%
due
10/22/30
(USD
3
Month
LIBOR
+
1.180%)(Ê)(Þ)
2,333
2,335
BNP
Paribas
SA
3.800%
due
01/10/24
(Þ)
3,335
3,580
3.375%
due
01/09/25
(Þ)
320
345
4.705%
due
01/10/25
(USD
3
Month
LIBOR
+
2.235%)(Ê)(Þ)
540
589
2.219%
due
06/09/26
(SOFR
+
2.074%)(Ê)(Þ)
1,620
1,676
1.675%
due
06/30/27
(SOFR
+
0.912%)(Ê)(Þ)
830
836
4.400%
due
08/14/28
(Þ)
1,490
1,728
2.824%
due
01/26/41
(Þ)
1,220
1,183
BOC
Aviation
USA
Corp.
1.625%
due
04/29/24
(Þ)
780
787
BP
Capital
Markets
PLC
2.750%
due
05/10/23
128
133
3.119%
due
05/04/26
869
934
British
Telecommunications
PLC
9.625%
due
12/15/30
130
201
Brookfield
Finance,
Inc.
4.700%
due
09/20/47
2,711
3,397
Canadian
Imperial
Bank
of
Commerce
0.950%
due
06/23/23
3,693
3,731
Canadian
Natural
Resources,
Ltd.
5.850%
due
02/01/35
2,662
3,493
Canadian
Pacific
Railway
Co.
6.125%
due
09/15/15
2,999
4,782
Carnival
Corp.
Term
Loan
B
3.750%
due
06/30/25
(USD
1
Month
LIBOR
+
3.000%)(Ê)
559
554
Cedar
Funding,
Ltd.
1.214%
due
04/20/34
2,458
2,460
Series
2021-6A
Class
ARR
1.184%
due
04/20/34
(USD
3
Month
LIBOR
+
1.050%)(Ê)(Þ)
5,920
5,926
Celulosa
Arauco
y
Constitucion
SA
5.150%
due
01/29/50
(Þ)
1,500
1,755
Series
WI
5.500%
due
11/02/47
1,297
1,563
Cenovus
Energy,
Inc.
6.750%
due
11/15/39
3,504
4,780
CI
Financial
Corp.
3.200%
due
12/17/30
2,360
2,452
4.100%
due
06/15/51
560
592
CNH
Industrial
NV
4.500%
due
08/15/23
3,782
4,068
Colombia
Government
International
Bond
5.625%
due
02/26/44
320
357
Comision
Federal
de
Electricidad
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
169
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
4.875%
due
01/15/24
(Þ)
200
217
3.348%
due
02/09/31
(Þ)
360
356
4.677%
due
02/09/51
(Þ)
280
273
Commonwealth
Bank
of
Australia
2.688%
due
03/11/31
(Þ)
530
538
3.743%
due
09/12/39
(Þ)
540
606
3.305%
due
03/11/41
(Þ)
610
641
4.316%
due
01/10/48
(Þ)
3,587
4,373
Cooperatieve
Rabobank
UA
4.625%
due
12/01/23
1,190
1,298
4.375%
due
08/04/25
1,300
1,457
Credit
Agricole
SA
3.250%
due
10/04/24
(Þ)
3,759
4,017
1.247%
due
01/26/27
(SOFR
+
0.892%)(Ê)(Þ)
4,293
4,259
8.125%
due
12/29/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
6.185%)(Ê)
(ƒ)(Þ)
210
255
Credit
Suisse
Group
AG
2.593%
due
09/11/25
(SOFR
+
1.560%)(Ê)(Þ)
250
261
3.091%
due
05/14/32
(SOFR
+
1.730%)(Ê)(Þ)
1,850
1,932
6.250%
due
12/29/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
3.455%)(Ê)
(ƒ)(Þ)
2,380
2,597
6.375%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.822%)(Ê)(ƒ)(Þ)
2,280
2,533
7.500%
due
12/31/99
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.600%)(Ê)
(ƒ)(Þ)
2,280
2,468
Series
WI
4.875%
due
05/15/45
3,248
4,192
DAE
Funding
LLC
1.550%
due
08/01/24
(Þ)
900
899
Danone
SA
2.589%
due
11/02/23
(Þ)
2,975
3,100
Danske
Bank
A/S
3.875%
due
09/12/23
(Þ)
230
245
5.375%
due
01/12/24
(Þ)
3,960
4,384
1.621%
due
09/11/26
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
1.350%)(Ê)(Þ)
4,263
4,301
Delhaize
America,
Inc.
9.000%
due
04/15/31
809
1,264
Deutsche
Bank
AG
3.950%
due
02/27/23
3,100
3,252
3.700%
due
05/30/24
3,071
3,291
4.296%
due
05/24/28
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
2.248%)(Ê)
709
734
Deutsche
Telekom
International
Finance
BV
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.485%
due
09/19/23
(Þ)
703
731
3.600%
due
01/19/27
(Þ)
3,196
3,540
8.750%
due
06/15/30
160
242
Dryden
41
Senior
Loan
Fund
Series
2018-41A
Class
AR
1.154%
due
04/15/31
(USD
3
Month
LIBOR
+
0.970%)(Ê)(Þ)
2,500
2,503
Dryden
49
Senior
Loan
Fund
Series
2021-49A
Class
AR
1.084%
due
07/18/30
(USD
3
Month
LIBOR
+
0.950%)(Ê)(Þ)
6,879
6,881
Dryden
XXVIII
Senior
Loan
Fund
Series
2017-28A
Class
A1LR
1.592%
due
08/15/30
(USD
3
Month
LIBOR
+
1.200%)(Ê)(Þ)
3,028
3,028
ECAF,
Ltd.
Series
2015-1A
Class
A1
3.473%
due
06/15/40
(Þ)
626
606
Ecopetrol
SA
4.125%
due
01/16/25
3,863
4,045
5.875%
due
05/28/45
570
608
EDP
Finance
BV
1.710%
due
01/24/28
(Þ)
260
259
Electricite
de
France
SA
5.250%
due
01/29/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
10
Year
Rate
+
3.709%)(Ê)
(ƒ)(Þ)
802
842
5.625%
due
12/29/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
10
Year
Rate
+
3.041%)(Ê)
(ƒ)(Þ)
129
138
Enbridge,
Inc.
3.700%
due
07/15/27
2,850
3,180
Enel
Finance
International
NV
Series
658A
3.500%
due
04/06/28
(Þ)
2,929
3,259
Eni
SpA
5.700%
due
10/01/40
(Þ)
1,500
1,977
Fairfax
Financial
Holdings,
Ltd.
Series
WI
4.850%
due
04/17/28
3,005
3,504
Falabella
SA
3.750%
due
04/30/23
(Þ)
3,955
4,123
First
Quantum
Minerals,
Ltd.
7.250%
due
04/01/23
(Þ)
300
306
7.500%
due
04/01/25
(Þ)
220
228
6.875%
due
10/15/27
(Þ)
2,180
2,362
Four
Seasons
Hotels,
Ltd.
1st
Lien
Term
Loan
2.092%
due
11/30/23
(USD
1
Month
LIBOR
+
2.000%)(Ê)
435
432
Fresenius
Medical
Care
US
Finance
III,
Inc.
3.000%
due
12/01/31
(Þ)
4,196
4,376
Fresnillo
PLC
4.250%
due
10/02/50
(Þ)
930
971
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
170
Strategic
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
GFL
Environmental,
Inc.
2020
Term
Loan
3.500%
due
05/31/25
(USD
3
Month
LIBOR
+
3.000%)(Ê)
76
76
GlaxoSmithKline
Capital,
Inc.
2.800%
due
03/18/23
2,024
2,106
Glencore
Funding
LLC
4.125%
due
05/30/23
(Þ)
240
255
4.125%
due
03/12/24
(Þ)
2,430
2,619
1.625%
due
09/01/25
(Þ)
760
772
4.000%
due
03/27/27
(Þ)
565
630
3.875%
due
10/27/27
(Þ)
110
122
Grifols
Worldwide
Operations
USA,
Inc.
Term
Loan
B
2.084%
due
11/15/27
(USD
1
Week
LIBOR
+
2.000%)(Ê)
1,143
1,126
HGI
CRE
CLO,
Ltd.
Series
2021-FL1
Class
A
1.160%
due
06/16/36
(USD
1
Month
LIBOR
+
1.050%)(Ê)(Þ)
8,602
8,607
Highlands
Holdings
Bond
Issuer,
Ltd.
7.625%
due
10/15/25
(Þ)
1,050
1,112
Home
RE,
Ltd.
Series
2021-2
Class
M1C
2.843%
due
01/25/34
(SOFR
30
Day
Average
+
2.800%)(Ê)(Þ)
2,576
2,576
Series
2021-2
Class
M2
3.293%
due
01/25/34
(SOFR
30
Day
Average
+
3.250%)(Ê)(Þ)
1,227
1,227
HSBC
Bank
PLC
7.650%
due
05/01/25
2,615
3,147
HSBC
Holdings
PLC
4.250%
due
08/18/25
670
743
2.099%
due
06/04/26
(SOFR
+
1.929%)(Ê)
1,720
1,776
3.973%
due
05/22/30
(USD
3
Month
LIBOR
+
1.610%)(Ê)
210
237
2.848%
due
06/04/31
(SOFR
+
2.387%)(Ê)
840
885
2.804%
due
05/24/32
1,770
1,836
5.250%
due
03/14/44
3,264
4,316
ICICI
Bank,
Ltd.
3.800%
due
12/14/27
(Þ)
3,094
3,358
ICON
Luxembourg
SARL
Term
Loan
3.000%
due
07/01/28
(USD
3
Month
LIBOR
+
2.500%)(Ê)
1,705
1,701
Indonesia
Government
International
Bond
3.500%
due
01/11/28
240
263
Industrial
&
Commercial
Bank
of
China,
Ltd.
2.957%
due
11/08/22
962
989
Intesa
Sanpaolo
SpA
3.375%
due
01/12/23
(Þ)
2,323
2,413
5.017%
due
06/26/24
(Þ)
1,340
1,454
5.710%
due
01/15/26
(Þ)
400
452
3.875%
due
01/12/28
(Þ)
1,171
1,279
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
4.198%
due
06/01/32
(Þ)
420
432
4.950%
due
06/01/42
(Þ)
1,190
1,237
Series
X
4.700%
due
09/23/49
(Þ)
700
836
Inversiones
CMPC
SA
4.375%
due
05/15/23
(Þ)
3,747
3,906
4.750%
due
09/15/24
(Þ)
3,230
3,525
Israel
Government
International
Bond
2.750%
due
07/03/30
500
538
KazMunayGas
National
Co.
JSC
6.375%
due
10/24/48
(Þ)
250
328
Klabin
Austria
GmbH
3.200%
due
01/12/31
(Þ)
870
859
LCM
XXV,
Ltd.
Series
2017-25A
Class
A
2.345%
due
07/20/30
(USD
3
Month
LIBOR
+
1.210%)(Ê)(Þ)
6,782
6,783
Lloyds
Banking
Group
PLC
7.500%
due
11/27/23
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.760%)(Ê)
210
237
4.344%
due
01/09/48
2,984
3,584
6.413%
due
01/29/49
(USD
3
Month
LIBOR
+
1.495%)(Ê)(ƒ)(Þ)
225
311
7.500%
due
12/31/99
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.496%)(Ê)(ƒ)
580
676
Lukoil
International
Finance
BV
4.563%
due
04/24/23
(Þ)
2,827
2,993
Madison
Park
Funding
IV,
Ltd.
Series
2017-4A
Class
AR
1.470%
due
07/29/30
(USD
3
Month
LIBOR
+
1.200%)(Ê)(Þ)
4,180
4,184
Madison
Park
Funding,
Ltd.
Series
2021-48A
Class
A
1.284%
due
04/19/33
(USD
3
Month
LIBOR
+
1.150%)(Ê)(Þ)
3,863
3,863
Marks
&
Spencer
PLC
7.125%
due
12/01/37
(Þ)
58
69
MEG
Energy
Corp.
6.500%
due
01/15/25
(Þ)
360
371
7.125%
due
02/01/27
(Þ)
500
525
5.875%
due
02/01/29
(Þ)
430
444
Meituan
2.125%
due
10/28/25
(Þ)
3,618
3,514
Melco
Resorts
Finance,
Ltd.
5.375%
due
12/04/29
(Þ)
820
846
MercadoLibre
,
Inc.
2.375%
due
01/14/26
200
201
3.125%
due
01/14/31
1,480
1,446
Methanex
Corp.
5.650%
due
12/01/44
193
206
Mexico
Government
International
Bond
4.350%
due
01/15/47
2,430
2,559
National
Bank
of
Canada
2.150%
due
10/07/22
(Þ)
1,697
1,734
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
171
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.100%
due
02/01/23
2,377
2,438
Natwest
Group
PLC
3.875%
due
09/12/23
280
298
3.754%
due
11/01/29
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.100%)(Ê)
710
755
8.625%
due
12/29/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
7.598%)(Ê)(ƒ)
1,080
1,082
Nippon
Life
Insurance
Co.
2.750%
due
01/21/51
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.653%)(Ê)(Þ)
890
881
Nissan
Motor
Acceptance
Corp.
3.043%
due
09/15/23
(Þ)
2,190
2,283
3.522%
due
09/17/25
(Þ)
1,040
1,115
4.345%
due
09/17/27
(Þ)
740
822
4.810%
due
09/17/30
(Þ)
770
879
Nordea
Bank
Abp
3.750%
due
08/30/23
(Þ)
3,614
3,856
NTT
Finance
Corp.
2.065%
due
04/03/31
(Þ)
890
917
Nutrien
,
Ltd.
5.875%
due
12/01/36
2,542
3,527
NXP
BV
/
NXP
Funding
LLC
3.400%
due
05/01/30
(Þ)
300
332
OCP
CLO,
Ltd.
Series
2017-10A
Class
A1R
1.035%
due
10/26/27
(USD
3
Month
LIBOR
+
0.820%)(Ê)(Þ)
2,181
2,182
OCP
SA
3.750%
due
06/23/31
(Þ)
590
598
5.125%
due
06/23/51
(Þ)
430
438
Oman
Government
International
Bond
Series
REGS
6.250%
due
01/25/31
1,784
1,926
Oman
Sovereign
Sukuk
Co.
Series
REGS
4.875%
due
06/15/30
1,300
1,352
Panama
Government
International
Bond
2.252%
due
09/29/32
1,150
1,115
Paraguay
Government
International
Bond
5.400%
due
03/30/50
(Þ)
790
929
Park
Aerospace
Holdings,
Ltd.
5.250%
due
08/15/22
(Þ)
68
71
Peruvian
Government
International
Bond
2.783%
due
01/23/31
610
612
Petrobras
Global
Finance
BV
6.900%
due
03/19/49
1,580
1,852
5.500%
due
06/10/51
410
403
Series
WI
5.999%
due
01/27/28
490
558
Petroleos
del
Peru
SA
5.625%
due
06/19/47
(Þ)
820
847
POSCO
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.375%
due
01/17/23
(Þ)
3,577
3,658
Provincia
de
Buenos
Aires
6.500%
due
02/15/23
(~)(Æ)(Ê)(Ø)(Þ)
450
214
7.875%
due
06/15/27
(~)(Æ)(Ê)(Ø)(Þ)
400
192
Provincia
de
Cordoba
7.125%
due
12/10/25
(~)(Ê)(Þ)
570
429
7.450%
due
06/01/27
(~)(Ê)(Þ)
750
510
Qatar
Government
International
Bond
4.817%
due
03/14/49
(Þ)
1,000
1,301
4.400%
due
04/16/50
(Þ)
410
506
Qatar
Petroleum
1.375%
due
09/12/26
(Þ)
490
491
2.250%
due
07/12/31
(Þ)
2,000
2,024
Radnor
RE,
Ltd.
Series
2021-1
Class
M1B
1.710%
due
12/27/33
(SOFR
30
Day
Average
+
1.700%)(Ê)(Þ)
7,980
7,984
Reliance
Industries,
Ltd.
4.125%
due
01/28/25
(Þ)
2,934
3,207
Republic
of
Chile
Government
International
Bond
2.550%
due
07/27/33
860
877
3.100%
due
05/07/41
430
435
RESIMAC
Premier
1.274%
due
02/07/52
(Þ)
2,815
2,828
Resimac
,
Ltd.
Series
2021-1A
Class
A1
0.800%
due
07/10/52
(USD
1
Month
LIBOR
+
0.700%)(Ê)(Þ)
5,415
5,418
Reynolds
American,
Inc.
5.850%
due
08/15/45
310
387
Roche
Holdings,
Inc.
3.250%
due
09/17/23
(Þ)
950
1,006
SABIC
Capital
II
BV
4.000%
due
10/10/23
(Þ)
2,930
3,131
Sands
China,
Ltd.
Series
WI
4.600%
due
08/08/23
1,292
1,368
5.125%
due
08/08/25
420
470
3.800%
due
01/08/26
410
441
5.400%
due
08/08/28
820
957
Santander
UK
PLC
5.000%
due
11/07/23
(Þ)
988
1,074
5.625%
due
09/15/45
(Þ)
2,653
3,479
Saudi
Arabian
Oil
Co.
2.875%
due
04/16/24
(Þ)
3,093
3,248
Schneider
Electric
SE
2.950%
due
09/27/22
(Þ)
3,266
3,362
Shackleton
CLO,
Ltd.
Series
2018-4RA
Class
A1A
2.311%
due
04/13/31
(USD
3
Month
LIBOR
+
1.000%)(Ê)(Þ)
5,390
5,371
Shell
International
Finance
BV
4.375%
due
05/11/45
750
939
4.000%
due
05/10/46
430
515
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
172
Strategic
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.250%
due
04/06/50
520
565
Siemens
Financieringsmaatschappij
NV
0.400%
due
03/11/23
(Þ)
582
583
SK
Hynix,
Inc.
1.000%
due
01/19/24
(Þ)
3,670
3,654
Sky,
Ltd.
3.750%
due
09/16/24
(Þ)
3,311
3,621
Societe
Generale
SA
5.000%
due
01/17/24
(Þ)
3,653
3,969
Sound
Point
CLO,
Ltd.
Series
2018-1A
Class
A
2.219%
due
04/15/31
(USD
3
Month
LIBOR
+
1.000%)(Ê)(Þ)
6,000
6,005
Southern
Copper
Corp.
6.750%
due
04/16/40
3,229
4,488
5.250%
due
11/08/42
240
304
Standard
Chartered
PLC
3.950%
due
01/11/23
(Þ)
2,944
3,063
1.214%
due
03/23/25
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
0.880%)(Ê)(Þ)
400
402
7.014%
due
12/30/49
(USD
3
Month
LIBOR
+
1.460%)(Ê)(ƒ)(Þ)
250
344
Sumitomo
Mitsui
Financial
Group,
Inc.
2.778%
due
10/18/22
3,425
3,528
Suncor
Energy,
Inc.
5.350%
due
07/15/33
2,824
3,547
Sura
Asset
Management
SA
4.875%
due
04/17/24
(Þ)
3,803
4,088
Suzano
Austria
GmbH
3.125%
due
01/15/32
900
892
7.000%
due
03/16/47
(Þ)
420
561
Takeda
Pharmaceutical
Co.,
Ltd.
Series
WI
4.400%
due
11/26/23
3,799
4,117
Teck
Resources,
Ltd.
6.000%
due
08/15/40
20
26
6.250%
due
07/15/41
200
269
5.400%
due
02/01/43
230
289
Series
WI
3.900%
due
07/15/30
1,000
1,100
Telecom
Italia
Capital
SA
6.375%
due
11/15/33
209
247
6.000%
due
09/30/34
343
393
7.721%
due
06/04/38
379
509
Telefonica
Emisiones
SA
4.570%
due
04/27/23
3,547
3,785
5.213%
due
03/08/47
600
753
Tencent
Holdings,
Ltd.
2.985%
due
01/19/23
(Þ)
2,978
3,071
3.840%
due
04/22/51
(Þ)
680
735
Teva
Pharmaceutical
Finance
Co.
BV
2.950%
due
12/18/22
150
151
Teva
Pharmaceutical
Finance
Netherlands
III
BV
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.800%
due
07/21/23
1,130
1,117
3.150%
due
10/01/26
370
355
Series
WI
6.000%
due
04/15/24
220
231
7.125%
due
01/31/25
420
461
Textainer
Marine
Containers
VII,
Ltd.
Series
2020-1A
Class
A
2.730%
due
08/21/45
(Þ)
5,693
5,806
Series
2020-2A
Class
A
2.100%
due
09/20/45
(Þ)
4,604
4,680
Toronto-Dominion
Bank
(The)
0.300%
due
06/02/23
4,146
4,144
Total
Capital
International
SA
3.750%
due
04/10/24
2,826
3,067
TotalEnergies
Capital
Canada,
Ltd.
2.750%
due
07/15/23
2,108
2,202
TransAlta
Corp.
6.500%
due
03/15/40
434
499
TransCanada
PipeLines
,
Ltd.
4.625%
due
03/01/34
2,818
3,386
TransCanada
Trust
5.300%
due
03/15/77
(USD
3
Month
LIBOR
+
3.208%)(Ê)
500
537
5.500%
due
09/15/79
(SOFR
+
4.416%)(Ê)
3,154
3,502
UBS
AG
4.500%
due
06/26/48
(Þ)
750
1,008
UBS
Group
AG
7.000%
due
12/31/99
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.344%)(Ê)
(ƒ)(Þ)
2,310
2,538
UniCredit
SpA
7.296%
due
04/02/34
(USD
ICE
Swap
Rate
NY
5
Year
Rate
+
4.914%)(Ê)(Þ)
781
949
Unilever
Capital
Corp.
0.375%
due
09/14/23
4,135
4,144
Vale
Overseas,
Ltd.
6.250%
due
08/10/26
2,941
3,530
Videotron,
Ltd.
3.625%
due
06/15/29
(Þ)
240
246
Vodafone
Group
PLC
6.150%
due
02/27/37
190
266
5.250%
due
05/30/48
150
200
7.000%
due
04/04/79
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.873%)(Ê)
466
579
Volkswagen
Group
of
America
Finance
LLC
2.700%
due
09/26/22
(Þ)
3,453
3,542
Voya
CLO,
Ltd.
Series
2020-1A
Class
AR
2.279%
due
04/15/31
(USD
3
Month
LIBOR
+
1.060%)(Ê)(Þ)
1,532
1,533
Series
2020-2A
Class
A1RR
2.155%
due
04/17/30
(USD
3
Month
LIBOR
+
1.020%)(Ê)(Þ)
3,283
3,285
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
173
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
WEA
Finance
LLC
4.625%
due
09/20/48
(Þ)
4,009
4,413
WEA
Finance
LLC
/
Westfield
UK
&
Europe
Finance
PLC
3.750%
due
09/17/24
(Þ)
275
295
4.750%
due
09/17/44
(Þ)
640
724
Westpac
Banking
Corp.
2.668%
due
11/15/35
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
1.750%)(Ê)
500
499
Wynn
Macau,
Ltd.
5.625%
due
08/26/28
(Þ)
1,430
1,466
5.125%
due
12/15/29
(Þ)
200
202
Yamana
Gold,
Inc.
Series
WI
4.625%
due
12/15/27
1,120
1,247
ZF
NA
Capital,
Inc.
4.750%
due
04/29/25
(Þ)
324
352
599,425
Loan
Agreements
-
0.4%
Aecom
Technology
Corp.
2021
Term
Loan
B
1.842%
due
04/09/28
(USD
1
Month
LIBOR
+
1.750%)(Ê)
600
598
Alterra
Mountain
Co.
Term
Loan
B1
2.842%
due
06/29/24
(USD
1
Month
LIBOR
+
2.750%)(Ê)
585
578
Asurion
LLC
1st
Lien
Term
Loan
B7
3.092%
due
11/03/24
(USD
1
Month
LIBOR
+
3.000%)(Ê)
754
741
Asurion
LLC
2020
Term
Loan
B8
3.342%
due
12/18/26
(USD
1
Month
LIBOR
+
3.250%)(Ê)
533
523
Asurion
LLC
Term
Loan
3.342%
due
08/03/27
(USD
1
Month
LIBOR
+
3.250%)(Ê)
279
274
Bausch
Health
Americas,
Inc.
Term
Loan
B
2.842%
due
11/27/25
(USD
1
Month
LIBOR
+
2.750%)(Ê)
80
79
Caesars
Resort
Collection
LLC
1st
Lien
Term
Loan
B
2.842%
due
12/22/24
(USD
1
Month
LIBOR
+
2.750%)(Ê)
623
616
Caesars
Resort
Collection
LLC
Term
Loan
4.592%
due
06/19/25
(USD
1
Month
LIBOR
+
4.500%)(Ê)
596
595
CSC
Holdings
LLC
2018
Incremental
Term
Loan
2.343%
due
01/15/26
(USD
1
Month
LIBOR
+
2.250%)(Ê)
100
98
Eyecare
Partners
LLC
Term
Loan
3.857%
due
02/20/27
(USD
2
Month
LIBOR
+
3.750%)(Ê)
316
313
Focus
Financial
Partners
LLC
Term
Loan
2.092%
due
07/03/24
(USD
1
Month
LIBOR
+
2.000%)(Ê)
618
609
Garda
World
Security
Corp.
2021
Term
Loan
B
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
4.340%
due
10/30/26
(USD
1
Month
LIBOR
+
4.250%)(Ê)
275
274
Genesee
&
Wyoming,
Inc.
New
Term
Loan
2.147%
due
12/30/26
(USD
3
Month
LIBOR
+
2.000%)(Ê)
364
360
Harbor
Freight
Tools
USA,
Inc.
2021
Term
Loan
B
3.250%
due
10/19/27
(USD
1
Month
LIBOR
+
2.750%)(Ê)
488
485
ICON
Luxembourg
SARL
US
Term
Loan
3.000%
due
07/01/28
(USD
3
Month
LIBOR
+
2.500%)(Ê)
425
424
MultiPlan
,
Inc.
Term
Loan
B
3.750%
due
06/07/23
(USD
3
Month
LIBOR
+
2.750%)(Ê)
730
725
Nexstar
Broadcasting,
Inc.
Term
Loan
B4
2.600%
due
09/19/26
(USD
1
Month
LIBOR
+
2.500%)(Ê)
1,368
1,355
Petco
Animal
Supplies,
Inc
2021
Term
Loan
B
4.000%
due
02/24/28
(USD
3
Month
LIBOR
+
3.250%)(Ê)
459
457
Phoenix
Guarantor,
Inc.
Term
Loan
B
3.339%
due
03/05/26
(USD
1
Month
LIBOR
+
3.250%)(Ê)
481
475
Prime
Security
Services
Borrower
LLC
2021
Term
Loan
3.500%
due
09/23/26
(USD
12
Month
LIBOR
+
2.750%)(Ê)
953
948
UFC
Holdings
LLC
2021
Term
Loan
B
3.500%
due
04/29/26
(USD
6
Month
LIBOR
+
2.750%)(Ê)
807
801
United
Airlines,
Inc.
2021
Term
Loan
B
4.500%
due
04/21/28
(USD
1
Month
LIBOR
+
3.750%)(Ê)
509
509
Verscend
Holding
Corp.
2021
Term
Loan
B
4.092%
due
08/27/25
(USD
1
Month
LIBOR
+
4.000%)(Ê)
570
568
VICI
Properties,
Inc.
Replacement
Term
Loan
B
1.839%
due
12/22/24
(USD
1
Month
LIBOR
+
1.750%)(Ê)
960
949
Virgin
Media
Bristol
LLC
Term
Loan
N
2.593%
due
01/31/28
(USD
1
Month
LIBOR
+
2.500%)(Ê)
1,311
1,290
Zebra
Buyer
LLC
Term
Loan
B
0.000%
due
04/21/28
(~)(Ê)(v)
1,070
1,070
15,714
Mortgage-Backed
Securities
-
15.7%
Alternative
Loan
Trust
Series
2006-13T1
Class
A3
6.000%
due
05/25/36
1,630
1,092
Series
2006-OC9
Class
A1
0.243%
due
12/25/46
(Ê)
Series
2006-OC10
Class
2A1
0.242%
due
11/25/36
(USD
1
Month
LIBOR
+
0.180%)(Ê)
Banc
of
America
Mortgage
Trust
Series
2005-D
Class
2A7
3.781%
due
05/25/35
(~)(Ê)
234
235
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
174
Strategic
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
BDS
Series
2021-FL8
Class
A
1.020%
due
01/18/36
(USD
1
Month
LIBOR
+
0.920%)(Ê)(Þ)
4,100
4,103
Bear
Stearns
ARM
Trust
Series
2004-5
Class
2A
4.112%
due
07/25/34
(~)(Ê)
200
206
Bellemeade
Re,
Ltd.
3.206%
due
04/25/29
(~)(Ê)(Þ)
6,926
7,018
Series
2020-4A
Class
M2B
3.750%
due
06/25/30
(USD
1
Month
LIBOR
+
3.600%)(Ê)(Þ)
3,293
3,325
Benchmark
Mortgage
Trust
Series
2020-B19
Class
A5
1.850%
due
09/15/53
8,964
8,995
Series
2020-IG1
Class
A3
2.687%
due
09/15/43
10,696
11,392
Series
2020-IG3
Class
A4
2.437%
due
09/15/48
(Þ)
8,722
9,128
BX
Commercial
Mortgage
Trust
Series
2018-BIOA
Class
C
1.306%
due
03/15/37
(USD
1
Month
LIBOR
+
1.121%)(Ê)(Þ)
5,387
5,400
CAMB
Commercial
Mortgage
Trust
Series
2019-LIFE
Class
F
2.735%
due
12/15/37
(USD
1
Month
LIBOR
+
2.550%)(Ê)(Þ)
3,491
3,503
Citigroup
Mortgage
Loan
Trust,
Inc.
Series
2012-7
Class
10A2
4.681%
due
09/25/36
(~)(Ê)(Þ)
628
583
Commercial
Mortgage
Trust
Series
2019-521F
Class
D
1.735%
due
06/15/34
(USD
1
Month
LIBOR
+
1.550%)(Ê)(Þ)
4,040
3,858
CORE
Mortgage
Trust
Series
2019-CORE
Class
D
1.835%
due
12/15/31
(USD
1
Month
LIBOR
+
1.650%)(Ê)(Þ)
5,704
5,697
Credit
Suisse
Mortgage
Capital
Certificates
Series
2019-ICE4
Class
F
2.835%
due
05/15/36
(USD
1
Month
LIBOR
+
2.650%)(Ê)(Þ)
2,250
2,262
Credit
Suisse
Mortgage
Trust
Series
2019-ICE4
Class
E
2.335%
due
05/15/36
(USD
1
Month
LIBOR
+
2.150%)(Ê)(Þ)
5,766
5,784
DBGS
Mortgage
Trust
Series
2019-1735
Class
D
4.334%
due
04/10/37
(~)(Ê)(Þ)
4,612
4,886
Eagle
Re,
Ltd.
Series
2018-1
Class
M2
3.947%
due
11/25/28
(USD
1
Month
LIBOR
+
3.000%)(Ê)(Þ)
2,609
2,625
Series
2020-1
Class
M1A
1.068%
due
01/25/30
(USD
1
Month
LIBOR
+
0.900%)(Ê)(Þ)
2,170
2,165
Series
2021-1
Class
M1B
2.165%
due
10/25/33
(SOFR
30
Day
Average
+
2.150%)(Ê)(Þ)
4,598
4,655
Fannie
Mae
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.600%
due
2031
1,680
1,847
5.500%
due
2034
286
331
4.500%
due
2035
1,445
1,641
5.500%
due
2035
190
220
6.000%
due
2035
199
233
5.500%
due
2036
371
430
5.500%
due
2037
110
128
6.000%
due
2039
147
175
5.500%
due
2040
2,084
2,366
5.000%
due
2041
1,163
1,320
6.000%
due
2041
568
673
3.500%
due
2045
2,987
3,248
4.000%
due
2045
2,195
2,413
3.000%
due
2046
587
632
3.500%
due
2046
784
849
4.500%
due
2046
1,649
1,848
3.000%
due
2047
8,694
9,253
3.500%
due
2047
1,386
1,509
4.000%
due
2047
1,428
1,537
4.500%
due
2048
4,531
4,960
5.000%
due
2048
3,466
3,798
3.000%
due
2049
22,872
24,615
3.500%
due
2049
102
111
4.000%
due
2049
3,432
3,756
5.000%
due
2049
237
259
2.000%
due
2050
6,840
6,997
2.500%
due
2050
23,703
24,801
3.000%
due
2050
19,210
20,714
3.500%
due
2050
3,419
3,687
2.000%
due
2051
9,094
9,300
2.500%
due
2051
35,961
37,496
Series
1997-281
Class
2
Interest
Only
STRIP
9.000%
due
11/25/26
4
1
Series
2000-306
Class
IO
Interest
Only
STRIP
8.000%
due
05/25/30
6
1
Series
2001-317
Class
2
Interest
Only
STRIP
8.000%
due
12/25/31
9
2
Series
2002-320
Class
2
Interest
Only
STRIP
7.000%
due
04/25/32
3
1
Fannie
Mae
Connecticut
Avenue
Securities
Trust
Series
2017-C05
Class
1M2
2.368%
due
01/25/30
(USD
1
Month
LIBOR
+
2.200%)(Ê)
1,083
1,105
Series
2017-C07
Class
1M2
2.568%
due
05/25/30
(USD
1
Month
LIBOR
+
2.400%)(Ê)
1,422
1,440
Fannie
Mae
REMICS
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
175
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
1997-68
Class
SC
Interest
Only
STRIP
8.306%
due
05/18/27
(USD
1
Month
LIBOR
+
8.500%)(Ê)
7
1
Series
2003-25
Class
IK
Interest
Only
STRIP
7.000%
due
04/25/33
23
4
Series
2003-32
Class
UI
Interest
Only
STRIP
6.000%
due
05/25/33
26
5
Series
2003-33
Class
IA
Interest
Only
STRIP
6.500%
due
05/25/33
112
23
Series
2003-35
Class
IU
Interest
Only
STRIP
6.000%
due
05/25/33
19
4
Series
2003-35
Class
UI
Interest
Only
STRIP
6.500%
due
05/25/33
24
5
Series
2003-64
Class
JI
Interest
Only
STRIP
6.000%
due
07/25/33
11
2
Series
2005-117
Class
LC
5.500%
due
11/25/35
272
283
Series
2006-118
Class
A1
0.228%
due
12/25/36
(USD
1
Month
LIBOR
+
0.060%)(Ê)
14
14
Series
2007-73
Class
A1
0.236%
due
07/25/37
(USD
1
Month
LIBOR
+
0.060%)(Ê)
122
120
Series
2009-70
Class
PS
Interest
Only
STRIP
6.582%
due
01/25/37
(USD
1
Month
LIBOR
+
6.750%)(Ê)
3,730
829
Series
2010-95
Class
S
Interest
Only
STRIP
6.432%
due
09/25/40
(-1
x
USD
1
Month
LIBOR
+
6.600%)(Ê)
3,807
796
Series
2020-75
Class
LI
Interest
Only
STRIP
2.500%
due
11/25/50
5,987
839
Series
2020-97
Class
EI
Interest
Only
STRIP
2.000%
due
01/25/51
4,552
571
Series
2021-1
Class
IM
Interest
Only
STRIP
2.000%
due
02/25/51
3,761
443
Series
2021-3
Class
KI
Interest
Only
STRIP
2.500%
due
02/25/51
5,662
597
Series
2021-3
Class
NI
Interest
Only
STRIP
2.500%
due
02/25/51
5,983
769
Series
2021-8
Class
EI
Interest
Only
STRIP
3.500%
due
03/25/51
2,432
342
Series
2021-8
Class
GI
Interest
Only
STRIP
3.000%
due
03/25/51
2,677
447
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Freddie
Mac
6.000%
due
2038
716
847
4.500%
due
2039
2,732
3,091
5.500%
due
2039
326
378
5.500%
due
2040
514
599
4.000%
due
2041
3,294
3,653
5.500%
due
2041
757
882
4.000%
due
2044
1,691
1,868
3.500%
due
2045
6,776
7,410
3.000%
due
2046
10,396
11,205
4.000%
due
2046
985
1,070
4.500%
due
2046
294
324
3.000%
due
2047
2,903
3,120
3.000%
due
2048
342
366
4.000%
due
2048
1,267
1,387
4.500%
due
2048
3,163
3,430
3.000%
due
2049
1,325
1,416
2.500%
due
2050
12,399
13,043
3.000%
due
2050
16,480
17,517
2.000%
due
2051
44,556
45,534
2.500%
due
2051
8,448
8,810
Freddie
Mac
REMICS
Series
1999-2129
Class
SG
Interest
Only
STRIP
6.806%
due
06/17/27
(USD
1
Month
LIBOR
+
7.000%)(Ê)
167
25
Series
2000-2247
Class
SC
Interest
Only
STRIP 
7.315%
due
08/15/30
(-1
x
USD
1
Month
LIBOR
+
7.500%)(Ê)
6
1
Series
2002-2463
Class
SJ
Interest
Only
STRIP
7.815%
due
03/15/32
(USD
1
Month
LIBOR
+
8.000%)(Ê)
14
3
Series
2003-2610
Class
UI
Interest
Only
STRIP
6.500%
due
05/15/33
4
1
Series
2003-2624
Class
QH
5.000%
due
06/15/33
183
211
Series
2003-2649
Class
IM
Interest
Only
STRIP 
7.000%
due
07/15/33
29
6
Series
2006-R007
Class
ZA
6.000%
due
05/15/36
707
831
Series
2012-4045
Class
HD
4.500%
due
07/15/41
347
367
Series
2017-4734
Class
IO
Interest
Only
STRIP
4.000%
due
12/15/47
3,721
568
Series
2020-5008
Class
IE
Interest
Only
STRIP
2.000%
due
09/25/50
3,920
387
Series
2020-5038
Class
NI
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
176
Strategic
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Interest
Only
STRIP
2.000%
due
11/25/50
5,034
600
Series
2020-5050
Class
IP
Interest
Only
STRIP
3.000%
due
10/25/50
9,932
1,398
Series
2020-5052
Class
IO
Interest
Only
STRIP
3.500%
due
12/25/50
3,916
537
Series
2020-5052
Class
KI
Interest
Only
STRIP
4.000%
due
12/25/50
4,867
695
Series
2021-5072
Class
IQ
Interest
Only
STRIP
3.500%
due
10/25/50
5,076
789
Series
2021-5072
Class
QI
Interest
Only
STRIP
3.500%
due
10/25/50
4,262
745
Freddie
Mac
Strips
Series
1998-191
Class
IO
Interest
Only
STRIP
8.000%
due
01/01/28
5
1
Series
1998-194
Class
IO
Interest
Only
STRIP
6.500%
due
04/01/28
10
1
Series
2001-212
Class
IO
Interest
Only
STRIP
6.000%
due
05/15/31
11
2
Series
2001-215
Class
IO
Interest
Only
STRIP
8.000%
due
06/15/31
15
3
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
Series
2018-HQA2
Class
M2AS
0.992%
due
10/25/48
(USD
1
Month
LIBOR
+
0.900%)(Ê)(Þ)
10,439
10,429
Series
2020-DNA4
Class
M2
3.908%
due
08/25/50
(USD
1
Month
LIBOR
+
3.750%)(Ê)(Þ)
244
245
Series
2020-DNA5
Class
M1
1.387%
due
10/25/50
(SOFR
30
Day
Average
+
1.300%)(Ê)(Þ)
250
250
Ginnie
Mae
I
4.500%
due
2039
4,416
5,079
Ginnie
Mae
REMICS
Series
1999-27
Class
SE
Interest
Only
STRIP
8.405%
due
08/16/29
(-1
x
USD
1
Month
LIBOR
+
8.600%)(Ê)
19
3
Series
2014-190
Class
PL
3.500%
due
12/20/44
2,089
2,293
Series
2020-134
Class
IL
Interest
Only
STRIP
2.500%
due
09/20/50
2,064
182
Series
2020-146
Class
EI
Interest
Only
STRIP
2.500%
due
10/20/50
5,691
615
Series
2020-167
Class
BI
Interest
Only
STRIP
2.500%
due
11/20/50
5,936
720
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2020-167
Class
IA
Interest
Only
STRIP
2.500%
due
11/20/50
5,915
629
Series
2020-167
Class
IW
Interest
Only
STRIP
2.000%
due
11/20/50
6,610
698
Series
2020-173
Class
MI
Interest
Only
STRIP
2.500%
due
11/20/50
20,175
2,458
Series
2021-1
Class
AI
Interest
Only
STRIP
2.000%
due
01/20/51
1,922
232
Series
2021-1
Class
PI
Interest
Only
STRIP
2.500%
due
12/20/50
1,896
214
Series
2021-9
Class
MI
Interest
Only
STRIP
2.500%
due
01/20/51
5,721
692
Series
2021-23
Class
IA
Interest
Only
STRIP
2.500%
due
02/20/51
4,098
556
Series
2021-23
Class
KI
Interest
Only
STRIP
3.000%
due
02/20/51
3,490
397
Hilton
USA
Trust
Series
2016-HHV
Class
D
4.333%
due
11/05/38
(~)(Ê)(Þ)
9,138
9,924
Series
2016-SFP
Class
A
2.828%
due
11/05/35
(Þ)
1,499
1,505
HMH
Trust
Series
2017-NSS
Class
E
6.292%
due
07/05/31
(Þ)
7,770
7,576
HOM
RE,
Ltd.
Series
2021-1
Class
M1A
1.173%
due
07/25/33
(USD
1
Month
LIBOR
+
1.050%)(Ê)(Þ)
3,255
3,242
Series
2021-1
Class
M1B
1.673%
due
07/25/33
(USD
1
Month
LIBOR
+
1.550%)(Ê)(Þ)
2,345
2,338
Hospitality
Mortgage
Trust
Series
2019-HIT
Class
D
2.185%
due
11/15/36
(USD
1
Month
LIBOR
+
2.000%)(Ê)(Þ)
5,530
5,535
Series
2019-HIT
Class
E
2.535%
due
11/15/36
(USD
1
Month
LIBOR
+
2.350%)(Ê)(Þ)
3,760
3,758
JPMorgan
Chase
Commercial
Mortgage
Securities
Trust
Series
2004-LN2
Class
B
5.686%
due
07/15/41
(~)(Ê)
150
150
JPMorgan
Mortgage
Trust
2.500%
due
12/25/51
17,218
17,541
Series
2013-1
Class
2A2
2.500%
due
03/25/43
(~)(Ê)(Þ)
1,219
1,233
Series
2018-3
Class
A3
3.500%
due
09/25/48
(~)(Ê)(Þ)
309
310
Series
2018-8
Class
A3
4.000%
due
01/25/49
(~)(Ê)(Þ)
479
484
Series
2020-3
Class
A15
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
177
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.500%
due
08/25/50
(~)(Ê)(Þ)
1,013
1,030
Series
2021-6
Class
A6
2.500%
due
10/25/51
(~)(Ê)(Þ)
18,870
19,373
Series
2021-7
Class
A6
2.500%
due
11/25/51
(~)(Ê)(Þ)
18,571
19,081
Series
2021-8
Class
A6
2.500%
due
12/25/51
(~)(Ê)(Þ)
16,876
17,320
JPMorgan
Wealth
Mangement
Series
2020-ATR1
Class
A3
3.000%
due
02/25/50
(~)(Ê)(Þ)
2,616
2,679
LB
Commercial
Mortgage
Trust
Series
2007-C3
Class
AJ
6.109%
due
07/15/44
(~)(Ê)
112
111
Mello
Mortgage
Capital
Acceptance
Series
2021-INV1
Class
A4
2.500%
due
06/25/51
(~)(Ê)(Þ)
5,858
6,034
MHC
Commercial
Mortgage
Trust
Series
2021-MHC
Class
A
0.951%
due
04/15/26
(USD
1
Month
LIBOR
+
0.801%)(Ê)(Þ)
8,107
8,122
Morgan
Stanley
Capital
I
Trust
Series
2007-T25
Class
AJ
5.574%
due
11/12/49
(~)(Ê)
1,341
1,073
Series
2019-NUGS
Class
E
3.744%
due
12/15/36
(USD
1
Month
LIBOR
+
2.244%)(Ê)(Þ)
8,380
8,411
Morgan
Stanley
Mortgage
Capital
Holdings
LLC
Trust
Series
2017-237P
Class
D
3.865%
due
09/13/39
(~)(Ê)(Þ)
5,268
5,480
Series
2017-237P
Class
XA
Interest
Only
STRIP
0.468%
due
09/13/39
(~)(Ê)(Þ)
58,208
1,193
Series
2017-237P
Class
XB
Interest
Only
STRIP
0.175%
due
09/13/39
(~)(Ê)(Þ)
35,996
195
Nomura
Resecuritization
Trust
Series
2014-1R
Class
5A3
0.637%
due
10/26/36
(USD
1
Month
LIBOR
+
0.150%)(Ê)(Þ)
870
868
Series
2015-11R
Class
3A2
3.593%
due
05/26/36
(~)(Ê)(Þ)
1,272
1,295
Oaktown
Re
III,
Ltd.
Series
2019-1A
Class
M1B
2.080%
due
07/25/29
(USD
1
Month
LIBOR
+
1.950%)(Ê)(Þ)
4,826
4,826
Oaktown
Re
VI,
Ltd.
Series
2021-1A
Class
M1B
2.060%
due
10/25/33
(SOFR
30
Day
Average
+
2.050%)(Ê)(Þ)
11,951
12,103
Preston
Ridge
Partners
Mortgage
LLC
Series
2020-5
Class
A1
3.104%
due
11/25/25
(~)(Ê)(Þ)
1,327
1,337
Series
2020-6
Class
A1
2.363%
due
11/25/25
(~)(Ê)(Þ)
2,122
2,130
Series
2021-3
Class
A1
1.867%
due
04/25/26
(~)(Ê)(Þ)
5,364
5,396
Radnor
RE,
Ltd.
Series
2019-1
Class
M2
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.306%
due
02/25/29
(USD
1
Month
LIBOR
+
3.200%)(Ê)(Þ)
4,245
4,305
Series
2020-1
Class
M1A
1.118%
due
02/25/30
(USD
1
Month
LIBOR
+
0.950%)(Ê)(Þ)
2,411
2,410
RCKT
Mortgage
Trust
Series
2021-2
Class
A5
2.500%
due
06/25/51
(~)(Ê)(Þ)
11,093
11,398
Sequoia
Mortgage
Trust
Series
2015-1
Class
A1
3.500%
due
01/25/45
(~)(Ê)(Þ)
881
898
Series
2021-4
Class
A10
2.500%
due
06/25/51
(~)(Ê)(Þ)
10,179
10,460
Structured
Asset
Mortgage
Investments
II
Trust
Series
2004-AR7
Class
A1B
0.594%
due
04/19/35
(USD
1
Month
LIBOR
+
0.400%)(Ê)
234
226
Towd
Point
Asset
Funding
LLC
Series
2021-HE1
Class
A1
0.918%
due
02/25/63
(~)(Ê)(Þ)
914
914
UWM
Mortgage
Trust
Series
2021-1
Class
A4
2.500%
due
06/25/51
(~)(Ê)(Þ)
10,730
11,024
Washington
Mutual
Mortgage
Pass-
Through
Certificates
Trust
Series
2006-AR10
Class
1A1
3.718%
due
09/25/36
(~)(Ê)
Series
2006-AR18
Class
1A1
3.079%
due
01/25/37
(~)(Ê)
2,575
2,568
Wells
Fargo
Mortgage-Backed
Securities
Trust
Series
2020-3
Class
A1
3.000%
due
06/25/50
(~)(Ê)(Þ)
5,739
5,858
647,230
Municipal
Bonds
-
0.0%
American
Municipal
Power,
Inc.
Revenue
Bonds
8.084%
due
02/15/50
230
439
Port
Authority
of
New
York
&
New
Jersey
Revenue
Bonds
4.926%
due
10/01/51
390
557
Regents
of
the
University
of
California
Medical
Center
Pooled
Revenue
Bonds
3.006%
due
05/15/50
830
870
State
of
California
General
Obligation
Unlimited
7.300%
due
10/01/39
45
73
1,939
Non-US
Bonds
-
7.9%
Alba
PLC
Series
2007-1
Class
A3
0.342%
due
03/17/39
(GBP
3
Month
LIBOR
+
0.170%)(Ê)
GBP
3,125
4,197
Andorra
Government
International
Bond
1.250%
due
05/06/31
EUR
12,100
14,876
Aqueduct
European
CLO
DAC
Series
2021-3A
Class
AR
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
178
Strategic
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
0.930%
due
08/15/34
(3
Month
EURIBOR
+
0.930%)(Ê)(Þ)
EUR
5,093
6,039
Australia
Government
International
Bond
Series
162
1.750%
due
06/21/51
AUD
3,258
2,233
Avoca
CLO
XXIII
DAC
0.840%
due
04/15/34
(~)(Ê)(Þ)
EUR
5,932
7,013
Avoca
CLO
XXIV
DAC
0.900%
due
07/15/34
EUR
3,897
4,618
Banque
Centrale
de
Tunisie
Government
International
Bond
Series
REGS
6.750%
due
10/31/23
EUR
8,030
8,417
6.375%
due
07/15/26
EUR
4,581
4,595
Banque
Ouest
Africaine
de
Developpement
Series
REGS
2.750%
due
01/22/33
EUR
3,814
4,765
Carin
CLO
VIII
BV
0.860%
due
10/30/30
EUR
8,400
9,972
Cheshire
PLC
0.949%
due
08/20/45
GBP
12,544
17,554
China
Government
International
Bond
0.625%
due
11/25/35
EUR
732
849
Contego
CLO
DAC
1.000%
due
01/24/34
EUR
6,800
8,062
Crosthwaite
Park
CLO
DAC
0.850%
due
03/18/34
EUR
1,895
2,236
European
Union
0.450%
due
07/04/41
EUR
2,760
3,381
Eurosail
PRIME-UK
PLC
Series
2007-PR1X
Class
A1
0.598%
due
09/13/45
(GBP
3
Month
LIBOR
+
0.400%)(Ê)
GBP
2,203
3,003
Eurosail
-UK
PLC
0.784%
due
09/13/45
GBP
2,769
3,802
GE
Capital
UK
Funding
Co.
6.250%
due
05/05/38
GBP
90
193
Harvest
CLO
XXVI
DAC
Series
2021-26A
Class
A
1.000%
due
01/15/34
(3
Month
EURIBOR
+
0.940%)(Ê)(Þ)
EUR
5,509
6,519
Indonesia
Government
International
Bond
Series
FR87
6.500%
due
02/15/31
IDR
29,863,000
2,094
Italy
Buoni
Poliennali
Del
Tesoro
3.850%
due
09/01/49
(Þ)
EUR
900
1,614
2.150%
due
03/01/72
(Þ)
EUR
2,642
3,214
Japan
2
Year
Government
International
Bond
Series
423
0.005%
due
04/01/23
JPY
5,154,000
47,089
Japan
20
Year
Government
International
Bond
Series
68
2.200%
due
03/20/24
JPY
1,632,600
15,794
Last
Mile
Logistics
Group,
Inc.
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
0.750%
due
08/17/26
EUR
5,658
6,721
Last
Mile
Securities
0.900%
due
08/17/31
EUR
3,720
4,448
Madison
Park
Euro
Funding
IX
DAC
Series
2021-9A
Class
AR
0.880%
due
07/15/35
(3
Month
EURIBOR
+
0.880%)(Ê)(Þ)
EUR
4,412
5,223
Mexican
Bonos
de
Desarrollo
Series
M
30
8.500%
due
11/18/38
MXN
53,370
2,927
Mexico
Government
International
Bond
2.125%
due
10/25/51
EUR
6,116
6,147
4.000%
due
03/15/15
EUR
4,041
5,252
Newgate
Funding
PLC
Series
2006-1
Class
A4
1.086%
due
12/01/50
(GBP
3
Month
LIBOR
+
0.190%)(Ê)
GBP
2,332
3,198
Series
2006-3X
Class
A3B
3.732%
due
12/01/50
(3
Month
EURIBOR
+
0.170%)(Ê)
EUR
3,295
3,829
Paragon
Mortgages
(No.
12)
PLC
0.293%
due
11/15/38
(~)(Ê)
GBP
10,008
13,753
Petroleos
Mexicanos
Series
14-2
7.470%
due
11/12/26
MXN
233,100
10,480
Series
REGS
7.190%
due
09/12/24
MXN
255,242
12,205
Republic
of
South
Africa
Government
International
Bond
Series
2037
8.500%
due
01/31/37
ZAR
169,431
9,881
RMAC
Securities
No.
1
PLC
0.234%
due
06/12/44
GBP
1,734
2,334
Series
2006-NS1X
Class
A2A
1.050%
due
06/12/44
(GBP
3
Month
LIBOR
+
0.150%)(Ê)
GBP
1,443
1,951
Series
2006-NS4X
Class
A3A
0.368%
due
06/12/44
(GBP
3
Month
LIBOR
+
0.170%)(Ê)
GBP
4,017
5,405
Romania
Government
International
Bond
Series
REGS
2.625%
due
12/02/40
EUR
5,711
6,628
2.750%
due
04/14/41
EUR
1,752
2,041
2.875%
due
04/13/42
EUR
2,371
2,774
St
Paul's
CLO
0.920%
due
04/15/33
EUR
3,800
4,505
Taurus
CMBS
1.000%
due
08/17/31
GBP
10,780
14,984
Taurus
UK
Designated
Activity
Co.
Series
2021-UK1A
Class
A
0.901%
due
05/17/31
(3
Month
SONIA
Deposit
Rate
+
0.850%)(Ê)(Þ)
GBP
1,593
2,223
Series
2021-UK1A
Class
B
1.351%
due
05/17/31
(3
Month
SONIA
Deposit
Rate
+
1.300%)(Ê)(Þ)
GBP
1,220
1,700
Towd
Point
Mortgage
Funding
Series
2019-A13X
Class
B
1.251%
due
07/20/45
(3
Month
SONIA
Deposit
Rate
+
1.200%)(Ê)
GBP
5,740
7,983
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
179
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Warwick
Finance
Residential
Mortgages
Number
Three
PLC
0.854%
due
12/21/49
(~)(Ê)(Þ)
GBP
3,618
5,037
323,758
United
States
Government
Treasuries
-
15.5%
United
States
Treasury
Notes
1.625%
due
08/15/22
14,390
14,617
1.625%
due
12/15/22
10,850
11,074
1.375%
due
02/15/23
54,899
55,946
1.750%
due
05/15/23
15,280
15,711
0.125%
due
05/31/23
190
190
1.375%
due
06/30/23
1,925
1,969
1.250%
due
07/31/23
8,245
8,420
2.875%
due
10/31/23
8,768
9,288
2.750%
due
02/15/24
32,230
34,254
0.250%
due
03/15/24
17,952
17,938
2.125%
due
03/31/24
35,924
37,668
1.250%
due
08/31/24
19,012
19,524
2.000%
due
02/15/25
14,923
15,727
2.000%
due
08/15/25
7,933
8,391
3.000%
due
10/31/25
2,795
3,078
2.250%
due
11/15/25
10,180
10,896
1.625%
due
02/15/26
13,372
13,962
2.250%
due
03/31/26
7,720
8,288
1.625%
due
05/15/26
12,000
12,539
0.750%
due
05/31/26
2,230
2,238
0.875%
due
06/30/26
1,530
1,544
1.500%
due
08/15/26
25,579
26,578
0.625%
due
03/31/27
16,692
16,534
2.375%
due
05/15/27
8,460
9,205
0.500%
due
05/31/27
20,480
20,086
2.250%
due
08/15/27
24,746
26,777
2.750%
due
02/15/28
10,833
12,084
1.250%
due
03/31/28
9,836
10,019
1.250%
due
04/30/28
400
407
2.875%
due
05/15/28
2,800
3,152
1.250%
due
06/30/28
70
71
3.125%
due
11/15/28
10,335
11,859
2.375%
due
05/15/29
9,437
10,349
0.625%
due
05/15/30
17,573
16,773
6.250%
due
05/15/30
10,203
14,596
0.625%
due
08/15/30
2,025
1,927
5.375%
due
02/15/31
15,035
20,762
1.625%
due
05/15/31
1,910
1,980
1.125%
due
05/15/40
15,105
13,496
1.125%
due
08/15/40
15,121
13,464
1.375%
due
11/15/40
11,574
10,751
2.250%
due
05/15/41
1,260
1,354
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.750%
due
11/15/42
6,322
7,345
2.875%
due
05/15/43
6,672
7,911
2.875%
due
08/15/45
5,710
6,821
3.000%
due
05/15/47
4,903
6,032
2.750%
due
11/15/47
7,605
8,964
3.000%
due
02/15/48
5,675
7,001
3.000%
due
02/15/49
6,293
7,800
2.875%
due
05/15/49
5,879
7,132
1.250%
due
05/15/50
16,755
14,262
1.375%
due
08/15/50
9,075
7,971
1.625%
due
11/15/50
7,326
6,849
1.875%
due
02/15/51
2,260
2,244
2.375%
due
05/15/51
1,910
2,119
637,937
Total
Long-Term
Investments
(cost
$3,347,870
)
3,425,072
Common
Stocks
-
0.0%
Technology
-
0.0%
Sungard
Availability
Services
Capital,
LP(Æ)(Š)
9,557
Total
Common
Stocks
(cost
$239)
Short-Term
Investments
-
14.5%
Air
Lease
Corp.
Series
3Y
3.500%
due
01/15/22
300
304
Apache
Corp.
3.250%
due
04/15/22
79
80
Aviation
Capital
Group
LLC
2.875%
due
01/20/22
(Þ)
400
403
FirstEnergy
Corp.
Series
A
2.850%
due
07/15/22
1,142
1,156
Ford
Motor
Credit
Co.
LLC
Series
FXD
3.813%
due
10/12/21
600
603
Fresenius
Medical
Care
US
Finance
II,
Inc.
5.875%
due
01/31/22
(Þ)
2,258
2,316
Gazprom
OAO
Via
Gaz
Capital
SA
4.950%
due
07/19/22
(Þ)
2,847
2,952
Intesa
Sanpaolo
SpA
3.125%
due
07/14/22
(Þ)
3,070
3,145
NBK
SPC,
Ltd.
2.750%
due
05/30/22
(Þ)
2,179
2,213
Newell
Brands,
Inc.
4.000%
due
06/15/22
318
324
Pacific
Gas
and
Electric
Co.
1.750%
due
06/16/22
1,410
1,408
Siemens
Financieringsmaatschappij
NV
Class
C
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
180
Strategic
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.900%
due
05/27/22
(Þ)
1,245
1,272
Statoil
ASA
3.150%
due
01/23/22
2,045
2,073
Suncor
Energy
Ventures
Corp.
4.500%
due
04/01/22
(Þ)
90
92
Teva
Pharmaceutical
Finance
Co.
BV
Series
2
3.650%
due
11/10/21
60
60
U.S.
Cash
Management
Fund(@)
397,398,972(∞)
397,320
UniCredit
SpA
6.572%
due
01/14/22
(Þ)
3,210
3,292
United
Airlines
Pass-Through
Trust
Series
071A
6.636%
due
07/02/22
379
392
United
States
Treasury
Notes
2.375%
due
03/15/22
129,832
131,693
0.125%
due
05/31/22
12,020
12,025
1.875%
due
05/31/22
4,422
4,487
2.125%
due
06/30/22
30,691
31,263
Total
Short-Term
Investments
(cost
$598,684)
598,873
Total
Investments
-
97.6%
(identified
cost
$3,946,793)
4,023,945
Other
Assets
and
Liabilities,
Net
-
2.4%
96,926
Net
Assets
-
100.0%
4,120,871
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
181
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
25.6%
ABN
AMRO
Bank
NV
06/21/21
3,745,000
111.99
4,194
4,211
Abu
Dhabi
Government
International
Bond
04/08/20
1,380,000
100.72
1,390
1,606
Abu
Dhabi
Government
International
Bond
04/12/21
460,000
95.92
441
448
Abu
Dhabi
National
Energy
Co.
PJSC
04/15/21
390,000
111.53
435
437
Adani
Ports
&
Special
Economic
Zone,
Ltd.
07/09/20
3,264,000
97.72
3,190
3,402
AES
Panama
Generation
Holdings
SRL
04/26/21
3,981,000
103.60
4,124
4,119
African
Export-Import
Bank
(The)
05/10/21
5,740,000
100.00
5,740
5,849
Air
Liquide
Finance
SA
07/13/21
3,973,000
103.61
4,116
4,117
Alimentation
Couche-Tard,
Inc.
09/19/17
2,912,000
102.06
2,972
3,239
Alrosa
Finance
SA
07/09/21
1,500,000
108.82
1,632
1,618
American
Airlines
Group,
Inc.
04/12/21
570,000
104.41
595
597
American
Airlines
Group,
Inc.
04/12/21
500,000
107.04
535
539
Americo
Life,
Inc.
04/12/21
430,000
99.73
429
444
AmFam
Holdings,
Inc.
04/09/21
820,000
103.63
850
904
AmFam
Holdings,
Inc.
04/12/21
940,000
100.31
943
980
AMSR
Trust
06/23/21
4,750,000
100.00
4,750
4,790
Amur
Equipment
Finance
Receivables
IX
LLC
04/14/21
2,645,000
99.99
2,645
2,655
Anglo
American
Capital
PLC
02/08/19
220,000
99.90
219
255
Anglo
American
Capital
PLC
04/12/21
3,257,000
107.49
3,501
3,523
Anglo
American
Capital
PLC
04/12/21
930,000
112.99
1,051
1,072
Aqueduct
European
CLO
DAC
06/15/21
EUR
5,093,000
121.27
6,176
6,039
Arbor
Realty
CLO,
Ltd.
05/26/21
4,043,000
100.00
4,043
4,046
AT&T,
Inc.
06/13/16
150,000
95.72
144
155
AT&T,
Inc.
04/05/21
1,010,000
95.50
964
1,076
AT&T,
Inc.
07/15/21
120,000
100.04
120
121
Australia
&
New
Zealand
Banking
Group,
Ltd.
06/18/21
4,391,000
97.21
4,268
4,338
Aviation
Capital
Group
LLC
08/05/20
400,000
99.59
398
403
Aviation
Capital
Group
LLC
04/13/21
610,000
111.70
681
691
Avoca
CLO
XXIII
DAC
04/23/21
EUR
5,932,000
121.00
7,177
7,013
Avolon
Holdings
Funding,
Ltd.
04/12/21
390,000
100.87
394
404
Avolon
Holdings
Funding,
Ltd.
04/12/21
480,000
104.64
502
513
Avolon
Holdings
Funding,
Ltd.
04/12/21
1,680,000
105.54
1,773
1,837
Banco
de
Bogota
SA
09/22/17
2,846,000
103.43
2,944
2,960
Banco
Inbursa
SA
Institucion
de
Banca
Multiple
07/13/21
3,856,000
107.17
4,132
4,116
Banco
Mercantil
del
Norte
SA
04/09/21
480,000
117.44
564
579
Banco
Santander
Mexico
SA
Institucion
de
Banca
Multiple
Grupo
Financiero
Santander
05/03/21
4,236,000
103.79
4,397
4,406
Bank
of
China,
Ltd.
04/13/21
3,100,000
110.80
3,435
3,455
Barclays
Bank
PLC
04/08/21
256,000
138.53
355
347
Barings
CLO,
Ltd.
05/04/21
4,863,754
100.07
4,867
4,866
Bayer
US
Finance
II
LLC
07/15/21
3,861,000
106.87
4,126
4,130
Bayer
US
Finance
LLC
09/05/18
1,891,000
100.89
1,908
2,032
BDS
07/22/21
4,100,000
100.00
4,100
4,103
BDS,
Ltd.
05/14/21
6,121,000
100.00
6,121
6,123
Bellemeade
Re,
Ltd.
08/28/20
3,760,669
100.00
3,761
3,801
Bellemeade
Re,
Ltd.
12/17/20
3,510,000
100.06
3,512
3,552
Bellemeade
Re,
Ltd.
04/23/21
3,293,000
101.03
3,327
3,325
Bellemeade
Re,
Ltd.
04/23/21
6,926,000
101.09
7,001
7,018
Bellemeade
Re,
Ltd.
06/11/21
4,493,000
100.00
4,493
4,493
Bellemeade
Re,
Ltd.
06/11/21
2,279,000
100.00
2,279
2,290
Bellemeade
Re,
Ltd.
06/11/21
10,243,000
100.00
10,243
10,262
Benchmark
Mortgage
Trust
03/24/21
8,722,000
101.25
8,831
9,128
Bermuda
Government
International
Bond
04/12/21
1,390,000
98.45
1,368
1,394
Berry
Global,
Inc.
07/15/21
4,119,000
100.12
4,124
4,124
Berry
Petroleum
Corp.
04/13/21
1,960,000
98.51
1,931
1,931
Bharti
Airtel
International
Netherlands
BV
09/26/19
2,880,000
102.69
2,958
3,045
Blackbird
Capital
Aircraft
Lease
Securitization,
Ltd.
11/04/16
4,536,875
99.14
4,498
4,570
BlueMountain
CLO,
Ltd.
01/18/18
2,333,318
100.59
2,347
2,335
BNP
Paribas
SA
08/07/18
1,490,000
99.59
1,484
1,728
BNP
Paribas
SA
01/03/19
540,000
99.98
540
589
BNP
Paribas
SA
01/08/19
320,000
96.85
310
345
BNP
Paribas
SA
06/02/20
1,620,000
101.77
1,649
1,676
BNP
Paribas
SA
01/05/21
3,335,000
107.48
3,584
3,580
BNP
Paribas
SA
04/09/21
1,220,000
91.62
1,118
1,183
BNP
Paribas
SA
06/23/21
830,000
100.00
830
836
BOC
Aviation
USA
Corp.
05/06/21
780,000
100.18
781
787
BX
Commercial
Mortgage
Trust
07/15/21
5,387,000
100.25
5,400
5,400
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
182
Strategic
Bond
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
CAMB
Commercial
Mortgage
Trust
01/25/19
3,491,000
100.00
3,491
3,503
Cameron
LNG
LLC
04/09/21
250,000
107.95
270
283
Carlyle
Holdings
II
Finance
LLC
07/07/20
2,589,000
126.79
3,283
3,537
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp.
04/14/20
50,000
101.79
51
53
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp.
04/12/21
240,000
104.99
252
251
Cedar
Funding,
Ltd.
02/26/21
5,920,000
100.00
5,920
5,926
Celulosa
Arauco
y
Constitucion
SA
01/06/20
1,500,000
100.72
1,511
1,755
Chase
Auto
Credit
Liked
Notes
03/16/21
17,592,703
100.01
17,595
17,614
CHS/Community
Health
Systems,
Inc.
04/12/21
510,000
103.88
530
537
Citigroup
Mortgage
Loan
Trust,
Inc.
08/03/15
628,056
90.86
571
583
CLI
Funding
VI
LLC
09/29/20
1,290,122
100.00
1,290
1,308
CLI
Funding
VI
LLC
10/02/20
5,277,621
99.98
5,277
5,336
Comision
Federal
de
Electricidad
04/09/21
280,000
94.72
265
273
Comision
Federal
de
Electricidad
04/12/21
360,000
96.83
349
356
Comision
Federal
de
Electricidad
04/13/21
200,000
108.89
218
217
Commercial
Mortgage
Trust
06/05/19
4,040,000
100.00
4,040
3,858
Commonwealth
Bank
of
Australia
04/09/21
540,000
105.34
569
606
Commonwealth
Bank
of
Australia
04/09/21
610,000
98.41
600
641
Commonwealth
Bank
of
Australia
04/12/21
530,000
97.96
519
538
Commonwealth
Bank
of
Australia
06/18/21
3,587,000
118.46
4,249
4,373
Comstock
Resources,
Inc.
06/14/21
1,370,000
100.45
1,376
1,378
ConocoPhillips
Co.
08/22/18
390,000
100.11
390
444
CORE
Mortgage
Trust
03/01/19
5,704,000
100.00
5,704
5,697
Covey
Park
Energy
LLC
04/13/21
670,000
103.85
696
693
Credit
Agricole
SA
01/05/21
3,759,000
107.07
4,025
4,017
Credit
Agricole
SA
04/12/21
210,000
122.13
256
255
Credit
Agricole
SA
06/17/21
4,293,000
98.57
4,232
4,259
Credit
Suisse
Group
AG
09/04/19
250,000
100.00
250
261
Credit
Suisse
Group
AG
04/12/21
2,280,000
107.45
2,450
2,468
Credit
Suisse
Group
AG
04/12/21
2,380,000
108.51
2,583
2,597
Credit
Suisse
Group
AG
04/14/21
2,280,000
108.56
2,475
2,533
Credit
Suisse
Group
AG
05/10/21
1,850,000
100.00
1,850
1,932
Credit
Suisse
Mortgage
Capital
Certificates
07/10/20
2,250,000
96.30
2,167
2,262
Credit
Suisse
Mortgage
Trust
05/28/19
5,766,000
100.00
5,766
5,784
DAE
Funding
LLC
06/15/21
900,000
99.45
895
899
Danone
SA
04/22/19
2,975,000
99.97
2,974
3,100
Danske
Bank
A/S
01/11/19
3,960,000
109.05
4,319
4,384
Danske
Bank
A/S
09/17/19
230,000
101.78
234
245
Danske
Bank
A/S
06/21/21
4,263,000
99.93
4,260
4,301
DBGS
Mortgage
Trust
04/03/19
4,612,000
101.28
4,671
4,886
DCP
Midstream
Operating,
LP
04/02/18
288,000
109.48
315
355
DCP
Midstream
Operating,
LP
12/11/19
200,000
108.18
217
240
Delta
Air
Lines,
Inc.
05/07/20
1,190,000
98.29
1,170
1,400
Delta
Air
Lines,
Inc.
09/16/20
650,000
103.73
674
699
Delta
Air
Lines,
Inc.
09/16/20
750,000
106.19
796
838
Deutsche
Telekom
International
Finance
BV
01/05/21
703,000
103.92
731
731
Deutsche
Telekom
International
Finance
BV
04/12/21
3,196,000
109.71
3,506
3,540
Devon
Energy
Corp.
06/07/21
91,000
106.74
97
97
Devon
Energy
Corp.
06/07/21
790,000
108.66
859
862
Devon
Energy
Corp.
06/07/21
519,000
109.95
571
573
Dryden
41
Senior
Loan
Fund
05/04/21
2,500,000
100.12
2,503
2,503
Dryden
49
Senior
Loan
Fund
03/29/21
6,879,000
100.00
6,879
6,881
Dryden
XXVIII
Senior
Loan
Fund
08/03/17
3,028,000
100.00
3,028
3,028
Eagle
Re,
Ltd.
01/27/20
2,170,000
100.00
2,170
2,165
Eagle
Re,
Ltd.
12/17/20
2,609,000
100.25
2,615
2,625
Eagle
Re,
Ltd.
04/09/21
4,598,000
100.00
4,598
4,655
ECAF,
Ltd.
08/09/18
626,134
99.28
622
606
EDP
Finance
BV
04/12/21
260,000
97.34
253
259
Electricite
de
France
SA
03/02/21
129,000
107.47
139
138
Electricite
de
France
SA
04/09/21
802,000
105.53
846
842
Enel
Finance
International
NV
01/05/18
2,929,000
100.56
2,945
3,259
Eni
SpA
04/26/21
1,500,000
125.84
1,888
1,977
EnLink
Midstream
LLC
04/13/21
1,210,000
100.15
1,212
1,280
EQT
Corp.
05/10/21
130,000
100.00
130
134
EQT
Corp.
05/10/21
110,000
100.00
110
117
Falabella
SA
07/08/21
3,955,000
104.22
4,122
4,123
Fidelity
&
Guaranty
Life
Holdings,
Inc.
04/16/21
450,000
113.98
513
518
First
Quantum
Minerals,
Ltd.
04/12/21
300,000
101.70
305
306
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
183
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
First
Quantum
Minerals,
Ltd.
04/12/21
220,000
103.75
228
228
First
Quantum
Minerals,
Ltd.
04/13/21
2,180,000
109.00
2,377
2,362
FirstKey
Homes
Trust
07/31/20
3,208,284
99.99
3,208
3,233
FirstKey
Homes
Trust
10/02/20
11,892,694
100.79
11,987
11,936
FNA
VI
LLC
01/22/21
2,530,946
99.98
2,531
2,531
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
09/30/20
243,937
101.13
246
245
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
10/13/20
249,739
100.00
250
250
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
05/24/21
10,439,000
100.05
10,444
10,429
Fresenius
Medical
Care
US
Finance
II,
Inc.
09/19/17
2,258,000
101.76
2,298
2,316
Fresenius
Medical
Care
US
Finance
III,
Inc.
06/18/21
4,196,000
101.78
4,271
4,376
Fresnillo
PLC
04/09/21
930,000
98.41
915
971
Gazprom
OAO
Via
Gaz
Capital
SA
03/06/19
2,847,000
101.55
2,891
2,952
Genting
New
York
LLC
04/13/21
1,780,000
100.34
1,786
1,790
Glencore
Funding
LLC
02/07/17
240,000
100.87
242
255
Glencore
Funding
LLC
03/21/17
565,000
98.82
558
630
Glencore
Funding
LLC
01/16/19
110,000
94.38
104
122
Glencore
Funding
LLC
03/05/19
2,430,000
103.42
2,513
2,619
Glencore
Funding
LLC
04/13/21
760,000
100.44
764
772
Goldentree
Loan
Management
US
CLO
7,
Ltd.
04/01/21
4,156,000
100.00
4,156
4,158
Greenwood
Park
CLO,
Ltd.
02/28/18
3,133,000
100.11
3,137
3,137
GSAA
Home
Equity
Trust
10/21/15
770,104
88.42
681
808
Harvest
CLO
XXVI
DAC
06/24/21
EUR
5,509,000
119.34
6,574
6,519
HGI
CRE
CLO,
Ltd.
05/06/21
8,602,000
100.03
8,605
8,607
Highlands
Holdings
Bond
Issuer,
Ltd.
04/12/21
1,050,000
106.80
1,121
1,112
Hilton
Domestic
Operating
Co.,
Inc.
04/16/20
430,000
100.34
431
450
Hilton
Domestic
Operating
Co.,
Inc.
04/16/20
310,000
104.07
323
333
Hilton
USA
Trust
11/22/16
9,138,000
95.58
8,734
9,924
Hilton
USA
Trust
05/26/17
1,499,000
99.73
1,495
1,505
HMH
Trust
06/09/17
7,770,000
99.98
7,769
7,576
HOM
RE,
Ltd.
01/28/21
2,345,000
100.00
2,345
2,338
HOM
RE,
Ltd.
01/28/21
3,255,000
100.00
3,255
3,242
Home
RE,
Ltd.
07/23/21
2,576,000
100.00
2,576
2,576
Home
RE,
Ltd.
07/23/21
1,227,000
100.00
1,227
1,227
Hospitality
Mortgage
Trust
05/16/19
5,530,409
100.00
5,530
5,535
Hospitality
Mortgage
Trust
12/10/19
3,760,157
100.11
3,765
3,758
ICICI
Bank,
Ltd.
11/03/20
3,094,000
104.39
3,230
3,358
Intesa
Sanpaolo
SpA
06/13/16
1,340,000
97.48
1,306
1,454
Intesa
Sanpaolo
SpA
07/10/17
3,070,000
101.18
3,106
3,145
Intesa
Sanpaolo
SpA
11/03/17
400,000
100.91
404
452
Intesa
Sanpaolo
SpA
01/05/18
2,323,000
100.17
2,331
2,413
Intesa
Sanpaolo
SpA
08/02/18
1,171,000
90.09
1,055
1,279
Intesa
Sanpaolo
SpA
04/09/21
700,000
114.90
804
836
Intesa
Sanpaolo
SpA
05/24/21
420,000
100.00
420
432
Intesa
Sanpaolo
SpA
05/24/21
1,190,000
100.00
1,190
1,237
Inversiones
CMPC
SA
07/08/20
3,747,000
104.94
3,932
3,906
Inversiones
CMPC
SA
07/08/20
3,230,000
108.55
3,507
3,525
Invitation
Homes
Trust
09/09/20
4,982,132
99.64
4,964
4,990
Irwin
Home
Equity
Loan
Trust
06/30/15
687,945
101.79
700
703
Italy
Buoni
Poliennali
Del
Tesoro
04/07/21
EUR
2,642,000
117.37
3,101
3,214
Italy
Buoni
Poliennali
Del
Tesoro
05/28/21
EUR
900,000
174.81
1,573
1,614
JPMorgan
Chase
Bank
07/13/21
5,750,000
100.00
5,750
5,755
JPMorgan
Mortgage
Trust
07/08/19
1,219,332
99.75
1,216
1,233
JPMorgan
Mortgage
Trust
06/05/20
309,118
103.07
319
310
JPMorgan
Mortgage
Trust
06/05/20
478,755
103.67
496
484
JPMorgan
Mortgage
Trust
03/30/21
1,013,004
102.17
1,035
1,030
JPMorgan
Mortgage
Trust
04/26/21
18,869,753
102.81
19,400
19,373
JPMorgan
Mortgage
Trust
05/24/21
18,571,168
102.90
19,109
19,081
JPMorgan
Mortgage
Trust
06/24/21
16,875,533
102.62
17,318
17,320
JPMorgan
Wealth
Mangement
07/30/20
2,616,429
103.72
2,714
2,679
KazMunayGas
National
Co.
JSC
04/17/18
250,000
99.04
248
328
KKR
Group
Finance
Co.
II
LLC
06/14/16
50,000
104.28
52
69
KKR
Group
Finance
Co.
III
LLC
04/16/21
800,000
125.84
1,007
1,062
Klabin
Austria
GmbH
04/12/21
870,000
95.63
832
859
Kraft
Heinz
Foods
Co.
06/15/20
428,000
134.16
574
638
LCM
XXV,
Ltd.
07/10/17
6,782,000
100.03
6,784
6,783
Lithia
Motors,
Inc.
06/04/21
760,000
103.41
786
800
Lithia
Motors,
Inc.
06/07/21
430,000
105.51
454
458
Lloyds
Banking
Group
PLC
03/16/20
225,000
106.52
240
311
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
184
Strategic
Bond
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
LPL
Holdings,
Inc.
05/10/21
310,000
100.71
312
317
Lukoil
International
Finance
BV
09/19/17
2,827,000
102.40
2,895
2,993
Madison
Park
Euro
Funding
IX
DAC
06/09/21
EUR
4,412,000
121.77
5,373
5,223
Madison
Park
Funding
IV,
Ltd.
09/05/17
4,180,000
100.00
4,180
4,184
Madison
Park
Funding,
Ltd.
01/15/21
3,863,000
100.00
3,863
3,863
Marks
&
Spencer
PLC
09/25/19
58,000
113.89
66
69
Mars,
Inc.
04/09/21
870,000
93.43
813
850
Massachusetts
Mutual
Life
Insurance
Co.
04/09/21
790,000
101.01
798
846
MEG
Energy
Corp.
01/19/21
430,000
101.89
438
444
MEG
Energy
Corp.
04/12/21
500,000
105.36
527
525
MEG
Energy
Corp.
04/29/21
360,000
103.35
372
371
Meituan
01/05/21
3,618,000
101.79
3,683
3,514
Melco
Resorts
Finance,
Ltd.
04/12/21
820,000
105.57
866
846
Mello
Mortgage
Capital
Acceptance
06/14/21
5,857,949
102.66
6,014
6,034
MHC
Commercial
Mortgage
Trust
04/06/21
8,107,000
99.76
8,088
8,122
Microchip
Technology,
Inc.
04/14/21
1,620,000
99.99
1,620
1,623
Microchip
Technology,
Inc.
05/18/21
640,000
100.00
640
639
Midwest
Connector
Capital
Co.
LLC
12/04/19
2,885,000
103.13
2,975
3,023
Mileage
Plus
Holdings
LLC
/
Mileage
Plus
Intellectual
Property
Assets,
Ltd.
06/25/20
950,000
103.76
986
1,034
Mill
City
Mortgage
Trust
04/28/21
5,865,000
106.03
6,219
6,100
Mondelez
International,
Inc.
09/04/20
403,000
101.91
411
411
Mondelez
International,
Inc.
01/04/21
1,696,000
104.98
1,780
1,774
Morgan
Stanley
Capital
I
Trust
12/12/19
8,380,000
99.47
8,335
8,411
Morgan
Stanley
Mortgage
Capital
Holdings
LLC
Trust
08/11/17
35,996,000
0.54
196
195
Morgan
Stanley
Mortgage
Capital
Holdings
LLC
Trust
08/11/17
58,208,000
2.05
1,192
1,193
Morgan
Stanley
Mortgage
Capital
Holdings
LLC
Trust
08/11/17
5,268,000
98.70
5,199
5,480
Motiva
Enterprises
LLC
12/02/20
615,000
118.70
730
803
National
Bank
of
Canada
10/05/20
1,697,000
101.96
1,730
1,734
Navient
Private
Education
Refi
Loan
Trust
11/03/20
2,732,441
99.99
2,732
2,756
Navient
Private
Education
Refi
Loan
Trust
01/19/21
11,796,425
99.86
11,780
11,790
Navient
Private
Education
Refi
Loan
Trust
03/16/21
9,531,533
100.08
9,539
9,543
Navient
Private
Education
Refi
Loan
Trust
05/18/21
8,830,630
99.99
8,830
8,864
Navient
Student
Loan
Trust
07/20/20
2,095,178
99.99
2,095
2,108
Navient
Student
Loan
Trust
07/23/20
10,318,860
101.04
10,426
10,502
NBK
SPC,
Ltd.
10/02/20
2,179,000
101.44
2,210
2,213
Nestle
Holdings,
Inc.
01/06/20
2,895,000
102.89
2,979
3,075
Netflix,
Inc.
04/12/21
380,000
115.54
439
458
Netflix,
Inc.
04/12/21
190,000
118.90
226
234
New
York
Life
Insurance
Co.
04/09/21
630,000
107.92
680
730
New
York
Life
Insurance
Co.
04/09/21
180,000
121.00
218
231
NGPL
PipeCo
LLC
09/26/19
2,298,000
128.14
2,945
3,356
Nippon
Life
Insurance
Co.
04/09/21
890,000
96.14
856
881
Nissan
Motor
Acceptance
Corp.
09/10/20
740,000
100.00
740
822
Nissan
Motor
Acceptance
Corp.
09/10/20
1,040,000
100.00
1,040
1,115
Nissan
Motor
Acceptance
Corp.
09/10/20
2,190,000
103.31
2,262
2,283
Nissan
Motor
Acceptance
Corp.
04/12/21
770,000
111.14
856
879
Nomura
Resecuritization
Trust
11/07/14
869,670
86.95
756
868
Nomura
Resecuritization
Trust
10/23/15
1,272,000
93.95
1,195
1,295
Nordea
Bank
Abp
04/16/21
3,614,000
106.52
3,850
3,856
Northern
Natural
Gas
Co.
08/02/18
2,615,000
108.84
2,846
3,199
Northern
Oil
and
Gas,
Inc.
04/12/21
680,000
100.15
681
712
Northwestern
Mutual
Life
Insurance
Co.
(The)
04/09/21
2,150,000
101.96
2,192
2,378
Northwestern
Mutual
Life
Insurance
Co.
(The)
04/09/21
280,000
104.04
291
316
NRG
Energy,
Inc.
04/12/21
1,490,000
100.01
1,490
1,523
NTT
Finance
Corp.
04/12/21
890,000
99.76
888
917
Nuveen
LLC
03/11/19
400,000
103.52
414
466
NXP
BV
/
NXP
Funding
LLC
04/12/21
300,000
105.94
318
332
Oaktown
Re
III,
Ltd.
01/26/21
4,826,000
100.48
4,849
4,826
Oaktown
Re
VI,
Ltd.
04/14/21
11,951,000
100.06
11,958
12,103
OCP
CLO,
Ltd.
03/23/21
2,181,340
100.09
2,183
2,182
OCP
SA
06/10/21
590,000
100.00
590
598
OCP
SA
06/11/21
430,000
100.43
432
438
Octane
Receivables
Trust
04/27/21
7,789,822
99.99
7,789
7,799
OneMain
Financial
Issuance
Trust
08/13/20
19,725,000
101.65
20,050
20,236
OneMain
Financial
Issuance
Trust
10/22/20
5,379,000
104.91
5,643
5,600
OneMain
Financial
Issuance
Trust
11/30/20
2,282,000
107.80
2,460
2,475
OneMain
Financial
Issuance
Trust
05/17/21
19,801,000
100.17
19,834
20,003
Paraguay
Government
International
Bond
04/09/21
790,000
114.02
901
929
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
185
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Park
Aerospace
Holdings,
Ltd.
02/25/19
68,000
100.77
69
71
Parsley
Energy
LLC
09/25/20
50,000
92.99
46
52
Petroleos
del
Peru
SA
04/09/21
820,000
104.01
853
847
POSCO
01/04/21
3,577,000
102.36
3,661
3,658
Preston
Ridge
Partners
Mortgage
LLC
02/14/20
8,208,248
99.90
8,200
8,247
Preston
Ridge
Partners
Mortgage
LLC
10/29/20
1,326,899
100.00
1,327
1,337
Preston
Ridge
Partners
Mortgage
LLC
12/01/20
2,121,867
100.00
2,122
2,130
Preston
Ridge
Partners
Mortgage
LLC
04/28/21
5,364,158
100.00
5,364
5,396
Provincia
de
Buenos
Aires
02/08/17
400,000
99.02
396
192
Provincia
de
Buenos
Aires
02/08/17
450,000
99.88
450
214
Provincia
de
Cordoba
04/12/21
750,000
60.63
455
510
Provincia
de
Cordoba
04/12/21
570,000
69.50
396
429
Qatar
Government
International
Bond
03/06/19
1,000,000
100.00
1,000
1,301
Qatar
Government
International
Bond
04/07/20
410,000
100.00
410
506
Qatar
Petroleum
06/30/21
2,000,000
98.94
1,979
2,024
Qatar
Petroleum
06/30/21
490,000
99.91
489
491
Radnor
RE,
Ltd.
01/21/20
2,411,000
100.00
2,411
2,410
Radnor
RE,
Ltd.
04/26/21
4,245,000
101.03
4,289
4,305
Radnor
RE,
Ltd.
06/18/21
7,980,000
100.00
7,980
7,984
Range
Resources
Corp.
04/12/21
540,000
107.35
580
598
RCKT
Mortgage
Trust
06/22/21
11,093,283
102.09
11,325
11,398
Reliance
Industries,
Ltd.
10/01/19
2,934,000
104.45
3,065
3,207
RESIMAC
Premier
09/23/20
2,815,116
100.00
2,815
2,828
Resimac
,
Ltd.
03/04/21
5,414,927
100.00
5,415
5,418
Roche
Holdings,
Inc.
07/07/20
950,000
105.66
1,004
1,006
Rockfield
Park
Clo
Designated
Activity
Co.
06/30/21
EUR
5,467,000
118.58
6,483
6,464
Rockies
Express
Pipeline
LLC
05/06/20
300,000
91.62
275
305
Rockies
Express
Pipeline
LLC
03/23/21
98,000
100.67
98
100
Rockies
Express
Pipeline
LLC
03/23/21
289,000
103.72
300
298
Royal
Caribbean
Cruises,
Ltd.
09/09/20
539,000
112.79
608
617
Sabal
Trail
Transmission
LLC
10/05/20
845,000
117.33
991
1,065
SABIC
Capital
II
BV
10/01/19
2,930,000
102.91
3,015
3,131
Santander
UK
PLC
10/02/18
2,653,000
109.46
2,904
3,479
Santander
UK
PLC
09/27/19
988,000
103.60
1,023
1,074
Saudi
Arabian
Oil
Co.
04/07/20
3,093,000
99.03
3,063
3,248
Schneider
Electric
SE
04/22/19
3,266,000
101.73
3,322
3,362
Sealed
Air
Corp.
04/22/20
300,000
110.97
333
384
Sequoia
Mortgage
Trust
10/21/16
880,610
102.85
906
898
Sequoia
Mortgage
Trust
05/06/21
10,179,286
102.77
10,461
10,460
Shackleton
CLO,
Ltd.
04/04/18
5,390,000
100.00
5,390
5,371
Siemens
Financieringsmaatschappij
NV
04/22/19
1,245,000
100.03
1,246
1,272
Siemens
Financieringsmaatschappij
NV
04/12/21
582,000
100.13
583
583
SK
Hynix,
Inc.
02/03/21
3,670,000
100.28
3,680
3,654
Sky,
Ltd.
01/04/21
3,311,000
109.88
3,638
3,621
Societe
Generale
SA
04/07/20
3,653,000
102.43
3,742
3,969
SoFi
Professional
Loan
Program
Trust
07/20/20
1,777,641
102.11
1,815
1,806
Solar
Star
Funding
LLC
04/07/20
2,497,100
111.74
2,790
2,874
Sound
Point
CLO,
Ltd.
03/27/18
6,000,000
100.00
6,000
6,005
SpringCastle
America
Funding
LLC
09/16/20
15,912,846
100.39
15,975
16,136
Standard
Chartered
PLC
09/26/19
2,944,000
101.13
2,977
3,063
Standard
Chartered
PLC
04/02/20
250,000
104.51
261
344
Standard
Chartered
PLC
04/16/21
400,000
100.45
402
402
Suncor
Energy
Ventures
Corp.
03/01/19
90,000
100.28
90
92
Sura
Asset
Management
SA
07/08/21
3,803,000
107.94
4,105
4,088
Suzano
Austria
GmbH
04/09/21
420,000
130.48
548
561
SYNNEX
Corp.
07/29/21
2,050,000
99.93
2,049
2,050
TAL
Advantage
VII
LLC
09/09/20
8,084,750
100.15
8,097
8,197
Targa
Resources
Partners,
LP
/
Targa
Resources
Partners
Finance
Corp.
08/11/20
270,000
100.69
272
292
Targa
Resources
Partners,
LP
/
Targa
Resources
Partners
Finance
Corp.
01/19/21
1,520,000
98.08
1,491
1,571
Taurus
UK
Designated
Activity
Co.
02/22/21
GBP
1,593,000
140.62
2,240
2,223
Taurus
UK
Designated
Activity
Co.
02/22/21
GBP
1,220,000
140.62
1,716
1,700
Teachers
Insurance
&
Annuity
Association
of
America
11/09/15
200,000
97.41
195
210
Teachers
Insurance
&
Annuity
Association
of
America
06/14/16
400,000
111.27
445
524
Tencent
Holdings,
Ltd.
04/01/19
2,978,000
100.43
2,990
3,071
Tencent
Holdings,
Ltd.
04/15/21
680,000
99.97
680
735
Tennessee
Gas
Pipeline
Co.
LLC
02/19/20
1,780,000
101.52
1,807
1,875
Texas
Eastern
Transmission,
LP
09/03/20
1,000,000
109.69
1,097
1,147
Texas
Eastern
Transmission,
LP
09/08/20
290,000
101.50
294
296
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
186
Strategic
Bond
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Textainer
Marine
Containers
VII,
Ltd.
08/04/20
5,693,374
101.92
5,803
5,806
Textainer
Marine
Containers
VII,
Ltd.
09/08/20
4,604,344
99.99
4,604
4,680
Towd
Point
Asset
Funding
LLC
02/22/21
914,141
100.00
914
914
Towd
Point
Mortgage
Trust
08/17/20
8,414,963
101.80
8,567
8,518
Towd
Point
Mortgage
Trust
09/09/20
3,362,000
103.78
3,489
3,397
Towd
Point
Mortgage
Trust
03/23/21
3,280,000
107.78
3,535
3,616
Towd
Point
Mortgage
Trust
04/21/21
5,710,000
104.07
5,942
5,856
UBS
AG
04/09/21
750,000
125.46
941
1,008
UBS
Group
AG
01/28/19
2,310,000
104.33
2,410
2,538
UniCredit
SpA
01/08/19
3,210,000
101.72
3,265
3,292
UniCredit
SpA
04/22/20
781,000
112.06
897
949
Union
Pacific
Corp.
06/05/18
950,000
100.45
954
1,012
United
Airlines,
Inc.
04/14/21
140,000
101.49
142
144
Upjohn,
Inc.
07/08/20
3,090,000
104.08
3,216
3,174
UWM
Mortgage
Trust
05/27/21
10,729,669
102.27
10,973
11,024
Videotron,
Ltd.
06/03/21
240,000
100.00
240
246
Vistra
Operations
Co.
LLC
04/26/21
3,936,000
105.41
4,149
4,307
Volkswagen
Group
of
America
Finance
LLC
03/09/21
3,453,000
102.51
3,539
3,542
Vontier
Corp.
04/12/21
1,530,000
98.87
1,513
1,536
Vontier
Corp.
04/13/21
630,000
99.95
629
632
Voya
CLO,
Ltd.
11/21/19
4,418,109
99.57
4,399
4,418
Voya
CLO,
Ltd.
02/18/20
3,283,307
100.00
3,283
3,285
Voya
CLO,
Ltd.
01/29/21
1,532,000
100.06
1,533
1,533
Warwick
Finance
Residential
Mortgages
Number
Three
PLC
02/10/21
GBP
3,617,942
138.66
5,017
5,037
WEA
Finance
LLC
06/18/21
4,009,000
106.47
4,268
4,413
WEA
Finance
LLC
/
Westfield
UK
&
Europe
Finance
PLC
04/09/21
640,000
103.54
663
724
WEA
Finance
LLC
/
Westfield
UK
&
Europe
Finance
PLC
05/06/21
275,000
106.03
291
295
Wells
Fargo
Mortgage-Backed
Securities
Trust
04/23/21
5,738,586
102.48
5,881
5,858
Wynn
Macau,
Ltd.
08/25/20
200,000
98.73
197
202
Wynn
Macau,
Ltd.
12/15/20
1,430,000
104.54
1,495
1,466
Wynn
Resorts
Finance
LLC
/
Wynn
Resorts
Capital
Corp.
04/12/21
760,000
107.92
820
809
ZF
NA
Capital,
Inc.
05/05/20
324,000
95.07
308
352
1,055,868
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
187
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
Australia
10
Year
Government
Bond
Futures
1,599
AUD
232,491
09/21
4,398
Canadian
10
Year
Government
Bond
Futures
232
CAD
34,338
09/21
768
Euro-Bund
Futures
62
EUR
10,947
09/21
200
Euro-
Buxl
30
Year
Bond
Futures
2
EUR
430
09/21
36
Euro-Schatz
Futures
181
EUR
20,336
09/21
36
United
States
2
Year
Treasury
Note
Futures
715
USD
157,769
09/21
(29)
United
States
5
Year
Treasury
Note
Futures
3,944
USD
490,812
09/21
2,756
United
States
10
Year
Treasury
Note
Futures
5,045
USD
678,316
09/21
11,492
United
States
10
Year
Ultra
Treasury
Note
Futures
366
USD
54,992
09/21
685
United
States
Treasury
Long
Bond
Futures
1,224
USD
201,616
09/21
10,525
United
States
Treasury
Ultra
Bond
Futures
534
USD
106,550
09/21
7,193
Short
Positions
Australia
3
Year
Government
Bond
Futures
224
AUD
26,225
09/21
(100)
Canadian
10
Year
Government
Bond
Futures
145
CAD
21,462
09/21
(384)
Euro-Bund
Futures
726
EUR
128,190
09/21
(4,240)
Japanese
10
Year
Government
Bond
Futures
23
JPY
3,502,900
09/21
(178)
Long
Gilt
Futures
583
GBP
75,668
09/21
(1,891)
United
States
2
Year
Treasury
Note
Futures
360
USD
79,436
09/21
7
United
States
10
Year
Treasury
Note
Futures
73
USD
9,815
09/21
(108)
United
States
10
Year
Ultra
Treasury
Note
Futures
197
USD
29,599
09/21
(1,087)
United
States
Treasury
Long
Bond
Futures
408
USD
67,205
09/21
(1,827)
United
States
Treasury
Ultra
Bond
Futures
55
USD
10,974
09/21
(571)
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
27,681
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
AUD
1,370
USD
1,057
09/09/21
51
Bank
of
America
AUD
1,547
USD
1,163
09/09/21
27
Bank
of
America
AUD
4,142
USD
3,066
09/09/21
26
Bank
of
America
AUD
85,806
USD
66,567
09/09/21
3,588
Bank
of
America
NOK
8,551
USD
1,000
09/09/21
32
Bank
of
America
NOK
10,275
USD
1,230
09/09/21
67
Bank
of
America
NOK
35,906
USD
4,107
09/09/21
42
Bank
of
America
NOK
552,872
USD
66,254
09/09/21
3,668
Bank
of
Montreal
USD
13,803
NOK
114,200
09/15/21
(876)
Bank
of
Montreal
SEK
135,200
USD
16,376
09/15/21
665
Bank
of
New
York
USD
12,727
GBP
9,199
09/09/21
60
Bank
of
New
York
USD
39,300
GBP
27,716
09/09/21
(772)
Bank
of
New
York
USD
67,978
GBP
47,931
09/09/21
(1,347)
Bank
of
New
York
USD
13,851
NOK
114,200
09/15/21
(923)
Bank
of
New
York
GBP
56,045
USD
78,330
09/09/21
421
Bank
of
New
York
SEK
135,200
USD
16,411
09/15/21
700
BNP
Paribas
USD
5,153
EUR
4,339
10/19/21
1
Citigroup
USD
11,924
AUD
16,287
08/18/21
29
Citigroup
USD
14,688
AUD
18,955
08/18/21
(777)
Citigroup
USD
870
BRL
4,620
10/19/21
8
Citigroup
USD
366
CLP
269,130
08/18/21
(11)
Citigroup
USD
563
CLP
411,792
08/18/21
(21)
Citigroup
USD
663
CLP
483,206
08/18/21
(27)
Citigroup
USD
731
CLP
538,787
08/18/21
(22)
Citigroup
USD
914
CLP
674,151
08/18/21
(26)
Citigroup
USD
1,462
CLP
1,074,474
08/18/21
(47)
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
188
Strategic
Bond
Fund
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Citigroup
USD
6,700
CLP
5,075,734
08/18/21
(15)
Citigroup
USD
261
COP
966,656
08/18/21
(12)
Citigroup
USD
438
COP
1,639,601
08/18/21
(16)
Citigroup
USD
438
COP
1,644,880
08/18/21
(14)
Citigroup
USD
438
COP
1,642,339
08/18/21
(15)
Citigroup
USD
606
COP
2,247,721
08/18/21
(27)
Citigroup
USD
652
COP
2,416,641
08/18/21
(29)
Citigroup
USD
689
COP
2,588,568
08/18/21
(22)
Citigroup
USD
792
COP
2,931,960
08/18/21
(37)
Citigroup
USD
2,350
COP
8,919,308
08/18/21
(52)
Citigroup
USD
2,680
COP
9,931,812
08/18/21
(121)
Citigroup
USD
2,716
COP
10,242,889
08/18/21
(77)
Citigroup
USD
2,728
COP
10,404,830
08/18/21
(47)
Citigroup
USD
1,242
EUR
1,047
08/18/21
Citigroup
USD
2,330
EUR
1,978
08/18/21
17
Citigroup
USD
2,340
EUR
1,982
08/18/21
12
Citigroup
USD
4,670
EUR
3,934
08/18/21
(2)
Citigroup
USD
25,422
EUR
21,400
08/18/21
(29)
Citigroup
USD
175
GBP
124
08/18/21
(3)
Citigroup
USD
2,329
GBP
1,646
08/18/21
(41)
Citigroup
USD
5,297
GBP
3,741
08/18/21
(97)
Citigroup
USD
6,574
GBP
4,649
08/18/21
(112)
Citigroup
USD
705
KRW
795,497
08/18/21
(15)
Citigroup
USD
1,763
KRW
1,990,294
08/18/21
(37)
Citigroup
USD
2,232
KRW
2,516,660
08/18/21
(50)
Citigroup
USD
9,356
KRW
10,529,213
08/18/21
(226)
Citigroup
USD
7,002
KZT
3,049,233
08/18/21
140
Citigroup
USD
1,508
MXN
31,030
08/18/21
47
Citigroup
USD
3,202
MXN
65,904
08/18/21
103
Citigroup
USD
13,811
NOK
114,200
09/15/21
(883)
Citigroup
USD
1,064
PHP
51,949
08/18/21
(24)
Citigroup
USD
1,134
PHP
55,416
08/18/21
(25)
Citigroup
USD
1,142
PHP
55,898
08/18/21
(23)
Citigroup
USD
1,281
PHP
62,632
08/18/21
(28)
Citigroup
USD
1,318
PHP
64,443
08/18/21
(29)
Citigroup
USD
1,318
PHP
64,404
08/18/21
(30)
Citigroup
USD
2,074
PHP
101,316
08/18/21
(47)
Citigroup
USD
320
THB
9,971
08/18/21
(16)
Citigroup
USD
1,273
THB
39,704
08/18/21
(65)
Citigroup
USD
2,733
THB
85,214
08/18/21
(141)
Citigroup
USD
2,733
THB
85,225
08/18/21
(141)
Citigroup
USD
9,131
THB
285,724
08/18/21
(439)
Citigroup
USD
9,400
THB
294,723
08/18/21
(434)
Citigroup
USD
351
ZAR
4,815
08/18/21
(23)
Citigroup
USD
1,654
ZAR
23,020
08/18/21
(85)
Citigroup
USD
1,654
ZAR
23,002
08/18/21
(87)
Citigroup
USD
1,936
ZAR
26,535
08/18/21
(128)
Citigroup
USD
2,033
ZAR
27,821
08/18/21
(137)
Citigroup
USD
2,084
ZAR
28,985
08/18/21
(109)
Citigroup
USD
2,405
ZAR
33,281
08/18/21
(138)
Citigroup
AUD
3,800
USD
2,958
08/18/21
169
Citigroup
AUD
33,564
USD
26,059
08/18/21
1,428
Citigroup
CHF
5,290
EUR
4,855
08/18/21
(164)
Citigroup
CLP
319,287
USD
438
08/18/21
18
Citigroup
CLP
435,924
USD
600
08/18/21
25
Citigroup
CLP
456,069
USD
627
08/18/21
26
Citigroup
CLP
530,180
USD
731
08/18/21
32
Citigroup
CLP
1,622,164
USD
2,234
08/18/21
97
Citigroup
CLP
1,707,059
USD
2,353
08/18/21
104
Citigroup
CLP
1,748,307
USD
2,340
08/18/21
37
Citigroup
CLP
1,760,891
USD
2,428
08/18/21
109
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
189
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Citigroup
COP
2,206,360
USD
599
08/18/21
30
Citigroup
COP
6,911,504
USD
1,874
08/18/21
93
Citigroup
COP
8,222,556
USD
2,237
08/18/21
119
Citigroup
COP
19,519,453
USD
5,119
08/18/21
90
Citigroup
EUR
5,000
CHF
5,435
08/18/21
139
Citigroup
EUR
3,892
GBP
3,335
08/18/21
35
Citigroup
EUR
350
HUF
123,232
08/18/21
(17)
Citigroup
EUR
350
HUF
123,564
08/18/21
(14)
Citigroup
EUR
555
HUF
195,162
08/18/21
(27)
Citigroup
EUR
684
HUF
241,177
08/18/21
(30)
Citigroup
EUR
985
HUF
350,291
08/18/21
(22)
Citigroup
EUR
1,552
HUF
548,383
08/18/21
(58)
Citigroup
EUR
2,323
HUF
820,894
08/18/21
(84)
Citigroup
EUR
1,000
NOK
10,386
08/18/21
(22)
Citigroup
EUR
3,950
NOK
40,612
08/18/21
(180)
Citigroup
EUR
250
USD
295
08/18/21
(1)
Citigroup
EUR
435
USD
528
08/18/21
11
Citigroup
EUR
525
USD
623
08/18/21
Citigroup
EUR
726
USD
878
08/18/21
17
Citigroup
EUR
1,000
USD
1,180
08/18/21
(7)
Citigroup
EUR
2,500
USD
2,952
08/18/21
(15)
Citigroup
EUR
7,855
USD
9,400
08/18/21
79
Citigroup
EUR
12,000
USD
14,446
08/18/21
207
Citigroup
EUR
60,073
USD
72,640
08/18/21
1,357
Citigroup
GBP
3,350
EUR
3,895
08/18/21
(69)
Citigroup
GBP
3,201
USD
4,449
08/18/21
(1)
Citigroup
GBP
3,319
USD
4,613
08/18/21
Citigroup
GBP
3,640
USD
5,058
08/18/21
(2)
Citigroup
HUF
346,683
EUR
990
08/18/21
57
Citigroup
HUF
667,629
EUR
1,925
08/18/21
154
Citigroup
HUF
683,555
EUR
1,965
08/18/21
144
Citigroup
JPY
654,000
USD
5,924
08/18/21
(39)
Citigroup
JPY
6,262,564
USD
57,368
08/18/21
277
Citigroup
KRW
980,147
USD
868
08/18/21
18
Citigroup
KRW
1,668,421
USD
1,478
08/18/21
31
Citigroup
KRW
1,997,491
USD
1,729
08/18/21
(3)
Citigroup
KRW
2,667,142
USD
2,364
08/18/21
52
Citigroup
KRW
3,394,844
USD
2,941
08/18/21
(2)
Citigroup
MXN
103,937
USD
5,200
08/18/21
(11)
Citigroup
MXN
165,000
USD
8,206
08/18/21
(66)
Citigroup
MXN
290,218
USD
14,177
08/18/21
(373)
Citigroup
PHP
456,449
USD
9,431
08/18/21
300
Citigroup
SEK
135,200
USD
16,384
09/15/21
673
Citigroup
THB
25,394
USD
790
08/18/21
17
Citigroup
THB
64,584
USD
2,071
08/18/21
106
Citigroup
THB
68,507
USD
2,132
08/18/21
47
Citigroup
THB
71,817
USD
2,300
08/18/21
115
Citigroup
THB
101,821
USD
3,261
08/18/21
163
Citigroup
THB
108,440
USD
3,477
08/18/21
178
Citigroup
THB
112,752
USD
3,609
08/18/21
179
Citigroup
THB
122,056
USD
3,912
08/18/21
199
Citigroup
THB
126,774
USD
3,949
08/18/21
92
Citigroup
ZAR
7,439
USD
521
08/18/21
14
Citigroup
ZAR
8,314
USD
581
08/18/21
15
Citigroup
ZAR
22,389
USD
1,569
08/18/21
43
Citigroup
ZAR
24,497
USD
1,716
08/18/21
47
Citigroup
ZAR
29,798
USD
2,084
08/18/21
54
Citigroup
ZAR
37,780
USD
2,704
08/18/21
130
Citigroup
ZAR
44,302
USD
3,072
08/18/21
54
Citigroup
ZAR
57,911
USD
4,050
08/18/21
105
Citigroup
ZAR
85,963
USD
5,861
08/18/21
5
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
190
Strategic
Bond
Fund
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Commonwealth
Bank
of
Australia
SEK
873
USD
105
09/09/21
4
Commonwealth
Bank
of
Australia
SEK
5,380
USD
632
09/09/21
6
Commonwealth
Bank
of
Australia
SEK
9,331
USD
1,092
09/09/21
7
Commonwealth
Bank
of
Australia
SEK
279,417
USD
33,706
09/09/21
1,239
Goldman
Sachs
USD
1,670
MXN
33,855
10/19/21
12
Goldman
Sachs
USD
871
RUB
65,674
10/19/21
16
Goldman
Sachs
EUR
46,056
USD
54,422
08/19/21
(229)
Goldman
Sachs
GBP
217
USD
301
08/19/21
Goldman
Sachs
GBP
550
USD
761
10/19/21
(3)
JPMorgan
Chase
USD
373
AUD
497
10/19/21
(8)
JPMorgan
Chase
USD
6,372
EUR
5,357
08/03/21
(17)
JPMorgan
Chase
USD
13,804
NOK
114,200
09/15/21
(875)
JPMorgan
Chase
EUR
55
USD
65
08/19/21
JPMorgan
Chase
EUR
5,357
USD
6,374
08/19/21
17
JPMorgan
Chase
EUR
5,467
USD
6,460
08/19/21
(27)
JPMorgan
Chase
GBP
599
USD
815
08/19/21
(18)
JPMorgan
Chase
IDR
8,678,743
USD
588
10/19/21
(8)
JPMorgan
Chase
SEK
135,200
USD
16,375
09/15/21
664
Royal
Bank
of
Canada
USD
443
CAD
549
09/09/21
(3)
Royal
Bank
of
Canada
USD
70,517
CAD
87,774
09/09/21
(165)
Royal
Bank
of
Canada
USD
102,768
CAD
124,126
09/09/21
(3,280)
Royal
Bank
of
Canada
USD
18
EUR
15
09/09/21
Royal
Bank
of
Canada
USD
17,670
EUR
14,821
09/09/21
(75)
Royal
Bank
of
Canada
USD
39,364
EUR
32,203
09/09/21
(1,136)
Royal
Bank
of
Canada
USD
13,867
NOK
114,200
09/15/21
(939)
Royal
Bank
of
Canada
CAD
83,251
USD
68,903
09/09/21
2,176
Royal
Bank
of
Canada
EUR
37,379
USD
44,455
09/09/21
82
Royal
Bank
of
Canada
SEK
135,200
USD
16,424
09/15/21
713
State
Street
USD
17,170
JPY
1,881,609
09/09/21
(14)
State
Street
USD
41
NZD
57
09/09/21
(2)
State
Street
USD
921
NZD
1,318
09/09/21
(3)
State
Street
USD
1,108
NZD
1,581
09/09/21
(7)
State
Street
USD
33,744
NZD
46,246
09/09/21
(1,528)
State
Street
GBP
51,135
USD
70,643
08/19/21
(438)
UBS
USD
668
CHF
600
09/09/21
(5)
UBS
CHF
1,283
USD
1,418
09/09/21
UBS
CHF
1,999
USD
2,175
09/09/21
(34)
UBS
CHF
91,316
USD
101,963
09/09/21
1,061
Total
Unrealized
Appreciation
(Depreciation)
on
Open
Foreign
Currency
Exchange
Contracts
(å)
4,194
Interest
Rate
Swap
Contracts
Amounts
in
thousands
Counterparty
Notional
Amount
Fund
Receives
Fund
Pays
Termination
Date
Premiums
Paid
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Credit
Suisse
ZAR
70,560
Three
Month
JIBAR
(3)
4.987%
(2)
08/18/23
(41)
(41)
Credit
Suisse
USD
7,000
Three
Month
LIBOR
(3)
0.359%
(3)
10/27/23
(5)
(5)
Credit
Suisse
USD
61,000
Three
Month
LIBOR
(3)
0.368%
(3)
10/27/23
7,146
7,146
Credit
Suisse
USD
11,300
Three
Month
LIBOR
(3)
0.858%
(3)
07/16/26
(42)
(42)
Credit
Suisse
MXN
18,700
6.375%
(1)
Mexico
Interbank
28
Day
Deposit
Rate
(1)
08/12/26
(2)
(2)
Credit
Suisse
USD
5,000
Three
Month
LIBOR
(3)
0.891%
(3)
10/27/26
(9)
(9)
Credit
Suisse
USD
15,900
Three
Month
LIBOR
(3)
0.892%
(3)
10/27/26
(29)
(29)
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
191
Interest
Rate
Swap
Contracts
Amounts
in
thousands
Counterparty
Notional
Amount
Fund
Receives
Fund
Pays
Termination
Date
Premiums
Paid
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Credit
Suisse
CNY
17,949
2.582%
(2)
China
Interbank
Repo
Rate
3
Months
(2)
10/27/26
Credit
Suisse
CNY
36,542
2.601%
(2)
China
Interbank
Repo
Rate
3
Months
(2)
10/27/26
Credit
Suisse
CNY
60,910
2.602%
(2)
China
Interbank
Repo
Rate
3
Months
(2)
10/27/26
Credit
Suisse
CNY
73,100
2.575%
(2)
China
Interbank
Repo
Rate
3
Months
(2)
10/27/26
Credit
Suisse
MXN
122,357
6.928%
(1)
Mexico
Interbank
28
Day
Deposit
Rate
(1)
10/15/31
(8)
(8)
Credit
Suisse
CAD
19,700
1.690%
(3)
Three
Month
LIBOR
(2)
10/27/31
(31)
(31)
Credit
Suisse
USD
25,500
Three
Month
LIBOR
(3)
1.319%
(3)
10/27/31
(54)
(54)
Credit
Suisse
USD
36,094
Three
Month
LIBOR
(3)
1.326%
(3)
10/27/31
(100)
(100)
Credit
Suisse
EUR
320
Six
Month
EURIB
(3)
0.468%
(4)
06/10/71
(61)
(61)
Credit
Suisse
EUR
735
Six
Month
EURIB
(3)
0.428%
(4)
06/10/71
(124)
(124)
Credit
Suisse
EUR
798
Six
Mont
h
EURIB
(3)
0.420%
(4)
06/10/71
(130)
(130)
Credit
Suisse
EUR
1,566
Six
Month
EURIB
(3)
0.340%
(4)
06/10/71
(184)
(184)
Total
Open
Interest
Rate
Swap
Contracts
(å)
6,326
6,326
Credit
Default
Swap
Contracts
Amounts
in
thousands
Credit
Indices
Reference
Entity
Counterparty
Purchase/Sell
Protection
Notional
Amount
Fund
(Pays)/
Receives
Fixed
Rate
Termination
Date
Premiums
Paid/
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
CDX
NA
Emerging
Markets
Index
Goldman
Sachs
Purchase
USD
164,000
(1.000%)
(2)
06/20/26
4,315
594
4,909
CDX
NA
High
Yield
Index
Bank
of
America
Purchase
USD
33,000
(5.000%)
(2)
06/20/26
(2,617)
(411)
(3,028)
CDX
NA
Investment
Grade
Index
Goldman
Sachs
Purchase
USD
405,000
(1.000%)
(2)
06/20/26
(9,070)
(692)
(9,762)
Total
Open
Credit
Indices
Contracts
(å)
(7,372)
(509)
(7,881)
Sovereign
Issues
Reference
Entity
Counterparty
Purchase/Sell
Protection
Implied
Credit
Spread
Notional
Amount
Fund
(Pays)/
Receives
Fixed
Rate
Termination
Date
Premiums
Paid/
(Received)  
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Mexico
Government
International
Bond
Morgan
Stanley
Purchase
0.963%
USD
1,400
(1.000%)
(2)
06/20/26
(3)
1
(2)
Mexico
Government
International
Bond
Barclays
Purchase
0.963%
USD
7,017
(1.000%)
(2)
06/20/26
(20)
8
(12)
Mexico
Government
International
Bond
Morgan
Stanley
Purchase
0.963%
USD
7,670
(1.000%)
(2)
06/20/26
55
(69)
(14)
Russian
Foreign
Bond
-
Eurobond
Morgan
Stanley
Purchase
0.876%
USD
7,462
(1.000%)
(2)
06/20/26
5
(50)
(45)
Russian
Foreign
Bond
-
Eurobond
Morgan
Stanley
Purchase
0.876%
USD
1,000
(1.000%)
(2)
06/20/26
(1)
(5)
(6)
Russian
Foreign
Bond
-
Eurobond
Barclays
Purchase
0.876%
USD
2,700
(1.000%)
(2)
06/20/26
(3)
(13)
(16)
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
192
Strategic
Bond
Fund
Credit
Default
Swap
Contracts
Amounts
in
thousands
Credit
Indices
Reference
Entity
Counterparty
Purchase/Sell
Protection
Notional
Amount
Fund
(Pays)/
Receives
Fixed
Rate
Termination
Date
Premiums
Paid/
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Russian
Foreign
Bond
-
Eurobond
BNP
Paribas
Purchase
0.876%
USD
1,403
(1.000%)
(2)
06/20/26
5
(13)
(8)
Total
Open
Sovereign
Issues
Contracts
38
(141)
(103)
Total
Open
Credit
Default
Swap
Contracts
(å)
(7,334)
(650)
(7,984)
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical    
Expedient
(a)
Total
Long-Term
Investments
Asset-Backed
Securities
$
$
276,872
$
$
$
276,872
Corporate
Bonds
and
Notes
922,197
922,197
International
Debt
599,425
599,425
Loan
Agreements
15,714
15,714
Mortgage-Backed
Securities
647,230
647,230
Municipal
Bonds
1,939
1,939
Non-US
Bonds
323,758
323,758
United
States
Government
Treasuries
637,937
637,937
Common
Stocks
*
Short-Term
Investments
201,553
397,320
598,873
Total
Investments
3,626,625
397,320
4,023,945
Other
Financial
Instruments
Assets
Futures
Contracts
38,096
38,096
Foreign
Currency
Exchange
Contracts
23,192
23,192
Interest
Rate
Swap
Contracts
7,146
7,146
Credit
Default
Swap
Contracts
4,909
4,909
Liabilities
Futures
Contracts
(10,415)
(10,415)
Foreign
Currency
Exchange
Contracts
(17)
(18,981)
(18,998)
Interest
Rate
Swap
Contracts
(820)
(820)
Credit
Default
Swap
Contracts
(12,893)
(12,893)
Total
Other
Financial
Instruments
**
$
27,664
$
2,553
$
$
$
30,217
*
Less
than
$500.
**
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Strategic
Bond
Fund
193
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Amounts
in
thousands
Country
Exposure
Fair
Value
$
Andorra
...............................................................................................
14,876
Argentina
............................................................................................
4,563
Australia
.............................................................................................
25,872
Belgium
..............................................................................................
5,463
Bermuda
.............................................................................................
53,716
Brazil
..................................................................................................
8,655
Canada
................................................................................................
66,001
Cayman
Islands
...................................................................................
87,221
Chile
...................................................................................................
16,184
China
..................................................................................................
29,060
Colombia
.............................................................................................
15,348
Czech
Republic
...................................................................................
3,802
Denmark
.............................................................................................
8,930
Egypt
..................................................................................................
7,174
Finland
...............................................................................................
3,856
France
.................................................................................................
44,697
Germany
.............................................................................................
30,393
Hong
Kong
..........................................................................................
846
India
...................................................................................................
13,012
Indonesia
............................................................................................
2,357
Ireland
................................................................................................
86,751
Israel
...................................................................................................
2,913
Italy
....................................................................................................
26,702
Japan
..................................................................................................
77,425
Kazakhstan
.........................................................................................
328
Kuwait
................................................................................................
2,213
Luxembourg
........................................................................................
1,701
Macao
.................................................................................................
4,904
Mexico
................................................................................................
50,488
Morocco
..............................................................................................
1,036
Netherlands
........................................................................................
20,553
Norway
................................................................................................
2,073
Oman
..................................................................................................
3,278
Panama
...............................................................................................
5,788
Paraguay
.............................................................................................
929
Peru
....................................................................................................
6,251
Portugal
..............................................................................................
259
Qatar
...................................................................................................
4,322
Romania
..............................................................................................
11,443
Russia
.................................................................................................
7,563
Saudi
Arabia
.......................................................................................
6,379
Singapore
............................................................................................
787
South
Africa
........................................................................................
14,731
South
Korea
........................................................................................
7,312
Spain
...................................................................................................
9,495
Switzerland
.........................................................................................
18,535
Togo
....................................................................................................
4,765
Russell
Investment
Company
Strategic
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
194
Strategic
Bond
Fund
Amounts
in
thousands
Country
Exposure
Fair
Value
$
Tunisia
................................................................................................
13,012
United
Arab
Emirates
.........................................................................
3,390
United
Kingdom
..................................................................................
129,079
United
States
.......................................................................................
3,054,618
Zambia
................................................................................................
2,896
Total
Investments
................................................................................
4,023,945
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Investment
Grade
Bond
Fund
195
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Long-Term
Investments
-
91.4%
Asset-Backed
Securities
-
7.4%
ACE
Securities
Corp.
Home
Equity
Loan
Trust
Series
2007-SL2
Class
A
1.537%
due
05/25/37
(USD
1
Month
LIBOR
+
0.700%)(Ê)
848
848
American
Tower
Trust
#1
Series
2013-13
Class
2A
3.070%
due
03/15/23
(Þ)
240
241
Amur
Equipment
Finance
Receivables
IX
LLC
Series
2021-1A
Class
C
1.750%
due
06/21/27
(Þ)
709
712
Blackbird
Capital
Aircraft
Lease
Securitization,
Ltd.
Series
2016-1A
Class
AA
2.487%
due
12/16/41
(~)(Ê)(Þ)
2,050
2,065
Chase
Auto
Credit
Liked
Notes
Series
2021-1
Class
B
0.875%
due
09/25/28
(Þ)
5,208
5,214
Conseco
Finance
Corp.
Series
1996-10
Class
M1
7.240%
due
11/15/28
(~)(Ê)
424
431
Countrywide
Asset-Backed
Certificates
Series
2007-4
Class
A4W
4.640%
due
04/25/47
3,697
3,901
Credit-Based
Asset
Servicing
&
Securitization
LLC
Series
2004-CB7
Class
AF5
4.090%
due
09/25/34
(~)(Ê)
53
54
FirstKey
Homes
Trust
Series
2020-SFR2
Class
A
1.266%
due
10/19/37
(Þ)
4,932
4,950
FNA
VI
LLC
Series
2021-1A
Class
A
1.350%
due
01/10/32
(~)(Ê)(Þ)
897
897
Greenpoint
Manufactured
Housing
Contract
Trust
Series
2000-4
Class
A3
2.190%
due
08/21/31
(USD
1
Month
LIBOR
+
2.000%)(Ê)
675
675
Invitation
Homes
Trust
Series
2017-SFR2
Class
A
3.153%
due
12/17/36
(USD
1
Month
LIBOR
+
0.850%)(Ê)(Þ)
2,188
2,192
Magnetite
XVIII,
Ltd.
Series
2016-18A
Class
AR
3.696%
due
11/15/28
(USD
3
Month
LIBOR
+
1.080%)(Ê)(Þ)
1,786
1,786
Navient
Private
Education
Refi
Loan
Trust
Series
2020-EA
Class
A
1.690%
due
05/15/69
(Þ)
3,107
3,162
Series
2020-FA
Class
A
1.220%
due
07/15/69
(Þ)
830
835
Series
2020-HA
Class
A
1.310%
due
01/15/69
(Þ)
1,143
1,153
Series
2021-A
Class
A
0.840%
due
05/15/69
(Þ)
900
899
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2021-BA
Class
A
0.940%
due
07/15/69
(Þ)
1,525
1,527
Series
2021-CA
Class
A
1.060%
due
10/15/69
(Þ)
1,942
1,950
Octane
Receivables
Trust
Series
2021-1A
Class
A
0.930%
due
03/22/27
(Þ)
1,778
1,780
OneMain
Financial
Issuance
Trust
Series
2019-2A
Class
A
3.140%
due
10/14/36
(Þ)
5,140
5,573
Series
2021-1A
Class
A1
1.550%
due
06/16/36
(Þ)
8,310
8,394
Prodigy
Finance
Desiganted
Activity
Co.
Series
2021-1A
Class
A
1.351%
due
07/25/51
856
858
SoFi
Professional
Loan
Program
Trust
Series
2020-C
Class
AFX
1.950%
due
02/15/46
(Þ)
731
743
TAL
Advantage
VII
LLC
Series
2020-1A
Class
A
2.050%
due
09/20/45
(Þ)
5,282
5,355
Towd
Point
Mortgage
Trust
Series
2017-4
Class
A1
2.750%
due
06/25/57
(~)(Ê)(Þ)
Series
2019-SJ3
Class
A1
3.000%
due
11/25/59
(~)(Ê)(Þ)
1,047
1,051
Series
2020-MH1
Class
A1
2.250%
due
02/25/60
(~)(Ê)(Þ)
1,041
1,053
58,299
Corporate
Bonds
and
Notes
-
22.4%
3M
Co.
2.875%
due
10/15/27
386
423
7-Eleven,
Inc.
2.500%
due
02/10/41
(Þ)
85
81
2.800%
due
02/10/51
(Þ)
115
110
Abbott
Laboratories
4.750%
due
11/30/36
386
508
AbbVie,
Inc.
3.600%
due
05/14/25
615
672
Advocate
Health
&
Hospitals
Corp.
Series
2020
2.211%
due
06/15/30
575
595
Aetna,
Inc.
6.750%
due
12/15/37
665
997
Ally
Financial,
Inc.
1.450%
due
10/02/23
1,050
1,066
8.000%
due
11/01/31
342
497
Alphabet,
Inc.
1.998%
due
08/15/26
467
492
Altria
Group,
Inc.
2.450%
due
02/04/32
1,255
1,235
10.200%
due
02/06/39
579
1,017
5.800%
due
02/14/39
305
383
3.400%
due
02/04/41
518
501
Amazon.com,
Inc.
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
196
Investment
Grade
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
1.200%
due
06/03/27
494
499
3.100%
due
05/12/51
1,000
1,077
American
Airlines
Pass-Through
Trust
Series
AA
3.200%
due
06/15/28
559
570
American
Campus
Communities
Operating
Partnership,
LP
3.875%
due
01/30/31
410
462
American
Express
Co.
3.700%
due
08/03/23
635
675
American
Homes
4
Rent,
LP
4.250%
due
02/15/28
374
429
American
Tower
Corp.
3.500%
due
01/31/23
406
425
Amgen,
Inc.
3.150%
due
02/21/40
740
792
Anthem,
Inc.
3.500%
due
08/15/24
480
518
Aon
Corp.
8.205%
due
01/01/27
313
411
Apollo
Management
Holdings,
LP
4.000%
due
05/30/24
(Þ)
195
212
4.400%
due
05/27/26
(Þ)
230
263
5.000%
due
03/15/48
(Þ)
365
476
Apple,
Inc.
4.500%
due
02/23/36
394
507
4.650%
due
02/23/46
745
1,001
Applied
Materials,
Inc.
5.100%
due
10/01/35
381
512
Arch
Capital
Group,
Ltd.
3.635%
due
06/30/50
401
446
Ares
Capital
Corp.
3.500%
due
02/10/23
401
416
AT&T,
Inc.
4.500%
due
05/15/35
365
437
6.800%
due
05/15/36
525
732
6.500%
due
11/15/36
215
294
6.500%
due
09/01/37
165
228
3.500%
due
06/01/41
445
473
3.500%
due
09/15/53
(Þ)
625
646
Series
WI
8.750%
due
11/15/31
415
630
4.900%
due
08/15/37
780
976
6.000%
due
08/15/40
150
208
Athene
Global
Funding
2.950%
due
11/12/26
(Þ)
1,145
1,233
Athene
Holding,
Ltd.
4.125%
due
01/12/28
240
272
Aviation
Capital
Group
LLC
4.125%
due
08/01/25
(Þ)
458
498
Avnet,
Inc.
4.875%
due
12/01/22
510
538
AXIS
Specialty
Finance
LLC
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
4.900%
due
01/15/40
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.186%)(Ê)
477
510
Bank
of
America
Corp.
4.000%
due
01/22/25
980
1,075
3.366%
due
01/23/26
(USD
3
Month
LIBOR
+
0.810%)(Ê)
1,920
2,067
3.311%
due
04/22/42
(SOFR
+
1.580%)(Ê)
1,045
1,123
4.443%
due
01/20/48
(USD
3
Month
LIBOR
+
1.990%)(Ê)
433
544
Bank
of
America
NA
Series
BKNT
6.000%
due
10/15/36
310
441
Becton
Dickinson
and
Co.
3.734%
due
12/15/24
437
476
Berkley
(WR)
Corp.
4.000%
due
05/12/50
730
853
Berkshire
Hathaway
Energy
Co.
Series
WI
4.050%
due
04/15/25
376
419
Berkshire
Hathaway
Finance
Corp.
2.850%
due
10/15/50
884
906
Berkshire
Hathaway,
Inc.
3.125%
due
03/15/26
382
419
BGC
Partners,
Inc.
Series
WI
5.375%
due
07/24/23
184
199
Blackstone
Holdings
Finance
Co.
LLC
2.000%
due
01/30/32
(Þ)
515
512
5.000%
due
06/15/44
(Þ)
384
528
Blackstone
Secured
Lending
Fund
Series
WI
3.625%
due
01/15/26
520
554
Boardwalk
Pipelines,
LP
4.800%
due
05/03/29
430
502
Boeing
Co.
(The)
2.196%
due
02/04/26
810
817
3.200%
due
03/01/29
430
454
Bon
Secours
Mercy
Health,
Inc.
3.464%
due
06/01/30
565
631
BP
Capital
Markets
America,
Inc.
2.937%
due
04/06/23
411
428
3.216%
due
11/28/23
710
753
Brighthouse
Financial,
Inc.
Series
WI
4.700%
due
06/22/47
274
308
Bristol-Myers
Squibb
Co.
Series
WI
3.900%
due
02/20/28
635
736
Broadcom,
Inc.
3.419%
due
04/15/33
(Þ)
625
667
3.500%
due
02/15/41
(Þ)
455
472
Series
WI
4.750%
due
04/15/29
575
675
4.150%
due
11/15/30
790
895
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Investment
Grade
Bond
Fund
197
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Broadridge
Financial
Solutions,
Inc.
2.900%
due
12/01/29
407
436
Burlington
Northern
Santa
Fe
LLC
4.375%
due
09/01/42
413
525
Capital
One
Bank
USA
NA
3.375%
due
02/15/23
716
748
Capital
One
Financial
Corp.
3.500%
due
06/15/23
457
483
Cargill,
Inc.
1.700%
due
02/02/31
(Þ)
435
432
CC
Holdings
GS
V
LLC
/
Crown
Castle
GS
III
Corp.
3.849%
due
04/15/23
454
480
Centene
Corp.
5.375%
due
06/01/26
(Þ)
200
208
Series
WI
4.250%
due
12/15/27
300
317
Charter
Communications
Operating
LLC
/
Charter
Communications
Operating
Capital
Series
WI
4.908%
due
07/23/25
530
602
4.200%
due
03/15/28
375
427
Cheniere
Corpus
Christi
Holdings
LLC
Series
WI
3.700%
due
11/15/29
342
377
Chevron
Corp.
1.141%
due
05/11/23
481
488
0.426%
due
08/11/23
419
420
Cigna
Corp.
2.400%
due
03/15/30
125
130
3.400%
due
03/15/50
418
451
Series
WI
4.125%
due
11/15/25
475
534
Cisco
Systems,
Inc.
2.200%
due
09/20/23
413
429
Citadel
Finance
LLC
3.375%
due
03/09/26
(Þ)
590
599
Citadel,
LP
4.875%
due
01/15/27
(Þ)
625
681
Citigroup,
Inc.
3.300%
due
04/27/25
550
599
6.000%
due
10/31/33
321
432
8.125%
due
07/15/39
450
784
Coca-Cola
Co.
(The)
1.450%
due
06/01/27
487
497
Comcast
Corp.
3.600%
due
03/01/24
385
416
3.700%
due
04/15/24
5
5
6.550%
due
07/01/39
515
782
CommonSpirit
Health
4.350%
due
11/01/42
205
245
4.187%
due
10/01/49
785
928
ConocoPhillips
3.750%
due
10/01/27
(Þ)
240
273
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Constellation
Brands,
Inc.
4.400%
due
11/15/25
520
589
CoStar
Group,
Inc.
2.800%
due
07/15/30
(Þ)
645
666
Costco
Wholesale
Corp.
1.375%
due
06/20/27
488
494
Crown
Castle
International
Corp.
3.150%
due
07/15/23
405
425
CVS
Health
Corp.
4.780%
due
03/25/38
125
157
5.050%
due
03/25/48
320
426
CyrusOne
,
Inc.
2.150%
due
11/01/30
450
434
Devon
Energy
Corp.
7.875%
due
09/30/31
425
600
4.750%
due
05/15/42
190
217
DH
Europe
Finance
II
SARL
2.600%
due
11/15/29
408
433
Diamondback
Energy,
Inc.
2.875%
due
12/01/24
130
137
4.750%
due
05/31/25
640
719
3.125%
due
03/24/31
435
457
Discover
Financial
Services
Series
BKNT
3.350%
due
02/06/23
405
422
Discovery
Communications
LLC
Class
A
5.000%
due
09/20/37
1,480
1,827
Series
WI
4.000%
due
09/15/55
291
313
Dominion
Energy
South
Carolina,
Inc.
4.250%
due
08/15/28
890
990
4.600%
due
06/15/43
90
118
Dominion
Energy,
Inc.
3.071%
due
08/15/24
(~)(Ê)
560
596
DTE
Energy
Co.
Series
F
1.050%
due
06/01/25
495
497
Enbridge
Energy
Partners,
LP
5.500%
due
09/15/40
401
534
Energy
Transfer
Operating,
LP
5.250%
due
04/15/29
420
500
3.750%
due
05/15/30
1,005
1,096
Enterprise
Products
Operating
LLC
6.125%
due
10/15/39
361
513
4.200%
due
01/31/50
310
365
Equifax,
Inc.
2.600%
due
12/15/25
595
633
Series
5Y
3.950%
due
06/15/23
860
912
Essential
Properties,
LP
2.950%
due
07/15/31
475
481
Essential
Utilities,
Inc.
4.276%
due
05/01/49
190
233
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
198
Investment
Grade
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Essex
Portfolio,
LP
3.250%
due
05/01/23
412
429
Exelon
Generation
Co.
LLC
5.600%
due
06/15/42
363
437
Exxon
Mobil
Corp.
2.726%
due
03/01/23
403
417
4.227%
due
03/19/40
235
287
F&G
Global
Funding
1.750%
due
06/30/26
(Þ)
295
301
Farmers
Exchange
Capital
III
5.454%
due
10/15/54
(USD
3
Month
LIBOR
+
3.454%)(Ê)(Þ)
290
368
FedEx
Corp.
4.500%
due
02/01/65
458
557
FLIR
Systems,
Inc.
2.500%
due
08/01/30
205
211
Ford
Motor
Co.
8.500%
due
04/21/23
200
222
9.000%
due
04/22/25
220
271
Ford
Motor
Credit
Co.
LLC
4.271%
due
01/09/27
580
625
FS
KKR
Capital
Corp.
4.125%
due
02/01/25
472
502
GA
Global
Funding
Trust
Secured
1.625%
due
01/15/26
(Þ)
405
413
GE
Capital
Funding
LLC
Series
WI
4.050%
due
05/15/27
433
494
GE
Capital
International
Funding
Co.,
ULC
Series
WI
3.373%
due
11/15/25
385
423
4.418%
due
11/15/35
2,203
2,704
General
Electric
Co.
Series
MTNA
6.750%
due
03/15/32
358
499
General
Motors
Co.
4.875%
due
10/02/23
833
905
6.600%
due
04/01/36
585
810
General
Motors
Financial
Co.,
Inc.
5.200%
due
03/20/23
442
474
Georgia
Power
Co.
4.300%
due
03/15/43
565
678
GLP
Capital,
LP
/
GLP
Financing
II,
Inc.
5.300%
due
01/15/29
425
501
Goldman
Sachs
Capital
I
6.345%
due
02/15/34
725
1,030
Goldman
Sachs
Group,
Inc.
(The)
3.272%
due
09/29/25
(USD
3
Month
LIBOR
+
1.201%)(Ê)
1,625
1,742
3.800%
due
03/15/30
295
335
6.450%
due
05/01/36
195
280
6.750%
due
10/01/37
105
155
2.908%
due
07/21/42
(SOFR
+
1.472%)(Ê)
50
51
Series
DMTN
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.383%
due
07/21/32
(SOFR
+
1.248%)(Ê)
640
651
HCA,
Inc.
5.500%
due
06/15/47
389
517
Health
Care
Service
Corp.,
a
Mutual
Legal
Reserve
Co.
2.200%
due
06/01/30
(Þ)
705
720
Hess
Corp.
6.000%
due
01/15/40
425
546
Hewlett
Packard
Enterprise
Co.
4.650%
due
10/01/24
1,120
1,242
Class
A
4.400%
due
10/15/22
(Þ)
1
1
HollyFrontier
Corp.
5.875%
due
04/01/26
440
509
Home
Depot,
Inc.
(The)
5.875%
due
12/16/36
345
501
HSBC
Bank
NA
Series
BKNT
7.000%
due
01/15/39
615
964
HSBC
USA,
Inc.
7.200%
due
07/15/97
245
451
Humana,
Inc.
3.150%
due
12/01/22
300
309
0.650%
due
08/03/23
1,010
1,010
4.950%
due
10/01/44
402
529
Intercontinental
Exchange,
Inc.
4.250%
due
09/21/48
145
176
3.000%
due
06/15/50
580
587
International
Business
Machines
Corp.
3.300%
due
01/27/27
445
492
International
Paper
Co.
8.700%
due
06/15/38
270
459
7.300%
due
11/15/39
150
239
Jefferies
Group
LLC
6.500%
due
01/20/43
306
430
JPMorgan
Chase
&
Co.
3.875%
due
09/10/24
445
484
7.750%
due
07/15/25
260
325
3.200%
due
06/15/26
190
208
8.750%
due
09/01/30
405
619
3.157%
due
04/22/42
(SOFR
+
1.460%)(Ê)
935
995
3.328%
due
04/22/52
(SOFR
+
1.580%)(Ê)
1,065
1,158
Keurig
Dr
Pepper,
Inc.
Series
WI
4.057%
due
05/25/23
231
246
Kimberly-Clark
Corp.
1.050%
due
09/15/27
500
496
Kinder
Morgan
Energy
Partners,
LP
7.300%
due
08/15/33
298
428
Kinder
Morgan,
Inc.
5.550%
due
06/01/45
340
447
Series
GMTN
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Investment
Grade
Bond
Fund
199
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
7.800%
due
08/01/31
295
427
KKR
Group
Finance
Co.
III
LLC
5.125%
due
06/01/44
(Þ)
225
299
Kraft
Heinz
Foods
Co.
5.000%
due
06/04/42
1,100
1,378
Kroger
Co.
(The)
3.850%
due
08/01/23
391
414
Land
O'Lakes,
Inc.
6.000%
due
11/15/22
(Þ)
700
738
Las
Vegas
Sands
Corp.
3.200%
due
08/08/24
466
487
Lehman
Brothers
Holdings
5.857%
due
11/30/56
(Ø)(Š)(Æ)
1,450
Leidos
,
Inc.
Series
WI
3.625%
due
05/15/25
160
174
Loews
Corp.
6.000%
due
02/01/35
337
470
Markel
Corp.
5.000%
due
04/05/46
334
438
Marsh
&
McLennan
Cos.,
Inc.
4.050%
due
10/15/23
448
479
Marvell
Technology,
Inc.
1.650%
due
04/15/26
(Þ)
379
382
McDonald's
Corp.
4.600%
due
05/26/45
407
519
Merck
&
Co.,
Inc.
2.800%
due
05/18/23
411
429
Mercury
General
Corp.
4.400%
due
03/15/27
590
671
Microsoft
Corp.
3.450%
due
08/08/36
439
519
Mondelez
International,
Inc.
1.875%
due
10/15/32
519
513
Morgan
Stanley
1.593%
due
05/04/27
(SOFR
+
0.879%)(Ê)
385
391
Motiva
Enterprises
LLC
6.850%
due
01/15/40
(Þ)
333
435
MPLX,
LP
4.000%
due
02/15/25
160
175
4.800%
due
02/15/29
610
722
4.500%
due
04/15/38
190
219
MultiCare
Health
System
2.803%
due
08/15/50
715
727
Mutual
of
Omaha
Insurance
Co.
4.297%
due
07/15/54
(USD
3
Month
LIBOR
+
2.640%)(Ê)(Þ)
295
309
Mylan
NV
Series
WI
3.950%
due
06/15/26
1,025
1,137
NBCUniversal
Media
LLC
5.950%
due
04/01/41
490
720
Nestle
Holdings,
Inc.
3.350%
due
09/24/23
(Þ)
393
417
New
York
Life
Insurance
Co.
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.750%
due
05/15/50
(Þ)
195
226
New
York
Society
For
The
Relief
Of
The
Ruptured
And
Crippled
Series
2020
2.667%
due
10/01/50
340
327
Newmark
Group,
Inc.
Series
WI
6.125%
due
11/15/23
760
824
NGPL
PipeCo
LLC
7.768%
due
12/15/37
(Þ)
297
434
NIKE,
Inc.
2.750%
due
03/27/27
391
425
Northrop
Grumman
Systems
Corp.
7.750%
due
02/15/31
289
429
Oaktree
Specialty
Lending
Corp.
3.500%
due
02/25/25
440
464
Occidental
Petroleum
Corp.
3.500%
due
08/15/29
395
394
Ohio
National
Financial
Services,
Inc.
5.550%
due
01/24/30
(Þ)
365
424
Old
Republic
International
Corp.
3.850%
due
06/11/51
305
332
ONEOK,
Inc.
6.850%
due
10/15/37
377
523
Oracle
Corp.
2.950%
due
04/01/30
360
385
3.900%
due
05/15/35
385
438
3.800%
due
11/15/37
160
178
3.600%
due
04/01/40
1,711
1,831
5.375%
due
07/15/40
435
571
3.600%
due
04/01/50
690
721
4.375%
due
05/15/55
380
444
Pacific
Gas
and
Electric
Co.
2.100%
due
08/01/27
685
666
2.500%
due
02/01/31
635
599
4.200%
due
06/01/41
360
352
Pacific
Life
Insurance
Co.
4.300%
due
10/24/67
(USD
3
Month
LIBOR
+
2.796%)(Ê)(Þ)
255
300
PepsiCo,
Inc.
2.625%
due
03/19/27
457
495
Perrigo
Finance
Unlimited
Co.
3.150%
due
06/15/30
465
487
Pfizer,
Inc.
Series
5YR
3.200%
due
09/15/23
403
426
Philip
Morris
International,
Inc.
4.375%
due
11/15/41
635
757
Procter
&
Gamble
Co.
(The)
2.800%
due
03/25/27
386
421
Progress
Energy,
Inc.
7.750%
due
03/01/31
295
428
Prospect
Capital
Corp.
3.706%
due
01/22/26
455
470
Public
Service
Co.
of
Oklahoma
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
200
Investment
Grade
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
G
6.625%
due
11/15/37
260
380
Public
Service
Electric
&
Gas
Co.
3.250%
due
09/01/23
230
243
3.700%
due
05/01/28
210
241
PVH
Corp.
Series
WI
4.625%
due
07/10/25
315
351
QUALCOMM,
Inc.
Series
WI
1.300%
due
05/20/28
559
554
QVC,
Inc.
4.850%
due
04/01/24
705
764
Raytheon
Technologies
Corp.
Series
WI
3.200%
due
03/15/24
392
418
Regency
Energy
Partners,
LP
/
Regency
Energy
Finance
Corp.
4.500%
due
11/01/23
398
426
Republic
Services,
Inc.
2.500%
due
08/15/24
396
416
Resorts
World
Las
Vegas
LLC
/
RWLV
Capital,
Inc.
4.625%
due
04/06/31
(Þ)
395
414
Retail
Properties
of
America,
Inc.
4.000%
due
03/15/25
462
492
Royalty
Pharma
PLC
0.750%
due
09/02/23
(Þ)
990
994
1.200%
due
09/02/25
(Þ)
760
760
1.750%
due
09/02/27
(Þ)
265
267
2.200%
due
09/02/30
(Þ)
620
617
Sabine
Pass
Liquefaction
LLC
Series
WI
5.750%
due
05/15/24
220
246
5.000%
due
03/15/27
480
560
Sabra
Health
Care,
LP
/
Sabra
Capital
Corp.
4.800%
due
06/01/24
145
159
3.900%
due
10/15/29
1,055
1,127
Santander
Holdings
USA,
Inc.
3.450%
due
06/02/25
670
723
Series
FXD
3.500%
due
06/07/24
386
413
Schlumberger
Investment
SA
1.400%
due
09/17/25
405
412
Sherwin-Williams
Co.
(The)
2.300%
due
05/15/30
420
434
Shire
Acquisitions
Investments
Ireland
DAC
2.875%
due
09/23/23
408
426
Simon
Property
Group,
LP
2.450%
due
09/13/29
945
984
Smithfield
Foods,
Inc.
5.200%
due
04/01/29
(Þ)
500
587
Southern
California
Edison
Co.
6.650%
due
04/01/29
390
491
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Southern
Power
Co.
5.150%
due
09/15/41
413
515
Southwest
Airlines
Co.
5.125%
due
06/15/27
745
881
Spectra
Energy
Partners,
LP
4.500%
due
03/15/45
372
447
Sprint
Spectrum
Co.
LLC
/
Sprint
Spectrum
Co.
II
LLC
/
Sprint
Spectrum
Co.
III
LLC
5.152%
due
03/20/28
(Þ)
450
518
Starbucks
Corp.
2.000%
due
03/12/27
478
496
Sunoco
Logistics
Partners
Operations,
LP
4.000%
due
10/01/27
455
508
5.300%
due
04/01/44
379
448
Synchrony
Financial
3.950%
due
12/01/27
443
495
Sysco
Corp.
6.600%
due
04/01/50
300
479
TCI
Communications,
Inc.
7.875%
due
02/15/26
340
440
Tennessee
Gas
Pipeline
Co.
LLC
7.000%
due
10/15/28
299
394
2.900%
due
03/01/30
(Þ)
875
922
8.375%
due
06/15/32
515
768
Texas
Eastern
Transmission,
LP
3.500%
due
01/15/28
(Þ)
453
499
Thermo
Fisher
Scientific,
Inc.
4.100%
due
08/15/47
422
523
Time
Warner
Cable
LLC
6.550%
due
05/01/37
837
1,153
7.300%
due
07/01/38
450
661
6.750%
due
06/15/39
460
654
Time
Warner
Entertainment
Co.,
LP
8.375%
due
03/15/23
442
497
8.375%
due
07/15/33
600
920
T-Mobile
USA,
Inc.
Series
WI
3.875%
due
04/15/30
550
621
TWDC
Enterprises
18
Corp.
Series
MTNB
7.000%
due
03/01/32
344
502
Tyson
Foods,
Inc.
4.875%
due
08/15/34
402
507
UnitedHealth
Group,
Inc.
2.300%
due
05/15/31
295
307
3.050%
due
05/15/41
225
241
Unum
Group
5.750%
due
08/15/42
411
519
Upjohn,
Inc.
2.300%
due
06/22/27
(Þ)
409
421
Valero
Energy
Corp.
1.200%
due
03/15/24
835
842
Verizon
Communications,
Inc.
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Investment
Grade
Bond
Fund
201
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.625%
due
08/15/26
393
419
7.750%
due
12/01/30
1,565
2,309
3.550%
due
03/22/51
335
364
Series
WI
4.272%
due
01/15/36
980
1,178
ViacomCBS
,
Inc.
3.700%
due
08/15/24
460
497
4.750%
due
05/15/25
505
572
5.900%
due
10/15/40
380
521
4.600%
due
01/15/45
455
554
Vistra
Operations
Co.
LLC
4.300%
due
07/15/29
(Þ)
275
301
Vontier
Corp.
1.800%
due
04/01/26
(Þ)
370
371
2.950%
due
04/01/31
(Þ)
330
335
Wachovia
Corp.
7.500%
due
04/15/35
288
438
Wells
Fargo
&
Co.
0.626%
due
01/15/27
(USD
3
Month
LIBOR
+
0.500%)(Ê)
525
507
3.196%
due
06/17/27
(USD
3
Month
LIBOR
+
1.170%)(Ê)
1,095
1,190
5.950%
due
12/15/36
100
142
4.650%
due
11/04/44
354
445
Western
&
Southern
Life
Insurance
Co.
(The)
3.750%
due
04/28/61
(Þ)
355
394
Westinghouse
Air
Brake
Technologies
Corp.
4.400%
due
03/15/24
391
424
Williams
Cos.,
Inc.
(The)
5.800%
due
11/15/43
160
216
WRKCo
,
Inc.
3.000%
due
06/15/33
460
493
174,876
International
Debt
-
12.8%
Adani
Ports
and
Special
Economic
Zone,
Ltd.
3.375%
due
07/24/24
(Þ)
465
483
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
3.300%
due
01/23/23
690
714
Air
Liquide
Finance
SA
2.250%
due
09/27/23
(Þ)
414
429
Alibaba
Group
Holding,
Ltd.
2.800%
due
06/06/23
200
207
Series
WI
3.600%
due
11/28/24
447
484
Alimentation
Couche-Tard,
Inc.
3.550%
due
07/26/27
(Þ)
445
495
Anglo
American
Capital
PLC
3.625%
due
09/11/24
(Þ)
451
488
Anheuser-Busch
Cos.
LLC
/
Anheuser-
Busch
InBev
Worldwide,
Inc.
4.900%
due
02/01/46
195
250
Anheuser-Busch
InBev
Worldwide,
Inc.
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
8.200%
due
01/15/39
200
339
5.450%
due
01/23/39
350
466
Antares
Holdings,
LP
3.950%
due
07/15/26
(Þ)
505
536
ANZ
New
Zealand
International,
Ltd.
1.250%
due
06/22/26
(Þ)
1,000
1,008
Arbor
Realty
CLO,
Ltd.
Series
2021-FL2
Class
A
1.200%
due
05/15/36
(USD
1
Month
LIBOR
+
1.100%)(Ê)(Þ)
923
924
AstraZeneca
PLC
0.300%
due
05/26/23
432
432
6.450%
due
09/15/37
420
638
Banco
de
Bogota
SA
Series
EMTQ
4.375%
due
08/03/27
(Þ)
477
496
Banco
de
Credito
e
Inversiones
SA
4.000%
due
02/11/23
(Þ)
396
415
Banco
Inbursa
SA
Institucion
de
Banca
Multiple
4.125%
due
06/06/24
(Þ)
401
428
Banco
Santander
Mexico
SA
Institucion
de
Banca
Multiple
Grupo
Financiero
Santander
5.375%
due
04/17/25
(Þ)
150
169
Banco
Santander
SA
3.125%
due
02/23/23
407
423
2.749%
due
12/03/30
1,000
1,008
Bancolombia
SA
3.000%
due
01/29/25
419
423
Bangkok
Bank
PCL
9.025%
due
03/15/29
(Þ)
303
423
Bank
of
Nova
Scotia
(The)
2.000%
due
11/15/22
475
486
Barclays
PLC
4.375%
due
01/12/26
820
925
4.950%
due
01/10/47
394
517
Barrick
NA
Finance
LLC
5.750%
due
05/01/43
605
870
BAT
Capital
Corp.
3.215%
due
09/06/26
805
863
Series
WI
4.390%
due
08/15/37
800
879
Bayer
US
Finance
II
LLC
4.700%
due
07/15/64
(Þ)
605
739
Bayer
US
Finance
LLC
3.375%
due
10/08/24
(Þ)
1,402
1,506
BDS,
Ltd.
Series
2021-FL7
Class
A
1.180%
due
06/16/36
(USD
1
Month
LIBOR
+
1.070%)(Ê)(Þ)
1,397
1,397
Bellemeade
Re,
Ltd.
Series
2020-3A
Class
M1B
2.998%
due
10/25/30
(USD
1
Month
LIBOR
+
2.850%)(Ê)(Þ)
1,559
1,591
Series
2020-3A
Class
M1C
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
202
Investment
Grade
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.848%
due
10/25/30
(USD
1
Month
LIBOR
+
3.700%)(Ê)(Þ)
2,338
2,464
Series
2021-2A
Class
M1A
1.210%
due
06/25/31
(SOFR
30
Day
Average
+
1.200%)(Ê)(Þ)
2,211
2,215
Series
2021-2A
Class
M1B
1.510%
due
06/25/31
(SOFR
30
Day
Average
+
1.500%)(Ê)(Þ)
701
701
BNP
Paribas
SA
4.250%
due
10/15/24
377
416
British
Airways
Pass-Through
Trust
4.250%
due
11/15/32
(Þ)
255
274
Brookfield
Finance
LLC
3.450%
due
04/15/50
497
527
Brookfield
Finance,
Inc.
4.000%
due
04/01/24
443
480
Canadian
Imperial
Bank
of
Commerce
3.100%
due
04/02/24
392
418
0.950%
due
10/23/25
530
531
1.250%
due
06/22/26
1,000
1,004
Canadian
Natural
Resources,
Ltd.
7.200%
due
01/15/32
363
499
Canadian
Pacific
Railway
Co.
6.125%
due
09/15/15
328
523
CBAM
CLO
Management
Trust
Series
2017-1A
Class
A1
2.385%
due
07/20/30
(USD
3
Month
LIBOR
+
1.250%)(Ê)(Þ)
575
575
Celulosa
Arauco
y
Constitucion
SA
Series
WI
4.500%
due
08/01/24
383
411
Cencosud
SA
4.375%
due
07/17/27
(Þ)
386
422
CI
Financial
Corp.
3.200%
due
12/17/30
1,035
1,076
4.100%
due
06/15/51
870
919
CNH
Industrial
NV
4.500%
due
08/15/23
384
413
Colombia
Government
International
Bond
3.250%
due
04/22/32
615
601
4.125%
due
02/22/42
430
413
Corporacion
Nacional
del
Cobre
de
Chile
4.250%
due
07/17/42
(Þ)
270
309
Credit
Agricole
SA
3.750%
due
04/24/23
(Þ)
405
428
1.247%
due
01/26/27
(SOFR
+
0.892%)(Ê)(Þ)
429
426
Credit
Suisse
Group
AG
3.091%
due
05/14/32
(SOFR
+
1.730%)(Ê)(Þ)
325
339
Series
WI
4.550%
due
04/17/26
370
420
Danone
SA
2.589%
due
11/02/23
(Þ)
402
419
Danske
Bank
A/S
5.375%
due
01/12/24
(Þ)
435
482
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Deutsche
Bank
AG
3.950%
due
02/27/23
396
415
Deutsche
Telekom
International
Finance
BV
2.485%
due
09/19/23
(Þ)
416
432
Dewolf
Park
CLO,
Ltd.
Series
2017-1A
Class
A
2.429%
due
10/15/30
(USD
3
Month
LIBOR
+
1.210%)(Ê)(Þ)
1,500
1,500
Dryden
37
Senior
Loan
Fund
Series
2017-37A
Class
AR
2.319%
due
01/15/31
(USD
3
Month
LIBOR
+
1.100%)(Ê)(Þ)
1,300
1,300
Dryden
49
Senior
Loan
Fund
Series
2021-49A
Class
AR
1.137%
due
07/18/30
(USD
3
Month
LIBOR
+
0.950%)(Ê)(Þ)
3,924
3,926
ECAF,
Ltd.
Series
2015-1A
Class
A1
3.473%
due
06/15/40
(Þ)
286
277
Ecopetrol
SA
4.125%
due
01/16/25
396
415
6.875%
due
04/29/30
425
513
Element
Fleet
Management
Corp.
1.600%
due
04/06/24
(Þ)
300
305
Enbridge,
Inc.
3.700%
due
07/15/27
440
491
Enel
Finance
International
NV
Series
658A
3.500%
due
04/06/28
(Þ)
387
431
Eni
SpA
Series
X-R
4.000%
due
09/12/23
(Þ)
790
843
Equinor
ASA
3.700%
due
04/06/50
190
224
Fairfax
Financial
Holdings,
Ltd.
3.375%
due
03/03/31
(Þ)
420
448
Series
WI
4.850%
due
04/17/28
369
430
Falabella
SA
3.750%
due
04/30/23
(Þ)
460
480
Fresnillo
PLC
4.250%
due
10/02/50
(Þ)
200
209
Galaxy
Pipeline
Assets
Bidco
,
Ltd.
1.750%
due
09/30/27
(Þ)
355
360
2.625%
due
03/31/36
(Þ)
425
421
GlaxoSmithKline
Capital,
Inc.
3.375%
due
05/15/23
397
418
HGI
CRE
CLO,
Ltd.
Series
2021-FL1
Class
A
1.160%
due
06/16/36
(USD
1
Month
LIBOR
+
1.050%)(Ê)(Þ)
1,963
1,964
HSBC
Bank
PLC
7.650%
due
05/01/25
385
463
HSBC
Holdings
PLC
0.976%
due
05/24/25
(SOFR
+
0.708%)(Ê)
710
712
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Investment
Grade
Bond
Fund
203
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
4.600%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.649%)(Ê)(ƒ)
635
652
Inco,
Ltd.
7.200%
due
09/15/32
322
421
ING
Groep
NV
2.727%
due
04/01/32
(SOFR
+
1.316%)(Ê)
345
362
Intesa
Sanpaolo
SpA
3.875%
due
01/12/28
(Þ)
453
495
Inversiones
CMPC
SA
4.375%
due
05/15/23
(Þ)
405
422
4.750%
due
09/15/24
(Þ)
382
417
Lloyds
Banking
Group
PLC
4.344%
due
01/09/48
438
526
Lukoil
International
Finance
BV
4.563%
due
04/24/23
(Þ)
396
419
Macquarie
Bank,
Ltd.
3.624%
due
06/03/30
(Þ)
335
359
Madison
Park
Funding
XVIII,
Ltd.
Series
2017-18A
Class
A1R
2.299%
due
10/21/30
(USD
3
Month
LIBOR
+
1.190%)(Ê)(Þ)
1,640
1,642
Meituan
2.125%
due
10/28/25
(Þ)
482
468
Mexico
Generadora
de
Energia
S
de
RL
Series
REGS
5.500%
due
12/06/32
289
329
Mexico
Government
International
Bond
2.659%
due
05/24/31
435
428
3.771%
due
05/24/61
520
484
Natwest
Group
PLC
1.642%
due
06/14/27
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
0.900%)(Ê)
585
588
Newcrest
Finance
Pty,
Ltd.
3.250%
due
05/13/30
(Þ)
415
451
Nomura
Holdings,
Inc.
2.648%
due
01/16/25
565
595
Nordea
Bank
Abp
3.750%
due
08/30/23
(Þ)
393
419
NTT
Finance
Corp.
1.162%
due
04/03/26
(Þ)
705
707
1.591%
due
04/03/28
(Þ)
1,000
1,006
Nutrien
,
Ltd.
1.900%
due
05/13/23
420
430
POSCO
2.375%
due
01/17/23
(Þ)
408
417
Prosus
NV
4.027%
due
08/03/50
(Þ)
439
422
RESIMAC
Premier
1.274%
due
02/07/52
(Þ)
1,231
1,237
Resimac
,
Ltd.
Series
2021-1A
Class
A1
0.800%
due
07/10/52
(USD
1
Month
LIBOR
+
0.700%)(Ê)(Þ)
1,919
1,920
Reynolds
American,
Inc.
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
7.250%
due
06/15/37
390
536
8.125%
due
05/01/40
715
1,079
Roche
Holdings,
Inc.
3.250%
due
09/17/23
(Þ)
393
416
SABIC
Capital
II
BV
4.000%
due
10/10/23
(Þ)
416
445
Sands
China,
Ltd.
Series
WI
4.600%
due
08/08/23
413
437
Sanofi
3.375%
due
06/19/23
392
414
Santander
UK
PLC
5.625%
due
09/15/45
(Þ)
392
514
Saudi
Arabian
Oil
Co.
1.250%
due
11/24/23
(Þ)
200
202
2.875%
due
04/16/24
(Þ)
397
417
1.625%
due
11/24/25
(Þ)
300
303
Scentre
Group
3.625%
due
01/28/26
(Þ)
690
758
4.375%
due
05/28/30
(Þ)
525
619
Scentre
Group
Trust
2
4.750%
due
09/24/80
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.379%)(Ê)(Þ)
975
1,041
Siemens
Financieringsmaatschappij
NV
2.000%
due
09/15/23
(Þ)
405
418
SK
Hynix,
Inc.
1.000%
due
01/19/24
(Þ)
487
485
Sky,
Ltd.
3.750%
due
09/16/24
(Þ)
438
479
Smith
&
Nephew
PLC
2.032%
due
10/14/30
605
600
Societe
Generale
SA
2.625%
due
01/22/25
(Þ)
605
634
4.250%
due
04/14/25
(Þ)
384
420
3.625%
due
03/01/41
(Þ)
625
642
Standard
Chartered
PLC
5.300%
due
01/09/43
(Þ)
346
431
Statoil
ASA
2.450%
due
01/17/23
417
431
Suncor
Energy,
Inc.
5.950%
due
12/01/34
328
441
Sura
Asset
Management
SA
4.875%
due
04/17/24
(Þ)
392
421
Takeda
Pharmaceutical
Co.,
Ltd.
3.175%
due
07/09/50
690
719
Series
WI
4.400%
due
11/26/23
1,000
1,084
5.000%
due
11/26/28
1,105
1,343
Tencent
Holdings,
Ltd.
3.280%
due
04/11/24
(Þ)
454
482
Toronto-Dominion
Bank
(The)
0.300%
due
06/02/23
432
432
Total
Capital
International
SA
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
204
Investment
Grade
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.700%
due
01/25/23
469
486
TotalEnergies
Capital
Canada,
Ltd.
2.750%
due
07/15/23
481
502
TransCanada
PipeLines
,
Ltd.
5.600%
due
03/31/34
336
432
Triton
Container
International,
Ltd.
2.050%
due
04/15/26
(Þ)
540
547
UBS
Group
AG
4.125%
due
04/15/26
(Þ)
373
420
Unilever
Capital
Corp.
0.375%
due
09/14/23
429
430
Vale
Overseas,
Ltd.
6.250%
due
08/10/26
343
412
6.875%
due
11/10/39
290
410
Vale
SA
5.625%
due
09/11/42
337
429
Validus
Holdings,
Ltd.
8.875%
due
01/26/40
477
799
Volkswagen
Group
of
America
Finance
LLC
1.250%
due
11/24/25
(Þ)
1,115
1,119
Voya
CLO,
Ltd.
Series
2020-2A
Class
A1RR
2.155%
due
04/17/30
(USD
3
Month
LIBOR
+
1.020%)(Ê)(Þ)
1,660
1,660
Series
2021-3A
Class
A1R
1.174%
due
04/20/34
(USD
3
Month
LIBOR
+
1.040%)(Ê)(Þ)
3,480
3,479
Westpac
Banking
Corp.
2.668%
due
11/15/35
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
1.750%)(Ê)
530
529
100,046
Mortgage-Backed
Securities
-
17.2%
Banc
of
America
Mortgage
Trust
Series
2004-D
Class
2A2
3.846%
due
05/25/34
(~)(Ê)
60
62
Series
2006-B
Class
1A1
4.122%
due
10/20/46
(~)(Ê)
15
10
BDS
Series
2021-FL8
Class
A
1.020%
due
01/18/36
(USD
1
Month
LIBOR
+
0.920%)(Ê)(Þ)
884
885
CAMB
Commercial
Mortgage
Trust
Series
2019-LIFE
Class
E
2.335%
due
12/15/37
(USD
1
Month
LIBOR
+
2.150%)(Ê)(Þ)
3,188
3,197
Chase
Home
Lending
Mortgage
Trust
Series
2020-CL1
Class
M1
2.429%
due
06/26/34
(USD
1
Month
LIBOR
+
2.250%)(Ê)(Þ)
1,781
1,822
Citigroup
Commercial
Mortgage
Trust
Series
2013-375P
Class
D
3.635%
due
05/10/35
(~)(Ê)(Þ)
2,427
2,474
Commercial
Mortgage
Trust
Series
2019-521F
Class
D
1.735%
due
06/15/34
(USD
1
Month
LIBOR
+
1.550%)(Ê)(Þ)
1,672
1,597
Credit
Suisse
Mortgage
Trust
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2019-ICE4
Class
E
2.335%
due
05/15/36
(USD
1
Month
LIBOR
+
2.150%)(Ê)(Þ)
2,384
2,391
DBGS
Mortgage
Trust
Series
2019-1735
Class
D
4.334%
due
04/10/37
(~)(Ê)(Þ)
1,961
2,078
Eagle
Re,
Ltd.
Series
2020-1
Class
M1A
1.068%
due
01/25/30
(USD
1
Month
LIBOR
+
0.900%)(Ê)(Þ)
755
753
Series
2021-1
Class
M1B
2.165%
due
10/25/33
(SOFR
30
Day
Average
+
2.150%)(Ê)(Þ)
1,464
1,482
Fannie
Mae
2.600%
due
2031
330
363
5.500%
due
2033
31
34
5.500%
due
2034
206
238
4.500%
due
2035
298
338
6.000%
due
2035
62
70
5.500%
due
2036
149
172
5.500%
due
2037
107
124
5.500%
due
2038
474
550
6.000%
due
2039
30
35
4.500%
due
2040
105
116
5.500%
due
2040
410
465
4.000%
due
2041
117
129
3.500%
due
2043
1,074
1,193
4.000%
due
2043
115
126
4.000%
due
2044
613
673
3.500%
due
2045
898
973
4.000%
due
2045
590
649
4.000%
due
2046
1,270
1,383
4.500%
due
2046
329
369
4.000%
due
2047
453
490
4.500%
due
2047
105
114
4.000%
due
2048
604
658
5.000%
due
2048
2,119
2,324
3.000%
due
2049
3,461
3,751
4.000%
due
2049
574
628
2.000%
due
2050
14,836
15,192
2.500%
due
2050
4,184
4,407
3.500%
due
2050
572
617
Fannie
Mae
REMIC
Trust
Series
2004-W12
Class
1A3
7.000%
due
07/25/44
437
528
Fannie
Mae
REMICS
Series
1999-56
Class
Z
7.000%
due
12/18/29
21
24
Series
2005-117
Class
LC
5.500%
due
11/25/35
62
64
Series
2020-97
Class
EI
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Investment
Grade
Bond
Fund
205
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Interest
Only
STRIP
2.000%
due
01/25/51
1,900
238
Series
2021-1
Class
IM
Interest
Only
STRIP
2.000%
due
02/25/51
1,333
157
Series
2021-3
Class
KI
Interest
Only
STRIP
2.500%
due
02/25/51
2,363
249
Series
2021-3
Class
NI
Interest
Only
STRIP
2.500%
due
02/25/51
2,120
272
Series
2021-8
Class
GI
Interest
Only
STRIP
3.000%
due
03/25/51
949
158
Freddie
Mac
5.500%
due
2032
9
10
7.500%
due
2032
6
7
5.500%
due
2034
18
21
4.000%
due
2040
506
569
5.500%
due
2041
160
186
3.500%
due
2043
660
734
3.500%
due
2044
109
120
4.000%
due
2044
401
442
4.000%
due
2045
718
796
3.500%
due
2046
110
119
4.000%
due
2047
767
830
4.500%
due
2048
270
292
2.500%
due
2050
6,725
7,049
3.000%
due
2050
8,706
9,345
2.000%
due
2051
5,315
5,453
Freddie
Mac
Reference
REMICS
Series
2006-R007
Class
ZA
6.000%
due
05/15/36
205
240
Freddie
Mac
REMICS
Series
2002-2533
Class
Z
5.500%
due
12/15/32
423
484
Series
2006-3123
Class
HT
5.000%
due
03/15/26
98
104
Series
2010-3632
Class
PK
5.000%
due
02/15/40
109
121
Series
2012-4019
Class
JD
3.000%
due
05/15/41
106
111
Series
2020-5008
Class
IE
Interest
Only
STRIP
2.000%
due
09/25/50
1,550
153
Series
2020-5038
Class
NI
Interest
Only
STRIP
2.000%
due
11/25/50
2,279
272
Series
2020-5050
Class
IP
Interest
Only
STRIP
3.000%
due
10/25/50
4,152
585
Series
2020-5052
Class
IO
Interest
Only
STRIP
3.500%
due
12/25/50
1,645
226
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2020-5052
Class
KI
Interest
Only
STRIP
4.000%
due
12/25/50
2,044
292
Series
2021-5072
Class
IQ
Interest
Only
STRIP
3.500%
due
10/25/50
1,799
279
Series
2021-5072
Class
QI
Interest
Only
STRIP
3.500%
due
10/25/50
1,779
311
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
Series
2018-HQA2
Class
M2AS
0.992%
due
10/25/48
(USD
1
Month
LIBOR
+
0.900%)(Ê)(Þ)
2,252
2,250
Ginnie
Mae
II
4.500%
due
2042
127
142
Ginnie
Mae
REMICS
Series
2020-134
Class
IL
Interest
Only
STRIP
2.500%
due
09/20/50
706
62
Series
2020-146
Class
EI
Interest
Only
STRIP
2.500%
due
10/20/50
1,948
210
Series
2020-167
Class
BI
Interest
Only
STRIP
2.500%
due
11/20/50
2,482
301
Series
2020-167
Class
IA
Interest
Only
STRIP
2.500%
due
11/20/50
2,473
263
Series
2020-167
Class
IW
Interest
Only
STRIP
2.000%
due
11/20/50
2,742
290
Series
2020-173
Class
MI
Interest
Only
STRIP
2.500%
due
11/20/50
8,406
1,024
Series
2021-1
Class
AI
Interest
Only
STRIP
2.000%
due
01/20/51
681
82
Series
2021-1
Class
PI
Interest
Only
STRIP
2.500%
due
12/20/50
672
76
Series
2021-9
Class
MI
Interest
Only
STRIP
2.500%
due
01/20/51
2,388
289
Series
2021-23
Class
IA
Interest
Only
STRIP
2.500%
due
02/20/51
1,452
197
Hilton
USA
Trust
Series
2016-SFP
Class
A
2.828%
due
11/05/35
(Þ)
261
262
JPMorgan
Chase
Commercial
Mortgage
Securities
Trust
Series
2004-LN2
Class
B
5.686%
due
07/15/41
(~)(Ê)
48
48
JPMorgan
Mortgage
Trust
2.500%
due
12/25/51
5,375
5,477
Series
2020-3
Class
A15
3.500%
due
08/25/50
(~)(Ê)(Þ)
347
353
Series
2021-6
Class
A6
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
206
Investment
Grade
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.500%
due
10/25/51
(~)(Ê)(Þ)
4,306
4,421
Series
2021-7
Class
A6
2.500%
due
11/25/51
(~)(Ê)(Þ)
4,237
4,354
Series
2021-8
Class
A6
2.500%
due
12/25/51
(~)(Ê)(Þ)
3,641
3,737
Mello
Mortgage
Capital
Acceptance
Series
2021-INV1
Class
A4
2.500%
due
06/25/51
(~)(Ê)(Þ)
1,265
1,303
MHC
Commercial
Mortgage
Trust
Series
2021-MHC
Class
A
0.951%
due
04/15/26
(USD
1
Month
LIBOR
+
0.801%)(Ê)(Þ)
2,776
2,781
Morgan
Stanley
Capital
I
Trust
Series
2018-BOP
Class
E
2.135%
due
06/15/35
(USD
1
Month
LIBOR
+
1.950%)(Ê)(Þ)
4,061
3,986
Morgan
Stanley
Mortgage
Capital
Holdings
LLC
Trust
Series
2017-237P
Class
D
3.865%
due
09/13/39
(~)(Ê)(Þ)
1,883
1,959
Series
2017-237P
Class
XA
Interest
Only
STRIP
0.468%
due
09/13/39
(~)(Ê)(Þ)
10,103
207
Series
2017-237P
Class
XB
Interest
Only
STRIP
0.175%
due
09/13/39
(~)(Ê)(Þ)
6,248
34
MSCG
Trust
Series
2018-SELF
Class
D
1.835%
due
10/15/37
(USD
1
Month
LIBOR
+
1.650%)(Ê)(Þ)
2,783
2,788
Oaktown
Re
III,
Ltd.
Series
2019-1A
Class
M1B
2.080%
due
07/25/29
(USD
1
Month
LIBOR
+
1.950%)(Ê)(Þ)
678
678
Oaktown
Re
VI,
Ltd.
Series
2021-1A
Class
M1B
2.060%
due
10/25/33
(SOFR
30
Day
Average
+
2.050%)(Ê)(Þ)
2,464
2,495
One
Market
Plaza
Trust
Series
2017-1MKT
Class
C
4.016%
due
02/10/32
(Þ)
1,133
1,150
Radnor
RE,
Ltd.
Series
2020-1
Class
M1A
1.118%
due
02/25/30
(USD
1
Month
LIBOR
+
0.950%)(Ê)(Þ)
840
839
RCKT
Mortgage
Trust
Series
2021-2
Class
A5
2.500%
due
06/25/51
(~)(Ê)(Þ)
2,395
2,460
Sequoia
Mortgage
Trust
Series
2021-4
Class
A10
2.500%
due
06/25/51
(~)(Ê)(Þ)
2,324
2,388
Towd
Point
Asset
Funding
LLC
Series
2021-HE1
Class
A1
0.918%
due
02/25/63
(~)(Ê)(Þ)
1,095
1,095
UWM
Mortgage
Trust
Series
2021-1
Class
A4
2.500%
due
06/25/51
(~)(Ê)(Þ)
2,448
2,515
134,289
Municipal
Bonds
-
0.1%
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Municipal
Electric
Authority
of
Georgia
Revenue
Bonds
6.637%
due
04/01/57
268
416
7.055%
due
04/01/57
482
729
1,145
Non-US
Bonds
-
4.7%
Aqueduct
European
CLO
DAC
Series
2021-3A
Class
AR
0.930%
due
08/15/34
(3
Month
EURIBOR
+
0.930%)(Ê)(Þ)
EUR
1,100
1,304
Avoca
CLO
XXIV
DAC
0.900%
due
07/15/34
EUR
1,000
1,185
CIFC
Funding,
Ltd.
1.000%
due
08/18/35
EUR
698
826
Contego
CLO
DAC
1.000%
due
01/24/34
EUR
1,572
1,864
Cordatus
CLO
PLC
0.810%
due
06/22/34
EUR
2,735
3,232
Eurosail
PRIME-UK
PLC
Series
2007-PR1X
Class
A1
0.598%
due
09/13/45
(GBP
3
Month
LIBOR
+
0.400%)(Ê)
GBP
754
1,028
Harvest
CLO
XIX
DAC
Series
2018-19X
Class
A
0.770%
due
04/14/31
(3
Month
EURIBOR
+
0.770%)(Ê)
EUR
1,817
2,157
Harvest
CLO
XXVI
DAC
Series
2021-26A
Class
A
1.000%
due
01/15/34
(3
Month
EURIBOR
+
0.940%)(Ê)(Þ)
EUR
1,189
1,407
Last
Mile
Logistics
Group,
Inc.
0.750%
due
08/17/26
EUR
1,221
1,450
Last
Mile
Securities
0.900%
due
08/17/31
EUR
1,273
1,522
Madison
Park
Euro
Funding
IX
DAC
Series
2021-9A
Class
AR
0.880%
due
07/15/35
(3
Month
EURIBOR
+
0.880%)(Ê)(Þ)
EUR
952
1,127
Mansard
Mortgages
Series
2007-1X
Class
A2
0.208%
due
04/15/47
(GBP
3
Month
LIBOR
+
0.180%)(Ê)
GBP
1,496
2,014
Newgate
Funding
PLC
Series
2006-1
Class
A4
1.086%
due
12/01/50
(GBP
3
Month
LIBOR
+
0.190%)(Ê)
GBP
796
1,092
Series
2006-3X
Class
A3B
3.732%
due
12/01/50
(3
Month
EURIBOR
+
0.170%)(Ê)
EUR
1,052
1,223
Paragon
Mortgages
(No.
12)
PLC
0.293%
due
11/15/38
(~)(Ê)
GBP
2,875
3,952
RMAC
Securities
No.
1
PLC
0.234%
due
06/12/44
GBP
464
624
Series
2006-NS1X
Class
A2A
1.050%
due
06/12/44
(GBP
3
Month
LIBOR
+
0.150%)(Ê)
GBP
388
524
Series
2006-NS4X
Class
A3A
0.368%
due
06/12/44
(GBP
3
Month
LIBOR
+
0.170%)(Ê)
GBP
1,077
1,450
Taurus
CMBS
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Investment
Grade
Bond
Fund
207
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
1.000%
due
08/17/31
GBP
1,808
2,513
Taurus
UK
Designated
Activity
Co.
Series
2021-UK1A
Class
A
0.901%
due
05/17/31
(3
Month
SONIA
Deposit
Rate
+
0.850%)(Ê)(Þ)
GBP
565
788
Series
2021-UK1A
Class
B
1.351%
due
05/17/31
(3
Month
SONIA
Deposit
Rate
+
1.300%)(Ê)(Þ)
GBP
500
697
Towd
Point
Mortgage
Funding
Series
2019-A13X
Class
B
1.251%
due
07/20/45
(3
Month
SONIA
Deposit
Rate
+
1.200%)(Ê)
GBP
2,034
2,829
Warwick
Finance
Residential
Mortgages
Number
Three
PLC
0.854%
due
12/21/49
(~)(Ê)(Þ)
GBP
1,282
1,785
36,593
United
States
Government
Agencies
-
0.1%
Tennessee
Valley
Authority
0.750%
due
05/15/25
750
754
United
States
Government
Treasuries
-
26.7%
United
States
Treasury
Notes
1.500%
due
09/15/22
4,160
4,226
0.250%
due
04/15/23
6,875
6,886
1.750%
due
05/15/23
5,460
5,614
1.250%
due
07/31/23
5,080
5,188
0.250%
due
11/15/23
6,040
6,043
2.750%
due
11/15/23
12,805
13,541
0.125%
due
01/15/24
11,755
11,717
2.000%
due
04/30/24
4,158
4,351
2.250%
due
04/30/24
4,355
4,586
0.250%
due
05/15/24
5,080
5,071
2.000%
due
02/15/25
6,065
6,392
3.000%
due
10/31/25
2,820
3,106
2.250%
due
11/15/25
3,530
3,778
1.625%
due
02/15/26
6,760
7,058
2.250%
due
03/31/26
2,750
2,952
1.625%
due
05/15/26
4,362
4,558
0.875%
due
06/30/26
4,105
4,142
1.500%
due
08/15/26
6,534
6,789
0.625%
due
03/31/27
4,275
4,235
2.375%
due
05/15/27
3,010
3,275
0.500%
due
05/31/27
5,150
5,051
2.750%
due
02/15/28
2,550
2,844
1.125%
due
02/29/28
1,336
1,352
1.250%
due
03/31/28
1,652
1,683
2.875%
due
05/15/28
2,598
2,925
1.000%
due
07/31/28
1,360
1,360
2.875%
due
08/15/28
1,938
2,186
3.125%
due
11/15/28
1,564
1,795
2.375%
due
05/15/29
1,410
1,546
1.625%
due
08/15/29
5,925
6,167
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
1.750%
due
11/15/29
5,120
5,380
0.625%
due
08/15/30
6,610
6,290
0.875%
due
11/15/30
1,846
1,792
1.125%
due
02/15/31
2,148
2,129
1.625%
due
05/15/31
5,620
5,826
1.125%
due
05/15/40
1,920
1,715
1.125%
due
08/15/40
3,700
3,294
1.375%
due
11/15/40
3,930
3,651
1.875%
due
02/15/41
2,284
2,310
2.250%
due
05/15/41
3,035
3,260
2.750%
due
11/15/42
2,180
2,533
3.125%
due
08/15/44
1,690
2,093
2.875%
due
08/15/45
1,210
1,445
2.750%
due
11/15/47
3,411
4,021
3.000%
due
02/15/48
2,141
2,641
3.000%
due
08/15/48
1,406
1,738
3.375%
due
11/15/48
1,360
1,796
3.000%
due
02/15/49
1,453
1,801
2.875%
due
05/15/49
1,462
1,774
1.250%
due
05/15/50
3,505
2,983
1.625%
due
11/15/50
4,410
4,123
1.875%
due
02/15/51
3,145
3,123
2.375%
due
05/15/51
2,265
2,513
208,648
Total
Long-Term
Investments
(cost
$693,137
)
714,650
Short-Term
Investments
-
7.9%
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
Series
WI
5.000%
due
10/01/21
460
463
America
Movil
SAB
de
CV
3.125%
due
07/16/22
410
420
Athene
Global
Funding
3.000%
due
07/01/22
(Þ)
140
143
Citigroup,
Inc.
4.050%
due
07/30/22
311
322
Evergy
,
Inc.
5.292%
due
06/15/22
(~)(Ê)
805
829
Ford
Motor
Credit
Co.
LLC
Series
FXD
3.813%
due
10/12/21
200
201
General
Motors
Financial
Co.,
Inc.
3.450%
due
04/10/22
945
960
Kaupthing
Bank
HF
7.625%
due
02/28/20
(Ø)(Š)(Æ)(Þ)
1,210
5.750%
due
10/04/20
(Ø)(Š)(Æ)(Þ)
100
Pacific
Gas
and
Electric
Co.
1.750%
due
06/16/22
675
674
PacifiCorp
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
208
Investment
Grade
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.950%
due
02/01/22
295
297
Suncor
Energy
Ventures
Corp.
4.500%
due
04/01/22
(Þ)
365
372
U.S.
Cash
Management
Fund(@)
41,698,463(∞)
41,690
United
States
Treasury
Notes
0.125%
due
05/31/22
355
355
0.125%
due
06/30/22
4,980
4,982
2.125%
due
06/30/22
10,290
10,482
Total
Short-Term
Investments
(cost
$63,233)
62,190
Total
Investments
-
99.3%
(identified
cost
$756,370)
776,840
Other
Assets
and
Liabilities,
Net
-
0.7%
5,437
Net
Assets
-
100.0%
782,277
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Investment
Grade
Bond
Fund
209
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
25.6%
7-Eleven,
Inc.
05/14/21
115,000
89.82
103
110
7-Eleven,
Inc.
05/14/21
85,000
91.29
78
81
Adani
Ports
and
Special
Economic
Zone,
Ltd.
04/23/20
465,000
93.83
436
483
Air
Liquide
Finance
SA
07/13/21
414,000
103.61
429
429
Alimentation
Couche-Tard,
Inc.
09/19/17
445,000
98.74
439
495
American
Tower
Trust
#1
01/05/17
240,000
99.76
239
241
Amur
Equipment
Finance
Receivables
IX
LLC
04/14/21
709,000
99.99
709
712
Anglo
American
Capital
PLC
04/14/21
451,000
107.65
485
488
Antares
Holdings,
LP
01/21/21
505,000
98.90
499
536
ANZ
New
Zealand
International,
Ltd.
06/16/21
1,000,000
100.00
1,000
1,008
Apollo
Management
Holdings,
LP
05/24/16
230,000
99.95
230
263
Apollo
Management
Holdings,
LP
03/08/18
365,000
99.29
362
476
Apollo
Management
Holdings,
LP
05/24/18
195,000
99.69
194
212
Aqueduct
European
CLO
DAC
06/15/21
EUR
1,100,000
121.27
1,334
1,304
Arbor
Realty
CLO,
Ltd.
05/26/21
923,000
100.00
923
924
AT&T,
Inc.
06/23/20
625,000
93.82
586
646
Athene
Global
Funding
06/12/19
140,000
100.22
140
143
Athene
Global
Funding
11/06/19
1,145,000
102.76
1,177
1,233
Aviation
Capital
Group
LLC
09/03/20
458,000
97.35
446
498
Banco
de
Bogota
SA
09/22/17
477,000
99.16
473
496
Banco
de
Credito
e
Inversiones
SA
10/05/20
396,000
104.38
413
415
Banco
Inbursa
SA
Institucion
de
Banca
Multiple
07/13/21
401,000
107.17
430
428
Banco
Santander
Mexico
SA
Institucion
de
Banca
Multiple
Grupo
Financiero
Santander
04/14/20
150,000
100.00
150
169
Bangkok
Bank
PCL
06/19/18
303,000
124.97
379
423
Bayer
US
Finance
II
LLC
08/14/18
605,000
93.63
566
739
Bayer
US
Finance
LLC
06/18/18
1,402,000
98.96
1,390
1,506
BDS
07/22/21
884,000
100.00
884
885
BDS,
Ltd.
05/14/21
1,397,000
100.00
1,397
1,397
Bellemeade
Re,
Ltd.
10/28/20
2,338,000
100.00
2,338
2,464
Bellemeade
Re,
Ltd.
10/28/20
1,559,000
100.00
1,559
1,591
Bellemeade
Re,
Ltd.
06/11/21
2,211,000
100.00
2,211
2,215
Bellemeade
Re,
Ltd.
06/11/21
701,000
100.00
701
701
Blackbird
Capital
Aircraft
Lease
Securitization,
Ltd.
11/04/16
2,049,688
98.23
2,013
2,065
Blackstone
Holdings
Finance
Co.
LLC
05/03/21
384,000
127.42
489
528
Blackstone
Holdings
Finance
Co.
LLC
07/29/21
515,000
99.10
510
512
British
Airways
Pass-Through
Trust
11/17/20
254,853
100.00
255
274
Broadcom,
Inc.
05/05/20
625,000
99.89
624
667
Broadcom,
Inc.
01/04/21
455,000
99.66
453
472
CAMB
Commercial
Mortgage
Trust
01/25/19
3,188,000
100.00
3,188
3,197
Cargill,
Inc.
01/28/21
435,000
99.96
435
432
CBAM
CLO
Management
Trust
06/29/18
575,000
100.04
575
575
Cencosud
SA
06/18/21
386,000
109.67
423
422
Centene
Corp.
11/12/19
200,000
103.73
207
208
Chase
Auto
Credit
Liked
Notes
03/16/21
5,207,691
100.00
5,208
5,214
Chase
Home
Lending
Mortgage
Trust
07/22/20
1,780,999
100.00
1,781
1,822
Citadel
Finance
LLC
03/03/21
590,000
99.57
587
599
Citadel,
LP
09/11/19
625,000
99.78
624
681
Citigroup
Commercial
Mortgage
Trust
03/06/19
2,427,000
0.99
2,393
2,474
Commercial
Mortgage
Trust
06/05/19
1,672,000
100.00
1,672
1,597
ConocoPhillips
04/30/19
240,000
100.36
241
273
Corporacion
Nacional
del
Cobre
de
Chile
01/17/20
270,000
106.14
287
309
CoStar
Group,
Inc.
06/24/20
645,000
99.93
645
666
Credit
Agricole
SA
06/17/21
429,000
98.57
423
426
Credit
Agricole
SA
07/12/21
405,000
105.58
428
428
Credit
Suisse
Group
AG
05/10/21
325,000
100.16
326
339
Credit
Suisse
Mortgage
Trust
05/28/19
2,384,000
100.00
2,384
2,391
Danone
SA
10/01/19
402,000
100.88
406
419
Danske
Bank
A/S
05/08/19
435,000
102.82
447
482
DBGS
Mortgage
Trust
04/03/19
1,961,000
101.28
1,986
2,078
Deutsche
Telekom
International
Finance
BV
07/13/21
416,000
103.83
432
432
Dewolf
Park
CLO,
Ltd.
07/10/18
1,500,000
100.14
1,502
1,500
Dryden
37
Senior
Loan
Fund
12/06/17
1,300,000
100.00
1,300
1,300
Dryden
49
Senior
Loan
Fund
03/29/21
3,924,000
100.00
3,923
3,926
Eagle
Re,
Ltd.
01/27/20
755,000
100.00
755
753
Eagle
Re,
Ltd.
04/09/21
1,464,000
100.00
1,464
1,482
ECAF,
Ltd.
08/09/18
285,920
99.28
284
277
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
210
Investment
Grade
Bond
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Element
Fleet
Management
Corp.
03/31/21
300,000
99.90
300
305
Enel
Finance
International
NV
01/05/18
387,000
94.15
364
431
Eni
SpA
09/05/18
790,000
99.76
788
843
F&G
Global
Funding
06/23/21
295,000
99.97
295
301
Fairfax
Financial
Holdings,
Ltd.
03/01/21
420,000
100.02
420
448
Falabella
SA
04/13/21
460,000
104.46
481
480
Farmers
Exchange
Capital
III
10/12/16
290,000
99.14
288
368
FirstKey
Homes
Trust
10/02/20
4,932,090
100.78
4,970
4,950
FNA
VI
LLC
01/22/21
896,644
99.98
897
897
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
05/24/21
2,252,000
100.05
2,253
2,250
Fresnillo
PLC
09/29/20
200,000
98.03
196
209
GA
Global
Funding
Trust
Secured
01/08/21
405,000
99.90
405
413
Galaxy
Pipeline
Assets
Bidco
,
Ltd.
10/27/20
425,000
100.00
425
421
Galaxy
Pipeline
Assets
Bidco
,
Ltd.
10/27/20
355,000
100.00
355
360
Harvest
CLO
XXVI
DAC
06/24/21
EUR
1,189,000
119.34
1,419
1,407
Health
Care
Service
Corp.,
a
Mutual
Legal
Reserve
Co.
05/28/20
705,000
99.64
702
720
Hewlett
Packard
Enterprise
Co.
09/30/15
500
99.97
1
HGI
CRE
CLO,
Ltd.
05/06/21
1,963,000
100.03
1,964
1,964
Hilton
USA
Trust
05/26/17
261,000
99.73
260
262
Intesa
Sanpaolo
SpA
06/18/18
453,000
90.73
411
495
Inversiones
CMPC
SA
07/06/20
382,000
105.67
404
417
Inversiones
CMPC
SA
07/08/21
405,000
105.10
426
422
Invitation
Homes
Trust
09/09/20
2,188,322
99.64
2,180
2,192
JPMorgan
Mortgage
Trust
03/30/21
347,199
102.17
355
353
JPMorgan
Mortgage
Trust
04/26/21
4,305,978
102.81
4,427
4,421
JPMorgan
Mortgage
Trust
05/24/21
4,237,359
102.90
4,360
4,354
JPMorgan
Mortgage
Trust
06/24/21
3,641,432
102.62
3,737
3,737
Kaupthing
Bank
HF
02/25/08
1,210,000
1,013
Kaupthing
Bank
HF
10/04/11
100,000
99
KKR
Group
Finance
Co.
III
LLC
03/11/15
225,000
100.43
226
299
Land
O'Lakes,
Inc.
06/22/16
700,000
101.43
710
738
Lukoil
International
Finance
BV
09/19/17
396,000
100.67
399
419
Macquarie
Bank,
Ltd.
05/27/20
335,000
100.00
335
359
Madison
Park
Euro
Funding
IX
DAC
06/09/21
EUR
952,000
121.77
1,159
1,127
Madison
Park
Funding
XVIII,
Ltd.
09/29/17
1,640,000
100.00
1,640
1,642
Magnetite
XVIII,
Ltd.
10/31/18
1,786,000
100.00
1,786
1,786
Marvell
Technology,
Inc.
06/28/21
379,000
99.86
378
382
Meituan
12/02/20
482,000
101.27
488
468
Mello
Mortgage
Capital
Acceptance
06/14/21
1,264,963
102.66
1,299
1,303
MHC
Commercial
Mortgage
Trust
04/06/21
2,776,000
99.76
2,769
2,781
Morgan
Stanley
Capital
I
Trust
08/15/18
4,060,871
100.00
4,061
3,986
Morgan
Stanley
Mortgage
Capital
Holdings
LLC
Trust
08/11/17
6,248,000
0.54
34
34
Morgan
Stanley
Mortgage
Capital
Holdings
LLC
Trust
08/11/17
10,103,000
2.05
207
207
Morgan
Stanley
Mortgage
Capital
Holdings
LLC
Trust
08/11/17
1,883,000
97.29
1,832
1,959
Motiva
Enterprises
LLC
04/23/20
333,000
91.24
304
435
MSCG
Trust
10/09/18
2,783,000
100.00
2,783
2,788
Mutual
of
Omaha
Insurance
Co.
07/14/14
295,000
100.00
295
309
Navient
Private
Education
Refi
Loan
Trust
07/20/20
829,753
99.99
830
835
Navient
Private
Education
Refi
Loan
Trust
07/23/20
3,107,161
101.04
3,139
3,162
Navient
Private
Education
Refi
Loan
Trust
11/03/20
1,142,889
99.99
1,143
1,153
Navient
Private
Education
Refi
Loan
Trust
01/19/21
899,680
99.99
900
899
Navient
Private
Education
Refi
Loan
Trust
03/16/21
1,524,796
100.00
1,525
1,527
Navient
Private
Education
Refi
Loan
Trust
05/18/21
1,942,229
99.98
1,942
1,950
Nestle
Holdings,
Inc.
04/22/20
393,000
104.83
412
417
New
York
Life
Insurance
Co.
04/08/20
195,000
99.40
194
226
Newcrest
Finance
Pty,
Ltd.
05/07/20
415,000
100.48
417
451
NGPL
PipeCo
LLC
10/02/19
297,000
127.35
378
434
Nordea
Bank
Abp
06/17/21
393,000
106.54
419
419
NTT
Finance
Corp.
02/24/21
1,000,000
100.00
1,000
1,006
NTT
Finance
Corp.
02/24/21
705,000
100.00
705
707
Oaktown
Re
III,
Ltd.
01/26/21
678,000
100.47
681
678
Oaktown
Re
VI,
Ltd.
04/14/21
2,464,000
100.00
2,464
2,495
Octane
Receivables
Trust
04/27/21
1,778,002
99.99
1,778
1,780
Ohio
National
Financial
Services,
Inc.
01/16/20
365,000
99.94
365
424
One
Market
Plaza
Trust
02/15/17
1,133,000
102.15
1,157
1,150
OneMain
Financial
Issuance
Trust
05/17/21
8,310,000
99.97
8,307
8,394
OneMain
Financial
Issuance
Trust
05/24/21
5,140,000
107.78
5,539
5,573
Pacific
Life
Insurance
Co.
06/15/18
255,000
92.26
235
300
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Investment
Grade
Bond
Fund
211
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
POSCO
01/04/21
408,000
102.36
418
417
Prosus
NV
02/03/21
439,000
100.69
442
422
Radnor
RE,
Ltd.
01/21/20
840,000
100.00
840
839
RCKT
Mortgage
Trust
06/22/21
2,394,541
102.09
2,445
2,460
RESIMAC
Premier
09/23/20
1,230,814
100.00
1,231
1,237
Resimac
,
Ltd.
03/04/21
1,918,696
100.00
1,919
1,920
Resorts
World
Las
Vegas
LLC
/
RWLV
Capital,
Inc.
03/30/21
395,000
97.76
386
414
Roche
Holdings,
Inc.
07/08/20
393,000
105.65
415
416
Royalty
Pharma
PLC
08/24/20
620,000
97.94
607
617
Royalty
Pharma
PLC
08/24/20
265,000
98.49
261
267
Royalty
Pharma
PLC
08/24/20
760,000
99.07
753
760
Royalty
Pharma
PLC
08/24/20
990,000
99.53
985
994
SABIC
Capital
II
BV
04/07/20
416,000
100.51
418
445
Santander
UK
PLC
10/01/18
392,000
102.83
403
514
Saudi
Arabian
Oil
Co.
04/07/20
397,000
99.03
393
417
Saudi
Arabian
Oil
Co.
11/17/20
200,000
99.83
200
202
Saudi
Arabian
Oil
Co.
11/17/20
300,000
99.97
300
303
Scentre
Group
05/19/20
690,000
99.51
687
758
Scentre
Group
05/19/20
525,000
99.80
524
619
Scentre
Group
Trust
2
09/16/20
975,000
100.00
975
1,041
Sequoia
Mortgage
Trust
05/06/21
2,323,706
102.77
2,388
2,388
Siemens
Financieringsmaatschappij
NV
02/03/21
405,000
103.38
419
418
SK
Hynix,
Inc.
03/09/21
487,000
100.01
487
485
Sky,
Ltd.
01/05/21
438,000
109.76
481
479
Smithfield
Foods,
Inc.
03/27/19
500,000
101.11
506
587
Societe
Generale
SA
01/16/20
384,000
104.37
401
420
Societe
Generale
SA
01/16/20
605,000
99.86
604
634
Societe
Generale
SA
02/22/21
625,000
99.65
623
642
SoFi
Professional
Loan
Program
Trust
07/20/20
731,375
102.11
747
743
Sprint
Spectrum
Co.
LLC
/
Sprint
Spectrum
Co.
II
LLC
/
Sprint
Spectrum
Co.
III
LLC
04/16/20
450,000
108.48
488
518
Standard
Chartered
PLC
06/21/21
346,000
121.34
420
431
Suncor
Energy
Ventures
Corp.
12/14/18
365,000
99.96
365
372
Sura
Asset
Management
SA
06/18/21
392,000
107.88
423
421
TAL
Advantage
VII
LLC
06/24/21
5,281,550
100.95
5,332
5,355
Taurus
UK
Designated
Activity
Co.
02/22/21
GBP
500,000
140.62
703
697
Taurus
UK
Designated
Activity
Co.
02/22/21
GBP
565,000
140.62
795
788
Tencent
Holdings,
Ltd.
01/04/21
454,000
105.77
480
482
Tennessee
Gas
Pipeline
Co.
LLC
02/19/20
875,000
98.22
859
922
Texas
Eastern
Transmission,
LP
11/13/19
453,000
102.92
466
499
Towd
Point
Asset
Funding
LLC
02/22/21
1,094,844
100.00
1,095
1,095
Towd
Point
Mortgage
Trust
08/04/17
4
99.29
Towd
Point
Mortgage
Trust
11/26/19
1,047,323
100.28
1,050
1,051
Towd
Point
Mortgage
Trust
08/17/20
1,040,616
101.80
1,059
1,053
Triton
Container
International,
Ltd.
04/06/21
540,000
99.90
539
547
UBS
Group
AG
07/07/20
373,000
111.90
417
420
Upjohn,
Inc.
07/07/20
409,000
104.14
426
421
UWM
Mortgage
Trust
05/27/21
2,447,599
102.27
2,503
2,515
Vistra
Operations
Co.
LLC
06/04/19
275,000
99.82
275
301
Volkswagen
Group
of
America
Finance
LLC
11/17/20
1,115,000
99.85
1,113
1,119
Vontier
Corp.
03/03/21
330,000
99.80
329
335
Vontier
Corp.
03/03/21
370,000
99.87
370
371
Voya
CLO,
Ltd.
02/18/20
1,659,541
100.00
1,660
1,660
Voya
CLO,
Ltd.
03/17/21
3,480,000
100.00
3,479
3,479
Warwick
Finance
Residential
Mortgages
Number
Three
PLC
02/10/21
GBP
1,282,260
138.66
1,778
1,785
Western
&
Southern
Life
Insurance
Co.
(The)
04/21/21
355,000
99.85
354
394
200,243
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
212
Investment
Grade
Bond
Fund
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
Australia
10
Year
Government
Bond
Futures
329
AUD
47,836
09/21
906
Canadian
10
Year
Government
Bond
Futures
48
CAD
7,104
09/21
159
United
States
2
Year
Treasury
Note
Futures
22
USD
4,854
09/21
(1)
United
States
5
Year
Treasury
Note
Futures
527
USD
65,583
09/21
290
United
States
10
Year
Treasury
Note
Futures
753
USD
101,244
09/21
1,669
United
States
10
Year
Ultra
Treasury
Note
Futures
36
USD
5,409
09/21
25
United
States
Treasury
Long
Bond
Futures
71
USD
11,694
09/21
566
United
States
Treasury
Ultra
Bond
Futures
59
USD
11,773
09/21
743
Short
Positions
Euro-Bund
Futures
149
EUR
26,309
09/21
(870)
Japanese
10
Year
Government
Bond
Futures
5
JPY
761,499
09/21
(39)
Long
Gilt
Futures
100
GBP
12,979
09/21
(358)
United
States
2
Year
Treasury
Note
Futures
149
USD
32,878
09/21
3
United
States
Treasury
Long
Bond
Futures
5
USD
824
09/21
(5)
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
3,088
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
USD
1,363
EUR
1,146
08/03/21
(4)
Bank
of
America
AUD
132
USD
101
09/09/21
5
Bank
of
America
AUD
317
USD
239
09/09/21
6
Bank
of
America
AUD
590
USD
436
09/09/21
4
Bank
of
America
AUD
16,659
USD
12,924
09/09/21
696
Bank
of
America
EUR
1,146
USD
1,364
08/19/21
4
Bank
of
America
NOK
1,126
USD
135
09/09/21
6
Bank
of
America
NOK
1,773
USD
207
09/09/21
7
Bank
of
America
NOK
5,555
USD
635
09/09/21
7
Bank
of
America
NOK
107,337
USD
12,863
09/09/21
711
Bank
of
Montreal
USD
3,384
NOK
28,000
09/15/21
(215)
Bank
of
Montreal
SEK
26,000
USD
3,149
09/15/21
128
Bank
of
New
York
USD
2,477
GBP
1,790
09/09/21
12
Bank
of
New
York
USD
7,464
GBP
5,264
09/09/21
(147)
Bank
of
New
York
USD
13,197
GBP
9,306
09/09/21
(262)
Bank
of
New
York
USD
3,396
NOK
28,000
09/15/21
(226)
Bank
of
New
York
GBP
10,872
USD
15,194
09/09/21
82
Bank
of
New
York
SEK
26,000
USD
3,156
09/15/21
135
Citigroup
USD
3,386
NOK
28,000
09/15/21
(216)
Citigroup
USD
136
NZD
194
09/09/21
(1)
Citigroup
USD
185
NZD
264
09/09/21
(1)
Citigroup
USD
6,551
NZD
8,978
09/09/21
(297)
Citigroup
NZD
60
USD
44
09/09/21
2
Citigroup
SEK
26,000
USD
3,151
09/15/21
129
Commonwealth
Bank
of
Australia
USD
32
SEK
263
09/09/21
(1)
Commonwealth
Bank
of
Australia
SEK
1,099
USD
129
09/09/21
1
Commonwealth
Bank
of
Australia
SEK
1,135
USD
133
09/09/21
1
Commonwealth
Bank
of
Australia
SEK
54,247
USD
6,544
09/09/21
241
Goldman
Sachs
EUR
11,131
USD
13,153
08/19/21
(55)
JPMorgan
Chase
USD
3,384
NOK
28,000
09/15/21
(215)
JPMorgan
Chase
SEK
26,000
USD
3,149
09/15/21
128
Morgan
Stanley
GBP
12,173
USD
16,817
08/19/21
(104)
Royal
Bank
of
Canada
USD
93
CAD
115
09/09/21
(1)
Royal
Bank
of
Canada
USD
13,363
CAD
16,634
09/09/21
(31)
Royal
Bank
of
Canada
USD
19,952
CAD
24,098
09/09/21
(637)
Royal
Bank
of
Canada
USD
3,416
EUR
2,865
09/09/21
(15)
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Investment
Grade
Bond
Fund
213
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Royal
Bank
of
Canada
USD
7,642
EUR
6,252
09/09/21
(220)
Royal
Bank
of
Canada
USD
3,400
NOK
28,000
09/15/21
(230)
Royal
Bank
of
Canada
CAD
16,226
USD
13,429
09/09/21
424
Royal
Bank
of
Canada
EUR
47
USD
57
09/09/21
2
Royal
Bank
of
Canada
EUR
7,229
USD
8,598
09/09/21
16
Royal
Bank
of
Canada
SEK
26,000
USD
3,159
09/15/21
137
State
Street
USD
3,272
JPY
358,576
09/09/21
(3)
UBS
USD
286
CHF
256
09/09/21
(2)
UBS
CHF
36
USD
39
09/09/21
UBS
CHF
406
USD
441
09/09/21
(7)
UBS
CHF
17,728
USD
19,795
09/09/21
206
Total
Unrealized
Appreciation
(Depreciation)
on
Open
Foreign
Currency
Exchange
Contracts
200
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical    
Expedient
(a)
Total
Long-Term
Investments
Asset-Backed
Securities
$
$
58,299
$
$
$
58,299
Corporate
Bonds
and
Notes
174,876
174,876
International
Debt
100,046
100,046
Mortgage-Backed
Securities
134,289
134,289
Municipal
Bonds
1,145
1,145
Non-US
Bonds
36,593
36,593
United
States
Government
Agencies
754
754
United
States
Government
Treasuries
208,648
208,648
Short-Term
Investments
20,500
41,69
0
62,19
0
Total
Investments
735,150
41,69
0
776,84
0
Other
Financial
Instruments
Assets
Futures
Contracts
4,36
1
4,36
1
Foreign
Currency
Exchange
Contracts
3,0
90
3,0
90
Liabilities
Futures
Contracts
(1,27
3
)
(1,27
3
)
Foreign
Currency
Exchange
Contracts
(4)
(2,88
6
)
(2,8
90
)
Total
Other
Financial
Instruments
*
$
3,08
4
$
204
$
$
$
3,288
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
Russell
Investment
Company
Investment
Grade
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
214
Investment
Grade
Bond
Fund
For
a
disclosure
on
transfers
between
Levels
1,
2
and
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Amounts
in
thousands
Country
Exposure
Fair
Value
$
Australia
......................................................................................
6,914
Belgium
.......................................................................................
1,055
Bermuda
......................................................................................
10,552
Brazil
...........................................................................................
1,672
Canada
.........................................................................................
12,143
Cayman
Islands
............................................................................
19,252
Chile
............................................................................................
2,876
China
...........................................................................................
2,063
Colombia
......................................................................................
3,282
Denmark
......................................................................................
482
Finland
........................................................................................
419
France
..........................................................................................
5,214
Germany
......................................................................................
4,631
India
............................................................................................
483
Ireland
.........................................................................................
21,528
Italy
.............................................................................................
1,769
Japan
...........................................................................................
5,454
Macao
..........................................................................................
437
Mexico
.........................................................................................
2,467
Netherlands
.................................................................................
362
New
Zealand
................................................................................
1,008
Norway
.........................................................................................
655
Russia
..........................................................................................
419
Saudi
Arabia
................................................................................
1,367
South
Africa
.................................................................................
488
South
Korea
.................................................................................
902
Spain
............................................................................................
1,431
Switzerland
..................................................................................
1,595
Thailand
.......................................................................................
423
United
Arab
Emirates
..................................................................
781
United
Kingdom
...........................................................................
28,890
United
States
................................................................................
635,826
Total
Investments
.........................................................................
776,840
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Short
Duration
Bond
Fund
215
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Long-Term
Investments
-
87.0%
Asset-Backed
Securities
-
6.6%
AGL
CLO
6,
Ltd.
Series
2021-6A
Class
AR
1.334%
due
07/20/34
(USD
3
Month
LIBOR
+
1.200%)(Ê)(Þ)
510
510
American
Express
Credit
Account
Master
Trust
Series
2019-1
Class
A
2.870%
due
10/15/24
1,550
1,576
AmeriCredit
Automobile
Receivables
Trust
Series
2021-1
Class
A2
0.280%
due
06/18/24
1,188
1,188
Avery
Point
VII
CLO,
Ltd.
Series
2021-7A
Class
AR2
1.144%
due
01/15/28
(USD
3
Month
LIBOR
+
0.960%)(Ê)(Þ)
512
512
Avis
Budget
Rental
Car
Funding
(AESOP)
LLC
Series
2016-2A
Class
A
2.720%
due
11/20/22
(Þ)
293
295
Series
2019-1A
Class
A
3.450%
due
03/20/23
(Þ)
1,950
1,977
Bank
of
America
Credit
Card
Trust
Series
2021-A1
Class
A1
0.440%
due
09/15/26
1,000
1,000
Bank
of
the
West
Auto
Trust
Series
2018-1
Class
A3
3.430%
due
12/15/22
(Þ)
49
49
Black
Diamond
CLO,
Ltd.
Series
2017-A1AR
Class
A1
1.175%
due
04/24/29
320
320
Capital
One
Multi-Asset
Execution
Trust
Series
2016-A5
Class
A5
1.660%
due
06/17/24
850
850
Series
2021-A1
Class
A1
0.550%
due
07/15/26
1,210
1,212
CarMax
Auto
Owner
Trust
Series
2021-3
Class
A2A
0.290%
due
09/16/24
1,260
1,260
Cedar
Funding
V
CLO,
Ltd.
Series
2020-5A
Class
AFRR
1.937%
due
07/17/31
(Þ)
320
321
Chase
Issuance
Trust
Series
2020-A1
Class
A1
1.530%
due
01/15/25
2,085
2,125
CIFC
Funding,
Ltd.
Series
2021-4A
Class
A
1.144%
due
07/15/33
(USD
3
Month
LIBOR
+
1.050%)(Ê)(Þ)
330
330
Diamond
Resorts
Owner
Trust
Series
2021-1A
Class
A
1.510%
due
11/21/33
(Þ)
327
329
Dryden
55
CLO,
Ltd.
Series
2018-55A
Class
A1
1.146%
due
04/15/31
(USD
3
Month
LIBOR
+
1.020%)(Ê)(Þ)
250
250
Ford
Credit
Auto
Owner
Trust
Series
2020-B
Class
A2
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
0.500%
due
02/15/23
638
639
Series
2021-A
Class
A2
0.170%
due
10/15/23
520
520
GM
Financial Consumer
Automobile
Receivables
Trust
Series
2020-3
Class
A4
0.580%
due
01/16/26
550
551
Goldentree
Loan
Management,
LP
Series
2021-10
Class
A
1.000%
due
07/20/34
380
380
GoodGreen
Trust
Series
2021-1A
Class
A
2.660%
due
10/15/56
(Þ)
246
250
Great
Lakes
Kcap
F3c
Senior
LLC
Series
2017-1A
Class
A
2.035%
due
12/20/29
(USD
3
Month
LIBOR
+
1.900%)(Ê)(Þ)
420
420
Halsey
Point
CLO
I,
Ltd.
Series
2019-1A
Class
A1A1
1.538%
due
01/20/33
(USD
3
Month
LIBOR
+
1.350%)(Ê)(Þ)
250
251
Hertz
Vehicle
Financing
LLC
Series
2021-1A
Class
A
1.210%
due
12/26/25
(Þ)
450
453
Series
2021-1A
Class
B
1.560%
due
12/26/25
(Þ)
310
312
Series
2021-2A
Class
B
2.120%
due
12/27/27
(Þ)
250
254
Hilton
Grand
Vacations
Trust
Series
2020-AA
Class
A
2.740%
due
02/25/39
(Þ)
303
315
Honda
Auto
Receivables
Owner
Trust
Series
2019-2
Class
A3
2.520%
due
06/21/23
145
147
Series
2020-3
Class
A2
0.270%
due
02/21/23
684
684
Series
2021-1
Class
A2
0.160%
due
07/21/23
820
820
Hyundai
Auto
Receivables
Trust
Series
2020-C
Class
A2
0.260%
due
09/15/23
610
610
JPMorgan
Chase
Bank
NA
Series
2020-1
Class
B
0.991%
due
01/25/28
(Þ)
484
485
Magnetite
XIV-R,
Ltd.
Series
2018-14RA
Class
A2
1.254%
due
10/18/31
(USD
3
Month
LIBOR
+
1.120%)(Ê)(Þ)
330
331
Mercury
Financial,
Inc.
Series
2021-1A
Class
B
2.330%
due
03/20/26
(Þ)
250
248
Navient
Private
Education
Refi
Loan
Trust
Series
2018-CA
Class
A2
3.520%
due
06/16/42
(Þ)
313
318
OCP
CLO,
Ltd.
Series
2018-5A
Class
A1R
1.256%
due
04/26/31
(USD
3
Month
LIBOR
+
1.080%)(Ê)(Þ)
390
390
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
216
Short
Duration
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
OZLM
XII
Ltd.
Series
2018-12A
Class
A1R
1.236%
due
04/30/27
(USD
3
Month
LIBOR
+
1.050%)(Ê)(Þ)
88
88
SBA
Small
Business
Investment
Cos.
Series
2018-10B
Class
1
3.548%
due
09/10/28
193
211
SoFi
Professional
Loan
Program
Trust
Series
2020-C
Class
AFX
1.950%
due
02/15/46
(Þ)
98
100
Towd
Point
Mortgage
Trust
Series
2018-2
Class
A1
3.250%
due
03/25/58
(~)(Ê)(Þ)
124
129
Toyota
Auto
Receivables
Owner
Trust
Series
2019-D
Class
A3
1.920%
due
01/16/24
1,500
1,517
Tryon
Park
CLO,
Ltd.
Series
2018-1A
Class
A1SR
3.487%
due
04/15/29
(USD
3
Month
LIBOR
+
0.890%)(Ê)(Þ)
278
278
UNIFY
Auto
Receivables
Trust
Series
2021-1A
Class
A3
0.510%
due
06/16/25
(Þ)
600
601
Voya
CLO,
Ltd.
Series
2018-2A
Class
A1
2.219%
due
07/15/31
(USD
3
Month
LIBOR
+
1.000%)(Ê)(Þ)
570
570
Series
2021-4A
Class
A1AR
1.000%
due
01/15/32
(USD
3
Month
LIBOR
+
1.040%)(Ê)(Þ)
370
370
Wendy's
Co.
(The)
Series
2021-1A
Class
A2I
2.370%
due
06/15/51
(Þ)
250
254
Wheels
SPV
2
LLC
Series
2020-1A
Class
A2
0.510%
due
08/20/29
(Þ)
631
632
27,232
Corporate
Bonds
and
Notes
-
41.3%
3M
Co.
3.000%
due
08/07/25
540
586
7-Eleven,
Inc.
0.800%
due
02/10/24
(Þ)
250
250
Abbott
Laboratories
3.400%
due
11/30/23
633
676
AbbVie,
Inc.
3.600%
due
05/14/25
160
175
Series
WI
2.600%
due
11/21/24
830
878
Aetna,
Inc.
3.500%
due
11/15/24
355
383
AIG
Global
Funding
0.800%
due
07/07/23
(Þ)
545
550
Air
Lease
Corp.
2.250%
due
01/15/23
500
513
0.700%
due
02/15/24
690
688
Altria
Group,
Inc.
4.400%
due
02/14/26
280
318
Amazon.com,
Inc.
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
0.400%
due
06/03/23
682
683
1.000%
due
05/12/26
240
243
American
Express
Co.
2.500%
due
08/01/22
1,500
1,531
2.500%
due
07/30/24
400
422
American
Honda
Finance
Corp.
2.900%
due
02/16/24
1,500
1,588
1.200%
due
07/08/25
540
546
American
International
Group,
Inc.
2.500%
due
06/30/25
240
253
American
Tower
Corp.
3.500%
due
01/31/23
647
677
Ameriprise
Financial,
Inc.
3.000%
due
04/02/25
1,025
1,101
Amgen,
Inc.
1.900%
due
02/21/25
240
250
Anthem,
Inc.
3.500%
due
08/15/24
485
523
Apple,
Inc.
0.750%
due
05/11/23
2,036
2,054
Archer-Daniels-Midland
Co.
2.750%
due
03/27/25
485
518
Ares
Capital
Corp.
3.250%
due
07/15/25
642
681
AT&T,
Inc.
1.700%
due
03/25/26
730
741
Series
WI
4.450%
due
04/01/24
621
677
Athene
Global
Funding
0.739%
due
05/24/24
(SOFR
+
0.700%)(Ê)(Þ)
715
718
Aviation
Capital
Group
LLC
3.875%
due
05/01/23
(Þ)
656
687
Bank
of
America
Corp.
3.550%
due
03/05/24
(USD
3
Month
LIBOR
+
0.780%)(Ê)
1,030
1,079
0.810%
due
10/24/24
(SOFR
+
0.740%)(Ê)
435
437
3.458%
due
03/15/25
(USD
3
Month
LIBOR
+
0.970%)(Ê)
1,215
1,297
2.015%
due
02/13/26
(USD
3
Month
LIBOR
+
0.640%)(Ê)
1,030
1,062
1.734%
due
07/22/27
(SOFR
+
0.960%)(Ê)
400
407
Series
GMTN
2.816%
due
07/21/23
(USD
3
Month
LIBOR
+
0.930%)(Ê)
1,600
1,635
Series
N
1.658%
due
03/11/27
(SOFR
+
0.910%)(Ê)
525
533
Bank
of
New
York
Mellon
Corp.
(The)
1.850%
due
01/27/23
1,500
1,536
1.600%
due
04/24/25
160
165
Becton
Dickinson
and
Co.
3.363%
due
06/06/24
653
699
Series
WI
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Short
Duration
Bond
Fund
217
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
6.700%
due
12/01/26
175
217
Berkshire
Hathaway
Energy
Co.
Series
WI
4.050%
due
04/15/25
1,582
1,761
BGC
Partners,
Inc.
Series
WI
5.375%
due
07/24/23
141
152
3.750%
due
10/01/24
562
598
Boeing
Co.
(The)
1.950%
due
02/01/24
975
1,000
2.800%
due
03/01/24
270
282
4.875%
due
05/01/25
320
359
2.196%
due
02/04/26
485
489
BP
Capital
Markets
America,
Inc.
3.216%
due
11/28/23
340
361
3.194%
due
04/06/25
1,185
1,278
Bristol-Myers
Squibb
Co.
0.750%
due
11/13/25
400
400
Series
WI
2.900%
due
07/26/24
109
116
Broadcom,
Inc.
Series
WI
3.150%
due
11/15/25
1,002
1,078
3.459%
due
09/15/26
635
694
Brown
&
Brown,
Inc.
4.200%
due
09/15/24
623
683
Cargill,
Inc.
0.750%
due
02/02/26
(Þ)
110
109
Caterpillar
Financial
Services
Corp.
0.800%
due
11/13/25
130
130
CC
Holdings
GS
V
LLC
/
Crown
Castle
GS
III
Corp.
3.849%
due
04/15/23
645
682
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp.
5.750%
due
02/15/26
(Þ)
186
192
Celanese
US
Holdings
LLC
1.400%
due
08/05/26
590
591
CenterPoint
Energy,
Inc.
0.684%
due
05/13/24
(SOFR
+
0.650%)(Ê)
480
481
Charles
Schwab
Corp.
(The)
0.750%
due
03/18/24
350
353
Charter
Communications
Operating
LLC
/
Charter
Communications
Operating
Capital
Series
USD
4.500%
due
02/01/24
625
680
Series
WI
4.908%
due
07/23/25
630
715
Chevron
Corp.
1.141%
due
05/11/23
1,600
1,623
0.426%
due
08/11/23
673
674
2.895%
due
03/03/24
550
583
0.687%
due
08/12/25
870
867
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Cigna
Corp.
3.250%
due
04/15/25
690
747
Cimarex
Energy
Co.
4.375%
due
06/01/24
400
435
Cisco
Systems,
Inc.
2.200%
due
09/20/23
662
687
Citigroup,
Inc.
2.700%
due
10/27/22
1,185
1,218
0.981%
due
05/01/25
(SOFR
+
0.669%)(Ê)
1,405
1,413
5.500%
due
09/13/25
680
795
3.106%
due
04/08/26
(SOFR
+
2.842%)(Ê)
680
728
Cleveland
Electric
Illuminating
Co.
(The)
5.500%
due
08/15/24
180
205
CNH
Industrial
Capital
LLC
1.950%
due
07/02/23
500
513
1.450%
due
07/15/26
350
352
Colgate-Palmolive
Co.
3.250%
due
03/15/24
1,100
1,179
Comcast
Corp.
3.700%
due
04/15/24
435
471
3.100%
due
04/01/25
490
529
Consolidated
Edison
Co.,
Inc.
Series
A
0.650%
due
12/01/23
655
655
CVS
Health
Corp.
3.700%
due
03/09/23
76
80
3.875%
due
07/20/25
1,030
1,140
Delta
Air
Lines
Pass-Through
Trust
Series
AA
3.204%
due
04/25/24
985
1,043
Devon
Energy
Corp.
5.850%
due
12/15/25
160
188
DH
Europe
Finance
II
SARL
Series
3YR
2.050%
due
11/15/22
664
679
Diamondback
Energy,
Inc.
2.875%
due
12/01/24
370
390
Discover
Bank
Series
BKNT
4.682%
due
08/09/28
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
1.730%)(Ê)
572
608
Discover
Financial
Services
3.850%
due
11/21/22
644
673
Dollar
Tree,
Inc.
3.700%
due
05/15/23
390
411
DR
Horton,
Inc.
2.500%
due
10/15/24
220
231
Duke
Energy
Progress
LLC
3.375%
due
09/01/23
190
201
Edison
International
4.950%
due
04/15/25
790
878
Energy
Transfer
Operating,
LP
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
218
Short
Duration
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.900%
due
05/15/25
270
285
Energy
Transfer
Partners,
LP
Series
5Y
4.200%
due
09/15/23
270
288
Enterprise
Products
Operating
LLC
3.750%
due
02/15/25
1,030
1,127
EOG
Resources,
Inc.
3.150%
due
04/01/25
270
292
EQT
Corp.
3.900%
due
10/01/27
320
347
Exelon
Generation
Co.
LLC
3.250%
due
06/01/25
1,121
1,213
Exxon
Mobil
Corp.
1.902%
due
08/16/22
1,205
1,226
2.019%
due
08/16/24
647
676
2.992%
due
03/19/25
690
741
Fiat
Chrysler
Automobiles
NV
Series
WI
5.250%
due
04/15/23
618
663
First
Republic
Bank
Series
BKNT
1.912%
due
02/12/24
(SOFR
+
0.620%)(Ê)
673
687
Ford
Motor
Co.
8.500%
due
04/21/23
200
222
Ford
Motor
Credit
Co.
LLC
4.250%
due
09/20/22
275
283
3.087%
due
01/09/23
265
270
4.140%
due
02/15/23
890
922
3.370%
due
11/17/23
550
570
Fortinet,
Inc.
1.000%
due
03/15/26
350
349
Fox
Corp.
Series
WI
4.030%
due
01/25/24
400
433
FS
KKR
Capital
Corp.
4.125%
due
02/01/25
678
721
GA
Global
Funding
Trust
Secured
1.625%
due
01/15/26
(Þ)
285
291
GE
Capital
Funding
LLC
Series
WI
3.450%
due
05/15/25
270
295
General
Dynamics
Corp.
1.150%
due
06/01/26
160
162
General
Motors
Financial
Co.,
Inc.
5.200%
due
03/20/23
617
662
1.700%
due
08/18/23
550
561
4.875%
due
10/02/23
656
713
1.235%
due
11/17/23
(SOFR
+
1.200%)(Ê)
325
331
2.750%
due
06/20/25
400
423
1.250%
due
01/08/26
650
650
Georgia-Pacific
LLC
0.950%
due
05/15/26
(Þ)
170
169
Gilead
Sciences,
Inc.
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.700%
due
04/01/24
540
580
GLP
Capital,
LP
/
GLP
Financing
II,
Inc.
3.350%
due
09/01/24
546
577
5.375%
due
04/15/26
90
104
Goldman
Sachs
BDC,
Inc.
3.750%
due
02/10/25
640
686
Goldman
Sachs
Group,
Inc.
(The)
3.625%
due
01/22/23
465
488
3.200%
due
02/23/23
665
692
3.500%
due
04/01/25
1,200
1,303
3.272%
due
09/29/25
(USD
3
Month
LIBOR
+
1.201%)(Ê)
1,370
1,469
Series
DMTN
3.625%
due
02/20/24
930
995
Series
VAR
1.093%
due
12/09/26
(SOFR
+
0.789%)(Ê)
1,140
1,132
Great-West
Lifeco
U.S.
Finance
2020,
LP
0.904%
due
08/12/25
(Þ)
260
259
HCA,
Inc.
4.750%
due
05/01/23
623
667
5.000%
due
03/15/24
395
437
Highmark,
Inc.
1.450%
due
05/10/26
(Þ)
520
524
Honeywell
International,
Inc.
2.300%
due
08/15/24
1,360
1,429
Humana,
Inc.
2.900%
due
12/15/22
654
675
4.500%
due
04/01/25
110
123
Hyundai
Capital
America
1.250%
due
09/18/23
(Þ)
280
282
0.800%
due
01/08/24
(Þ)
210
209
1.300%
due
01/08/26
(Þ)
190
189
International
Business
Machines
Corp.
2.875%
due
11/09/22
653
675
3.000%
due
05/15/24
1,000
1,066
Jackson
National
Life
Global
Funding
3.050%
due
04/29/26
(Þ)
650
703
John
Deere
Capital
Corp.
2.700%
due
01/06/23
600
621
0.450%
due
06/07/24
700
699
Johnson
&
Johnson
0.550%
due
09/01/25
340
339
JPMorgan
Chase
&
Co.
3.207%
due
04/01/23
(USD
3
Month
LIBOR
+
0.695%)(Ê)
1,235
1,259
3.625%
due
05/13/24
1,430
1,551
4.023%
due
12/05/24
(USD
3
Month
LIBOR
+
1.000%)(Ê)
540
582
0.563%
due
02/16/25
(SOFR
+
0.420%)(Ê)
260
259
0.824%
due
06/01/25
(SOFR
+
0.540%)(Ê)
475
475
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Short
Duration
Bond
Fund
219
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.083%
due
04/22/26
(SOFR
+
1.850%)(Ê)
740
768
1.045%
due
11/19/26
(SOFR
+
0.800%)(Ê)
250
249
1.040%
due
02/04/27
(SOFR
+
0.695%)(Ê)
500
495
1.578%
due
04/22/27
(SOFR
+
0.885%)(Ê)
400
405
Kinder
Morgan
Energy
Partners,
LP
3.950%
due
09/01/22
450
463
Kinder
Morgan,
Inc.
4.300%
due
06/01/25
540
601
Kroger
Co.
(The)
3.850%
due
08/01/23
640
678
L3Harris
Technologies,
Inc.
3.832%
due
04/27/25
90
99
Las
Vegas
Sands
Corp.
3.200%
due
08/08/24
190
198
2.900%
due
06/25/25
220
227
Lehman
Brothers
Holdings
Capital
Trust
VII
5.857%
due
11/29/49
(Ø)(Š)(Æ)
270
Lennar
Corp.
4.875%
due
12/15/23
621
675
Lockheed
Martin
Corp.
Series
10YR
3.550%
due
01/15/26
550
611
Lowe's
Cos.,
Inc.
3.125%
due
09/15/24
80
86
LYB
International
Finance
III
LLC
2.875%
due
05/01/25
400
427
Main
Street
Capital
Corp.
5.200%
due
05/01/24
568
619
Marathon
Petroleum
Corp.
4.700%
due
05/01/25
320
360
Marriott
International,
Inc.
Series
FXD
3.600%
due
04/15/24
280
299
Series
WI
3.750%
due
03/15/25
687
740
Marsh
&
McLennan
Cos.,
Inc.
3.300%
due
03/14/23
650
678
Martin
Marietta
Materials,
Inc.
0.650%
due
07/15/23
565
566
McDonald's
Corp.
3.300%
due
07/01/25
400
435
Merck
&
Co.,
Inc.
2.800%
due
05/18/23
645
674
2.750%
due
02/10/25
1,100
1,177
Microsoft
Corp.
2.650%
due
11/03/22
1,052
1,082
2.000%
due
08/08/23
556
574
3.125%
due
11/03/25
91
100
Mondelez
International,
Inc.
2.250%
due
09/19/24
(Þ)
642
672
Morgan
Stanley
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.188%
due
04/28/26
(SOFR
+
1.990%)(Ê)
760
789
0.985%
due
12/10/26
(SOFR
+
0.720%)(Ê)
1,030
1,019
Series
1654
4.100%
due
05/22/23
385
410
Series
GMTN
3.125%
due
01/23/23
745
775
0.791%
due
01/22/25
(SOFR
+
0.509%)(Ê)
485
486
MPLX,
LP
3.375%
due
03/15/23
400
418
4.000%
due
02/15/25
200
219
1.750%
due
03/01/26
625
635
National
Securities
Clearing
Corp.
0.750%
due
12/07/25
(Þ)
340
338
Nestle
Holdings,
Inc.
3.350%
due
09/24/23
(Þ)
1,761
1,870
New
York
Life
Global
Funding
0.400%
due
10/21/23
(Þ)
230
230
NextEra
Energy
Capital
Holdings,
Inc.
0.650%
due
03/01/23
550
552
NiSource,
Inc.
0.950%
due
08/15/25
435
433
Nissan
Motor
Acceptance
Corp.
2.600%
due
09/28/22
(Þ)
321
327
Norfolk
Southern
Corp.
2.903%
due
02/15/23
1,235
1,271
Northrop
Grumman
Corp.
2.930%
due
01/15/25
140
149
Northwestern
Mutual
Life
Insurance
Co.
(The)
0.800%
due
01/14/26
(Þ)
570
565
Oaktree
Specialty
Lending
Corp.
3.500%
due
02/25/25
626
660
Occidental
Petroleum
Corp.
5.875%
due
09/01/25
180
200
Office
Properties
Income
Trust
4.250%
due
05/15/24
664
712
Omega
Healthcare
Investors,
Inc.
Series
WI
4.500%
due
01/15/25
629
690
Oncor
Electric
Delivery
Co.
LLC
0.550%
due
10/01/25
260
256
Oracle
Corp.
2.500%
due
10/15/22
657
674
2.500%
due
04/01/25
715
753
1.650%
due
03/25/26
400
407
Owl
Rock
Capital
Corp.
3.750%
due
07/22/25
673
715
Pacific
Life
Global
Funding
II
1.200%
due
06/24/25
(Þ)
500
505
PayPal
Holdings,
Inc.
2.400%
due
10/01/24
540
569
PepsiCo,
Inc.
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
220
Short
Duration
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.600%
due
03/01/24
633
681
Pfizer,
Inc.
3.000%
due
06/15/23
1,140
1,198
Philip
Morris
International,
Inc.
2.875%
due
05/01/24
210
223
0.875%
due
05/01/26
180
179
Piedmont
Operating
Partnership,
LP
3.400%
due
06/01/23
643
667
Pioneer
Natural
Resources
Co.
0.550%
due
05/15/23
270
270
1.125%
due
01/15/26
110
109
PPG
Industries,
Inc.
1.200%
due
03/15/26
160
161
Principal
Life
Global
Funding
II
1.250%
due
06/23/25
(Þ)
280
283
Private
Export
Funding
Corp.
Series
OO
1.750%
due
11/15/24
1,200
1,246
Procter
&
Gamble
Co.
(The)
2.150%
due
08/11/22
1,200
1,224
Prospect
Capital
Corp.
5.875%
due
03/15/23
646
687
Protective
Life
Global
Funding
3.104%
due
04/15/24
(Þ)
1,010
1,072
Series
REGS
1.170%
due
07/15/25
(Þ)
930
937
Range
Resources
Corp.
Series
WI
9.250%
due
02/01/26
230
250
Raytheon
Technologies
Corp.
3.950%
due
08/16/25
140
156
Series
WI
2.500%
due
12/15/22
660
676
Royalty
Pharma
PLC
0.750%
due
09/02/23
(Þ)
480
482
Salesforce.com,
Inc.
3.250%
due
04/11/23
80
84
Santander
Holdings
USA,
Inc.
Series
WI
3.400%
due
01/18/23
661
687
Service
Properties
Trust
7.500%
due
09/15/25
490
552
Sixth
Street
Specialty
Lending,
Inc.
3.875%
due
11/01/24
648
692
Southern
Power
Co.
0.900%
due
01/15/26
550
545
Southwest
Airlines
Co.
5.250%
due
05/04/25
170
194
Spectra
Energy
Partners,
LP
4.750%
due
03/15/24
608
666
State
Street
Corp.
3.100%
due
05/15/23
1,100
1,154
Synchrony
Financial
4.250%
due
08/15/24
655
715
Sysco
Corp.
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
5.650%
due
04/01/25
106
123
TCI
Communications,
Inc.
7.875%
due
02/15/26
522
676
Thermo
Fisher
Scientific,
Inc.
4.133%
due
03/25/25
576
639
Time
Warner
Entertainment
Co.,
LP
8.375%
due
03/15/23
607
682
T-Mobile
USA,
Inc.
2.250%
due
02/15/26
470
475
Series
WI
3.500%
due
04/15/25
1,055
1,145
Toyota
Motor
Credit
Corp.
0.500%
due
08/14/23
700
703
Series
GMTN
2.700%
due
01/11/23
1,450
1,501
Truist
Financial
Corp.
Series
GMTN
2.200%
due
03/16/23
630
649
TWDC
Enterprises
18
Corp.
2.350%
due
12/01/22
669
687
United
Airlines
Pass-Through
Trust
Series
A
4.000%
due
04/11/26
616
651
United
Airlines,
Inc.
Series
144a
4.375%
due
04/15/26
(Þ)
710
731
United
Parcel
Service,
Inc.
2.500%
due
04/01/23
651
674
UnitedHealth
Group,
Inc.
2.375%
due
08/15/24
690
728
Upjohn,
Inc.
1.650%
due
06/22/25
(Þ)
225
229
UPMC
Series
D-1
3.600%
due
04/03/25
1,130
1,232
US
Bank
NA
Series
BKNT
2.850%
due
01/23/23
1,150
1,192
2.050%
due
01/21/25
340
355
Verizon
Communications,
Inc.
0.750%
due
03/22/24
290
291
1.450%
due
03/20/26
330
335
Visa,
Inc.
3.150%
due
12/14/25
280
307
VMware,
Inc.
1.000%
due
08/15/24
695
697
Vontier
Corp.
1.800%
due
04/01/26
(Þ)
165
166
Vornado
Realty
Trust
3.500%
due
01/15/25
553
590
Walmart,
Inc.
3.400%
due
06/26/23
1,500
1,583
2.850%
due
07/08/24
639
682
Walt
Disney
Co.
(The)
1.750%
due
08/30/24
1,400
1,449
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Short
Duration
Bond
Fund
221
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Wells
Fargo
&
Co.
0.805%
due
05/19/25
(SOFR
+
0.510%)(Ê)
1,040
1,042
2.406%
due
10/30/25
(SOFR
+
1.087%)(Ê)
1,370
1,433
2.188%
due
04/30/26
(SOFR
+
2.000%)(Ê)
855
890
Series
BKNT
3.550%
due
08/14/23
1,165
1,239
Western
Midstream
Operating,
LP
4.650%
due
07/01/26
490
525
Westinghouse
Air
Brake
Technologies
Corp.
4.375%
due
08/15/23
642
679
3.200%
due
06/15/25
225
240
Williams
Cos.,
Inc.
(The)
4.300%
due
03/04/24
830
899
170,472
International
Debt
-
21.1%
ABN
AMRO
Bank
NV
4.800%
due
04/18/26
(Þ)
601
686
Abu
Dhabi
Government
International
Bond
0.750%
due
09/02/23
(Þ)
440
442
AerCap
Ireland
Capital,
Ltd.
/
AerCap
Global
Aviation
Trust
3.500%
due
01/15/25
210
223
Anglo
American
Capital
PLC
3.625%
due
09/11/24
(Þ)
540
584
AP
Moller
-
Maersk
A/S
3.750%
due
09/22/24
(Þ)
635
687
Avolon
Holdings
Funding,
Ltd.
5.125%
due
10/01/23
(Þ)
170
184
Balboa
Bay
Loan
Funding,
Ltd.
Series
2020-1A
Class
A
1.484%
due
01/20/32
(USD
3
Month
LIBOR
+
1.350%)(Ê)(Þ)
325
325
Banco
Inbursa
SA
Institucion
de
Banca
Multiple
4.125%
due
06/06/24
(Þ)
537
573
Banco
Santander
Chile
3.875%
due
09/20/22
(Þ)
655
678
Banco
Santander
Mexico
SA
Institucion
de
Banca
Multiple
Grupo
Financiero
Santander
4.125%
due
11/09/22
(Þ)
645
671
Banco
Santander
SA
3.848%
due
04/12/23
847
894
2.746%
due
05/28/25
200
211
Bancolombia
SA
3.000%
due
01/29/25
559
565
Bank
of
Montreal
2.500%
due
06/28/24
1,900
2,004
4.800%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.979%)(Ê)(ƒ)
551
589
Bank
of
Nova
Scotia
(The)
1.950%
due
02/01/23
625
641
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
1.625%
due
05/01/23
691
707
0.650%
due
07/31/24
1,380
1,381
1.050%
due
03/02/26
540
538
Barclays
PLC
1.536%
due
05/16/24
(USD
3
Month
LIBOR
+
1.380%)(Ê)
400
407
4.375%
due
09/11/24
664
724
1.007%
due
12/10/24
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
0.800%)(Ê)
590
592
BAT
Capital
Corp.
1.668%
due
03/25/26
725
732
3.215%
due
09/06/26
260
279
Bayer
US
Finance
II
LLC
5.500%
due
08/15/25
(Þ)
601
687
BBVA
Bancomer
SA
4.375%
due
04/10/24
(Þ)
622
676
Bharti
Airtel
International
Netherlands
BV
Series
144a
5.125%
due
03/11/23
(Þ)
552
584
BHP
Billiton
Finance
USA,
Ltd.
3.850%
due
09/30/23
637
685
BMW
US
Capital
LLC
0.800%
due
04/01/24
(Þ)
170
171
BNP
Paribas
SA
4.705%
due
01/10/25
(USD
3
Month
LIBOR
+
2.235%)(Ê)(Þ)
540
589
4.375%
due
09/28/25
(Þ)
615
683
Series
REGS
3.500%
due
03/01/23
1,100
1,152
BP
Capital
Markets
PLC
2.750%
due
05/10/23
651
678
BXMT,
Ltd.
Series
2021-FL4
Class
A
1.170%
due
05/15/38
(USD
1
Month
LIBOR
+
1.050%)(Ê)(Þ)
330
330
Canadian
Imperial
Bank
of
Commerce
0.950%
due
06/23/23
1,600
1,617
2.606%
due
07/22/23
(USD
3
Month
LIBOR
+
0.785%)(Ê)
687
702
0.950%
due
10/23/25
220
220
Carlyle
Global
Market
Strategies
CLO,
Ltd.
Series
2018-1A
Class
A1R2
3.311%
due
04/17/31
(USD
3
Month
LIBOR
+
0.970%)(Ê)(Þ)
279
279
Celulosa
Arauco
y
Constitucion
SA
Series
WI
4.500%
due
08/01/24
612
657
Cencosud
SA
5.150%
due
02/12/25
(Þ)
511
564
CNH
Industrial
NV
4.500%
due
08/15/23
631
679
Cooperatieve
Rabobank
UA
4.625%
due
12/01/23
690
752
Credicorp
,
Ltd.
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
222
Short
Duration
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
2.750%
due
06/17/25
(Þ)
679
689
Credit
Agricole
SA
4.375%
due
03/17/25
(Þ)
590
651
1.247%
due
01/26/27
(SOFR
+
0.892%)(Ê)(Þ)
340
337
Credit
Suisse
Group
AG
Series
WI
3.800%
due
09/15/22
644
669
3.800%
due
06/09/23
1,206
1,276
Daimler
Finance
NA
LLC
2.550%
due
08/15/22
(Þ)
643
657
1.450%
due
03/02/26
(Þ)
210
213
Danone
SA
2.589%
due
11/02/23
(Þ)
659
687
Danske
Bank
A/S
5.375%
due
01/12/24
(Þ)
270
299
1.621%
due
09/11/26
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
1.350%)(Ê)(Þ)
717
723
Deutsche
Bank
AG
3.300%
due
11/16/22
575
595
3.700%
due
05/30/24
631
676
Deutsche
Telekom
International
Finance
BV
2.485%
due
09/19/23
(Þ)
664
690
DNB
Bank
ASA
2.150%
due
12/02/22
(Þ)
663
680
Ecopetrol
SA
5.375%
due
06/26/26
629
690
Eni
SpA
Series
X-R
4.000%
due
09/12/23
(Þ)
622
664
Equinor
ASA
2.875%
due
04/06/25
3,420
3,666
Falabella
SA
3.750%
due
04/30/23
(Þ)
642
669
GlaxoSmithKline
Capital
PLC
0.534%
due
10/01/23
684
686
GlaxoSmithKline
Capital,
Inc.
2.800%
due
03/18/23
120
125
3.375%
due
05/15/23
513
541
Glencore
Funding
LLC
4.125%
due
03/12/24
(Þ)
540
582
Heineken
NV
2.750%
due
04/01/23
(Þ)
281
291
HSBC
Holdings
PLC
3.803%
due
03/11/25
(USD
3
Month
LIBOR
+
1.211%)(Ê)
270
290
1.645%
due
04/18/26
(SOFR
+
1.538%)(Ê)
270
274
ICICI
Bank,
Ltd.
4.000%
due
03/18/26
(Þ)
631
687
Intesa
Sanpaolo
SpA
3.375%
due
01/12/23
(Þ)
540
561
Inversiones
CMPC
SA
4.375%
due
05/15/23
(Þ)
638
665
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Lloyds
Banking
Group
PLC
2.250%
due
08/14/22
1,125
1,147
3.900%
due
03/12/24
540
584
Lukoil
International
Finance
BV
4.563%
due
04/24/23
(Þ)
635
672
Magnetite
XXVIII,
Ltd.
Series
2020-28A
Class
A
1.395%
due
10/25/31
(USD
3
Month
LIBOR
+
1.270%)(Ê)(Þ)
435
435
Meituan
2.125%
due
10/28/25
(Þ)
675
656
Mitsubishi
UFJ
Financial
Group,
Inc.
0.848%
due
09/15/24
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
0.680%)(Ê)
470
472
1.412%
due
07/17/25
650
660
0.953%
due
07/19/25
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
0.550%)(Ê)
700
704
Mizuho
Financial
Group,
Inc.
0.849%
due
09/08/24
(SOFR
+
0.872%)(Ê)
370
372
National
Bank
of
Canada
2.100%
due
02/01/23
691
709
Nationwide
Building
Society
0.550%
due
01/22/24
(Þ)
330
330
Natwest
Group
PLC
4.269%
due
03/22/25
(USD
3
Month
LIBOR
+
1.762%)(Ê)
540
587
Neuberger
Berman
CLO,
Ltd.
Series
2021-40A
Class
A
1.248%
due
04/16/33
(USD
3
Month
LIBOR
+
1.060%)(Ê)(Þ)
275
276
Nissan
Motor
Acceptance
Corp.
3.043%
due
09/15/23
(Þ)
400
417
Nordea
Bank
Abp
4.250%
due
09/21/22
(Þ)
514
535
0.750%
due
08/28/25
(Þ)
270
268
NTT
Finance
Corp.
1.162%
due
04/03/26
(Þ)
550
552
Octagon
Investment
Partners
II
LLC
Series
2021-1A
Class
XR3
0.804%
due
02/14/31
(USD
3
Month
LIBOR
+
0.650%)(Ê)(Þ)
200
200
Petrobras
Global
Finance
BV
6.250%
due
03/17/24
260
291
POSCO
2.375%
due
11/12/22
(Þ)
662
676
Prosus
NV
3.061%
due
07/13/31
(Þ)
240
237
Province
of
Ontario
2.200%
due
10/03/22
1,300
1,331
PTT
Global
Chemical
PCL
4.250%
due
09/19/22
(Þ)
553
572
Qatar
Government
International
Bond
Series
REGS
3.250%
due
06/02/26
430
470
Qatar
Petroleum
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Short
Duration
Bond
Fund
223
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
1.375%
due
09/12/26
(Þ)
330
331
Radnor
RE,
Ltd.
Series
2021-1
Class
M1C
2.710%
due
12/27/33
(SOFR
30
Day
Average
+
2.700%)(Ê)(Þ)
250
251
Roche
Holdings,
Inc.
3.250%
due
09/17/23
(Þ)
374
396
Royal
Bank
of
Canada
0.500%
due
10/26/23
700
702
SABIC
Capiral
II
BV
4.000%
due
10/10/23
(Þ)
628
671
Santander
UK
Group
Holdings
PLC
5.000%
due
11/07/23
(Þ)
531
577
Saudi
Arabian
Oil
Co.
2.875%
due
04/16/24
(Þ)
560
588
Schneider
Electric
SE
2.950%
due
09/27/22
(Þ)
633
652
Shell
International
Finance
BV
2.250%
due
01/06/23
661
679
3.400%
due
08/12/23
1,100
1,167
2.375%
due
04/06/25
240
253
SK
Hynix,
Inc.
1.000%
due
01/19/24
(Þ)
684
681
Skandinaviska
Enskilda
Banken
AB
0.850%
due
09/02/25
(Þ)
270
269
Societe
Generale
SA
4.250%
due
04/14/25
(Þ)
642
702
Standard
Chartered
PLC
3.885%
due
03/15/24
(USD
3
Month
LIBOR
+
1.080%)(Ê)(Þ)
675
708
1.214%
due
03/23/25
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
0.880%)(Ê)(Þ)
280
281
State
Bank
of
India
4.875%
due
04/17/24
(Þ)
385
421
Statoil
ASA
2.450%
due
01/17/23
659
680
Sumitomo
Mitsui
Banking
Corp.
0.850%
due
03/25/24
(Þ)
520
523
Sumitomo
Mitsui
Financial
Group,
Inc.
4.436%
due
04/02/24
(Þ)
626
681
Suncor
Energy,
Inc.
2.800%
due
05/15/23
850
883
Sura
Asset
Management
SA
4.875%
due
04/17/24
(Þ)
607
653
Symphony
CLO
V,
Ltd.
Series
2021-26A
Class
X
0.684%
due
04/20/33
(USD
3
Month
LIBOR
+
0.550%)(Ê)(Þ)
275
275
Symphony
CLO
XIV,
Ltd.
Series
2018-19A
Class
A
1.231%
due
04/16/31
(USD
3
Month
LIBOR
+
0.960%)(Ê)(Þ)
410
410
Telefonica
Emisiones
SA
4.570%
due
04/27/23
624
666
Tencent
Holdings,
Ltd.
3.800%
due
02/11/25
(Þ)
610
663
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
REGS
2.985%
due
01/19/23
260
268
Teva
Pharmaceutical
Finance
Netherlands
III
BV
2.800%
due
07/21/23
300
297
3.150%
due
10/01/26
280
269
Toronto-Dominion
Bank
(The)
0.250%
due
01/06/23
691
691
0.450%
due
09/11/23
1,450
1,452
0.750%
due
09/11/25
540
537
Total
Capital
International
SA
2.700%
due
01/25/23
676
700
TotalEnergies
Capital
Canada,
Ltd.
2.750%
due
07/15/23
628
656
Toyota
Motor
Credit
Corp.
1.339%
due
03/25/26
170
173
TSMC
Global,
Ltd.
0.750%
due
09/28/25
(Þ)
405
399
UBS
AG
0.450%
due
02/09/24
(Þ)
1,650
1,644
UBS
Group
AG
1.008%
due
07/30/24
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
0.830%)(Ê)(Þ)
930
937
UBS
Group
Funding
Switzerland
AG
4.125%
due
09/24/25
(Þ)
540
605
Unilever
Capital
Corp.
2.600%
due
05/05/24
640
675
3.100%
due
07/30/25
1,500
1,637
Vale
Overseas,
Ltd.
6.250%
due
08/10/26
170
204
Vodafone
Group
PLC
2.500%
due
09/26/22
667
684
Volkswagen
Group
of
America
Finance
LLC
2.700%
due
09/26/22
(Þ)
655
672
Westpac
Banking
Corp.
2.000%
due
01/13/23
395
405
87,076
Loan
Agreements
-
0.0%
Sungard
Availability
Services
Capital,
Inc.
Term
Loan
0.028%
due
11/03/22
(USD
3
Month
LIBOR
+
2.750%)(Ê)
241
22
Mortgage-Backed
Securities
-
7.7%
Avenue
of
Americas
Mortgage
Trust
Series
2015-1177
Class
C
3.010%
due
12/13/29
(~)(Ê)(Þ)
310
310
Bank
Commercial
Mortgage
Pass-
Through
Certificates
Series
2020-BN26
Class
A1
1.388%
due
03/15/63
119
121
Series
2020-BN28
Class
A1
0.628%
due
03/15/63
166
166
Series
2020-BN29
Class
A1
0.549%
due
11/15/53
1,188
1,190
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
224
Short
Duration
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
BDS
Series
2021-FL8
Class
A
1.020%
due
01/18/36
(USD
1
Month
LIBOR
+
0.920%)(Ê)(Þ)
260
260
Benchmark
Mortgage
Trust
Series
2020-B17
Class
A1
1.282%
due
03/15/53
165
166
Series
2020-B21
Class
A1
0.537%
due
12/17/53
295
296
Series
2020-B22
Class
A1
0.509%
due
01/15/54
1,168
1,161
Series
2021-B27
Class
XA
Interest
Only
STRIP
1.274%
due
07/15/54
(~)(Ê)
4,190
417
BX
Commercial
Mortgage
Trust
Series
2019-MMP
Class
A
1.185%
due
08/15/36
(USD
1
Month
LIBOR
+
1.000%)(Ê)(Þ)
547
547
Series
2019-XL
Class
A
1.105%
due
10/15/36
(USD
1
Month
LIBOR
+
0.920%)(Ê)(Þ)
599
600
Series
2020-VIVA
Class
D
3.667%
due
03/09/44
(~)(Ê)(Þ)
240
252
Series
2020-VIVA
Class
E
3.667%
due
03/11/44
(~)(Ê)(Þ)
250
254
BX
Trust
Series
2021-MFM1
Class
A
0.850%
due
01/15/34
(USD
1
Month
LIBOR
+
0.700%)(Ê)(Þ)
440
440
CAMB
Commercial
Mortgage
Trust
Series
2019-LIFE
Class
A
1.255%
due
12/15/37
(USD
1
Month
LIBOR
+
1.070%)(Ê)(Þ)
385
386
Cantor
Commercial
Real
Estate
Co.
LP
Series
2019-MF1
Class
E
3.200%
due
08/21/32
(USD
1
Month
LIBOR
+
2.200%)(Ê)(Þ)
250
249
Citigroup
Commercial
Mortgage
Trust
Series
2017-P8
Class
A1
2.065%
due
09/15/50
348
350
Series
2020-GC46
Class
A1
1.846%
due
02/15/53
143
146
Commercial
Mortgage
Trust
Series
2012-CR3
Class
ASB
2.372%
due
10/15/45
42
42
Series
2013-CR11
Class
ASB
3.660%
due
10/10/46
125
128
Series
2013-LC6
Class
A2
3.282%
due
01/10/46
475
490
Series
2014-CR20
Class
ASB
3.305%
due
11/10/47
188
196
Series
2015-CR22
Class
ASB
3.144%
due
03/10/48
160
167
Series
2015-LC23
Class
ASB
3.598%
due
10/10/48
44
46
Series
2020-CBM
Class
A2
2.896%
due
02/10/37
(Þ)
310
317
CORE
Mortgage
Trust
Series
2019-CORE
Class
A
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
1.065%
due
12/15/31
(USD
1
Month
LIBOR
+
0.880%)(Ê)(Þ)
111
111
Cosmopolitan
Hotel
Trust
Series
2017-CSMO
Class
A
1.115%
due
11/15/36
(USD
1
Month
LIBOR
+
0.930%)(Ê)(Þ)
470
471
CSAIL
Commercial
Mortgage
Trust
Series
2015-C3
Class
A3
3.447%
due
08/15/48
104
110
Series
2015-C3
Class
ASB
3.448%
due
08/15/48
134
140
Series
2016-C7
Class
ASB
3.314%
due
11/15/49
228
241
Series
2020-C19
Class
A1
1.296%
due
03/15/53
230
232
Extended
Stay
America
Trust
Series
2021-ESH
Class
A
1.155%
due
07/15/38
(USD
1
Month
LIBOR
+
1.080%)(Ê)(Þ)
320
321
Fannie
Mae
4.500%
due
2025
56
58
2.000%
due
2030
4,359
4,528
Fannie
Mae
REMICS
Series
2007-73
Class
A1
1.388%
due
07/25/37
(USD
1
Month
LIBOR
+
0.060%)(Ê)
12
12
Series
2012-111
Class
UC
1.350%
due
10/25/27
898
913
Series
2013-21
Class
BA
1.000%
due
03/25/23
126
126
Fannie
Mae-Aces
Series
2013-M7
Class
A2
2.280%
due
12/27/22
1,044
1,067
Series
2019-M18
Class
ASQ1
2.008%
due
09/25/24
748
766
Freddie
Mac
Multifamily
Structured
Pass-Through
Certificates
Series
2012-K023
Class
X1
Interest
Only
STRIP
1.233%
due
08/25/22
(~)(Ê)
8
Series
2013-K032
Class
X1
Interest
Only
STRIP
0.094%
due
05/25/23
(~)(Ê)
119
Series
2016-KF15
Class
A
1.902%
due
02/25/23
(USD
1
Month
LIBOR
+
0.670%)(Ê)
294
293
Freddie
Mac
REMICS
Series
2012-4083
Class
DC
1.500%
due
07/15/27
327
333
Series
2013-4182
Class
UC
1.500%
due
09/15/27
284
290
Series
2014-4315
Class
CA
2.000%
due
01/15/23
107
107
Series
2014-4399
Class
A
2.500%
due
07/15/24
Freddie
Mac
STACR
REMIC
Trust
Series
2021-DNA5
Class
M2
1.700%
due
01/25/34
(SOFR
30
Day
Average
+
1.650%)(Ê)(Þ)
250
251
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Short
Duration
Bond
Fund
225
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
Series
2020-DNA2
Class
M2
2.018%
due
02/25/50
(USD
1
Month
LIBOR
+
1.850%)(Ê)(Þ)
210
211
Series
2020-DNA3
Class
M2
3.171%
due
06/25/50
(USD
1
Month
LIBOR
+
3.000%)(Ê)(Þ)
327
329
Series
2020-DNA4
Class
M2
3.908%
due
08/25/50
(USD
1
Month
LIBOR
+
3.750%)(Ê)(Þ)
198
199
Galton
Funding
Mortgage
Trust
Series
2018-1
Class
A43
3.500%
due
11/25/57
(~)(Ê)(Þ)
7
7
Ginnie
Mae
REMICS
Series
2014-21
Class
DA
2.000%
due
04/16/26
434
445
Great
Wolf
Trust
Series
2019-WOLF
Class
A
1.196%
due
12/15/36
(USD
1
Month
LIBOR
+
1.034%)(Ê)(Þ)
410
410
GS
Mortgage
Securities
Trust
Series
2012-GC6
Class
A3
3.482%
due
01/10/45
169
169
Hawaii
Hotel
Trust
Series
2019-MAUI
Class
F
2.935%
due
05/15/38
(USD
1
Month
LIBOR
+
2.750%)(Ê)(Þ)
250
250
JPMBB
Commercial
Mortgage
Securities
Trust
Series
2014-C24
Class
A2
2.940%
due
11/15/47
221
223
JPMorgan
Chase
Commercial
Mortgage
Securities
Trust
Series
2012-C6
Class
A3
3.507%
due
05/15/45
727
738
Series
2014-C21
Class
AS
3.997%
due
08/15/47
300
320
Series
2014-C25
Class
B
4.347%
due
11/15/47
(~)(Ê)
115
122
Series
2017-JP5
Class
ASB
3.549%
due
03/15/50
395
427
Series
2019-MFP
Class
A
1.145%
due
07/15/36
(USD
1
Month
LIBOR
+
0.960%)(Ê)(Þ)
940
940
KKR
Industrial
Portfolio
Trust
Series
2021-KDIP
Class
A
0.700%
due
12/15/37
(USD
1
Month
LIBOR
+
0.550%)(Ê)(Þ)
220
220
MBRT
Institutional
Ownership
Series
2019-MBR
Class
H1
4.073%
due
11/15/36
(USD
1
Month
LIBOR
+
4.000%)(Ê)(Þ)
250
250
Mello
Warehouse
Securitization
Trust
Series
2020-1
Class
A
1.049%
due
10/25/53
(USD
1
Month
LIBOR
+
0.900%)(Ê)(Þ)
220
221
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
Series
2012-C5
Class
A4
3.176%
due
08/15/45
2,865
2,910
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2013-C12
Class
ASB
3.824%
due
10/15/46
156
161
Series
2016-C32
Class
ASB
3.514%
due
12/15/49
318
342
Morgan
Stanley
Capital
I
Trust
Series
2012-C4
Class
A4
3.244%
due
03/15/45
366
368
Series
2021-L5
Class
A1
0.785%
due
04/15/26
443
444
MSG
III
Securitization
Trust
Series
2021-1
Class
D
1.391%
due
06/25/54
(USD
1
Month
LIBOR
+
1.300%)(Ê)(Þ)
250
249
Onslow
Bay
Financial
LLC
Series
2020-EXP1
Class
2A1A
0.918%
due
02/25/60
(USD
1
Month
LIBOR
+
0.750%)(Ê)(Þ)
138
138
Series
2020-EXP3
Class
2A1A
1.106%
due
01/25/60
(USD
1
Month
LIBOR
+
0.900%)(Ê)(Þ)
122
122
PMT
Credit
Risk
Transfer
Trust
Series
2021-1R
Class
A
3.011%
due
02/27/24
(USD
1
Month
LIBOR
+
2.900%)(Ê)(Þ)
223
227
Starwood
Real
Estate
Income
Trust
Series
2021-FLWR
Class
E
2.024%
due
07/15/36
(USD
1
Month
LIBOR
+
1.924%)(Ê)(Þ)
250
250
Wells
Fargo
Commercial
Mortgage
Trust
3.000%
due
07/25/50
362
369
Series
2015-NXS2
Class
ASB
3.461%
due
07/15/58
182
190
Series
2017-C41
Class
A1
2.279%
due
11/15/50
537
541
Series
2018-C43
Class
A1
2.890%
due
03/15/51
72
72
Series
2020-C57
Class
A1
0.903%
due
08/15/53
176
176
WFRBS
Commercial
Mortgage
Trust
Series
2014-C25
Class
ASB
3.369%
due
11/15/47
757
790
31,897
Municipal
Bonds
-
0.5%
Taxable
Municipal
Funding
Trust
0.370%
due
02/01/31
(~)(Ê)(Þ)
650
650
Taxable
Municipal
Funding
Trust
Revenue
Bonds
0.350%
due
04/01/25
(~)(Ê)(Þ)
100
100
0.510%
due
09/01/30
(~)(Ê)(Þ)
1,380
1,380
2,130
United
States
Government
Agencies
-
0.9%
Federal
Farm
Credit
Banks
Funding
Corp.
0.710%
due
04/21/25
1,900
1,905
Federal
Home
Loan
Banks
0.430%
due
06/17/24
1,500
1,499
Tennessee
Valley
Authority
0.750%
due
05/15/25
370
372
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
226
Short
Duration
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3,776
United
States
Government
Treasuries
-
8.9%
United
States
Treasury
Notes
0.125%
due
10/31/22
940
940
0.125%
due
05/31/23
17,560
17,549
0.375%
due
04/15/24
7,840
7,856
0.250%
due
06/15/24
4,280
4,271
0.250%
due
08/31/25
470
464
0.250%
due
09/30/25
450
444
0.250%
due
10/31/25
595
586
0.750%
due
05/31/26
4,480
4,495
36,605
Total
Long-Term
Investments
(cost
$355,211
)
359,210
Common
Stocks
-
0.0%
Technology
-
0.0%
Sungard
Availability
Services
Capital,
LP(Æ)(Š)
3,285
Total
Common
Stocks
(cost
$82)
Short-Term
Investments
-
12.9%
America
Movil
SAB
de
CV
3.125%
due
07/16/22
340
348
American
Express
Co.
2.750%
due
05/20/22
890
906
Apple,
Inc.
Series
5YR
2.500%
due
02/09/22
620
626
Barclays
Bank
PLC
1.700%
due
05/12/22
630
637
Becton
Dickinson
and
Co.
2.894%
due
06/06/22
320
326
BMW
US
Capital
LLC
1.850%
due
09/15/21
(Þ)
1,300
1,301
Caterpillar
Financial
Services
Corp.
Series
WI
1.931%
due
10/01/21
890
892
Credit
Suisse
2.100%
due
11/12/21
1,500
1,508
Daimler
Finance
NA
LLC
Series
REGS
3.400%
due
02/22/22
1,600
1,628
Eni
Finance
USA,
Inc.
1.086%
due
08/04/21
(ç)(Þ)(ž)
311
311
ERAC
USA
Finance
LLC
2.600%
due
12/01/21
(Þ)
415
417
Fannie
Mae
4.500%
due
12/01/21
Ford
Motor
Credit
Co.
LLC
Series
FXD
3.813%
due
10/12/21
780
784
General
Motors
Financial
Co.,
Inc.
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
4.200%
due
11/06/21
785
793
3.450%
due
04/10/22
410
416
3.550%
due
07/08/22
675
694
International
Business
Machines
Corp.
1.971%
due
11/06/21
(USD
3
Month
LIBOR
+
0.580%)(Ê)
490
491
Jackson
National
Life
Global
Funding
3.300%
due
02/01/22
(Þ)
795
807
Johnson
&
Johnson
2.250%
due
03/03/22
1,100
1,111
Kroger
Co.
(The)
3.400%
due
04/15/22
240
243
Kuwait
Government
International
Bond
Series
REGS
2.750%
due
03/20/22
240
244
Mondelez
International,
Inc.
0.625%
due
07/01/22
210
211
Novartis
Capital
Corp.
2.400%
due
05/17/22
1,350
1,372
Pacific
Gas
and
Electric
Co.
1.750%
due
06/16/22
460
459
Petroleos
Mexicanos
Series
WI
5.375%
due
03/13/22
420
429
Reckitt
Benckiser
Treasury
Services
PLC
2.375%
due
06/24/22
(Þ)
1,165
1,185
Royal
Bank
of
Canada
Series
GMTN
2.750%
due
02/01/22
800
810
Southern
California
Edison
Co.
1.845%
due
02/01/22
439
440
Sprint
Spectrum
Co.
LLC
/
Sprint
Spectrum
Co.
II
LLC
/
Sprint
Spectrum
Co.
III
LLC
3.360%
due
09/20/21
(Þ)(ç)
56
56
Sungard
AS
New
Holdings
III
LLC
Term
Loan
0.038%
due
02/03/22
(USD
3
Month
LIBOR
+
0.000%)(Ê)
75
68
Svenska
Handelsbanken
AB
0.120%
due
12/23/21
(Þ)(ž)
2,000
1,999
Total
Capital
International
SA
2.875%
due
02/17/22
1,731
1,756
U.S.
Cash
Management
Fund(@)
6,799,091(∞)
6,799
UniCredit
SpA
6.572%
due
01/14/22
(Þ)
480
492
Union
Pacific
Corp.
4.163%
due
07/15/22
240
246
United
States
Treasury
Bills
Series
WI
0.011%
due
08/03/21
(ž)(ç)
900
900
United
States
Treasury
Notes
1.500%
due
10/31/21
4,420
4,436
1.875%
due
01/31/22
16,300
16,446
Zions
Bancorp
NA
Series
BKNT
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Short
Duration
Bond
Fund
227
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.350%
due
03/04/22
870
883
Total
Short-Term
Investments
(cost
$53,257)
53,470
Total
Investments
-
99.9%
(identified
cost
$408,550)
412,680
Other
Assets
and
Liabilities,
Net
-
0.1%
530
Net
Assets
-
100.0%
413,210
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
228
Short
Duration
Bond
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
19.7%
7-Eleven,
Inc.
01/27/21
250,000
99.93
250
250
ABN
AMRO
Bank
NV
06/11/21
601,000
113.99
685
686
Abu
Dhabi
Government
International
Bond
05/20/21
440,000
100.97
444
442
AGL
CLO
6,
Ltd.
07/12/21
510,000
100.00
510
510
AIG
Global
Funding
06/29/20
545,000
99.95
545
550
Anglo
American
Capital
PLC
05/20/21
540,000
108.08
584
584
AP
Moller
-
Maersk
A/S
05/07/21
635,000
107.86
685
687
Athene
Global
Funding
05/21/21
715,000
100.00
715
718
Avenue
of
Americas
Mortgage
Trust
09/28/18
310,000
0.98
303
310
Avery
Point
VII
CLO,
Ltd.
07/26/21
511,969
100.05
512
512
Aviation
Capital
Group
LLC
12/22/20
656,000
103.30
678
687
Avis
Budget
Rental
Car
Funding
(AESOP)
LLC
02/04/19
1,950,000
100.99
1,955
1,977
Avis
Budget
Rental
Car
Funding
(AESOP)
LLC
11/13/20
293,333
100.90
296
295
Avolon
Holdings
Funding,
Ltd.
05/20/21
170,000
107.26
182
184
Balboa
Bay
Loan
Funding,
Ltd.
11/18/20
325,000
100.00
325
325
Banco
Inbursa
SA
Institucion
de
Banca
Multiple
07/13/20
537,000
102.78
552
573
Banco
Santander
Chile
04/06/21
655,000
103.69
679
678
Banco
Santander
Mexico
SA
Institucion
de
Banca
Multiple
Grupo
Financiero
Santander
04/06/21
645,000
103.61
668
671
Bank
of
the
West
Auto
Trust
10/31/18
49,303
100.00
49
49
Bayer
US
Finance
II
LLC
05/07/21
601,000
114.36
687
687
BBVA
Bancomer
SA
11/05/20
622,000
106.95
665
676
BDS
07/22/21
260,000
100.00
260
260
Bharti
Airtel
International
Netherlands
BV
06/03/20
552,000
102.97
568
584
BMW
US
Capital
LLC
08/06/19
1,300,000
99.96
1,299
1,301
BMW
US
Capital
LLC
05/20/21
170,000
100.64
171
171
BNP
Paribas
SA
05/20/21
540,000
109.29
590
589
BNP
Paribas
SA
05/26/21
615,000
111.09
683
683
BX
Commercial
Mortgage
Trust
10/09/19
598,759
99.98
599
600
BX
Commercial
Mortgage
Trust
11/09/20
547,261
99.40
544
547
BX
Commercial
Mortgage
Trust
06/16/21
250,000
100.46
251
254
BX
Commercial
Mortgage
Trust
06/30/21
240,000
103.58
249
252
BX
Trust
01/05/21
440,000
100.00
440
440
BXMT,
Ltd.
04/09/21
330,000
100.00
330
330
CAMB
Commercial
Mortgage
Trust
01/25/19
385,000
100.00
385
386
Cantor
Commercial
Real
Estate
Co.
LP
06/17/21
250,000
99.94
250
249
Cargill,
Inc.
01/28/21
110,000
99.69
110
109
Carlyle
Global
Market
Strategies
CLO,
Ltd.
07/26/21
279,151
100.00
279
279
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp.
05/20/21
186,000
103.26
192
192
Cedar
Funding
V
CLO,
Ltd.
07/23/21
320,000
100.00
320
321
Cencosud
SA
07/13/20
511,000
105.51
539
564
CIFC
Funding,
Ltd.
07/27/21
330,000
100.05
330
330
Commercial
Mortgage
Trust
01/30/20
310,000
102.75
319
317
CORE
Mortgage
Trust
03/01/19
110,855
97.98
109
111
Cosmopolitan
Hotel
Trust
09/11/20
470,000
96.92
456
471
Credicorp
,
Ltd.
06/07/21
679,000
100.19
680
689
Credit
Agricole
SA
08/20/20
590,000
109.68
647
651
Credit
Agricole
SA
05/20/21
340,000
98.69
336
337
Daimler
Finance
NA
LLC
03/08/21
643,000
102.04
656
657
Daimler
Finance
NA
LLC
05/20/21
210,000
100.78
212
213
Danone
SA
05/07/21
659,000
104.18
687
687
Danske
Bank
A/S
10/14/20
717,000
99.90
716
723
Danske
Bank
A/S
05/20/21
270,000
110.63
299
299
Deutsche
Telekom
International
Finance
BV
05/07/21
664,000
103.67
688
690
Diamond
Resorts
Owner
Trust
04/12/21
326,680
100.00
327
329
DNB
Bank
ASA
02/16/21
663,000
102.52
680
680
Dryden
55
CLO,
Ltd.
07/26/21
250,000
100.00
250
250
Eni
Finance
USA,
Inc.
05/10/21
311,000
100.00
311
311
Eni
SpA
08/10/20
622,000
106.03
660
664
ERAC
USA
Finance
LLC
05/31/17
415,000
100.02
415
417
Extended
Stay
America
Trust
06/24/21
320,000
100.00
320
321
Falabella
SA
08/21/20
642,000
102.64
659
669
Freddie
Mac
STACR
REMIC
Trust
07/19/21
250,000
100.00
250
251
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
06/15/21
197,959
101.18
200
199
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
06/22/21
327,138
100.68
329
329
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
07/09/21
210,000
100.86
212
211
GA
Global
Funding
Trust
Secured
01/08/21
285,000
99.90
285
291
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Short
Duration
Bond
Fund
229
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Galton
Funding
Mortgage
Trust
01/25/18
7,280
100.85
7
7
Georgia-Pacific
LLC
05/20/21
170,000
98.35
167
169
Glencore
Funding
LLC
05/20/21
540,000
107.81
582
582
GoodGreen
Trust
04/21/21
245,512
99.97
245
250
Great
Lakes
Kcap
F3c
Senior
LLC
07/26/21
420,000
100.00
420
420
Great
Wolf
Trust
09/01/20
410,000
97.03
398
410
Great-West
Lifeco
U.S.
Finance
2020,
LP
05/20/21
260,000
99.07
258
259
Halsey
Point
CLO
I,
Ltd.
07/28/21
250,000
100.25
251
251
Hawaii
Hotel
Trust
06/17/21
250,000
100.16
250
250
Heineken
NV
10/08/20
281,000
103.25
290
291
Hertz
Vehicle
Financing
LLC
06/24/21
250,000
99.95
250
254
Hertz
Vehicle
Financing
LLC
06/24/21
450,000
99.98
450
453
Hertz
Vehicle
Financing
LLC
06/24/21
310,000
99.99
310
312
Highmark,
Inc.
05/05/21
520,000
99.87
519
524
Hilton
Grand
Vacations
Trust
06/02/20
302,914
99.99
303
315
Hyundai
Capital
America
09/15/20
280,000
99.93
280
282
Hyundai
Capital
America
01/05/21
190,000
99.88
190
189
Hyundai
Capital
America
05/21/21
210,000
99.80
210
209
ICICI
Bank,
Ltd.
07/07/21
631,000
108.78
686
687
Intesa
Sanpaolo
SpA
05/20/21
540,000
103.90
561
561
Inversiones
CMPC
SA
04/06/21
638,000
105.11
671
665
Jackson
National
Life
Global
Funding
01/29/19
795,000
99.98
795
807
Jackson
National
Life
Global
Funding
06/23/20
650,000
106.38
691
703
JPMorgan
Chase
Bank
NA
08/27/20
483,692
100.00
484
485
JPMorgan
Chase
Commercial
Mortgage
Securities
Trust
06/27/19
940,000
100.00
940
940
KKR
Industrial
Portfolio
Trust
01/12/21
220,000
100.00
220
220
Lukoil
International
Finance
BV
10/02/19
635,000
103.60
658
672
Magnetite
XIV-R,
Ltd.
07/26/21
330,000
100.08
330
331
Magnetite
XXVIII,
Ltd.
09/10/20
435,000
100.00
435
435
MBRT
Institutional
Ownership
06/17/21
250,000
99.50
249
250
Meituan
03/08/21
675,000
100.27
677
656
Mello
Warehouse
Securitization
Trust
10/21/20
220,000
100.00
220
221
Mercury
Financial,
Inc.
06/17/21
250,000
100.61
252
248
Mondelez
International,
Inc.
11/09/20
642,000
104.09
668
672
MSG
III
Securitization
Trust
06/17/21
250,000
100.00
250
249
National
Securities
Clearing
Corp.
05/20/21
340,000
98.91
336
338
Nationwide
Building
Society
05/20/21
330,000
100.03
330
330
Navient
Private
Education
Refi
Loan
Trust
01/28/21
312,675
102.18
319
318
Nestle
Holdings,
Inc.
01/14/20
1,761,000
104.32
1,830
1,870
Neuberger
Berman
CLO,
Ltd.
01/27/21
275,000
100.00
275
276
New
York
Life
Global
Funding
05/20/21
230,000
100.14
230
230
Nissan
Motor
Acceptance
Corp.
03/08/21
321,000
101.94
327
327
Nissan
Motor
Acceptance
Corp.
05/20/21
400,000
104.31
417
417
Nordea
Bank
AB
07/02/20
514,000
103.25
531
535
Nordea
Bank
Abp
05/21/21
270,000
99.22
268
268
Northwestern
Mutual
Life
Insurance
Co.
(The)
01/07/21
570,000
99.84
569
565
NTT
Finance
Corp.
02/24/21
550,000
100.00
550
552
OCP
CLO,
Ltd.
07/26/21
390,000
100.05
390
390
Octagon
Investment
Partners
II
LLC
02/18/21
200,000
100.00
200
200
Onslow
Bay
Financial
LLC
02/14/20
137,887
100.00
138
138
Onslow
Bay
Financial
LLC
09/18/20
122,209
100.00
122
122
OZLM
XII
Ltd.
07/26/21
88,246
100.03
88
88
Pacific
Life
Global
Funding
II
06/17/20
500,000
99.83
499
505
PMT
Credit
Risk
Transfer
Trust
06/14/21
222,717
100.81
225
227
POSCO
03/08/21
662,000
102.07
676
676
Principal
Life
Global
Funding
II
06/16/20
280,000
99.94
280
283
Prosus
NV
07/07/21
240,000
100.00
240
237
Protective
Life
Global
Funding
04/08/19
1,010,000
100.00
1,010
1,072
Protective
Life
Global
Funding
07/08/20
930,000
100.00
930
937
PTT
Global
Chemical
PCL
01/03/20
553,000
102.11
565
572
Qatar
Petroleum
06/30/21
330,000
99.91
330
331
Radnor
RE,
Ltd.
06/18/21
250,000
100.00
250
251
Reckitt
Benckiser
Treasury
Services
PLC
06/22/17
1,165,000
99.98
1,165
1,185
Roche
Holdings,
Inc.
05/07/20
374,000
105.03
393
396
Royalty
Pharma
PLC
08/24/20
480,000
99.53
478
482
SABIC
Capiral
II
BV
12/03/19
628,000
104.30
655
671
Santander
UK
Group
Holdings
PLC
07/30/20
531,000
107.33
570
577
Saudi
Arabian
Oil
Co.
04/06/20
560,000
100.29
562
588
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
230
Short
Duration
Bond
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Schneider
Electric
SE
09/14/20
633,000
102.78
651
652
SK
Hynix,
Inc.
03/08/21
684,000
100.01
684
681
Skandinaviska
Enskilda
Banken
AB
05/21/21
270,000
99.44
268
269
Societe
Generale
SA
06/02/20
642,000
104.18
669
702
SoFi
Professional
Loan
Program
Trust
05/14/20
98,032
99.98
98
100
Sprint
Spectrum
Co.
LLC
/
Sprint
Spectrum
Co.
II
LLC
/
Sprint
Spectrum
Co.
III
LLC
01/16/19
56,250
99.75
56
56
Standard
Chartered
PLC
06/02/20
675,000
103.65
700
708
Standard
Chartered
PLC
05/21/21
280,000
100.77
282
281
Starwood
Real
Estate
Income
Trust
07/12/21
250,000
99.64
249
250
State
Bank
of
India
06/03/20
385,000
105.30
405
421
Sumitomo
Mitsui
Banking
Corp.
03/18/21
520,000
99.95
520
523
Sumitomo
Mitsui
Financial
Group,
Inc.
06/08/21
626,000
109.13
683
681
Sura
Asset
Management
SA
08/21/20
607,000
107.09
650
653
Svenska
Handelsbanken
AB
03/29/21
2,000,000
99.92
1,998
1,999
Symphony
CLO
V,
Ltd.
02/05/21
275,000
100.00
275
275
Symphony
CLO
XIV,
Ltd.
09/09/20
410,000
98.92
406
410
Taxable
Municipal
Funding
Trust
02/08/21
650,000
100.00
650
650
Taxable
Municipal
Funding
Trust
Revenue
Bonds
08/17/20
1,380,000
100.00
1,380
1,380
Taxable
Municipal
Funding
Trust
Revenue
Bonds
03/03/21
100,000
100.00
100
100
Tencent
Holdings,
Ltd.
11/09/20
610,000
108.46
662
663
Towd
Point
Mortgage
Trust
07/01/19
124,241
101.37
126
129
Tryon
Park
CLO,
Ltd.
07/26/21
277,695
100.03
278
278
TSMC
Global,
Ltd.
09/23/20
405,000
99.92
405
399
UBS
AG
02/05/21
1,650,000
100.01
1,649
1,644
UBS
Group
AG
07/27/20
930,000
100.00
930
937
UBS
Group
Funding
Switzerland
AG
05/21/21
540,000
111.58
603
605
UniCredit
SpA
05/21/21
480,000
102.60
492
492
UNIFY
Auto
Receivables
Trust
03/18/21
600,000
100.00
600
601
United
Airlines,
Inc.
05/21/21
710,000
103.31
734
731
Upjohn,
Inc.
06/17/20
225,000
99.83
225
229
Volkswagen
Group
of
America
Finance
LLC
03/08/21
655,000
102.54
672
672
Vontier
Corp.
03/03/21
165,000
99.87
165
166
Voya
CLO,
Ltd.
07/23/21
570,000
100.04
570
570
Voya
CLO,
Ltd.
07/27/21
370,000
100.05
370
370
Wendy's
Co.
(The)
06/15/21
250,000
100.00
250
254
Wheels
SPV
2
LLC
09/11/20
631,088
100.03
631
632
81,605
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
Australia
10
Year
Government
Bond
Futures
174
AUD
25,299
09/21
479
Canadian
10
Year
Government
Bond
Futures
29
CAD
4,292
09/21
95
Eurodollar
Futures
26
USD
6,461
06/23
11
Eurodollar
Futures
56
USD
13,874
12/23
22
United
States
2
Year
Treasury
Note
Futures
86
USD
18,976
09/21
(1)
United
States
5
Year
Treasury
Note
Futures
113
USD
14,062
09/21
69
United
States
10
Year
Treasury
Note
Futures
90
USD
12,101
09/21
225
Short
Positions
Euro-Bund
Futures
79
EUR
13,949
09/21
(460)
Japanese
10
Year
Government
Bond
Futures
3
JPY
456,900
09/21
(23)
Long
Gilt
Futures
52
GBP
6,749
09/21
(186)
United
States
2
Year
Treasury
Note
Futures
37
USD
8,164
09/21
United
States
5
Year
Treasury
Note
Futures
221
USD
27,502
09/21
(212)
United
States
10
Year
Treasury
Note
Futures
8
USD
1,076
09/21
(15)
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
4
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Short
Duration
Bond
Fund
231
Options
Written
Amounts
in
thousands
(except
contract
amounts)
Description
Counterparty
Call/Put
Number
of
Contracts
Strike
Price
Notional
Amount
Expiration
Date
Fair
Value
$
United
States
5
Year
Treasury
Note
Futures
Citigroup
Call
7
125.00
USD
875
08/27/21
(1)
United
States
5
Year
Treasury
Note
Futures
Citigroup
Put
8
124.00
USD
992
08/27/21
(1)
Total
Liability
for
Options
Written
(premiums
received
$5)
(2)
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
USD
40
AUD
53
09/09/21
(1)
Bank
of
America
USD
49
NOK
422
09/09/21
(2)
Bank
of
America
AUD
60
USD
46
09/09/21
2
Bank
of
America
AUD
138
USD
102
09/09/21
1
Bank
of
America
AUD
4,972
USD
3,857
09/09/21
208
Bank
of
America
NOK
469
USD
56
09/09/21
3
Bank
of
America
NOK
1,394
USD
159
09/09/21
2
Bank
of
America
NOK
32,034
USD
3,839
09/09/21
213
Bank
of
New
York
USD
14
JPY
1,503
09/09/21
Bank
of
New
York
USD
676
JPY
74,113
09/09/21
(1)
Bank
of
New
York
USD
1,045
JPY
114,311
09/09/21
(3)
Bank
of
New
York
USD
2,312
NOK
19,067
09/15/21
(153)
Bank
of
New
York
JPY
1,446
USD
13
09/09/21
Bank
of
New
York
SEK
18,200
USD
2,209
09/15/21
94
Citigroup
USD
384
GBP
277
09/09/21
2
Citigroup
USD
2,705
GBP
1,908
09/09/21
(53)
Citigroup
USD
2,867
GBP
2,020
09/09/21
(59)
Citigroup
USD
24
NZD
35
09/09/21
Citigroup
USD
1,777
NZD
2,436
09/09/21
(81)
Citigroup
GBP
3,051
USD
4,264
09/09/21
23
Citigroup
NZD
USD
09/09/21
Citigroup
NZD
6
USD
5
09/09/21
JPMorgan
Chase
USD
2,305
NOK
19,067
09/15/21
(146)
JPMorgan
Chase
SEK
18,200
USD
2,204
09/15/21
89
Royal
Bank
of
Canada
USD
3,848
CAD
4,789
09/09/21
(9)
Royal
Bank
of
Canada
USD
5,774
CAD
6,974
09/09/21
(184)
Royal
Bank
of
Canada
USD
2,315
NOK
19,067
09/15/21
(157)
Royal
Bank
of
Canada
CAD
31
USD
25
09/09/21
Royal
Bank
of
Canada
CAD
4,829
USD
3,997
09/09/21
126
Royal
Bank
of
Canada
SEK
18,200
USD
2,211
09/15/21
96
State
Street
USD
672
EUR
564
09/09/21
(3)
State
Street
USD
2,370
EUR
1,939
09/09/21
(68)
State
Street
USD
1
SEK
11
09/09/21
State
Street
USD
16
SEK
133
09/09/21
State
Street
EUR
7
USD
8
09/09/21
State
Street
EUR
1,528
USD
1,817
09/09/21
3
State
Street
SEK
202
USD
24
09/09/21
State
Street
SEK
14,718
USD
1,778
09/09/21
67
UBS
USD
26
CHF
23
09/09/21
UBS
USD
35
CHF
32
09/09/21
1
UBS
USD
59
CHF
53
09/09/21
UBS
CHF
5,131
USD
5,729
09/09/21
59
Total
Unrealized
Appreciation
(Depreciation)
on
Open
Foreign
Currency
Exchange
Contracts
69
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
232
Short
Duration
Bond
Fund
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical    
Expedient
(a)
Total
Long-Term
Investments
Asset-Backed
Securities
$
$
27,232
$
$
$
27,232
Corporate
Bonds
and
Notes
170,472
170,472
International
Debt
87,076
87,076
Loan
Agreements
22
22
Mortgage-Backed
Securities
31,897
31,897
Municipal
Bonds
2,130
2,130
United
States
Government
Agencies
3,776
3,776
United
States
Government
Treasuries
36,605
36,605
Common
Stocks
Short-Term
Investments
46,671
6,799
53,470
Total
Investments
405,881
6,799
412,680
Other
Financial
Instruments
Assets
Futures
Contracts
901
901
Foreign
Currency
Exchange
Contracts
989
989
Liabilities
Futures
Contracts
(897)
(897)
Options
Written
(2)
(2)
Foreign
Currency
Exchange
Contracts
(920)
(920)
Total
Other
Financial
Instruments
*
$
2
$
69
$
$
$
71
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Amounts
in
thousands
Country
Exposure
Fair
Value
$
Australia
......................................................................................
1,671
Bermuda
......................................................................................
251
Brazil
...........................................................................................
495
Canada
.........................................................................................
15,514
Cayman
Islands
............................................................................
6,661
Chile
............................................................................................
3,233
China
...........................................................................................
1,587
Colombia
......................................................................................
1,907
Denmark
......................................................................................
1,709
Russell
Investment
Company
Short
Duration
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Short
Duration
Bond
Fund
233
Amounts
in
thousands
Country
Exposure
Fair
Value
$
Finland
........................................................................................
803
France
..........................................................................................
8,565
Germany
......................................................................................
7,290
India
............................................................................................
1,692
Ireland
.........................................................................................
407
Israel
............................................................................................
565
Italy
.............................................................................................
2,028
Japan
...........................................................................................
4,554
Kuwait
.........................................................................................
244
Mexico
.........................................................................................
2,697
Netherlands
.................................................................................
4,066
Norway
.........................................................................................
5,026
Peru
.............................................................................................
689
Qatar
............................................................................................
801
Russia
..........................................................................................
672
Saudi
Arabia
................................................................................
1,259
South
Africa
.................................................................................
584
South
Korea
.................................................................................
1,357
Spain
............................................................................................
1,771
Sweden
.........................................................................................
2,268
Switzerland
..................................................................................
8,406
Taiwan
..........................................................................................
399
Thailand
.......................................................................................
573
United
Arab
Emirates
..................................................................
443
United
Kingdom
...........................................................................
15,039
United
States
................................................................................
307,454
Total
Investments
....................................................................
412,680
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
234
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Municipal
Bonds
-
97.3%
American
Samoa
-
0.0%
American
Samoa
Economic
Development
Authority
Revenue
Bonds
(Þ)
125
3.720
09/01/27
127
American
Samoa
Economic
Development
Authority
Revenue
Bonds
(Þ)
100
5.000
09/01/38
126
253
Alabama
-
1.2%
Alabama
Industrial
Development
Authority
Revenue
Bonds
(~)(Ê)
500
6.450
12/01/23
501
Central
Etowah
County
Solid
Waste
Disposal
Authority
Revenue
Bonds
(Þ)
150
8.000
07/01/28
155
Central
Etowah
County
Solid
Waste
Disposal
Authority
Revenue
Bonds
(Þ)
385
6.000
07/01/45
402
County
of
Jefferson
Sewer
Revenue
Bonds
500
6.000
10/01/42
581
County
of
Jefferson
Sewer
Revenue
Bonds
(µ)
225
6.750
10/01/46
232
County
of
Jefferson
Sewer
Revenue
Bonds
1,220
7.000
10/01/51
1,442
County
of
Jefferson
Sewer
Revenue
Bonds
(µ)
3,345
5.500
10/01/53
3,764
County
of
Jefferson
Sewer
Revenue
Bonds
3,095
6.500
10/01/53
3,626
Homewood
Educational
Building
Authority
Revenue
Bonds
2,500
4.000
12/01/38
2,902
Hoover
Industrial
Development
Board
Revenue
Bonds
1,150
5.750
10/01/49
1,387
Hoover
Industrial
Development
Board
Revenue
Bonds
(~)(ae)(Ê)
1,000
6.375
11/01/50
1,289
Houston
County
Health
Care
Authority
Revenue
Bonds
500
5.000
10/01/30
582
Montgomery
Educational
Building
Authority
Revenue
Bonds
820
5.000
10/01/36
905
Tuscaloosa
County
Industrial
Development
Authority
Revenue
Bonds
(Þ)
929
4.500
05/01/32
1,017
18,785
Alaska
-
0.3%
Alaska
Industrial
Development
&
Export
Authority
Revenue
Bonds
2,000
4.000
10/01/49
2,276
City
of
Valdez
Revenue
Bonds
(~)(Ê)
1,300
0.150
05/01/31
1,300
Northern
Tobacco
Securitization
Corp.
Revenue
Bonds
200
4.000
06/01/50
237
Northern
Tobacco
Securitization
Corp.
Revenue
Bonds
3,275
5.300
06/01/66
742
4,555
Arizona
-
1.3%
Arizona
Health
Facilities
Authority
Revenue
Bonds
(USD
3
Month
LIBOR
+
0.810%)(Ê)
5,130
1.770
01/01/37
5,109
Arizona
Industrial
Development
Authority
Revenue
Bonds
(Þ)
500
5.000
06/01/31
601
Arizona
Industrial
Development
Authority
Revenue
Bonds
(Þ)
1,500
6.000
07/01/37
1,864
Arizona
Industrial
Development
Authority
Revenue
Bonds
(Þ)
920
5.000
12/15/40
1,080
Arizona
Industrial
Development
Authority
Revenue
Bonds
400
4.000
07/01/41
466
Arizona
Industrial
Development
Authority
Revenue
Bonds
(Þ)
25
4.000
12/15/41
28
Arizona
Industrial
Development
Authority
Revenue
Bonds
110
5.000
01/01/43
116
Arizona
Industrial
Development
Authority
Revenue
Bonds
200
5.000
05/01/43
213
Arizona
Industrial
Development
Authority
Revenue
Bonds
125
4.000
11/01/45
146
Arizona
Industrial
Development
Authority
Revenue
Bonds
1,000
3.000
07/01/46
1,067
Arizona
Industrial
Development
Authority
Revenue
Bonds
35
4.000
07/01/47
40
Arizona
Industrial
Development
Authority
Revenue
Bonds
330
5.000
05/01/48
350
Arizona
Industrial
Development
Authority
Revenue
Bonds
250
4.500
01/01/49
257
Arizona
Industrial
Development
Authority
Revenue
Bonds
225
5.000
01/01/49
225
Arizona
Industrial
Development
Authority
Revenue
Bonds
100
4.000
11/01/49
113
Arizona
Industrial
Development
Authority
Revenue
Bonds
300
4.000
02/01/50
351
Arizona
Industrial
Development
Authority
Revenue
Bonds
150
4.000
11/01/50
175
Arizona
Industrial
Development
Authority
Revenue
Bonds
100
5.000
05/01/51
106
Arizona
Industrial
Development
Authority
Revenue
Bonds
(Þ)
50
4.000
12/15/51
55
Arizona
Industrial
Development
Authority
Revenue
Bonds
(Þ)
700
5.000
07/15/53
806
Arizona
Industrial
Development
Authority
Revenue
Bonds
125
5.000
01/01/54
134
Arizona
Industrial
Development
Authority
Revenue
Bonds
50
5.125
01/01/54
50
Arizona
Industrial
Development
Authority
Revenue
Bonds
(µ)
500
5.000
06/01/58
613
City
of
Phoenix
Industrial
Development
Authority
Revenue
Bonds
(Þ)
2
00
5.000
07/01/35
225
City
of
Phoenix
Industrial
Development
Authority
Revenue
Bonds
6
00
5.000
07/01/35
678
City
of
Phoenix
Industrial
Development
Authority
Revenue
Bonds
1,000
5.000
07/01/44
1,216
Estrella
Mountain
Ranch
Community
Facilities
District
Special
Assessment
25
3.500
07/01/29
26
Estrella
Mountain
Ranch
Community
Facilities
District
Special
Assessment
25
4.100
07/01/34
27
Estrella
Mountain
Ranch
Community
Facilities
District
Special
Assessment
105
4.750
07/01/43
112
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
235
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Glendale
Industrial
Development
Authority
Revenue
Bonds
715
5.000
05/15/41
826
Glendale
Industrial
Development
Authority
Revenue
Bonds
400
5.000
05/15/56
457
La
Paz
County
Industrial
Development
Authority
Revenue
Bonds
(Þ)
250
6.000
08/01/28
175
La
Paz
County
Industrial
Development
Authority
Revenue
Bonds
(Þ)
1,000
6.250
08/01/40
700
Maricopa
County
Industrial
Development
Authority
Revenue
Bonds
(Þ)
115
5.250
10/01/40
130
Maricopa
County
Industrial
Development
Authority
Revenue
Bonds
(Þ)
50
5.000
07/01/50
58
Maricopa
County
Industrial
Development
Authority
Revenue
Bonds
(Þ)
115
5.500
10/01/51
130
Maricopa
County
Industrial
Development
Authority
Revenue
Bonds
(Þ)
50
5.000
07/01/54
58
Pima
County
Industrial
Development
Authority
Revenue
Bonds
250
4.500
06/01/30
259
Pima
County
Industrial
Development
Authority
Revenue
Bonds
(Þ)
25
5.500
05/01/40
27
Pima
County
Industrial
Development
Authority
Revenue
Bonds
(Þ)
50
5.750
05/01/50
54
Salt
Verde
Financial
Corp.
Revenue
Bonds
200
5.000
12/01/37
286
Tempe
Industrial
Development
Authority
Revenue
Bonds
80
5.000
12/01/50
87
Tempe
Industrial
Development
Authority
Revenue
Bonds
100
5.000
12/01/54
109
19,605
Arkansas
-
0.7%
Arkansas
Development
Finance
Authority
Revenue
Bonds
300
3.500
07/01/38
305
Arkansas
Development
Finance
Authority
Revenue
Bonds
50
4.250
07/01/41
55
Arkansas
Development
Finance
Authority
Revenue
Bonds
2,000
4.000
02/01/42
2,262
Arkansas
Development
Finance
Authority
Revenue
Bonds
900
3.500
07/01/46
926
Arkansas
Development
Finance
Authority
Revenue
Bonds
(Þ)
1,000
4.500
09/01/49
1,119
Arkansas
Development
Finance
Authority
Revenue
Bonds
(Þ)
3,500
4.750
09/01/49
4,021
Arkansas
Development
Finance
Authority
Revenue
Bonds
75
4.000
07/01/52
81
Arkansas
River
Power
Authority
Revenue
Bonds
1,680
5.000
10/01/33
2,052
10,821
California
-
10.2%
Alhambra
Unified
School
District
General
Obligation
Unlimited
(µ)
1,150
4.220
08/01/37
860
Bay
Area
Toll
Authority
Revenue
Bonds
150
3.000
04/01/54
160
California
Community
Housing
Agency
Revenue
Bonds
(Þ)
1,000
5.000
08/01/50
1,174
California
Community
Housing
Agency
Revenue
Bonds
(Þ)
2,400
4.000
02/01/56
2,738
California
Community
Housing
Agency
Revenue
Bonds
(Þ)
1,600
3.000
08/01/56
1,667
California
County
Tobacco
Securitization
Agency
Revenue
Bonds
50
4.000
06/01/49
60
California
County
Tobacco
Securitization
Agency
Revenue
Bonds
195
5.000
06/01/49
245
California
County
Tobacco
Securitization
Agency
Revenue
Bonds
800
4.072
06/01/55
215
California
County
Tobacco
Securitization
Agency
Revenue
Bonds
680
4.904
06/01/55
139
California
County
Tobacco
Securitization
Agency
Revenue
Bonds
4,500
7.296
06/01/55
552
California
Enterprise
Development
Authority
Revenue
Bonds
35
5.000
08/01/50
44
California
Enterprise
Development
Authority
Revenue
Bonds
50
5.000
08/01/55
62
California
Enterprise
Development
Authority
Revenue
Bonds
25
5.000
08/01/57
31
California
Enterprise
Development
Authority
Revenue
Bonds
(Þ)
250
4.000
06/01/61
281
California
Health
Facilities
Financing
Authority
Revenue
Bonds
(Þ)
250
5.000
11/15/36
301
California
Health
Facilities
Financing
Authority
Revenue
Bonds
1,000
5.000
02/01/42
1,224
California
Infrastructure
&
Economic
Development
Bank
Revenue
Bonds
(Þ)
835
4.125
01/01/35
948
California
Municipal
Finance
Authority
Revenue
Bonds
1,500
4.000
07/15/29
1,761
California
Municipal
Finance
Authority
Revenue
Bonds
340
5.000
10/01/33
423
California
Municipal
Finance
Authority
Revenue
Bonds
225
5.000
10/01/35
279
California
Municipal
Finance
Authority
Revenue
Bonds
(Þ)
1,500
5.000
11/01/36
1,777
California
Municipal
Finance
Authority
Revenue
Bonds
650
5.000
12/31/37
805
California
Municipal
Finance
Authority
Revenue
Bonds
500
5.000
12/31/38
618
California
Municipal
Finance
Authority
Revenue
Bonds
1,130
5.000
10/01/39
1,358
California
Municipal
Finance
Authority
Revenue
Bonds
1,000
4.250
02/01/40
1,102
California
Municipal
Finance
Authority
Revenue
Bonds
(Þ)
1,000
5.375
11/01/40
1,163
California
Municipal
Finance
Authority
Revenue
Bonds
4,900
5.000
12/31/43
6,011
California
Municipal
Finance
Authority
Revenue
Bonds
125
5.000
02/01/47
150
California
Municipal
Finance
Authority
Revenue
Bonds
3,000
5.000
11/01/47
3,451
California
Municipal
Finance
Authority
Revenue
Bonds
100
5.000
05/15/49
123
California
Municipal
Finance
Authority
Revenue
Bonds
(Þ)
1,815
5.000
07/01/49
2,139
California
Municipal
Finance
Authority
Revenue
Bonds
60
5.000
10/01/49
71
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
236
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
California
Municipal
Finance
Authority
Revenue
Bonds
3,700
5.000
06/01/50
4,103
California
Municipal
Finance
Authority
Revenue
Bonds
100
4.000
07/01/51
116
California
Municipal
Finance
Authority
Revenue
Bonds
50
5.000
05/15/52
61
California
Municipal
Finance
Authority
Revenue
Bonds
(Þ)
65
5.000
07/01/52
74
California
Municipal
Finance
Authority
Revenue
Bonds
(µ)
1,000
3.000
05/15/54
1,078
California
Municipal
Finance
Authority
Revenue
Bonds
95
5.000
10/01/54
112
California
Municipal
Finance
Authority
Revenue
Bonds
50
4.000
07/01/55
58
California
Pollution
Control
Financing
Authority
Revenue
Bonds
(Þ)
550
4.000
11/01/23
550
California
Pollution
Control
Financing
Authority
Revenue
Bonds
1,000
3.375
07/01/25
1,115
California
Pollution
Control
Financing
Authority
Revenue
Bonds
(Þ)
450
6.750
12/01/28
494
California
Pollution
Control
Financing
Authority
Revenue
Bonds
(Þ)
550
5.000
07/01/39
671
California
Pollution
Control
Financing
Authority
Revenue
Bonds
(Þ)
2,520
7.500
12/01/40
2,779
California
Pollution
Control
Financing
Authority
Revenue
Bonds
(Þ)
2,670
5.000
11/21/45
2,956
California
Public
Finance
Authority
Revenue
Bonds
(Þ)
600
6.250
07/01/54
699
California
School
Finance
Authority
Revenue
Bonds
(Þ)
1,000
5.000
07/01/37
1,166
California
School
Finance
Authority
Revenue
Bonds
(Þ)
465
4.000
07/01/38
535
California
School
Finance
Authority
Revenue
Bonds
60
4.000
07/01/45
60
California
School
Finance
Authority
Revenue
Bonds
(Þ)
500
5.000
08/01/45
570
California
School
Finance
Authority
Revenue
Bonds
(Þ)
1,100
4.000
10/01/46
1,247
California
School
Finance
Authority
Revenue
Bonds
(Þ)
100
5.000
07/01/50
115
California
School
Finance
Authority
Revenue
Bonds
(Þ)
200
5.000
10/01/50
240
California
School
Finance
Authority
Revenue
Bonds
100
4.000
06/01/51
108
California
School
Finance
Authority
Revenue
Bonds
1,000
4.000
11/01/51
1,147
California
School
Finance
Authority
Revenue
Bonds
(Þ)
600
5.000
06/01/58
654
California
School
Finance
Authority
Revenue
Bonds
(Þ)
150
5.000
07/01/59
171
California
School
Finance
Authority
Revenue
Bonds
80
4.000
06/01/61
86
California
School
Finance
Authority
Revenue
Bonds
(Þ)
100
5.000
06/01/61
113
California
Statewide
Communities
Development
Authority
Revenue
Bonds
(~)(Ê)
2,000
0.090
05/15/24
2,000
California
Statewide
Communities
Development
Authority
Revenue
Bonds
460
5.000
05/15/32
515
California
Statewide
Communities
Development
Authority
Revenue
Bonds
(Þ)
200
5.000
11/01/32
243
California
Statewide
Communities
Development
Authority
Revenue
Bonds
675
5.000
08/01/37
818
California
Statewide
Communities
Development
Authority
Revenue
Bonds
(Þ)
200
5.250
07/01/39
222
California
Statewide
Communities
Development
Authority
Revenue
Bonds
500
5.000
05/15/42
606
California
Statewide
Communities
Development
Authority
Revenue
Bonds
1,000
5.000
10/01/43
1,056
California
Statewide
Communities
Development
Authority
Revenue
Bonds
(Þ)
500
5.750
01/15/45
526
California
Statewide
Communities
Development
Authority
Revenue
Bonds
(Þ)
2,600
5.000
12/01/46
2,932
California
Statewide
Communities
Development
Authority
Revenue
Bonds
2,225
5.000
04/01/47
2,591
California
Statewide
Communities
Development
Authority
Revenue
Bonds
150
5.000
05/15/47
180
California
Statewide
Communities
Development
Authority
Revenue
Bonds
(Þ)
250
5.250
07/01/49
273
California
Statewide
Communities
Development
Authority
Revenue
Bonds
125
5.000
05/15/50
150
California
Statewide
Communities
Development
Authority
Revenue
Bonds
(Þ)
100
5.000
06/01/51
120
California
Statewide
Communities
Development
Authority
Revenue
Bonds
695
5.500
12/01/54
790
California
Statewide
Communities
Development
Authority
Revenue
Bonds
(Þ)
2,500
5.250
12/01/56
2,832
California
Statewide
Communities
Development
Authority
Revenue
Bonds
(Þ)
1,000
5.500
12/01/58
1,196
California
Statewide
Communities
Development
Authority
Special
Assessment
120
5.000
09/02/39
147
California
Statewide
Communities
Development
Authority
Special
Assessment
50
4.000
09/02/44
58
California
Statewide
Communities
Development
Authority
Special
Assessment
115
5.000
09/02/44
140
California
Statewide
Communities
Development
Authority
Special
Assessment
75
5.000
09/02/48
91
California
Statewide
Communities
Development
Authority
Special
Assessment
135
5.000
09/02/49
164
California
Statewide
Communities
Development
Authority
Special
Assessment
470
4.000
09/02/50
534
California
Statewide
Communities
Development
Authority
Special
Assessment
55
5.000
09/02/50
67
California
Statewide
Communities
Development
Authority
Special
Tax
600
4.000
09/01/40
688
California
Statewide
Communities
Development
Authority
Special
Tax
1,300
4.000
09/01/50
1,472
California
Statewide
Communities
Development
Authority
Special
Tax
75
4.000
09/01/51
86
California
Statewide
Financing
Authority
Revenue
Bonds
3,210
7.459
06/01/46
631
California
Statewide
Financing
Authority
Revenue
Bonds
20,000
8.602
06/01/55
1,951
City
&
County
of
San
Francisco
Community
Facilities
District
No.
2016-1
Special
Tax
75
4.000
09/01/46
85
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
237
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
City
&
County
of
San
Francisco
Community
Facilities
District
No.
2016-1
Special
Tax
75
4.000
09/01/51
85
City
&
County
of
San
Francisco
Special
Tax
District
No.
2020-1
Special
Tax
(Þ)
100
4.000
09/01/51
115
City
of
Atwater
Wastewater
Revenue
Bonds
(µ)
240
5.000
05/01/43
287
City
of
Calimesa
Communities
Facilities
Special
Tax
820
4.000
09/01/50
924
City
of
Fontana
Special
Tax
25
4.000
09/01/46
29
City
of
Fontana
Special
Tax
25
4.000
09/01/51
29
City
of
Irvine
Special
Tax
(µ)
100
5.000
09/01/51
119
City
of
Long
Beach
Marina
System
Revenue
Bonds
225
5.000
05/15/40
250
City
of
Long
Beach
Marina
System
Revenue
Bonds
1,185
5.000
05/15/45
1,311
City
of
Oakland
General
Obligation
Unlimited
250
3.000
01/15/50
271
City
of
Ontario
Community
Facilities
District
No.
43
Special
Tax
50
4.000
09/01/50
57
City
of
Oroville
Revenue
Bonds
100
5.250
04/01/34
119
City
of
Oroville
Revenue
Bonds
185
5.250
04/01/39
217
City
of
Oroville
Revenue
Bonds
885
5.250
04/01/49
1,014
City
of
Oroville
Revenue
Bonds
810
5.250
04/01/54
922
City
of
Palm
Desert
Special
Tax
100
3.000
09/01/31
103
City
of
Palm
Desert
Special
Tax
100
4.000
09/01/51
107
City
of
Roseville
Special
Tax
100
5.000
09/01/33
120
City
of
Roseville
Special
Tax
25
4.000
09/01/35
28
City
of
Roseville
Special
Tax
25
4.000
09/01/40
28
City
of
Roseville
Special
Tax
50
4.000
09/01/45
56
City
of
Roseville
Special
Tax
85
4.000
09/01/50
95
City
of
Sacramento
Special
Tax
75
4.000
09/01/46
85
City
of
Sacramento
Special
Tax
75
4.000
09/01/50
85
City
of
San
Luis
Obispo
California
Community
Facilities
District
No.
2019
Special
Tax
50
4.000
09/01/46
57
City
of
San
Luis
Obispo
California
Community
Facilities
District
No.
2019
Special
Tax
50
4.000
09/01/51
57
Coachella
Valley
Unified
School
District
General
Obligation
Unlimited
(µ)
2,500
16.733
08/01/43
1,552
County
of
El
Dorado
Special
Tax
75
5.000
09/01/44
86
County
of
El
Dorado
Special
Tax
80
5.000
09/01/49
91
County
of
San
Diego
Special
Tax
40
3.000
09/01/50
42
County
of
San
Diego
Special
Tax
100
4.000
09/01/50
112
CSCDA
Community
Improvement
Authority
Revenue
Bonds
(Þ)
1,250
4.000
07/01/56
1,357
CSCDA
Community
Improvement
Authority
Revenue
Bonds
1,000
3.000
12/01/56
1,039
Dublin
Community
Facilities
District
Improvement
Area
No.
1
Special
Tax
100
5.000
09/01/37
119
Dublin
Community
Facilities
District
Improvement
Area
No.
1
Special
Tax
340
5.000
09/01/47
400
Fairfield
Community
Facilities
District
Special
Tax
(Þ)
150
5.000
09/01/50
183
Foothill/Eastern
Transportation
Corridor
Agency
Revenue
Bonds
6,200
4.000
01/15/46
7,412
Fremont
Community
Facilities
District
No.
1
Special
Tax
1,255
5.000
09/01/26
1,475
Golden
State
Tobacco
Securitization
Corp.
Revenue
Bonds
1,325
3.500
06/01/36
1,349
Golden
State
Tobacco
Securitization
Corp.
Revenue
Bonds
3,000
5.300
06/01/37
3,114
Golden
State
Tobacco
Securitization
Corp.
Revenue
Bonds
5,265
5.000
06/01/47
5,436
Golden
State
Tobacco
Securitization
Corp.
Revenue
Bonds
270
5.250
06/01/47
280
Golden
State
Tobacco
Securitization
Corp.
Revenue
Bonds
200
8.205
06/01/47
45
Golden
State
Tobacco
Securitization
Corp.
Revenue
Bonds
10,000
10.494
06/01/47
2,196
Golden
Valley
Unified
School
District
Financing
Authority
Revenue
Bonds
25
4.000
09/01/46
28
Golden
Valley
Unified
School
District
Financing
Authority
Revenue
Bonds
30
4.000
09/01/51
34
Golden
Valley
Unified
School
District
Financing
Authority
Revenue
Bonds
45
4.000
09/01/56
51
Hastings
Campus
Housing
Finance
Authority
Revenue
Bonds
3,500
5.000
07/01/45
4,263
Independent
Cities
Finance
Authority
Revenue
Bonds
(µ)
900
4.000
06/01/46
1,055
Inland
Empire
Tobacco
Securitization
Authority
Revenue
Bonds
105
3.678
06/01/38
111
Irvine
Unified
School
District
Special
Tax
Bonds
70
5.000
09/01/47
84
Irvine
Unified
School
District
Special
Tax
Bonds
75
5.000
03/01/57
89
Jurupa
Public
Financing
Authority
Special
Tax
1,000
5.000
09/01/43
1,164
Moreno
Valley
Unified
School
District
General
Obligation
Unlimited
(µ)
50
3.000
08/01/50
55
M-S-R
Energy
Authority
Revenue
Bonds
2,650
6.500
11/01/39
4,424
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
238
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Natomas
Unified
School
District
General
Obligation
Unlimited
(µ)
425
4.000
08/01/42
487
Northern
California
Gas
Authority
No.
1
Revenue
Bonds
(USD
3
Month
LIBOR
+
0.720%)(Ê)
1,355
1.680
07/01/27
1,363
Orange
County
Community
Facilities
District
Special
Tax
65
4.000
08/15/40
76
Orange
County
Community
Facilities
District
Special
Tax
100
5.000
08/15/47
120
Orange
County
Community
Facilities
District
Special
Tax
60
4.000
08/15/50
69
Oxnard
School
District
General
Obligation
Unlimited
(~)(µ)(Ê)
465
2.000
08/01/47
525
Palomar
Health
Revenue
Bonds
(µ)
2,165
5.000
11/01/47
2,704
River
Islands
Public
Financing
Authority
Special
Tax
150
5.375
09/01/31
159
River
Islands
Public
Financing
Authority
Special
Tax
100
5.250
09/01/34
106
River
Islands
Public
Financing
Authority
Special
Tax
940
5.500
09/01/45
991
Riverside
County
Public
Financing
Authority
Tax
Allocation
(µ)
150
4.000
10/01/40
172
Riverside
County
Redevelopment
Successor
Agency
Tax
Allocation
(µ)
300
4.000
10/01/39
344
Riverside
County
Redevelopment
Successor
Agency
Tax
Allocation
(µ)
125
4.000
10/01/40
143
Riverside
Unified
School
District
Special
Tax
20
4.000
09/01/45
23
Riverside
Unified
School
District
Special
Tax
45
4.000
09/01/50
51
Sacramento
Airport
System
Revenue
Bonds
520
5.000
07/01/39
640
Sacramento
County
Water
Financing
Authority
Revenue
Bonds
(USD
3
Month
LIBOR
+
0.550%)(µ)(Ê)
175
0.785
06/01/34
175
San
Diego
Unified
School
District
General
Obligation
Unlimited
1,500
4.000
07/01/42
1,589
San
Francisco
City
&
County
Airports
Commission
International
Airport
Revenue
Bonds
1,045
5.000
05/01/44
1,305
San
Francisco
City
&
County
Airports
Commission
International
Airport
Revenue
Bonds
2,750
5.000
05/01/48
3,380
San
Francisco
City
&
County
Airports
Commission
International
Airport
Revenue
Bonds
1,925
5.000
05/01/49
2,391
San
Francisco
City
&
County
Airports
Commission
International
Airport
Revenue
Bonds
50
5.000
05/01/50
62
San
Francisco
City
&
County
Redevelopment
Agency
Tax
Allocation
1,190
5.000
08/01/35
1,429
San
Gorgonio
Memorial
Health
Care
District
General
Obligation
Unlimited
75
4.000
08/01/32
89
San
Gorgonio
Memorial
Health
Care
District
General
Obligation
Unlimited
100
4.000
08/01/33
118
San
Gorgonio
Memorial
Health
Care
District
General
Obligation
Unlimited
100
4.000
08/01/34
118
San
Gorgonio
Memorial
Health
Care
District
General
Obligation
Unlimited
100
4.000
08/01/35
117
San
Gorgonio
Memorial
Health
Care
District
General
Obligation
Unlimited
100
4.000
08/01/36
117
San
Jacinto
Community
Facilities
District
Special
Tax
280
5.000
09/01/33
329
San
Jacinto
Community
Facilities
District
Special
Tax
335
5.000
09/01/34
392
San
Joaquin
Hills
Transportation
Corridor
Agency
Revenue
Bonds
1,000
5.000
01/15/29
1,151
San
Joaquin
Hills
Transportation
Corridor
Agency
Revenue
Bonds
380
5.250
01/15/49
428
San
Joaquin
Hills
Transportation
Corridor
Agency
Revenue
Bonds
2,875
5.000
01/15/50
3,234
Silicon
Valley
Tobacco
Securitization
Authority
Revenue
Bonds
7,000
8.018
06/01/56
807
State
of
California
General
Obligation
Unlimited
2,000
5.000
08/01/46
2,405
State
of
California
General
Obligation
Unlimited
230
4.000
04/01/49
272
State
of
California
General
Obligation
Unlimited
270
5.000
04/01/49
345
Tobacco
Securitization
Authority
of
Northern
California
Revenue
Bonds
1,000
Zero
coupon
06/01/60
253
Tobacco
Securitization
Authority
of
Southern
California
Revenue
Bonds
455
5.000
06/01/48
572
Tobacco
Securitization
Authority
of
Southern
California
Revenue
Bonds
515
5.810
06/01/54
103
Transbay
Joint
Powers
Authority
Tax
Allocation
55
5.000
10/01/45
70
Transbay
Joint
Powers
Authority
Tax
Allocation
100
2.400
10/01/49
105
Transbay
Joint
Powers
Authority
Tax
Allocation
60
5.000
10/01/49
76
University
of
California
Medical
Center
Pooled
Revenue
Bonds
(~)(Ê)
6,300
0.030
05/15/45
6,300
University
of
California
Revenue
Bonds
450
3.000
05/15/51
490
Washington
Unified
School
District
General
Obligation
Unlimited
(µ)
250
3.000
08/01/45
275
William
S
Hart
Union
High
School
District
Special
Tax
75
5.000
09/01/47
86
156,946
Colorado
-
4.1%
3rd
and
Havana
Metropolitan
District
General
Obligation
Limited
750
5.250
12/01/49
824
Allison
Valley
Metropolitan
District
No.
1
General
Obligation
Limited
500
5.000
12/01/47
541
Aurora
Crossroads
Metropolitan
District
No.
2
General
Obligation
Limited
500
7.750
12/15/50
525
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
239
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Banning
Lewis
Ranch
Metropolitan
District
No.
8
General
Obligation
Limited
500
4.875
12/01/51
502
Banning
Lewis
Ranch
Regional
Metropolitan
District
No.
2
General
Obligation
Limited
500
5.750
12/01/51
518
Belford
North
Metropolitan
District
General
Obligation
Limited
500
8.500
12/15/50
523
Belleview
Station
Metropolitan
District
No.
2
General
Obligation
Limited
500
4.500
12/01/29
518
Bent
Grass
Metropolitan
District
General
Obligation
Limited
(Þ)
500
5.250
12/01/49
550
BNC
Metropolitan
District
No.
1
General
Obligation
Limited
1,090
7.375
12/15/47
1,141
Brighton
Crossing
Metropolitan
District
No.
4
General
Obligation
Limited
1,220
5.000
12/01/47
1,289
Brighton
Crossing
Metropolitan
District
No.
6
General
Obligation
Limited
500
5.000
12/01/50
554
Canyon
Pines
Metropolitan
District
Special
Improvement
District
No.
1
Special
Assessment
500
3.750
12/01/40
488
Canyons
Metropolitan
District
No.
5
General
Obligation
Limited
500
6.125
12/01/47
529
Cascade
Ridge
Metropolitan
District
General
Obligation
Limited
500
5.000
12/01/51
506
Citadel
on
Colfax
Business
Improvement
District
Revenue
Bonds
600
5.350
12/01/50
656
Citadel
on
Colfax
Business
Improvement
District
Revenue
Bonds
365
7.875
12/15/50
380
City
&
County
of
Denver
Special
Facilities
Airport
Revenue
Bonds
785
5.000
10/01/32
839
Clear
Creek
Station
Metropolitan
District
No.
2
General
Obligation
Unlimited
500
5.000
12/01/47
527
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
(Þ)
330
5.000
10/01/49
369
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
25
4.000
05/01/51
28
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
205
3.000
08/01/51
216
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
(Þ)
100
5.000
02/01/61
111
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
1,000
4.000
05/01/61
1,109
Colorado
Health
Facilities
Authority
Revenue
Bonds
275
4.000
10/01/38
325
Colorado
Health
Facilities
Authority
Revenue
Bonds
300
4.000
10/01/39
353
Colorado
Health
Facilities
Authority
Revenue
Bonds
300
4.000
10/01/40
352
Colorado
Health
Facilities
Authority
Revenue
Bonds
50
4.000
01/01/42
56
Colorado
Health
Facilities
Authority
Revenue
Bonds
5,170
5.000
08/01/44
6,480
Colorado
Health
Facilities
Authority
Revenue
Bonds
(ae)
190
5.000
06/01/47
237
Colorado
Health
Facilities
Authority
Revenue
Bonds
135
3.250
08/01/49
146
Colorado
Health
Facilities
Authority
Revenue
Bonds
885
4.000
08/01/49
1,027
Colorado
Health
Facilities
Authority
Revenue
Bonds
150
4.000
09/01/50
171
Colorado
Health
Facilities
Authority
Revenue
Bonds
4,000
4.000
11/15/50
4,841
Colorado
High
Performance
Transportation
Enterprise
Revenue
Bonds
35
5.000
12/31/47
40
Colorado
High
Performance
Transportation
Enterprise
Revenue
Bonds
35
5.000
12/31/51
40
Colorado
High
Performance
Transportation
Enterprise
Revenue
Bonds
75
5.000
12/31/56
86
Colorado
Springs
Urban
Renewal
Authority
Tax
Allocation
500
5.750
12/01/47
531
Constitution
Heights
Metropolitan
District
General
Obligation
Limited
1,765
5.000
12/01/49
1,945
Copperleaf
Metropolitan
District
No.
3
General
Obligation
Limited
500
5.125
12/01/47
546
Cornerstar
Metropolitan
District
General
Obligation
Limited
500
5.250
12/01/47
528
Creekside
Village
Metropolitan
District
General
Obligation
Limited
500
5.000
12/01/49
542
Creekwalk
Marketplace
Business
Improvement
District
Revenue
Bonds
(Þ)
230
5.500
12/01/39
259
Creekwalk
Marketplace
Business
Improvement
District
Revenue
Bonds
(Þ)
600
5.750
12/01/49
675
Creekwalk
Marketplace
Business
Improvement
District
Revenue
Bonds
(Þ)
130
8.000
12/15/49
137
Denver
Convention
Center
Hotel
Authority
Revenue
Bonds
225
5.000
12/01/33
265
Denver
Health
&
Hospital
Authority
Certificates
of
Participation
25
5.000
12/01/32
31
Denver
Health
&
Hospital
Authority
Certificates
of
Participation
175
4.000
12/01/38
203
Denver
Health
&
Hospital
Authority
Certificates
of
Participation
110
5.000
12/01/48
134
Denver
Health
&
Hospital
Authority
Revenue
Bonds
(Þ)
100
5.000
12/01/26
122
Denver
Health
&
Hospital
Authority
Revenue
Bonds
(Þ)
220
5.000
12/01/27
275
Denver
Health
&
Hospital
Authority
Revenue
Bonds
(Þ)
230
5.000
12/01/28
287
Denver
Health
&
Hospital
Authority
Revenue
Bonds
(Þ)
300
5.000
12/01/34
366
Denver
Health
&
Hospital
Authority
Revenue
Bonds
(Þ)
200
4.000
12/01/35
230
Denver
Health
&
Hospital
Authority
Revenue
Bonds
(Þ)
200
4.000
12/01/36
229
Denver
Health
&
Hospital
Authority
Revenue
Bonds
65
4.000
12/01/38
76
Denver
Health
&
Hospital
Authority
Revenue
Bonds
100
4.000
12/01/39
117
Denver
Health
&
Hospital
Authority
Revenue
Bonds
50
4.000
12/01/40
59
Denver
Health
&
Hospital
Authority
Revenue
Bonds
1,500
5.250
12/01/45
1,629
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
240
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Denver
International
Business
Center
Metropolitan
District
No.
1
General
Obligation
Unlimited
300
3.750
12/01/39
311
Denver
International
Business
Center
Metropolitan
District
No.
1
General
Obligation
Unlimited
350
4.000
12/01/48
364
Denver
Urban
Renewal
Authority
Tax
Allocation
(Þ)
745
5.250
12/01/39
819
Dinosaur
Ridge
Metropolitan
District
Revenue
Bonds
200
5.000
06/01/49
215
Dominion
Water
&
Sanitation
District
Revenue
Bonds
450
5.250
12/01/27
466
E-470
Public
Highway
Authority
Revenue
Bonds
(µ)
100
1.506
09/01/30
87
Eaton
Area
Park
&
Recreation
District
General
Obligation
Limited
725
5.250
12/01/34
774
Eaton
Area
Park
&
Recreation
District
General
Obligation
Limited
525
5.500
12/01/38
562
Flying
Horse
Metropolitan
District
No.
2
General
Obligation
Limited
(µ)
520
4.000
12/01/44
621
Flying
Horse
Metropolitan
District
No.
2
General
Obligation
Limited
(µ)
200
4.000
12/01/45
238
Green
Gables
Metropolitan
District
No.
2
General
Obligation
Limited
500
5.750
12/01/48
542
Green
Valley
Ranch
East
Metropolitan
District
No.
6
General
Obligation
Limited
1,000
5.875
12/01/50
1,115
High
Plains
Metropolitan
District
General
Obligation
Unlimited
(µ)
25
5.000
12/01/35
31
High
Plains
Metropolitan
District
General
Obligation
Unlimited
(µ)
250
4.000
12/01/47
285
Horizon
Metropolitan
District
No.
2
General
Obligation
Limited
(Þ)
500
4.500
12/01/51
513
Jefferson
Center
Metropolitan
District
No.
1
Revenue
Bonds
1,350
4.375
12/01/47
1,444
Jefferson
Center
Metropolitan
District
No.
1
Revenue
Bonds
800
5.750
12/15/50
864
Jones
District
Community
Authority
Board
Revenue
Bonds
500
5.750
12/01/50
443
Loretto
Heights
Community
Authority
Revenue
Bonds
500
4.875
12/01/51
520
Mirabelle
Metropolitan
District
No.
2
General
Obligation
Limited
700
5.000
12/01/39
768
Mirabelle
Metropolitan
District
No.
2
General
Obligation
Limited
500
5.000
12/01/49
544
North
Range
Metropolitan
District
No.
2
General
Obligation
Limited
500
5.750
12/01/47
532
Northglenn
Urban
Renewal
Authority
Tax
Allocation
20
4.000
12/01/32
23
Northglenn
Urban
Renewal
Authority
Tax
Allocation
20
4.000
12/01/33
23
Northglenn
Urban
Renewal
Authority
Tax
Allocation
10
4.000
12/01/34
12
Northglenn
Urban
Renewal
Authority
Tax
Allocation
30
4.000
12/01/36
34
Northglenn
Urban
Renewal
Authority
Tax
Allocation
10
4.000
12/01/38
11
Palisade
Metropolitan
District
No.
2
General
Obligation
Limited
500
5.000
12/01/46
518
Parkdale
Community
Authority
Revenue
Bonds
500
5.250
12/01/50
549
Parkdale
Community
Authority
Revenue
Bonds
500
7.750
12/15/50
527
Prairie
Center
Metropolitan
District
No.
3
Revenue
Bonds
(Þ)
500
5.000
12/15/41
550
Prairie
Center
Metropolitan
District
No.
7
General
Obligation
Limited
(Þ)
1,425
4.875
12/15/44
1,553
Pueblo
Urban
Renewal
Authority
Tax
Allocation
(Þ)
100
Zero
coupon
12/01/25
87
Pueblo
Urban
Renewal
Authority
Tax
Allocation
(Þ)
350
4.750
12/01/45
404
Raindance
Metropolitan
District
No.
1
Revenue
Bonds
1,000
5.000
12/01/40
1,102
Regional
Transportation
District
Revenue
Bonds
25
5.000
07/15/28
32
Regional
Transportation
District
Revenue
Bonds
40
5.000
01/15/29
51
Regional
Transportation
District
Revenue
Bonds
25
5.000
07/15/29
32
Regional
Transportation
District
Revenue
Bonds
30
5.000
01/15/30
39
Regional
Transportation
District
Revenue
Bonds
20
5.000
07/15/30
26
Second
Creek
Farm
Metropolitan
District
No.
3
General
Obligation
Limited
500
5.000
12/01/49
542
Southlands
Metropolitan
District
No.
1
General
Obligation
Unlimited
1,000
5.000
12/01/37
1,156
Southlands
Metropolitan
District
No.
1
General
Obligation
Unlimited
1,000
5.000
12/01/47
1,139
State
Vrain
Lakes
Metropolitan
District
No.
2
General
Obligation
Limited
500
5.125
12/01/47
533
Sterling
Hills
West
Metropolitan
District
General
Obligation
Limited
100
5.000
12/01/39
120
Sterling
Ranch
Community
Authority
Board
Revenue
Bonds
500
5.000
12/01/47
530
Takoda
Metropolitan
District
General
Obligation
Bonds
500
6.000
12/01/50
619
Timnath
Ranch
Metropolitan
District
No.
4
General
Obligation
Unlimited
500
5.250
12/01/37
540
Village
at
Southgate
Metropolitan
District
General
Obligation
Limited
(Þ)
1,375
5.625
12/01/48
1,485
Westerly
Metropolitan
District
No.
4
General
Obligation
Limited
500
5.000
12/01/50
552
Westown
Metropolitan
District
General
Obligation
Limited
500
5.000
12/01/47
531
Whispering
Pines
Metropolitan
District
No.
1
General
Obligation
Limited
500
7.375
12/15/47
522
Winsome
Metropolitan
District
No.
3
General
Obligation
Limited
(Þ)
500
5.125
12/01/50
500
62,983
Connecticut
-
0.9%
City
of
Hartford
General
Obligation
Unlimited
180
5.000
04/01/29
185
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
241
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
City
of
Hartford
General
Obligation
Unlimited
1,000
5.000
04/01/31
1,073
City
of
New
Haven
General
Obligation
Unlimited
100
5.500
08/01/34
126
City
of
New
Haven
General
Obligation
Unlimited
100
5.500
08/01/37
126
City
of
New
Haven
General
Obligation
Unlimited
1,000
5.500
08/01/38
1,253
City
of
West
Haven
General
Obligation
Unlimited
400
5.000
11/01/32
468
City
of
West
Haven
General
Obligation
Unlimited
700
5.000
11/01/37
810
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
3,535
4.000
07/01/39
4,027
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
(Þ)
1,000
5.000
07/01/39
1,227
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
(Þ)
100
5.000
01/01/45
113
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
(Þ)
900
5.000
01/01/55
1,008
Hartford
Stadium
Authority
Revenue
Bonds
250
5.000
02/01/36
257
Hartford
Stadium
Authority
Revenue
Bonds
155
4.000
02/01/42
137
Mohegan
Tribal
Finance
Authority
Revenue
Bonds
(Þ)
600
7.000
02/01/45
638
State
of
Connecticut
General
Obligation
Unlimited
385
5.000
06/15/27
485
State
of
Connecticut
General
Obligation
Unlimited
145
5.000
06/15/28
187
State
of
Connecticut
General
Obligation
Unlimited
120
5.000
06/15/29
154
State
of
Connecticut
General
Obligation
Unlimited
1,500
5.000
06/15/31
1,906
State
of
Connecticut
General
Obligation
Unlimited
25
5.000
06/15/32
32
14,212
Delaware
-
0.1%
Delaware
State
Economic
Development
Authority
Revenue
Bonds
215
5.000
11/15/48
250
Delaware
State
Economic
Development
Authority
Revenue
Bonds
45
5.000
08/01/49
52
Delaware
State
Economic
Development
Authority
Revenue
Bonds
100
5.000
09/01/50
125
Delaware
State
Economic
Development
Authority
Revenue
Bonds
40
5.000
08/01/54
46
Delaware
State
Health
Facilities
Authority
Revenue
Bonds
335
4.000
07/01/43
381
Town
of
Bridgeville
Special
Tax
345
4.000
07/01/35
377
1,231
District
of
Columbia
-
1.2%
District
of
Columbia
General
Obligation
Unlimited
215
4.000
06/01/37
252
District
of
Columbia
Revenue
Bonds
2,510
5.000
10/01/35
2,621
District
of
Columbia
Revenue
Bonds
750
5.000
07/01/37
816
District
of
Columbia
Revenue
Bonds
35
4.000
07/01/44
40
District
of
Columbia
Revenue
Bonds
75
4.000
07/01/49
85
District
of
Columbia
Revenue
Bonds
1,000
5.000
06/01/50
1,178
District
of
Columbia
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
4,000
7.666
06/15/46
866
Metropolitan
Washington
Airports
Authority
Dulles
Toll
Road
Revenue
Bonds
825
5.000
10/01/43
1,039
Metropolitan
Washington
Airports
Authority
Dulles
Toll
Road
Revenue
Bonds
4,500
4.000
10/01/44
5,291
Metropolitan
Washington
Airports
Authority
Dulles
Toll
Road
Revenue
Bonds
750
4.000
10/01/49
877
Metropolitan
Washington
Airports
Authority
Dulles
Toll
Road
Revenue
Bonds
(µ)
280
3.000
10/01/50
298
Metropolitan
Washington
Airports
Authority
Dulles
Toll
Road
Revenue
Bonds
2,470
4.000
10/01/53
2,875
Metropolitan
Washington
Airports
Authority
Dulles
Toll
Road
Revenue
Bonds
2,475
5.000
10/01/53
2,545
18,783
Florida
-
8.7%
Anthem
Park
Community
Development
District
Special
Assessment
130
4.750
05/01/36
137
Armstrong
Community
Development
District
Special
Assessment
30
4.000
11/01/40
32
Armstrong
Community
Development
District
Special
Assessment
175
4.000
11/01/50
185
Artisan
Lakes
East
Community
Development
District
Special
Assessment
(Þ)
220
2.300
05/01/26
221
Artisan
Lakes
East
Community
Development
District
Special
Assessment
(Þ)
250
2.750
05/01/31
251
Artisan
Lakes
East
Community
Development
District
Special
Assessment
(Þ)
945
3.125
05/01/41
951
Artisan
Lakes
East
Community
Development
District
Special
Assessment
(Þ)
905
4.000
05/01/51
965
Artisan
Lakes
East
Community
Development
District
Special
Assessment
(Þ)
550
4.000
05/01/52
586
Astonia
Community
Development
District
Special
Assessment
(Þ)
1,100
3.200
05/01/41
1,100
Astonia
Community
Development
District
Special
Assessment
(Þ)
50
4.000
05/01/51
52
Astonia
Community
Development
District
Special
Assessment
(Þ)
75
4.000
05/01/52
79
Avalon
Groves
Community
Development
District
Special
Assessment
50
3.125
05/01/41
50
Avalon
Groves
Community
Development
District
Special
Assessment
25
3.375
05/01/41
26
Avalon
Groves
Community
Development
District
Special
Assessment
150
6.000
05/01/48
183
Avalon
Groves
Community
Development
District
Special
Assessment
50
4.000
05/01/51
54
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
242
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Avelar
Creek
Community
Development
District
Special
Assessment
95
4.000
05/01/36
106
Aviary
at
Rutland
Ranch
Community
Development
District
Special
Assessment
(Þ)
100
4.500
06/01/39
111
Aviary
at
Rutland
Ranch
Community
Development
District
Special
Assessment
(Þ)
100
4.625
06/01/49
110
Babcock
Ranch
Community
Independent
Special
District
Special
Assessment
100
5.000
11/01/31
110
Babcock
Ranch
Community
Independent
Special
District
Special
Assessment
(Þ)
1,070
5.000
11/01/39
1,243
Babcock
Ranch
Community
Independent
Special
District
Special
Assessment
(Þ)
1,365
3.200
05/01/41
1,377
Babcock
Ranch
Community
Independent
Special
District
Special
Assessment
(Þ)
120
4.000
05/01/52
127
Bannon
Lakes
Community
Development
District
Special
Assessment
100
5.000
11/01/48
114
Bartram
Park
Community
Development
District
Special
Assessment
465
4.250
05/01/29
520
Bartram
Park
Community
Development
District
Special
Assessment
485
4.500
05/01/35
538
Bay
Laurel
Center
Community
Development
District
Special
Assessment
95
4.000
05/01/37
105
Baywinds
Community
Development
District
Special
Assessment
175
4.250
05/01/37
199
Beaumont
Community
Development
District
Special
Assessment
(Þ)
185
6.375
11/01/49
207
Bent
Creek
Community
Development
District
Special
Assessment
(Þ)
160
4.000
06/15/51
169
Berry
Bay
Community
Development
District
Special
Assessment
250
2.625
05/01/26
253
Black
Creek
Community
Developments
District
Special
Assessment
25
3.750
06/15/40
27
Black
Creek
Community
Developments
District
Special
Assessment
50
4.000
06/15/50
53
Blue
Lake
Community
Development
District
Special
Assessment
100
4.250
06/15/39
110
Blue
Lake
Community
Development
District
Special
Assessment
100
4.500
06/15/49
110
Bonterra
Community
Development
District
Special
Assessment
1,570
4.125
05/01/47
1,768
Bonterra
Community
Development
District
Special
Assessment
615
5.000
05/01/47
687
Botaniko
Community
Development
District
Special
Assessment
30
3.625
05/01/40
32
Botaniko
Community
Development
District
Special
Assessment
85
4.000
05/01/50
90
Brightwater
Community
Development
District
Special
Assessment
145
4.000
05/01/52
153
Brookstone
Community
Development
District
Special
Assessment
(Þ)
65
3.875
11/01/23
66
Campo
Bello
Community
Development
District
Special
Assessment
100
4.000
12/15/39
108
Campo
Bello
Community
Development
District
Special
Assessment
150
4.000
12/15/49
159
Capital
Trust
Agency,
Inc.
Revenue
Bonds
(Þ)
2,000
4.500
01/01/35
2,310
Capital
Trust
Agency,
Inc.
Revenue
Bonds
25
5.000
08/01/40
30
Capital
Trust
Agency,
Inc.
Revenue
Bonds
(Þ)
325
5.000
06/01/41
379
Capital
Trust
Agency,
Inc.
Revenue
Bonds
(Þ)
1,255
5.000
12/15/49
1,496
Capital
Trust
Agency,
Inc.
Revenue
Bonds
1,725
5.875
07/01/54
1,415
Capital
Trust
Agency,
Inc.
Revenue
Bonds
50
5.000
08/01/55
59
Capital
Trust
Agency,
Inc.
Revenue
Bonds
(Þ)
3,680
5.250
12/01/58
4,334
Capital
Trust
Agency,
Inc.
Revenue
Bonds
4,000
1.798
01/01/60
413
Caribe
Palm
Community
Development
District
Special
Assessment
94
4.000
05/01/25
106
Caribe
Palm
Community
Development
District
Special
Assessment
97
4.000
05/01/26
109
Caribe
Palm
Community
Development
District
Special
Assessment
545
4.500
05/01/35
608
Century
Gardens
at
Tamiami
Community
Development
District
Special
Assessment
535
4.125
11/01/38
607
Century
Gardens
at
Tamiami
Community
Development
District
Special
Assessment
1,560
4.250
11/01/48
1,761
CFM
Community
Development
District
Special
Assessment
590
4.000
05/01/51
624
Chapel
Creek
Community
Development
District
Special
Assessment
(Þ)
45
3.375
05/01/41
46
Chapel
Creek
Community
Development
District
Special
Assessment
(Þ)
70
4.000
05/01/52
74
Charlotte
County
Industrial
Development
Authority
Revenue
Bonds
(Þ)
250
5.500
10/01/36
275
Charlotte
County
Industrial
Development
Authority
Revenue
Bonds
(Þ)
350
5.000
10/01/49
391
City
of
Atlantic
Beach
Revenue
Bonds
1,000
5.000
11/15/37
1,073
City
of
Cape
Coral
Water
&
Sewer
Revenue
Bonds
1,000
4.000
10/01/36
1,124
City
of
Tampa
Revenue
Bonds
960
5.000
04/01/45
1,093
City
of
Tampa
Revenue
Bonds
385
4.000
07/01/45
451
City
of
Tampa
Revenue
Bonds
100
5.000
07/01/50
126
Cityplace
Community
Development
District
Special
Assessment
Revenue
Bonds
(µ)
1,550
4.562
05/01/46
1,748
Concord
Station
Community
Development
District
Special
Assessment
275
3.625
05/01/35
298
Concord
Station
Community
Development
District
Special
Assessment
285
3.750
05/01/46
306
Concord
Station
Community
Development
District
Special
Assessment
100
4.750
05/01/46
108
Coral
Keys
Homes
Community
Development
District
Special
Assessment
35
4.000
05/01/40
38
Coral
Keys
Homes
Community
Development
District
Special
Assessment
50
4.000
05/01/50
53
Corkscrew
Farms
Community
Development
District
Special
Assessment
(Þ)
60
5.000
11/01/38
70
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
243
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Corkscrew
Farms
Community
Development
District
Special
Assessment
(Þ)
125
5.125
11/01/50
144
Coronado
Community
Development
District
Special
Assessment
25
4.000
05/01/31
28
Coronado
Community
Development
District
Special
Assessment
44
4.250
05/01/38
49
Country
Greens
Community
Development
District
Special
Assessment
50
3.200
05/01/25
54
Country
Greens
Community
Development
District
Special
Assessment
345
3.875
05/01/31
378
Country
Greens
Community
Development
District
Special
Assessment
130
4.000
05/01/34
144
County
of
Osceola
Transportation
Revenue
Bonds
(ae)
3,700
6.000
10/01/36
4,627
Davenport
Road
South
Community
Development
District
Special
Assessment
(Þ)
100
5.000
11/01/38
120
Davenport
Road
South
Community
Development
District
Special
Assessment
(Þ)
150
5.125
11/01/48
180
Deer
Run
Community
Development
District
Special
Assessment
205
5.400
05/01/39
235
Deer
Run
Community
Development
District
Special
Assessment
200
5.500
05/01/44
232
Durbin
Crossing
Community
Development
District
Special
Assessment
(µ)
75
3.750
05/01/34
84
Durbin
Crossing
Community
Development
District
Special
Assessment
(µ)
120
4.000
05/01/37
135
DW
Bayview
Community
Development
District
Special
Assessment
(Þ)
75
3.375
05/01/41
77
DW
Bayview
Community
Development
District
Special
Assessment
(Þ)
50
4.000
05/01/51
53
Eagle
Pointe
Community
Development
District
Special
Assessment
(Þ)
50
4.125
05/01/40
54
Eagle
Pointe
Community
Development
District
Special
Assessment
(Þ)
225
4.125
05/01/51
242
East
547
Community
Development
District
Special
Assessment
50
4.000
05/01/51
53
East
Bonita
Beach
Road
Community
Development
District
Special
Assessment
(Þ)
625
5.000
11/01/38
710
East
Nassau
Stewardship
District
Special
Assessment
1,280
3.500
05/01/41
1,314
Edgewater
East
Community
Development
District
Special
Assessment
75
3.600
05/01/41
78
Edgewater
East
Community
Development
District
Special
Assessment
150
4.000
05/01/51
159
Enclave
at
Black
Point
Marina
Community
Development
District
Special
Assessment
Bonds
130
3.000
05/01/24
138
Enclave
at
Black
Point
Marina
Community
Development
District
Special
Assessment
Bonds
135
3.250
05/01/25
146
Enclave
at
Black
Point
Marina
Community
Development
District
Special
Assessment
Bonds
140
3.500
05/01/26
155
Enclave
at
Black
Point
Marina
Community
Development
District
Special
Assessment
Bonds
790
3.750
05/01/31
876
Enclave
at
Black
Point
Marina
Community
Development
District
Special
Assessment
Bonds
1,170
4.000
05/01/37
1,298
Escambia
County
Health
Facilities
Authority
Revenue
Bonds
370
4.000
08/15/45
433
Escambia
County
Health
Facilities
Authority
Revenue
Bonds
(µ)
255
3.000
08/15/50
272
Escambia
County
Health
Facilities
Authority
Revenue
Bonds
2,310
4.000
08/15/50
2,698
Esplanade
Lake
Club
Community
Development
District
Special
Assessment
410
4.125
11/01/50
440
Fishhawk
Ranch
Community
Development
District
Special
Assessment
(µ)
70
3.000
11/01/41
76
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
100
2.375
06/01/27
100
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
100
5.000
06/01/40
113
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
100
4.000
06/30/46
109
Florida
Development
Finance
Corp.
Revenue
Bonds
(~)(ae)(Ê)(Þ)
115
6.250
01/01/49
118
Florida
Development
Finance
Corp.
Revenue
Bonds
(~)(ae)(Ê)(Þ)
870
6.375
01/01/49
902
Florida
Development
Finance
Corp.
Revenue
Bonds
(~)(ae)(Ê)(Þ)
1,965
6.500
01/01/49
2,033
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
1,470
7.375
01/01/49
1,623
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
685
5.000
12/15/49
804
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
100
5.000
06/01/50
110
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
125
5.250
06/01/50
149
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
115
5.000
09/15/50
129
Florida
Development
Finance
Corp.
Revenue
Bonds
125
5.000
06/01/51
145
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
100
4.000
06/01/55
112
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
160
5.000
06/01/55
178
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
220
5.250
06/01/55
261
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
100
4.000
06/30/56
107
Florida
Higher
Educational
Facilities
Financial
Authority
Revenue
Bonds
150
5.000
03/01/44
175
Florida
Higher
Educational
Facilities
Financial
Authority
Revenue
Bonds
(Þ)
1,350
5.000
06/01/48
1,609
Florida
Higher
Educational
Facilities
Financial
Authority
Revenue
Bonds
315
5.000
03/01/49
365
Flow
Way
Community
Development
District
Special
Assessment
100
5.000
11/01/47
113
Fontainbleau
Lakes
Community
Development
District
Special
Assessment
45
4.000
05/01/31
50
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
244
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Grand
Bay
at
Doral
Community
Development
District
Special
Assessment
65
4.750
05/01/36
70
Grand
Bay
at
Doral
Community
Development
District
Special
Assessment
65
5.000
05/01/46
70
Greater
Orlando
Aviation
Authority
Revenue
Bonds
750
5.000
11/15/36
794
Greater
Orlando
Aviation
Authority
Revenue
Bonds
170
5.000
10/01/47
206
Gulfstream
Polo
Community
Development
District
Special
Assessment
150
4.375
11/01/49
164
Hacienda
Lakes
Community
Development
District
Special
Assessment
100
4.625
05/01/46
107
Harbor
Bay
Community
Development
District
Special
Assessment
100
3.750
05/01/34
109
Harbor
Bay
Community
Development
District
Special
Assessment
105
3.875
05/01/39
114
Harbor
Bay
Community
Development
District
Special
Assessment
100
4.100
05/01/48
109
Harmony
West
Community
Development
District
Special
Assessment
(Þ)
1,185
5.250
05/01/49
1,384
Hawks
Point
Community
Development
District
Special
Assessment
Bonds
(Þ)
185
4.250
05/01/35
209
Hawkstone
Community
Development
District
Special
Assessment
100
3.875
11/01/39
107
Hawkstone
Community
Development
District
Special
Assessment
100
4.000
11/01/51
106
Heights
Community
Development
District
County
of
Hillsborough
Special
Assessment
150
5.000
01/01/38
165
Heights
Community
Development
District
County
of
Hillsborough
Special
Assessment
300
5.000
01/01/50
326
Herons
Glen
Recreation
District
Special
Assessment
(µ)
105
2.500
05/01/40
109
Herons
Glen
Recreation
District
Special
Assessment
(µ)
60
4.000
05/01/45
70
Herons
Glen
Recreation
District
Special
Assessment
(µ)
80
4.000
05/01/50
92
Highlands
Community
Development
District
Special
Assessment
200
4.250
05/01/36
223
Highlands
Meadows
II
Community
Development
District
Special
Assessment
415
5.375
11/01/37
470
Highlands
Meadows
II
Community
Development
District
Special
Assessment
100
5.500
11/01/47
112
Highlands
Meadows
West
Community
Development
District
Special
Assessment
25
3.625
05/01/40
26
Highlands
Meadows
West
Community
Development
District
Special
Assessment
35
4.000
05/01/50
38
Hillcrest
Community
Development
District
Special
Assessment
100
5.000
11/01/48
114
Hills
Minneola
Community
Development
District
Special
Assessment
(Þ)
60
4.000
05/01/40
65
Hills
Minneola
Community
Development
District
Special
Assessment
(Þ)
130
4.000
05/01/50
139
Hillsborough
County
Industrial
Development
Authority
Revenue
Bonds
5,000
4.000
08/01/50
5,928
Isles
of
Bartram
Park
Community
Development
District
Special
Assessment
155
4.625
11/01/37
170
K-Bar
Ranch
II
Community
Development
District
Special
Assessment
(Þ)
185
4.500
05/01/38
205
K-Bar
Ranch
II
Community
Development
District
Special
Assessment
100
3.125
05/01/41
101
K-Bar
Ranch
II
Community
Development
District
Special
Assessment
(Þ)
275
4.625
05/01/48
304
K-Bar
Ranch
II
Community
Development
District
Special
Assessment
165
4.000
05/01/51
176
Kindred
Community
Development
District
II
Special
District
100
3.750
05/01/50
105
Kingman
Gate
Community
Development
District
Special
Assessment
85
4.000
06/15/40
93
Kingman
Gate
Community
Development
District
Special
Assessment
60
4.000
06/15/50
64
Kingman
Gate
Community
Development
District
Special
Assessment
(Þ)
50
4.000
06/15/51
53
Lake
Frances
Community
Development
District
Special
Assessment
87
3.000
05/01/26
96
Lake
Frances
Community
Development
District
Special
Assessment
492
4.000
05/01/31
566
Lake
Frances
Community
Development
District
Special
Assessment
689
4.000
05/01/37
781
Lakeshore
Ranch
Community
Development
District
Special
Assessment
100
3.125
05/01/24
102
Lakewood
Ranch
Stewardship
District
Special
Assessment
100
4.250
05/01/26
106
Lakewood
Ranch
Stewardship
District
Special
Assessment
(µ)
100
2.500
05/01/33
106
Lakewood
Ranch
Stewardship
District
Special
Assessment
915
4.875
05/01/35
987
Lakewood
Ranch
Stewardship
District
Special
Assessment
100
5.000
05/01/36
110
Lakewood
Ranch
Stewardship
District
Special
Assessment
(µ)
100
2.625
05/01/37
106
Lakewood
Ranch
Stewardship
District
Special
Assessment
(Þ)
100
5.000
05/01/37
112
Lakewood
Ranch
Stewardship
District
Special
Assessment
150
5.250
05/01/37
170
Lakewood
Ranch
Stewardship
District
Special
Assessment
380
5.125
05/01/46
418
Lakewood
Ranch
Stewardship
District
Special
Assessment
(Þ)
100
5.125
05/01/47
112
Lakewood
Ranch
Stewardship
District
Special
Assessment
175
5.375
05/01/47
198
Lakewood
Ranch
Stewardship
District
Special
Assessment
240
5.450
05/01/48
278
Lakewood
Ranch
Stewardship
District
Special
Assessment
100
4.000
05/01/49
107
Lakewood
Ranch
Stewardship
District
Special
Assessment
(Þ)
100
3.900
05/01/50
106
Lakewood
Ranch
Stewardship
District
Special
Assessment
100
4.000
05/01/50
107
Lakewood
Ranch
Stewardship
District
Special
Assessment
145
3.875
05/01/51
154
Landings
at
Miami
Community
Development
District
Special
Assessment
(Þ)
100
4.625
11/01/38
110
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
245
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Landings
at
Miami
Community
Development
District
Special
Assessment
(Þ)
100
4.750
11/01/48
109
Landmark
at
Doral
Community
Development
District
Special
Assessment
35
3.375
05/01/30
37
Landmark
at
Doral
Community
Development
District
Special
Assessment
110
3.000
05/01/35
117
Landmark
at
Doral
Community
Development
District
Special
Assessment
110
3.000
05/01/38
116
Landmark
at
Doral
Community
Development
District
Special
Assessment
50
4.000
05/01/38
55
Lee
County
Industrial
Development
Authority
Revenue
Bonds
(Þ)
1,640
5.625
12/01/37
1,741
LT
Ranch
Community
Development
District
Special
Assessment
200
4.000
05/01/50
212
Lucerne
Park
Community
Development
District
Special
Assessment
95
4.625
05/01/39
106
Lucerne
Park
Community
Development
District
Special
Assessment
95
4.750
05/01/50
105
McJunkin
Parkland
Community
Development
District
Special
Assessment
(Þ)
200
5.125
11/01/38
240
McJunkin
Parkland
Community
Development
District
Special
Assessment
(Þ)
250
5.250
11/01/49
299
Meadow
Pointe
III
Community
Development
District
Special
Assessment
115
3.500
05/01/24
123
Meadow
Pointe
III
Community
Development
District
Special
Assessment
520
4.400
05/01/31
572
Meadow
Pointe
IV
Community
Development
District
Special
Assessment
115
3.400
05/01/24
123
Meadow
Pointe
IV
Community
Development
District
Special
Assessment
115
3.400
05/01/25
125
Meadow
Pointe
IV
Community
Development
District
Special
Assessment
655
4.100
05/01/30
712
Mediterranea
Community
Development
District
Special
Assessment
100
5.000
05/01/48
112
Miami
Beach
Health
Facilities
Authority
Revenue
Bonds
1,750
5.125
07/01/38
1,804
Miami
Beach
Health
Facilities
Authority
Revenue
Bonds
2,250
5.000
11/15/39
2,506
Miami
World
Center
Community
Development
District
Special
Assessment
400
5.125
11/01/39
466
Miami
World
Center
Community
Development
District
Special
Assessment
1,150
5.250
11/01/49
1,335
Mid-Bay
Bridge
Authority
Revenue
Bonds
1,000
5.000
10/01/40
1,132
Mirada
II
Community
Development
District
Special
Assessment
125
3.500
05/01/41
129
Mirada
II
Community
Development
District
Special
Assessment
125
4.000
05/01/51
132
Moody
River
Estates
Community
Development
District
Special
Assessment
500
4.000
05/01/31
573
Naples
Reserve
Community
Development
District
Special
Assessment
(Þ)
40
5.000
11/01/38
45
Naples
Reserve
Community
Development
District
Special
Assessment
(Þ)
190
5.125
11/01/48
215
New
Port
Tampa
Bay
Community
Development
District
Special
Assessment
455
2.875
05/01/26
462
North
Arkansas-1
Pasco
Community
Development
District
Special
Assessment
55
3.500
05/01/41
56
North
Arkansas-1
Pasco
Community
Development
District
Special
Assessment
100
4.000
05/01/51
105
North
Sumter
County
Utility
Dependent
District
Revenue
Bonds
1,000
5.000
10/01/49
1,247
Oak
Creek
Community
Development
District
Special
Assessment
190
3.850
05/01/25
210
Oak
Creek
Community
Development
District
Special
Assessment
200
4.000
05/01/26
222
Orange
Blossom
Ranch
Community
Development
District
Special
Assessment
140
4.850
05/01/39
162
Orange
Blossom
Ranch
Community
Development
District
Special
Assessment
215
5.000
05/01/49
248
Orchid
Grove
Community
Development
District
Special
Assessment
1,245
5.000
05/01/36
1,369
Osceola
Chain
Lakes
Community
Development
District
Special
Assessment
100
4.000
05/01/40
108
Palm
Glades
Community
Development
District
Special
Assessment
350
3.750
05/01/31
387
Palm
Glades
Community
Development
District
Special
Assessment
185
4.000
11/01/38
214
Palm
Glades
Community
Development
District
Special
Assessment
120
5.000
05/01/39
136
Palm
Glades
Community
Development
District
Special
Assessment
250
4.200
11/01/48
286
Parkland
Preserve
Community
Development
District
Special
Assessment
70
5.500
11/01/32
82
Parkland
Preserve
Community
Development
District
Special
Assessment
490
5.250
05/01/39
571
Parkland
Preserve
Community
Development
District
Special
Assessment
340
5.375
05/01/50
397
Parkway
Center
Community
Development
District
Special
Assessment
Revenue
Bonds
130
4.375
05/01/31
154
Parkway
Center
Community
Development
District
Special
Assessment
Revenue
Bonds
175
4.700
05/01/49
207
Paseo
Community
Development
District
Capital
Improvements
Special
Assessment
Revenue
Bonds
195
4.375
05/01/36
230
Pinellas
County
Industrial
Development
Authority
Revenue
Bonds
100
5.000
07/01/39
121
Portico
Community
Development
District
Special
Assessment
25
3.625
05/01/40
26
Preserve
at
South
Branch
Community
Development
District
Special
Assessment
Bonds
535
5.250
11/01/38
612
Preserve
at
South
Branch
Community
Development
District
Special
Assessment
Bonds
100
4.000
11/01/39
108
Randal
Park
Community
Development
District
Special
Assessment
Revenue
Bonds
(Þ)
540
5.050
05/01/39
610
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
246
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Randal
Park
Community
Development
District
Special
Assessment
Revenue
Bonds
(Þ)
895
5.200
05/01/49
1,008
Reunion
East
Community
Development
District
Special
Assessment
755
5.000
05/01/33
850
Reunion
East
Community
Development
District
Special
Assessment
105
6.600
05/01/33
108
Reunion
East
Community
Development
District
Special
Assessment
2,000
3.150
05/01/41
2,000
Reunion
West
Community
Development
District
Special
Assessment
30
4.500
05/01/39
33
Reunion
West
Community
Development
District
Special
Assessment
85
4.625
05/01/50
94
Rolling
Oaks
Community
Development
District
Special
Assessment
(Þ)
100
5.375
11/01/38
117
Rolling
Oaks
Community
Development
District
Special
Assessment
(Þ)
200
5.500
11/01/49
233
Sandmine
Road
Community
Development
District
Special
Assessment
(Þ)
20
2.625
05/01/25
20
Sandmine
Road
Community
Development
District
Special
Assessment
(Þ)
25
3.125
05/01/30
26
Sandmine
Road
Community
Development
District
Special
Assessment
(Þ)
60
3.625
05/01/40
64
Sandmine
Road
Community
Development
District
Special
Assessment
(Þ)
50
3.750
05/01/50
53
Sarasota
National
Community
Development
District
Special
Assessment
100
3.875
05/01/31
102
Sarasota
National
Community
Development
District
Special
Assessment
(Þ)
100
4.125
05/01/31
103
Sarasota
National
Community
Development
District
Special
Assessment
285
3.900
05/01/41
296
Sarasota
National
Community
Development
District
Special
Assessment
(Þ)
200
4.125
05/01/41
207
Seminole
County
Industrial
Development
Authority
Revenue
Bonds
(Þ)
135
4.000
06/15/51
152
Shell
Point
Community
Development
District
Special
Assessment
(Þ)
100
5.250
11/01/39
115
Shell
Point
Community
Development
District
Special
Assessment
(Þ)
175
5.375
11/01/49
201
Sherwood
Manor
Community
Development
District
Special
Assessment
(Þ)
200
5.250
11/01/49
237
Shingle
Creek
at
Bronson
Community
Development
District
Special
Assessment
475
3.100
06/15/31
489
Six
Mile
Creek
Community
Development
District
Special
Assessment
20
4.125
11/01/40
22
Six
Mile
Creek
Community
Development
District
Special
Assessment
75
3.500
05/01/41
77
Six
Mile
Creek
Community
Development
District
Special
Assessment
50
4.250
11/01/50
54
Six
Mile
Creek
Community
Development
District
Special
Assessment
75
4.000
05/01/51
79
South
Creek
Community
Development
District
Special
Assessment
25
4.000
06/15/51
27
South
Fork
III
Community
Development
District
Special
Assessment
200
5.000
05/01/38
226
South
Kendall
Community
Development
District
Special
Assessment
100
4.125
11/01/40
110
Southern
Groves
Community
Development
District
No.
5
Special
Assessment
600
4.000
05/01/43
643
Southern
Groves
Community
Development
District
No.
7
Special
Assessment
150
3.125
05/01/41
151
Southern
Groves
Community
Development
District
No.
8
Special
Assessment
940
4.000
05/01/48
1,002
St.
Johns
County
Industrial
Development
Authority
Revenue
Bonds
550
4.000
12/15/41
617
St.
Johns
County
Industrial
Development
Authority
Revenue
Bonds
25
4.000
12/15/46
28
St.
Johns
County
Industrial
Development
Authority
Revenue
Bonds
50
4.000
12/15/50
56
St.
Johns
County
Industrial
Development
Authority
Revenue
Bonds
375
4.000
08/01/55
428
Stillwater
Community
Development
District
Special
Assessment
(Þ)
50
3.500
06/15/41
52
Stillwater
Community
Development
District
Special
Assessment
(Þ)
100
4.000
06/15/51
106
Stoneybrook
South
at
Championsgate
Community
Development
District
Special
Assessment
200
4.500
06/15/39
224
Stoneybrook
South
at
Championsgate
Community
Development
District
Special
Assessment
150
4.625
06/15/49
166
Stoneybrook
South
at
Championsgate
Community
Development
District
Special
Assessment
(Þ)
1,000
3.750
12/15/50
1,041
Storey
Park
Community
Development
District
Special
Assessment
(Þ)
25
3.300
06/15/41
25
Storey
Park
Community
Development
District
Special
Assessment
(Þ)
50
4.000
06/15/51
53
Summer
Woods
Community
Development
District
Special
Assessment
25
3.400
05/01/41
25
Summer
Woods
Community
Development
District
Special
Assessment
25
4.000
05/01/51
26
Talis
Park
Community
Development
District
Special
Assessment
120
4.000
05/01/33
128
Tamarindo
Community
Development
District
Special
Assessment
50
3.375
05/01/41
52
Tamarindo
Community
Development
District
Special
Assessment
50
4.000
05/01/51
53
Tapestry
Community
Development
District
Special
Assessment
100
5.000
05/01/46
108
Timber
Creek
Community
Development
District
Special
Assessment
(Þ)
1,000
5.000
11/01/48
1,172
Tohoqua
Community
Development
District
Special
Assessment
(Þ)
100
3.600
05/01/41
104
Tolomato
Community
Development
District
Special
Assessment
(µ)
200
3.750
05/01/40
225
Tolomato
Community
Development
District
Special
Assessment
(Þ)
100
5.625
05/01/40
114
Toscana
Isles
Community
Development
District
Special
Assessment
Revenue
Bonds
225
5.375
11/01/39
270
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
247
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Toscana
Isles
Community
Development
District
Special
Assessment
Revenue
Bonds
260
5.500
11/01/49
313
Touchstone
Community
Development
District
Special
Assessment
(Þ)
100
4.625
06/15/38
112
Touchstone
Community
Development
District
Special
Assessment
(Þ)
100
4.750
06/15/48
112
Town
of
Davie
Educational
Facilities
Revenue
Bonds
730
5.000
04/01/48
881
Towne
Park
Community
Development
District
Special
Assessment
60
4.625
05/01/50
67
Tradition
Community
Development
District
No.
9
Special
Assessment
100
3.000
05/01/41
99
Tradition
Community
Development
District
No.
9
Special
Assessment
100
4.000
05/01/52
106
Triple
Creek
Community
Development
District
Special
Assessment
40
5.250
11/01/27
43
Triple
Creek
Community
Development
District
Special
Assessment
80
6.125
11/01/46
95
Triple
Creek
Community
Development
District
Special
Assessment
(Þ)
265
5.375
11/01/48
309
TSR
Community
Development
District
Special
Assessment
200
5.000
11/01/39
230
TSR
Community
Development
District
Special
Assessment
100
4.000
11/01/40
108
TSR
Community
Development
District
Special
Assessment
200
4.750
11/01/47
217
TSR
Community
Development
District
Special
Assessment
485
5.125
11/01/49
555
Two
Creeks
Community
Development
District
Special
Assessment
100
3.500
05/01/32
110
Two
Creeks
Community
Development
District
Special
Assessment
100
3.625
05/01/37
110
Two
Lakes
Community
Development
District
Special
Assessment
(Þ)
290
4.000
12/15/28
317
Two
Lakes
Community
Development
District
Special
Assessment
150
3.750
12/15/39
161
Two
Lakes
Community
Development
District
Special
Assessment
(Þ)
200
5.000
12/15/47
240
Two
Lakes
Community
Development
District
Special
Assessment
200
4.000
12/15/49
215
Union
Park
East
Community
Development
District
Special
Assessment
(Þ)
500
5.500
11/01/47
582
V-Dana
Community
Development
District
Special
Assessment
(Þ)
500
3.125
05/01/31
513
V-Dana
Community
Development
District
Special
Assessment
(Þ)
100
4.000
05/01/51
106
Venetian
Community
Development
District
Special
Assessment
150
5.000
05/01/23
153
Ventana
Community
Development
District
Special
Assessment
(Þ)
500
5.000
05/01/38
579
Ventana
Community
Development
District
Special
Assessment
(Þ)
500
5.125
05/01/49
579
Veranda
Community
Development
District
II
Special
Assessment
85
5.875
11/01/32
86
Veranda
Community
Development
District
II
Special
Assessment
235
5.000
11/01/39
270
Veranda
Community
Development
District
II
Special
Assessment
(Þ)
65
3.600
05/01/41
68
Veranda
Community
Development
District
II
Special
Assessment
315
5.125
11/01/49
361
Veranda
Community
Development
District
II
Special
Assessment
(Þ)
90
4.000
05/01/51
96
Verandah
East
Community
Development
District
Special
Assessment
200
4.000
05/01/31
212
Verano
No.
1
Community
Development
District
Special
Assessment
150
4.750
11/01/25
158
Verano
No.
1
Community
Development
District
Special
Assessment
(Þ)
100
4.000
05/01/31
113
Verano
No.
1
Community
Development
District
Special
Assessment
250
5.125
11/01/35
292
Verano
No.
1
Community
Development
District
Special
Assessment
(Þ)
100
4.000
05/01/37
111
Verano
No.
1
Community
Development
District
Special
Assessment
245
5.250
11/01/46
283
Verano
No.
2
Community
Development
District
Special
Assessment
60
4.000
05/01/50
64
Viera
East
Community
Development
District
Special
Assessment
(µ)
90
2.600
05/01/34
94
Viera
East
Community
Development
District
Special
Assessment
(µ)
50
2.750
05/01/38
53
Village
Community
Development
District
No.
12
Special
Assessment
(Þ)
670
4.250
05/01/43
752
Village
Community
Development
District
No.
12
Special
Assessment
(Þ)
670
4.375
05/01/50
752
Village
Community
Development
District
No.
13
Special
Assessment
(Þ)
265
3.250
05/01/40
280
Village
Community
Development
District
No.
13
Special
Assessment
(Þ)
590
3.500
05/01/51
621
Villamar
Community
Development
District
Special
Assessment
925
4.625
05/01/39
1,030
Vizcaya
in
Kendall
Community
Development
District
Special
Assessment
100
4.125
11/01/46
109
Volusia
County
Educational
Facility
Authority
Revenue
Bonds
240
5.000
06/01/45
271
Waterford
Landing
Community
Development
District
Special
Assessment
145
5.500
05/01/34
156
Waterford
Landing
Community
Development
District
Special
Assessment
150
5.750
05/01/44
162
Watergrass
Community
Development
District
II
Special
Assessment
260
5.250
05/01/49
293
Waterset
Central
Community
Development
District
Special
Assessment
(Þ)
150
5.125
11/01/38
171
Waterset
Central
Community
Development
District
Special
Assessment
(Þ)
150
5.250
11/01/49
171
Wesbridge
Community
Development
District
Special
Assessment
75
4.250
11/01/49
81
West
Port
Community
Development
District
Special
Assessment
(Þ)
90
3.400
05/01/41
92
West
Port
Community
Development
District
Special
Assessment
(Þ)
1,780
4.000
05/01/51
1,894
West
Villages
Improvement
District
Special
Assessment
135
4.750
05/01/39
152
West
Villages
Improvement
District
Special
Assessment
(Þ)
1,935
3.500
05/01/41
2,000
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
248
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
West
Villages
Improvement
District
Special
Assessment
210
5.000
05/01/50
238
Westside
Community
Development
District
Special
Assessment
(Þ)
100
4.100
05/01/37
109
Westside
Community
Development
District
Special
Assessment
(Þ)
100
4.125
05/01/38
109
Westside
Community
Development
District
Special
Assessment
815
4.000
05/01/50
868
Westside
Haines
City
Community
Development
District
Special
Assessment
100
4.000
05/01/52
105
Wildblue
Community
Development
District
Special
Assessment
(Þ)
125
4.250
06/15/39
139
Wildblue
Community
Development
District
Special
Assessment
(Þ)
250
4.375
06/15/49
273
Winding
Cypress
Community
Development
District
Special
Assessment
100
5.000
11/01/45
109
Winding
Cypress
Community
Development
District
Special
Assessment
100
5.000
11/01/49
112
Windward
Community
Development
District
Special
Assessment
115
4.400
11/01/35
126
Zephyr
Lakes
Community
Development
District
Special
Assessment
(Þ)
50
3.375
05/01/41
51
Zephyr
Lakes
Community
Development
District
Special
Assessment
(Þ)
50
4.000
05/01/51
53
133,560
Georgia
-
1.8%
Augusta
Development
Authority
Revenue
Bonds
1,065
5.000
07/01/31
1,257
Cobb
County
Development
Authority
Revenue
Bonds
1,500
5.000
07/15/38
1,678
Fulton
County
Development
Authority
Revenue
Bonds
4,750
4.000
04/01/50
5,573
Gainesville
&
Hall
County
Development
Authority
Educational
Facilities
Revenue
Bonds
100
5.125
03/01/52
101
George
L
Smith
II
Congress
Center
Authority
Revenue
Bonds
60
3.625
01/01/31
68
George
L
Smith
II
Congress
Center
Authority
Revenue
Bonds
60
5.000
01/01/36
74
George
L
Smith
II
Congress
Center
Authority
Revenue
Bonds
2,245
4.000
01/01/54
2,617
George
L
Smith
II
Congress
Center
Authority
Revenue
Bonds
120
5.000
01/01/54
145
Glynn-Brunswick
Memorial
Hospital
Authority
Revenue
Bonds
1,000
4.000
08/01/38
1,194
Main
Street
Natural
Gas,
Inc.
Revenue
Bonds
350
5.000
05/15/43
432
Main
Street
Natural
Gas,
Inc.
Revenue
Bonds
1,450
5.000
05/15/49
2,285
Municipal
Electric
Authority
of
Georgia
Revenue
Bonds
4,720
4.000
01/01/49
5,367
Municipal
Electric
Authority
of
Georgia
Revenue
Bonds
1,000
5.000
01/01/49
1,228
Municipal
Electric
Authority
of
Georgia
Revenue
Bonds
2,000
5.000
01/01/56
2,472
Municipal
Electric
Authority
of
Georgia
Revenue
Bonds
(µ)
1,750
5.000
01/01/62
2,184
Private
Colleges
&
Universities
Authority
Revenue
Bonds
1,000
5.000
10/01/40
1,151
Rockdale
County
Development
Authority
Revenue
Bonds
(Þ)
225
4.000
01/01/38
258
28,084
Guam
-
1.1%
Antonio
B
Won
Pat
International
Airport
Authority
Revenue
Bonds
100
3.839
10/01/36
105
Antonio
B
Won
Pat
International
Airport
Authority
Revenue
Bonds
125
4.460
10/01/43
131
Guam
Business
Privilege
Tax
Revenue
Bonds
1,545
4.000
01/01/36
1,811
Guam
Business
Privilege
Tax
Revenue
Bonds
2,475
4.000
01/01/42
2,846
Guam
Department
of
Education
Certificate
of
Participation
750
4.250
02/01/30
849
Guam
Department
of
Education
Certificate
Of
Participation
385
5.000
02/01/40
444
Guam
Government
Waterworks
Authority
Revenue
Bonds
50
5.000
07/01/33
59
Guam
Government
Waterworks
Authority
Revenue
Bonds
4,090
5.000
07/01/35
4,478
Guam
Government
Waterworks
Authority
Revenue
Bonds
80
5.000
07/01/36
94
Guam
Government
Waterworks
Authority
Revenue
Bonds
60
5.000
07/01/37
70
Guam
Government
Waterworks
Authority
Revenue
Bonds
1,120
5.500
07/01/43
1,231
Guam
Government
Waterworks
Authority
Revenue
Bonds
1,215
5.000
01/01/46
1,382
Guam
Government
Waterworks
Authority
Revenue
Bonds
185
5.000
01/01/50
229
Port
Authority
of
Guam
Revenue
Bonds
200
5.000
07/01/37
237
Territory
of
Guam
Revenue
Bonds
500
5.000
12/01/31
593
Territory
of
Guam
Revenue
Bonds
100
5.000
11/01/35
128
Territory
of
Guam
Revenue
Bonds
100
5.000
11/01/40
126
Territory
of
Guam
Revenue
Bonds
2,000
5.125
01/01/42
2,040
Territory
of
Guam
Revenue
Bonds
200
5.000
12/01/46
232
17,085
Hawaii
-
0.2%
State
of
Hawaii
Department
of
Budget
&
Finance
Revenue
Bonds
(Þ)
2,210
5.000
01/01/30
2,369
State
of
Hawaii
Department
of
Budget
&
Finance
Revenue
Bonds
625
3.200
07/01/39
686
3,055
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
249
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Idaho
-
0.1%
County
of
Nez
Perce
Pollution
Control
Revenue
Bonds
825
2.750
10/01/24
881
Idaho
Health
Facilities
Authority
Revenue
Bonds
400
5.000
09/01/37
462
1,343
Illinois
-
10.3%
Bridgeview
Finance
Corp
Sales
Tax
Revenue
Bonds
2,100
5.000
12/01/37
2,185
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
75
3.634
12/01/27
69
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
500
5.000
12/01/28
641
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
1,000
5.000
12/01/29
1,275
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
345
5.078
12/01/29
301
Chicago
Board
of
Education
General
Obligation
Unlimited
225
6.038
12/01/29
267
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
120
3.929
12/01/30
102
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
375
4.044
12/01/31
309
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
1,825
5.000
12/01/31
2,345
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
250
5.000
12/01/32
315
Chicago
Board
of
Education
General
Obligation
Unlimited
170
5.125
12/01/32
192
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
1,000
5.000
12/01/33
1,256
Chicago
Board
of
Education
General
Obligation
Unlimited
2,200
5.000
12/01/34
2,771
Chicago
Board
of
Education
General
Obligation
Unlimited
115
5.250
12/01/35
130
Chicago
Board
of
Education
General
Obligation
Unlimited
2,000
5.000
12/01/39
2,574
Chicago
Board
of
Education
General
Obligation
Unlimited
75
5.250
12/01/39
84
Chicago
Board
of
Education
General
Obligation
Unlimited
1,505
5.500
12/01/39
1,529
Chicago
Board
of
Education
General
Obligation
Unlimited
1,100
5.000
12/01/41
1,116
Chicago
Board
of
Education
General
Obligation
Unlimited
(Þ)
2,000
7.000
12/01/42
2,674
Chicago
Board
of
Education
General
Obligation
Unlimited
2,325
7.000
12/01/44
2,867
Chicago
Board
of
Education
General
Obligation
Unlimited
200
5.000
12/01/46
241
Chicago
Board
of
Education
General
Obligation
Unlimited
1,460
6.500
12/01/46
1,833
Chicago
Board
of
Education
General
Obligation
Unlimited
(Þ)
1,500
7.000
12/01/46
1,995
Chicago
Board
of
Education
Revenue
Bonds
500
5.750
04/01/35
622
Chicago
Board
of
Education
Revenue
Bonds
100
5.000
04/01/42
119
Chicago
Board
of
Education
Revenue
Bonds
100
5.000
04/01/46
119
Chicago
Board
of
Education
Revenue
Bonds
3,445
6.000
04/01/46
4,277
Chicago
O'Hare
International
Airport
Revenue
Bonds
1,000
5.000
01/01/46
1,139
Chicago
O'Hare
International
Airport
Revenue
Bonds
1,000
5.000
07/01/48
1,201
Chicago
Sales
Tax
Securitization
Corp.
Revenue
Bonds
100
5.000
01/01/36
129
Chicago
Sales
Tax
Securitization
Corp.
Revenue
Bonds
85
4.000
01/01/38
101
Chicago
Sales
Tax
Securitization
Corp.
Revenue
Bonds
110
4.000
01/01/39
131
Chicago
Transit
Authority
Revenue
Bonds
3,500
5.000
12/01/46
4,211
Chicago
Wastewater
Transmission
Revenue
Bonds
(µ)
75
5.250
01/01/42
92
Chicago
Wastewater
Transmission
Revenue
Bonds
(µ)
210
4.000
01/01/52
230
City
of
Belleville
Sales
Tax
Revenue
Tax
Allocation
50
3.750
07/01/41
52
City
of
Chicago
General
Obligation
Unlimited
250
5.000
01/01/25
287
City
of
Chicago
General
Obligation
Unlimited
205
5.000
01/01/27
249
City
of
Chicago
General
Obligation
Unlimited
425
5.000
01/01/28
530
City
of
Chicago
General
Obligation
Unlimited
500
5.250
01/01/28
574
City
of
Chicago
General
Obligation
Unlimited
360
5.000
01/01/29
459
City
of
Chicago
General
Obligation
Unlimited
410
4.605
01/01/30
332
City
of
Chicago
General
Obligation
Unlimited
390
5.000
01/01/30
507
City
of
Chicago
General
Obligation
Unlimited
(µ)
375
4.556
01/01/31
302
City
of
Chicago
General
Obligation
Unlimited
650
5.000
01/01/31
832
City
of
Chicago
General
Obligation
Unlimited
250
5.500
01/01/31
287
City
of
Chicago
General
Obligation
Unlimited
340
5.000
01/01/32
437
City
of
Chicago
General
Obligation
Unlimited
235
5.000
01/01/33
239
City
of
Chicago
General
Obligation
Unlimited
(ae)
900
5.000
01/01/34
1,045
City
of
Chicago
General
Obligation
Unlimited
1,000
5.000
01/01/35
1,088
City
of
Chicago
General
Obligation
Unlimited
100
5.250
01/01/35
101
City
of
Chicago
General
Obligation
Unlimited
165
5.500
01/01/37
189
City
of
Chicago
General
Obligation
Unlimited
2,000
5.000
01/01/38
2,296
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
250
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
City
of
Chicago
General
Obligation
Unlimited
6,875
6.000
01/01/38
8,611
City
of
Chicago
General
Obligation
Unlimited
2,465
5.500
01/01/42
2,815
City
of
Chicago
General
Obligation
Unlimited
2,250
5.500
01/01/49
2,839
City
of
Chicago
Waterworks
Revenue
Bonds
230
5.000
11/01/29
280
Cook
County
Community
College
District
No.
508
General
Obligation
Unlimited
1,000
5.500
12/01/38
1,094
Illinois
Development
Finance
Authority
Revenue
Bonds
(~)(Ê)
275
0.130
10/01/29
275
Illinois
Finance
Authority
Revenue
Bonds
500
2.250
07/01/33
501
Illinois
Finance
Authority
Revenue
Bonds
1,390
5.000
05/15/36
1,579
Illinois
Finance
Authority
Revenue
Bonds
1,000
5.000
09/01/36
1,165
Illinois
Finance
Authority
Revenue
Bonds
1,865
5.000
05/15/37
2,165
Illinois
Finance
Authority
Revenue
Bonds
630
5.000
12/01/37
712
Illinois
Finance
Authority
Revenue
Bonds
2,300
4.000
10/01/40
2,719
Illinois
Finance
Authority
Revenue
Bonds
(Þ)
125
4.000
10/01/42
141
Illinois
Finance
Authority
Revenue
Bonds
1,000
5.000
08/01/46
1,177
Illinois
Finance
Authority
Revenue
Bonds
100
5.000
09/01/46
116
Illinois
Finance
Authority
Revenue
Bonds
1,000
5.000
02/15/47
1,161
Illinois
Finance
Authority
Revenue
Bonds
100
5.000
05/15/47
115
Illinois
Finance
Authority
Revenue
Bonds
1,500
5.000
12/01/47
1,758
Illinois
Finance
Authority
Revenue
Bonds
(Þ)
705
6.125
04/01/49
872
Illinois
Finance
Authority
Revenue
Bonds
(~)(Ê)
2,600
0.060
08/15/49
2,600
Illinois
Finance
Authority
Revenue
Bonds
1,050
4.000
10/01/50
1,221
Illinois
Finance
Authority
Revenue
Bonds
50
5.000
05/15/51
59
Illinois
Finance
Authority
Revenue
Bonds
50
4.000
11/01/51
58
Illinois
Finance
Authority
Revenue
Bonds
49
5.000
12/01/53
1
Illinois
Finance
Authority
Revenue
Bonds
50
5.000
05/15/56
59
Illinois
Finance
Authority
Revenue
Bonds
50
4.000
11/01/56
58
Illinois
Sports
Facilities
Authority
(The)
Revenue
Bonds
100
5.000
06/15/30
128
Illinois
Sports
Facilities
Authority
(The)
Revenue
Bonds
35
5.000
06/15/31
45
Illinois
Sports
Facilities
Authority
(The)
Revenue
Bonds
30
5.000
06/15/32
39
Illinois
State
University
Revenue
Bonds
(µ)
250
5.000
04/01/36
309
Illinois
State
University
Revenue
Bonds
(µ)
225
5.000
04/01/37
278
Illinois
State
University
Revenue
Bonds
(µ)
200
5.000
04/01/38
246
Illinois
State
University
Revenue
Bonds
(µ)
275
5.000
04/01/39
338
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
(µ)
1,220
1.798
06/15/28
1,099
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
(µ)
10
2.968
06/15/30
9
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
(µ)
305
4.341
06/15/30
260
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
(µ)
1,385
2.198
12/15/32
1,110
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
1,500
Zero
coupon
12/15/35
1,069
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
1,000
4.000
12/15/42
1,163
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
(µ)
5,200
Zero
coupon
06/15/44
3,064
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
4,500
4.000
06/15/50
5,184
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
1,500
5.000
06/15/50
1,874
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
10,000
6.070
12/15/51
4,610
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
1,000
4.000
06/15/52
1,147
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
1,650
5.000
06/15/52
1,718
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
(µ)
1,600
4.752
12/15/56
679
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
5,800
5.068
12/15/56
2,313
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
970
5.000
06/15/57
1,164
Sangamon
County
Water
Reclamation
District
General
Obligation
Unlimited
1,750
4.000
01/01/49
1,985
Sangamon
County
Water
Reclamation
District
General
Obligation
Unlimited
1,000
5.750
01/01/53
1,170
State
of
Illinois
General
Obligation
Unlimited
355
5.000
08/01/21
355
State
of
Illinois
General
Obligation
Unlimited
350
5.000
11/01/21
354
State
of
Illinois
General
Obligation
Unlimited
1,625
5.000
11/01/25
1,925
State
of
Illinois
General
Obligation
Unlimited
1,270
5.000
02/01/27
1,553
State
of
Illinois
General
Obligation
Unlimited
400
5.000
05/01/28
447
State
of
Illinois
General
Obligation
Unlimited
700
5.000
10/01/28
887
State
of
Illinois
General
Obligation
Unlimited
5,775
5.000
11/01/28
7,144
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
251
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
State
of
Illinois
General
Obligation
Unlimited
1,000
5.000
05/01/29
1,116
State
of
Illinois
General
Obligation
Unlimited
3,830
5.000
11/01/29
4,708
State
of
Illinois
General
Obligation
Unlimited
(µ)
875
4.000
02/01/30
1,007
State
of
Illinois
General
Obligation
Unlimited
(µ)
265
4.000
02/01/31
304
State
of
Illinois
General
Obligation
Unlimited
2,750
5.000
05/01/32
3,400
State
of
Illinois
General
Obligation
Unlimited
1,280
5.100
06/01/33
1,535
State
of
Illinois
General
Obligation
Unlimited
1,000
5.000
10/01/33
1,245
State
of
Illinois
General
Obligation
Unlimited
500
5.000
12/01/35
607
State
of
Illinois
General
Obligation
Unlimited
100
4.000
11/01/38
117
State
of
Illinois
General
Obligation
Unlimited
1,000
5.000
05/01/39
1,108
State
of
Illinois
General
Obligation
Unlimited
100
5.500
05/01/39
131
State
of
Illinois
General
Obligation
Unlimited
2,600
5.000
12/01/39
3,128
State
of
Illinois
General
Obligation
Unlimited
1,000
4.000
10/01/40
1,184
State
of
Illinois
General
Obligation
Unlimited
2,500
4.000
11/01/41
2,910
State
of
Illinois
General
Obligation
Unlimited
1,910
4.500
12/01/41
2,225
State
of
Illinois
General
Obligation
Unlimited
840
5.000
05/01/42
1,014
State
of
Illinois
General
Obligation
Unlimited
250
5.000
12/01/42
299
State
of
Illinois
General
Obligation
Unlimited
240
5.000
05/01/43
289
State
of
Illinois
General
Obligation
Unlimited
1,250
5.750
05/01/45
1,644
State
of
Illinois
General
Obligation
Unlimited
300
4.250
10/01/45
360
State
of
Illinois
General
Obligation
Unlimited
500
5.000
03/01/46
635
Town
of
Cortland
Special
Service
Areas
No.
9
&
10
Special
Tax
100
5.800
03/01/37
100
University
of
Illinois
Revenue
Bonds
(µ)
1,500
3.000
04/01/39
1,642
Upper
Illinois
River
Valley
Redevelopment
Authority
Revenue
Bonds
(Þ)
100
5.000
01/01/55
106
Village
of
Morton
Grove
Tax
Increment
Revenue
Tax
Allocation
100
5.000
01/01/39
104
157,983
Indiana
-
0.4%
Indiana
Finance
Authority
Revenue
Bonds
500
4.125
12/01/26
547
Indiana
Finance
Authority
Revenue
Bonds
475
3.000
11/01/30
523
Indiana
Finance
Authority
Revenue
Bonds
250
4.000
11/15/41
294
Indiana
Finance
Authority
Revenue
Bonds
100
4.000
09/15/44
112
Indiana
Finance
Authority
Revenue
Bonds
2,000
5.000
10/01/44
2,212
Indiana
Finance
Authority
Revenue
Bonds
405
5.500
08/15/45
406
Indiana
Finance
Authority
Revenue
Bonds
100
4.000
09/15/49
112
Indiana
Finance
Authority
Revenue
Bonds
50
5.000
07/01/55
57
Indiana
Municipal
Power
Agency
Revenue
Bonds
275
5.000
01/01/42
332
Town
of
Upland
Revenue
Bonds
1,695
4.000
09/01/41
2,021
Town
of
Upland
Revenue
Bonds
200
2.500
09/01/50
195
6,811
Iowa
-
0.5%
City
of
Coralville
Revenue
Bonds
1,070
4.000
05/01/31
1,072
Iowa
Finance
Authority
Revenue
Bonds
115
3.125
12/01/22
117
Iowa
Higher
Education
Loan
Authority
Revenue
Bonds
2,500
4.000
10/01/45
2,921
Iowa
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
10,500
Zero
coupon
06/01/65
1,992
Xenia
Rural
Water
District
Revenue
Bonds
1,250
5.000
12/01/36
1,462
7,564
Kansas
-
0.1%
City
of
Manhattan
Revenue
Bonds
75
4.000
06/01/46
85
City
of
Wichita
Health
Care
Facilities
Revenue
Bonds
75
5.000
05/15/28
85
City
of
Wichita
Health
Care
Facilities
Revenue
Bonds
75
5.000
05/15/29
85
City
of
Wichita
Health
Care
Facilities
Revenue
Bonds
150
5.000
05/15/34
167
City
of
Wichita
Health
Care
Facilities
Revenue
Bonds
60
5.000
05/15/50
66
Wyandotte
County
City
Unified
Government
Revenue
Bonds
440
4.500
06/01/40
464
952
Kentucky
-
0.3%
County
of
Carroll
Environmental
Facilities
Authority
Revenue
Bonds
425
2.000
02/01/32
445
County
of
Carroll
Environmental
Facilities
Authority
Revenue
Bonds
325
2.125
10/01/34
340
Kentucky
Bond
Development
Corp.
Revenue
Bonds
50
4.000
06/01/46
60
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
252
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Kentucky
Bond
Development
Corp.
Revenue
Bonds
75
4.000
06/01/51
89
Kentucky
Economic
Development
Finance
Authority
Revenue
Bonds
(µ)
150
4.000
06/01/37
169
Kentucky
Economic
Development
Finance
Authority
Revenue
Bonds
1,500
5.000
06/01/41
1,770
Kentucky
Economic
Development
Finance
Authority
Revenue
Bonds
(µ)
100
4.000
12/01/41
115
Kentucky
Economic
Development
Finance
Authority
Revenue
Bonds
(µ)
100
4.000
06/01/45
112
Kentucky
Economic
Development
Finance
Authority
Revenue
Bonds
130
5.000
08/01/49
162
Kentucky
Public
Energy
Authority
Revenue
Bonds
(~)(ae)(Ê)
1,000
4.000
12/01/49
1,124
Kentucky
State
University
Certificate
Participation
(µ)
500
4.000
11/01/51
583
4,969
Louisiana
-
0.9%
Calcasieu
Parish
Memorial
Hospital
Service
District
Revenue
Bonds
125
5.000
12/01/34
154
Calcasieu
Parish
Memorial
Hospital
Service
District
Revenue
Bonds
125
5.000
12/01/39
152
City
of
New
Orleans
Sewerage
Service
Revenue
Bonds
75
4.000
06/01/50
87
East
Baton
Rouge
Parish
Industrial
Development
Board,
Inc.
Revenue
Bonds
(~)(Ê)
370
0.120
08/01/35
370
East
Baton
Rouge
Parish
Industrial
Development
Board,
Inc.
Revenue
Bonds
(~)(Ê)
950
0.120
12/01/40
950
Lakeshore
Villages
Master
Community
Development
District
Special
Assessment
(Þ)
100
4.125
06/01/39
109
Lakeshore
Villages
Master
Community
Development
District
Special
Assessment
100
3.200
06/01/41
101
Lakeshore
Villages
Master
Community
Development
District
Special
Assessment
(Þ)
200
4.375
06/01/48
219
Lakeshore
Villages
Master
Community
Development
District
Special
Assessment
125
4.000
06/01/51
133
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Authority
Revenue
Bonds
(µ)
80
5.000
10/01/39
99
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Authority
Revenue
Bonds
(µ)
150
4.000
10/01/41
171
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Authority
Revenue
Bonds
(Þ)
250
5.625
06/15/51
267
Louisiana
Public
Facilities
Authority
Revenue
Bonds
(~)(Ê)
1,175
0.120
04/02/23
1,175
Louisiana
Public
Facilities
Authority
Revenue
Bonds
635
4.000
05/15/42
722
Louisiana
Public
Facilities
Authority
Revenue
Bonds
750
5.000
05/15/46
901
Louisiana
Public
Facilities
Authority
Revenue
Bonds
(µ)
385
3.000
06/01/50
415
Louisiana
Public
Facilities
Authority
Revenue
Bonds
75
4.000
06/01/50
88
Louisiana
Public
Facilities
Authority
Revenue
Bonds
550
5.000
07/01/59
682
New
Orleans
Aviation
Board
Revenue
Bonds
1,000
5.000
01/01/40
1,140
New
Orleans
Aviation
Board
Revenue
Bonds
2,000
5.000
01/01/45
2,278
New
Orleans
Aviation
Board
Revenue
Bonds
150
5.000
01/01/48
178
Parish
of
St.
James
Revenue
Bonds
(~)(ae)(Ê)(Þ)
100
6.100
06/01/38
133
Parish
of
St.
James
Revenue
Bonds
(Þ)
125
6.350
07/01/40
169
Parish
of
St.
James
Revenue
Bonds
(~)(ae)(Ê)(Þ)
1,000
5.850
08/01/41
1,151
Parish
of
St.
John
the
Baptist
Revenue
Bonds
(~)(ae)(Ê)
20
2.000
06/01/37
20
Parish
of
St.
John
the
Baptist
Revenue
Bonds
(~)(ae)(Ê)
50
2.200
06/01/37
53
Parish
of
St.
John
the
Baptist
Revenue
Bonds
(~)(ae)(Ê)
1,050
2.375
06/01/37
1,112
Port
New
Orleans
Board
of
Commissioners
Revenue
Bonds
(µ)
1,000
5.000
04/01/48
1,203
14,232
Maine
-
0.4%
City
of
Portland
General
Airport
Revenue
Bonds
1,065
5.000
01/01/37
1,232
City
of
Portland
General
Airport
Revenue
Bonds
1,295
5.000
01/01/38
1,496
Maine
Health
&
Higher
Educational
Facilities
Authority
Revenue
Bonds
2,000
5.000
07/01/33
2,183
Maine
Health
&
Higher
Educational
Facilities
Authority
Revenue
Bonds
500
5.000
07/01/43
616
Maine
Health
&
Higher
Educational
Facilities
Authority
Revenue
Bonds
115
4.000
07/01/45
136
Maine
Health
&
Higher
Educational
Facilities
Authority
Revenue
Bonds
140
4.000
07/01/50
165
5,828
Maryland
-
0.8%
Baltimore
Research
Park
Project
Revenue
Bonds
360
4.000
01/01/45
419
Baltimore
Research
Park
Project
Revenue
Bonds
440
4.000
01/01/50
510
Baltimore
Research
Park
Project
Tax
Allocation
(Þ)
100
3.500
06/01/39
105
Baltimore
Research
Park
Project
Tax
Allocation
(Þ)
100
3.625
06/01/46
106
City
of
Baltimore
Revenue
Bonds
100
5.000
09/01/28
109
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
253
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
City
of
Baltimore
Revenue
Bonds
150
5.000
09/01/38
170
City
of
Baltimore
Revenue
Bonds
55
5.000
09/01/39
59
City
of
Baltimore
Revenue
Bonds
365
5.000
09/01/46
390
City
of
Brunswick
Special
Tax
100
5.000
07/01/36
120
County
of
Frederick
Educational
Facilities
Revenue
Bonds
(Þ)
1,705
5.000
09/01/45
1,910
County
of
Frederick
Special
Tax
235
4.000
07/01/50
269
County
of
Prince
George's
Special
Obligation
Tax
Allocation
(Þ)
115
5.250
07/01/48
130
Maryland
Economic
Development
Corp.
Revenue
Bonds
(Þ)
1,400
3.997
04/01/34
1,546
Maryland
Economic
Development
Corp.
Revenue
Bonds
1,100
4.000
07/01/39
1,290
Maryland
Economic
Development
Corp.
Revenue
Bonds
75
4.000
07/01/40
88
Maryland
Economic
Development
Corp.
Revenue
Bonds
200
5.000
06/01/49
242
Maryland
Economic
Development
Corp.
Revenue
Bonds
100
4.250
07/01/50
117
Maryland
Economic
Development
Corp.
Revenue
Bonds
75
5.000
07/01/50
93
Maryland
Economic
Development
Corp.
Revenue
Bonds
150
5.000
07/01/56
185
Maryland
Economic
Development
Corp.
Revenue
Bonds
125
5.000
06/01/58
136
Maryland
Economic
Development
Corp.
Tax
Allocation
350
4.000
09/01/40
410
Maryland
Health
&
Higher
Educational
Facilities
Authority
Revenue
Bonds
50
3.000
10/01/34
54
Maryland
Health
&
Higher
Educational
Facilities
Authority
Revenue
Bonds
(~)(Ê)
1,100
0.100
04/01/35
1,100
Maryland
Health
&
Higher
Educational
Facilities
Authority
Revenue
Bonds
600
5.250
01/01/37
683
Maryland
Health
&
Higher
Educational
Facilities
Authority
Revenue
Bonds
25
4.000
10/01/40
30
Maryland
Health
&
Higher
Educational
Facilities
Authority
Revenue
Bonds
1,250
5.000
07/01/43
1,440
Maryland
Health
&
Higher
Educational
Facilities
Authority
Revenue
Bonds
1,000
5.000
07/01/45
1,133
12,844
Massachusetts
-
1.0%
Commonwealth
of
Massachusetts
General
Obligation
Limited
1,500
4.000
05/01/39
1,769
Commonwealth
of
Massachusetts
General
Obligation
Unlimited
(USD
3
Month
LIBOR
+
0.570%)(µ)(Ê)
285
1.030
05/01/37
284
Massachusetts
Development
Finance
Agency
Revenue
Bonds
1,415
5.000
09/01/35
1,596
Massachusetts
Development
Finance
Agency
Revenue
Bonds
1,580
5.000
10/01/35
1,822
Massachusetts
Development
Finance
Agency
Revenue
Bonds
(Þ)
1,250
5.000
10/01/37
1,372
Massachusetts
Development
Finance
Agency
Revenue
Bonds
(Þ)
100
5.000
11/15/38
113
Massachusetts
Development
Finance
Agency
Revenue
Bonds
(Þ)
1,300
5.000
07/01/41
1,474
Massachusetts
Development
Finance
Agency
Revenue
Bonds
2,005
5.000
07/01/44
2,324
Massachusetts
Development
Finance
Agency
Revenue
Bonds
(µ)
125
4.000
10/01/45
149
Massachusetts
Development
Finance
Agency
Revenue
Bonds
(Þ)
150
5.125
11/15/46
168
Massachusetts
Development
Finance
Agency
Revenue
Bonds
(~)(Ê)
2,400
0.070
08/15/48
2,400
Massachusetts
Development
Finance
Agency
Revenue
Bonds
110
4.000
07/01/50
129
Massachusetts
Educational
Financing
Authority
Revenue
Bonds
400
2.000
07/01/37
405
Massachusetts
Educational
Financing
Authority
Revenue
Bonds
1,000
3.000
07/01/51
1,018
15,023
Michigan
-
2.6%
City
of
Detroit
General
Obligation
Limited
(~)(Ê)
5,125
4.000
04/01/44
4,983
City
of
Detroit
General
Obligation
Unlimited
75
2.960
04/01/27
77
City
of
Detroit
General
Obligation
Unlimited
50
3.110
04/01/28
51
City
of
Detroit
General
Obligation
Unlimited
1,000
5.000
04/01/29
1,214
City
of
Detroit
General
Obligation
Unlimited
100
5.500
04/01/31
130
City
of
Detroit
General
Obligation
Unlimited
100
5.500
04/01/32
129
City
of
Detroit
General
Obligation
Unlimited
100
5.500
04/01/33
129
City
of
Detroit
General
Obligation
Unlimited
50
3.644
04/01/34
52
City
of
Detroit
General
Obligation
Unlimited
1,000
5.000
04/01/34
1,194
City
of
Detroit
General
Obligation
Unlimited
50
5.500
04/01/34
64
City
of
Detroit
General
Obligation
Unlimited
50
5.500
04/01/35
64
City
of
Detroit
General
Obligation
Unlimited
535
5.500
04/01/36
683
City
of
Detroit
General
Obligation
Unlimited
565
5.500
04/01/37
719
City
of
Detroit
General
Obligation
Unlimited
100
5.500
04/01/38
127
City
of
Detroit
General
Obligation
Unlimited
100
5.500
04/01/39
127
City
of
Detroit
General
Obligation
Unlimited
125
4.000
04/01/40
143
City
of
Detroit
General
Obligation
Unlimited
100
5.500
04/01/40
127
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
254
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
City
of
Detroit
General
Obligation
Unlimited
40
4.000
04/01/42
45
City
of
Detroit
General
Obligation
Unlimited
570
5.500
04/01/45
720
City
of
Detroit
General
Obligation
Unlimited
400
5.000
04/01/46
496
City
of
Detroit
General
Obligation
Unlimited
375
5.000
04/01/50
463
City
of
Detroit
General
Obligation
Unlimited
175
5.500
04/01/50
220
City
of
Detroit
Sewage
Disposal
System
Revenue
Bonds
(µ)(ae)
500
5.000
07/01/39
522
City
of
Detroit
Sewage
Disposal
System
Revenue
Bonds
(ae)
2,010
5.250
07/01/39
2,105
Detroit
Downtown
Development
Authority
Tax
Allocation
Revenue
Bonds
(µ)
2,250
5.000
07/01/48
2,514
Grand
Rapids
Charter
Township
Revenue
Bonds
200
5.000
05/15/37
238
Grand
Rapids
Charter
Township
Revenue
Bonds
100
5.000
05/15/44
118
Karegnondi
Water
Authority
Revenue
Bonds
75
5.000
11/01/45
92
Kentwood
Economic
Development
Corp.
Revenue
Bonds
100
4.000
11/15/43
109
Kentwood
Economic
Development
Corp.
Revenue
Bonds
25
4.000
11/15/45
28
Michigan
Finance
Authority
Revenue
Bonds
1,000
3.875
10/01/23
1,053
Michigan
Finance
Authority
Revenue
Bonds
700
4.000
02/01/29
769
Michigan
Finance
Authority
Revenue
Bonds
300
5.000
07/01/33
350
Michigan
Finance
Authority
Revenue
Bonds
(µ)
1,000
5.000
07/01/36
1,127
Michigan
Finance
Authority
Revenue
Bonds
1,635
5.000
02/01/37
1,847
Michigan
Finance
Authority
Revenue
Bonds
450
3.267
06/01/39
487
Michigan
Finance
Authority
Revenue
Bonds
25
4.000
09/01/45
29
Michigan
Finance
Authority
Revenue
Bonds
1,815
5.500
11/15/45
1,983
Michigan
Finance
Authority
Revenue
Bonds
275
5.000
11/15/48
349
Michigan
Finance
Authority
Revenue
Bonds
85
5.000
06/01/49
105
Michigan
Finance
Authority
Revenue
Bonds
25
4.000
09/01/50
29
Michigan
Finance
Authority
Revenue
Bonds
325
4.000
11/15/50
378
Michigan
Finance
Authority
Revenue
Bonds
16,850
4.785
06/01/65
2,295
Michigan
Mathematics
&
Science
Initiative
Revenue
Bonds
1,110
4.000
01/01/41
1,257
Michigan
Strategic
Fund
Revenue
Bonds
125
5.000
05/15/37
148
Michigan
Strategic
Fund
Revenue
Bonds
1,000
5.000
11/15/43
1,165
Michigan
Strategic
Fund
Revenue
Bonds
100
5.000
05/15/44
118
Michigan
Strategic
Fund
Revenue
Bonds
(µ)
435
4.500
06/30/48
518
Michigan
Strategic
Fund
Revenue
Bonds
3,000
5.000
06/30/48
3,640
Michigan
Tobacco
Settlement
Finance
Authority
Revenue
Bonds
10,000
8.675
06/01/46
1,266
Michigan
Tobacco
Settlement
Finance
Authority
Revenue
Bonds
4,255
9.111
06/01/52
474
Star
International
Academy
Revenue
Bonds
450
5.000
03/01/30
533
Star
International
Academy
Revenue
Bonds
500
5.000
03/01/33
586
Tipton
Academy
Revenue
Bonds
325
4.000
06/01/51
333
Universal
Academy
Revenue
Bonds
500
4.000
12/01/31
568
Universal
Academy
Revenue
Bonds
65
4.000
12/01/40
73
39,163
Minnesota
-
0.8%
City
of
Blaine
Healthcare
Revenue
Bonds
400
6.125
07/01/45
399
City
of
Forest
Lake
Charter
School
Lease
Revenue
Bonds
500
5.250
08/01/43
579
City
of
Ham
Lake
Revenue
Bonds
2,000
5.000
11/01/36
2,264
City
of
Minneapolis
Charter
Lease
Revenue
Bonds
(Þ)
1,400
5.000
12/01/32
1,619
City
of
St
Cloud
Revenue
Bonds
380
5.000
05/01/48
473
City
of
St
Cloud
Revenue
Bonds
125
4.000
05/01/49
141
City
of
Woodbury
Revenue
Bonds
25
4.000
12/01/40
27
City
of
Woodbury
Revenue
Bonds
25
4.000
12/01/50
27
Duluth
Economic
Development
Authority
Health
Care
Facilities
Revenue
Bonds
200
4.250
02/15/48
231
Duluth
Economic
Development
Authority
Health
Care
Facilities
Revenue
Bonds
2,500
5.000
02/15/48
3,034
Duluth
Economic
Development
Authority
Health
Care
Facilities
Revenue
Bonds
1,425
5.250
02/15/53
1,756
Duluth
Economic
Development
Authority
Health
Care
Facilities
Revenue
Bonds
500
5.625
12/01/55
175
Duluth
Economic
Development
Authority
Revenue
Bonds
100
4.000
07/01/31
111
Duluth
Economic
Development
Authority
Revenue
Bonds
100
4.000
07/01/36
110
Duluth
Economic
Development
Authority
Revenue
Bonds
55
4.000
07/01/41
60
Duluth
Independent
School
District
No.
709
Certificate
of
Participation
35
3.250
03/01/25
37
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
255
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Duluth
Independent
School
District
No.
709
Certificate
of
Participation
40
4.000
03/01/26
44
Duluth
Independent
School
District
No.
709
Certificate
of
Participation
45
4.000
03/01/29
49
Duluth
Independent
School
District
No.
709
Certificate
of
Participation
75
4.000
03/01/32
80
Duluth
Independent
School
District
No.
709
Certificate
of
Participation
40
4.200
03/01/34
43
Minnesota
Higher
Education
Facilities
Authority
Revenue
Bonds
100
4.000
12/01/40
117
Minnesota
Higher
Education
Facilities
Authority
Revenue
Bonds
100
5.000
05/01/47
112
St.
Paul
Housing
&
Redevelopment
Authority
Revenue
Bonds
(Þ)
140
5.250
07/01/33
161
St.
Paul
Housing
&
Redevelopment
Authority
Revenue
Bonds
(Þ)
230
5.500
07/01/38
266
11,915
Mississippi
-
1.1%
Mississippi
Business
Finance
Corp.
Revenue
Bonds
(Þ)
1,600
4.000
10/15/30
1,585
Mississippi
Business
Finance
Corp.
Revenue
Bonds
(~)(Ê)
3,000
0.110
12/01/30
3,000
Mississippi
Business
Finance
Corp.
Revenue
Bonds
(~)(Ê)
5,940
0.130
12/01/30
5,940
Mississippi
Business
Finance
Corp.
Revenue
Bonds
(~)(Ê)
100
0.140
12/01/30
100
Mississippi
Business
Finance
Corp.
Revenue
Bonds
(~)(Ê)
4,160
0.130
11/01/35
4,160
Mississippi
Business
Finance
Corp.
Revenue
Bonds
1,400
2.375
06/01/44
1,415
16,200
Missouri
-
0.6%
Branson
Industrial
Development
Authority
Tax
Allocation
130
5.500
06/01/29
130
Cape
Girardeau
County
Industrial
Development
Authority
Revenue
Bonds
75
5.000
03/01/36
89
Cape
Girardeau
County
Industrial
Development
Authority
Revenue
Bonds
175
3.000
03/01/46
184
Cape
Girardeau
County
Industrial
Development
Authority
Revenue
Bonds
1,600
4.000
03/01/46
1,852
City
of
St.
Louis
Industrial
Development
Authority
Revenue
Bonds
100
4.750
11/15/47
103
Health
&
Educational
Facilities
Authority
of
the
State
of
Missouri
Revenue
Bonds
1,560
5.000
05/01/40
1,658
I-470
Western
Gateway
Transportation
Development
District
Revenue
Bonds
(Þ)
250
5.250
12/01/48
268
Joplin
Industrial
Development
Authority
Revenue
Bonds
50
3.500
11/01/40
51
Joplin
Industrial
Development
Authority
Revenue
Bonds
75
4.250
11/01/50
77
Kansas
City
Industrial
Development
Authority
Revenue
Bonds
(µ)
705
5.000
03/01/49
875
Kansas
City
Industrial
Development
Authority
Revenue
Bonds
(µ)
275
5.000
03/01/57
346
Kansas
City
Land
Clearance
Redevelopment
Authority
Tax
Allocation
(Þ)
1,500
5.000
02/01/40
1,642
Missouri
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
155
5.000
09/01/43
191
Missouri
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
130
5.000
09/01/48
159
Plaza
at
Noah's
Ark
Community
Improvement
District
Revenue
Bonds
450
3.000
05/01/25
466
Plaza
at
Noah's
Ark
Community
Improvement
District
Revenue
Bonds
50
3.000
05/01/30
51
Plaza
at
Noah's
Ark
Community
Improvement
District
Revenue
Bonds
25
3.125
05/01/35
25
St.
Louis
County
Industrial
Development
Authority
Revenue
Bonds
650
5.000
08/15/30
712
St.
Louis
Land
Clearance
for
Redevelopment
Authority
Revenue
Bonds
500
4.000
06/01/41
536
9,415
Montana
-
0.2%
Montana
Facility
Finance
Authority
Health
Care
Facilities
Revenue
Bonds
1,500
5.000
07/01/43
1,783
Montana
Facility
Finance
Authority
Revenue
Bonds
500
3.000
06/01/50
541
2,324
Nebraska
-
0.1%
University
of
Nebraska
Facilities
Corp.
Revenue
Bonds
1,500
3.000
07/15/54
1,635
Nevada
-
0.3%
Carson
City
Hospital
Revenue
Bonds
1,025
5.000
09/01/47
1,240
Henderson
Local
Improvement
Districts
Special
Assessment
50
4.000
09/01/35
53
Las
Vegas
Convention
&
Visitors
Authority
Revenue
Bonds
70
5.000
07/01/29
90
Las
Vegas
Convention
&
Visitors
Authority
Revenue
Bonds
50
5.000
07/01/30
61
Las
Vegas
Convention
&
Visitors
Authority
Revenue
Bonds
35
5.000
07/01/35
44
Las
Vegas
Convention
&
Visitors
Authority
Revenue
Bonds
155
5.000
07/01/43
189
Las
Vegas
Redevelopment
Agency
Tax
Allocation
250
5.000
06/15/45
283
Las
Vegas
Special
Improvement
District
No.
607
Special
Assessment
135
5.000
06/01/24
148
Las
Vegas
Special
Improvement
District
No.
813
Special
Assessment
15
4.250
06/01/37
16
Las
Vegas
Special
Improvement
District
No.
813
Special
Assessment
25
4.375
06/01/42
27
Las
Vegas
Special
Improvement
District
No.
813
Special
Assessment
25
4.500
06/01/47
27
Las
Vegas
Special
Improvement
District
No.
814
Special
Assessment
80
4.000
06/01/49
87
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
256
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Las
Vegas
Special
Improvement
District
No.
815
Special
Assessment
50
5.000
12/01/49
58
Nevada
Department
of
Business
&
Industry
Revenue
Bonds
(Þ)
1,100
5.000
07/15/37
1,217
Tahoe-Douglas
Visitors
Authority
Revenue
Bonds
1,000
5.000
07/01/34
1,198
Tahoe-Douglas
Visitors
Authority
Revenue
Bonds
165
5.000
07/01/45
193
Tahoe-Douglas
Visitors
Authority
Revenue
Bonds
175
5.000
07/01/51
204
5,135
New
Hampshire
-
0.5%
New
Hampshire
Business
Finance
Authority
Revenue
Bonds
(~)(Ê)(Þ)
100
2.950
04/01/29
109
New
Hampshire
Business
Finance
Authority
Revenue
Bonds
250
4.000
01/01/41
279
New
Hampshire
Business
Finance
Authority
Revenue
Bonds
(~)(ae)(Ê)(Þ)
180
3.625
07/01/43
193
New
Hampshire
Business
Finance
Authority
Revenue
Bonds
(~)(ae)(Ê)(Þ)
310
3.750
07/01/45
333
New
Hampshire
Business
Finance
Authority
Revenue
Bonds
1,000
4.000
01/01/51
1,109
New
Hampshire
Health
and
Education
Facilities
Authority
Revenue
Bonds
350
5.000
08/01/32
444
New
Hampshire
Health
and
Education
Facilities
Authority
Revenue
Bonds
370
5.000
08/01/33
469
New
Hampshire
Health
and
Education
Facilities
Authority
Revenue
Bonds
390
5.000
08/01/34
493
New
Hampshire
Health
and
Education
Facilities
Authority
Revenue
Bonds
415
5.000
08/01/35
524
New
Hampshire
Health
and
Education
Facilities
Authority
Revenue
Bonds
430
5.000
08/01/36
542
New
Hampshire
Health
and
Education
Facilities
Authority
Revenue
Bonds
500
5.000
10/01/36
587
New
Hampshire
Health
and
Education
Facilities
Authority
Revenue
Bonds
455
5.000
08/01/37
572
New
Hampshire
Health
and
Education
Facilities
Authority
Revenue
Bonds
480
5.000
08/01/38
602
New
Hampshire
Health
and
Education
Facilities
Authority
Revenue
Bonds
500
5.000
08/01/39
626
New
Hampshire
Health
and
Education
Facilities
Authority
Revenue
Bonds
525
5.000
08/01/40
656
7,538
New
Jersey
-
4.9%
Atlantic
City
General
Obligation
Unlimited
500
5.000
12/01/24
525
Atlantic
City
General
Obligation
Unlimited
450
5.000
12/01/25
472
Atlantic
City
General
Obligation
Unlimited
270
5.000
12/01/28
282
Atlantic
City
General
Obligation
Unlimited
(µ)
225
5.000
03/01/32
274
Atlantic
City
General
Obligation
Unlimited
(µ)
35
5.000
03/01/37
42
Atlantic
City
General
Obligation
Unlimited
(µ)
45
5.000
03/01/42
54
Atlantic
County
Improvement
Authority
Revenue
Bonds
(µ)
50
4.000
07/01/53
60
New
Jersey
Economic
Development
Authority
Revenue
Bonds
1,350
5.125
09/15/23
1,424
New
Jersey
Economic
Development
Authority
Revenue
Bonds
(µ)
1,360
7.425
02/15/29
1,778
New
Jersey
Economic
Development
Authority
Revenue
Bonds
2,150
5.250
09/15/29
2,268
New
Jersey
Economic
Development
Authority
Revenue
Bonds
500
4.000
07/01/32
569
New
Jersey
Economic
Development
Authority
Revenue
Bonds
500
5.000
07/01/32
550
New
Jersey
Economic
Development
Authority
Revenue
Bonds
500
5.000
06/15/41
599
New
Jersey
Economic
Development
Authority
Revenue
Bonds
275
3.000
08/01/41
283
New
Jersey
Economic
Development
Authority
Revenue
Bonds
(µ)
200
5.000
06/01/42
241
New
Jersey
Economic
Development
Authority
Revenue
Bonds
635
5.000
06/15/42
774
New
Jersey
Economic
Development
Authority
Revenue
Bonds
1,500
5.375
01/01/43
1,678
New
Jersey
Economic
Development
Authority
Revenue
Bonds
5,000
5.000
11/01/44
6,254
New
Jersey
Economic
Development
Authority
Revenue
Bonds
100
5.000
07/01/47
108
New
Jersey
Economic
Development
Authority
Revenue
Bonds
1,000
5.000
07/15/47
1,168
New
Jersey
Economic
Development
Authority
Revenue
Bonds
675
5.000
10/01/47
785
New
Jersey
Economic
Development
Authority
Revenue
Bonds
1,250
5.000
01/01/48
1,322
New
Jersey
Economic
Development
Authority
Revenue
Bonds
275
4.000
06/15/50
324
New
Jersey
Educational
Facilities
Authority
Revenue
Bonds
200
4.000
07/01/42
213
New
Jersey
Educational
Facilities
Authority
Revenue
Bonds
1,000
5.000
07/01/46
1,094
New
Jersey
Educational
Facilities
Authority
Revenue
Bonds
500
3.000
07/01/50
534
New
Jersey
Health
Care
Facilities
Financing
Authority
Revenue
Bonds
100
5.000
07/01/30
118
New
Jersey
Health
Care
Facilities
Financing
Authority
Revenue
Bonds
(µ)
300
4.125
07/01/38
329
New
Jersey
Health
Care
Facilities
Financing
Authority
Revenue
Bonds
(µ)
150
5.000
07/01/46
174
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
1,400
3.912
12/15/26
1,315
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
600
4.302
12/15/29
524
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
530
5.000
06/15/30
629
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
(µ)
2,160
4.168
12/15/30
1,855
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
290
5.000
06/15/31
343
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
257
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
370
4.000
12/15/31
441
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
790
4.403
12/15/32
637
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
(µ)
500
3.965
12/15/33
404
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
730
4.465
12/15/33
572
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
450
5.000
12/15/33
568
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
100
4.526
12/15/34
76
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
(µ)
975
4.823
12/15/34
768
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
370
5.000
12/15/35
466
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
(µ)
4,950
5.130
12/15/35
3,718
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
550
5.591
12/15/35
407
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
(µ)
150
4.342
12/15/36
110
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
3,755
4.668
12/15/36
2,701
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
460
5.000
12/15/36
578
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
2,250
4.000
06/15/37
2,701
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
6,735
4.649
12/15/37
4,698
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
925
5.000
06/15/38
1,078
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
320
4.250
12/15/38
378
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
1,060
5.000
06/15/42
1,104
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
400
4.000
06/15/44
460
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
185
3.500
06/15/46
201
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
300
3.000
06/15/50
317
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
4,000
4.000
06/15/50
4,712
New
Jersey
Turnpike
Authority
Revenue
Bonds
1,785
4.000
01/01/48
2,086
South
Jersey
Port
Corp.
Revenue
Bonds
1,645
5.000
01/01/36
1,994
South
Jersey
Port
Corp.
Revenue
Bonds
1,450
5.000
01/01/48
1,732
South
Jersey
Port
Corp.
Revenue
Bonds
3,000
5.000
01/01/49
3,621
South
Jersey
Transportation
Authority
LLC
Revenue
Bonds
315
5.000
11/01/26
360
South
Jersey
Transportation
Authority
LLC
Revenue
Bonds
945
5.000
11/01/39
1,054
South
Jersey
Transportation
Authority
LLC
Revenue
Bonds
4,500
4.000
11/01/50
5,250
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
2,080
5.000
06/01/46
2,488
Union
County
Improvement
Authority
Revenue
Bonds
(Þ)
600
6.750
12/01/41
637
75,279
New
Mexico
-
0.0%
Village
of
Los
Ranchos
de
Albuquerque
New
Mexico
Revenue
Bonds
50
4.000
09/01/33
59
Village
of
Los
Ranchos
de
Albuquerque
New
Mexico
Revenue
Bonds
75
4.000
09/01/40
88
147
New
York
-
8.5%
Brooklyn
Arena
Local
Development
Corp.
Revenue
Bonds
250
5.000
07/15/25
294
Brooklyn
Arena
Local
Development
Corp.
Revenue
Bonds
175
5.000
07/15/26
212
Brooklyn
Arena
Local
Development
Corp.
Revenue
Bonds
125
5.000
07/15/28
153
Brooklyn
Arena
Local
Development
Corp.
Revenue
Bonds
200
5.000
07/15/42
235
Brooklyn
Arena
Local
Development
Corp.
Revenue
Bonds
(µ)
30
3.000
07/15/43
31
Brooklyn
Arena
Local
Development
Corp.
Revenue
Bonds
75
Zero
coupon
07/15/46
39
Broome
County
Local
Development
Corp.
Revenue
Bonds
(µ)
180
4.000
04/01/50
210
Build
NYC
Resource
Corp.
Revenue
Bonds
(Þ)
100
2.500
06/15/31
102
Build
NYC
Resource
Corp.
Revenue
Bonds
25
4.000
06/15/36
29
Build
NYC
Resource
Corp.
Revenue
Bonds
100
4.000
06/15/51
110
Build
NYC
Resource
Corp.
Revenue
Bonds
(Þ)
350
5.000
06/15/51
422
Build
NYC
Resource
Corp.
Revenue
Bonds
(Þ)
250
5.000
12/01/51
289
Build
NYC
Resource
Corp.
Revenue
Bonds
(Þ)
100
5.000
12/01/55
115
City
of
New
York
General
Obligation
Unlimited
275
5.000
03/01/44
340
Dutchess
County
Local
Development
Corp.
Revenue
Bonds
(Þ)
275
5.000
07/01/45
342
Dutchess
County
Local
Development
Corp.
Revenue
Bonds
(Þ)
325
5.000
07/01/51
402
Erie
Tobacco
Asset
Securitization
Corp
(Þ)
4,000
Zero
coupon
06/01/60
217
Hempstead
Town
Local
Development
Corp.
Revenue
Bonds
25
5.000
07/01/30
30
Hempstead
Town
Local
Development
Corp.
Revenue
Bonds
35
5.000
07/01/33
42
Hempstead
Town
Local
Development
Corp.
Revenue
Bonds
35
5.000
07/01/35
42
Hempstead
Town
Local
Development
Corp.
Revenue
Bonds
30
5.000
07/01/36
36
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
258
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Hempstead
Town
Local
Development
Corp.
Revenue
Bonds
20
5.000
07/01/38
24
Huntington
Local
Development
Corp.
Revenue
Bonds
705
4.750
07/01/31
788
Huntington
Local
Development
Corp.
Revenue
Bonds
150
5.250
07/01/56
166
Jefferson
County
Civic
Facility
Development
Corp.
Revenue
Bonds
1,000
4.000
11/01/32
1,145
Metropolitan
Transportation
Authority
Revenue
Bonds
245
4.000
02/01/22
250
Metropolitan
Transportation
Authority
Revenue
Bonds
5,285
5.000
02/01/23
5,660
Metropolitan
Transportation
Authority
Revenue
Bonds
150
5.000
11/15/25
177
Metropolitan
Transportation
Authority
Revenue
Bonds
95
5.000
11/15/27
115
Metropolitan
Transportation
Authority
Revenue
Bonds
150
5.000
11/15/28
182
Metropolitan
Transportation
Authority
Revenue
Bonds
60
5.000
11/15/29
73
Metropolitan
Transportation
Authority
Revenue
Bonds
125
5.250
11/15/31
148
Metropolitan
Transportation
Authority
Revenue
Bonds
140
4.000
11/15/32
165
Metropolitan
Transportation
Authority
Revenue
Bonds
295
5.000
11/15/33
388
Metropolitan
Transportation
Authority
Revenue
Bonds
450
5.000
11/15/34
538
Metropolitan
Transportation
Authority
Revenue
Bonds
50
4.000
11/15/35
59
Metropolitan
Transportation
Authority
Revenue
Bonds
160
5.000
11/15/38
173
Metropolitan
Transportation
Authority
Revenue
Bonds
115
5.000
11/15/39
129
Metropolitan
Transportation
Authority
Revenue
Bonds
30
5.250
11/15/39
33
Metropolitan
Transportation
Authority
Revenue
Bonds
40
2.813
11/15/40
26
Metropolitan
Transportation
Authority
Revenue
Bonds
2,500
5.000
11/15/40
2,858
Metropolitan
Transportation
Authority
Revenue
Bonds
240
5.000
11/15/43
256
Metropolitan
Transportation
Authority
Revenue
Bonds
1,580
5.000
11/15/44
1,995
Metropolitan
Transportation
Authority
Revenue
Bonds
1,585
4.000
11/15/45
1,856
Metropolitan
Transportation
Authority
Revenue
Bonds
1,540
4.750
11/15/45
1,900
Metropolitan
Transportation
Authority
Revenue
Bonds
1,300
5.000
11/15/45
1,653
Metropolitan
Transportation
Authority
Revenue
Bonds
100
4.000
11/15/48
117
Metropolitan
Transportation
Authority
Revenue
Bonds
75
4.000
11/15/49
87
Metropolitan
Transportation
Authority
Revenue
Bonds
125
5.000
11/15/49
157
Metropolitan
Transportation
Authority
Revenue
Bonds
(~)(Ê)
10,980
0.010
11/15/50
10,980
Metropolitan
Transportation
Authority
Revenue
Bonds
5,000
4.000
11/15/50
5,833
Metropolitan
Transportation
Authority
Revenue
Bonds
340
5.000
11/15/50
425
Metropolitan
Transportation
Authority
Revenue
Bonds
(µ)
1,000
4.000
11/15/54
1,173
Metropolitan
Transportation
Authority
Revenue
Bonds
1,790
5.250
11/15/55
2,256
Metropolitan
Transportation
Authority
Revenue
Bonds
1,740
5.250
11/15/56
2,051
Nassau
County
Tobacco
Settlement
Corp.
Revenue
Bonds
12,290
Zero
coupon
06/01/60
1,012
New
York
City
Housing
Development
Corp.
Revenue
Bonds
600
3.500
02/15/48
609
New
York
City
Industrial
Development
Revenue
Bonds
(µ)
1,800
3.000
01/01/46
1,941
New
York
City
Industrial
Development
Revenue
Bonds
(µ)
250
3.000
03/01/49
264
New
York
City
Transitional
Finance
Authority
Futures
Tax
Secured
Revenue
Bonds
(~)(Ê)
4,200
1.450
08/01/45
4,200
New
York
City
Water
&
Sewer
System
Revenue
Bonds
2,000
4.000
06/15/40
2,384
New
York
City
Water
&
Sewer
System
Revenue
Bonds
400
3.000
06/15/51
436
New
York
Counties
Tobacco
Trust
IV
Revenue
Bonds
9,455
8.130
06/01/60
656
New
York
Liberty
Development
Corp.
Revenue
Bonds
(Þ)
1,655
5.000
11/15/44
1,835
New
York
Liberty
Development
Corp.
Revenue
Bonds
100
2.625
09/15/69
105
New
York
State
Dormitory
Authority
Revenue
Bonds
(Þ)
900
5.000
12/01/29
1,107
New
York
State
Dormitory
Authority
Revenue
Bonds
(Þ)
400
5.000
12/01/35
461
New
York
State
Dormitory
Authority
Revenue
Bonds
125
4.000
09/01/45
145
New
York
State
Dormitory
Authority
Revenue
Bonds
2,055
3.000
03/15/48
2,225
New
York
State
Dormitory
Authority
Revenue
Bonds
3,300
3.000
03/15/49
3,568
New
York
State
Dormitory
Authority
Revenue
Bonds
4,300
4.000
07/01/50
5,076
New
York
State
Dormitory
Authority
Revenue
Bonds
(µ)
355
3.000
09/01/50
376
New
York
State
Dormitory
Authority
Revenue
Bonds
330
4.000
09/01/50
380
New
York
State
Dormitory
Authority
Revenue
Bonds
4,600
4.000
03/15/57
5,420
New
York
State
Environmental
Facilities
Corp.
Revenue
Bonds
(~)(ae)(Ê)
500
2.750
09/01/50
530
New
York
State
Urban
Development
Corp.
Revenue
Bonds
10,000
4.000
03/15/34
12,303
New
York
Transportation
Development
Corp.
Revenue
Bonds
170
2.250
08/01/26
176
New
York
Transportation
Development
Corp.
Revenue
Bonds
1,500
5.000
08/01/26
1,504
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
259
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
New
York
Transportation
Development
Corp.
Revenue
Bonds
70
5.000
01/01/29
87
New
York
Transportation
Development
Corp.
Revenue
Bonds
1,000
5.000
01/01/30
1,240
New
York
Transportation
Development
Corp.
Revenue
Bonds
575
4.000
10/01/30
697
New
York
Transportation
Development
Corp.
Revenue
Bonds
70
5.000
12/01/30
93
New
York
Transportation
Development
Corp.
Revenue
Bonds
50
5.000
01/01/31
62
New
York
Transportation
Development
Corp.
Revenue
Bonds
280
3.000
08/01/31
303
New
York
Transportation
Development
Corp.
Revenue
Bonds
1,455
5.250
08/01/31
1,769
New
York
Transportation
Development
Corp.
Revenue
Bonds
100
5.000
01/01/33
123
New
York
Transportation
Development
Corp.
Revenue
Bonds
1,315
4.000
07/01/33
1,433
New
York
Transportation
Development
Corp.
Revenue
Bonds
55
5.000
12/01/33
72
New
York
Transportation
Development
Corp.
Revenue
Bonds
1,180
5.000
10/01/35
1,534
New
York
Transportation
Development
Corp.
Revenue
Bonds
50
5.000
12/01/35
65
New
York
Transportation
Development
Corp.
Revenue
Bonds
1,825
4.000
01/01/36
2,106
New
York
Transportation
Development
Corp.
Revenue
Bonds
430
5.375
08/01/36
554
New
York
Transportation
Development
Corp.
Revenue
Bonds
40
5.000
12/01/37
52
New
York
Transportation
Development
Corp.
Revenue
Bonds
140
4.000
12/01/39
168
New
York
Transportation
Development
Corp.
Revenue
Bonds
2,975
5.000
10/01/40
3,823
New
York
Transportation
Development
Corp.
Revenue
Bonds
125
4.000
12/01/40
150
New
York
Transportation
Development
Corp.
Revenue
Bonds
110
4.000
12/01/41
132
New
York
Transportation
Development
Corp.
Revenue
Bonds
160
4.000
12/01/42
191
New
York
Transportation
Development
Corp.
Revenue
Bonds
3,325
4.375
10/01/45
3,998
New
York
Transportation
Development
Corp.
Revenue
Bonds
(µ)
1,000
4.000
07/01/46
1,095
New
York
Transportation
Development
Corp.
Revenue
Bonds
975
5.000
07/01/46
1,096
New
York
Transportation
Development
Corp.
Revenue
Bonds
185
4.000
10/31/46
219
New
York
Transportation
Development
Corp.
Revenue
Bonds
3,825
5.250
01/01/50
4,332
New
York
Transportation
Development
Corp.
Revenue
Bonds
1,100
4.000
04/30/53
1,298
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
30
4.000
12/01/32
36
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
35
4.000
12/01/33
41
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
50
4.000
12/01/34
59
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
30
4.000
12/01/35
35
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
40
4.000
12/01/36
47
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
60
4.000
12/01/37
71
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
30
4.000
12/01/38
35
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
215
3.000
12/01/39
232
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
60
3.000
12/01/40
64
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
120
4.000
12/01/49
138
Port
Authority
of
New
York
&
New
Jersey
Revenue
Bonds
430
4.000
07/15/46
515
Port
Authority
of
New
York
&
New
Jersey
Revenue
Bonds
265
4.000
07/15/55
311
Port
Authority
of
New
York
&
New
Jersey
Revenue
Bonds
100
5.000
07/15/56
128
Port
Authority
of
New
York
&
New
Jersey
Revenue
Bonds
315
4.000
07/15/60
368
Port
Authority
of
New
York
&
New
Jersey
Revenue
Bonds
600
4.000
07/15/61
709
Suffolk
Tobacco
Asset
Securitization
Corp.
Revenue
Bonds
2,350
6.625
06/01/44
2,411
Suffolk
Tobacco
Asset
Securitization
Corp.
Revenue
Bonds
250
6.000
06/01/48
250
TSASC,
Inc.
Revenue
Bonds
2,500
5.000
06/01/48
2,772
Westchester
County
Local
Development
Corp.
Revenue
Bonds
125
5.000
11/01/46
145
Yonkers
Economic
Development
Corp.
Revenue
Bonds
25
5.000
10/15/39
30
Yonkers
Economic
Development
Corp.
Revenue
Bonds
50
5.000
10/15/40
61
Yonkers
Economic
Development
Corp.
Revenue
Bonds
30
5.000
10/15/49
35
Yonkers
Economic
Development
Corp.
Revenue
Bonds
75
5.000
10/15/50
89
Yonkers
Economic
Development
Corp.
Revenue
Bonds
30
5.000
10/15/54
35
129,550
North
Carolina
-
0.8%
City
of
Charlotte
Airport
Special
Facilities
Revenue
Bonds
1,000
3.000
07/01/46
1,095
North
Carolina
Department
of
Transportation
Revenue
Bonds
75
5.000
12/31/37
84
North
Carolina
Medical
Care
Commission
Revenue
Bonds
1,100
4.000
03/01/41
1,225
North
Carolina
Medical
Care
Commission
Revenue
Bonds
1,620
5.000
10/01/42
1,776
North
Carolina
Medical
Care
Commission
Revenue
Bonds
1,105
5.000
07/01/44
1,253
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
260
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
North
Carolina
Medical
Care
Commission
Revenue
Bonds
50
5.000
10/01/45
57
North
Carolina
Medical
Care
Commission
Revenue
Bonds
25
4.000
09/01/46
29
North
Carolina
Medical
Care
Commission
Revenue
Bonds
1,000
5.000
01/01/49
1,155
North
Carolina
Medical
Care
Commission
Revenue
Bonds
100
5.000
10/01/50
114
North
Carolina
Medical
Care
Commission
Revenue
Bonds
350
4.000
03/01/51
385
North
Carolina
Medical
Care
Commission
Revenue
Bonds
925
4.000
09/01/51
1,075
North
Carolina
Turnpike
Authority
Revenue
Bonds
2,000
5.000
01/01/49
2,463
North
Carolina
Turnpike
Authority
Revenue
Bonds
1,000
5.000
07/01/51
1,145
North
Carolina
Turnpike
Authority
Revenue
Bonds
50
4.000
01/01/55
57
11,913
North
Dakota
-
0.3%
County
of
Burleigh
North
Dakota
Revenue
Bonds
705
5.200
04/15/46
750
County
of
Ward
Health
Care
Facilities
Revenue
Bonds
1,000
5.000
06/01/38
1,171
County
of
Ward
Health
Care
Facilities
Revenue
Bonds
2,500
5.000
06/01/48
2,887
4,808
Ohio
-
3.9%
Akron
Bath
Copley
Joint
Township
Hospital
District
Revenue
Bonds
3,000
5.250
11/15/46
3,603
Buckeye
Tobacco
Settlement
Financing
Authority
Revenue
Bonds
40
4.000
06/01/37
48
Buckeye
Tobacco
Settlement
Financing
Authority
Revenue
Bonds
55
4.000
06/01/38
66
Buckeye
Tobacco
Settlement
Financing
Authority
Revenue
Bonds
55
4.000
06/01/39
66
Buckeye
Tobacco
Settlement
Financing
Authority
Revenue
Bonds
300
3.000
06/01/48
319
Buckeye
Tobacco
Settlement
Financing
Authority
Revenue
Bonds
2,480
4.000
06/01/48
2,901
Buckeye
Tobacco
Settlement
Financing
Authority
Revenue
Bonds
16,705
5.000
06/01/55
19,646
Buckeye
Tobacco
Settlement
Financing
Authority
Revenue
Bonds
7,075
6.259
06/01/57
1,172
Centerville
Health
Care
Revenue
Bonds
100
5.250
11/01/37
113
Centerville
Health
Care
Revenue
Bonds
150
5.250
11/01/50
168
Cleveland-Cuyahoga
County
Port
Authority
Revenue
Bonds
1,000
4.000
08/01/44
1,164
Columbus-Franklin
County
Finance
Authority
Revenue
Bonds
1,485
4.000
11/15/38
1,512
County
of
Darke
Revenue
Bonds
50
4.000
09/01/40
54
County
of
Darke
Revenue
Bonds
50
4.000
09/01/45
54
County
of
Darke
Revenue
Bonds
75
5.000
09/01/49
87
County
of
Franklin
Revenue
Bonds
520
5.250
11/15/55
597
County
of
Lucas
Hospital
Revenue
Bonds
1,650
5.250
11/15/48
2,024
Cuyahoga
County
Hospital
Revenue
Bonds
1,000
5.000
02/15/37
1,178
Cuyahoga
County
Hospital
Revenue
Bonds
2,140
5.000
02/15/42
2,502
Cuyahoga
County
Hospital
Revenue
Bonds
2,000
5.000
02/15/57
2,315
Cuyahoga
County
Hospital
Revenue
Bonds
2,000
5.500
02/15/57
2,379
Franklin
County
Convention
Facilities
Authority
Revenue
Bonds
350
5.000
12/01/35
434
Franklin
County
Convention
Facilities
Authority
Revenue
Bonds
850
5.000
12/01/51
1,025
Northeast
Ohio
Medical
University
Revenue
Bonds
25
3.000
12/01/40
26
Northeast
Ohio
Medical
University
Revenue
Bonds
25
4.000
12/01/45
29
Ohio
Air
Quality
Development
Authority
Revenue
Bonds
(Þ)
100
3.750
01/15/28
113
Ohio
Air
Quality
Development
Authority
Revenue
Bonds
230
3.250
09/01/29
257
Ohio
Air
Quality
Development
Authority
Revenue
Bonds
(Þ)
120
4.250
01/15/38
140
Ohio
Air
Quality
Development
Authority
Revenue
Bonds
(Þ)
1,190
4.500
01/15/48
1,403
Ohio
Higher
Educational
Facility
Commission
Revenue
Bonds
1,385
5.250
12/01/43
1,595
Ohio
Higher
Educational
Facility
Commission
Revenue
Bonds
2,000
5.000
11/01/44
2,311
Ohio
Higher
Educational
Facility
Commission
Revenue
Bonds
500
5.000
01/15/45
619
Ohio
Higher
Educational
Facility
Commission
Revenue
Bonds
300
5.000
12/01/50
353
Port
of
Greater
Cincinnati
Development
Authority
Revenue
Bonds
3,175
5.000
11/15/45
3,778
Port
of
Greater
Cincinnati
Development
Authority
Revenue
Bonds
(Þ)
125
4.250
12/01/50
128
Southern
Ohio
Port
Authority
Revenue
Bonds
(Þ)
275
6.500
12/01/30
324
Southern
Ohio
Port
Authority
Revenue
Bonds
(Þ)
625
7.000
12/01/42
729
State
of
Ohio
Revenue
Bonds
(Þ)
110
5.000
12/01/38
119
State
of
Ohio
Revenue
Bonds
350
3.000
01/15/45
375
State
of
Ohio
Revenue
Bonds
(Þ)
275
5.000
12/01/48
294
State
of
Ohio
Revenue
Bonds
1,940
4.000
01/15/50
2,258
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
261
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Toledo-Lucas
Port
Authority
Revenue
Bonds
925
5.000
07/01/39
998
59,276
Oklahoma
-
0.4%
Norman
Regional
Hospital
Authority
Revenue
Bonds
1,500
5.000
09/01/37
1,768
Oklahoma
Development
Finance
Authority
Revenue
Bonds
2,040
5.000
08/01/47
204
Oklahoma
Development
Finance
Authority
Revenue
Bonds
(µ)
500
4.000
08/15/52
559
Oklahoma
Development
Finance
Authority
Revenue
Bonds
660
5.250
08/01/57
66
Oklahoma
Development
Finance
Authority
Revenue
Bonds
500
5.500
08/15/57
620
Tulsa
Airports
Improvement
Trust
Revenue
Bonds
(~)(ae)(Ê)
1,305
5.000
06/01/35
1,476
Tulsa
County
Industrial
Authority
Revenue
Bonds
1,000
5.250
11/15/37
1,170
5,863
Oregon
-
0.6%
Astoria
Hospital
Facilities
Authority
Revenue
Bonds
740
5.000
08/01/41
873
Clackamas
County
Hospital
Facility
Authority
Revenue
Bonds
500
5.125
11/15/40
559
Clackamas
County
Hospital
Facility
Authority
Revenue
Bonds
25
5.375
11/15/55
28
Medford
Hospital
Facilities
Authority
Revenue
Bonds
(µ)
275
4.000
08/15/45
328
Medford
Hospital
Facilities
Authority
Revenue
Bonds
100
5.000
08/15/45
129
Medford
Hospital
Facilities
Authority
Revenue
Bonds
215
4.000
08/15/50
253
Medford
Hospital
Facilities
Authority
Revenue
Bonds
810
5.000
08/15/50
1,041
Oregon
State
Facilities
Authority
Revenue
Bonds
(Þ)
1,000
5.000
10/01/36
1,090
Oregon
State
Facilities
Authority
Revenue
Bonds
2,500
5.000
04/01/45
2,863
Oregon
State
Facilities
Authority
Revenue
Bonds
(ae)
500
5.000
10/01/46
582
Oregon
State
Facilities
Authority
Revenue
Bonds
(Þ)
1,000
5.000
10/01/48
1,084
Oregon
State
Facilities
Authority
Revenue
Bonds
300
4.000
10/01/51
352
Yamhill
County
Hospital
Authority
Revenue
Bonds
100
5.000
11/15/46
118
9,300
Pennsylvania
-
4.9%
Allegheny
County
Hospital
Development
Authority
Revenue
Bonds
1,865
4.000
04/01/44
2,131
Allegheny
County
Industrial
Development
Authority
Revenue
Bonds
250
4.875
11/01/24
272
Allegheny
County
Industrial
Development
Authority
Revenue
Bonds
150
5.125
05/01/30
183
Allentown
Neighborhood
Improvement
Zone
Development
Authority
Revenue
Bonds
(Þ)
815
5.000
05/01/28
987
Allentown
Neighborhood
Improvement
Zone
Development
Authority
Revenue
Bonds
(Þ)
500
5.000
05/01/32
591
Allentown
Neighborhood
Improvement
Zone
Development
Authority
Revenue
Bonds
(Þ)
1,000
5.000
05/01/33
1,205
Allentown
Neighborhood
Improvement
Zone
Development
Authority
Revenue
Bonds
(Þ)
3
,500
5.000
05/01/42
4,087
Allentown
Neighborhood
Improvement
Zone
Development
Authority
Revenue
Bonds
1
,
0
00
5.000
05/01/42
1,027
Allentown
Neighborhood
Improvement
Zone
Development
Authority
Revenue
Bonds
(Þ)
490
6.000
05/01/42
622
Berks
County
Industrial
Development
Authority
Revenue
Bonds
50
5.000
11/01/29
57
Berks
County
Industrial
Development
Authority
Revenue
Bonds
110
5.000
11/01/30
125
Berks
County
Industrial
Development
Authority
Revenue
Bonds
75
5.000
11/01/34
84
Berks
County
Industrial
Development
Authority
Revenue
Bonds
375
4.000
11/01/47
383
Berks
County
Industrial
Development
Authority
Revenue
Bonds
750
5.000
11/01/47
830
Berks
County
Municipal
Authority
Revenue
Bonds
300
5.000
11/01/44
305
Berks
County
Municipal
Authority
Revenue
Bonds
1,225
5.000
10/01/49
1,387
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
100
5.000
10/01/37
114
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
250
4.000
07/01/46
288
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
400
4.000
07/01/51
458
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
2,245
5.000
07/01/54
2,787
Chester
County
Health
&
Education
Facilities
Authority
Revenue
Bonds
795
5.000
11/01/24
812
Chester
County
Health
&
Education
Facilities
Authority
Revenue
Bonds
625
5.000
11/01/25
639
Chester
County
Health
&
Education
Facilities
Authority
Revenue
Bonds
1,985
5.000
11/01/37
1,927
Chester
County
Industrial
Development
Authority
Revenue
Bonds
600
4.000
12/01/46
721
Chester
County
Industrial
Development
Authority
Revenue
Bonds
455
4.000
12/01/51
545
Chester
County
Industrial
Development
Authority
Revenue
Bonds
1,255
5.000
12/15/51
1,420
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
262
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
City
of
Erie
Higher
Education
Building
Authority
Revenue
Bonds
2,065
5.000
09/15/33
2,282
City
of
Harrisburg
General
Obligation
Unlimited
(µ)
285
4.697
09/15/22
273
City
of
Philadelphia
Airport
Revenue
Bonds
1,000
5.000
07/01/51
1,281
City
of
Philadelphia
General
Obligation
Unlimited
(~)(Ê)
3,025
0.140
08/01/31
3,025
City
of
Scranton
General
Obligation
Unlimited
(Þ)
1,275
5.000
09/01/28
1,473
Clairton
Municipal
Authority
Revenue
Bonds
240
5.000
12/01/42
251
Commonwealth
Financing
Authority
Revenue
Bonds
100
5.000
06/01/34
124
Commonwealth
Financing
Authority
Revenue
Bonds
185
5.000
06/01/35
229
Commonwealth
Financing
Authority
Revenue
Bonds
(µ)
1,525
4.000
06/01/39
1,766
Dauphin
County
General
Authority
Revenue
Bonds
(Þ)
850
5.875
10/15/40
1,051
Dauphin
County
General
Authority
Revenue
Bonds
(Þ)
1,000
5.125
10/15/41
1,142
Dauphin
County
General
Authority
Revenue
Bonds
(Þ)
2,100
6.250
10/15/53
2,610
Doylestown
Hospital
Authority
Revenue
Bonds
315
3.950
07/01/24
318
East
Hempfield
Township
Industrial
Development
Authority
Revenue
Bonds
600
5.000
07/01/45
655
Franklin
County
Industrial
Development
Authority
Revenue
Bonds
100
5.000
12/01/43
109
Franklin
County
Industrial
Development
Authority
Revenue
Bonds
100
5.000
12/01/48
108
Franklin
County
Industrial
Development
Authority
Revenue
Bonds
510
5.000
12/01/49
552
Franklin
County
Industrial
Development
Authority
Revenue
Bonds
150
5.000
12/01/53
162
Geisinger
Authority
Revenue
Bonds
(USD
3
Month
LIBOR
+
0.770%)(Ê)
100
1.230
05/01/37
97
General
Authority
of
Southcentral
Pennsylvania
Revenue
Bonds
75
4.000
06/01/44
87
General
Authority
of
Southcentral
Pennsylvania
Revenue
Bonds
125
5.000
06/01/44
158
General
Authority
of
Southcentral
Pennsylvania
Revenue
Bonds
(Þ)
1,765
6.500
07/15/48
2,127
Hospitals
&
Higher
Education
Facilities
Authority
of
Philadelphia
Revenue
Bonds
500
5.000
07/01/28
604
Hospitals
&
Higher
Education
Facilities
Authority
of
Philadelphia
Revenue
Bonds
500
5.000
07/01/33
593
Hospitals
&
Higher
Education
Facilities
Authority
of
Philadelphia
Revenue
Bonds
100
5.625
07/01/42
104
Huntingdon
County
General
Authority
Revenue
Bonds
1,000
5.000
05/01/46
1,132
Lancaster
County
Hospital
Authority
Revenue
Bonds
1,000
5.250
07/01/41
1,156
Latrobe
Industrial
Development
Authority
Revenue
Bonds
1,375
5.000
05/01/43
1,445
Latrobe
Industrial
Development
Authority
Revenue
Bonds
125
4.000
03/01/46
138
Latrobe
Industrial
Development
Authority
Revenue
Bonds
125
4.000
03/01/51
137
Montgomery
County
Higher
Education
&
Health
Authority
Revenue
Bonds
1,500
5.000
12/01/37
1,701
Montgomery
County
Industrial
Development
Authority
Revenue
Bonds
1,530
5.000
11/15/36
1,809
Montgomery
County
Industrial
Development
Authority
Revenue
Bonds
135
5.000
11/15/45
165
Montgomery
County
Industrial
Development
Authority
Revenue
Bonds
1,700
5.250
01/15/46
1,925
Northampton
County
General
Purpose
Authority
Revenue
Bonds
1,000
5.000
10/01/36
1,163
Northeastern
Pennsylvania
Hospital
&
Education
Authority
Revenue
Bonds
55
5.000
05/01/44
66
Northeastern
Pennsylvania
Hospital
&
Education
Authority
Revenue
Bonds
75
5.000
05/01/49
89
Pennsylvania
Economic
Development
Financing
Authority
Revenue
Bonds
(Þ)
153
5.750
06/01/36
153
Pennsylvania
Economic
Development
Financing
Authority
Revenue
Bonds
1,050
4.000
07/01/41
1,193
Pennsylvania
Economic
Development
Financing
Authority
Revenue
Bonds
1,250
5.000
06/30/42
1,454
Pennsylvania
Economic
Development
Financing
Authority
Revenue
Bonds
1,500
0.200
08/01/45
1,500
Pennsylvania
Economic
Development
Financing
Authority
Revenue
Bonds
150
4.000
07/01/46
169
Pennsylvania
Higher
Educational
Facilities
Authority
Revenue
Bonds
365
6.250
09/01/33
400
Pennsylvania
Higher
Educational
Facilities
Authority
Revenue
Bonds
950
5.500
07/15/43
1,048
Pennsylvania
Higher
Educational
Facilities
Authority
Revenue
Bonds
(µ)
1,500
4.000
05/01/50
1,774
Pennsylvania
Turnpike
Commission
Revenue
Bonds
1,250
5.000
12/01/40
1,456
Pennsylvania
Turnpike
Commission
Revenue
Bonds
2,140
5.250
12/01/44
2,775
Pennsylvania
Turnpike
Commission
Revenue
Bonds
1,000
5.250
06/01/47
1,234
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
(Þ)
900
5.000
06/15/40
1,071
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
(Þ)
20
0
5.000
06/15/50
235
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
15
0
5.000
06/15/50
165
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
100
5.000
08/01/50
122
Scranton
Redevelopment
Authority
Revenue
Bonds
100
5.000
11/15/28
103
Scranton
School
District
General
Obligation
Limited.
(µ)
2,025
4.250
06/01/37
2,242
Susquehanna
Area
Regional
Airport
Authority
Revenue
Bonds
200
5.000
01/01/38
236
Washington
County
Redevelopment
Authority
Tax
Allocation
265
5.000
07/01/28
290
West
Cornwall
Township
Municipal
Authority
Revenue
Bonds
365
4.000
11/15/36
432
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
263
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
West
Cornwall
Township
Municipal
Authority
Revenue
Bonds
370
4.000
11/15/41
434
West
Cornwall
Township
Municipal
Authority
Revenue
Bonds
525
4.000
11/15/46
610
Westmoreland
County
Industrial
Development
Authority
Revenue
Bonds
80
4.000
07/01/37
96
75,286
Puerto
Rico
-
7.5%
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited(Ø)
185
3.500
07/01/17
173
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited(Ø)
1,250
4.000
07/01/21
1,093
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited(Ø)
110
5.000
07/01/21
104
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited(Ø)
120
5.000
07/01/24
114
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited
80
5.250
07/01/25
75
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited(Ø)
1,000
5.000
07/01/27
949
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited
775
6.000
07/01/29
741
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited
(µ)
100
5.000
07/01/31
103
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited
130
5.125
07/01/31
123
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited(Ø)
1,970
6.000
07/01/32
1,817
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited
1,000
5.000
07/01/33
950
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited(Ø)
210
5.250
07/01/34
201
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited
235
5.000
07/01/35
223
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited
6,245
8.000
07/01/35
5,324
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited(Ø)
725
5.875
07/01/36
687
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited(Ø)
3,580
5.250
07/01/37
3,405
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited(Ø)
385
6.000
07/01/38
370
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited(Ø)
225
6.000
07/01/40
206
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited(Ø)
1,050
5.000
07/01/41
904
GDB
Debt
Recovery
Authority
of
Puerto
Rico
Revenue
Bonds
9,339
7.500
08/20/40
8,733
Puerto
Rico
Commonwealth
Aqueduct
&
Sewer
Authority
Revenue
Bonds
30
4.250
07/01/25
31
Puerto
Rico
Commonwealth
Aqueduct
&
Sewer
Authority
Revenue
Bonds
20
5.000
07/01/30
21
Puerto
Rico
Commonwealth
Aqueduct
&
Sewer
Authority
Revenue
Bonds
110
5.000
07/01/33
115
Puerto
Rico
Commonwealth
Aqueduct
&
Sewer
Authority
Revenue
Bonds
(Þ)
2,000
5.000
07/01/35
2,470
Puerto
Rico
Commonwealth
Aqueduct
&
Sewer
Authority
Revenue
Bonds
750
5.125
07/01/37
783
Puerto
Rico
Commonwealth
Aqueduct
&
Sewer
Authority
Revenue
Bonds
6,735
5.250
07/01/42
7,040
Puerto
Rico
Commonwealth
Aqueduct
&
Sewer
Authority
Revenue
Bonds
(Þ)
1,250
5.000
07/01/47
1,510
Puerto
Rico
Commonwealth
Aqueduct
&
Sewer
Authority
Revenue
Bonds
200
6.000
07/01/47
210
Puerto
Rico
Convention
Center
District
Authority
Revenue
Bonds
(µ)
2,100
5.000
07/01/31
2,151
Puerto
Rico
Electric
Power
Authority
Revenue
Bonds
(µ)
565
5.000
07/01/22
573
Puerto
Rico
Electric
Power
Authority
Revenue
Bonds(Ø)
775
4.750
07/01/26
756
Puerto
Rico
Electric
Power
Authority
Revenue
Bonds
1,685
5.250
07/01/27
1,656
Puerto
Rico
Electric
Power
Authority
Revenue
Bonds
2,275
5.000
07/01/28
2,227
Puerto
Rico
Electric
Power
Authority
Revenue
Bonds
5,000
5.250
07/01/28
4,912
Puerto
Rico
Electric
Power
Authority
Revenue
Bonds
(USD
3
Month
LIBOR
+
0.520%)(µ)(Ê)
2,865
1.480
07/01/29
2,670
Puerto
Rico
Electric
Power
Authority
Revenue
Bonds
3,520
5.000
07/01/32
3,444
Puerto
Rico
Electric
Power
Authority
Revenue
Bonds
(µ)
100
5.250
07/01/32
108
Puerto
Rico
Electric
Power
Authority
Revenue
Bonds
(µ)
355
4.750
07/01/33
361
Puerto
Rico
Electric
Power
Authority
Revenue
Bonds
425
5.250
07/01/40
418
Puerto
Rico
Electric
Power
Authority
Revenue
Bonds
1,000
7.000
07/01/43
1,009
Puerto
Rico
Electric
Power
Authority
Revenue
Bonds
650
5.250
07/01/49
634
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
100
5.000
07/01/24
53
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
200
5.500
07/01/24
106
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
50
5.000
07/01/25
27
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
50
5.000
07/01/26
27
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
345
5.500
07/01/26
196
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
100
5.000
07/01/27
53
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
420
5.000
07/01/28
379
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
140
5.500
07/01/29
165
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
575
5.000
07/01/30
305
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
515
5.250
07/01/31
562
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
10
5.500
07/01/31
12
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
264
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds(Ø)
205
5.000
07/01/32
109
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
25
5.250
07/01/32
28
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(Ø)
(µ)
525
5.250
07/01/33
590
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
270
5.250
07/01/34
302
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
65
5.250
07/01/35
71
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
1,690
5.250
07/01/36
1,903
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
175
5.000
07/01/37
93
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
160
4.750
07/01/38
163
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
4,510
5.250
07/01/38
4,904
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
760
5.250
07/01/41
871
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
230
5.000
07/01/42
122
Puerto
Rico
Infrastructure
Financing
Authority
Revenue
Bonds
(µ)
335
5.500
07/01/25
362
Puerto
Rico
Infrastructure
Financing
Authority
Revenue
Bonds
(µ)
55
5.620
07/01/28
42
Puerto
Rico
Infrastructure
Financing
Authority
Revenue
Bonds
(µ)
310
5.620
07/01/29
228
Puerto
Rico
Infrastructure
Financing
Authority
Revenue
Bonds
(µ)
730
6.302
07/01/35
403
Puerto
Rico
Infrastructure
Financing
Authority
Revenue
Bonds
1,000
5.000
07/01/37
1,036
Puerto
Rico
Infrastructure
Financing
Authority
Revenue
Bonds
(µ)
160
5.601
07/01/37
80
Puerto
Rico
Public
Buildings
Authority
Revenue
Bonds(Ø)
110
5.750
07/01/17
117
Puerto
Rico
Public
Buildings
Authority
Revenue
Bonds(Ø)
300
5.750
07/01/18
319
Puerto
Rico
Public
Buildings
Authority
Revenue
Bonds(Ø)
370
5.250
07/01/25
390
Puerto
Rico
Public
Buildings
Authority
Revenue
Bonds
1,095
5.000
07/01/32
1,142
Puerto
Rico
Public
Buildings
Authority
Revenue
Bonds
2,450
5.250
07/01/33
2,554
Puerto
Rico
Public
Buildings
Authority
Revenue
Bonds
1,000
5.500
07/01/37
1,049
Puerto
Rico
Public
Buildings
Authority
Revenue
Bonds
2,005
5.250
07/01/42
1,945
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
93
3.941
07/01/24
90
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
475
5.250
08/01/24
472
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
394
4.030
07/01/27
361
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
273
3.071
07/01/29
238
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
249
4.491
07/01/31
201
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
585
3.450
07/01/33
439
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
220
4.500
07/01/34
244
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
8,023
4.329
07/01/40
9,119
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
221
4.550
07/01/40
254
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
4,876
5.709
07/01/46
1,634
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
8,659
5.772
07/01/51
2,097
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
32
4.536
07/01/53
36
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
1,665
4.750
07/01/53
1,910
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
674
4.784
07/01/58
777
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
14,848
5.000
07/01/58
17,315
115,289
Rhode
Island
-
0.2%
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
3,450
6.959
06/01/52
568
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
12,000
8.861
06/01/52
1,869
2,437
South
Carolina
-
0.6%
Berkeley
County
Special
Assessment
500
4.000
11/01/30
577
South
Carolina
Jobs-Economic
Development
Authority
Revenue
Bonds
100
8.750
07/01/25
100
South
Carolina
Jobs-Economic
Development
Authority
Revenue
Bonds
135
5.000
11/15/47
157
South
Carolina
Jobs-Economic
Development
Authority
Revenue
Bonds
1,465
5.250
11/15/52
1,616
South
Carolina
Public
Service
Authority
Revenue
Bonds
2,865
5.000
12/01/39
3,267
South
Carolina
Public
Service
Authority
Revenue
Bonds
1,350
5.000
12/01/46
1,540
South
Carolina
Public
Service
Authority
Revenue
Bonds
250
5.250
12/01/55
296
South
Carolina
Transportation
Infrastructure
Bank
Revenue
Bonds
1,800
2.250
10/01/32
1,849
South
Carolina
Transportation
Infrastructure
Bank
Revenue
Bonds
(ae)
125
5.250
07/01/55
149
9,551
South
Dakota
-
0.2%
County
of
Lincoln
Revenue
Bonds
1,940
4.000
08/01/41
2,234
County
of
Lincoln
Revenue
Bonds
75
4.000
08/01/56
84
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
265
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
County
of
Lincoln
Revenue
Bonds
100
4.000
08/01/61
112
2,430
Tennessee
-
0.5%
Chattanooga
Health
Educational
&
Housing
Facility
Board
Revenue
Bonds
335
4.000
08/01/44
391
Chattanooga
Health
Educational
&
Housing
Facility
Board
Revenue
Bonds
100
5.000
08/01/49
125
Chattanooga-Hamilton
County
Hospital
Authority
Revenue
Bonds
2,000
5.000
10/01/44
2,243
City
of
Clarksville
Water
Sewer
&
Gas
Revenue
Bonds
900
4.000
02/01/51
1,076
Greenville
Health
&
Educational
Facilities
Board
Revenue
Bonds
275
4.000
07/01/40
319
Johnson
City
Health
&
Educational
Facilities
Board
Revenue
Bonds
1,000
5.000
08/15/42
1,039
Memphis-Shelby
County
Industrial
Development
Board
Tax
Allocation
100
5.625
01/01/46
98
Metropolitan
Government
Nashville
&
Davidson
County
Health
&
Educational
Facilities
Board
Revenue
Bonds
20
5.000
10/01/29
25
Metropolitan
Government
Nashville
&
Davidson
County
Health
&
Educational
Facilities
Board
Revenue
Bonds
35
5.000
10/01/39
44
Metropolitan
Government
Nashville
&
Davidson
County
Health
&
Educational
Facilities
Board
Revenue
Bonds
100
5.000
07/01/40
120
Metropolitan
Government
Nashville
&
Davidson
County
Health
&
Educational
Facilities
Board
Revenue
Bonds
1,000
5.000
10/01/41
1,159
Metropolitan
Government
Nashville
&
Davidson
County
Health
&
Educational
Facilities
Board
Revenue
Bonds
100
5.000
07/01/46
119
Metropolitan
Government
Nashville
&
Davidson
County
Health
&
Educational
Facilities
Board
Revenue
Bonds
50
5.000
10/01/48
62
6,820
Texas
-
5.7%
Arlington
Higher
Education
Finance
Corp.
Revenue
Bonds
25
4.000
08/15/36
28
Arlington
Higher
Education
Finance
Corp.
Revenue
Bonds
50
4.000
08/15/41
55
Arlington
Higher
Education
Finance
Corp.
Revenue
Bonds
50
4.000
08/15/46
55
Arlington
Higher
Education
Finance
Corp.
Revenue
Bonds
520
3.000
08/15/49
559
Austin
Convention
Enterprises,
Inc.
Revenue
Bonds
100
5.000
01/01/29
116
Bexar
County
Health
Facilities
Development
Corp.
Revenue
Bonds
750
5.000
07/15/37
832
Bexar
County
Health
Facilities
Development
Corp.
Revenue
Bonds
600
5.000
07/15/42
662
Board
of
Managers
Joint
Guadalupe
County-City
of
Seguin
Hospital
Revenue
Bonds
50
5.250
12/01/35
56
Board
of
Managers
Joint
Guadalupe
County-City
of
Seguin
Hospital
Revenue
Bonds
65
5.000
12/01/40
71
Board
of
Managers
Joint
Guadalupe
County-City
of
Seguin
Hospital
Revenue
Bonds
50
5.000
12/01/45
54
Calhoun
County
Navigation
Industrial
Development
Authority
Revenue
Bonds
(Þ)
1,000
3.625
07/01/26
1,035
Calhoun
County
Navigation
Industrial
Development
Authority
Revenue
Bonds
(Þ)
1,000
6.500
07/01/26
1,022
Cedar
Bayou
Navigation
District
Special
Assessment
(Þ)
585
6.000
09/15/51
636
Central
Texas
Regional
Mobility
Authority
Revenue
Bonds
1,000
4.000
01/01/41
1,107
Central
Texas
Regional
Mobility
Authority
Revenue
Bonds
275
5.000
01/01/45
336
Central
Texas
Regional
Mobility
Authority
Revenue
Bonds
100
5.000
01/01/46
117
Central
Texas
Turnpike
System
Revenue
Bonds
3,000
5.000
08/15/42
3,334
City
of
Anna
Special
Assessment
(Þ)
136
4.250
09/15/51
136
City
of
Anna
Special
Assessment
(Þ)
504
5.000
09/15/51
504
City
of
Aubrey
Revenue
Bonds
650
7.250
09/01/45
699
City
of
Austin
Water
Utility
Improvement
District
Special
Assessment
Revenue
Bonds
(Þ)
330
5.125
11/01/33
366
City
of
Celina
Special
Assessment
(µ)
190
4.000
09/01/30
212
City
of
Celina
Special
Assessment
(µ)
1,020
3.000
09/01/35
1,048
City
of
Celina
Special
Assessment
(Þ)
165
4.125
09/01/39
180
City
of
Celina
Special
Assessment
(µ)
2,025
2.625
09/01/40
1,991
City
of
Celina
Special
Assessment
50
6.250
09/01/45
53
City
of
Celina
Special
Assessment
100
7.500
09/01/45
108
City
of
Celina
Special
Assessment
845
4.375
09/01/49
896
City
of
Crandall
Special
Assessment
(Þ)
100
4.250
09/15/41
100
City
of
Crandall
Special
Assessment
(Þ)
100
5.000
09/15/41
100
City
of
Crandall
Special
Assessment
(Þ)
100
4.500
09/15/51
101
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
266
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
City
of
Crandall
Special
Assessment
(Þ)
100
5.250
09/15/51
101
City
of
Fort
Worth
Special
Assessment
Revenue
Bonds
(Þ)
150
5.000
09/01/32
160
City
of
Hackberry
Special
Assessment
Contract
Revenue
Bonds
85
4.500
09/01/32
99
City
of
Hackberry
Special
Assessment
Contract
Revenue
Bonds
620
4.500
09/01/38
705
City
of
Hackberry
Special
Assessment
Contract
Revenue
Bonds
100
5.000
09/01/44
113
City
of
Hackberry
Special
Assessment
Contract
Revenue
Bonds
145
5.000
09/01/47
163
City
of
Haslet
Special
Assessment
(Þ)
200
4.375
09/01/49
220
City
of
Houston
Airport
Facilities
Revenue
Bonds
2,400
5.000
07/15/35
2,673
City
of
Houston
Airport
System
Revenue
Bonds
295
5.000
07/01/27
353
City
of
Houston
Airport
System
Revenue
Bonds
740
5.000
07/15/27
886
City
of
Houston
Airport
System
Revenue
Bonds
3,095
5.000
07/15/28
3,770
City
of
Houston
Airport
System
Revenue
Bonds
500
5.000
07/01/29
551
City
of
Houston
Airport
System
Revenue
Bonds
1,000
5.000
07/15/30
1,128
City
of
Houston
Airport
System
Revenue
Bonds
275
4.000
07/01/47
322
City
of
Hutto
Special
Assessment
(Þ)
146
4.000
09/01/56
150
City
of
Justin
Special
Assessment
Revenue
Bonds
(Þ)
270
5.500
09/01/47
308
City
of
Kyle
Special
Assessment
Revenue
Bonds
(Þ)
100
4.625
09/01/39
113
City
of
Kyle
Special
Assessment
Revenue
Bonds
(Þ)
100
4.750
09/01/44
112
City
of
Lago
Vista
Special
Assessment
55
3.750
09/01/42
58
City
of
Lavon
Special
Assessment
Revenue
Bonds
(Þ)
100
4.250
09/15/39
110
City
of
Lavon
Special
Assessment
Revenue
Bonds
(Þ)
200
4.500
09/15/49
220
City
of
Manor
Special
Assessment
(Þ)
100
4.000
09/15/51
104
City
of
Manor
Special
Assessment
(Þ)
100
4.375
09/15/51
101
City
of
Manor
Special
Assessment
Revenue
Bonds
(Þ)
100
4.500
09/15/40
112
City
of
Marble
Falls
Revenue
Bonds
(Þ)
100
4.125
09/01/41
100
City
of
Marble
Falls
Revenue
Bonds
(Þ)
100
4.375
09/01/51
100
City
of
Marble
Falls
Revenue
Bonds
(Þ)
100
5.125
09/01/51
100
City
of
McLendon
-Chisholm
Special
Assessment
(µ)
100
2.500
09/15/35
100
City
of
McLendon
-Chisholm
Special
Assessment
(Þ)
35
3.625
09/15/41
36
City
of
McLendon
-Chisholm
Special
Assessment
(µ)
650
3.000
09/15/45
656
City
of
McLendon
-Chisholm
Special
Assessment
(Þ)
100
4.375
09/15/49
111
City
of
McLendon
-Chisholm
Special
Assessment
(Þ)
50
4.000
09/15/51
51
City
of
Mesquite
Special
Assessment
Revenue
Bonds
(Þ)
100
5.750
09/15/39
113
City
of
Mesquite
Special
Assessment
Revenue
Bonds
(Þ)
1,000
5.375
09/01/48
1,165
City
of
Mesquite
Special
Assessment
Revenue
Bonds
(Þ)
150
6.000
09/15/49
169
City
of
Midlothian
Special
Assessment
(Þ)
100
4.125
09/15/31
102
City
of
Midlothian
Special
Assessment
(Þ)
100
4.125
09/15/51
102
City
of
Midlothian
Special
Assessment
(Þ)
100
4.750
09/15/51
103
City
of
Oak
Point
Special
Assessment
(Þ)
650
3.125
09/01/41
649
City
of
Oak
Point
Special
Assessment
Revenue
Bonds
(Þ)
100
4.125
09/01/48
106
City
of
Oak
Point
Special
Assessment
Revenue
Bonds
(Þ)
100
4.500
09/01/48
107
City
of
Princeton
Special
Assessment
(Þ)
300
4.500
09/01/39
331
City
of
Princeton
Special
Assessment
(Þ)
100
5.500
09/01/39
115
City
of
Princeton
Special
Assessment
(Þ)
225
3.750
09/01/40
243
City
of
Princeton
Special
Assessment
(Þ)
125
3.875
09/01/40
134
City
of
Princeton
Special
Assessment
(Þ)
130
4.875
09/01/48
146
City
of
Princeton
Special
Assessment
(Þ)
35
4.375
09/01/49
39
City
of
Princeton
Special
Assessment
(Þ)
100
4.750
09/01/49
110
City
of
Princeton
Special
Assessment
(Þ)
100
5.750
09/01/49
114
City
of
Princeton
Special
Assessment
(Þ)
325
4.000
09/01/50
353
City
of
Princeton
Special
Assessment
(Þ)
161
4.125
09/01/50
173
City
of
Princeton
Special
Assessment
(Þ)
35
4.000
09/01/51
36
City
of
Red
Oak
Special
Assessment
(Þ)
100
3.375
09/15/41
100
City
of
Red
Oak
Special
Assessment
(Þ)
100
4.000
09/15/51
103
City
of
Royse
Special
Assessment
Revenue
Bonds
(Þ)
100
4.375
09/15/30
106
City
of
Royse
Special
Assessment
Revenue
Bonds
(Þ)
125
4.125
09/15/39
136
City
of
Royse
Special
Assessment
Revenue
Bonds
(Þ)
100
4.125
09/15/40
107
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
267
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
City
of
Royse
Special
Assessment
Revenue
Bonds
(Þ)
100
4.375
09/15/49
109
City
of
Royse
Special
Assessment
Revenue
Bonds
(Þ)
200
4.375
09/15/50
215
City
of
Shenandoah
Special
Assessment
Revenue
Bonds
100
4.500
09/01/23
103
City
of
Shenandoah
Special
Assessment
Revenue
Bonds
140
5.700
09/01/47
162
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
500
5.000
12/01/45
560
County
of
Harris
Revenue
Bonds
(USD
3
Month
LIBOR
+
0.670%)(µ)(Ê)
1,210
0.933
08/15/35
1,202
County
of
Medina
Special
Assessment
(Þ)
100
4.750
09/01/50
102
Dallas
Area
Rapid
Transit
Tax
Allocation
515
5.000
12/01/48
606
Decatur
Hospital
Authority
Revenue
Bonds
200
5.250
09/01/44
223
Edinburg
Economic
Development
Corp.
Revenue
Bonds
(Þ)
100
4.500
08/15/35
104
Edinburg
Economic
Development
Corp.
Revenue
Bonds
(Þ)
100
5.000
08/15/44
105
Fort
Bend
County
Industrial
Development
Corp.
Revenue
Bonds
230
4.750
05/01/38
241
Grand
Parkway
Transportation
Corp.
Revenue
Bonds
625
5.800
10/01/46
728
Grand
Parkway
Transportation
Corp.
Revenue
Bonds
450
5.850
10/01/47
525
Grand
Parkway
Transportation
Corp.
Revenue
Bonds
5,200
4.000
10/01/49
6,149
Harris
County
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
2,500
3.000
10/01/51
2,715
Harris
County-Houston
Sports
Authority
Revenue
Bonds
(µ)
725
5.337
11/15/36
328
Houston
Higher
Education
Finance
Corp.
Revenue
Bonds
65
4.000
10/01/51
73
Lake
Houston
Redevelopment
Authority
Revenue
Bonds
350
3.000
09/01/40
375
Lake
Houston
Redevelopment
Authority
Revenue
Bonds
30
2.500
09/01/41
30
Lake
Houston
Redevelopment
Authority
Revenue
Bonds
785
3.000
09/01/44
831
Lake
Houston
Redevelopment
Authority
Revenue
Bonds
50
3.000
09/01/47
53
Midlothian
Industrial
Development
Corp.
Revenue
Bonds
(~)(Ê)
300
0.100
08/01/34
300
Mission
Economic
Development
Corp.
Revenue
Bonds
1,000
0.200
01/01/26
1,000
Mission
Economic
Development
Corp.
Revenue
Bonds
(Þ)
1,150
4.625
10/01/31
1,215
Mitchell
County
Hospital
District
General
Obligation
Limited
45
5.500
02/15/40
51
Mitchell
County
Hospital
District
General
Obligation
Limited
80
5.250
02/15/45
89
Mitchell
County
Hospital
District
General
Obligation
Limited
50
4.000
02/15/51
51
Montgomery
County
Toll
Road
Authority
Revenue
Bonds
150
5.000
09/15/43
170
Montgomery
County
Toll
Road
Authority
Revenue
Bonds
200
5.000
09/15/48
226
New
Home
Independent
School
District
General
Obligation
Unlimited
300
3.000
02/15/51
327
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
55
5.000
04/01/36
66
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
(Þ)
1,000
5.000
08/15/40
1,110
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
1,500
4.750
04/01/46
1,671
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
(Þ)
100
5.000
08/15/51
115
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
1,100
4.000
11/01/55
1,250
North
East
Texas
Regional
Mobility
Authority
Revenue
Bonds
385
5.000
01/01/41
438
North
Texas
Tollway
Authority
Revenue
Bonds
2,250
5.000
01/01/38
2,791
North
Texas
Tollway
Authority
Revenue
Bonds
480
3.000
01/01/46
514
North
Texas
Tollway
Authority
Revenue
Bonds
2,720
3.000
01/01/51
2,898
Port
of
Beaumont
Navigation
District
of
Jefferson
County
Revenue
Bonds
(Þ)
210
6.000
01/01/25
219
Port
of
Beaumont
Navigation
District
of
Jefferson
County
Revenue
Bonds
(Þ)
250
3.625
01/01/35
259
Port
of
Beaumont
Navigation
District
of
Jefferson
County
Revenue
Bonds
(Þ)
1,570
4.000
01/01/50
1,628
Red
River
Education
Finance
Corp.
Texas
Education
Revenue
Bonds
1,255
5.500
10/01/46
1,478
San
Antonio
Convention
Hotel
Revenue
Bonds
(µ)
1,000
5.000
07/15/34
1,002
San
Antonio
Education
Facilities
Corp.
Revenue
Bonds
1,000
4.000
04/01/54
1,168
San
Antonio
Municipal
Facilities
Corp.
Revenue
Bonds
750
4.000
08/01/48
894
Tarrant
County
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
200
5.000
05/15/45
217
Texas
City
Industrial
Development
Corp.
Revenue
Bonds
770
4.125
12/01/45
845
Texas
Municipal
Gas
Acquisition
and
Supply
Corp.
III
Revenue
Bonds
175
5.000
12/15/31
237
Texas
Municipal
Gas
Acquisition
and
Supply
Corp.
III
Revenue
Bonds
130
5.000
12/15/32
179
Texas
Private
Activity
Bond
Surface
Transportation
Corp.
Revenue
Bonds
100
5.000
12/31/50
113
Texas
Private
Activity
Bond
Surface
Transportation
Corp.
Revenue
Bonds
100
5.000
12/31/55
113
Texas
Private
Activity
Bond
Surface
Transportation
Corp.
Revenue
Bonds
8,090
5.000
06/30/58
10,040
Texas
Water
Development
Board
Revenue
Bonds
750
4.000
10/15/54
887
Town
of
Argyle
Special
Assessment
(Þ)
100
4.250
09/01/23
103
Town
of
Argyle
Special
Assessment
(Þ)
145
5.250
09/01/47
167
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
268
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Town
of
Hickory
Creek
Special
Assessment
200
3.875
09/01/37
222
Town
of
Little
Elm
Special
Assessment
(Þ)
730
5.750
09/01/38
864
Town
of
Little
Elm
Special
Assessment
(Þ)
100
5.000
09/01/47
111
Uptown
Development
Authority
Tax
Allocation
105
3.000
09/01/36
113
Uptown
Development
Authority
Tax
Allocation
50
3.000
09/01/37
54
Uptown
Development
Authority
Tax
Allocation
50
3.000
09/01/39
54
Uptown
Development
Authority
Tax
Allocation
50
3.000
09/01/40
53
Viridian
Municipal
Management
District
Special
Assessment
25
3.125
12/01/35
26
Viridian
Municipal
Management
District
Special
Assessment
30
3.375
12/01/40
31
Viridian
Municipal
Management
District
Special
Assessment
385
4.750
12/01/43
413
Viridian
Municipal
Management
District
Special
Assessment
50
3.500
12/01/47
51
86,779
Utah
-
0.6%
Benloch
Ranch
Improvement
Association
No.
1
(Š)
700
9.750
12/01/39
720
City
of
Salt
Lake
City
Airport
Revenue
Bonds
925
5.000
07/01/51
1,182
Medical
School
Campus
Public
Infrastructure
District
General
Obligation
Limited
(Þ)
750
5.500
02/01/50
784
Mida
Mountain
Village
Public
Infrastructure
District
Special
Assessment
1,000
4.500
08/01/40
1,149
Mida
Mountain
Village
Public
Infrastructure
District
Special
Assessment
(Þ)
600
4.000
08/01/50
636
Red
Bridge
Public
Infrastructure
District
No.
1
General
Obligation
Limited
(Þ)
500
4.375
02/01/51
520
Salt
Lake
City
Corp.
Airport
Revenue
Bonds
1,350
5.000
07/01/47
1,622
Utah
Infrastructure
Agency
Revenue
Bonds
2,000
5.000
10/15/40
2,376
Utah
Infrastructure
Agency
Revenue
Bonds
600
4.000
10/15/41
702
9,691
Vermont
-
0.2%
Vermont
Educational
&
Health
Buildings
Financing
Agency
Revenue
Bonds
1,050
5.000
10/01/42
1,177
Vermont
Student
Assistance
Corp.
Revenue
Bonds
1,600
4.500
06/15/45
1,698
2,875
Virgin
Islands
-
0.5%
Virgin
Islands
Public
Finance
Authority
Revenue
Bonds
360
4.000
10/01/22
357
Virgin
Islands
Public
Finance
Authority
Revenue
Bonds
340
5.000
10/01/22
339
Virgin
Islands
Public
Finance
Authority
Revenue
Bonds
1,780
5.000
10/01/25
1,784
Virgin
Islands
Public
Finance
Authority
Revenue
Bonds
180
5.000
10/01/29
180
Virgin
Islands
Public
Finance
Authority
Revenue
Bonds
1,000
5.250
10/01/29
982
Virgin
Islands
Public
Finance
Authority
Revenue
Bonds
605
6.625
10/01/29
610
Virgin
Islands
Public
Finance
Authority
Revenue
Bonds
2,120
5.000
10/01/32
2,097
Virgin
Islands
Public
Finance
Authority
Revenue
Bonds
1,290
6.750
10/01/37
1,300
Virgin
Islands
Public
Finance
Authority
Revenue
Bonds
450
5.000
10/01/39
438
8,087
Virginia
-
1.3%
County
of
Fairfax
Sewer
Revenue
Bonds
1,300
4.000
07/15/51
1,594
Farms
New
Kent
Community
Development
Authority
Special
Assessment
(Þ)
325
3.750
03/01/36
354
Farmville
Industrial
Development
Authority
Revenue
Bonds
3,300
5.000
01/01/40
4,156
Salem
Economic
Development
Authority
Revenue
Bonds
40
4.000
04/01/45
45
Salem
Economic
Development
Authority
Revenue
Bonds
50
5.000
04/01/49
61
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
1,975
5.200
06/01/46
1,976
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
2,085
6.706
06/01/46
2,219
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
125
5.000
06/01/47
126
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
2,250
7.456
06/01/47
518
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
12,175
11.642
06/01/47
2,960
Virginia
College
Building
Authority
Revenue
Bonds
100
3.000
06/01/41
106
Virginia
College
Building
Authority
Revenue
Bonds
75
4.000
06/01/46
87
Virginia
Small
Business
Financing
Authority
Revenue
Bonds
180
5.000
01/01/40
183
Virginia
Small
Business
Financing
Authority
Revenue
Bonds
1,010
5.000
01/01/44
1,029
Virginia
Small
Business
Financing
Authority
Revenue
Bonds
475
5.000
12/31/47
576
Virginia
Small
Business
Financing
Authority
Revenue
Bonds
25
5.000
07/01/49
25
Virginia
Small
Business
Financing
Authority
Revenue
Bonds
2,480
5.000
12/31/52
2,987
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
269
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Virginia
Small
Business
Financing
Authority
Revenue
Bonds
885
5.000
12/31/56
1,065
20,067
Washington
-
1.2%
King
County
General
Obligation
Limited
(~)(Ê)
3,865
0.080
01/01/46
3,865
Port
of
Seattle
Industrial
Development
Corp.
Revenue
Bonds
460
5.000
04/01/30
493
Port
of
Seattle
Revenue
Bonds
500
5.000
08/01/46
648
Washington
Economic
Development
Finance
Authority
Revenue
Bonds
(Þ)
1,000
5.625
12/01/40
1,231
Washington
Health
Care
Facilities
Authority
Revenue
Bonds
210
5.000
08/01/49
262
Washington
Higher
Education
Facilities
Authority
Revenue
Bonds
2,500
4.000
10/01/49
2,796
Washington
Higher
Education
Facilities
Authority
Revenue
Bonds
75
4.000
05/01/50
87
Washington
State
Convention
Center
Public
Facilities
District
Revenue
Bonds
950
5.000
07/01/48
1,209
Washington
State
Convention
Center
Public
Facilities
District
Revenue
Bonds
2,600
4.000
07/01/58
3,012
Washington
State
Convention
Center
Public
Facilities
District
Revenue
Bonds
2,250
5.000
07/01/58
2,840
Washington
State
Housing
Finance
Commission
Revenue
Bonds
(Þ)
150
5.000
01/01/49
171
Washington
State
Housing
Finance
Commission
Revenue
Bonds
(Þ)
200
5.000
01/01/55
227
Whidbey
Island
Public
Hospital
District
General
Obligation
Unlimited
1,500
5.500
12/01/33
1,562
18,403
West
Virginia
-
0.2%
County
of
Ohio
Special
District
Excise
Tax
Revenue
Bonds
55
3.000
03/01/35
55
County
of
Ohio
Special
District
Excise
Tax
Revenue
Bonds
150
3.000
03/01/37
150
County
of
Ohio
Special
District
Excise
Tax
Revenue
Bonds
150
3.250
03/01/41
151
Monongalia
County
Commission
Excise
Tax
District
Revenue
Bonds
(Þ)
175
4.125
06/01/43
198
Monongalia
County
Commission
Excise
Tax
District
Revenue
Bonds
(Þ)
100
4.875
06/01/43
110
West
Virginia
Economic
Development
Authority
Revenue
Bonds
(~)(Ê)
300
4.125
07/01/45
320
West
Virginia
Economic
Development
Authority
Revenue
Bonds
(~)(ae)(Ê)
175
5.000
07/01/45
192
West
Virginia
Hospital
Finance
Authority
Revenue
Bonds
100
5.000
09/01/38
123
West
Virginia
Hospital
Finance
Authority
Revenue
Bonds
75
5.000
09/01/39
92
West
Virginia
Hospital
Finance
Authority
Revenue
Bonds
330
5.000
01/01/43
406
West
Virginia
Hospital
Finance
Authority
Revenue
Bonds
640
4.125
01/01/47
732
2,529
Wisconsin
-
1.4%
Public
Finance
Authority
Revenue
Bonds
1,000
0.200
06/01/23
1,000
Public
Finance
Authority
Revenue
Bonds
3,000
0.200
10/01/25
3,000
Public
Finance
Authority
Revenue
Bonds
(Þ)
20
4.000
06/15/29
22
Public
Finance
Authority
Revenue
Bonds
(Þ)
1,000
5.000
10/01/29
1,264
Public
Finance
Authority
Revenue
Bonds
35
4.000
07/01/30
38
Public
Finance
Authority
Revenue
Bonds
100
4.300
11/01/30
113
Public
Finance
Authority
Revenue
Bonds
675
5.000
10/01/31
810
Public
Finance
Authority
Revenue
Bonds
710
5.000
10/01/32
849
Public
Finance
Authority
Revenue
Bonds
(Þ)
65
5.000
10/01/34
80
Public
Finance
Authority
Revenue
Bonds
1,000
5.750
04/01/35
1,158
Public
Finance
Authority
Revenue
Bonds
(Þ)
630
5.250
05/15/37
699
Public
Finance
Authority
Revenue
Bonds
1,595
5.000
06/01/39
1,939
Public
Finance
Authority
Revenue
Bonds
(Þ)
525
5.000
06/15/39
583
Public
Finance
Authority
Revenue
Bonds
(Þ)
150
5.000
10/01/39
183
Public
Finance
Authority
Revenue
Bonds
50
5.000
07/01/40
57
Public
Finance
Authority
Revenue
Bonds
(Þ)
750
5.250
05/15/42
830
Public
Finance
Authority
Revenue
Bonds
500
5.000
07/01/42
517
Public
Finance
Authority
Revenue
Bonds
(µ)
100
5.000
07/01/44
122
Public
Finance
Authority
Revenue
Bonds
75
4.000
01/01/45
87
Public
Finance
Authority
Revenue
Bonds
(Þ)
200
5.250
03/01/45
235
Public
Finance
Authority
Revenue
Bonds
(Þ)
835
6.500
06/01/45
813
Public
Finance
Authority
Revenue
Bonds
(µ)
40
4.000
07/01/45
46
Public
Finance
Authority
Revenue
Bonds
725
5.350
12/01/45
872
Public
Finance
Authority
Revenue
Bonds
340
5.250
07/01/47
378
Public
Finance
Authority
Revenue
Bonds
(Þ)
25
5.000
06/15/49
27
Public
Finance
Authority
Revenue
Bonds
(µ)
150
4.125
07/01/49
172
Public
Finance
Authority
Revenue
Bonds
100
3.000
01/01/50
107
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
270
Tax-Exempt
High
Yield
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Public
Finance
Authority
Revenue
Bonds
(Þ)
875
5.625
06/01/50
877
Public
Finance
Authority
Revenue
Bonds
(µ)
50
4.000
07/01/50
57
Public
Finance
Authority
Revenue
Bonds
(Þ)
100
5.000
06/01/51
111
Public
Finance
Authority
Revenue
Bonds
(Þ)
100
5.000
06/15/54
113
Public
Finance
Authority
Revenue
Bonds
(µ)
100
5.000
07/01/54
121
Public
Finance
Authority
Revenue
Bonds
(Þ)
1,000
5.875
10/01/54
1,071
Public
Finance
Authority
Revenue
Bonds
(Þ)
450
5.250
03/01/55
525
Public
Finance
Authority
Revenue
Bonds
(µ)
65
4.000
07/01/55
74
Public
Finance
Authority
Revenue
Bonds
125
5.000
07/01/55
140
Public
Finance
Authority
Revenue
Bonds
(Þ)
350
5.000
12/01/55
398
Public
Finance
Authority
Revenue
Bonds
(µ)
100
5.000
07/01/58
121
Public
Finance
Authority
Revenue
Bonds
(µ)
80
4.000
07/01/59
91
Public
Finance
Authority
Revenue
Bonds
(Þ)
100
5.000
06/01/61
110
Wisconsin
Health
&
Educational
Facilities
Authority
Revenue
Bonds
20
4.000
03/15/40
23
Wisconsin
Health
&
Educational
Facilities
Authority
Revenue
Bonds
1,235
5.000
03/15/50
1,529
21,362
Wyoming
-
0.1%
County
of
Campbell
Wastewater
Facilities
Revenue
Bonds
1,000
3.625
07/15/39
1,087
Total
Municipal
Bonds
(cost
$1,354,182)
1,489,661
Short-Term
Investments
-
2.9%
U.S.
Cash
Management
Fund
(@)
44,937,639
(∞)
44,929
Total
Short-Term
Investments
(cost
$44,929)
44,929
Total
Investments
-
100.2%
(identified
cost
$1,399,111)
1,534,590
Other
Assets
and
Liabilities,
Net
-
(0.2)%
(2,566)
Net
Assets
-
100.0%
1,532,024
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
271
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
12.9%
Allentown
Neighborhood
Improvement
Zone
Development
Authority
Revenue
Bonds
06/29/17
3,500,000
103
.78
3,611
4,087
Allentown
Neighborhood
Improvement
Zone
Development
Authority
Revenue
Bonds
08/18/17
500,000
107
.55
538
591
Allentown
Neighborhood
Improvement
Zone
Development
Authority
Revenue
Bonds
04/19/18
1,000,000
106
.81
1,068
1,205
Allentown
Neighborhood
Improvement
Zone
Development
Authority
Revenue
Bonds
12/19/18
815,000
100
.71
821
987
Allentown
Neighborhood
Improvement
Zone
Development
Authority
Revenue
Bonds
01/21/21
490,000
100
.00
490
622
American
Samoa
Economic
Development
Authority
Revenue
Bonds
06/16/21
125,000
100
.00
125
127
American
Samoa
Economic
Development
Authority
Revenue
Bonds
06/16/21
100,000
123
.06
123
126
Arizona
Industrial
Development
Authority
Revenue
Bonds
09/08/17
1,500,000
108
.20
1,623
1,864
Arizona
Industrial
Development
Authority
Revenue
Bonds
08/28/20
500,000
98
.13
491
601
Arizona
Industrial
Development
Authority
Revenue
Bonds
10/08/20
700,000
106
.17
743
806
Arizona
Industrial
Development
Authority
Revenue
Bonds
10/09/20
920,000
106
.72
982
1,080
Arizona
Industrial
Development
Authority
Revenue
Bonds
04/15/21
50,000
105
.80
53
55
Arizona
Industrial
Development
Authority
Revenue
Bonds
04/15/21
25,000
107
.32
27
28
Arkansas
Development
Finance
Authority
Revenue
Bonds
09/09/20
3,500,000
102
.53
3,590
4,021
Arkansas
Development
Finance
Authority
Revenue
Bonds
12/08/20
1,000,000
107
.62
1,076
1,119
Artisan
Lakes
East
Community
Development
District
Special
Assessment
06/17/21
220,000
100
.00
220
221
Artisan
Lakes
East
Community
Development
District
Special
Assessment
06/17/21
945,000
100
.00
945
951
Artisan
Lakes
East
Community
Development
District
Special
Assessment
06/17/21
905,000
105
.73
957
965
Artisan
Lakes
East
Community
Development
District
Special
Assessment
06/17/21
550,000
105
.73
582
586
Artisan
Lakes
East
Community
Development
District
Special
Assessment
06/17/21
250,000
99
.66
249
251
Astonia
Community
Development
District
Special
Assessment
07/09/21
1,100,000
100
.00
1,100
1,100
Astonia
Community
Development
District
Special
Assessment
07/09/21
75,000
104
.95
79
79
Astonia
Community
Development
District
Special
Assessment
07/09/21
50,000
104
.95
52
52
Aviary
at
Rutland
Ranch
Community
Development
District
Special
Assessment
04/30/19
100,000
100
.00
100
110
Aviary
at
Rutland
Ranch
Community
Development
District
Special
Assessment
04/30/19
100,000
100
.00
100
111
Babcock
Ranch
Community
Independent
Special
District
Special
Assessment
06/09/21
1,365,000
100
.00
1,365
1,377
Babcock
Ranch
Community
Independent
Special
District
Special
Assessment
06/09/21
120,000
104
.98
126
127
Babcock
Ranch
Community
Independent
Special
District
Special
Assessment
Revenue
Bonds
12/14/18
1,070,000
99
.41
1,064
1,243
Baltimore
Research
Park
Project
Tax
Allocation
10/03/19
100,000
100
.00
100
106
Baltimore
Research
Park
Project
Tax
Allocation
10/03/19
100,000
100
.15
100
105
Beaumont
Community
Development
District
Special
Assessment
01/25/19
185,000
100
.00
185
207
Bent
Creek
Community
Development
District
Special
Assessment
07/16/21
160,000
105
.51
169
169
Bent
Grass
Metropolitan
District
General
Obligation
Limited
06/24/20
500,000
100
.00
500
550
Brookstone
Community
Development
District
Special
Assessment
01/23/18
65,000
100
.00
65
66
Build
NYC
Resource
Corp.
Revenue
Bonds
01/14/21
250,000
109
.63
274
289
Build
NYC
Resource
Corp.
Revenue
Bonds
04/08/21
100,000
111
.17
111
115
Build
NYC
Resource
Corp.
Revenue
Bonds
07/22/21
100,000
100
.00
100
102
Build
NYC
Resource
Corp.
Revenue
Bonds
07/22/21
350,000
118
.58
415
422
Calhoun
County
Navigation
Industrial
Development
Authority
Revenue
Bonds
07/20/21
1,000,000
100
.00
1,000
1,035
Calhoun
County
Navigation
Industrial
Development
Authority
Revenue
Bonds
07/20/21
1,000,000
100
.00
1,000
1,022
California
Community
Housing
Agency
Revenue
Bonds
07/24/20
1,000,000
111
.23
1,112
1,174
California
Community
Housing
Agency
Revenue
Bonds
03/25/21
2,400,000
107
.84
2,586
2,738
California
Community
Housing
Agency
Revenue
Bonds
07/14/21
1,600,000
102
.17
1,635
1,667
California
Enterprise
Development
Authority
Revenue
Bonds
06/18/21
250,000
111
.33
278
281
California
Health
Facilities
Financing
Authority
Revenue
Bonds
05/27/21
250,000
108
.99
272
301
California
Infrastructure
&
Economic
Development
Bank
Revenue
Bonds
08/13/20
835,000
100
.38
838
948
California
Municipal
Finance
Authority
Revenue
Bonds
07/01/15
1,000,000
99
.46
995
1,163
California
Municipal
Finance
Authority
Revenue
Bonds
11/02/16
1,500,000
102
.66
1,540
1,777
California
Municipal
Finance
Authority
Revenue
Bonds
09/14/18
1,815,000
103
.73
1,883
2,139
California
Municipal
Finance
Authority
Revenue
Bonds
06/18/20
65,000
100
.35
65
74
California
Pollution
Control
Financing
Authority
Revenue
Bonds
06/11/15
2,670,000
106
.62
2,824
2,956
California
Pollution
Control
Financing
Authority
Revenue
Bonds
01/17/19
2,520,000
97
.26
2,452
2,779
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
272
Tax-Exempt
High
Yield
Bond
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
California
Pollution
Control
Financing
Authority
Revenue
Bonds
01/17/19
450,000
98
.57
444
494
California
Pollution
Control
Financing
Authority
Revenue
Bonds
01/30/19
550,000
110
.23
606
671
California
Pollution
Control
Financing
Authority
Revenue
Bonds
10/30/20
550,000
100
.00
550
550
California
Public
Finance
Authority
Revenue
Bonds
01/26/21
600,000
113
.58
681
699
California
School
Finance
Authority
Revenue
Bonds
12/10/15
500,000
107
.10
535
570
California
School
Finance
Authority
Revenue
Bonds
06/21/17
1,000,000
106
.58
1,066
1,166
California
School
Finance
Authority
Revenue
Bonds
09/11/20
200,000
110
.84
222
240
California
School
Finance
Authority
Revenue
Bonds
10/22/20
600,000
104
.17
625
654
California
School
Finance
Authority
Revenue
Bonds
10/30/20
150,000
105
.32
158
171
California
School
Finance
Authority
Revenue
Bonds
04/19/21
100,000
109
.43
109
113
California
School
Finance
Authority
Revenue
Bonds
04/29/21
1,100,000
111
.18
1,223
1,247
California
School
Finance
Authority
Revenue
Bonds
07/21/21
100,000
115
.80
116
115
California
School
Finance
Authority
Revenue
Bonds
07/22/21
465,000
115
.21
536
535
California
Statewide
Communities
Development
Authority
Revenue
Bonds
12/28/16
2,600,000
102
.97
2,677
2,932
California
Statewide
Communities
Development
Authority
Revenue
Bonds
09/22/17
200,000
107
.22
214
243
California
Statewide
Communities
Development
Authority
Revenue
Bonds
11/01/17
2,500,000
107
.05
2,676
2,832
California
Statewide
Communities
Development
Authority
Revenue
Bonds
02/28/18
500,000
106
.65
533
526
California
Statewide
Communities
Development
Authority
Revenue
Bonds
08/08/18
1,000,000
107
.64
1,076
1,196
California
Statewide
Communities
Development
Authority
Revenue
Bonds
01/16/19
250,000
104
.32
261
273
California
Statewide
Communities
Development
Authority
Revenue
Bonds
01/16/19
200,000
105
.31
211
222
California
Statewide
Communities
Development
Authority
Revenue
Bonds
05/15/19
100,000
110
.94
111
120
Capital
Trust
Agency,
Inc.
Revenue
Bonds
09/13/18
3,680,000
99
.25
3,653
4,334
Capital
Trust
Agency,
Inc.
Revenue
Bonds
01/24/20
1,255,000
106
.37
1,335
1,496
Capital
Trust
Agency,
Inc.
Revenue
Bonds
07/17/20
2,000,000
100
.00
2,000
2,310
Capital
Trust
Agency,
Inc.
Revenue
Bonds
06/18/21
325,000
111
.39
362
379
Cedar
Bayou
Navigation
District
Special
Assessment
11/05/20
585,000
100
.00
585
636
Central
Etowah
County
Solid
Waste
Disposal
Authority
Revenue
Bonds
08/07/20
150,000
100
.00
150
155
Central
Etowah
County
Solid
Waste
Disposal
Authority
Revenue
Bonds
08/07/20
385,000
100
.00
385
402
Chapel
Creek
Community
Development
District
Special
Assessment
05/27/21
45,000
100
.00
45
46
Chapel
Creek
Community
Development
District
Special
Assessment
05/27/21
70,000
103
.71
73
74
Charlotte
County
Industrial
Development
Authority
Revenue
Bonds
12/09/15
250,000
98
.98
247
275
Charlotte
County
Industrial
Development
Authority
Revenue
Bonds
05/31/19
350,000
104
.16
365
391
Chicago
Board
of
Education
General
Obligation
Unlimited
07/11/17
1,500,000
92
.76
1,391
1,995
Chicago
Board
of
Education
General
Obligation
Unlimited
07/11/17
2,000,000
94
.20
1,884
2,674
City
&
County
of
San
Francisco
Special
Tax
District
No.
2020-1
Special
Tax
05/07/21
100,000
111
.16
111
115
City
of
Anna
Special
Assessment
07/28/21
136,000
100
.00
136
136
City
of
Anna
Special
Assessment
07/28/21
504,000
100
.00
504
504
City
of
Austin
Water
Utility
Improvement
District
Special
Assessment
Revenue
Bonds
12/14/18
330,000
100
.00
330
366
City
of
Celina
Special
Assessment
09/11/19
165,000
100
.00
165
180
City
of
Crandall
Special
Assessment
06/08/21
100,000
100
.00
100
101
City
of
Crandall
Special
Assessment
06/08/21
100,000
100
.00
100
101
City
of
Crandall
Special
Assessment
06/08/21
100,000
99
.19
99
100
City
of
Crandall
Special
Assessment
06/08/21
100,000
99
.24
99
100
City
of
Fort
Worth
Special
Assessment
Revenue
Bonds
08/16/17
150,000
100
.00
150
160
City
of
Haslet
Special
Assessment
07/30/20
200,000
105
.64
211
220
City
of
Hutto
Special
Assessment
04/05/21
146,000
100
.70
147
150
City
of
Justin
Special
Assessment
Revenue
Bonds
03/27/18
270,000
100
.00
270
308
City
of
Kyle
Special
Assessment
Revenue
Bonds
05/08/19
100,000
100
.00
100
112
City
of
Kyle
Special
Assessment
Revenue
Bonds
05/08/19
100,000
100
.00
100
113
City
of
Lavon
Special
Assessment
Revenue
Bonds
08/21/19
200,000
103
.09
206
220
City
of
Lavon
Special
Assessment
Revenue
Bonds
08/21/19
100,000
99
.37
99
110
City
of
Manor
Special
Assessment
05/06/21
100,000
100
.00
100
101
City
of
Manor
Special
Assessment
05/06/21
100,000
102
.54
103
104
City
of
Manor
Special
Assessment
Revenue
Bonds
12/19/19
100,000
100
.00
100
112
City
of
Marble
Falls
Revenue
Bonds
07/21/21
100,000
100
.00
100
100
City
of
Marble
Falls
Revenue
Bonds
07/21/21
100,000
100
.00
100
100
City
of
Marble
Falls
Revenue
Bonds
07/21/21
100,000
100
.00
100
100
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
273
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
City
of
McLendon
-Chisholm
Special
Assessment
06/26/20
100,000
105
.35
105
111
City
of
McLendon
-Chisholm
Special
Assessment
02/10/21
35,000
100
.00
35
36
City
of
McLendon
-Chisholm
Special
Assessment
02/10/21
50,000
101
.71
51
51
City
of
Mesquite
Special
Assessment
Revenue
Bonds
09/05/18
1,000,000
100
.00
1,000
1,165
City
of
Mesquite
Special
Assessment
Revenue
Bonds
06/04/19
150,000
100
.00
150
169
City
of
Mesquite
Special
Assessment
Revenue
Bonds
06/04/19
100,000
100
.00
100
113
City
of
Midlothian
Special
Assessment
03/24/21
100,000
100
.00
100
102
City
of
Midlothian
Special
Assessment
03/24/21
100,000
100
.00
100
103
City
of
Midlothian
Special
Assessment
03/24/21
100,000
100
.00
100
102
City
of
Minneapolis
Charter
Lease
Revenue
Bonds
12/08/17
1,400,000
102
.42
1,434
1,619
City
of
Oak
Point
Special
Assessment
07/22/21
650,000
100
.00
650
649
City
of
Oak
Point
Special
Assessment
Revenue
Bonds
07/25/18
100,000
100
.00
100
106
City
of
Oak
Point
Special
Assessment
Revenue
Bonds
07/25/18
100,000
99
.52
100
107
City
of
Phoenix
Industrial
Development
Authority
Revenue
Bonds
12/10/15
200,000
102
.01
204
225
City
of
Princeton
Special
Assessment
04/24/18
130,000
100
.00
130
146
City
of
Princeton
Special
Assessment
08/27/19
100,000
100
.00
100
110
City
of
Princeton
Special
Assessment
08/27/19
100,000
100
.00
100
115
City
of
Princeton
Special
Assessment
08/27/19
100,000
100
.00
100
114
City
of
Princeton
Special
Assessment
08/27/19
300,000
103
.70
311
331
City
of
Princeton
Special
Assessment
06/23/20
325,000
100
.00
325
353
City
of
Princeton
Special
Assessment
06/23/20
225,000
100
.00
225
243
City
of
Princeton
Special
Assessment
06/23/20
125,000
100
.00
125
134
City
of
Princeton
Special
Assessment
06/23/20
161,000
100
.00
161
173
City
of
Princeton
Special
Assessment
06/26/20
35,000
105
.11
37
39
City
of
Princeton
Special
Assessment
05/25/21
35,000
102
.95
36
36
City
of
Red
Oak
Special
Assessment
06/15/21
100,000
102
.79
103
103
City
of
Red
Oak
Special
Assessment
06/15/21
100,000
98
.91
99
100
City
of
Royse
Special
Assessment
Revenue
Bonds
08/14/19
125,000
99
.43
124
136
City
of
Royse
Special
Assessment
Revenue
Bonds
06/30/20
100,000
102
.94
103
109
City
of
Royse
Special
Assessment
Revenue
Bonds
07/15/20
200,000
100
.74
201
215
City
of
Royse
Special
Assessment
Revenue
Bonds
07/30/20
100,000
101
.15
101
106
City
of
Royse
Special
Assessment
Revenue
Bonds
07/30/20
100,000
101
.45
101
107
City
of
Scranton
General
Obligation
Unlimited
08/30/17
1,275,000
105
.67
1,347
1,473
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
12/21/20
330,000
109
.07
360
369
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
02/04/21
100,000
108
.94
109
111
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
12/18/19
1,000,000
114
.81
1,148
1,227
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
07/22/20
900,000
103
.97
944
1,008
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
07/22/20
100,000
103
.99
104
113
Corkscrew
Farms
Community
Development
District
Special
Assessment
12/13/17
60,000
100
.00
60
70
Corkscrew
Farms
Community
Development
District
Special
Assessment
12/13/17
125,000
100
.00
125
144
County
of
Frederick
Educational
Facilities
Revenue
Bonds
01/18/18
1,705,000
106
.07
1,808
1,910
County
of
Medina
Special
Assessment
03/11/21
100,000
100
.00
100
102
County
of
Prince
George's
Special
Obligation
Tax
Allocation
11/16/18
115,000
98
.86
114
130
Creekwalk
Marketplace
Business
Improvement
District
Revenue
Bonds
07/29/19
230,000
100
.00
230
259
Creekwalk
Marketplace
Business
Improvement
District
Revenue
Bonds
07/29/19
130,000
100
.00
130
137
Creekwalk
Marketplace
Business
Improvement
District
Revenue
Bonds
07/29/19
600,000
100
.00
600
675
CSCDA
Community
Improvement
Authority
Revenue
Bonds
06/04/21
1,250,000
108
.15
1,352
1,357
Dauphin
County
General
Authority
Revenue
Bonds
01/05/18
1,000,000
97
.95
980
1,142
Dauphin
County
General
Authority
Revenue
Bonds
12/21/20
850,000
100
.00
850
1,051
Dauphin
County
General
Authority
Revenue
Bonds
12/21/20
2,100,000
101
.23
2,124
2,610
Davenport
Road
South
Community
Development
District
Special
Assessment
02/06/18
100,000
98
.86
99
120
Davenport
Road
South
Community
Development
District
Special
Assessment
02/06/18
150,000
98
.91
148
180
Denver
Health
&
Hospital
Authority
Revenue
Bonds
08/23/17
300,000
108
.98
327
366
Denver
Health
&
Hospital
Authority
Revenue
Bonds
08/23/17
100,000
110
.35
110
122
Denver
Health
&
Hospital
Authority
Revenue
Bonds
08/23/17
230,000
110
.76
255
287
Denver
Health
&
Hospital
Authority
Revenue
Bonds
08/23/17
220,000
111
.09
244
275
Denver
Health
&
Hospital
Authority
Revenue
Bonds
08/23/17
200,000
98
.31
197
229
Denver
Health
&
Hospital
Authority
Revenue
Bonds
08/23/17
200,000
98
.92
198
230
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
274
Tax-Exempt
High
Yield
Bond
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Denver
Urban
Renewal
Authority
Tax
Allocation
10/11/18
745,000
99
.18
740
819
Dutchess
County
Local
Development
Corp.
Revenue
Bonds
12/16/20
325,000
104
.78
341
402
Dutchess
County
Local
Development
Corp.
Revenue
Bonds
12/16/20
275,000
105
.74
291
342
DW
Bayview
Community
Development
District
Special
Assessment
02/05/21
50,000
103
.62
52
53
DW
Bayview
Community
Development
District
Special
Assessment
02/05/21
75,000
99
.64
75
77
Eagle
Pointe
Community
Development
District
Special
Assessment
07/15/20
50,000
100
.00
50
54
Eagle
Pointe
Community
Development
District
Special
Assessment
07/15/20
225,000
101
.35
228
242
East
Bonita
Beach
Road
Community
Development
District
Special
Assessment
08/29/18
625,000
100
.00
625
710
Edinburg
Economic
Development
Corp.
Revenue
Bonds
04/17/19
100,000
101
.05
101
105
Edinburg
Economic
Development
Corp.
Revenue
Bonds
04/17/19
100,000
99
.89
100
104
Erie
Tobacco
Asset
Securitization
Corp
02/02/21
4,000,000
4
.68
187
217
Fairfield
Community
Facilities
District
Special
Tax
06/26/20
150,000
107
.45
161
183
Farms
New
Kent
Community
Development
Authority
Special
Assessment
06/25/21
325,000
100
.00
325
354
Florida
Development
Finance
Corp.
Revenue
Bonds
04/02/19
870,000
100
.00
870
902
Florida
Development
Finance
Corp.
Revenue
Bonds
04/02/19
115,000
100
.00
115
118
Florida
Development
Finance
Corp.
Revenue
Bonds
04/02/19
1,965,000
100
.00
1,965
2,033
Florida
Development
Finance
Corp.
Revenue
Bonds
06/20/19
685,000
113
.33
776
804
Florida
Development
Finance
Corp.
Revenue
Bonds
07/23/20
115,000
103
.73
119
129
Florida
Development
Finance
Corp.
Revenue
Bonds
08/20/20
100,000
101
.89
102
110
Florida
Development
Finance
Corp.
Revenue
Bonds
09/04/20
160,000
101
.74
163
178
Florida
Development
Finance
Corp.
Revenue
Bonds
09/04/20
100,000
103
.11
103
113
Florida
Development
Finance
Corp.
Revenue
Bonds
10/21/20
220,000
101
.19
223
261
Florida
Development
Finance
Corp.
Revenue
Bonds
10/21/20
125,000
101
.93
127
149
Florida
Development
Finance
Corp.
Revenue
Bonds
12/11/20
1,470,000
95
.76
1,408
1,623
Florida
Development
Finance
Corp.
Revenue
Bonds
06/04/21
100,000
105
.83
106
107
Florida
Development
Finance
Corp.
Revenue
Bonds
06/04/21
100,000
106
.93
107
109
Florida
Development
Finance
Corp.
Revenue
Bonds
07/23/21
100,000
100
.00
100
100
Florida
Development
Finance
Corp.
Revenue
Bonds
07/23/21
100,000
111
.82
112
112
Florida
Higher
Educational
Facilities
Financial
Authority
Revenue
Bonds
06/08/18
1,350,000
104
.21
1,407
1,609
General
Authority
of
Southcentral
Pennsylvania
Revenue
Bonds
08/17/18
1,765,000
107
.29
1,894
2,127
Harmony
West
Community
Development
District
Special
Assessment
06/19/18
1,185,000
100
.00
1,185
1,384
Hawks
Point
Community
Development
District
Special
Assessment
Bonds
06/23/17
185,000
103
.39
191
209
Hills
Minneola
Community
Development
District
Special
Assessment
07/16/20
60,000
100
.00
60
65
Hills
Minneola
Community
Development
District
Special
Assessment
07/16/20
130,000
97
.90
127
139
Horizon
Metropolitan
District
No.
2
General
Obligation
Limited
07/28/21
500,000
100
.00
500
513
I-470
Western
Gateway
Transportation
Development
District
Revenue
Bonds
02/21/19
250,000
100
.00
250
268
Illinois
Finance
Authority
Revenue
Bonds
02/25/20
705,000
120
.21
848
872
Illinois
Finance
Authority
Revenue
Bonds
07/01/21
125,000
111
.78
140
141
Kansas
City
Land
Clearance
Redevelopment
Authority
Tax
Allocation
01/10/18
1,500,000
100
.36
1,505
1,642
K-Bar
Ranch
II
Community
Development
District
Special
Assessment
12/19/17
185,000
100
.00
185
205
K-Bar
Ranch
II
Community
Development
District
Special
Assessment
12/19/17
275,000
100
.00
275
304
Kingman
Gate
Community
Development
District
Special
Assessment
03/03/21
50,000
101
.67
51
53
La
Paz
County
Industrial
Development
Authority
Revenue
Bonds
07/16/18
250,000
100
.00
250
175
La
Paz
County
Industrial
Development
Authority
Revenue
Bonds
07/16/18
1,000,000
100
.00
1,000
700
Lakeshore
Villages
Master
Community
Development
District
Special
Assessment
10/03/19
200,000
100
.00
200
219
Lakeshore
Villages
Master
Community
Development
District
Special
Assessment
10/03/19
100,000
99
.31
99
109
Lakewood
Ranch
Stewardship
District
Special
Assessment
04/26/17
100,000
98
.94
99
112
Lakewood
Ranch
Stewardship
District
Special
Assessment
04/26/17
100,000
99
.35
99
112
Lakewood
Ranch
Stewardship
District
Special
Assessment
09/03/20
100,000
98
.97
99
106
Landings
at
Miami
Community
Development
District
Special
Assessment
01/10/18
100,000
100
.00
100
109
Landings
at
Miami
Community
Development
District
Special
Assessment
01/10/18
100,000
100
.00
100
110
Lee
County
Industrial
Development
Authority
Revenue
Bonds
12/11/17
1,640,000
100
.00
1,640
1,741
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Authority
Revenue
Bonds
06/10/21
250,000
97
.50
244
267
Maricopa
County
Industrial
Development
Authority
Revenue
Bonds
01/24/20
50,000
110
.06
55
58
Maricopa
County
Industrial
Development
Authority
Revenue
Bonds
01/24/20
50,000
110
.99
55
58
Maricopa
County
Industrial
Development
Authority
Revenue
Bonds
12/04/20
115,000
101
.64
117
130
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
275
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Maricopa
County
Industrial
Development
Authority
Revenue
Bonds
12/04/20
115,000
101
.95
117
130
Maryland
Economic
Development
Corp.
Revenue
Bonds
06/10/21
1,400,000
100
.00
1,400
1,546
Massachusetts
Development
Finance
Agency
Revenue
Bonds
12/07/17
1,250,000
107
.02
1,338
1,372
Massachusetts
Development
Finance
Agency
Revenue
Bonds
10/31/18
100,000
100
.00
100
113
Massachusetts
Development
Finance
Agency
Revenue
Bonds
10/31/18
150,000
100
.00
150
168
Massachusetts
Development
Finance
Agency
Revenue
Bonds
07/08/21
1,300,000
110
.97
1,443
1,474
McJunkin
Parkland
Community
Development
District
Special
Assessment
11/01/18
250,000
98
.55
246
299
McJunkin
Parkland
Community
Development
District
Special
Assessment
11/01/18
200,000
99
.15
198
240
Medical
School
Campus
Public
Infrastructure
District
General
Obligation
Limited
08/19/20
750,000
100
.00
750
784
Mida
Mountain
Village
Public
Infrastructure
District
Special
Assessment
04/09/21
600,000
101
.71
610
636
Mission
Economic
Development
Corp.
Revenue
Bonds
10/30/18
1,150,000
99
.91
1,149
1,215
Mississippi
Business
Finance
Corp.
Revenue
Bonds
09/06/19
1,600,000
101
.16
1,619
1,585
Mohegan
Tribal
Finance
Authority
Revenue
Bonds
10/06/15
600,000
99
.69
598
638
Monongalia
County
Commission
Excise
Tax
District
Revenue
Bonds
05/27/21
100,000
100
.00
100
110
Monongalia
County
Commission
Excise
Tax
District
Revenue
Bonds
05/27/21
175,000
100
.00
175
198
Naples
Reserve
Community
Development
District
Special
Assessment
05/10/18
40,000
99
.43
40
45
Naples
Reserve
Community
Development
District
Special
Assessment
05/10/18
190,000
99
.63
189
215
Nevada
Department
of
Business
&
Industry
Revenue
Bonds
08/31/17
1,100,000
103
.12
1,134
1,217
New
Hampshire
Business
Finance
Authority
Revenue
Bonds
09/26/19
100,000
100
.00
100
109
New
Hampshire
Business
Finance
Authority
Revenue
Bonds
08/13/20
310,000
100
.00
310
333
New
Hampshire
Business
Finance
Authority
Revenue
Bonds
08/13/20
180,000
100
.00
180
193
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
08/21/19
100,000
110
.61
111
115
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
06/10/20
1,000,000
101
.75
1,017
1,110
New
York
Liberty
Development
Corp.
Revenue
Bonds
03/21/17
1,655,000
104
.49
1,735
1,835
New
York
State
Dormitory
Authority
Revenue
Bonds
06/16/15
400,000
103
.15
413
461
New
York
State
Dormitory
Authority
Revenue
Bonds
02/08/17
900,000
105
.68
951
1,107
Ohio
Air
Quality
Development
Authority
Revenue
Bonds
11/16/17
120,000
100
.00
120
140
Ohio
Air
Quality
Development
Authority
Revenue
Bonds
11/16/17
100,000
100
.00
100
113
Ohio
Air
Quality
Development
Authority
Revenue
Bonds
11/16/17
1,190,000
101
.81
1,212
1,403
Oregon
State
Facilities
Authority
Revenue
Bonds
09/23/16
1,000,000
110
.81
1,108
1,090
Oregon
State
Facilities
Authority
Revenue
Bonds
10/10/17
1,000,000
103
.93
1,039
1,084
Parish
of
St.
James
Revenue
Bonds
05/20/20
125,000
100
.00
125
169
Parish
of
St.
James
Revenue
Bonds
05/20/20
100,000
100
.00
100
133
Parish
of
St.
James
Revenue
Bonds
05/20/20
1,000,000
100
.00
1,000
1,151
Pennsylvania
Economic
Development
Financing
Authority
Revenue
Bonds
06/13/19
153,304
100
.00
153
153
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
11/20/20
200,000
111
.68
223
235
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
11/20/20
900,000
112
.28
1,011
1,071
Pima
County
Industrial
Development
Authority
Revenue
Bonds
05/22/20
25,000
100
.00
25
27
Pima
County
Industrial
Development
Authority
Revenue
Bonds
05/22/20
50,000
100
.00
50
54
Port
of
Beaumont
Navigation
District
of
Jefferson
County
Revenue
Bonds
01/30/20
210,000
100
.00
210
219
Port
of
Beaumont
Navigation
District
of
Jefferson
County
Revenue
Bonds
01/30/20
1,570,000
100
.93
1,592
1,628
Port
of
Beaumont
Navigation
District
of
Jefferson
County
Revenue
Bonds
01/30/20
250,000
98
.64
247
259
Port
of
Greater
Cincinnati
Development
Authority
Revenue
Bonds
03/30/21
125,000
99
.17
124
128
Prairie
Center
Metropolitan
District
No.
3
Revenue
Bonds
10/13/17
500,000
99
.61
498
550
Prairie
Center
Metropolitan
District
No.
7
General
Obligation
Limited
07/30/20
1,425,000
100
.00
1,425
1,553
Public
Finance
Authority
Revenue
Bonds
04/07/17
750,000
103
.21
774
830
Public
Finance
Authority
Revenue
Bonds
04/07/17
630,000
103
.47
652
699
Public
Finance
Authority
Revenue
Bonds
02/21/19
525,000
101
.05
526
583
Public
Finance
Authority
Revenue
Bonds
05/01/19
20,000
100
.62
20
22
Public
Finance
Authority
Revenue
Bonds
05/01/19
100,000
101
.65
102
113
Public
Finance
Authority
Revenue
Bonds
05/01/19
25,000
101
.44
25
27
Public
Finance
Authority
Revenue
Bonds
11/27/19
1,000,000
100
.00
1,000
1,071
Public
Finance
Authority
Revenue
Bonds
12/11/19
1,000,000
114
.07
1,141
1,264
Public
Finance
Authority
Revenue
Bonds
08/10/20
150,000
107
.10
161
183
Public
Finance
Authority
Revenue
Bonds
08/28/20
450,000
105
.21
473
525
Public
Finance
Authority
Revenue
Bonds
08/28/20
200,000
105
.93
212
235
Public
Finance
Authority
Revenue
Bonds
09/16/20
65,000
106
.18
69
80
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
276
Tax-Exempt
High
Yield
Bond
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Public
Finance
Authority
Revenue
Bonds
12/03/20
350,000
109
.44
383
398
Public
Finance
Authority
Revenue
Bonds
03/26/21
835,000
94
.23
787
813
Public
Finance
Authority
Revenue
Bonds
03/26/21
875,000
98
.46
862
877
Public
Finance
Authority
Revenue
Bonds
05/28/21
100,000
108
.39
108
110
Public
Finance
Authority
Revenue
Bonds
05/28/21
100,000
109
.10
109
111
Pueblo
Urban
Renewal
Authority
Tax
Allocation
03/24/21
350,000
100
.00
350
404
Pueblo
Urban
Renewal
Authority
Tax
Allocation
03/24/21
100,000
80
.76
81
87
Puerto
Rico
Commonwealth
Aqueduct
&
Sewer
Authority
Revenue
Bonds
01/06/21
1,250,000
116
.64
1,458
1,510
Puerto
Rico
Commonwealth
Aqueduct
&
Sewer
Authority
Revenue
Bonds
01/06/21
2,000,000
118
.63
2,373
2,470
Randal
Park
Community
Development
District
Special
Assessment
Revenue
Bonds
11/30/18
895,000
100
.00
895
1,008
Randal
Park
Community
Development
District
Special
Assessment
Revenue
Bonds
11/30/18
540,000
100
.00
540
610
Red
Bridge
Public
Infrastructure
District
No.
1
General
Obligation
Limited
07/01/21
500,000
100
.00
500
520
Rockdale
County
Development
Authority
Revenue
Bonds
05/16/18
225,000
100
.49
226
258
Rolling
Oaks
Community
Development
District
Special
Assessment
10/24/18
100,000
100
.00
100
117
Rolling
Oaks
Community
Development
District
Special
Assessment
10/24/18
200,000
100
.00
200
233
Sandmine
Road
Community
Development
District
Special
Assessment
08/14/20
60,000
100
.00
60
64
Sandmine
Road
Community
Development
District
Special
Assessment
08/14/20
25,000
100
.00
25
26
Sandmine
Road
Community
Development
District
Special
Assessment
08/14/20
20,000
100
.00
20
20
Sandmine
Road
Community
Development
District
Special
Assessment
08/14/20
50,000
99
.13
50
53
Sarasota
National
Community
Development
District
Special
Assessment
03/26/21
200,000
99
.66
199
207
Sarasota
National
Community
Development
District
Special
Assessment
03/26/21
100,000
99
.72
100
103
Seminole
County
Industrial
Development
Authority
Revenue
Bonds
07/01/21
135,000
111
.40
150
152
Shell
Point
Community
Development
District
Special
Assessment
02/13/19
100,000
100
.00
100
115
Shell
Point
Community
Development
District
Special
Assessment
02/13/19
175,000
99
.63
174
201
Sherwood
Manor
Community
Development
District
Special
Assessment
09/13/18
200,000
98
.67
197
237
Southern
Ohio
Port
Authority
Revenue
Bonds
09/24/20
625,000
97
.29
608
729
Southern
Ohio
Port
Authority
Revenue
Bonds
04/08/21
275,000
113
.85
313
324
St.
Paul
Housing
&
Redevelopment
Authority
Revenue
Bonds
07/27/17
140,000
100
.94
141
161
St.
Paul
Housing
&
Redevelopment
Authority
Revenue
Bonds
07/27/17
230,000
101
.00
232
266
State
of
Hawaii
Department
of
Budget
&
Finance
Revenue
Bonds
12/04/15
2,210,000
102
.48
2,265
2,369
State
of
Ohio
Revenue
Bonds
11/14/19
275,000
106
.40
293
294
State
of
Ohio
Revenue
Bonds
12/05/19
110,000
109
.02
120
119
Stillwater
Community
Development
District
Special
Assessment
03/17/21
50,000
100
.42
50
52
Stillwater
Community
Development
District
Special
Assessment
03/17/21
100,000
102
.93
103
106
Stoneybrook
South
at
Championsgate
Community
Development
District
Special
Assessment
11/25/20
1,000,000
100
.00
1,000
1,041
Storey
Park
Community
Development
District
Special
Assessment
05/25/21
25,000
100
.00
25
25
Storey
Park
Community
Development
District
Special
Assessment
05/25/21
50,000
104
.18
52
53
Timber
Creek
Community
Development
District
Special
Assessment
06/20/18
1,000,000
98
.17
982
1,172
Tohoqua
Community
Development
District
Special
Assessment
03/05/21
100,000
100
.00
100
104
Tolomato
Community
Development
District
Special
Assessment
03/15/18
100,000
99
.25
99
114
Touchstone
Community
Development
District
Special
Assessment
02/02/18
100,000
99
.24
99
112
Touchstone
Community
Development
District
Special
Assessment
02/02/18
100,000
99
.36
99
112
Town
of
Argyle
Special
Assessment
01/24/18
145,000
100
.00
145
167
Town
of
Argyle
Special
Assessment
01/24/18
100,000
100
.00
100
103
Town
of
Little
Elm
Special
Assessment
12/06/17
100,000
100
.35
100
111
Town
of
Little
Elm
Special
Assessment
11/07/18
730,000
100
.00
730
864
Triple
Creek
Community
Development
District
Special
Assessment
11/08/18
265,000
98
.56
261
309
Tuscaloosa
County
Industrial
Development
Authority
Revenue
Bonds
04/17/19
929,000
100
.00
929
1,017
Two
Lakes
Community
Development
District
Special
Assessment
06/19/17
290,000
100
.00
290
317
Two
Lakes
Community
Development
District
Special
Assessment
06/19/17
200,000
102
.54
205
240
Union
County
Improvement
Authority
Revenue
Bonds
10/23/19
600,000
100
.72
604
637
Union
Park
East
Community
Development
District
Special
Assessment
06/02/17
500,000
102
.81
514
582
Upper
Illinois
River
Valley
Redevelopment
Authority
Revenue
Bonds
01/23/20
100,000
105
.94
106
106
V-Dana
Community
Development
District
Special
Assessment
07/23/20
100,000
98
.29
98
106
V-Dana
Community
Development
District
Special
Assessment
04/01/21
500,000
99
.38
497
513
Ventana
Community
Development
District
Special
Assessment
03/01/18
500,000
97
.46
487
579
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
277
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Ventana
Community
Development
District
Special
Assessment
03/01/18
500,000
97
.99
490
579
Veranda
Community
Development
District
II
Special
Assessment
02/24/21
65,000
100
.00
65
68
Veranda
Community
Development
District
II
Special
Assessment
02/24/21
90,000
101
.65
91
96
Verano
No.
1
Community
Development
District
Special
Assessment
05/04/17
100,000
98
.62
99
111
Verano
No.
1
Community
Development
District
Special
Assessment
05/30/17
100,000
100
.00
100
113
Village
at
Southgate
Metropolitan
District
General
Obligation
Limited
05/04/18
1,375,000
100
.00
1,375
1,485
Village
Community
Development
District
No.
12
Special
Assessment
03/16/18
670,000
100
.00
670
752
Village
Community
Development
District
No.
12
Special
Assessment
06/06/18
670,000
101
.26
678
752
Village
Community
Development
District
No.
13
Special
Assessment
09/11/20
265,000
100
.00
265
280
Village
Community
Development
District
No.
13
Special
Assessment
09/11/20
590,000
100
.00
590
621
Washington
Economic
Development
Finance
Authority
Revenue
Bonds
12/15/20
1,000,000
104
.36
1,044
1,231
Washington
State
Housing
Finance
Commission
Revenue
Bonds
09/19/19
200,000
107
.82
216
227
Washington
State
Housing
Finance
Commission
Revenue
Bonds
09/19/19
150,000
108
.56
163
171
Waterset
Central
Community
Development
District
Special
Assessment
05/01/18
150,000
100
.00
150
171
Waterset
Central
Community
Development
District
Special
Assessment
05/01/18
150,000
100
.00
150
171
West
Port
Community
Development
District
Special
Assessment
08/05/20
1,780,000
102
.39
1,814
1,894
West
Port
Community
Development
District
Special
Assessment
05/10/21
90,000
100
.00
90
92
West
Villages
Improvement
District
Special
Assessment
03/31/21
1,935,000
99
.29
1,922
2,000
Westside
Community
Development
District
Special
Assessment
09/20/19
100,000
100
.00
100
109
Westside
Community
Development
District
Special
Assessment
09/20/19
100,000
99
.82
100
109
Wildblue
Community
Development
District
Special
Assessment
05/23/19
125,000
100
.00
125
139
Wildblue
Community
Development
District
Special
Assessment
05/23/19
250,000
100
.29
251
273
Winsome
Metropolitan
District
No.
3
General
Obligation
Limited
07/08/21
500,000
100
.00
500
500
Zephyr
Lakes
Community
Development
District
Special
Assessment
06/17/21
50,000
100
.00
50
51
Zephyr
Lakes
Community
Development
District
Special
Assessment
06/17/21
50,000
104
.60
52
53
197,794
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Short
Positions
United
States
10
Year
Treasury
Note
Futures
158
USD
21,244
09/21
(427)
United
States
10
Year
Ultra
Treasury
Note
Futures
177
USD
26,594
09/21
(888)
United
States
Treasury
Ultra
Bond
Futures
73
USD
14,566
09/21
(841)
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
(2,156)
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical          
Expedient
(a)
Total
Municipal
Bonds
American
Samoa
$
$
253
$
$
$
253
Alabama
18,785
18,785
Alaska
4,555
4,555
Arizona
19,605
19,605
Arkansas
10,821
10,821
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
278
Tax-Exempt
High
Yield
Bond
Fund
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical          
Expedient
(a)
Total
California
156,946
156,946
Colorado
62,983
62,983
Connecticut
14,212
14,212
Delaware
1,231
1,231
District
of
Columbia
18,783
18,783
Florida
133,560
133,560
Georgia
28,084
28,084
Guam
17,085
17,085
Hawaii
3,055
3,055
Idaho
1,343
1,343
Illinois
157,983
157,983
Indiana
6,811
6,811
Iowa
7,564
7,564
Kansas
952
952
Kentucky
4,969
4,969
Louisiana
14,232
14,232
Maine
5,828
5,828
Maryland
12,844
12,844
Massachusetts
15,023
15,023
Michigan
39,163
39,163
Minnesota
11,915
11,915
Mississippi
16,200
16,200
Missouri
9,415
9,415
Montana
2,324
2,324
Nebraska
1,635
1,635
Nevada
5,135
5,135
New
Hampshire
7,538
7,538
New
Jersey
75,279
75,279
New
Mexico
147
147
New
York
129,550
129,550
North
Carolina
11,913
11,913
North
Dakota
4,808
4,808
Ohio
59,276
59,276
Oklahoma
5,863
5,863
Oregon
9,300
9,300
Pennsylvania
75,286
75,286
Puerto
Rico
115,289
115,289
Rhode
Island
2,437
2,437
South
Carolina
9,551
9,551
South
Dakota
2,430
2,430
Tennessee
6,820
6,820
Texas
86,779
86,779
Utah
8,971
720
9,691
Vermont
2,875
2,875
Virgin
Islands
8,087
8,087
Virginia
20,067
20,067
Washington
18,403
18,403
West
Virginia
2,529
2,529
Russell
Investment
Company
Tax-Exempt
High
Yield
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
High
Yield
Bond
Fund
279
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical          
Expedient
(a)
Total
Wisconsin
21,362
21,362
Wyoming
1,087
1,087
Short-Term
Investments
44,929
44,929
Total
Investments
1,488,941
720
44,929
1,534,590
Other
Financial
Instruments
T
Liabilities
Futures
Contracts
(2,156)
(2,156)
Total
Other
Financial
Instruments
*
$
(2,156)
$
$
$
$
(2,156)
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
280
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Municipal
Bonds
-
93.7%
Alabama
-
1.4%
Alabama
Community
College
System
Board
of
Trustees
Revenue
Bonds
(µ)
150
4.000
01/01/33
178
Alabama
Community
College
System
Board
of
Trustees
Revenue
Bonds
(µ)
200
4.000
01/01/34
236
Alabama
Community
College
System
Board
of
Trustees
Revenue
Bonds
(µ)
300
4.000
01/01/36
351
Alabama
Community
College
System
Board
of
Trustees
Revenue
Bonds
(µ)
530
4.000
01/01/38
618
Alabama
Community
College
System
Board
of
Trustees
Revenue
Bonds
(µ)
380
4.000
01/01/39
442
Alabama
Community
College
System
Revenue
Bonds
(µ)
210
3.000
11/01/22
217
Alabama
Community
College
System
Revenue
Bonds
(µ)
235
4.000
11/01/25
268
Alabama
Federal
Aid
Highway
Finance
Authority
Revenue
Bonds
1,725
5.000
09/01/28
2,172
Bessemer
Governmental
Utility
Services
Corp.
Revenue
Bonds
(µ)
1,000
5.000
06/01/31
1,238
Birmingham
Airport
Authority
Revenue
Bonds
(µ)
700
5.000
07/01/28
900
Birmingham
Airport
Authority
Revenue
Bonds
(µ)
760
5.000
07/01/29
1,000
Birmingham
Airport
Authority
Revenue
Bonds
(µ)
1,000
4.000
07/01/37
1,218
Birmingham
Airport
Authority
Revenue
Bonds
(µ)
700
4.000
07/01/39
848
Birmingham
Airport
Authority
Revenue
Bonds
(µ)
600
4.000
07/01/40
726
City
of
Birmingham
Special
Care
Facilities
Financing
Authority
Revenue
Bonds
2,000
5.000
06/01/32
2,310
City
of
Gadsden
General
Obligation
Unlimited
(µ)
1,690
5.000
08/01/27
2,108
City
of
Montgomery
General
Obligation
Unlimited
500
4.000
12/01/35
620
City
of
Montgomery
General
Obligation
Unlimited
500
4.000
12/01/37
616
County
of
Jefferson
Sewer
Revenue
Bonds
2,230
5.000
10/01/22
2,357
County
of
Jefferson
Sewer
Revenue
Bonds
(µ)
585
5.500
10/01/53
658
County
of
Jefferson
Sewer
Revenue
Bonds
250
6.500
10/01/53
293
Homewood
Educational
Building
Authority
Revenue
Bonds
(µ)
485
5.000
12/01/26
512
Homewood
Educational
Building
Authority
Revenue
Bonds
(µ)(ae)
2,750
5.000
12/01/41
2,926
Limestone
County
Board
of
Education
Special
Tax
(µ)
1,000
5.000
11/01/30
1,102
Limestone
County
Board
of
Education
Special
Tax
(µ)
1,000
5.000
11/01/31
1,101
Mobile
County
Board
of
School
Commissioners
Revenue
Bonds
1,445
5.000
03/01/32
1,485
Pell
City
Special
Care
Facilities
Financing
Authority
Revenue
Bonds
9,000
5.000
12/01/31
9,120
Phoenix
City
Board
of
Education
School
Warrants
Special
Tax
(µ)
2,140
4.000
08/01/39
2,566
Prichard
Waterworks
and
Sewer
Board
Water
Revenue
Bonds
1,590
4.000
11/01/37
1,807
Prichard
Waterworks
and
Sewer
Board
Water
Revenue
Bonds
1,670
4.000
11/01/38
1,894
Southeast
Alabama
Gas
Supply
District
Revenue
Bonds
760
4.000
06/01/24
835
Southeast
Alabama
Gas
Supply
District
Revenue
Bonds
(USD
1
Month
LIBOR
+
0.850%)(ae)(Ê)
2,000
0.966
06/01/49
2,020
University
of
South
Alabama
Revenue
Bonds
(µ)
1,530
5.000
11/01/24
1,758
University
of
South
Alabama
Revenue
Bonds
(µ)
1,695
5.000
11/01/25
2,013
University
of
South
Alabama
Revenue
Bonds
(µ)
1,000
5.000
10/01/31
1,234
University
of
South
Alabama
Revenue
Bonds
(µ)
715
5.000
10/01/32
880
University
of
South
Alabama
Revenue
Bonds
(µ)
325
5.000
10/01/36
397
University
of
West
Alabama
Revenue
Bonds
(µ)
200
5.000
01/01/28
248
University
of
West
Alabama
Revenue
Bonds
(µ)
200
5.000
01/01/29
254
University
of
West
Alabama
Revenue
Bonds
(µ)
200
5.000
01/01/30
258
University
of
West
Alabama
Revenue
Bonds
(µ)
300
4.000
01/01/33
355
University
of
West
Alabama
Revenue
Bonds
(µ)
330
4.000
01/01/34
388
University
of
West
Alabama
Revenue
Bonds
(µ)
430
4.000
01/01/35
504
University
of
West
Alabama
Revenue
Bonds
(µ)
450
4.000
01/01/36
526
University
of
West
Alabama
Revenue
Bonds
(µ)
250
4.000
01/01/38
291
University
of
West
Alabama
Revenue
Bonds
(µ)
380
4.000
01/01/39
441
54,289
Alaska
-
0.3%
Alaska
Industrial
Development
&
Export
Authority
Revenue
Bonds
1,170
5.000
04/01/25
1,251
Alaska
Industrial
Development
&
Export
Authority
Revenue
Bonds
785
5.000
06/01/28
912
Alaska
Industrial
Development
&
Export
Authority
Revenue
Bonds
465
5.000
06/01/33
546
Alaska
Municipal
Bond
Bank
Authority
Revenue
Bonds
160
5.000
12/01/26
197
Alaska
Municipal
Bond
Bank
Authority
Revenue
Bonds
635
5.000
12/01/27
802
Alaska
Municipal
Bond
Bank
Authority
Revenue
Bonds
295
5.000
12/01/28
381
Alaska
Municipal
Bond
Bank
Authority
Revenue
Bonds
300
5.000
12/01/29
396
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
281
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Alaska
Municipal
Bond
Bank
Authority
Revenue
Bonds
210
5.000
12/01/30
282
City
of
Valdez
Revenue
Bonds
(~)(Ê)
2,200
0.150
05/01/31
2,200
Northern
Tobacco
Securitization
Corp.
Revenue
Bonds
200
5.000
06/01/27
249
Northern
Tobacco
Securitization
Corp.
Revenue
Bonds
500
5.000
06/01/30
663
Northern
Tobacco
Securitization
Corp.
Revenue
Bonds
125
5.000
06/01/31
127
Northern
Tobacco
Securitization
Corp.
Revenue
Bonds
875
5.000
06/01/31
1,183
Northern
Tobacco
Securitization
Corp.
Revenue
Bonds
875
5.000
06/01/32
1,169
Northern
Tobacco
Securitization
Corp.
Revenue
Bonds
750
5.000
06/01/33
996
Northern
Tobacco
Securitization
Corp.
Revenue
Bonds
1,000
4.000
06/01/34
1,230
12,584
Arizona
-
1.4%
Arizona
Health
Facilities
Authority
Revenue
Bonds
(USD
3
Month
LIBOR
+
0.810%)(Ê)
6,625
1.770
01/01/37
6,598
Arizona
Industrial
Development
Authority
Revenue
Bonds
490
5.000
05/01/27
542
Arizona
Industrial
Development
Authority
Revenue
Bonds
270
5.000
05/01/28
301
Arizona
Industrial
Development
Authority
Revenue
Bonds
1,180
5.000
11/01/28
1,506
Arizona
Industrial
Development
Authority
Revenue
Bonds
(Þ)
265
3.000
12/15/31
282
Arizona
Industrial
Development
Authority
Revenue
Bonds
1,450
5.000
11/01/32
1,840
Arizona
Industrial
Development
Authority
Revenue
Bonds
1,100
5.000
11/01/35
1,364
Arizona
Industrial
Development
Authority
Revenue
Bonds
1,050
5.000
11/01/37
1,297
Arizona
Industrial
Development
Authority
Revenue
Bonds
750
4.000
11/01/39
892
Arizona
Industrial
Development
Authority
Revenue
Bonds
1,000
5.000
11/01/39
1,230
Arizona
Industrial
Development
Authority
Revenue
Bonds
800
4.000
11/01/40
949
Arizona
Industrial
Development
Authority
Revenue
Bonds
120
5.000
01/01/43
130
Arizona
Industrial
Development
Authority
Revenue
Bonds
225
5.000
11/01/44
274
Arizona
Industrial
Development
Authority
Revenue
Bonds
500
4.500
01/01/49
514
Arizona
Industrial
Development
Authority
Revenue
Bonds
275
5.000
01/01/54
294
Arizona
Transportation
Board
Revenue
Bonds
2,735
5.000
07/01/25
3,112
City
of
Glendale
Excise
Tax
Revenue
Bonds
2,505
5.000
07/01/29
3,130
City
of
Glendale
Excise
Tax
Revenue
Bonds
2,025
5.000
07/01/32
2,502
City
of
Mesa
Utility
System
Revenue
Bonds
1,400
4.000
07/01/35
1,757
County
of
Pinal
Revenue
Bonds
1,775
5.000
08/01/25
2,023
Entertainment
Center
Community
Facilities
District
Revenue
Bonds
3,233
4.000
07/01/37
3,278
Festival
Ranch
Community
Facilities
District
General
Obligation
Unlimited
(µ)
850
4.000
07/15/36
970
La
Paz
County
Industrial
Development
Authority
Revenue
Bonds
50
4.000
02/15/41
58
Maricopa
County
Industrial
Development
Authority
Revenue
Bonds
850
5.000
09/01/30
1,093
Maricopa
County
Industrial
Development
Authority
Revenue
Bonds
1,000
5.000
09/01/31
1,281
Maricopa
County
Industrial
Development
Authority
Revenue
Bonds
925
5.000
09/01/32
1,182
Maricopa
County
Industrial
Development
Authority
Revenue
Bonds
800
5.000
09/01/33
1,019
Maricopa
County
Industrial
Development
Authority
Revenue
Bonds
(SIFMA
Municipal
Swap
Index
+
0.380%)(ae)(Ê)
1,890
0.450
01/01/35
1,888
Maricopa
County
Industrial
Development
Authority
Revenue
Bonds
610
4.000
01/01/41
703
Maricopa
County
Unified
School
District
No.
11-Peoria
General
Obligation
Unlimited
(µ)
325
5.000
07/01/29
407
Maricopa
County
Unified
School
District
No.
11-Peoria
General
Obligation
Unlimited
(µ)
250
5.000
07/01/30
311
Pinal
County
Elementary
School
District
No.
4
Casa
Grande
General
Obligation
Unlimited
(µ)
125
5.000
07/01/28
155
Pinal
County
Elementary
School
District
No.
4
Casa
Grande
General
Obligation
Unlimited
(µ)
215
5.000
07/01/29
264
Pinal
County
Elementary
School
District
No.
4
Casa
Grande
General
Obligation
Unlimited
(µ)
765
5.000
07/01/30
936
Salt
River
Project
Agricultural
Improvement
&
Power
District
Electrical
System
Revenue
Bonds
1,960
5.000
01/01/36
2,446
Salt
Verde
Financial
Corp.
Revenue
Bonds
1,090
5.250
12/01/24
1,253
Salt
Verde
Financial
Corp.
Revenue
Bonds
800
5.000
12/01/37
1,142
Student
&
Academic
Services
LLC
Revenue
Bonds
(µ)
425
5.000
06/01/27
478
Student
&
Academic
Services
LLC
Revenue
Bonds
(µ)
390
5.000
06/01/28
438
Tempe
Industrial
Development
Authority
Revenue
Bonds
(Þ)
855
4.000
10/01/23
855
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
282
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Town
of
Marana
Revenue
Bonds
1,485
5.000
07/01/28
1,618
Yuma
&
La
Paz
Counties
Community
College
District
Revenue
Bonds
(µ)
340
4.000
07/01/31
428
Yuma
&
La
Paz
Counties
Community
College
District
Revenue
Bonds
(µ)
355
4.000
07/01/32
444
Yuma
&
La
Paz
Counties
Community
College
District
Revenue
Bonds
(µ)
370
4.000
07/01/33
461
Yuma
&
La
Paz
Counties
Community
College
District
Revenue
Bonds
(µ)
370
4.000
07/01/34
459
Yuma
&
La
Paz
Counties
Community
College
District
Revenue
Bonds
(µ)
350
4.000
07/01/35
434
Yuma
&
La
Paz
Counties
Community
College
District
Revenue
Bonds
(µ)
315
4.000
07/01/36
389
54,927
Arkansas
-
0.4%
Arkansas
Development
Finance
Authority
Revenue
Bonds
200
4.000
07/01/24
214
Arkansas
Development
Finance
Authority
Revenue
Bonds
190
4.000
07/01/26
210
Arkansas
Development
Finance
Authority
Revenue
Bonds
230
4.000
07/01/28
259
Arkansas
Development
Finance
Authority
Revenue
Bonds
50
3.000
07/01/32
51
Arkansas
Development
Finance
Authority
Revenue
Bonds
955
4.000
06/01/35
1,132
Arkansas
Development
Finance
Authority
Revenue
Bonds
230
3.125
07/01/36
235
Batesville
Public
Facilities
Board
Revenue
Bonds
70
5.000
06/01/22
72
Batesville
Public
Facilities
Board
Revenue
Bonds
95
5.000
06/01/23
102
Batesville
Public
Facilities
Board
Revenue
Bonds
140
5.000
06/01/24
155
Batesville
Public
Facilities
Board
Revenue
Bonds
165
5.000
06/01/25
189
Batesville
Public
Facilities
Board
Revenue
Bonds
230
5.000
06/01/26
270
Batesville
Public
Facilities
Board
Revenue
Bonds
225
5.000
06/01/27
271
City
of
Fort
Smith
Water
&
Sewer
Revenue
Bonds
3,500
5.000
10/01/31
4,480
City
of
Hot
Springs
Waterworks
Revenue
Bonds
(µ)
600
4.000
10/01/36
674
City
of
Hot
Springs
Waterworks
Revenue
Bonds
(µ)
600
4.000
10/01/37
672
City
of
Sherwood
Sales
&
Use
Tax
Revenue
Bonds
495
4.000
12/01/30
580
City
of
Sherwood
Sales
&
Use
Tax
Revenue
Bonds
500
3.050
12/01/43
518
County
of
Pulaski
Revenue
Bonds
1,000
5.000
03/01/29
1,205
Southern
Arkansas
University
Revenue
Bonds
(µ)
1,005
4.000
03/01/33
1,081
Southern
Arkansas
University
Revenue
Bonds
(µ)
1,500
4.000
03/01/36
1,611
University
of
Central
Arkansas
Revenue
Bonds
(µ)
400
3.250
11/01/33
427
University
of
Central
Arkansas
Revenue
Bonds
(µ)
325
5.000
11/01/36
381
14,789
California
-
7.3%
Banning
Unified
School
District
General
Obligation
Unlimited
(µ)
500
5.000
08/01/28
607
Beaumont
Financing
Authority
Special
Tax
995
5.000
09/01/45
1,130
Brea
Redevelopment
Agency
Tax
Allocation
600
5.000
08/01/32
743
Brentwood
Infrastructure
Financing
Authority
Special
Assessment
(µ)
995
5.000
09/02/29
1,134
Brentwood
Union
School
District
General
Obligation
Unlimited
200
5.000
08/01/32
242
Brentwood
Union
School
District
General
Obligation
Unlimited
250
5.000
08/01/33
303
California
County
Tobacco
Securitization
Agency
Revenue
Bonds
100
4.000
06/01/49
115
California
Educational
Facilities
Authority
Revenue
Bonds
200
5.000
10/01/27
253
California
Educational
Facilities
Authority
Revenue
Bonds
445
5.000
10/01/32
563
California
Educational
Facilities
Authority
Revenue
Bonds
800
5.000
10/01/35
1,003
California
Health
Facilities
Financing
Authority
Revenue
Bonds
1,000
5.000
02/01/26
1,207
California
Health
Facilities
Financing
Authority
Revenue
Bonds
1,265
5.000
02/01/27
1,577
California
Health
Facilities
Financing
Authority
Revenue
Bonds
(Þ)
875
2.125
11/15/27
888
California
Health
Facilities
Financing
Authority
Revenue
Bonds
1,350
5.000
02/01/28
1,676
California
Health
Facilities
Financing
Authority
Revenue
Bonds
1,000
5.000
11/15/29
1,054
California
Health
Facilities
Financing
Authority
Revenue
Bonds
365
5.000
08/15/32
448
California
Health
Facilities
Financing
Authority
Revenue
Bonds
600
5.000
08/15/33
734
California
Health
Facilities
Financing
Authority
Revenue
Bonds
1,600
5.000
08/15/35
1,952
California
Health
Facilities
Financing
Authority
Revenue
Bonds
850
5.000
08/15/47
1,023
California
Infrastructure
&
Economic
Development
Bank
Revenue
Bonds
185
5.000
10/01/22
196
California
Infrastructure
&
Economic
Development
Bank
Revenue
Bonds
320
5.000
11/01/26
394
California
Infrastructure
&
Economic
Development
Bank
Revenue
Bonds
135
5.000
11/01/27
171
California
Infrastructure
&
Economic
Development
Bank
Revenue
Bonds
(~)(ae)(Ê)
1,500
1.200
06/01/28
1,523
California
Infrastructure
&
Economic
Development
Bank
Revenue
Bonds
295
5.000
11/01/32
376
California
Infrastructure
&
Economic
Development
Bank
Revenue
Bonds
400
5.000
11/01/33
508
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
283
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
California
Municipal
Finance
Authority
Revenue
Bonds
1,825
2.000
07/01/24
1,826
California
Municipal
Finance
Authority
Revenue
Bonds
100
5.000
10/01/26
121
California
Municipal
Finance
Authority
Revenue
Bonds
690
5.000
08/15/27
862
California
Municipal
Finance
Authority
Revenue
Bonds
250
5.000
10/01/27
311
California
Municipal
Finance
Authority
Revenue
Bonds
225
5.000
10/01/29
285
California
Municipal
Finance
Authority
Revenue
Bonds
11,100
5.000
05/15/30
14,172
California
Municipal
Finance
Authority
Revenue
Bonds
100
5.000
10/01/30
126
California
Municipal
Finance
Authority
Revenue
Bonds
350
5.000
01/01/31
447
California
Municipal
Finance
Authority
Revenue
Bonds
(µ)
200
5.000
05/15/31
270
California
Municipal
Finance
Authority
Revenue
Bonds
75
4.000
07/01/31
88
California
Municipal
Finance
Authority
Revenue
Bonds
(µ)
750
4.000
05/15/32
934
California
Municipal
Finance
Authority
Revenue
Bonds
800
5.000
08/15/32
989
California
Municipal
Finance
Authority
Revenue
Bonds
1,200
5.000
08/15/34
1,479
California
Municipal
Finance
Authority
Revenue
Bonds
(µ)
1,200
4.000
05/15/35
1,481
California
Municipal
Finance
Authority
Revenue
Bonds
400
5.000
02/01/36
487
California
Municipal
Finance
Authority
Revenue
Bonds
250
4.000
07/01/41
296
California
Municipal
Finance
Authority
Revenue
Bonds
575
5.000
07/01/47
693
California
Public
Finance
Authority
Revenue
Bonds
400
4.000
10/15/27
473
California
Public
Finance
Authority
Revenue
Bonds
360
4.000
10/15/28
433
California
Public
Finance
Authority
Revenue
Bonds
(~)(Ê)
680
4.000
10/15/51
835
California
Public
Works
Board
Revenue
Bonds
1,000
4.000
05/01/36
1,246
California
Public
Works
Board
Revenue
Bonds
500
4.000
05/01/37
620
California
School
Finance
Authority
Revenue
Bonds
(Þ)
260
2.000
10/01/23
267
California
School
Finance
Authority
Revenue
Bonds
(Þ)
295
2.000
10/01/26
308
California
School
Finance
Authority
Revenue
Bonds
(Þ)
215
3.000
10/01/31
236
California
School
Finance
Authority
Revenue
Bonds
500
4.000
11/01/31
593
California
School
Finance
Authority
Revenue
Bonds
1,000
4.000
11/01/36
1,174
California
School
Finance
Authority
Revenue
Bonds
(Þ)
100
5.000
07/01/40
117
California
School
Finance
Authority
Revenue
Bonds
525
5.000
08/01/46
598
California
Statewide
Communities
Development
Authority
Revenue
Bonds
1,475
5.000
05/15/23
1,599
California
Statewide
Communities
Development
Authority
Revenue
Bonds
575
4.000
09/02/23
612
California
Statewide
Communities
Development
Authority
Revenue
Bonds
(~)(Ê)
500
0.090
05/15/24
500
California
Statewide
Communities
Development
Authority
Revenue
Bonds
500
4.000
09/02/26
558
California
Statewide
Communities
Development
Authority
Revenue
Bonds
400
4.000
09/02/27
451
California
Statewide
Communities
Development
Authority
Revenue
Bonds
(Þ)
2,630
3.500
11/01/27
2,937
California
Statewide
Communities
Development
Authority
Revenue
Bonds
(Þ)
350
5.000
12/01/27
427
California
Statewide
Communities
Development
Authority
Revenue
Bonds
300
4.000
09/02/28
342
California
Statewide
Communities
Development
Authority
Revenue
Bonds
275
5.000
04/01/30
329
California
Statewide
Communities
Development
Authority
Revenue
Bonds
300
4.000
09/02/30
345
California
Statewide
Communities
Development
Authority
Revenue
Bonds
3,125
6.125
11/01/33
3,488
California
Statewide
Communities
Development
Authority
Revenue
Bonds
900
5.000
08/01/34
962
California
Statewide
Communities
Development
Authority
Revenue
Bonds
625
4.000
09/01/41
733
California
Statewide
Communities
Development
Authority
Revenue
Bonds
825
5.000
04/01/47
962
Camarillo
Community
Development
Commission
Successor
Agency
Tax
Allocation
(µ)
425
4.000
09/01/38
479
Chula
Vista
Community
Facilities
District
Special
Tax
880
4.000
09/01/36
1,008
Chula
Vista
Community
Facilities
District
Special
Tax
770
4.000
09/01/41
873
City
&
County
of
San
Francisco
Community
Facilities
District
No.
2016-1
Special
Tax
125
4.000
09/01/41
142
City
of
Bell
General
Obligation
Unlimited
(µ)
500
3.375
08/01/33
562
City
of
Bell
General
Obligation
Unlimited
(µ)
500
3.375
08/01/34
561
City
of
Berkeley
General
Obligation
Unlimited
140
5.000
09/01/22
147
City
of
Calimesa
California
Special
Tax
415
4.000
09/01/37
477
City
of
Clovis
Wastewater
Revenue
Bonds
(µ)
1,250
5.000
08/01/28
1,573
City
of
Lemoore
Water
Revenue
Bonds
(µ)
230
5.000
06/01/33
287
City
of
Lemoore
Water
Revenue
Bonds
(µ)
500
5.000
06/01/38
615
City
of
Lemoore
Water
Revenue
Bonds
(µ)
600
5.000
06/01/39
741
City
of
Los
Angeles
Department
of
Airports
Revenue
Bonds
725
5.000
05/15/28
851
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
284
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
City
of
Los
Angeles
Department
of
Airports
Revenue
Bonds
1,500
5.000
05/15/38
2,009
City
of
Los
Angeles
Department
of
Airports
Revenue
Bonds
1,500
5.000
05/15/39
2,004
City
of
Palm
Desert
Special
Tax
25
4.000
09/01/30
29
City
of
Palm
Desert
Special
Tax
25
4.000
09/01/33
29
City
of
Palm
Desert
Special
Tax
25
4.000
09/01/36
29
City
of
Roseville
Special
Tax
5
3.000
09/01/22
5
City
of
Roseville
Special
Tax
10
4.000
09/01/24
11
City
of
Roseville
Special
Tax
10
4.000
09/01/26
11
City
of
Roseville
Special
Tax
10
5.000
09/01/30
12
City
of
Roseville
Special
Tax
25
4.000
09/01/32
29
City
of
Roseville
Special
Tax
30
4.000
09/01/34
34
City
of
Roseville
Special
Tax
35
4.000
09/01/36
40
City
of
Roseville
Special
Tax
125
2.500
09/01/37
126
City
of
Roseville
Special
Tax
40
4.000
09/01/38
45
City
of
Roseville
Special
Tax
45
4.000
09/01/40
51
City
of
Roseville
Special
Tax
75
4.000
09/01/41
87
City
of
Sacramento
Special
Tax
125
4.000
09/01/41
143
City
of
Sacramento
Unified
School
District
General
Obligation
Unlimited
(µ)
3,000
5.000
07/01/31
3,125
City
of
Susanville
Natural
Gas
Revenue
Bonds
(µ)
735
4.000
06/01/32
859
Compton
Unified
School
District
General
Obligation
Unlimited
(µ)
1,250
4.000
06/01/30
1,463
Compton
Unified
School
District
General
Obligation
Unlimited
(µ)
2,000
4.000
06/01/31
2,335
Compton
Unified
School
District
General
Obligation
Unlimited
(µ)
1,850
4.000
06/01/32
2,157
Corona-Norco
Unified
School
District
General
Obligation
Unlimited
3,430
4.000
08/01/39
4,024
County
of
San
Diego
Special
Tax
185
4.000
09/01/45
206
Desert
Hot
Springs
Redevelopment
Agency
Successor
Agency
Tax
Allocation
(µ)
1,105
5.000
09/01/28
1,375
Desert
Hot
Springs
Redevelopment
Agency
Successor
Agency
Tax
Allocation
(µ)
400
5.000
09/01/29
495
Desert
Hot
Springs
Redevelopment
Agency
Successor
Agency
Tax
Allocation
(µ)
775
5.000
09/01/32
948
Dinuba
Redevelopment
Agency
Tax
Allocation
(µ)
590
5.000
09/01/33
664
Dixon
Unified
School
District
General
Obligation
Unlimited
(µ)
110
5.000
08/01/34
141
Golden
State
Tobacco
Securitization
Corp.
Revenue
Bonds
3,690
5.000
06/01/28
4,568
Golden
State
Tobacco
Securitization
Corp.
Revenue
Bonds
11,175
5.000
06/01/31
14,033
Golden
State
Tobacco
Securitization
Corp.
Revenue
Bonds
10,700
5.000
06/01/32
13,398
Golden
State
Tobacco
Securitization
Corp.
Revenue
Bonds
4,550
5.000
06/01/34
5,660
Grossmont-
Cuyamaca
Community
College
District
General
Obligation
Unlimited
425
5.000
08/01/34
543
Grossmont-
Cuyamaca
Community
College
District
General
Obligation
Unlimited
500
5.000
08/01/35
639
Grossmont-
Cuyamaca
Community
College
District
General
Obligation
Unlimited
1,000
5.000
08/01/36
1,275
Grossmont-
Cuyamaca
Community
College
District
General
Obligation
Unlimited
1,125
5.000
08/01/37
1,431
Hemet
Unified
School
District
General
Obligation
Unlimited
(µ)
400
4.000
08/01/40
448
Hollister
Joint
Powers
Financing
Authority  Wastewater
Revenue
Bonds
(µ)
1,000
5.000
06/01/36
1,198
Indio
Redevelopment
Agency
Successor
Agency
Tax
Allocation
(µ)
760
5.000
08/15/29
967
Indio
Redevelopment
Agency
Successor
Agency
Tax
Allocation
(µ)
410
5.000
08/15/30
519
Indio
Redevelopment
Agency
Successor
Agency
Tax
Allocation
(µ)
1,845
5.000
08/15/31
2,326
Indio
Redevelopment
Agency
Successor
Agency
Tax
Allocation
(µ)
1,625
5.000
08/15/32
2,044
Indio
Redevelopment
Agency
Successor
Agency
Tax
Allocation
(µ)
1,100
5.000
08/15/33
1,380
Inglewood
Redevelopment
Agency
Successor
Agency
Tax
Allocation
(µ)
1,000
5.000
05/01/33
1,226
Inglewood
Unified
School
District
General
Obligation
Unlimited
(µ)
250
4.000
08/01/26
291
Inglewood
Unified
School
District
General
Obligation
Unlimited
(µ)
325
5.000
08/01/28
407
Inglewood
Unified
School
District
General
Obligation
Unlimited
(µ)
400
5.000
08/01/30
495
Inglewood
Unified
School
District
General
Obligation
Unlimited
(µ)
790
5.000
08/01/31
966
Inglewood
Unified
School
District
General
Obligation
Unlimited
(µ)
345
5.000
08/01/32
413
Inglewood
Unified
School
District
General
Obligation
Unlimited
(µ)
500
5.000
08/01/33
596
Irvine
Unified
School
District
Special
Tax
60
5.000
09/01/30
79
Irvine
Unified
School
District
Special
Tax
50
5.000
09/01/32
66
Irvine
Unified
School
District
Special
Tax
60
5.000
09/01/34
78
Irvine
Unified
School
District
Special
Tax
75
5.000
09/01/36
97
La
Mesa
Spring
Valley
School
District
General
Obligation
Unlimited
200
4.000
08/01/35
234
La
Mesa
Spring
Valley
School
District
General
Obligation
Unlimited
365
4.000
08/01/37
425
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
285
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
La
Mesa
Spring
Valley
School
District
General
Obligation
Unlimited
500
4.000
08/01/39
581
La
Mesa
Spring
Valley
School
District
General
Obligation
Unlimited
520
4.000
08/01/41
601
Lake
Elsinore
School
Financing
Authority
Special
Tax
(µ)
750
5.000
10/01/34
960
Lake
Elsinore
School
Financing
Authority
Special
Tax
(µ)
1,490
5.000
10/01/35
1,905
Lancaster
Redevelopment
Agency
Successor
Agency
Tax
Allocation
(µ)
1,380
5.000
08/01/33
1,651
Los
Angeles
Community
College
District
General
Obligation
Unlimited
1,890
4.000
08/01/37
2,195
Los
Angeles
County
Metropolitan
Transportation
Authority
Revenue
Bonds
2,500
5.000
06/01/37
3,315
Lynwood
Unified
School
District
General
Obligation
Unlimited
(µ)
565
2.769
08/01/31
450
Lynwood
Unified
School
District
General
Obligation
Unlimited
(µ)
500
2.943
08/01/32
380
Lynwood
Unified
School
District
General
Obligation
Unlimited
(µ)
685
3.113
08/01/33
497
Lynwood
Unified
School
District
General
Obligation
Unlimited
(µ)
630
3.256
08/01/34
437
Lynwood
Unified
School
District
General
Obligation
Unlimited
(µ)
785
3.381
08/01/35
519
Lynwood
Unified
School
District
General
Obligation
Unlimited
(µ)
990
3.478
08/01/36
625
Lynwood
Utility
Authority
Revenue
Bonds
(µ)
465
5.000
06/01/32
573
Madera
Development
Agency
Successor
Agency
Tax
Allocation
2,305
5.000
09/01/36
2,883
Metropolitan
Water
District
of
Southern
California
Revenue
Bonds
(SIFMA
Municipal
Swap
Index
+
0.140%)(ae)(Ê)
6,650
0.210
05/21/24
6,650
Napa
Valley
Community
College
District
General
Obligation
Unlimited
4,000
Zero
coupon
08/01/31
4,568
Napa
Valley
Unified
School
District
General
Obligation
Unlimited
(µ)
2,235
4.000
08/01/44
2,567
Norman
Y.
Mineta
San
Jose
International
Airport
Revenue
Bonds
(µ)
2,505
4.000
03/01/34
3,135
Oakland
Unified
School
District
General
Obligation
Unlimited
(µ)
1,000
4.000
08/01/34
1,167
Oxnard
Financing
Authority
Revenue
Bonds
(µ)
775
5.000
06/01/34
871
Oxnard
School
District
General
Obligation
Unlimited
(µ)
810
5.250
08/01/28
962
Palmdale
Water
District
Public
Financing
Authority
Revenue
Bonds
(µ)
350
5.000
10/01/29
440
Palmdale
Water
District
Public
Financing
Authority
Revenue
Bonds
(µ)
185
5.000
10/01/30
230
Palmdale
Water
District
Public
Financing
Authority
Revenue
Bonds
(µ)
390
5.000
10/01/31
484
Palmdale
Water
District
Public
Financing
Authority
Revenue
Bonds
(µ)
405
5.000
10/01/32
501
Palomar
Health
General
Obligation
Unlimited
2,230
5.000
08/01/29
2,638
Paramount
Unified
School
District
General
Obligation
Unlimited
(µ)
1,355
2.845
08/01/34
999
Pittsburg
Unified
School
District
General
Obligation
Unlimited
(µ)
150
4.000
08/01/31
185
Pittsburg
Unified
School
District
General
Obligation
Unlimited
(µ)
225
4.000
08/01/34
272
Pittsburg
Unified
School
District
General
Obligation
Unlimited
(µ)
305
4.000
08/01/37
365
Pittsburg
Unified
School
District
General
Obligation
Unlimited
(µ)
175
4.000
08/01/38
209
Pittsburg
Unified
School
District
General
Obligation
Unlimited
(µ)
360
4.000
08/01/40
427
Pittsburg
Unified
School
District
General
Obligation
Unlimited
(µ)
875
4.000
08/01/46
1,027
Reef-Sunset
Unified
School
District
General
Obligation
Unlimited
(µ)
665
5.000
08/01/38
824
Rio
Vista
Public
Financing
Authority
Special
Tax
275
5.000
09/01/27
332
Rio
Vista
Public
Financing
Authority
Special
Tax
235
5.000
09/01/29
282
Ripon
Redevelopment
Agency
Successor
Agency
Tax
Allocation
(µ)
540
4.000
11/01/32
665
Ripon
Redevelopment
Agency
Successor
Agency
Tax
Allocation
(µ)
415
4.000
11/01/35
505
Riverside
County
Community
Facilities
Districts
Special
Tax
(µ)
1,300
4.000
09/01/40
1,564
Riverside
County
Public
Financing
Authority
Tax
Allocation
(µ)
2,270
5.000
10/01/27
2,680
Riverside
County
Public
Financing
Authority
Tax
Allocation
(µ)
1,000
5.000
10/01/28
1,178
Riverside
County
Public
Financing
Authority
Tax
Allocation
(µ)
1,150
5.000
10/01/30
1,351
Riverside
County
Redevelopment
Successor
Agency
Tax
Allocation
(µ)
490
Zero
coupon
10/01/28
593
Riverside
County
Redevelopment
Successor
Agency
Tax
Allocation
(µ)
1,010
Zero
coupon
10/01/37
1,206
Riverside
Unified
School
District
Special
Tax
25
4.000
09/01/27
29
Riverside
Unified
School
District
Special
Tax
30
4.000
09/01/28
35
Riverside
Unified
School
District
Special
Tax
30
4.000
09/01/29
35
Riverside
Unified
School
District
Special
Tax
30
4.000
09/01/30
35
Roseville
Joint
Union
High
School
District
Certificate
of
Participation
(µ)
400
1.000
06/01/25
403
Roseville
Joint
Union
High
School
District
Certificate
of
Participation
(µ)
300
1.000
06/01/26
299
Roseville
Joint
Union
High
School
District
Certificate
of
Participation
(µ)
365
1.125
06/01/27
364
Roseville
Joint
Union
High
School
District
Certificate
of
Participation
(µ)
1,000
2.125
06/01/35
1,018
Sacramento
County
Water
Financing
Authority
Revenue
Bonds
(USD
3
Month
LIBOR
+
0.550%)(µ)(Ê)
600
0.785
06/01/34
601
Salinas
City
Elementary
School
District
General
Obligation
Unlimited
(µ)
2,950
3.622
07/01/34
1,923
Salinas
City
Elementary
School
District
General
Obligation
Unlimited
(µ)
1,885
3.775
07/01/36
1,119
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
286
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Salinas
City
Elementary
School
District
General
Obligation
Unlimited
(µ)
3,180
3.835
07/01/37
1,804
San
Francisco
City
&
County
Airport
Comm
-San
Francisco
International
Airport
Revenue
Bonds
2,275
4.000
05/01/38
2,772
San
Francisco
City
&
County
Public
Utilities
Commission
Water
Revenue
Bonds
(ae)
2,685
5.000
11/01/27
2,718
San
Jacinto
Unified
School
District
Financing
Authority
Special
Tax
100
5.000
09/01/36
119
San
Jacinto
Unified
School
District
Financing
Authority
Special
Tax
250
5.000
09/01/44
293
San
Jacinto
Unified
School
District
Financing
Authority
Special
Tax
375
5.000
09/01/49
439
San
Leandro
Unified
School
District
General
Obligation
Unlimited
(µ)
430
5.000
08/01/34
535
San
Leandro
Unified
School
District
General
Obligation
Unlimited
(µ)
800
4.000
08/01/39
945
San
Lorenzo
Unified
School
District
725
4.000
08/01/47
845
San
Ysidro
School
District
Certificate
of
Participation
(µ)
1,175
5.000
09/01/28
1,375
San
Ysidro
School
District
General
Obligation
Unlimited
(µ)
1,000
Zero
coupon
08/01/41
669
Sanger
Unified
School
District
General
Obligation
Unlimited
(µ)
525
5.000
08/01/31
654
Sanger
Unified
School
District
General
Obligation
Unlimited
(µ)
780
5.000
08/01/33
964
Sanger
Unified
School
District
General
Obligation
Unlimited
(µ)
1,275
5.000
08/01/34
1,575
Santa
Ana
College
Improvement
District
#1
Rancho
Santiago
Community
College
District
General
Obligation
Unlimited
500
4.000
08/01/31
593
Santa
Ana
College
Improvement
District
#1
Rancho
Santiago
Community
College
District
General
Obligation
Unlimited
500
4.000
08/01/32
591
Santa
Ana
Unified
School
District
Certificate
of
Participation
(µ)
1,000
5.000
04/01/29
1,264
Santa
Ana
Unified
School
District
Certificate
of
Participation
(µ)
830
5.000
04/01/31
1,035
Santa
Ana
Unified
School
District
Certificate
of
Participation
(µ)
650
5.000
04/01/32
806
Santa
Ana
Unified
School
District
Certificate
of
Participation
(µ)
1,360
5.000
04/01/33
1,682
Santa
Ana
Unified
School
District
Certificate
of
Participation
(µ)
1,425
5.000
04/01/34
1,757
Santa
Ana
Unified
School
District
Certificate
of
Participation
(µ)
1,500
5.000
04/01/35
1,846
Santa
Ana
Unified
School
District
Certificate
of
Participation
(µ)
2,120
5.000
04/01/36
2,601
Santa
Rosa
High
School
District
General
Obligation
Unlimited
(µ)
1,100
5.000
08/01/35
1,328
South
Orange
County
Public
Financing
Authority
Special
Assessment
1,500
5.000
08/15/28
1,866
South
Orange
County
Public
Financing
Authority
Special
Assessment
900
5.000
08/15/29
923
South
Orange
County
Public
Financing
Authority
Special
Assessment
(µ)
700
5.000
08/15/30
864
South
Orange
County
Public
Financing
Authority
Special
Assessment
(µ)
385
5.000
08/15/31
472
State
of
California
Department
of
Water
Resources
Revenue
Bonds
100
5.000
12/01/22
107
State
of
California
General
Obligation
Unlimited
145
5.000
11/01/22
153
State
of
California
General
Obligation
Unlimited
1,250
5.000
04/01/24
1,411
State
of
California
General
Obligation
Unlimited
1,600
5.000
04/01/25
1,880
State
of
California
General
Obligation
Unlimited
7,095
5.000
11/01/25
7,871
State
of
California
General
Obligation
Unlimited
5,760
5.000
03/01/26
6,730
State
of
California
General
Obligation
Unlimited
2,350
5.000
04/01/26
2,861
State
of
California
General
Obligation
Unlimited
2,350
5.000
04/01/27
2,943
State
of
California
General
Obligation
Unlimited
2,575
5.000
10/01/27
3,120
State
of
California
General
Obligation
Unlimited
(ae)
2,500
5.250
09/01/28
2,510
State
of
California
General
Obligation
Unlimited
450
5.000
02/01/31
460
Stockton
Community
Facilities
District
Special
Tax
55
2.000
09/01/24
57
Stockton
Community
Facilities
District
Special
Tax
60
2.250
09/01/26
64
Stockton
Community
Facilities
District
Special
Tax
60
2.375
09/01/28
64
Stockton
Community
Facilities
District
Special
Tax
70
2.750
09/01/31
74
Stockton
Community
Facilities
District
Special
Tax
70
3.000
09/01/33
75
Stockton
Community
Facilities
District
Special
Tax
75
3.000
09/01/34
81
Stockton
Community
Facilities
District
Special
Tax
50
3.000
09/01/35
54
Stockton
Community
Facilities
District
Special
Tax
155
3.125
09/01/37
168
Stockton
Community
Facilities
District
Special
Tax
130
3.125
09/01/39
139
Stockton
Community
Facilities
District
Special
Tax
155
3.250
09/01/41
166
Stockton
Public
Financing
Authority
Water
Revenue
Bonds
(µ)
1,565
5.000
10/01/30
2,003
The
Apple
Valley
Public
Financing
Authority
Tax
Allocation
(µ)
500
4.000
06/01/31
617
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
130
5.000
06/01/26
158
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
175
5.000
06/01/27
219
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
130
5.000
06/01/28
166
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
287
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
255
5.000
06/01/29
335
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
255
5.000
06/01/32
334
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
130
5.000
06/01/34
170
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
65
5.000
06/01/35
85
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
130
5.000
06/01/36
169
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
130
5.000
06/01/39
168
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
200
4.000
06/01/49
239
Town
of
Tiburon
Special
Assessment
75
2.375
09/02/41
76
Town
of
Tiburon
Special
Assessment
150
2.500
09/02/46
152
Transbay
Joint
Powers
Authority
Tax
Allocation
170
5.000
10/01/28
219
Transbay
Joint
Powers
Authority
Tax
Allocation
80
5.000
10/01/29
105
Transbay
Joint
Powers
Authority
Tax
Allocation
65
5.000
10/01/30
87
Transbay
Joint
Powers
Authority
Tax
Allocation
140
5.000
10/01/31
184
Transbay
Joint
Powers
Authority
Tax
Allocation
120
5.000
10/01/33
157
Transbay
Joint
Powers
Authority
Tax
Allocation
85
5.000
10/01/35
111
Transbay
Joint
Powers
Authority
Tax
Allocation
95
5.000
10/01/36
123
Transbay
Joint
Powers
Authority
Tax
Allocation
120
5.000
10/01/37
155
Transbay
Joint
Powers
Authority
Tax
Allocation
120
5.000
10/01/38
155
Transbay
Joint
Powers
Authority
Tax
Allocation
120
5.000
10/01/39
155
Transbay
Joint
Powers
Authority
Tax
Allocation
130
5.000
10/01/40
167
Tustin
Unified
School
District
Special
Tax
(µ)
125
4.000
09/01/34
139
Tustin
Unified
School
District
Special
Tax
(µ)
250
4.000
09/01/35
278
University
of
California
Revenue
Bonds
(ae)
100
5.000
05/15/22
104
Upper
Santa
Clara
Valley
Joint
Powers
Authority
Revenue
Bonds
(ae)
100
5.000
08/01/21
100
Vallecito
Union
School
District
General
Obligation
Unlimited
3,250
1.395
08/01/22
3,241
Watereuse
Finance
Authority
Revenue
Bonds
1,230
5.500
05/01/36
1,399
West
Kern
Community
College
District
Certificate
of
Participation
(µ)
1,000
4.000
11/01/40
1,159
West
Valley-Mission
Community
College
District
General
Obligation
Unlimited
170
4.000
08/01/21
170
292,168
Colorado
-
2.7%
Arkansas
River
Power
Authority
Revenue
Bonds
1,000
5.000
10/01/27
1,224
Arkansas
River
Power
Authority
Revenue
Bonds
1,200
5.000
10/01/28
1,499
Arkansas
River
Power
Authority
Revenue
Bonds
1,005
5.000
10/01/29
1,249
Arkansas
River
Power
Authority
Revenue
Bonds
1,000
5.000
10/01/30
1,234
BNC
Metropolitan
District
No.
1
General
Obligation
Unlimited
(µ)
360
5.000
12/01/32
443
Brighton
Crossing
Metropolitan
District
No.
4
General
Obligation
Unlimited
486
4.000
12/01/27
514
Buffalo
Ridge
Metropolitan
District
General
Obligation
Unlimited
(µ)
1,000
5.000
12/01/35
1,248
City
&
County
of
Denver
Airport
System
Revenue
Bonds
2,065
5.000
11/15/25
2,195
City
&
County
of
Denver
Airport
System
Revenue
Bonds
(~)(ae)(Ê)
1,245
5.000
11/15/31
1,321
City
&
County
of
Denver
Airport
System
Revenue
Bonds
1,585
5.000
11/15/32
2,132
City
&
County
of
Denver
General
Obligation
Unlimited
1,045
5.000
08/01/32
1,412
City
of
Grand
Junction
Revenue
Bonds
300
4.000
03/01/34
366
City
of
Grand
Junction
Revenue
Bonds
365
4.000
03/01/35
443
City
of
Grand
Junction
Revenue
Bonds
1,715
4.000
03/01/37
2,069
City
of
Grand
Junction
Revenue
Bonds
650
4.000
03/01/38
782
City
of
Grand
Junction
Revenue
Bonds
1,000
4.000
03/01/39
1,201
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
130
4.000
08/01/23
140
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
165
4.000
08/01/24
183
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
80
4.000
05/01/26
90
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
70
4.000
05/01/29
81
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
60
4.000
05/01/30
69
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
1,000
5.000
08/15/30
1,116
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
850
5.000
12/01/31
953
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
100
4.000
05/01/36
115
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
25
4.000
05/01/41
28
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
75
5.000
06/01/49
82
Colorado
Educational
&
Cultural
Facilities
Authority
Revenue
Bonds
75
5.000
06/01/54
82
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
288
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Colorado
Health
Facilities
Authority
Revenue
Bonds
2,225
5.000
11/01/25
2,649
Colorado
Health
Facilities
Authority
Revenue
Bonds
1,500
5.000
09/01/30
1,729
Colorado
Health
Facilities
Authority
Revenue
Bonds
3,915
5.000
08/01/32
5,038
Colorado
Health
Facilities
Authority
Revenue
Bonds
3,270
5.000
08/01/33
4,196
Colorado
Health
Facilities
Authority
Revenue
Bonds
2,610
5.000
08/01/34
3,340
Colorado
Health
Facilities
Authority
Revenue
Bonds
3,875
5.000
08/01/35
4,950
Colorado
Health
Facilities
Authority
Revenue
Bonds
200
4.000
01/01/36
241
Colorado
Health
Facilities
Authority
Revenue
Bonds
360
5.000
08/01/36
459
Colorado
Health
Facilities
Authority
Revenue
Bonds
145
5.000
08/01/37
184
Colorado
Health
Facilities
Authority
Revenue
Bonds
215
5.000
08/01/38
273
Colorado
Health
Facilities
Authority
Revenue
Bonds
460
5.000
08/01/39
582
Colorado
Health
Facilities
Authority
Revenue
Bonds
(~)(ae)(Ê)
2,540
2.800
05/15/42
2,619
Colorado
Health
Facilities
Authority
Revenue
Bonds
(~)(ae)(Ê)
795
5.000
08/01/49
950
Colorado
Housing
&
Finance
Authority
Revenue
Bonds
1,740
4.250
11/01/49
1,952
Colorado
Mesa
University
Revenue
Bonds
2,260
5.000
05/15/31
2,930
Copperleaf
Metropolitan
District
No.
2
General
Obligation
Limited
(µ)
375
4.000
12/01/32
467
Copperleaf
Metropolitan
District
No.
2
General
Obligation
Limited
(µ)
275
4.000
12/01/33
341
Crystal
Valley
Metropolitan
District
No.
2
General
Obligation
Limited
(µ)
750
4.000
12/01/37
903
Crystal
Valley
Metropolitan
District
No.
2
General
Obligation
Limited
(µ)
1,200
4.000
12/01/38
1,441
Denver
City
&
County
School
District
No.
1
General
Obligation
Unlimited
800
4.000
12/01/45
968
Denver
Health
&
Hospital
Authority
Certificates
of
Participation
730
5.000
12/01/23
806
Denver
Health
&
Hospital
Authority
Revenue
Bonds
120
5.000
12/01/30
155
Denver
Health
&
Hospital
Authority
Revenue
Bonds
220
5.000
12/01/31
284
Denver
Health
&
Hospital
Authority
Revenue
Bonds
475
5.000
12/01/32
612
Denver
Health
&
Hospital
Authority
Revenue
Bonds
295
4.250
12/01/33
315
Denver
Health
&
Hospital
Authority
Revenue
Bonds
(Þ)
1,000
5.000
12/01/34
1,222
Denver
Urban
Renewal
Authority
Tax
Allocation
1,775
5.000
12/01/21
1,803
Denver
Urban
Renewal
Authority
Tax
Allocation
(Þ)
1,600
5.250
12/01/39
1,759
Dominion
Water
&
Sanitation
District
Revenue
Bonds
4,930
5.250
12/01/27
5,101
E-470
Public
Highway
Authority
Revenue
Bonds
205
5.000
09/01/26
250
E-470
Public
Highway
Authority
Revenue
Bonds
120
5.000
09/01/27
150
E-470
Public
Highway
Authority
Revenue
Bonds
(µ)
4,040
Zero
coupon
09/01/28
3,706
E-470
Public
Highway
Authority
Revenue
Bonds
120
5.000
09/01/28
154
E-470
Public
Highway
Authority
Revenue
Bonds
155
5.000
09/01/34
204
E-470
Public
Highway
Authority
Revenue
Bonds
150
5.000
09/01/35
197
E-470
Public
Highway
Authority
Revenue
Bonds
165
5.000
09/01/36
216
Eaton
Area
Park
&
Recreation
District
General
Obligation
Limited
470
5.500
12/01/30
503
Flying
Horse
Metropolitan
District
No.
2
General
Obligation
Limited
(µ)
250
4.000
12/01/37
303
Flying
Horse
Metropolitan
District
No.
2
General
Obligation
Limited
(µ)
225
4.000
12/01/38
273
Glen
Metropolitan
District
No.
2
General
Obligation
Unlimited
1,320
5.000
12/01/47
1,395
Grand
River
Hospital
District
General
Obligation
Unlimited
(µ)
1,000
5.250
12/01/34
1,198
Grand
River
Hospital
District
General
Obligation
Unlimited
(µ)
500
5.250
12/01/35
595
Grand
River
Hospital
District
General
Obligation
Unlimited
(µ)
2,555
5.250
12/01/37
3,007
High
Plains
Metropolitan
District
General
Obligation
Unlimited
(µ)
500
5.000
12/01/35
613
Jefferson
County
School
District
R-1
General
Obligation
Unlimited
1,150
4.000
12/15/37
1,431
Lewis
Pointe
Metropolitan
District
General
Obligation
Limited
(µ)
240
4.000
12/01/26
281
Park
Creek
Metropolitan
District
Revenue
Bonds
1,000
5.000
12/01/26
1,183
Park
Creek
Metropolitan
District
Revenue
Bonds
(µ)
1,150
5.000
12/01/28
1,395
Park
Creek
Metropolitan
District
Revenue
Bonds
365
5.000
12/01/34
425
Park
Creek
Metropolitan
District
Revenue
Bonds
500
5.000
12/01/37
579
Poudre
Tech
Metropolitan
District
General
Obligation
Unlimited
(µ)
1,360
4.000
12/01/33
1,615
Poudre
Tech
Metropolitan
District
General
Obligation
Unlimited
(µ)
1,435
4.000
12/01/34
1,698
Public
Authority
for
Colorado
Energy
Revenue
Bonds
1,000
6.250
11/15/28
1,279
Regional
Transportation
District
Certificate
of
Participation
6,725
5.000
06/01/27
7,270
Regional
Transportation
District
Revenue
Bonds
30
5.000
07/15/26
36
Regional
Transportation
District
Revenue
Bonds
55
5.000
01/15/27
67
Regional
Transportation
District
Revenue
Bonds
55
5.000
07/15/27
69
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
289
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Regional
Transportation
District
Revenue
Bonds
60
5.000
01/15/28
75
Regional
Transportation
District
Revenue
Bonds
1,465
4.000
07/15/35
1,791
Regional
Transportation
District
Revenue
Bonds
750
4.000
07/15/36
913
Regional
Transportation
District
Revenue
Bonds
1,150
3.000
07/15/37
1,251
Regional
Transportation
District
Revenue
Bonds
500
4.000
07/15/38
604
St.
Vrain
Lakes
Metropolitan
District
No.
2
General
Obligation
Unlimited
500
5.000
12/01/37
533
Town
of
Firestone
Water
Enterprise
Revenue
Bonds
(µ)
650
4.000
12/01/38
790
Vauxmont
Metropolitan
District
General
Obligation
Limited
(µ)
125
5.000
12/15/29
146
Vauxmont
Metropolitan
District
General
Obligation
Limited
(µ)
125
5.000
12/15/30
145
106,880
Connecticut
-
2.1%
City
of
Bridgeport
General
Obligation
Unlimited
1,345
5.000
08/15/27
1,676
City
of
Bridgeport
General
Obligation
Unlimited
(µ)
965
5.000
07/01/29
1,088
City
of
Bridgeport
General
Obligation
Unlimited
1,640
5.000
11/01/33
2,013
City
of
Bridgeport
General
Obligation
Unlimited
250
5.000
08/01/34
331
City
of
Bridgeport
General
Obligation
Unlimited
700
5.000
11/01/34
858
City
of
Bridgeport
General
Obligation
Unlimited
225
4.000
08/01/36
272
City
of
Hartford
General
Obligation
Unlimited
(µ)
205
5.000
08/15/22
215
City
of
Hartford
General
Obligation
Unlimited
2,515
5.000
04/01/24
2,717
City
of
Hartford
General
Obligation
Unlimited
(µ)
250
5.000
07/01/25
295
City
of
Hartford
General
Obligation
Unlimited
(µ)
2,205
5.000
07/01/31
2,570
City
of
Hartford
General
Obligation
Unlimited
725
4.000
04/01/32
760
City
of
Hartford
General
Obligation
Unlimited
(µ)
370
4.000
07/15/33
414
City
of
Hartford
General
Obligation
Unlimited
(µ)
180
4.000
07/01/34
201
City
of
New
Haven
General
Obligation
Unlimited
(µ)
575
5.000
08/01/21
575
City
of
New
Haven
General
Obligation
Unlimited
150
5.000
08/01/26
179
City
of
New
Haven
General
Obligation
Unlimited
300
5.000
08/01/27
367
City
of
New
Haven
General
Obligation
Unlimited
450
5.000
08/01/28
563
City
of
New
Haven
General
Obligation
Unlimited
250
5.500
08/01/29
319
City
of
New
Haven
General
Obligation
Unlimited
(µ)
450
5.000
02/01/30
595
City
of
New
Haven
General
Obligation
Unlimited
150
5.500
08/01/30
190
City
of
New
Haven
General
Obligation
Unlimited
(µ)
1,915
5.000
09/01/30
2,234
City
of
New
Haven
General
Obligation
Unlimited
200
5.500
08/01/31
253
City
of
New
Haven
General
Obligation
Unlimited
200
5.500
08/01/32
253
City
of
New
Haven
General
Obligation
Unlimited
100
5.500
08/01/33
126
City
of
Waterbury
General
Obligation
Unlimited
600
5.000
02/01/27
740
City
of
Waterbury
General
Obligation
Unlimited
700
5.000
02/01/28
886
City
of
Waterbury
General
Obligation
Unlimited
750
5.000
02/01/34
978
City
of
West
Haven
General
Obligation
Unlimited
810
4.000
11/01/21
816
City
of
West
Haven
General
Obligation
Unlimited
200
5.000
11/01/22
210
City
of
West
Haven
General
Obligation
Unlimited
1,070
5.000
11/01/23
1,165
City
of
West
Haven
General
Obligation
Unlimited
400
5.000
11/01/24
449
City
of
West
Haven
General
Obligation
Unlimited
400
5.000
11/01/25
463
City
of
West
Haven
General
Obligation
Unlimited
525
5.000
11/01/26
619
City
of
West
Haven
General
Obligation
Unlimited
435
5.000
11/01/27
522
Connecticut
Clean
Water
Fund
Revenue
Bonds
3,945
5.000
05/01/32
4,888
Connecticut
Housing
Finance
Authority
Revenue
Bonds
3,565
4.250
05/15/42
3,946
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
150
5.000
07/01/22
157
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
325
5.000
07/01/23
355
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
965
5.000
07/01/24
1,079
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
150
5.000
07/01/25
176
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
(Þ)
100
2.750
01/01/26
101
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
1,000
5.000
07/01/26
1,168
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
(Þ)
100
3.250
01/01/27
102
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
(Þ)
100
5.000
01/01/30
115
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
(~)
(ae)(Ê)
1,025
5.000
07/01/40
1,305
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
290
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
(~)
(ae)(Ê)
400
1.800
07/01/49
415
Mattabassett
District
Revenue
Bonds
(µ)
240
5.000
08/01/21
240
Mattabassett
District
Revenue
Bonds
(µ)
195
5.000
08/01/22
204
Metropolitan
District
General
Obligation
Unlimited
(µ)
630
5.000
11/01/30
761
State
of
Connecticut
General
Obligation
Unlimited
675
5.000
06/15/27
850
State
of
Connecticut
General
Obligation
Unlimited
9,860
5.000
04/15/28
12,690
State
of
Connecticut
General
Obligation
Unlimited
245
5.000
06/15/28
317
State
of
Connecticut
General
Obligation
Unlimited
5,500
5.000
03/15/29
6,624
State
of
Connecticut
General
Obligation
Unlimited
275
5.000
06/15/29
353
State
of
Connecticut
General
Obligation
Unlimited
2,000
3.000
01/15/32
2,298
State
of
Connecticut
General
Obligation
Unlimited
60
5.000
06/15/32
76
State
of
Connecticut
General
Obligation
Unlimited
1,000
5.000
04/15/34
1,285
State
of
Connecticut
Special
Tax
Revenue
Bonds
4,485
5.000
10/01/25
4,951
State
of
Connecticut
Special
Tax
Revenue
Bonds
(µ)
2,070
4.000
05/01/38
2,545
State
of
Connecticut
Special
Tax
Revenue
Bonds
4,600
4.000
05/01/39
5,627
Town
of
Bethel
General
Obligation
Unlimited
100
5.000
11/15/23
106
Town
of
Hamden
General
Obligation
Unlimited
(µ)
400
5.000
08/15/29
499
University
of
Connecticut
Revenue
Bonds
(µ)
1,585
5.000
03/15/29
1,896
University
of
Connecticut
Revenue
Bonds
(µ)
665
5.000
04/15/29
841
University
of
Connecticut
Revenue
Bonds
(µ)
3,455
5.000
01/15/36
4,141
86,023
Delaware
-
0.3%
County
of
New
Castle
General
Obligation
Unlimited
5,000
5.000
10/01/26
5,967
Delaware
Municipal
Electric
Corp.
(The)
Revenue
Bonds
250
5.000
07/01/32
337
Delaware
Municipal
Electric
Corp.
(The)
Revenue
Bonds
340
4.000
07/01/36
415
Delaware
Municipal
Electric
Corp.
(The)
Revenue
Bonds
(µ)
335
5.000
10/01/38
433
Delaware
State
Economic
Development
Authority
Revenue
Bonds
75
4.000
08/01/29
82
Delaware
State
Economic
Development
Authority
Revenue
Bonds
100
5.000
08/01/39
117
Delaware
State
Health
Facilities
Authority
Revenue
Bonds
800
5.000
07/01/29
998
Delaware
State
Health
Facilities
Authority
Revenue
Bonds
600
5.000
06/01/30
753
State
of
Delaware
General
Obligation
Unlimited
2,000
5.000
02/01/29
2,639
Town
of
Bridgeville
Special
Tax
75
4.000
07/01/23
79
Town
of
Bridgeville
Special
Tax
75
4.000
07/01/24
81
Town
of
Bridgeville
Special
Tax
100
4.000
07/01/25
109
Town
of
Bridgeville
Special
Tax
100
4.000
07/01/26
111
Town
of
Bridgeville
Special
Tax
100
4.000
07/01/27
112
Town
of
Bridgeville
Special
Tax
300
4.000
07/01/30
336
12,569
District
of
Columbia
-
1.0%
District
of
Columbia
Revenue
Bonds
2,240
5.000
12/01/28
2,275
District
of
Columbia
Revenue
Bonds
4,500
5.000
12/01/33
5,852
District
of
Columbia
Revenue
Bonds
5,750
5.000
12/01/34
7,458
District
of
Columbia
Revenue
Bonds
2,000
5.000
06/01/36
2,307
District
of
Columbia
Revenue
Bonds
1,905
5.000
06/01/40
2,272
District
of
Columbia
Revenue
Bonds
(Þ)
250
5.000
06/01/41
300
District
of
Columbia
Water
&
Sewer
Authority
Revenue
Bonds
(~)(ae)(Ê)
935
1.750
10/01/54
976
Metropolitan
Washington
Airports
Authority
Dulles
Toll
Road
Revenue
Bonds
150
5.000
10/01/31
189
Metropolitan
Washington
Airports
Authority
Dulles
Toll
Road
Revenue
Bonds
150
5.000
10/01/33
189
Metropolitan
Washington
Airports
Authority
Dulles
Toll
Road
Revenue
Bonds
150
5.000
10/01/34
189
Metropolitan
Washington
Airports
Authority
Dulles
Toll
Road
Revenue
Bonds
150
5.000
10/01/35
188
Metropolitan
Washington
Airports
Authority
Dulles
Toll
Road
Revenue
Bonds
(µ)
1,000
Zero
coupon
10/01/36
754
Metropolitan
Washington
Airports
Authority
Dulles
Toll
Road
Revenue
Bonds
250
5.000
10/01/36
314
Metropolitan
Washington
Airports
Authority
Dulles
Toll
Road
Revenue
Bonds
150
5.000
10/01/37
188
Metropolitan
Washington
Airports
Authority
Dulles
Toll
Road
Revenue
Bonds
150
5.000
10/01/38
188
Metropolitan
Washington
Airports
Authority
Dulles
Toll
Road
Revenue
Bonds
225
5.000
10/01/39
281
Metropolitan
Washington
Airports
Authority
Revenue
Bonds
1,555
5.000
10/01/29
2,068
Washington
Metropolitan
Area
Transit
Authority
Revenue
Bonds
2,935
4.000
07/15/34
3,692
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
291
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Washington
Metropolitan
Area
Transit
Authority
Revenue
Bonds
2,185
4.000
07/15/35
2,741
Washington
Metropolitan
Area
Transit
Authority
Revenue
Bonds
5,000
5.000
07/15/35
6,643
39,064
Florida
-
5.9%
Aberdeen
Community
Development
District
Special
Assessment
(µ)
1,000
3.250
05/01/36
1,098
AH
at
Turnpike
South
Community
Development
District
Special
Assessment
160
2.350
05/01/26
161
AH
at
Turnpike
South
Community
Development
District
Special
Assessment
185
3.000
05/01/31
190
AH
at
Turnpike
South
Community
Development
District
Special
Assessment
500
3.250
05/01/41
509
Arborwood
Community
Development
District
Special
Assessment
(µ)
1,215
2.750
05/01/25
1,305
Arborwood
Community
Development
District
Special
Assessment
(µ)
1,250
3.000
05/01/26
1,373
Arborwood
Community
Development
District
Special
Assessment
(µ)
1,285
3.125
05/01/27
1,434
Arborwood
Community
Development
District
Special
Assessment
(µ)
1,330
3.250
05/01/28
1,506
Arborwood
Community
Development
District
Special
Assessment
(µ)
1,370
3.500
05/01/32
1,546
Artisan
Lakes
East
Community
Development
District
Special
Assessment
(Þ)
605
2.300
05/01/26
607
Astonia
Community
Development
District
Special
Assessment
(Þ)
200
2.500
05/01/26
200
Astonia
Community
Development
District
Special
Assessment
(Þ)
250
3.000
05/01/31
250
Ave
Maria
Stewardship
Community
District
Special
Assessment
(µ)
2,230
2.750
05/01/33
2,397
Ave
Maria
Stewardship
Community
District
Special
Assessment
(µ)
2,920
3.000
05/01/38
3,178
Babcock
Ranch
Community
Independent
Special
District
Special
Assessment
(Þ)
125
2.375
05/01/26
125
Babcock
Ranch
Community
Independent
Special
District
Special
Assessment
(Þ)
250
2.875
05/01/31
253
Bonterra
Community
Development
District
Special
Assessment
195
2.750
05/01/24
206
Bonterra
Community
Development
District
Special
Assessment
215
3.250
05/01/27
239
Bonterra
Community
Development
District
Special
Assessment
220
3.400
05/01/28
250
Bonterra
Community
Development
District
Special
Assessment
720
3.625
05/01/31
811
Bonterra
Community
Development
District
Special
Assessment
655
4.000
05/01/37
742
Capital
Trust
Agency,
Inc.
Revenue
Bonds
(Þ)
120
4.500
01/01/35
139
Capital
Trust
Agency,
Inc.
Revenue
Bonds
(Þ)
1,000
5.250
12/01/43
1,192
Capital
Trust
Agency,
Inc.
Revenue
Bonds
(Þ)
500
5.250
12/01/58
589
Celebration
Pointe
Community
Development
District
Special
Assessment
(Þ)
90
4.000
05/01/22
91
Central
Florida
Expressway
Authority
Revenue
Bonds
(µ)
750
4.000
07/01/35
938
Central
Florida
Expressway
Authority
Revenue
Bonds
(µ)
1,750
4.000
07/01/38
2,166
Central
Florida
Expressway
Authority
Revenue
Bonds
(µ)
500
4.000
07/01/39
617
Century
Gardens
at
Tamiami
Community
Development
District
Special
Assessment
120
3.500
11/01/27
136
Century
Gardens
at
Tamiami
Community
Development
District
Special
Assessment
120
3.500
11/01/28
136
Century
Gardens
at
Tamiami
Community
Development
District
Special
Assessment
443
3.500
05/01/31
482
Century
Gardens
at
Tamiami
Community
Development
District
Special
Assessment
130
4.000
05/01/31
145
Century
Gardens
at
Tamiami
Community
Development
District
Special
Assessment
650
4.000
11/01/33
737
Century
Gardens
at
Tamiami
Community
Development
District
Special
Assessment
1,036
4.000
05/01/37
1,140
CFM
Community
Development
District
Special
Assessment
295
2.400
05/01/26
297
CFM
Community
Development
District
Special
Assessment
125
2.875
05/01/31
126
Chapel
Crossings
Community
Development
District
Special
Assessment
100
3.200
05/01/30
104
Citizens
Property
Insurance
Corp.
Revenue
Bonds
7,385
5.000
06/01/22
7,683
City
of
Atlantic
Beach
Health
Care
Facilities
Revenue
Bonds
275
3.000
11/15/23
275
City
of
Fort
Myers
Utility
System
Revenue
Bonds
(µ)
425
5.000
10/01/21
428
City
of
Hollywood
General
Obligation
Unlimited
(µ)
1,320
5.000
07/01/32
1,726
City
of
Miami
Beach
Parking
Revenue
Bonds
(µ)
395
5.000
09/01/32
465
City
of
Miami
Beach
Parking
Revenue
Bonds
(µ)
1,755
5.000
09/01/33
2,068
City
of
North
Port
Special
Assessment
(µ)(ae)
1,135
5.000
07/01/26
1,241
City
of
Tallahassee
Revenue
Bonds
500
5.000
12/01/27
591
City
of
Tallahassee
Revenue
Bonds
650
5.000
12/01/28
766
City
of
Tampa
Revenue
Bonds
720
5.000
07/01/32
946
City
of
Tampa
Revenue
Bonds
725
5.000
07/01/33
949
City
of
Tampa
Revenue
Bonds
1,325
4.000
07/01/38
1,578
Cityplace
Community
Development
District
Special
Assessment
(µ)
2,380
1.359
05/01/28
2,399
Cityplace
Community
Development
District
Special
Assessment
(µ)
3,000
0.630
05/01/33
3,211
Copper
Oaks
Community
Development
District
Special
Assessment
(Þ)
681
3.000
05/01/31
701
Copper
Oaks
Community
Development
District
Special
Assessment
(Þ)
770
3.000
05/01/35
786
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
292
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Corkscrew
Farms
Community
Development
District
Special
Assessment
(Þ)
40
3.750
11/01/23
41
Corkscrew
Farms
Community
Development
District
Special
Assessment
(Þ)
185
4.500
11/01/28
202
Country
Greens
Community
Development
District
Special
Assessment
130
2.500
05/01/22
131
Country
Greens
Community
Development
District
Special
Assessment
105
2.750
05/01/23
109
Country
Greens
Community
Development
District
Special
Assessment
100
4.000
05/01/34
111
County
of
Broward
Airport
System
Revenue
Bonds
(ae)
145
5.000
10/01/37
153
County
of
Broward
Port
Facilities
Revenue
Bonds
1,005
5.000
09/01/37
1,291
County
of
Broward
Port
Facilities
Revenue
Bonds
1,050
5.000
09/01/38
1,347
County
of
Miami-Dade
Aviation
Revenue
Bonds
600
4.000
10/01/34
733
County
of
Miami-Dade
Aviation
Revenue
Bonds
1,600
4.000
10/01/35
1,950
County
of
Miami-Dade
Aviation
Revenue
Bonds
3,000
4.000
10/01/36
3,640
County
of
Miami-Dade
Aviation
Revenue
Bonds
4,500
4.000
10/01/37
5,447
County
of
Miami-Dade
Aviation
Revenue
Bonds
500
4.000
10/01/38
604
County
of
Miami-Dade
Aviation
Revenue
Bonds
1,600
4.000
10/01/39
1,926
County
of
Miami-Dade
Aviation
Revenue
Bonds
2,000
4.000
10/01/40
2,404
County
of
Miami-Dade
Revenue
Bonds
3,000
5.000
10/01/28
3,172
County
of
Miami-Dade
Revenue
Bonds
(µ)
4,310
3.233
10/01/35
2,833
County
of
Miami-Dade
Water
&
Sewer
System
Revenue
Bonds
1,275
4.000
10/01/34
1,573
County
of
Miami-Dade
Water
&
Sewer
System
Revenue
Bonds
750
4.000
10/01/35
924
County
of
Miami-Dade
Water
&
Sewer
System
Revenue
Bonds
1,250
4.000
10/01/38
1,527
County
of
Osceola
Transportation
Revenue
Bonds
400
5.000
10/01/32
520
County
of
Osceola
Transportation
Revenue
Bonds
350
5.000
10/01/33
454
County
of
Osceola
Transportation
Revenue
Bonds
250
5.000
10/01/34
323
County
of
Osceola
Transportation
Revenue
Bonds
440
5.000
10/01/35
568
County
of
Osceola
Transportation
Revenue
Bonds
600
5.000
10/01/36
772
County
of
Osceola
Transportation
Revenue
Bonds
525
5.000
10/01/37
674
County
of
Osceola
Transportation
Revenue
Bonds
790
5.000
10/01/38
1,013
Crystal
Cay
Community
Development
District
Specia
Assessment
850
3.050
05/01/41
850
Cypress
Bluff
Community
Development
District
Special
Assessment
800
3.625
05/01/40
847
Cypress
Mill
Community
Development
District
Special
Assessment
415
3.000
06/15/31
430
Deer
Run
Community
Development
District
Special
Assessment
1,230
5.400
05/01/39
1,410
DG
Farms
Community
Development
District
Special
Assessment
155
2.750
05/01/25
157
Downtown
Doral
South
Community
Development
District
Special
Assessment
(Þ)
310
3.875
12/15/23
319
DW
Bayview
Community
Development
District
Special
Assessment
(Þ)
50
2.375
05/01/26
50
DW
Bayview
Community
Development
District
Special
Assessment
(Þ)
60
3.000
05/01/32
62
Eagle
Pointe
Community
Development
District
Special
Assessment
(Þ)
35
3.000
05/01/25
36
Eagle
Pointe
Community
Development
District
Special
Assessment
(Þ)
60
3.625
05/01/31
64
East
Bonita
Beach
Road
Community
Development
District
Special
Assessment
(Þ)
70
3.875
11/01/23
72
East
Bonita
Beach
Road
Community
Development
District
Special
Assessment
(Þ)
340
4.375
11/01/29
375
East
Nassau
Stewardship
District
Special
Assessment
190
2.400
05/01/26
191
East
Nassau
Stewardship
District
Special
Assessment
240
3.000
05/01/31
245
Edgewater
East
Community
Development
District
Special
Assessment
50
2.500
05/01/26
51
Edgewater
East
Community
Development
District
Special
Assessment
100
3.100
05/01/31
103
Enbrook
Community
Development
District
Special
Assessment
200
2.500
05/01/25
204
Epperson
North
Community
Development
District
Special
Assessment
135
2.500
05/01/26
136
Epperson
North
Community
Development
District
Special
Assessment
215
3.000
05/01/31
221
Escambia
County
Health
Facilities
Authority
Revenue
Bonds
360
5.000
08/15/31
469
Escambia
County
Health
Facilities
Authority
Revenue
Bonds
420
5.000
08/15/32
545
Escambia
County
Health
Facilities
Authority
Revenue
Bonds
355
5.000
08/15/33
459
Escambia
County
Health
Facilities
Authority
Revenue
Bonds
275
5.000
08/15/34
355
Escambia
County
Health
Facilities
Authority
Revenue
Bonds
375
5.000
08/15/35
482
Escambia
County
Health
Facilities
Authority
Revenue
Bonds
540
5.000
08/15/36
693
Escambia
County
Health
Facilities
Authority
Revenue
Bonds
720
5.000
08/15/37
922
Escambia
County
Health
Facilities
Authority
Revenue
Bonds
160
5.000
08/15/38
205
Escambia
County
Health
Facilities
Authority
Revenue
Bonds
475
5.000
08/15/40
605
Esplanade
Lake
Club
Community
Development
District
Special
Assessment
115
3.250
11/01/25
119
Esplanade
Lake
Club
Community
Development
District
Special
Assessment
200
4.000
11/01/40
215
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
293
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Fishhawk
Ranch
Community
Development
District
Special
Assessment
(µ)
200
2.750
11/01/35
213
Florida
Development
Finance
Corp.
Revenue
Bonds
100
3.000
06/01/22
102
Florida
Development
Finance
Corp.
Revenue
Bonds
115
3.000
06/01/23
119
Florida
Development
Finance
Corp.
Revenue
Bonds
110
4.000
06/01/25
120
Florida
Development
Finance
Corp.
Revenue
Bonds
35
5.000
04/01/26
41
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
610
1.750
06/01/26
611
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
100
4.000
06/01/26
114
Florida
Development
Finance
Corp.
Revenue
Bonds
35
5.000
04/01/27
43
Florida
Development
Finance
Corp.
Revenue
Bonds
35
5.000
04/01/28
44
Florida
Development
Finance
Corp.
Revenue
Bonds
30
5.000
04/01/29
38
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
100
4.000
12/15/29
113
Florida
Development
Finance
Corp.
Revenue
Bonds
135
5.000
06/01/31
161
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
100
5.000
12/15/34
120
Florida
Development
Finance
Corp.
Revenue
Bonds
100
5.000
06/01/35
118
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
125
5.000
12/15/39
149
Florida
Development
Finance
Corp.
Revenue
Bonds
(Þ)
225
5.125
06/01/40
270
Florida
Governmental
Utility
Authority
Revenue
Bonds
(µ)
1,000
5.000
10/01/31
1,319
Florida
Governmental
Utility
Authority
Revenue
Bonds
(µ)
2,300
5.000
10/01/32
3,028
Florida
Governmental
Utility
Authority
Revenue
Bonds
(µ)
1,600
5.000
10/01/33
2,100
Florida
Governmental
Utility
Authority
Revenue
Bonds
(µ)
1,000
4.000
10/01/35
1,203
Florida
Higher
Educational
Facilities
Financing
Authority
Revenue
Bonds
(Þ)
800
4.500
06/01/33
957
Florida
Higher
Educational
Facilities
Financing
Authority
Revenue
Bonds
(Þ)
150
4.750
06/01/38
180
Florida
Municipal
Power
Agency
Revenue
Bonds
4,720
5.000
10/01/28
5,771
Florida
Municipal
Power
Agency
Revenue
Bonds
750
3.000
10/01/32
836
Florida
Municipal
Power
Agency
Revenue
Bonds
700
3.000
10/01/33
777
Flow
Way
Community
Development
District
Special
Assessment
210
4.000
11/01/28
226
Flow
Way
Community
Development
District
Special
Assessment
200
4.875
11/01/37
218
Flow
Way
Community
Development
District
Special
Assessment
100
5.000
11/01/38
114
Forest
Brooke
Community
Development
District
Special
Assessment
45
3.000
11/01/21
45
Forest
Brooke
Community
Development
District
Special
Assessment
50
3.000
11/01/22
51
Forest
Brooke
Community
Development
District
Special
Assessment
50
3.000
11/01/23
52
Forest
Brooke
Community
Development
District
Special
Assessment
50
3.000
11/01/24
53
Forest
Brooke
Community
Development
District
Special
Assessment
105
3.000
11/01/25
112
Forest
Brooke
Community
Development
District
Special
Assessment
105
3.000
11/01/26
113
Forest
Brooke
Community
Development
District
Special
Assessment
110
3.000
11/01/27
119
Forest
Brooke
Community
Development
District
Special
Assessment
115
3.000
11/01/28
124
Forest
Brooke
Community
Development
District
Special
Assessment
115
3.000
11/01/29
124
Forest
Brooke
Community
Development
District
Special
Assessment
1,000
3.000
11/01/39
1,054
Golden
Lakes
Community
Development
District
Special
Assessment
(µ)
15
3.000
05/01/22
16
Golden
Lakes
Community
Development
District
Special
Assessment
(µ)
30
3.250
05/01/23
31
Golden
Lakes
Community
Development
District
Special
Assessment
(µ)
80
3.500
05/01/24
85
Golden
Lakes
Community
Development
District
Special
Assessment
(µ)
510
4.250
05/01/32
582
Grande
Pines
Community
Development
District
Special
Assessment
800
3.200
05/01/31
825
Harbor
Bay
Community
Development
District
Special
Assessment
885
3.300
05/01/29
948
Harmony
West
Community
Development
District
Special
Assessment
(Þ)
195
4.125
05/01/24
202
Harmony
West
Community
Development
District
Special
Assessment
(Þ)
420
4.750
05/01/29
465
Harmony
West
Community
Development
District
Special
Assessment
(Þ)
620
5.100
05/01/38
729
Heritage
Harbor
North
Community
Development
District
Special
Assessment
150
5.000
05/01/34
176
Hillcrest
Community
Development
District
Special
Assessment
300
4.000
11/01/28
333
Hillcrest
Community
Development
District
Special
Assessment
300
4.500
11/01/38
335
Hills
Minneola
Community
Development
District
Special
Assessment
(Þ)
180
3.000
05/01/25
184
Hills
Minneola
Community
Development
District
Special
Assessment
(Þ)
140
3.500
05/01/31
150
Hillsborough
County
Industrial
Development
Authority
Revenue
Bonds
11,900
4.000
08/01/45
14,225
K-Bar
Ranch
II
Community
Development
District
Special
Assessment
(Þ)
345
4.000
05/01/28
367
K-Bar
Ranch
II
Community
Development
District
Special
Assessment
100
2.750
05/01/31
100
Kingman
Gate
Community
Development
District
Special
Assessment
(Þ)
200
2.500
06/15/26
202
Kingman
Gate
Community
Development
District
Special
Assessment
(Þ)
250
3.125
06/15/31
258
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
294
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Lakeshore
Ranch
Community
Development
District
Special
Assessment
370
3.000
05/01/25
396
Lakeshore
Ranch
Community
Development
District
Special
Assessment
380
3.000
05/01/26
413
Lakeshore
Ranch
Community
Development
District
Special
Assessment
390
3.000
05/01/27
427
Lakeshore
Ranch
Community
Development
District
Special
Assessment
405
3.000
05/01/28
445
Lakeshore
Ranch
Community
Development
District
Special
Assessment
415
3.000
05/01/29
458
Lakeshore
Ranch
Community
Development
District
Special
Assessment
2,675
3.000
05/01/35
2,861
Lakewood
Ranch
Stewardship
District
Special
Assessment
100
2.500
05/01/25
102
Lakewood
Ranch
Stewardship
District
Special
Assessment
(µ)
550
2.000
05/01/27
583
Lakewood
Ranch
Stewardship
District
Special
Assessment
(µ)
585
2.000
05/01/30
604
Lakewood
Ranch
Stewardship
District
Special
Assessment
310
3.125
05/01/30
325
Lakewood
Ranch
Stewardship
District
Special
Assessment
100
3.200
05/01/30
105
Lee
Memorial
Health
System
Revenue
Bonds
(~)(ae)(Ê)
2,300
5.000
04/01/33
2,709
Lucerne
Park
Community
Development
District
Special
Assessment
1,025
4.625
05/01/39
1,148
McJunkin
Parkland
Community
Development
District
Special
Assessment
(Þ)
520
4.750
11/01/29
595
Meadow
Pointe
III
Community
Development
District
Special
Assessment
110
3.250
05/01/23
114
Meadow
Pointe
IV
Community
Development
District
Special
Assessment
105
2.750
05/01/22
106
Meadow
Pointe
IV
Community
Development
District
Special
Assessment
110
3.200
05/01/23
115
Mediterranea
Community
Development
District
Special
Assessment
260
4.250
05/01/29
296
Mediterranea
Community
Development
District
Special
Assessment
1,130
4.750
05/01/37
1,276
Miami
Beach
Health
Facilities
Authority
Revenue
Bonds
5,930
5.000
11/15/29
6,301
Miami-Dade
County
Expressway
Authority
Revenue
Bonds
1,000
5.000
07/01/30
1,130
Miami-Dade
County
Expressway
Authority
Revenue
Bonds
1,000
5.000
07/01/31
1,130
Midtown
Miami
Community
Development
District
Special
Assessment
100
5.000
05/01/29
105
Mitchell
Ranch
Community
Development
District
Special
Assessment
475
3.375
12/15/30
498
Naples
Reserve
Community
Development
District
Special
Assessment
(Þ)
535
4.625
11/01/29
595
North
Dade
Community
Development
District
Special
Assessment
81
3.000
05/01/22
83
North
Dade
Community
Development
District
Special
Assessment
84
3.000
05/01/23
87
North
Dade
Community
Development
District
Special
Assessment
88
3.500
05/01/24
94
North
Dade
Community
Development
District
Special
Assessment
92
3.500
05/01/25
100
North
Dade
Community
Development
District
Special
Assessment
96
3.500
05/01/26
107
North
Dade
Community
Development
District
Special
Assessment
100
3.500
05/01/27
112
North
Dade
Community
Development
District
Special
Assessment
99
3.500
05/01/28
112
North
Dade
Community
Development
District
Special
Assessment
327
3.750
05/01/31
369
North
Dade
Community
Development
District
Special
Assessment
824
4.000
05/01/38
920
North
Sumter
County
Utility
Dependent
District
Revenue
Bonds
575
5.000
10/01/31
773
North
Sumter
County
Utility
Dependent
District
Revenue
Bonds
3,725
5.000
10/01/43
4,815
Oak
Creek
Community
Development
District
Special
Assessment
170
3.300
05/01/22
173
Oak
Creek
Community
Development
District
Special
Assessment
180
3.500
05/01/23
188
Orange
County
Convention
Center
Revenue
Bonds
3,605
5.000
10/01/31
4,361
Orlando
Utilities
Commission
Revenue
Bonds
(~)(Ê)
575
1.250
10/01/46
587
Palm
Glades
Community
Development
District
Special
Assessment
750
4.000
11/01/33
880
Parker
Road
Community
Development
District
Special
Assessment
250
3.100
05/01/25
257
Parker
Road
Community
Development
District
Special
Assessment
255
3.375
05/01/30
268
Parkview
at
Long
Lake
Ranch
Community
Development
District
Special
Assessment
515
2.500
05/01/25
525
Parkway
Center
Community
Development
District
Special
Assessment
Revenue
Bonds
95
3.500
05/01/25
103
Parkway
Center
Community
Development
District
Special
Assessment
Revenue
Bonds
100
4.000
05/01/26
113
Parkway
Center
Community
Development
District
Special
Assessment
Revenue
Bonds
105
4.000
05/01/27
121
Parkway
Center
Community
Development
District
Special
Assessment
Revenue
Bonds
110
4.000
05/01/28
128
Paseo
Community
Development
District
Capital
Improvements
Special
Assessment
Revenue
Bonds
460
4.000
05/01/25
508
Paseo
Community
Development
District
Capital
Improvements
Special
Assessment
Revenue
Bonds
500
4.000
05/01/27
573
Paseo
Community
Development
District
Capital
Improvements
Special
Assessment
Revenue
Bonds
375
4.500
05/01/31
456
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
295
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Portico
Community
Development
District
Special
Assessment
25
3.250
05/01/31
26
Reedy
Creek
Improvement
District
General
Obligation
Limited
(ae)
5,000
5.000
06/01/25
5,448
Reedy
Creek
Improvement
District
General
Obligation
Limited
(ae)
4,870
5.000
06/01/26
5,307
Reunion
East
Community
Development
District
Special
Assessment
680
2.400
05/01/26
680
Reunion
East
Community
Development
District
Special
Assessment
700
2.850
05/01/31
700
River
Glen
Community
Development
District
Special
Assessment
509
3.000
05/01/34
543
River
Glen
Community
Development
District
Special
Assessment
686
3.000
05/01/38
717
River
Landing
Community
Development
District
Special
Assessment
850
4.125
05/01/40
900
Rivers
Edge
III
Community
Development
District
Special
Assessment
(Þ)
260
2.400
05/01/26
262
Rivers
Edge
III
Community
Development
District
Special
Assessment
(Þ)
300
3.000
05/01/31
307
Sampson
Creek
Community
Development
District
Special
Assessment
(µ)
95
2.375
05/01/35
97
Sampson
Creek
Community
Development
District
Special
Assessment
(µ)
190
2.625
05/01/40
197
Sarasota
National
Community
Development
District
Special
Assessment
135
3.400
05/01/31
139
Sarasota
National
Community
Development
District
Special
Assessment
1,500
3.500
05/01/31
1,629
Sarasota
National
Community
Development
District
Special
Assessment
(Þ)
125
3.625
05/01/31
129
Sarasota
National
Community
Development
District
Special
Assessment
2,205
4.000
05/01/39
2,412
School
District
of
Broward
County
General
Obligation
Limited
855
5.000
07/01/38
1,156
School
District
of
Broward
County
General
Obligation
Limited
885
5.000
07/01/39
1,192
School
District
of
Broward
County
General
Obligation
Limited
590
5.000
07/01/40
793
Sherwood
Manor
Community
Development
District
Special
Assessment
(Þ)
550
4.625
11/01/29
607
Shingle
Creek
at
Bronson
Community
Development
District
Special
Assessment
250
2.500
06/15/26
253
South
Fork
East
Community
Development
District
Special
Assessment
147
3.000
05/01/23
152
South
Fork
East
Community
Development
District
Special
Assessment
100
3.000
05/01/25
105
South
Fork
East
Community
Development
District
Special
Assessment
263
3.000
05/01/31
271
South
Fork
East
Community
Development
District
Special
Assessment
1,990
4.125
05/01/36
2,217
South
Fork
East
Community
Development
District
Special
Assessment
600
3.000
05/01/38
606
South
Kendall
Community
Development
District
Special
Assessment
205
4.000
11/01/31
231
South
Village
Community
Development
District
Special
Assessment
415
3.500
05/01/32
444
South
Village
Community
Development
District
Special
Assessment
230
3.750
05/01/38
247
Southern
Groves
Community
Development
District
No.
5
Special
Assessment
145
2.875
05/01/24
148
Southern
Groves
Community
Development
District
No.
5
Special
Assessment
210
2.400
05/01/26
211
Southern
Groves
Community
Development
District
No.
6
Special
Assessment
890
2.800
05/01/31
893
State
of
Florida
General
Obligation
Unlimited
1,300
4.000
06/01/30
1,341
Stonegate
Community
Development
District
Special
Assessment
190
3.000
05/01/22
192
Stonegate
Community
Development
District
Special
Assessment
190
3.000
05/01/23
196
Stonegate
Community
Development
District
Special
Assessment
195
3.000
05/01/24
205
Stonegate
Community
Development
District
Special
Assessment
205
3.000
05/01/25
219
Stonegate
Community
Development
District
Special
Assessment
210
3.000
05/01/26
225
Stonegate
Community
Development
District
Special
Assessment
215
3.000
05/01/27
235
Stonegate
Community
Development
District
Special
Assessment
225
3.000
05/01/28
246
Stonegate
Community
Development
District
Special
Assessment
230
3.000
05/01/29
252
Stonegate
Community
Development
District
Special
Assessment
1,270
3.000
05/01/34
1,361
Stonegate
Community
Development
District
Special
Assessment
1,465
3.000
05/01/39
1,560
Sweetwater
Creek
Community
Development
District
Special
Assessment
(µ)
380
2.250
05/01/27
405
Tampa
Bay
Water
Revenue
Bonds
1,890
4.000
10/01/28
2,168
Tampa-Hillsborough
County
Expressway
Authority
Revenue
Bonds
825
5.000
07/01/47
1,005
Timber
Creek
Community
Development
District
Special
Assessment
(Þ)
170
4.125
11/01/24
176
Timber
Creek
Community
Development
District
Special
Assessment
(Þ)
400
4.625
11/01/29
445
Timber
Creek
Community
Development
District
Special
Assessment
(Þ)
535
5.000
11/01/38
633
Timber
Creek
Southwest
Community
Development
District
Special
Assessment
525
2.500
06/15/25
535
Timber
Creek
Southwest
Community
Development
District
Special
Assessment
650
3.000
06/15/30
681
Tohoqua
Community
Development
District
Special
Assessment
(Þ)
320
3.125
05/01/31
330
Tolomato
Community
Development
District
Special
Assessment
325
3.500
05/01/24
337
Tolomato
Community
Development
District
Special
Assessment
(µ)
1,180
3.000
05/01/33
1,298
Tolomato
Community
Development
District
Special
Assessment
(µ)
930
3.000
05/01/37
1,022
Tolomato
Community
Development
District
Special
Assessment
(µ)
605
3.000
05/01/40
661
Town
of
Davie
Educational
Facilities
Revenue
Bonds
550
5.000
04/01/32
681
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
296
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Tradition
Community
Development
District
No.
9
Special
Assessment
190
2.300
05/01/26
190
Tradition
Community
Development
District
No.
9
Special
Assessment
270
2.700
05/01/31
269
University
of
Florida
Department
of
Housing
&
Residence
Education
Housing
System
Revenue
Bonds
625
4.000
07/01/34
779
V-Dana
Community
Development
District
Special
Assessment
(Þ)
375
2.600
05/01/26
380
V-Dana
Community
Development
District
Special
Assessment
(Þ)
125
3.125
05/01/31
128
Veranda
Community
Development
District
II
Special
Assessment
(Þ)
45
2.500
05/01/26
45
Veranda
Community
Development
District
II
Special
Assessment
(Þ)
55
3.100
05/01/31
57
Verano
No.
3
Community
Development
District
Special
Assessment
(Þ)
100
2.375
05/01/26
101
Verano
No.
3
Community
Development
District
Special
Assessment
(Þ)
120
3.000
05/01/31
123
Village
Community
Development
District
No.
12
Special
Assessment
(Þ)
1,465
3.800
05/01/28
1,620
Volusia
County
School
Board
Certificate
of
Participation
(µ)
1,280
5.000
08/01/32
1,517
Watergrass
Community
Development
District
II
Special
Assessment
265
4.000
05/01/23
272
Watergrass
Community
Development
District
II
Special
Assessment
775
4.450
05/01/28
845
Watergrass
Community
Development
District
II
Special
Assessment
2,260
5.150
05/01/38
2,561
West
Villages
Improvement
District
Special
Assessment
(Þ)
825
3.125
05/01/31
849
Westside
Haines
City
Community
Development
District
Special
Assessment
125
2.500
05/01/26
125
Westside
Haines
City
Community
Development
District
Special
Assessment
215
3.000
05/01/31
215
234,881
Georgia
-
1.4%
Bartow
County
Development
Authority
Revenue
Bonds
(~)(ae)(Ê)
890
1.550
08/01/43
902
Burke
County
Development
Authority
Revenue
Bonds
(~)(ae)(Ê)
525
2.150
10/01/32
551
Burke
County
Development
Authority
Revenue
Bonds
(~)(ae)(Ê)
285
2.250
10/01/32
294
Burke
County
Development
Authority
Revenue
Bonds
(~)(ae)(Ê)
3,875
3.000
11/01/45
4,029
Burke
County
Development
Authority
Revenue
Bonds
(~)(ae)(Ê)
500
2.925
11/01/48
533
Burke
County
Development
Authority
Revenue
Bonds
(~)(ae)(Ê)
855
1.550
12/01/49
867
County
of
Fulton
Water
&
Sewerage
Revenue
Bonds
1,415
4.000
01/01/35
1,486
Glynn-Brunswick
Memorial
Hospital
Authority
Revenue
Bonds
1,000
5.000
08/01/21
1,000
Main
Street
Natural
Gas,
Inc.
Revenue
Bonds
4,775
5.000
05/15/30
6,161
Main
Street
Natural
Gas,
Inc.
Revenue
Bonds
(USD
1
Month
LIBOR
+
0.750%)(ae)
(Ê)
8,785
0.866
04/01/48
8,830
Main
Street
Natural
Gas,
Inc.
Revenue
Bonds
(~)(ae)(Ê)
2,750
4.000
04/01/48
2,947
Main
Street
Natural
Gas,
Inc.
Revenue
Bonds
(USD
1
Month
LIBOR
+
0.830%)(ae)
(Ê)
12,480
0.934
08/01/48
12,578
Main
Street
Natural
Gas,
Inc.
Revenue
Bonds
(~)(ae)(Ê)
2,600
4.000
08/01/49
2,892
Municipal
Electric
Authority
of
Georgia
Revenue
Bonds
465
5.000
01/01/35
586
Municipal
Electric
Authority
of
Georgia
Revenue
Bonds
2,420
5.000
01/01/38
3,023
Municipal
Electric
Authority
of
Georgia
Revenue
Bonds
1,835
5.000
01/01/39
2,288
Private
Colleges
&
Universities
Authority
Revenue
Bonds
465
5.000
10/01/28
597
Private
Colleges
&
Universities
Authority
Revenue
Bonds
350
5.000
10/01/29
459
Private
Colleges
and
Universities
Authority
Revenue
Bonds
1,815
5.000
09/01/37
2,357
Savannah
Hospital
Authority
Revenue
Bonds
1,000
5.500
07/01/28
1,102
State
of
Georgia
General
Obligation
Unlimited
2,325
4.000
07/01/34
2,963
56,445
Guam
-
1.6%
Guam
Business
Privilege
Tax
Revenue
Bonds
450
5.000
01/01/28
552
Guam
Business
Privilege
Tax
Revenue
Bonds
1,025
5.000
01/01/29
1,282
Guam
Business
Privilege
Tax
Revenue
Bonds
900
5.000
01/01/30
1,144
Guam
Business
Privilege
Tax
Revenue
Bonds
775
5.000
01/01/31
1,001
Guam
Department
of
Education
Certificate
of
Participation
675
3.625
02/01/25
714
Guam
Department
of
Education
Certificate
of
Participation
265
4.250
02/01/30
300
Guam
Government
Waterworks
Authority
Revenue
Bonds
150
5.000
07/01/25
173
Guam
Government
Waterworks
Authority
Revenue
Bonds
225
5.000
07/01/26
268
Guam
Government
Waterworks
Authority
Revenue
Bonds
150
5.000
07/01/27
183
Guam
Government
Waterworks
Authority
Revenue
Bonds
1,395
5.000
07/01/28
1,518
Guam
Government
Waterworks
Authority
Revenue
Bonds
5,425
5.000
07/01/29
6,009
Guam
Government
Waterworks
Authority
Revenue
Bonds
300
5.000
07/01/30
358
Guam
Government
Waterworks
Authority
Revenue
Bonds
600
5.000
07/01/31
704
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
297
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Guam
Government
Waterworks
Authority
Revenue
Bonds
300
5.000
07/01/32
355
Guam
Government
Waterworks
Authority
Revenue
Bonds
3,200
5.000
01/01/46
3,639
Guam
Government
Waterworks
Authority
Revenue
Bonds
445
5.000
01/01/50
550
Guam
Power
Authority
Revenue
Bonds
(µ)
2,190
5.000
10/01/24
2,308
Guam
Power
Authority
Revenue
Bonds
3,925
5.000
10/01/34
4,416
Guam
Power
Authority
Revenue
Bonds
2,690
5.000
10/01/35
3,150
Territory
of
Guam
Revenue
Bonds
435
5.000
12/01/21
442
Territory
of
Guam
Revenue
Bonds
5,060
5.000
12/01/22
5,373
Territory
of
Guam
Revenue
Bonds
2,450
5.000
12/01/23
2,712
Territory
of
Guam
Revenue
Bonds
3,000
5.000
12/01/24
3,444
Territory
of
Guam
Revenue
Bonds
7,860
5.000
11/15/26
9,250
Territory
of
Guam
Revenue
Bonds
50
5.000
11/01/27
62
Territory
of
Guam
Revenue
Bonds
50
5.000
11/01/28
63
Territory
of
Guam
Revenue
Bonds
2,000
5.000
12/01/28
2,400
Territory
of
Guam
Revenue
Bonds
50
5.000
11/01/29
64
Territory
of
Guam
Revenue
Bonds
50
5.000
11/01/30
65
Territory
of
Guam
Revenue
Bonds
9,625
5.000
01/01/31
9,813
Territory
of
Guam
Revenue
Bonds
785
5.000
01/01/32
800
Territory
of
Guam
Revenue
Bonds
1,035
5.000
12/01/32
1,225
Territory
of
Guam
Revenue
Bonds
555
5.000
12/01/35
653
Territory
of
Guam
Revenue
Bonds
980
5.000
12/01/36
1,153
66,143
Hawaii
-
0.5%
City
&
County
of
Honolulu
General
Obligation
Unlimited
9,000
5.000
03/01/29
11,805
City
&
County
of
Honolulu
Wastewater
System
Revenue
Bonds
130
5.000
07/01/22
136
State
of
Hawaii
Airports
System
Revenue
Bonds
5,000
5.000
07/01/34
6,623
State
of
Hawaii
Department
of
Budget
&
Finance
Revenue
Bonds
1,400
3.200
07/01/39
1,537
20,101
Idaho
-
0.5%
Idaho
Health
Facilities
Authority
Revenue
Bonds
300
5.000
09/01/21
301
Idaho
Health
Facilities
Authority
Revenue
Bonds
1,390
5.000
09/01/24
1,556
Idaho
Health
Facilities
Authority
Revenue
Bonds
2,090
5.000
09/01/27
2,483
Idaho
Health
Facilities
Authority
Revenue
Bonds
2,045
5.000
09/01/28
2,416
Idaho
Health
Facilities
Authority
Revenue
Bonds
2,400
5.000
09/01/31
2,801
Idaho
Health
Facilities
Authority
Revenue
Bonds
1,245
4.000
09/01/40
1,501
Idaho
Housing
&
Finance
Association
Revenue
Bonds
1,670
5.000
07/15/31
1,814
Idaho
Housing
&
Finance
Association
Revenue
Bonds
600
5.000
07/15/34
807
Idaho
Housing
&
Finance
Association
Revenue
Bonds
875
5.000
07/15/35
1,175
Idaho
Housing
&
Finance
Association
Revenue
Bonds
500
4.000
07/15/36
616
Idaho
Housing
&
Finance
Association
Revenue
Bonds
640
4.000
07/15/37
785
Idaho
Housing
&
Finance
Association
Revenue
Bonds
1,250
4.000
07/15/38
1,530
Idaho
State
Building
Authority
Revenue
Bonds
590
5.000
09/01/23
621
18,406
Illinois
-
13.6%
Berkeley
School
District
No.
87
General
Obligation
Unlimited
(µ)
500
3.000
12/01/34
563
Berwyn
Municipal
Securitization
Corp.
Revenue
Bonds
(µ)
1,000
5.000
01/01/35
1,260
Carol
Stream
Park
District
General
Obligation
Unlimited
(µ)(ae)
200
5.000
01/01/26
240
Carol
Stream
Park
District
General
Obligation
Unlimited
(µ)(ae)
250
4.500
11/01/35
253
Carol
Stream
Park
District
General
Obligation
Unlimited
(µ)
630
5.000
01/01/37
745
Champaign
Community
Unit
School
District
No.4
General
Obligation
Unlimited
50
Zero
coupon
01/01/26
48
Champaign
Community
Unit
School
District
No.4
General
Obligation
Unlimited
25
Zero
coupon
01/01/27
24
Champaign
Community
Unit
School
District
No.4
General
Obligation
Unlimited
35
Zero
coupon
01/01/28
32
Champaign
Community
Unit
School
District
No.4
General
Obligation
Unlimited
30
5.000
01/01/29
38
Champaign
Community
Unit
School
District
No.4
General
Obligation
Unlimited
25
5.000
01/01/30
32
Champaign
Community
Unit
School
District
No.4
General
Obligation
Unlimited
110
5.000
01/01/31
139
Champaign
Community
Unit
School
District
No.4
General
Obligation
Unlimited
260
5.000
01/01/32
327
Champaign
Community
Unit
School
District
No.4
General
Obligation
Unlimited
125
5.000
01/01/33
157
Champaign
Community
Unit
School
District
No.4
General
Obligation
Unlimited
155
5.000
01/01/34
194
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
298
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Chicago
Board
of
Education
General
Obligation
Unlimited
335
5.000
12/01/22
355
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
4,025
2.519
12/01/23
3,964
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
675
5.000
12/01/25
801
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
810
5.000
12/01/26
988
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
17,825
5.000
12/01/27
22,130
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
10,880
2.956
12/01/28
9,758
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
2,750
5.000
12/01/28
3,525
Chicago
Board
of
Education
General
Obligation
Unlimited
1,500
5.000
12/01/29
1,950
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
3,630
3.163
12/01/30
3,074
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
8,000
5.000
12/01/31
10,009
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
6,500
5.000
12/01/32
8,119
Chicago
Board
of
Education
General
Obligation
Unlimited
4,010
5.000
12/01/34
5,217
Chicago
Board
of
Education
General
Obligation
Unlimited
(µ)
2,620
5.000
12/01/35
3,353
Chicago
Board
of
Education
General
Obligation
Unlimited
350
5.000
12/01/36
453
Chicago
Board
of
Education
General
Obligation
Unlimited
1,620
5.000
12/01/37
2,093
Chicago
Board
of
Education
General
Obligation
Unlimited
(Þ)
5,000
7.000
12/01/42
6,686
Chicago
Board
of
Education
Revenue
Bonds
10,000
5.750
04/01/33
12,492
Chicago
Board
of
Education
Revenue
Bonds
325
5.000
04/01/34
391
Chicago
Board
of
Education
Revenue
Bonds
250
5.000
04/01/35
301
Chicago
Board
of
Education
Revenue
Bonds
225
5.000
04/01/36
270
Chicago
Board
of
Education
Revenue
Bonds
310
5.000
04/01/37
372
Chicago
Midway
International
Airport
Revenue
Bonds
940
5.000
01/01/30
1,041
Chicago
Midway
International
Airport
Revenue
Bonds
4,435
5.000
01/01/34
4,918
Chicago
O'Hare
International
Airport
Revenue
Bonds
3,200
5.000
01/01/28
3,368
Chicago
O'Hare
International
Airport
Revenue
Bonds
4,250
5.000
01/01/33
5,040
Chicago
O'Hare
International
Airport
Revenue
Bonds
5,345
4.000
01/01/34
6,458
Chicago
O'Hare
International
Airport
Revenue
Bonds
1,850
5.000
01/01/34
2,194
Chicago
O'Hare
International
Airport
Revenue
Bonds
1,825
4.000
01/01/44
2,118
Chicago
Park
District
General
Obligation
Limited
(µ)
5,000
4.000
01/01/32
6,055
Chicago
Park
District
General
Obligation
Limited
(µ)
6,810
4.000
01/01/33
8,222
Chicago
Park
District
General
Obligation
Limited
(µ)
3,145
4.000
01/01/39
3,733
Chicago
Park
District
General
Obligation
Unlimited
550
5.000
01/01/27
672
Chicago
Park
District
General
Obligation
Unlimited
1,000
4.000
01/01/38
1,183
Chicago
Sales
Tax
Securitization
Corp.
Revenue
Bonds
3,420
5.000
01/01/26
4,078
Chicago
Sales
Tax
Securitization
Corp.
Revenue
Bonds
2,925
5.000
01/01/27
3,595
Chicago
Sales
Tax
Securitization
Corp.
Revenue
Bonds
4,650
5.000
01/01/28
5,870
Chicago
Sales
Tax
Securitization
Corp.
Revenue
Bonds
3,695
5.000
01/01/29
4,776
Chicago
Sales
Tax
Securitization
Corp.
Revenue
Bonds
7,805
5.000
01/01/30
10,303
Chicago
Sales
Tax
Securitization
Corp.
Revenue
Bonds
19,040
5.500
01/01/32
24,957
Chicago
Sales
Tax
Securitization
Corp.
Revenue
Bonds
6,590
5.000
01/01/35
8,123
Chicago
Sales
Tax
Securitization
Corp.
Revenue
Bonds
(µ)
1,450
5.000
01/01/37
1,869
Chicago
Sales
Tax
Securitization
Corp.
Revenue
Bonds
710
4.000
01/01/38
846
Chicago
Sales
Tax
Securitization
Corp.
Revenue
Bonds
(µ)
700
5.000
01/01/38
860
Chicago
Transit
Authority
Capital
Grant
Receipts
Revenue
Bonds
425
5.000
06/01/27
529
Chicago
Transit
Authority
Capital
Grant
Receipts
Revenue
Bonds
615
5.000
06/01/28
785
Chicago
Transit
Authority
Capital
Grant
Receipts
Revenue
Bonds
200
5.000
06/01/29
261
City
of
Belleville
Sales
Tax
Revenue
Tax
Allocation
125
3.250
07/01/29
129
City
of
Chicago
General
Obligation
Unlimited
465
5.000
01/01/27
566
City
of
Chicago
General
Obligation
Unlimited
1,650
5.000
01/01/28
2,059
City
of
Chicago
General
Obligation
Unlimited
925
5.250
01/01/28
1,061
City
of
Chicago
General
Obligation
Unlimited
2,210
5.000
01/01/29
2,766
City
of
Chicago
General
Obligation
Unlimited
870
5.000
01/01/30
1,132
City
of
Chicago
General
Obligation
Unlimited
700
5.625
01/01/30
871
City
of
Chicago
General
Obligation
Unlimited
60
5.000
01/01/31
77
City
of
Chicago
General
Obligation
Unlimited
(µ)
5,535
5.250
01/01/31
6,062
City
of
Chicago
General
Obligation
Unlimited
1,400
5.000
01/01/36
1,522
City
of
Chicago
General
Obligation
Unlimited
3,700
5.000
01/01/38
4,247
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
299
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
City
of
Chicago
General
Obligation
Unlimited
325
5.000
01/01/40
328
City
of
Chicago
Motor
Fuel
Tax
Revenue
Bonds
560
5.000
01/01/28
593
City
of
Chicago
Motor
Fuel
Tax
Revenue
Bonds
725
5.000
01/01/29
765
City
of
Chicago
Revenue
Bonds
(ae)
500
5.250
01/01/38
511
City
of
Chicago
Wastewater
Transmission
Revenue
Bonds
505
5.000
01/01/29
559
City
of
Chicago
Wastewater
Transmission
Revenue
Bonds
900
5.000
01/01/32
993
City
of
Chicago
Wastewater
Transmission
Revenue
Bonds
2,015
5.000
01/01/34
2,314
City
of
Chicago
Wastewater
Transmission
Revenue
Bonds
1,630
5.000
01/01/35
1,871
City
of
Chicago
Wastewater
Transmission
Revenue
Bonds
4,920
5.000
01/01/36
5,947
City
of
Chicago
Wastewater
Transmission
Revenue
Bonds
575
5.000
01/01/44
634
City
of
Chicago
Waterworks
Revenue
Bonds
(µ)
6,000
5.000
11/01/31
7,510
City
of
Chicago
Waterworks
Revenue
Bonds
(µ)
300
5.000
11/01/33
374
City
of
Chicago
Waterworks
Revenue
Bonds
1,000
5.000
11/01/34
1,130
City
of
Chicago
Waterworks
Revenue
Bonds
2,875
5.000
11/01/42
3,027
City
of
Country
Club
Hills
General
Obligation
Unlimited
(µ)
1,000
4.000
12/01/29
1,163
City
of
Mount
Vernon
General
Obligation
Unlimited
(µ)
2,530
4.000
12/15/30
3,073
City
of
Mount
Vernon
General
Obligation
Unlimited
(µ)
3,155
4.000
12/15/31
3,817
City
of
Mount
Vernon
General
Obligation
Unlimited
(µ)
3,275
4.000
12/15/32
3,950
City
of
Mount
Vernon
General
Obligation
Unlimited
(µ)
615
4.000
12/15/33
739
City
of
Mount
Vernon
General
Obligation
Unlimited
(µ)
680
4.000
12/15/36
816
City
of
Mount
Vernon
General
Obligation
Unlimited
(µ)
735
4.000
12/15/38
876
City
of
Mount
Vernon
General
Obligation
Unlimited
(µ)
795
4.000
12/15/40
937
City
of
Peoria
General
Obligation
Unlimited
(µ)
120
5.000
01/01/29
153
City
of
Peoria
General
Obligation
Unlimited
(µ)
200
5.000
01/01/31
257
City
of
Springfield
Electric
Revenue
Bonds
1,280
5.000
03/01/32
1,479
City
of
Waukegan
Water
&
Sewer
System
Revenue
Bonds
(µ)
315
4.000
12/30/32
381
City
of
Waukegan
Water
&
Sewer
System
Revenue
Bonds
(µ)
325
4.000
12/30/33
392
City
of
Waukegan
Water
&
Sewer
System
Revenue
Bonds
(µ)
275
4.000
12/30/34
331
Cook
County
Community
College
District
No.
508
General
Obligation
Unlimited
1,500
5.250
12/01/28
1,653
Cook
County
Community
College
District
No.
527
General
Obligation
Unlimited
(µ)
580
4.000
12/15/36
712
Cook
County
Community
College
District
No.
527
General
Obligation
Unlimited
(µ)
625
4.000
12/15/38
749
Cook
County
Community
Unit
School
District
No.
401
Elmwood
Park
General
Obligation
Unlimited
715
3.000
12/01/21
722
Cook
County
High
School
District
No.
209
Proviso
Township
General
Obligation
Limited
(µ)
2,475
5.500
12/01/36
3,275
Cook
County
School
District
No.
95
General
Obligation
Unlimited
465
4.000
12/01/24
519
Cook
County
Township
High
School
District
General
Obligation
Unlimited
(µ)
1,000
5.000
12/01/30
1,293
Cook
County
Township
High
School
District
General
Obligation
Unlimited
(µ)
1,100
5.000
12/01/31
1,418
Cook
County
Township
High
School
District
General
Obligation
Unlimited
(µ)
1,160
5.000
12/01/32
1,492
County
of
Cook
Sales
Tax
Revenue
Bonds
75
5.000
11/15/29
98
County
of
Cook
Sales
Tax
Revenue
Bonds
205
5.000
11/15/30
274
County
of
Cook
Sales
Tax
Revenue
Bonds
265
5.000
11/15/31
359
County
of
Cook
Sales
Tax
Revenue
Bonds
150
5.000
11/15/32
202
County
of
Cook
Sales
Tax
Revenue
Bonds
135
5.000
11/15/36
178
County
of
Cook
Sales
Tax
Revenue
Bonds
1,250
5.250
11/15/36
1,566
County
of
Cook
Sales
Tax
Revenue
Bonds
185
5.000
11/15/37
242
County
of
Cook
Sales
Tax
Revenue
Bonds
270
5.000
11/15/38
353
County
of
Cook
Sales
Tax
Revenue
Bonds
345
4.000
11/15/39
417
County
of
Cook
Sales
Tax
Revenue
Bonds
315
4.000
11/15/40
380
County
of
Cook
Sales
Tax
Revenue
Bonds
460
4.000
11/15/41
553
County
of
DuPage
General
Obligation
Limited
600
5.000
01/01/28
723
County
of
Union
General
Obligation
Unlimited
(µ)
1,000
4.000
09/01/36
1,176
Governors
State
University
Certificates
of
Participation
(µ)
500
5.000
07/01/24
560
Governors
State
University
Certificates
of
Participation
(µ)
500
5.000
07/01/25
578
Illinois
Finance
Authority
Revenue
Bonds
1,150
5.000
02/15/27
1,080
Illinois
Finance
Authority
Revenue
Bonds
150
4.000
11/01/27
175
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
300
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Illinois
Finance
Authority
Revenue
Bonds
(Þ)
300
4.000
10/01/28
345
Illinois
Finance
Authority
Revenue
Bonds
250
5.000
12/01/28
306
Illinois
Finance
Authority
Revenue
Bonds
3,000
5.000
01/01/29
3,664
Illinois
Finance
Authority
Revenue
Bonds
400
5.000
02/15/29
479
Illinois
Finance
Authority
Revenue
Bonds
520
5.000
08/01/29
635
Illinois
Finance
Authority
Revenue
Bonds
(~)(Ê)
1,000
0.130
10/01/29
1,000
Illinois
Finance
Authority
Revenue
Bonds
(Þ)
500
4.000
10/01/29
580
Illinois
Finance
Authority
Revenue
Bonds
250
4.000
11/01/29
300
Illinois
Finance
Authority
Revenue
Bonds
315
5.000
12/01/29
383
Illinois
Finance
Authority
Revenue
Bonds
1,265
5.000
08/01/30
1,521
Illinois
Finance
Authority
Revenue
Bonds
250
5.000
12/01/30
302
Illinois
Finance
Authority
Revenue
Bonds
650
5.000
08/01/31
775
Illinois
Finance
Authority
Revenue
Bonds
265
4.000
11/01/31
324
Illinois
Finance
Authority
Revenue
Bonds
320
5.000
12/01/31
386
Illinois
Finance
Authority
Revenue
Bonds
745
5.000
08/01/32
885
Illinois
Finance
Authority
Revenue
Bonds
730
5.000
08/15/32
995
Illinois
Finance
Authority
Revenue
Bonds
(Þ)
340
4.000
10/01/32
395
Illinois
Finance
Authority
Revenue
Bonds
500
5.000
12/01/32
601
Illinois
Finance
Authority
Revenue
Bonds
(Þ)
440
4.000
10/01/33
510
Illinois
Finance
Authority
Revenue
Bonds
2,310
5.000
08/15/34
3,127
Illinois
Finance
Authority
Revenue
Bonds
(Þ)
445
4.000
10/01/34
513
Illinois
Finance
Authority
Revenue
Bonds
700
4.000
12/01/35
845
Illinois
Finance
Authority
Revenue
Bonds
200
5.000
01/01/36
239
Illinois
Finance
Authority
Revenue
Bonds
2,660
4.000
12/01/36
3,205
Illinois
Finance
Authority
Revenue
Bonds
1,000
4.000
07/01/38
1,231
Illinois
Finance
Authority
Revenue
Bonds
1,000
4.000
07/01/39
1,228
Illinois
Finance
Authority
Revenue
Bonds
2,000
4.000
12/01/39
2,380
Illinois
Finance
Authority
Revenue
Bonds
925
5.000
10/01/41
1,150
Illinois
Finance
Authority
Revenue
Bonds
100
4.000
11/01/41
119
Illinois
General
Obligation
Unlimited
(µ)
350
4.000
06/01/41
398
Illinois
Sports
Facilities
Authority
(The)
Revenue
Bonds
750
5.000
06/15/30
957
Illinois
Sports
Facilities
Authority
(The)
Revenue
Bonds
480
5.000
06/15/32
621
Illinois
Sports
Facilities
Authority
Revenue
Bonds
(µ)
1,000
5.250
06/15/31
1,110
Illinois
State
Toll
Highway
Authority
Revenue
Bonds
400
5.000
01/01/25
463
Illinois
State
Toll
Highway
Authority
Revenue
Bonds
5,000
5.000
12/01/32
5,936
Illinois
State
University
Revenue
Bonds
(µ)
725
5.000
04/01/23
781
Illinois
State
University
Revenue
Bonds
(µ)
360
5.000
04/01/24
401
Illinois
State
University
Revenue
Bonds
(µ)
500
5.000
04/01/25
577
Kane
Cook
&
DuPage,
etc.
Counties
Community
College
District
No.
509
Elgin
General
Obligation
Unlimited
950
4.000
12/15/34
1,173
Kane
Cook
&
DuPage,
etc.
Counties
Community
College
District
No.
509
Elgin
General
Obligation
Unlimited
2,670
4.000
12/15/35
3,285
Kane
County
School
District
No.
131
Aurora
East
Side
General
Obligation
(µ)
3,920
5.000
12/01/27
4,878
Kane
County
School
District
No.
131
Aurora
East
Side
General
Obligation
(µ)
2,000
5.000
12/01/28
2,547
Kane
County
School
District
No.
131
Aurora
East
Side
General
Obligation
(µ)
2,000
5.000
12/01/29
2,538
Lake
Cook
Kane
&
McHenry
Counties
Community
Unit
School
District
220
Barrington
General
Obligation
Unlimited
2,255
5.000
12/01/29
2,999
LaSalle-Peru
Township
High
School
District
No.
120
General
Obligation
Unlimited
(µ)
260
4.000
12/01/30
314
LaSalle-Peru
Township
High
School
District
No.
120
General
Obligation
Unlimited
(µ)
320
4.000
12/01/31
384
LaSalle-Peru
Township
High
School
District
No.
120
General
Obligation
Unlimited
(µ)
385
4.000
12/01/32
460
LaSalle-Peru
Township
High
School
District
No.
120
General
Obligation
Unlimited
(µ)
635
4.000
12/01/35
750
LaSalle-Peru
Township
High
School
District
No.
120
General
Obligation
Unlimited
(µ)
3,260
4.000
12/01/37
3,850
Madison
&
Jersey
Counties
Unit
School
District
No.
11
General
Obligation
Unlimited
(µ)
185
5.000
03/01/28
222
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
301
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Madison-Macoupin
Etc
Counties
Community
College
District
No.
536
General
Obligation
Unlimited
(µ)
370
4.000
05/01/27
431
Madison-Macoupin
Etc
Counties
Community
College
District
No.
536
General
Obligation
Unlimited
(µ)
225
4.000
05/01/28
265
Madison-Macoupin
Etc
Counties
Community
College
District
No.
536
General
Obligation
Unlimited
(µ)
1,000
4.000
05/01/29
1,170
McHenry
&
Kane
Counties
Community
Consolidated
School
District
No.
158
Huntley
General
Obligation
Unlimited
2,200
5.625
01/15/32
2,255
McHenry
County
Community
Unit
School
District
No.
12
Johnsburg
General
Obligation
Unlimited
(µ)
850
5.000
01/01/33
976
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
1,125
3.000
06/15/24
1,174
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
355
5.000
12/15/27
444
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
(µ)
8,565
5.000
12/15/28
8,916
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
1,300
5.000
12/15/30
1,612
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
555
5.000
12/15/31
686
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
600
5.000
12/15/33
739
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
500
5.000
12/15/34
614
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
540
2.169
12/15/37
488
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
1,500
1.730
12/15/42
1,372
Metropolitan
Pier
&
Exposition
Authority
Revenue
Bonds
1,650
1.452
12/15/47
1,484
Northern
Illinois
University
Revenue
Bonds
(µ)
850
5.000
04/01/29
1,087
Northern
Illinois
University
Revenue
Bonds
(µ)
325
5.000
10/01/29
418
Northern
Illinois
University
Revenue
Bonds
(µ)
325
5.000
10/01/30
426
Northern
Illinois
University
Revenue
Bonds
(µ)
1,040
5.000
04/01/31
1,344
Northern
Illinois
University
Revenue
Bonds
(µ)
450
5.000
10/01/31
594
Northern
Illinois
University
Revenue
Bonds
(µ)
500
4.000
10/01/32
609
Northern
Illinois
University
Revenue
Bonds
(µ)
1,350
5.000
04/01/33
1,734
Northern
Illinois
University
Revenue
Bonds
(µ)
1,115
4.000
10/01/36
1,342
Peoria
County
Community
Unit
School
District
No.
323
General
Obligation
Unlimited
1,925
4.000
04/01/28
2,279
Peoria
County
Community
Unit
School
District
No.
323
General
Obligation
Unlimited
1,255
4.000
04/01/29
1,524
Peoria
County
Community
Unit
School
District
No.
323
General
Obligation
Unlimited
1,585
4.000
04/01/30
1,910
Rock
Island
County
School
District
No.
41
General
Obligation
Unlimited
(µ)
1,105
5.000
12/01/30
1,435
Rock
Island
County
School
District
No.
41
General
Obligation
Unlimited
(µ)
665
5.000
12/01/31
860
Rock
Island
County
School
District
No.
41
General
Obligation
Unlimited
(µ)
625
5.000
12/01/32
806
Rock
Island
County
School
District
No.
41
General
Obligation
Unlimited
(µ)
675
5.000
12/01/34
867
Sangamon
County
School
Districts
General
Obligation
Limited
(µ)
1,105
5.000
06/01/30
1,464
Sangamon
County
School
Districts
General
Obligation
Limited
(µ)
1,160
5.000
06/01/31
1,542
Sangamon
County
School
Districts
General
Obligation
Limited
(µ)
1,220
5.000
06/01/32
1,615
Sangamon
County
School
Districts
General
Obligation
Limited
(µ)
1,395
5.000
02/01/33
1,821
Sangamon
Logan
&
Menard
Counties
Community
Unit
School
District
No.
15
Williamsville
General
Obligation
Unlimited
(µ)
550
5.000
12/01/34
700
Sangamon
Logan
&
Menard
Counties
Community
Unit
School
District
No.
15
Williamsville
General
Obligation
Unlimited
(µ)
1,000
4.000
12/01/40
1,172
South
Sangamon
Water
Commission
General
Obligation
Unlimited
(µ)
125
4.000
01/01/32
151
South
Sangamon
Water
Commission
General
Obligation
Unlimited
(µ)
50
4.000
01/01/33
60
South
Sangamon
Water
Commission
General
Obligation
Unlimited
(µ)
55
4.000
01/01/34
66
South
Sangamon
Water
Commission
General
Obligation
Unlimited
(µ)
50
4.000
01/01/35
60
South
Sangamon
Water
Commission
General
Obligation
Unlimited
(µ)
60
4.000
01/01/37
71
Southern
Illinois
University
Revenue
Bonds
(µ)
1,470
5.000
04/01/27
1,697
Southern
Illinois
University
Revenue
Bonds
(µ)
850
5.000
04/01/28
979
Southern
Illinois
University
Revenue
Bonds
(µ)
200
4.000
04/01/29
241
Southern
Illinois
University
Revenue
Bonds
(µ)
525
4.000
04/01/30
638
Southern
Illinois
University
Revenue
Bonds
(µ)
240
5.000
04/01/32
315
Southern
Illinois
University
Revenue
Bonds
(µ)
300
5.000
04/01/33
393
Southern
Illinois
University
Revenue
Bonds
(µ)
300
4.000
04/01/35
361
Southern
Illinois
University
Revenue
Bonds
(µ)
500
4.000
04/01/39
595
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
302
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Southwestern
Illinois
Development
Authority
Revenue
Bonds
1,450
4.000
04/15/31
1,769
Southwestern
Illinois
Development
Authority
Revenue
Bonds
1,075
4.000
04/15/33
1,301
Southwestern
Illinois
Development
Authority
Revenue
Bonds
(µ)
1,005
5.000
10/15/33
1,187
Southwestern
Illinois
Development
Authority
Revenue
Bonds
925
4.000
04/15/34
1,117
Southwestern
Illinois
Development
Authority
Revenue
Bonds
1,225
4.000
10/15/35
1,473
State
of
Illinois
General
Obligation
Unlimited
1,140
5.000
11/01/21
1,154
State
of
Illinois
General
Obligation
Unlimited
3,025
4.000
02/01/22
3,082
State
of
Illinois
General
Obligation
Unlimited
200
5.000
05/01/22
207
State
of
Illinois
General
Obligation
Unlimited
225
5.000
07/01/22
235
State
of
Illinois
General
Obligation
Unlimited
(µ)
2,750
5.000
08/01/22
2,883
State
of
Illinois
General
Obligation
Unlimited
130
4.000
01/01/23
132
State
of
Illinois
General
Obligation
Unlimited
400
5.000
02/01/24
446
State
of
Illinois
General
Obligation
Unlimited
8,125
5.000
11/01/24
9,309
State
of
Illinois
General
Obligation
Unlimited
240
4.000
01/01/25
244
State
of
Illinois
General
Obligation
Unlimited
8,275
5.000
01/01/25
9,536
State
of
Illinois
General
Obligation
Unlimited
2,290
5.000
08/01/25
2,398
State
of
Illinois
General
Obligation
Unlimited
3,250
5.000
11/01/25
3,850
State
of
Illinois
General
Obligation
Unlimited
15
4.000
03/01/26
15
State
of
Illinois
General
Obligation
Unlimited
110
5.500
07/01/26
120
State
of
Illinois
General
Obligation
Unlimited
125
5.000
04/01/27
140
State
of
Illinois
General
Obligation
Unlimited
3,735
5.500
07/01/27
4,084
State
of
Illinois
General
Obligation
Unlimited
750
5.000
02/01/28
911
State
of
Illinois
General
Obligation
Unlimited
1,080
5.000
05/01/28
1,208
State
of
Illinois
General
Obligation
Unlimited
3,100
5.000
10/01/28
3,929
State
of
Illinois
General
Obligation
Unlimited
5,700
5.000
11/01/28
7,051
State
of
Illinois
General
Obligation
Unlimited
3,750
5.000
10/01/29
4,722
State
of
Illinois
General
Obligation
Unlimited
2,435
5.000
11/01/29
2,993
State
of
Illinois
General
Obligation
Unlimited
(µ)
4,500
4.000
02/01/30
5,177
State
of
Illinois
General
Obligation
Unlimited
2,175
5.000
05/01/30
2,426
State
of
Illinois
General
Obligation
Unlimited
250
5.250
07/01/30
271
State
of
Illinois
General
Obligation
Unlimited
50
5.000
03/01/31
51
State
of
Illinois
General
Obligation
Unlimited
2,000
5.000
04/01/31
2,231
State
of
Illinois
General
Obligation
Unlimited
120
4.250
01/01/36
134
State
of
Illinois
General
Obligation
Unlimited
1,200
5.000
05/01/38
1,462
State
of
Illinois
General
Obligation
Unlimited
1,000
4.000
10/01/39
1,189
State
of
Illinois
General
Obligation
Unlimited
5,000
4.000
10/01/40
5,920
State
of
Illinois
General
Obligation
Unlimited
945
5.000
05/01/42
1,141
State
of
Illinois
General
Obligation
Unlimited
720
5.000
05/01/43
867
State
of
Illinois
Revenue
Bonds
5,090
4.500
06/15/36
5,111
Town
of
Cicero
General
Obligation
Unlimited
(µ)
825
5.000
01/01/22
841
Town
of
Cicero
General
Obligation
Unlimited
(µ)
915
5.000
01/01/24
1,010
Town
of
Cicero
General
Obligation
Unlimited
(µ)
500
5.000
01/01/25
572
Town
of
Cicero
General
Obligation
Unlimited
(µ)
1,010
5.000
01/01/26
1,193
University
of
Illinois
Revenue
Bonds
(µ)
3,295
3.000
04/01/33
3,728
Upper
Illinois
River
Valley
Redevelopment
Authority
Revenue
Bonds
1,605
5.250
12/01/35
1,902
Upper
Illinois
River
Valley
Redevelopment
Authority
Revenue
Bonds
3,075
5.250
12/01/36
3,639
Upper
Illinois
River
Valley
Redevelopment
Authority
Revenue
Bonds
3,240
5.250
12/01/37
3,825
Upper
Illinois
River
Valley
Redevelopment
Authority
Revenue
Bonds
2,985
5.250
12/01/38
3,518
Village
of
Bellwood
General
Obligation
Unlimited
400
5.875
12/01/27
431
Village
of
Bellwood
General
Obligation
Unlimited
(µ)
2,075
5.000
12/01/32
2,386
Village
of
Mundelein
General
Obligation
Unlimited
(µ)
570
4.000
12/15/29
686
Village
of
Mundelein
General
Obligation
Unlimited
(µ)
400
4.000
12/15/30
479
Village
of
Mundelein
General
Obligation
Unlimited
(µ)
500
4.000
12/15/31
597
Village
of
Mundelein
General
Obligation
Unlimited
(µ)
655
4.000
12/15/33
777
Village
of
Mundelein
General
Obligation
Unlimited
(µ)
845
4.000
12/15/39
991
Village
of
Romeoville
General
Obligation
Unlimited
600
5.000
12/30/27
759
Village
of
Romeoville
General
Obligation
Unlimited
600
5.000
12/30/28
778
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
303
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Village
of
Rosemont
General
Obligation
Unlimited
(µ)
1,430
5.000
12/01/26
1,734
Village
of
Rosemont
General
Obligation
Unlimited
(µ)
1,500
5.000
12/01/27
1,865
Volo
Village
Special
Service
Area
No.
3
&
6
Special
Tax
(µ)
1,094
5.000
03/01/34
1,248
Western
Illinois
Economic
Development
Authority
Revenue
Bonds
(µ)
1,140
5.000
01/01/27
1,320
Western
Illinois
Economic
Development
Authority
Revenue
Bonds
(µ)
725
5.000
01/01/28
838
Western
Illinois
University
Revenue
Bonds
(µ)
560
5.000
04/01/24
625
Will
County
School
District
No.
114
Manhattan
General
Obligation
Unlimited
(µ)
1,630
3.500
01/01/25
1,741
Will
County
School
District
No.
210
Lincoln-Way
General
Ogligation
Unlimited
(µ)
650
4.000
01/01/34
752
Williamson
Jackson,
Perry,
Randolph
Counties
Community
College
District
No.
530
General
Obligation
Unlimited
(µ)
985
5.000
12/01/24
1,123
Williamson
Jackson,
Perry,
Randolph
Counties
Community
College
District
No.
530
General
Obligation
Unlimited
(µ)
1,450
5.000
12/01/25
1,705
547,774
Indiana
-
0.7%
City
of
Rockport
Pollution
Control
Revenue
Bonds
1,500
3.050
06/01/25
1,650
Evansville
Industry
Redevelopment
Authority
Revenue
Bonds
(µ)
1,255
4.000
02/01/33
1,436
Indiana
Finance
Authority
Revenue
Bonds
(~)(ae)(Ê)
5,500
0.120
09/01/21
5,500
Indiana
Finance
Authority
Revenue
Bonds
160
5.000
10/01/21
161
Indiana
Finance
Authority
Revenue
Bonds
2,250
0.650
08/01/25
2,249
Indiana
Finance
Authority
Revenue
Bonds
2,500
1.400
08/01/29
2,512
Indiana
Finance
Authority
Revenue
Bonds
25
4.000
07/01/30
28
Indiana
Finance
Authority
Revenue
Bonds
1,000
3.000
11/01/30
1,103
Indiana
Finance
Authority
Revenue
Bonds
325
5.000
02/01/31
418
Indiana
Finance
Authority
Revenue
Bonds
500
5.000
02/01/32
641
Indiana
Finance
Authority
Revenue
Bonds
1,550
4.000
10/01/35
1,946
Indiana
Finance
Authority
Revenue
Bonds
1,100
4.000
10/01/36
1,378
Indiana
Finance
Authority
Revenue
Bonds
(SIFMA
Municipal
Swap
Index
+
0.550%)
(ae)(Ê)
1,110
0.620
11/01/39
1,114
Indiana
Finance
Authority
Revenue
Bonds
40
5.000
07/01/40
46
Indiana
Finance
Authority
Revenue
Bonds
(~)(ae)(Ê)
400
2.100
11/01/49
423
Metropolitan
School
District
of
Township
School
Building
Corp.
Revenue
Bonds
1,020
4.000
07/10/33
1,233
Metropolitan
School
District
of
Township
School
Building
Corp.
Revenue
Bonds
1,125
4.000
07/10/34
1,356
Metropolitan
School
District
of
Township
School
Building
Corp.
Revenue
Bonds
1,000
5.000
07/15/35
1,282
Metropolitan
School
District
of
Township
School
Building
Corp.
Revenue
Bonds
1,100
5.000
07/15/36
1,407
Muncie
Sanitary
District
Revenue
Bonds
(µ)
525
5.000
07/01/29
678
Muncie
Sanitary
District
Revenue
Bonds
(µ)
600
5.000
01/01/30
782
Town
of
Upland
Revenue
Bonds
175
4.000
09/01/31
214
27,557
Iowa
-
0.8%
City
of
Altoona
Certificate
of
Participation
(µ)
1,205
5.000
06/01/37
1,497
City
of
Altoona
Certificate
of
Participation
(µ)
245
5.000
06/01/38
304
City
of
Altoona
Certificate
of
Participation
(µ)
800
5.000
06/01/39
990
City
of
Ames
Revenue
Bonds
2,000
5.000
06/15/31
2,362
City
of
Coralville
Revenue
Bonds
215
4.000
05/01/23
216
City
of
Coralville
Revenue
Bonds
555
4.000
05/01/25
557
City
of
Coralville
Revenue
Bonds
600
4.000
05/01/27
602
City
of
Coralville
Revenue
Bonds
465
4.000
05/01/28
466
City
of
Coralville
Revenue
Bonds
975
4.000
05/01/29
976
City
of
Coralville
Revenue
Bonds
875
4.000
05/01/30
876
City
of
Orange
Sewer
Revenue
Bonds
(µ)
440
4.000
06/01/34
480
Dubuque
Community
School
District
Revenue
Bonds
(µ)
600
3.000
07/01/36
661
Dubuque
Community
School
District
Revenue
Bonds
(µ)
675
3.000
07/01/37
742
Dubuque
Community
School
District
Revenue
Bonds
(µ)
500
3.000
07/01/38
547
Iowa
Finance
Authority
Revenue
Bonds
4,000
5.000
07/01/28
4,362
Iowa
Finance
Authority
Revenue
Bonds
4,500
5.000
08/01/34
6,041
Iowa
Finance
Authority
Revenue
Bonds
4,305
4.000
07/01/47
4,898
Iowa
Finance
Authority
Revenue
Bonds
755
4.000
07/01/48
828
Iowa
Higher
Education
Loan
Authority
Revenue
Bonds
375
4.000
10/01/30
453
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
304
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Iowa
Higher
Education
Loan
Authority
Revenue
Bonds
395
4.000
10/01/31
480
Iowa
Higher
Education
Loan
Authority
Revenue
Bonds
140
4.000
10/01/32
169
Iowa
Higher
Education
Loan
Authority
Revenue
Bonds
325
4.000
10/01/35
384
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
600
4.000
06/01/49
708
Western
Dubuque
County
Community
School
District
General
Obligation
Unlimited
625
2.000
06/01/23
645
Xenia
Rural
Water
District
Revenue
Bonds
3,000
5.000
12/01/28
3,605
33,849
Kansas
-
0.4%
City
of
Manhattan
Revenue
Bonds
205
4.000
06/01/25
226
City
of
Manhattan
Revenue
Bonds
330
4.000
06/01/27
376
City
of
Manhattan
Revenue
Bonds
625
4.000
06/01/36
723
Crawford
County
Unified
School
District
General
Obligation
Unlimited
(µ)
650
5.000
09/01/35
807
Kansas
Municipal
Energy
Agency
Revenue
Bonds
(µ)
1,110
5.000
04/01/31
1,334
Kansas
Municipal
Energy
Agency
Revenue
Bonds
(µ)
1,000
5.000
04/01/32
1,201
Kansas
Municipal
Energy
Agency
Revenue
Bonds
(µ)
1,000
5.000
04/01/38
1,192
University
of
Kansas
Hospital
Authority
Revenue
Bonds
2,775
4.000
03/01/36
3,370
University
of
Kansas
Hospital
Authority
Revenue
Bonds
2,500
4.000
03/01/37
3,023
Wyandotte
County
City
Unified
Government
Revenue
Bonds
1,755
4.500
06/01/40
1,853
14,105
Kentucky
-
0.9%
Kentucky
Economic
Development
Finance
Authority
Revenue
Bonds
2,750
5.000
06/01/23
2,951
Kentucky
Economic
Development
Finance
Authority
Revenue
Bonds
1,000
5.000
07/01/28
1,136
Kentucky
Economic
Development
Finance
Authority
Revenue
Bonds
1,935
4.000
07/01/31
2,087
Kentucky
Economic
Development
Finance
Authority
Revenue
Bonds
145
5.000
08/01/35
185
Kentucky
Economic
Development
Finance
Authority
Revenue
Bonds
145
5.000
08/01/36
185
Kentucky
Property
&
Building
Commission
Revenue
Bonds
1,900
5.000
11/01/25
2,260
Kentucky
Property
&
Building
Commission
Revenue
Bonds
(µ)
2,750
5.000
05/01/31
3,466
Kentucky
Property
&
Building
Commission
Revenue
Bonds
(µ)
2,000
5.000
05/01/32
2,514
Kentucky
Public
Energy
Authority
Revenue
Bonds
(~)(ae)(Ê)
6,215
4.000
12/01/49
6,992
Kentucky
State
University
Certificate
of
Participation
(µ)
200
5.000
11/01/28
252
Kentucky
State
University
Certificate
of
Participation
(µ)
180
5.000
11/01/30
236
Kentucky
State
University
Certificate
of
Participation
(µ)
130
4.000
11/01/33
158
Kentucky
State
University
Certificate
of
Participation
(µ)
135
4.000
11/01/35
163
Kentucky
State
University
Certificate
of
Participation
(µ)
155
4.000
11/01/36
187
Kentucky
State
University
Certificate
of
Participation
(µ)
445
4.000
11/01/41
529
Kentucky
State
University
Certificate
of
Participation
(µ)
500
4.000
11/01/46
587
Louisville/Jefferson
County
Metropolitan
Government
Revenue
Bonds
780
5.000
10/01/32
938
Louisville/Jefferson
County
Metropolitan
Government
Revenue
Bonds
2,250
2.000
10/01/33
2,299
Louisville/Jefferson
County
Metropolitan
Government
Revenue
Bonds
2,125
5.000
10/01/33
2,550
Louisville/Jefferson
County
Metropolitan
Government
Revenue
Bonds
3,000
4.000
10/01/34
3,398
Louisville/Jefferson
County
Metropolitan
Government
Revenue
Bonds
2,350
4.000
10/01/40
2,747
Louisville/Jefferson
County
Metropolitan
Sewer
District
Revenue
Bond
505
5.000
05/15/30
512
36,332
Louisiana
-
1.8%
Calcasieu
Parish
Memorial
Hospital
Service
District
Revenue
Bonds
1,455
5.000
12/01/26
1,732
Cameron
Parish
School
District
No.
15
General
Obligation
Unlimited
265
5.000
10/01/27
322
Cameron
Parish
School
District
No.
15
General
Obligation
Unlimited
275
5.000
10/01/28
340
Cameron
Parish
School
District
No.
15
General
Obligation
Unlimited
305
5.000
10/01/30
388
Cameron
Parish
School
District
No.
15
General
Obligation
Unlimited
300
4.000
10/01/31
348
Cameron
Parish
School
District
No.
15
General
Obligation
Unlimited
485
4.000
10/01/32
560
Cameron
Parish
School
District
No.
15
General
Obligation
Unlimited
520
4.000
10/01/33
597
City
of
New
Orleans
Sewerage
Service
Revenue
Bonds
(µ)
35
4.000
06/01/35
42
City
of
New
Orleans
Sewerage
Service
Revenue
Bonds
1,000
5.000
06/01/35
1,177
City
of
New
Orleans
Sewerage
Service
Revenue
Bonds
(µ)
40
4.000
06/01/36
48
City
of
New
Orleans
Sewerage
Service
Revenue
Bonds
(µ)
40
4.000
06/01/37
48
City
of
New
Orleans
Sewerage
Service
Revenue
Bonds
(µ)
40
4.000
06/01/38
48
City
of
New
Orleans
Sewerage
Service
Revenue
Bonds
(µ)
45
4.000
06/01/39
53
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
305
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
City
of
New
Orleans
Sewerage
Service
Revenue
Bonds
(µ)
40
4.000
06/01/40
47
City
of
New
Orleans
Sewerage
Service
Revenue
Bonds
175
5.000
06/01/45
222
City
of
Shreveport
General
Obligation
Unlimited
(µ)
2,000
5.000
08/01/28
2,514
City
of
Shreveport
Water
&
Sewer
Revenue
Bonds
(µ)
1,020
5.000
12/01/31
1,317
City
of
Shreveport
Water
&
Sewer
Revenue
Bonds
(µ)
3,955
5.000
12/01/32
4,728
City
of
Shreveport
Water
&
Sewer
Revenue
Bonds
(µ)
1,000
5.000
12/01/33
1,187
City
of
Youngsville
Revenue
Bonds
(µ)
250
4.000
05/01/37
302
City
of
Youngsville
Revenue
Bonds
(µ)
250
4.000
05/01/39
301
City
of
Youngsville
Revenue
Bonds
(µ)
250
4.000
05/01/41
299
East
Baton
Rouge
Parish
Industrial
Development
Board,
Inc.
Revenue
Bonds
(~)(Ê)
3,265
0.120
08/01/35
3,265
East
Baton
Rouge
Parish
Industrial
Development
Board,
Inc.
Revenue
Bonds
(~)(Ê)
1,180
0.120
12/01/40
1,180
Jefferson
Sales
Tax
District
Revenue
Bonds
(µ)
3,685
5.000
12/01/29
4,890
Jefferson
Sales
Tax
District
Revenue
Bonds
(µ)
1,825
5.000
12/01/34
2,392
Lafayette
Consolidated
Government
Revenue
Bonds
(µ)
700
5.000
11/01/29
830
Louisiana
Housing
Corp.
Revenue
Bonds
1,370
4.500
12/01/47
1,527
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Authority
Revenue
Bonds
(µ)
2,500
5.000
10/01/28
3,209
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Authority
Revenue
Bonds
3,250
3.500
11/01/32
3,637
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Authority
Revenue
Bonds
(µ)
470
5.000
10/01/33
590
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Authority
Revenue
Bonds
6,000
2.500
04/01/36
6,195
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Authority
Revenue
Bonds
(µ)
1,045
4.000
10/01/37
1,270
Louisiana
Public
Facilities
Authority
Revenue
Bonds
(~)(Ê)
1,550
0.120
04/02/23
1,550
Louisiana
Public
Facilities
Authority
Revenue
Bonds
(µ)
1,615
5.000
09/01/29
1,821
Louisiana
Public
Facilities
Authority
Revenue
Bonds
75
5.000
10/01/32
101
Louisiana
Public
Facilities
Authority
Revenue
Bonds
440
5.000
10/01/34
587
Louisiana
Public
Facilities
Authority
Revenue
Bonds
850
5.000
10/01/35
1,130
Louisiana
Public
Facilities
Authority
Revenue
Bonds
940
4.000
10/01/36
1,149
Louisiana
Public
Facilities
Authority
Revenue
Bonds
1,110
4.000
10/01/37
1,353
Louisiana
Public
Facilities
Authority
Revenue
Bonds
300
4.000
10/01/38
365
Louisiana
Public
Facilities
Authority
Revenue
Bonds
705
4.000
10/01/39
855
Louisiana
Public
Facilities
Authority
Revenue
Bonds
1,100
4.000
10/01/40
1,331
Louisiana
Public
Facilities
Authority
Revenue
Bonds
1,175
4.000
10/01/41
1,417
Louisiana
Public
Facilities
Authority
Revenue
Bonds
100
4.000
07/01/44
116
Louisiana
Public
Facilities
Authority
Revenue
Bonds
100
4.000
07/01/49
116
Parish
of
St.
John
the
Baptist
Revenue
Bonds
(~)(ae)(Ê)
1,740
2.000
06/01/37
1,782
Parish
of
St.
John
the
Baptist
Revenue
Bonds
(~)(ae)(Ê)
2,440
2.100
06/01/37
2,532
Parish
of
St.
John
the
Baptist
Revenue
Bonds
(~)(ae)(Ê)
3,265
2.200
06/01/37
3,431
Red
River
Parish
School
Board
General
Obligation
Unlimited
630
5.000
03/01/28
782
State
of
Louisiana
General
Obligation
Unlimited
(ae)
2,760
5.000
08/01/22
2,895
State
of
Louisiana
Revenue
Bonds
1,300
5.000
06/15/28
1,481
70,399
Maine
-
0.1%
Maine
Health
&
Higher
Educational
Facilities
Authority
Revenue
Bonds
(µ)
250
5.000
07/01/34
337
Maine
Health
&
Higher
Educational
Facilities
Authority
Revenue
Bonds
(µ)
250
4.000
07/01/35
310
Maine
Health
&
Higher
Educational
Facilities
Authority
Revenue
Bonds
1,000
4.000
07/01/45
1,182
Maine
Turnpike
Authority
Revenue
Bonds
3,225
5.000
07/01/42
3,354
5,183
Maryland
-
0.7%
Baltimore
Research
Park
Project
Revenue
Bonds
85
4.000
01/01/32
101
Baltimore
Research
Park
Project
Revenue
Bonds
70
4.000
01/01/33
82
Baltimore
Research
Park
Project
Revenue
Bonds
85
4.000
01/01/34
101
Baltimore
Research
Park
Project
Revenue
Bonds
150
4.000
01/01/35
176
Baltimore
Research
Park
Project
Revenue
Bonds
155
4.000
01/01/36
183
Baltimore
Research
Park
Project
Revenue
Bonds
190
4.000
01/01/37
224
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
306
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Baltimore
Research
Park
Project
Revenue
Bonds
220
4.000
01/01/38
259
Baltimore
Research
Park
Project
Revenue
Bonds
395
4.000
01/01/39
464
Baltimore
Research
Park
Project
Revenue
Bonds
350
4.000
01/01/40
411
County
of
Baltimore
General
Obligation
Unlimited
2,000
4.000
03/01/33
2,408
County
of
Frederick
Special
Tax
750
4.000
07/01/35
902
County
of
Frederick
Special
Tax
860
4.000
07/01/36
1,031
County
of
Frederick
Special
Tax
500
4.000
07/01/38
596
County
of
Frederick
Special
Tax
500
4.000
07/01/39
595
County
of
Frederick
Special
Tax
500
4.000
07/01/40
594
County
of
Frederick
Tax
Allocation
890
3.250
07/01/29
954
Maryland
Community
Development
Administration
Revenue
Bonds
3,820
4.500
09/01/48
4,307
Maryland
Economic
Development
Corp.
Revenue
Bonds
1,500
5.000
06/01/35
1,839
Maryland
Health
&
Higher
Educational
Facilities
Authority
Revenue
Bonds
(~)(Ê)
4,750
0.100
04/01/35
4,750
Maryland
Health
&
Higher
Educational
Facilities
Authority
Revenue
Bonds
875
5.500
01/01/46
1,057
Maryland
State
Transportation
Authority
Revenue
Bonds
3,200
3.000
07/01/33
3,681
Prince
George
County
General
Obligation
Limited
480
4.000
09/01/32
531
Prince
George
County
General
Obligation
Limited
185
4.000
09/01/33
205
State
of
Maryland
Department
of
Transportation
Revenue
Bonds
3,025
4.000
09/01/27
3,663
29,114
Massachusetts
-
1.1%
City
of
Boston
General
Obligation
Unlimited
2,015
5.000
04/01/25
2,366
City
of
Cambridge
General
Obligation
Limited
965
5.000
02/15/28
1,241
City
of
Cambridge
General
Obligation
Limited
1,000
5.000
02/15/29
1,318
City
of
Cambridge
General
Obligation
Limited
1,000
5.000
02/15/30
1,349
Commonwealth
of
Massachusetts
General
Obligation
Limited
(µ)
1,000
5.500
08/01/30
1,400
Commonwealth
of
Massachusetts
General
Obligation
Limited
4,000
4.000
05/01/39
4,716
Commonwealth
of
Massachusetts
General
Obligation
Limited
1,290
5.000
12/01/41
1,311
Commonwealth
of
Massachusetts
General
Obligation
Unlimited
(USD
3
Month
LIBOR
+
0.570%)(µ)(Ê)
3,425
1.030
05/01/37
3,410
Massachusetts
Bay
Transportation
Authority
Revenue
Bonds
4,450
5.000
06/01/35
5,657
Massachusetts
Bay
Transportation
Authority
Revenue
Bonds
5,000
5.000
06/01/36
6,341
Massachusetts
Clean
Water
Trust
(The)
Revenue
Bonds
(~)(Ê)
5,000
3.900
08/01/23
5,246
Massachusetts
Development
Finance
Agency
Revenue
Bonds
(Þ)
315
4.000
11/15/23
326
Massachusetts
Development
Finance
Agency
Revenue
Bonds
1,000
5.000
10/01/25
1,144
Massachusetts
Development
Finance
Agency
Revenue
Bonds
1,000
5.000
07/01/28
1,292
Massachusetts
Development
Finance
Agency
Revenue
Bonds
(Þ)
300
5.000
11/15/28
346
Massachusetts
Development
Finance
Agency
Revenue
Bonds
1,675
5.000
07/01/31
1,997
Massachusetts
Development
Finance
Agency
Revenue
Bonds
175
5.000
07/01/38
216
Massachusetts
Development
Finance
Agency
Revenue
Bonds
400
5.000
07/01/39
495
Massachusetts
Development
Finance
Agency
Revenue
Bonds
475
4.000
07/01/42
561
Massachusetts
Housing
Finance
Agency
Revenue
Bonds
1,460
4.000
12/01/48
1,596
42,328
Michigan
-
3.5%
Allendale
Public
School
District
General
Obligation
Unlimited
2,600
5.000
05/01/22
2,694
Allendale
Public
School
District
General
Obligation
Unlimited
2,725
5.000
05/01/23
2,952
Benzie
County
Central
Schools
Revenue
Bonds
(µ)
225
4.000
05/01/25
255
Brighton
Area
School
District
General
Obligation
Unlimited
1,525
5.000
05/01/26
1,654
Calhoun
County
Hospital
Finance
Authority
Revenue
Bonds
750
5.000
02/15/28
899
City
of
Detroit
General
Obligation
Unlimited
880
5.000
04/01/22
904
City
of
Detroit
General
Obligation
Unlimited
880
5.000
04/01/23
939
City
of
Detroit
General
Obligation
Unlimited
235
5.000
04/01/24
260
City
of
Detroit
General
Obligation
Unlimited
35
5.000
04/01/25
40
City
of
Detroit
General
Obligation
Unlimited
40
5.000
04/01/26
47
City
of
Detroit
General
Obligation
Unlimited
80
5.000
04/01/27
96
City
of
Detroit
General
Obligation
Unlimited
85
5.000
04/01/28
104
City
of
Detroit
General
Obligation
Unlimited
60
5.000
04/01/29
74
City
of
Detroit
General
Obligation
Unlimited
210
5.000
04/01/30
264
City
of
Detroit
General
Obligation
Unlimited
85
5.000
04/01/32
108
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
307
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
City
of
Detroit
General
Obligation
Unlimited
470
5.500
04/01/33
605
City
of
Detroit
General
Obligation
Unlimited
115
5.000
04/01/34
145
City
of
Detroit
General
Obligation
Unlimited
330
5.500
04/01/34
423
City
of
Detroit
General
Obligation
Unlimited
350
5.500
04/01/35
448
City
of
Detroit
General
Obligation
Unlimited
200
5.000
04/01/36
251
City
of
Detroit
General
Obligation
Unlimited
300
5.000
04/01/37
375
City
of
Detroit
General
Obligation
Unlimited
150
5.000
04/01/38
187
City
of
Detroit
Sewage
Disposal
System
Revenue
Bonds
(USD
3
Month
LIBOR
+
0.600%)(µ)(Ê)
2,325
0.735
07/01/32
2,331
City
of
Detroit
Sewage
Disposal
System
Revenue
Bonds
(ae)
3,500
5.000
07/01/32
3,657
City
of
Greenville
Revenue
Bonds
(µ)
265
4.000
06/01/27
312
City
of
Greenville
Revenue
Bonds
(µ)
765
4.000
06/01/37
930
City
of
Saginaw
Water
Supply
System
Revenue
Bonds
(µ)
355
4.000
07/01/34
443
City
of
Saginaw
Water
Supply
System
Revenue
Bonds
(µ)
185
4.000
07/01/35
230
City
of
Saginaw
Water
Supply
System
Revenue
Bonds
(µ)
190
4.000
07/01/36
236
City
of
Taylor
General
Obligation
Limited
(µ)
485
4.000
03/01/30
601
City
of
Taylor
General
Obligation
Limited
(µ)
375
4.000
03/01/31
471
City
of
Taylor
General
Obligation
Limited
(µ)
570
4.000
03/01/34
701
County
of
Jackson
Revenue
Bonds
(µ)
400
4.000
05/01/34
481
Detroit
Downtown
Development
Authority
Tax
Allocation
Revenue
Bonds
(µ)
700
5.000
07/01/30
787
Detroit
Downtown
Development
Authority
Tax
Allocation
Revenue
Bonds
(µ)
1,785
5.000
07/01/31
2,006
Downriver
Utility
Wastewater
Authority
Revenue
Bonds
(µ)
895
5.000
04/01/28
1,114
Eastern
Michigan
University
Revenue
Bonds
(µ)
740
5.000
03/01/30
902
Eastern
Michigan
University
Revenue
Bonds
(µ)
2,000
5.000
03/01/31
2,429
Eastern
Michigan
University
Revenue
Bonds
(µ)
1,000
5.000
03/01/33
1,209
Grand
Rapids
Public
Schools
General
Obligation
Unlimited
(µ)
2,430
5.000
05/01/34
2,897
Grand
Rapids
Public
Schools
General
Obligation
Unlimited
(µ)
1,000
5.000
11/01/34
1,291
Grand
Rapids
Public
Schools
General
Obligation
Unlimited
(µ)
1,000
5.000
05/01/35
1,190
Grand
Traverse
County
Hospital
Finance
Authority
Revenue
Bonds
150
5.000
07/01/25
177
Grand
Traverse
County
Hospital
Finance
Authority
Revenue
Bonds
365
5.000
07/01/26
444
Grand
Traverse
County
Hospital
Finance
Authority
Revenue
Bonds
130
5.000
07/01/27
163
Grand
Traverse
County
Hospital
Finance
Authority
Revenue
Bonds
100
5.000
07/01/28
128
Grand
Traverse
County
Hospital
Finance
Authority
Revenue
Bonds
325
5.000
07/01/29
416
Great
Lakes
Water
Authority
Sewage
Disposal
System
Revenue
Bonds
1,000
5.000
07/01/26
1,218
Great
Lakes
Water
Authority
Sewage
Disposal
System
Revenue
Bonds
6,975
5.000
07/01/29
9,162
Great
Lakes
Water
Authority
Water
Supply
System
Revenue
Bonds
110
5.000
07/01/27
135
Great
Lakes
Water
Authority
Water
Supply
System
Revenue
Bonds
(µ)
1,000
4.000
07/01/33
1,145
Hudsonville
Public
Schools
General
Obligation
Unlimited
1,185
4.000
05/01/36
1,449
Hudsonville
Public
Schools
General
Obligation
Unlimited
1,565
4.000
05/01/38
1,904
Hudsonville
Public
Schools
General
Obligation
Unlimited
1,060
4.000
05/01/39
1,287
Imlay
City
Community
Schools
General
Obligation
Unlimited
500
4.000
05/01/37
610
Kalamazoo
Hospital
Finance
Authority
Revenue
Bonds
1,500
4.000
05/15/31
1,694
Karegnondi
Water
Authority
Revenue
Bonds
855
5.000
11/01/34
1,064
Karegnondi
Water
Authority
Revenue
Bonds
1,000
5.000
11/01/35
1,243
Karegnondi
Water
Authority
Revenue
Bonds
1,400
5.000
11/01/37
1,735
Leland
Public
Schools
General
Obligation
Unlimited
(µ)
1,180
4.000
05/01/43
1,366
Michigan
Finance
Authority
Revenue
Bonds
730
5.000
12/01/21
739
Michigan
Finance
Authority
Revenue
Bonds
630
5.000
02/01/22
641
Michigan
Finance
Authority
Revenue
Bonds
770
5.000
12/01/22
808
Michigan
Finance
Authority
Revenue
Bonds
655
5.000
12/01/23
710
Michigan
Finance
Authority
Revenue
Bonds
2,000
5.000
04/01/25
2,333
Michigan
Finance
Authority
Revenue
Bonds
2,500
5.250
02/01/27
2,811
Michigan
Finance
Authority
Revenue
Bonds
1,000
5.000
11/01/27
1,060
Michigan
Finance
Authority
Revenue
Bonds
4,655
5.000
07/01/28
5,110
Michigan
Finance
Authority
Revenue
Bonds
1,660
5.000
12/01/28
2,102
Michigan
Finance
Authority
Revenue
Bonds
1,410
5.000
07/01/29
1,543
Michigan
Finance
Authority
Revenue
Bonds
3,000
5.000
11/15/29
3,494
Michigan
Finance
Authority
Revenue
Bonds
565
1.250
06/01/30
570
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
308
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Michigan
Finance
Authority
Revenue
Bonds
1,000
5.000
07/01/30
1,133
Michigan
Finance
Authority
Revenue
Bonds
1,500
5.000
11/15/32
1,825
Michigan
Finance
Authority
Revenue
Bonds
1,000
4.000
06/01/34
1,243
Michigan
Finance
Authority
Revenue
Bonds
1,500
5.000
02/15/35
1,942
Michigan
Finance
Authority
Revenue
Bonds
500
5.000
07/01/35
583
Michigan
Finance
Authority
Revenue
Bonds
1,500
4.000
11/15/36
1,709
Michigan
Finance
Authority
Revenue
Bonds
585
5.000
12/01/36
622
Michigan
Finance
Authority
Revenue
Bonds
(ae)
830
5.000
12/01/39
843
Michigan
Finance
Authority
Revenue
Bonds
1,500
5.000
06/01/49
1,847
Michigan
Mathematics
&
Science
Initiative
Revenue
Bonds
500
4.000
01/01/31
573
Michigan
State
Housing
Development
Authority
Revenue
Bonds
3,900
4.250
06/01/49
4,328
Michigan
State
Housing
Development
Authority
Revenue
Bonds
5,945
4.250
12/01/49
6,644
Novi
Community
School
District
General
Obligation
Unlimited
1,250
5.000
05/01/33
1,662
Novi
Community
School
District
General
Obligation
Unlimited
1,365
5.000
05/01/37
1,794
Novi
Community
School
District
General
Obligation
Unlimited
1,425
5.000
05/01/39
1,867
Saginaw
City
School
District
General
Obligation
Unlimited
1,000
4.000
05/01/28
1,213
Saginaw
City
School
District
General
Obligation
Unlimited
1,000
4.000
05/01/31
1,273
University
of
Michigan
Revenue
Bonds
(SIFMA
Municipal
Swap
Index
+
0.270%)(ae)
(Ê)
2,050
0.410
04/01/33
2,051
Van
Buren
Public
Schools
General
Obligation
Unlimited
(µ)
1,085
4.000
11/01/36
1,301
Van
Buren
Public
Schools
General
Obligation
Unlimited
(µ)
1,925
4.000
11/01/37
2,303
Van
Buren
Public
Schools
General
Obligation
Unlimited
(µ)
2,000
4.000
11/01/38
2,390
Wayne
County
Airport
Authority
Revenue
Bonds
635
5.000
12/01/29
733
Wayne
County
Airport
Authority
Revenue
Bonds
2,000
5.000
12/01/38
2,694
Wayne
County
Airport
Authority
Revenue
Bonds
5,770
5.000
12/01/39
6,983
Wayne
County
Airport
Authority
Revenue
Bonds
2,835
5.000
12/01/40
3,796
Wayne
County
Airport
Authority
Revenue
Bonds
1,000
5.000
12/01/41
1,336
139,891
Minnesota
-
0.3%
City
of
Crookston
Revenue
Bonds
2,410
5.000
05/01/34
2,541
City
of
Minneapolis/St.
Paul
Housing
&
Redevelopment
Authority
Revenue
Bonds
2,465
5.000
11/15/28
3,148
City
of
St.
Cloud
Revenue
Bonds
650
5.000
05/01/48
809
City
of
St.
Cloud
Revenue
Bonds
250
4.000
05/01/49
283
City
of
Woodbury
Revenue
Bonds
60
3.000
12/01/30
62
Duluth
Independent
School
District
No.
709
Certificate
of
Participation
320
5.000
02/01/22
327
Duluth
Independent
School
District
No.
709
Certificate
of
Participation
395
5.000
02/01/26
467
Minnesota
Higher
Education
Facilities
Authority
Revenue
Bonds
25
4.000
12/01/26
29
Minnesota
Higher
Education
Facilities
Authority
Revenue
Bonds
30
4.000
12/01/27
35
Minnesota
Higher
Education
Facilities
Authority
Revenue
Bonds
35
4.000
12/01/28
42
Minnesota
Higher
Education
Facilities
Authority
Revenue
Bonds
1,015
5.000
10/01/29
1,257
Minnesota
Higher
Education
Facilities
Authority
Revenue
Bonds
20
4.000
12/01/29
24
Minnesota
Higher
Education
Facilities
Authority
Revenue
Bonds
40
4.000
12/01/30
48
Minnesota
Higher
Education
Facilities
Authority
Revenue
Bonds
585
5.000
10/01/31
720
Minnesota
Higher
Education
Facilities
Authority
Revenue
Bonds
30
4.000
12/01/31
36
Port
Authority
of
the
City
of
St.
Paul
Revenue
Bonds
400
4.000
10/01/28
468
Port
Authority
of
the
City
of
St.
Paul
Revenue
Bonds
250
3.000
10/01/34
267
Port
Authority
of
the
City
of
St.
Paul
Revenue
Bonds
500
4.000
10/01/41
561
11,124
Mississippi
-
1.0%
City
of
Jackson
Special
Assessment
705
5.000
03/01/27
876
City
of
Jackson
Special
Assessment
570
5.000
03/01/28
728
City
of
Jackson
Special
Assessment
615
5.000
03/01/29
802
City
of
Jackson
Special
Assessment
390
5.000
03/01/30
518
Mississippi
Business
Finance
Corp.
Revenue
Bonds
430
2.500
04/01/22
432
Mississippi
Business
Finance
Corp.
Revenue
Bonds
(~)(Ê)
1,100
0.110
12/01/30
1,100
Mississippi
Business
Finance
Corp.
Revenue
Bonds
(~)(Ê)
12,700
0.130
12/01/30
12,700
Mississippi
Business
Finance
Corp.
Revenue
Bonds
(~)(Ê)
10,290
0.130
11/01/35
10,290
Mississippi
Business
Finance
Corp.
Revenue
Bonds
(~)(ae)(Ê)
1,030
2.750
12/01/40
1,039
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
309
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Mississippi
Development
Bank
Revenue
Bonds
(µ)
1,000
5.000
04/01/28
1,113
Mississippi
Development
Bank
Revenue
Bonds
200
5.000
04/01/32
257
Mississippi
Development
Bank
Revenue
Bonds
(µ)
1,000
5.000
03/01/34
1,177
Mississippi
Development
Bank
Revenue
Bonds
(µ)
700
4.000
04/01/38
829
Mississippi
Development
Bank
Revenue
Bonds
4,175
5.000
03/01/43
5,211
Mississippi
Home
Corp.
Revenue
Bonds
785
4.000
12/01/44
867
Mississippi
Hospital
Equipment
&
Facilities
Authority
Revenue
Bonds
2,000
5.000
09/01/36
2,387
Warren
County
Revenue
Bonds
(~)(ae)(Ê)
500
1.375
05/01/34
519
40,845
Missouri
-
0.6%
Cape
Girardeau
County
Industrial
Development
Authority
Revenue
Bonds
1,000
5.000
03/01/30
1,197
Cape
Girardeau
County
Industrial
Development
Authority
Revenue
Bonds
150
4.000
03/01/41
175
City
of
Poplar
Bluff
Certificate
of
Participation
125
2.500
10/01/41
125
City
of
Poplar
Bluff
Certificate
of
Participation
150
2.625
10/01/46
150
City
of
Springfield
Board
of
Public
Utilities
Revenue
Bonds
2,275
3.250
08/01/27
2,502
County
of
Boone
Missouri
Revenue
Bonds
2,760
5.000
08/01/30
3,223
County
of
Boone
Missouri
Revenue
Bonds
1,700
4.000
08/01/33
1,871
Health
&
Educational
Facilities
Authority
of
the
State
of
Missouri
Revenue
Bonds
250
4.000
10/01/35
296
Health
&
Educational
Facilities
Authority
of
the
State
of
Missouri
Revenue
Bonds
50
4.000
08/01/36
61
Health
&
Educational
Facilities
Authority
of
the
State
of
Missouri
Revenue
Bonds
50
4.000
08/01/41
60
Kansas
City
Revenue
Bonds
1,185
5.000
09/01/26
1,189
Kansas
City
Revenue
Bonds
1,000
5.000
09/01/28
1,004
Kansas
City
Revenue
Bonds
1,000
5.000
09/01/29
1,004
Maryland
Heights
Industrial
Development
Authority
Revenue
Bonds
930
4.375
03/15/30
901
Metropolitan
St.
Louis
Sewer
District
Revenue
Bonds
200
5.000
05/01/30
270
Metropolitan
St.
Louis
Sewer
District
Revenue
Bonds
225
5.000
05/01/31
310
Metropolitan
St.
Louis
Sewer
District
Revenue
Bonds
235
5.000
05/01/32
322
Missouri
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
(~)(Ê)
1,800
1.200
02/15/33
1,800
Missouri
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
100
4.000
02/15/37
118
Missouri
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
125
4.000
02/15/38
147
Missouri
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
1,305
4.000
11/15/38
1,566
Missouri
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
115
4.000
02/15/39
135
Missouri
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
3,495
4.000
11/15/39
4,184
Missouri
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
350
4.000
02/15/44
407
Plaza
at
Noah's
Ark
Community
Improvement
District
Revenue
Bonds
25
3.000
05/01/22
25
Plaza
at
Noah's
Ark
Community
Improvement
District
Revenue
Bonds
50
3.000
05/01/24
51
Plaza
at
Noah's
Ark
Community
Improvement
District
Revenue
Bonds
25
3.000
05/01/26
26
St.
Louis
Municipal
Finance
Corp.
Revenue
Bonds
(µ)
1,000
5.000
10/01/40
1,282
St.
Louis
Municipal
Finance
Corp.
Revenue
Bonds
(µ)
700
5.000
10/01/45
885
St.
Louis
Municipal
Library
District
Certificate
of
Participation
(µ)
300
4.000
03/15/33
357
St.
Louis
Municipal
Library
District
Certificate
of
Participation
(µ)
255
4.000
03/15/35
302
25,945
Montana
-
0.2%
City
of
Bozeman
Tax
Allocation
(µ)
500
4.000
07/01/35
601
City
of
Bozeman
Tax
Allocation
(µ)
425
4.000
07/01/40
505
Montana
Finance
Authority
Health
Facilities
Revenue
Bonds
640
5.000
07/01/28
790
Montana
Finance
Authority
Health
Facilities
Revenue
Bonds
410
5.000
06/01/33
509
Montana
Finance
Authority
Health
Facilities
Revenue
Bonds
1,000
5.000
06/01/34
1,239
Yellowstone
County
Lockwood
School
District
No.
26
General
Obligation
Unlimited
1,335
5.000
07/01/26
1,619
Yellowstone
County
Lockwood
School
District
No.
26
General
Obligation
Unlimited
1,460
5.000
07/01/27
1,822
7,085
Nebraska
-
0.2%
Central
Plains
Energy
Project
Revenue
Bonds
2,500
5.000
09/01/26
3,052
Central
Plains
Energy
Project
Revenue
Bonds
2,000
5.000
09/01/30
2,611
Central
Plains
Energy
Project
Revenue
Bonds
1,565
5.000
09/01/32
1,645
Central
Plains
Energy
Project
Revenue
Bonds
(~)(ae)(Ê)
1,900
4.000
12/01/49
2,154
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
310
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Nebraska
Public
Power
District
Revenue
Bonds
380
5.000
01/01/29
387
9,849
Nevada
-
1.0%
City
of
North
Las
Vegas
General
Obligation
Limited
(µ)
605
5.000
06/01/27
753
City
of
North
Las
Vegas
General
Obligation
Limited
(µ)
630
5.000
06/01/28
802
City
of
North
Las
Vegas
General
Obligation
Limited
(µ)
665
4.000
06/01/29
816
City
of
North
Las
Vegas
General
Obligation
Limited
(µ)
690
4.000
06/01/30
859
City
of
North
Las
Vegas
General
Obligation
Limited
(µ)
2,430
5.000
06/01/30
3,164
City
of
Reno
General
Obligation
Limited
1,000
5.000
06/01/22
1,040
City
of
Sparks
Tourism
Improvement
District
1
Revenue
Bonds
(Þ)
1,390
2.500
06/15/24
1,416
City
of
Sparks
Tourism
Improvement
District
1
Revenue
Bonds
(Þ)
895
2.750
06/15/28
936
Clark
County
General
Obligation
Unlimited
2,555
5.000
06/01/33
3,211
Clark
County
School
District
General
Obligation
Limited
(µ)
120
5.000
06/15/27
150
Clark
County
School
District
General
Obligation
Limited
(µ)
120
5.000
06/15/28
154
Clark
County
School
District
General
Obligation
Limited
(µ)
120
5.000
06/15/29
158
Clark
County
School
District
General
Obligation
Limited
(µ)
1,360
5.000
06/15/30
1,782
Clark
County
School
District
General
Obligation
Limited
(µ)
5,360
5.000
06/15/31
6,993
Clark
County
School
District
General
Obligation
Limited
(µ)
105
5.000
06/15/32
139
Clark
County
School
District
General
Obligation
Limited
(µ)
100
5.000
06/15/33
132
Clark
County
School
District
General
Obligation
Limited
(µ)
115
5.000
06/15/34
151
Clark
County
School
District
General
Obligation
Limited
(µ)
2,500
4.000
06/15/35
2,991
Clark
County
School
District
General
Obligation
Limited
(µ)
120
5.000
06/15/35
157
Las
Vegas
Convention
&
Visitors
Authority
Revenue
Bonds
275
5.000
07/01/26
330
Las
Vegas
Convention
&
Visitors
Authority
Revenue
Bonds
145
5.000
07/01/27
179
Las
Vegas
Convention
&
Visitors
Authority
Revenue
Bonds
1,300
5.000
07/01/31
1,585
Las
Vegas
Convention
&
Visitors
Authority
Revenue
Bonds
95
5.000
07/01/35
118
Las
Vegas
Convention
&
Visitors
Authority
Revenue
Bonds
1,450
5.000
07/01/37
1,795
Las
Vegas
Convention
&
Visitors
Authority
Revenue
Bonds
6,115
5.000
07/01/43
7,474
Las
Vegas
Valley
Water
District
General
Obligation
Limited
1,040
4.000
03/01/33
1,283
Nevada
Department
of
Business
&
Industry
Revenue
Bonds
(Þ)
85
3.125
07/15/22
86
Nevada
Department
of
Business
&
Industry
Revenue
Bonds
(Þ)
340
5.000
07/15/27
386
Nevada
Department
of
Business
&
Industry
Revenue
Bonds
(Þ)
640
4.500
12/15/29
715
Tahoe-Douglas
Visitors
Authority
Revenue
Bonds
200
5.000
07/01/40
237
Truckee
Meadows
Water
Authority
Revenue
Bonds
1,600
5.000
07/01/37
1,917
41,909
New
Hampshire
-
0.5%
New
Hampshire
Business
Finance
Authority
Revenue
Bonds
(~)(ae)(Ê)
840
2.800
10/01/33
878
New
Hampshire
Business
Finance
Authority
Revenue
Bonds
1,050
4.000
01/01/41
1,172
New
Hampshire
Health
and
Education
Facilities
Authority
Act
Revenue
Bonds
2,225
5.000
06/01/28
2,871
New
Hampshire
Health
and
Education
Facilities
Authority
Act
Revenue
Bonds
1,730
5.000
08/01/32
2,197
New
Hampshire
Health
and
Education
Facilities
Authority
Act
Revenue
Bonds
765
5.000
08/01/33
969
New
Hampshire
Health
and
Education
Facilities
Authority
Act
Revenue
Bonds
1,500
5.000
01/01/34
1,674
New
Hampshire
Health
and
Education
Facilities
Authority
Act
Revenue
Bonds
810
5.000
08/01/34
1,024
New
Hampshire
Health
and
Education
Facilities
Authority
Act
Revenue
Bonds
845
5.000
08/01/35
1,066
New
Hampshire
Health
and
Education
Facilities
Authority
Act
Revenue
Bonds
1,825
5.000
01/01/36
2,037
New
Hampshire
Health
and
Education
Facilities
Authority
Act
Revenue
Bonds
895
5.000
08/01/36
1,129
New
Hampshire
Health
and
Education
Facilities
Authority
Act
Revenue
Bonds
1,615
5.000
01/01/37
1,802
New
Hampshire
Health
and
Education
Facilities
Authority
Act
Revenue
Bonds
935
5.000
08/01/37
1,175
New
Hampshire
Health
and
Education
Facilities
Authority
Act
Revenue
Bonds
985
5.000
08/01/38
1,235
New
Hampshire
Health
and
Education
Facilities
Authority
Act
Revenue
Bonds
1,035
5.000
08/01/39
1,295
New
Hampshire
Health
and
Education
Facilities
Authority
Act
Revenue
Bonds
1,090
5.000
08/01/40
1,361
21,885
New
Jersey
-
4.9%
Atlantic
City
General
Obligation
Unlimited
(µ)
500
5.000
03/01/25
578
Atlantic
City
General
Obligation
Unlimited
(µ)
450
5.000
03/01/26
537
Atlantic
City
General
Obligation
Unlimited
(µ)
750
5.000
03/01/32
914
Atlantic
County
Improvement
Authority
Revenue
Bonds
(µ)
500
4.000
07/01/39
609
Buena
Regional
School
District
General
Obligation
Unlimited
(µ)
320
4.000
08/01/33
367
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
311
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Buena
Regional
School
District
General
Obligation
Unlimited
(µ)
340
4.000
08/01/34
389
Buena
Regional
School
District
General
Obligation
Unlimited
(µ)
360
4.000
08/01/35
410
Buena
Regional
School
District
General
Obligation
Unlimited
(µ)
385
4.000
08/01/36
438
Camden
County
Improvement
Authority
Revenue
Bonds
2,000
5.000
02/15/28
2,219
City
of
Bayonne
General
Obligation
Unlimited
(µ)
1,500
5.000
07/01/33
1,832
City
of
Bayonne
General
Obligation
Unlimited
(µ)
1,865
5.000
07/01/34
2,278
City
of
Clifton
New
Jersey
General
Obligation
Unlimited
1,420
4.000
08/15/27
1,683
City
of
Newark
General
Obligation
Unlimited
(µ)
1,450
5.000
10/01/27
1,798
City
of
Trenton
General
Obligation
Unlimited
(µ)
1,510
5.000
07/15/23
1,650
County
of
Cape
May
General
Obligation
Unlimited
2,235
4.000
10/01/26
2,636
County
of
Morris
General
Obligation
Unlimited
4,615
2.000
02/01/27
4,950
Essex
County
Improvement
Authority
Revenue
Bonds
(µ)
305
4.000
08/01/38
373
Essex
County
Improvement
Authority
Revenue
Bonds
(µ)
320
4.000
08/01/39
391
Essex
County
Improvement
Authority
Revenue
Bonds
(µ)
330
4.000
08/01/40
402
Essex
County
Improvement
Authority
Revenue
Bonds
(µ)
345
4.000
08/01/41
419
Garden
State
Preservation
Trust
Revenue
Bonds
(µ)
460
5.750
11/01/28
575
Jersey
City
General
Obligation
Unlimited
450
5.000
11/01/31
562
New
Jersey
Building
Authority
Revenue
Bonds
(µ)
580
5.000
06/15/28
701
New
Jersey
Economic
Development
Authority
Revenue
Bonds
2,000
4.000
07/01/22
2,069
New
Jersey
Economic
Development
Authority
Revenue
Bonds
2,045
5.000
06/15/23
2,118
New
Jersey
Economic
Development
Authority
Revenue
Bonds
(µ)
700
5.500
09/01/24
811
New
Jersey
Economic
Development
Authority
Revenue
Bonds
(µ)
515
5.250
07/01/26
632
New
Jersey
Economic
Development
Authority
Revenue
Bonds
795
5.000
07/01/27
895
New
Jersey
Economic
Development
Authority
Revenue
Bonds
(~)(Ê)
2,715
5.250
04/01/28
3,455
New
Jersey
Economic
Development
Authority
Revenue
Bonds
(µ)
2,005
5.000
07/01/28
2,494
New
Jersey
Economic
Development
Authority
Revenue
Bonds
1,720
5.000
06/15/29
1,939
New
Jersey
Economic
Development
Authority
Revenue
Bonds
350
3.000
06/01/32
384
New
Jersey
Economic
Development
Authority
Revenue
Bonds
665
5.000
06/01/32
828
New
Jersey
Economic
Development
Authority
Revenue
Bonds
875
5.000
07/01/33
1,044
New
Jersey
Economic
Development
Authority
Revenue
Bonds
4,975
5.000
06/15/36
6,095
New
Jersey
Economic
Development
Authority
Revenue
Bonds
1,000
5.000
06/15/37
1,224
New
Jersey
Educational
Facilities
Authority
Revenue
Bonds
(µ)
450
5.000
07/01/32
541
New
Jersey
Educational
Facilities
Authority
Revenue
Bonds
(µ)
3,085
5.000
07/01/33
3,805
New
Jersey
General
Obligation
Unlimited
2,000
5.000
06/01/28
2,573
New
Jersey
General
Obligation
Unlimited
1,200
5.000
06/01/29
1,581
New
Jersey
General
Obligation
Unlimited
6,725
4.000
06/01/30
8,359
New
Jersey
General
Obligation
Unlimited
5,425
4.000
06/01/31
6,846
New
Jersey
General
Obligation
Unlimited
7,500
5.000
06/01/40
9,232
New
Jersey
Health
Care
Facilities
Financing
Authority
Revenue
Bonds
(µ)
1,000
5.000
07/01/27
1,175
New
Jersey
Health
Care
Facilities
Financing
Authority
Revenue
Bonds
1,000
5.000
07/01/28
1,223
New
Jersey
Health
Care
Facilities
Financing
Authority
Revenue
Bonds
2,180
5.000
07/01/29
2,680
New
Jersey
Health
Care
Facilities
Financing
Authority
Revenue
Bonds
300
5.000
07/01/30
354
New
Jersey
Health
Care
Facilities
Financing
Authority
Revenue
Bonds
1,000
5.000
07/01/31
1,217
New
Jersey
Health
Care
Facilities
Financing
Authority
Revenue
Bonds
1,000
4.000
07/01/35
1,198
New
Jersey
Health
Care
Facilities
Financing
Authority
Revenue
Bonds
(~)(ae)(Ê)
1,610
5.000
07/01/43
1,827
New
Jersey
Housing
&
Mortgage
Finance
Agency
Revenue
Bonds
3,720
4.750
10/01/50
4,215
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
(µ)
145
5.250
12/15/21
148
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
1,825
2.493
12/15/26
1,714
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
2,335
5.000
06/15/29
2,782
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
1,125
2.871
12/15/29
983
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
735
5.000
06/15/30
872
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
5,585
5.000
06/15/31
6,605
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
(µ)
1,840
2.851
12/15/31
1,538
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
790
4.000
12/15/31
942
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
950
5.000
12/15/33
1,199
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
2,225
5.000
12/15/34
2,806
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
(µ)
5,000
3.060
12/15/35
3,755
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
312
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
790
5.000
12/15/35
995
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
5,030
5.591
12/15/35
3,724
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
14,860
3.291
12/15/36
10,690
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
1,000
5.000
12/15/36
1,258
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
23,510
4.649
12/15/37
16,401
New
Jersey
Transportation
Trust
Fund
Authority
Revenue
Bonds
685
4.250
12/15/38
808
New
Jersey
Turnpike
Authority
Revenue
Bonds
2,050
5.000
01/01/22
2,092
New
Jersey
Turnpike
Authority
Revenue
Bonds
900
5.000
01/01/23
963
New
Jersey
Turnpike
Authority
Revenue
Bonds
3,155
5.000
01/01/24
3,374
New
Jersey
Turnpike
Authority
Revenue
Bonds
(ae)
2,330
5.000
01/01/27
2,435
New
Jersey
Turnpike
Authority
Revenue
Bonds
3,375
5.000
01/01/32
4,074
New
Jersey
Turnpike
Authority
Revenue
Bonds
2,000
5.000
01/01/33
2,446
New
Jersey
Turnpike
Authority
Revenue
Bonds
6,000
4.000
01/01/42
7,262
Newark
Board
of
Education
General
Obligation
Unlimited
420
5.000
07/15/24
478
Newark
Board
of
Education
General
Obligation
Unlimited
(µ)
1,425
5.000
07/15/32
1,928
Newark
Board
of
Education
General
Obligation
Unlimited
(µ)
1,000
4.000
07/15/35
1,234
Passaic
Valley
Sewerage
Commission
Revenue
Bonds
(µ)
1,500
3.000
12/01/32
1,687
Perth
Amboy
General
Obligation
Unlimited
(µ)
1,000
4.000
07/01/35
1,200
Salem
County
Improvement
Authority
Revenue
Bonds
(µ)
550
4.000
08/15/37
659
South
Jersey
Transportation
Authority
Revenue
Bonds
(µ)
200
5.000
11/01/28
258
South
Jersey
Transportation
Authority
Revenue
Bonds
(µ)
2,000
5.000
11/01/29
2,629
South
Jersey
Transportation
Authority
Revenue
Bonds
(µ)
1,000
5.000
11/01/30
1,306
South
Jersey
Transportation
Authority
Revenue
Bonds
4,000
4.000
11/01/40
4,750
South
Jersey
Transportation
Authority
Revenue
Bonds
(µ)
1,250
5.000
11/01/41
1,609
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
1,570
3.200
06/01/27
1,609
Tobacco
Settlement
Financing
Corp.
Revenue
Bonds
1,495
5.000
06/01/27
1,869
198,607
New
Mexico
-
0.1%
New
Mexico
Mortgage
Finance
Authority
Revenue
Bonds
800
2.250
07/01/23
801
New
Mexico
Mortgage
Finance
Authority
Revenue
Bonds
2,225
4.250
07/01/49
2,484
3,285
New
York
-
10.0%
Albany
Capital
Resource
Corp.
Revenue
Bonds
1,255
4.000
06/01/29
1,439
Brooklyn
Arena
Local
Development
Corp.
Revenue
Bonds
525
1.625
11/01/25
548
Buffalo
Sewer
Authority
Revenue
Bonds
(µ)
170
5.000
06/15/31
217
Buffalo
Sewer
Authority
Revenue
Bonds
(µ)
170
5.000
06/15/33
215
Buffalo
Sewer
Authority
Revenue
Bonds
(µ)
240
4.000
06/15/35
285
Build
NYC
Resource
Corp.
Revenue
Bonds
500
5.000
08/01/29
616
Build
NYC
Resource
Corp.
Revenue
Bonds
100
4.000
06/15/30
117
Build
NYC
Resource
Corp.
Revenue
Bonds
700
5.000
08/01/30
858
Build
NYC
Resource
Corp.
Revenue
Bonds
100
4.000
06/15/31
116
Build
NYC
Resource
Corp.
Revenue
Bonds
600
5.000
08/01/32
731
Build
NYC
Resource
Corp.
Revenue
Bonds
500
5.000
08/01/33
608
City
of
Buffalo
General
Obligation
Limited
(µ)
5,045
5.000
04/01/32
7,119
City
of
New
York
General
Obligation
Unlimited
2,550
5.000
08/01/21
2,550
City
of
New
York
General
Obligation
Unlimited
2,445
5.000
08/01/22
2,565
City
of
New
York
General
Obligation
Unlimited
6,420
5.000
08/01/23
7,048
City
of
New
York
General
Obligation
Unlimited
5,000
5.000
08/01/37
6,054
City
of
Syracuse
General
Obligation
Limited
(µ)
750
4.000
05/15/32
885
City
of
Syracuse
General
Obligation
Limited
(µ)
785
4.000
05/15/33
923
City
of
Yonkers
General
Obligation
Limited
(µ)
1,200
5.000
05/01/31
1,564
City
of
Yonkers
General
Obligation
Limited
(µ)
2,250
5.000
05/01/32
2,931
City
of
Yonkers
General
Obligation
Limited
(µ)
3,895
5.000
05/01/33
5,051
City
of
Yonkers
General
Obligation
Limited
(µ)
1,990
4.000
05/01/35
2,367
City
of
Yonkers
General
Obligation
Limited
(µ)
2,180
4.000
05/01/37
2,569
County
of
Nassau
General
Obligation
Limited
(µ)
3,190
5.000
04/01/35
4,162
Hempstead
Town
Local
Development
Corp.
Revenue
Bonds
1,000
5.000
07/01/22
1,046
Hempstead
Town
Local
Development
Corp.
Revenue
Bonds
1,565
5.000
07/01/24
1,786
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
313
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Hempstead
Town
Local
Development
Corp.
Revenue
Bonds
715
4.000
07/01/40
881
Hempstead
Union
Free
School
District
General
Obligation
Unlimited
1,875
1.000
07/13/22
1,889
Hudson
Yards
Infrastructure
Corp.
Revenue
Bonds
7,495
5.000
02/15/35
9,119
Hudson
Yards
Infrastructure
Corp.
Revenue
Bonds
4,740
5.000
02/15/37
5,743
Hudson
Yards
Infrastructure
Corp.
Revenue
Bonds
5,260
5.000
02/15/38
6,367
Hudson
Yards
Infrastructure
Corp.
Revenue
Bonds
300
4.000
02/15/44
339
Long
Island
Power
Authority
Revenue
Bonds
1,000
5.000
09/01/32
1,252
Long
Island
Power
Authority
Revenue
Bonds
(USD
1
Month
LIBOR
+
0.750%)(ae)
(Ê)
2,700
0.827
05/01/33
2,709
Long
Island
Power
Authority
Revenue
Bonds
750
5.000
09/01/33
934
Long
Island
Power
Authority
Revenue
Bonds
1,000
5.000
09/01/34
1,249
Long
Island
Power
Authority
Revenue
Bonds
1,250
5.000
09/01/35
1,561
Long
Island
Power
Authority
Revenue
Bonds
1,825
5.000
09/01/37
2,265
Long
Island
Power
Authority
Revenue
Bonds
(~)(ae)(Ê)
2,000
1.650
09/01/49
2,067
Madrid-Waddington
Central
School
District
General
Obligation
Limitied
Notes
1,250
1.500
06/24/22
1,265
Metropolitan
Transportation
Authority
Revenue
Bonds
355
5.000
09/01/21
356
Metropolitan
Transportation
Authority
Revenue
Bonds
1,175
5.000
11/15/21
1,191
Metropolitan
Transportation
Authority
Revenue
Bonds
2,590
4.000
02/01/22
2,638
Metropolitan
Transportation
Authority
Revenue
Bonds
1,400
5.000
09/01/22
1,472
Metropolitan
Transportation
Authority
Revenue
Bonds
350
5.000
11/15/22
371
Metropolitan
Transportation
Authority
Revenue
Bonds
1,475
5.000
02/01/23
1,579
Metropolitan
Transportation
Authority
Revenue
Bonds
1,440
5.000
11/15/24
1,526
Metropolitan
Transportation
Authority
Revenue
Bonds
8,395
5.000
11/15/25
8,892
Metropolitan
Transportation
Authority
Revenue
Bonds
4,000
5.000
11/15/26
4,897
Metropolitan
Transportation
Authority
Revenue
Bonds
225
5.000
11/15/27
272
Metropolitan
Transportation
Authority
Revenue
Bonds
(ae)
5,710
5.000
11/15/28
6,807
Metropolitan
Transportation
Authority
Revenue
Bonds
550
5.250
11/15/28
656
Metropolitan
Transportation
Authority
Revenue
Bonds
550
5.000
11/15/29
710
Metropolitan
Transportation
Authority
Revenue
Bonds
225
5.000
11/15/30
301
Metropolitan
Transportation
Authority
Revenue
Bonds
100
5.250
11/15/31
122
Metropolitan
Transportation
Authority
Revenue
Bonds
730
4.000
11/15/32
856
Metropolitan
Transportation
Authority
Revenue
Bonds
1,150
5.000
11/15/33
1,344
Metropolitan
Transportation
Authority
Revenue
Bonds
4,500
5.000
11/15/38
4,809
Metropolitan
Transportation
Authority
Revenue
Bonds
(µ)
1,000
5.000
11/15/41
1,273
Metropolitan
Transportation
Authority
Revenue
Bonds
(µ)
600
4.000
11/15/42
714
Metropolitan
Transportation
Authority
Revenue
Bonds
8,930
5.000
11/15/42
9,475
Metropolitan
Transportation
Authority
Revenue
Bonds
(µ)
10,000
4.000
11/15/44
11,852
Metropolitan
Transportation
Authority
Revenue
Bonds
3,675
4.000
11/15/45
4,305
Metropolitan
Transportation
Authority
Revenue
Bonds
300
4.750
11/15/45
370
Metropolitan
Transportation
Authority
Revenue
Bonds
(~)(ae)(Ê)
2,500
5.000
11/15/45
3,287
Metropolitan
Transportation
Authority
Revenue
Bonds
(~)(Ê)
18,430
0.010
11/15/50
18,430
Metropolitan
Transportation
Authority
Revenue
Bonds
4,850
4.000
11/15/52
5,597
Monroe
County
Industrial
Development
Corp.
Revenue
Bonds
960
4.000
07/01/39
1,158
New
York
City
Housing
Development
Corp.
Revenue
Bonds
(~)(ae)(Ê)
5,000
0.600
07/01/25
5,022
New
York
City
Housing
Development
Corp.
Revenue
Bonds
1,560
3.500
02/15/48
1,585
New
York
City
Industrial
Development
Agency
Revenue
Bonds
(µ)
150
5.000
01/01/29
194
New
York
City
Industrial
Development
Agency
Revenue
Bonds
(µ)
380
5.000
01/01/30
503
New
York
City
Industrial
Development
Agency
Revenue
Bonds
(µ)
225
5.000
01/01/31
304
New
York
City
Industrial
Development
Agency
Revenue
Bonds
(µ)
120
4.000
01/01/32
150
New
York
City
Industrial
Development
Agency
Revenue
Bonds
(µ)
300
3.000
03/01/36
331
New
York
City
Industrial
Development
Agency
Revenue
Bonds
(µ)
3,435
2.500
03/01/37
3,556
New
York
City
Industrial
Development
Agency
Revenue
Bonds
(µ)
460
3.000
01/01/39
505
New
York
City
Industrial
Development
Agency
Revenue
Bonds
(µ)
335
3.000
03/01/40
366
New
York
City
Industrial
Development
Agency
Revenue
Bonds
(µ)
650
4.000
03/01/45
758
New
York
City
Transitional
Finance
Authority
Future
Tax
Secured
Revenue
Bonds
415
5.000
11/01/29
494
New
York
City
Transitional
Finance
Authority
Future
Tax
Secured
Revenue
Bonds
1,000
5.000
08/01/39
1,133
New
York
City
Transitional
Finance
Authority
Future
Tax
Secured
Revenue
Bonds
2,250
4.000
11/01/40
2,708
New
York
City
Transitional
Finance
Authority
Future
Tax
Secured
Revenue
Bonds
475
4.000
05/01/45
569
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
314
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
New
York
City
Transitional
Finance
Authority
Future
Tax
Secured
Revenue
Bonds
(~)(Ê)
9,000
1.450
08/01/45
9,000
New
York
City
Water
&
Sewer
System
Revenue
Bonds
4,050
4.000
06/15/40
4,829
New
York
City
Water
&
Sewer
System
Revenue
Bonds
700
5.000
06/15/46
857
New
York
Convention
Center
Development
Corp.
Revenue
Bonds
(µ)
2,925
Zero
coupon
11/15/34
2,316
New
York
Liberty
Development
Corp.
Revenue
Bonds
(Þ)
645
5.000
11/15/44
715
New
York
Liberty
Development
Corp.
Revenue
Bonds
3,000
2.450
09/15/69
3,180
New
York
State
Dormitory
Authority
Revenue
Bonds
755
5.000
05/15/23
784
New
York
State
Dormitory
Authority
Revenue
Bonds
(µ)
430
5.250
07/01/23
471
New
York
State
Dormitory
Authority
Revenue
Bonds
(ae)
6,725
5.000
12/15/23
7,175
New
York
State
Dormitory
Authority
Revenue
Bonds
(ae)
6,790
5.000
07/01/26
7,427
New
York
State
Dormitory
Authority
Revenue
Bonds
1,000
5.000
08/01/27
1,240
New
York
State
Dormitory
Authority
Revenue
Bonds
9,130
5.000
02/15/31
11,270
New
York
State
Dormitory
Authority
Revenue
Bonds
105
5.000
07/01/32
134
New
York
State
Dormitory
Authority
Revenue
Bonds
3,300
5.000
10/01/32
4,025
New
York
State
Dormitory
Authority
Revenue
Bonds
1,465
5.000
07/01/33
1,867
New
York
State
Dormitory
Authority
Revenue
Bonds
710
5.000
07/01/34
902
New
York
State
Dormitory
Authority
Revenue
Bonds
325
4.000
07/01/35
404
New
York
State
Dormitory
Authority
Revenue
Bonds
95
5.000
07/01/35
121
New
York
State
Dormitory
Authority
Revenue
Bonds
260
4.000
07/01/36
322
New
York
State
Dormitory
Authority
Revenue
Bonds
85
5.000
07/01/36
108
New
York
State
Dormitory
Authority
Revenue
Bonds
70
4.000
09/01/36
83
New
York
State
Dormitory
Authority
Revenue
Bonds
325
4.000
07/01/37
401
New
York
State
Dormitory
Authority
Revenue
Bonds
100
4.000
09/01/37
118
New
York
State
Dormitory
Authority
Revenue
Bonds
4,410
3.000
03/15/38
4,895
New
York
State
Dormitory
Authority
Revenue
Bonds
6,035
4.000
07/01/38
7,326
New
York
State
Dormitory
Authority
Revenue
Bonds
75
4.000
09/01/38
88
New
York
State
Dormitory
Authority
Revenue
Bonds
1,000
5.000
10/01/38
1,268
New
York
State
Dormitory
Authority
Revenue
Bonds
85
4.000
09/01/39
100
New
York
State
Dormitory
Authority
Revenue
Bonds
15,000
4.000
03/15/40
18,227
New
York
State
Dormitory
Authority
Revenue
Bonds
105
4.000
07/01/40
122
New
York
State
Dormitory
Authority
Revenue
Bonds
100
4.000
09/01/40
117
New
York
State
Dormitory
Authority
Revenue
Bonds
110
5.000
07/01/41
137
New
York
State
Dormitory
Authority
Revenue
Bonds
1,075
4.000
03/15/42
1,300
New
York
State
Dormitory
Authority
Revenue
Bonds
425
4.000
03/15/44
509
New
York
State
Dormitory
Authority
Revenue
Bonds
435
4.000
07/01/45
499
New
York
State
Thruway
Authority
Revenue
Bonds
1,250
5.000
01/01/32
1,566
New
York
State
Urban
Development
Corp.
Revenue
Bonds
5,750
5.000
03/15/36
7,593
New
York
State
Urban
Development
Corp.
Revenue
Bonds
4,950
4.000
03/15/37
6,009
New
York
State
Urban
Development
Corp.
Revenue
Bonds
11,000
5.000
03/15/37
14,463
New
York
Transportation
Development
Corp.
Revenue
Bonds
500
5.000
12/01/27
633
New
York
Transportation
Development
Corp.
Revenue
Bonds
130
5.000
12/01/28
168
New
York
Transportation
Development
Corp.
Revenue
Bonds
145
5.000
12/01/29
192
New
York
Transportation
Development
Corp.
Revenue
Bonds
115
5.000
12/01/30
155
New
York
Transportation
Development
Corp.
Revenue
Bonds
4,090
5.000
12/01/31
5,491
New
York
Transportation
Development
Corp.
Revenue
Bonds
165
5.000
12/01/32
220
New
York
Transportation
Development
Corp.
Revenue
Bonds
2,530
5.000
12/01/33
3,369
New
York
Transportation
Development
Corp.
Revenue
Bonds
255
5.000
12/01/34
339
New
York
Transportation
Development
Corp.
Revenue
Bonds
4,575
5.000
12/01/35
6,063
New
York
Transportation
Development
Corp.
Revenue
Bonds
380
5.000
12/01/36
503
New
York
Transportation
Development
Corp.
Revenue
Bonds
3,320
5.000
12/01/37
4,379
New
York
Transportation
Development
Corp.
Revenue
Bonds
620
5.000
12/01/38
816
Niagara
Falls
City
School
District
General
Obligation
Unlimited
(µ)
1,000
5.000
06/15/28
1,280
Niagara
Falls
City
School
District
General
Obligation
Unlimited
(µ)
1,735
4.000
06/15/30
2,082
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
1,500
5.000
12/01/30
1,956
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
1,500
5.000
12/01/31
1,946
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
60
4.000
12/01/32
71
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
70
4.000
12/01/33
83
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
315
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
105
4.000
12/01/34
124
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
120
4.000
12/01/35
142
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
75
4.000
12/01/36
88
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
60
4.000
12/01/37
71
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
60
4.000
12/01/38
70
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
180
3.000
12/01/39
194
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
120
3.000
12/01/40
129
Oneida
County
Local
Development
Corp.
Revenue
Bonds
(µ)
240
4.000
12/01/49
275
Onondaga
County
Trust
for
Cultural
Resources
Revenue
Bonds
375
5.000
12/01/40
490
Port
Authority
of
New
York
&
New
Jersey
Revenue
Bonds
5,000
5.000
07/15/34
6,640
Port
Authority
of
New
York
&
New
Jersey
Revenue
Bonds
2,775
5.000
07/15/35
3,670
Port
Authority
of
New
York
&
New
Jersey
Revenue
Bonds
1,000
4.000
07/15/36
1,226
Port
Authority
of
New
York
&
New
Jersey
Revenue
Bonds
750
5.250
05/15/42
948
Port
Authority
of
New
York
&
New
Jersey
Revenue
Bonds
175
5.000
11/15/42
216
Port
Authority
of
New
York
&
New
Jersey
Revenue
Bonds
1,700
4.000
09/01/43
2,008
Schenectady
Metroplex
Development
Authority
Revenue
Bonds
(µ)
150
4.000
08/01/31
187
Schenectady
Metroplex
Development
Authority
Revenue
Bonds
(µ)
220
4.000
08/01/32
274
Schenectady
Metroplex
Development
Authority
Revenue
Bonds
(µ)
200
4.000
08/01/33
249
Schenectady
Metroplex
Development
Authority
Revenue
Bonds
(µ)
200
4.000
08/01/34
248
Schenectady
Metroplex
Development
Authority
Revenue
Bonds
(µ)
200
4.000
08/01/35
248
Schenectady
Metroplex
Development
Authority
Revenue
Bonds
(µ)
405
4.000
08/01/36
500
State
of
New
York
Mortgage
Agency
Homeowner
Mortgage
Revenue
Bonds
2,890
4.250
10/01/47
3,187
Sufflok
County
General
Obligation
Limited
Notes
2,000
2.000
08/19/21
2,002
Triborough
Bridge
&
Tunnel
Authority
Revenue
Bonds
1,000
5.000
11/15/28
1,061
Triborough
Bridge
&
Tunnel
Authority
Revenue
Bonds
5,000
5.000
11/15/33
6,188
Triborough
Bridge
&
Tunnel
Authority
Revenue
Bonds
(~)(ae)(Ê)
6,375
2.000
05/15/45
6,841
TSASC,
Inc.
Revenue
Bonds
2,500
5.000
06/01/29
3,073
Webster
Central
School
District
General
Obligation
Unlimited
1,125
2.000
06/15/27
1,205
Westchester
County
Local
Development
Corp.
Revenue
Bonds
1,350
5.000
05/01/34
1,472
400,188
North
Carolina
-
1.1%
Chattanooga
Health
Educational
&
Housing
Facility
Board
Revenue
Bonds
(~)(ae)
(Ê)
1,300
5.000
12/01/28
1,692
Chattanooga
Health
Educational
&
Housing
Facility
Board
Revenue
Bonds
(~)(ae)
(Ê)
1,000
5.000
12/01/31
1,380
Columbus
County
Industrial
Facilities
&
Pollution
Control
Financing
Authority
Revenue
Bonds
(~)(ae)(Ê)
325
1.375
05/01/34
337
County
of
Guilford
General
Obligation
Unlimited
100
5.000
05/01/22
104
North
Carolina
Capital
Facilities
Finance
Agency
Revenue
Bonds
(ae)
9,525
5.000
10/01/41
9,837
North
Carolina
Capital
Facilities
Finance
Agency
Revenue
Bonds
(ae)
7,500
5.000
10/01/44
8,233
North
Carolina
Housing
Finance
Agency
Revenue
Bonds
3,190
4.250
07/01/47
3,538
North
Carolina
Medical
Care
Commission
Revenue
Bonds
130
4.000
03/01/24
140
North
Carolina
Medical
Care
Commission
Revenue
Bonds
250
4.000
01/01/25
266
North
Carolina
Medical
Care
Commission
Revenue
Bonds
155
4.000
03/01/25
170
North
Carolina
Medical
Care
Commission
Revenue
Bonds
240
4.000
01/01/26
260
North
Carolina
Medical
Care
Commission
Revenue
Bonds
145
5.000
03/01/26
168
North
Carolina
Medical
Care
Commission
Revenue
Bonds
565
5.000
01/01/27
649
North
Carolina
Medical
Care
Commission
Revenue
Bonds
170
5.000
03/01/27
201
North
Carolina
Medical
Care
Commission
Revenue
Bonds
790
5.000
01/01/28
924
North
Carolina
Medical
Care
Commission
Revenue
Bonds
200
5.000
03/01/28
241
North
Carolina
Medical
Care
Commission
Revenue
Bonds
560
5.000
01/01/29
654
North
Carolina
Medical
Care
Commission
Revenue
Bonds
160
4.000
03/01/29
185
North
Carolina
Medical
Care
Commission
Revenue
Bonds
655
5.000
01/01/30
761
North
Carolina
Medical
Care
Commission
Revenue
Bonds
165
4.000
03/01/30
190
North
Carolina
Medical
Care
Commission
Revenue
Bonds
700
5.000
10/01/30
832
North
Carolina
Medical
Care
Commission
Revenue
Bonds
625
5.000
01/01/31
724
North
Carolina
Medical
Care
Commission
Revenue
Bonds
170
4.000
03/01/31
195
North
Carolina
Medical
Care
Commission
Revenue
Bonds
2,105
5.000
11/01/31
2,503
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
316
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
North
Carolina
Medical
Care
Commission
Revenue
Bonds
185
4.000
09/01/34
222
North
Carolina
Medical
Care
Commission
Revenue
Bonds
100
4.000
03/01/36
113
North
Carolina
Medical
Care
Commission
Revenue
Bonds
500
5.000
01/01/38
560
North
Carolina
Medical
Care
Commission
Revenue
Bonds
100
4.000
09/01/41
118
North
Carolina
Turnpike
Authority
Revenue
Bonds
2,000
5.000
02/01/24
2,235
North
Carolina
Turnpike
Authority
Revenue
Bonds
(µ)
1,310
5.000
01/01/28
1,604
State
of
North
Carolina
General
Obligation
Unlimited
5,020
5.000
06/01/27
6,333
45,369
Ohio
-
1.8%
American
Municipal
Power,
Inc.
Revenue
Bonds
875
5.000
02/15/25
1,018
American
Municipal
Power,
Inc.
Revenue
Bonds
140
5.000
02/15/26
168
American
Municipal
Power,
Inc.
Revenue
Bonds
175
5.000
02/15/27
216
American
Municipal
Power,
Inc.
Revenue
Bonds
215
5.000
02/15/28
273
American
Municipal
Power,
Inc.
Revenue
Bonds
165
5.000
02/15/29
214
Buckeye
Tobacco
Settlement
Financing
Authority
Revenue
Bonds
85
5.000
06/01/34
111
Buckeye
Tobacco
Settlement
Financing
Authority
Revenue
Bonds
2,000
4.000
06/01/37
2,417
Buckeye
Tobacco
Settlement
Financing
Authority
Revenue
Bonds
2,490
5.000
06/01/55
2,928
City
of
Columbus
General
Obligation
Unlimited
4,685
4.000
04/01/33
5,462
City
of
Hamilton
Electric
Revenue
Bonds
(µ)
700
4.000
10/01/34
834
City
of
Hamilton
Electric
Revenue
Bonds
(µ)
730
4.000
10/01/35
869
City
of
Hamilton
Electric
Revenue
Bonds
(µ)
590
4.000
10/01/36
701
Cleveland
Municipal
School
District
General
Obligation
Unlimited
1,100
5.000
12/01/27
1,193
County
of
Cuyahoga
Certificate
of
Participation
14,065
5.000
12/01/27
15,661
County
of
Cuyahoga
Certificate
of
Participation
1,990
5.000
12/01/28
2,209
County
of
Franklin
Revenue
Bonds
330
5.250
11/15/40
384
County
of
Hamilton
Revenue
Bonds
1,350
5.000
01/01/31
1,545
Cuyahoga
County
Hospital
Revenue
Bonds
7,450
5.000
02/15/37
8,777
Cuyahoga
Metropolitan
Housing
Authority
Revenue
Bonds
450
2.000
12/01/31
460
Elyria
City
School
District
General
Obligation
Unlimited
(µ)
375
4.000
12/01/21
380
Euclid
City
School
District
Certificated
Participation
(µ)
175
4.000
12/01/30
203
Euclid
City
School
District
Certificated
Participation
(µ)
185
4.000
12/01/31
213
Euclid
City
School
District
Certificated
Participation
(µ)
130
4.000
12/01/32
150
Euclid
City
School
District
Certificated
Participation
(µ)
135
4.000
12/01/33
156
Euclid
City
School
District
Certificated
Participation
(µ)
110
4.000
12/01/34
127
Euclid
City
School
District
Certificated
Participation
(µ)
215
4.000
12/01/35
249
Euclid
City
School
District
Certificated
Participation
(µ)
445
4.000
12/01/36
515
Euclid
City
School
District
Certificated
Participation
(µ)
380
4.000
12/01/38
439
Hillsdale
Local
School
District
Certificate
of
Participation
(µ)
3,050
4.000
12/01/32
3,744
Miami
University
Revenue
Bonds
450
5.000
09/01/36
452
Middletown
City
School
District
General
Obligation
Unlimited
(ae)
5
5.250
12/01/34
5
Northeast
Ohio
Medical
University
Revenue
Bonds
50
4.000
12/01/35
59
Ohio
Air
Quality
Development
Authority
Revenue
Bonds
1,000
2.875
02/01/26
1,069
Ohio
Higher
Educational
Facility
Commission
Revenue
Bonds
50
5.000
01/01/28
55
Ohio
Higher
Educational
Facility
Commission
Revenue
Bonds
520
5.000
07/01/31
637
Ohio
Higher
Educational
Facility
Commission
Revenue
Bonds
750
5.000
07/01/33
915
Ohio
Higher
Educational
Facility
Commission
Revenue
Bonds
600
5.000
01/15/34
763
Ohio
Higher
Educational
Facility
Commission
Revenue
Bonds
420
5.000
07/01/34
511
Ohio
Higher
Educational
Facility
Commission
Revenue
Bonds
195
5.000
01/15/35
247
Ohio
Higher
Educational
Facility
Commission
Revenue
Bonds
220
5.000
01/15/36
278
Ohio
Higher
Educational
Facility
Commission
Revenue
Bonds
695
4.000
07/01/36
795
Ohio
Higher
Educational
Facility
Commission
Revenue
Bonds
600
4.000
07/01/37
685
Ohio
Higher
Educational
Facility
Commission
Revenue
Bonds
830
5.000
01/15/40
1,040
Ohio
Housing
Finance
Agency
Revenue
Bonds
2,425
4.500
09/01/48
2,698
Port
of
Greater
Cincinnati
Development
Authority
Revenue
Bonds
(Þ)
100
3.750
12/01/31
103
State
of
Ohio
Revenue
Bonds
3,500
5.000
12/15/22
3,648
State
of
Ohio
Revenue
Bonds
2,815
5.000
12/15/23
2,934
Toledo-Lucas
County
Port
Authority
Revenue
Bonds
1,965
5.000
07/01/29
2,161
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
317
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
United
Local
School
District
Certificate
of
Participation
(µ)
165
4.000
12/01/26
193
United
Local
School
District
Certificate
of
Participation
(µ)
120
4.000
12/01/29
146
United
Local
School
District
Certificate
of
Participation
(µ)
175
4.000
12/01/30
217
United
Local
School
District
Certificate
of
Participation
(µ)
315
4.000
12/01/32
385
United
Local
School
District
Certificate
of
Participation
(µ)
1,200
4.000
12/01/34
1,456
West
Carrollton
City
School
District
General
Obligation
Unlimited
1,080
4.000
12/01/21
1,094
74,162
Oklahoma
-
0.5%
Carter
County
Public
Facilities
Authority
Revenue
Bonds
3,625
5.000
09/01/31
4,451
Cleveland
County
Educational
Facilities
Authority
Revenue
Bonds
825
5.000
06/01/24
928
Oklahoma
Development
Finance
Authority
Revenue
Bonds
1,000
5.000
08/15/22
1,044
Oklahoma
Development
Finance
Authority
Revenue
Bonds
1,000
5.000
08/15/26
1,195
Oklahoma
Development
Finance
Authority
Revenue
Bonds
2,000
5.000
08/15/28
2,332
Oklahoma
Development
Finance
Authority
Revenue
Bonds
3,000
5.000
08/15/33
3,695
Oklahoma
Development
Finance
Authority
Revenue
Bonds
3,000
5.250
08/15/43
3,703
Oklahoma
Housing
Finance
Agency
Revenue
Bonds
1,265
4.750
09/01/48
1,424
Oklahoma
Water
Resources
Board
Revenue
Bonds
1,500
5.000
04/01/33
1,856
20,628
Oregon
-
0.3%
Benton
&
Linn
Counties
Consolidated
School
District
No.
509J
&
509A
Corvallis
General
Obligation
Unlimited
510
5.000
06/15/26
623
City
of
Portland
Sewer
System
Revenue
Bonds
340
5.000
05/01/30
453
Hospital
Facilities
Authority
of
Multnomah
County
Revenue
Bonds
(~)(ae)(Ê)
1,130
5.000
03/01/40
1,278
Oregon
State
Business
Development
Commission
Revenue
Bonds
(~)(ae)(Ê)
1,950
2.400
12/01/40
2,032
Oregon
State
Facilities
Authority
Revenue
Bonds
50
5.000
10/01/28
64
Oregon
State
Facilities
Authority
Revenue
Bonds
75
5.000
10/01/29
97
Oregon
State
Facilities
Authority
Revenue
Bonds
50
5.000
10/01/35
64
Oregon
State
Facilities
Authority
Revenue
Bonds
(Þ)
750
5.000
10/01/36
817
Port
of
Morrow
General
Obligation
Limited
100
4.000
12/01/21
101
State
of
Oregon
General
Obligation
Unlimited
150
1.250
08/01/27
157
State
of
Oregon
General
Obligation
Unlimited
120
1.375
08/01/28
125
State
of
Oregon
General
Obligation
Unlimited
125
1.500
08/01/29
131
State
of
Oregon
General
Obligation
Unlimited
500
5.000
12/01/31
617
State
of
Oregon
General
Obligation
Unlimited
2,000
4.000
05/01/39
2,497
State
of
Oregon
General
Obligation
Unlimited
1,000
4.000
05/01/40
1,244
State
of
Oregon
General
Obligation
Unlimited
1,010
4.250
06/01/49
1,124
Yamhill
County
Hospital
Authority
Revenue
Bonds
125
1.750
11/15/26
125
11,549
Pennsylvania
-
5.2%
Allegheny
County
Higher
Education
Building
Authority
Revenue
Bonds
615
5.000
10/15/21
620
Allegheny
County
Higher
Education
Building
Authority
Revenue
Bonds
790
5.000
10/15/26
945
Allegheny
County
Higher
Education
Building
Authority
Revenue
Bonds
835
5.000
10/15/27
991
Allegheny
County
Higher
Education
Building
Authority
Revenue
Bonds
870
5.000
10/15/28
1,026
Allegheny
County
Hospital
Development
Authority
Revenue
Bonds
1,145
5.000
04/01/30
1,441
Allegheny
County
Sanitary
Authority
Revenue
Bonds
1,000
4.000
06/01/35
1,178
Allentown
City
School
District
General
Obligation
Limited
(µ)
2,250
5.000
02/01/31
2,936
Allentown
City
School
District
General
Obligation
Limited
(µ)
4,385
5.000
02/01/33
5,685
Allentown
City
School
District
General
Obligation
Limited
(µ)
1,000
4.000
02/01/36
1,192
Allentown
City
School
District
General
Obligation
Limited
(µ)
2,250
5.000
02/01/37
2,886
Allentown
City
School
District
General
Obligation
Limited
Notes
1,375
1.000
03/31/22
1,375
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
50
5.000
07/01/25
57
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
50
5.000
07/01/26
59
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
50
5.000
07/01/27
60
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
50
5.000
07/01/28
62
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
50
5.000
07/01/29
63
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
75
5.000
07/01/30
95
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
330
5.000
10/01/30
378
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
350
5.000
10/01/31
400
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
318
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
610
5.000
07/01/33
787
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
535
5.000
07/01/34
688
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
415
5.000
07/01/35
533
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
635
5.000
07/01/36
812
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
1,340
5.000
07/01/37
1,709
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
1,390
5.000
07/01/38
1,769
Bucks
County
Industrial
Development
Authority
Revenue
Bonds
1,440
5.000
07/01/39
1,827
Butler
County
General
Authority
Revenue
Bonds
(USD
3
Month
LIBOR
+
0.700%)
(µ)(Ê)
14,825
1.660
10/01/34
14,471
Chester
County
Industrial
Development
Authority
Revenue
Bonds
1,320
4.000
12/01/37
1,621
Chester
County
Industrial
Development
Authority
Revenue
Bonds
1,500
4.000
12/01/38
1,836
Chester
County
Industrial
Development
Authority
Special
Assessment
(Þ)
275
4.375
03/01/28
310
City
of
Erie
General
Obligation
Unlimited
(µ)
3,750
3.208
11/15/37
2,354
City
of
Erie
Higher
Education
Building
Authority
Revenue
Bonds
100
4.000
05/01/36
116
City
of
Erie
Higher
Education
Building
Authority
Revenue
Bonds
50
4.000
05/01/41
57
City
of
Lancaster
General
Obligation
Unlimited
(µ)
375
5.000
05/01/27
464
City
of
Oil
General
Obligation
Unlimited
(µ)
175
4.000
12/01/31
212
City
of
Oil
General
Obligation
Unlimited
(µ)
190
4.000
12/01/33
228
City
of
Oil
General
Obligation
Unlimited
(µ)
200
4.000
12/01/34
239
City
of
Philadelphia
Airport
Revenue
Bonds
1,000
4.000
07/01/35
1,221
City
of
Philadelphia
General
Obligation
Unlimited
(~)(Ê)
27,285
0.140
08/01/31
27,285
City
of
Philadelphia
General
Obligation
Unlimited
5,000
5.000
08/01/33
6,162
City
of
Philadelphia
General
Obligation
Unlimited
5,000
5.000
08/01/34
6,148
City
of
Scranton
General
Obligation
Unlimited
(Þ)
1,815
5.000
09/01/21
1,820
City
of
Scranton
General
Obligation
Unlimited
(Þ)
1,925
5.000
09/01/22
1,995
City
of
Wilkes-Barre
General
Obligation
Unlimited
(µ)
1,000
4.000
11/15/38
1,095
City
of
York
General
Obligation
Unlimited
105
5.000
11/15/24
116
City
of
York
General
Obligation
Unlimited
955
5.000
11/15/26
1,129
City
of
York
General
Obligation
Unlimited
1,755
5.000
11/15/27
2,120
Coatesville
Area
School
District
Building
Authority
Revenue
Bonds
(µ)
425
5.000
12/01/24
459
Coatesville
Area
School
District
Building
Authority
Revenue
Bonds
(µ)
335
5.000
12/01/26
361
Coatesville
Area
School
District
Building
Authority
Revenue
Bonds
(µ)
360
5.000
12/01/27
388
Commonwealth
Financing
Authority
Revenue
Bonds
(µ)
13,000
4.000
06/01/39
15,052
Commonwealth
of
Pennsylvania
General
Obligation
Unlimited
6,075
5.000
08/15/23
6,679
County
of
Luzerne
General
Obligation
Unlimited
(µ)
500
5.000
12/15/27
621
County
of
Mercer
General
Obligation
Unlimited
(µ)
175
4.000
10/01/30
216
Dauphin
County
General
Authority
Revenue
Bonds
(Þ)
1,750
4.000
10/15/22
1,777
Dauphin
County
General
Authority
Revenue
Bonds
(Þ)
700
4.250
10/15/26
766
Delaware
County
Vocational
&
Technical
School
Authority
Revenue
Bonds
(µ)
1,120
5.000
11/01/27
1,233
Delaware
County
Vocational
&
Technical
School
Authority
Revenue
Bonds
(µ)
1,140
5.000
11/01/28
1,255
Delaware
County
Vocational
&
Technical
School
Authority
Revenue
Bonds
(µ)
1,500
5.250
11/01/33
1,660
Delaware
Valley
Regional
Finance
Authority
Revenue
Bonds
(USD
1
Month
LIBOR
+
0.880%)(ae)(Ê)
10,000
0.996
09/01/48
10,090
General
Authority
of
Southcentral
Pennsylvania
Revenue
Bonds
370
5.000
12/01/28
435
General
Authority
of
Southcentral
Pennsylvania
Revenue
Bonds
150
4.000
06/01/44
175
General
Authority
of
Southcentral
Pennsylvania
Revenue
Bonds
275
5.000
06/01/44
348
Latrobe
Industrial
Development
Authority
Revenue
Bonds
175
5.000
03/01/31
217
Mifflin
County
School
District
General
Obligation
Limited
(µ)
1,000
5.000
09/01/30
1,158
Montgomery
County
Higher
Education
&
Health
Authority
Revenue
Bonds
150
4.000
09/01/37
178
Montgomery
County
Higher
Education
&
Health
Authority
Revenue
Bonds
150
4.000
09/01/38
177
Montgomery
County
Higher
Education
&
Health
Authority
Revenue
Bonds
150
4.000
09/01/39
177
Montgomery
County
Industrial
Development
Authority
General
Obligation
Unlimited
50
4.000
10/01/36
56
Montgomery
County
Industrial
Development
Authority
General
Obligation
Unlimited
50
4.000
10/01/41
56
North
Allegheny
School
District
General
Obligation
Limited
1,000
4.000
05/01/35
1,209
North
Penn
Water
Authority
Revenue
Bonds
1,190
5.000
11/01/30
1,204
North
Pocono
School
District
General
Obligation
Limited
(µ)
885
4.000
09/15/31
1,068
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
319
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
North
Pocono
School
District
General
Obligation
Limited
(µ)
250
4.000
09/15/32
301
Northampton
County
General
Purpose
Authority
Revenue
Bonds
150
5.000
10/01/31
176
Northern
Tioga
School
District
General
Obligation
Limited
(µ)
650
5.000
04/01/30
804
Pennsylvania
Economic
Development
Financing
Authority
Revenue
Bonds
400
4.000
07/01/33
460
Pennsylvania
Economic
Development
Financing
Authority
Revenue
Bonds
245
4.000
03/15/36
281
Pennsylvania
Economic
Development
Financing
Authority
Revenue
Bonds
1,500
3.000
04/01/39
1,643
Pennsylvania
Economic
Development
Financing
Authority
Revenue
Bonds
150
4.000
10/15/39
184
Pennsylvania
Economic
Development
Financing
Authority
Revenue
Bonds
150
4.000
10/15/40
184
Pennsylvania
Economic
Development
Financing
Authority
Revenue
Bonds
245
4.000
07/01/41
278
Pennsylvania
Higher
Educational
Facilities
Authority
Revenue
Bonds
(ae)
2,000
6.250
10/01/21
2,019
Pennsylvania
Turnpike
Commission
Revenue
Bonds
(µ)
2,195
6.250
06/01/33
2,765
Pennsylvania
Turnpike
Commission
Revenue
Bonds
500
4.000
12/01/36
617
Pennsylvania
Turnpike
Commission
Revenue
Bonds
750
5.000
12/01/36
974
Pennsylvania
Turnpike
Commission
Revenue
Bonds
675
4.000
12/01/37
830
Pennsylvania
Turnpike
Commission
Revenue
Bonds
750
5.000
12/01/38
970
Pennsylvania
Turnpike
Commission
Revenue
Bonds
1,375
4.000
12/01/39
1,681
Pennsylvania
Turnpike
Commission
Revenue
Bonds
330
4.000
12/01/40
403
Pennsylvania
Turnpike
Commission
Revenue
Bonds
630
5.000
12/01/43
791
Pennsylvania
Turnpike
Commission
Revenue
Bonds
(µ)
2,630
5.000
12/01/44
3,380
Pennsylvania
Turnpike
Commission
Revenue
Bonds
4,500
5.250
12/01/44
5,834
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
215
5.875
06/15/22
225
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
(Þ)
305
5.000
06/15/25
351
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
(Þ)
660
5.000
06/15/27
796
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
(Þ)
415
5.000
06/15/28
511
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
(Þ)
440
5.000
06/15/29
536
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
(µ)
510
5.000
12/01/29
635
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
100
5.000
08/01/30
118
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
2,000
8.000
01/01/33
2,216
Philadelphia
Hospitals
&
Higher
Education
Facilities
Authority
Revenue
Bonds
500
5.000
07/01/28
604
Philadelphia
Hospitals
&
Higher
Education
Facilities
Authority
Revenue
Bonds
1,500
5.625
07/01/42
1,563
Pittsburgh
Water
&
Sewer
Authority
Revenue
Bonds
(µ)
375
4.000
09/01/34
456
Pittsburgh
Water
&
Sewer
Authority
Revenue
Bonds
(µ)
150
5.000
09/01/34
195
Pittsburgh
Water
&
Sewer
Authority
Revenue
Bonds
(µ)
75
4.000
09/01/35
91
Pittsburgh
Water
&
Sewer
Authority
Revenue
Bonds
(µ)
265
5.000
09/01/35
343
Pittsburgh
Water
&
Sewer
Authority
Revenue
Bonds
(µ)
1,300
5.000
09/01/36
1,680
Pittsburgh
Water
&
Sewer
Authority
Revenue
Bonds
(µ)
1,300
5.000
09/01/37
1,676
Pittsburgh
Water
&
Sewer
Authority
Revenue
Bonds
(µ)
1,040
5.000
09/01/38
1,338
Reading
School
District
General
Obligation
Limited
(µ)
785
5.000
03/01/35
955
Reading
School
District
General
Obligation
Limited
(µ)
720
5.000
03/01/36
874
School
District
of
Philadelphia
(The)
General
Obligation
Limited
(µ)
4,445
5.000
09/01/27
5,423
Scranton
School
District
General
Obligation
Unlimited
(µ)
490
5.000
06/01/32
616
Scranton
School
District
General
Obligation
Unlimited
(µ)
330
5.000
12/01/33
408
Scranton
School
District
General
Obligation
Unlimited
(µ)
575
5.000
06/01/34
719
Scranton
School
District
General
Obligation
Unlimited
(µ)
560
5.000
06/01/36
698
Shenandoah
Valley
School
District
General
Obligation
Unlimited
(µ)
935
4.000
08/01/26
1,088
State
Public
School
Building
Authority
Revenue
Bonds
(ae)
3,030
5.000
04/01/25
3,129
State
Public
School
Building
Authority
Revenue
Bonds
(µ)
1,000
5.000
06/15/28
1,038
State
Public
School
Building
Authority
Revenue
Bonds
(µ)
1,000
5.000
06/15/29
1,038
Upper
Darby
School
District
General
Obligation
Limited
(µ)
340
4.000
04/01/40
409
Upper
Darby
School
District
General
Obligation
Limited
(µ)
250
4.000
04/01/43
298
Upper
Darby
School
District
General
Obligation
Limited
(µ)
450
4.000
04/01/46
535
Upper
Merion
Area
School
District
General
Obligation
Limited
250
3.000
01/15/40
277
Warrior
Run
School
District/Montour
Northumberland
Union
County
General
Obligation
Limited
(µ)
530
4.000
09/01/37
591
West
Mifflin
School
District
General
Obligation
Limited
(µ)
1,000
5.000
04/01/28
1,219
West
Mifflin
School
District
General
Obligation
Limited
(µ)
3,045
4.000
04/01/30
3,522
Westmoreland
County
Industrial
Development
Authority
Revenue
Bonds
200
5.000
07/01/27
247
Westmoreland
County
Industrial
Development
Authority
Revenue
Bonds
80
5.000
07/01/28
101
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
320
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Westmoreland
County
Industrial
Development
Authority
Revenue
Bonds
210
5.000
07/01/29
272
Westmoreland
County
Industrial
Development
Authority
Revenue
Bonds
60
5.000
07/01/30
79
209,033
Puerto
Rico
-
2.6%
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited
(µ)
505
4.000
07/01/22
520
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited
(µ)
1,305
5.375
07/01/25
1,336
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited
(µ)
1,005
5.250
07/01/26
1,034
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited
(µ)
415
4.250
07/01/27
427
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited
(µ)
1,000
5.250
07/01/27
1,029
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited
(µ)
635
5.000
07/01/31
653
Commonwealth
of
Puerto
Rico
General
Obligation
Unlimited
(µ)
8,670
5.000
07/01/35
8,925
Puerto
Rico
Commonwealth
Aqueduct
&
Sewer
Authority
Revenue
Bonds
2,000
5.500
07/01/28
2,095
Puerto
Rico
Commonwealth
Aqueduct
&
Sewer
Authority
Revenue
Bonds
5,580
5.000
07/01/33
5,819
Puerto
Rico
Commonwealth
Aqueduct
&
Sewer
Authority
Revenue
Bonds
850
5.125
07/01/37
887
Puerto
Rico
Convention
Center
District
Authority
Revenue
Bonds
(µ)
345
5.000
07/01/31
353
Puerto
Rico
Convention
Center
District
Authority
Revenue
Bonds
(µ)
1,125
4.500
07/01/36
1,146
Puerto
Rico
Electric
Power
Authority
Revenue
Bonds
(µ)
385
4.000
07/01/23
386
Puerto
Rico
Electric
Power
Authority
Revenue
Bonds
(USD
3
Month
LIBOR
+
0.520%)(µ)(Ê)
8,820
1.480
07/01/29
8,218
Puerto
Rico
Electric
Power
Authority
Revenue
Bonds
(µ)
230
4.375
07/01/30
231
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
770
5.250
07/01/22
802
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
70
5.500
07/01/26
81
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
950
5.000
07/01/27
976
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
320
5.500
07/01/29
377
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
40
5.500
07/01/31
47
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
70
5.250
07/01/32
81
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
515
5.250
07/01/33
579
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
360
5.250
07/01/34
402
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
1,275
5.250
07/01/35
1,386
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
5,135
5.250
07/01/36
5,784
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
500
4.750
07/01/38
508
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
250
5.250
07/01/38
272
Puerto
Rico
Highway
&
Transportation
Authority
Revenue
Bonds
(µ)
250
5.250
07/01/41
287
Puerto
Rico
Infrastructure
Financing
Authority
Revenue
Bonds
(µ)
1,565
5.500
07/01/27
1,725
Puerto
Rico
Municipal
Finance
Agency
General
Obligation
Unlimited
(µ)
3,090
5.000
08/01/27
3,176
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
3,825
2.953
07/01/27
3,507
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
327
3.071
07/01/29
286
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
2,495
3.171
07/01/31
2,015
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
10,399
3.450
07/01/33
7,807
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
9,975
4.500
07/01/34
11,051
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
26,286
4.329
07/01/40
29,873
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax
Revenue
Bonds
1,175
4.550
07/01/40
1,352
105,433
Rhode
Island
-
0.3%
Providence
Public
Building
Authority
Revenue
Bonds
(µ)
500
5.875
06/15/26
502
Providence
Public
Building
Authority
Revenue
Bonds
(µ)
1,845
4.000
09/15/34
2,167
Rhode
Island
Health
&
Educational
Building
Corp.
Revenue
Bonds
600
5.000
09/01/22
632
Rhode
Island
Health
&
Educational
Building
Corp.
Revenue
Bonds
200
5.000
08/15/27
250
Rhode
Island
Health
&
Educational
Building
Corp.
Revenue
Bonds
2,495
5.000
05/15/28
2,949
Rhode
Island
Health
&
Educational
Building
Corp.
Revenue
Bonds
1,250
5.000
05/15/29
1,471
Rhode
Island
Health
&
Educational
Building
Corp.
Revenue
Bonds
(µ)
375
5.000
05/15/32
482
Rhode
Island
Health
&
Educational
Building
Corp.
Revenue
Bonds
(µ)
300
5.000
05/15/33
385
Rhode
Island
Health
&
Educational
Building
Corp.
Revenue
Bonds
(µ)
300
5.000
05/15/36
382
Rhode
Island
Health
and
Educational
Building
Corp.
Revenue
Bonds
(µ)
1,750
4.000
05/15/34
2,183
State
of
Rhode
Island
General
Obligation
Unlimited
2,000
4.000
04/01/34
2,394
13,797
South
Carolina
-
0.9%
Lee
County
School
Facilities,
Inc.
Revenue
Bonds
(µ)
1,050
4.000
12/01/27
1,254
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
321
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Orangeburg
County
Facilities
Corp.
Revenue
Bonds
1,140
5.000
12/01/27
1,434
Orangeburg
County
Facilities
Corp.
Revenue
Bonds
1,410
5.000
12/01/28
1,763
Orangeburg
County
Facilities
Corp.
Revenue
Bonds
1,560
5.000
12/01/30
1,929
Orangeburg
County
Facilities
Corp.
Revenue
Bonds
1,695
4.000
12/01/32
1,976
Orangeburg
County
Facilities
Corp.
Revenue
Bonds
1,165
4.000
12/01/33
1,355
Richland
County
School
District
No.
2
General
Obligation
Unlimited
100
5.000
03/01/22
103
South
Carolina
Economic
Development
Authority
Revenue
Bonds
(ae)
3,800
5.250
08/01/30
4,185
South
Carolina
Economic
Development
Authority
Revenue
Bonds
500
4.000
06/01/36
548
South
Carolina
Public
Service
Authority
Revenue
Bonds
3,500
5.000
12/01/30
3,991
South
Carolina
Public
Service
Authority
Revenue
Bonds
2,080
5.000
12/01/31
2,538
South
Carolina
Public
Service
Authority
Revenue
Bonds
200
5.000
12/01/34
228
South
Carolina
Public
Service
Authority
Revenue
Bonds
3,670
5.000
12/01/36
3,726
South
Carolina
Public
Service
Authority
Revenue
Bonds
1,750
4.000
12/01/37
2,105
South
Carolina
Transportation
Infrastructure
Bank
Revenue
Bonds
(USD
1
Month
LIBOR
+
0.450%)(ae)(Ê)
2,805
0.517
10/01/21
2,806
South
Carolina
Transportation
Infrastructure
Bank
Revenue
Bonds
(USD
1
Month
LIBOR
+
0.450%)(Ê)
40
0.517
10/01/31
41
Spartanburg
Regional
Health
Services
District
Revenue
Bonds
2,100
5.000
04/15/32
2,165
Sumter
Two
School
Facilities,
Inc.
Revenue
Bonds
(µ)
1,360
5.000
12/01/26
1,593
Williamsburg
County
Public
Facilities
Corp.
Revenue
Bonds
(µ)
500
4.000
06/01/31
615
Williamsburg
County
Public
Facilities
Corp.
Revenue
Bonds
(µ)
670
4.000
06/01/32
817
35,172
South
Dakota
-
0.0%
County
of
Lincoln
Revenue
Bonds
100
4.000
08/01/41
115
South
Dakota
Conservancy
District
Revenue
Bonds
730
5.000
08/01/32
938
South
Dakota
Health
&
Educational
Facilities
Authority
Revenue
Bonds
(~)(ae)(Ê)
500
5.000
07/01/33
561
1,614
Tennessee
-
0.6%
Chattanooga
Health
Educational
&
Housing
Facility
Board
Revenue
Bonds
600
5.000
10/01/26
697
Chattanooga
Health
Educational
&
Housing
Facility
Board
Revenue
Bonds
185
5.000
08/01/35
236
Chattanooga-Hamilton
County
Hospital
Authority
Revenue
Bonds
630
5.000
10/01/23
692
City
of
Memphis
General
Obligation
Limited
2,500
5.000
06/01/28
3,029
Greenville
Health
&
Educational
Facilities
Board
Revenue
Bonds
700
4.000
07/01/40
811
Knox
County
Health
Educational
&
Housing
Facility
Board
Revenue
Bonds
1,750
5.000
04/01/29
2,101
Memphis
Sanitary
Sewerage
System
Revenue
Bonds
1,025
5.000
10/01/27
1,256
Metropolitan
Government
Nashville
&
Davidson
County
Health
&
Educational
Facilities
Board
Revenue
Bonds
200
4.000
10/01/28
240
Metropolitan
Government
Nashville
&
Davidson
County
Health
&
Educational
Facilities
Board
Revenue
Bonds
210
4.000
10/01/30
248
Metropolitan
Government
Nashville
&
Davidson
County
Health
&
Educational
Facilities
Board
Revenue
Bonds
2,210
5.000
07/01/35
2,665
State
of
Tennessee
General
Obligation
Unlimited
5,000
5.000
09/01/34
6,281
Tennergy
Corp.
Natural
Gas
Revenue
Bonds
(~)(ae)(Ê)
2,440
5.000
02/01/50
2,776
Tennergy
Corp.
Revenue
Bonds
(~)(ae)(Ê)
225
4.000
09/01/28
271
Tennessee
Housing
Development
Agency
Revenue
Bonds
3,485
4.500
07/01/49
3,912
25,215
Texas
-
6.4%
Arlington
Higher
Education
Finance
Corp.
Revenue
Bonds
70
4.000
08/15/23
75
Arlington
Higher
Education
Finance
Corp.
Revenue
Bonds
50
5.000
08/15/23
54
Arlington
Higher
Education
Finance
Corp.
Revenue
Bonds
1,000
5.000
08/15/26
1,146
Arlington
Higher
Education
Finance
Corp.
Revenue
Bonds
450
5.000
12/01/27
555
Arlington
Higher
Education
Finance
Corp.
Revenue
Bonds
500
5.000
12/01/28
618
Arlington
Higher
Education
Finance
Corp.
Revenue
Bonds
225
4.000
08/15/32
282
Arlington
Higher
Education
Finance
Corp.
Revenue
Bonds
785
5.000
12/01/33
960
Arlington
Higher
Education
Finance
Corp.
Revenue
Bonds
650
5.000
12/01/34
795
Austin
Community
College
District
Public
Facility
Corp.
Revenue
Bonds
1,045
5.000
08/01/23
1,146
Austin
Community
College
District
Public
Facility
Corp.
Revenue
Bonds
1,115
5.000
08/01/24
1,274
Bexar
County
Health
Facilities
Development
Corp.
Revenue
Bonds
1,765
4.000
07/15/31
1,929
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
322
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Bexar
County
Health
Facilities
Development
Corp.
Revenue
Bonds
1,430
5.000
07/15/33
1,597
Brazoria
County
Toll
Road
Authority
Revenue
Bonds
225
5.000
03/01/32
275
Brazoria
County
Toll
Road
Authority
Revenue
Bonds
200
5.000
03/01/33
243
Central
Texas
Regional
Mobility
Authority
Revenue
Bonds
1,695
5.000
01/01/27
2,013
Central
Texas
Regional
Mobility
Authority
Revenue
Bonds
1,200
5.000
01/01/35
1,390
Central
Texas
Regional
Mobility
Authority
Revenue
Bonds
900
4.000
01/01/36
1,078
Central
Texas
Regional
Mobility
Authority
Revenue
Bonds
1,405
5.000
01/01/36
1,740
Central
Texas
Regional
Mobility
Authority
Revenue
Bonds
1,735
5.000
01/01/37
2,243
Central
Texas
Regional
Mobility
Authority
Revenue
Bonds
400
5.000
01/01/38
525
Central
Texas
Regional
Mobility
Authority
Revenue
Bonds
500
5.000
01/01/39
655
Central
Texas
Regional
Mobility
Authority
Revenue
Bonds
1,490
5.000
01/01/40
1,902
Central
Texas
Turnpike
System
Revenue
Bonds
(µ)
860
1.717
08/15/23
852
Central
Texas
Turnpike
System
Revenue
Bonds
500
5.000
08/15/23
549
Central
Texas
Turnpike
System
Revenue
Bonds
500
5.000
08/15/42
556
City
of
Arlington
Special
Tax
(µ)
1,785
5.000
02/15/34
2,171
City
of
Arlington
Special
Tax
(µ)
3,795
5.000
02/15/37
4,698
City
of
Austin
Electric
Utility
Revenue
Bonds
2,155
5.000
11/15/39
2,804
City
of
Celina
Special
Assessment
125
3.625
09/01/30
130
City
of
Celina
Special
Assessment
575
4.800
09/01/37
636
City
of
Celina
Special
Assessment
230
4.250
09/01/40
244
City
of
Corpus
Christi
Utility
System
Revenue
Bonds
1,720
5.000
07/15/22
1,800
City
of
Crandall
Special
Assessment
(Þ)
50
3.375
09/15/26
50
City
of
Crandall
Special
Assessment
(Þ)
100
4.000
09/15/31
101
City
of
Donna
Revenue
Bonds
(µ)
1,090
5.000
02/15/31
1,212
City
of
El
Paso
Water
&
Sewer
Revenue
Bonds
3,030
5.000
03/01/25
3,405
City
of
Elgin
General
Obligation
Limited
(µ)
200
4.000
07/15/32
247
City
of
Elgin
General
Obligation
Limited
(µ)
175
4.000
07/15/34
214
City
of
Elgin
General
Obligation
Limited
(µ)
280
4.000
07/15/37
340
City
of
Elgin
General
Obligation
Limited
(µ)
575
4.000
07/15/39
694
City
of
Elgin
General
Obligation
Limited
(µ)
315
4.000
07/15/40
379
City
of
Fort
Worth
Revenue
Bonds
2,050
5.250
03/01/36
2,313
City
of
Fort
Worth
Water
&
Sewer
System
Revenue
Bonds
6,045
3.000
02/15/35
6,826
City
of
Hackberry
Revenue
Bonds
1,710
4.625
09/01/37
1,909
City
of
Hackberry
Revenue
Bonds
1,350
4.500
09/01/38
1,535
City
of
Houston
Airport
System
Revenue
Bonds
1,660
5.000
07/01/30
2,118
City
of
Houston
Airport
System
Revenue
Bonds
1,655
5.000
07/01/32
2,106
City
of
Houston
Combined
Utility
System  Revenue
Bonds
(µ)
5,000
Zero
coupon
12/01/28
4,685
City
of
Houston
Hotel
Occupancy
Tax
&
Special
Revenue
Bonds
1,470
5.000
09/01/27
1,703
City
of
Houston
Hotel
Occupancy
Tax
&
Special
Revenue
Bonds
1,240
5.000
09/01/34
1,541
City
of
Justin
Special
Assessment
(Þ)
455
4.125
09/01/23
468
City
of
Justin
Special
Assessment
(Þ)
910
4.625
09/01/28
1,021
City
of
Mesquite
Special
Assessment
Revenue
Bonds
(Þ)
290
4.750
09/01/28
330
City
of
Mesquite
Special
Assessment
Revenue
Bonds
(Þ)
595
5.250
09/01/38
699
City
of
Midlothian
Special
Assessment
(Þ)
280
2.875
09/15/26
283
City
of
Mission
General
Obligation
Limited
(µ)
525
5.000
02/15/27
643
City
of
Mission
General
Obligation
Limited
(µ)
225
5.000
02/15/28
283
City
of
Mission
General
Obligation
Limited
(µ)
100
5.000
02/15/29
128
City
of
Princeton
Special
Assessment
(Þ)
250
2.750
09/01/25
256
City
of
Princeton
Special
Assessment
(Þ)
540
4.375
09/01/28
587
City
of
Princeton
Special
Assessment
(Þ)
129
3.000
09/01/31
131
City
of
Round
Rock
Utility
System
Revenue
Bonds
1,000
5.000
08/01/24
1,141
City
of
San
Antonio
Electric
&
Gas
Systems
Revenue
Bonds
4,715
5.000
02/01/26
5,682
City
of
San
Antonio
Electric
&
Gas
Systems
Revenue
Bonds
1,250
5.000
02/01/31
1,669
City
of
San
Antonio
Electric
&
Gas
Systems
Revenue
Bonds
(~)(ae)(Ê)
3,835
1.750
02/01/33
4,042
City
of
San
Antonio
Electric
&
Gas
Systems
Revenue
Bonds
1,200
4.000
02/01/34
1,379
City
of
San
Antonio
Electric
&
Gas
Systems
Revenue
Bonds
1,900
5.000
02/01/34
2,511
City
of
San
Antonio
Electric
&
Gas
Systems
Revenue
Bonds
1,190
5.000
02/01/35
1,567
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
323
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
City
of
Temple
Tax
Allocation
(µ)
225
4.000
08/01/32
270
City
of
Temple
Tax
Allocation
(µ)
235
4.000
08/01/34
280
City
of
Temple
Tax
Allocation
(µ)
210
4.000
08/01/35
249
City
of
Temple
Tax
Allocation
(µ)
200
4.000
08/01/37
237
City
of
Temple
Tax
Allocation
(µ)
220
4.000
08/01/39
259
City
of
Temple
Tax
Allocation
(µ)
170
4.000
08/01/41
200
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
375
4.000
08/15/30
461
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
170
5.000
08/15/30
226
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
100
5.000
08/15/31
135
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
365
3.000
08/15/32
419
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
255
3.000
08/15/33
291
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
655
3.000
08/15/34
740
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
675
3.000
08/15/35
760
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
325
3.000
08/15/36
364
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
1,500
4.000
08/15/36
1,771
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
725
3.000
08/15/37
809
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
1,500
4.000
08/15/37
1,768
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
380
3.000
08/15/38
424
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
780
3.000
08/15/39
865
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
930
3.000
08/15/40
1,028
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
960
3.000
08/15/41
1,058
Clifton
Higher
Education
Finance
Corp.
Revenue
Bonds
1,000
2.375
08/15/46
999
County
of
Harris
Revenue
Bonds
(USD
3
Month
LIBOR
+
0.670%)(µ)(Ê)
3,235
0.933
08/15/35
3,213
County
of
Kaufman
General
Obligation
Unlimited
500
4.000
02/15/36
603
County
of
Kaufman
General
Obligation
Unlimited
750
4.000
02/15/37
901
County
of
Kaufman
General
Obligation
Unlimited
895
4.000
02/15/39
1,070
Dallas
Independent
School
District
General
Obligation
Unlimited
1,590
5.000
08/15/32
1,823
Dallas/Fort
Worth
International
Airport
Revenue
Bonds
1,000
5.000
11/01/24
1,154
Dallas/Fort
Worth
International
Airport
Revenue
Bonds
3,410
5.000
11/01/27
3,617
Dallas/Fort
Worth
International
Airport
Revenue
Bonds
1,000
5.250
11/01/28
1,114
Dallas/Fort
Worth
International
Airport
Revenue
Bonds
2,000
5.250
11/01/29
2,225
Dallas/Fort
Worth
International
Airport
Revenue
Bonds
1,500
5.250
11/01/30
1,667
Decatur
Hospital
Authority
Revenue
Bonds
1,250
5.250
09/01/29
1,414
Grand
Parkway
Transportation
Corp.
Revenue
Bonds
315
5.000
10/01/35
413
Grand
Parkway
Transportation
Corp.
Revenue
Bonds
250
4.000
10/01/36
304
Grand
Parkway
Transportation
Corp.
Revenue
Bonds
1,000
4.000
10/01/37
1,213
Grand
Parkway
Transportation
Corp.
Revenue
Bonds
1,335
4.000
10/01/38
1,616
Greater
Texoma
Utility
Authority
Revenue
Bonds
(µ)
170
5.000
10/01/25
201
Harris
County
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
1,385
6.375
01/01/33
1,480
Harris
County
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
1,000
3.000
10/01/40
1,109
Harris
County
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
500
4.000
10/01/41
614
Harris
County
Toll
Road
Authority
(The)
Revenue
Bonds
1,500
4.000
08/15/33
1,873
Harris
County
Toll
Road
Authority
(The)
Revenue
Bonds
1,000
4.000
08/15/34
1,245
Harris
County
Toll
Road
Authority
(The)
Revenue
Bonds
1,000
4.000
08/15/35
1,243
Harris
County
Toll
Road
Authority
(The)
Revenue
Bonds
1,375
4.000
08/15/36
1,691
Harris
County-Houston
Sports
Authority
Revenue
Bonds
1,000
5.000
11/15/26
1,123
Harris
County-Houston
Sports
Authority
Revenue
Bonds
750
5.000
11/15/27
842
Harris
County-Houston
Sports
Authority
Revenue
Bonds
1,445
5.000
11/15/28
1,623
Harris
County-Houston
Sports
Authority
Revenue
Bonds
2,265
5.000
11/15/29
2,545
Harris
County-Houston
Sports
Authority
Revenue
Bonds
1,495
5.000
11/15/32
1,679
Houston
Higher
Education
Finance
Corp.
Revenue
Bonds
1,600
5.000
08/15/28
1,845
Houston
Higher
Education
Finance
Corp.
Revenue
Bonds
60
3.375
10/01/37
60
Hunt
Memorial
Hospital
District
Charitable
Health
General
Obligation
Limited
515
5.000
02/15/31
653
Hunt
Memorial
Hospital
District
Charitable
Health
General
Obligation
Limited
1,070
5.000
02/15/32
1,351
Hunt
Memorial
Hospital
District
Charitable
Health
General
Obligation
Limited
1,125
5.000
02/15/33
1,409
Karnes
County
Hospital
District
Revenue
Bonds
2,020
5.000
02/01/29
2,214
La
Joya
Independent
School
District
General
Obligation
Limited
(µ)
1,415
5.000
02/15/26
1,687
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
324
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
La
Joya
Independent
School
District
General
Obligation
Limited
(µ)
600
5.000
02/15/31
731
La
Joya
Independent
School
District
General
Obligation
Limited
(µ)
735
5.000
02/15/33
898
Lake
Houston
Redevelopment
Authority
Revenue
Bonds
200
5.000
09/01/27
247
Lake
Houston
Redevelopment
Authority
Revenue
Bonds
270
5.000
09/01/31
356
Lake
Houston
Redevelopment
Authority
Revenue
Bonds
250
4.000
09/01/36
301
Lake
Houston
Redevelopment
Authority
Revenue
Bonds
330
3.000
09/01/38
356
Leander
Independent
School
District
General
Obligation
Unlimited
(ae)
625
4.327
08/15/38
300
Leander
Independent
School
District
General
Obligation
Unlimited
(ae)
600
4.625
08/15/43
217
Leander
Independent
School
District
General
Obligation
Unlimited
(ae)
1,425
4.746
08/15/45
458
Lower
Colorado
River
Authority
Revenue
Bonds
2,000
5.500
05/15/31
2,184
Lubbock
Independent
School
District
General
Obligation
Unlimited
1,000
4.000
02/15/40
1,177
Matagorda
County
Navigation
District
No.
1
Revenue
Bonds
1,150
2.600
11/01/29
1,248
Midlothian
Industrial
Development
Corp.
Revenue
Bonds
(~)(Ê)
1,300
0.100
08/01/34
1,300
Mitchell
County
Hospital
District
General
Obligation
Limited
105
5.250
02/15/30
114
Mitchell
County
Hospital
District
General
Obligation
Limited
55
5.375
02/15/35
62
Montgomery
County
Toll
Road
Authority
Revenue
Bonds
1,650
5.000
09/15/30
1,901
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
650
5.000
04/01/22
670
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
180
4.625
04/01/23
193
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
(µ)
400
5.000
07/01/26
484
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
500
5.000
04/01/29
559
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
(µ)
150
4.000
07/01/31
174
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
(µ)
500
5.000
07/01/31
618
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
(µ)
130
4.000
07/01/32
151
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
(µ)
250
5.000
07/01/32
308
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
(µ)
300
5.000
07/01/33
370
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
1,750
5.000
04/01/34
1,956
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
1,160
5.000
04/01/35
1,385
New
Hope
Cultural
Education
Facilities
Finance
Corp.
Revenue
Bonds
(µ)
500
5.000
07/01/38
614
North
East
Texas
Regional
Mobility
Authority
Revenue
Bonds
1,935
5.000
01/01/31
2,248
North
Texas
Tollway
Authority
Revenue
Bonds
3,735
5.000
01/01/23
3,992
North
Texas
Tollway
Authority
Revenue
Bonds
700
5.000
01/01/25
812
North
Texas
Tollway
Authority
Revenue
Bonds
3,975
5.000
01/01/29
4,579
North
Texas
Tollway
Authority
Revenue
Bonds
1,000
5.000
01/01/32
1,214
North
Texas
Tollway
Authority
Revenue
Bonds
1,000
4.000
01/01/33
1,243
North
Texas
Tollway
Authority
Revenue
Bonds
1,000
4.000
01/01/34
1,238
North
Texas
Tollway
Authority
Revenue
Bonds
1,000
4.000
01/01/35
1,233
North
Texas
Tollway
Authority
Revenue
Bonds
1,350
4.000
01/01/36
1,656
North
Texas
Tollway
Authority
Revenue
Bonds
1,650
4.000
01/01/37
2,015
North
Texas
Tollway
Authority
Revenue
Bonds
1,250
4.000
01/01/38
1,522
North
Texas
Tollway
Authority
Revenue
Bonds
1,475
4.000
01/01/40
1,785
North
Texas
Tollway
Authority
Revenue
Bonds
225
4.000
01/01/41
271
Reagan
Hospital
District
of
Reagan
County
General
Obligation
Limited
500
5.000
02/01/29
543
Reagan
Hospital
District
of
Reagan
County
General
Obligation
Limited
2,500
5.000
02/01/34
2,695
Royse
City
Special
Assessment
(Þ)
155
3.125
09/15/25
159
Royse
City
Special
Assessment
(Þ)
175
4.125
09/15/39
191
Royse
City
Special
Assessment
(Þ)
100
4.125
09/15/40
107
San
Antonio
Water
System
Revenue
Bonds
(~)(ae)(Ê)
2,000
2.625
05/01/49
2,137
Southwest
Houston
Redevelopment
Authority
Tax
Allocation
(µ)
40
5.000
09/01/27
49
Southwest
Houston
Redevelopment
Authority
Tax
Allocation
(µ)
45
5.000
09/01/29
57
Southwest
Houston
Redevelopment
Authority
Tax
Allocation
(µ)
55
4.000
09/01/32
65
Southwest
Houston
Redevelopment
Authority
Tax
Allocation
(µ)
475
4.000
09/01/33
554
Southwest
Houston
Redevelopment
Authority
Tax
Allocation
(µ)
1,300
5.000
09/01/33
1,569
Southwest
Houston
Redevelopment
Authority
Tax
Allocation
(µ)
55
4.000
09/01/34
64
Southwest
Houston
Redevelopment
Authority
Tax
Allocation
(µ)
250
4.000
09/01/35
291
Southwest
Houston
Redevelopment
Authority
Tax
Allocation
(µ)
85
4.000
09/01/36
99
Southwest
Houston
Redevelopment
Authority
Tax
Allocation
(µ)
800
4.000
09/01/37
926
State
of
Texas
General
Obligation
Unlimited
(ae)
235
5.000
10/01/21
237
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
325
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Texas
Municipal
Gas
Acquisition
&
Supply
Corp.
I
Revenue
Bonds
2,950
6.250
12/15/26
3,478
Texas
Municipal
Gas
Acquisition
&
Supply
Corp.
II
Revenue
Bonds
(SIFMA
Municipal
Swap
Index
+
0.550%)(Ê)
1,360
0.670
09/15/27
1,369
Texas
Municipal
Gas
Acquisition
and
Supply
Corp.
III
Revenue
Bonds
1,000
5.000
12/15/22
1,064
Texas
Municipal
Gas
Acquisition
and
Supply
Corp.
III
Revenue
Bonds
1,250
5.000
12/15/23
1,388
Texas
Municipal
Gas
Acquisition
and
Supply
Corp.
III
Revenue
Bonds
1,000
5.000
12/15/28
1,284
Texas
Municipal
Gas
Acquisition
and
Supply
Corp.
III
Revenue
Bonds
4,000
5.000
12/15/31
5,423
Texas
Municipal
Power
Agency
Revenue
Bonds
(µ)
790
3.000
09/01/34
855
Texas
Municipal
Power
Agency
Revenue
Bonds
(µ)
2,900
3.000
09/01/38
3,114
Texas
Municipal
Power
Agency
Revenue
Bonds
(µ)
1,795
3.000
09/01/40
1,921
Texas
Private
Activity
Bond
Surface
Transportation
Corp.
Revenue
Bonds
300
5.000
12/31/30
390
Texas
Private
Activity
Bond
Surface
Transportation
Corp.
Revenue
Bonds
3,000
4.000
06/30/32
3,668
Texas
Private
Activity
Bond
Surface
Transportation
Corp.
Revenue
Bonds
1,450
4.000
12/31/32
1,770
Texas
Private
Activity
Bond
Surface
Transportation
Corp.
Revenue
Bonds
3,500
5.000
12/31/33
4,505
Texas
Private
Activity
Bond
Surface
Transportation
Corp.
Revenue
Bonds
3,500
5.000
12/31/34
4,491
Texas
Private
Activity
Bond
Surface
Transportation
Corp.
Revenue
Bonds
2,325
5.000
12/31/36
2,971
Texas
Private
Activity
Bond
Surface
Transportation
Corp.
Revenue
Bonds
505
4.000
12/31/39
595
Texas
Public
Finance
Authority
Revenue
Bonds
125
5.000
05/01/28
156
Texas
Public
Finance
Authority
Revenue
Bonds
210
5.000
05/01/29
269
Town
of
Flower
Mound
Special
Assessment
(Þ)
750
3.250
09/01/31
759
Town
of
Flower
Mound
Special
Assessment
(Þ)
800
3.500
09/01/36
812
University
of
Texas
Revenue
Bonds
1,315
5.000
08/15/26
1,615
Uptown
Development
Authority
Tax
Allocation
500
5.000
09/01/31
661
Uptown
Development
Authority
Tax
Allocation
50
4.000
09/01/33
60
Uptown
Development
Authority
Tax
Allocation
150
3.000
09/01/34
164
Uptown
Development
Authority
Tax
Allocation
820
5.000
09/01/35
948
Viridian
Municipal
Management
District
General
Obligation
Unlimited
(µ)
500
6.000
12/01/32
588
Viridian
Municipal
Management
District
General
Obligation
Unlimited
(µ)
995
6.000
12/01/33
1,171
Viridian
Municipal
Management
District
Special
Assessment
266
3.000
12/01/22
270
Viridian
Municipal
Management
District
Special
Assessment
250
2.375
12/01/25
255
Viridian
Municipal
Management
District
Special
Assessment
748
3.750
12/01/27
812
Viridian
Municipal
Management
District
Special
Assessment
2,013
4.125
12/01/37
2,159
255,448
Utah
-
1.0%
Alpine
School
District
General
Obligation
Unlimited
8,000
5.000
03/15/22
8,245
City
of
Lehi
Sales
Tax
Revenue
Bonds
500
4.000
06/01/33
589
Ogden
City
School
District
Municipal
Building
Authority
Revenue
Bonds
225
5.000
01/15/28
281
Utah
Associated
Municipal
Power
Systems
Revenue
Bonds
205
5.000
09/01/31
253
Utah
Infrastructure
Agency
Revenue
Bonds
100
4.000
10/15/24
111
Utah
Infrastructure
Agency
Revenue
Bonds
100
4.000
10/15/25
113
Utah
Infrastructure
Agency
Revenue
Bonds
135
5.000
10/15/26
163
Utah
Infrastructure
Agency
Revenue
Bonds
1,505
5.000
10/15/27
1,867
Utah
Infrastructure
Agency
Revenue
Bonds
130
5.000
10/15/28
164
Utah
Infrastructure
Agency
Revenue
Bonds
4,260
5.000
10/15/29
5,215
Utah
Infrastructure
Agency
Revenue
Bonds
155
5.000
10/15/30
193
Utah
Infrastructure
Agency
Revenue
Bonds
1,650
5.000
10/15/32
1,989
Utah
Infrastructure
Agency
Revenue
Bonds
1,185
4.000
10/15/33
1,395
Utah
Infrastructure
Agency
Revenue
Bonds
1,785
5.250
10/15/33
2,171
Utah
Infrastructure
Agency
Revenue
Bonds
380
4.000
10/15/34
446
Utah
Infrastructure
Agency
Revenue
Bonds
1,000
5.000
10/15/34
1,198
Utah
Infrastructure
Agency
Revenue
Bonds
500
4.000
10/15/36
583
Utah
Infrastructure
Agency
Revenue
Bonds
1,215
5.000
10/15/40
1,444
Utah
State
Charter
School
Finance
Authority
Revenue
Bonds
275
4.000
10/15/26
316
Utah
State
Charter
School
Finance
Authority
Revenue
Bonds
285
4.000
10/15/27
335
Utah
State
Charter
School
Finance
Authority
Revenue
Bonds
300
4.000
10/15/28
356
Utah
State
Charter
School
Finance
Authority
Revenue
Bonds
310
4.000
10/15/29
373
Utah
State
Charter
School
Finance
Authority
Revenue
Bonds
1,020
4.000
04/15/30
1,221
Utah
State
Charter
School
Finance
Authority
Revenue
Bonds
525
4.000
04/15/33
608
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
326
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Utah
State
Charter
School
Finance
Authority
Revenue
Bonds
1,215
5.000
10/15/33
1,317
Utah
State
Charter
School
Finance
Authority
Revenue
Bonds
460
5.000
04/15/34
566
Utah
State
Charter
School
Finance
Authority
Revenue
Bonds
1,110
4.000
04/15/35
1,325
Utah
State
Charter
School
Finance
Authority
Revenue
Bonds
1,435
4.000
04/15/40
1,686
Utah
Transit
Authority
Revenue
Bonds
(µ)
2,000
5.250
06/15/32
2,766
Utah
Transit
Authority
Revenue
Bonds
1,860
5.000
12/15/35
2,342
39,631
Vermont
-
0.1%
City
of
Burlington
Airport
Revenue
Bonds
(µ)
335
5.000
07/01/24
366
Vermont
Housing
Finance
Agency
Revenue
Bonds
1,783
4.750
11/01/48
1,979
Vermont
Municipal
Bond
Bank
Revenue
Bonds
1,150
4.000
10/01/31
1,406
3,751
Virgin
Islands
-
0.2%
Virgin
Islands
Public
Finance
Authority
Revenue
Bonds
2,670
5.000
10/01/25
2,676
Virgin
Islands
Public
Finance
Authority
Revenue
Bonds
2,385
5.000
10/01/29
2,392
Virgin
Islands
Public
Finance
Authority
Revenue
Bonds
760
6.625
10/01/29
766
Virgin
Islands
Public
Finance
Authority
Revenue
Bonds
(µ)
1,680
5.000
10/01/32
1,753
Virgin
Islands
Public
Finance
Authority
Revenue
Bonds
1,290
6.750
10/01/37
1,300
8,887
Virginia
-
0.7%
Ballston
Quarter
Community
Development
Authority
Tax
Allocation
500
5.000
03/01/26
489
Ballston
Quarter
Community
Development
Authority
Tax
Allocation
1,000
5.125
03/01/31
960
Chesapeake
Bay
Bridge
&
Tunnel
District
Revenue
Bonds
3,090
5.000
11/01/23
3,414
Chesapeake
Economic
Development
Authority
Pollution
Control
Revenue
Bonds
(~)(ae)(Ê)
300
1.900
02/01/32
307
Chesapeake
Hospital
Authority
Revenue
Bonds
800
4.000
07/01/35
949
Chesapeake
Hospital
Authority
Revenue
Bonds
775
4.000
07/01/36
917
Chesapeake
Hospital
Authority
Revenue
Bonds
1,205
4.000
07/01/37
1,421
City
of
Newport
News
General
Obligation
Unlimited
255
3.000
02/01/27
289
City
of
Newport
News
General
Obligation
Unlimited
250
3.000
02/01/28
286
City
of
Newport
News
General
Obligation
Unlimited
250
3.000
02/01/29
290
City
of
Newport
News
General
Obligation
Unlimited
250
3.000
02/01/30
292
City
of
Newport
News
General
Obligation
Unlimited
250
3.000
02/01/31
295
City
of
Newport
News
General
Obligation
Unlimited
250
4.000
02/01/32
325
City
of
Newport
News
General
Obligation
Unlimited
250
4.000
02/01/33
330
City
of
Richmond
\Public
Utility
Revenue
Bonds
115
5.000
01/15/22
117
County
of
Fairfax
General
Obligation
Unlimited
175
4.000
10/01/22
183
County
of
Fairfax
Sewer
Revenue
Bonds
1,000
4.000
07/15/40
1,249
County
of
Fairfax
Sewer
Revenue
Bonds
1,000
4.000
07/15/41
1,246
County
of
Fairfax
Sewer
Revenue
Bonds
1,000
4.000
07/15/42
1,242
Farmville
Industrial
Development
Authority
Revenue
Bonds
1,255
5.000
01/01/32
1,560
Farmville
Industrial
Development
Authority
Revenue
Bonds
1,315
5.000
01/01/33
1,630
Louisa
Industrial
Development
Authority
Pollution
Control
Revenue
Bonds
(~)(ae)
(Ê)
350
1.800
11/01/35
354
Louisa
Industrial
Development
Authority
Pollution
Control
Revenue
Bonds
(~)(ae)
(Ê)
175
1.900
11/01/35
180
Norfolk
Airport
Authority
Revenue
Bonds
650
4.000
07/01/23
698
Norfolk
Airport
Authority
Revenue
Bonds
380
4.000
07/01/25
434
Peninsula
Ports
Authority
Revenue
Bonds
(~)(ae)(Ê)
350
1.700
10/01/33
356
Rockingham
County
Economic
Development
Authority
Revenue
Bonds
1,045
4.000
12/01/29
1,283
Rockingham
County
Economic
Development
Authority
Revenue
Bonds
1,085
4.000
12/01/30
1,322
Rockingham
County
Economic
Development
Authority
Revenue
Bonds
1,135
4.000
12/01/31
1,374
Salem
Economic
Development
Authority
Revenue
Bonds
45
5.000
04/01/26
53
Salem
Economic
Development
Authority
Revenue
Bonds
45
5.000
04/01/27
54
Salem
Economic
Development
Authority
Revenue
Bonds
50
5.000
04/01/28
62
Salem
Economic
Development
Authority
Revenue
Bonds
55
5.000
04/01/29
69
Salem
Economic
Development
Authority
Revenue
Bonds
45
5.000
04/01/30
58
Salem
Economic
Development
Authority
Revenue
Bonds
90
5.000
04/01/31
114
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
327
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Salem
Economic
Development
Authority
Revenue
Bonds
35
5.000
04/01/32
44
Salem
Economic
Development
Authority
Revenue
Bonds
80
5.000
04/01/33
101
Salem
Economic
Development
Authority
Revenue
Bonds
50
5.000
04/01/34
63
Salem
Economic
Development
Authority
Revenue
Bonds
110
5.000
04/01/35
138
Salem
Economic
Development
Authority
Revenue
Bonds
55
5.000
04/01/36
69
Salem
Economic
Development
Authority
Revenue
Bonds
125
5.000
04/01/37
156
Salem
Economic
Development
Authority
Revenue
Bonds
55
4.000
04/01/39
63
Salem
Economic
Development
Authority
Revenue
Bonds
35
4.000
04/01/40
40
Virginia
College
Building
Authority
Revenue
Bonds
125
5.000
06/01/22
130
Virginia
College
Building
Authority
Revenue
Bonds
125
5.000
06/01/23
136
Virginia
College
Building
Authority
Revenue
Bonds
25
5.000
06/01/28
31
Virginia
College
Building
Authority
Revenue
Bonds
50
5.000
06/01/29
64
Virginia
College
Building
Authority
Revenue
Bonds
50
5.000
06/01/30
65
Virginia
College
Building
Authority
Revenue
Bonds
(Þ)
710
5.250
07/01/30
790
Virginia
College
Building
Authority
Revenue
Bonds
200
5.000
06/01/31
265
Virginia
College
Building
Authority
Revenue
Bonds
125
4.000
06/01/36
149
Virginia
Commonwealth
Transportation
Board
Revenue
Bonds
(ae)
485
4.000
03/15/25
497
Virginia
Resources
Authority
Revenue
Bonds
150
5.000
11/01/21
152
Virginia
Small
Business
Financing
Authority
Revenue
Bonds
1,400
4.000
01/01/45
1,590
York
County
Economic
Development
Authority
Pollution
Control
Revenue
Bonds
(~)(ae)(Ê)
550
1.900
05/01/33
564
29,309
Washington
-
1.4%
Auburn
School
District
No.
408
of
King
&
Pierce
Counties
General
Obligation
Unlimited
1,225
4.000
12/01/34
1,464
Auburn
School
District
No.
408
of
King
&
Pierce
Counties
General
Obligation
Unlimited
1,140
4.000
12/01/36
1,361
City
of
Seattle
Drainage
&
Wastewater
Revenue
Bonds
1,625
4.000
07/01/35
1,908
City
of
Seattle
Municipal
Light
&
Power
Revenue
Bonds
1,360
4.000
07/01/36
1,705
City
of
Seattle
Municipal
Light
&
Power
Revenue
Bonds
1,390
4.000
07/01/37
1,734
City
of
Seattle
Municipal
Light
&
Power
Revenue
Bonds
1,000
4.000
07/01/39
1,235
County
of
King
Sewer
Revenue
Bonds
3,085
5.000
01/01/28
3,299
Energy
Northwest
Revenue
Bonds
105
5.000
07/01/22
110
Greater
Wenatchee
Regional
Events
Center
Public
Facilities
District
Revenue
Bonds
1,000
4.500
09/01/22
1,036
King
County
School
District
No.
210
Federal
Way
General
Obligation
Unlimited
2,000
4.000
12/01/35
2,390
King
County
School
District
No.
412
Shoreline
General
Obligation
Unlimited
2,000
4.000
12/01/36
2,432
King
County
School
District
No.
414
Lake
Washington
General
Obligation
Unlimited
650
5.000
12/01/34
821
Klickitat
County
Public
Utility
District
No.
1
Revenue
Bonds
(µ)
830
5.000
12/01/30
1,085
Klickitat
County
Public
Utility
District
No.
1
Revenue
Bonds
(µ)
900
5.000
12/01/31
1,173
Port
of
Seattle
Revenue
Bonds
1,285
5.000
03/01/23
1,384
Port
of
Seattle
Revenue
Bonds
2,480
5.000
08/01/30
2,598
Spokane
Public
Facilities
District
Revenue
Bonds
970
5.000
12/01/34
1,130
State
of
Washington
General
Obligation
Unlimited
7,835
5.000
02/01/25
9,138
State
of
Washington
General
Obligation
Unlimited
5,205
5.000
07/01/29
6,245
Washington
Health
Care
Facilities
Authority
Revenue
Bonds
2,300
5.000
08/15/29
2,783
Washington
Health
Care
Facilities
Authority
Revenue
Bonds
700
5.000
07/01/30
790
Washington
Health
Care
Facilities
Authority
Revenue
Bonds
225
5.000
08/01/35
287
Washington
Health
Care
Facilities
Authority
Revenue
Bonds
535
5.000
08/01/36
682
Washington
Health
Care
Facilities
Authority
Revenue
Bonds
285
5.000
08/01/37
362
Washington
Health
Care
Facilities
Authority
Revenue
Bonds
285
5.000
08/01/38
362
Washington
Health
Care
Facilities
Authority
Revenue
Bonds
1,625
5.000
10/01/38
2,107
Washington
Health
Care
Facilities
Authority
Revenue
Bonds
(~)(ae)(Ê)
715
5.000
08/01/49
854
Washington
State
Convention
Center
Public
Facilities
District
Revenue
Bonds
1,295
5.000
07/01/37
1,647
Washington
State
Housing
Finance
Commission
Revenue
Bonds
(Þ)
1,500
2.375
01/01/26
1,501
Washington
State
Housing
Finance
Commission
Revenue
Bonds
2,395
4.000
12/01/48
2,634
56,257
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
328
Tax-Exempt
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
West
Virginia
-
0.3%
State
of
West
Virginia
General
Obligation
Unlimited
855
5.000
06/01/35
1,112
State
of
West
Virginia
General
Obligation
Unlimited
1,600
5.000
12/01/36
2,074
West
Virginia
Hospital
Finance
Authority
Revenue
Bonds
2,380
5.000
01/01/28
2,976
West
Virginia
Hospital
Finance
Authority
Revenue
Bonds
425
5.000
09/01/29
546
West
Virginia
Hospital
Finance
Authority
Revenue
Bonds
480
5.000
09/01/30
610
West
Virginia
Hospital
Finance
Authority
Revenue
Bonds
400
5.000
09/01/31
505
West
Virginia
Hospital
Finance
Authority
Revenue
Bonds
300
5.000
09/01/32
376
West
Virginia
Hospital
Finance
Authority
Revenue
Bonds
230
5.000
01/01/33
289
West
Virginia
Hospital
Finance
Authority
Revenue
Bonds
270
5.000
01/01/34
338
West
Virginia
Hospital
Finance
Authority
Revenue
Bonds
325
5.000
01/01/35
406
West
Virginia
Hospital
Finance
Authority
Revenue
Bonds
670
5.000
01/01/36
834
10,066
Wisconsin
-
1.0%
City
of
Racine
Waterworks
System
Revenue
Bonds
(µ)
785
5.000
09/01/28
992
City
of
Racine
Waterworks
System
Revenue
Bonds
(µ)
1,170
5.000
09/01/29
1,472
City
of
Racine
Waterworks
System
Revenue
Bonds
(µ)
1,590
4.000
09/01/37
1,830
Public
Finance
Authority
Revenue
Bonds
295
5.000
10/01/24
330
Public
Finance
Authority
Revenue
Bonds
(µ)
30
4.000
07/01/26
35
Public
Finance
Authority
Revenue
Bonds
125
3.000
12/01/26
135
Public
Finance
Authority
Revenue
Bonds
(µ)
30
4.000
07/01/27
36
Public
Finance
Authority
Revenue
Bonds
(µ)
30
4.000
07/01/28
36
Public
Finance
Authority
Revenue
Bonds
(µ)
30
4.000
07/01/29
36
Public
Finance
Authority
Revenue
Bonds
(Þ)
1,250
5.125
11/15/29
1,363
Public
Finance
Authority
Revenue
Bonds
860
4.000
01/01/30
991
Public
Finance
Authority
Revenue
Bonds
(µ)
35
4.000
07/01/30
42
Public
Finance
Authority
Revenue
Bonds
(µ)
45
4.000
07/01/31
53
Public
Finance
Authority
Revenue
Bonds
450
4.000
12/01/31
547
Public
Finance
Authority
Revenue
Bonds
(µ)
55
4.000
07/01/32
65
Public
Finance
Authority
Revenue
Bonds
(µ)
25
4.000
07/01/33
29
Public
Finance
Authority
Revenue
Bonds
(µ)
20
4.000
07/01/34
23
Public
Finance
Authority
Revenue
Bonds
(Þ)
170
4.500
01/01/35
196
Public
Finance
Authority
Revenue
Bonds
(µ)
20
4.000
07/01/35
23
Public
Finance
Authority
Revenue
Bonds
335
5.000
07/01/35
438
Public
Finance
Authority
Revenue
Bonds
(Þ)
115
5.000
12/01/35
134
Public
Finance
Authority
Revenue
Bonds
(µ)
30
4.000
07/01/36
35
Public
Finance
Authority
Revenue
Bonds
40
5.000
07/01/36
52
Public
Finance
Authority
Revenue
Bonds
(µ)
280
4.000
07/01/37
325
Public
Finance
Authority
Revenue
Bonds
310
5.000
07/01/37
402
Public
Finance
Authority
Revenue
Bonds
600
4.000
11/15/37
709
Public
Finance
Authority
Revenue
Bonds
(µ)
335
4.000
07/01/38
387
Public
Finance
Authority
Revenue
Bonds
40
5.000
07/01/38
52
Public
Finance
Authority
Revenue
Bonds
(µ)
335
4.000
07/01/39
386
Public
Finance
Authority
Revenue
Bonds
40
5.000
07/01/39
52
Public
Finance
Authority
Revenue
Bonds
(µ)
35
4.000
07/01/40
40
Public
Finance
Authority
Revenue
Bonds
40
5.000
07/01/40
52
Public
Finance
Authority
Revenue
Bonds
40
5.000
07/01/41
51
State
of
Wisconsin
Clean
Water
Fund
Leveraged
Loan
Portfolio
Revenue
Bonds
(ae)
5,000
5.000
06/01/26
5,678
Wisconsin
Department
of
Transportation
Revenue
Bonds
5,950
5.000
07/01/22
6,219
Wisconsin
Health
&
Educational
Facilities
Authority
Revenue
Bonds
50
4.000
03/15/30
58
Wisconsin
Health
&
Educational
Facilities
Authority
Revenue
Bonds
(µ)
1,600
5.000
02/15/32
2,093
Wisconsin
Health
&
Educational
Facilities
Authority
Revenue
Bonds
(µ)
1,000
5.000
02/15/33
1,304
Wisconsin
Health
&
Educational
Facilities
Authority
Revenue
Bonds
(µ)
1,500
4.000
02/15/34
1,807
Wisconsin
Health
&
Educational
Facilities
Authority
Revenue
Bonds
(µ)
1,500
4.000
02/15/35
1,804
Wisconsin
Health
&
Educational
Facilities
Authority
Revenue
Bonds
(µ)
1,590
4.000
02/15/36
1,905
Wisconsin
Health
&
Educational
Facilities
Authority
Revenue
Bonds
640
5.000
07/01/38
762
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
329
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Rate
%
Date
of
Maturity
Fair
Value
$
Wisconsin
Health
&
Educational
Facilities
Authority
Revenue
Bonds
(SIFMA
Municipal
Swap
Index
+
0.650%)(ae)(Ê)
4,150
0.770
08/15/54
4,184
Wisconsin
Rapids
School
District
Revenue
Notes
2,750
2.000
01/06/22
2,755
39,918
Wyoming
-
0.1%
County
of
Campbell
Wastewater
Facilities
Revenue
Bonds
4,010
3.625
07/15/39
4,358
Total
Municipal
Bonds
(cost
$3,549,016)
3,766,120
Short-Term
Investments
-
5.6
%
U.S.
Cash
Management
Fund
(@)
223,646,192
(∞)
223,601
Total
Short-Term
Investments
(cost
$223,601)
223,601
Total
Investments
-
99.3%
(identified
cost
$3,772,617)
3,989,721
Other
Assets
and
Liabilities,
Net
-
0.7%
28,277
Net
Assets
-
100.0%
4,017,998
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
330
Tax-Exempt
Bond
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
1.5%
Arizona
Industrial
Development
Authority
Revenue
Bonds
04/15/21
265,000
102
.62
272
283
Artisan
Lakes
East
Community
Development
District
Special
Assessment
06/17/21
605,000
100
.00
605
608
Astonia
Community
Development
District
Special
Assessment
07/09/21
200,000
100
.00
200
200
Astonia
Community
Development
District
Special
Assessment
07/09/21
250,000
100
.00
250
250
Babcock
Ranch
Community
Independent
Special
District
Special
Assessment
06/09/21
125,000
100
.00
125
125
Babcock
Ranch
Community
Independent
Special
District
Special
Assessment
06/09/21
250,000
100
.00
250
252
California
Health
Facilities
Financing
Authority
Revenue
Bonds
05/27/21
875,000
100
.00
875
888
California
School
Finance
Authority
Revenue
Bonds
04/29/21
260,000
102
.14
266
267
California
School
Finance
Authority
Revenue
Bonds
04/29/21
295,000
103
.10
304
308
California
School
Finance
Authority
Revenue
Bonds
04/29/21
215,000
107
.83
232
236
California
School
Finance
Authority
Revenue
Bonds
07/21/21
100,000
117
.13
117
117
California
Statewide
Communities
Development
Authority
Revenue
Bonds
09/22/17
2,630,000
99
.22
2,610
2,937
California
Statewide
Communities
Development
Authority
Revenue
Bonds
08/08/18
350,000
107
.98
378
427
Capital
Trust
Agency,
Inc.
Revenue
Bonds
07/17/20
120,000
100
.00
120
139
Capital
Trust
Agency,
Inc.
Revenue
Bonds
08/10/20
500,000
98
.51
493
589
Capital
Trust
Agency,
Inc.
Revenue
Bonds
12/03/20
1,000,000
106
.26
1,063
1,193
Celebration
Pointe
Community
Development
District
Special
Assessment
05/16/17
90,000
100
.22
90
91
Chester
County
Industrial
Development
Authority
Special
Assessment
08/16/18
275,000
99
.29
273
310
Chicago
Board
of
Education
General
Obligation
Unlimited
07/11/17
5,000,000
94
.20
4,710
6,686
City
of
Crandall
Special
Assessment
06/08/21
50,000
100
.00
50
50
City
of
Crandall
Special
Assessment
06/08/21
100,000
100
.00
100
101
City
of
Justin
Special
Assessment
03/27/18
910,000
100
.00
910
1,021
City
of
Justin
Special
Assessment
03/27/18
455,000
100
.00
455
468
City
of
Mesquite
Special
Assessment
Revenue
Bonds
09/05/18
595,000
100
.00
595
699
City
of
Mesquite
Special
Assessment
Revenue
Bonds
09/05/18
290,000
100
.00
290
330
City
of
Midlothian
Special
Assessment
03/24/21
280,000
100
.00
280
283
City
of
Princeton
Special
Assessment
04/24/18
540,000
100
.00
540
587
City
of
Princeton
Special
Assessment
10/02/20
250,000
101
.58
254
256
City
of
Princeton
Special
Assessment
05/25/21
129,000
100
.00
129
130
City
of
Scranton
General
Obligation
Unlimited
08/30/17
1,815,000
100
.17
1,818
1,820
City
of
Scranton
General
Obligation
Unlimited
08/30/17
1,925,000
102
.01
1,964
1,995
City
of
Sparks
Tourism
Improvement
District
1
Revenue
Bonds
12/11/19
895,000
100
.00
895
936
City
of
Sparks
Tourism
Improvement
District
1
Revenue
Bonds
12/11/19
1,390,000
100
.00
1,390
1,416
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
07/22/20
100,000
100
.00
100
101
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
07/22/20
100,000
100
.00
100
102
Connecticut
State
Health
&
Educational
Facilities
Authority
Revenue
Bonds
07/22/20
100,000
107
.62
108
115
Copper
Oaks
Community
Development
District
Special
Assessment
06/03/21
770,000
100
.42
773
786
Copper
Oaks
Community
Development
District
Special
Assessment
06/03/21
681,000
101
.69
693
702
Corkscrew
Farms
Community
Development
District
Special
Assessment
12/13/17
185,000
100
.00
185
202
Corkscrew
Farms
Community
Development
District
Special
Assessment
12/13/17
40,000
100
.00
40
41
Dauphin
County
General
Authority
Revenue
Bonds
07/13/17
1,750,000
99
.94
1,749
1,777
Dauphin
County
General
Authority
Revenue
Bonds
12/21/20
700,000
100
.00
700
766
Denver
Health
&
Hospital
Authority
Revenue
Bonds
11/14/17
1,000,000
110
.83
1,108
1,222
Denver
Urban
Renewal
Authority
Tax
Allocation
10/11/18
1,600,000
99
.18
1,590
1,759
District
of
Columbia
Revenue
Bonds
01/29/21
250,000
114
.07
285
300
Downtown
Doral
South
Community
Development
District
Special
Assessment
09/10/18
310,000
100
.00
310
319
DW
Bayview
Community
Development
District
Special
Assessment
02/05/21
50,000
100
.00
50
50
DW
Bayview
Community
Development
District
Special
Assessment
02/05/21
60,000
100
.00
60
61
Eagle
Pointe
Community
Development
District
Special
Assessment
07/15/20
60,000
99
.39
60
64
Eagle
Pointe
Community
Development
District
Special
Assessment
07/15/20
35,000
99
.82
35
36
East
Bonita
Beach
Road
Community
Development
District
Special
Assessment
08/29/18
70,000
100
.00
70
72
East
Bonita
Beach
Road
Community
Development
District
Special
Assessment
08/29/18
340,000
99
.82
339
375
Florida
Development
Finance
Corp.
Revenue
Bonds
06/20/19
100,000
107
.35
107
113
Florida
Development
Finance
Corp.
Revenue
Bonds
06/20/19
125,000
112
.15
140
149
Florida
Development
Finance
Corp.
Revenue
Bonds
06/20/19
100,000
113
.38
113
120
Florida
Development
Finance
Corp.
Revenue
Bonds
10/21/20
225,000
103
.01
232
270
Florida
Development
Finance
Corp.
Revenue
Bonds
07/23/21
610,000
100
.00
610
611
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
331
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Florida
Development
Finance
Corp.
Revenue
Bonds
07/23/21
100,000
113
.23
113
114
Florida
Higher
Educational
Facilities
Financing
Authority
Revenue
Bonds
06/08/18
800,000
100
.47
804
957
Florida
Higher
Educational
Facilities
Financing
Authority
Revenue
Bonds
06/08/18
150,000
100
.71
151
180
Harmony
West
Community
Development
District
Special
Assessment
06/19/18
620,000
100
.00
620
728
Harmony
West
Community
Development
District
Special
Assessment
06/19/18
420,000
100
.00
420
465
Harmony
West
Community
Development
District
Special
Assessment
06/19/18
195,000
100
.00
195
202
Hills
Minneola
Community
Development
District
Special
Assessment
07/16/20
140,000
100
.00
140
150
Hills
Minneola
Community
Development
District
Special
Assessment
07/16/20
180,000
100
.00
180
185
Illinois
Finance
Authority
Revenue
Bonds
07/01/21
445,000
114
.26
508
513
Illinois
Finance
Authority
Revenue
Bonds
07/01/21
300,000
114
.36
343
345
Illinois
Finance
Authority
Revenue
Bonds
07/01/21
440,000
114
.74
505
510
Illinois
Finance
Authority
Revenue
Bonds
07/01/21
500,000
115
.16
576
580
Illinois
Finance
Authority
Revenue
Bonds
07/01/21
340,000
115
.23
392
395
K-Bar
Ranch
II
Community
Development
District
Special
Assessment
12/19/17
345,000
100
.00
345
367
Kingman
Gate
Community
Development
District
Special
Assessment
03/03/21
250,000
100
.00
250
258
Kingman
Gate
Community
Development
District
Special
Assessment
03/03/21
200,000
100
.00
200
202
Massachusetts
Development
Finance
Agency
Revenue
Bonds
10/31/18
315,000
100
.00
315
326
Massachusetts
Development
Finance
Agency
Revenue
Bonds
10/31/18
300,000
102
.95
309
346
McJunkin
Parkland
Community
Development
District
Special
Assessment
11/01/18
520,000
100
.00
520
595
Naples
Reserve
Community
Development
District
Special
Assessment
05/10/18
535,000
99
.49
532
595
Nevada
Department
of
Business
&
Industry
Revenue
Bonds
08/31/17
85,000
100
.00
85
86
Nevada
Department
of
Business
&
Industry
Revenue
Bonds
08/31/17
340,000
105
.25
358
386
Nevada
Department
of
Business
&
Industry
Revenue
Bonds
04/06/18
640,000
100
.00
640
715
New
York
Liberty
Development
Corp.
Revenue
Bonds
07/07/20
645,000
104
.99
677
715
Oregon
State
Facilities
Authority
Revenue
Bonds
10/10/17
750,000
105
.10
788
817
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
11/20/20
305,000
110
.85
338
351
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
11/20/20
660,000
114
.22
754
796
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
11/20/20
440,000
114
.63
504
536
Philadelphia
Authority
for
Industrial
Development
Revenue
Bonds
11/20/20
415,000
115
.56
480
511
Port
of
Greater
Cincinnati
Development
Authority
Revenue
Bonds
03/30/21
100,000
100
.32
100
103
Public
Finance
Authority
Revenue
Bonds
06/25/14
1,250,000
98
.51
1,231
1,363
Public
Finance
Authority
Revenue
Bonds
07/17/20
170,000
100
.00
170
196
Public
Finance
Authority
Revenue
Bonds
12/03/20
115,000
111
.89
129
134
Rivers
Edge
III
Community
Development
District
Special
Assessment
04/07/21
300,000
99
.50
298
307
Rivers
Edge
III
Community
Development
District
Special
Assessment
04/07/21
260,000
99
.69
259
262
Royse
City
Special
Assessment
06/30/20
175,000
102
.88
180
191
Royse
City
Special
Assessment
07/15/20
100,000
100
.00
100
107
Royse
City
Special
Assessment
07/15/20
155,000
100
.00
155
159
Sarasota
National
Community
Development
District
Special
Assessment
03/26/21
125,000
99
.63
125
129
Sherwood
Manor
Community
Development
District
Special
Assessment
09/13/18
550,000
99
.15
545
607
Tempe
Industrial
Development
Authority
Revenue
Bonds
12/20/17
855,000
100
.05
855
855
Timber
Creek
Community
Development
District
Special
Assessment
06/20/18
170,000
100
.00
170
176
Timber
Creek
Community
Development
District
Special
Assessment
06/20/18
535,000
100
.00
535
633
Timber
Creek
Community
Development
District
Special
Assessment
06/20/18
400,000
99
.83
399
445
Tohoqua
Community
Development
District
Special
Assessment
03/05/21
320,000
100
.00
320
330
Town
of
Flower
Mound
Special
Assessment
02/09/21
750,000
100
.00
750
759
Town
of
Flower
Mound
Special
Assessment
02/09/21
800,000
100
.00
800
812
V-Dana
Community
Development
District
Special
Assessment
04/01/21
375,000
100
.00
375
380
V-Dana
Community
Development
District
Special
Assessment
04/01/21
125,000
99
.38
124
128
Veranda
Community
Development
District
II
Special
Assessment
02/24/21
45,000
100
.00
45
45
Veranda
Community
Development
District
II
Special
Assessment
02/24/21
55,000
100
.00
55
57
Verano
No.
3
Community
Development
District
Special
Assessment
04/16/21
120,000
100
.00
120
123
Verano
No.
3
Community
Development
District
Special
Assessment
04/16/21
100,000
100
.00
100
101
Village
Community
Development
District
No.
12
Special
Assessment
03/16/18
1,465,000
100
.00
1,465
1,620
Virginia
College
Building
Authority
Revenue
Bonds
07/01/15
710,000
102
.83
730
790
Washington
State
Housing
Finance
Commission
Revenue
Bonds
09/19/19
1,500,000
100
.00
1,500
1,501
West
Villages
Improvement
District
Special
Assessment
03/31/21
825,000
100
.00
825
849
62,199
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
332
Tax-Exempt
Bond
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Short
Positions
United
States
5
Year
Treasury
Note
Futures
1,550
USD
192,890
09/21
(1,184)
United
States
10
Year
Treasury
Note
Futures
805
USD
108,235
09/21
(2,176)
United
States
10
Year
Ultra
Treasury
Note
Futures
116
USD
17,429
09/21
(661)
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
(4,021)
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical          
Expedient
(a)
Total
Municipal
Bonds
Alabama
$
$
54,28
9
$
$
$
54,28
9
Alaska
12,58
4
12,58
4
Arizona
54,92
7
54,92
7
Arkansas
14,7
8
9
14,7
8
9
California
292,1
68
292,1
68
Colorado
106,8
80
106,8
80
Connecticut
86,02
3
86,02
3
Delaware
12,569
12,569
District
of
Columbia
39,06
4
39,06
4
Florida
234,88
1
234,88
1
Georgia
56,44
5
56,44
5
Guam
66,14
3
66,14
3
Hawaii
20,101
20,101
Idaho
18,40
6
18,40
6
Illinois
547,774
547,774
Indiana
27,55
7
27,55
7
Iowa
33,84
9
33,84
9
Kansas
14,10
5
14,10
5
Kentucky
36,33
2
36,33
2
Louisiana
70,399
70,399
Maine
5,183
5,183
Maryland
29,11
4
29,11
4
Massachusetts
42,328
42,328
Michigan
139,89
1
139,89
1
Minnesota
11,124
11,124
Mississippi
40,845
40,845
Missouri
25,94
5
25,94
5
Russell
Investment
Company
Tax-Exempt
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Tax-Exempt
Bond
Fund
333
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical          
Expedient
(a)
Total
Montana
7,085
7,085
Nebraska
9,8
49
9,8
49
Nevada
41,909
41,909
New
Hampshire
21,88
5
21,88
5
New
Jersey
198,6
07
198,6
07
New
Mexico
3,285
3,285
New
York
400,1
88
400,1
88
North
Carolina
45,3
69
45,3
69
Ohio
74,16
2
74,16
2
Oklahoma
20,628
20,628
Oregon
11,54
9
11,54
9
Pennsylvania
209,03
3
209,03
3
Puerto
Rico
105,43
3
105,43
3
Rhode
Island
13,797
13,797
South
Carolina
35,17
2
35,17
2
South
Dakota
1,61
4
1,61
4
Tennessee
25,21
5
25,21
5
Texas
255,44
8
255,44
8
Utah
39,6
31
39,6
31
Vermont
3,751
3,751
Virgin
Islands
8,88
7
8,88
7
Virginia
29,3
09
29,3
09
Washington
56,25
7
56,25
7
West
Virginia
10,06
6
10,06
6
Wisconsin
39,91
8
39,91
8
Wyoming
4,358
4,358
Short-Term
Investments
223,601
223,601
Total
Investments
$
$
3,766,120
$
$
223,601
$
3,989,721
Other
Financial
Instruments
Liabilities
Futures
Contracts
(4,021)
(4,021)
Total
Other
Financial
Instruments
*
$
(4,021)
$
$
$
$
(4,021)
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Russell
Investment
Company
Global
Infrastructure
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
334
Global
Infrastructure
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Common
Stocks
-
97.7%
Australia
-
8.2%
APA
Group
1,924
13
Atlas
Arteria,
Ltd.
128,134
591
Aurizon
Holdings,
Ltd.
225,442
640
AusNet
Services(Æ)
74,847
100
Cleanaway
Waste
Management,
Ltd.(Æ)
18,301
34
NEXTDC,
Ltd.(Æ)
13,244
125
Qube
Holdings,
Ltd.
218,452
469
Spark
Infrastructure
Group
13,858
28
Sydney
Airport(Æ)
263,230
1,512
Transurban
Group
-
ADR(Æ)
407,099
4,283
7,795
Austria
-
0.1%
Flughafen
Wien
AG(Æ)
2,742
91
Belgium
-
0.1%
Elia
System
Operator
SA
520
61
Brazil
-
0.6%
Alupar
Investimento
SA
17,720
83
CCR
SA
119,300
298
Neoenergia
SA
6,100
20
Omega
Geracao
SA(Æ)
11,300
78
Santos
Brasil
Participacoes
SA(Æ)
56,100
98
Transmissora
Alianca
de
Energia
Eletrica
SA
1,061
8
585
Canada
-
9.3%
AltaGas
,
Ltd.
-
ADR
2,366
50
Brookfield
Infrastructure
Partners,
LP
6
Canadian
National
Railway
Co.
1,384
150
Canadian
Pacific
Railway,
Ltd.
864
64
Emera
,
Inc.
8,322
388
Enbridge,
Inc.
81,422
3,208
Fortis,
Inc.
742
34
Gibson
Energy,
Inc.
11,939
219
Pembina
Pipeline
Corp.
58,514
1,934
TC
Energy
Corp.(Æ)
55,950
2,728
Westshore
Terminals
Investment
Corp.
3,055
53
8,828
China
-
2.9%
China
Everbright
Environment
Group,
Ltd.
49,000
27
China
Gas
Holdings,
Ltd.
235,200
729
China
Merchants
Port
Holdings
Co.,
Ltd.
214,269
299
China
Resources
Gas
Group,
Ltd.
6,000
37
COSCO
SHIPPING
Ports,
Ltd.
200,000
143
ENN
Energy
Holdings,
Ltd.
8,018
168
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Guangdong
Investment,
Ltd.
401,643
563
Jiangsu
Expressway
Co.,
Ltd.
Class
H
550,685
588
Zhejiang
Expressway
Co.,
Ltd.
Class
H
214,000
181
2,735
Denmark
-
0.6%
Orsted
A/S
Class
A(Þ)
3,602
536
France
-
8.3%
Aeroports
de
Paris(Æ)(Ñ)
12,267
1,488
Eiffage
SA
10,307
1,050
Engie
SA
50,270
671
Getlink
SE
125,078
2,002
Rubis
SCA
18,594
746
Veolia
Environnement
SA
4,837
159
Vinci
SA
16,899
1,787
7,903
Germany
-
1.6%
E.ON
SE
49,477
609
Fraport
AG
Frankfurt
Airport
Services
Worldwide(Æ)
3,722
245
Hamburger
Hafen
und
Logistik
AG
2,894
69
RWE
AG
9,592
341
Vantage
Towers
AG
6,382
223
1,487
Guernsey
-
0.1%
Cordiant
Digital
Infrastructure,
Ltd.(Æ)
(Þ)
49,646
74
Hong
Kong
-
0.6%
CK
Infrastructure
Holdings,
Ltd.
21,011
127
CLP
Holdings,
Ltd.
30,845
318
HKBN,
Ltd.
57,500
67
Hong
Kong
&
China
Gas
Co.,
Ltd.
44,100
72
584
India
-
0.1%
Power
Grid
Corp.
of
India,
Ltd.
26,506
61
Power
Grid
Corp.
of
India,
Ltd.(Æ)(Š)
8,835
20
81
Italy
-
5.7%
ACEA
SpA
638
15
Atlantia
SpA
(Æ)
149,282
2,712
Enav
SpA
(Æ)(Þ)
26,386
122
Enel
SpA
102,006
942
Hera
SpA
58,132
248
Infrastrutture
Wireless
Italiane
SpA
(Þ)
76,362
864
Iren
SpA
-
ADR
13,057
40
Italgas
SpA
2,136
15
Snam
Rete
Gas
SpA
12,103
73
Russell
Investment
Company
Global
Infrastructure
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Global
Infrastructure
Fund
335
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Terna
Rete
Elettrica
Nazionale
SpA
48,908
389
5,420
Japan
-
1.0%
East
Japan
Railway
Co.
2,068
138
Japan
Airport
Terminal
Co.,
Ltd.(Æ)
7,400
320
Kamigumi
Co.,
Ltd.
14,013
297
Kansai
Electric
Power
Co.,
Inc.
(The)
7,700
73
Tokyo
Gas
Co.,
Ltd.
7,900
150
978
Mexico
-
3.7%
Grupo
Aeroportuario
del
Centro
Norte
SAB
de
CV
Class
B(Æ)
14,100
86
Grupo
Aeroportuario
del
Centro
Norte
SAB
de
CV
-
ADR(Æ)
7,192
352
Grupo
Aeroportuario
del
Pacifico
SAB
de
CV
Class
B(Æ)
17,372
200
Grupo
Aeroportuario
del
Pacifico
SAB
de
CV
-
ADR(Æ)
7,276
835
Grupo
Aeroportuario
del
Sureste
SAB
de
CV
Class
B
68,584
1,246
Grupo
Aeroportuario
del
Sureste
SAB
de
CV
-
ADR(Æ)
1,659
301
Promotora
y
Operadora
de
Infraestructura
SAB
de
CV
67,637
510
Promotora
y
Operadora
de
Infraestructura
SAB
de
CV
Class
L
1,643
8
3,538
Netherlands
-
0.1%
Koninklijke
Vopak
NV
2,457
104
New
Zealand
-
1.8%
Auckland
International
Airport,
Ltd.(Æ)
311,501
1,574
Port
of
Tauranga,
Ltd.
39,066
194
1,768
Philippines
-
0.3%
Converge
ICT
Solutions,
Inc.(Æ)
149,300
68
International
Container
Terminal
Services,
Inc.
71,845
224
292
Portugal
-
0.1%
Energias
de
Portugal
SA
28,101
146
Singapore
-
0.3%
NetLink
NBN
Trust
199,372
144
Parkway
Life
Real
Estate
Investment
Trust(Æ)(ö)
18,617
64
Sembcorp
Industries,
Ltd.
30,700
47
255
Spain
-
6.7%
Abertis
Infraestructuras
SA(Æ)(Š)
90,641
522
Aena
SME
SA(Æ)(Þ)
27,497
4,379
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Cellnex
Telecom
SA(Þ)
5,836
380
Corporacion
Acciona
Energias
Renovables
SA(Æ)
1,637
56
EDP
Renovaveis
SA
2,017
47
Enagas
SA
788
18
Endesa
SA
-
ADR
1,066
26
Ferrovial
SA
5,296
157
Iberdrola
SA
63,843
770
6,355
Switzerland
-
1.8%
Flughafen
Zurich
AG(Æ)
10,909
1,754
Thailand
-
0.0%
Airports
of
Thailand
PCL
9,700
17
United
Kingdom
-
2.4%
Biffa
PLC(Æ)(Þ)
14,913
74
National
Grid
PLC
19,927
255
National
Grid
PLC
-
ADR
1,261
81
Pennon
Group
PLC
4,019
72
Scottish
&
Southern
Energy
PLC
59,553
1,196
Severn
Trent
PLC
Class
H
14,908
580
2,258
United
States
-
41.3%
Alliant
Energy
Corp.
9,524
557
Ameresco
,
Inc.
Class
A(Æ)
776
53
American
Electric
Power
Co.,
Inc.
5,332
470
American
Tower
Corp.(ö)
7,973
2,255
American
Water
Works
Co.,
Inc.
2,428
413
Atmos
Energy
Corp.
3,355
331
Avista
Corp.
3,871
166
Brookfield
Renewable
Corp.
Class
A
1,868
79
Casella
Waste
Systems,
Inc.
Class
A(Æ)
2,555
176
CenterPoint
Energy,
Inc.
31,496
802
Cheniere
Energy,
Inc.(Æ)
28,246
2,399
Clearway
Energy
Operating
LLC(Æ)
4,938
142
CMS
Energy
Corp.
886
55
CoreSite
Realty
Corp.
Class
A(ö)
60
8
Crown
Castle
International
Corp.(ö)
2,295
443
CSX
Corp.
28,816
931
CyrusOne
,
Inc.(ö)
4,500
321
Digital
Realty
Trust,
Inc.(ö)
1,962
303
Dominion
Energy,
Inc.
27,398
2,051
DT
Midstream,
Inc.
7,929
336
DTE
Energy
Co.
4,200
493
Duke
Energy
Corp.
17,382
1,827
Entergy
Corp.
3,978
409
Enterprise
Products
Partners,
LP
62,747
1,416
Russell
Investment
Company
Global
Infrastructure
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
336
Global
Infrastructure
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Equinix
,
Inc.(Æ)(ö)
182
149
Essential
Utilities,
Inc.
5,591
275
Evergy
,
Inc.
11,183
729
Eversource
Energy(Æ)
10,715
924
Evoqua
Water
Technologies
Corp.(Æ)
4,000
132
Exelon
Corp.
23,730
1,111
FirstEnergy
Corp.
12,349
473
Kansas
City
Southern
1,213
325
Kinder
Morgan,
Inc.
74,342
1,292
Macquarie
Infrastructure
Corp.
11,643
460
Magellan
Midstream
Partners,
LP
16,617
774
NextEra
Energy,
Inc.
62,560
4,873
NiSource,
Inc.
14,673
363
Norfolk
Southern
Corp.
2,717
701
NorthWestern
Corp.
188
12
OGE
Energy
Corp.
1,138
38
ONEOK,
Inc.
7,033
366
Pinnacle
West
Capital
Corp.
3,988
333
Plains
GP
Holdings,
LP
Class
A(Æ)
15,452
162
Portland
General
Electric
Co.
3,496
171
PPL
Corp.
5,149
146
Public
Service
Enterprise
Group,
Inc.
5,917
368
Radius
Global
Infrastructure,
Inc.
Class
A(Æ)
4,964
76
Republic
Services,
Inc.
Class
A
5,779
684
SBA
Communications
Corp.(ö)
3,336
1,138
Sempra
Energy
4,202
549
Southern
Co.
(The)
14,225
909
Southwest
Gas
Holdings,
Inc.
1,487
104
Targa
Resources
Corp.
13,182
555
UGI
Corp.
1,082
50
Union
Pacific
Corp.
1,608
352
Waste
Connections,
Inc.
4,185
530
Waste
Management,
Inc.
1,652
245
WEC
Energy
Group,
Inc.(Æ)
4,953
466
Williams
Cos.,
Inc.
(The)
57,149
1,432
Xcel
Energy,
Inc.
23,141
1,579
39,282
Total
Common
Stocks
(cost
$66,814)
92,927
Short-Term
Investments
-
2.1%
United
States
-
2.1%
U.S.
Cash
Management
Fund(@)
1,983,717
(∞)
1,983
Total
Short-Term
Investments
(cost
$1,983)
1,983
Other
Securities
-
1.4%
U.S.
Cash
Collateral
Fund(@)(×)
1,317,514
(∞)
1,318
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Total
Other
Securities
(cost
$1,318)
1,318
Total
Investments
-
101.2%
(identified
cost
$70,115)
96,228
Other
Assets
and
Liabilities,
Net
-
(1.2)%
(1,096)
Net
Assets
-
100.0%
95,132
Russell
Investment
Company
Global
Infrastructure
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Global
Infrastructure
Fund
337
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
6.8%
Aena
SME
SA
02/11/15
EUR
27,497
77
.94
2,143
4,379
Biffa
PLC
06/19/20
GBP
14,913
2
.61
39
74
Cellnex
Telecom
SA
03/20/19
EUR
5,836
20
.30
118
380
Cordiant
Digital
Infrastructure,
Ltd.
03/08/21
GBP
49,646
1
.43
71
74
Enav
SpA
06/07/17
EUR
26,386
4
.24
112
122
Infrastrutture
Wireless
Italiane
SpA
06/18/15
EUR
76,362
9
.09
694
864
Orsted
A/S
08/15/19
DKK
3,602
101
.59
366
536
6,429
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
EURO
STOXX
50
Index
Futures
11
EUR
450
09/21
1
S&P
Energy
Select
Sector
Index
Futures
6
USD
307
09/21
(22)
S&P
Utilities
Select
Sector
Index
Futures
10
USD
664
09/21
10
SPI
200
Index
Futures
3
AUD
547
09/21
1
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
(10)
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
USD
150
AUD
201
09/15/21
(3)
Bank
of
New
York
USD
204
AUD
262
09/15/21
(11)
Bank
of
New
York
USD
361
EUR
295
09/15/21
(11)
Citigroup
USD
64
CAD
79
08/04/21
Royal
Bank
of
Canada
USD
204
AUD
262
09/15/21
(10)
Royal
Bank
of
Canada
USD
361
EUR
295
09/15/21
(11)
Total
Unrealized
Appreciation
(Depreciation)
on
Open
Foreign
Currency
Exchange
Contracts
(46)
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
Common
Stocks
Australia
$
$
7,795
$
$
$
7,795
Austria
91
91
Belgium
61
61
Russell
Investment
Company
Global
Infrastructure
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
338
Global
Infrastructure
Fund
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
Brazil
585
585
Canada
8,828
8,828
China
2,735
2,735
Denmark
536
536
France
7,903
7,903
Germany
1,487
1,487
Guernsey
74
74
Hong
Kong
584
584
India
61
20
81
Italy
5,420
5,420
Japan
978
978
Mexico
3,538
3,538
Netherlands
104
104
New
Zealand
1,768
1,768
Philippines
292
292
Portugal
146
146
Singapore
255
255
Spain
56
5,777
522
6,355
Switzerland
1,754
1,754
Thailand
17
17
United
Kingdom
81
2,177
2,258
United
States
39,282
39,282
Short-Term
Investments
1,983
1,983
Other
Securities
1,318
1,318
Total
Investments
52,370
40,015
542
3,301
96,228
Other
Financial
Instruments
Assets
Futures
Contracts
12
12
Liabilities
Futures
Contracts
(22)
(22)
Foreign
Currency
Exchange
Contracts
(46)
(46)
Total
Other
Financial
Instruments
*
$
(10)
$
(46)
$
$
$
(56)
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Russell
Investment
Company
Global
Infrastructure
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Global
Infrastructure
Fund
339
Amounts
in
thousands
Infrastructure
Subindustry
Exposure
Fair
Value
$
Airport
Services
......................................................................
14,982
Alternative
Carriers
................................................................
144
Construction
&
Engineering
....................................................
3,047
Data
Centers
...........................................................................
74
Diversified
..............................................................................
4,544
Electric
Utilities
.....................................................................
19,806
Environmental
&
Facilities
Services
.......................................
1,770
Gas
Utilities
............................................................................
2,556
Healthcare
..............................................................................
64
Highways
&
Railtracks
...........................................................
11,695
Industrial
................................................................................
274
Integrated
Telecommunication
Services
..................................
1,602
Internet
Services
&
Infrastructure
...........................................
125
Marine
Ports
&
Services
.........................................................
1,846
Multi-Utilities
.........................................................................
7,791
Oil
&
Gas
Storage
&
Transportation
........................................
16,925
Railroads
................................................................................
3,301
Renewable
Electricity
.............................................................
329
Specialized
REITs
...................................................................
149
Water
Utilities
.........................................................................
1,903
Short-Term
Investments
..........................................................
1,983
Other
Securities
......................................................................
1,318
Total
Investments
....................................................................
96,228
Russell
Investment
Company
Global
Real
Estate
Securities
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
340
Global
Real
Estate
Securities
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Common
Stocks
-
96.9%
Australia
-
3.7%
BGP
Holdings
PLC(Æ)(Š)
4,619,419
Charter
Hall
Group
-
ADR(ö)
477,484
5,721
Goodman
Group(ö)
99,426
1,655
GPT
Group
(The)(ö)
1,089,834
3,741
Growthpoint
Properties
Australia,
Ltd.(ö)
744,175
2,153
Mirvac
Group(ö)
4,685,471
9,850
Scentre
Group(ö)
1,445,941
2,771
Vicinity
Centres
(Æ)(ö)
2,370,389
2,714
Waypoint
REIT,
Ltd.(Æ)(ö)
956,746
1,848
30,453
Belgium
-
1.1%
Aedifica
(ö)
37,393
5,358
VGP
NV
9,991
2,057
Warehouses
De
Pauw
CVA(ö)
46,922
2,016
9,431
Canada
-
2.0%
Allied
Properties
Real
Estate
Investment
Trust(ö)
45,643
1,672
Canadian
Apartment
Properties(ö)
136,010
6,797
Granite
Real
Estate
Investment
Trust(ö)
40,815
2,826
RioCan
Real
Estate
Investment
Trust(ö)
208,514
3,776
Tricon
Capital
Group,
Inc.
107,671
1,290
16,361
China
-
0.2%
ESR
Cayman,
Ltd.(Æ)(Þ)
349,000
1,228
GDS
Holdings,
Ltd.
-
ADR(Æ)
14,950
881
2,109
France
-
1.5%
Argan
SA(ö)
12,055
1,573
Gecina
SA(ö)
24,988
3,968
ICADE(ö)
31,882
2,920
Klepierre
SA
-
GDR(ö)
155,216
3,763
12,224
Germany
-
5.0%
alstria
office
REIT-AG(ö)
256,074
5,424
Deutsche
Wohnen
SE
93,762
5,856
Instone
Real
Estate
Group
AG(Þ)
90,123
2,792
LEG
Immobilien
AG
15,829
2,505
VIB
Vermoegen
AG(Æ)
5,080
217
Vonovia
SE
373,459
24,897
41,691
Hong
Kong
-
4.9%
CK
Asset
Holdings,
Ltd.
1,560,000
10,636
Hang
Lung
Properties,
Ltd.
-
ADR
95,000
246
Hysan
Development
Co.,
Ltd.
532,000
2,096
Link
Real
Estate
Investment
Trust(ö)
1,081,000
10,343
New
World
Development
Co.,
Ltd.
551,000
2,616
Sands
China,
Ltd.(Æ)
436,800
1,495
Sun
Hung
Kai
Properties,
Ltd.
537,500
7,703
SUNeVision
Holdings,
Ltd.
322,000
339
Swire
Properties,
Ltd.
512,400
1,458
Wharf
Holdings,
Ltd.
(The)
210,000
713
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Wharf
Real
Estate
Investment
Co.,
Ltd.
558,000
3,153
40,798
Japan
-
10.1%
Activia
Properties,
Inc.(ö)
1,579
7,172
Daibiru
Corp.
201,900
2,585
Global
One
Real
Estate
Investment
Corp.(ö)
2,432
2,807
GLP
J-REIT(Æ)(ö)
1,942
3,478
Hulic
REIT,
Inc.(ö)
2,280
4,032
Invincible
Investment
Corp.(ö)
6,237
2,451
Japan
Prime
Realty
Investment
Corp.(ö)
102
399
Japan
Retail
Fund
Investment
Corp.(ö)
3,777
3,953
Keihanshin
Building
Co.,
Ltd.
20,600
266
Kenedix
Residential
Next
Investment
Corp.(ö)
265
574
Kenedix
Retail
REIT
Corp.(ö)
1,351
3,750
LaSalle
Logiport
REIT(ö)
1,975
3,619
Mitsubishi
Estate
Co.,
Ltd.
633,900
9,947
Mitsui
Fudosan
Co.,
Ltd.
579,600
13,571
Mitsui
Fudosan
Logistics
Park,
Inc.
(Æ)
(ö)
414
2,318
Mori
Trust
Hotel
REIT,
Inc.(ö)
2,743
3,417
Mori
Trust
Sogo
REIT,
Inc.(ö)
2,081
3,001
Nippon
Accommodations
Fund,
Inc.(ö)
174
1,065
Nippon
Building
Fund,
Inc.(ö)
524
3,386
Nippon
Prologis
REIT,
Inc.(ö)
114
380
Nippon
REIT
Investment
Corp.(ö)
399
1,653
Orix
JREIT,
Inc.(ö)
1,233
2,355
Tokyu
Fudosan
Holdings
Corp.
822,600
4,640
United
Urban
Investment
Corp.(ö)
2,006
2,952
83,771
Netherlands
-
1.1%
CTP
NV(Æ)(Þ)
80,017
1,613
Unibail
-
Rodamco
-Westfield(Æ)(ö)
95,442
7,937
9,550
Singapore
-
2.9%
Cambridge
Industrial
Trust(ö)
1,022,900
336
CapitaLand
Integrated
Commercial
Trust
Class
A(ö)
3,609,700
5,727
CapitaLand,
Ltd.
2,285,100
6,800
City
Developments,
Ltd.
274,200
1,385
Frasers
Logistics
&
Commercial
Trust(ö)
604,000
677
Keppel
DC
REIT(ö)
281,200
548
Keppel
REIT(ö)
2,534,200
2,244
Mapletree
Greater
China
Commercial
Trust(Æ)(ö)
401,500
299
Mapletree
Logistics
Trust(Æ)(ö)
1,269,900
1,976
Parkway
Life
Real
Estate
Investment
Trust(Æ)(ö)
727,502
2,492
Suntec
Real
Estate
Investment
Trust(Æ)
(ö)
1,136,700
1,225
23,709
Spain
-
0.6%
Arima
Real
Estate
Socimi
SA(Æ)(ö)
98,385
1,132
Inmobiliaria
Colonial
Socimi
SA(ö)
239,495
2,553
Russell
Investment
Company
Global
Real
Estate
Securities
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Global
Real
Estate
Securities
Fund
341
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Neinor
Homes
SA(Æ)(Þ)
98,428
1,431
5,116
Sweden
-
2.9%
Castellum
AB
276,962
7,761
Catena
AB
30,653
1,841
Fabege
AB
305,651
5,303
Fastighets
AB
Balder
Class
B(Æ)
103,991
7,191
Wihlborgs
Fastigheter
AB
71,956
1,676
23,772
United
Kingdom
-
5.3%
Assura
PLC(ö)
3,119,018
3,379
Big
Yellow
Group
PLC(ö)
132,744
2,679
British
Land
Co.
PLC
(The)(ö)
1,406,937
9,979
Derwent
London
PLC(ö)
49,291
2,490
Grainger
PLC
713,855
3,009
LondonMetric
Property
PLC(ö)
676,705
2,339
PRS
REIT
PLC
(The)(ö)
623,858
906
Safestore
Holdings
PLC(ö)
197,050
2,888
Segro
PLC(ö)
550,915
9,322
Tritax
EuroBox
PLC(Þ)
799,361
1,332
UNITE
Group
PLC
(The)(ö)
203,625
3,275
Workspace
Group
PLC(ö)
178,510
2,141
43,739
United
States
-
55.6%
Agree
Realty
Corp.(ö)
88,300
6,636
Alexandria
Real
Estate
Equities,
Inc.(ö)
19,792
3,985
American
Homes
4
Rent
Class
A(ö)
219,243
9,208
Americold
Realty
Trust(ö)
122,199
4,747
Apartment
Income
REIT
Corp.(ö)
221,249
11,647
Apple
Hospitality
REIT,
Inc.(ö)
254,531
3,805
AvalonBay
Communities,
Inc.(ö)
66,019
15,041
Boston
Properties,
Inc.(ö)
96,445
11,321
Boyd
Gaming
Corp.(Æ)
53,494
3,049
Caesars
Entertainment,
Inc.(Æ)
16,889
1,475
CoreSite
Realty
Corp.
Class
A(ö)
25,636
3,543
Crown
Castle
International
Corp.(ö)
15,279
2,950
CyrusOne
,
Inc.(ö)
116,435
8,298
Digital
Realty
Trust,
Inc.(ö)
37,711
5,814
Duke
Realty
Corp.(ö)
164,123
8,351
EastGroup
Properties,
Inc.(ö)
45,467
8,012
Empire
State
Realty
Trust,
Inc.
Class
A(ö)
408,408
4,668
EPR
Properties(ö)
13,767
692
Equinix
,
Inc.(Æ)(ö)
20,883
17,133
Equity
Residential(ö)
116,919
9,836
Essential
Properties
Realty
Trust,
Inc.(ö)
241,330
7,192
Essex
Property
Trust,
Inc.(ö)
31,689
10,397
Extra
Space
Storage,
Inc.(ö)
116,744
20,330
First
Industrial
Realty
Trust,
Inc.(ö)
70,340
3,853
Healthcare
Trust
of
America,
Inc.
Class
A(ö)
103,420
2,957
Healthpeak
Properties,
Inc.(ö)
314,071
11,611
Highwoods
Properties,
Inc.(ö)
90,664
4,324
Host
Hotels
&
Resorts,
Inc.(Æ)(ö)
408,426
6,506
Howard
Hughes
Corp.
(The)(Æ)
1,424
132
Independence
Realty
Trust,
Inc.(ö)
109,385
2,109
Invitation
Homes,
Inc.(ö)
134,623
5,476
Jones
Lang
LaSalle,
Inc.(Æ)
19,370
4,311
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Kimco
Realty
Corp.(ö)
577,660
12,321
Life
Storage,
Inc.(Æ)(ö)
80,469
9,444
Medical
Properties
Trust,
Inc.(ö)
427,199
8,984
MGM
Growth
Properties
LLC
Class
A(ö)
6,347
240
Mid-America
Apartment
Communities,
Inc.(ö)
59,819
11,551
NetSTREIT
Corp.(ö)
91,917
2,385
Omega
Healthcare
Investors,
Inc.(ö)
14,976
543
Park
Hotels
&
Resorts,
Inc.(Æ)(ö)
97,595
1,806
Prologis,
Inc.(ö)
323,572
41,431
Public
Storage(ö)
55,197
17,248
Retail
Properties
of
America,
Inc.
Class
A(ö)
232,021
2,926
Rexford
Industrial
Realty,
Inc.(ö)
13,064
804
Ryman
Hospitality
Properties,
Inc.(Æ)(ö)
43,102
3,306
Sabra
Health
Care
REIT,
Inc.(ö)
8,580
160
SBA
Communications
Corp.(ö)
5,739
1,957
Simon
Property
Group,
LP(ö)
207,586
26,265
SL
Green
Realty
Corp.(ö)
69,320
5,162
Spirit
Realty
Capital,
Inc.(ö)
53,764
2,700
STAG
Industrial,
Inc.(ö)
70,425
2,910
STORE
Capital
Corp.(ö)
35,596
1,288
Sun
Communities,
Inc.(ö)
92,116
18,065
UDR,
Inc.(ö)
233,932
12,864
Ventas,
Inc.(ö)
244,942
14,643
VEREIT,
Inc.(ö)
191,083
9,357
VICI
Properties,
Inc.(ö)
313,850
9,789
Weingarten
Realty
Investors(ö)
87,643
2,821
Welltower
,
Inc.(ö)
224,664
19,514
Weyerhaeuser
Co.(ö)
55,572
1,873
461,766
Total
Common
Stocks
(cost
$601,839)
804,490
Short-Term
Investments
-
2.4%
United
States
-
2.4%
U.S.
Cash
Management
Fund(@)
20,001,218
(∞)
19,997
Total
Short-Term
Investments
(cost
$19,997)
19,997
Total
Investments
-
99.3%
(identified
cost
$621,836)
824,487
Other
Assets
and
Liabilities,
Net
-
0.7%
5,569
Net
Assets
-
100.0%
830,056
Russell
Investment
Company
Global
Real
Estate
Securities
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
342
Global
Real
Estate
Securities
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
1.0%
CTP
NV
04/06/21
EUR
80,017
18
.53
1,482
1,613
ESR
Cayman,
Ltd.
11/20/19
HKD
349,000
2
.26
788
1,228
Instone
Real
Estate
Group
AG
03/28/19
EUR
90,123
24
.08
2,170
2,792
Neinor
Homes
SA
05/31/21
EUR
98,428
13
.66
1,345
1,431
Tritax
EuroBox
PLC
09/12/19
GBP
799,361
1
.31
1,140
1,332
8,396
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
Dow
Jones
U.S.
Real
Estate
Index
Futures
283
USD
11,745
09/21
239
FTSE/EPRA
Europe
Index
Futures
140
EUR
3,448
09/21
97
Hang
Seng
Index
Futures
8
HKD
10,359
08/21
17
MSCI
Singapore
Index
Futures
28
SGD
1,010
08/21
13
S&P/TSX
60
Index
Futures
3
CAD
727
09/21
3
SPI
200
Index
Futures
6
AUD
1,095
09/21
3
TOPIX
Index
Futures
14
JPY
266,700
09/21
(53)
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
319
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
AUD
367
USD
277
09/15/21
8
Bank
of
America
AUD
1,093
USD
846
09/15/21
44
Bank
of
America
CAD
480
USD
387
09/15/21
3
Bank
of
America
CAD
946
USD
781
09/15/21
23
Bank
of
America
EUR
380
USD
453
09/15/21
2
Bank
of
America
EUR
458
USD
543
09/15/21
(1)
Bank
of
America
EUR
589
USD
702
09/15/21
3
Bank
of
America
EUR
633
USD
747
09/15/21
(5)
Bank
of
America
EUR
4,603
USD
5,614
09/15/21
150
Bank
of
America
HKD
1,641
USD
211
09/15/21
Bank
of
America
HKD
2,759
USD
355
09/15/21
Bank
of
America
HKD
12,978
USD
1,673
09/15/21
2
Bank
of
America
HKD
13,017
USD
1,678
09/15/21
2
Bank
of
America
JPY
4,345
USD
40
08/02/21
Bank
of
America
JPY
37,750
USD
343
09/15/21
(2)
Bank
of
America
JPY
46,351
USD
422
09/15/21
(1)
Bank
of
America
JPY
61,416
USD
556
09/15/21
(4)
Bank
of
America
JPY
369,569
USD
3,378
09/15/21
8
Bank
of
America
SGD
1,097
USD
828
09/15/21
19
Bank
of
New
York
USD
424
AUD
546
09/15/21
(23)
Bank
of
New
York
USD
345
CAD
417
09/15/21
(11)
Bank
of
New
York
USD
2,394
EUR
1,957
09/15/21
(71)
Bank
of
New
York
USD
696
HKD
5,403
09/15/21
(1)
Bank
of
New
York
USD
1,430
JPY
156,177
09/15/21
(6)
Bank
of
New
York
USD
362
SGD
479
09/15/21
(9)
Russell
Investment
Company
Global
Real
Estate
Securities
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Global
Real
Estate
Securities
Fund
343
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Citigroup
USD
268
AUD
360
09/15/21
(3)
Citigroup
USD
422
AUD
546
09/15/21
(22)
Citigroup
USD
84
CAD
105
08/04/21
Citigroup
USD
345
CAD
417
09/15/21
(11)
Citigroup
USD
389
CAD
488
09/15/21
2
Citigroup
USD
2,218
EUR
1,870
09/15/21
2
Citigroup
USD
2,390
EUR
1,957
09/15/21
(67)
Citigroup
USD
686
HKD
5,329
09/15/21
Citigroup
USD
696
HKD
5,403
09/15/21
(1)
Citigroup
USD
1,401
JPY
153,773
09/15/21
1
Citigroup
USD
1,427
JPY
156,177
09/15/21
(3)
Citigroup
USD
362
SGD
479
09/15/21
(8)
Citigroup
JPY
21,940
USD
200
09/15/21
JPMorgan
Chase
USD
422
AUD
546
09/15/21
(22)
JPMorgan
Chase
USD
345
CAD
417
09/15/21
(11)
JPMorgan
Chase
USD
2,389
EUR
1,957
09/15/21
(65)
JPMorgan
Chase
USD
696
HKD
5,403
09/15/21
(1)
JPMorgan
Chase
USD
1,426
JPY
156,177
09/15/21
(2)
JPMorgan
Chase
USD
362
SGD
479
09/15/21
(8)
Royal
Bank
of
Canada
USD
424
AUD
546
09/15/21
(23)
Royal
Bank
of
Canada
USD
345
CAD
417
09/15/21
(11)
Royal
Bank
of
Canada
USD
490
EUR
414
09/15/21
1
Royal
Bank
of
Canada
USD
2,395
EUR
1,957
09/15/21
(71)
Royal
Bank
of
Canada
USD
696
HKD
5,403
09/15/21
(1)
Royal
Bank
of
Canada
USD
240
JPY
26,519
09/15/21
1
Royal
Bank
of
Canada
USD
1,431
JPY
156,177
09/15/21
(6)
Royal
Bank
of
Canada
USD
212
SGD
288
09/15/21
1
Royal
Bank
of
Canada
USD
362
SGD
479
09/15/21
(8)
Royal
Bank
of
Canada
AUD
1,088
USD
841
09/15/21
42
Total
Unrealized
Appreciation
(Depreciation)
on
Open
Foreign
Currency
Exchange
Contracts
(164)
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
Common
Stocks
Australia
$
$
30,453
$
$
$
30,453
Belgium
9,431
9,431
Canada
16,361
16,361
China
881
1,228
2,109
France
12,224
12,224
Germany
41,691
41,691
Hong
Kong
40,798
40,798
Japan
83,771
83,771
Netherlands
9,550
9,550
Singapore
23,709
23,709
Spain
5,116
5,116
Sweden
23,772
23,772
United
Kingdom
43,739
43,739
United
States
461,766
461,766
Russell
Investment
Company
Global
Real
Estate
Securities
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
344
Global
Real
Estate
Securities
Fund
It
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
Short-Term
Investments
19,997
19,997
Total
Investments
479,008
325,482
19,997
824,487
Other
Financial
Instruments
Assets
Futures
Contracts
372
372
Foreign
Currency
Exchange
Contracts
314
314
Liabilities
Futures
Contracts
(53)
(53
)
Foreign
Currency
Exchange
Contracts
(478)
(478
)
Total
Other
Financial
Instruments
*
$
319
$
(164)
$
$
$
155
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Amounts
in
thousands
Property
Sector
Exposure
Fair
Value
$
Data
Centers
...........................................................................
339
Diversified
..............................................................................
262,364
Healthcare
..............................................................................
69,641
Industrial
................................................................................
80,431
Internet
Services
&
Infrastructure
...........................................
881
Lodging/Resorts
......................................................................
24,989
Manufactured
Homes
..............................................................
18,065
Office
......................................................................................
70,262
Regional
Malls
........................................................................
26,265
Residential
..............................................................................
122,492
Retail
......................................................................................
2,714
Self
Storage
.............................................................................
52,589
Shopping
Centers
....................................................................
56,325
Specialized
REITs
...................................................................
17,133
Short-Term
Investments
................................................................
19,997
Total
Investments
....................................................................
824,487
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
345
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Long-Term
Investments
-
38.8%
Corporate
Bonds
and
Notes
-
10.1%
Aircastle
,
Ltd.
5.250%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.410%)
(Ê)(ƒ)(Þ)
80
81
Ally
Financial,
Inc.
Series
B
4.700%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.868%)
(Ê)(ƒ)
261
273
Series
C
4.700%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
7
Year
+
3.481%)
(Ê)(ƒ)
395
411
Alteryx
,
Inc.
0.500%
due
08/01/24
(Þ)
1,301
1,230
American
Express
Co.
3.550%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.854%)
(Ê)(ƒ)
520
523
American
International
Group,
Inc.
8.175%
due
05/15/58
(USD
3
Month
LIBOR
+
4.195%)(Ê)
350
519
Series
A-9
5.750%
due
04/01/48
(USD
3
Month
LIBOR
+
2.868%)(Ê)
108
123
ams
AG
0.875%
due
09/28/22
1,200
1,165
Apollo
Commercial
Real
Estate
Finance,
Inc.
4.750%
due
08/23/22
629
635
5.375%
due
10/15/23
650
654
Apollo
Management
Holdings,
LP
4.950%
due
01/14/50
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.266%)
(Ê)(Þ)
122
127
Ares
Capital
Corp.
4.625%
due
03/01/24
1,097
1,187
Ares
Management
Corp.
4.125%
due
06/30/51
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.237%)
(Ê)(Þ)
130
131
Assurant,
Inc.
7.000%
due
03/27/48
(USD
3
Month
LIBOR
+
4.135%)(Ê)(Ñ)
210
244
AXIS
Specialty
Finance
LLC
4.900%
due
01/15/40
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.186%)
(Ê)
95
102
Bank
of
America
Corp.
Series
AA
6.100%
due
12/31/49
(USD
3
Month
LIBOR
+
3.898%)(Ê)(ƒ)
569
639
Series
FF
5.875%
due
12/31/99
(USD
3
Month
LIBOR
+
2.931%)(Ê)(ƒ)
356
409
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
X
6.250%
due
09/29/49
(USD
3
Month
LIBOR
+
3.705%)(Ê)(ƒ)
573
633
Series
Z
6.500%
due
12/31/49
(USD
3
Month
LIBOR
+
4.174%)(Ê)(ƒ)
145
163
Benefitfocus
,
Inc.
1.250%
due
12/15/23
(Ñ)
549
512
Blackstone
Mortgage
Trust,
Inc.
4.750%
due
03/15/23
549
565
CalAmp
Corp.
2.000%
due
08/01/25
542
498
Capital
One
Financial
Corp.
Series
M
3.950%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.157%)
(Ê)(ƒ)
192
198
Charles
Schwab
Corp.
(The)
Series
G
5.375%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.971%)
(Ê)(ƒ)
423
472
Series
H
4.000%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
10
Year
+
3.079%)(Ê)(ƒ)
451
470
Series
I
4.000%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.168%)
(Ê)(ƒ)
790
825
Citigroup,
Inc.
5.950%
due
07/31/49
(USD
3
Month
LIBOR
+
4.068%)(Ê)(ƒ)
268
282
5.900%
due
12/29/49
(USD
3
Month
LIBOR
+
4.230%)(Ê)(ƒ)(Ñ)
250
262
3.875%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.417%)
(Ê)(ƒ)
530
542
Series
P
5.950%
due
12/31/49
(USD
3
Month
LIBOR
+
3.905%)(Ê)(ƒ)
305
336
Series
T
6.250%
due
12/29/49
(USD
3
Month
LIBOR
+
4.517%)(Ê)(ƒ)
160
185
Citizens
Financial
Group,
Inc.
Series
F
5.650%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.313%)
(Ê)(ƒ)(Ñ)
129
144
CMS
Energy
Corp.
4.750%
due
06/01/50
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.116%)
(Ê)
127
143
CoBank
ACB
Series
I
6.250%
due
12/29/49
(USD
3
Month
LIBOR
+
4.660%)(Ê)(ƒ)
330
370
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
346
Multi-Strategy
Income
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Colony
Capital,
Inc.
5.000%
due
04/15/23
1,300
1,327
Comerica,
Inc.
5.625%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.291%)
(Ê)(ƒ)
116
129
Dai-ichi
Life
Insurance
Co.,
Ltd.
(The)
5.100%
due
10/29/49
(USD
3
Month
LIBOR
+
3.680%)(Ê)(ƒ)(Þ)
300
331
Depository
Trust
&
Clearing
Corp.
(The)
Series
D
3.375%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.606%)
(Ê)(ƒ)(Þ)
250
254
Discover
Financial
Services
Series
D
6.125%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.783%)
(Ê)(ƒ)
80
90
DISH
Network
Corp.
2.375%
due
03/15/24
1,380
1,333
DocuSign,
Inc.
0.000%
due
01/15/24
445
474
Dominion
Energy,
Inc.
Series
B
4.650%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.993%)
(Ê)(ƒ)
125
134
Duke
Energy
Corp.
4.875%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.388%)
(Ê)(ƒ)
155
165
Edison
International
Series
A
5.375%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.698%)
(Ê)(ƒ)
295
299
Energy
Transfer
Operating,
LP
Series
H
6.500%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.694%)
(Ê)(ƒ)
180
185
Energy
Transfer,
LP
7.125%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.306%)
(Ê)(ƒ)
33
34
Enstar
Finance
LLC
5.750%
due
09/01/40
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.468%)
(Ê)
225
240
Equitable
Holdings,
Inc.
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
B
4.950%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.736%)
(Ê)(ƒ)
250
271
Exantas
Capital
Corp.
4.500%
due
08/15/22
525
518
EZCORP,
Inc.
2.375%
due
05/01/25
564
497
Farm
Credit
Bank
of
Texas
Series
4
5.700%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.415%)
(Ê)(ƒ)(Þ)
275
300
FireEye,
Inc.
Series
B
1.625%
due
06/01/35
1,608
1,594
Flexion
Therapeutics,
Inc.
3.375%
due
05/01/24
157
139
GA
Global
Funding
Trust
Secured
4.700%
due
10/15/51
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.796%)
(Ê)(Þ)
260
265
General
Electric
Co.
Series
D
3.449%
due
12/29/49
(USD
3
Month
LIBOR
+
3.330%)(Ê)(ƒ)
140
137
Goldman
Sachs
Group,
Inc.
(The)
Series
Q
5.500%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.623%)
(Ê)(ƒ)(Ñ)
115
126
Series
T
3.800%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.969%)
(Ê)(ƒ)
120
122
Series
U
3.650%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.915%)
(Ê)(ƒ)
214
215
Granite
Point
Mortgage
Trust,
Inc.
5.625%
due
12/01/22
(Þ)
1,078
1,067
Greenlight
Capital,
Inc.
4.000%
due
08/01/23
644
615
Haemonetics
Corp.
3.545%
due
03/01/26
1,326
1,130
Hartford
Financial
Services
Group,
Inc.
Series
ICON
2.281%
due
02/12/47
(USD
3
Month
LIBOR
+
2.125%)(Ê)(Þ)
225
217
Helix
Energy
Solutions
Group,
Inc.
4.125%
due
09/15/23
275
262
Herbalife
Nutrition,
Ltd.
2.625%
due
03/15/24
348
372
High
Ridge
Brands
Co.
8.875%
due
03/15/25
(Š)
1,640
21
Huntington
Bancshares,
Inc.
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
347
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
F
5.625%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
10
Year
+
4.945%)(Ê)(ƒ)
20
23
Series
G
4.450%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
7
Year
+
4.045%)
(Ê)(ƒ)
123
132
ILFC
E-Capital
Trust
I
3.660%
due
12/21/65
(~)(Ê)(Þ)
210
173
Innoviva
,
Inc.
2.125%
due
01/15/23
1,127
1,159
Invacare
Corp.
5.000%
due
11/15/24
126
120
Ionis
Pharmaceuticals,
Inc.
0.125%
due
12/15/24
(Þ)
1,273
1,168
JPMorgan
Chase
&
Co.
Series
FF
5.000%
due
12/31/99
(SOFR
+
3.380%)(Ê)(ƒ)
303
320
Series
HH
4.600%
due
12/31/99
(SOFR
+
3.125%)(Ê)(ƒ)
56
58
Series
KK
3.650%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.850%)
(Ê)(ƒ)
410
414
Series
S
6.750%
due
01/29/49
(USD
3
Month
LIBOR
+
3.780%)(Ê)(ƒ)
294
325
Series
U
6.125%
due
12/29/49
(USD
3
Month
LIBOR
+
3.330%)(Ê)(ƒ)
175
191
Series
X
6.100%
due
12/31/49
(USD
3
Month
LIBOR
+
3.330%)(Ê)(ƒ)
300
327
KKR
Real
Estate
Finance
Trust,
Inc.
6.125%
due
05/15/23
838
887
Land
O'Lakes,
Inc.
7.250%
due
12/31/99
(~)(Ê)(ƒ)(Þ)
185
199
LendingTree
,
Inc.
0.500%
due
07/15/25
1,220
1,099
Liberty
Broadband
Corp.
1.250%
due
09/30/50
700
710
2.750%
due
09/30/50
295
317
Liberty
Media
Corp.
2.125%
due
03/31/48
(Þ)
195
203
Ligand
Pharmaceuticals,
Inc.
0.750%
due
05/15/23
1,196
1,167
Limelight
Networks,
Inc.
3.500%
due
08/01/25
476
424
Macquarie
Infrastructure
Corp.
2.000%
due
10/01/23
924
919
Markel
Corp.
6.000%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.662%)
(Ê)(ƒ)
125
139
MetLife
Capital
Trust
IV
7.875%
due
12/15/37
(Þ)
100
140
MetLife,
Inc.
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
9.250%
due
04/08/38
(Þ)
325
497
10.750%
due
08/01/39
171
295
MFA
Financial,
Inc.
6.250%
due
06/15/24
1,442
1,466
MGIC
Investment
Corp.
9.000%
due
04/01/63
(Þ)
1,042
1,368
MicroStrategy
,
Inc.
5.340%
due
02/15/27
446
330
Momo
,
Inc.
1.250%
due
07/01/25
(Þ)
247
206
New
Mountain
Finance
Corp.
5.750%
due
08/15/23
1,079
1,137
New
Relic,
Inc.
0.500%
due
05/01/23
972
969
NIO,
Inc.
3.084%
due
02/01/26
228
199
Nutanix
,
Inc.
4.898%
due
01/15/23
(Þ)
748
780
NuVasive
,
Inc.
0.375%
due
03/15/25
(Þ)
48
46
Paratek
Pharmaceuticals,
Inc.
4.750%
due
05/01/24
396
347
PartnerRe
Finance
B
LLC
4.500%
due
10/01/50
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.815%)
(Ê)
125
131
Patrick
Industries,
Inc.
1.000%
due
02/01/23
92
104
PennyMac
Mortgage
Investment
Trust
5.500%
due
11/01/24
1,341
1,350
Precigen
,
Inc.
3.500%
due
07/01/23
792
663
Prudential
Financial,
Inc.
5.375%
due
05/15/45
(USD
3
Month
LIBOR
+
3.031%)(Ê)
161
178
Series
XW7
5.200%
due
03/15/44
(USD
3
Month
LIBOR
+
3.040%)(Ê)
450
486
Quotient
Technology,
Inc.
1.750%
due
12/01/22
415
417
Radius
Health,
Inc.
3.000%
due
09/01/24
518
468
Redwood
Trust,
Inc.
4.750%
due
08/15/23
629
631
Regions
Financial
Corp.
Series
D
5.750%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.430%)
(Ê)(ƒ)
90
101
Retrophin
,
Inc.
2.500%
due
09/15/25
153
130
RWT
Holdings,
Inc.
5.750%
due
10/01/25
920
935
SBL
Holdings
LLC
6.500%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.620%)
(Ê)(ƒ)(Þ)
210
208
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
348
Multi-Strategy
Income
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
7.000%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.580%)
(Ê)(ƒ)(Þ)
215
218
Sempra
Energy
4.875%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.550%)
(Ê)(ƒ)
435
475
SmileDirectClub
LLC
5.967%
due
02/01/26
357
275
South
Jersey
Industries,
Inc.
5.020%
due
04/15/31
100
107
Southern
Co.
(The)
Series
21-A
3.750%
due
09/15/51
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.915%)
(Ê)
254
259
Series
B
4.000%
due
01/15/51
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.733%)
(Ê)
265
280
Splitrock
Services,
Inc.
5.500%
due
02/28/24
525
438
Starwood
Property
Trust,
Inc.
4.375%
due
04/01/23
814
868
Stride,
Inc.
1.125%
due
09/01/27
162
148
Supernus
Pharmaceuticals,
Inc.
0.625%
due
04/01/23
1,289
1,256
SVB
Financial
Group
Series
C
4.000%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.202%)
(Ê)(ƒ)
240
249
Tabula
Rasa
HealthCare,
Inc.
1.750%
due
02/15/26
(Þ)
228
219
Theravance
Biopharma,
Inc.
3.250%
due
11/01/23
148
137
Tilray
,
Inc.
5.000%
due
10/01/23
1,040
1,014
Triarco
Industries
LLC
5.875%
due
08/01/37
322
296
Truist
Financial
Corp.
Series
M
5.125%
due
12/31/99
(USD
3
Month
LIBOR
+
2.786%)(Ê)(ƒ)
245
263
Series
N
4.800%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.003%)
(Ê)(ƒ)
126
134
Series
P
4.950%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.605%)
(Ê)(ƒ)
123
134
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
Q
5.100%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
10
Year
+
4.349%)(Ê)(ƒ)
185
213
Veeco
Instruments,
Inc.
2.700%
due
01/15/23
716
712
Vishay
Intertechnology
,
Inc.
2.250%
due
06/15/25
321
336
Wells
Fargo
&
Co.
5.950%
due
12/15/36
190
269
Series
B
7.950%
due
11/15/29
114
159
Series
BB
3.900%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.453%)
(Ê)(ƒ)
877
910
Series
U
5.875%
due
12/31/49
(USD
3
Month
LIBOR
+
3.990%)(Ê)(ƒ)
194
220
Western
Digital
Corp.
1.500%
due
02/01/24
(Þ)
934
964
62,525
International
Debt
-
4.4%
AXA
SA
8.600%
due
12/15/30
55
83
6.379%
due
12/29/49
(USD
3
Month
LIBOR
+
2.256%)(Ê)(ƒ)(Þ)
200
280
Banco
Bilbao
Vizcaya
Argentaria
SA
Series
9
6.500%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.192%)
(Ê)(ƒ)
200
218
Banco
Santander
SA
7.500%
due
12/31/99
(USD
ICE
Swap
Rate
NY
5
Year
Rate
+
4.989%)(Ê)(ƒ)
200
220
4.750%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.753%)
(Ê)(ƒ)
400
408
Bank
of
China
(Hong
Kong),
Ltd.
5.900%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.036%)
(Ê)(ƒ)(Þ)
400
431
Bank
of
Nova
Scotia
(The)
4.900%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.551%)
(Ê)(ƒ)
195
214
Barclays
PLC
6.125%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.867%)
(Ê)(ƒ)
200
223
8.000%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.672%)
(Ê)(ƒ)
200
227
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
349
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Beazley
Insurance
Designated
Activity
Co.
5.500%
due
09/10/29
200
224
BNP
Paribas
SA
7.375%
due
12/31/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
5.150%)(Ê)
(ƒ)(Þ)
500
584
6.625%
due
12/31/99
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.149%)(Ê)
(ƒ)(Þ)
200
217
7.000%
due
12/31/99
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
3.980%)(Ê)
(ƒ)(Þ)
200
241
BP
Capital
Markets
PLC
4.375%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.036%)
(Ê)(ƒ)
350
374
4.875%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.398%)
(Ê)(ƒ)
609
671
Clovis
Oncology,
Inc.
1.250%
due
05/01/25
377
272
CNP
Assurances
4.875%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.183%)
(Ê)(ƒ)
200
214
Commerzbank
AG
7.000%
due
12/31/99
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
5.228%)
(Ê)(ƒ)
200
217
Credit
Agricole
SA
7.875%
due
12/29/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.898%)(Ê)
(ƒ)(Þ)
200
226
8.125%
due
12/29/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
6.185%)(Ê)
(ƒ)(Þ)
400
486
6.875%
due
12/31/99
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.319%)(Ê)
(ƒ)(Þ)
200
224
Credit
Suisse
Group
AG
7.125%
due
12/29/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
5.108%)
(Ê)(ƒ)
400
417
7.500%
due
12/31/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.598%)(Ê)
(ƒ)(Þ)
200
221
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
5.250%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.889%)
(Ê)(ƒ)(Þ)
200
210
6.375%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.822%)
(Ê)(ƒ)(Þ)
500
555
7.250%
due
12/31/99
(USD
ICE
Swap
Rate
NY
5
Year
Rate
+
4.332%)(Ê)(ƒ)(Þ)
400
451
7.500%
due
12/31/99
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.600%)(Ê)
(ƒ)(Þ)
400
433
Ctrip.com
International,
Ltd.
1.250%
due
09/15/22
458
435
Danske
Bank
A/S
4.375%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.387%)
(Ê)(ƒ)
200
204
Deutsche
Bank
AG
Series
#
6.000%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.524%)
(Ê)(ƒ)
200
210
Emera
,
Inc.
Series
16-A
6.750%
due
06/15/76
(USD
3
Month
LIBOR
+
5.440%)(Ê)
632
739
Enbridge,
Inc.
6.250%
due
03/01/78
(USD
3
Month
LIBOR
+
3.641%)(Ê)
244
272
Series
16-A
6.000%
due
01/15/77
(USD
3
Month
LIBOR
+
3.890%)(Ê)
297
330
Series
20-A
5.750%
due
07/15/80
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.314%)
(Ê)
412
465
Fukoku
Mutual
Life
Insurance
Co.
6.500%
due
09/29/49
(USD
3
Month
LIBOR
+
4.370%)(Ê)(ƒ)
250
276
Ghana
Government
International
Bond
Series
REGS
7.875%
due
08/07/23
25
27
Hanwha
Life
Insurance
Co.,
Ltd.
4.700%
due
04/23/48
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.000%)
(Ê)(Þ)
200
207
Hope
Bancorp,
Inc.
2.000%
due
05/15/38
1,213
1,167
HSBC
Capital
Funding,
LP
10.176%
due
12/29/49
(USD
3
Month
LIBOR
+
4.980%)(Ê)(ƒ)(Þ)
110
184
HSBC
Holdings
PLC
6.375%
due
03/19/24
(USD
ICE
Swap
Rate
NY
5
Year
Rate
+
3.705%)(Ê)
200
219
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
350
Multi-Strategy
Income
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
6.375%
due
12/29/49
(USD
ICE
Swap
Rate
NY
5
Year
Rate
+
4.368%)(Ê)(ƒ)
200
221
4.600%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.649%)
(Ê)(ƒ)
200
205
6.500%
due
12/31/99
(USD
ICE
Swap
Rate
NY
5
Year
Rate
+
3.606%)(Ê)(ƒ)
200
228
ING
Groep
NV
6.500%
due
12/29/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.446%)
(Ê)(ƒ)
400
447
5.750%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.342%)
(Ê)(ƒ)
200
221
Intesa
Sanpaolo
SpA
7.700%
due
12/29/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
5.462%)(Ê)
(ƒ)(Þ)
200
229
Kazakhstan
Government
International
Bond
Series
REGS
3.875%
due
10/14/24
140
153
Lancashire
Holdings,
Ltd.
5.625%
due
09/18/41
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.080%)
(Ê)
200
217
Liberty
Latin
America,
Ltd.
2.000%
due
07/15/24
(Þ)
456
457
Lloyds
Banking
Group
PLC
7.500%
due
04/30/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.760%)
(Ê)(ƒ)
200
226
6.750%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.815%)
(Ê)(ƒ)
200
230
Luminex
Corp.
3.000%
due
05/15/25
793
792
Macquarie
Bank,
Ltd.
6.125%
due
12/31/99
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
3.703%)(Ê)
(ƒ)(Þ)
200
219
Meiji
Yasuda
Life
Insurance
Co.
5.200%
due
10/20/45
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.230%)
(Ê)(Þ)
200
226
Natwest
Group
PLC
8.000%
due
12/29/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
5.720%)
(Ê)(ƒ)
200
236
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
4.600%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.100%)
(Ê)(ƒ)
200
205
6.000%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.625%)
(Ê)(ƒ)
200
222
Nippon
Life
Insurance
Co.
4.700%
due
01/20/46
(USD
ICE
Swap
Rate
NY
5
Year
Rate
+
3.750%)(Ê)(Þ)
300
335
Nordea
Bank
AB
6.625%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.110%)
(Ê)(ƒ)(Þ)
200
230
Phoenix
Group
Holdings
PLC
5.625%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.035%)
(Ê)(ƒ)
200
214
QBE
Insurance
Group,
Ltd.
5.875%
due
06/17/46
(USD
ICE
Swap
Rate
NY
10
Year
Rate
+
4.395%)(Ê)
406
453
5.875%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.513%)
(Ê)(ƒ)(Þ)
200
220
Scentre
Group
Trust
2
4.750%
due
09/24/80
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.379%)
(Ê)(Þ)
300
320
5.125%
due
09/24/80
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.685%)
(Ê)(Þ)
300
323
SFL
Corp.,
Ltd.
4.875%
due
05/01/23
430
423
Societe
Generale
SA
8.000%
due
09/29/49
(USD
ICE
Swap
Rate
NY
5
Year
Rate
+
5.873%)(Ê)(ƒ)(Þ)
200
236
7.875%
due
12/29/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.979%)(Ê)
(ƒ)(Þ)
400
445
5.375%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.514%)
(Ê)(ƒ)(Þ)
200
216
6.750%
due
12/31/99
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
3.929%)(Ê)
(ƒ)(Þ)
400
454
Standard
Chartered
PLC
7.500%
due
12/29/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
6.301%)(Ê)
(ƒ)(Þ)
200
207
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
351
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
7.750%
due
12/29/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
5.723%)(Ê)
(ƒ)(Þ)
200
218
4.750%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.805%)
(Ê)(ƒ)(Þ)
200
205
Sumitomo
Life
Insurance
Co.
3.375%
due
04/15/81
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.747%)
(Ê)(Þ)
200
208
Svenska
Handelsbanken
AB
4.750%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.048%)
(Ê)(ƒ)
200
213
TransCanada
Trust
5.500%
due
09/15/79
(SOFR
+
4.416%)(Ê)
390
433
Series
16-A
5.875%
due
08/15/76
(USD
3
Month
LIBOR
+
4.640%)(Ê)
598
669
UBS
Group
AG
3.875%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.098%)
(Ê)(ƒ)(Þ)
200
202
5.125%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.855%)
(Ê)(ƒ)
200
219
UBS
Group
Funding
Switzerland
AG
6.875%
due
12/29/49
(USD
Swap
Semiannual
30/360
[versus
6
Month
LIBOR]
5
Year
Rate
+
4.590%)
(Ê)(ƒ)
400
458
7.000%
due
12/31/99
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.344%)(Ê)
(ƒ)(Þ)
400
440
UniCredit
SpA
8.000%
due
04/03/49
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
5.180%)
(Ê)(ƒ)
200
222
VIVAT
NV
6.250%
due
12/31/99
(USD
ICE
Swap
Rate
NY
5
Year
Rate
+
4.174%)(Ê)(ƒ)
200
211
Vodafone
Group
PLC
7.000%
due
04/04/79
(USD
Swap
Semiannual
30/360
[versus
3
Month
LIBOR]
5
Year
Rate
+
4.873%)(Ê)
130
162
Series
NC10
4.125%
due
06/04/81
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.767%)
(Ê)
260
262
Weibo
Corp.
1.250%
due
11/15/22
(Þ)
469
446
WisdomTree
Investments,
Inc.
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
3.250%
due
06/15/26
422
403
27,057
Loan
Agreements
-
0.0%
Charming
Charlie,
Inc.
Converted
Term
Loan
A
0.000%
due
04/24/23
(~)(Ê)(Š)
(Æ)
(Ø)
112
Charming
Charlie,
Inc.
Converted
Term
Loan
B
0.000%
due
04/24/23
(~)(Ê)(Š)
(Æ)
(Ø)
137
Mortgage-Backed
Securities
-
21.2%
Fannie
Mae
4.500%
due
2049
21
22
5.000%
due
2049
49
54
30
Year
TBA(Ï)
2.000%
12,000
12,241
2.500%
6,000
6,246
3.000%
4,000
4,184
4.000%
32,000
34,203
Fannie
Mae
REMICS
Series
2010-35
Class
SG
Interest
Only
STRIP
6.232%
due
04/25/40
(-1
x
USD
1
Month
LIBOR
+
6.400%)(Ê)
307
66
Series
2010-99
Class
NI
Interest
Only
STRIP
6.000%
due
09/25/40
1,610
304
Series
2010-140
Class
GS
Interest
Only
STRIP
5.832%
due
07/25/39
(USD
1
Month
LIBOR
+
6.000%)(Ê)
190
3
Series
2011-101
Class
SA
Interest
Only
STRIP
5.732%
due
10/25/41
(USD
1
Month
LIBOR
+
5.900%)(Ê)
1,110
211
Series
2011-134
Class
SP
Interest
Only
STRIP
5.832%
due
02/25/41
(-1
x
USD
1
Month
LIBOR
+
6.000%)(Ê)
3,126
268
Series
2012-36
Class
SN
Interest
Only
STRIP
6.282%
due
04/25/42
(-1
x
USD
1
Month
LIBOR
+
6.450%)(Ê)
465
90
Series
2012-49
Class
QI
Interest
Only
STRIP
4.500%
due
12/25/40
543
21
Series
2012-62
Class
MI
Interest
Only
STRIP
4.000%
due
03/25/41
450
25
Series
2012-103
Class
SD
Interest
Only
STRIP
5.882%
due
09/25/42
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
996
191
Series
2012-116
Class
SA
Interest
Only
STRIP
7.032%
due
10/25/42
(-1
x
USD
1
Month
LIBOR
+
7.200%)(Ê)
1,036
217
Series
2013-35
Class
PI
Interest
Only
STRIP
3.000%
due
02/25/42
477
14
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
352
Multi-Strategy
Income
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2013-41
Class
SP
Interest
Only
STRIP
6.032%
due
06/25/40
(-1
x
USD
1
Month
LIBOR
+
6.200%)(Ê)
151
5
Series
2013-54
Class
LI
Interest
Only
STRIP
7.000%
due
11/25/34
1,081
217
Series
2013-57
Class
IQ
Interest
Only
STRIP
3.000%
due
06/25/41
464
23
Series
2013-90
Class
SD
Interest
Only
STRIP
6.432%
due
09/25/43
(-1
x
USD
1
Month
LIBOR
+
6.600%)(Ê)
649
115
Series
2013-107
Class
SB
Interest
Only
STRIP
5.782%
due
02/25/43
(USD
1
Month
LIBOR
+
5.950%)(Ê)
1,161
288
Series
2015-34
Class
QI
Interest
Only
STRIP
5.000%
due
06/25/45
670
113
Series
2015-35
Class
IA
Interest
Only
STRIP
5.000%
due
06/25/45
675
125
Series
2015-66
Class
AS
Interest
Only
STRIP
6.082%
due
09/25/45
(-1
x
USD
1
Month
LIBOR
+
6.250%)(Ê)
1,927
343
Series
2015-69
Class
IO
Interest
Only
STRIP
6.000%
due
09/25/45
1,506
309
Series
2015-84
Class
PI
Interest
Only
STRIP
5.500%
due
08/25/33
1,471
206
Series
2016-8
Class
SA
Interest
Only
STRIP
5.882%
due
03/25/46
(USD
1
Month
LIBOR
+
6.050%)(Ê)
2,780
558
Series
2016-24
Class
CI
Interest
Only
STRIP
4.000%
due
02/25/46
530
54
Series
2016-54
Class
SD
Interest
Only
STRIP
5.832%
due
08/25/46
(-1
x
USD
1
Month
LIBOR
+
6.000%)(Ê)
1,607
372
Series
2016-61
Class
BS
Interest
Only
STRIP
5.932%
due
09/25/46
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
2,785
512
Series
2016-65
Class
CS
Interest
Only
STRIP
5.932%
due
09/25/46
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
1,664
299
Series
2016-97
Class
KI
Interest
Only
STRIP
3.000%
due
06/25/40
265
2
Series
2017-7
Class
JI
Interest
Only
STRIP
4.000%
due
02/25/47
812
65
Series
2017-15
Class
LI
Interest
Only
STRIP
4.000%
due
06/25/46
231
9
Series
2017-32
Class
IP
Interest
Only
STRIP
4.500%
due
05/25/47
2,504
418
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2017-75
Class
NI
Interest
Only
STRIP
5.000%
due
11/25/46
934
154
Series
2017-78
Class
KI
Interest
Only
STRIP
3.500%
due
10/25/47
502
41
Series
2017-112
Class
SG
Interest
Only
STRIP
6.052%
due
01/25/48
(-1
x
USD
1
Month
LIBOR
+
6.220%)(Ê)
1,430
244
Series
2017-113
Class
IO
Interest
Only
STRIP
5.000%
due
01/25/38
561
62
Series
2018-3
Class
AI
Interest
Only
STRIP
4.500%
due
12/25/47
1,224
181
Series
2018-14
Class
KI
Interest
Only
STRIP
6.000%
due
03/25/48
2,217
451
Series
2018-38
Class
SP
Interest
Only
STRIP
6.032%
due
06/25/48
(-1
x
USD
1
Month
LIBOR
+
6.200%)(Ê)
2,083
352
Series
2018-47
Class
SA
Interest
Only
STRIP
6.082%
due
07/25/48
(-1
x
USD
1
Month
LIBOR
+
6.250%)(Ê)
2,807
528
Series
2018-73
Class
MS
Interest
Only
STRIP
6.032%
due
10/25/48
(-1
x
USD
1
Month
LIBOR
+
6.200%)(Ê)
3,452
708
Series
2018-92
Class
BI
Interest
Only
STRIP
5.000%
due
01/25/49
1,300
233
Series
2018-95
Class
SA
Interest
Only
STRIP
5.982%
due
01/25/49
(-1
x
USD
1
Month
LIBOR
+
6.150%)(Ê)
1,336
207
Series
2019-1
Class
KI
Interest
Only
STRIP
4.500%
due
02/25/49
800
43
Series
2019-13
Class
IO
Interest
Only
STRIP
4.500%
due
03/25/49
909
42
Series
2019-17
Class
LI
Interest
Only
STRIP
4.500%
due
04/25/49
916
72
Series
2019-26
Class
SM
Interest
Only
STRIP
5.882%
due
06/25/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
1,709
274
Series
2019-43
Class
KS
Interest
Only
STRIP
5.882%
due
08/25/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
1,822
271
Series
2019-45
Class
SD
Interest
Only
STRIP
5.882%
due
08/25/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
1,253
256
Series
2019-50
Class
SN
Interest
Only
STRIP
5.878%
due
09/25/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
2,176
335
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
353
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2019-51
Class
KS
Interest
Only
STRIP
5.902%
due
09/25/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
2,173
341
Series
2019-71
Class
CS
Interest
Only
STRIP
5.832%
due
11/25/49
(-1
x
USD
1
Month
LIBOR
+
6.000%)(Ê)
858
211
Series
2019-83
Class
QS
Interest
Only
STRIP
5.858%
due
01/25/50
(-1
x
USD
1
Month
LIBOR
+
5.950%)(Ê)
2,148
407
Series
2020-24
Class
IB
Interest
Only
STRIP
3.000%
due
04/25/50
5,148
635
Series
2020-31
Class
CI
Interest
Only
STRIP
5.000%
due
05/25/50
3,415
644
Series
2020-41
Class
SE
Interest
Only
STRIP
5.970%
due
06/25/50
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
3,521
760
Series
2020-47
Class
ID
Interest
Only
STRIP
4.000%
due
07/25/50
3,070
413
Series
2020-73
Class
IJ
Interest
Only
STRIP
3.000%
due
10/25/50
2,819
342
Series
2020-75
Class
MI
Interest
Only
STRIP
4.000%
due
11/25/50
2,398
352
Series
2021-5
Class
PI
Interest
Only
STRIP
3.500%
due
02/25/51
5,645
593
Series
2021-18
Class
IY
Interest
Only
STRIP
4.500%
due
08/25/49
1,370
252
Series
2021-25
Class
IJ
Interest
Only
STRIP
3.500%
due
05/25/51
5,462
426
Series
2021-25
Class
IT
Interest
Only
STRIP
4.000%
due
05/25/51
5,012
483
Fannie
Mae
Strips
Series
2009-397
Class
2
Interest
Only
STRIP
5.000%
due
09/25/39
1,073
177
Series
2010-404
Class
2
Interest
Only
STRIP
4.500%
due
05/25/40
769
138
Series
2016-422
Class
C12
Interest
Only
STRIP
4.000%
due
12/25/45
936
150
Freddie
Mac
Series
2014-324
Class
C21
Interest
Only
STRIP
6.000%
due
06/15/39
1,716
395
Freddie
Mac
REMICS
Series
2010-3714
Class
KI
Interest
Only
STRIP
4.500%
due
11/15/39
35
Series
2011-3852
Class
SC
Interest
Only
STRIP
6.465%
due
04/15/40
(USD
1
Month
LIBOR
+
6.650%)(Ê)
642
71
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2011-3904
Class
NI
Interest
Only
STRIP
3.500%
due
08/15/26
761
32
Series
2011-3919
Class
SA
Interest
Only
STRIP
6.315%
due
09/15/41
(USD
1
Month
LIBOR
+
6.500%)(Ê)
2,253
451
Series
2012-3981
Class
WS
Interest
Only
STRIP
6.365%
due
05/15/41
(-1
x
USD
1
Month
LIBOR
+
6.550%)(Ê)
905
101
Series
2012-4016
Class
SC
Interest
Only
STRIP
6.315%
due
03/15/42
(-1
x
USD
1
Month
LIBOR
+
6.500%)(Ê)
824
169
Series
2012-4033
Class
SC
Interest
Only
STRIP
6.365%
due
10/15/36
(-1
x
USD
1
Month
LIBOR
+
6.550%)(Ê)
127
2
Series
2012-4074
Class
KS
Interest
Only
STRIP
6.515%
due
02/15/41
(-1
x
USD
1
Month
LIBOR
+
6.700%)(Ê)
247
19
Series
2012-4077
Class
IK
Interest
Only
STRIP
5.000%
due
07/15/42
513
82
Series
2012-4127
Class
PI
Interest
Only
STRIP
4.500%
due
07/15/42
579
64
Series
2013-4182
Class
PI
Interest
Only
STRIP
3.000%
due
12/15/41
1,254
40
Series
2013-4265
Class
SD
Interest
Only
STRIP
5.915%
due
01/15/35
(USD
1
Month
LIBOR
+
6.100%)(Ê)
1,973
341
Series
2014-4299
Class
JI
Interest
Only
STRIP
4.000%
due
07/15/43
251
12
Series
2014-4386
Class
IL
Interest
Only
STRIP
4.000%
due
12/15/43
650
77
Series
2014-4386
Class
LI
Interest
Only
STRIP
4.000%
due
02/15/43
513
40
Series
2014-4403
Class
CI
Interest
Only
STRIP
4.000%
due
10/15/44
428
37
Series
2015-4425
Class
IO
Interest
Only
STRIP
4.000%
due
01/15/45
562
68
Series
2015-4451
Class
CI
Interest
Only
STRIP
7.000%
due
03/15/45
913
202
Series
2015-4452
Class
QI
Interest
Only
STRIP
4.000%
due
11/15/44
665
95
Series
2016-4550
Class
AI
Interest
Only
STRIP
3.000%
due
10/15/40
538
14
Series
2016-4560
Class
IO
Interest
Only
STRIP
5.810%
due
05/15/39
(~)(Ê)
895
161
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
354
Multi-Strategy
Income
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2016-4560
Class
PI
Interest
Only
STRIP
3.500%
due
05/15/45
377
24
Series
2016-4596
Class
CS
Interest
Only
STRIP
5.915%
due
06/15/46
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
1,713
302
Series
2016-4604
Class
QI
Interest
Only
STRIP
3.500%
due
07/15/46
595
62
Series
2016-4635
Class
PI
Interest
Only
STRIP
4.000%
due
12/15/46
708
63
Series
2017-4663
Class
KI
Interest
Only
STRIP
3.500%
due
11/15/42
(Š)
31
Series
2017-4663
Class
PI
Interest
Only
STRIP
4.000%
due
03/15/47
328
26
Series
2017-4697
Class
YI
Interest
Only
STRIP
3.500%
due
07/15/47
288
19
Series
2017-4707
Class
AI
Interest
Only
STRIP
4.000%
due
07/15/47
725
55
Series
2017-4731
Class
QS
Interest
Only
STRIP
6.015%
due
11/15/47
(-1
x
USD
1
Month
LIBOR
+
6.200%)(Ê)
1,032
185
Series
2018-4801
Class
IG
Interest
Only
STRIP
3.000%
due
06/15/48
431
34
Series
2018-4808
Class
SD
Interest
Only
STRIP
6.015%
due
07/15/48
(-1
x
USD
1
Month
LIBOR
+
6.200%)(Ê)
1,545
271
Series
2018-4813
Class
IO
Interest
Only
STRIP
5.500%
due
08/15/48
1,439
248
Series
2019-4900
Class
SH
Interest
Only
STRIP
5.898%
due
07/25/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
3,431
437
Series
2019-4919
Class
SP
Interest
Only
STRIP
5.888%
due
09/25/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
3,090
529
Series
2019-4928
Class
S
Interest
Only
STRIP
5.815%
due
11/25/49
(USD
1
Month
LIBOR
+
6.000%)(Ê)
1,150
187
Series
2020-4949
Class
IO
Interest
Only
STRIP
4.000%
due
01/25/50
3,259
490
Series
2020-4964
Class
IA
Interest
Only
STRIP
4.500%
due
03/25/50
2,554
434
Series
2020-4979
Class
SN
Interest
Only
STRIP
5.865%
due
06/25/50
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
1,810
331
Series
2020-4979
Class
YS
Interest
Only
STRIP
5.900%
due
06/25/50
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
1,351
258
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2020-4982
Class
DI
Interest
Only
STRIP
4.000%
due
06/25/50
2,660
337
Series
2020-5007
Class
IC
Interest
Only
STRIP
5.000%
due
08/25/50
2,840
475
Series
2020-5007
Class
SK
Interest
Only
STRIP
5.952%
due
08/25/50
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
1,206
257
Series
2020-5011
Class
SA
Interest
Only
STRIP
6.089%
due
09/25/50
(-1
x
USD
1
Month
LIBOR
+
6.250%)(Ê)
3,484
727
Series
2020-5012
Class
BI
Interest
Only
STRIP
4.000%
due
09/25/50
5,047
707
Series
2020-5014
Class
AI
Interest
Only
STRIP
4.500%
due
09/25/50
3,130
458
Series
2020-5019
Class
IP
Interest
Only
STRIP
3.000%
due
10/25/50
4,857
610
Series
2020-5023
Class
TS
Interest
Only
STRIP
6.094%
due
10/25/50
(-1
x
USD
1
Month
LIBOR
+
6.250%)(Ê)
3,249
676
Series
2020-5049
Class
AI
Interest
Only
STRIP
4.500%
due
12/25/50
3,132
547
Series
2020-5060
Class
EI
Interest
Only
STRIP
3.500%
due
01/25/51
3,443
514
Series
2020-5065
Class
MI
Interest
Only
STRIP
3.500%
due
01/25/51
1,999
318
Series
2021-5072
Class
YI
Interest
Only
STRIP
3.000%
due
01/25/51
4,579
621
Series
2021-5080
Class
IQ
Interest
Only
STRIP
3.500%
due
04/25/50
3,501
498
Series
2021-5082
Class
IQ
Interest
Only
STRIP
3.000%
due
03/25/51
5,089
626
Ginnie
Mae
II
3.500%
due
2049
74
80
5.000%
due
2049
130
143
5.500%
due
2049
26
30
5.000%
due
2050
45
50
30
Year
TBA(Ï)
4.000
1,000
1,058
Ginnie
Mae
REMICS
Series
2009-121
Class
UI
Interest
Only
STRIP
5.000%
due
12/20/39
567
91
Series
2010-9
Class
UI
Interest
Only
STRIP
5.000%
due
01/20/40
3,163
591
Series
2010-35
Class
QI
Interest
Only
STRIP
4.500%
due
03/20/40
1,283
204
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
355
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2010-H19
Class
BI
Interest
Only
STRIP
1.426%
due
08/20/60
(~)(Ê)
2,400
126
Series
2010-H20
Class
IF
Interest
Only
STRIP
1.415%
due
10/20/60
(~)(Ê)
1,117
46
Series
2010-H22
Class
CI
Interest
Only
STRIP
2.342%
due
10/20/60
(~)(Ê)
1,496
79
Series
2011-17
Class
S
Interest
Only
STRIP
5.860%
due
02/20/41
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
1,912
344
Series
2011-22
Class
PS
Interest
Only
STRIP
5.810%
due
07/20/40
(-1
x
USD
1
Month
LIBOR
+
6.000%)(Ê)
277
11
Series
2011-70
Class
WI
Interest
Only
STRIP
4.660%
due
12/20/40
(USD
1
Month
LIBOR
+
4.850%)(Ê)
3,195
449
Series
2011-135
Class
DI
Interest
Only
STRIP
5.000%
due
04/16/40
1,226
215
Series
2012-129
Class
IO
Interest
Only
STRIP
4.500%
due
11/16/42
260
41
Series
2012-136
Class
BI
Interest
Only
STRIP
3.500%
due
11/20/42
1,305
203
Series
2012-H06
Class
AI
Interest
Only
STRIP
1.302%
due
01/20/62
(~)(Ê)
5,191
186
Series
2012-H10
Class
SI
Interest
Only
STRIP
1.389%
due
12/20/61
(~)(Ê)
5,846
310
Series
2013-23
Class
IK
Interest
Only
STRIP
3.000%
due
09/20/37
750
27
Series
2013-67
Class
IP
Interest
Only
STRIP
4.000%
due
04/16/43
2,651
410
Series
2013-76
Class
IO
Interest
Only
STRIP
3.500%
due
05/20/43
354
44
Series
2013-82
Class
TI
Interest
Only
STRIP
3.500%
due
05/20/43
1,864
238
Series
2013-182
Class
SY
Interest
Only
STRIP
5.910%
due
12/20/43
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
550
89
Series
2013-H14
Class
XI
Interest
Only
STRIP
1.612%
due
03/20/63
(~)(Ê)
1,363
52
Series
2014-44
Class
IA
Interest
Only
STRIP
3.500%
due
05/20/28
1,006
56
Series
2014-58
Class
SA
Interest
Only
STRIP
5.910%
due
04/20/44
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
19
3
Series
2014-98
Class
AI
Interest
Only
STRIP
4.500%
due
10/20/41
264
5
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2014-131
Class
BS
Interest
Only
STRIP
6.005%
due
09/16/44
(-1
x
USD
1
Month
LIBOR
+
6.200%)(Ê)
1,069
261
Series
2014-137
Class
ID
Interest
Only
STRIP
5.500%
due
09/16/44
1,417
263
Series
2014-139
Class
NI
Interest
Only
STRIP
3.500%
due
08/20/28
594
13
Series
2014-184
Class
DI
Interest
Only
STRIP
5.500%
due
12/16/44
846
166
Series
2014-188
Class
IB
Interest
Only
STRIP
4.000%
due
12/20/44
1,449
155
Series
2014-H18
Class
CI
Interest
Only
STRIP
1.553%
due
09/20/64
(~)(Ê)
3,245
224
Series
2014-H22
Class
DI
Interest
Only
STRIP
1.349%
due
11/20/64
(~)(Ê)
1,672
113
Series
2014-H24
Class
BI
Interest
Only
STRIP
1.606%
due
11/20/64
(~)(Ê)
3,909
237
Series
2014-H25
Class
BI
Interest
Only
STRIP
1.662%
due
12/20/64
(~)(Ê)
3,667
216
Series
2015-20
Class
PI
Interest
Only
STRIP
3.500%
due
02/20/45
490
71
Series
2015-40
Class
KI
Interest
Only
STRIP
4.000%
due
07/20/44
1,522
167
Series
2015-69
Class
IO
Interest
Only
STRIP
5.000%
due
05/20/45
769
125
Series
2015-106
Class
CI
Interest
Only
STRIP
4.000%
due
05/20/45
563
61
Series
2015-131
Class
BI
Interest
Only
STRIP
3.500%
due
06/20/41
284
4
Series
2015-133
Class
MI
Interest
Only
STRIP
3.000%
due
05/20/44
57
Series
2015-134
Class
LI
Interest
Only
STRIP
3.500%
due
05/20/39
241
4
Series
2015-144
Class
IA
Interest
Only
STRIP
4.000%
due
01/16/43
537
41
Series
2015-162
Class
BI
Interest
Only
STRIP
4.000%
due
11/20/40
784
44
Series
2015-165
Class
IC
Interest
Only
STRIP
3.500%
due
07/16/41
1,223
60
Series
2015-167
Class
BI
Interest
Only
STRIP
4.500%
due
04/16/45
904
158
Series
2015-182
Class
IC
Interest
Only
STRIP
4.500%
due
12/20/45
1,883
355
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
356
Multi-Strategy
Income
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2015-H04
Class
AI
Interest
Only
STRIP
2.348%
due
12/20/64
(~)(Ê)
2,042
115
Series
2015-H09
Class
BI
Interest
Only
STRIP
1.660%
due
03/20/65
(~)(Ê)
498
29
Series
2015-H10
Class
CI
Interest
Only
STRIP
1.777%
due
04/20/65
(~)(Ê)
1,379
93
Series
2015-H13
Class
AI
Interest
Only
STRIP
2.172%
due
06/20/65
(~)(Ê)
2,115
147
Series
2015-H15
Class
JI
Interest
Only
STRIP
1.935%
due
06/20/65
(~)(Ê)
977
75
Series
2015-H25
Class
AI
Interest
Only
STRIP
1.583%
due
09/20/65
(~)(Ê)
1,220
72
Series
2015-H29
Class
HI
Interest
Only
STRIP
2.098%
due
09/20/65
(~)(Ê)
2,032
101
Series
2016-29
Class
IO
Interest
Only
STRIP
4.000%
due
02/16/46
752
101
Series
2016-42
Class
IO
Interest
Only
STRIP
5.000%
due
02/20/46
1,002
162
Series
2016-75
Class
EI
Interest
Only
STRIP
3.500%
due
08/20/45
649
47
Series
2016-77
Class
SL
Interest
Only
STRIP
5.960%
due
03/20/43
(USD
1
Month
LIBOR
+
6.150%)(Ê)
633
49
Series
2016-123
Class
LI
Interest
Only
STRIP
3.500%
due
03/20/44
2,179
135
Series
2016-150
Class
I
Interest
Only
STRIP
5.000%
due
11/20/46
1,053
169
Series
2016-164
Class
IO
Interest
Only
STRIP
6.500%
due
12/20/46
1,005
182
Series
2016-H01
Class
AI
Interest
Only
STRIP
2.366%
due
01/20/66
(~)(Ê)
4,762
285
Series
2016-H04
Class
KI
Interest
Only
STRIP
2.260%
due
02/20/66
(~)(Ê)
1,784
87
Series
2016-H06
Class
AI
Interest
Only
STRIP
2.371%
due
02/20/66
(~)(Ê)
1,819
125
Series
2016-H13
Class
EI
Interest
Only
STRIP
1.177%
due
04/20/66
(~)(Ê)
2,614
218
Series
2016-H13
Class
MI
Interest
Only
STRIP
1.640%
due
06/20/66
(~)(Ê)
2,364
93
Series
2016-H17
Class
DI
Interest
Only
STRIP
2.317%
due
07/20/66
(~)(Ê)
3,871
286
Series
2016-H18
Class
QI
Interest
Only
STRIP
3.324%
due
06/20/66
(~)(Ê)
2,126
208
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2016-H21
Class
AI
Interest
Only
STRIP
2.265%
due
07/26/29
(~)(Ê)
6,835
563
Series
2016-H22
Class
IO
Interest
Only
STRIP
1.832%
due
10/20/66
(~)(Ê)
1,649
118
Series
2016-H24
Class
AI
Interest
Only
STRIP
2.889%
due
11/20/66
(~)(Ê)
5,346
435
Series
2016-H24
Class
DI
Interest
Only
STRIP
2.384%
due
11/20/66
(~)(Ê)
1,784
162
Series
2016-H24
Class
KI
Interest
Only
STRIP
2.009%
due
11/20/66
(~)(Ê)
1,934
181
Series
2016-H27
Class
BI
Interest
Only
STRIP
2.482%
due
12/20/66
(~)(Ê)
3,102
289
Series
2017-11
Class
PI
Interest
Only
STRIP
4.000%
due
12/20/46
304
18
Series
2017-26
Class
EI
Interest
Only
STRIP
5.000%
due
02/20/40
1,069
104
Series
2017-26
Class
IM
Interest
Only
STRIP
6.500%
due
02/20/47
2,428
393
Series
2017-38
Class
DI
Interest
Only
STRIP
5.000%
due
03/16/47
384
69
Series
2017-42
Class
IC
Interest
Only
STRIP
4.500%
due
08/20/41
1,542
262
Series
2017-52
Class
DI
Interest
Only
STRIP
5.500%
due
04/20/47
514
97
Series
2017-66
Class
KI
Interest
Only
STRIP
4.000%
due
08/20/44
1,316
57
Series
2017-79
Class
IB
Interest
Only
STRIP
5.500%
due
05/20/47
390
79
Series
2017-99
Class
PI
Interest
Only
STRIP
4.000%
due
03/20/46
427
37
Series
2017-104
Class
MI
Interest
Only
STRIP
5.500%
due
07/16/47
1,080
241
Series
2017-118
Class
KI
Interest
Only
STRIP
3.500%
due
10/20/46
375
14
Series
2017-123
Class
JI
Interest
Only
STRIP
4.000%
due
08/20/46
494
39
Series
2017-130
Class
IB
Interest
Only
STRIP
4.000%
due
08/20/47
565
81
Series
2017-132
Class
IA
Interest
Only
STRIP
4.500%
due
09/20/47
712
120
Series
2017-136
Class
GI
Interest
Only
STRIP
3.500%
due
09/20/47
850
62
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
357
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2017-136
Class
IY
Interest
Only
STRIP
5.000%
due
03/20/45
1,750
301
Series
2017-162
Class
QI
Interest
Only
STRIP
5.000%
due
10/20/47
547
96
Series
2017-179
Class
WI
Interest
Only
STRIP
5.000%
due
12/20/47
298
56
Series
2017-H02
Class
BI
Interest
Only
STRIP
2.425%
due
01/20/67
(~)(Ê)
1,233
111
Series
2017-H02
Class
HI
Interest
Only
STRIP
2.222%
due
01/20/67
(~)(Ê)
4,062
323
Series
2017-H03
Class
AI
Interest
Only
STRIP
2.524%
due
12/20/66
(~)(Ê)
6,410
610
Series
2017-H03
Class
DI
Interest
Only
STRIP
2.715%
due
12/20/66
(~)(Ê)
5,858
590
Series
2017-H03
Class
EI
Interest
Only
STRIP
2.479%
due
01/20/67
(~)(Ê)
2,341
281
Series
2017-H03
Class
KI
Interest
Only
STRIP
2.937%
due
01/20/67
(~)(Ê)
1,226
130
Series
2017-H04
Class
AI
Interest
Only
STRIP
2.873%
due
02/20/67
(~)(Ê)
8,244
724
Series
2017-H04
Class
BI
Interest
Only
STRIP
2.447%
due
02/20/67
(~)(Ê)
5,699
547
Series
2017-H06
Class
BI
Interest
Only
STRIP
2.351%
due
02/20/67
(~)(Ê)
5,171
399
Series
2017-H06
Class
DI
Interest
Only
STRIP
1.748%
due
02/20/67
(~)(Ê)
6,666
428
Series
2017-H06
Class
MI
Interest
Only
STRIP
2.244%
due
02/20/67
(~)(Ê)
1,951
173
Series
2017-H08
Class
EI
Interest
Only
STRIP
2.566%
due
02/20/67
(~)(Ê)
3,581
306
Series
2017-H08
Class
GI
Interest
Only
STRIP
2.583%
due
02/20/67
(~)(Ê)
1,084
114
Series
2017-H08
Class
NI
Interest
Only
STRIP
2.373%
due
03/20/67
(~)(Ê)
5,244
400
Series
2017-H09
Class
DI
Interest
Only
STRIP
1.874%
due
03/20/67
(~)(Ê)
3,007
218
Series
2017-H09
Class
IO
Interest
Only
STRIP
2.185%
due
04/20/67
(~)(Ê)
6,430
450
Series
2017-H14
Class
DI
Interest
Only
STRIP
1.679%
due
06/20/67
(~)(Ê)
1,152
66
Series
2017-H14
Class
JI
Interest
Only
STRIP
2.180%
due
06/20/67
(~)(Ê)
2,063
225
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2017-H14
Class
LI
Interest
Only
STRIP
1.649%
due
06/20/67
(~)(Ê)
3,710
282
Series
2017-H15
Class
CI
Interest
Only
STRIP
1.604%
due
06/20/67
(~)(Ê)
4,195
250
Series
2017-H16
Class
EI
Interest
Only
STRIP
1.820%
due
08/20/67
(~)(Ê)
5,400
398
Series
2017-H16
Class
FI
Interest
Only
STRIP
2.371%
due
08/20/67
(~)(Ê)
8,294
555
Series
2017-H16
Class
HI
Interest
Only
STRIP
1.708%
due
08/20/67
(~)(Ê)
3,040
213
Series
2017-H16
Class
IB
Interest
Only
STRIP
1.834%
due
08/20/67
(~)(Ê)
4,576
331
Series
2017-H16
Class
IG
Interest
Only
STRIP
1.825%
due
07/20/67
(~)(Ê)
4,458
298
Series
2017-H16
Class
IO
Interest
Only
STRIP
1.905%
due
08/20/67
(~)(Ê)
3,027
290
Series
2017-H16
Class
JI
Interest
Only
STRIP
2.108%
due
08/20/67
(~)(Ê)
3,160
302
Series
2017-H18
Class
CI
Interest
Only
STRIP
2.248%
due
09/20/67
(~)(Ê)
1,292
155
Series
2017-H18
Class
FI
Interest
Only
STRIP
2.408%
due
09/20/67
(~)(Ê)
3,308
326
Series
2017-H19
Class
MI
Interest
Only
STRIP
2.051%
due
04/20/67
(~)(Ê)
3,570
275
Series
2017-H20
Class
AI
Interest
Only
STRIP
2.336%
due
10/20/67
(~)(Ê)
9,578
1,004
Series
2017-H20
Class
HI
Interest
Only
STRIP
2.305%
due
10/20/67
(~)(Ê)
2,832
264
Series
2017-H20
Class
JI
Interest
Only
STRIP
1.668%
due
09/20/67
(~)(Ê)
3,348
352
Series
2017-H21
Class
DI
Interest
Only
STRIP
1.934%
due
10/20/67
(~)(Ê)
7,200
466
Series
2017-H22
Class
GI
Interest
Only
STRIP
2.471%
due
10/20/67
(~)(Ê)
5,948
658
Series
2017-H22
Class
KI
Interest
Only
STRIP
2.289%
due
11/20/67
(~)(Ê)
2,056
199
Series
2017-H25
Class
IO
Interest
Only
STRIP
2.263%
due
11/20/67
(~)(Ê)
4,051
373
Series
2018-21
Class
IN
Interest
Only
STRIP
5.000%
due
02/20/48
1,646
297
Series
2018-67
Class
SC
Interest
Only
STRIP
6.010%
due
05/20/48
(USD
1
Month
LIBOR
+
6.200%)(Ê)
1,994
353
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
358
Multi-Strategy
Income
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2018-72
Class
IC
Interest
Only
STRIP
4.000%
due
05/20/45
1,604
242
Series
2018-89
Class
LS
Interest
Only
STRIP
6.010%
due
06/20/48
(-1
x
USD
1
Month
LIBOR
+
6.200%)(Ê)
2,992
463
Series
2018-91
Class
SJ
Interest
Only
STRIP
6.060%
due
07/20/48
(USD
1
Month
LIBOR
+
6.250%)(Ê)
2,467
388
Series
2018-127
Class
IA
Interest
Only
STRIP
3.500%
due
04/20/42
140
9
Series
2018-127
Class
IB
Interest
Only
STRIP
4.500%
due
06/20/45
1,315
100
Series
2018-127
Class
ID
Interest
Only
STRIP
5.000%
due
07/20/45
1,667
198
Series
2018-H01
Class
AI
Interest
Only
STRIP
2.332%
due
01/20/68
(~)(Ê)
1,447
145
Series
2018-H01
Class
CI
Interest
Only
STRIP
1.843%
due
01/20/68
(~)(Ê)
2,743
199
Series
2018-H01
Class
KI
Interest
Only
STRIP
1.913%
due
01/20/68
(~)(Ê)
4,988
364
Series
2018-H02
Class
AI
Interest
Only
STRIP
2.401%
due
01/20/68
(~)(Ê)
2,787
278
Series
2018-H02
Class
IM
Interest
Only
STRIP
2.338%
due
02/20/68
(~)(Ê)
3,462
360
Series
2018-H02
Class
KI
Interest
Only
STRIP
1.955%
due
02/20/68
(~)(Ê)
4,552
319
Series
2018-H04
Class
GI
Interest
Only
STRIP
1.881%
due
02/20/68
(~)(Ê)
3,903
241
Series
2018-H04
Class
IO
Interest
Only
STRIP
2.665%
due
02/20/68
(~)(Ê)
1,840
182
Series
2018-H04
Class
MI
Interest
Only
STRIP
1.837%
due
03/20/68
(~)(Ê)
5,254
306
Series
2018-H05
Class
BI
Interest
Only
STRIP
2.563%
due
02/20/68
(~)(Ê)
2,651
253
Series
2018-H05
Class
ID
Interest
Only
STRIP
2.501%
due
03/20/68
(~)(Ê)
2,082
237
Series
2018-H05
Class
IE
Interest
Only
STRIP
2.482%
due
02/20/68
(~)(Ê)
6,484
636
Series
2018-H06
Class
HI
Interest
Only
STRIP
1.877%
due
04/20/68
(~)(Ê)
4,025
252
Series
2018-H06
Class
KI
Interest
Only
STRIP
3.058%
due
04/20/68
(~)(Ê)
2,352
206
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2018-H08
Class
FI
Interest
Only
STRIP
0.254%
due
06/20/68
(~)(Ê)
2,846
228
Series
2019-6
Class
SM
Interest
Only
STRIP
5.860%
due
01/20/49
(USD
1
Month
LIBOR
+
6.050%)(Ê)
1,292
179
Series
2019-20
Class
SC
Interest
Only
STRIP
5.910%
due
02/20/49
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
2,960
496
Series
2019-23
Class
VS
Interest
Only
STRIP
5.960%
due
02/20/49
(-1
x
USD
1
Month
LIBOR
+
6.150%)(Ê)
1,698
274
Series
2019-78
Class
SJ
Interest
Only
STRIP
5.860%
due
06/20/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
118
13
Series
2019-78
Class
SM
Interest
Only
STRIP
5.910%
due
06/20/49
(USD
1
Month
LIBOR
+
6.100%)(Ê)
1,641
213
Series
2019-83
Class
JS
Interest
Only
STRIP
5.910%
due
07/20/49
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
2,683
338
Series
2019-90
Class
SJ
Interest
Only
STRIP
5.948%
due
07/20/49
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
3,058
547
Series
2019-99
Class
KS
Interest
Only
STRIP
5.860%
due
08/20/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
98
14
Series
2019-110
Class
S
Interest
Only
STRIP
5.860%
due
09/20/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
2,490
405
Series
2019-123
Class
SL
Interest
Only
STRIP
5.960%
due
10/20/49
(-1
x
USD
1
Month
LIBOR
+
6.150%)(Ê)
2,586
318
Series
2019-137
Class
GI
Interest
Only
STRIP
4.000%
due
11/20/49
1,693
220
Series
2019-143
Class
HS
Interest
Only
STRIP
5.860%
due
09/20/49
(USD
1
Month
LIBOR
+
6.050%)(Ê)
1,328
167
Series
2019-H15
Class
CI
Interest
Only
STRIP
1.617%
due
07/20/69
(~)(Ê)
4,188
178
Series
2019-H15
Class
MI
Interest
Only
STRIP
1.801%
due
09/20/69
(~)(Ê)
3,971
207
Series
2019-H16
Class
IA
Interest
Only
STRIP
1.744%
due
10/20/69
(~)(Ê)
4,623
223
Series
2020-7
Class
IB
Interest
Only
STRIP
4.000%
due
01/20/50
4,602
537
Series
2020-15
Class
CS
Interest
Only
STRIP
5.860%
due
02/20/50
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
316
44
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
359
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2020-32
Class
IV
Interest
Only
STRIP
3.000%
due
03/20/50
2,625
179
Series
2020-46
Class
MI
Interest
Only
STRIP
4.000%
due
04/01/50
1,503
180
Series
2020-47
Class
SG
Interest
Only
STRIP
5.813%
due
02/20/49
(USD
1
Month
LIBOR
+
6.000%)(Ê)
3,075
553
Series
2020-79
Class
DI
Interest
Only
STRIP
3.500%
due
06/20/50
4,774
581
Series
2020-84
Class
ES
Interest
Only
STRIP
6.004%
due
06/20/50
(USD
1
Month
LIBOR
+
6.150%)(Ê)
2,402
470
Series
2020-148
Class
AS
Interest
Only
STRIP
6.154%
due
10/20/50
(-1
x
USD
1
Month
LIBOR
+
6.300%)(Ê)
2,154
496
Series
2020-176
Class
BI
Interest
Only
STRIP
3.000%
due
11/20/50
2,024
264
Series
2020-H02
Class
AI
Interest
Only
STRIP
1.652%
due
01/20/70
(~)(Ê)
16,841
780
Series
2021-42
Class
IG
Interest
Only
STRIP
3.000%
due
03/20/51
2,149
168
Series
2021-49
Class
SB
Interest
Only
STRIP
6.193%
due
03/20/51
(-1
x
USD
1
Month
LIBOR
+
6.300%)(Ê)
2,577
443
Series
2021-57
Class
SD
Interest
Only
STRIP
6.194%
due
03/20/51
(-1
x
USD
1
Month
LIBOR
+
6.300%)(Ê)
3,948
506
Series
2021-59
Class
SU
Interest
Only
STRIP
6.184%
due
04/20/51
(-1
x
USD
1
Month
LIBOR
+
6.300%)(Ê)
3,505
584
Series
2021-77
Class
IL
Interest
Only
STRIP
3.000%
due
07/20/50
2,058
138
Series
2021-77
Class
SM
Interest
Only
STRIP
6.199%
due
05/20/51
(-1
x
USD
1
Month
LIBOR
+
6.300%)(Ê)
1,859
310
Series
2021-78
Class
IP
Interest
Only
STRIP
3.000%
due
05/20/51
5,738
412
Series
2021-97
Class
QI
Interest
Only
STRIP
3.000%
due
06/20/51
4,115
338
131,660
Non-US
Bonds
-
3.1%
Bank
of
Ireland
Group
PLC
7.500%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
7.924%)(Ê)(ƒ)
EUR
200
280
Brazil
Notas
do
Tesouro
Nacional
Series
NTNF
10.000%
due
01/01/23
BRL
1,060
211
10.000%
due
01/01/25
BRL
1,690
339
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
10.000%
due
01/01/27
BRL
1,959
393
Chile
Bonos
de
la
Tesoreria
4.500%
due
03/01/26
CLP
840,000
1,166
Colombian
Titulos
de
Tesoreria
Series
B
10.000%
due
07/24/24
COP
101,000
30
7.500%
due
08/26/26
COP
5,531,400
1,516
7.750%
due
09/18/30
COP
173,500
47
Commerzbank
AG
4.250%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
4.387%)(Ê)(ƒ)
EUR
200
241
Czech
Republic
Government
International
Bond
Series
94
0.950%
due
05/15/30
CZK
3,670
161
Series
97
0.450%
due
10/25/23
CZK
58,730
2,671
Dominican
Republic
Government
International
Bond
8.000%
due
06/11/28
(Þ)
DOP
300
6
Electricite
de
France
SA
5.000%
due
01/22/49
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
12
Year
Rate
+
3.043%)(Ê)(ƒ)
EUR
100
134
2.625%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
2.860%)(Ê)(ƒ)
EUR
200
243
Hungary
Government
International
Bond
Series
23/A
6.000%
due
11/24/23
HUF
87,000
317
Indonesia
Treasury
Bond
Series
FR72
8.250%
due
05/15/36
IDR
10,280,000
791
Series
FR73
8.750%
due
05/15/31
IDR
17,670,000
1,429
Mexican
Bonos
Series
M
20
7.500%
due
06/03/27
MXN
1,640
86
Series
M
8.000%
due
12/07/23
MXN
32,430
1,703
7.750%
due
11/23/34
MXN
5,161
273
Peruvian
Government
International
Bond
6.950%
due
08/12/31
PEN
1,500
386
Series
REGS
5.700%
due
08/12/24
PEN
650
172
6.900%
due
08/12/37
PEN
2,716
638
6.850%
due
02/12/42
PEN
270
62
Philippine
Government
International
Bond
Series
1060
3.625%
due
09/09/25
PHP
9,900
206
Republic
of
South
Africa
Government
International
Bond
Series
2048
8.750%
due
02/28/48
ZAR
4,010
230
Series
R214
6.500%
due
02/28/41
ZAR
17,320
788
Romania
Government
International
Bond
Series
10Y
5.850%
due
04/26/23
RON
830
212
4.750%
due
02/24/25
RON
1,415
363
Series
15YR
5.800%
due
07/26/27
RON
1,000
275
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
360
Multi-Strategy
Income
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Royal
Bank
of
Canada
3.650%
due
11/24/81
(Canadian
Government
Bonds
5
Year
Note
+
2.665%)(Ê)
CAD
200
160
Russian
Federal
Bond
-
OFZ
Series
6212
7.050%
due
01/19/28
RUB
141,331
1,965
Series
6230
7.700%
due
03/16/39
RUB
6,600
97
Thailand
Government
International
Bond
2.000%
due
12/17/22
THB
15,733
489
3.625%
due
06/16/23
THB
6,250
201
3.850%
due
12/12/25
THB
5,203
179
3.580%
due
12/17/27
THB
7,920
277
UniCredit
SpA
4.450%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
4.606%)(Ê)(ƒ)
EUR
200
241
VIVAT
NV
7.000%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
6.463%)(Ê)(ƒ)
EUR
200
273
19,251
Total
Long-Term
Investments
(cost
$238,821)
240,493
Common
Stocks
-
45.9%
Consumer
Discretionary
-
5.8%
adidas
AG
2,330
846
Aisin
Seiki
Co.,
Ltd.
21,400
866
Amazon.com,
Inc.(Æ)
191
636
Aoyama
Trading
Co.,
Ltd.(Æ)
25,600
164
B&M
European
Value
Retail
SA
12,122
93
Barnes
&
Noble
Education,
Inc.(Æ)
190,762
1,593
Boyd
Gaming
Corp.(Æ)
3,274
187
Caesars
Entertainment,
Inc.(Æ)
1,350
118
Caleres
,
Inc.
105,096
2,599
Carrols
Restaurant
Group,
Inc.(Æ)
295,524
1,451
Charming
Charlie,
Inc.(Æ)(Š)
1,147,677
Cie
Generale
des
Etablissements
Michelin
SCA
Class
B
405
66
Citizen
Watch
Co.,
Ltd.
163,700
641
City
Developments,
Ltd.
15,900
80
Comcast
Corp.
Class
A
3,037
179
Comet
Holding
AG
1,644
539
Costco
Wholesale
Corp.
333
143
Davide
Campari-Milano
NV(Æ)
47,708
672
Dechra
Pharmaceuticals
PLC
18,634
1,286
Del
Taco
Restaurants,
Inc.(Æ)
86,996
740
Dollar
General
Corp.
438
102
Dollar
Tree,
Inc.(Æ)
677
68
DR
Horton,
Inc.
676
65
Fortune
Brands
Home
&
Security,
Inc.
866
84
Fossil
Group,
Inc.(Æ)
97,942
1,236
Games
Workshop
Group
PLC
2,904
459
Garmin,
Ltd.
840
132
Gentex
Corp.
2,206
75
Genuine
Parts
Co.
438
56
Grand
Canyon
Education,
Inc.(Æ)
833
77
H&R
Block,
Inc.
98,870
2,426
Hermes
International
80
122
Home
Depot,
Inc.
(The)
724
238
Honda
Motor
Co.,
Ltd.
78,200
2,501
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
J
Front
Retailing
Co.,
Ltd.
71,600
603
Kering
1,330
1,194
Komeri
Co.,
Ltd.
28,100
682
K's
Holdings
Corp.
18,900
223
LKQ
Corp.(Æ)
2,005
102
LVMH
Moet
Hennessy
Louis
Vuitton
SE
-
ADR
132
106
MIPS
AB
4,919
518
Moncler
SpA
15,621
1,076
Nike,
Inc.
Class
B
656
110
Nissan
Motor
Co.,
Ltd.(Æ)
67,200
389
NVR,
Inc.(Æ)
10
52
On
the
Beach
Group
PLC(Æ)(Þ)
104,743
473
Pernod
Ricard
SA
2,773
612
Persimmon
PLC
Class
A
1,811
73
Pou
Chen
Corp.
Class
B
49,000
62
PulteGroup,
Inc.
1,630
89
Sands
China,
Ltd.(Æ)
26,800
92
Santos
Brasil
Participacoes
SA(Æ)
100,800
175
SEB
SA
316
53
SGS
SA
17
55
SMART
Global
Holdings,
Inc.(Æ)
47,058
2,204
Sumitomo
Electric
Industries,
Ltd.
130,100
1,849
Swatch
Group
AG
(The)
1,442
94
Swatch
Group
AG
(The)
Class
B
187
62
Takashimaya
Co.,
Ltd.
29,500
305
Target
Corp.
726
190
Teleperformance
-
GDR
3,930
1,658
TJX
Cos.,
Inc.
(The)
1,317
91
Tractor
Supply
Co.
326
59
United
Arrows,
Ltd.
16,000
278
Wacoal
Holdings
Corp.
15,700
358
Walmart,
Inc.
516
74
Walt
Disney
Co.
(The)(Æ)
589
104
Xebio
Holdings
Co.,
Ltd.
21,000
192
Yamada
Denki
Co.,
Ltd.
188,600
890
35,687
Consumer
Staples
-
2.1%
Adecoagro
SA(Æ)
80,146
766
Ajinomoto
Co.,
Inc.
12,100
308
Ambev
SA
35,900
115
Astarta
Holding
NV
19,130
237
Carrefour
SA
12,964
241
Clorox
Co.
(The)
427
77
Colruyt
SA
1,711
97
CVS
Health
Corp.
1,059
87
Dino
Polska
SA(Æ)(Þ)
9,549
764
Estee
Lauder
Cos.,
Inc.
(The)
Class
A
215
72
First
Resources,
Ltd.
509,600
512
General
Mills,
Inc.
2,030
119
Golden
Agri-Resources,
Ltd.
6,929,120
1,176
HelloFresh
SE(Æ)
12,609
1,183
Henkel
AG
&
Co.
KGaA
473
43
Hormel
Foods
Corp.
1,234
57
ICA
Gruppen
AB
846
42
Ingredion,
Inc.
446
39
Japan
Tobacco,
Inc.
116,100
2,270
JM
Smucker
Co.
(The)
878
115
Kao
Corp.
7,500
451
Kernel
Holding
SA
46,554
644
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
361
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Kirin
Holdings
Co.,
Ltd.
110,100
2,015
Koninklijke
Ahold
Delhaize
NV
4,146
129
Lenta
PLC
-
GDR(Æ)
112,968
360
L'Oreal
SA
130
60
NH
Foods,
Ltd.
10,800
437
North
West
Co.,
Inc.
(The)
1,843
54
PepsiCo,
Inc.
345
54
Procter
&
Gamble
Co.
(The)
1,699
242
PZ
Cussons
PLC
18,265
64
Russel
Metals,
Inc.
4,296
121
Saputo,
Inc.
-
ADR
1,555
45
Stock
Spirits
Group
PLC
22,055
79
13,075
Energy
-
2.1%
Cenovus
Energy,
Inc.
98,569
822
Chevron
Corp.
823
84
China
Petroleum
&
Chemical
Corp.
Class
H
180,000
82
China
Shenhua
Energy
Co.,
Ltd.
Class
H
157,500
299
Crescent
Point
Energy
Corp.(Ñ)
56,445
206
Denison
Mines
Corp.(Æ)
145,547
157
Exxon
Mobil
Corp.
1,668
96
Fission
Uranium
Corp.(Æ)
493,461
214
Formosa
Petrochemical
Corp.
15,000
52
Gazprom
PJSC
654,126
2,549
GS
Holdings
Corp.
3,211
119
Japan
Petroleum
Exploration
Co.,
Ltd.
9,100
151
NAC
Kazatomprom
JSC
-
GDR
40,218
1,002
NexTier
Oilfield
Solutions,
Inc.(Æ)
378,199
1,445
ONEOK,
Inc.
2,566
133
Range
Resources
Corp.(Æ)
60,932
928
Schneider
Electric
SE
343
57
SM
Energy
Co.
140,965
2,637
Southwestern
Energy
Co.(Æ)
198,616
935
Targa
Resources
Corp.
9,324
393
Williams
Cos.,
Inc.
(The)
20,814
521
12,882
Financial
Services
-
11.6%
3i
Group
PLC
7,211
128
Activia
Properties,
Inc.(ö)
41
186
Aedifica
(ö)
1,316
189
AerCap
Holdings
NV(Æ)
21,306
1,129
Aflac,
Inc.
2,194
121
Allianz
SE
392
98
Allied
Properties
Real
Estate
Investment
Trust(ö)
6,714
246
alstria
office
REIT-AG(ö)
9,699
205
American
Tower
Corp.(ö)
405
115
Americold
Realty
Trust(ö)
7,896
307
Apartment
Income
REIT
Corp.(ö)
4,914
259
Apple
Hospitality
REIT,
Inc.(ö)
172,135
2,573
Argan
SA(ö)
675
88
Assicurazioni
Generali
SpA
5,103
102
Assura
PLC(ö)
165,594
179
Axis
Capital
Holdings,
Ltd.
46,308
2,356
Big
Yellow
Group
PLC(ö)
8,111
164
BlackRock,
Inc.
Class
A
117
101
Blucora
,
Inc.(Æ)
67,224
1,133
Bridgepoint
Group
PLC(Æ)
40,971
276
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
British
Land
Co.
PLC
(The)(ö)
38,792
275
Brixmor
Property
Group,
Inc.(ö)
76,282
1,756
Canadian
Apartment
Properties(ö)
1,657
83
CapitaLand
Mall
Trust
Class
A(ö)
116,088
184
CapitaLand,
Ltd.
26,700
79
Castellum
AB
7,339
206
Catena
AB
1,669
100
CBRE
Group,
Inc.
Class
A(Æ)
2,121
205
Charles
Schwab
Corp.
(The)
1,452
99
Charter
Hall
Group
-
ADR(ö)
28,643
343
China
Common
Rich
Renewable
Energy
Investments,
Ltd.(Æ)(Š)
205,123
China
Life
Insurance
Co.,
Ltd.
101,000
95
Chubb,
Ltd.
554
93
CK
Asset
Holdings,
Ltd.
42,500
290
Commerce
Bancshares,
Inc.
890
63
Credit
Saison
Co.,
Ltd.
88,100
1,049
CTP
NV(Æ)(Þ)
5,015
101
Curo
Group
Holdings
Corp.
67,802
1,069
CyrusOne
,
Inc.(ö)
5,971
426
Daibiru
Corp.
18,600
238
Dai-ichi
Life
Holdings,
Inc.
92,300
1,705
Deutsche
Wohnen
SE
1,411
88
Digital
Realty
Trust,
Inc.(ö)
1,993
307
Duke
Realty
Corp.(ö)
9,469
482
Dundee
Corp.
Class
A
60,021
82
Emerald
Holding,
Inc.(Æ)
179,092
707
Emlak
Konut
Gayrimenkul
Yatirim
Ortakligi
AS(ö)
311,592
67
Equinix
,
Inc.(Æ)(ö)
461
378
Equities
AB
21,777
1,052
ESR
Cayman,
Ltd.(Æ)(Þ)
22,200
78
Essex
Property
Trust,
Inc.(ö)
1,695
556
Etalon
Group
PLC
-
GDR
197,688
325
Extra
Space
Storage,
Inc.(ö)
4,734
824
EZCORP,
Inc.
Class
A(Æ)
192,335
1,100
Fastighets
AB
Balder
Class
B(Æ)
3,021
209
Fidelity
National
Financial,
Inc.
870
39
First
Foundation,
Inc.
73,058
1,722
FirstRand,
Ltd.
21,917
81
Franklin
Resources,
Inc.
4,121
122
Gjensidige
Forsikring
ASA
2,709
62
GLP
J-REIT(Æ)(ö)
129
231
Goodman
Group(ö)
6,154
102
Granite
Real
Estate
Investment
Trust(ö)
1,202
83
Great-West
Lifeco
,
Inc.
4,350
131
Hachijuni
Bank,
Ltd.
(The)
52,700
171
Healthcare
Trust
of
America,
Inc.
Class
A(ö)
7,247
207
Healthpeak
Properties,
Inc.(ö)
18,832
696
Highwoods
Properties,
Inc.(ö)
3,576
171
Hirogin
Holdings,
Inc.
42,000
226
HomeStreet
,
Inc.
32,284
1,217
Host
Hotels
&
Resorts,
Inc.(Æ)(ö)
21,332
340
iA
Financial
Corp.,
Inc.
1,048
58
ICADE(ö)
1,609
147
IG
Group
Holdings
PLC
6,752
84
Instone
Real
Estate
Group
AG(Þ)
5,431
168
Interactive
Brokers
Group,
Inc.
Class
A
1,101
68
InterRent
Real
Estate
Investment
Trust(ö)
8,196
118
Invincible
Investment
Corp.(ö)
338
133
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
362
Multi-Strategy
Income
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Invitation
Homes,
Inc.(ö)
7,726
314
Japan
Retail
Fund
Investment
Corp.(ö)
173
181
Jones
Lang
LaSalle,
Inc.(Æ)
1,754
390
JPMorgan
Chase
&
Co.
1,421
216
Kasikornbank
PCL
23,300
73
Keppel
DC
REIT(ö)
42,400
83
Keppel
REIT(ö)
109,000
97
Kimco
Realty
Corp.(ö)
13,636
291
Klepierre
SA
-
GDR(ö)
9,517
231
Korean
Reinsurance
Co.
21,445
178
LEG
Immobilien
AG
854
135
Link
Real
Estate
Investment
Trust(ö)
37,930
363
London
Stock
Exchange
Group
PLC
8,125
846
LondonMetric
Property
PLC(ö)
30,911
107
LSR
Group
PJSC
25,878
269
LX
Holdings
Corp.(Æ)
1,079
10
M&T
Bank
Corp.
440
59
Manulife
Financial
Corp.
4,876
94
MasterCard,
Inc.
Class
A
215
83
Medical
Properties
Trust,
Inc.(ö)
11,936
251
Merck
&
Co.,
Inc.
1,596
123
Mirvac
Group(ö)
185,380
390
Mitsubishi
Estate
Co.,
Ltd.
164,100
2,575
Mitsubishi
UFJ
Financial
Group,
Inc.
196,100
1,039
Mitsubishi
UFJ
Lease
&
Finance
Co.,
Ltd.
47,700
260
Mitsui
Fudosan
Co.,
Ltd.
19,400
454
Mitsui
Fudosan
Logistics
Park,
Inc.(ö)
16
90
Monmouth
Real
Estate
Investment
Corp.
(Æ)
5,484
139
Moscow
Exchange
MICEX-RTS
PJSC
129,697
307
MS&AD
Insurance
Group
Holdings,
Inc.
21,000
649
Neinor
Homes
SA(Æ)(Þ)
6,577
96
Nippon
Building
Fund,
Inc.(ö)
32
207
Nishi-Nippon
Financial
Holdings,
Inc.
25,200
142
NMI
Holdings,
Inc.
Class
A(Æ)
167,846
3,697
NN
Group
NV
2,090
104
Nomura
Holdings,
Inc.
104,900
524
North
Pacific
Bank,
Ltd.
88,100
188
Northern
Trust
Corp.
525
59
Orix
JREIT,
Inc.(ö)
30
57
Park
Hotels
&
Resorts,
Inc.(Æ)(ö)
5,036
93
Parkway
Life
Real
Estate
Investment
Trust(Æ)(ö)
45,900
157
Partners
Group
Holding
AG
788
1,347
Picton
Property
Income,
Ltd.
(The)(ö)
66,859
85
Popular,
Inc.
38,695
2,816
Principal
Financial
Group,
Inc.
476
30
Progressive
Corp.
(The)
1,263
120
Prologis,
Inc.(ö)
7,456
955
Prosperity
Bancshares,
Inc.
1,011
69
Prosus
NV(Æ)
8,098
719
Public
Storage(ö)
4,087
1,277
Raymond
James
Financial,
Inc.
670
87
Rexford
Industrial
Realty,
Inc.(Æ)
6,300
165
RMR
Group,
Inc.
(The)
Class
A
37,222
1,461
Ruentex
Development
Co.,
Ltd.
45,000
101
Safestore
Holdings
PLC(ö)
13,643
200
Savills
PLC
9,660
154
Sberbank
of
Russia
PJSC
168,110
704
Schroders
PLC
1,626
83
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Segro
PLC(ö)
25,514
432
Simon
Property
Group,
LP(ö)
6,286
795
SP
Plus
Corp.(Æ)
60,966
1,999
Sprott
,
Inc.
14,598
538
Standard
Life
Aberdeen
PLC(Æ)
18,874
74
Sumitomo
Mitsui
Banking
Corp.
69,900
2,356
Sumitomo
Mitsui
Trust
Holdings,
Inc.
52,200
1,715
Summit
Industrial
Income
REIT(ö)
4,485
68
Sun
Communities,
Inc.(ö)
2,233
438
Sun
Hung
Kai
Properties,
Ltd.
30,500
437
Sun
Life
Financial,
Inc.
1,380
72
T.
Rowe
Price
Group,
Inc.
529
108
Target
Healthcare
REIT
PLC(ö)
45,857
79
Tokyu
Fudosan
Holdings
Corp.
16,800
95
Travelers
Cos.,
Inc.
(The)
291
43
Tritax
Big
Box
REIT
PLC(ö)
65,565
192
Truist
Financial
Corp.
1,489
81
Turkiye
Halk
Bankasi
AS(Æ)
539,138
294
UDR,
Inc.(ö)
13,658
751
Unibail
-
Rodamco
-Westfield(Æ)(ö)
1,114
93
United
Urban
Investment
Corp.(ö)
82
121
Ventas,
Inc.(ö)
10,669
638
VEREIT,
Inc.(ö)
11,632
570
VGP
NV
552
114
VICI
Properties,
Inc.(Ñ)(ö)
3,873
121
Visa,
Inc.
Class
A
368
91
Vonovia
SE
11,208
747
VTB
Bank
PJSC
410,510,000
273
Welltower
,
Inc.(ö)
4,184
363
Weyerhaeuser
Co.(ö)
3,242
109
Wharf
Real
Estate
Investment
Co.,
Ltd.
27,000
153
Wihlborgs
Fastigheter
AB
3,604
84
Workspace
Group
PLC(ö)
6,775
81
Yellow
Cake
PLC(Æ)(Þ)
86,825
339
Zurich
Insurance
Group
AG
150
60
71,564
Health
Care
-
2.7%
Abbott
Laboratories
840
102
AbbVie,
Inc.
1,531
178
AddLife
AB
Class
B
19,194
641
Agilent
Technologies,
Inc.
709
109
Ambu
A/S
Class
B(Ñ)
16,539
612
Amgen,
Inc.
333
80
Anthem,
Inc.(Æ)
129
50
Bristol-Myers
Squibb
Co.
2,059
140
Cellavision
AB
9,782
515
Chemed
Corp.
122
58
ChemoMetec
A/S
5,294
849
Cigna
Corp.
262
60
Edwards
Lifesciences
Corp.(Æ)
531
60
Evotec
SE(Æ)
20,692
859
H.U.
Group
Holdings,
Inc.
16,800
437
Henry
Schein,
Inc.(Æ)
1,049
84
Humana,
Inc.
99
42
Intuitive
Surgical,
Inc.(Æ)
61
60
Japan
Lifeline
Co.,
Ltd.
51,200
645
Johnson
&
Johnson
1,567
270
KYORIN
Holdings,
Inc.
42,400
690
Lantheus
Holdings,
Inc.(Æ)
58,302
1,526
Lifco
AB(Æ)
20,410
599
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
363
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Lonza
Group
AG
947
737
Medtronic
PLC
696
91
Novartis
AG
1,237
114
Novo
Nordisk
A/S
Class
B
14,001
1,297
Organon
&
Co.
159
5
Orion
OYJ
Class
B
1,879
80
Pfizer,
Inc.
2,009
86
PolyPeptide
Group
AG(Æ)(Þ)
5,176
564
Regeneron
Pharmaceuticals,
Inc.(Æ)
83
48
ResMed
,
Inc.
235
64
Roche
Holding
AG
264
102
Sawai
Group
Holdings
Co.,
Ltd.
14,400
616
Siemens
Healthineers
AG(Þ)
12,297
813
Sonova
Holding
AG
179
70
Straumann
Holding
AG
310
575
Stryker
Corp.
336
91
Suzuken
Co.,
Ltd.
12,900
374
Takeda
Pharmaceutical
Co.,
Ltd.
50,400
1,675
Thermo
Fisher
Scientific,
Inc.
219
118
Toho
Holdings
Co.,
Ltd.
25,100
422
UnitedHealth
Group,
Inc.
439
181
Universal
Health
Services,
Inc.
Class
B
617
99
West
Pharmaceutical
Services,
Inc.
171
70
16,958
Materials
and
Processing
-
7.1%
AddTech
AB
Class
B
32,046
666
Akzo
Nobel
NV
694
86
Artemis
Gold,
Inc.(Æ)
75,256
377
Asahi
Glass
Co.,
Ltd.
4,400
189
BASF
SE
1,528
120
Bear
Creek
Mining
Corp.(Æ)
110,946
137
Brenntag
AG
925
92
Cameco
Corp.
Class
A
110,995
1,976
Carel
Industries
SpA
(Þ)
12,965
309
CCL
Industries,
Inc.
Class
B
1,095
63
Centerra
Gold,
Inc.
225,146
1,810
Cornerstone
Building
Brands,
Inc.(Æ)
87,833
1,477
Fastenal
Co.
996
55
Ferguson
PLC
521
73
Formosa
Chemicals
&
Fibre
Corp.
34,000
100
Fresnillo
PLC
47,689
542
Gabriel
Resources,
Ltd.(Æ)
1,655,929
358
Geberit
AG
74
61
Getlink
SE
36,616
586
Gold
Fields,
Ltd.
-
ADR
49,222
485
Harmony
Gold
Mining
Co.,
Ltd.
-
ADR(Ñ)
33,548
138
Hokuetsu
Corp.
67,200
375
IAMGOLD
Corp.(Æ)
35,669
98
IMI
PLC
4,791
117
Impala
Platinum
Holdings,
Ltd.
5,436
98
International
Tower
Hill
Mines,
Ltd.(Æ)
97,110
98
ITT,
Inc.
932
91
Ivanhoe
Mines,
Ltd.
Class
A(Æ)
101,226
751
JFE
Holdings,
Inc.
104,900
1,285
Koninklijke
DSM
NV
4,810
970
Kuraray
Co.,
Ltd.
63,100
586
Lanxess
AG
10,943
793
LG
Corp.
Class
H
2,226
183
Linde
PLC(Æ)
389
120
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
MHP
SE
-
GDR
98,982
537
Mosaic
Co.
(The)
88,959
2,778
New
Gold,
Inc.(Æ)
131,852
216
Newcrest
Mining,
Ltd.
116,623
2,273
NexGen
Energy,
Ltd.(Æ)(Ñ)
278,237
1,175
Nippon
Steel
Corp.
137,200
2,398
Northern
Dynasty
Minerals,
Ltd.(Æ)(Ñ)
419,503
182
NOVAGOLD
Resources,
Inc.(Æ)
41,672
326
NSK,
Ltd.
75,300
622
Pan
American
Silver
Corp.
16,583
466
Polyus
PJSC
-
GDR
11,176
1,077
PPG
Industries,
Inc.
594
97
Reliance
Steel
&
Aluminum
Co.
390
61
Rio
Tinto
PLC
1,756
150
Royal
Gold,
Inc.
2,348
285
Seabridge
Gold,
Inc.(Æ)(Ñ)
66,375
1,202
Sika
AG
1,701
599
Simcorp
SA
-
ADR
2,858
397
Sonoco
Products
Co.
487
31
Stella-Jones
Corp.
1,717
62
Toray
Industries,
Inc.
127,700
842
Trane
Technologies
PLC
423
86
Tronox
Holdings
PLC
Class
A
209,626
3,864
Turquoise
Hill
Resources,
Ltd.(Æ)(Ñ)
164,656
2,750
Univar
Solutions,
Inc.
-
ADR(Æ)
88,931
2,182
Valvoline,
Inc.
76,861
2,358
Venator
Materials
PLC(Æ)
248,939
789
Watsco
,
Inc.
317
90
Western
Copper
&
Gold
Corp.(Æ)
59,283
114
Wheaton
Precious
Metals
Corp.
15,033
694
Yara
International
ASA
2,913
153
44,121
Producer
Durables
-
6.4%
3M
Co.
786
156
ABB,
Ltd.
2,714
99
Adecco
Group
AG
983
59
Aena
SME
SA(Æ)(Þ)
6,555
1,044
Aeroports
de
Paris(Æ)
1,752
213
Air
Transport
Services
Group,
Inc.(Æ)
56,991
1,379
Altus
Group,
Ltd.
1,640
77
Ametek
,
Inc.
518
72
AO
Smith
Corp.
1,297
91
Atlantia
SpA
(Æ)
14,916
271
Atlas
Copco
AB(Æ)
1,443
98
Auckland
International
Airport,
Ltd.(Æ)
96,074
485
Canadian
National
Railway
Co.
1,305
142
Canadian
Pacific
Railway,
Ltd.
1,213
90
CH
Robinson
Worldwide,
Inc.
804
72
Chicony
Electronics
Co.,
Ltd.
35,000
101
Cintas
Corp.
224
88
CK
Hutchison
Holdings,
Ltd.
Class
B
13,500
99
COSCO
SHIPPING
Ports,
Ltd.
202,000
144
Covenant
Transportation
Group,
Inc.
Class
A(Æ)
52,517
1,103
Cummins,
Inc.
662
154
Daqin
Railway
Co.,
Ltd.
Class
A
97,000
88
Deutsche
Post
AG
1,856
126
DL
E&C
Co.,
Ltd.(Æ)
1,098
140
Dover
Corp.
372
62
DSV
Panalpina
A/S
3,815
929
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
364
Multi-Strategy
Income
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
East
Japan
Railway
Co.
28,600
1,908
Eaton
Corp.
PLC
638
101
Eiffage
SA
1,874
191
Emerson
Electric
Co.
1,213
122
Epiroc
AB
Class
A
47,105
1,101
Equinox
Gold
Corp.(Æ)(Ñ)
51,451
358
Expeditors
International
of
Washington,
Inc.
1,112
143
Flughafen
Zurich
AG(Æ)
1,130
182
Fukuda
Corp.
2,400
109
Graco
,
Inc.
1,139
89
Grupo
Aeroportuario
del
Centro
Norte
SAB
de
CV
Class
B(Æ)
13,770
84
Grupo
Aeroportuario
del
Pacifico
SAB
de
CV
Class
B(Æ)
22,666
261
Grupo
Aeroportuario
del
Pacifico
SAB
de
CV
-
ADR(Æ)
2,702
310
Guangshen
Railway
Co.,
Ltd.
Class
H(Æ)
1,294,000
223
Hamburger
Hafen
und
Logistik
AG
4,016
95
Hankook
Technology
Group
Co.,
Ltd.
17,985
281
Heidrick
&
Struggles
International,
Inc.
41,867
1,788
Hubbell,
Inc.
Class
B
458
92
Illinois
Tool
Works,
Inc.
334
76
Japan
Airport
Terminal
Co.,
Ltd.(Æ)
1,100
48
Japan
Steel
Works,
Ltd.
(The)
7,500
184
JGC
Holdings
Corp.
117,100
1,061
Johnson
Controls
International
PLC(Æ)
1,509
108
Kajima
Corp.
83,900
1,085
Kamigumi
Co.,
Ltd.
11,700
248
KBR,
Inc.
39,738
1,538
Komatsu,
Ltd.
35,700
931
Kone
OYJ
Class
B
498
41
Koninklijke
Vopak
NV
1,271
54
Kuehne
&
Nagel
International
AG
268
90
Luks
Group
Vietnam
Holdings
Co.,
Ltd.
390,000
76
Macquarie
Infrastructure
Corp.
5,415
214
Meitec
Corp.
8,000
452
Mitsubishi
Corp.
82,700
2,333
Mitsui
&
Co.,
Ltd.
36,800
849
Nestle
SA
1,061
134
NGK
Spark
Plug
Co.,
Ltd.
25,200
371
Norfolk
Southern
Corp.
1,258
324
Obayashi
Corp.
50,400
414
Old
Dominion
Freight
Line,
Inc.
240
65
Organo
Corp.
4,900
283
OSG
Corp.
17,600
329
Park24
Co.,
Ltd.
19,200
363
Paychex,
Inc.
1,144
130
Pentair
PLC
1,377
101
Pyeong
Hwa
Automotive
Co.,
Ltd.
9,470
90
Qube
Holdings,
Ltd.
184,891
397
Radiant
Logistics,
Inc.(Æ)
130,379
811
Real
Alloy(Æ)(Š)
42
1,766
Regal
Beloit
Corp.
452
67
Robert
Half
International,
Inc.
732
72
S4
Capital
PLC(Æ)
57,155
551
Securitas
AB
Class
B
4,545
80
Seiko
Epson
Corp.
98,400
1,693
Skanska
AB
Class
B
2,350
66
SKF
AB
Class
B
2,898
77
Snap-on,
Inc.
720
157
Sprott
Physical
Uranium
Trust
81,404
754
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Stolt-Nielsen,
Ltd.
Class
A
30,299
414
Sumitomo
Heavy
Industries,
Ltd.
16,700
465
Sydney
Airport(Æ)
59,064
339
Tachi
-S
Co.,
Ltd.
Class
S
7,000
93
Transurban
Group
-
ADR(Æ)
92,443
973
TreeHouse
Foods,
Inc.(Æ)
22,339
992
Tsakos
Energy
Navigation,
Ltd.
13,558
108
United
Parcel
Service,
Inc.
Class
B
285
55
Vantage
Towers
AG
2,925
102
Vectrus
,
Inc.(Æ)
40,785
1,847
Vinci
SA
2,000
211
Waste
Management,
Inc.
720
107
West
Japan
Railway
Co.
3,600
195
Westports
Holdings
BHD
120,500
116
Zhejiang
Expressway
Co.,
Ltd.
Class
H
296,000
250
39,570
Technology
-
3.5%
Accenture
PLC
Class
A
482
153
Activision
Blizzard,
Inc.
554
46
Adobe,
Inc.(Æ)
202
126
Alphabet,
Inc.
Class
A(Æ)
217
585
Alphabet,
Inc.
Class
C(Æ)
101
273
Alps
Alpine
Co.,
Ltd.
25,600
266
Amdocs,
Ltd.
688
53
Amphenol
Corp.
Class
A
1,316
95
Analog
Devices,
Inc.
354
59
Apple,
Inc.
6,862
1,001
Arrow
Electronics,
Inc.(Æ)
924
110
ASML
Holding
NV
2,017
1,535
Automatic
Data
Processing,
Inc.
710
149
Avnet,
Inc.
1,363
56
Axcelis
Technologies,
Inc.(Æ)
57,749
2,227
BCE,
Inc.
1,106
55
BE
Semiconductor
Industries
NV
11,478
1,009
Bechtle
AG
2,271
469
Cadence
Design
Systems,
Inc.(Æ)
457
67
CDW
Corp.
344
63
Cisco
Systems,
Inc.
3,439
190
Cognex
Corp.
885
80
Cognizant
Technology
Solutions
Corp.
Class
A
1,370
101
Corteva
,
Inc.
1,893
81
Cosel
Co.,
Ltd.
11,800
110
Eizo
Corp.
8,400
354
F5
Networks,
Inc.(Æ)
481
99
Facebook,
Inc.
Class
A(Æ)
1,074
383
Fanuc
Corp.
2,800
627
Fidelity
National
Information
Services,
Inc.
563
84
Fortinet,
Inc.(Æ)
251
68
GDS
Holdings,
Ltd.
-
ADR(Æ)
1,217
72
Genpact
,
Ltd.
1,840
92
Infineon
Technologies
AG
-
ADR
28,275
1,078
Inspired
Entertainment,
Inc.(Æ)
68,847
798
Intel
Corp.
3,228
173
Intuit,
Inc.
136
72
Jack
Henry
&
Associates,
Inc.
679
118
Juniper
Networks,
Inc.
2,157
61
Lite-On
Technology
Corp.
25,000
57
Maxim
Integrated
Products,
Inc.
848
85
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
365
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Microsoft
Corp.
3,551
1,012
NeoPhotonics
Corp.(Æ)
114,430
1,110
Netcompany
Group
A/S(Þ)
11,438
1,415
NEXTDC,
Ltd.(Æ)
14,418
136
Powertech
Technology,
Inc.
18,000
71
Quantum
Corp.(Æ)
117,594
729
Rambus,
Inc.(Æ)
37,536
888
Samsung
Electronics
Co.,
Ltd.
3,405
233
Softcat
PLC
40,061
1,076
Synopsys,
Inc.(Æ)
320
92
Taiwan
Semiconductor
Manufacturing
Co.,
Ltd.
12,000
250
TeamViewer
AG(Æ)(Þ)
11,367
383
Texas
Instruments,
Inc.
957
182
Worldline
SA(Æ)(Þ)
11,181
1,046
21,803
Utilities
-
4.6%
American
Electric
Power
Co.,
Inc.
5,820
513
American
Water
Works
Co.,
Inc.
2,226
379
CenterPoint
Energy,
Inc.
9,261
236
Centrais
Eletricas
Brasileiras
SA
87,858
679
Cheniere
Energy,
Inc.(Æ)
7,096
603
China
Resources
Gas
Group,
Ltd.
26,000
160
CPFL
Energia
SA
13,200
64
DT
Midstream,
Inc.
2,967
126
Duke
Energy
Corp.
6,846
720
E.ON
SE
27,371
337
Electricite
de
France
SA
84,382
1,021
Enbridge,
Inc.(Ñ)
33,136
1,306
Enel
SpA
69,313
640
Engie
SA
24,878
332
ENN
Energy
Holdings,
Ltd.
12,196
256
Entergy
Corp.
1,333
137
Essential
Utilities,
Inc.
2,912
143
Evergy
,
Inc.
5,505
359
Exelon
Corp.
7,445
348
Federal
Grid
Co.
Unified
Energy
System
PJSC
512,505,540
1,409
FirstEnergy
Corp.
1,559
60
Gibson
Energy,
Inc.
4,600
84
Guangdong
Investment,
Ltd.
147,039
206
Hong
Kong
&
China
Gas
Co.,
Ltd.
82,950
135
Iberdrola
SA
42,500
512
Inpex
Corp.
75,700
534
International
Business
Machines
Corp.
593
84
Kansai
Electric
Power
Co.,
Inc.
(The)
10,800
102
KDDI
Corp.
44,000
1,343
Korea
Electric
Power
Corp.
8,777
190
Korea
Electric
Power
Corp.
-
ADR(Ñ)
20,078
216
KT
Corp.
11,792
347
KT
Corp.
-
ADR
113,016
1,626
LG
Uplus
Corp.
45,758
580
MEG
Energy
Corp.
Class
A(Æ)
121,788
777
National
Grid
PLC
7,612
97
NextEra
Energy,
Inc.
14,888
1,160
Nippon
Telegraph
&
Telephone
Corp.
100,510
2,574
NiSource,
Inc.
5,776
143
Orsted
A/S
Class
A(Þ)
1,303
194
Osaka
Gas
Co.,
Ltd.
39,900
748
Pembina
Pipeline
Corp.
12,674
419
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Pennon
Group
PLC
5,575
99
Petronas
Gas
BHD
47,400
171
Portland
General
Electric
Co.
3,971
194
PPL
Corp.
7,111
202
Proximus
SA
5,127
105
Public
Service
Enterprise
Group,
Inc.
5,413
337
RusHydro
PJSC
143,355,026
1,581
Sempra
Energy
2,949
385
Severfield
-Rowen
PLC
83,594
92
Sichuan
Chuantou
Energy
Co.,
Ltd.
Class
A
57,500
98
Southwest
Gas
Holdings,
Inc.
1,842
129
Swisscom
AG
190
114
TC
Energy
Corp.(Æ)(Ñ)
13,151
641
TELUS
Corp.
4,290
95
T-Mobile
USA,
Inc.(Æ)
359
52
Tokyo
Gas
Co.,
Ltd.
119,100
2,259
Verizon
Communications,
Inc.
3,149
176
28,629
Total
Common
Stocks
(cost
$234,314)
284,289
Preferred
Stocks
-
2.0%
Consumer
Discretionary
-
0.1%
CHS,
Inc.
7.250%
due
01/21/25(¢)
6,020
176
GMAC
Capital
Trust
I
5.910%
due
02/15/40(¢)
987
26
Hyundai
Motor
Co.
4.236%
(Ÿ)
6,405
581
783
Consumer
Staples
-
0.1%
Dairy
Farmers
of
America,
Inc.
7.875%
due
09/20/21(¢)(Þ)
2,100
211
7.875%
due
12/01/25(¢)(Þ)
2,500
256
Henkel
AG
&
Co.
KGaA
2.229%
(Ÿ)
939
95
562
Energy
-
0.1%
Energy
Transfer,
LP
7.625%
due
08/15/23(¢)
5,397
137
7.600%
due
05/15/24(¢)
6,024
151
288
Financial
Services
-
1.4%
Affiliated
Managers
Group,
Inc.
4.200%
due
09/30/61
4,000
100
AMG
Capital
Trust
II
5.150%
due
10/15/37
10,730
648
Arch
Capital
Group,
Ltd.
4.550%
due
06/11/26(¢)
4,800
124
Athene
Holding,
Ltd.
6.350%
due
06/30/29(¢)
4,085
122
6.375%
due
06/30/25(¢)
3,859
111
4.875%
due
12/30/25(¢)
5,100
133
Bank
of
America
Corp.
7.250%
(Ÿ)
722
1,067
Bank
of
Hawaii
Corp.
4.375%
due
08/01/26(¢)
5,291
137
Brighthouse
Financial,
Inc.
5.375%
due
12/25/25(¢)
9,410
250
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
366
Multi-Strategy
Income
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Brookfield
BRP
Holdings
Canada,
Inc.
4.625%
due
04/30/26(¢)
5,700
143
Brookfield
Finance,
Inc.
4.625%
due
10/16/80(¢)
5,800
149
Brookfield
Property
Partners,
LP
5.750%
due
03/31/25(¢)
6,465
158
Carlyle
Finance
LLC
4.625%
due
05/15/26
2,570
65
Charles
Schwab
Corp.
(The)
4.450%
due
06/01/26(¢)
4,140
111
CNO
Financial
Group,
Inc.
4.000%
due
08/30/26
2,499
69
CoBank
ACB
6.250%
due
10/01/22(¢)
4,100
435
Dime
Community
Bancshares,
Inc.
5.500%
due
02/15/25(¢)
5,252
139
Equitable
Holdings,
Inc.
5.250%
due
12/15/24(¢)
4,987
132
Farm
Credit
Bank
of
Texas
6.750%
due
09/15/23(¢)(Þ)
3,596
385
Farmer
Mac
4.875%
due
07/17/26(¢)
10,400
273
5.250%
due
10/15/25(¢)
5,045
136
First
Horizon
National
Corp.
6.100%
due
05/01/24(¢)
10,000
269
4.700%
due
07/10/26(¢)
4,200
109
First
Republic
Bank
4.000%
due
08/30/26(¢)
8,800
220
Global
Net
Lease,
Inc.
7.250%
due
09/12/22(¢)
6,640
175
JPMorgan
Chase
&
Co
4.625%
due
06/01/26(¢)
11,273
296
JPMorgan
Chase
&
Co.
4.200%
due
09/01/26(¢)
11,200
281
KKR
Group
Finance
Co.
IX
LLC
4.625%
due
04/01/61
4,359
114
Morgan
Stanley
5.850%
due
04/15/27(¢)
3,716
111
New
York
Community
Capital
Trust
V
6.000%
due
11/01/51
9,150
469
Pebblebrook
Hotel
Trust
6.375%
due
05/13/26
7,200
194
South
Jersey
Industries,
Inc.
5.625%
due
09/16/79
5,178
139
Stifel
Financial
Corp.
4.500%
due
08/15/26(¢)
4,400
112
Sunstone
Hotel
Investors,
Inc.
6.125%
due
05/24/26(¢)
5,500
148
Synchrony
Financial
5.625%
due
11/15/24(¢)
8,897
238
Washington
Federal,
Inc.
4.875%
due
04/15/26(¢)
6,000
159
Wells
Fargo
&
Co.
4.700%
due
12/15/25(¢)
4,100
107
4.750%
due
03/15/25(¢)
6,235
163
4.250%
due
09/15/26(¢)
7,875
197
8,388
Health
Care
-
0.1%
Draegerwerk
AG
&
Co.
KGaA
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
0.260%
(Ÿ)
1,124
103
Grifols
SA
4.156%
(Ÿ)
12,451
192
295
Producer
Durables
-
0.0%
WESCO
International,
Inc.
10.625%
due
06/22/25(¢)
4,900
152
Technology
-
0.0%
United
States
Cellular
Corp.
5.500%
due
06/01/70
9,510
247
Utilities
-
0.2%
Algonquin
Power
&
Utilities
Corp.
6.200%
due
07/01/79
1,503
42
Brookfield
Infrastructure
Finance
ULC
5.000%
due
05/24/81
4,400
115
Brookfield
Infrastructure
Partners,
LP
5.125%
due
10/15/25(¢)
7,604
198
CMS
Energy
Corp.
4.200%
due
07/15/26(¢)
5,100
130
Integrys
Holding,
Inc.
6.000%
due
08/01/73
12,150
318
SCE
Trust
V
5.450%
due
03/15/26(¢)
10,600
270
Southern
Co.
(The)
4.625%
due
01/30/80
4,700
126
United
States
Cellular
Corp.
6.250%
due
09/01/69
5,123
142
5.500%
due
03/01/70
5,241
138
1,479
Total
Preferred
Stocks
(cost
$11,259)
12,194
Options
Purchased
-
9.1%
(Number
of
Contracts)
Fannie
Mae
Bonds
JPMorgan
Chase
Aug
2021
101.28
Call
(1)
USD
25,000
(ÿ)
188
JPMorgan
Chase
Sep
2021
103.72
Call
(1)
USD
25,000
(ÿ)
125
JPMorgan
Chase
Sep
2021
104.63
Call
(1)
USD
10,000
(ÿ)
20
JPMorgan
Chase
Sep
2021
105.75
Call
(1)
USD
20,000
(ÿ)
23
FTSE
100
Index
Futures
Morgan
Stanley
Dec
2021
6,725.00
Call
(546)
GBP
36,719
(ÿ)
3,044
Swaptions
(Counterparty,
Fund
Receives/Fund
Pays,
Notional,
Termination
Date)
(Bank
of
America,
USD
1.833%/USD
3
Month
LIBOR,
USD
3,819,
09/23/54)
Bank
of
America
Sep
2024
0.00
Call
(1)
3,819
(ÿ)
441
(Bank
of
America,
USD
1.585%/USD
3
Month
LIBOR,
USD
6,050,
10/03/54)
Bank
of
America
Oct
2024
0.00
Call
(1)
6,050
(ÿ)
534
(Bank
of
America,
USD
1.725%/USD
3
Month
LIBOR,
USD
5,672,
10/04/54)
Bank
of
America
Oct
2024
0.00
Call
(1)
5,672
(ÿ)
585
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
367
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
(Bank
of
America,
USD
1.985%/USD
3
Month
LIBOR,
USD
2,440,
01/23/55)
Bank
of
America
Jan
2025
0.00
Call
(1)
2,440
(ÿ)
346
(Bank
of
America,
USD
1.025%/USD
3
Month
LIBOR,
USD
3,089,
06/18/55)
Bank
of
America
Jun
2025
0.00
Call
(1)
3,089
(ÿ)
167
(Bank
of
America,
USD
1.250%/USD
3
Month
LIBOR,
USD
7,470,
06/06/55)
Bank
of
America
Jun
2025
0.00
Call
(1)
7,470
(ÿ)
513
(Bank
of
America,
USD
2.090%/USD
3
Month
LIBOR,
USD
4,517,
06/12/55)
Bank
of
America
Jun
2025
0.00
Call
(1)
4,517
(ÿ)
724
(Bank
of
America,
USD
1.550%/USD
3
Month
LIBOR,
USD
6,201,
09/26/49)
Bank
of
America
Sep
2029
0.00
Call
(1)
6,201
(ÿ)
510
(Bank
of
America,
USD
1.823%/USD
3
Month
LIBOR,
USD
6,126,
09/27/49)
Bank
of
America
Sep
2029
0.00
Call
(1)
6,126
(ÿ)
621
(Bank
of
America,
USD
1.885%/USD
3
Month
LIBOR,
USD
4,084,
09/21/49)
Bank
of
America
Sep
2029
0.00
Call
(1)
4,084
(ÿ)
434
(Bank
of
America,
USD
1.905%/USD
3
Month
LIBOR,
USD
7,562,
09/21/39)
Bank
of
America
Sep
2029
0.00
Call
(1)
7,562
(ÿ)
456
(Bank
of
America,
USD
2.048%/USD
3
Month
LIBOR,
USD
11,344,
09/27/39)
Bank
of
America
Sep
2029
0.00
Call
(1)
11,344
(ÿ)
756
(Bank
of
America,
USD
1.155%/USD
3
Month
LIBOR,
USD
2,004,
06/12/60)
Bank
of
America
Jun
2030
0.00
Call
(1)
2,004
(ÿ)
221
(Bank
of
America,
USD
1.155%/USD
3
Month
LIBOR,
USD
2,457,
06/19/60)
Bank
of
America
Jun
2030
0.00
Call
(1)
2,457
(ÿ)
272
(Bank
of
America,
USD
1.250%/USD
3
Month
LIBOR,
USD
6,152,
06/19/40)
Bank
of
America
Jun
2030
0.00
Call
(1)
6,152
(ÿ)
273
(Bank
of
America,
USD
1.275%/USD
3
Month
LIBOR,
USD
8,682,
09/19/50)
Bank
of
America
Sep
2030
0.00
Call
(1)
8,682
(ÿ)
710
(Bank
of
America,
USD
1.345%/USD
3
Month
LIBOR,
USD
16,504,
09/19/40)
Bank
of
America
Sep
2030
0.00
Call
(1)
16,504
(ÿ)
791
(Bank
of
America,
USD
2.150%/USD
3
Month
LIBOR,
USD
4,517,
06/12/51)
Bank
of
America
Jun
2031
0.00
Call
(1)
4,517
(ÿ)
662
(Bank
of
America,
USD
2.280%/USD
3
Month
LIBOR,
USD
8,120,
06/12/41)
Bank
of
America
Jun
2031
0.00
Call
(1)
8,120
(ÿ)
704
(Citigroup,
USD
0.820%/USD
3
Month
LIBOR,
USD
27,769,
08/31/26)
Citigroup
Aug
2021
0.00
Call
(1)
27,768
(ÿ)
96
(Citigroup,
USD
1.504%/USD
3
Month
LIBOR,
USD
8,669,
10/01/31)
Citigroup
Sep
2021
0.00
Call
(1)
8,669
(ÿ)
221
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
(Citigroup,
USD
1.794%/USD
3
Month
LIBOR,
USD
6,050,
10/04/49)
Citigroup
Oct
2029
0.00
Call
(1)
6,050
(ÿ)
601
(Citigroup,
USD
1.625%/USD
3
Month
LIBOR,
USD
2,166,
01/24/61)
Citigroup
Jan
2041
0.00
Call
(1)
2,166
(ÿ)
329
(Citigroup,
USD
2.215%/USD
3
Month
LIBOR,
USD
6,481,
03/20/51)
Citigroup
Mar
2041
0.00
Call
(1)
6,481
(ÿ)
680
(Goldman
Sachs,
USD
1.473%/USD
3
Month
LIBOR,
USD
648,
08/11/31)
Goldman
Sachs
Aug
2021
0.00
Call
(1)
648
(ÿ)
14
(Goldman
Sachs,
USD
1.569%/USD
3
Month
LIBOR,
USD
1,966,
09/24/54)
Goldman
Sachs
Sep
2024
0.00
Call
(1)
1,966
(ÿ)
170
(Goldman
Sachs,
USD
1.741%/USD
3
Month
LIBOR,
USD
5,672,
09/26/54)
Goldman
Sachs
Sep
2024
0.00
Call
(1)
5,672
(ÿ)
594
(Goldman
Sachs,
USD
1.776%/USD
3
Month
LIBOR,
USD
7,562,
10/01/54)
Goldman
Sachs
Sep
2024
0.00
Call
(1)
7,562
(ÿ)
824
(Goldman
Sachs,
USD
1.790%/USD
3
Month
LIBOR,
USD
7,562,
09/27/54)
Goldman
Sachs
Sep
2024
0.00
Call
(1)
7,562
(ÿ)
836
(Goldman
Sachs,
USD
1.687%/USD
3
Month
LIBOR,
USD
5,672,
10/07/54)
Goldman
Sachs
Oct
2024
0.00
Call
(1)
5,672
(ÿ)
562
(Goldman
Sachs,
USD
1.736%/USD
3
Month
LIBOR,
USD
3,781,
10/11/54)
Goldman
Sachs
Oct
2024
0.00
Call
(1)
3,781
(ÿ)
396
(Goldman
Sachs,
USD
1.026%/USD
3
Month
LIBOR,
USD
2,574,
06/18/55)
Goldman
Sachs
Jun
2025
0.00
Call
(1)
2,574
(ÿ)
139
(Goldman
Sachs,
USD
1.178%/USD
3
Month
LIBOR,
USD
8,082,
09/19/55)
Goldman
Sachs
Sep
2025
0.00
Call
(1)
8,082
(ÿ)
538
(Goldman
Sachs,
USD
2.460%/USD
3
Month
LIBOR,
USD
5,462,
03/23/56)
Goldman
Sachs
Mar
2026
0.00
Call
(1)
5,462
(ÿ)
1,227
(Goldman
Sachs,
USD
2.475%/USD
3
Month
LIBOR,
USD
3,478,
03/20/56)
Goldman
Sachs
Mar
2026
0.00
Call
(1)
3,478
(ÿ)
790
(Goldman
Sachs,
USD
1.804%/USD
3
Month
LIBOR,
USD
11,041,
09/27/39)
Goldman
Sachs
Sep
2029
0.00
Call
(1)
11,041
(ÿ)
619
(Goldman
Sachs,
USD
1.865%/USD
3
Month
LIBOR,
USD
11,343,
10/02/39)
Goldman
Sachs
Sep
2029
0.00
Call
(1)
11,343
(ÿ)
665
(Goldman
Sachs,
USD
1.920%/USD
3
Month
LIBOR,
USD
7,562,
09/24/3)
Goldman
Sachs
Sep
2029
0.00
Call
(1)
7,562
(ÿ)
461
(Goldman
Sachs,
USD
1.985%/USD
3
Month
LIBOR,
USD
9,453,
10/15/39)
Goldman
Sachs
Oct
2029
0.00
Call
(1)
9,453
(ÿ)
604
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
368
Multi-Strategy
Income
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
(Goldman
Sachs,
USD
1.325%/USD
3
Month
LIBOR,
USD
4,044,
06/06/50)
Goldman
Sachs
Jun
2030
0.00
Call
(1)
4,044
(ÿ)
335
(Goldman
Sachs,
USD
1.328%/USD
3
Month
LIBOR,
USD
5,565,
06/12/40)
Goldman
Sachs
Jun
2030
0.00
Call
(1)
5,565
(ÿ)
260
(Goldman
Sachs,
USD
1.794%/USD
3
Month
LIBOR,
USD
2,592,
02/05/61)
Goldman
Sachs
Feb
2031
0.00
Call
(1)
2,592
(ÿ)
447
(JP
Morgan,
USD
2.051%/USD
3
Month
LIBOR,
USD
6,050,
09/28/49)
JPMorgan
Chase
Sep
2029
0.00
Call
(1)
6,050
(ÿ)
726
(JP
Morgan,
USD
1.976%/USD
3
Month
LIBOR,
USD
5,294,
10/19/49)
JPMorgan
Chase
Oct
2029
0.00
Call
(1)
5,294
(ÿ)
602
(JP
Morgan,
USD
2.028%/USD
3
Month
LIBOR,
USD
2,579,
01/24/50)
JPMorgan
Chase
Jan
2030
0.00
Call
(1)
2,579
(ÿ)
333
(JP
Morgan,
USD
1.268%/USD
3
Month
LIBOR,
USD
2,313,
06/19/40)
JPMorgan
Chase
Jun
2030
0.00
Call
(1)
2,313
(ÿ)
104
(JP
Morgan,
USD
1.322%/USD
3
Month
LIBOR,
USD
6,536,
06/19/40)
JPMorgan
Chase
Jun
2030
0.00
Call
(1)
6,536
(ÿ)
305
(JP
Morgan,
USD
2.426%/USD
3
Month
LIBOR,
USD
5,468,
03/06/41)
JPMorgan
Chase
Mar
2031
0.00
Call
(1)
5,468
(ÿ)
510
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.834%,
USD
3,819,
09/23/54)
Bank
of
America
Sep
2024
0.00
Put
(1)
3,819
(ÿ)
406
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.585%,
USD
6,050,
10/03/54)
Bank
of
America
Oct
2024
0.00
Put
(1)
6,050
(ÿ)
835
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.725%,
USD
5,672,
10/04/54)
Bank
of
America
Oct
2024
0.00
Put
(1)
5,672
(ÿ)
679
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.985%,
USD
2,440,
01/23/55)
Bank
of
America
Jan
2025
0.00
Put
(1)
2,440
(ÿ)
234
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.025%,
USD
3,089,
06/18/55)
Bank
of
America
Jun
2025
0.00
Put
(1)
3,089
(ÿ)
726
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.250%,
USD
7,470,
06/06/55)
Bank
of
America
Jun
2025
0.00
Put
(1)
7,470
(ÿ)
1,469
(Bank
of
America,
USD
3
Month
LIBOR/
USD
2.090%,
USD
4,517,
06/12/55)
Bank
of
America
Jun
2025
0.00
Put
(1)
4,517
(ÿ)
410
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.550%,
USD
6,201,
09/26/49)
Bank
of
America
Sep
2029
0.00
Put
(1)
6,201
(ÿ)
866
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.823%,
USD
6,126,
09/27/49)
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Bank
of
America
Sep
2029
0.00
Put
(1)
6,126
(ÿ)
711
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.885%,
USD
4,084,
09/21/49)
Bank
of
America
Sep
2029
0.00
Put
(1)
4,084
(ÿ)
454
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.905%,
USD
7,562,
09/21/39)
Bank
of
America
Sep
2029
0.00
Put
(1)
7,562
(ÿ)
498
(Bank
of
America,
USD
3
Month
LIBOR/
USD
2.048%,
USD
11,344,
09/26/39)
Bank
of
America
Sep
2029
0.00
Put
(1)
11,344
(ÿ)
682
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.155%,
USD
2,004,
06/12/30)
Bank
of
America
Jun
2030
0.00
Put
(1)
2,004
(ÿ)
485
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.155%,
USD
2,457,
06/19/60)
Bank
of
America
Jun
2030
0.00
Put
(1)
2,457
(ÿ)
596
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.250%,
USD
6,152,
06/19/40)
Bank
of
America
Jun
2030
0.00
Put
(1)
6,152
(ÿ)
650
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.275%,
USD
8,682,
09/19/50)
Bank
of
America
Sep
2030
0.00
Put
(1)
8,682
(ÿ)
1,552
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.345%,
USD
16,504,
09/19/40)
Bank
of
America
Sep
2030
0.00
Put
(1)
16,504
(ÿ)
1,668
(Bank
of
America,
USD
3
Month
LIBOR/
USD
2.150%,
USD
4,517,
06/12/51)
Bank
of
America
Jun
2031
0.00
Put
(1)
4,517
(ÿ)
485
(Bank
of
America,
USD
3
Month
LIBOR/
USD
2.280%,
USD
8,120,
06/12/41)
Bank
of
America
Jun
2031
0.00
Put
(1)
8,120
(ÿ)
507
(Citigroup,
USD
3
Month
LIBOR/USD
0.820%,
USD
27,769,
08/31/26)
Citigroup
Aug
2021
0.00
Put
(1)
27,768
(ÿ)
81
(Citigroup,
USD
3
Month
LIBOR/USD
1.504%,
USD
8,669,
10/01/31)
Citigroup
Sep
2021
0.00
Put
(1)
8,669
(ÿ)
38
(Citigroup,
USD
3
Month
LIBOR/USD
1.794%,
USD
6,050,
10/04/49)
Citigroup
Oct
2029
0.00
Put
(1)
6,050
(ÿ)
717
(Citigroup,
USD
3
Month
LIBOR/USD
1.625%,
USD
2,166,
01/24/61)
Citigroup
Jan
2041
0.00
Put
(1)
2,166
(ÿ)
322
(Citigroup,
USD
3
Month
LIBOR/USD
2.215%,
USD
6,481,
03/20/51)
Citigroup
Mar
2041
0.00
Put
(1)
6,481
(ÿ)
486
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.473%,
USD
648,
08/11/31)
Goldman
Sachs
Aug
2021
0.00
Put
(1)
648
(ÿ)
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.569%,
USD
1,966,
09/24/54)
Goldman
Sachs
Sep
2024
0.00
Put
(1)
1,966
(ÿ)
275
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.741%,
USD
5,672,
09/26/54)
Goldman
Sachs
Sep
2024
0.00
Put
(1)
5,672
(ÿ)
666
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
369
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.776%,
USD
7,562,
10/01/54)
Goldman
Sachs
Sep
2024
0.00
Put
(1)
7,562
(ÿ)
857
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.790%,
USD
7,562,
09/27/54)
Goldman
Sachs
Sep
2024
0.00
Put
(1)
7,562
(ÿ)
843
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.687%,
USD
5,672,
10/07/54)
Goldman
Sachs
Oct
2024
0.00
Put
(1)
5,672
(ÿ)
707
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.736%,
USD
3,781,
10/11/54)
Goldman
Sachs
Oct
2024
0.00
Put
(1)
3,781
(ÿ)
449
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.026%,
USD
2,574,
06/18/55)
Goldman
Sachs
Jun
2025
0.00
Put
(1)
2,574
(ÿ)
604
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.178%,
USD
8,082,
09/19/55)
Goldman
Sachs
Sep
2025
0.00
Put
(1)
8,082
(ÿ)
1,709
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
2.460%,
USD
5,462,
03/23/56)
Goldman
Sachs
Mar
2026
0.00
Put
(1)
5,462
(ÿ)
391
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
2.475%,
USD
3,478,
03/20/56)
Goldman
Sachs
Mar
2026
0.00
Put
(1)
3,478
(ÿ)
245
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.804%,
USD
11,041,
09/27/39)
Goldman
Sachs
Sep
2029
0.00
Put
(1)
11,041
(ÿ)
777
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.865%,
USD
11,343,
10/02/39)
Goldman
Sachs
Sep
2029
0.00
Put
(1)
11,343
(ÿ)
768
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.920%,
USD
7,562,
09/24/39)
Goldman
Sachs
Sep
2029
0.00
Put
(1)
7,562
(ÿ)
494
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.95%,
USD
9,453,
10/15/39)
Goldman
Sachs
Oct
2029
0.00
Put
(1)
9,453
(ÿ)
593
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.325%,
USD
4,044,
06/06/50)
Goldman
Sachs
Jun
2030
0.00
Put
(1)
4,044
(ÿ)
699
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.328%,
USD
5,565,
06/12/40)
Goldman
Sachs
Jun
2030
0.00
Put
(1)
5,565
(ÿ)
564
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.794%,
USD
2,592,
02/05/61)
Goldman
Sachs
Feb
2031
0.00
Put
(1)
2,592
(ÿ)
421
(JP
Morgan,
USD
3
Month
LIBOR/USD
2.051%,
USD
6,050,
09/28/49)
JPMorgan
Chase
Sep
2029
0.00
Put
(1)
6,050
(ÿ)
597
(JP
Morgan,
USD
3
Month
LIBOR/USD
1.976%,
USD
5,294,
10/19/49)
JPMorgan
Chase
Oct
2029
0.00
Put
(1)
5,294
(ÿ)
552
(JP
Morgan,
USD
3
Month
LIBOR/USD
2.028%,
USD
2,579,
01/24/50)
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
JPMorgan
Chase
Jan
2030
0.00
Put
(1)
2,579
(ÿ)
284
(JP
Morgan,
USD
3
Month
LIBOR/USD
1.268%,
USD
2,313,
06/19/40)
JPMorgan
Chase
Jun
2030
0.00
Put
(1)
2,313
(ÿ)
242
(JP
Morgan,
USD
3
Month
LIBOR/USD
1.322%,
USD
6,536,
06/19/40)
JPMorgan
Chase
Jun
2030
0.00
Put
(1)
6,536
(ÿ)
665
(JP
Morgan,
USD
3
Month
LIBOR/USD
2.426%,
USD
5,468,
03/06/41)
JPMorgan
Chase
Mar
2031
0.00
Put
(1)
5,468
(ÿ)
310
Total
Options
Purchased
(cost
$55,753)
56,377
Short-Term
Investments
-
17.0%
BlackRock
TCP
Capital
Corp.
4.625%
due
03/01/22
839
855
Blackstone
Mortgage
Trust,
Inc.
4.375%
due
05/05/22
1,007
1,027
Charming
Charlie,
Inc.
Delayed
Draw
Term
Loan
0.000%
due
05/28/22
(~)(Ê)(Š)
(Æ)
(Ø)
25
11
Charming
Charlie,
Inc.
Term
Loan
0.000%
due
05/15/22
(~)(Ê)(Š)
(Æ)
(Ø)
5
2
Dycom
Industries,
Inc.
0.750%
due
09/15/21
1,367
1,358
Evolent
Health,
Inc.
2.000%
due
12/01/21
517
584
Fortive
Corp.
0.875%
due
02/15/22
(Þ)
1,630
1,632
Golar
LNG,
Ltd.
2.750%
due
02/15/22
(Ñ)
335
332
Goldman
Sachs
BDC,
Inc.
4.500%
due
04/01/22
1,386
1,414
Helix
Energy
Solutions
Group,
Inc.
4.250%
due
05/01/22
900
859
Horizon
Global
Corp.
2.750%
due
07/01/22
183
178
Indonesia
Treasury
Bond
Series
FR61
7.000%
due
05/15/22
IDR
22,598,000
1,609
Ionis
Pharmaceuticals,
Inc.
1.000%
due
11/15/21
894
895
Jazz
Investments
I,
Ltd.
1.875%
due
08/15/21
920
918
Mexican
Bonos
Series
M
7.250%
due
12/09/21
MXN
14,616
739
New
York
Mortgage
Trust,
Inc.
6.250%
due
01/15/22
(Ñ)
1,016
1,026
Newpark
Resources,
Inc.
4.000%
due
12/01/21
444
437
PDC
Energy,
Inc.
1.125%
due
09/15/21
380
377
Pretium
Resources,
Inc.
2.250%
due
03/15/22
738
743
Scorpio
Tankers,
Inc.
3.000%
due
05/15/22
261
256
Ship
Finance
International,
Ltd.
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
370
Multi-Strategy
Income
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
5.750%
due
10/15/21
6
6
Thailand
Government
International
Bond
3.650%
due
12/17/21
THB
5,910
182
Twitter,
Inc.
1.000%
due
09/15/21
836
837
Two
Harbors
Investment
Corp.
6.250%
due
01/15/22
99
100
U.S.
Cash
Management
Fund(@)
72,604,428
(∞)
72,589
UMH
Properties,
Inc.
5.875%
due
07/26/22
4
103
United
States
Treasury
Bills
0.018%
due
08/05/21
(ç)(ž)
870
870
0.034%
due
08/19/21
(ç)(ž)
695
695
0.012%
due
09/02/21
(§)(ç)(ž)
219
219
0.043%
due
09/09/21
(§)(ç)(ž)
575
575
0.041%
due
09/16/21
(§)(ç)(ž)
385
385
0.044%
due
09/23/21
(ç)(ž)
2,160
2,160
0.049%
due
10/07/21
(ž)
205
205
0.050%
due
10/14/21
(§)(ž)
1,898
1,898
0.050%
due
11/12/21
(ž)
765
765
0.050%
due
11/18/21
(ž)
270
270
0.047%
due
11/26/21
(ž)
790
790
0.052%
due
12/09/21
(ž)
210
210
0.055%
due
01/06/22
(ž)
130
130
0.053%
due
01/13/22
(ž)
315
315
0.055%
due
01/20/22
(ž)
620
620
Series
WI
0.014%
due
09/21/21
(§)(ç)(ž)
17
17
0.024%
due
09/28/21
(§)(ç)(ž)
315
315
0.047%
due
10/05/21
(ž)
2,229
2,229
0.047%
due
10/12/21
(§)(ž)
1,016
1,016
0.054%
due
10/19/21
(§)(ž)
1,450
1,450
0.053%
due
10/26/21
(ž)
105
105
0.050%
due
11/09/21
(ž)
1,158
1,158
Total
Short-Term
Investments
(cost
$105,307)
105,466
Other
Securities
-
1.1%
U.S.
Cash
Collateral
Fund(@)(×)
6,755,427
(∞)
6,755
Total
Other
Securities
(cost
$6,755)
6,755
Total
Investments
-
113.9%
(identified
cost
$652,209)
705,574
Other
Assets
and
Liabilities,
Net
-
(13.9)%
(85,982)
Net
Assets
-
100.0%
619,592
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
371
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
5.1%
Aena
SME
SA
11/09/15
EUR
6,555
151.04
990
1,044
Aircastle
,
Ltd.
06/03/21
80,000
100.00
80
81
Alteryx
,
Inc.
03/16/21
1,301,000
94.68
1,232
1,230
Apollo
Management
Holdings,
LP
12/10/19
122,000
100.42
123
127
Ares
Management
Corp.
06/24/21
130,000
100.16
130
131
AXA
SA
01/14/19
200,000
103.05
206
280
Bank
of
China
(Hong
Kong),
Ltd.
09/11/18
400,000
100.00
400
431
BNP
Paribas
SA
08/13/18
500,000
105.48
527
584
BNP
Paribas
SA
09/23/20
200,000
106.66
213
217
BNP
Paribas
SA
09/23/20
200,000
115.53
231
241
Carel
Industries
SpA
06/17/20
EUR
12,965
16.89
219
309
Credit
Agricole
SA
02/03/16
400,000
100.10
400
486
Credit
Agricole
SA
03/12/19
200,000
107.50
215
226
Credit
Agricole
SA
09/16/20
200,000
109.50
219
224
Credit
Suisse
Group
AG
07/09/18
400,000
101.31
405
433
Credit
Suisse
Group
AG
08/14/19
500,000
103.41
517
555
Credit
Suisse
Group
AG
10/15/19
400,000
109.46
438
451
Credit
Suisse
Group
AG
08/04/20
200,000
100.00
200
210
Credit
Suisse
Group
AG
09/23/20
200,000
110.13
220
221
CTP
NV
04/23/21
EUR
5,015
17.49
88
101
Dai-ichi
Life
Insurance
Co.,
Ltd.
(The)
09/18/17
300,000
107.41
322
331
Dairy
Farmers
of
America,
Inc.
08/05/16
2,500
106.50
267
256
Dairy
Farmers
of
America,
Inc.
03/20/17
2,100
106.88
224
211
Depository
Trust
&
Clearing
Corp.
(The)
06/08/21
250,000
100.00
250
254
Dino
Polska
SA
01/12/21
PLN
9,549
73.45
701
764
Dominican
Republic
Government
International
Bond
06/08/21
DOP
300,000
1.75
5
6
ESR
Cayman,
Ltd.
12/17/19
HKD
22,200
2.22
49
78
Farm
Credit
Bank
of
Texas
07/18/16
3,596
106.13
382
385
Farm
Credit
Bank
of
Texas
07/15/20
275,000
1.00
275
300
Fortive
Corp.
11/21/19
1,630,000
99.34
1,619
1,632
GA
Global
Funding
Trust
Secured
06/24/21
260,000
100.13
260
265
Granite
Point
Mortgage
Trust,
Inc.
06/04/20
1,078,000
93.17
1,004
1,067
Hanwha
Life
Insurance
Co.,
Ltd.
04/16/18
200,000
100.00
200
207
Hartford
Financial
Services
Group,
Inc.
02/05/21
225,000
94.09
212
217
HSBC
Capital
Funding,
LP
07/14/16
110,000
145.95
161
184
ILFC
E-Capital
Trust
I
04/28/21
210,000
82.53
173
173
Instone
Real
Estate
Group
AG
03/28/19
EUR
5,431
23.75
129
168
Intesa
Sanpaolo
SpA
09/23/20
200,000
106.83
214
229
Ionis
Pharmaceuticals,
Inc.
04/26/21
1,273,000
92.71
1,180
1,168
Land
O'Lakes,
Inc.
03/28/17
185,000
100.00
185
199
Liberty
Latin
America,
Ltd.
06/05/20
456,000
88.40
403
457
Liberty
Media
Corp.
03/05/21
195,000
102.48
200
203
Macquarie
Bank,
Ltd.
02/05/21
200,000
109.13
218
219
Meiji
Yasuda
Life
Insurance
Co.
03/02/21
200,000
112.88
226
226
MetLife
Capital
Trust
IV
11/27/18
100,000
118.79
119
140
MetLife,
Inc.
07/14/16
325,000
139.43
453
497
MGIC
Investment
Corp.
09/14/20
1,042,000
129.22
1,347
1,368
Momo
,
Inc.
07/06/20
247,000
83.05
205
206
Neinor
Homes
SA
07/16/21
EUR
6,577
13.62
90
96
Netcompany
Group
A/S
06/17/20
DKK
11,438
63.09
722
1,415
Nippon
Life
Insurance
Co.
01/13/16
300,000
99.69
299
335
Nordea
Bank
AB
09/15/20
200,000
113.66
227
230
Nutanix
,
Inc.
05/06/20
748,000
92.56
692
780
NuVasive
,
Inc.
12/02/20
48,000
91.89
44
46
On
the
Beach
Group
PLC
06/18/20
GBP
104,743
3.69
386
473
Orsted
A/S
Class
A
11/08/19
DKK
1,303
133.07
173
194
PolyPeptide
Group
AG
05/07/21
CHF
5,176
90.55
469
564
QBE
Insurance
Group,
Ltd.
05/05/20
200,000
100.00
200
220
SBL
Holdings
LLC
02/04/20
215,000
94.24
203
218
SBL
Holdings
LLC
06/17/21
210,000
100.00
210
208
Scentre
Group
Trust
2
09/16/20
300,000
100.00
300
320
Scentre
Group
Trust
2
09/16/20
300,000
100.00
300
323
Siemens
Healthineers
AG
02/05/21
EUR
12,297
59.07
726
813
Societe
Generale
SA
06/05/20
400,000
103.38
414
454
Societe
Generale
SA
09/15/20
400,000
107.82
431
445
Societe
Generale
SA
09/16/20
200,000
114.28
229
236
Societe
Generale
SA
11/12/20
200,000
100.00
200
216
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
372
Multi-Strategy
Income
Fund
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
Standard
Chartered
PLC
02/07/18
200,000
109.87
220
218
Standard
Chartered
PLC
10/11/18
200,000
101.25
203
207
Standard
Chartered
PLC
07/15/21
200,000
103.88
208
205
Sumitomo
Life
Insurance
Co.
04/08/21
200,000
100.00
200
208
Tabula
Rasa
HealthCare,
Inc.
12/02/20
228,000
87.51
200
219
TeamViewer
AG
03/05/21
EUR
11,367
48.19
548
383
UBS
Group
AG
07/08/21
200,000
100.15
200
202
UBS
Group
Funding
Switzerland
AG
01/28/19
400,000
100.00
400
440
Weibo
Corp.
03/25/20
469,000
96.09
451
446
Western
Digital
Corp.
04/14/20
934,000
95.41
891
964
Worldline
SA
06/17/20
EUR
11,181
82.66
924
1,046
Yellow
Cake
PLC
09/23/19
GBP
86,825
2.57
223
339
31,455
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
Australia
10
Year
Government
Bond
Futures
47
AUD
6,834
09/21
132
Canadian
10
Year
Government
Bond
Futures
9
CAD
1,332
09/21
30
EURO
STOXX
50
Index
Futures
262
EUR
10,711
09/21
(127)
FTSE
100
Index
Futures
371
GBP
25,846
09/21
(653)
Japanese
10
Year
Government
Bond
Futures
3
JPY
456,900
09/21
17
MSCI
EAFE
Index
Futures
446
USD
51,723
09/21
(259)
MSCI
Emerging
Markets
Index
Futures
282
USD
18,015
09/21
(1,277)
Russell
2000
E-Mini
Index
Futures
30
USD
3,332
09/21
(132)
S&P
500
E-Mini
Index
Futures
216
USD
47,407
09/21
1,295
S&P
Financial
Select
Sector
Index
Futures
284
USD
31,883
09/21
(422)
S&P
MidCap
400
E-Mini
Index
Futures
11
USD
2,969
09/21
(19)
SPI
200
Index
Futures
3
AUD
548
09/21
1
United
States
10
Year
Treasury
Note
Futures
1,398
USD
187,965
09/21
3,162
Short
Positions
Euro-Bund
Futures
21
EUR
3,708
09/21
(123)
FTSE
250
Index
Futures
24
GBP
1,099
09/21
(23)
Long
Gilt
Futures
28
GBP
3,634
09/21
(100)
NASDAQ
100
E-Mini
Index
Futures
176
USD
52,644
09/21
(3,473)
Russell
2000
E-Mini
Index
Futures
606
USD
67,315
09/21
3,009
S&P
500
E-Mini
Index
Futures
77
USD
16,900
09/21
(387)
S&P/TSX
60
Index
Futures
100
CAD
24,248
09/21
(335)
TOPIX
Index
Futures
324
JPY
6,172,201
09/21
1,597
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
1,913
Options
Written
Amounts
in
thousands
(except
contract
amounts)
Description
Counterparty
Call/Put
Number
of
Contracts
Strike
Price
Notional
Amount
Expiration
Date
Fair
Value
$
Fannie
Mae
Bonds
JPMorgan
Chase
Put
1
101.28
USD
25,000
08/05/21
(7)
Fannie
Mae
Bonds
JPMorgan
Chase
Put
1
103.72
USD
25,000
09/07/21
(63)
Fannie
Mae
Bonds
JPMorgan
Chase
Put
1
104.63
USD
10,000
09/07/21
(20)
Fannie
Mae
Bonds
JPMorgan
Chase
Put
1
105.75
USD
20,000
09/07/21
(22)
Swaption
(Counterparty,
Fund
Receives/Fund
Pays,
Notional,
Termination
Date)
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
373
Options
Written
Amounts
in
thousands
(except
contract
amounts)
Description
Counterparty
Call/Put
Number
of
Contracts
Strike
Price
Notional
Amount
Expiration
Date
Fair
Value
$
Bank
of
America,
USD
3
Month
LIBOR/
USD
1.235%,
USD
21,872,
03/21/27
Bank
of
America
Call
1
0.00
21,872
03/19/25
(183)
Bank
of
America,
USD
3
Month
LIBOR/
USD
2.573%,
USD
6,855,
03/30/36
Bank
of
America
Call
1
0.00
6,855
03/26/26
(660)
Bank
of
America,
USD
3
Month
LIBOR/
USD
0.920%,
USD
2,758,
03/27/40
Bank
of
America
Call
2
0.00
5,516
03/25/30
(162)
Bank
of
America,
USD
3
Month
LIBOR/
USD
1.605%,
USD
4,348,
11/14/50
Bank
of
America
Call
1
0.00
4,348
11/12/30
(394)
Bank
of
America,
USD
3
Month
LIBOR/
USD
1.660%,
USD
5,268,
11/14/50
Bank
of
America
Call
1
0.00
5,268
11/12/30
(497)
Bank
of
America,
USD
3
Month
LIBOR/
USD
1.680%,
USD
8,184,
11/14/40
Bank
of
America
Call
1
0.00
8,184
11/12/30
(435)
Citigroup,
USD
3
Month
LIBOR/USD
1.518%,
USD
4,092,
11/14/55
Citigroup
Call
1
0.00
4,092
11/12/25
(394)
Citigroup,
USD
3
Month
LIBOR/USD
1.918%,
USD
2,607,
01/24/51
Citigroup
Call
1
0.00
2,607
01/22/31
(326)
Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.570%,
USD
4,932,
11/12/55
Goldman
Sachs
Call
1
0.00
4,932
11/10/25
(486)
Goldman
Sachs,
USD
3
Month
LIBOR/
USD
2.170%,
USD
13,799,
03/04/56
Goldman
Sachs
Call
1
0.00
13,799
03/02/26
(2,468)
Goldman
Sachs,
USD
3
Month
LIBOR/
USD
0.905%,
USD
8,722,
03/28/40
Goldman
Sachs
Call
1
0.00
8,722
03/26/30
(254)
Goldman
Sachs,
USD
3
Month
LIBOR/
USD
2.483%,
USD
60,192,
04/17/41
Goldman
Sachs
Call
1
0.00
60,191
04/15/31
(5,413)
Goldman
Sachs,
USD
3
Month
LIBOR/
USD
2.390%,
USD
3,481,
04/30/41
Goldman
Sachs
Call
1
0.00
3,481
04/28/31
(321)
JP
Morgan,
USD
3
Month
LIBOR/USD
0.928%,
USD
35,576,
03/31/28
JPMorgan
Chase
Call
1
0.00
35,575
03/25/27
(115)
JP
Morgan,
USD
3
Month
LIBOR/USD
1.744%,
USD
9,864,
11/14/40
JPMorgan
Chase
Call
1
0.00
9,864
11/12/30
(549)
JP
Morgan,
USD
3
Month
LIBOR/USD
1.895%,
USD
13,947,
07/09/41
JPMorgan
Chase
Call
1
0.00
13,947
07/07/31
(969)
Morgan
Stanley,
USD
3
Month
LIBOR/
USD
0.883%,
USD
4,387,
03/27/40
Morgan
Stanley
Call
1
0.00
4,387
03/25/30
(125)
Morgan
Stanley,
USD
3
Month
LIBOR/
USD
0.895%,
USD
4,387,
03/27/40
Morgan
Stanley
Call
1
0.00
4,387
03/25/30
(127)
UBS,
USD
3
Month
LIBOR/USD
0.845%,
USD
21,933,
03/27/26
UBS
Call
1
0.00
21,933
03/25/25
(62)
Bank
of
America,
USD
1.235%/USD
3
Month
LIBOR,
USD
21,872,
03/21/27
Bank
of
America
Put
1
0.00
21,872
03/19/25
(258)
Bank
of
America,
USD
2.573%/USD
3
Month
LIBOR,
USD
6,855,
03/30/36
Bank
of
America
Put
1
0.00
6,855
03/26/26
(208)
Bank
of
America,
USD
0.920%/USD
3
Month
LIBOR,
USD
2,758,
03/27/40
Bank
of
America
Put
2
0.00
5,516
03/25/30
(654)
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
374
Multi-Strategy
Income
Fund
Options
Written
Amounts
in
thousands
(except
contract
amounts)
Description
Counterparty
Call/Put
Number
of
Contracts
Strike
Price
Notional
Amount
Expiration
Date
Fair
Value
$
Bank
of
America,
USD
1.605%/USD
3
Month
LIBOR,
USD
4,348,
11/14/50
Bank
of
America
Put
1
0.00
4,348
11/12/30
(592)
Bank
of
America,
USD
1.660%/USD
3
Month
LIBOR,
USD
5,268,
11/14/50
Bank
of
America
Put
1
0.00
5,268
11/12/30
(692)
Bank
of
America,
USD
1.680%/USD
3
Month
LIBOR,
USD
8,184,
11/14/40
Bank
of
America
Put
1
0.00
8,184
11/12/30
(642)
Citigroup,
USD
1.518%/USD
3
Month
LIBOR,
USD
4,092,
11/14/55
Citigroup
Put
1
0.00
4,092
11/12/25
(662)
Citigroup,
USD
1.918%/USD
3
Month
LIBOR,
USD
2,607,
01/24/51
Citigroup
Put
1
0.00
2,607
01/22/31
(318)
Goldman
Sachs,
USD
1.570%/USD
3
Month
LIBOR,
USD
4,932,
11/12/55
Goldman
Sachs
Put
1
0.00
4,932
11/10/25
(749)
Goldman
Sachs,
USD
2.170%/USD
3
Month
LIBOR,
USD
13,799,
03/04/56
Goldman
Sachs
Put
1
0.00
13,799
03/02/26
(1,284)
Goldman
Sachs,
USD
0.905%/USD
3
Month
LIBOR,
USD
8,722,
03/28/40
Goldman
Sachs
Put
1
0.00
8,722
03/26/30
(1,043)
Goldman
Sachs,
USD
2.483%/USD
3
Month
LIBOR,
USD
60,192,
04/17/41
Goldman
Sachs
Put
1
0.00
60,191
04/15/31
(2,933)
Goldman
Sachs,
USD
2.390%/USD
3
Month
LIBOR,
USD
3,481,
04/30/41
Goldman
Sachs
Put
1
0.00
3,481
04/28/31
(204)
JP
Morgan,
USD
0.928%/USD
3
Month
LIBOR,
USD
35,576,
03/31/28
JPMorgan
Chase
Put
1
0.00
35,575
03/25/27
(351)
JP
Morgan,
USD
1.744%/USD
3
Month
LIBOR,
USD
9,864,
11/14/40
JPMorgan
Chase
Put
1
0.00
9,864
11/12/30
(745)
JP
Morgan,
USD
1.895%/USD
3
Month
LIBOR,
USD
13,947,
07/09/41
JPMorgan
Chase
Put
1
0.00
13,947
07/07/31
(1,075)
Morgan
Stanley,
USD
0.883%/USD
3
Month
LIBOR,
USD
4,387,
03/27/40
Morgan
Stanley
Put
1
0.00
4,387
03/25/30
(530)
Morgan
Stanley,
USD
0.895%/USD
3
Month
LIBOR,
USD
4,387,
03/27/40
Morgan
Stanley
Put
1
0.00
4,387
03/25/30
(526)
UBS,
USD
0.845%/USD
3
Month
LIBOR,
USD
21,933,
03/27/26
UBS
Put
1
0.00
21,933
03/25/25
(164)
Total
Liability
for
Options
Written
(premiums
received
$26,353)
(27,682)
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
USD
321
GBP
231
08/03/21
Bank
of
America
USD
2
JPY
262
09/09/21
Bank
of
America
USD
20
JPY
2,250
09/09/21
Bank
of
America
USD
942
JPY
103,092
09/09/21
(2)
Bank
of
America
USD
55
SGD
74
08/03/21
Bank
of
America
AUD
6
USD
4
09/09/21
Bank
of
America
AUD
13
USD
9
09/09/21
Bank
of
America
AUD
25
USD
20
09/09/21
1
Bank
of
America
AUD
1,223
USD
949
09/09/21
51
Bank
of
America
CHF
84
USD
92
08/03/21
Bank
of
America
DKK
615
USD
98
08/03/21
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
375
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
EUR
135
USD
160
08/03/21
Bank
of
America
JPY
194
USD
2
08/03/21
Bank
of
America
JPY
2,954
USD
27
09/09/21
Bank
of
America
NOK
16
USD
2
09/09/21
Bank
of
America
NOK
184
USD
22
09/09/21
1
Bank
of
America
NOK
208
USD
24
09/09/21
Bank
of
America
NOK
7,879
USD
944
09/09/21
53
Bank
of
Montreal
USD
1,748
CHF
1,562
09/15/21
(22)
Bank
of
Montreal
CAD
2,749
USD
2,274
09/15/21
71
Bank
of
Montreal
GBP
1,524
USD
2,153
09/15/21
34
Bank
of
Montreal
JPY
786,556
USD
7,182
09/15/21
10
Bank
of
Montreal
SEK
6,498
USD
787
09/15/21
32
Bank
of
New
York
USD
1,753
CHF
1,562
09/15/21
(27)
Bank
of
New
York
USD
10
NZD
14
09/09/21
Bank
of
New
York
USD
26
NZD
37
09/09/21
Bank
of
New
York
USD
1,787
NZD
2,448
09/09/21
(83)
Bank
of
New
York
CAD
2,749
USD
2,278
09/15/21
75
Bank
of
New
York
GBP
1,524
USD
2,157
09/15/21
38
Bank
of
New
York
JPY
786,556
USD
7,204
09/15/21
32
Bank
of
New
York
NZD
7
USD
5
09/09/21
Bank
of
New
York
SEK
6,498
USD
789
09/15/21
34
Brown
Brothers
Harriman
USD
161
CAD
201
08/04/21
Brown
Brothers
Harriman
USD
1,409
EUR
1,188
08/03/21
Brown
Brothers
Harriman
CAD
201
USD
162
08/04/21
1
Brown
Brothers
Harriman
CAD
201
USD
161
09/02/21
Brown
Brothers
Harriman
EUR
199
USD
237
08/03/21
Brown
Brothers
Harriman
EUR
989
USD
1,172
08/03/21
(1)
Brown
Brothers
Harriman
EUR
1,203
USD
1,427
09/02/21
Citigroup
USD
1,749
CHF
1,562
09/15/21
(23)
Citigroup
USD
2
GBP
1
09/09/21
Citigroup
USD
970
GBP
684
09/09/21
(19)
Citigroup
CAD
2,749
USD
2,274
09/15/21
72
Citigroup
EUR
19,309
USD
22,930
09/15/21
6
Citigroup
GBP
685
USD
958
09/09/21
5
Citigroup
GBP
1,524
USD
2,152
09/15/21
33
Citigroup
JPY
786,556
USD
7,185
09/15/21
13
Citigroup
SEK
6,498
USD
787
09/15/21
32
HSBC
USD
138
BRL
705
08/03/21
(2)
HSBC
USD
358
BRL
1,831
08/03/21
(6)
HSBC
USD
1,570
BRL
8,040
08/03/21
(26)
HSBC
USD
1,863
BRL
10,576
08/03/21
166
HSBC
USD
44
BRL
230
11/03/21
HSBC
USD
1,573
BRL
8,040
11/03/21
(49)
HSBC
USD
60
CNY
390
09/10/21
HSBC
USD
2,973
CNY
19,441
09/10/21
25
HSBC
USD
3
CZK
65
09/07/21
HSBC
USD
54
CZK
1,173
09/07/21
1
HSBC
USD
90
EUR
76
08/17/21
HSBC
USD
50
HKD
388
09/13/21
HSBC
USD
1,243
HKD
9,650
09/13/21
(1)
HSBC
USD
HUF
10
09/07/21
HSBC
USD
875
HUF
262,560
09/07/21
(7)
HSBC
USD
118
MXN
2,362
08/09/21
1
HSBC
USD
349
MXN
6,921
08/09/21
(1)
HSBC
USD
650
MXN
12,918
08/09/21
(1)
HSBC
USD
270
PEN
979
08/12/21
(29)
HSBC
USD
140
PLN
533
09/21/21
(2)
HSBC
USD
1,230
PLN
4,560
09/21/21
(46)
HSBC
USD
1,325
PLN
4,909
09/21/21
(51)
HSBC
USD
74
RON
311
11/08/21
HSBC
USD
660
RUB
49,538
09/07/21
15
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
376
Multi-Strategy
Income
Fund
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
HSBC
USD
66
THB
2,157
11/08/21
HSBC
USD
1,187
THB
38,258
11/08/21
(23)
HSBC
USD
29
ZAR
421
08/30/21
(1)
HSBC
USD
41
ZAR
583
08/30/21
(1)
HSBC
USD
337
ZAR
4,923
08/30/21
(2)
HSBC
BRL
705
USD
140
08/03/21
5
HSBC
BRL
1,831
USD
320
08/03/21
(32)
HSBC
BRL
8,040
USD
1,593
08/03/21
49
HSBC
BRL
10,576
USD
2,065
08/03/21
34
HSBC
CLP
40,958
USD
57
08/30/21
3
HSBC
CLP
79,138
USD
110
08/30/21
6
HSBC
CLP
82,609
USD
115
08/30/21
6
HSBC
CLP
112,373
USD
159
08/30/21
11
HSBC
CLP
115,869
USD
163
08/30/21
11
HSBC
CLP
393,573
USD
559
08/30/21
41
HSBC
COP
2,929,009
USD
770
11/08/21
19
HSBC
CZK
35,457
USD
1,649
09/07/21
1
HSBC
IDR
27,120,574
USD
1,863
09/20/21
(5)
HSBC
MXN
1,600
USD
80
08/09/21
HSBC
MXN
6,450
USD
315
08/09/21
(8)
HSBC
MXN
6,470
USD
316
08/09/21
(8)
HSBC
MXN
7,681
USD
380
08/09/21
(6)
HSBC
MXN
12,918
USD
639
12/02/21
1
HSBC
PEN
1,263
USD
351
08/12/21
40
HSBC
PHP
7,311
USD
151
09/07/21
4
HSBC
RUB
7,168
USD
97
09/07/21
(1)
HSBC
RUB
9,105
USD
119
09/07/21
(5)
HSBC
RUB
18,159
USD
239
09/07/21
(9)
JPMorgan
Chase
USD
1,748
CHF
1,562
09/15/21
(22)
JPMorgan
Chase
CAD
2,749
USD
2,274
09/15/21
71
JPMorgan
Chase
GBP
1,524
USD
2,153
09/15/21
34
JPMorgan
Chase
JPY
786,556
USD
7,182
09/15/21
10
JPMorgan
Chase
SEK
6,498
USD
787
09/15/21
32
Royal
Bank
of
Canada
USD
96
CAD
120
08/03/21
Royal
Bank
of
Canada
USD
CAD
1
09/09/21
Royal
Bank
of
Canada
USD
950
CAD
1,182
09/09/21
(2)
Royal
Bank
of
Canada
USD
2,790
CAD
3,369
09/09/21
(90)
Royal
Bank
of
Canada
USD
1,754
CHF
1,562
09/15/21
(27)
Royal
Bank
of
Canada
CAD
1,196
USD
990
09/09/21
31
Royal
Bank
of
Canada
CAD
2,749
USD
2,278
09/15/21
75
Royal
Bank
of
Canada
GBP
1,524
USD
2,158
09/15/21
39
Royal
Bank
of
Canada
JPY
786,556
USD
7,205
09/15/21
33
Royal
Bank
of
Canada
SEK
864
USD
100
08/03/21
Royal
Bank
of
Canada
SEK
6,498
USD
789
09/15/21
34
State
Street
USD
7
EUR
6
09/09/21
State
Street
USD
6
SEK
50
09/09/21
State
Street
AUD
16
USD
12
09/15/21
1
State
Street
DKK
18,730
USD
2,991
09/15/21
2
State
Street
EUR
3
USD
4
09/09/21
State
Street
EUR
6
USD
7
09/09/21
State
Street
EUR
674
USD
824
09/09/21
24
State
Street
EUR
1,582
USD
1,931
09/15/21
53
State
Street
NOK
8,070
USD
976
09/15/21
62
State
Street
SEK
89
USD
10
09/09/21
State
Street
SEK
115
USD
14
09/09/21
State
Street
SEK
14,790
USD
1,786
09/09/21
67
State
Street
TWD
67
USD
2
08/02/21
UBS
USD
5
CHF
5
09/09/21
UBS
USD
59
CHF
54
09/09/21
UBS
CHF
22
USD
24
09/09/21
UBS
CHF
2,479
USD
2,768
09/09/21
28
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
377
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Total
Unrealized
Appreciation
(Depreciation)
on
Open
Foreign
Currency
Exchange
Contracts
(å)
989
Total
Return
Swap
Contracts
Amounts
in
thousands
Underlying
Reference
Entity
Counterparty
Notional
Amount
Terms
Termination
Date
Premiums
Paid
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Long
Markit
IOS
Index
-
Fannie
Mae
30
Year
4.000%
Goldman
Sachs
USD
7,864
1
Month
LIBOR
(1)
01/12/45
52
52
Short
Markit
IOS
Index
-
Fannie
Mae
30
Year
4.000%
JPMorgan
Chase
USD
7,864
1
Month
LIBOR
(1)
01/12/45
(52)
(52)
Total
Open
Total
Return
Swap
Contracts
(å)
Interest
Rate
Swap
Contracts
Amounts
in
thousands
Counterparty
Notional
Amount
Fund
Receives
Fund
Pays
Termination
Date
Premiums
Paid
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Barclays
USD
38,280
Three
Month
LIBOR
(2)
0.305%
(3)
06/24/23
13
(55)
(42)
Barclays
USD
38,280
0.305%
(2)
Three
Month
LIBOR
(2)
06/24/23
42
42
Barclays
USD
29,728
Three
Month
LIBOR
(2)
0.296%
(3)
07/09/23
(26)
(26)
Barclays
USD
14,165
Three
Month
LIBOR
(2)
0.282%
(3)
07/27/23
(6)
(6)
Barclays
USD
171,726
Three
Month
LIBOR
(2)
0.300%
(3)
09/15/23
326
(360)
(34)
Barclays
USD
9,234
0.350%
(2)
Three
Month
LIBOR
(2)
07/06/25
(102)
(102)
Barclays
USD
1,345
0.300%
(2)
Three
Month
LIBOR
(2)
07/14/25
(18)
(18)
Barclays
USD
957
0.277%
(2)
Three
Month
LIBOR
(2)
08/12/25
(14)
(14)
Barclays
USD
1,224
Three
Month
LIBOR
(2)
0.344%
(3)
10/13/25
17
17
Barclays
USD
1,294
Three
Month
LIBOR
(2)
0.410%
(3)
10/13/25
14
14
Barclays
USD
1,294
Three
Month
LIBOR
(2)
0.471%
(3)
11/16/25
12
12
Barclays
USD
1,323
0.428%
(2)
Three
Month
LIBOR
(2)
12/16/25
(16)
(16)
Barclays
USD
1,245
Three
Month
LIBOR
(2)
0.562%
(3)
01/13/26
8
8
Barclays
USD
262
Three
Month
LIBOR
(2)
0.584%
(3)
02/10/26
2
2
Barclays
USD
865
Three
Month
LIBOR
(2)
0.597%
(3)
02/17/26
10
(5)
5
Barclays
USD
1,297
Three
Month
LIBOR
(2)
0.600%
(3)
03/09/26
8
8
Barclays
USD
1,297
Three
Month
LIBOR
(2)
1.045%
(3)
04/15/26
(18)
(18)
Barclays
USD
97,000
0.615%
(2)
Three
Month
LIBOR
(2)
04/15/26
(1,849)
1,250
(599)
Barclays
USD
97,000
Three
Month
LIBOR
(2)
0.615%
(3)
04/15/26
1,780
(1,181)
599
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
378
Multi-Strategy
Income
Fund
Interest
Rate
Swap
Contracts
Amounts
in
thousands
Counterparty
Notional
Amount
Fund
Receives
Fund
Pays
Termination
Date
Premiums
Paid
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Barclays
USD
9,544
Three
Month
LIBOR
(2)
0.966%
(3)
04/27/26
(96)
(96)
Barclays
USD
9,544
0.891%
(2)
Three
Month
LIBOR
(2)
05/04/26
61
61
Barclays
USD
13,621
0.857%
(2)
Three
Month
LIBOR
(2)
06/04/26
59
59
Barclays
USD
6,375
Three
Month
LIBOR
(2)
0.934%
(3)
06/24/26
6
(55)
(49)
Barclays
USD
6,375
0.934%
(2)
Three
Month
LIBOR
(2)
06/24/26
49
49
Barclays
USD
92,768
1.080%
(2)
Three
Month
LIBOR
(2)
07/01/26
538
830
1,368
Barclays
USD
92,768
Three
Month
LIBOR
(2)
1.080%
(3)
07/01/26
(1,368)
(1,368)
Barclays
USD
5,231
0.948%
(2)
Three
Month
LIBOR
(2)
07/06/26
43
43
Barclays
USD
12,444
Three
Month
LIBOR
(2)
0.963%
(3)
07/06/26
(112)
(112)
Barclays
USD
8,041
Three
Month
LIBOR
(2)
0.858%
(3)
07/09/26
(31)
(31)
Barclays
USD
9,060
0.892%
(2)
Three
Month
LIBOR
(2)
07/16/26
49
49
Barclays
USD
5,013
Three
Month
LIBOR
(2)
0.884%
(3)
07/20/26
(25)
(25)
Barclays
USD
5,402
Three
Month
LIBOR
(2)
0.792%
(3)
07/21/26
(2)
(2)
Barclays
USD
5,402
Three
Month
LIBOR
(2)
0.790%
(3)
07/21/26
(1)
(1)
Barclays
USD
6,951
0.726%
(2)
Three
Month
LIBOR
(2)
07/22/26
(20)
(20)
Barclays
USD
5,386
0.814%
(2)
Three
Month
LIBOR
(2)
07/27/26
7
7
Barclays
USD
27,353
0.806%
(2)
Three
Month
LIBOR
(2)
08/04/26
21
21
Barclays
USD
21,918
Three
Month
LIBOR
(2)
0.950%
(3)
09/15/26
86
(225)
(139)
Barclays
USD
621
0.645%
(2)
Three
Month
LIBOR
(2)
07/15/30
(29)
(29)
Barclays
USD
18,467
0.556%
(2)
Three
Month
LIBOR
(2)
08/05/30
(1,017)
(1,017)
Barclays
USD
18,467
Three
Month
LIBOR
(2)
0.564%
(3)
09/08/30
1,026
1,026
Barclays
USD
17,236
Three
Month
LIBOR
(2)
0.717%
(3)
10/07/30
739
739
Barclays
USD
18,467
Three
Month
LIBOR
(2)
0.724%
(3)
11/04/30
795
795
Barclays
USD
214
Three
Month
LIBOR
(2)
1.212%
(3)
02/16/31
Barclays
USD
193
Three
Month
LIBOR
(2)
1.366%
(3)
02/22/31
(2)
(2)
Barclays
USD
151
Three
Month
LIBOR
(2)
1.426%
(3)
02/24/31
(3)
(3)
Barclays
USD
161
Three
Month
LIBOR
(2)
1.519%
(3)
03/02/31
(4)
(4)
Barclays
USD
21,692
1.609%
(2)
Three
Month
LIBOR
(2)
03/08/31
766
766
Barclays
USD
648
Three
Month
LIBOR
(2)
1.525%
(3)
03/15/31
(18)
(18)
Barclays
USD
241
Three
Month
LIBOR
(2)
1.165%
(3)
04/15/31
2
2
Barclays
USD
648
1.465%
(2)
Three
Month
LIBOR
(2)
04/15/31
14
14
Barclays
USD
17,942
Three
Month
LIBOR
(2)
1.538%
(3)
04/19/31
(508)
(508)
Barclays
USD
648
Three
Month
LIBOR
(2)
1.702%
(3)
04/21/31
(28)
(28)
Barclays
USD
12,382
1.655%
(2)
Three
Month
LIBOR
(2)
05/04/31
486
486
Barclays
USD
6,811
1.591%
(2)
Three
Month
LIBOR
(2)
05/05/31
226
226
Barclays
USD
648
1.573%
(2)
Three
Month
LIBOR
(2)
05/17/31
20
20
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
379
Interest
Rate
Swap
Contracts
Amounts
in
thousands
Counterparty
Notional
Amount
Fund
Receives
Fund
Pays
Termination
Date
Premiums
Paid
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Barclays
USD
648
1.644%
(2)
Three
Month
LIBOR
(2)
05/21/31
25
25
Barclays
USD
3,803
Three
Month
LIBOR
(2)
1.612%
(3)
05/27/31
(133)
(133)
Barclays
USD
6,837
1.465%
(2)
Three
Month
LIBOR
(2)
06/14/31
143
143
Barclays
USD
648
1.558%
(2)
Three
Month
LIBOR
(2)
06/16/31
19
19
Barclays
USD
648
1.450%
(2)
Three
Month
LIBOR
(2)
06/23/31
13
13
Barclays
USD
5,108
1.462%
(2)
Three
Month
LIBOR
(2)
06/24/31
9
96
105
Barclays
USD
5,108
Three
Month
LIBOR
(2)
1.462%
(3)
06/24/31
(105)
(105)
Barclays
USD
6,539
1.470%
(2)
Three
Month
LIBOR
(2)
06/29/31
139
139
Barclays
USD
2,099
Three
Month
LIBOR
(2)
1.472%
(3)
06/30/31
(45)
(45)
Barclays
USD
6,202
1.466%
(2)
Three
Month
LIBOR
(2)
07/01/31
129
129
Barclays
USD
1,755
Three
Month
LIBOR
(2)
1.437%
(3)
07/02/31
(31)
(31)
Barclays
USD
1,012
1.463%
(2)
Three
Month
LIBOR
(2)
07/06/31
21
21
Barclays
USD
819
1.339%
(2)
Three
Month
LIBOR
(2)
07/08/31
7
7
Barclays
USD
4,026
Three
Month
LIBOR
(2)
1.337%
(3)
07/08/31
(34)
(34)
Barclays
USD
446
1.457%
(2)
Three
Month
LIBOR
(2)
07/09/31
9
9
Barclays
USD
4,215
1.283%
(2)
Three
Month
LIBOR
(2)
07/09/31
13
13
Barclays
USD
952
1.282%
(2)
Three
Month
LIBOR
(2)
07/12/31
3
3
Barclays
USD
233
Three
Month
LIBOR
(2)
1.165%
(3)
07/15/31
2
2
Barclays
USD
910
Three
Month
LIBOR
(2)
1.373%
(3)
07/15/31
(11)
(11)
Barclays
USD
963
1.460%
(2)
Three
Month
LIBOR
(2)
07/15/31
19
19
Barclays
USD
923
1.363%
(2)
Three
Month
LIBOR
(2)
07/16/31
10
10
Barclays
USD
3,712
Three
Month
LIBOR
(2)
1.273%
(3)
07/26/31
(7)
(7)
Barclays
USD
2,034
1.296%
(2)
Three
Month
LIBOR
(2)
07/27/31
8
8
Barclays
USD
1,440
Three
Month
LIBOR
(2)
1.252%
(3)
07/29/31
Barclays
USD
2,916
1.273%
(2)
Three
Month
LIBOR
(2)
08/02/31
5
5
Barclays
USD
31,112
Three
Month
LIBOR
(2)
1.650%
(3)
09/15/31
(475)
(643)
(1,118)
Barclays
USD
445
Three
Month
LIBOR
(2)
1.328%
(3)
06/12/40
24
24
Barclays
USD
289
Three
Month
LIBOR
(2)
1.268%
(3)
06/19/40
17
17
Barclays
USD
578
Three
Month
LIBOR
(2)
1.250%
(3)
06/19/40
35
35
Barclays
USD
811
Three
Month
LIBOR
(2)
1.322%
(3)
06/19/40
45
45
Barclays
USD
1,564
Three
Month
LIBOR
(2)
1.345%
(3)
09/19/40
83
83
Barclays
USD
964
Three
Month
LIBOR
(2)
2.280%
(3)
06/12/41
(23)
(23)
Barclays
USD
830
Three
Month
LIBOR
(2)
1.325%
(3)
06/06/50
75
75
Barclays
USD
1,304
Three
Month
LIBOR
(2)
1.275%
(3)
09/19/50
126
126
Barclays
USD
39,994
Three
Month
LIBOR
(2)
1.160%
(3)
10/16/50
103
4,623
4,726
Barclays
USD
8,203
1.305%
(2)
Three
Month
LIBOR
(2)
10/27/50
(681)
(681)
Barclays
USD
8,370
1.410%
(2)
Three
Month
LIBOR
(2)
11/12/50
(481)
(481)
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
380
Multi-Strategy
Income
Fund
Interest
Rate
Swap
Contracts
Amounts
in
thousands
Counterparty
Notional
Amount
Fund
Receives
Fund
Pays
Termination
Date
Premiums
Paid
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Barclays
USD
6,983
Three
Month
LIBOR
(2)
1.256%
(3)
11/23/50
665
665
Barclays
USD
9,600
1.400%
(2)
Three
Month
LIBOR
(2)
12/04/50
(574)
(574)
Barclays
USD
9,768
1.563%
(2)
Three
Month
LIBOR
(2)
01/11/51
(197)
(197)
Barclays
USD
4,017
1.708%
(2)
Three
Month
LIBOR
(2)
02/08/51
62
62
Barclays
USD
3,640
1.727%
(2)
Three
Month
LIBOR
(2)
02/12/51
73
73
Barclays
USD
9,613
1.890%
(2)
Three
Month
LIBOR
(2)
02/18/51
578
578
Barclays
USD
4,775
1.985%
(2)
Three
Month
LIBOR
(2)
04/20/51
402
402
Barclays
USD
4,614
Three
Month
LIBOR
(2)
1.876%
(3)
06/11/51
(265)
(265)
Barclays
USD
711
Three
Month
LIBOR
(2)
2.150%
(3)
06/12/51
(28)
(28)
Barclays
USD
7,322
Three
Month
LIBOR
(2)
1.779%
(3)
06/21/51
(243)
(243)
Barclays
USD
1,286
Three
Month
LIBOR
(2)
1.744%
(3)
07/06/51
(32)
(32)
Barclays
USD
4,086
Three
Month
LIBOR
(2)
1.670%
(3)
07/08/51
(26)
(26)
Barclays
USD
1,742
Three
Month
LIBOR
(2)
1.725%
(3)
07/16/51
(35)
(35)
Barclays
USD
8,021
Three
Month
LIBOR
(2)
1.529%
(3)
07/21/51
231
231
Barclays
USD
7,000
1.652%
(2)
Three
Month
LIBOR
(2)
07/23/51
13
13
Barclays
USD
9,860
2.000%
(2)
Three
Month
LIBOR
(2)
09/15/51
514
339
853
Barclays
USD
1,121
Three
Month
LIBOR
(2)
1.250%
(3)
06/06/55
144
144
Barclays
USD
711
Three
Month
LIBOR
(2)
2.090%
(3)
06/12/55
(49)
(49)
Barclays
USD
412
Three
Month
LIBOR
(2)
1.026%
(3)
06/18/55
74
74
Barclays
USD
515
Three
Month
LIBOR
(2)
1.025%
(3)
06/18/55
93
93
Barclays
USD
4,034
1.080%
(2)
Three
Month
LIBOR
(2)
08/14/55
(678)
(678)
Barclays
USD
1,408
Three
Month
LIBOR
(2)
1.178%
(3)
09/19/55
204
204
Barclays
USD
1,211
1.570%
(2)
Three
Month
LIBOR
(2)
11/12/55
(65)
(65)
Barclays
USD
445
Three
Month
LIBOR
(2)
1.155%
(3)
06/12/60
59
59
Barclays
USD
491
Three
Month
LIBOR
(2)
1.155%
(3)
06/19/60
65
65
Barclays
USD
467
Three
Month
LIBOR
(2)
1.794%
(3)
02/05/61
(5)
(5)
Credit
Suisse
HUF
583,900
Six
Month
BUBOR
(3)
0.833%
(4)
11/22/22
27
27
Credit
Suisse
CNY
2,900
2.335%
(2)
CEFTS
China
7
Day
Interbank
Repo
Fixing
Rate
(2)
03/05/25
(2)
(2)
Credit
Suisse
CNY
5,500
2.520%
(2)
CEFTS
China
7
Day
Interbank
Repo
Fixing
Rate
(2)
07/07/25
2
2
Credit
Suisse
CNY
10,000
2.840%
(2)
China
Interbank
Repo
Rate
3
Months
(2)
11/24/25
22
22
Credit
Suisse
CNY
4,300
2.650%
(2)
China
Interbank
Repo
Rate
3
Months
(2)
01/11/26
4
4
Credit
Suisse
CNY
3,700
2.825%
(2)
China
Interbank
Repo
Rate
3
Months
(2)
04/07/26
8
8
Credit
Suisse
CNY
1,600
2.576%
(2)
China
Interbank
Repo
Rate
3
Months
(2)
07/15/26
1
1
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
381
Interest
Rate
Swap
Contracts
Amounts
in
thousands
Counterparty
Notional
Amount
Fund
Receives
Fund
Pays
Termination
Date
Premiums
Paid
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Total
Open
Interest
Rate
Swap
Contracts
(å)
1,061
5,563
6,624
Consolidated
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
Long-Term
Investments
Corporate
Bonds
and
Notes
$
$
62,504
$
21
$
$
62,525
International
Debt
27,057
27,057
Loan
Agreements
*
Mortgage-Backed
Securities
131,660
131,660
Non-US
Bonds
19,251
19,251
Common
Stocks
Consumer
Discretionary
15,455
20,232
35,687
Consumer
Staples
1,963
11,112
13,075
Energy
8,571
4,311
12,882
Financial
Services
41,392
30,172
71,564
Health
Care
3,672
13,286
16,958
Materials
and
Processing
27,357
16,764
44,121
Producer
Durables
14,360
23,444
1,766
39,570
Technology
11,688
10,115
21,803
Utilities
12,393
16,236
28,629
Preferred
Stocks
9,953
2,241
12,194
Options
Purchased
3,400
52,977
56,377
Short-Term
Investments
103
32,761
13
72,589
105,466
Other
Securities
6,755
6,755
Total
Investments
150,307
474,123
1,800
79,344
705,574
Other
Financial
Instruments
Assets
Futures
Contracts
9,243
9,
243
Foreign
Currency
Exchange
Contracts
3
5
1,594
1,629
Total
Return
Swap
Contracts
52
52
Interest
Rate
Swap
Contracts
15,819
15,819
Liabilities
Futures
Contracts
(7,330
)
(7,330
)
Options
Written
(112
)
(27,570)
(27,682)
Foreign
Currency
Exchange
Contracts
(35)
(605)
(640)
Total
Return
Swap
Contracts
(52)
(52)
Interest
Rate
Swap
Contracts
(9,195)
(9,195)
Total
Other
Financial
Instruments
**
$
1,80
1
$
(19,957)
$
$
$
(
18,156
)
*
Less
than
$500.
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
382
Multi-Strategy
Income
Fund
**
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Amounts
in
thousands
Country
Exposure
Fair
Value
$
Australia
.............................................................................................
6,638
Belgium
..............................................................................................
505
Brazil
..................................................................................................
3,436
Burkina
Faso
.......................................................................................
98
Cameroon
............................................................................................
332
Canada
................................................................................................
22,211
Chile
...................................................................................................
1,623
China
..................................................................................................
2,471
Colombia
.............................................................................................
1,593
Czech
Republic
...................................................................................
2,832
Denmark
.............................................................................................
5,897
Dominican
Republic
...........................................................................
6
Finland
...............................................................................................
351
France
.................................................................................................
12,611
Germany
.............................................................................................
10,813
Ghana
.................................................................................................
27
Greece
................................................................................................
108
Hong
Kong
..........................................................................................
2,350
Hungary
..............................................................................................
317
Indonesia
............................................................................................
3,829
Ireland
................................................................................................
1,633
Israel
...................................................................................................
272
Italy
....................................................................................................
3,762
Japan
..................................................................................................
65,028
Kazakhstan
.........................................................................................
1,155
Macao
.................................................................................................
92
Malaysia
..............................................................................................
287
Mexico
................................................................................................
3,998
Monaco
...............................................................................................
256
Mongolia
.............................................................................................
2,750
Netherlands
........................................................................................
5,859
New
Zealand
.......................................................................................
485
Norway
................................................................................................
629
Peru
....................................................................................................
1,258
Philippines
..........................................................................................
206
Poland
.................................................................................................
764
Puerto
Rico
.........................................................................................
2,816
Romania
..............................................................................................
850
Russia
.................................................................................................
10,916
Singapore
............................................................................................
2,368
South
Africa
........................................................................................
1,820
South
Korea
........................................................................................
4,981
Spain
...................................................................................................
2,690
Sweden
................................................................................................
6,267
Russell
Investment
Company
Multi-Strategy
Income
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Strategy
Income
Fund
383
Amounts
in
thousands
Country
Exposure
Fair
Value
$
Switzerland
.........................................................................................
9,263
Taiwan
.................................................................................................
889
Thailand
..............................................................................................
1,401
Turkey
.................................................................................................
361
Ukraine
...............................................................................................
1,418
United
Kingdom
..................................................................................
38,034
United
States
.......................................................................................
455,018
Total
Investments
................................................................................
705,574
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
384
Multi-Asset
Growth
Strategy
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Long-Term
Investments
-
32.5%
Corporate
Bonds
and
Notes
-
8.6%
Aircastle,
Ltd.
4.250%
due
06/15/26
135
148
Alcoa
Corp.
4.125%
due
03/31/29
(Þ)
200
210
Alteryx,
Inc.
0.500%
due
08/01/24
(Þ)
2,269
2,146
Apollo
Commercial
Real
Estate
Finance,
Inc.
4.750%
due
08/23/22
1,090
1,101
5.375%
due
10/15/23
1,139
1,146
Ares
Capital
Corp.
4.625%
due
03/01/24
1,913
2,070
Ball
Corp.
2.875%
due
08/15/30
39
39
Benefitfocus,
Inc.
1.250%
due
12/15/23
957
893
Blackstone
Mortgage
Trust,
Inc.
4.750%
due
03/15/23
940
968
CalAmp
Corp.
2.000%
due
08/01/25
955
878
Calpine
Corp.
3.750%
due
03/01/31
(Þ)
393
378
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp.
4.250%
due
02/01/31
(Þ)
100
103
Centene
Corp.
2.500%
due
03/01/31
27
27
Charter
Communications
Operating
LLC
/
Charter
Communications
Operating
Capital
Series
WI
5.375%
due
05/01/47
225
278
CIT
Group,
Inc.
5.000%
due
08/01/23
250
270
Clearway
Energy
Operating
LLC
4.750%
due
03/15/28
(Þ)
61
65
Series
WI
5.000%
due
09/15/26
515
527
Cleveland-Cliffs,
Inc.
Series
WI
7.000%
due
03/15/27
72
75
Colony
Capital,
Inc.
5.000%
due
04/15/23
2,267
2,313
Country
Garden
Holdings
Co.,
Ltd.
5.625%
due
01/14/30
200
213
CSC
Holdings
LLC
3.375%
due
02/15/31
(Þ)
400
380
DCP
Midstream
Operating,
LP
5.125%
due
05/15/29
277
309
5.600%
due
04/01/44
54
62
DISH
Network
Corp.
2.375%
due
03/15/24
2,406
2,325
DocuSign,
Inc.
0.000%
due
01/15/24
785
836
Domtar
Corp.
6.250%
due
09/01/42
408
433
Energy
Transfer,
LP
6.250%
due
12/31/99
(USD
3
Month
LIBOR
+
4.028%)(Ê)(ƒ)
254
229
EnLink
Midstream
Partners,
LP
5.600%
due
04/01/44
71
69
5.050%
due
04/01/45
103
95
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
5.450%
due
06/01/47
72
70
Enterprise
Products
Operating
LLC
5.375%
due
02/15/78
(USD
3
Month
LIBOR
+
2.570%)(Ê)
713
736
EQM
Midstream
Partners,
LP
Series
30Y
6.500%
due
07/15/48
133
146
Exantas
Capital
Corp.
4.500%
due
08/15/22
925
913
EZCORP,
Inc.
2.375%
due
05/01/25
983
866
FireEye,
Inc.
Series
B
1.625%
due
06/01/35
2,803
2,778
Flexion
Therapeutics,
Inc.
3.375%
due
05/01/24
272
242
General
Electric
Co.
Series
D
3.449%
due
12/29/49
(USD
3
Month
LIBOR
+
3.330%)(Ê)(ƒ)
170
166
General
Motors
Financial
Co.,
Inc.
Series
B
6.500%
due
12/31/99
(USD
3
Month
LIBOR
+
3.436%)(Ê)(ƒ)(Ñ)
130
148
Goodyear
Tire
&
Rubber
Co.
(The)
4.875%
due
03/15/27
700
743
Granite
Point
5.625%
due
12/01/22
(Þ)
1,881
1,861
Greenlight
Capital,
Inc.
4.000%
due
08/01/23
1,135
1,084
Haemonetics
Corp.
0.000%
due
03/01/26
2,311
1,970
Hanesbrands,
Inc.
4.875%
due
05/15/26
(Þ)
739
797
HCA,
Inc.
3.500%
due
09/01/30
506
549
7.500%
due
11/15/95
221
328
Helix
Energy
Solutions
Group,
Inc.
4.125%
due
09/15/23
464
441
Herbalife
Nutrition,
Ltd.
2.625%
due
03/15/24
605
647
Innoviva,
Inc.
2.125%
due
01/15/23
1,966
2,021
International
Consolidated
Airlines
0.500%
due
07/04/23
100
115
Invacare
Corp.
5.000%
due
11/15/24
221
211
Ionis
Pharmaceuticals,
Inc.
0.125%
due
12/15/24
(Þ)
2,226
2,043
JPMorgan
Chase
&
Co.
Series
CC
4.625%
due
12/31/99
(USD
3
Month
LIBOR
+
2.580%)(Ê)(ƒ)
50
51
KB
Home
4.800%
due
11/15/29
14
15
Kinder
Morgan
Energy
Partners,
LP
4.700%
due
11/01/42
290
343
KKR
Real
Estate
Finance
Trust,
Inc.
6.125%
due
05/15/23
1,462
1,547
L
Brands,
Inc.
Series
WI
6.875%
due
11/01/35
125
161
LendingTree,
Inc.
0.500%
due
07/15/25
2,127
1,916
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
385
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Levi
Strauss
&
Co.
3.500%
due
03/01/31
(Þ)
145
149
Liberty
Broadband
Corp.
1.250%
due
09/30/50
1,209
1,226
2.750%
due
09/30/50
519
557
Liberty
Media
Corp.
2.125%
due
03/31/48
(Þ)
344
358
Ligand
Pharmaceuticals,
Inc.
0.750%
due
05/15/23
2,086
2,035
Limelight
Networks,
Inc.
3.500%
due
08/01/25
838
747
Lumen
Technologies,
Inc.
4.000%
due
02/15/27
(Þ)
100
103
Macquarie
Infrastructure
Corp.
2.000%
due
10/01/23
1,611
1,603
Marathon
Oil
Corp.
5.200%
due
06/01/45
225
270
MFA
Financial,
Inc.
6.250%
due
06/15/24
2,514
2,555
MGIC
Investment
Corp.
9.000%
due
04/01/63
(Þ)
1,818
2,386
MicroStrategy,
Inc.
5.340%
due
02/15/27
778
576
Momo,
Inc.
1.250%
due
07/01/25
(Þ)
431
360
New
Mountain
Finance
Corp.
5.750%
due
08/15/23
1,882
1,983
New
Relic,
Inc.
0.500%
due
05/01/23
1,697
1,692
NIO,
Inc.
0.000%
due
02/01/26
395
344
Novelis
Corp.
4.750%
due
01/30/30
(Þ)
281
299
Nutanix,
Inc.
4.898%
due
01/15/23
(Þ)
1,304
1,360
NuVasive,
Inc.
0.375%
due
03/15/25
(Þ)
84
81
OneMain
Finance
Corp.
3.500%
due
01/15/27
29
30
4.000%
due
09/15/30
14
14
Paratek
Pharmaceuticals,
Inc.
4.750%
due
05/01/24
690
605
Patrick
Industries,
Inc.
1.000%
due
02/01/23
(Ñ)
159
180
PennyMac
Mortgage
Investment
Trust
5.500%
due
11/01/24
2,339
2,355
Plains
All
American
Pipeline,
LP
Series
B
6.125%
due
12/31/99
(USD
3
Month
LIBOR
+
4.110%)(Ê)(ƒ)
756
676
Post
Holdings,
Inc.
4.625%
due
04/15/30
(Þ)
52
53
4.500%
due
09/15/31
(Þ)
71
72
Precigen,
Inc.
3.500%
due
07/01/23
1,381
1,157
Quotient
Technology,
Inc.
1.750%
due
12/01/22
542
545
Radius
Health,
Inc.
3.000%
due
09/01/24
904
817
Range
Resources
Corp.
Series
WI
4.875%
due
05/15/25
132
137
Redwood
Trust,
Inc.
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
4.750%
due
08/15/23
1,095
1,098
Retrophin,
Inc.
2.500%
due
09/15/25
265
225
RWT
Holdings,
Inc.
5.750%
due
10/01/25
1,606
1,632
Seagate
HDD
Cayman
3.375%
due
07/15/31
(Þ)
177
174
Sealed
Air
Corp.
4.000%
due
12/01/27
(Þ)
400
427
SFL
Corp.,
Ltd.
4.875%
due
05/01/23
752
740
SmileDirectClub
LLC
0.000%
due
02/01/26
623
480
Splitrock
Services,
Inc.
5.500%
due
02/28/24
914
763
Starwood
Property
Trust,
Inc.
4.375%
due
04/01/23
1,419
1,513
Stride,
Inc.
1.125%
due
09/01/27
283
258
Supernus
Pharmaceuticals,
Inc.
0.625%
due
04/01/23
2,222
2,165
Tabula
Rasa
HealthCare,
Inc.
1.750%
due
02/15/26
(Ñ)(Þ)
397
381
Taylor
Morrison
Communities,
Inc.
5.875%
due
06/15/27
(Þ)
185
209
Tenet
Healthcare
Corp.
4.875%
due
01/01/26
(Þ)
421
435
6.875%
due
11/15/31
150
172
TerraForm
Power
Operating
LLC
4.750%
due
01/15/30
(Þ)
307
323
Theravance
Biopharma,
Inc.
3.250%
due
11/01/23
258
240
Tilray,
Inc.
5.000%
due
10/01/23
1,813
1,768
T-Mobile
USA,
Inc.
4.500%
due
04/15/50
25
31
Triarco
Industries
LLC
5.875%
due
08/01/37
567
521
Veeco
Instruments,
Inc.
2.700%
due
01/15/23
1,263
1,257
Vishay
Intertechnology,
Inc.
2.250%
due
06/15/25
558
585
Western
Digital
Corp.
1.500%
due
02/01/24
(Þ)
1,628
1,680
4.750%
due
02/15/26
127
141
84,037
International
Debt
-
2.1%
AerCap
Holdings
NV
5.875%
due
10/10/79
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.535%)
(Ê)
300
315
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
3.650%
due
07/21/27
225
242
Akbank
TAS
Series
REGS
5.125%
due
03/31/25
200
202
ams
AG
0.875%
due
09/28/22
2,200
2,136
Arcelik
AS
Series
REGS
5.000%
due
04/03/23
200
207
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
386
Multi-Asset
Growth
Strategy
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Ashland
Services
BV
Series
REGS
2.000%
due
01/30/28
450
543
Ball
Corp.
1.500%
due
03/15/27
100
121
Banco
BTG
Pactual
SA
Series
REGS
2.750%
due
01/11/26
200
195
Bank
of
Ireland
Group
PLC
4.125%
due
09/19/27
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.500%)
(Ê)
200
204
Barclays
Bank
PLC
6.278%
due
12/29/49
(USD
3
Month
LIBOR
+
1.550%)(Ê)(ƒ)
360
485
Berry
Global,
Inc.
Series
REGS
1.000%
due
01/15/25
100
121
1.500%
due
01/15/27
570
699
Bharti
Airtel,
Ltd.
Series
REGS
4.375%
due
06/10/25
200
218
BNP
Paribas
SA
Series
REGS
4.500%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.944%)
(Ê)(ƒ)
200
205
Catalent
Pharma
Solutions,
Inc.
Series
REGS
2.375%
due
03/01/28
506
604
Cemex
SAB
de
CV
Series
REGS
3.875%
due
07/11/31
200
207
Clovis
Oncology,
Inc.
1.250%
due
05/01/25
658
474
Credit
Suisse
Group
AG
4.500%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.554%)
(Ê)(ƒ)
200
199
Ctrip.com
International,
Ltd.
1.250%
due
09/15/22
809
768
DNB
Bank
ASA
4.875%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.140%)
(Ê)(ƒ)
405
428
Enbridge,
Inc.
5.500%
due
07/15/77
(USD
3
Month
LIBOR
+
3.418%)(Ê)
607
651
Falabella
SA
Series
REGS
3.750%
due
10/30/27
200
214
Hope
Bancorp,
Inc.
2.000%
due
05/15/38
2,116
2,037
HSBC
Bank
PLC
Series
1M
0.417%
due
06/29/49
(USD
6
Month
LIBOR
+
0.250%)(Ê)(ƒ)
300
286
Huntsman
International
LLC
Series
WI
4.250%
due
04/01/25
280
375
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
IQVIA,
Inc.
2.250%
due
03/15/29
(Þ)
248
296
Series
REGS
2.250%
due
01/15/28
276
331
Itau
Unibanco
Holding
SA
3.875%
due
04/15/31
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.446%)
(Ê)(Þ)
200
198
Klabin
Austria
GmbH
Series
REGS
3.200%
due
01/12/31
200
198
Levi
Strauss
&
Co.
Series
NCD
3.375%
due
03/15/27
416
509
Liberty
Latin
America,
Ltd.
2.000%
due
07/15/24
(Þ)
796
797
Luminex
Corp.
3.000%
due
05/15/25
1,382
1,382
Millicom
International
Cellular
SA
Series
REGS
5.125%
due
01/15/28
180
187
MPT
Operating
Partnership,
LP
/
MPT
Finance
Corp.
3.692%
due
06/05/28
397
591
Natwest
Group
PLC
6.000%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.625%)
(Ê)(ƒ)
200
222
Netflix,
Inc.
Series
REGs
3.000%
due
06/15/25
200
259
Network
i2i,
Ltd.
Series
REGS
5.650%
due
12/31/99
(U.S.
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.274%)
(Ê)(ƒ)
200
210
Royal
Bank
of
Scotland
Group
PLC
Series
B
0.500%
due
08/29/49
(USD
6
Month
LIBOR
+
0.250%)(Ê)(ƒ)
130
130
Sappi
Papier
Holding
GmbH
Series
REGS
7.500%
due
06/15/32
160
178
Silgan
Holdings,
Inc.
Series
WI
2.250%
due
06/01/28
400
477
Stora
Enso
OYJ
7.250%
due
04/15/36
(Þ)
200
277
Series
REGS
7.250%
due
04/15/36
150
208
Suzano
Austria
GmbH
Series
WI
5.000%
due
01/15/30
200
227
Telecom
Italia
Capital
SA
6.000%
due
09/30/34
70
80
Turk
Telekomunikasyon
AS
Series
REGS
4.875%
due
06/19/24
230
241
Turkiye
Vakiflar
Bankasi
TAO
Series
REGS
5.250%
due
02/05/25
200
199
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
387
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Vale
Overseas,
Ltd.
6.250%
due
08/10/26
100
120
Weibo
Corp.
1.250%
due
11/15/22
(Þ)
817
776
WisdomTree
Investments,
Inc.
3.250%
due
06/15/26
736
702
20,931
Mortgage-Backed
Securities
-
17.9%
Fannie
Mae
4.500%
due
2049
36
39
5.000%
due
2049
111
123
30
Year
TBA(Ï)
2.000%
21,000
21,418
2.500%
20,000
20,819
3.000%
7,000
7,321
4.000%
16,000
17,099
Fannie
Mae
REMICS
Series
2010-35
Class
SG
Interest
Only
STRIP
6.232%
due
04/25/40
(-1
x
USD
1
Month
LIBOR
+
6.400%)(Ê)
1,191
257
Series
2010-99
Class
NI
Interest
Only
STRIP
6.000%
due
09/25/40
2,274
429
Series
2010-109
Class
IM
Interest
Only
STRIP
5.500%
due
09/25/40
3,409
520
Series
2011-101
Class
SA
Interest
Only
STRIP
5.732%
due
10/25/41
(USD
1
Month
LIBOR
+
5.900%)(Ê)
1,500
285
Series
2011-134
Class
SP
Interest
Only
STRIP
5.832%
due
02/25/41
(-1
x
USD
1
Month
LIBOR
+
6.000%)(Ê)
2,459
211
Series
2012-49
Class
QI
Interest
Only
STRIP
4.500%
due
12/25/40
623
24
Series
2012-62
Class
MI
Interest
Only
STRIP
4.000%
due
03/25/41
450
25
Series
2012-103
Class
SD
Interest
Only
STRIP
5.882%
due
09/25/42
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
2,134
408
Series
2012-116
Class
SA
Interest
Only
STRIP
7.032%
due
10/25/42
(-1
x
USD
1
Month
LIBOR
+
7.200%)(Ê)
3,805
799
Series
2013-7
Class
SA
Interest
Only
STRIP
6.532%
due
02/25/43
(-1
x
USD
1
Month
LIBOR
+
6.700%)(Ê)
5,153
1,486
Series
2013-35
Class
IP
Interest
Only
STRIP
3.000%
due
06/25/42
321
12
Series
2013-35
Class
PI
Interest
Only
STRIP
3.000%
due
02/25/42
272
8
Series
2013-40
Class
YI
Interest
Only
STRIP
3.500%
due
06/25/42
448
32
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2013-41
Class
SP
Interest
Only
STRIP
6.032%
due
06/25/40
(-1
x
USD
1
Month
LIBOR
+
6.200%)(Ê)
161
6
Series
2013-57
Class
IQ
Interest
Only
STRIP
3.000%
due
06/25/41
399
20
Series
2013-107
Class
SB
Interest
Only
STRIP
5.782%
due
02/25/43
(USD
1
Month
LIBOR
+
5.950%)(Ê)
2,647
657
Series
2015-34
Class
QI
Interest
Only
STRIP
5.000%
due
06/25/45
882
149
Series
2015-35
Class
IA
Interest
Only
STRIP
5.000%
due
06/25/45
1,463
271
Series
2015-69
Class
IO
Interest
Only
STRIP
6.000%
due
09/25/45
2,200
452
Series
2016-8
Class
SA
Interest
Only
STRIP
5.882%
due
03/25/46
(USD
1
Month
LIBOR
+
6.050%)(Ê)
4,684
940
Series
2016-54
Class
SD
Interest
Only
STRIP
5.832%
due
08/25/46
(-1
x
USD
1
Month
LIBOR
+
6.000%)(Ê)
3,140
726
Series
2016-61
Class
BS
Interest
Only
STRIP
5.932%
due
09/25/46
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
5,988
1,102
Series
2016-65
Class
CS
Interest
Only
STRIP
5.932%
due
09/25/46
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
3,853
693
Series
2016-83
Class
BS
Interest
Only
STRIP
5.932%
due
11/25/46
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
5,032
1,071
Series
2017-32
Class
IP
Interest
Only
STRIP
4.500%
due
05/25/47
4,268
712
Series
2017-75
Class
NI
Interest
Only
STRIP
5.000%
due
11/25/46
1,272
210
Series
2017-78
Class
KI
Interest
Only
STRIP
3.500%
due
10/25/47
919
75
Series
2017-82
Class
NI
Interest
Only
STRIP
4.000%
due
10/25/47
1,871
170
Series
2017-112
Class
SG
Interest
Only
STRIP
6.052%
due
01/25/48
(-1
x
USD
1
Month
LIBOR
+
6.220%)(Ê)
1,729
295
Series
2018-1
Class
AI
Interest
Only
STRIP
5.000%
due
02/25/48
3,223
593
Series
2018-3
Class
PI
Interest
Only
STRIP
4.000%
due
02/25/48
714
72
Series
2018-36
Class
IO
Interest
Only
STRIP
5.000%
due
06/25/48
1,743
308
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
388
Multi-Asset
Growth
Strategy
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2018-36
Class
SD
Interest
Only
STRIP
6.082%
due
06/25/48
(-1
x
USD
1
Month
LIBOR
+
6.250%)(Ê)
5,386
972
Series
2018-47
Class
SA
Interest
Only
STRIP
6.082%
due
07/25/48
(-1
x
USD
1
Month
LIBOR
+
6.250%)(Ê)
2,757
519
Series
2018-62
Class
SB
Interest
Only
STRIP
6.032%
due
09/25/48
(-1
x
USD
1
Month
LIBOR
+
6.200%)(Ê)
4,303
783
Series
2018-95
Class
SA
Interest
Only
STRIP
5.982%
due
01/25/49
(-1
x
USD
1
Month
LIBOR
+
6.150%)(Ê)
3,263
505
Series
2018-95
Class
SL
Interest
Only
STRIP
5.982%
due
01/25/49
(-1
x
USD
1
Month
LIBOR
+
6.150%)(Ê)
2,851
456
Series
2019-13
Class
IO
Interest
Only
STRIP
4.500%
due
03/25/49
1,532
71
Series
2019-17
Class
LI
Interest
Only
STRIP
4.500%
due
04/25/49
1,554
122
Series
2019-24
Class
SA
Interest
Only
STRIP
5.882%
due
05/25/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
1,536
183
Series
2019-26
Class
SM
Interest
Only
STRIP
5.882%
due
06/25/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
2,914
467
Series
2019-43
Class
KS
Interest
Only
STRIP
5.882%
due
08/25/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
3,748
558
Series
2019-45
Class
SD
Interest
Only
STRIP
5.882%
due
08/25/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
2,090
427
Series
2019-50
Class
SN
Interest
Only
STRIP
5.878%
due
09/25/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
3,344
514
Series
2019-51
Class
KS
Interest
Only
STRIP
5.902%
due
09/25/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
3,258
511
Series
2019-73
Class
SC
Interest
Only
STRIP
5.882%
due
12/25/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
2,948
522
Series
2019-83
Class
QS
Interest
Only
STRIP
5.858%
due
01/25/50
(-1
x
USD
1
Month
LIBOR
+
5.950%)(Ê)
3,924
743
Series
2020-24
Class
IB
Interest
Only
STRIP
3.000%
due
04/25/50
7,919
977
Series
2020-31
Class
CI
Interest
Only
STRIP
5.000%
due
05/25/50
5,253
991
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2020-41
Class
SE
Interest
Only
STRIP
5.970%
due
06/25/50
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
4,832
1,043
Series
2020-47
Class
ID
Interest
Only
STRIP
4.000%
due
07/25/50
4,884
657
Series
2020-73
Class
IJ
Interest
Only
STRIP
3.000%
due
10/25/50
4,904
594
Series
2020-75
Class
MI
Interest
Only
STRIP
4.000%
due
11/25/50
4,229
621
Series
2021-5
Class
PI
Interest
Only
STRIP
3.500%
due
02/25/51
8,463
889
Series
2021-18
Class
IY
Interest
Only
STRIP
4.500%
due
08/25/49
2,076
383
Series
2021-25
Class
IJ
Interest
Only
STRIP
3.500%
due
05/25/51
11,020
860
Series
2021-25
Class
IT
Interest
Only
STRIP
4.000%
due
05/25/51
6,824
658
Fannie
Mae
Strips
Series
2009-397
Interest
Only
STRIP
5.000%
due
09/25/39
319
53
Series
2010-404
Interest
Only
STRIP
4.500%
due
05/25/40
229
41
Freddie
Mac
REMICS
Series
2010-3714
Class
KI
Interest
Only
STRIP
4.500%
due
11/15/39
42
Series
2011-3919
Class
SA
Interest
Only
STRIP
6.315%
due
09/15/41
(USD
1
Month
LIBOR
+
6.500%)(Ê)
2,277
456
Series
2011-3927
Class
IP
Interest
Only
STRIP
4.500%
due
06/15/40
438
24
Series
2012-3981
Class
WS
Interest
Only
STRIP
6.365%
due
05/15/41
(-1
x
USD
1
Month
LIBOR
+
6.550%)(Ê)
233
26
Series
2012-4000
Class
LI
Interest
Only
STRIP
4.000%
due
02/15/42
385
30
Series
2012-4016
Class
SC
Interest
Only
STRIP
6.315%
due
03/15/42
(-1
x
USD
1
Month
LIBOR
+
6.500%)(Ê)
996
204
Series
2012-4033
Class
SC
Interest
Only
STRIP
6.365%
due
10/15/36
(-1
x
USD
1
Month
LIBOR
+
6.550%)(Ê)
56
1
Series
2012-4074
Class
KS
Interest
Only
STRIP
6.515%
due
02/15/41
(-1
x
USD
1
Month
LIBOR
+
6.700%)(Ê)
744
58
Series
2013-4182
Class
PI
Interest
Only
STRIP
3.000%
due
12/15/41
852
27
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
389
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2013-4265
Class
SD
Interest
Only
STRIP
5.915%
due
01/15/35
(USD
1
Month
LIBOR
+
6.100%)(Ê)
2,296
397
Series
2014-4299
Class
JI
Interest
Only
STRIP
4.000%
due
07/15/43
390
19
Series
2015-4425
Class
EI
Interest
Only
STRIP
4.000%
due
01/15/45
1,327
132
Series
2015-4452
Class
QI
Interest
Only
STRIP
4.000%
due
11/15/44
1,981
283
Series
2016-4560
Class
IO
Interest
Only
STRIP
5.810%
due
05/15/39
(~)(Ê)
1,177
212
Series
2016-4596
Class
CS
Interest
Only
STRIP
5.915%
due
06/15/46
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
4,045
714
Series
2016-4604
Class
QI
Interest
Only
STRIP
3.500%
due
07/15/46
1,943
201
Series
2017-4663
Class
KI
Interest
Only
STRIP
3.500%
due
11/15/42
(Š)
30
Series
2017-4663
Class
PI
Interest
Only
STRIP
4.000%
due
03/15/47
446
35
Series
2017-4678
Class
MS
Interest
Only
STRIP
5.915%
due
04/15/47
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
823
161
Series
2017-4697
Class
PI
Interest
Only
STRIP
3.500%
due
09/15/45
155
4
Series
2017-4697
Class
YI
Interest
Only
STRIP
3.500%
due
07/15/47
1,122
75
Series
2017-4707
Class
AI
Interest
Only
STRIP
4.000%
due
07/15/47
317
24
Series
2017-4731
Class
QS
Interest
Only
STRIP
6.015%
due
11/15/47
(-1
x
USD
1
Month
LIBOR
+
6.200%)(Ê)
1,233
221
Series
2017-4749
Class
IP
Interest
Only
STRIP
4.000%
due
02/15/47
3,061
345
Series
2018-4801
Class
IG
Interest
Only
STRIP
3.000%
due
06/15/48
1,930
154
Series
2018-4808
Class
SD
Interest
Only
STRIP
6.015%
due
07/15/48
(-1
x
USD
1
Month
LIBOR
+
6.200%)(Ê)
2,671
469
Series
2019-4900
Class
SH
Interest
Only
STRIP
5.898%
due
07/25/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
5,285
673
Series
2019-4919
Class
SP
Interest
Only
STRIP
5.888%
due
09/25/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
5,328
913
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2019-4928
Class
S
Interest
Only
STRIP
5.815%
due
11/25/49
(USD
1
Month
LIBOR
+
6.000%)(Ê)
2,086
339
Series
2020-4949
Class
IO
Interest
Only
STRIP
4.000%
due
01/25/50
4,670
703
Series
2020-4964
Class
IA
Interest
Only
STRIP
4.500%
due
03/25/50
4,934
838
Series
2020-4979
Class
SN
Interest
Only
STRIP
5.865%
due
06/25/50
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
2,978
545
Series
2020-4979
Class
YS
Interest
Only
STRIP
5.900%
due
06/25/50
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
2,091
399
Series
2020-4982
Class
DI
Interest
Only
STRIP
4.000%
due
06/25/50
4,213
534
Series
2020-5007
Class
IC
Interest
Only
STRIP
5.000%
due
08/25/50
4,596
768
Series
2020-5007
Class
SK
Interest
Only
STRIP
5.952%
due
08/25/50
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
1,868
398
Series
2020-5011
Class
SA
Interest
Only
STRIP
6.089%
due
09/25/50
(-1
x
USD
1
Month
LIBOR
+
6.250%)(Ê)
5,588
1,167
Series
2020-5012
Class
BI
Interest
Only
STRIP
4.000%
due
09/25/50
6,821
955
Series
2020-5014
Class
AI
Interest
Only
STRIP
4.500%
due
09/25/50
4,917
719
Series
2020-5023
Class
TS
Interest
Only
STRIP
6.094%
due
10/25/50
(-1
x
USD
1
Month
LIBOR
+
6.250%)(Ê)
5,004
1,041
Series
2020-5049
Class
AI
Interest
Only
STRIP
4.500%
due
12/25/50
4,167
728
Series
2020-5060
Class
EI
Interest
Only
STRIP
3.500%
due
01/25/51
5,478
818
Series
2021-5072
Interest
Only
STRIP
3.500%
due
01/25/51
2,276
362
Series
2021-5072
Class
YI
Interest
Only
STRIP
3.000%
due
01/25/51
7,523
1,021
Series
2021-5080
Class
IQ
Interest
Only
STRIP
3.500%
due
04/25/50
5,178
737
Series
2021-5082
Class
IQ
Interest
Only
STRIP
3.000%
due
03/25/51
6,622
815
Ginnie
Mae
Series
2011-17
Class
S
Interest
Only
STRIP
5.860%
due
02/20/41
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
2,695
485
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
390
Multi-Asset
Growth
Strategy
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Ginnie
Mae
II
3.500%
due
2049
143
155
5.000%
due
2049
226
248
5.500%
due
2049
89
100
4.000%
due
2050
28
30
5.000%
due
2050
205
225
Ginnie
Mae
REMICS
Series
2009-121
Class
CI
Interest
Only
STRIP
4.500%
due
12/16/39
2,261
328
Series
2010-35
Class
QI
Interest
Only
STRIP
4.500%
due
03/20/40
3,713
591
Series
2010-35
Class
UI
Interest
Only
STRIP
5.000%
due
03/20/40
3,585
581
Series
2010-H19
Class
BI
Interest
Only
STRIP
1.426%
due
08/20/60
(~)(Ê)
2,424
128
Series
2010-H22
Class
CI
Interest
Only
STRIP
2.342%
due
10/20/60
(~)(Ê)
1,267
67
Series
2011-22
Class
PS
Interest
Only
STRIP
5.810%
due
07/20/40
(-1
x
USD
1
Month
LIBOR
+
6.000%)(Ê)
582
24
Series
2011-135
Class
DI
Interest
Only
STRIP
5.000%
due
04/16/40
2,690
472
Series
2011-137
Class
MI
Interest
Only
STRIP
4.000%
due
01/20/41
442
23
Series
2011-H15
Class
AI
Interest
Only
STRIP
1.504%
due
06/20/61
(~)(Ê)
447
19
Series
2012-129
Class
IO
Interest
Only
STRIP
4.500%
due
11/16/42
623
99
Series
2012-140
Class
IC
Interest
Only
STRIP
3.500%
due
11/20/42
1,131
172
Series
2012-H06
Class
AI
Interest
Only
STRIP
1.302%
due
01/20/62
(~)(Ê)
5,223
188
Series
2012-H10
Class
SI
Interest
Only
STRIP
1.389%
due
12/20/61
(~)(Ê)
4,455
236
Series
2012-H18
Class
NI
Interest
Only
STRIP
1.414%
due
08/20/62
(~)(Ê)
14,648
539
Series
2012-H31
Class
DI
Interest
Only
STRIP
2.040%
due
12/20/62
(~)(Ê)
11,722
730
Series
2013-23
Class
IK
Interest
Only
STRIP
3.000%
due
09/20/37
551
20
Series
2013-67
Class
IP
Interest
Only
STRIP
4.000%
due
04/16/43
2,627
406
Series
2013-76
Class
IO
Interest
Only
STRIP
3.500%
due
05/20/43
480
59
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2013-79
Class
PI
Interest
Only
STRIP
3.500%
due
04/20/43
429
40
Series
2013-82
Class
TI
Interest
Only
STRIP
3.500%
due
05/20/43
4,433
567
Series
2013-H08
Class
BI
Interest
Only
STRIP
1.665%
due
03/20/63
(~)(Ê)
5,694
320
Series
2013-H14
Class
XI
Interest
Only
STRIP
1.612%
due
03/20/63
(~)(Ê)
1,154
44
Series
2014-58
Class
SA
Interest
Only
STRIP
5.910%
due
04/20/44
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
6
1
Series
2014-98
Class
AI
Interest
Only
STRIP
4.500%
due
10/20/41
296
6
Series
2014-116
Class
IL
Interest
Only
STRIP
4.000%
due
08/20/44
692
74
Series
2014-131
Class
BS
Interest
Only
STRIP
6.005%
due
09/16/44
(-1
x
USD
1
Month
LIBOR
+
6.200%)(Ê)
2,161
528
Series
2014-137
Class
ID
Interest
Only
STRIP
5.500%
due
09/16/44
1,044
194
Series
2014-139
Class
NI
Interest
Only
STRIP
3.500%
due
08/20/28
1,047
22
Series
2014-184
Class
DI
Interest
Only
STRIP
5.500%
due
12/16/44
3,168
622
Series
2014-188
Class
IB
Interest
Only
STRIP
4.000%
due
12/20/44
2,522
271
Series
2014-H18
Class
CI
Interest
Only
STRIP
1.553%
due
09/20/64
(~)(Ê)
3,956
273
Series
2014-H22
Class
DI
Interest
Only
STRIP
1.349%
due
11/20/64
(~)(Ê)
2,199
149
Series
2014-H24
Class
BI
Interest
Only
STRIP
1.606%
due
11/20/64
(~)(Ê)
11,189
677
Series
2014-H25
Class
BI
Interest
Only
STRIP
1.662%
due
12/20/64
(~)(Ê)
1,740
103
Series
2015-20
Class
PI
Interest
Only
STRIP
3.500%
due
02/20/45
2,003
289
Series
2015-24
Class
AI
Interest
Only
STRIP
3.500%
due
12/20/37
545
20
Series
2015-69
Class
IO
Interest
Only
STRIP
5.000%
due
05/20/45
1,556
252
Series
2015-106
Class
CI
Interest
Only
STRIP
4.000%
due
05/20/45
601
65
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
391
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2015-131
Class
MI
Interest
Only
STRIP
3.500%
due
09/20/45
670
61
Series
2015-134
Class
LI
Interest
Only
STRIP
3.500%
due
05/20/39
586
9
Series
2015-144
Class
IA
Interest
Only
STRIP
4.000%
due
01/16/43
728
56
Series
2015-162
Class
BI
Interest
Only
STRIP
4.000%
due
11/20/40
1,143
64
Series
2015-165
Class
IC
Interest
Only
STRIP
3.500%
due
07/16/41
1,664
81
Series
2015-167
Class
BI
Interest
Only
STRIP
4.500%
due
04/16/45
585
102
Series
2015-182
Class
IC
Interest
Only
STRIP
4.500%
due
12/20/45
3,267
615
Series
2015-187
Class
JI
Interest
Only
STRIP
4.000%
due
03/20/45
1,267
171
Series
2015-H04
Class
AI
Interest
Only
STRIP
2.348%
due
12/20/64
(~)(Ê)
869
49
Series
2015-H09
Class
BI
Interest
Only
STRIP
1.660%
due
03/20/65
(~)(Ê)
472
27
Series
2015-H10
Class
CI
Interest
Only
STRIP
1.777%
due
04/20/65
(~)(Ê)
1,308
88
Series
2015-H13
Class
AI
Interest
Only
STRIP
2.172%
due
06/20/65
(~)(Ê)
2,186
152
Series
2015-H15
Class
JI
Interest
Only
STRIP
1.935%
due
06/20/65
(~)(Ê)
927
72
Series
2015-H25
Class
AI
Interest
Only
STRIP
1.583%
due
09/20/65
(~)(Ê)
1,157
68
Series
2015-H29
Class
HI
Interest
Only
STRIP
2.098%
due
09/20/65
(~)(Ê)
565
28
Series
2016-42
Class
IO
Interest
Only
STRIP
5.000%
due
02/20/46
198
32
Series
2016-47
Class
CI
Interest
Only
STRIP
4.000%
due
09/20/45
218
21
Series
2016-75
Class
EI
Interest
Only
STRIP
3.500%
due
08/20/45
1,431
104
Series
2016-77
Class
SC
Interest
Only
STRIP
5.910%
due
10/20/45
(USD
1
Month
LIBOR
+
6.100%)(Ê)
769
162
Series
2016-77
Class
SL
Interest
Only
STRIP
5.960%
due
03/20/43
(USD
1
Month
LIBOR
+
6.150%)(Ê)
548
42
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2016-79
Class
IO
Interest
Only
STRIP
3.500%
due
06/20/46
596
52
Series
2016-123
Class
LI
Interest
Only
STRIP
3.500%
due
03/20/44
3,000
185
Series
2016-150
Class
I
Interest
Only
STRIP
5.000%
due
11/20/46
351
56
Series
2016-H01
Class
AI
Interest
Only
STRIP
2.366%
due
01/20/66
(~)(Ê)
13,633
816
Series
2016-H04
Class
KI
Interest
Only
STRIP
2.260%
due
02/20/66
(~)(Ê)
820
40
Series
2016-H06
Class
AI
Interest
Only
STRIP
2.371%
due
02/20/66
(~)(Ê)
1,723
119
Series
2016-H08
Class
AI
Interest
Only
STRIP
2.317%
due
08/20/65
(~)(Ê)
5,024
268
Series
2016-H13
Class
EI
Interest
Only
STRIP
1.177%
due
04/20/66
(~)(Ê)
7,488
626
Series
2016-H13
Class
MI
Interest
Only
STRIP
1.640%
due
06/20/66
(~)(Ê)
3,110
123
Series
2016-H21
Class
AI
Interest
Only
STRIP
2.265%
due
09/20/66
(~)(Ê)
9,464
780
Series
2016-H22
Class
AI
Interest
Only
STRIP
3.140%
due
10/20/66
(~)(Ê)
5,691
488
Series
2016-H22
Class
IO
Interest
Only
STRIP
1.832%
due
10/20/66
(~)(Ê)
5,181
370
Series
2016-H24
Class
AI
Interest
Only
STRIP
2.889%
due
11/20/66
(~)(Ê)
6,139
500
Series
2016-H24
Class
DI
Interest
Only
STRIP
2.384%
due
11/20/66
(~)(Ê)
2,101
191
Series
2016-H24
Class
KI
Interest
Only
STRIP
2.009%
due
11/20/66
(~)(Ê)
1,462
137
Series
2016-H27
Class
BI
Interest
Only
STRIP
2.482%
due
12/20/66
(~)(Ê)
8,877
827
Series
2017-17
Class
EI
Interest
Only
STRIP
4.000%
due
09/20/44
149
3
Series
2017-26
Class
EI
Interest
Only
STRIP
5.000%
due
02/20/40
1,199
117
Series
2017-26
Class
IM
Interest
Only
STRIP
6.500%
due
02/20/47
2,807
454
Series
2017-38
Class
DI
Interest
Only
STRIP
5.000%
due
03/16/47
1,119
200
Series
2017-42
Class
IC
Interest
Only
STRIP
4.500%
due
08/20/41
3,901
664
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
392
Multi-Asset
Growth
Strategy
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2017-45
Class
IM
Interest
Only
STRIP
4.000%
due
10/20/44
309
20
Series
2017-52
Class
DI
Interest
Only
STRIP
5.500%
due
04/20/47
1,415
268
Series
2017-66
Class
KI
Interest
Only
STRIP
4.000%
due
08/20/44
2,663
115
Series
2017-79
Class
IB
Interest
Only
STRIP
5.500%
due
05/20/47
2,123
429
Series
2017-99
Class
PI
Interest
Only
STRIP
4.000%
due
03/20/46
1,107
95
Series
2017-104
Class
MI
Interest
Only
STRIP
5.500%
due
07/16/47
3,412
761
Series
2017-118
Class
KI
Interest
Only
STRIP
3.500%
due
10/20/46
1,020
39
Series
2017-123
Class
JI
Interest
Only
STRIP
4.000%
due
08/20/46
1,666
132
Series
2017-130
Class
IB
Interest
Only
STRIP
4.000%
due
08/20/47
247
35
Series
2017-132
Class
IA
Interest
Only
STRIP
4.500%
due
09/20/47
312
52
Series
2017-136
Class
GI
Interest
Only
STRIP
3.500%
due
09/20/47
301
22
Series
2017-139
Class
IG
Interest
Only
STRIP
3.500%
due
09/20/47
777
62
Series
2017-162
Class
QI
Interest
Only
STRIP
5.000%
due
10/20/47
2,136
376
Series
2017-179
Class
WI
Interest
Only
STRIP
5.000%
due
12/20/47
376
71
Series
2017-H02
Class
BI
Interest
Only
STRIP
2.425%
due
01/20/67
(~)(Ê)
523
47
Series
2017-H02
Class
HI
Interest
Only
STRIP
2.222%
due
01/20/67
(~)(Ê)
13,497
1,073
Series
2017-H03
Class
AI
Interest
Only
STRIP
2.524%
due
12/20/66
(~)(Ê)
7,297
694
Series
2017-H03
Class
DI
Interest
Only
STRIP
2.715%
due
12/20/66
(~)(Ê)
2,041
206
Series
2017-H03
Class
EI
Interest
Only
STRIP
2.479%
due
01/20/67
(~)(Ê)
1,601
193
Series
2017-H04
Class
AI
Interest
Only
STRIP
2.873%
due
02/20/67
(~)(Ê)
9,468
832
Series
2017-H04
Class
BI
Interest
Only
STRIP
2.447%
due
02/20/67
(~)(Ê)
5,707
547
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2017-H05
Class
CI
Interest
Only
STRIP
2.979%
due
02/20/67
(~)(Ê)
2,244
202
Series
2017-H06
Class
BI
Interest
Only
STRIP
2.351%
due
02/20/67
(~)(Ê)
4,903
378
Series
2017-H06
Class
DI
Interest
Only
STRIP
1.748%
due
02/20/67
(~)(Ê)
4,563
293
Series
2017-H08
Class
EI
Interest
Only
STRIP
2.566%
due
02/20/67
(~)(Ê)
1,560
133
Series
2017-H08
Class
NI
Interest
Only
STRIP
2.373%
due
03/20/67
(~)(Ê)
4,974
379
Series
2017-H09
Class
DI
Interest
Only
STRIP
1.874%
due
03/20/67
(~)(Ê)
4,325
313
Series
2017-H09
Class
IO
Interest
Only
STRIP
2.185%
due
04/20/67
(~)(Ê)
4,274
299
Series
2017-H11
Class
DI
Interest
Only
STRIP
1.970%
due
05/20/67
(~)(Ê)
1,672
119
Series
2017-H14
Class
JI
Interest
Only
STRIP
2.180%
due
06/20/67
(~)(Ê)
388
42
Series
2017-H14
Class
LI
Interest
Only
STRIP
1.649%
due
06/20/67
(~)(Ê)
3,618
275
Series
2017-H15
Class
CI
Interest
Only
STRIP
1.604%
due
06/20/67
(~)(Ê)
4,761
284
Series
2017-H16
Class
EI
Interest
Only
STRIP
1.820%
due
08/20/67
(~)(Ê)
7,727
569
Series
2017-H16
Class
FI
Interest
Only
STRIP
2.371%
due
08/20/67
(~)(Ê)
10,396
695
Series
2017-H16
Class
HI
Interest
Only
STRIP
1.708%
due
08/20/67
(~)(Ê)
572
40
Series
2017-H16
Class
IB
Interest
Only
STRIP
1.834%
due
08/20/67
(~)(Ê)
2,580
187
Series
2017-H18
Class
CI
Interest
Only
STRIP
2.248%
due
09/20/67
(~)(Ê)
450
54
Series
2017-H18
Class
FI
Interest
Only
STRIP
2.408%
due
09/20/67
(~)(Ê)
11,165
1,099
Series
2017-H18
Class
IO
Interest
Only
STRIP
2.366%
due
08/20/67
(~)(Ê)
5,430
378
Series
2017-H19
Class
MI
Interest
Only
STRIP
2.051%
due
04/20/67
(~)(Ê)
6,386
492
Series
2017-H20
Class
AI
Interest
Only
STRIP
2.336%
due
10/20/67
(~)(Ê)
7,060
740
Series
2017-H20
Class
DI
Interest
Only
STRIP
2.363%
due
10/20/67
(~)(Ê)
4,804
537
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
393
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2017-H20
Class
HI
Interest
Only
STRIP
2.305%
due
10/20/67
(~)(Ê)
2,734
254
Series
2017-H21
Class
DI
Interest
Only
STRIP
1.934%
due
10/20/67
(~)(Ê)
15,457
999
Series
2017-H22
Class
DI
Interest
Only
STRIP
2.466%
due
11/20/67
(~)(Ê)
6,483
669
Series
2017-H22
Class
GI
Interest
Only
STRIP
2.471%
due
10/20/67
(~)(Ê)
6,752
747
Series
2017-H22
Class
KI
Interest
Only
STRIP
2.289%
due
11/20/67
(~)(Ê)
2,494
241
Series
2017-H25
Class
IO
Interest
Only
STRIP
2.263%
due
11/20/67
(~)(Ê)
3,382
311
Series
2018-21
Class
IN
Interest
Only
STRIP
5.000%
due
02/20/48
1,880
339
Series
2018-67
Class
SC
Interest
Only
STRIP
6.010%
due
05/20/48
(USD
1
Month
LIBOR
+
6.200%)(Ê)
1,519
269
Series
2018-72
Class
IC
Interest
Only
STRIP
4.000%
due
05/20/45
2,909
438
Series
2018-77
Class
IO
Interest
Only
STRIP
5.000%
due
06/20/48
1,528
199
Series
2018-89
Class
LS
Interest
Only
STRIP
6.010%
due
06/20/48
(-1
x
USD
1
Month
LIBOR
+
6.200%)(Ê)
2,497
387
Series
2018-105
Class
SG
Interest
Only
STRIP
6.060%
due
08/20/48
(USD
1
Month
LIBOR
+
6.250%)(Ê)
1,761
324
Series
2018-127
Class
IA
Interest
Only
STRIP
3.500%
due
04/20/42
2,054
132
Series
2018-127
Class
ID
Interest
Only
STRIP
5.000%
due
07/20/45
3,431
408
Series
2018-H01
Class
AI
Interest
Only
STRIP
2.332%
due
01/20/68
(~)(Ê)
4,255
427
Series
2018-H01
Class
CI
Interest
Only
STRIP
1.843%
due
01/20/68
(~)(Ê)
3,193
231
Series
2018-H01
Class
KI
Interest
Only
STRIP
1.913%
due
01/20/68
(~)(Ê)
5,707
417
Series
2018-H02
Class
AI
Interest
Only
STRIP
2.401%
due
01/20/68
(~)(Ê)
3,349
334
Series
2018-H02
Class
KI
Interest
Only
STRIP
1.955%
due
02/20/68
(~)(Ê)
5,300
372
Series
2018-H04
Class
GI
Interest
Only
STRIP
1.881%
due
02/20/68
(~)(Ê)
4,758
294
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2018-H04
Class
IO
Interest
Only
STRIP
2.665%
due
02/20/68
(~)(Ê)
2,360
233
Series
2018-H05
Class
ID
Interest
Only
STRIP
2.501%
due
03/20/68
(~)(Ê)
2,469
282
Series
2018-H05
Class
IE
Interest
Only
STRIP
2.482%
due
02/20/68
(~)(Ê)
4,782
469
Series
2018-H06
Class
HI
Interest
Only
STRIP
1.877%
due
04/20/68
(~)(Ê)
3,014
189
Series
2018-H06
Class
KI
Interest
Only
STRIP
3.058%
due
04/20/68
(~)(Ê)
2,784
244
Series
2018-H08
Class
AI
Interest
Only
STRIP
1.727%
due
03/20/68
(~)(Ê)
14,752
572
Series
2018-H08
Class
FI
Interest
Only
STRIP
0.254%
due
06/20/68
(~)(Ê)
6,989
559
Series
2018-H08
Class
IO
Interest
Only
STRIP
1.853%
due
06/20/68
(~)(Ê)
11,212
768
Series
2018-H09
Class
EI
Interest
Only
STRIP
1.523%
due
06/20/68
(~)(Ê)
8,923
817
Series
2018-H11
Class
BI
Interest
Only
STRIP
1.718%
due
06/20/68
(~)(Ê)
4,856
409
Series
2018-H11
Class
CI
Interest
Only
STRIP
1.731%
due
07/20/68
(~)(Ê)
10,544
905
Series
2018-H13
Class
DI
Interest
Only
STRIP
2.016%
due
08/20/68
(~)(Ê)
4,795
413
Series
2018-H13
Class
IA
Interest
Only
STRIP
2.061%
due
08/20/68
(~)(Ê)
3,658
314
Series
2018-H13
Class
NI
Interest
Only
STRIP
2.869%
due
08/20/68
(~)(Ê)
9,169
746
Series
2019-6
Class
SM
Interest
Only
STRIP
5.860%
due
01/20/49
(USD
1
Month
LIBOR
+
6.050%)(Ê)
2,129
296
Series
2019-23
Class
VS
Interest
Only
STRIP
5.960%
due
02/20/49
(-1
x
USD
1
Month
LIBOR
+
6.150%)(Ê)
3,655
589
Series
2019-78
Class
SJ
Interest
Only
STRIP
5.860%
due
06/20/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
280
31
Series
2019-78
Class
SM
Interest
Only
STRIP
5.910%
due
06/20/49
(USD
1
Month
LIBOR
+
6.100%)(Ê)
2,712
351
Series
2019-83
Class
JS
Interest
Only
STRIP
5.910%
due
07/20/49
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
4,543
572
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
394
Multi-Asset
Growth
Strategy
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2019-90
Class
SJ
Interest
Only
STRIP
5.948%
due
07/20/49
(-1
x
USD
1
Month
LIBOR
+
6.100%)(Ê)
4,662
835
Series
2019-99
Class
KS
Interest
Only
STRIP
5.860%
due
08/20/49
(-1
x
USD
1
Month
LIBOR
+
6.050%)(Ê)
213
31
Series
2019-123
Class
SL
Interest
Only
STRIP
5.960%
due
10/20/49
(-1
x
USD
1
Month
LIBOR
+
6.150%)(Ê)
4,933
607
Series
2019-137
Class
GI
Interest
Only
STRIP
4.000%
due
11/20/49
3,428
445
Series
2019-143
Class
HS
Interest
Only
STRIP
5.860%
due
09/20/49
(USD
1
Month
LIBOR
+
6.050%)(Ê)
2,559
321
Series
2019-H15
Class
CI
Interest
Only
STRIP
1.617%
due
07/20/69
(~)(Ê)
7,193
306
Series
2019-H15
Class
MI
Interest
Only
STRIP
1.801%
due
09/20/69
(~)(Ê)
6,685
348
Series
2019-H16
Class
IA
Interest
Only
STRIP
1.744%
due
10/20/69
(~)(Ê)
5,653
272
Series
2020-7
Class
IB
Interest
Only
STRIP
4.000%
due
01/20/50
6,117
714
Series
2020-32
Class
IV
Interest
Only
STRIP
3.000%
due
03/20/50
4,440
303
Series
2020-46
Class
MI
Interest
Only
STRIP
4.000%
due
04/20/50
2,603
312
Series
2020-79
Class
DI
Interest
Only
STRIP
3.500%
due
06/20/50
7,317
891
Series
2020-84
Class
ES
Interest
Only
STRIP
6.004%
due
06/20/50
(USD
1
Month
LIBOR
+
6.150%)(Ê)
3,978
778
Series
2020-148
Class
AS
Interest
Only
STRIP
6.154%
due
10/20/50
(-1
x
USD
1
Month
LIBOR
+
6.300%)(Ê)
3,587
826
Series
2020-176
Class
BI
Interest
Only
STRIP
3.000%
due
11/20/50
2,654
346
Series
2020-H02
Class
AI
Interest
Only
STRIP
1.652%
due
01/20/70
(~)(Ê)
20,594
954
Series
2021-42
Class
IG
Interest
Only
STRIP
3.000%
due
03/20/51
2,913
228
Series
2021-49
Class
SB
Interest
Only
STRIP
6.193%
due
03/20/51
(-1
x
USD
1
Month
LIBOR
+
6.300%)(Ê)
3,905
671
Series
2021-57
Class
SD
Interest
Only
STRIP
6.194%
due
03/20/51
(-1
x
USD
1
Month
LIBOR
+
6.300%)(Ê)
5,623
721
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
2021-59
Class
SU
Interest
Only
STRIP
6.184%
due
04/20/51
(-1
x
USD
1
Month
LIBOR
+
6.300%)(Ê)
5,728
954
Series
2021-77
Class
IL
Interest
Only
STRIP
3.000%
due
07/20/50
4,993
335
Series
2021-77
Class
SM
Interest
Only
STRIP
6.199%
due
05/20/51
(-1
x
USD
1
Month
LIBOR
+
6.300%)(Ê)
3,498
584
Series
2021-78
Class
IP
Interest
Only
STRIP
3.000%
due
05/20/51
8,773
630
Series
2021-97
Class
QI
Interest
Only
STRIP
3.000%
due
06/20/51
6,092
501
176,205
Non-US
Bonds
-
3.3%
ABN
AMRO
Bank
NV
4.750%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
3.898%)(Ê)(ƒ)
EUR
400
521
ADLER
Group
SA
2.750%
due
11/13/26
EUR
100
118
Alpha
Services
and
Holdings
SA
5.500%
due
06/11/31
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
5.823%)(Ê)
EUR
100
119
Altice
Financing
SA
Series
REGS
3.000%
due
01/15/28
EUR
263
298
Altice
France
Holding
SA
Series
REGS
4.000%
due
02/15/28
EUR
228
261
Ardagh
Packaging
Finance
PLC
/
Ardagh
Holdings
USA,
Inc.
Series
REGS
4.750%
due
07/15/27
GBP
384
546
Banco
BPM
SpA
1.625%
due
02/18/25
EUR
250
303
BAWAG
Group
AG
5.000%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
4.415%)(Ê)(ƒ)
EUR
200
256
Brazil
Notas
do
Tesouro
Nacional
Series
NTNF
10.000%
due
01/01/23
BRL
640
127
10.000%
due
01/01/25
BRL
1,603
321
10.000%
due
01/01/27
BRL
2,826
566
Caisse
Nationale
de
Reassurance
Mutuelle
Agricole
Groupama
6.375%
due
05/29/49
(3
Month
EURIBOR
+
5.770%)(Ê)(ƒ)
EUR
300
411
Canpack
SA
/
Eastern
PA
Land
Investment
Holding
LLC
Series
REGS
2.375%
due
11/01/27
EUR
200
244
Cellnex
Telecom
SA
0.750%
due
11/20/31
EUR
400
467
Chile
Bonos
de
la
Tesoreria
4.500%
due
03/01/26
CLP
1,000,000
1,387
Colombian
Titulos
de
Tesoreria
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
395
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
B
10.000%
due
07/24/24
COP
5,506,000
1,617
7.500%
due
08/26/26
COP
337,100
92
7.750%
due
09/18/30
COP
1,959,700
532
Cooperatieve
Rabobank
UA
3.250%
due
12/31/99
(Ê)(~)(ƒ)
EUR
400
490
Crown
European
Holdings
SA
Series
REGS
2.875%
due
02/01/26
EUR
400
506
Czech
Republic
Government
International
Bond
Series
94
0.950%
due
05/15/30
CZK
12,220
535
Series
97
0.450%
due
10/25/23
CZK
44,720
2,034
Deutsche
Postbank
Funding
Trust
III
0.248%
due
06/29/49
(EURIBOR
ICE
Swap
Rate
+
0.125%)(Ê)(ƒ)
EUR
253
293
Dominican
Republic
Government
International
Bond
8.000%
due
06/11/28
(Þ)
DOP
400
7
EDP
-
Energias
de
Portugal
SA
1.700%
due
07/20/80
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
1.844%)(Ê)
EUR
100
120
Electricite
de
France
SA
6.000%
due
12/29/49
(GBP
Swap
Semiannual
[versus
6
Month
LIBOR]
13
Year
Rate
+
3.958%)
(Ê)(ƒ)
GBP
400
625
Enel
SpA
Series
9.5Y
1.875%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
2.011%)(Ê)(ƒ)
EUR
100
118
Eurofins
Scientific
SE
3.250%
due
12/31/99
(3
Month
EURIBOR
+
2.667%)(Ê)(ƒ)
EUR
100
126
Grifols
SA
Series
REGS
1.625%
due
02/15/25
EUR
100
120
2.250%
due
11/15/27
EUR
384
464
Heimstaden
Bostad
AB
2.625%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
3.149%)(Ê)(ƒ)
EUR
100
118
Ibercaja
Banco
SA
2.750%
due
07/23/30
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
2.882%)(Ê)
EUR
100
118
Indonesia
Treasury
Bond
Series
FR56
8.375%
due
09/15/26
IDR
34,521,000
2,711
Series
FR72
8.250%
due
05/15/36
IDR
12,835,000
989
Infrastrutture
Wireless
Italiane
SpA
Series
GMTN
1.625%
due
10/21/28
EUR
100
122
Intesa
Sanpaolo
SpA
4.125%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
4.274%)(Ê)(ƒ)
EUR
250
295
Kleopatra
Holdings
2
SCA
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
REGS
6.500%
due
09/01/26
EUR
100
113
Lorca
Telecom
Bondco
SA
Series
REGS
4.000%
due
09/18/27
EUR
100
122
Marks
&
Spencer
PLC
4.500%
due
07/10/27
GBP
300
447
Matterhorn
Telecom
SA
Series
REGS
3.125%
due
09/15/26
EUR
109
131
Mexican
Bonos
Series
M
20
7.500%
due
06/03/27
MXN
5,150
269
Series
M
5.750%
due
03/05/26
MXN
1,103
54
7.750%
due
05/29/31
MXN
13,297
709
7.750%
due
11/13/42
MXN
1,880
96
Mitsubishi
UFJ
Investor
Services
&
Banking
SA
Series
PRX
4.092%
due
12/15/50
(Ê)(~)
EUR
100
60
Orsted
A/S
1.750%
due
12/09/99
(EURIBOR
ICE
Swap
Rate
+
1.952%)(Ê)(ƒ)
EUR
100
122
Peruvian
Government
International
Bond
Series
REGS
5.700%
due
08/12/24
PEN
1,160
307
6.350%
due
08/12/28
PEN
2,335
603
6.900%
due
08/12/37
PEN
3,620
850
Phoenix
Group
Holdings
PLC
5.750%
due
12/31/99
(U.K.
Government
Bonds
5
Year
Note
Generic
Bid
Yield
+
4.169%)(Ê)(ƒ)
GBP
200
301
Q-Park
Holding
I
BV
Series
REGS
2.000%
due
03/01/27
EUR
109
122
Republic
of
South
Africa
Government
International
Bond
Series
2030
8.000%
due
01/31/30
ZAR
22,010
1,428
Series
2032
8.250%
due
03/31/32
ZAR
3,590
224
Series
2037
8.500%
due
01/31/37
ZAR
2,000
117
Rexel
SA
2.125%
due
06/15/28
EUR
100
122
Romania
Government
International
Bond
Series
10Y
5.850%
due
04/26/23
RON
5,100
1,299
Series
15YR
5.800%
due
07/26/27
RON
1,100
303
Russian
Federal
Bond
-
OFZ
Series
6212
7.050%
due
01/19/28
RUB
188,183
2,618
Samhallsbyggnadsbolaget
I
Norden
AB
2.625%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
3.227%)(Ê)(ƒ)
EUR
100
120
SIG
Combibloc
PurchaseCo
SARL
Series
REGS
2.125%
due
06/18/25
EUR
200
251
Smurfit
Kappa
Treasury
ULC
1.500%
due
09/15/27
EUR
263
334
SoftBank
Group
Corp.
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
396
Multi-Asset
Growth
Strategy
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
4.000%
due
04/20/23
EUR
100
122
Solvay
SA
4.250%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
3.917%)(Ê)(ƒ)
EUR
300
383
Telefonica
Europe
BV
2.502%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
7
Year
Rate
+
2.663%)(Ê)(ƒ)
EUR
100
122
Thailand
Government
Bond
2.000%
due
12/17/22
THB
8,340
259
3.625%
due
06/16/23
THB
40,250
1,295
2.000%
due
12/17/31
THB
4,000
127
UniCredit
SpA
3.875%
due
12/31/99
(EURIBOR
ICE
Swap
Rate
+
4.081%)(Ê)(ƒ)
EUR
200
228
UnipolSai
Assicurazioni
SpA
6.375%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
6.744%)(Ê)(ƒ)
EUR
200
275
United
Group
BV
Series
REGS
3.625%
due
02/15/28
EUR
210
243
Veolia
Environnement
SA
Series
.
2.500%
due
12/31/99
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
2.840%)(Ê)(ƒ)
EUR
100
121
Verallia
SA
1.625%
due
05/14/28
EUR
100
121
Volvo
Car
AB
2.000%
due
01/24/25
EUR
200
249
Ziggo
Secured
Co.
BV
Series
REGS
3.375%
due
02/28/30
EUR
150
177
32,821
United
States
Government
Treasuries
-
0.6%
United
States
Treasury
Notes
0.625%
due
12/31/27
5,571
5,466
Total
Long-Term
Investments
(cost
$316,237)
319,460
Common
Stocks
-
48.3%
Consumer
Discretionary
-
5.2%
adidas
AG
2,303
837
Afya,
Ltd.
Class
A(Æ)
13,335
307
Aisin
Seiki
Co.,
Ltd.
20,600
833
Alibaba
Group
Holding,
Ltd.(Æ)
40,700
994
Amazon.com,
Inc.(Æ)
707
2,353
Aoyama
Trading
Co.,
Ltd.(Æ)
26,500
169
B&M
European
Value
Retail
SA
26,468
203
Barnes
&
Noble
Education,
Inc.(Æ)
114,875
959
Boyd
Gaming
Corp.(Æ)
3,237
185
Caesars
Entertainment,
Inc.(Æ)
1,389
121
Caleres,
Inc.
63,161
1,563
Carrols
Restaurant
Group,
Inc.(Æ)
178,026
874
Cie
Generale
des
Etablissements
Michelin
SCA
Class
B
691
113
Citizen
Watch
Co.,
Ltd.
168,900
661
City
Developments,
Ltd.
16,400
83
Cogeco
Communications,
Inc.
1,027
97
Comcast
Corp.
Class
A
16,851
991
Comet
Holding
AG
1,508
494
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Costco
Wholesale
Corp.
652
280
Davide
Campari-Milano
NV(Æ)
47,784
673
Dechra
Pharmaceuticals
PLC
19,270
1,330
Del
Taco
Restaurants,
Inc.(Æ)
55,377
471
D-MARKET
Elektronik
Hizmetler
ve
Ticaret
Anonim
Sirketi
-
ADR(Æ)
9,979
131
Dollar
General
Corp.
787
183
Dollar
Tree,
Inc.(Æ)
867
87
eBay,
Inc.
8,293
566
Farfetch,
Ltd.
Class
A(Æ)
7,557
379
Fossil
Group,
Inc.(Æ)
59,000
745
Galaxy
Entertainment
Group,
Ltd.(Æ)
35,000
238
Games
Workshop
Group
PLC
3,503
554
Garmin,
Ltd.
753
118
Geely
Automobile
Holdings,
Ltd.
103,000
345
General
Motors
Co.(Æ)
30,229
1,718
Genuine
Parts
Co.
855
109
Grand
Canyon
Education,
Inc.(Æ)
1,344
124
H&R
Block,
Inc.
59,469
1,460
Hermes
International
119
182
Home
Depot,
Inc.
(The)
1,328
436
Honda
Motor
Co.,
Ltd.
77,300
2,474
Howden
Joinery
Group
PLC
10,826
135
J
Front
Retailing
Co.,
Ltd.
73,900
622
Jiangsu
Yanghe
Brewery
Joint-Stock
Co.,
Ltd.
Class
A
9,500
240
John
Wiley
&
Sons,
Inc.
Class
A
2,160
127
Kering
1,261
1,132
Koito
Manufacturing
Co.,
Ltd.
37,961
2,322
Komeri
Co.,
Ltd.
29,000
704
K's
Holdings
Corp.
19,500
230
Lear
Corp.
12,023
2,104
LKQ
Corp.(Æ)
2,402
122
LVMH
Moet
Hennessy
Louis
Vuitton
SE
-
ADR
711
569
MIPS
AB
4,471
471
Moncler
SpA
16,639
1,146
Murata
Manufacturing
Co.,
Ltd.
4,100
340
Naspers,
Ltd.
Class
N
1,260
243
Nike,
Inc.
Class
B
6,430
1,077
Nissan
Motor
Co.,
Ltd.(Æ)
69,300
401
nVent
Electric
PLC
41,776
1,321
On
the
Beach
Group
PLC(Æ)(Þ)
87,062
393
Pernod
Ricard
SA
2,864
632
Persimmon
PLC
Class
A
2,179
88
Ralph
Lauren
Corp.
Class
A
7,557
858
Sands
China,
Ltd.(Æ)
264,000
903
SMART
Global
Holdings,
Inc.(Æ)
28,274
1,324
Spectris
PLC
2,215
110
Sumitomo
Electric
Industries,
Ltd.
128,700
1,829
Takashimaya
Co.,
Ltd.
28,300
293
Target
Corp.
1,143
298
Teleperformance
-
GDR
3,910
1,650
TJX
Cos.,
Inc.
(The)
332
23
Tractor
Supply
Co.
625
113
Transcontinental,
Inc.
Class
A
-
ADR
7,353
146
United
Arrows,
Ltd.
16,500
286
Wacoal
Holdings
Corp.
14,800
337
Walmart,
Inc.
8,293
1,182
Walt
Disney
Co.
(The)(Æ)
5,417
954
Weichai
Power
Co.,
Ltd.
Class
H
120,000
263
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
397
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Xebio
Holdings
Co.,
Ltd.
21,700
199
XPeng,
Inc.(Æ)
11,600
223
Yamada
Denki
Co.,
Ltd.
186,700
881
Yum
China
Holdings,
Inc.
2,495
155
Zillow
Group,
Inc.
Class
A(Æ)
3,332
357
51,243
Consumer
Staples
-
1.8%
Adecoagro
SA(Æ)
48,260
461
Ajinomoto
Co.,
Inc.
11,700
298
Alimentation
Couche-Tard,
Inc.
Class
B
1,431
58
Ambev
SA
39,000
125
Astarta
Holding
NV(Ñ)
17,362
215
Campbell
Soup
Co.
3,710
162
Carrefour
SA
12,154
226
Casey's
General
Stores,
Inc.
557
110
Clorox
Co.
(The)
446
81
CVS
Health
Corp.
1,304
107
Dino
Polska
SA(Æ)(Þ)
9,171
734
Energizer
Holdings,
Inc.
-
GDR(Æ)
43,658
1,793
Estee
Lauder
Cos.,
Inc.
(The)
Class
A
457
153
First
Resources,
Ltd.
357,097
359
Flowers
Foods,
Inc.
4,515
106
General
Mills,
Inc.
767
45
Golden
Agri-Resources,
Ltd.
5,053,000
857
HelloFresh
SE(Æ)
12,125
1,137
Hengan
International
Group
Co.,
Ltd.
29,500
176
Honest
Co.,
Inc.(Æ)(Ñ)
23,120
332
Ingredion,
Inc.
1,425
125
Japan
Tobacco,
Inc.
114,900
2,247
Kao
Corp.
7,200
433
Kernel
Holding
SA
38,320
531
Kirin
Holdings
Co.,
Ltd.
108,700
1,989
Koninklijke
Ahold
Delhaize
NV
1,708
53
Kroger
Co.
(The)
3,877
158
KT&G
Corp.
1,354
97
Lenta
PLC
-
GDR(Æ)
105,913
337
LG
Household
&
Health
Care,
Ltd.
81
103
Loblaw
Cos.,
Ltd.
1,615
109
L'Oreal
SA
385
176
Monster
Beverage
Corp.(Æ)
1,191
112
NH
Foods,
Ltd.
11,100
449
North
West
Co.,
Inc.
(The)
5,276
154
PepsiCo,
Inc.
405
64
Procter
&
Gamble
Co.
(The)
2,567
365
Sun
Art
Retail
Group,
Ltd.
281,500
175
Thai
Beverage
PCL
1,212,661
582
Unilever
PLC
-
ADR
34,281
1,973
Uni-President
Enterprises
Corp.
43,000
113
Wal-Mart
de
Mexico
SAB
de
CV
38,800
128
18,008
Energy
-
1.8%
Cenovus
Energy,
Inc.
70,356
587
China
Petroleum
&
Chemical
Corp.
Class
H
206,000
94
China
Shenhua
Energy
Co.,
Ltd.
Class
H
114,500
217
Crescent
Point
Energy
Corp.(Ñ)
52,866
193
Denison
Mines
Corp.(Æ)
131,726
143
Enterprise
Products
Partners,
LP
71,882
1,622
Exxon
Mobil
Corp.
1,586
91
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Fission
Uranium
Corp.(Æ)
462,975
200
Gazprom
PJSC
489,393
1,907
Genus
PLC
3,842
294
Hess
Corp.
9,671
739
Japan
Petroleum
Exploration
Co.,
Ltd.
4,600
76
Kinder
Morgan,
Inc.
72,695
1,263
Lukoil
PJSC
-
ADR
11,202
961
NAC
Kazatomprom
JSC
-
GDR
28,706
715
NexTier
Oilfield
Solutions,
Inc.(Æ)
228,408
873
PetroChina
Co.,
Ltd.
Class
H
256,000
107
Petroleo
Brasileiro
SA
-
ADR
74,665
797
Pioneer
Natural
Resources
Co.
2,864
416
PTT
Public
Company,
Ltd.
708,705
747
Range
Resources
Corp.(Æ)
42,921
654
Reliance
Industries,
Ltd.
22,061
605
Schneider
Electric
SE
1,251
210
SM
Energy
Co.
85,111
1,592
Southwestern
Energy
Co.(Æ)
150,642
710
Total
SA
2,502
109
Xcel
Energy,
Inc.
23,119
1,578
17,500
Financial
Services
-
10.1%
3i
Group
PLC
6,299
112
Activia
Properties,
Inc.(ö)
42
191
Aedifica(ö)
1,266
182
AerCap
Holdings,
Ltd.
/
AerCap
Global
Aviation
Trust(Æ)
14,654
777
Aflac,
Inc.
1,846
102
AIA
Group,
Ltd.
116,800
1,402
Allianz
SE
901
224
Allied
Properties
Real
Estate
Investment
Trust(ö)
6,133
225
Allstate
Corp.
(The)
191
25
Alpha
Bank
AE(Æ)
387,136
497
alstria
office
AG(ö)
10,035
213
American
International
Group,
Inc.
21,389
1,013
American
Tower
Corp.(ö)
4,168
1,179
Americold
Realty
Trust(ö)
6,524
253
Apartment
Income
REIT
Corp.(ö)
5,315
280
Apollo
Global
Management,
Inc.
10,867
640
Apple
Hospitality
REIT,
Inc.(ö)
106,576
1,593
ARGAN
SA(ö)
723
94
Assicurazioni
Generali
SpA
2,172
43
Assura
PLC(ö)
164,537
178
Axis
Bank,
Ltd.(Æ)
37,561
358
Axis
Capital
Holdings,
Ltd.
27,959
1,422
Banco
Bradesco
SA
-
ADR
134,984
630
Bank
Central
Asia
Tbk
PT
433,500
895
Bank
Rakyat
Indonesia
Persero
Tbk
PT
2,035,400
523
Berkshire
Hathaway,
Inc.
Class
B(Æ)
5,771
1,606
BlackRock,
Inc.
Class
A
276
239
Blackstone
Group,
Inc.
(The)
Class
A
11,686
1,347
Blucora,
Inc.(Æ)
39,862
672
Brewin
Dolphin
Holdings
PLC
25,973
130
Bridgepoint
Group
PLC(Æ)
39,397
266
British
Land
Co.
PLC
(The)(ö)
38,752
275
Brixmor
Property
Group,
Inc.(ö)
45,816
1,055
Caixa
Seguridade
Participacoes
SA(Æ)
94,000
198
Canadian
Apartment
Properties(ö)
2,623
131
CapitaLand
Mall
Trust
Class
A(ö)
119,444
190
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
398
Multi-Asset
Growth
Strategy
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
CapitaLand,
Ltd.
35,400
105
Castellum
AB
7,237
203
Catena
AB
3,047
183
Cathay
Financial
Holding
Co.,
Ltd.
66,000
128
CBRE
Group,
Inc.
Class
A(Æ)
1,423
137
Chailease
Holding
Co.,
Ltd.
107,000
887
Charles
Schwab
Corp.
(The)
16,823
1,143
Charter
Hall
Group
-
ADR(ö)
29,487
353
China
Construction
Bank
Corp.
Class
H
529,000
369
China
Merchants
Bank
Co.,
Ltd.
Class
H
149,500
1,141
China
Resources
Land,
Ltd.
258,000
864
Chubb,
Ltd.
336
57
Citigroup,
Inc.
21,424
1,449
CK
Asset
Holdings,
Ltd.
54,500
372
Commerce
Bancshares,
Inc.
781
55
Credit
Saison
Co.,
Ltd.
91,000
1,084
CTP
NV(Æ)(Þ)
4,839
98
Cullen/Frost
Bankers,
Inc.
1,237
133
Curo
Group
Holdings
Corp.
40,748
643
CyrusOne,
Inc.(ö)
7,774
554
Daibiru
Corp.
26,800
343
Dai-ichi
Life
Holdings,
Inc.
91,400
1,689
Derwent
London
PLC(ö)
2,199
111
Deutsche
Wohnen
SE
1,298
81
Digital
Realty
Trust,
Inc.(ö)
2,052
316
Duke
Realty
Corp.(ö)
9,748
496
Dundee
Corp.
Class
A
82,535
113
Emerald
Holding,
Inc.(Æ)
107,630
425
Emlak
Konut
Gayrimenkul
Yatirim
Ortakligi
AS(ö)
283,119
61
Equinix,
Inc.(Æ)(ö)
1,093
897
Equities
AB
18,531
895
ESR
Cayman,
Ltd.(Æ)(Þ)
22,800
80
Essex
Property
Trust,
Inc.(ö)
1,745
573
Etalon
Group
PLC
-
GDR
185,343
304
Extra
Space
Storage,
Inc.(ö)
4,534
790
EZCORP,
Inc.
Class
A(Æ)
123,632
707
Fastighets
AB
Balder
Class
B(Æ)
4,567
316
Fidelity
National
Financial,
Inc.
506
23
FinecoBank
Banca
Fineco
SpA
6,234
112
First
Foundation,
Inc.
44,139
1,040
FirstRand,
Ltd.
34,294
127
Fubon
Financial
Holding
Co.,
Ltd.
51,000
137
GLP
J-REIT(Æ)(ö)
156
279
Goldman
Sachs
Group,
Inc.
(The)
4,319
1,619
Goodman
Group(ö)
5,364
89
Great-West
Lifeco,
Inc.
2,898
87
Grupo
Financiero
Banorte
SAB
de
CV
Class
O
80,900
524
Hachijuni
Bank,
Ltd.
(The)
34,500
112
Hana
Financial
Group,
Inc.
18,605
703
Hang
Seng
Bank,
Ltd.
4,700
90
Healthcare
Trust
of
America,
Inc.
Class
A(ö)
5,855
167
Healthpeak
Properties,
Inc.(ö)
19,387
717
Highwoods
Properties,
Inc.(ö)
3,461
165
Hirogin
Holdings,
Inc.
43,300
233
HomeStreet,
Inc.
17,015
642
Hong
Kong
Exchanges
&
Clearing,
Ltd.
15,300
978
Hongkong
Land
Holdings,
Ltd.
128,939
585
Host
Hotels
&
Resorts,
Inc.(Æ)(ö)
23,644
377
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
ICADE(ö)
1,767
162
ICICI
Bank,
Ltd.
-
ADR
122,474
2,276
ICICI
Prudential
Life
Insurance
Co.,
Ltd.(Þ)
11,142
95
IG
Group
Holdings
PLC
7,942
98
Industrial
&
Commercial
Bank
of
China,
Ltd.
Class
H
693,000
385
Instone
Real
Estate
Group
AG(Þ)
5,603
174
Intact
Financial
Corp.
402
55
Interactive
Brokers
Group,
Inc.
Class
A
1,478
91
Invincible
Investment
Corp.(ö)
369
145
Invitation
Homes,
Inc.(ö)
6,118
249
Itau
Unibanco
Holding
SA
-
ADR
92,050
531
Japan
Retail
Fund
Investment
Corp.(ö)
178
186
Jones
Lang
LaSalle,
Inc.(Æ)
2,422
539
JPMorgan
Chase
&
Co.
1,650
250
Jupiter
Fund
Management
PLC
38,949
146
Kasikornbank
PCL
175,500
549
KB
Financial
Group,
Inc.
6,642
295
Keppel
DC
REIT(ö)
41,900
82
Keppel
REIT(ö)
143,700
127
Kimco
Realty
Corp.(ö)
13,478
287
KKR
&
Co.,
Inc.
Class
A
16,422
1,047
Klepierre
SA
-
GDR(ö)
7,892
191
Korean
Reinsurance
Co.
19,418
161
LEG
Immobilien
AG
982
155
Link
Real
Estate
Investment
Trust(ö)
120,600
1,155
London
Stock
Exchange
Group
PLC
7,919
824
LondonMetric
Property
PLC(ö)
30,510
105
LSR
Group
PJSC
33,861
352
LX
Holdings
Corp.(Æ)
1,012
9
M&T
Bank
Corp.
812
109
Manulife
Financial
Corp.
3,974
77
MasterCard,
Inc.
Class
A
2,260
872
Medical
Properties
Trust,
Inc.(ö)
11,791
248
Merck
&
Co.,
Inc.
30,814
2,369
Mirvac
Group(ö)
190,842
401
Mitsubishi
Estate
Co.,
Ltd.
156,700
2,459
Mitsubishi
UFJ
Financial
Group,
Inc.
202,400
1,072
Mitsubishi
UFJ
Lease
&
Finance
Co.,
Ltd.
49,200
269
Mitsui
Fudosan
Co.,
Ltd.
20,000
468
Mitsui
Fudosan
Logistics
Park,
Inc.(Æ)
(ö)
24
134
Moscow
Exchange
MICEX-RTS
PJSC
38,229
90
MS&AD
Insurance
Group
Holdings,
Inc.
21,700
671
Neinor
Homes
SA(Æ)(Þ)
7,187
104
Nippon
Building
Fund,
Inc.(ö)
33
213
Nishi-Nippon
Financial
Holdings,
Inc.
26,000
146
NMI
Holdings,
Inc.
Class
A(Æ)
98,516
2,169
Nomura
Holdings,
Inc.
108,300
541
North
Pacific
Bank,
Ltd.
104,100
223
Orix
JREIT,
Inc.(ö)
63
120
OTP
Bank
PLC(Æ)
9,774
527
Park
Hotels
&
Resorts,
Inc.(Æ)(ö)
5,185
96
Parkway
Life
Real
Estate
Investment
Trust(Æ)(ö)
47,200
162
Partners
Group
Holding
AG
824
1,409
PayPal
Holdings,
Inc.(Æ)
2,680
738
Ping
An
Bank
Co.,
Ltd.
Class
A
106,200
291
Ping
An
Insurance
Group
Co.
of
China,
Ltd.
Class
H
94,000
825
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
399
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Popular,
Inc.
24,110
1,754
Progressive
Corp.
(The)
992
94
Prologis,
Inc.(ö)
7,675
983
Prosperity
Bancshares,
Inc.
398
27
Prosus
NV(Æ)
8,425
748
Prudential
PLC
25,896
487
Public
Bank
BHD
115,300
109
Public
Storage(ö)
4,647
1,452
RMR
Group,
Inc.
(The)
Class
A
22,296
875
Safestore
Holdings
PLC(ö)
13,536
198
Savills
PLC
13,774
220
SBA
Communications
Corp.(ö)
1,795
612
Sberbank
of
Russia
PJSC
-
ADR
218,605
1,514
Segro
PLC(ö)
30,854
522
Shimao
Group
Holdings,
Ltd.
121,000
239
Shimao
Services
Holdings,
Ltd.(Þ)
110,000
255
Siam
Cement
PCL
(The)
7,900
100
Simon
Property
Group,
LP(ö)
6,472
819
Sino
Land
Co.,
Ltd.
62,000
95
SP
Plus
Corp.(Æ)
38,312
1,256
Sprott,
Inc.
10,602
391
Sumitomo
Mitsui
Banking
Corp.
69,100
2,329
Sumitomo
Mitsui
Trust
Holdings,
Inc.
51,700
1,699
Sun
Communities,
Inc.(ö)
2,299
451
Sun
Hung
Kai
Properties,
Ltd.
34,000
487
Sun
Life
Financial,
Inc.
994
52
T.
Rowe
Price
Group,
Inc.
822
168
Tokyu
Fudosan
Holdings
Corp.
17,300
98
Tritax
Big
Box
REIT
PLC(ö)
38,965
114
Turkiye
Halk
Bankasi
AS(Æ)
484,107
264
UDR,
Inc.(ö)
14,060
773
Unibail-Rodamco-Westfield(Æ)(ö)
1,117
93
United
Urban
Investment
Corp.(ö)
85
125
Ventas,
Inc.(ö)
10,217
611
VEREIT,
Inc.(ö)
11,975
586
VGP
NV
394
81
VICI
Properties,
Inc.(ö)
6,458
201
Visa,
Inc.
Class
A
3,567
879
Vonovia
SE
10,584
706
Voya
Financial,
Inc.
21,371
1,376
VTB
Bank
PJSC
294,650,000
196
Welltower,
Inc.(ö)
3,014
262
Weyerhaeuser
Co.(ö)
3,195
108
Wharf
Real
Estate
Investment
Co.,
Ltd.
31,000
175
Woori
Financial
Group,
Inc.
77,858
734
Workspace
Group
PLC(ö)
13,320
160
Yellow
Cake
PLC(Æ)(Þ)
81,402
318
Zurich
Insurance
Group
AG
58
23
99,464
Health
Care
-
2.9%
3SBio,
Inc.
Class
A(Æ)(Þ)
180,000
150
Abbott
Laboratories
1,964
238
AbbVie,
Inc.
12,261
1,422
AddLife
AB
Class
B
16,024
535
Agilent
Technologies,
Inc.
1,571
241
Ambu
A/S
Class
B(Ñ)
17,039
630
Amgen,
Inc.
955
231
AstraZeneca
PLC
1,236
142
Bristol-Myers
Squibb
Co.
1,646
112
Cellavision
AB
11,797
621
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Chemed
Corp.
95
45
ChemoMetec
A/S
4,817
772
Cigna
Corp.
222
51
DexCom,
Inc.(Æ)
1,788
922
Edwards
Lifesciences
Corp.(Æ)
960
108
Evotec
SE(Æ)
20,277
842
Exact
Sciences
Corp.(Æ)
4,740
511
Glenmark
Pharmaceuticals,
Ltd.
21,995
180
H.U.
Group
Holdings,
Inc.
17,400
452
Illumina,
Inc.(Æ)
1,915
949
Intuitive
Surgical,
Inc.(Æ)
937
929
IQVIA,
Inc.(Æ)
2,880
713
Japan
Lifeline
Co.,
Ltd.
52,900
666
Jazz
Pharmaceuticals
PLC(Æ)
526
89
Johnson
&
Johnson
6,555
1,129
JW
(Cayman)
Therapeutics
Co.,
Ltd(Æ)
(Þ)
48,500
129
KYORIN
Holdings,
Inc.
38,500
626
Lantheus
Holdings,
Inc.(Æ)
35,121
919
Lifco
AB(Æ)
17,387
511
Lonza
Group
AG
911
709
Masimo
Corp.(Æ)
169
46
Medtronic
PLC
170
22
Novartis
AG
1,060
98
Novo
Nordisk
A/S
Class
B
14,543
1,347
Organon
&
Co.
5,254
152
Pfizer,
Inc.
2,661
114
Pharmaron
Beijing
Co.,
Ltd.
Class
H(Þ)
17,600
386
PolyPeptide
Group
AG(Æ)(Þ)
5,989
653
Regeneron
Pharmaceuticals,
Inc.(Æ)
170
98
ResMed,
Inc.
401
109
Roche
Holding
AG
577
223
Sawai
Group
Holdings
Co.,
Ltd.
14,800
633
Shenzhen
Mindray
Bio-Medical
Electronics
Co.,
Ltd.
Class
A
9,649
584
Siemens
Healthineers
AG(Þ)
12,489
825
Straumann
Holding
AG
427
792
Stryker
Corp.
375
102
Suzuken
Co.,
Ltd.
9,200
267
Takeda
Pharmaceutical
Co.,
Ltd.
49,900
1,659
Thermo
Fisher
Scientific,
Inc.
107
58
Toho
Holdings
Co.,
Ltd.
25,900
436
United
Therapeutics
Corp.(Æ)
1,238
225
UnitedHealth
Group,
Inc.
2,626
1,082
Universal
Health
Services,
Inc.
Class
B
622
100
West
Pharmaceutical
Services,
Inc.
233
96
WuXi
AppTec
Co.,
Ltd.
Class
H(Þ)
28,700
639
Wuxi
Biologics
(Cayman),
Inc.(Æ)(Þ)
48,500
740
Zoetis,
Inc.
Class
A
5,662
1,148
28,208
Materials
and
Processing
-
7.2%
AddTech
AB
Class
B
32,647
679
Akzo
Nobel
NV
714
88
Aluminum
Corp.
of
China,
Ltd.
Class
H(Æ)
676,000
411
AngloGold
Ashanti,
Ltd.
-
ADR
25,928
520
Anhui
Conch
Cement
Co.,
Ltd.
Class
H
75,500
361
Artemis
Gold,
Inc.(Æ)
70,556
353
Asahi
Glass
Co.,
Ltd.
4,200
180
Baoshan
Iron
&
Steel
Co.
Ltd.
Class
A
386,563
475
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
400
Multi-Asset
Growth
Strategy
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
BASF
SE
3,251
255
Bear
Creek
Mining
Corp.(Æ)
109,903
136
Berry
Plastics
Group,
Inc.(Æ)
46,187
2,969
Cameco
Corp.
Class
A
79,356
1,412
Carel
Industries
SpA(Þ)
15,208
362
CCR
SA
210,000
524
Cemex
SAB
de
CV
-
ADR(Æ)
67,331
547
Centerra
Gold,
Inc.
152,037
1,222
China
Youran
Dairy
Group,
Ltd.(Æ)(Þ)
189,000
108
Copart,
Inc.(Æ)
828
122
Cornerstone
Building
Brands,
Inc.(Æ)
50,346
847
Denki
Kagaku
Kogyo
KK
54,700
1,896
DowDuPont,
Inc.
25,401
1,906
DS
Smith
PLC
21,276
125
Eregli
Demir
ve
Celik
Fabrikalari
TAS
115,380
274
Fastenal
Co.
1,925
105
Ferguson
PLC
878
123
Formosa
Chemicals
&
Fibre
Corp.
33,000
97
Formosa
Plastics
Corp.
31,000
111
Fresnillo
PLC
37,699
429
Gabriel
Resources,
Ltd.(Æ)
1,483,278
321
Geberit
AG
135
111
Getlink
SE
86,331
1,382
Gold
Fields,
Ltd.
-
ADR
34,752
342
Gree
Electric
Appliances,
Inc.
of
Zhuhai
Class
A
69,300
510
Harmony
Gold
Mining
Co.,
Ltd.
-
ADR
23,804
98
Hokuetsu
Corp.
69,300
387
Huntsman
Corp.
126,433
3,338
IAMGOLD
Corp.(Æ)
40,192
110
IMI
PLC
5,896
144
Impala
Platinum
Holdings,
Ltd.
4,941
89
International
Paper
Co.
27,175
1,570
International
Tower
Hill
Mines,
Ltd.(Æ)
104,920
106
ISS
A/S(Æ)
78,601
1,856
ITT,
Inc.
1,071
105
Ivanhoe
Mines,
Ltd.
Class
A(Æ)
71,956
534
JELD-WEN
Holding,
Inc.(Æ)
28,725
761
JFE
Holdings,
Inc.
108,300
1,327
Koninklijke
DSM
NV
5,314
1,071
Kuraray
Co.,
Ltd.
60,600
563
Labrador
Iron
Ore
Royalty
Corp.
3,890
155
Lanxess
AG
11,074
802
LG
Chem,
Ltd.
1,801
1,321
LG
Corp.
Class
H
2,086
171
Linde
PLC(Æ)
540
166
MHP
SE
-
GDR
92,801
503
MMC
Norilsk
Nickel
PJSC
-
ADR
13,676
473
MMG,
Ltd.(Æ)
496,000
253
Mosaic
Co.
(The)
53,462
1,670
Nan
Ya
Plastics
Corp.
41,000
128
New
Gold,
Inc.(Æ)
123,949
203
Newcrest
Mining,
Ltd.
83,289
1,624
NexGen
Energy,
Ltd.(Æ)(Ñ)
180,003
760
Nibe
Industrier
AB
Class
B
11,895
142
Nine
Dragons
Paper
Holdings,
Ltd.
188,000
237
Nippon
Steel
Corp.
135,700
2,372
Northern
Dynasty
Minerals,
Ltd.(Æ)(Ñ)
418,276
181
NovaGold
Resources,
Inc.(Æ)
39,070
306
NSK,
Ltd.
72,600
600
Nucor
Corp.
1,732
180
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Owens
Corning
14,040
1,350
Pan
American
Silver
Corp.
12,425
349
Petronas
Chemicals
Group
BHD
473,500
902
Polymetal
International
PLC
12,795
278
Polyus
PJSC
-
GDR
8,185
789
PPG
Industries,
Inc.
827
135
Richelieu
Hardware,
Ltd.
3,323
116
Rio
Tinto
PLC
2,530
216
Royal
Gold,
Inc.
2,493
303
Seabridge
Gold,
Inc.(Æ)(Ñ)
50,412
913
Semen
Indonesia
Persero
Tbk
PT
1,155,646
616
Sika
AG
1,228
432
Simcorp
SA
-
ADR
3,446
479
Sonoco
Products
Co.
1,916
122
Stella-Jones
Corp.
3,739
136
Stora
Enso
OYJ
Class
R
5,648
111
Toray
Industries,
Inc.
123,000
811
Trane
Technologies
PLC
546
111
Tronox
Holdings
PLC
Class
A
121,919
2,247
Turquoise
Hill
Resources,
Ltd.(Æ)(Ñ)
117,640
1,965
UltraTech
Cement,
Ltd.
11,165
1,144
Univar
Solutions,
Inc.
-
ADR(Æ)
212,151
5,205
Vale
SA
Class
B
-
ADR
49,566
1,042
Valmont
Industries,
Inc.
496
118
Valvoline,
Inc.
49,317
1,513
Venator
Materials
PLC(Æ)
159,748
506
Watsco,
Inc.
384
108
Westrock
Co.
95,116
4,680
Wheaton
Precious
Metals
Corp.
12,244
565
Yara
International
ASA
1,886
99
Zijin
Mining
Group
Co.,
Ltd.
Class
H
248,000
354
71,324
Producer
Durables
-
6.7%
3M
Co.
911
180
ABB,
Ltd.
6,142
225
Aecon
Group,
Inc.
9,101
148
Aena
SME
SA(Æ)(Þ)
22,721
3,619
Aeroports
de
Paris(Æ)
11,478
1,393
Air
Transport
Services
Group,
Inc.(Æ)
34,502
835
Altus
Group,
Ltd.
3,653
172
Ametek,
Inc.
626
87
AO
Smith
Corp.
1,431
101
Atlantia
SpA(Æ)
140,608
2,554
Atlas
Copco
AB(Æ)
3,013
204
Auckland
International
Airport,
Ltd.(Æ)
178,653
903
Aurizon
Holdings,
Ltd.
399,700
1,136
Avery
Dennison
Corp.
499
105
Azul
SA
-
ADR(Æ)
14,489
325
Boeing
Co.
(The)(Æ)
3,262
739
Cathay
Pacific
Airways,
Ltd.(Æ)
258,000
207
CH
Robinson
Worldwide,
Inc.
1,078
96
Charoen
Pokphand
Foods
PCL
615,600
487
Cintas
Corp.
253
100
CK
Hutchison
Holdings,
Ltd.
Class
B
12,500
91
Country
Garden
Services
Holdings
Co.,
Ltd.
16,000
130
Covenant
Transportation
Group,
Inc.
Class
A(Æ)
32,778
689
CSX
Corp.
19,359
626
Cummins,
Inc.
365
85
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
401
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Deutsche
Post
AG
3,864
262
DL
E&C
Co.,
Ltd.(Æ)
776
99
Dover
Corp.
805
135
DSV
Panalpina
A/S
3,707
903
East
Japan
Railway
Co.
28,800
1,923
Eaton
Corp.
PLC
44
7
Eiffage
SA
9,675
986
Emerson
Electric
Co.
1,634
165
Epiroc
AB
Class
A
48,864
1,142
Equinox
Gold
Corp.(Æ)
43,493
303
Expeditors
International
of
Washington,
Inc.
456
58
Faurecia
SE
39,196
1,751
Finning
International,
Inc.
3,859
100
Flughafen
Zurich
AG(Æ)
10,829
1,742
Fukuda
Corp.
2,600
118
General
Electric
Co.
45,639
591
Grupo
Aeroportuario
del
Sureste
SAB
de
CV
Class
B
103,405
1,879
Guangshen
Railway
Co.,
Ltd.
Class
H(Æ)
1,214,000
210
Hankook
Technology
Group
Co.,
Ltd.
16,862
264
Heidrick
&
Struggles
International,
Inc.
26,263
1,122
Hexagon
AB(Æ)
7,001
116
Hubbell,
Inc.
Class
B
143
29
IDEX
Corp.
59
13
Japan
Steel
Works,
Ltd.
(The)
7,100
175
JD
Logistics,
Inc.(Æ)(Þ)
150,700
544
JGC
Holdings
Corp.
110,500
1,002
Jiangsu
Expressway
Co.,
Ltd.
Class
H
880,000
940
Jiangsu
Hengli
Hydraulic
Co.,
Ltd.
Class
A
38,200
579
Johnson
Controls
International
PLC(Æ)
868
62
Kajima
Corp.
86,600
1,120
Kamigumi
Co.,
Ltd.
11,000
233
KBR,
Inc.
23,882
924
Keysight
Technologies,
Inc.(Æ)
682
112
Komatsu,
Ltd.
36,800
959
Kone
OYJ
Class
B
586
49
Kuehne
&
Nagel
International
AG
185
62
Landstar
System,
Inc.
604
95
Larsen
&
Toubro,
Ltd.
34,724
750
Lincoln
Electric
Holdings,
Inc.
715
100
Luks
Group
Vietnam
Holdings
Co.,
Ltd.
468,000
92
Meitec
Corp.
6,900
389
Mitsubishi
Corp.
70,800
1,996
Mitsui
&
Co.,
Ltd.
30,000
692
MSC
Industrial
Direct
Co.,
Inc.
Class
A
1,143
102
Nestle
SA
1,943
246
NGK
Spark
Plug
Co.,
Ltd.
178,053
2,624
Norfolk
Southern
Corp.
1,780
459
Obayashi
Corp.
52,000
428
Old
Dominion
Freight
Line,
Inc.
408
110
Organo
Corp.
4,600
266
Orient
Overseas
International,
Ltd.
26,000
478
OSG
Corp.
16,900
316
Pacific
Basin
Shipping,
Ltd.
808,000
361
Park24
Co.,
Ltd.
15,200
287
Paychex,
Inc.
1,535
175
Persol
Holdings
Co.,
Ltd.
69,000
1,391
Promotora
y
Operadora
de
Infraestructura
SAB
de
CV
63,133
476
Pyeong
Hwa
Automotive
Co.,
Ltd.
8,879
84
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Quanta
Services,
Inc.
1,840
167
Radiant
Logistics,
Inc.(Æ)
64,874
404
Randstad
NV
1,284
93
Regal
Beloit
Corp.
675
99
Republic
Services,
Inc.
Class
A
7,830
927
Rheinmetall
AG
24,347
2,338
Rotork
PLC
20,418
102
S4
Capital
PLC(Æ)
54,959
530
Seiko
Epson
Corp.
97,400
1,676
Sprott
Physical
Uranium
Trust
59,189
548
Square,
Inc.
Class
A(Æ)
2,727
674
Standard
Foods
Corp.
105,000
197
Stantec,
Inc.
2,354
110
Stolt-Nielsen,
Ltd.
Class
A
28,407
388
Sumitomo
Heavy
Industries,
Ltd.
16,100
448
Suofeiya
Home
Collection
Co.,
Ltd.
Class
A
66,400
197
Transurban
Group
-
ADR(Æ)
329,078
3,462
TreeHouse
Foods,
Inc.(Æ)
11,387
506
Trelleborg
AB
Class
B
54,164
1,338
Tsakos
Energy
Navigation,
Ltd.(Ñ)
18,442
147
United
Parcel
Service,
Inc.
Class
B
1,230
235
Vectrus,
Inc.(Æ)
24,569
1,113
Vinci
SA
13,810
1,460
West
Japan
Railway
Co.
3,400
184
Wuxi
Lead
Intelligent
Equipment
Co.,
Ltd.
Class
A
66,289
782
65,958
Technology
-
7.3%
Accenture
PLC
Class
A
927
294
Activision
Blizzard,
Inc.
2,063
173
Adobe,
Inc.(Æ)
1,634
1,016
Alibaba
Group
Holding,
Ltd.
-
ADR(Æ)
621
121
Alphabet,
Inc.
Class
A(Æ)
675
1,819
Alphabet,
Inc.
Class
C(Æ)
463
1,252
Alps
Alpine
Co.,
Ltd.
16,500
171
Amdocs,
Ltd.
1,254
97
Amphenol
Corp.
Class
A
1,088
79
Analog
Devices,
Inc.
645
108
Apple,
Inc.
19,940
2,908
ASE
Technology
Holding
Co.,
Ltd.
136,000
599
ASM
Pacific
Technology,
Ltd.
13,500
174
ASML
Holding
NV
1,923
1,462
Atos
SE
197,225
9,437
Autodesk,
Inc.(Æ)
2,253
724
Automatic
Data
Processing,
Inc.
1,158
243
Avnet,
Inc.
56,465
2,333
Axcelis
Technologies,
Inc.(Æ)
32,436
1,250
BE
Semiconductor
Industries
NV
12,158
1,069
Bechtle
AG
2,184
451
Bilibili,
Inc.
-
ADR(Æ)
7,082
606
Cadence
Design
Systems,
Inc.(Æ)
772
114
CDW
Corp.
630
116
CGI
Group,
Inc.(Æ)
859
78
Cisco
Systems,
Inc.
32,851
1,819
Cognizant
Technology
Solutions
Corp.
Class
A
1,922
141
Computacenter
PLC
2,793
106
Corteva,
Inc.
2,101
90
Cosel
Co.,
Ltd.
12,200
113
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
402
Multi-Asset
Growth
Strategy
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Dolby
Laboratories,
Inc.
Class
A
1,170
114
Eizo
Corp.
8,700
367
Electrocomponents
PLC
6,692
95
EPAM
Systems,
Inc.(Æ)
286
160
F5
Networks,
Inc.(Æ)
267
55
Facebook,
Inc.
Class
A(Æ)
4,462
1,590
FANUC
Corp.
2,900
649
Fortinet,
Inc.(Æ)
658
179
GDS
Holdings,
Ltd.
-
ADR(Æ)
958
56
Genpact,
Ltd.
1,545
77
Han's
Laser
Technology
Industry
Group
Co.,
Ltd.
Class
A
24,899
142
Hewlett
Packard
Enterprise
Co.
Class
H
30,402
441
Hon
Hai
Precision
Industry
Co.,
Ltd.
373,000
1,473
Infineon
Technologies
AG
-
ADR
27,693
1,056
Infosys,
Ltd.
-
ADR
65,943
1,459
Infrastrutture
Wireless
Italiane
SpA(Þ)
72,479
820
Inspired
Entertainment,
Inc.(Æ)
40,697
472
Intel
Corp.
3,534
190
Intuit,
Inc.
133
70
Jack
Henry
&
Associates,
Inc.
344
60
Maxim
Integrated
Products,
Inc.
973
97
MediaTek,
Inc.
11,000
358
Micron
Technology,
Inc.
14,053
1,090
Microsoft
Corp.
10,753
3,064
NeoPhotonics
Corp.(Æ)
59,633
578
Netcompany
Group
A/S(Þ)
11,881
1,470
NetEase,
Inc.
59,300
1,207
Pinterest,
Inc.
Class
A(Æ)
13,649
804
Quantum
Corp.(Æ)
70,854
439
Rambus,
Inc.(Æ)
18,724
443
Rightmove
PLC
10,264
100
Samsung
Electronics
Co.,
Ltd.
36,271
2,480
ServiceNow,
Inc.(Æ)
1,121
659
Shopify,
Inc.
Class
A(Æ)
704
1,056
SK
Hynix,
Inc.
20,715
2,038
Snap,
Inc.
Class
A(Æ)
14,403
1,072
Snowflake,
Inc.
Class
A(Æ)
2,393
636
Softcat
PLC
41,114
1,104
Synopsys,
Inc.(Æ)
358
103
Taiwan
Semiconductor
Manufacturing
Co.,
Ltd.
277,000
5,768
TeamViewer
AG(Æ)(Þ)
13,141
442
Telekomunikasi
Indonesia
Persero
Tbk
PT
453,900
102
Tencent
Holdings,
Ltd.
33,900
2,093
Texas
Instruments,
Inc.
1,359
259
Trip.com
Group,
Ltd.
-
ADR(Æ)
19,821
514
Twilio,
Inc.
Class
A(Æ)
1,878
702
Twitter,
Inc.(Æ)
10,306
719
Tyler
Technologies,
Inc.(Æ)
200
99
Uber
Technologies,
Inc.(Æ)
11,562
502
Vodafone
Group
PLC
-
ADR
99,085
1,618
Wiwynn
Corp.
12,000
404
Worldline
SA(Æ)(Þ)
10,739
1,005
71,513
Utilities
-
5.3%
Alliant
Energy
Corp.
15,958
934
Atmos
Energy
Corp.
4,845
478
Avista
Corp.
5,841
250
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Bharti
Airtel,
Ltd.
127,508
965
CenterPoint
Energy,
Inc.
76,176
1,939
Centrais
Eletricas
Brasileiras
SA
75,481
583
Cheniere
Energy,
Inc.(Æ)
23,212
1,971
China
Communications
Services
Corp.,
Ltd.
Class
H
1,758,886
754
China
Gas
Holdings,
Ltd.
411,400
1,277
China
Resources
Gas
Group,
Ltd.
122,000
752
Chunghwa
Telecom
Co.,
Ltd.
30,000
124
CLP
Holdings,
Ltd.
48,500
500
Dominion
Energy,
Inc.
38,556
2,887
Duke
Energy
Corp.
12,187
1,281
Electricite
de
France
SA
60,198
729
Elisa
OYJ
1,587
102
Emera,
Inc.
13,723
640
Enbridge,
Inc.
27,313
1,077
ENN
Energy
Holdings,
Ltd.
6,800
142
Essential
Utilities,
Inc.
5,473
269
Evergy,
Inc.
7,686
501
Eversource
Energy(Æ)
14,006
1,208
Exelon
Corp.
32,728
1,532
Federal
Grid
Co.
Unified
Energy
System
PJSC
381,588,279
1,049
FirstEnergy
Corp.
16,478
631
Guangdong
Investment,
Ltd.
486,000
681
Hera
SpA
99,341
423
Inpex
Corp.
71,000
501
International
Business
Machines
Corp.
11,672
1,645
KDDI
Corp.
46,500
1,419
Korea
Electric
Power
Corp.
10,752
233
Korea
Electric
Power
Corp.
-
ADR
18,155
196
KT
Corp.
11,056
325
KT
Corp.
-
ADR
82,214
1,183
LG
Uplus
Corp.
39,664
502
Magellan
Midstream
Partners,
LP
25,110
1,170
MEG
Energy
Corp.
Class
A(Æ)
83,252
531
National
Fuel
Gas
Co.
1,793
92
NextEra
Energy,
Inc.
48,954
3,813
Nippon
Telegraph
&
Telephone
Corp.
95,500
2,447
Osaka
Gas
Co.,
Ltd.
41,200
772
Pembina
Pipeline
Corp.(Ñ)
68,702
2,270
Pinnacle
West
Capital
Corp.
5,874
491
Power
Assets
Holdings,
Ltd.
16,000
103
RingCentral,
Inc.
Class
A(Æ)
2,217
593
Rubis
SCA
26,621
1,068
RusHydro
PJSC
104,654,642
1,154
Scottish
&
Southern
Energy
PLC
86,936
1,747
Severn
Trent
PLC
Class
H
18,328
713
SK
Telecom
Co.,
Ltd.
419
110
Snam
Rete
Gas
SpA
18,960
115
TC
Energy
Corp.(Æ)
25,235
1,229
TELUS
Corp.
1,750
39
T-Mobile
USA,
Inc.(Æ)
1,517
218
Tokyo
Gas
Co.,
Ltd.
124,700
2,366
Verizon
Communications,
Inc.
24,544
1,369
52,093
Total
Common
Stocks
(cost
$401,380)
475,311
Preferred
Stocks
-
0.5%
Consumer
Discretionary
-
0.1%
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
403
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Hyundai
Motor
Co.
4.236%
(Ÿ)
6,005
544
Financial
Services
-
0.4%
AMG
Capital
Trust
II
5.150%
due
10/15/37
18,713
1,131
Bank
of
America
Corp.
7.250%
1,260
1,864
Itausa
SA
2.809%
(Ÿ)
53,100
114
New
York
Community
Capital
Trust
V
6.000%
due
11/01/51
16,200
833
3,942
Health
Care
-
0.0%
Draegerwerk
AG
&
Co.
KGaA
0.260%
(Ÿ)
1,059
97
Grifols
SA
4.156%
(Ÿ)
10,592
163
260
Total
Preferred
Stocks
(cost
$4,133)
4,746
Options
Purchased
-
10.3%
(Number
of
Contracts)
Fannie
Mae
Bonds
JPMorgan
Chase
Sep
2021
103.72
Call
(1)
USD
35,000
(ÿ)
175
JPMorgan
Chase
Sep
2021
104.63
Call
(1)
USD
10,000
(ÿ)
20
JPMorgan
Chase
Sep
2021
105.75
Call
(1)
USD
27,000
(ÿ)
31
FTSE
100
Index
Futures
Morgan
Stanley
Dec
2021
6,725.00
Call
(843)
GBP
56,692
(ÿ)
4,702
Swaptions
(Counterparty,
Fund
Receives/Fund
Pays,
Notional,
Termination
Date)
(Bank
of
America,
USD
1.833%/USD
3
Month
LIBOR,
USD
6,683,
09/23/54)
Bank
of
America
Sep
2024
0.00
Call
(1)
6,683
(ÿ)
772
(Bank
of
America,
USD
1.585%/USD
3
Month
LIBOR,
USD
10,587,
10/03/54)
Bank
of
America
Oct
2024
0.00
Call
(1)
10,587
(ÿ)
934
(Bank
of
America,
USD
1.725%/USD
3
Month
LIBOR,
USD
9,926,
10/04/54)
Bank
of
America
Oct
2024
0.00
Call
(1)
9,926
(ÿ)
1,024
(Bank
of
America,
USD
1.985%/USD
3
Month
LIBOR,
USD
4,269,
01/23/55)
Bank
of
America
Jan
2025
0.00
Call
(1)
4,269
(ÿ)
606
(Bank
of
America,
USD
1.025%/USD
3
Month
LIBOR,
USD
3,152,
06/18/55)
Bank
of
America
Jun
2025
0.00
Call
(1)
3,152
(ÿ)
170
(Bank
of
America,
USD
1.250%/USD
3
Month
LIBOR,
USD
14,580,
06/06/55)
Bank
of
America
Jun
2025
0.00
Call
(1)
14,580
(ÿ)
1,001
(Bank
of
America,
USD
2.090%/USD
3
Month
LIBOR,
USD
6,899,
06/12/55)
Bank
of
America
Jun
2025
0.00
Call
(1)
6,899
(ÿ)
1,106
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
(Bank
of
America,
USD
1.550%/USD
3
Month
LIBOR,
USD
10,852,
09/26/49)
Bank
of
America
Sep
2029
0.00
Call
(1)
10,852
(ÿ)
892
(Bank
of
America,
USD
1.823%/USD
3
Month
LIBOR,
USD
10,720,
09/27/49)
Bank
of
America
Sep
2029
0.00
Call
(1)
10,720
(ÿ)
1,087
(Bank
of
America,
USD
1.885%/USD
3
Month
LIBOR,
USD
7,146,
09/21/49)
Bank
of
America
Sep
2029
0.00
Call
(1)
7,146
(ÿ)
759
(Bank
of
America,
USD
1.905%/USD
3
Month
LIBOR,
USD
13,234,
09/21/39)
Bank
of
America
Sep
2029
0.00
Call
(1)
13,234
(ÿ)
798
(Bank
of
America,
USD
2.048%/USD
3
Month
LIBOR,
USD
19,851,
09/27/39)
Bank
of
America
Sep
2029
0.00
Call
(1)
19,851
(ÿ)
1,322
(Bank
of
America,
USD
1.155%/USD
3
Month
LIBOR,
USD
2,508,
06/19/60)
Bank
of
America
Jun
2030
0.00
Call
(1)
2,508
(ÿ)
278
(Bank
of
America,
USD
1.155%/USD
3
Month
LIBOR,
USD
3,905,
06/12/60)
Bank
of
America
Jun
2030
0.00
Call
(1)
3,905
(ÿ)
430
(Bank
of
America,
USD
1.250%/USD
3
Month
LIBOR,
USD
6,291,
06/19/40)
Bank
of
America
Jun
2030
0.00
Call
(1)
6,291
(ÿ)
280
(Bank
of
America,
USD
1.275%/USD
3
Month
LIBOR,
USD
23,152,
09/19/50)
Bank
of
America
Sep
2030
0.00
Call
(1)
23,152
(ÿ)
1,894
(Bank
of
America,
USD
1.345%/USD
3
Month
LIBOR,
USD
44,009,
09/19/40)
Bank
of
America
Sep
2030
0.00
Call
(1)
44,009
(ÿ)
2,109
(Bank
of
America,
USD
2.150%/USD
3
Month
LIBOR,
USD
6,899,
06/12/51)
Bank
of
America
Jun
2031
0.00
Call
(1)
6,899
(ÿ)
1,012
(Bank
of
America,
USD
2.280%/USD
3
Month
LIBOR,
USD
12,403,
06/12/41)
Bank
of
America
Jun
2031
0.00
Call
(1)
12,403
(ÿ)
1,076
(Citigroup,
USD
0.820%/USD
3
Month
LIBOR,
USD
46,025,
08/31/26)
Citigroup
Aug
2021
0.00
Call
(1)
46,025
(ÿ)
158
(Citigroup,
USD
1.504%/USD
3
Month
LIBOR,
USD
15,364,
10/01/31)
Citigroup
Sep
2021
0.00
Call
(1)
15,364
(ÿ)
392
(Citigroup,
USD
1.794%/USD
3
Month
LIBOR,
USD
10,587,
10/04/49)
Citigroup
Oct
2029
0.00
Call
(1)
10,587
(ÿ)
1,051
(Citigroup,
USD
1.625%/USD
3
Month
LIBOR,
USD
3,956,
01/24/61)
Citigroup
Jan
2041
0.00
Call
(1)
3,956
(ÿ)
601
(Citigroup,
USD
2.215%/USD
3
Month
LIBOR,
USD
11,044,
03/20/51)
Citigroup
Mar
2041
0.00
Call
(1)
11,044
(ÿ)
1,159
(Goldman
Sachs,
USD
1.473%/USD
3
Month
LIBOR,
USD
2,414,
08/11/31)
Goldman
Sachs
Aug
2021
0.00
Call
(1)
2,414
(ÿ)
50
(Goldman
Sachs,
USD
1.569%/USD
3
Month
LIBOR,
USD
3,441,
09/24/54)
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
404
Multi-Asset
Growth
Strategy
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Goldman
Sachs
Sep
2024
0.00
Call
(1)
3,441
(ÿ)
297
(Goldman
Sachs,
USD
1.741%/USD
3
Month
LIBOR,
USD
9,926,
09/26/54)
Goldman
Sachs
Sep
2024
0.00
Call
(1)
9,926
(ÿ)
1,040
(Goldman
Sachs,
USD
1.776%/USD
3
Month
LIBOR,
USD
13,234,
10/01/54)
Goldman
Sachs
Sep
2024
0.00
Call
(1)
13,234
(ÿ)
1,442
(Goldman
Sachs,
USD
1.790%/USD
3
Month
LIBOR,
USD
13,234,
09/27/54)
Goldman
Sachs
Sep
2024
0.00
Call
(1)
13,234
(ÿ)
1,464
(Goldman
Sachs,
USD
1.687%/USD
3
Month
LIBOR,
USD
9,926,
10/07/54)
Goldman
Sachs
Oct
2024
0.00
Call
(1)
9,926
(ÿ)
983
(Goldman
Sachs,
USD
1.736%/USD
3
Month
LIBOR,
USD
6,617,
10/11/54)
Goldman
Sachs
Oct
2024
0.00
Call
(1)
6,617
(ÿ)
693
(Goldman
Sachs,
USD
1.026%/USD
3
Month
LIBOR,
USD
2,627,
06/18/55)
Goldman
Sachs
Jun
2025
0.00
Call
(1)
2,627
(ÿ)
142
(Goldman
Sachs,
USD
1.178%/USD
3
Month
LIBOR,
USD
21,553,
09/19/55)
Goldman
Sachs
Sep
2025
0.00
Call
(1)
21,552
(ÿ)
1,435
(Goldman
Sachs,
USD
2.460%/USD
3
Month
LIBOR,
USD
9,393,
03/23/56)
Goldman
Sachs
Mar
2026
0.00
Call
(1)
9,393
(ÿ)
2,109
(Goldman
Sachs,
USD
2.475%/USD
3
Month
LIBOR,
USD
6,081,
03/20/56)
Goldman
Sachs
Mar
2026
0.00
Call
(1)
6,081
(ÿ)
1,381
(Goldman
Sachs,
USD
1.804%/USD
3
Month
LIBOR,
USD
19,322,
09/27/39)
Goldman
Sachs
Sep
2029
0.00
Call
(1)
19,322
(ÿ)
1,084
(Goldman
Sachs,
USD
1.865%/USD
3
Month
LIBOR,
USD
19,851,
10/02/39)
Goldman
Sachs
Sep
2029
0.00
Call
(1)
19,851
(ÿ)
1,164
(Goldman
Sachs,
USD
1.920%/USD
3
Month
LIBOR,
USD
13,234,
09/24/39)
Goldman
Sachs
Sep
2029
0.00
Call
(1)
13,234
(ÿ)
807
(Goldman
Sachs,
USD
1.985%/USD
3
Month
LIBOR,
USD
16,543,
10/15/39)
Goldman
Sachs
Oct
2029
0.00
Call
(1)
16,543
(ÿ)
1,056
(Goldman
Sachs,
USD
1.325%/USD
3
Month
LIBOR,
USD
7,936,
06/06/50)
Goldman
Sachs
Jun
2030
0.00
Call
(1)
7,936
(ÿ)
657
(Goldman
Sachs,
USD
1.328%/USD
3
Month
LIBOR,
USD
10,848,
06/12/40)
Goldman
Sachs
Jun
2030
0.00
Call
(1)
10,848
(ÿ)
506
(Goldman
Sachs,
USD
1.794%/USD
3
Month
LIBOR,
USD
4,425,
02/05/61)
Goldman
Sachs
Feb
2031
0.00
Call
(1)
4,425
(ÿ)
764
(JP
Morgan,
USD
2.051%/USD
3
Month
LIBOR,
USD
10,587,
09/28/49)
JPMorgan
Chase
Sep
2029
0.00
Call
(1)
10,587
(ÿ)
1,271
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
(JP
Morgan,
USD
1.976%/USD
3
Month
LIBOR,
USD
9,264,
10/19/49)
JPMorgan
Chase
Oct
2029
0.00
Call
(1)
9,264
(ÿ)
1,054
(JP
Morgan,
USD
2.028%/USD
3
Month
LIBOR,
USD
4,513,
01/24/50)
JPMorgan
Chase
Jan
2030
0.00
Call
(1)
4,513
(ÿ)
583
(JP
Morgan,
USD
1.268%/USD
3
Month
LIBOR,
USD
2,365,
06/19/40)
JPMorgan
Chase
Jun
2030
0.00
Call
(1)
2,365
(ÿ)
106
(JP
Morgan,
USD
1.322%/USD
3
Month
LIBOR,
USD
6,670,
06/19/40)
JPMorgan
Chase
Jun
2030
0.00
Call
(1)
6,670
(ÿ)
311
(JP
Morgan,
USD
2.426%/USD
3
Month
LIBOR,
USD
11,026,
03/06/41)
JPMorgan
Chase
Mar
2031
0.00
Call
(1)
11,026
(ÿ)
1,029
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.833%,
USD
6,683,
09/23/54)
Bank
of
America
Sep
2024
0.00
Put
(1)
6,683
(ÿ)
711
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.585%,
USD
10,587,
10/03/54)
Bank
of
America
Oct
2024
0.00
Put
(1)
10,587
(ÿ)
1,461
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.725%,
USD
9,926,
10/04/54)
Bank
of
America
Oct
2024
0.00
Put
(1)
9,926
(ÿ)
1,188
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.985%,
USD
4,269,
01/23/55)
Bank
of
America
Jan
2025
0.00
Put
(1)
4,269
(ÿ)
409
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.025%,
USD
3,152,
06/18/55)
Bank
of
America
Jun
2025
0.00
Put
(1)
3,152
(ÿ)
740
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.250%,
USD
14,580,
06/06/55)
Bank
of
America
Jun
2025
0.00
Put
(1)
14,580
(ÿ)
2,869
(Bank
of
America,
USD
3
Month
LIBOR/
USD
2.090%,
USD
6,899,
06/12/55)
Bank
of
America
Jun
2025
0.00
Put
(1)
6,899
(ÿ)
627
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.550%,
USD
10,852,
09/26/49)
Bank
of
America
Sep
2029
0.00
Put
(1)
10,852
(ÿ)
1,516
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.823%,
USD
10,720,
09/27/49)
Bank
of
America
Sep
2029
0.00
Put
(1)
10,720
(ÿ)
1,244
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.885%,
USD
7,146,
09/21/49)
Bank
of
America
Sep
2029
0.00
Put
(1)
7,146
(ÿ)
794
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.905%,
USD
13,234,
09/21/39)
Bank
of
America
Sep
2029
0.00
Put
(1)
13,234
(ÿ)
872
(Bank
of
America,
USD
3
Month
LIBOR/
USD
2.048%,
USD
19,851,
09/26/39)
Bank
of
America
Sep
2029
0.00
Put
(1)
19,851
(ÿ)
1,193
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.155%,
USD
2,508,
06/19/60)
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
405
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Bank
of
America
Jun
2030
0.00
Put
(1)
2,508
(ÿ)
608
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.155%,
USD
3,905,
06/12/60)
Bank
of
America
Jun
2030
0.00
Put
(1)
3,905
(ÿ)
945
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.250%,
USD
6,291,
06/19/40)
Bank
of
America
Jun
2030
0.00
Put
(1)
6,291
(ÿ)
664
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.275%,
USD
23,152,
09/19/50)
Bank
of
America
Sep
2030
0.00
Put
(1)
23,152
(ÿ)
4,139
(Bank
of
America,
USD
3
Month
LIBOR/
USD
1.345%,
USD
44,009,
09/19/40)
Bank
of
America
Sep
2030
0.00
Put
(1)
44,009
(ÿ)
4,451
(Bank
of
America,
USD
3
Month
LIBOR/
USD
2.150%,
USD
6,899,
06/12/51)
Bank
of
America
Jun
2031
0.00
Put
(1)
6,899
(ÿ)
740
(Bank
of
America,
USD
3
Month
LIBOR/
USD
2.280%,
USD
12,403,
06/12/41)
Bank
of
America
Jun
2031
0.00
Put
(1)
12,403
(ÿ)
775
(Citigroup,
USD
3
Month
LIBOR/USD
0.820%,
USD
46,025,
08/31/26)
Citigroup
Aug
2021
0.00
Put
(1)
46,025
(ÿ)
134
(Citigroup,
USD
3
Month
LIBOR/USD
1.504%,
USD
15,364,
10/01/31)
Citigroup
Sep
2021
0.00
Put
(1)
15,364
(ÿ)
68
(Citigroup,
USD
3
Month
LIBOR/USD
1.794%,
USD
10,587,
10/04/49)
Citigroup
Oct
2029
0.00
Put
(1)
10,587
(ÿ)
1,254
(Citigroup,
USD
3
Month
LIBOR/USD
1.625%,
USD
3,956,
01/24/61)
Citigroup
Jan
2041
0.00
Put
(1)
3,956
(ÿ)
588
(Citigroup,
USD
3
Month
LIBOR/USD
2.215%,
USD
11,044,
03/20/51)
Citigroup
Mar
2041
0.00
Put
(1)
11,044
(ÿ)
828
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.473%,
USD
2,414,
08/11/31)
Goldman
Sachs
Aug
2021
0.00
Put
(1)
2,414
(ÿ)
1
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.569%,
USD
3,441,
09/24/54)
Goldman
Sachs
Sep
2024
0.00
Put
(1)
3,441
(ÿ)
481
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.741%,
USD
9,926,
09/26/54)
Goldman
Sachs
Sep
2024
0.00
Put
(1)
9,926
(ÿ)
1,165
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.776%,
USD
13,234,
10/01/54)
Goldman
Sachs
Sep
2024
0.00
Put
(1)
13,234
(ÿ)
1,499
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.790%,
USD
13,234,
09/27/54)
Goldman
Sachs
Sep
2024
0.00
Put
(1)
13,234
(ÿ)
1,476
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.687%,
USD
9,926,
10/07/54)
Goldman
Sachs
Oct
2024
0.00
Put
(1)
9,926
(ÿ)
1,236
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.736%,
USD
6,617,
10/11/54)
Goldman
Sachs
Oct
2024
0.00
Put
(1)
6,617
(ÿ)
785
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.026%,
USD
2,627,
06/18/55)
Goldman
Sachs
Jun
2025
0.00
Put
(1)
2,627
(ÿ)
617
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.178%,
USD
21,553,
09/19/55)
Goldman
Sachs
Sep
2025
0.00
Put
(1)
21,553
(ÿ)
4,561
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
2.460%,
USD
9,393,
03/23/56)
Goldman
Sachs
Mar
2026
0.00
Put
(1)
9,393
(ÿ)
672
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
2.475%,
USD
6,081,
03/20/56)
Goldman
Sachs
Mar
2026
0.00
Put
(1)
6,081
(ÿ)
429
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.804%,
USD
19,322,
09/27/39)
Goldman
Sachs
Sep
2029
0.00
Put
(1)
19,322
(ÿ)
1,359
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.865%,
USD
19,851,
10/02/39)
Goldman
Sachs
Sep
2029
0.00
Put
(1)
19,851
(ÿ)
1,344
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.920%,
USD
13,234,
09/24/39)
Goldman
Sachs
Sep
2029
0.00
Put
(1)
13,234
(ÿ)
864
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.985%,
USD
16,543,
10/15/39)
Goldman
Sachs
Oct
2029
0.00
Put
(1)
16,543
(ÿ)
1,038
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.325%,
USD
7,936,
06/06/50)
Goldman
Sachs
Jun
2030
0.00
Put
(1)
7,936
(ÿ)
1,371
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.328%,
USD
10,848,
06/12/40)
Goldman
Sachs
Jun
2030
0.00
Put
(1)
10,848
(ÿ)
1,099
(Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.794%,
USD
4,425,
02/05/61)
Goldman
Sachs
Feb
2031
0.00
Put
(1)
4,425
(ÿ)
719
(JP
Morgan,
USD
3
Month
LIBOR/USD
2.051%,
USD
10,587,
09/28/49)
JPMorgan
Chase
Sep
2029
0.00
Put
(1)
10,587
(ÿ)
1,043
(JP
Morgan,
USD
3
Month
LIBOR/USD
1.976%,
USD
9,264,
10/19/49)
JPMorgan
Chase
Oct
2029
0.00
Put
(1)
9,264
(ÿ)
967
(JP
Morgan,
USD
3
Month
LIBOR/USD
2.028%,
USD
4,513,
01/24/50)
JPMorgan
Chase
Jan
2030
0.00
Put
(1)
4,513
(ÿ)
497
(JP
Morgan,
USD
3
Month
LIBOR/USD
1.268%,
USD
2,365,
06/19/40)
JPMorgan
Chase
Jun
2030
0.00
Put
(1)
2,365
(ÿ)
247
(JP
Morgan,
USD
3
Month
LIBOR/USD
1.322%,
USD
6,670,
06/19/40)
JPMorgan
Chase
Jun
2030
0.00
Put
(1)
6,670
(ÿ)
678
(JP
Morgan,
USD
3
Month
LIBOR/USD
2.426%,
USD
11,026,
03/06/41)
JPMorgan
Chase
Mar
2031
0.00
Put
(1)
11,026
(ÿ)
625
Total
Options
Purchased
(cost
$100,267)
100,858
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
406
Multi-Asset
Growth
Strategy
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Warrants
and
Rights
-
0.0%
NewStar
Financial,
Inc.(Æ)(Š)
2021  Warrants
19,324
Total
Warrants
and
Rights
(cost
$—)
Short-Term
Investments
-
19.8%
BlackRock
TCP
Capital
Corp.
4.625%
due
03/01/22
1,479
1,507
Blackstone
Mortgage
Trust,
Inc.
4.375%
due
05/05/22
1,775
1,809
Dycom
Industries,
Inc.
0.750%
due
09/15/21
2,331
2,316
Evolent
Health,
Inc.
2.000%
due
12/01/21
912
1,030
Fortive
Corp.
0.875%
due
02/15/22
(Þ)
2,844
2,847
Golar
LNG,
Ltd.
2.750%
due
02/15/22
585
579
Goldman
Sachs
BDC,
Inc.
4.500%
due
04/01/22
2,418
2,466
Helix
Energy
Solutions
Group,
Inc.
4.250%
due
05/01/22
1,585
1,513
Horizon
Global
Corp.
2.750%
due
07/01/22
317
309
Indonesia
Treasury
Bond
Series
FR61
7.000%
due
05/15/22
INR
9,154,000
652
Ionis
Pharmaceuticals,
Inc.
1.000%
due
11/15/21
1,554
1,556
Jazz
Investments
I,
Ltd.
1.875%
due
08/15/21
1,604
1,601
Mexican
Bonos
Series
M
7.250%
due
12/09/21
MXN
45,546
2,304
New
York
Mortgage
Trust,
Inc.
6.250%
due
01/15/22
1,792
1,810
Newpark
Resources,
Inc.
4.000%
due
12/01/21
783
771
PDC
Energy,
Inc.
1.125%
due
09/15/21
653
647
Pretium
Resources,
Inc.
2.250%
due
03/15/22
1,302
1,311
Scorpio
Tankers,
Inc.
3.000%
due
05/15/22
453
444
Ship
Finance
International,
Ltd.
5.750%
due
10/15/21
8
8
Thailand
Government
Bond
3.650%
due
12/17/21
THB
113,670
3,499
Twitter,
Inc.
1.000%
due
09/15/21
1,458
1,459
Two
Harbors
Investment
Corp.
6.250%
due
01/15/22
175
177
U.S.
Cash
Management
Fund(@)(+)
145,743,059
(∞)
145,713
United
States
Cash
Management
Bills
Series
WI
0.047%
due
10/05/21
(ž)
1,334
1,334
0.047%
due
10/12/21
(ž)
1,305
1,305
0.054%
due
10/19/21
(ž)
3,135
3,135
0.053%
due
10/26/21
(ž)
133
133
0.053%
due
11/02/21
(ž)
1,346
1,346
0.050%
due
11/09/21
(ž)
684
684
United
States
Treasury
Bills
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
0.013%
due
09/02/21
(ç)(ž)
518
518
0.041%
due
09/16/21
(ç)(ž)
545
545
0.044%
due
09/23/21
(ç)(ž)
1,450
1,450
0.050%
due
10/14/21
(ž)
2,610
2,610
0.050%
due
11/04/21
(ž)
450
450
0.050%
due
11/12/21
(ž)
190
190
0.050%
due
11/18/21
(ž)
1,085
1,085
0.047%
due
11/26/21
(ž)
700
700
0.050%
due
12/02/21
(ž)
2,075
2,075
0.052%
due
12/16/21
(ž)
320
320
Series
WI
0.015%
due
09/21/21
(ç)(ž)
30
30
Total
Short-Term
Investments
(cost
$194,144)
194,238
Other
Securities
-
0.5%
U.S.
Cash
Collateral
Fund(@)(×)
5,351,562
(∞)
5,352
Total
Other
Securities
(cost
$5,352)
5,352
Total
Investments
-
111.9%
(identified
cost
$1,021,513)
1,099,965
Other
Assets
and
Liabilities,
Net
-
(11.9)%
(117,146)
Net
Assets
-
100.0%
982,819
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
407
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
3.7%
3SBio,
Inc.
06/11/21
HKD
180,000
1.35
243
150
Aena
SME
SA
03/10/17
EUR
22,721
149.22
3,390
3,619
Alcoa
Corp.
04/23/21
200,000
102.29
205
210
Alteryx,
Inc.
03/16/21
2,269,000
94.67
2,148
2,146
Calpine
Corp.
02/10/21
393,000
97.57
383
378
Carel
Industries
SpA
06/17/20
EUR
15,208
16.89
257
362
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp.
12/01/20
100,000
103.77
104
103
China
Youran
Dairy
Group,
Ltd.
06/25/21
HKD
189,000
0.80
151
108
Clearway
Energy
Operating
LLC
12/04/19
61,000
100.00
61
65
CSC
Holdings
LLC
11/13/20
400,000
97.97
392
380
CTP
NV
06/11/21
EUR
4,839
19.39
94
98
Dino
Polska
SA
01/12/21
PLN
9,171
74.17
680
734
Dominican
Republic
Government
International
Bond
06/08/21
DOP
400,000
1.75
7
7
ESR
Cayman,
Ltd.
11/11/19
HKD
22,800
2.16
49
80
Fortive
Corp.
11/21/19
2,844,000
99.34
2,825
2,847
Granite
Point
06/04/20
1,881,000
93.13
1,752
1,861
Hanesbrands,
Inc.
08/08/19
739,000
104.04
769
797
ICICI
Prudential
Life
Insurance
Co.,
Ltd.
06/11/21
INR
11,142
7.97
89
95
Infrastrutture
Wireless
Italiane
SpA
10/09/20
EUR
72,479
11.11
806
820
Instone
Real
Estate
Group
AG
05/21/19
EUR
5,603
24.54
137
174
Ionis
Pharmaceuticals,
Inc.
04/26/21
2,226,000
92.71
2,064
2,043
IQVIA,
Inc.
02/17/21
EUR
248,000
120.42
299
296
Itau
Unibanco
Holding
SA
01/12/21
200,000
99.69
199
198
JD
Logistics,
Inc.
06/11/21
HKD
150,700
5.63
848
544
JW
(Cayman)
Therapeutics
Co.,
Ltd
06/11/21
HKD
48,500
3.46
168
129
Levi
Strauss
&
Co.
02/02/21
145,000
100.00
145
149
Liberty
Latin
America,
Ltd.
06/05/20
796,000
88.35
703
797
Liberty
Media
Corp.
03/05/21
344,000
102.48
353
358
Lumen
Technologies,
Inc.
06/23/20
100,000
99.36
99
103
MGIC
Investment
Corp.
09/14/20
1,818,000
129.21
2,349
2,386
Momo,
Inc.
07/06/20
431,000
83.04
358
360
Neinor
Homes
SA
07/23/21
EUR
7,187
14.87
107
104
Netcompany
Group
A/S
06/17/20
DKK
11,881
62.67
745
1,470
Novelis
Corp.
01/13/20
281,000
99.11
278
299
Nutanix,
Inc.
05/06/20
1,304,000
92.61
1,208
1,360
NuVasive,
Inc.
12/02/20
84,000
91.89
77
81
On
the
Beach
Group
PLC
06/18/20
GBP
87,062
3.69
321
393
Pharmaron
Beijing
Co.,
Ltd.
06/11/21
HKD
17,600
24.47
431
386
PolyPeptide
Group
AG
05/07/21
CHF
5,989
90.55
542
653
Post
Holdings,
Inc.
02/11/20
52,000
100.06
52
53
Post
Holdings,
Inc.
02/24/21
71,000
100.00
71
72
Seagate
HDD
Cayman
01/15/21
177,000
98.32
174
174
Sealed
Air
Corp.
01/26/21
400,000
105.22
421
427
Shimao
Services
Holdings,
Ltd.
06/11/21
HKD
110,000
2.71
298
255
Siemens
Healthineers
AG
02/05/21
EUR
12,489
59.61
745
825
Stora
Enso
OYJ
03/13/17
200,000
114.43
228
277
Tabula
Rasa
HealthCare,
Inc.
12/02/20
397,000
87.50
347
381
Taylor
Morrison
Communities,
Inc.
04/06/21
185,000
111.99
207
209
TeamViewer
AG
03/05/21
EUR
13,141
48.05
631
442
Tenet
Healthcare
Corp.
08/14/19
421,000
100.66
424
435
TerraForm
Power
Operating
LLC
01/28/20
307,000
103.25
317
323
Weibo
Corp.
03/25/20
817,000
96.04
785
776
Western
Digital
Corp.
04/14/20
1,628,000
95.34
1,552
1,680
Worldline
SA
06/17/20
EUR
10,739
82.77
889
1,005
WuXi
AppTec
Co.,
Ltd.
06/11/21
HKD
28,700
22.03
632
639
Wuxi
Biologics
(Cayman),
Inc.
07/09/21
48,500
17.11
830
740
Yellow
Cake
PLC
07/08/19
GBP
81,402
2.64
215
318
36,174
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
408
Multi-Asset
Growth
Strategy
Fund
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
Australia
10
Year
Government
Bond
Futures
385
AUD
55,978
09/21
1,083
Canadian
10
Year
Government
Bond
Futures
108
CAD
15,985
09/21
358
Dow
Jones
U.S.
Real
Estate
Index
Futures
982
USD
40,753
09/21
804
EURO
STOXX
50
Index
Futures
1,253
EUR
51,223
09/21
(606)
FTSE
100
Index
Futures
649
GBP
45,213
09/21
(1,142)
Japanese
10
Year
Government
Bond
Futures
22
JPY
3,350,599
09/21
135
MSCI
Singapore
Index
Futures
496
SGD
17,898
08/21
219
S&P
500
E-Mini
Index
Futures
48
USD
10,535
09/21
382
SPI
200
Index
Futures
80
AUD
14,600
09/21
19
United
States
10
Year
Treasury
Note
Futures
2,690
USD
361,679
09/21
6,085
Short
Positions
Euro-Bund
Futures
174
EUR
30,723
09/21
(1,019)
Hang
Seng
Index
Futures
53
HKD
68,627
08/21
47
Long
Gilt
Futures
232
GBP
30,111
09/21
(826)
MSCI
Emerging
Markets
Index
Futures
265
USD
16,930
09/21
1,195
NASDAQ
100
E-Mini
Index
Futures
245
USD
73,283
09/21
(4,834)
Russell
2000
E-Mini
Index
Futures
217
USD
24,104
09/21
1,163
S&P/TSX
60
Index
Futures
2
CAD
485
09/21
(6)
TOPIX
Index
Futures
257
JPY
4,895,850
09/21
1,270
United
States
10
Year
Treasury
Note
Futures
24
USD
3,227
09/21
(53)
United
States
Treasury
Ultra
Bond
Futures
7
USD
1,397
09/21
(92)
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
4,182
Options
Written
Amounts
in
thousands
(except
contract
amounts)
Description
Counterparty
Call/Put
Number
of
Contracts
Strike
Price
Notional
Amount
Expiration
Date
Fair
Value
$
Fannie
Mae
Bonds
JPMorgan
Chase
Put
1
103.72
USD
35,000
09/07/21
(89)
Fannie
Mae
Bonds
JPMorgan
Chase
Put
1
104.63
USD
10,000
09/07/21
(20)
Fannie
Mae
Bonds
JPMorgan
Chase
Put
1
105.75
USD
27,000
09/07/21
(30)
Swaption
(Counterparty,
Fund
Receives/Fund
Pays,
Notional,
Termination
Date)
Bank
of
America,
USD
3
Month
LIBOR/
USD
1.235%,
USD
38,275,
03/21/27
Bank
of
America
Call
1
0.00
38,275
03/19/25
(320)
Bank
of
America,
USD
3
Month
LIBOR/
USD
2.573%,
USD
11,403,
03/30/36
Bank
of
America
Call
1
0.00
11,403
03/26/26
(1,098)
Bank
of
America,
USD
3
Month
LIBOR/
USD
0.920%,
USD
4,827,
03/27/40
Bank
of
America
Call
2
0.00
9,654
03/25/30
(284)
Bank
of
America,
USD
3
Month
LIBOR/
USD
1.605%,
USD
8,013,
11/14/50
Bank
of
America
Call
1
0.00
8,013
11/12/30
(727)
Bank
of
America,
USD
3
Month
LIBOR/
USD
1.660%,
USD
10,311,
11/14/50
Bank
of
America
Call
1
0.00
10,311
11/12/30
(974)
Bank
of
America,
USD
3
Month
LIBOR/
USD
1.680%,
USD
15,083,
11/14/40
Bank
of
America
Call
1
0.00
15,083
11/12/30
(802)
Citigroup,
USD
3
Month
LIBOR/USD
1.518%,
USD
7,541,
11/14/55
Citigroup
Call
1
0.00
7,541
11/12/25
(725)
Citigroup,
USD
3
Month
LIBOR/USD
1.918%,
USD
4,762,
01/24/51
Citigroup
Call
1
0.00
4,762
01/22/31
(595)
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
409
Options
Written
Amounts
in
thousands
(except
contract
amounts)
Description
Counterparty
Call/Put
Number
of
Contracts
Strike
Price
Notional
Amount
Expiration
Date
Fair
Value
$
Goldman
Sachs,
USD
3
Month
LIBOR/
USD
1.570%,
USD
9,653,
11/12/55
Goldman
Sachs
Call
1
0.00
9,653
11/10/25
(951)
Goldman
Sachs,
USD
3
Month
LIBOR/
USD
2.170%,
USD
41,954,
03/04/56
Goldman
Sachs
Call
1
0.00
41,953
03/02/26
(7,507)
Goldman
Sachs,
USD
3
Month
LIBOR/
USD
0.905%,
USD
15,265,
03/28/40
Goldman
Sachs
Call
1
0.00
15,265
03/26/30
(444)
Goldman
Sachs,
USD
3
Month
LIBOR/
USD
2.483%,
USD
114,808,
04/17/41
Goldman
Sachs
Call
1
0.00
114,807
04/15/31
(10,327)
Goldman
Sachs,
USD
3
Month
LIBOR/
USD
2.390%,
USD
5,641,
04/30/41
Goldman
Sachs
Call
1
0.00
5,641
04/28/31
(520)
JP
Morgan,
USD
3
Month
LIBOR/USD
0.928%,
USD
62,257,
03/31/28
JPMorgan
Chase
Call
1
0.00
62,256
03/25/27
(201)
JP
Morgan,
USD
3
Month
LIBOR/USD
1.744%,
USD
19,305,
11/14/40
JPMorgan
Chase
Call
1
0.00
19,305
11/12/30
(1,074)
JP
Morgan,
USD
3
Month
LIBOR/USD
1.895%,
USD
26,925,
07/09/41
JPMorgan
Chase
Call
1
0.00
26,925
07/07/31
(1,870)
Morgan
Stanley,
USD
3
Month
LIBOR/
USD
0.883%,
USD
7,676,
03/27/40
Morgan
Stanley
Call
1
0.00
7,676
03/25/30
(219)
Morgan
Stanley,
USD
3
Month
LIBOR/
USD
0.895%,
USD
7,676,
03/27/40
Morgan
Stanley
Call
1
0.00
7,676
03/25/30
(221)
UBS,
USD
3
Month
LIBOR/USD
0.845%,
USD
38,382,
03/27/26
UBS
Call
1
0.00
38,382
03/25/25
(109)
Bank
of
America,
USD
1.235%/USD
3
Month
LIBOR,
USD
38,275,
03/21/27
Bank
of
America
Put
1
0.00
38,275
03/19/25
(452)
Bank
of
America,
USD
2.573%/USD
3
Month
LIBOR,
USD
11,403,
03/30/36
Bank
of
America
Put
1
0.00
11,403
03/26/26
(346)
Bank
of
America,
USD
0.920%/USD
3
Month
LIBOR,
USD
4,827,
03/27/40
Bank
of
America
Put
2
0.00
9,654
03/25/30
(1,144)
Bank
of
America,
USD
1.605%/USD
3
Month
LIBOR,
USD
8,013,
11/14/50
Bank
of
America
Put
1
0.00
8,013
11/12/30
(1,091)
Bank
of
America,
USD
1.660%/USD
3
Month
LIBOR,
USD
10,311,
11/14/50
Bank
of
America
Put
1
0.00
10,311
11/12/30
(1,355)
Bank
of
America,
USD
1.680%/USD
3
Month
LIBOR,
USD
15,083,
11/14/40
Bank
of
America
Put
1
0.00
15,083
11/12/30
(1,183)
Citigroup,
USD
1.518%/USD
3
Month
LIBOR,
USD
7,541,
11/14/55
Citigroup
Put
1
0.00
7,541
11/12/25
(1,219)
Citigroup,
USD
1.918%/USD
3
Month
LIBOR,
USD
4,762,
01/24/51
Citigroup
Put
1
0.00
4,762
01/22/31
(580)
Goldman
Sachs,
USD
1.570%/USD
3
Month
LIBOR,
USD
9,653,
11/12/55
Goldman
Sachs
Put
1
0.00
9,653
11/10/25
(1,466)
Goldman
Sachs,
USD
2.170%/USD
3
Month
LIBOR,
USD
41,954,
03/04/56
Goldman
Sachs
Put
1
0.00
41,953
03/02/26
(3,905)
Goldman
Sachs,
USD
0.905%/USD
3
Month
LIBOR,
USD
15,265,
03/28/40
Goldman
Sachs
Put
1
0.00
15,265
03/26/30
(1,826)
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
410
Multi-Asset
Growth
Strategy
Fund
Options
Written
Amounts
in
thousands
(except
contract
amounts)
Description
Counterparty
Call/Put
Number
of
Contracts
Strike
Price
Notional
Amount
Expiration
Date
Fair
Value
$
Goldman
Sachs,
USD
2.483%/USD
3
Month
LIBOR,
USD
114,808,
04/17/41
Goldman
Sachs
Put
1
0.00
114,807
04/15/31
(5,596)
Goldman
Sachs,
USD
2.390%/USD
3
Month
LIBOR,
USD
5,641,
04/30/41
Goldman
Sachs
Put
1
0.00
5,641
04/28/31
(330)
JP
Morgan,
USD
0.928%/USD
3
Month
LIBOR,
USD
62,257,
03/31/28
JPMorgan
Chase
Put
1
0.00
62,257
03/25/27
(614)
JP
Morgan,
USD
1.744%/USD
3
Month
LIBOR,
USD
19,305,
11/14/40
JPMorgan
Chase
Put
1
0.00
19,305
11/12/30
(1,457)
JP
Morgan,
USD
1.895%/USD
3
Month
LIBOR,
USD
26,925,
07/09/41
JPMorgan
Chase
Put
1
0.00
26,925
07/07/31
(2,073)
Morgan
Stanley,
USD
0.883%/USD
3
Month
LIBOR,
USD
7,676,
03/27/40
Morgan
Stanley
Put
1
0.00
7,676
03/25/30
(927)
Morgan
Stanley,
USD
0.895%/USD
3
Month
LIBOR,
USD
7,676,
03/27/40
Morgan
Stanley
Put
1
0.00
7,676
03/25/30
(921)
UBS,
USD
0.845%/USD
3
Month
LIBOR,
USD
38,382,
03/27/26
UBS
Put
1
0.00
38,382
03/25/25
(286)
Total
Liability
for
Options
Written
(premiums
received
$53,025)
(55,878)
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
USD
386
GBP
278
08/03/21
Bank
of
America
USD
12
HKD
95
08/02/21
Bank
of
America
USD
671
HKD
5,217
08/03/21
Bank
of
America
USD
102
JPY
11,203
08/03/21
Bank
of
America
USD
106
SGD
143
08/03/21
Bank
of
America
AUD
1,516
USD
1,139
08/06/21
27
Bank
of
America
CAD
1,996
USD
1,614
08/06/21
14
Bank
of
America
CHF
315
USD
347
08/03/21
Bank
of
America
CHF
1,187
USD
1,287
08/06/21
(24)
Bank
of
America
EUR
287
USD
340
08/03/21
Bank
of
America
EUR
4,354
USD
5,177
08/06/21
11
Bank
of
America
GBP
1,593
USD
2,203
08/06/21
(12)
Bank
of
America
HKD
16,772
USD
2,160
08/06/21
2
Bank
of
America
JPY
391,574
USD
3,539
08/06/21
(30)
Bank
of
Montreal
AUD
1,516
USD
1,140
08/06/21
28
Bank
of
Montreal
CAD
1,996
USD
1,612
08/06/21
12
Bank
of
Montreal
CHF
1,187
USD
1,288
08/06/21
(22)
Bank
of
Montreal
CHF
850
USD
951
09/15/21
12
Bank
of
Montreal
DKK
11,829
USD
1,942
09/15/21
53
Bank
of
Montreal
EUR
4,354
USD
5,179
08/06/21
14
Bank
of
Montreal
EUR
688
USD
840
09/15/21
23
Bank
of
Montreal
GBP
1,593
USD
2,204
08/06/21
(11)
Bank
of
Montreal
GBP
1,001
USD
1,415
09/15/21
23
Bank
of
Montreal
HKD
16,772
USD
2,160
08/06/21
2
Bank
of
Montreal
JPY
391,574
USD
3,542
08/06/21
(27)
Bank
of
Montreal
JPY
323,200
USD
2,951
09/15/21
4
Bank
of
Montreal
SEK
8,244
USD
999
09/15/21
41
Bank
of
New
York
USD
1,105
AUD
1,493
08/06/21
(9)
Bank
of
New
York
USD
1,584
CAD
1,971
08/06/21
(4)
Bank
of
New
York
USD
1,335
CHF
1,209
08/06/21
Bank
of
New
York
USD
5,093
EUR
4,285
08/06/21
(10)
Bank
of
New
York
USD
2,173
GBP
1,555
08/06/21
(12)
Bank
of
New
York
USD
2,103
HKD
16,346
08/06/21
Bank
of
New
York
USD
3,485
JPY
381,959
08/06/21
(3)
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
411
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
New
York
USD
4
NZD
6
09/09/21
Bank
of
New
York
USD
178
NZD
255
09/09/21
(1)
Bank
of
New
York
USD
9,395
NZD
12,869
09/09/21
(431)
Bank
of
New
York
AUD
1,516
USD
1,140
08/06/21
28
Bank
of
New
York
AUD
1,493
USD
1,105
09/09/21
9
Bank
of
New
York
CAD
1,996
USD
1,613
08/06/21
13
Bank
of
New
York
CAD
1,971
USD
1,584
09/09/21
4
Bank
of
New
York
CHF
1,187
USD
1,289
08/06/21
(21)
Bank
of
New
York
CHF
1,209
USD
1,336
09/09/21
Bank
of
New
York
CHF
850
USD
954
09/15/21
14
Bank
of
New
York
DKK
11,829
USD
1,946
09/15/21
58
Bank
of
New
York
EUR
4,354
USD
5,183
08/06/21
17
Bank
of
New
York
EUR
4,285
USD
5,096
09/09/21
9
Bank
of
New
York
EUR
688
USD
842
09/15/21
25
Bank
of
New
York
GBP
1,593
USD
2,203
08/06/21
(11)
Bank
of
New
York
GBP
1,555
USD
2,173
09/09/21
12
Bank
of
New
York
GBP
1,001
USD
1,417
09/15/21
25
Bank
of
New
York
HKD
16,772
USD
2,160
08/06/21
2
Bank
of
New
York
HKD
16,346
USD
2,103
09/09/21
Bank
of
New
York
JPY
391,574
USD
3,547
08/06/21
(23)
Bank
of
New
York
JPY
381,959
USD
3,485
09/09/21
3
Bank
of
New
York
JPY
323,200
USD
2,960
09/15/21
13
Bank
of
New
York
NZD
22
USD
16
09/09/21
1
Bank
of
New
York
SEK
8,244
USD
1,001
09/15/21
43
Citigroup
USD
47
CAD
58
09/09/21
Citigroup
USD
41
CHF
37
09/09/21
Citigroup
USD
41
EUR
34
09/09/21
Citigroup
USD
5
GBP
4
09/09/21
Citigroup
USD
31
GBP
22
09/09/21
Citigroup
USD
5,061
GBP
3,569
09/09/21
(99)
Citigroup
USD
966
HKD
7,504
09/09/21
Citigroup
USD
351
JPY
38,456
09/09/21
Citigroup
USD
43
SGD
58
09/09/21
Citigroup
AUD
2
USD
2
09/09/21
Citigroup
CHF
850
USD
952
09/15/21
12
Citigroup
DKK
11,829
USD
1,942
09/15/21
55
Citigroup
EUR
688
USD
840
09/15/21
23
Citigroup
GBP
3,591
USD
5,019
09/09/21
27
Citigroup
GBP
1,001
USD
1,414
09/15/21
22
Citigroup
JPY
323,200
USD
2,952
09/15/21
5
Citigroup
NOK
280
USD
33
09/09/21
1
Citigroup
NOK
647
USD
77
09/09/21
4
Citigroup
NOK
1,234
USD
141
09/09/21
1
Citigroup
NOK
41,419
USD
4,968
09/09/21
280
Citigroup
SEK
708
USD
82
09/09/21
Citigroup
SEK
8,244
USD
999
09/15/21
41
Commonwealth
Bank
of
Australia
AUD
60
USD
45
09/09/21
1
Commonwealth
Bank
of
Australia
AUD
84
USD
64
09/09/21
3
Commonwealth
Bank
of
Australia
AUD
89
USD
66
09/09/21
1
Commonwealth
Bank
of
Australia
AUD
6,428
USD
4,980
09/09/21
262
HSBC
USD
177
BRL
906
08/03/21
(3)
HSBC
USD
704
BRL
3,606
08/03/21
(12)
HSBC
USD
2,039
BRL
10,445
08/03/21
(34)
HSBC
USD
2,635
BRL
14,957
08/03/21
237
HSBC
USD
47
BRL
247
11/03/21
HSBC
USD
2,044
BRL
10,445
11/03/21
(64)
HSBC
USD
70
CNY
455
09/10/21
HSBC
USD
3,634
CNY
23,764
09/10/21
37
HSBC
USD
7
CZK
154
09/07/21
HSBC
USD
65
CZK
1,412
09/07/21
1
HSBC
USD
110
EUR
93
08/17/21
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
412
Multi-Asset
Growth
Strategy
Fund
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
HSBC
USD
1,500
HKD
11,651
09/13/21
(1)
HSBC
USD
1,465
HUF
439,766
09/07/21
(12)
HSBC
USD
141
MXN
2,824
08/09/21
1
HSBC
USD
512
MXN
10,167
08/09/21
(2)
HSBC
USD
823
MXN
16,354
08/09/21
(2)
HSBC
USD
370
PEN
1,376
08/12/21
(31)
HSBC
USD
90
PHP
4,377
09/07/21
(3)
HSBC
USD
180
PLN
685
09/21/21
(2)
HSBC
USD
1,185
PLN
4,394
09/21/21
(45)
HSBC
USD
1,277
PLN
4,731
09/21/21
(49)
HSBC
USD
97
RUB
7,346
09/07/21
3
HSBC
USD
110
RUB
8,256
09/07/21
2
HSBC
USD
10
ZAR
148
08/30/21
HSBC
USD
190
ZAR
2,708
08/30/21
(6)
HSBC
BRL
906
USD
180
08/03/21
6
HSBC
BRL
3,606
USD
630
08/03/21
(62)
HSBC
BRL
10,445
USD
2,069
08/03/21
64
HSBC
BRL
14,957
USD
2,920
08/03/21
49
HSBC
CLP
50,300
USD
70
08/30/21
4
HSBC
CLP
95,685
USD
133
08/30/21
7
HSBC
CLP
100,568
USD
140
08/30/21
8
HSBC
CLP
133,661
USD
189
08/30/21
13
HSBC
CLP
137,819
USD
194
08/30/21
13
HSBC
CLP
461,909
USD
657
08/30/21
48
HSBC
COP
4,978,038
USD
1,309
11/08/21
32
HSBC
CZK
24,225
USD
1,127
09/07/21
1
HSBC
IDR
26,953,254
USD
1,852
09/20/21
(6)
HSBC
MXN
2,600
USD
130
08/09/21
(1)
HSBC
MXN
13,351
USD
653
08/09/21
(17)
HSBC
MXN
13,394
USD
655
08/09/21
(17)
HSBC
MXN
16,354
USD
809
12/02/21
2
HSBC
PEN
2,506
USD
696
08/12/21
79
HSBC
RON
1,984
USD
475
11/08/21
(2)
HSBC
RUB
5,505
USD
72
09/07/21
(3)
HSBC
THB
68,179
USD
2,115
11/08/21
41
HSBC
ZAR
3,150
USD
216
08/30/21
2
JPMorgan
Chase
USD
1,104
AUD
1,493
08/06/21
(8)
JPMorgan
Chase
USD
1,582
CAD
1,971
08/06/21
(2)
JPMorgan
Chase
USD
1,332
CHF
1,209
08/06/21
3
JPMorgan
Chase
USD
5,092
EUR
4,285
08/06/21
(8)
JPMorgan
Chase
USD
2,170
GBP
1,555
08/06/21
(9)
JPMorgan
Chase
USD
2,103
HKD
16,346
08/06/21
JPMorgan
Chase
USD
3,478
JPY
381,959
08/06/21
4
JPMorgan
Chase
AUD
1,493
USD
1,104
09/09/21
8
JPMorgan
Chase
CAD
1,971
USD
1,581
09/09/21
2
JPMorgan
Chase
CHF
1,209
USD
1,333
09/09/21
(3)
JPMorgan
Chase
CHF
850
USD
951
09/15/21
12
JPMorgan
Chase
DKK
11,829
USD
1,942
09/15/21
54
JPMorgan
Chase
EUR
4,285
USD
5,095
09/09/21
8
JPMorgan
Chase
EUR
688
USD
840
09/15/21
23
JPMorgan
Chase
GBP
1,555
USD
2,170
09/09/21
9
JPMorgan
Chase
GBP
1,001
USD
1,415
09/15/21
23
JPMorgan
Chase
HKD
16,346
USD
2,103
09/09/21
JPMorgan
Chase
JPY
381,959
USD
3,479
09/09/21
(4)
JPMorgan
Chase
JPY
323,200
USD
2,951
09/15/21
4
JPMorgan
Chase
SEK
8,244
USD
999
09/15/21
40
Northern
Trust
EUR
120
USD
146
09/15/21
3
Royal
Bank
of
Canada
USD
1,103
AUD
1,493
08/06/21
(7)
Royal
Bank
of
Canada
USD
1,580
CAD
1,971
08/06/21
Royal
Bank
of
Canada
USD
45
CAD
56
09/09/21
Royal
Bank
of
Canada
USD
5,025
CAD
6,254
09/09/21
(12)
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
413
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Royal
Bank
of
Canada
USD
14,665
CAD
17,712
09/09/21
(467)
Royal
Bank
of
Canada
USD
1,333
CHF
1,209
08/06/21
2
Royal
Bank
of
Canada
USD
594
EUR
501
08/03/21
Royal
Bank
of
Canada
USD
5,093
EUR
4,285
08/06/21
(10)
Royal
Bank
of
Canada
USD
2,173
GBP
1,555
08/06/21
(12)
Royal
Bank
of
Canada
USD
2,104
HKD
16,346
08/06/21
Royal
Bank
of
Canada
USD
3,480
JPY
381,959
08/06/21
2
Royal
Bank
of
Canada
USD
36
JPY
3,937
09/09/21
Royal
Bank
of
Canada
USD
70
JPY
7,654
09/09/21
Royal
Bank
of
Canada
USD
4,942
JPY
541,938
09/09/21
Royal
Bank
of
Canada
AUD
1,516
USD
1,139
08/06/21
27
Royal
Bank
of
Canada
AUD
1,493
USD
1,103
09/09/21
7
Royal
Bank
of
Canada
CAD
72
USD
58
08/03/21
Royal
Bank
of
Canada
CAD
1,996
USD
1,612
08/06/21
12
Royal
Bank
of
Canada
CAD
1,971
USD
1,580
09/09/21
Royal
Bank
of
Canada
CAD
6,372
USD
5,274
09/09/21
167
Royal
Bank
of
Canada
CHF
1,187
USD
1,289
08/06/21
(22)
Royal
Bank
of
Canada
CHF
1,209
USD
1,334
09/09/21
(2)
Royal
Bank
of
Canada
CHF
850
USD
955
09/15/21
15
Royal
Bank
of
Canada
DKK
11,829
USD
1,946
09/15/21
58
Royal
Bank
of
Canada
EUR
4,354
USD
5,182
08/06/21
17
Royal
Bank
of
Canada
EUR
4,285
USD
5,096
09/09/21
10
Royal
Bank
of
Canada
EUR
100
USD
118
09/15/21
Royal
Bank
of
Canada
EUR
688
USD
842
09/15/21
25
Royal
Bank
of
Canada
EUR
5,900
USD
7,163
09/15/21
158
Royal
Bank
of
Canada
GBP
1,593
USD
2,203
08/06/21
(12)
Royal
Bank
of
Canada
GBP
1,555
USD
2,173
09/09/21
12
Royal
Bank
of
Canada
GBP
1,001
USD
1,418
09/15/21
25
Royal
Bank
of
Canada
HKD
16,772
USD
2,160
08/06/21
2
Royal
Bank
of
Canada
HKD
16,346
USD
2,104
09/09/21
Royal
Bank
of
Canada
JPY
391,574
USD
3,545
08/06/21
(25)
Royal
Bank
of
Canada
JPY
13,698
USD
125
09/09/21
Royal
Bank
of
Canada
JPY
381,959
USD
3,480
09/09/21
(2)
Royal
Bank
of
Canada
JPY
323,200
USD
2,961
09/15/21
13
Royal
Bank
of
Canada
SEK
4,397
USD
511
08/03/21
Royal
Bank
of
Canada
SEK
8,244
USD
1,002
09/15/21
44
State
Street
USD
68
AUD
90
08/06/21
(1)
State
Street
USD
1,432
AUD
1,851
09/15/21
(73)
State
Street
USD
81
CAD
101
08/06/21
(1)
State
Street
USD
331
EUR
279
08/06/21
State
Street
USD
11
EUR
9
09/09/21
State
Street
USD
24
EUR
20
09/09/21
State
Street
USD
213
GBP
154
08/06/21
1
State
Street
USD
219
HKD
1,703
08/06/21
State
Street
USD
346
JPY
38,457
08/06/21
4
State
Street
USD
56
SEK
476
08/06/21
State
Street
USD
3,040
SEK
25,993
08/06/21
(21)
State
Street
USD
SEK
4
09/09/21
State
Street
USD
97
SGD
130
08/06/21
(1)
State
Street
USD
1,866
SGD
2,524
08/06/21
(3)
State
Street
USD
6
TWD
163
08/06/21
State
Street
CAD
1,957
USD
1,619
09/15/21
50
State
Street
CHF
89
USD
96
08/06/21
(2)
State
Street
DKK
255,971
USD
40,874
09/15/21
24
State
Street
EUR
48
USD
57
09/09/21
State
Street
EUR
3,545
USD
4,334
09/09/21
125
State
Street
EUR
5,900
USD
7,162
09/15/21
157
State
Street
GBP
1,900
USD
2,681
09/15/21
40
State
Street
HKD
777
USD
100
09/15/21
State
Street
KRW
429
USD
08/06/21
State
Street
SEK
26,469
USD
3,107
08/06/21
32
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
414
Multi-Asset
Growth
Strategy
Fund
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
State
Street
SEK
16
USD
2
09/09/21
State
Street
SEK
828
USD
97
09/09/21
1
State
Street
SEK
25,993
USD
3,041
09/09/21
21
State
Street
SEK
77,751
USD
9,390
09/09/21
357
State
Street
SGD
2,654
USD
1,974
08/06/21
15
State
Street
SGD
2,524
USD
1,866
09/09/21
3
State
Street
TWD
114,661
USD
4,120
08/06/21
20
UBS
USD
1,105
AUD
1,493
08/06/21
(9)
UBS
USD
1,582
CAD
1,971
08/06/21
(2)
UBS
USD
1,332
CHF
1,209
08/06/21
2
UBS
USD
137
CHF
123
09/09/21
(1)
UBS
USD
264
CHF
239
09/09/21
UBS
USD
5,091
EUR
4,285
08/06/21
(8)
UBS
USD
2,171
GBP
1,555
08/06/21
(10)
UBS
USD
2,104
HKD
16,346
08/06/21
UBS
USD
3,483
JPY
381,959
08/06/21
(1)
UBS
USD
3,743
KRW
4,307,669
08/06/21
1
UBS
USD
101
KRW
116,475
09/09/21
UBS
USD
4,100
TWD
114,498
08/06/21
(5)
UBS
USD
88
TWD
2,443
09/09/21
UBS
AUD
1,493
USD
1,105
09/09/21
9
UBS
CAD
1,971
USD
1,582
09/09/21
2
UBS
CHF
174
USD
189
09/09/21
(3)
UBS
CHF
1,209
USD
1,333
09/09/21
(2)
UBS
CHF
13,031
USD
14,550
09/09/21
151
UBS
EUR
4,285
USD
5,094
09/09/21
7
UBS
GBP
1,555
USD
2,171
09/09/21
10
UBS
HKD
16,346
USD
2,104
09/09/21
UBS
JPY
381,959
USD
3,483
09/09/21
1
UBS
KRW
4,307,240
USD
3,812
08/06/21
67
UBS
KRW
4,307,669
USD
3,741
09/09/21
(1)
UBS
TWD
114,498
USD
4,104
09/09/21
10
Total
Unrealized
Appreciation
(Depreciation)
on
Open
Foreign
Currency
Exchange
Contracts
(å)
1,956
Total
Return
Swap
Contracts
Amounts
in
thousands
Underlying
Reference
Entity
Counterparty
Notional
Amount
Terms
Termination
Date
Premiums
Paid
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Long
Goldman
Sachs
ABGS1150
Commodity
Index(+)(i)
Goldman
Sachs
USD
51,672
Total
Return
on
Underlying
Reference
Entity
(5)
08/06/21
(1,095)
(1,095)
Total
Open
Total
Return
Swap
Contracts
(å)
(1,095)
(1,095)
(i)  The
following
table
represents
the
individual
commodity
positions
underlying
the
Goldman
Sachs
ABGS1150
Commodity
Index
swap
contract:
Amounts
in
thousands
Referenced
Commodity
Futures
Contracts
%
of
Index
Notional
Amount*
Long
Futures
Contracts
Brent
Oil
January
2022
12.4
$
6,460
Cotton
December
2021
12.4
6,460
Crude
Oil
November
2021
6.3
3,229
Crude
Oil
January
2022
6.3
3,229
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
415
Lean
Hogs
December
2021
12.4
6,460
Natural
Gas
(NYMEX)
November
2021
6.3
3,229
Natural
Gas
(NYMEX)
January
2022
6.3
3,229
Soybeans
Oil
December
2021
6.3
3,229
Soybeans
Oil
January
2022
6.3
3,229
Sugar
March
2022
12.4
6,460
Unleaded
Gasoline
November
2021
6.3
3,229
Unleaded
Gasoline
January
2022
6.3
3,229
Total
Long
Futures
Contracts
51,672
Short
Futures
Contracts
Coffee
December
2021
(12.4)
$
(6,459)
Copper
December
2021
(12.5)
(6,459)
Gold
December
2021
(12.5)
(6,459)
Kansas
Wheat
December
2021
(12.5)
(6,459)
Live
Cattle
December
2021
(12.5)
(6,459)
Nickel
November
2021
(6.3)
(3,229)
Nickel
January
2022
(6.3)
(3,229)
Silver
December
2021
(12.5)
(6,459)
Wheat
December
2021
(12.5)
(6,460)
Total
Short
Futures
Contracts
(51,672)
Cash
51,672
Total
Notional
Amount
100.0
$
51,672
(*)  The
notional
amount
is
indicative
of
the
quantity
and
proportionate
value
of
each
commodity
futures
contract.
Interest
Rate
Swap
Contracts
Amounts
in
thousands
Counterparty
Notional
Amount
Fund
Receives
Fund
Pays
Termination
Date
Premiums
Paid
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Barclays
USD
33,404
Three
Month
LIBOR
(2)
0.312%
(3)
06/22/23
5
(47)
(42)
Barclays
USD
33,404
0.312%
(2)
Three
Month
LIBOR
(2)
06/22/23
42
42
Barclays
USD
65,807
0.305%
(2)
Three
Month
LIBOR
(2)
06/24/23
73
73
Barclays
USD
65,807
Three
Month
LIBOR
(2)
0.305%
(3)
06/24/23
22
(95)
(73)
Barclays
USD
807
0.296%
(2)
Three
Month
LIBOR
(2)
07/09/23
1
1
Barclays
USD
17,848
Three
Month
LIBOR
(2)
0.286%
(3)
07/12/23
(12)
(12)
Barclays
USD
141,190
Three
Month
LIBOR
(2)
0.300%
(3)
09/15/23
268
(296)
(28)
Barclays
USD
16,654
0.350%
(2)
Three
Month
LIBOR
(2)
07/06/25
(183)
(183)
Barclays
USD
5,009
0.300%
(2)
Three
Month
LIBOR
(2)
07/14/25
(66)
(66)
Barclays
USD
3,564
0.277%
(2)
Three
Month
LIBOR
(2)
08/12/25
(53)
(53)
Barclays
USD
4,556
Three
Month
LIBOR
(2)
0.344%
(3)
10/13/25
63
63
Barclays
USD
4,816
Three
Month
LIBOR
(2)
0.410%
(3)
10/13/25
53
53
Barclays
USD
4,816
Three
Month
LIBOR
(2)
0.471%
(3)
11/16/25
44
44
Barclays
USD
4,925
0.428%
(2)
Three
Month
LIBOR
(2)
12/16/25
(58)
(58)
Barclays
USD
4,635
Three
Month
LIBOR
(2)
0.562%
(3)
01/13/26
31
31
Barclays
USD
975
Three
Month
LIBOR
(2)
0.584%
(3)
02/10/26
6
6
Barclays
USD
2,595
Three
Month
LIBOR
(2)
0.597%
(3)
02/17/26
31
(16)
15
Barclays
USD
4,828
Three
Month
LIBOR
(2)
0.600%
(3)
03/09/26
29
29
Barclays
USD
4,828
Three
Month
LIBOR
(2)
1.045%
(3)
04/15/26
(67)
(67)
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
416
Multi-Asset
Growth
Strategy
Fund
Interest
Rate
Swap
Contracts
Amounts
in
thousands
Counterparty
Notional
Amount
Fund
Receives
Fund
Pays
Termination
Date
Premiums
Paid
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Barclays
USD
209,583
Three
Month
LIBOR
(2)
0.615%
(3)
04/15/26
3,845
(2,550)
1,295
Barclays
USD
209,583
0.615%
(2)
Three
Month
LIBOR
(2)
04/15/26
(3,994)
2,699
(1,295)
Barclays
USD
16,708
Three
Month
LIBOR
(2)
0.966%
(3)
04/27/26
(168)
(168)
Barclays
USD
16,708
0.891%
(2)
Three
Month
LIBOR
(2)
05/04/26
107
107
Barclays
USD
22,576
0.857%
(2)
Three
Month
LIBOR
(2)
06/04/26
98
98
Barclays
USD
9,292
Three
Month
LIBOR
(2)
0.934%
(3)
06/24/26
8
(80)
(72)
Barclays
USD
9,292
0.934%
(2)
Three
Month
LIBOR
(2)
06/24/26
72
72
Barclays
USD
200,439
Three
Month
LIBOR
(2)
1.080%
(3)
07/01/26
(2,956)
(2,956)
Barclays
USD
200,439
1.080%
(2)
Three
Month
LIBOR
(2)
07/01/26
1,163
1,793
2,956
Barclays
USD
20,624
Three
Month
LIBOR
(2)
0.963%
(3)
07/06/26
(185)
(185)
Barclays
USD
16,566
Three
Month
LIBOR
(2)
0.858%
(3)
07/09/26
(63)
(63)
Barclays
USD
10,178
0.892%
(2)
Three
Month
LIBOR
(2)
07/16/26
55
55
Barclays
USD
5,923
Three
Month
LIBOR
(2)
0.884%
(3)
07/20/26
(29)
(29)
Barclays
USD
10,317
Three
Month
LIBOR
(2)
0.790%
(3)
07/21/26
(3)
(3)
Barclays
USD
10,317
Three
Month
LIBOR
(2)
0.792%
(3)
07/21/26
(4)
(4)
Barclays
USD
5,060
0.726%
(2)
Three
Month
LIBOR
(2)
07/22/26
(15)
(15)
Barclays
USD
6,441
0.814%
(2)
Three
Month
LIBOR
(2)
07/27/26
9
9
Barclays
USD
45,334
0.806%
(2)
Three
Month
LIBOR
(2)
08/04/26
34
34
Barclays
USD
78,348
Three
Month
LIBOR
(2)
0.950%
(3)
09/15/26
306
(802)
(496)
Barclays
USD
2,312
0.645%
(2)
Three
Month
LIBOR
(2)
07/15/30
(108)
(108)
Barclays
USD
33,308
0.556%
(2)
Three
Month
LIBOR
(2)
08/05/30
(1,835)
(1,835)
Barclays
USD
33,308
Three
Month
LIBOR
(2)
0.564%
(3)
09/08/30
1,849
1,849
Barclays
USD
31,087
Three
Month
LIBOR
(2)
0.717%
(3)
10/07/30
1,333
1,333
Barclays
USD
33,308
Three
Month
LIBOR
(2)
0.724%
(3)
11/04/30
1,434
1,434
Barclays
USD
798
Three
Month
LIBOR
(2)
1.212%
(3)
02/16/31
1
1
Barclays
USD
353
Three
Month
LIBOR
(2)
1.366%
(3)
02/22/31
(5)
(5)
Barclays
USD
276
Three
Month
LIBOR
(2)
1.426%
(3)
02/24/31
(5)
(5)
Barclays
USD
294
Three
Month
LIBOR
(2)
1.519%
(3)
03/02/31
(8)
(8)
Barclays
USD
42,098
1.609%
(2)
Three
Month
LIBOR
(2)
03/08/31
1,487
1,487
Barclays
USD
2,414
Three
Month
LIBOR
(2)
1.525%
(3)
03/15/31
(66)
(66)
Barclays
USD
898
Three
Month
LIBOR
(2)
1.165%
(3)
04/15/31
6
6
Barclays
USD
2,414
1.465%
(2)
Three
Month
LIBOR
(2)
04/15/31
52
52
Barclays
USD
28,367
Three
Month
LIBOR
(2)
1.538%
(3)
04/19/31
(803)
(803)
Barclays
USD
2,414
Three
Month
LIBOR
(2)
1.702%
(3)
04/21/31
(106)
(106)
Barclays
USD
20,439
1.655%
(2)
Three
Month
LIBOR
(2)
05/04/31
802
802
Barclays
USD
11,288
1.591%
(2)
Three
Month
LIBOR
(2)
05/05/31
375
375
Barclays
USD
2,414
1.573%
(2)
Three
Month
LIBOR
(2)
05/17/31
76
76
Barclays
USD
2,414
1.644%
(2)
Three
Month
LIBOR
(2)
05/21/31
92
92
Barclays
USD
6,301
Three
Month
LIBOR
(2)
1.612%
(3)
05/27/31
(221)
(221)
Barclays
USD
11,332
1.465%
(2)
Three
Month
LIBOR
(2)
06/14/31
237
237
Barclays
USD
2,414
1.558%
(2)
Three
Month
LIBOR
(2)
06/16/31
72
72
Barclays
USD
15,278
Three
Month
LIBOR
(2)
1.401%
(3)
06/22/31
62
(286)
(224)
Barclays
USD
15,278
1.401%
(2)
Three
Month
LIBOR
(2)
06/22/31
224
224
Barclays
USD
2,414
1.450%
(2)
Three
Month
LIBOR
(2)
06/23/31
47
47
Barclays
USD
8,781
1.462%
(2)
Three
Month
LIBOR
(2)
06/24/31
15
165
180
Barclays
USD
8,781
Three
Month
LIBOR
(2)
1.462%
(3)
06/24/31
(180)
(180)
Barclays
USD
10,832
1.470%
(2)
Three
Month
LIBOR
(2)
06/29/31
230
230
Barclays
USD
2,637
Three
Month
LIBOR
(2)
1.472%
(3)
06/30/31
(56)
(56)
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
417
Interest
Rate
Swap
Contracts
Amounts
in
thousands
Counterparty
Notional
Amount
Fund
Receives
Fund
Pays
Termination
Date
Premiums
Paid
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Barclays
USD
8,606
1.466%
(2)
Three
Month
LIBOR
(2)
07/01/31
179
179
Barclays
USD
4,112
Three
Month
LIBOR
(2)
1.437%
(3)
07/02/31
(74)
(74)
Barclays
USD
1,677
1.463%
(2)
Three
Month
LIBOR
(2)
07/06/31
34
34
Barclays
USD
1,173
1.339%
(2)
Three
Month
LIBOR
(2)
07/08/31
10
10
Barclays
USD
1,922
Three
Month
LIBOR
(2)
1.390%
(3)
07/08/31
(26)
(26)
Barclays
USD
5,165
Three
Month
LIBOR
(2)
1.337%
(3)
07/08/31
(43)
(43)
Barclays
USD
966
1.288%
(2)
Three
Month
LIBOR
(2)
07/09/31
3
3
Barclays
USD
1,661
1.457%
(2)
Three
Month
LIBOR
(2)
07/09/31
33
33
Barclays
USD
1,408
1.282%
(2)
Three
Month
LIBOR
(2)
07/12/31
4
4
Barclays
USD
3,626
1.330%
(2)
Three
Month
LIBOR
(2)
07/13/31
28
28
Barclays
USD
869
Three
Month
LIBOR
(2)
1.165%
(3)
07/15/31
7
7
Barclays
USD
2,566
1.460%
(2)
Three
Month
LIBOR
(2)
07/15/31
51
51
Barclays
USD
1,256
1.363%
(2)
Three
Month
LIBOR
(2)
07/16/31
14
14
Barclays
USD
5,844
Three
Month
LIBOR
(2)
1.313%
(3)
07/19/31
(34)
(34)
Barclays
USD
2,404
Three
Month
LIBOR
(2)
1.273%
(3)
07/26/31
(5)
(5)
Barclays
USD
1,513
Three
Month
LIBOR
(2)
1.251%
(3)
07/28/31
Barclays
USD
9,790
Three
Month
LIBOR
(2)
1.650%
(3)
09/15/31
(150)
(202)
(352)
Barclays
USD
868
Three
Month
LIBOR
(2)
1.328%
(3)
06/12/40
47
47
Barclays
USD
296
Three
Month
LIBOR
(2)
1.268%
(3)
06/19/40
18
18
Barclays
USD
591
Three
Month
LIBOR
(2)
1.250%
(3)
06/19/40
36
36
Barclays
USD
828
Three
Month
LIBOR
(2)
1.322%
(3)
06/19/40
46
46
Barclays
USD
4,172
Three
Month
LIBOR
(2)
1.345%
(3)
09/19/40
222
222
Barclays
USD
1,473
Three
Month
LIBOR
(2)
2.280%
(3)
06/12/41
(36)
(36)
Barclays
USD
1,630
Three
Month
LIBOR
(2)
1.325%
(3)
06/06/50
147
147
Barclays
USD
3,476
Three
Month
LIBOR
(2)
1.275%
(3)
09/19/50
337
337
Barclays
USD
69,645
Three
Month
LIBOR
(2)
1.160%
(3)
10/16/50
181
8,049
8,230
Barclays
USD
15,182
1.305%
(2)
Three
Month
LIBOR
(2)
10/27/50
(1,260)
(1,260)
Barclays
USD
15,381
1.410%
(2)
Three
Month
LIBOR
(2)
11/12/50
(884)
(884)
Barclays
USD
12,441
Three
Month
LIBOR
(2)
1.256%
(3)
11/23/50
1,184
1,184
Barclays
USD
17,476
1.400%
(2)
Three
Month
LIBOR
(2)
12/04/50
(1,045)
(1,045)
Barclays
USD
17,715
1.563%
(2)
Three
Month
LIBOR
(2)
01/11/51
(358)
(358)
Barclays
USD
7,203
1.708%
(2)
Three
Month
LIBOR
(2)
02/08/51
111
111
Barclays
USD
6,531
1.727%
(2)
Three
Month
LIBOR
(2)
02/12/51
132
132
Barclays
USD
17,277
1.890%
(2)
Three
Month
LIBOR
(2)
02/18/51
1,039
1,039
Barclays
USD
8,672
1.985%
(2)
Three
Month
LIBOR
(2)
04/20/51
729
729
Barclays
USD
6,155
Three
Month
LIBOR
(2)
1.876%
(3)
06/11/51
(353)
(353)
Barclays
USD
1,085
Three
Month
LIBOR
(2)
2.150%
(3)
06/12/51
(43)
(43)
Barclays
USD
11,334
Three
Month
LIBOR
(2)
1.779%
(3)
06/21/51
(377)
(377)
Barclays
USD
5,827
Three
Month
LIBOR
(2)
1.670%
(3)
07/08/51
(37)
(37)
Barclays
USD
2,300
Three
Month
LIBOR
(2)
1.725%
(3)
07/16/51
(46)
(46)
Barclays
USD
1,243
1.662%
(2)
Three
Month
LIBOR
(2)
07/19/51
5
5
Barclays
USD
12,638
Three
Month
LIBOR
(2)
1.529%
(3)
07/21/51
363
363
Barclays
USD
10,900
1.652%
(2)
Three
Month
LIBOR
(2)
07/23/51
20
20
Barclays
USD
15,652
2.000%
(2)
Three
Month
LIBOR
(2)
09/15/51
816
538
1,354
Barclays
USD
2,187
Three
Month
LIBOR
(2)
1.250%
(3)
06/06/55
280
280
Barclays
USD
1,085
Three
Month
LIBOR
(2)
2.090%
(3)
06/12/55
(75)
(75)
Barclays
USD
420
Three
Month
LIBOR
(2)
1.026%
(3)
06/18/55
76
76
Barclays
USD
525
Three
Month
LIBOR
(2)
1.025%
(3)
06/18/55
95
95
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
418
Multi-Asset
Growth
Strategy
Fund
Interest
Rate
Swap
Contracts
Amounts
in
thousands
Counterparty
Notional
Amount
Fund
Receives
Fund
Pays
Termination
Date
Premiums
Paid
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Barclays
USD
7,065
1.080%
(2)
Three
Month
LIBOR
(2)
08/14/55
(1,187)
(1,187)
Barclays
USD
3,754
Three
Month
LIBOR
(2)
1.178%
(3)
09/19/55
545
545
Barclays
USD
2,369
1.570%
(2)
Three
Month
LIBOR
(2)
11/12/55
(126)
(126)
Barclays
USD
868
Three
Month
LIBOR
(2)
1.155%
(3)
06/12/60
114
114
Barclays
USD
502
Three
Month
LIBOR
(2)
1.155%
(3)
06/19/60
66
66
Barclays
USD
797
Three
Month
LIBOR
(2)
1.794%
(3)
02/05/61
(8)
(8)
Credit
Suisse
HUF
383,299
Six
Month
BUBOR
(3)
0.833%
(4)
11/22/22
18
18
Credit
Suisse
HUF
239,999
Six
Month
BUBOR
(3)
1.980%
(4)
06/26/23
2
2
Credit
Suisse
CNY
4,000
2.335%
(2)
CEFTS
China
7
Day
Interbank
Repo
Fixing
Rate
(2)
03/05/25
(2)
(2)
Credit
Suisse
CNY
5,600
1.770%
(2)
CEFTS
China
7
Day
Interbank
Repo
Fixing
Rate
(2)
05/06/25
(21)
(21)
Credit
Suisse
CNY
4,000
2.520%
(2)
CEFTS
China
7
Day
Interbank
Repo
Fixing
Rate
(2)
07/07/25
1
1
Credit
Suisse
CNY
8,200
2.840%
(2)
China
Interbank
Repo
Rate
3
Months
(2)
11/24/25
18
18
Credit
Suisse
CNY
6,200
2.650%
(2)
China
Interbank
Repo
Rate
3
Months
(2)
01/11/26
6
6
Credit
Suisse
CNY
5,100
2.825%
(2)
China
Interbank
Repo
Rate
3
Months
(2)
04/07/26
11
11
Credit
Suisse
CNY
1,400
2.576%
(2)
China
Interbank
Repo
Rate
3
Months
(2)
07/15/26
1
1
Total
Open
Interest
Rate
Swap
Contracts
(å)
2,578
10,641
13,219
Credit
Default
Swap
Contracts
Amounts
in
thousands
Corporate
Issues
Reference
Entity
Counterparty
Purchase/Sell
Protection
Implied
Credit
Spread
Notional
Amount
Fund
(Pays)/
Receives
Fixed
Rate
Termination
Date
Premiums
Paid/
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Ally
Financial,
Inc.
JPMorgan
Chase
Sell
0.982%
USD
843
5.000%
(2)
12/20/26
177
177
Anglo
American
Capital
PLC
JPMorgan
Chase
Sell
1.143%
EUR
145
5.000%
(2)
12/20/26
35
1
36
Anglo
American
Capital
PLC
JPMorgan
Chase
Sell
3.705%
EUR
279
5.000%
(2)
12/20/26
21
21
Apache
Corp.
JPMorgan
Chase
Sell
2.183%
USD
112
1.000%
(2)
12/20/26
(6)
(1)
(7)
ArcelorMittal
SA
JPMorgan
Chase
Sell
1.394%
EUR
650
5.000%
(2)
12/20/26
146
1
147
Ardagh
Packaging
Finance
PLC
/
Ardagh
Holdings
USA,
Inc.
Goldman
Sachs
Sell
2.479%
EUR
100
5.000%
(2)
12/20/26
15
15
Cleveland-Cliffs,
Inc.
Goldman
Sachs
Sell
1.292%
USD
225
5.000%
(2)
12/20/24
28
28
Dell,
Inc.
Goldman
Sachs
Sell
1.008%
USD
500
1.000%
(2)
12/20/26
2
(2)
Faurecia
SE
JPMorgan
Chase
Sell
1.798%
EUR
100
5.000%
(2)
12/20/26
19
1
20
Ford
Motor
Co.
JPMorgan
Chase
Sell
1.437%
USD
200
5.000%
(2)
12/20/24
23
23
Jaguar
Land
Rover
Goldman
Sachs
Sell
1.107%
EUR
115
5.000%
(2)
12/20/21
1
1
2
KB
Home
Goldman
Sachs
Sell
1.935%
USD
4
5.000%
(2)
12/20/26
1
1
Kraft
Heinz
Foods
Co.
Goldman
Sachs
Sell
0.889%
USD
524
1.000%
(2)
12/20/26
5
(2)
3
Lennar
Corp.
JPMorgan
Chase
Sell
0.942%
USD
793
5.000%
(2)
12/20/26
167
1
168
Lumen
Technologies,
Inc.
Goldman
Sachs
Sell
3.035%
USD
400
1.000%
(2)
12/20/26
(40)
(40)
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
419
Credit
Default
Swap
Contracts
Amounts
in
thousands
Corporate
Issues
Reference
Entity
Counterparty
Purchase/Sell
Protection
Implied
Credit
Spread
Notional
Amount
Fund
(Pays)/
Receives
Fixed
Rate
Termination
Date
Premiums
Paid/
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
Marks
&
Spencer
PLC
JPMorgan
Chase
Sell
1.514%
EUR
167
1.000%
(2)
12/20/24
(3)
(3)
Nokia
OYJ
Goldman
Sachs
Sell
0.963%
EUR
100
5.000%
(2)
12/20/26
25
1
26
NRG
Energy,
Inc.
JPMorgan
Chase
Sell
1.995%
USD
257
5.000%
(2)
12/20/26
39
39
Occidental
Petroleum
Corp.
Goldman
Sachs
Sell
2.400%
USD
540
1.000%
(2)
12/20/26
(25)
(12)
(37)
OI
European
Group
B.V.
JPMorgan
Chase
Sell
2.496%
EUR
126
5.000%
(2)
12/20/26
19
19
Renault
Group
JPMorgan
Chase
Sell
1.519%
EUR
100
1.000%
(2)
12/20/24
(2)
(2)
Schaeffler
AG
JPMorgan
Chase
Sell
1.684%
EUR
125
5.000%
(2)
12/20/26
25
1
26
Stellantis
NV
Goldman
Sachs
Sell
1.156%
EUR
508
5.000%
(2)
12/20/26
125
(1)
124
Telecom
Italia
SpA
JPMorgan
Chase
Sell
1.848%
EUR
625
1.000%
(2)
12/20/26
(29)
(4)
(33)
Thyssenkrupp
Ag
Goldman
Sachs
Sell
1.699%
EUR
550
1.000%
(2)
06/20/23
(2)
(7)
(9)
Toll
Brothers
Finance
Corp.
Goldman
Sachs
Sell
1.177%
USD
785
1.000%
(2)
12/20/26
(11)
4
(7)
UPC
Holding
BV
Goldman
Sachs
Sell
2.431%
EUR
150
5.000%
(2)
12/20/26
22
1
23
Valeo
SA
JPMorgan
Chase
Sell
0.955%
EUR
150
1.000%
(2)
12/20/24
1
(1)
Virgin
Media
Finance
PLC
Goldman
Sachs
Sell
2.766%
EUR
950
5.000%
(2)
12/20/26
135
(7)
128
Ziggo
Bond
Finance
BV
Goldman
Sachs
Sell
2.636%
EUR
300
5.000%
(2)
12/20/26
43
43
Total
Open
Corporate
Issues
Contracts
956
(25)
931
Credit
Indices
Reference
Entity
Counterparty
Purchase/Sell
Protection
Notional
Amount
Fund
(Pays)/
Receives
Fixed
Rate
Termination
Date
Premiums
Paid/
(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
CDX
NA
High
Yield
Index
Bank
of
America
Purchase
USD
54,000
(5.000%)
(2)
06/20/26
(4,270)
(684)
(4,954)
iTraxx
Europe
Crossover
Morgan
Stanley
Purchase
EUR
2,950
(5.000%)
(2)
06/20/26
(402)
(20)
(422)
Total
Open
Credit
Indices
Contracts
(4,672)
(704)
(5,376)
Total
Open
Credit
Default
Swap
Contracts
(å)
(3,716)
(729)
(4,445)
Consolidated
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical
Expedient
(a)
Total
Long-Term
Investments
Corporate
Bonds
and
Notes
$
$
84,037
$
$
$
84,037
International
Debt
20,931
20,931
Mortgage-Backed
Securities
176,205
176,205
Non-US
Bonds
32,821
32,821
United
States
Government
Treasuries
5,466
5,466
Common
Stocks
Consumer
Discretionary
24,641
26,602
51,243
Consumer
Staples
6,721
11,287
18,008
Energy
11,553
5,947
17,500
Financial
Services
53,235
46,229
99,464
Health
Care
11,961
16,247
28,208
Materials
and
Processing
42,819
28,505
71,324
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
420
Multi-Asset
Growth
Strategy
Fund
Consolidated
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical
Expedient
(a)
Total
Producer
Durables
16,779
49,179
65,958
Technology
34,858
36,655
71,513
Utilities
31,020
21,073
52,093
Preferred
Stocks
3,942
804
4,746
Options
Purchased
4,928
95,930
100,858
Warrants
and
Rights
Short-Term
Investments
48,525
145,713
194,238
Other
Securities
5,352
5,352
Total
Investments
242,457
706,443
151,065
1,099,965
Other
Assets
and
Liabilities,
Net
Other
Financial
Instruments
Assets
Futures
Contracts
12,760
12,760
Foreign
Currency
Exchange
Contracts
49
3,780
3,829
Interest
Rate
Swap
Contracts
29,096
29,096
Credit
Default
Swap
Contracts
1,069
1,069
A
Liabilities
Futures
Contracts
(8,578)
(8,578)
Options
Written
(138)
(55,740)
(55,878)
Foreign
Currency
Exchange
Contracts
(49)
(1,824)
(1,873)
Total
Return
Swap
Contracts
(1,095)
(1,095)
Interest
Rate
Swap
Contracts
(15,877)
(15,877)
Credit
Default
Swap
Contracts
(5,514)
(5,514)
Total
Other
Financial
Instruments
*
$
4,044
$
(46,105)
$
$
$
(42,061)
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Consolidated
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Amounts
in
thousands
Country
Exposure
Fair
Value
$
Australia
.............................................................................................
7,281
Austria
................................................................................................
2,570
Belgium
..............................................................................................
646
Bermuda
.............................................................................................
839
Brazil
..................................................................................................
7,847
Burkina
Faso
.......................................................................................
110
Cameroon
............................................................................................
579
Canada
................................................................................................
21,666
Russell
Investment
Company
Multi-Asset
Growth
Strategy
Fund
Consolidated
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multi-Asset
Growth
Strategy
Fund
421
Amounts
in
thousands
Country
Exposure
Fair
Value
$
Cayman
Islands
...................................................................................
1,999
Chile
...................................................................................................
2,398
China
..................................................................................................
21,963
Colombia
.............................................................................................
2,428
Czech
Republic
...................................................................................
2,569
Denmark
.............................................................................................
7,579
Dominican
Republic
...........................................................................
7
Finland
...............................................................................................
747
France
.................................................................................................
26,861
Germany
.............................................................................................
13,345
Greece
................................................................................................
763
Hong
Kong
..........................................................................................
9,731
Hungary
..............................................................................................
527
India
...................................................................................................
8,260
Indonesia
............................................................................................
6,488
Ireland
................................................................................................
2,418
Israel
...................................................................................................
474
Italy
....................................................................................................
7,669
Japan
..................................................................................................
70,929
Jersey
..................................................................................................
318
Kazakhstan
.........................................................................................
715
Luxembourg
........................................................................................
989
Malaysia
..............................................................................................
1,011
Mexico
................................................................................................
7,622
Monaco
...............................................................................................
444
Mongolia
.............................................................................................
1,965
Netherlands
........................................................................................
6,235
New
Zealand
.......................................................................................
903
Norway
................................................................................................
915
Peru
....................................................................................................
1,760
Poland
.................................................................................................
978
Portugal
..............................................................................................
120
Puerto
Rico
.........................................................................................
1,754
Romania
..............................................................................................
1,602
Russia
.................................................................................................
11,718
Singapore
............................................................................................
1,965
South
Africa
........................................................................................
2,668
South
Korea
........................................................................................
11,652
Spain
...................................................................................................
5,414
Sweden
................................................................................................
7,843
Switzerland
.........................................................................................
7,669
Taiwan
.................................................................................................
10,524
Tanzania
..............................................................................................
520
Thailand
..............................................................................................
7,645
Turkey
.................................................................................................
1,579
Ukraine
...............................................................................................
1,249
United
Kingdom
..................................................................................
61,323
United
States
.......................................................................................
712,172
Total
Investments
................................................................................
1,099,965
Russell
Investment
Company
Multifactor
U.S.
Equity
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
422
Multifactor
U.S.
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Common
Stocks
-
97.9%
Consumer
Discretionary
-
14.9%
Advance
Auto
Parts,
Inc.
1,621
344
Amazon.com,
Inc.(Æ)
7,460
24,825
Amerco
,
Inc.
386
227
AutoNation,
Inc.(Æ)
1,886
229
AutoZone,
Inc.(Æ)
668
1,085
Bath
&
Body
Works
Inc.(Æ)
15,133
1,212
Best
Buy
Co.,
Inc.
13,090
1,471
BorgWarner,
Inc.
9,156
448
Brunswick
Corp.
4,836
505
Cable
One,
Inc.
114
215
Capri
Holdings,
Ltd.(Æ)
6,907
389
CarMax,
Inc.(Æ)
4,278
573
Carvana
Co.(Æ)
1,230
415
Charter
Communications,
Inc.
Class
A(Æ)
1,674
1,246
Comcast
Corp.
Class
A
135,481
7,971
Costco
Wholesale
Corp.
8,630
3,708
Dick's
Sporting
Goods,
Inc.
2,367
246
Discovery,
Inc.
Class
A(Æ)(Ñ)
11,270
327
DISH
Network
Corp.
Class
A(Æ)
9,840
412
Dollar
General
Corp.
6,187
1,439
Dollar
Tree,
Inc.(Æ)
12,264
1,224
DR
Horton,
Inc.
29,044
2,772
FactSet
Research
Systems,
Inc.
338
121
Five
Below,
Inc.(Æ)
960
187
Floor
&
Decor
Holdings,
Inc.
Class
A(Æ)
1,270
155
Foot
Locker,
Inc.
8,241
470
Ford
Motor
Credit
Co.
LLC(Æ)
147,820
2,062
Fortune
Brands
Home
&
Security,
Inc.
5,699
555
Fox
Corp.
Class
A
23,654
844
Gap,
Inc.
(The)
6,727
196
Garmin,
Ltd.
6,758
1,062
General
Motors
Co.(Æ)
57,443
3,265
Gentex
Corp.
9,384
319
Genuine
Parts
Co.
4,169
529
Graham
Holdings
Co.
Class
B
121
80
Grand
Canyon
Education,
Inc.(Æ)
3,605
333
Hanesbrands,
Inc.
6,916
126
Harley-Davidson,
Inc.
3,731
148
Home
Depot,
Inc.
(The)
15,747
5,168
IAC/InterActiveCorp.(Æ)
2,056
282
Interpublic
Group
of
Cos.,
Inc.
(The)
28,594
1,011
John
Wiley
&
Sons,
Inc.
Class
A
3,101
182
Just
Eat
Takaway.com
NV
-
ADR(Æ)
12,675
223
Kohl's
Corp.
12,950
658
Lear
Corp.
3,069
537
Leggett
&
Platt,
Inc.
3,991
192
Lennar
Corp.
Class
A
15,836
1,665
Liberty
Broadband
Corp.
Class
C(Æ)
685
122
Liberty
Media
Corp.
Class
C(Æ)
8,296
383
LKQ
Corp.(Æ)
23,090
1,172
Lowe's
Cos.,
Inc.
4,216
812
Lululemon
Athletica
,
Inc.(Æ)
1,003
401
Mattel,
Inc.(Æ)
8,014
174
McDonald's
Corp.
2,164
525
Mohawk
Industries,
Inc.(Æ)
5,394
1,051
Netflix,
Inc.(Æ)
4,211
2,179
New
York
Times
Co.
(The)
Class
A
7,004
307
Newell
Rubbermaid,
Inc.
21,166
524
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
News
Corp.
Class
A
10,896
268
Nexstar
Media
Group,
Inc.
Class
A
718
106
Nielsen
Holdings
PLC
12,984
308
Nike,
Inc.
Class
B
12,904
2,162
NVR,
Inc.(Æ)
187
977
Ollie's
Bargain
Outlet
Holdings,
Inc.(Æ)
1,828
170
Omnicom
Group,
Inc.
7,652
557
O'Reilly
Automotive,
Inc.(Æ)
600
362
Peloton
Interactive,
Inc.
Class
A(Æ)
4,277
505
Polaris,
Inc.
1,369
179
Pool
Corp.
1,538
735
PulteGroup,
Inc.
14,463
794
PVH
Corp.(Æ)
2,353
246
Qurate
Retail,
Inc.
Class
A
30,739
365
Ross
Stores,
Inc.
7,297
895
Service
Corp.
International
4,005
250
Sirius
XM
Holdings,
Inc.(Ñ)
49,327
319
Spotify
Technology
SA(Æ)
3,606
825
Starbucks
Corp.
12,264
1,489
Tapestry,
Inc.
3,233
137
Target
Corp.
13,211
3,449
Tempur
Sealy
International,
Inc.
6,399
277
Tesla,
Inc.(Æ)
11,610
7,979
TJX
Cos.,
Inc.
(The)
14,044
966
Toll
Brothers,
Inc.
1,228
73
Tractor
Supply
Co.
2,703
489
Ulta
Beauty,
Inc.(Æ)
909
305
ViacomCBS
,
Inc.
Class
B
37,553
1,537
Walmart,
Inc.
28,346
4,041
Walt
Disney
Co.
(The)(Æ)
26,419
4,650
Wayfair,
Inc.
Class
A(Æ)
1,517
366
Whirlpool
Corp.
3,786
839
Williams-Sonoma,
Inc.
6,198
940
Yum
China
Holdings,
Inc.
10,049
625
Yum!
Brands,
Inc.
1,409
185
Zillow
Group,
Inc.(Æ)
3,061
325
117,998
Consumer
Staples
-
6.3%
Albertsons
Co.,
Inc.
Class
A(Ñ)
6,560
142
Altria
Group,
Inc.
11,455
550
Archer-Daniels-Midland
Co.
44,565
2,661
Boston
Beer
Co.,
Inc.
Class
A(Æ)
442
314
Brown-Forman
Corp.
Class
B
-
ADR
2,998
213
Bunge,
Ltd.
11,564
898
Campbell
Soup
Co.
15,434
675
Casey's
General
Stores,
Inc.
3,663
724
Church
&
Dwight
Co.,
Inc.
6,269
543
Clorox
Co.
(The)
5,369
971
Coca-Cola
Co.
(The)
34,797
1,984
Colgate-Palmolive
Co.
13,575
1,079
ConAgra
Foods,
Inc.
15,379
515
Constellation
Brands,
Inc.
Class
A
1,725
387
CVS
Health
Corp.
46,735
3,849
Estee
Lauder
Cos.,
Inc.
(The)
Class
A
4,118
1,375
Flowers
Foods,
Inc.
15,734
371
General
Mills,
Inc.
44,689
2,630
Grocery
Outlet
Holding
Corp.(Æ)
4,381
145
Hain
Celestial
Group,
Inc.
(The)(Æ)
4,043
161
Herbalife
Nutrition,
Ltd.(Æ)
7,258
370
Russell
Investment
Company
Multifactor
U.S.
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multifactor
U.S.
Equity
Fund
423
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Hershey
Co.
(The)
3,393
607
Hormel
Foods
Corp.
11,533
535
Ingredion,
Inc.
5,002
439
JM
Smucker
Co.
(The)
8,968
1,176
Kellogg
Co.
11,944
757
Keurig
Dr
Pepper,
Inc.
2,126
75
Kimberly-Clark
Corp.
7,976
1,083
Kraft
Heinz
Foods
Co.
41,419
1,593
Kroger
Co.
(The)
39,926
1,625
McCormick
&
Co.,
Inc.
3,152
265
Molson
Coors
Beverage
Co.
Class
B
7,021
343
Mondelez
International,
Inc.
Class
A
20,353
1,288
Monster
Beverage
Corp.(Æ)
8,967
846
Nu
Skin
Enterprises,
Inc.
Class
A
4,498
241
PepsiCo,
Inc.
19,921
3,127
Philip
Morris
International,
Inc.
40,356
4,039
Pilgrim's
Pride
Corp.(Æ)
5,757
128
Post
Holdings,
Inc.(Æ)
1,186
121
Procter
&
Gamble
Co.
(The)
45,766
6,509
Reynolds
Consumer
Products,
Inc.
3,726
106
Spectrum
Brands
Holdings,
Inc.
3,423
299
Sprouts
Farmers
Market,
Inc.(Æ)
10,235
252
Tyson
Foods,
Inc.
Class
A
19,074
1,363
US
Foods
Holding
Corp.(Æ)
22,099
759
Walgreens
Boots
Alliance,
Inc.
40,771
1,922
50,055
Energy
-
1.1%
Chevron
Corp.
12,723
1,296
Cimarex
Energy
Co.
2,413
157
ConocoPhillips
Co.
14,687
823
Diamondback
Energy,
Inc.
1,944
150
Enphase
Energy,
Inc.(Æ)
1,545
293
Exxon
Mobil
Corp.
53,526
3,082
HollyFrontier
Corp.
3,479
102
Kinder
Morgan,
Inc.
58,197
1,012
ONEOK,
Inc.
18,865
980
SolarEdge
Technologies,
Inc.(Æ)
1,376
357
Xcel
Energy,
Inc.
4,603
314
8,566
Financial
Services
-
17.3%
Affiliated
Managers
Group,
Inc.
1,040
165
Aflac,
Inc.
36,157
1,989
Air
Lease
Corp.
Class
A
2,197
93
Alexandria
Real
Estate
Equities,
Inc.(ö)
960
193
Alleghany
Corp.(Æ)
146
97
Alliance
Data
Systems
Corp.
807
75
Allstate
Corp.
(The)
18,449
2,399
Ally
Financial,
Inc.
21,412
1,100
American
Express
Co.
1,589
271
American
Financial
Group,
Inc.
1,576
199
American
Homes
4
Rent
Class
A(ö)
2,701
113
American
International
Group,
Inc.
24,730
1,171
American
Tower
Corp.(ö)
1,141
323
Ameriprise
Financial,
Inc.
4,961
1,278
Annaly
Capital
Management,
Inc.(ö)
14,181
120
Arch
Capital
Group,
Ltd.(Æ)
9,219
360
Arthur
J
Gallagher
&
Co.
2,428
338
Assurant,
Inc.
550
87
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Athene
Holding,
Ltd.
Class
A(Æ)
5,034
325
Bank
of
America
Corp.
155,926
5,981
Bank
of
New
York
Mellon
Corp.
(The)
32,400
1,663
Berkshire
Hathaway,
Inc.
Class
B(Æ)
39,277
10,930
BlackRock,
Inc.
Class
A
1,982
1,719
Brighthouse
Financial,
Inc.(Æ)
2,736
118
Brown
&
Brown,
Inc.
2,723
148
Camden
Property
Trust(ö)
1,169
175
Capital
One
Financial
Corp.
20,995
3,395
Cboe
Global
Markets,
Inc.
4,037
478
CBRE
Group,
Inc.
Class
A(Æ)
21,405
2,065
Charles
Schwab
Corp.
(The)
18,521
1,259
Chubb,
Ltd.
20,149
3,400
Cincinnati
Financial
Corp.
1,987
234
Citigroup,
Inc.
46,242
3,127
Citizens
Financial
Group,
Inc.
19,838
836
CME
Group,
Inc.
Class
A
607
129
Comerica,
Inc.
5,232
359
Commerce
Bancshares,
Inc.
2,088
148
CoreSite
Realty
Corp.
Class
A(ö)
870
120
Crown
Castle
International
Corp.(ö)
1,491
288
CubeSmart
(ö)
3,425
170
Digital
Realty
Trust,
Inc.(ö)
1,484
229
Discover
Financial
Services
17,637
2,193
Duke
Realty
Corp.
(ö)
3,943
201
East
West
Bancorp,
Inc.
7,379
525
Equifax,
Inc.
2,559
667
Equinix
,
Inc.(Æ)(ö)
330
271
Equitable
Holdings,
Inc.
12,709
392
Equity
LifeStyle
Properties,
Inc.
Class
A(ö)
2,899
243
Everest
Re
Group,
Ltd.
1,128
285
Extra
Space
Storage,
Inc.(ö)
2,488
433
Fidelity
National
Financial,
Inc.
8,366
373
Fifth
Third
Bancorp
32,926
1,195
First
American
Financial
Corp.
3,276
221
First
Republic
Bank
941
184
FleetCor
Technologies,
Inc.(Æ)
405
105
Franklin
Resources,
Inc.
11,586
342
Global
Payments,
Inc.
289
56
Globe
Life,
Inc.(Æ)
4,726
440
Goldman
Sachs
Group,
Inc.
(The)
12,753
4,781
Hanover
Insurance
Group,
Inc.
(The)
471
64
Hartford
Financial
Services
Group,
Inc.
14,860
945
Healthpeak
Properties,
Inc.(ö)
4,003
148
Huntington
Bancshares,
Inc.
23,297
328
Intercontinental
Exchange,
Inc.
4,516
541
Invesco,
Ltd.
14,821
361
Invitation
Homes,
Inc.(ö)
3,963
161
Jefferies
Financial
Group,
Inc.(Æ)
5,383
179
Jones
Lang
LaSalle,
Inc.(Æ)
1,878
418
JPMorgan
Chase
&
Co.
61,792
9,379
KeyCorp
36,331
714
Kimco
Realty
Corp.(ö)
14,695
313
KKR
&
Co.,
Inc.
Class
A
15,271
974
Lazard,
Ltd.
Class
A
2,386
113
Lincoln
National
Corp.
5,679
350
Loews
Corp.
7,792
418
LPL
Financial
Holdings,
Inc.
2,218
313
M&T
Bank
Corp.
5,771
772
Markel
Corp.(Æ)
275
332
Russell
Investment
Company
Multifactor
U.S.
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
424
Multifactor
U.S.
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
MarketAxess
Holdings,
Inc.
884
420
Marsh
&
McLennan
Cos.,
Inc.
805
119
MasterCard,
Inc.
Class
A
11,477
4,429
Merck
&
Co.,
Inc.
35,067
2,696
MetLife,
Inc.
30,578
1,764
MGIC
Investment
Corp.
15,038
208
Mid-America
Apartment
Communities,
Inc.
(ö)
1,038
200
Morgan
Stanley
49,508
4,752
New
York
Community
Bancorp,
Inc.
22,237
262
Northern
Trust
Corp.
12,323
1,391
Old
Republic
International
Corp.
6,895
170
OneMain
Holdings,
Inc.(Æ)
2,166
132
PayPal
Holdings,
Inc.(Æ)
13,780
3,797
Pinnacle
Financial
Partners,
Inc.
1,658
149
PNC
Financial
Services
Group,
Inc.
(The)
18,019
3,287
Primerica,
Inc.
1,046
153
Principal
Financial
Group,
Inc.
15,899
988
Progressive
Corp.
(The)
28,680
2,729
Prologis,
Inc.(ö)
3,483
446
Prudential
Financial,
Inc.
14,731
1,477
Public
Storage(ö)
1,989
622
Raymond
James
Financial,
Inc.
9,221
1,194
Realty
Income
Corp.(ö)
2,243
158
Regions
Financial
Corp.
54,821
1,055
Reinsurance
Group
of
America,
Inc.
Class
A
2,328
256
RenaissanceRe
Holdings,
Ltd.
905
138
SBA
Communications
Corp.
(ö)
254
87
State
Street
Corp.
14,086
1,227
SVB
Financial
Group(Æ)
3,202
1,761
Synchrony
Financial
28,036
1,318
Synovus
Financial
Corp.
3,002
123
T.
Rowe
Price
Group,
Inc.
2,684
548
TransUnion
1,055
127
Travelers
Cos.,
Inc.
(The)
14,421
2,148
Truist
Financial
Corp.
51,895
2,825
Unum
Group
5,523
151
US
Bancorp
47,848
2,657
VICI
Properties,
Inc.(Ñ)(ö)
16,574
517
Visa,
Inc.
Class
A
23,931
5,896
Voya
Financial,
Inc.
1,947
125
Wells
Fargo
&
Co.
87,420
4,016
Welltower
,
Inc.(ö)
4,587
398
Western
Alliance
Bancorp
3,310
307
Western
Union
Co.
(The)
12,017
279
Weyerhaeuser
Co.(ö)
3,568
120
Willis
Towers
Watson
PLC(Æ)
4,610
950
WP
Carey,
Inc.(ö)
1,744
141
WR
Berkley
Corp.
6,167
451
Zions
Bancorp
NA
1,676
87
136,648
Health
Care
-
11.9%
10x
Genomics,
Inc.
Class
A(Æ)
1,581
290
Abbott
Laboratories
26,229
3,173
AbbVie,
Inc.
34,106
3,967
Abiomed
,
Inc.(Æ)
819
268
Acadia
Healthcare
Co.,
Inc.(Æ)
1,978
122
Acadia
Pharmaceuticals,
Inc.(Æ)
6,385
138
Agilent
Technologies,
Inc.
7,134
1,093
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Align
Technology,
Inc.(Æ)
2,214
1,541
Alkermes
PLC(Æ)
10,450
270
Amedisys
,
Inc.(Æ)
1,362
355
American
Well
Corp.
Class
A(Æ)
3,615
42
AmerisourceBergen
Corp.
Class
A
7,060
863
Amgen,
Inc.
8,989
2,171
Anthem,
Inc.(Æ)
10,013
3,845
AstraZeneca
PLC
-
ADR
14,517
831
Avantor
,
Inc.(Æ)
9,659
363
Baxter
International,
Inc.
6,077
470
Becton
Dickinson
and
Co.
1,507
385
Biogen,
Inc.(Æ)
8,135
2,658
Bio-Rad
Laboratories,
Inc.
Class
A(Æ)
336
248
Boston
Scientific
Corp.(Æ)
13,204
602
Bristol-Myers
Squibb
Co.
25,426
1,726
Cardinal
Health,
Inc.
13,463
799
Catalent
,
Inc.(Æ)
2,026
243
Centene
Corp.(Æ)
23,293
1,598
Cerner
Corp.
7,545
607
Charles
River
Laboratories
International,
Inc.(Æ)
1,769
720
Chemed
Corp.
436
208
Cigna
Corp.
15,866
3,641
Cooper
Cos.,
Inc.
(The)
984
415
DaVita
HealthCare
Partners,
Inc.(Æ)
4,371
526
DexCom
,
Inc.(Æ)
986
508
Edwards
Lifesciences
Corp.(Æ)
9,628
1,081
Eli
Lilly
&
Co.
3,057
744
Encompass
Health
Corp.(Æ)
1,022
85
Envista
Holdings
Corp.(Æ)
2,086
90
Exelixis
,
Inc.(Æ)
15,607
263
Gilead
Sciences,
Inc.
7,859
537
Globus
Medical,
Inc.
Class
A(Æ)
3,559
296
Haemonetics
Corp.(Æ)
866
53
HCA
Healthcare,
Inc.
10,795
2,679
Henry
Schein,
Inc.(Æ)
12,722
1,020
Hill-Rom
Holdings,
Inc.
1,250
173
Hologic
,
Inc.(Æ)
2,816
211
Horizon
Therapeutics
PLC(Æ)
4,987
499
Humana,
Inc.
5,015
2,136
Icon
PLC(Æ)
514
125
ICU
Medical,
Inc.(Æ)
397
81
IDEXX
Laboratories,
Inc.(Æ)
956
649
Illumina,
Inc.(Æ)
1,336
662
Incyte
Corp.(Æ)
4,236
328
Intuitive
Surgical,
Inc.(Æ)
1,809
1,794
Iovance
Biotherapeutics
,
Inc.(Æ)
8,967
200
IQVIA,
Inc.(Æ)
616
153
Jazz
Pharmaceuticals
PLC(Æ)
1,492
253
Johnson
&
Johnson
44,334
7,633
Laboratory
Corp.
of
America
Holdings(Æ)
5,685
1,684
Masimo
Corp.(Æ)
2,111
575
McKesson
Corp.
8,803
1,794
Medtronic
PLC
10,686
1,403
Molina
Healthcare,
Inc.(Æ)
1,536
419
Novocure
,
Ltd.(Æ)
2,605
401
Oak
Street
Health,
Inc.(Æ)
2,172
137
Organon
&
Co.
3,251
94
PerkinElmer,
Inc.
2,443
445
Pfizer,
Inc.
120,951
5,177
Russell
Investment
Company
Multifactor
U.S.
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multifactor
U.S.
Equity
Fund
425
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Qiagen
NV(Æ)
5,058
267
Quest
Diagnostics,
Inc.
7,951
1,127
Quidel
Corp.(Æ)
1,061
150
Regeneron
Pharmaceuticals,
Inc.(Æ)
1,600
919
Repligen
Corp.(Æ)
1,066
262
ResMed
,
Inc.
5,322
1,447
Sage
Therapeutics,
Inc.(Æ)
3,818
167
Seagen
,
Inc.(Æ)
3,186
489
STERIS
PLC
1,947
424
Stryker
Corp.
5,692
1,542
Syneos
Health,
Inc.
Class
A(Æ)
1,951
175
Teladoc
Health,
Inc.(Æ)
2,618
389
Teleflex,
Inc.
337
134
Thermo
Fisher
Scientific,
Inc.
5,307
2,866
United
Therapeutics
Corp.(Æ)
4,320
786
UnitedHealth
Group,
Inc.
19,520
8,046
Universal
Health
Services,
Inc.
Class
B
5,556
891
Veeva
Systems,
Inc.
Class
A(Æ)
4,964
1,652
Vertex
Pharmaceuticals,
Inc.(Æ)
2,668
538
Viatris
,
Inc.
60,081
845
West
Pharmaceutical
Services,
Inc.
3,497
1,440
Zoetis,
Inc.
Class
A
6,189
1,255
94,371
Materials
and
Processing
-
4.4%
Air
Products
&
Chemicals,
Inc.
1,958
570
Albemarle
Corp.
5,132
1,057
Amcor
PLC
48,889
565
AptarGroup,
Inc.
4,005
516
Ball
Corp.
6,584
533
Berry
Plastics
Group,
Inc.(Æ)
6,333
407
Carrier
Global
Corp.
8,616
476
Celanese
Corp.
Class
A
6,339
987
CF
Industries
Holdings,
Inc.
3,183
150
Chemours
Co.
(The)
4,066
135
Copart
,
Inc.(Æ)
8,256
1,214
Crown
Holdings,
Inc.
8,000
798
Dow,
Inc.
16,832
1,046
DowDuPont
,
Inc.
7,834
588
Eastman
Chemical
Co.
10,354
1,167
Ecolab,
Inc.
3,838
848
Element
Solutions,
Inc.(Æ)
6,819
159
Fastenal
Co.
11,202
614
FMC
Corp.
1,833
196
Freeport-McMoRan,
Inc.
25,312
964
Graphic
Packaging
Holding
Co.
11,124
213
Huntsman
Corp.
13,564
358
IAA,
Inc.(Æ)
1,810
109
International
Flavors
&
Fragrances,
Inc.
3,754
566
International
Paper
Co.
36,006
2,080
ITT,
Inc.
1,974
193
Linde
PLC(Æ)
6,091
1,872
LyondellBasell
Industries
Class
A
13,729
1,364
Mosaic
Co.
(The)
9,811
306
NewMarket
Corp.
220
70
Newmont
Corp.
17,447
1,096
Nucor
Corp.
20,936
2,179
Olin
Corp.
4,382
206
Owens
Corning
5,137
494
Packaging
Corp.
of
America
8,633
1,222
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
PPG
Industries,
Inc.
6,054
990
Reliance
Steel
&
Aluminum
Co.
6,070
954
RPM
International,
Inc.
1,878
163
Scotts
Miracle-
Gro
Co.
(The)
Class
A
563
100
Sealed
Air
Corp.
8,637
490
Sherwin-Williams
Co.
(The)
4,300
1,251
Silgan
Holdings,
Inc.
1,496
61
Sonoco
Products
Co.
6,072
387
Southern
Copper
Corp.
4,424
290
Steel
Dynamics,
Inc.
19,773
1,274
Terminix
Global
Holdings,
Inc.(Æ)
2,905
153
Timken
Co.
(The)
3,380
269
Trane
Technologies
PLC
7,032
1,432
Trex
Co.,
Inc.(Æ)
3,883
377
Valmont
Industries,
Inc.
1,525
361
Vulcan
Materials
Co.
734
132
Watsco
,
Inc.
1,466
414
Westlake
Chemical
Corp.
1,494
124
Westrock
Co.
11,206
551
35,091
Producer
Durables
-
8.4%
3M
Co.
11,565
2,289
AGCO
Corp.
3,622
479
Ametek
,
Inc.
7,174
998
AO
Smith
Corp.
5,624
396
Aptiv
PLC(Æ)
7,083
1,182
Avalara,
Inc.(Æ)
1,865
312
Avery
Dennison
Corp.
2,308
486
Beyond
Meat,
Inc.(Æ)(Ñ)
2,356
289
Carlisle
Cos.,
Inc.
1,852
375
Caterpillar,
Inc.
4,327
895
CH
Robinson
Worldwide,
Inc.
4,499
401
Cintas
Corp.
2,987
1,177
CoStar
Group,
Inc.(Æ)
10,460
929
Crane
Co.
1,160
113
CSX
Corp.
30,135
974
Cummins,
Inc.
12,725
2,953
Danaher
Corp.
5,660
1,684
Deere
&
Co.
2,935
1,061
Donaldson
Co.,
Inc.
2,305
153
Dover
Corp.
3,545
592
Eaton
Corp.
PLC
8,712
1,377
Emerson
Electric
Co.
11,686
1,179
Expeditors
International
of
Washington,
Inc.
9,965
1,278
FedEx
Corp.
10,889
3,047
Fortive
Corp.
5,331
387
Generac
Holdings,
Inc.(Æ)
1,519
637
General
Dynamics
Corp.
7,564
1,483
General
Electric
Co.
25,266
327
Graco
,
Inc.
7,498
585
HEICO
Corp.
857
116
Honeywell
International,
Inc.
5,520
1,291
Hubbell,
Inc.
Class
B
2,493
500
IDEX
Corp.
3,612
819
Illinois
Tool
Works,
Inc.
5,210
1,181
Ingersoll
Rand,
Inc.(Æ)
4,090
200
Jacobs
Engineering
Group,
Inc.
2,214
299
JB
Hunt
Transport
Services,
Inc.
1,545
260
Johnson
Controls
International
PLC(Æ)
34,754
2,482
Russell
Investment
Company
Multifactor
U.S.
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
426
Multifactor
U.S.
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Kansas
City
Southern
1,726
462
Keysight
Technologies,
Inc.(Æ)
7,257
1,194
Kirby
Corp.(Æ)
2,098
121
Knight-Swift
Transportation
Holdings,
Inc.
(Æ)
5,576
277
Landstar
System,
Inc.
943
148
Lincoln
Electric
Holdings,
Inc.
2,244
313
Littelfuse
,
Inc.
717
191
Lockheed
Martin
Corp.
3,674
1,366
ManpowerGroup
,
Inc.
3,997
474
Mettler
-Toledo
International,
Inc.(Æ)
474
699
Middleby
Corp.(Æ)
2,914
558
MSA
Safety,
Inc.
848
139
MSC
Industrial
Direct
Co.,
Inc.
Class
A
2,696
240
National
Instruments
Corp.
1,491
66
Nordson
Corp.
623
141
Norfolk
Southern
Corp.
3,355
865
Northrop
Grumman
Corp.
5,168
1,876
Old
Dominion
Freight
Line,
Inc.
4,014
1,080
Otis
Worldwide
Corp.
2,878
258
PACCAR
Financial
Corp.
16,583
1,376
Parker-Hannifin
Corp.
1,137
355
Paychex,
Inc.
10,985
1,250
Paylocity
Holding
Corp.(Æ)
586
122
Pentair
PLC
5,866
432
Quanta
Services,
Inc.
12,505
1,137
Regal
Beloit
Corp.
1,461
215
Republic
Services,
Inc.
Class
A
2,052
243
Robert
Half
International,
Inc.
5,093
500
Rockwell
Automation,
Inc.
1,449
445
Rollins,
Inc.
4,610
177
Roper
Technologies,
Inc.
406
199
S&P
Global,
Inc.
229
98
Snap-on,
Inc.
3,810
831
Square,
Inc.
Class
A(Æ)
3,456
855
Stanley
Black
&
Decker,
Inc.
5,473
1,078
StoneCo
,
Ltd.
Class
A(Æ)
1,467
86
Teledyne
Technologies,
Inc.(Æ)
474
215
Textron,
Inc.
5,573
385
Toro
Co.
(The)
3,560
405
TreeHouse
Foods,
Inc.(Æ)
2,934
130
Trimble
Navigation,
Ltd.(Æ)
10,986
939
Union
Pacific
Corp.
2,130
466
United
Parcel
Service,
Inc.
Class
B
8,617
1,649
United
Rentals,
Inc.(Æ)
5,768
1,901
Verisk
Analytics,
Inc.
Class
A
4,591
872
Waste
Management,
Inc.
6,230
924
Waters
Corp.(Æ)
1,847
720
Westinghouse
Air
Brake
Technologies
Corp.
4,274
363
WW
Grainger,
Inc.
847
377
Xerox
Holdings
Corp.
5,514
133
XPO
Logistics,
Inc.(Æ)
2,888
401
Xylem,
Inc.
3,889
489
Zebra
Technologies
Corp.
Class
A(Æ)
2,166
1,197
66,619
Technology
-
28.2%
Accenture
PLC
Class
A
6,874
2,184
Activision
Blizzard,
Inc.
11,921
997
Adobe,
Inc.(Æ)
7,633
4,745
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Advanced
Micro
Devices,
Inc.(Æ)
11,761
1,249
Akamai
Technologies,
Inc.(Æ)
2,151
258
Alphabet,
Inc.
Class
A(Æ)
8,161
21,989
Alphabet,
Inc.
Class
C(Æ)
2,423
6,553
Amdocs,
Ltd.
6,444
497
Amphenol
Corp.
Class
A
16,250
1,178
Analog
Devices,
Inc.
5,765
965
Anaplan,
Inc.(Æ)
4,290
245
Ansys
,
Inc.(Æ)
2,653
978
Apple,
Inc.
282,550
41,212
Applied
Materials,
Inc.
13,476
1,886
Arista
Networks,
Inc.(Æ)
2,632
1,001
Arrow
Electronics,
Inc.(Æ)
5,069
601
Atlassian
Corp.
PLC
Class
A(Æ)
2,201
716
Autodesk,
Inc.(Æ)
1,940
623
Automatic
Data
Processing,
Inc.
6,042
1,267
Avnet,
Inc.
3,255
134
Bill.com
Holdings,
Inc.(Æ)
1,598
330
Bio
Techne
Corp.(Æ)
1,377
664
Black
Knight,
Inc.(Æ)
2,011
167
Broadcom,
Inc.
2,486
1,207
Broadridge
Financial
Solutions,
Inc.
1,481
257
CACI
International,
Inc.
Class
A(Æ)
580
155
Cadence
Design
Systems,
Inc.(Æ)
9,289
1,372
CDW
Corp.
630
116
Ceridian
HCM
Holding,
Inc.(Æ)
1,758
173
Ciena
Corp.(Æ)
7,070
411
Cisco
Systems,
Inc.
84,148
4,659
Citrix
Systems,
Inc.
1,036
104
Cloudflare
,
Inc.
Class
A(Æ)
5,399
640
Cognex
Corp.
5,824
527
Cognizant
Technology
Solutions
Corp.
Class
A
17,119
1,259
Concentrix
Corp.(Æ)
471
77
Corning,
Inc.
8,762
367
Corteva
,
Inc.
54,492
2,331
Coupa
Software,
Inc.(Æ)
1,259
273
Cree,
Inc.(Æ)
1,012
94
Crowdstrike
Holdings,
Inc.
Class
A(Æ)
5,543
1,406
Datadog
,
Inc.
Class
A(Æ)
3,275
363
Dell
Technologies,
Inc.
Class
C(Æ)
13,117
1,267
DocuSign,
Inc.(Æ)
1,703
508
Dolby
Laboratories,
Inc.
Class
A
1,887
183
Dropbox,
Inc.
Class
A(Æ)
5,152
162
DXC
Technology
Co.(Æ)
5,783
231
Elastic
NV(Æ)
2,177
322
Electronic
Arts,
Inc.
3,485
502
Entegris
,
Inc.
923
111
EPAM
Systems,
Inc.(Æ)
1,847
1,034
Etsy,
Inc.(Æ)
2,437
447
F5
Networks,
Inc.(Æ)
1,943
401
Facebook,
Inc.
Class
A(Æ)
38,847
13,841
Fair
Isaac
Corp.(Æ)
517
271
Fastly
,
Inc.
Class
A(Æ)(Ñ)
1,165
56
Fidelity
National
Information
Services,
Inc.
5,462
814
FireEye,
Inc.(Æ)
4,876
98
Fiserv,
Inc.(Æ)
4,040
465
Five9,
Inc.(Æ)
1,204
242
Fortinet,
Inc.(Æ)
5,751
1,566
Genpact
,
Ltd.
1,325
66
Russell
Investment
Company
Multifactor
U.S.
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multifactor
U.S.
Equity
Fund
427
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Globant
SA(Æ)
1,379
330
Guidewire
Software,
Inc.(Æ)
587
68
Hewlett
Packard
Enterprise
Co.
Class
H
70,119
1,017
HP,
Inc.(Æ)
89,678
2,589
HubSpot
,
Inc.(Æ)
530
316
Intel
Corp.
95,592
5,135
Intuit,
Inc.
3,877
2,055
IPG
Photonics
Corp.(Æ)
350
76
Jack
Henry
&
Associates,
Inc.
1,329
231
Juniper
Networks,
Inc.
16,956
477
KLA
Corp.
3,338
1,162
Lam
Research
Corp.
2,042
1,302
Leidos
Holdings,
Inc.
3,866
411
Lumentum
Holdings,
Inc.
Class
E(Æ)
1,219
102
Manhattan
Associates,
Inc.(Æ)
2,909
464
Match
Group,
Inc.(Æ)
3,207
511
Maxim
Integrated
Products,
Inc.
10,288
1,028
Media
General,
Inc.(Æ)(Š)
1,092
Microchip
Technology,
Inc.
1,736
248
Micron
Technology,
Inc.
25,620
1,988
Microsoft
Corp.
133,788
38,117
MKS
Instruments,
Inc.
1,085
170
MongoDB,
Inc.(Æ)
607
218
Monolithic
Power
Systems,
Inc.
1,137
511
Motorola
Solutions,
Inc.
886
198
MSCI,
Inc.
Class
A
483
288
nCino
,
Inc.(Æ)
1,539
98
NCR
Corp.(Æ)
5,337
237
NetApp,
Inc.
5,718
455
Nuance
Communications,
Inc.(Æ)
7,127
391
NVIDIA
Corp.
35,284
6,880
Okta
,
Inc.(Æ)
1,471
364
ON
Semiconductor
Corp.(Æ)
4,746
185
Oracle
Corp.
23,081
2,011
Palo
Alto
Networks,
Inc.(Æ)
1,206
481
Paycom
Software,
Inc.(Æ)
1,427
571
Pinterest,
Inc.
Class
A(Æ)
7,056
416
PTC,
Inc.(Æ)
1,649
223
Qorvo
,
Inc.(Æ)
2,488
472
QUALCOMM,
Inc.
7,434
1,114
Raytheon
Technologies
Corp.(Æ)
34,809
3,027
Roku,
Inc.(Æ)
2,235
957
Salesforce.com,
Inc.(Æ)
11,632
2,814
Science
Applications
International
Corp.
1,080
94
ServiceNow
,
Inc.(Æ)
1,761
1,035
Skyworks
Solutions,
Inc.
4,971
917
Smartsheet
,
Inc.
Class
A(Æ)
3,071
223
SS&C
Technologies
Holdings,
Inc.
3,011
236
SYNNEX
Corp.
2,866
343
Synopsys,
Inc.(Æ)
3,653
1,052
Take-Two
Interactive
Software,
Inc.(Æ)
4,714
818
Teradyne,
Inc.
5,995
761
Texas
Instruments,
Inc.
14,300
2,726
Trade
Desk,
Inc.
(The)
Class
A(Æ)
10,690
876
Twitter,
Inc.(Æ)
13,802
963
Tyler
Technologies,
Inc.(Æ)
1,985
978
Ubiquiti,
Inc.
553
173
Unity
Software,
Inc.(Æ)
1,490
160
Vimeo,
Inc.(Æ)
3,339
150
VMware,
Inc.
Class
A(Æ)(Ñ)
2,068
318
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Workday,
Inc.
Class
A(Æ)
3,712
870
Xilinx,
Inc.
4,262
639
Zendesk
,
Inc.(Æ)
1,099
143
Zoom
Video
Communications,
Inc.
Class
A(Æ)
3,087
1,167
Zscaler
,
Inc.(Æ)
1,418
335
Zynga,
Inc.
Class
A(Æ)
10,871
110
223,612
Utilities
-
5.4%
Alliant
Energy
Corp.
6,994
409
Ameren
Corp.
3,420
287
American
Electric
Power
Co.,
Inc.
18,464
1,627
American
Water
Works
Co.,
Inc.
2,201
374
AT&T,
Inc.
188,687
5,293
Atmos
Energy
Corp.
7,974
786
Avangrid
,
Inc.
5,223
272
CMS
Energy
Corp.
4,365
270
Consolidated
Edison
Co.,
Inc.
17,190
1,268
Dominion
Energy,
Inc.
5,764
432
DT
Midstream,
Inc.
5,040
214
DTE
Energy
Co.
10,081
1,183
Duke
Energy
Corp.
21,294
2,238
Edison
International
3,505
191
Entergy
Corp.
10,442
1,075
Essential
Utilities,
Inc.
2,076
102
Evergy
,
Inc.
6,998
456
Eversource
Energy(Æ)
2,983
257
Exelon
Corp.
40,647
1,902
FirstEnergy
Corp.
14,439
553
Hawaiian
Electric
Industries,
Inc.
5,775
250
IDACORP,
Inc.
2,620
276
International
Business
Machines
Corp.
23,587
3,325
Lumen
Technologies,
Inc.
76,275
951
MDU
Resources
Group,
Inc.
10,801
343
National
Fuel
Gas
Co.
3,411
175
NextEra
Energy,
Inc.
30,278
2,359
NiSource,
Inc.
8,418
209
NRG
Energy,
Inc.
6,723
277
OGE
Energy
Corp.
10,301
348
Pinnacle
West
Capital
Corp.
5,625
470
PPL
Corp.
39,034
1,107
Public
Service
Enterprise
Group,
Inc.
25,448
1,584
RingCentral,
Inc.
Class
A(Æ)
1,287
344
Sempra
Energy
11,252
1,470
Southern
Co.
(The)
19,837
1,267
Telephone
&
Data
Systems,
Inc.
8,121
182
T-Mobile
USA,
Inc.(Æ)
11,929
1,718
UGI
Corp.
6,830
314
Verizon
Communications,
Inc.
101,416
5,657
Vistra
Corp.
16,704
320
WEC
Energy
Group,
Inc.(Æ)
3,663
345
42,480
Total
Common
Stocks
(cost
$495,617)
775,440
Short-Term
Investments
-
1.9%
U.S.
Cash
Management
Fund(@)
15,321,961
(∞)
15,319
Total
Short-Term
Investments
Russell
Investment
Company
Multifactor
U.S.
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
428
Multifactor
U.S.
Equity
Fund
cif
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
(cost
$15,319)
15,319
Other
Securities
-
0.3%
U.S.
Cash
Collateral
Fund(@)(×)
1,985,525
(∞)
1,986
Total
Other
Securities
(cost
$1,986)
1,986
Total
Investments
-
100.1%
(identified
cost
$512,922)
792,745
Other
Assets
and
Liabilities,
Net
-
(0.1)%
(1,078)
Net
Assets
-
100.0%
791,667
Russell
Investment
Company
Multifactor
U.S.
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multifactor
U.S.
Equity
Fund
429
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
S&P
500
E-Mini
Index
Futures
36
USD
7,901
09/21
255
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
255
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical    
Expedient
(a)
Total
Common
Stocks
Consumer
Discretionary
$
117,998
$
$
$
$
117,998
Consumer
Staples
50,055
50,055
Energy
8,566
8,566
Financial
Services
136,648
136,648
Health
Care
94,371
94,371
Materials
and
Processing
35,091
35,091
Producer
Durables
66,619
66,619
Technology
223,612
223,612
Utilities
42,480
42,480
Short-Term
Investments
15,319
15,319
Other
Securities
1,986
1,986
Total
Investments
775,440
17,305
792,745
Other
Financial
Instruments
Assets
Futures
Contracts
255
255
Total
Other
Financial
Instruments
*
$
255
$
$
$
$
255
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Russell
Investment
Company
Multifactor
International
Equity
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
430
Multifactor
International
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Common
Stocks
-
92.4%
Australia
-
6.2%
Afterpay
,
Ltd.(Æ)
895
64
AGL
Energy,
Ltd.
53,937
285
APA
Group
17,930
125
Aristocrat
Leisure,
Ltd.
6,018
185
ASX,
Ltd.
-
ADR
1
Aurizon
Holdings,
Ltd.
98,021
278
AusNet
Services(Æ)
91,779
123
Australia
&
New
Zealand
Banking
Group,
Ltd.
-
ADR
41,979
855
BHP
Group
PLC
23,193
753
BHP
Group,
Ltd.
-
ADR
26,135
1,024
BlueScope
Steel,
Ltd.
41,967
754
Brambles,
Ltd.
19,953
170
Cochlear,
Ltd.
607
110
Coles
Group,
Ltd.
20,328
261
Commonwealth
Bank
of
Australia
-
ADR
31,393
2,296
CSL,
Ltd.
3,912
830
Dexus
Property
Group(ö)
50,536
381
Domino's
Pizza
Enterprises,
Ltd.
1,198
103
Endeavour
Mining
Corp.(Æ)
13,261
65
Evolution
Mining,
Ltd.
27,146
84
Fortescue
Metals
Group,
Ltd.
57,589
1,058
Goodman
Group(ö)
28,175
469
GPT
Group
(The)(ö)
62,105
213
Insurance
Australia
Group,
Ltd.(Æ)
29,005
104
Macquarie
Group,
Ltd.
4,650
537
Magellan
Financial
Group,
Ltd.
-
ADR
1
Mirvac
Group(ö)
39,278
83
National
Australia
Bank,
Ltd.
-
ADR
36,690
699
Newcrest
Mining,
Ltd.
9,621
188
Northern
Star
Resources,
Ltd.
13,149
99
QBE
Insurance
Group,
Ltd.
31,715
255
Ramsay
Health
Care,
Ltd.
2,286
108
REA
Group,
Ltd.
901
107
Reece,
Ltd.(Æ)
6,882
119
Rio
Tinto
PLC
36,804
3,136
Rio
Tinto,
Ltd.
-
ADR
11,028
1,085
Santos,
Ltd.
18,898
89
SEEK,
Ltd.
10,394
224
Sonic
Healthcare,
Ltd.
8,395
247
South32,
Ltd.
Class
B
303,654
665
Stockland(ö)
168,024
544
Suncorp
Group,
Ltd.(Æ)
21,798
185
Tabcorp
Holdings,
Ltd.
110,931
404
Telstra
Corp.,
Ltd.
114,177
317
Transurban
Group
-
ADR(Æ)
12,668
133
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Treasury
Wine
Estates,
Ltd.
14,368
126
Wesfarmers,
Ltd.(Æ)
15,284
687
Westpac
Banking
Corp.
48,796
875
Woolworths
Group,
Ltd.
13,261
379
21,881
Austria
-
0.5%
Erste
Group
Bank
AG
10,858
421
OMV
AB
13,375
722
Voestalpine
AG
10,621
468
1,611
Belgium
-
0.8%
Ageas
SA
11,424
603
Colruyt
SA
3,924
223
Groupe
Bruxelles
Lambert
SA
1,856
216
KBC
Groep
NV
5,533
445
Proximus
SA
13,012
267
Solvay
SA
4,418
589
UCB
SA
2,652
287
Umicore
SA
3,367
209
2,839
Canada
-
8.5%
Algonquin
Power
&
Utilities
Corp.
9,360
149
Alimentation
Couche-Tard,
Inc.
Class
B
5,989
241
AltaGas
,
Ltd.
-
ADR
17,269
366
Atco,
Ltd.
Class
I
3,692
133
B2Gold
Corp.
32,799
137
Bank
of
Montreal(Ñ)
14,534
1,438
Bank
of
Nova
Scotia
(The)
20,180
1,260
Barrick
Gold
Corp.
10,962
239
BCE,
Inc.
6,408
320
BlackBerry,
Ltd.
-
ADR(Æ)
12,915
131
Canadian
Apartment
Properties(ö)
4,833
242
Canadian
Imperial
Bank
of
Commerce
11,808
1,373
Canadian
National
Railway
Co.
2,697
293
Canadian
Natural
Resources,
Ltd.
29,173
963
Canadian
Pacific
Railway,
Ltd.
3,644
271
Canadian
Tire
Corp.,
Ltd.
Class
A
2,341
360
CCL
Industries,
Inc.
Class
B
2,129
122
Cenovus
Energy,
Inc.
37,180
310
CGI
Group,
Inc.(Æ)
1,438
131
Constellation
Software,
Inc.
134
215
Emera
,
Inc.
2,931
137
Empire
Co.,
Ltd.
Class
A
9,948
327
Enbridge,
Inc.
25,716
1,014
Fairfax
Financial
Holdings,
Ltd.
612
258
First
Quantum
Minerals,
Ltd.
17,299
370
Russell
Investment
Company
Multifactor
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multifactor
International
Equity
Fund
431
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Fortis,
Inc.
4,404
200
George
Weston,
Ltd.
1,679
174
Gildan
Activewear
,
Inc.
Class
A
2,893
100
Great-West
Lifeco
,
Inc.
16,830
506
Hydro
One,
Ltd.(Þ)
6,600
163
iA
Financial
Corp.,
Inc.
3,555
197
IGM
Financial,
Inc.
1,035
37
Imperial
Oil,
Ltd.
12,069
331
Intact
Financial
Corp.
919
125
Inter
Pipeline,
Ltd.
21,874
350
Ivanhoe
Mines,
Ltd.
Class
A(Æ)
13,483
100
Kinross
Gold
Corp.
33,470
219
Loblaw
Cos.,
Ltd.
9,768
661
Lundin
Mining
Corp.
9,996
91
Magna
International,
Inc.
Class
A
14,307
1,200
Manulife
Financial
Corp.
63,234
1,223
Metro,
Inc.
Class
A
4,517
234
National
Bank
of
Canada
12,741
975
Nutrien
,
Ltd.
5,574
331
Onex
Corp.
2,895
221
Open
Text
Corp.
2,821
147
Power
Corp.
of
Canada
21,745
694
Quebecor,
Inc.
Class
B
9,367
245
Ritchie
Bros
Auctioneers,
Inc.
2,638
157
Rogers
Communications,
Inc.
Class
B
1,665
85
Royal
Bank
of
Canada
-
GDR
27,574
2,788
Saputo,
Inc.
-
ADR
4,167
120
Shaw
Communications,
Inc.
Class
B
21,313
623
Shopify,
Inc.
Class
A(Æ)
782
1,174
Sun
Life
Financial,
Inc.
19,292
1,005
TC
Energy
Corp.(Æ)
7,567
369
Teck
Resources,
Ltd.
Class
B
36,976
844
TELUS
Corp.
3,519
78
Thomson
Reuters
Corp.(Æ)
3,457
366
Toromont
Industries,
Ltd.
1,360
115
Toronto-Dominion
Bank
(The)
39,254
2,609
West
Fraser
Timber
Co.,
Ltd.
3,984
286
WSP
Global,
Inc.
2,318
276
30,219
Chile
-
0.0%
Antofagasta
PLC
4,847
101
Denmark
-
1.9%
Ambu
A/S
Class
B
600
22
AP
Moller
-
Maersk
A/S
Class
A
147
393
AP
Moller
-
Maersk
A/S
Class
B
493
1,368
Coloplast
A/S
Class
B
1,074
196
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Danske
Bank
A/S
25,075
439
Demant
A/S(Æ)
3,270
200
DSV
Panalpina
A/S
2,726
664
Genmab
A/S(Æ)
588
265
GN
Store
Nord
A/S
1,707
150
Novo
Nordisk
A/S
Class
B
19,476
1,804
Novozymes
A/S
Class
B
3,394
267
Pandora
A/S
4,563
592
Rockwool
International
A/S
Class
B
280
149
Vestas
Wind
Systems
A/S
7,565
279
6,788
Finland
-
1.7%
Elisa
OYJ
2,678
172
Fortum
OYJ
35,268
974
Kesko
OYJ
Class
B
6,371
273
Kone
OYJ
Class
B
3,679
305
Neste
OYJ
2,332
143
Nordea
Bank
AB
118,598
1,387
Orion
OYJ
Class
B
6,037
257
Sampo
OYJ
Class
A
8,327
402
Stora
Enso
OYJ
Class
R
49,764
984
UPM-
Kymmene
OYJ
18,688
764
Wartsila
OYJ
Abp
Class
B
34,159
515
6,176
France
-
8.2%
Air
Liquide
SA
Class
A
2,463
428
Airbus
Group
SE(Æ)
4,089
561
Amundi
SA(Þ)
2,267
210
Arkema
SA
4,423
563
Atos
SE
8,373
401
AXA
SA
42,760
1,107
BioMerieux
803
96
BNP
Paribas
SA
23,227
1,413
Bollore
SA
78,273
437
Bouygues
SA
-
ADR
12,298
474
Capgemini
SE
2,470
534
Carrefour
SA
33,417
621
Cie
de
Saint-Gobain
SA
23,806
1,703
Cie
Generale
des
Etablissements
Michelin
SCA
Class
B
9,121
1,489
Credit
Agricole
SA
41,415
576
Danone
SA
11,483
845
Dassault
Aviation
SA
137
163
Dassault
Systemes
SE
9,415
519
Eiffage
SA
4,613
470
Electricite
de
France
SA
400
5
Engie
SA
13,579
181
Russell
Investment
Company
Multifactor
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
432
Multifactor
International
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
EssilorLuxottica
SA
1,391
263
Eurazeo
SE
1,310
127
Faurecia
SE
1,492
68
Hermes
International
542
829
Iliad
SA
627
135
Klepierre
SA
-
GDR(ö)
10,283
249
La
Francaise
des
Jeux
SAEM(Þ)
1,182
63
Legrand
SA
-
ADR
1,578
178
L'Oreal
SA
3,050
1,397
LVMH
Moet
Hennessy
Louis
Vuitton
SE
-
ADR
3,710
2,970
Orange
SA
-
ADR
65,319
728
Pernod
Ricard
SA
553
122
Publicis
Groupe
SA
-
ADR
16,675
1,052
Remy
Cointreau
SA
535
118
Sanofi
-
ADR
19,041
1,962
Sartorius
Stedim
Biotech
842
481
Schneider
Electric
SE
8,059
1,350
SCOR
SE
-
ADR
6,459
181
SEB
SA
613
102
Societe
Generale
SA
20,199
592
SUEZ
SA
17,813
416
Teleperformance
-
GDR
499
211
Total
SA
47,405
2,067
Valeo
SA
2,248
65
Vinci
SA
4,463
472
Vivendi
SA
-
ADR
9,215
311
29,305
Germany
-
8.1%
Allianz
SE
7,877
1,962
Aroundtown
SA
52,213
409
BASF
SE
20,280
1,594
Bayer
AG
20,051
1,196
Bayerische
Motoren
Werke
Aktiengesellschaft
13,253
1,318
Bechtle
AG
646
134
Beiersdorf
AG
887
105
Brenntag
AG
5,616
561
Carl
Zeiss
Meditec
AG
890
198
Continental
AG(Æ)
4,202
571
Covestro
AG(Þ)
12,268
789
Daimler
AG
25,038
2,238
Deutsche
Bank
AG(Æ)
94,540
1,195
Deutsche
Boerse
AG
210
35
Deutsche
Post
AG
22,520
1,525
Deutsche
Telekom
AG
56,863
1,181
Deutsche
Wohnen
SE
4,657
291
E.ON
SE
41,168
506
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Evonik
Industries
AG
15,215
529
Fresenius
Medical
Care
AG
&
Co.
9,571
756
Fresenius
SE
&
Co.
KGaA
16,921
890
GEA
Group
AG
5,226
232
Hannover
Rueck
SE
2,342
394
HeidelbergCement
AG
10,324
916
HelloFresh
SE(Æ)
4,445
417
Henkel
AG
&
Co.
KGaA
1,721
156
Infineon
Technologies
AG
-
ADR
13,736
524
KION
Group
AG
3,039
323
Knorr-
Bremse
AG
887
101
Lanxess
AG
4,269
309
LEG
Immobilien
AG
816
129
Merck
&
Co.,
Inc.
2,113
433
Muenchener
Rueckversicherungs-
Gesellschaft
AG
3,578
968
Puma
SE
1,786
219
RWE
AG
3,885
138
SAP
SE
-
ADR
8,863
1,271
Scout24
AG(Þ)
1,854
159
Siemens
AG
12,020
1,877
Siemens
Energy
AG(Æ)
11,835
322
Siemens
Healthineers
AG(Þ)
1,826
121
Symrise
AG
925
136
Telefonica
Deutschland
Holding
AG
54,926
148
Uniper
SE
9,922
388
United
Internet
AG
8,556
354
Volkswagen
AG
737
245
Vonovia
SE
4,719
315
Zalando
SE(Æ)(Þ)
2,304
256
28,834
Hong
Kong
-
2.5%
AIA
Group,
Ltd.
99,090
1,188
Bank
of
East
Asia,
Ltd.
(The)
1
BOC
Hong
Kong
Holdings,
Ltd.
61,500
198
CK
Asset
Holdings,
Ltd.
109,973
750
CK
Hutchison
Holdings,
Ltd.
Class
B
84,258
616
CK
Infrastructure
Holdings,
Ltd.
55,500
336
CLP
Holdings,
Ltd.
49,312
509
Hang
Seng
Bank,
Ltd.
4,100
79
Henderson
Land
Development
Co.,
Ltd.
82,197
368
HKT
Trust
&
HKT,
Ltd.
159,658
217
Hong
Kong
Exchanges
&
Clearing,
Ltd.
7,100
454
Jardine
Matheson
Holdings,
Ltd.
13,000
771
Melco
Crown
Entertainment,
Ltd.(Æ)(Š)
8,400
39
New
World
Development
Co.,
Ltd.
58,395
277
Power
Assets
Holdings,
Ltd.
91,000
588
Russell
Investment
Company
Multifactor
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multifactor
International
Equity
Fund
433
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Sino
Land
Co.,
Ltd.
265,689
407
Sun
Hung
Kai
Properties,
Ltd.
41,097
589
Swire
Pacific,
Ltd.
Class
A
41,840
260
Swire
Properties,
Ltd.
56,400
161
Techtronic
Industries
Co.,
Ltd.
22,500
403
WH
Group,
Ltd.(Þ)
469,438
389
Xinyi
Glass
Holdings,
Ltd.
54,000
202
8,801
Ireland
-
0.8%
CRH
PLC
30,690
1,530
Flutter
Entertainment
PLC(Æ)
777
132
Kerry
Group
PLC
Class
A
912
135
Kingspan
Group
PLC
3,986
433
Smurfit
Kappa
Group
PLC
9,688
547
2,777
Israel
-
0.5%
Bank
Leumi
Le-Israel
BM(Æ)
67,859
520
Check
Point
Software
Technologies,
Ltd.
(Æ)
2,128
270
ICL
Group,
Ltd.
37,460
272
Israel
Discount
Bank,
Ltd.
Class
A(Æ)
46,648
219
Mizrahi
Tefahot
Bank,
Ltd.
5,654
171
Nice,
Ltd.(Æ)
1,145
319
1,771
Italy
-
1.4%
Assicurazioni
Generali
SpA
35,767
715
DiaSorin
SpA
250
51
Enel
SpA
40,436
373
Ferrari
NV
1
Intesa
Sanpaolo
SpA
418,064
1,155
Mediobanca
Banca
di
Credito
Finanziario
SpA
23,764
278
Moncler
SpA
4,989
344
Poste
Italiane
SpA
(Þ)
36,770
487
Recordati
SpA
5,351
331
Snam
Rete
Gas
SpA
40,361
244
Telecom
Italia
SpA
650,149
286
Terna
Rete
Elettrica
Nazionale
SpA
16,481
131
UniCredit
SpA
62,849
752
5,147
Japan
-
20.2%
Advantest
Corp.
1,700
151
Aeon
Co.,
Ltd.
6,400
175
Aisin
Seiki
Co.,
Ltd.
13,000
526
Ajinomoto
Co.,
Inc.
9,900
252
Asahi
Glass
Co.,
Ltd.
13,700
589
Asahi
Group
Holdings,
Ltd.
7,200
324
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Asahi
Kasei
Corp.
38,500
420
Astellas
Pharma,
Inc.
36,400
580
Bandai
Namco
Holdings,
Inc.
2,600
168
Bridgestone
Corp.
24,600
1,083
Brother
Industries,
Ltd.
18,400
374
Canon,
Inc.
27,200
625
Capcom
Co.,
Ltd.
-
GDR
2,000
55
Century
Tokyo
Leasing
Corp.
2,400
132
Chiba
Bank,
Ltd.
(The)
29,600
169
Chubu
Electric
Power
Co.,
Inc.
35,600
429
Chugai
Pharmaceutical
Co.,
Ltd.
4,300
159
CyberAgent
,
Inc.
13,600
245
Dai-ichi
Life
Holdings,
Inc.
26,500
490
Daiichi
Sankyo
Co.,
Ltd.
9,100
180
Daikin
Industries,
Ltd.
1,500
312
Daito
Trust
Construction
Co.,
Ltd.
4,200
494
Daiwa
House
Industry
Co.,
Ltd.
15,700
482
Daiwa
House
REIT
Investment
Corp.(ö)
25
74
Daiwa
Securities
Group,
Inc.
79,600
418
Denso
Corp.
10,900
748
Disco
Corp.
500
143
ENEOS
Holdings,
Inc.
146,500
611
FANUC
Corp.
1,500
336
Fuji
Electric
Co.,
Ltd.
7,800
341
FUJIFILM
Holdings
Corp.
13,200
948
Fujitsu,
Ltd.
2,900
493
GLP
J-REIT(ö)
47
84
Hamamatsu
Photonics
KK
2,400
134
Harmonic
Drive
Systems,
Inc.
1,200
67
Hirose
Electric
Co.,
Ltd.
900
135
Hitachi
Metals,
Ltd.
5,300
103
Hitachi,
Ltd.
23,400
1,345
Honda
Motor
Co.,
Ltd.
30,900
988
Hoya
Corp.
2,900
409
Ibiden
Co.,
Ltd.
6,000
318
Idemitsu
Kosan
Co.,
Ltd.
18,400
433
Iida
Group
Holdings
Co.,
Ltd.
11,000
265
Inpex
Corp.
68,900
486
Isuzu
Motors,
Ltd.
46,000
612
ITOCHU
Corp.
46,700
1,392
Japan
Exchange
Group,
Inc.
100
2
Japan
Post
Bank
Co.,
Ltd.
Class
A
7,800
66
Japan
Post
Holdings
Co.,
Ltd.
35,600
303
Japan
Post
Insurance
Co.,
Ltd.
Class
A
5,300
94
Japan
Real
Estate
Investment
Corp.(ö)
34
213
Japan
Retail
Fund
Investment
Corp.(ö)
70
73
Japan
Tobacco,
Inc.
40,400
790
Russell
Investment
Company
Multifactor
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
434
Multifactor
International
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
JFE
Holdings,
Inc.
29,300
359
JSR
Corp.
6,200
208
Kajima
Corp.
27,800
360
Kakaku.com,
Inc.
3,600
98
Kansai
Electric
Power
Co.,
Inc.
(The)
43,700
414
Kao
Corp.
900
54
KDDI
Corp.
37,200
1,136
Keyence
Corp.
900
501
Kikkoman
Corp.
2,300
141
Kirin
Holdings
Co.,
Ltd.
8,900
163
Kobayashi
Pharmaceutical
Co.,
Ltd.
100
8
Komatsu,
Ltd.
13,200
344
Konami
Holdings
Corp.
2,600
144
Kubota
Corp.
7,400
155
Kyocera
Corp.
5,100
315
Kyowa
Kirin
Co.,
Ltd.
4,100
133
Lasertec
Corp.
1,200
226
Lawson,
Inc.
2,000
100
Lion
Corp.
100
2
LIXIL
Group
Corp.
13,300
363
M3,
Inc.
5,300
347
Makita
Corp.
2,900
150
Marubeni
Corp.
116,100
995
Mazda
Motor
Corp.(Æ)
25,200
248
Medipal
Holdings
Corp.
13,400
252
MEIJI
Holdings
Co.,
Ltd.
1,800
111
Mitsubishi
Chemical
Holdings
Corp.
98,600
828
Mitsubishi
Corp.
40,300
1,137
Mitsubishi
Electric
Corp.
65,900
892
Mitsubishi
Estate
Co.,
Ltd.
5,000
78
Mitsubishi
Gas
Chemical
Co.,
Inc.
12,800
267
Mitsubishi
Heavy
Industries,
Ltd.
10,200
296
Mitsubishi
UFJ
Financial
Group,
Inc.
156,100
827
Mitsubishi
UFJ
Lease
&
Finance
Co.,
Ltd.
33,500
183
Mitsui
&
Co.,
Ltd.
64,600
1,492
Mitsui
Chemicals,
Inc.
14,900
476
Mitsui
Fudosan
Co.,
Ltd.
13,700
321
Mizuho
Financial
Group,
Inc.
34,400
491
MonotaRO
Co.,
Ltd.
4,400
101
MS&AD
Insurance
Group
Holdings,
Inc.
10,500
325
Murata
Manufacturing
Co.,
Ltd.
4,600
381
Nabtesco
Corp.
3,000
115
NEC
Corp.
8,800
447
NGK
Insulators,
Ltd.
10,500
168
NH
Foods,
Ltd.
4,200
170
Nidec
Corp.
2,100
236
Nihon
M&A
Center,
Inc.
4,200
117
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Nintendo
Co.,
Ltd.
1,500
773
Nippon
Express
Co.,
Ltd.
4,000
292
Nippon
Shinyaku
Co.,
Ltd.
1,200
90
Nippon
Steel
Corp.
23,300
407
Nippon
Telegraph
&
Telephone
Corp.
31,318
802
Nippon
Yusen
14,300
773
Nissan
Chemical
Industries,
Ltd.
100
5
Nissan
Motor
Co.,
Ltd.(Æ)
65,600
380
Nissin
Foods
Holdings
Co.,
Ltd.
900
64
Nitori
Holdings
Co.,
Ltd.
800
152
Nitto
Denko
Corp.
3,600
268
Nomura
Holdings,
Inc.
79,900
399
Nomura
Real
Estate
Holdings,
Inc.
11,400
283
Nomura
Real
Estate
Master
Fund,
Inc.(ö)
121
192
Nomura
Research
Institute,
Ltd.
10,400
335
NTT
Data
Corp.
4,200
65
Obayashi
Corp.
51,600
424
Obic
Co.,
Ltd.
600
106
Oji
Holdings
Corp.
73,900
427
Omron
Corp.
2,700
231
Ono
Pharmaceutical
Co.,
Ltd.
8,600
197
ORIX
Corp.
33,600
587
Orix
JREIT,
Inc.(ö)
42
80
Osaka
Gas
Co.,
Ltd.
14,700
276
Otsuka
Corp.
1,100
57
Otsuka
Holdings
Co.,
Ltd.
11,700
465
Pan
Pacific
International
Holdings
Corp.
7,100
148
Panasonic
Corp.
62,200
745
Persol
Holdings
Co.,
Ltd.
4,900
99
Rakuten
,
Inc.
25,600
282
Recruit
Holdings
Co.,
Ltd.
10,000
517
Resona
Holdings,
Inc.
53,900
203
Ricoh
Co.,
Ltd.
25,800
282
Rinnai
Corp.
1,300
120
Ryohin
Keikaku
Co.,
Ltd.
6,300
129
SBI
Holdings,
Inc.
4,200
101
SCSK
Corp.
1,100
66
Secom
Co.,
Ltd.
800
60
Seiko
Epson
Corp.
14,600
251
Sekisui
Chemical
Co.,
Ltd.
25,200
435
Sekisui
House,
Ltd.
27,900
553
Seven
&
i
Holdings
Co.,
Ltd.
13,000
579
SG
Holdings
Co.,
Ltd.
5,600
151
Shimadzu
Corp.
2,700
109
Shimano,
Inc.
800
205
Shimizu
Corp.
46,600
343
Shin-Etsu
Chemical
Co.,
Ltd.
1,700
277
Russell
Investment
Company
Multifactor
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multifactor
International
Equity
Fund
435
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Shionogi
&
Co.,
Ltd.
2,400
126
SMC
Corp.
500
297
SoftBank
Group
Corp.
44,200
1,264
Sompo
Japan
Nipponkoa
Holdings,
Inc.
8,400
348
Sony
Corp.
15,000
1,567
Start
Today
Co.,
Ltd.
4,000
136
Subaru
Corp.
1,692
33
Sumco
Corp.
6,900
160
Sumitomo
Chemical
Co.,
Ltd.
73,100
381
Sumitomo
Corp.
59,700
812
Sumitomo
Dainippon
Pharma
Co.,
Ltd.
15,000
259
Sumitomo
Electric
Industries,
Ltd.
44,800
637
Sumitomo
Metal
Mining
Co.,
Ltd.
18,100
737
Sumitomo
Mitsui
Banking
Corp.
20,200
681
Sumitomo
Mitsui
Trust
Holdings,
Inc.
7,900
260
Sumitomo
Realty
&
Development
Co.,
Ltd.
6,400
208
Suzuki
Motor
Corp.
4,900
199
Sysmex
Corp.
1,800
214
T&D
Holdings,
Inc.
16,300
209
Taisei
Corp.
8,521
288
Takeda
Pharmaceutical
Co.,
Ltd.
13,666
454
Tecmo
Koei
Holdings
Co.,
Ltd.
2,210
104
Terumo
Corp.
3,200
124
THK
Co.,
Ltd.
5,300
152
TIS,
Inc.
3,900
101
Tobu
Railway
Co.,
Ltd.
4,100
107
Tohoku
Electric
Power
Co.,
Inc.
35,300
268
Tokio
Marine
Holdings,
Inc.
5,400
258
Tokyo
Electric
Power
Co.
Holdings,
Inc.
(Æ)
91,000
243
Tokyo
Electron,
Ltd.
3,000
1,237
Tokyo
Gas
Co.,
Ltd.
10,700
203
Toppan
Printing
Co.,
Ltd.
21,600
367
Toray
Industries,
Inc.
89,100
587
Toshiba
Corp.
8,300
357
Tosoh
Corp.
21,100
371
TOTO,
Ltd.
1,700
88
Toyo
Suisan
Kaisha,
Ltd.
4,000
153
Toyota
Industries
Corp.
7,800
654
Toyota
Motor
Corp.
41,500
3,728
Toyota
Tsusho
Corp.
18,800
888
Unicharm
Corp.
2,700
108
United
Urban
Investment
Corp.(ö)
46
68
USS
Co.,
Ltd.
3,700
64
Wannyan
Mura
Co.,
Ltd.
2,600
115
Yakult
Honsha
Co.,
Ltd.
100
6
Yamada
Denki
Co.,
Ltd.
58,400
276
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Yamaha
Motor
Co.,
Ltd.
18,500
463
Yamato
Holdings
Co.,
Ltd.
4,100
118
Yaskawa
Electric
Corp.
2,900
143
71,919
Jersey
-
0.2%
Glencore
PLC(Æ)
160,002
719
Luxembourg
-
0.6%
ArcelorMittal
SA(Æ)
42,687
1,491
Eurofins
Scientific
SE
4,630
554
Tenaris
SA
22,730
232
2,277
Netherlands
-
4.1%
Adyen
NV(Æ)(Þ)
85
231
Aegon
NV
106,549
453
Akzo
Nobel
NV
1,885
233
ASM
International
NV
1,290
459
ASML
Holding
NV
6,183
4,702
Exor
NV
6,272
517
Heineken
NV
876
102
ING
Groep
NV
97,150
1,244
Koninklijke
Ahold
Delhaize
NV
37,384
1,162
Koninklijke
DSM
NV
598
121
Koninklijke
KPN
NV
37,451
123
Koninklijke
Philips
NV
5,500
254
Koninklijke
Vopak
NV
2,884
122
NN
Group
NV
16,216
805
Randstad
NV
9,943
722
Royal
Dutch
Shell
PLC
Class
A
55,393
1,111
Royal
Dutch
Shell
PLC
Class
B
37,000
730
Stellantis
NV
50,332
968
Wolters
Kluwer
NV
3,553
405
14,464
New
Zealand
-
0.2%
Fisher
&
Paykel
Healthcare
Corp.,
Ltd.
8,984
198
Mercury
NZ,
Ltd.
39,416
182
Spark
New
Zealand,
Ltd.
60,154
198
578
Norway
-
0.6%
DNB
Bank
ASA(Æ)
14,051
288
Mowi
ASA
12,436
317
Norsk
Hydro
ASA
75,116
500
Orkla
ASA
42,644
388
Schibsted
ASA
Class
A
2,097
111
Telenor
ASA
9,550
166
Russell
Investment
Company
Multifactor
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
436
Multifactor
International
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Yara
International
ASA
10,084
530
2,300
Portugal
-
0.1%
Banco
Espirito
Santo
SA
Class
C(Æ)(Š)
22,842
3
Jeronimo
Martins
SGPS
SA
9,843
201
204
Russia
-
0.1%
Evraz
PLC
32,771
280
Singapore
-
0.7%
CapitaLand,
Ltd.
43,500
129
DBS
Group
Holdings,
Ltd.
9,897
222
Oversea-Chinese
Banking
Corp.,
Ltd.
63,479
574
Singapore
Technologies
Engineering,
Ltd.
37,000
109
Singapore
Telecommunications,
Ltd.
239,100
401
United
Overseas
Bank,
Ltd.
22,100
428
UOL
Group,
Ltd.
38,800
209
Wilmar
International,
Ltd.
156,200
502
2,574
South
Africa
-
0.3%
Anglo
American
PLC
22,730
1,007
Spain
-
2.0%
ACS
Actividades
de
Construccion
y
Servicios
SA
16,631
437
Banco
Bilbao
Vizcaya
Argentaria
SA
-
ADR
133,236
855
Banco
Santander
SA
-
ADR
356,779
1,304
CaixaBank
SA
116,906
348
Enagas
SA
12,230
281
Endesa
SA
-
ADR
15,036
366
Gamesa
Corp.
Technologica
SA(Æ)
3,500
98
Iberdrola
SA
50,440
608
Industria
de
Diseno
Textil
SA
2,879
98
Naturgy
Energy
Group
SA
14,150
366
Red
Electrica
Corp.
SA
22,642
448
Repsol
SA
-
ADR
99,660
1,089
Telefonica
SA
-
ADR
136,848
628
6,926
Sweden
-
3.7%
Assa
Abloy
AB
Class
B
6,443
207
Atlas
Copco
AB(Æ)
16,481
1,056
Boliden
AB(Æ)
23,217
905
Electrolux
AB
15,056
395
Epiroc
AB
Class
A
8,805
206
Epiroc
AB
Class
B
2,949
59
Essity
Aktiebolag
Class
B
6,073
199
Evolution
Gaming
Group
AB(Þ)
3,266
570
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Hennes
&
Mauritz
AB
Class
B(Æ)
6,242
131
Hexagon
AB(Æ)
22,897
380
Husqvarna
AB
Class
B
27,653
387
ICA
Gruppen
AB
5,345
264
Industrivarden
AB
Class
C
3,554
136
Investment
AB
Latour
Class
B
2,070
81
Investor
AB
Class
B
32,691
810
Kinnevik
AB
Class
B(Æ)
9,609
419
L
E
Lundbergforetagen
AB
Class
B
1,904
136
Lundin
Petroleum
AB
6,870
214
Nibe
Industrier
AB
Class
B
32,854
393
Sandvik
AB
27,430
714
Securitas
AB
Class
B
16,109
284
Sinch
AB(Æ)(Þ)
14,370
291
Skandinaviska
Enskilda
Banken
AB
Class
A
63,694
860
Skanska
AB
Class
B
23,006
649
SKF
AB
Class
B
10,081
268
Svenska
Handelsbanken
AB
Class
A
50,625
572
Swedbank
AB
Class
A
26,212
511
Swedish
Match
AB
82,740
741
Tele2
AB
Class
B
9,880
145
Telefonaktiebolaget
LM
Ericsson
Class
B
12,082
139
Volvo
AB
Class
A
-
GDR
4,665
114
Volvo
AB
Class
B
31,249
737
12,973
Switzerland
-
7.9%
ABB,
Ltd.
23,629
864
Adecco
Group
AG
9,872
591
Baloise
Holding
AG
2,416
382
Barry
Callebaut
AG
52
132
Chocoladefabriken
Lindt
&
Spruengli
AG
25
490
Cie
Financiere
Richemont
SA
Class
A
5,388
690
Credit
Suisse
Group
AG
Class
A
46,792
470
EMS-
Chemie
Holding
AG
37
41
Geberit
AG
715
587
Givaudan
SA
47
235
Julius
Baer
Group,
Ltd.
2,897
192
Kuehne
&
Nagel
International
AG
3,109
1,049
LafargeHolcim
,
Ltd.(Æ)
21,482
1,259
Logitech
International
SA
4,020
439
Lonza
Group
AG
423
329
Nestle
SA
39,313
4,981
Novartis
AG
33,540
3,102
Partners
Group
Holding
AG
587
1,004
Roche
Holding
AG
9,735
3,765
Schindler
Holding
AG
1,142
366
Russell
Investment
Company
Multifactor
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multifactor
International
Equity
Fund
437
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
SGS
SA
86
279
Sika
AG
1,954
688
Sonova
Holding
AG
925
363
STMicroelectronics
NV
7,391
303
Straumann
Holding
AG
180
334
Swatch
Group
AG
(The)
2,972
193
Swatch
Group
AG
(The)
Class
B
1,421
475
Swiss
Life
Holding
AG
1,541
796
Swiss
Prime
Site
AG
Class
A
1,903
203
Swiss
Re
AG
3,491
316
Swisscom
AG
943
567
UBS
Group
AG
103,072
1,700
Zurich
Insurance
Group
AG
2,655
1,070
28,255
United
Kingdom
-
10.3%
3i
Group
PLC
47,434
843
Admiral
Group
PLC
5,335
252
Ashtead
Group
PLC
9,898
741
AstraZeneca
PLC
16,702
1,917
Auto
Trader
Group
PLC(Þ)
12,919
117
Aviva
PLC
194,378
1,046
BAE
Systems
PLC
47,751
382
Barclays
PLC
502,822
1,219
Barratt
Developments
PLC
80,608
788
Berkeley
Group
Holdings
PLC
6,820
459
BP
PLC
298,975
1,199
British
American
Tobacco
PLC
43,115
1,607
BT
Group
PLC(Æ)
474,165
1,144
Bunzl
PLC
7,962
295
Burberry
Group
PLC
2,193
63
CNH
Industrial
NV
42,004
702
Croda
International
PLC(Æ)
1,409
165
DCC
PLC
5,558
465
Diageo
PLC
15,122
750
Direct
Line
Insurance
Group
PLC
57,119
236
Experian
PLC
10,249
451
Ferguson
PLC
6,044
847
GlaxoSmithKline
PLC
-
ADR
44,803
885
GVC
Holdings
PLC(Æ)
20,206
510
Halma
PLC
10,175
408
HSBC
Holdings
PLC
298,670
1,648
Imperial
Tobacco
Group
PLC
32,031
686
Intertek
Group
PLC
1,209
87
J
Sainsbury
PLC
139,393
549
JD
Sports
Fashion
PLC
7,829
98
Johnson
Matthey
PLC
13,520
558
Kingfisher
PLC
175,976
901
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Legal
&
General
Group
PLC
182,782
664
Lloyds
Banking
Group
PLC
2,004,461
1,270
M&G
PLC
149,965
470
Mondi
PLC
25,646
711
National
Grid
PLC
37,955
486
Natwest
Group
PLC
174,781
491
Next
PLC
2,953
323
Persimmon
PLC
Class
A
13,350
539
Phoenix
Group
Holdings
PLC
11,848
112
Prudential
PLC
44,604
838
Reckitt
Benckiser
Group
PLC
4,886
375
RELX
PLC
12,123
356
Rentokil
Initial
PLC
16,954
134
Sage
Group
PLC
(The)
9,845
96
Schroders
PLC
2,156
110
Scottish
&
Southern
Energy
PLC
10,697
215
Segro
PLC(ö)
37,238
630
Severn
Trent
PLC
Class
H
6,843
266
Smith
&
Nephew
PLC
9,035
184
Smiths
Group
PLC
4,207
91
Spirax-Sarco
Engineering
PLC
1,084
226
St.
James's
Place
PLC
18,375
405
Standard
Chartered
PLC
46,525
279
Taylor
Wimpey
PLC
248,437
568
Tesco
PLC
192,210
622
Unilever
PLC
29,400
1,693
United
Utilities
Group
PLC
9,550
142
Vodafone
Group
PLC
442,149
709
Wausau
Paper
Corp.
84,649
1,096
Wm
Morrison
Supermarkets
PLC
177,461
660
36,779
United
States
-
0.3%
Bausch
Health
Companies,
Inc.(Æ)
21,302
623
James
Hardie
Industries
PLC
6,277
212
Newmont
Mining
Corp.
1,378
122
957
Total
Common
Stocks
(cost
$244,663)
328,462
Preferred
Stocks
-
1.2%
Germany
-
1.2%
Bayerische
Motoren
Werke
AG
2.688%
(Ÿ)
969
83
Henkel
AG
&
Co.
KGaA
2.229%
(Ÿ)
5,068
514
Porsche
Automobil
Holding
SE
2.688%
(Ÿ)
13,151
1,424
Sartorius
AG
Russell
Investment
Company
Multifactor
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
438
Multifactor
International
Equity
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
0.125%
(Ÿ)
986
596
Volkswagen
AG
2.520%
(Ÿ)
6,561
1,601
4,218
Total
Preferred
Stocks
(cost
$2,587)
4,218
Short-Term
Investments
-
4.7%
United
States
-
4.7%
U.S.
Cash
Management
Fund(@)
16,854,191
(∞)
16,851
Total
Short-Term
Investments
(cost
$16,851)
16,851
Other
Securities
-
0.4%
U.S.
Cash
Collateral
Fund(@)(×)
1,468,458
(∞)
1,468
Total
Other
Securities
(cost
$1,468)
1,468
Total
Investments
-
98.7%
(identified
cost
$265,569)
350,999
Other
Assets
and
Liabilities,
Net
-
1.3%
4,789
Net
Assets
-
100.0%
355,788
Russell
Investment
Company
Multifactor
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multifactor
International
Equity
Fund
439
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
1.1%
Adyen
NV
12/20/19
EUR
85
1,400
.25
119
231
Amundi
SA
01/10/17
EUR
2,267
54
.41
123
210
Auto
Trader
Group
PLC
12/11/20
GBP
12,919
7
.37
95
117
Covestro
AG
07/20/16
EUR
12,268
57
.80
709
789
Evolution
Gaming
Group
AB
11/24/20
SEK
3,266
105
.46
344
570
Hydro
One,
Ltd.
06/19/20
CAD
6,600
18
.71
123
163
La
Francaise
des
Jeux
SAEM
06/14/21
EUR
1,182
60
.08
71
63
Poste
Italiane
SpA
07/20/16
EUR
36,770
9
.39
345
487
Scout24
AG
12/11/20
EUR
1,854
81
.26
151
159
Siemens
Healthineers
AG
04/14/20
EUR
1,826
41
.17
75
121
Sinch
AB
06/14/21
SEK
14,370
18
.93
272
291
WH
Group,
Ltd.
04/30/19
HKD
469,438
0
.92
431
389
Zalando
SE
12/20/19
EUR
2,304
47
.22
109
256
3,846
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
EURO
STOXX
50
Index
Futures
156
EUR
6,377
09/21
(42)
FTSE
100
Index
Futures
18
GBP
1,254
09/21
(30)
Hang
Seng
Index
Futures
10
HKD
12,949
08/21
8
MSCI
Emerging
Markets
Index
Futures
50
USD
3,194
09/21
(224)
MSCI
Singapore
Index
Futures
21
SGD
758
08/21
5
S&P/TSX
60
Index
Futures
13
CAD
3,152
09/21
35
SPI
200
Index
Futures
16
AUD
2,920
09/21
4
TOPIX
Index
Futures
19
JPY
361,950
09/21
(76)
Short
Positions
S&P
500
E-Mini
Index
Futures
30
USD
6,584
09/21
(227)
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
(547)
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
USD
1,435
CAD
1,750
09/15/21
(33)
Bank
of
America
USD
3,205
EUR
2,690
09/15/21
(12)
Bank
of
America
USD
1,800
JPY
198,000
09/15/21
6
Bank
of
America
USD
1,080
NOK
9,000
09/15/21
(61)
Bank
of
America
EUR
1,200
USD
1,464
09/15/21
39
Bank
of
America
JPY
317,000
USD
2,898
09/15/21
7
Bank
of
Montreal
USD
457
AUD
591
09/15/21
(23)
Bank
of
Montreal
USD
1,394
CAD
1,685
09/15/21
(43)
Bank
of
Montreal
USD
1,069
EUR
875
09/15/21
(29)
Bank
of
Montreal
USD
899
GBP
637
09/15/21
(14)
Russell
Investment
Company
Multifactor
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
440
Multifactor
International
Equity
Fund
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
Montreal
USD
515
NOK
4,264
09/15/21
(33)
Bank
of
Montreal
USD
818
NZD
1,140
09/15/21
(24)
Bank
of
Montreal
CHF
970
USD
1,086
09/15/21
13
Bank
of
Montreal
SEK
12,115
USD
1,467
09/15/21
60
Bank
of
New
York
USD
459
AUD
591
09/15/21
(25)
Bank
of
New
York
USD
1,396
CAD
1,685
09/15/21
(46)
Bank
of
New
York
USD
1,071
EUR
875
09/15/21
(32)
Bank
of
New
York
USD
901
GBP
637
09/15/21
(16)
Bank
of
New
York
USD
517
NOK
4,264
09/15/21
(34)
Bank
of
New
York
USD
821
NZD
1,140
09/15/21
(27)
Bank
of
New
York
CHF
970
USD
1,089
09/15/21
17
Bank
of
New
York
SEK
12,115
USD
1,471
09/15/21
63
BNP
Paribas
USD
1,768
CHF
1,600
09/15/21
Citigroup
USD
457
AUD
591
09/15/21
(23)
Citigroup
USD
1,394
CAD
1,685
09/15/21
(44)
Citigroup
USD
1,069
EUR
875
09/15/21
(30)
Citigroup
USD
899
GBP
637
09/15/21
(14)
Citigroup
USD
516
NOK
4,264
09/15/21
(33)
Citigroup
USD
818
NZD
1,140
09/15/21
(24)
Citigroup
CHF
970
USD
1,086
09/15/21
14
Citigroup
SEK
12,115
USD
1,468
09/15/21
61
JPMorgan
Chase
USD
457
AUD
591
09/15/21
(23)
JPMorgan
Chase
USD
1,394
CAD
1,685
09/15/21
(43)
JPMorgan
Chase
USD
1,069
EUR
875
09/15/21
(29)
JPMorgan
Chase
USD
899
GBP
637
09/15/21
(14)
JPMorgan
Chase
USD
515
NOK
4,264
09/15/21
(33)
JPMorgan
Chase
USD
818
NZD
1,140
09/15/21
(24)
JPMorgan
Chase
CHF
970
USD
1,086
09/15/21
13
JPMorgan
Chase
SEK
12,115
USD
1,467
09/15/21
60
Royal
Bank
of
Canada
USD
459
AUD
591
09/15/21
(25)
Royal
Bank
of
Canada
USD
1,396
CAD
1,685
09/15/21
(46)
Royal
Bank
of
Canada
USD
1,071
EUR
875
09/15/21
(32)
Royal
Bank
of
Canada
USD
901
GBP
637
09/15/21
(16)
Royal
Bank
of
Canada
USD
518
NOK
4,264
09/15/21
(35)
Royal
Bank
of
Canada
USD
822
NZD
1,140
09/15/21
(28)
Royal
Bank
of
Canada
CHF
970
USD
1,089
09/15/21
17
Royal
Bank
of
Canada
SEK
12,115
USD
1,472
09/15/21
64
State
Street
USD
179
HKD
1,390
09/15/21
State
Street
USD
1,328
JPY
145,470
09/15/21
(2)
Total
Unrealized
Appreciation
(Depreciation)
on
Open
Foreign
Currency
Exchange
Contracts
(536)
Russell
Investment
Company
Multifactor
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multifactor
International
Equity
Fund
441
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical        
Expedient
(a)
Total
Common
Stocks
Australia
$
446
$
21,435
$
$
$
21,881
Austria
1,611
1,611
Belgium
2,839
2,839
Canada
30,219
30,219
Chile
101
101
Denmark
6,788
6,788
Finland
6,176
6,176
France
29,305
29,305
Germany
28,834
28,834
Hong
Kong
8,762
39
8,801
Ireland
2,777
2,777
Israel
270
1,501
1,771
Italy
5,147
5,147
Japan
71,919
71,919
Jersey
719
719
Luxembourg
2,277
2,277
Netherlands
14,464
14,464
New
Zealand
578
578
Norway
288
2,012
2,300
Portugal
201
3
204
Russia
280
280
Singapore
2,574
2,574
South
Africa
1,007
1,007
Spain
6,926
6,926
Sweden
12,973
12,973
Switzerland
28,255
28,255
United
Kingdom
36,779
36,779
United
States
623
334
957
Preferred
Stocks
4,218
4,218
Short-Term
Investments
16,851
16,851
Other
Securities
1,468
1,468
Total
Investments
31,846
300,792
42
18,319
350,999
Other
Financial
Instruments
Assets
Futures
Contracts
52
52
Foreign
Currency
Exchange
Contracts
434
434
Liabilities
Futures
Contracts
(599)
(599)
Foreign
Currency
Exchange
Contracts
(970)
(970)
Total
Other
Financial
Instruments
*
$
(547)
$
(536)
$
$
$
(1,083)
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
Russell
Investment
Company
Multifactor
International
Equity
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
442
Multifactor
International
Equity
Fund
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Investments
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
a
fair
value
for
the
period
ended
July
31,
2021,
were
less
than
1%
of
net
assets.
Amounts
in
thousands
Sector
Exposure
Fair
Value
$
Common
Stocks
Consumer
Discretionary
..........................................................
46,773
Consumer
Staples
...................................................................
18,607
Energy
....................................................................................
11,669
Financial
Services
...................................................................
81,630
Health
Care
.............................................................................
27,406
Materials
and
Processing
........................................................
47,523
Producer
Durables
..................................................................
47,620
Technology
..............................................................................
23,988
Utilities
...................................................................................
23,246
Preferred
Stocks
Consumer
Discretionary
..........................................................
3,108
Consumer
Staples
...................................................................
514
Technology
..............................................................................
596
Short-Term
Investments
................................................................
16,851
Other
Securities
...........................................................................
1,468
Total
Investments
....................................................................
350,999
Russell
Investment
Company
Multifactor
Bond
Fund
Schedule
of
Investments
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multifactor
Bond
Fund
443
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Long-Term
Investments
-
87.3%
Corporate
Bonds
and
Notes
-
14.4%
Berkshire
Hathaway
Energy
Co.
5.150%
due
11/15/43
147
198
Boardwalk
Pipelines,
LP
3.400%
due
02/15/31
203
219
Brighthouse
Financial,
Inc.
Series
WI
4.700%
due
06/22/47
98
110
Capital
One
Financial
Corp.
3.650%
due
05/11/27
195
219
Coca-Cola
Co.
(The)
1.125%
due
03/09/27
119
151
DH
Europe
Finance
II
SARL
0.450%
due
03/18/28
111
135
Energy
Transfer
Operating,
LP
7.500%
due
07/01/38
138
196
Enterprise
Products
Operating
LLC
Series
D
6.875%
due
03/01/33
125
180
Exelon
Generation
Co.
LLC
5.600%
due
06/15/42
183
220
Fiat
Chrysler
Automobiles
NV
Series
WI
5.250%
due
04/15/23
139
149
GE
Capital
International
Funding
Co.,
ULC
Series
WI
4.418%
due
11/15/35
200
244
General
Electric
Co.
Series
GMTN
6.875%
due
01/10/39
44
67
General
Motors
Financial
Co.,
Inc.
5.200%
due
03/20/23
38
41
3.700%
due
05/09/23
89
93
GLP
Capital,
LP
/
GLP
Financing
II,
Inc.
5.300%
due
01/15/29
149
176
HCA,
Inc.
5.250%
due
06/15/49
131
172
Inter-American
Development
Bank
3.125%
due
09/18/28
550
626
Jefferies
Group
LLC
Series
EMTN
6.250%
due
01/15/36
94
128
JPMorgan
Chase
&
Co.
2.182%
due
06/01/28
(SOFR
+
1.890%)(Ê)
141
146
Kinder
Morgan
Energy
Partners,
LP
6.550%
due
09/15/40
167
237
McDonald's
Corp.
4.700%
due
12/09/35
156
198
Microsoft
Corp.
3.500%
due
02/12/35
126
150
NGPL
PipeCo
LLC
4.875%
due
08/15/27
(Þ)
154
178
PacifiCorp
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
6.250%
due
10/15/37
144
208
Santander
Holdings,
Inc.
Series
FXD
3.500%
due
06/07/24
158
169
Southern
Power
Co.
5.150%
due
09/15/41
184
229
Spectra
Energy
Partners,
LP
4.750%
due
03/15/24
197
216
Synchrony
Financial
3.700%
due
08/04/26
157
172
Thermo
Fisher
Scientific,
Inc.
0.750%
due
09/12/24
126
154
Time
Warner
Cable
LLC
7.300%
due
07/01/38
117
172
T-Mobile
USA,
Inc.
Series
WI
3.500%
due
04/15/25
212
229
Upjohn
Finance
BV
2.700%
due
06/22/30
(Þ)
206
212
5,994
International
Debt
-
16.7%
Adani
Ports
and
Special
Economic
Zone,
Ltd.
Series
REGS
4.200%
due
08/04/27
200
210
Altria
Group,
Inc.
3.125%
due
06/15/31
EUR
88
123
AT&T,
Inc.
Series
MPLE
4.850%
due
05/25/47
CAD
256
230
Bank
of
America
Corp.
7.000%
due
07/31/28
GBP
50
96
Bank
of
Nova
Scotia
(The)
1.950%
due
02/01/23
215
220
Barclays
PLC
5.250%
due
08/17/45
157
212
Bayer
US
Finance
LLC
3.375%
due
10/08/24
(Þ)
204
219
Bayer
US
Finance
II
LLC
3.875%
due
12/15/23
(Þ)
204
218
Becton
Dickinson
and
Co.
1.000%
due
12/15/22
EUR
124
150
Berkshire
Hathaway
Finance
Corp.
2.375%
due
06/19/39
GBP
114
176
BNP
Paribas
SA
3.500%
due
03/01/23
(Þ)
221
232
Bocom
Leasing
Management
Hong
Kong
Co.,
Ltd.
4.375%
due
01/22/24
200
215
Brookfield
Finance
LLC
3.450%
due
04/15/50
206
218
Brookfield
Finance,
Inc.
4.350%
due
04/15/30
174
205
Canadian
Imperial
Bank
of
Commerce
3.100%
due
04/02/24
218
232
Comcast
Corp.
Russell
Investment
Company
Multifactor
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
444
Multifactor
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
0.250%
due
05/20/27
EUR
103
124
Credit
Suisse
Group
AG
Series
WI
3.800%
due
06/09/23
175
185
Danske
Bank
A/S
1.226%
due
06/22/24
(Þ)
147
149
Deutsche
Bank
AG
2.222%
due
09/18/24
(SOFR
+
2.159%)(Ê)
144
148
Deutsche
Telekom
International
Finance
BV
2.485%
due
09/19/23
(Þ)
227
235
Exxon
Mobil
Corp.
1.408%
due
06/26/39
EUR
171
206
Fidelity
National
Information
Services,
Inc.
0.750%
due
05/21/23
EUR
120
145
Honeywell
International,
Inc.
2.250%
due
02/22/28
EUR
100
136
IBM
Corp.
1.750%
due
03/07/28
EUR
100
132
Illinois
Tool
Works,
Inc.
1.000%
due
06/05/31
EUR
100
128
International
Bank
for
Reconstruction
&
Development
3.000%
due
10/19/26
AUD
50
41
Johnson
&
Johnson
0.650%
due
05/20/24
EUR
118
144
Marubeni
Corp.
1.319%
due
09/18/25
206
206
Medtronic
Global
Holdings
SCA
0.375%
due
03/07/23
EUR
102
122
PepsiCo,
Inc.
2.150%
due
05/06/24
CAD
257
212
Procter
&
Gamble
Co.
(The)
0.500%
due
10/25/24
EUR
126
154
SF
Holding
Investment,
Ltd.
4.125%
due
07/26/23
200
211
Southern
Copper
Corp.
7.500%
due
07/27/35
137
196
Standard
Chartered
PLC
4.300%
due
02/19/27
(Þ)
131
145
Sura
Asset
Management
SA
Series
REGS
4.875%
due
04/17/24
157
169
Sysco
Canada,
Inc.
3.650%
due
04/25/25
CAD
239
205
Verizon
Communications,
Inc.
4.500%
due
08/17/27
AUD
200
169
Volkswagen
Group
of
America
Finance
LLC
3.125%
due
05/12/23
(Þ)
146
152
Walmart,
Inc.
4.875%
due
09/21/29
EUR
73
120
Wells
Fargo
&
Co.
2.125%
due
12/20/23
GBP
91
130
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
6,920
Non-US
Bonds
-
45.4%
Abbott
Laboratories
0.875%
due
09/27/23
EUR
118
144
Alimentation
Couche-Tard,
Inc.
Series
5
3.600%
due
06/02/25
CAD
244
210
AltaLink,
LP
3.717%
due
12/03/46
CAD
224
201
Anheuser-Busch
InBev
SA
9.750%
due
07/30/24
GBP
119
209
Assicurazioni
Generali
SpA
5.500%
due
10/27/47
(3
Month
EURIBOR
+
5.350%)(Ê)
EUR
91
134
Australia
Government
International
Bond
Series
142
4.250%
due
04/21/26
AUD
120
103
Series
162
1.750%
due
06/21/51
AUD
40
27
Bank
of
Montreal
2.370%
due
02/03/25
CAD
179
149
Bankinter
SA
1.250%
due
12/23/32
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
5
Year
Rate
+
1.450%)(Ê)
EUR
100
120
Becton
Dickinson
and
Co.
1.208%
due
06/04/26
EUR
124
155
Bonos
y
Obligaciones
del
Estado
Government
International
Bonds
1.250%
due
10/31/30
(Þ)
EUR
920
1,204
1.200%
due
10/31/40
(Þ)
EUR
60
75
Series
REGS
0.800%
due
07/30/27
(Þ)
EUR
200
252
BP
Capital
Markets
PLC
1.953%
due
03/03/25
EUR
119
152
Brookfield
Asset
Management,
Inc.
5.040%
due
03/08/24
CAD
228
199
Bundesrepublik
Deutschland
0.000%
due
08/15/50
EUR
40
47
Buoni
del
Tesoro
Poliennali
Bonds
1.500%
due
06/01/25
EUR
450
568
Caisse
d'Amortissement
de
la
Dette
Sociale
0.000%
due
05/25/31
EUR
100
119
Canadian
National
Railway
Co.
3.950%
due
09/22/45
CAD
157
138
Cie
de
Saint-Gobain
SA
1.750%
due
04/03/23
EUR
100
123
Compass
Group
PLC
1.875%
due
01/27/23
EUR
100
123
Conti-Gummi
Finance
BV
2.125%
due
11/27/23
EUR
137
171
Credit
Agricole
SA
2.000%
due
07/17/30
EUR
100
127
Czech
Republic
Government
International
Bond
Russell
Investment
Company
Multifactor
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multifactor
Bond
Fund
445
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
100
0.250%
due
02/10/27
CZK
2,900
125
Danaher
Corp.
2.500%
due
03/30/30
EUR
164
231
Denmark
Government
International
Bond
1.750%
due
11/15/25
DKK
831
146
E.ON
SE
0.375%
due
04/20/23
EUR
120
144
Enbridge
Pipelines,
Inc.
5.350%
due
11/10/39
CAD
102
98
Enbridge,
Inc.
5.570%
due
11/14/35
CAD
207
196
Enel
Finance
International
NV
1.000%
due
09/16/24
EUR
123
152
Enel
SpA
5.750%
due
06/22/37
GBP
59
121
Engie
Alliance
GIE
5.750%
due
06/24/23
EUR
141
186
Engie
SA
0.875%
due
09/19/25
EUR
100
124
Eni
SpA
1.500%
due
01/17/27
EUR
135
173
Fairfax
Financial
Holdings,
Ltd.
4.700%
due
12/16/26
CAD
230
206
France
Government
International
Bond
4.000%
due
04/25/60
EUR
90
223
Fresenius
Finance
Ireland
PLC
1.500%
due
01/30/24
EUR
166
205
Gatwick
Funding,
Ltd.
2.500%
due
04/15/30
GBP
100
141
GE
Capital
European
Funding
Unlimited
Co.
6.025%
due
03/01/38
EUR
98
198
GE
Capital
UK
Funding
Co.
8.000%
due
01/14/39
GBP
62
155
HSBC
Holdings
PLC
7.000%
due
04/07/38
GBP
50
109
Hungary
Government
International
Bond
Series
24/C
2.500%
due
10/24/24
HUF
25,000
84
Iberdrola
International
BV
1.750%
due
09/17/23
EUR
100
124
Innogy
Finance
BV
3.000%
due
01/17/24
EUR
147
188
Intermediate
Capital
Group
PLC
1.625%
due
02/17/27
EUR
143
176
Intesa
Sanpaolo
SpA
1.375%
due
01/18/24
EUR
123
152
Italy
Buoni
Poliennali
Del
Tesoro
0.950%
due
09/15/27
(Þ)
EUR
150
187
2.150%
due
03/01/72
(Þ)
EUR
325
395
Japan
10
Year
Government
International
Bond
Series
349
0.100%
due
12/20/27
JPY
115,000
1,063
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Japan
20
Year
Government
International
Bond
Series
165
0.500%
due
06/20/38
JPY
76,000
717
Japan
30
Year
Government
International
Bond
Series
33
2.000%
due
09/20/40
JPY
24,000
284
Series
37
1.900%
due
09/20/42
JPY
59,000
698
Japan
40
Year
Government
International
Bond
Series
13
0.500%
due
03/20/60
JPY
53,900
456
Jyske
Bank
A/S
0.625%
due
06/20/24
(EUR
Swap
Annual
[versus
6
Month
EURIBOR]
1
Year
Rate
+
0.950%)(Ê)
EUR
102
123
KfW
0.010%
due
03/31/25
EUR
110
133
0.500%
due
09/15/27
EUR
300
377
Lloyds
Banking
Group
PLC
1.875%
due
01/15/26
(U.K.
Government
Bonds
1
Year
Note
Generic
Bid
Yield
+
1.300%)(Ê)
GBP
109
155
Loblaw
Cos.,
Ltd.
4.860%
due
09/12/23
CAD
230
197
LVMH
Moet
Hennessy
Louis
Vuitton
SE
0.125%
due
02/28/23
EUR
100
120
Mexican
Bonos
Series
M
7.750%
due
11/13/42
MXN
3,110
159
National
Bank
of
Canada
2.580%
due
02/03/25
CAD
178
149
Nederlandse
Waterschapsbank
NV
0.125%
due
05/28/27
EUR
360
439
Nestle
Holdings,
Inc.
0.750%
due
05/16/23
EUR
92
111
Network
Rail
Infrastructure
Finance
PLC
4.750%
due
11/29/35
GBP
135
279
New
Zealand
Government
International
Bond
Series
0427
4.500%
due
04/15/27
NZD
60
49
Northern
Powergrid
Holdings
Co.
7.250%
due
12/15/22
GBP
110
167
Norway
Government
International
Bond
Series
478
1.500%
due
02/19/26
(Þ)
NOK
200
23
Orange
SA
3.125%
due
01/09/24
EUR
100
129
Poland
Government
International
Bond
Series
1029
2.750%
due
10/25/29
PLN
400
114
Prosus
NV
Series
REGS
2.031%
due
08/03/32
EUR
100
121
Royal
Bank
of
Canada
Russell
Investment
Company
Multifactor
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
446
Multifactor
Bond
Fund
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
Series
DPNT
2.360%
due
12/05/22
CAD
189
155
Santander
Issuances
SA
2.500%
due
03/18/25
EUR
100
129
Santander
UK
Group
Holdings
PLC
1.125%
due
09/08/23
EUR
108
132
7.037%
due
08/29/49
(U.K.
Government
Bonds
5
Year
Note
Generic
Bid
Yield
+
3.750%)(Ê)(ƒ)
GBP
110
170
Schneider
Electric
SE
0.875%
due
03/11/25
EUR
100
124
Sky,
Ltd.
2.500%
due
09/15/26
EUR
112
150
Standard
Chartered
PLC
5.125%
due
06/06/34
GBP
65
117
Sweden
Government
International
Bond
Series
1058
2.500%
due
05/12/25
SEK
860
110
Switzerland
Government
International
Bond
0.002%
due
07/24/39
CHF
120
136
Telefonica
Emisiones
SA
5.289%
due
12/09/22
GBP
150
222
TELUS
Corp.
Series
CJ
3.350%
due
03/15/23
CAD
241
200
Terega
2.200%
due
08/05/25
EUR
100
129
Tesco
Corp.
Treasury
Services
PLC
2.500%
due
05/02/25
GBP
91
134
Toronto-Dominion
Bank
(The)
0.375%
due
04/25/24
EUR
102
123
Treasury
Corp.
of
Victoria
1.500%
due
09/10/31
AUD
200
147
UniCredit
SpA
2.000%
due
03/04/23
EUR
114
140
United
Kingdom
Gilt
0.250%
due
07/31/31
GBP
230
307
3.500%
due
01/22/45
GBP
74
157
1.625%
due
10/22/54
GBP
100
165
United
Parcel
Service,
Inc.
0.375%
due
11/15/23
EUR
117
141
Volkswagen
Group
of
America
Finance
LLC
2.125%
due
06/27/24
GBP
100
144
Volkswagen
International
Finance
NV
Series
EMTN
0.875%
due
01/16/23
EUR
142
171
Westcoast
Energy,
Inc.
3.120%
due
12/05/22
CAD
241
199
Woolworths
Group,
Ltd.
2.850%
due
04/23/24
AUD
220
170
18,824
United
States
Government
Treasuries
-
10.8%
United
States
Treasury
Notes
1.625%
due
10/31/26
1,400
1,464
Amounts
in
thousands
(except
share
amounts)
Principal
Amount
($)
or
Shares
Fair
Value
$
5.250%
due
02/15/29
994
1,298
0.625%
due
08/15/30
600
571
1.125%
due
02/15/31
400
397
2.250%
due
08/15/46
110
118
2.250%
due
08/15/49
280
301
1.250%
due
05/15/50
400
340
4,489
Total
Long-Term
Investments
(cost
$34,963
)
36,227
Short-Term
Investments
-
10.6%
U.S.
Cash
Management
Fund(@)
2,171,740(∞)
2,171
United
States
Treasury
Notes
0.125%
due
06/30/22
1,700
1,701
0.125%
due
07/31/22
525
525
Total
Short-Term
Investments
(cost
$4,397)
4,397
Total
Investments
-
97.9%
(identified
cost
$39,360)
40,624
Other
Assets
and
Liabilities,
Net
-
2.1%
885
Net
Assets
-
100.0%
41,509
Russell
Investment
Company
Multifactor
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multifactor
Bond
Fund
447
Restricted
Securities
Amounts
in
thousands
(except
share
and
cost
per
unit
amounts)
%
of
Net
Assets
Acquisition
Principal
Amount
($)
Cost
per
Unit
Cost
(000)
Fair
Value
(000)
Securities
Date
or
shares
$
$
$
9.3%
Bayer
US
Finance
LLC
11/14/19
204,000
101.80
208
219
Bayer
US
Finance
II
LLC
11/13/19
204,000
102.66
209
218
BNP
Paribas
SA
02/04/20
221,000
102.24
226
232
Bonos
y
Obligaciones
del
Estado
Government
International
Bonds
11/12/20
EUR
920,000
130.24
1,197
1,204
Bonos
y
Obligaciones
del
Estado
Government
International
Bonds
12/10/20
EUR
200,000
129.27
259
252
Bonos
y
Obligaciones
del
Estado
Government
International
Bonds
06/01/21
EUR
60,000
123.01
74
75
Danske
Bank
A/S
02/16/21
147,000
101.34
149
149
Deutsche
Telekom
International
Finance
BV
04/27/20
227,000
101.80
232
235
Italy
Buoni
Poliennali
Del
Tesoro
12/10/20
EUR
150,000
126.82
190
187
Italy
Buoni
Poliennali
Del
Tesoro
04/16/21
EUR
325,000
119.04
387
395
NGPL
PipeCo
LLC
04/27/20
154,000
101.65
157
178
Norway
Government
International
Bond
07/16/20
NOK
200,000
11.28
23
23
Standard
Chartered
PLC
02/16/21
131,000
111.33
146
145
Upjohn
Finance
BV
07/15/20
206,000
105.10
217
212
Volkswagen
Group
of
America
Finance
LLC
03/03/21
146,000
104.43
152
152
3,876
For
a
description
of
restricted
securities
see
note
6
in
the
Notes
to
Quarterly
Report.
Futures
Contracts
Amounts
in
thousands
(except
contract
amounts
)
Number
of
Contracts
Notional
Amount
Expiration
Date
  Value
and
Unrealized
Appreciation
(Depreciation)
$
Long
Positions
Euro-Bund
Futures
5
EUR
883
09/21
29
Japanese
Mini
10-Year  Government
Bond
Futures
5
JPY
76,165
09/21
4
Long
Gilt
Futures
1
GBP
130
09/21
4
United
States
5
Year
Treasury
Note
Futures
1
USD
124
09/21
1
United
States
10
Year
Treasury
Note
Futures
12
USD
1,614
09/21
28
United
States
Treasury
Long
Bond
Futures
3
USD
494
09/21
17
Total
Value
and
Unrealized
Appreciation
(Depreciation)
on
Open
Futures
Contracts
(å)
83
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
America
AUD
10
USD
8
09/09/21
Bank
of
America
AUD
30
USD
22
09/09/21
Bank
of
America
AUD
40
USD
31
09/09/21
1
Bank
of
America
AUD
859
USD
666
09/09/21
36
Bank
of
America
CZK
2,829
USD
136
09/15/21
5
Bank
of
America
HUF
26,320
USD
93
09/15/21
6
Bank
of
America
NOK
53
USD
6
09/09/21
Bank
of
America
NOK
271
USD
32
09/09/21
2
Bank
of
America
NOK
285
USD
33
09/09/21
Bank
of
America
NOK
5,534
USD
663
09/09/21
38
Bank
of
America
PLN
439
USD
120
09/15/21
6
Bank
of
New
York
USD
424
NOK
3,500
09/15/21
(29)
Bank
of
New
York
AUD
221
USD
171
09/15/21
9
Bank
of
New
York
CAD
922
USD
764
09/15/21
25
Bank
of
New
York
CHF
30
USD
34
09/15/21
1
Bank
of
New
York
DKK
231
USD
38
09/15/21
1
Bank
of
New
York
EUR
2,367
USD
2,896
09/15/21
88
Bank
of
New
York
GBP
536
USD
759
09/15/21
13
Russell
Investment
Company
Multifactor
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
448
Multifactor
Bond
Fund
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
Bank
of
New
York
JPY
87,875
USD
805
09/15/21
4
Bank
of
New
York
MXN
806
USD
41
09/15/21
Bank
of
New
York
NOK
52
USD
6
09/15/21
Bank
of
New
York
NZD
19
USD
14
09/15/21
Bank
of
New
York
SEK
249
USD
30
09/15/21
1
Bank
of
New
York
SEK
3,500
USD
425
09/15/21
18
Citigroup
USD
124
GBP
90
09/09/21
1
Citigroup
USD
426
GBP
300
09/09/21
(8)
Citigroup
USD
681
GBP
480
09/09/21
(15)
Citigroup
AUD
221
USD
171
09/15/21
9
Citigroup
CAD
922
USD
763
09/15/21
24
Citigroup
CHF
USD
09/09/21
Citigroup
CHF
15
USD
16
09/09/21
Citigroup
CHF
21
USD
24
09/09/21
Citigroup
CHF
914
USD
1,021
09/09/21
11
Citigroup
CHF
30
USD
34
09/15/21
Citigroup
DKK
231
USD
38
09/15/21
1
Citigroup
EUR
2,367
USD
2,891
09/15/21
81
Citigroup
GBP
578
USD
808
09/09/21
4
Citigroup
GBP
536
USD
757
09/15/21
12
Citigroup
JPY
87,875
USD
803
09/15/21
1
Citigroup
MXN
806
USD
41
09/15/21
Citigroup
NOK
52
USD
6
09/15/21
Citigroup
NZD
19
USD
14
09/15/21
Citigroup
SEK
249
USD
30
09/15/21
1
JPMorgan
Chase
AUD
221
USD
171
09/15/21
9
JPMorgan
Chase
CAD
922
USD
762
09/15/21
25
JPMorgan
Chase
CHF
30
USD
34
09/15/21
JPMorgan
Chase
DKK
231
USD
38
09/15/21
1
JPMorgan
Chase
EUR
2,367
USD
2,890
09/15/21
80
JPMorgan
Chase
GBP
536
USD
758
09/15/21
12
JPMorgan
Chase
JPY
87,875
USD
802
09/15/21
1
JPMorgan
Chase
MXN
806
USD
41
09/15/21
JPMorgan
Chase
NOK
52
USD
6
09/15/21
JPMorgan
Chase
NZD
19
USD
14
09/15/21
JPMorgan
Chase
SEK
249
USD
30
09/15/21
1
Royal
Bank
of
Canada
USD
3
CAD
3
09/09/21
Royal
Bank
of
Canada
USD
709
CAD
882
09/09/21
(2)
Royal
Bank
of
Canada
USD
1,029
CAD
1,243
09/09/21
(32)
Royal
Bank
of
Canada
USD
12
EUR
10
09/09/21
Royal
Bank
of
Canada
USD
179
EUR
150
09/09/21
(1)
Royal
Bank
of
Canada
USD
394
EUR
322
09/09/21
(11)
Royal
Bank
of
Canada
USD
425
NOK
3,500
09/15/21
(29)
Royal
Bank
of
Canada
AUD
17
USD
13
09/15/21
Royal
Bank
of
Canada
AUD
221
USD
171
09/15/21
9
Royal
Bank
of
Canada
CAD
821
USD
680
09/09/21
21
Royal
Bank
of
Canada
CAD
17
USD
14
09/15/21
Royal
Bank
of
Canada
CAD
922
USD
764
09/15/21
25
Royal
Bank
of
Canada
CHF
30
USD
34
09/15/21
1
Royal
Bank
of
Canada
DKK
231
USD
38
09/15/21
1
Royal
Bank
of
Canada
EUR
384
USD
457
09/09/21
1
Royal
Bank
of
Canada
EUR
2,367
USD
2,897
09/15/21
87
Royal
Bank
of
Canada
GBP
536
USD
759
09/15/21
14
Royal
Bank
of
Canada
JPY
1,400
USD
13
09/15/21
Royal
Bank
of
Canada
JPY
87,875
USD
805
09/15/21
4
Royal
Bank
of
Canada
MXN
806
USD
41
09/15/21
Royal
Bank
of
Canada
NOK
52
USD
6
09/15/21
Royal
Bank
of
Canada
NZD
19
USD
14
09/15/21
Royal
Bank
of
Canada
SEK
249
USD
30
09/15/21
1
Royal
Bank
of
Canada
SEK
3,500
USD
425
09/15/21
18
State
Street
USD
25
CAD
30
09/15/21
(1)
Russell
Investment
Company
Multifactor
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multifactor
Bond
Fund
449
Foreign
Currency
Exchange
Contracts
Amounts
in
thousands
Counterparty
Amount
Sold
Amount
Bought
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
State
Street
USD
48
EUR
40
09/15/21
State
Street
USD
304
EUR
250
09/15/21
(7)
State
Street
USD
21
GBP
15
09/15/21
State
Street
USD
174
JPY
19,027
09/09/21
State
Street
USD
7
NZD
10
09/09/21
State
Street
USD
7
NZD
11
09/09/21
State
Street
USD
10
NZD
14
09/09/21
State
Street
USD
338
NZD
463
09/09/21
(16)
State
Street
CAD
20
USD
17
09/15/21
State
Street
CAD
22
USD
17
09/15/21
State
Street
EUR
10
USD
12
09/15/21
State
Street
EUR
10
USD
12
09/15/21
State
Street
EUR
20
USD
24
09/15/21
1
State
Street
EUR
22
USD
27
09/15/21
1
State
Street
EUR
25
USD
30
09/15/21
State
Street
EUR
25
USD
30
09/15/21
State
Street
EUR
50
USD
59
09/15/21
State
Street
EUR
88
USD
104
09/15/21
(1)
State
Street
EUR
146
USD
177
09/15/21
4
State
Street
GBP
9
USD
12
09/15/21
State
Street
GBP
12
USD
16
09/15/21
State
Street
GBP
18
USD
25
09/15/21
State
Street
GBP
20
USD
28
09/15/21
State
Street
GBP
120
USD
164
09/15/21
(3)
State
Street
JPY
700
USD
6
09/15/21
State
Street
SEK
38
USD
4
09/09/21
State
Street
SEK
55
USD
6
09/09/21
State
Street
SEK
93
USD
11
09/09/21
State
Street
SEK
2,797
USD
338
09/09/21
13
Total
Unrealized
Appreciation
(Depreciation)
on
Open
Foreign
Currency
Exchange
Contracts
574
Credit
Default
Swap
Contracts
Amounts
in
thousands
Credit
Indices
Reference
Entity
Counterparty
Purchase/Sell
Protection
Notional
Amount
Fund
(Pays)/
Receives
Fixed
Rate
Termination
Date
Premiums
Paid/(Received)
$
Unrealized
Appreciation
(Depreciation)
$
Fair
Value
$
CDX
NA
Investment
Grade
Index
Goldman
Sachs
Purchase
USD
8,400
(1.000%)
(2)
06/20/26
(201)
(1)
(202)
Total
Open
Credit
Indices
Contracts
(å)
(201)
(1)
(202)
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical    
Expedient
(a)
Total
Long-Term
Investments
Corporate
Bonds
and
Notes
$
$
5,994
$
$
$
5,994
International
Debt
6,920
6,920
Non-US
Bonds
18,824
18,824
Russell
Investment
Company
Multifactor
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
450
Multifactor
Bond
Fund
Presentation
of
Portfolio
Holdings
Amounts
in
thousands
Fair
Value
Portfolio
Summary
Level
1
Level
2
Level
3
Practical    
Expedient
(a)
Total
United
States
Government
Treasuries
4,489
4,489
Short-Term
Investments
2,226
2,171
4,397
Total
Investments
38,453
2,171
40,624
Other
Financial
Instruments
Assets
Futures
Contracts
83
83
Foreign
Currency
Exchange
Contracts
729
729
Liabilities
Foreign
Currency
Exchange
Contracts
(155)
(155)
Credit
Default
Swap
Contracts
(202)
(202)
Total
Other
Financial
Instruments
*
$
83
$
372
$
$
$
455
*
Futures
and
foreign
currency
exchange
contract
values
reflect
the
unrealized
appreciation
(depreciation)
on
the
investments.
(a)
Certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
(or
its
equivalent)
practical
expedient
have
not
been
classified
in
the
fair
value
levels.
The
fair
value
amounts
presented
in
the
table
are
intended
to
permit
reconciliation
to
the
amounts
presented
in
the
Schedule
of
Investments.
For
a
description
of
the
Levels,
see
note
2
in
the
Notes
to
Quarterly
Report.
For
a
disclosure
on
transfers
into
and
out
of
Level
3
during
the
period
ended
July
31,
2021,
see
note
2
in
the
Notes
to
Quarterly
Report.
Amounts
in
thousands
Country
Exposure
Fair
Value
$
Australia
.................................................................................
448
Belgium
..................................................................................
209
Canada
....................................................................................
3,297
China
......................................................................................
426
Colombia
.................................................................................
169
Czech
Republic
.......................................................................
125
Denmark
.................................................................................
417
France
.....................................................................................
1,634
Germany
.................................................................................
2,409
Hungary
..................................................................................
84
India
.......................................................................................
210
Ireland
....................................................................................
701
Italy
........................................................................................
1,870
Japan
......................................................................................
3,424
Luxembourg
............................................................................
266
Mexico
....................................................................................
159
Netherlands
............................................................................
1,007
New
Zealand
...........................................................................
49
Norway
....................................................................................
23
Peru
........................................................................................
196
Poland
.....................................................................................
114
Russell
Investment
Company
Multifactor
Bond
Fund
Schedule
of
Investments,
continued
July
31,
2021
(Unaudited)
See
accompanying
notes
which
are
an
integral
part
of
this
quarterly
report.
Multifactor
Bond
Fund
451
Amounts
in
thousands
Country
Exposure
Fair
Value
$
Spain
.......................................................................................
2,002
Sweden
....................................................................................
110
Switzerland
.............................................................................
322
United
Kingdom
......................................................................
2,989
United
States
...........................................................................
17,964
Total
Investments
....................................................................
40,624
Russell
Investment
Company
Notes
to
Schedules
of
Investments
July
31,
2021
(Unaudited)
452
Notes
to
Schedules
of
Investments
Footnotes:
Abbreviations:
(Æ)
Non-Income
producing
security.
(Ï)
Forward
commitment.
(Ê)
Variable,
adjustable
or
floating
rate
security.
Rate
shown
reflects
rate
in
effect
at
period
end.
(ƒ)
Perpetual
floating
rate
security.
Rate
shown
reflects
rate
in
effect
at
period
end.
(ö)
Real
Estate
Investment
Trust
(REIT).
(µ)
Bond
is
insured
by
a
guarantor.
(Ø)
In
default.
(ç)
At
amortized
cost,
which
approximates
fair
value.
)
Rate
noted
is
yield-to-maturity
from
date
of
acquisition.
(æ)
Pre-refunded:
These
bonds
are
collateralized
by
U.S.
Treasury
securities,
which
are
held
in
escrow
by
a
trustee
and
used
to
pay
principal
and
interest
in
the
tax-exempt
issue
and
to
retire
the
bonds
in
full
at
the
earliest
refunding
date.
(§)
All
or
a
portion
of
the
shares
of
this
security
are
pledged
as
collateral
in
connection
with
futures
contracts
purchased
(sold)
or
swap
contracts
entered
into
by
the
Fund.
(x)
The
security
is
purchased
with
the
cash
collateral
from
the
securities
loaned.
(Ñ)
All
or
a
portion
of
the
shares
of
this
security
are
on
loan.
(Þ)
Restricted
security.
Security
may
have
contractual
restrictions
on
resale,
may
have
been
offered
in
a
private
placement
transaction,
and
is
not
registered
under
the
Securities
Act
of
1933.
(Û)
All
or
a
portion
of
the
shares
of
this
security
are
pledged
as
collateral
in
connection
with
securities
sold
short.
(ÿ)
Notional
amount
in
thousands.
(∞)
Unrounded
units.
(å)
Currency
balances
were
pledged
in
connection
with
futures
contracts
purchased
(sold),
options
written,
foreign
currency
exchange
contracts,
or
swaps
entered
into
by
the
Fund.
(ì)
All
or
a
portion
of
the
shares
of
this
security
are
pledged
as
collateral
in
connection
with
options
written
contracts.
(v)
Loan
agreement
still
pending.
Rate
not
available
at
period
end.
(
Š)
Value
was
determined
using
significant
unobservable
inputs
.
(
~)
Rate
fluctuates
based
on
various
factors
such
as
changes
in
current
rates
and
prepayments
of
the
underlying
assets,
changes
in
the
CPI
or
other
contractual
arrangements
.
(
@)
Affiliate
.
(
Ÿ)
Rate
noted
is
dividend
yield
at
period
end
.
(
¢)
Date
shown
reflects
next
contractual
call
date.
(
+)
All
or
a
portion
of
the
security
is
owned
by
the
Cayman
Multi-Asset
Growth
Strategy
Fund
Ltd.
See
note
3
in
the
Notes
to
Quarterly
Report
for
details
.
(
Œ
)
Unfunded
loan
agreement.
(
Ð
)
All
or
a
portion
of
the
shares
of
this
security
are
on
loan
through
the
reciprocal
lending
program
with
State
Street.
See
note
2
in
the
Notes
to
Quarterly
Report.
(0)
Weekly
payment
frequency
.
(1)
Monthly
payment
frequency
.
(2)
Quarterly
payment
frequency
.
(3)
Semi-annual
payment
frequency
.
(4)
Annual
payment
frequency
.
(5)
Payment
at
termination
.
ADR
-
American
Depositary
Receipt
ADS
-
American
Depositary
Share
BBR
-
Bank
Bill
Rate
BBSW
-
Bank
Bill
Swap
Reference
Rate
BUBOR
–Budapest
Interbank
Offered
Rate
CIBOR
-
Copenhagen
Interbank
Offered
Rate
CME
-
Chicago
Mercantile
Exchange
CMO
-
Collateralized
Mortgage
Obligation
CVO
-
Contingent
Value
Obligation
EMU
-
European
Economic
and
Monetary
Union
EURIBOR
-
Euro
Interbank
Offered
Bank
FDIC
-
Federal
Deposit
Insurance
Company
GDR
-
Global
Depositary
Receipt
GDS
-
Global
Depositary
Share
Russell
Investment
Company
Notes
to
Schedules
of
Investments,
continued
July
31,
2021
(Unaudited)
Notes
to
Schedules
of
Investments
453
Foreign
Currency
Abbreviations:
GSCI
Goldman
Sachs
Commodity
Index
HIBOR
Hong
Kong
Interbank
Offered
Rate
JIBAR
-
Johannesburg
Interbank
Agreed
Rate
KSDA
Korean
Securities
Dealers
Association
LIBOR
-
London
Interbank
Offered
Rate
MIBOR
-
Mumbai
Interbank
Offered
Rate
NIBOR
-
Norwegian
Interbank
Offered
Rate
PIK
-
Payment
in
Kind
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
SOFR
Secured
Overnight
Financing
Rate
STIBOR
Stockholm
Interbank
Offered
Rate
STRIP
-
Separate
Trading
of
Registered
Interest
and
Principal
of
Securities
SFE
-
Sydney
Futures
Exchange
TBA
-
To
Be
Announced
Security
UK
-
United
Kingdom
WTI
West
Texas
Intermediate
ARS
-
Argentine
peso
HKD
-
Hong
Kong
dollar
PKR
-
Pakistani
rupee
AUD
-
Australian
dollar
HUF
-
Hungarian
forint
PLN
-
Polish
zloty
BRL
-
Brazilian
real
IDR
-
Indonesian
rupiah
RON
-
Romanian
New
Leu
CAD
-
Canadian
dollar
ILS
-
Israeli
shekel
RUB
-
Russian
ruble
CHF
-
Swiss
franc
INR
-
Indian
rupee
SEK
-
Swedish
krona
CLP
-
Chilean
peso
ISK
-
Icelandic
krona
SGD
-
Singapore
dollar
CNY
-
Chinese
offshore
spot
ITL
-
Italian
lira
SKK
-
Slovakian
koruna
CNY
-
Chinese
renminbi
yuan
JPY
-
Japanese
yen
THB
-
Thai
baht
COP
-
Colombian
peso
KES
-
Kenyan
schilling
TRY
-
Turkish
lira
CRC
-
Costa
Rican
colon
KRW
-
South
Korean
won
TWD
-
Taiwanese
dollar
CZK
-
Czech
koruna
MXN
-
Mexican
peso
USD
-
United
States
dollar
DKK
-
Danish
krone
MYR
-
Malaysian
ringgit
UYU
Uruguayan
peso
DOP
-
Dominican
peso
NOK
-
Norwegian
krone
VEB
-
Venezuelan
bolivar
EGP
-
Egyptian
pound
NGN
Nigerian
naira
VND
-
Vietnamese
dong
EUR
-
Euro
NZD
-
New
Zealand
dollar
ZAR
-
South
African
rand
GBP
-
British
pound
sterling
PEN
-
Peruvian
nuevo
sol
GHS
-
Ghana
cedi
PHP
-
Philippine
peso
Russell
Investment
Company
Notes
to
Quarterly
Report
July
31,
2021
(Unaudited)
454
Notes
to
Quarterly
Report
1.
Organization
Russell
Investment
Company
(the
“Investment
Company”
or
“RIC”)
is
a
series
investment
company
with
31
different
investment
portfolios
referred
to
as
funds.
This
Quarterly
Report
reports
on
25
of
these
funds
(each
a
"Fund"
and
collectively
the
"Funds").
The
Investment
Company
is
registered
under
the
Investment
Company
Act
of
1940,
as
amended
(“Investment
Company
Act”),
as
an
open-end
management
investment
company.
It
is
organized
and
operated
as
a
Massachusetts
business
trust
under
a
Fourth
Amended
and
Restated
Master
Trust
Agreement
dated
December
7,
2020,
as
amended
(“Master
Trust
Agreement”),
and
the
provisions
of
Massachusetts
law
governing
the
operation
of
a
Massachusetts
business
trust.
The
Investment
Company’s
Master
Trust
Agreement
permits
the
Board
of
Trustees
(the
“Board”)
to
issue
an
unlimited
number
of
shares
of
beneficial
interest.
Each
of
the
Funds
is
diversified.
Under
the
Investment
Company
Act,
a
diversified
company
is
defined
as
a
management
company
which
meets
the
following
requirements:
at
least
75%
of
the
value
of
its
total
assets
is
represented
by
cash
and
cash
equivalents
(including
receivables),
government
securities,
securities
of
other
investment
companies,
and
other
securities
for
the
purposes
of
this
calculation
limited
in
respect
of
any
one
issuer
to
an
amount
not
greater
in
value
than
five
percent
of
the
value
of
the
total
assets
of
such
management
company
and
to
not
more
than
10%
of
the
outstanding
voting
securities
of
such
issuer.
Unless
otherwise
specified,
“period”
(as
used
within
this
Quarterly
Report)
refers
to
the
nine
months
ended
July
31,
2021.
2.
Significant
Accounting
Policies
The
following
is
a
summary
of
the
significant
accounting
policies
consistently
followed
by
the
Funds
in
the
preparation
of
this
Quarterly
Report.
These
policies
are
in
conformity
with
U.S.
generally
accepted
accounting
principles
(“U.S.
GAAP”)
which
require
the
use
of
management
estimates
and
assumptions
at
the
date
of
the
Quarterly
Report.
Actual
results
could
differ
from
those
estimates.
The
Funds
are
considered
investment
companies
under
U.S.
GAAP
and
follow
the
accounting
and
reporting
guidance
applicable
to
investment
companies.
The
following
is
a
summary
of
the
significant
accounting
policies
consistently
followed
by
each
Fund
in
the
preparation
of
this
Quarterly
Report.
Security
Valuation
The
Funds
value
portfolio
securities
according
to
Board-approved
securities
valuation
procedures
which
include
market
and
fair
value
procedures.
The
Board
has
delegated
the
responsibility
for
administration
of
the
securities
valuation
procedures
to
Russell
Investments
Fund
Services,
LLC
("RIFUS").
U.S.
GAAP
defines
fair
value
as
the
price
that
a
Fund
would
receive
to
sell
an
asset
or
pay
to
transfer
a
liability
in
an
orderly
transaction
between
market
participants
at
the
measurement
date.
It
establishes
a
fair
value
hierarchy
that
prioritizes
inputs
to
valuation
methods
and
requires
a
separate
disclosure
of
the
fair
value
hierarchy
for
each
major
category
of
assets
and
liabilities,
that
segregates
fair
value
measurements
into
levels
(Level
1,
2,
and
3).
The
inputs
or
methodology
used
for
valuing
securities
are
not
necessarily
an
indication
of
the
risk
associated
with
investing
in
those
securities.
Levels
1,
2
and
3
of
the
fair
value
hierarchy
are
defined
as
follows:
Level
1
Quoted
prices
(unadjusted)
in
active
markets
or
exchanges
for
identical
assets
and
liabilities.
Level
2
Inputs
other
than
quoted
prices
included
within
Level
1
that
are
observable,
which
may
include,
but
are
not
limited
to,
quoted
prices
for
similar
assets
or
liabilities
in
markets
that
are
active,
quoted
prices
for
identical
or
similar
assets
or
liabilities
in
markets
that
are
not
active,
and
inputs
such
as
interest
rates,
yield
curves,
implied
volatilities,
credit
spreads
or
other
market
corroborated
inputs.
Level
3
Significant
unobservable
inputs
based
on
the
best
information
available
in
the
circumstances,
to
the
extent
observable
inputs
are
not
available,
which
may
include
assumptions
made
by
RIFUS,
acting
at
the
discretion
of
the
Board,
that
are
used
in
determining
the
fair
value
of
investments.
The
availability
of
observable
inputs
can
vary
from
security
to
security
and
is
affected
by
a
wide
variety
of
factors,
including,
for
example,
the
type
of
security,
whether
the
security
is
new
and
not
yet
established
in
the
marketplace,
the
liquidity
of
markets,
and
other
characteristics
particular
to
the
security.
To
the
extent
that
valuation
is
based
on
models
or
inputs
that
are
less
observable
or
unobservable
in
the
market,
the
determination
of
fair
value
requires
more
judgement.
Accordingly,
the
degree
of
judgement
exercised
in
determining
fair
value
is
greatest
for
instruments
categorized
in
Level
3.
The
inputs
or
methodology
used
for
valuing
securities
are
not
necessarily
an
indication
of
the
risk
associated
with
investing
in
those
securities.
The
inputs
used
to
measure
fair
value
may
fall
into
different
levels
of
the
fair
value
hierarchy.
In
such
cases,
for
disclosure
purposes,
the
level
in
the
fair
value
hierarchy
within
which
the
fair
value
measurement
falls
is
determined
based
on
the
lowest
level
input
that
is
significant
to
the
fair
value
measurement
in
its
entirety.
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
Notes
to
Quarterly
Report
455
The
valuation
techniques
and
significant
inputs
used
in
determining
the
fair
market
values
of
financial
instruments
categorized
as
Level
1
and
Level
2
of
the
fair
value
hierarchy
are
as
follows:
Equity
securities,
including
common
and
preferred
stock,
short
securities,
ETFs
and
restricted
securities
that
are
traded
on
a
national
securities
exchange
(or
reported
on
the
NASDAQ
national
market),
are
stated
at
the
last
reported
sales
price
on
the
day
of
valuation
or
official
closing
price,
as
applicable.
To
the
extent
these
securities
are
actively
traded,
and
valuation
adjustments
are
not
applied,
they
are
categorized
as
Level
1
of
the
fair
value
hierarchy.
Preferred
stock
and
other
equities
traded
on
inactive
markets
or
valued
by
reference
to
similar
instruments
are
categorized
as
Level
2
of
the
fair
value
hierarchy.
Certain
foreign
equity
securities
may
be
fair
valued
using
a
pricing
service
that
considers
the
correlation
of
the
trading
patterns
of
the
foreign
security
to
the
intraday
trading
in
the
U.S.
markets
for
investments
such
as
American
Depositary
Receipts,
financial
futures,
exchange-traded
funds,
and
the
movement
of
certain
indexes
of
securities,
based
on
the
statistical
analysis
of
historical
relationships.
Foreign
equity
securities
prices
as
described
above
are
categorized
as
Level
2
of
the
fair
value
hierarchy.
Fixed
income
securities
including
corporate,
convertible,
U.S.
government
agency,
municipal
bonds
and
notes,
U.S.
treasury
obligations,
sovereign
issues,
bank
loans,
bank
notes
and
non-U.S.
bonds
are
normally
valued
by
pricing
service
providers
that
use
broker
dealer
quotations
or
valuation
estimates
from
their
internal
pricing
models.
The
pricing
service
providers’
internal
models
use
inputs
that
are
observable
such
as
issuer
details,
interest
rates,
yield
curves,
prepayment
speeds,
credit
risks/spreads
and
default
rates.
Such
fixed
income
securities
that
use
pricing
service
internal
models
as
described
above
are
categorized
as
Level
2
of
the
fair
value
hierarchy.
Such
fixed
income
securities
that
use
broker
dealer
quotations
are
categorized
as
Level
3
of
the
fair
value
hierarchy.
Fixed
income
securities
purchased
on
a
delayed-delivery
basis
and
marked-to-market
daily
until
settlement
at
the
forward
settlement
date
are
categorized
as
Level
2
of
the
fair
value
hierarchy.
Mortgage
and
asset-backed
securities
are
usually
issued
as
separate
tranches,
or
classes,
of
securities
within
each
deal.
These
securities
are
also
normally
valued
by
pricing
service
providers
that
use
broker
dealer
quotations
or
valuation
estimates
from
their
internal
pricing
models.
The
pricing
models
for
these
securities
usually
consider
tranche-level
attributes,
including
estimated
cash
flows
of
each
tranche,
market-based
yield
spreads
for
each
tranche,
and
current
market
data,
as
well
as
incorporate
deal
collateral
performance,
as
available.
Mortgage
and
asset-backed
securities
that
use
these
and
similar
valuation
techniques
and
inputs
as
described
above
are
categorized
as
Level
2
of
the
fair
value
hierarchy.
Investments
in
investment
funds
that
are
not
traded
on
a
national
securities
exchange
will
be
valued
based
upon
the
net
asset
value
(“NAV”)
of
such
investments.
The
Funds
have
adopted
the
authoritative
guidance
under
U.S.
GAAP
for
estimating
the
fair
value
of
investments
in
funds
that
have
calculated
NAV
per
share
in
accordance
with
the
specialized
accounting
guidance
for
investment
companies.
Accordingly,
the
Funds
estimate
the
fair
value
of
an
investment
in
a
fund
using
the
NAV
per
share
without
further
adjustment
as
a
practical
expedient,
if
the
NAV
per
share
of
the
investment
is
determined
in
accordance
with
the
specialized
accounting
guidance
for
investment
companies
as
of
the
reporting
entity’s
measurement
date.
Short-term
investments
having
a
maturity
of
60
days
or
less
are
generally
valued
at
amortized
cost,
which
approximates
fair
market
value.
These
investments
are
categorized
as
Level
2
of
the
fair
value
hierarchy.
Derivative
instruments
are
instruments
such
as
foreign
currency
exchange
contracts,
futures
contracts,
options
contracts,
or
swap
agreements
that
derive
their
value
from
underlying
asset
prices,
indices,
reference
rates,
and
other
inputs
or
a
combination
of
these
factors.
Derivatives
may
be
classified
into
two
groups
depending
upon
the
way
that
they
are
traded:
privately
traded
over-the-
counter
(“OTC”)
derivatives
that
do
not
go
through
an
exchange
or
intermediary
and
exchange-traded
derivatives
that
are
traded
through
specialized
derivatives
exchanges
or
other
regulated
exchanges.
OTC
derivatives
are
normally
valued
on
the
basis
of
broker
dealer
quotations
or
pricing
service
providers.
Depending
on
the
product
and
the
terms
of
the
transaction,
the
value
of
the
derivative
instrument
can
be
estimated
by
a
pricing
service
provider
using
a
series
of
techniques,
including
simulation
pricing
models.
The
pricing
models
use
inputs
that
are
observed
from
actively
quoted
markets
such
as
issuer
details,
indices,
spreads,
interest
rates,
yield
curves,
dividends
and
exchange
rates.
OTC
derivatives
that
use
these
and
similar
valuation
techniques
and
inputs
as
described
above
are
categorized
as
Level
2
of
the
fair
value
hierarchy,
with
the
exception
of
foreign
currency
spot
contracts
which
are
categorized
as
Level
1
of
the
fair
value
hierarchy.
OTC
derivatives
that
use
broker
dealer
quotations
are
categorized
as
Level
3
of
the
fair
value
hierarchy.
Exchange-traded
derivatives
are
valued
based
on
the
last
reported
sales
price
on
the
day
of
valuation
and
are
categorized
as
Level
1
of
the
fair
value
hierarchy.
Centrally
cleared
swaps
listed
or
traded
on
a
multilateral
or
trade
facility
platform,
such
as
a
registered
exchange,
are
valued
at
the
daily
settlement
price
determined
by
the
respective
exchange.
For
centrally
cleared
credit
default
swaps,
the
clearing
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
456
Notes
to
Quarterly
Report
facility
requires
its
members
to
provide
actionable
levels
across
complete
term
structures.
These
levels
along
with
external
third-
party
prices
are
used
to
produce
daily
settlement
prices.
These
securities
are
categorized
as
Level
2
of
the
fair
value
hierarchy.
Centrally
cleared
interest
rate
swaps
are
valued
using
a
pricing
model
that
references
the
underlying
rates
including
the
Overnight
Index
Swap
("OIS")
rate
and
London
Interbank
Offered
Rate
(“LIBOR”)
forward
rate
to
produce
the
daily
settlement
price.
These
securities
are
categorized
as
Level
2
of
the
fair
value
hierarchy.
Events
or
circumstances
affecting
the
values
of
Fund
securities
that
occur
between
the
closing
of
the
principal
markets
on
which
they
trade
and
the
time
the
NAV
of
Fund
shares
is
determined
may
be
reflected
in
the
calculation
of
NAV
for
each
applicable
Fund
when
the
Fund
deems
that
the
particular
event
or
circumstance
would
materially
affect
such
Fund’s
NAV.
Funds
that
invest
primarily
in
frequently
traded
exchange-listed
securities
will
use
fair
value
pricing
in
limited
circumstances
since
reliable
market
quotations
will
often
be
readily
available.
Funds
that
invest
in
foreign
securities
use
fair
value
pricing
daily
as
events
may
occur
between
the
close
of
foreign
markets
and
the
time
of
pricing.
Although
there
are
observable
inputs
assigned
on
a
security
level,
prices
are
derived
from
factors
using
proprietary
models
or
matrix
pricing.
For
this
reason,
fair
value
factors
will
cause
movement
between
Levels
1
and
2.
Examples
of
significant
events
that
generally
trigger
fair
value
pricing
of
one
or
more
securities
are:
any
market
movement
of
the
U.S.
securities
market
(defined
in
the
fair
value
procedures
as
the
movement
of
a
single
major
U.S.
Index);
a
company
development
such
as
a
material
business
development;
a
natural
disaster,
a
public
health
emergency
affecting
one
or
more
countries
in
the
global
economy
(including
an
emergency
which
results
in
the
closure
of
financial
markets)
or
other
emergency
situation;
or
an
armed
conflict.
The
NAV
of
a
Fund’s
portfolio
that
includes
foreign
securities
may
change
on
days
when
shareholders
will
not
be
able
to
purchase
or
redeem
Fund
shares,
since
foreign
securities
can
trade
on
non-business
days.
The
Equity
Income,
Sustainable
Equity,
U.S.
Strategic
Equity,
U.S.
Small
Cap
Equity,
International
Developed
Markets,
Emerging
Markets,
Tax-Managed
U.S.
Large
Cap,
Tax-Managed
U.S.
Mid
&
Small
Cap,
Tax-Managed
International
Equity,
Tax-Managed
Real
Assets,
Unconstrained
Bond,
Strategic
Bond,
Investment
Grade
Bond,
Short
Duration
Bond,
Tax-Exempt
High
Yield
Bond,
Tax-Exempt
Bond,
Global
Infrastructure,
Global
Real
Estate
Securities,
Multi-Strategy
Income,
Multi-Asset
Growth
Strategy,
Multifactor
U.S.
Equity,
Multifactor
International
Equity,
and
Multifactor
Bond
Funds
had
no
transfers
into
or
out
of
Level
3
for
the
period
ended
July
31,
2021.
The
Global
Equity
Fund
had
transfers
out
of
Level
3
into
Level
1
representing
financial
instruments
for
which
approved
vendor
sources
became
available
or
inputs
become
observable.
The
amounts
transferred
were
as
follows:
The
Opportunistic
Credit
Fund
had
transfers
out
of
Level
2
into
Level
3
representing
financial
instruments
for
which
inputs
became
unobservable.
The
amounts
transferred
were
as
follows:
Level
3
Fair
Value
Investments
The
valuation
techniques
and
significant
inputs
used
in
determining
the
fair
values
of
financial
instruments
classified
as
Level
3
of
the
fair
value
hierarchy
are
as
follows:
Securities
and
other
assets
for
which
market
quotes
are
not
readily
available,
or
are
not
reliable,
are
valued
at
fair
value
as
determined
in
good
faith
by
RIFUS
and
are
categorized
as
Level
3
of
the
fair
value
hierarchy.
Market
quotes
are
considered
not
readily
available
in
circumstances
where
there
is
an
absence
of
current
or
reliable
market-based
data
(e.g.,
trade
information
or
broker
quotes).
When
RIFUS
applies
fair
valuation
methods
that
use
significant
unobservable
inputs
to
determine
a
Fund’s
NAV,
securities
will
not
be
priced
on
the
basis
of
quotes
from
the
primary
market
in
which
they
are
traded,
but
instead
may
be
priced
by
another
method
that
RIFUS
believes
accurately
reflects
fair
value
and
will
be
categorized
as
Level
3
of
the
fair
value
hierarchy.
Fair
value
pricing
may
require
subjective
determinations
about
the
value
of
a
security.
While
the
securities
valuation
procedures
are
intended
to
result
in
a
calculation
of
a
Fund’s
NAV
that
fairly
reflects
security
values
as
of
the
time
of
pricing,
the
process
cannot
guarantee
that
fair
values
determined
by
RIFUS
would
accurately
reflect
the
price
that
a
Fund
could
obtain
for
a
security
if
it
were
to
dispose
of
that
security
as
of
the
time
of
pricing
(for
instance,
in
a
forced
or
distressed
sale).
The
prices
used
by
a
Fund
may
differ
from
the
value
that
would
be
realized
if
the
security
was
sold.
RIFUS
employs
third-party
pricing
vendors
to
provide
fair
value
measurements.
RIFUS
oversees
third-party
pricing
service
providers
in
order
to
support
the
valuation
process
throughout
the
period.
Global
Equity
Fund
$
5,371,073
Opportunistic
Credit
Fund
$
136,315
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
Notes
to
Quarterly
Report
457
The
significant
unobservable
input
used
in
fair
value
measurement
of
certain
of
the
Funds’
preferred
equity
securities
is
the
redemption
value
calculated
on
a
fully-diluted
basis
if
converted
to
common
stock.
Significant
increases
or
decreases
in
the
redemption
value
would
have
a
direct
and
proportional
impact
to
fair
value.
The
significant
unobservable
inputs
used
in
fair
value
measurement
of
certain
of
the
Funds'
private
equity
securities
include
market
data
of
comparable
public
companies,
discount
rates,
EBITDA
multiples,
and
future
projected
cash
flows
for
the
portfolio
company.
These
inputs
are
utilized
in
valuation
models
that
are
based
on
market
analysis
and
discounted
cash
flow
methodologies.
Increases
(decreases)
in
the
discount
rate
would
result
in
a
lower
(higher)
fair
value
measurement,
while
increases
(decreases)
in
EBITDA
multiples
and
projected
cash
flows
would
result
in
a
higher
(lower)
fair
value
measurement.
The
significant
unobservable
input
used
in
the
fair
value
measurement
of
certain
Funds’
debt
securities
is
the
yield
to
worst
ratio.
Significant
increases
(decreases)
in
the
yield
to
worst
ratio
would
result
in
a
lower
(higher)
fair
value
measurement.
These
significant
unobservable
inputs
are
further
disclosed
in
the
Presentation
of
Portfolio
Holdings
for
each
respective
Fund
as
applicable.
If
third-party
evaluated
vendor
pricing
is
neither
available
nor
deemed
to
be
indicative
of
fair
value,
RIFUS
may
elect
to
obtain
indicative
market
quotations
(“broker
quotes”)
directly
from
the
broker
or
passed
through
from
a
third-party
vendor.
In
the
event
that
the
source
of
fair
value
is
from
a
single
source
broker
quote,
these
securities
are
classified
as
Level
3
per
the
fair
value
hierarchy.
Broker
quotes
are
typically
received
from
established
market
participants.
Although
independently
received
on
a
daily
basis,
RIFUS
does
not
have
the
transparency
to
view
the
underlying
inputs
which
support
the
broker
quotes.
Significant
changes
in
the
broker
quote
would
have
direct
and
proportional
changes
in
the
fair
value
of
the
security.
There
is
a
third-party
pricing
exception
to
the
quantitative
disclosure
requirement
when
prices
are
not
determined
by
the
reporting
entity.
RIFUS
is
exercising
this
exception
and
has
made
a
reasonable
attempt
to
obtain
quantitative
information
from
the
third-party
pricing
vendors
regarding
the
unobservable
inputs
used.
For
fair
valuations
using
significant
unobservable
inputs,
U.S.
GAAP
requires
a
reconciliation
of
the
beginning
to
ending
balances
for
reported
fair
values
that
present
changes
attributable
to
total
realized
and
unrealized
gains
or
losses,
purchases
and
sales,
and
transfers
in/out
of
the
Level
3
category
during
the
period.
Additionally,
U.S.
GAAP
requires
quantitative
information
regarding
the
significant
unobservable
inputs
used
in
the
determination
of
fair
value
of
assets
categorized
as
Level
3
in
the
fair
value
hierarchy.
In
accordance
with
the
requirements
of
U.S.
GAAP,
a
fair
value
hierarchy,
a
Level
3
reconciliation
and
an
additional
disclosure
about
fair
value
measurements,
if
any,
has
been
included
in
the
Presentation
of
Portfolio
Holdings
for
each
respective
Fund.
Investment
Income
Dividend
income
is
recorded
net
of
applicable
withholding
taxes
on
the
ex-dividend
date,
except
that
certain
dividends
from
foreign
securities
are
recorded
as
soon
as
the
Funds
are
informed
of
the
dividend,
subsequent
to
the
ex-dividend
date.
To
the
extent
the
dividend
represents
a
return
of
capital
or
capital
gain
for
tax
purposes,
reclassifications
are
made
which
may
be
based
on
management's
estimates.
Interest
income
is
recorded
daily
on
the
accrual
basis.
The
Funds
classify
gains
and
losses
realized
on
prepayments
received
on
mortgage-backed
securities
as
an
adjustment
to
interest
income.
All
premiums
and
discounts,
including
original
issue
discounts,
are
amortized/
accreted
using
the
effective
interest
method.
Debt
obligation
securities
may
be
placed
in
a
non-accrual
status
and
related
interest
income
may
be
reduced
by
stopping
current
accruals
and
writing
off
interest
receivable
when
the
collection
of
all
or
a
portion
of
interest
has
become
doubtful.
Foreign
Currency
Translations
The
books
and
records
of
the
Funds
are
maintained
in
U.S.
dollars.
Foreign
currency
amounts
and
transactions
of
the
Funds
are
translated
into
U.S.
dollars
on
the
following
basis:
(a)
Fair
value
of
investment
securities,
other
assets
and
liabilities
at
the
closing
rate
of
exchange
on
the
valuation
date.
(b)
Purchases
and
sales
of
investment
securities
and
income
at
the
closing
rate
of
exchange
prevailing
on
the
respective
trade
dates
of
such
transactions.
Net
realized
gains
or
losses
from
foreign
currency-related
transactions
arise
from:
sales
and
maturities
of
short-term
securities;
sales
of
foreign
currencies;
currency
gains
or
losses
realized
between
the
trade
and
settlement
dates
on
securities
transactions;
the
difference
between
the
amounts
of
dividends,
interest,
and
foreign
withholding
taxes
recorded
on
the
Funds’
books
and
the
U.S.
dollar
equivalent
of
the
amounts
actually
received
or
paid.
Net
unrealized
gains
or
losses
from
foreign
currency-related
transactions
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
458
Notes
to
Quarterly
Report
arise
from
changes
in
the
value
of
assets
and
liabilities,
other
than
investments
in
securities,
as
a
result
of
changes
in
the
exchange
rates.
The
Funds
do
not
isolate
that
portion
of
the
results
of
operations
of
the
Funds
that
arises
as
a
result
of
changes
in
exchange
rates
from
that
portion
that
arises
from
changes
in
market
prices
of
investments
during
the
period.
Such
fluctuations
are
included
with
the
net
realized
and
unrealized
gain
or
loss
from
investments.
However,
for
federal
income
tax
purposes,
the
Funds
do
isolate
the
effects
of
changes
in
foreign
exchange
rates
from
the
fluctuations
arising
from
changes
in
market
prices
for
realized
gain
(or
loss)
on
debt
obligations.
Derivatives
The
Funds
may
invest
in
derivatives.
Derivatives
are
instruments
or
agreements
whose
value
is
derived
from
an
underlying
security
or
index.
They
include
options,
futures,
swaps
and
forwards.
These
instruments
offer
unique
characteristics
and
risks
that
facilitate
the
Funds’
investment
strategies.
The
Funds
typically
use
derivatives
in
three
ways:
exposing
cash
to
markets,
hedging
and
return
enhancement.
In
addition,
certain
Funds
may
enter
into
foreign
currency
exchange
contracts
for
trade
settlement
purposes.
Certain
Funds
may
pursue
their
strategy
of
being
fully
invested
by
exposing
cash
to
the
performance
of
appropriate
markets
by
purchasing
securities
and/or
derivatives.
This
is
intended
to
cause
the
Funds
to
perform
as
though
cash
were
actually
invested
in
those
markets.
Hedging
may
be
used
by
certain
Funds
to
limit
or
control
risks,
such
as
adverse
movements
in
exchange
rates
and
interest
rates.
Return
enhancement
can
be
accomplished
through
the
use
of
derivatives
in
a
Fund,
including
using
derivatives
as
a
substitute
for
holding
physical
securities,
and
using
them
to
express
various
macro
views
(e.g.,
interest
rate
movements,
currency
movements,
and
macro
credit
strategies).
By
purchasing
certain
instruments,
the
Funds
may
more
effectively
achieve
the
desired
portfolio
characteristics
that
assist
them
in
meeting
their
investment
objectives.
Depending
on
how
the
derivatives
are
structured
and
utilized,
the
risks
associated
with
them
may
vary
widely.
These
risks
include,
but
are
not
limited
to,
market
risk,
liquidity
risk,
leveraging
risk,
counterparty
risk,
basis
risk,
reinvestment
risk,
political
risk,
prepayment
risk,
extension
risk,
valuation
risk
and
credit
risk.
Futures,
certain
options
and
cleared
swaps
are
traded
or
cleared
on
an
exchange
or
central
exchange
clearing
house.
Exchange-
traded
or
exchange-cleared
transactions
generally
present
less
counterparty
risk
to
a
Fund.
The
exchange’s
clearing
house
stands
between
the
Fund
and
the
broker
to
the
contract
and
therefore,
credit
risk
is
generally
limited
to
the
failure
of
the
clearing
house
and
the
clearing
member.
Cleared
swap
contracts
are
subject
to
clearing
house
rules,
including
initial
and
variation
margin
requirement,
daily
settlement
of
obligations
and
the
clearing
house
guarantee
of
payments
to
the
broker.
There
is,
however,
still
counterparty
risk
due
to
the
insolvency
of
the
broker
with
respect
to
any
margin
held
in
the
brokers’
customer
accounts.
While
clearing
members
are
required
to
segregate
customer
assets
from
their
own
assets,
in
the
event
of
insolvency,
there
may
be
a
shortfall
in
the
amount
of
margin
held
by
the
broker
for
its
clients.
Collateral
and
margin
requirements
for
exchange-traded
or
exchange-cleared
derivatives
are
established
through
regulation,
as
well
as
set
by
the
broker
or
applicable
clearing
house.
In
October
2020,
the
Securities
and
Exchange
Commission
("SEC")
adopted
a
final
rule
related
to
the
use
of
derivatives,
reverse
repurchase
agreements
and
certain
other
transactions
by
registered
investment
companies
that
will
rescind
and
withdraw
the
guidance
of
the
SEC
and
its
staff
regarding
asset
segregation
and
cover
transactions.
The
final
rule
requires
funds
to
trade
derivatives
and
other
transactions
that
create
future
payment
or
delivery
obligations
(except
reverse
repurchase
agreements
and
similar
financing
transactions)
subject
to
a
value-at-risk
leverage
limit
and
certain
derivatives
risk
management
program
and
reporting
requirements.
Compliance
with
these
new
requirements
will
be
required
after
an
eighteen-month
transition
period.
Following
the
compliance
date,
these
requirements
may
limit
the
ability
of
a
Fund
to
use
derivatives
and
reverse
repurchase
agreements
and
similar
financing
transactions
as
part
of
its
investment
strategies.
Foreign
Currency
Exchange
Contracts
Certain
Funds
may
enter
into
foreign
currency
exchange
spot
contracts
and
forward
foreign
currency
exchange
contracts
(“FX
contracts”).
From
time
to
time,
certain
Funds
may
enter
into
FX
contracts
to
hedge
certain
foreign
currency-denominated
assets.
FX
contracts
are
recorded
at
fair
value.
Certain
risks
may
arise
upon
entering
into
these
FX
contracts
from
the
potential
inability
of
counterparties
to
meet
the
terms
of
their
FX
contracts
and
are
generally
limited
to
the
amount
of
unrealized
gain
on
the
FX
contracts.
For
the
period
ended
July
31,
2021,
the
following
Funds
entered
into
FX
contracts
primarily
for
the
strategies
listed
below:
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
Notes
to
Quarterly
Report
459
The
Funds’
FX
contract
notional
dollar
values
outstanding
fluctuate
throughout
the
period
as
required
to
meet
strategic
objectives.
The
following
tables
illustrate
the
quarterly
volume
of
FX
contracts.
For
the
purpose
of
this
disclosure,
volume
is
measured
by
the
amounts
bought
and
sold
in
USD.
Funds
Strategies
International
Developed
Markets
Fund
Return
enhancement,
hedging,
exposing
cash
to
markets,
and
trade
settlement
Global
Equity
Fund
Return
enhancement,
hedging,
exposing
cash
to
markets,
and
trade
settlement
Emerging
Markets
Fund
Return
enhancement,
hedging,
exposing
cash
to
markets,
and
trade
settlement
Tax-Managed
International
Equity
Fund
Return
enhancement,
hedging,
exposing
cash
to
markets,
and
trade
settlement
Tax-Managed
Real
Assets
Fund
Exposing
cash
to
markets
and
trade
settlement
Opportunistic
Credit
Fund
Return
enhancement
and
hedging
Unconstrained
Total
Return
Fund
Hedging
Strategic
Bond
Fund
Return
enhancement
and
hedging
Investment
Grade
Bond
Fund
Return
enhancement
and
hedging
Short
Duration
Bond
Fund
Return
enhancement
and
hedging
Global
Infrastructure
Fund
Exposing
cash
to
markets
and
trade
settlement
Global
Real
Estate
Securities
Fund
Exposing
cash
to
markets
and
trade
settlement
Multi-Strategy
Income
Fund
Return
enhancement
and
hedging
Multi-Asset
Growth
Strategy
Fund
Return
enhancement
and
hedging
Multifactor
International
Equity
Fund
Return
enhancement,
hedging,
and
exposing
cash
to
markets
Multifactor
Bond
Fund
Return
enhancement
and
hedging
Outstanding
Contract
Amounts
Bought
Quarter
Ended
January
31,
2021
April
30,
2021
July
31,
2021
International
Developed
Markets
Fund
$
642,780,045
$
509,451,713
$
487,045,626
Global
Equity
Fund
90,722,943
207,783,201
170,958,931
Emerging
Markets
Fund
26,495,256
33,183,228
24,931,144
Tax-Managed
International
Equity
Fund
14,978,997
8,481,913
1,062,327
Tax-Managed
Real
Assets
Fund
360,918
1,516,402
Opportunistic
Credit
Fund
335,079,662
334,677,397
368,113,200
Unconstrained
Total
Return
Fund
134,243,676
142,989,553
29,160,461
Strategic
Bond
Fund
1,108,569,023
1,447,904,538
1,725,164,405
Investment
Grade
Bond
Fund
178,898,799
202,132,928
232,700,075
Short
Duration
Bond
Fund
57,117,716
62,284,253
60,735,194
Global
Infrastructure
Fund
9,040,542
54,947,523
1,296,858
Global
Real
Estate
Securities
Fund
14,097,295
126,670,047
48,980,481
Multi-Strategy
Income
Fund
297,394,905
250,769,806
151,558,758
Multi-Asset
Growth
Strategy
Fund
1,204,921,602
771,482,817
480,141,486
Multifactor
International
Equity
Fund
143,908,386
432,055,262
52,752,383
Multifactor
Bond
Fund
56,473,223
80,883,345
34,221,115
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
460
Notes
to
Quarterly
Report
As
of
July
31,
2021,
the
Funds
had
cash
collateral
balances
in
connection
with
FX
contracts
purchased/sold
as
follows:
Options
Certain
Funds
may
purchase
and
sell
(write)
call
and
put
options
on
securities
and
securities
indices.
Such
options
are
traded
on
a
national
securities
exchange
or
in
an
OTC
market.
The
Funds
may
also
purchase
and
sell
(write)
call
and
put
options
on
foreign
currencies.
When
a
Fund
writes
a
covered
call
or
a
put
option,
an
amount
equal
to
the
premium
received
by
the
Fund
is
included
in
the
Fund’s
Statement
of
Assets
and
Liabilities
as
an
asset
and
as
an
equivalent
liability.
The
amount
of
the
liability
is
subsequently
marked-
to-market
to
reflect
the
current
fair
value
of
the
option
written.
The
Fund
receives
a
premium
on
the
sale
of
a
call
option
but
gives
up
the
opportunity
to
profit
from
any
increase
in
the
value
of
the
underlying
instrument
above
the
exercise
price
of
the
option,
and
when
the
Fund
writes
a
put
option
it
is
exposed
to
a
decline
in
the
price
of
the
underlying
instrument.
When
a
Fund
sells
an
uncovered
call
option,
it
does
not
simultaneously
have
a
long
position
in
the
underlying
security.
When
a
Fund
sells
an
uncovered
put
option,
it
does
not
simultaneously
have
a
short
position
in
the
underlying
security.
Uncovered
options
are
riskier
than
covered
options
because
there
is
no
underlying
security
held
by
the
Fund
that
can
act
as
a
partial
hedge.
Whether
an
option
which
the
Fund
has
written
expires
on
its
stipulated
expiration
date
or
the
Fund
enters
into
a
closing
purchase
transaction,
the
Fund
realizes
a
gain
(or
loss,
if
the
cost
of
a
closing
purchase
transaction
exceeds
the
premium
received
when
the
option
was
sold)
without
regard
to
any
unrealized
gain
or
loss
on
the
underlying
security,
and
the
liability
related
to
such
option
is
extinguished.
If
a
call
option
which
the
Fund
has
written
is
exercised,
the
Fund
realizes
a
capital
gain
or
loss
from
the
sale
of
the
underlying
security,
and
the
proceeds
from
such
sale
are
increased
by
the
premium
originally
received.
When
a
put
option
which
a
Fund
has
written
is
exercised,
the
amount
of
the
premium
originally
received
will
reduce
the
cost
of
the
security
which
a
Fund
purchases
upon
exercise
of
the
option.
The
Funds’
use
of
written
options
involves,
to
varying
degrees,
elements
of
market
risk
in
excess
of
the
amount
recognized
in
the
Statements
of
Assets
and
Liabilities.
The
face
or
contract
amounts
of
these
instruments
reflect
the
extent
of
the
Funds’
exposure
to
market
risk.
The
risks
may
be
caused
by
an
imperfect
correlation
between
movements
in
the
price
of
the
instrument
and
the
price
of
the
underlying
securities
and
interest
rates.
Outstanding
Contract
Amounts
Sold
Quarter
Ended
January
31,
2021
April
30,
2021
July
31,
2021
International
Developed
Markets
Fund
$
641,209,280
$
507,738,343
$
497,930,137
Global
Equity
Fund
90,398,244
208,302,151
170,728,235
Emerging
Markets
Fund
26,830,956
32,863,066
24,956,722
Tax-Managed
International
Equity
Fund
14,984,951
8,540,107
1,059,872
Tax-Managed
Real
Assets
Fund
362,451
1,510,781
Opportunistic
Credit
Fund
335,049,290
335,305,474
365,812,389
Unconstrained
Total
Return
Fund
134,011,952
143,108,686
28,724,304
Strategic
Bond
Fund
1,109,041,618
1,447,145,599
1,697,305,748
Investment
Grade
Bond
Fund
178,896,092
202,115,597
232,468,956
Short
Duration
Bond
Fund
57,079,223
62,250,262
60,658,875
Global
Infrastructure
Fund
9,031,932
54,827,662
1,343,928
Global
Real
Estate
Securities
Fund
14,077,783
126,458,914
49,148,478
Multi-Strategy
Income
Fund
296,417,929
250,623,530
150,524,761
Multi-Asset
Growth
Strategy
Fund
1,202,664,154
773,462,310
478,069,453
Multifactor
International
Equity
Fund
143,437,331
431,738,199
53,288,459
Multifactor
Bond
Fund
56,547,428
81,126,738
33,635,147
Cash
Collateral
for
Forwards
Due
to
Broker
Opportunistic
Credit
Fund
$
$
640,000
Strategic
Bond
Fund
340,000
Multi-Strategy
Income
Fund
420,000
420,000
Multi-Asset
Growth
Strategy
Fund
812,145
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
Notes
to
Quarterly
Report
461
Certain
Funds
may
enter
into
a
swaption
(an
option
on
a
swap).
In
a
swaption,
in
exchange
for
an
option,
the
buyer
gains
the
right
but
not
the
obligation
to
enter
into
a
specified
swap
agreement
with
the
issuer
on
a
specified
future
date.
The
writer
of
the
contract
receives
the
premium
and
bears
the
risk
of
unfavorable
changes
in
the
preset
rate
on
the
underlying
swap.
For
the
period
ended
July
31,
2021,
the
following
Funds
purchased
or
sold
options
primarily
for
the
strategies
listed
below:
The
Funds’
options
contracts
notional
amounts
fluctuate
throughout
the
period
as
required
to
meet
strategic
objectives.
The
following
table
illustrates
the
quarterly
volume
of
options
contracts
measured
by
notional
in
USD.
As
of
July
31,
2021,
the
Funds
had
cash
collateral
balances
in
connection
with
options
contracts
purchased/sold
as
follows:
Futures
Contracts
Certain
Funds
may
invest
in
futures
contracts
(i.e.,
interest
rate,
foreign
currency
and
index
futures
contracts)
and
commodity
futures
contracts
(Multi-Asset
Growth
Strategy
Fund
only).
The
face
or
contract
value
of
these
instruments
reflect
the
extent
of
the
Funds’
exposure
to
off
balance
sheet
risk.
The
primary
risks
associated
with
the
use
of
futures
contracts
are
an
imperfect
correlation
between
the
change
in
fair
value
of
the
securities
held
by
the
Funds
and
the
prices
of
futures
contracts,
and
the
possibility
of
an
illiquid
market.
Upon
entering
into
a
futures
contract,
the
Funds
are
required
to
deposit
with
a
broker
an
amount,
termed
the
initial
margin,
which
typically
represents
5%
to
10%
of
the
purchase
price
indicated
in
the
futures
contract.
Payments
to
and
from
the
broker,
known
as
variation
margin,
are
typically
required
to
be
made
on
a
daily
basis
as
the
price
of
the
futures
contract
fluctuates.
Changes
in
initial
settlement
value
are
accounted
for
as
unrealized
appreciation
(depreciation)
until
the
contracts
are
terminated,
at
which
time
realized
gains
and
losses
are
recognized.
For
the
period
ended
July
31,
2021,
the
following
Funds
entered
into
futures
contracts
primarily
for
the
strategies
listed
below:
Funds
Strategies
Unconstrained
Total
Return
Fund
Return
enhancement
and
hedging
Strategic
Bond
Fund
Return
enhancement
and
hedging
Short
Duration
Bond
Fund
Return
enhancement
and
hedging
Multi-Strategy
Income
Fund
Return
enhancement,
hedging,
and
exposing
cash
to
markets
Multi-Asset
Growth
Strategy
Fund
Return
enhancement,
hedging,
and
exposing
cash
to
markets
Notional
of
Options
Contracts
Funds
January
31,
2021
April
30,
2021
July
31,
2021
Unconstrained
Total
Return
Fund
$
247,678,400
$
49,586,400
$
Strategic
Bond
Fund
29,992,500
12,375,000
Short
Duration
Bond
Fund
1,867,000
Multi-Strategy
Income
Fund
1,453,193,402
1,660,171,549
1,291,441,730
Multi-Asset
Growth
Strategy
Fund
2,733,224,902
3,022,162,126
2,210,106,395
Cash
Collateral
for
Options
Due
to
Broker
Multi-Strategy
Income
Fund
$
$
2,274,571
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
462
Notes
to
Quarterly
Report
The
Funds'
futures
contracts
notional
amounts
fluctuate
throughout
the
period
as
required
to
meet
strategic
objectives.
The
following
table
illustrates
the
quarterly
volume
of
futures
contracts
measured
by
notional
in
USD.
Funds
Strategies
Equity
Income
Fund
Exposing
cash
to
markets
Sustainable
Equity
Fund
Exposing
cash
to
markets
U.S.
Strategic
Equity
Fund
Exposing
cash
to
markets
U.S.
Small
Cap
Equity
Fund
Exposing
cash
to
markets
International
Developed
Markets
Fund
Return
enhancement,
hedging
and
exposing
cash
to
markets
Global
Equity
Fund
Return
enhancement,
hedging
and
exposing
cash
to
markets
Emerging
Markets
Fund
Return
enhancement,
hedging
and
exposing
cash
to
markets
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Exposing
cash
to
markets
Tax-Managed
International
Equity
Fund
Return
enhancement,
hedging
and
exposing
cash
to
markets
Tax-Managed
Real
Assets
Fund
Exposing
cash
to
markets
Opportunistic
Credit
Fund
Return
enhancement,
hedging
and
exposing
cash
to
markets
Unconstrained
Total
Return
Fund
Return
enhancement
and
hedging
Strategic
Bond
Fund
Return
enhancement,
hedging
and
exposing
cash
to
markets
Investment
Grade
Bond
Fund
Return
enhancement,
hedging
and
exposing
cash
to
markets
Short
Duration
Bond
Fund
Return
enhancement,
hedging
and
exposing
cash
to
markets
Tax-Exempt
High
Yield
Bond
Fund
Return
enhancement
and
hedging
Tax-Exempt
Bond
Fund
Return
enhancement
and
hedging
Global
Infrastructure
Fund
Exposing
cash
to
markets
Global
Real
Estate
Securities
Fund
Exposing
cash
to
markets
Multi-Strategy
Income
Fund
Return
enhancement,
hedging
and
exposing
cash
to
markets
Multi-Asset
Growth
Strategy
Fund
Return
enhancement,
hedging
and
exposing
cash
to
markets
Multifactor
U.S.
Equity
Fund
Exposing
cash
to
markets
Multifactor
International
Equity
Fund
Return
enhancement,
hedging,
exposing
cash
to
markets,
and
trade
settlement
Multifactor
Bond
Fund
Return
enhancement,
hedging,
and
exposing
cash
to
markets
Notional
of
Futures
Contracts
Funds
January
31,
2021
April
30,
2021
July
31,
2021
Equity
Income
Fund
$
4,816,760
$
5,218,000
$
5,047,925
Sustainable
Equity
Fund
7,462,150
U.S.
Strategic
Equity
Fund
75,400,820
103,525,120
44,992,375
U.S.
Small
Cap
Equity
Fund
56,358,450
46,699,975
69,869,320
International
Developed
Markets
Fund
618,371,969
664,980,428
645,125,508
Global
Equity
Fund
219,998,138
403,517,895
407,190,675
Emerging
Markets
Fund
371,030,440
188,642,519
145,961,705
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
5,372,110
5,440,600
10,524,930
Tax-Managed
International
Equity
Fund
819,550,106
883,499,897
878,409,027
Tax-Managed
Real
Assets
Fund
21,304,900
13,984,240
15,143,775
Opportunistic
Credit
Fund
375,215,095
428,226,063
452,370,444
Unconstrained
Total
Return
Fund
152,154,493
37,328,780
39,167,682
Strategic
Bond
Fund
2,543,937,784
2,338,598,956
2,448,462,514
Investment
Grade
Bond
Fund
422,218,341
378,614,797
331,248,031
Short
Duration
Bond
Fund
145,384,108
136,576,757
154,315,797
Tax-Exempt
High
Yield
Bond
Fund
29,188,516
45,317,594
62,403,625
Tax-Exempt
Bond
Fund
192,528,906
315,271,719
318,554,001
Global
Infrastructure
Fund
5,527,756
2,259,128
1,906,116
Global
Real
Estate
Securities
Fund
17,380,304
28,877,569
21,730,475
Multi-Strategy
Income
Fund
532,783,690
479,770,856
626,107,657
Multi-Asset
Growth
Strategy
Fund
1,132,458,726
1,325,919,943
896,020,687
Multifactor
U.S.
Equity
Fund
4,631,500
21,080,720
7,901,100
Multifactor
International
Equity
Fund
27,782,426
31,258,326
29,280,851
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
Notes
to
Quarterly
Report
463
As
of
July
31,
2021,
the
Funds
had
cash
collateral
balances
in
connection
with
futures
contracts
purchased/sold
as
follows:
Swap
Agreements
Certain
Funds
may
enter
into
swap
agreements,
on
either
an
asset-based
or
liability-based
basis,
depending
on
whether
they
are
hedging
their
assets
or
their
liabilities,
and
will
usually
enter
into
swaps
on
a
net
basis
(i.e.,
the
two
payment
streams
are
netted
out,
with
the
Funds
receiving
or
paying
only
the
net
amount
of
the
two
payments).
When
a
Fund
engages
in
a
swap,
it
exchanges
its
obligations
to
pay
or
rights
to
receive
payments
for
the
obligations
to
pay
or
rights
to
receive
payments
of
another
party
(i.e.,
an
exchange
of
floating
rate
payments
for
fixed
rate
payments).
Certain
Funds
may
enter
into
several
different
types
of
swap
agreements
including
credit
default,
interest
rate,
commodity-
linked
(Multi-Asset
Growth
Strategy
Fund
only),
total
return
(equity
and/or
index)
and
currency
swaps.
Credit
default
swaps
are
a
counterparty
agreement
which
allows
the
transfer
of
third
party
credit
risk
(the
possibility
that
an
issuer
will
default
on
its
obligation
by
failing
to
pay
principal
or
interest
in
a
timely
manner)
from
one
party
to
another.
The
lender
faces
the
credit
risk
from
a
third
party
and
the
counterparty
in
the
swap
agrees
to
insure
this
risk
in
exchange
for
regular
periodic
payments.
Interest
rate
swaps
are
a
counterparty
agreement,
can
be
customized
to
meet
each
party’s
needs,
and
involve
the
exchange
of
a
fixed
or
variable
payment
per
period
for
a
payment
that
is
not
fixed.
Total
return
swaps
are
a
counterparty
agreement
where
two
parties
exchange
two
sets
of
cash
flows
on
predetermined
dates
for
an
agreed
upon
amount
of
time.
The
cash
flows
will
typically
be
an
equity
index
value
swapped
with
a
floating
rate
such
as
LIBOR
plus
or
minus
a
pre-defined
spread.
Total
return
swap
agreements
are
a
counterparty
agreement
intended
to
expose
cash
to
markets
or
to
effect
investment
transactions
consistent
with
those
Funds’
investment
objectives
and
strategies.
Currency
swaps
are
a
counterparty
agreement
where
two
parties
exchange
specified
amounts
of
different
currencies
which
are
followed
by
each
paying
the
other
a
series
of
interest
payments
that
are
based
on
the
principal
cash
flow.
At
maturity
the
principal
amounts
are
returned.
Notional
of
Futures
Contracts
Multifactor
Bond
Fund
17,189,129
8,109,191
4,153,999
Cash
Collateral
for
Futures
Due
to
Broker
Equity
Income
Fund
$
181,779
$
Sustainable
Equity
Fund
241,158
U.S.
Strategic
Equity
Fund
618,938
U.S.
Small
Cap
Equity
Fund
5,168,597
International
Developed
Markets
Fund
31,548,356
Global
Equity
Fund
12,954,699
Emerging
Markets
Fund
19,105,501
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
396,318
Tax-Managed
U.S.
Large
Cap
Fund
29
Tax-Managed
International
Equity
Fund
43,425,075
Tax-Managed
Real
Assets
Fund
164,576
Opportunistic
Credit
Fund
6,921,956
984,051
Unconstrained
Total
Return
Fund
712,873
117,703
Strategic
Bond
Fund
29,068,199
4,821,176
Investment
Grade
Bond
Fund
1,884,681
842,293
Short
Duration
Bond
Fund
1,322,643
Tax-Exempt
High
Yield
Bond
Fund
3,226,375
Tax-Exempt
Bond
Fund
6,365,902
Global
Infrastructure
Fund
121,491
Global
Real
Estate
Securities
Fund
1,029,416
Multi-Strategy
Income
Fund
25,296,241
Multi-Asset
Growth
Strategy
Fund
34,586,461
10,116,094
Multifactor
U.S.
Equity
Fund
149,860
Multifactor
International
Equity
Fund
2,166,047
Multifactor
Bond
Fund
42
25,647
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
464
Notes
to
Quarterly
Report
The
Funds
generally
expect
to
enter
into
these
transactions
primarily
to
preserve
a
return
or
spread
on
a
particular
investment
or
portion
of
their
portfolios
or
to
protect
against
any
increase
in
the
price
of
securities
they
anticipate
purchasing
at
a
later
date,
or
for
return
enhancement.
Under
most
swap
agreements
entered
into
by
a
Fund,
the
parties'
obligations
are
determined
on
a
"net
basis".
The
net
amount
of
the
excess,
if
any,
of
the
Funds’
obligations
over
their
entitlements
with
respect
to
each
swap
will
be
accrued
on
a
daily
basis
and
an
amount
of
cash
or
liquid
assets
having
an
aggregate
NAV
at
least
equal
to
the
accrued
excess
will
be
segregated.
To
the
extent
that
the
Funds
enter
into
swaps
on
other
than
a
net
basis,
the
amount
maintained
in
a
segregated
account
will
be
the
full
amount
of
the
Funds’
obligations,
if
any,
with
respect
to
such
swaps,
accrued
on
a
daily
basis.
If
there
is
a
default
by
the
other
party
to
such
a
transaction,
the
Funds
will
have
contractual
remedies
pursuant
to
the
agreement
related
to
the
transaction.
A
Fund
may
not
receive
the
expected
amount
under
a
swap
agreement
if
the
other
party
to
the
agreement
defaults
or
becomes
bankrupt.
As
of
July
31,
2021,
the
Funds
had
cash
collateral
balances
in
connection
with
swap
contracts
purchased/sold
as
follows:
Credit
Default
Swaps
Certain
Funds
may
enter
into
credit
default
swaps.
A
credit
default
swap
can
refer
to
corporate
issues,
government
issues,
asset-
backed
securities
or
an
index
of
assets,
each
known
as
the
reference
entity
or
underlying
asset.
Funds
may
act
as
either
the
buyer
or
the
seller
of
a
credit
default
swap
involving
one
party
making
a
stream
of
payments
to
another
party
in
exchange
for
the
right
to
receive
a
specified
return
in
the
event
of
a
default
or
other
credit
event.
Depending
upon
the
terms
of
the
contract,
the
credit
default
swap
may
be
closed
via
physical
settlement.
However,
due
to
the
possible
or
potential
instability
in
the
market,
there
is
a
risk
that
the
Funds
may
be
unable
to
deliver
the
underlying
debt
security
to
the
other
party
to
the
agreement.
Additionally,
the
Funds
may
not
receive
the
expected
amount
under
the
swap
agreement
if
the
other
party
to
the
agreement
defaults
or
becomes
bankrupt.
In
an
unhedged
credit
default
swap,
Funds
enter
into
a
credit
default
swap
without
owning
the
underlying
asset
or
debt
issued
by
the
reference
entity.
Credit
default
swaps
allow
Funds
to
acquire
or
reduce
credit
exposure
to
a
particular
issuer,
asset
or
basket
of
instruments.
As
the
seller
of
protection
in
a
credit
default
swap,
a
Fund
would
be
required
to
pay
the
par
or
other
agreed-upon
value
(or
otherwise
perform
according
to
the
swap
contract)
of
a
reference
debt
obligation
to
the
counterparty
in
the
event
of
a
default
(or
other
specified
credit
event)
and
the
counterparty
would
be
required
to
surrender
the
reference
debt
obligation.
In
return,
the
Fund
would
receive
from
the
counterparty
a
periodic
stream
of
payments
over
the
term
of
the
contract
provided
that
no
credit
event
has
occurred.
If
no
credit
event
occurs,
the
Fund
would
keep
the
stream
of
payments
and
would
have
no
payment
obligations.
As
a
seller
of
protection,
the
Fund
would
effectively
add
leverage
to
its
portfolio
because,
in
addition
to
its
total
net
assets,
that
Fund
would
be
subject
to
investment
exposure
on
the
notional
amount
of
the
swap.
Certain
Funds
may
also
purchase
protection
via
credit
default
swap
contracts
in
order
to
offset
the
risk
of
default
of
debt
securities
held
in
their
portfolios
or
to
take
a
short
position
in
a
debt
security,
in
which
case
the
Fund
would
function
as
the
counterparty
referenced
in
the
preceding
paragraph.
If
a
credit
event
occurs
and
cash
settlement
is
not
elected,
a
variety
of
other
deliverable
obligations
may
be
delivered
in
lieu
of
the
specific
referenced
obligation.
The
ability
to
deliver
other
obligations
may
result
in
a
cheapest-to-deliver
option
(the
buyer
of
protection’s
right
to
choose
the
deliverable
obligation
with
the
lowest
value
following
a
credit
event).
The
Funds
may
use
credit
default
swaps
to
provide
a
measure
of
protection
against
defaults
of
the
issuers
(i.e.,
to
reduce
risk
where
Funds
own
or
have
exposure
to
the
referenced
obligation)
or
to
take
an
active
long
or
short
position
with
respect
to
the
likelihood
(as
measured
by
the
credit
default
swap’s
spread)
of
a
particular
issuer’s
default.
Cash
Collateral
for
Swaps
Due
to
Broker
Opportunistic
Credit
Fund
$
2,156,318
$
1,862
Unconstrained
Total
Return
Fund
2,094,145
3,818,000
Strategic
Bond
Fund
41,077,765
40,046
Investment
Grade
Bond
Fund
2,787
Short
Duration
Bond
Fund
48
8
Tax-Exempt
High
Yield
Bond
Fund
13,969
Multi-Strategy
Income
Fund
770,119
11,611,379
Multi-Asset
Growth
Strategy
Fund
12,043,445
15,767,585
Multifactor
Bond
Fund
312,711
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
Notes
to
Quarterly
Report
465
Deliverable
obligations
for
credit
default
swaps
on
asset-backed
securities
in
most
instances
are
limited
to
the
specific
referenced
obligation
as
performance
for
asset-backed
securities
can
vary
across
deals.
Prepayments,
principal
paydowns,
and
other
writedown
or
loss
events
on
the
underlying
mortgage
loans
will
reduce
the
outstanding
principal
balance
of
the
referenced
obligation.
These
reductions
may
be
temporary
or
permanent
as
defined
under
the
terms
of
the
swap
agreement
and
the
notional
amount
for
the
swap
agreement
generally
will
be
adjusted
by
corresponding
amounts.
Certain
Funds
may
use
credit
default
swaps
on
asset-backed
securities
to
provide
a
measure
of
protection
against
defaults
(or
other
defined
credit
events)
of
the
referenced
obligation
or
to
take
an
active
long
or
short
position
with
respect
to
the
likelihood
of
a
particular
referenced
obligation’s
default
(or
another
defined
credit
event).
Credit
default
swap
agreements
on
credit
indices
involve
one
party
making
a
stream
of
payments
to
another
party
in
exchange
for
the
right
to
receive
a
specified
return
in
the
event
of
a
write-down,
principal
shortfall,
interest
shortfall
or
default
of
all
or
part
of
the
referenced
entities
comprising
the
credit
index.
A
credit
index
is
a
basket
of
credit
instruments
or
exposures
designed
to
be
representative
of
some
part
of
the
credit
market
as
a
whole.
These
indices
are
made
up
of
reference
credits
that
are
judged
by
a
poll
of
dealers
to
be
the
most
liquid
entities
in
the
credit
default
swap
market
based
on
the
sector
of
the
index.
Components
of
the
indices
may
include,
but
are
not
limited
to,
investment
grade
securities,
high
yield
securities,
asset-backed
securities,
emerging
markets,
and/or
various
credit
ratings
within
each
sector.
Credit
indices
are
traded
using
credit
default
swaps
with
standardized
terms
including
a
fixed
spread
and
standard
maturity
dates.
An
index
credit
default
swap
references
all
the
names
in
the
index,
and
if
there
is
a
default,
the
credit
event
is
settled
based
on
that
name’s
weight
in
the
index.
The
composition
of
the
indices
changes
periodically,
usually
every
six
months,
and,
for
most
indices,
each
name
has
an
equal
weight
in
the
index.
Traders
may
use
credit
default
swaps
on
indices
to
speculate
on
changes
in
credit
quality.
Implied
credit
spreads,
represented
in
absolute
terms,
utilized
in
determining
the
fair
value
of
credit
default
swap
agreements
on
corporate
issues
as
of
period-end
are
disclosed
in
the
Schedules
of
Investments
and
generally
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
likelihood
or
risk
of
default
(or
other
defined
credit
event)
for
the
credit
derivative.
The
implied
credit
spread
of
a
particular
referenced
entity
reflects
the
cost
of
entering
into
a
credit
default
swap
and
may
include
upfront
payments
required
to
be
made
to
enter
into
the
agreement.
For
credit
default
swap
agreements
on
asset-
backed
securities
and
credit
indices,
the
quoted
market
prices
and
resulting
values
serve
as
the
indicator
of
the
current
status
of
the
payment/performance
risk.
Wider
credit
spreads
and
increasing
fair
values,
in
absolute
terms
when
compared
to
the
notional
amount
of
the
swap,
generally
represent
a
deterioration
of
the
referenced
entity’s
credit
soundness
and
a
greater
likelihood
or
risk
of
default
or
other
credit
event
occurring
as
defined
under
the
terms
of
the
agreement.
The
maximum
potential
amount
of
future
payments
(undiscounted)
that
Funds
as
a
seller
of
protection
could
be
required
to
make
under
a
credit
default
swap
agreement
equals
the
notional
amount
of
the
agreement.
Notional
amounts
of
all
credit
default
swap
agreements
outstanding
as
of
July
31,
2021,
for
which
a
Fund
is
the
seller
of
protection
are
disclosed
in
the
Schedules
of
Investments.
These
potential
amounts
would
be
partially
offset
by
any
recovery
values
of
the
respective
referenced
obligations,
upfront
payments
received
upon
entering
into
the
agreement,
or
net
amounts
received
from
the
settlement
of
buy
protection
credit
default
swap
agreements
entered
into
by
a
Fund
for
the
same
referenced
entity
or
entities.
Credit
default
swaps
could
result
in
losses
if
the
Funds
do
not
correctly
evaluate
the
creditworthiness
of
the
company
or
companies
on
which
the
credit
default
swap
is
based.
Credit
default
swap
agreements
may
involve
greater
risks
than
if
the
Funds
had
invested
in
the
reference
obligation
directly
since,
in
addition
to
risks
relating
to
the
reference
obligation,
credit
default
swaps
are
subject
to
illiquidity
and
counterparty
risk.
A
Fund
will
generally
incur
a
greater
degree
of
risk
when
it
sells
a
credit
default
swap
than
when
it
purchases
a
credit
default
swap.
As
a
buyer
of
a
credit
default
swap,
a
Fund
may
lose
its
investment
and
recover
nothing
should
a
credit
event
fail
to
occur
and
the
swap
is
held
to
its
termination
date.
As
seller
of
a
credit
default
swap,
if
a
credit
event
were
to
occur,
the
value
of
any
deliverable
obligation
received
by
a
Fund,
coupled
with
the
upfront
or
periodic
payments
previously
received,
may
be
less
than
what
it
pays
to
the
buyer,
resulting
in
a
loss
of
value
to
the
Fund.
If
the
creditworthiness
of
a
Fund’s
swap
counterparty
declines,
the
risk
that
the
counterparty
may
not
perform
could
increase,
potentially
resulting
in
a
loss
to
the
Fund.
To
limit
the
counterparty
risk
involved
in
swap
agreements,
the
Funds
will
only
enter
into
swap
agreements
with
counterparties
that
meet
certain
standards
of
creditworthiness.
Although
there
can
be
no
assurance
that
the
Funds
will
be
able
to
do
so,
the
Funds
may
be
able
to
reduce
or
eliminate
their
exposure
under
a
swap
agreement
either
by
assignment
or
other
disposition,
or
by
entering
into
an
offsetting
swap
agreement
with
the
same
party
or
another
creditworthy
party.
The
Funds
may
have
limited
ability
to
eliminate
their
exposure
under
a
credit
default
swap
if
the
credit
quality
of
the
reference
entity
or
underlying
asset
has
declined.
For
the
period
ended
July
31,
2021,
the
following
Funds
entered
into
credit
default
swaps
primarily
for
the
strategies
listed
below:
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
466
Notes
to
Quarterly
Report
The
Funds'
period
end
credit
default
swap
contract
notional
amounts
outstanding
fluctuate
throughout
the
period
as
required
to
meet
strategic
objectives.
The
following
table
illustrates
the
quarterly
volume
of
credit
default
swap
contracts.
For
the
purpose
of
this
disclosure,
volume
is
measured
by
the
notional
amounts
outstanding
in
USD
at
each
quarter
end.
Interest
Rate
Swaps
The
use
of
interest
rate
swaps
is
a
highly
specialized
activity
which
involves
investment
techniques
and
risks
different
from
those
associated
with
ordinary
portfolio
securities
transactions.
If
RIM
or
a
money
manager
using
this
technique
is
incorrect
in
its
forecast
of
fair
values,
interest
rates
and
other
applicable
factors,
the
investment
performance
of
a
Fund
might
diminish
compared
to
what
it
would
have
been
if
this
investment
technique
were
not
used.
Interest
rate
swaps
do
not
involve
the
delivery
of
securities
or
other
underlying
assets
or
principal.
Accordingly,
the
risk
of
loss
with
respect
to
interest
rate
swaps
is
limited
to
the
net
amount
of
interest
payments
that
the
Funds
are
contractually
obligated
to
make.
Interest
rate
swaps
are
traded
on
exchanges
and
are
subject
to
central
clearing.
If
the
clearing
house
or
futures
commission
merchant
defaults,
the
Funds'
risk
of
loss
consists
of
the
net
amount
of
interest
payments
that
the
Funds
are
contractually
entitled
to
receive.
The
counterparty
risk
for
cleared
derivatives
is
generally
lower
than
for
uncleared
derivatives.
However,
clearing
may
subject
a
Fund
to
increased
costs
or
margin
requirements.
For
the
period
ended
July
31,
2021,
the
following
Funds
entered
into
interest
rate
swaps
primarily
for
the
strategies
listed
below:
The
Funds’
interest
rate
swap
contract
notional
amounts
outstanding
fluctuate
throughout
the
period
as
required
to
meet
strategic
objectives.
The
following
table
illustrates
the
quarterly
volume
of
interest
rate
swap
contracts.
For
the
purpose
of
this
disclosure,
volume
is
measured
by
the
notional
amounts
outstanding
in
USD
at
each
quarter
end.
Total
Return
Swaps
Certain
Funds
may
enter
into
total
return
swap
agreements
to
expose
cash
to
markets
or
to
effect
investment
transactions.
Total
return
swap
agreements
are
two
party
contracts
entered
into
primarily
by
institutional
investors
for
periods
ranging
from
a
few
weeks
Funds
Strategies
Opportunistic
Credit
Fund
Return
enhancement,
hedging
and
exposing
cash
to
markets
Unconstrained
Total
Return
Fund
Return
enhancement
and
hedging
Strategic
Bond
Fund
Return
enhancement,
hedging
and
exposing
cash
to
markets
Multi-Strategy
Income
Fund
Return
enhancement,
hedging
and
exposing
cash
to
markets
Multi-Asset
Growth
Strategy
Fund
Return
enhancement,
hedging
and
exposing
cash
to
markets
Multifactor
Bond
Fund
Return
enhancement,
hedging
and
exposing
cash
to
markets
Credit
Default
Swap
Notional
Amounts
Outstanding
Quarter
Ended
January
31,
2021
April
30,
2021
July
31,
2021
Opportunistic
Credit
Fund
$
49,884,321
$
82,632,598
$
72,100,000
Unconstrained
Total
Return
Fund
164,770,288
54,982,159
100,610,373
Strategic
Bond
Fund
86,232,000
223,552,000
630,652,000
Multi-Strategy
Income
Fund
47,061,471
Multi-Asset
Growth
Strategy
Fund
30,527,683
66,840,950
68,898,383
Multifactor
Bond
Fund
8,400,000
Funds
Strategies
Unconstrained
Total
Return
Fund
Return
enhancement
and
hedging
Strategic
Bond
Fund
Return
enhancement
and
hedging
Tax-Exempt
High
Yield
Bond
Fund
Return
enhancement
and
hedging
Multi-Strategy
Income
Fund
Return
enhancement,
hedging,
and
exposing
cash
to
markets
Multi-Asset
Growth
Strategy
Fund
Return
enhancement,
hedging,
and
exposing
cash
to
markets
Interest
Rate
Swap
Notional
Amounts
Outstanding
Quarter
Ended
January
31,
2021
April
30,
2021
July
31,
2021
Unconstrained
Total
Return
Fund
$
311,617,000
$
425,977,900
$
10,204,000
Strategic
Bond
Fund
257,874,186
273,210,824
373,464,631
Tax-Exempt
High
Yield
Bond
Fund
4,700,000
Multi-Strategy
Income
Fund
664,190,097
1,047,059,908
1,255,228,913
Multi-Asset
Growth
Strategy
Fund
1,230,856,145
1,698,004,480
2,207,972,438
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
Notes
to
Quarterly
Report
467
to
more
than
one
year.
In
a
standard
total
return
swap
transaction,
the
two
parties
agree
to
exchange
the
returns
(or
differentials
in
rates
of
return)
earned
or
realized
on
particular
investments
or
instruments.
The
returns
to
be
exchanged
between
the
parties
are
calculated
with
respect
to
a
“notional
amount”
(i.e.,
a
specified
dollar
amount
that
is
hypothetically
invested
in
a
“basket”
of
securities
representing
a
particular
index).
For
the
period
ended
July
31,
2021,
the
following
Funds
entered
into
total
return
swaps
primarily
for
the
strategies
listed
below:
The
Funds'
period
end
total
return
swap
contract
notional
amounts
outstanding
fluctuate
throughout
the
period
as
required
to
meet
strategic
objectives.
The
following
table
illustrates
the
quarterly
volume
of
total
return
swap
contracts.
For
the
purpose
of
this
disclosure,
volume
is
measured
by
the
notional
amounts
outstanding
in
USD
at
each
quarter
end.
Currency
Swaps
Certain
Funds
may
enter
into
currency
swap
agreements
to
enhance
returns
or
for
hedging
purposes.
Currency
swap
agreements
are
agreements
where
two
parties
exchange
specified
amounts
of
different
currencies
which
are
followed
by
paying
the
other
a
series
of
interest
payments
that
are
based
on
the
principal
cash
flow.
At
maturity,
the
principal
amounts
are
exchanged.
For
the
period
ended
July
31,
2021,
the
Funds
did
not
enter
into
any
currency
swaps.
Commodity-Linked
Instruments
The
Multi-Asset
Growth
Strategy
Fund
invests
in
commodity-linked
derivative
instruments,
such
as
swap
agreements
and
futures.
At
least
part
of
their
value
is
derived
from
the
value
of
an
underlying
commodity
index,
commodity
futures
or
options
contracts
index,
or
other
readily
measurable
economic
variable.
The
prices
of
commodity-linked
derivative
instruments
may
move
in
different
directions
than
investments
in
traditional
equity
and
debt
securities.
As
an
example,
during
periods
of
rising
inflation,
debt
securities
have
historically
tended
to
decline
in
value
due
to
the
general
increase
in
prevailing
interest
rates.
Conversely,
during
those
same
periods
of
rising
inflation,
historically
the
prices
of
certain
commodities,
such
as
oil
and
metals,
have
tended
to
increase.
Of
course,
there
cannot
be
any
guarantee
that
such
commodity-linked
derivative
instruments
will
perform
in
that
manner
in
the
future,
and
at
certain
times
the
price
movements
of
commodity-linked
derivative
investments
have
been
parallel
to
those
of
debt
and
equity
securities.
The
Multi-Asset
Growth
Strategy
Fund
may
invest
in
commodity-linked
notes.
Commodity
linked
notes
pay
a
return
linked
to
the
performance
of
a
commodity
over
a
defined
period.
On
the
maturity
date,
the
note
pays
the
initial
principal
amount
plus
return,
if
any,
based
on
the
percentage
change
in
the
underlying
commodity.
Master
Agreements
Certain
Funds
are
parties
to
International
Swaps
and
Derivatives
Association,
Inc.
Master
Agreements
(“ISDA
Master
Agreements”)
with
counterparties
that
govern
transactions
in
OTC
derivative
and
foreign
exchange
contracts
entered
into
by
the
Funds
and
those
counterparties.
The
ISDA
Master
Agreements
contain
provisions
for
general
obligations,
representations,
agreements,
collateral
and
events
of
default
or
termination.
Events
of
termination
and
default
include
conditions
that
may
entitle
either
party
to
elect
to
terminate
early
and
cause
settlement
of
all
outstanding
transactions
under
the
applicable
ISDA
Master
Agreement.
Any
election
to
terminate
early
could
be
material
to
the
financial
statements.
Since
different
types
of
forward
and
OTC
financial
derivative
transactions
have
different
mechanics
and
are
sometimes
traded
out
of
different
legal
entities
of
a
particular
counterparty
organization,
each
type
of
transaction
may
be
covered
by
a
different
ISDA
Master
Agreement,
resulting
in
the
need
for
multiple
agreements
with
a
single
counterparty.
As
the
ISDA
Master
Agreements
are
specific
to
unique
operations
of
different
asset
types,
Funds
Strategies
Unconstrained
Total
Return
Fund
Hedging
Multi-Strategy
Income
Fund
Return
enhancement,
hedging,
and
exposing
cash
to
markets
Multi-Asset
Growth
Strategy
Fund
Return
enhancement,
hedging,
and
exposing
cash
to
markets
Total
Return
Swap
Notional
Amounts
Outstanding
Quarter
Ended
January
31,
2021
April
30,
2021
July
31,
2021
Unconstrained
Total
Return
Fund
$
3,018,270
$
5,342,045
$
4,724,458
Multi-Strategy
Income
Fund
50,485,499
35,569,686
31,457,519
Multi-Asset
Growth
Strategy
Fund
108,237,783
51,059,686
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
468
Notes
to
Quarterly
Report
they
allow
a
Fund
to
net
its
total
exposure
to
a
counterparty
in
the
event
of
a
default
with
respect
to
all
the
transactions
governed
under
a
single
agreement
with
a
counterparty.
Master
Repurchase
Agreements
(“Master
Repo
Agreements”)
govern
transactions
between
a
Fund
and
select
counterparties.
The
Master
Repo
Agreements
maintain
provisions
for,
among
other
things,
initiation,
income
payments,
events
of
default,
and
maintenance
of
collateral
for
repurchase
and
reverse
repurchase
agreements.
Master
Securities
Forward
Transaction
Agreements
(“Master
Forward
Agreements”)
govern
the
considerations
and
factors
surrounding
the
settlement
of
certain
forward
settling
transactions,
such
as
delayed
delivery
by
and
between
a
Fund
and
select
counterparties.
The
Master
Forward
Agreements
maintain
provisions
for,
among
other
things,
initiation
and
confirmation,
payment
and
transfer,
events
of
default,
termination,
and
maintenance
of
collateral.
Loan
Agreements
Certain
Funds
may
invest
in
direct
debt
instruments,
which
are
interests
in
amounts
owed
by
corporate,
governmental,
or
other
borrowers
to
lenders
or
lending
syndicates.
The
Funds'
investments
in
loans
may
be
in
the
form
of
participations
in
loans
or
assignments
of
all
or
a
portion
of
loans
from
third
parties.
A
loan
is
often
administered
by
a
bank
or
other
financial
institution
(the
“agent”)
that
acts
as
agent
for
all
holders.
The
agent
administers
the
terms
of
the
loan,
as
specified
in
the
loan
agreement.
When
investing
in
a
loan
participation,
the
Funds
have
the
right
to
receive
payments
of
principal,
interest
and
any
fees
to
which
they
are
entitled
only
from
the
agent
selling
the
loan
agreement
and
only
upon
receipt
by
the
agent
of
payments
from
the
borrower.
The
Funds
generally
have
no
right
to
enforce
compliance
with
the
terms
of
the
loan
agreement
with
the
borrower.
As
a
result,
the
Funds
may
be
subject
to
the
credit
risk
of
both
the
borrower
and
the
agent
that
is
selling
the
loan
agreement.
When
the
Funds
purchase
assignments
from
agents
they
acquire
direct
rights
against
the
borrower
on
the
loan.
Local
Access
Products
Certain
Funds
may
invest
in
local
access
products,
also
known
as
certificates
of
participation,
participation
notes
or
participation
interest
notes.
Local
access
products
are
issued
by
banks
or
broker-dealers
and
are
designed
to
replicate
the
performance
of
foreign
companies
or
foreign
securities
markets
and
can
be
used
by
the
Fund
as
an
alternative
means
to
access
the
securities
market
of
a
frontier
emerging
market
country.
The
performance
results
of
local
access
products
will
not
replicate
exactly
the
performance
of
the
foreign
companies
or
foreign
securities
markets
that
they
seek
to
replicate
due
to
transaction
and
other
expenses.
Investments
in
local
access
products
involve
certain
risks
in
addition
to
those
associated
with
a
direct
investment
in
the
underlying
foreign
companies
or
foreign
securities
markets
whose
return
they
seek
to
replicate.
There
can
be
no
assurance
that
there
will
be
a
trading
market
or
that
the
trading
price
of
local
access
products
will
equal
the
underlying
value
of
the
foreign
company
or
foreign
securities
market
that
it
seeks
to
replicate.
The
Funds
rely
on
the
creditworthiness
of
the
counterparty
issuing
the
local
access
products
and
have
no
rights
against
the
issuer
of
the
underlying
security.
The
Funds
minimize
this
risk
by
entering
into
agreements
only
with
counterparties
that
RIM
deems
creditworthy.
Due
to
liquidity
and
transfer
restrictions,
the
secondary
markets
on
which
the
local
access
products
are
traded
may
be
less
liquid
than
the
markets
for
other
securities,
or
may
be
completely
illiquid.
Credit
Linked
Notes
Certain
Funds
may
invest
in
credit
linked
notes.
Credit
linked
notes
are
obligations
between
two
or
more
parties
where
the
payment
of
principal
and/or
interest
is
based
on
the
performance
of
some
obligation,
basket
of
obligations,
index
or
economic
indicator
(a
“reference
instrument”).
In
addition
to
the
credit
risk
associated
with
the
reference
instrument
and
interest
rate
risk,
the
buyer
and
seller
of
a
credit
linked
note
or
similar
structured
investment
are
subject
to
counterparty
risk.
Short
Sales
The
Sustainable
Equity
and
U.S.
Small
Cap
Equity
Funds
may
enter
into
short
sale
transactions.
In
a
short
sale,
the
seller
sells
a
security
that
it
does
not
own,
typically
a
security
borrowed
from
a
broker
or
dealer.
Because
the
seller
remains
liable
to
return
the
underlying
security
that
it
borrowed
from
the
broker
or
dealer,
the
seller
must
purchase
the
security
prior
to
the
date
on
which
delivery
to
the
broker
or
dealer
is
required.
A
Fund
will
incur
a
loss
as
a
result
of
the
short
sale
if
the
price
of
the
security
increases
between
the
date
of
the
short
sale
and
the
date
on
which
the
Fund
must
return
the
borrowed
security.
A
Fund
will
realize
a
gain
if
the
security
declines
in
price
between
those
dates.
Short
sales
expose
a
Fund
to
the
risk
of
liability
for
the
fair
value
of
the
security
that
is
sold
(the
amount
of
which
increases
as
the
fair
value
of
the
underlying
security
increases),
in
addition
to
the
costs
associated
with
establishing,
maintaining
and
closing
out
the
short
position.
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
Notes
to
Quarterly
Report
469
Although
a
Fund’s
potential
for
gain
as
a
result
of
a
short
sale
is
limited
to
the
price
at
which
it
sold
the
security
short
less
the
cost
of
borrowing
the
security,
its
potential
for
loss
is
theoretically
unlimited
because
there
is
no
limit
to
the
cost
of
replacing
the
borrowed
security.
When
a
Fund
makes
a
short
sale,
the
Fund
may
use
all
or
a
portion
of
the
cash
proceeds
of
short
sales
to
purchase
other
securities
or
for
any
other
permissible
Fund
purpose.
Each
of
the
Sustainable
Equity
Fund
and
U.S.
Small
Cap
Equity
Fund
currently
engage
in
short
sale
transactions
that
are
effected
through
State
Street
but
reserve
the
right
to
engage
in
short
sale
transactions
through
one
or
more
other
counterparties.
For
short
sale
transactions
effected
through
State
Street,
the
Funds
typically
expect
to
collateralize
short
sale
transactions
through
the
Funds’
respective
reciprocal
lending
activity
with
State
Street
(i.e.,
short
sale
transactions
are
collateralized
by
securities
loaned
to
State
Street
for
purposes
of
securities
lending
activities).
The
Funds
may
also
deliver
cash
to
State
Street
for
purposes
of
collateralizing
their
short
sales
transactions
or
“memo
pledge”
securities
as
collateral,
whereby
assets
are
designated
as
collateral
by
State
Street
on
State
Street's
books
but
remain
in
a
Fund’s
custody
account.
Similar
to
the
risks
generally
applicable
to
securities
lending
arrangements,
participation
in
the
reciprocal
lending
program
subjects
these
Funds
to
the
risk
that
State
Street
could
fail
to
return
a
security
lent
to
it
by
a
Fund,
or
fail
to
return
the
Fund’s
cash
collateral,
a
risk
which
would
increase
with
any
decline
in
State
Street’s
credit
profile.
However,
the
impact
of
State
Street’s
failure
to
return
a
security
lent
to
it
by
a
Fund,
or
failure
to
return
a
Fund’s
cash
collateral,
would
be
mitigated
by
the
Fund’s
right
under
such
circumstances
to
decline
to
return
the
securities
the
Fund
initially
borrowed
from
State
Street
with
respect
to
its
short
sale
transactions.
This
risk
may
be
heightened
during
periods
of
market
stress
and
volatility,
particularly
if
the
type
of
collateral
provided
is
different
than
the
type
of
security
borrowed
(e.g.,
cash
is
provided
as
collateral
for
a
loan
of
an
equity
security).
To
the
extent
necessary
to
meet
collateral
requirements
associated
with
a
short
sale
transaction
involving
a
counterparty
other
than
State
Street,
the
Funds
are
required
to
pledge
assets
in
a
segregated
account
maintained
by
the
Funds'
custodian
for
the
benefit
of
the
broker.
The
Funds
may
also
use
securities
they
own
to
meet
any
such
collateral
obligations.
Until
the
Funds
replace
a
borrowed
security
in
connection
with
a
short
sale,
the
Funds
will:
(a)
maintain
daily
a
segregated
account,
containing
liquid
assets
at
such
a
level
that
the
amount
deposited
in
the
segregated
account
will
equal
the
current
requirement
under
Regulation
T
promulgated
by
the
Board
of
Governors
of
the
Federal
Reserve
System
under
the
authority
of
Sections
7
and
8
of
the
Securities
Exchange
Act
of
1934,
as
amended;
or
(b)
otherwise
cover
their
short
positions
in
accordance
with
positions
taken
by
the
staff
of
the
SEC
(e.g.,
taking
an
offsetting
long
position
in
the
security
sold
short).
These
requirements
may
result
in
the
Funds
being
unable
to
purchase
or
sell
securities
or
instruments
when
it
would
otherwise
be
favorable
to
do
so,
or
in
the
Funds
needing
to
sell
holdings
at
a
disadvantageous
time
to
satisfy
their
obligations
or
to
meet
segregation
requirements.
If
the
Fund’s
prime
broker
fails
to
make
or
take
delivery
of
a
security
as
part
of
a
short
sale
transaction,
or
fails
to
make
a
cash
settlement
payment,
the
settlement
of
the
transaction
may
be
delayed
and
the
Fund
may
lose
money.
As
of
July
31,
2021,
the
market
value
of
securities
on
loan
through
the
reciprocal
lending
program
were
as
follows:
As
of
July
31,
2021,
the
Sustainable
Equity
Fund
held
$30,058,233
and
the
U.S.
Small
Cap
Equity
Fund
held
$83,722,295
as
collateral
for
short
sales.
Securities
Lending
The
Investment
Company
has
a
securities
lending
program
whereby
each
Fund
can
loan
securities
with
a
value
up
to
33
1/3%
of
each
Fund's
total
assets.
The
maturity
associated
with
these
securities
is
considered
continuous.
The
Fund
receives
cash
(U.S.
currency),
U.S.
Government
or
U.S.
Government
Agency
obligations
as
collateral
against
the
loaned
securities.
The
collateral
cannot
be
resold,
repledged
or
rehypothecated.
As
of
July
31,
2021,
to
the
extent
that
a
loan
was
collateralized
by
cash,
such
collateral
was
invested
by
the
securities
lending
agent,
Goldman
Sachs
Agency
Lending
("GSAL"),
in
the
U.S.
Cash
Collateral
Fund,
an
unregistered
fund
advised
by
RIM.
To
the
extent
that
a
loan
is
secured
by
non-cash
collateral,
brokers
pay
the
Fund
negotiated
lenders'
fees,
which
are
divided
between
the
Fund
and
the
securities
lending
agent
and
are
recorded
as
securities
lending
income
for
the
Fund.
All
collateral
received
will
be
in
an
amount
at
least
equal
to
102%
(for
loans
of
U.S.
securities)
or
105%
(for
loans
of
non-U.S.
securities)
of
the
fair
value
of
the
loaned
securities
at
the
inception
of
each
loan.
The
fair
value
of
the
loaned
securities
is
determined
at
the
close
of
business
of
the
Fund
and
any
additional
required
collateral
is
delivered
to
the
Fund
the
next
day.
Should
the
borrower
of
the
securities
fail
financially,
there
is
a
risk
of
delay
in
recovery
of
the
securities
or
loss
of
rights
in
the
collateral.
Amount
Sustainable
Equity
Fund
$
16,304,311
U.S.
Small
Cap
Equity
Fund
56,529,670
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
470
Notes
to
Quarterly
Report
Emerging
Markets
Securities
Certain
Funds
may
invest
in
emerging
markets
securities.
Investing
in
emerging
markets
securities
can
pose
some
risks
different
from,
and
greater
than,
risks
of
investing
in
U.S.
or
developed
markets
securities.
These
risks
include:
a
risk
of
loss
due
to
exposure
to
economic
structures
that
are
generally
less
diverse
and
mature,
and
to
political
systems
which
may
have
less
stability,
than
those
of
more
developed
countries;
smaller
market
capitalization
of
securities
markets,
which
may
suffer
periods
of
relative
illiquidity
(including
as
a
result
of
a
significant
reduction
in
the
number
of
market
participants
or
transactions);
significant
price
volatility;
restrictions
on
foreign
investment;
possible
difficulties
in
the
repatriation
of
investment
income
and
capital
including
as
a
result
of
the
closure
of
securities
markets
in
an
emerging
market
country;
and
generally,
less
stringent
investor
protection
standards
as
compared
with
investments
in
U.S.
or
other
developed
market
equity
securities.
In
addition,
foreign
investors
may
be
required
to
register
the
proceeds
of
sales
and
future
economic
or
political
crises
could
lead
to
price
controls,
forced
mergers,
expropriation
or
confiscatory
taxation,
seizure,
nationalization,
or
creation
of
government
monopolies.
The
currencies
of
emerging
market
countries
may
experience
significant
declines
against
the
U.S.
dollar,
and
devaluation
may
occur
subsequent
to
investments
in
these
currencies
by
the
Funds.
Emerging
market
securities
may
be
subject
to
currency
transfer
restrictions
and
may
experience
delays
and
disruptions
in
settlement
procedures
for
a
Fund's
portfolio
securities.
Inflation
and
rapid
fluctuations
in
inflation
rates
have
had,
and
may
continue
to
have,
negative
effects
on
the
economies
and
securities
markets
of
certain
emerging
market
countries.
Emerging
market
countries
may
be
more
likely
to
experience
the
imposition
of
economic
sanctions
by
foreign
governments.
In
addition,
emerging
market
countries
may
be
subject
to
less
stringent
requirements
regarding
accounting,
auditing,
financial
reporting
and
record
keeping
and
therefore,
all
material
information
may
not
be
available
or
reliable.
U.S.
regulatory
authorities'
ability
to
enforce
legal
and/or
regulatory
obligations
against
individuals
or
entities,
and
shareholders'
ability
to
bring
derivative
litigation
or
otherwise
enforce
their
legal
rights,
in
emerging
market
countries
may
be
limited.
Emerging
Markets
Debt
Certain
Funds
may
invest
in
emerging
markets
debt.
A
Fund's
emerging
markets
debt
securities
may
include
obligations
of
governments
and
corporations.
As
with
any
fixed
income
securities,
emerging
markets
debt
securities
are
subject
to
the
risk
of
being
downgraded
in
credit
rating
due
to
the
risk
of
default.
In
the
event
of
a
default
on
any
investments
in
foreign
debt
obligations,
it
may
be
more
difficult
for
a
Fund
to
obtain
or
to
enforce
a
judgment
against
the
issuers
of
such
securities.
With
respect
to
debt
issued
by
emerging
market
governments,
such
issuers
may
be
unwilling
to
pay
interest
and
repay
principal
when
due,
either
due
to
an
inability
to
pay
or
submission
to
political
pressure
not
to
pay,
and
as
a
result
may
default,
declare
temporary
suspensions
of
interest
payments
or
require
that
the
conditions
for
payment
be
renegotiated.
Repurchase
Agreements
Certain
Funds
may
enter
into
repurchase
agreements.
A
repurchase
agreement
is
an
agreement
under
which
a
Fund
acquires
a
fixed
income
security
from
a
commercial
bank,
broker
or
dealer
and
simultaneously
agrees
to
resell
such
security
to
the
seller
at
an
agreed
upon
price
and
date
(normally
within
a
few
days
or
weeks).
The
resale
price
reflects
an
agreed
upon
interest
rate
effective
for
the
period
the
security
is
held
by
a
Fund
and
is
unrelated
to
the
interest
rate
on
the
security.
The
securities
acquired
by
a
Fund
constitute
collateral
for
the
repurchase
obligation.
In
these
transactions,
the
securities
acquired
by
a
Fund
(including
accrued
interest
earned
thereon)
must
have
a
total
value
in
excess
of
the
value
of
the
repurchase
agreement
and
must
be
held
by
the
custodian
bank
until
repurchased.
A
Fund
will
not
invest
more
than
15%
of
its
net
assets
(taken
at
current
fair
value)
in
repurchase
agreements
maturing
in
more
than
seven
days.
Mortgage-Related
and
Other
Asset-Backed
Securities
Certain
Funds
may
invest
in
mortgage
or
other
asset-backed
securities
(“ABS”).
These
securities
may
include
mortgage
instruments
issued
by
U.S.
government
agencies
(“agency
mortgages”)
or
those
issued
by
private
entities
(“non-agency
mortgages”).
Specific
types
of
instruments
may
include
reverse
mortgages,
mortgage
pass-through
securities,
collateralized
mortgage
obligations
(“CMO”),
commercial
mortgage-backed
securities,
mortgage
dollar
rolls,
CMO
residuals,
stripped
mortgage-backed
securities
and
other
securities
that
directly
or
indirectly
represent
a
participation
in,
or
are
secured
by
a
payable
from,
mortgage
loans
on
real
property.
The
value
of
a
Fund’s
mortgage-backed
securities
(“MBS”)
may
be
affected
by,
among
other
things,
changes
or
perceived
changes
in
interest
rates,
factors
concerning
the
interests
in
and
structure
of
the
issuer
or
the
originator
of
the
mortgage,
or
the
quality
of
the
underlying
assets.
The
mortgages
underlying
the
securities
may
default
or
decline
in
quality
or
value.
Through
its
investments
in
MBS,
a
Fund
has
exposure
to
subprime
loans,
Alt-A
loans
and
non-conforming
loans
as
well
as
to
the
mortgage
and
credit
markets
generally.
Underlying
collateral
related
to
subprime,
Alt-A
and
non-conforming
mortgage
loans
has
become
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
Notes
to
Quarterly
Report
471
increasingly
susceptible
to
defaults
and
declines
in
quality
or
value,
especially
in
a
declining
residential
real
estate
market.
In
addition,
regulatory
or
tax
changes
may
adversely
affect
the
mortgage
securities
markets
as
a
whole.
Mortgage-Backed
Securities
MBS
often
have
stated
maturities
of
up
to
thirty
years
when
they
are
issued,
depending
upon
the
length
of
the
mortgages
underlying
the
securities.
In
practice,
however,
unscheduled
or
early
payments
of
principal
and
interest
on
the
underlying
mortgages
may
make
the
securities’
effective
maturity
shorter
than
this,
and
the
prevailing
interest
rates
may
be
higher
or
lower
than
the
current
yield
of
a
Fund’s
portfolio
at
the
time
resulting
in
reinvestment
risk.
Rising
or
high
interest
rates
may
result
in
slower
than
expected
principal
payments
which
may
tend
to
extend
the
duration
of
MBS,
making
them
more
volatile
and
more
sensitive
to
changes
in
interest
rates.
This
is
known
as
extension
risk.
MBS
may
have
less
potential
for
capital
appreciation
than
comparable
fixed
income
securities
due
to
the
likelihood
of
increased
prepayments
of
mortgages
resulting
from
foreclosures
or
declining
interest
rates.
These
foreclosed
or
refinanced
mortgages
are
paid
off
at
face
value
(par)
or
less,
causing
a
loss,
particularly
for
any
investor
who
may
have
purchased
the
security
at
a
premium
or
a
price
above
par.
In
such
an
environment,
this
risk
limits
the
potential
price
appreciation
of
these
securities.
Agency
Mortgage-Backed
Securities
Certain
MBS
may
be
issued
or
guaranteed
by
the
U.S.
government
or
a
government
sponsored
entity,
such
as
Fannie
Mae
(the
Federal
National
Mortgage
Association)
or
Freddie
Mac
(the
Federal
Home
Loan
Mortgage
Corporation).
Although
these
instruments
may
be
guaranteed
by
the
U.S.
government
or
a
government
sponsored
entity,
many
such
MBS
are
not
backed
by
the
full
faith
and
credit
of
the
United
States
and
are
still
exposed
to
the
risk
of
non-payment.
Privately
Issued
Mortgage-Backed
Securities
MBS
held
by
a
Fund
may
be
issued
by
private
issuers
including
commercial
banks,
savings
associations,
mortgage
companies,
investment
banking
firms,
finance
companies
and
special
purpose
finance
entities
(called
special
purpose
vehicles
or
SPVs)
and
other
entities
that
acquire
and
package
mortgage
loans
for
resale
as
MBS.
These
privately
issued
non-agency
MBS
may
offer
higher
yields
than
those
issued
by
government
agencies,
but
also
may
be
subject
to
greater
price
changes
than
governmental
issues.
Subprime
loans
refer
to
loans
made
to
borrowers
with
weakened
credit
histories
or
with
a
lower
capacity
to
make
timely
payments
on
their
loans.
Alt-A
loans
refer
to
loans
extended
to
borrowers
who
have
incomplete
documentation
of
income,
assets,
or
other
variables
that
are
important
to
the
credit
underwriting
processes.
Non-conforming
mortgages
are
loans
that
do
not
meet
the
standards
that
allow
purchase
by
government-sponsored
enterprises.
MBS
with
exposure
to
subprime
loans,
Alt-A
loans
or
nonconforming
loans
have
had
in
many
cases
higher
default
rates
than
those
loans
that
meet
government
underwriting
requirements.
The
risk
of
non-payment
is
greater
for
MBS
that
are
backed
by
mortgage
pools
that
contain
subprime,
Alt-A
and
non-conforming
loans,
but
a
level
of
risk
exists
for
all
loans.
Unlike
agency
MBS
issued
or
guaranteed
by
the
U.S.
government
or
a
government-sponsored
entity
(e.g.,
Fannie
Mae
and
Freddie
Mac),
MBS
issued
by
private
issuers
do
not
have
a
government
or
government-sponsored
entity
guarantee,
but
may
have
credit
enhancements
provided
by
external
entities
such
as
banks
or
financial
institutions
or
achieved
through
the
structuring
of
the
transaction
itself.
Examples
of
such
credit
support
arising
out
of
the
structure
of
the
transaction
include
the
issue
of
senior
and
subordinated
securities
(e.g.,
the
issuance
of
securities
by
an
SPV
in
multiple
classes
or
tranches,
with
one
or
more
classes
being
senior
to
other
subordinated
classes
as
to
the
payment
of
principal
and
interest,
with
the
result
that
defaults
on
the
underlying
mortgage
loans
are
borne
first
by
the
holders
of
the
subordinated
class);
creation
of
reserve
funds
(in
which
case
cash
or
investments,
sometimes
funded
from
a
portion
of
the
payments
on
the
underlying
mortgage
loans,
are
held
in
reserve
against
future
losses);
and
overcollateralization
(in
which
case
the
scheduled
payments
on,
or
the
principal
amount
of,
the
underlying
mortgage
loans
exceeds
that
required
to
make
payment
on
the
securities
and
pay
any
servicing
or
other
fees).
However,
there
can
be
no
guarantee
that
credit
enhancements,
if
any,
will
be
sufficient
to
prevent
losses
in
the
event
of
defaults
on
the
underlying
mortgage
loans.
In
addition,
MBS
that
are
issued
by
private
issuers
are
not
subject
to
the
underwriting
requirements
for
the
underlying
mortgages
that
are
applicable
to
those
MBS
that
have
a
government
or
government-sponsored
entity
guarantee.
As
a
result,
the
mortgage
loans
underlying
private
MBS
may,
and
frequently
do,
have
less
favorable
collateral,
credit
risk
or
other
underwriting
characteristics
than
government
or
government-sponsored
MBS
and
have
wider
variances
in
a
number
of
terms
including
interest
rate,
term,
size,
purpose
and
borrower
characteristics.
Privately
issued
pools
more
frequently
include
second
mortgages,
high
loan-to-value
mortgages
and
manufactured
housing
loans.
The
coupon
rates
and
maturities
of
the
underlying
mortgage
loans
in
a
private-label
MBS
pool
may
vary
to
a
greater
extent
than
those
included
in
a
government
guaranteed
pool,
and
the
pool
may
include
subprime
mortgage
loans.
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
472
Notes
to
Quarterly
Report
Privately
issued
MBS
are
not
traded
on
an
exchange
and
there
may
be
a
limited
market
for
the
securities,
especially
when
there
is
a
perceived
weakness
in
the
mortgage
and
real
estate
market
sectors.
Without
an
active
trading
market,
MBS
held
in
a
Fund's
portfolio
may
be
particularly
difficult
to
value
because
of
the
complexities
involved
in
assessing
the
value
of
the
underlying
mortgage
loans.
Asset-Backed
Securities
ABS
may
include
MBS,
loans,
receivables
or
other
assets.
The
value
of
the
Funds’
ABS
may
be
affected
by,
among
other
things,
actual
or
perceived
changes
in
interest
rates,
factors
concerning
the
interests
in
and
structure
of
the
issuer
or
the
originator
of
the
receivables,
the
market’s
assessment
of
the
quality
of
underlying
assets
or
actual
or
perceived
changes
in
the
credit
worthiness
of
the
individual
borrowers,
the
originator,
the
servicing
agent
or
the
financial
institution
providing
the
credit
support.
Payment
of
principal
and
interest
may
be
largely
dependent
upon
the
cash
flows
generated
by
the
assets
backing
the
securities.
Rising
or
high
interest
rates
tend
to
extend
the
duration
of
ABS,
making
them
more
volatile
and
more
sensitive
to
changes
in
interest
rates.
The
underlying
assets
are
sometimes
subject
to
prepayments
which
can
shorten
the
security’s
weighted
average
life
and
may
lower
its
return.
Defaults
on
loans
underlying
ABS
have
become
an
increasing
risk
for
ABS
that
are
secured
by
home
equity
loans
related
to
sub-prime,
Alt-A
or
non-conforming
mortgage
loans,
especially
in
a
declining
residential
real
estate
market.
ABS
(other
than
MBS)
present
certain
risks
that
are
not
presented
by
MBS.
Primarily,
these
securities
may
not
have
the
benefit
of
any
security
interest
in
the
related
assets.
Credit
card
receivables
are
generally
unsecured
and
the
debtors
are
entitled
to
the
protection
of
a
number
of
state
and
federal
consumer
credit
laws,
many
of
which
give
such
debtors
the
right
to
set
off
certain
amounts
owed
on
the
credit
cards,
thereby
reducing
the
balance
due.
There
is
the
possibility
that
recoveries
on
repossessed
collateral
may
not,
in
some
cases,
be
available
to
support
payments
on
these
securities.
ABS
are
often
backed
by
a
pool
of
assets
representing
the
obligations
of
a
number
of
different
parties.
To
lessen
the
effect
of
failures
by
obligors
on
underlying
assets
to
make
payments,
the
securities
may
contain
elements
of
credit
support
which
fall
into
two
categories:
(i)
liquidity
protection,
and
(ii)
protection
against
losses
resulting
from
ultimate
default
by
an
obligor
on
the
underlying
assets.
Liquidity
protection
refers
to
the
provision
of
advances,
generally
by
the
entity
administering
the
pool
of
assets,
to
ensure
that
the
receipt
of
payments
on
the
underlying
pool
occurs
in
a
timely
fashion.
Protection
against
losses
results
from
payment
of
the
insurance
obligations
on
at
least
a
portion
of
the
assets
in
the
pool.
This
protection
may
be
provided
through
guarantees,
policies
or
letters
of
credit
obtained
by
the
issuer
or
sponsor
from
third
parties,
through
various
means
of
structuring
the
transaction
or
through
a
combination
of
such
approaches.
The
Funds
will
not
pay
any
additional
or
separate
fees
for
credit
support.
The
degree
of
credit
support
provided
for
each
issue
is
generally
based
on
historical
information
respecting
the
level
of
credit
risk
associated
with
the
underlying
assets.
Delinquency
or
loss
in
excess
of
that
anticipated
or
failure
of
the
credit
support
could
adversely
affect
the
return
on
an
investment
in
such
a
security.
The
availability
of
ABS
may
be
affected
by
legislative
or
regulatory
developments.
It
is
possible
that
such
developments
may
require
the
Funds
to
dispose
of
any
then-existing
holdings
of
such
securities.
Forward
Commitments
Certain
Funds
may
contract
to
purchase
securities
for
a
fixed
price
at
a
future
date
beyond
customary
settlement
time.
The
price
of
the
underlying
securities
and
the
date
when
the
securities
will
be
delivered
and
paid
for
are
fixed
at
the
time
the
transaction
is
negotiated
The
Funds
may
dispose
of
a
forward
commitment
transaction
prior
to
settlement
if
it
is
appropriate
to
do
so
and
may
realize
short-term
gains
(or
losses)
upon
such
sale.
When
effecting
such
transactions,
liquid
assets
of
the
Funds,
in
a
dollar
amount
sufficient
to
make
payment
for
the
portfolio
securities
to
be
purchased,
will
be
earmarked
on
the
Fund's
records
at
the
trade
date
and
until
the
transaction
is
settled.
A
forward
commitment
transaction
involves
a
risk
of
loss
if
the
value
of
the
security
to
be
purchased
declines
prior
to
the
settlement
date
or
the
other
party
to
the
transaction
fails
to
complete
the
transaction.
Certain
Funds
may
invest
in
to-be-announced
("TBA")
mortgage-backed
securities.
A
TBA
security
is
a
forward
mortgage-backed
securities
trade
in
which
a
seller
agrees
to
issue
a
TBA
mortgage-backed
security
at
a
future
date.
The
securities
are
purchased
and
sold
on
a
forward
commitment
basis
with
an
approximate
principal
amount
and
maturity
date.
The
actual
principal
amount
and
maturity
date
will
be
determined
upon
settlement
when
the
specific
mortgage
pools
are
assigned.
These
securities
are
within
the
parameters
of
industry
“good
delivery”
standards.
As
of
July
31,
2021,
the
Funds
had
no
cash
collateral
balances
in
connection
with
TBAs.
Inflation-Indexed
Bonds
The
fixed
income
Funds
may
invest
in
inflation-indexed
securities,
which
are
typically
bonds
or
notes
designed
to
provide
a
return
higher
than
the
rate
of
inflation
(based
on
a
designated
index)
if
held
to
maturity.
A
common
type
of
inflation-indexed
security
is
a
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
Notes
to
Quarterly
Report
473
U.S.
Treasury
Inflation-Protected
Security
(“TIPS”).
The
principal
of
a
TIPS
increases
with
inflation
and
decreases
with
deflation,
as
measured
by
the
Consumer
Price
Index.
When
a
TIPS
matures,
the
adjusted
principal
or
original
principal
is
paid,
whichever
is
greater.
TIPS
pay
interest
twice
a
year,
at
a
fixed
rate.
The
rate
is
applied
to
the
adjusted
principal;
so,
like
the
principal,
interest
payments
rise
with
inflation
and
fall
with
deflation.
Guarantees
In
the
normal
course
of
business,
the
Funds
enter
into
contracts
that
contain
a
variety
of
representations
which
provide
general
indemnifications.
The
Funds’
maximum
exposure
under
these
arrangements
is
unknown
as
this
would
involve
future
claims
that
may
be
made
against
the
Funds
that
have
not
yet
occurred.
However,
the
Funds
expect
the
risk
of
loss
to
be
remote.
LIBOR
The
Funds
may
invest
in
certain
instruments
including,
but
not
limited
to,
repurchase
agreements,
collateralized
loan
obligations
and
mortgage-backed
securities,
that
rely
in
some
fashion
upon
LIBOR.
LIBOR
is
an
average
interest
rate,
determined
by
the
ICE
Benchmark
Administration,
that
banks
charge
one
another
for
the
use
of
short-term
money.
The
United
Kingdom’s
Financial
Conduct
Authority
("FCA"),
which
regulates
LIBOR,
has
announced
plans
to
phase
out
the
use
of
LIBOR
by
the
end
of
2021.
However,
subsequent
announcements
by
the
FCA,
the
LIBOR
administrator
and
other
regulators
indicate
that
it
is
possible
that
certain
LIBORs
may
continue
beyond
2021
and
certain
of
the
most
widely
used
LIBORs
may
continue
until
mid-2023.
There
remains
uncertainty
regarding
the
future
utilization
of
LIBOR
and
the
nature
of
any
replacement
rate
(e.g.,
the
Secured
Overnight
Financing
Rate,
which
is
intended
to
replace
U.S.
dollar
LIBOR
and
measures
the
cost
of
overnight
borrowings
through
repurchase
agreement
transactions
collateralized
with
U.S.
Treasury
securities).
Any
potential
effects
of
the
transition
away
from
LIBOR
on
the
Funds
or
on
certain
instruments
in
which
a
Fund
invests
can
be
difficult
to
ascertain,
and
they
may
vary
depending
on
factors
that
include,
but
are
not
limited
to:
(i)
existing
fallback
or
termination
provisions
in
individual
contracts
and
(ii)
whether,
how,
and
when
industry
participants
develop
and
adopt
new
reference
rates
and
fallbacks
for
both
legacy
and
new
products
and
instruments.
For
example,
certain
of
the
Funds'
investments
may
involve
individual
contracts
that
have
no
existing
fallback
provision
or
language
that
contemplates
the
discontinuation
of
LIBOR,
and
those
investments
could
experience
increased
volatility
or
illiquidity
as
a
result
of
the
transition
process.
In
addition,
interest
rate
provisions
included
in
such
contracts
may
need
to
be
renegotiated
in
contemplation
of
the
transition
away
from
LIBOR.
The
transition
may
also
result
in
a
reduction
in
the
value
of
certain
instruments
held
by
a
Fund,
including
those
described
in
this
paragraph,
or
a
reduction
in
the
effectiveness
of
related
Fund
transactions
such
as
hedges.
Any
such
effects
of
the
transition
away
from
LIBOR,
as
well
as
other
unforeseen
effects,
could
result
in
losses
to
a
Fund.
Market,
Credit
and
Counterparty
Risk
In
the
normal
course
of
business,
the
Funds
trade
financial
instruments
and
enter
into
financial
transactions
where
risk
of
potential
loss
exists
due
to
changes
in
the
market
(market
risk)
or
failure
of
the
other
party
to
a
transaction
to
perform
(credit
risk).
Similar
to
credit
risk,
the
Funds
may
also
be
exposed
to
counterparty
risk
or
risk
that
an
institution
or
other
entity
with
which
the
Funds
have
unsettled
or
open
transactions
will
default.
The
potential
loss
could
exceed
the
value
of
the
relevant
assets
recorded
in
the
Funds'
financial
statements
(the
“Assets”).
The
Assets
consist
principally
of
cash
due
from
counterparties
and
investments.
The
extent
of
the
Funds'
exposure
to
market,
credit
and
counterparty
risks
with
respect
to
the
Assets
approximates
their
carrying
value
as
recorded
in
the
Funds'
Statements
of
Assets
and
Liabilities.
Global
economies
and
financial
markets
are
becoming
increasingly
interconnected
and
political
and
economic
conditions
(including
recent
instability
and
volatility
due
to
international
trade
disputes)
and
events
(including
natural
disasters,
pandemics,
epidemics,
social
unrest
and
government
shutdowns)
in
one
country,
region
or
financial
market
may
adversely
impact
issuers
in
a
different
country,
region
or
financial
market.
As
a
result,
issuers
of
securities
held
by
a
Fund
may
experience
significant
declines
in
the
value
of
their
assets
and
even
cease
operations.
Such
conditions
and/or
events
may
not
have
the
same
impact
on
all
types
of
securities
and
may
expose
a
Fund
to
greater
market
and
liquidity
risk
and
potential
difficulty
in
valuing
portfolio
instruments
held.
This
could
cause
a
Fund
to
underperform
other
types
of
investments.
From
time
to
time,
as
occurred
in
early
2020,
outbreaks
of
infectious
illness,
public
health
emergencies
and
other
similar
issues
(“public
health
events”)
may
occur
in
one
or
more
countries
around
the
globe.
Such
public
health
events
have
had
significant
impacts
on
both
the
country
in
which
the
event
is
first
identified
as
well
as
other
countries
in
the
global
economy.
Public
health
events
have
reduced
consumer
demand
and
economic
output
in
one
or
more
countries
subject
to
the
public
health
event,
resulted
in
restrictions
on
trading
and
market
closures
(including
for
extended
periods
of
time),
increased
substantially
the
volatility
of
financial
markets,
and,
more
generally,
have
had
a
significant
negative
impact
on
the
economy
of
the
country
or
countries
subject
to
the
public
health
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
474
Notes
to
Quarterly
Report
event.
Public
health
events
have
also
adversely
affected
the
global
economy,
global
supply
chains
and
the
securities
in
which
the
Funds
invest
across
a
number
of
industries,
sectors
and
asset
classes.
The
extent
of
the
impact
depends
on,
among
other
factors,
the
scale
and
duration
of
any
such
public
health
event.
Public
health
events
have
resulted
in
the
governments
of
affected
countries
taking
potentially
significant
measures
to
seek
to
mitigate
the
transmission
of
the
infectious
illness
or
other
public
health
issue
including,
among
other
measures,
imposing
travel
restrictions
and/or
quarantines
and
limiting
the
operations
of
non-essential
businesses.
Any
of
these
events
could
adversely
affect
a
Fund’s
investments
and
performance,
including
by
exacerbating
other
pre-
existing
political,
social
and
economic
risks.
Governmental
authorities
and
other
entities
may
respond
to
such
events
with
fiscal
and/or
monetary
policy
changes.
It
is
not
guaranteed
that
these
policy
changes
will
have
their
intended
effect
and
it
is
possible
that
the
implementation
of
or
subsequent
reversal
of
such
policy
changes
could
increase
volatility
in
financial
markets,
which
could
adversely
affect
a
Fund’s
investments
and
performance.
3.
Investment
in
Cayman
Multi-Asset
Growth
Strategy
Fund,
Ltd.
The
Cayman
Multi-Asset
Growth
Strategy
Fund,
Ltd.
(the
"Subsidiary”)
is
a
Cayman
Island
exempted
company
and
a
wholly
owned
subsidiary
of
the
Multi-Asset
Growth
Strategy
Fund.
The
Subsidiary
acts
as
an
investment
vehicle
for
the
Fund
in
order
to
effect
certain
investments
on
behalf
of
the
Fund.
The
Fund
is
the
sole
shareholder
of
the
Subsidiary,
and
it
is
intended
that
the
Fund
will
remain
the
sole
shareholder
and,
as
a
result,
will
continue
to
control
the
Subsidiary.
As
of
July
31,
2021,
net
assets
of
the
Multi-
Asset
Growth
Strategy
Fund
were
$982,819,032
of
which
$14,754,970
or
approximately
1.5%,
represents
the
Fund’s
ownership
of
the
shares
of
the
Subsidiary.
As
of
July
31,
2021,
the
fair
values
of
securities
owned
by
the
Cayman
Multi-Asset
Growth
Strategy
Fund,
Ltd.
within
the
Consolidated
Schedule
of
Investments
were
as
follows:
The
Multi-Asset
Growth
Strategy
Fund
may
invest
up
to
25%
of
its
total
assets
in
the
Subsidiary,
which
may
invest
without
limitation
in
commodity-linked
derivative
instruments,
such
as
swaps
and
futures
that
provide
exposure
to
the
performance
of
commodities
markets.
The
Subsidiary
may
also
invest
in
fixed
income
securities.
The
financial
statements
of
the
Multi-Asset
Growth
Strategy
Fund
have
been
consolidated
and
include
the
accounts
of
both
the
Fund
and
the
Subsidiary.
All
inter-company
transactions
and
balances
have
been
eliminated
upon
consolidation.
4.
Related
Party
Transactions
RIM
provides
or
oversees
the
provision
of
all
investment
advisory
and
portfolio
management
services
for
the
Funds.
From
its
advisory
fees
received
from
the
Funds,
RIM,
as
agent
for
RIC,
pays
all
fees
to
the
money
managers
for
their
investment
advisory
services.
Each
money
manager
has
agreed
that
it
will
look
only
to
RIM
for
the
payment
of
the
money
manager’s
fee,
after
RIC
has
paid
RIM.
Fees
paid
to
the
money
managers
are
not
affected
by
any
voluntary
or
statutory
expense
limitations.
RIFUS
is
the
Funds'
administrator
and
transfer
agent.
RIFUS,
in
its
capacity
as
the
Funds'
administrator,
provides
or
oversees
the
provision
of
all
administrative
services
for
the
Funds.
RIFUS,
in
its
capacity
as
the
Funds'
transfer
agent
and
dividend
disbursing
agent,
is
responsible
for
providing
transfer
agency
and
dividend
disbursing
services
to
the
Funds.
RIFUS
is
a
wholly-owned
subsidiary
of
RIM.
RIM
is
an
indirect,
wholly-owned
subsidiary
of
Russell
Investments
Group,
Ltd.
The
Funds
are
permitted
to
invest
their
cash
(i.e.,
cash
awaiting
investment
or
cash
held
to
meet
redemption
requests
or
to
pay
expenses)
in
the
U.S.
Cash
Management
Fund,
an
unregistered
fund
advised
by
RIM.
Each
Fund's
investment
in
the
U.S.
Cash
Management
Fund
is
disclosed
within
the
Fund's
Schedule
of
Investments.
In
addition,
all
or
a
portion
of
the
collateral
received
from
the
Investment
Company’s
securities
lending
program
is
invested
in
the
U.S.
Cash
Collateral
Fund,
an
unregistered
fund
advised
by
RIM.
Each
Fund's
investment
in
the
U.S.
Cash
Collateral
Fund
is
disclosed
within
the
Fund's
Schedule
of
Investments.
5.
Federal
Income
Taxes
At
July
31,
2021,
the
cost
of
investments
and
net
unrealized
appreciation
(depreciation)
for
income
tax
purposes
were
as
follows:
U.S.
Cash
Management
Fund
$
10,089,117
Equity
Income
Fund
Sustainable
Equity
Fund
U.S.
Strategic
Equity
Fund
Cost
of
Investments
$
142,844,869
$
210,088,401
$
2,872,698,273
Unrealized
Appreciation
$
112,822,638
$
90,950,660
$
1,340,967,383
Unrealized
Depreciation
(1,769,343)
(3,666,303)
(19,879,935)
Net
Unrealized
Appreciation
(Depreciation)
$
111,053,295
$
87,284,357
$
1,321,087,448
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
Notes
to
Quarterly
Report
475
U.S.
Small
Cap
Equity
Fund
International
Developed
Markets
Fund
Global
Equity
Fund
Cost
of
Investments
$
1,265,181,629
$
1,809,730,025
$
1,118,608,679
Unrealized
Appreciation
$
298,237,979
$
303,065,424
$
239,425,043
Unrealized
Depreciation
(48,895,880)
(123,289,138)
(25,139,336)
Net
Unrealized
Appreciation
(Depreciation)
$
249,342,099
$
179,776,286
$
214,285,707
Emerging
Markets
Fund
Tax-Managed
U.S.
Large
Cap
Fund
Tax-Managed
U.S.
Mid
&
Small
Cap
Fund
Cost
of
Investments
$
941,023,275
$
2,850,503,354
$
707,004,006
Unrealized
Appreciation
$
384,987,216
$
2,960,963,585
$
614,354,054
Unrealized
Depreciation
(64,134,855)
(1,767,023)
(2,200,660)
Net
Unrealized
Appreciation
(Depreciation)
$
320,852,361
$
2,959,196,562
$
612,153,394
Tax-Managed
International
Equity
Fund
Tax-Managed
Real
Assets
Fund
Opportunistic
Credit
Fund
Cost
of
Investments
$
1,913,500,169
$
553,799,973
$
724,351,218
Unrealized
Appreciation
$
720,406,494
$
169,554,069
$
126,847,179
Unrealized
Depreciation
(33,503,747)
(3,670,508)
(129,482,292)
Net
Unrealized
Appreciation
(Depreciation)
$
686,902,747
$
165,883,561
$
(2,635,113)
Unconstrained
Total
Return
Fund
Strategic
Bond
Fund
Investment
Grade
Bond
Fund
Cost
of
Investments
$
147,394,097
$
3,965,950,388
$
759,331,840
Unrealized
Appreciation
$
5,566,677
$
121,466,039
$
25,719,973
Unrealized
Depreciation
(8,588,219)
(33,254,558)
(4,923,046)
Net
Unrealized
Appreciation
(Depreciation)
$
(3,021,542)
$
88,211,481
$
20,796,927
Short
Duration
Bond
Fund
Tax-Exempt
High
Yield
Bond
Fund
Tax-Exempt
Bond
Fund
Cost
of
Investments
$
409,054,723
$
1,405,820,799
$
3,795,382,775
Unrealized
Appreciation
$
5,213,470
$
130,902,414
$
197,555,170
Unrealized
Depreciation
(1,512,560)
(4,288,610)
(7,237,852)
Net
Unrealized
Appreciation
(Depreciation)
$
3,700,910
$
126,613,804
$
190,317,318
Global
Infrastructure
Fund
Global
Real
Estate
Securities
Fund
Multi-Strategy
Income
Fund
Cost
of
Investments
$
74,916,592
$
655,259,111
$
673,245,584
Unrealized
Appreciation
$
22,349,531
$
172,100,036
$
67,876,436
Unrealized
Depreciation
(1,094,130)
(2,716,368)
(27,352,223)
Net
Unrealized
Appreciation
(Depreciation)
$
21,255,401
$
169,383,668
$
40,524,213
Multi-Asset
Growth
Strategy
Fund
Multifactor
U.S.
Equity
Fund
Multifactor
International
Equity
Fund
Cost
of
Investments
$
1,058,763,054
$
516,767,793
$
274,595,533
Unrealized
Appreciation
$
103,530,213
$
282,168,127
$
81,206,169
Unrealized
Depreciation
(50,268,736)
(5,936,032)
(5,886,433)
Net
Unrealized
Appreciation
(Depreciation)
$
53,261,477
$
276,232,095
$
75,319,736
Russell
Investment
Company
Notes
to
Quarterly
Report,
continued
July
31,
2021
(Unaudited)
476
Notes
to
Quarterly
Report
6.
Restricted
Securities
Restricted
securities
are
subject
to
contractual
restrictions
on
resale,
are
often
issued
in
private
placement
transactions,
and
are
not
registered
under
the
Securities
Act
of
1933,
as
amended
("the
Act").
The
most
common
types
of
restricted
securities
are
those
sold
under
Rule
144A
of
the
Act
and
commercial
paper
sold
under
Section
4(2)
of
the
Act.
See
each
Fund’s
Schedule
of
Investments
for
a
list
of
securities
that
have
been
footnoted
as
restricted.
7.
Commitments
and
Contingencies
Certain
Funds
enter
into
certain
credit
agreements,
all
or
a
portion
of
which
may
be
unfunded.
The
Funds
are
obligated
to
fund
these
loan
commitments
at
the
borrowers'
discretion.
Funded
portions
of
credit
agreements
are
presented
in
the
Schedules
of
Investments.
As
of
July
31,
2021,
there
were
no
unfunded
loan
commitments.
8.
Subsequent
Events
Management
has
evaluated
the
events
and/or
transactions
that
have
occurred
through
the
date
this
Quarterly
Report
was
issued
and
noted
no
events
have
occurred
that
require
disclosure
except
the
following:
On
August
2,
2021,
the
Board
declared
dividends
payable
from
net
investment
income.
Dividends
were
paid
on
August
4,
2021,
to
shareholders
of
record
effective
with
the
opening
of
business
on
August
3,
2021.
On
September
1,
2021,
the
Board
declared
dividends
payable
from
net
investment
income.
Dividends
were
paid
on
September
3,
2021,
to
shareholders
of
record
effective
with
the
opening
of
business
on
September
2,
2021.
Multifactor
Bond
Fund
Cost
of
Investments
$
40,635,590
Unrealized
Appreciation
$
541,581
Unrealized
Depreciation
(97,691)
Net
Unrealized
Appreciation
(Depreciation)
$
443,890
Russell
Investment
Company
1301
Second
Avenue
Seattle,
Washington
98101
800-787-7354
Fax:
206-505-3495
https://russellinvestments.com