0001145549-24-028602.txt : 20240523 0001145549-24-028602.hdr.sgml : 20240523 20240523114923 ACCESSION NUMBER: 0001145549-24-028602 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240331 FILED AS OF DATE: 20240523 DATE AS OF CHANGE: 20240523 PERIOD START: 20241231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: EMPOWER FUNDS, INC. CENTRAL INDEX KEY: 0000356476 ORGANIZATION NAME: IRS NUMBER: 840876044 STATE OF INCORPORATION: MD FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-03364 FILM NUMBER: 24976237 BUSINESS ADDRESS: STREET 1: 8515 E ORCHARD ROAD CITY: GREENWOOD VILLAGE STATE: CO ZIP: 80111 BUSINESS PHONE: 303-737-3000 MAIL ADDRESS: STREET 1: 8515 E ORCHARD ROAD CITY: GREENWOOD VILLAGE STATE: CO ZIP: 80111 FORMER COMPANY: FORMER CONFORMED NAME: GREAT-WEST FUNDS INC DATE OF NAME CHANGE: 20121005 FORMER COMPANY: FORMER CONFORMED NAME: MAXIM SERIES FUND INC DATE OF NAME CHANGE: 19920703 0000356476 S000061891 Empower Core Strategies: International Equity Fund C000200582 Institutional Class MXECX C000204665 Investor Class MXEVX NPORT-P 1 primary_doc.xml NPORT-P false 0000356476 XXXXXXXX S000061891 C000200582 C000204665 EMPOWER FUNDS, INC. 811-03364 0000356476 RUYOMHMDMSPQ01U66388 8515 E Orchard Road Greenwood Village 80111 866-831-7129 Empower Core Strategies: International Equity Fund S000061891 549300MCJHTBL41HTN02 2024-12-31 2024-03-31 N 657816413.830000000000 3860701.710000000000 653955712.120000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 N Securities Portfolio 549300MCJHTBL41HTN02 RBC DOMINION SECURITIES INC 549300QJJX6CVVUXLE15 RBC DOMINION SECURITIES INC. SLRPD 5.330% 04/01/2024 BYM4GUDW5 255819 PA USD 255819 0.0391187041 Long RA CORP US N 2 Repurchase Y 5.33 2024-04-01 255818.999999999882 USD 260935.380398582393 USD ABS N N CITIGROUP GLOBAL MARKETS INC MBNUM2BPBDO7JBLYG310 CITIGROUP GLOBAL MARKETS INC. SLRPD 5.340% 04/01/2024 BYM4GUE20 1000000 PA USD 1000000 0.1529155540 Long RA CORP US N 2 Repurchase Y 5.34 2024-04-01 999999.999999999989 USD 1020000.00074 USD ABS N N HSBC SECURITIES (USA) INC CYYGQCGNHMHPSMRL3R97 HSBC SECURITIES (USA) INC. SLRPD 5.340% 04/01/2024 BYM4GUDZ8 1000000 PA USD 1000000 0.1529155540 Long RA CORP US N 2 Repurchase Y 5.34 2024-04-01 999999.999999999928 USD 1020000.000024242360 USD ABS N N Barratt Developments PLC 2138006R85VEOF5YNK29 Barratt Developments PLC ORD GBP0.10 G08288105 65281 NS 391739.12 0.0599030046 Long EC CORP GB N 2 N N N HSBC Holdings PLC MLU0ZO3ML4LN2LL2TL39 HSBC Holdings PLC ORD USD0.50 G4634U169 616762 NS 4820335.58 0.7371042856 Long EC CORP GB N 2 N N N Airbus SE MINO79WLOO247M1IL051 Airbus SE EUR1 N0280G100 11301 NS 2081976.41 0.3183665761 Long EC CORP NL N 2 N N N Veolia Environnement S.A. 969500LENY69X51OOT31 Veolia Environnement S.A. EUR5 F9686M107 13513 NS 439604.25 0.0672223274 Long EC CORP FR N 2 N N N EDP-Energias de Portugal SA 529900CLC3WDMGI9VH80 EDP-Energias de Portugal SA EUR1(REGD) X67925119 56572 NS 220723.89 0.0337521159 Long EC CORP PT N 2 N N N Pernod Ricard SA 52990097YFPX9J0H5D87 Pernod Ricard SA EUR1.55 F72027109 3809 NS 616618.73 0.0942905947 Long EC CORP FR N 2 N N N Renault S.A. 969500F7JLTX36OUI695 Renault S.A. EUR3.81 F77098105 3727 NS 188065.48 0.0287581371 Long EC CORP FR N 2 N N N Merck KGaA 529900OAREIS0MOPTW25 Merck KGaA NPV D5357W103 2517 NS 443837.87 0.0678697138 Long EC CORP DE N 2 N N N Vivendi SE 969500FU4DRAEVJW7U54 Vivendi SE EUR5.50 F97982106 11846 NS 129096.18 0.0197408139 Long EC CORP FR N 2 N N N Swisscom AG 5493005SL9HHOXS3B739 Swisscom AG CHF1(REGD) H8398N104 515 NS 315208.52 0.0482002855 Long EC CORP CH N 2 N N N Bayerische Motoren Werke AG YEH5ZCD6E441RHVHD759 Bayerische Motoren Werke AG NON VTG PREF EUR1 D12096125 1144 NS 122754.48 0.0187710693 Long EP CORP DE N 2 N N N Chocoladefabriken Lindt & Spruengli AG 529900JYJNNOKKAGK736 Chocoladefabriken Lindt & Spruengli AG CHF100 (REGD) H49983176 2 NS 241278 0.0368951590 Long EC CORP CH N 2 N N N Zurich Insurance Group Ltd. 529900QVNRBND50TXP03 Zurich Insurance Group Ltd. CHF0.10 H9870Y105 2789 NS 1506658.19 0.2303914718 Long EC CORP CH N 2 N N N USS Co Ltd. 5299000RRQD6UZXG4W72 USS CO LTD J9446Z105 6600 NS 54563.19 0.0083435604 Long EC CORP JP N 2 N N N Citizen Watch Co Ltd 529900DUZBKERKGQ2628 CITIZEN WATCH CO LTD J0793Q103 135600 NS 893563.47 0.1366397530 Long EC CORP JP N 2 N N N Otsuka Corp. 529900RG9DJ58J3UIE72 Otsuka Corp. NPV J6243L115 4600 NS 97604.87 0.0149253028 Long EC CORP JP N 2 N N N Nomura Research Institute Ltd 5299005F1HCVF4M4QN79 Nomura Research Institute Ltd NPV J5900F106 7900 NS 223165.07 0.0341254103 Long EC CORP JP N 2 N N N Hirose Electric Co Ltd. N/A HIROSE ELECTRIC CO LTD J19782101 700 NS 71932.08 0.0109995339 Long EC CORP JP N 2 N N N JSR Corp. 353800TL8FC0AWR22506 JSR Corp. NPV J2856K106 3500 NS 100179.53 0.0153190083 Long EC CORP JP N 2 N N N Sumitomo Mitsui Financial Group Inc. 35380028MYWPB6AUO129 SUMITOMO MITSUI FINANCIAL GROU J7771X109 45300 NS 2648813.35 0.4050447608 Long EC CORP JP N 2 N N N Mitsui Chemicals Inc. 353800H2UB5ZEZRZQC02 MITSUI CHEMICALS INC J4466L136 24900 NS 730465.56 0.1116995458 Long EC CORP JP N 2 N N N Nissan Chemical Corp. 3538002E4L1CUGJFFU25 Nissan Chemical Corp. NPV J56988108 2300 NS 87114.95 0.0133212308 Long EC CORP JP N 2 N N N Shimano Inc. 529900L32YT3P9DECR10 Shimano Inc. NPV J72262108 1400 NS 208269.02 0.0318475726 Long EC CORP JP N 2 N N N Sumitomo Metal Mining Co Ltd. 353800CF81IXL9974H84 Sumitomo Metal Mining Co Ltd. NPV J77712180 4300 NS 128399.43 0.0196342700 Long EC CORP JP N 2 N N N Toyota Boshoku Corp. 529900KS87U6EY7PWG26 TOYOTA BOSHOKU CORP J91214106 30300 NS 516332.23 0.0789552290 Long EC CORP JP N 2 N N N West Japan Railway Co. 353800QGUXHZ7EBCR121 West Japan Railway Co. NPV J95094108 7800 NS 162553.32 0.0248569310 Long EC CORP JP N 2 N N N Yaskawa Electric Corp. 3538003K39GR98R0CK58 Yaskawa Electric Corp. NPV J9690T102 4200 NS 178813.71 0.0273433975 Long EC CORP JP N 2 N N N Eurazeo 969500C656AA39O94N60 Eurazeo NPV F3296A108 889 NS 77898.57 0.0119119030 Long EC CORP FR N 2 N N N Balfour Beatty PLC CT4UIJ3TUKGYYHMENQ17 Balfour Beatty PLC GBP0.50 G3224V108 140200 NS 675961.13 0.1033649707 Long EC CORP GB N 1 N N N Diageo PLC 213800ZVIELEA55JMJ32 Diageo PLC ORD GBP0.28 101/108 G42089113 42610 NS 1576392.77 0.2410549737 Long EC CORP GB N 2 N N N BAE Systems PLC 8SVCSVKSGDWMW2QHOH83 BAE Systems PLC ORD GBP0.025 G06940103 57806 NS 984961.46 0.1506159273 Long EC CORP GB N 2 N N N British American Tobacco PLC 213800FKA5MF17RJKT63 British American Tobacco PLC ORD GBP0.25 G1510J102 69166 NS 2098824.49 0.3209429096 Long EC CORP GB N 2 N N N Imperial Brands PLC 549300DFVPOB67JL3A42 Imperial Brands PLC GBP0.10 G4720C107 60632 NS 1355019.86 0.2072036126 Long EC CORP GB N 2 N N N Porsche Automobil Holding SE 52990053Z17ZYM1KFV27 Porsche Automobil Holding SE NON VTG PRF NPV D6240C122 3140 NS 166338.5 0.0254357439 Long EP CORP DE N 2 N N N Skanska AB 549300UINV5RINHGMG07 SKANSKA AB W83567110 5851 NS 104197.83 0.0159334689 Long EC CORP SE N 2 N N N Pearson PLC 2138004JBXWWJKIURC57 Pearson PLC ORD GBP0.25 G69651100 10971 NS 144390.92 0.0220796175 Long EC CORP GB N 2 N N N Prudential PLC 5493001Z3ZE83NGK8Y12 Prudential PLC GBP0.05 G72899100 52411 NS 491407.68 0.0751438776 Long EC CORP GB N 2 N N N Alfa Laval AB 549300UCKT2UK88AG251 Alfa Laval AB NPV W04008152 5421 NS 213014.61 0.0325732471 Long EC CORP SE N 2 N N N Lonza Group AG 549300EFW4H2TCZ71055 Lonza Group AG CHF1 (REGD) H50524133 1420 NS USD 848589.94 0.1297626008 Long EC CORP CH N 2 N N N Rio Tinto PLC 213800YOEO5OQ72G2R82 Rio Tinto PLC ORD GBP0.10 G75754104 21466 NS 1356913.31 0.2074931505 Long EC CORP GB N 2 N N N Barclays PLC 213800LBQA1Y9L22JB70 Barclays PLC ORD GBP0.25 G08036124 288862 NS 669406.56 0.1023626750 Long EC CORP GB N 2 N N N Shopify Inc 549300HGQ43STJLLP808 Shopify Inc COM NPV CL A 82509L107 40000 NS USD 3086800 0.4720197320 Long EC CORP CA N 1 N N N CAR Group Limited 5299009TFWZGH2AN7D11 CAR Group Limited NPV Q21411121 7077 NS 166350.61 0.0254375957 Long EC CORP AU N 2 N N N Burberry Group PLC 213800PE1KEFCNFR1R50 Burberry Group PLC ORD GBP0.0005 G1700D105 6398 NS 97825.58 0.0149590528 Long EC CORP GB N 2 N N N Siemens AG W38RGI023J3WT1HWRP32 Siemens AG NPV(REGD) D69671218 14486 NS 2765949.27 0.4229566649 Long EC CORP DE N 2 N N N NEW Hope Corp 254900DHRUGXZSLSNZ83 NEW Hope Corp NPV Q66635105 217200 NS 658000.21 0.1006184666 Long EC CORP AU N 2 N N N Logitech International SA 549300SN6PRK6IJJC215 Logitech International SA CHF0.25 (REGD) H50430232 3012 NS 269903.27 0.0412724081 Long EC CORP CH N 2 N N N Aisin Corp. 3538004IOK08PDY6I723 Aisin Corp. NPV J00714105 3200 NS 130760.82 0.0199953632 Long EC CORP JP N 2 N N N Trend Micro Inc. 3538005O5UJ5RNAGVE16 Trend Micro Inc. NPV J9298Q104 2600 NS 132045.51 0.0201918123 Long EC CORP JP N 2 N N N Nomura Real Estate Holdings Inc. N/A Nomura Real Estate Holdings Inc. NPV J5893B104 2500 NS USD 70628.26 0.0108001595 Long EC CORP JP N 2 N N N SKF AB 549300B6HWYEE57O8J84 SKF AB W84237143 65982 NS 1347010.41 0.2059788431 Long EC CORP SE N 2 N N N Insurance Australia Group Ltd. 549300PFEWKNHRG25N08 Insurance Australia Group Ltd. NPV Q49361100 42006 NS 175220.53 0.0267939444 Long EC CORP AU N 2 N N N Fast Retailing Co Ltd. 353800ZCXKHDPY0N5218 Fast Retailing Co Ltd. NPV J1346E100 3400 NS 1053408.75 0.1610825826 Long EC CORP JP N 2 N N N Keisei Electric Railway Co Ltd. 529900VNP95IIHXPCY17 KEISEI ELECTRIC RAILWAY CO LTD J32233108 2700 NS 109795.88 0.0167894978 Long EC CORP JP N 2 N N N Suncorp Group Ltd. 549300BVOKRTHDIWVT46 Suncorp Group Ltd. NPV Q88040110 23373 NS 249480.95 0.0381495177 Long EC CORP AU N 2 N N N Keppel Ltd. 254900SQ7IPDOY6IDW33 Keppel Ltd. NPV Y4722Z120 30200 NS 164108.24 0.0250947024 Long EC CORP SG N 2 N N N Orkla ASA 549300PZS8G8RG6RVZ52 Orkla ASA NOK1.25 R67787102 49455 NS 349286.74 0.0534113753 Long EC CORP NO N 2 N N N Svenska Cellulosa Aktiebolaget SCA (publ) 549300FW5JDRV1IJ0M67 SVENSKA CELLULOSA AB SCANPV (POST SPLIT) W90152120 12134 NS 186548.18 0.0285261183 Long EC CORP SE N 2 N N N Jeronimo Martins - S.G.P.S., S.A. 259400A8SZP10GB5IB19 Jeronimo Martins - S.G.P.S., S.A. EUR1 X40338109 4983 NS USD 98864.49 0.0151179183 Long EC CORP PT N 2 N N N Seiko Epson Corp 549300NIOFQDR749W206 SEIKO EPSON CORP J7030F105 55700 NS 974333.77 0.1489907882 Long EC CORP JP N 2 N N N Nice Limited 254900YTY4EF5Z4W0A51 Nice Limited ILS1 M7494X101 1241 NS 322959.07 0.0493854651 Long EC CORP IL N 2 N N N EDP Renovaveis SA 529900MUFAH07Q1TAX06 EDP Renovaveis SA EUR5 E3847K101 5541 NS 75037.47 0.0114743963 Long EC CORP ES N 2 N N N Julius Baer Gruppe AG 5299007MF0604ZGJER92 Julius Baer Gruppe AG CHF0.02 (REGD) H4414N103 12448 NS 721963.91 0.1103995113 Long EC CORP CH N 2 N N N Olympus Corp. 5299000Y52IFDI1I2A21 Olympus Corp. NPV J61240107 22700 NS 326841.77 0.0499791903 Long EC CORP JP N 2 N N N Shimadzu Corp N/A Shimadzu Corp NPV J72165129 4400 NS 122558.18 0.0187410520 Long EC CORP JP N 2 N N N AIA Group Ltd, Hong Kong ZP5ILWVSYE4LJGMMVD57 AIA Group Ltd, Hong Kong NPV Y002A1105 216600 NS USD 1456975.86 0.2227942708 Long EC CORP HK N 2 N N N Swiss Reinsurance Company Limited 529900PS9YW3YY29F326 Swiss Reinsurance Company Limited CHF0.10 H8431B109 20007 NS 2573598.48 0.3935432373 Long EC CORP CH N 2 N N N Singapore Airlines Ltd. 549300ZG62N2599PWR15 SINGAPORE AIRLINES LTD(1000 BOARD LOT) Y7992P128 29600 NS 140289.33 0.0214524206 Long EC CORP SG N 2 N N N Sonic Healthcare Ltd. 549300NQQ5L2NONWR862 Sonic Healthcare Ltd. NPV Q8563C107 9314 NS 178481.81 0.0272926449 Long EC CORP AU N 2 N N N Sompo Holdings Inc. 353800CWW4SRGEYEB512 SOMPO HOLDINGS INC J7621A101 16500 NS USD 345841 0.0528844681 Long EC CORP JP N 2 N N N Clariant AG 529900VSEKBY7TMPP349 Clariant AG CHF2.18 (REGD) H14843165 3761 NS 50886.22 0.0077812945 Long EC CORP CH N 2 N N N Coca-Cola HBC AG 549300EFP3TNG7JGVE49 Coca-Cola HBC AG ORD CHF6.70(CDI) H1512E100 48896 NS 1544508.09 0.2361793102 Long EC CORP CH N 2 N N N Sika AG 549300R3N69ECGYPU434 Sika AG CHF0.01 (REG) H7631K273 14919 NS 4439154.74 0.6788158063 Long EC CORP CH N 2 N N N Sumitomo Heavy Industries Ltd 353800VSTEIRMBC3S374 Sumitomo Heavy Industries Ltd NPV J77497170 24700 NS 777782.95 0.1189351107 Long EC CORP JP N 2 N N N Terumo Corp. 353800JX1R4582QVK932 Terumo Corp. NPV J83173104 26200 NS 479424.62 0.0733114814 Long EC CORP JP N 2 N N N Nestle SA KY37LUS27QQX7BB93L28 Nestle SA CHF0.10 (REGD) H57312649 50895 NS 5407591.67 0.8269048759 Long EC CORP CH N 2 N N N Equinor ASA OW6OFBNCKXC4US5C7523 Equinor ASA NOK2.50 R2R90P103 50247 NS 1347343.31 0.2060297487 Long EC CORP NO N 2 N N N Jungheinrich AG 529900PHZORTU6FSXE73 Jungheinrich AG NON VTG PRF SHS NPV D37552102 21500 NS 795453.61 0.1216372294 Long EP CORP DE N 2 N N N Schaeffler AG 549300Q7E782X7GC1P43 Schaeffler AG NPV (NON VTG PRF SHS) D6T0B6130 99600 NS 671867.96 0.1027390613 Long EP CORP DE N 2 N N N Covivio, S.A. 969500P8M3W2XX376054 Covivio, S.A. EUR3 F2R22T119 924 NS USD 47626.91 0.0072828953 Long EC CORP FR N 2 N N N Vicinity Centres Re Ltd 549300S7GOEVR0EGFN47 Vicinity Centres Re Ltd NPV (STAPLED SECURITY) Q9395F102 81264 NS USD 112796.91 0.0172484020 Long EC CORP AU N 2 N N N Siemens Healthineers AG 529900QBVWXMWANH7H45 Siemens Healthineers AG NPV D6T479107 5624 NS USD 343951.32 0.0525955066 Long EC CORP DE N 2 N N N Talanx AG 5299006ZIILJ6VJVSJ32 Talanx AG NPV D82827110 1379 NS 109240.75 0.0167046098 Long EC CORP DE N 2 N N N Ipsen SA 549300M6SGDPB4Z94P11 Ipsen SA EUR1 F5362H107 3843 NS 457304.36 0.0699289495 Long EC CORP FR N 2 N N N SEB SA 969500WP61NBK098AC47 SEB SA EUR1.00 F82059100 438 NS 56039.09 0.0085692485 Long EC CORP FR N 2 N N N Kaufman & Broad SA 969500CE0X343D8ALO86 Kaufman & Broad SA EUR0.26 F5375H102 3400 NS 99127.14 0.0151580815 Long EC CORP FR N 2 N N N Rexel, S.A. 969500N6AVPA51648T62 Rexel, S.A. EUR5 F7782J366 49272 NS 1330980.88 0.2035276786 Long EC CORP FR N 2 N N N Mitie Group PLC 213800MTCLTKEHWZMJ03 Mitie Group PLC ORD GBP0.025 G6164F157 456500 NS 603826.82 0.0923345127 Long EC CORP GB N 1 N N N Ocado Group PLC 213800LO8F61YB8MBC74 OCADO GROUP PLC G6718L106 9286 NS 53242.2 0.0081415605 Long EC CORP GB N 2 N N N Supermarket Income Reit Public Limited Company 2138007FOINJKAM7L537 Supermarket Income Reit Public Limited Company ORD GBP0.01 G8586X105 563639 NS 551331.86 0.0843072168 Long EC CORP GB N 1 N N N Endeavour Mining PLC 529900NI5MXQ91GHXR07 Endeavour Mining PLC ORD USD0.01 G3042J105 3114 NS 63150.47 0.0096566891 Long EC CORP GB N 2 N N N DCC PLC 213800UPS1QEE4TD3T45 DCC PLC ORD EUR0.25 (CDI) G2689P101 1819 NS USD 132297.28 0.0202303119 Long EC CORP IE N 2 N N N Unipolsai SPA 815600E31C4E7006AB54 UNIPOLSAI ASSICURAZIONI SPA T9647G103 43100 NS 124866.73 0.0190940652 Long EC CORP IT N 2 N N N Pirelli & C S.p.A. 815600A0C9AFC1F2A709 Pirelli & C S.p.A. NPV T76434264 138555 NS 848375.02 0.1297297362 Long EC CORP IT N 2 N N N Valor Holdings Co Ltd N/A Valor Holdings Co Ltd NPV J94512100 13900 NS 227197.16 0.0347419796 Long EC CORP JP N 2 N N N Idom Inc N/A Idom Inc NPV J17714106 90300 NS 622758.57 0.0952294717 Long EC CORP JP N 1 N N N Shizuoka Financial Group Inc. N/A Shizuoka Financial Group Inc. NPV J74446105 7500 NS USD 71366.25 0.0109130097 Long EC CORP JP N 2 N N N ZOZO Inc. 549300GC7XPQMZA0OW13 ZOZO INC J9893A108 2100 NS USD 52121.64 0.0079702095 Long EC CORP JP N 2 N N N Check Point Software Technologies Ltd. 2549003ZVBH73EPNS513 Check Point Software Technologies Ltd. ORD ILS0.01 M22465104 1696 NS USD 278160.96 0.0425351373 Long EC CORP IL N 1 N N N TERNA - Rete Elettrica Nazionale S.p.A. 8156009E94ED54DE7C31 TERNA - Rete Elettrica Nazionale S.p.A. ORD EUR0.22 T9471R100 25797 NS USD 213231.22 0.0326063701 Long EC CORP IT N 2 N N N Admiral Group PLC 213800FGVM7Z9EJB2685 Admiral Group PLC ORD GBP0.001 G0110T106 4736 NS USD 169667.46 0.0259447936 Long EC CORP GB N 2 N N N Global E Online Ltd N/A Global E Online Ltd SHS M5216V106 1729 NS USD 62849.15 0.0096106126 Long EC CORP IL N 1 N N N Universal Music Group N.V 724500GJBUL3D9TW9Y18 Universal Music Group N.V EUR10.00 N90313102 15693 NS USD 471581.69 0.0721121754 Long EC CORP NL N 2 N N N Exor Nv 5493002ENHZ6NYET7405 Exor Nv EUR0.01 N3140A107 1868 NS USD 207883.64 0.0317886420 Long EC CORP NL N 2 N N N Auckland International Airport Ltd. 549300HFZIZDJWB7AK60 AUCKLAND INTERNATIONAL AIRPORT Q06213146 22950 NS USD 114490.85 0.0175074318 Long EC CORP NZ N 1 N N N Metcash Ltd. 25490065W4SN3LZMX216 Metcash Ltd. NPV Q6014C106 21600 NS 55049.11 0.0084178652 Long EC CORP AU N 2 N N N Kone Oyj 2138001CNF45JP5XZK38 Kone Oyj SER'B'NPV X4551T105 6797 NS USD 316653.66 0.0484212698 Long EC CORP FI N 2 N N N Dexus N/A Dexus NPV (STAPLED) Q318A1104 21819 NS USD 112424.18 0.0171914058 Long EC CORP AU N 2 N N N Fastighets AB Balder 549300GHKJCEZOAEUU82 FASTIGHETS AB BALDER W2951M127 13422 NS USD 98590.62 0.0150760393 Long EC CORP SE N 2 N N N Engie SA LAXUQCHT4FH58LRZDY46 Engie SA EUR1 F7629A107 132914 NS 2227293.84 0.3405878714 Long EC CORP FR N 2 N N N Alstom SA 96950032TUYMW11FB530 ALSTOM SA F0259M475 6147 NS USD 93609.12 0.0143142904 Long EC CORP FR N 2 N N N Cloetta Ab 549300CSLHPO6Y1AZN37 Cloetta Ab SER'B'NPV W2397U105 92300 NS 156857.75 0.0239859897 Long EC CORP SE N 2 N N N Investment AB Latour (publ) 5493006GFBLNB3Y0Y789 Investment AB Latour (publ) SER'B'NPV W5R10B108 2478 NS USD 65143.26 0.0099614177 Long EC CORP SE N 2 N N N Sumco Corp. 353800SUSRUOM0V6KU92 Sumco Corp. NPV J76896109 7000 NS USD 110675.3 0.0169239748 Long EC CORP JP N 2 N N N Arkema SA 9695000EHMS84KKP2785 Arkema SA EUR10 F0392W125 7011 NS 738118.5 0.1128697993 Long EC CORP FR N 2 N N N Partners Group Holding AG 549300I3IVVWZWDHI788 Partners Group Holding AG CHF0.01 (REGD) H6120A101 422 NS USD 602821.04 0.0921807133 Long EC CORP CH N 2 N N N Kuehne & Nagel International AG 529900Q0YED3805QXQ66 Kuehne & Nagel International AG CHF1 (REGD) H4673L145 1093 NS USD 304093.08 0.0465005618 Long EC CORP CH N 2 N N N Prysmian S.p.A. 529900X0H1IO3RS1A464 Prysmian S.p.A. EUR0.10 T7630L105 5260 NS USD 274330.63 0.0419494203 Long EC CORP IT N 2 N N N Reckitt Benckiser Group PLC 5493003JFSMOJG48V108 Reckitt Benckiser Group PLC ORD GBP0.10 G74079107 13718 NS USD 781820.71 0.1195525470 Long EC CORP GB N 2 N N N Pandora A/S 5299007OWYZ6I1E46843 Pandora A/S DKK1 K7681L102 8037 NS 1297220.35 0.1983651685 Long EC CORP DK N 2 N N N Glencore PLC 2138002658CPO9NBH955 Glencore PLC ORD USD0.01 G39420107 197769 NS 1085143.23 0.1659352782 Long EC CORP JE N 2 N N N Novonesis (Novozymes) B 529900T6WNZXD2R3JW38 Novonesis (Novozymes) B SER'B'DKK2 K7317J133 6988 NS 411045.04 0.0628551800 Long EC CORP DK N 2 N N N UBS Group AG 549300SZJ9VS8SGXAN81 UBS Group AG USD0.10 (REGD) H42097107 135594 NS 4175065.59 0.6384324676 Long EC CORP CH N 2 N N N Sandoz Group AG 5493000JWK6XWFEUD320 Sandoz Group AG CHF0.05 H7140B103 16237 NS 490125.96 0.0749478827 Long EC CORP CH N 2 N N N CTS Eventim AG & Co. KGaA 529900FDHSN08UBJII80 CTS Eventim AG & Co. KGaA NPV D1648T108 30000 NS 2667395.35 0.4078862376 Long EC CORP DE N 2 N N N Rheinmetall AG 5299001OU9CSE29O6S05 Rheinmetall AG NPV D65111102 844 NS USD 474685.07 0.0725867304 Long EC CORP DE N 2 N N N Coloplast AS 529900NN7SOJ5QG82X67 Coloplast AS SER'B'DKK1 K16018192 2417 NS USD 326336.24 0.0499018869 Long EC CORP DK N 2 N N N Grifols S.A. 959800HSSNXWRKBK4N60 Grifols S.A. EUR0.25 (CLASS A) POST SUBD E5706X215 4834 NS 43481.7 0.0066490282 Long EC CORP ES N 2 N N N Dassault Aviation SA 969500CVFTUT88V8QN95 Dassault Aviation SA EUR0.80 F24539169 378 NS USD 83224.54 0.0127263266 Long EC CORP FR N 2 N N N Unibail-Rodamco-Westfield SE 969500SHQITWXSIS7N89 Unibail-Rodamco-Westfield SE NPV (1 ORD UNIBAIL-R & 1CLASS A WFD) F95094581 2275 NS USD 183015.97 0.0279859884 Long EC CORP FR N 2 N N N Verallia 5299007YZU978DE0ZY32 Verallia EUR3.38 F96976117 16600 NS 645392.16 0.0986904997 Long EC CORP FR N 2 N N N United Laboratories International Holdings Ltd 2549007JL3XIH77JXN70 United Laboratories International Holdings Ltd HKD0.01 G8813K108 832000 NS 953184.83 0.1457567863 Long EC CORP KY N 2 N N N Taylor Wimpey PLC 21380089BTRXTD8S3R66 Taylor Wimpey PLC ORD GBP0.01 G86954107 67688 NS USD 116980.96 0.0178882083 Long EC CORP GB N 2 N N N Pets At Home Group PLC 2138003Y9ULD24PD3J93 Pets At Home Group PLC ORD GBP0.01 G7041J107 173500 NS 587311.62 0.0898090817 Long EC CORP GB N 1 N N N Informa PLC 5493006VM2LKUPSEDU20 Informa PLC ORD GBP0.001 G4770L106 26535 NS 278338.07 0.0425622202 Long EC CORP GB N 2 N N N Melrose Industries PLC 213800RGNXXZY2M7TR85 Melrose Industries PLC ORD GBP0.22857142 G5973J210 26893 NS USD 228277.62 0.0349071987 Long EC CORP GB N 2 N N N Auto Trader Group PLC 213800QLK9BZILB1DI86 Auto Trader Group PLC ORD GBP0.01 G06708104 18807 NS USD 166035.31 0.0253893814 Long EC CORP GB N 2 N N N Banque Cantonale Vaudoise K1MOBB3OPSBBQO554R76 Banque Cantonale Vaudoise CHF1 (REGD) H04825354 545 NS USD 63403.15 0.0096953278 Long EC CORP CH N 2 N N N Helvetia Holding AG 529900SUJBXTORH0LT80 Helvetia Holding AG CHF0.02 (REGD) POST SUBD H3701P102 742 NS USD 102300.18 0.0156432887 Long EC CORP CH N 2 N N N Techtronic Industries Co. Ltd. 549300HZW2SBE758OK89 Techtronic Industries Co. Ltd. NPV Y8563B159 26000 NS USD 353284.48 0.0540226920 Long EC CORP HK N 2 N N N Flutter Entertainment PLC 635400EG4YIJLJMZJ782 Flutter Entertainment PLC ORD EUR0.09 (DI) G3643J108 3374 NS USD 668743.26 0.1022612461 Long EC CORP IE N 2 N N N Azrieli Group N/A Azrieli Group ILS0.10 M1571Q105 813 NS USD 58662.84 0.0089704607 Long EC CORP IL N 2 N N N Monday.Com Limited 984500MDAFVD86E3B328 Monday.Com Limited SHS M7S64H106 500 NS USD 112935 0.0172695181 Long EC CORP IL N 1 N N N Piaggio & C. S.p.A. 8156000256C2431C2E92 Piaggio & C. S.p.A. NPV T74237107 175100 NS 553727.9 0.0846736086 Long EC CORP IT N 2 N N N Kaga Electronics Co 3538005V2HARHWLTPJ42 Kaga Electronics Co NPV J28922102 13300 NS 565476.26 0.0864701156 Long EC CORP JP N 2 N N N Kanamoto Co Ltd N/A Kanamoto Co Ltd NPV J29557105 31700 NS 565427.61 0.0864626762 Long EC CORP JP N 2 N N N Komeri Co Ltd N/A Komeri Co Ltd NPV J3590M101 23400 NS 533536.15 0.0815859759 Long EC CORP JP N 2 N N N Scsk Corp 529900SNGFXMSUBB7864 Scsk Corp NPV J70081104 3000 NS USD 55763.26 0.0085270698 Long EC CORP JP N 2 N N N Sumitomo Forestry Co Ltd 549300FIIRGO6D5FWR19 Sumitomo Forestry Co Ltd NPV J77454122 22200 NS 700139.92 0.1070622837 Long EC CORP JP N 2 N N N KDX Realty Investment Corporation 353800FFT483NCIHFY42 KDX Realty Investment Corporation REIT J32922106 70 NS USD 74402.48 0.0113772964 Long EC CORP JP N 2 N N N Sankyu Inc 529900QWTXZZEM1T5G75 Sankyu Inc NPV J68037100 5200 NS 178973.43 0.0273678212 Long EC CORP JP N 2 N N N Tsubakimoto Chain N/A Tsubakimoto Chain NPV J93020105 23400 NS 788310.63 0.1205449567 Long EC CORP JP N 2 N N N Mitsui-Soko Holdings Co. Ltd. N/A MITSUI-SOKO HOLDINGS CO LTD J45314101 31600 NS 976380.37 0.1493037452 Long EC CORP JP N 2 N N N Ricoh Leasing Co Ltd. N/A Ricoh Leasing Co Ltd. NPV J64694102 18800 NS 654877.01 0.1001408808 Long EC CORP JP N 2 N N N DSV AS 529900X41C0BSLK67H70 DSV AS DKK1 K31864117 22340 NS USD 3631471.3 0.5553084456 Long EC CORP DK N 2 N N N Per Aarsleff Holding A/S 5493008HS8STXVZXYZ63 Per Aarsleff Holding A/S SER'B'DKK2 K7627X145 3000 NS 149699.52 0.0228913850 Long EC CORP DK N 1 N N N CK Hutchison Holdings Ltd. 254900Z8HM1VEPOQ2G79 CK Hutchison Holdings Ltd. HKD1 G21765105 193500 NS 931247.43 0.1424022167 Long EC CORP KY N 2 N N N Monday.Com Limited 984500MDAFVD86E3B328 Monday.Com Limited SHS M7S64H106 15000 NS USD 3388050 0.5180855427 Long EC CORP IL N 1 N N N IMCD NV 724500NSJPNFJPDAUP02 IMCD NV EUR0.16 N4447S106 1171 NS USD 206108.46 0.0315171893 Long EC CORP NL N 2 N N N Prosus NV 635400Z5LQ5F9OLVT688 Prosus NV EUR0.05 (N SHARES) N7163R103 28025 NS USD 877196.38 0.1341369704 Long EC CORP NL N 2 N N N NN Group N.V. 724500OHYNDT9OY6Q215 NN Group N.V. EUR0.12 N64038107 36272 NS 1674505.16 0.2560578842 Long EC CORP NL N 2 N N N BE Semiconductor Industries NV 7245007A1YFLI2GNYX06 BE Semiconductor Industries NV EUR0.01 N13107144 1571 NS USD 240644.32 0.0367982595 Long EC CORP NL N 2 N N N QIAGEN NV 54930036WK3GMCN17Z57 QIAGEN NV SHS NEW N72482149 4361 NS USD 186379.22 0.0285002817 Long EC CORP NL N 2 N N N Ampol Ltd. 5493009TD1CGVRZ27U11 Ampol Ltd. NPV Q03608124 4740 NS USD 122956.48 0.0188019583 Long EC CORP AU N 2 N N N Kongsberg Gruppen ASA 5967007LIEEXZXJ9HK73 Kongsberg Gruppen ASA NOK1.25 R60837102 1587 NS USD 109579.04 0.0167563396 Long EC CORP NO N 2 N N N Tele2 AB (publ) 213800EKD193RVI9HL76 Tele2 AB (publ) SER'B'NPV W95878166 12092 NS USD 99292.98 0.0151834410 Long EC CORP SE N 2 N N N Svenska Handelsbanken AB NHBDILHZTYCNBV5UYZ31 SVENSKA HANDELSBANKEN AB W9112U104 92533 NS USD 935507.32 0.1430536201 Long EC CORP SE N 2 N N N Atlas Copco AB 213800T8PC8Q4FYJZR07 Atlas Copco AB SER'B'NPV W1R924229 29202 NS USD 431312.28 0.0659543562 Long EC CORP SE N 2 N N N Volvo Car AB 5299000EAMGGBEYP7J33 Volvo Car AB SER'B'NPV W9835L159 10764 NS USD 40752.36 0.0062316697 Long EC CORP SE N 2 N N N United Internet AG 3VEKWPJHTD4NKMBVG947 United Internet AG NPV D8542B125 29500 NS 663873.47 0.1015165794 Long EC CORP DE N 2 N N N Solvay SA 549300MMVL80RTBP3O28 Solvay SA NPV B82095116 4700 NS 128271.13 0.0196146509 Long EC CORP BE N 2 N N N Schneider Electric SE 969500A1YF1XUYYXS284 Schneider Electric SE EUR4.00 F86921107 10373 NS 2345098.21 0.3586019919 Long EC CORP FR N 2 N N N SAP SE 529900D6BF99LW9R2E68 SAP SE ORD NPV D66992104 19904 NS 3875699.09 0.5926546734 Long EC CORP DE N 2 N N N E.ON SE Q9MAIUP40P25UFBFG033 E.ON SE NPV D24914133 43649 NS 607680.06 0.0929237330 Long EC CORP DE N 2 N N N Voestalpine AG 529900ZAXBMQDIWPNB72 Voestalpine AG NPV A9101Y103 2260 NS 63400.17 0.0096948721 Long EC CORP AT N 2 N N N Bic (Societe Bic SA) 969500UR00DF63I0VH67 Bic (Societe Bic SA) EUR3.82 F10080103 2800 NS 200078.06 0.0305950474 Long EC CORP FR N 2 N N N Acciona SA 54930002KP75TLLLNO21 Acciona SA EUR1 E0008Z109 412 NS 50140.81 0.0076673097 Long EC CORP ES N 2 N N N Nokia Corp 549300A0JPRWG1KI7U06 Nokia Corp NPV X61873133 231801 NS 822454.99 0.1257661604 Long EC CORP FI N 2 N N N Obic Co Ltd. N/A Obic Co Ltd. NPV J5946V107 1300 NS 196366.46 0.0300274860 Long EC CORP JP N 2 N N N Origin Energy Ltd. ZSN2LWNPYW6ISMRUC664 Origin Energy Ltd. NPV Q71610101 33003 NS 197975.31 0.0302735042 Long EC CORP AU N 2 N N N Mitsubishi UFJ Financial Group Inc. 353800V2V8PUY9TK3E06 Mitsubishi UFJ Financial Group Inc. NPV J44497105 336300 NS 3421550.37 0.5232082703 Long EC CORP JP N 2 N N N Ibiden Co Ltd. 52990051DBFIQEY37C91 IBIDEN CO LTD J23059116 2000 NS 89573.53 0.0136971860 Long EC CORP JP N 2 N N N Orica Ltd. N/A Orica Ltd. NPV Q7160T109 9317 NS 110819.46 0.0169460191 Long EC CORP AU N 2 N N N Isuzu Motors Ltd. 529900C0QSXVCC7AR494 ISUZU MOTORS LTD J24994113 89700 NS 1212515.21 0.1854124351 Long EC CORP JP N 2 N N N ITOCHU Corp. J48DJYXDTLHM30UMYI18 ITOCHU CORP J2501P104 37400 NS 1606689 0.2456877385 Long EC CORP JP N 2 N N N Japan Tobacco Inc 353800Z0ENYBQO0XRJ31 Japan Tobacco Inc NPV J27869106 23100 NS 615890.47 0.0941792324 Long EC CORP JP N 2 N N N Aeon Co Ltd. 5299009MXFL34SA71416 Aeon Co Ltd. NPV J00288100 12400 NS 294151.56 0.0449803488 Long EC CORP JP N 2 N N N Kajima Corp. N/A Kajima Corp. NPV J29223120 7700 NS 158039.98 0.0241667711 Long EC CORP JP N 2 N N N Kansai Electric Power Co Inc 353800PFUKP5ONPJNZ86 Kansai Electric Power Co Inc NPV J30169106 14700 NS 209751.58 0.0320742791 Long EC CORP JP N 2 N N N Kao Corp. 353800HM38HFCB8RGL63 Kao Corp. NPV J30642169 9100 NS 340051.12 0.0519991054 Long EC CORP JP N 2 N N N Keyence Corp. 529900M7PQBS7A89DZ11 Keyence Corp. NPV J32491102 3800 NS 1764191.43 0.2697723099 Long EC CORP JP N 2 N N N Kintetsu Group Holdings Co Ltd N/A Kintetsu Group Holdings Co Ltd NPV J3S955116 3900 NS 113594.29 0.0173703338 Long EC CORP JP N 2 N N N Kirin Holdings Co Ltd 353800GBVL72LLMTYM96 Kirin Holdings Co Ltd NPV 497350108 15100 NS 209985.27 0.0321100139 Long EC CORP JP N 2 N N N Komatsu Ltd. 5493004LQ0B4T7QPQV17 KOMATSU LTD J35759125 54400 NS 1609739.2 0.2461541615 Long EC CORP JP N 2 N N N Konami Group Corp. 353800FC4A5QCMIZFV94 Konami Group Corp. NPV J3600L101 1900 NS 129426.12 0.0197912668 Long EC CORP JP N 2 N N N Kubota Corporation 549300CSY4INHEHQQT13 Kubota Corporation NPV J36662138 18300 NS 287122.14 0.0439054411 Long EC CORP JP N 2 N N N KYOCERA Corp. N/A KYOCERA Corp. NPV J37479110 25100 NS 336618.64 0.0514742258 Long EC CORP JP N 2 N N N BlueScope Steel (Finance) Ltd / BlueScope Steel Finance (USA) LLC 529900H6UQI16XACWC95 BlueScope Steel (Finance) Ltd / BlueScope Steel Finance (USA) LLC NPV Q1415L177 113775 NS 1769550.83 0.2705918455 Long EC CORP AU N 2 N N N Nice Limited 254900YTY4EF5Z4W0A51 NICE LTDADR 653656108 9000 NS USD 2345580 0.3586756651 Long EC CORP IL N 1 N N Marubeni Corp. 4P4N3ORD02UGQT1T1W12 MARUBENI CORP J39788138 121800 NS 2109533.88 0.3225805419 Long EC CORP JP N 2 N N N Panasonic Holdings Corp. 254900GE1G59KGWPHX32 Panasonic Holdings Corp. NPV J6354Y104 43000 NS 410381.95 0.0627537832 Long EC CORP JP N 2 N N N Yokogawa Electric Corporation 529900MV0U7C9WWF4L22 Yokogawa Electric Corporation NPV J97272124 4800 NS 110540.99 0.0169034367 Long EC CORP JP N 2 N N N Axa SA F5WCUMTUM4RKZ1MAIE39 Axa SA EUR2.29 F06106102 64719 NS 2430581.13 0.3716736600 Long EC CORP FR N 2 N N N EssilorLuxottica SA 549300M3VH1A3ER1TB49 EssilorLuxottica SA EUR0.18 F31665106 5623 NS 1271992.03 0.1945073659 Long EC CORP FR N 2 N N N Compagnie de Saint-Gobain SA NFONVGN05Z0FMN5PEC35 Compagnie de Saint-Gobain SA EUR4 F80343100 36289 NS 2816535.27 0.4306920511 Long EC CORP FR N 2 N N N ACS Actividades De Construccion Y Servicios S.A. 95980020140005558665 ACS ACTIVIDADES DE CONSTRUCCIO E7813W163 4321 NS USD 180957.3 0.0276711858 Long EC CORP ES N 2 N N N Jyske Bank A/S 3M5E1GQGKL17HI6CPN30 Jyske Bank A/S DKK10 K55633117 11600 NS 982585.75 0.1502526443 Long EC CORP DK N 2 N N N London Stock Exchange Group PLC 213800QAUUUP6I445N30 London Stock Exchange Group PLC ORD GBP0.06918604 G5689U103 7939 NS 949732.32 0.1452288438 Long EC CORP GB N 2 N N N Inpex Corp. 353800VHYYADPR6MXQ47 Inpex Corp. NPV J2467E101 59500 NS 904470.71 0.1383076397 Long EC CORP JP N 2 N N N Norsk Hydro ASA 549300N1SDN71ZZ8BO45 Norsk Hydro ASA NOK1.098 R61115102 28200 NS 154969.87 0.0236973035 Long EC CORP NO N 2 N N N HKT Trust & HKT Ltd. N/A HKT Trust & HKT Ltd. HKD0.0005 SHARE STAPLED UNIT Y3R29Z107 61000 NS USD 71174.07 0.0108836223 Long EC CORP HK N 2 N N N Specialty Holdco Belgium B.V 549300060XNJ90PLNS10 Specialty Holdco Belgium B.V NPV B8T189100 6081 NS 576210.19 0.0881115004 Long EC CORP BE N 2 N N N BKW AG 549300IE30SKTUO98Q38 BKW AG CHF2.50 H10053108 384 NS USD 59007.49 0.0090231630 Long EC CORP CH N 2 N N N Carl Zeiss Meditec AG 529900GRL4MZ8NMOOK95 Carl Zeiss Meditec AG NPV D14895102 873 NS 108973.11 0.0166636835 Long EC CORP DE N 2 N N N Commerzbank AG 851WYGNLUQLFZBSYGB56 Commerzbank AG NPV D172W1279 19492 NS USD 267902.61 0.0409664760 Long EC CORP DE N 2 N N N Ipsos 9695002OY2X35E9X8W87 Ipsos EUR0.25 F5310M109 11800 NS 831897.72 0.1272101007 Long EC CORP FR N 2 N N N Compagnie Generale des Etablissements Michelin 549300SOSI58J6VIW052 Compagnie Generale des Etablissements Michelin EUR0.50 (POST SUBDIVISION) F61824870 30670 NS 1175381.58 0.1797341254 Long EC CORP FR N 2 N N N CK Infrastructure Holdings Ltd. 5299005U11RQ1C27MR12 CK Infrastructure Holdings Ltd. HKD1 G2178K100 15000 NS USD 87853.04 0.0134340963 Long EC CORP HK N 2 N N N Redde Northgate PLC 213800B3ZUTDOZYVJB41 Redde Northgate PLC ORD GBP0.50 G6644T140 107600 NS 517425.21 0.0791223626 Long EC CORP GB N 1 N N N Reach PLC 213800GNI5XF3XOATR61 Reach PLC ORD GBP0.10 G90628101 19800 NS 19645.08 0.0030040383 Long EC CORP GB N 2 N N N Frasers Group PLC 213800JEGHHEAXIJDX34 Frasers Group PLC ORD GBP0.10 G3661L100 74400 NS 762972.51 0.1166703640 Long EC CORP GB N 2 N N N PT Sumber Alfaria Trijaya Tbk N/A PT Sumber Alfaria Trijaya Tbk IDR10 Y71362118 12000000 NS 2203367.27 0.3369291267 Long EC CORP ID N 2 N N N Seino Holdings Co Ltd. 3538001D12EPCPYTTF24 SEINO HOLDINGS CO LTD J70316138 33200 NS 455664.47 0.0696781849 Long EC CORP JP N 2 N N N Asahi Intecc Co Ltd. 353800J3AV2SCNIO8L39 Asahi Intecc Co Ltd. NPV J0279C107 143500 NS USD 2514089.93 0.3844434544 Long EC CORP JP N 2 N N N IIDA Group Holdings Co Ltd. 35380051BV8PV1I4S949 IIDA GROUP HOLDINGS CO LTD J23426109 3200 NS USD 41412.98 0.0063326888 Long EC CORP JP N 2 N N N Hexagon AB 549300WJFW6ILNI4TA80 Hexagon AB SER'B'NPV W4R431112 39784 NS USD 470283.98 0.0719137353 Long EC CORP SE N 2 N N N Boliden AB 21380059QU7IM1ONDJ56 Boliden AB NPV W17218210 5734 NS 159219.52 0.0243471411 Long EC CORP SE N 2 N N N DiaSorin S.p.A. 8156002878BDF0EE4348 DiaSorin S.p.A. EUR1 T3475Y104 530 NS USD 51147.72 0.0078212819 Long EC CORP IT N 2 N N N Lifco AB 549300RTLL4VDQRCTW41 Lifco AB SER'B'NPV W5321L166 4785 NS USD 124957.02 0.0191078719 Long EC CORP SE N 2 N N N Antofagasta PLC 213800MY6QVH4FVLD628 Antofagasta PLC ORD GBP0.05 G0398N128 7580 NS 194604.24 0.0297580152 Long EC CORP GB N 2 N N N Associated British Foods PLC GBQKSY6W7G0OHCQ8OQ72 Associated British Foods PLC ORD 5 15/22P G05600138 29238 NS 922113.71 0.1410055288 Long EC CORP GB N 2 N N N BT Group PLC 213800LRO7NS5CYQMN21 BT Group PLC ORD GBP0.05 G16612106 940738 NS 1301349.51 0.1989965812 Long EC CORP GB N 2 N N N Marks & Spencer Group PLC 213800EJP14A79ZG1X44 Marks & Spencer Group PLC ORD GBP0.01 G5824M107 214900 NS 719399.94 0.1100074404 Long EC CORP GB N 2 N N N Bouygues SA 969500MOCLNQFNZN0D63 Bouygues SA EUR1 F11487125 30421 NS 1241937.18 0.1899115119 Long EC CORP FR N 2 N N N AP Moller-Maersk 549300D2K6PKKKXVNN73 AP Moller-Maersk SER'A'DKK1000 K0514G135 60 NS 76878.82 0.0117559673 Long EC CORP DK N 2 N N N Kesko Oyj 743700OX6HSVMCAHPB95 Kesko Oyj SER'B'EUR2 X44874109 5495 NS 102724 0.0157080974 Long EC CORP FI N 2 N N N KBC Group NV 213800X3Q9LSAKRUWY91 KBC Group NV NPV B5337G162 4946 NS 370813.32 0.0567031243 Long EC CORP BE N 2 N N N Kerry Group PLC 635400TLVVBNXLFHWC59 Kerry Group PLC 'A'ORD EUR0.125 G52416107 2950 NS 252774.79 0.0386531970 Long EC CORP IE N 2 N N N Wartsila Oyj Abp 743700G7A9J1PHM3X223 Wartsila Oyj Abp NPV X98155116 8905 NS 135334.33 0.0206947240 Long EC CORP FI N 2 N N N Telenor ASA 549300IM1QSBY4SLPM26 Telenor ASA ORD NOK6 R21882106 11377 NS 126539.19 0.0193498103 Long EC CORP NO N 1 N N N Skandinaviska Enskilda Banken AB (publ) F3JS33DEI6XQ4ZBPTN86 Skandinaviska Enskilda Banken AB (publ) SER'A'NPV W25381141 30706 NS 415990.76 0.0636114575 Long EC CORP SE N 2 N N N Swedbank AB (publ) M312WZV08Y7LYUC71685 SWEDBANK AB W94232100 50626 NS 1004812.05 0.1536513913 Long EC CORP SE N 2 N N N Fresenius Medical Care AG 549300CP8NY40UP89Q40 Fresenius Medical Care AG NPV D2734Z107 3582 NS 137637.64 0.0210469360 Long EC CORP DE N 2 N N N ASM International N.V. 7245001I22ND6ZFHX623 ASM International N.V. EUR0.04 N07045201 905 NS 554226.04 0.0847497819 Long EC CORP NL N 2 N N N A2A S.p.A. 81560076E3944316DB24 A2A S.p.A. EUR0.52 T0579B105 317900 NS 573482.13 0.0876943376 Long EC CORP IT N 2 N N N UCB SA 2138008J191VLSGY5A09 UCB SA NPV B93562120 2388 NS 294792.21 0.0450783141 Long EC CORP BE N 2 N N N Sanofi 549300E9PC51EN656011 Sanofi EUR2 F5548N101 48397 NS 4708292.74 0.7199711927 Long EC CORP FR N 2 N N N Societe Generale S.A. O2RNE8IBXP4R0TD8PU41 Societe Generale S.A. EUR1.25 F8591M517 34132 NS 914502.22 0.1398416136 Long EC CORP FR N 2 N N N Sonae SGPS S.A. 549300847SOBT7HY7R50 Sonae SGPS S.A. EUR1 X8252W176 174000 NS 165127.78 0.0252506060 Long EC CORP PT N 2 N N N Fortescue Ltd. 529900VEJFORCO6I4826 Fortescue Ltd. NPV Q39360104 113903 NS 1906166.18 0.2914824574 Long EC CORP AU N 2 N N N Bezeq The Israeli Telecommunication Corp Ltd 213800XCGZCFSWY9U863 Bezeq The Israeli Telecommunication Corp Ltd ILS1 M2012Q100 649600 NS 834721.98 0.1276419740 Long EC CORP IL N 2 N N N Mirvac Group N/A Mirvac Group STAPLED SECURITIES Q62377108 78534 NS 120707.53 0.0184580588 Long EC CORP AU N 2 N N N Chugai Pharmaceutical Co Ltd. 529900T9LAII161DCN95 Chugai Pharmaceutical Co Ltd. NPV J06930101 13100 NS 500621.61 0.0765528308 Long EC CORP JP N 2 N N N Apa Group 549300T9RBSX164T8H40 Apa Group NPV (STAPLED UNITS) Q0437B100 22364 NS 122576.64 0.0187438748 Long EC CORP AU N 2 N N N Mitsubishi HC Capital Inc. 353800MZ3QX9RLMH7B09 Mitsubishi HC Capital Inc. NPV J4706D100 159400 NS 1111758 0.1700050905 Long EC CORP JP N 2 N N N Japan Real Estate Investment Corp. 3538003YAIR3CBGJJ928 Japan Real Estate Investment Corp. REIT J27523109 24 NS 85556.39 0.0130829028 Long EC CORP JP N 2 N N N Tokio Marine Holdings Inc. 5299009QN2NZ191KLS29 Tokio Marine Holdings Inc. NPV J86298106 34400 NS 1078311.51 0.1648906019 Long EC CORP JP N 2 N N N Mitsui O.S.K. Lines Ltd. 353800P8O843TMAZ6S09 MITSUI OSK LINES LTD J45013133 6100 NS 186090.26 0.0284560952 Long EC CORP JP N 2 N N N Nitto Electric Industrial Co 3538009GX5P09USH2J25 Nitto Electric Industrial Co NPV J58472119 2600 NS 237749.09 0.0363555338 Long EC CORP JP N 2 N N N Minebea Mitsumi Inc. 353800CCB0CZ75YZ4010 Minebea Mitsumi Inc. NPV J42884130 6900 NS 135344.11 0.0206962196 Long EC CORP JP N 2 N N N Qantas Airways Ltd. YLXNW6TI6QSK1H8H0N82 Qantas Airways Ltd. NPV Q77974550 225954 NS 802166.21 0.1226636904 Long EC CORP AU N 2 N N N Roche Holdings AG 549300U41AUUVOAAOB37 Roche Holdings AG GENUSSCHEINE NPV H69293217 20692 NS 5283061.56 0.8078622852 Long EP CORP CH N 2 N N N Baloise Holding AG 529900G5XKBZN48T6283 Baloise Holding AG CHF0.10 (REGD) (VINKULIERT) H04530202 3161 NS 495662.93 0.0757945715 Long EC CORP CH N 2 N N N Seek Ltd. 549300209NEKXBC8QO27 Seek Ltd. NPV Q8382E102 6952 NS USD 113363.16 0.0173349904 Long EC CORP AU N 2 N N N Washington H. Soul Pattinson & Co Ltd. 549300G2Q3P6ZVNC1465 Washington H. Soul Pattinson & Co Ltd. NPV Q85717108 4657 NS USD 101953.19 0.0155902285 Long EC CORP AU N 2 N N N Whitehaven Coal Ltd. 529900WCZ4I6ZO3RRP86 Whitehaven Coal Ltd. NPV Q97664108 204700 NS 946645.96 0.1447568914 Long EC CORP AU N 2 N N N Bandai Namco Holdings Inc. N/A Bandai Namco Holdings Inc. NPV Y0606D102 12200 NS USD 226372.9 0.0346159374 Long EC CORP JP N 2 N N N Link Real Estate Investment Trust 529900XUE70U36QX5M62 Link Real Estate Investment Trust UNITS Y5281M111 52067 NS USD 224221.97 0.0342870268 Long EC CORP HK N 2 N N N Orion Oyj 74370029VAHCXDR7B745 Orion Oyj SER'B'NPV X6002Y112 1650 NS 61507.04 0.0094053831 Long EC CORP FI N 2 N N N Whitbread Group PLC 21380099VMZKRMN3EX36 Whitbread Group PLC ORD GBP0.76797385 G9606P197 3545 NS USD 148164.27 0.0226566214 Long EC CORP GB N 2 N N N Smurfit Kappa Group Public Limited Company 635400CPLP8H5ITDVT56 Smurfit Kappa Group Public Limited Company ORD EUR0.001 G8248F104 5105 NS USD 232767.54 0.0355937773 Long EC CORP IE N 2 N N N Danone SA 969500KMUQ2B6CBAF162 Danone SA EUR0.25 F12033134 12274 NS USD 793453.31 0.1213313525 Long EC CORP FR N 2 N N N Lotus Bakeries 5493004C0K34IFI67I03 Lotus Bakeries NPV B5783H102 9 NS USD 86901.64 0.0132886124 Long EC CORP BE N 1 N N N Avolta AG 549300X53WDBVW7TIF57 Avolta AG CHF5 (REGD) H2082J107 1599 NS USD 66578.12 0.0101808301 Long EC CORP CH N 2 N N N Bachem Holding AG 506700S81111XI7TG884 BACHEM HOLDING AG CHF0.01(REGD) (SUBD) H04002145 788 NS 75461.33 0.0115392111 Long EC CORP CH N 2 N N N Evonik Industries AG 41GUOJQTALQHLF39XJ34 Evonik Industries AG NPV D2R90Y117 4853 NS USD 95993.51 0.0146789008 Long EC CORP DE N 2 N N N Zalando SE 529900YRFFGH5AXU4S86 Zalando SE NPV D98423102 4756 NS 135999.53 0.0207964435 Long EC CORP DE N 2 N N N Scandinavian Tobacco Group A/s 5299003KG4JS99TRML67 Scandinavian Tobacco Group A/s DKK1 K8553U105 7500 NS 134295.66 0.0205358952 Long EC CORP DK N 1 N N N Mercialys S.A. 969500081CGAXB7YS433 Mercialys S.A. EUR1 F61573105 60700 NS 707120.25 0.1081296848 Long EC CORP FR N 2 N N N Abrdn PLC 0TMBS544NMO7GLCE7H90 Abrdn PLC ORD GBP0.1396825396 G0152L102 31402 NS USD 55918.86 0.0085508635 Long EC CORP GB N 2 N N N Haleon PLC 549300PSB3WWEODCUP19 Haleon PLC ORD GBP0.01 G4232K100 132659 NS 555860.29 0.0849996842 Long EC CORP GB N 2 N N N Croda International PLC 2138004WCNBFJEEOXV26 Croda International PLC ORD GBP0.10609756 G25536155 2483 NS 153605.13 0.0234886135 Long EC CORP GB N 2 N N N Mondi PLC 213800LOZA69QFDC9N34 Mondi PLC ORD EUR0.22 G6258S115 9306 NS USD 163850.44 0.0250552808 Long EC CORP GB N 1 N N N Sig Group AG 5493004Z6P7TSVB1L042 Sig Group AG CHF0.01 H76406117 156446 NS USD 3469074.94 0.5304755163 Long EC CORP CH N 2 N N N Kingspan Group PLC 635400HM7V74SUB9OG75 Kingspan Group PLC ORD EUR0.13 G52654103 3024 NS USD 275415.92 0.0421153780 Long EC CORP IE N 2 N N N Entain PLC 213800GNI3K45LQR8L28 Entain PLC ORD EUR0.01 G3167C109 11311 NS USD 113477.25 0.0173524365 Long EC CORP IM N 2 N N N Poste Italiane SpA 815600354DEDBD0BA991 Poste Italiane SpA NPV T7S697106 9763 NS USD 122274.17 0.0186976224 Long EC NUSS IT N 2 N N N Tokuyama Corp 529900MHGZKHNMNCQB62 Tokuyama Corp NPV J86506110 34400 NS 602391.19 0.0921149825 Long EC CORP JP N 2 N N N Zensho Holdings Co., Ltd. 353800DYF3UDM49ITT03 ZENSHO HOLDINGS CO LTD J9885X108 1500 NS USD 62377.5 0.0095384900 Long EC CORP JP N 2 N N N M3, Inc. 3538001UOKRWIODYM055 M3, Inc. NPV J4697J108 8300 NS 119448.1 0.0182654724 Long EC CORP JP N 2 N N N Nissui Corp. 529900MPH5BMANQ3EC50 Nissui Corp. NPV J56042104 78100 NS 489678.19 0.0748794117 Long EC CORP JP N 2 N N N CK Asset Holdings Ltd. 5299006GJZSGP78B8S35 CK Asset Holdings Ltd. HKD1 G2177B101 40000 NS USD 164827.03 0.0252046166 Long EC CORP KY N 2 N N N ESR Group Ltd. 549300C81AR42BZUFZ09 ESR Group Ltd. USD0.001 G31989109 34400 NS USD 36855.56 0.0056357884 Long EC CORP KY N 2 N N N EBOS Group Ltd. 254900KJ40C7HBYTWC21 EBOS GROUP LTDDEFERRED) Q33853112 2976 NS USD 60864.76 0.0093071685 Long EC CORP NZ N 2 N N N Woodside Energy Group Ltd. 2549005ZC5RXAOO7FH41 Woodside Energy Group Ltd. NPV Q98327333 36192 NS 721390.79 0.1103118723 Long EC CORP AU N 2 N N N Loomis AB 213800NS2XXVRYS7WP40 Loomis AB NPV W5S50Y116 20500 NS 572184.9 0.0874959710 Long EC CORP SE N 2 N N N Evolution AB 549300SUH6ZR1RF6TA88 Evolution AB NPV W3287P115 3494 NS USD 433968.65 0.0663605565 Long EC CORP SE N 2 N N N Intertek Group PLC 2138003GAT25WW1RN369 Intertek Group PLC ORD GBP0.01 G4911B108 3179 NS 200070.66 0.0305939158 Long EC CORP GB N 2 N N N L'Oreal S.A. 529900JI1GG6F7RKVI53 L'Oreal S.A. EUR0.20 F58149133 4587 NS 2172280.03 0.3321754042 Long EC CORP FR N 2 N N N GEA Group AG 549300PHUU0ZZWO8EO07 GEA Group AG NPV D28304109 2797 NS 118258.01 0.0180834891 Long EC CORP DE N 2 N N N OMV AG 549300V62YJ9HTLRI486 OMV AG NPV A51460110 16331 NS 773479.75 0.1182770845 Long EC CORP AT N 2 N N N Verbund AG 5299006UDSEJCTTEJS30 Verbund AG CLASS'A'NPV A91460104 1215 NS 88768.23 0.0135740431 Long EC CORP AT N 2 N N N Mercedes-Benz Group AG 529900R27DL06UVNT076 Mercedes-Benz Group AG ORD NPV(REGD) D1668R123 39394 NS 3137227.29 0.4797308490 Long EC CORP DE N 2 N N N Accor SA 969500QZC2Q0TK11NV07 Accor SA EUR3 F00189120 3371 NS 157380.5 0.0240659263 Long EC CORP FR N 2 N N N Infineon Technologies AG TSI2PJM6EPETEQ4X1U25 Infineon Technologies AG ORD NPV (REGD) D35415104 49348 NS 1678110.73 0.2566092319 Long EC CORP DE N 2 N N N Brother Industries Ltd 549300O5FACQ67KI6R92 BROTHER INDUSTRIES LTD 114813108 38500 NS 714029.53 0.1091862211 Long EC CORP JP N 2 N N N Eisai Co Ltd. 353800HDEE0ZYEX4QV91 Eisai Co Ltd. NPV J12852117 4800 NS 197706.24 0.0302323592 Long EC CORP JP N 2 N N N Elbit Systems Ltd 529900Q9CB1REUMZSS32 Elbit Systems Ltd ILS1 M3760D101 520 NS 108602.91 0.0166070741 Long EC CORP IL N 2 N N N SBI Holdings Inc 353800L6LMHYIPSMRQ17 SBI Holdings Inc NPV J6991H100 4600 NS 120658.7 0.0184505920 Long EC CORP JP N 2 N N N FUJIFILM Holdings Corp. 529900UBKMFM0ST6H474 FUJIFILM Holdings Corp. NPV J14208102 21900 NS 491756.04 0.0751971473 Long EC CORP JP N 2 N N N Fujikura Ltd. 353800PSDZ8VRCKVPL51 FUJIKURA LTD J14784128 102700 NS 1517920.34 0.2321136297 Long EC CORP JP N 2 N N N Fanuc Corp. 529900QTSW745LOKW705 Fanuc Corp. NPV J13440102 18200 NS 507716.07 0.0776376841 Long EC CORP JP N 2 N N N Fujitsu Ltd. 3538000246DHJLRTUZ24 Fujitsu Ltd. NPV J15708159 33000 NS 528132 0.0807595974 Long EC CORP JP N 2 N N N Gunma Bank Ltd 54930054A69VC4I5BP89 GUNMA BANK LTD/THE J17766106 134400 NS 763055.1 0.1166829933 Long EC CORP JP N 2 N N N Hang Seng Bank Ltd. 5493009Z5F07LWZYMK62 Hang Seng Bank Ltd. NPV Y30327103 15600 NS 171002.59 0.0261489558 Long EC CORP HK N 2 N N N Hankyu Hanshin Holdings Inc. N/A Hankyu Hanshin Holdings Inc. NPV J18439109 4900 NS 140587.05 0.0214979466 Long EC CORP JP N 2 N N N Henderson Land Development Co Ltd. 529900SYQB7IVR9QGN76 Henderson Land Development Co Ltd. NPV Y31476107 24000 NS 68535.76 0.0104801837 Long EC CORP HK N 2 N N N Hitachi Ltd. 549300T6IPOCDWLKC615 Hitachi Ltd. NPV J20454112 17700 NS 1617433.85 0.2473307932 Long EC CORP JP N 2 N N N Honda Motor Co Ltd. 549300P7ZYCQJ36CCS16 HONDA MOTOR CO LTD J22302111 265400 NS 3283977.64 0.5021712601 Long EC CORP JP N 2 N N N Power Assets Holdings Ltd. 254900JOWYUW1ZX4DF47 Power Assets Holdings Ltd. NPV Y7092Q109 25000 NS 146465.12 0.0223967950 Long EC CORP HK N 2 N N N Wharf (Holdings) Ltd. The 254900JCV4TBBPX9IW91 Wharf (Holdings) Ltd. The NPV Y8800U127 19000 NS 62460.54 0.0095511881 Long EC CORP HK N 2 N N N Hongkong & China Gas Co Ltd. 254900P7BETXGC7YU827 Hongkong & China Gas Co Ltd. NPV Y33370100 194000 NS 147045.53 0.0224855487 Long EC CORP HK N 2 N N N HOYA Corp. 353800X4VR3BHEUCJB42 HOYA Corp. NPV J22848105 6600 NS 825467.57 0.1262268308 Long EC CORP JP N 2 N N N Israel Discount Bank Ltd. 549300XWZ7BG5G23OF51 Israel Discount Bank Ltd. ILS0.10 465074201 23331 NS 120658.82 0.0184506103 Long EC CORP IL N 2 N N N ICL Group Ltd 529900FQVQD88SHIGM04 ICL Group Ltd ILS1 M53213100 66538 NS 352639.86 0.0539241195 Long EC CORP IL N 2 N N N CapitaLand Ascendas REIT 549300ILIBAEMQZK3L20 CapitaLand Ascendas REIT NPV(REAL ESTATE INVESTMENT TRUSTS) Y0205X103 69900 NS 143384.31 0.0219256912 Long EC CORP SG N 2 N N N Mitsubishi Estate Co Ltd 353800KOFMRGOXSJ5Z65 Mitsubishi Estate Co Ltd NPV J43916113 22300 NS 406885.34 0.0622190972 Long EC CORP JP N 2 N N N Mitsubishi Corp. KVIPTY4PULAPGC1VVD26 MITSUBISHI CORP J43830116 113400 NS 2620813.38 0.4007631299 Long EC CORP JP N 2 N N N Mitsubishi Electric Corp. 549300TRXM9Y6561AX39 Mitsubishi Electric Corp. NPV J43873116 36400 NS 609297.7 0.0931710953 Long EC CORP JP N 2 N N N Mitsubishi Heavy Industries Ltd. 353800TJ98PCAZROVE69 Mitsubishi Heavy Industries Ltd. NPV J44002178 63000 NS 570990.16 0.0873132766 Long EC CORP JP N 2 N N N Mitsui & Co Ltd. 2NRSB4GOU9DD6CNW5R48 Mitsui & Co Ltd. NPV J44690139 43100 NS 2014993.36 0.3081238259 Long EC CORP JP N 2 N N N Mitsui Fudosan Co Ltd. 353800ND4ZKNZDYKMF33 Mitsui Fudosan Co Ltd. NPV J4509L101 51600 NS 556324.04 0.0850705988 Long EC CORP JP N 2 N N N Murata Manufacturing Co Ltd. 529900QZG6DL8ZRI7140 Murata Manufacturing Co Ltd. NPV J46840104 32800 NS 613439.15 0.0938043875 Long EC CORP JP N 2 N N N National Australia Bank Ltd. F8SB4JFBSYQFRQEH3Z21 National Australia Bank Ltd. NPV Q65336119 59460 NS 1346295.15 0.2058694687 Long EC CORP AU N 2 N N N Renesas Electronics Corp. 5299000EPC47VJQOFB81 Renesas Electronics Corp. NPV J4881V107 27100 NS 482939.83 0.0738490116 Long EC CORP JP N 2 N N N Nintendo Co Ltd. 353800FEEXU6I9M0ZF27 Nintendo Co Ltd. NPV J51699106 19800 NS 1080379.37 0.1652068099 Long EC CORP JP N 2 N N N Denso Corp. 549300RYPA10CQM3QK38 Denso Corp. NPV J12075107 36400 NS 697120.91 0.1066006301 Long EC CORP JP N 2 N N N NEC Corp. 5493000QYMPFRTEY4K28 NEC Corp. NPV J48818207 4400 NS 321223.51 0.0491200710 Long EC CORP JP N 2 N N N Nippon Telegraph & Telephone Corp. 353800VHQU5VIXVUA841 NIPPON TELEGRAPH & TELEPHONE C J59396101 1455100 NS 1733174.38 0.2650293205 Long EC CORP JP N 2 N N N T&D Holdings Inc. 3538008ARJ1MACEWA242 T&D Holdings Inc. NPV J86796109 9700 NS 168626.68 0.0257856422 Long EC CORP JP N 2 N N N Credit Agricole S.A. 969500TJ5KRTCJQWXH05 Credit Agricole S.A. EUR3 F22797108 65775 NS 981230 0.1500453290 Long EC CORP FR N 2 N N N BNP Paribas SA R0MUWSFPU8MPRO8K5P83 BNP Paribas SA EUR2 F1058Q238 39786 NS 2832569.05 0.4331438655 Long EC CORP FR N 2 N N N Klepierre S.A. 969500PB4U31KEFHZ621 Klepierre S.A. EUR1.40 F5396X102 3748 NS 97019.41 0.0148357768 Long EC CORP FR N 2 N N N Heineken N.V. 724500K5PTPSST86UQ23 Heineken N.V. EUR1.60 N39427211 5381 NS 518771.11 0.0793281717 Long EC CORP NL N 2 N N N Teva Pharmaceutical Industries Ltd. 549300BAFGM4RC74ZJ94 Teva Pharmaceutical Industries Ltd. SPONSORED ADS 881624209 20940 NS USD 295463.4 0.0451809495 Long EC CORP IL N 1 N N N Sainsbury (J) PLC 213800VGZAAJIKJ9Y484 Sainsbury (J) PLC ORD GBP0.28571428 G77732173 287140 NS 980058.17 0.1498661380 Long EC CORP GB N 2 N N N Neste Oyj 5493009GY1X8GQ66AM14 NESTE OYJ X5688A109 7537 NS USD 204368.1 0.0312510612 Long EC CORP FI N 2 N N N Sembcorp Industries Ltd. 254900J0FF14U6TPQM96 Sembcorp Industries Ltd. NPV Y79711159 19500 NS USD 77954.01 0.0119203806 Long EC CORP SG N 2 N N N Legrand SA 969500XXRPGD7HCAFA90 Legrand SA EUR4 F56196185 5060 NS 535839.1 0.0819381328 Long EC CORP FR N 2 N N N Eiffage SA 969500OQXKE5WDM9M994 Eiffage SA EUR4 F2924U106 1373 NS USD 155825.3 0.0238281121 Long EC CORP FR N 2 N N N Mapfre SA 95980020140005693107 Mapfre SA EUR0.10 E7347B107 230800 NS 583505.12 0.0892270087 Long EC CORP ES N 2 N N N Sofina SA 5493000GMVR38VUO5D39 Sofina SA NPV B80925124 260 NS USD 58305.06 0.0089157505 Long EC CORP BE N 2 N N N Bucher Industries AG 52990014AQ91A29HPB27 Bucher Industries AG CHF0.20 (REGD) H10914176 1600 NS 703574.24 0.1075874447 Long EC CORP CH N 2 N N N Temenos AG 5067007NW6550481FH64 Temenos AG CHF5 (REGD) H8547Q107 1427 NS 102073.85 0.0156086793 Long EC CORP CH N 2 N N N Bilfinger SE 529900H0HULEN2BZ4604 Bilfinger SE NPV D11648108 14700 NS 686586.65 0.1049897779 Long EC CORP DE N 2 N N N Siemens Energy AG 5299005CHJZ14D4FDJ62 Siemens Energy AG NPV D6T47E106 9503 NS USD 174416.28 0.0266709621 Long EC CORP DE N 2 N N N Tryg AS 213800ZRS8AC4LSTCE39 Tryg AS DKK5 K9640A110 6270 NS 129251.88 0.0197646228 Long EC CORP DK N 2 N N N Getlink SE 9695007ZEQ7M0OE74G82 Getlink SE EUR0.40 F4R053105 6840 NS USD 116461.03 0.0178087029 Long EC CORP FR N 2 N N N Tokmanni Group Oyj 743700VMG6KWF0FW1560 Tokmanni Group Oyj NPV X9078R102 39600 NS 648515.94 0.0991681742 Long EC CORP FI N 2 N N N Aviva PLC YF0Y5B0IB8SM0ZFG9G81 Aviva PLC ORD GBP0.328947368 G0683Q158 87339 NS 547914.6 0.0837846646 Long EC CORP GB N 2 N N N PAX Global Technology Ltd. 5299008CRGPD1WZXCD36 PAX Global Technology Ltd. HKD0.10 G6955J103 341000 NS 268812.69 0.0411056414 Long EC CORP BM N 1 N N N National Grid PLC 8R95QZMKZLJX5Q2XR704 National Grid PLC ORD GBP0.12431289 G6S9A7120 71446 NS USD 962211.21 0.1471370602 Long EC CORP GB N 2 N N N Chemring Group PLC 213800U9A54VQJ5P2J41 Chemring Group PLC ORD GBP0.01 G20860139 35100 NS 160592.58 0.0245571033 Long EC CORP GB N 1 N N N Airtel Africa PLC 254900ZNZDQL6OWQH623 Airtel Africa PLC ORD USD0.5 G01415101 406000 NS 542343.33 0.0829327308 Long EC CORP GB N 2 N N N Finecobank S.p.A. 549300L7YCATGO57ZE10 FINECOBANK BANCA FINECO SPA T4R999104 11912 NS USD 178404.18 0.0272807740 Long EC CORP IT N 2 N N N Lasertec Corp. N/A Lasertec Corp. NPV J38702106 1500 NS USD 427545.41 0.0653783432 Long EC CORP JP N 2 N N N Daifuku Co Ltd. 353800O6VLUX4LC4HL61 DAIFUKU CO LTD J08988107 6000 NS USD 143816.52 0.0219917828 Long EC CORP JP N 2 N N N Akzo Nobel N.V. 724500XYIJUGXAA5QD70 Akzo Nobel N.V. EUR0.50(POST REV SPLIT) N01803308 3183 NS USD 237826.65 0.0363673939 Long EC CORP NL N 2 N N N Inghams Group Ltd. 529900ZZ4VRHSGVBNE41 Inghams Group Ltd. NPV Q4912E100 146900 NS 343665.88 0.0525518584 Long EC CORP AU N 2 N N N Austevoll Seafood ASA 5967007LIEEXZXFFDC03 Austevoll Seafood ASA NOK0.50 R0814U100 18100 NS 142406.66 0.0217761933 Long EC CORP NO N 2 N N N Bilia AB (publ) 2138002GW5WN1UYZAO32 Bilia AB (publ) SER'A'NPV W2R73S144 9800 NS 125597.74 0.0192058480 Long EC CORP SE N 2 N N N Kingfisher PLC 213800KBMEV7I92FY281 Kingfisher PLC ORD GBP0.157142857 G5256E441 400326 NS 1259430.22 0.1925864698 Long EC CORP GB N 2 N N N Publicis Groupe SA 2138004KW8BV57III342 Publicis Groupe SA EUR0.40 F7607Z165 15205 NS 1657662.23 0.2534823382 Long EC CORP FR N 2 N N N Hannover Ruck SE 529900KIN5BE45V5KB18 Hannover Ruck SE ORD NPV(REGD) D3015J135 1120 NS 306686.6 0.0468971513 Long EC CORP DE N 2 N N N Deutsche Post AG 8ER8GIG7CSMVD8VUFE78 Deutsche Post AG NPV(REGD) D19225107 49117 NS 2116821.44 0.3236949232 Long EC CORP DE N 2 N N N Heidelberg Materials AG LZ2C6E0W5W7LQMX5ZI37 Heidelberg Materials AG NPV D31709104 15002 NS 1651445.86 0.2525317586 Long EC CORP DE N 2 N N N Elisa Corporation 743700TU2S3DXWGU7H32 Elisa Corporation NPV X1949T102 2470 NS 110121.37 0.0168392703 Long EC CORP FI N 2 N N N Banco Santander, S.A. 5493006QMFDDMYWIAM13 Banco Santander, S.A. EUR0.50(REGD) E19790109 597917 NS 2920494.09 0.4465889717 Long EC CORP ES N 2 N N N Suedzucker AG 529900S8QNB101D40S72 Suedzucker AG NPV D82781101 47800 NS 685354.58 0.1048013753 Long EC CORP DE N 2 N N N Mercadolibre Inc 549300DKPDN9M5S8GB14 Mercadolibre Inc COM USD0.001 58733R102 2000 NS USD 3023920 0.4624044020 Long EC CORP US N 1 N N N Telefonaktiebolaget LM Ericsson (publ) 549300W9JLPW15XIFM52 TELEFONAKTIEBOLAGET LM ERICSSOSEK1 SER'B' W26049119 159048 NS 855385.64 0.1308017690 Long EC CORP SE N 2 N N N Chocoladefabriken Lindt & Spruengli AG 529900JYJNNOKKAGK736 Chocoladefabriken Lindt & Spruengli AG CHF10 (PTG CERT) H49983184 24 NS 287251.83 0.0439252727 Long EP CORP CH N 2 N N N Royal Philips NV H1FJE8H61JGM1JSGM897 Royal Philips NV EUR0.20 N7637U112 15025 NS 300710.64 0.0459833341 Long EC CORP NL N 2 N N N Amada Co Ltd 529900QF5O6TQGCPDX85 AMADA CO LTD J01218106 58900 NS 674536.93 0.1031471883 Long EC CORP JP N 2 N N N Hang Lung Properties Ltd. 529900CIVTNMXQT59E61 Hang Lung Properties Ltd. NPV Y30166105 34000 NS 34963.8 0.0053465088 Long EC CORP HK N 2 N N N MTR Corp Ltd. 254900IH4U9NHH9AQM97 MTR Corp Ltd. NPV Y6146T101 28500 NS 94162.62 0.0143989292 Long EC CORP HK N 2 N N N Singapore Exchange Ltd. 549300IQ650PPXM76X03 Singapore Exchange Ltd. NPV Y79946102 16600 NS 113283.81 0.0173228566 Long EC CORP SG N 2 N N N Square- Enix Holdings Co Ltd. 529900KCRNRDF8DIA489 SQUARE ENIX HOLDINGS CO LTD J7659R109 1700 NS 65561.93 0.0100254388 Long EC CORP JP N 2 N N N GPT Group (The) 549300N0X6IGFL5O5R09 GPT Group (The) NPV (STAPLED SECURITIES) Q4252X155 40132 NS 119433.11 0.0182631802 Long EC CORP AU N 2 N N N Resona Holdings Inc. 52990067JE75XZCYYT81 Resona Holdings Inc. NPV J6448E106 40700 NS 250893.52 0.0383655216 Long EC CORP JP N 2 N N N Sumitomo Mitsui Trust Holdings Inc. 353800P843RLCDBLNT17 Sumitomo Mitsui Trust Holdings Inc. NPV J7772M102 12400 NS 267177.88 0.0408556535 Long EC CORP JP N 2 N N N Kamigumi Co Ltd N/A Kamigumi Co Ltd NPV J29438165 23500 NS 517881.88 0.0791921946 Long EC CORP JP N 2 N N N Kikkoman Corp 529900T9K5UH9HXOND47 Kikkoman Corp NPV J32620106 13500 NS 173266.02 0.0264950694 Long EC CORP JP N 2 N N N Kuraray Co Ltd 549300W9JPTOE739QZ31 Kuraray Co Ltd NPV J37006137 54900 NS 588058.86 0.0899233464 Long EC CORP JP N 2 N N N Mitsubishi Gas Chemical Co Inc. 529900G5O4J27ZPLJJ89 MITSUBISHI GAS CHEMICAL CO INCY50 J43959113 8100 NS 135875.57 0.0207774881 Long EC CORP JP N 2 N N N Stockland Corp Ltd. 549300Y8E5TMSOLM7P64 Stockland Corp Ltd. NPV (STAPLED) Q8773B105 267891 NS 846500.08 0.1294430287 Long EC CORP AU N 2 N N N Sysmex Corp. 5299001ZO4CKWACMZI55 Sysmex Corp. NPV J7864H102 9600 NS 171311.02 0.0261961195 Long EC CORP JP N 2 N N N Toho Co Ltd. 529900IYHHYWU4O3H185 Toho Co Ltd. NPV J84764117 1800 NS 59769.37 0.0091396663 Long EC CORP JP N 2 N N N Eni SpA BUCRF72VH5RBN7X3VL35 Eni SpA NPV T3643A145 112428 NS 1780194.51 0.2722194297 Long EC CORP IT N 2 N N N The Swatch Group Ltd. 529900NTES2LEON1JZ55 The Swatch Group Ltd. CHF0.45(REGD) H83949133 1185 NS 53732.55 0.0082165427 Long EC CORP CH N 2 N N N Swiss Life Holding AG 5493000KUC3Z24U77V93 Swiss Life Holding AG CHF0.1 (REGD) H8404J162 1580 NS USD 1108200.09 0.1694610307 Long EC CORP CH N 2 N N N Volvo AB 549300HGV012CNC8JD22 VOLVO AB 928856202 4233 NS 116562.59 0.0178242330 Long EC CORP SE N 2 N N N CRH PLC 549300MIDJNNTH068E74 CRH PLC ORD EUR 0.32 G25508105 13336 NS USD 1150691.56 0.1759586374 Long EC CORP IE N 2 N N N BAWAG Group AG 529900S9YO2JHTIIDG38 BAWAG Group AG NPV A0997C107 16500 NS 1044312.7 0.1596916551 Long EC CORP AT N 2 N N N Centrica PLC E26EDV109X6EEPBKVH76 Centrica PLC ORD GBP0.061728395 G2018Z143 93538 NS USD 150729.58 0.0230488972 Long EC CORP GB N 2 N N N FirstGroup PLC 549300DEJZCPWA4HKM93 FirstGroup PLC ORD GBP0.05 G34604101 480200 NS 1093488.65 0.1672114227 Long EC CORP GB N 2 N N N Halma PLC 2138007FRGLUR9KGBT40 Halma PLC ORD GBP0.10 G42504103 7787 NS 232424.23 0.0355412799 Long EC CORP GB N 2 N N N Smith & Nephew PLC 213800ZTMDN8S67S1H61 Smith & Nephew PLC ORD USD0.20 G82343164 16381 NS 205031.88 0.0313525635 Long EC CORP GB N 2 N N N Next PLC 213800WQD8ECPZP9PH98 Next PLC ORD GBP0.10 G6500M106 2279 NS 265592.54 0.0406132304 Long EC CORP GB N 2 N N N Leonardo S.p.A. 529900X4EEX1U9LN3U39 Leonardo S.p.A. EUR4.40 T6S996112 43095 NS 1082707.12 0.1655627591 Long EC CORP IT N 2 N N N Mitsubishi Chemical Group Corp. 353800YNKX4RQUGAR072 Mitsubishi Chemical Group Corp. NPV J44046100 112300 NS 684387.15 0.1046534402 Long EC CORP JP N 2 N N N Carlsberg A/S 5299001O0WJQYB5GYZ19 Carlsberg A/S SER'B'DKK20 K36628137 1861 NS 254854.96 0.0389712874 Long EC CORP DK N 2 N N N AP Moller-Maersk 549300D2K6PKKKXVNN73 AP Moller-Maersk SER'B'DKK1000 K0514G101 69 NS 89965.27 0.0137570891 Long EC CORP DK N 2 N N N Aeroports de Paris 969500PJMBSFHYC37989 Aeroports de Paris EUR3 F00882104 719 NS USD 98585.55 0.0150752640 Long EC CORP FR N 2 N N N Galp Energia SGPS SA 2138003319Y7NM75FG53 Galp Energia SGPS SA EUR1 X3078L108 7950 NS 131432.79 0.0200981179 Long EC CORP PT N 2 N N N Fresenius SE & Co. KGaA XDFJ0CYCOO1FXRFTQS51 Fresenius SE & Co. KGaA NPV D27348263 29777 NS 802993.41 0.1227901821 Long EC CORP DE N 2 N N N Danske Bank A/S MAES062Z21O4RZ2U7M96 Danske Bank A/S DKK10 K22272114 44691 NS 1341463.79 0.2051306786 Long EC CORP DK N 2 N N N Volvo AB 549300HGV012CNC8JD22 VOLVO AB 928856301 124218 NS 3366488.11 0.5147883943 Long EC CORP SE N 2 N N N Industrivarden AB (publ) 549300TM1DLIQI3B3T37 INDUSTRIVARDEN AB(POST SPLIT) W45430126 2429 NS USD 83524.89 0.0127722548 Long EC CORP SE N 2 N N N Continental AG 529900A7YD9C0LLXM621 Continental AG NPV D16212140 2313 NS 166964.21 0.0255314247 Long EC CORP DE N 2 N N N iShare Trust 5493000860OXIC4B5K91 ISHARES MSCI EAFE ETF 464287465 35000 NS USD 2795100 0.4274142649 Long EC RF US N 1 N N Geberit AG 52990093Z5OHD6T7BS47 Geberit AG CHF0.10 (REGD) H2942E124 642 NS 379411.57 0.0580179304 Long EC CORP CH N 2 N N N Brenntag SE NNROIXVWJ7CPSR27SV97 Brenntag SE NPV D12459117 2425 NS USD 204382.17 0.0312532128 Long EC CORP DE N 2 N N N RWE AG 529900GB7KCA94ACC940 RWE AG NPV D6629K109 12176 NS 413829.55 0.0632809749 Long EC CORP DE N 2 N N N Hermes International 969500Y4IJGHJE2MTJ13 Hermes International NPV F48051100 604 NS 1543696.52 0.2360552085 Long EC CORP FR N 2 N N N Otsuka Holdings Co Ltd. N/A Otsuka Holdings Co Ltd. NPV J63117105 30400 NS 1262764.43 0.1930963224 Long EC CORP JP N 2 N N N SEGRO PLC 213800XC35KGM9NFC641 SEGRO PLC ORD GBP0.10 G80277141 25206 NS USD 287322.94 0.0439361465 Long EC CORP GB N 2 N N N Erste Group Bank AG PQOH26KWDF7CG10L6792 Erste Group Bank AG NPV A19494102 22007 NS 980804.89 0.1499803231 Long EC CORP AT N 2 N N N Fortum Oyj 635400IUIZZIUJSAMF76 FORTUM OYJ X2978Z118 8648 NS 106770.02 0.0163267968 Long EC CORP FI N 2 N N N Meiji Holdings Co Ltd. 5299002D52YIP6DWMV49 Meiji Holdings Co Ltd. NPV J41729104 4400 NS USD 96063.75 0.0146896415 Long EC CORP JP N 2 N N N Treasury Wine Estates Ltd. 529900LVOPJGAX6ILK66 Treasury Wine Estates Ltd. NPV Q9194S107 14620 NS USD 118591.43 0.0181344742 Long EC CORP AU N 2 N N N Deutsche Bank AG 7LTWFZYICNSX8D621K86 Deutsche Bank AG ORD NPV(REGD) D18190898 118248 NS 1862442.46 0.2847964205 Long EC CORP DE N 2 N N N Koninklijke KPN N.V. 549300YO0JZHAL7FVP81 Koninklijke KPN N.V. EUR0.04 N4297B146 68258 NS 255313.56 0.0390414145 Long EC CORP NL N 2 N N N Rolls-Royce Holdings PLC 213800EC7997ZBLZJH69 Rolls-Royce Holdings PLC ORD GBP0.20 G76225104 157576 NS 847616.68 0.1296137742 Long EC CORP GB N 2 N N N Warehouses De Pauw N.V. 549300HWDYC5JXC85138 Warehouses De Pauw N.V. NPV B9T59Z100 3392 NS 96722.56 0.0147903838 Long EC CORP BE N 2 N N N Telia Company AB 213800FSR9RNDUOTXO25 Telia Company AB NPV W95890104 47999 NS 123019.25 0.0188115568 Long EC CORP SE N 2 N N N Givaudan SA 213800SVRMQA1TD91D41 Givaudan SA CHF10 H3238Q102 177 NS 787958.14 0.1204910555 Long EC CORP CH N 2 N N N Kinaxis Inc 5299009VAZ14K7PFUQ15 Kinaxis Inc COM NPV 49448Q109 25000 NS 2842272.31 0.4346276449 Long EC CORP CA N 1 N N N Forbo Holdings AG 506700HR073894C16243 Forbo Holdings AG CHF0.10 (REGD) H26865214 400 NS 510811.13 0.0781109669 Long EC CORP CH N 2 N N N Singapore Technologies Engineering Ltd. 254900OEXGGWCR24DG90 Singapore Technologies Engineering Ltd. NPV Y7996W103 33700 NS 100334.9 0.0153427668 Long EC CORP SG N 2 N N N ASX Ltd. 549300VSBVYUCBIQKT71 ASX Ltd. NPV Q0604U105 4046 NS 175041.45 0.0267665603 Long EC CORP AU N 2 N N N Harvey Norman Holdings Ltd. 529900ONRWOF42PYKU59 HARVEY NORMAN HOLDINGS LTD(POST SPLIT) Q4525E117 177800 NS 596694.95 0.0912439388 Long EC CORP AU N 2 N N N Central Japan Railway Co. 353800YAR3OVUITHTG64 Central Japan Railway Co. NPV J05523105 15300 NS 379980.5 0.0581049287 Long EC CORP JP N 2 N N N Interroll Holding AG 529900MU4QAEI94TB543 Interroll Holding AG CHF1 (REGD) H4247Q117 900 NS 2990808.12 0.4573410805 Long EC CORP CH N 2 N N N Compagnie Financiere Richemont Sa 549300YIPGJ6UX2QPS51 Compagnie Financiere Richemont Sa CHF1 (REGD) H25662182 10247 NS 1560007.5 0.2385494111 Long EC CORP CH N 2 N N N CSL Ltd. 529900ECSECK5ZDQTE14 CSL Ltd. ORD NPV Q3018U109 23209 NS 4354636.35 0.6658916299 Long EC CORP AU N 2 N N N Transurban Group 549300ZR71SUQ4VUTM79 Transurban Group STAPLED UNITS NPV Q9194A106 58867 NS 510677.2 0.0780904869 Long EC CORP AU N 2 N N N Alcon AG 549300LDT5AP8S0NBM78 Alcon AG CHF0.04 H01301128 39526 NS USD 3269253.75 0.4999197483 Long EC CORP CH N 1 N N N Evotec SE 529900F9KI6OYITO9B12 Evotec SE NPV D1646D105 200000 NS 3117071.62 0.4766487336 Long EC CORP DE N 2 N N N Cochlear Ltd 5493001OLLWY8KV5UC08 Cochlear Ltd ORD NPV Q25953102 9181 NS 2019183.52 0.3087645666 Long EC CORP AU N 2 N N N Subaru Corp. 549300N244BVAEE6HH86 Subaru Corp. NPV J7676H100 56100 NS 1270544.5 0.1942860161 Long EC CORP JP N 2 N N N MTU Aero Engines AG 529900807L67JY81RD65 MTU Aero Engines AG NPV (REGD) D5565H104 11023 NS USD 2795730.82 0.4275107271 Long EC CORP DE N 2 N N N Daimler Truck Holding AG 529900PW78JIYOUBSR24 Daimler Truck Holding AG NPV D1T3RZ100 38072 NS 1929296.47 0.2950194385 Long EC CORP DE N 2 N N N Hamamatsu Photonic N/A Hamamatsu Photonic NPV J18270108 2600 NS 91666.49 0.0140172321 Long EC CORP JP N 2 N N N CapitaLand Integrated Commercial Trust Ltd. 54930031292WUTXF0L29 CapitaLand Integrated Commercial Trust Ltd. NPV (REAL ESTATE INVESTMENT TRUST) Y1100L160 91977 NS 134862.3 0.0206225433 Long EC CORP SG N 2 N N N Dr Ing H C F Porsche AG 529900EWEX125AULXI58 Dr Ing H C F Porsche AG NON-VTG PRF NPV D2R3HA114 2154 NS USD 214232.97 0.0327595533 Long EP CORP DE N 2 N N N Orsted A/S W9NG6WMZIYEU8VEDOG48 Orsted A/S DKK10 K7653Q105 3522 NS 196805.38 0.0300946037 Long EC CORP DK N 2 N N N Novo Nordisk A/S 549300DAQ1CVT6CXN342 Novo Nordisk A/S SER'B'DKK0.1 K72807140 62204 NS 7979119.04 1.2201314083 Long EC CORP DK N 2 N N N Dassault Systemes 96950065LBWY0APQIM86 Dassault Systemes EUR0.10 F24571451 12961 NS 573748.6 0.0877350850 Long EC CORP FR N 2 N N N Kawasaki Kisen Kaisha Ltd. 353800FL04R73DS5P870 KAWASAKI KISEN KAISHA LTD J31588148 6600 NS 88750.92 0.0135713961 Long EC CORP JP N 2 N N N Japan Metropolitan Fund Investment Corp. 353800QDHNIP60E1LQ93 Japan Metropolitan Fund Investment Corp. REIT J27544105 110 NS 68540.08 0.0104808443 Long EC CORP JP N 2 N N N Hongkong Land Holdings Ltd. 213800XCHYNRPAYGXW28 Hongkong Land Holdings Ltd. ORD USD0.10(BERMUDA REG) G4587L109 17300 NS USD 51208 0.0078304997 Long EC CORP BM N 2 N N N Intermediate Capital Group PLC 549300OGASR5WRKJ8R68 Intermediate Capital Group PLC ORD GBP0.2625 G4807D192 100000 NS 2588883.79 0.3958805989 Long EC RF GB N 2 N N N JFE Holdings, Inc. N/A JFE HOLDINGS INC J2817M100 10600 NS 175680.32 0.0268642535 Long EC CORP JP N 2 N N N Yue Yuen Industrial (Holdings) Limited 254900YUFIBANZ1XU687 Yue Yuen Industrial (Holdings) Limited HKD0.25 G98803144 231000 NS 324657.64 0.0496452029 Long EC CORP BM N 2 N N N St James's Place PLC 213800M993ICXOMBCP87 St James's Place PLC ORD GBP0.15 G5005D124 11321 NS 66402.23 0.0101539338 Long EC CORP GB N 2 N N N NMC Health PLC 2138008YQEVWBE1V2M52 NMC Health PLC ORD GBP0.10 G65836101 305 NS USD 19.25 0.0000029436 Long EC CORP GB N 3 N N N Mizuho Financial Group Inc. 353800CI5L6DDAN5XZ33 Mizuho Financial Group Inc. NPV J4599L102 101500 NS 2007193.8 0.3069311519 Long EC CORP JP N 2 N N N Sojitz Corp. 5493004SE33MRLPB1W98 SOJITZ CORP J7608R119 30200 NS 796643.44 0.1218191730 Long EC CORP JP N 2 N N N Computacenter PLC 549300XSXUZ1I19DB105 Computacenter PLC ORD GBP0.075555 G23356150 21000 NS 713449.52 0.1090975286 Long EC CORP GB N 2 N N N Itoham Yonekyu Holdings Inc N/A Itoham Yonekyu Holdings Inc NPV J25898115 22020 NS 578496.22 0.0884610700 Long EC CORP JP N 2 N N N Jaccs Co Ltd N/A Jaccs Co Ltd NPV J26609107 16500 NS 599409.77 0.0916590770 Long EC CORP JP N 2 N N N Nippo Soda Co Ltd. N/A Nippo Soda Co Ltd. NPV J55870109 16200 NS 648613.85 0.0991831462 Long EC CORP JP N 2 N N N Nidec Corp. 353800IF171MZTNL6Y31 Nidec Corp. NPV J52968104 8000 NS 331754.04 0.0507303528 Long EC CORP JP N 2 N N N Nissin Foods Holdings Co Ltd. 529900YMZMNSHC1W6V41 Nissin Foods Holdings Co Ltd. NPV J58063124 3300 NS 90974.84 0.0139114681 Long EC CORP JP N 2 N N N Yamaha Corp. 529900S5TENP3IJS7S02 YAMAHA CORP J95732103 2300 NS 49644.95 0.0075914850 Long EC CORP JP N 2 N N N Nippon Television Holdings Inc. 353800QI43C3H97E4W63 Nippon Television Holdings Inc. NPV J56171101 60300 NS 882760.68 0.1349878384 Long EC CORP JP N 2 N N N Japan Exchange Group Inc 353800578ADEGIJTVW07 Japan Exchange Group Inc NPV J2740B106 9200 NS 249186.36 0.0381044703 Long EC CORP JP N 2 N N N Concordia Financial Group Ltd. N/A Concordia Financial Group Ltd. NPV J08613101 23200 NS USD 116608.03 0.0178311815 Long EC CORP JP N 2 N N N Sankyo Co Ltd 3538009H2R9ZBZAOAK48 Sankyo Co Ltd NPV J67844100 93500 NS 1021373.6 0.1561839099 Long EC CORP JP N 2 N N N Shionogi & Co Ltd. 35380049VXDTHZI3DY35 Shionogi & Co Ltd. NPV J74229105 21800 NS 1114018.56 0.1703507653 Long EC CORP JP N 2 N N N Nippon Express Holdings Inc N/A Nippon Express Holdings Inc NPV J53377107 9800 NS USD 500242.44 0.0764948498 Long EC CORP JP N 2 N N N Misumi Group Inc. 353800SJWGE5BEK2V032 Misumi Group Inc. NPV J43293109 4500 NS USD 62689.6 0.0095862149 Long EC CORP JP N 2 N N N Mazda Motor Corp. 52990044YZJLICDQKK92 Mazda Motor Corp. NPV J41551110 10400 NS 120531.88 0.0184311992 Long EC CORP JP N 2 N N N Sodexo S.A. 969500LCBOG12HXPYM84 Sodexo S.A. EUR4 F84941123 1856 NS 159103 0.0243293234 Long EC CORP FR N 2 N N N Yokohama Rubber Co Ltd 52990036XNWY2FMYWB76 Yokohama Rubber Co Ltd NPV J97536171 27100 NS 730956.81 0.1117746655 Long EC CORP JP N 2 N N N Demant A/S 213800RM6L9LN78BVA56 Demant A/S DKK0.20 K3008M105 2079 NS 103333.26 0.0158012627 Long EC CORP DK N 2 N N N ABB Ltd. 5493000LKVGOO9PELI61 ABB Ltd. CHF0.12 (REGD) H0010V101 30495 NS 1414672.25 0.2163253908 Long EC CORP CH N 2 N N N Roche Holdings AG 549300U41AUUVOAAOB37 Roche Holdings AG CHF1 (BR) H69293225 655 NS 176630.17 0.0270095003 Long EC CORP CH N 2 N N N Signify NV 549300072P3J1X8NZO35 Signify NV EUR0.01 N8063K107 22025 NS 678030.58 0.1036814218 Long EC CORP NL N 2 N N N OCI NV 549300NCMRGIBJYUOE57 OCI NV EUR0.02 N6667A111 2351 NS USD 64438.26 0.0098536122 Long EC CORP NL N 2 N N N The Swatch Group Ltd. 529900NTES2LEON1JZ55 The Swatch Group Ltd. CHF2.25(BR) H83949141 5385 NS 1256225.11 0.1920963586 Long EC CORP CH N 2 N N N Enagas SA 213800OU3FQKGM4M2U23 Enagas SA EUR1.50 E41759106 5943 NS 88288.43 0.0135006742 Long EC CORP ES N 2 N N N Wienerberger AG 529900VXIFBHO0SW2I31 Wienerberger AG NPV A95384110 21500 NS 783157.41 0.1197569492 Long EC CORP AT N 2 N N N Aurizon Holdings Ltd. 5299005PC1O6NOWL3H48 Aurizon Holdings Ltd. NPV Q0695Q104 41340 NS USD 107791.88 0.0164830550 Long EC CORP AU N 2 N N N Ferrari N V 549300RIVY5EX8RCON76 Ferrari N V COM EUR0.01 N3167Y103 2403 NS USD 1047796.59 0.1602243960 Long EC CORP NL N 2 N N N ING Groep N.V. 549300NYKK9MWM7GGW15 ING Groep N.V. EUR0.01 N4578E595 124447 NS 2048813.38 0.3132954330 Long EC CORP NL N 2 N N N Reece Ltd. 254900WJVAXNEIFYYV88 Reece Ltd. NPV Q80528138 3925 NS USD 71865.5 0.0109893527 Long EC CORP AU N 2 N N N Saab AB 549300ZHO4JCQQI13M69 Saab AB SER'B'NPV W72838118 1706 NS USD 151753.66 0.0232054950 Long EC CORP SE N 2 N N N Beijer Ref AB 549300PZZEUVH08H4G75 BEIJER REF AB W14029123 8482 NS USD 125939.94 0.0192581757 Long EC CORP SE N 2 N N N UniCredit S.p.A. 549300TRUWO2CD2G5692 UniCredit S.p.A. NPV T9T23L642 76919 NS USD 2921339.08 0.4467181838 Long EC CORP IT N 2 N N N Holmen AB 52990080SH3454F0QE68 Holmen AB SER'B'NPV W4R00P201 1732 NS USD 70457.59 0.0107740614 Long EC CORP SE N 2 N N N Nordea Bank ABP 529900ODI3047E2LIV03 Nordea Bank ABP NPV X5S8VL105 127123 NS 1416720.93 0.2166386659 Long EC CORP FI N 2 N N N Beach Energy Ltd. 8Q9PJD25OKTQT5FHUF40 Beach Energy Ltd. NPV Q13921103 371200 NS 445198.83 0.0680778257 Long EC CORP AU N 2 N N N REA Group Ltd. N/A REA GROUP LTD Q8051B108 979 NS USD 118290.25 0.0180884191 Long EC CORP AU N 2 N N N Mapletree Logistic Trust Management Ltd. 549300M9EBZIYH387075 Mapletree Logistic Trust Management Ltd. NPV (REIT) Y5759Q107 52506 NS USD 56769.43 0.0086809288 Long EC CORP SG N 2 N N N Mapletree Pan Asia Commercial Trust 549300BF18K4IC5LZ208 Mapletree Pan Asia Commercial Trust NPV(REAL ESTATE INVESTMENT TRUSTS)REG S Y5759T101 53800 NS USD 50992.68 0.0077975739 Long EC CORP SG N 2 N N N South32 Ltd. 213800LAZNPXSBKVHR17 South32 Ltd. NPV Q86668102 91871 NS 179270.41 0.0274132341 Long EC CORP AU N 2 N N N Wisetech Global Ltd. 254900VE3AF301Q85K83 Wisetech Global Ltd. NPV Q98056106 3077 NS USD 188197.73 0.0287783601 Long EC CORP AU N 2 N N N Coles Group Ltd. 549300OHQRG2HN8LZ793 Coles Group Ltd. NPV Q26203408 24228 NS USD 267457.65 0.0408984347 Long EC CORP AU N 2 N N N Heineken Holding N.V. 724500M1WJLFM9TYBS04 Heineken Holding N.V. EUR1.60 N39338194 2664 NS 214996.06 0.0328762416 Long EC CORP NL N 2 N N N Seven & i Holdings Co Ltd. 52990037G8JRM3TWGY86 Seven & i Holdings Co Ltd. NPV J7165H108 43700 NS USD 636966.22 0.0974020424 Long EC CORP JP N 2 N N N Daiichi Sankyo Co Ltd. 353800XGIU2IHQGC9504 Daiichi Sankyo Co Ltd. NPV J11257102 165300 NS USD 5259664.18 0.8042844619 Long EC CORP JP N 2 N N N Investec PLC 2138007Z3U5GWDN3MY22 Investec PLC ORD GBP0.0002 G49188116 94800 NS 635323.81 0.0971508924 Long EC CORP GB N 2 N N N Experian PLC 635400RXXHHYT1JTSZ26 Experian PLC ORD USD0.10 G32655105 77171 NS 3361589.74 0.5140393574 Long EC CORP JE N 2 N N N Severn Trent PLC 213800RPBXRETY4A4C59 Severn Trent PLC ORD GBP0.9789 G8056D159 4982 NS USD 155391.46 0.0237617712 Long EC CORP GB N 2 N N N Brambles Ltd. N/A Brambles Ltd. NPV Q6634U106 26266 NS USD 276425.48 0.0422697554 Long EC CORP AU N 2 N N N Aker BP ASA 549300NFTY73920OYK69 Aker BP ASA NOK1 R0139K100 5641 NS 141484.74 0.0216352174 Long EC CORP NO N 2 N N N Sandvik AB 5299008ZUAXN43LVZF54 Sandvik AB NPV W74857165 20784 NS USD 461420.96 0.0705584417 Long EC CORP SE N 2 N N N Relx PLC 549300WSX3VBUFFJOO66 Relx PLC GBP0.1444 G7493L105 35936 NS USD 1549301.12 0.2369122391 Long EC CORP GB N 2 N N N MS&AD Insurance Group Holdings Inc. 529900CXROT5S2HMMP26 MS&AD Insurance Group Holdings Inc. NPV J4687C105 24900 NS 439672.86 0.0672328190 Long EC CORP JP N 2 N N N Standard Chartered PLC U4LOSYZ7YG4W3S5F2G91 Standard Chartered PLC ORD USD0.50 G84228157 122340 NS 1036853.95 0.1585510962 Long EC CORP GB N 2 N N N Legal & General Group PLC 213800JH9QQWHLO99821 Legal & General Group PLC ORD GBP0.025 G54404127 230644 NS 740692.73 0.1132634391 Long EC CORP GB N 2 N N N Serco Group PLC 549300PT2CIHYN5GWJ21 Serco Group PLC GBP0.02 G80400107 65415 NS 156540.26 0.0239374406 Long EC CORP GB N 1 N N N BP PLC 213800LH1BZH3DI6G760 BP PLC ORD USD0.25 G12793108 559771 NS 3511324.88 0.5369361892 Long EC CORP GB N 2 N N N Futu Holdings Ltd. 213800X4W4ZRESFPTQ37 Futu Holdings Ltd. SPON ADS CL A 36118L106 1000 NS USD 54150 0.0082803772 Long EC CORP KY N 1 N N N LVMH Moet Hennessy Vuitton SE IOG4E947OATN0KJYSD45 LVMH Moet Hennessy Vuitton SE EUR0.30 F58485115 5264 NS 4736544.9 0.7242913874 Long EC CORP FR N 2 N N N Amadeus IT Group SA 9598004A3FTY3TEHHN09 Amadeus IT Group SA EUR0.01 E04648114 58375 NS 3747494.7 0.5730502281 Long EC CORP ES N 2 N N N Sands China Ltd. 549300EVO6UZDGY05787 Sands China Ltd. USD0.01 G7800X107 40400 NS USD 113978.06 0.0174290182 Long EC CORP KY N 2 N N N Thales SA 529900FNDVTQJOVVPZ19 Thales SA EUR3 F9156M108 1847 NS 314878.26 0.0481497836 Long EC CORP FR N 2 N N N Mediobanca - Banca di Credito Finanziario SpA PSNL19R2RXX5U3QWHI44 Mediobanca - Banca di Credito Finanziario SpA EUR0.5 T10584117 59348 NS 884375.41 0.1352347558 Long EC CORP IT N 2 N N N Eneos Holdings Inc 3538001KQ5SAOZSQTT44 Eneos Holdings Inc NPV J29699105 198200 NS USD 954898.41 0.1460188194 Long EC CORP JP N 2 N N N Bpost SA 5493008AAX0BESN9WN06 BPOST SA B1306V108 102500 NS 383057.68 0.0585754773 Long EC CORP BE N 1 N N N Puma SE 529900GRZ2BQY5ZM9N49 Puma SE NPV D62318148 102024 NS 4617238.8 0.7060476290 Long EC CORP DE N 2 N N N Barry Callebaut AG 213800Y5RWKLDPUTT265 Barry Callebaut AG CHF0.02 (REGD) H05072105 68 NS 98776.85 0.0151045167 Long EC CORP CH N 2 N N N Securitas AB 635400TTYKE8EIWDS617 SECURITAS AB W7912C118 73544 NS 758168.02 0.1159356828 Long EC CORP SE N 2 N N N Carrefour S.A. 549300B8P6MUJ1YWTS08 Carrefour S.A. EUR2.50 F13923119 27057 NS 464146.17 0.0709751687 Long EC CORP FR N 2 N N N Tecan Group AG 529900CSN9R3BLETSL26 Tecan Group AG CHF0.10 (REGD) H84774167 8000 NS 3314637.18 0.5068595806 Long EC CORP CH N 2 N N N Covestro AG 3912005AWHKLQ1CPLV11 Covestro AG NPV D15349109 3686 NS USD 201624.69 0.0308315512 Long EC CORP DE N 2 N N N Sartorius AG 529900EQV2DY4FOAMU38 Sartorius AG NON VTG PFD NPV D6705R119 473 NS USD 187833.86 0.0287227188 Long EP CORP DE N 2 N N N Vonovia SE 5299005A2ZEP6AP7KM81 Vonovia SE NPV D9581T100 13406 NS 396172.44 0.0605809281 Long EC CORP DE N 2 N N N Repsol SA BSYCX13Y0NOTV14V9N85 Repsol SA EUR1 E8471S130 131390 NS 2193066.54 0.3353539849 Long EC CORP ES N 2 N N N Wolters Kluwer NV 724500TEM53I0U077B74 Wolters Kluwer NV EUR0.12 N9643A197 4740 NS 742238.32 0.1134997839 Long EC CORP NL N 2 N N N LEG Immobilien SE 391200SO40AKONBO0Z96 LEG Immobilien SE NPV D4960A103 1545 NS 132701.87 0.0202921800 Long EC CORP DE N 2 N N N Vestas Wind Systems AS 549300DYMC8BGZZC8844 Vestas Wind Systems AS DKK0.20 K9773J201 19036 NS USD 530982.7 0.0811955137 Long EC CORP DK N 2 N N N Hennes & Mauritz AB 529900O5RR7R39FRDM42 H & M HENNES & MAURITZ AB W41422101 13252 NS 216088.15 0.0330432392 Long EC CORP SE N 2 N N N Telefonica, S.A. 549300EEJH4FEPDBBR25 TELEFONICA SA 879382109 233291 NS 1030274.56 0.1575450051 Long EC CORP ES N 2 N N N Cellnex Telecom S.A.U 5493008T4YG3AQUI7P67 Cellnex Telecom S.A.U EUR0.25 E2R41M104 9100 NS USD 321910.79 0.0492251668 Long EC CORP ES N 2 N N N Inditex (Industria de Diseno Textil S.A.) 549300TTCXZOGZM2EY83 Inditex (Industria de Diseno Textil S.A.) EUR0.03 (POST SUBD) E6282J125 20929 NS USD 1053910.19 0.1611592606 Long EC CORP ES N 2 N N N Bayerische Motoren Werke AG YEH5ZCD6E441RHVHD759 Bayerische Motoren Werke AG EUR1 D12096109 27558 NS 3179620.34 0.4862134058 Long EC CORP DE N 2 N N N Bekaert SA 5493008SR6XZECH6BN71 Bekaert SA NPV B6346B111 3600 NS 184593.9 0.0282272785 Long EC CORP BE N 2 N N N Redeia Corporacion S.A. 5493009HMD0C90GUV498 Redeia Corporacion S.A. EUR0.5 E42807110 7372 NS 125921.94 0.0192554232 Long EC CORP ES N 2 N N N Bollore SE 969500LEKCHH6VV86P94 Bollore SE EUR0.16 F10659260 11652 NS USD 77849.33 0.0119043734 Long EC CORP FR N 2 N N N Remy Cointreau SA 5493004V6A3Z027YT216 Remy Cointreau SA EUR1.60 F7725A100 458 NS USD 46246.56 0.0070718183 Long EC CORP FR N 2 N N N Amundi SA 96950010FL2T1TJKR531 Amundi SA EUR2.5 F0300Q103 1167 NS USD 80157.8 0.0122573744 Long EC CORP FR N 2 N N N Deutsche Telekom AG 549300V9QSIG4WX4GJ96 Deutsche Telekom AG NPV(REGD) D2035M136 61782 NS 1499732.41 0.2293324123 Long EC CORP DE N 2 N N N STMicroelectronics N.V. 213800Z8NOHIKRI42W10 STMicroelectronics N.V. EUR1.04 N83574108 40849 NS 1758076.13 0.2688371854 Long EC CORP NL N 2 N N N Worldline SA 549300CJMQNCA0U4TS33 Worldline SA EUR0.68 F9867T103 4131 NS USD 51106.94 0.0078150460 Long EC CORP FR N 2 N N N Coca-Cola Europacific Partners PLC 549300LTH67W4GWMRF57 Coca-Cola Europacific Partners PLC COM EUR0.01 G25839104 14702 NS USD 1028404.9 0.1572591050 Long EC CORP GB N 1 N N N InterContinental Hotels Group PLC 2138007ZFQYRUSLU3J98 InterContinental Hotels Group PLC ORD GBP0.208521303 G4804L163 3079 NS USD 319866.63 0.0489125829 Long EC CORP GB N 2 N N N JD Sports Fashion PLC 213800HROV6Y9MUU8375 JD Sports Fashion PLC ORD GBP0.0005 G5144Y120 51327 NS USD 87164.57 0.0133288185 Long EC CORP GB N 2 N N N Ramsay Health Care Ltd. 549300QBX122KF2JPI10 Ramsay Health Care Ltd. NPV Q7982Y104 3242 NS 119351.12 0.0182506426 Long EC CORP AU N 2 N N N LY Corporation 52990078MD2OL792YM35 LY Corporation NPV J9894K105 46100 NS 116769.54 0.0178558789 Long EC CORP JP N 2 N N N Redrow PLC 2138008WJZBBA7EYEL28 Redrow PLC ORD GBP0.105 G7455X147 68600 NS 575779.39 0.0880456244 Long EC CORP GB N 1 N N N Ashtead Group 2138007UTBN8X9K1A235 Ashtead Group ORD GBP0.10 G05320109 8219 NS USD 585224.48 0.0894899256 Long EC CORP GB N 2 N N N Drax Group PLC 549300YPSNTXR4ZHSR98 Drax Group PLC ORD GBP0.1155172 G2904K127 102600 NS 649035.98 0.0992476964 Long EC CORP GB N 1 N N N Sage Group PLC 2138005RN5XYLTF8G138 Sage Group PLC GBP0.01051948 G7771K142 18690 NS USD 298586.16 0.0456584681 Long EC CORP GB N 2 N N N DBS Group Holdings Ltd. 5493007FKT78NKPM5V55 DBS Group Holdings Ltd. NPV Y20246107 70300 NS 1876153.7 0.2868930824 Long EC CORP SG N 2 N N N Computershare Ltd. N/A Computershare Ltd. NPV Q2721E105 9466 NS 161232.93 0.0246550228 Long EC CORP AU N 2 N N N M&G PLC 254900TWUJUQ44TQJY84 M&G PLC ORD GBP0.05 G6107R102 41933 NS USD 116660.8 0.0178392509 Long EC CORP GB N 2 N N N Wise PLC 213800LD9XCHIC1C4V71 Wise PLC CLS A ORD GBP0.01 G97229101 11910 NS USD 139190.18 0.0212843435 Long EC CORP GB N 2 N N N Rakuten Group Inc. 529900IMXUCQKUL1H943 Rakuten Group Inc. NPV J64264104 28700 NS 162904.27 0.0249105967 Long EC CORP JP N 2 N N N Jardine Cycle & Ca 254900WEP6OCEXFWML09 Jardine Cycle & Ca NPV Y43703100 40600 NS 726927.49 0.1111585198 Long EC CORP SG N 2 N N N Aristocrat Leisure Ltd. 529900TE2HO3OZKYKC27 Aristocrat Leisure Ltd. NPV Q0521T108 10532 NS 294905.05 0.0450955691 Long EC CORP AU N 2 N N N Hong Kong Exchanges & Clearing Ltd. 213800YTVSXYQN17BW16 Hong Kong Exchanges & Clearing Ltd. NPV Y3506N139 22600 NS 658524.93 0.1006987045 Long EC CORP HK N 2 N N N Shell PLC 21380068P1DRHMJ8KU70 Shell PLC ORD EUR0.07 G80827101 240696 NS 7984640.72 1.2209757591 Long EC CORP GB N 2 N N N Valiant Holding AG 529900R30EKFHO09CN42 Valiant Holding AG CHF0.50 (REGD) H90203128 1400 NS 164240.17 0.0251148766 Long EC CORP CH N 1 N N N Fuji Electric Co., Ltd. 5299000HVNGZZTYYM906 Fuji Electric Co., Ltd. NPV J14112106 2400 NS 161050.82 0.0246271754 Long EC CORP JP N 2 N N N Nippon Building Fund Inc. 52990053R8NL2MB32172 Nippon Building Fund Inc. REIT J52088101 26 NS 104002.96 0.0159036702 Long EC CORP JP N 2 N N N Hitachi Construction Machinery Co Ltd. 5493009B7C53PDH8W826 Hitachi Construction Machinery Co Ltd. NPV J20244109 1900 NS 57325.74 0.0087659973 Long EC CORP JP N 2 N N N Galaxy Entertainment Group Ltd. 549300ZSEBV3HR826S10 Galaxy Entertainment Group Ltd. NPV Y2679D118 45000 NS 226218.15 0.0345922737 Long EC CORP HK N 2 N N N Koito Manufacturing Co., Ltd. N/A Koito Manufacturing Co., Ltd. NPV J34899104 3900 NS 52570.61 0.0080388640 Long EC CORP JP N 2 N N N Niterra Co Ltd. 549300RG3XQGTFM4HH31 Niterra Co Ltd. NPV J49119100 24300 NS 806756.85 0.1233656706 Long EC CORP JP N 2 N N N VAT Group AG 529900MVFK7NVALR7Y83 VAT Group AG CHF0.10 (REGD) H90508104 513 NS USD 265012.71 0.0405245654 Long EC CORP CH N 2 N N N Bank of Ireland Group PLC 635400C8EK6DRI12LJ39 Bank of Ireland Group PLC ORD EUR1.00 G0756R109 109828 NS 1120806.55 0.1713887545 Long EC CORP IE N 2 N N N AIB Group PLC 635400AKJBGNS5WNQL34 AIB Group PLC ORD EUR0.625 G0R4HJ106 32251 NS 163720.76 0.0250354507 Long EC CORP IE N 2 N N N Banco BPM S.p.A. 815600E4E6DCD2D25E30 Banco BPM S.p.A. NPV T1708N101 25045 NS USD 166631.87 0.0254806047 Long EC CORP IT N 2 N N N Nippon Sanso Holdings Corp. 353800F1K6653B4VPY57 NIPPON SANSO HOLDINGS CORP J5545N100 2900 NS 90989.6 0.0139137251 Long EC CORP JP N 2 N N N Nitori Holdings Co Ltd. N/A NITORI HOLDINGS CO LTD J58214131 1500 NS 227328.15 0.0347620100 Long EC CORP JP N 2 N N N Softbank Group Corp. 5493003BZYYYCDIO0R13 Softbank Group Corp. NPV J7596P109 19600 NS 1163953.52 0.1779865973 Long EC CORP JP N 2 N N N Santen Pharmaceutical Co Ltd. 529900TPT3I7C17MIM03 SANTEN PHARMACEUTICAL CO LTD J68467109 60700 NS 596942.83 0.0912818435 Long EC CORP JP N 2 N N N DISCO Corp. N/A DISCO Corp. NPV J12327102 8800 NS 3216694.5 0.4918826215 Long EC CORP JP N 2 N N N Dcm Holdings 353800S1QF5V2DN70A36 Dcm Holdings NPV J12549101 24300 NS 235034.04 0.0359403604 Long EC CORP JP N 2 N N N GLP J-REIT 353800E27V9KA51K2I90 GLP J-REIT REIT J17305103 71 NS USD 59497.87 0.0090981498 Long EC CORP JP N 2 N N N UBE Corporation 529900XMRZ2VNF3ZPS69 UBE Corporation NPV J93796159 5600 NS 99760.92 0.0152549963 Long EC CORP JP N 2 N N N Sino Land Co Ltd. 529900G5P51053HJVZ92 Sino Land Co Ltd. NPV Y80267126 57735 NS 60022.62 0.0091783922 Long EC CORP HK N 2 N N N Yamaha Motor Co Ltd. 3538004LR5NXILJDHY88 Yamaha Motor Co Ltd. NPV J95776126 126000 NS 1160658.03 0.1774826656 Long EC CORP JP N 2 N N N Deutsche Boerse AG 529900G3SW56SHYNPR95 Deutsche Boerse AG NPV(REGD) D1882G119 3683 NS 754243.74 0.1153355993 Long EC CORP DE N 2 N N N Adecco Group AG NI14Y5UMU60O7JE9P611 Adecco Group AG CHF0.1 (REGD) H00392318 15507 NS 613492.73 0.0938125807 Long EC CORP CH N 2 N N N Enel - Societa per Azioni WOCMU6HCI0OJWNPRZS33 Enel - Societa per Azioni EUR1 T3679P115 155033 NS 1023453.32 0.1565019314 Long EC CORP IT N 2 N N N Sonova Holding AG 5299004A0QNX7FBNHS61 Sonova Holding AG CHF0.05 (REGD) H8024W106 969 NS 280615.68 0.0429105022 Long EC CORP CH N 2 N N N Snam S.p.A. 8156002278562044AF79 Snam S.p.A. NPV T8578N103 40625 NS 191819.81 0.0293322325 Long EC CORP IT N 2 N N N Telecom Italia S.p.A. 549300W384M3RI3VXU42 TELECOM ITALIA SPA/MILANO T92778108 209032 NS USD 50763.42 0.0077625165 Long EC CORP IT N 1 N N N Getinge AB 5493003PZ4F570G3W735 Getinge AB SER'B'NPV W3443C107 5097 NS USD 102515.5 0.0156762145 Long EC CORP SE N 2 N N N Gecina SA 9695003E4MMA10IBTR26 Gecina SA EUR7.50 F4268U171 821 NS USD 83860.62 0.0128235932 Long EC CORP FR N 2 N N N Nippon Prologis Reit Inc 353800PHBMSDLAFURY41 Nippon Prologis Reit Inc REIT J5528H104 35 NS USD 62348.8 0.0095341013 Long EC CORP JP N 2 N N N SG Holdings Co Ltd. N/A SG Holdings Co Ltd. NPV J7134P108 5200 NS USD 65852.57 0.0100698822 Long EC CORP JP N 2 N N N Capcom Co Ltd. 529900JJWQKXS3TC8744 Capcom Co Ltd. NPV J05187109 6600 NS USD 123645.14 0.0189072651 Long EC CORP JP N 2 N N N Suntory Beverage & Food Ltd 549300FONLMVK7YYYH41 Suntory Beverage & Food Ltd NPV J78186103 2200 NS USD 74414.79 0.0113791788 Long EC CORP JP N 2 N N N Sea Ltd. 529900OM6JLLW44YKI15 Sea Ltd. SPONSORD ADS 81141R100 6908 NS USD 371028.68 0.0567360561 Long EC CORP KY N 1 N N N United States Treasury Bills 254900HROIFWPRGM1V77 B 0 05/23/24 912797HR1 1008300 NS USD 1000211.44 0.1529478864 Long DBT UST US N 2 2024-05-23 Fixed 0.000000000000 N N N N N N JB Hi-Fi Ltd. 529900TPC8H040Y3ZQ65 JB Hi-Fi Ltd. NPV Q5029L101 19400 NS 812131.17 0.1241874878 Long EC CORP AU N 2 N N N Mcmillan Shakespeare Ltd. 254900GPJQUGWJEAZ102 Mcmillan Shakespeare Ltd. NPV Q58998107 49900 NS 638049.07 0.0975676270 Long EC CORP AU N 2 N N N Super Retail Group Ltd. N/A Super Retail Group Ltd. NPV Q88009107 62900 NS 660056.87 0.1009329619 Long EC CORP AU N 2 N N N Helia Group Ltd. 529900RUQ2G0JXJOF423 Helia Group Ltd. NPV Q3983N155 338000 NS 861178.09 0.1316875247 Long EC CORP AU N 2 N N N Goodman Group N/A Goodman Group NPV (STAPLED UNITS) Q4229W132 32836 NS USD 723286.76 0.1106017956 Long EC CORP AU N 2 N N N Sydbank AS GP5DT10VX1QRQUKVBK64 Sydbank AS DKK10 K9419V113 5500 NS 285131.19 0.0436009939 Long EC CORP DK N 2 N N N Hulic Co Ltd. 3538002E12E7IHAKTB10 Hulic Co Ltd. NPV J23594112 7300 NS USD 74973.51 0.0114646158 Long EC CORP JP N 2 N N N Jvckenwood Corporation 529900GGYCEJXM5Y6961 Jvckenwood Corporation NPV J29697109 123600 NS 760584.6 0.1163052155 Long EC CORP JP N 2 N N N Screen Holdings Co Ltd. 353800ND89FTQ9XQ0R07 SCREEN HOLDINGS CO LTD J6988U114 1400 NS USD 181516.89 0.0277567558 Long EC CORP JP N 2 N N N Japan Airlines Co Ltd. 3538002MH5L1QZZ93477 JAPAN AIRLINES CO LTD J25979121 2400 NS USD 45570.51 0.0069684398 Long EC CORP JP N 2 N N N Hikari Tsushin Inc 3538001SOIIV8U3OXH94 Hikari Tsushin Inc NPV J1949F108 300 NS USD 56421.36 0.0086277035 Long EC CORP JP N 2 N N N Ferrotec Holdings Corp. N/A Ferrotec Holdings Corp. NPV J1347N109 34100 NS 663439.6 0.1014502340 Long EC CORP JP N 2 N N N Oversea-Chinese Banking Corp Ltd. 5493007O3QFXCPOGWK22 Oversea-Chinese Banking Corp Ltd. NPV Y64248209 64500 NS USD 644475.64 0.0985503495 Long EC CORP SG N 2 N N N Unilever PLC 549300MKFYEKVRWML317 Unilever PLC ORD GBP0.031111 G92087165 47660 NS USD 2392315.41 0.3658222362 Long EC CORP GB N 2 N N N Schindler Holding AG 5299007DRLI319H7Q933 Schindler Holding AG CHF0.10 (REGD) H7258G233 479 NS USD 116879.51 0.0178726950 Long EC CORP CH N 2 N N N TotalEnergies SE 529900S21EQ1BO4ESM68 TotalEnergies SE EUR2.5 F92124100 89482 NS 6155431.88 0.9412612759 Long EC CORP FR N 2 N N N Matsukiyococokara & Co. N/A Matsukiyococokara & Co. NPV J41208109 6200 NS USD 99552.78 0.0152231685 Long EC CORP JP N 2 N N N Arcs Company Limited N/A Arcs Company Limited NPV J0195H107 9500 NS 196191.56 0.0300007411 Long EC CORP JP N 2 N N N Recruit Holdings Co Ltd. 353800R2LRSMVVC4I806 Recruit Holdings Co Ltd. NPV J6433A101 27400 NS USD 1203046.42 0.1839645098 Long EC CORP JP N 2 N N N Kingboard Holdings Ltd. 529900G89MY26MMSDR76 Kingboard Holdings Ltd. HKD0.10 G52562140 33500 NS 68396.5 0.0104588887 Long EC CORP KY N 2 N N N Wharf Real Estate Investment Co Ltd. 529900QLPKS8U9QOPB59 Wharf Real Estate Investment Co Ltd. HKD0.1 G9593A104 32000 NS USD 104188.92 0.0159321064 Long EC CORP HK N 2 N N N ArcelorMittal S.A. 2EULGUTUI56JI9SAL165 ArcelorMittal S.A. NPV L0302D210 9460 NS USD 260029.07 0.0397624893 Long EC CORP LU N 2 N N N Euronext N.V. 724500QJ4QSZ3H9QU415 Euronext N.V. EUR1.60 N3113K397 1583 NS 150654.76 0.0230374561 Long EC CORP NL N 2 N N N Randstad N.V 7245009EAAUUQJ0U4T57 RANDSTAD NV N7291Y137 7863 NS 415211.99 0.0634923715 Long EC CORP NL N 2 N N N Wilmar International Ltd. 549300H2EAI4YRLWBB20 Wilmar International Ltd. NPV Y9586L109 42100 NS USD 106939.24 0.0163526731 Long EC CORP SG N 2 N N N Symrise AG 529900D82I6R9601CF26 Symrise AG NPV (BR) D827A1108 2486 NS 297602.39 0.0455080343 Long EC CORP DE N 2 N N N Vinci SA 213800WFQ334R8UXUG83 Vinci SA EUR2.50 F5879X108 9543 NS USD 1224644.26 0.1872671555 Long EC CORP FR N 2 N N N Anglo American PLC 549300S9XF92D1X8ME43 Anglo American PLC USD0.54945 G03764134 33321 NS 821038.32 0.1255495295 Long EC CORP GB N 2 N N N ASML Holding N.V. 724500Y6DUVHQD6OXN27 ASML Holding N.V. EUR0.09 N07059202 10485 NS 10164839.45 1.5543620557 Long EC CORP NL N 2 N N N Argenx SE 7245009C5FZE6G9ODQ71 Argenx SE EUR0.10 N0610Q109 1093 NS USD 430942.08 0.0658977469 Long EC CORP NL N 2 N N N Koninklijke Ahold Delhaize NV 724500C9GNBV20UYRX36 Koninklijke Ahold Delhaize NV EUR0.01 N0074E105 68722 NS 2056292.34 0.3144390823 Long EC CORP NL N 2 N N N ASR Nederland N.V. 7245000G0HS48PZWUD53 ASR Nederland N.V. EUR0.16 N0709G103 15903 NS 779404.69 0.1191830999 Long EC CORP NL N 2 N N N Air Liquide S.A.(L') 969500MMPQVHK671GT54 Air Liquide S.A.(L') EUR5.50 F01764103 9998 NS USD 2080077.44 0.3180761941 Long EC CORP FR N 2 N N N Iberdrola, S.A. 5QK37QC7NWOJ8D7WVQ45 Iberdrola, S.A. EUR0.75 E6165F166 116976 NS USD 1452888.11 0.2221691902 Long EC CORP ES N 2 N N N Bureau Veritas SA 969500TPU5T3HA5D1F11 Bureau Veritas SA EUR0.12 F96888114 6147 NS USD 187689.76 0.0287006836 Long EC CORP FR N 2 N N N Macquarie Group Ltd. ACMHD8HWFMFUIQQ8Y590 Macquarie Group Ltd. NPV Q57085286 26973 NS USD 3508573.78 0.5365155033 Long EC CORP AU N 2 N N N Stellantis N.V 549300LKT9PW7ZIBDF31 Stellantis N.V COM EUR0.01 N82405106 85332 NS 2424664.03 0.3707688434 Long EC CORP NL N 2 N N N Iveco Group NV 549300ZWF2ZJDD9EOR96 Iveco Group NV EUR0.01 N47017103 24800 NS 369451.36 0.0564948594 Long EC CORP NL N 2 N N N Mowi ASA 549300W1OGQF5LZIH349 Mowi ASA NOK7.50 R4S04H101 35146 NS 645586.69 0.0987202463 Long EC CORP NO N 2 N N N SalMar ASA 5967007LIEEXZXGDBK67 SalMar ASA NOK0.25 R7445C102 1157 NS USD 76360.01 0.0116766332 Long EC CORP NO N 2 N N N Elia Group 549300S1MP1NFDIKT460 Elia Group NPV B35656105 502 NS USD 54188.55 0.0082862721 Long EC CORP BE N 2 N N N United Utilities Group PLC 2138002IEYQAOC88ZJ59 United Utilities Group PLC ORD GBP0.05 G92755100 12840 NS USD 166757.03 0.0254997436 Long EC CORP GB N 2 N N N D'Ieteren Group 549300DV5KJ23OKVTW34 D'Ieteren Group NPV B49343187 484 NS USD 107304.06 0.0164084598 Long EC CORP BE N 2 N N N Gjensidige Forsikring ASA 5967007LIEEXZX6FAO47 Gjensidige Forsikring ASA NOK2 R2763X101 3313 NS USD 48086.39 0.0073531570 Long EC CORP NO N 2 N N N Europris ASA 5967007LIEEXZXGA8G28 Europris ASA NOK1 R2R97J126 52300 NS 376658.92 0.0575970074 Long EC CORP NO N 2 N N N Xero Ltd. 254900UG5D8YST164N14 Xero Ltd. NPV Q98665104 2714 NS USD 235654.5 0.0360352384 Long EC CORP NZ N 2 N N N NOS SGPS SA 5493004DM8FGIY6QKF37 NOS SGPS SA EUR1.66 X5S8LH105 114000 NS 445959.16 0.0681940920 Long EC CORP PT N 1 N N N Elders Limited 254900Y0SQG962QL6549 Elders Limited NPV Q3414A186 101200 NS 618473.6 0.0945742332 Long EC CORP AU N 2 N N N Dai-ichi Life Holdings Inc. 549300ZUFXI7JXZVTZ25 Dai-ichi Life Holdings Inc. NPV J09748112 17700 NS USD 451430.25 0.0690307068 Long EC CORP JP N 2 N N N James Hardie Industries PLC 635400NSGXKTVOO7JU45 James Hardie Industries PLC CDI(CHESS DEPOSITARY INTERESTS) G4253H119 8023 NS USD 322470.96 0.0493108255 Long EC CORP IE N 2 N N N Ageas SA/NV 5493005DJBML6LY3RV36 Ageas SA/NV NPV B0148L138 17711 NS USD 820475.52 0.1254634687 Long EC CORP BE N 2 N N N Umicore S.A. 529900F3AIQECS8ZSV61 Umicore S.A. NPV B95505184 3617 NS USD 77981.29 0.0119245522 Long EC CORP BE N 2 N N N Lottery Corporation Ltd N/A Lottery Corporation Ltd NPV Q56337100 40516 NS USD 135874.29 0.0207772923 Long EC CORP AU N 2 N N N Mineral Resources Ltd. 5299007V1ACKFFX2P066 Mineral Resources Ltd. NPV Q60976109 3571 NS USD 164759.35 0.0251942673 Long EC CORP AU N 2 N N N DnB Bank ASA 549300GKFG0RYRRQ1414 DnB Bank ASA NOK12.50 R1R15X100 61698 NS 1226405.19 0.1875364290 Long EC CORP NO N 2 N N N Essity AB 549300G8E6YUVJ1DA153 Essity AB SER'B'NPV W3R06F100 11081 NS USD 263219.48 0.0402503526 Long EC CORP SE N 2 N N N Epiroc AB 5493004Q73OEYW1SPE91 Epiroc AB SER'A'NPV W25918124 12872 NS 241640.45 0.0369505833 Long EC CORP SE N 2 N N N First Resources Ltd. 5493007RRD817HUP4O49 First Resources Ltd. NPV Y2560F107 548400 NS 556411.66 0.0850839972 Long EC CORP SG N 2 N N N Aegon Ltd. N/A Aegon Ltd. EUR0.12 G0112X105 159099 NS 970638.41 0.1484257102 Long EC CORP BM N 2 N N N Scout24 SE 5493007EIKM2ENQS7U66 Scout24 SE NPV D345XT105 1540 NS USD 116021.37 0.0177414721 Long EC CORP DE N 2 N N N Nemetschek SE 529900R0S2IX1S358J38 Nemetschek SE ORD NPV D56134105 957 NS USD 94727.02 0.0144852347 Long EC CORP DE N 2 N N N Bechtle AG 529900HA2QT774RUXW59 Bechtle AG NPV D0873U103 1805 NS USD 95402.21 0.0145884818 Long EC CORP DE N 2 N N N Genting Singapore Ltd. 254900Y2N3AK93K1O866 Genting Singapore Ltd. NPV Y2692C139 125893 NS USD 82565.3 0.0126255186 Long EC CORP SG N 2 N N N Infrastrutture Wireless Italiane SpA 81560066183FE361C071 Infrastrutture Wireless Italiane SpA NPV T6032P102 5403 NS USD 61313.26 0.0093757511 Long EC CORP IT N 2 N N N Indutrade AB 549300FISLQ6CEFP1867 Indutrade AB NPV W4939U106 5279 NS USD 143783.2 0.0219866877 Long EC CORP SE N 2 N N N Sagax AB 549300LJX28T6OM8DT95 Sagax AB SER'B'NPV W7519A200 3492 NS USD 92119.99 0.0140865793 Long EC CORP SE N 2 N N N Rockwool A/S 213800QRC7LNX935OZ09 Rockwool A/S SER'B'DKK10 K8254S144 4100 NS 1349004.61 0.2062837873 Long EC CORP DK N 2 N N N Genmab As 529900MTJPDPE4MHJ122 Genmab As DKK1 K3967W102 11233 NS USD 3367975.41 0.5150158256 Long EC CORP DK N 2 N N N Swedish Orphan Biovitrum AB 549300124Y3MQI87PT35 Swedish Orphan Biovitrum AB NPV W95637117 3459 NS USD 86345.74 0.0132036067 Long EC CORP SE N 1 N N N DFDS AS 549300JZVW1Y1UZ5UK38 DFDS AS DKK20 K29758164 10000 NS 290699.35 0.0444524521 Long EC CORP DK N 2 N N N Compania De Distribucion Integral Logista Holdings S.A.U 9598000ANNAL42UJ7X28 Compania De Distribucion Integral Logista Holdings S.A.U EUR0.2 E0304S106 15600 NS 435985.57 0.0666689750 Long EC CORP ES N 2 N N N Sopra Steria Group SA 96950020QIOHAAK9V551 Sopra Steria Group SA EUR1.00 F20906115 800 NS 193875.26 0.0296465428 Long EC CORP FR N 2 N N N La Francaise Des Jeux 969500R4CLSQFTYYI535 La Francaise Des Jeux EUR0.40 F55896108 1748 NS USD 71244.65 0.0108944151 Long EC CORP FR N 2 N N N Rubis SCA 969500MGFIKUGLTC9742 Rubis SCA EUR1.25 F7686C152 23800 NS 840290.08 0.1284934231 Long EC CORP FR N 2 N N N Konecranes Oyj 549300EF0CDEQZBMA096 Konecranes Oyj NPV X4550J108 19800 NS 1027744.8 0.1571581654 Long EC CORP FI N 2 N N N Cargotec Oyj 5493002B0GOVF42KWX33 Cargotec Oyj SER'B'NPV X10788101 12000 NS 836694.7 0.1279436336 Long EC CORP FI N 2 N N N Metso Oyj 549300R0VN9C371W0E07 METSO OYJ X5404W104 12021 NS USD 142796.35 0.0218357830 Long EC CORP FI N 2 N N N Nordea Bank ABP 529900ODI3047E2LIV03 Nordea Bank ABP NPV X5S8VL105 5190 NS 58671.52 0.0089717880 Long EC CORP FI N 2 N N N Sampo PLC 743700UF3RL386WIDA22 Sampo PLC NPV A X75653232 8390 NS USD 357886.79 0.0547264568 Long EC CORP FI N 2 N N N Teleperformance SE 9695004GI61FHFFNRG61 Teleperformance SE EUR2.50 F9120F106 1174 NS USD 114036.56 0.0174379637 Long EC CORP FR N 2 N N N Sartorius Stedim Biotech SA 52990006IVXY7GCSSR39 Sartorius Stedim Biotech SA EUR0.20 F8005V210 548 NS USD 156304.56 0.0239013984 Long EC CORP FR N 2 N N N BioMerieux SA 549300AK8Y0LBIQ4T071 BioMerieux SA NPV F1149Y232 653 NS USD 72022.06 0.0110132932 Long EC CORP FR N 2 N N N Bellway PLC 213800CY4L3HST4FGZ98 Bellway PLC GBP0.125 G09744155 7300 NS 244699.88 0.0374184177 Long EC CORP GB N 2 N N N Compass Group PLC 2138008M6MH9OZ6U2T68 Compass Group PLC ORD GBP0.1105 G23296208 32575 NS USD 955098.49 0.1460494147 Long EC CORP GB N 2 N N N RS Group plc 549300KVXDURRKVW7R37 RS Group plc ORD GBP0.10 G29848101 230000 NS 2108306.96 0.3223929268 Long EC CORP GB N 2 N N N GSK plc 5493000HZTVUYLO1D793 GSK plc ORD GBP0.3125 G3910J179 229838 NS 4934128.68 0.7545050205 Long EC CORP GB N 2 N N N Grab Holdings Ltd. 549300N4VQX83VPJF439 Grab Holdings Ltd. COM USD0.000001 CL A G4124C109 33669 NS USD 105720.66 0.0161663333 Long EC CORP KY N 1 N N N VTech Holdings Ltd. N/A VTech Holdings Ltd. USD0.05 G9400S132 96900 NS 587728.5 0.0898728292 Long EC CORP BM N 2 N N N Persimmon PLC 213800XI72Y57UWN6F31 Persimmon PLC ORD GBP0.10 G70202109 6410 NS USD 106240.5 0.0162458249 Long EC CORP GB N 2 N N N DS Smith PLC 39RSBE4RCI4M15BLWH36 DS Smith PLC ORD GBP0.10 G2848Q123 161100 NS 805642.33 0.1231952432 Long EC CORP GB N 2 N N N Hikma Pharmaceuticals PLC 549300BNS685UXH4JI75 Hikma Pharmaceuticals PLC ORD GBP0.10 G4576K104 41395 NS USD 1001124.15 0.1530874540 Long EC CORP GB N 2 N N N Qinetiq Group PLC 213800S8OBDOZMCMUW34 Qinetiq Group PLC ORD GBP0.01 G7303P106 90500 NS 416666.27 0.0637147535 Long EC CORP GB N 2 N N N Shell PLC 21380068P1DRHMJ8KU70 Shell PLC ELECTRONIC ELECTION EN DV Q4 23 25/03/24 G7690B298 219116 NS 0 0.0000000000 Long EC CORP GB N 3 N N N Spirax-Sarco Eng 213800WFVZQMHOZP2W17 Spirax-Sarco Eng ORD GBP0.269230769 G83561129 1518 NS 192501.71 0.0294365056 Long EC CORP GB N 2 N N N Land Securities Group PLC 213800V8IAVKS37D6B88 Land Securities Group PLC ORD GBP0.106666666 G5375M142 14023 NS USD 116438.73 0.0178052929 Long EC CORP GB N 2 N N N Straumann Holding AG 50670046ML5FVIM60Z37 Straumann Holding AG CHF0.01 (REGD) (POST SPLIT) H8300N127 2126 NS 339219.65 0.0518719607 Long EC CORP CH N 2 N N N Amplifon S.p.A. ZYXJDNVM2JI3VBM8G556 AMPLIFON SPA T0388E118 2021 NS USD 73671.12 0.0112654601 Long EC CORP IT N 2 N N N Hazama Ando Corporation 353800YSSP5B2GMQ6E51 Hazama Ando Corporation NPV J1912N104 78500 NS 611346.38 0.0934843704 Long EC CORP JP N 2 N N N Hosiden Corp 353800IQGIGW1XT2JX97 Hosiden Corp NPV J22470108 48200 NS 613729.21 0.0938487421 Long EC CORP JP N 2 N N N TIS Inc. 35380064HYEZXBQHDF07 TIS Inc. NPV J8T622102 4500 NS USD 96551.24 0.0147641864 Long EC CORP JP N 2 N N N Japan Post Insurance Co Ltd. 54930042SK2Z708BA841 JAPAN POST INSURANCE CO LTD J2800E107 3300 NS USD 63080.02 0.0096459162 Long EC CORP JP N 2 N N N Kobe Bussan Co Ltd. 353800CJIFNHN2DXRD59 Kobe Bussan Co Ltd. NPV J3478K102 2500 NS USD 61258.16 0.0093673255 Long EC CORP JP N 2 N N N WPP PLC 549300LSGBXPYHXGDT93 WPP PLC ORD GBP0.10 G9788D103 21145 NS USD 200340.66 0.0306352030 Long EC CORP GB N 2 N N N Nomura Real Estate Master Fund, Inc. 353800TNNZOQ1CPZE086 Nomura Real Estate Master Fund, Inc. REIT J589D3119 65 NS USD 64274.33 0.0098285448 Long EC CORP JP N 2 N N N Daiwabo Co Ltd N/A DAIWABO HOLDINGS CO LTD J11256104 8100 NS 135603.91 0.0207359470 Long EC CORP JP N 2 N N N Pan Pacific International Holdings Corp. 529900QLHJM2E18A5763 Pan Pacific International Holdings Corp. NPV J6352W100 7600 NS USD 201413.04 0.0307991866 Long EC CORP JP N 2 N N N SoftBank Corp 353800M1YCTS9JRBJ535 SOFTBANK CORP J75963132 54800 NS USD 705546.92 0.1078890981 Long EC CORP JP N 2 N N N Nippon Paint Holdings Co Ltd. 529900RYRJUN78A7PL87 Nippon Paint Holdings Co Ltd. NPV J55053128 16800 NS USD 120912.65 0.0184894249 Long EC CORP JP N 2 N N N Nexon Co Ltd. 5299005SFO0GAJFLKN43 Nexon Co Ltd. NPV J4914X104 7500 NS USD 124661.25 0.0190626441 Long EC CORP JP N 2 N N N Hoshizaki Corp. 5299001QAMLGU3SRBG20 Hoshizaki Corp. NPV J23254105 1900 NS USD 69324.8 0.0106008402 Long EC CORP JP N 2 N N N Azbil Corp. N/A AZBIL CORP J0370G106 2800 NS USD 77464.31 0.0118454979 Long EC CORP JP N 2 N N N WH Group Ltd. 254900A4AYEDRWYSE928 WH Group Ltd. USD0.0001 G96007102 1123943 NS 741893.25 0.1134470173 Long EC CORP KY N 2 N N N Eurofins Scientific SE 529900JEHFM47DYY3S57 Eurofins Scientific SE EUR0.01 L31839134 2788 NS USD 177597.42 0.0271574079 Long EC CORP LU N 2 N N N Tenaris SA 549300Y7C05BKC4HZB40 Tenaris SA USD1 L90272136 9358 NS USD 185019.85 0.0282924129 Long EC CORP LU N 2 N N N Cyber-Ark Software Limited 529900YEXNDM894PWS93 Cyber-Ark Software Limited COM ILS0.01 M2682V108 10841 NS USD 2879694.83 0.4403501302 Long EC CORP IL N 1 N N N ABN AMRO Bank N.V. BFXS5XCH7N0Y05NIXW11 ABN AMRO Bank N.V. DR EACH REP SHS N0162C102 108815 NS 1862075.49 0.2847403051 Long EC CORP NL N 2 N N N Adyen NV 724500973ODKK3IFQ447 Adyen NV EUR0.01 N3501V104 424 NS USD 716196.31 0.1095175555 Long EC CORP NL N 2 N N N Ferrovial SE 72450022R2ZFL41Y6I04 Ferrovial SE EUR0.01 N3168P101 9707 NS USD 384319.36 0.0587684078 Long EC CORP ES N 2 N N N Mercury NZ Ltd. 254900XLT925U953KK55 Mercury NZ Ltd. NPV Q5971Q108 12456 NS USD 51571.94 0.0078861518 Long EC CORP NZ N 1 N N N Northern Star Resources Ltd. 254900XFXCRYYZAX6M78 Northern Star Resources Ltd. NPV Q6951U101 21931 NS USD 206930.92 0.0316429563 Long EC CORP AU N 2 N N N Adevinta ASA 529900W8V3YLHRSZH763 Adevinta ASA NOK0.20 R0000V110 5860 NS USD 61425.68 0.0093929419 Long EC CORP NO N 1 N N N L E Lundbergforetagen AB (Publ) 529900BPSFZS6O3A9R04 L E Lundbergforetagen AB (Publ) SER'B'NPV W54114108 1231 NS USD 66631.59 0.0101890065 Long EC CORP SE N 2 N N N Industrivarden AB (publ) 549300TM1DLIQI3B3T37 Industrivarden AB (publ) SER'A'NPV W45430100 2036 NS USD 70017.54 0.0107067709 Long EC CORP SE N 2 N N N Medibank Pvt Ltd. BDYVSUPTML83OLINBJ17 Medibank Pvt Ltd. NPV Q5921Q109 50228 NS 123064.7 0.0188185068 Long EC CORP AU N 2 N N N Assa Abloy AB 549300YECS8HKCIMMB67 Assa Abloy AB SER'B'NPV W0817X204 19106 NS USD 548309.8 0.0838450968 Long EC CORP SE N 2 N N N Epiroc AB 5493004Q73OEYW1SPE91 Epiroc AB SER'B'NPV W25918157 7219 NS USD 122253.32 0.0186944342 Long EC CORP SE N 2 N N N Nexi S.p.A. 5493000P70CQRQG8SN85 Nexi S.p.A. NPV T6S18J104 9236 NS 58517.92 0.0089483002 Long EC CORP IT N 2 N N N EQT AB 213800U7P9GOIRKCTB34 EQT AB NPV W3R27C102 6762 NS USD 214081.58 0.0327364034 Long EC CORP SE N 2 N N N NIBE Industrier AB 549300ZQH0FIF1P0MX67 NIBE INDUSTRIER AB W6S38Z126 28789 NS USD 141567.04 0.0216478023 Long EC CORP SE N 2 N N N Capitaland Investment Ltd. 254900AT4UQDU7SNXX49 Capitaland Investment Ltd. NPV Y1091P105 47800 NS USD 94852 0.0145043461 Long EC CORP SG N 2 N N N Adidas AG 549300JSX0Z4CW0V5023 Adidas AG NPV (REGD) D0066B185 3088 NS 689950.54 0.1055041690 Long EC CORP DE N 2 N N N Assicurazioni Generali S.p.A. 549300X5UKJVE386ZB61 Assicurazioni Generali S.p.A. NPV T05040109 19568 NS 495334.84 0.0757444015 Long EC CORP IT N 2 N N N Intesa Sanpaolo S.p.A. 2W8N8UU78PMDQKZENC08 Intesa Sanpaolo S.p.A. NPV T55067101 278796 NS 1012182.46 0.1547784416 Long EC CORP IT N 2 N N N Henkel AG & Co. KGaA 549300VZCL1HTH4O4Y49 Henkel AG & Co. KGaA NPV(BR) D3207M102 1894 NS 136469.69 0.0208683382 Long EC CORP DE N 2 N N N UPM-Kymmene Corporation 213800EC6PW5VU4J9U64 UPM-Kymmene Corporation NPV X9518S108 9757 NS 325071.72 0.0497085221 Long EC CORP FI N 2 N N N Volkswagen Aktiengesellschaft 529900NNUPAGGOMPXZ31 Volkswagen Aktiengesellschaft ORD NPV D94523145 667 NS 101889.98 0.0155805627 Long EC CORP DE N 2 N N N Metropole Television-(M6) 96950018NOMJX5XRH047 Metropole Television-(M6) EUR0.40 F62379114 37700 NS 562010.06 0.0859400797 Long EC CORP FR N 2 N N N AGC Inc. JE4WFFEELMVPFZ0G1E77 AGC INC J0025W100 12300 NS 446272.75 0.0682420448 Long EC CORP JP N 2 N N N ANZ Group Holdings Ltd. 9845005D9C6BAA10BK72 ANZ Group Holdings Ltd. NPV Q0429F119 135027 NS 2587936.02 0.3957356702 Long EC CORP AU N 2 N N N Westpac Banking Corp. EN5TNI6CI43VEPAMHL14 Westpac Banking Corp. NPV Q97417101 66744 NS 1135190.14 0.1735882291 Long EC CORP AU N 2 N N N Telstra Group Ltd. 894500WRW54CVN62K416 Telstra Group Ltd. NPV Q8975N105 79349 NS 199595.95 0.0305213253 Long EC CORP AU N 2 N N N CLP Holdings Ltd. 25490002BUTSMP94GO68 CLP Holdings Ltd. NPV Y1660Q104 30500 NS 243275.44 0.0372005987 Long EC CORP HK N 2 N N N NTT Data Group Corp. 353800SZGJGSLJRRWB43 NTT Data Group Corp. NPV J59031104 12000 NS 190775.44 0.0291725321 Long EC CORP JP N 2 N N N Bridgestone Corp. 549300DHPOF90OYYD780 Bridgestone Corp. NPV J04578126 11100 NS 491949.18 0.0752266814 Long EC CORP JP N 2 N N N BHP Group Ltd. WZE1WSENV6JSZFK0JC28 BHP Group Ltd. NPV Q1498M100 96617 NS 2793571.87 0.4271805901 Long EC CORP AU N 2 N N N Canon Inc. 529900JH1GSC035SSP77 Canon Inc. NPV J05124144 47000 NS 1400367.83 0.2141380225 Long EC CORP JP N 2 N N N Chiba Bank Ltd. FGJPAKKCTZVSKZXNBS63 CHIBA BANK LTD/THE J05670104 12200 NS 101518.43 0.0155237470 Long EC CORP JP N 2 N N N Chubu Electric Power Co Inc. 529900A76GOP0PGNHT63 Chubu Electric Power Co Inc. NPV J06510101 12500 NS 163451.84 0.0249943287 Long EC CORP JP N 2 N N N City Developments Ltd. 254900BPLPJS0RJ72373 City Developments Ltd. NPV V23130111 6100 NS 26424.27 0.0040406819 Long EC CORP SG N 2 N N N Commonwealth Bank of Australia MSFSBD3QN1GSN7Q6C537 Commonwealth Bank of Australia ORD NPV Q26915100 31921 NS 2503859.79 0.3828791069 Long EC CORP AU N 2 N N N RIO Tinto Limited 529900X2VMAQT2PE0V24 RIO Tinto Limited NPV Q81437107 37769 NS 2997541.99 0.4583707940 Long EC CORP AU N 2 N N N KDDI Corp 5299003FU7V4I45FU310 KDDI Corp NPV J31843105 44400 NS 1312762.27 0.2007417698 Long EC CORP JP N 2 N N N Daito Trust Construction Co 353800QQ4DRI3KXS3038 DAITO TRUST CONSTRUCTION CO LT J11151107 1200 NS 136899.25 0.0209340247 Long EC CORP JP N 2 N N N Dai Nippon Printing Co Ltd 529900S7NFNQ4FT6OP83 DAI NIPPON PRINTING CO LTD J10584142 3900 NS 119440.09 0.0182642475 Long EC CORP JP N 2 N N N Daiwa House Industry Co Ltd. N/A DAIWA HOUSE INDUSTRY CO LTD J11508124 11600 NS 345278.81 0.0527985005 Long EC CORP JP N 2 N N N Daiwa Securities Group Inc. 353800WRC7Y23PWFJG38 DAIWA SECURITIES GROUP INC J11718111 25800 NS 196295.4 0.0300166198 Long EC CORP JP N 2 N N N Kyowa Hakko Kirin Co Ltd. 529900TBXKVTQGYA3582 Kyowa Hakko Kirin Co Ltd. NPV J38296117 5600 NS 100750.31 0.0154062895 Long EC CORP JP N 2 N N N BOC Hong Kong (Holdings) Ltd. 254900JB98W77JDJMW15 BOC Hong Kong (Holdings) Ltd. NPV Y0920U103 74000 NS 198415.4 0.0303408008 Long EC CORP HK N 2 N N N Sekisui Chemical Co Ltd. 529900KQIVT7NWFNMI70 Sekisui Chemical Co Ltd. NPV J70703137 7200 NS 105340.4 0.0161081856 Long EC CORP JP N 2 N N N Sekisui House Ltd 529900GMNDOYQSAJAE76 Sekisui House Ltd NPV J70746136 11300 NS 257387.69 0.0393585812 Long EC CORP JP N 2 N N N Sharp Corp. 353800YEPK9PD7QO3449 SHARP CORP/JAPAN J71434112 6200 NS 34530.83 0.0052803010 Long EC CORP JP N 2 N N N Shimizu Corp. 353800BRAE0QFP3ZLY22 Shimizu Corp. NPV J72445117 9300 NS 60056.71 0.0091836051 Long EC CORP JP N 2 N N N Shin-Etsu Chemical Co Ltd. 353800PX8Q64N86H5W41 Shin-Etsu Chemical Co Ltd. NPV J72810120 34300 NS 1504464.78 0.2300560653 Long EC CORP JP N 2 N N N Shiseido Co Ltd. 5299008QCD0YDT5OF506 Shiseido Co Ltd. NPV J74358144 7800 NS 214035.47 0.0327293525 Long EC CORP JP N 2 N N N Sony Group Corp. 529900R5WX9N2OI2N910 Sony Group Corp. NPV J76379106 24000 NS 2058017.38 0.3147028678 Long EC CORP JP N 2 N N N Sumitomo Electric Industries Ltd. 5493005SP87FL5TOS202 Sumitomo Electric Industries Ltd. NPV J77411114 13100 NS 202988.82 0.0310401479 Long EC CORP JP N 2 N N N Sumitomo Realty & Development Co Ltd. 353800SO2DCLOI3LNZ64 Sumitomo Realty & Development Co Ltd. NPV J77841112 4900 NS 182571.77 0.0279180634 Long EC CORP JP N 2 N N N Sumitomo Corp. V82KK8NH1P0JS71FJC05 Sumitomo Corp. NPV J77282119 63400 NS 1527175.95 0.2335289564 Long EC CORP JP N 2 N N N Sun Hung Kai Properties Ltd. 529900LUMD393RD3S874 Sun Hung Kai Properties Ltd. NPV Y82594121 26500 NS 255981.52 0.0391435559 Long EC CORP HK N 2 N N N Suzuki Motor Corp. 353800D83H0V3ZV1SV24 Suzuki Motor Corp. NPV J78529138 30800 NS 351651.84 0.0537730359 Long EC CORP JP N 2 N N N Swire Pacific Ltd. 549300KZOZHII0DGF611 Swire Pacific Ltd. 'A' NPV Y83310105 7500 NS 61742.8 0.0094414345 Long EC CORP HK N 2 N N N TDK Corp. 3538005O8WNU39U8NX03 TDK Corp. NPV J82141136 7500 NS 368310 0.0563203277 Long EC CORP JP N 2 N N N Taisei Corp. 529900TF7XJKIOWMLQ79 Taisei Corp. NPV J79561148 3200 NS 116636.99 0.0178356099 Long EC CORP JP N 2 N N N Takeda Pharmaceutical Co Ltd. 549300ZLMVP4X0OGR454 Takeda Pharmaceutical Co Ltd. NPV J8129E108 30700 NS 853886.42 0.1305725150 Long EC CORP JP N 2 N N N Advantest Corp. 353800EMK32PDKS9XR54 Advantest Corp. NPV J00210104 14500 NS 644131.46 0.0984977190 Long EC CORP JP N 2 N N N Spark New Zealand Ltd. 529900HUN51H3Y7QBB66 Spark New Zealand Ltd. NPV Q8619N107 36488 NS 103875.87 0.0158842362 Long EC CORP NZ N 1 N N N Tobu Railway Co Ltd N/A Tobu Railway Co Ltd NPV J84162148 3000 NS 75014.56 0.0114708930 Long EC CORP JP N 2 N N N Tokyo Electric Power Company Holdings Inc. 5299004EMJ3R4RVR5Y75 Tokyo Electric Power Company Holdings Inc. NPV J86914108 32400 NS 196931.35 0.0301138665 Long EC CORP JP N 2 N N N Tokyo Gas Co Ltd 353800678EIJLOQSWZ83 Tokyo Gas Co Ltd NPV J87000113 7100 NS 161403.01 0.0246810307 Long EC CORP JP N 2 N N N Toyota Tsusho Corp. 549300CEE2ENIUJNXB84 Toyota Tsusho Corp. NPV J92719111 3800 NS 260949.28 0.0399032037 Long EC CORP JP N 2 N N N Holcim Ltd 529900EHPFPYHV6IQO98 Holcim Ltd CHF2 (REGD) H3816Q102 38613 NS 3498213.56 0.5349312645 Long EC CORP CH N 2 N N N Swiss Prime Site AG 506700XI9H64OPR34158 Swiss Prime Site AG CHF2.00 (REGD) H8403W107 1621 NS USD 152904.28 0.0233814427 Long EC CORP CH N 2 N N N Delivery Hero SE 529900C3EX1FZGE48X78 Delivery Hero SE NPV D1T0KZ103 3418 NS USD 97736.06 0.0149453638 Long EC CORP DE N 2 N N N Knorr-Bremse AG 5299001GRRO0Z25YZT52 Knorr-Bremse AG NPV D4S43E114 1546 NS 116931.69 0.0178806742 Long EC CORP DE N 2 N N N Tesco PLC 2138002P5RNKC5W2JZ46 Tesco PLC ORD GBP0.0633333 G8T67X102 533738 NS 1998424.73 0.3055902247 Long EC CORP GB N 2 N N N Hargreaves Lansdown PLC 2138008ZCE93ZDSESG90 Hargreaves Lansdown PLC ORD GBP0.004 G43940108 6886 NS USD 63891.88 0.0097700622 Long EC CORP GB N 2 N N N Vodafone Group PLC 213800TB53ELEUKM7Q61 Vodafone Group PLC ORD USD0.2095238 G93882192 423783 NS USD 375809.89 0.0574671775 Long EC CORP GB N 2 N N N SITC International Holdings Co Ltd. 529900JUV4MOM9CE3V12 SITC International Holdings Co Ltd. HKD0.10 G8187G105 30000 NS USD 54847.76 0.0083870756 Long EC CORP KY N 2 N N N Wix.com Limited 5493008P6N29Q1AG9464 Wix.com Limited COM ILS0.01 M98068105 1087 NS USD 149440.76 0.0228518166 Long EC CORP IL N 1 N N N Betsson AB (publ) 549300W61XW8OFGBG077 Betsson AB (publ) NPV B W1556U849 58700 NS 580824.44 0.0888170910 Long EC CORP SE N 2 N N N Recordati Industria Chimica e Farmaceutica S.p.A. 815600FBF92FD3531704 Recordati Industria Chimica e Farmaceutica S.p.A. EUR0.125 T78458139 2069 NS USD 114245.89 0.0174699736 Long EC CORP IT N 2 N N N Singapore Telecommunications Ltd. 2549003XJKIQO8YDYD89 Singapore Telecommunications Ltd. NPV (B/L 100) Y79985209 159300 NS 299375.95 0.0457792392 Long EC CORP SG N 2 N N N Capgemini SE 96950077L0TN7BAROX36 Capgemini SE EUR8 F4973Q101 2962 NS 681590.4 0.1042257736 Long EC CORP FR N 2 N N N Indra Sistemas S.A. 95980020140005308793 Indra Sistemas S.A. EUR0.20 SER 'A' E6271Z155 37200 NS 770957.42 0.1178913810 Long EC CORP ES N 2 N N N Bayer AG 549300J4U55H3WP1XT59 Bayer AG NPV (REGD) D0712D163 32996 NS 1010491.77 0.1545199088 Long EC CORP DE N 2 N N N Metsa Board Corporation 743700KKB8Q035K38488 Metsa Board Corporation ORD'B'NPV X5327R109 63600 NS 481827.09 0.0736788564 Long EC CORP FI N 2 N N N Stora Enso Oyj 7437000ZP669LKUTZ738 Stora Enso Oyj SER'R'NPV X8T9CM113 9915 NS 137878.85 0.0210838207 Long EC CORP FI N 2 N N N Henkel AG & Co. KGaA 549300VZCL1HTH4O4Y49 Henkel AG & Co. KGaA NON-VTG PRF NPV D3207M110 3082 NS 247719.79 0.0378802089 Long EP CORP DE N 2 N N N BASF SE 529900PM64WH8AF1E917 BASF SE NPV D06216317 17192 NS 982421.1 0.1502274668 Long EC CORP DE N 2 N N N Beiersdorf AG L47NHHI0Z9X22DV46U41 Beiersdorf AG NPV D08792109 1938 NS 282168.21 0.0431479081 Long EC CORP DE N 2 N N N Orange S.A. 969500MCOONR8990S771 Orange S.A. EUR4 F6866T100 101245 NS 1190646.57 0.1820683799 Long EC CORP FR N 2 N N N Allianz SE 529900K9B0N5BT694847 Allianz SE NPV(REGD)(VINKULIERT) D03080112 11092 NS 3324474.73 0.5083638950 Long EC CORP DE N 2 N N N Endesa SA 549300LHK07F2CHV4X31 Endesa SA EUR1.2 E41222113 5465 NS 101329.35 0.0154948337 Long EC CORP ES N 2 N N N Deutsche Lufthansa AG 529900PH63HYJ86ASW55 Deutsche Lufthansa AG ORD NPV (REGD)(VINK) D1908N106 12216 NS 96009.68 0.0146813734 Long EC CORP DE N 2 N N N Munich Reinsurance AG 529900MUF4C20K50JS49 Munich Reinsurance AG NPV(REGD) D55535104 2601 NS 1269658.42 0.1941505207 Long EC CORP DE N 2 N N N Volkswagen Aktiengesellschaft 529900NNUPAGGOMPXZ31 Volkswagen Aktiengesellschaft NON VTG PRF NPV D94523103 13230 NS 1754621.84 0.2683089707 Long EP CORP DE N 2 N N N Banco Bilbao Vizcaya Argentaria, S.A. K8MS7FD7N5Z2WQ51AZ71 Banco Bilbao Vizcaya Argentaria, S.A. EUR0.49 E11805103 252111 NS 3002273.19 0.4590942681 Long EC CORP ES N 2 N N N Kering S.A. 549300VGEJKB7SVUZR78 Kering S.A. EUR4 F5433L103 1389 NS 550161.63 0.0841282704 Long EC CORP FR N 2 N N N Ajinomoto Co 353800UT0TLROREPIC92 Ajinomoto Co NPV J00882126 9000 NS 336092.51 0.0513937724 Long EC CORP JP N 2 N N N Ana Holdings Inc. 5493008IRKIY0G3TE305 ANA HOLDINGS INC J0156Q112 3100 NS 64787.7 0.0099070470 Long EC CORP JP N 2 N N N Asahi Group Holdings Ltd 353800KAJ02XNHLCJW79 Asahi Group Holdings Ltd NPV J02100113 9300 NS 341494.76 0.0522198604 Long EC CORP JP N 2 N N N Asahi Kasei Corp. 353800GPI4Z3MGDGN142 Asahi Kasei Corp. NPV J0242P110 24200 NS 177465.38 0.0271372169 Long EC CORP JP N 2 N N N Bank Hapoalim BM B6ARUI4946ST4S7WOU88 Bank Hapoalim BM ILS1 M1586M115 24417 NS 228822.54 0.0349905255 Long EC CORP IL N 2 N N N East Japan Railway Co. 353800SENYJ2DSM6PS44 East Japan Railway Co. NPV J1257M109 18000 NS 345332.47 0.0528067060 Long EC CORP JP N 2 N N N Nippon Steel Corp. 35380065QWQ4U2V3PA33 NIPPON STEEL CORP J55678106 16300 NS 392251.02 0.0599812820 Long EC CORP JP N 2 N N N Nissan Motor Co Ltd. 353800DRBDH1LUTNAY26 NISSAN MOTOR CO LTD J57160129 49200 NS 194954.08 0.0298115111 Long EC CORP JP N 2 N N N Nomura Holdings Inc. 549300B3CEAHYG7K8164 Nomura Holdings Inc. NPV J58646100 56800 NS 363549.57 0.0555923839 Long EC CORP JP N 2 N N N Nippon Yusen Kabushiki Kaisha 353800YPW4XM0ZN5I149 NIPPON YUSEN KK J56515232 9300 NS 255323.05 0.0390428656 Long EC CORP JP N 2 N N N Oriental Land Co Ltd. 353800PIFKBZ6KTU5994 Oriental Land Co Ltd. NPV J6174U100 21200 NS 679157.15 0.1038536918 Long EC CORP JP N 2 N N N Odakyu Electric Railway Co Ltd N/A ODAKYU ELECTRIC RAILWAY CO LTD J59568139 6500 NS 89601.44 0.0137014538 Long EC CORP JP N 2 N N N Obayashi Corp. 529900YT4O5S0LCXWD54 Obayashi Corp. NPV J59826107 11500 NS 136740.01 0.0209096744 Long EC CORP JP N 2 N N N Omron Tateisi Electronics Co 549300ZHW0TR2QZ0NY83 Omron Tateisi Electronics Co NPV J61374120 3400 NS 121743.91 0.0186165374 Long EC CORP JP N 2 N N N ONO Pharmaceutical Co Ltd 529900G26L4NG4GFJZ86 ONO PHARMACEUTICAL CO LTD J61546115 61100 NS 1001120.3 0.1530868653 Long EC CORP JP N 2 N N N ORIX Corp. 35380016EMHNBOVYE123 ORIX Corp. NPV J61933123 76400 NS 1671001.68 0.2555221476 Long EC CORP JP N 2 N N N Osaka Gas Co Ltd 353800024KMNOPQRWZ02 Osaka Gas Co Ltd NPV J62320130 8400 NS 188966.34 0.0288958926 Long EC CORP JP N 2 N N N QBE Insurance Group Ltd. 549300D2FBW76FPUSG65 QBE Insurance Group Ltd. NPV Q78063114 28682 NS 339040.67 0.0518445919 Long EC CORP AU N 2 N N N Ricoh Co Ltd. 549300HFIB2GRUMDID72 RICOH CO LTD J64683105 84300 NS 748996.85 0.1145332683 Long EC CORP JP N 2 N N N ROHM Co Ltd. 5493009V2FGDEP7JFE59 ROHM CO LTD J65328122 5400 NS 86609.47 0.0132439351 Long EC CORP JP N 2 N N N SMC Corp. 353800O40V08DOZ70X62 SMC Corp. NPV J75734103 1000 NS 564160.2 0.0862688695 Long EC CORP JP N 2 N N N Santos Ltd. 5299000RK70B5O2M7077 Santos Ltd. NPV Q82869118 63736 NS 322688.5 0.0493440907 Long EC CORP AU N 2 N N N Secom Co Ltd 529900TYCL9N3E9PGE47 Secom Co Ltd NPV J69972107 4200 NS 304722.6 0.0465968252 Long EC CORP JP N 2 N N N Tokyo Electron Ltd. 549300H5LSF8DP3RIJ34 Tokyo Electron Ltd. NPV J86957115 8900 NS 2317997.5 0.3544578718 Long EC CORP JP N 2 N N N Tokyu Corp 3538005PGNIBTZYXAE45 TOKYU CORP J88720149 10400 NS 126639.27 0.0193651141 Long EC CORP JP N 2 N N N TOPPAN Holdings Inc 3538003H9W4KIDODQY20 TOPPAN Holdings Inc NPV 890747108 4700 NS 117814.9 0.0180157307 Long EC CORP JP N 2 N N N Toray Industries Inc. 35380099TCYR5FHT0A11 Toray Industries Inc. NPV J89494116 24400 NS 117165.35 0.0179164044 Long EC CORP JP N 2 N N N Toto Ltd N/A Toto Ltd NPV J90268103 2200 NS 61677.13 0.0094313925 Long EC CORP JP N 2 N N N Oracle Corp Japan 529900MIMKY9RU60Z323 Oracle Corp Japan NPV J6165M109 800 NS 60160.91 0.0091995389 Long EC CORP JP N 2 N N N Toyota Industries Corp. 35380000WKGEAHEMW830 Toyota Industries Corp. NPV J92628106 2600 NS 272040.83 0.0415992742 Long EC CORP JP N 2 N N N Toyota Motor Corp. 5493006W3QUS5LMH6R84 Toyota Motor Corp. NPV J92676113 202100 NS 5108071.12 0.7811035251 Long EC CORP JP N 2 N N N Mcdonald's Holding 529900FY9FV0AYNRC729 MCDONALD'S HOLDINGS CO JAPAN L J4261C109 1400 NS 62953.96 0.0096266397 Long EC CORP JP N 2 N N N Kaneka Corp. 529900FWWCF6RY313R16 Kaneka Corp. NPV J2975N106 22600 NS 562376.6 0.0859961293 Long EC CORP JP N 2 N N N United Overseas Bank Ltd. IO66REGK3RCBAMA8HR66 United Overseas Bank Ltd. NPV Y9T10P105 59900 NS 1302228.18 0.1991309436 Long EC CORP SG N 2 N N N Wesfarmers Ltd. 5493003L32ZX9557ST85 Wesfarmers Ltd. ORD NPV Q95870103 21630 NS 964151.87 0.1474338173 Long EC CORP AU N 2 N N N Woolworths Group Ltd. QNWEWQBS7HP85QHXQL92 Woolworths Group Ltd. NPV Q98418108 23658 NS 511391.1 0.0781996534 Long EC CORP AU N 2 N N N Yakult Honsha Co Ltd 353800YJPSPGG7KI0S71 YAKULT HONSHA CO LTD J95468120 4700 NS 96060.88 0.0146892027 Long EC CORP JP N 2 N N N Novartis AG 5493007HIVTX6SY6XD66 Novartis AG CHF0.49 (REGD) H5820Q150 89971 NS 8714450.7 1.3325750565 Long EC CORP CH N 2 N N N IDP Education Ltd. N/A IDP Education Ltd. NPV Q48215109 4461 NS USD 52073.62 0.0079628665 Long EC CORP AU N 2 N N N Astellas Pharma Inc. 529900IB708DY2HBBB35 ASTELLAS PHARMA INC J03393105 35500 NS 381367.5 0.0583170225 Long EC CORP JP N 2 N N N Yamato Kogyo Co Ltd. N/A Yamato Kogyo Co Ltd. NPV J96524111 9300 NS 529001.57 0.0808925681 Long EC CORP JP N 2 N N N Scentre Group Ltd. 529900TUCASM3W86E831 Scentre Group Ltd. NPV STAPLED UNIT Q8351E109 103337 NS USD 228221.72 0.0348986507 Long EC CORP AU N 2 N N N Seven Group Holdings Ltd. 254900DME8O9GCK94794 Seven Group Holdings Ltd. NPV Q84384108 2932 NS USD 77913.81 0.0119142334 Long EC CORP AU N 2 N N N Yamato Holdings Co Ltd. N/A Yamato Holdings Co Ltd. NPV J96612114 4400 NS 63327.09 0.0096836970 Long EC CORP JP N 2 N N N Yara International ASA 213800WKOUWXWFJ5Z514 Yara International ASA NOK1.7 R9900C106 16124 NS 511277.65 0.0781823051 Long EC CORP NO N 2 N N N Husqvarna AB 549300GYQIIJ3UXB7655 Husqvarna AB SER'B'NPV W4235G116 5015 NS USD 42913.38 0.0065621233 Long EC CORP SE N 2 N N N Smiths Group PLC 213800MJL6IPZS3ASA11 Smiths Group PLC ORD GBP0.375 G82401111 6291 NS USD 130363.15 0.0199345533 Long EC CORP GB N 2 N N N Altium Ltd. 5299003MG7UFQSIFH576 Altium Ltd. NPV Q0268D100 15000 NS 637156.94 0.0974312065 Long EC CORP AU N 2 N N N Pilbara Minerals Ltd. 5299000VV1CZVF5K9C16 PILBARA MINERALS LTD Q7539C100 51234 NS USD 127851.46 0.0195504768 Long EC CORP AU N 2 N N N 3i Group PLC 35GDVHRBMFE7NWATNM84 3i Group PLC ORD GBP0.738636 G88473148 64455 NS 2284590.72 0.3493494556 Long EC CORP GB N 2 N N N Swire Properties Ltd. 5299001L12PHYVQ92465 Swire Properties Ltd. NPV Y83191109 29200 NS USD 61420.06 0.0093920825 Long EC CORP HK N 2 N N N Idemitsu Kosan Co.,Ltd. 549300P0R46FF6DUA630 Idemitsu Kosan Co.,Ltd. NPV J2388K103 18000 NS USD 123410.53 0.0188713896 Long EC CORP JP N 2 N N N EMS-Chemie Holding AG 529900G1XFTGSE0DIX60 EMS-Chemie Holding AG CHF0.01 (REGD) H22206199 139 NS USD 106532.22 0.0162904334 Long EC CORP CH N 2 N N N Jardine Matheson Holdings Ltd. 2138009KENVUNWOLPK41 Jardine Matheson Holdings Ltd. USD0.25(SINGAPORE REG) G50736100 2800 NS USD 102564 0.0156836309 Long EC CORP BM N 1 N N N Keywords Studios PLC 2138007VR9ZYCWS7VE12 Keywords Studios PLC ORD GBP0.01 G5254U108 190000 NS 3119904.13 0.4770818684 Long EC CORP GB N 1 N N N Rational AG 529900K139N6UFJ1A758 Rational AG NPV D6349P107 98 NS USD 84436.7 0.0129116848 Long EC CORP DE N 2 N N N Aena SME S.A. 959800R7QMXKF0NFMT29 Aena SME S.A. EUR10 E526K0106 1366 NS USD 269039.41 0.0411403104 Long EC CORP ES N 2 N N N NatWest Group PLC 2138005O9XJIJN4JPN90 NatWest Group PLC ORD GBP1.0769 G6422B147 393153 NS 1316305.81 0.2012836321 Long EC CORP GB N 2 N N N Schroders PLC 2138001YYBULX5SZ2H24 Schroders PLC ORD GBP0.20 G78602144 18580 NS USD 88247.18 0.0134943664 Long EC CORP GB N 2 N N N Tietoevry Oyj 549300EW2KM4KROKQV31 Tietoevry Oyj NPV Y8T39G104 3800 NS 80410.21 0.0122959718 Long EC CORP FI N 2 N N N Iren SpA 8156001EBD33FD474E60 Iren SpA EUR1 T5551Y106 260400 NS 532718.61 0.0814609614 Long EC CORP IT N 2 N N N Okamura Corp N/A OKAMURA CORP J60514114 15400 NS 227005.6 0.0347126871 Long EC CORP JP N 2 N N N Kohnan Shoji Co Ltd N/A Kohnan Shoji Co Ltd NPV J3479K101 3400 NS 98059.03 0.0149947509 Long EC CORP JP N 2 N N N Moncler S.p.A. 815600EBD7FB00525B20 Moncler S.p.A. NPV T6730E110 3937 NS USD 293782.82 0.0449239627 Long EC CORP IT N 2 N N N Bellsystem24 Holdings Inc N/A Bellsystem24 Holdings Inc NPV J0428R104 29800 NS 309514.94 0.0473296485 Long EC CORP JP N 2 N N N Monotaro CoLtd N/A Monotaro CoLtd NPV J46583100 5700 NS USD 68610.63 0.0104916325 Long EC CORP JP N 2 N N N D/S Norden 529900RGXD3CBR3BRU63 D/S Norden DKK1 K19911146 16500 NS 674355.73 0.1031194800 Long EC CORP DK N 2 N N N Japan Post Holdings Co Ltd. 5299003D9N4JBS256X18 Japan Post Holdings Co Ltd. NPV J2800D109 174500 NS 1758109.76 0.2688423279 Long EC CORP JP N 2 N N N AerCap Holdings N.V. 549300SZYINBBLJQU475 AerCap Holdings N.V. EUR0.01 N00985106 3835 NS USD 333299.85 0.0509667312 Long EC CORP IE N 1 N N N Davide Campari-Milano N.V. 213800ED5AN2J56N6Z02 Davide Campari-Milano N.V. EUR0.01 N24565108 12178 NS USD 122388.98 0.0187151787 Long EC CORP NL N 2 N N N Meridian Energy Ltd. 254900IFKXIGNCY3A092 Meridian Energy Ltd. NPV Q5997E121 20561 NS USD 72599.45 0.0111015851 Long EC CORP NZ N 1 N N N Endeavour Group Ltd. 254900JAN9FOLMWAD533 Endeavour Group Ltd. NPV Q3482R103 30748 NS USD 110398.28 0.0168816141 Long EC CORP AU N 2 N N N Atlas Copco AB 213800T8PC8Q4FYJZR07 Atlas Copco AB SER'A'NPV W1R924252 51280 NS USD 866045.11 0.1324317678 Long EC CORP SE N 2 N N N Television Francaise 1 SA 969500WQFC6OAQYG7E65 TELEVISION FRANCAISE 1 SA F91255103 32700 NS 298693.7 0.0456749126 Long EC CORP FR N 2 N N N Seatrium Ltd. 254900MQNHWMN6X1NV39 SEATRIUM LTD Y8231K102 624189 NS 36480.1 0.0055783747 Long EC CORP SG N 2 N N N Daikin Industries Ltd. 549300Y7FWSTSHMW5Y57 Daikin Industries Ltd. NPV J10038115 5100 NS 696357.69 0.1064839219 Long EC CORP JP N 2 N N N Unicharm Corp. 353800UQ4BZIJTAQEG85 Unicharm Corp. NPV J94104114 8100 NS 257873.68 0.0394328966 Long EC CORP JP N 2 N N N Groupe Bruxelles Lambert SA 549300KV0ZEHT2KVU152 Groupe Bruxelles Lambert SA NPV B4746J115 1697 NS 128290.43 0.0196176022 Long EC CORP BE N 2 N N N Safran SA 969500UIC89GT3UL7L24 Safran SA EUR0.20 F4035A557 6515 NS USD 1475467.9 0.2256219913 Long EC CORP FR N 2 N N N Phoenix Group Holdings PLC 2138001P49OLAEU33T68 Phoenix Group Holdings PLC ORD GBP0.10 G7S8MZ109 15571 NS USD 108684.31 0.0166195215 Long EC CORP GB N 2 N N N Isracard Ltd N/A Isracard Ltd NPV M5R26V107 0.58 NS USD 2.36 0.0000003609 Long EC CORP IL N 2 N N N Sse PLC 549300KI75VYLLMSK856 Sse PLC GBP0.50 G8842P102 21246 NS 442801.85 0.0677112902 Long EC CORP GB N 2 N N N Lloyds Banking Group PLC 549300PPXHEU2JF0AM85 Lloyds Banking Group PLC ORD GBP0.1 G5533W248 2351918 NS 1537848.01 0.2351608804 Long EC CORP GB N 2 N N N AstraZeneca PLC PY6ZZQWO2IZFZC3IOL08 AstraZeneca PLC ORD USD0.25 G0593M107 29548 NS 3968842.26 0.6068977129 Long EC CORP GB N 2 N N N Bank Leumi Le-Israel BM 7JDSZWRGUQY2DSTWCR57 Bank Leumi Le-Israel BM ILS1 M16043107 28424 NS 236274.31 0.0361300170 Long EC CORP IL N 2 N N N Fisher & Paykel Healthcare Corp Ltd. N/A Fisher & Paykel Healthcare Corp Ltd. NPV Q38992105 11889 NS 182194.1 0.0278603117 Long EC CORP NZ N 1 N N N Dentsu Group Inc 5299007PBBE83ZLJZG91 Dentsu Group Inc NPV J1207N108 3800 NS 105513.62 0.0161346737 Long EC CORP JP N 2 N N N Makita Electric Works Ltd 529900CDR9E94BCM6294 Makita Electric Works Ltd NPV J39584107 4100 NS 116524.19 0.0178183611 Long EC CORP JP N 2 N N N Credit Saison Co Ltd. 529900SV58ZWTGRH3A66 Credit Saison Co Ltd. NPV J7007M109 34300 NS 707500.16 0.1081877789 Long EC CORP JP N 2 N N N Tokyo Steel Mfg Co Ltd N/A Tokyo Steel Mfg Co Ltd NPV J88204110 47300 NS 518664.29 0.0793118372 Long EC CORP JP N 2 N N N Mizrahi Tefahot Bank Limited YZO9YEGEO4VYDZMDWF93 Mizrahi Tefahot Bank Limited ILS0.01 M7031A135 3059 NS 114680.89 0.0175364918 Long EC CORP IL N 2 N N N Bunzl PLC 213800Q1Q9DV4L78UM09 Bunzl PLC ORD GBP0.32142857 G16968110 6259 NS USD 240752.01 0.0368147270 Long EC CORP GB N 2 N N N Rentokil Initial PLC 549300VN4WV7Z6T14K68 Rentokil Initial PLC ORD GBP0.01 G7494G105 50573 NS USD 300618.2 0.0459691986 Long EC CORP GB N 2 N N N Schindler Holding AG 5299007DRLI319H7Q933 Schindler Holding AG CHF0.10 (PTG CERT) H7258G209 831 NS 209177.86 0.0319865483 Long EP CORP CH N 2 N N N Caixabank S.A. 7CUNS533WID6K7DGFI87 CAIXABANK SA E2427M123 69033 NS 334989.13 0.0512250484 Long EC CORP ES N 2 N N N Edenred SA 9695006LOD5B2D7Y0N70 Edenred SA EUR2 F3192L109 4977 NS USD 265746.5 0.0406367733 Long EC CORP FR N 2 N N N Anheuser-Busch InBev N.V./S.A. 5493008H3828EMEXB082 ANHEUSER-BUSCH INBEV SA/NV B639CJ108 16557 NS USD 1007894.09 0.1541226831 Long EC CORP BE N 2 N N N DSM Firmenich AG 506700G44V67MPM4BI12 DSM Firmenich AG EUR0.01 H0245V108 23564 NS USD 2679990.63 0.4098122519 Long EC CORP CH N 2 N N N SGS SA 2138007JNS19JHNA2336 SGS SA CHF0.04 H63838116 2816 NS 273384.41 0.0418047285 Long EC CORP CH N 2 N N N HORNBACH Holding KGaA 529900EGQZ79V21LBL44 HORNBACH Holding KGaA NPV D33875119 2600 NS 208874.43 0.0319401492 Long EC CORP DE N 2 N N N Berkeley Group Holdings PLC 2138009OQSSLVVHQAL78 Berkeley Group Holdings PLC ORD GBP0.054141 G1191G138 2097 NS USD 125988.51 0.0192656028 Long EC CORP GB N 2 N N N Japan Post Bank Co Ltd. 5493006JVO6N2HC2XZ76 JAPAN POST BANK CO LTD J2800C101 26200 NS USD 281527.17 0.0430498832 Long EC CORP JP N 2 N N N JDE Peets N.V 724500EHG519SE5ZRT89 JDE Peets N.V EUR0.01 N44664105 2217 NS USD 46544.77 0.0071174193 Long EC CORP NL N 1 N N N Investor AB 549300VEBQPHRZBKUX38 Investor AB SER'B'NPV W5R777115 33194 NS 832981.1 0.1273757664 Long EC CORP SE N 2 N N N ICE FUTURES U.S. 5493004R83R1LVX2IL36 MSCI EAFE Index Futures - ICUS - Jun24 0002MFSM4 46 NC USD 31955 0.0048864165 Long DE CORP US N 1 GOLDMAN SACHS & CO FOR8UP27PHTHYVLBNG30 Long MSCI EMINI INDEX MSCI EMINI INDEX 2024-06-01 5421329.9999999995 USD 31857.48 N N N MELLON BANK N/A MELLON BANK 333333529 1 NC 6887.74 0.0010532426 Long DFE CORP N/A N 2 MELLON BANK N/A 6887.74 AUD 6887.74 USD 2024-04-12 2.622848040000463 N N N MELLON BANK N/A MELLON BANK 333333530 1 NC 15002.65 0.0022941385 Long DFE CORP N/A N 2 MELLON BANK N/A 15002.65 AUD 15002.65 USD 2024-04-18 -88.14989279690053 N N N MELLON BANK N/A MELLON BANK 333333531 1 NC 53391.12 0.0081643327 Long DFE CORP N/A N 2 MELLON BANK N/A 53391.12 GBP 53391.12 USD 2024-04-18 -428.1861565121071 N N N MELLON BANK N/A MELLON BANK 333333532 1 NC 1727.41 0.0002641479 Long DFE CORP N/A N 2 MELLON BANK N/A 1727.41 HKD 1727.41 USD 2024-04-26 -0.9722488000002159 N N N MELLON BANK N/A MELLON BANK 333333533 1 NC 15391.24 0.0023535600 Long DFE CORP N/A N 2 MELLON BANK N/A 15391.24 GBP 15391.24 USD 2024-04-29 -214.94855319999988 N N N MELLON BANK N/A MELLON BANK 333333534 1 NC 2934.12 0.0004486726 Long DFE CORP N/A N 2 MELLON BANK N/A 2934.12 GBP 2934.12 USD 2024-04-30 -40.9767611999996 N N N MELLON BANK N/A MELLON BANK 333333535 1 NC 32248.23 0.0049312560 Long DFE CORP N/A N 2 MELLON BANK N/A 32248.23 GBP 32248.23 USD 2024-05-02 -216.27014400010376 N N N MELLON BANK N/A MELLON BANK 333333536 1 NC 5438.2 0.0008315854 Long DFE CORP N/A N 2 MELLON BANK N/A 5438.2 GBP 5438.2 USD 2024-05-03 -75.94620159999977 N N N MELLON BANK N/A MELLON BANK 333333537 1 NC 6986.96 0.0010684149 Long DFE CORP N/A N 2 MELLON BANK N/A 6986.96 GBP 6986.96 USD 2024-05-09 0.1173609999987093 N N N MELLON BANK N/A MELLON BANK 333333538 1 NC 9314.48 0.0014243289 Long DFE CORP N/A N 2 MELLON BANK N/A 9314.48 EUR 9314.48 USD 2024-05-10 -55.60046239999792 N N N MELLON BANK N/A MELLON BANK 333333539 1 NC 4092.47 0.0006258023 Long DFE CORP N/A N 2 MELLON BANK N/A 4092.47 GBP 4092.47 USD 2024-05-10 0.07485979999000847 N N N MELLON BANK N/A MELLON BANK 333333540 1 NC 5765.03 0.0008815628 Long DFE CORP N/A N 2 MELLON BANK N/A 5765.03 GBP 5765.03 USD 2024-05-16 -80.46216290000848 N N N MELLON BANK N/A MELLON BANK 333333541 1 NC 20208.3499999999 0.0030901710 Long DFE CORP N/A N 2 MELLON BANK N/A 20208.3499999999 JPY 20208.3499999999 USD 2024-05-16 -237.0697 N N N MELLON BANK N/A MELLON BANK 333333542 1 NC 50285.58 0.0076894473 Long DFE CORP N/A N 2 MELLON BANK N/A 50285.58 JPY 50285.58 USD 2024-05-28 -4.637971766991541 N N N MELLON BANK N/A MELLON BANK 333333543 1 NC 3212.12 0.0004911831 Long DFE CORP N/A N 2 MELLON BANK N/A 3212.12 JPY 3212.12 USD 2024-05-29 -0.3267840320004325 N N N MELLON BANK N/A MELLON BANK 333333544 1 NC 11703.61 0.0017896640 Long DFE CORP N/A N 2 MELLON BANK N/A 11703.61 JPY 11703.61 USD 2024-05-31 -1.4188118710007984 N N N MELLON BANK N/A MELLON BANK 333333545 1 NC 41891.65 0.0064058849 Long DFE CORP N/A N 2 MELLON BANK N/A 41891.65 JPY 41891.65 USD 2024-05-31 -5.081233315911959 N N N MELLON BANK N/A MELLON BANK 333333546 1 NC 31432.91 0.0048065808 Long DFE CORP N/A N 2 MELLON BANK N/A 31432.91 JPY 31432.91 USD 2024-06-05 -5.310452168596385 N N N MELLON BANK N/A MELLON BANK 333333547 1 NC 47353.8799999999 0.0072411448 Long DFE CORP N/A N 2 MELLON BANK N/A 47353.8799999999 JPY 47353.8799999999 USD 2024-06-06 -8.472991465008818 N N N MELLON BANK N/A MELLON BANK 333333548 1 NC 2673.59 0.0004088335 Long DFE CORP N/A N 2 MELLON BANK N/A 2673.59 JPY 2673.59 USD 2024-06-07 -0.5090146120001009 N N N MELLON BANK N/A MELLON BANK 333333549 1 NC 8091.46 0.0012373101 Long DFE CORP N/A N 2 MELLON BANK N/A 8091.46 JPY 8091.46 USD 2024-06-10 -1.800068802000169 N N N MELLON BANK N/A MELLON BANK 333333550 1 NC 3036.82 0.0004643770 Long DFE CORP N/A N 2 MELLON BANK N/A 3036.82 JPY 3036.82 USD 2024-06-17 -51.80350224999984 N N N MELLON BANK N/A MELLON BANK 333333551 1 NC 10378.75 0.0015870723 Long DFE CORP N/A N 2 MELLON BANK N/A 10378.75 JPY 10378.75 USD 2024-06-20 -3.0014403610002773 N N N CITIGROUP GLOBAL MARKETS N/A CITIGROUP GLOBAL MARKETS 333333505 1 NC 2694.45 0.0004120233 Long DFE CORP N/A N 2 CITIGROUP GLOBAL MARKETS N/A 2694.45 SEK 2694.45 USD 2024-04-02 -44.25307288049953 N N N CITIGROUP GLOBAL MARKETS N/A CITIGROUP GLOBAL MARKETS 333333506 1 NC 27170.82 0.0041548410 Long DFE CORP N/A N 2 CITIGROUP GLOBAL MARKETS N/A 27170.82 EUR 27170.82 USD 2024-04-03 -179.4788972919996 N N N CITIGROUP GLOBAL MARKETS N/A CITIGROUP GLOBAL MARKETS 333333507 1 NC 52550.68 0.0080358163 Long DFE CORP N/A N 2 CITIGROUP GLOBAL MARKETS N/A 52550.68 EUR 52550.68 USD 2024-04-03 -453.17242003600404 N N N CITIGROUP GLOBAL MARKETS N/A CITIGROUP GLOBAL MARKETS 333333508 1 NC 2971.06 0.0004543213 Long DFE CORP N/A N 2 CITIGROUP GLOBAL MARKETS N/A 2971.06 NZD 2971.06 USD 2024-04-05 -29.253979225869443 N N N CITIGROUP GLOBAL MARKETS N/A CITIGROUP GLOBAL MARKETS 333333509 1 NC 5793.62 0.0008859346 Long DFE CORP N/A N 2 CITIGROUP GLOBAL MARKETS N/A 5793.62 AUD 5793.62 USD 2024-04-11 -22.018061186139676 N N N CITIGROUP GLOBAL MARKETS N/A CITIGROUP GLOBAL MARKETS 333333510 1 NC 3401.55 0.0005201499 Long DFE CORP N/A N 2 CITIGROUP GLOBAL MARKETS N/A 3401.55 AUD 3401.55 USD 2024-04-11 -41.84406001279967 N N N CITIGROUP GLOBAL MARKETS N/A CITIGROUP GLOBAL MARKETS 333333511 1 NC 15126.66 0.0023131016 Long DFE CORP N/A N 2 CITIGROUP GLOBAL MARKETS N/A 15126.66 GBP 15126.66 USD 2024-04-11 -4.254253850202076 N N N CITIGROUP GLOBAL MARKETS N/A CITIGROUP GLOBAL MARKETS 333333512 1 NC 109414.96 0.0167312492 Long DFE CORP N/A N 2 CITIGROUP GLOBAL MARKETS N/A 109414.96 GBP 109414.96 USD 2024-04-25 -2123.7316693340254 N N N CITIGROUP GLOBAL MARKETS N/A CITIGROUP GLOBAL MARKETS 333333513 1 NC 3402.58 0.0005203074 Long DFE CORP N/A N 2 CITIGROUP GLOBAL MARKETS N/A 3402.58 JPY 3402.58 USD 2024-04-26 -108.43164860499928 N N N CITIGROUP GLOBAL MARKETS N/A CITIGROUP GLOBAL MARKETS 333333514 1 NC 3018.42 0.0004615634 Long DFE CORP N/A N 2 CITIGROUP GLOBAL MARKETS N/A 3018.42 JPY 3018.42 USD 2024-05-13 -32.21532448000016 N N N CITIGROUP GLOBAL MARKETS N/A CITIGROUP GLOBAL MARKETS 333333515 1 NC 6310.74 0.0009650103 Long DFE CORP N/A N 2 CITIGROUP GLOBAL MARKETS N/A 6310.74 JPY 6310.74 USD 2024-05-28 -66.09000508600002 N N N MELLON BANK N/A MELLON BANK 333333516 1 NC 24870.04 0.0038030159 Long DFE CORP N/A N 2 MELLON BANK N/A 24870.04 EUR 24870.04 USD 2024-04-03 -56.30759458000102 N N N MELLON BANK N/A MELLON BANK 333333517 1 NC 18313.5 0.0028004190 Long DFE CORP N/A N 2 MELLON BANK N/A 18313.5 GBP 18313.5 USD 2024-04-03 -46.114446801599115 N N N MELLON BANK N/A MELLON BANK 333333518 1 NC 6902.6 0.0010555149 Long DFE CORP N/A N 2 MELLON BANK N/A 6902.6 CHF 6902.6 USD 2024-04-03 43.31150277598863 N N N MELLON BANK N/A MELLON BANK 333333519 1 NC 3904.51 0.0005970603 Long DFE CORP N/A N 2 MELLON BANK N/A 3904.51 EUR 3904.51 USD 2024-04-04 -8.84214610500021 N N N MELLON BANK N/A MELLON BANK 333333520 1 NC 23533.4 0.0035986229 Long DFE CORP N/A N 2 MELLON BANK N/A 23533.4 SEK 23533.4 USD 2024-04-04 -268.37225165560085 N N N MELLON BANK N/A MELLON BANK 333333521 1 NC 713.7 0.0001091358 Long DFE CORP N/A N 2 MELLON BANK N/A 713.7 ILS 713.7 USD 2024-04-04 -6.655209083533009 N N N MELLON BANK N/A MELLON BANK 333333522 1 NC 4620.62 0.0007065647 Long DFE CORP N/A N 2 MELLON BANK N/A 4620.62 EUR 4620.62 USD 2024-04-05 -20.108813351000208 N N N MELLON BANK N/A MELLON BANK 333333523 1 NC 2309.89 0.0003532181 Long DFE CORP N/A N 2 MELLON BANK N/A 2309.89 NOK 2309.89 USD 2024-04-05 -39.93832667733932 N N N MELLON BANK N/A MELLON BANK 333333524 1 NC 50631.8799999999 0.0077424020 Long DFE CORP N/A N 2 MELLON BANK N/A 50631.8799999999 SEK 50631.8799999999 USD 2024-04-05 -392.2702021180012 N N N MELLON BANK N/A MELLON BANK 333333525 1 NC 4157.33 0.0006357204 Long DFE CORP N/A N 2 MELLON BANK N/A 4157.33 EUR 4157.33 USD 2024-04-09 -9.458519009000156 N N N MELLON BANK N/A MELLON BANK 333333526 1 NC 175507.459999999 0.0268378205 Long DFE CORP N/A N 2 MELLON BANK N/A 175507.459999999 CHF 175507.459999999 USD 2024-04-10 -11163.476225599996 N N N MELLON BANK N/A MELLON BANK 333333527 1 NC 4391.45 0.0006715210 Long DFE CORP N/A N 2 MELLON BANK N/A 4391.45 AUD 4391.45 USD 2024-04-11 11.23799353385948 N N N MELLON BANK N/A MELLON BANK 333333528 1 NC 1392.92 0.0002129991 Long DFE CORP N/A N 2 MELLON BANK N/A 1392.92 ILS 1392.92 USD 2024-04-11 -2.3973177426701113 N N N MELLON BANK N/A MELLON BANK 333333552 1 NC 13500.25 0.0020643982 Long DFE CORP N/A N 2 MELLON BANK N/A 13500.25 JPY 13500.25 USD 2024-06-21 -3.965796194097493 N N N MELLON BANK N/A MELLON BANK 333333553 1 NC 64592.5 0.0098771979 Long DFE CORP N/A N 2 MELLON BANK N/A 64592.5 JPY 64592.5 USD 2024-06-24 -19.889167329500197 N N N MELLON BANK N/A MELLON BANK 333333554 1 NC 77448.1699999999 0.0118430298 Long DFE CORP N/A N 2 MELLON BANK N/A 77448.1699999999 JPY 77448.1699999999 USD 2024-06-26 -24.640272482007276 N N N MELLON BANK N/A MELLON BANK 333333555 1 NC 32689.83 0.0049987835 Long DFE CORP N/A N 2 MELLON BANK N/A 32689.83 JPY 32689.83 USD 2024-06-27 -10.283502357298858 N N N MELLON BANK N/A MELLON BANK 333333556 1 NC 28167 0.0043071724 Long DFE CORP N/A N 2 MELLON BANK N/A 28167 JPY 28167 USD 2024-06-28 -8.69100570930459 N N N MELLON BANK N/A MELLON BANK 333333557 1 NC 134437.109999999 0.0205575252 Long DFE CORP N/A N 2 MELLON BANK N/A 134437.109999999 JPY 134437.109999999 USD 2024-07-01 -50.92133439099416 N N N MELLON BANK N/A MELLON BANK 333333558 1 NC 3351.3 0.0005124659 Long DFE CORP N/A N 2 MELLON BANK N/A 3351.3 JPY 3351.3 USD 2024-07-19 -0.9489228183401792 N N N 2024-04-30 EMPOWER FUNDS, INC. /s/Kelly New Kelly New Treasurer, Empower Funds, Inc. XXXX NPORT-EX 2 edgar.htm NPORTEX
EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
ASSET-BACKED SECURITIES
Non-Agency — 9.04%
  Aaset Trust(b)  
  Series 2021-1A Class A  
$       576,965 2.95%, 11/16/2041   $      523,077
  Series 2021-2A Class A  
        805,237 2.80%, 01/15/2047          704,961
  Affirm Asset Securitization Trust(b)  
  Series 2023-B Class A  
850,000 6.82%, 09/15/2028   862,666
  Series 2024-A Class B  
660,000 5.93%, 02/15/2029   658,297
1,325,000 Aimco Ltd(b)(c)
Series 2020-12A Class AR
6.49%, 01/17/2032
3-mo. SOFR + 1.17%
1,325,124
  American Credit Acceptance Receivables Trust(b)  
  Series 2020-4 Class D  
66,770 1.77%, 12/14/2026   66,661
  Series 2021-3 Class D  
730,000 1.34%, 11/15/2027   711,063
  Series 2021-4A Class D  
1,240,000 1.82%, 02/14/2028   1,207,377
  Series 2022-1 Class D  
400,000 2.46%, 03/13/2028   388,849
  Series 2022-4 Class C  
245,000 7.86%, 02/15/2029   247,335
  Series 2023-3 Class C  
1,170,000 6.44%, 10/12/2029   1,180,604
  Series 2023-4 Class D  
900,000 7.65%, 09/12/2030   918,272
  AmeriCredit Automobile Receivables Trust  
  Series 2019-3 Class D  
4,067 2.58%, 09/18/2025   4,061
  Series 2020-1 Class D  
20,000 1.80%, 12/18/2025   19,765
  Series 2020-2 Class D  
350,000 2.13%, 03/18/2026   341,792
  Series 2020-3 Class D  
120,000 1.49%, 09/18/2026   114,850
  Series 2023-2 Class C  
1,500,000 6.00%, 07/18/2029   1,523,669
3,400,000 Apidos XXXVII(b)(c)
Series 2021-37A Class B
7.18%, 10/22/2034
3-mo. SOFR + 1.86%
3,399,973
1,635,000 Applebee's Funding LLC / IHOP Funding LLC(b)
Series 2023-1A Class A2
7.82%, 03/05/2053  
1,690,281
  Aqua Finance Trust(b)  
  Series 2019-A Class C  
307,796 4.01%, 07/16/2040   279,170
  Series 2021-A Class B  
210,000 2.40%, 07/17/2046   173,246
Principal Amount(a)   Fair Value
Non-Agency — (continued)
$     3,850,000 Ares LXII Ltd(b)(c)
Series 2021-62A Class B
7.23%, 01/25/2034
3-mo. SOFR + 1.91%
$    3,850,035
  Avis Budget Rental Car Funding AESOP LLC(b)  
  Series 2020-1A Class C  
      1,795,000 3.02%, 08/20/2026       1,727,837
  Series 2020-2A Class A  
        925,000 2.02%, 02/20/2027          872,992
  Series 2020-2A Class C  
110,000 4.25%, 02/20/2027   106,372
  Series 2021-1A Class C  
105,000 2.13%, 08/20/2027   96,349
  Series 2021-2A Class C  
450,000 2.35%, 02/20/2028   406,742
  Series 2023-8A Class C  
275,000 7.34%, 02/20/2030   287,660
  Series 2024-1A Class C  
150,000 6.48%, 06/20/2030   152,586
  BHG Securitization Trust(b)  
  Series 2022-A Class B  
1,585,000 2.70%, 02/20/2035   1,479,641
  Series 2023-B Class B  
780,000 7.45%, 12/17/2036   801,639
  Series 2024-1CON Class B  
385,000 6.49%, 04/17/2035   385,028
  Series 2024-1CON Class C  
105,000 6.86%, 04/17/2035   105,013
2,900,000 BlueMountain XXXIII Ltd(b)(c)
Series 2021-33A Class B
7.28%, 11/20/2034
3-mo. SOFR + 1.96%
2,902,885
2,035,000 Bridgecrest Lending Auto Securitization Trust
Series 2023-1 Class D
7.84%, 08/15/2029  
2,139,311
54,610 Business Jet Securities LLC(b)
Series 2021-1A Class B
2.92%, 04/15/2036  
50,646
425,012 CAL Funding IV Ltd(b)
Series 2020-1A Class A
2.22%, 09/25/2045  
384,687
2,000,000 Carlyle Global Market Strategies Ltd(b)(c)
Series 2021-3SA Class A2
7.08%, 04/15/2034
3-mo. SOFR + 1.76%
2,000,044
  CarMax Auto Owner Trust  
  Series 2020-2 Class C  
15,000 4.23%, 11/17/2025   14,969
  Series 2020-3 Class D  
5,000 2.53%, 01/15/2027   4,946
  Series 2020-4 Class D  
1,830,000 1.75%, 04/15/2027   1,774,846
  Series 2021-1 Class D  
500,000 1.28%, 07/15/2027   477,338
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
Non-Agency — (continued)
  Series 2022-1 Class D  
$       300,000 2.47%, 07/17/2028   $      280,292
  Series 2023-4 Class D  
        300,000 7.16%, 04/15/2030          308,611
  Series 2024-1 Class D  
        100,000 6.00%, 07/15/2030          100,160
  Carvana Auto Receivables Trust  
  Series 2021-N3 Class C  
110,420 1.02%, 06/12/2028   103,499
  Series 2021-N4 Class C  
65,094 1.72%, 09/11/2028   61,678
  Series 2021-N4 Class D  
486,705 2.30%, 09/11/2028   471,162
  Series 2021-P3 Class C  
765,000 1.93%, 10/12/2027   689,886
  Series 2021-P4 Class C  
325,000 2.33%, 02/10/2028   293,414
  Series 2023-N1 Class D  
2,430,000 6.69%, 07/10/2029(b)   2,451,887
  Series 2023-N4 Class D  
200,000 7.22%, 02/11/2030(b)   206,266
641,918 Castlelake Aircraft Securitization Trust(b)
Series 2018-1 Class B
5.30%, 06/15/2043  
494,277
282,378 Castlelake Aircraft Structured Trust(b)
Series 2019-1A Class A
3.97%, 04/15/2039  
254,171
1,246,804 CCG Receivables Trust(b)
Series 2023-1 Class A2
5.82%, 09/16/2030  
1,250,963
444,948 CLI Funding VIII LLC(b)
Series 2021-1A Class A
1.64%, 02/18/2046  
394,682
  College Ave Student Loans LLC(b)  
  Series 2021-A Class C  
366,173 2.92%, 07/25/2051   326,623
  Series 2023-B Class C  
340,000 7.58%, 06/25/2054   345,594
30,484 Commonbond Student Loan Trust(b)
Series 2020-1 Class A
1.69%, 10/25/2051  
26,919
  CoreVest American Finance Trust(b)  
  Series 2020-2 Class C  
590,000 4.60%, 05/15/2052(d)   553,025
  Series 2021-1 Class C  
155,000 2.80%, 04/15/2053   128,010
  Series 2021-2 Class C  
320,000 2.48%, 07/15/2054   259,654
  Series 2021-3 Class D  
220,000 3.47%, 10/15/2054   184,027
  Credit Acceptance Auto Loan Trust(b)  
  Series 2021-2A Class C  
400,000 1.64%, 06/17/2030   395,024
Principal Amount(a)   Fair Value
Non-Agency — (continued)
  Series 2021-3A Class C  
$       250,000 1.63%, 09/16/2030   $      243,196
  Series 2021-4 Class C  
      2,453,000 1.94%, 02/18/2031       2,337,233
  Series 2024-1A Class C  
        325,000 6.71%, 07/17/2034          326,559
  Domino's Pizza Master Issuer LLC(b)  
  Series 2017-1A Class A23  
186,120 4.12%, 07/25/2047   178,150
  Series 2018-1A Class A2II  
379,000 4.33%, 07/25/2048   365,331
  Drive Auto Receivables Trust  
  Series 2021-1 Class D  
500,000 1.45%, 01/16/2029   484,430
  Series 2021-2 Class D  
1,800,000 1.39%, 03/15/2029   1,723,131
  DT Auto Owner Trust(b)  
  Series 2019-4A Class D  
149 2.85%, 07/15/2025   149
  Series 2021-1A Class D  
970,000 1.16%, 11/16/2026   934,948
  Series 2021-2A Class D  
2,750,000 1.50%, 02/16/2027   2,640,202
  Series 2021-3A Class D  
1,515,000 1.31%, 05/17/2027   1,425,663
  Series 2021-4A Class D  
790,000 1.99%, 09/15/2027   741,153
  Series 2022-1A Class D  
1,470,000 3.40%, 12/15/2027   1,419,989
  Series 2023-3A Class B  
1,990,000 6.07%, 03/15/2028   2,000,044
  Series 2023-3A Class D  
845,000 7.12%, 05/15/2029   865,319
46,143 Elara HGV Timeshare Issuer LLC(b)
Series 2021-A Class C
2.09%, 08/27/2035  
42,514
69,562 ELFI Graduate Loan Program LLC(b)(d)
Series 2021-A Class B
2.09%, 12/26/2046  
57,293
654,000 EverBright Solar Trust(b)
Series 2024-A Class A
6.43%, 06/22/2054  
648,245
  Exeter Automobile Receivables Trust  
  Series 2019-4A Class D  
3,326 2.58%, 09/15/2025(b)   3,307
  Series 2021-1A Class D  
374,846 1.08%, 11/16/2026   365,544
  Series 2021-3A Class D  
3,705,000 1.55%, 06/15/2027   3,495,198
  Series 2022-2A Class D  
200,000 4.56%, 07/17/2028   195,252
  Series 2022-6A Class C  
330,000 6.32%, 05/15/2028   331,937
  Series 2023-2A Class D  
680,000 6.32%, 08/15/2029   684,017
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
Non-Agency — (continued)
  Series 2023-3A Class D  
$       340,000 6.68%, 04/16/2029   $      345,197
  Series 2023-5A Class D  
      1,320,000 7.13%, 02/15/2030       1,370,974
  First Investors Auto Owner Trust(b)  
  Series 2021-1A Class D  
        415,000 1.62%, 03/15/2027          400,349
  Series 2022-1A Class D  
400,000 3.79%, 06/15/2028   382,488
  Series 2022-2A Class D  
420,000 8.71%, 10/16/2028   440,695
  FirstKey Homes Trust(b)  
  Series 2020-SFR2 Class F1  
1,015,000 3.02%, 10/19/2037   960,467
  Series 2021-SFR1 Class E1  
535,000 2.39%, 08/17/2038   484,368
  Series 2021-SFR2 Class E1  
360,000 2.26%, 09/17/2038   323,488
  Series 2021-SFR2 Class E2  
225,000 2.36%, 09/17/2038   202,012
  Series 2022-SFR2 Class D  
635,000 4.50%, 07/17/2039   601,615
  Flagship Credit Auto Trust(b)  
  Series 2019-3 Class D  
38,812 2.86%, 12/15/2025   38,481
  Series 2019-4 Class D  
7,116 3.12%, 01/15/2026   7,029
  Series 2020-1 Class D  
12,902 2.48%, 03/16/2026   12,670
  Series 2020-4 Class D  
190,000 2.18%, 02/16/2027   180,178
  Series 2021-1 Class D  
255,000 1.27%, 03/15/2027   238,703
  Series 2021-2 Class D  
310,000 1.59%, 06/15/2027   283,902
  Series 2021-3 Class D  
475,000 1.65%, 09/15/2027   434,441
498,750 FOCUS Brands Funding(b)
Series 2023-2 Class A2
8.24%, 10/30/2053  
529,445
450,000 Ford Credit Auto Lease Trust
Series 2023-B Class D
6.97%, 06/15/2028  
460,797
255,000 Foundation Finance Trust(b)
Series 2023-2A Class B
6.97%, 06/15/2049  
260,885
  Foursight Capital Automobile Receivables Trust(b)  
  Series 2021-1 Class D  
530,000 1.32%, 03/15/2027   522,124
  Series 2021-2 Class D  
360,000 1.92%, 09/15/2027   340,481
Principal Amount(a)   Fair Value
Non-Agency — (continued)
  Freedom Financial Trust(b)  
  Series 2021-2 Class C  
$        20,907 1.94%, 06/19/2028   $       20,792
  Series 2021-3FP Class D  
        458,352 2.37%, 11/20/2028          448,621
  Series 2022-1FP Class D  
        410,000 3.35%, 03/19/2029          394,383
3,315,000 Frontier Issuer LLC(b)
Series 2023-1 Class A2
6.60%, 08/20/2053  
3,348,035
  GLS Auto Receivables Issuer Trust(b)  
  Series 2020-1A Class C  
138 2.72%, 11/17/2025   138
  Series 2021-1A Class D  
1,159,790 1.68%, 01/15/2027   1,129,514
  Series 2021-2A Class D  
545,000 1.42%, 04/15/2027   520,677
  Series 2021-3A Class D  
785,000 1.48%, 07/15/2027   744,045
  Series 2021-4A Class D  
1,790,000 2.48%, 10/15/2027   1,693,215
  Series 2023-2A Class D  
520,000 6.31%, 03/15/2029   524,439
  Series 2023-4A Class D  
595,000 7.18%, 08/15/2029   616,159
  Series 2024-1A Class D  
400,000 5.95%, 12/17/2029   399,040
50,000 GLS Auto Select Receivables Trust(b)
Series 2024-1A Class D
6.43%, 01/15/2031  
50,657
278 GM Financial Consumer Automobile Receivables Trust
Series 2020-4 Class A3
0.38%, 08/18/2025  
277
  Hardee's Funding LLC(b)  
  Series 2021-1A Class A2  
291,750 2.87%, 06/20/2051   247,842
  Series 2024-1A Class A2  
320,000 7.25%, 03/20/2054   324,720
  Hertz Vehicle Financing III LLC(b)  
  Series 2022-1A Class D  
1,704,000 4.85%, 06/25/2026   1,654,278
  Series 2023-1A Class D2  
420,000 9.13%, 06/25/2027   426,183
  Hertz Vehicle Financing LLC(b)  
  Series 2022-2A Class D  
1,355,000 5.16%, 06/26/2028   1,244,090
  Series 2022-4A Class D  
900,000 6.56%, 09/25/2026   881,550
183,000 HIN Timeshare Trust(b)
Series 2024-A Class A
5.49%, 03/15/2043  
183,644
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
Non-Agency — (continued)
  Home Partners of America Trust(b)  
  Series 2021-1 Class E  
$        85,108 2.58%, 09/17/2041   $       67,964
  Series 2021-2 Class E1  
      1,269,100 2.85%, 12/17/2026       1,138,511
  Series 2021-2 Class E2  
        610,514 2.95%, 12/17/2026          545,781
  HPEFS Equipment Trust(b)  
  Series 2022-1A Class D  
420,000 2.40%, 11/20/2029   403,347
  Series 2023-2A Class D  
255,000 6.97%, 07/21/2031   259,484
6,800,000 HPS Loan Management Ltd(b)(c)
Series 15A-19 Class A1R
6.64%, 01/22/2035
3-mo. SOFR + 1.32%
6,797,083
485,000 Jack in the Box Funding LLC(b)
Series 2019-1A Class A2II
4.48%, 08/25/2049  
465,607
1,375,079 JOL Air Ltd(b)
Series 2019-1 Class A
3.97%, 04/15/2044  
1,258,445
  JPMorgan Chase Bank NA(b)  
  Series 2021-1 Class D  
16,124 1.17%, 09/25/2028   15,954
  Series 2021-3 Class D  
53,943 1.01%, 02/26/2029   52,305
2,250,000 KKR Ltd(b)(c)
Series 31A Class B
7.08%, 04/20/2034
3-mo. SOFR + 1.76%
2,250,223
  LAD Auto Receivables Trust(b)  
  Series 2023-4A Class C  
260,000 6.76%, 03/15/2029   261,051
  Series 2023-4A Class D  
145,000 7.37%, 04/15/2031   145,755
  Series 2024-1A Class B  
100,000 5.33%, 02/15/2029   99,578
  Series 2024-1A Class C  
100,000 5.64%, 06/15/2029   99,550
254,749 Laurel Road Prime Student Loan Trust(b)
Series 2020-A Class A2FX
1.40%, 11/25/2050  
230,328
881,326 Lunar Structured Aircraft Portfolio Notes(b)
Series 2021-1 Class A
2.64%, 10/15/2046  
781,648
941,754 MAPS Ltd(b)
Series 2021-1A Class A
2.52%, 06/15/2046  
838,453
2,250,000 Marathon Ltd(b)(c)
Series 2021-16A Class A2
7.28%, 04/15/2034
3-mo. SOFR + 1.96%
2,201,184
Principal Amount(a)   Fair Value
Non-Agency — (continued)
  Marlette Funding Trust(b)  
  Series 2021-2A Class C  
$        72,480 1.50%, 09/15/2031   $       71,701
  Series 2021-3A Class C  
        310,000 1.81%, 12/15/2031          299,285
  Merchants Fleet Funding LLC(b)  
  Series 2023-1A Class A  
1,940,000 7.21%, 05/20/2036   1,945,023
  Series 2023-1A Class D  
525,000 8.20%, 05/20/2036   523,765
32,624 Merlin Aviation Holdings Designated Activity Co(b)(e)
Series 2016-1 Class A
4.50%, 12/15/2032  
29,362
160,000 MetroNet Infrastructure Issuer LLC(b)
Series 2024-1A Class A2
6.23%, 04/20/2054  
160,128
840,000 Mission Lane Credit Card Master Trust(b)
Series 2023-B Class A
7.69%, 11/15/2028  
852,199
237,839 Mosaic Solar Loans LLC(b)
Series 2024-1 Class B
6.25%, 09/20/2049  
235,020
  MVW Owner Trust(b)  
  Series 2019-1A Class C  
16,002 3.33%, 11/20/2036   15,378
  Series 2021-1WA Class C  
384,986 1.94%, 01/22/2041   355,500
  Series 2021-2A Class C  
737,993 2.23%, 05/20/2039   677,934
  Navient Private Education Refi Loan Trust(b)  
  Series 2020-HA Class A  
38,201 1.31%, 01/15/2069   35,259
  Series 2021-A Class A  
273,837 0.84%, 05/15/2069   240,110
  Series 2021-A Class B  
720,000 2.24%, 05/15/2069   537,951
  Series 2021-EA Class B  
235,000 2.03%, 12/16/2069   154,586
  Series 2021-FA Class B  
505,000 2.12%, 02/18/2070   326,911
560,000 Navient Student Loan Trust(b)
Series 2023-BA Class B
7.23%, 03/15/2072  
584,871
1,375,729 Navigator Aircraft Ltd(b)(e)
Series 2021-1 Class A
2.77%, 11/15/2046  
1,227,602
  Nelnet Student Loan Trust(b)  
  Series 2021-DA Class C  
195,000 3.50%, 04/20/2062   154,958
  Series 2021-DA Class D  
100,000 4.38%, 04/20/2062   79,255
2,100,000 Octagon Investment Partners Ltd(b)(c)
Series 2019-4A Class A1R
6.71%, 05/12/2031
3-mo. SOFR + 1.41%
2,101,142
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
Non-Agency — (continued)
  OneMain Financial Issuance Trust(b)  
  Series 2018-2A Class A  
$        62,591 3.57%, 03/14/2033   $       62,294
  Series 2018-2A Class B  
        200,000 3.89%, 03/14/2033          197,216
  Series 2021-1A Class D  
        350,000 2.47%, 06/16/2036          294,649
  Series 2022-S1 Class D  
770,000 5.20%, 05/14/2035   732,507
  Planet Fitness Master Issuer LLC(b)  
  Series 2018-1A Class A2II  
567,000 4.67%, 09/05/2048   554,585
  Series 2019-1A Class A2  
564,925 3.86%, 12/05/2049   511,795
  Series 2022-1A Class A2I  
49,000 3.25%, 12/05/2051   45,744
  Prestige Auto Receivables Trust(b)  
  Series 2020-1A Class E  
330,000 3.67%, 02/15/2028   324,656
  Series 2022-1A Class D  
1,235,000 8.08%, 08/15/2028   1,271,364
  Series 2023-2A Class D  
200,000 7.71%, 08/15/2029   205,930
  Progress Residential Trust(b)  
  Series 2021-SFR2 Class E1  
465,000 2.55%, 04/19/2038   426,897
  Series 2021-SFR3 Class E1  
165,000 2.54%, 05/17/2026   151,231
  Series 2021-SFR3 Class E2  
140,000 2.69%, 05/17/2026   128,082
  Series 2021-SFR4 Class E1  
100,000 2.41%, 05/17/2038   91,211
  Series 2021-SFR4 Class E2  
100,000 2.56%, 05/17/2038   91,098
  Series 2021-SFR5 Class E1  
230,000 2.21%, 07/17/2038   208,362
  Series 2021-SFR5 Class E2  
100,000 2.36%, 07/17/2038   90,218
  Series 2021-SFR6 Class E1  
300,000 2.43%, 07/17/2038   271,066
  Series 2021-SFR6 Class E2  
155,000 2.53%, 07/17/2038   139,919
  Series 2021-SFR7 Class E1  
365,000 2.59%, 08/17/2040   310,966
Principal Amount(a)   Fair Value
Non-Agency — (continued)
  Series 2021-SFR7 Class E2  
$       100,000 2.64%, 08/17/2040   $       83,196
  Series 2021-SFR9 Class E1  
        165,000 2.81%, 11/17/2040          143,054
  Series 2021-SFR9 Class E2  
        115,000 3.01%, 11/17/2040           99,570
  Series 2023-SFR2 Class B  
130,000 4.50%, 10/17/2028   124,008
100,000 Republic Finance Issuance Trust(b)
Series 2021-A Class C
3.53%, 12/22/2031  
91,717
73,025 Santander Bank NA(b)
Series 2021-1A Class B
1.83%, 12/15/2031  
71,976
  Santander Drive Auto Receivables Trust  
  Series 2020-3 Class D  
2,013 1.64%, 11/16/2026   1,987
  Series 2020-4 Class D  
21,527 1.48%, 01/15/2027   21,150
  Series 2021-3 Class D  
90,000 1.33%, 09/15/2027   86,705
  Series 2021-4A Class D  
2,325,000 1.67%, 10/15/2027   2,209,563
  Series 2022-5 Class C  
1,100,000 4.74%, 10/16/2028   1,086,798
  Series 2023-3 Class B  
1,550,000 5.61%, 07/17/2028   1,553,520
  Series 2023-4 Class B  
1,400,000 5.77%, 12/15/2028   1,409,741
  Series 2023-4 Class C  
800,000 6.04%, 12/15/2031   813,460
  SBNA Auto Receivables Trust(b)  
  Series 2024-A Class C  
100,000 5.59%, 01/15/2030   100,100
  Series 2024-A Class D  
100,000 6.04%, 04/15/2030   100,105
  SCF Equipment Leasing LLC(b)  
  Series 2021-1A Class D  
100,000 1.93%, 09/20/2030   94,055
  Series 2022-1A Class D  
355,000 3.79%, 11/20/2031   333,108
  Series 2022-2A Class C  
620,000 6.50%, 08/20/2032   631,239
900,000 SEB Funding LLC(b)
Series 2024-1A Class A2
7.39%, 04/30/2054  
909,211
236,594 Shenton Aircraft Investment I Ltd(b)
Series 2015-1A Class A
4.75%, 10/15/2042  
218,262
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
Non-Agency — (continued)
  Sierra Timeshare Receivables Funding LLC(b)  
  Series 2019-2A Class C  
$        55,633 3.12%, 05/20/2036   $       54,974
  Series 2019-3A Class C  
         37,125 3.00%, 08/20/2036           36,509
  Series 2021-1A Class C  
         29,674 1.79%, 11/20/2037           28,068
  Series 2023-2A Class C  
159,383 7.30%, 04/20/2040   161,890
  Series 2023-3A Class C  
508,949 7.12%, 09/20/2040   513,607
990,000 Signal Peak Ltd(b)(c)
Series 2014-1A Class AR3
6.74%, 04/17/2034
1-mo. SOFR + 1.42%
989,955
  SMB Private Education Loan Trust(b)  
  Series 2020-A Class A2A  
483,219 2.23%, 09/15/2037   453,321
  Series 2021-A Class A2A2  
386,699 6.17%, 01/15/2053(c)
1-mo. SOFR + 0.84%
382,979
  Series 2021-B Class B  
345,000 2.65%, 07/17/2051   282,919
  Series 2021-D Class B  
330,000 2.31%, 03/17/2053   264,519
  Series 2021-E Class B  
700,000 2.49%, 02/15/2051   564,095
  Series 2024-A Class B  
339,000 5.88%, 03/15/2056   338,958
  Series 2024-A Class C  
533,000 6.22%, 03/15/2056   536,519
130,000 SoFi Consumer Loan Program Trust(b)
Series 2021-1 Class D
2.04%, 09/25/2030  
121,940
1,213,688 Sunnova Helios X Issuer LLC(b)
Series 2022-C Class C
6.00%, 11/22/2049  
1,052,002
1,502,816 Sunnova Helios XIII Issuer LLC(b)
Series 2024-A Class A
5.30%, 02/20/2051  
1,469,555
308,867 Textainer Marine Containers VII Ltd(b)
Series 2021-1A Class A
1.68%, 02/20/2046  
272,535
329,450 TIF Funding II LLC(b)
Series 2021-1A Class A
1.65%, 02/20/2046  
286,016
775,000 TIF Funding III LLC(b)
Series 2024-1A Class A
5.48%, 05/22/2034  
774,768
  Tricon American Homes Trust(b)  
  Series 2019-SFR1 Class D  
15,000 3.20%, 03/17/2038   14,208
Principal Amount(a)   Fair Value
Non-Agency — (continued)
  Series 2020-SFR2 Class E1  
$       100,000 2.73%, 11/17/2039   $       88,684
  Tricon Residential Trust(b)  
  Series 2021-SFR1 Class E1  
        200,000 2.79%, 07/17/2038          182,835
  Series 2021-SFR1 Class E2  
        535,000 2.89%, 07/17/2038          487,566
2,250,000 Venture Ltd(b)(c)
Series 2021-42A Class B
7.13%, 04/15/2034
3-mo. SOFR + 1.81%
2,231,707
860,000 VERDE Ltd(b)(c)
Series 2019-1A Class AR
6.68%, 04/15/2032
3-mo. SOFR + 1.36%
860,292
  VStrong Auto Receivables Trust(b)  
  Series 2024-A Class B  
100,000 5.77%, 07/15/2030   100,286
  Series 2024-A Class D  
100,000 7.29%, 07/15/2030   100,360
1,384,041 WAVE Trust(b)
Series 2017-1A Class A
3.84%, 11/15/2042  
1,221,416
79,682 Wendy's Funding LLC(b)
Series 2018-1A Class A2II
3.88%, 03/15/2048  
75,190
  Westlake Automobile Receivables Trust(b)  
  Series 2021-3A Class D  
600,000 2.12%, 01/15/2027   573,878
  Series 2022-1A Class D  
1,700,000 3.49%, 03/15/2027   1,648,523
  Series 2023-1A Class D  
400,000 6.79%, 11/15/2028   407,246
  Series 2023-3A Class B  
920,000 5.92%, 09/15/2028   924,867
  Series 2023-3A Class C  
550,000 6.02%, 09/15/2028   553,311
  Series 2023-4A Class D  
1,335,000 7.19%, 07/16/2029   1,360,171
173,525 Willis Engine Structured Trust IV(b)(e)
Series 2018-A Class B
5.44%, 09/15/2043  
159,213
809,365 Willis Engine Structured Trust VI(b)
Series 2021-A Class A
3.10%, 05/15/2046  
695,738
2,125,035 Willis Engine Structured Trust VII(b)
Series 2023-A Class A
8.00%, 10/15/2048  
2,226,420
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
Non-Agency — (continued)
$     1,200,000 Ziply Fiber Issuer LLC(b)
Series 2024-1A Class A2
6.64%, 04/20/2054  
$    1,200,779
TOTAL ASSET-BACKED SECURITIES — 9.04%
(Cost $163,381,997)
$159,634,700
BANK LOANS
      1,331,662 1011778 BC Unlimited Liability Co(c)
7.58%,
1-mo. SOFR + 2.25%
     1,329,998
        777,000 Boost Newco Borrower LLC(c)
8.31%, 01/31/2031
3-mo. SOFR + 3.01%
       778,214
  Carnival Corp(c)  
        522,490 8.32%,08/09/2027
1-mo. SOFR + 2.99%
       522,653
1,686,659 8.69%,10/18/2028
1-mo. SOFR + 3.37%
1,686,659
675,000 Foundation Building Materials Inc(c)
9.31%, 01/29/2031
3-mo. SOFR + 4.01%
677,250
1,050,000 Hilton Grand Vacations Borrower Escrow LLC(c)
8.08%, 01/17/2031
1-mo. SOFR + 2.75%
1,051,640
668,325 Hub International Ltd(c)
8.57%, 06/20/2030
3-mo. SOFR + 3.28%
668,205
920,000 SBA Communications(c)
7.33%, 01/27/2031
1-mo. SOFR + 2.00%
920,752
100,000 Scientific Games International Inc(c)
8.08%, 04/14/2029
1-mo. SOFR + 2.75%
100,078
1,477,168 Star Parent Inc(c)
9.31%, 09/27/2030
3-mo. SOFR + 4.01%
1,467,013
875,000 Summit Materials LLC(c)
7.83%, 01/12/2029
1-mo. SOFR + 2.53%
878,906
  TransDigm Inc(c)  
330,170 8.08%,08/24/2028
1-mo. SOFR + 2.75%
331,160
194,512 8.60%,02/14/2031
3-mo. SOFR + 3.30%
195,384
1,220,000 Truist Insurance Holdings LLC(c)
8.58%, 03/24/2031
1-mo. SOFR + 3.25%
1,216,950
1,048,957 Uber Technologies Inc(c)
8.08%, 03/03/2030
3-mo. SOFR + 2.78%
1,053,036
TOTAL BANK LOANS — 0.73%
(Cost $12,818,785)
$12,877,898
Principal Amount(a)   Fair Value
CORPORATE BONDS AND NOTES
Basic Materials — 2.47%
  Anglo American Capital PLC(b)  
$     2,415,000 2.63%, 09/10/2030 $    2,055,841
        425,000 2.88%, 03/17/2031        361,614
      1,920,000 5.50%, 05/02/2033(f)     1,909,044
      2,920,000 ArcelorMittal SA
6.80%, 11/29/2032
     3,122,730
        855,000 Ashland Inc(b)
3.38%, 09/01/2031
       723,410
780,000 ATI Inc
5.88%, 12/01/2027
768,025
  Braskem Netherlands Finance BV(b)  
410,000 4.50%, 01/31/2030 352,549
705,000 8.50%, 01/12/2031 731,076
415,000 5.88%, 01/31/2050(f) 320,182
  Celanese US Holdings LLC  
110,000 6.33%, 07/15/2029 114,065
700,000 6.55%, 11/15/2030 736,273
490,000 6.38%, 07/15/2032 508,333
2,780,000 6.70%, 11/15/2033(f) 2,964,108
  First Quantum Minerals Ltd(b)  
1,790,000 6.88%, 10/15/2027 1,716,189
2,895,000 9.38%, 03/01/2029 2,998,974
1,070,000 FMG Resources Pty Ltd(b)
4.38%, 04/01/2031
956,008
  Glencore Funding LLC(b)  
10,000 3.88%, 10/27/2027 9,539
2,640,000 6.13%, 10/06/2028 2,728,096
35,000 4.88%, 03/12/2029 34,443
3,030,000 2.50%, 09/01/2030 2,572,157
3,150,000 6.38%, 10/06/2030 3,324,185
2,010,000 2.85%, 04/27/2031 1,717,457
300,000 2.63%, 09/23/2031 250,039
3,075,000 5.70%, 05/08/2033 3,124,766
7,270,000 6.50%, 10/06/2033 7,776,317
635,000 Novelis Corp
4.75%, 01/30/2030
585,865
1,280,000 Suzano Austria GmbH
3.75%, 01/15/2031
1,131,502
    43,592,787
Communications — 4.62%
515,000 Block Communications Inc(b)
4.88%, 03/01/2028
460,073
  CCO Holdings LLC / CCO Holdings Capital Corp  
3,000 5.50%, 05/01/2026(b) 2,954
505,000 4.50%, 08/15/2030(b) 423,214
1,605,000 4.25%, 02/01/2031(b) 1,310,723
140,000 4.75%, 02/01/2032(b) 114,257
290,000 4.50%, 05/01/2032 233,042
2,890,000 4.25%, 01/15/2034(b) 2,181,528
  Charter Communications Operating LLC / Charter Communications Operating Capital  
785,000 2.80%, 04/01/2031 643,207
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
Communications — (continued)
$       150,000 2.30%, 02/01/2032 $      115,726
        190,000 4.40%, 04/01/2033        168,381
         10,000 5.13%, 07/01/2049          7,749
      4,130,000 4.80%, 03/01/2050     3,057,074
      1,315,000 4.40%, 12/01/2061        858,667
      2,235,000 3.95%, 06/30/2062     1,348,408
      1,770,000 CommScope Inc(b)
4.75%, 09/01/2029
     1,274,400
1,445,000 CommScope Technologies LLC(b)
5.00%, 03/15/2027
558,117
  CSC Holdings LLC(b)  
200,000 5.75%, 01/15/2030 105,875
600,000 4.13%, 12/01/2030 429,030
10,375,000 4.63%, 12/01/2030 5,268,572
2,660,000 3.38%, 02/15/2031 1,807,984
400,000 4.50%, 11/15/2031 283,187
  DISH DBS Corp  
5,765,000 5.25%, 12/01/2026(b) 4,539,411
5,875,000 5.75%, 12/01/2028(b) 4,037,623
4,090,000 5.13%, 06/01/2029 1,705,892
5,675,000 Expedia Group Inc
3.25%, 02/15/2030
5,108,510
1,680,000 Go Daddy Operating Co LLC / GD Finance Co Inc(b)
3.50%, 03/01/2029
1,515,191
  iHeartCommunications Inc(b)  
1,580,000 5.25%, 08/15/2027 1,149,917
460,000 4.75%, 01/15/2028 323,106
  Lamar Media Corp  
170,000 3.75%, 02/15/2028 158,821
650,000 4.00%, 02/15/2030 590,752
2,405,000 Motorola Solutions Inc
5.40%, 04/15/2034
2,400,248
  Netflix Inc  
1,030,000 6.38%, 05/15/2029 1,097,003
2,490,000 5.38%, 11/15/2029(b) 2,541,014
3,510,000 4.88%, 06/15/2030(b) 3,485,444
240,000 Outfront Media Capital LLC / Outfront Media Capital Corp(b)(f)
7.38%, 02/15/2031
251,382
1,265,000 SoftBank Group Corp
4.63%, 07/06/2028
1,170,117
1,630,000 Sprint Capital Corp
8.75%, 03/15/2032
1,976,460
  Time Warner Cable LLC  
1,355,000 5.50%, 09/01/2041 1,127,960
7,215,000 4.50%, 09/15/2042 5,337,704
  T-Mobile USA Inc  
2,155,000 3.38%, 04/15/2029 1,993,010
2,245,000 3.88%, 04/15/2030 2,103,077
4,735,000 3.50%, 04/15/2031 4,276,070
810,000 2.70%, 03/15/2032 681,159
1,105,000 5.75%, 01/15/2034 1,150,722
  Uber Technologies Inc(b)  
250,000 8.00%, 11/01/2026 253,009
445,000 7.50%, 09/15/2027 455,684
2,115,000 6.25%, 01/15/2028 2,123,650
8,505,000 4.50%, 08/15/2029 8,069,695
Principal Amount(a)   Fair Value
Communications — (continued)
$     1,485,000 Virgin Media Finance PLC(b)
5.00%, 07/15/2030
$    1,256,544
    81,531,343
Consumer, Cyclical — 2.35%
  1011778 BC Unlimited Liability Co / New Red Finance Inc(b)  
          5,000 5.75%, 04/15/2025          4,988
      1,675,000 4.00%, 10/15/2030     1,492,428
        880,000 Allison Transmission Inc(b)
3.75%, 01/30/2031
       767,819
  American Airlines Pass Through Trust  
  Series 2017-2 Class B  
2,219 3.70%, 10/15/2025 2,153
  Series 2016-3 Class B  
14,091 3.75%, 10/15/2025 13,586
  Series 2019-1 Class B  
15,467 3.85%, 02/15/2028 14,268
  Series 2016-3 Class A  
127,840 3.25%, 10/15/2028 115,418
  Series 2017-2 Class A  
3,512 3.60%, 10/15/2029 3,179
650,000 Asbury Automotive Group Inc(b)(f)
4.63%, 11/15/2029
599,836
40,000 AutoNation Inc
4.75%, 06/01/2030
38,407
2,939 British Airways Pass Through Trust(b)
Series 2019-1 Class A
3.35%, 06/15/2029
2,710
  Carnival Corp(b)  
1,260,000 5.75%, 03/01/2027 1,247,067
220,000 4.00%, 08/01/2028 204,929
1,050,000 6.00%, 05/01/2029 1,036,045
335,000 7.00%, 08/15/2029 349,400
1,350,000 Daimler Truck Finance North America LLC(b)
5.50%, 09/20/2033
1,367,724
  General Motors Financial Co Inc  
2,710,000 6.00%, 01/09/2028 2,778,143
220,000 3.10%, 01/12/2032 186,340
475,000 6.40%, 01/09/2033(f) 497,767
610,000 GENM Capital Labuan Ltd(b)
3.88%, 04/19/2031
534,191
  Hilton Domestic Operating Co Inc(b)  
865,000 4.00%, 05/01/2031 773,108
110,000 3.63%, 02/15/2032 94,710
  Hilton Grand Vacations Borrower Escrow LLC / Hilton Grand Vacations Borrower Esc(b)  
500,000 5.00%, 06/01/2029(f) 466,301
535,000 4.88%, 07/01/2031 479,004
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
Consumer, Cyclical — (continued)
$     1,273,847 JetBlue Pass Through Trust
Series 2020-1 Class A
4.00%, 11/15/2032
$    1,180,312
  Light & Wonder International Inc(b)  
      1,870,000 7.00%, 05/15/2028     1,883,778
         35,000 7.25%, 11/15/2029         35,930
        475,000 7.50%, 09/01/2031        493,954
  Lithia Motors Inc(b)  
      2,980,000 3.88%, 06/01/2029(f)     2,685,588
265,000 4.38%, 01/15/2031 237,368
1,025,000 Marriott International Inc
5.30%, 05/15/2034
1,013,796
715,000 Marriott Ownership Resorts Inc(b)(f)
4.50%, 06/15/2029
654,048
  NCL Corp Ltd(b)  
885,000 5.88%, 03/15/2026 873,628
930,000 5.88%, 02/15/2027 918,833
1,565,000 8.13%, 01/15/2029 1,656,060
515,000 NCL Finance Ltd(b)
6.13%, 03/15/2028
508,571
230,000 PulteGroup Inc
6.00%, 02/15/2035
240,089
  Royal Caribbean Cruises Ltd(b)  
220,000 4.25%, 07/01/2026 212,310
3,330,000 5.50%, 04/01/2028 3,291,385
805,000 6.25%, 03/15/2032 811,408
390,000 Tapestry Inc
3.05%, 03/15/2032
320,271
  Travel + Leisure Co  
1,905,000 4.50%, 12/01/2029(b) 1,751,711
755,000 4.63%, 03/01/2030(b) 689,359
645,000 4.63%, 03/01/2030 588,923
  United Airlines Pass Through Trust  
  Series 2020-1 Class B  
113,980 4.88%, 01/15/2026 111,928
  Series 2023-1 Class A  
2,275,000 5.80%, 01/15/2036 2,313,220
2,390,000 Warnermedia Holdings Inc
4.28%, 03/15/2032
2,134,840
  Yum! Brands Inc  
1,035,000 4.75%, 01/15/2030(b) 981,660
1,105,000 3.63%, 03/15/2031 977,844
680,000 4.63%, 01/31/2032 627,517
  ZF North America Capital Inc(b)  
570,000 6.88%, 04/14/2028 591,204
600,000 7.13%, 04/14/2030 632,230
    41,487,286
Consumer, Non-Cyclical — 3.38%
  Ashtead Capital Inc(b)  
470,000 4.25%, 11/01/2029 438,170
290,000 5.50%, 08/11/2032 283,520
470,000 5.55%, 05/30/2033 462,189
3,580,000 5.95%, 10/15/2033 3,619,986
Principal Amount(a)   Fair Value
Consumer, Non-Cyclical — (continued)
$       285,000 5.80%, 04/15/2034 $      284,710
      2,090,000 Bacardi Ltd / Bacardi-Martini BV(b)
5.40%, 06/15/2033
     2,072,413
         25,000 Bausch + Lomb Corp(b)
8.38%, 10/01/2028
        25,867
      2,460,000 Bausch Health Cos Inc(b)
4.88%, 06/01/2028
     1,342,431
        870,000 BioMarin Pharmaceutical Inc
0.60%, 08/01/2024
       854,253
        530,000 Block Inc
3.50%, 06/01/2031
       461,283
      1,200,000 Boost Newco Borrower LLC(b)
7.50%, 01/15/2031
     1,256,176
  Centene Corp  
95,000 2.45%, 07/15/2028 84,238
2,770,000 4.63%, 12/15/2029 2,629,780
985,000 3.38%, 02/15/2030 871,658
1,010,000 3.00%, 10/15/2030 865,971
2,765,000 2.50%, 03/01/2031 2,274,275
810,000 2.63%, 08/01/2031 664,910
  CVS Pass Through Trust(b)  
  Series 2013  
721,426 4.70%, 01/10/2036 659,780
  Series 2014  
252,279 4.16%, 08/11/2036(f) 220,716
40,000 Encompass Health Corp
4.75%, 02/01/2030
37,478
  Gartner Inc(b)  
945,000 3.63%, 06/15/2029 855,586
1,070,000 3.75%, 10/01/2030 957,799
  Global Payments Inc  
945,000 2.90%, 05/15/2030 820,644
1,105,000 2.90%, 11/15/2031 927,315
1,085,000 5.40%, 08/15/2032 1,076,055
  HCA Inc  
1,675,000 3.50%, 09/01/2030 1,514,798
2,445,000 5.50%, 06/01/2033 2,453,801
2,025,000 5.60%, 04/01/2034 2,039,017
2,230,000 Hologic Inc(b)
3.25%, 02/15/2029
1,998,508
  JBS USA LUX SA / JBS USA Food Co / JBS USA Finance Inc  
660,000 3.00%, 02/02/2029 584,397
2,075,000 3.75%, 12/01/2031 1,794,094
40,000 Lamb Weston Holdings Inc(b)
4.88%, 05/15/2028
38,877
1,190,000 Medline Borrower LP / Medline Co-Issuer Inc(b)
6.25%, 04/01/2029
1,195,329
  Molina Healthcare Inc(b)  
1,065,000 4.38%, 06/15/2028 1,001,130
1,330,000 3.88%, 05/15/2032 1,158,064
  Pilgrim's Pride Corp  
630,000 4.25%, 04/15/2031 567,908
1,905,000 3.50%, 03/01/2032 1,614,526
265,000 6.88%, 05/15/2034 282,411
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
Consumer, Non-Cyclical — (continued)
$       635,000 Post Holdings Inc(b)
4.63%, 04/15/2030
$      582,935
      1,020,000 Smithfield Foods Inc(b)
3.00%, 10/15/2030
       844,415
      1,345,000 Solventum Corp(b)
5.90%, 04/30/2054
     1,341,689
        125,000 Teva Pharmaceutical Finance Co LLC(f)
6.15%, 02/01/2036
       121,630
  Teva Pharmaceutical Finance Netherlands II BV  
      1,235,000 EUR, 7.38%, 09/15/2029     1,474,349
      1,045,000 EUR, 7.88%, 09/15/2031     1,304,223
  Teva Pharmaceutical Finance Netherlands III BV  
5,285,000 3.15%, 10/01/2026 4,940,901
575,000 4.75%, 05/09/2027(f) 556,643
275,000 5.13%, 05/09/2029(f) 264,270
1,270,000 7.88%, 09/15/2029(f) 1,363,229
915,000 8.13%, 09/15/2031(f) 1,003,571
4,050,000 4.10%, 10/01/2046 2,792,081
560,000 TriNet Group Inc(b)
3.50%, 03/01/2029
502,258
2,200,000 United Rentals North America Inc(b)
6.13%, 03/15/2034
2,202,734
    59,584,991
Energy — 3.51%
  Aker BP ASA(b)  
3,075,000 4.00%, 01/15/2031 2,808,683
605,000 3.10%, 07/15/2031 517,056
1,215,000 Cheniere Energy Inc(b)
5.65%, 04/15/2034
1,223,676
  Cheniere Energy Partners LP  
3,695,000 4.00%, 03/01/2031 3,358,420
320,000 3.25%, 01/31/2032 272,587
1,500,000 5.95%, 06/30/2033 1,533,560
390,000 Civitas Resources Inc(b)
8.63%, 11/01/2030
418,773
  Continental Resources Inc(b)  
7,130,000 5.75%, 01/15/2031 7,087,530
2,590,000 2.88%, 04/01/2032 2,110,830
  DCP Midstream Operating LP  
220,000 5.13%, 05/15/2029 219,374
2,000,000 3.25%, 02/15/2032 1,722,551
1,075,000 Ecopetrol SA
8.38%, 01/19/2036
1,085,125
1,325,000 Enbridge Inc
5.70%, 03/08/2033
1,357,004
  Energian Israel Finance Ltd(b)  
480,000 5.38%, 03/30/2028 437,756
625,000 5.88%, 03/30/2031 547,500
  Energy Transfer LP  
1,785,000 5.75%, 02/15/2033 1,813,285
640,000 6.55%, 12/01/2033 687,035
Principal Amount(a)   Fair Value
Energy — (continued)
$       185,000 EnLink Midstream LLC(b)
6.50%, 09/01/2030
$      190,333
        445,000 EnLink Midstream Partners LP
5.45%, 06/01/2047
       387,275
      1,230,000 EQM Midstream Partners LP
5.50%, 07/15/2028
     1,213,125
  EQT Corp  
        150,000 5.00%, 01/15/2029        146,941
      1,485,000 7.00%, 02/01/2030     1,577,732
        940,000 3.63%, 05/15/2031(b)        827,303
265,000 Hess Midstream Operations LP(b)
4.25%, 02/15/2030
243,511
  Leviathan Bond Ltd(b)  
925,000 6.13%, 06/30/2025 908,128
420,000 6.50%, 06/30/2027 404,833
465,000 6.75%, 06/30/2030 430,252
350,000 Matador Resources Co(b)
6.88%, 04/15/2028
358,076
  Occidental Petroleum Corp  
910,000 8.88%, 07/15/2030 1,057,129
675,000 6.63%, 09/01/2030 715,298
910,000 6.13%, 01/01/2031 942,405
595,000 7.50%, 05/01/2031 662,305
790,000 7.88%, 09/15/2031 895,521
  Ovintiv Inc  
125,000 8.13%, 09/15/2030 141,016
30,000 7.20%, 11/01/2031 32,522
170,000 7.38%, 11/01/2031 186,270
1,515,000 6.50%, 08/15/2034 1,607,096
470,000 6.63%, 08/15/2037 490,636
45,000 6.50%, 02/01/2038 46,880
75,000 Petroleos Mexicanos
5.95%, 01/28/2031
60,150
  Plains All American Pipeline LP / PAA Finance Corp  
1,830,000 3.55%, 12/15/2029 1,679,371
1,430,000 3.80%, 09/15/2030 1,310,329
115,000 4.30%, 01/31/2043 93,175
215,000 Southwestern Energy Co
4.75%, 02/01/2032
197,920
1,850,000 Targa Resources Corp
6.13%, 03/15/2033
1,930,053
  Targa Resources Partners LP / Targa Resources Partners Finance Corp  
270,000 5.50%, 03/01/2030 268,671
270,000 4.88%, 02/01/2031 258,467
815,000 4.00%, 01/15/2032 733,569
1,595,000 Var Energi ASA(b)
8.00%, 11/15/2032
1,785,379
  Venture Global Calcasieu Pass LLC(b)  
785,000 6.25%, 01/15/2030 789,759
3,200,000 4.13%, 08/15/2031 2,845,439
620,000 Viper Energy Inc(b)
7.38%, 11/01/2031
644,537
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
Energy — (continued)
  Western Midstream Operating LP  
$     1,210,000 6.35%, 01/15/2029 $    1,254,881
        255,000 4.05%, 02/01/2030        237,922
      1,625,000 6.15%, 04/01/2033     1,666,138
        125,000 5.45%, 04/01/2044        114,889
        850,000 5.30%, 03/01/2048        745,752
         95,000 5.50%, 08/15/2048         84,014
335,000 5.25%, 02/01/2050 299,666
4,375,000 Williams Cos Inc
5.15%, 03/15/2034
4,335,567
    62,000,980
Financial — 8.59%
  AerCap Ireland Capital Designated Activity Co / AerCap Global Aviation Trust  
1,900,000 3.88%, 01/23/2028 1,801,322
175,000 5.75%, 06/06/2028(f) 177,336
1,920,000 3.00%, 10/29/2028 1,737,256
1,285,000 6.15%, 09/30/2030 1,333,721
2,835,000 3.30%, 01/30/2032 2,431,455
1,020,000 3.40%, 10/29/2033 859,206
980,000 Agile Group Holdings Ltd
6.05%, 10/13/2025
129,144
455,000 AIB Group PLC(b)
6.61%, 09/13/2029
474,321
  Air Lease Corp  
825,000 4.65%, Perpetual(g) 778,962
10,000 3.38%, 07/01/2025 9,745
825,000 3.00%, 02/01/2030 729,240
3,140,000 3.13%, 12/01/2030 2,756,056
  Aircastle Ltd  
345,000 5.25%, Perpetual(b)(g) 328,621
20,000 4.25%, 06/15/2026 19,426
1,905,000 6.50%, 07/18/2028(b) 1,943,212
475,000 5.95%, 02/15/2029(b) 475,187
380,000 Ally Financial Inc(g)
4.70%, Perpetual
325,788
185,000 American Homes 4 Rent LP REIT
2.38%, 07/15/2031
150,263
3,620,000 American Tower Corp REIT
5.90%, 11/15/2033
3,748,457
  Antares Holdings LP(b)  
260,000 3.95%, 07/15/2026 244,343
1,385,000 2.75%, 01/15/2027 1,240,796
2,160,000 3.75%, 07/15/2027 1,970,975
795,000 7.95%, 08/11/2028 826,139
  Ares Capital Corp  
1,190,000 2.88%, 06/15/2028 1,060,605
1,800,000 3.20%, 11/15/2031 1,501,236
495,000 Arthur J Gallagher & Co
5.45%, 07/15/2034
498,273
  Athene Global Funding(b)  
980,000 1.61%, 06/29/2026 899,622
230,000 2.55%, 11/19/2030 190,855
Principal Amount(a)   Fair Value
Financial — (continued)
$     2,915,000 Athene Holding Ltd
3.50%, 01/15/2031
$    2,561,548
  Aviation Capital Group LLC(b)  
        710,000 1.95%, 01/30/2026        662,701
        885,000 6.25%, 04/15/2028        903,264
      1,820,000 6.75%, 10/25/2028     1,897,499
      1,815,000 6.38%, 07/15/2030     1,868,419
      1,200,000 Banco Santander SA
2.75%, 12/03/2030
       991,793
  Bank of America Corp  
3,375,000 5.29%, 04/25/2034 3,364,739
4,395,000 5.87%, 09/15/2034 4,558,362
1,010,000 2.48%, 09/21/2036 807,831
1,780,000 3.85%, 03/08/2037 1,573,640
  Barclays PLC  
1,240,000 4.38%, Perpetual(g) 1,016,538
1,265,000 2.28%, 11/24/2027 1,163,338
1,260,000 6.22%, 05/09/2034 1,299,561
1,410,000 7.12%, 06/27/2034 1,502,686
2,555,000 3.56%, 09/23/2035 2,191,055
760,000 Barings BDC Inc
3.30%, 11/23/2026
694,801
2,745,000 Blackstone Secured Lending Fund
2.13%, 02/15/2027
2,475,766
  Blue Owl Capital Corp  
1,043,000 2.63%, 01/15/2027 952,640
3,630,000 2.88%, 06/11/2028 3,208,927
1,345,000 Blue Owl Technology Finance Corp
2.50%, 01/15/2027
1,194,219
  BNP Paribas SA(b)  
2,035,000 2.59%, 01/20/2028 1,884,317
2,135,000 5.18%, 01/09/2030 2,135,152
  Brixmor Operating Partnership LP REIT  
60,000 2.25%, 04/01/2028 53,278
25,000 4.13%, 05/15/2029 23,563
1,795,000 4.05%, 07/01/2030 1,664,895
1,300,000 CaixaBank SA(b)
6.84%, 09/13/2034
1,389,467
  Central China Real Estate Ltd(h)  
615,000 7.25%, 07/16/2024 17,343
200,000 7.25%, 08/13/2024 6,780
190,000 7.25%, 04/28/2025 6,175
205,000 7.50%, 07/14/2025 8,175
400,000 CIFI Holdings Group Co Ltd(h)
6.00%, 07/16/2025
32,000
155,000 CNO Financial Group Inc
5.25%, 05/30/2029
151,003
145,000 COPT Defense Properties LP REIT
2.75%, 04/15/2031
119,615
600,000 Country Garden Holdings Co Ltd(h)
3.30%, 01/12/2031
38,664
  Credit Agricole SA  
3,110,000 4.00%, 01/10/2033 2,901,619
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
Financial — (continued)
$     3,230,000 6.25%, 01/10/2035(b) $    3,283,055
        945,000 Credit Suisse AG
3.70%, 02/21/2025
       928,824
  Deutsche Bank AG  
        745,000 3.55%, 09/18/2031        656,077
      2,855,000 3.73%, 01/14/2032     2,404,584
        200,000 3.74%, 01/07/2033        165,201
        395,000 EPR Properties REIT
3.60%, 11/15/2031
       330,125
20,000 Fidelity & Guaranty Life Holdings Inc(b)
5.50%, 05/01/2025
19,831
4,590,000 Fidelity National Financial Inc
3.40%, 06/15/2030
4,075,362
  Global Atlantic Fin Co(b)  
365,000 4.40%, 10/15/2029 339,358
675,000 3.13%, 06/15/2031 558,995
620,000 GLP Capital LP / GLP Financing II Inc REIT
3.25%, 01/15/2032
521,933
2,080,000 HSBC Holdings PLC
6.16%, 03/09/2029
2,137,112
  Icahn Enterprises LP / Icahn Enterprises Finance Corp  
50,000 4.75%, 09/15/2024 49,770
75,000 6.38%, 12/15/2025 74,392
10,000 6.25%, 05/15/2026 9,653
1,495,000 5.25%, 05/15/2027 1,351,092
3,175,000 4.38%, 02/01/2029 2,706,982
665,000 ING Groep NV
6.11%, 09/11/2034
690,432
  Intesa Sanpaolo SpA(b)  
215,000 4.20%, 06/01/2032 179,750
865,000 6.63%, 06/20/2033 897,540
1,490,000 7.20%, 11/28/2033 1,604,972
  Iron Mountain Inc REIT(b)  
430,000 5.00%, 07/15/2028 411,373
1,345,000 5.25%, 07/15/2030 1,272,340
2,180,000 Jefferies Financial Group Inc
5.88%, 07/21/2028
2,219,197
  Kaisa Group Holdings Ltd(h)  
2,215,000 9.38%, 06/30/2024 55,375
400,000 10.50%, 01/15/2025 9,000
2,310,000 11.25%, 04/16/2025 46,200
200,000 9.95%, 07/23/2025 4,500
200,000 11.70%, 11/11/2025 4,246
200,000 11.65%, 06/01/2026 4,000
  Logan Group Co Ltd(h)  
605,000 4.25%, 07/12/2025 53,180
405,000 4.85%, 12/14/2026 38,475
  Macquarie Airfinance Holdings Ltd(b)  
130,000 6.40%, 03/26/2029 132,057
275,000 6.50%, 03/26/2031 279,903
  Morgan Stanley  
1,125,000 5.42%, 07/21/2034 1,128,487
3,145,000 2.48%, 09/16/2036 2,487,332
2,070,000 5.95%, 01/19/2038 2,074,213
Principal Amount(a)   Fair Value
Financial — (continued)
  Nationstar Mortgage Holdings Inc(b)  
$       865,000 5.00%, 02/01/2026 $      846,493
      1,360,000 5.75%, 11/15/2031     1,254,398
  NatWest Group PLC  
      1,280,000 1.64%, 06/14/2027     1,176,794
        845,000 5.52%, 09/30/2028        845,565
      1,875,000 Navient Corp
5.00%, 03/15/2027
     1,796,329
  OneMain Finance Corp  
155,000 3.50%, 01/15/2027 143,887
175,000 3.88%, 09/15/2028 156,113
1,960,000 5.38%, 11/15/2029 1,842,816
1,400,000 4.00%, 09/15/2030 1,198,185
15,000 Realty Income Corp REIT
3.40%, 01/15/2030
13,659
10,000 Regency Centers LP REIT
2.95%, 09/15/2029
8,948
  Rocket Mortgage LLC / Rocket Mortgage Co-Issuer Inc  
5,945,000 2.88%, 10/15/2026(b) 5,492,722
220,000 3.63%, 03/01/2029(b) 197,900
220,000 3.63%, 03/01/2029 197,900
3,610,000 3.88%, 03/01/2031(b) 3,145,029
4,780,000 4.00%, 10/15/2033(b) 4,049,094
2,340,000 SBA Communications Corp REIT
3.13%, 02/01/2029
1-mo. SOFR + 2.00%
2,065,063
  Shimao Group Holdings Ltd(h)  
200,000 6.13%, 02/21/2024 8,250
1,300,000 5.60%, 07/15/2026 35,295
200,000 5.20%, 01/16/2027 6,300
410,000 3.45%, 01/11/2031 14,350
600,000 Sino-Ocean Land Treasure IV Ltd(h)
4.75%, 01/14/2030
42,660
5,000 SiriusPoint Ltd(b)
4.60%, 11/01/2026
4,776
  Societe Generale SA(b)  
670,000 4.75%, 11/24/2025 657,031
1,795,000 6.07%, 01/19/2035 1,805,689
2,385,000 3.65%, 07/08/2035 2,020,990
3,375,000 Standard Chartered PLC(b)
3.27%, 02/18/2036
2,834,300
1,755,000 Stewart Information Services Corp
3.60%, 11/15/2031
1,431,945
  Sunac China Holdings Ltd(b)(i)  
174,606 6.00%, 09/30/2025
PIK rate, 6.00%
19,643
174,606 6.25%, 09/30/2026
PIK rate, 6.25%
17,373
349,213 6.50%, 09/30/2027
PIK rate, 6.50%
30,382
523,820 6.75%, 09/30/2028
PIK rate, 6.75%
40,334
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
Financial — (continued)
$       523,820 7.00%, 09/30/2029
PIK rate, 7.00%
$       35,358
        246,070 7.25%, 09/30/2030
PIK rate, 7.25%
        14,641
        215,836 1.00%, 09/30/2032
PIK rate, 1.00%
        14,431
        640,000 Synchrony Bank
5.40%, 08/22/2025
       634,156
  Times China Holdings Ltd(h)  
        810,000 6.20%, 03/22/2026         21,263
        200,000 5.75%, 01/14/2027          5,250
  UBS Group AG  
585,000 2.19%, 06/05/2026(b) 560,863
1,110,000 6.37%, 07/15/2026(b) 1,117,783
1,545,000 6.44%, 08/11/2028(b) 1,590,624
250,000 3.87%, 01/12/2029 236,408
1,260,000 6.54%, 08/12/2033(b) 1,328,406
1,315,000 9.02%, 11/15/2033(b) 1,595,550
1,760,000 5.70%, 02/08/2035(b) 1,768,906
  UniCredit SpA(b)  
1,045,000 5.86%, 06/19/2032 1,020,440
200,000 5.46%, 06/30/2035 187,811
890,000 VICI Properties LP / VICI Note Co Inc REIT(b)
3.88%, 02/15/2029
819,128
  Yuzhou Group Holdings Co Ltd(h)  
625,000 7.70%, 02/20/2025 29,719
310,000 8.30%, 05/27/2025 13,175
205,000 7.85%, 08/12/2026 9,875
400,000 6.35%, 01/13/2027 17,750
    151,589,603
Industrial — 2.32%
320,000 Avnet Inc
5.50%, 06/01/2032
309,535
  BAE Systems PLC(b)  
350,000 5.25%, 03/26/2031 351,434
2,965,000 5.30%, 03/26/2034 2,979,863
  Boeing Co  
1,285,000 3.63%, 02/01/2031 1,130,923
1,305,000 5.71%, 05/01/2040 1,249,070
2,025,000 5.81%, 05/01/2050 1,915,909
  Cemex SAB de CV(b)  
2,715,000 5.13%, Perpetual(g) 2,623,892
405,000 9.13%, Perpetual(g) 439,973
4,360,000 5.20%, 09/17/2030 4,214,387
3,380,000 3.88%, 07/11/2031 2,994,711
1,870,000 Embraer Netherlands Finance BV(b)
7.00%, 07/28/2030
1,958,174
1,935,000 GATX Corp
5.45%, 09/15/2033
1,924,569
2,610,000 Ingersoll Rand Inc
5.70%, 08/14/2033
2,677,436
2,435,000 Jacobs Engineering Group Inc
6.35%, 08/18/2028
2,516,770
Principal Amount(a)   Fair Value
Industrial — (continued)
$       515,000 JELD-WEN Inc(b)
4.88%, 12/15/2027
$      492,757
        790,000 L3Harris Technologies Inc
5.35%, 06/01/2034
       790,007
        410,000 Nordson Corp
5.80%, 09/15/2033
       427,979
        735,000 Rand Parent LLC(b)(f)
8.50%, 02/15/2030
       727,841
  RTX Corp  
        300,000 2.38%, 03/15/2032        247,146
      2,400,000 5.15%, 02/27/2033     2,404,565
  Sensata Technologies BV(b)  
405,000 4.00%, 04/15/2029 369,800
200,000 5.88%, 09/01/2030 195,670
970,000 Sensata Technologies Inc(b)
3.75%, 02/15/2031
839,052
1,345,000 SMBC Aviation Capital Finance Designated Activity Co(b)(f)
5.45%, 05/03/2028
1,348,795
540,000 TopBuild Corp(b)
4.13%, 02/15/2032
478,004
555,000 TransDigm Inc(b)
6.75%, 08/15/2028
562,325
2,145,000 Trimble Inc
6.10%, 03/15/2033
2,240,853
2,550,000 Veralto Corp(b)
5.45%, 09/18/2033
2,581,543
    40,992,983
Technology — 2.55%
  Broadcom Inc(b)  
880,000 2.45%, 02/15/2031 741,858
705,000 4.15%, 04/15/2032 654,056
1,625,000 2.60%, 02/15/2033 1,319,761
1,445,000 3.42%, 04/15/2033 1,252,670
2,130,000 3.47%, 04/15/2034 1,825,216
1,800,000 3.14%, 11/15/2035 1,454,223
1,070,000 3.19%, 11/15/2036 851,561
  CDW LLC / CDW Finance Corp  
605,000 3.28%, 12/01/2028 551,421
1,525,000 3.25%, 02/15/2029 1,380,752
3,660,000 3.57%, 12/01/2031 3,217,630
2,615,000 Entegris Inc(b)
4.75%, 04/15/2029
2,506,101
2,715,000 Fiserv Inc
5.63%, 08/21/2033
2,773,599
  Leidos Inc  
255,000 4.38%, 05/15/2030 241,625
610,000 2.30%, 02/15/2031 504,205
2,355,000 5.75%, 03/15/2033 2,414,246
  Marvell Technology Inc  
465,000 2.95%, 04/15/2031 401,721
330,000 5.95%, 09/15/2033 341,983
2,090,000 Microchip Technology Inc
5.05%, 03/15/2029
2,090,315
  Micron Technology Inc  
1,705,000 4.66%, 02/15/2030 1,665,416
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
Technology — (continued)
$       740,000 5.30%, 01/15/2031 $      744,280
      2,250,000 5.88%, 02/09/2033     2,328,308
      6,855,000 5.88%, 09/15/2033     7,107,062
        325,000 MSCI Inc(b)
3.25%, 08/15/2033
       267,746
      2,060,000 Oracle Corp
3.95%, 03/25/2051
     1,569,588
  Seagate HDD Cayman  
        125,000 4.09%, 06/01/2029        115,312
91,800 9.63%, 12/01/2032 104,588
420,000 SK Hynix Inc(b)
6.38%, 01/17/2028
432,164
335,000 SS&C Technologies Inc(b)
5.50%, 09/30/2027
327,549
1,350,000 UKG Inc(b)
6.88%, 02/01/2031
1,375,281
2,455,000 VMware LLC
2.20%, 08/15/2031
1,997,843
  Western Digital Corp  
1,590,000 4.75%, 02/15/2026 1,553,245
1,085,000 2.85%, 02/01/2029 943,996
    45,055,321
Utilities — 0.24%
  AES Corp  
605,000 3.95%, 07/15/2030(b) 550,242
255,000 2.45%, 01/15/2031 208,630
5,000 IPALCO Enterprises Inc
4.25%, 05/01/2030
4,652
395,000 NRG Energy Inc(b)
4.45%, 06/15/2029
373,403
  Pacific Gas & Electric Co  
100,000 3.25%, 06/01/2031 86,828
790,000 4.30%, 03/15/2045 624,243
1,825,000 Southern Co
5.70%, 03/15/2034
1,882,203
550,000 Southern Co Gas Capital Corp
5.75%, 09/15/2033
569,338
    4,299,539
TOTAL CORPORATE BONDS AND NOTES — 30.03%
(Cost $574,814,489)
$530,134,833
CONVERTIBLE BONDS
Communications — 0.57%
240,000 Booking Holdings Inc
0.75%, 05/01/2025
463,200
  DISH Network Corp  
2,330,000 21.58%, 12/15/2025(j) 1,700,900
6,130,000 3.38%, 08/15/2026 3,815,925
  Etsy Inc  
715,000 0.13%, 09/01/2027 598,383
1,680,000 0.25%, 06/15/2028(f) 1,323,000
125,000 Palo Alto Networks Inc
0.38%, 06/01/2025
356,750
Principal Amount(a)   Fair Value
Communications — (continued)
$     1,115,000 Spotify USA Inc(j)
4.55%, 03/15/2026
$    1,023,570
  Uber Technologies Inc  
        410,000 (6.37%), 12/15/2025(j)        460,225
        290,000 0.88%, 12/01/2028(b)       358,730
    10,100,683
Consumer, Cyclical — 0.25%
      1,145,000 Carnival Corp
5.75%, 12/01/2027
     1,723,225
330,000 NCL Corp Ltd
1.13%, 02/15/2027
311,223
170,000 Royal Caribbean Cruises Ltd
6.00%, 08/15/2025
483,140
1,920,000 Southwest Airlines Co
1.25%, 05/01/2025
1,943,040
    4,460,628
Consumer, Non-Cyclical — 0.34%
3,080,000 BioMarin Pharmaceutical Inc(f)
1.25%, 05/15/2027
3,037,804
85,000 Guardant Health Inc(j)
13.00%, 11/15/2027
57,749
  Shift4 Payments Inc  
195,000 (3.82%), 12/15/2025(j) 208,650
255,000 0.50%, 08/01/2027 236,513
2,795,000 Teladoc Health Inc
1.25%, 06/01/2027
2,354,787
    5,895,503
Technology — 0.21%
260,000 Datadog Inc
0.13%, 06/15/2025
366,340
290,000 Nutanix Inc
0.25%, 10/01/2027
355,250
435,000 ON Semiconductor Corp
0.50%, 03/01/2029
428,040
675,000 Splunk Inc
1.13%, 06/15/2027
673,178
1,875,000 Unity Software Inc(j)
6.84%, 11/15/2026
1,589,062
255,000 Zscaler Inc
0.13%, 07/01/2025
347,425
    3,759,295
Utilities — 0.18%
440,000 Evergy Inc(b)
4.50%, 12/15/2027
447,260
300,000 NRG Energy Inc
2.75%, 06/01/2048
496,350
2,295,000 PPL Capital Funding Inc
2.88%, 03/15/2028
2,196,315
    3,139,925
TOTAL CONVERTIBLE BONDS — 1.55%
(Cost $30,293,188)
$27,356,034
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
FOREIGN GOVERNMENT BONDS AND NOTES
$     2,440,000 Australia Government Bond
AUD, 2.75%, 11/21/2028  
$    1,531,736
         30,788 Brazil Notas do Tesouro Nacional Series F
BRL, 10.00%, 01/01/2031  
     6,050,357
  Chile Government International Bond  
      2,595,000 3.50%, 01/31/2034     2,270,534
      1,700,000 3.50%, 01/25/2050     1,237,472
  Colombia Government International Bond  
      1,590,000 7.50%, 02/02/2034     1,624,029
600,000 8.00%, 11/14/2035 629,896
1,525,000 Dominican Republic International Bond
4.88%, 09/23/2032  
1,365,296
31,595,999,232 Indonesia Treasury Bond
IDR, 6.88%, 04/15/2029  
2,012,173
3,000,000 Israel Government International Bond
5.50%, 03/12/2034  
2,960,550
789,233(k) Mexican Bonos
MXN, 7.50%, 05/26/2033  
4,225,384
435,000 Mexico Government International Bond
6.00%, 05/07/2036  
435,894
4,555,000 New South Wales Treasury Corp
AUD, 3.00%, 03/20/2028  
2,867,836
7,870,000 New Zealand Government Bond
NZD, 3.50%, 04/14/2033  
4,339,554
47,065,000 Norway Government Bond(b)
NOK, 1.75%, 03/13/2025  
4,233,988
  Paraguay Government International Bond(b)  
990,000 6.00%, 02/09/2036(f) 1,004,541
405,000 6.10%, 08/11/2044 392,431
  Philippine Government International Bond  
2,030,000 2.95%, 05/05/2045 1,413,391
1,215,000 2.65%, 12/10/2045 805,116
1,985,000 Qatar Government International Bond
5.10%, 04/23/2048  
1,928,034
  Republic of Poland Government International Bond  
2,660,000 5.50%, 04/04/2053 2,648,237
4,550,000 5.50%, 03/18/2054 4,514,146
92,740,000 Republic of South Africa Government Bond
ZAR, 8.88%, 02/28/2035  
3,903,502
710,000 Republic of Uzbekistan International Bond(b)
7.85%, 10/12/2028  
741,993
  Romanian Government International Bond  
1,418,000 7.13%, 01/17/2033 1,514,537
2,872,000 6.38%, 01/30/2034(b) 2,909,164
Principal Amount(a)   Fair Value
Foreign Government Bonds and Notes — (continued)
$     3,040,000 Turkey Government International Bond
EUR, 5.88%, 05/21/2030  
$    3,263,316
      3,650,000 United Kingdom Gilt
GBP, 0.25%, 01/31/2025  
    4,442,376
TOTAL FOREIGN GOVERNMENT BONDS AND NOTES — 3.70%
(Cost $65,620,868)
$65,265,483
MORTGAGE-BACKED SECURITIES
Non-Agency — 2.18%
        459,662 510 Asset Backed Trust(b)(e)
Series 2021-NPL1 Class A1
2.24%,  06/25/2061  
       447,815
        775,000 BANK
Series 2021-BN35 Class AS
2.46%,  06/15/2064  
       636,284
1,645,000 BBSG Mortgage Trust(b)
Series 2016-MRP Class A
3.28%,  06/05/2036  
1,181,019
139,316 BB-UBS Trust(b)
Series 2012-TFT Class A
2.89%,  06/05/2030  
129,299
920,000 Benchmark Mortgage Trust(d)
Series 2018-B2 Class A5
3.88%,  02/15/2051  
862,196
1,090,000 BINOM Securitization Trust(b)(d)
Series 2022-RPL1 Class M1
3.00%,  02/25/2061  
850,793
  BPR Trust(b)(c)  
  Series 2021-NRD Class F  
1,185,000 12.20%, 12/15/2038
3-mo. SOFR + 6.87%
1,018,914
  Series 2022-STAR Class A  
1,145,000 8.56%, 08/15/2039
3-mo. SOFR + 3.23%
1,147,822
1,910,000 BX Commercial Mortgage Trust(b)(c)
Series 2022-AHP Class B
7.17%,  01/17/2039
3-mo. SOFR + 1.84%
1,883,737
427,256 CIM Trust(b)(e)
Series 2021-NR2 Class A1
5.57%,  07/25/2059  
422,878
79,190 Commercial Mortgage Pass Through Certificates(b)
Series 2012-LTRT Class A2
3.40%,  10/05/2030  
73,600
  CoreVest American Finance Ltd(b)(e)  
  Series 2021-RTL1 Class A1  
1,790,000 2.24%, 03/28/2029   1,717,226
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
Non-Agency — (continued)
  Series 2023-RTL1 Class A1  
$       990,000 7.55%, 12/28/2030   $      995,048
  Credit Suisse Mortgage Trust(b)  
  Series 2014-USA Class B  
        600,000 4.18%, 09/15/2037          513,290
  Series 2014-USA Class C  
        100,000 4.34%, 09/15/2037           72,584
  Series 2014-USA Class D  
200,000 4.37%, 09/15/2037   128,206
  Series 2021-RPL1 Class A1  
273,127 4.04%, 09/27/2060(d)   263,751
  Series 2021-RPL4 Class A1  
845,356 1.80%, 12/27/2060(d)   819,637
1,210,000 DC Commercial Mortgage Trust(b)(d)
Series 2023-DC Class C
7.14%,  09/12/2040  
1,234,116
  Extended Stay America Trust(b)(c)  
  Series 2021-ESH Class C  
374,845 7.14%, 07/15/2038
1-mo. SOFR + 1.81%
374,493
  Series 2021-ESH Class D  
187,422 7.69%, 07/15/2038
1-mo. SOFR + 2.36%
187,188
299,276 GCAT Trust(b)(d)
Series 2019-RPL1 Class A1
2.65%,  10/25/2068  
282,166
  GS Mortgage Securities Corp Trust(b)(d)  
  Series 2013-G1 Class B  
235,094 3.72%, 04/10/2031   217,653
  Series 2013-PEMB Class A  
300,000 3.55%, 03/05/2033   237,463
  Series 2013-PEMB Class B  
250,000 3.55%, 03/05/2033   182,792
1,500,000 GS Mortgage Securities Trust
Series 2020-GC47 Class A4
2.12%,  05/12/2053  
1,270,718
529,307 JPMorgan Chase Commercial Mortgage Securities Trust(b)(d)
Series 2012-LC9 Class C
3.77%,  12/15/2047  
485,945
  Legacy Mortgage Asset Trust(b)  
  Series 2020-RPL1 Class A2  
875,000 3.25%, 09/25/2059(d)   777,503
  Series 2021-GS2 Class A1  
377,307 1.75%, 04/25/2061(e)   365,646
Principal Amount(a)   Fair Value
Non-Agency — (continued)
  Series 2021-GS4 Class A1  
$       168,458 1.65%, 11/25/2060(e)   $      162,929
  Med Trust(b)(c)  
  Series 2021-MDLN Class B  
        308,519 6.89%, 11/15/2038
1-mo. SOFR + 1.56%
       307,652
  Series 2021-MDLN Class C  
        597,134 7.24%, 11/15/2038
1-mo. SOFR + 1.91%
       595,260
  Series 2021-MDLN Class D  
378,185 7.44%, 11/15/2038
1-mo. SOFR + 2.11%
376,767
  Mill City Mortgage Loan Trust(b)(d)  
  Series 2019-1 Class M1  
479,118 3.50%, 10/25/2069   439,019
  Series 2019-GS1 Class M2  
125,000 3.25%, 07/25/2059   107,899
  Series 2021-NMR1 Class M2  
750,000 2.50%, 11/25/2060   629,270
  Morgan Stanley Bank of America Merrill Lynch Trust  
  Series 2012-CKSV Class A2  
89,331 3.28%, 10/15/2030(b)   79,587
  Series 2013-C11 Class B  
195,000 4.08%, 08/15/2046(d)   120,712
  Series 2013-C12 Class C  
65,000 6.05%, 10/15/2046(d)   59,949
  Series 2016-C30 Class C  
785,000 4.04%, 09/15/2049(d)   621,664
596,164 NYMT Loan Trust(b)(d)
Series 2024-CP1 Class A1
3.75%,  02/25/2068  
547,951
  PRP Advisors LLC(b)  
  Series 2021-10 Class A1  
564,111 2.49%, 10/25/2026(e)   553,130
  Series 2021-2 Class A1  
163,281 5.12%, 03/25/2026(d)   161,694
  Series 2021-3 Class A1  
454,493 1.87%, 04/25/2026(d)(e)   446,614
  Series 2021-4 Class A1  
122,449 1.87%, 04/25/2026(e)   119,419
  Series 2021-5 Class A1  
569,594 1.79%, 06/25/2026(e)   556,949
  Series 2021-8 Class A1  
494,147 1.74%, 09/25/2026(d)   474,490
  Series 2021-9 Class A1  
599,847 2.36%, 10/25/2026(e)   584,541
  Series 2022-5 Class A1  
1,865,102 6.90%, 09/27/2027(e)   1,870,812
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
Non-Agency — (continued)
$       628,710 RCO VII Mortgage LLC(b)(e)
Series 2024-1 Class A1
7.02%,  01/25/2029  
$      626,831
        592,917 Redwood Funding Trust(b)(e)
Series 2023-1 Class A
7.50%,  07/25/2059  
       582,766
        345,168 Toorak Mortgage Corp Ltd(b)(e)
Series 2021-1 Class A1
3.24%,  06/25/2024  
       341,518
        250,000 Toorak Mortgage Trust(b)(e)
Series 2024-RRTL1 Class A1
6.60%,  02/25/2039  
       249,996
  Towd Point Mortgage Trust(b)(d)  
  Series 2016-3 Class M2  
        280,000 4.00%, 04/25/2056          271,960
  Series 2017-1 Class M1  
260,000 3.75%, 10/25/2056   248,038
  Series 2017-3 Class A2  
100,000 3.00%, 07/25/2057   95,219
  Series 2017-4 Class M2  
200,000 3.25%, 06/25/2057   169,655
  Series 2018-5 Class M1  
685,000 3.25%, 07/25/2058   564,202
  Series 2019-4 Class A1  
396,759 2.90%, 10/25/2059   370,813
  Series 2019-4 Class M1  
140,000 3.50%, 10/25/2059   120,583
  Series 2020-1 Class A2B  
100,000 3.25%, 01/25/2060   84,291
  Series 2020-2 Class A2B  
125,000 3.00%, 04/25/2060   101,611
  UBS Commercial Mortgage Trust  
  Series 2018-C10 Class A3  
1,481,430 4.05%, 05/15/2051   1,404,907
  Series 2018-C14 Class C  
100,000 5.20%, 12/15/2051(d)   84,067
  VCAT LLC(b)(e)  
  Series 2021-NPL1 Class A1  
96,258 5.29%, 12/26/2050   95,572
  Series 2021-NPL5 Class A1  
715,576 1.87%, 08/25/2051   697,543
  Series 2021-NPL6 Class A1  
1,006,762 1.92%, 09/25/2051   975,709
93,688 VOLT XCII LLC(b)(e)
Series 2021-NPL1 Class A1
4.89%,  02/27/2051  
91,359
284,775 VOLT XCIII LLC(b)(e)
Series 2021-NPL2 Class A1
4.89%,  02/27/2051  
276,354
Principal Amount(a)   Fair Value
Non-Agency — (continued)
$       246,408 VOLT XCIV LLC(b)(e)
Series 2021-NPL3 Class A1
5.24%,  02/27/2051  
$      240,768
        169,286 VOLT XCVI LLC(b)(e)
Series 2021-NPL5 Class A1
5.12%,  03/27/2051  
       165,623
        487,316 VOLT XCVII LLC(b)(e)
Series 2021-NPL6 Class A1
5.24%,  04/25/2051  
       477,881
  Wells Fargo Commercial Mortgage Trust  
  Series 2013-LC12 Class B  
        148,442 3.95%, 07/15/2046(d)          136,635
  Series 2016-C36 Class AS  
1,345,000 3.42%, 11/15/2059   1,249,485
  Series 2016-C36 Class B  
160,000 3.67%, 11/15/2059(d)   136,712
  WFRBS Commercial Mortgage Trust  
  Series 2013-C15 Class B  
860,000 4.19%, 08/15/2046(d)   722,364
  Series 2014-C20 Class B  
245,000 4.38%, 05/15/2047   201,015
  Series 2014-C24 Class B  
60,000 4.20%, 11/15/2047(d)   55,569
    38,435,136
U.S. Government Agency — 26.27%
  Federal Home Loan Mortgage Corp  
2,275,000 4.62%, 05/01/2028   2,247,047
2,300,000 4.34%, 08/01/2028   2,259,275
3,890 2.50%, 01/01/2029   3,722
1,854,000 4.20%, 01/01/2030   1,796,886
2,250,000 4.30%, 01/01/2030   2,190,556
3,794,000 4.41%, 01/01/2030 3,710,014
47,833 3.00%, 11/01/2034   44,799
15,614 2.50%, 06/01/2035   14,316
137,395 2.00%, 09/01/2035   122,639
103,898 2.00%, 10/01/2035   92,740
261,404 2.00%, 12/01/2035   233,329
35,903 3.00%, 09/01/2036   33,090
7,053,315 2.50%, 03/01/2037 6,445,071
2,237,540 2.50%, 04/01/2037   2,047,305
3,396,962 2.00%, 01/01/2042   2,851,460
3,265,920 2.50%, 01/01/2042   2,820,990
40,170 3.00%, 12/01/2046   35,368
28,797 4.00%, 05/01/2047   27,282
19,280 4.50%, 10/01/2047   18,758
25,823 4.00%, 02/01/2048   24,414
2,756 4.50%, 06/01/2048   2,673
7,763 4.00%, 10/01/2048   7,321
8,180 3.50%, 09/01/2049   7,433
478,562 3.50%, 10/01/2049   434,837
12,488 3.00%, 11/01/2049   10,876
3,994,781 3.00%, 02/01/2051   3,478,010
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
U.S. Government Agency — (continued)
$     2,179,487 2.00%, 03/01/2051   $    1,780,587
      5,331,873 2.00%, 05/01/2051      4,238,836
      3,818,328 3.00%, 07/01/2051       3,325,840
      3,164,804 2.50%, 10/01/2051       2,642,754
      3,806,102 2.50%, 02/01/2052       3,187,834
      3,874,696 3.00%, 04/01/2052       3,369,158
      3,977,704 3.50%, 05/01/2052       3,571,696
6,798,681 4.50%, 07/01/2052 6,532,613
4,180,445 3.50%, 08/01/2052   3,755,385
15,083,786 4.50%, 08/01/2052 14,396,075
3,955,101 4.50%, 09/01/2052   3,767,802
3,236,926 5.50%, 09/01/2052   3,227,978
7,192,881 5.00%, 10/01/2052 7,094,003
4,161,800 5.00%, 01/01/2053   4,084,235
2,317,280 5.50%, 01/01/2053   2,329,220
4,160,381 6.00%, 02/01/2053   4,225,892
3,832,131 5.50%, 05/01/2053   3,844,080
4,603,959 5.50%, 07/01/2053   4,606,575
3,329,884 5.50%, 08/01/2053   3,347,039
4,110,747 6.50%, 10/01/2053   4,240,227
  Federal Home Loan Mortgage Corp Multifamily Structured Pass Through Certificates  
  Series K045 Class A2  
2,451,338 3.02%, 01/25/2025   2,403,336
  Series K058 Class A2  
2,000,000 2.65%, 08/25/2026   1,904,185
  Series K059 Class A2  
650,000 3.12%, 09/25/2026(d)   625,120
  Series K061 Class A2  
4,347,712 3.35%, 11/25/2026(d)   4,183,196
  Series K061 Class AM  
2,068,605 3.44%, 11/25/2026(d)   1,995,831
  Series K062 Class AM  
2,500,000 3.51%, 12/25/2026   2,417,997
  Series K063 Class A2  
882,076 3.43%, 01/25/2027(d)   852,541
  Series K064 Class A1  
957,096 2.89%, 10/25/2026   926,271
  Series K064 Class A2  
505,000 3.22%, 03/25/2027   484,888
  Series K066 Class AM  
2,507,000 3.20%, 06/25/2027   2,399,474
  Series K067 Class A2  
75,000 3.19%, 07/25/2027   71,631
  Series K069 Class A2  
2,305,000 3.19%, 09/25/2027(d)   2,198,900
  Series K069 Class AM  
2,500,000 3.25%, 09/25/2027(d)   2,371,617
  Series K070 Class A2  
2,750,000 3.30%, 11/25/2027(d)   2,629,392
  Series K071 Class A2  
2,630,000 3.29%, 11/25/2027   2,511,678
  Series K073 Class A2  
2,300,000 3.35%, 01/25/2028   2,199,427
  Series K073 Class AM  
100,000 3.45%, 01/25/2028(d)   95,840
Principal Amount(a)   Fair Value
U.S. Government Agency — (continued)
  Series K074 Class A2  
$     2,750,000 3.60%, 01/25/2028   $    2,652,586
  Series K075 Class A2  
      2,344,000 3.65%, 02/25/2028(d)       2,260,437
  Series K076 Class A2  
      2,000,000 3.90%, 04/25/2028       1,944,900
  Series K077 Class A2  
2,500,000 3.85%, 05/25/2028(d)   2,425,186
  Series K078 Class A2  
2,250,000 3.85%, 06/25/2028   2,181,993
  Series K078 Class AM  
2,500,000 3.92%, 06/25/2028   2,423,434
  Series K084 Class A2  
2,250,000 3.78%, 10/25/2028   2,169,753
  Series K087 Class A2  
6,975,000 3.77%, 12/25/2028   6,721,112
  Series K095 Class A1  
26,061 2.63%, 11/25/2028   24,896
  Series K098 Class A2  
7,900,000 2.43%, 08/25/2029   7,097,922
  Series K154 Class A2  
7,000,000 3.42%, 04/25/2032   6,570,038
  Series K507 Class A2  
4,375,000 4.80%, 09/25/2028(d)   4,389,191
  Series K737 Class A2  
2,250,000 2.53%, 10/25/2026   2,131,610
  Series K740 Class A2  
750,000 1.47%, 09/25/2027   673,977
  Series KJ41 Class A2  
8,225,000 3.47%, 02/25/2031   7,578,122
  Federal Home Loan Mortgage Corp Real Estate Mortgage Investment Conduit  
  Series 4769 Class QL  
3,458,915 3.50%, 09/15/2047   3,155,832
  Series 5238 Class BC  
3,937,832 4.00%, 09/25/2049   3,729,582
426,315 Federal Home Loan Mortgage Corp Structured Agency Credit Risk Real Estate Mortgage Investment Conduit Trust(b)(c)
Series 2022-DNA3 Class M1A
7.32%,  04/25/2042
1-mo. SOFR + 2.00%
431,828
  Federal National Mortgage Association  
2,100,000 4.62%, 07/01/2028   2,077,277
197,444 3.00%, 10/01/2033   185,668
16,455 3.00%, 06/01/2034   15,424
16,350 3.00%, 07/01/2034   15,313
5,935 3.00%, 10/01/2034   5,559
7,323 3.00%, 11/01/2034   6,834
263,973 2.00%, 10/01/2035   235,624
256,841 2.00%, 11/01/2035   229,258
3,173,550 2.00%, 02/01/2037   2,828,657
2,994,429 2.00%, 03/01/2037   2,665,734
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
U.S. Government Agency — (continued)
$     2,905,362 2.50%, 03/01/2037   $    2,654,992
      3,867,923 2.50%, 04/01/2037       3,520,560
      3,474,188 2.50%, 02/01/2042       3,018,380
      4,066,351 5.00%, 05/01/2043       4,029,221
      4,495,887 5.00%, 06/01/2043       4,456,688
      7,734,935 2.50%, 03/01/2047       6,420,896
      4,752,161 3.50%, 07/01/2047       4,373,014
23,068 4.00%, 09/01/2047   21,851
7,327 3.50%, 03/01/2048   6,681
5,577 4.00%, 06/01/2048   5,260
3,997,904 3.00%, 01/01/2049   3,551,446
5,914 3.00%, 12/01/2049   5,144
5,613 3.00%, 01/01/2050   4,892
26,466 2.50%, 05/01/2050   22,076
262,024 2.50%, 06/01/2050 218,433
142,672 2.50%, 07/01/2050   118,981
16,361 2.50%, 08/01/2050 13,619
4,335,876 2.00%, 11/01/2050   3,505,180
3,030,652 2.00%, 12/01/2050   2,475,959
3,567,127 2.00%, 01/01/2051   2,913,396
611,540 2.00%, 05/01/2051   489,408
4,410,361 2.50%, 08/01/2051   3,658,783
4,319,985 2.00%, 10/01/2051   3,447,987
3,343,070 2.50%, 10/01/2051   2,796,474
3,741,523 2.00%, 11/01/2051   3,012,267
7,105,344 2.50%, 01/01/2052 5,897,855
7,157,305 3.50%, 01/01/2052 6,443,096
11,505,953 2.50%, 02/01/2052 9,623,589
18,805,512 2.00%, 03/01/2052 15,148,325
3,639,128 2.50%, 03/01/2052   3,050,164
13,878,138 3.00%, 03/01/2052 12,074,289
3,144,793 3.50%, 04/01/2052   2,867,329
8,051,564 4.00%, 06/01/2052 7,499,639
3,442,441 4.00%, 07/01/2052   3,203,613
3,252,791 5.00%, 07/01/2052   3,225,736
3,914,931 4.00%, 08/01/2052   3,631,091
2,732,486 5.00%, 08/01/2052   2,667,992
3,917,483 4.50%, 09/01/2052   3,763,663
3,460,043 5.00%, 10/01/2052   3,403,851
3,429,285 5.50%, 10/01/2052   3,419,799
3,819,087 5.00%, 11/01/2052   3,767,393
4,092,813 5.00%, 02/01/2053   4,002,113
2,321,829 6.00%, 08/01/2053   2,347,722
1,352,089 6.00%, 09/01/2053   1,364,307
4,037,606 6.00%, 11/01/2053   4,098,367
  Federal National Mortgage Association Alternative Credit Enhancement Security  
  Series 2016-M5 Class A2  
2,193,329 2.47%, 04/25/2026   2,088,772
  Series 2017-M1 Class A2  
1,822,223 2.42%, 10/25/2026(d)   1,720,579
  Series 2018-M2 Class A2  
2,017,310 2.91%, 01/25/2028(d)   1,902,168
  Series 2018-M3 Class A2  
4,117,403 3.07%, 02/25/2030(d)   3,800,740
  Series 2023-M5 Class 2A2  
4,775,000 4.50%, 07/25/2028(d)   4,710,559
Principal Amount(a)   Fair Value
U.S. Government Agency — (continued)
  Government National Mortgage Association  
$        18,186 3.50%, 04/20/2047   $       16,744
         10,952 4.00%, 04/20/2047           10,383
         18,054 3.00%, 02/20/2048           16,106
         23,445 3.50%, 02/20/2048           21,576
      3,393,847 2.50%, 03/20/2051       2,883,319
      2,190,289 3.00%, 08/20/2051       1,931,266
7,983,794 2.50%, 11/20/2051   6,803,293
8,314,875 2.00%, 12/20/2051   6,812,144
7,703,488 3.50%, 02/20/2052   7,008,012
3,358,726 3.50%, 06/20/2052   3,055,481
4,040,415 4.00%, 07/20/2052   3,783,666
3,962,880 3.50%, 08/20/2052   3,605,083
12,207,254 4.50%, 08/20/2052   11,737,492
4,836,669 4.50%, 09/20/2052 4,653,262
3,679,960 5.00%, 09/20/2052   3,627,400
3,690,488 5.00%, 10/20/2052   3,647,167
8,690,861 5.00%, 05/20/2053   8,539,795
9,569,549 5.00%, 06/20/2053 9,450,121
    463,693,760
TOTAL MORTGAGE-BACKED SECURITIES — 28.45%
(Cost $533,529,716)
$502,128,896
U.S. GOVERNMENT AGENCY BONDS AND NOTES
  Federal Farm Credit Banks Funding Corp  
6,731,000 4.88%, 03/14/2025 6,720,943
8,000,000 4.50%, 03/13/2026 7,968,682
20,000,000 Resolution Funding Corp Principal Strip(j)
0.00%, 04/15/2030  
15,138,634
5,000,000 Tennessee Valley Authority
0.75%, 05/15/2025  
4,770,204
TOTAL U.S. GOVERNMENT AGENCY BONDS AND NOTES — 1.96%
(Cost $34,591,478)
$34,598,463
U.S. TREASURY BONDS AND NOTES
  United States Treasury Note/Bond  
84,565,000 4.63%, 02/28/2026(f) 84,495,630
14,600,000 0.75%, 08/31/2026 13,345,882
15,000,000 2.63%, 05/31/2027 14,214,258
4,100,000 4.13%, 10/31/2027 4,067,488
20,800,000 3.50%, 01/31/2028 20,191,438
23,860,000 4.25%, 02/28/2029(f) 23,891,688
17,000,000 3.88%, 11/30/2029(l) 16,693,203
52,700,000 3.88%, 08/15/2033 51,300,155
19,900,000 4.00%, 02/15/2034 19,570,406
6,000,000 4.00%, 11/15/2042 5,651,719
5,700,000 3.88%, 02/15/2043 5,269,160
32,000,000 4.75%, 11/15/2043 33,195,000
12,900,000 2.50%, 02/15/2045 9,432,621
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount(a)   Fair Value
U.S. Treasury Bonds and Notes — (continued)
$    17,425,000 2.00%, 02/15/2050 $   10,913,767
      6,680,000 1.25%, 05/15/2050     3,416,455
     11,700,000 1.38%, 08/15/2050     6,178,606
     17,400,000 2.00%, 08/15/2051    10,780,524
     22,940,000 2.88%, 05/15/2052    17,357,336
     11,500,000 3.63%, 05/15/2053    10,103,828
TOTAL U.S. TREASURY BONDS AND NOTES — 20.40%
(Cost $371,205,953)
$360,069,164
Shares    
COMMON STOCK
Communications — 0.09%
285,795 Altice USA Inc Class A(m) 745,925
71,941 Paramount Global Class B 846,746
    1,592,671
Consumer, Non-Cyclical — 0.10%
4,423 AbbVie Inc 805,428
515 Clarivate PLC(m) 3,826
1,751 Elevance Health Inc 907,964
    1,717,218
Energy — 0.10%
9,149 Diamondback Energy Inc 1,813,057
TOTAL COMMON STOCK — 0.29%
(Cost $7,825,409)
$5,122,946
CONVERTIBLE PREFERRED STOCK
Consumer, Non-Cyclical — 0.02%
11,140 Clarivate PLC 5.25% 331,304
Energy — 0.00%(n)
396 El Paso Energy Capital
Trust I 4.75%
18,992
Financial — 0.10%
822 Bank of America Corp 7.25% 981,360
595 Wells Fargo & Co 7.50% 725,816
    1,707,176
TOTAL CONVERTIBLE PREFERRED STOCK — 0.12%
(Cost $3,219,900)
$2,057,472
Principal Amount   Fair Value
SHORT TERM INVESTMENTS
U.S. Government Agency Bonds and Notes — 1.41%
  Federal Home Loan Bank(j)  
$    10,000,000 5.34%, 04/10/2024
$    9,982,474
      5,000,000 5.29%, 04/11/2024
    4,990,592
     10,000,000 5.35%, 04/23/2024
    9,963,504
    24,936,570
U.S. Treasury Bonds and Notes — 0.91%
16,220,000 U.S. Treasury Bills(j)(l)
5.25%, 06/27/2024
16,012,887
Repurchase Agreements — 7.04%
31,077,187 Undivided interest of 17.38% in a repurchase agreement (principal amount/value $179,328,251 with a maturity value of $179,434,652) with Citigroup Global Markets Inc, 5.34%, dated 3/28/24 to be repurchased at $31,077,187 on 4/1/24 collateralized by Government National Mortgage Association securities, 2.00% - 6.50%, 9/20/44 - 1/20/54, with a value of $182,914,816.(o) 31,077,187
31,077,187 Undivided interest of 17.42% in a repurchase agreement (principal amount/value $178,876,340 with a maturity value of $178,982,473) with HSBC Securities (USA) Inc, 5.34%, dated 3/28/24 to be repurchased at $31,077,187 on 4/1/24 collateralized by various U.S. Government Agency securities, 1.50% - 7.50%, 1/1/31 - 8/1/59, with a value of $182,453,867.(o) 31,077,187
31,077,187 Undivided interest of 17.51% in a repurchase agreement (principal amount/value $177,916,671 with a maturity value of $178,022,037) with RBC Capital Markets Corp, 5.33%, dated 3/28/24 to be repurchased at $31,077,187 on 4/1/24 collateralized by U.S. Treasury securities and various U.S. Government Agency securities, 0.00% - 8.00%, 4/4/24 - 3/1/54, with a value of $181,475,005.(o) 31,077,187
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount   Fair Value
Repurchase Agreements — (continued)
$    31,077,187 Undivided interest of 82.14% in a repurchase agreement (principal amount/value $37,884,479 with a maturity value of $37,906,873) with Mizuho Securities (USA) LLC, 5.32%, dated 3/28/24 to be repurchased at $31,077,187 on 4/1/24 collateralized by U.S. Treasury securities, 0.25% - 2.88%, 6/15/24 - 5/15/32, with a value of $38,642,182.(o) $   31,077,187
    124,308,748
TOTAL SHORT TERM INVESTMENTS — 9.36%
(Cost $165,258,205)
$165,258,205
TOTAL INVESTMENTS — 105.63%
(Cost $1,962,559,988)
$1,864,504,094
OTHER ASSETS & LIABILITIES, NET — (5.63)% $(99,327,933)
TOTAL NET ASSETS — 100.00% $1,765,176,161
(a) Amount is stated in U.S. dollars unless otherwise noted.
(b) Represents securities sold under Rule 144A, which are exempt from registration under the Securities Act of 1933, as amended.
(c) Adjustable rate security; interest rate is subject to change. Interest rate shown reflects the rate in effect at March 28, 2024.
(d) Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description above.
(e) Step bond; a zero coupon bond that converts to a fixed rate or variable interest rate at a designated future date. Rate disclosed represents effective yield at March 28, 2024. Maturity date disclosed represents final maturity date.
(f) All or a portion of the security is on loan at March 28, 2024.
(g) Security has no contractual maturity date and pays an indefinite stream of interest.
(h) Security in default.
(i) Security is a payment-in-kind bond (PIK); income may be received in cash or additional securities at the discretion of the issuer.
(j) Zero coupon bond; the interest rate shown is the effective yield on date of purchase.
(k) Principal amount is stated in 100 Mexican Peso Units.
(l) All or a portion of the security has been segregated to cover initial margin requirements on open futures contracts.
(m) Non-income producing security.
(n) Represents less than 0.005% of net assets.
(o) Collateral received for securities on loan.
LP Limited Partnership
REIT Real Estate Investment Trust
SOFR Secured Overnight Financing Rate is the secured interbank overnight interest rate and reference rate.
At March 28, 2024 the Fund held the following outstanding exchange traded futures contracts:
Description Number of
Contracts
Notional Amount
(000)
Expiration
Date
Fair Value and
Net Unrealized
Appreciation/
(Depreciation)
Short          
U.S. 10 Year Treasury Ultra Futures 1,643 USD 188,303 Jun 2024 $(873,259)
U.S. 5 Year Treasury Note Futures 1,062 USD 113,651 Jun 2024 600,998
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: FLEXIBLE BOND FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
At March 28, 2024 the Fund held the following outstanding exchange traded futures contracts:
Description Number of
Contracts
Notional Amount
(000)
Expiration
Date
Fair Value and
Net Unrealized
Appreciation/
(Depreciation)
Long          
U.S. 10 Year Treasury Note Futures 868 USD 96,172 Jun 2024 $578,000
U.S. 2 Year Treasury Note Futures 121 USD 24,742 Jun 2024 (24,656)
U.S. Long Bond Futures 1,724 USD 207,634 Jun 2024 2,203,537
U.S. Ultra Bond Futures 372 USD 47,988 Jun 2024 513,743
        Net Appreciation $2,998,363
Currency Abbreviations  
AUD Australian Dollar
BRL Brazilian Real
EUR Euro Dollar
GBP British Pound
IDR Indonesian Rupiah
MXN Mexican Peso
NOK Norwegian Krone
NZD New Zealand Dollar
USD U.S. Dollar
ZAR South African Rand
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: INFLATION-PROTECTED SECURITIES FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount   Fair Value
ASSET-BACKED SECURITIES
Non-Agency — 4.04%
$   1,750,000 Balboa Bay Loan Funding(a)(b)
Series 2023-1A Class AR
6.74%, 04/20/2036
3-mo. SOFR + 1.42%
$  1,750,313
      925,000 Brookhaven Park Ltd(a)(b)
Series 2024-1A Class A
6.82%, 04/19/2037
3-mo. SOFR + 1.50%
     925,164
    1,525,000 Carlyle US Ltd(a)(b)
Series 2024-1A Class A
6.82%, 04/15/2037
3-mo. SOFR + 1.53%
  1,527,652
    1,800,000 CIFC Falcon 2020 Ltd(a)(b)
Series 2019-FAL Class A
6.58%, 01/20/2033
3-mo. SOFR + 1.26%
  1,800,848
    1,225,000 Citizens Auto Receivables Trust(a)
Series 2024-1 Class A2A
5.43%, 10/15/2026  
  1,224,319
      625,000 Exeter Automobile Receivables Trust
Series 2024-1A Class A3
5.31%, 08/16/2027  
     623,042
900,000 Ford Credit Auto Owner Trust(a)
Series 2024-1 Class A
4.87%, 08/15/2036  
900,104
1,200,000 GM Financial Consumer Automobile Receivables Trust
Series 2024-1 Class A2A
5.12%, 02/16/2027  
1,197,362
326,599 JPMorgan Mortgage Trust(a)(b)
Series 2023-HE3 Class A1
6.92%, 05/25/2054
1-mo. SOFR + 1.60%
328,637
850,000 Neuberger Berman Loan Advisers 54 Ltd(a)(b)
Series 2024-54A Class D
8.81%, 04/23/2038
3-mo. SOFR + 3.50%
850,104
1,250,000 Oaktree Ltd(a)(b)
Series 2024-25A Class A
6.85%, 04/20/2037
3-mo. SOFR + 1.55%
1,248,875
1,250,000 OCP Ltd(a)(b)
Series 2016-11A Class A1R2
6.74%, 04/26/2036
3-mo. SOFR + 1.42%
1,250,207
800,000 Santander Drive Auto Receivables Trust
Series 2024-1 Class A2
5.71%, 02/16/2027  
800,426
1,400,000 Toyota Auto Receivables Owner Trust
Series 2023-B Class A3
4.71%, 02/15/2028  
1,389,666
TOTAL ASSET-BACKED SECURITIES — 4.04%
(Cost $15,821,830)
$15,816,719
Principal Amount   Fair Value
CORPORATE BONDS AND NOTES
Communications — 0.79%
$     174,000 Cisco Systems Inc
5.05%, 02/26/2034
$    176,343
    1,310,000 Rogers Communications Inc
3.20%, 03/15/2027
  1,243,552
    1,785,000 T-Mobile USA Inc
3.88%, 04/15/2030
  1,672,156
    3,092,051
Consumer, Cyclical — 0.49%
    1,830,000 Lowe's Cos Inc
3.75%, 04/01/2032
  1,680,956
237,000 Marriott International Inc
4.88%, 05/15/2029
234,594
    1,915,550
Consumer, Non-Cyclical — 0.61%
550,000 AbbVie Inc(c)
4.80%, 03/15/2029
550,807
560,000 Bristol-Myers Squibb Co(c)
4.90%, 02/22/2029
562,357
145,000 Humana Inc
5.95%, 03/15/2034
150,561
  Solventum Corp(a)  
755,000 5.40%, 03/01/2029 756,522
375,000 5.60%, 03/23/2034 376,227
    2,396,474
Financial — 1.29%
1,740,000 Bank of America Corp
4.27%, 07/23/2029
1,677,213
1,950,000 JPMorgan Chase & Co
2.52%, 04/22/2031
1,685,348
1,940,000 Morgan Stanley
2.70%, 01/22/2031
1,694,949
    5,057,510
Industrial — 0.64%
880,000 Boeing Co
2.20%, 02/04/2026
823,855
1,720,000 RTX Corp
4.13%, 11/16/2028
1,663,727
    2,487,582
Technology — 0.06%
241,000 Constellation Software Inc(a)
5.16%, 02/16/2029
240,744
TOTAL CORPORATE BONDS AND NOTES — 3.88%
(Cost $15,067,312)
$15,189,911
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: INFLATION-PROTECTED SECURITIES FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount   Fair Value
MORTGAGE-BACKED SECURITIES
Non-Agency — 3.66%
$     450,000 Barclays Commercial Mortgage Securities Trust
Series 2024-C24 Class A5
5.42%,  02/15/2057  
$    462,886
      525,000 BMO Mortgage Trust(d)
Series 2022-C2 Class A5
4.81%,  07/15/2054  
     519,141
      883,719 BRAVO Residential Funding Trust(a)(e)
Series 2024-NQM1 Class A1
5.94%,  12/01/2063  
     881,616
  BX Trust(a)(b)  
  Series 2024-BIO Class A  
   1,500,000 6.97%, 02/15/2041
1-mo. SOFR + 1.64%
  1,502,344
  Series 2024-XL4 Class A  
1,175,000 6.77%, 02/15/2039
1-mo. SOFR + 1.44%
1,175,367
  Series 2024-XL5 Class A  
625,000 6.69%, 03/15/2041
1-mo. SOFR + 1.39%
625,315
  Chase Home Lending Mortgage Trust(a)(d)  
  Series 2024-3 Class A5  
200,000 6.00%, 02/25/2055   203,044
  Series 2024-3 Class A5A  
250,000 5.50%, 02/25/2055   247,455
  Series 2024-3 Class A7  
100,000 6.00%, 02/25/2055   101,170
338,835 COLT Mortgage Loan Trust(a)(d)
Series 2021-HX1 Class A2
1.35%,  10/25/2066  
279,303
  DC Trust(a)(d)  
  Series 2024-HLTN Class A  
400,000 5.73%, 04/13/2028   399,960
  Series 2024-HLTN Class B  
400,000 6.46%, 04/13/2028   399,960
  JPMorgan Mortgage Trust(a)(d)  
  Series 2023-DSC1 Class A1  
558,808 4.63%, 07/25/2063   533,992
  Series 2024-1 Class A2  
1,172,311 6.00%, 06/25/2054   1,169,288
975,000 Ladder Capital Commercial Mortgage(a)
Series 2017-LC26 Class A4
3.55%,  07/12/2050  
919,752
  MSWF Commercial Mortgage Trust  
  Series 2023-2 Class A2  
625,000 6.89%, 12/15/2056   656,640
  Series 2023-2 Class A5  
575,000 6.01%, 12/15/2056(d)   615,134
  Onslow Bay Financial LLC(a)(e)  
  Series 2024-NQM1 Class A1  
1,099,832 5.93%, 11/25/2063   1,098,267
  Series 2024-NQM1 Class A2  
97,763 6.25%, 11/25/2063   97,663
Principal Amount   Fair Value
Non-Agency — (continued)
  Series 2024-NQM2 Class A1  
$   1,862,738 5.88%, 12/25/2063   $  1,858,317
      575,000 SCG Mortgage Trust(a)(b)
Series 2024-MSP Class A
7.04%,  04/15/2041
1-mo. SOFR + 1.74%
    573,563
    14,320,177
U.S. Government Agency — 2.61%
  Connecticut Avenue Securities Trust(a)(b)  
  Series 2024-R01 Class 1B1  
375,000 8.02%, 01/25/2044
1-mo. SOFR + 2.70%
376,816
  Series 2024-R01 Class 1M2  
250,000 7.12%, 01/25/2044
1-mo. SOFR + 1.80%
250,755
  Series 2024-R02 Class 1M2  
775,000 7.12%, 02/25/2044
1-mo. SOFR + 1.80%
778,611
  Federal Home Loan Mortgage Corp Structured Agency Credit Risk Real Estate Mortgage Investment Conduit Trust(a)(b)  
  Series 2024-HQA1 Class A1  
300,000 6.57%, 03/25/2044
1-mo. SOFR + 1.25%
300,750
  Series 2024-HQA1 Class M1  
300,000 6.57%, 03/25/2044
1-mo. SOFR + 1.25%
300,188
  Series 2024-HQA1 Class M2  
75,000 7.32%, 03/25/2044
1-mo. SOFR + 2.00%
75,023
  Federal Home Loan Mortgage Corp Structured Agency Credit Risk Trust(a)(b)  
  Series 2018-DNA3 Class M2A  
272,766 6.34%, 09/25/2048
1-mo. SOFR + 1.01%
272,780
  Series 2018-DNA3 Class M2A  
1,127,013 7.54%, 09/25/2048
1-mo. SOFR + 2.21%
1,131,978
7,000,000 Government National Mortgage Association
4.50%, TBA   
6,725,801
    10,212,702
TOTAL MORTGAGE-BACKED SECURITIES — 6.27%
(Cost $24,535,157)
$24,532,879
U.S. TREASURY BONDS AND NOTES
  U.S. Treasury Inflation Indexed Bonds TIPS  
32,572,532(f) 0.63%, 01/15/2026 31,641,210
24,231,879(f) 0.13%, 07/15/2026 23,228,056
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: INFLATION-PROTECTED SECURITIES FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount   Fair Value
U.S. Treasury Bonds and Notes — (continued)
$  22,755,192(f) 0.38%, 01/15/2027 $ 21,707,759
  94,055,112(f) 1.63%, 10/15/2027  93,164,320
    9,633,414(f) 0.50%, 01/15/2028   9,116,570
  18,826,563(f) 2.38%, 10/15/2028  19,265,968
  30,465,712(f) 0.13%, 01/15/2030  27,589,281
  31,131,690(f) 0.13%, 07/15/2030  28,049,439
  10,786,537(f) 1.13%, 01/15/2033  10,117,502
27,689,966(f) 1.38%, 07/15/2033 26,578,190
32,114,559(f) 1.75%, 01/15/2034 31,708,635
11,125,186(f) 1.50%, 02/15/2053 9,711,618
TOTAL U.S. TREASURY BONDS AND NOTES — 84.84%
(Cost $327,410,925)
$331,878,548
SHORT TERM INVESTMENTS
Repurchase Agreements — 0.05%
195,020 Undivided interest of 0.11% in a repurchase agreement (principal amount/value $177,916,671 with a maturity value of $178,022,037) with RBC Capital Markets Corp, 5.33%, dated 3/28/24 to be repurchased at $195,020 on 4/1/24 collateralized by U.S. Treasury securities and various U.S. Government Agency securities, 0.00% - 8.00%, 4/4/24 - 3/1/54, with a value of $181,475,005.(g) 195,020
TOTAL SHORT TERM INVESTMENTS — 0.05%
(Cost $195,020)
$195,020
TOTAL INVESTMENTS — 99.08%
(Cost $383,030,244)
$387,613,077
OTHER ASSETS & LIABILITIES, NET — 0.92% $3,590,608
TOTAL NET ASSETS — 100.00% $391,203,685
(a) Represents securities sold under Rule 144A, which are exempt from registration under the Securities Act of 1933, as amended.
(b) Adjustable rate security; interest rate is subject to change. Interest rate shown reflects the rate in effect at March 28, 2024.
(c) All or a portion of the security is on loan at March 28, 2024.
(d) Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description above.
(e) Step bond; a zero coupon bond that converts to a fixed rate or variable interest rate at a designated future date. Rate disclosed represents effective yield at March 28, 2024. Maturity date disclosed represents final maturity date.
(f) Principal amount of the security is adjusted for inflation.
(g) Collateral received for securities on loan.
SOFR Secured Overnight Financing Rate is the secured interbank overnight interest rate and reference rate.
TBA To Be Announced
TIPS Treasury Inflation Protected Securities
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: INFLATION-PROTECTED SECURITIES FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
At March 28, 2024 the Fund held the following outstanding exchange traded futures contracts:
Description Number of
Contracts
Notional Amount
(000)
Expiration
Date
Fair Value and
Net Unrealized
Appreciation/
(Depreciation)
Long          
U.S. 10 Year Treasury Note Futures 261 USD 28,918 Jun 2024 $126,154
U.S. 2 Year Treasury Note Futures 3 USD 613 Jun 2024 563
U.S. 5 Year Treasury Note Futures 229 USD 24,507 Jun 2024 49,028
Short          
U.S. 10 Year Treasury Ultra Futures 37 USD 4,241 Jun 2024 (26,434)
U.S. Long Bond Futures 20 USD 2,409 Jun 2024 (19,533)
U.S. Ultra Bond Futures 148 USD 19,092 Jun 2024 (228,693)
        Net Depreciation $(98,915)
At March 28, 2024, the Fund held the following outstanding centrally cleared interest rate swaps:
Rate Received by
the Fund
Receive
Frequency
Rate Paid by the Fund Pay
Frequency
Notional Amount
(000)
Maturity Date Net Unrealized
Appreciation/
(Depreciation)
1-day SOFR Annual 2.68% Annual USD 7,240 07/28/2032 $437,397
2.91 Annual 1-day SOFR Annual USD 18,940 07/28/2037 (650,944)
1-day SOFR Annual 2.08% Annual USD 18,040 07/28/2047 470,229
3.39 Annual 1-day SOFR Annual USD 24,050 05/10/2038 (262,274)
1-day SOFR Annual 2.56% Annual USD 20,470 05/11/2053 445,711
4.31 Annual 1-day SOFR Annual USD 7,130 10/05/2033 259,857
1-day SOFR Annual 3.61% Annual USD 4,640 11/15/2053 (205,762)
3.73 Annual 1-day SOFR Annual USD 3,500 11/28/2027 51,885
1-day SOFR Annual 3.51% Annual USD 1,190 11/29/2053 (23,637)
3.85 Annual 1-day SOFR Annual USD 7,480 11/15/2033 139,789
1-day SOFR Annual 3.98% Annual USD 22,660 08/31/2028 (241,101)
            Net Appreciation $421,150
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: INTERNATIONAL EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Shares   Fair Value
COMMON STOCK
Basic Materials — 5.20%
9,998 Air Liquide SA $  2,080,077
3,183 Akzo Nobel NV     237,827
33,321 Anglo American PLC     821,038
7,580 Antofagasta PLC     194,604
9,460 ArcelorMittal SA     260,029
7,011 Arkema SA     738,119
24,200 Asahi Kasei Corp 177,465
17,192 BASF SE 982,421
96,617 BHP Group Ltd 2,793,572
113,775 BlueScope Steel Ltd 1,769,551
5,734 Boliden AB 159,220
2,425 Brenntag SE 204,382
3,761 Clariant AG 50,886
3,686 Covestro AG(a)(b) 201,625
2,483 Croda International PLC 153,605
23,564 DSM-Firmenich AG 2,679,991
139 EMS-Chemie Holding AG(b) 106,532
3,114 Endeavour Mining PLC 63,150
4,853 Evonik Industries AG 95,994
113,903 Fortescue Ltd 1,906,166
177 Givaudan SA 787,958
197,769 Glencore PLC 1,085,143
1,732 Holmen AB Class B 70,458
66,538 ICL Group Ltd 352,640
10,600 JFE Holdings Inc 175,680
22,600 Kaneka Corp 562,377
33,500 Kingboard Holdings Ltd 68,397
54,900 Kuraray Co Ltd 588,059
3,571 Mineral Resources Ltd 164,759
112,300 Mitsubishi Chemical Group Corp 684,387
8,100 Mitsubishi Gas Chemical Co Inc 135,876
24,900 Mitsui Chemicals Inc 730,466
9,306 Mondi PLC 163,850
16,800 Nippon Paint Holdings Co Ltd 120,913
2,900 Nippon Sanso Holdings Corp 90,990
16,200 Nippon Soda Co Ltd(b) 648,614
16,300 Nippon Steel Corp 392,251
2,300 Nissan Chemical Corp 87,115
2,600 Nitto Denko Corp 237,749
28,200 Norsk Hydro ASA 154,970
21,931 Northern Star Resources Ltd 206,931
6,988 Novonesis / Novozymes Class B 411,045
2,351 OCI NV 64,438
51,234 Pilbara Minerals Ltd 127,851
37,769 Rio Tinto Ltd 2,997,542
21,466 Rio Tinto PLC 1,356,913
34,300 Shin-Etsu Chemical Co Ltd 1,504,465
5,105 Smurfit Kappa Group PLC 232,768
4,700 Solvay SA 128,271
91,871 South32 Ltd 179,270
4,300 Sumitomo Metal Mining Co Ltd 128,399
6,081 Syensqo SA(b) 576,210
2,486 Symrise AG 297,602
34,400 Tokuyama Corp 602,391
Shares   Fair Value
Basic Materials — (continued)
47,300 Tokyo Steel Manufacturing Co Ltd $    518,664
24,400 Toray Industries Inc     117,165
5,600 UBE Corp      99,761
3,617 Umicore SA      77,981
9,757 UPM-Kymmene OYJ     325,072
2,260 voestalpine AG      63,400
9,300 Yamato Kogyo Co Ltd     529,002
16,124 Yara International ASA 511,278
    34,035,325
Communications — 5.18%
5,860 Adevinta ASA(b) 61,426
406,000 Airtel Africa PLC(a) 542,343
18,807 Auto Trader Group PLC(a) 166,035
649,600 Bezeq The Israeli Telecommunication Corp Ltd 834,722
11,652 Bollore SE(b) 77,849
940,738 BT Group PLC 1,301,349
7,077 CAR Group Ltd 166,351
3,418 Delivery Hero SE(a)(b) 97,736
3,800 Dentsu Group Inc 105,514
61,782 Deutsche Telekom AG 1,499,732
2,470 Elisa OYJ(b) 110,121
33,669 Grab Holdings Ltd Class A(b) 105,721
300 Hikari Tsushin Inc 56,421
61,000 HKT Trust & HKT Ltd 71,174
26,535 Informa PLC 278,338
11,800 IPSOS SA 831,898
44,400 KDDI Corp 1,312,762
68,258 Koninklijke KPN NV(b) 255,314
46,100 LY Corp 116,770
8,300 M3 Inc 119,448
2,000 MercadoLibre Inc(b) 3,023,920
37,700 Metropole Television SA(b) 562,011
5,700 MonotaRO Co Ltd 68,611
1,241 Nice Ltd(b) 322,959
9,000 Nice Ltd Sponsored ADR(b)(c) 2,345,580
1,455,100 Nippon Telegraph & Telephone Corp 1,733,174
60,300 Nippon Television Holdings Inc 882,761
231,801 Nokia OYJ 822,455
114,000 NOS SGPS SA 445,959
101,245 Orange SA 1,190,647
10,971 Pearson PLC 144,391
28,025 Prosus NV 877,196
15,205 Publicis Groupe SA 1,657,662
28,700 Rakuten Group Inc(b) 162,904
19,800 Reach PLC(b) 19,645
1,540 Scout24 SE(a) 116,021
6,908 Sea Ltd ADR(b) 371,029
6,952 SEEK Ltd 113,363
40,000 Shopify Inc Class A(b) 3,086,800
159,300 Singapore Telecommunications Ltd 299,376
54,800 SoftBank Corp 705,547
19,600 SoftBank Group Corp 1,163,954
36,488 Spark New Zealand Ltd 103,876
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: INTERNATIONAL EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Shares   Fair Value
Communications — (continued)
515 Swisscom AG $    315,209
12,092 Tele2 AB Class B      99,293
209,032 Telecom Italia SpA(b)      50,763
159,048 Telefonaktiebolaget LM Ericsson Class B     855,386
233,291 Telefonica SA   1,030,275
11,377 Telenor ASA     126,539
32,700 Television Francaise 1 SA     298,694
47,999 Telia Co AB 123,019
79,349 Telstra Group Ltd 199,596
2,600 Trend Micro Inc 132,045
29,500 United Internet AG 663,873
11,846 Vivendi SE 129,096
423,783 Vodafone Group PLC 375,810
1,087 Wix.com Ltd(b) 149,441
4,740 Wolters Kluwer NV 742,238
21,145 WPP PLC 200,341
2,100 ZOZO Inc 52,122
    33,874,605
Consumer, Cyclical — 15.70%
3,371 Accor SA 157,380
3,088 adidas AG 689,951
3,200 Aisin Corp 130,761
3,100 ANA Holdings Inc 64,788
10,532 Aristocrat Leisure Ltd 294,905
29,238 Associated British Foods PLC 922,114
1,599 Avolta AG(b) 66,578
12,200 Bandai Namco Holdings Inc 226,373
65,281 Barratt Developments PLC 391,739
27,558 Bayerische Motoren Werke AG 3,179,620
6,600 Bellway PLC 221,236
2,097 Berkeley Group Holdings PLC 125,989
58,700 Betsson AB Class B 580,824
9,800 Bilia AB Class A(b) 125,598
11,100 Bridgestone Corp 491,949
6,259 Bunzl PLC 240,752
6,398 Burberry Group PLC 97,826
10,247 Cie Financiere Richemont SA 1,560,007
30,670 Cie Generale des Etablissements Michelin SCA 1,175,382
135,600 Citizen Watch Co Ltd 893,563
6,100 City Developments Ltd 26,424
32,575 Compass Group PLC 955,098
2,313 Continental AG 166,964
30,000 CTS Eventim AG & Co KGaA 2,667,395
38,072 Daimler Truck Holding AG 1,929,296
11,600 Daiwa House Industry Co Ltd 345,279
8,100 Daiwabo Holdings Co Ltd(b) 135,604
24,300 DCM Holdings Co Ltd 235,034
36,400 Denso Corp 697,121
12,216 Deutsche Lufthansa AG(b) 96,010
484 D'ieteren Group 107,304
11,311 Entain PLC 113,477
52,300 Europris ASA(a)(b) 376,659
3,494 Evolution AB(a) 433,969
3,400 Fast Retailing Co Ltd 1,053,409
Shares   Fair Value
Consumer, Cyclical — (continued)
2,403 Ferrari NV $  1,047,797
3,374 Flutter Entertainment PLC(b)     668,743
74,400 Frasers Group PLC(b)     762,973
45,000 Galaxy Entertainment Group Ltd     226,218
125,893 Genting Singapore Ltd      82,565
13,252 H & M Hennes & Mauritz AB Class B     216,088
177,800 Harvey Norman Holdings Ltd     596,695
604 Hermes International SCA 1,543,697
265,400 Honda Motor Co Ltd 3,283,978
2,600 Hornbach Holding AG & Co KGaA 208,874
1,900 Hoshizaki Corp 69,325
90,300 IDOM Inc(b) 622,759
3,200 Iida Group Holdings Co Ltd 41,413
1,171 IMCD NV 206,108
20,929 Industria de Diseno Textil SA 1,053,910
3,079 InterContinental Hotels Group PLC 319,867
89,700 Isuzu Motors Ltd 1,212,515
37,400 ITOCHU Corp 1,606,689
24,800 Iveco Group NV(b) 369,451
2,400 Japan Airlines Co Ltd 45,571
40,600 Jardine Cycle & Carriage Ltd 726,927
19,400 JB Hi-Fi Ltd 812,131
51,327 JD Sports Fashion PLC 87,165
123,600 JVCKenwood Corp 760,585
3,400 Kaufman & Broad SA(b) 99,127
1,389 Kering SA 550,162
400,326 Kingfisher PLC 1,259,430
3,400 Kohnan Shoji Co Ltd 98,059
3,900 Koito Manufacturing Co Ltd 52,571
23,400 Komeri Co Ltd 533,536
1,748 La Francaise des Jeux SAEM(a) 71,245
40,516 Lottery Corp Ltd 135,874
5,264 LVMH Moet Hennessy Louis Vuitton SE 4,736,545
121,800 Marubeni Corp 2,109,534
6,200 MatsukiyoCocokara & Co 99,553
10,400 Mazda Motor Corp 120,532
1,400 McDonald's Holdings Co Japan Ltd 62,954
39,394 Mercedes-Benz Group AG 3,137,227
113,400 Mitsubishi Corp 2,620,813
43,100 Mitsui & Co Ltd 2,014,993
31,600 Mitsui-Soko Holdings Co Ltd 976,380
3,937 Moncler SpA 293,783
2,279 Next PLC 265,593
19,800 Nintendo Co Ltd 1,080,379
49,200 Nissan Motor Co Ltd 194,954
24,300 Niterra Co Ltd 806,757
1,500 Nitori Holdings Co Ltd 227,328
15,400 Okamura Corp 227,006
21,200 Oriental Land Co Ltd 679,157
7,600 Pan Pacific International Holdings Corp 201,413
43,000 Panasonic Holdings Corp 410,382
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: INTERNATIONAL EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Shares   Fair Value
Consumer, Cyclical — (continued)
8,037 Pandora A/S $  1,297,220
6,410 Persimmon PLC     106,240
173,500 Pets at Home Group PLC     587,312
175,100 Piaggio & C SpA     553,728
138,955 Pirelli & C SpA(a)     850,824
102,024 Puma SE   4,617,239
225,954 Qantas Airways Ltd(b)     802,166
98 Rational AG 84,437
68,600 Redrow PLC 575,779
3,925 Reece Ltd 71,866
3,727 Renault SA 188,065
49,272 Rexel SA 1,330,981
230,000 RS Group PLC 2,108,307
40,400 Sands China Ltd(b) 113,978
93,500 Sankyo Co Ltd 1,021,374
438 SEB SA 56,039
7,200 Sekisui Chemical Co Ltd 105,340
11,300 Sekisui House Ltd 257,388
2,932 Seven Group Holdings Ltd(b) 77,914
6,200 Sharp Corp(b) 34,531
1,400 Shimano Inc 208,269
29,600 Singapore Airlines Ltd 140,289
1,856 Sodexo SA 159,103
30,200 Sojitz Corp 796,643
24,000 Sony Group Corp 2,058,017
85,332 Stellantis NV 2,424,664
56,100 Subaru Corp 1,270,544
63,400 Sumitomo Corp 1,527,176
13,100 Sumitomo Electric Industries Ltd 202,989
22,200 Sumitomo Forestry Co Ltd 700,140
62,900 Super Retail Group Ltd 660,057
30,800 Suzuki Motor Corp 351,652
6,570 Swatch Group AG 1,309,958
67,688 Taylor Wimpey PLC 116,981
1,800 Toho Co Ltd 59,769
39,600 Tokmanni Group Corp 648,516
30,300 Toyota Boshoku Corp 516,332
2,600 Toyota Industries Corp 272,041
202,100 Toyota Motor Corp 5,108,071
3,800 Toyota Tsusho Corp 260,949
15,693 Universal Music Group NV 471,582
6,600 USS Co Ltd 54,563
13,900 Valor Holdings Co Ltd(b) 227,197
667 Volkswagen AG 101,890
4,233 Volvo AB Class A 116,563
124,218 Volvo AB Class B 3,366,488
10,764 Volvo Car AB Class B(b) 40,752
96,900 VTech Holdings Ltd 587,728
21,630 Wesfarmers Ltd 964,152
3,545 Whitbread PLC 148,164
2,300 Yamaha Corp 49,645
126,000 Yamaha Motor Co Ltd 1,160,658
27,100 Yokohama Rubber Co Ltd 730,957
231,000 Yue Yuen Industrial Holdings Ltd 324,658
4,756 Zalando SE(a)(b) 136,000
Shares   Fair Value
Consumer, Cyclical — (continued)
1,500 Zensho Holdings Co Ltd $     62,378
    102,789,972
Consumer, Non-Cyclical — 22.28%
15,507 Adecco Group AG     613,493
424 Adyen NV(a)(b)     716,196
12,400 Aeon Co Ltd     294,152
9,000 Ajinomoto Co Inc     336,092
39,526 Alcon Inc 3,269,254
58,375 Amadeus IT Group SA 3,747,495
2,021 Amplifon SpA 73,671
16,557 Anheuser-Busch InBev SA 1,007,894
9,500 Arcs Co Ltd 196,192
1,093 Argenx SE(b) 430,942
9,300 Asahi Group Holdings Ltd 341,495
143,500 Asahi Intecc Co Ltd 2,514,090
8,219 Ashtead Group PLC 585,224
35,500 Astellas Pharma Inc 381,367
29,548 AstraZeneca PLC 3,968,842
18,100 Austevoll Seafood ASA 142,407
788 Bachem Holding AG 75,461
68 Barry Callebaut AG 98,777
32,996 Bayer AG 1,010,492
1,938 Beiersdorf AG 282,169
653 BioMerieux 72,022
26,266 Brambles Ltd 276,426
69,166 British American Tobacco PLC 2,098,824
6,147 Bureau Veritas SA 187,690
873 Carl Zeiss Meditec AG 108,973
1,861 Carlsberg AS Class B 254,855
27,057 Carrefour SA 464,146
26 Chocoladefabriken Lindt & Spruengli AG 528,530
13,100 Chugai Pharmaceutical Co Ltd 500,622
193,500 CK Hutchison Holdings Ltd 931,247
92,300 Cloetta AB Class B 156,858
14,702 Coca-Cola Europacific Partners PLC 1,028,405
48,896 Coca-Cola HBC AG 1,544,508
9,181 Cochlear Ltd 2,019,184
24,228 Coles Group Ltd 267,458
2,417 Coloplast A/S Class B 326,336
23,209 CSL Ltd 4,354,636
3,900 Dai Nippon Printing Co Ltd 119,440
165,300 Daiichi Sankyo Co Ltd 5,259,664
12,274 Danone SA 793,453
12,178 Davide Campari-Milano NV 122,389
2,079 Demant A/S(b) 103,333
42,610 Diageo PLC 1,576,393
530 DiaSorin SpA 51,148
2,976 EBOS Group Ltd 60,865
4,977 Edenred SE 265,746
4,800 Eisai Co Ltd 197,706
101,200 Elders Ltd 618,474
30,748 Endeavour Group Ltd 110,398
5,623 EssilorLuxottica SA 1,271,992
11,081 Essity AB Class B 263,220
2,788 Eurofins Scientific SE 177,597
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: INTERNATIONAL EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Shares   Fair Value
Consumer, Non-Cyclical — (continued)
200,000 Evotec SE(b) $  3,117,072
77,171 Experian PLC   3,361,590
548,400 First Resources Ltd     556,412
11,889 Fisher & Paykel Healthcare Corp Ltd     182,194
3,582 Fresenius Medical Care AG     137,638
29,777 Fresenius SE & Co KGaA     802,993
21,900 FUJIFILM Holdings Corp     491,756
11,233 Genmab A/S(b) 3,367,975
5,097 Getinge AB Class B 102,515
4,834 Grifols SA(b) 43,482
229,838 GSK PLC 4,934,129
132,659 Haleon PLC 555,860
2,664 Heineken Holding NV 214,996
5,381 Heineken NV 518,771
1,894 Henkel AG & Co KGaA 136,470
41,395 Hikma Pharmaceuticals PLC 1,001,124
4,461 IDP Education Ltd 52,074
60,632 Imperial Brands PLC 1,355,020
146,900 Inghams Group Ltd 343,666
3,179 Intertek Group PLC 200,071
3,843 Ipsen SA 457,304
22,020 Itoham Yonekyu Holdings Inc 578,496
287,140 J Sainsbury PLC 980,058
23,100 Japan Tobacco Inc 615,890
2,217 JDE Peet's NV 46,545
4,983 Jeronimo Martins SGPS SA 98,864
31,700 Kanamoto Co Ltd 565,428
9,100 Kao Corp 340,051
2,950 Kerry Group PLC Class A 252,775
5,495 Kesko OYJ Class B 102,724
13,500 Kikkoman Corp 173,266
15,100 Kirin Holdings Co Ltd 209,985
2,500 Kobe Bussan Co Ltd 61,258
68,722 Koninklijke Ahold Delhaize NV 2,056,292
15,025 Koninklijke Philips NV 300,711
5,600 Kyowa Kirin Co Ltd 100,750
4,785 Lifco AB Class B 124,957
1,420 Lonza Group AG 848,590
20,500 Loomis AB 572,185
4,587 L'Oreal SA 2,172,280
9 Lotus Bakeries NV 86,902
214,900 Marks & Spencer Group PLC 719,400
50,228 Medibank Pvt Ltd(b) 123,065
4,400 MEIJI Holdings Co Ltd 96,064
2,517 Merck KGaA 443,838
21,600 Metcash Ltd 55,049
456,500 Mitie Group PLC 603,827
35,146 Mowi ASA 645,587
50,895 Nestle SA 5,407,592
9,236 Nexi SpA(a)(b) 58,518
3,300 Nissin Foods Holdings Co Ltd 90,975
78,100 Nissui Corp(b) 489,678
305 NMC Health PLC(b)(d) 19
89,971 Novartis AG 8,714,451
62,204 Novo Nordisk A/S Class B 7,979,119
9,286 Ocado Group PLC(b) 53,242
22,700 Olympus Corp 326,842
Shares   Fair Value
Consumer, Non-Cyclical — (continued)
61,100 Ono Pharmaceutical Co Ltd $  1,001,120
1,650 Orion OYJ Class B      61,507
49,455 Orkla ASA     349,287
30,400 Otsuka Holdings Co Ltd   1,262,764
3,809 Pernod Ricard SA     616,619
4,361 QIAGEN NV     186,379
3,242 Ramsay Health Care Ltd     119,351
7,863 Randstad NV 415,212
13,718 Reckitt Benckiser Group PLC 781,821
2,069 Recordati Industria Chimica e Farmaceutica SpA 114,246
27,400 Recruit Holdings Co Ltd 1,203,046
107,600 Redde Northgate PLC(b) 517,425
35,936 RELX PLC 1,549,301
458 Remy Cointreau SA 46,247
50,573 Rentokil Initial PLC 300,618
21,347 Roche Holding AG 5,459,692
1,157 Salmar ASA 76,360
16,237 Sandoz Group AG(b) 490,126
48,397 Sanofi SA 4,708,293
60,700 Santen Pharmaceutical Co Ltd 596,943
548 Sartorius Stedim Biotech 156,305
7,500 Scandinavian Tobacco Group A/S(a) 134,296
4,200 Secom Co Ltd 304,723
73,544 Securitas AB Class B 758,168
43,700 Seven & i Holdings Co Ltd 636,966
2,816 SGS SA 273,385
21,800 Shionogi & Co Ltd 1,114,019
7,800 Shiseido Co Ltd 214,035
5,624 Siemens Healthineers AG(a) 343,951
16,381 Smith & Nephew PLC 205,032
2,800 Societe BIC SA 200,078
174,000 Sonae SGPS SA(b) 165,128
9,314 Sonic Healthcare Ltd 178,482
969 Sonova Holding AG 280,616
2,126 Straumann Holding AG 339,220
47,800 Suedzucker AG 685,355
12,000,000 Sumber Alfaria Trijaya Tbk PT 2,203,367
2,200 Suntory Beverage & Food Ltd 74,415
3,459 Swedish Orphan Biovitrum AB(b) 86,346
9,600 Sysmex Corp 171,311
30,700 Takeda Pharmaceutical Co Ltd 853,886
8,000 Tecan Group AG 3,314,637
26,200 Terumo Corp 479,425
533,738 Tesco PLC 1,998,425
20,940 Teva Pharmaceutical Industries Ltd Sponsored ADR(b) 295,464
4,700 TOPPAN Holdings Inc 117,815
58,867 Transurban Group 510,677
14,620 Treasury Wine Estates Ltd 118,591
2,388 UCB SA 294,792
8,100 Unicharm Corp 257,874
47,660 Unilever PLC 2,392,315
832,000 United Laboratories International Holdings Ltd 953,185
1,123,943 WH Group Ltd(a) 741,893
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: INTERNATIONAL EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Shares   Fair Value
Consumer, Non-Cyclical — (continued)
42,100 Wilmar International Ltd $    106,939
11,910 Wise PLC Class A     139,190
23,658 Woolworths Group Ltd     511,391
4,131 Worldline SA(a)(b)      51,107
4,700 Yakult Honsha Co Ltd      96,061
    145,841,850
Diversified — 0.02%
2,800 Jardine Matheson Holdings Ltd 102,564
Energy — 4.75%
5,641 Aker BP ASA 141,485
4,740 Ampol Ltd 122,956
22,364 APA Group 122,577
371,200 Beach Energy Ltd 445,199
559,771 BP PLC 3,511,325
1,819 DCC PLC(b) 132,297
198,200 ENEOS Holdings Inc 954,898
112,428 Eni SpA 1,780,194
50,247 Equinor ASA 1,347,343
7,950 Galp Energia SGPS SA 131,433
18,000 Idemitsu Kosan Co Ltd 123,411
59,500 Inpex Corp 904,471
7,537 Neste OYJ 204,368
217,200 New Hope Corp Ltd 658,000
16,331 OMV AG 773,480
131,390 Repsol SA 2,193,067
23,800 Rubis SCA 840,290
63,736 Santos Ltd 322,688
624,189 Seatrium Ltd(b) 36,480
240,696 Shell PLC(b) 7,984,641
89,482 TotalEnergies SE 6,155,432
19,036 Vestas Wind Systems A/S(b) 530,983
204,700 Whitehaven Coal Ltd 946,646
36,192 Woodside Energy Group Ltd 721,391
    31,085,055
Financial — 19.83%
64,455 3i Group PLC 2,284,591
108,815 ABN AMRO Bank NV(a) 1,862,075
31,402 abrdn PLC 55,919
4,736 Admiral Group PLC 169,667
159,099 Aegon Ltd 970,638
3,835 AerCap Holdings NV(b) 333,300
17,711 Ageas SA 820,475
216,600 AIA Group Ltd 1,456,976
32,251 AIB Group PLC 163,721
11,092 Allianz SE 3,324,475
1,167 Amundi SA(a) 80,158
135,027 ANZ Group Holdings Ltd 2,587,936
15,903 ASR Nederland NV 779,405
19,568 Assicurazioni Generali SpA 495,335
4,046 ASX Ltd 175,041
87,339 Aviva PLC 547,915
64,719 AXA SA 2,430,581
813 Azrieli Group Ltd 58,663
Shares   Fair Value
Financial — (continued)
3,161 Baloise Holding AG $    495,663
252,111 Banco Bilbao Vizcaya Argentaria SA   3,002,273
25,045 Banco BPM SpA     166,632
597,917 Banco Santander SA   2,920,494
24,417 Bank Hapoalim BM     228,823
28,424 Bank Leumi Le-Israel BM     236,274
109,828 Bank of Ireland Group PLC   1,120,807
545 Banque Cantonale Vaudoise 63,403
288,862 Barclays PLC 669,407
16,500 BAWAG Group AG(a) 1,044,313
39,786 BNP Paribas SA 2,832,569
74,000 BOC Hong Kong Holdings Ltd 198,415
69,033 CaixaBank SA 334,989
69,900 CapitaLand Ascendas REIT 143,384
91,977 CapitaLand Integrated Commercial Trust REIT(b) 134,862
47,800 Capitaland Investment Ltd 94,852
12,200 Chiba Bank Ltd(b) 101,518
40,000 CK Asset Holdings Ltd 164,827
19,492 Commerzbank AG 267,903
31,921 Commonwealth Bank of Australia 2,503,860
9,466 Computershare Ltd 161,233
23,200 Concordia Financial Group Ltd 116,608
924 Covivio SA REIT 47,627
65,775 Credit Agricole SA 981,230
34,300 Credit Saison Co Ltd 707,500
17,700 Dai-ichi Life Holdings Inc 451,430
1,200 Daito Trust Construction Co Ltd 136,899
25,800 Daiwa Securities Group Inc 196,295
44,691 Danske Bank A/S 1,341,464
70,300 DBS Group Holdings Ltd 1,876,154
118,248 Deutsche Bank AG 1,862,442
3,683 Deutsche Boerse AG 754,244
21,819 Dexus REIT 112,424
61,698 DNB Bank ASA 1,226,405
6,762 EQT AB 214,082
22,007 Erste Group Bank AG 980,805
34,400 ESR Group Ltd(a) 36,856
889 Eurazeo SE 77,899
1,583 Euronext NV(a) 150,655
1,868 EXOR NV 207,884
13,422 Fastighets AB Balder Class B(b) 98,591
11,912 FinecoBank Banca Fineco SpA 178,404
1,000 Futu Holdings Ltd ADR 54,150
821 Gecina SA REIT 83,861
3,313 Gjensidige Forsikring ASA(b) 48,086
71 GLP J-REIT 59,498
32,836 Goodman Group REIT 723,287
40,132 GPT Group REIT 119,433
1,697 Groupe Bruxelles Lambert NV 128,290
134,400 Gunma Bank Ltd 763,055
34,000 Hang Lung Properties Ltd 34,964
15,600 Hang Seng Bank Ltd 171,003
1,120 Hannover Rueck SE 306,687
6,886 Hargreaves Lansdown PLC 63,892
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: INTERNATIONAL EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Shares   Fair Value
Financial — (continued)
338,000 Helia Group Ltd $    861,178
742 Helvetia Holding AG     102,300
24,000 Henderson Land Development Co Ltd      68,536
22,600 Hong Kong Exchanges & Clearing Ltd     658,525
17,300 Hongkong Land Holdings Ltd      51,208
616,762 HSBC Holdings PLC   4,820,336
7,300 Hulic Co Ltd(b)      74,973
2,036 Industrivarden AB Class A 70,018
2,429 Industrivarden AB Class C(b) 83,525
124,447 ING Groep NV 2,048,813
42,006 Insurance Australia Group Ltd(b) 175,220
100,000 Intermediate Capital Group PLC 2,588,884
278,796 Intesa Sanpaolo SpA 1,012,182
94,800 Investec PLC 635,324
33,194 Investor AB Class B 832,981
23,331 Israel Discount Bank Ltd Class A 120,659
16,500 Jaccs Co Ltd 599,410
9,200 Japan Exchange Group Inc 249,186
110 Japan Metropolitan Fund Invest REIT 68,540
26,200 Japan Post Bank Co Ltd 281,528
174,500 Japan Post Holdings Co Ltd 1,758,110
3,300 Japan Post Insurance Co Ltd 63,080
24 Japan Real Estate Investment Corp REIT 85,556
12,448 Julius Baer Group Ltd 721,964
11,600 Jyske Bank A/S 982,586
4,946 KBC Group NV 370,813
70 KDX Realty Investment Corp REIT(b) 74,402
3,748 Klepierre SA REIT 97,019
1,231 L E Lundbergforetagen AB Class B 66,632
14,023 Land Securities Group PLC REIT 116,439
1,545 LEG Immobilien SE(b) 132,702
230,644 Legal & General Group PLC 740,693
52,067 Link REIT 224,222
2,351,918 Lloyds Banking Group PLC 1,537,848
7,939 London Stock Exchange Group PLC 949,732
41,933 M&G PLC 116,661
26,973 Macquarie Group Ltd 3,508,574
230,800 Mapfre SA 583,505
52,506 Mapletree Logistics Trust REIT 56,769
53,800 Mapletree Pan Asia Commercial Trust REIT 50,993
49,900 McMillan Shakespeare Ltd 638,049
59,348 Mediobanca Banca di Credito Finanziario SpA(b) 884,375
60,700 Mercialys SA REIT 707,120
78,534 Mirvac Group REIT 120,708
22,300 Mitsubishi Estate Co Ltd 406,885
159,400 Mitsubishi HC Capital Inc 1,111,758
Shares   Fair Value
Financial — (continued)
336,300 Mitsubishi UFJ Financial Group Inc $  3,421,550
51,600 Mitsui Fudosan Co Ltd     556,324
3,059 Mizrahi Tefahot Bank Ltd     114,681
101,500 Mizuho Financial Group Inc   2,007,194
24,900 MS&AD Insurance Group Holdings Inc     439,673
2,601 Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen   1,269,658
59,460 National Australia Bank Ltd   1,346,295
393,153 NatWest Group PLC 1,316,306
26 Nippon Building Fund Inc REIT 104,003
35 Nippon Prologis Inc REIT 62,349
36,272 NN Group NV 1,674,505
56,800 Nomura Holdings Inc 363,550
2,500 Nomura Real Estate Holdings Inc 70,628
65 Nomura Real Estate Master Fund Inc REIT 64,274
132,313 Nordea Bank Abp 1,475,392
76,400 ORIX Corp 1,671,002
64,500 Oversea-Chinese Banking Corp Ltd 644,476
422 Partners Group Holding AG 602,821
15,571 Phoenix Group Holdings PLC 108,684
52,411 Prudential PLC 491,408
28,682 QBE Insurance Group Ltd 339,041
979 REA Group Ltd 118,290
40,700 Resona Holdings Inc 250,893
18,800 Ricoh Leasing Co Ltd(b) 654,877
3,492 Sagax AB Class B 92,120
8,390 Sampo OYJ Class A 357,887
4,600 SBI Holdings Inc 120,659
103,337 Scentre Group REIT 228,222
18,580 Schroders PLC 88,247
25,206 Segro PLC REIT 287,323
7,500 Shizuoka Financial Group Inc 71,366
16,600 Singapore Exchange Ltd 113,284
57,735 Sino Land Co Ltd 60,023
30,706 Skandinaviska Enskilda Banken AB Class A 415,991
34,132 Societe Generale SA 914,502
260 Sofina SA 58,305
16,500 Sompo Holdings Inc 345,841
11,321 St James's Place PLC 66,402
122,340 Standard Chartered PLC 1,036,854
267,891 Stockland REIT 846,500
45,300 Sumitomo Mitsui Financial Group Inc 2,648,813
12,400 Sumitomo Mitsui Trust Holdings Inc 267,178
4,900 Sumitomo Realty & Development Co Ltd 182,572
26,500 Sun Hung Kai Properties Ltd 255,981
23,373 Suncorp Group Ltd 249,481
563,639 Supermarket Income Reit PLC REIT 551,332
92,533 Svenska Handelsbanken AB Class A 935,507
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: INTERNATIONAL EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Shares   Fair Value
Financial — (continued)
50,626 Swedbank AB Class A $  1,004,812
7,500 Swire Pacific Ltd Class A      61,743
29,200 Swire Properties Ltd      61,420
1,580 Swiss Life Holding AG   1,108,200
1,621 Swiss Prime Site AG     152,904
20,007 Swiss Re AG   2,573,598
5,500 Sydbank AS(b)     285,131
9,700 T&D Holdings Inc 168,627
1,379 Talanx AG 109,241
34,400 Tokio Marine Holdings Inc 1,078,311
6,270 Tryg A/S 129,252
135,594 UBS Group AG 4,175,066
2,275 Unibail-Rodamco-Westfield REIT(b) 183,016
76,919 UniCredit SpA 2,921,339
43,100 UnipolSai Assicurazioni SpA 124,867
59,900 United Overseas Bank Ltd 1,302,228
1,400 Valiant Holding AG 164,240
81,264 Vicinity Ltd REIT 112,797
13,406 Vonovia SE 396,172
3,392 Warehouses De Pauw CVA REIT 96,723
4,657 Washington H Soul Pattinson & Co Ltd(b) 101,953
66,744 Westpac Banking Corp 1,135,190
19,000 Wharf Holdings Ltd 62,461
32,000 Wharf Real Estate Investment Co Ltd 104,189
2,789 Zurich Insurance Group AG 1,506,658
    129,788,399
Industrial — 14.68%
30,495 ABB Ltd 1,414,672
412 Acciona SA 50,141
4,321 ACS Actividades de Construccion y Servicios SA 180,957
1,366 Aena SME SA(a) 269,040
719 Aeroports de Paris SA(b) 98,586
12,300 AGC Inc 446,273
11,301 Airbus SE 2,081,976
5,421 Alfa Laval AB 213,015
6,147 Alstom SA 93,609
58,900 Amada Co Ltd 674,537
60 AP Moller - Maersk A/S Class A 76,879
69 AP Moller - Maersk A/S Class B 89,965
19,106 Assa Abloy AB Class B 548,310
51,280 Atlas Copco AB Class A 866,045
29,202 Atlas Copco AB Class B 431,312
22,950 Auckland International Airport Ltd 114,491
41,340 Aurizon Holdings Ltd 107,792
2,800 Azbil Corp 77,464
57,806 BAE Systems PLC 984,961
140,200 Balfour Beatty PLC 675,961
8,482 Beijer Ref AB 125,940
3,600 Bekaert SA 184,594
14,700 Bilfinger SE 686,587
Shares   Fair Value
Industrial — (continued)
30,421 Bouygues SA $  1,241,937
102,500 bpost SA     383,058
38,500 Brother Industries Ltd     714,030
1,600 Bucher Industries AG     703,574
12,000 Cargotec OYJ Class B     836,695
9,100 Cellnex Telecom SA(a)     321,911
15,300 Central Japan Railway Co     379,981
35,100 Chemring Group PLC 160,593
15,600 Cia de Distribucion Integral Logista Holdings SA 435,986
36,289 Cie de Saint-Gobain SA(b) 2,816,535
15,000 CK Infrastructure Holdings Ltd 87,853
13,336 CRH PLC 1,150,692
16,500 D/S Norden A/S 674,356
6,000 Daifuku Co Ltd 143,817
5,100 Daikin Industries Ltd 696,358
378 Dassault Aviation SA 83,225
49,117 Deutsche Post AG 2,116,821
10,000 Dfds A/S 290,699
161,100 DS Smith PLC 805,642
22,340 DSV A/S 3,631,471
18,000 East Japan Railway Co 345,332
1,373 Eiffage SA 155,825
520 Elbit Systems Ltd 108,603
12,872 Epiroc AB Class A 241,641
7,219 Epiroc AB Class B 122,253
18,200 FANUC Corp 507,716
9,707 Ferrovial SE 384,319
480,200 Firstgroup PLC 1,093,489
400 Forbo Holding AG 510,811
2,400 Fuji Electric Co Ltd 161,051
102,700 Fujikura Ltd 1,517,920
2,797 GEA Group AG 118,258
642 Geberit AG 379,412
6,840 Getlink SE 116,461
7,787 Halma PLC 232,424
4,900 Hankyu Hanshin Holdings Inc 140,587
78,500 Hazama Ando Corp 611,346
15,002 Heidelberg Materials AG 1,651,446
39,784 Hexagon AB Class B 470,284
700 Hirose Electric Co Ltd 71,932
1,900 Hitachi Construction Machinery Co Ltd 57,326
17,700 Hitachi Ltd 1,617,434
38,613 Holcim AG 3,498,214
48,200 Hosiden Corp 613,729
6,600 Hoya Corp 825,468
5,015 Husqvarna AB Class B 42,913
2,000 Ibiden Co Ltd 89,574
5,279 Indutrade AB 143,783
5,403 Infrastrutture Wireless Italiane SpA(a) 61,313
900 Interroll Holding AG 2,990,808
2,478 Investment AB Latour Class B 65,143
8,023 James Hardie Industries PLC(b) 322,471
3,500 JSR Corp 100,180
21,500 Jungheinrich AG 795,454
13,300 Kaga Electronics Co Ltd(b) 565,476
7,700 Kajima Corp 158,040
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: INTERNATIONAL EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Shares   Fair Value
Industrial — (continued)
23,500 Kamigumi Co Ltd $    517,882
6,600 Kawasaki Kisen Kaisha Ltd      88,751
2,700 Keisei Electric Railway Co Ltd     109,796
30,200 Keppel Ltd     164,108
3,800 Keyence Corp   1,764,191
3,024 Kingspan Group PLC     275,416
3,900 Kintetsu Group Holdings Co Ltd     113,594
1,546 Knorr-Bremse AG 116,932
54,400 Komatsu Ltd 1,609,739
6,797 Kone OYJ Class B 316,654
19,800 Konecranes OYJ 1,027,745
1,587 Kongsberg Gruppen ASA 109,579
18,300 Kubota Corp 287,122
1,093 Kuehne + Nagel International AG 304,093
25,100 Kyocera Corp 336,619
5,060 Legrand SA 535,839
43,095 Leonardo SpA 1,082,707
4,100 Makita Corp 116,524
26,893 Melrose Industries PLC 228,278
63,600 Metsa Board OYJ Class B(b) 481,827
12,021 Metso OYJ 142,796
6,900 MINEBEA MITSUMI Inc 135,344
4,500 MISUMI Group Inc 62,690
36,400 Mitsubishi Electric Corp 609,298
63,000 Mitsubishi Heavy Industries Ltd 570,990
6,100 Mitsui OSK Lines Ltd 186,090
28,500 MTR Corp Ltd 94,163
11,023 MTU Aero Engines AG 2,795,731
32,800 Murata Manufacturing Co Ltd 613,439
28,789 Nibe Industrier AB Class B 141,567
8,000 Nidec Corp 331,754
9,800 Nippon Express Holdings Inc 500,242
9,300 Nippon Yusen KK 255,323
11,500 Obayashi Corp 136,740
6,500 Odakyu Electric Railway Co Ltd 89,601
3,400 Omron Corp 121,744
9,317 Orica Ltd 110,819
3,000 Per Aarsleff Holding A/S 149,700
9,763 Poste Italiane SpA(a) 122,274
5,260 Prysmian SpA 274,331
90,500 QinetiQ Group PLC 416,666
844 Rheinmetall AG 474,685
4,100 ROCKWOOL A/S Class B 1,349,005
157,576 Rolls-Royce Holdings PLC(b) 847,617
1,706 Saab AB Class B 151,754
6,515 Safran SA 1,475,468
20,784 Sandvik AB 461,421
5,200 Sankyu Inc(b) 178,973
1,310 Schindler Holding AG 326,058
10,373 Schneider Electric SE 2,345,098
1,400 SCREEN Holdings Co Ltd 181,517
33,200 Seino Holdings Co Ltd 455,664
5,200 SG Holdings Co Ltd 65,853
4,400 Shimadzu Corp 122,558
9,300 Shimizu Corp 60,057
14,486 Siemens AG(b) 2,765,949
Shares   Fair Value
Industrial — (continued)
9,503 Siemens Energy AG(b) $    174,416
156,446 SIG Group AG   3,469,075
22,025 Signify NV(a)     678,031
14,919 Sika AG   4,439,155
33,700 Singapore Technologies Engineering Ltd     100,335
30,000 SITC International Holdings Co Ltd      54,848
5,851 Skanska AB Class B     104,198
65,982 SKF AB Class B 1,347,010
1,000 SMC Corp 564,160
6,291 Smiths Group PLC 130,363
1,518 Spirax-Sarco Engineering PLC 192,502
9,915 Stora Enso OYJ Class R 137,879
24,700 Sumitomo Heavy Industries Ltd 777,783
12,134 Svenska Cellulosa AB SCA Class B 186,548
3,200 Taisei Corp 116,637
7,500 TDK Corp 368,310
26,000 Techtronic Industries Co Ltd 353,284
9,358 Tenaris SA 185,020
1,847 Thales SA 314,878
3,000 Tobu Railway Co Ltd 75,015
10,400 Tokyu Corp 126,639
2,200 TOTO Ltd 61,677
23,400 Tsubakimoto Chain Co(b) 788,311
513 VAT Group AG(a) 265,013
16,600 Verallia SA(a) 645,392
9,543 Vinci SA 1,224,644
8,905 Wartsila OYJ Abp 135,334
7,800 West Japan Railway Co 162,553
21,500 Wienerberger AG 783,157
4,400 Yamato Holdings Co Ltd 63,327
4,200 Yaskawa Electric Corp 178,814
4,800 Yokogawa Electric Corp 110,541
    96,082,001
Technology — 7.66%
14,500 Advantest Corp 644,131
15,000 Altium Ltd 637,157
905 ASM International NV 554,226
10,485 ASML Holding NV 10,164,841
1,571 BE Semiconductor Industries NV 240,645
1,805 Bechtle AG 95,402
29,800 Bell System24 Holdings Inc 309,515
47,000 Canon Inc 1,400,368
6,600 Capcom Co Ltd 123,645
2,962 Capgemini SE 681,590
1,696 Check Point Software Technologies Ltd(b) 278,161
21,000 Computacenter PLC(b) 713,450
10,841 CyberArk Software Ltd(b) 2,879,695
12,961 Dassault Systemes SE 573,749
8,800 Disco Corp 3,216,695
34,100 Ferrotec Holdings Corp 663,440
33,000 Fujitsu Ltd 528,132
1,729 Global-e Online Ltd(b) 62,849
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: INTERNATIONAL EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Shares   Fair Value
Technology — (continued)
2,600 Hamamatsu Photonics KK $     91,667
37,200 Indra Sistemas SA     770,957
49,348 Infineon Technologies AG   1,678,111
190,000 Keywords Studios PLC   3,119,904
25,000 Kinaxis Inc(b)   2,842,272
1,900 Konami Group Corp     129,426
1,500 Lasertec Corp     427,545
3,012 Logitech International SA 269,903
15,500 Monday.com Ltd(b) 3,500,985
4,400 NEC Corp 321,224
957 Nemetschek SE 94,727
7,500 Nexon Co Ltd 124,661
7,900 Nomura Research Institute Ltd 223,165
12,000 NTT Data Group Corp 190,775
1,300 Obic Co Ltd 196,366
800 Oracle Corp Japan 60,161
4,600 Otsuka Corp 97,605
341,000 PAX Global Technology Ltd 268,813
27,100 Renesas Electronics Corp 482,940
84,300 Ricoh Co Ltd 748,997
5,400 Rohm Co Ltd 86,610
18,690 Sage Group PLC 298,586
19,904 SAP SE 3,875,699
3,000 SCSK Corp 55,763
55,700 Seiko Epson Corp 974,334
65,415 Serco Group PLC 156,540
800 Sopra Steria Group SACA 193,875
1,700 Square Enix Holdings Co Ltd 65,562
40,849 STMicroelectronics NV 1,758,076
7,000 SUMCO Corp 110,675
1,174 Teleperformance SE 114,037
1,427 Temenos AG 102,074
3,800 TietoEVRY OYJ(b) 80,410
4,500 TIS Inc(b) 96,551
8,900 Tokyo Electron Ltd 2,317,998
3,077 WiseTech Global Ltd(b) 188,198
2,714 Xero Ltd(b) 235,655
    50,118,538
Utilities — 2.01%
317,900 A2A SpA 573,482
384 BKW AG 59,008
93,538 Centrica PLC 150,730
12,500 Chubu Electric Power Co Inc 163,452
30,500 CLP Holdings Ltd 243,275
102,600 Drax Group PLC 649,036
43,649 E.ON SE 607,680
56,572 EDP - Energias de Portugal SA 220,724
5,541 EDP Renovaveis SA 75,038
502 Elia Group SA 54,189
5,943 Enagas SA 88,288
5,465 Endesa SA 101,329
155,033 Enel SpA(b) 1,023,453
132,914 Engie SA 2,227,294
8,648 Fortum OYJ(b) 106,770
194,000 Hong Kong & China Gas Co Ltd 147,046
Shares   Fair Value
Utilities — (continued)
116,976 Iberdrola SA(b) $  1,452,888
260,400 Iren SpA     532,719
14,700 Kansai Electric Power Co Inc     209,752
12,456 Mercury NZ Ltd      51,572
20,561 Meridian Energy Ltd      72,599
71,446 National Grid PLC     962,211
33,003 Origin Energy Ltd     197,975
3,522 Orsted AS(a)(b) 196,805
8,400 Osaka Gas Co Ltd 188,966
25,000 Power Assets Holdings Ltd 146,465
7,372 Redeia Corp SA 125,922
12,176 RWE AG 413,830
19,500 Sembcorp Industries Ltd 77,954
4,982 Severn Trent PLC 155,392
40,625 Snam SpA 191,820
21,246 SSE PLC 442,802
25,797 Terna - Rete Elettrica Nazionale 213,231
32,400 Tokyo Electric Power Co Holdings Inc(b) 196,931
7,100 Tokyo Gas Co Ltd 161,403
12,840 United Utilities Group PLC 166,757
13,513 Veolia Environnement SA 439,604
1,215 Verbund AG 88,769
    13,177,161
TOTAL COMMON STOCK — 97.31%
(Cost $568,201,029)
$636,895,470
PREFERRED STOCK
Consumer, Cyclical — 0.44%
1,144 Bayerische Motoren Werke AG 122,754
2,154 Dr Ing hc F Porsche AG(a) 214,233
3,140 Porsche Automobil Holding SE 166,338
99,600 Schaeffler AG 671,868
13,230 Volkswagen AG 1,754,622
    2,929,815
Consumer, Non-Cyclical — 0.04%
3,082 Henkel AG & Co KGaA 247,720
Industrial — 0.03%
473 Sartorius AG 187,834
TOTAL PREFERRED STOCK — 0.51%
(Cost $3,426,814)
$3,365,369
EXCHANGE TRADED FUNDS
35,000 iShares MSCI EAFE ETF(c) 2,795,100
     
TOTAL EXCHANGE TRADED FUNDS — 0.43%
(Cost $2,766,411)
$2,795,100
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: INTERNATIONAL EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Principal Amount   Fair Value
SHORT TERM INVESTMENTS
U.S. Treasury Bonds and Notes — 0.15%
$ 1,008,300 U.S. Treasury Bills(e)
5.29%, 05/23/2024
$  1,000,212
Repurchase Agreements — 0.35%
   255,241 Undivided interest of 0.14% in a repurchase agreement (principal amount/value $177,916,671 with a maturity value of $178,022,037) with RBC Capital Markets Corp, 5.33%, dated 3/28/24 to be repurchased at $255,241 on 4/1/24 collateralized by U.S. Treasury securities and various U.S. Government Agency securities, 0.00% - 8.00%, 4/4/24 - 3/1/54, with a value of $181,475,005.(f)     255,241
    997,738 Undivided interest of 0.56% in a repurchase agreement (principal amount/value $178,876,340 with a maturity value of $178,982,473) with HSBC Securities (USA) Inc, 5.34%, dated 3/28/24 to be repurchased at $997,738 on 4/1/24 collateralized by various U.S. Government Agency securities, 1.50% - 7.50%, 1/1/31 - 8/1/59, with a value of $182,453,867.(f)      997,738
Principal Amount   Fair Value
Repurchase Agreements — (continued)
$   997,738 Undivided interest of 0.56% in a repurchase agreement (principal amount/value $179,328,251 with a maturity value of $179,434,652) with Citigroup Global Markets Inc, 5.34%, dated 3/28/24 to be repurchased at $997,738 on 4/1/24 collateralized by Government National Mortgage Association securities, 2.00% - 6.50%, 9/20/44 - 1/20/54, with a value of $182,914,816.(f) $    997,738
    2,250,717
TOTAL SHORT TERM INVESTMENTS — 0.50%
(Cost $3,250,929)
$3,250,929
TOTAL INVESTMENTS — 98.75%
(Cost $577,645,183)
$646,306,868
OTHER ASSETS & LIABILITIES, NET — 1.25% $8,198,589
TOTAL NET ASSETS — 100.00% $654,505,457
 
(a) Represents securities sold under Rule 144A, which are exempt from registration under the Securities Act of 1933, as amended.
(b) Non-income producing security.
(c) All or a portion of the security is on loan at March 28, 2024.
(d) Security is fair valued using significant unobservable inputs.
(e) Zero coupon bond; the interest rate shown is the effective yield on date of purchase.
(f) Collateral received for securities on loan.
ADR American Depositary Receipt
ETF Exchange Traded Fund
REIT Real Estate Investment Trust
At March 28, 2024 the Fund held the following outstanding exchange traded futures contracts:
Description Number of
Contracts
Notional Amount
(000)
Expiration
Date
Fair Value and
Net Unrealized
Appreciation
Long          
MSCI EAFE Index Futures 46 USD 5,421 Jun 2024 $31,955
        Net Appreciation $31,955
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: INTERNATIONAL EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
At March 28, 2024 the Fund held the following over-the-counter (OTC) forward foreign currency contracts:
Counterparty Currency
Purchased
Quantity of
Currency
Purchased
Currency
Sold
Quantity of
Currency
Sold
Settlement Date Net
Unrealized
Appreciation/
(Depreciation)
CGM USD 9,195 AUD 14,008 04/11/2024 $64
CGM USD 79,722 EUR 73,292 04/03/2024 633
CGM USD 15,127 GBP 11,981 04/11/2024 4
CGM USD 109,415 GBP 85,000 04/25/2024 2,124
CGM USD 3,403 JPY 496,485 04/26/2024 108
CGM USD 3,018 JPY 448,800 05/13/2024 32
CGM USD 6,311 JPY 936,190 05/28/2024 66
CGM USD 2,971 NZD 4,924 04/05/2024 29
CGM USD 2,694 SEK 28,363 04/02/2024 44
MEL USD 4,391 AUD 6,754 04/11/2024 (11)
MEL USD 6,888 AUD 10,570 04/12/2024 (3)
MEL USD 15,003 AUD 22,876 04/18/2024 88
MEL USD 6,903 CHF 6,260 04/03/2024 (43)
MEL USD 175,507 CHF 148,000 04/10/2024 11,164
MEL USD 24,870 EUR 22,995 04/03/2024 56
MEL USD 3,905 EUR 3,610 04/04/2024 9
MEL USD 4,621 EUR 4,263 04/05/2024 20
MEL USD 4,157 EUR 3,843 04/09/2024 9
MEL USD 9,314 EUR 8,568 05/10/2024 56
MEL USD 18,314 GBP 14,473 04/03/2024 46
MEL USD 53,391 GBP 41,960 04/18/2024 428
MEL USD 15,391 GBP 12,023 04/29/2024 215
MEL USD 2,934 GBP 2,292 04/30/2024 41
MEL USD 32,248 GBP 25,376 05/02/2024 216
MEL USD 5,438 GBP 4,248 05/03/2024 76
MEL USD 5,765 GBP 4,503 05/16/2024 80
MEL USD 1,727 HKD 13,500 04/26/2024 1
MEL USD 714 ILS 2,599 04/04/2024 7
MEL USD 1,393 ILS 5,110 04/11/2024 2
MEL USD 20,208 JPY 3,000,000 05/16/2024 237
MEL USD 50,286 JPY 7,538,055 05/28/2024 5
MEL USD 53,595 JPY 8,030,558 05/31/2024 7
MEL USD 31,433 JPY 4,706,271 06/05/2024 5
MEL USD 47,354 JPY 7,088,957 06/06/2024 8
MEL USD 2,674 JPY 400,180 06/07/2024 1
MEL USD 8,091 JPY 1,210,570 06/10/2024 2
MEL USD 3,037 JPY 446,250 06/17/2024 52
MEL USD 10,379 JPY 1,550,485 06/20/2024 3
MEL USD 13,500 JPY 2,016,514 06/21/2024 4
MEL USD 64,593 JPY 9,643,887 06/24/2024 20
MEL USD 77,448 JPY 11,559,914 06/26/2024 25
MEL USD 32,690 JPY 4,878,575 06/27/2024 10
MEL USD 28,167 JPY 4,202,995 06/28/2024 9
MEL USD 134,437 JPY 20,049,937 07/01/2024 51
MEL USD 3,351 JPY 498,525 07/19/2024 1
MEL USD 2,310 NOK 24,640 04/05/2024 40
MEL USD 23,533 SEK 248,971 04/04/2024 268
MEL USD 50,632 SEK 537,622 04/05/2024 392
          Net Appreciation $16,701
Currency Abbreviations  
AUD Australian Dollar
CHF Swiss Franc
EUR Euro Dollar
GBP British Pound
HKD Hong Kong Dollar
ILS Israeli New Shekel
JPY Japanese Yen
NOK Norwegian Krone
NZD New Zealand Dollar
SEK Swedish Krona
USD U.S. Dollar
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: INTERNATIONAL EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Abbreviations  
CGM Citigroup Global Markets
MEL Mellon Capital
Summary of Investments by Country as of March 28, 2024.
Country Fair Value   Percentage of
Fund Investments
Japan $140,857,708   21.79%
United Kingdom 80,613,369   12.47
Switzerland 69,619,279   10.77
France 63,746,063   9.86
Germany 58,493,861   9.05
Australia 45,506,610   7.04
Netherlands 29,497,131   4.56
Denmark 23,602,475   3.65
Spain 19,166,266   2.97
Sweden 17,729,302   2.74
Italy 15,224,977   2.36
Israel 11,890,198   1.84
Ireland 11,134,483   1.72
Hong Kong 9,619,716   1.49
Finland 7,374,153   1.14
Singapore 7,211,562   1.12
United States 6,046,029   0.94
Canada 5,929,072   0.92
Norway 5,317,410   0.82
Belgium 4,375,802   0.68
Austria 3,733,924   0.58
Uruguay 3,023,920   0.47
Indonesia 2,203,367   0.34
Portugal 1,062,108   0.16
Jordan 1,001,124   0.15
New Zealand 760,387   0.12
South Africa 635,324   0.10
Luxembourg 622,647   0.10
Chile 194,604   0.03
Macau 113,978   0.02
United Arab Emirates 19   0.00
Total $646,306,868   100.00%
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: U.S. EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Shares   Fair Value
COMMON STOCK
Basic Materials — 2.39%
1,876 Air Products & Chemicals Inc $    454,499
991 Albemarle Corp     130,554
9,036 Ashland Inc     879,835
14,961 Cabot Corp   1,379,404
828 Celanese Corp     142,300
1,673 CF Industries Holdings Inc     139,210
5,758 Dow Inc 333,561
23,047 DuPont de Nemours Inc 1,767,014
12,083 Eastman Chemical Co 1,210,958
2,136 Ecolab Inc 493,202
101,157 Ecovyst Inc(a) 1,127,901
1,248 FMC Corp 79,498
72,219 Freeport-McMoRan Inc 3,395,737
7,897 Hawkins Inc 606,490
2,141 International Flavors & Fragrances Inc 184,105
2,857 International Paper Co 111,480
4,018 Linde PLC 1,865,638
2,290 LyondellBasell Industries NV Class A 234,221
2,744 Mosaic Co 89,070
9,761 Newmont Corp 349,834
2,058 Nucor Corp 407,278
11,528 PPG Industries Inc 1,670,407
1,987 Sherwin-Williams Co 690,145
1,300 Steel Dynamics Inc 192,699
    17,935,040
Communications — 10.88%
5,194 Airbnb Inc Class A(a) 856,802
49,183 Alphabet Inc Class A(a) 7,423,190
58,624 Alphabet Inc Class C(a) 8,926,090
104,858 Amazon.com Inc(a) 18,914,286
4,146 Arista Networks Inc(a) 1,202,257
58,668 AT&T Inc 1,032,557
436 Booking Holdings Inc 1,581,756
1,457 Cable One Inc 616,500
1,096 CDW Corp 280,335
4,718 Charter Communications Inc Class A(a) 1,371,192
33,781 Cisco Systems Inc 1,686,010
58,133 Comcast Corp Class A 2,520,066
6,650 Corning Inc 219,184
4,267 DoorDash Inc Class A(a) 587,651
4,188 eBay Inc 221,043
856 Etsy Inc(a) 58,824
1,198 Expedia Group Inc(a) 165,025
446 F5 Inc(a) 84,557
340 FactSet Research Systems Inc 154,493
1,639 Fox Corp Class A 51,252
1,481 Fox Corp Class B 42,386
5,273 Gen Digital Inc 118,115
3,122 Interpublic Group of Cos Inc 101,871
2,430 Juniper Networks Inc 90,056
2,596 Match Group Inc(a) 94,183
555 MercadoLibre Inc(a) 839,138
27,471 Meta Platforms Inc Class A 13,339,368
Shares   Fair Value
Communications — (continued)
1,373 Motorola Solutions Inc $    487,388
7,022 Netflix Inc(a)   4,264,671
3,456 News Corp Class A      90,478
1,336 News Corp Class B      36,152
1,732 Omnicom Group Inc     167,588
3,853 Palo Alto Networks Inc(a)   1,094,753
5,146 Paramount Global Class B      60,568
11,973 Shopify Inc Class A(a) 923,956
1,574 Spotify Technology SA(a) 415,379
16,646 T-Mobile US Inc 2,716,960
2,966 Trade Desk Inc Class A(a) 259,288
37,798 Uber Technologies Inc(a) 2,910,068
36,410 United States Cellular Corp(a) 1,328,965
761 VeriSign Inc(a) 144,217
34,842 Verizon Communications Inc 1,461,970
73,908 Viavi Solutions Inc(a) 671,824
15,445 Walt Disney Co 1,889,850
19,212 Warner Bros Discovery Inc(a) 167,721
    81,669,983
Consumer, Cyclical — 9.48%
15,921 Academy Sports & Outdoors Inc 1,075,304
15,618 Allison Transmission Holdings Inc 1,267,557
5,950 American Airlines Group Inc(a) 91,333
2,527 Aptiv PLC(a) 201,276
27,731 Atlanta Braves Holdings Inc Class C(a) 1,083,173
339 AutoZone Inc(a) 1,068,409
1,696 Bath & Body Works Inc 84,834
16,512 Beacon Roofing Supply Inc(a) 1,618,506
1,670 Best Buy Co Inc 136,990
13,205 BJ's Wholesale Club Holdings Inc(a) 998,958
8,102 Boot Barn Holdings Inc(a)(b) 770,905
1,922 BorgWarner Inc 66,770
13,533 Brunswick Corp 1,306,205
2,111 Caesars Entertainment Inc(a) 92,335
1,487 CarMax Inc(a) 129,533
8,262 Carnival Corp(a) 135,001
559 Chipotle Mexican Grill Inc(a) 1,624,884
10,223 Churchill Downs Inc 1,265,096
7,263 Copart Inc(a) 420,673
3,703 Costco Wholesale Corp 2,712,929
11,904 Crocs Inc(a) 1,711,795
1,174 Cummins Inc 345,919
1,063 Darden Restaurants Inc 177,680
219 Deckers Outdoor Corp(a) 206,136
5,170 Delta Air Lines Inc 247,488
1,934 Dollar General Corp 301,820
1,674 Dollar Tree Inc(a) 222,893
289 Domino's Pizza Inc 143,598
8,526 DR Horton Inc 1,402,953
4,634 Fastenal Co 357,467
32,094 Ford Motor Co 426,208
92,280 Garrett Motion Inc(a) 917,263
71,971 General Motors Co 3,263,885
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: U.S. EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Shares   Fair Value
Consumer, Cyclical — (continued)
1,203 Genuine Parts Co $    186,381
1,162 Hasbro Inc      65,676
10,303 Hilton Worldwide Holdings Inc   2,197,733
8,306 Home Depot Inc   3,186,182
18,694 KB Home   1,325,031
2,805 Las Vegas Sands Corp     145,019
2,026 Lennar Corp Class A     348,431
1,161 Live Nation Entertainment Inc(a) 122,799
2,252 LKQ Corp 120,279
6,533 Lowe's Cos Inc 1,664,151
959 Lululemon Athletica Inc(a) 374,633
5,725 Marriott International Inc Class A 1,444,475
6,054 McDonald's Corp 1,706,925
1,961 MGM Resorts International(a) 92,579
79,453 MRC Global Inc(a) 998,724
9,998 NIKE Inc Class B 939,612
3,849 Norwegian Cruise Line Holdings Ltd(a) 80,559
29 NVR Inc(a) 234,899
1,848 O'Reilly Automotive Inc(a) 2,086,170
4,372 PACCAR Inc 541,647
327 Pool Corp 131,945
38,165 PulteGroup Inc 4,603,462
239 Ralph Lauren Corp 44,875
2,858 Ross Stores Inc 419,440
2,092 Royal Caribbean Cruises Ltd(a) 290,809
15,121 Skyline Champion Corp(a) 1,285,436
45,648 Southwest Airlines Co 1,332,465
12,592 Starbucks Corp 1,150,783
1,841 Tapestry Inc 87,411
15,189 Target Corp 2,691,643
26,831 Tesla Inc(a) 4,716,622
9,402 TJX Cos Inc 953,551
875 Tractor Supply Co 229,005
428 Ulta Beauty Inc(a) 223,793
2,696 United Airlines Holdings Inc(a) 129,084
1,831 VF Corp 28,088
14,210 VSE Corp 1,136,800
24,299 Wabash National Corp 727,512
6,375 Walgreens Boots Alliance Inc 138,274
96,974 Walmart Inc 5,834,926
882 WW Grainger Inc 897,259
706 Wynn Resorts Ltd 72,174
2,272 Yum! Brands Inc 315,013
    71,178,051
Consumer, Non-Cyclical — 19.30%
14,437 Abbott Laboratories 1,640,909
26,485 AbbVie Inc 4,822,919
2,373 Agilent Technologies Inc 345,295
141,930 Alight Inc Class A(a) 1,398,011
1,219 Align Technology Inc(a) 399,734
33,825 Alkermes PLC(a) 915,643
29,760 Alta Equipment Group Inc 385,392
15,098 Altria Group Inc 658,575
4,413 Amgen Inc 1,254,704
Shares   Fair Value
Consumer, Non-Cyclical — (continued)
26,529 Andersons Inc $  1,521,969
16,748 ANI Pharmaceuticals Inc(a)   1,157,789
4,476 Archer-Daniels-Midland Co     281,138
28,591 AstraZeneca PLC Sponsored ADR   1,937,040
3,353 Automatic Data Processing Inc     837,378
644 Avery Dennison Corp     143,773
4,389 Baxter International Inc     187,586
2,468 Becton Dickinson & Co 610,707
22,880 BellRing Brands Inc(a) 1,350,606
1,201 Biogen Inc(a) 258,972
158 Bio-Rad Laboratories Inc Class A(a) 54,647
1,272 Bio-Techne Corp 89,536
2,227 Block Inc(a) 188,360
35,224 Boston Scientific Corp(a) 2,412,492
17,105 Bristol-Myers Squibb Co 927,604
1,319 Brown-Forman Corp Class B 68,087
1,301 Bunge Global SA 133,379
1,765 Campbell Soup Co 78,454
2,048 Cardinal Health Inc 229,171
1,498 Catalent Inc(a) 84,562
9,093 Celsius Holdings Inc(a) 753,992
1,330 Cencora Inc 323,177
4,514 Centene Corp(a) 354,259
343 Charles River Laboratories International Inc(a) 92,936
2,152 Church & Dwight Co Inc 224,475
9,648 Cigna Group 3,504,057
717 Cintas Corp 492,601
1,103 Clorox Co 168,880
91,728 Coca-Cola Co 5,611,919
6,976 Colgate-Palmolive Co 628,189
10,593 Colliers International Group Inc 1,294,782
4,000 Conagra Brands Inc 118,560
10,676 CONMED Corp 854,934
1,342 Constellation Brands Inc Class A 364,702
631 Corpay Inc(a) 194,689
42,750 Corteva Inc 2,465,392
3,261 CoStar Group Inc(a) 315,013
78,037 Custom Truck One Source Inc(a) 454,175
10,604 CVS Health Corp 845,775
5,416 Danaher Corp 1,352,484
395 DaVita Inc(a) 54,530
1,625 DENTSPLY SIRONA Inc 53,934
3,119 Dexcom Inc(a) 432,605
7,785 Edwards Lifesciences Corp(a) 743,935
1,932 Elevance Health Inc 1,001,819
11,634 Eli Lilly & Co 9,050,786
4,975 Embecta Corp 66,018
1,096 Equifax Inc 293,202
1,866 Estee Lauder Cos Inc Class A 287,644
10,469 Euronet Worldwide Inc(a) 1,150,857
3,705 Exact Sciences Corp(a) 255,867
649 Gartner Inc(a) 309,359
3,481 GE HealthCare Technologies Inc 316,458
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: U.S. EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Shares   Fair Value
Consumer, Non-Cyclical — (continued)
4,844 General Mills Inc $    338,935
10,600 Gilead Sciences Inc     776,450
2,130 Global Payments Inc     284,696
2,612 Haemonetics Corp(a)     222,934
1,817 HCA Healthcare Inc     606,024
1,204 Henry Schein Inc(a)      90,926
8,543 Herc Holdings Inc   1,437,787
1,209 Hershey Co 235,150
2,130 Hologic Inc(a) 166,055
2,133 Hormel Foods Corp 74,420
1,048 Humana Inc 363,363
682 IDEXX Laboratories Inc(a) 368,232
1,359 Illumina Inc(a) 186,618
1,722 Incyte Corp(a) 98,102
29,284 Inmode Ltd(a) 632,827
647 Insulet Corp(a) 110,896
4,441 Intuitive Surgical Inc(a) 1,772,359
1,501 IQVIA Holdings Inc(a) 379,588
3,330 J & J Snack Foods Corp 481,385
836 J M Smucker Co 105,227
19,773 John Wiley & Sons Inc Class A 753,944
20,092 Johnson & Johnson 3,178,354
2,211 Kellanova 126,668
52,049 Kenvue Inc 1,116,972
8,991 Keurig Dr Pepper Inc 275,754
2,843 Kimberly-Clark Corp 367,742
17,850 Korn Ferry 1,173,816
6,407 Kraft Heinz Co 236,418
5,455 Kroger Co 311,644
671 Laboratory Corp of America Holdings 146,587
1,211 Lamb Weston Holdings Inc 129,008
15,264 Lantheus Holdings Inc(a) 950,031
302 MarketAxess Holdings Inc 66,213
1,915 McCormick & Co Inc 147,091
8,710 McKesson Corp 4,675,964
10,886 Medtronic PLC 948,715
42,104 Merck & Co Inc 5,555,623
2,583 Moderna Inc(a) 275,244
514 Molina Healthcare Inc(a) 211,167
1,520 Molson Coors Beverage Co Class B 102,220
11,062 Mondelez International Inc Class A 774,340
8,600 Monster Beverage Corp(a) 509,808
1,306 Moody's Corp 513,297
56,097 Nomad Foods Ltd 1,097,257
34,666 Option Care Health Inc(a) 1,162,698
35,973 Pacira BioSciences Inc(a) 1,051,131
8,672 PayPal Holdings Inc(a) 580,937
11,472 PepsiCo Inc 2,007,715
46,696 Pfizer Inc 1,295,814
34,233 Philip Morris International Inc 3,136,427
9,289 Post Holdings Inc(a) 987,235
40,702 Procter & Gamble Co 6,603,899
32,410 Quanex Building Products Corp 1,245,516
2,819 Quanta Services Inc 732,376
948 Quest Diagnostics Inc 126,188
Shares   Fair Value
Consumer, Non-Cyclical — (continued)
5,671 Regeneron Pharmaceuticals Inc(a) $  5,458,281
1,314 ResMed Inc     260,211
1,033 Revvity Inc     108,465
985 Robert Half Inc      78,091
2,240 Rollins Inc     103,645
2,644 S&P Global Inc   1,124,890
12,694 Sanofi SA   1,234,933
12,749 Spectrum Brands Holdings Inc 1,134,788
882 STERIS PLC 198,291
2,772 Stryker Corp 992,016
32,437 Supernus Pharmaceuticals Inc(a) 1,106,426
4,078 Sysco Corp 331,052
449 Teleflex Inc 101,550
19,643 Tenet Healthcare Corp(a) 2,064,676
1,712 The Cooper Cos Inc 173,700
7,671 Thermo Fisher Scientific Inc 4,458,462
2,401 Tyson Foods Inc Class A 141,011
5,354 UFP Technologies Inc(a) 1,350,279
3,057 United Rentals Inc 2,204,433
5,202 United Therapeutics Corp(a) 1,195,003
10,697 UnitedHealth Group Inc 5,291,806
572 Universal Health Services Inc Class B 104,367
23,374 V2X Inc(a) 1,091,800
1,179 Verisk Analytics Inc 277,926
2,106 Vertex Pharmaceuticals Inc(a) 880,329
30,967 Vestis Corp 596,734
9,742 Viatris Inc 116,319
523 Waters Corp(a) 180,032
654 West Pharmaceutical Services Inc 258,794
5,177 WEX Inc(a) 1,229,693
1,868 Zimmer Biomet Holdings Inc 246,539
3,917 Zoetis Inc 662,796
    144,869,562
Energy — 5.77%
45,180 Antero Resources Corp(a) 1,310,220
2,576 APA Corp 88,563
8,282 Baker Hughes Co 277,447
23,690 California Resources Corp 1,305,319
32,786 ChampionX Corp 1,176,690
679 Cheniere Energy Inc 109,509
14,473 Chevron Corp 2,282,971
31,686 ConocoPhillips 4,032,994
6,769 Coterra Energy Inc 188,720
34,233 Delek US Holdings Inc 1,052,322
5,094 Devon Energy Corp 255,617
1,466 Diamondback Energy Inc 290,517
1,218 Enphase Energy Inc(a) 147,354
4,953 EOG Resources Inc 633,191
3,223 EQT Corp 119,477
73,946 Exxon Mobil Corp 8,595,483
926 First Solar Inc(a) 156,309
7,452 Halliburton Co 293,758
2,265 Hess Corp 345,730
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: U.S. EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Shares   Fair Value
Energy — (continued)
15,544 Kinder Morgan Inc $    285,077
130,446 Kosmos Energy Ltd(a)     777,458
5,388 Marathon Oil Corp     152,696
3,138 Marathon Petroleum Corp     632,307
92,862 Newpark Resources Inc(a)     670,464
40,443 Noble Corp PLC   1,961,081
52,400 Northern Oil & Gas Inc   2,079,232
5,411 Occidental Petroleum Corp 351,661
4,869 ONEOK Inc 390,348
3,703 Phillips 66 604,848
1,961 Pioneer Natural Resources Co 514,762
12,092 Schlumberger NV 662,762
63,090 Shell PLC(a) 2,092,893
2,000 Targa Resources Corp 223,980
25,359 Tidewater Inc(a) 2,333,028
15,086 Valero Energy Corp 2,575,029
34,525 Weatherford International PLC(a) 3,984,875
9,665 Williams Cos Inc 376,645
    43,331,337
Financial — 14.74%
4,437 Aflac Inc 380,961
16,723 Agree Realty Corp REIT 955,218
1,391 Alexandria Real Estate Equities Inc REIT 179,314
2,112 Allstate Corp 365,397
4,834 American Express Co 1,100,653
33,060 American International Group Inc 2,584,300
8,851 American Tower Corp REIT 1,748,869
830 Ameriprise Financial Inc 363,905
28,665 Ameris Bancorp 1,386,813
1,719 Aon PLC Class A 573,665
16,767 Apollo Global Management Inc 1,885,449
2,973 Arch Capital Group Ltd(a) 274,824
1,789 Arthur J Gallagher & Co 447,322
527 Assurant Inc 99,202
1,269 AvalonBay Communities Inc REIT 235,476
50,493 AXA SA 1,896,311
155,776 Bank of America Corp 5,907,026
6,300 Bank of New York Mellon Corp 363,006
15,185 Berkshire Hathaway Inc Class B(a) 6,385,596
1,147 BlackRock Inc 956,254
9,769 Blackstone Inc 1,283,353
1,327 Boston Properties Inc REIT 86,666
1,799 Brown & Brown Inc 157,484
43,260 Cadence Bank 1,254,540
726 Camden Property Trust REIT 71,438
15,031 Capital One Financial Corp 2,237,966
921 Cboe Global Markets Inc 169,215
2,500 CBRE Group Inc Class A(a) 243,100
49,084 Charles Schwab Corp 3,550,737
3,396 Chubb Ltd 880,005
1,401 Cincinnati Financial Corp 173,962
81,445 Citigroup Inc 5,150,582
Shares   Fair Value
Financial — (continued)
3,980 Citizens Financial Group Inc $    144,434
3,060 CME Group Inc     658,787
972 Comerica Inc      53,450
3,619 Crown Castle Inc REIT     382,999
2,501 Digital Realty Trust Inc REIT     360,244
2,233 Discover Financial Services     292,724
24,002 Employers Holdings Inc   1,089,451
3,184 Enstar Group Ltd(a) 989,460
793 Equinix Inc REIT 654,487
53,307 Equity Commonwealth REIT(a) 1,006,436
2,971 Equity Residential REIT 187,500
546 Essex Property Trust Inc REIT 133,666
365 Everest Group Ltd 145,087
1,708 Extra Space Storage Inc REIT 251,076
10,288 Federal Agricultural Mortgage Corp Class C 2,025,501
680 Federal Realty Investment Trust REIT 69,442
5,152 Fifth Third Bancorp 191,706
2,164 Franklin Resources Inc 60,830
27,141 Gaming & Leisure Properties Inc REIT 1,250,386
644 Globe Life Inc 74,942
9,871 Goldman Sachs Group Inc 4,123,018
2,480 Hartford Financial Services Group Inc 255,564
5,416 Healthpeak Properties Inc REIT 101,550
69,487 Home BancShares Inc 1,707,296
61,237 Hope Bancorp Inc 704,838
5,466 Host Hotels & Resorts Inc REIT 113,037
11,705 Huntington Bancshares Inc 163,285
4,834 Intercontinental Exchange Inc 664,337
47,381 International Money Express Inc(a) 1,081,708
3,111 Invesco Ltd 51,611
4,901 Invitation Homes Inc REIT 174,525
2,608 Iron Mountain Inc REIT 209,188
32,566 JPMorgan Chase & Co 6,522,970
17,829 Kemper Corp 1,103,972
7,997 KeyCorp 126,433
4,307 Kimco Realty Corp REIT 84,460
3,767 KKR & Co Inc 378,885
1,596 Loews Corp 124,951
1,429 M&T Bank Corp 207,834
4,023 Marsh & McLennan Cos Inc 828,657
10,812 Mastercard Inc Class A 5,206,735
9,734 McGrath RentCorp 1,200,884
5,261 MetLife Inc 389,893
875 Mid-America Apartment Communities Inc REIT 115,132
10,572 Morgan Stanley 995,459
2,945 Nasdaq Inc 185,829
1,786 Northern Trust Corp 158,811
17,277 Pinnacle Financial Partners Inc 1,483,749
17,441 PNC Financial Services Group Inc 2,818,466
19,364 Popular Inc 1,705,775
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: U.S. EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Shares   Fair Value
Financial — (continued)
24,504 Postal Realty Trust Inc Class A REIT $    350,897
1,988 Principal Financial Group Inc     171,584
4,799 Progressive Corp     992,529
7,571 Prologis Inc REIT     985,896
19,604 Prosperity Bancshares Inc   1,289,551
2,950 Prudential Financial Inc     346,330
1,381 Public Storage REIT     400,573
1,658 Raymond James Financial Inc 212,920
7,160 Realty Income Corp REIT 387,356
1,103 Regency Centers Corp REIT 66,798
7,526 Regions Financial Corp 158,347
930 SBA Communications Corp REIT 201,531
2,683 Simon Property Group Inc REIT 419,863
17,207 SouthState Corp 1,463,111
35,757 STAG Industrial Inc REIT 1,374,499
15,110 State Street Corp 1,168,305
17,801 Stifel Financial Corp 1,391,504
3,703 Synchrony Financial 159,673
2,005 T Rowe Price Group Inc 244,450
1,899 Travelers Cos Inc 437,036
11,056 Truist Financial Corp 430,963
2,109 UDR Inc REIT 78,898
12,960 US Bancorp 579,312
3,520 Ventas Inc REIT 153,261
9,058 VICI Properties Inc REIT 269,838
13,201 Visa Inc Class A 3,684,135
38,603 Vornado Realty Trust REIT 1,110,608
1,707 W R Berkley Corp 150,967
29,901 Wells Fargo & Co 1,733,062
4,788 Welltower Inc REIT 447,391
6,532 Weyerhaeuser Co REIT 234,564
909 Willis Towers Watson PLC 249,975
19,709 Wintrust Financial Corp 2,057,422
20,652 WSFS Financial Corp 932,231
    110,695,449
Industrial — 11.02%
4,571 3M Co 484,846
930 A O Smith Corp 83,198
12,067 Albany International Corp Class A 1,128,385
677 Allegion PLC 91,199
12,475 Amcor PLC 118,637
1,870 AMETEK Inc 342,023
10,375 Amphenol Corp Class A 1,196,756
18,041 Arcosa Inc 1,549,000
6,651 Atkore Inc 1,266,084
34,900 Atmus Filtration Technologies Inc(a) 1,125,525
603 Axon Enterprise Inc(a) 188,667
20,290 Ball Corp 1,366,734
16,162 Bel Fuse Inc Class B 974,730
4,824 Boeing Co(a) 930,984
1,076 Builders FirstSource Inc(a) 224,400
6,887 Carrier Global Corp 400,341
Shares   Fair Value
Industrial — (continued)
4,208 Caterpillar Inc $  1,541,937
39,477 CECO Environmental Corp(a)     908,761
996 CH Robinson Worldwide Inc      75,835
5,893 Clean Harbors Inc(a)   1,186,320
21,528 Columbus McKinnon Corp     960,795
27,346 CRH PLC   2,358,866
2,725 CSW Industrials Inc     639,285
16,920 CSX Corp 627,224
2,648 Deere & Co 1,087,640
1,212 Dover Corp 214,754
7,552 Eaton Corp PLC 2,361,359
4,776 Emerson Electric Co 541,694
1,249 Expeditors International of Washington Inc 151,841
11,648 FedEx Corp 3,374,892
3,110 Fortive Corp 267,522
1,297 Garmin Ltd 193,084
56,649 Genco Shipping & Trading Ltd 1,151,674
545 Generac Holdings Inc(a) 68,746
1,896 General Dynamics Corp 535,601
9,189 General Electric Co 1,612,945
21,605 Griffon Corp 1,584,511
12,483 Honeywell International Inc 2,562,136
3,499 Howmet Aerospace Inc 239,437
473 Hubbell Inc 196,319
307 Huntington Ingalls Industries Inc 89,481
669 IDEX Corp 163,249
2,324 Illinois Tool Works Inc 623,599
28,033 Ingersoll Rand Inc 2,661,733
20,863 International Seaways Inc 1,109,912
3,689 Jabil Inc 494,142
1,112 Jacobs Solutions Inc 170,948
77,050 Janus International Group Inc(a) 1,165,767
726 JB Hunt Transport Services Inc 144,656
26,884 Johnson Controls International PLC 1,756,063
6,209 Kadant Inc 2,037,173
1,427 Keysight Technologies Inc(a) 223,154
23,872 Knife River Corp(a) 1,935,542
1,529 L3Harris Technologies Inc 325,830
47,149 Leonardo DRS Inc(a) 1,041,521
3,737 Littelfuse Inc 905,662
1,825 Lockheed Martin Corp 830,138
506 Martin Marietta Materials Inc 310,654
1,833 Masco Corp 144,587
51,011 MDU Resources Group Inc 1,285,477
24,032 Mercury Systems Inc(a) 708,944
177 Mettler-Toledo International Inc(a) 235,638
378 Mohawk Industries Inc(a) 49,476
15,735 Moog Inc Class A 2,512,093
419 Nordson Corp 115,032
1,851 Norfolk Southern Corp 471,764
5,881 Northrop Grumman Corp 2,814,999
1,476 Old Dominion Freight Line Inc 323,702
3,317 Otis Worldwide Corp 329,279
788 Packaging Corp of America 149,547
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: U.S. EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Shares   Fair Value
Industrial — (continued)
1,062 Parker-Hannifin Corp $    590,249
1,553 Pentair PLC     132,688
46,619 Pure Cycle Corp(a)     442,881
1,703 Republic Services Inc     326,022
921 Rockwell Automation Inc     268,315
32,858 RTX Corp   3,204,641
444 Snap-on Inc     131,522
1,266 Stanley Black & Decker Inc 123,979
14,040 TD SYNNEX Corp 1,587,924
2,613 TE Connectivity Ltd 379,512
400 Teledyne Technologies Inc(a) 171,728
1,767 Textron Inc 169,508
4,533 Trane Technologies PLC 1,360,807
1,292 TransDigm Group Inc 1,591,227
2,098 Trimble Inc(a) 135,027
81,286 TTM Technologies Inc(a) 1,272,126
13,476 UFP Industries Inc 1,657,683
5,150 Union Pacific Corp 1,266,540
6,056 United Parcel Service Inc Class B 900,103
4,893 Veralto Corp 433,813
88,669 Vontier Corp 4,022,026
1,094 Vulcan Materials Co 298,575
3,100 Waste Management Inc 660,765
1,577 Westinghouse Air Brake Technologies Corp 229,737
2,023 Westrock Co 100,037
1,956 Xylem Inc 252,793
    82,754,677
Technology — 20.43%
5,201 Accenture PLC Class A 1,802,719
4,889 Adobe Inc(a) 2,466,989
22,748 Advanced Micro Devices Inc(a) 4,105,787
1,333 Akamai Technologies Inc(a) 144,977
4,071 Analog Devices Inc 805,203
775 ANSYS Inc(a) 269,049
136,801 Apple Inc 23,458,636
6,868 Applied Materials Inc 1,416,388
283 ASML Holding NV 274,643
1,732 Autodesk Inc(a) 451,047
5,256 Broadcom Inc 6,966,355
1,038 Broadridge Financial Solutions Inc 212,645
2,302 Cadence Design Systems Inc(a) 716,567
6,678 Cognizant Technology Solutions Corp Class A 489,431
9,844 Concentrix Corp 651,870
19,640 Crane NXT Co 1,215,716
1,264 Dayforce Inc(a) 83,689
1,976 Electronic Arts Inc 262,156
504 EPAM Systems Inc(a) 139,185
217 Fair Isaac Corp(a) 271,165
4,933 Fidelity National Information Services Inc 365,930
5,018 Fiserv Inc(a) 801,977
5,419 Fortinet Inc(a) 370,172
Shares   Fair Value
Technology — (continued)
25,234 HashiCorp Inc Class A(a) $    680,056
11,543 Hewlett Packard Enterprise Co     204,657
7,754 HP Inc     234,326
682 HubSpot Inc(a)     427,314
35,632 Intel Corp   1,573,865
7,699 International Business Machines Corp   1,470,201
3,484 Intuit Inc   2,264,600
505 Jack Henry & Associates Inc 87,734
1,102 KLA Corp 769,824
1,986 Lam Research Corp 1,929,538
1,146 Leidos Holdings Inc 150,229
4,469 Microchip Technology Inc 400,914
9,319 Micron Technology Inc 1,098,617
91,287 Microsoft Corp 38,406,267
11,438 MKS Instruments Inc 1,521,254
601 MongoDB Inc(a) 215,543
391 Monolithic Power Systems Inc 264,871
661 MSCI Inc 370,457
29,323 NCR Atleos Corp(a) 579,129
1,640 NetApp Inc 172,151
26,929 NVIDIA Corp 24,331,968
7,103 NXP Semiconductors NV 1,759,910
3,592 ON Semiconductor Corp(a) 264,192
51,492 Oracle Corp 6,467,910
2,660 Paychex Inc 326,648
412 Paycom Software Inc 81,992
1,020 PTC Inc(a) 192,719
904 Qorvo Inc(a) 103,806
29,269 QUALCOMM Inc 4,955,242
18,960 Rambus Inc(a) 1,171,918
891 Roper Technologies Inc 499,708
12,175 Salesforce Inc 3,666,867
1,617 Seagate Technology Holdings PLC 150,462
46,911 Semtech Corp(a) 1,289,583
2,787 ServiceNow Inc(a) 2,124,809
1,417 Skyworks Solutions Inc 153,489
403 Super Micro Computer Inc(a) 407,042
2,916 Synopsys Inc(a) 1,666,494
4,593 Taiwan Semiconductor Manufacturing Co Ltd Sponsored ADR 624,878
1,356 Take-Two Interactive Software Inc(a) 201,352
1,360 Teradyne Inc 153,449
7,478 Texas Instruments Inc 1,302,742
375 Tyler Technologies Inc(a) 159,379
2,848 Western Digital Corp(a) 194,348
1,602 Workday Inc Class A(a) 436,945
394 Zebra Technologies Corp Class A(a) 118,767
    153,370,462
Utilities — 2.39%
6,149 AES Corp 110,252
14,539 ALLETE Inc 867,106
2,100 Alliant Energy Corp 105,840
 
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: U.S. EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
Shares   Fair Value
Utilities — (continued)
21,861 Ameren Corp $  1,616,840
4,288 American Electric Power Co Inc     369,197
1,739 American Water Works Co Inc     212,523
1,324 Atmos Energy Corp     157,384
5,399 CenterPoint Energy Inc     153,817
2,607 CMS Energy Corp     157,306
2,800 Consolidated Edison Inc     254,268
14,988 Constellation Energy Corp 2,770,532
6,824 Dominion Energy Inc 335,673
1,763 DTE Energy Co 197,703
6,546 Duke Energy Corp 633,064
3,425 Edison International 242,250
1,850 Entergy Corp 195,508
2,168 Evergy Inc 115,728
2,964 Eversource Energy 177,158
39,656 Exelon Corp 1,489,876
4,457 FirstEnergy Corp 172,129
16,883 NextEra Energy Inc 1,078,992
2,857 NiSource Inc 79,025
44,623 NRG Energy Inc 3,020,531
17,017 PG&E Corp 285,205
1,122 Pinnacle West Capital Corp 83,847
5,730 PPL Corp 157,747
3,964 Public Service Enterprise Group Inc 264,716
4,999 Sempra 359,078
9,279 Southern Co 665,675
11,742 Talen Energy Corp(a)(b) 1,107,858
2,820 WEC Energy Group Inc 231,578
4,448 Xcel Energy Inc 239,080
    17,907,486
TOTAL COMMON STOCK — 96.40%
(Cost $580,678,069)
$723,712,047
EXCHANGE TRADED FUNDS
13,594 iShares Russell 1000 Value ETF 2,434,821
71,000 Vanguard Russell 2000 ETF 6,039,260
     
TOTAL EXCHANGE TRADED FUNDS — 1.13%
(Cost $8,352,180)
$8,474,081
Principal Amount   Fair Value
SHORT TERM INVESTMENTS
U.S. Treasury Bonds and Notes — 0.29%
$2,216,900 U.S. Treasury Bills(c)
5.31%, 05/23/2024
$  2,199,067
Repurchase Agreements — 0.16%
   221,854 Repurchase agreement (principal amount/value $221,847 with a maturity value of $221,978) with HSBC Securities (USA) Inc, 5.32%, dated 3/28/24 to be repurchased at $221,854 on 4/1/24 collateralized by U.S. Treasury securities, 0.63% - 4.00%, 2/15/25 - 2/15/48, with a value of $226,284.(d)      221,854
1,000,029 Undivided interest of 0.56% in a repurchase agreement (principal amount/value $177,916,671 with a maturity value of $178,022,037) with RBC Capital Markets Corp, 5.33%, dated 3/28/24 to be repurchased at $1,000,029 on 4/1/24 collateralized by U.S. Treasury securities and various U.S. Government Agency securities, 0.00% - 8.00%, 4/4/24 - 3/1/54, with a value of $181,475,005.(d)   1,000,029
    1,221,883
TOTAL SHORT TERM INVESTMENTS — 0.45%
(Cost $3,420,950)
$3,420,950
TOTAL INVESTMENTS — 97.98%
(Cost $592,451,199)
$735,607,078
OTHER ASSETS & LIABILITIES, NET — 2.02% $15,128,967
TOTAL NET ASSETS — 100.00% $750,736,045
 
(a) Non-income producing security.
(b) All or a portion of the security is on loan at March 28, 2024.
(c) Zero coupon bond; the interest rate shown is the effective yield on date of purchase.
(d) Collateral received for securities on loan.
ADR American Depositary Receipt
ETF Exchange Traded Fund
REIT Real Estate Investment Trust
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
EMPOWER CORE STRATEGIES: U.S. EQUITY FUND
Schedule of Investments
As of March 28, 2024 (Unaudited)
At March 28, 2024 the Fund held the following outstanding exchange traded futures contracts:
Description Number of
Contracts
Notional Amount
(000)
Expiration
Date
Fair Value and
Net Unrealized
Appreciation
Long          
S&P 500® Emini Futures 18 USD 4,778 Jun 2024 $95,995
        Net Appreciation $95,995
At March 28, 2024 the Fund held the following over-the-counter (OTC) forward foreign currency contracts:
Counterparty Currency
Purchased
Quantity of
Currency
Purchased
Currency
Sold
Quantity of
Currency
Sold
Settlement Date Net
Unrealized
Appreciation
BB USD 346,828 EUR 318,300 06/20/2024 $2,266
BB USD 601,369 GBP 473,600 06/20/2024 3,390
CGM USD 109 EUR 100 06/20/2024 1
CGM USD 13,459 GBP 10,600 06/20/2024 75
GS USD 31,234 GBP 24,600 06/20/2024 174
HSB USD 1,094,476 EUR 1,005,100 06/20/2024 6,448
HSB USD 218,497 GBP 172,100 06/20/2024 1,199
MS USD 2,151,502 EUR 1,973,900 06/20/2024 14,742
RBS USD 495,670 EUR 454,900 06/20/2024 3,237
RBS USD 975,020 GBP 767,900 06/20/2024 5,450
SSB USD 92,714 EUR 85,100 06/20/2024 593
SSB USD 977,230 GBP 769,600 06/20/2024 5,514
TD USD 408,930 EUR 375,300 06/20/2024 2,666
TD USD 335,719 GBP 264,400 06/20/2024 1,881
UBS USD 663,149 EUR 608,600 06/20/2024 4,335
WES USD 496,581 GBP 391,100 06/20/2024 2,768
          Net Appreciation $54,739
Currency Abbreviations  
EUR Euro Dollar
GBP British Pound
USD U.S. Dollar
Abbreviations  
BB Barclays Bank PLC
CGM Citigroup Global Markets
GS Goldman Sachs
HSB HSBC Bank USA
MS Morgan Stanley & Co LLC
RBS Royal Bank of Scotland
SSB State Street Bank
TD Toronto Dominion Bank
UBS UBS AG
WES Westpac Banking
See Notes to Schedule of Investments.

March 28, 2024

 

EMPOWER FUNDS, INC.
Notes to Schedule of Investments (Unaudited)

Security Valuation
The board of directors of Empower Funds (Board of Directors) has adopted policies and procedures for the valuation of each Fund's securities and assets, and has appointed the Fair Value Pricing Committee of the investment adviser,  Empower Capital Management, LLC (ECM or the Adviser), to complete valuation determinations under those policies and procedures.  Pursuant to Rule 2a-5 under the Investment Company Act of 1940, as amended, the Board of Directors approved the Adviser as the Funds' valuation designee to make all fair value determinations with respect to the Funds' investments, subject to oversight by the Board of Directors.
Each Fund generally values its securities, including Exchange Traded Funds, based on market prices determined at the close of regular trading on the New York Stock Exchange (NYSE) on each day the NYSE is open for trading. The net asset value (NAV) of each class of a Fund’s shares is determined by dividing the net assets attributable to each class of shares of the Fund by the number of issued and outstanding shares of each class of the Fund on each valuation date.
For private equity securities that are not traded on an exchange, an appropriate source, which may include the use of an internally developed or approved valuation model, a different external pricing vendor, or sourcing a price from a broker will be used. Valuation of these securities will be reviewed regularly by the Fair Value Pricing Committee.
Short term securities purchased with less than 60 days remaining until maturity and all U.S. Treasury Bills are valued on the basis of amortized cost, which has been determined to approximate fair value. Short term securities purchased with more than 60 days remaining until maturity are valued using pricing services, or in the event a price is not available from a pricing service, may be priced using other methodologies approved by the Board of Directors, including model pricing or pricing on the basis of quotations from brokers or dealers, and will continue to be priced until final maturity.
Fixed income investments, including bank loans, are valued using evaluated bid prices from approved pricing services when available and appropriate based on the conditions of the market. If a price cannot be located from either the primary or secondary sources, or if the market is determined to be illiquid or inactive, other appropriate sources, which may include the use of an internally developed valuation model, another external pricing vendor or sourcing a price from a broker, may be used.
Foreign equity securities are generally valued using an adjusted systematic fair value price from an independent pricing service. Foreign exchange rates are determined at a time that corresponds to the closing of the NYSE.
For derivatives that are traded on an exchange, the last sale price as of the close of business of the exchange will be used.  For derivatives traded OTC, independent pricing services will be utilized when possible.  If a price cannot be located from the primary source, other appropriate sources, which may include the use of an internally developed valuation model, another external pricing vendor or sourcing a price from a broker, may be used.
Independent pricing services are approved by the Board of Directors and are utilized for all investment types when available. In some instances valuations from independent pricing services are not available or do not reflect events in the market between the time the market closed and the valuation time and therefore fair valuation procedures are implemented. The fair value for some securities may be obtained from pricing services or other pricing sources. The inputs used by the pricing services are reviewed quarterly or when the pricing vendor issues updates to its pricing methodologies. Broker quotes are analyzed through an internal review process, which includes a review of known market conditions and other relevant data. Developments that might trigger fair value pricing could be natural disasters, government actions or fluctuations in domestic and foreign markets.

March 28, 2024

 

The following table provides examples of the inputs that are commonly used for valuing particular classes of securities. These classifications are not exclusive, and any inputs may be used to value any other security class.
Class Inputs
Asset-Backed Securities Benchmark yields, reported trades, broker/dealer quotes, issuer spreads, two-sided markets, benchmark securities, bids, evaluated bids, offers and reference data including market research publications. Inputs may also include new issue data, collateral performance, and monthly payment information.
Bank Loans Broker quotes, Loan Syndications and Trading Association daily marks, loan analytics and market news.
Corporate Bonds and Notes Benchmark yields, reported trades, broker/dealer quotes, issuer spreads, two-sided markets, benchmark securities, bids, evaluated bids, offers and reference data including market research publications. Inputs also may include observations of equity and credit default swap curves related to issuer.
Convertible Bonds, Convertible Preferred Stock,
Preferred Stock
Benchmark yields, reported trades, broker/dealer quotes, issuer spreads, two-sided markets, benchmark securities, bids, evaluated bids, offers and reference data including market research publications. Inputs also may include exchange prices.
Foreign Government Bonds and Notes Benchmark yields, executed trades, broker/dealer quotes, credit information, collateral attributes, issuer spreads, benchmark securities, treasury/swap maturity curves, issuer spread curves, evaluated bids, market corroborated inputs, offers and reference data including market research publications.
Mortgage-Backed Securities Benchmark yields, reported trades, broker/dealer quotes, issuer spreads, two-sided markets, benchmark securities, bids, evaluated bids, offers and reference data including market research publications. Inputs may also include new issue data, collateral performance, TBA prices, monthly payment information and third party real estate analysis.
U.S. Treasury Bonds and Notes Benchmark yields, reported trades, broker/dealer quotes, issuer spreads, two-sided markets, benchmark securities, bids, evaluated bids, offers and reference data including market research publications.
Common Stock Exchange traded close price, bids, evaluated bids, open and close price of the local exchange, exchange rates, fair values based on significant market movement and various index data.
Exchange Traded Funds Exchange traded close price.
Short Term Investments Maturity date, credit quality and interest rates.
Futures Contracts Exchange traded close price.
Forward Foreign Currency Contracts Foreign currency spot and forward rates.
Interest Rate Swaps Interest rate curves, LIBOR curves, reported trades and swap curves
The Funds classify their valuations into three levels based upon the observability of inputs to the valuation of each Fund’s investments. The valuation levels are not necessarily an indication of the risk or liquidity associated with the underlying investment. Classification is based on the lowest level of input significant to the fair value measurement. The three levels are defined as follows:
Level 1 – Unadjusted quoted prices for identical securities in active markets.
Level 2 – Inputs other than quoted prices included in Level 1 that are observable either directly or indirectly.  These may include quoted prices for similar assets in active markets.
Level 3 – Unobservable inputs to the extent observable inputs are not available and may include prices obtained from single broker quotes.  Unobservable inputs reflect a Fund’s own assumptions and would be based on the best information available under the circumstances.
As of March 28, 2024, the inputs used to value each Fund’s investments are detailed in the following table. More information regarding the sector classifications, as applicable, are included in the Schedule of Investments.

March 28, 2024

 

Empower Core Strategies: Flexible Bond Fund
  Level 1   Level 2   Level 3   Total
Assets              
Investments, at fair value:              
Asset-Backed Securities $   $159,634,700   $   $159,634,700
Bank Loans   12,877,898     12,877,898
Corporate Bonds and Notes   530,134,833     530,134,833
Convertible Bonds   27,356,034     27,356,034
Foreign Government Bonds and Notes              
Foreign Government Bonds and Notes 3,263,316   62,002,167     65,265,483
Mortgage-Backed Securities   502,128,896     502,128,896
U.S. Government Agency Bonds and Notes   34,598,463     34,598,463
U.S. Treasury Bonds and Notes   360,069,164     360,069,164
Common Stock 5,122,946       5,122,946
Convertible Preferred Stock              
Consumer, Non-cyclical   331,304     331,304
Energy 18,992       18,992
Financial 1,707,176       1,707,176
  1,726,168   331,304     2,057,472
Short Term Investments   165,258,205     165,258,205
Total investments, at fair value: 10,112,430   1,854,391,664     1,864,504,094
Other Financial Investments:              
Futures Contracts(a) 1,154,342       1,154,342
Total Assets $11,266,772   $1,854,391,664   $   $1,865,658,436
Liabilities              
Other Financial Investments:              
Futures Contracts(a) $1,844,021   $   $   $1,844,021
Total Liabilities $1,844,021   $0   $   $1,844,021
(a)Futures Contracts are reported at the security’s unrealized appreciation (depreciation), which represents the change in the contract’s value from trade date.

March 28, 2024

 

Empower Core Strategies: Inflation-Protected Securities Fund
  Level 1   Level 2   Level 3   Total
Assets              
Investments, at fair value:              
Asset-Backed Securities $   $15,816,719   $   $15,816,719
Corporate Bonds and Notes   15,189,911     15,189,911
Mortgage-Backed Securities   24,532,879     24,532,879
U.S. Treasury Bonds and Notes   331,878,548     331,878,548
Short Term Investments   195,020     195,020
Total investments, at fair value: 0   387,613,077     387,613,077
Other Financial Investments:              
Futures Contracts(a) 175,745       175,745
Interest Rate Swaps(a)   1,804,868     1,804,868
Total Assets $175,745   $389,417,945   $   $389,593,690
Liabilities              
Other Financial Investments:              
Futures Contracts(a) $(274,660)   $   $   $(274,660)
Interest Rate Swaps(a)   (1,383,718)     (1,383,718)
Total Liabilities $(274,660)   $(1,383,718)   $   $(1,658,378)
(a)Futures Contracts and Interest Rate Swaps are reported at the security’s unrealized appreciation (depreciation), which represents the change in the contract’s value from trade date.

March 28, 2024

 

Empower Core Strategies: International Equity Fund
  Level 1   Level 2   Level 3   Total
Assets              
Investments, at fair value:              
Common Stock              
Basic Materials $163,850   $33,871,475   $   $34,035,325
Communications 9,871,054   24,003,551     33,874,605
Consumer, Cyclical 1,785,850   101,004,122     102,789,972
Consumer, Non-cyclical 6,250,658   139,591,173   19   145,841,850
Diversified 102,564       102,564
Energy   31,085,055     31,085,055
Financial 1,103,022   128,685,377     129,788,399
Industrial 2,634,495   93,447,506     96,082,001
Technology 13,109,219   37,009,319     50,118,538
Utilities 773,207   12,403,954     13,177,161
  35,793,919   601,101,532   19   636,895,470
Preferred Stock   3,365,369     3,365,369
Exchange Traded Funds 2,795,100       2,795,100
Short Term Investments   3,250,929     3,250,929
Total investments, at fair value: 38,589,019   607,717,830   19   646,306,868
Other Financial Investments:              
Forward Foreign Currency Contracts   16,759     16,759
Futures Contracts(a) 31,955       31,955
Total Assets $38,620,974   $607,734,588   $19   $646,355,581
Liabilities              
Other Financial Investments:              
Forward Foreign Currency Contracts   (57)     (57)
Total Liabilities $0   $(57)   $   $(57)
(a)Futures Contracts are reported at the security’s unrealized appreciation (depreciation), which represents the change in the contract’s value from trade date.

March 28, 2024

 

Empower Core Strategies: U.S. Equity Fund
  Level 1   Level 2   Level 3   Total
Assets              
Investments, at fair value:              
Common Stock              
Basic Materials $17,935,040   $   $   $17,935,040
Communications 81,669,983       81,669,983
Consumer, Cyclical 71,178,051       71,178,051
Consumer, Non-cyclical 143,634,629   1,234,933     144,869,562
Energy 41,238,444   2,092,893     43,331,337
Financial 108,799,138   1,896,311     110,695,449
Industrial 82,754,677       82,754,677
Technology 153,370,462       153,370,462
Utilities 17,907,486       17,907,486
  718,487,910   5,224,137     723,712,047
Exchange Traded Funds 8,474,081       8,474,081
Short Term Investments   3,420,950     3,420,950
Total investments, at fair value: 726,961,991   8,645,087     735,607,078
Other Financial Investments:              
Forward Foreign Currency Contracts(a)   54,739     54,739
Futures Contracts(a) 95,995       95,995
Total Assets $727,057,986   $8,699,826   $   $735,757,812
(a)Forward Foreign Currency Contracts and Futures Contracts are reported at the security's unrealized appreciation (depreciation), which represents the change in the contract's value from trade date.
Repurchase Agreements
A Fund may engage in repurchase agreement transactions with institutions that the Fund's investment adviser has determined are creditworthy. A Fund that engages in repurchase agreement transactions will purchase securities at a specified price with an agreement to sell the securities to the same counterparty at a specified time, price and interest rate. The Funds' custodian and/or securities lending agent receives delivery of the underlying securities collateralizing a repurchase agreement. Collateral is at least equal to the value of the repurchase obligation including interest. A repurchase agreement transaction involves certain risks in the event of default or insolvency of the counterparty. These risks include possible delays or restrictions upon a Fund’s ability to dispose of the underlying securities and a possible decline in the value of the underlying securities during the period while the Fund seeks to assert its rights.
To Be Announced Transactions
The Empower Core Strategies: Flexible Bond Fund and Empower Core Strategies: Inflation-Protected Securities Fund may invest in securities known as To Be Announced (TBA) securities. TBAs are Federal National Mortgage Association, Federal Home Loan Mortgage Corporation or Government National Mortgage Association issued mortgage-backed securities for forward settlement, in which the buyer and seller decide on trade parameters, but the exact pools are unknown until two days before settlement date.  The transactions arise when securities are purchased or sold with payment and delivery taking place in the future in order to secure what is considered to be an advantageous price and yield at the time of entering into the transaction. TBA transactions generally settle monthly on a specified date. TBAs are included in Investments in securities, fair value on the Statement of Assets and Liabilities.

March 28, 2024

 

Dollar Rolls
The Empower Core Strategies: Flexible Bond Fund and the Empower Core Strategies: Inflation-Protected Securities Fund may sell TBA mortgage-backed securities and simultaneously contract to repurchase TBA mortgage-backed securities on a specific future date at an agreed upon price. During the period between the sale and repurchase, these Funds are not entitled to receive interest and principal payments on the securities sold. Mortgage dollar roll transactions are treated as purchases and sales and realize gains and losses on these transactions. Mortgage dollar rolls involve the risk that the market value of the securities that these Funds are required to purchase may decline below the agreed upon repurchase price of those securities.
Futures Contracts
A Fund may use futures contracts in order to capitalize on expected changes in the shape of the yield curve and to control overall interest rate exposure.  A futures contract is an agreement between two parties to buy or sell a specified underlying investment for a fixed price at a specified future date. Futures contracts are generally entered into on a regulated futures exchange and cleared through a clearinghouse associated with the exchange.  The use of futures contracts may involve risks such as the possibility of illiquid markets or imperfect correlation between the value of the contracts and the underlying securities that comprise the index, or that the clearinghouse will fail to perform its obligations. 
Forward Foreign Currency Contracts
A Fund may enter into OTC forward foreign currency contracts (forward contracts) primarily to capture potential returns from changes in currency exchange rates or to reduce the risk of undesired currency exposure.  A forward contract is a commitment to purchase or sell a foreign currency at a future date at a negotiated rate.   
Interest Rate Swaps
A Fund may enter into interest rate swap contracts primarily to manage interest rate risk. An interest rate swap is an agreement between two parties to exchange interest rate payment obligations. Typically, one is based on an interest rate fixed to maturity while the other is based on an interest rate that changes in accordance with changes in a designated benchmark (for example, the Secured Overnight Financing Rate (SOFR), prime rate, commercial paper rate, or other benchmarks). Each party’s payment obligation under an interest rate swap is determined by reference to a specified notional amount of money. Therefore, interest rate swaps generally do not involve the delivery of securities, other underlying instruments, or principal amounts; rather they entail the exchange of cash payments based on the application of the designated interest rates to the notional amount. These agreements may be privately negotiated in the over-the-counter market (OTC interest rate swaps) or may be executed on a registered exchange (centrally cleared interest rate swaps).
The following tables represent the average month-end volume of each Fund’s derivative transactions, if any, during the reporting period:
Empower Core Strategies: Flexible Bond Fund  
Futures Contracts:  
Average long contracts 3,779
Average short contracts 1,774
Average notional long $508,913,270
Average notional short $203,874,371
Empower Core Strategies: Inflation-Protected Securities Fund  
Futures Contracts:  
Average long contracts 424
Average short contracts 159
Average notional long $48,053,830
Average notional short $19,871,141
Centrally Cleared Interest Rate Swaps:  
Average notional amount $269,170,000
Centrally Cleared Inflation Swaps:  

March 28, 2024

 

Empower Core Strategies: Inflation-Protected Securities Fund  
Average notional amount $4,605,000
Empower Core Strategies: International Equity Fund  
Futures Contracts:  
Average long contracts 58
Average notional long $6,538,119
Forward Currency Exchange Contracts:  
Average notional amount $663,471
Empower Core Strategies: U.S. Equity Fund  
Futures Contracts:  
Average long contracts 29
Average notional long $7,227,172
Forward Currency Exchange Contracts:  
Average notional amount $8,523,720

March 28, 2024