NPORT-EX 2 NPORT_F416_17302791_0823.htm
VALIC Company I Aggressive Growth Lifestyle Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
AFFILIATED INVESTMENT COMPANIES#(1) — 99.3% 
Domestic Equity Investment Companies — 55.2% 
VALIC Company I Small Cap Growth Fund    2,224,832 $ 31,948,589
VALIC Company I Small Cap Value Fund    2,827,117  31,805,068
VALIC Company I Stock Index Fund    3,658,881 176,248,321
VALIC Company I Systematic Growth Fund    4,223,242  65,798,103
VALIC Company I Systematic Value Fund    4,174,500  52,598,704
Total Domestic Equity Investment Companies
(cost $357,544,226)
    358,398,785
Domestic Fixed Income Investment Companies — 25.4% 
VALIC Company I Core Bond Fund
(cost $181,154,505)
  17,259,193 165,170,476
International Equity Investment Companies — 18.7% 
VALIC Company I International Equities Index Fund
(cost $105,532,450)
  16,115,912 121,352,815
Total Long-Term Investment Securities
(cost $644,231,181)
    644,922,076
Security Description   Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS — 0.7% 
Unaffiliated Investment Companies — 0.7% 
State Street Institutional U.S. Government Money Market Fund, Premier Class
5.28%(2)
(cost $4,858,009)
   4,858,009   $  4,858,009
TOTAL INVESTMENTS
(cost $649,089,190)
  100.0%   649,780,085
Other assets less liabilities   (0.0)   (205,004)
NET ASSETS   100.0%   $649,575,081
# The VALIC Company I Aggressive Growth Lifestyle Fund invests in various VALIC Company I Funds. Additional information on the underlying funds including such funds' prospectuses and shareholder reports are available at our website, www.corebridgefinancial.com/rs.
(1) See Note 3.
(2) The rate shown is the 7-day yield as of August 31, 2023.
 
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Affiliated Investment Companies $644,922,076   $—   $—   $644,922,076
Short-Term Investments 4,858,009       4,858,009
Total Investments at Value $649,780,085   $—   $—   $649,780,085
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
See Notes to Portfolio of Investments
1

VALIC Company I Asset Allocation Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 61.8% 
Aerospace/Defense — 1.5% 
Howmet Aerospace, Inc.       9,345 $    462,297
Northrop Grumman Corp.       3,739   1,619,324
      2,081,621
Auto Manufacturers — 0.7% 
Tesla, Inc.       3,641     939,669
Banks — 3.4% 
Morgan Stanley      21,980   1,871,597
Truist Financial Corp.       8,524     260,408
US Bancorp      14,704     537,137
Wells Fargo & Co.      47,643   1,967,180
      4,636,322
Beverages — 1.3% 
Coca-Cola Co.      29,530   1,766,780
Biotechnology — 2.5% 
Biogen, Inc.       2,866     766,254
Regeneron Pharmaceuticals, Inc.       2,073   1,713,314
Vertex Pharmaceuticals, Inc.       2,710     944,001
      3,423,569
Building Materials — 1.0% 
Trane Technologies PLC       3,843     788,814
Vulcan Materials Co.       2,484     542,133
      1,330,947
Chemicals — 1.4% 
Eastman Chemical Co.       7,512     638,595
PPG Industries, Inc.       8,902   1,261,948
      1,900,543
Commercial Services — 0.8% 
S&P Global, Inc.       2,934   1,146,783
Computers — 4.5% 
Accenture PLC, Class A       3,321   1,075,240
Apple, Inc.      26,062   4,896,268
Seagate Technology Holdings PLC       3,872     274,099
      6,245,607
Diversified Financial Services — 3.5% 
American Express Co.       7,772   1,227,898
Ameriprise Financial, Inc.       3,410   1,151,148
Mastercard, Inc., Class A       6,052   2,497,297
      4,876,343
Electric — 2.7% 
NextEra Energy, Inc.      33,573   2,242,676
PG&E Corp.      87,410   1,424,783
      3,667,459
Healthcare-Products — 0.8% 
Danaher Corp.       4,422   1,171,830
Healthcare-Services — 1.9% 
UnitedHealth Group, Inc.       5,558   2,648,832
Insurance — 0.9% 
Progressive Corp.       9,490   1,266,630
Internet — 7.2% 
Alphabet, Inc., Class A      20,621   2,807,961
Amazon.com, Inc.      26,023    3,591,434
Security Description   Shares or
Principal
Amount
Value
 
Internet (continued) 
Meta Platforms, Inc., Class A       7,638 $  2,260,008
Uber Technologies, Inc.      26,126   1,233,931
      9,893,334
Machinery-Diversified — 1.4% 
Deere & Co.       4,806   1,974,978
Miscellaneous Manufacturing — 1.6% 
Eaton Corp. PLC       9,327   2,148,661
Oil & Gas — 2.0% 
ConocoPhillips      10,460   1,245,054
Pioneer Natural Resources Co.       6,684   1,590,324
      2,835,378
Oil & Gas Services — 1.5% 
Baker Hughes Co.      58,198   2,106,186
Pharmaceuticals — 3.3% 
AbbVie, Inc.      19,169   2,817,076
Bristol-Myers Squibb Co.      27,644   1,704,253
      4,521,329
REITS — 1.2% 
Prologis, Inc.      13,105   1,627,641
Retail — 3.6% 
Dollar General Corp.       2,557     354,144
Lowe's Cos., Inc.      10,234   2,358,732
McDonald's Corp.       5,277   1,483,629
TJX Cos., Inc.       7,987     738,638
      4,935,143
Semiconductors — 4.9% 
Advanced Micro Devices, Inc.       2,875     303,945
ASML Holding NV         394     260,249
NVIDIA Corp.       7,792   3,845,741
NXP Semiconductors NV      11,851   2,437,988
      6,847,923
Software — 7.4% 
Intuit, Inc.       1,506     815,966
Microsoft Corp.      24,233   7,942,608
Oracle Corp.      12,734   1,533,046
      10,291,620
Transportation — 0.8% 
Norfolk Southern Corp.       5,666   1,161,587
Total Common Stocks
(cost $74,738,635)
    85,446,715
CORPORATE BONDS & NOTES — 10.9% 
Aerospace/Defense — 0.3% 
Boeing Co.      
2.20%, 02/04/2026   $    5,000       4,612
2.70%, 02/01/2027     270,000     246,898
3.45%, 11/01/2028      19,000      17,432
L3Harris Technologies, Inc.      
5.40%, 07/31/2033      28,000      28,047
Northrop Grumman Corp.      
3.85%, 04/15/2045      68,000      53,922
Raytheon Technologies Corp.      
2.25%, 07/01/2030      86,000      71,444
5.15%, 02/27/2033      23,000      22,738
      445,093
 
2  

VALIC Company I Asset Allocation Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Agriculture — 0.1% 
Altria Group, Inc.      
2.45%, 02/04/2032   $   50,000 $     39,025
BAT Capital Corp.      
2.26%, 03/25/2028     113,000      97,158
3.73%, 09/25/2040      38,000      26,485
4.39%, 08/15/2037      20,000      15,838
Bunge, Ltd. Finance Corp.      
2.75%, 05/14/2031      26,000      21,747
      200,253
Airlines — 0.3% 
American Airlines Pass-Through Trust      
3.00%, 04/15/2030      56,481      50,352
3.95%, 01/11/2032      94,640      82,543
Delta Air Lines Pass-Through Trust      
2.50%, 12/10/2029      77,266      67,738
JetBlue Pass-Through Trust      
7.75%, 05/15/2030      38,436      39,002
United Airlines Pass-Through Trust      
3.10%, 04/07/2030      24,824      21,532
3.50%, 11/01/2029      39,299      35,579
3.65%, 04/07/2027 to 07/07/2027      86,216      80,626
3.70%, 09/01/2031      35,295      30,588
      407,960
Auto Manufacturers — 0.3% 
General Motors Co.      
6.80%, 10/01/2027     100,000     103,080
General Motors Financial Co., Inc.      
3.80%, 04/07/2025      30,000      28,979
Hyundai Capital America      
2.38%, 10/15/2027*     120,000     105,142
2.65%, 02/10/2025*      37,000      35,370
3.00%, 02/10/2027*     200,000     182,855
      455,426
Banks — 2.7% 
Banco Santander SA      
5.59%, 08/08/2028     200,000     198,209
Bank of America Corp.      
2.55%, 02/04/2028      25,000      22,610
2.57%, 10/20/2032      40,000      32,063
2.68%, 06/19/2041     144,000      99,157
2.97%, 02/04/2033      30,000      24,666
3.71%, 04/24/2028     149,000     139,475
4.38%, 04/27/2028      45,000      43,196
5.08%, 01/20/2027      34,000      33,553
5.20%, 04/25/2029      50,000      49,244
5.29%, 04/25/2034      50,000      48,790
Bank of Nova Scotia      
4.85%, 02/01/2030      40,000      38,723
Banque Federative du Credit Mutuel SA      
5.90%, 07/13/2026*     200,000     200,610
Citigroup, Inc.      
2.52%, 11/03/2032      15,000      11,903
3.06%, 01/25/2033      21,000      17,325
3.88%, 01/24/2039      67,000      55,024
Deutsche Bank AG      
2.55%, 01/07/2028     150,000     132,603
Federation des Caisses Desjardins du Quebec      
5.70%, 03/14/2028*     200,000     200,286
Goldman Sachs Group, Inc.      
1.95%, 10/21/2027      25,000       22,248
Security Description   Shares or
Principal
Amount
Value
 
Banks (continued) 
2.38%, 07/21/2032   $   15,000 $     11,857
2.64%, 02/24/2028      37,000      33,485
4.25%, 10/21/2025     440,000     426,965
HSBC Holdings PLC      
6.10%, 01/14/2042      95,000      99,429
KeyCorp      
2.25%, 04/06/2027     140,000     120,440
Macquarie Group, Ltd.      
2.87%, 01/14/2033*     100,000      78,387
6.21%, 11/22/2024*      35,000      35,003
Mitsubishi UFJ Financial Group, Inc.      
3.74%, 03/07/2029     130,000     120,319
Mizuho Financial Group, Inc.      
5.74%, 05/27/2031     250,000     247,731
Morgan Stanley      
3.95%, 04/23/2027     150,000     141,492
4.46%, 04/22/2039     110,000      96,849
5.16%, 04/20/2029      50,000      49,042
NatWest Markets PLC      
1.60%, 09/29/2026*     200,000     176,636
PNC Financial Services Group, Inc.      
5.07%, 01/24/2034      37,000      35,046
Santander UK Group Holdings PLC      
2.47%, 01/11/2028     200,000     175,949
Societe Generale SA      
4.25%, 04/14/2025*     200,000     192,764
Toronto-Dominion Bank      
5.52%, 07/17/2028      20,000      20,099
5.53%, 07/17/2026      55,000      55,121
Truist Financial Corp.      
5.12%, 01/26/2034      20,000      18,760
6.05%, 06/08/2027      20,000      19,986
Wells Fargo & Co.      
3.07%, 04/30/2041      69,000      49,390
4.61%, 04/25/2053      80,000      67,684
Westpac Banking Corp.      
3.13%, 11/18/2041      25,000      16,323
      3,658,442
Beverages — 0.1% 
Keurig Dr Pepper, Inc.      
3.20%, 05/01/2030      73,000      64,721
Biotechnology — 0.2% 
Amgen, Inc.      
3.15%, 02/21/2040      68,000      50,734
5.25%, 03/02/2033      40,000      39,792
Gilead Sciences, Inc.      
2.60%, 10/01/2040     143,000      99,905
Regeneron Pharmaceuticals, Inc.      
1.75%, 09/15/2030      56,000      44,567
      234,998
Building Materials — 0.1% 
Martin Marietta Materials, Inc.      
2.50%, 03/15/2030      57,000      47,894
Masco Corp.      
2.00%, 10/01/2030      57,000      45,074
      92,968
Chemicals — 0.2% 
EIDP, Inc.      
4.50%, 05/15/2026      32,000       31,384
 
3

VALIC Company I Asset Allocation Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Chemicals (continued) 
International Flavors & Fragrances, Inc.      
2.30%, 11/01/2030*   $  112,000 $     86,901
LYB International Finance III LLC      
1.25%, 10/01/2025     138,000     125,863
RPM International, Inc.      
2.95%, 01/15/2032      37,000      29,701
      273,849
Commercial Services — 0.2% 
Global Payments, Inc.      
3.20%, 08/15/2029      27,000      23,504
S&P Global, Inc.      
2.70%, 03/01/2029      44,000      39,329
4.25%, 05/01/2029      44,000      42,359
Triton Container International, Ltd.      
2.05%, 04/15/2026*     100,000      88,985
Verisk Analytics, Inc.      
5.75%, 04/01/2033      25,000      25,536
      219,713
Computers — 0.3% 
Apple, Inc.      
4.85%, 05/10/2053      95,000      93,742
CGI, Inc.      
2.30%, 09/14/2031      42,000      32,643
Dell International LLC/EMC Corp.      
6.20%, 07/15/2030     141,000     145,104
Leidos, Inc.      
2.30%, 02/15/2031     141,000     111,670
      383,159
Diversified Financial Services — 0.6% 
AerCap Ireland Capital DAC/AerCap Global Aviation Trust      
2.45%, 10/29/2026     150,000     134,962
3.00%, 10/29/2028     150,000     129,984
Air Lease Corp.      
1.88%, 08/15/2026      10,000       8,948
3.38%, 07/01/2025     129,000     122,903
Avolon Holdings Funding, Ltd.      
2.53%, 11/18/2027*      78,000      66,587
2.88%, 02/15/2025*      24,000      22,645
4.25%, 04/15/2026*      47,000      44,324
5.50%, 01/15/2026*     154,000     149,927
Capital One Financial Corp.      
3.80%, 01/31/2028      94,000      86,194
Nasdaq, Inc.      
5.55%, 02/15/2034      15,000      14,974
Park Aerospace Holdings, Ltd.      
5.50%, 02/15/2024*       7,000       6,953
      788,401
Electric — 1.5% 
Alexander Funding Trust      
1.84%, 11/15/2023*      74,000      73,234
Constellation Energy Generation LLC      
3.25%, 06/01/2025     299,000     286,193
5.80%, 03/01/2033      30,000      30,560
Duke Energy Florida LLC      
5.95%, 11/15/2052      34,000      35,491
Edison International      
5.75%, 06/15/2027      17,000      17,036
Emera US Finance LP      
4.75%, 06/15/2046     174,000      136,188
Security Description   Shares or
Principal
Amount
Value
 
Electric (continued) 
Evergy, Inc.      
2.90%, 09/15/2029   $  151,000 $    131,375
Fells Point Funding Trust      
3.05%, 01/31/2027*     100,000      91,445
Jersey Central Power & Light Co.      
4.30%, 01/15/2026*      65,000      63,021
New England Power Co.      
2.81%, 10/06/2050*      58,000      36,312
NextEra Energy Capital Holdings, Inc.      
5.75%, 09/01/2025      60,000      60,142
NRG Energy, Inc.      
2.00%, 12/02/2025*      47,000      42,701
2.45%, 12/02/2027*     308,000     261,458
Pacific Gas & Electric Co.      
1.70%, 11/15/2023      20,000      19,815
3.25%, 02/16/2024      60,000      59,240
4.30%, 03/15/2045      10,000       6,994
6.40%, 06/15/2033      50,000      49,318
PacifiCorp      
4.15%, 02/15/2050     183,000     134,239
PG&E Recovery Funding LLC      
5.54%, 07/15/2049      30,000      30,077
PG&E Wildfire Recovery Funding LLC      
4.26%, 06/01/2038      20,000      18,595
5.10%, 06/01/2054      30,000      28,950
Public Service Co. of Oklahoma      
5.25%, 01/15/2033      40,000      39,252
SCE Recovery Funding LLC      
4.70%, 06/15/2042      25,000      24,166
Sigeco Securitization I LLC      
5.03%, 11/15/2036      24,000      23,624
Southern California Edison Co.      
1.20%, 02/01/2026     112,000     101,783
Union Electric Co.      
3.90%, 04/01/2052      27,000      21,216
Vistra Operations Co. LLC      
4.88%, 05/13/2024*      63,000      62,010
WEC Energy Group, Inc.      
1.38%, 10/15/2027     140,000     120,475
      2,004,910
Food — 0.2% 
Kellogg Co.      
5.25%, 03/01/2033      29,000      28,657
Kraft Heinz Foods Co.      
4.38%, 06/01/2046      19,000      15,722
4.63%, 10/01/2039      40,000      35,230
Smithfield Foods, Inc.      
3.00%, 10/15/2030*     122,000      95,861
Sysco Corp.      
2.40%, 02/15/2030     122,000     103,076
Tyson Foods, Inc.      
3.55%, 06/02/2027      44,000      41,329
      319,875
Gas — 0.1% 
Atmos Energy Corp.      
2.85%, 02/15/2052      35,000      22,633
CenterPoint Energy Resources Corp.      
1.75%, 10/01/2030     141,000     111,868
Southern California Gas Co.      
6.35%, 11/15/2052      25,000      26,816
      161,317
 
4  

VALIC Company I Asset Allocation Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Healthcare-Products — 0.0% 
Thermo Fisher Scientific, Inc.      
2.00%, 10/15/2031   $   40,000 $     32,254
Healthcare-Services — 0.2% 
Elevance Health, Inc.      
2.25%, 05/15/2030      57,000      47,619
HCA, Inc.      
3.50%, 07/15/2051       7,000       4,666
5.25%, 06/15/2026     158,000     156,080
5.50%, 06/15/2047      10,000       9,104
MedStar Health, Inc.      
3.63%, 08/15/2049      46,000      33,176
Piedmont Healthcare, Inc.      
2.86%, 01/01/2052      25,000      15,856
UnitedHealth Group, Inc.      
5.88%, 02/15/2053      20,000      21,390
      287,891
Home Builders — 0.0% 
Lennar Corp.      
5.00%, 06/15/2027      50,000      49,239
Insurance — 0.2% 
Athene Global Funding      
2.75%, 06/25/2024*      56,000      54,381
Berkshire Hathaway Finance Corp.      
3.85%, 03/15/2052      25,000      19,916
Brown & Brown, Inc.      
2.38%, 03/15/2031      56,000      44,767
Empower Finance 2020 LP      
3.08%, 09/17/2051*      68,000      43,348
F&G Global Funding      
1.75%, 06/30/2026*      25,000      22,231
New York Life Insurance Co.      
3.75%, 05/15/2050*      68,000      50,722
Northwestern Mutual Global Funding      
1.70%, 06/01/2028*      25,000      21,391
Teachers Insurance & Annuity Association of America      
3.30%, 05/15/2050*      58,000      39,244
      296,000
Internet — 0.1% 
Amazon.com, Inc.      
3.95%, 04/13/2052      50,000      41,708
Meta Platforms, Inc.      
5.60%, 05/15/2053      35,000      35,144
      76,852
Iron/Steel — 0.0% 
Steel Dynamics, Inc.      
1.65%, 10/15/2027      56,000      48,028
Machinery-Diversified — 0.1% 
Otis Worldwide Corp.      
3.11%, 02/15/2040      67,000      50,355
5.25%, 08/16/2028      40,000      40,259
      90,614
Media — 0.3% 
Charter Communications Operating LLC/Charter Communications Operating Capital      
2.80%, 04/01/2031     100,000      80,580
3.50%, 06/01/2041      35,000       23,197
Security Description   Shares or
Principal
Amount
Value
 
Media (continued) 
Comcast Corp.      
3.25%, 11/01/2039   $  154,000 $    118,594
5.35%, 05/15/2053      35,000      34,250
Discovery Communications LLC      
3.63%, 05/15/2030      94,000      82,558
Walt Disney Co.      
3.50%, 05/13/2040      96,000      76,979
      416,158
Mining — 0.0% 
Glencore Funding LLC      
2.50%, 09/01/2030*#      75,000      61,001
Miscellaneous Manufacturing — 0.0% 
Eaton Corp.      
4.15%, 11/02/2042      30,000      26,042
Oil & Gas — 0.2% 
BP Capital Markets America, Inc.      
2.77%, 11/10/2050     145,000      91,436
4.81%, 02/13/2033      40,000      38,718
Coterra Energy, Inc.      
3.90%, 05/15/2027      46,000      43,735
Exxon Mobil Corp.      
3.00%, 08/16/2039      86,000      66,172
HF Sinclair Corp.      
2.63%, 10/01/2023      56,000      55,820
TotalEnergies Capital International SA      
2.99%, 06/29/2041      58,000      42,463
      338,344
Packaging & Containers — 0.0% 
Graphic Packaging International LLC      
1.51%, 04/15/2026*      33,000      29,596
Pharmaceuticals — 0.4% 
AbbVie, Inc.      
2.95%, 11/21/2026      19,000      17,785
3.20%, 11/21/2029      47,000      42,364
Bristol-Myers Squibb Co.      
4.13%, 06/15/2039      48,000      42,393
CVS Health Corp.      
2.70%, 08/21/2040      94,000      63,131
Merck & Co., Inc.      
5.00%, 05/17/2053      25,000      24,418
5.15%, 05/17/2063      20,000      19,522
Pfizer Investment Enterprises Pte., Ltd.      
5.30%, 05/19/2053      55,000      55,020
Utah Acquisition Sub, Inc.      
3.95%, 06/15/2026     159,000     150,288
Viatris, Inc.      
3.85%, 06/22/2040     153,000     107,086
Zoetis, Inc.      
5.60%, 11/16/2032      41,000      42,297
      564,304
Pipelines — 0.5% 
Enbridge, Inc.      
5.70%, 03/08/2033      30,000      30,014
Energy Transfer LP      
3.90%, 05/15/2024 to 07/15/2026     188,000     182,942
4.40%, 03/15/2027      50,000      47,953
Enterprise Products Operating LLC      
4.45%, 02/15/2043      50,000       42,529
 
5

VALIC Company I Asset Allocation Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Pipelines (continued) 
Flex Intermediate Holdco LLC      
3.36%, 06/30/2031*   $   25,000 $     19,791
4.32%, 12/30/2039*      15,000      10,731
Gray Oak Pipeline LLC      
2.60%, 10/15/2025*     139,000     128,538
3.45%, 10/15/2027*      41,000      36,673
MPLX LP      
2.65%, 08/15/2030      69,000      57,266
NGPL PipeCo LLC      
3.25%, 07/15/2031*      25,000      20,508
Sabine Pass Liquefaction LLC      
5.63%, 03/01/2025      65,000      64,788
Targa Resources Corp.      
4.20%, 02/01/2033      20,000      17,635
TransCanada PipeLines, Ltd.      
4.10%, 04/15/2030      37,000      33,893
      693,261
REITS — 0.7% 
American Tower Corp.      
1.50%, 01/31/2028      47,000      39,469
2.95%, 01/15/2051      57,000      34,500
3.10%, 06/15/2050      88,000      54,909
Brixmor Operating Partnership LP      
2.25%, 04/01/2028      30,000      25,493
2.50%, 08/16/2031      15,000      11,798
Corporate Office Properties LP      
2.75%, 04/15/2031      36,000      27,746
CubeSmart LP      
2.00%, 02/15/2031      85,000      66,042
Equinix, Inc.      
2.90%, 11/18/2026      85,000      78,553
Extra Space Storage LP      
2.40%, 10/15/2031      35,000      27,477
Healthcare Realty Holdings LP      
2.00%, 03/15/2031      56,000      43,126
Healthpeak OP LLC      
2.13%, 12/01/2028      38,000      32,468
Healthpeak Properties, Inc.      
2.88%, 01/15/2031      56,000      46,830
Mid-America Apartments LP      
3.60%, 06/01/2027      19,000      17,981
Physicians Realty LP      
2.63%, 11/01/2031      15,000      11,652
Public Storage      
1.95%, 11/09/2028      18,000      15,476
Realty Income Corp.      
4.85%, 03/15/2030      40,000      38,728
Sabra Health Care LP      
3.20%, 12/01/2031      25,000      19,095
Safehold Operating Partnership LP      
2.85%, 01/15/2032      46,000      35,016
Scentre Group Trust 1/Scentre Group Trust 2      
3.63%, 01/28/2026*     140,000     133,693
UDR, Inc.      
2.10%, 08/01/2032      57,000      42,755
WP Carey, Inc.      
2.40%, 02/01/2031     141,000     112,697
      915,504
Security Description   Shares or
Principal
Amount
Value
 
Retail — 0.2% 
Alimentation Couche-Tard, Inc.      
3.44%, 05/13/2041*   $   35,000 $     24,429
3.63%, 05/13/2051*      35,000      23,051
AutoZone, Inc.      
3.63%, 04/15/2025      84,000      81,480
Home Depot, Inc.      
4.95%, 09/15/2052#      23,000      21,925
Lowe's Cos., Inc.      
3.70%, 04/15/2046      67,000      50,227
Starbucks Corp.      
4.80%, 02/15/2033      50,000      48,840
      249,952
Semiconductors — 0.2% 
Analog Devices, Inc.      
2.80%, 10/01/2041      26,000      18,464
Broadcom, Inc.      
3.19%, 11/15/2036*      10,000       7,515
Intel Corp.      
5.63%, 02/10/2043      15,000      14,930
5.70%, 02/10/2053      20,000      19,806
KLA Corp.      
3.30%, 03/01/2050     105,000      75,465
Microchip Technology, Inc.      
0.98%, 09/01/2024       8,000       7,619
NXP BV/NXP Funding LLC/NXP USA, Inc.      
2.50%, 05/11/2031      40,000      32,334
3.25%, 05/11/2041      40,000      28,489
QUALCOMM, Inc.      
4.50%, 05/20/2052      20,000      17,454
Texas Instruments, Inc.      
5.05%, 05/18/2063      28,000      26,826
Xilinx, Inc.      
2.38%, 06/01/2030      71,000      60,719
      309,621
Software — 0.3% 
Activision Blizzard, Inc.      
1.35%, 09/15/2030      28,000      22,370
Oracle Corp.      
3.80%, 11/15/2037      70,000      56,451
4.90%, 02/06/2033      40,000      38,210
5.55%, 02/06/2053      30,000      27,887
Roper Technologies, Inc.      
1.75%, 02/15/2031      29,000      22,763
Take-Two Interactive Software, Inc.      
3.70%, 04/14/2027      52,000      49,276
VMware, Inc.      
1.40%, 08/15/2026      47,000      41,675
4.70%, 05/15/2030      94,000      88,595
Workday, Inc.      
3.50%, 04/01/2027      35,000      33,078
      380,305
Telecommunications — 0.3% 
AT&T, Inc.      
2.75%, 06/01/2031     205,000     169,359
3.55%, 09/15/2055      30,000      19,580
Rogers Communications, Inc.      
4.55%, 03/15/2052      20,000      15,497
Sprint Capital Corp.      
6.88%, 11/15/2028      15,000      15,846
Sprint LLC      
7.63%, 03/01/2026      11,000       11,402
 
6  

VALIC Company I Asset Allocation Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Telecommunications (continued) 
T-Mobile USA, Inc.      
5.05%, 07/15/2033   $   50,000 $     48,247
Verizon Communications, Inc.      
2.65%, 11/20/2040      57,000      38,061
3.15%, 03/22/2030     151,000     132,441
      450,433
Toys/Games/Hobbies — 0.0% 
Hasbro, Inc.      
3.90%, 11/19/2029      47,000      42,619
Transportation — 0.0% 
Canadian Pacific Railway Co.      
4.70%, 05/01/2048      22,000      19,313
Total Corporate Bonds & Notes
(cost $18,076,907)
    15,088,416
ASSET BACKED SECURITIES — 4.2% 
Auto Loan Receivables — 0.9% 
ACC Auto Trust      
Series 2021-A, Class B
1.79%, 04/15/2027*
     88,991      88,169
CPS Auto Receivables Trust      
Series 2021-A, Class C
0.83%, 09/15/2026*
      7,120       7,111
Series 2021-B, Class C
1.23%, 03/15/2027*
     58,302      57,526
Series 2022-C, Class B
4.88%, 04/15/2030*
    120,000     118,329
Credito Real USA Auto Receivables Trust      
Series 2021-1A, Class A
1.35%, 02/16/2027*
      5,572       5,515
Drive Auto Receivables Trust      
Series 2021-1, Class D
1.45%, 01/16/2029
    120,000     113,311
DT Auto Owner Trust      
Series 2021-1A, Class C
0.84%, 10/15/2026*
     36,985      36,245
Series 2019-4A, Class D
2.85%, 07/15/2025*
     38,188      37,810
Series 2022-2A, Class D
5.46%, 03/15/2028*
     55,000      53,417
Series 2023-1A, Class C
5.55%, 10/16/2028*
    110,000     108,310
Series 2023-2A, Class D
6.62%, 02/15/2029*
     60,000      59,738
Exeter Automobile Receivables Trust      
Series 2021-1A, Class C
0.74%, 01/15/2026
     59,998      59,537
Series 2021-2A, Class C
0.98%, 06/15/2026
     64,679      63,488
Series 2022-4A, Class D
5.98%, 12/15/2028
    120,000     118,117
Series 2022-5A, Class C
6.51%, 12/15/2027
     75,000      74,820
FHF Trust      
Series 2021-1A, Class A
1.27%, 03/15/2027*
     17,349      16,732
Series 2023-1A, Class A2
6.57%, 06/15/2028*
    100,000      99,086
Flagship Credit Auto Trust      
Series 2021-2, Class A
0.37%, 12/15/2026*
     10,086       10,039
Security Description   Shares or
Principal
Amount
Value
 
Auto Loan Receivables (continued) 
Series 2021-1, Class B
0.68%, 02/16/2027*
  $   26,164 $     25,984
Lendbuzz Securitization Trust      
Series 2021-1A, Class A
1.46%, 06/15/2026*
     41,703      40,204
Santander Drive Auto Receivables Trust      
Series 2023-1, Class C
5.09%, 05/15/2030
     70,000      68,422
US Auto Funding      
Series 2021-1A, Class B
1.49%, 03/17/2025*
     37,437      37,108
Veros Auto Receivables Trust      
Series 2021-1, Class A
0.92%, 10/15/2026*
      1,719       1,717
      1,300,735
Credit Card Receivables — 0.1% 
World Financial Network Credit Card Master Trust      
Series 2023-A, Class A 5.02%, 03/15/2030     110,000     108,864
Other Asset Backed Securities — 3.2% 
Accelerated LLC      
Series 2021-1H, Class B
1.90%, 10/20/2040*
     34,872      31,332
Aligned Data Centers Issuer LLC      
Series 2021-1A, Class A2
1.94%, 08/15/2046*
     95,000      83,360
AMSR Trust      
Series 2020-SFR4, Class E2
2.46%, 11/17/2037*
    100,000      90,817
Series 2020-SFR3, Class E2
2.76%, 09/17/2037*
    100,000      91,478
Series 2020-SFR2, Class E2
4.28%, 07/17/2037*
    145,000     137,291
Business Jet Securities LLC      
Series 2021-1A, Class A
2.16%, 04/15/2036*
     66,240      59,948
Series 2021-1A, Class B
2.92%, 04/15/2036*
     96,018      85,445
Series 2020-1A, Class A
2.98%, 11/15/2035*
     41,200      38,877
Series 2022-1A, Class A
4.46%, 06/15/2037*
     81,555      76,498
Crossroads Asset Trust      
Series 2021-A, Class B
1.12%, 06/20/2025*
     24,707      24,631
DataBank Issuer LLC      
Series 2021-1A, Class A2
2.06%, 02/27/2051*
    175,000     154,409
Diamond Resorts Owner Trust      
Series 2021-1A, Class A
1.51%, 11/21/2033*
     62,508      57,138
Series 2021-1A, Class C
2.70%, 11/21/2033*
     34,379      31,261
Elara HGV Timeshare Issuer LLC      
Series 2021-A, Class B
1.74%, 08/27/2035*
     55,282      49,185
FirstKey Homes Trust      
Series 2021-SFR2, Class E1
2.26%, 09/17/2038*
    155,000     133,538
Series 2022-SFR1, Class E1
5.00%, 05/17/2039*
    100,000       91,245
 
7

VALIC Company I Asset Allocation Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
ASSET BACKED SECURITIES (continued) 
Other Asset Backed Securities (continued) 
FMC GMSR Issuer Trust VRS      
Series 2021-GT2, Class A
3.85%, 10/25/2026*(1)
  $  100,000 $     83,158
FRTKL      
Series 2021-SFR1, Class A
1.57%, 09/17/2038*
    205,000     179,946
Home Partners of America Trust      
Series 2021-2, Class C
2.40%, 12/17/2026*
    125,165     110,022
Series 2021-3, Class D
3.00%, 01/17/2041*
     92,201      76,940
Lendingpoint Asset Securitization Trust      
Series 2021-B, Class B
1.68%, 02/15/2029*
     46,673      46,407
Mariner Finance Issuance Trust      
Series 2021-AA, Class A
1.86%, 03/20/2036*
    130,000     115,461
MVW LLC      
Series 2021-2A, Class C
2.23%, 05/20/2039*
     91,819      81,181
NRZ Excess Spread-Collateralized Notes      
Series 2021-FNT1, Class A
2.98%, 03/25/2026*
     79,808      72,636
Series 2021-FNT2, Class A
3.23%, 05/25/2026*
    124,866     113,553
Octane Receivables Trust      
Series 2021-1A, Class A
0.93%, 03/22/2027*
     21,638      21,153
Oportun Funding XIV LLC      
Series 2021-A, Class A
1.21%, 03/08/2028*
     69,887      67,073
Series 2021-A, Class B
1.76%, 03/08/2028*
    171,224     163,666
Oportun Issuance Trust      
Series 2021-B, Class A
1.47%, 05/08/2031*
    255,000     232,326
Pagaya AI Debt Selection Trust      
Series 2021-3, Class A
1.15%, 05/15/2029*
     15,650      15,570
Series 2021-HG1, Class A
1.22%, 01/16/2029*
     64,867      62,508
PRET LLC VRS      
Series 2021-RN4, Class A1
2.49%, 10/25/2051*(1)
    108,678      99,812
Pretium Mtg. Credit Partners I LLC      
Series 2021-NPL1, Class A1
2.24%, 09/27/2060*(2)
    119,617     115,574
Progress Residential Trust      
Series 2021-SFR2, Class D
2.20%, 04/19/2038*
    267,000     235,522
Series 2020-SFR1, Class E
3.03%, 04/17/2037*
    115,000     107,921
Regional Management Issuance Trust      
Series 2021-1, Class A
1.68%, 03/17/2031*
    125,000     117,282
Republic Finance Issuance Trust      
Series 2021-A, Class A
2.30%, 12/22/2031*
    189,000     174,759
Sierra Timeshare Receivables Funding LLC      
Series 2021-2A, Class B
1.80%, 09/20/2038*
     32,671       30,435
Security Description   Shares or
Principal
Amount
Value
 
Other Asset Backed Securities (continued) 
Theorem Funding Trust      
Series 2021-1A, Class A
1.21%, 12/15/2027*
  $    1,622 $      1,618
Upstart Pass-Through Trust      
Series 2021-ST2, Class A
2.50%, 04/20/2027*
     24,218      23,415
VCAT LLC      
Series 2021-NPL2, Class A1
2.12%, 03/27/2051*(2)
     46,191      44,005
VOLT XCII LLC      
Series 2021-NPL1, Class A1
1.89%, 02/27/2051*(2)
     66,461      62,554
VOLT XCIII LLC      
Series 2021-NPL2, Class A1
1.89%, 02/27/2051*(2)
    195,397     181,659
VOLT XCIV LLC      
Series 2021-NPL3, Class A1
2.24%, 02/27/2051*(2)
    163,984     154,792
VOLT XCV LLC      
Series 2021-NPL4, Class A1
2.24%, 03/27/2051*(2)
     94,662      90,813
VOLT XCVI LLC      
Series 2021-NPL5, Class A1
2.12%, 03/27/2051*(2)
    113,385     107,287
VOLT XCVII LLC      
Series 2021-NPL6, Class A1
2.24%, 04/25/2051*(2)
    136,716     127,641
      4,353,142
Total Asset Backed Securities
(cost $6,146,210)
    5,762,741
COLLATERALIZED MORTGAGE OBLIGATIONS — 3.0% 
Commercial and Residential — 1.0% 
ACRE Commercial Mtg., Ltd. FRS      
Series 2021-FL4, Class A
6.26%, (1 ML+0.83%), 12/18/2037*
     55,200      54,859
Series 2021-FL4, Class AS
6.53%, (1 ML+1.10%), 12/18/2037*
    110,000     107,092
Ajax Mtg. Loan Trust      
Series 2021-B, Class A
2.24%, 06/25/2066*(2)
     93,831      89,003
Bayview Finance LLC CMO      
1.84%, 07/12/2033(3)       1,630       1,597
BPR Trust FRS      
Series 2021-KEN, Class A
6.67%, (1 ML+1.25%), 02/15/2029*
    145,000     143,018
BXP Trust      
Series 2017-GM, Class A
3.38%, 06/13/2039*
     95,000      85,890
Cascade MH Asset Trust      
Series 2021-MH1, Class A1
1.75%, 02/25/2046*
    125,205     106,465
CFMT LLC VRS      
Series 2021-HB5, Class A
0.80%, 02/25/2031*(1)
    115,498     112,497
CSMC Trust VRS      
Series 2021-RPL1, Class A1
1.67%, 09/27/2060*(1)
    114,805     106,722
Federal National Mtg. Assoc. Connecticut Avenue Securities Trust FRS      
Series 2023-R06, Class 1M2
7.99%, (SOFR30A+2.70%), 07/25/2043*
     90,000       90,507
 
8  

VALIC Company I Asset Allocation Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COLLATERALIZED MORTGAGE OBLIGATIONS (continued) 
Commercial and Residential (continued) 
Legacy Mtg. Asset Trust      
Series 2021-GS1, Class A1
1.89%, 10/25/2066*(2)
  $   82,192 $     77,257
LHOME Mtg. Trust VRS      
Series 2021-RTL1, Class A1
2.09%, 02/25/2026*(1)
     62,263      61,831
PRPM LLC VRS      
Series 2021-2, Class A1
2.12%, 03/25/2026*(1)
    135,254     130,271
SLG Office Trust      
Series 2021-OVA, Class A
2.59%, 07/15/2041*
    110,000      88,198
Towd Point Mtg. Trust VRS      
Series 2021-R1, Class A1
2.92%, 11/30/2060*(1)
    217,906     175,993
      1,431,200
U.S. Government Agency — 2.0% 
Federal Agricultural Mtg. Trust VRS      
Series 2021-1, Class A
2.18%, 01/25/2051*(1)
    175,108     137,240
Federal Home Loan Mtg. Corp. Multifamily Mtg. Trust VRS      
Series 2017-KGX1, Class BFX
3.71%, 10/25/2027*(1)
     65,000      58,253
Series 2016-K58, Class B
3.87%, 09/25/2049*(1)
    260,000     244,431
Series 2016-K56, Class B
4.08%, 06/25/2049*(1)
     50,000      47,517
Federal Home Loan Mtg. Corp. Multifamily Structured Credit Risk FRS      
Series 2021-MN2, Class M1
7.09%, (SOFR30A+1.80%), 07/25/2041*
     96,752      90,352
Federal Home Loan Mtg. Corp. Multifamily Structured Pass Through Certs. VRS      
Series K727, Class X1
0.73%, 07/25/2024(1)(4)
  9,326,289      29,924
Series K-150, Class A2
3.71%, 09/25/2032(1)
    120,000     110,296
Federal Home Loan Mtg. Corp. REMIC      
Series 3910, Class CU
4.00%, 03/15/2041
     33,771      32,210
Federal Home Loan Mtg. Corp. SCRT      
Series 2022-1, Class MTU
3.25%, 11/25/2061
     48,608      41,152
Series 2018-1, Class M60C
3.50%, 05/25/2057
    103,895      96,058
Series 2019-1, Class MT
3.50%, 07/25/2058
     48,322      41,905
Series 2019-3, Class MB
3.50%, 10/25/2058
    123,135     100,205
Series 2018-2, Class M55D
4.00%, 11/25/2057
    174,726     163,429
Series 2018-4, Class M55D
4.00%, 03/25/2058
    144,647     135,972
Series 2019-2, Class M55D
4.00%, 08/25/2058
    154,592     144,606
Series 2019-3, Class M55D
4.00%, 10/25/2058
    144,909     135,533
Series 2019-4, Class M55D
4.00%, 02/25/2059
     52,455       49,048
Security Description   Shares or
Principal
Amount
Value
 
U.S. Government Agency (continued) 
Federal Home Loan Mtg. Corp. SCRT VRS      
Series 2018-3, Class M55D
4.00%, 08/25/2057(1)
  $  143,473 $    134,080
Federal National Mtg. Assoc. Grantor Trust      
Series 2001-T12, Class A1
6.50%, 08/25/2041
     82,821      82,999
Series 2002-T4, Class A1
6.50%, 12/25/2041
      9,472       9,621
Federal National Mtg. Assoc. REMIC      
Series 2021-M3, Class 1A1
1.00%, 11/25/2033
     44,460      41,814
Series 2018-72, Class VB
3.50%, 10/25/2031
    164,734     154,972
Series 2019-7, Class CA
3.50%, 11/25/2057
    205,984     191,866
Series 2017-35, Class VA
4.00%, 07/25/2028
     77,422      74,601
Series 2002-W3, Class A4
6.50%, 11/25/2041
     85,792      86,453
Series 2002-W8, Class A1
6.50%, 06/25/2042
     43,286      44,739
Federal National Mtg. Assoc. REMIC VRS      
Series 2022-M1S, Class A2
2.15%, 04/25/2032(1)
    225,000     182,336
Series 2018-M10, Class A1
3.47%, 07/25/2028(1)
      9,140       9,050
Series 2022-M2S, Class A1
3.88%, 05/25/2032(1)
    118,070     112,039
Government National Mtg. Assoc. REMIC VRS      
Series 2021-H14, Class YD
7.84%, 06/20/2071(1)
      9,806       8,982
      2,791,683
Total Collateralized Mortgage Obligations
(cost $4,632,761)
    4,222,883
U.S. GOVERNMENT & AGENCY OBLIGATIONS — 18.7% 
U.S. Government — 9.6% 
United States Treasury Bonds      
1.13%, 05/15/2040 to 08/15/2040   2,132,000   1,312,861
1.38%, 11/15/2040 to 08/15/2050   1,759,000   1,021,235
1.63%, 11/15/2050     800,000     462,750
1.88%, 02/15/2051 to 11/15/2051     696,000     428,451
2.25%, 02/15/2052     803,000     541,711
2.38%, 02/15/2042     405,000     301,298
3.00%, 08/15/2052     445,000     354,627
3.13%, 02/15/2043     225,000     186,891
3.38%, 08/15/2042     265,000     229,960
3.88%, 05/15/2043      50,000      46,508
United States Treasury Bonds STRIPS      
Zero Coupon, 05/15/2027 to 05/15/2041   1,660,000   1,215,991
United States Treasury Notes      
0.63%, 11/30/2027     292,000     250,230
0.75%, 01/31/2028     640,000     548,925
1.00%, 07/31/2028     850,000     727,414
1.25%, 05/31/2028   1,114,000     969,746
1.63%, 05/15/2031     805,000     674,282
1.88%, 02/15/2032#     615,000     516,912
2.75%, 07/31/2027     160,000     150,619
2.75%, 08/15/2032#     880,000     789,903
2.88%, 04/30/2029     276,000     256,885
3.13%, 08/31/2027     580,000     553,447
3.13%, 08/31/2029#     879,000     827,324
3.25%, 06/30/2027     345,000      331,200
 
9

VALIC Company I Asset Allocation Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
U.S. GOVERNMENT & AGENCY OBLIGATIONS (continued) 
U.S. Government (continued) 
3.38%, 05/15/2033   $  315,000 $    296,740
3.88%, 08/15/2033     290,000     284,834
      13,280,744
U.S. Government Agency — 9.1% 
Federal Home Loan Mtg. Corp.      
1.80%, 11/01/2028     210,000     180,864
2.50%, 07/01/2050 to 02/01/2051     353,028     294,635
3.00%, 11/01/2050 to 01/01/2052     318,000     275,197
3.45%, 08/01/2032     246,428     222,045
3.50%, 05/01/2042 to 01/01/2050     186,204     169,769
3.80%, 10/01/2034     100,000      90,687
4.00%, 01/01/2052      58,506      54,059
4.50%, 05/01/2052      52,401      50,404
Federal National Mtg. Assoc.      
1.38%, 01/01/2031     300,000     236,439
1.56%, 12/01/2030     246,624     200,627
1.93%, 06/01/2035     102,864      79,754
1.95%, 10/01/2029     400,000     335,377
2.50%, 01/01/2052     115,048      95,635
2.70%, 07/01/2026     148,877     139,492
2.97%, 08/01/2026     160,000     150,825
3.00%, 05/01/2050 to 02/01/2052     685,662     593,677
3.10%, 10/01/2032     139,000     122,290
3.14%, 07/01/2032      85,000      74,707
3.15%, 09/01/2033     105,000      90,674
3.30%, 07/01/2032     234,000     207,762
3.41%, 03/01/2033     107,000      94,780
3.45%, 08/01/2033     140,000     124,654
3.50%, 02/01/2052 to 11/01/2059     226,940     205,995
3.68%, 01/01/2032     160,000     146,610
3.77%, 12/01/2025      35,470      34,382
3.81%, 10/01/2032     140,000     129,339
3.97%, 01/01/2029     210,000     201,272
4.00%, 06/01/2049 to 08/01/2059     955,109     893,182
4.05%, 07/01/2032     100,000      94,335
4.12%, 11/01/2032     155,000     146,849
4.18%, 11/01/2030      35,316      33,579
4.31%, 10/01/2032     240,000     230,042
4.34%, 01/01/2029      54,779      53,651
4.41%, 01/01/2033     165,000     158,828
4.45%, 12/01/2032     155,000     150,567
4.50%, 05/01/2052     146,097     140,176
4.74%, 04/01/2031     129,771     128,054
4.76%, 01/01/2030     378,000     375,807
4.83%, 12/01/2029     221,000     220,736
4.93%, 10/01/2032     113,000     113,107
4.97%, 09/01/2029     200,000     200,581
5.00%, 06/01/2053     129,633     125,700
5.07%, 03/01/2028      67,865      68,354
5.35%, 11/01/2027     248,877     251,483
6.00%, 06/01/2052      59,266      59,831
Government National Mtg. Assoc.      
2.50%, 12/20/2050     197,075     164,205
3.00%, 02/20/2051 to 07/20/2051   1,975,843   1,747,047
3.50%, 01/20/2051 to 02/20/2052   2,029,453   1,842,387
4.00%, 05/20/2038 to 08/20/2052     397,806     371,757
4.50%, 12/20/2031 to 05/20/2052     137,291     131,791
5.50%, 06/20/2063     124,930     122,354
6.00%, 06/20/2063     131,420      131,135
Security Description   Shares or
Principal
Amount
  Value
 
U.S. Government Agency (continued) 
Uniform Mtg. Backed Securities        
2.50%, October 30 TBA   $   59,553   $     49,399
        12,606,888
Total U.S. Government & Agency Obligations
(cost $29,796,828)
      25,887,632
MUNICIPAL SECURITIES — 0.0% 
Texas Natural Gas Securitization Finance Corp.
Series 2023-1, Class A2
       
5.17%, 04/01/2041
(cost $30,000)
     30,000        29,893
ESCROWS AND LITIGATION TRUSTS — 0.0% 
Lehman Brothers Holdings, Inc.
Escrow Notes
5.50%, 04/04/2016
(cost $0)
     44,000            66
Total Long-Term Investment Securities
(cost $133,421,341)
      136,438,346
SHORT-TERM INVESTMENTS — 0.1% 
Unaffiliated Investment Companies — 0.1% 
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(5)(6)
(cost $63,188)
     63,188        63,188
REPURCHASE AGREEMENTS — 1.2% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $1,644,744 and collateralized by $1,645,000 of United States Treasury Notes, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $1,677,626
(cost $1,644,671)
  1,644,671     1,644,671
TOTAL INVESTMENTS
(cost $135,129,200)
  99.9%   138,146,205
Other assets less liabilities   0.1   169,805
NET ASSETS   100.0%   $138,316,010
Non-income producing security
* Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. The Asset Allocation Fund has no right to demand registration of these securities. At August 31, 2023, the aggregate value of these securities was $10,289,838 representing 7.4% of net assets.
# The security or a portion thereof is out on loan.
(1) 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.
(2) "Step-up" security where the rate increases ("steps-up") at a predetermined rate. The rate reflected is as of August 31, 2023.
(3) Securities classified as Level 3 (see Note 1).
(4) Interest Only
 
10  

VALIC Company I Asset Allocation Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

(5) The rate shown is the 7-day yield as of August 31, 2023.
(6) At August 31, 2023, the Fund had loaned securities with a total value of $2,220,279. This was secured by collateral of $63,188, which was received in cash and subsequently invested in short-term investments currently valued at $63,188 as reported in the Portfolio of Investments. Additional collateral of $2,266,191 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
Federal Home Loan Mtg. Corp. 1.50% to 5.98% 06/25/2034 to 01/15/2055 $195,354
Federal National Mtg. Assoc. 0.00% to 6.78% 01/25/2027 to 12/25/2057 272,725
Government National Mtg. Assoc. 1.00% to 6.50% 08/20/2033 to 09/16/2065 1,775,116
United States Treasury Bills 0.00% 09/19/2023 to 01/25/2024 2,435
United States Treasury Notes/Bonds 0.13% to 6.25% 11/15/2023 to 05/15/2053 20,561
1 ML—1 Month USD LIBOR
FRS—Floating Rate Security
REMIC—Real Estate Mortgage Investment Conduit
SCRT—Structured Credit Risk Transfer
SOFR30A—US 30 Day Average Secured Overnight Financing Rate
STRIPS—Separate Trading of Registered Interest and Principal
TBA—Securities purchased on a forward commitment basis with an approximate principal amount and no definite maturity date. The actual principal amount and maturity date will be determined upon settlement date.
VRS—Variable Rate Security
The rates shown on FRS and/or VRS are the current interest rates at August 31, 2023 and unless noted otherwise, the dates shown are the original maturity dates.
 
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $85,446,715   $  $  $85,446,715
Corporate Bonds & Notes   15,088,416     15,088,416
Asset Backed Securities   5,762,741     5,762,741
Collateralized Mortgage Obligations:              
Commercial and Residential   1,429,603   1,597   1,431,200
Other Industries   2,791,683     2,791,683
U.S. Government & Agency Obligations   25,887,632     25,887,632
Municipal Securities   29,893     29,893
Escrows and Litigation Trusts   66     66
Short-Term Investments 63,188       63,188
Repurchase Agreements   1,644,671     1,644,671
Total Investments at Value $85,509,903   $52,634,705   $1,597   $138,146,205
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Level 3 investments in securities were not considered a significant portion of the Fund's net assets.
See Notes to Portfolio of Investments
11

VALIC Company I Capital Appreciation Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 99.1% 
Apparel — 0.7% 
Deckers Outdoor Corp.       931 $   492,583
Auto Manufacturers — 1.5% 
Tesla, Inc.     3,897  1,005,738
Beverages — 3.2% 
Monster Beverage Corp.    18,769  1,077,528
PepsiCo, Inc.     5,646  1,004,536
      2,082,064
Biotechnology — 3.4% 
Exelixis, Inc.    22,977    514,455
Incyte Corp.     7,173    462,873
Vertex Pharmaceuticals, Inc.     3,608  1,256,811
      2,234,139
Commercial Services — 3.2% 
FleetCor Technologies, Inc.     2,856    776,061
PayPal Holdings, Inc.    13,530    845,760
WillScot Mobile Mini Holdings Corp.    11,136    456,799
      2,078,620
Computers — 9.8% 
Apple, Inc.    33,131  6,224,321
Crowdstrike Holdings, Inc., Class A     1,460    238,024
      6,462,345
Cosmetics/Personal Care — 0.9% 
Estee Lauder Cos., Inc., Class A     3,754    602,630
Diversified Financial Services — 4.3% 
Charles Schwab Corp.    10,106    597,770
Mastercard, Inc., Class A     5,384  2,221,654
      2,819,424
Electrical Components & Equipment — 0.4% 
Acuity Brands, Inc.     1,712    276,111
Environmental Control — 1.0% 
Waste Management, Inc.     4,150    650,637
Healthcare-Products — 0.5% 
Stryker Corp.     1,058    299,996
Healthcare-Services — 2.2% 
UnitedHealth Group, Inc.     3,001  1,430,216
Insurance — 0.7% 
Progressive Corp.     3,362    448,726
Internet — 19.3% 
Alphabet, Inc., Class A     7,091    965,581
Alphabet, Inc., Class C    24,377  3,348,181
Amazon.com, Inc.    25,737  3,551,963
Booking Holdings, Inc.       120    372,604
Expedia Group, Inc.     5,904    639,935
F5, Inc.     1,011    165,460
GoDaddy, Inc., Class A     9,949    721,402
Meta Platforms, Inc., Class A     8,701  2,574,539
Pinterest, Inc., Class A    13,442    369,521
      12,709,186
Leisure Time — 1.2% 
YETI Holdings, Inc.    16,158    807,092
Metal Fabricate/Hardware — 0.7% 
Valmont Industries, Inc.     1,898    481,143
Security Description   Shares or
Principal
Amount
Value
 
Miscellaneous Manufacturing — 1.2% 
Axon Enterprise, Inc.     2,238 $   476,493
ITT, Inc.     3,152    322,386
      798,879
Oil & Gas — 0.5% 
EOG Resources, Inc.     2,390    307,402
Packaging & Containers — 0.4% 
Sealed Air Corp.     7,434    275,504
Pharmaceuticals — 5.0% 
Cigna Group     3,250    897,845
Dexcom, Inc.     3,642    367,769
Eli Lilly & Co.     2,150  1,191,530
McKesson Corp.       769    317,074
Neurocrine Biosciences, Inc.     4,678    509,388
      3,283,606
Retail — 5.0% 
AutoZone, Inc.       370    936,592
Domino's Pizza, Inc.     1,454    563,280
Lululemon Athletica, Inc.       905    345,040
Starbucks Corp.     6,418    625,370
TJX Cos., Inc.     3,926    363,076
Williams-Sonoma, Inc.#     3,236    456,923
      3,290,281
Semiconductors — 11.5% 
Advanced Micro Devices, Inc.    10,832  1,145,159
Broadcom, Inc.     2,059  1,900,230
NVIDIA Corp.     6,683  3,298,395
QUALCOMM, Inc.    11,077  1,268,649
      7,612,433
Software — 21.0% 
Adobe, Inc.     4,071  2,277,073
Autodesk, Inc.     1,873    415,694
Dropbox, Inc., Class A    22,763    632,584
Electronic Arts, Inc.     5,224    626,776
Microsoft Corp.    17,087  5,600,435
MSCI, Inc.       862    468,600
Salesforce, Inc.     1,454    322,003
ServiceNow, Inc.     1,992  1,172,949
Veeva Systems, Inc., Class A     5,717  1,193,138
Workday, Inc., Class A     4,531  1,107,829
      13,817,081
Telecommunications — 0.6% 
Motorola Solutions, Inc.     1,431    405,789
Transportation — 0.9% 
Knight-Swift Transportation Holdings, Inc.     5,912    324,096
Landstar System, Inc.     1,580    299,900
      623,996
Total Long-Term Investment Securities
(cost $46,487,317)
    65,295,621
 
12  

VALIC Company I Capital Appreciation Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS — 1.0% 
Unaffiliated Investment Companies — 1.0% 
State Street Institutional U.S. Government Money Market Fund, Premier Class
5.28%(1)
(cost $643,354)
  643,354   $   643,354
TOTAL INVESTMENTS
(cost $47,130,671)
  100.1%   65,938,975
Other assets less liabilities   (0.1)   (57,301)
NET ASSETS   100.0%   $65,881,674
Non-income producing security
# The security or a portion thereof is out on loan.
At August 31, 2023, the Fund had loaned securities with a total value of $456,923.  This was secured by collateral of $471,593 received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows: 
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
United States Treasury Bills 0.00% 10/31/2023 $4,978
United States Treasury Notes/Bonds 0.13% to 6.62% 10/15/2023 to 05/15/2052 466,615
(1) The rate shown is the 7-day yield as of August 31, 2023.
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $65,295,621   $—   $—   $65,295,621
Short-Term Investments 643,354       643,354
Total Investments at Value $65,938,975   $—   $—   $65,938,975
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
See Notes to Portfolio of Investments
13

VALIC Company I Conservative Growth Lifestyle Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
AFFILIATED INVESTMENT COMPANIES#(1) — 99.1% 
Domestic Fixed Income Investment Companies — 65.6% 
VALIC Company I Core Bond Fund
(cost $219,415,725)
  20,654,788 $197,666,325
Domestic Equity Investment Companies — 24.7% 
VALIC Company I Small Cap Growth Fund      398,931   5,728,649
VALIC Company I Small Cap Value Fund      523,579   5,890,270
VALIC Company I Stock Index Fund      777,008  37,428,460
VALIC Company I Systematic Growth Fund    1,001,816  15,608,298
VALIC Company I Systematic Value Fund      785,737   9,900,280
Total Domestic Equity Investment Companies
(cost $71,237,156)
    74,555,957
International Equity Investment Companies — 8.8% 
VALIC Company I International Equities Index Fund
(cost $23,837,522)
   3,533,471  26,607,034
Total Long-Term Investment Securities
(cost $314,490,403)
    298,829,316
Security Description   Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS — 1.0% 
Unaffiliated Investment Companies — 1.0% 
State Street Institutional U.S. Government Money Market Fund, Premier Class
5.28%(2)
(cost $3,082,941)
   3,082,941   $  3,082,941
TOTAL INVESTMENTS
(cost $317,573,344)
  100.1%   301,912,257
Other assets less liabilities   (0.1)   (254,956)
NET ASSETS   100.0%   $301,657,301
# The VALIC Company I Conservative Growth Lifestyle Fund invests in various VALIC Company I Funds. Additional information on the underlying funds including such funds' prospectuses and shareholder reports are available at our website, www.corebridgefinancial.com/rs.
(1) See Note 3.
(2) The rate shown is the 7-day yield as of August 31, 2023.
 
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Affiliated Investment Companies $298,829,316   $—   $—   $298,829,316
Short-Term Investments 3,082,941       3,082,941
Total Investments at Value $301,912,257   $—   $—   $301,912,257
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
See Notes to Portfolio of Investments
14  

VALIC Company I Core Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES — 35.9% 
Aerospace/Defense — 0.5% 
BAE Systems Holdings, Inc.      
3.85%, 12/15/2025*   $  1,309,000 $    1,261,887
Boeing Co.      
3.38%, 06/15/2046     1,237,000       850,932
5.15%, 05/01/2030     1,440,000     1,416,722
5.93%, 05/01/2060     2,493,000     2,406,436
L3Harris Technologies, Inc.      
5.40%, 07/31/2033     2,155,000     2,158,621
5.60%, 07/31/2053       470,000       472,992
Lockheed Martin Corp.      
2.80%, 06/15/2050        15,000        10,094
4.45%, 05/15/2028     1,555,000     1,531,003
Northrop Grumman Corp.      
4.95%, 03/15/2053       927,000       868,307
Raytheon Technologies Corp.      
5.38%, 02/27/2053     1,809,000     1,763,298
Rolls-Royce PLC      
5.75%, 10/15/2027*       500,000       485,408
Spirit AeroSystems, Inc.      
7.50%, 04/15/2025*       568,000       560,961
      13,786,661
Airlines — 0.2% 
Air Canada      
3.88%, 08/15/2026*       540,000       498,648
American Airlines, Inc.      
7.25%, 02/15/2028*#       720,000       707,269
11.75%, 07/15/2025*       810,000       886,580
British Airways Pass Through Trust      
2.90%, 09/15/2036*     1,635,503     1,374,007
United Airlines, Inc.      
4.63%, 04/15/2029*     1,255,000     1,115,885
      4,582,389
Auto Manufacturers — 0.9% 
Daimler Truck Finance North America LLC      
5.13%, 01/19/2028*#     1,097,000     1,082,980
5.20%, 01/17/2025*     1,060,000     1,052,639
Daimler Trucks Finance North America LLC      
2.50%, 12/14/2031*       444,000       357,145
Ford Motor Co.      
3.25%, 02/12/2032       450,000       351,274
4.75%, 01/15/2043       628,000       469,495
Ford Motor Credit Co. LLC      
2.90%, 02/16/2028     1,812,000     1,546,351
4.00%, 11/13/2030     3,507,000     2,967,445
4.95%, 05/28/2027       555,000       520,785
5.11%, 05/03/2029       402,000       369,764
7.35%, 11/04/2027 to 03/06/2030       561,000       570,604
General Motors Co.      
5.40%, 10/15/2029#     1,457,000     1,408,588
General Motors Financial Co., Inc.      
2.70%, 06/10/2031     1,255,000       989,402
2.75%, 06/20/2025     1,533,000     1,447,584
5.80%, 06/23/2028     1,375,000     1,363,151
Hyundai Capital America      
5.80%, 06/26/2025*       990,000       991,189
Mercedes-Benz Finance North America LLC      
4.80%, 03/30/2028*     2,145,000     2,110,446
5.10%, 08/03/2028*     2,570,000     2,561,229
5.38%, 11/26/2025*     2,047,000      2,047,892
Security Description   Shares or
Principal
Amount
Value
 
Auto Manufacturers (continued) 
PACCAR Financial Corp.      
5.05%, 08/10/2026   $    921,000 $      923,328
      23,131,291
Banks — 8.6% 
Banco Santander SA      
5.59%, 08/08/2028     4,800,000     4,757,003
6.92%, 08/08/2033     1,200,000     1,199,603
Bank Hapoalim BM      
3.26%, 01/21/2032*     2,690,000     2,306,046
Bank of America Corp.      
0.98%, 09/25/2025     3,200,000     3,028,338
2.46%, 10/22/2025     5,545,000     5,329,886
3.31%, 04/22/2042     1,968,000     1,471,180
3.85%, 03/08/2037     5,292,000     4,483,422
3.97%, 02/07/2030     1,350,000     1,242,933
4.08%, 04/23/2040     2,723,000     2,288,689
4.18%, 11/25/2027     2,882,000     2,735,515
4.57%, 04/27/2033       847,000       785,160
6.11%, 01/29/2037     2,459,000     2,547,055
Bank of Nova Scotia      
4.59%, 05/04/2037     2,929,000     2,528,683
BankUnited, Inc.      
4.88%, 11/17/2025     3,263,000     3,074,963
5.13%, 06/11/2030     5,876,000     5,067,043
Barclays PLC      
3.56%, 09/23/2035#     3,749,000     2,979,311
BNP Paribas SA      
1.32%, 01/13/2027*     1,515,000     1,362,309
1.68%, 06/30/2027*     3,393,000     3,028,476
BPCE SA      
3.58%, 10/19/2042*     1,684,000     1,093,014
Citigroup, Inc.      
2.57%, 06/03/2031       750,000       619,381
2.67%, 01/29/2031       436,000       365,403
2.90%, 11/03/2042       644,000       442,315
3.67%, 07/24/2028       378,000       351,531
4.45%, 09/29/2027     3,534,000     3,378,016
5.61%, 09/29/2026     2,283,000     2,272,578
5.88%, 02/22/2033     3,046,000     3,042,088
6.00%, 10/31/2033     4,824,000     4,876,592
6.17%, 05/25/2034       837,000       834,078
Citizens Financial Group, Inc.      
2.64%, 09/30/2032     5,684,000     4,145,716
Cooperatieve Rabobank UA      
1.00%, 09/24/2026*     5,601,000     5,064,157
Credit Agricole SA      
1.25%, 01/26/2027*     1,568,000     1,405,450
5.59%, 07/05/2026*     3,236,000     3,234,960
Credit Suisse AG      
7.50%, 02/15/2028     1,298,000     1,388,216
Credit Suisse Group AG      
9.02%, 11/15/2033*       484,000       586,070
Danske Bank A/S      
0.98%, 09/10/2025*     1,000,000       945,989
3.24%, 12/20/2025*     2,650,000     2,538,665
Deutsche Bank AG      
2.55%, 01/07/2028     1,583,000     1,399,398
3.74%, 01/07/2033     4,166,000     3,128,371
6.72%, 01/18/2029       274,000       277,413
7.08%, 02/10/2034       498,000       473,669
Fifth Third Bancorp      
6.34%, 07/27/2029       400,000        404,903
 
15

VALIC Company I Core Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Banks (continued) 
Fifth Third Bank NA      
5.85%, 10/27/2025   $  1,049,000 $    1,033,749
First Horizon Bank      
5.75%, 05/01/2030#     5,696,000     5,287,426
Goldman Sachs Group, Inc.      
1.54%, 09/10/2027     2,452,000     2,165,253
2.38%, 07/21/2032     1,754,000     1,386,449
3.21%, 04/22/2042     1,642,000     1,183,545
3.80%, 03/15/2030       692,000       629,466
4.22%, 05/01/2029     2,710,000     2,553,240
5.70%, 11/01/2024     2,276,000     2,271,639
6.75%, 10/01/2037     3,886,000     4,119,776
HSBC Holdings PLC      
2.25%, 11/22/2027     3,040,000     2,710,906
4.18%, 12/09/2025     2,674,000     2,605,508
6.33%, 03/09/2044     4,108,000     4,142,395
8.11%, 11/03/2033     1,058,000     1,150,321
Huntington National Bank      
4.55%, 05/17/2028     2,502,000     2,369,153
ING Groep NV      
1.40%, 07/01/2026*#     3,627,000     3,335,119
Intesa Sanpaolo SpA      
4.95%, 06/01/2042*     2,664,000     1,775,335
7.78%, 06/20/2054*     2,235,000     2,195,901
JPMorgan Chase & Co.      
2.01%, 03/13/2026     4,209,000     3,970,713
2.07%, 06/01/2029     4,332,000     3,715,651
2.53%, 11/19/2041     7,129,000     4,807,226
2.55%, 11/08/2032       830,000       670,509
3.54%, 05/01/2028     2,652,000     2,474,906
4.91%, 07/25/2033       824,000       792,475
5.72%, 09/14/2033#     3,853,000     3,850,799
6.13%, 04/30/2024(1)     2,459,000     2,440,552
KeyBank NA      
3.40%, 05/20/2026     2,272,000     2,025,715
Lloyds Banking Group PLC      
5.87%, 03/06/2029#     1,069,000     1,060,771
Mitsubishi UFJ Financial Group, Inc.      
2.19%, 02/25/2025     1,378,000     1,307,093
4.79%, 07/18/2025     2,528,000     2,499,674
Mizuho Financial Group, Inc.      
2.56%, 09/13/2025     4,524,000     4,359,167
5.78%, 07/06/2029     4,478,000     4,485,266
Morgan Stanley      
1.16%, 10/21/2025     1,220,000     1,150,560
1.51%, 07/20/2027     3,358,000     2,981,340
2.48%, 09/16/2036       337,000       254,154
3.22%, 04/22/2042     1,890,000     1,392,103
3.62%, 04/01/2031       721,000       640,700
4.68%, 07/17/2026       746,000       730,404
5.30%, 04/20/2037     3,345,000     3,113,593
Morgan Stanley VRS      
3.59%, 07/22/2028(2)     3,691,000     3,414,625
National Bank of Canada      
0.55%, 11/15/2024     1,995,000     1,972,944
NatWest Group PLC      
1.64%, 06/14/2027     1,815,000     1,611,297
3.03%, 11/28/2035     3,269,000     2,521,746
8.00%, 08/10/2025(1)     1,096,000     1,068,545
Nordea Bank Abp      
5.38%, 09/22/2027*     1,556,000      1,542,229
Security Description   Shares or
Principal
Amount
Value
 
Banks (continued) 
Regions Financial Corp.      
7.38%, 12/10/2037   $  2,600,000 $    2,751,954
Signature Bank      
4.00%, 10/15/2030     4,120,000        44,743
Societe Generale SA      
3.63%, 03/01/2041*     1,420,000       916,575
7.88%, 12/18/2023*(1)     1,554,000     1,547,551
Swedbank AB      
1.54%, 11/16/2026*     3,967,000     3,503,416
Synovus Bank/Columbus GA      
5.63%, 02/15/2028       787,000       729,507
Texas Capital Bancshares, Inc.      
4.00%, 05/06/2031     2,443,000     2,025,145
Truist Financial Corp.      
4.92%, 07/28/2033     1,508,000     1,344,202
UBS Group AG      
1.49%, 08/10/2027*     2,410,000     2,119,203
4.13%, 09/24/2025*       269,000       259,515
4.75%, 05/12/2028*     1,677,000     1,610,116
UniCredit SpA      
2.57%, 09/22/2026*     3,353,000     3,075,092
US Bancorp      
2.22%, 01/27/2028       768,000       685,376
2.49%, 11/03/2036     5,949,000     4,384,153
Valley National Bancorp      
3.00%, 06/15/2031     2,042,000     1,630,319
Wells Fargo & Co.      
2.39%, 06/02/2028       948,000       843,524
3.07%, 04/30/2041     2,026,000     1,450,201
4.30%, 07/22/2027     5,930,000     5,678,486
4.65%, 11/04/2044     1,081,000       894,286
5.39%, 04/24/2034     1,187,000     1,156,147
5.61%, 01/15/2044     1,102,000     1,037,329
Zions Bancorp NA      
3.25%, 10/29/2029     4,252,000     3,339,980
      235,280,346
Beverages — 0.3% 
Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc.      
4.90%, 02/01/2046     3,357,000     3,122,846
Brown-Forman Corp.      
4.75%, 04/15/2033#     1,016,000     1,005,627
Constellation Brands, Inc.      
4.35%, 05/09/2027       832,000       805,596
PepsiCo, Inc.      
3.60%, 02/18/2028     1,092,000     1,046,076
3.90%, 07/18/2032     1,256,000     1,191,139
4.00%, 03/05/2042       570,000       493,660
      7,664,944
Biotechnology — 0.4% 
Amgen, Inc.      
2.80%, 08/15/2041     2,121,000     1,462,936
3.15%, 02/21/2040     1,377,000     1,027,360
4.40%, 05/01/2045       569,000       478,769
5.65%, 03/02/2053     1,696,000     1,681,322
5.75%, 03/02/2063     1,134,000     1,119,876
CSL Finance PLC      
4.75%, 04/27/2052*       906,000       814,292
Regeneron Pharmaceuticals, Inc.      
1.75%, 09/15/2030       671,000       534,013
2.80%, 09/15/2050     1,766,000      1,097,744
 
16  

VALIC Company I Core Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Biotechnology (continued) 
Royalty Pharma PLC      
2.15%, 09/02/2031#   $  2,121,000 $    1,645,885
      9,862,197
Building Materials — 0.1% 
Carrier Global Corp.      
3.38%, 04/05/2040     2,034,000     1,528,780
PGT Innovations, Inc.      
4.38%, 10/01/2029*       600,000       556,764
Standard Industries, Inc.      
3.38%, 01/15/2031*       697,000       555,777
5.00%, 02/15/2027*       250,000       236,999
Trane Technologies Financing, Ltd.      
5.25%, 03/03/2033       690,000       689,253
      3,567,573
Chemicals — 0.7% 
Albemarle Corp.      
5.65%, 06/01/2052       344,000       311,776
Braskem Netherlands Finance BV      
4.50%, 01/10/2028*     1,774,000     1,614,377
7.25%, 02/13/2033*       326,000       308,830
CF Industries, Inc.      
5.38%, 03/15/2044     2,091,000     1,849,790
Consolidated Energy Finance SA      
5.63%, 10/15/2028*     1,082,000       903,712
Eastman Chemical Co.      
5.75%, 03/08/2033     1,538,000     1,516,908
Ecolab, Inc.      
2.70%, 12/15/2051     1,959,000     1,240,128
5.25%, 01/15/2028     1,478,000     1,498,816
FMC Corp.      
5.15%, 05/18/2026       361,000       357,692
Methanex Corp.      
5.13%, 10/15/2027       595,000       558,092
Minerals Technologies, Inc.      
5.00%, 07/01/2028*       751,000       690,920
Nutrien, Ltd.      
5.80%, 03/27/2053     1,145,000     1,117,217
5.95%, 11/07/2025     1,054,000     1,060,643
OCI NV      
6.70%, 03/16/2033*     1,034,000     1,014,771
Olympus Water US Holding Corp.      
9.75%, 11/15/2028*       715,000       720,239
RPM International, Inc.      
2.95%, 01/15/2032       635,000       509,740
4.55%, 03/01/2029     1,362,000     1,277,226
Trinseo Materials Operating SCA/Trinseo Materials Finance, Inc.      
5.13%, 04/01/2029*       808,000       436,535
Westlake Corp.      
3.38%, 08/15/2061     1,782,000     1,042,562
      18,029,974
Coal — 0.0% 
Warrior Met Coal, Inc.      
7.88%, 12/01/2028*       695,000       708,983
Commercial Services — 0.7% 
Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 SARL      
4.63%, 06/01/2028*       200,000        169,083
Security Description   Shares or
Principal
Amount
Value
 
Commercial Services (continued) 
Allied Universal Holdco LLC/Allied Universal Finance Corp/Atlas Luxco 4 Sarl      
4.63%, 06/01/2028*   $    610,000 $      518,500
Deluxe Corp.      
8.00%, 06/01/2029*     1,090,000       919,819
Ford Foundation      
2.82%, 06/01/2070     1,633,000       973,448
Garda World Security Corp.      
6.00%, 06/01/2029*       510,000       415,523
9.50%, 11/01/2027*       445,000       430,402
Korn Ferry      
4.63%, 12/15/2027*       436,000       405,507
Metis Merger Sub LLC      
6.50%, 05/15/2029*       491,000       426,413
Mobius Merger Sub, Inc.      
9.00%, 06/01/2030*       500,000       455,809
Prime Security Services Borrower LLC/Prime Finance, Inc.      
3.38%, 08/31/2027*       623,000       554,098
PROG Holdings, Inc.      
6.00%, 11/15/2029*       977,000       876,857
Quanta Services, Inc.      
2.90%, 10/01/2030     1,475,000     1,243,857
3.05%, 10/01/2041     1,096,000       742,915
S&P Global, Inc.      
2.70%, 03/01/2029     1,813,000     1,620,508
Sotheby's      
7.38%, 10/15/2027*     1,000,000       910,356
Sotheby's/Bidfair Holdings, Inc.      
5.88%, 06/01/2029*       291,000       225,525
TriNet Group, Inc.      
3.50%, 03/01/2029*       945,000       813,626
Triton Container International, Ltd.      
2.05%, 04/15/2026*     4,577,000     4,072,857
3.15%, 06/15/2031*     4,174,000     3,212,179
Upbound Group, Inc.      
6.38%, 02/15/2029*       745,000       676,833
      19,664,115
Computers — 0.8% 
Ahead DB Holdings LLC      
6.63%, 05/01/2028*     1,085,000       941,270
Apple, Inc.      
1.40%, 08/05/2028     3,182,000     2,736,202
2.65%, 05/11/2050     1,513,000     1,007,725
2.70%, 08/05/2051       827,000       550,705
3.95%, 08/08/2052     1,269,000     1,075,138
4.10%, 08/08/2062     1,313,000     1,098,670
Booz Allen Hamilton, Inc.      
5.95%, 08/04/2033       435,000       439,968
Dell International LLC/EMC Corp.      
3.38%, 12/15/2041*     2,189,000     1,541,530
8.10%, 07/15/2036     1,425,000     1,637,160
Hewlett Packard Enterprise Co.      
1.75%, 04/01/2026     2,299,000     2,096,335
5.25%, 07/01/2028     2,680,000     2,657,292
Leidos, Inc.      
4.38%, 05/15/2030     1,856,000     1,710,885
5.75%, 03/15/2033     1,053,000     1,046,405
McAfee Corp.      
7.38%, 02/15/2030*     1,422,000     1,244,119
NCR Corp.      
5.13%, 04/15/2029*       470,000        427,436
 
17

VALIC Company I Core Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Computers (continued) 
Seagate HDD Cayman      
4.09%, 06/01/2029   $    480,000 $      422,924
      20,633,764
Cosmetics/Personal Care — 0.4% 
Coty, Inc.      
5.00%, 04/15/2026*       656,000       630,600
Edgewell Personal Care Co.      
4.13%, 04/01/2029*       746,000       646,513
Estee Lauder Cos., Inc.      
4.38%, 05/15/2028     1,401,000     1,367,201
GSK Consumer Healthcare Capital UK PLC      
3.13%, 03/24/2025     2,145,000     2,063,116
Haleon US Capital LLC      
3.63%, 03/24/2032     2,872,000     2,551,297
Kenvue, Inc.      
4.90%, 03/22/2033*     1,654,000     1,644,814
Procter & Gamble Co.      
3.95%, 01/26/2028#     2,152,000     2,112,087
      11,015,628
Distribution/Wholesale — 0.0% 
Windsor Holdings III LLC      
8.50%, 06/15/2030*       414,000       415,806
Diversified Financial Services — 1.0% 
AerCap Ireland Capital DAC/AerCap Global Aviation Trust      
2.45%, 10/29/2026     1,949,000     1,753,606
AG Issuer LLC      
6.25%, 03/01/2028*       720,000       689,658
Aretec Escrow Issuer, Inc.      
7.50%, 04/01/2029*       896,000       804,921
Avolon Holdings Funding, Ltd.      
6.38%, 05/04/2028*       570,000       565,415
Bread Financial Holdings, Inc.      
4.75%, 12/15/2024*#       883,000       861,835
Burford Capital Global Finance LLC      
6.25%, 04/15/2028*       915,000       842,258
Cobra AcquisitionCo LLC      
6.38%, 11/01/2029*       958,000       663,415
Curo Group Holdings Corp.      
7.50%, 08/01/2028*       730,000       173,849
Enact Holdings, Inc.      
6.50%, 08/15/2025*     1,036,000     1,026,644
Enova International, Inc.      
8.50%, 09/15/2025*#     1,044,000     1,027,192
goeasy, Ltd.      
4.38%, 05/01/2026*       577,000       529,738
Intercontinental Exchange, Inc.      
4.95%, 06/15/2052     1,984,000     1,846,931
5.20%, 06/15/2062     1,117,000     1,056,384
Jefferies Financial Group, Inc.      
5.88%, 07/21/2028     1,707,000     1,687,909
LFS Topco LLC      
5.88%, 10/15/2026*       820,000       709,308
LPL Holdings, Inc.      
4.00%, 03/15/2029*       615,000       546,694
Nasdaq, Inc.      
5.95%, 08/15/2053       545,000       542,745
6.10%, 06/28/2063       653,000       644,331
NFP Corp.      
4.88%, 08/15/2028*       356,000        317,404
Security Description   Shares or
Principal
Amount
Value
 
Diversified Financial Services (continued) 
OneMain Finance Corp.      
5.38%, 11/15/2029   $    830,000 $      716,954
Synchrony Financial      
4.50%, 07/23/2025     9,472,000     9,037,921
USAA Capital Corp.      
3.38%, 05/01/2025*     2,593,000     2,504,845
      28,549,957
Electric — 2.9% 
AES Corp.      
2.45%, 01/15/2031     3,104,000     2,464,671
5.45%, 06/01/2028#     1,398,000     1,371,896
American Electric Power Co., Inc.      
5.63%, 03/01/2033     2,064,000     2,067,161
5.70%, 08/15/2025     1,642,000     1,642,820
Atlantica Sustainable Infrastructure PLC      
4.13%, 06/15/2028*       809,000       721,382
Avangrid, Inc.      
3.20%, 04/15/2025     3,681,000     3,522,656
Baltimore Gas and Electric Co.      
5.40%, 06/01/2053     1,085,000     1,069,992
Calpine Corp.      
3.75%, 03/01/2031*       933,000       777,866
5.00%, 02/01/2031*       624,000       527,950
CMS Energy Corp.      
3.75%, 12/01/2050     1,298,000       977,582
4.75%, 06/01/2050     1,513,000     1,321,486
Consolidated Edison Co. of New York, Inc.      
3.95%, 04/01/2050     1,285,000     1,017,205
4.45%, 03/15/2044       849,000       723,297
Dominion Energy, Inc.      
5.25%, 08/01/2033     2,179,000     2,101,184
5.75%, 10/01/2054       916,000       878,439
DTE Electric Co.      
3.95%, 03/01/2049     1,879,000     1,487,954
DTE Energy Co.      
4.88%, 06/01/2028     2,055,000     2,009,397
Duke Energy Carolinas LLC      
3.55%, 03/15/2052       736,000       535,236
5.40%, 01/15/2054       560,000       549,057
Duke Energy Florida LLC      
5.95%, 11/15/2052       818,000       853,877
Duke Energy Ohio, Inc.      
5.65%, 04/01/2053       585,000       581,902
Electricite de France SA      
5.70%, 05/23/2028*     1,446,000     1,447,413
Emera US Finance LP      
4.75%, 06/15/2046     2,056,000     1,609,213
Enel Finance International NV      
3.50%, 04/06/2028*     1,328,000     1,208,533
4.75%, 05/25/2047*#     1,025,000       841,863
7.75%, 10/14/2052*     1,290,000     1,475,131
Entergy Mississippi LLC      
3.50%, 06/01/2051       858,000       596,053
Entergy Texas, Inc.      
4.50%, 03/30/2039     3,217,000     2,816,156
5.00%, 09/15/2052       586,000       524,029
Exelon Corp.      
5.60%, 03/15/2053       813,000       784,391
FirstEnergy Transmission LLC      
4.55%, 04/01/2049*     2,204,000     1,781,190
Georgia Power Co.      
3.25%, 03/15/2051     2,400,000      1,630,195
 
18  

VALIC Company I Core Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Electric (continued) 
Indiana Michigan Power Co.      
5.63%, 04/01/2053   $    667,000 $      672,398
Interstate Power & Light Co.      
3.50%, 09/30/2049     1,623,000     1,139,242
Liberty Utilities Finance GP      
2.05%, 09/15/2030*     1,354,000     1,076,232
Metropolitan Edison Co.      
5.20%, 04/01/2028*     2,521,000     2,489,561
National Rural Utilities Cooperative Finance Corp.      
2.85%, 01/27/2025     4,400,000     4,247,410
4.80%, 03/15/2028       886,000       876,081
National Rural Utilities Cooperative Finance Corp. FRS      
8.54%, (3M TSFR+3.17%), 04/30/2043     1,006,000       986,129
New York State Electric & Gas Corp.      
5.85%, 08/15/2033*     1,862,000     1,895,664
NextEra Energy Capital Holdings, Inc.      
5.75%, 09/01/2025       920,000       922,179
6.05%, 03/01/2025       967,000       970,812
NRG Energy, Inc.      
3.63%, 02/15/2031*     1,266,000       988,024
5.25%, 06/15/2029*       100,000        90,010
Oklahoma Gas & Electric Co.      
5.60%, 04/01/2053       586,000       582,621
Oncor Electric Delivery Co. LLC      
4.15%, 06/01/2032     1,294,000     1,205,481
Pacific Gas & Electric Co.      
3.95%, 12/01/2047     2,528,000     1,684,947
4.30%, 03/15/2045     3,038,000     2,124,767
4.95%, 06/08/2025     1,282,000     1,253,916
PacifiCorp      
5.50%, 05/15/2054     2,046,000     1,812,065
Pattern Energy Operations LP/Pattern Energy Operations, Inc.      
4.50%, 08/15/2028*       800,000       728,326
Public Service Co. of Colorado      
2.70%, 01/15/2051     3,602,000     2,171,164
3.70%, 06/15/2028     1,635,000     1,533,203
4.10%, 06/15/2048     1,595,000     1,246,752
Public Service Co. of Oklahoma      
2.20%, 08/15/2031     1,910,000     1,524,112
Southern California Edison Co.      
5.85%, 11/01/2027     1,446,000     1,480,118
Southern Co.      
4.48%, 08/01/2024(3)     1,730,000     1,706,214
Southwestern Electric Power Co.      
5.30%, 04/01/2033       897,000       878,079
Union Electric Co.      
2.95%, 06/15/2027       452,000       419,992
3.90%, 04/01/2052     1,006,000       790,472
Vistra Operations Co. LLC      
5.00%, 07/31/2027*       952,000       895,364
      80,308,512
Electrical Components & Equipment — 0.0% 
EnerSys      
4.38%, 12/15/2027*       799,000       731,085
Electronics — 0.4% 
Agilent Technologies, Inc.      
2.30%, 03/12/2031     3,059,000     2,504,097
Honeywell International, Inc.      
1.75%, 09/01/2031     1,849,000      1,470,185
Security Description   Shares or
Principal
Amount
Value
 
Electronics (continued) 
4.25%, 01/15/2029   $  1,454,000 $    1,412,698
Imola Merger Corp.      
4.75%, 05/15/2029*       750,000       666,643
Jabil, Inc.      
5.45%, 02/01/2029       686,000       678,541
Trimble, Inc.      
4.90%, 06/15/2028       819,000       796,089
6.10%, 03/15/2033       967,000       976,410
TTM Technologies, Inc.      
4.00%, 03/01/2029*     1,043,000       905,950
Vontier Corp.      
2.95%, 04/01/2031     2,789,000     2,210,259
      11,620,872
Engineering & Construction — 0.1% 
Jacobs Engineering Group, Inc.      
5.90%, 03/01/2033       758,000       749,955
6.35%, 08/18/2028       972,000       988,367
VM Consolidated, Inc.      
5.50%, 04/15/2029*       923,000       841,268
      2,579,590
Entertainment — 0.3% 
Caesars Entertainment, Inc.      
6.25%, 07/01/2025*       664,000       658,846
Ontario Gaming GTA LP      
8.00%, 08/01/2030*       495,000       500,341
SeaWorld Parks & Entertainment, Inc.      
5.25%, 08/15/2029*     1,480,000     1,328,820
Warnermedia Holdings, Inc.      
3.64%, 03/15/2025     1,242,000     1,201,661
5.05%, 03/15/2042       732,000       601,727
5.39%, 03/15/2062     1,465,000     1,162,727
6.41%, 03/15/2026     2,184,000     2,187,215
      7,641,337
Environmental Control — 0.4% 
Covanta Holding Corp.      
5.00%, 09/01/2030       843,000       714,105
Enviri Corp.      
5.75%, 07/31/2027*     1,025,000       888,880
Republic Services, Inc.      
5.00%, 04/01/2034     1,713,000     1,682,295
Waste Connections, Inc.      
2.20%, 01/15/2032     2,619,000     2,094,436
4.25%, 12/01/2028     1,065,000     1,023,792
Waste Management, Inc.      
4.63%, 02/15/2030       668,000       652,927
4.88%, 02/15/2034     4,082,000     3,984,818
      11,041,253
Food — 1.0% 
Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC      
5.88%, 02/15/2028*       741,000       719,171
6.50%, 02/15/2028*       320,000       318,521
C&S Group Enterprises LLC      
5.00%, 12/15/2028*     1,222,000       942,948
Conagra Brands, Inc.      
7.00%, 10/01/2028     1,976,000     2,104,483
General Mills, Inc.      
4.95%, 03/29/2033       974,000       950,106
Hershey Co.      
4.25%, 05/04/2028#       721,000        711,494
 
19

VALIC Company I Core Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Food (continued) 
Hormel Foods Corp.      
0.65%, 06/03/2024#   $    735,000 $      708,100
Kraft Heinz Foods Co.      
4.38%, 06/01/2046     4,477,000     3,704,713
4.88%, 10/01/2049       978,000       866,956
Kroger Co.      
3.88%, 10/15/2046       557,000       415,224
Land O'Lakes Capital Trust I      
7.45%, 03/15/2028*       310,000       288,300
Mars, Inc.      
4.65%, 04/20/2031*     1,426,000     1,395,435
McCormick & Co., Inc.      
4.95%, 04/15/2033       777,000       752,681
Nestle Holdings, Inc.      
5.25%, 03/13/2026*     1,715,000     1,722,605
Performance Food Group, Inc.      
5.50%, 10/15/2027*       497,000       478,565
Post Holdings, Inc.      
4.50%, 09/15/2031*       662,000       570,304
Simmons Foods, Inc./Simmons Prepared Foods, Inc./Simmons Pet Food, Inc./Simmons Feed      
4.63%, 03/01/2029*       453,000       377,004
Smithfield Foods, Inc.      
4.25%, 02/01/2027*     1,668,000     1,552,165
5.20%, 04/01/2029*     2,014,000     1,869,261
Sysco Corp.      
4.45%, 03/15/2048     3,779,000     3,123,628
4.50%, 04/01/2046     2,146,000     1,764,331
5.95%, 04/01/2030#       532,000       550,974
6.60%, 04/01/2050     1,304,000     1,437,750
      27,324,719
Forest Products & Paper — 0.2% 
Georgia-Pacific LLC      
0.95%, 05/15/2026*     5,650,000     5,018,046
Glatfelter Corp.      
4.75%, 11/15/2029*       981,000       685,322
      5,703,368
Gas — 0.2% 
Atmos Energy Corp.      
5.75%, 10/15/2052     1,803,000     1,878,675
KeySpan Gas East Corp.      
5.99%, 03/06/2033*     1,837,000     1,823,568
NiSource, Inc.      
5.40%, 06/30/2033       888,000       879,516
Spire Missouri, Inc.      
4.80%, 02/15/2033       971,000       943,917
      5,525,676
Hand/Machine Tools — 0.1% 
Stanley Black & Decker, Inc.      
4.00%, 03/15/2060     3,039,000     2,364,918
Healthcare-Products — 0.2% 
GE HealthCare Technologies, Inc.      
5.65%, 11/15/2027     2,213,000     2,239,597
Medline Borrower LP      
3.88%, 04/01/2029*       904,000       789,170
5.25%, 10/01/2029*       385,000       341,890
STERIS PLC      
3.75%, 03/15/2051     1,490,000     1,086,775
      4,457,432
Security Description   Shares or
Principal
Amount
Value
 
Healthcare-Services — 0.9% 
CHS/Community Health Systems, Inc.      
5.63%, 03/15/2027*   $  1,412,000 $    1,242,481
DaVita, Inc.      
4.63%, 06/01/2030*     1,051,000       901,499
Elevance Health, Inc.      
2.88%, 09/15/2029     1,575,000     1,391,395
6.10%, 10/15/2052       806,000       856,991
HCA, Inc.      
3.38%, 03/15/2029       881,000       785,468
3.50%, 09/01/2030 to 07/15/2051     3,691,000     2,825,329
4.63%, 03/15/2052     2,136,000     1,713,907
Humana, Inc.      
1.35%, 02/03/2027     1,946,000     1,711,639
5.50%, 03/15/2053#       568,000       550,469
5.88%, 03/01/2033       722,000       747,523
Legacy LifePoint Health LLC      
4.38%, 02/15/2027*       748,000       647,469
LifePoint Health, Inc.      
9.88%, 08/15/2030*        55,000        54,312
Roche Holdings, Inc.      
2.13%, 03/10/2025*     5,409,000     5,165,483
Select Medical Corp.      
6.25%, 08/15/2026*       705,000       698,318
UnitedHealth Group, Inc.      
1.25%, 01/15/2026     2,801,000     2,562,282
4.95%, 05/15/2062       667,000       616,222
5.25%, 02/15/2028     1,509,000     1,538,127
6.05%, 02/15/2063     1,573,000     1,713,527
      25,722,441
Home Builders — 0.0% 
Mattamy Group Corp.      
4.63%, 03/01/2030*       790,000       698,227
Insurance — 1.2% 
Americo Life, Inc.      
3.45%, 04/15/2031*     1,523,000     1,130,189
Assured Guaranty US Holdings, Inc.      
6.13%, 09/15/2028       663,000       671,163
Athene Global Funding      
1.73%, 10/02/2026*#     3,085,000     2,685,189
Athene Holding, Ltd.      
3.45%, 05/15/2052       639,000       406,722
Enstar Group, Ltd.      
3.10%, 09/01/2031     1,840,000     1,432,046
4.95%, 06/01/2029     3,305,000     3,096,471
Equitable Financial Life Global Funding      
1.30%, 07/12/2026*     2,446,000     2,143,627
F&G Global Funding      
0.90%, 09/20/2024*     2,390,000     2,246,919
2.30%, 04/11/2027*     1,834,000     1,621,643
Jones Deslauriers Insurance Management, Inc.      
8.50%, 03/15/2030*       746,000       761,368
Liberty Mutual Group, Inc.      
4.30%, 02/01/2061*     3,880,000     2,374,595
New York Life Global Funding      
4.85%, 01/09/2028*       992,000       981,313
NMI Holdings, Inc.      
7.38%, 06/01/2025*       490,000       493,317
Northwestern Mutual Global Funding      
4.35%, 09/15/2027*     1,343,000     1,304,263
Ohio National Financial Services, Inc.      
6.80%, 01/24/2030*     2,410,000      2,202,818
 
20  

VALIC Company I Core Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Insurance (continued) 
Principal Life Global Funding II      
0.50%, 01/08/2024*   $  1,359,000 $    1,333,695
Prudential Financial, Inc.      
3.91%, 12/07/2047       505,000       391,586
5.70%, 09/15/2048     1,228,000     1,162,720
Prudential Funding Asia PLC      
3.13%, 04/14/2030       712,000       627,426
Ryan Specialty LLC      
4.38%, 02/01/2030*       420,000       375,392
SBL Holdings, Inc.      
5.00%, 02/18/2031*     1,914,000     1,484,702
Security Benefit Global Funding      
1.25%, 05/17/2024*     1,067,000     1,025,701
Willis North America, Inc.      
4.65%, 06/15/2027     2,415,000     2,338,697
      32,291,562
Internet — 0.3% 
Acuris Finance US, Inc. / Acuris Finance SARL      
5.00%, 05/01/2028*       204,000       165,240
Amazon.com, Inc.      
3.30%, 04/13/2027     1,634,000     1,555,348
3.60%, 04/13/2032       668,000       614,674
4.10%, 04/13/2062     2,639,000     2,187,880
4.65%, 12/01/2029     1,242,000     1,237,317
Cogent Communications Group, Inc.      
7.00%, 06/15/2027*       680,000       660,076
Expedia Group, Inc.      
2.95%, 03/15/2031#       745,000       622,861
Gen Digital, Inc.      
6.75%, 09/30/2027*       243,000       243,612
7.13%, 09/30/2030*#       474,000       477,188
GrubHub Holdings, Inc.      
5.50%, 07/01/2027*       695,000       480,419
ION Trading Technologies SARL      
5.75%, 05/15/2028*#     1,276,000     1,115,239
      9,359,854
Iron/Steel — 0.1% 
ATI, Inc.      
4.88%, 10/01/2029       549,000       495,655
7.25%, 08/15/2030        61,000        61,534
Cleveland-Cliffs, Inc.      
6.25%, 10/01/2040       367,000       304,158
Commercial Metals Co.      
3.88%, 02/15/2031       753,000       641,842
Mineral Resources, Ltd.      
8.00%, 11/01/2027*       246,000       245,140
8.13%, 05/01/2027*       481,000       479,806
Nucor Corp.      
4.30%, 05/23/2027     1,632,000     1,582,939
      3,811,074
Leisure Time — 0.3% 
Carnival Corp.      
5.75%, 03/01/2027*     2,581,000     2,429,012
6.00%, 05/01/2029*       415,000       374,694
10.50%, 06/01/2030*       140,000       149,118
Harley-Davidson Financial Services, Inc.      
6.50%, 03/10/2028*     2,230,000     2,236,361
NCL Corp., Ltd.      
3.63%, 12/15/2024*     1,096,000      1,048,930
Security Description   Shares or
Principal
Amount
Value
 
Leisure Time (continued) 
Royal Caribbean Cruises, Ltd.      
4.25%, 07/01/2026*   $  1,277,000 $    1,190,610
      7,428,725
Lodging — 0.4% 
Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Escrow, Inc.      
4.88%, 07/01/2031*       251,000       211,614
5.00%, 06/01/2029*       958,000       849,323
Hyatt Hotels Corp.      
5.75%, 01/30/2027       911,000       911,889
Marriott International, Inc.      
2.85%, 04/15/2031     3,650,000     3,030,514
3.50%, 10/15/2032     2,998,000     2,547,172
4.90%, 04/15/2029       702,000       683,569
Melco Resorts Finance, Ltd.      
5.38%, 12/04/2029*       845,000       705,516
Sands China, Ltd.      
3.50%, 08/08/2031       212,000       170,439
5.65%, 08/08/2028       212,000       200,115
Travel & Leisure Co.      
6.00%, 04/01/2027       586,000       569,797
      9,879,948
Machinery-Construction & Mining — 0.3% 
Caterpillar Financial Services Corp.      
1.70%, 01/08/2027     1,234,000     1,117,924
3.60%, 08/12/2027       745,000       712,456
4.35%, 05/15/2026       541,000       532,473
4.80%, 01/06/2026     1,567,000     1,559,308
5.40%, 03/10/2025     2,074,000     2,079,857
Weir Group PLC      
2.20%, 05/13/2026*     2,233,000     2,017,199
      8,019,217
Machinery-Diversified — 0.4% 
Ingersoll Rand, Inc.      
5.40%, 08/14/2028       274,000       274,618
5.70%, 08/14/2033     1,240,000     1,257,368
John Deere Capital Corp.      
1.30%, 10/13/2026     1,095,000       980,916
3.40%, 06/06/2025     2,280,000     2,209,907
4.75%, 01/20/2028     1,449,000     1,442,534
4.95%, 06/06/2025 to 07/14/2028     2,264,000     2,261,254
nVent Finance SARL      
2.75%, 11/15/2031     1,907,000     1,501,791
      9,928,388
Media — 1.1% 
Altice Financing SA      
5.00%, 01/15/2028*     1,226,000       996,872
Belo Corp.      
7.25%, 09/15/2027       828,000       808,515
Block Communications, Inc.      
4.88%, 03/01/2028*       786,000       650,541
Cable One, Inc.      
4.00%, 11/15/2030*#       905,000       705,871
CCO Holdings LLC/CCO Holdings Capital Corp.      
5.00%, 02/01/2028*       361,000       332,660
5.38%, 06/01/2029*     1,801,000     1,639,178
6.38%, 09/01/2029*       565,000       534,889
Charter Communications Operating LLC/Charter Communications Operating Capital      
3.50%, 06/01/2041     1,683,000      1,115,434
 
21

VALIC Company I Core Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Media (continued) 
3.85%, 04/01/2061   $  1,497,000 $      894,344
4.80%, 03/01/2050     2,027,000     1,501,778
6.38%, 10/23/2035       221,000       214,387
Comcast Corp.      
3.40%, 04/01/2030       960,000       875,444
4.15%, 10/15/2028     1,616,000     1,558,274
4.60%, 10/15/2038     1,408,000     1,292,429
5.50%, 05/15/2064     4,621,000     4,514,829
Cox Communications, Inc.      
5.45%, 09/15/2028*     1,343,000     1,336,688
CSC Holdings LLC      
4.63%, 12/01/2030*     1,370,000       716,758
5.75%, 01/15/2030*     1,155,000       638,692
Discovery Communications LLC      
5.30%, 05/15/2049     2,128,000     1,735,536
Paramount Global      
4.38%, 03/15/2043     4,624,000     3,192,322
4.60%, 01/15/2045       667,000       460,286
5.85%, 09/01/2043       584,000       483,401
6.38%, 03/30/2062       502,000       414,150
Sirius XM Radio, Inc.      
4.00%, 07/15/2028*       770,000       666,759
Time Warner Cable LLC      
6.55%, 05/01/2037     2,382,000     2,263,336
Univision Communications, Inc.      
6.63%, 06/01/2027*       550,000       532,465
7.38%, 06/30/2030*       537,000       519,724
UPC Broadband Finco BV      
4.88%, 07/15/2031*       590,000       486,957
      31,082,519
Mining — 0.1% 
FMG Resources August 2006 Pty, Ltd.      
4.50%, 09/14/2027*       751,000       692,865
Hudbay Minerals, Inc.      
4.50%, 04/01/2026*       195,000       184,054
6.13%, 04/01/2029*       621,000       583,842
South32 Treasury, Ltd.      
4.35%, 04/14/2032*     2,437,000     2,104,838
      3,565,599
Miscellaneous Manufacturing — 0.2% 
Parker-Hannifin Corp.      
4.25%, 09/15/2027#     1,726,000     1,674,343
Siemens Financieringsmaatschappij NV      
2.15%, 03/11/2031*     1,712,000     1,411,034
3.25%, 05/27/2025*     2,021,000     1,953,783
      5,039,160
Multi-National — 0.3% 
European Bank for Reconstruction & Development      
1.50%, 02/13/2025     3,897,000     3,698,109
Inter-American Development Bank      
1.13%, 07/20/2028     4,597,000     3,940,586
      7,638,695
Oil & Gas — 1.3% 
Antero Resources Corp.      
5.38%, 03/01/2030*       455,000       425,413
Apache Corp.      
4.38%, 10/15/2028       790,000       728,111
5.35%, 07/01/2049     4,122,000     3,301,681
6.00%, 01/15/2037       964,000        898,488
Security Description   Shares or
Principal
Amount
Value
 
Oil & Gas (continued) 
BP Capital Markets America, Inc.      
3.00%, 02/24/2050   $  1,608,000 $    1,071,206
3.54%, 04/06/2027     3,804,000     3,630,263
4.89%, 09/11/2033     1,339,000     1,302,664
BP Capital Markets PLC      
4.88%, 03/22/2030#(1)     1,187,000     1,074,964
Chevron Corp.      
2.24%, 05/11/2030     2,861,000     2,450,081
Chevron USA, Inc.      
4.20%, 10/15/2049     1,017,000       840,255
Chord Energy Corp.      
6.38%, 06/01/2026*       340,000       335,111
Civitas Resources, Inc.      
5.00%, 10/15/2026*       190,000       180,318
8.38%, 07/01/2028*       260,000       267,800
8.75%, 07/01/2031*       590,000       610,650
Comstock Resources, Inc.      
5.88%, 01/15/2030*       565,000       499,026
6.75%, 03/01/2029*        80,000        74,854
Crescent Energy Finance LLC      
7.25%, 05/01/2026*       664,000       654,119
9.25%, 02/15/2028*       346,000       353,948
Diamondback Energy, Inc.      
4.40%, 03/24/2051     1,827,000     1,418,254
6.25%, 03/15/2053     2,358,000     2,348,490
Earthstone Energy Holdings LLC      
8.00%, 04/15/2027*       640,000       653,242
9.88%, 07/15/2031*       352,000       385,880
EQT Corp.      
3.63%, 05/15/2031*#     2,663,000     2,301,258
Hess Corp.      
6.00%, 01/15/2040     1,322,000     1,297,515
Hilcorp Energy I LP/Hilcorp Finance Co.      
6.00%, 02/01/2031*     1,194,000     1,093,745
Marathon Oil Corp.      
6.60%, 10/01/2037#     1,297,000     1,307,673
Nabors Industries, Inc.      
7.38%, 05/15/2027*       500,000       487,950
Occidental Petroleum Corp.      
4.40%, 04/15/2046     1,465,000     1,124,124
6.38%, 09/01/2028       680,000       691,526
7.50%, 05/01/2031       906,000       981,652
Pioneer Natural Resources Co.      
5.10%, 03/29/2026     1,055,000     1,046,798
Rockcliff Energy II LLC      
5.50%, 10/15/2029*       282,000       259,954
Southwestern Energy Co.      
5.38%, 02/01/2029       445,000       422,207
Strathcona Resources, Ltd.      
6.88%, 08/01/2026*#     1,424,000     1,333,847
Valaris, Ltd.      
8.38%, 04/30/2030*       660,000       672,243
      36,525,310
Oil & Gas Services — 0.2% 
Archrock Partners LP/Archrock Partners Finance Corp.      
6.25%, 04/01/2028*       278,000       265,392
6.88%, 04/01/2027*       486,000       477,811
Halliburton Co.      
4.75%, 08/01/2043     1,227,000     1,059,738
4.85%, 11/15/2035       760,000        712,564
 
22  

VALIC Company I Core Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Oil & Gas Services (continued) 
Schlumberger Holdings Corp.      
3.90%, 05/17/2028*   $  1,329,000 $    1,260,266
USA Compression Partners LP/USA Compression Finance Corp.      
6.88%, 04/01/2026       492,000       486,475
      4,262,246
Packaging & Containers — 0.4% 
Amcor Finance USA, Inc.      
5.63%, 05/26/2033     1,995,000     1,979,638
Amcor Flexibles North America, Inc.      
2.69%, 05/25/2031       365,000       296,972
Ardagh Metal Packaging Finance USA LLC / Ardagh Metal Packaging Finance PLC      
3.25%, 09/01/2028*       413,000       351,222
Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC      
4.00%, 09/01/2029*#       250,000       203,200
Ball Corp.      
2.88%, 08/15/2030       295,000       241,314
Clydesdale Acquisition Holdings, Inc.      
6.63%, 04/15/2029*       630,000       599,476
Crown Americas LLC      
5.25%, 04/01/2030#       610,000       574,821
LABL, Inc.      
5.88%, 11/01/2028*       870,000       790,612
9.50%, 11/01/2028*        41,000        42,200
Mauser Packaging Solutions Holding Co.      
7.88%, 08/15/2026*       642,000       632,206
Sealed Air Corp.      
5.00%, 04/15/2029*       115,000       106,709
Sealed Air Corp./Sealed Air Corp. US      
6.13%, 02/01/2028*       163,000       160,160
Silgan Holdings, Inc.      
4.13%, 02/01/2028       657,000       601,937
Sonoco Products Co.      
1.80%, 02/01/2025     5,343,000     5,036,086
      11,616,553
Pharmaceuticals — 1.8% 
AbbVie, Inc.      
4.05%, 11/21/2039     3,552,000     3,044,466
4.25%, 11/21/2049     2,593,000     2,183,717
Astrazeneca Finance LLC      
4.88%, 03/03/2028     2,074,000     2,067,164
4.90%, 03/03/2030     2,240,000     2,228,175
Becton Dickinson & Co.      
4.30%, 08/22/2032       833,000       778,784
4.69%, 02/13/2028     2,082,000     2,044,807
Bristol-Myers Squibb Co.      
2.95%, 03/15/2032     1,901,000     1,647,711
3.90%, 02/20/2028     2,088,000     2,004,532
Cardinal Health, Inc.      
4.60%, 03/15/2043     3,237,000     2,623,976
Cencora, Inc.      
3.45%, 12/15/2027       704,000       661,486
4.25%, 03/01/2045       382,000       308,628
4.30%, 12/15/2047#     1,281,000     1,068,559
Cigna Group      
2.40%, 03/15/2030     1,140,000       959,608
3.40%, 03/15/2050     3,017,000     2,108,590
3.88%, 10/15/2047       778,000        593,843
Security Description   Shares or
Principal
Amount
Value
 
Pharmaceuticals (continued) 
CVS Health Corp.      
4.78%, 03/25/2038   $  4,033,000 $    3,611,785
5.13%, 07/20/2045       866,000       771,446
6.00%, 06/01/2063       922,000       903,081
Eli Lilly & Co.      
4.70%, 02/27/2033     1,338,000     1,335,551
HLF Financing Sarl LLC/Herbalife International, Inc.      
4.88%, 06/01/2029*     1,364,000     1,020,586
Merck & Co., Inc.      
5.15%, 05/17/2063     1,739,000     1,697,482
Mylan, Inc.      
5.20%, 04/15/2048     1,140,000       887,175
Organon & Co./Organon Foreign Debt Co-Issuer BV      
4.13%, 04/30/2028*       682,000       617,184
5.13%, 04/30/2031*       680,000       579,362
Pfizer Investment Enterprises Pte., Ltd.      
4.75%, 05/19/2033     1,642,000     1,615,815
5.11%, 05/19/2043     1,119,000     1,089,141
5.30%, 05/19/2053     1,677,000     1,677,610
5.34%, 05/19/2063     2,237,000     2,204,171
Shire Acquisitions Investments Ireland DAC      
3.20%, 09/23/2026     1,616,000     1,517,924
Teva Pharmaceutical Finance Netherlands III BV      
5.13%, 05/09/2029#       212,000       196,100
7.88%, 09/15/2029       626,000       652,472
Viatris, Inc.      
3.85%, 06/22/2040     1,579,000     1,105,151
4.00%, 06/22/2050     4,033,000     2,671,469
Zoetis, Inc.      
5.40%, 11/14/2025       725,000       725,131
      49,202,682
Pipelines — 1.3% 
Antero Midstream Partners LP/Antero Midstream Finance Corp.      
5.75%, 01/15/2028*       642,000       614,766
Boardwalk Pipelines LP      
3.60%, 09/01/2032     1,138,000       956,839
Buckeye Partners LP      
4.50%, 03/01/2028*       367,000       333,052
Cheniere Energy Partners LP      
3.25%, 01/31/2032     1,040,000       859,383
Energy Transfer LP      
4.90%, 03/15/2035     1,431,000     1,308,131
4.95%, 05/15/2028     1,538,000     1,494,109
5.35%, 05/15/2045       878,000       750,400
5.75%, 02/15/2033     1,000,000       994,233
6.13%, 12/15/2045       692,000       649,874
EnLink Midstream Partners LP FRS      
9.62%, (3 ML+4.11%), 10/10/2023(1)       960,000       851,961
Enterprise Products Operating LLC      
3.70%, 01/31/2051       567,000       415,043
5.25%, 08/16/2077       895,000       787,457
5.35%, 01/31/2033       696,000       699,876
EQM Midstream Partners LP      
5.50%, 07/15/2028        97,000        92,672
7.50%, 06/01/2027 to 06/01/2030*       366,000       374,347
Genesis Energy LP/Genesis Energy Finance Corp.      
6.50%, 10/01/2025       552,000       544,660
8.00%, 01/15/2027     1,317,000     1,298,337
Gray Oak Pipeline LLC      
2.00%, 09/15/2023*     1,831,000     1,828,987
3.45%, 10/15/2027*     3,356,000      3,001,825
 
23

VALIC Company I Core Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Pipelines (continued) 
Harvest Midstream I LP      
7.50%, 09/01/2028*   $  1,089,000 $    1,091,387
Holly Energy Partners LP/Holly Energy Finance Corp.      
5.00%, 02/01/2028*       742,000       696,045
Howard Midstream Energy Partners LLC      
6.75%, 01/15/2027*       866,000       833,987
8.88%, 07/15/2028*       341,000       353,136
ITT Holdings LLC      
6.50%, 08/01/2029*       804,000       725,610
NGL Energy Operating LLC/NGL Energy Finance Corp.      
7.50%, 02/01/2026*       797,000       793,474
NGL Energy Partners LP/NGL Energy Finance Corp.      
6.13%, 03/01/2025       482,000       473,553
NuStar Logistics LP      
5.75%, 10/01/2025       243,000       238,297
6.38%, 10/01/2030       414,000       398,475
ONEOK Partners LP      
6.65%, 10/01/2036     3,899,000     4,024,312
Plains All American Pipeline LP/PAA Finance Corp.      
4.30%, 01/31/2043       971,000       722,249
6.65%, 01/15/2037     1,554,000     1,575,281
Sabine Pass Liquefaction LLC      
5.90%, 09/15/2037     1,053,000     1,056,816
Targa Resources Partners LP/Targa Resources Partners Finance Corp.      
6.50%, 07/15/2027     2,376,000     2,388,236
Venture Global Calcasieu Pass LLC      
3.88%, 08/15/2029*       651,000       563,130
Williams Cos., Inc.      
5.75%, 06/24/2044     2,973,000     2,813,345
      36,603,285
Real Estate — 0.1% 
Cushman & Wakefield US Borrower LLC      
6.75%, 05/15/2028*#     1,246,000     1,186,173
8.88%, 09/01/2031*        38,000        38,312
Greystar Real Estate Partners LLC      
7.75%, 09/01/2030*       429,000       433,311
Kennedy-Wilson, Inc.      
4.75%, 03/01/2029     1,056,000       848,517
Ontario Teachers' Cadillac Fairview Properties Trust      
2.50%, 10/15/2031*     1,061,000       834,759
      3,341,072
REITS — 0.8% 
American Tower Corp.      
2.30%, 09/15/2031     1,963,000     1,534,759
Apollo Commercial Real Estate Finance, Inc.      
4.63%, 06/15/2029*     1,120,000       878,327
Crown Castle, Inc.      
5.00%, 01/11/2028     1,406,000     1,380,257
5.20%, 02/15/2049       692,000       614,998
HAT Holdings I LLC/HAT Holdings II LLC      
3.38%, 06/15/2026*     1,214,000     1,090,211
Host Hotels & Resorts LP      
3.50%, 09/15/2030#     3,194,000     2,724,821
Ladder Capital Finance Holdings LLLP/Ladder Capital Finance Corp.      
4.25%, 02/01/2027*       885,000       800,348
LXP Industrial Trust      
2.38%, 10/01/2031       862,000        651,904
Security Description   Shares or
Principal
Amount
Value
 
REITS (continued) 
National Health Investors, Inc.      
3.00%, 02/01/2031   $  1,636,000 $    1,239,349
Office Properties Income Trust      
3.45%, 10/15/2031       978,000       497,473
Omega Healthcare Investors, Inc.      
3.25%, 04/15/2033     3,401,000     2,538,398
3.38%, 02/01/2031     1,868,000     1,508,801
Public Storage Operating Co.      
5.35%, 08/01/2053       546,000       533,720
Service Properties Trust      
4.38%, 02/15/2030     1,382,000     1,049,196
Starwood Property Trust, Inc.      
4.38%, 01/15/2027*       104,000        92,878
4.75%, 03/15/2025       930,000       899,067
Vornado Realty LP      
2.15%, 06/01/2026       802,000       693,236
Weyerhaeuser Co.      
4.00%, 03/09/2052       922,000       715,533
4.75%, 05/15/2026     2,010,000     1,978,753
      21,422,029
Retail — 0.7% 
Brinker International, Inc.      
5.00%, 10/01/2024*       794,000       781,201
CEC Entertainment LLC      
6.75%, 05/01/2026*       720,000       688,442
eG Global Finance PLC      
6.75%, 02/07/2025*       749,000       738,005
Ferrellgas LP/Ferrellgas Finance Corp.      
5.38%, 04/01/2026*       990,000       930,631
FirstCash, Inc.      
4.63%, 09/01/2028*       631,000       561,218
Ken Garff Automotive LLC      
4.88%, 09/15/2028*       754,000       655,822
Kohl's Corp.      
5.55%, 07/17/2045     3,682,000     2,331,037
LBM Acquisition LLC      
6.25%, 01/15/2029*     1,110,000       968,565
Lowe's Cos., Inc.      
4.45%, 04/01/2062       822,000       641,065
McDonald's Corp.      
3.63%, 09/01/2049     2,192,000     1,652,899
4.45%, 03/01/2047     1,570,000     1,355,564
4.80%, 08/14/2028     3,514,000     3,497,559
5.45%, 08/14/2053     1,966,000     1,967,307
Murphy Oil USA, Inc.      
4.75%, 09/15/2029       624,000       572,270
O'Reilly Automotive, Inc.      
3.60%, 09/01/2027     1,481,000     1,402,819
Park River Holdings, Inc.      
6.75%, 08/01/2029*       657,000       525,780
Specialty Building Products Holdings LLC/SBP Finance Corp.      
6.38%, 09/30/2026*       515,000       493,082
      19,763,266
Savings & Loans — 0.1% 
New York Community Bancorp, Inc.      
5.90%, 11/06/2028     3,254,000     3,130,295
Semiconductors — 0.5% 
Broadcom, Inc.      
2.45%, 02/15/2031*     3,001,000     2,419,387
3.19%, 11/15/2036*     2,211,000      1,661,647
 
24  

VALIC Company I Core Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Semiconductors (continued) 
Entegris Escrow Corp.      
5.95%, 06/15/2030*   $    720,000 $      689,483
Foundry JV Holdco LLC      
5.88%, 01/25/2034*     1,608,000     1,585,792
Intel Corp.      
5.20%, 02/10/2033     2,277,000     2,275,147
5.90%, 02/10/2063       791,000       795,086
QUALCOMM, Inc.      
6.00%, 05/20/2053       832,000       896,303
Texas Instruments, Inc.      
4.60%, 02/15/2028     1,423,000     1,415,967
5.00%, 03/14/2053     1,136,000     1,104,400
      12,843,212
Software — 0.6% 
Capstone Borrower, Inc.      
8.00%, 06/15/2030*       720,000       708,120
Central Parent LLC / CDK Global II LLC / CDK Financing Co., Inc.      
8.00%, 06/15/2029*       107,000       107,696
Central Parent, Inc./CDK Global, Inc.      
7.25%, 06/15/2029*       714,000       704,195
Fidelity National Information Services, Inc.      
5.63%, 07/15/2052     1,254,000     1,190,035
Fiserv, Inc.      
4.40%, 07/01/2049     2,399,000     1,960,858
5.63%, 08/21/2033     1,678,000     1,690,624
Helios Software Holdings, Inc./ION Corporate Solutions Finance SARL      
4.63%, 05/01/2028*       683,000       587,381
Open Text Corp.      
3.88%, 02/15/2028 to 12/01/2029*       645,000       548,943
Oracle Corp.      
2.30%, 03/25/2028     3,001,000     2,640,814
3.80%, 11/15/2037     3,939,000     3,176,557
4.00%, 11/15/2047     1,728,000     1,289,014
4.90%, 02/06/2033     1,117,000     1,067,006
5.55%, 02/06/2053     1,045,000       971,417
Rackspace Technology Global, Inc.      
3.50%, 02/15/2028*     1,095,000       519,747
      17,162,407
Telecommunications — 1.4% 
Altice France SA      
5.13%, 07/15/2029*       783,000       553,524
5.50%, 01/15/2028 to 10/15/2029*     1,167,000       846,224
8.13%, 02/01/2027*       215,000       181,705
AT&T, Inc.      
3.85%, 06/01/2060       836,000       570,064
4.50%, 05/15/2035     8,092,000     7,191,421
4.75%, 05/15/2046       971,000       810,626
4.90%, 08/15/2037     2,313,000     2,094,941
5.40%, 02/15/2034     1,388,000     1,347,886
Connect Finco SARL/Connect US Finco LLC      
6.75%, 10/01/2026*     1,306,000     1,238,946
Corning, Inc.      
5.45%, 11/15/2079     3,203,000     2,871,844
Iliad Holding SASU      
7.00%, 10/15/2028*       990,000       921,260
NTT Finance Corp.      
1.16%, 04/03/2026*     1,669,000      1,504,962
Security Description   Shares or
Principal
Amount
Value
 
Telecommunications (continued) 
Telefonica Emisiones SA      
4.90%, 03/06/2048   $  1,964,000 $    1,568,242
5.21%, 03/08/2047       500,000       419,052
Telesat Canada/Telesat LLC      
4.88%, 06/01/2027*       975,000       656,237
T-Mobile USA, Inc.      
3.00%, 02/15/2041     6,132,000     4,331,274
3.60%, 11/15/2060     1,296,000       867,920
5.65%, 01/15/2053#       563,000       549,178
Verizon Communications, Inc.      
2.85%, 09/03/2041     3,693,000     2,521,632
3.00%, 11/20/2060     2,347,000     1,378,157
3.40%, 03/22/2041     1,326,000       984,644
3.88%, 03/01/2052       910,000       682,036
5.05%, 05/09/2033#     1,654,000     1,604,907
Vodafone Group PLC      
4.38%, 02/19/2043       560,000       456,120
5.13%, 06/04/2081       743,000       517,987
5.63%, 02/10/2053#       568,000       535,972
5.75%, 02/10/2063     1,135,000     1,055,037
      38,261,798
Transportation — 0.4% 
Burlington Northern Santa Fe LLC      
4.45%, 03/15/2043     1,528,000     1,351,402
5.20%, 04/15/2054     1,797,000     1,768,095
Canadian Pacific Railway Co.      
4.70%, 05/01/2048     1,183,000     1,038,489
6.13%, 09/15/2115       621,000       644,267
Cargo Aircraft Management, Inc.      
4.75%, 02/01/2028*#     1,070,000       966,638
CSX Corp.      
4.50%, 11/15/2052#     1,423,000     1,237,294
FedEx Corp. Pass Through Trust      
1.88%, 08/20/2035     4,367,506     3,565,755
Ryder System, Inc.      
5.25%, 06/01/2028     1,342,000     1,325,149
      11,897,089
Trucking & Leasing — 0.3% 
AerCap Global Aviation Trust      
6.50%, 06/15/2045*       719,000       708,960
GATX Corp.      
3.25%, 09/15/2026     1,736,000     1,611,624
Penske Truck Leasing Co. LP/PTL Finance Corp.      
3.40%, 11/15/2026*     2,752,000     2,553,417
5.70%, 02/01/2028*       736,000       727,507
6.05%, 08/01/2028*     1,317,000     1,318,144
6.20%, 06/15/2030*       883,000       886,955
      7,806,607
Water — 0.0% 
Essential Utilities, Inc.      
3.35%, 04/15/2050     1,167,000       774,177
Total Corporate Bonds & Notes
(cost $1,086,457,108)
    985,269,827
ASSET BACKED SECURITIES — 1.5% 
Auto Loan Receivables — 0.6% 
CarMax Auto Owner Trust      
Series 2022-1, Class A2
0.91%, 02/18/2025
       27,961        27,911
Series 2023-1, Class A3
4.75%, 10/15/2027
    1,800,000      1,776,103
 
25

VALIC Company I Core Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
ASSET BACKED SECURITIES (continued) 
Auto Loan Receivables (continued) 
Ford Credit Floorplan Master Owner Trust      
Series 2018-4, Class A
4.06%, 11/15/2030
  $  3,025,000 $    2,857,491
GM Financial Consumer Automobile Receivables Trust      
Series 2022-4, Class A4
4.88%, 08/16/2028
    1,250,000     1,240,522
Honda Auto Receivables Owner Trust      
Series 2022-2, Class A4
3.76%, 12/18/2028
      700,000       676,898
Series 2023-2, Class A4
4.91%, 09/17/2029
      635,000       632,613
Series 2023-1, Class A4
4.97%, 06/21/2029
    1,500,000     1,495,089
Mercedes-Benz Auto Receivables Trust      
Series 2021-1, Class A3
0.46%, 06/15/2026
    1,287,072     1,242,265
Series 2023-1, Class A3
4.51%, 11/15/2027
    3,200,000     3,154,492
Toyota Auto Receivables Owner Trust      
Series 2023-B, Class A4
4.66%, 09/15/2028
    3,970,000     3,913,952
Volkswagen Auto Loan Enhanced Trust      
Series 2020-1, Class A4
1.26%, 08/20/2026
      590,000       582,511
      17,599,847
Credit Card Receivables — 0.7% 
American Express Credit Account Master Trust      
Series 2022-3, Class A
3.75%, 08/15/2027
    3,790,000     3,681,742
Series 2023-2, Class A
4.80%, 05/15/2030
      700,000       697,452
BA Credit Card Trust      
Series 2022-A1, Class A1
3.53%, 11/15/2027
    4,000,000     3,875,443
Series 2023-A1, Class A1
4.79%, 05/15/2028
      750,000       743,746
Capital One Multi-Asset Execution Trust      
Series 2021-A2, Class A2
1.39%, 07/15/2030
    4,488,000     3,801,925
Chase Issuance Trust      
Series 2022-A1, Class A
3.97%, 09/15/2027
    2,250,000     2,194,954
Discover Card Execution Note Trust      
Series 2022-A4, Class A
5.03%, 10/15/2027
    2,700,000     2,688,789
      17,684,051
Other Asset Backed Securities — 0.2% 
John Deere Owner Trust      
Series 2021-A, Class A4
0.62%, 12/15/2027
    1,340,000     1,266,829
Navient Private Education Loan Trust      
Series 2020-A, Class A2A
2.46%, 11/15/2068*
      960,193       885,936
Verizon Master Trust      
Series 2021-2, Class C
1.38%, 04/20/2028
    3,400,000     3,217,037
      5,369,802
Total Asset Backed Securities
(cost $41,370,020)
    40,653,700
Security Description   Shares or
Principal
Amount
Value
COLLATERALIZED MORTGAGE OBLIGATIONS — 1.2% 
Commercial and Residential — 0.8% 
BX Commercial Mtg. Trust FRS      
Series 2019-IMC, Class A
6.42%, (1M TSFR+1.11%), 04/15/2034*
  $  3,300,000 $    3,287,083
CAMB Commercial Mtg. Trust FRS      
Series 2019-LIFE, Class A
6.50%, (TSFR1M+1.18%), 12/15/2037*
      750,000       746,206
Chase Mtg. Finance Corp. VRS      
Series 2016-SH2, Class M2
3.75%, 12/25/2045*(2)
    1,015,846       898,735
Citigroup Commercial Mtg. Trust VRS      
Series 2018-C5, Class A4
4.23%, 06/10/2051(2)
    1,000,000       935,732
COMM Mtg. Trust VRS      
Series 2015-CR22, Class XA
0.95%, 03/10/2048(2)(4)
    3,317,659        29,350
Series 2016-787S, Class B
3.96%, 02/10/2036*(2)
    1,629,000     1,460,174
CSAIL Commercial Mtg. Trust      
Series 2019-C17, Class A2
3.00%, 09/15/2052
    1,900,000     1,832,130
Series 2015-C1, Class A4
3.51%, 04/15/2050
      490,000       470,097
MSDB Trust VRS      
Series 2017-712F, Class A
3.43%, 07/11/2039*(2)
    5,310,000     4,554,388
One Bryant Park Trust      
Series 2019-OBP, Class A
2.52%, 09/15/2054*
   11,400,000     9,259,281
Shellpoint Co-Originator Trust VRS      
Series 2017-2, Class A1
3.50%, 10/25/2047*(2)
      188,955       165,265
      23,638,441
U.S. Government Agency — 0.4% 
Federal Home Loan Mtg. Corp. REMIC      
Series 4740, Class BA
3.00%, 09/15/2045
      568,314       536,325
Federal Home Loan Mtg. Corp. REMIC FRS      
Series 3572, Class JS
1.50%, (6.69%-SOFR30A), 09/15/2039(4)(5)
      295,766        15,948
Federal National Mtg. Assoc. REMIC      
Series 2017-100, Class NP
3.00%, 12/25/2047
    2,434,961     2,150,472
Series 2018-27, Class EA
3.00%, 05/25/2048
    3,532,521     3,110,060
Series 2018-35, Class CD
3.00%, 05/25/2048
    3,675,575     3,178,540
Government National Mtg. Assoc. REMIC VRS      
Series 2013-118, Class B
2.50%, 10/16/2043(2)
    1,778,084     1,629,080
      10,620,425
Total Collateralized Mortgage Obligations
(cost $38,023,154)
    34,258,866
U.S. GOVERNMENT & AGENCY OBLIGATIONS — 58.6% 
U.S. Government — 12.6% 
United States Treasury Bonds      
1.25%, 05/15/2050     1,294,000       676,368
1.75%, 08/15/2041    14,146,000     9,504,896
1.88%, 02/15/2051 to 11/15/2051    19,903,000    12,242,995
2.00%, 11/15/2041 to 08/15/2051    18,129,000    12,443,735
2.25%, 02/15/2052    12,000,000      8,095,313
 
26  

VALIC Company I Core Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
U.S. GOVERNMENT & AGENCY OBLIGATIONS (continued) 
U.S. Government (continued) 
2.38%, 02/15/2042 to 05/15/2051   $ 73,831,000 $   52,796,207
3.00%, 11/15/2045 to 05/15/2047    10,021,000     7,971,182
3.25%, 05/15/2042     2,960,000     2,527,678
3.38%, 11/15/2048    13,798,000    11,726,144
3.63%, 02/15/2053 to 05/15/2053     5,723,000     5,158,940
3.88%, 05/15/2043       659,000       612,973
4.38%, 11/15/2039       105,000       106,435
United States Treasury Notes      
0.25%, 09/30/2023 to 05/15/2024     9,100,000     8,932,987
0.88%, 01/31/2024     3,363,000     3,300,995
1.25%, 12/31/2026     4,996,000     4,505,767
1.38%, 01/31/2025 to 11/15/2031     2,870,000     2,533,707
1.50%, 11/30/2024 to 01/31/2027     7,199,000     6,602,187
1.63%, 02/15/2026 to 11/30/2026     3,439,000     3,172,283
1.75%, 11/15/2029     3,200,000     2,782,750
1.88%, 02/28/2027    20,750,000    19,035,693
2.00%, 02/15/2025 to 11/15/2026#     2,113,000     2,009,397
2.13%, 09/30/2024     5,480,000     5,295,478
2.25%, 03/31/2024 to 10/31/2024    38,782,000    37,599,329
2.25%, 11/15/2024 to 08/15/2027#     4,172,000     4,001,831
2.38%, 08/15/2024#    10,000,000     9,717,578
2.38%, 05/15/2029       500,000       452,891
2.63%, 02/15/2029       171,000       157,427
2.75%, 07/31/2027#    37,000,000    34,830,586
3.00%, 07/31/2024 to 07/15/2025    60,000,000    58,328,906
3.88%, 08/15/2033     5,405,000     5,308,723
4.50%, 11/15/2025    15,000,000    14,908,594
      347,339,975
U.S. Government Agency — 46.0% 
Federal Home Loan Bank      
2.13%, 09/14/2029     7,765,000     6,842,695
3.25%, 11/16/2028#     1,000,000       951,953
5.50%, 07/15/2036       250,000       274,996
Federal Home Loan Mtg. Corp.      
1.50%, 04/01/2037    23,058,768    19,666,945
2.00%, 02/01/2036 to 04/01/2052   166,402,347   135,190,088
2.50%, 01/01/2028 to 07/01/2052    49,784,922    41,586,649
3.00%, 08/01/2027 to 11/01/2046    13,120,053    11,683,558
3.50%, 01/01/2032 to 02/01/2052    49,642,009    45,150,739
4.00%, 09/01/2040 to 06/01/2052    21,322,688    19,943,970
4.50%, 12/01/2039 to 07/01/2052    27,452,476    26,125,753
5.00%, 10/01/2033 to 01/01/2053    16,847,527    16,380,542
5.50%, 11/01/2032 to 01/01/2053    19,048,799    18,815,037
6.00%, 10/01/2033 to 03/01/2040       189,024       192,110
6.50%, 02/01/2035 to 05/01/2037        20,187        20,760
6.75%, 09/15/2029 to 03/15/2031       750,000       851,256
Federal Home Loan Mtg. Corp. FRS      
4.74%, (RFUCCT6M+1.49%), 02/01/2037        64,712        64,461
Federal National Mtg. Assoc.      
1.50%, 05/01/2036 to 03/01/2051    25,310,701    19,450,112
2.00%, 07/01/2035 to 03/01/2052   249,938,909   201,802,922
2.50%, 12/01/2026 to 05/01/2052   202,511,929   170,845,528
3.00%, 10/01/2027 to 04/01/2052   135,054,092   120,101,664
3.50%, 08/01/2026 to 04/01/2052    81,629,429    73,845,628
4.00%, 11/01/2025 to 08/01/2052    77,574,747    72,247,859
4.50%, 10/01/2024 to 10/01/2049    17,180,747    16,584,203
5.00%, 10/01/2024 to 10/01/2052    48,125,846    46,726,864
5.50%, 12/01/2029 to 04/01/2053    10,960,298    10,860,667
6.00%, 02/01/2032 to 07/01/2053    22,231,837    22,306,170
6.50%, 10/01/2037 to 11/01/2037        21,237         21,775
Security Description   Shares or
Principal
Amount
Value
 
U.S. Government Agency (continued) 
Federal National Mtg. Assoc. FRS      
4.07%, (12 ML+1.82%), 10/01/2040   $     79,681 $       81,288
4.08%, (12 ML+1.83%), 10/01/2040       271,344       275,755
4.10%, (12 ML+1.77%), 05/01/2040       429,084       435,643
4.71%, (12 ML+1.57%), 05/01/2037        67,988        68,666
5.18%, (12 ML+1.91%), 08/01/2035       291,527       296,162
5.34%, (1 Yr USTYCR+2.22%), 10/01/2035       411,220       416,465
5.34%, (1 Yr USTYCR+2.27%), 11/01/2036       182,813       185,833
6.22%, (RFUCCT6M+1.54%), 09/01/2035       527,774       531,004
Government National Mtg. Assoc.      
2.00%, 11/20/2050    11,063,585     9,159,483
2.50%, 05/20/2050 to 12/20/2051    56,291,927    47,941,197
3.00%, 02/20/2045 to 03/20/2052    67,115,234    59,379,938
3.50%, 03/20/2045 to 10/20/2047     1,866,515     1,719,519
4.00%, 03/20/2044 to 05/20/2048     2,263,994     2,143,758
4.50%, 05/15/2039 to 07/20/2052    24,932,256    23,839,107
5.50%, 12/15/2039 to 05/20/2053    17,233,891    17,064,311
6.00%, 10/15/2039        69,123        69,471
      1,262,142,504
Total U.S. Government & Agency Obligations
(cost $1,820,730,213)
    1,609,482,479
FOREIGN GOVERNMENT OBLIGATIONS — 0.6% 
Banks — 0.4% 
BNG Bank NV      
0.50%, 11/24/2025*     1,102,000       999,174
Development Bank of Japan, Inc.      
1.75%, 02/18/2025*     4,660,000     4,416,095
Industrial Bank of Korea      
1.04%, 06/22/2025*     5,213,000     4,806,560
      10,221,829
Regional(State/Province) — 0.1% 
Province of British Columbia Canada      
4.20%, 07/06/2033     3,516,000     3,425,960
Sovereign — 0.1% 
Republic of Italy      
3.88%, 05/06/2051#     1,462,000     1,022,508
United Mexican States      
4.28%, 08/14/2041     3,803,000     3,066,574
6.34%, 05/04/2053       545,000       544,024
      4,633,106
Total Foreign Government Obligations
(cost $20,050,372)
    18,280,895
COMMON STOCKS — 0.3% 
Oil Field Machinery & Equipment — 0.3% 
Hi-Crush, Inc.(6)(7)
(cost $746,075)
          123     7,242,978
PREFERRED STOCKS — 0.0% 
Sovereign — 0.0% 
Federal Home Loan Mtg. Corp.
Series Z
8.38%
(cost $108,728)
        7,042        15,492
 
27

VALIC Company I Core Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
ESCROWS AND LITIGATION TRUSTS — 0.0% 
Lehman Brothers Holdings, Inc.
Escrow Notes
5.50%, 04/04/2016
(cost $0)
      186,000   $          279
Total Long-Term Investment Securities
(cost $3,007,485,670)
      2,695,204,516
SHORT-TERM INVESTMENTS — 1.6% 
Unaffiliated Investment Companies — 1.6% 
State Street Institutional Liquid Reserves Fund, Premier Class
5.45%(8)
   30,893,405      30,902,673
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(8)(9)
   12,318,520      12,318,520
Total Short-Term Investments
(cost $43,218,104)
      43,221,193
TOTAL INVESTMENTS
(cost $3,050,703,774)
  99.7%   2,738,425,709
Other assets less liabilities   0.3   8,564,750
NET ASSETS   100.0%   $2,746,990,459
* Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. The Core Bond Fund has no right to demand registration of these securities. At August 31, 2023, the aggregate value of these securities was $303,317,229 representing 11.0% of net assets.
# The security or a portion thereof is out on loan.
Non-income producing security
(1) Perpetual maturity - maturity date reflects the next call date.
(2) 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.
(3) "Step-up" security where the rate increases ("steps-up") at a predetermined rate. The rate reflected is as of August 31, 2023.
(4) Interest Only
(5) Inverse Floating Rate Security that pays interest that varies inversely to changes in the market interest rates. The interest rate shown is the current interest rate at August 31, 2023.
(6) Securities classified as Level 3 (see Note 1).
(7) Denotes a restricted security that: (a) cannot be offered for public sale without first being registered, or being able to take advantage of an exemption from registration, under the Securities Act of 1933, as amended (the “1933 Act”); (b) is subject to a contractual restriction on public sales; or (c) is otherwise subject to a restriction on sales by operation of applicable law.  Restricted securities are valued pursuant to Note 1.  Certain restricted securities held by the Fund may not be sold except in exempt transactions or in a public offering registered under the 1933 Act. The Fund has no right to demand registration of these securities. The risk of investing in certain restricted securities is greater than the risk of investing in the securities of widely held, publicly traded companies. To the extent applicable, lack of a secondary market and resale restrictions may result in the inability of a Fund to sell a security at a fair price and may substantially delay the sale of the security. In addition, certain restricted securities may exhibit greater price volatility than securities for which secondary markets exist. As of August 31, 2023, the Fund held the following restricted securities:
Description   Acquisition
Date
  Shares or
Principal
Amount
  Acquisition
Cost
  Value   Value
Per Share
  % of
Net Assets
Common Stocks
Hi-Crush, Inc.   12/22/2021   123   $746,075   $7,242,978   $58,886.00   0.3%
(8) The rate shown is the 7-day yield as of August 31, 2023.
(9) At August 31, 2023, the Fund had loaned securities with a total value of $73,050,105. This was secured by collateral of $12,318,520, which was received in cash and subsequently invested in short-term investments currently valued at $12,318,520 as reported in the Portfolio of Investments. Additional collateral of $63,361,758 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
Federal Home Loan Mtg. Corp. 1.50% to 5.98% 06/25/2034 to 01/15/2055 $3,502,399
Federal National Mtg. Assoc. 0.00% to 6.78% 01/25/2027 to 12/25/2057 4,889,545
Government National Mtg. Assoc. 1.00% to 6.50% 08/20/2033 to 09/16/2065 31,825,406
United States Treasury Bills 0.00% 09/19/2023 to 01/25/2024 266,190
United States Treasury Notes/Bonds 0.00% to 6.25% 11/15/2023 to 08/15/2053 22,878,218
1 Yr USTYCR—1 Year US Treasury Yield Curve Rate
12 ML—12 Month USD LIBOR
1M TSFR—1 Month Term Secured Overnight Financing Rate
3 ML—3 Month USD LIBOR
3M TSFR—3 Month Term Secured Overnight Financing Rate
DAC—Designated Activity Company
FRS—Floating Rate Security
REMIC—Real Estate Mortgage Investment Conduit
RFUCCT6M—Refinitiv USD IBOR Consumer Cash Fallbacks Term 6 Month
SOFR30A—US 30 Day Average Secured Overnight Financing Rate
TSFR1M—Term Secured Overnight Financing Rate 1 Month
VRS—Variable Rate Security
The rates shown on FRS and/or VRS are the current interest rates at August 31, 2023 and unless noted otherwise, the dates shown are the original maturity dates.
 
28  

VALIC Company I Core Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Corporate Bonds & Notes $  $985,269,827   $  $985,269,827
Asset Backed Securities   40,653,700     40,653,700
Collateralized Mortgage Obligations   34,258,866     34,258,866
U.S. Government & Agency Obligations   1,609,482,479     1,609,482,479
Foreign Government Obligations   18,280,895     18,280,895
Common Stocks     7,242,978   7,242,978
Preferred Stocks 15,492       15,492
Escrows and Litigation Trusts   279     279
Short-Term Investments 43,221,193       43,221,193
Total Investments at Value $43,236,685   $2,687,946,046   $7,242,978   $2,738,425,709
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Level 3 investments in securities were not considered a significant portion of the Fund's net assets.
See Notes to Portfolio of Investments
29

VALIC Company I Dividend Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 96.5% 
Aerospace/Defense — 2.9% 
L3Harris Technologies, Inc.       60,969 $ 10,857,969
Northrop Grumman Corp.        8,770   3,798,199
RTX Corp.      113,741   9,786,276
      24,442,444
Agriculture — 1.0% 
British American Tobacco PLC ADR      244,439   8,115,375
Apparel — 0.3% 
Ralph Lauren Corp.       21,932   2,557,929
Auto Manufacturers — 1.4% 
General Motors Co.      353,206  11,835,933
Auto Parts & Equipment — 0.3% 
Lear Corp.       15,747   2,268,985
Banks — 7.7% 
Bank of America Corp.       95,481   2,737,440
Citigroup, Inc.      322,119  13,300,293
Citizens Financial Group, Inc.      126,919   3,570,231
First Citizens BancShares, Inc., Class A        8,204  11,160,722
JPMorgan Chase & Co.      104,802  15,335,677
PNC Financial Services Group, Inc.       22,820   2,755,059
Wells Fargo & Co.      362,083  14,950,407
      63,809,829
Beverages — 1.7% 
Coca-Cola Co.       97,920   5,858,554
Constellation Brands, Inc., Class A       15,701   4,091,052
Diageo PLC      111,000   4,560,839
      14,510,445
Biotechnology — 0.3% 
Gilead Sciences, Inc.       36,800   2,814,464
Building Materials — 0.9% 
Vulcan Materials Co.       34,650   7,562,363
Chemicals — 2.5% 
International Flavors & Fragrances, Inc.       46,060   3,244,927
Linde PLC       24,430   9,455,387
PPG Industries, Inc.       57,518   8,153,752
      20,854,066
Commercial Services — 0.2% 
Robert Half, Inc.       17,832   1,318,855
Computers — 4.1% 
Apple, Inc.       42,210   7,929,993
Cognizant Technology Solutions Corp., Class A      213,541  15,291,671
Leidos Holdings, Inc.      111,711  10,892,939
      34,114,603
Cosmetics/Personal Care — 2.1% 
Procter & Gamble Co.       41,320   6,377,329
Unilever PLC ADR      212,601  10,846,903
      17,224,232
Diversified Financial Services — 5.3% 
Apollo Global Management, Inc.      146,766  12,818,542
Capital One Financial Corp.       34,000   3,481,260
Intercontinental Exchange, Inc.       25,116   2,963,437
Mastercard, Inc., Class A       11,580   4,778,371
Raymond James Financial, Inc.       50,150   5,245,189
Visa, Inc., Class A       59,567  14,634,421
      43,921,220
Security Description   Shares or
Principal
Amount
Value
 
Electric — 4.0% 
American Electric Power Co., Inc.       57,630 $  4,518,192
Edison International       72,460   4,988,871
Exelon Corp.       78,149   3,135,338
PG&E Corp.      239,917   3,910,647
Public Service Enterprise Group, Inc.       59,273   3,620,395
Sempra      192,485  13,516,297
      33,689,740
Electronics — 0.4% 
Allegion PLC       14,956   1,702,142
Fortive Corp.       19,789   1,560,363
      3,262,505
Environmental Control — 0.5% 
Waste Management, Inc.       26,330   4,128,017
Food — 3.2% 
Kraft Heinz Co.      382,847  12,668,407
Mondelez International, Inc., Class A      109,661   7,814,443
Nestle SA ADR       49,190   5,909,195
      26,392,045
Healthcare-Products — 4.3% 
Baxter International, Inc.      301,533  12,242,240
Koninklijke Philips NV#      290,243   6,546,283
Medtronic PLC      140,937  11,486,365
Zimmer Biomet Holdings, Inc.       44,372   5,285,593
      35,560,481
Healthcare-Services — 3.8% 
Elevance Health, Inc.       17,771   7,854,960
Fortrea Holdings, Inc.       66,914   1,843,481
Humana, Inc.        6,397   2,953,047
Laboratory Corp. of America Holdings       63,626  13,240,571
UnitedHealth Group, Inc.       12,280   5,852,402
      31,744,461
Home Furnishings — 1.1% 
Panasonic Holdings Corp.      458,100   5,288,009
Sony Group Corp.       49,400   4,123,599
      9,411,608
Housewares — 0.2% 
Newell Brands, Inc.      126,297   1,336,222
Insurance — 6.4% 
Allstate Corp.       28,223   3,042,722
Chubb, Ltd.       27,650   5,554,055
Equitable Holdings, Inc.       72,662   2,092,666
Fidelity National Financial, Inc.      151,093   6,255,250
First American Financial Corp.        9,474     584,356
Hartford Financial Services Group, Inc.       58,539   4,204,271
MetLife, Inc.      132,419   8,387,419
Prudential Financial, Inc.       46,088   4,363,151
Prudential PLC      336,159   4,114,524
Travelers Cos., Inc.       38,430   6,196,069
Willis Towers Watson PLC       41,622   8,605,765
      53,400,248
Machinery-Construction & Mining — 0.5% 
Komatsu, Ltd.      132,900   3,790,749
Media — 3.2% 
Comcast Corp., Class A      436,008   20,387,734
 
30  

VALIC Company I Dividend Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Media (continued) 
Fox Corp., Class A      125,290 $  4,142,088
Walt Disney Co.       23,330   1,952,254
      26,482,076
Mining — 0.3% 
Freeport-McMoRan, Inc.       70,230   2,802,879
Miscellaneous Manufacturing — 0.2% 
Siemens AG       13,598   2,047,785
Oil & Gas — 5.5% 
BP PLC    2,016,805  12,455,075
Chesapeake Energy Corp.       35,070   3,093,525
ConocoPhillips       31,575   3,758,372
EQT Corp.       74,080   3,201,738
Hess Corp.        8,411   1,299,500
Pioneer Natural Resources Co.       17,850   4,247,050
Shell PLC      471,612  14,407,212
Suncor Energy, Inc.#       90,808   3,076,575
      45,539,047
Packaging & Containers — 1.0% 
Sealed Air Corp.      221,251   8,199,562
Pharmaceuticals — 8.7% 
AstraZeneca PLC       27,306   3,688,116
Bayer AG      131,492   7,206,166
Becton Dickinson & Co.       31,040   8,674,128
Cardinal Health, Inc.      101,215   8,839,106
Cencora, Inc.       14,537   2,558,221
Cigna Group       27,461   7,586,376
Eli Lilly & Co.        6,949   3,851,136
Johnson & Johnson       39,630   6,407,378
Merck & Co., Inc.       58,610   6,387,318
Novo Nordisk A/S ADR       18,245   3,386,637
Pfizer, Inc.       99,260   3,511,819
Sanofi       95,128  10,174,923
      72,271,324
Pipelines — 3.4% 
Enbridge, Inc.      194,680   6,829,374
Enterprise Products Partners LP      399,782  10,638,199
Williams Cos., Inc.      301,400  10,407,342
      27,874,915
Private Equity — 0.5% 
Carlyle Group, Inc.      122,494   3,962,681
REITS — 1.5% 
American Tower Corp.       27,800   5,040,696
AvalonBay Communities, Inc.       28,600   5,257,252
Public Storage        9,100   2,515,058
      12,813,006
Retail — 2.2% 
Dollar General Corp.       63,513   8,796,550
Home Depot, Inc.       20,240   6,685,272
Ross Stores, Inc.       26,233   3,195,442
      18,677,264
Semiconductors — 2.8% 
Broadcom, Inc.        6,250    5,768,062
Security Description   Shares or
Principal
Amount
  Value
 
Semiconductors (continued) 
Intel Corp.      120,912   $  4,248,848
Samsung Electronics Co., Ltd. GDR        6,519     8,233,497
Taiwan Semiconductor Manufacturing Co., Ltd. ADR       27,740     2,595,632
Texas Instruments, Inc.       12,280     2,063,777
        22,909,816
Software — 7.1% 
Activision Blizzard, Inc.       32,196     2,961,710
Fidelity National Information Services, Inc.      178,464     9,968,999
Microsoft Corp.       72,847    23,876,333
Oracle Corp.       45,990     5,536,736
SAP SE ADR       43,790     6,117,025
SS&C Technologies Holdings, Inc.      181,090    10,398,188
        58,858,991
Telecommunications — 3.6% 
AT&T, Inc.      221,553     3,276,769
Cisco Systems, Inc.      284,781    16,332,190
Rogers Communications, Inc., Class B       53,168     2,163,000
Verizon Communications, Inc.      239,948     8,393,381
        30,165,340
Transportation — 1.4% 
Union Pacific Corp.       34,471     7,603,268
United Parcel Service, Inc., Class B       21,880     3,706,472
        11,309,740
Total Long-Term Investment Securities
(cost $773,564,019)
      801,981,245
SHORT-TERM INVESTMENTS — 3.8% 
Unaffiliated Investment Companies — 3.8% 
State Street Institutional Liquid Reserves Fund, Premier Class
5.45%(1)
  24,560,499    24,567,867
State Street Institutional U.S. Government Money Market Fund, Premier Class
5.28%(1)
   1,398,429     1,398,429
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(1)(2)
   5,734,717     5,734,717
Total Short-Term Investments
(cost $31,698,557)
      31,701,013
TOTAL INVESTMENTS
(cost $805,262,576)
  100.3%   833,682,258
Other assets less liabilities   (0.3)   (2,893,488)
NET ASSETS   100.0%   $830,788,770
Non-income producing security
# The security or a portion thereof is out on loan.
(1) The rate shown is the 7-day yield as of August 31, 2023.
(2) At August 31, 2023, the Fund had loaned securities with a total value of $5,467,613.  This was secured by collateral of $5,734,717, which was received in cash and subsequently invested in short-term investments currently valued at $5,734,717 as reported in the Portfolio of Investments.
ADR—American Depositary Receipt
GDR—Global Depositary Receipt
 
31

VALIC Company I Dividend Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $801,981,245   $—   $—   $801,981,245
Short-Term Investments 31,701,013       31,701,013
Total Investments at Value $833,682,258   $—   $—   $833,682,258
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
See Notes to Portfolio of Investments
32  

VALIC Company I Dynamic Allocation Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
AFFILIATED INVESTMENT COMPANIES#(1) — 80.5% 
Domestic Equity Investment Companies — 52.3% 
VALIC Company I Capital Appreciation Fund      329,913 $  5,314,898
VALIC Company I Dividend Value Fund      751,426   8,370,890
VALIC Company I Growth Fund      449,984   5,480,799
VALIC Company I Large Capital Growth Fund      303,434   5,552,835
VALIC Company I Mid Cap Index Fund       61,937   1,516,846
VALIC Company I Mid Cap Strategic Growth Fund       94,892   1,502,135
VALIC Company I Mid Cap Value Fund      102,101   1,796,974
VALIC Company I Small Cap Growth Fund       32,730     469,996
VALIC Company I Small Cap Index Fund       44,302     618,454
VALIC Company I Small Cap Special Values Fund       86,358     987,941
VALIC Company I Small Cap Value Fund       26,727     300,684
VALIC Company I Stock Index Fund      253,181  12,195,753
VALIC Company I Systematic Core Fund      338,146   8,950,720
VALIC Company I Systematic Growth Fund      247,859   3,861,642
VALIC Company I Systematic Value Fund      940,672  11,852,470
VALIC Company I U.S. Socially Responsible Fund      405,574   7,353,051
Total Domestic Equity Investment Companies
(cost $79,311,874)
    76,126,088
Domestic Fixed Income Investment Companies — 18.4% 
VALIC Company I Core Bond Fund    1,833,280  17,544,489
VALIC Company I Government Securities Fund      658,740   6,066,996
VALIC Company I High Yield Bond Fund      168,209   1,145,503
VALIC Company I Inflation Protected Fund      215,441   2,016,530
Total Domestic Fixed Income Investment Companies
(cost $30,760,809)
    26,773,518
International Equity Investment Companies — 9.4% 
VALIC Company I Emerging Economies Fund      127,818     713,224
VALIC Company I Global Real Estate Fund      224,986   1,403,917
VALIC Company I International Equities Index Fund      332,853   2,506,381
VALIC Company I International Growth Fund      237,940   2,545,963
VALIC Company I International Opportunities Fund       28,762     395,476
VALIC Company I International Socially Responsible Fund       81,065   1,818,284
VALIC Company I International Value Fund      440,690   4,287,911
Total International Equity Investment Companies
(cost $14,419,197)
    13,671,156
International Fixed Income Investment Companies — 0.4% 
VALIC Company I International Government Bond Fund
(cost $641,531)
      57,028     545,185
Total Affiliated Investment Companies
(cost $125,133,411)
    117,115,947
U.S. GOVERNMENT & AGENCY OBLIGATIONS — 15.6% 
U.S. Government — 15.6% 
United States Treasury Notes      
1.25%, 08/15/2031(2)   $11,238,100   9,074,766
1.38%, 11/15/2031    2,637,900   2,137,832
1.63%, 05/15/2031      530,800     444,607
1.88%, 02/15/2032    1,913,800   1,608,564
2.75%, 08/15/2032      780,900      700,949
Security Description   Shares or
Principal
Amount
  Value
 
U.S. Government (continued) 
2.88%, 05/15/2032   $ 4,005,700   $  3,640,336
3.38%, 05/15/2033    3,120,000     2,939,138
3.50%, 02/15/2033      927,200       883,013
4.13%, 11/15/2032    1,295,700     1,295,093
Total U.S. Government & Agency Obligations
(cost $24,612,342)
      22,724,298
PURCHASED OPTIONS — 0.5% 
Purchased Options - Puts — 0.5% 
Over the Counter put option on the S&P 500 Index (Expiration Date: 01/19/2024; Strike Price: $3,850.00; Counterparty: Bank of America, N.A.)        2,500        66,333
Over the Counter put option on the S&P 500 Index (Expiration Date: 01/19/2024; Strike Price: $3,850.00; Counterparty: Citibank, N.A.)        2,500        66,334
Over the Counter put option on the S&P 500 Index (Expiration Date: 01/19/2024; Strike Price: $3,850.00; Counterparty: Goldman Sachs International)        4,500       119,401
Over the Counter put option on the S&P 500 Index (Expiration Date: 01/19/2024; Strike Price: $4,100.00; Counterparty: Bank of America, N.A.)        3,000       133,537
Over the Counter put option on the S&P 500 Index (Expiration Date: 02/16/2024; Strike Price: $4,200.00; Counterparty: Citibank, N.A.)        2,000       135,166
Over the Counter put option on the S&P 500 Index (Expiration Date: 03/15/2024; Strike Price: $3,750.00; Counterparty: UBS AG)        7,000       247,841
Total Purchased Options
(cost $1,434,427)
      768,612
Total Long-Term Investment Securities
(cost $151,180,180)
      140,608,857
SHORT-TERM INVESTMENTS — 4.3% 
Unaffiliated Investment Companies — 4.3% 
AllianceBernstein Government STIF Portfolio, Class AB
5.39%(3)
(cost $6,267,386)
   6,267,386     6,267,386
TOTAL INVESTMENTS
(cost $157,447,566)
  100.9%   146,876,243
Other assets less liabilities   (0.9)   (1,296,769)
NET ASSETS   100.0%   $145,579,474
# The VALIC Company I Dynamic Allocation Fund invests in various VALIC Company I Funds. Additional information on the underlying funds including such funds' prospectuses and shareholder reports are available at our website, www.corebridgefinancial.com/rs.
Non-income producing security
(1) See Note 3.
(2) The security or a portion thereof was pledged as collateral to cover margin requirements for open futures contracts.
(3) The rate shown is the 7-day yield as of August 31, 2023.
STIF—Short Term Investment Fund
 
Futures Contracts

Number
of
Contracts
Type Description Expiration
Month
Notional
Basis*
Notional
Value*
Unrealized
Appreciation
90 Long S&P 500 E-Mini Index September 2023 $20,316,744 $20,322,000 $5,256
* Notional basis refers to the contractual amount agreed upon at inception of the open contract; notional value represents the current value of the open contract.
33

VALIC Company I Dynamic Allocation Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Affiliated Investment Companies $117,115,947   $  $—   $117,115,947
U.S. Government & Agency Obligations   22,724,298     22,724,298
Purchased Options   768,612     768,612
Short-Term Investments 6,267,386       6,267,386
Total Investments at Value $123,383,333   $23,492,910   $—   $146,876,243
Other Financial Instruments:              
Futures Contracts $5,256   $  $—   $5,256
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Amounts represent unrealized appreciation/depreciation as of the end of the reporting period.
See Notes to Portfolio of Investments
34  

VALIC Company I Emerging Economies Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 98.0% 
Bermuda — 1.3% 
Credicorp., Ltd.       50,017 $  7,073,904
Kunlun Energy Co., Ltd.    3,220,000   2,356,794
      9,430,698
Brazil — 7.5% 
Ambev SA ADR    1,716,359   4,754,314
Banco do Brasil SA      748,937   7,123,299
BB Seguridade Participacoes SA      737,418   4,523,936
Cia Energetica de Minas Gerais ADR    1,584,796   3,866,902
Gerdau SA (Preference Shares)      693,153   3,618,301
Localiza Rent a Car SA      249,313   3,184,347
Petroleo Brasileiro SA (Preference Shares)    1,973,956  12,731,728
Porto Seguro SA      414,043   2,182,232
SLC Agricola SA      307,252   2,495,467
TIM SA      900,907   2,621,555
Vale SA      206,988   2,720,243
WEG SA      742,178   5,377,439
      55,199,763
British Virgin Islands — 0.4% 
Arcos Dorados Holdings, Inc.      294,462   2,906,340
Cayman Islands — 13.5% 
3SBio, Inc.*    2,112,000   1,766,654
Alibaba Group Holding, Ltd.    1,512,444  17,395,608
ASMPT, Ltd.      227,100   2,274,663
Budweiser Brewing Co. APAC, Ltd.*      830,100   1,799,422
JD.com, Inc., Class A      466,850   7,667,380
Meituan, Class B*      566,780   9,286,914
NetEase, Inc.      503,300  10,512,224
PDD Holdings, Inc. ADR       89,043   8,812,586
Sands China, Ltd.      629,200   2,130,135
Tencent Holdings, Ltd.      716,500  29,692,949
Vipshop Holdings, Ltd. ADR      165,159   2,607,861
Yihai International Holding, Ltd.    1,036,000   1,941,918
ZTO Express Cayman, Inc. ADR      124,235   3,123,268
      99,011,582
Chile — 0.7% 
Banco de Chile   20,139,306   2,196,848
Cencosud SA    1,324,798   2,835,861
      5,032,709
China — 17.4% 
Anhui Heli Co, Ltd., Class A      788,100   2,153,432
Anker Innovations Technology Co, Ltd.      199,700   2,292,515
Bank of Jiangsu Co, Ltd., Class A    4,291,276   4,196,977
Baoshan Iron & Steel Co, Ltd.    2,276,100   1,892,015
China CITIC Bank Corp., Ltd.    4,448,000   1,979,448
China Merchants Bank Co., Ltd.    1,514,000   5,984,686
China Merchants Energy Shipping Co., Ltd., Class A    4,576,918   3,697,847
China Pacific Insurance Group Co., Ltd.    2,293,200   5,251,726
China Resources Sanjiu Medical & Pharmaceutical Co., Ltd., Class A      432,100   2,820,131
CMOC Group, Ltd.    4,743,000   2,836,480
Contemporary Amperex Technology Co., Ltd., Class A      112,160   3,639,331
Dongfang Electric Corp., Ltd.#    2,517,600   2,905,287
ENN Natural Gas Co., Ltd., Class A    1,123,835   2,691,580
Foxconn Industrial Internet Co., Ltd.      774,100   2,326,484
GF Securities Co., Ltd.    2,340,000   3,341,855
Haier Smart Home Co., Ltd.      959,600   2,967,261
Hubei Jumpcan Pharmaceutical Co., Ltd.      458,105   1,645,111
Inner Mongolia Yili Industrial Group Co., Ltd., Class A      613,900    2,189,432
Security Description   Shares or
Principal
Amount
Value
 
China (continued) 
JA Solar Technology Co., Ltd.      497,340 $  1,898,572
Jiangsu Yuyue Medical Equipment & Supply Co., Ltd., Class A      493,200   2,294,095
Jiangxi Copper Co., Ltd.    2,248,000   3,508,581
Kweichow Moutai Co, Ltd., Class A       19,799   5,016,152
Laobaixing Pharmacy Chain JSC      406,178   1,429,663
Lens Technology Co., Ltd.    1,383,823   2,334,781
Midea Group Co., Ltd., Class A      284,000   2,201,427
PetroChina Co., Ltd.    7,826,000   5,648,200
PICC Property & Casualty Co., Ltd.    5,536,000   6,367,316
Ping An Bank Co., Ltd., Class A    1,887,300   2,881,354
Ping An Insurance Group Co. of China, Ltd.    1,231,500   7,372,653
Sanquan Food Co., Ltd.      941,977   1,900,700
Sichuan Road and Bridge Group Co, Ltd.    1,703,020   2,081,412
Sinopharm Group Co., Ltd.    1,000,000   2,900,916
Sinotrans, Ltd.    6,320,000   2,562,701
Suzhou Dongshan Precision Manufacturing Co, Ltd.      667,400   1,721,094
Tsingtao Brewery Co., Ltd.      626,000   5,216,434
Wuliangye Yibin Co, Ltd.      119,600   2,557,795
Xiamen Xiangyu Co., Ltd.    2,358,445   2,264,563
Yixintang Pharmaceutical Group Co., Ltd.      780,600   2,427,396
Yutong Bus Co, Ltd.    1,266,900   2,167,052
Zhuhai Huafa Properties Co., Ltd., Class A    1,467,300   2,111,324
Zhuzhou CRRC Times Electric Co, Ltd.    1,060,400   3,698,119
      127,373,898
Greece — 1.1% 
Mytilineos SA       76,985   3,125,444
National Bank of Greece SA      440,894   2,999,497
OPAP SA      127,895   2,160,681
      8,285,622
Hong Kong — 0.9% 
AIA Group, Ltd.      334,400   3,035,988
BYD Electronic International Co., Ltd.      754,500   3,497,175
      6,533,163
Hungary — 0.8% 
MOL Hungarian Oil & Gas PLC      322,986   2,445,087
OTP Bank Nyrt       88,659   3,621,855
      6,066,942
India — 10.8% 
Bank of Baroda    1,034,965   2,340,309
Bharat Electronics, Ltd.    3,986,085   6,430,315
Birlasoft, Ltd.      410,790   2,533,130
Britannia Industries, Ltd.       90,600   4,880,955
HCL Technologies, Ltd.      254,445   3,611,383
HDFC Bank, Ltd.      373,075   7,106,727
HDFC Bank, Ltd. ADR      122,319   7,621,697
Hindustan Petroleum Corp., Ltd.      685,995   2,055,841
ICICI Bank, Ltd. ADR      493,839  11,442,250
ITC, Ltd.      981,416   5,210,193
NCC, Ltd.    1,233,551   2,570,325
Oil & Natural Gas Corp., Ltd.    2,419,674   5,081,282
Power Finance Corp., Ltd.      982,138   3,063,759
Power Grid Corp. of India, Ltd.      767,116   2,271,615
Reliance Industries, Ltd. GDR*       39,057   2,269,212
Shriram Finance, Ltd.      102,213   2,376,785
State Bank of India      529,748   3,597,190
Triveni Turbine, Ltd.      547,975   2,601,328
Zensar Technologies, Ltd.      395,057   2,526,542
      79,590,838
 
35

VALIC Company I Emerging Economies Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Indonesia — 0.9% 
Bank Mandiri Persero Tbk PT   10,539,500 $  4,169,435
United Tractors Tbk PT    1,353,700   2,310,978
      6,480,413
Jersey — 0.6% 
Wizz Air Holdings Plc*       65,849   1,879,395
WNS Holdings, Ltd. ADR       32,511   2,124,594
      4,003,989
Mexico — 3.0% 
Arca Continental SAB de CV      382,963   3,739,676
Coca-Cola Femsa SAB de CV, ADR       30,579   2,591,264
Grupo Aeroportuario del Pacifico SAB de CV, Class B      185,055   3,383,857
Grupo Aeroportuario del Sureste SAB de CV, Class B      113,811   3,098,172
Grupo Financiero Banorte SAB de CV, Class O    1,080,971   9,175,621
      21,988,590
Panama — 0.7% 
Copa Holdings SA, Class A       53,593   5,450,408
Poland — 1.0% 
Bank Polska Kasa Opieki SA      172,829   4,520,021
Powszechny Zaklad Ubezpieczen SA      283,878   2,843,803
      7,363,824
Russia — 0.0% 
GAZPROM PJSC ADR(1)(2)    1,262,418           0
Magnitogorsk Iron & Steel Works PJSC(1)(2)    2,290,683           0
Sberbank of Russia PJSC(1)(2)    1,300,000           0
Severstal PAO GDR(1)(2)       75,082           0
      0
Saudi Arabia — 0.3% 
Etihad Etisalat Co.      204,784   2,465,172
South Africa — 4.9% 
Absa Group, Ltd.      457,123   4,412,441
African Rainbow Minerals, Ltd.      238,091   2,256,727
Bid Corp., Ltd.      136,358   3,067,459
Bidvest Group, Ltd.      215,442   3,250,739
Clicks Group, Ltd.      175,381   2,539,937
FirstRand, Ltd.    2,427,537   9,435,066
Sanlam, Ltd.      834,376   3,010,999
Shoprite Holdings, Ltd.      283,799   3,964,770
Standard Bank Group, Ltd.      418,099   4,277,517
      36,215,655
South Korea — 15.8% 
BGF retail Co., Ltd.       18,232   2,157,356
DB Insurance Co., Ltd.       38,848   2,401,272
Hana Financial Group, Inc.      130,877   3,916,161
Hyundai Glovis Co., Ltd.       15,634   2,040,374
Hyundai Motor Co.       37,649   5,386,363
Industrial Bank of Korea      288,220   2,346,319
KB Financial Group, Inc.       97,693   3,998,632
Kia Corp.      143,688   8,718,576
Korean Air Lines Co., Ltd.      148,456   2,560,845
Orion Corp.       27,092   2,496,543
Posco International Corp.#       34,705   2,079,543
Samsung C&T Corp.       52,532   4,161,226
Samsung Electro-Mechanics Co., Ltd.       25,139   2,575,238
Samsung Electronics Co., Ltd.      680,098  34,422,967
Samsung Electronics Co., Ltd. GDR*        1,599   2,019,537
Samsung Engineering Co., Ltd.       97,913    2,518,662
Security Description   Shares or
Principal
Amount
Value
 
South Korea (continued) 
Samsung Fire & Marine Insurance Co., Ltd.       14,849 $  2,769,267
Samsung Life Insurance Co., Ltd.       52,563   2,688,299
Samsung SDS Co., Ltd.       24,767   2,660,801
Samsung Securities Co. Ltd.       86,118   2,433,522
Shinhan Financial Group Co., Ltd.      249,468   6,709,731
SK Hynix, Inc.#      129,557  11,938,750
S-Oil Corp.       53,116   2,933,586
      115,933,570
Taiwan — 11.0% 
Accton Technology Corp.      214,000   3,212,033
Asia Vital Components Co., Ltd.      212,000   2,226,744
China Airlines, Ltd.    2,981,000   2,115,479
Largan Precision Co., Ltd.       41,835   2,692,972
Micro-Star International Co., Ltd.      408,000   2,043,427
Novatek Microelectronics Corp.      456,000   5,720,315
Realtek Semiconductor Corp.      299,000   3,924,513
Taiwan Semiconductor Manufacturing Co., Ltd.    3,189,000  54,974,989
United Microelectronics Corp.    2,908,000   4,154,742
      81,065,214
Thailand — 1.8% 
Bangkok Bank PCL      444,700   2,152,542
Krung Thai Bank PCL    7,515,900   4,142,411
PTT Exploration & Production PCL    1,489,000   6,739,673
      13,034,626
Turkey — 0.7% 
BIM Birlesik Magazalar AS      275,463   2,599,967
Ford Otomotiv Sanayi AS       81,412   2,628,498
      5,228,465
United Arab Emirates — 0.6% 
Emaar Properties PJSC    2,274,658   4,372,199
United Kingdom — 1.1% 
Anglo American PLC      173,099   4,606,012
Rio Tinto PLC       53,137   3,279,871
      7,885,883
 
36  

VALIC Company I Emerging Economies Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
COMMON STOCKS (continued) 
United States — 1.2% 
Yum China Holdings, Inc.      156,657   $  8,410,914
TOTAL INVESTMENTS
(cost $756,805,985)
  98.0%   719,330,477
Other assets less liabilities   2.0   14,586,990
NET ASSETS   100.0%   $733,917,467
* Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. The Emerging Economies Fund has no right to demand registration of these securities. At August 31, 2023, the aggregate value of these securities was $19,021,134 representing 2.6% of net assets.
Non-income producing security
# The security or a portion thereof is out on loan.
At August 31, 2023, the Fund had loaned securities with a total value of $11,035,705.  This was secured by collateral of $11,654,099 received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows: 
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
United States Treasury Notes/Bonds 0.13% to 4.25% 06/30/2024 to 08/15/2051 $11,654,099
(1) Securities classified as Level 3 (see Note 1).
(2) Denotes a restricted security that: (a) cannot be offered for public sale without first being registered, or being able to take advantage of an exemption from registration, under the Securities Act of 1933, as amended (the “1933 Act”); (b) is subject to a contractual restriction on public sales; or (c) is otherwise subject to a restriction on sales by operation of applicable law.  Restricted securities are valued pursuant to Note 1.  Certain restricted securities held by the Fund may not be sold except in exempt transactions or in a public offering registered under the 1933 Act. The Fund has no right to demand registration of these securities. The risk of investing in certain restricted securities is greater than the risk of investing in the securities of widely held, publicly traded companies. To the extent applicable, lack of a secondary market and resale restrictions may result in the inability of a Fund to sell a security at a fair price and may substantially delay the sale of the security. In addition, certain restricted securities may exhibit greater price volatility than securities for which secondary markets exist. As of August 31, 2023, the Fund held the following restricted securities:
Description   Acquisition
Date
  Shares or
Principal
Amount
  Acquisition
Cost
  Value   Value
Per Share
  % of
Net Assets
Common Stocks
GAZPROM PJSC ADR   06/10/2021   1,262,418   $4,856,005   $0   $0.00   0.0%
Description   Acquisition
Date
  Shares or
Principal
Amount
  Acquisition
Cost
  Value   Value
Per Share
  % of
Net Assets
Common Stocks (continued)
Magnitogorsk Iron & Steel Works PJSC                        
    12/14/2020   6,702   $4,530            
    12/16/2020   187,873   134,493            
    02/10/2021   2,096,108   1,468,240            
        2,290,683   1,607,263   $0   $0.00   0.0%
Sberbank of Russia PJSC                        
    11/12/2020   664,800   2,189,656            
    11/20/2020   136,860   443,444            
    12/14/2020   29,992   120,624            
    12/16/2020   137,196   538,640            
    11/24/2021   331,152   1,424,053            
        1,300,000   4,716,417   0   0.00   0.0
Severstal PAO GDR                        
    10/30/2020   51,320   695,308            
    11/20/2020   10,696   154,403            
    12/14/2020   2,344   39,368            
    12/16/2020   10,722   184,609            
        75,082   1,073,688   0   0.00   0.0
                $0       0.0%**
** Amount represents the total value of the restricted securities divided by the net assets of the Fund and may not equal the sum of the individual percentages shown due to rounding.
ADR—American Depositary Receipt
GDR—Global Depositary Receipt
 
Industry Allocation*   
Banks 17.2%
Semiconductors 16.2
Internet 10.4
Oil & Gas 5.7
Insurance 5.4
Food 3.5
Beverages 3.5
Retail 2.8
Auto Manufacturers 2.6
Mining 2.6
Engineering & Construction 2.4
Diversified Financial Services 2.3
Software 2.2
Transportation 1.8
Electronics 1.7
Airlines 1.7
Machinery-Diversified 1.4
37

VALIC Company I Emerging Economies Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Industry Allocation* (continued)  
Computers 1.3%
Electric 1.2
Miscellaneous Manufacturing 1.2
Iron/Steel 1.2
Telecommunications 1.1
Home Furnishings 1.0
Pharmaceuticals 1.0
Real Estate 0.9
Aerospace/Defense 0.9
Commercial Services 0.8
Agriculture 0.7
Auto Parts & Equipment 0.5
Electrical Components & Equipment 0.4
Gas 0.4
Textiles 0.3
Healthcare-Products 0.3
Entertainment 0.3
Lodging 0.3
Distribution/Wholesale 0.3
Energy-Alternate Sources 0.3
Biotechnology 0.2
  98.0%
* Calculated as a percentage of net assets
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks:              
Russia $  $—   $0   $0
Other Countries 719,330,477       719,330,477
Total Investments at Value $719,330,477   $—   $0   $719,330,477
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Level 3 investments in securities were not considered a significant portion of the Fund's net assets.
See Notes to Portfolio of Investments
38  

VALIC Company I Global Real Estate Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 98.1% 
Australia — 4.7% 
Goodman Group#     252,755 $  3,825,728
National Storage REIT   2,606,577   3,918,321
NEXTDC, Ltd.#     201,165   1,764,869
Region RE, Ltd.      21,150      29,601
Rural Funds Group     182,956     256,060
Scentre Group   1,643,895   2,929,195
      12,723,774
Belgium — 1.1% 
Aedifica SA      18,980   1,271,904
Warehouses De Pauw CVA      60,120   1,721,047
      2,992,951
Canada — 2.6% 
Boardwalk Real Estate Investment Trust      17,600     890,551
Brookfield Asset Management, Ltd., Class A #      21,725     750,696
Canadian Apartment Properties REIT      37,138   1,332,208
Granite Real Estate Investment Trust      74,688   4,161,125
      7,134,580
France — 0.9% 
Klepierre SA      88,495   2,341,414
Germany — 1.5% 
LEG Immobilien SE       8,745     631,544
Vonovia SE     145,431   3,486,707
      4,118,251
Guernsey — 0.6% 
Shurgard Self Storage, Ltd.      37,857   1,738,479
Hong Kong — 2.8% 
Hang Lung Properties, Ltd.     863,000   1,153,256
Link REIT     473,700   2,349,669
Sino Land Co., Ltd.     864,000     990,438
Swire Properties, Ltd.   1,468,400   3,070,733
      7,564,096
India — 0.2% 
Embassy Office Parks REIT     147,022     540,058
Japan — 8.5% 
Heiwa Real Estate Co., Ltd.      24,600     661,095
Japan Hotel REIT Investment Corp.       1,580     801,430
Japan Logistics Fund, Inc.         643   1,347,916
Japan Metropolitan Fund Investment Corp.#       1,278     859,056
Katitas Co., Ltd.#     111,700   1,784,958
Mitsubishi Estate Co., Ltd.     444,200   5,686,261
Mitsui Fudosan Co., Ltd.     253,000   5,550,541
Mitsui Fudosan Logistics Park, Inc.         612   2,084,237
Nomura Real Estate Holdings, Inc.      33,900     854,635
Orix JREIT, Inc.#       2,380   2,962,425
Star Asia Investment Corp.       1,847     735,017
      23,327,571
Mexico — 1.2% 
Corp Inmobiliaria Vesta SAB de CV#     550,208   2,034,258
Prologis Property Mexico SA de CV     382,866   1,341,900
      3,376,158
Singapore — 3.7% 
CapitaLand Ascendas REIT   1,255,300   2,572,926
CapitaLand India Trust(1)   2,081,608   1,786,722
CapitaLand Integrated Commercial Trust   1,746,200    2,467,899
Security Description   Shares or
Principal
Amount
Value
 
Singapore (continued) 
CapitaLand Investment, Ltd.   1,062,400 $  2,547,024
Parkway Life Real Estate Investment Trust     277,800     789,339
      10,163,910
Spain — 1.3% 
Cellnex Telecom SA*      43,942   1,681,993
Merlin Properties Socimi SA     202,185   1,813,110
      3,495,103
Sweden — 1.4% 
Castellum AB     218,392   2,333,823
Catena AB      41,585   1,519,295
      3,853,118
United Kingdom — 7.7% 
Big Yellow Group PLC     138,802   1,890,219
Derwent London PLC      62,965   1,482,016
Grainger PLC     840,075   2,513,656
Helios Towers PLC   1,223,501   1,412,761
Safestore Holdings PLC     218,005   2,387,477
Segro PLC     328,997   3,073,285
Shaftesbury Capital PLC   1,467,079   2,185,590
UNITE Group PLC     510,827   6,086,119
      21,031,123
United States — 59.9% 
Alexandria Real Estate Equities, Inc.      36,530   4,249,900
American Homes 4 Rent, Class A     174,428   6,286,385
American Tower Corp.      17,104   3,101,297
Apartment Income REIT Corp.      69,895   2,380,624
AvalonBay Communities, Inc.      30,888   5,677,832
Brixmor Property Group, Inc.     239,040   5,254,099
CubeSmart     128,589   5,363,447
Digital Realty Trust, Inc.      48,445   6,381,175
Douglas Emmett, Inc.      38,017     519,692
Encompass Health Corp.      27,197   1,932,075
Equinix, Inc.      18,204  14,224,242
Equity LifeStyle Properties, Inc.      47,606   3,187,698
Essex Property Trust, Inc.      11,161   2,660,671
Extra Space Storage, Inc.      34,330   4,417,584
Farmland Partners, Inc.#      46,068     511,355
Federal Realty Investment Trust      19,122   1,872,809
Healthpeak Properties, Inc.     124,375   2,559,637
Host Hotels & Resorts, Inc.      49,270     777,973
Lamar Advertising Co., Class A       9,064     826,818
Mid-America Apartment Communities, Inc.      27,055   3,929,198
NNN REIT, Inc.      56,042   2,207,494
Phillips Edison & Co., Inc.      56,946   1,928,192
Prologis, Inc.     196,476  24,402,319
Public Storage      18,060   4,991,423
Rayonier, Inc.      77,688   2,322,871
Realty Income Corp.      82,800   4,640,112
Regency Centers Corp.      41,270   2,566,994
Rexford Industrial Realty, Inc.      96,558   5,162,956
Ryman Hospitality Properties, Inc.      17,985   1,529,265
SBA Communications Corp.      18,356   4,121,473
Simon Property Group, Inc.      16,239   1,842,964
Sun Communities, Inc.      61,699   7,553,192
UDR, Inc.      89,000   3,551,100
Universal Health Services, Inc., Class B      14,473   1,949,513
Urban Edge Properties      47,623     779,112
Ventas, Inc.     106,920   4,670,266
VICI Properties, Inc.     169,495    5,227,226
 
39

VALIC Company I Global Real Estate Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
COMMON STOCKS (continued) 
United States (continued) 
Welltower, Inc.      71,725   $  5,944,568
Weyerhaeuser Co.      64,779     2,121,512
        163,627,063
Total Long-Term Investment Securities
(cost $289,317,245)
      268,027,649
SHORT-TERM INVESTMENTS — 2.0% 
Sovereign — 1.1% 
Federal Home Loan Bank
5.17%, 09/01/2023
  $3,005,000     3,005,000
Unaffiliated Investment Companies — 0.9% 
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(2)(3)
  2,328,880     2,328,880
Total Short-Term Investments
(cost $5,333,880)
      5,333,880
TOTAL INVESTMENTS
(cost $294,651,125)
  100.1%   273,361,529
Other assets less liabilities   (0.1)   (231,272)
NET ASSETS   100.0%   $273,130,257
# The security or a portion thereof is out on loan.
Non-income producing security
* Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. The Global Real Estate Fund has no right to demand registration of these securities. At August 31, 2023, the aggregate value of these securities was $1,681,993 representing 0.6% of net assets.
(1) Consists of more than one type of securities traded together as a unit.
(2) The rate shown is the 7-day yield as of August 31, 2023.
(3) At August 31, 2023, the Fund had loaned securities with a total value of $8,019,584. This was secured by collateral of $2,328,880, which was received in cash and subsequently invested in short-term investments currently valued at $2,328,880 as reported in the Portfolio of Investments. Additional collateral of $6,157,026 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
United States Treasury Bills 0.00% 09/21/2023 to 12/28/2023 $423,212
United States Treasury Notes/Bonds 0.13% to 6.62% 10/31/2023 to 11/15/2052 5,733,814
CVA—Certification Van Aandelen (Dutch Cert.)
 
Industry Allocation*   
REITS 80.8%
Real Estate 12.3
Short-Term Investments 2.0
Healthcare-Services 1.4
Engineering & Construction 1.1
Private Equity 0.9
Telecommunications 0.7
Building Materials 0.6
Diversified Financial Services 0.3
  100.1%
* Calculated as a percentage of net assets
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $268,027,649   $  $—   $268,027,649
Short-Term Investments:              
Sovereign   3,005,000     3,005,000
Other Short-Term Investments 2,328,880       2,328,880
Total Investments at Value $270,356,529   $3,005,000   $—   $273,361,529
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
See Notes to Portfolio of Investments
40  

VALIC Company I Global Strategy Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 59.9% 
Australia — 1.4% 
Aristocrat Leisure, Ltd.            5,391 $    142,868
BHP Group, Ltd.           28,638     832,236
BlueScope Steel, Ltd.           13,564     184,653
Brambles, Ltd.           14,367     139,357
Cochlear, Ltd.#              820     144,248
Fortescue Metals Group, Ltd.            9,389     130,372
Goodman Group           43,284     655,151
Lottery Corp., Ltd.           43,273     141,315
Macquarie Group, Ltd.            1,062     122,162
Pilbara Minerals, Ltd.#           93,402     282,628
Sonic Healthcare, Ltd.            5,616     117,027
Stockland           44,760     122,969
      3,014,986
Austria — 0.1% 
OMV AG            3,163     146,692
Belgium — 0.1% 
KBC Group NV            1,782     117,021
Solvay SA, Class A            1,474     170,862
      287,883
Bermuda — 0.4% 
Arch Capital Group, Ltd.            6,962     535,099
Everest Group, Ltd.              354     127,681
Jardine Matheson Holdings, Ltd.            3,000     142,680
      805,460
Brazil — 0.6% 
B3 SA - Brasil Bolsa Balcao           43,300     113,058
Gerdau SA (Preference Shares)           33,400     174,350
Itau Unibanco Holding SA (Preference Shares)           24,600     136,263
Itausa SA (Preference Shares)          101,589     189,554
Petroleo Brasileiro SA           17,200     119,968
Petroleo Brasileiro SA (Preference Shares)           74,600     481,159
      1,214,352
Canada — 1.4% 
ARC Resources, Ltd.            8,800     134,227
Canadian National Railway Co.            1,000     112,641
CCL Industries, Inc.            2,600     116,203
CGI, Inc.            2,200     229,411
Constellation Software, Inc.              100     205,407
Dollarama, Inc.            5,300     343,645
Fairfax Financial Holdings, Ltd.              400     329,861
George Weston, Ltd.              900      99,811
Great-West Lifeco, Inc.#            6,300     181,046
Hydro One, Ltd.*#            6,700     174,144
iA Financial Corp., Inc.            3,000     188,210
Imperial Oil, Ltd.#            2,500     141,966
Loblaw Cos., Ltd.            1,400     121,568
Manulife Financial Corp.            6,600     122,016
Open Text Corp.#            3,000     120,893
TFI International, Inc.            1,500     204,396
Thomson Reuters Corp.#            1,060     136,493
      2,961,938
Cayman Islands — 0.5% 
Alibaba Group Holding, Ltd.           11,800     135,719
CK Asset Holdings, Ltd.           19,000     104,905
CK Hutchison Holdings, Ltd.           22,000     119,926
JD.com, Inc., Class A            6,900      113,323
Security Description   Shares or
Principal
Amount
Value
 
Cayman Islands (continued) 
NetEase, Inc.            6,600 $    137,852
PDD Holdings, Inc. ADR            4,900     484,953
      1,096,678
Chile — 0.1% 
Sociedad Quimica y Minera de Chile SA, Class B (Preference Shares)            2,838     175,759
China — 0.3% 
China Construction Bank Corp.          244,000     130,675
Nongfu Spring Co., Ltd.*           22,400     125,819
PetroChina Co., Ltd.          386,000     278,585
      535,079
Denmark — 1.0% 
Novo Nordisk A/S, Class B           10,618   1,968,156
Pandora A/S            1,767     183,510
      2,151,666
France — 1.6% 
Air Liquide SA              793     143,481
BNP Paribas SA            1,861     120,493
Carrefour SA           11,589     222,051
Cie Generale des Etablissements Michelin SCA            3,844     120,504
Credit Agricole SA           10,673     134,898
Eiffage SA            1,153     114,173
Engie SA           34,881     563,188
EssilorLuxottica SA              677     127,661
Hermes International SCA               88     181,380
L'Oreal SA              761     334,862
LVMH Moet Hennessy Louis Vuitton SE              150     127,227
Orange SA           10,457     117,450
Publicis Groupe SA            1,585     123,849
Renault SA            3,078     124,611
Safran SA              794     127,683
Sanofi            1,208     129,208
Societe Generale SA            4,824     137,128
Thales SA              780     114,013
TotalEnergies SE            2,361     148,668
Vinci SA            1,120     125,042
      3,337,570
Germany — 1.6% 
Allianz SE              568     138,180
Bayerische Motoren Werke AG            2,249     236,969
Beiersdorf AG            1,346     176,312
Commerzbank AG           11,414     125,624
Deutsche Bank AG           11,685     127,365
Deutsche Boerse AG              814     144,624
Deutsche Telekom AG           10,447     223,641
E.ON SE           44,081     543,956
Hannover Rueck SE              610     129,810
Heidelberg Materials AG            2,834     228,266
Infineon Technologies AG           16,983     607,989
Mercedes-Benz Group AG            4,954     362,816
Muenchener Rueckversicherungs-Gesellschaft AG              354     137,499
RWE AG            2,805     115,763
      3,298,814
Hong Kong — 0.2% 
CSPC Pharmaceutical Group, Ltd.          170,000     127,895
Lenovo Group, Ltd.          126,000     142,511
Sun Hung Kai Properties, Ltd.           10,500     118,224
      388,630
 
41

VALIC Company I Global Strategy Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Hungary — 0.1% 
OTP Bank Nyrt            4,999 $    204,217
India — 0.7% 
Asian Paints, Ltd.            6,792     267,049
Dr Reddy's Laboratories, Ltd.            1,915     130,002
Hindustan Unilever, Ltd.            3,877     117,596
ITC, Ltd.           55,237     293,245
Nestle India, Ltd.              697     185,098
Power Grid Corp. of India, Ltd.           39,802     117,863
Tata Consultancy Services, Ltd.            7,488     304,002
      1,414,855
Indonesia — 0.1% 
Astra International Tbk PT          272,700     115,490
Bank Central Asia Tbk PT          238,600     143,740
      259,230
Ireland — 0.5% 
Aon PLC, Class A              300     100,017
Bank of Ireland Group PLC           11,683     116,525
CRH PLC            2,975     171,362
Eaton Corp. PLC            1,300     299,481
Linde PLC              900     348,336
      1,035,721
Israel — 0.2% 
Bank Leumi Le-Israel BM           13,484     104,843
Check Point Software Technologies, Ltd.            1,968     264,873
      369,716
Italy — 0.8% 
Assicurazioni Generali SpA            9,189     190,613
Enel SpA           19,819     133,457
Intesa Sanpaolo SpA           49,937     133,857
Mediobanca Banca di Credito Finanziario SpA            9,892     129,468
Prysmian SpA            3,128     128,178
UniCredit SpA           35,761     875,013
      1,590,586
Japan — 4.4% 
Advantest Corp.            1,300     163,600
Ajinomoto Co., Inc.            3,700     156,982
Asahi Group Holdings, Ltd.            4,900     191,157
Asahi Kasei Corp.           16,400     106,158
Astellas Pharma, Inc.            8,000     121,764
Canon, Inc.            4,700     115,905
Capcom Co., Ltd.            3,200     135,108
Chubu Electric Power Co., Inc.           12,200     163,092
Daiwa House Industry Co., Ltd.           12,100     336,649
Disco Corp.            1,200     237,080
Hankyu Hanshin Holdings, Inc.            4,200     150,974
Hitachi, Ltd.            2,000     133,255
Hoya Corp.            1,300     144,345
Japan Exchange Group, Inc.            7,100     124,096
Japan Post Holdings Co., Ltd.           18,000     138,190
JFE Holdings, Inc.            9,200     145,656
Kansai Electric Power Co., Inc.           13,800     196,716
KDDI Corp.            3,900     115,932
Kirin Holdings Co., Ltd.            8,100     113,905
Komatsu, Ltd.            5,900     168,288
Kyocera Corp.            2,400     123,353
Marubeni Corp.           26,500     434,305
MatsukiyoCocokara & Co.            2,300      135,555
Security Description   Shares or
Principal
Amount
Value
 
Japan (continued) 
Mitsubishi Corp.            3,100 $    153,322
Mitsubishi Electric Corp.           12,700     165,760
Mitsubishi Heavy Industries, Ltd.            5,900     335,359
Mitsubishi UFJ Financial Group, Inc.           20,500     163,935
Mitsui & Co., Ltd.            4,700     175,473
MS&AD Insurance Group Holdings, Inc.            3,400     122,451
NEC Corp.            4,600     243,002
Nintendo Co., Ltd.            2,900     124,914
Nippon Steel Corp.#           16,000     379,065
Nippon Telegraph & Telephone Corp.          190,900     220,822
Nitto Denko Corp.#            2,900     198,303
Ono Pharmaceutical Co., Ltd.            7,000     132,860
Otsuka Holdings Co., Ltd.            7,300     278,262
Pan Pacific International Holdings Corp.            6,800     135,748
Panasonic Holdings Corp.           10,600     122,360
Renesas Electronics Corp.           26,300     442,958
Shimadzu Corp.            4,200     123,724
Shimano, Inc.              800     117,667
Shin-Etsu Chemical Co., Ltd.           14,100     451,506
Shionogi & Co., Ltd.            2,500     110,262
Sompo Holdings, Inc.            2,800     122,146
Subaru Corp.           10,600     204,685
Sumitomo Corp.            6,900     142,226
Sumitomo Mitsui Financial Group, Inc.            2,800     128,573
Sumitomo Realty & Development Co., Ltd.            5,000     128,149
Takeda Pharmaceutical Co., Ltd.            4,200     130,132
Tokyo Gas Co., Ltd.            7,200     167,115
Toyota Tsusho Corp.            2,200     131,475
Yakult Honsha Co., Ltd.            2,000     104,938
      9,309,257
Liberia — 0.1% 
Royal Caribbean Cruises, Ltd.            1,191     117,837
Luxembourg — 0.1% 
ArcelorMittal SA (XAMS)            7,223     192,126
Tenaris SA            7,635     122,198
      314,324
Mexico — 0.2% 
Fomento Economico Mexicano SAB de CV           14,500     162,344
Grupo Bimbo SAB de CV, Class A           23,100     113,654
Grupo Financiero Banorte SAB de CV, Class O           15,200     129,023
      405,021
Netherlands — 1.8% 
ABN AMRO Bank NV CVA*#            7,657     112,878
CNH Industrial NV            8,955     124,098
EXOR NV            2,025     179,485
ING Groep NV            9,878     140,317
Koninklijke Ahold Delhaize NV           13,705     448,431
Koninklijke KPN NV           36,630     128,176
LyondellBasell Industries NV, Class A            2,253     222,529
NN Group NV#            3,715     143,249
NXP Semiconductors NV              588     120,963
QIAGEN NV            2,695     123,293
Stellantis NV           43,307     806,584
STMicroelectronics NV           13,906     658,424
Universal Music Group NV#            5,958     147,882
Wolters Kluwer NV            3,206     386,579
      3,742,888
 
42  

VALIC Company I Global Strategy Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Norway — 0.1% 
Equinor ASA            4,253 $    131,290
Telenor ASA           12,115     129,791
      261,081
Portugal — 0.1% 
Jeronimo Martins SGPS SA            4,858     123,793
Russia — 0.0% 
MMC Norilsk Nickel PJSC(1)              563           0
Saudi Arabia — 0.0% 
Dr. Sulaiman Al Habib Medical Services Group Co.            1,761     114,093
Singapore — 0.2% 
CapitaLand Ascendas REIT           58,400     119,700
Singapore Airlines, Ltd.           22,800     115,902
United Overseas Bank, Ltd.            5,400     113,638
      349,240
South Africa — 0.2% 
AngloGold Ashanti, Ltd.            6,482     110,779
FirstRand, Ltd.           33,593     130,566
Gold Fields, Ltd.#            8,842     113,712
Sasol, Ltd.            9,134     118,140
      473,197
South Korea — 0.7% 
Hana Financial Group, Inc.            6,068     181,570
Hyundai Mobis Co., Ltd.            1,207     210,945
KB Financial Group, Inc.            7,876     322,369
Kia Corp.            2,381     144,472
LG Electronics, Inc.            1,386     103,288
Samsung C&T Corp.            1,689     133,791
Samsung Electronics Co., Ltd. (Preference Shares)            2,784     113,740
Shinhan Financial Group Co., Ltd.            8,411     226,224
      1,436,399
Spain — 0.8% 
Banco Bilbao Vizcaya Argentaria SA           30,630     241,331
Endesa SA            6,543     136,080
Iberdrola SA           10,921     129,790
Industria de Diseno Textil SA           24,288     931,266
Redeia Corp. SA            7,914     128,766
Repsol SA            8,515     131,297
      1,698,530
Sweden — 0.6% 
Atlas Copco AB, Class B           14,072     162,396
H & M Hennes & Mauritz AB, Class B            8,296     126,904
Investor AB, Class A            6,272     119,900
Investor AB, Class B            6,560     126,485
Svenska Handelsbanken AB, Class A           14,878     124,150
Swedbank AB, Class A           17,594     311,995
Telefonaktiebolaget LM Ericsson, Class B           25,986     133,698
Volvo AB, Class B            6,430     129,910
      1,235,438
Switzerland — 1.1% 
ABB, Ltd.            6,146     234,402
Alcon, Inc.            1,637     136,987
Chubb, Ltd.              653     131,168
Cie Financiere Richemont SA            1,145     162,803
Holcim, Ltd.            2,101     139,282
Julius Baer Group, Ltd.            1,978     137,621
Kuehne & Nagel International AG              408      122,813
Security Description   Shares or
Principal
Amount
Value
 
Switzerland (continued) 
Novartis AG            1,918 $    193,917
Roche Holding AG              370     109,029
SGS SA            1,208     109,921
Sonova Holding AG              466     123,285
Straumann Holding AG#            1,392     211,160
Swiss Life Holding AG              217     136,241
Swisscom AG              514     313,049
Zurich Insurance Group AG              264     124,028
      2,385,706
Taiwan — 1.0% 
ASE Technology Holding Co., Ltd.           65,000     240,843
Delta Electronics, Inc.           12,000     130,375
Hon Hai Precision Industry Co., Ltd.           42,000     140,455
Largan Precision Co., Ltd.            2,000     128,743
MediaTek, Inc.            7,000     154,962
Novatek Microelectronics Corp.           12,000     150,535
Quanta Computer, Inc.           21,000     167,161
Taiwan Cooperative Financial Holding Co., Ltd.          146,601     120,838
Taiwan Semiconductor Manufacturing Co., Ltd.            8,000     137,912
Uni-President Enterprises Corp.           53,000     117,661
United Microelectronics Corp.          232,000     331,465
Wistron Corp.           53,000     194,715
      2,015,665
Thailand — 0.1% 
Advanced Info Service PCL           20,900     128,918
Delta Electronics Thailand PCL           52,000     161,120
      290,038
United Arab Emirates — 0.1% 
Emaar Properties PJSC          127,566     245,199
United Kingdom — 2.6% 
3i Group PLC           18,876     476,688
Auto Trader Group PLC*           16,275     125,023
BAE Systems PLC           14,555     185,766
Barclays PLC           63,572     118,673
BP PLC           20,908     129,120
BT Group PLC           79,208     115,994
Burberry Group PLC            7,739     214,114
Centrica PLC          110,557     212,531
Coca-Cola Europacific Partners PLC            2,340     150,017
Compass Group PLC            5,287     133,483
GSK PLC           52,758     928,188
HSBC Holdings PLC          127,725     943,467
Imperial Brands PLC            5,547     125,747
InterContinental Hotels Group PLC            1,929     145,495
Legal & General Group PLC           37,212     103,096
NatWest Group PLC           86,866     253,536
Next PLC            2,519     222,992
RELX PLC            4,182     136,576
Sage Group PLC           12,731     156,599
SSE PLC            5,336     109,946
Standard Chartered PLC           27,713     249,820
Vodafone Group PLC          135,467     125,635
      5,362,506
United States — 34.0% 
A.O. Smith Corp.            1,947     141,157
Abbott Laboratories            1,102     113,396
AbbVie, Inc.              903     132,705
Activision Blizzard, Inc.            1,503     138,261
Adobe, Inc.              243      135,920
 
43

VALIC Company I Global Strategy Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
United States (continued) 
Agilent Technologies, Inc.            1,017 $    123,128
Air Products & Chemicals, Inc.              411     121,446
Align Technology, Inc.              356     131,770
Alphabet, Inc., Class A           20,985   2,857,527
Alphabet, Inc., Class C            5,530     759,545
Altria Group, Inc.            2,552     112,849
Amazon.com, Inc.           12,023   1,659,294
American Express Co.              790     124,812
American Water Works Co., Inc.              748     103,778
Ameriprise Financial, Inc.            1,363     460,122
Amphenol Corp., Class A            1,504     132,924
Apple, Inc.           28,889   5,427,376
Applied Materials, Inc.              856     130,763
Archer-Daniels-Midland Co.            1,699     134,731
Arista Networks, Inc.              732     142,908
Arrow Electronics, Inc.            1,094     145,972
Arthur J. Gallagher & Co.              620     142,898
AT&T, Inc.            7,809     115,495
Atlanta Braves Holdings, Inc., Class C               49       1,805
Automatic Data Processing, Inc.              558     142,072
AutoZone, Inc.               88     222,757
AvalonBay Communities, Inc.              732     134,556
Bank of New York Mellon Corp.            2,684     120,431
Berkshire Hathaway, Inc., Class B              383     137,957
Best Buy Co., Inc.            1,607     122,855
Biogen, Inc.              474     126,729
Booking Holdings, Inc.              252     782,468
BorgWarner, Inc.            3,025     123,269
Boston Scientific Corp.            2,254     121,581
Broadcom, Inc.              203     187,347
Builders FirstSource, Inc.            2,676     388,127
Cadence Design Systems, Inc.            5,357   1,288,037
Cardinal Health, Inc.            5,149     449,662
Cboe Global Markets, Inc.              963     144,171
Centene Corp.            3,821     235,565
CF Industries Holdings, Inc.            3,821     294,484
Charter Communications, Inc., Class A              319     139,760
Cheniere Energy, Inc.              823     134,314
Chevron Corp.              676     108,904
Cigna Group              824     227,638
Cintas Corp.              271     136,630
Cisco Systems, Inc.            3,618     207,492
Coca-Cola Co.            2,066     123,609
Cognizant Technology Solutions Corp., Class A            2,167     155,179
Colgate-Palmolive Co.           15,399   1,131,365
Comcast Corp., Class A            6,542     305,904
ConocoPhillips            1,150     136,885
Copart, Inc.            2,876     128,931
Costco Wholesale Corp.              256     140,616
Coterra Energy, Inc.            4,887     137,765
CSX Corp.            3,529     106,576
CVS Health Corp.            1,574     102,578
D.R. Horton, Inc.            1,071     127,470
Deckers Outdoor Corp.              248     131,214
Dell Technologies, Inc., Class C            2,588     145,549
Delta Air Lines, Inc.            2,845     121,994
Devon Energy Corp.            2,497     127,572
Discover Financial Services            2,553     229,949
Dow, Inc.            2,186     119,268
Dropbox, Inc., Class A            5,057     140,534
eBay, Inc.           10,536     471,802
Edwards Lifesciences Corp.            1,649      126,099
Security Description   Shares or
Principal
Amount
Value
 
United States (continued) 
Electronic Arts, Inc.            1,037 $    124,419
Elevance Health, Inc.              283     125,089
Eli Lilly & Co.              262     145,200
EOG Resources, Inc.              930     119,617
Equinix, Inc.              204     159,402
Equitable Holdings, Inc.            5,273     151,862
Expeditors International of Washington, Inc.            3,210     374,639
Exxon Mobil Corp.            1,170     130,092
FactSet Research Systems, Inc.              684     298,504
Fair Isaac Corp.              492     445,058
FedEx Corp.              532     138,863
First Citizens BancShares, Inc., Class A              215     292,486
First Solar, Inc.              634     119,902
FleetCor Technologies, Inc.              520     141,300
Fortinet, Inc.            1,781     107,234
Fox Corp., Class A            3,890     128,603
Gartner, Inc.            1,480     517,526
General Electric Co.            1,122     128,424
General Mills, Inc.            1,752     118,540
General Motors Co.            3,470     116,280
Gilead Sciences, Inc.           14,463   1,106,130
Hartford Financial Services Group, Inc.            1,677     120,442
HCA Healthcare, Inc.              450     124,785
Hershey Co.            2,922     627,821
Hewlett Packard Enterprise Co.            7,360     125,046
Hologic, Inc.            1,670     124,816
Home Depot, Inc.              366     120,890
Howmet Aerospace, Inc.            2,460     121,696
Hubbell, Inc.            1,098     358,003
Humana, Inc.            1,996     921,413
Huntington Ingalls Industries, Inc.              512     112,804
IDEXX Laboratories, Inc.            1,603     819,790
Illinois Tool Works, Inc.              577     142,721
Interpublic Group of Cos., Inc.            3,283     107,059
Iron Mountain, Inc.            2,206     140,169
JB Hunt Transport Services, Inc.              690     129,637
Johnson & Johnson              647     104,607
Keysight Technologies, Inc.              759     101,175
Kimberly-Clark Corp.              917     118,137
KLA Corp.            2,665   1,337,484
Kroger Co.           13,127     608,962
Lam Research Corp.              182     127,837
Lamb Weston Holdings, Inc.            1,248     121,568
Lattice Semiconductor Corp.            1,426     138,693
Lennar Corp., Class A            1,637     194,950
Lennox International, Inc.              408     153,738
Liberty Media Corp.-Liberty Formula One, Class C            1,717     118,112
Liberty Media Corp.-Liberty Live               73       2,456
Live Nation Entertainment, Inc.            1,451     122,653
LKQ Corp.            2,144     112,624
Lockheed Martin Corp.              271     121,503
Lowe's Cos., Inc.            4,170     961,102
LPL Financial Holdings, Inc.            1,544     356,031
Lululemon Athletica, Inc.              409     155,935
Marathon Petroleum Corp.            8,188   1,169,001
MarketAxess Holdings, Inc.              388      93,481
Marsh & McLennan Cos., Inc.              723     140,978
Masco Corp.            2,930     172,899
Mastercard, Inc., Class A            4,394   1,813,140
McDonald's Corp.            1,763     495,667
McKesson Corp.              793     326,970
MercadoLibre, Inc.              121     166,056
Merck & Co., Inc.            1,213      132,193
 
44  

VALIC Company I Global Strategy Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
United States (continued) 
Meta Platforms, Inc., Class A            8,256 $  2,442,868
Mettler-Toledo International, Inc.              425     515,729
Microsoft Corp.           11,951   3,917,060
Mid-America Apartment Communities, Inc.              938     136,226
Molina Healthcare, Inc.              408     126,529
Molson Coors Beverage Co., Class B            2,334     148,186
Mondelez International, Inc., Class A            1,748     124,562
Monster Beverage Corp.            7,933     455,434
Moody's Corp.              419     141,119
Motorola Solutions, Inc.              500     141,785
Netflix, Inc.              274     118,828
NIKE, Inc., Class B            1,110     112,898
Nordson Corp.              504     123,047
Nucor Corp.            1,492     256,773
NVIDIA Corp.            3,340   1,648,457
NVR, Inc.               22     140,301
Old Dominion Freight Line, Inc.              534     228,216
Omnicom Group, Inc.            1,673     135,530
ON Semiconductor Corp.            1,366     134,496
ONEOK, Inc.            2,080     135,616
Oracle Corp.            8,548   1,029,094
O'Reilly Automotive, Inc.              136     127,799
Otis Worldwide Corp.            1,514     129,523
Owens Corning            1,894     272,566
PACCAR, Inc.            8,144     670,170
Packaging Corp. of America              890     132,699
Palo Alto Networks, Inc.              757     184,178
Paychex, Inc.            1,090     133,231
PayPal Holdings, Inc.            1,896     118,519
PepsiCo, Inc.              848     150,876
Pfizer, Inc.            3,137     110,987
Phinia, Inc.              605      16,819
PPG Industries, Inc.              898     127,300
Principal Financial Group, Inc.            1,613     125,346
Procter & Gamble Co.              835     128,874
Public Storage            2,024     559,393
PulteGroup, Inc.            4,352     357,125
QUALCOMM, Inc.           11,615   1,330,266
Regeneron Pharmaceuticals, Inc.            1,679   1,387,677
Reliance Steel & Aluminum Co.              499     142,195
Republic Services, Inc.              922     132,888
Robert Half, Inc.            1,533     113,381
Rockwell Automation, Inc.              498     155,416
Rollins, Inc.            4,493     177,788
Ross Stores, Inc.              977     119,008
RPM International, Inc.            1,365     136,145
SEI Investments Co.            2,149     133,367
Sherwin-Williams Co.              469     127,437
Simon Property Group, Inc.            2,107     239,123
Snap-on, Inc.            1,042     279,881
Steel Dynamics, Inc.            3,339     355,904
Synchrony Financial            3,703     119,533
Synopsys, Inc.            2,907   1,333,993
Sysco Corp.            1,517     105,659
T. Rowe Price Group, Inc.            1,104     123,902
Teradyne, Inc.            1,327     143,143
Tesla, Inc.            3,204     826,888
Texas Instruments, Inc.            4,022     675,937
Textron, Inc.            1,780     138,324
Thermo Fisher Scientific, Inc.(1)              207     115,320
TJX Cos., Inc.            1,554     143,714
TransDigm Group, Inc.              136      122,924
Security Description   Shares or
Principal
Amount
Value
 
United States (continued) 
Ulta Beauty, Inc.              401 $    166,427
Union Pacific Corp.              584     128,813
United Parcel Service, Inc., Class B              725     122,815
United Therapeutics Corp.              541     121,379
Universal Health Services, Inc., Class B              942     126,887
Valero Energy Corp.            5,825     756,667
Veeva Systems, Inc., Class A              717     149,638
VeriSign, Inc.            1,911     397,087
Verisk Analytics, Inc.              567     137,339
Vertex Pharmaceuticals, Inc.              371     129,234
Viatris, Inc.           13,234     142,265
VICI Properties, Inc.            3,670     113,183
Visa, Inc., Class A              615     151,093
Vistra Corp.            5,182     162,818
VMware, Inc., Class A            1,021     172,324
Walmart, Inc.            4,110     668,327
Waters Corp.              444     124,675
Welltower, Inc.            1,614     133,768
West Pharmaceutical Services, Inc.              998     406,086
WW Grainger, Inc.              215     153,540
Yum China Holdings, Inc.            2,272     121,984
Yum! Brands, Inc.            1,023     132,356
Zimmer Biomet Holdings, Inc.              918     109,352
      71,298,490
Total Common Stocks
(cost $115,248,371)
    125,468,534
CORPORATE BONDS & NOTES — 23.3% 
Argentina — 0.1% 
YPF SA      
9.00%, 02/12/2026   $       176,923     174,493
Bermuda — 0.2% 
Geopark, Ltd.      
5.50%, 01/17/2027*#          348,000     300,813
RenaissanceRe Holdings, Ltd.      
5.75%, 06/05/2033          170,000     165,143
      465,956
Canada — 1.1% 
Air Canada Pass-Through Trust      
3.60%, 09/15/2028*          232,785     216,961
Baytex Energy Corp.      
8.50%, 04/30/2030*          400,000     405,578
First Quantum Minerals, Ltd.      
6.88%, 10/15/2027*          720,000     700,988
Taseko Mines, Ltd.      
7.00%, 02/15/2026*#          550,000     507,235
Teine Energy, Ltd.      
6.88%, 04/15/2029*          440,000     408,100
      2,238,862
Cayman Islands — 1.3% 
Avolon Holdings Funding, Ltd.      
4.25%, 04/15/2026*          310,000     292,348
6.38%, 05/04/2028*          180,000     178,552
GGAM Finance, Ltd.      
7.75%, 05/15/2026*          330,000     329,995
Weibo Corp.      
3.38%, 07/08/2030#        1,603,000   1,253,613
XP, Inc.      
3.25%, 07/01/2026*          797,000     725,198
      2,779,706
 
45

VALIC Company I Global Strategy Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Colombia — 0.3% 
Ecopetrol SA      
4.13%, 01/16/2025   $       245,000 $    237,434
5.88%, 05/28/2045          130,000      91,642
8.88%, 01/13/2033          200,000     202,765
      531,841
France — 0.5% 
Altice France SA      
8.13%, 02/01/2027*        1,228,000   1,037,832
Hong Kong — 0.8% 
Xiaomi Best Time International, Ltd.      
3.38%, 04/29/2030*        2,085,000   1,699,145
Israel — 0.4% 
Energean Israel Finance, Ltd.      
4.50%, 03/30/2024*          688,000     680,398
Leviathan Bond, Ltd.      
6.13%, 06/30/2025*          240,000     234,403
      914,801
Italy — 0.4% 
Telecom Italia SpA      
5.30%, 05/30/2024*          928,000     915,951
Japan — 0.8% 
Nissan Motor Co., Ltd.      
4.35%, 09/17/2027*        1,745,000   1,598,378
Luxembourg — 0.4% 
Amaggi Luxembourg International SARL      
5.25%, 01/28/2028          435,000     396,393
Kenbourne Invest SA      
6.88%, 11/26/2024          298,000     250,230
Rumo Luxembourg Sarl      
4.20%, 01/18/2032*          265,000     215,180
      861,803
Mexico — 0.7% 
Braskem Idesa SAPI      
7.45%, 11/15/2029*          230,000     145,625
Petroleos Mexicanos      
5.35%, 02/12/2028        1,527,000   1,224,676
      1,370,301
Norway — 0.2% 
Var Energi ASA      
7.50%, 01/15/2028*          200,000     207,678
8.00%, 11/15/2032*          205,000     216,251
      423,929
Panama — 0.6% 
AES Panama Generation Holdings SRL      
4.38%, 05/31/2030        1,559,908   1,348,982
SupraNational — 0.5% 
JBS USA LUX SA/JBS USA Food Co./JBS USA Finance, Inc.      
5.13%, 02/01/2028          130,000     126,345
NXP BV/NXP Funding LLC/NXP USA, Inc.      
3.40%, 05/01/2030          954,000     838,119
      964,464
Switzerland — 0.3% 
UBS Group AG      
6.54%, 08/12/2033*          600,000     623,140
Security Description   Shares or
Principal
Amount
Value
 
United Kingdom — 0.5% 
HSBC Holdings PLC      
4.29%, 09/12/2026   $     1,093,000 $  1,054,266
United States — 14.2% 
Aethon United BR LP/Aethon United Finance Corp.      
8.25%, 02/15/2026*          220,000     221,100
Affinity Gaming      
6.88%, 12/15/2027*          760,000     672,944
Allegiant Travel Co.      
7.25%, 08/15/2027*          430,000     420,863
AmeriGas Partners LP/AmeriGas Finance Corp.      
5.88%, 08/20/2026          430,000     407,941
Antares Holdings LP      
2.75%, 01/15/2027*        1,547,000   1,310,440
Ares Capital Corp.      
2.88%, 06/15/2028          980,000     826,482
Ashtead Capital, Inc.      
5.50%, 08/11/2032*          200,000     190,619
Bain Capital Specialty Finance, Inc.      
2.95%, 03/10/2026          607,000     543,334
BAT Capital Corp.      
6.42%, 08/02/2033          610,000     608,915
7.75%, 10/19/2032          540,000     585,972
Blackstone Secured Lending Fund      
2.85%, 09/30/2028          983,000     811,931
Block Financial LLC      
3.88%, 08/15/2030          947,000     836,244
Blue Owl Finance LLC      
3.13%, 06/10/2031*        1,027,000     793,054
Boeing Co.      
4.88%, 05/01/2025          467,000     460,544
Broadcom, Inc.      
1.95%, 02/15/2028*#          510,000     442,279
Callon Petroleum Co.      
8.00%, 08/01/2028*#          390,000     395,491
Capital One Financial Corp.      
6.31%, 06/08/2029          150,000     149,918
Cheniere Corpus Christi Holdings LLC      
2.74%, 12/31/2039          300,000     232,198
Citigroup, Inc.      
6.17%, 05/25/2034          160,000     159,441
Civitas Resources, Inc.      
8.38%, 07/01/2028*          340,000     350,200
CNX Resources Corp.      
7.25%, 03/14/2027*#           38,000      37,961
Consolidated Communications, Inc.      
5.00%, 10/01/2028*#          389,000     291,524
Dell International LLC/EMC Corp.      
6.02%, 06/15/2026          666,000     673,017
Diamondback Energy, Inc.      
6.25%, 03/15/2033          480,000     496,013
DISH Network Corp.      
11.75%, 11/15/2027*          830,000     842,152
DPL, Inc.      
4.13%, 07/01/2025#          212,000     201,675
Glencore Funding LLC      
4.88%, 03/12/2029*          390,000     378,188
Golub Capital BDC, Inc.      
2.50%, 08/24/2026          934,000     820,740
Hercules Capital, Inc.      
2.63%, 09/16/2026#          484,000     423,478
IRB Holding Corp.      
7.00%, 06/15/2025*          150,000      150,000
 
46  

VALIC Company I Global Strategy Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
United States (continued) 
Jabil, Inc.      
3.60%, 01/15/2030   $     1,119,000 $  1,000,740
KeyBank NA/Cleveland OH FRS      
5.51%, (SOFR+0.32%), 06/14/2024          490,000     480,101
Las Vegas Sands Corp.      
3.20%, 08/08/2024          190,000     183,952
Level 3 Financing, Inc.      
3.75%, 07/15/2029*          411,000     245,166
Liberty Interactive LLC      
8.25%, 02/01/2030          449,000     174,353
Main Street Capital Corp.      
3.00%, 07/14/2026          680,000     603,041
MasTec, Inc.      
4.50%, 08/15/2028*#          303,000     276,454
Mativ Holdings, Inc.      
6.88%, 10/01/2026*          465,000     421,085
MicroStrategy, Inc.      
6.13%, 06/15/2028*#          437,000     391,213
Mileage Plus Holdings LLC/Mileage Plus Intellectual Property Assets, Ltd.      
6.50%, 06/20/2027*          957,600     954,259
New Fortress Energy, Inc.      
6.50%, 09/30/2026*           30,000      27,886
6.75%, 09/15/2025*        1,565,000   1,512,541
Nexstar Media, Inc.      
4.75%, 11/01/2028*#          260,000     228,075
Nissan Motor Acceptance Co. LLC      
2.75%, 03/09/2028*          498,000     420,460
Outfront Media Capital LLC/Outfront Media Capital Corp.      
4.25%, 01/15/2029*          290,000     237,850
Owl Rock Capital Corp.      
2.63%, 01/15/2027#        1,095,000     948,907
Owl Rock Technology Finance Corp.      
4.75%, 12/15/2025*        1,270,000   1,174,699
Philip Morris International, Inc.      
5.38%, 02/15/2033          324,000     319,938
5.75%, 11/17/2032          220,000     223,130
Regal Rexnord Corp.      
6.30%, 02/15/2030*          110,000     109,515
6.40%, 04/15/2033*          110,000     108,968
ROBLOX Corp.      
3.88%, 05/01/2030*          223,000     183,976
Select Medical Corp.      
6.25%, 08/15/2026*#          754,000     746,853
Synchrony Bank      
5.63%, 08/23/2027          380,000     359,435
Synchrony Financial      
4.25%, 08/15/2024           70,000      68,181
4.88%, 06/13/2025          310,000     298,900
7.25%, 02/02/2033          270,000     248,255
Talos Production, Inc.      
12.00%, 01/15/2026          380,000     396,150
Universal Health Services, Inc.      
1.65%, 09/01/2026          792,000     703,485
Vector Group, Ltd.      
5.75%, 02/01/2029*          360,000     313,396
Venture Global LNG, Inc.      
8.13%, 06/01/2028*          550,000     554,809
Vontier Corp.      
1.80%, 04/01/2026          604,000      541,319
Security Description   Shares or
Principal
Amount
Value
 
United States (continued) 
World Acceptance Corp.      
7.00%, 11/01/2026*#   $       490,000 $    424,504
Wynn Las Vegas LLC/Wynn Las Vegas Capital Corp.      
5.50%, 03/01/2025*          249,000     245,983
      29,862,237
Total Corporate Bonds & Notes
(cost $54,042,952)
    48,866,087
LOANS — 0.4% 
United States — 0.4% 
Sabre GLBL, Inc. FRS      
10.43%, (SOFR+0.10%), 06/30/2028
(cost $878,585)
         970,392     852,732
COLLATERALIZED MORTGAGE OBLIGATIONS — 1.2% 
United States — 1.2% 
Federal Home Loan Mtg. Corp. Structured Agency Credit Risk FRS      
Series 2018-DNA1, Class M2B 7.20%, (1 ML+1.80%), 07/25/2030
(cost $2,493,427)
       2,463,405   2,463,618
U.S. GOVERNMENT & AGENCY OBLIGATIONS — 3.4% 
United States — 3.4% 
United States Treasury Notes      
5.61%, (3 UTBMM+0.20%), 01/31/2025
(cost $7,202,957)
       7,190,000   7,200,704
FOREIGN GOVERNMENT OBLIGATIONS — 5.9% 
Brazil — 1.6% 
Federative Republic of Brazil      
Series F 10.00%, 01/01/2033 BRL     17,450,000   3,363,267
Canada — 1.7% 
Government of Canada      
0.50%, 11/01/2023 CAD      4,800,000   3,527,140
Colombia — 1.9% 
Republic of Colombia      
7.00%, 03/26/2031 COP 19,065,000,000   3,864,278
Peru — 0.7% 
Republic of Peru      
6.15%, 08/12/2032 PEN      5,910,000   1,549,070
Total Foreign Government Obligations
(cost $11,070,720)
    12,303,755
WARRANTS — 0.0% 
Canada — 0.0% 
Constellation Software, Inc.
Expires 03/31/2040(2)
(cost $0)
             100           0
RIGHTS — 0.0% 
Canada — 0.0% 
Constellation Software, Inc.
Expires 09/29/2023
(cost $44)
             100          56
Total Long-Term Investment Securities
(cost $190,937,056)
    197,155,486
SHORT-TERM INVESTMENTS — 7.1% 
Sovereign — 0.7% 
Federal Home Loan Bank
5.17%, 09/01/2023
       1,500,000   1,500,000
 
47

VALIC Company I Global Strategy Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS (continued) 
Unaffiliated Investment Companies — 6.4% 
State Street Institutional U.S. Government Money Market Fund, Premier Class 5.28%(3)        8,603,712   $  8,603,713
State Street Navigator Securities Lending Government Money Market Portfolio 5.34%(3)(4)        4,878,298     4,878,298
        13,482,011
Total Short-Term Investments
(cost $14,982,010)
      14,982,011
TOTAL INVESTMENTS
(cost $205,919,066)
  101.2%   212,137,497
Other assets less liabilities   (1.2)   (2,510,226)
NET ASSETS   100.0%   $209,627,271
# The security or a portion thereof is out on loan.
Non-income producing security
* Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. The Global Strategy Fund has no right to demand registration of these securities. At August 31, 2023, the aggregate value of these securities was $27,252,120 representing 13.0% of net assets.
(1) Denotes a restricted security that: (a) cannot be offered for public sale without first being registered, or being able to take advantage of an exemption from registration, under the Securities Act of 1933, as amended (the “1933 Act”); (b) is subject to a contractual restriction on public sales; or (c) is otherwise subject to a restriction on sales by operation of applicable law.  Restricted securities are valued pursuant to Note 1.  Certain restricted securities held by the Fund may not be sold except in exempt transactions or in a public offering registered under the 1933 Act. The Fund has no right to demand registration of these securities. The risk of investing in certain restricted securities is greater than the risk of investing in the securities of widely held, publicly traded companies. To the extent applicable, lack of a secondary market and resale restrictions may result in the inability of a Fund to sell a security at a fair price and may substantially delay the sale of the security. In addition, certain restricted securities may exhibit greater price volatility than securities for which secondary markets exist. As of August 31, 2023, the Fund held the following restricted securities:
Description   Acquisition
Date
  Shares or
Principal
Amount
  Acquisition
Cost
  Value   Value
Per Share
  % of
Net Assets
Common Stocks
MMC Norilsk Nickel PJSC                        
Series E   02/03/2020   28   $9,349            
Series E   04/28/2020   457   123,804            
Series E   12/15/2020   78   25,736            
        563   158,889   $0   $0.00   0.0%
Description   Acquisition
Date
  Shares or
Principal
Amount
  Acquisition
Cost
  Value   Value
Per Share
  % of
Net Assets
Common Stocks (continued)
Thermo Fisher Scientific, Inc.                        
    12/09/2021   185   $116,182            
    05/09/2022   2   1,120            
    07/11/2022   1   554            
    09/09/2022   5   2,717            
    11/10/2022   13   6,434            
    12/09/2022   1   550            
        207   127,557   $115,320   $557.22   0.1%
                $115,320       0.1%**
** Amount represents the total value of the restricted securities divided by the net assets of the Fund and may not equal the sum of the individual percentages shown due to rounding.
(2) Securities classified as Level 3 (see Note 1).
(3) The rate shown is the 7-day yield as of August 31, 2023.
(4) At August 31, 2023, the Fund had loaned securities with a total value of $6,706,596. This was secured by collateral of $4,878,298, which was received in cash and subsequently invested in short-term investments currently valued at $4,878,298 as reported in the Portfolio of Investments. Additional collateral of $2,048,920 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
United States Treasury Bills 0.00% 09/19/2023 to 01/25/2024 $74,272
United States Treasury Notes/Bonds 0.13% to 6.50% 10/31/2023 to 05/15/2053 1,974,648
1 ML—1 Month USD LIBOR
3 UTBMM—US Treasury 3 Month Bill Money Market Yield
ADR—American Depositary Receipt
CVA—Certification Van Aandelen (Dutch Cert.)
FRS—Floating Rate Security
SOFR—Secured Overnight Financing Rate
XAMS—Euronext Amsterdam Stock Exchange
BRL—Brazilian Real
CAD—Canadian Dollar
COP—Columbian Peso
PEN—Peruvian Sol
The rates shown on FRS and/or VRS are the current interest rates at August 31, 2023 and unless noted otherwise, the dates shown are the original maturity dates.
 
Credit Default Swaps - Buyer(1)  
Counterparty (OTC)/
Centrally cleared
Reference
obligation
Notional
amount(2)
Currency USD
notional
amount(2)
  Pay
fixed
rate
Fixed
payment
frequency
Maturity
date
Upfront
payment paid
(received)
  Unrealized
appreciation
(depreciation)
Value(3)  
Centrally Cleared CDX Markit $7,690,000 USD $7,690,000   5.000% Quarterly Jun 2028 $(203,958)   $(12,882) $(216,840)  
(1) If the Portfolio is a buyer of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Portfolio will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.
(2) The maximum potential amount the Portfolio could be required to make as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.
(3) The quoted market prices and resulting values for credit default swap agreements on asset-backed securities and credit indices serve as an indicator of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative should the notional amount of the swap agreement have been closed/sold as of the period end. Increasing market values, in absolute terms when compared to the notional amount of the swap, represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.
48  

VALIC Company I Global Strategy Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Futures Contracts

Number
of
Contracts
Type Description Expiration
Month
Notional
Basis*
Notional
Value*
Unrealized
Appreciation
68 Long U.S. Treasury 10 Year Notes December 2023 $ 7,493,926 $ 7,550,125 $ 56,199
92 Long U.S. Treasury 5 Year Notes December 2023  9,766,161  9,836,813  70,652
150 Long U.S. Treasury Ultra 10 Year Notes December 2023 17,204,261 17,416,406 212,145
56 Long U.S. Treasury Ultra Bonds December 2023  7,155,379  7,250,250  94,871
            $433,867
            Unrealized
(Depreciation)
32 Short S&P 500 E-Mini Index September 2023 $7,061,080 $7,225,600 $(164,520)
    Net Unrealized Appreciation (Depreciation)   $269,347
* Notional basis refers to the contractual amount agreed upon at inception of the open contract; notional value represents the current value of the open contract.
Forward Foreign Currency Contracts
Counterparty Contract to
Deliver
In
Exchange For
Delivery
Date
Unrealized
Appreciation
  Unrealized
(Depreciation)
Citibank, N.A. CAD 4,550,000 USD 3,461,774 10/25/2023 $ 91,860   $      —
  KRW 2,100,000,000 USD 1,636,916 09/13/2023  47,484         —
  USD 2,472,231 JPY 338,000,000 09/19/2023      —   (143,963)
  USD 1,618,747 KRW 2,100,000,000 09/13/2023      —    (29,314)
            139,344   (173,277)
HSBC Bank PLC BRL 16,570,000 USD 3,379,989 10/19/2023  55,940         —
  MXN 58,000,000 USD 3,341,608 10/27/2023      —    (28,588)
  USD 1,487,102 BRL 7,350,000 10/19/2023      —    (12,644)
  USD 1,760,003 MXN 30,200,000 10/27/2023      —     (5,177)
            55,940   (46,409)
JPMorgan Chase Bank, N.A. COP 3,930,000,000 USD 918,686 10/30/2023      —    (27,087)
  EUR 820,000 USD 907,137 11/07/2023  15,279         —
  USD 970,286 COP 3,930,000,000 10/30/2023      —    (24,513)
  USD 894,954 EUR 820,000 11/07/2023      —     (3,096)
  USD 2,436,860 JPY 335,000,000 09/19/2023      —   (129,257)
  USD 1,615,913 MXN 27,800,000 10/27/2023      —       (543)
            15,279   (184,496)
Unrealized Appreciation (Depreciation)           $210,563   $(404,182)
BRL—Brazilian Real
CAD—Canadian Dollar
COP—Columbian Peso
EUR—Euro Currency
JPY—Japanese Yen
KRW—South Korean Won
MXN—Mexican Peso
USD—United States Dollar
Industry Allocation*   
Short-Term Investments 7.1%
Foreign Government Obligations 5.9
Internet 5.8
Oil & Gas 5.4
Software 5.2
Semiconductors 5.1
Banks 4.5
Diversified Financial Services 4.3
Computers 3.9
U.S. Government & Agency Obligations 3.4
Investment Companies 3.2
49

VALIC Company I Global Strategy Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Industry Allocation* (continued)  
Telecommunications 2.9%
Retail 2.9
Pharmaceuticals 2.8
Auto Manufacturers 2.7
Insurance 2.2
Electric 2.0
Commercial Services 1.9
Electronics 1.8
Chemicals 1.8
Food 1.6
Healthcare-Services 1.6
Agriculture 1.4
Healthcare-Products 1.4
Biotechnology 1.4
Mining 1.3
Media 1.3
Pipelines 1.3
REITS 1.3
Collateralized Mortgage Obligations 1.2
Iron/Steel 1.1
Transportation 0.9
Airlines 0.9
Cosmetics/Personal Care 0.9
Beverages 0.8
Building Materials 0.8
Distribution/Wholesale 0.8
Home Builders 0.7
Entertainment 0.6
Miscellaneous Manufacturing 0.6
Machinery-Construction & Mining 0.5
Aerospace/Defense 0.4
Private Equity 0.4
Gas 0.4
Apparel 0.4
Machinery-Diversified 0.4
Engineering & Construction 0.3
Lodging 0.3
Advertising 0.2
Real Estate 0.2
Hand/Machine Tools 0.1
Auto Parts & Equipment 0.1
Electrical Components & Equipment 0.1
Packaging & Containers 0.1
Household Products/Wares 0.1
Leisure Time 0.1
Holding Companies-Diversified 0.1
Food Service 0.1
Environmental Control 0.1
Toys/Games/Hobbies 0.1
  101.2%
* Calculated as a percentage of net assets
50  

VALIC Company I Global Strategy Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks:              
Russia $  $  $0   $0
Other Countries 125,468,534       125,468,534
Corporate Bonds & Notes   48,866,087     48,866,087
Loans   852,732     852,732
Collateralized Mortgage Obligations   2,463,618     2,463,618
U.S. Government & Agency Obligations   7,200,704     7,200,704
Foreign Government Obligations   12,303,755     12,303,755
Warrants     0   0
Rights 56       56
Short-Term Investments:              
Sovereign   1,500,000     1,500,000
Other Short-Term Investments 13,482,011       13,482,011
Total Investments at Value $138,950,601   $73,186,896   $0   $212,137,497
Other Financial Instruments:              
Futures Contracts $433,867   $  $—   $433,867
Forward Foreign Currency Contracts   210,563     210,563
Total Other Financial Instruments $433,867   $210,563   $—   $644,430
LIABILITIES:              
Other Financial Instruments:              
Swaps $  $12,882   $—   $12,882
Futures Contracts 164,520       164,520
Forward Foreign Currency Contracts   404,182     404,182
Total Other Financial Instruments $164,520   $417,064   $—   $581,584
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Amounts represent unrealized appreciation/depreciation as of the end of the reporting period.
Level 3 investments in securities were not considered a significant portion of the Fund's net assets.
See Notes to Portfolio of Investments
51

VALIC Company I Government Securities Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES — 5.3% 
Airlines — 0.5% 
American Airlines Pass-Through Trust      
3.00%, 04/15/2030   $   521,574 $    464,981
3.35%, 04/15/2031      238,510     214,131
      679,112
Banks — 1.5% 
BPCE SA      
5.13%, 01/18/2028*    1,000,000     980,712
Mitsubishi UFJ Financial Group, Inc.      
2.76%, 09/13/2026      217,000     200,053
Truist Financial Corp.      
4.92%, 07/28/2033    1,000,000     891,381
      2,072,146
Electric — 2.1% 
Entergy Louisiana LLC      
3.25%, 04/01/2028    1,000,000     917,532
Fells Point Funding Trust      
3.05%, 01/31/2027*    1,000,000     914,447
NextEra Energy Capital Holdings, Inc.      
4.90%, 02/28/2028    1,000,000     982,686
      2,814,665
Pharmaceuticals — 0.1% 
CVS Health Corp.      
4.30%, 03/25/2028      171,000     164,239
Telecommunications — 1.1% 
AT&T, Inc.      
1.65%, 02/01/2028      580,000     495,907
T-Mobile USA, Inc.      
4.95%, 03/15/2028    1,000,000     986,077
      1,481,984
Total Corporate Bonds & Notes
(cost $7,739,376)
    7,212,146
ASSET BACKED SECURITIES — 2.6% 
Other Asset Backed Securities — 2.6% 
AMSR Trust      
Series 2020-SFR3, Class A
1.36%, 09/17/2037*
     568,738     520,059
Series 2021-SFR2, Class A
1.53%, 08/17/2038*
   1,000,000     884,336
Series 2021-SFR1, Class A
1.95%, 06/17/2038*
     300,000     253,996
FirstKey Homes Trust      
Series 2021-SFR1, Class A
1.54%, 08/17/2038*
   1,310,619   1,155,273
Hilton Grand Vacations Trust      
Series 2022-2A, Class A
4.30%, 01/25/2037*
     512,817     490,078
Sofi Professional Loan Program Trust      
Series 2018-B, Class A2FX
3.34%, 08/25/2047*
     181,672     175,863
Total Asset Backed Securities
(cost $3,870,951)
    3,479,605
COLLATERALIZED MORTGAGE OBLIGATIONS — 22.4% 
Commercial and Residential — 3.1% 
BANK      
Series 2020-BN26, Class A4
2.40%, 03/15/2063
     500,000      414,728
Security Description   Shares or
Principal
Amount
Value
 
Commercial and Residential (continued) 
BANK VRS      
Series 2022-BNK41, Class A4
3.92%, 04/15/2065(1)
  $   500,000 $    443,467
BBCMS Trust      
Series 2015-VFM, Class A1
2.47%, 03/10/2036*
     137,324     127,410
Citigroup Commercial Mtg. Trust      
Series 2020-GC46, Class A5
2.72%, 02/15/2053
   1,250,000   1,050,161
Eleven Madison Mtg. Trust VRS      
Series 2015-11MD, Class A
3.67%, 09/10/2035*(1)
     398,000     354,840
GS Mtg. Securities Trust      
Series 2017-GS7, Class A4
3.43%, 08/10/2050
   1,100,000     996,692
SLG Office Trust      
Series 2021-OVA, Class A
2.59%, 07/15/2041*
   1,000,000     801,803
UBS-BAMLL Trust      
Series 2012-WRM, Class A
3.66%, 06/10/2030*
       6,877       6,382
      4,195,483
U.S. Government Agency — 19.3% 
Federal Home Loan Mtg. Corp. Multifamily Structured Pass Through Certs.      
Series K130, Class A2
1.72%, 06/25/2031
     670,000     537,742
Series K145, Class A2
2.58%, 05/25/2032
     430,000     361,929
Series KW10, Class A2
2.69%, 09/25/2029
   2,000,000   1,772,005
Series K146, Class A2
2.92%, 06/25/2032
     705,000     609,798
Series K149, Class A2
3.53%, 08/25/2032
   2,000,000   1,814,686
Federal Home Loan Mtg. Corp. Multifamily Structured Pass Through Certs. VRS      
Series K-150, Class A2
3.71%, 09/25/2032(1)
   1,070,000     983,474
Federal Home Loan Mtg. Corp. REMIC      
Series 4994, Class GV
2.00%, 06/25/2046
   2,000,000   1,507,014
Series 4594, Class GN
2.50%, 02/15/2045
     351,794     315,220
Series 3981, Class PA
3.00%, 04/15/2031
      32,898      32,098
Series 4097, Class YK
3.00%, 08/15/2032
   1,750,000   1,581,812
Series 4150, Class IG
3.00%, 01/15/2033(2)
   1,082,780      70,497
Series 4838, Class CY
3.00%, 01/15/2038
   1,000,000     889,206
Series 4365, Class HZ
3.00%, 01/15/2040
     433,485     393,810
Series 4599, Class PA
3.00%, 09/15/2045
     559,248     508,460
Series 4057, Class WY
3.50%, 06/15/2027
     838,060     806,879
Series 3813, Class D
4.00%, 02/15/2026
     184,069     181,465
Series 3917, Class B
4.50%, 08/15/2026
     265,470      262,152
 
52  

VALIC Company I Government Securities Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COLLATERALIZED MORTGAGE OBLIGATIONS (continued) 
U.S. Government Agency (continued) 
Series 3927, Class AY
4.50%, 09/15/2026
  $ 1,291,938 $  1,271,339
Series 3786, Class PB
4.50%, 07/15/2040
     200,742     195,687
Federal Home Loan Mtg. Corp. REMIC FRS      
Series 4039, Class SA
1.20%, (6.39%-SOFR30A), 05/15/2042(2)(3)
     148,426      13,353
Federal Home Loan Mtg. Corp. STRIPS      
Series 264, Class 30
3.00%, 07/15/2042
     256,344     229,885
Federal National Mtg. Assoc. REMIC      
Series 2002-34, Class AO
Zero Coupon, 05/18/2032(4)
      60,194      55,576
Series 2020-M20, Class A2
1.44%, 10/25/2029
     200,000     163,918
Series 2020-12, Class JC
2.00%, 03/25/2050
     753,300     619,651
Series 2013-23, Class KJ
2.25%, 05/25/2042
     653,907     584,295
Series 2012-93, Class ME
2.50%, 01/25/2042
     533,379     485,182
Series 2013-73, Class TD
2.50%, 09/25/2042
     226,774     206,967
Series 2019-M22, Class A2
2.52%, 08/25/2029
     312,932     277,370
Series 2019-M31, Class A2
2.85%, 04/25/2034
   1,000,000     836,097
Series 2012-87, Class CZ
3.00%, 08/25/2042
   2,183,691   1,935,936
Series 2016-30, Class PA
3.00%, 04/25/2045
     335,973     306,885
Series 2016-25, Class LA
3.00%, 07/25/2045
     250,706     226,900
Series 2016-33, Class JA
3.00%, 07/25/2045
     246,202     224,254
Series 2015-97, Class N
3.00%, 11/25/2045
   2,000,000   1,651,768
Series 2016-38, Class NA
3.00%, 01/25/2046
     456,196     409,968
Series 2016-30, Class LY
3.50%, 05/25/2036
     800,000     737,766
Series 2019-34, Class WA
3.50%, 08/25/2048
     885,018     820,490
Series 2010-117, Class DY
4.50%, 10/25/2025
     287,030     282,742
Series 2010-134, Class MB
4.50%, 12/25/2040
     250,000     232,059
Series 2007-116, Class PB
5.50%, 08/25/2035
      24,386      24,486
Federal National Mtg. Assoc. REMIC VRS      
Series 2022-M3, Class A2
1.76%, 11/25/2031(1)
   1,000,000     795,654
Federal National Mtg. Assoc. STRIPS      
Series 384, Class 23
6.00%, 08/25/2037(2)
      70,677      13,300
Government National Mtg. Assoc. REMIC      
Series 2014-58, Class EP
4.00%, 04/20/2044
     432,000     377,941
Series 2004-18, Class Z
4.50%, 03/16/2034
     101,656       98,851
Security Description   Shares or
Principal
Amount
Value
 
U.S. Government Agency (continued) 
Series 2008-6, Class GL
4.50%, 02/20/2038
  $   394,456 $    393,091
Series 2005-21, Class Z
5.00%, 03/20/2035
     189,689     187,330
      26,286,988
Total Collateralized Mortgage Obligations
(cost $34,526,320)
    30,482,471
U.S. GOVERNMENT & AGENCY OBLIGATIONS — 62.6% 
U.S. Government — 34.5% 
United States Treasury Bonds      
1.88%, 02/15/2041    1,800,000   1,249,172
2.00%, 11/15/2041 to 02/15/2050    4,000,000   2,620,782
2.88%, 08/15/2045    1,000,000     782,461
3.00%, 02/15/2048      750,000     595,342
3.13%, 02/15/2043    2,000,000   1,661,250
3.25%, 05/15/2042      500,000     426,973
3.75%, 08/15/2041 to 11/15/2043    9,500,000   8,708,378
3.88%, 08/15/2040    1,500,000   1,423,887
United States Treasury Notes      
0.63%, 08/15/2030    1,000,000     787,930
0.75%, 04/30/2026    4,000,000   3,617,500
1.25%, 06/30/2028    3,500,000   3,040,898
1.88%, 02/15/2032    3,000,000   2,521,523
2.75%, 05/15/2025   10,000,000   9,635,547
3.13%, 08/15/2025    1,500,000   1,451,191
4.13%, 10/31/2027    7,000,000   6,934,648
4.38%, 10/31/2024    1,500,000   1,484,473
      46,941,955
U.S. Government Agency — 28.1% 
Federal Farm Credit Bank      
3.33%, 04/28/2037      500,000     436,968
Federal Home Loan Mtg. Corp.      
2.00%, 09/01/2051    1,532,423   1,224,051
3.50%, 06/01/2033      438,491     413,005
3.70%, 05/01/2037    3,000,000   2,639,906
4.00%, 05/01/2052 to 08/01/2052    4,431,184   4,113,926
4.50%, 09/01/2039 to 06/01/2041      899,937     876,080
5.00%, 10/01/2034 to 10/01/2052      765,453     757,802
5.50%, 12/01/2036        2,849       2,819
6.00%, 11/01/2033       27,582      28,478
6.50%, 02/01/2032        9,085       9,308
8.00%, 08/01/2030           61          62
Federal National Mtg. Assoc.      
1.73%, 08/01/2031      650,000     513,922
2.04%, 06/01/2037      245,284     179,397
2.14%, 10/01/2029    1,000,000     861,401
2.31%, 05/01/2037      970,580     741,103
2.50%, 01/01/2052 to 03/01/2062    3,012,684   2,501,928
2.53%, 04/01/2034    2,500,000   2,017,236
2.55%, 09/01/2034      700,000     570,502
3.00%, 03/01/2043 to 03/01/2052    4,518,897   3,958,270
3.30%, 02/01/2030    2,776,338   2,511,398
3.43%, 05/01/2032    2,000,000   1,800,097
3.54%, 06/01/2032    1,000,000     906,901
3.69%, 05/01/2030    1,403,521   1,317,121
4.00%, 09/01/2040 to 03/01/2043    2,267,986   2,150,747
4.33%, 10/01/2037    1,000,000     933,728
5.00%, 12/01/2036        3,577       3,498
5.50%, 12/01/2033 to 10/01/2034        6,679       6,610
6.50%, 07/01/2032        1,996       2,070
7.00%, 09/01/2031        3,534        3,530
 
53

VALIC Company I Government Securities Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
U.S. GOVERNMENT & AGENCY OBLIGATIONS (continued) 
U.S. Government Agency (continued) 
Federal National Mtg. Assoc. Grantor Trust        
Series 2017-T1, Class A
2.90%, 06/25/2027
  $ 1,119,634   $  1,035,222
Government National Mtg. Assoc.        
2.50%, 03/20/2051    1,434,599     1,183,953
3.50%, 09/15/2048 to 09/20/2051    4,525,209     4,069,239
4.50%, 03/15/2038 to 08/15/2040      363,663       354,666
5.00%, 09/15/2035 to 05/15/2036       27,133        27,009
6.00%, 01/15/2032        3,248         3,268
7.50%, 01/15/2031        2,747         2,782
        38,158,003
Total U.S. Government & Agency Obligations
(cost $95,104,962)
      85,099,958
FOREIGN GOVERNMENT OBLIGATIONS — 1.9% 
Sovereign — 1.9% 
Israel Government AID        
Zero Coupon, 02/15/2024
(cost $2,615,870)
   2,641,000     2,571,983
MUNICIPAL SECURITIES — 0.2% 
Oklahoma Development Finance Authority
Revenue Bonds
       
4.38%, 11/01/2045
(cost $275,000)
     275,000       259,429
Total Long-Term Investment Securities
(cost $144,132,479)
      129,105,592
REPURCHASE AGREEMENTS — 4.7% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $6,428,796 and collateralized by $6,429,600 of United States Treasury Notes, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $6,557,122
(cost $6,428,510)
   6,428,510     6,428,510
TOTAL INVESTMENTS
(cost $150,560,989)
  99.7%   135,534,102
Other assets less liabilities   0.3   442,103
NET ASSETS   100.0%   $135,976,205
* Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. The Government Securities Fund has no right to demand registration of these securities. At August 31, 2023, the aggregate value of these securities was $6,665,199 representing 4.9% of net assets.
(1) 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.
(2) Interest Only
(3) Inverse Floating Rate Security that pays interest that varies inversely to changes in the market interest rates. The interest rate shown is the current interest rate at August 31, 2023.
(4) Principal Only
FRS—Floating Rate Security
REMIC—Real Estate Mortgage Investment Conduit
SOFR30A—US 30 Day Average Secured Overnight Financing Rate
STRIPS—Separate Trading of Registered Interest and Principal
VRS—Variable Rate Security
The rates shown on FRS and/or VRS are the current interest rates at August 31, 2023 and unless noted otherwise, the dates shown are the original maturity dates.
 
54  

VALIC Company I Government Securities Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Corporate Bonds & Notes $—   $7,212,146   $—   $7,212,146
Asset Backed Securities   3,479,605     3,479,605
Collateralized Mortgage Obligations   30,482,471     30,482,471
U.S. Government & Agency Obligations   85,099,958     85,099,958
Foreign Government Obligations   2,571,983     2,571,983
Municipal Securities   259,429     259,429
Repurchase Agreements   6,428,510     6,428,510
Total Investments at Value $—   $135,534,102   $—   $135,534,102
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
See Notes to Portfolio of Investments
55

VALIC Company I Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 98.9% 
Aerospace/Defense — 2.5% 
General Dynamics Corp.     1,793 $      406,366
L3Harris Technologies, Inc.     1,423       253,422
Lockheed Martin Corp.     2,404     1,077,833
Northrop Grumman Corp.     1,545       669,124
TransDigm Group, Inc.    32,660    29,519,741
      31,926,486
Agriculture — 0.2% 
Altria Group, Inc.    13,952       616,958
Archer-Daniels-Midland Co.     4,011       318,072
Bunge, Ltd.       928       106,089
Philip Morris International, Inc.    12,597     1,210,068
      2,251,187
Apparel — 1.7% 
LVMH Moet Hennessy Louis Vuitton SE    16,756    14,212,087
NIKE, Inc., Class B    73,192     7,444,359
      21,656,446
Auto Manufacturers — 3.3% 
Cummins, Inc.     1,085       249,594
Tesla, Inc.   163,566    42,213,113
      42,462,707
Beverages — 0.6% 
Brown-Forman Corp., Class B     1,512        99,989
Coca-Cola Co.    38,022     2,274,856
Constellation Brands, Inc., Class A     1,358       353,840
Keurig Dr Pepper, Inc.     6,329       212,971
Monster Beverage Corp.    11,484       659,296
PepsiCo, Inc.    20,706     3,684,012
      7,284,964
Biotechnology — 0.6% 
Amgen, Inc.     8,031     2,058,667
Biogen, Inc.     1,022       273,242
Corteva, Inc.     7,373       372,410
Gilead Sciences, Inc.    18,748     1,433,847
Incyte Corp.     2,782       179,522
Moderna, Inc.     4,927       557,096
Regeneron Pharmaceuticals, Inc.     1,622     1,340,567
Vertex Pharmaceuticals, Inc.     3,870     1,348,076
      7,563,427
Building Materials — 0.0% 
Masco Corp.     2,402       141,742
Vulcan Materials Co.     1,180       257,535
      399,277
Chemicals — 0.3% 
Air Products & Chemicals, Inc.     3,338       986,346
Albemarle Corp.     1,762       350,127
CF Industries Holdings, Inc.     2,930       225,815
FMC Corp.     1,879       162,026
Linde PLC     4,487     1,736,649
Mosaic Co.     4,992       193,939
      3,654,902
Commercial Services — 1.8% 
Automatic Data Processing, Inc.     6,209     1,580,874
Cintas Corp.       767       386,698
CoStar Group, Inc.     6,140       503,419
Equifax, Inc.       903        186,650
Security Description   Shares or
Principal
Amount
Value
 
Commercial Services (continued) 
FleetCor Technologies, Inc.       587 $      159,506
Gartner, Inc.     1,187       415,070
MarketAxess Holdings, Inc.       277        66,738
Moody's Corp.     1,114       375,195
Quanta Services, Inc.     2,182       457,936
Rollins, Inc.     3,480       137,704
S&P Global, Inc.    49,242    19,246,728
Verisk Analytics, Inc.     1,002       242,704
      23,759,222
Computers — 10.4% 
Accenture PLC, Class A     4,652     1,506,178
Apple, Inc.   701,678   131,824,246
EPAM Systems, Inc.       592       153,322
Fortinet, Inc.     9,795       589,757
Leidos Holdings, Inc.     1,340       130,663
      134,204,166
Cosmetics/Personal Care — 0.3% 
Colgate-Palmolive Co.     6,858       503,857
Kenvue, Inc.    25,903       597,064
Procter & Gamble Co.    19,484     3,007,161
      4,108,082
Distribution/Wholesale — 2.2% 
Copart, Inc.   622,570    27,909,813
Fastenal Co.     4,205       242,124
Pool Corp.       369       134,907
WW Grainger, Inc.       672       479,902
      28,766,746
Diversified Financial Services — 5.4% 
American Express Co.     4,379       691,838
Ameriprise Financial, Inc.     1,566       528,650
Cboe Global Markets, Inc.     1,062       158,992
Charles Schwab Corp.    13,178       779,479
Discover Financial Services     2,215       199,505
Mastercard, Inc., Class A    36,754    15,166,171
Nasdaq, Inc.     3,258       170,980
Raymond James Financial, Inc.     2,867       299,859
Visa, Inc., Class A   213,478    52,447,275
      70,442,749
Electric — 0.1% 
AES Corp.     5,935       106,415
NRG Energy, Inc.     1,626        61,056
PG&E Corp.    24,297       396,041
Sempra     5,675       398,498
WEC Energy Group, Inc.     2,465       207,356
      1,169,366
Electrical Components & Equipment — 0.0% 
AMETEK, Inc.     1,731       276,112
Electronics — 0.1% 
Agilent Technologies, Inc.     2,667       322,894
Amphenol Corp., Class A     8,947       790,736
Keysight Technologies, Inc.     1,445       192,618
Mettler-Toledo International, Inc.       215       260,898
      1,567,146
Energy-Alternate Sources — 0.0% 
Enphase Energy, Inc.     2,059        260,525
 
56  

VALIC Company I Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Energy-Alternate Sources (continued) 
First Solar, Inc.     1,494 $      282,545
SolarEdge Technologies, Inc.       847       137,697
      680,767
Entertainment — 1.1% 
Evolution AB*   133,708    14,486,407
Environmental Control — 0.1% 
Republic Services, Inc.     1,700       245,021
Waste Management, Inc.     3,282       514,552
      759,573
Food — 0.2% 
Campbell Soup Co.     1,779        74,184
General Mills, Inc.     6,003       406,163
Hershey Co.     2,215       475,915
Hormel Foods Corp.     3,134       120,941
Kellogg Co.     2,126       129,729
Lamb Weston Holdings, Inc.     2,190       213,328
McCormick & Co., Inc.     1,923       157,840
Mondelez International, Inc., Class A    11,052       787,565
      2,365,665
Gas — 0.0% 
Atmos Energy Corp.     1,324       153,518
Hand/Machine Tools — 0.0% 
Snap-on, Inc.       454       121,944
Healthcare-Products — 6.0% 
Abbott Laboratories    13,590     1,398,411
Bio-Techne Corp.     1,135        88,984
Boston Scientific Corp.   227,004    12,244,596
Danaher Corp.   123,077    32,615,405
Hologic, Inc.     3,699       276,463
IDEXX Laboratories, Inc.       611       312,471
Insulet Corp.     1,048       200,912
Intuitive Surgical, Inc.    85,567    26,755,090
ResMed, Inc.     1,192       190,231
Thermo Fisher Scientific, Inc.     5,798     3,230,066
Waters Corp.       887       249,070
      77,561,699
Healthcare-Services — 2.8% 
Elevance Health, Inc.     3,563     1,574,882
HCA Healthcare, Inc.     1,674       464,200
Humana, Inc.     1,202       554,879
IQVIA Holdings, Inc.     1,339       298,102
Molina Healthcare, Inc.       877       271,975
Quest Diagnostics, Inc.     1,110       145,965
UnitedHealth Group, Inc.    68,355    32,576,626
      35,886,629
Home Builders — 0.0% 
D.R. Horton, Inc.     2,333       277,674
Household Products/Wares — 0.0% 
Clorox Co.       835       130,636
Kimberly-Clark Corp.     2,434       313,572
      444,208
Insurance — 0.4% 
Aon PLC, Class A     2,026       675,448
Arch Capital Group, Ltd.     5,597       430,185
Arthur J. Gallagher & Co.     2,060        474,789
Security Description   Shares or
Principal
Amount
Value
 
Insurance (continued) 
Brown & Brown, Inc.     2,089 $      154,795
Chubb, Ltd.     3,548       712,687
Everest Group, Ltd.       375       135,255
Globe Life, Inc.       935       104,318
Marsh & McLennan Cos., Inc.     4,759       927,957
Principal Financial Group, Inc.     2,070       160,860
Progressive Corp.     8,798     1,174,269
Travelers Cos., Inc.     1,875       302,306
W.R. Berkley Corp.     3,018       186,694
      5,439,563
Internet — 15.6% 
Alphabet, Inc., Class A   424,464    57,799,263
Alphabet, Inc., Class C    76,807    10,549,441
Amazon.com, Inc.   652,569    90,061,048
CDW Corp.     1,277       269,638
Etsy, Inc.     1,076        79,161
Gen Digital, Inc.     4,531        91,753
Meta Platforms, Inc., Class A    36,758    10,876,325
Netflix, Inc.    51,966    22,536,615
Palo Alto Networks, Inc.    38,781     9,435,417
VeriSign, Inc.       667       138,596
      201,837,257
Iron/Steel — 0.1% 
Nucor Corp.     3,776       649,850
Steel Dynamics, Inc.     2,414       257,308
      907,158
Lodging — 0.0% 
Hilton Worldwide Holdings, Inc.     1,909       283,773
Marriott International, Inc., Class A     1,977       402,339
      686,112
Machinery-Construction & Mining — 0.1% 
Caterpillar, Inc.     4,647     1,306,411
Machinery-Diversified — 0.1% 
Deere & Co.     4,052     1,665,129
IDEX Corp.       648       146,707
      1,811,836
Media — 0.0% 
FactSet Research Systems, Inc.       345       150,561
Mining — 0.1% 
Freeport-McMoRan, Inc.    21,541       859,701
Miscellaneous Manufacturing — 0.1% 
Axon Enterprise, Inc.     1,055       224,620
Illinois Tool Works, Inc.     2,119       524,135
      748,755
Oil & Gas — 1.5% 
APA Corp.     4,637       203,286
Chevron Corp.    26,753     4,309,908
ConocoPhillips    18,186     2,164,680
Coterra Energy, Inc.    11,384       320,915
Devon Energy Corp.     9,644       492,712
Diamondback Energy, Inc.     2,722       413,145
EOG Resources, Inc.     8,791     1,130,698
EQT Corp.     5,435       234,901
Exxon Mobil Corp.    60,767     6,756,683
Hess Corp.     4,153       641,638
Marathon Oil Corp.     9,282       244,581
Marathon Petroleum Corp.     3,061        437,019
 
57

VALIC Company I Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Oil & Gas (continued) 
Occidental Petroleum Corp.    10,799 $      678,069
Pioneer Natural Resources Co.     3,512       835,610
      18,863,845
Oil & Gas Services — 0.0% 
Schlumberger NV    11,354       669,432
Pharmaceuticals — 5.0% 
AbbVie, Inc.    26,517     3,896,938
Bristol-Myers Squibb Co.    31,576     1,946,660
Cigna Group     2,180       602,247
Dexcom, Inc.     5,826       588,309
Eli Lilly & Co.    63,634    35,265,963
Johnson & Johnson    22,439     3,627,938
McKesson Corp.       937       386,344
Merck & Co., Inc.    38,137     4,156,170
Pfizer, Inc.    84,848     3,001,922
Zoetis, Inc.    56,364    10,737,906
      64,210,397
Pipelines — 1.0% 
Cheniere Energy, Inc.    70,029    11,428,733
ONEOK, Inc.     6,725       438,470
Targa Resources Corp.     3,397       292,991
Williams Cos., Inc.    18,309       632,210
      12,792,404
Private Equity — 1.0% 
Blackstone, Inc.   119,104    12,669,092
REITS — 0.2% 
American Tower Corp.     3,712       673,060
Extra Space Storage, Inc.     1,586       204,086
Iron Mountain, Inc.     2,760       175,370
Public Storage     1,474       407,384
SBA Communications Corp.       911       204,547
VICI Properties, Inc.     8,603       265,317
Weyerhaeuser Co.     6,275       205,506
      2,135,270
Retail — 2.0% 
AutoZone, Inc.       277       701,178
Chipotle Mexican Grill, Inc.     6,279    12,097,373
Costco Wholesale Corp.     4,400     2,416,832
Dollar General Corp.     3,294       456,219
Dollar Tree, Inc.     3,125       382,375
Domino's Pizza, Inc.       244        94,526
Genuine Parts Co.     1,521       233,823
Home Depot, Inc.     8,067     2,664,530
Lowe's Cos., Inc.     6,184     1,425,288
McDonald's Corp.     6,803     1,912,663
O'Reilly Automotive, Inc.       916       860,765
Starbucks Corp.     8,787       856,205
TJX Cos., Inc.    11,076     1,024,309
Tractor Supply Co.     1,647       359,870
Ulta Beauty, Inc.       753       312,518
Yum! Brands, Inc.     2,695       348,679
      26,147,153
Semiconductors — 12.6% 
Advanced Micro Devices, Inc.    13,071     1,381,866
Analog Devices, Inc.     3,573       649,500
Applied Materials, Inc.    12,701     1,940,205
ASML Holding NV    50,115     33,102,461
Security Description   Shares or
Principal
Amount
Value
 
Semiconductors (continued) 
Broadcom, Inc.    37,428 $   34,541,927
KLA Corp.     2,061     1,034,354
Lam Research Corp.     2,018     1,417,443
Microchip Technology, Inc.     4,035       330,224
Monolithic Power Systems, Inc.       677       352,859
NVIDIA Corp.   169,416    83,615,267
NXP Semiconductors NV     2,302       473,567
ON Semiconductor Corp.     6,491       639,104
QUALCOMM, Inc.    16,744     1,917,690
Teradyne, Inc.     1,142       123,188
Texas Instruments, Inc.     8,595     1,444,476
      162,964,131
Software — 19.1% 
Activision Blizzard, Inc.     6,344       583,585
Adobe, Inc.     3,241     1,812,821
Autodesk, Inc.     1,771       393,056
Broadridge Financial Solutions, Inc.       851       158,465
Cadence Design Systems, Inc.   130,392    31,351,453
Electronic Arts, Inc.     2,662       319,387
Fair Isaac Corp.       376       340,126
Fiserv, Inc.     6,403       777,260
Intuit, Inc.    89,705    48,603,066
Jack Henry & Associates, Inc.     1,096       171,831
Microsoft Corp.   340,528   111,611,457
MSCI, Inc.    20,343    11,058,862
Oracle Corp.    13,647     1,642,962
Paychex, Inc.     2,749       336,010
Paycom Software, Inc.       730       215,233
PTC, Inc.     1,601       235,619
Roper Technologies, Inc.    37,189    18,559,542
ServiceNow, Inc.    29,974    17,649,590
Synopsys, Inc.     2,290     1,050,858
Tyler Technologies, Inc.       297       118,334
      246,989,517
Telecommunications — 0.1% 
Arista Networks, Inc.     3,753       732,698
Motorola Solutions, Inc.     1,386       393,028
T-Mobile US, Inc.     5,887       802,104
      1,927,830
Transportation — 0.2% 
C.H. Robinson Worldwide, Inc.       946        85,547
CSX Corp.    14,668       442,973
Expeditors International of Washington, Inc.     2,297       268,083
JB Hunt Transport Services, Inc.     1,246       234,098
Old Dominion Freight Line, Inc.     1,351       577,377
Union Pacific Corp.     4,582     1,010,652
      2,618,730
Total Common Stocks
(cost $1,028,665,075)
    1,279,966,224
CONVERTIBLE PREFERRED STOCKS — 0.6% 
Internet — 0.6% 
ByteDance, Ltd.,
Series E-1(1)(2)
(cost $5,246,960)
   47,885     8,317,138
 
58  

VALIC Company I Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
UNAFFILIATED INVESTMENT COMPANIES — 0.5% 
SPDR Portfolio S&P 500 Growth ETF #
(cost $6,474,244)
  107,000   $    6,687,500
Total Long-Term Investment Securities
(cost $1,040,386,279)
      1,294,970,862
SHORT-TERM INVESTMENTS — 0.1% 
Unaffiliated Investment Companies — 0.1% 
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(3)(4)
  844,800         844,800
U.S. Government — 0.0% 
United States Treasury Bills        
3.97%, 10/05/2023(5)   $ 20,000          19,900
Total Short-Term Investments
(cost $864,725)
      864,700
REPURCHASE AGREEMENTS — 0.0% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $181,848 and collateralized by $181,900 of United States Treasury Notes, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $185,508
(cost $181,839)
  181,839         181,839
TOTAL INVESTMENTS
(cost $1,041,432,843)
  100.1%   1,296,017,401
Other assets less liabilities   (0.1)   (1,080,723)
NET ASSETS   100.0%   $1,294,936,678
Non-income producing security
* Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. The Growth Fund has no right to demand registration of these securities. At August 31, 2023, the aggregate value of these securities was $14,486,407 representing 1.1% of net assets.
# The security or a portion thereof is out on loan.
(1) Securities classified as Level 3 (see Note 1).
(2) Denotes a restricted security that: (a) cannot be offered for public sale without first being registered, or being able to take advantage of an exemption from registration, under the Securities Act of 1933, as amended (the “1933 Act”); (b) is subject to a contractual restriction on public sales; or (c) is otherwise subject to a restriction on sales by operation of applicable law.  Restricted securities are valued pursuant to Note 1.  Certain restricted securities held by the Fund may not be sold except in exempt transactions or in a public offering registered under the 1933 Act. The Fund has no right to demand registration of these securities. The risk of investing in certain restricted securities is greater than the risk of investing in the securities of widely held, publicly traded companies. To the extent applicable, lack of a secondary market and resale restrictions may result in the inability of a Fund to sell a security at a fair price and may substantially delay the sale of the security. In addition, certain restricted securities may exhibit greater price volatility than securities for which secondary markets exist. As of August 31, 2023, the Fund held the following restricted securities:
Description   Acquisition
Date
  Shares or
Principal
Amount
  Acquisition
Cost
  Value   Value
Per Share
  % of
Net Assets
Convertible Preferred Stocks
ByteDance, Ltd.,
Series E-1
  12/10/2020   47,885   $5,246,960   $8,317,138   $173.69   0.6%
(3) The rate shown is the 7-day yield as of August 31, 2023.
(4) At August 31, 2023, the Fund had loaned securities with a total value of $825,000.  This was secured by collateral of $844,800, which was received in cash and subsequently invested in short-term investments currently valued at $844,800 as reported in the Portfolio of Investments.
(5) The security or a portion thereof was pledged as collateral to cover margin requirements for open futures contracts.
ETF—Exchange Traded Fund
 
Futures Contracts

Number
of
Contracts
Type Description Expiration
Month
Notional
Basis*
Notional
Value*
Unrealized
Appreciation
1 Long S&P 500 E-Mini Index September 2023 $219,424 $225,800 $6,376
* Notional basis refers to the contractual amount agreed upon at inception of the open contract; notional value represents the current value of the open contract.
59

VALIC Company I Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $1,279,966,224   $  $  $1,279,966,224
Convertible Preferred Stocks     8,317,138   8,317,138
Unaffiliated Investment Companies 6,687,500       6,687,500
Short-Term Investments:              
U.S. Government   19,900     19,900
Other Short-Term Investments 844,800       844,800
Repurchase Agreements   181,839     181,839
Total Investments at Value $1,287,498,524   $201,739   $8,317,138   $1,296,017,401
Other Financial Instruments:              
Futures Contracts $6,376   $  $  $6,376
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Amounts represent unrealized appreciation/depreciation as of the end of the reporting period.
Level 3 investments in securities were not considered a significant portion of the Fund's net assets.
See Notes to Portfolio of Investments
60  

VALIC Company I High Yield Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES — 94.9% 
Advertising — 1.0% 
Clear Channel Outdoor Holdings, Inc.      
9.00%, 09/15/2028*   $ 1,640,000 $  1,648,200
Lamar Media Corp.      
3.75%, 02/15/2028    2,500,000   2,271,000
      3,919,200
Aerospace/Defense — 2.1% 
Spirit AeroSystems, Inc.      
9.38%, 11/30/2029*    2,725,000   2,839,763
TransDigm, Inc.      
5.50%, 11/15/2027    1,355,000   1,285,924
6.25%, 03/15/2026*    2,635,000   2,609,887
6.75%, 08/15/2028*    1,290,000   1,294,522
      8,030,096
Agriculture — 0.6% 
Darling Ingredients, Inc.      
6.00%, 06/15/2030*    2,295,000   2,242,985
Apparel — 0.5% 
Crocs, Inc.      
4.13%, 08/15/2031*    1,058,000     838,465
4.25%, 03/15/2029*    1,138,000     959,584
      1,798,049
Auto Manufacturers — 0.6% 
Ford Motor Co.      
3.25%, 02/12/2032      540,000     421,529
Ford Motor Credit Co. LLC      
4.54%, 08/01/2026    1,415,000   1,333,706
4.95%, 05/28/2027      720,000     675,613
      2,430,848
Auto Parts & Equipment — 1.0% 
Adient Global Holdings, Ltd.      
4.88%, 08/15/2026*    2,580,000   2,484,669
Clarios Global LP/Clarios US Finance Co.      
6.75%, 05/15/2028*    1,490,000   1,486,066
      3,970,735
Banks — 0.8% 
Barclays PLC      
8.00%, 03/15/2029(1)    1,125,000   1,005,593
UBS Group AG      
4.88%, 02/12/2027(1)    2,450,000   2,043,300
      3,048,893
Building Materials — 1.5% 
Builders FirstSource, Inc.      
5.00%, 03/01/2030*    2,860,000   2,627,131
Emerald Debt Merger Sub LLC      
6.63%, 12/15/2030*    2,030,000   1,998,372
Standard Industries, Inc.      
4.38%, 07/15/2030*    1,350,000   1,157,240
      5,782,743
Chemicals — 0.5% 
Avient Corp.      
7.13%, 08/01/2030*    2,090,000   2,088,001
Commercial Services — 3.7% 
Block, Inc.      
2.75%, 06/01/2026      825,000     750,220
3.50%, 06/01/2031#      635,000      520,678
Security Description   Shares or
Principal
Amount
Value
 
Commercial Services (continued) 
Herc Holdings, Inc.      
5.50%, 07/15/2027*   $ 2,430,000 $  2,336,628
Service Corp. International      
3.38%, 08/15/2030    2,625,000   2,166,926
Signal Parent, Inc.      
6.13%, 04/01/2029*    1,332,000     865,800
TriNet Group, Inc.      
7.13%, 08/15/2031*    1,925,000   1,935,819
United Rentals North America, Inc.      
4.88%, 01/15/2028    3,735,000   3,553,670
Williams Scotsman International, Inc.      
4.63%, 08/15/2028*    2,159,000   1,970,087
      14,099,828
Computers — 2.0% 
McAfee Corp.      
7.38%, 02/15/2030*    4,255,000   3,722,734
Presidio Holdings, Inc.      
4.88%, 02/01/2027*    3,231,000   3,020,830
8.25%, 02/01/2028*    1,040,000   1,007,523
      7,751,087
Cosmetics/Personal Care — 0.2% 
Coty, Inc./HFC Prestige Products, Inc./HFC Prestige International US LLC      
6.63%, 07/15/2030*      805,000     805,149
Distribution/Wholesale — 1.0% 
American Builders & Contractors Supply Co., Inc.      
4.00%, 01/15/2028*    2,125,000   1,923,894
Windsor Holdings III LLC      
8.50%, 06/15/2030*    1,925,000   1,933,397
      3,857,291
Diversified Financial Services — 3.8% 
Credit Acceptance Corp.      
5.13%, 12/31/2024*    1,070,000   1,042,209
6.63%, 03/15/2026#      715,000     695,938
Enact Holdings, Inc.      
6.50%, 08/15/2025*    2,515,000   2,492,286
Nationstar Mortgage Holdings, Inc.      
5.13%, 12/15/2030*    2,180,000   1,846,616
5.50%, 08/15/2028*      200,000     181,237
OneMain Finance Corp.      
5.38%, 11/15/2029    2,460,000   2,124,948
6.88%, 03/15/2025      555,000     552,212
7.13%, 03/15/2026      475,000     467,278
9.00%, 01/15/2029      801,000     812,014
PennyMac Financial Services, Inc.      
5.38%, 10/15/2025*    2,350,000   2,274,400
United Wholesale Mtg. LLC      
5.50%, 04/15/2029*    2,240,000   1,943,200
      14,432,338
Electric — 0.9% 
Clearway Energy Operating LLC      
3.75%, 02/15/2031 to 01/15/2032*    2,420,000   1,988,744
4.75%, 03/15/2028*    1,415,000   1,308,374
      3,297,118
Electrical Components & Equipment — 0.3% 
Energizer Holdings, Inc.      
6.50%, 12/31/2027*#    1,320,000   1,275,278
 
61

VALIC Company I High Yield Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Electronics — 1.3% 
Coherent Corp.      
5.00%, 12/15/2029*#   $ 2,717,000 $  2,413,239
Imola Merger Corp.      
4.75%, 05/15/2029*    3,060,000   2,719,903
      5,133,142
Entertainment — 3.3% 
Caesars Entertainment, Inc.      
4.63%, 10/15/2029*#    1,050,000     919,099
8.13%, 07/01/2027*#    2,615,000   2,655,093
Cinemark USA, Inc.      
5.25%, 07/15/2028*    1,200,000   1,065,888
Cirsa Finance International Sarl      
7.88%, 07/31/2028* EUR  1,090,000   1,185,760
Penn Entertainment, Inc.      
5.63%, 01/15/2027*    2,175,000   2,069,230
Speedway Motorsports LLC/Speedway Funding II, Inc.      
4.88%, 11/01/2027*    2,633,000   2,433,327
Warnermedia Holdings, Inc.      
3.76%, 03/15/2027    1,000,000     937,918
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp.      
7.13%, 02/15/2031*    1,285,000   1,262,777
      12,529,092
Environmental Control — 0.3% 
Clean Harbors, Inc.      
4.88%, 07/15/2027*    1,225,000   1,170,494
Food — 1.8% 
B&G Foods, Inc.      
5.25%, 09/15/2027#    1,290,000   1,142,962
Iceland Bondco PLC      
10.88%, 12/15/2027* GBP    450,000     575,133
Performance Food Group, Inc.      
4.25%, 08/01/2029*      150,000     132,009
5.50%, 10/15/2027*    2,590,000   2,493,931
Post Holdings, Inc.      
5.63%, 01/15/2028*    2,524,000   2,420,220
5.75%, 03/01/2027*      184,000     179,823
      6,944,078
Food Service — 0.2% 
Aramark Services, Inc.      
5.00%, 02/01/2028*      950,000     886,270
Gas — 0.8% 
AmeriGas Partners LP/AmeriGas Finance Corp.      
5.50%, 05/20/2025      751,000     737,038
5.88%, 08/20/2026    1,979,000   1,877,475
9.38%, 06/01/2028*      460,000     471,514
      3,086,027
Healthcare-Products — 2.4% 
Avantor Funding, Inc.      
4.63%, 07/15/2028*    2,955,000   2,743,079
Medline Borrower LP      
3.88%, 04/01/2029*    5,505,000   4,805,729
5.25%, 10/01/2029*    1,789,000   1,588,679
      9,137,487
Security Description   Shares or
Principal
Amount
Value
 
Healthcare-Services — 2.4% 
Catalent Pharma Solutions, Inc.      
3.50%, 04/01/2030*   $   615,000 $    519,048
5.00%, 07/15/2027*      545,000     508,894
CHS/Community Health Systems, Inc.      
4.75%, 02/15/2031*    2,560,000   1,907,200
HCA, Inc.      
7.50%, 11/15/2095      567,000     624,621
IQVIA, Inc.      
5.00%, 05/15/2027*    1,550,000   1,492,010
Tenet Healthcare Corp.      
6.13%, 06/15/2030    4,425,000   4,287,876
      9,339,649
Home Builders — 4.0% 
Ashton Woods USA LLC/Ashton Woods Finance Co.      
4.63%, 08/01/2029 to 04/01/2030*    2,629,000   2,271,291
6.63%, 01/15/2028*    2,056,000   1,964,491
Century Communities, Inc.      
3.88%, 08/15/2029*    2,690,000   2,317,634
KB Home      
4.00%, 06/15/2031    1,215,000   1,023,492
4.80%, 11/15/2029      760,000     685,520
6.88%, 06/15/2027      575,000     580,692
M/I Homes, Inc.      
3.95%, 02/15/2030    1,910,000   1,628,275
4.95%, 02/01/2028      720,000     668,056
STL Holding Co. LLC      
7.50%, 02/15/2026*    1,840,000   1,711,855
Taylor Morrison Communities, Inc.      
5.13%, 08/01/2030*      430,000     394,372
5.75%, 01/15/2028*    2,055,000   1,991,829
      15,237,507
Insurance — 1.9% 
AssuredPartners, Inc.      
5.63%, 01/15/2029*    2,740,000   2,380,309
HUB International, Ltd.      
7.00%, 05/01/2026*      693,000     691,702
7.25%, 06/15/2030*    1,125,000   1,145,126
MGIC Investment Corp.      
5.25%, 08/15/2028    2,310,000   2,204,576
NMI Holdings, Inc.      
7.38%, 06/01/2025*      775,000     780,247
      7,201,960
Internet — 3.3% 
Gen Digital, Inc.      
6.75%, 09/30/2027*    1,600,000   1,604,033
7.13%, 09/30/2030*#    1,600,000   1,610,760
Go Daddy Operating Co. LLC/GD Finance Co., Inc.      
3.50%, 03/01/2029*    2,720,000   2,337,957
Newfold Digital Holdings Group Inc      
6.00%, 02/15/2029*    2,850,000   2,161,098
Uber Technologies, Inc.      
4.50%, 08/15/2029*#    4,282,000   3,920,654
8.00%, 11/01/2026*      960,000     977,469
      12,611,971
Iron/Steel — 0.6% 
ATI, Inc.      
4.88%, 10/01/2029    1,154,000    1,041,867
 
62  

VALIC Company I High Yield Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Iron/Steel (continued) 
5.88%, 12/01/2027   $ 1,096,000 $  1,065,860
7.25%, 08/15/2030      325,000     327,844
      2,435,571
Leisure Time — 4.5% 
Carnival Corp.      
5.75%, 03/01/2027*    1,229,000   1,156,628
6.00%, 05/01/2029*    2,890,000   2,609,313
7.63%, 03/01/2026* EUR    360,000     388,980
10.50%, 06/01/2030*      950,000   1,011,874
MajorDrive Holdings IV LLC      
6.38%, 06/01/2029*    2,045,000   1,685,203
NCL Corp., Ltd.      
5.88%, 02/15/2027*    1,665,000   1,613,465
8.38%, 02/01/2028*    1,635,000   1,685,307
Royal Caribbean Cruises, Ltd.      
5.38%, 07/15/2027*      190,000     178,793
5.50%, 08/31/2026*    3,175,000   3,042,339
7.25%, 01/15/2030*      665,000     675,105
8.25%, 01/15/2029*      625,000     653,164
11.63%, 08/15/2027*      555,000     604,742
Viking Cruises, Ltd.      
5.88%, 09/15/2027*      500,000     467,500
9.13%, 07/15/2031*    1,400,000   1,446,393
      17,218,806
Lodging — 2.0% 
Boyd Gaming Corp.      
4.75%, 12/01/2027      275,000     257,455
4.75%, 06/15/2031*    2,750,000   2,422,156
Sands China, Ltd.      
5.65%, 08/08/2028      991,000     935,445
Sugarhouse HSP Gaming Prop Mezz LP/Sugarhouse HSP Gaming Finance Corp.      
5.88%, 05/15/2025*    1,310,000   1,267,475
Wynn Las Vegas LLC/Wynn Las Vegas Capital Corp.      
5.25%, 05/15/2027*    1,290,000   1,221,012
5.50%, 03/01/2025*    1,785,000   1,763,371
      7,866,914
Machinery-Diversified — 0.3% 
TK Elevator US Newco, Inc.      
5.25%, 07/15/2027*    1,195,000   1,120,193
Media — 5.9% 
CCO Holdings LLC / CCO Holdings Capital Corp.      
7.38%, 03/01/2031*    2,875,000   2,858,454
CCO Holdings LLC/CCO Holdings Capital Corp.      
4.25%, 02/01/2031 to 01/15/2034*    4,195,000   3,351,188
4.50%, 08/15/2030*    1,155,000     971,583
4.50%, 05/01/2032    1,240,000   1,005,262
CSC Holdings LLC      
5.25%, 06/01/2024      625,000     592,857
5.75%, 01/15/2030*    2,600,000   1,437,748
DISH DBS Corp.      
5.75%, 12/01/2028*      775,000     601,609
5.88%, 11/15/2024      785,000     730,143
DISH Network Corp.      
11.75%, 11/15/2027*      680,000      689,956
Security Description   Shares or
Principal
Amount
Value
 
Media (continued) 
Scripps Escrow, Inc.      
5.88%, 07/15/2027*   $ 3,160,000 $  2,553,217
Sirius XM Radio, Inc.      
3.13%, 09/01/2026*    2,850,000   2,572,695
4.13%, 07/01/2030*    1,125,000     917,134
UPC Broadband Finco BV      
4.88%, 07/15/2031*    2,800,000   2,310,980
Virgin Media Secured Finance PLC      
4.50%, 08/15/2030*    2,510,000   2,119,356
      22,712,182
Metal Fabricate/Hardware — 0.7% 
Advanced Drainage Systems, Inc.      
5.00%, 09/30/2027*    1,673,000   1,597,715
6.38%, 06/15/2030*    1,147,000   1,129,840
      2,727,555
Mining — 2.3% 
Constellium SE      
3.75%, 04/15/2029*      415,000     356,548
5.63%, 06/15/2028*      250,000     236,276
5.88%, 02/15/2026*      936,000     918,478
FMG Resources August 2006 Pty, Ltd.      
4.38%, 04/01/2031*       75,000      62,846
4.50%, 09/14/2027*    1,010,000     931,816
5.88%, 04/15/2030*    3,470,000   3,219,982
Novelis Corp.      
3.88%, 08/15/2031*      845,000     699,628
4.75%, 01/30/2030*    2,530,000   2,264,202
      8,689,776
Office/Business Equipment — 0.2% 
Xerox Holdings Corp.      
5.00%, 08/15/2025*      615,000     586,520
Oil & Gas — 5.0% 
Apache Corp.      
4.38%, 10/15/2028    1,950,000   1,797,237
Earthstone Energy Holdings LLC      
8.00%, 04/15/2027*    2,425,000   2,475,173
Matador Resources Co.      
6.88%, 04/15/2028*    1,895,000   1,892,004
Noble Finance II LLC      
8.00%, 04/15/2030*    2,845,000   2,941,756
Northern Oil and Gas, Inc.      
8.75%, 06/15/2031*    1,000,000   1,021,519
Range Resources Corp.      
4.75%, 02/15/2030*      895,000     808,158
4.88%, 05/15/2025      955,000     933,512
SM Energy Co.      
6.50%, 07/15/2028      465,000     454,538
6.75%, 09/15/2026    2,735,000   2,723,513
Southwestern Energy Co.      
4.75%, 02/01/2032    2,560,000   2,267,791
Transocean, Inc.      
8.75%, 02/15/2030*    1,762,250   1,802,808
      19,118,009
Oil & Gas Services — 2.1% 
Enerflex, Ltd.      
9.00%, 10/15/2027*    3,955,000   3,934,534
Weatherford International, Ltd.      
8.63%, 04/30/2030*    4,025,000   4,122,434
      8,056,968
 
63

VALIC Company I High Yield Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Packaging & Containers — 2.8% 
Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc.      
4.13%, 08/15/2026*   $ 1,325,000 $  1,239,291
5.25%, 08/15/2027*    2,250,000   1,927,756
Clydesdale Acquisition Holdings, Inc.      
6.63%, 04/15/2029*      385,000     366,347
8.75%, 04/15/2030*    1,125,000   1,017,379
Graphic Packaging International LLC      
3.75%, 02/01/2030*      965,000     822,523
Mauser Packaging Solutions Holding Co.      
7.88%, 08/15/2026*    1,005,000     989,669
9.25%, 04/15/2027*    1,525,000   1,381,791
Owens-Brockway Glass Container, Inc.      
7.25%, 05/15/2031*#      665,000     670,952
Trivium Packaging Finance BV      
5.50%, 08/15/2026*    1,245,000   1,174,233
8.50%, 08/15/2027*    1,025,000     976,879
      10,566,820
Pharmaceuticals — 1.8% 
Bausch Health Cos, Inc.      
11.00%, 09/30/2028*    1,400,000     999,512
Owens & Minor, Inc.      
6.63%, 04/01/2030*#    3,480,000   3,165,794
Prestige Brands, Inc.      
5.13%, 01/15/2028*    1,800,000   1,701,105
Teva Pharmaceutical Finance Netherlands II BV      
7.88%, 09/15/2031 EUR    910,000   1,032,446
      6,898,857
Pipelines — 4.8% 
Buckeye Partners LP      
3.95%, 12/01/2026    1,926,000   1,776,465
4.13%, 03/01/2025*      545,000     524,851
4.13%, 12/01/2027      765,000     695,607
4.50%, 03/01/2028*      960,000     871,200
Crestwood Midstream Partners LP / Crestwood Midstream Finance Corp.      
6.00%, 02/01/2029*      400,000     392,688
7.38%, 02/01/2031*    2,700,000   2,781,432
DT Midstream, Inc.      
4.13%, 06/15/2029*    2,863,000   2,536,387
EnLink Midstream LLC      
5.38%, 06/01/2029      775,000     738,889
5.63%, 01/15/2028*    2,245,000   2,171,746
6.50%, 09/01/2030*      190,000     190,486
EnLink Midstream Partners LP      
5.05%, 04/01/2045      852,000     679,508
EQM Midstream Partners LP      
4.50%, 01/15/2029*    1,415,000   1,285,649
4.75%, 01/15/2031*#    1,935,000   1,709,918
6.50%, 07/01/2027*      685,000     680,666
6.50%, 07/15/2048    1,035,000     939,519
7.50%, 06/01/2027 to 06/01/2030*      290,000     295,049
      18,270,060
REITS — 1.9% 
Iron Mountain, Inc.      
5.25%, 07/15/2030*    1,075,000     970,000
7.00%, 02/15/2029*    1,975,000   1,969,593
Ladder Capital Finance Holdings LLLP/Ladder Capital Finance Corp.      
4.25%, 02/01/2027*    1,462,000    1,322,156
Security Description   Shares or
Principal
Amount
Value
 
REITS (continued) 
5.25%, 10/01/2025*   $   970,000 $    932,009
RHP Hotel Properties LP/RHP Finance Corp.      
7.25%, 07/15/2028*    1,950,000   1,959,744
      7,153,502
Retail — 7.7% 
1011778 BC ULC/New Red Finance, Inc.      
3.50%, 02/15/2029*    1,570,000   1,374,555
3.88%, 01/15/2028*    2,965,000   2,696,798
4.00%, 10/15/2030*      760,000     643,835
Asbury Automotive Group, Inc.      
4.63%, 11/15/2029*#    1,240,000   1,093,908
4.75%, 03/01/2030      355,000     311,218
5.00%, 02/15/2032*      880,000     754,940
FirstCash, Inc.      
4.63%, 09/01/2028*    1,610,000   1,431,951
Gap, Inc.      
3.88%, 10/01/2031*    1,760,000   1,275,393
LBM Acquisition LLC      
6.25%, 01/15/2029*    5,027,000   4,386,466
Michaels Cos., Inc.      
5.25%, 05/01/2028*    3,585,000   2,988,994
PetSmart, Inc./PetSmart Finance Corp.      
4.75%, 02/15/2028*    2,690,000   2,413,010
7.75%, 02/15/2029*      925,000     883,386
Specialty Building Products Holdings LLC/SBP Finance Corp.      
6.38%, 09/30/2026*    3,650,000   3,494,656
SRS Distribution, Inc.      
4.63%, 07/01/2028*    1,450,000   1,290,533
6.00%, 12/01/2029*    1,025,000     876,375
Staples, Inc.      
7.50%, 04/15/2026*    1,145,000     947,370
Yum! Brands, Inc.      
3.63%, 03/15/2031      458,000     388,395
4.63%, 01/31/2032      993,000     888,476
5.38%, 04/01/2032    1,624,000   1,524,127
      29,664,386
Semiconductors — 0.6% 
Entegris Escrow Corp.      
4.75%, 04/15/2029*    2,620,000   2,437,516
Software — 5.1% 
AthenaHealth Group, Inc.      
6.50%, 02/15/2030*    3,430,000   2,978,856
Black Knight InfoServ LLC      
3.63%, 09/01/2028*      605,000     556,600
Dun & Bradstreet Corp.      
5.00%, 12/15/2029*#    2,895,000   2,598,205
Fair Isaac Corp.      
4.00%, 06/15/2028*    1,450,000   1,325,950
MSCI, Inc.      
3.63%, 09/01/2030*    1,240,000   1,072,314
3.88%, 02/15/2031*      420,000     366,444
4.00%, 11/15/2029*      715,000     643,240
Open Text Corp.      
3.88%, 02/15/2028 to 12/01/2029*    2,205,000   1,924,983
6.90%, 12/01/2027*      260,000     263,389
Open Text Holdings, Inc.      
4.13%, 02/15/2030 to 12/01/2031*    1,530,000   1,292,971
PTC, Inc.      
3.63%, 02/15/2025*      880,000     849,317
4.00%, 02/15/2028*    1,275,000    1,171,406
 
64  

VALIC Company I High Yield Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES (continued) 
Software (continued) 
ROBLOX Corp.      
3.88%, 05/01/2030*   $ 2,980,000 $  2,458,510
SS&C Technologies, Inc.      
5.50%, 09/30/2027*    2,040,000   1,963,908
      19,466,093
Telecommunications — 3.7% 
Altice France Holding SA      
8.00%, 05/15/2027 EUR    590,000     303,302
10.50%, 05/15/2027*    1,100,000     596,860
Altice France SA      
5.50%, 01/15/2028 to 10/15/2029*      925,000     682,361
8.13%, 02/01/2027*    2,840,000   2,400,198
Embarq Corp.      
8.00%, 06/01/2036    1,655,000   1,008,160
Frontier Communications Holdings LLC      
5.00%, 05/01/2028*    1,650,000   1,413,808
5.88%, 10/15/2027*    1,800,000   1,639,443
5.88%, 11/01/2029#      757,036     560,648
6.75%, 05/01/2029*      645,000     500,562
Iliad Holding SASU      
6.50%, 10/15/2026*      760,000     725,181
7.00%, 10/15/2028*      655,000     609,521
Kaixo Bondco Telecom SA      
5.13%, 09/30/2029* EUR    985,000     937,121
Lorca Telecom Bondco SA      
4.00%, 09/18/2027* EUR  1,230,000   1,233,720
Telecom Italia Capital SA      
6.38%, 11/15/2033    1,375,000   1,208,315
7.20%, 07/18/2036      340,000     307,288
7.72%, 06/04/2038       90,000      83,221
      14,209,709
Toys/Games/Hobbies — 0.3% 
Mattel, Inc.      
3.38%, 04/01/2026*      495,000     460,798
5.88%, 12/15/2027*      635,000     622,810
      1,083,608
Transportation — 0.4% 
First Student Bidco, Inc./First Transit Parent, Inc.      
4.00%, 07/31/2029*    1,875,000   1,593,764
Total Corporate Bonds & Notes
(cost $383,488,849)
    363,984,125
CONVERTIBLE BONDS & NOTES — 1.4% 
Airlines — 0.3% 
JetBlue Airways Corp.      
0.50%, 04/01/2026    1,249,000     981,214
Commercial Services — 0.1% 
Block, Inc.      
0.13%, 03/01/2025      500,000     461,750
Healthcare-Products — 0.2% 
Insulet Corp.      
0.38%, 09/01/2026      626,000     661,056
Internet — 0.2% 
Uber Technologies, Inc.      
0.01%, 12/15/2025      650,000     608,429
Security Description   Shares or
Principal
Amount
Value
 
Machinery-Diversified — 0.2% 
Middleby Corp.      
1.00%, 09/01/2025   $   641,000 $    783,302
Oil & Gas — 0.2% 
Northern Oil and Gas, Inc.      
3.63%, 04/15/2029*      625,000     785,994
REITS — 0.2% 
Welltower OP LLC      
2.75%, 05/15/2028*      925,000     951,363
Total Convertible Bonds & Notes
(cost $5,620,273)
    5,233,108
LOANS(2)(3)(4) — 1.7%       
Computers — 0.3%       
McAfee Corp. FRS      
BTL-B
9.17%, (SOFR12+ 3.75%), 03/01/2029
   1,332,183   1,301,542
Insurance — 0.4%       
HUB International, Ltd. FRS      
BTL-B
9.58%, (SOFR4+ 4.25%), 06/20/2030
   1,535,139   1,539,926
Packaging & Containers — 0.5%       
Clydesdale Acquisition Holdings, Inc. FRS      
BTL-B
9.61%, (SOFR12+ 4.18%), 04/13/2029
   1,930,500   1,914,645
Pharmaceuticals — 0.1%       
Owens & Minor, Inc. FRS      
BTL-B
9.18%, (SOFR12+ 3.75%), 03/29/2029
     303,333     303,333
BTL-B
9.18%, (SOFR6+ 3.75%), 03/29/2029
     184,167     184,167
      487,500
Software — 0.4%       
Dun & Bradstreet Corp. FRS      
BTL-B
8.17%, (SOFR12+ 2.75%), 02/06/2026
   1,382,483   1,382,483
Total Loans
(cost $6,642,323)
    6,626,096
Total Long-Term Investment Securities
(cost $395,751,445)
    375,843,329
SHORT-TERM INVESTMENTS — 4.8% 
Unaffiliated Investment Companies — 4.8% 
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(5)(6)
(cost $18,549,925)
  18,549,925  18,549,925
 
65

VALIC Company I High Yield Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
REPURCHASE AGREEMENTS — 0.8% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $2,973,306 and collateralized by $2,973,700 of United States Treasury Notes, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $3,032,679
(cost $2,973,174)
  $ 2,973,174   $  2,973,174
TOTAL INVESTMENTS
(cost $417,274,544)
  103.6%   397,366,428
Other assets less liabilities   (3.6)   (13,765,548)
NET ASSETS   100.0%   $383,600,880
* Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. The High Yield Bond Fund has no right to demand registration of these securities. At August 31, 2023, the aggregate value of these securities was $302,063,524 representing 78.7% of net assets.
# The security or a portion thereof is out on loan.
(1) Perpetual maturity - maturity date reflects the next call date.
(2) All loans in the Fund were purchased through assignment agreements unless otherwise indicated.
(3) The Fund invests in senior loans which generally pay interest at rates which are periodically re-determined by reference to a base lending rate plus a premium. These base lending rates are generally either the lending rate offered by one or more major European banks, such as the London Inter-Bank Offered Rate ("LIBOR"), the Secured Overnight Financing Rate ("SOFR"), or the prime rate offered by one or more major United States banks, or the certificate of deposit rate. Senior loans are generally considered to be restrictive in that the Fund is ordinarily contractually obligated to receive approval from the Agent Bank and/or borrower prior to the disposition of a senior loan.
(4) Senior loans in the Fund are generally subject to mandatory and/or optional prepayment.  Because of these mandatory prepayment conditions and because there may be significant economic incentives for a borrower to prepay, prepayments may occur.  As a result, the actual remaining maturity may be substantially less than the stated maturities shown.
(5) The rate shown is the 7-day yield as of August 31, 2023.
(6) At August 31, 2023, the Fund had loaned securities with a total value of $18,221,056.  This was secured by collateral of $18,549,925, which was received in cash and subsequently invested in short-term investments currently valued at $18,549,925 as reported in the Portfolio of Investments.
FRS—Floating Rate Security
SOFR12—Secured Overnight Financing Rate 1 month
SOFR4—Secured Overnight Financing Rate 3 month
SOFR6—Secured Overnight Financing Rate 6 month
EUR—Euro Currency
GBP—British Pound
The rates shown on FRS and/or VRS are the current interest rates at August 31, 2023 and unless noted otherwise, the dates shown are the original maturity dates.
 
Forward Foreign Currency Contracts
Counterparty Contract to
Deliver
In
Exchange For
Delivery
Date
Unrealized
Appreciation
  Unrealized
(Depreciation)
Deutsche Bank AG EUR 4,554,331 USD 4,948,205 09/29/2023 $4,024   $—
JPMorgan Chase Bank, N.A. GBP 446,000 USD 566,708 09/29/2023 1,652  
Unrealized Appreciation (Depreciation)           $5,676   $—
EUR—Euro Currency
GBP—British Pound
USD—United States Dollar
66  

VALIC Company I High Yield Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Corporate Bonds & Notes $  $363,984,125   $—   $363,984,125
Convertible Bonds & Notes   5,233,108     5,233,108
Loans   6,626,096     6,626,096
Short-Term Investments 18,549,925       18,549,925
Repurchase Agreements   2,973,174     2,973,174
Total Investments at Value $18,549,925   $378,816,503   $—   $397,366,428
Other Financial Instruments:              
Forward Foreign Currency Contracts $  $5,676   $—   $5,676
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Amounts represent unrealized appreciation/depreciation as of the end of the reporting period.
See Notes to Portfolio of Investments
67

VALIC Company I Inflation Protected Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES — 4.0% 
Banks — 1.0% 
Barclays PLC      
0.58%, 08/09/2029 EUR   1,670,000 $  1,486,605
Danske Bank A/S      
0.75%, 06/09/2029 EUR   1,610,000   1,471,381
HSBC Holdings PLC      
3.02%, 06/15/2027 EUR   1,365,000   1,424,707
      4,382,693
Electric — 0.6% 
Dominion Energy, Inc.      
5.38%, 11/15/2032   $    965,000     950,050
Pacific Gas & Electric Co.      
6.15%, 01/15/2033       985,000     959,235
Southern California Edison Co.      
5.95%, 11/01/2032       915,000     948,396
      2,857,681
Energy-Alternate Sources — 0.1% 
FS Luxembourg SARL      
10.00%, 12/15/2025*       400,000     410,975
Food — 0.4% 
NBM US Holdings, Inc.      
7.00%, 05/14/2026     1,595,000   1,572,929
Insurance — 0.3% 
Argentum Netherlands BV for Swiss Re, Ltd.      
5.52%, 08/15/2027(1)     1,620,000   1,409,400
Oil & Gas — 0.7% 
Hess Corp.      
7.88%, 10/01/2029     1,290,000   1,425,601
Petroleos Mexicanos      
5.95%, 01/28/2031       880,000     636,840
6.84%, 01/23/2030     1,500,000   1,190,407
      3,252,848
Pipelines — 0.3% 
Energy Transfer LP      
5.80%, 06/15/2038     1,159,000   1,098,620
Greensaif Pipelines Bidco SARL      
6.51%, 02/23/2042*       450,000     455,297
      1,553,917
Semiconductors — 0.3% 
Broadcom, Inc.      
2.45%, 02/15/2031*     1,800,000   1,451,148
Trucking & Leasing — 0.3% 
Penske Truck Leasing Co. LP/PTL Finance Corp.      
3.35%, 11/01/2029*     1,398,000   1,196,930
Total Corporate Bonds & Notes
(cost $19,240,494)
    18,088,521
ASSET BACKED SECURITIES — 1.0% 
Other Asset Backed Securities — 1.0% 
510 Asset Backed Trust      
Series 2021-NPL1, Class A1
2.24%, 06/25/2061*(2)
      979,308     911,505
Arbor Realty Commercial Real Estate Notes, Ltd. FRS      
Series 2021-FL2, Class A
6.52%, (TSFR1M+1.21%), 05/15/2036*
      305,000      300,968
Security Description   Shares or
Principal
Amount
Value
 
Other Asset Backed Securities (continued) 
Avant Loans Funding Trust      
Series 2021-REV1, Class A
1.21%, 07/15/2030*
  $    492,018 $    485,021
PRET LLC      
Series 2021-NPL3, Class A1
1.87%, 07/25/2051*(2)
      582,533     544,031
Pretium Mtg. Credit Partners I LLC      
Series 2021-NPL2, Class A1
1.99%, 06/27/2060*(2)
      651,634     606,833
VCAT LLC      
Series 2021-NPL2, Class A1
2.12%, 03/27/2051*(2)
      147,810     140,817
Wendy's Funding LLC      
Series 2021-1A, Class A2I
2.37%, 06/15/2051*
    1,700,300   1,414,357
Wingstop Funding LLC      
Series 2020-1A, Class A2
2.84%, 12/05/2050*
      310,275     272,431
Total Asset Backed Securities
(cost $5,168,774)
    4,675,963
COLLATERALIZED MORTGAGE OBLIGATIONS — 2.7% 
Commercial and Residential — 2.5% 
Ajax Mtg. Loan Trust      
Series 2021-C, Class A
2.12%, 01/25/2061*(2)
      332,753     313,810
BRAVO Residential Funding Trust VRS      
Series 2021-NQM1, Class A1
0.94%, 02/25/2049*(3)
      260,247     226,963
BXSC Commercial Mtg. Trust FRS      
Series 2022-WSS, Class C
7.70%, (TSFR1M+2.39%), 03/15/2035*
    1,135,000   1,117,917
CAMB Commercial Mtg. Trust FRS      
Series 2019-LIFE, Class A
6.50%, (TSFR1M+1.18%), 12/15/2037*
      750,000     746,206
CSMC Trust VRS      
Series 2021-NQM4, Class A1
1.10%, 05/25/2066*(3)
      920,225     755,793
Series 2021-RPL4, Class A1
1.80%, 12/27/2060*(3)
      411,047     386,993
Series 2021-RPL2, Class M3
3.57%, 01/25/2060*(3)
      376,575     249,551
Ellington Financial Mtg. Trust VRS      
Series 2021-2, Class A1
0.93%, 06/25/2066*(3)
      268,756     214,120
GCAT Trust VRS      
Series 2021-NQM3, Class A1
1.09%, 05/25/2066*(3)
      724,951     585,937
Legacy Mtg. Asset Trust      
Series 2021-GS2, Class A1
1.75%, 04/25/2061*(2)
      405,792     378,524
Series 2021-GS3, Class A1
1.75%, 07/25/2061*(2)
      538,576     509,000
MFA Trust VRS      
Series 2021-NQM1, Class A1
1.15%, 04/25/2065*(3)
      309,024     270,083
New Residential Mtg. Loan Trust VRS      
Series 2021-NQ2R, Class A1
0.94%, 10/25/2058*(3)
      256,051     227,094
NMLT Trust VRS      
Series 2021-INV1, Class A1
1.19%, 05/25/2056*(3)
    1,198,539      972,442
 
68  

VALIC Company I Inflation Protected Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COLLATERALIZED MORTGAGE OBLIGATIONS (continued) 
Commercial and Residential (continued) 
PRPM LLC      
Series 2021-5, Class A1
1.79%, 06/25/2026*(2)
  $    744,955 $    694,925
Series 2021-3, Class A1
1.87%, 04/25/2026*(2)
      473,899     445,655
SG Residential Mtg. Trust VRS      
Series 2021-1, Class A1
1.16%, 07/25/2061*(3)
    1,040,255     805,423
Starwood Mtg. Residential Trust VRS      
Series 2021-2, Class A1
0.94%, 05/25/2065*(3)
      209,980     185,160
Toorak Mtg. Corp., Ltd.      
Series 2021-1, Class A1
2.24%, 06/25/2024*(2)
      805,711     782,194
Towd Point Mtg. Trust VRS      
Series 2021-R1, Class A1
2.92%, 11/30/2060*(3)
    1,748,280   1,412,009
      11,279,799
U.S. Government Agency — 0.2% 
Federal Home Loan Mtg. Corp. REMIC FRS      
Series 3925, Class FL
5.75%, (SOFR30A+0.56%), 01/15/2041
      132,215     131,196
Series 4001, Class FM
5.80%, (SOFR30A+0.61%), 02/15/2042
      150,235     145,555
Series 3355, Class BF
6.00%, (SOFR30A+0.81%), 08/15/2037
      175,027     173,029
Federal National Mtg. Assoc. REMIC FRS      
Series 2012-93, Class BF
5.80%, (SOFR30A+0.51%), 09/25/2042
      209,907     202,645
Government National Mtg. Assoc. REMIC FRS      
Series 2010-14, Class FN
5.98%, (TSFR1M+0.66%), 02/16/2040
      129,825     128,327
      780,752
Total Collateralized Mortgage Obligations
(cost $13,742,318)
    12,060,551
U.S. GOVERNMENT & AGENCY OBLIGATIONS — 58.2% 
U.S. Government — 52.8% 
United States Treasury Bonds TIPS      
0.13%, 02/15/2051(4)       556,600     340,037
0.25%, 02/15/2050(4)    29,778,480  19,160,591
0.63%, 02/15/2043(4)     9,122,713   7,106,926
0.75%, 02/15/2045(4)    33,086,015  25,810,323
0.88%, 02/15/2047(4)    10,837,257   8,516,560
1.00%, 02/15/2046(4)    11,471,555   9,354,247
1.38%, 07/15/2033(4)    17,689,421  16,931,056
2.13%, 02/15/2040(4)     3,387,552   3,471,623
United States Treasury Notes TIPS      
0.13%, 07/15/2026 to 07/15/2031(4)    64,150,113  56,836,240
0.63%, 07/15/2032(4)    27,032,507  24,261,940
0.75%, 07/15/2028(4)    13,411,608  12,644,632
0.88%, 01/15/2029(4)    38,820,109  36,558,382
1.25%, 04/15/2028(4)    10,313,394   9,927,850
1.63%, 10/15/2027(4)     8,645,759   8,481,202
      239,401,609
Security Description   Shares or
Principal
Amount
Value
 
U.S. Government Agency — 5.4% 
Uniform Mtg. Backed Securities      
5.50%, September 30 TBA   $ 15,600,000 $ 15,402,562
6.00%, September 30 TBA     9,200,000   9,224,078
      24,626,640
Total U.S. Government & Agency Obligations
(cost $317,698,523)
    264,028,249
FOREIGN GOVERNMENT OBLIGATIONS — 33.4% 
Regional(State/Province) — 3.7% 
Province of Ontario, Canada TIPS      
2.00%, 12/01/2036(4) CAD  24,931,860  16,664,971
Sovereign — 29.7% 
Commonwealth of Australia TIPS      
0.83%, 11/21/2027(4) AUD  15,079,971   9,513,317
1.25%, 08/21/2040(4) AUD   8,147,265   4,848,768
2.22%, 08/21/2035(4) AUD  24,546,926  16,406,371
Federative Republic of Brazil TIPS      
24.98%, 05/15/2027(4) BRL  11,416,000   9,930,701
French Republic Government Bond OAT TIPS      
0.10%, 07/25/2031*(4) EUR  16,811,371  17,801,065
Government of Canada TIPS      
4.00%, 12/01/2031(4) CAD  12,161,602  10,465,350
Government of New Zealand TIPS      
2.50%, 09/20/2040(4) NZD  11,121,300   6,302,653
2.70%, 09/20/2025(4) NZD  52,447,200  31,071,837
Government of Romania TIPS      
4.63%, 04/03/2049(4) EUR   1,850,000   1,584,297
Republic of Italy TIPS      
0.55%, 05/21/2026*(4) EUR  16,042,226  16,725,674
United Mexican States TIPS      
2.75%, 11/27/2031(4) MXN 203,914,967  10,228,338
      134,878,371
Total Foreign Government Obligations
(cost $162,891,149)
    151,543,342
MUNICIPAL SECURITIES — 0.7% 
City of New York, NY
General Obligation Bonds
     
5.99%, 12/01/2036     1,580,000   1,660,660
Illinois State Toll Highway Authority
Revenue Bonds
     
5.85%, 12/01/2034     1,520,000   1,584,710
Total Municipal Securities
(cost $3,684,027)
    3,245,370
ESCROWS AND LITIGATION TRUSTS — 0.0% 
Lehman Brothers Holdings, Inc.
Escrow Notes
1.00%, 12/31/2049(5)
(cost $0)
    1,000,000       1,611
Total Long-Term Investment Securities
(cost $522,425,285)
    453,643,607
 
69

VALIC Company I Inflation Protected Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
REPURCHASE AGREEMENTS — 4.2% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $19,140,181 and collateralized by $19,142,500 of United States Treasury Notes, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $19,522,164
(cost $19,139,331)
  $ 19,139,331   $ 19,139,331
TOTAL INVESTMENTS
(cost $541,564,616)
  104.2%   472,782,938
Other assets less liabilities   (4.2)   (19,118,923)
NET ASSETS   100.0%   $453,664,015
* Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. The Inflation Protected Fund has no right to demand registration of these securities. At August 31, 2023, the aggregate value of these securities was $53,996,851 representing 11.9% of net assets.
Non-income producing security
(1) Perpetual maturity - maturity date reflects the next call date.
(2) "Step-up" security where the rate increases ("steps-up") at a predetermined rate. The rate reflected is as of August 31, 2023.
(3) 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.
(4) Principal amount of security is adjusted for inflation.
(5) Securities classified as Level 3 (see Note 1).
FRS—Floating Rate Security
REMIC—Real Estate Mortgage Investment Conduit
SOFR30A—US 30 Day Average Secured Overnight Financing Rate
TBA—Securities purchased on a forward commitment basis with an approximate principal amount and no definite maturity date. The actual principal amount and maturity date will be determined upon settlement date.
TIPS—Treasury Inflation Protected Securities
TSFR1M—Term Secured Overnight Financing Rate 1 Month
VRS—Variable Rate Security
AUD—Australian Dollar
BRL—Brazilian Real
CAD—Canadian Dollar
EUR—Euro Currency
MXN—Mexican Peso
NZD—New Zealand Dollar
The rates shown on FRS and/or VRS are the current interest rates at August 31, 2023 and unless noted otherwise, the dates shown are the original maturity dates.
 
Interest Rate Swaps
Counterparty (OTC)/
Centrally cleared
Notional
amount
Currency Payments
made
Payments
received
Fixed
payment
frequency
Floating
payment
frequency
Maturity
date
Upfront
payment paid
(received)
  Unrealized
appreciation
(depreciation)
  Value
Bank of America, N.A. 54,220,000 USD Fixed 3.430% 12-Month USA CPI Maturity Maturity Apr 2027 $—   $(523,504)   $(523,504)
Futures Contracts

Number
of
Contracts
Type Description Expiration
Month
Notional
Basis*
Notional
Value*
Unrealized
Appreciation
194 Long Canada 5 Year Bonds December 2023 $15,685,712 $15,777,575 $ 91,863
18 Long Long Gilt December 2023  2,158,701  2,179,224  20,523
177 Long U.S. Treasury 10 Year Notes December 2023 19,483,923 19,652,531 168,608
260 Long U.S. Treasury 2 Year Notes December 2023 52,821,752 52,989,219 167,467
24 Short Euro Buxl 30 Year Bonds September 2023  3,553,067  3,482,066  71,001
2 Short Euro-BUND September 2023    290,647    288,849   1,798
122 Short Euro-OAT September 2023 16,991,413 16,921,312  70,101
            $591,361
            Unrealized
(Depreciation)
442 Short Canada 10 Year Bonds December 2023 $38,667,280 $39,028,286 $(361,006)
266 Short Euro-BTP September 2023 33,257,917 33,435,646 (177,729)
165 Short U.S. Treasury Ultra Bonds December 2023 21,097,902 21,362,343 (264,441)
            $(803,176)
    Net Unrealized Appreciation (Depreciation)   $(211,815)
* Notional basis refers to the contractual amount agreed upon at inception of the open contract; notional value represents the current value of the open contract.
Forward Foreign Currency Contracts
Counterparty Contract to
Deliver
In
Exchange For
Delivery
Date
Unrealized
Appreciation
  Unrealized
(Depreciation)
Barclays Bank PLC CAD 37,881,000 USD 28,353,618 09/20/2023 $  310,895   $      —
  MXN 77,236,000 USD 4,356,478 09/20/2023        —   (161,562)
            310,895   (161,562)
70  

VALIC Company I Inflation Protected Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Forward Foreign Currency Contracts — (continued)
Counterparty Contract to
Deliver
In
Exchange For
Delivery
Date
Unrealized
Appreciation
  Unrealized
(Depreciation)
BNP Paribas SA MXN 23,600,000 USD 1,342,732 09/20/2023 $       —   $ (37,787)
Citibank, N.A. MXN 70,799,000 USD 4,020,500 09/20/2023        —   (120,998)
Deutsche Bank AG EUR 39,372,000 USD 42,457,707 09/20/2023        —   (265,777)
  USD 98,854 EUR 90,985 09/29/2023        —        (80)
              (265,857)
Goldman Sachs International BRL 45,473,000 USD 9,153,549 09/20/2023        —     (8,624)
HSBC Bank PLC USD 1,765,765 AUD 2,655,000 09/20/2023        —    (44,508)
JPMorgan Chase Bank, N.A. USD 1,682,963 EUR 1,494,000 09/20/2023        —    (61,788)
Morgan Stanley & Co. International PLC AUD 48,832,000 USD 32,539,936 09/20/2023   881,780         —
Royal Bank of Canada NZD 63,161,000 USD 38,139,138 09/20/2023   475,018         —
Unrealized Appreciation (Depreciation)           $1,667,693   $(701,124)
AUD—Australian Dollar
BRL—Brazilian Real
CAD—Canadian Dollar
EUR—Euro Currency
MXN—Mexican Peso
NZD—New Zealand Dollar
USD—United States Dollar
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Corporate Bonds & Notes $  $18,088,521   $  $18,088,521
Asset Backed Securities   4,675,963     4,675,963
Collateralized Mortgage Obligations   12,060,551     12,060,551
U.S. Government & Agency Obligations   264,028,249     264,028,249
Foreign Government Obligations   151,543,342     151,543,342
Municipal Securities   3,245,370     3,245,370
Escrows and Litigation Trusts     1,611   1,611
Repurchase Agreements   19,139,331     19,139,331
Total Investments at Value $  $472,781,327   $1,611   $472,782,938
Other Financial Instruments:              
Futures Contracts $591,361   $  $  $591,361
Forward Foreign Currency Contracts   1,667,693     1,667,693
Total Other Financial Instruments $591,361   $1,667,693   $  $2,259,054
LIABILITIES:              
Other Financial Instruments:              
Swaps $  $523,504   $  $523,504
Futures Contracts 803,176       803,176
Forward Foreign Currency Contracts   701,124     701,124
Total Other Financial Instruments $803,176   $1,224,628   $  $2,027,804
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Level 3 investments in securities were not considered a significant portion of the Fund's net assets.
See Notes to Portfolio of Investments
71

VALIC Company I International Equities Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 89.4% 
Australia — 6.4% 
Ampol, Ltd.        28,935 $      661,820
ANZ Group Holdings, Ltd.       364,677     5,985,288
APA Group       143,266       834,534
Aristocrat Leisure, Ltd.        71,662     1,899,126
ASX, Ltd.#        23,507       877,174
Aurizon Holdings, Ltd.       223,503       528,588
BHP Group, Ltd.       615,106    17,875,323
BlueScope Steel, Ltd.        55,961       761,821
Brambles, Ltd.       168,751     1,636,853
Cochlear, Ltd.         7,987     1,405,009
Coles Group, Ltd.       162,511     1,713,215
Commonwealth Bank of Australia       205,012    13,573,338
Computershare, Ltd.        69,641     1,136,219
CSL, Ltd.        58,571    10,380,758
Dexus       130,598       655,813
Endeavour Group, Ltd.#       173,973       619,992
Fortescue Metals Group, Ltd.       205,621     2,855,164
Goodman Group       205,498     3,110,441
GPT Group       232,595       632,982
IDP Education, Ltd.#        30,417       485,425
IGO, Ltd.#        82,755       746,406
Insurance Australia Group, Ltd.#       297,475     1,121,799
Lendlease Corp., Ltd.#        83,699       423,558
Lottery Corp., Ltd.       270,259       882,576
Macquarie Group, Ltd.        44,581     5,128,177
Medibank Private, Ltd.       334,399       793,026
Mineral Resources, Ltd.#        21,082       977,106
Mirvac Group#       479,117       751,274
National Australia Bank, Ltd.       381,105     7,151,295
Newcrest Mining, Ltd.       108,580     1,831,325
Northern Star Resources, Ltd.       139,629     1,077,529
Orica, Ltd.        55,143       561,317
Origin Energy, Ltd.       209,181     1,180,543
Pilbara Minerals, Ltd.#       327,624       991,366
Qantas Airways, Ltd.       108,098       413,949
QBE Insurance Group, Ltd.       180,726     1,754,179
Ramsay Health Care, Ltd.#        22,261       742,116
REA Group, Ltd.#         6,417       686,385
Reece, Ltd.#        27,453       362,879
Rio Tinto, Ltd.        45,074     3,297,323
Santos, Ltd.       400,876     1,992,264
Scentre Group       630,230     1,122,983
SEEK, Ltd.#        40,918       612,711
Sonic Healthcare, Ltd.        54,172     1,128,840
South32, Ltd.       553,852     1,220,153
Stockland       289,857       796,326
Suncorp Group, Ltd.       153,787     1,358,179
Telstra Group, Ltd.       491,039     1,275,856
Transurban Group       374,048     3,213,752
Treasury Wine Estates, Ltd.        87,649       662,765
Vicinity, Ltd.       469,837       569,286
Washington H. Soul Pattinson & Co., Ltd.        28,489       609,346
Wesfarmers, Ltd.       137,756     4,808,382
Westpac Banking Corp.       426,082     6,059,952
WiseTech Global, Ltd.        20,147       907,270
Woodside Energy Group, Ltd.       230,551     5,530,252
Woolworths Group, Ltd.       147,978     3,655,994
      134,027,322
Austria — 0.2% 
Erste Group Bank AG        41,750     1,492,606
OMV AG        17,882        829,326
Security Description   Shares or
Principal
Amount
Value
 
Austria (continued) 
Verbund AG         8,268 $      677,785
voestalpine AG        14,092       412,272
      3,411,989
Belgium — 0.7% 
Ageas SA/NV        19,582       778,854
Anheuser-Busch InBev SA NV       105,468     6,004,125
D'ieteren Group#         2,641       431,856
Elia Group SA#         3,571       412,391
Groupe Bruxelles Lambert NV#        12,075       973,635
KBC Group NV        30,392     1,995,790
Sofina SA#         1,871       421,183
Solvay SA, Class A         8,999     1,043,138
UCB SA        15,351     1,378,278
Umicore SA        25,431       674,788
Warehouses De Pauw CVA#        19,814       567,212
      14,681,250
Bermuda — 0.1% 
CK Infrastructure Holdings, Ltd.        76,500       387,263
Hongkong Land Holdings, Ltd.       134,600       477,830
Jardine Matheson Holdings, Ltd.        19,286       917,242
      1,782,335
Cayman Islands — 0.5% 
Budweiser Brewing Co. APAC, Ltd.*       209,000       453,053
CK Asset Holdings, Ltd.       239,808     1,324,053
CK Hutchison Holdings, Ltd.       325,308     1,773,310
ESR Group, Ltd.*       240,600       361,405
Futu Holdings, Ltd. ADR         6,680       398,128
Grab Holdings, Ltd., Class A       226,818       855,104
Sands China, Ltd.       294,800       998,035
Sea, Ltd. ADR        44,302     1,667,084
SITC International Holdings Co., Ltd.       163,000       303,871
WH Group, Ltd.*     1,012,500       521,591
Wharf Real Estate Investment Co., Ltd.       203,000       846,443
Xinyi Glass Holdings, Ltd.       200,000       295,319
      9,797,396
Denmark — 2.9% 
AP Moller-Maersk A/S, Series A           376       673,978
AP Moller-Maersk A/S, Series B           610     1,109,841
Carlsberg A/S, Class B        11,957     1,732,722
Chr. Hansen Holding A/S        12,808       837,456
Coloplast A/S, Class B        14,425     1,647,948
Danske Bank A/S        83,751     1,884,462
Demant A/S        11,189       458,591
DSV A/S        22,603     4,299,868
Genmab A/S         8,012     3,077,459
Novo Nordisk A/S, Class B       201,007    37,258,721
Novozymes A/S, Class B        24,835     1,078,589
Orsted A/S*        22,970     1,478,841
Pandora A/S        11,016     1,144,057
ROCKWOOL A/S, Class B         1,110       283,996
Tryg A/S        43,719       834,866
Vestas Wind Systems A/S       122,621     2,836,316
      60,637,711
Finland — 1.0% 
Elisa Oyj        17,271       847,808
Fortum Oyj        54,474       732,454
Kesko Oyj, Class B        33,164       648,024
Kone Oyj, Class B        41,270     1,879,548
Metso Oyj        80,525        927,747
 
72  

VALIC Company I International Equities Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Finland (continued) 
Neste Oyj        51,370 $    1,881,650
Nokia Oyj       649,694     2,597,477
Nordea Bank Abp       393,935     4,324,164
Orion Oyj, Class B        13,005       532,914
Sampo Oyj, Class A        55,840     2,454,097
Stora Enso Oyj, Class R        70,640       900,416
UPM-Kymmene Oyj        64,808     2,222,083
Wartsila Oyj Abp        57,479       730,789
      20,679,171
France — 10.1% 
Accor SA        22,357       802,195
Aeroports de Paris         3,605       475,345
Air Liquide SA        63,577    11,503,287
Alstom SA        39,266     1,086,168
Amundi SA*         7,426       443,284
Arkema SA         6,834       716,146
AXA SA       222,757     6,708,959
BioMerieux         5,030       521,429
BNP Paribas SA       134,888     8,733,535
Bollore SE       107,501       637,048
Bouygues SA        25,009       865,081
Bureau Veritas SA        35,700       957,718
Capgemini SE        20,023     3,742,055
Carrefour SA        72,092     1,381,317
Cie de Saint-Gobain        59,497     3,881,259
Cie Generale des Etablissements Michelin SCA        82,375     2,582,339
Covivio SA         5,755       281,194
Credit Agricole SA       146,965     1,857,519
Danone SA        77,959     4,550,513
Dassault Aviation SA         3,026       595,874
Dassault Systemes SE        81,066     3,218,164
Edenred        30,306     1,933,619
Eiffage SA         8,925       883,779
Engie SA       221,774     3,580,758
EssilorLuxottica SA        35,330     6,662,127
Eurazeo SE         5,291       312,396
Gecina SA         5,582       598,324
Getlink SE        43,409       727,476
Hermes International SCA         3,846     7,927,119
Ipsen SA         4,580       594,966
Kering SA         9,039     4,843,874
Klepierre SA        26,124       691,193
La Francaise des Jeux SAEM*        12,755       461,952
Legrand SA        32,398     3,200,415
L'Oreal SA        29,243    12,867,781
LVMH Moet Hennessy Louis Vuitton SE        33,528    28,437,745
Orange SA       226,094     2,539,421
Pernod Ricard SA        25,057     4,923,308
Publicis Groupe SA        27,791     2,171,541
Remy Cointreau SA         2,775       430,147
Renault SA        23,340       944,902
Safran SA        41,503     6,674,064
Sanofi       137,785    14,737,530
Sartorius Stedim Biotech         3,358       954,371
Schneider Electric SE        65,876    11,327,794
SEB SA         3,024       332,826
Societe Generale SA        88,321     2,510,635
Sodexo SA        10,743     1,153,502
Teleperformance         7,179       995,255
Thales SA        12,762     1,865,427
TotalEnergies SE       287,256     18,088,004
Security Description   Shares or
Principal
Amount
Value
 
France (continued) 
Valeo        25,132 $      490,534
Veolia Environnement SA        82,427     2,579,500
Vinci SA        64,532     7,204,658
Vivendi SE        87,044       793,788
Wendel SE         3,235       296,240
Worldline SA*        29,045       947,368
      211,224,768
Germany — 7.6% 
adidas AG        19,670     3,933,526
Allianz SE        48,971    11,913,373
BASF SE       108,534     5,506,664
Bayer AG       119,289     6,537,404
Bayerische Motoren Werke AG        40,203     4,236,043
Bayerische Motoren Werke AG (Preference Shares)         7,213       694,151
Bechtle AG         9,945       484,627
Beiersdorf AG        12,239     1,603,181
Brenntag SE        18,760     1,520,392
Carl Zeiss Meditec AG         4,887       486,045
Commerzbank AG       129,255     1,422,601
Continental AG        13,357       993,869
Covestro AG*        23,459     1,248,232
Daimler Truck Holding AG        59,955     2,112,248
Delivery Hero SE*        21,056       770,012
Deutsche Bank AG       235,345     2,565,235
Deutsche Boerse AG        23,070     4,098,866
Deutsche Lufthansa AG        72,580       649,057
Deutsche Telekom AG       393,555     8,424,930
DHL Group       122,206     5,709,372
Dr. Ing. h.c. F. Porsche AG (Preference Shares)*        13,827     1,527,069
E.ON SE       272,609     3,363,970
Evonik Industries AG        25,462       488,830
Fresenius Medical Care AG & Co. KGaA        24,939     1,204,749
Fresenius SE & Co. KGaA        51,292     1,646,864
GEA Group AG        18,391       725,899
Hannover Rueck SE         7,322     1,558,149
Heidelberg Materials AG        17,584     1,416,313
HelloFresh SE        19,864       642,309
Henkel AG & Co. KGaA        12,618       872,659
Henkel AG & Co. KGaA (Preference Shares)        20,551     1,575,959
Infineon Technologies AG       158,568     5,676,708
Knorr-Bremse AG         8,808       602,666
LEG Immobilien SE         8,999       649,887
Mercedes-Benz Group AG       103,922     7,610,939
Merck KGaA        15,693     2,824,774
MTU Aero Engines AG         6,504     1,521,955
Muenchener Rueckversicherungs-Gesellschaft AG        17,011     6,607,317
Nemetschek SE         7,012       484,645
Porsche Automobil Holding SE (Preference Shares)        18,593       999,397
Puma SE        12,819       861,818
Rational AG           621       473,724
Rheinmetall AG         5,289     1,441,238
RWE AG        76,771     3,168,368
SAP SE       126,793    17,711,212
Sartorius AG (Preference Shares)         3,182     1,302,182
Scout24 SE*         9,107       628,259
Siemens AG        92,281    13,897,021
Siemens Energy AG        63,085       900,226
Siemens Healthineers AG*        34,241     1,717,228
Symrise AG        16,123     1,681,164
Talanx AG         7,691       517,481
Telefonica Deutschland Holding AG       108,354       206,084
Volkswagen AG         3,583        512,462
 
73

VALIC Company I International Equities Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Germany (continued) 
Volkswagen AG (Preference Shares)        25,038 $    3,069,032
Vonovia SE        86,971     2,085,129
Wacker Chemie AG         2,216       327,038
Zalando SE*        27,202       847,435
      158,257,987
Hong Kong — 1.6% 
AIA Group, Ltd.     1,414,000    12,837,581
BOC Hong Kong Holdings, Ltd.       449,500     1,249,511
CLP Holdings, Ltd.       199,500     1,564,486
Galaxy Entertainment Group, Ltd.       265,000     1,753,747
Hang Lung Properties, Ltd.       219,000       292,657
Hang Seng Bank, Ltd.        92,900     1,184,594
Henderson Land Development Co., Ltd.       176,231       484,265
Hong Kong & China Gas Co., Ltd.     1,359,523     1,000,268
Hong Kong Exchanges & Clearing, Ltd.       146,200     5,667,281
Link REIT       307,080     1,523,193
MTR Corp., Ltd.       188,500       787,184
New World Development Co., Ltd.       183,750       390,352
Power Assets Holdings, Ltd.       168,000       827,966
Sino Land Co., Ltd.       446,000       511,268
Sun Hung Kai Properties, Ltd.       176,000     1,981,651
Swire Pacific, Ltd., Class A        52,500       433,129
Swire Properties, Ltd.       142,000       296,952
Techtronic Industries Co., Ltd.       167,000     1,650,334
      34,436,419
Ireland — 0.9% 
AIB Group PLC       162,306       739,538
Bank of Ireland Group PLC       129,947     1,296,073
CRH PLC        89,902     5,178,418
DCC PLC        11,990       657,225
Flutter Entertainment PLC        21,422     3,900,142
James Hardie Industries PLC CDI        53,676     1,618,284
Kerry Group PLC, Class A        19,351     1,807,498
Kingspan Group PLC        18,772     1,589,352
Smurfit Kappa Group PLC        31,588     1,328,310
      18,114,840
Isle of Man — 0.0% 
Entain PLC        71,500     1,048,419
Israel — 0.6% 
Azrieli Group, Ltd.         5,153       276,684
Bank Hapoalim BM       154,209     1,278,908
Bank Leumi Le-Israel BM       187,453     1,457,511
Check Point Software Technologies, Ltd.        11,731     1,578,875
CyberArk Software, Ltd.         4,982       827,211
Elbit Systems, Ltd.         3,231       635,742
ICL Group, Ltd.        93,927       563,110
Israel Discount Bank, Ltd., Class A       150,201       752,377
Mizrahi Tefahot Bank, Ltd.        18,737       616,840
Monday.com, Ltd.         2,319       411,483
NICE, Ltd.         7,714     1,525,336
Teva Pharmaceutical Industries, Ltd. ADR       134,875     1,316,380
Tower Semiconductor, Ltd.        13,351       390,028
Wix.com, Ltd.         6,554       647,339
      12,277,824
Italy — 1.7% 
Amplifon SpA#        15,119       492,485
Assicurazioni Generali SpA       123,066     2,552,835
DiaSorin SpA         3,057        323,398
Security Description   Shares or
Principal
Amount
Value
 
Italy (continued) 
Enel SpA       987,573 $    6,650,136
Eni SpA       281,879     4,365,985
FinecoBank Banca Fineco SpA        74,145     1,017,854
Infrastrutture Wireless Italiane SpA*        40,807       505,103
Intesa Sanpaolo SpA     1,959,821     5,253,329
Mediobanca Banca di Credito Finanziario SpA        67,027       877,257
Moncler SpA        25,010     1,698,772
Nexi SpA*        71,668       515,395
Poste Italiane SpA*        63,437       705,420
Prysmian SpA        30,931     1,267,478
Recordati Industria Chimica e Farmaceutica SpA        12,696       638,509
Snam SpA       244,851     1,264,863
Telecom Italia SpA#     1,209,874       375,867
Terna - Rete Elettrica Nazionale SpA       170,841     1,411,617
UniCredit SpA       223,872     5,477,783
      35,394,086
Japan — 20.4% 
Advantest Corp.        23,300     2,932,218
Aeon Co., Ltd.#        79,400     1,647,538
AGC, Inc.        24,900       875,038
Aisin Corp.        17,900       598,779
Ajinomoto Co., Inc.        54,700     2,320,788
ANA Holdings, Inc.#        19,400       438,682
Asahi Group Holdings, Ltd.        58,500     2,282,182
Asahi Intecc Co., Ltd.#        26,400       538,361
Asahi Kasei Corp.       152,300       985,849
Astellas Pharma, Inc.       219,700     3,343,934
Azbil Corp.        14,000       467,645
Bandai Namco Holdings, Inc.        72,800     1,692,220
BayCurrent Consulting, Inc.        16,000       551,277
Bridgestone Corp.        69,300     2,696,363
Brother Industries, Ltd.        28,200       478,447
Canon, Inc.       121,500     2,996,268
Capcom Co., Ltd.        21,000       886,649
Central Japan Railway Co.        17,500     2,248,015
Chiba Bank, Ltd.        64,400       460,996
Chubu Electric Power Co., Inc.        78,200     1,045,390
Chugai Pharmaceutical Co., Ltd.        81,500     2,496,618
Concordia Financial Group, Ltd.       128,700       571,784
CyberAgent, Inc.        52,196       332,918
Dai Nippon Printing Co., Ltd.        26,600       728,189
Daifuku Co., Ltd.        36,873       682,617
Dai-ichi Life Holdings, Inc.       114,200     2,128,275
Daiichi Sankyo Co., Ltd.       224,600     6,636,348
Daikin Industries, Ltd.        32,000     5,547,957
Daito Trust Construction Co., Ltd.         7,500       828,121
Daiwa House Industry Co., Ltd.        72,800     2,025,461
Daiwa House REIT Investment Corp.#           268       508,757
Daiwa Securities Group, Inc.       162,000       923,042
Denso Corp.        52,600     3,600,422
Dentsu Group, Inc.        24,600       736,335
Disco Corp.        11,200     2,212,750
East Japan Railway Co.        36,700     2,076,459
Eisai Co., Ltd.        30,600     1,947,110
ENEOS Holdings, Inc.       349,800     1,313,418
FANUC Corp.       116,500     3,325,369
Fast Retailing Co., Ltd.        21,300     4,901,364
Fuji Electric Co., Ltd.        15,400       727,688
FUJIFILM Holdings Corp.        45,300     2,681,977
Fujitsu, Ltd.        21,400     2,677,666
GLP J-REIT           544       513,359
GMO Payment Gateway, Inc.         5,100        323,467
 
74  

VALIC Company I International Equities Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Japan (continued) 
Hakuhodo DY Holdings, Inc.        28,400 $      270,053
Hamamatsu Photonics KK        17,000       788,220
Hankyu Hanshin Holdings, Inc.        27,800       999,306
Hikari Tsushin, Inc.         2,500       416,853
Hirose Electric Co., Ltd.         3,635       441,087
Hitachi Construction Machinery Co., Ltd.        13,100       408,860
Hitachi, Ltd.       113,900     7,588,897
Honda Motor Co., Ltd.       187,000     6,044,613
Hoshizaki Corp.        13,200       507,514
Hoya Corp.        43,300     4,807,804
Hulic Co., Ltd.#        46,600       418,934
Ibiden Co., Ltd.        13,700       827,866
Idemitsu Kosan Co., Ltd.        25,276       537,676
Iida Group Holdings Co., Ltd.        19,300       316,703
Inpex Corp.       117,900     1,649,036
Isuzu Motors, Ltd.        70,800       909,969
ITOCHU Corp.#       144,300     5,427,057
Itochu Techno-Solutions Corp.        11,700       347,795
Japan Airlines Co., Ltd.        17,500       360,957
Japan Exchange Group, Inc.        61,000     1,066,174
Japan Metropolitan Fund Investment Corp.#           849       570,688
Japan Post Bank Co., Ltd.       179,200     1,439,192
Japan Post Holdings Co., Ltd.       266,500     2,045,984
Japan Post Insurance Co., Ltd.        24,300       392,070
Japan Real Estate Investment Corp.           155       644,524
Japan Tobacco, Inc.       145,700     3,195,496
JFE Holdings, Inc.        59,700       945,180
JSR Corp.#        21,500       601,430
Kajima Corp.        51,400       859,699
Kansai Electric Power Co., Inc.        85,500     1,218,784
Kao Corp.        56,600     2,193,666
Kawasaki Kisen Kaisha, Ltd.#        16,700       560,818
KDDI Corp.       181,700     5,401,234
Keio Corp.#        12,500       433,005
Keisei Electric Railway Co., Ltd.        15,700       601,908
Keyence Corp.        23,600     9,816,640
Kikkoman Corp.        16,500       955,559
Kintetsu Group Holdings Co., Ltd.#        22,000       696,917
Kirin Holdings Co., Ltd.        94,300     1,326,079
Kobayashi Pharmaceutical Co., Ltd.         6,201       306,949
Kobe Bussan Co., Ltd.        18,240       454,323
Koei Tecmo Holdings Co., Ltd.        14,260       221,748
Koito Manufacturing Co., Ltd.        25,400       432,164
Komatsu, Ltd.       112,300     3,203,168
Konami Group Corp.        12,200       709,050
Kose Corp.         4,079       338,947
Kubota Corp.       122,900     1,972,380
Kurita Water Industries, Ltd.#        12,700       496,059
Kyocera Corp.        39,000     2,004,481
Kyowa Kirin Co., Ltd.        32,800       602,030
Lasertec Corp.#         9,125     1,422,106
LIXIL Corp.        34,900       437,644
M3, Inc.        53,600     1,069,642
Makita Corp.        27,200       747,418
Marubeni Corp.       185,600     3,041,776
MatsukiyoCocokara & Co.        13,900       819,221
Mazda Motor Corp.        69,000       726,778
McDonald's Holdings Co. Japan, Ltd.#        10,500       417,849
MEIJI Holdings Co., Ltd.        26,700       670,184
Minebea Mitsumi, Inc.        44,100       750,332
MISUMI Group, Inc.        34,600       604,867
Mitsubishi Chemical Group Corp.       155,500        930,146
Security Description   Shares or
Principal
Amount
Value
 
Japan (continued) 
Mitsubishi Corp.       150,500 $    7,443,541
Mitsubishi Electric Corp.       234,600     3,061,998
Mitsubishi Estate Co., Ltd.       136,700     1,749,914
Mitsubishi HC Capital, Inc.       106,900       695,719
Mitsubishi Heavy Industries, Ltd.        38,900     2,211,093
Mitsubishi UFJ Financial Group, Inc.     1,386,500    11,087,616
Mitsui & Co., Ltd.       159,400     5,951,138
Mitsui Chemicals, Inc.        20,700       562,832
Mitsui Fudosan Co., Ltd.       109,400     2,400,115
Mitsui OSK Lines, Ltd.#        41,800     1,159,523
Mizuho Financial Group, Inc.       292,920     4,851,969
MonotaRO Co., Ltd.        30,400       359,798
MS&AD Insurance Group Holdings, Inc.        52,100     1,876,381
Murata Manufacturing Co., Ltd.        69,700     3,921,059
NEC Corp.        29,800     1,574,231
Nexon Co., Ltd.        47,400       963,344
NGK Insulators, Ltd.        28,400       377,509
NIDEC Corp.        50,700     2,659,489
Nintendo Co., Ltd.       126,200     5,435,894
Nippon Building Fund, Inc.           186       786,213
Nippon Express Holdings, Inc.         8,800       457,797
Nippon Paint Holdings Co., Ltd.       115,100       890,770
Nippon Prologis REIT, Inc.           267       537,505
Nippon Sanso Holdings Corp.        21,000       507,626
Nippon Shinyaku Co., Ltd.         6,400       281,478
Nippon Steel Corp.        98,100     2,324,140
Nippon Telegraph & Telephone Corp.     3,627,500     4,196,077
Nippon Yusen KK#        58,800     1,570,479
Nissan Chemical Corp.        15,400       661,323
Nissan Motor Co., Ltd.       281,900     1,202,815
Nisshin Seifun Group, Inc.        24,000       316,794
Nissin Foods Holdings Co., Ltd.         7,500       655,693
Nitori Holdings Co., Ltd.         9,700     1,108,038
Nitto Denko Corp.#        18,200     1,244,522
Nomura Holdings, Inc.       353,400     1,370,413
Nomura Real Estate Holdings, Inc.        13,300       335,299
Nomura Real Estate Master Fund, Inc.           515       605,632
Nomura Research Institute, Ltd.        46,900     1,349,026
NTT Data Corp.        76,600     1,032,424
Obayashi Corp.        78,800       714,370
OBIC Co., Ltd.#         8,500     1,479,810
Odakyu Electric Railway Co., Ltd.#        35,799       532,944
Oji Holdings Corp.       104,700       428,889
Olympus Corp.       146,100     1,978,694
Omron Corp.#        21,300     1,030,341
Ono Pharmaceutical Co., Ltd.        47,100       893,960
Open House Group Co., Ltd.         9,500       321,640
Oracle Corp. Japan         4,700       328,527
Oriental Land Co., Ltd.       132,500     4,780,181
ORIX Corp.       142,400     2,662,140
Osaka Gas Co., Ltd.        45,500       728,650
Otsuka Corp.        13,800       616,042
Otsuka Holdings Co., Ltd.        47,400     1,806,800
Pan Pacific International Holdings Corp.        46,200       922,285
Panasonic Holdings Corp.       268,230     3,096,273
Persol Holdings Co., Ltd.        21,574       369,959
Rakuten Group, Inc.#       115,900       452,703
Recruit Holdings Co., Ltd.       175,083     6,281,544
Renesas Electronics Corp.       154,600     2,603,851
Resona Holdings, Inc.       259,800     1,379,041
Ricoh Co., Ltd.        66,600       543,804
Rohm Co., Ltd.        10,600       886,642
SBI Holdings, Inc.        29,800        609,436
 
75

VALIC Company I International Equities Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Japan (continued) 
SCSK Corp.        18,942 $      328,860
Secom Co., Ltd.        25,500     1,786,814
Seiko Epson Corp.        35,100       550,643
Sekisui Chemical Co., Ltd.        44,300       680,812
Sekisui House, Ltd.        74,800     1,527,155
Seven & i Holdings Co., Ltd.        91,500     3,761,377
SG Holdings Co., Ltd.        38,856       561,896
Sharp Corp.        27,600       170,139
Shimadzu Corp.        28,800       848,392
Shimano, Inc.         9,400     1,382,590
Shimizu Corp.        67,000       451,149
Shin-Etsu Chemical Co., Ltd.       221,200     7,083,204
Shionogi & Co., Ltd.        31,700     1,398,116
Shiseido Co., Ltd.        48,600     1,976,134
Shizuoka Financial Group, Inc.        54,200       441,438
SMC Corp.         7,000     3,396,680
SoftBank Corp.       348,800     4,003,547
SoftBank Group Corp.       124,900     5,618,547
Sompo Holdings, Inc.        38,000     1,657,693
Sony Group Corp.       153,100    12,779,817
Square Enix Holdings Co., Ltd.        10,400       395,285
Subaru Corp.        74,700     1,442,453
SUMCO Corp.        42,504       568,784
Sumitomo Chemical Co., Ltd.       170,900       473,838
Sumitomo Corp.       136,800     2,819,775
Sumitomo Electric Industries, Ltd.        86,800     1,065,201
Sumitomo Metal Mining Co., Ltd.        30,000       931,991
Sumitomo Mitsui Financial Group, Inc.       158,600     7,282,770
Sumitomo Mitsui Trust Holdings, Inc.        40,200     1,506,101
Sumitomo Realty & Development Co., Ltd.        34,700       889,352
Suntory Beverage & Food, Ltd.        16,900       547,556
Suzuki Motor Corp.        44,700     1,761,947
Sysmex Corp.        20,400     1,086,775
T&D Holdings, Inc.        60,800       966,774
Taisei Corp.        20,600       694,194
Takeda Pharmaceutical Co., Ltd.       192,100     5,952,004
TDK Corp.        47,200     1,723,914
Terumo Corp.        81,700     2,478,038
TIS, Inc.        26,756       632,052
Tobu Railway Co., Ltd.        22,900       628,473
Toho Co., Ltd.        13,600       519,248
Tokio Marine Holdings, Inc.       218,800     4,852,865
Tokyo Electric Power Co. Holdings, Inc.       185,400       815,533
Tokyo Electron, Ltd.        54,400     8,066,806
Tokyo Gas Co., Ltd.        47,500     1,102,495
Tokyu Corp.        64,500       815,920
Toppan, Inc.        29,700       718,744
Toray Industries, Inc.       168,400       909,854
Toshiba Corp.        50,000     1,581,498
Tosoh Corp.        31,600       409,620
TOTO, Ltd.        16,100       442,074
Toyota Industries Corp.        17,800     1,260,112
Toyota Motor Corp.     1,287,700    22,258,947
Toyota Tsusho Corp.        25,800     1,541,847
Trend Micro, Inc.        16,200       689,108
Unicharm Corp.        49,000     1,957,373
USS Co., Ltd.        24,999       437,197
Welcia Holdings Co., Ltd.#        11,500       211,631
West Japan Railway Co.        26,700     1,156,856
Yakult Honsha Co., Ltd.        15,600       818,519
Yamaha Corp.        17,100       528,767
Yamaha Motor Co., Ltd.        36,100        937,640
Security Description   Shares or
Principal
Amount
Value
 
Japan (continued) 
Yamato Holdings Co., Ltd.        34,600 $      650,764
Yaskawa Electric Corp.#        29,100     1,144,239
Yokogawa Electric Corp.        27,700       549,926
Z Holdings Corp.       324,400       976,132
ZOZO, Inc.        15,093       301,819
      425,481,186
Jersey — 0.6% 
Experian PLC       111,606     3,904,982
Glencore PLC     1,296,012     6,919,312
WPP PLC       130,484     1,265,845
      12,090,139
Luxembourg — 0.2% 
ArcelorMittal SA        58,622     1,559,294
Eurofins Scientific SE        16,382     1,009,696
Tenaris SA        57,338       917,695
      3,486,685
Netherlands — 5.4% 
ABN AMRO Bank NV CVA*#        49,041       722,950
Adyen NV*#         2,635     2,207,236
Aegon NV       204,906     1,053,180
AerCap Holdings NV        20,152     1,239,751
Airbus SE        71,979    10,566,472
Akzo Nobel NV        20,694     1,683,864
Argenx SE         6,761     3,407,585
ASM International NV         5,692     2,747,829
ASML Holding NV        48,950    32,266,699
CNH Industrial NV       124,252     1,721,884
Davide Campari-Milano NV        63,470       830,702
Euronext NV*        10,404       751,917
EXOR NV        13,168     1,167,143
Ferrari NV        15,305     4,862,624
Ferrovial SE#        61,830     1,961,078
Heineken Holding NV        13,989     1,120,988
Heineken NV        31,473     3,065,356
IMCD NV#         6,920       954,847
ING Groep NV       439,491     6,242,966
JDE Peet's NV#        15,261       424,960
Just Eat Takeaway.com NV *#        25,373       357,727
Koninklijke Ahold Delhaize NV       118,470     3,876,371
Koninklijke KPN NV       392,178     1,372,309
Koninklijke Philips NV       113,028     2,549,289
NN Group NV#        30,447     1,174,021
OCI NV        12,810       324,483
Prosus NV        97,324     6,730,916
QIAGEN NV        27,650     1,264,953
Randstad NV        13,402       787,369
Stellantis NV       273,130     5,086,993
STMicroelectronics NV        82,988     3,929,330
Universal Music Group NV        99,485     2,469,296
Wolters Kluwer NV        31,268     3,770,289
      112,693,377
New Zealand — 0.2% 
Auckland International Airport, Ltd.#       152,009       707,922
EBOS Group, Ltd.#        18,611       421,159
Fisher & Paykel Healthcare Corp., Ltd.        70,349       952,665
Mercury NZ, Ltd.        84,194       311,521
Meridian Energy, Ltd.       156,828        501,716
 
76  

VALIC Company I International Equities Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
New Zealand (continued) 
Spark New Zealand, Ltd.       227,227 $      687,640
Xero, Ltd.        17,426     1,412,526
      4,995,149
Norway — 0.6% 
Adevinta ASA        35,385       252,282
Aker BP ASA#        38,371     1,041,590
DNB Bank ASA       112,950     2,237,391
Equinor ASA       115,672     3,570,788
Gjensidige Forsikring ASA        24,285       378,036
Kongsberg Gruppen ASA        10,765       446,327
Mowi ASA        53,371       968,857
Norsk Hydro ASA       163,295       907,732
Orkla ASA        91,197       697,207
Salmar ASA         8,812       430,998
Telenor ASA        84,963       910,229
Yara International ASA        20,104       735,390
      12,576,827
Portugal — 0.1% 
EDP - Energias de Portugal SA       355,625     1,621,927
Galp Energia SGPS SA        59,749       823,142
Jeronimo Martins SGPS SA        34,385       876,207
      3,321,276
Singapore — 1.1% 
CapitaLand Ascendas REIT       408,324       836,921
CapitaLand Integrated Commercial Trust       645,868       912,803
CapitaLand Investment, Ltd.       315,900       757,346
City Developments, Ltd.        60,700       300,030
DBS Group Holdings, Ltd.       219,900     5,418,380
Genting Singapore, Ltd.       734,200       475,360
Jardine Cycle & Carriage, Ltd.        12,000       296,748
Keppel Corp., Ltd.       176,800       907,908
Mapletree Logistics Trust       419,678       521,706
Mapletree Pan Asia Commercial Trust       286,300       322,007
Oversea-Chinese Banking Corp., Ltd.       411,200     3,818,536
Seatrium, Ltd.     4,971,326       533,384
Singapore Airlines, Ltd.       162,649       826,815
Singapore Exchange, Ltd.       104,100       741,783
Singapore Technologies Engineering, Ltd.       189,600       534,519
Singapore Telecommunications, Ltd.     1,002,600     1,765,650
United Overseas Bank, Ltd.       153,500     3,230,264
UOL Group, Ltd.        56,400       277,107
Venture Corp., Ltd.        33,652       326,448
Wilmar International, Ltd.       233,300       652,539
      23,456,254
Spain — 2.3% 
Acciona SA#         2,997       428,486
ACS Actividades de Construccion y Servicios SA        26,598       934,178
Aena SME SA*         9,107     1,431,901
Amadeus IT Group SA        54,701     3,754,643
Banco Bilbao Vizcaya Argentaria SA       732,193     5,768,869
Banco Santander SA     1,997,889     7,803,416
CaixaBank SA       501,011     2,028,576
Cellnex Telecom SA*        68,626     2,626,837
Corp. ACCIONA Energias Renovables SA#         7,996       237,918
EDP Renovaveis SA#        31,520       577,791
Enagas SA        30,221       515,966
Endesa SA#        38,567       802,110
Grifols SA        36,219       496,621
Iberdrola SA       725,943      8,627,456
Security Description   Shares or
Principal
Amount
Value
 
Spain (continued) 
Industria de Diseno Textil SA       132,451 $    5,078,520
Naturgy Energy Group SA#        15,305       443,777
Redeia Corp. SA        49,275       801,738
Repsol SA       161,176     2,485,248
Telefonica SA       631,120     2,616,975
      47,461,026
SupraNational — 0.0% 
HKT Trust & HKT, Ltd.       460,000       490,363
Unibail-Rodamco-Westfield        14,321       766,977
      1,257,340
Sweden — 2.6% 
Alfa Laval AB        35,178     1,237,664
Assa Abloy AB, Class B       121,702     2,744,506
Atlas Copco AB, Class A       326,148     4,317,957
Atlas Copco AB, Class B       189,526     2,187,205
Beijer Ref AB        40,894       469,879
Boliden AB        33,210       884,356
Embracer Group AB        79,634       193,112
Epiroc AB, Class A        80,018     1,539,187
Epiroc AB, Class B        47,352       776,766
EQT AB        43,180       870,817
Essity AB, Class B        73,962     1,727,368
Evolution AB*        22,252     2,410,862
Fastighets AB Balder, Class B        79,164       379,605
Getinge AB, Class B        27,774       482,877
H & M Hennes & Mauritz AB, Class B        79,811     1,220,875
Hexagon AB, Class B       252,096     2,254,208
Holmen AB, Class B        11,391       432,293
Husqvarna AB, Class B        50,951       439,774
Industrivarden AB, Class A        15,806       412,456
Industrivarden AB, Class C        18,748       488,371
Indutrade AB        33,178       638,499
Investment AB Latour, Class B        17,978       327,507
Investor AB, Class A        52,986     1,012,921
Investor AB, Class B       210,163     4,052,191
Kinnevik AB, Class B        29,467       347,058
L E Lundbergforetagen AB, Class B         9,228       375,745
Lifco AB, Class B        28,305       519,125
Nibe Industrier AB, Class B       184,016     1,381,234
Saab AB, Series B         9,723       513,835
Sagax AB, Class B        23,161       482,534
Sandvik AB       129,464     2,452,467
Securitas AB, Class B        59,717       486,856
Skandinaviska Enskilda Banken AB, Class A       196,210     2,278,678
Skanska AB, Class B        41,312       605,992
SKF AB, Class B        41,376       671,744
Svenska Cellulosa AB SCA, Class B        73,567       981,028
Svenska Handelsbanken AB, Class A       177,105     1,477,857
Swedbank AB, Class A       103,088     1,828,062
Swedish Orphan Biovitrum AB        20,690       399,873
Tele2 AB, Class B        64,868       458,226
Telefonaktiebolaget LM Ericsson, Class B       354,406     1,823,418
Telia Co. AB       297,944       601,684
Volvo AB, Class A        24,317       498,400
Volvo AB, Class B       183,229     3,701,900
Volvo Car AB, Class B        72,356       275,717
      53,662,689
Switzerland — 9.2% 
ABB, Ltd.       190,852     7,278,886
Adecco Group AG#        19,428       838,614
Alcon, Inc.        60,675      5,077,371
 
77

VALIC Company I International Equities Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Switzerland (continued) 
Bachem Holding AG#         4,098 $      383,426
Baloise Holding AG         5,561       870,018
Banque Cantonale Vaudoise#         3,657       396,605
Barry Callebaut AG           433       755,857
BKW AG         2,564       441,193
Chocoladefabriken Lindt & Spruengli AG            13     1,533,480
Chocoladefabriken Lindt & Spruengli AG (Participation Certificate)           121     1,447,863
Cie Financiere Richemont SA        63,383     9,012,175
Clariant AG        26,198       437,152
Coca-Cola HBC AG        26,744       771,770
DSM-Firmenich AG        21,223     1,959,572
Dufry AG        11,969       533,310
EMS-Chemie Holding AG           852       640,917
Geberit AG         4,138     2,148,284
Givaudan SA         1,121     3,741,108
Helvetia Holding AG         4,507       686,752
Holcim, Ltd.        67,309     4,462,121
Julius Baer Group, Ltd.        25,960     1,806,194
Kuehne & Nagel International AG         6,598     1,986,085
Logitech International SA        19,968     1,384,773
Lonza Group AG         9,042     5,004,397
Nestle SA       333,912    40,219,887
Novartis AG       248,884    25,163,106
Partners Group Holding AG         2,756     2,980,168
Roche Holding AG        85,307    25,137,728
Roche Holding AG (BR)#         3,886     1,215,049
Schindler Holding AG         2,851       599,990
Schindler Holding AG (Participation Certificate)         4,944     1,103,424
SGS SA        18,201     1,656,191
SIG Group AG        37,133       978,611
Sika AG        17,734     5,026,992
Sonova Holding AG         6,312     1,669,909
Straumann Holding AG        13,553     2,055,926
Swatch Group AG (TRQX)         6,389       341,022
Swatch Group AG (XEGT)         3,513       989,057
Swiss Life Holding AG         3,743     2,349,995
Swiss Prime Site AG         9,315       895,278
Swiss Re AG        36,624     3,561,444
Swisscom AG         3,145     1,915,447
Temenos AG         7,744       615,943
UBS Group AG       385,174    10,246,889
VAT Group AG*         3,278     1,315,134
Zurich Insurance Group AG        18,269     8,582,821
      192,217,934
United Kingdom — 12.4% 
3i Group PLC       118,182     2,984,526
Abrdn PLC       243,075       508,388
Admiral Group PLC        25,774       812,997
Anglo American PLC       154,292     4,105,574
Antofagasta PLC        47,882       878,311
Ashtead Group PLC        53,250     3,726,328
Associated British Foods PLC        42,604     1,075,367
AstraZeneca PLC       188,187    25,417,693
Auto Trader Group PLC*       111,540       856,836
Aviva PLC       338,230     1,607,618
BAE Systems PLC       370,761     4,732,024
Barclays PLC     1,887,844     3,524,143
Barratt Developments PLC       119,503       686,234
Berkeley Group Holdings PLC        13,077       672,743
BP PLC     2,148,550     13,268,686
Security Description   Shares or
Principal
Amount
Value
 
United Kingdom (continued) 
British American Tobacco PLC       257,918 $    8,568,504
British Land Co. PLC       106,939       438,382
BT Group PLC#       844,174     1,236,225
Bunzl PLC        41,007     1,470,118
Burberry Group PLC        45,924     1,270,575
Centrica PLC       690,431     1,327,262
Coca-Cola Europacific Partners PLC        24,976     1,601,211
Compass Group PLC       211,874     5,349,249
Croda International PLC        16,955     1,186,047
Diageo PLC       273,775    11,249,042
Endeavour Mining PLC        22,541       460,591
GSK PLC       497,220     8,747,745
Haleon PLC       616,708     2,519,516
Halma PLC        46,098     1,252,030
Hargreaves Lansdown PLC        43,195       416,524
Hikma Pharmaceuticals PLC        20,098       557,322
HSBC Holdings PLC     2,425,876    17,919,235
Imperial Brands PLC       106,596     2,416,465
Informa PLC       168,991     1,564,480
InterContinental Hotels Group PLC        21,052     1,587,852
Intertek Group PLC        19,597     1,027,774
J Sainsbury PLC       200,257       685,204
JD Sports Fashion PLC       314,675       579,010
Johnson Matthey PLC        22,275       459,953
Kingfisher PLC       235,414       697,840
Land Securities Group PLC        85,538       652,974
Legal & General Group PLC       725,296     2,009,425
Lloyds Banking Group PLC     8,045,517     4,316,845
London Stock Exchange Group PLC        48,760     5,051,480
M&G PLC       272,268       658,776
Mondi PLC        58,957       981,383
National Grid PLC       446,517     5,601,041
NatWest Group PLC       696,292     2,032,271
Next PLC        14,825     1,312,367
Ocado Group PLC        70,247       775,627
Pearson PLC        78,259       831,772
Persimmon PLC        38,782       523,715
Phoenix Group Holdings PLC        91,109       601,322
Prudential PLC       334,302     4,091,795
Reckitt Benckiser Group PLC        86,959     6,281,301
RELX PLC       231,052     7,545,716
Rentokil Initial PLC       305,990     2,332,745
Rio Tinto PLC       136,691     8,437,224
Rolls-Royce Holdings PLC     1,016,016     2,861,198
Sage Group PLC       124,375     1,529,890
Schroders PLC        97,871       510,562
Segro PLC       146,844     1,371,725
Severn Trent PLC        30,545       928,665
Shell PLC       831,469    25,400,435
Smith & Nephew PLC       106,047     1,437,441
Smiths Group PLC        42,769       888,548
Spirax-Sarco Engineering PLC         8,958     1,150,119
SSE PLC       132,390     2,727,829
St. James's Place PLC        66,552       745,957
Standard Chartered PLC       292,258     2,634,573
Taylor Wimpey PLC       428,863       620,973
Tesco PLC       888,613     2,990,970
Unilever PLC       306,716    15,705,095
United Utilities Group PLC        82,797       993,282
Vodafone Group PLC     2,785,884      2,583,695
 
78  

VALIC Company I International Equities Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
COMMON STOCKS (continued) 
United Kingdom (continued) 
Whitbread PLC        24,538   $    1,069,314
Wise PLC, Class A        74,651         605,423
        260,239,097
Total Common Stocks
(cost $1,618,237,709)
      1,868,710,496
UNAFFILIATED INVESTMENT COMPANIES — 3.9% 
United States — 3.9% 
iShares MSCI EAFE ETF
(cost $78,504,479)
    1,120,500      80,149,365
WARRANTS — 0.0% 
Switzerland — 0.0% 
Cie Financiere Richemont SA
Expires 11/22/2023
(cost $0)
       94,272          90,179
RIGHTS — 0.0% 
Sweden — 0.0% 
Swedish Orphan Biovitrum AB
Expires 09/14/2023
(cost $0)
       20,690          18,690
Total Long-Term Investment Securities
(cost $1,696,742,188)
      1,948,968,730
SHORT-TERM INVESTMENTS — 1.4% 
U.S. Government — 0.3% 
United States Treasury Bills        
4.30%, 10/05/2023(1)   $    500,000         497,504
4.41%, 11/02/2023(1)       850,000         842,271
4.55%, 11/02/2023(1)       800,000         792,725
4.55%, 11/02/2023(1)       800,000         792,725
5.20%, 09/05/2023(1)     3,750,000       3,747,824
        6,673,049
Unaffiliated Investment Companies — 1.1% 
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(2)(3)
   23,118,030      23,118,030
Total Short-Term Investments
(cost $29,794,842)
      29,791,079
REPURCHASE AGREEMENTS — 5.8% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $120,771,865 and collateralized by $120,786,300 of United States Treasury Notes, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $123,181,922
(cost $120,766,498)
  120,766,498     120,766,498
TOTAL INVESTMENTS
(cost $1,847,303,528)
  100.5%   2,099,526,307
Other assets less liabilities   (0.5)   (10,122,792)
NET ASSETS   100.0%   $2,089,403,515
# The security or a portion thereof is out on loan.
Non-income producing security
* Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. The International Equities Index Fund has no right to demand registration of these securities. At August 31, 2023, the aggregate value of these securities was $25,813,047 representing 1.2% of net assets.
(1) The security or a portion thereof was pledged as collateral to cover margin requirements for open futures contracts.
(2) The rate shown is the 7-day yield as of August 31, 2023.
(3) At August 31, 2023, the Fund had loaned securities with a total value of $36,384,433. This was secured by collateral of $23,118,030, which was received in cash and subsequently invested in short-term investments currently valued at $23,118,030 as reported in the Portfolio of Investments. Additional collateral of $15,363,511 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
United States Treasury Bills 0.00% 09/21/2023 to 12/07/2023 $83,864
United States Treasury Notes/Bonds 0.13% to 6.50% 10/31/2023 to 02/15/2053 15,279,647
ADR—American Depositary Receipt
BR—Bearer Shares
CDI—Chess Depositary Interest
CVA—Certification Van Aandelen (Dutch Cert.)
ETF—Exchange Traded Fund
TRQX—Turquoise Stock Exchange
XEGT—Equiduct Stock Exchange
 
79

VALIC Company I International Equities Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Futures Contracts

Number
of
Contracts
Type Description Expiration
Month
Notional
Basis*
Notional
Value*
Unrealized
(Depreciation)
1,341 Long MSCI EAFE Index September 2023 $144,973,128 $141,428,565 $(3,544,563)
* Notional basis refers to the contractual amount agreed upon at inception of the open contract; notional value represents the current value of the open contract.
Industry Allocation*   
Banks 10.0%
Pharmaceuticals 8.6
Repurchase Agreements 5.8
Insurance 4.4
Oil & Gas 4.1
Food 3.9
Unaffiliated Investment Companies 3.9
Auto Manufacturers 3.5
Semiconductors 3.0
Telecommunications 2.7
Chemicals 2.6
Mining 2.6
Electric 2.5
Commercial Services 2.4
Apparel 2.3
Cosmetics/Personal Care 2.0
Healthcare-Products 2.0
Retail 1.9
Machinery-Diversified 1.9
Beverages 1.7
Building Materials 1.6
Software 1.5
Distribution/Wholesale 1.5
Aerospace/Defense 1.4
Electronics 1.4
Short-Term Investments 1.4
Transportation 1.3
Diversified Financial Services 1.3
Machinery-Construction & Mining 1.3
Computers 1.1
Engineering & Construction 1.0
Miscellaneous Manufacturing 1.0
Biotechnology 0.8
Home Furnishings 0.8
Electrical Components & Equipment 0.8
REITS 0.7
Real Estate 0.7
Entertainment 0.7
Internet 0.7
Agriculture 0.7
Auto Parts & Equipment 0.6
Healthcare-Services 0.6
Investment Companies 0.5
Iron/Steel 0.5
Household Products/Wares 0.4
Toys/Games/Hobbies 0.4
Lodging 0.4
Food Service 0.4
Private Equity 0.3
Media 0.3
Gas 0.3
Forest Products & Paper 0.3
Water 0.3
Packaging & Containers 0.3
Home Builders 0.2
Hand/Machine Tools 0.2
Advertising 0.2
80  

VALIC Company I International Equities Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Industry Allocation* (continued)  
Office/Business Equipment 0.2%
Metal Fabricate/Hardware 0.2
Leisure Time 0.2
Energy-Alternate Sources 0.1
Holding Companies-Diversified 0.1
  100.5%
* Calculated as a percentage of net assets
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $1,868,710,496   $  $—   $1,868,710,496
Unaffiliated Investment Companies 80,149,365       80,149,365
Warrants 90,179       90,179
Rights   18,690     18,690
Short-Term Investments:              
U.S. Government   6,673,049     6,673,049
Other Short-Term Investments 23,118,030       23,118,030
Repurchase Agreements   120,766,498     120,766,498
Total Investments at Value $1,972,068,070   $127,458,237   $—   $2,099,526,307
LIABILITIES:              
Other Financial Instruments:              
Futures Contracts $3,544,563   $  $—   $3,544,563
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Amounts represent unrealized appreciation/depreciation as of the end of the reporting period.
See Notes to Portfolio of Investments
81

VALIC Company I International Government Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
CORPORATE BONDS & NOTES — 6.7% 
British Virgin Islands — 0.3% 
China Cinda 2020 I Management, Ltd.      
2.50%, 01/20/2028   $    200,000 $   171,589
Cayman Islands — 0.7% 
Alibaba Group Holding, Ltd.      
2.70%, 02/09/2041       200,000    127,644
Grupo Aval, Ltd.      
4.38%, 02/04/2030*       255,000    202,271
Meituan      
3.05%, 10/28/2030       200,000    157,692
      487,607
Chile — 0.5% 
Celulosa Arauco y Constitucion SA      
5.50%, 04/30/2049       200,000    166,577
Empresa Nacional del Petroleo      
6.15%, 05/10/2033*       200,000    197,225
      363,802
Colombia — 0.4% 
Ecopetrol SA      
6.88%, 04/29/2030       300,000    279,390
Luxembourg — 0.5% 
Minerva Luxembourg SA      
4.38%, 03/18/2031*#       200,000    159,164
Rumo Luxembourg SARL      
4.20%, 01/18/2032       200,000    162,300
      321,464
Mauritius — 0.8% 
Greenko Solar Mauritius, Ltd.      
5.95%, 07/29/2026       200,000    187,600
India Clean Energy Holdings      
4.50%, 04/18/2027#       400,000    336,732
      524,332
Mexico — 0.8% 
Petroleos Mexicanos      
6.63%, 06/15/2038       300,000    196,181
6.70%, 02/16/2032       200,000    151,232
6.75%, 09/21/2047       300,000    185,680
      533,093
Netherlands — 0.9% 
Braskem Netherlands Finance BV      
4.50%, 01/31/2030       300,000    250,498
Minejesa Capital BV      
5.63%, 08/10/2037       250,000    196,209
Prosus NV      
4.99%, 01/19/2052       300,000    202,415
      649,122
Panama — 0.3% 
Aeropuerto Internacional de Tocumen SA      
5.13%, 08/11/2061       250,000    187,437
Peru — 0.7% 
Banco de Credito del Peru S.A.      
3.13%, 07/01/2030#       250,000    232,222
Orazul Energy Peru SA      
5.63%, 04/28/2027       300,000    270,990
      503,212
Security Description   Shares or
Principal
Amount
Value
 
Qatar — 0.2% 
QatarEnergy      
3.30%, 07/12/2051   $    200,000 $   140,047
Singapore — 0.3% 
LLPL Capital Pte, Ltd.      
6.88%, 02/04/2039       241,380    212,896
United Arab Emirates — 0.3% 
DP World, Ltd.      
5.63%, 09/25/2048       250,000    230,647
Total Corporate Bonds & Notes
(cost $5,100,016)
    4,604,638
U.S. GOVERNMENT & AGENCY OBLIGATIONS — 33.2% 
United States — 33.2% 
United States Treasury Bonds      
1.88%, 02/15/2041       940,000    652,345
2.00%, 11/15/2041 to 08/15/2051     1,510,000    995,634
2.50%, 02/15/2045       470,000    345,138
2.88%, 05/15/2043 to 05/15/2049       970,000    764,707
3.00%, 02/15/2047       500,000    397,480
3.13%, 08/15/2044       840,000    691,163
3.38%, 05/15/2044 to 11/15/2048     1,090,000    931,459
3.75%, 11/15/2043       470,000    427,535
United States Treasury Notes      
0.25%, 05/15/2024 to 07/31/2025     1,335,000  1,242,214
0.63%, 10/15/2024     1,000,000    949,570
0.88%, 09/30/2026 to 11/15/2030     1,500,000  1,249,160
1.13%, 02/15/2031       500,000    406,231
1.88%, 02/28/2029     1,000,000    884,258
2.00%, 08/15/2025#     1,000,000    946,641
2.13%, 03/31/2024 to 05/15/2025     1,340,000  1,301,715
2.25%, 11/15/2024#     1,400,000  1,350,945
2.38%, 08/15/2024#       800,000    777,406
2.38%, 05/15/2027     1,120,000  1,042,300
2.50%, 05/15/2024     1,200,000  1,175,531
2.75%, 08/15/2032     1,000,000    897,617
2.88%, 05/15/2028 to 05/15/2032     2,400,000  2,209,008
3.00%, 07/31/2024     1,000,000    978,438
3.38%, 05/15/2033     1,000,000    942,031
3.50%, 02/15/2033       500,000    476,172
3.75%, 06/30/2030       400,000    389,188
4.13%, 11/15/2032#       450,000    449,789
Total U.S. Government & Agency Obligations
(cost $25,055,689)
    22,873,675
FOREIGN GOVERNMENT OBLIGATIONS — 57.4% 
Angola — 0.8% 
Republic of Angola      
8.75%, 04/14/2032       300,000    246,000
9.38%, 05/08/2048       400,000    304,944
      550,944
Australia — 0.4% 
Commonwealth of Australia      
3.00%, 03/21/2047 AUD     559,000    287,509
Austria — 1.0% 
Republic of Austria      
0.75%, 10/20/2026* EUR     655,000    665,528
Belgium — 1.3% 
Kingdom of Belgium      
0.90%, 06/22/2029* EUR     935,000    911,595
 
82  

VALIC Company I International Government Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
FOREIGN GOVERNMENT OBLIGATIONS (continued) 
Brazil — 0.3% 
Federal Republic of Brazil      
6.00%, 10/20/2033   $    200,000 $   194,525
Canada — 1.4% 
Government of Canada      
1.00%, 09/01/2026 CAD     515,000    346,847
1.25%, 03/01/2025 CAD     935,000    657,178
      1,004,025
Cayman Islands — 0.4% 
KSA Sukuk, Ltd.      
4.51%, 05/22/2033*       300,000    291,444
Chile — 0.7% 
Republic of Chile      
4.95%, 01/05/2036       500,000    482,153
Colombia — 1.0% 
Republic of Colombia      
3.13%, 04/15/2031       300,000    230,844
4.50%, 03/15/2029       500,000    444,396
      675,240
Costa Rica — 0.6% 
Republic of Costa Rica      
6.55%, 04/03/2034*       400,000    402,661
Dominican Republic — 0.8% 
Dominican Republic      
5.50%, 02/22/2029       300,000    280,099
5.88%, 01/30/2060       400,000    306,454
      586,553
Ecuador — 0.2% 
Republic of Ecuador      
2.50%, 07/31/2040(1)       250,000     81,454
3.50%, 07/31/2035(1)       220,000     80,390
      161,844
Egypt — 1.1% 
Arab Republic of Egypt      
5.63%, 04/16/2030 EUR     250,000    148,366
7.50%, 02/16/2061       400,000    200,904
7.60%, 03/01/2029       300,000    192,351
7.63%, 05/29/2032       400,000    229,363
      770,984
Finland — 1.2% 
Republic of Finland      
0.13%, 04/15/2052* EUR     600,000    290,819
0.50%, 09/15/2028* EUR     560,000    540,324
      831,143
France — 3.4% 
Government of France      
0.75%, 11/25/2028 EUR     935,000    913,564
1.25%, 05/25/2034 EUR     470,000    426,389
1.25%, 05/25/2036* EUR     935,000    812,502
1.75%, 05/25/2066* EUR     235,000    164,711
      2,317,166
Germany — 3.9% 
Federal Republic of Germany      
0.50%, 02/15/2026 EUR     468,000    480,127
2.30%, 02/15/2033 EUR     800,000     857,994
Security Description   Shares or
Principal
Amount
Value
 
Germany (continued) 
4.75%, 07/04/2034 to 07/04/2040 EUR     610,000 $   847,442
6.50%, 07/04/2027 EUR     400,000    494,334
      2,679,897
Guatemala — 1.1% 
Republic of Guatemala      
4.90%, 06/01/2030   $    400,000    373,869
5.38%, 04/24/2032       200,000    189,941
6.60%, 06/13/2036*       200,000    199,979
      763,789
Hungary — 0.7% 
Republic of Hungary      
6.75%, 09/25/2052*       200,000    202,678
7.63%, 03/29/2041       280,000    308,924
      511,602
Indonesia — 1.5% 
Republic of Indonesia      
2.15%, 07/28/2031       400,000    323,077
3.85%, 10/15/2030       400,000    369,558
4.13%, 01/15/2025       200,000    196,710
8.50%, 10/12/2035       100,000    127,179
      1,016,524
Israel — 0.7% 
Israel Government USAID      
4.50%, 01/17/2033       500,000    479,943
Italy — 3.8% 
Republic of Italy      
0.95%, 03/01/2037* EUR     300,000    217,155
2.00%, 02/01/2028 EUR     465,000    472,449
2.70%, 03/01/2047* EUR     470,000    385,903
2.80%, 12/01/2028 EUR     375,000    390,993
3.00%, 08/01/2029 EUR     180,000    188,254
4.35%, 11/01/2033 EUR     500,000    554,780
4.75%, 09/01/2028* EUR     140,000    159,703
6.00%, 05/01/2031 EUR     200,000    248,743
      2,617,980
Ivory Coast — 0.9% 
Republic of Ivory Coast      
6.13%, 06/15/2033       400,000    341,228
6.38%, 03/03/2028       300,000    282,848
      624,076
Japan — 6.5% 
Government of Japan      
0.30%, 12/20/2039 JPY 100,000,000    599,491
1.40%, 09/20/2034 JPY  75,000,000    550,550
1.50%, 03/20/2034 JPY  90,000,000    667,934
1.70%, 09/20/2032 JPY  60,000,000    453,046
2.00%, 09/20/2041 JPY 100,000,000    767,607
2.30%, 12/20/2036 to 03/20/2039 JPY 180,000,000  1,446,236
      4,484,864
Mexico — 1.3% 
United Mexican States      
2.66%, 05/24/2031       200,000    165,472
4.88%, 05/19/2033#       200,000    189,451
8.50%, 05/31/2029 MXN   6,000,000    338,795
10.00%, 12/05/2024 MXN   3,000,000    173,968
      867,686
 
83

VALIC Company I International Government Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
FOREIGN GOVERNMENT OBLIGATIONS (continued) 
Morocco — 0.6% 
Kingdom of Morocco      
3.00%, 12/15/2032   $    500,000 $   389,960
Netherlands — 1.3% 
Kingdom of the Netherlands      
0.25%, 07/15/2029* EUR     935,000    881,161
Norway — 0.6% 
Kingdom of Norway      
2.13%, 05/18/2032* NOK   5,000,000    411,665
Oman — 0.9% 
Sultanate of Oman      
5.38%, 03/08/2027       400,000    393,490
6.25%, 01/25/2031       200,000    202,220
      595,710
Panama — 1.3% 
Republic of Panama      
3.75%, 03/16/2025       200,000    193,685
3.87%, 07/23/2060       400,000    255,476
4.50%, 04/01/2056       300,000    217,237
6.70%, 01/26/2036       200,000    209,743
      876,141
Paraguay — 0.7% 
Republic of Paraguay      
5.00%, 04/15/2026       277,000    270,633
5.85%, 08/21/2033*       200,000    196,781
      467,414
Philippines — 0.9% 
Republic of the Philippines      
5.00%, 07/17/2033#       400,000    398,000
5.50%, 01/17/2048       200,000    201,000
      599,000
Poland — 0.8% 
Republic of Poland      
4.00%, 01/22/2024       180,000    178,609
5.50%, 04/04/2053       400,000    388,317
      566,926
Qatar — 1.1% 
State of Qatar      
3.38%, 03/14/2024       600,000    592,500
4.40%, 04/16/2050       200,000    175,638
      768,138
Romania — 0.4% 
Government of Romania      
5.25%, 11/25/2027*       320,000    313,760
Saudi Arabia — 1.3% 
Kingdom of Saudi Arabia      
3.45%, 02/02/2061       600,000    397,410
4.63%, 10/04/2047       400,000    338,712
4.88%, 07/18/2033*       200,000    196,827
      932,949
Senegal — 0.8% 
Republic of Senegal      
6.25%, 05/23/2033       350,000    285,534
6.75%, 03/13/2048       400,000    277,576
      563,110
Security Description   Shares or
Principal
Amount
Value
 
South Africa — 1.2% 
Republic of South Africa      
5.65%, 09/27/2047   $    400,000 $   282,816
5.88%, 06/22/2030 to 04/20/2032       600,000    535,220
      818,036
Spain — 3.3% 
Kingdom of Spain      
1.00%, 10/31/2050* EUR     470,000    262,977
1.30%, 10/31/2026* EUR     655,000    670,823
1.95%, 07/30/2030* EUR     500,000    499,734
5.75%, 07/30/2032 EUR     400,000    513,524
6.00%, 01/31/2029 EUR     281,000    347,117
      2,294,175
Sweden — 0.3% 
Kingdom of Sweden      
0.75%, 05/12/2028 SEK   2,620,000    217,168
Turkey — 1.1% 
Republic of Turkey      
4.88%, 04/16/2043       450,000    297,603
6.88%, 03/17/2036       200,000    174,929
9.38%, 01/19/2033#       200,000    208,548
11.88%, 01/15/2030        50,000     58,963
      740,043
United Arab Emirates — 1.1% 
Emirate of Abu Dhabi      
2.50%, 04/16/2025       200,000    190,980
2.70%, 09/02/2070       400,000    234,408
3.00%, 09/15/2051       200,000    135,285
3.13%, 10/11/2027       200,000    188,214
      748,887
United Kingdom — 3.6% 
United Kingdom Gilt Treasury      
0.88%, 01/31/2046 GBP     468,000    285,344
1.00%, 01/31/2032 GBP     400,000    388,967
1.13%, 01/31/2039 GBP   1,000,000    787,604
1.25%, 07/22/2027 GBP     374,000    419,405
4.25%, 03/07/2036 GBP     468,000    581,746
      2,463,066
Uruguay — 1.1% 
Oriental Republic of Uruguay      
5.10%, 06/18/2050       375,000    360,114
7.63%, 03/21/2036       200,000    241,444
7.88%, 01/15/2033(2)       130,000    156,594
      758,152
Total Foreign Government Obligations
(cost $45,018,797)
    39,585,136
Total Long-Term Investment Securities
(cost $75,174,502)
    67,063,449
 
84  

VALIC Company I International Government Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS — 1.9% 
Unaffiliated Investment Companies — 1.9% 
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(3)(4)
(cost $1,310,655)
    1,310,655   $ 1,310,655
TOTAL INVESTMENTS
(cost $76,485,157)
  99.2%   68,374,104
Other assets less liabilities   0.8   533,187
NET ASSETS   100.0%   $68,907,291
* Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. The International Government Bond Fund has no right to demand registration of these securities. At August 31, 2023, the aggregate value of these securities was $9,237,390 representing 13.4% of net assets.
# The security or a portion thereof is out on loan.
(1) "Step-up" security where the rate increases ("steps-up") at a predetermined rate. The rate reflected is as of August 31, 2023.
(2) PIK ("Payment-in-Kind") security -- Income may be paid in additional securities or cash at the discretion of the issuer. The security is currently paying interest in cash at the coupon rate listed.
(3) The rate shown is the 7-day yield as of August 31, 2023.
(4) At August 31, 2023, the Fund had loaned securities with a total value of $4,898,298. This was secured by collateral of $1,310,655, which was received in cash and subsequently invested in short-term investments currently valued at $1,310,655 as reported in the Portfolio of Investments. Additional collateral of $3,801,024 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
Federal Home Loan Mtg. Corp. 1.50% to 5.98% 06/25/2034 to 01/15/2055 $324,272
Federal National Mtg. Assoc. 0.00% to 6.78% 01/25/2027 to 12/25/2057 452,702
Government National Mtg. Assoc. 1.00% to 6.50% 08/20/2033 to 09/16/2065 2,946,584
United States Treasury Notes/Bonds 0.12% to 5.39% 01/15/2024 to 02/15/2051 77,466
USAID—United States Agency for International Development
AUD—Australian Dollar
CAD—Canadian Dollar
EUR—Euro Currency
GBP—British Pound
JPY—Japanese Yen
MXN—Mexican Peso
NOK—Norwegian Krone
SEK—Swedish Krona
 
Industry Allocation*   
Foreign Government Obligations 57.4%
U.S. Government & Agency Obligations 33.2
Short-Term Investments 1.9
Oil & Gas 1.7
Electric 1.5
Internet 0.7
Banks 0.6
Chemicals 0.3
Commercial Services 0.3
Energy-Alternate Sources 0.3
Engineering & Construction 0.3
Diversified Financial Services 0.3
Transportation 0.3
Forest Products & Paper 0.2
Food 0.2
  99.2%
* Calculated as a percentage of net assets
85

VALIC Company I International Government Bond Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Corporate Bonds & Notes $  $4,604,638   $—   $4,604,638
U.S. Government & Agency Obligations   22,873,675     22,873,675
Foreign Government Obligations   39,585,136     39,585,136
Short-Term Investments 1,310,655       1,310,655
Total Investments at Value $1,310,655   $67,063,449   $—   $68,374,104
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
See Notes to Portfolio of Investments
86  

VALIC Company I International Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 94.2% 
Bermuda — 2.0% 
Brookfield Infrastructure Partners LP      255,232 $  8,144,453
Canada — 10.2% 
Brookfield Corp.      253,145   8,634,776
Canada Goose Holdings, Inc.#      566,882   8,917,054
Canadian Pacific Kansas City, Ltd.#      129,028  10,242,409
Shopify, Inc., Class A      193,459  12,863,089
      40,657,328
Denmark — 8.3% 
DSV A/S      173,907  33,083,092
France — 11.4% 
Hermes International SCA       13,680  28,196,306
LVMH Moet Hennessy Louis Vuitton SE        9,476   8,037,344
Pernod Ricard SA       47,334   9,300,389
      45,534,039
Germany — 3.7% 
adidas AG       53,061  10,610,923
Puma SE       59,672   4,011,732
      14,622,655
Hong Kong — 2.3% 
AIA Group, Ltd.    1,023,318   9,290,613
India — 7.6% 
HDFC Bank, Ltd.    1,346,075  25,641,460
Titan Co., Ltd.      124,801   4,691,367
      30,332,827
Italy — 6.6% 
Moncler SpA#      386,931  26,281,792
Japan — 4.6% 
Keyence Corp.       44,200  18,385,402
Luxembourg — 3.0% 
Spotify Technology SA       77,640  11,954,231
Netherlands — 10.3% 
Adyen NV*#        8,812   7,381,467
ASML Holding NV       28,994  19,112,169
Davide Campari-Milano NV#    1,132,803  14,826,252
      41,319,888
Sweden — 2.9% 
Evolution AB*       87,558   9,486,350
Vitrolife AB      142,701   1,948,559
      11,434,909
Switzerland — 9.1% 
Chocoladefabriken Lindt & Spruengli AG           59    6,959,642
Security Description   Shares or
Principal
Amount
  Value
 
Switzerland (continued) 
Cie Financiere Richemont SA       28,198   $  4,009,361
Kuehne & Nagel International AG       29,962     9,018,957
Straumann Holding AG      106,555    16,163,888
        36,151,848
Taiwan — 3.0% 
Taiwan Semiconductor Manufacturing Co., Ltd.      697,000    12,015,543
United Kingdom — 3.8% 
Diageo PLC      212,957     8,750,113
Rightmove PLC      922,407     6,543,626
        15,293,739
United States — 5.4% 
MercadoLibre, Inc.       15,753    21,618,787
Total Long-Term Investment Securities
(cost $306,854,270)
      376,121,146
SHORT-TERM INVESTMENTS — 4.3% 
Unaffiliated Investment Companies — 4.3% 
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(1)(2)
(cost $17,148,880)
  17,148,880    17,148,880
TOTAL INVESTMENTS
(cost $324,003,150)
  98.5%   393,270,026
Other assets less liabilities   1.5   5,921,076
NET ASSETS   100.0%   $399,191,102
# The security or a portion thereof is out on loan.
Non-income producing security
* Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. The International Growth Fund has no right to demand registration of these securities. At August 31, 2023, the aggregate value of these securities was $16,867,817 representing 4.2% of net assets.
(1) The rate shown is the 7-day yield as of August 31, 2023.
(2) At August 31, 2023, the Fund had loaned securities with a total value of $17,877,213. This was secured by collateral of $17,148,880, which was received in cash and subsequently invested in short-term investments currently valued at $17,148,880 as reported in the Portfolio of Investments. Additional collateral of $1,670,608 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
United States Treasury Bills 0.00% 09/19/2023 to 01/25/2024 $672
United States Treasury Notes/Bonds 0.13% to 6.25% 10/31/2023 to 05/15/2053 1,669,936
 
Industry Allocation*   
Apparel 15.0%
Internet 13.2
Transportation 13.2
Retail 8.8
Beverages 8.2
Semiconductors 7.8
Banks 6.4
Machinery-Diversified 4.6
Short-Term Investments 4.3
Healthcare-Products 4.1
Entertainment 2.4
87

VALIC Company I International Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Industry Allocation* (continued)  
Insurance 2.3%
Private Equity 2.2
Electric 2.0
Commercial Services 1.8
Food 1.7
Biotechnology 0.5
  98.5%
* Calculated as a percentage of net assets
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $376,121,146   $—   $—   $376,121,146
Short-Term Investments 17,148,880       17,148,880
Total Investments at Value $393,270,026   $—   $—   $393,270,026
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
See Notes to Portfolio of Investments
88  

VALIC Company I International Opportunities Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 95.0% 
Australia — 3.9% 
ALS, Ltd.       46,484 $    355,709
Ansell, Ltd.       37,067     566,094
ARB Corp, Ltd.#       16,133     353,324
AUB Group, Ltd.       61,037   1,219,293
carsales.com, Ltd.       21,780     405,589
Cedar Woods Properties, Ltd.       79,389     275,719
Codan, Ltd.#       42,466     216,274
Deterra Royalties, Ltd.      136,512     393,616
Domino's Pizza Enterprises, Ltd.#       12,297     430,662
HUB24, Ltd.      178,665   3,736,926
Iluka Resources, Ltd.       80,197     443,250
Imdex, Ltd.      346,325     363,530
IPH, Ltd.      228,677   1,130,547
IRESS, Ltd.#       54,518     226,079
Nick Scali, Ltd.       39,057     316,590
Omni Bridgeway, Ltd.#      235,317     320,195
Pinnacle Investment Management Group, Ltd.#       39,788     241,307
Pro Medicus, Ltd.#       86,084   4,089,652
Reliance Worldwide Corp, Ltd.      168,865     457,359
Rural Funds Group      187,864     262,929
SEEK, Ltd.#       26,619     398,596
Seven Group Holdings, Ltd.#       34,239     620,297
Steadfast Group, Ltd.      270,580     988,818
Webjet, Ltd.#      130,608     590,700
WiseTech Global, Ltd.       12,080     543,993
      18,947,048
Austria — 1.5% 
BAWAG Group AG*       36,484   1,722,506
DO & CO AG       34,450   4,012,021
Mayr-Melnhof Karton AG        4,924     698,386
Vienna Insurance Group AG Wiener Versicherung Gruppe       39,759   1,067,039
      7,499,952
Belgium — 0.1% 
Melexis NV        6,135     580,097
Bermuda — 0.9% 
Cafe de Coral Holdings, Ltd.      562,000     680,791
China Resources Gas Group, Ltd.      243,600     684,919
Credicorp., Ltd.        2,449     346,362
DFI Retail Group Holdings, Ltd.#      222,100     548,587
Hiscox, Ltd.       65,105     822,688
Midland Holdings, Ltd.    1,156,000      94,339
Shangri-La Asia, Ltd.    1,046,000     714,908
VTech Holdings, Ltd.      108,849     664,835
      4,557,429
Brazil — 1.5% 
3R Petroleum Oleo e Gas SA      240,844   1,601,071
CSN Mineracao SA    2,213,631   1,913,216
Gerdau SA (Preference Shares)       97,195     507,364
Hypera SA       25,502     200,790
Localiza Rent a Car SA       24,463     312,453
Multiplan Empreendimentos Imobiliarios SA      142,189     710,364
Sendas Distribuidora SA       61,000     143,014
SLC Agricola SA      161,845   1,314,487
Suzano SA       39,000     394,958
TOTVS SA       57,200     320,418
      7,418,135
British Virgin Islands — 0.6% 
Arcos Dorados Holdings, Inc.      308,834   3,048,192
Security Description   Shares or
Principal
Amount
Value
 
Canada — 5.1% 
Agnico Eagle Mines, Ltd.       24,273 $  1,178,620
ATS Corp.      179,660   8,060,235
Capital Power Corp.#       90,955   2,737,670
Dollarama, Inc.       29,678   1,924,282
ERO Copper Corp.      170,636   3,529,660
Granite Real Estate Investment Trust       35,731   1,990,697
Major Drilling Group International, Inc.      206,369   1,328,752
Stella-Jones, Inc.       71,908   3,490,561
TMX Group, Ltd.       33,695     745,619
      24,986,096
Cayman Islands — 3.6% 
Afya, Ltd., Class A       19,471     293,428
Airtac International Group       20,000     577,772
AK Medical Holdings, Ltd.*    2,968,000   2,391,855
Alchip Technologies, Ltd.       90,000   6,980,359
ASMPT, Ltd.      128,600   1,288,074
Atour Lifestyle Holdings, Ltd. ADR#      104,894   2,037,042
Burning Rock Biotech, Ltd. ADR#        9,967      13,505
China Literature, Ltd.*#       78,200     314,102
Haitian International Holdings, Ltd.      349,000     749,413
Shenguan Holdings Group, Ltd.      422,000      14,798
Silergy Corp.       48,000     432,575
Silicon Motion Technology Corp. ADR        9,982     542,122
Tingyi Cayman Islands Holding Corp.      474,000     696,281
Trip.com Group, Ltd.       24,674     973,450
      17,304,776
Chile — 0.1% 
Aguas Andinas SA, Class A      945,118     322,579
Banco Santander Chile    5,466,278     261,592
      584,171
China — 0.5% 
Beijing Capital International Airport Co., Ltd.    3,392,000   1,777,671
Guangzhou Kingmed Diagnostics Group Co., Ltd.       40,200     328,981
Zhejiang Supor Co., Ltd., Class A       80,300     524,414
      2,631,066
Czech Republic — 0.1% 
Komercni Banka AS       16,100     503,764
Denmark — 1.2% 
Carlsberg A/S, Class B        4,881     707,319
Demant A/S       10,007     410,146
Jyske Bank A/S       66,965   4,775,072
SimCorp A/S        1,244     132,398
      6,024,935
Faroe Islands — 0.2% 
Bakkafrost P/F       19,588     990,298
Finland — 0.6% 
Huhtamaki Oyj       22,663     779,262
Valmet Oyj       73,017   1,860,636
      2,639,898
France — 2.7% 
Alten SA        4,741     675,001
Cie Plastic Omnium SE       11,758     206,802
IPSOS       57,956   2,904,678
Legrand SA       20,899   2,064,494
LISI       19,028     465,275
SEB SA        5,971     657,178
Sodexo SA       19,202    2,061,764
 
89

VALIC Company I International Opportunities Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
France (continued) 
Verallia SA*       66,007 $  3,157,877
Virbac SA        3,125     935,252
      13,128,321
Germany — 4.6% 
Aixtron SE       81,321   3,095,135
Amadeus Fire AG        4,997     610,123
CANCOM SE       14,447     419,839
CTS Eventim AG & Co. KGaA       26,911   1,677,905
GEA Group AG       42,681   1,684,635
Gerresheimer AG       19,973   2,596,762
HUGO BOSS AG       51,037   3,846,269
LEG Immobilien SE       18,812   1,358,560
MTU Aero Engines AG        1,508     352,876
Rational AG          107      81,624
Scout24 SE*       14,753   1,017,756
SGL Carbon SE#      241,410   1,831,103
Symrise AG       30,977   3,230,007
TAG Immobilien AG       28,229     320,794
Vitesco Technologies Group AG          943      74,543
      22,197,931
Greece — 0.5% 
Alpha Services and Holdings SA    1,093,323   1,845,301
Hellenic Telecommunications Organization SA       35,882     536,940
      2,382,241
Hong Kong — 1.0% 
China Resources Beer Holdings Co., Ltd.      172,000   1,011,074
MMG, Ltd.#    7,000,000   2,329,659
Swire Properties, Ltd.      360,000     752,836
Techtronic Industries Co., Ltd.       89,000     879,519
      4,973,088
India — 4.5% 
Bharat Heavy Electricals, Ltd.      543,741     799,984
CESC, Ltd.    1,164,550   1,173,184
Dabur India, Ltd.       94,289     631,545
Embassy Office Parks REIT      126,831     465,890
Escorts Kubota, Ltd.       74,081   2,833,084
Hero MotoCorp, Ltd.       22,240     784,439
Indian Hotels Co., Ltd.      564,100   2,872,073
Ipca Laboratories, Ltd.       56,985     601,539
Mahindra & Mahindra, Ltd.       34,698     661,258
MOIL, Ltd.      157,840     455,772
Persistent Systems, Ltd.       43,364   2,818,028
Radico Khaitan, Ltd.      139,307   2,128,655
Shriram Finance, Ltd.       64,354   1,496,440
Varun Beverages, Ltd.      363,884   3,968,665
      21,690,556
Indonesia — 1.0% 
AKR Corporindo Tbk PT   27,475,000   2,525,607
Indocement Tunggal Prakarsa Tbk PT      864,600     607,434
Kalbe Farma Tbk PT    7,848,400     935,315
United Tractors Tbk PT      494,700     844,531
      4,912,887
Ireland — 1.4% 
DCC PLC       12,383     678,767
Flutter Entertainment PLC        5,060     923,681
Glenveagh Properties PLC*    2,385,519   2,591,912
Grafton Group PLC       79,183      865,165
Security Description   Shares or
Principal
Amount
Value
 
Ireland (continued) 
Greencore Group PLC       43,608 $     46,542
ICON PLC        1,086     282,295
James Hardie Industries PLC CDI        9,911     298,808
Kerry Group PLC, Class A        7,616     711,380
Kingspan Group PLC        1,724     145,964
      6,544,514
Israel — 0.8% 
Inmode, Ltd.      104,231   4,074,390
Italy — 3.8% 
Azimut Holding SpA      130,931   3,035,428
Brembo SpA      189,974   2,645,019
Brunello Cucinelli SpA#       40,229   3,332,747
Carel Industries SpA*        4,681     131,718
Cembre SpA#       16,618     596,453
Enav SpA*      173,888     702,181
FinecoBank Banca Fineco SpA       35,918     493,078
Gruppo MutuiOnline SpA#        5,586     158,395
Infrastrutture Wireless Italiane SpA*       46,009     569,493
Italgas SpA#      218,799   1,245,588
Piaggio & C. SpA      752,157   2,875,812
Reply SpA       22,877   2,342,992
Unipol Gruppo SpA       72,290     403,226
      18,532,130
Japan — 25.5% 
Aeon Delight Co., Ltd.#       10,000     219,595
AEON Financial Service Co., Ltd.#       85,300     745,155
Air Water, Inc.       26,700     336,377
Amano Corp.        8,441     184,316
Amvis Holdings, Inc.      220,200   4,405,665
Appier Group, Inc.      261,000   3,176,955
Arata Corp.        5,000     185,917
Argo Graphics, Inc.       23,500     543,507
Ariake Japan Co., Ltd.       30,600   1,116,781
As One Corp.       12,200     479,715
Asante, Inc.#        5,800      64,739
Asics Corp.      186,600   6,811,455
Azbil Corp.       28,100     938,630
Bank of Kyoto, Ltd.#       19,600   1,134,549
BayCurrent Consulting, Inc.      103,000   3,548,844
BML, Inc.       31,400     624,784
Central Automotive Products, Ltd.        1,700      41,129
Chiba Bank, Ltd.      133,500     955,636
COMSYS Holdings Corp.       13,100     279,386
Comture Corp.       18,100     303,792
Daifuku Co., Ltd.        8,600     159,209
Daikyonishikawa Corp.       11,287      62,915
Daiseki Co., Ltd.#       56,980   1,729,040
Daito Pharmaceutical Co., Ltd.       23,760     373,804
Demae-Can Co., Ltd.#       20,700      57,336
DeNA Co., Ltd.       11,500     119,351
Digital Garage, Inc.       12,100     311,866
DMG Mori Co., Ltd.      250,600   4,582,434
Doshisha Co., Ltd.        4,800      78,188
DTS Corp.       26,700     592,742
Eiken Chemical Co., Ltd.       25,700     247,294
Elecom Co., Ltd.       29,000     348,809
Ezaki Glico Co., Ltd.       15,500     409,299
Fuji Seal International, Inc.       56,700     681,203
Fujimi, Inc.#      283,800   6,573,463
Fujitec Co., Ltd.#       25,800     660,538
Fukuda Denshi Co., Ltd.       21,400      747,187
 
90  

VALIC Company I International Opportunities Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Japan (continued) 
Fukui Computer Holdings, Inc.        6,900 $    126,006
Fukushima Galilei Co., Ltd.#       20,800     740,534
FULLCAST Holdings Co., Ltd.       25,500     364,373
Goldwin, Inc.       57,500   4,116,035
GungHo Online Entertainment, Inc.        4,600      75,863
Hachijuni Bank, Ltd.#      126,700     683,855
Hamakyorex Co., Ltd.        4,000     115,193
Heian Ceremony Service Co., Ltd.       12,400      65,795
Hogy Medical Co., Ltd.        2,800      61,583
IHI Corp.#      169,900   4,240,056
Inter Action Corp.       15,900     118,899
Iwatani Corp.       16,800     886,216
JAFCO Group Co., Ltd.        6,700      86,021
Japan Exchange Group, Inc.        4,900      85,643
Japan Pure Chemical Co., Ltd.        1,400      24,566
JCU Corp.       28,000     650,469
Jeol, Ltd.        8,200     262,071
JGC Holdings Corp.       91,260   1,221,232
JM Holdings Co., Ltd.        8,600     112,129
Kakaku.com, Inc.       19,000     226,571
Kansai Paint Co., Ltd.       35,300     579,619
Kato Sangyo Co., Ltd.       24,300     700,632
Kawai Musical Instruments Manufacturing Co., Ltd.        4,100      95,670
KH Neochem Co., Ltd.       14,000     218,523
Kitanotatsujin Corp.       38,700      66,231
Kobayashi Pharmaceutical Co., Ltd.        9,400     465,300
Koito Manufacturing Co., Ltd.       44,100     750,332
Kureha Corp.#        4,700     276,518
Lion Corp.       36,900     402,110
Mebuki Financial Group, Inc.    1,494,800   4,141,406
Medipal Holdings Corp.       24,800     425,620
Meitec Corp.       38,100     668,148
METAWATER Co., Ltd.#       37,100     490,094
MISUMI Group, Inc.        7,800     136,357
Mitsubishi Pencil Co., Ltd.        7,900     104,794
MonotaRO Co., Ltd.#       22,700     268,665
Morinaga & Co., Ltd.       30,000   1,091,378
Nabtesco Corp.       27,900     529,064
Nakanishi, Inc.       62,200   1,568,947
Nihon Kohden Corp.       17,800     474,438
Nihon Parkerizing Co., Ltd.       35,800     286,164
Nippon Television Holdings, Inc.       26,200     244,542
Nishimatsuya Chain Co., Ltd.#       45,000     519,915
Nissei ASB Machine Co., Ltd.        5,100     151,428
Niterra Co., Ltd.       20,500     476,941
Nitto Denko Corp.#        4,900     335,064
NOF Corp.       10,900     492,352
Nohmi Bosai, Ltd.       23,200     282,555
NS Solutions Corp.      123,300   3,347,435
Obara Group, Inc.#        4,400     119,757
OBIC Business Consultants Co., Ltd.        3,200     137,462
OBIC Co., Ltd.       20,500   3,568,954
OKUMA Corp.#       63,900   3,001,866
Oracle Corp. Japan        7,900     552,205
PALTAC Corp.       15,800     521,581
Paramount Bed Holdings Co., Ltd.       52,300     849,410
Park24 Co., Ltd.       12,200     172,399
Pasona Group, Inc.       20,900     234,864
PCA Corp.       40,200     340,123
Pole To Win Holdings, Inc.       58,300     278,888
Proto Corp.       38,900     317,093
Rakuten Group, Inc.        4,100       16,015
Security Description   Shares or
Principal
Amount
Value
 
Japan (continued) 
Resona Holdings, Inc.      165,400 $    877,957
Rinnai Corp.        9,300     180,350
Ryohin Keikaku Co., Ltd.#       40,900     528,064
S Foods, Inc.       28,700     661,799
Sagami Rubber Industries Co., Ltd.        9,100      47,409
San-A Co., Ltd.        3,000     101,344
San-Ai Obbli Co., Ltd.      106,300   1,224,501
Sankyu, Inc.       20,800     726,810
Santen Pharmaceutical Co., Ltd.       69,700     648,879
SCREEN Holdings Co., Ltd.#       13,100   1,337,056
SCSK Corp.       29,200     506,953
Seino Holdings Co., Ltd.#      126,800   1,849,775
Senko Group Holdings Co., Ltd.       22,400     157,036
Seria Co., Ltd.        6,200      97,925
SG Holdings Co., Ltd.       35,700     516,257
Shima Seiki Manufacturing, Ltd.#        6,500      88,814
Shimadzu Corp.       21,300     627,457
Shimamura Co., Ltd.        1,800     185,697
Shizuoka Financial Group, Inc.      159,300   1,297,436
SK Kaken Co., Ltd.       16,000     775,284
SMS Co., Ltd.      129,700   2,504,945
Sohgo Security Services Co., Ltd.       97,000     619,155
Stanley Electric Co., Ltd.       21,300     374,556
Sugi Holdings Co., Ltd.        8,000     359,545
Sundrug Co., Ltd.       27,400     810,352
Suzuken Co., Ltd.       11,500     341,297
T Hasegawa Co., Ltd.      106,800   2,569,160
Taisei Lamick Co., Ltd.        7,600     160,885
Takasago International Corp.        5,400     106,668
Takuma Co., Ltd.       33,100     367,184
TBS Holdings, Inc.       30,400     538,339
TechnoPro Holdings, Inc.      100,400   2,467,648
Temairazu, Inc.#        9,000     207,224
TIS, Inc.       18,700     441,746
Toei Co., Ltd.        2,800     333,510
Toho Co., Ltd.       20,600     786,508
Toho Titanium Co., Ltd.#      152,500   2,071,136
Toshiba TEC Corp.        7,200     175,429
TOTO, Ltd.        5,000     137,290
Toyo Seikan Group Holdings, Ltd.       48,700     882,655
Toyo Suisan Kaisha, Ltd.       10,200     421,474
Toyo Tanso Co., Ltd.#       71,200   2,916,609
Trancom Co., Ltd.        3,300     170,789
TS Tech Co., Ltd.#       34,100     404,058
Unicharm Corp.       18,000     719,035
USS Co., Ltd.       16,100     281,566
Yamato Holdings Co., Ltd.       32,900     618,790
Zenkoku Hosho Co., Ltd.        6,100     211,600
Zojirushi Corp.#        6,000      74,023
ZOZO, Inc.       64,000   1,279,824
Zuken, Inc.       19,100     558,579
      124,143,956
Luxembourg — 1.0% 
Eurofins Scientific SE        1,289      79,447
Subsea 7 SA      237,621   3,095,507
Tenaris SA ADR       45,643   1,457,381
      4,632,335
Mauritius — 0.3% 
MakeMyTrip, Ltd.       37,355   1,481,499
Mexico — 3.4% 
Alsea SAB de CV      881,683    3,113,982
 
91

VALIC Company I International Opportunities Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Mexico (continued) 
Banco del Bajio SA*      621,271 $  1,955,944
Bolsa Mexicana de Valores SAB de CV      252,300     504,881
Corp Inmobiliaria Vesta SAB de CV#    1,240,190   4,585,295
GCC SAB de CV       40,296     386,807
Gruma SAB de CV, Class B       31,015     515,907
Grupo Aeroportuario del Centro Norte SAB de CV      429,121   4,976,903
Grupo Aeroportuario del Sureste SAB de CV ADR        1,255     341,712
Prologis Property Mexico SA de CV       81,071     284,144
      16,665,575
Netherlands — 1.3% 
Aalberts NV        8,325     346,736
ASM International NV        2,319   1,119,504
Euronext NV*        8,541     617,275
IMCD NV#        6,341     874,954
Just Eat Takeaway.com NV (LSE)*#        2,607      36,592
Just Eat Takeaway.com NV (XAMS)*#      194,128   2,736,957
Wolters Kluwer NV        6,551     789,918
      6,521,936
New Zealand — 0.3% 
Arvida Group, Ltd.      318,863     233,870
Fletcher Building, Ltd.      118,112     338,265
Freightways Group, Ltd.#       74,265     385,716
Mainfreight, Ltd.#        9,159     358,057
Ryman Healthcare, Ltd.#       74,405     294,601
      1,610,509
Norway — 0.5% 
Aker Solutions ASA      582,453   2,431,339
Borregaard ASA        5,494      80,304
      2,511,643
Philippines — 0.4% 
Metropolitan Bank & Trust Co.      950,872     927,025
Universal Robina Corp.      414,600     817,923
      1,744,948
Portugal — 0.5% 
Galp Energia SGPS SA      137,279   1,891,248
NOS SGPS SA       79,803     300,448
      2,191,696
Russia — 0.0% 
Detsky Mir PJSC(1)(2)      601,792           0
Moscow Exchange MICEX-RTS PJSC(1)(2)      205,642           0
      0
Singapore — 0.8% 
CapitaLand Ascott Trust#       18,161      13,035
CapitaLand India Trust      808,993     694,389
CapitaLand Investment, Ltd.      341,300     818,241
CDL Hospitality Trusts       16,072      12,249
City Developments, Ltd.      101,200     500,216
Singapore Technologies Engineering, Ltd.      384,900   1,085,108
Venture Corp., Ltd.       93,963     911,506
      4,034,744
South Africa — 0.1% 
AVI, Ltd.      169,477     650,986
South Korea — 3.1% 
Amorepacific Corp.#        7,271     736,589
Classys, Inc.      141,267    4,152,240
Security Description   Shares or
Principal
Amount
Value
 
South Korea (continued) 
Doosan Bobcat, Inc.       12,912 $    525,565
Douzone Bizon Co., Ltd.       15,614     400,465
Hotel Shilla Co., Ltd.#       30,140   2,011,234
HPSP Co., Ltd.#      106,534   2,635,643
LS Electric Co., Ltd.        9,152     691,031
NCSoft Corp.        2,332     443,728
Orion Corp.       12,434   1,145,800
Samsung Fire & Marine Insurance Co., Ltd.        3,363     627,183
Sungeel Hitech Co., Ltd.#       17,910   1,722,233
      15,091,711
Spain — 2.0% 
Amadeus IT Group SA       22,368   1,535,326
Banco de Sabadell SA    2,128,045   2,464,460
Cellnex Telecom SA*       49,652   1,900,558
Melia Hotels International SA#      420,148   2,749,472
Viscofan SA       13,726     893,027
      9,542,843
Sweden — 1.4% 
Catena AB       61,765   2,256,565
Essity AB, Class B       31,839     743,593
Fortnox AB      654,485   3,402,593
Karnov Group AB       44,266     180,929
Thule Group AB*       11,083     321,198
      6,904,878
Switzerland — 1.3% 
DKSH Holding AG        1,689     129,254
Julius Baer Group, Ltd.       12,673     881,737
Kardex Holding AG        3,352     772,210
Partners Group Holding AG          129     139,493
SIG Group AG       51,028   1,344,803
Sika AG        5,012   1,420,733
Sonova Holding AG        3,732     987,342
Straumann Holding AG          412      62,498
Temenos AG        2,980     237,024
VAT Group AG*        1,114     446,937
      6,422,031
Taiwan — 3.6% 
Advantech Co., Ltd.       41,118     444,149
ASPEED Technology, Inc.       41,000   3,476,049
Chroma ATE, Inc.      152,000   1,336,411
E.Sun Financial Holding Co., Ltd.      436,052     334,777
Eclat Textile Co., Ltd.       68,000   1,086,838
Lotes Co., Ltd.      117,000   3,177,900
Realtek Semiconductor Corp.       22,000     288,760
Tripod Technology Corp.      154,000     913,947
Voltronic Power Technology Corp.       10,675     486,042
Wafer Works Corp.    1,338,000   1,789,798
Win Semiconductors Corp.       99,000     422,778
Wiwynn Corp.       81,000   3,967,783
      17,725,232
Thailand — 0.1% 
AEON Thana Sinsap Thailand PCL       89,500     447,276
Turkey — 0.1% 
Selcuk Ecza Deposu Ticaret ve Sanayi AS       90,133     199,357
United Kingdom — 9.1% 
4imprint Group PLC        2,934     189,556
Abcam PLC ADR       18,247     412,747
Admiral Group PLC        7,841      247,331
 
92  

VALIC Company I International Opportunities Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
United Kingdom (continued) 
Allfunds Group PLC       30,698 $    182,082
Auto Trader Group PLC*       29,402     225,862
Babcock International Group PLC       51,349     251,349
Beazley PLC      379,796   2,626,944
Bellway PLC       19,809     536,008
Big Yellow Group PLC       33,655     458,317
Breedon Group PLC      503,375   2,228,675
Britvic PLC       46,291     515,458
Bunzl PLC       28,529   1,022,777
Burberry Group PLC       19,485     539,089
Capricorn Energy PLC        9,480      20,656
Coats Group PLC      193,394     187,908
Compass Group PLC       49,220   1,242,673
ConvaTec Group PLC*      144,218     424,584
Cranswick PLC       37,767   1,612,316
Croda International PLC       25,736   1,800,302
Diploma PLC       72,949   2,896,184
EMIS Group PLC       18,020     436,923
Essentra PLC      437,986     818,944
Forterra PLC*      537,179   1,137,793
Greggs PLC       41,324   1,290,932
Halma PLC       20,544     557,979
Hargreaves Lansdown PLC       48,318     465,924
Helios Towers PLC      135,281     156,207
Howden Joinery Group PLC       65,408     612,989
Inchcape PLC      351,606   3,400,738
Intertek Group PLC       20,337   1,066,584
Johnson Service Group PLC       82,521     124,191
Keywords Studios PLC      104,137   2,011,790
Marshalls PLC       38,827     135,262
Moneysupermarket.com Group PLC      172,597     543,116
Noble Corp. PLC#       75,824   3,954,970
PageGroup PLC      284,998   1,512,016
PZ Cussons PLC       13,424      26,971
Rathbones Group PLC       29,035     648,090
Rightmove PLC       88,236     625,953
Rotork PLC       81,281     309,930
RS Group PLC      370,845   3,571,315
Sage Group PLC       23,406     287,908
Schroders PLC       18,337      95,658
Shaftesbury Capital PLC      163,923     244,205
Smith & Nephew PLC       66,108     896,078
Spirax-Sarco Engineering PLC        4,065     521,906
Tate & Lyle PLC       13,887     124,288
UNITE Group PLC      108,694   1,295,007
      44,494,485
United States — 0.0% 
Thoughtworks Holding, Inc.        4,102      20,387
Total Long-Term Investment Securities
(cost $446,269,406)
    463,189,942
SHORT-TERM INVESTMENTS — 6.9% 
Sovereign — 3.0% 
Federal Home Loan Bank
5.17%, 09/01/2023
  $14,710,000  14,710,000
Unaffiliated Investment Companies — 3.9% 
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(3)(4)
  18,706,299  18,706,299
Total Short-Term Investments
(cost $33,416,299)
    33,416,299
Security Description   Shares or
Principal
Amount
  Value
REPURCHASE AGREEMENTS — 1.9% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $9,148,884 and collateralized by $9,150,000 of United States Treasury Notes, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $9,331,477
(cost $9,148,478)
  $ 9,148,478   $  9,148,478
TOTAL INVESTMENTS
(cost $488,834,183)
  103.8%   505,754,719
Other assets less liabilities   (3.8)   (18,476,455)
NET ASSETS   100.0%   $487,278,264
# The security or a portion thereof is out on loan.
Non-income producing security
* Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. The International Opportunities Fund has no right to demand registration of these securities. At August 31, 2023, the aggregate value of these securities was $22,403,100 representing 4.6% of net assets.
(1) Securities classified as Level 3 (see Note 1).
(2) Denotes a restricted security that: (a) cannot be offered for public sale without first being registered, or being able to take advantage of an exemption from registration, under the Securities Act of 1933, as amended (the “1933 Act”); (b) is subject to a contractual restriction on public sales; or (c) is otherwise subject to a restriction on sales by operation of applicable law.  Restricted securities are valued pursuant to Note 1.  Certain restricted securities held by the Fund may not be sold except in exempt transactions or in a public offering registered under the 1933 Act. The Fund has no right to demand registration of these securities. The risk of investing in certain restricted securities is greater than the risk of investing in the securities of widely held, publicly traded companies. To the extent applicable, lack of a secondary market and resale restrictions may result in the inability of a Fund to sell a security at a fair price and may substantially delay the sale of the security. In addition, certain restricted securities may exhibit greater price volatility than securities for which secondary markets exist. As of August 31, 2023, the Fund held the following restricted securities:
Description   Acquisition
Date
  Shares or
Principal
Amount
  Acquisition
Cost
  Value   Value
Per Share
  % of
Net Assets
Common Stocks
Detsky Mir PJSC                        
    12/02/2020   534,295   $989,158            
    02/22/2021   56,107   109,095            
    03/18/2021   11,390   20,905            
        601,792   1,119,158   $0   $0.00   0.0%
Moscow Exchange MICEX-RTS PJSC                        
    03/26/2020   27,771   33,435            
 
93

VALIC Company I International Opportunities Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Description   Acquisition
Date
  Shares or
Principal
Amount
  Acquisition
Cost
  Value   Value
Per Share
  % of
Net Assets
Common Stocks (continued)
    03/27/2020   156,529   $182,610            
    10/19/2020   21,342   40,021            
        205,642   256,066   $0   $0.00   0.0%
                $0       0.0%**
** Amount represents the total value of the restricted securities divided by the net assets of the Fund and may not equal the sum of the individual percentages shown due to rounding.
(3) The rate shown is the 7-day yield as of August 31, 2023.
(4) At August 31, 2023, the Fund had loaned securities with a total value of $46,247,640. This was secured by collateral of $18,706,299, which was received in cash and subsequently invested in short-term investments currently valued at $18,706,299 as reported in the Portfolio of Investments. Additional collateral of $30,256,149 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
United States Treasury Bills 0.00% 09/21/2023 to 12/28/2023 $4,988,127
United States Treasury Notes/Bonds 0.13% to 6.62% 09/30/2023 to 11/15/2052 25,268,022
ADR—American Depositary Receipt
CDI—Chess Depositary Interest
LSE—London Stock Exchange
XAMS—Euronext Amsterdam Stock Exchange
 
Industry Allocation*   
Short-Term Investments 6.9%
Retail 5.6
Banks 5.3
Computers 4.6
Semiconductors 4.4
Healthcare-Products 3.8
Machinery-Diversified 3.8
Building Materials 3.6
Internet 3.6
Software 3.3
Electronics 3.2
Commercial Services 2.9
Chemicals 2.9
Engineering & Construction 2.8
Food 2.7
Mining 2.5
Packaging & Containers 2.3
Real Estate 2.2
Distribution/Wholesale 2.1
Diversified Financial Services 1.9
Repurchase Agreements 1.9
Lodging 1.9
Apparel 1.7
Miscellaneous Manufacturing 1.7
Beverages 1.6
Oil & Gas 1.6
Insurance 1.6
Food Service 1.5
Aerospace/Defense 1.3
Oil & Gas Services 1.3
Healthcare-Services 1.2
Auto Parts & Equipment 1.2
REITS 1.2
Hand/Machine Tools 1.1
Pharmaceuticals 1.1
Transportation 1.0
Leisure Time 0.9
Environmental Control 0.9
94  

VALIC Company I International Opportunities Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Industry Allocation* (continued)  
Electric 0.9%
Entertainment 0.8
Advertising 0.7
Cosmetics/Personal Care 0.7
Home Builders 0.6
Miscellaneous Manufactur 0.6
Iron/Steel 0.6
Electrical Components & Equipment 0.6
Metal Fabricate/Hardware 0.5
Media 0.5
Home Furnishings 0.4
Gas 0.4
Textiles 0.3
Machinery-Construction & Mining 0.2
Private Equity 0.2
Biotechnology 0.2
Telecommunications 0.1
Auto Manufacturers 0.1
Holding Companies-Diversified 0.1
Forest Products & Paper 0.1
Water 0.1
  103.8%
* Calculated as a percentage of net assets
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks:              
Russia $  $  $0   $0
Other Countries 463,189,942       463,189,942
Short-Term Investments:              
Sovereign   14,710,000     14,710,000
Other Short-Term Investments 18,706,299       18,706,299
Repurchase Agreements   9,148,478     9,148,478
Total Investments at Value $481,896,241   $23,858,478   $0   $505,754,719
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Level 3 investments in securities were not considered a significant portion of the Fund's net assets.
See Notes to Portfolio of Investments
95

VALIC Company I International Socially Responsible Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 94.2% 
Australia — 5.9% 
Ampol, Ltd.       28,844 $    659,738
APA Group       92,400     538,236
ASX, Ltd.        6,945     259,156
Aurizon Holdings, Ltd.      147,444     348,708
BlueScope Steel, Ltd.       61,676     839,622
Brambles, Ltd.       62,752     608,683
Cochlear, Ltd.        2,919     513,487
Computershare, Ltd.       22,394     365,367
CSL, Ltd.       15,127   2,681,015
Dexus       34,686     174,180
Fortescue Metals Group, Ltd.       85,507   1,187,313
Goodman Group       49,125     743,561
GPT Group       75,922     206,613
Lendlease Corp., Ltd.       18,830      95,289
Macquarie Group, Ltd.       13,424   1,544,170
Mineral Resources, Ltd.       11,121     515,435
Mirvac Group       74,341     116,570
Newcrest Mining, Ltd.       64,246   1,083,582
Northern Star Resources, Ltd.       80,162     618,617
Origin Energy, Ltd.       33,475     188,921
QBE Insurance Group, Ltd.       45,461     441,258
Ramsay Health Care, Ltd.       11,516     383,909
Scentre Group      214,010     381,336
Sonic Healthcare, Ltd.       39,508     823,270
South32, Ltd.      360,692     794,615
Stockland      105,448     289,698
Suncorp Group, Ltd.       53,242     470,210
Telstra Group, Ltd.      237,993     618,372
Transurban Group      162,445   1,395,698
Vicinity, Ltd.      204,577     247,879
Washington H. Soul Pattinson & Co., Ltd.       45,004     962,583
Westpac Banking Corp.      111,191   1,581,414
WiseTech Global, Ltd.        3,961     178,374
Woodside Energy Group, Ltd.       80,154   1,922,663
      23,779,542
Austria — 0.6% 
Erste Group Bank AG       11,871     424,401
OMV AG       20,716     960,760
Verbund AG        1,995     163,544
voestalpine AG       30,469     891,394
      2,440,099
Belgium — 0.7% 
Ageas SA/NV        3,144     125,049
D'ieteren Group        2,050     335,216
Elia Group SA          991     114,444
Groupe Bruxelles Lambert NV       10,030     808,742
KBC Group NV       12,423     815,797
Sofina SA          332      74,737
Solvay SA, Class A        4,460     516,990
Umicore SA        6,117     162,309
      2,953,284
Bermuda — 0.0% 
CK Infrastructure Holdings, Ltd.       10,000      50,623
Hongkong Land Holdings, Ltd.       16,700      59,285
      109,908
Cayman Islands — 0.7% 
CK Asset Holdings, Ltd.      127,308     702,906
CK Hutchison Holdings, Ltd.      171,000     932,150
ESR Group, Ltd.*       75,200      112,958
Security Description   Shares or
Principal
Amount
Value
 
Cayman Islands (continued) 
Futu Holdings, Ltd. ADR        1,402 $     83,559
Sea, Ltd. ADR        5,825     219,195
SITC International Holdings Co., Ltd.       37,000      68,977
WH Group, Ltd.*      799,000     411,606
Wharf Real Estate Investment Co., Ltd.       67,000     279,368
Xinyi Glass Holdings, Ltd.       50,000      73,830
      2,884,549
Denmark — 3.6% 
Chr. Hansen Holding A/S        3,162     206,748
Coloplast A/S, Class B        2,239     255,789
Demant A/S        3,196     130,991
DSV A/S        6,374   1,212,554
Genmab A/S        2,267     870,769
Novo Nordisk A/S, Class B       54,952  10,185,920
Novozymes A/S, Class B        5,256     228,269
Orsted A/S*        4,632     298,215
Pandora A/S        4,569     474,510
Vestas Wind Systems A/S       25,533     590,597
      14,454,362
Finland — 1.3% 
Elisa Oyj        2,350     115,358
Kesko Oyj, Class B        7,626     149,012
Kone Oyj, Class B        6,512     296,574
Neste Oyj       19,064     698,302
Nokia Oyj      168,196     672,448
Nordea Bank Abp      135,126   1,483,258
Orion Oyj, Class B       16,037     657,158
Sampo Oyj, Class A       12,480     548,480
UPM-Kymmene Oyj       19,811     679,263
      5,299,853
France — 9.1% 
Accor SA        6,277     225,226
Aeroports de Paris        1,906     251,320
Air Liquide SA       22,369   4,047,329
Alstom SA        6,709     185,583
Amundi SA*        2,735     163,262
AXA SA      105,367   3,173,426
BioMerieux        1,240     128,543
BNP Paribas SA       40,780   2,640,365
Bouygues SA       25,929     896,904
Bureau Veritas SA        6,882     184,622
Capgemini SE        6,503   1,215,332
Carrefour SA       44,636     855,247
Cie Generale des Etablissements Michelin SCA       40,882   1,281,592
Covivio SA        2,496     121,957
Credit Agricole SA       82,982   1,048,825
Dassault Systemes SE       26,981   1,071,094
Edenred       13,001     829,505
Eiffage SA        9,239     914,873
EssilorLuxottica SA       13,505   2,546,618
Eurazeo SE        3,475     205,174
Gecina SA        1,921     205,908
Getlink SE       28,275     473,851
Hermes International SCA        1,595   3,287,508
Ipsen SA        6,319     820,871
Klepierre SA       12,643     334,510
Legrand SA        6,563     648,322
Publicis Groupe SA       11,162     872,180
Sartorius Stedim Biotech        1,207     343,039
Schneider Electric SE       17,117   2,943,376
Sodexo SA        6,113      656,367
 
96  

VALIC Company I International Socially Responsible Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
France (continued) 
Valeo        5,208 $    101,651
Veolia Environnement SA       20,294     635,088
Vinci SA       24,344   2,717,879
Vivendi SE       22,295     203,317
Wendel SE        1,644     150,547
Worldline SA*        7,803     254,513
      36,635,724
Germany — 7.5% 
adidas AG        6,635   1,326,840
Bayerische Motoren Werke AG       27,415   2,888,618
Bayerische Motoren Werke AG (Preference Shares)        6,117     588,676
Beiersdorf AG       12,773   1,673,130
Brenntag SE        2,951     239,162
Carl Zeiss Meditec AG          993      98,760
Commerzbank AG       41,520     456,976
Continental AG        5,192     386,327
Covestro AG*        6,519     346,870
Daimler Truck Holding AG       15,501     546,109
Deutsche Boerse AG        7,176   1,274,966
Evonik Industries AG        9,039     173,535
GEA Group AG        5,453     215,232
Hannover Rueck SE        2,923     622,026
HelloFresh SE        4,480     144,862
Henkel AG & Co. KGaA       17,436   1,205,872
Henkel AG & Co. KGaA (Preference Shares)       14,008   1,074,207
Infineon Technologies AG       39,435   1,411,766
Knorr-Bremse AG        1,384      94,697
Merck KGaA        8,736   1,572,499
Muenchener Rueckversicherungs-Gesellschaft AG        6,946   2,697,926
Nemetschek SE        1,823     125,999
Puma SE        6,811     457,902
SAP SE       35,213   4,918,764
Sartorius AG (Preference Shares)          868     355,215
Siemens AG       21,343   3,214,141
Siemens Healthineers AG*       16,902     847,656
Symrise AG        4,664     486,321
Telefonica Deutschland Holding AG      131,486     250,080
Vonovia SE       19,695     472,187
Zalando SE*        5,202     162,060
      30,329,381
Hong Kong — 2.1% 
AIA Group, Ltd.      342,600   3,110,435
BOC Hong Kong Holdings, Ltd.      155,500     432,256
Hang Lung Properties, Ltd.       63,000      84,189
Hang Seng Bank, Ltd.       27,000     344,285
Henderson Land Development Co., Ltd.      109,503     300,903
Hong Kong & China Gas Co., Ltd.      496,252     365,117
Hong Kong Exchanges & Clearing, Ltd.       31,900   1,236,568
Link REIT       56,760     281,544
MTR Corp., Ltd.      147,500     615,966
New World Development Co., Ltd.       60,250     127,993
Power Assets Holdings, Ltd.       54,000     266,132
Sun Hung Kai Properties, Ltd.       62,500     703,711
Swire Pacific, Ltd., Class A       38,000     313,503
Swire Properties, Ltd.       66,400     138,856
Techtronic Industries Co., Ltd.       38,000     375,525
      8,696,983
Ireland — 1.0% 
CRH PLC       30,446   1,753,711
DCC PLC       13,710      751,505
Security Description   Shares or
Principal
Amount
Value
 
Ireland (continued) 
James Hardie Industries PLC        7,509 $    226,390
Kerry Group PLC, Class A       12,058   1,126,289
Smurfit Kappa Group PLC        4,345     182,712
      4,040,607
Israel — 0.8% 
Bank Hapoalim BM       56,324     467,114
Bank Leumi Le-Israel BM       76,331     593,499
Check Point Software Technologies, Ltd.        4,545     611,712
CyberArk Software, Ltd.          487      80,861
ICL Group, Ltd.       36,406     218,261
Israel Discount Bank, Ltd., Class A       48,755     244,221
Mizrahi Tefahot Bank, Ltd.        9,858     324,535
NICE, Ltd.        2,155     426,121
Tower Semiconductor, Ltd.       10,054     293,711
Wix.com, Ltd.        1,166     115,166
      3,375,201
Italy — 2.2% 
Amplifon SpA        5,460     177,854
Assicurazioni Generali SpA       94,681   1,964,027
DiaSorin SpA        1,056     111,714
FinecoBank Banca Fineco SpA       17,701     242,997
Infrastrutture Wireless Italiane SpA*       40,612     502,690
Mediobanca Banca di Credito Finanziario SpA       68,981     902,831
Moncler SpA       16,374   1,112,183
Nexi SpA*        9,646      69,368
Poste Italiane SpA*       54,737     608,676
Prysmian SpA        3,489     142,971
Recordati Industria Chimica e Farmaceutica SpA       22,611   1,137,157
Snam SpA      235,486   1,216,484
Terna - Rete Elettrica Nazionale SpA       93,470     772,319
      8,961,271
Japan — 22.0% 
Advantest Corp.        3,200     402,708
Aeon Co., Ltd.       31,700     657,770
Aisin Corp.        4,700     157,221
Ajinomoto Co., Inc.       33,700   1,429,809
ANA Holdings, Inc.        7,600     171,855
Asahi Kasei Corp.       17,900     115,868
Astellas Pharma, Inc.      114,900   1,748,830
Bandai Namco Holdings, Inc.        9,600     223,150
Bridgestone Corp.       24,900     968,823
Canon, Inc.       41,100   1,013,552
Central Japan Railway Co.        7,500     963,435
Chiba Bank, Ltd.        9,700      69,436
Chubu Electric Power Co., Inc.        4,100      54,809
Chugai Pharmaceutical Co., Ltd.       44,700   1,369,311
Dai-ichi Life Holdings, Inc.       34,600     644,819
Daiichi Sankyo Co., Ltd.       64,000   1,891,034
Daikin Industries, Ltd.        5,200     901,543
Denso Corp.       19,200   1,314,223
East Japan Railway Co.       12,500     707,241
Eisai Co., Ltd.       12,800     814,478
ENEOS Holdings, Inc.      437,500   1,642,711
FANUC Corp.       28,500     813,502
Fast Retailing Co., Ltd.        5,400   1,242,599
FUJIFILM Holdings Corp.       12,300     728,219
Fujitsu, Ltd.        3,600     450,448
Hankyu Hanshin Holdings, Inc.        9,700     348,679
Hitachi, Ltd.       31,700   2,112,099
Hoya Corp.        9,700   1,077,037
Idemitsu Kosan Co., Ltd.       29,100      619,021
 
97

VALIC Company I International Socially Responsible Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Japan (continued) 
Inpex Corp.       75,300 $  1,053,201
Isuzu Motors, Ltd.       49,800     640,063
ITOCHU Corp.       30,900   1,162,135
Japan Airlines Co., Ltd.        4,500      92,818
JFE Holdings, Inc.       72,400   1,146,248
Kajima Corp.       27,600     461,628
Kao Corp.       21,100     817,780
KDDI Corp.       63,100   1,875,717
Keio Corp.        2,500      86,601
Keyence Corp.        5,400   2,246,180
Kintetsu Group Holdings Co., Ltd.        3,600     114,041
Kobayashi Pharmaceutical Co., Ltd.          400      19,800
Komatsu, Ltd.       31,400     895,632
Kose Corp.        1,400     116,334
Kubota Corp.       32,700     524,791
Kyocera Corp.        7,600     390,617
Kyowa Kirin Co., Ltd.       32,700     600,195
Lasertec Corp.          800     124,678
M3, Inc.        9,400     187,587
Marubeni Corp.       66,900   1,096,416
MEIJI Holdings Co., Ltd.       20,000     502,010
Mitsubishi Chemical Group Corp.       73,200     437,857
Mitsubishi Corp.       47,500   2,349,290
Mitsubishi Electric Corp.       39,800     519,469
Mitsubishi Estate Co., Ltd.       46,100     590,132
Mitsubishi UFJ Financial Group, Inc.      354,500   2,834,879
Mitsui Fudosan Co., Ltd.       32,400     710,820
Mizuho Financial Group, Inc.      102,600   1,699,481
MS&AD Insurance Group Holdings, Inc.       16,000     576,240
Murata Manufacturing Co., Ltd.       18,000   1,012,612
Nexon Co., Ltd.       10,300     209,334
NIDEC Corp.        6,500     340,960
Nintendo Co., Ltd.       35,500   1,529,114
Nippon Express Holdings, Inc.        3,100     161,269
Nippon Paint Holdings Co., Ltd.       14,700     113,765
Nippon Shinyaku Co., Ltd.        5,600     246,293
Nippon Telegraph & Telephone Corp.    1,532,500   1,772,705
Nippon Yusen KK       13,700     365,911
Nisshin Seifun Group, Inc.       20,200     266,635
Nissin Foods Holdings Co., Ltd.        6,300     550,782
Nitori Holdings Co., Ltd.        1,100     125,654
NTT Data Corp.       15,200     204,868
Obayashi Corp.       20,200     183,125
Odakyu Electric Railway Co., Ltd.        6,900     102,721
Ono Pharmaceutical Co., Ltd.       36,300     688,975
Oriental Land Co., Ltd.       33,000   1,190,536
ORIX Corp.       46,400     867,439
Osaka Gas Co., Ltd.       34,500     552,493
Otsuka Holdings Co., Ltd.       53,500   2,039,321
Pan Pacific International Holdings Corp.       17,000     339,369
Rakuten Group, Inc.        9,800      38,279
Recruit Holdings Co., Ltd.       32,700   1,173,195
Renesas Electronics Corp.       15,900     267,796
Resona Holdings, Inc.       80,500     427,301
Secom Co., Ltd.        4,700     329,334
Sekisui House, Ltd.       13,500     275,623
SG Holdings Co., Ltd.        5,700      82,428
Shimano, Inc.        1,900     279,460
Shin-Etsu Chemical Co., Ltd.       68,000   2,177,477
Shionogi & Co., Ltd.       15,500     683,621
Shiseido Co., Ltd.       15,700     638,381
Shizuoka Financial Group, Inc.        5,600       45,610
Security Description   Shares or
Principal
Amount
Value
 
Japan (continued) 
SMC Corp.        1,300 $    630,812
SoftBank Corp.       85,700     983,670
SoftBank Group Corp.       30,900   1,390,017
Sony Group Corp.       34,800   2,904,883
Subaru Corp.       46,100     890,188
Sumitomo Chemical Co., Ltd.       55,000     152,493
Sumitomo Corp.       47,000     968,782
Sumitomo Electric Industries, Ltd.       52,900     649,184
Sumitomo Mitsui Financial Group, Inc.       54,400   2,497,999
Sumitomo Realty & Development Co., Ltd.        3,600      92,267
Suntory Beverage & Food, Ltd.       21,000     680,395
Suzuki Motor Corp.       21,100     831,702
Sysmex Corp.        2,300     122,529
TDK Corp.        4,800     175,313
Terumo Corp.       18,900     573,255
Tobu Railway Co., Ltd.          400      10,978
Tokio Marine Holdings, Inc.       59,700   1,324,114
Tokyo Electron, Ltd.       11,100   1,645,984
Tokyo Gas Co., Ltd.       30,500     707,918
Tokyu Corp.       16,600     209,989
Toppan, Inc.          600      14,520
Toray Industries, Inc.       51,600     278,791
TOTO, Ltd.          800      21,966
Toyota Industries Corp.        6,100     431,836
Toyota Tsusho Corp.        6,400     382,474
Unicharm Corp.       21,700     866,837
Welcia Holdings Co., Ltd.        1,800      33,125
West Japan Railway Co.        9,200     398,617
Yakult Honsha Co., Ltd.        9,700     508,951
Yamaha Motor Co., Ltd.       31,400     815,565
      89,004,410
Jersey — 0.2% 
WPP PLC       93,414     906,223
Luxembourg — 0.4% 
Eurofins Scientific SE        2,895     178,432
Tenaris SA       87,925   1,407,241
      1,585,673
Netherlands — 6.6% 
ABN AMRO Bank NV CVA*       24,718     364,387
Adyen NV*          586     490,869
Aegon NV       47,487     244,075
AerCap Holdings NV        2,470     151,954
Akzo Nobel NV        9,142     743,882
Argenx SE        1,681     847,234
ASM International NV          747     360,616
ASML Holding NV       11,297   7,446,719
CNH Industrial NV       43,983     609,517
EXOR NV        9,860     873,939
Ferrari NV        7,994   2,539,811
Ferrovial SE       38,553   1,222,795
ING Groep NV      137,058   1,946,908
JDE Peet's NV       28,545     794,868
Just Eat Takeaway.com NV *          992      13,986
Koninklijke Ahold Delhaize NV       56,281   1,841,530
Koninklijke KPN NV      269,726     943,825
NN Group NV       17,382     670,241
Prosus NV       24,015   1,660,875
QIAGEN NV        9,585     438,502
STMicroelectronics NV       22,778    1,078,497
 
98  

VALIC Company I International Socially Responsible Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Netherlands (continued) 
Universal Music Group NV       20,292 $    503,663
Wolters Kluwer NV        8,102     976,937
      26,765,630
New Zealand — 0.4% 
Auckland International Airport, Ltd.       78,270     364,511
Fisher & Paykel Healthcare Corp., Ltd.       16,125     218,364
Mercury NZ, Ltd.       20,231      74,856
Meridian Energy, Ltd.       38,616     123,538
Spark New Zealand, Ltd.      160,148     484,644
Xero, Ltd.        2,537     205,646
      1,471,559
Norway — 1.0% 
Aker BP ASA       23,428     635,959
DNB Bank ASA       13,133     260,148
Equinor ASA       58,496   1,805,768
Mowi ASA       23,469     426,039
Orkla ASA       49,496     378,400
Telenor ASA       23,678     253,668
Yara International ASA        4,867     178,031
      3,938,013
Portugal — 0.6% 
EDP - Energias de Portugal SA      166,348     758,676
Galp Energia SGPS SA       76,729   1,057,070
Jeronimo Martins SGPS SA       31,641     806,284
      2,622,030
Singapore — 1.0% 
DBS Group Holdings, Ltd.       64,700   1,594,221
Keppel Corp., Ltd.       36,700     188,463
Oversea-Chinese Banking Corp., Ltd.      133,500   1,239,724
Seatrium, Ltd.      700,420      75,149
United Overseas Bank, Ltd.       37,900     797,570
      3,895,127
Spain — 1.4% 
Aena SME SA*        6,982   1,097,786
Amadeus IT Group SA       17,533   1,203,454
Cellnex Telecom SA*       16,267     622,661
Enagas SA       36,300     619,753
Grifols SA       18,279     250,635
Redeia Corp. SA       41,352     672,825
Telefonica SA      328,581   1,362,480
      5,829,594
SupraNational — 0.1% 
HKT Trust & HKT, Ltd.      160,000     170,561
Unibail-Rodamco-Westfield        4,479     239,878
      410,439
Sweden — 2.3% 
Assa Abloy AB, Class B       18,865     425,425
Atlas Copco AB, Class A       81,351   1,077,027
Boliden AB       23,350     621,792
Embracer Group AB       12,084      29,303
Epiroc AB, Class B       26,668     437,464
EQT AB        3,779      76,212
Essity AB, Class B       41,074     959,275
H & M Hennes & Mauritz AB, Class B       24,594     376,216
Hexagon AB, Class B       47,238     422,396
Industrivarden AB, Class A        1,497       39,064
Security Description   Shares or
Principal
Amount
Value
 
Sweden (continued) 
Industrivarden AB, Class C        3,673 $     95,679
Investor AB, Class B      122,102   2,354,271
Sandvik AB       36,740     695,974
Skandinaviska Enskilda Banken AB, Class A       76,209     885,050
Svenska Cellulosa AB SCA, Class B        6,501      86,692
Svenska Handelsbanken AB, Class A       68,266     569,647
Volvo Car AB, Class B       24,285      92,540
      9,244,027
Switzerland — 9.4% 
ABB, Ltd.       87,444   3,335,018
Adecco Group AG        8,100     349,638
Alcon, Inc.       23,952   2,004,338
Bachem Holding AG        1,279     119,669
Baloise Holding AG        8,229   1,287,426
Coca-Cola HBC AG       51,233   1,478,466
DSM-Firmenich AG        7,348     678,459
EMS-Chemie Holding AG        1,175     883,894
Geberit AG        2,132   1,106,849
Givaudan SA          497   1,658,636
Julius Baer Group, Ltd.       16,617   1,156,145
Kuehne & Nagel International AG        3,137     944,278
Logitech International SA        8,389     581,774
Lonza Group AG        3,527   1,952,058
Partners Group Holding AG        1,231   1,331,127
Schindler Holding AG          263      55,348
Schindler Holding AG (Participation Certificate)        4,098     914,610
SGS SA        9,400     855,348
SIG Group AG       17,071     449,893
Sika AG        6,981   1,978,879
Sonova Holding AG        2,862     757,174
Straumann Holding AG        5,552     842,212
Swatch Group AG        4,896   1,378,429
Swiss Life Holding AG        3,160   1,983,965
Swiss Prime Site AG        7,783     748,035
Swiss Re AG       20,422   1,985,906
Swisscom AG        3,502   2,132,876
Temenos AG        2,997     238,376
VAT Group AG*          842     337,810
Zurich Insurance Group AG        9,214   4,328,760
      37,855,396
United Kingdom — 13.3% 
3i Group PLC       98,904   2,497,687
Abrdn PLC      140,961     294,818
Admiral Group PLC        7,616     240,234
Antofagasta PLC       65,683   1,204,840
Ashtead Group PLC       18,548   1,297,952
Auto Trader Group PLC*       32,066     246,327
Aviva PLC      271,058   1,288,347
Barratt Developments PLC       76,439     438,943
Berkeley Group Holdings PLC       13,006     669,090
British Land Co. PLC      129,397     530,445
BT Group PLC      445,227     651,999
Bunzl PLC       32,905   1,179,658
Burberry Group PLC       55,134   1,525,387
Coca-Cola Europacific Partners PLC       24,045   1,541,525
Compass Group PLC      101,194   2,554,876
Croda International PLC        9,034     631,952
Halma PLC       24,371     661,921
Hargreaves Lansdown PLC       21,160     204,043
Hikma Pharmaceuticals PLC       37,461   1,038,803
Informa PLC       89,536      828,904
 
99

VALIC Company I International Socially Responsible Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
United Kingdom (continued) 
InterContinental Hotels Group PLC       23,936 $  1,805,378
Intertek Group PLC       13,043     684,047
JD Sports Fashion PLC      173,765     319,732
Johnson Matthey PLC       20,329     419,770
Kingfisher PLC      223,921     663,771
Land Securities Group PLC       76,114     581,034
Legal & General Group PLC      347,853     963,723
Lloyds Banking Group PLC    3,774,428   2,025,180
London Stock Exchange Group PLC       15,657   1,622,047
M&G PLC      291,886     706,244
Mondi PLC       50,401     838,962
National Grid PLC      215,318   2,700,916
Ocado Group PLC       22,597     249,503
Pearson PLC       52,492     557,908
Persimmon PLC       17,172     231,892
Phoenix Group Holdings PLC       99,264     655,145
Prudential PLC       90,711   1,110,286
RELX PLC      103,370   3,375,867
Rentokil Initial PLC      151,490   1,154,899
Sage Group PLC      112,013   1,377,830
Schroders PLC      103,766     541,314
Segro PLC       71,189     665,003
Severn Trent PLC       24,808     754,242
Smith & Nephew PLC       72,061     976,769
Smiths Group PLC       56,114   1,165,797
Spirax-Sarco Engineering PLC        4,391     563,761
SSE PLC       77,078   1,588,153
St. James's Place PLC       43,520     487,800
Standard Chartered PLC      151,332   1,364,189
Taylor Wimpey PLC      283,401     410,351
United Utilities Group PLC       97,259   1,166,776
Vodafone Group PLC    1,611,772   1,494,796
Whitbread PLC       24,200   1,054,585
      53,805,421
Total Long-Term Investment Securities
(cost $330,673,284)
    381,294,306
Security Description   Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS — 0.4% 
U.S. Government — 0.4% 
United States Treasury Bills        
4.41%, 11/02/2023(1)   $   120,000   $    118,909
5.20%, 09/05/2023(1)    1,500,000     1,499,129
Total Short-Term Investments
(cost $1,618,223)
      1,618,038
REPURCHASE AGREEMENTS — 4.1% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $16,814,063 and collateralized by $16,816,100 of United States Treasury Notes, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $17,149,623
(cost $16,813,316)
  16,813,316    16,813,316
TOTAL INVESTMENTS
(cost $349,104,823)
  98.7%   399,725,660
Other assets less liabilities   1.3   5,096,749
NET ASSETS   100.0%   $404,822,409
* Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. The International Socially Responsible Fund has no right to demand registration of these securities. At August 31, 2023, the aggregate value of these securities was $6,951,700 representing 1.7% of net assets.
Non-income producing security
(1) The security or a portion thereof was pledged as collateral to cover margin requirements for open futures contracts.
ADR—American Depositary Receipt
CVA—Certification Van Aandelen (Dutch Cert.)
 
Futures Contracts

Number
of
Contracts
Type Description Expiration
Month
Notional
Basis*
Notional
Value*
Unrealized
(Depreciation)
216 Long MSCI EAFE Index September 2023 $23,378,280 $22,780,440 $(597,840)
* Notional basis refers to the contractual amount agreed upon at inception of the open contract; notional value represents the current value of the open contract.
Industry Allocation*   
Banks 8.1%
Insurance 7.9
Pharmaceuticals 6.6
Repurchase Agreements 4.1
Telecommunications 3.8
Chemicals 3.5
Commercial Services 3.4
Semiconductors 3.3
Oil & Gas 3.0
Food 2.8
Healthcare-Products 2.7
Engineering & Construction 2.3
Auto Manufacturers 2.2
Software 2.1
100  

VALIC Company I International Socially Responsible Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Industry Allocation* (continued)  
Electronics 2.0%
Machinery-Diversified 2.0
Diversified Financial Services 1.9
Electric 1.9
Distribution/Wholesale 1.9
Transportation 1.8
Apparel 1.6
Retail 1.5
Building Materials 1.5
REITS 1.4
Real Estate 1.3
Investment Companies 1.2
Auto Parts & Equipment 1.2
Cosmetics/Personal Care 1.2
Beverages 1.2
Mining 1.2
Machinery-Construction & Mining 1.1
Miscellaneous Manufacturing 1.1
Iron/Steel 1.1
Biotechnology 1.1
Private Equity 1.0
Electrical Components & Equipment 0.9
Computers 0.9
Healthcare-Services 0.8
Gas 0.8
Food Service 0.8
Lodging 0.8
Home Furnishings 0.7
Water 0.7
Internet 0.7
Household Products/Wares 0.6
Home Builders 0.6
Media 0.5
Toys/Games/Hobbies 0.5
Metal Fabricate/Hardware 0.5
Advertising 0.4
Forest Products & Paper 0.4
Entertainment 0.4
Short-Term Investments 0.4
Hand/Machine Tools 0.3
Leisure Time 0.3
Office/Business Equipment 0.3
Energy-Alternate Sources 0.1
Pipelines 0.1
Packaging & Containers 0.1
Holding Companies-Diversified 0.1
  98.7%
* Calculated as a percentage of net assets
101

VALIC Company I International Socially Responsible Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Portfolio’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $381,294,306   $  $—   $381,294,306
Short-Term Investments   1,618,038     1,618,038
Repurchase Agreements   16,813,316     16,813,316
Total Investments at Value $381,294,306   $18,431,354   $—   $399,725,660
LIABILITIES:              
Other Financial Instruments:              
Futures Contracts $597,840   $  $—   $597,840
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Amounts represent unrealized appreciation/depreciation as of the end of the reporting period.
See Notes to Portfolio of Investments
102  

VALIC Company I International Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 96.9% 
Australia — 1.7% 
Qantas Airways, Ltd.    2,188,762 $  8,381,611
Bermuda — 1.2% 
Axalta Coating Systems, Ltd.      215,774   6,106,404
Brazil — 3.8% 
3R Petroleum Oleo e Gas SA    1,456,500   9,682,451
CPFL Energia SA    1,385,500   9,554,593
      19,237,044
British Virgin Islands — 1.7% 
Nomad Foods, Ltd.      461,208   8,458,555
Canada — 5.8% 
Gildan Activewear, Inc.       66,000   1,968,472
Quebecor, Inc., Class B      523,716  11,972,756
SNC-Lavalin Group, Inc.#      472,000  15,380,521
      29,321,749
Cayman Islands — 1.5% 
China Resources Land, Ltd.    1,550,000   6,551,927
Topsports International Holdings, Ltd.*    1,347,000   1,095,827
      7,647,754
China — 5.2% 
Inner Mongolia Yili Industrial Group Co., Ltd., Class A    1,608,560   5,736,819
LONGi Green Energy Technology Co., Ltd., Class A    1,312,791   4,781,021
Midea Group Co., Ltd., Class A    1,567,712  12,152,123
Oppein Home Group, Inc., Class A      265,580   3,566,835
      26,236,798
Denmark — 2.3% 
Danske Bank A/S      528,250  11,886,029
France — 11.2% 
Cie de Saint-Gobain       34,816   2,271,205
Orange SA    1,222,490  13,730,645
Sanofi      140,804  15,060,443
Sodexo SA      102,014  10,953,487
TotalEnergies SE      118,404   7,455,691
Worldline SA*      216,236   7,053,027
      56,524,498
Germany — 5.2% 
Fresenius SE & Co. KGaA      259,753   8,340,051
Rheinmetall AG       56,912  15,508,366
Siemens AG       13,754   2,071,278
Siemens Energy AG       21,651     308,961
      26,228,656
India — 0.5% 
Tech Mahindra, Ltd.      191,643   2,787,271
Ireland — 2.9% 
Greencore Group PLC    1,700,785   1,815,211
ICON PLC       50,030  13,004,798
      14,820,009
Isle of Man — 1.5% 
Entain PLC      501,738   7,357,086
Israel — 2.8% 
Check Point Software Technologies, Ltd.      104,204  14,024,816
Security Description   Shares or
Principal
Amount
  Value
 
Italy — 3.7% 
Prysmian SpA      219,680   $  9,001,961
UniCredit SpA      392,483     9,603,419
        18,605,380
Japan — 16.5% 
Asahi Group Holdings, Ltd.      394,400    15,386,194
FUJIFILM Holdings Corp.      163,100     9,656,300
Hitachi, Ltd.      197,300    13,145,649
Mitsubishi UFJ Financial Group, Inc.    2,137,600    17,094,042
ORIX Corp.      827,400    15,468,078
Resonac Holdings Corp.#      760,900    12,399,697
        83,149,960
Luxembourg — 2.6% 
Samsonite International SA*    3,883,600    12,999,229
Mexico — 2.4% 
America Movil SAB de CV#   12,786,100    12,298,293
Netherlands — 5.9% 
ING Groep NV    1,098,642    15,606,201
NN Group NV#      366,112    14,117,098
        29,723,299
South Korea — 3.2% 
Samsung Electronics Co., Ltd.      267,524    13,540,651
SK Telecom Co., Ltd.       72,674     2,641,941
        16,182,592
Thailand — 4.3% 
Minor International PCL    8,168,000     7,814,036
SCB X PCL    4,198,700    14,088,591
        21,902,627
United Kingdom — 7.4% 
ConvaTec Group PLC*    3,143,413     9,254,339
Informa PLC    1,628,854    15,079,555
Shell PLC      424,521    12,968,635
        37,302,529
United States — 3.6% 
Baker Hughes Co.      306,047    11,075,841
Gentex Corp.      218,409     7,133,238
        18,209,079
Total Long-Term Investment Securities
(cost $468,707,900)
      489,391,268
SHORT-TERM INVESTMENTS — 6.3% 
Unaffiliated Investment Companies — 6.3% 
State Street Institutional U.S. Government Money Market Fund, Premier Class 5.28%(1)   18,968,612    18,968,612
State Street Navigator Securities Lending Government Money Market Portfolio 5.34%(1)(2)   12,832,845    12,832,845
Total Short-Term Investments
(cost $31,801,457)
      31,801,457
TOTAL INVESTMENTS
(cost $500,509,357)
  103.2%   521,192,725
Other assets less liabilities   (3.2)   (16,320,662)
NET ASSETS   100.0%   $504,872,063
Non-income producing security
# The security or a portion thereof is out on loan.
 
103

VALIC Company I International Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

* Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. The International Value Fund has no right to demand registration of these securities. At August 31, 2023, the aggregate value of these securities was $30,402,422 representing 6.0% of net assets.
(1) The rate shown is the 7-day yield as of August 31, 2023.
(2) At August 31, 2023, the Fund had loaned securities with a total value of $25,995,752. This was secured by collateral of $12,832,845, which was received in cash and subsequently invested in short-term investments currently valued at $12,832,845 as reported in the Portfolio of Investments. Additional collateral of $16,042,085 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
United States Treasury Notes/Bonds 0.13% to 4.00% 10/31/2023 to 02/15/2053 $16,042,085
Industry Allocation*   
Banks 13.5%
Short-Term Investments 6.3
Oil & Gas 6.0
Telecommunications 5.6
Media 5.4
Healthcare-Services 4.2
Healthcare-Products 3.7
Chemicals 3.7
Food 3.1
Home Furnishings 3.1
Aerospace/Defense 3.1
Diversified Financial Services 3.1
Beverages 3.0
Engineering & Construction 3.0
Pharmaceuticals 3.0
Apparel 3.0
Insurance 2.8
Computers 2.8
Semiconductors 2.7
Machinery-Construction & Mining 2.7
Oil & Gas Services 2.2
Food Service 2.2
Electric 1.9
Electrical Components & Equipment 1.8
Airlines 1.7
Lodging 1.5
Entertainment 1.5
Auto Parts & Equipment 1.4
Commercial Services 1.4
Real Estate 1.3
Energy-Alternate Sources 1.0
Software 0.5
Building Materials 0.4
Miscellaneous Manufacturing 0.4
Retail 0.2
  103.2%
* Calculated as a percentage of net assets
104  

VALIC Company I International Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $489,391,268   $—   $—   $489,391,268
Short-Term Investments 31,801,457       31,801,457
Total Investments at Value $521,192,725   $—   $—   $521,192,725
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
See Notes to Portfolio of Investments
105

VALIC Company I Large Capital Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 99.5% 
Apparel — 2.8% 
LVMH Moet Hennessy Louis Vuitton SE       7,370 $  6,251,079
NIKE, Inc., Class B     122,509  12,460,391
      18,711,470
Auto Parts & Equipment — 1.6% 
Aptiv PLC     105,368  10,689,584
Beverages — 1.2% 
PepsiCo, Inc.      45,516   8,098,207
Chemicals — 1.7% 
Sherwin-Williams Co.      41,426  11,256,273
Commercial Services — 4.4% 
Equifax, Inc.      22,857   4,724,542
Gartner, Inc.      31,549  11,032,054
Moody's Corp.      27,405   9,230,004
Verisk Analytics, Inc.      19,411   4,701,733
      29,688,333
Computers — 10.0% 
Accenture PLC, Class A      84,626  27,399,360
Apple, Inc.     214,863  40,366,312
      67,765,672
Cosmetics/Personal Care — 1.7% 
Colgate-Palmolive Co.      28,581   2,099,846
Estee Lauder Cos., Inc., Class A      57,819   9,281,684
      11,381,530
Diversified Financial Services — 7.6% 
Brookfield Asset Management, Ltd., Class A     158,978   5,493,400
Charles Schwab Corp.     115,291   6,819,463
Mastercard, Inc., Class A      20,965   8,650,997
Visa, Inc., Class A     124,354  30,551,291
      51,515,151
Electric — 1.1% 
Xcel Energy, Inc.     131,030   7,485,744
Electrical Components & Equipment — 0.8% 
Schneider Electric SE      29,245   5,028,862
Electronics — 8.0% 
Agilent Technologies, Inc.     104,203  12,615,857
Amphenol Corp., Class A     193,683  17,117,704
Fortive Corp.     104,053   8,204,579
Hubbell, Inc.      21,582   7,036,811
TE Connectivity, Ltd.      69,697   9,227,186
      54,202,137
Food — 1.6% 
McCormick & Co., Inc.     128,239  10,525,857
Healthcare-Products — 7.4% 
Abbott Laboratories      54,389   5,596,628
Boston Scientific Corp.     227,927  12,294,382
Danaher Corp.      30,177   7,996,905
STERIS PLC      56,017  12,860,943
Stryker Corp.       9,530   2,702,232
Thermo Fisher Scientific, Inc.      15,839   8,823,907
      50,274,997
Healthcare-Services — 2.2% 
ICON PLC      58,334  15,163,340
Security Description   Shares or
Principal
Amount
Value
 
Household Products/Wares — 2.5% 
Church & Dwight Co., Inc.     174,321 $ 16,869,043
Insurance — 3.7% 
Aon PLC, Class A      49,210  16,406,122
Marsh & McLennan Cos., Inc.      44,476   8,672,375
      25,078,497
Internet — 7.2% 
Alphabet, Inc., Class A     300,521  40,921,945
Tencent Holdings, Ltd.     195,800   8,114,277
      49,036,222
Machinery-Diversified — 1.2% 
Otis Worldwide Corp.      96,019   8,214,425
Media — 0.9% 
Walt Disney Co.      74,636   6,245,540
Miscellaneous Manufacturing — 1.6% 
Eaton Corp. PLC      48,169  11,096,692
Pharmaceuticals — 2.1% 
Becton Dickinson & Co.      36,980  10,334,061
Cigna Group      13,942   3,851,617
      14,185,678
REITS — 1.7% 
American Tower Corp.      64,418  11,680,272
Retail — 4.1% 
Ross Stores, Inc.     101,256  12,333,993
Starbucks Corp.      64,504   6,285,270
TJX Cos., Inc.      99,048   9,159,959
      27,779,222
Semiconductors — 4.0% 
Analog Devices, Inc.      71,502  12,997,633
Taiwan Semiconductor Manufacturing Co., Ltd. ADR     102,296   9,571,837
Texas Instruments, Inc.      28,546   4,797,441
      27,366,911
Software — 17.1% 
Adobe, Inc.      22,310  12,478,876
Black Knight, Inc.      56,532   4,282,864
Electronic Arts, Inc.      40,140   4,815,997
Fiserv, Inc.      77,172   9,367,909
Microsoft Corp.     259,680  85,112,717
      116,058,363
Transportation — 1.3% 
Canadian Pacific Kansas City, Ltd.     110,647   8,783,159
Total Long-Term Investment Securities
(cost $512,808,600)
    674,181,181
 
106  

VALIC Company I Large Capital Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS — 0.5% 
Sovereign — 0.5% 
Federal Home Loan Bank        
5.17%, 09/01/2023
(cost $3,455,000)
  $3,455,000   $  3,455,000
TOTAL INVESTMENTS
(cost $516,263,600)
  100.0%   677,636,181
Other assets less liabilities   (0.0)   (8,357)
NET ASSETS   100.0%   $677,627,824
Non-income producing security
ADR—American Depositary Receipt
The following is a summary of the inputs used to value the Portfolio’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $674,181,181   $  $—   $674,181,181
Short-Term Investments   3,455,000     3,455,000
Total Investments at Value $674,181,181   $3,455,000   $—   $677,636,181
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
See Notes to Portfolio of Investments
107

VALIC Company I Mid Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 98.9% 
Aerospace/Defense — 0.6% 
Curtiss-Wright Corp.       49,553 $   10,306,529
Hexcel Corp.      109,038     7,992,485
      18,299,014
Agriculture — 0.4% 
Darling Ingredients, Inc.      206,213    12,735,715
Airlines — 0.1% 
JetBlue Airways Corp.      423,764     2,508,683
Apparel — 2.0% 
Capri Holdings, Ltd.      162,462     8,527,630
Carter's, Inc.       48,706     3,485,889
Columbia Sportswear Co.       45,701     3,351,711
Crocs, Inc.       80,158     7,802,580
Deckers Outdoor Corp.       34,065    18,023,451
PVH Corp.       81,144     6,783,638
Skechers USA, Inc., Class A      173,526     8,730,093
Under Armour, Inc., Class A      243,872     1,863,182
Under Armour, Inc., Class C      244,996     1,688,023
      60,256,197
Auto Parts & Equipment — 1.7% 
Adient PLC      122,389     4,793,977
Autoliv, Inc.       99,830     9,743,408
Fox Factory Holding Corp.       54,670     6,057,983
Gentex Corp.      302,027     9,864,202
Goodyear Tire & Rubber Co.      366,289     4,728,791
Lear Corp.       76,279    10,991,041
Visteon Corp.       36,637     5,102,435
      51,281,837
Banks — 5.0% 
Associated Banc-Corp      195,004     3,379,419
Bank OZK      139,307     5,595,962
Cadence Bank      236,113     5,402,265
Cathay General Bancorp       93,743     3,340,063
Columbia Banking System, Inc.      269,401     5,517,332
Commerce Bancshares, Inc.      146,674     7,200,227
Cullen/Frost Bankers, Inc.       83,227     7,867,448
East West Bancorp, Inc.      182,817    10,117,093
First Financial Bankshares, Inc.      167,857     4,820,853
First Horizon Corp.      695,042     8,722,777
FNB Corp.      466,625     5,426,849
Glacier Bancorp, Inc.      143,284     4,328,610
Hancock Whitney Corp.      111,241     4,588,691
Home BancShares, Inc.      243,742     5,406,197
International Bancshares Corp.       68,233     3,055,474
Old National Bancorp      378,141     5,770,432
Pinnacle Financial Partners, Inc.       99,179     6,601,354
Prosperity Bancshares, Inc.      121,844     6,921,958
SouthState Corp.       98,119     7,094,004
Synovus Financial Corp.      188,835     5,846,332
Texas Capital Bancshares, Inc.       61,865     3,862,851
UMB Financial Corp.       56,421     3,566,371
United Bankshares, Inc.      173,932     5,231,875
Valley National Bancorp      544,774     5,001,025
Webster Financial Corp.      225,832     9,577,535
Wintrust Financial Corp.       79,083     6,137,632
      150,380,629
Beverages — 0.6% 
Boston Beer Co., Inc., Class A       12,132      4,433,397
Security Description   Shares or
Principal
Amount
Value
 
Beverages (continued) 
Celsius Holdings, Inc.       52,597 $   10,311,116
Coca-Cola Consolidated, Inc.        5,948     4,157,057
      18,901,570
Biotechnology — 1.1% 
Arrowhead Pharmaceuticals, Inc.      138,152     3,818,521
Exelixis, Inc.      420,838     9,422,563
Halozyme Therapeutics, Inc.      170,177     7,242,733
United Therapeutics Corp.       60,543    13,583,428
      34,067,245
Building Materials — 3.9% 
Builders FirstSource, Inc.      165,640    24,024,426
Eagle Materials, Inc.       46,592     8,820,797
Fortune Brands Innovations, Inc.      163,754    11,302,301
Knife River Corp.       65,793     3,385,708
Lennox International, Inc.       41,752    15,732,571
Louisiana-Pacific Corp.       93,105     5,817,200
MDU Resources Group, Inc.      263,173     5,358,202
Owens Corning      116,453    16,758,751
Simpson Manufacturing Co., Inc.       55,145     8,809,965
Trex Co., Inc.      140,613    10,035,550
UFP Industries, Inc.       80,250     8,374,088
      118,419,559
Chemicals — 2.5% 
Ashland, Inc.       62,777     5,438,372
Avient Corp.      110,636     4,437,610
Axalta Coating Systems, Ltd.      286,299     8,102,262
Cabot Corp.       72,561     5,257,770
Chemours Co.      192,762     6,557,763
NewMarket Corp.        8,584     4,031,390
Olin Corp.      155,374     9,014,799
RPM International, Inc.      166,600    16,616,684
Sensient Technologies Corp.       54,594     3,363,536
Valvoline, Inc.      179,448     6,180,189
Westlake Corp.       44,538     5,833,587
      74,833,962
Commercial Services — 3.3% 
ASGN, Inc.       63,713     5,234,660
Avis Budget Group, Inc.       30,832     6,579,240
Brink's Co.       59,997     4,548,373
Euronet Worldwide, Inc.       60,929     5,322,757
FTI Consulting, Inc.       43,915     8,160,285
Graham Holdings Co., Class B        4,884     2,863,636
Grand Canyon Education, Inc.       39,709     4,655,880
H&R Block, Inc.      196,805     7,868,264
Hertz Global Holdings, Inc.      203,701     3,452,732
Insperity, Inc.       46,424     4,704,144
ManpowerGroup, Inc.       65,168     5,139,800
Paylocity Holding Corp.       53,379    10,702,490
Progyny, Inc.       98,826     3,690,163
R1 RCM, Inc.      178,354     3,074,823
Service Corp. International      195,365    12,329,485
WEX, Inc.       55,365    10,861,506
      99,188,238
Computers — 3.0% 
CACI International, Inc., Class A       29,457     9,662,191
Crane NXT Co.       62,318     3,699,197
ExlService Holdings, Inc.      214,836     6,279,656
Genpact, Ltd.      218,949     8,173,366
KBR, Inc.      175,401     10,790,670
 
108  

VALIC Company I Mid Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Computers (continued) 
Kyndryl Holdings, Inc.      264,615 $    4,466,701
Lumentum Holdings, Inc.       88,784     4,805,878
Maximus, Inc.       78,554     6,348,734
NCR Corp.      181,447     5,581,310
Qualys, Inc.       43,391     6,753,809
Science Applications International Corp.       69,776     8,209,844
Super Micro Computer, Inc.       59,015    16,233,846
      91,005,202
Cosmetics/Personal Care — 0.2% 
Coty, Inc., Class A      473,909     5,478,388
Distribution/Wholesale — 0.8% 
Watsco, Inc.#       43,193    15,746,008
WESCO International, Inc.       58,310     9,437,474
      25,183,482
Diversified Financial Services — 2.6% 
Affiliated Managers Group, Inc.       46,657     6,252,505
Evercore, Inc., Class A       45,593     6,385,300
Federated Hermes, Inc.      109,895     3,819,950
Interactive Brokers Group, Inc., Class A      133,103    12,123,021
Janus Henderson Group PLC      171,271     4,704,814
Jefferies Financial Group, Inc.      241,314     8,612,497
SEI Investments Co.      130,932     8,125,640
SLM Corp.      313,239     4,460,523
Stifel Financial Corp.      137,159     8,918,078
Voya Financial, Inc.      126,999     8,849,290
Western Union Co.      483,945     5,976,721
      78,228,339
Electric — 1.5% 
ALLETE, Inc.       74,073     4,066,608
Black Hills Corp.       86,148     4,738,140
Hawaiian Electric Industries, Inc.      141,606     1,985,316
IDACORP, Inc.       65,404     6,268,319
NorthWestern Corp.       77,276     3,894,711
OGE Energy Corp.      258,842     8,813,570
Ormat Technologies, Inc.       67,902     5,156,478
PNM Resources, Inc.      110,929     4,915,264
Portland General Electric Co.      124,869     5,476,754
      45,315,160
Electrical Components & Equipment — 1.5% 
Acuity Brands, Inc.       41,094     6,627,640
Belden, Inc.       54,990     5,163,561
Energizer Holdings, Inc.       85,907     2,950,905
EnerSys       52,794     5,542,314
Littelfuse, Inc.       32,092     8,571,131
Novanta, Inc.       46,274     7,726,833
Universal Display Corp.       56,278     9,148,552
      45,730,936
Electronics — 3.8% 
Arrow Electronics, Inc.       73,002     9,740,657
Avnet, Inc.      118,120     5,994,590
Coherent Corp.      180,125     6,778,104
Hubbell, Inc.       69,256    22,580,919
Jabil, Inc.      171,475    19,620,170
National Instruments Corp.      169,942    10,128,543
nVent Electric PLC      214,100    12,105,214
TD SYNNEX Corp.       53,655     5,459,396
Vicor Corp.       28,955      1,962,280
Security Description   Shares or
Principal
Amount
Value
 
Electronics (continued) 
Vishay Intertechnology, Inc.      164,885 $    4,524,444
Vontier Corp.      201,115     6,317,022
Woodward, Inc.       77,586    10,037,301
      115,248,640
Energy-Alternate Sources — 0.1% 
Sunrun, Inc.      278,647     4,355,253
Engineering & Construction — 2.0% 
AECOM      179,636    15,763,059
Arcosa, Inc.            1            78
EMCOR Group, Inc.       61,446    13,779,266
Exponent, Inc.       65,696     5,903,443
Fluor Corp.      185,113     6,477,104
MasTec, Inc.       77,103     7,670,977
TopBuild Corp.       41,030    11,901,982
      61,495,909
Entertainment — 1.0% 
Churchill Downs, Inc.       85,145    10,666,966
Light & Wonder, Inc.      117,757     9,028,429
Marriott Vacations Worldwide Corp.       47,570     5,170,383
Penn Entertainment, Inc.      199,171     4,718,361
      29,584,139
Environmental Control — 0.9% 
Clean Harbors, Inc.       65,027    11,011,672
Stericycle, Inc.      119,471     5,281,813
Tetra Tech, Inc.       68,791    10,824,264
      27,117,749
Food — 2.0% 
Flowers Foods, Inc.      249,118     5,869,220
Grocery Outlet Holding Corp.      115,589     3,565,921
Ingredion, Inc.       85,316     8,779,870
Lancaster Colony Corp.       25,609     4,230,351
Performance Food Group Co.      201,795    12,537,523
Pilgrim's Pride Corp.       58,129     1,462,526
Post Holdings, Inc.       69,195     6,207,483
Sprouts Farmers Market, Inc.      133,175     5,432,208
US Foods Holding Corp.      292,885    11,841,340
      59,926,442
Food Service — 0.4% 
Aramark      336,799    12,522,187
Gas — 1.1% 
National Fuel Gas Co.      118,643     6,375,875
New Jersey Resources Corp.      125,312     5,284,407
ONE Gas, Inc.       71,583     5,187,620
Southwest Gas Holdings, Inc.       84,816     5,252,655
Spire, Inc.       67,974     3,970,361
UGI Corp.      270,526     6,811,845
      32,882,763
Hand/Machine Tools — 1.2% 
Lincoln Electric Holdings, Inc.       74,405    14,319,986
MSA Safety, Inc.       47,702     8,714,201
Regal Rexnord Corp.       85,656    13,892,547
      36,926,734
Healthcare-Products — 4.0% 
Azenta, Inc.       84,219     4,752,478
Bruker Corp.      128,944     8,458,727
Enovis Corp.       61,976      3,473,135
 
109

VALIC Company I Mid Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Healthcare-Products (continued) 
Envista Holdings Corp.      211,561 $    6,774,183
Globus Medical, Inc., Class A      154,101     8,336,864
Haemonetics Corp.       65,196     5,850,037
ICU Medical, Inc.#       26,123     3,788,619
Inari Medical, Inc.       66,498     4,430,097
Integra LifeSciences Holdings Corp.       92,089     3,917,466
Lantheus Holdings, Inc.       88,311     6,044,005
LivaNova PLC       69,488     3,860,058
Masimo Corp.       62,753     7,171,413
Neogen Corp.      279,434     6,460,514
Omnicell, Inc.       58,260     3,312,664
Patterson Cos., Inc.      112,384     3,376,015
Penumbra, Inc.       49,436    13,075,822
QuidelOrtho Corp.       69,752     5,744,775
Repligen Corp.       66,922    11,638,405
Shockwave Medical, Inc.       47,334    10,431,940
      120,897,217
Healthcare-Services — 2.2% 
Acadia Healthcare Co., Inc.      118,942     9,170,428
Amedisys, Inc.       42,111     3,947,906
Chemed Corp.       19,411     9,927,562
Encompass Health Corp.      129,540     9,202,522
HealthEquity, Inc.      110,457     7,461,370
Medpace Holdings, Inc.       31,927     8,628,910
Sotera Health Co.#      127,789     2,062,515
Syneos Health, Inc.      133,964     5,724,282
Tenet Healthcare Corp.      131,736    10,217,444
      66,342,939
Home Builders — 1.0% 
KB Home      103,746     5,270,297
Taylor Morrison Home Corp.      141,012     6,683,969
Thor Industries, Inc.       69,166     7,249,980
Toll Brothers, Inc.      133,089    10,903,981
      30,108,227
Home Furnishings — 0.7% 
Dolby Laboratories, Inc., Class A       76,792     6,486,620
Leggett & Platt, Inc.      172,028     4,851,190
Tempur Sealy International, Inc.      222,375    10,389,360
      21,727,170
Household Products/Wares — 0.1% 
Helen of Troy, Ltd.       31,066     3,818,633
Housewares — 0.1% 
Scotts Miracle-Gro Co.#       52,899     2,997,257
Insurance — 4.6% 
American Financial Group, Inc.       90,268    10,463,867
Brighthouse Financial, Inc.       86,408     4,291,021
CNO Financial Group, Inc.      148,044     3,464,230
Erie Indemnity Co., Class A       32,234     8,984,583
Essent Group, Ltd.      138,616     6,961,296
First American Financial Corp.      133,390     8,227,495
Hanover Insurance Group, Inc.       46,171     4,927,369
Kemper Corp.       82,699     3,884,372
Kinsale Capital Group, Inc.       28,129    11,213,063
MGIC Investment Corp.      370,411     6,511,825
Old Republic International Corp.      351,877     9,623,836
Primerica, Inc.       46,816     9,408,143
Reinsurance Group of America, Inc.       85,996    11,920,766
RenaissanceRe Holdings, Ltd.       64,917     12,197,255
Security Description   Shares or
Principal
Amount
Value
 
Insurance (continued) 
RLI Corp.       52,397 $    6,891,254
Selective Insurance Group, Inc.       78,178     7,756,039
Unum Group      239,401    11,776,135
      138,502,549
Internet — 0.2% 
TripAdvisor, Inc.      137,034     2,070,584
Ziff Davis, Inc.       61,106     4,072,715
      6,143,299
Iron/Steel — 1.6% 
Cleveland-Cliffs, Inc.      665,664    10,178,003
Commercial Metals Co.      151,357     8,519,885
Reliance Steel & Aluminum Co.       75,981    21,651,546
United States Steel Corp.      292,660     9,098,799
      49,448,233
Leisure Time — 1.2% 
Brunswick Corp.       91,386     7,230,460
Harley-Davidson, Inc.      169,068     5,706,045
Planet Fitness, Inc., Class A      109,796     6,675,597
Polaris, Inc.       69,131     7,748,894
Topgolf Callaway Brands Corp.      179,898     3,137,421
YETI Holdings, Inc.      111,981     5,593,451
      36,091,868
Lodging — 0.9% 
Boyd Gaming Corp.       99,229     6,635,443
Choice Hotels International, Inc.       34,268     4,348,609
Hilton Grand Vacations, Inc.       99,342     4,343,232
Travel & Leisure Co.       98,610     3,964,122
Wyndham Hotels & Resorts, Inc.      110,966     8,365,727
      27,657,133
Machinery-Construction & Mining — 0.8% 
BWX Technologies, Inc.      118,183     8,717,178
Oshkosh Corp.       84,409     8,764,187
Terex Corp.       87,622     5,310,769
      22,792,134
Machinery-Diversified — 3.2% 
AGCO Corp.       80,303    10,401,648
Chart Industries, Inc.#       54,236     9,793,937
Cognex Corp.      223,061    10,501,712
Crane Co.       62,318     5,678,416
Esab Corp.       66,932     4,830,482
Flowserve Corp.      169,491     6,706,759
Graco, Inc.      217,555    17,173,792
Middleby Corp.       69,160    10,069,004
Toro Co.      134,773    13,789,973
Watts Water Technologies, Inc., Class A       35,421     6,686,422
      95,632,145
Media — 1.0% 
Cable One, Inc.        6,093     3,963,923
New York Times Co., Class A      211,756     9,374,438
Nexstar Media Group, Inc.       46,340     7,544,152
TEGNA, Inc.      290,816     4,807,188
World Wrestling Entertainment, Inc., Class A       56,090     5,415,490
      31,105,191
Metal Fabricate/Hardware — 0.9% 
Advanced Drainage Systems, Inc.       80,836    10,359,942
Timken Co.       85,140      6,506,399
 
110  

VALIC Company I Mid Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Metal Fabricate/Hardware (continued) 
Valmont Industries, Inc.       27,211 $    6,897,988
Worthington Industries, Inc.       39,224     2,952,390
      26,716,719
Mining — 0.6% 
Alcoa Corp.      230,557     6,935,155
MP Materials Corp.      119,366     2,499,524
Royal Gold, Inc.       84,880     9,514,199
      18,948,878
Miscellaneous Manufacturing — 1.3% 
Carlisle Cos., Inc.       65,869    17,324,864
Donaldson Co., Inc.      156,732    10,010,473
ITT, Inc.      106,490    10,891,797
      38,227,134
Office/Business Equipment — 0.1% 
Xerox Holdings Corp.      146,048     2,320,703
Oil & Gas — 3.6% 
Antero Resources Corp.      356,850     9,874,039
Chesapeake Energy Corp.#      138,405    12,208,705
Chord Energy Corp.       53,698     8,672,227
CNX Resources Corp.      213,983     4,782,520
HF Sinclair Corp.      166,514     9,173,256
Matador Resources Co.      146,326     9,291,701
Murphy Oil Corp.      189,629     8,609,157
Ovintiv, Inc.      316,011    14,839,877
PBF Energy, Inc., Class A      141,776     6,647,877
Range Resources Corp.      311,827    10,096,958
Southwestern Energy Co.    1,423,227     9,649,479
Valaris, Ltd.       77,728     5,854,473
      109,700,269
Oil & Gas Services — 0.7% 
ChampionX Corp.      255,852     9,233,699
NOV, Inc.      508,832    10,751,620
      19,985,319
Packaging & Containers — 2.0% 
AptarGroup, Inc.       84,676    11,224,651
Berry Global Group, Inc.      154,048    10,065,496
Crown Holdings, Inc.      155,212    14,381,944
Graphic Packaging Holding Co.      396,934     8,827,812
Greif, Inc., Class A       33,520     2,433,217
Silgan Holdings, Inc.      108,289     4,887,083
Sonoco Products Co.      126,594     7,272,825
      59,093,028
Pharmaceuticals — 1.5% 
BellRing Brands, Inc.      171,628     7,122,562
Jazz Pharmaceuticals PLC       82,717    11,858,309
Neurocrine Biosciences, Inc.      126,102    13,731,247
Option Care Health, Inc.      213,733     7,444,320
Perrigo Co. PLC      174,889     6,121,115
      46,277,553
Pipelines — 0.6% 
Antero Midstream Corp.      433,919     5,259,098
DT Midstream, Inc.      125,216     6,547,545
Equitrans Midstream Corp.      559,825     5,374,320
      17,180,963
Security Description   Shares or
Principal
Amount
Value
 
Real Estate — 0.4% 
Jones Lang LaSalle, Inc.       61,730 $   10,666,944
REITS — 7.5% 
Agree Realty Corp.      120,445     7,445,910
Annaly Capital Management, Inc.      638,269    12,937,713
Apartment Income REIT Corp.      192,819     6,567,415
Brixmor Property Group, Inc.      388,414     8,537,340
Corporate Office Properties Trust      145,407     3,763,133
Cousins Properties, Inc.      196,043     4,607,010
CubeSmart      290,362    12,110,999
EastGroup Properties, Inc.       57,395    10,309,864
EPR Properties       97,287     4,356,512
Equity LifeStyle Properties, Inc.      226,210    15,147,021
First Industrial Realty Trust, Inc.      170,905     8,876,806
Healthcare Realty Trust, Inc.      492,150     8,622,468
Highwoods Properties, Inc.      136,289     3,247,767
Independence Realty Trust, Inc.      289,894     4,878,916
Kilroy Realty Corp.      136,225     5,033,514
Kite Realty Group Trust      283,446     6,397,376
Lamar Advertising Co., Class A      113,064    10,313,698
Medical Properties Trust, Inc.#      773,215     5,582,612
National Storage Affiliates Trust      106,131     3,566,002
NNN REIT, Inc.      235,320     9,269,255
Omega Healthcare Investors, Inc.      302,867     9,637,228
Park Hotels & Resorts, Inc.      278,670     3,575,336
Physicians Realty Trust#      308,095     4,285,601
PotlatchDeltic Corp.      103,280     4,881,013
Rayonier, Inc.      191,553     5,727,435
Rexford Industrial Realty, Inc.      259,701    13,886,212
Sabra Health Care REIT, Inc.      298,785     3,743,776
Spirit Realty Capital, Inc.      182,605     7,050,379
STAG Industrial, Inc.      231,819     8,468,348
Starwood Property Trust, Inc.#      403,330     8,240,032
Vornado Realty Trust      208,302     5,003,414
      226,070,105
Retail — 5.2% 
AutoNation, Inc.       40,669     6,388,693
BJ's Wholesale Club Holdings, Inc.      173,677    11,704,093
Casey's General Stores, Inc.       48,155    11,769,564
Dick's Sporting Goods, Inc.       79,468     9,245,307
FirstCash Holdings, Inc.       47,597     4,251,364
Five Below, Inc.       71,936    12,370,115
Foot Locker, Inc.      102,632     2,013,640
GameStop Corp., Class A      326,856     6,063,179
Gap, Inc.      275,712     3,192,745
Kohl's Corp.      143,122     3,812,770
Lithia Motors, Inc.       35,576    10,958,120
Macy's, Inc.      351,943     4,304,263
MSC Industrial Direct Co., Inc., Class A       61,074     6,233,212
Murphy USA, Inc.       25,899     8,226,558
Nordstrom, Inc.#      146,032     2,368,639
Ollie's Bargain Outlet Holdings, Inc.       74,393     5,734,212
Papa John's International, Inc.       38,405     2,907,258
Penske Automotive Group, Inc.#       31,210     5,127,803
RH#       23,076     8,427,124
Texas Roadhouse, Inc.       86,587     9,013,707
Wendy's Co.      217,877     4,311,786
Williams-Sonoma, Inc.#       84,860    11,982,232
Wingstop, Inc.       38,731     6,221,748
      156,628,132
Savings & Loans — 0.4% 
New York Community Bancorp, Inc.      933,242    11,460,212
 
111

VALIC Company I Mid Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Semiconductors — 2.4% 
Allegro MicroSystems, Inc.       84,257 $    3,222,830
Amkor Technology, Inc.      130,156     3,639,162
Cirrus Logic, Inc.       71,412     5,858,641
IPG Photonics Corp.       40,350     4,372,326
Lattice Semiconductor Corp.      177,891    17,301,679
MACOM Technology Solutions Holdings, Inc.       66,874     5,654,865
MKS Instruments, Inc.       74,206     7,437,667
Power Integrations, Inc.       74,118     6,227,394
Silicon Laboratories, Inc.       41,351     5,576,596
Synaptics, Inc.       51,079     4,471,456
Wolfspeed, Inc.#      160,865     7,692,564
      71,455,180
Software — 2.7% 
ACI Worldwide, Inc.      139,990     3,398,957
Aspen Technology, Inc.       37,725     7,318,650
Blackbaud, Inc.       58,473     4,450,380
CommVault Systems, Inc.       56,830     3,882,057
Concentrix Corp.       55,171     4,404,301
Doximity, Inc., Class A      153,407     3,657,223
Dropbox, Inc., Class A      351,471     9,767,379
Dynatrace, Inc.      280,168    13,504,098
Envestnet, Inc.       70,309     3,840,981
Manhattan Associates, Inc.       80,161    16,242,222
Teradata Corp.      130,657     6,045,499
ZoomInfo Technologies, Inc.      348,367     6,277,573
      82,789,320
Telecommunications — 0.8% 
Calix, Inc.       74,481     3,464,111
Ciena Corp.      192,767     9,634,495
Frontier Communications Parent, Inc.      288,546     4,622,507
Iridium Communications, Inc.      162,738     7,966,025
      25,687,138
Toys/Games/Hobbies — 0.3% 
Mattel, Inc.      457,437    10,136,804
Transportation — 2.4% 
GXO Logistics, Inc.      153,697     9,831,997
Kirby Corp.       77,541     6,422,721
Knight-Swift Transportation Holdings, Inc.      208,108    11,408,480
Landstar System, Inc.       46,438     8,814,397
Ryder System, Inc.       60,085     6,050,559
Saia, Inc.       34,290    14,614,398
Werner Enterprises, Inc.       76,172     3,169,517
XPO, Inc.      149,728    11,174,201
      71,486,270
Trucking & Leasing — 0.2% 
GATX Corp.       45,620     5,389,547
Security Description   Shares or
Principal
Amount
  Value
 
Water — 0.4% 
Essential Utilities, Inc.      310,922   $   11,473,022
Total Long-Term Investment Securities
(cost $2,216,718,108)
      2,986,831,207
SHORT-TERM INVESTMENTS — 0.4% 
Unaffiliated Investment Companies — 0.3% 
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(1)(2)
   8,266,037       8,266,037
U.S. Government — 0.1% 
United States Treasury Bills        
4.48%, 12/28/2023(3)   $ 4,800,000       4,716,810
Total Short-Term Investments
(cost $12,995,630)
      12,982,847
REPURCHASE AGREEMENTS — 1.0% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $30,644,213 and collateralized by $30,647,900 of United States Treasury Notes, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $31,255,757
(cost $30,642,851)
  30,642,851      30,642,851
TOTAL INVESTMENTS
(cost $2,260,356,589)
  100.3%   3,030,456,905
Other assets less liabilities   (0.3)   (10,120,666)
NET ASSETS   100.0%   $3,020,336,239
Non-income producing security
# The security or a portion thereof is out on loan.
(1) The rate shown is the 7-day yield as of August 31, 2023.
(2) At August 31, 2023, the Fund had loaned securities with a total value of $42,853,421. This was secured by collateral of $8,266,037, which was received in cash and subsequently invested in short-term investments currently valued at $8,266,037 as reported in the Portfolio of Investments. Additional collateral of $35,431,837 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
Government National Mtg. Assoc. 1.75% 11/20/2051 $33,040
United States Treasury Bills 0.00% 09/19/2023 to 01/25/2024 941,384
United States Treasury Notes/Bonds 0.13% to 6.62% 10/15/2023 to 05/15/2053 34,457,413
(3) The security or a portion thereof was pledged as collateral to cover margin requirements for open futures contracts.
 
Futures Contracts

Number
of
Contracts
Type Description Expiration
Month
Notional
Basis*
Notional
Value*
Unrealized
Appreciation
139 Long S&P Mid Cap 400 E-Mini Index September 2023 $36,081,212 $36,816,930 $735,718
* Notional basis refers to the contractual amount agreed upon at inception of the open contract; notional value represents the current value of the open contract.
112  

VALIC Company I Mid Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $2,986,831,207   $  $—   $2,986,831,207
Short-Term Investments:              
U.S. Government   4,716,810     4,716,810
Other Short-Term Investments 8,266,037       8,266,037
Repurchase Agreements   30,642,851     30,642,851
Total Investments at Value $2,995,097,244   $35,359,661   $—   $3,030,456,905
Other Financial Instruments:              
Futures Contracts $735,718   $  $—   $735,718
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Amounts represent unrealized appreciation/depreciation as of the end of the reporting period.
See Notes to Portfolio of Investments
113

VALIC Company I Mid Cap Strategic Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 96.4% 
Advertising — 1.1% 
Trade Desk, Inc., Class A      108,832 $  8,709,825
Aerospace/Defense — 2.6% 
HEICO Corp.       39,100   6,596,561
Hexcel Corp.      141,626  10,381,186
L3Harris Technologies, Inc.       25,232   4,493,567
      21,471,314
Airlines — 0.4% 
Ryanair Holdings PLC ADR       37,544   3,726,242
Apparel — 1.2% 
Gildan Activewear, Inc.#      128,124   3,820,658
On Holding AG, Class A      199,624   5,755,160
      9,575,818
Auto Parts & Equipment — 0.1% 
Visteon Corp.        6,982     972,383
Banks — 0.8% 
Western Alliance Bancorp      135,680   6,785,357
Biotechnology — 3.9% 
Argenx SE ADR        6,357   3,194,329
BioMarin Pharmaceutical, Inc.       25,835   2,360,802
Corteva, Inc.       62,875   3,175,816
Horizon Therapeutics PLC       82,933   9,349,866
Illumina, Inc.       15,943   2,634,103
Sarepta Therapeutics, Inc.       13,467   1,629,642
Seagen, Inc.       44,230   9,114,476
      31,459,034
Chemicals — 2.3% 
Celanese Corp.       48,530   6,132,251
Olin Corp.      103,665   6,014,643
Tronox Holdings PLC      453,203   6,181,689
      18,328,583
Commercial Services — 4.4% 
Cimpress PLC       15,040     971,734
Global Payments, Inc.       22,683   2,873,709
Quanta Services, Inc.       51,102  10,724,777
RB Global, Inc.       46,400   2,863,808
Rentokil Initial PLC       78,370     597,462
Rentokil Initial PLC ADR      121,653   4,616,731
TransUnion       43,549   3,537,050
WEX, Inc.       48,546   9,523,754
      35,709,025
Computers — 3.6% 
Amdocs, Ltd.       84,301   7,519,649
CACI International, Inc., Class A       35,386  11,606,962
Zscaler, Inc.       64,215  10,020,751
      29,147,362
Distribution/Wholesale — 2.0% 
Ferguson PLC      101,341  16,372,652
Diversified Financial Services — 3.3% 
Ameriprise Financial, Inc.       25,885   8,738,258
Cboe Global Markets, Inc.       13,547   2,028,121
Charles Schwab Corp.       50,887   3,009,966
LPL Financial Holdings, Inc.       26,411   6,090,113
Tradeweb Markets, Inc., Class A       77,960   6,738,083
      26,604,541
Security Description   Shares or
Principal
Amount
Value
 
Electric — 0.8% 
Alliant Energy Corp.       82,463 $  4,137,169
Ameren Corp.       26,142   2,072,276
      6,209,445
Electrical Components & Equipment — 1.1% 
AMETEK, Inc.       55,629   8,873,382
Electronics — 3.0% 
Flex, Ltd.      298,381   8,232,332
Fortive Corp.       31,804   2,507,745
National Instruments Corp.       58,577   3,491,189
Sensata Technologies Holding PLC      166,394   6,259,742
TE Connectivity, Ltd.       27,594   3,653,170
      24,144,178
Engineering & Construction — 0.2% 
Frontdoor, Inc.       40,914   1,342,797
Entertainment — 0.4% 
Atlanta Braves Holdings, Inc., Class C        2,780     102,415
Entain PLC      220,953   3,239,878
Liberty Media Corp.-Liberty Live        3,995     134,432
      3,476,725
Environmental Control — 1.0% 
Clean Harbors, Inc.       10,739   1,818,542
Waste Connections, Inc.       46,305   6,343,322
      8,161,864
Food Service — 0.6% 
Aramark      124,188   4,617,310
Hand/Machine Tools — 0.2% 
Regal Rexnord Corp.        9,803   1,589,949
Healthcare-Products — 10.7% 
Avantor, Inc.      187,013   4,048,831
Bio-Techne Corp.       61,445   4,817,288
Boston Scientific Corp.      338,975  18,284,312
CONMED Corp.       41,860   4,665,716
Cooper Cos., Inc.       21,982   8,133,120
DENTSPLY SIRONA, Inc.       79,405   2,945,131
ICU Medical, Inc.       23,062   3,344,682
IDEXX Laboratories, Inc.       22,352  11,431,036
Natera, Inc.      150,792   8,856,014
Revvity, Inc.       59,030   6,908,281
STERIS PLC       16,631   3,818,311
Teleflex, Inc.       33,293   7,082,753
Waters Corp.        9,457   2,655,526
      86,991,001
Healthcare-Services — 2.2% 
Catalent, Inc.       62,278   3,112,032
ICON PLC       19,640   5,105,222
Tenet Healthcare Corp.      124,738   9,674,679
      17,891,933
Home Builders — 0.6% 
D.R. Horton, Inc.       42,103   5,011,099
Insurance — 3.2% 
Arthur J. Gallagher & Co.       42,054   9,692,606
Intact Financial Corp.       58,772   8,286,017
Ryan Specialty Holdings, Inc.#       39,680   1,934,400
W.R. Berkley Corp.       96,665   5,979,697
      25,892,720
 
114  

VALIC Company I Mid Cap Strategic Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Internet — 2.3% 
GoDaddy, Inc., Class A      102,695 $  7,446,415
Palo Alto Networks, Inc.       39,351   9,574,098
Wayfair, Inc., Class A        4,397     303,877
Ziff Davis, Inc.       23,782   1,585,070
      18,909,460
Lodging — 1.1% 
Las Vegas Sands Corp.      159,010   8,723,289
Machinery-Diversified — 1.5% 
Ingersoll Rand, Inc.       97,677   6,799,296
Westinghouse Air Brake Technologies Corp.       50,839   5,720,404
      12,519,700
Media — 0.8% 
Liberty Media Corp.-Liberty Formula One, Class A        2,654     160,965
Liberty Media Corp.-Liberty Formula One, Class C       93,352   6,421,684
      6,582,649
Miscellaneous Manufacturing — 2.4% 
Parker-Hannifin Corp.       18,495   7,710,566
Teledyne Technologies, Inc.       28,531  11,934,517
      19,645,083
Oil & Gas — 1.6% 
Diamondback Energy, Inc.       47,329   7,183,596
Valero Energy Corp.       44,289   5,753,141
      12,936,737
Packaging & Containers — 0.1% 
Sealed Air Corp.       34,522   1,279,385
Pharmaceuticals — 2.6% 
Ascendis Pharma A/S ADR       17,529   1,718,193
BellRing Brands, Inc.      245,900  10,204,850
Dexcom, Inc.       90,177   9,106,073
      21,029,116
Pipelines — 1.1% 
Cheniere Energy, Inc.       52,855   8,625,936
REITS — 0.6% 
Lamar Advertising Co., Class A       50,681   4,623,121
Retail — 7.4% 
Academy Sports & Outdoors, Inc.      169,735   9,262,439
Burlington Stores, Inc.       12,889   2,091,369
CarMax, Inc.       63,564   5,191,908
Cava Group, Inc.       83,742   3,718,982
Dollar Tree, Inc.       18,080   2,212,269
Lululemon Athletica, Inc.       17,261   6,580,929
O'Reilly Automotive, Inc.        9,425   8,856,672
Texas Roadhouse, Inc.       56,880   5,921,208
Tractor Supply Co.       47,690  10,420,265
Wingstop, Inc.       34,268   5,504,811
      59,760,852
Semiconductors — 6.4% 
KLA Corp.        5,946   2,984,119
Lam Research Corp.       22,982  16,142,557
Microchip Technology, Inc.       79,073   6,471,334
Monolithic Power Systems, Inc.       15,352    8,001,616
Security Description   Shares or
Principal
Amount
Value
 
Semiconductors (continued) 
NXP Semiconductors NV       32,839 $  6,755,639
ON Semiconductor Corp.      115,890  11,410,529
      51,765,794
Software — 14.8% 
ANSYS, Inc.       15,002   4,783,688
Atlassian Corp., Class A        7,361   1,502,086
Broadridge Financial Solutions, Inc.       30,177   5,619,259
Ceridian HCM Holding, Inc.       62,556   4,536,561
Constellation Software, Inc.        6,229  12,794,805
Datadog, Inc., Class A      125,303  12,089,233
Dynatrace, Inc.       45,439   2,190,160
Fidelity National Information Services, Inc.       36,199   2,022,076
HubSpot, Inc.       21,078  11,519,549
JFrog, Ltd.      141,638   4,063,594
MSCI, Inc.       23,228  12,627,205
Palantir Technologies, Inc., Class A      248,951   3,729,286
Paycom Software, Inc.       31,710   9,349,376
SentinelOne, Inc., Class A      242,850   4,038,595
Splunk, Inc.       69,430   8,419,082
SS&C Technologies Holdings, Inc.      138,435   7,948,938
Synopsys, Inc.       25,045  11,492,900
Topicus.com, Inc.       17,218   1,311,229
      120,037,622
Telecommunications — 1.3% 
Motorola Solutions, Inc.       23,783   6,744,145
NICE, Ltd. ADR#       19,083   3,717,369
      10,461,514
Transportation — 2.7% 
GXO Logistics, Inc.      157,426  10,070,541
JB Hunt Transport Services, Inc.       38,753   7,280,914
TFI International, Inc.       30,901   4,213,660
      21,565,115
Total Common Stocks
(cost $731,496,792)
    781,529,912
WARRANTS — 0.0% 
Software — 0.0% 
Constellation Software, Inc.
Expires 03/31/2040(1)
(cost $0)
CAD      6,195           0
RIGHTS — 0.0% 
Software — 0.0% 
Constellation Software, Inc.
Expires 09/29/2023
(cost $2,760)
CAD      6,229       3,458
Total Long-Term Investment Securities
(cost $731,499,552)
    781,533,370
SHORT-TERM INVESTMENTS — 2.1% 
Commercial Paper — 1.6% 
Societe Generale SA      
5.27%, 09/01/2023   $12,700,000  12,698,145
 
115

VALIC Company I Mid Cap Strategic Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS (continued) 
Unaffiliated Investment Companies — 0.5% 
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(2)(3)
   4,360,804   $  4,360,804
Total Short-Term Investments
(cost $17,060,804)
      17,058,949
TOTAL INVESTMENTS
(cost $748,560,356)
  98.5%   798,592,319
Other assets less liabilities   1.5   11,810,430
NET ASSETS   100.0%   $810,402,749
Non-income producing security
# The security or a portion thereof is out on loan.
(1) Securities classified as Level 3 (see Note 1).
(2) The rate shown is the 7-day yield as of August 31, 2023.
(3) At August 31, 2023, the Fund had loaned securities with a total value of $6,166,736. This was secured by collateral of $4,360,804, which was received in cash and subsequently invested in short-term investments currently valued at $4,360,804 as reported in the Portfolio of Investments. Additional collateral of $1,966,097 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
United States Treasury Bills 0.00% 12/19/2023 to 01/04/2024 $16,041
United States Treasury Notes/Bonds 0.13% to 5.57% 11/15/2023 to 11/15/2051 1,950,056
ADR—American Depositary Receipt
CAD—Canadian Dollar
 
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $781,529,912   $  $—   $781,529,912
Warrants     0   0
Rights 3,458       3,458
Short-Term Investments:              
Commercial Paper   12,698,145     12,698,145
Other Short-Term Investments 4,360,804       4,360,804
Total Investments at Value $785,894,174   $12,698,145   $0   $798,592,319
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Level 3 investments in securities were not considered a significant portion of the Fund's net assets.
See Notes to Portfolio of Investments
116  

VALIC Company I Mid Cap Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 99.2% 
Advertising — 0.6% 
Interpublic Group of Cos., Inc.      47,568 $  1,551,193
Taboola.com, Ltd.     574,760   2,155,350
      3,706,543
Aerospace/Defense — 2.8% 
Curtiss-Wright Corp.      36,952   7,685,646
Hexcel Corp.      26,705   1,957,477
Howmet Aerospace, Inc.     136,137   6,734,697
L3Harris Technologies, Inc.       5,042     897,930
      17,275,750
Airlines — 0.4% 
Alaska Air Group, Inc.      29,667   1,245,124
JetBlue Airways Corp.     219,347   1,298,534
      2,543,658
Apparel — 1.2% 
Columbia Sportswear Co.      31,164   2,285,568
Ralph Lauren Corp.       5,646     658,493
Steven Madden, Ltd.     135,221   4,665,124
      7,609,185
Auto Parts & Equipment — 2.2% 
Gentex Corp.     220,112   7,188,858
Goodyear Tire & Rubber Co.     206,389   2,664,482
Lear Corp.       7,597   1,094,652
Visteon Corp.      19,146   2,666,463
      13,614,455
Banks — 4.4% 
Ameris Bancorp      88,168   3,592,846
Cadence Bank     182,687   4,179,879
East West Bancorp, Inc.      14,056     777,859
Fifth Third Bancorp     113,938   3,025,054
Huntington Bancshares, Inc.     228,190   2,530,627
SouthState Corp.      55,674   4,025,230
Synovus Financial Corp.     123,138   3,812,352
Triumph Financial, Inc.      25,234   1,620,780
Webster Financial Corp.      81,877   3,472,404
      27,037,031
Beverages — 0.3% 
Coca-Cola Europacific Partners PLC      33,336   2,137,171
Biotechnology — 0.5% 
Corteva, Inc.      61,046   3,083,434
Building Materials — 2.7% 
Builders FirstSource, Inc.      37,379   5,421,450
Fortune Brands Innovations, Inc.      65,666   4,532,267
Masco Corp.      60,380   3,563,024
Mohawk Industries, Inc.       9,893   1,003,051
PGT Innovations, Inc.      69,524   1,959,882
      16,479,674
Chemicals — 4.5% 
Axalta Coating Systems, Ltd.      69,772   1,974,548
Celanese Corp.      30,700   3,879,252
CF Industries Holdings, Inc.      24,011   1,850,528
DuPont de Nemours, Inc.      47,417   3,645,893
FMC Corp.      65,641   5,660,224
Huntsman Corp.     119,420   3,328,235
Ingevity Corp.      51,947    2,799,424
Security Description   Shares or
Principal
Amount
Value
 
Chemicals (continued) 
PPG Industries, Inc.      26,195 $  3,713,403
Valvoline, Inc.      12,648     435,597
      27,287,104
Coal — 0.3% 
Teck Resources, Ltd., Class B      39,582   1,635,528
Commercial Services — 2.3% 
AMN Healthcare Services, Inc.      12,899   1,140,014
ASGN, Inc.      12,574   1,033,080
FleetCor Technologies, Inc.      13,294   3,612,379
Global Payments, Inc.       8,896   1,127,034
H&R Block, Inc.      32,588   1,302,868
RB Global, Inc.      43,034   2,656,059
Robert Half, Inc.      18,391   1,360,198
TransUnion      24,192   1,964,874
      14,196,506
Computers — 3.7% 
Check Point Software Technologies, Ltd.      24,440   3,289,380
Cognizant Technology Solutions Corp., Class A      34,870   2,497,041
Dell Technologies, Inc., Class C      48,906   2,750,473
Leidos Holdings, Inc.      62,381   6,082,771
Lumentum Holdings, Inc.      71,788   3,885,884
NetApp, Inc.      23,441   1,797,925
Science Applications International Corp.      20,481   2,409,795
      22,713,269
Cosmetics/Personal Care — 0.4% 
Kenvue, Inc.     103,848   2,393,696
Distribution/Wholesale — 1.2% 
Ferguson PLC      18,601   3,005,178
LKQ Corp.      26,567   1,395,564
Resideo Technologies, Inc.      71,423   1,204,192
WESCO International, Inc.       9,783   1,583,378
      7,188,312
Diversified Financial Services — 5.3% 
AerCap Holdings NV      78,528   4,831,043
Ameriprise Financial, Inc.      21,686   7,320,760
Bread Financial Holdings, Inc.      73,093   2,746,835
Discover Financial Services      44,567   4,014,150
Evercore, Inc., Class A      13,526   1,894,316
LPL Financial Holdings, Inc.      10,162   2,343,256
PRA Group, Inc.     112,328   2,188,149
Rocket Cos., Inc., Class A      50,277     536,958
SLM Corp.      43,284     616,364
Synchrony Financial      24,936     804,934
Voya Financial, Inc.      75,332   5,249,134
      32,545,899
Electric — 3.0% 
American Electric Power Co., Inc.      35,064   2,749,018
CenterPoint Energy, Inc.     189,437   5,283,398
DTE Energy Co.      19,545   2,020,562
Entergy Corp.      35,293   3,361,658
FirstEnergy Corp.      56,732   2,046,323
IDACORP, Inc.      28,397   2,721,569
      18,182,528
Electrical Components & Equipment — 1.1% 
AMETEK, Inc.      40,483   6,457,443
Electronics — 3.1% 
Allegion PLC      30,185    3,435,355
 
117

VALIC Company I Mid Cap Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Electronics (continued) 
Flex, Ltd.     215,876 $  5,956,019
Fortive Corp.      26,719   2,106,793
Garmin, Ltd.      17,632   1,869,345
nVent Electric PLC      41,147   2,326,451
TE Connectivity, Ltd.      22,532   2,983,011
      18,676,974
Engineering & Construction — 0.8% 
Fluor Corp.      83,278   2,913,897
Frontdoor, Inc.      59,076   1,938,875
      4,852,772
Entertainment — 0.6% 
International Game Technology PLC     106,995   3,425,980
Food — 1.4% 
US Foods Holding Corp.     213,242   8,621,374
Gas — 1.0% 
ONE Gas, Inc.      50,004   3,623,790
Spire, Inc.      40,913   2,389,728
      6,013,518
Healthcare-Products — 2.7% 
Avantor, Inc.     115,153   2,493,062
DENTSPLY SIRONA, Inc.      87,930   3,261,324
ICU Medical, Inc.#      25,573   3,708,852
Integra LifeSciences Holdings Corp.      90,392   3,845,276
Teleflex, Inc.       7,473   1,589,806
Zimmer Biomet Holdings, Inc.      15,379   1,831,947
      16,730,267
Healthcare-Services — 3.7% 
Centene Corp.      22,752   1,402,661
Encompass Health Corp.      40,906   2,905,962
Fortrea Holdings, Inc.      46,605   1,283,968
HCA Healthcare, Inc.       6,159   1,707,891
Humana, Inc.       3,362   1,552,000
ICON PLC      17,569   4,566,886
IQVIA Holdings, Inc.       5,702   1,269,436
Laboratory Corp. of America Holdings       5,812   1,209,477
Molina Healthcare, Inc.      22,261   6,903,581
      22,801,862
Home Builders — 0.8% 
Meritage Homes Corp.      20,427   2,840,170
NVR, Inc.         358   2,283,084
      5,123,254
Home Furnishings — 0.9% 
Tempur Sealy International, Inc.      67,895   3,172,054
Whirlpool Corp.      15,281   2,138,729
      5,310,783
Household Products/Wares — 0.4% 
Avery Dennison Corp.      12,656   2,384,137
Insurance — 6.8% 
Aegon NV#     946,255   4,806,975
Aflac, Inc.      28,398   2,117,639
Aon PLC, Class A       6,725   2,242,048
Arch Capital Group, Ltd.      21,742   1,671,090
Arthur J. Gallagher & Co.      11,617   2,677,486
Everest Group, Ltd.      22,544   8,131,170
First American Financial Corp.      40,464    2,495,819
Security Description   Shares or
Principal
Amount
Value
 
Insurance (continued) 
Globe Life, Inc.      23,094 $  2,576,598
Hanover Insurance Group, Inc.      33,256   3,549,080
James River Group Holdings, Ltd.     170,610   2,484,082
Kemper Corp.     128,267   6,024,701
RenaissanceRe Holdings, Ltd.       7,162   1,345,668
Ryan Specialty Holdings, Inc.      12,645     616,444
Travelers Cos., Inc.       5,860     944,808
      41,683,608
Internet — 2.4% 
Cargurus, Inc.     110,211   1,995,921
CDW Corp.       6,807   1,437,298
eBay, Inc.      42,611   1,908,121
Expedia Group, Inc.      22,584   2,447,880
F5, Inc.      27,866   4,560,549
Gen Digital, Inc.     128,165   2,595,341
      14,945,110
Iron/Steel — 0.6% 
Reliance Steel & Aluminum Co.      13,229   3,769,736
Leisure Time — 0.7% 
Harley-Davidson, Inc.      50,120   1,691,550
Polaris, Inc.      22,757   2,550,832
      4,242,382
Lodging — 2.2% 
Boyd Gaming Corp.      23,813   1,592,375
Las Vegas Sands Corp.      31,578   1,732,369
Marriott International, Inc., Class A      14,026   2,854,431
Wyndham Hotels & Resorts, Inc.      93,432   7,043,839
      13,223,014
Machinery-Construction & Mining — 0.5% 
BWX Technologies, Inc.      37,731   2,783,039
Machinery-Diversified — 3.0% 
Dover Corp.      33,235   4,928,751
Flowserve Corp.      68,385   2,705,994
Middleby Corp.      36,428   5,303,553
Otis Worldwide Corp.      33,386   2,856,172
Zurn Elkay Water Solutions Corp.      97,156   2,877,761
      18,672,231
Media — 0.3% 
Nexstar Media Group, Inc.       4,069     662,433
TEGNA, Inc.      62,870   1,039,241
      1,701,674
Metal Fabricate/Hardware — 0.2% 
Advanced Drainage Systems, Inc.      10,726   1,374,644
Miscellaneous Manufacturing — 3.5% 
Eaton Corp. PLC      19,227   4,429,324
Fabrinet      13,023   2,093,708
ITT, Inc.      13,825   1,414,021
John Bean Technologies Corp.      25,419   2,793,802
Parker-Hannifin Corp.      14,595   6,084,655
Textron, Inc.      60,745   4,720,494
      21,536,004
Office/Business Equipment — 0.2% 
Zebra Technologies Corp., Class A       4,645   1,277,422
Oil & Gas — 4.8% 
Chord Energy Corp.      15,672    2,531,028
 
118  

VALIC Company I Mid Cap Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Oil & Gas (continued) 
Coterra Energy, Inc.      97,461 $  2,747,425
Devon Energy Corp.      38,455   1,964,666
Diamondback Energy, Inc.      34,670   5,262,213
Marathon Oil Corp.     118,448   3,121,105
Marathon Petroleum Corp.      14,866   2,122,419
Ovintiv, Inc.      85,908   4,034,240
Pioneer Natural Resources Co.       9,421   2,241,538
Seadrill, Ltd.      45,859   2,231,040
Valero Energy Corp.       9,084   1,180,012
Weatherford International PLC      22,262   1,970,632
      29,406,318
Oil & Gas Services — 1.3% 
Halliburton Co.     129,863   5,015,309
Schlumberger NV      49,942   2,944,580
      7,959,889
Packaging & Containers — 0.3% 
Packaging Corp. of America      10,408   1,551,833
Pharmaceuticals — 0.9% 
Cencora, Inc.      30,718   5,405,754
Private Equity — 0.4% 
Ares Management Corp., Class A      24,387   2,522,591
REITS — 7.1% 
American Homes 4 Rent, Class A      46,199   1,665,012
Americold Realty Trust, Inc.      48,861   1,644,173
Brixmor Property Group, Inc.     209,629   4,607,645
EastGroup Properties, Inc.       6,856   1,231,543
Equity LifeStyle Properties, Inc.      15,533   1,040,090
Equity Residential      33,771   2,189,374
Essential Properties Realty Trust, Inc.     136,626   3,281,757
Essex Property Trust, Inc.       8,749   2,085,674
First Industrial Realty Trust, Inc.      57,759   3,000,002
Gaming & Leisure Properties, Inc.      80,610   3,820,914
Healthpeak Properties, Inc.      77,950   1,604,211
Lamar Advertising Co., Class A      27,945   2,549,143
NETSTREIT Corp.     155,327   2,629,686
Regency Centers Corp.      51,776   3,220,467
Rexford Industrial Realty, Inc.      21,967   1,174,575
Simon Property Group, Inc.      26,109   2,963,110
VICI Properties, Inc.      58,670   1,809,383
Welltower, Inc.      33,154   2,747,804
      43,264,563
Retail — 2.6% 
AutoZone, Inc.       2,152   5,447,422
Burlington Stores, Inc.       8,647   1,403,062
Darden Restaurants, Inc.      12,976   2,017,898
Denny's Corp.     212,571   2,025,802
Domino's Pizza, Inc.       3,071   1,189,705
Ross Stores, Inc.      31,718   3,863,570
      15,947,459
Savings & Loans — 1.1% 
New York Community Bancorp, Inc.     533,198   6,547,671
Semiconductors — 4.1% 
Cirrus Logic, Inc.      37,973   3,115,305
KLA Corp.       2,540   1,274,750
Microchip Technology, Inc.      24,535   2,007,944
MKS Instruments, Inc.      50,633   5,074,946
NXP Semiconductors NV       7,971    1,639,794
Security Description   Shares or
Principal
Amount
  Value
 
Semiconductors (continued) 
Onto Innovation, Inc.       9,393   $  1,305,439
Qorvo, Inc.      17,395     1,868,049
Silicon Motion Technology Corp. ADR      51,672     2,806,306
Synaptics, Inc.      34,849     3,050,682
Teradyne, Inc.      26,443     2,852,406
        24,995,621
Software — 1.7% 
Fidelity National Information Services, Inc.      18,774     1,048,716
Progress Software Corp.      39,172     2,383,224
SS&C Technologies Holdings, Inc.      47,434     2,723,660
Take-Two Interactive Software, Inc.      16,554     2,353,979
ZoomInfo Technologies, Inc.      93,047     1,676,707
        10,186,286
Transportation — 2.2% 
Expeditors International of Washington, Inc.      26,565     3,100,401
Knight-Swift Transportation Holdings, Inc.      85,203     4,670,829
Landstar System, Inc.      14,594     2,770,087
Norfolk Southern Corp.      14,601     2,993,351
        13,534,668
Total Long-Term Investment Securities
(cost $549,424,729)
      606,559,624
SHORT-TERM INVESTMENTS — 0.8% 
Unaffiliated Investment Companies — 0.8% 
State Street Institutional Liquid Reserves Fund, Administration Class
5.20%(1)
(cost $5,064,643)
  5,063,571     5,065,091
REPURCHASE AGREEMENTS — 0.1% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $409,828 and collateralized by $409,900 of United States Treasury Note, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $418,030
(cost $409,810)
  $  409,810       409,810
TOTAL INVESTMENTS
(cost $554,899,182)
  100.1%   612,034,525
Other assets less liabilities   (0.1)   (386,288)
NET ASSETS   100.0%   $611,648,237
Non-income producing security
# The security or a portion thereof is out on loan.
At August 31, 2023, the Fund had loaned securities with a total value of $1,653,470.  This was secured by collateral of $1,720,536 received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows: 
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
Government National Mtg. Assoc. 1.75% 11/20/2051 $8,857
United States Treasury Bills 0.00% 09/19/2023 to 01/25/2024 111,359
United States Treasury Notes/Bonds 0.13% to 6.25% 10/31/2023 to 05/15/2053 1,600,320
(1) The rate shown is the 7-day yield as of August 31, 2023.
ADR—American Depositary Receipt
 
119

VALIC Company I Mid Cap Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $606,559,624   $  $—   $606,559,624
Short-Term Investments 5,065,091       5,065,091
Repurchase Agreements   409,810     409,810
Total Investments at Value $611,624,715   $409,810   $—   $612,034,525
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
See Notes to Portfolio of Investments
120  

VALIC Company I Moderate Growth Lifestyle Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
AFFILIATED INVESTMENT COMPANIES#(1) — 99.0% 
Domestic Fixed Income Investment Companies — 45.3% 
VALIC Company I Core Bond Fund
(cost $491,609,807)
  47,171,503 $451,431,290
Domestic Equity Investment Companies — 40.0% 
VALIC Company I Small Cap Growth Fund    2,391,142  34,336,799
VALIC Company I Small Cap Value Fund    3,038,471  34,182,801
VALIC Company I Stock Index Fund    4,155,423 200,166,717
VALIC Company I Systematic Growth Fund    4,783,039  74,519,741
VALIC Company I Systematic Value Fund    4,406,898  55,526,919
Total Domestic Equity Investment Companies
(cost $392,964,021)
    398,732,977
International Equity Investment Companies — 13.7% 
VALIC Company I International Equities Index Fund
(cost $120,406,113)
  18,230,934 137,278,933
Total Long-Term Investment Securities
(cost $1,004,979,941)
    987,443,200
Security Description   Shares or
Principal
Amount
  Value
SHORT-TERM INVESTMENTS — 1.0% 
Unaffiliated Investment Companies — 1.0% 
State Street Institutional U.S. Government Money Market Fund, Premier Class
5.28%(2)
(cost $10,161,014)
  10,161,014   $ 10,161,014
TOTAL INVESTMENTS
(cost $1,015,140,955)
  100.0%   997,604,214
Other assets less liabilities   (0.0)   (350,785)
NET ASSETS   100.0%   $997,253,429
# The VALIC Company I Moderate Growth Lifestyle Fund invests in various VALIC Company I Funds. Additional information on the underlying funds including such funds' prospectuses and shareholder reports are available at our website, www.corebridgefinancial.com/rs.
(1) See Note 3.
(2) The rate shown is the 7-day yield as of August 31, 2023.
 
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Affiliated Investment Companies $987,443,200   $—   $—   $987,443,200
Short-Term Investments 10,161,014       10,161,014
Total Investments at Value $997,604,214   $—   $—   $997,604,214
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
See Notes to Portfolio of Investments
121

VALIC Company I Nasdaq-100 Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 99.2% 
Advertising — 0.3% 
Trade Desk, Inc., Class A      30,242 $  2,420,267
Auto Manufacturers — 3.6% 
Lucid Group, Inc.#     154,509     970,317
PACCAR, Inc.      35,529   2,923,681
Tesla, Inc.     100,477  25,931,104
      29,825,102
Beverages — 2.9% 
Keurig Dr Pepper, Inc.      95,439   3,211,522
Monster Beverage Corp.      71,163   4,085,468
PepsiCo, Inc.      93,665  16,664,877
      23,961,867
Biotechnology — 4.6% 
Amgen, Inc.      36,327   9,312,063
Biogen, Inc.       9,841   2,631,090
Gilead Sciences, Inc.      84,804   6,485,810
Illumina, Inc.      10,749   1,775,950
Moderna, Inc.      25,917   2,930,435
Regeneron Pharmaceuticals, Inc.       7,335   6,062,304
Seagen, Inc.      12,748   2,626,980
Vertex Pharmaceuticals, Inc.      17,510   6,099,434
      37,924,066
Commercial Services — 2.4% 
Automatic Data Processing, Inc.      28,087   7,151,231
Cintas Corp.       6,914   3,485,831
CoStar Group, Inc.      27,775   2,277,272
PayPal Holdings, Inc.      75,854   4,741,634
Verisk Analytics, Inc.       9,844   2,384,414
      20,040,382
Computers — 12.4% 
Apple, Inc.     498,620  93,675,740
Cognizant Technology Solutions Corp., Class A      34,502   2,470,688
Crowdstrike Holdings, Inc., Class A      15,237   2,484,088
Fortinet, Inc.      53,383   3,214,191
Zscaler, Inc.       9,866   1,539,589
      103,384,296
Distribution/Wholesale — 0.6% 
Copart, Inc.      64,920   2,910,364
Fastenal Co.      38,824   2,235,486
      5,145,850
Electric — 1.2% 
American Electric Power Co., Inc.      34,999   2,743,922
Constellation Energy Corp.      22,056   2,297,353
Exelon Corp.      67,618   2,712,834
Xcel Energy, Inc.      37,417   2,137,633
      9,891,742
Electronics — 1.0% 
Honeywell International, Inc.      45,257   8,505,601
Energy-Alternate Sources — 0.1% 
Enphase Energy, Inc.       9,317   1,178,880
Food — 1.1% 
Kraft Heinz Co.      83,436   2,760,897
Mondelez International, Inc., Class A      92,588   6,597,821
      9,358,718
Security Description   Shares or
Principal
Amount
Value
 
Healthcare-Products — 1.7% 
Align Technology, Inc.       5,202 $  1,925,468
GE HealthCare Technologies, Inc.      30,912   2,177,750
IDEXX Laboratories, Inc.       5,643   2,885,887
Intuitive Surgical, Inc.      23,823   7,448,976
      14,438,081
Internet — 19.9% 
Airbnb, Inc., Class A      28,038   3,688,399
Alphabet, Inc., Class A     188,337  25,645,849
Alphabet, Inc., Class C     186,213  25,576,355
Amazon.com, Inc.     325,266  44,889,961
Booking Holdings, Inc.       2,511   7,796,730
eBay, Inc.      36,355   1,627,977
JD.com, Inc. ADR      30,867   1,025,093
MercadoLibre, Inc.       3,413   4,683,865
Meta Platforms, Inc., Class A      98,299  29,085,691
Netflix, Inc.      30,223  13,107,111
Palo Alto Networks, Inc.      20,794   5,059,180
PDD Holdings, Inc. ADR      41,514   4,108,641
      166,294,852
Lodging — 0.5% 
Marriott International, Inc., Class A      20,719   4,216,524
Media — 2.5% 
Charter Communications, Inc., Class A      10,237   4,485,035
Comcast Corp., Class A     282,784  13,222,980
Sirius XM Holdings, Inc.     263,001   1,157,204
Warner Bros. Discovery, Inc.     165,624   2,176,299
      21,041,518
Oil & Gas — 0.2% 
Diamondback Energy, Inc.      12,312   1,868,715
Oil & Gas Services — 0.3% 
Baker Hughes Co.      68,828   2,490,885
Pharmaceuticals — 0.7% 
AstraZeneca PLC ADR      40,242   2,729,212
Dexcom, Inc.      26,354   2,661,227
      5,390,439
Retail — 4.5% 
Costco Wholesale Corp.      30,151  16,561,341
Dollar Tree, Inc.      14,983   1,833,320
Lululemon Athletica, Inc.       8,308   3,167,508
O'Reilly Automotive, Inc.       4,139   3,889,418
Ross Stores, Inc.      23,255   2,832,692
Starbucks Corp.      77,940   7,594,474
Walgreens Boots Alliance, Inc.      58,659   1,484,659
      37,363,412
Semiconductors — 18.6% 
Advanced Micro Devices, Inc.     109,484  11,574,649
Analog Devices, Inc.      34,090   6,196,880
Applied Materials, Inc.      57,092   8,721,374
ASML Holding NV       5,967   3,941,383
Broadcom, Inc.      28,345  26,159,317
GlobalFoundries, Inc.#      37,240   2,057,510
Intel Corp.     283,574   9,964,790
KLA Corp.       9,328   4,681,443
Lam Research Corp.       9,133   6,415,019
Marvell Technology, Inc.      58,469   3,405,819
Microchip Technology, Inc.      37,079   3,034,545
Micron Technology, Inc.      74,405   5,203,886
NVIDIA Corp.      78,302   38,645,952
 
122  

VALIC Company I Nasdaq-100 Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Semiconductors (continued) 
NXP Semiconductors NV      17,659 $  3,632,809
ON Semiconductor Corp.      29,362   2,890,983
QUALCOMM, Inc.      75,738   8,674,273
Texas Instruments, Inc.      61,709  10,370,815
      155,571,447
Software — 16.0% 
Adobe, Inc.      31,186  17,443,577
ANSYS, Inc.       5,892   1,878,782
Atlassian Corp., Class A      10,326   2,107,124
Autodesk, Inc.      14,560   3,231,446
Cadence Design Systems, Inc.      18,539   4,457,517
Datadog, Inc., Class A      20,142   1,943,300
Electronic Arts, Inc.      18,541   2,224,549
Intuit, Inc.      19,040  10,316,062
Microsoft Corp.     235,715  77,257,949
Paychex, Inc.      24,510   2,995,857
Synopsys, Inc.      10,345   4,747,217
Workday, Inc., Class A      14,005   3,424,223
Zoom Video Communications, Inc., Class A      17,056   1,211,488
      133,239,091
Telecommunications — 3.2% 
Cisco Systems, Inc.     277,051  15,888,875
T-Mobile US, Inc.      81,577  11,114,866
      27,003,741
Transportation — 0.9% 
CSX Corp.     138,222   4,174,305
Old Dominion Freight Line, Inc.       7,455   3,186,043
      7,360,348
Total Long-Term Investment Securities
(cost $402,503,091)
    827,915,824
SHORT-TERM INVESTMENTS — 0.6% 
Unaffiliated Investment Companies — 0.2% 
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(1)(2)
  1,695,349   1,695,349
Security Description   Shares or
Principal
Amount
  Value
 
U.S. Government — 0.4% 
United States Treasury Bills        
5.20%, 09/05/2023(3)   $3,500,000   $  3,497,969
Total Short-Term Investments
(cost $5,193,329)
      5,193,318
REPURCHASE AGREEMENTS — 0.3% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $2,213,827 and collateralized by $2,214,100 of United States Treasury Notes, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $2,258,013
(cost $2,213,728)
  2,213,728     2,213,728
TOTAL INVESTMENTS
(cost $409,910,148)
  100.1%   835,322,870
Other assets less liabilities   (0.1)   (823,641)
NET ASSETS   100.0%   $834,499,229
Non-income producing security
# The security or a portion thereof is out on loan.
(1) The rate shown is the 7-day yield as of August 31, 2023.
(2) At August 31, 2023, the Fund had loaned securities with a total value of $2,590,910. This was secured by collateral of $1,695,349, which was received in cash and subsequently invested in short-term investments currently valued at $1,695,349 as reported in the Portfolio of Investments. Additional collateral of $952,166 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
United States Treasury Bills 0.00% 09/19/2023 to 01/25/2024 $100,774
United States Treasury Notes/Bonds 0.13% to 6.25% 11/15/2023 to 05/15/2053 851,392
(3) The security or a portion thereof was pledged as collateral to cover margin requirements for open futures contracts.
ADR—American Depositary Receipt
 
Futures Contracts

Number
of
Contracts
Type Description Expiration
Month
Notional
Basis*
Notional
Value*
Unrealized
Appreciation
23 Long NASDAQ 100 E-Mini Index September 2023 $6,950,353 $7,147,710 $197,357
* Notional basis refers to the contractual amount agreed upon at inception of the open contract; notional value represents the current value of the open contract.
123

VALIC Company I Nasdaq-100 Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $827,915,824   $  $—   $827,915,824
Short-Term Investments:              
U.S. Government   3,497,969     3,497,969
Other Short-Term Investments 1,695,349       1,695,349
Repurchase Agreements   2,213,728     2,213,728
Total Investments at Value $829,611,173   $5,711,697   $—   $835,322,870
Other Financial Instruments:              
Futures Contracts $197,357   $  $—   $197,357
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Amounts represent unrealized appreciation/depreciation as of the end of the reporting period.
See Notes to Portfolio of Investments
124  

VALIC Company I Science & Technology Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 98.4% 
Advertising — 0.5% 
Trade Desk, Inc., Class A     152,285 $   12,187,368
Auto Manufacturers — 1.0% 
Tesla, Inc.      91,602    23,640,644
Biotechnology — 0.0% 
Ginkgo Bioworks, Inc., Earnout Shares 15.00(1)      38,526        17,337
Commercial Services — 2.7% 
Adyen NV*       1,500     1,256,491
Block, Inc.     234,030    13,491,829
Equifax, Inc.      14,798     3,058,747
Global Payments, Inc.      87,309    11,061,177
GMO Payment Gateway, Inc.      74,100     4,699,782
RELX PLC     188,939     6,170,386
S&P Global, Inc.      14,313     5,594,379
Toast, Inc., Class A     189,480     4,200,772
WEX, Inc.      65,375    12,825,268
      62,358,831
Computers — 7.3% 
Apple, Inc.     724,496   136,111,063
Crowdstrike Holdings, Inc., Class A     111,863    18,237,025
Quanta Computer, Inc.     527,000     4,194,951
Zscaler, Inc.      47,335     7,386,627
      165,929,666
Diversified Financial Services — 2.6% 
Mastercard, Inc., Class A      31,920    13,171,469
Visa, Inc., Class A     181,984    44,709,829
      57,881,298
E-Commerce/Services — 0.0% 
Maplebear, Inc. (dba Instacart)
Non-Voting(1)(2)
        523        19,754
Maplebear, Inc. (dba Instacart)
Voting(1)(2)
     10,016       378,304
      398,058
Electronics — 2.6% 
Altium, Ltd.     123,770     3,882,326
E Ink Holdings, Inc.   1,242,000     7,117,423
Flex, Ltd.   1,286,145    35,484,740
Hoya Corp.      77,000     8,549,675
NEXTracker, Inc., Class A      88,855     3,742,573
      58,776,737
Energy-Alternate Sources — 0.1% 
First Solar, Inc.      15,464     2,924,552
Entertainment — 0.2% 
Warner Music Group Corp., Class A     148,538     4,946,315
Entertainment Software — 0.1% 
Epic Games, Inc.(1)(2)       3,719     2,545,395
Healthcare-Services — 0.0% 
Verily Life Sciences LLC
Series B(1)(2)
      6,986     1,055,585
Home Furnishings — 0.2% 
Sony Group Corp.      45,200     3,773,009
Internet — 23.8% 
Airbnb, Inc., Class A      42,023     5,528,126
Alphabet, Inc., Class A     647,026    88,105,530
Alphabet, Inc., Class C     658,215     90,405,830
Security Description   Shares or
Principal
Amount
Value
 
Internet (continued) 
Amazon.com, Inc.     521,053 $   71,910,524
Booking Holdings, Inc.       1,690     5,247,501
Coupang, Inc.     208,774     3,962,530
GoDaddy, Inc., Class A      63,184     4,581,472
MercadoLibre, Inc.      20,484    28,111,422
Meta Platforms, Inc., Class A     332,865    98,491,425
Netflix, Inc.      29,779    12,914,557
Okta, Inc.     151,334    12,637,902
Palo Alto Networks, Inc.     119,916    29,175,563
Shopify, Inc., Class A      72,032     4,789,408
Shopify, Inc., Class A (TSX)#     317,115    21,096,409
Spotify Technology SA      31,913     4,913,645
Squarespace, Inc., Class A     202,104     6,093,436
Trainline PLC*   1,994,660     5,877,416
Trip.com Group, Ltd.     136,950     5,403,014
Trip.com Group, Ltd. ADR     110,248     4,333,849
Uber Technologies, Inc.     656,237    30,994,073
VeriSign, Inc.      25,125     5,220,724
      539,794,356
Machinery-Diversified — 0.1% 
Keyence Corp.       6,300     2,620,544
Media — 0.2% 
Thomson Reuters Corp.      32,345     4,164,969
Pharmaceuticals — 0.0% 
Leap Therapeutics, Inc.(2)       2,500         4,725
Semiconductors — 27.1% 
Advanced Micro Devices, Inc.     640,663    67,730,892
Aixtron SE     155,113     5,903,710
Analog Devices, Inc.      20,968     3,811,563
Applied Materials, Inc.     146,178    22,330,151
ASM International NV      23,101    11,152,074
ASML Holding NV      12,275     8,108,006
ASML Holding NV (XAMS)      31,378    20,683,646
ASPEED Technology, Inc.      46,000     3,899,958
Broadcom, Inc.      28,070    25,905,522
Hamamatsu Photonics KK     128,200     5,944,103
Intel Corp.     616,085    21,649,227
KLA Corp.      34,219    17,173,490
Lam Research Corp.      38,463    27,016,411
Marvell Technology, Inc.     597,885    34,826,801
Micron Technology, Inc.     612,049    42,806,707
Monolithic Power Systems, Inc.      35,164    18,327,828
NVIDIA Corp.     299,533   147,834,512
NXP Semiconductors NV      47,745     9,822,101
ON Semiconductor Corp.     295,692    29,113,834
Renesas Electronics Corp.     259,100     4,363,893
Rohm Co., Ltd.      74,700     6,248,318
Samsung Electronics Co., Ltd.     279,312    14,137,297
SOITEC      48,442     8,874,624
STMicroelectronics NV     105,056     4,974,209
Taiwan Semiconductor Manufacturing Co., Ltd. ADR     164,275    15,371,212
Texas Instruments, Inc.     178,646    30,023,247
Wolfspeed, Inc.#     142,196     6,799,813
      614,833,149
Software — 27.0% 
Adobe, Inc.      63,505    35,520,887
ANSYS, Inc.      22,844     7,284,266
Aspen Technology, Inc.      22,607     4,385,758
Autodesk, Inc.      24,901     5,526,528
Cadence Design Systems, Inc.      99,901     24,020,196
 
125

VALIC Company I Science & Technology Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Software (continued) 
Ceridian HCM Holding, Inc.     141,933 $   10,292,981
Cloudflare, Inc., Class A     128,610     8,363,508
Constellation Software, Inc.       3,500     7,189,247
Datadog, Inc., Class A     180,665    17,430,559
Fair Isaac Corp.       9,584     8,669,591
Five9, Inc.      49,284     3,566,683
HashiCorp, Inc., Class A     163,986     4,781,832
HubSpot, Inc.      55,410    30,282,673
Intuit, Inc.      27,078    14,671,131
Microsoft Corp.     623,069   204,217,095
MongoDB, Inc.      55,463    21,148,042
Oracle Corp.     261,807    31,518,945
Salesforce, Inc.     243,672    53,963,601
SAP SE      22,459     3,137,209
ServiceNow, Inc.      93,363    54,974,935
Snowflake, Inc., Class A     124,029    19,453,949
Take-Two Interactive Software, Inc.      24,515     3,486,033
Twilio, Inc., Class A     189,905    12,098,848
Veeva Systems, Inc., Class A      19,833     4,139,147
Workday, Inc., Class A      76,705    18,754,372
Xero, Ltd.      49,088     3,979,002
      612,857,018
Telecommunications — 2.9% 
Accton Technology Corp.     535,000     8,030,082
Arista Networks, Inc.     157,135    30,677,466
Harmonic, Inc.     351,364     3,752,567
Motorola Solutions, Inc.      52,715    14,948,393
Nokia Oyj ADR#   1,905,790     7,604,102
      65,012,610
Total Common Stocks
(cost $1,846,004,221)
    2,235,722,166
CONVERTIBLE PREFERRED STOCKS — 1.0% 
Automotive - Cars & Lt. Trucks — 0.2% 
GM Cruise Holdings LLC
Class F(1)(2)
     89,700     1,615,497
Waymo LLC
Series A-2(1)(2)
     21,059     1,175,934
Waymo LLC
Series B-2(1)(2)
     10,055       573,437
      3,364,868
Biotechnology — 0.1% 
Freenome Holdings, Inc.
Series B(1)(2)
     94,602       674,512
Freenome Holdings, Inc.
Series C(1)(2)
     53,807       422,923
Insitro, Inc.
Series B(1)(2)
     52,029       633,713
PrognomIQ, Inc.
Series A-4(1)(2)
     35,670        63,493
PrognomIQ, Inc.
Series A-5(1)(2)
     30,468        54,233
PrognomIQ, Inc.
Series B(1)(2)
    216,177       529,634
      2,378,508
E-Commerce/Services — 0.1% 
Maplebear, Inc. (dba Instacart)
Series G(1)(2)
     20,650        779,951
Security Description   Shares or
Principal
Amount
Value
 
E-Commerce/Services (continued) 
Rappi, Inc.
Series E(1)(2)
     39,184 $    1,424,142
Rappi, Inc.
Series F(1)(2)
     14,609       530,964
      2,735,057
Healthcare-Services — 0.1% 
Caris Life Sciences, Inc.
Series C(1)(2)
    217,911     1,024,182
Medical - Biomedical/Gene — 0.2% 
National Resilience, Inc.
Series B(1)(2)
     69,360     4,202,522
Medical Imaging Systems — 0.0% 
RefleXion Medical, Inc.
Series C(1)(2)
    160,251       240,376
RefleXion Medical, Inc.
Series D(1)(2)
     67,040       100,560
      340,936
Medical Information Systems — 0.0% 
Kardium, Inc.
Series D-5(1)(2)
    542,402       562,970
Medical Labs & Testing Services — 0.3% 
Tempus Labs, Inc.
Series D(1)(2)
     60,677     3,553,245
Tempus Labs, Inc.
Series E(1)(2)
     39,722     2,326,120
Tempus Labs, Inc.
Series F(1)(2)
     10,551       617,867
Tempus Labs, Inc.
Series G(1)(2)
      6,661       390,068
      6,887,300
Retirement/Aged Care — 0.0% 
Honor Tech, Inc.
Series D(1)(2)
    180,527       270,791
Software — 0.0% 
Mesosphere, Inc.
Series D(1)(2)
    151,129       166,242
Therapeutics — 0.0% 
Color Health, Inc.
Series D-1(1)(2)
     26,210       235,104
Total Convertible Preferred Stocks
(cost $17,272,431)
    22,168,480
ESCROWS AND LITIGATION TRUSTS — 0.0% 
Exact Sciences CMO Milestone
(1)
    216,096       121,014
Exact Sciences FDA Milestone
(1)
    108,048        71,311
Acerta Pharma B.V. (Escrow Shares)
(1)
    493,535       468,858
Total Escrows and Litigation Trusts
(cost $493,535)
    661,183
WARRANTS — 0.0% 
Software — 0.0% 
Constellation Software, Inc.
Expires 03/31/2040(1)
(cost $0)
CAD     3,500             0
 
126  

VALIC Company I Science & Technology Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
RIGHTS — 0.0% 
Software — 0.0% 
Constellation Software, Inc.
Expires 09/29/2023
(cost $1,551)
CAD     3,500   $        1,943
Total Long-Term Investment Securities
(cost $1,863,771,738)
      2,258,553,772
SHORT-TERM INVESTMENTS — 0.2% 
Unaffiliated Investment Companies — 0.2% 
State Street Institutional U.S. Government Money Market Fund, Premier Class
5.28%(3)
  4,195,808       4,195,809
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(3)(4)
     65,000          65,000
Total Short-Term Investments
(cost $4,260,808)
      4,260,809
REPURCHASE AGREEMENTS — 0.1% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $3,229,047 and collateralized by $3,229,500 of United States Treasury Notes, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $3,293,552
(cost $3,228,903)
  $3,228,903       3,228,903
TOTAL INVESTMENTS
(cost $1,871,261,449)
  99.7%   2,266,043,484
Other assets less liabilities   0.3   6,146,109
NET ASSETS   100.0%   $2,272,189,593
Non-income producing security
* Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in transactions exempt from registration, normally to qualified institutional buyers. The Science & Technology Fund has no right to demand registration of these securities. At August 31, 2023, the aggregate value of these securities was $7,133,907 representing 0.3% of net assets.
# The security or a portion thereof is out on loan.
(1) Securities classified as Level 3 (see Note 1).
(2) Denotes a restricted security that: (a) cannot be offered for public sale without first being registered, or being able to take advantage of an exemption from registration, under the Securities Act of 1933, as amended (the “1933 Act”); (b) is subject to a contractual restriction on public sales; or (c) is otherwise subject to a restriction on sales by operation of applicable law.  Restricted securities are valued pursuant to Note 1.  Certain restricted securities held by the Fund may not be sold except in exempt transactions or in a public offering registered under the 1933 Act. The Fund has no right to demand registration of these securities. The risk of investing in certain restricted securities is greater than the risk of investing in the securities of widely held, publicly traded companies. To the extent applicable, lack of a secondary market and resale restrictions may result in the inability of a Fund to sell a security at a fair price and may substantially delay the sale of the security. In addition, certain restricted securities may exhibit greater price volatility than securities for which secondary markets exist. As of August 31, 2023, the Fund held the following restricted securities:
Description   Acquisition
Date
  Shares or
Principal
Amount
  Acquisition
Cost
  Value   Value
Per Share
  % of
Net Assets
Common Stocks
Epic Games, Inc.                        
    06/18/2020   2,698   $1,553,204            
    03/29/2021   1,021   904,286            
        3,719   2,457,490   $2,545,395   $684.43   0.1%
Leap Therapeutics, Inc.   02/09/2023   2,500   31,850   4,725   1.89   0.0
Description   Acquisition
Date
  Shares or
Principal
Amount
  Acquisition
Cost
  Value   Value
Per Share
  % of
Net Assets
Common Stocks (continued)
Maplebear, Inc. (dba Instacart)
Non-Voting
  08/07/2020   523   $24,233   $19,754   $37.77   0.0%
Maplebear, Inc. (dba Instacart)
Voting
  08/07/2020   10,016   464,080   378,304   37.77   0.0
Verily Life Sciences LLC
Series B
  01/23/2019   6,986   861,094   1,055,585   151.10   0.0
Convertible Preferred Stocks
Caris Life Sciences, Inc.
Series C
  08/14/2020   217,911   601,434   1,024,182   4.70   0.1
Color Health, Inc.
Series D-1
  01/13/2020   26,210   543,971   235,104   8.97   0.0
Freenome Holdings, Inc.
Series B
  06/24/2019   94,602   431,111   674,512   7.13   0.1
Freenome Holdings, Inc.
Series C
  08/14/2020   53,807   355,842   422,923   7.86   0.0
GM Cruise Holdings LLC
Class F
  05/07/2019   89,700   1,637,025   1,615,497   18.01   0.1
Honor Tech, Inc.
Series D
  10/16/2020   180,527   434,723   270,791   1.50   0.0
Insitro, Inc.
Series B
  05/21/2020   52,029   324,177   633,713   12.18   0.0
Kardium, Inc.
Series D-5
  11/29/2018   542,402   525,533   562,970   1.04   0.0
Maplebear, Inc. (dba Instacart)
Series G
  07/02/2020   20,650   993,098   779,951   37.77   0.0
Mesosphere, Inc.
Series D
  05/04/2018   151,129   1,670,655   166,242   1.10   0.0
National Resilience, Inc.
Series B
  10/23/2020   69,360   947,458   4,202,522   60.59   0.2
PrognomIQ, Inc.
Series A-4
  11/15/2019   35,670   81,510   63,493   1.78   0.0
PrognomIQ, Inc.
Series A-5
  05/12/2020   30,468   69,623   54,233   1.78   0.0
PrognomIQ, Inc.
Series B
  09/11/2020   216,177   493,989   529,634   2.45   0.0
Rappi, Inc.
Series E
  09/08/2020   39,184   2,341,089   1,424,142   36.35   0.1
Rappi, Inc.
Series F
  07/08/2021   14,609   941,157   530,964   36.35   0.0
RefleXion Medical, Inc.
Series C
  04/03/2018   160,251   271,145   240,376   1.50   0.0
RefleXion Medical, Inc.
Series D
  04/04/2020   67,040   127,808   100,560   1.50   0.0
Tempus Labs, Inc.
Series D
  03/16/2018   60,677   568,780   3,553,245   58.56   0.2
Tempus Labs, Inc.
Series E
  08/23/2018   39,722   665,057   2,326,120   58.56   0.1
Tempus Labs, Inc.
Series F
  04/30/2019   10,551   261,239   617,867   58.56   0.0
Tempus Labs, Inc.
Series G
  02/06/2020   6,661   255,465   390,068   58.56   0.0
 
127

VALIC Company I Science & Technology Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Description   Acquisition
Date
  Shares or
Principal
Amount
  Acquisition
Cost
  Value   Value
Per Share
  % of
Net Assets
Convertible Preferred Stocks (continued)
Waymo LLC
Series A-2
  05/08/2020   21,059   $1,808,277   $1,175,934   $55.84   0.1%
Waymo LLC
Series B-2
  06/11/2021   10,055   922,265   573,437   57.03   0.0
                $26,172,243       1.1%**
** Amount represents the total value of the restricted securities divided by the net assets of the Fund and may not equal the sum of the individual percentages shown due to rounding.
(3) The rate shown is the 7-day yield as of August 31, 2023.
(4) At August 31, 2023, the Fund had loaned securities with a total value of $5,973,768. This was secured by collateral of $65,000, which was received in cash and subsequently invested in short-term investments currently valued at $65,000 as reported in the Portfolio of Investments. Additional collateral of $6,033,025 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
Government National Mtg. Assoc. 1.75% 11/20/2051 $67,369
United States Treasury Bills 0.00% 09/19/2023 to 01/25/2024 81,660
United States Treasury Notes/Bonds 0.13% to 6.25% 10/31/2023 to 05/15/2053 5,883,996
ADR—American Depositary Receipt
TSX—Toronto Stock Exchange
XAMS—Euronext Amsterdam Stock Exchange
CAD—Canadian Dollar
 
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks:              
Biotechnology $  $  $17,337   $17,337
E-Commerce/Services     398,058   398,058
Entertainment Software     2,545,395   2,545,395
Healthcare-Services     1,055,585   1,055,585
Pharmaceuticals   4,725     4,725
Other Industries 2,231,701,066       2,231,701,066
Convertible Preferred Stocks     22,168,480   22,168,480
Escrows and Litigation Trusts     661,183   661,183
Warrants     0   0
Rights 1,943       1,943
Short-Term Investments 4,260,809       4,260,809
Repurchase Agreements   3,228,903     3,228,903
Total Investments at Value $2,235,963,818   $3,233,628   $26,846,038   $2,266,043,484
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
128  

VALIC Company I Science & Technology Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a reconciliation of Level 3 assets for which significant unobservable inputs were used to determine fair value:
  Common Stocks   Convertible
Preferred Securities
  Escrows
and Litigation Trusts
  Warrants
Balance as of May 31, 2023 $4,081,098   $21,943,256   $664,425   $-
Accrued Discounts         -            -         -   -
Accrued Premiums         -            -         -   -
Realized Gain         -            -         -   -
Realized Loss         -     (196,373)         -   -
Change in unrealized appreciation(1)    13,750      848,463         -   -
Change in unrealized depreciation(1)   (78,473)     (372,629)    (3,242)   -
Net purchases         -            -         -   0
Net sales         -      (49,512)         -   -
Transfers into Level 3         -            -         -   -
Transfers out of Level 3(2)         -       (4,725)         -   -
Balance as of August 31, 2023 $4,016,375   $22,168,480   $661,183   $0
(1) The total change in unrealized appreciation (depreciation) attributable to Level 3 investments still held at August 31, 2023 includes:
  Common Stocks   Convertible
Preferred Securities
  Escrows
and Litigation Trusts
  Warrants
  ($64,723)   $400,428   ($3,242)   $0
Any differences between the change in appreciation (depreciation) in the Level 3 reconciliation and the total change in unrealized appreciation (depreciation) is attributable to securities sold/no longer held at August 31, 2023.
(2) Preferred Holdback Shares was converted Common Holdback Shares following a corporate action. Securities are now valued using Level 2 inputs.
129

VALIC Company I Science & Technology Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is quantitative information about Level 3 fair value measurements:
Description Fair Value at
August 31, 2023
Valuation
Technique(s)
Unobservable
Input (1)
Range
(weighted
average)(2)
Common Stock $2,545,395 Market Approach Weight Average of Secondary Transactions* $690.6500
      Revenue Multiple* 5.63x
    $398,058 Market Approach Secondary Transaction Price* $32.5000
      Gross Profit Multiple* 7.00x
      EBITDA Multiple* 30.75x
      GTV Multiple* 0.44x
  $1,055,585 Market Approach Revenue Multiple* 28.84x
     $17,337 Market Approach Term (years)* 3.07
      Volatility* 90%
Preferred Securities $4,202,522 Market Approach Market Transaction Price* $60.7300
    $974,649 Market Approach Market Transaction Price* $2.37-$18.29 ($12.72)
      Adjustment to Last Capital Raise* -33.40% to -35.00%(-34.44%)
    $562,970 Market Approach Market Transaction Price* $1.0158
      Volatility* 70.00%
      Term (years)* 3.00
  $1,744,795 Market Approach Adjustment to Last Capital Raise* -10.00% to -15.00% (-13.14%)
      Volatility* 70.00% - 75.00% (71.86%)
      Term (years)* 2.00-3.00 (2.37)
    $779,951 Market Approach Secondary Transaction Price* $32.5000
      Gross Profit Multiple* 7.00x
      EBITDA Multiple* 30.75x
      GTV Multiple* 0.44x
  $1,955,106 Market Approach Market Transaction Price* $64.4231
      GMV Multiple* 0.50x
      Gross Profit Multiple* 11.00x
      Sales Multiple* 2.65x
      Discount for Lack of Marketability 10.00%
  $1,749,371 Market Approach Adjustment to Last Capital Raise* -20.00%
      Sales Multiple* 2.7x
      Volatility* 80.00%
      Term (years)* 5.00
      Discount for Lack of Marketability 10.00%
  $7,122,404 Market Approach Revenue Multiple* 1.80x - 28.00x (27.14x)
  $1,024,182 Market Approach Revenue Multiple* 9.50x
      Projected Sales Multiple* 6.12x
      Discount for Lack of Marketability 10.0%
  $1,615,497 Market Approach Revenue Multiple* 3.75x
      Projected Sales Multiple* 2.7x
      Volatility* 85.00%
      Term (years)* 4.08
      Discount for Lack of Marketability 10.0%
    $270,791 Market Approach Gross Profit Multiple* 3.95x
      Revenue Multiple* 3.50x
      Sales Multiple* 1.60x
      Volatility* 75.00%
      Term (years)* 2.00
      Discount for Lack of Marketability 10.0%
    $166,242 Market Approach and Revenue Multiple* 1.63x
    Cost Approach Volatility* 60.00%
      Term (years)* 1.00
Escrow and Litigation Trusts   $661,183 Income Approach Estimated Future Cash Distribution* $0.56-$0.95 ($0.85)
Warrants         $0 Income Approach Estimated Future Cash Distribution* $0.00
130  

VALIC Company I Science & Technology Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

(1)  The significant unobservable inputs regarding the Level 3 securities in the table above are attributable to private securities and include assumptions made from non-public financial statements, private transactions, and/or market comparables.  For those unobservable inputs indicated with *, a significant increase (decrease) in any of those inputs in isolation may result in a significantly higher (lower) fair value measurement, while the remaining unobservable inputs have an inverse relationship.
(2)  The average represents the arithmetic average of the inputs and is weighted by the relative fair value or notional amount.
See Notes to Portfolio of Investments
131

VALIC Company I Small Cap Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 99.1% 
Aerospace/Defense — 1.3% 
Hexcel Corp.      92,921 $  6,811,109
Auto Parts & Equipment — 0.6% 
Fox Factory Holding Corp.      30,126   3,338,262
Banks — 0.7% 
Dogwood State Bank (Non-Voting Shares)(1)(2)       3,056      61,120
Dogwood State Bank (Voting Shares)(1)(2)       1,501      30,020
First Financial Bankshares, Inc.      63,169   1,814,214
Grasshopper Bancorp, Inc.(1)(2)       5,208      12,551
Pinnacle Financial Partners, Inc.      32,155   2,140,237
      4,058,142
Biotechnology — 9.0% 
Allogene Therapeutics, Inc.#     244,982     952,980
Amicus Therapeutics, Inc.     533,732   6,842,444
Apellis Pharmaceuticals, Inc.      38,190   1,612,000
Arrowhead Pharmaceuticals, Inc.     131,247   3,627,667
Atara Biotherapeutics, Inc.     335,765     490,217
Blueprint Medicines Corp.      86,061   4,291,002
Halozyme Therapeutics, Inc.     163,775   6,970,264
Intra-Cellular Therapies, Inc.      97,494   5,412,867
REGENXBIO, Inc.     159,972   2,831,504
Relay Therapeutics, Inc.     185,210   1,892,846
REVOLUTION Medicines, Inc.     195,571   6,643,547
Sage Therapeutics, Inc.      86,246   1,724,920
Twist Bioscience Corp.     196,773   4,327,038
Verve Therapeutics, Inc.#      87,430   1,125,224
      48,744,520
Building Materials — 2.8% 
AAON, Inc.      96,817   6,105,280
Simpson Manufacturing Co., Inc.      55,729   8,903,265
      15,008,545
Commercial Services — 2.8% 
Bright Horizons Family Solutions, Inc.      47,272   4,463,422
Flywire Corp.     104,172   3,602,268
Remitly Global, Inc.     288,668   7,260,000
      15,325,690
Computers — 6.3% 
CyberArk Software, Ltd.      43,672   7,251,299
ExlService Holdings, Inc.     160,789   4,699,863
Globant SA      13,873   2,836,612
KBR, Inc.     128,533   7,907,350
Super Micro Computer, Inc.      42,767  11,764,346
      34,459,470
Cosmetics/Personal Care — 1.1% 
e.l.f. Beauty, Inc.      44,527   6,176,340
Distribution/Wholesale — 2.8% 
Rush Enterprises, Inc., Class A     116,570   4,827,143
SiteOne Landscape Supply, Inc.      25,237   4,320,322
WESCO International, Inc.      36,854   5,964,820
      15,112,285
Diversified Financial Services — 2.5% 
Air Lease Corp.     103,491   4,218,293
Evercore, Inc., Class A      37,512   5,253,556
FTAI Aviation, Ltd.      70,983   2,623,532
Hamilton Lane, Inc., Class A      18,451   1,712,068
      13,807,449
Security Description   Shares or
Principal
Amount
Value
 
E-Commerce/Products — 0.0% 
Rover Group, Inc.(1)       8,145 $        377
Electrical Components & Equipment — 0.7% 
Littelfuse, Inc.      14,163   3,782,654
Electronics — 1.4% 
NEXTracker, Inc., Class A     113,878   4,796,541
Vicor Corp.      40,963   2,776,063
      7,572,604
Energy-Alternate Sources — 0.9% 
Shoals Technologies Group, Inc., Class A     251,463   4,948,792
Engineering & Construction — 1.8% 
EMCOR Group, Inc.      27,152   6,088,836
MasTec, Inc.      35,815   3,563,234
      9,652,070
Entertainment — 1.1% 
Marriott Vacations Worldwide Corp.      24,967   2,713,663
Six Flags Entertainment Corp.     133,084   3,055,609
      5,769,272
Environmental Control — 1.3% 
Casella Waste Systems, Inc., Class A      88,980   7,008,955
Food — 1.9% 
Chefs' Warehouse, Inc.      85,978   2,453,812
Grocery Outlet Holding Corp.     144,643   4,462,237
Performance Food Group Co.      58,110   3,610,374
      10,526,423
Hand/Machine Tools — 1.6% 
MSA Safety, Inc.      46,663   8,524,397
Healthcare-Products — 5.7% 
CONMED Corp.      65,274   7,275,440
Establishment Labs Holdings, Inc.      44,242   2,670,890
Inari Medical, Inc.      77,604   5,169,978
iRhythm Technologies, Inc.      61,997   6,408,630
Natera, Inc.     109,404   6,425,297
Shockwave Medical, Inc.      13,119   2,891,296
      30,841,531
Healthcare-Services — 1.7% 
Acadia Healthcare Co., Inc.      54,442   4,197,478
Accolade, Inc.     331,316   4,469,453
Personalis, Inc.     214,815     390,963
      9,057,894
Home Builders — 1.0% 
LCI Industries      24,548   3,075,373
Winnebago Industries, Inc.      38,656   2,506,842
      5,582,215
Home Furnishings — 0.7% 
Sonos, Inc.     261,825   3,607,949
Household Products/Wares — 0.5% 
Helen of Troy, Ltd.      24,461   3,006,746
Human Resources — 0.0% 
Checkr, Inc.(1)(2)       5,868      31,687
Leisure Time — 1.4% 
Life Time Group Holdings, Inc.     232,828   4,004,641
Planet Fitness, Inc., Class A      61,046   3,711,597
      7,716,238
 
132  

VALIC Company I Small Cap Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Lodging — 1.2% 
Boyd Gaming Corp.      95,792 $  6,405,611
Machinery-Construction & Mining — 0.8% 
Bloom Energy Corp., Class A#     305,874   4,585,051
Machinery-Diversified — 4.7% 
Applied Industrial Technologies, Inc.      69,812  10,776,879
Cactus, Inc., Class A     168,686   8,997,711
Chart Industries, Inc.#      30,914   5,582,450
      25,357,040
Metal Fabricate/Hardware — 1.9% 
Advanced Drainage Systems, Inc.      43,983   5,636,861
Valmont Industries, Inc.      17,510   4,438,785
      10,075,646
Miscellaneous Manufacturing — 2.1% 
ITT, Inc.      69,594   7,118,074
John Bean Technologies Corp.      41,337   4,543,350
      11,661,424
Oil & Gas — 2.4% 
Chord Energy Corp.      17,157   2,770,856
Matador Resources Co.     113,947   7,235,634
SM Energy Co.      67,843   2,870,437
      12,876,927
Oil & Gas Services — 1.3% 
TechnipFMC PLC     367,793   7,002,779
Pharmaceuticals — 3.2% 
Acelyrin, Inc.     133,195   3,373,830
Agios Pharmaceuticals, Inc.      99,631   2,732,878
Alector, Inc.     146,673     799,368
Arvinas, Inc.      96,230   2,714,648
Coherus Biosciences, Inc.#     333,052   1,775,167
Heron Therapeutics, Inc.#     539,292     884,439
Leap Therapeutics, Inc.(2)         100         189
PMV Pharmaceuticals, Inc.     153,969   1,111,656
Revance Therapeutics, Inc.     231,339   4,078,507
      17,470,682
REITS — 1.6% 
CubeSmart      76,790   3,202,911
Terreno Realty Corp.      89,664   5,459,641
      8,662,552
Retail — 6.0% 
Burlington Stores, Inc.      16,063   2,606,382
Cava Group, Inc.      30,401   1,350,109
Cava Group, Inc.(2)      19,818     880,117
Floor & Decor Holdings, Inc., Class A      40,511   4,038,947
Freshpet, Inc.      83,218   6,283,791
Lithia Motors, Inc.      18,060   5,562,841
Papa John's International, Inc.      55,927   4,233,674
Petco Health & Wellness Co., Inc.     432,855   2,203,232
Texas Roadhouse, Inc.      52,364   5,451,093
      32,610,186
Semiconductors — 3.6% 
Allegro MicroSystems, Inc.     101,506   3,882,604
Axcelis Technologies, Inc.       8,879   1,706,100
MKS Instruments, Inc.      30,808   3,087,886
Onto Innovation, Inc.       9,223    1,281,813
Security Description   Shares or
Principal
Amount
Value
 
Semiconductors (continued) 
Power Integrations, Inc.      40,123 $  3,371,134
Rambus, Inc.     112,580   6,357,393
      19,686,930
Software — 16.8% 
ACV Auctions, Inc., Class A     329,943   5,546,342
BlackLine, Inc.      70,193   4,215,792
Box, Inc., Class A     218,650   5,789,852
Clear Secure, Inc., Class A#     143,366   3,116,777
Confluent, Inc., Class A     180,779   5,981,977
DigitalOcean Holdings, Inc.#      82,458   2,230,489
Elastic NV      49,639   3,071,661
Envestnet, Inc.      87,189   4,763,135
Everbridge, Inc.      38,338     951,166
Evolent Health, Inc., Class A     284,185   7,249,559
Five9, Inc.      63,129   4,568,646
Gitlab, Inc., Class A      37,277   1,765,812
Global-e Online, Ltd.     125,392   4,969,285
HashiCorp, Inc., Class A     184,137   5,369,435
JFrog, Ltd.     113,080   3,244,265
New Relic, Inc.      51,945   4,421,039
Outset Medical, Inc.#     240,999   3,279,996
Paycor HCM, Inc.#      90,487   2,123,730
PowerSchool Holdings, Inc., Class A      62,504   1,382,588
SentinelOne, Inc., Class A     243,149   4,043,568
ServiceTitan, Inc.(1)(2)         186      13,561
Smartsheet, Inc., Class A     118,959   4,964,159
Vertex, Inc., Class A     188,101   4,211,581
Workiva, Inc.      35,795   4,003,671
      91,278,086
Telecommunications — 1.0% 
Ciena Corp.      44,704   2,234,306
Credo Technology Group Holding, Ltd.     205,817   3,387,748
NII Holdings, Inc.(1)       3,000           0
      5,622,054
Transportation — 0.9% 
Saia, Inc.      11,296   4,814,355
Total Common Stocks
(cost $577,464,390)
    538,580,939
CONVERTIBLE PREFERRED STOCKS — 0.3% 
Agriculture — 0.1% 
Farmer's Business Network, Inc.
Series D(1)(2)
      8,287     131,680
E-Commerce/Services — 0.0% 
Flexe, Inc.
Series C(1)(2)
      4,643      83,481
Electrical Components & Equipment — 0.0% 
Sila Nanotechnologies, Inc.
Series F(1)(2)
      2,608      52,890
Healthcare-Services — 0.0% 
Caris Life Sciences, Inc.
Series C(1)(2)
     17,921      84,229
Human Resources — 0.0% 
Checkr, Inc.
Series C(1)(2)
      8,994      48,567
Checkr, Inc.
Series D(1)(2)
     12,252      66,161
      114,728
 
133

VALIC Company I Small Cap Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
CONVERTIBLE PREFERRED STOCKS (continued) 
Industrial Automation/Robotics — 0.0% 
Nuro, Inc.
Series C(1)(2)
      6,234   $     38,651
Medical - Biomedical/Gene — 0.1% 
National Resilience, Inc.
Series B(1)(2)
      5,496       333,003
Medical Information Systems — 0.0% 
Kardium, Inc.
Series D(1)(2)
     58,843        62,251
Retirement/Aged Care — 0.0% 
Honor Tech, Inc.
Series D(1)(2)
     43,123        64,685
Seismic Data Collection — 0.0% 
Seismic Software, Inc.
Series E(1)(2)
     11,680        99,630
Seismic Software, Inc.
Series F(1)(2)
        875         7,464
        107,094
Software — 0.1% 
ServiceTitan, Inc.
Series A1(1)(2)
          4           292
ServiceTitan, Inc.
Series D(1)(2)
      1,942       141,591
        141,883
Transportation — 0.0% 
Convoy, Inc.
Series C(1)(2)
     12,094        34,468
Convoy, Inc.
Series D(1)(2)
      7,659        30,559
Haul Hub, Inc.(1)(2)       2,168        26,211
        91,238
Total Convertible Preferred Stocks
(cost $1,204,814)
      1,305,813
WARRANTS — 0.0% 
Banks — 0.0% 
Dogwood State Bank
Expires 10/12/2028(1)(2)
        456         4,747
Grasshopper Bancorp, Inc.
Expires 05/24/2024(1)(2)
      1,009           162
Total Warrants
(cost $0)
      4,909
Total Long-Term Investment Securities
(cost $578,669,204)
      539,891,661
SHORT-TERM INVESTMENTS — 0.3% 
Unaffiliated Investment Companies — 0.3% 
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(3)(4)
(cost $1,649,828)
  1,649,828     1,649,828
TOTAL INVESTMENTS
(cost $580,319,032)
  99.7%   541,541,489
Other assets less liabilities   0.3   1,793,311
NET ASSETS   100.0%   $543,334,800
Non-income producing security
# The security or a portion thereof is out on loan.
(1) Securities classified as Level 3 (see Note 1).
(2) Denotes a restricted security that: (a) cannot be offered for public sale without first being registered, or being able to take advantage of an exemption from registration, under the Securities Act of 1933, as amended (the “1933 Act”); (b) is subject to a contractual restriction on public sales; or (c) is otherwise subject to a restriction on sales by operation of applicable law.  Restricted securities are valued pursuant to Note 1.  Certain restricted securities held by the Fund may not be sold except in exempt transactions or in a public offering registered under the 1933 Act. The Fund has no right to demand registration of these securities. The risk of investing in certain restricted securities is greater than the risk of investing in the securities of widely held, publicly traded companies. To the extent applicable, lack of a secondary market and resale restrictions may result in the inability of a Fund to sell a security at a fair price and may substantially delay the sale of the security. In addition, certain restricted securities may exhibit greater price volatility than securities for which secondary markets exist. As of August 31, 2023, the Fund held the following restricted securities:
Description   Acquisition
Date
  Shares or
Principal
Amount
  Acquisition
Cost
  Value   Value
Per Share
  % of
Net Assets
Common Stocks
Cava Group, Inc.       19,818   $149,692   $880,117   $44.41   0.2%
Checkr, Inc.                        
    06/29/2018   2,100   8,603            
    12/02/2019   3,768   36,085            
        5,868   44,688   31,687   5.40   0.0
Dogwood State Bank (Non-Voting Shares)   05/06/2019   3,056   30,560   61,120   20.00   0.0
Dogwood State Bank (Voting Shares)   05/06/2019   1,501   15,010   30,020   20.00   0.0
Grasshopper Bancorp, Inc.                        
    10/12/2018   1,009   10,090            
    05/02/2019   4,199   41,990            
        5,208   52,080   12,551   2.41   0.0
Leap Therapeutics, Inc.   02/09/2023   100   1,347   189   1.89   0.0
ServiceTitan, Inc.   11/09/2018   186   4,891   13,561   72.91   0.0
Convertible Preferred Stocks
Caris Life Sciences, Inc.
Series C
  08/14/2020   17,921   49,462   84,229   4.70   0.0
Checkr, Inc.
Series C
  04/10/2018   8,994   40,926   48,567   5.40   0.0
Checkr, Inc.
Series D
  09/06/2019   12,252   123,527   66,161   5.40   0.0
Convoy, Inc.
Series C
  09/14/2018   12,094   85,875   34,468   2.85   0.0
Convoy, Inc.
Series D
  10/30/2019   7,659   103,703   30,559   3.99   0.0
Farmer's Business Network, Inc.
Series D
  11/03/2017   8,287   153,012   131,680   15.89   0.1
Flexe, Inc.
Series C
  11/18/2020   4,643   56,492   83,481   17.98   0.0
Haul Hub, Inc.   02/14/2020   2,168   31,609   26,211   12.09   0.0
Honor Tech, Inc.
Series D
  10/16/2020   43,123   103,844   64,685   1.50   0.0
Kardium, Inc.
Series D
  01/08/2021   58,843   59,775   62,251   1.06   0.0
National Resilience, Inc.
Series B
  10/23/2020   5,496   75,075   333,003   60.59   0.1
Nuro, Inc.
Series C
  10/30/2020   6,234   81,382   38,651   6.20   0.0
Seismic Software, Inc.
Series E
  12/13/2018   11,680   73,632   99,630   8.53   0.0
Seismic Software, Inc.
Series F
  09/25/2020   875   7,692   7,464   8.53   0.0
ServiceTitan, Inc.
Series A1
  11/09/2018   4   105   292   72.91   0.0
ServiceTitan, Inc.
Series D
  11/09/2018   1,942   51,064   141,591   72.91   0.1
Sila Nanotechnologies, Inc.
Series F
  01/07/2021   2,608   107,639   52,890   20.28   0.0
 
134  

VALIC Company I Small Cap Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Description   Acquisition
Date
  Shares or
Principal
Amount
  Acquisition
Cost
  Value   Value
Per Share
  % of
Net Assets
Warrants
Dogwood State Bank
Expires 10/12/2028
  05/06/2019   456   $0   $4,747   $10.41   0.0%
Grasshopper Bancorp, Inc.
Expires 05/24/2024
  10/12/2018   1,009   0   162   0.16   0.0
                $2,339,967       0.5%**
** Amount represents the total value of the restricted securities divided by the net assets of the Fund and may not equal the sum of the individual percentages shown due to rounding.
(3) The rate shown is the 7-day yield as of August 31, 2023.
(4) At August 31, 2023, the Fund had loaned securities with a total value of $19,756,851. This was secured by collateral of $1,649,828, which was received in cash and subsequently invested in short-term investments currently valued at $1,649,828 as reported in the Portfolio of Investments. Additional collateral of $18,803,898 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
Government National Mtg. Assoc. 1.75% 11/20/2051 $4,939
United States Treasury Bills 0.00% 09/19/2023 to 01/25/2024 809,348
United States Treasury Notes/Bonds 0.13% to 6.62% 10/15/2023 to 05/15/2053 17,989,611
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks:              
Banks $3,954,451   $  $103,691   $4,058,142
E-Commerce/Products     377   377
Human Resources     31,687   31,687
Pharmaceuticals 17,470,493   189     17,470,682
Software 91,264,525     13,561   91,278,086
Telecommunications 5,622,054     0   5,622,054
Other Industries 420,119,911       420,119,911
Convertible Preferred Stocks     1,305,813   1,305,813
Warrants     4,909   4,909
Short-Term Investments 1,649,828       1,649,828
Total Investments at Value $540,081,262   $189   $1,460,038   $541,541,489
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Level 3 investments in securities were not considered a significant portion of the Fund's net assets.
See Notes to Portfolio of Investments
135

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 96.3% 
Advertising — 0.1% 
Advantage Solutions, Inc.#       33,628 $     94,158
Boston Omaha Corp., Class A        8,939     158,041
Clear Channel Outdoor Holdings, Inc.      143,586     208,200
Quotient Technology, Inc.       35,033     139,782
Stagwell, Inc.       41,906     228,388
      828,569
Aerospace/Defense — 0.8% 
AAR Corp.       13,361     823,038
AeroVironment, Inc.        9,711     942,258
AerSale Corp.        9,910     146,767
Amprius Technologies, Inc.#        2,082      10,243
Archer Aviation, Inc., Class A#       59,063     411,669
Astronics Corp.       10,063     176,404
Barnes Group, Inc.       18,972     745,600
Ducommun, Inc.        4,353     197,931
Eve Holding, Inc.        7,006      51,704
Joby Aviation, Inc.#      107,939     804,146
Kaman Corp.       10,900     244,487
Kratos Defense & Security Solutions, Inc.       48,515     780,606
Leonardo DRS, Inc.       19,550     334,696
Moog, Inc., Class A       10,992   1,276,831
National Presto Industries, Inc.        1,997     149,476
Redwire Corp.        3,044       9,802
Rocket Lab USA, Inc.#      107,954     681,190
Triumph Group, Inc.       24,952     234,798
      8,021,646
Agriculture — 0.3% 
Alico, Inc.#        2,758      64,896
Andersons, Inc.       12,466     640,254
Benson Hill, Inc.#       67,047      42,836
Dole PLC       27,699     330,172
Fresh Del Monte Produce, Inc.       13,184     336,851
Ispire Technology, Inc.        1,057      10,517
Limoneira Co.        6,777     104,434
Tejon Ranch Co.        8,110     135,275
Turning Point Brands, Inc.        6,632     163,280
Universal Corp.        9,338     444,676
Vector Group, Ltd.       56,302     602,994
Vital Farms, Inc.       11,822     139,263
      3,015,448
Airlines — 0.3% 
Allegiant Travel Co.        6,121     543,790
Frontier Group Holdings, Inc.#       14,750      92,630
Hawaiian Holdings, Inc.       19,729     169,275
JetBlue Airways Corp.      128,087     758,275
SkyWest, Inc.       18,706     843,640
Spirit Airlines, Inc.       42,492     701,118
Sun Country Airlines Holdings, Inc.       14,601     217,409
      3,326,137
Apparel — 0.5% 
Fossil Group, Inc.       18,435      39,082
Hanesbrands, Inc.      136,315     715,654
Kontoor Brands, Inc.       21,552     986,866
Oxford Industries, Inc.        5,800     585,742
Rocky Brands, Inc.        2,701      47,997
Steven Madden, Ltd.       29,160   1,006,020
Torrid Holdings, Inc.        4,676      10,568
Urban Outfitters, Inc.       24,719      820,918
Security Description   Shares or
Principal
Amount
Value
 
Apparel (continued) 
Weyco Group, Inc.        2,298 $     58,714
Wolverine World Wide, Inc.       30,091     243,135
      4,514,696
Auto Manufacturers — 0.2% 
Blue Bird Corp.        6,800     148,580
Fisker, Inc.#       75,952     445,838
Hyliion Holdings Corp.#       57,141      69,712
Nikola Corp.#      229,828     271,197
REV Group, Inc.       12,259     166,477
TuSimple Holdings, Inc., Class A       63,937      79,921
Wabash National Corp.       18,376     414,379
Workhorse Group, Inc.       64,231      50,627
      1,646,731
Auto Parts & Equipment — 1.4% 
Adient PLC       37,010   1,449,682
Aeva Technologies, Inc.       30,762      28,996
American Axle & Manufacturing Holdings, Inc.       44,214     333,816
Aurora Innovation, Inc.#      117,732     373,210
Commercial Vehicle Group, Inc.       12,435     114,526
Cooper-Standard Holdings, Inc.        6,544      97,767
Dana, Inc.       50,499     813,539
Dorman Products, Inc.       10,201     841,685
Douglas Dynamics, Inc.        8,734     264,378
Fox Factory Holding Corp.       16,524   1,831,025
Gentherm, Inc.       12,823     772,073
Goodyear Tire & Rubber Co.      109,058   1,407,939
Holley, Inc.       20,437     116,491
indie Semiconductor, Inc., Class A       53,354     357,472
Luminar Technologies, Inc.#      105,458     607,438
Methode Electronics, Inc.       13,690     441,503
Microvast Holdings, Inc.       40,688      90,734
Miller Industries, Inc.        4,303     172,120
SES AI Corp.       48,331     101,978
Shyft Group, Inc.       13,331     209,030
Solid Power, Inc.#       59,994     127,187
Standard Motor Products, Inc.        8,197     303,535
Titan International, Inc.       20,301     255,590
Visteon Corp.       10,893   1,517,068
XPEL, Inc.        8,758     729,541
      13,358,323
Banks — 7.6% 
1st Source Corp.        6,456     288,519
ACNB Corp.        3,223     102,588
Alerus Financial Corp.        7,047     137,417
Amalgamated Financial Corp.        6,846     122,680
Amerant Bancorp, Inc.        9,995     187,606
American National Bankshares, Inc.        3,982     156,094
Ameris Bancorp       25,638   1,044,748
Ames National Corp.        3,333      59,827
Arrow Financial Corp.        5,540      97,559
Associated Banc-Corp       58,638   1,016,197
Atlantic Union Bankshares Corp.       29,095     863,831
BancFirst Corp.        8,534     815,680
Bancorp, Inc.       20,710     760,264
Bank First Corp.#        3,615     280,632
Bank of Hawaii Corp.#       15,191     816,364
Bank of Marin Bancorp        6,093     114,670
Bank of N.T. Butterfield & Son, Ltd.       19,412     565,277
Bank7 Corp.        1,445      36,298
BankUnited, Inc.       28,814     756,367
Bankwell Financial Group, Inc.        2,279       59,300
 
136  

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Banks (continued) 
Banner Corp.       13,260 $    577,473
Bar Harbor Bankshares        5,782     143,625
BayCom Corp.        4,545      87,582
BCB Bancorp, Inc.        5,837      66,425
Blue Foundry Bancorp        9,576      88,578
Blue Ridge Bankshares, Inc.        6,816      53,983
Bridgewater Bancshares, Inc.        7,915      82,791
Burke & Herbert Financial Services Corp.        2,491     123,230
Business First Bancshares, Inc.        9,292     190,021
Byline Bancorp, Inc.        9,589     203,095
C & F Financial Corp.        1,272      67,823
Cadence Bank       70,592   1,615,145
Cambridge Bancorp#        2,945     156,703
Camden National Corp.        5,531     181,361
Capital Bancorp, Inc.        3,736      71,544
Capital City Bank Group, Inc.        5,112     155,967
Capstar Financial Holdings, Inc.        7,591      99,138
Carter Bankshares, Inc.        9,145     130,865
Cathay General Bancorp       26,931     959,552
Central Pacific Financial Corp.       10,288     174,587
Central Valley Community Bancorp        3,867      56,536
Chemung Financial Corp.        1,356      53,277
ChoiceOne Financial Svcs, Inc.#        2,704      65,004
Citizens & Northern Corp.        5,864     105,962
Citizens Financial Services, Inc.        1,680      91,963
City Holding Co.        5,896     538,659
Civista Bancshares, Inc.        5,984     101,668
CNB Financial Corp.        8,032     146,263
Coastal Financial Corp.        4,190     184,569
Codorus Valley Bancorp, Inc.        3,713      75,188
Colony Bankcorp, Inc.        6,391      66,530
Community Bank System, Inc.       20,628     980,861
Community Trust Bancorp, Inc.        6,018     213,639
ConnectOne Bancorp, Inc.       14,358     274,525
CrossFirst Bankshares, Inc.       17,253     185,470
Customers Bancorp, Inc.       11,082     389,421
CVB Financial Corp.       51,542     899,923
Dime Community Bancshares, Inc.       13,544     288,623
Eagle Bancorp, Inc.       11,872     285,640
Eastern Bankshares, Inc.       60,032     808,031
Enterprise Bancorp, Inc.        3,709     107,338
Enterprise Financial Services Corp.       14,055     544,069
Equity Bancshares, Inc., Class A        5,754     143,965
Esquire Financial Holdings, Inc.        2,659     124,335
Evans Bancorp, Inc.        2,028      57,433
Farmers & Merchants Bancorp, Inc.        5,259     100,447
Farmers National Banc Corp.       14,274     181,280
FB Financial Corp.       13,743     417,512
Fidelity D&D Bancorp, Inc.#        1,805      85,530
Financial Institutions, Inc.        5,878     102,865
First Bancorp       15,416     456,930
First Bancorp, Inc.        3,788      93,261
First BanCorp/Puerto Rico       68,685     951,974
First Bancshares, Inc.       11,749     333,554
First Bank        8,376      95,821
First Busey Corp.       20,113     406,283
First Business Financial Services, Inc.        3,042      95,914
First Commonwealth Financial Corp.       39,645     518,160
First Community Bankshares, Inc.        6,827     211,159
First Community Corp.        2,853      49,300
First Financial Bancorp       36,492     758,304
First Financial Bankshares, Inc.       50,494    1,450,188
Security Description   Shares or
Principal
Amount
Value
 
Banks (continued) 
First Financial Corp.        4,549 $    167,039
First Foundation, Inc.       19,827     155,840
First Interstate BancSystem, Inc., Class A       32,003     829,198
First Merchants Corp.       22,901     683,366
First Mid Bancshares, Inc.        7,415     207,398
First of Long Island Corp.        8,254     107,797
Five Star Bancorp        4,946     108,120
Fulton Financial Corp.       63,027     840,150
FVCBankcorp, Inc.        6,206      75,527
German American Bancorp, Inc.       10,862     314,238
Glacier Bancorp, Inc.       43,208   1,305,314
Great Southern Bancorp, Inc.        3,502     176,746
Guaranty Bancshares, Inc.        3,271      94,434
Hancock Whitney Corp.       33,617   1,386,701
Hanmi Financial Corp.       11,787     204,151
HarborOne Bancorp, Inc.       16,248     161,993
HBT Financial, Inc.        5,197      97,184
Heartland Financial USA, Inc.       16,373     501,669
Heritage Commerce Corp.       22,942     198,907
Heritage Financial Corp.       13,434     231,333
Hilltop Holdings, Inc.       18,086     549,634
Home BancShares, Inc.       73,899   1,639,080
HomeStreet, Inc.        7,009      66,235
Hope Bancorp, Inc.       44,706     432,307
Horizon Bancorp, Inc.       16,704     186,918
Independent Bank Corp.        7,823     149,341
Independent Bank Corp./MA       17,119     924,768
Independent Bank Group, Inc.       14,013     591,349
International Bancshares Corp.       20,810     931,872
John Marshall Bancorp, Inc.        4,824      85,240
Kearny Financial Corp.       22,204     164,532
Lakeland Bancorp, Inc.       24,157     326,361
Lakeland Financial Corp.        9,617     501,334
LCNB Corp.        4,093      61,027
Live Oak Bancshares, Inc.       13,029     421,358
Luther Burbank Corp.        3,970      36,087
Macatawa Bank Corp.       10,189      93,331
Mainstreet Bancshares, Inc.        2,696      60,984
Mercantile Bank Corp.        6,075     202,783
Merchants Bancorp        6,145     179,250
Metrocity Bankshares, Inc.        7,074     137,943
Metropolitan Bank Holding Corp.        4,058     161,549
Mid Penn Bancorp, Inc.        5,508     120,570
Middlefield Banc Corp.#        3,042      78,879
Midland States Bancorp, Inc.        8,245     183,039
MidWestOne Financial Group, Inc.        5,509     117,672
MVB Financial Corp.        4,394     103,435
National Bank Holdings Corp., Class A       14,267     449,981
National Bankshares, Inc.        2,237      58,878
NBT Bancorp, Inc.       17,746     610,817
NewtekOne, Inc.#        9,023     161,602
Nicolet Bankshares, Inc.        4,985     377,913
Northeast Bank        3,002     127,555
Northeast Community Bancorp, Inc.#        5,181      82,171
Northrim BanCorp, Inc.        2,130      88,459
Norwood Financial Corp.        2,857      77,510
Oak Valley Bancorp        2,606      65,437
OFG Bancorp       18,058     544,629
Old National Bancorp      113,503   1,732,056
Old Second Bancorp, Inc.       16,807     243,197
Orange County Bancorp, Inc.        1,977      91,911
Origin Bancorp, Inc.       11,303     346,889
Orrstown Financial Services, Inc.        3,963       85,601
 
137

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Banks (continued) 
PacWest Bancorp       46,442 $    369,214
Park National Corp.        5,551     564,870
Parke Bancorp, Inc.        4,048      69,909
Pathward Financial, Inc.       10,634     523,937
PCB Bancorp        4,222      67,763
Peapack-Gladstone Financial Corp.        6,606     180,146
Penns Woods Bancorp, Inc.        2,653      69,084
Peoples Bancorp, Inc.       13,110     337,845
Peoples Financial Services Corp.        2,702     117,807
Pioneer Bancorp, Inc.        4,516      40,689
Plumas Bancorp        2,116      73,933
Ponce Financial Group, Inc.#        7,918      63,265
Preferred Bank        5,187     322,165
Premier Financial Corp.       13,694     257,995
Primis Financial Corp.        7,846      69,672
Princeton Bancorp, Inc.        1,968      57,603
QCR Holdings, Inc.        6,385     334,957
RBB Bancorp        6,493      88,500
Red River Bancshares, Inc.        1,865      88,177
Renasant Corp.       21,381     595,461
Republic Bancorp, Inc., Class A        3,334     148,163
S&T Bancorp, Inc.       15,063     426,735
Sandy Spring Bancorp, Inc.       16,983     377,702
Seacoast Banking Corp. of Florida       32,630     770,394
ServisFirst Bancshares, Inc.       19,735   1,105,949
Shore Bancshares, Inc.       11,537     127,830
Sierra Bancorp        5,354     106,438
Simmons First National Corp., Class A       48,910     871,576
SmartFinancial, Inc.        6,137     139,739
South Plains Financial, Inc.        4,656     122,127
Southern First Bancshares, Inc.        2,971      83,515
Southern States Bancshares, Inc.        2,904      66,531
Southside Bancshares, Inc.       11,393     342,929
SouthState Corp.       29,493   2,132,344
Stellar Bancorp, Inc.       18,855     401,046
Sterling Bancorp, Inc.        8,160      48,062
Stock Yards Bancorp, Inc.       10,512     481,450
Summit Financial Group, Inc.        4,328     106,469
Texas Capital Bancshares, Inc.       18,552   1,158,387
Third Coast Bancshares, Inc.        4,987      93,855
Tompkins Financial Corp.        5,368     278,760
Towne Bank       27,183     641,519
TriCo Bancshares       12,032     413,179
Triumph Financial, Inc.        8,608     552,892
TrustCo Bank Corp.        7,204     205,098
Trustmark Corp.       23,570     543,053
UMB Financial Corp.       17,155   1,084,368
United Bankshares, Inc.       50,694   1,524,876
United Community Banks, Inc.       44,779   1,209,033
Unity Bancorp, Inc.        2,836      68,532
Univest Financial Corp.       11,233     202,082
USCB Financial Holdings, Inc.        4,074      44,692
Valley National Bancorp      167,233   1,535,199
Veritex Holdings, Inc.       20,321     382,238
Virginia National Bankshares Corp.        1,829      60,430
Walker & Dunlop, Inc.       12,322   1,051,559
Washington Trust Bancorp, Inc.        6,551     183,428
WesBanco, Inc.       22,348     566,745
West BanCorp, Inc.        6,276     116,232
Westamerica BanCorp       10,130     446,024
      72,621,541
Security Description   Shares or
Principal
Amount
Value
 
Beverages — 0.4% 
BRC, Inc., Class A#       14,433 $     65,237
Coca-Cola Consolidated, Inc.        1,850   1,292,965
Duckhorn Portfolio, Inc.       17,000     211,480
MGP Ingredients, Inc.#        6,142     736,426
National Beverage Corp.        9,182     471,128
Primo Water Corp.       60,615     924,985
Vita Coco Co., Inc.       11,068     313,114
Westrock Coffee Co.       10,995     110,390
Zevia PBC, Class A        9,653      24,808
      4,150,533
Biotechnology — 6.3% 
2seventy bio, Inc.       19,441     100,899
4D Molecular Therapeutics, Inc.       12,224     199,007
89bio, Inc.       23,927     410,109
Aadi Bioscience, Inc.        6,277      39,543
ACADIA Pharmaceuticals, Inc.       46,905   1,267,373
Acrivon Therapeutics, Inc.        3,364      39,426
Actinium Pharmaceuticals, Inc.#       10,068      60,509
Adicet Bio, Inc.#       11,763      23,526
ADMA Biologics, Inc.       81,535     313,910
Aerovate Therapeutics, Inc.        3,895      61,892
Agenus, Inc.      132,775     183,230
Akero Therapeutics, Inc.       17,389     863,016
Aldeyra Therapeutics, Inc.       18,027     134,481
Allakos, Inc.       25,731      74,105
Allogene Therapeutics, Inc.       31,807     123,729
Allovir, Inc.#       16,221      50,772
Alpine Immune Sciences, Inc.       12,287     151,744
Altimmune, Inc.       19,132      48,404
ALX Oncology Holdings, Inc.        8,374      35,673
Amicus Therapeutics, Inc.      108,541   1,391,496
AnaptysBio, Inc.        7,359     144,825
Anavex Life Sciences Corp.#       27,179     214,714
ANI Pharmaceuticals, Inc.        4,992     321,435
Annexon, Inc.       17,666      48,582
Arbutus Biopharma Corp.#       48,312      98,073
Arcellx, Inc.       14,690     526,490
Arcturus Therapeutics Holdings, Inc.        9,025     273,909
Arcus Biosciences, Inc.       20,419     418,590
Arcutis Biotherapeutics, Inc.#       19,902     169,963
Ardelyx, Inc.       82,442     351,203
Arrowhead Pharmaceuticals, Inc.       39,682   1,096,810
ARS Pharmaceuticals, Inc.        9,386      66,547
Astria Therapeutics, Inc.#        9,888      88,003
Atara Biotherapeutics, Inc.       36,973      53,981
Atea Pharmaceuticals, Inc.       29,672      99,698
Aura Biosciences, Inc.       10,632     110,360
Aurinia Pharmaceuticals, Inc.#       52,415     475,404
Avid Bioservices, Inc.       24,021     283,448
Avidity Biosciences, Inc.       27,362     206,857
Axsome Therapeutics, Inc.#       12,734   1,028,907
Beam Therapeutics, Inc.       26,451     613,134
BioAtla, Inc.       17,121      42,974
BioCryst Pharmaceuticals, Inc.#       73,367     521,639
Biohaven, Ltd.       22,556     412,549
Biomea Fusion, Inc.        7,689     129,713
BioVie, Inc.#        1,285       3,996
Bluebird Bio, Inc.       41,422     156,161
Blueprint Medicines Corp.       23,539   1,173,655
Bridgebio Pharma, Inc.       44,328   1,325,850
Cabaletta Bio, Inc.        9,900     140,184
Cara Therapeutics, Inc.#       18,104       46,527
 
138  

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Biotechnology (continued) 
Caribou Biosciences, Inc.       22,018 $    129,686
Carisma Therapeutics, Inc.       10,320      71,414
Cassava Sciences, Inc.#       15,394     322,812
Celcuity, Inc.        6,670      63,498
Celldex Therapeutics, Inc.       17,984     501,754
Century Therapeutics, Inc.        9,066      22,484
Cerevel Therapeutics Holdings, Inc.       23,952     567,662
Chinook Therapeutics, Inc. CVR(1)       22,455       8,759
Cogent Biosciences, Inc.       26,688     325,860
Compass Therapeutics, Inc.#       35,322      82,300
Crinetics Pharmaceuticals, Inc.       20,639     357,467
Cue Biopharma, Inc.       13,377      36,252
Cullinan Oncology, Inc.        9,213      95,355
Cymabay Therapeutics, Inc.       37,966     522,032
Cytek Biosciences, Inc.#       46,913     356,539
Cytokinetics, Inc.       36,050   1,259,587
Day One Biopharmaceuticals, Inc.       19,056     257,065
Deciphera Pharmaceuticals, Inc.       20,274     284,647
Denali Therapeutics, Inc.       45,730   1,055,906
Design Therapeutics, Inc.#       12,684      31,456
Disc Medicine, Inc.        2,994     158,532
Dynavax Technologies Corp.       50,169     720,427
Dyne Therapeutics, Inc.       16,451     187,541
Edgewise Therapeutics, Inc.       16,561     103,506
Editas Medicine, Inc.       26,946     240,089
Emergent BioSolutions, Inc.       19,581      91,835
Entrada Therapeutics, Inc.        8,282     121,911
EQRx, Inc.      123,507     282,831
Erasca, Inc.       31,233      80,893
Evolus, Inc.       16,027     158,507
EyePoint Pharmaceuticals, Inc.       10,138     100,468
Fate Therapeutics, Inc.       32,804      82,338
FibroGen, Inc.       35,190      33,782
Forafric Global PLC        2,021      22,514
Genelux Corp.        1,071      25,897
Generation Bio Co.       17,528      83,784
Geron Corp.      192,760     468,407
Graphite Bio, Inc.       10,847      24,080
Guardant Health, Inc.       43,045   1,682,199
Halozyme Therapeutics, Inc.       51,691   2,199,969
Harvard Bioscience, Inc.       15,142      66,776
HilleVax, Inc.        8,216     109,601
Humacyte, Inc.       23,703      90,782
Icosavax, Inc.       10,661      82,516
Ideaya Biosciences, Inc.       21,015     617,000
IGM Biosciences, Inc.        4,618      33,019
Ikena Oncology, Inc.        8,228      38,178
ImmunityBio, Inc.       42,672      68,702
ImmunoGen, Inc.       93,944   1,488,073
Immunovant, Inc.       20,884     474,276
Inhibrx, Inc.#       13,293     284,470
Innoviva, Inc.       24,010     306,128
Inozyme Pharma, Inc.       13,101      64,195
Insmed, Inc.       51,023   1,116,893
Intellia Therapeutics, Inc.       34,149   1,279,905
Intercept Pharmaceuticals, Inc.        9,498     102,863
Intra-Cellular Therapies, Inc.       36,269   2,013,655
Iovance Biotherapeutics, Inc.       80,525     486,371
iTeos Therapeutics, Inc.        9,592     115,727
Janux Therapeutics, Inc.        6,694      73,634
Karyopharm Therapeutics, Inc.       43,838      56,113
Keros Therapeutics, Inc.        8,712      305,878
Security Description   Shares or
Principal
Amount
Value
 
Biotechnology (continued) 
Kezar Life Sciences, Inc.       27,623 $     41,158
Kiniksa Pharmaceuticals, Ltd., Class A       12,144     209,241
Kodiak Sciences, Inc.       12,554      27,619
Krystal Biotech, Inc.        8,366   1,041,400
Kymera Therapeutics, Inc.       14,706     280,590
Larimar Therapeutics, Inc.        9,927      36,928
Lexicon Pharmaceuticals, Inc.       35,858      61,676
Ligand Pharmaceuticals, Inc.        6,454     424,480
Lineage Cell Therapeutics, Inc.       49,950      65,934
Liquidia Corp.       18,371     126,209
MacroGenics, Inc.       23,557     109,776
MeiraGTx Holdings PLC       12,621      79,386
Merrimack Pharmaceuticals, Inc.        4,052      49,475
Mersana Therapeutics, Inc.       38,839      43,111
Mineralys Therapeutics, Inc.        5,401      69,349
Monte Rosa Therapeutics, Inc.#       11,805      69,295
Myriad Genetics, Inc.       31,270     558,169
NeoGenomics, Inc.       49,324     741,340
NGM Biopharmaceuticals, Inc.       16,870      31,884
Nkarta, Inc.       11,704      20,131
Novavax, Inc.#       33,702     269,616
Nurix Therapeutics, Inc.       18,136     154,156
Nuvalent, Inc., Class A        9,283     423,026
Nuvation Bio, Inc.       56,386      92,473
Ocean Biomedical, Inc.        3,360      15,154
Olema Pharmaceuticals, Inc.       10,391     105,469
Omega Therapeutics, Inc.        9,434      34,623
Omeros Corp.#       23,564      81,531
OmniAb, Inc. (Earnout Shares 12.50)(1)        2,061           0
OmniAb, Inc. (Earnout Shares 15.00)(1)        2,061           0
Oncternal Therapeutics, Inc. CVR#(1)          368         754
Organogenesis Holdings, Inc.       27,189      76,129
Ovid therapeutics, Inc.       23,080      77,664
PDS Biotechnology Corp.       10,822      63,525
PepGen, Inc.        3,890      24,507
Phathom Pharmaceuticals, Inc.        9,526     137,079
Pliant Therapeutics Inc       21,869     369,149
Point Biopharma Global, Inc.       35,023     278,783
Poseida Therapeutics, Inc.#       26,306      54,980
Precigen, Inc.#       52,297      91,520
Prelude Therapeutics Inc        3,837      14,312
Prime Medicine, Inc.#       15,311     202,718
ProKidney Corp.       23,882     204,908
Protalix BioTherapeutics, Inc.       21,740      41,089
Prothena Corp. PLC       16,046     847,550
PTC Therapeutics, Inc.       27,419   1,083,050
Radius Health, Inc. CVR(1)       16,856       1,348
Rain Oncology, Inc.        6,578       6,907
Rallybio Corp.       11,834      62,957
RAPT Therapeutics, Inc.       11,432     218,351
Recursion Pharmaceuticals, Inc., Class A       52,825     459,578
REGENXBIO, Inc.       15,726     278,350
Relay Therapeutics, Inc.       34,945     357,138
Replimune Group, Inc.       15,767     321,962
REVOLUTION Medicines, Inc.       39,255   1,333,492
Rigel Pharmaceuticals, Inc.       66,238      75,511
Rocket Pharmaceuticals, Inc.       21,716     339,855
Sage Therapeutics, Inc.#       20,464     409,280
Sana Biotechnology, Inc.#       36,097     193,119
Sangamo Therapeutics, Inc.       55,828      54,114
Savara, Inc.       29,510     106,826
Scholar Rock Holding Corp.       10,979      68,619
Scilex Holding Co.       23,302       66,877
 
139

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Biotechnology (continued) 
Seer, Inc.       22,694 $     59,685
Selecta Biosciences, Inc.       44,955      55,295
SpringWorks Therapeutics, Inc.       22,555     635,600
Stoke Therapeutics, Inc.       10,677      60,005
Sutro Biopharma, Inc.       23,280     110,580
Syndax Pharmaceuticals, Inc.       25,501     472,024
Tango Therapeutics, Inc.       17,279     112,141
Tarsus Pharmaceuticals, Inc.        9,127     159,814
Tela Bio, Inc.        6,142      59,332
Tenaya Therapeutics, Inc.       17,717      68,565
Terns Pharmaceuticals, Inc.       16,587      87,413
TG Therapeutics, Inc.       53,112     556,083
Theravance Biopharma, Inc.#       23,874     227,280
Theseus Pharmaceuticals, Inc.        7,833      24,596
Third Harmonic Bio, Inc.        7,540      45,768
Travere Therapeutics, Inc.       28,196     402,639
Twist Bioscience Corp.       22,032     484,484
Tyra Biosciences, Inc.#        5,413      82,440
UroGen Pharma, Ltd.        7,572     132,359
Vaxxinity, Inc.#       16,497      33,324
Ventyx Biosciences, Inc.       18,114     606,819
Vera Therapeutics, Inc.       13,087     231,509
Veracyte, Inc.       28,177     743,873
Vericel Corp.       18,435     605,221
Verve Therapeutics, Inc.       19,636     252,715
Vigil Neuroscience, Inc.        6,219      37,501
Viking Therapeutics, Inc.       37,217     513,967
Vir Biotechnology, Inc.       32,415     410,374
Viridian Therapeutics, Inc.       16,334     296,789
Vor BioPharma, Inc.       14,583      36,458
Wave Life Sciences, Ltd.       22,886      99,554
X4 Pharmaceuticals, Inc.       47,655      60,998
Xencor, Inc.       22,450     493,451
XOMA Corp.        2,830      39,677
Zentalis Pharmaceuticals, Inc.       19,015     505,038
Zevra Therapeutics, Inc.       13,427      68,075
Zura Bio, Ltd.        2,935      20,193
Zymeworks, Inc.#       20,660     149,578
      60,940,242
Building Materials — 2.0% 
AAON, Inc.       26,242   1,654,821
American Woodmark Corp.        6,450     500,971
Apogee Enterprises, Inc.        8,558     431,837
Aspen Aerogels, Inc.       19,781     120,466
Boise Cascade Co.       15,385   1,682,657
Gibraltar Industries, Inc.       12,003     900,585
Griffon Corp.       16,993     711,497
JELD-WEN Holding, Inc.       32,971     497,203
Knife River Corp.       19,724   1,014,997
LSI Industries, Inc.       10,129     159,532
Masonite International Corp.        8,606     883,922
Masterbrand, Inc.       50,238     643,549
Modine Manufacturing Co.       19,931     948,516
PGT Innovations, Inc.       22,520     634,839
Simpson Manufacturing Co., Inc.       16,627   2,656,330
SmartRent, Inc.       71,346     242,576
SPX Technologies, Inc.       17,100   1,351,242
Summit Materials, Inc., Class A       46,273   1,731,073
UFP Industries, Inc.       23,266   2,427,807
      19,194,420
Security Description   Shares or
Principal
Amount
Value
 
Chemicals — 1.9% 
AdvanSix, Inc.       10,258 $    339,335
American Vanguard Corp.       10,458     144,530
Avient Corp.       35,030   1,405,053
Balchem Corp.       12,390   1,740,795
Cabot Corp.       21,456   1,554,702
Codexis, Inc.       25,810      44,909
Danimer Scientific, Inc.#       33,968      66,238
Ecovyst, Inc.       36,874     377,590
H.B. Fuller Co.       20,959   1,520,156
Hawkins, Inc.        7,495     466,114
Ingevity Corp.       14,486     780,651
Innospec, Inc.        9,663   1,037,999
Intrepid Potash, Inc.        4,115     110,405
Koppers Holdings, Inc.        7,811     299,083
Kronos Worldwide, Inc.        8,549      71,812
Lightwave Logic, Inc.#       44,398     280,151
Livent Corp.       69,921   1,501,204
Mativ Holdings, Inc.       21,114     346,270
Minerals Technologies, Inc.       12,606     770,227
Oil-Dri Corp. of America        1,900     128,060
Origin Materials, Inc.       41,058      56,249
Orion SA       21,723     491,374
Perimeter Solutions SA       60,674     358,583
Quaker Chemical Corp.        5,379     954,665
Rayonier Advanced Materials, Inc.       24,687      87,145
Rogers Corp.        6,707     969,229
Sensient Technologies Corp.       16,305   1,004,551
Stepan Co.        8,251     720,065
Terawulf, Inc.#       19,496      40,747
Trinseo PLC       13,550     142,681
Tronox Holdings PLC       45,346     618,519
Valhi, Inc.          935      12,379
      18,441,471
Coal — 0.6% 
Alpha Metallurgical Resources, Inc.        5,022   1,018,662
Arch Resources, Inc.        7,088     925,693
CONSOL Energy, Inc.       13,152   1,131,598
Hallador Energy Co.        8,842      94,963
NACCO Industries, Inc., Class A        1,626      53,007
Peabody Energy Corp.       48,267   1,041,602
Ramaco Resources, Inc.        1,746      18,927
Ramaco Resources, Inc.        8,731      68,451
SunCoke Energy, Inc.       32,367     301,013
Warrior Met Coal, Inc.       20,039     792,743
      5,446,659
Commercial Services — 5.5% 
2U, Inc.       30,657      97,183
Aaron's Co., Inc.       12,234     147,664
ABM Industries, Inc.       25,656   1,165,296
Acacia Research Corp.       14,712      56,053
Adtalem Global Education, Inc.       17,570     770,445
AirSculpt Technologies, Inc.#        4,712      36,188
Alarm.com Holdings, Inc.       18,557   1,086,883
Alight, Inc., Class A      154,196   1,178,057
Alta Equipment Group, Inc.        7,361     104,747
AMN Healthcare Services, Inc.       15,714   1,388,803
API Group Corp.       81,030   2,280,995
Arlo Technologies, Inc.       33,454     326,846
ASGN, Inc.       18,674   1,534,256
Bakkt Holdings, Inc.#       26,970      37,219
Barrett Business Services, Inc.        2,590      247,811
 
140  

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Commercial Services (continued) 
BrightView Holdings, Inc.       16,016 $    132,612
Brink's Co.       17,876   1,355,180
Carriage Services, Inc.        5,191     159,987
Cass Information Systems, Inc.        5,299     203,164
CBIZ, Inc.       18,565   1,041,682
Chegg, Inc.       45,742     467,026
Cimpress PLC        6,904     446,067
Cipher Mining, Inc.#       16,108      51,385
CompoSecure, Inc.#        6,364      39,966
CoreCivic, Inc.       44,039     473,860
CorVel Corp.        3,377     730,952
Coursera, Inc.       50,422     876,839
CPI Card Group, Inc.        1,647      34,043
CRA International, Inc.        2,632     285,914
Cross Country Healthcare, Inc.       13,328     343,329
Custom Truck One Source, Inc.       21,961     147,358
Deluxe Corp.       16,856     340,828
Distribution Solutions Group, Inc.        1,754      90,384
Emerald Holding, Inc.        6,043      25,501
Ennis, Inc.        9,871     210,252
European Wax Center, Inc., Class A       13,218     229,464
EVERTEC, Inc.       25,310   1,001,517
First Advantage Corp.       21,174     295,377
FiscalNote Holdings, Inc.       24,102      53,265
Flywire Corp.       37,206   1,286,583
Forrester Research, Inc.        4,549     139,336
Franklin Covey Co.        4,722     201,488
GEO Group, Inc.       46,116     333,880
Graham Holdings Co., Class B        1,437     842,556
Green Dot Corp., Class A       17,987     266,927
Hackett Group, Inc.        9,682     228,205
Healthcare Services Group, Inc.       28,824     332,917
Heidrick & Struggles International, Inc.        7,677     203,364
Herc Holdings, Inc.       10,950   1,425,033
HireQuest, Inc.        2,074      39,447
Huron Consulting Group, Inc.        7,374     737,031
I3 Verticals, Inc., Class A        8,723     206,299
ICF International, Inc.        7,253     979,590
Information Services Group, Inc.       13,587      70,652
Insperity, Inc.       14,119   1,430,678
John Wiley & Sons, Inc., Class A       16,531     614,292
Kelly Services, Inc., Class A       12,773     236,173
Kforce, Inc.        7,505     470,188
Korn Ferry       20,209   1,030,255
Laureate Education, Inc.       50,744     706,864
Legalzoom.com, Inc.       40,323     460,085
Lincoln Educational Services Corp.        9,169      78,212
LiveRamp Holdings, Inc.       24,704     798,927
Marathon Digital Holdings, Inc.#       65,190     819,438
MarketWise, Inc.       12,267      16,560
Marqeta, Inc., Class A      189,810   1,167,332
Matthews International Corp., Class A       11,507     485,365
Medifast, Inc.        4,157     350,601
Monro, Inc.       12,067     395,074
Multiplan Corp.#      146,600     250,686
National Research Corp.        5,575     233,035
Payoneer Global, Inc.      102,623     635,236
Paysafe, Ltd.       12,568     164,641
Perdoceo Education Corp.       26,018     431,118
Performant Financial Corp.       26,049      61,215
Priority Technology Holdings, Inc.        6,836      25,362
PROG Holdings, Inc.       17,935      615,171
Security Description   Shares or
Principal
Amount
Value
 
Commercial Services (continued) 
Progyny, Inc.       30,414 $  1,135,659
Quad/Graphics, Inc.       12,036      61,504
Remitly Global, Inc.       32,658     821,349
Rent the Runway, Inc., Class A#       18,613      25,686
Repay Holdings Corp.       31,454     290,006
Resources Connection, Inc.       12,559     194,790
Riot Platforms, Inc.#       61,912     702,701
Sabre Corp.#      126,929     634,645
SEACOR Marine Holdings, Inc.        9,324     107,133
SoundThinking, Inc.        3,466      74,380
SP Plus Corp.        7,578     296,830
Sterling Check Corp.        9,172     127,858
StoneCo, Ltd., Class A      112,738   1,382,168
Strategic Education, Inc.        8,765     679,288
Stride, Inc.       16,428     698,026
Target Hospitality Corp.#       12,104     192,454
Textainer Group Holdings, Ltd.       16,721     662,653
Transcat, Inc.        2,859     291,504
TriNet Group, Inc.       14,588   1,618,247
Triton International, Ltd.       21,145   1,774,277
TrueBlue, Inc.       11,772     178,110
Udemy, Inc.       33,217     344,128
Universal Technical Institute, Inc.       12,693     101,163
Upbound Group, Inc.       21,345     653,584
V2X, Inc.        4,465     224,634
Viad Corp.        7,882     223,770
Willdan Group, Inc.        4,718     113,893
WW International, Inc.       21,107     204,949
ZipRecruiter, Inc., Class A       27,006     410,221
      52,489,824
Computers — 2.3% 
3D Systems Corp.#       49,378     311,575
Cantaloupe, Inc.       22,198     175,808
Conduent, Inc.       66,628     209,212
Corsair Gaming, Inc.       14,306     224,890
Cricut, Inc.       18,516     175,161
Desktop Metal, Inc., Class A      108,584     195,451
ExlService Holdings, Inc.       62,625   1,830,529
Grid Dynamics Holdings, Inc.       21,472     249,719
Insight Enterprises, Inc.       11,120   1,780,201
Integral Ad Science Holding Corp.       14,624     208,685
Maximus, Inc.       23,562   1,904,281
Mitek Systems, Inc.       16,524     184,573
NetScout Systems, Inc.       26,416     756,290
NextNav, Inc.#       20,953      90,517
OneSpan, Inc.       15,516     190,071
PAR Technology Corp.#       10,317     448,583
Parsons Corp.       15,984     911,408
PlayAGS, Inc.       14,297      97,649
Presto Automation, Inc.        1,233       4,106
Qualys, Inc.       14,409   2,242,761
Rapid7, Inc.       23,237   1,170,912
Rimini Street, Inc.       18,890      45,714
Super Micro Computer, Inc.       17,966   4,942,087
System1, Inc.        9,589      17,068
Tenable Holdings, Inc.       44,225   2,006,488
Thoughtworks Holding, Inc.       35,839     178,120
Tingo Group, Inc.#       47,269      60,977
TTEC Holdings, Inc.        7,529     224,063
Unisys Corp.       25,735     103,712
Varonis Systems, Inc.       42,104    1,344,381
 
141

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Computers (continued) 
Velo3D, Inc.#       34,453 $     54,436
Vuzix Corp.#       22,849      91,396
      22,430,824
Cosmetics/Personal Care — 0.5% 
Beauty Health Co.#       31,671     195,093
e.l.f. Beauty, Inc.       19,450   2,697,909
Edgewell Personal Care Co.       19,843     765,146
Inter Parfums, Inc.        7,109     993,341
Waldencast PLC, Class A#        7,757      61,048
      4,712,537
Distribution/Wholesale — 0.7% 
A-Mark Precious Metals, Inc.        7,369     251,430
EVI Industries, Inc.        1,836      48,507
G-III Apparel Group, Ltd.       16,315     323,853
Global Industrial Co.        5,076     171,772
H&E Equipment Services, Inc.       12,454     564,415
Hudson Technologies, Inc.       16,972     204,682
MRC Global, Inc.       32,495     302,853
OPENLANE, Inc.       41,809     652,639
Resideo Technologies, Inc.       56,730     956,468
Rush Enterprises, Inc., Class A       24,120     998,809
Rush Enterprises, Inc., Class B        3,623     166,526
ScanSource, Inc.        9,748     319,540
ThredUp, Inc., Class A#       27,795     110,624
Titan Machinery, Inc.        7,971     247,260
Veritiv Corp.        5,075     854,275
VSE Corp.        4,136     234,718
      6,408,371
Diversified Financial Services — 2.7% 
AlTi Global, Inc.#        8,142      59,518
Applied Digital Corp.       26,410     159,516
Artisan Partners Asset Management, Inc., Class A       23,798     914,319
AssetMark Financial Holdings, Inc.        8,512     245,912
Atlanticus Holdings Corp.        1,793      62,576
Avantax, Inc.       15,238     318,779
B. Riley Financial, Inc.        7,239     370,673
BGC Group, Inc., Class A      121,712     601,257
Bit Digital, Inc.       27,988      65,772
Bread Financial Holdings, Inc.       19,550     734,689
BrightSphere Investment Group, Inc.       12,613     261,215
Brookfield Business Corp., Class A#       10,064     177,730
Cohen & Steers, Inc.       10,072     656,493
Columbia Financial, Inc.#       11,497     197,289
Consumer Portfolio Services, Inc.        3,587      33,251
Diamond Hill Investment Group, Inc.        1,124     189,686
Enact Holdings, Inc.       11,621     333,058
Encore Capital Group, Inc.        9,000     421,740
Enova International, Inc.       11,781     594,351
Federal Agricultural Mtg. Corp., Class C        3,535     595,011
Finance of America Cos., Inc., Class A       20,681      29,367
First Western Financial, Inc.        3,103      63,053
Focus Financial Partners, Inc., Class A       22,760   1,206,280
Forge Global Holdings, Inc.       42,532     104,203
FTAI Aviation, Ltd.       38,558   1,425,104
GCM Grosvenor, Inc., Class A       16,059     122,691
Hamilton Lane, Inc., Class A       14,154   1,313,350
Hannon Armstrong Sustainable Infrastructure Capital, Inc.       40,074     896,455
International Money Express, Inc.       11,957     206,856
LendingClub Corp.       41,212     286,836
LendingTree, Inc.        4,069       76,945
Security Description   Shares or
Principal
Amount
Value
 
Diversified Financial Services (continued) 
Moelis & Co., Class A       25,876 $  1,226,781
Mr. Cooper Group, Inc.       25,816   1,462,735
Navient Corp.       35,843     632,629
Nelnet, Inc., Class A        5,638     517,850
NerdWallet, Inc., Class A       13,255     119,295
Ocwen Financial Corp.        2,488      75,287
OppFi, Inc.        4,164      10,743
Pagseguro Digital, Ltd.       76,905     690,607
Paysign, Inc.       12,638      28,435
PennyMac Financial Services, Inc.        9,882     709,231
Perella Weinberg Partners       16,503     173,777
Piper Sandler Cos.        6,719   1,000,997
PJT Partners, Inc., Class A        9,421     744,165
PRA Group, Inc.       14,958     291,382
Radian Group, Inc.       60,956   1,650,688
Regional Management Corp.        3,038      83,484
Sculptor Capital Management, Inc.        9,680     112,482
Security National Financial Corp., Class A        4,835      39,647
Silvercrest Asset Management Group, Inc., Class A        3,694      71,183
StepStone Group, Inc., Class A       20,893     644,967
StoneX Group, Inc.        6,920     649,650
SWK Holdings Corp.        1,457      22,948
Upstart Holdings, Inc.#       27,911     897,897
Velocity Financial, Inc.        3,389      41,990
Victory Capital Holdings, Inc., Class A       10,731     369,361
Virtus Investment Partners, Inc.        2,685     556,063
WisdomTree, Inc.       53,445     390,148
World Acceptance Corp.        1,447     195,070
      26,133,467
Electric — 1.4% 
ALLETE, Inc.       22,389   1,229,156
Altus Power, Inc.       24,737     159,801
Ameresco, Inc., Class A       12,455     541,668
Avista Corp.       29,226     972,934
Black Hills Corp.       25,815   1,419,825
FTC Solar, Inc.#       24,625      46,295
Genie Energy, Ltd., Class B        7,653     117,167
MGE Energy, Inc.       14,134   1,023,726
NorthWestern Corp.       23,314   1,175,026
Ormat Technologies, Inc.       20,716   1,573,173
Otter Tail Corp.       15,993   1,317,343
PNM Resources, Inc.       33,212   1,471,624
Portland General Electric Co.       37,628   1,650,364
Unitil Corp.        6,177     301,561
      12,999,663
Electrical Components & Equipment — 0.9% 
Belden, Inc.       16,466   1,546,157
Blink Charging Co.#       17,868      70,400
Encore Wire Corp.        6,486   1,068,958
Energizer Holdings, Inc.       27,753     953,316
EnerSys       15,983   1,677,895
ESS Tech, Inc.       35,314      50,499
Insteel Industries, Inc.        7,258     252,215
nLight, Inc.       17,072     194,791
Novanta, Inc.       13,869   2,315,846
Powell Industries, Inc.        3,549     298,010
      8,428,087
Electronics — 2.1% 
Advanced Energy Industries, Inc.       14,571   1,720,398
Akoustis Technologies, Inc.#       26,768      40,420
Allient, Inc.        5,362      182,469
 
142  

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Electronics (continued) 
Atkore, Inc.       15,339 $  2,361,746
Badger Meter, Inc.       11,395   1,892,482
Bel Fuse, Inc.        4,051     211,867
Benchmark Electronics, Inc.       13,698     352,586
Charge Enterprises, Inc.       52,140      28,333
Comtech Telecommunications Corp.       10,561     106,138
CTS Corp.       12,147     542,363
Enovix Corp.#       53,017     730,574
ESCO Technologies, Inc.        9,919   1,061,432
Evolv Technologies Holdings, Inc.       43,615     304,869
FARO Technologies, Inc.        7,878     124,945
GoPro, Inc., Class A       50,097     182,103
Itron, Inc.       17,645   1,207,094
Kimball Electronics, Inc.        9,275     280,012
Knowles Corp.       34,813     558,052
Mesa Laboratories, Inc.        1,996     286,147
MicroVision, Inc.#       68,479     172,567
Mirion Technologies, Inc.       77,592     662,636
Napco Security Technologies, Inc.       12,222     302,861
NEXTracker, Inc., Class A       16,856     709,975
NVE Corp.        1,846     163,279
OSI Systems, Inc.        6,140     837,189
Plexus Corp.       10,632   1,079,680
Sanmina Corp.       22,331   1,243,837
SKYX Platforms Corp.#       22,005      38,509
Stoneridge, Inc.       10,246     210,555
TTM Technologies, Inc.       39,619     590,323
Turtle Beach Corp.        6,056      65,829
Vicor Corp.        8,589     582,076
Vishay Intertechnology, Inc.       49,957   1,370,820
      20,204,166
Energy-Alternate Sources — 0.7% 
Array Technologies, Inc.       58,667   1,459,048
Cleanspark, Inc.       29,625     146,051
Energy Vault Holdings, Inc.#       37,953     121,070
Eneti, Inc.        9,551     103,533
Enviva, Inc.#       12,120     111,504
Eos Energy Enterprises, Inc.#       41,659     135,392
Fluence Energy, Inc.#       15,239     401,548
FuelCell Energy, Inc.      158,567     221,994
FutureFuel Corp.       10,119      71,642
Gevo, Inc.#       90,515     118,575
Green Plains, Inc.       22,524     699,145
Maxeon Solar Technologie, Ltd.        9,769     153,959
Montauk Renewables, Inc.#       25,809     246,476
REX American Resources Corp.        6,005     237,137
Shoals Technologies Group, Inc., Class A       66,416   1,307,067
Stem, Inc.#       55,142     280,673
Sunnova Energy International, Inc.#       39,104     543,937
SunPower Corp.#       33,809     242,072
TPI Composites, Inc.#       16,218      81,901
Verde Clean Fuels, Inc.        1,662       7,030
      6,689,754
Engineering & Construction — 1.6% 
908 Devices, Inc.        8,489      61,036
Arcosa, Inc.       18,791   1,469,832
Bowman Consulting Group, Ltd.        3,890     114,872
Comfort Systems USA, Inc.       13,713   2,531,008
Concrete Pumping Holdings, Inc.       10,040      76,605
Construction Partners, Inc., Class A       15,561      540,745
Security Description   Shares or
Principal
Amount
Value
 
Engineering & Construction (continued) 
Dycom Industries, Inc.       11,103 $  1,109,523
Exponent, Inc.       19,617   1,762,784
Fluor Corp.       55,245   1,933,022
Frontdoor, Inc.       31,874   1,046,105
Granite Construction, Inc.       17,084     705,398
Great Lakes Dredge & Dock Corp.       25,389     224,185
IES Holdings, Inc.        3,172     237,837
INNOVATE Corp.#       17,775      28,440
Iteris, Inc.       16,535      75,896
Latham Group, Inc.       15,038      55,641
Limbach Holdings, Inc.        3,563     128,731
Mistras Group, Inc.        8,062      43,051
MYR Group, Inc.        6,367     904,560
NV5 Global, Inc.        5,262     535,566
Primoris Services Corp.       20,565     727,384
Southland Holdings, Inc.        1,454       9,916
Sterling Infrastructure, Inc.       11,598     959,850
Tutor Perini Corp.       16,437     146,125
      15,428,112
Entertainment — 1.2% 
Accel Entertainment, Inc.       20,878     248,240
Atlanta Braves Holdings, Inc., Class A        3,888     162,674
Atlanta Braves Holdings, Inc., Class C       16,951     624,475
Bally's Corp.       11,419     189,555
Cinemark Holdings, Inc.#       42,571     693,056
Everi Holdings, Inc.       32,685     472,625
Golden Entertainment, Inc.        7,838     285,382
IMAX Corp.       17,397     332,805
International Game Technology PLC       42,060   1,346,761
Light & Wonder, Inc.       35,375   2,712,201
Lions Gate Entertainment Corp., Class A       22,564     178,707
Lions Gate Entertainment Corp., Class B       44,832     333,999
Loop Media, Inc.       14,112      12,290
Madison Square Garden Entertainment Corp.       16,741     537,219
Monarch Casino & Resort, Inc.        5,217     351,626
RCI Hospitality Holdings, Inc.        3,314     216,338
Red Rock Resorts, Inc., Class A       18,439     810,025
Reservoir Media, Inc.        7,683      41,872
Rush Street Interactive, Inc.       24,382     112,157
SeaWorld Entertainment, Inc.       15,439     751,879
Six Flags Entertainment Corp.       27,978     642,375
Sphere Entertainment Co.       10,102     354,176
Super Group SGHC, Ltd.       52,821     199,663
      11,610,100
Environmental Control — 0.4% 
374Water, Inc.       22,924      34,386
Casella Waste Systems, Inc., Class A       21,557   1,698,045
CECO Environmental Corp.       11,494     158,387
Energy Recovery, Inc.       21,571     586,300
Enviri Corp.       30,558     227,657
Heritage-Crystal Clean, Inc.        6,078     274,118
LanzaTech Global, Inc.        7,986      52,867
Li-Cycle Holdings Corp.#       53,418     237,176
Montrose Environmental Group, Inc.       10,804     415,306
Pure Cycle Corp.        7,572      83,216
PureCycle Technologies, Inc.       44,976     401,636
      4,169,094
Food — 1.4% 
B&G Foods, Inc.       27,534     352,160
Beyond Meat, Inc.#       22,952     270,834
Calavo Growers, Inc.        6,701      220,865
 
143

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Food (continued) 
Cal-Maine Foods, Inc.       14,789 $    706,766
Chefs' Warehouse, Inc.       13,634     389,114
Hain Celestial Group, Inc.       34,632     366,753
HF Foods Group, Inc.       15,588      73,731
Hostess Brands, Inc.       51,446   1,465,182
Ingles Markets, Inc., Class A        5,447     425,574
J&J Snack Foods Corp.        5,834     945,866
John B. Sanfilippo & Son, Inc.        3,471     348,315
Krispy Kreme, Inc.       33,907     454,015
Lancaster Colony Corp.        7,566   1,249,828
Mission Produce, Inc.       18,767     178,662
Nathan's Famous, Inc.        1,091      79,327
Natural Grocers by Vitamin Cottage, Inc.        3,614      45,573
Seneca Foods Corp., Class A        2,031      98,016
Simply Good Foods Co.       35,163   1,268,681
SpartanNash Co.       13,511     293,999
Sprouts Farmers Market, Inc.       40,125   1,636,699
SunOpta, Inc.       35,162     154,361
TreeHouse Foods, Inc.       19,950     928,074
United Natural Foods, Inc.       22,946     461,903
Utz Brands, Inc.       27,886     430,560
Village Super Market, Inc., Class A        3,302      74,460
Weis Markets, Inc.        6,382     414,000
      13,333,318
Food Service — 0.0% 
Sovos Brands, Inc.       15,375     344,400
Forest Products & Paper — 0.1% 
Glatfelter Corp.       17,133      34,266
Sylvamo Corp.       14,101     588,999
      623,265
Gas — 0.9% 
Brookfield Infrastructure Corp., Class A       38,197   1,483,953
Chesapeake Utilities Corp.        6,772     745,597
New Jersey Resources Corp.       37,653   1,587,827
Northwest Natural Holding Co.       13,910     546,385
ONE Gas, Inc.       21,382   1,549,554
RGC Resources, Inc.        3,100      56,048
Southwest Gas Holdings, Inc.       23,931   1,482,047
Spire, Inc.       19,966   1,166,214
      8,617,625
Hand/Machine Tools — 0.4% 
Cadre Holdings, Inc.        7,525     198,810
Enerpac Tool Group Corp.       22,251     582,976
Franklin Electric Co., Inc.       17,892   1,730,335
Kennametal, Inc.       31,242     826,976
Luxfer Holdings PLC       10,623     127,795
      3,466,892
Healthcare-Products — 3.4% 
Accuray, Inc.       36,103     102,894
Adaptive Biotechnologies Corp.       43,969     297,670
Akoya Biosciences, Inc.        7,041      36,613
Alphatec Holdings, Inc.       29,829     487,704
AngioDynamics, Inc.       14,607     117,294
Artivion, Inc.       15,247     257,979
AtriCure, Inc.       18,032     814,145
Atrion Corp.          533     247,898
Avanos Medical, Inc.       17,913     376,889
Avita Medical, Inc.        9,730      158,599
Security Description   Shares or
Principal
Amount
Value
 
Healthcare-Products (continued) 
Axogen, Inc.       15,740 $     98,532
Axonics, Inc.       18,992   1,088,242
BioLife Solutions, Inc.       13,469     177,925
Butterfly Network, Inc.#       54,016      95,608
CareDx, Inc.       20,147     187,569
Castle Biosciences, Inc.        9,616     191,647
Cerus Corp.       68,685     129,815
ClearPoint Neuro, Inc.#        8,873      51,552
CONMED Corp.       11,872   1,323,253
Cutera, Inc.#        6,450      73,401
CVRx, Inc.        4,304      74,674
Embecta Corp.       22,370     410,042
Glaukos Corp.       18,147   1,363,566
Haemonetics Corp.       19,419   1,742,467
Inari Medical, Inc.       20,066   1,336,797
InfuSystem Holdings, Inc.        7,031      72,279
Inmode, Ltd.       29,991   1,172,348
Inogen, Inc.        9,021      56,020
Integer Holdings Corp.       12,859   1,097,001
iRadimed Corp.        2,830     130,831
iRhythm Technologies, Inc.       11,880   1,228,036
KORU Medical Systems, Inc.       13,530      35,449
Lantheus Holdings, Inc.       26,344   1,802,983
LeMaitre Vascular, Inc.        7,645     441,957
LivaNova PLC       21,005   1,166,828
MaxCyte, Inc.       33,827     123,807
Merit Medical Systems, Inc.       22,017   1,437,270
MiMedx Group, Inc.       44,084     327,103
NanoString Technologies, Inc.       18,303      46,856
Nautilus Biotechnology, Inc.       19,540      63,114
Neogen Corp.       84,374   1,950,727
Nevro Corp.       13,748     275,510
OmniAb, Inc.       36,091     209,328
Omnicell, Inc.       17,404     989,591
OraSure Technologies, Inc.       28,874     186,526
Orchestra BioMed Holdings, Inc.#        1,621      10,115
Orthofix Medical, Inc.       13,614     288,072
OrthoPediatrics Corp.        6,144     234,824
Pacific Biosciences of California, Inc.       97,570   1,100,590
Paragon 28, Inc.       17,000     243,610
Patterson Cos., Inc.       34,108   1,024,604
PROCEPT BioRobotics Corp.       13,971     476,551
Pulmonx Corp.       14,198     148,511
Pulse Biosciences, Inc.#        6,251      29,442
Quanterix Corp.       13,638     365,498
Quantum-Si, Inc.#       38,881      90,982
RxSight, Inc.       10,488     304,257
Sanara Medtech, Inc.        1,469      53,119
Semler Scientific, Inc.        1,936      51,033
SI-BONE, Inc.       13,460     307,965
Silk Road Medical, Inc.       14,874     287,366
SomaLogic, Inc.#       58,502     129,289
STAAR Surgical Co.       18,821     816,079
Surmodics, Inc.        5,331     196,287
Tactile Systems Technology, Inc.        9,007     170,683
TransMedics Group, Inc.       12,281     806,002
Treace Medical Concepts, Inc.       17,503     272,172
UFP Technologies, Inc.        2,745     482,324
Utah Medical Products, Inc.        1,328     121,645
Varex Imaging Corp.       15,020     295,443
Vicarious Surgical, Inc.#       27,122       25,077
 
144  

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Healthcare-Products (continued) 
Zimvie, Inc.       10,003 $    118,035
Zynex, Inc.#        7,628      58,736
      32,564,650
Healthcare-Services — 1.3% 
23andMe Holding Co., Class A#      100,591     110,650
Accolade, Inc.       25,558     344,777
Addus HomeCare Corp.        6,059     531,374
Agiliti, Inc.#       11,475     110,734
American Well Corp., Class A       94,930     134,801
ATI Physical Therapy, Inc.            1           9
Aveanna Healthcare Holdings, Inc.#       19,441      27,995
Brookdale Senior Living, Inc.       66,006     280,525
Cano Health, Inc.       92,476      28,603
CareMax, Inc.       29,088      64,866
Community Health Systems, Inc.       48,666     164,491
DocGo, Inc.       30,108     269,467
Enhabit, Inc.       19,495     249,731
Ensign Group, Inc.       21,120   2,116,646
Fulgent Genetics, Inc.        7,925     259,623
HealthEquity, Inc.       32,550   2,198,752
Innovage Holding Corp.        7,322      40,125
Invitae Corp.#      101,725      94,004
Joint Corp.        5,512      51,206
LifeStance Health Group, Inc.#       41,081     337,275
ModivCare, Inc.        4,934     158,381
Nano-X Imaging, Ltd.       17,759     147,844
National HealthCare Corp.        4,836     318,934
OPKO Health, Inc.#      156,127     285,712
Oscar Health, Inc., Class A       59,877     375,429
P3 Health Partners, Inc.#       15,424      30,540
Pediatrix Medical Group, Inc.       32,584     460,412
Pennant Group, Inc.       11,211     134,308
Quipt Home Medical Corp.       15,619      92,308
RadNet, Inc.       19,119     638,766
Select Medical Holdings Corp.       40,253   1,175,790
Surgery Partners, Inc.#       26,141     947,873
Thorne HealthTech, Inc.        5,435      55,057
U.S. Physical Therapy, Inc.        5,023     506,469
Viemed Healthcare, Inc.       13,214     104,523
      12,848,000
Home Builders — 1.8% 
Beazer Homes USA, Inc.       11,412     334,486
Cavco Industries, Inc.        3,388     947,014
Century Communities, Inc.       11,020     818,235
Dream Finders Homes, Inc., Class A#        9,380     270,332
Forestar Group, Inc.        7,095     202,279
Green Brick Partners, Inc.       10,217     505,333
Hovnanian Enterprises, Inc., Class A        1,864     221,518
Installed Building Products, Inc.        9,182   1,328,911
KB Home       28,708   1,458,366
Landsea Homes Corp.        5,205      50,436
LCI Industries        9,573   1,199,305
LGI Homes, Inc.        8,063     992,555
M/I Homes, Inc.       10,434   1,024,410
MDC Holdings, Inc.       22,741   1,079,061
Meritage Homes Corp.       14,109   1,961,715
Skyline Champion Corp.       20,755   1,479,209
Taylor Morrison Home Corp.       40,754   1,931,740
Tri Pointe Homes, Inc.       38,423    1,194,955
Security Description   Shares or
Principal
Amount
Value
 
Home Builders (continued) 
United Homes Group, Inc.        2,382 $     19,937
Winnebago Industries, Inc.       11,492     745,256
      17,765,053
Home Furnishings — 0.3% 
Daktronics, Inc.       15,124     126,437
Ethan Allen Interiors, Inc.        8,845     277,556
Hooker Furnishings Corp.        4,255      91,610
iRobot Corp.       10,619     412,973
Lovesac Co.        5,433     124,524
MillerKnoll, Inc.       29,415     561,827
Purple Innovation, Inc.#       24,873      53,974
Sleep Number Corp.        8,274     211,649
Snap One Holdings Corp.#        7,080      64,782
Sonos, Inc.       49,199     677,962
Traeger, Inc.       13,602      60,801
Vizio Holding Corp., Class A       29,363     168,544
VOXX International Corp.        5,380      46,483
Xperi, Inc.       16,344     192,859
      3,071,981
Household Products/Wares — 0.4% 
ACCO Brands Corp.       35,769     190,649
Bright Green Corp.       23,351      10,910
Central Garden & Pet Co.        3,786     167,114
Central Garden & Pet Co., Class A       15,250     622,200
Helen of Troy, Ltd.        9,326   1,146,352
Quanex Building Products Corp.       12,784     344,912
WD-40 Co.        5,259   1,130,001
      3,612,138
Insurance — 2.1% 
Ambac Financial Group, Inc.       17,135     220,699
American Coastal Insurance Corp.        7,592      56,902
American Equity Investment Life Holding Co.       30,118   1,616,734
AMERISAFE, Inc.        7,385     382,543
Argo Group International Holdings, Ltd.       12,386     368,484
BRP Group, Inc., Class A       22,890     608,645
CNO Financial Group, Inc.       44,080   1,031,472
Crawford & Co., Class A        5,609      60,072
Donegal Group, Inc., Class A        5,951      86,944
eHealth, Inc.        9,459      73,969
Employers Holdings, Inc.       10,377     407,090
Enstar Group, Ltd.        4,622   1,170,706
Essent Group, Ltd.       41,012   2,059,623
F&G Annuities & Life, Inc.        7,253     205,332
Genworth Financial, Inc., Class A      188,153   1,089,406
GoHealth, Inc.        1,517      24,105
Goosehead Insurance, Inc., Class A#        8,345     582,982
Greenlight Capital Re, Ltd., Class A       10,005     110,355
HCI Group, Inc.#        2,492     132,774
Hippo Holdings, Inc.#        4,058      40,499
Horace Mann Educators Corp.       15,919     456,239
Investors Title Co.          472      67,916
Jackson Financial, Inc., Class A       31,525   1,185,340
James River Group Holdings, Ltd.       14,338     208,761
Kingsway Financial Services, Inc.        4,120      36,380
Lemonade, Inc.#       19,633     270,150
Maiden Holdings, Ltd.       35,139      60,088
MBIA, Inc.       18,731     147,788
Mercury General Corp.       10,382     297,029
National Western Life Group, Inc., Class A          882     400,904
NI Holdings, Inc.        3,196      40,781
NMI Holdings, Inc., Class A       31,788      909,773
 
145

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Insurance (continued) 
Palomar Holdings, Inc.        9,444 $    481,738
ProAssurance Corp.       20,919     369,848
Safety Insurance Group, Inc.        5,563     383,124
Selective Insurance Group, Inc.       23,325   2,314,073
Selectquote, Inc.       52,814      64,433
SiriusPoint, Ltd.       35,413     391,668
Skyward Specialty Insurance Group, Inc.        4,036      98,156
Stewart Information Services Corp.       10,367     480,199
Tiptree, Inc.        9,291     163,707
Trupanion, Inc.#       15,326     455,642
United Fire Group, Inc.        8,143     160,987
Universal Insurance Holdings, Inc.        9,806     124,144
      19,898,204
Internet — 1.7% 
1-800-Flowers.com, Inc., Class A       10,081      75,910
Allbirds, Inc., Class A       36,801      47,473
BARK, Inc.#       42,381      67,810
Blade Air Mobility, Inc.       22,650      72,253
Bumble, Inc., Class A       39,193     657,659
Cargurus, Inc.       37,881     686,025
CarParts.com, Inc.       20,561      99,310
Cars.com, Inc.       25,766     481,567
Cogent Communications Holdings, Inc.       16,770   1,183,627
ContextLogic, Inc., Class A#        8,548      45,775
Couchbase, Inc.       13,164     225,104
DHI Group, Inc.       16,866      63,585
Entravision Communications Corp., Class A       23,298      89,231
ePlus, Inc.       10,293     683,249
Eventbrite, Inc., Class A       29,944     303,333
EverQuote, Inc., Class A        8,199      50,670
Figs, Inc., Class A       49,495     305,879
fuboTV, Inc.       78,794     184,378
Gambling.com Group, Ltd.        4,128      58,535
Grindr, Inc.       15,874      81,592
HealthStream, Inc.        9,452     198,776
Hims & Hers Health, Inc.       47,318     317,504
Lands' End, Inc.        5,809      44,729
Liquidity Services, Inc.        9,183     167,590
Magnite, Inc.       51,851     427,771
MediaAlpha, Inc., Class A        8,381      70,317
Mondee Holdings, Inc.       17,573     113,697
Nerdy, Inc.       22,942     107,369
Nextdoor Holdings, Inc.       56,342     122,262
Open Lending Corp.       38,538     317,938
Opendoor Technologies, Inc.      211,349     824,261
OptimizeRx Corp.        6,439      54,860
Overstock.com, Inc.       17,467     456,063
Perficient, Inc.       13,293     847,960
Q2 Holdings, Inc.       22,048     758,672
QuinStreet, Inc.       20,117     199,158
Revolve Group, Inc.       15,890     232,788
Rover Group, Inc.       35,958     243,436
Shutterstock, Inc.#        9,553     402,277
Solo Brands, Inc., Class A        8,499      47,509
Sprinklr, Inc.       33,688     509,699
Squarespace, Inc., Class A       17,301     521,625
Stitch Fix, Inc., Class A       32,661     143,382
TechTarget, Inc.       10,099     290,346
TrueCar, Inc.       34,139      81,592
Tucows, Inc., Class A#        3,844      90,911
Upwork, Inc.       47,922      709,725
Security Description   Shares or
Principal
Amount
Value
 
Internet (continued) 
Vivid Seats, Inc., Class A        9,867 $     71,634
Yelp, Inc.       26,076   1,117,357
Ziff Davis, Inc.       18,231   1,215,096
      16,169,269
Investment Companies — 0.1% 
Cannae Holdings, Inc.       27,718     544,104
Compass Diversified Holdings       24,464     505,182
FTAI Infrastructure, Inc.       38,311     133,322
      1,182,608
Iron/Steel — 0.7% 
ATI, Inc.       49,959   2,264,641
Carpenter Technology Corp.       18,662   1,168,801
Commercial Metals Co.       45,383   2,554,609
Haynes International, Inc.        4,843     236,387
Schnitzer Steel Industries, Inc., Class A       10,020     332,664
      6,557,102
Leisure Time — 0.5% 
Acushnet Holdings Corp.       12,092     707,987
Bowlero Corp.#       11,383     125,213
Camping World Holdings, Inc., Class A       16,190     400,379
Clarus Corp.#       11,331      81,470
Dragonfly Energy Holdings Corp.        5,893      10,136
Escalade, Inc.        3,853      57,757
Global Business Travel Group I       12,491      84,314
Johnson Outdoors, Inc., Class A        2,096     117,187
Liberty TripAdvisor Holdings, Inc.          200       6,190
Life Time Group Holdings, Inc.       17,292     297,422
Lindblad Expeditions Holdings, Inc.       13,536     122,501
Livewire Group, Inc.#        4,268      47,716
Malibu Boats, Inc., Class A        7,875     382,410
Marine Products Corp.        3,256      45,551
MasterCraft Boat Holdings, Inc.        6,790     147,750
OneSpaWorld Holdings, Ltd.       28,256     323,249
Topgolf Callaway Brands Corp.       55,741     972,123
Virgin Galactic Holdings, Inc.       97,794     246,441
Vista Outdoor, Inc.       21,832     638,586
Xponential Fitness, Inc., Class A#        9,569     207,265
      5,021,647
Lodging — 0.2% 
Bluegreen Vacations Holding Corp.        4,176     149,751
Century Casinos, Inc.       10,647      69,206
Full House Resorts, Inc.       12,716      61,418
Hilton Grand Vacations, Inc.       31,520   1,378,055
Marcus Corp.        9,386     142,573
      1,801,003
Machinery-Construction & Mining — 0.4% 
Argan, Inc.        4,907     208,449
Astec Industries, Inc.        8,803     482,580
Babcock & Wilcox Enterprises, Inc.       22,764     119,511
Bloom Energy Corp., Class A#       74,611   1,118,419
Hyster-Yale Materials Handling, Inc.        4,204     191,997
Manitowoc Co., Inc.       13,496     228,352
NuScale Power Corp.       20,744     123,842
Terex Corp.       26,028   1,577,557
Transphorm, Inc.       10,464      28,567
      4,079,274
Machinery-Diversified — 1.9% 
Alamo Group, Inc.        3,909      670,980
 
146  

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Machinery-Diversified (continued) 
Albany International Corp., Class A       12,119 $  1,123,674
Applied Industrial Technologies, Inc.       14,949   2,307,677
Cactus, Inc., Class A       25,036   1,335,420
Chart Industries, Inc.#       16,349   2,952,302
CIRCOR International, Inc.        7,043     392,225
Columbus McKinnon Corp.       10,927     411,620
CSW Industrials, Inc.        5,970   1,072,391
DXP Enterprises, Inc.        5,584     198,623
Eastman Kodak Co.       22,072      98,662
Gencor Industries, Inc.        4,080      58,262
Gorman-Rupp Co.        8,866     284,953
GrafTech International, Ltd.       75,056     265,698
Ichor Holdings, Ltd.       11,045     404,578
Intevac, Inc.        9,880      34,284
Kadant, Inc.        4,528     994,983
Lindsay Corp.        4,281     531,272
Mueller Water Products, Inc., Class A       60,114     848,810
Tennant Co.        7,172     591,188
Thermon Group Holdings, Inc.       12,947     355,783
Watts Water Technologies, Inc., Class A       10,596   2,000,207
Zurn Elkay Water Solutions Corp.       57,319   1,697,789
      18,631,381
Media — 0.4% 
AMC Networks, Inc., Class A       11,963     139,249
E.W. Scripps Co., Class A       23,038     176,010
Gannett Co, Inc.       55,849     162,521
Gray Television, Inc.       32,064     258,436
iHeartMedia, Inc., Class A       39,754     143,512
Liberty Latin America, Ltd., Class A       14,038     125,500
Liberty Latin America, Ltd., Class C       55,708     499,144
Scholastic Corp.       11,081     481,469
Sinclair, Inc.#       13,634     172,061
TEGNA, Inc.       86,812   1,435,002
Thryv Holdings, Inc.       12,001     244,700
Townsquare Media, Inc.        4,522      43,683
Urban One, Inc.        3,214      17,870
Urban One, Inc.        4,853      26,158
Value Line, Inc.          326      17,412
WideOpenWest, Inc.       19,904     161,222
      4,103,949
Metal Fabricate/Hardware — 0.8% 
AZZ, Inc.        9,611     471,900
Helios Technologies, Inc.       12,691     734,555
Hillman Solutions Corp.       66,833     604,839
Janus International Group, Inc.       32,889     376,579
Mayville Engineering Co., Inc.        4,276      50,200
Mueller Industries, Inc.       21,711   1,675,221
Northwest Pipe Co.        3,810     126,073
Olympic Steel, Inc.        3,817     204,286
Omega Flex, Inc.        1,266     105,964
Park-Ohio Holdings Corp.        3,250      60,808
Proto Labs, Inc.       10,212     301,254
Ryerson Holding Corp.        8,724     271,665
Standex International Corp.        4,569     701,935
TimkenSteel Corp.       16,838     368,921
Tredegar Corp.       10,216      51,387
Worthington Industries, Inc.       11,927     897,745
Xometry, Inc., Class A       13,145     250,412
      7,253,744
Security Description   Shares or
Principal
Amount
Value
 
Mining — 0.7% 
5E Advanced Materials, Inc.#       15,220 $     38,963
Caledonia Mining Corp. Plc        6,354      65,700
Centrus Energy Corp., Class A        4,754     225,625
Century Aluminum Co.       20,376     151,597
Coeur Mining, Inc.      123,752     298,242
Compass Minerals International, Inc.       13,267     400,000
Constellium SE       49,042     882,756
Contango ORE, Inc.#        1,443      26,306
Dakota Gold Corp.       20,812      59,939
Encore Energy Corp.       54,813     140,869
Energy Fuels, Inc.#       60,839     433,782
Hecla Mining Co.      232,648   1,021,325
i-80 Gold Corp.       74,776     148,056
Ivanhoe Electric, Inc.       21,600     337,608
Kaiser Aluminum Corp.        6,177     468,958
NioCorp Developments, Ltd.          754       2,790
Novagold Resources, Inc.       93,643     385,809
Pan American Silver Corp. CVR#      171,891      99,697
Perpetua Resources Corp.       14,620      48,392
Piedmont Lithium, Inc.#        6,946     310,903
PolyMet Mining Corp.       13,222      27,502
United States Lime & Minerals, Inc.          796     172,398
Uranium Energy Corp.#      142,471     615,475
      6,362,692
Miscellaneous Manufacturing — 1.1% 
AMMO, Inc.#       34,916      79,958
Chase Corp.        2,936     371,404
Core Molding Technologies, Inc.        2,999      81,303
EnPro Industries, Inc.        8,115   1,106,805
Fabrinet       14,258   2,292,259
Federal Signal Corp.       23,214   1,414,893
Hillenbrand, Inc.       26,753   1,295,915
John Bean Technologies Corp.       12,336   1,355,850
LSB Industries, Inc.       21,286     215,414
Materion Corp.        7,955     865,425
Myers Industries, Inc.       14,157     266,293
NL Industries, Inc.        3,249      16,797
Park Aerospace Corp.        7,610     103,724
Sight Sciences, Inc.        8,365      54,874
Smith & Wesson Brands, Inc.       17,709     207,904
Sturm Ruger & Co., Inc.        6,773     349,351
Trinity Industries, Inc.       31,451     788,477
      10,866,646
Multi-National — 0.0% 
Banco Latinoamericano de Comercio Exterior SA, Class E       10,649     251,316
Office Furnishings — 0.1% 
CompX International, Inc.          589      12,469
HNI Corp.       17,888     586,011
Interface, Inc.       22,202     229,347
Steelcase, Inc., Class A       34,159     309,822
      1,137,649
Office/Business Equipment — 0.1% 
Pitney Bowes, Inc.       67,956     223,575
Xerox Holdings Corp.       44,458     706,438
      930,013
Oil & Gas — 4.7% 
Amplify Energy Corp.       14,042      91,835
Berry Corp.       29,540     253,158
Borr Drilling, Ltd.       88,612      619,398
 
147

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Oil & Gas (continued) 
California Resources Corp.       27,820 $  1,553,469
Callon Petroleum Co.       23,727     930,810
Chord Energy Corp.       16,211   2,618,077
Civitas Resources, Inc.       26,820   2,205,140
CNX Resources Corp.       63,244   1,413,503
Comstock Resources, Inc.#       35,601     436,468
Crescent Energy Co., Class A       14,807     201,819
CVR Energy, Inc.       11,481     375,429
Delek US Holdings, Inc.       25,758     663,269
Denbury, Inc.       19,482   1,784,162
Diamond Offshore Drilling, Inc.       39,404     585,937
DLB Oil & Gas, Inc.(1)        3,000           0
Earthstone Energy, Inc., Class A       22,119     450,785
Empire Petroleum Corp.        3,924      34,296
Evolution Petroleum Corp.       12,209     103,288
Granite Ridge Resources, Inc.       10,058      74,429
Gulfport Energy Corp.        3,890     459,020
Helmerich & Payne, Inc.       38,915   1,556,211
HighPeak Energy, Inc.#        4,120      60,688
Kosmos Energy, Ltd.      176,820   1,287,250
Magnolia Oil & Gas Corp., Class A       71,021   1,619,279
Matador Resources Co.       43,892   2,787,142
Murphy Oil Corp.       57,570   2,613,678
Nabors Industries, Ltd.        3,548     392,728
Noble Corp. PLC       41,696   2,199,047
Northern Oil and Gas, Inc.       29,101   1,217,295
Par Pacific Holdings, Inc.       21,403     735,193
Patterson-UTI Energy, Inc.       80,303   1,135,484
PBF Energy, Inc., Class A       45,077   2,113,661
Permian Resources Corp.       98,463   1,396,205
PrimeEnergy Resources Corp.          286      27,742
Riley Exploration Permian, Inc.        3,424     114,670
Ring Energy, Inc.#       46,426      87,745
SandRidge Energy, Inc.       12,357     197,588
Seadrill, Ltd.       19,572     952,178
SilverBow Resources, Inc.#        6,844     292,786
Sitio Royalties Corp.       31,261     794,029
SM Energy Co.       46,504   1,967,584
Talos Energy, Inc.       43,307     745,747
Tellurian, Inc.#      206,436     231,208
VAALCO Energy, Inc.       41,724     172,737
Valaris, Ltd.       23,778   1,790,959
Vertex Energy, Inc.       26,139     110,829
Vital Energy, Inc.#        6,544     394,538
Vitesse Energy, Inc.        9,707     225,591
W&T Offshore, Inc.       38,063     155,297
Weatherford International PLC       27,581   2,441,470
      44,670,851
Oil & Gas Services — 1.4% 
Archrock, Inc.       53,850     688,741
Aris Water Solution, Inc., Class A       11,571     118,487
Atlas Energy Solutions, Inc.        6,302     134,170
Bristow Group, Inc.        9,148     253,400
ChampionX Corp.       77,081   2,781,853
Core Laboratories, Inc.       18,156     436,470
DMC Global, Inc.        7,559     181,567
Dril-Quip, Inc.       13,178     363,449
Expro Group Holdings NV       34,156     803,008
Forum Energy Technologies, Inc.        3,797      89,913
Helix Energy Solutions Group, Inc.       55,727     565,072
KLX Energy Services Holdings, Inc.#        4,903       51,016
Security Description   Shares or
Principal
Amount
Value
 
Oil & Gas Services (continued) 
Liberty Energy, Inc.       66,221 $  1,056,225
Mammoth Energy Services, Inc.        9,018      41,753
Newpark Resources, Inc.       29,402     175,824
NexTier Oilfield Solutions, Inc.       75,350     799,463
NOW, Inc.       42,503     474,759
Oceaneering International, Inc.       38,923     887,055
Oil States International, Inc.       24,419     191,445
ProFrac Holding Corp., Class A#        9,347     102,817
ProPetro Holding Corp.       38,188     368,132
Ranger Energy Services, Inc.        6,013      71,615
RPC, Inc.       32,935     263,151
Select Water Solutions, Inc.       32,979     265,481
Solaris Oilfield Infrastructure, Inc., Class A       12,467     131,153
TETRA Technologies, Inc.       48,520     266,375
Tidewater, Inc.       18,402   1,196,682
US Silica Holdings, Inc.       29,191     359,925
      13,119,001
Packaging & Containers — 0.3% 
Clearwater Paper Corp.        6,489     248,464
Greif, Inc., Class A        9,593     696,356
Greif, Inc., Class B        2,001     149,135
Karat Packaging, Inc.        2,210      55,029
O-I Glass, Inc.       60,176   1,195,095
Pactiv Evergreen, Inc.       15,502     127,426
Ranpak Holdings Corp.       16,785     106,249
TriMas Corp.       16,070     421,034
      2,998,788
Pharmaceuticals — 2.9% 
Aclaris Therapeutics, Inc.       26,882     201,077
AdaptHealth Corp.       28,502     340,029
Aduro Biotech Holding, Inc. CVR(1)        6,346           0
Agios Pharmaceuticals, Inc.       21,500     589,745
Alector, Inc.       24,568     133,896
Alkermes PLC       64,226   1,874,757
Amneal Pharmaceuticals, Inc.       47,183     192,978
Amphastar Pharmaceuticals, Inc.       14,706     783,977
Amylyx Pharmaceuticals, Inc.       19,659     423,848
Anika Therapeutics, Inc.        5,666     101,138
Arvinas, Inc.       19,006     536,159
Assertio Holdings, Inc.#       34,350     112,668
BellRing Brands, Inc.       51,928   2,155,012
Beyond Air, Inc.#        9,922      30,212
Biote Corp.        5,419      26,770
Bioxcel Therapeutics, Inc.        7,425      28,067
Catalyst Pharmaceuticals, Inc.       37,323     524,015
Citius Pharmaceuticals, Inc.       47,567      43,391
Coherus Biosciences, Inc.       29,786     158,759
Collegium Pharmaceutical, Inc.       13,419     314,273
Corcept Therapeutics, Inc.       31,065   1,016,757
CorMedix, Inc.       17,272      70,297
Eagle Pharmaceuticals, Inc.        4,005      67,885
Enanta Pharmaceuticals, Inc.        7,742     114,969
Enliven Therapeutics, Inc.#        9,035     141,127
Eyenovia, Inc.#       10,766      20,348
Fennec Pharmaceuticals, Inc.        7,024      57,316
Foghorn Therapeutics, Inc.        7,869      59,568
Gritstone Bio, Inc.       33,972      61,829
Harmony Biosciences Holdings, Inc.       12,769     462,876
Harrow Health, Inc.       10,065     152,686
Herbalife, Ltd.       38,274     574,875
Heron Therapeutics, Inc.#       40,077       65,726
 
148  

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Pharmaceuticals (continued) 
Immuneering Corp., Class A        7,850 $     70,729
Ironwood Pharmaceuticals, Inc.       53,657     472,182
Jounce Therapeutics, Inc. CVR#(1)       15,509         465
KalVista Pharmaceuticals, Inc.        9,532     103,422
Kura Oncology, Inc.       25,226     250,494
Longboard Pharmaceuticals, Inc.        6,030      34,914
Lyell Immunopharma, Inc.#       67,170     160,536
Madrigal Pharmaceuticals, Inc.        5,271     948,780
MannKind Corp.       99,408     458,271
Marinus Pharmaceuticals, Inc.       19,286     137,123
Mirum Pharmaceuticals, Inc.       10,350     273,550
Morphic Holding, Inc.       11,780     648,842
Nature's Sunshine Products, Inc.        5,105      85,815
Nuvectis Pharma, Inc.        2,652      37,950
Ocular Therapeutix, Inc.       30,206     114,179
Optinose, Inc.       28,222      33,584
Option Care Health, Inc.       65,876   2,294,461
ORIC Pharmaceuticals, Inc.       15,108     135,368
Outlook Therapeutics, Inc.#       60,038      13,689
Owens & Minor, Inc.       28,754     485,943
Pacira BioSciences, Inc.       17,633     622,445
PetIQ, Inc.       10,580     201,866
Phibro Animal Health Corp., Class A        7,917     110,442
PMV Pharmaceuticals, Inc.       14,926     107,766
Prestige Consumer Healthcare, Inc.       19,293   1,125,361
Protagonist Therapeutics, Inc.       20,984     415,903
Reata Pharmaceuticals, Inc., Class A       11,063   1,869,647
Reneo Pharmaceuticals, Inc.        3,747      22,557
Revance Therapeutics, Inc.       32,290     569,273
Rhythm Pharmaceuticals, Inc.       19,886     517,235
Scpharmaceuticals, Inc.#       11,178      85,847
Seres Therapeutics, Inc.#       37,651     129,896
SIGA Technologies, Inc.#       17,835      81,863
Summit Therapeutics, Inc.#       44,852      72,660
Supernus Pharmaceuticals, Inc.       19,025     605,756
Taro Pharmaceutical Industries, Ltd.        3,166     125,437
Trevi Therapeutics, Inc.       16,113      35,610
USANA Health Sciences, Inc.        4,401     282,940
Vanda Pharmaceuticals, Inc.       21,865     113,479
Vaxcyte, Inc.       35,585   1,847,573
Verrica Pharmaceuticals, Inc.#        8,081      36,769
Voyager Therapeutics, Inc.       12,293     123,176
Xeris Biopharma Holdings, Inc.#       51,503     116,912
Y-mAbs Therapeutics, Inc.       14,240      72,197
      27,489,937
Pipelines — 0.3% 
Equitrans Midstream Corp.      169,197   1,624,291
Excelerate Energy, Inc., Class A        7,008     130,349
Golar LNG, Ltd.       39,241     867,226
Kinetik Holdings, Inc.#        6,651     233,517
NextDecade Corp.       11,864      72,014
      2,927,397
Private Equity — 0.1% 
Chicago Atlantic Real Estate Finance, Inc.        6,338      95,831
P10, Inc.       16,654     200,681
Patria Investments, Ltd.       21,056     303,627
      600,139
Real Estate — 0.7% 
American Realty Investors, Inc.          578      11,531
Angel Oak Mtg REIT, Inc.#        4,575       42,639
Security Description   Shares or
Principal
Amount
Value
 
Real Estate (continued) 
Anywhere Real Estate, Inc.       41,755 $    273,913
Compass, Inc., Class A      115,648     416,333
Cushman & Wakefield PLC       64,329     591,184
Douglas Elliman, Inc.       31,385      78,776
eXp World Holdings, Inc.#       26,801     515,115
FRP Holdings, Inc.        2,554     145,501
Kennedy-Wilson Holdings, Inc.       46,354     740,273
Legacy Housing Corp.        3,839      87,030
Marcus & Millichap, Inc.        9,350     311,355
Maui Land & Pineapple Co., Inc.        2,919      40,224
McGrath RentCorp        9,564     966,921
Newmark Group, Inc., Class A       52,120     369,531
Radius Global Infrastructure, Inc., Class A       32,875     490,495
RE/MAX Holdings, Inc., Class A        6,767     109,625
Redfin Corp.#       41,171     391,948
RMR Group, Inc., Class A        5,961     150,694
St. Joe Co.       13,339     823,550
Star Holdings        5,016      68,318
Stratus Properties, Inc.        2,182      60,289
Transcontinental Realty Investors, Inc.          731      25,095
      6,710,340
REITS — 6.2% 
Acadia Realty Trust       36,197     538,973
AFC Gamma, Inc.#        6,345      84,135
Alexander & Baldwin, Inc.       28,091     505,919
Alexander's, Inc.          832     159,536
Alpine Income Property Trust, Inc.        5,043      87,698
American Assets Trust, Inc.       18,904     404,735
Apartment Investment & Management Co., Class A       57,445     437,156
Apollo Commercial Real Estate Finance, Inc.       54,992     600,513
Apple Hospitality REIT, Inc.       83,525   1,254,545
Arbor Realty Trust, Inc.       69,532   1,109,731
Ares Commercial Real Estate Corp.#       20,126     208,304
Armada Hoffler Properties, Inc.       26,092     297,188
ARMOUR Residential REIT, Inc.       75,978     373,052
Blackstone Mtg. Trust, Inc., Class A#       66,748   1,469,791
Braemar Hotels & Resorts, Inc.       25,395      69,074
Brandywine Realty Trust       65,912     329,560
BrightSpire Capital, Inc.       49,895     347,269
Broadstone Net Lease, Inc.       72,821   1,177,516
BRT Apartments Corp.        4,618      86,126
CareTrust REIT, Inc.       38,796     781,739
CBL & Associates Properties, Inc.#       10,420     222,884
Centerspace        5,854     378,988
Chatham Lodging Trust       18,668     182,573
Chimera Investment Corp.       90,179     545,583
City Office REIT, Inc.       15,102      76,114
Claros Mtg. Trust, Inc.       35,152     400,381
Clipper Realty, Inc.        4,959      30,498
Community Healthcare Trust, Inc.        9,886     328,116
Corporate Office Properties Trust       43,681   1,130,464
CTO Realty Growth, Inc.#        8,508     149,911
DiamondRock Hospitality Co.       81,451     656,495
Diversified Healthcare Trust       92,531     251,222
Douglas Emmett, Inc.       65,865     900,375
Dynex Capital, Inc.       20,918     271,097
Easterly Government Properties, Inc.       35,868     479,555
Ellington Financial, Inc.#       25,294     338,181
Elme Communities       34,043     523,581
Empire State Realty Trust, Inc., Class A       51,160     446,627
Equity Commonwealth       40,648     773,531
Essential Properties Realty Trust, Inc.       57,640    1,384,513
 
149

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
REITS (continued) 
Farmland Partners, Inc.#       19,581 $    217,349
Four Corners Property Trust, Inc.       33,570     844,621
Franklin BSP Realty Trust, Inc.       32,198     455,280
Getty Realty Corp.       17,362     521,207
Gladstone Commercial Corp.       15,576     204,824
Gladstone Land Corp.#       12,980     204,175
Global Medical REIT, Inc.       23,619     228,632
Global Net Lease, Inc.       40,493     459,596
Granite Point Mtg. Trust, Inc.       19,786     105,657
Hersha Hospitality Trust, Class A       12,112     118,940
Hudson Pacific Properties, Inc.       53,494     364,294
Independence Realty Trust, Inc.       87,403   1,470,992
Innovative Industrial Properties, Inc.       10,817     944,108
InvenTrust Properties Corp.       26,334     629,646
Invesco Mtg. Capital, Inc.#       16,247     182,779
JBG SMITH Properties       43,310     679,101
Kite Realty Group Trust       84,339   1,903,531
KKR Real Estate Finance Trust, Inc.       22,812     285,378
Ladder Capital Corp.       43,866     480,771
LTC Properties, Inc.       15,884     521,948
LXP Industrial Trust      112,240   1,102,197
Macerich Co.       83,716     978,640
MFA Financial, Inc.       39,622     434,257
National Health Investors, Inc.       16,171     826,823
Necessity Retail REIT, Inc.       52,082     390,615
NETSTREIT Corp.       23,733     401,800
New York Mtg. Trust, Inc.       35,245     335,532
NexPoint Diversified Real Estate Trust       11,880     112,385
Nexpoint Real Estate Finance, Inc.        3,123      53,372
NexPoint Residential Trust, Inc.        8,741     328,225
Office Properties Income Trust       18,642     137,951
One Liberty Properties, Inc.        6,292     123,638
Orchid Island Capital, Inc.#       15,241     146,161
Orion Office REIT, Inc.       22,134     129,041
Outfront Media, Inc.       57,159     648,755
Paramount Group, Inc.       71,654     368,302
Peakstone Realty Trust#       10,771     211,650
Pebblebrook Hotel Trust#       47,054     680,871
PennyMac Mtg. Investment Trust       34,226     458,971
Phillips Edison & Co., Inc.       45,700   1,547,402
Physicians Realty Trust       92,195   1,282,432
Piedmont Office Realty Trust, Inc., Class A       47,832     328,606
Plymouth Industrial REIT, Inc.       16,631     381,016
Postal Realty Trust, Inc., Class A#        7,256     104,704
PotlatchDeltic Corp.       30,649   1,448,472
Ready Capital Corp.       62,039     677,466
Redwood Trust, Inc.       44,115     353,361
Retail Opportunity Investments Corp.       47,680     641,773
RLJ Lodging Trust       61,606     615,444
RPT Realty       33,284     377,441
Ryman Hospitality Properties, Inc.       22,379   1,902,886
Sabra Health Care REIT, Inc.       89,666   1,123,515
Safehold, Inc.       11,534     245,444
Saul Centers, Inc.        4,513     169,508
Service Properties Trust       63,874     527,599
SITE Centers Corp.       73,833     985,671
SL Green Realty Corp.#       25,511   1,001,562
Summit Hotel Properties, Inc.       40,589     235,822
Sunstone Hotel Investors, Inc.       80,698     724,668
Tanger Factory Outlet Centers, Inc.       39,582     920,281
Terreno Realty Corp.       31,674   1,928,630
TPG RE Finance Trust, Inc.       26,751      201,168
Security Description   Shares or
Principal
Amount
Value
 
REITS (continued) 
Two Harbors Investment Corp.       37,666 $    518,661
UMH Properties, Inc.       21,308     318,555
Uniti Group, Inc.       92,269     495,485
Universal Health Realty Income Trust        4,983     232,357
Urban Edge Properties       44,505     728,102
Veris Residential, Inc.       30,643     570,266
Whitestone REIT       18,838     188,380
Xenia Hotels & Resorts, Inc.       43,223     510,031
      59,771,972
Retail — 3.8% 
Abercrombie & Fitch Co., Class A       18,908   1,016,305
Academy Sports & Outdoors, Inc.       28,923   1,578,328
American Eagle Outfitters, Inc.       70,776   1,200,361
America's Car-Mart, Inc.        2,267     252,340
Arko Corp.       31,903     240,230
Asbury Automotive Group, Inc.        8,395   1,930,850
Beacon Roofing Supply, Inc.       20,898   1,668,705
Big 5 Sporting Goods Corp.        8,324      66,009
Big Lots, Inc.       11,020      68,324
Biglari Holdings, Inc., Class B          281      52,266
BJ's Restaurants, Inc.        8,812     259,161
Bloomin' Brands, Inc.       33,947     952,553
BlueLinx Holdings, Inc.        3,387     302,324
Boot Barn Holdings, Inc.       11,524   1,057,327
Brinker International, Inc.       16,989     556,050
Buckle, Inc.       11,829     432,232
Build-A-Bear Workshop, Inc.        5,144     135,647
Caleres, Inc.       13,439     385,296
Carrols Restaurant Group, Inc.       14,225      99,290
Carvana Co.       37,160   1,871,006
Cato Corp., Class A        6,737      52,212
Cheesecake Factory, Inc.       18,789     598,430
Chico's FAS, Inc.       47,202     242,146
Children's Place, Inc.        4,618     122,423
Chuy's Holdings, Inc.        6,993     266,433
Clean Energy Fuels Corp.       65,683     279,810
Cracker Barrel Old Country Store, Inc.#        8,546     704,447
Dave & Buster's Entertainment, Inc.       16,794     659,500
Denny's Corp.       21,143     201,493
Designer Brands, Inc., Class A       19,115     200,899
Destination XL Group, Inc.       22,564     102,892
Dillard's, Inc., Class A        1,402     483,858
Dine Brands Global, Inc.        6,057     331,802
Duluth Holdings, Inc., Class B        5,236      33,275
El Pollo Loco Holdings, Inc.       11,081     105,380
Envela Corp.        2,937      14,979
EVgo, Inc.#       27,762     111,603
Fiesta Restaurant Group, Inc.        6,852      57,625
First Watch Restaurant Group, Inc.        5,851     111,871
FirstCash Holdings, Inc.       14,593   1,303,447
Foot Locker, Inc.       31,806     624,034
Genesco, Inc.        4,674     160,225
GMS, Inc.       16,100   1,116,374
Group 1 Automotive, Inc.        5,395   1,426,546
GrowGeneration Corp.#       22,778      74,029
Guess?, Inc.       11,146     268,173
Haverty Furniture Cos., Inc.        5,666     177,346
Hibbett, Inc.        4,870     225,530
J. Jill, Inc.        1,761      44,219
Jack in the Box, Inc.        8,043     646,416
Kura Sushi USA, Inc., Class A#        2,259     197,369
La-Z-Boy, Inc.       16,815      518,743
 
150  

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Retail (continued) 
Lazydays Holdings, Inc.#        4,902 $     57,746
Leslie's, Inc.       68,788     430,613
MarineMax, Inc.        8,277     275,376
Movado Group, Inc.        5,934     162,295
National Vision Holdings, Inc.       30,079     550,746
Noodles & Co.       15,540      43,201
Nu Skin Enterprises, Inc., Class A       19,306     461,220
ODP Corp.       13,273     654,624
ONE Group Hospitality, Inc.#        8,500      58,225
OneWater Marine, Inc., Class A#        4,468     116,659
Papa John's International, Inc.       13,523   1,023,691
Patrick Industries, Inc.        8,270     691,703
PC Connection, Inc.        4,433     235,481
PetMed Express, Inc.        7,954      89,642
Portillo's, Inc., Class A       16,448     301,656
Potbelly Corp.       10,103      80,723
PriceSmart, Inc.       10,018     796,231
Qurate Retail, Inc.          515       3,198
Red Robin Gourmet Burgers, Inc.        6,144      63,713
Sally Beauty Holdings, Inc.       41,564     422,290
Shake Shack, Inc., Class A       14,628   1,023,960
Shoe Carnival, Inc.        6,495     150,229
Signet Jewelers, Ltd.       17,264   1,294,800
Sonic Automotive, Inc., Class A        6,077     324,026
Sportsman's Warehouse Holdings, Inc.       14,657      70,500
Sweetgreen, Inc., Class A       37,412     537,236
Tile Shop Holdings, Inc.       11,153      66,026
Tilly's, Inc., Class A        8,669      77,934
Vera Bradley, Inc.       10,154      72,804
Warby Parker, Inc., Class A       32,820     394,168
Winmark Corp.        1,106     420,866
Zumiez, Inc.        6,167     117,111
      36,656,826
Savings & Loans — 0.8% 
Axos Financial, Inc.       22,023     948,971
Banc of California, Inc.       21,134     264,809
Berkshire Hills Bancorp, Inc.       17,072     356,805
Brookline Bancorp, Inc.       33,815     323,610
Capitol Federal Financial, Inc.       49,448     280,370
Essa Bancorp, Inc.        3,363      53,505
Flushing Financial Corp.       10,920     154,190
FS Bancorp, Inc.        2,566      76,082
Greene County Bancorp, Inc.        2,708      78,018
Hingham Institution for Savings#          576     114,733
Home Bancorp, Inc.        2,806      91,644
HomeTrust Bancshares, Inc.        6,021     137,580
Northfield Bancorp, Inc.       16,057     169,241
Northwest Bancshares, Inc.       49,359     542,949
OceanFirst Financial Corp.       22,563     380,638
Pacific Premier Bancorp, Inc.       36,755     846,100
Provident Financial Services, Inc.       28,440     468,691
Southern Missouri Bancorp, Inc.        3,321     140,478
Timberland Bancorp, Inc.        2,922      82,868
Washington Federal, Inc.       25,377     689,747
WaterStone Financial, Inc.        7,140      88,607
WSFS Financial Corp.       23,719     932,157
      7,221,793
Semiconductors — 2.9% 
ACM Research, Inc., Class A       18,629     327,125
Aehr Test Systems#       10,015      510,865
Security Description   Shares or
Principal
Amount
Value
 
Semiconductors (continued) 
Alpha & Omega Semiconductor, Ltd.        8,979 $    283,287
Ambarella, Inc.       14,143     878,987
Amkor Technology, Inc.       39,685   1,109,593
Atomera, Inc.#        8,204      52,177
Axcelis Technologies, Inc.       12,625   2,425,894
CEVA, Inc.        9,000     208,980
Cohu, Inc.       18,083     676,123
Diodes, Inc.       17,493   1,431,802
FormFactor, Inc.       29,885   1,055,538
Impinj, Inc.        8,903     592,673
inTEST Corp.        4,155      72,796
Kulicke & Soffa Industries, Inc.       21,497   1,112,040
MACOM Technology Solutions Holdings, Inc.       21,059   1,780,749
MaxLinear, Inc.       28,886     678,821
Navitas Semiconductor Corp.       39,515     348,917
Onto Innovation, Inc.       18,971   2,636,590
Photronics, Inc.       23,646     561,829
Power Integrations, Inc.       22,004   1,848,776
Rambus, Inc.       42,237   2,385,123
Richardson Electronics, Ltd.        4,633      58,329
Semtech Corp.       24,764     647,579
Silicon Laboratories, Inc.       12,301   1,658,913
SiTime Corp.        6,653     882,787
SkyWater Technology, Inc.        6,813      45,647
SMART Global Holdings, Inc.       18,714     483,383
Synaptics, Inc.       15,288   1,338,312
Ultra Clean Holdings, Inc.       17,226     605,666
Veeco Instruments, Inc.       19,693     574,839
Vishay Precision Group, Inc.        4,797     172,788
      27,446,928
Software — 5.6% 
8x8, Inc.#       43,829     142,444
ACI Worldwide, Inc.       42,016   1,020,148
ACV Auctions, Inc., Class A       49,212     827,254
Adeia, Inc.       41,437     416,856
Agilysys, Inc.        7,762     547,570
Alignment Healthcare, Inc.       32,943     192,387
Alkami Technology, Inc.       15,298     266,491
Altair Engineering, Inc., Class A       20,807   1,383,249
American Software, Inc., Class A       12,361     142,522
Amplitude, Inc., Class A       26,217     306,215
Apollo Medical Holdings, Inc.       16,585     627,908
Appfolio, Inc., Class A        7,438   1,433,823
Appian Corp., Class A       15,890     773,843
Asana, Inc., Class A       30,774     661,333
Asure Software, Inc.        7,326      91,868
AvePoint, Inc.#       59,369     412,021
Avid Technology, Inc.       13,175     351,246
AvidXchange Holdings, Inc.       57,851     594,708
Bandwidth, Inc., Class A        9,073     130,379
BigBear.ai Holdings, Inc.#       10,394      17,046
BigCommerce Holdings, Inc., Series 1       26,021     275,823
Blackbaud, Inc.       16,869   1,283,900
BlackLine, Inc.       21,832   1,311,230
Box, Inc., Class A       54,604   1,445,914
Braze, Inc.       13,366     618,311
Brightcove, Inc.       16,712      64,341
C3.ai, Inc., Class A#       22,715     704,619
Cardlytics, Inc.#       13,077     217,863
Cerence, Inc.       15,616     407,578
Clear Secure, Inc., Class A       32,283     701,832
Climb Global Solutions, Inc.        1,609       69,203
 
151

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Software (continued) 
CommVault Systems, Inc.       17,293 $  1,181,285
Computer Programs & Systems, Inc.        5,531      89,989
Consensus Cloud Solutions, Inc.        7,683     245,318
CoreCard Corp.        2,803      59,536
CS Disco, Inc.        8,747      83,097
CSG Systems International, Inc.       12,076     655,848
CXApp, Inc.          755       2,997
Daily Journal Corp.          521     153,591
Definitive Healthcare Corp.       17,472     164,237
Digi International, Inc.       13,610     454,302
Digimarc Corp.#        5,503     180,168
Digital Turbine, Inc.       36,661     326,650
DigitalOcean Holdings, Inc.#       24,555     664,213
Domo, Inc., Class B       11,863     126,460
Donnelley Financial Solutions, Inc.        9,581     472,056
Duolingo, Inc.       11,113   1,635,389
E2open Parent Holdings, Inc.       77,243     373,084
Ebix, Inc.       10,227     170,791
eGain Corp.        8,276      55,118
Enfusion, Inc., Class A        9,887      84,435
EngageSmart, Inc.       18,817     333,249
Envestnet, Inc.       19,405   1,060,095
Everbridge, Inc.       15,755     390,882
EverCommerce, Inc.        9,038      95,532
Evolent Health, Inc., Class A       42,643   1,087,823
Expensify, Inc.       21,380      91,720
Fastly, Inc., Class A       45,919   1,092,413
Freshworks, Inc.       62,750   1,372,343
Health Catalyst, Inc.       21,607     252,586
HireRight Holdings Corp.        5,806      60,789
IBEX Holdings, Ltd.        4,234      82,817
Immersion Corporation       12,119      85,075
Innodata, Inc.        9,765     126,945
Inspired Entertainment, Inc.        8,401     110,725
Instructure Holdings, Inc.        7,551     195,646
Intapp, Inc.        6,054     221,637
IonQ, Inc.       62,251   1,070,095
Jamf Holding Corp.       27,054     456,130
Kaltura, Inc.       32,132      60,729
LivePerson, Inc.       24,578     103,228
LiveVox Holdings, Inc.#        8,634      27,801
Matterport, Inc.       97,124     260,292
MeridianLink, Inc.       10,168     180,075
MicroStrategy, Inc., Class A        4,280   1,530,228
Model N, Inc.       14,453     390,231
N-able, Inc.       27,086     362,140
NextGen Healthcare, Inc.       20,961     381,700
Olo, Inc., Class A       40,048     258,310
ON24, Inc.       12,653      86,800
Outbrain, Inc.       15,889      90,726
Outset Medical, Inc.#       19,130     260,359
PagerDuty, Inc.       33,033     850,930
PDF Solutions, Inc.       11,861     431,029
Phreesia, Inc.       19,773     562,937
Planet Labs PBC#       73,881     240,113
Playstudios, Inc.       33,122     117,914
PowerSchool Holdings, Inc., Class A       21,706     480,137
Privia Health Group, Inc.       26,191     687,514
Progress Software Corp.       16,857   1,025,580
PROS Holdings, Inc.       17,311     620,772
PubMatic, Inc., Class A       16,744     232,742
Rackspace Technology, Inc.       30,509       76,273
Security Description   Shares or
Principal
Amount
Value
 
Software (continued) 
Red Violet, Inc.#        4,313 $     88,675
Sapiens International Corp. NV       11,900     355,691
Schrodinger, Inc.#       21,094     778,158
SEMrush Holdings, Inc.       12,131     114,638
Sharecare, Inc.      119,367     113,112
Simulations Plus, Inc.        6,139     273,124
Skillsoft Corp.#       30,997      40,606
SolarWinds Corp.       19,724     210,061
SoundHound AI, Inc.#       54,192     136,564
Sprout Social, Inc., Class A       18,502     990,597
SPS Commerce, Inc.       14,216   2,646,024
Veradigm, Inc.       41,777     558,976
Verint Systems, Inc.       24,497     793,458
Veritone, Inc.#       10,140      31,130
Verra Mobility Corp.       54,070     961,905
Viant Technology, Inc., Class A        5,575      34,955
Vimeo, Inc.       58,944     234,597
Weave Communications, Inc.       12,706     129,728
Workiva, Inc.       18,942   2,118,663
Yext, Inc.       41,445     363,058
Zeta Global Holdings Corp., Class A       51,970     422,516
Zuora, Inc., Class A       47,905     436,415
      53,956,202
Telecommunications — 1.3% 
A10 Networks, Inc.       27,353     407,286
ADTRAN Holdings, Inc.       30,214     258,330
Anterix, Inc.        7,118     235,535
AST SpaceMobile, Inc.#       23,455      91,944
ATN International, Inc.        4,261     152,842
Aviat Networks, Inc.        4,288     151,109
BlackSky Technology, Inc.#       45,759      62,232
Calix, Inc.       22,841   1,062,335
Cambium Networks Corp.        4,700      43,287
Clearfield, Inc.#        5,067     178,105
CommScope Holding Co., Inc.       80,258     268,062
Consolidated Communications Holdings, Inc.       28,733     113,495
Credo Technology Group Holding, Ltd.       37,786     621,958
DigitalBridge Group, Inc.       62,667   1,091,659
DZS, Inc.#        8,432      19,562
EchoStar Corp., Class A       13,031     226,479
Extreme Networks, Inc.       48,873   1,341,564
Globalstar, Inc.#      267,302     384,915
Gogo, Inc.       25,674     291,400
Harmonic, Inc.       42,647     455,470
IDT Corp., Class B        6,028     140,935
Infinera Corp.#       77,239     361,478
InterDigital, Inc.       10,494     909,935
KVH Industries, Inc.        7,262      38,489
Lumen Technologies, Inc.      390,338     620,637
Luna Innovations, Inc.       12,435      85,677
NETGEAR, Inc.       11,064     145,823
Ooma, Inc.        9,234     130,107
Preformed Line Products Co.          962     163,049
Ribbon Communications, Inc.       34,000     100,640
Shenandoah Telecommunications Co.       18,814     427,830
Spok Holdings, Inc.        6,881      97,985
Telephone & Data Systems, Inc.       38,324     823,583
Terran Orbital Corp.       32,985      40,242
Viavi Solutions, Inc.       86,587     904,834
      12,448,813
 
152  

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Textiles — 0.1% 
UniFirst Corp.        5,812 $  1,023,668
Therapeutics — 0.0% 
Tobira Therapeutics, Inc. CVR(1)        4,989           0
Toys/Games/Hobbies — 0.0% 
Funko, Inc., Class A       13,465      93,851
JAKKS Pacific, Inc.        2,797      55,045
      148,896
Transportation — 1.4% 
Air Transport Services Group, Inc.       21,823     470,504
ArcBest Corp.        9,345     986,738
Ardmore Shipping Corp.       15,903     197,833
Costamare, Inc.       18,760     193,416
Covenant Logistics Group, Inc.        3,295     162,015
CryoPort, Inc.#       16,594     233,975
Daseke, Inc.       15,676      83,083
DHT Holdings, Inc.       53,122     491,378
Dorian LPG, Ltd.       12,408     320,126
Eagle Bulk Shipping, Inc.#        5,283     231,184
FLEX LNG, Ltd.       11,537     349,340
Forward Air Corp.       10,130     717,407
Genco Shipping & Trading, Ltd.       16,298     222,794
Golden Ocean Group, Ltd.       47,670     348,468
Heartland Express, Inc.       18,145     273,808
Himalaya Shipping, Ltd.       10,600      52,576
Hub Group, Inc., Class A       12,715     992,279
International Seaways, Inc.       15,734     676,090
Marten Transport, Ltd.       22,497     472,437
Matson, Inc.       13,802   1,212,920
Nordic American Tankers, Ltd.       79,482     310,775
Overseas Shipholding Group A       22,343      98,309
P.A.M. Transportation Services, Inc.        2,394      55,206
Pangaea Logistics Solutions       14,101      79,530
Radiant Logistics, Inc.       14,298      96,511
RXO, Inc.       45,013     813,835
Safe Bulkers, Inc.#       27,346      87,781
Scorpio Tankers, Inc.       20,408   1,030,808
SFL Corp., Ltd.       44,592     503,890
Teekay Corp.       25,815     165,474
Teekay Tankers, Ltd., Class A        9,261     376,737
Universal Logistics Holdings, Inc.        2,626      71,217
Werner Enterprises, Inc.       24,526   1,020,527
World Kinect Corp.       23,890     523,191
      13,922,162
Trucking & Leasing — 0.2% 
GATX Corp.       13,755   1,625,016
Greenbrier Cos., Inc.       12,222     520,168
Willis Lease Finance Corp.        1,097      46,765
      2,191,949
Water — 0.4% 
American States Water Co.       14,354   1,208,750
Artesian Resources Corp., Class A        3,253     150,158
Cadiz, Inc.       15,698      62,949
California Water Service Group       21,724   1,091,631
Consolidated Water Co., Ltd.        5,823     155,125
Global Water Resources, Inc.        4,396      49,015
Middlesex Water Co.        6,788      510,865
Security Description   Shares or
Principal
Amount
  Value
 
Water (continued) 
SJW Group       12,006   $    789,515
York Water Co.        5,517       224,763
        4,242,771
Total Common Stocks
(cost $819,085,204)
      925,252,667
WARRANTS — 0.0% 
Oil & Gas — 0.0% 
Chord Energy Corp.
Expires 09/01/2024
       2,303        59,463
Chord Energy Corp.
Expires 09/01/2025
       1,151        19,855
Nabors Industries, Ltd.
Expires 06/11/2026
       1,334        15,208
Total Warrants
(cost $0)
      94,526
Total Long-Term Investment Securities
(cost $819,085,204)
      925,347,193
SHORT-TERM INVESTMENTS — 2.9% 
Unaffiliated Investment Companies — 2.4% 
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(2)(3)
  23,338,427    23,338,427
U.S. Government — 0.5% 
United States Treasury Bills        
3.96%, 10/05/2023(4)   $   100,000        99,501
4.45%, 11/30/2023(4)      250,000       246,680
5.25%, 10/19/2023(4)    2,200,000     2,184,464
5.28%, 11/09/2023(4)    2,500,000     2,474,670
        5,005,315
Total Short-Term Investments
(cost $28,344,606)
      28,343,742
REPURCHASE AGREEMENTS — 3.1% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $29,320,224 and collateralized by $29,323,800 of United States Treasury Notes, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $29,905,395
(cost $29,318,921)
  29,318,921    29,318,921
TOTAL INVESTMENTS
(cost $876,748,731)
  102.3%   983,009,856
Other assets less liabilities   (2.3)   (22,424,361)
NET ASSETS   100.0%   $960,585,495
# The security or a portion thereof is out on loan.
Non-income producing security
(1) Securities classified as Level 3 (see Note 1).
 
153

VALIC Company I Small Cap Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

(2) The rate shown is the 7-day yield as of August 31, 2023.
(3) At August 31, 2023, the Fund had loaned securities with a total value of $36,736,198. This was secured by collateral of $23,338,427, which was received in cash and subsequently invested in short-term investments currently valued at $23,338,427 as reported in the Portfolio of Investments. Additional collateral of $15,276,761 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
Government National Mtg. Assoc. 1.75% 11/20/2051 $1,585
United States Treasury Bills 0.00% 09/19/2023 to 01/25/2024 776,421
United States Treasury Notes/Bonds 0.13% to 6.62% 10/15/2023 to 05/15/2053 14,498,755
(4) The security or a portion thereof was pledged as collateral to cover margin requirements for open futures contracts.
CVR—Contingent Value Rights
Futures Contracts

Number
of
Contracts
Type Description Expiration
Month
Notional
Basis*
Notional
Value*
Unrealized
Appreciation
372 Long E-Mini Russell 2000 Index September 2023 $35,235,334 $35,369,760 $134,426
* Notional basis refers to the contractual amount agreed upon at inception of the open contract; notional value represents the current value of the open contract.
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks:              
Biotechnology $60,929,381   $  $10,861   $60,940,242
Oil & Gas 44,670,851     0   44,670,851
Pharmaceuticals 27,489,472     465   27,489,937
Therapeutics     0   0
Other Industries 792,151,637       792,151,637
Warrants 94,526       94,526
Short-Term Investments:              
U.S. Government   5,005,315     5,005,315
Other Short-Term Investments 23,338,427       23,338,427
Repurchase Agreements   29,318,921     29,318,921
Total Investments at Value $948,674,294   $34,324,236   $11,326   $983,009,856
Other Financial Instruments:              
Futures Contracts $134,426   $  $  $134,426
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Amounts represent unrealized appreciation/depreciation as of the end of the reporting period.
Level 3 investments in securities were not considered a significant portion of the Fund's net assets.
See Notes to Portfolio of Investments
154  

VALIC Company I Small Cap Special Values Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 95.9% 
Apparel — 0.9% 
Delta Apparel, Inc.      25,888 $    197,267
Levi Strauss & Co., Class A      37,340     514,172
Steven Madden, Ltd.      35,715   1,232,167
      1,943,606
Auto Parts & Equipment — 1.7% 
Douglas Dynamics, Inc.      76,668   2,320,740
Holley, Inc.#     229,018   1,305,403
      3,626,143
Banks — 6.8% 
Associated Banc-Corp      87,437   1,515,283
CVB Financial Corp.      21,467     374,814
First Hawaiian, Inc.      44,239     836,560
Hancock Whitney Corp.      63,200   2,607,000
Renasant Corp.      47,635   1,326,635
SouthState Corp.      36,744   2,656,591
UMB Financial Corp.      56,496   3,571,112
Webster Financial Corp.      25,596   1,085,526
      13,973,521
Beverages — 0.9% 
Primo Water Corp.     119,071   1,817,023
Building Materials — 6.9% 
Eagle Materials, Inc.      31,962   6,051,046
Griffon Corp.      46,647   1,953,110
Knife River Corp.       7,175     369,225
MDU Resources Group, Inc.      41,330     841,479
Simpson Manufacturing Co., Inc.      13,056   2,085,827
UFP Industries, Inc.      27,520   2,871,712
      14,172,399
Chemicals — 10.0% 
Avient Corp.     128,617   5,158,828
Ecovyst, Inc.     170,279   1,743,657
Element Solutions, Inc.      21,666     446,753
Innospec, Inc.      64,833   6,964,361
Mativ Holdings, Inc.     125,231   2,053,788
Minerals Technologies, Inc.      13,470     823,017
NewMarket Corp.       7,556   3,548,600
      20,739,004
Commercial Services — 5.9% 
AMN Healthcare Services, Inc.       4,808     424,931
API Group Corp.     105,407   2,967,207
CBIZ, Inc.      30,085   1,688,069
Custom Truck One Source, Inc.     183,198   1,229,259
Ennis, Inc.      53,493   1,139,401
Euronet Worldwide, Inc.      10,353     904,438
Korn Ferry      43,769   2,231,344
Matthews International Corp., Class A       9,142     385,610
Viad Corp.      43,950   1,247,740
      12,217,999
Computers — 2.7% 
Diebold Nixdorf, Inc.      17,767     316,430
Kyndryl Holdings, Inc.     116,445   1,965,591
Maximus, Inc.      21,878   1,768,180
Parsons Corp.      26,634   1,518,671
      5,568,872
Distribution/Wholesale — 0.2% 
Core & Main, Inc., Class A      10,083     331,126
Security Description   Shares or
Principal
Amount
Value
 
Diversified Financial Services — 1.0% 
Air Lease Corp.      35,807 $  1,459,493
B. Riley Financial, Inc.       7,979     408,565
GlassBridge Enterprises, Inc.#         292           6
Westwood Holdings Group, Inc.      26,724     272,585
      2,140,649
Electric — 0.0% 
IDACORP, Inc.         865      82,902
Electrical Components & Equipment — 2.1% 
Belden, Inc.      46,800   4,394,520
Electronics — 1.2% 
Atkore, Inc.      13,363   2,057,501
Atmus Filtration Technologies, Inc.      14,410     332,151
      2,389,652
Food — 4.7% 
J&J Snack Foods Corp.      39,661   6,430,238
Nomad Foods, Ltd.     144,625   2,652,422
Tootsie Roll Industries, Inc.      20,473     658,207
      9,740,867
Hand/Machine Tools — 2.9% 
Franklin Electric Co., Inc.      61,027   5,901,921
Healthcare-Products — 2.8% 
Azenta, Inc.      32,147   1,814,055
Enovis Corp.      19,894   1,114,860
Patterson Cos., Inc.      48,282   1,450,391
Varex Imaging Corp.      70,552   1,387,758
      5,767,064
Household Products/Wares — 7.3% 
ACCO Brands Corp.     159,364     849,410
Central Garden & Pet Co.      36,118   1,594,249
Central Garden & Pet Co., Class A      51,269   2,091,775
Helen of Troy, Ltd.      21,009   2,582,426
Quanex Building Products Corp.     107,177   2,891,635
Spectrum Brands Holdings, Inc.      61,676   5,129,593
      15,139,088
Insurance — 5.6% 
Enstar Group, Ltd.      12,403   3,141,556
Hanover Insurance Group, Inc.      23,895   2,550,075
Jackson Financial, Inc., Class A      34,449   1,295,282
National Western Life Group, Inc., Class A       2,506   1,139,077
ProAssurance Corp.      46,034     813,881
Stewart Information Services Corp.      55,046   2,549,731
      11,489,602
Internet — 0.5% 
Perficient, Inc.       3,511     223,967
Ziff Davis, Inc.      12,907     860,251
      1,084,218
Investment Companies — 1.1% 
MidCap Financial Investment Corp.#      73,110     990,641
New Mountain Finance Corp.#      95,885   1,224,451
      2,215,092
Machinery-Construction & Mining — 0.1% 
Babcock & Wilcox Enterprises, Inc.      27,553     144,653
Machinery-Diversified — 4.3% 
Alamo Group, Inc.       8,545   1,466,749
Columbus McKinnon Corp.      30,870    1,162,873
 
155

VALIC Company I Small Cap Special Values Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Machinery-Diversified (continued) 
CSW Industrials, Inc.      21,177 $  3,804,025
Kadant, Inc.      11,031   2,423,952
      8,857,599
Media — 0.4% 
DallasNews Corp.      18,100      77,468
Thryv Holdings, Inc.      34,305     699,479
      776,947
Metal Fabricate/Hardware — 5.0% 
Hillman Solutions Corp.     248,062   2,244,961
Janus International Group, Inc.     103,900   1,189,655
Mayville Engineering Co., Inc.#      63,305     743,201
Mueller Industries, Inc.      80,578   6,217,398
      10,395,215
Miscellaneous Manufacturing — 1.0% 
Hillenbrand, Inc.      17,414     843,534
Myers Industries, Inc.      69,107   1,299,903
      2,143,437
Oil & Gas — 6.7% 
Berry Corp.      88,143     755,385
Callon Petroleum Co.      17,942     703,865
Chord Energy Corp.      13,261   2,141,651
Enerplus Corp.#      27,012     462,175
Magnolia Oil & Gas Corp., Class A      88,941   2,027,855
Northern Oil and Gas, Inc.      40,814   1,707,250
Patterson-UTI Energy, Inc.     190,270   2,690,418
SM Energy Co.      16,571     701,119
Southwestern Energy Co.     389,218   2,638,898
      13,828,616
Oil & Gas Services — 0.7% 
Forum Energy Technologies, Inc.      10,077     238,623
Liberty Energy, Inc.      75,880   1,210,286
      1,448,909
Packaging & Containers — 2.4% 
Silgan Holdings, Inc.      59,901   2,703,332
TriMas Corp.      85,868   2,249,742
      4,953,074
Pharmaceuticals — 1.5% 
Perrigo Co. PLC      18,633     652,155
Premier, Inc., Class A      36,234     780,118
Prestige Consumer Healthcare, Inc.      27,275   1,590,951
      3,023,224
REITS — 3.8% 
AGNC Investment Corp.#     200,565   1,987,599
Agree Realty Corp.       8,230     508,779
Apollo Commercial Real Estate Finance, Inc.      77,242     843,483
Elme Communities      67,812    1,042,948
Security Description   Shares or
Principal
Amount
  Value
 
REITS (continued) 
New York Mtg. Trust, Inc.     121,833   $  1,159,850
Two Harbors Investment Corp.     164,722     2,268,222
        7,810,881
Retail — 2.5% 
Academy Sports & Outdoors, Inc.       4,854       264,883
Denny's Corp.     179,116     1,706,975
Dine Brands Global, Inc.      37,724     2,066,521
Jack in the Box, Inc.      13,950     1,121,161
        5,159,540
Semiconductors — 0.2% 
Diodes, Inc.       4,309       352,692
Software — 1.1% 
Concentrix Corp.      11,350       906,070
E2open Parent Holdings, Inc.     158,889       767,434
Everbridge, Inc.      14,392       357,066
Synchronoss Technologies, Inc.     185,801       185,801
        2,216,371
Special Purpose Acquisition Company — 0.0% 
Pershing Square Tontine Holdings, Ltd.(1)      60,410             0
Transportation — 1.0% 
Nordic American Tankers, Ltd.     129,746       507,307
Werner Enterprises, Inc.      38,052     1,583,343
        2,090,650
Total Long-Term Investment Securities
(cost $177,173,507)
      197,937,076
SHORT-TERM INVESTMENTS — 5.0% 
Unaffiliated Investment Companies — 5.0% 
State Street Institutional U.S. Government Money Market Fund, Premier Class
5.28%(2)
  8,410,842     8,410,843
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(2)(3)
  1,788,803     1,788,803
Total Short-Term Investments
(cost $10,199,646)
      10,199,646
TOTAL INVESTMENTS
(cost $187,373,153)
  100.9%   208,136,722
Other assets less liabilities   (0.9)   (1,798,235)
NET ASSETS   100.0%   $206,338,487
Non-income producing security
# The security or a portion thereof is out on loan.
(1) Securities classified as Level 3 (see Note 1).
(2) The rate shown is the 7-day yield as of August 31, 2023.
(3) At August 31, 2023, the Fund had loaned securities with a total value of $1,742,268.  This was secured by collateral of $1,788,803, which was received in cash and subsequently invested in short-term investments currently valued at $1,788,803 as reported in the Portfolio of Investments.
 
156  

VALIC Company I Small Cap Special Values Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks:              
Special Purpose Acquisition Company $  $—   $0   $0
Other Industries 197,937,076       197,937,076
Short-Term Investments 10,199,646       10,199,646
Total Investments at Value $208,136,722   $—   $0   $208,136,722
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Level 3 investments in securities were not considered a significant portion of the Fund's net assets.
See Notes to Portfolio of Investments
157

VALIC Company I Small Cap Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 97.0% 
Aerospace/Defense — 0.1% 
Archer Aviation, Inc., Class A       54,388 $    379,084
Agriculture — 0.6% 
Andersons, Inc.       21,686   1,113,793
Darling Ingredients, Inc.       15,526     958,886
      2,072,679
Airlines — 0.8% 
Hawaiian Holdings, Inc.       84,791     727,507
SkyWest, Inc.       43,418   1,958,152
      2,685,659
Auto Parts & Equipment — 0.7% 
Adient PLC       51,807   2,029,280
Dana, Inc.       27,563     444,040
      2,473,320
Banks — 13.1% 
Ameris Bancorp       42,915   1,748,786
Bancorp, Inc.       12,351     453,405
Bank of N.T. Butterfield & Son, Ltd.       56,963   1,658,763
Banner Corp.       21,828     950,609
Business First Bancshares, Inc.       19,804     404,992
Byline Bancorp, Inc.       49,705   1,052,752
Capital City Bank Group, Inc.       25,485     777,547
Capstar Financial Holdings, Inc.       11,246     146,873
Central Pacific Financial Corp.       19,016     322,702
Columbia Banking System, Inc.       16,091     329,544
Community Trust Bancorp, Inc.        5,970     211,935
ConnectOne Bancorp, Inc.      100,504   1,921,637
Customers Bancorp, Inc.       75,556   2,655,038
CVB Financial Corp.       70,421   1,229,551
Eastern Bankshares, Inc.       96,034   1,292,618
Enterprise Financial Services Corp.       32,259   1,248,746
Financial Institutions, Inc.        8,495     148,663
First BanCorp/Puerto Rico      205,296   2,845,403
First Bancshares, Inc.        5,261     149,360
First Citizens BancShares, Inc., Class A        1,189   1,617,516
First Commonwealth Financial Corp.       17,322     226,399
First Financial Corp.       17,759     652,110
First Foundation, Inc.       15,114     118,796
First Merchants Corp.       26,947     804,099
FNB Corp.       14,295     166,251
Glacier Bancorp, Inc.        6,558     198,117
Hancock Whitney Corp.       23,789     981,296
Heritage Commerce Corp.       48,735     422,532
Home BancShares, Inc.       18,274     405,317
Independent Bank Corp.        6,749     128,838
Independent Bank Corp./MA        7,395     399,478
Mercantile Bank Corp.        2,298      76,707
Merchants Bancorp       55,477   1,618,264
Mid Penn Bancorp, Inc.        4,183      91,566
Midland States Bancorp, Inc.        6,945     154,179
MVB Financial Corp.        3,080      72,503
National Bank Holdings Corp., Class A       10,032     316,409
OFG Bancorp      122,445   3,692,941
Old National Bancorp      140,694   2,146,990
Old Second Bancorp, Inc.       81,815   1,183,863
Orrstown Financial Services, Inc.        5,184     111,974
Pathward Financial, Inc.       33,311   1,641,233
Peapack-Gladstone Financial Corp.       23,071     629,146
Peoples Bancorp, Inc.        2,156      55,560
Pinnacle Financial Partners, Inc.        6,775      450,944
Security Description   Shares or
Principal
Amount
Value
 
Banks (continued) 
Popular, Inc.        8,097 $    552,863
Preferred Bank          968      60,122
Premier Financial Corp.       20,555     387,256
QCR Holdings, Inc.       21,502   1,127,995
Seacoast Banking Corp. of Florida       14,512     342,628
Sierra Bancorp        6,185     122,958
SmartFinancial, Inc.        4,044      92,082
South Plains Financial, Inc.        2,515      65,968
Southside Bancshares, Inc.        9,536     287,034
SouthState Corp.       26,598   1,923,035
Towne Bank       19,342     456,471
TriCo Bancshares       16,227     557,235
Univest Financial Corp.        8,634     155,326
Veritex Holdings, Inc.       48,339     909,257
Wintrust Financial Corp.       22,346   1,734,273
      46,686,455
Beverages — 0.2% 
Primo Water Corp.       54,715     834,951
Biotechnology — 5.7% 
2seventy bio, Inc.       53,099     275,584
Akero Therapeutics, Inc.       14,806     734,822
Allogene Therapeutics, Inc.#      101,935     396,527
Allovir, Inc.#       89,569     280,351
ANI Pharmaceuticals, Inc.        8,097     521,366
Arcellx, Inc.       24,730     886,323
Avidity Biosciences, Inc.       54,560     412,474
BioCryst Pharmaceuticals, Inc.#       43,962     312,570
Biohaven, Ltd.        1,411      25,807
Bluebird Bio, Inc.      119,994     452,377
Cytokinetics, Inc.       18,041     630,353
EQRx, Inc.      161,168     369,075
Fate Therapeutics, Inc.      147,467     370,142
Generation Bio Co.      152,918     730,948
Geron Corp.      157,374     382,419
Intra-Cellular Therapies, Inc.       13,268     736,639
Iovance Biotherapeutics, Inc.      102,731     620,495
Kezar Life Sciences, Inc.#      118,803     177,017
Kymera Therapeutics, Inc.       54,304   1,036,120
Lexicon Pharmaceuticals, Inc.#      357,914     615,612
MacroGenics, Inc.      133,401     621,649
MoonLake Immunotherapeutics       36,058   2,075,859
NeoGenomics, Inc.       65,776     988,613
NGM Biopharmaceuticals, Inc.       48,119      90,945
Prothena Corp. PLC       20,205   1,067,228
Recursion Pharmaceuticals, Inc., Class A       40,709     354,168
Relay Therapeutics, Inc.       84,365     862,210
SpringWorks Therapeutics, Inc.       36,391   1,025,498
Syndax Pharmaceuticals, Inc.       44,999     832,932
Twist Bioscience Corp.       55,620   1,223,084
Veracyte, Inc.       20,368     537,715
Verve Therapeutics, Inc.       58,672     755,109
      20,402,031
Building Materials — 1.5% 
Boise Cascade Co.       14,245   1,557,976
Gibraltar Industries, Inc.       11,420     856,842
Louisiana-Pacific Corp.        2,977     186,003
Summit Materials, Inc., Class A       10,865     406,460
UFP Industries, Inc.       22,846   2,383,980
      5,391,261
 
158  

VALIC Company I Small Cap Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Chemicals — 1.1% 
AdvanSix, Inc.       21,706 $    718,035
Avient Corp.       13,474     540,442
Ecovyst, Inc.       14,141     144,804
H.B. Fuller Co.        7,442     539,768
Minerals Technologies, Inc.        8,623     526,865
Sensient Technologies Corp.        7,782     479,449
Tronox Holdings PLC       64,416     878,634
      3,827,997
Coal — 0.9% 
Alpha Metallurgical Resources, Inc.        6,413   1,300,813
Arch Resources, Inc.        5,103     666,452
Peabody Energy Corp.       33,770     728,756
SunCoke Energy, Inc.       30,560     284,208
Warrior Met Coal, Inc.        4,543     179,721
      3,159,950
Commercial Services — 4.8% 
ABM Industries, Inc.       51,166   2,323,960
API Group Corp.       41,072   1,156,177
Heidrick & Struggles International, Inc.       18,190     481,853
Information Services Group, Inc.      201,410   1,047,332
John Wiley & Sons, Inc., Class A        4,771     177,290
Laureate Education, Inc.       65,139     907,386
LiveRamp Holdings, Inc.       89,540   2,895,724
Marathon Digital Holdings, Inc.#       20,970     263,593
PROG Holdings, Inc.       49,186   1,687,080
Repay Holdings Corp.      241,650   2,228,013
Riot Platforms, Inc.#       62,550     709,942
StoneCo, Ltd., Class A      142,409   1,745,934
Stride, Inc.       15,322     651,032
V2X, Inc.       15,231     766,272
      17,041,588
Computers — 0.4% 
3D Systems Corp.#       57,578     363,317
KBR, Inc.        8,365     514,615
Unisys Corp.      176,439     711,049
      1,588,981
Cosmetics/Personal Care — 0.3% 
Edgewell Personal Care Co.       25,844     996,545
Distribution/Wholesale — 2.8% 
G-III Apparel Group, Ltd.       41,191     817,641
MRC Global, Inc.       84,017     783,039
Resideo Technologies, Inc.       24,843     418,853
Rush Enterprises, Inc., Class A      102,308   4,236,554
ScanSource, Inc.       23,906     783,639
Titan Machinery, Inc.       12,960     402,019
Veritiv Corp.        2,207     371,504
WESCO International, Inc.       12,960   2,097,576
      9,910,825
Diversified Financial Services — 4.6% 
AssetMark Financial Holdings, Inc.       11,651     336,597
Encore Capital Group, Inc.       25,459   1,193,009
Enova International, Inc.       59,136   2,983,411
Hannon Armstrong Sustainable Infrastructure Capital, Inc.        6,695     149,767
Mr. Cooper Group, Inc.       62,828   3,559,835
Navient Corp.       23,799     420,052
Nelnet, Inc., Class A        6,000     551,100
PennyMac Financial Services, Inc.       13,185      946,288
Security Description   Shares or
Principal
Amount
Value
 
Diversified Financial Services (continued) 
Piper Sandler Cos.        3,804 $    566,720
Radian Group, Inc.       75,576   2,046,598
Stifel Financial Corp.        2,845     184,982
StoneX Group, Inc.        9,610     902,187
Victory Capital Holdings, Inc., Class A       47,236   1,625,863
Virtus Investment Partners, Inc.        4,543     940,855
      16,407,264
Electric — 2.3% 
Black Hills Corp.        2,204     121,220
Clearway Energy, Inc., Class A       24,974     585,391
Clearway Energy, Inc., Class C       31,310     775,549
IDACORP, Inc.       13,409   1,285,118
MGE Energy, Inc.       15,905   1,151,999
NorthWestern Corp.       16,989     856,246
Portland General Electric Co.       46,021   2,018,481
Unitil Corp.       26,732   1,305,056
      8,099,060
Electrical Components & Equipment — 1.2% 
Belden, Inc.        4,468     419,545
Encore Wire Corp.       18,693   3,080,794
Powell Industries, Inc.        9,799     822,822
      4,323,161
Electronics — 1.7% 
Benchmark Electronics, Inc.       36,385     936,550
GoPro, Inc., Class A      214,445     779,507
Knowles Corp.      172,834   2,770,529
OSI Systems, Inc.       12,439   1,696,058
      6,182,644
Energy-Alternate Sources — 0.2% 
Green Plains, Inc.       19,925     618,472
REX American Resources Corp.        4,876     192,553
      811,025
Engineering & Construction — 1.2% 
Comfort Systems USA, Inc.        6,724   1,241,049
MasTec, Inc.        4,557     453,376
MYR Group, Inc.       11,805   1,677,136
Primoris Services Corp.       21,378     756,140
      4,127,701
Entertainment — 1.4% 
International Game Technology PLC       20,843     667,393
Light & Wonder, Inc.       28,987   2,222,433
Marriott Vacations Worldwide Corp.        5,389     585,731
SeaWorld Entertainment, Inc.       29,183   1,421,212
      4,896,769
Environmental Control — 0.3% 
Heritage-Crystal Clean, Inc.       21,301     960,675
Food — 1.3% 
Hostess Brands, Inc.       64,784   1,845,048
John B. Sanfilippo & Son, Inc.        8,943     897,430
Sprouts Farmers Market, Inc.       31,130   1,269,793
United Natural Foods, Inc.       26,058     524,548
      4,536,819
Gas — 1.2% 
Chesapeake Utilities Corp.        6,929     762,883
New Jersey Resources Corp.       16,191     682,774
Northwest Natural Holding Co.       20,275      796,402
 
159

VALIC Company I Small Cap Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Gas (continued) 
ONE Gas, Inc.       15,086 $  1,093,282
Southwest Gas Holdings, Inc.        1,206      74,688
Spire, Inc.       16,989     992,328
      4,402,357
Hand/Machine Tools — 0.0% 
Luxfer Holdings PLC        6,903      83,043
Healthcare-Products — 1.5% 
Alphatec Holdings, Inc.       93,633   1,530,899
Inari Medical, Inc.       19,566   1,303,487
Pacific Biosciences of California, Inc.       66,674     752,083
RxSight, Inc.       64,287   1,864,966
      5,451,435
Healthcare-Services — 0.4% 
Fulgent Genetics, Inc.       16,847     551,908
ModivCare, Inc.       13,177     422,981
Surgery Partners, Inc.       12,777     463,294
      1,438,183
Home Builders — 3.9% 
Forestar Group, Inc.       86,533   2,467,056
M/I Homes, Inc.       33,794   3,317,895
Meritage Homes Corp.       25,988   3,613,372
Taylor Morrison Home Corp.       58,612   2,778,209
Tri Pointe Homes, Inc.       52,385   1,629,173
      13,805,705
Home Furnishings — 0.2% 
Xperi, Inc.       57,619     679,904
Household Products/Wares — 0.7% 
ACCO Brands Corp.       28,014     149,314
Central Garden & Pet Co., Class A       58,821   2,399,897
      2,549,211
Insurance — 2.7% 
American Equity Investment Life Holding Co.       22,286   1,196,313
CNO Financial Group, Inc.       15,963     373,534
Employers Holdings, Inc.        7,409     290,655
Essent Group, Ltd.       65,792   3,304,074
Jackson Financial, Inc., Class A       40,170   1,510,392
James River Group Holdings, Ltd.       24,524     357,069
NMI Holdings, Inc., Class A       48,017   1,374,247
RLI Corp.        7,878   1,036,115
Skyward Specialty Insurance Group, Inc.       11,098     269,903
      9,712,302
Internet — 0.5% 
Cars.com, Inc.       15,758     294,517
Entravision Communications Corp., Class A      135,907     520,524
Magnite, Inc.       65,545     540,746
QuinStreet, Inc.       34,876     345,272
      1,701,059
Iron/Steel — 1.1% 
Commercial Metals Co.       58,865   3,313,511
Schnitzer Steel Industries, Inc., Class A       15,373     510,383
      3,823,894
Leisure Time — 0.4% 
Topgolf Callaway Brands Corp.       84,715   1,477,430
Security Description   Shares or
Principal
Amount
Value
 
Lodging — 0.4% 
Bluegreen Vacations Holding Corp.#       32,285 $  1,157,740
Full House Resorts, Inc.       64,595     311,994
      1,469,734
Machinery-Construction & Mining — 0.5% 
Argan, Inc.       18,819     799,431
Terex Corp.       15,065     913,090
      1,712,521
Machinery-Diversified — 0.5% 
AGCO Corp.       11,651   1,509,154
Albany International Corp., Class A        2,181     202,222
      1,711,376
Media — 0.9% 
AMC Networks, Inc., Class A       30,437     354,287
Gray Television, Inc.      108,826     877,138
Liberty Latin America, Ltd., Class A       23,534     210,394
Liberty Latin America, Ltd., Class C      141,492   1,267,768
Thryv Holdings, Inc.       22,327     455,247
      3,164,834
Metal Fabricate/Hardware — 0.8% 
Mueller Industries, Inc.       25,492   1,966,963
Olympic Steel, Inc.        3,260     174,475
Ryerson Holding Corp.       18,914     588,982
      2,730,420
Mining — 0.2% 
Constellium SE       36,890     664,020
Miscellaneous Manufacturing — 0.4% 
EnPro Industries, Inc.        2,951     402,487
Myers Industries, Inc.        3,976      74,789
Sight Sciences, Inc.      136,747     897,060
      1,374,336
Oil & Gas — 5.5% 
Berry Corp.        7,493      64,215
California Resources Corp.       35,524   1,983,660
Chord Energy Corp.       12,893   2,082,220
Civitas Resources, Inc.       10,196     838,315
CNX Resources Corp.       46,767   1,045,242
CVR Energy, Inc.       27,346     894,214
Delek US Holdings, Inc.        4,008     103,206
Gulfport Energy Corp.        8,843   1,043,474
Helmerich & Payne, Inc.       21,336     853,227
Matador Resources Co.       31,465   1,998,028
Murphy Oil Corp.       49,967   2,268,502
Noble Corp. PLC       20,431   1,077,531
Ovintiv, Inc.       29,598   1,389,922
Par Pacific Holdings, Inc.        8,341     286,513
Patterson-UTI Energy, Inc.       21,635     305,919
PBF Energy, Inc., Class A       16,726     784,282
SM Energy Co.       60,966   2,579,471
      19,597,941
Oil & Gas Services — 1.6% 
ChampionX Corp.       11,598     418,572
Expro Group Holdings NV       21,926     515,480
Liberty Energy, Inc.       68,591   1,094,026
NexTier Oilfield Solutions, Inc.       62,436     662,446
NOW, Inc.      166,634    1,861,302
 
160  

VALIC Company I Small Cap Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Oil & Gas Services (continued) 
Oil States International, Inc.       64,267 $    503,853
Select Water Solutions, Inc.       84,990     684,170
      5,739,849
Packaging & Containers — 0.3% 
Greif, Inc., Class A        9,522     691,202
O-I Glass, Inc.       18,221     361,869
      1,053,071
Pharmaceuticals — 0.8% 
AdaptHealth Corp.       74,784     892,173
Agios Pharmaceuticals, Inc.       24,971     684,955
BellRing Brands, Inc.        7,490     310,835
Herbalife, Ltd.       64,551     969,556
      2,857,519
REITS — 11.0% 
Acadia Realty Trust        5,942      88,476
Agree Realty Corp.       50,855   3,143,856
Alexander & Baldwin, Inc.       12,306     221,631
American Assets Trust, Inc.        8,463     181,193
Apple Hospitality REIT, Inc.      134,217   2,015,939
Armada Hoffler Properties, Inc.       19,864     226,251
Blackstone Mtg. Trust, Inc., Class A#       24,545     540,481
Brandywine Realty Trust      118,244     591,220
Broadstone Net Lease, Inc.       92,492   1,495,596
CareTrust REIT, Inc.       25,636     516,565
Community Healthcare Trust, Inc.       11,415     378,864
Corporate Office Properties Trust       66,700   1,726,196
DiamondRock Hospitality Co.       99,238     799,858
Dynex Capital, Inc.       43,258     560,624
Ellington Financial, Inc.#       16,604     221,995
Equity Commonwealth       22,091     420,392
Essential Properties Realty Trust, Inc.       40,367     969,615
First Industrial Realty Trust, Inc.        7,314     379,889
Global Medical REIT, Inc.       14,885     144,087
Independence Realty Trust, Inc.       24,366     410,080
Innovative Industrial Properties, Inc.        5,411     472,272
Kite Realty Group Trust       87,289   1,970,113
KKR Real Estate Finance Trust, Inc.       28,852     360,939
Ladder Capital Corp.       80,887     886,522
LXP Industrial Trust       81,095     796,353
Macerich Co.       16,737     195,656
MFA Financial, Inc.      220,636   2,418,171
NETSTREIT Corp.        8,509     144,057
PennyMac Mtg. Investment Trust       78,050   1,046,651
Phillips Edison & Co., Inc.       13,524     457,923
Physicians Realty Trust      115,724   1,609,721
Piedmont Office Realty Trust, Inc., Class A       81,622     560,743
Plymouth Industrial REIT, Inc.       19,496     446,653
PotlatchDeltic Corp.       29,759   1,406,410
Ready Capital Corp.       20,121     219,721
Regency Centers Corp.        2,574     160,103
Retail Opportunity Investments Corp.      146,805   1,975,995
RLJ Lodging Trust      105,619   1,055,134
RPT Realty       55,289     626,977
Ryman Hospitality Properties, Inc.       21,072   1,791,752
Sabra Health Care REIT, Inc.        9,219     115,514
SITE Centers Corp.       78,889   1,053,168
SL Green Realty Corp.#        7,440     292,094
STAG Industrial, Inc.       48,968   1,788,801
Terreno Realty Corp.       19,713   1,200,325
UMH Properties, Inc.       24,916      372,494
Security Description   Shares or
Principal
Amount
Value
 
REITS (continued) 
Veris Residential, Inc.       22,822 $    424,717
Xenia Hotels & Resorts, Inc.       18,130     213,934
      39,095,721
Retail — 4.4% 
Academy Sports & Outdoors, Inc.       14,956     816,149
Asbury Automotive Group, Inc.        6,683   1,537,090
Beacon Roofing Supply, Inc.       37,579   3,000,683
BJ's Wholesale Club Holdings, Inc.        8,267     557,113
Bloomin' Brands, Inc.       31,130     873,508
BlueLinx Holdings, Inc.       10,151     906,078
Dine Brands Global, Inc.       14,962     819,618
FirstCash Holdings, Inc.       12,134   1,083,809
GMS, Inc.       17,548   1,216,778
Group 1 Automotive, Inc.        7,859   2,078,077
ODP Corp.       25,356   1,250,558
Sally Beauty Holdings, Inc.       57,179     580,939
Signet Jewelers, Ltd.       13,596   1,019,700
      15,740,100
Savings & Loans — 1.7% 
Axos Financial, Inc.       31,972   1,377,673
Banc of California, Inc.       48,960     613,469
Brookline Bancorp, Inc.       41,198     394,265
HomeTrust Bancshares, Inc.       14,988     342,476
OceanFirst Financial Corp.      139,341   2,350,683
Washington Federal, Inc.       30,042     816,541
WaterStone Financial, Inc.        5,671      70,377
      5,965,484
Semiconductors — 2.1% 
ACM Research, Inc., Class A       91,902   1,613,799
Cohu, Inc.       30,843   1,153,220
Photronics, Inc.       79,108   1,879,606
Synaptics, Inc.       23,799   2,083,365
Veeco Instruments, Inc.       26,528     774,352
      7,504,342
Software — 2.3% 
Adeia, Inc.       72,875     733,123
Avid Technology, Inc.       45,450   1,211,697
C3.ai, Inc., Class A#        6,117     189,749
E2open Parent Holdings, Inc.      180,347     871,076
Evolent Health, Inc., Class A       45,664   1,164,889
Health Catalyst, Inc.      118,503   1,385,300
ON24, Inc.       81,405     558,438
Phreesia, Inc.       21,301     606,439
Veradigm, Inc.       27,947     373,931
Verint Systems, Inc.       29,010     939,634
      8,034,276
Telecommunications — 0.7% 
ATN International, Inc.        3,976     142,619
Aviat Networks, Inc.        8,649     304,791
EchoStar Corp., Class A       34,749     603,937
Gogo, Inc.       47,014     533,609
NETGEAR, Inc.       56,905     750,008
      2,334,964
Transportation — 2.7% 
ArcBest Corp.       21,070   2,224,781
Dorian LPG, Ltd.       42,525   1,097,145
Hub Group, Inc., Class A       24,351   1,900,352
International Seaways, Inc.       23,123      993,595
 
161

VALIC Company I Small Cap Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
COMMON STOCKS (continued) 
Transportation (continued) 
Matson, Inc.       17,656   $  1,551,609
Radiant Logistics, Inc.       58,775       396,731
Safe Bulkers, Inc.#       50,275       161,383
Teekay Tankers, Ltd., Class A       15,858       645,104
World Kinect Corp.       26,254       574,963
        9,545,663
Trucking & Leasing — 0.1% 
GATX Corp.        3,157       372,968
Water — 0.3% 
American States Water Co.       10,830       911,994
Total Long-Term Investment Securities
(cost $326,495,466)
      344,502,100
SHORT-TERM INVESTMENTS — 0.7% 
Unaffiliated Investment Companies — 0.7% 
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(1)(2)
(cost $2,491,433)
   2,491,433     2,491,433
REPURCHASE AGREEMENTS — 2.8% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $10,024,156 and collateralized by $10,025,500 of United States Treasury Notes, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $10,224,341
(cost $10,023,710)
  $10,023,710    10,023,710
TOTAL INVESTMENTS
(cost $339,010,609)
  100.5%   357,017,243
Other assets less liabilities   (0.5)   (1,740,600)
NET ASSETS   100.0%   $355,276,643
Non-income producing security
# The security or a portion thereof is out on loan.
(1) The rate shown is the 7-day yield as of August 31, 2023.
(2) At August 31, 2023, the Fund had loaned securities with a total value of $4,608,536. This was secured by collateral of $2,491,433, which was received in cash and subsequently invested in short-term investments currently valued at $2,491,433 as reported in the Portfolio of Investments. Additional collateral of $2,352,756 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
United States Treasury Bills 0.00% 09/19/2023 to 01/25/2024 $206,505
United States Treasury Notes/Bonds 0.13% to 6.62% 10/15/2023 to 05/15/2053 2,146,251
 
Futures Contracts

Number
of
Contracts
Type Description Expiration
Month
Notional
Basis*
Notional
Value*
Unrealized
Appreciation
109 Long E-Mini Russell 2000 Index September 2023 $10,334,452 $10,363,720 $29,268
* Notional basis refers to the contractual amount agreed upon at inception of the open contract; notional value represents the current value of the open contract.
162  

VALIC Company I Small Cap Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $344,502,100   $  $—   $344,502,100
Short-Term Investments 2,491,433       2,491,433
Repurchase Agreements   10,023,710     10,023,710
Total Investments at Value $346,993,533   $10,023,710   $—   $357,017,243
Other Financial Instruments:              
Futures Contracts $29,268   $  $—   $29,268
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Amounts represent unrealized appreciation/depreciation as of the end of the reporting period.
See Notes to Portfolio of Investments
163

VALIC Company I Stock Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 94.3% 
Advertising — 0.1% 
Interpublic Group of Cos., Inc.        56,122 $    1,830,138
Omnicom Group, Inc.        29,006     2,349,776
      4,179,914
Aerospace/Defense — 1.4% 
Boeing Co.        82,213    18,418,178
General Dynamics Corp.        32,704     7,412,034
Howmet Aerospace, Inc.        53,476     2,645,458
L3Harris Technologies, Inc.        27,543     4,905,133
Lockheed Martin Corp.        32,768    14,691,533
Northrop Grumman Corp.        20,753     8,987,917
RTX Corp.       212,423    18,276,875
TransDigm Group, Inc.         7,586     6,856,606
      82,193,734
Agriculture — 0.7% 
Altria Group, Inc.       259,512    11,475,620
Archer-Daniels-Midland Co.        79,180     6,278,974
Bunge, Ltd.        21,894     2,502,922
Philip Morris International, Inc.       225,661    21,676,996
      41,934,512
Airlines — 0.2% 
Alaska Air Group, Inc.        18,596       780,474
American Airlines Group, Inc.        94,914     1,398,083
Delta Air Lines, Inc.        93,439     4,006,664
Southwest Airlines Co.        86,513     2,733,811
United Airlines Holdings, Inc.        47,681     2,374,991
      11,294,023
Apparel — 0.4% 
NIKE, Inc., Class B       179,123    18,218,601
Ralph Lauren Corp.         5,975       696,864
Tapestry, Inc.        33,699     1,122,851
VF Corp.        48,028       949,033
      20,987,349
Auto Manufacturers — 2.2% 
Cummins, Inc.        20,581     4,734,453
Ford Motor Co.       571,338     6,930,330
General Motors Co.       202,098     6,772,304
PACCAR, Inc.        75,973     6,251,818
Tesla, Inc.       391,669   101,081,936
      125,770,841
Auto Parts & Equipment — 0.1% 
Aptiv PLC        39,327     3,989,724
BorgWarner, Inc.        34,074     1,388,516
      5,378,240
Banks — 3.5% 
Bank of America Corp.     1,007,954    28,898,041
Bank of New York Mellon Corp.       104,400     4,684,428
Citigroup, Inc.       283,022    11,685,978
Citizens Financial Group, Inc.        70,363     1,979,311
Comerica, Inc.        19,142       920,922
Fifth Third Bancorp        98,964     2,627,494
Goldman Sachs Group, Inc.        48,332    15,838,880
Huntington Bancshares, Inc.       209,875     2,327,514
JPMorgan Chase & Co.       424,847    62,167,862
KeyCorp       135,970     1,540,540
M&T Bank Corp.        24,114     3,015,456
Morgan Stanley       189,387     16,126,303
Security Description   Shares or
Principal
Amount
Value
 
Banks (continued) 
Northern Trust Corp.        30,289 $    2,304,084
PNC Financial Services Group, Inc.        58,023     7,005,117
Regions Financial Corp.       136,413     2,501,814
State Street Corp.        48,595     3,340,420
Truist Financial Corp.       193,636     5,915,580
US Bancorp       202,801     7,408,321
Wells Fargo & Co.       545,504    22,523,860
Zions Bancorp NA        21,531       764,350
      203,576,275
Beverages — 1.5% 
Brown-Forman Corp., Class B        26,590     1,758,397
Coca-Cola Co.       565,843    33,854,387
Constellation Brands, Inc., Class A        23,442     6,108,047
Keurig Dr Pepper, Inc.       122,450     4,120,442
Molson Coors Beverage Co., Class B        27,295     1,732,960
Monster Beverage Corp.       111,086     6,377,447
PepsiCo, Inc.       200,291    35,635,775
      89,587,455
Biotechnology — 1.4% 
Amgen, Inc.        77,681    19,912,748
Biogen, Inc.        21,043     5,626,056
Bio-Rad Laboratories, Inc., Class A         3,103     1,241,821
Corteva, Inc.       103,348     5,220,107
Gilead Sciences, Inc.       181,342    13,869,036
Illumina, Inc.        22,985     3,797,582
Incyte Corp.        26,919     1,737,083
Moderna, Inc.        47,662     5,389,142
Regeneron Pharmaceuticals, Inc.        15,686    12,964,322
Vertex Pharmaceuticals, Inc.        37,443    13,042,895
      82,800,792
Building Materials — 0.5% 
Carrier Global Corp.       121,370     6,972,706
Johnson Controls International PLC        99,746     5,890,999
Martin Marietta Materials, Inc.         9,009     4,021,708
Masco Corp.        32,724     1,931,043
Mohawk Industries, Inc.         7,684       779,081
Trane Technologies PLC        33,155     6,805,395
Vulcan Materials Co.        19,344     4,221,828
      30,622,760
Chemicals — 1.5% 
Air Products & Chemicals, Inc.        32,293     9,542,259
Albemarle Corp.        17,058     3,389,595
Celanese Corp.        14,551     1,838,664
CF Industries Holdings, Inc.        28,338     2,184,010
Dow, Inc.       102,831     5,610,459
DuPont de Nemours, Inc.        66,733     5,131,100
Eastman Chemical Co.        17,323     1,472,628
Ecolab, Inc.        36,012     6,619,366
FMC Corp.        18,178     1,567,489
International Flavors & Fragrances, Inc.        37,086     2,612,709
Linde PLC        71,178    27,548,733
LyondellBasell Industries NV, Class A        36,885     3,643,131
Mosaic Co.        48,283     1,875,795
PPG Industries, Inc.        34,225     4,851,736
Sherwin-Williams Co.        34,118     9,270,543
      87,158,217
Commercial Services — 1.7% 
Automatic Data Processing, Inc.        60,060    15,291,877
Cintas Corp.        12,568      6,336,409
 
164  

VALIC Company I Stock Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Commercial Services (continued) 
CoStar Group, Inc.        59,394 $    4,869,714
Equifax, Inc.        17,830     3,685,461
FleetCor Technologies, Inc.        10,734     2,916,750
Gartner, Inc.        11,491     4,018,173
Global Payments, Inc.        38,083     4,824,735
MarketAxess Holdings, Inc.         5,476     1,319,333
Moody's Corp.        22,943     7,727,202
PayPal Holdings, Inc.       162,204    10,139,372
Quanta Services, Inc.        21,106     4,429,516
Robert Half, Inc.        15,667     1,158,731
Rollins, Inc.        33,672     1,332,401
S&P Global, Inc.        47,685    18,638,159
United Rentals, Inc.         9,992     4,761,588
Verisk Analytics, Inc.        21,050     5,098,731
      96,548,152
Computers — 8.3% 
Accenture PLC, Class A        91,813    29,726,295
Apple, Inc.     2,149,464   403,819,802
Cognizant Technology Solutions Corp., Class A        73,778     5,283,242
DXC Technology Co.        33,101       686,515
EPAM Systems, Inc.         8,418     2,180,178
Fortinet, Inc.        94,747     5,704,717
Hewlett Packard Enterprise Co.       188,395     3,200,831
HP, Inc.       126,032     3,744,411
International Business Machines Corp.       132,013    19,383,469
Leidos Holdings, Inc.        19,942     1,944,544
NetApp, Inc.        31,098     2,385,217
Seagate Technology Holdings PLC        27,998     1,981,978
Western Digital Corp.        46,513     2,093,085
      482,134,284
Cosmetics/Personal Care — 1.3% 
Colgate-Palmolive Co.       120,604     8,860,776
Estee Lauder Cos., Inc., Class A        33,710     5,411,466
Kenvue, Inc.       250,552     5,775,224
Procter & Gamble Co.       342,660    52,886,144
      72,933,610
Distribution/Wholesale — 0.3% 
Copart, Inc.       124,718     5,591,108
Fastenal Co.        83,016     4,780,061
LKQ Corp.        36,916     1,939,197
Pool Corp.         5,676     2,075,146
WW Grainger, Inc.         6,491     4,635,483
      19,020,995
Diversified Financial Services — 3.4% 
American Express Co.        86,443    13,657,130
Ameriprise Financial, Inc.        15,146     5,112,987
BlackRock, Inc.        21,773    15,252,858
Capital One Financial Corp.        55,508     5,683,464
Cboe Global Markets, Inc.        15,349     2,297,899
Charles Schwab Corp.       216,049    12,779,298
CME Group, Inc.        52,296    10,599,353
Discover Financial Services        36,919     3,325,294
Franklin Resources, Inc.        41,505     1,109,844
Intercontinental Exchange, Inc.        81,394     9,603,678
Invesco, Ltd.        66,609     1,060,415
Mastercard, Inc., Class A       121,650    50,197,656
Nasdaq, Inc.        49,230     2,583,590
Raymond James Financial, Inc.        27,727     2,899,967
Synchrony Financial        62,306      2,011,238
Security Description   Shares or
Principal
Amount
Value
 
Diversified Financial Services (continued) 
T. Rowe Price Group, Inc.        32,649 $    3,664,197
Visa, Inc., Class A       235,260    57,798,677
      199,637,545
Electric — 2.2% 
AES Corp.        97,309     1,744,750
Alliant Energy Corp.        36,547     1,833,563
Ameren Corp.        38,179     3,026,449
American Electric Power Co., Inc.        74,841     5,867,535
CenterPoint Energy, Inc.        91,740     2,558,629
CMS Energy Corp.        42,401     2,382,512
Consolidated Edison, Inc.        50,381     4,481,894
Constellation Energy Corp.        47,163     4,912,498
Dominion Energy, Inc.       121,530     5,899,066
DTE Energy Co.        29,964     3,097,678
Duke Energy Corp.       112,039     9,949,063
Edison International        55,679     3,833,499
Entergy Corp.        30,740     2,927,985
Evergy, Inc.        33,391     1,835,503
Eversource Energy        50,715     3,236,631
Exelon Corp.       144,592     5,801,031
FirstEnergy Corp.        79,116     2,853,714
NextEra Energy, Inc.       294,168    19,650,423
NRG Energy, Inc.        33,471     1,256,836
PG&E Corp.       235,021     3,830,842
Pinnacle West Capital Corp.        16,465     1,272,251
PPL Corp.       107,156     2,670,328
Public Service Enterprise Group, Inc.        72,540     4,430,743
Sempra        91,488     6,424,287
Southern Co.       158,524    10,736,831
WEC Energy Group, Inc.        45,858     3,857,575
Xcel Energy, Inc.        80,012     4,571,086
      124,943,202
Electrical Components & Equipment — 0.2% 
AMETEK, Inc.        33,507     5,344,702
Emerson Electric Co.        83,086     8,163,199
Generac Holdings, Inc.         9,042     1,074,280
      14,582,181
Electronics — 0.9% 
Agilent Technologies, Inc.        42,990     5,204,799
Allegion PLC        12,786     1,455,175
Amphenol Corp., Class A        86,548     7,649,112
Fortive Corp.        51,400     4,052,890
Garmin, Ltd.        22,248     2,358,733
Honeywell International, Inc.        96,741    18,181,504
Keysight Technologies, Inc.        25,898     3,452,203
Mettler-Toledo International, Inc.         3,201     3,884,349
TE Connectivity, Ltd.        45,812     6,065,051
Trimble, Inc.        36,018     1,973,426
      54,277,242
Energy-Alternate Sources — 0.1% 
Enphase Energy, Inc.        19,924     2,520,984
First Solar, Inc.        14,443     2,731,460
SolarEdge Technologies, Inc.         8,192     1,331,773
      6,584,217
Engineering & Construction — 0.0% 
Jacobs Solutions, Inc.        18,442     2,486,350
 
165

VALIC Company I Stock Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Entertainment — 0.1% 
Caesars Entertainment, Inc.        31,287 $    1,728,919
Live Nation Entertainment, Inc.        20,924     1,768,706
      3,497,625
Environmental Control — 0.2% 
Pentair PLC        23,981     1,684,905
Republic Services, Inc.        29,888     4,307,758
Waste Management, Inc.        53,821     8,438,056
      14,430,719
Food — 0.9% 
Campbell Soup Co.        29,171     1,216,431
Conagra Brands, Inc.        69,333     2,071,670
General Mills, Inc.        85,390     5,777,487
Hershey Co.        21,413     4,600,797
Hormel Foods Corp.        42,112     1,625,102
J.M. Smucker Co.        15,503     2,247,160
Kellogg Co.        37,373     2,280,501
Kraft Heinz Co.       115,971     3,837,480
Kroger Co.        94,943     4,404,406
Lamb Weston Holdings, Inc.        21,183     2,063,436
McCormick & Co., Inc.        36,467     2,993,211
Mondelez International, Inc., Class A       197,988    14,108,625
Sysco Corp.        73,662     5,130,558
Tyson Foods, Inc., Class A        41,521     2,211,824
      54,568,688
Forest Products & Paper — 0.0% 
International Paper Co.        50,456     1,761,924
Gas — 0.1% 
Atmos Energy Corp.        21,006     2,435,646
NiSource, Inc.        60,052     1,606,991
      4,042,637
Hand/Machine Tools — 0.1% 
Snap-on, Inc.         7,695     2,066,877
Stanley Black & Decker, Inc.        22,264     2,101,276
      4,168,153
Healthcare-Products — 3.3% 
Abbott Laboratories       252,811    26,014,252
Align Technology, Inc.        10,345     3,829,098
Baxter International, Inc.        73,541     2,985,765
Bio-Techne Corp.        22,888     1,794,419
Boston Scientific Corp.       209,015    11,274,269
Cooper Cos., Inc.         7,190     2,660,228
Danaher Corp.        96,549    25,585,485
DENTSPLY SIRONA, Inc.        30,890     1,145,710
Edwards Lifesciences Corp.        88,133     6,739,531
GE HealthCare Technologies, Inc.        56,847     4,004,871
Hologic, Inc.        35,781     2,674,272
IDEXX Laboratories, Inc.        12,067     6,171,184
Insulet Corp.        10,133     1,942,597
Intuitive Surgical, Inc.        50,941    15,928,232
Medtronic PLC       193,419    15,763,648
ResMed, Inc.        21,361     3,409,002
Revvity, Inc.        18,237     2,134,276
STERIS PLC        14,434     3,313,902
Stryker Corp.        49,116    13,926,842
Teleflex, Inc.         6,829     1,452,801
Thermo Fisher Scientific, Inc.        56,077    31,240,497
Waters Corp.         8,582      2,409,826
Security Description   Shares or
Principal
Amount
Value
 
Healthcare-Products (continued) 
West Pharmaceutical Services, Inc.        10,794 $    4,392,079
Zimmer Biomet Holdings, Inc.        30,322     3,611,957
      194,404,743
Healthcare-Services — 2.1% 
Catalent, Inc.        26,182     1,308,315
Centene Corp.        79,781     4,918,499
Charles River Laboratories International, Inc.         7,441     1,538,948
DaVita, Inc.         8,044       823,866
Elevance Health, Inc.        34,464    15,233,433
HCA Healthcare, Inc.        29,995     8,317,613
Humana, Inc.        18,165     8,385,509
IQVIA Holdings, Inc.        26,975     6,005,444
Laboratory Corp. of America Holdings        12,881     2,680,536
Molina Healthcare, Inc.         8,476     2,628,577
Quest Diagnostics, Inc.        16,284     2,141,346
UnitedHealth Group, Inc.       135,355    64,507,486
Universal Health Services, Inc., Class B         9,149     1,232,370
      119,721,942
Home Builders — 0.3% 
D.R. Horton, Inc.        45,123     5,370,540
Lennar Corp., Class A        36,894     4,393,706
NVR, Inc.           444     2,831,535
PulteGroup, Inc.        32,453     2,663,093
      15,258,874
Home Furnishings — 0.0% 
Whirlpool Corp.         7,961     1,114,222
Household Products/Wares — 0.3% 
Avery Dennison Corp.        11,736     2,210,828
Church & Dwight Co., Inc.        35,511     3,436,399
Clorox Co.        17,973     2,811,876
Kimberly-Clark Corp.        49,049     6,318,983
      14,778,086
Housewares — 0.0% 
Newell Brands, Inc.        54,784       579,615
Insurance — 3.6% 
Aflac, Inc.        79,938     5,960,977
Allstate Corp.        38,214     4,119,851
American International Group, Inc.(1)       105,220     6,157,474
Aon PLC, Class A        29,694     9,899,683
Arch Capital Group, Ltd.        54,143     4,161,431
Arthur J. Gallagher & Co.        31,141     7,177,378
Assurant, Inc.         7,727     1,076,603
Berkshire Hathaway, Inc., Class B       259,257    93,384,371
Brown & Brown, Inc.        34,226     2,536,147
Chubb, Ltd.        60,213    12,094,985
Cincinnati Financial Corp.        22,856     2,417,936
Everest Group, Ltd.         6,233     2,248,118
Globe Life, Inc.        12,920     1,441,484
Hartford Financial Services Group, Inc.        45,102     3,239,226
Lincoln National Corp.        22,432       575,605
Loews Corp.        27,500     1,707,475
Marsh & McLennan Cos., Inc.        71,923    14,024,266
MetLife, Inc.        93,522     5,923,684
Principal Financial Group, Inc.        32,824     2,550,753
Progressive Corp.        85,101    11,358,431
Prudential Financial, Inc.        53,064     5,023,569
Travelers Cos., Inc.        33,580      5,414,103
 
166  

VALIC Company I Stock Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Insurance (continued) 
W.R. Berkley Corp.        29,192 $    1,805,817
Willis Towers Watson PLC        15,470     3,198,577
      207,497,944
Internet — 9.8% 
Alphabet, Inc., Class A       863,712   117,611,663
Alphabet, Inc., Class C       742,955   102,044,869
Amazon.com, Inc.     1,297,750   179,102,478
Booking Holdings, Inc.         5,370    16,674,011
Cars.com, Inc.             1            19
CDW Corp.        19,596     4,137,695
eBay, Inc.        77,741     3,481,242
Etsy, Inc.        17,933     1,319,331
Expedia Group, Inc.        20,732     2,247,142
F5, Inc.         8,791     1,438,735
Gen Digital, Inc.        82,697     1,674,614
Match Group, Inc.        40,483     1,897,438
Meta Platforms, Inc., Class A       321,606    95,159,999
Netflix, Inc.        64,628    28,027,871
Palo Alto Networks, Inc.        43,994    10,703,740
VeriSign, Inc.        13,166     2,735,763
      568,256,610
Iron/Steel — 0.2% 
Nucor Corp.        36,523     6,285,608
Steel Dynamics, Inc.        23,346     2,488,450
      8,774,058
Leisure Time — 0.1% 
Carnival Corp.       146,023     2,310,084
Norwegian Cruise Line Holdings, Ltd.        61,666     1,021,806
Royal Caribbean Cruises, Ltd.        31,974     3,163,507
      6,495,397
Lodging — 0.3% 
Hilton Worldwide Holdings, Inc.        38,472     5,718,863
Las Vegas Sands Corp.        47,778     2,621,101
Marriott International, Inc., Class A        37,487     7,628,979
MGM Resorts International        43,898     1,930,634
Wynn Resorts, Ltd.        15,055     1,526,276
      19,425,853
Machinery-Construction & Mining — 0.4% 
Caterpillar, Inc.        74,923    21,063,103
Machinery-Diversified — 0.8% 
Deere & Co.        39,203    16,110,081
Dover Corp.        20,332     3,015,236
IDEX Corp.        10,987     2,487,457
Ingersoll Rand, Inc.        58,810     4,093,764
Nordson Corp.         7,825     1,910,395
Otis Worldwide Corp.        60,085     5,140,272
Rockwell Automation, Inc.        16,701     5,212,048
Westinghouse Air Brake Technologies Corp.        26,150     2,942,398
Xylem, Inc.        34,785     3,601,639
      44,513,290
Media — 1.2% 
Charter Communications, Inc., Class A        15,105     6,617,803
Comcast Corp., Class A       604,698    28,275,678
FactSet Research Systems, Inc.         5,571     2,431,240
Fox Corp., Class A        39,116     1,293,175
Fox Corp., Class B        19,864       606,249
News Corp., Class A        55,383      1,190,181
Security Description   Shares or
Principal
Amount
Value
 
Media (continued) 
News Corp., Class B        17,073 $      375,606
Paramount Global, Class B        73,710     1,112,284
Walt Disney Co.       265,656    22,230,094
Warner Bros. Discovery, Inc.       322,290     4,234,891
      68,367,201
Mining — 0.2% 
Freeport-McMoRan, Inc.       208,373     8,316,167
Newmont Corp.       115,536     4,554,429
      12,870,596
Miscellaneous Manufacturing — 1.1% 
3M Co.        80,203     8,555,254
A.O. Smith Corp.        18,106     1,312,685
Axon Enterprise, Inc.        10,204     2,172,533
Eaton Corp. PLC        57,949    13,349,711
General Electric Co.       158,315    18,120,735
Illinois Tool Works, Inc.        40,206     9,944,954
Parker-Hannifin Corp.        18,652     7,776,019
Teledyne Technologies, Inc.         6,840     2,861,172
Textron, Inc.        29,321     2,278,535
      66,371,598
Office/Business Equipment — 0.0% 
Zebra Technologies Corp., Class A         7,477     2,056,250
Oil & Gas — 3.5% 
APA Corp.        44,865     1,966,882
Chevron Corp.       258,778    41,689,136
ConocoPhillips       175,920    20,939,757
Coterra Energy, Inc.       110,120     3,104,283
Devon Energy Corp.        93,291     4,766,237
Diamondback Energy, Inc.        26,328     3,996,064
EOG Resources, Inc.        85,028    10,936,301
EQT Corp.        52,576     2,272,335
Exxon Mobil Corp.       587,778    65,355,036
Hess Corp.        40,176     6,207,192
Marathon Oil Corp.        89,788     2,365,914
Marathon Petroleum Corp.        61,683     8,806,482
Occidental Petroleum Corp.       104,455     6,558,729
Phillips 66        66,710     7,615,614
Pioneer Natural Resources Co.        33,981     8,085,099
Valero Energy Corp.        52,558     6,827,284
      201,492,345
Oil & Gas Services — 0.4% 
Baker Hughes Co.       147,179     5,326,408
Halliburton Co.       131,163     5,065,515
Schlumberger NV       207,217    12,217,514
      22,609,437
Packaging & Containers — 0.1% 
Amcor PLC       213,921     2,083,591
Ball Corp.        45,729     2,489,944
Packaging Corp. of America        13,074     1,949,333
Sealed Air Corp.        20,991       777,927
WestRock Co.        37,237     1,218,022
      8,518,817
Pharmaceuticals — 5.5% 
AbbVie, Inc.       256,495    37,694,505
Becton Dickinson & Co.        41,291    11,538,770
Bristol-Myers Squibb Co.       305,424    18,829,390
Cardinal Health, Inc.        37,014     3,232,433
Cencora, Inc.        23,548      4,143,977
 
167

VALIC Company I Stock Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Pharmaceuticals (continued) 
Cigna Group        43,014 $   11,883,048
CVS Health Corp.       186,383    12,146,580
Dexcom, Inc.        56,355     5,690,728
Eli Lilly & Co.       114,546    63,481,393
Henry Schein, Inc.        19,045     1,457,704
Johnson & Johnson       350,081    56,601,096
McKesson Corp.        19,714     8,128,476
Merck & Co., Inc.       368,896    40,202,286
Organon & Co.        37,081       814,299
Pfizer, Inc.       820,724    29,037,215
Viatris, Inc.       174,317     1,873,908
Zoetis, Inc.        67,183    12,799,033
      319,554,841
Pipelines — 0.3% 
Kinder Morgan, Inc.       286,731     4,937,508
ONEOK, Inc.        65,050     4,241,260
Targa Resources Corp.        32,859     2,834,089
Williams Cos., Inc.       177,102     6,115,332
      18,128,189
Real Estate — 0.1% 
CBRE Group, Inc., Class A        45,189     3,843,324
REITS — 2.2% 
Alexandria Real Estate Equities, Inc.        22,889     2,662,906
American Tower Corp.        67,754    12,285,155
AvalonBay Communities, Inc.        20,644     3,794,780
Boston Properties, Inc.        20,749     1,385,411
Camden Property Trust        15,521     1,670,370
Crown Castle, Inc.        63,048     6,336,324
Digital Realty Trust, Inc.        42,356     5,579,132
Equinix, Inc.        13,597    10,624,424
Equity Residential        49,577     3,214,077
Essex Property Trust, Inc.         9,331     2,224,417
Extra Space Storage, Inc.        30,706     3,951,248
Federal Realty Investment Trust        10,666     1,044,628
Healthpeak Properties, Inc.        79,523     1,636,583
Host Hotels & Resorts, Inc.       103,401     1,632,702
Invitation Homes, Inc.        84,514     2,881,082
Iron Mountain, Inc.        42,397     2,693,905
Kimco Realty Corp.        90,121     1,706,892
Mid-America Apartment Communities, Inc.        16,960     2,463,101
Prologis, Inc.       134,255    16,674,471
Public Storage        23,004     6,357,846
Realty Income Corp.        97,874     5,484,859
Regency Centers Corp.        23,888     1,485,834
SBA Communications Corp.        15,750     3,536,347
Simon Property Group, Inc.        47,538     5,395,088
UDR, Inc.        44,984     1,794,862
Ventas, Inc.        58,160     2,540,429
VICI Properties, Inc.       145,998     4,502,578
Welltower, Inc.        72,259     5,988,826
Weyerhaeuser Co.       106,462     3,486,630
      125,034,907
Retail — 4.7% 
AutoZone, Inc.         2,675     6,771,308
Bath & Body Works, Inc.        33,285     1,227,218
Best Buy Co., Inc.        28,293     2,163,000
CarMax, Inc.        23,001     1,878,722
Chipotle Mexican Grill, Inc.         4,011     7,727,753
Costco Wholesale Corp.        64,474     35,414,279
Security Description   Shares or
Principal
Amount
Value
 
Retail (continued) 
Darden Restaurants, Inc.        17,581 $    2,734,021
Dollar General Corp.        31,854     4,411,779
Dollar Tree, Inc.        30,229     3,698,820
Domino's Pizza, Inc.         5,138     1,990,461
Genuine Parts Co.        20,428     3,140,396
Home Depot, Inc.       147,223    48,627,757
Lowe's Cos., Inc.        86,699    19,982,386
McDonald's Corp.       106,142    29,841,823
O'Reilly Automotive, Inc.         8,851     8,317,285
Ross Stores, Inc.        49,728     6,057,368
Starbucks Corp.       166,665    16,239,838
Target Corp.        67,101     8,491,632
TJX Cos., Inc.       167,406    15,481,707
Tractor Supply Co.        15,929     3,480,486
Ulta Beauty, Inc.         7,282     3,022,248
Walgreens Boots Alliance, Inc.       104,111     2,635,049
Walmart, Inc.       203,915    33,158,618
Yum! Brands, Inc.        40,719     5,268,224
      271,762,178
Semiconductors — 7.2% 
Advanced Micro Devices, Inc.       234,117    24,750,849
Analog Devices, Inc.        73,542    13,368,465
Applied Materials, Inc.       122,865    18,768,857
Broadcom, Inc.        60,613    55,939,132
Intel Corp.       606,387    21,308,439
KLA Corp.        19,946    10,010,299
Lam Research Corp.        19,531    13,718,574
Microchip Technology, Inc.        79,639     6,517,656
Micron Technology, Inc.       159,105    11,127,804
Monolithic Power Systems, Inc.         6,550     3,413,925
NVIDIA Corp.       359,547   177,454,422
NXP Semiconductors NV        37,762     7,768,399
ON Semiconductor Corp.        62,786     6,181,910
Qorvo, Inc.        14,522     1,559,518
QUALCOMM, Inc.       161,955    18,548,706
Skyworks Solutions, Inc.        23,138     2,516,026
Teradyne, Inc.        22,540     2,431,390
Texas Instruments, Inc.       131,956    22,176,525
      417,560,896
Shipbuilding — 0.0% 
Huntington Ingalls Industries, Inc.         5,799     1,277,636
Software — 10.2% 
Activision Blizzard, Inc.       104,007     9,567,604
Adobe, Inc.        66,687    37,300,707
Akamai Technologies, Inc.        22,127     2,325,326
ANSYS, Inc.        12,599     4,017,443
Autodesk, Inc.        31,134     6,909,880
Broadridge Financial Solutions, Inc.        17,152     3,193,874
Cadence Design Systems, Inc.        39,643     9,531,763
Ceridian HCM Holding, Inc.        22,539     1,634,528
Electronic Arts, Inc.        37,874     4,544,122
Fair Isaac Corp.         3,634     3,287,280
Fidelity National Information Services, Inc.        86,129     4,811,166
Fiserv, Inc.        89,745    10,894,146
Intuit, Inc.        40,786    22,098,263
Jack Henry & Associates, Inc.        10,595     1,661,084
Microsoft Corp.     1,080,983   354,302,988
MSCI, Inc.        11,640     6,327,737
Oracle Corp.       223,726    26,934,373
Paychex, Inc.        46,645     5,701,418
Paycom Software, Inc.         7,067      2,083,634
 
168  

VALIC Company I Stock Index Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Software (continued) 
PTC, Inc.        15,486 $    2,279,075
Roper Technologies, Inc.        15,497     7,733,933
Salesforce, Inc.       142,332    31,520,845
ServiceNow, Inc.        29,620    17,441,145
Synopsys, Inc.        22,142    10,160,742
Take-Two Interactive Software, Inc.        23,051     3,277,852
Tyler Technologies, Inc.         6,095     2,428,431
      591,969,359
Telecommunications — 1.7% 
Arista Networks, Inc.        36,303     7,087,435
AT&T, Inc.     1,039,333    15,371,735
Cisco Systems, Inc.       595,457    34,149,459
Corning, Inc.       111,234     3,650,700
Juniper Networks, Inc.        46,754     1,361,477
Motorola Solutions, Inc.        24,383     6,914,287
T-Mobile US, Inc.        83,732    11,408,485
Verizon Communications, Inc.       611,183    21,379,181
      101,322,759
Toys/Games/Hobbies — 0.0% 
Hasbro, Inc.        18,942     1,363,824
Transportation — 1.3% 
C.H. Robinson Worldwide, Inc.        16,928     1,530,799
CSX Corp.       295,569     8,926,184
Expeditors International of Washington, Inc.        22,213     2,592,479
FedEx Corp.        33,619     8,775,231
JB Hunt Transport Services, Inc.        12,055     2,264,893
Norfolk Southern Corp.        33,095     6,784,806
Old Dominion Freight Line, Inc.        13,072     5,586,581
Union Pacific Corp.        88,638    19,550,884
United Parcel Service, Inc., Class B       105,370    17,849,678
      73,861,535
Security Description   Shares or
Principal
Amount
  Value
 
Water — 0.1% 
American Water Works Co., Inc.        28,298   $    3,926,065
Total Long-Term Investment Securities
(cost $2,003,891,395)
      5,474,877,130
SHORT-TERM INVESTMENTS — 0.3% 
U.S. Government — 0.3% 
United States Treasury Bills        
4.30%, 10/05/2023 to 10/05/2023(2)   $ 12,800,000      12,736,110
4.45%, 11/02/2023(2)       300,000         297,272
5.28%, 10/17/2023 to 11/09/2023(2)     4,440,000       4,401,422
5.29%, 11/24/2023(2)     2,200,000       2,172,728
Total Short-Term Investments
(cost $19,620,040)
      19,607,532
REPURCHASE AGREEMENTS — 5.3% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $308,553,891 and collateralized by $308,590,600 of United States Treasury Notes, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $314,711,050
(cost $308,540,178)
  308,540,178     308,540,178
TOTAL INVESTMENTS
(cost $2,332,051,613)
  99.9%   5,803,024,840
Other assets less liabilities   0.1   5,103,871
NET ASSETS   100.0%   $5,808,128,711
Non-income producing security
(1) Security represents an investment in an affiliated company (see Note 3)
(2) The security or a portion thereof was pledged as collateral to cover margin requirements for open futures contracts.
 
Futures Contracts

Number
of
Contracts
Type Description Expiration
Month
Notional
Basis*
Notional
Value*
Unrealized
Appreciation
1,493 Long S&P 500 E-Mini Index September 2023 $329,259,253 $337,119,400 $7,860,147
* Notional basis refers to the contractual amount agreed upon at inception of the open contract; notional value represents the current value of the open contract.
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $5,474,877,130   $  $—   $5,474,877,130
Short-Term Investments   19,607,532     19,607,532
Repurchase Agreements   308,540,178     308,540,178
Total Investments at Value $5,474,877,130   $328,147,710   $—   $5,803,024,840
Other Financial Instruments:              
Futures Contracts $7,860,147   $  $—   $7,860,147
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Amounts represent unrealized appreciation/depreciation as of the end of the reporting period.
See Notes to Portfolio of Investments
169

VALIC Company I Systematic Core Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 97.9% 
Advertising — 0.1% 
Interpublic Group of Cos., Inc.     6,177 $    201,432
Omnicom Group, Inc.     3,298     267,171
      468,603
Aerospace/Defense — 1.0% 
Boeing Co.     2,593     580,910
Curtiss-Wright Corp.     1,760     366,062
General Dynamics Corp.     3,221     730,008
HEICO Corp.       848     143,066
HEICO Corp., Class A     1,387     187,841
Hexcel Corp.     1,798     131,793
Howmet Aerospace, Inc.     3,884     192,142
L3Harris Technologies, Inc.     2,103     374,523
Lockheed Martin Corp.     2,223     996,682
Northrop Grumman Corp.     1,139     493,290
RTX Corp.    10,786     928,028
TransDigm Group, Inc.       398     359,732
      5,484,077
Agriculture — 0.7% 
Altria Group, Inc.    13,711     606,301
Archer-Daniels-Midland Co.    14,317   1,135,338
Bunge, Ltd.     1,506     172,166
Darling Ingredients, Inc.     4,578     282,737
Philip Morris International, Inc.    16,716   1,605,739
      3,802,281
Airlines — 0.1% 
Alaska Air Group, Inc.     1,802      75,630
Southwest Airlines Co.     2,102      66,423
United Airlines Holdings, Inc.     6,463     321,922
      463,975
Apparel — 0.7% 
Capri Holdings, Ltd.     6,871     360,659
Carter's, Inc.     4,707     336,880
Columbia Sportswear Co.     3,330     244,222
Deckers Outdoor Corp.       307     162,431
NIKE, Inc., Class B    12,017   1,222,249
PVH Corp.     2,866     239,598
Skechers USA, Inc., Class A     6,356     319,770
Tapestry, Inc.    16,354     544,915
Under Armour, Inc., Class A    29,725     227,099
Under Armour, Inc., Class C    42,048     289,711
VF Corp.     4,024      79,514
      4,027,048
Auto Manufacturers — 1.3% 
Cummins, Inc.     1,888     434,316
Ford Motor Co.    25,701     311,753
General Motors Co.     3,099     103,847
PACCAR, Inc.     5,019     413,013
Tesla, Inc.    23,185   5,983,585
      7,246,514
Auto Parts & Equipment — 0.3% 
Allison Transmission Holdings, Inc.    10,552     637,868
Aptiv PLC       958      97,189
BorgWarner, Inc.    13,859     564,754
Gentex Corp.     6,242     203,864
Phinia, Inc.     2,771      77,034
      1,580,709
Security Description   Shares or
Principal
Amount
Value
 
Banks — 2.8% 
Bank of America Corp.    70,013 $  2,007,273
Bank of New York Mellon Corp.    13,957     626,251
Bank OZK     5,475     219,931
Citigroup, Inc.    20,930     864,200
Citizens Financial Group, Inc.     6,181     173,871
Comerica, Inc.     2,040      98,144
Commerce Bancshares, Inc.     2,104     103,285
Fifth Third Bancorp     4,933     130,971
First Horizon Corp.    11,556     145,028
FNB Corp.    14,502     168,658
Huntington Bancshares, Inc.     9,786     108,527
JPMorgan Chase & Co.    33,620   4,919,615
KeyCorp    11,620     131,655
M&T Bank Corp.     1,071     133,929
Morgan Stanley    15,822   1,347,243
Pinnacle Financial Partners, Inc.     2,030     135,117
PNC Financial Services Group, Inc.     3,005     362,794
Popular, Inc.     5,631     384,485
Prosperity Bancshares, Inc.     1,772     100,667
Regions Financial Corp.    10,439     191,451
State Street Corp.     6,523     448,391
Synovus Financial Corp.     5,759     178,299
Truist Financial Corp.    11,429     349,156
US Bancorp     8,799     321,427
Wells Fargo & Co.    34,294   1,415,999
Western Alliance Bancorp     2,028     101,420
Wintrust Financial Corp.     3,010     233,606
Zions Bancorp NA     3,819     135,574
      15,536,967
Beverages — 1.3% 
Boston Beer Co., Inc., Class A       792     289,421
Brown-Forman Corp., Class A     3,573     240,213
Brown-Forman Corp., Class B     3,610     238,729
Coca-Cola Co.    27,205   1,627,675
Constellation Brands, Inc., Class A     1,663     433,311
Keurig Dr Pepper, Inc.     9,664     325,194
Molson Coors Beverage Co., Class B    16,217   1,029,617
Monster Beverage Corp.    13,486     774,231
PepsiCo, Inc.    13,644   2,427,541
      7,385,932
Biotechnology — 1.7% 
Amgen, Inc.     6,705   1,718,760
Biogen, Inc.     3,102     829,351
BioMarin Pharmaceutical, Inc.     1,531     139,903
Bio-Rad Laboratories, Inc., Class A       199      79,640
Corteva, Inc.     4,732     239,013
Exelixis, Inc.    17,733     397,042
Gilead Sciences, Inc.    18,145   1,387,730
Incyte Corp.    10,830     698,860
Moderna, Inc.     1,632     184,530
Regeneron Pharmaceuticals, Inc.     1,411   1,166,177
Royalty Pharma PLC, Class A     4,546     135,562
Seagen, Inc.       968     199,476
United Therapeutics Corp.     2,943     660,291
Vertex Pharmaceuticals, Inc.     4,686   1,632,321
      9,468,656
Building Materials — 1.2% 
Builders FirstSource, Inc.    11,467   1,663,174
Carrier Global Corp.     6,799     390,603
Eagle Materials, Inc.       536     101,476
Johnson Controls International PLC     3,631      214,447
 
170  

VALIC Company I Systematic Core Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Building Materials (continued) 
Lennox International, Inc.     1,638 $    617,215
Louisiana-Pacific Corp.     7,101     443,670
Martin Marietta Materials, Inc.       470     209,813
Masco Corp.    11,900     702,219
MDU Resources Group, Inc.     9,240     188,126
Owens Corning     7,543   1,085,513
Trane Technologies PLC     1,944     399,025
Trex Co., Inc.     4,518     322,450
Vulcan Materials Co.     1,198     261,463
      6,599,194
Chemicals — 1.2% 
Air Products & Chemicals, Inc.     1,561     461,260
Axalta Coating Systems, Ltd.     3,736     105,729
Celanese Corp.     1,819     229,849
CF Industries Holdings, Inc.     4,102     316,141
Dow, Inc.    11,749     641,025
DuPont de Nemours, Inc.     2,617     201,221
Eastman Chemical Co.       841      71,493
Ecolab, Inc.     1,219     224,064
FMC Corp.     1,603     138,227
Huntsman Corp.     4,439     123,715
Linde PLC     2,934   1,135,575
LyondellBasell Industries NV, Class A     1,741     171,959
Mosaic Co.     8,152     316,705
NewMarket Corp.       493     231,532
Olin Corp.     7,094     411,594
PPG Industries, Inc.       927     131,412
RPM International, Inc.     5,109     509,572
Sherwin-Williams Co.     2,760     749,947
Valvoline, Inc.     2,172      74,804
Westlake Corp.     5,320     696,814
      6,942,638
Commercial Services — 1.8% 
ADT, Inc.    53,301     342,192
Automatic Data Processing, Inc.     1,471     374,531
Booz Allen Hamilton Holding Corp.     2,383     270,018
Cintas Corp.     1,542     777,430
CoStar Group, Inc.     1,561     127,986
Equifax, Inc.       448      92,602
Euronet Worldwide, Inc.       816      71,286
FleetCor Technologies, Inc.     1,809     491,559
FTI Consulting, Inc.     1,535     285,234
Gartner, Inc.     3,415   1,194,157
Global Payments, Inc.       587      74,367
Grand Canyon Education, Inc.     5,949     697,520
H&R Block, Inc.    14,763     590,225
ManpowerGroup, Inc.     5,400     425,898
MarketAxess Holdings, Inc.       347      83,603
Moody's Corp.     3,179   1,070,687
PayPal Holdings, Inc.     1,460      91,265
Quanta Services, Inc.     1,837     385,531
Robert Half, Inc.    10,430     771,403
Rollins, Inc.    17,870     707,116
S&P Global, Inc.     1,113     435,027
Service Corp. International     3,453     217,919
United Rentals, Inc.       425     202,529
Verisk Analytics, Inc.     1,221     295,751
WEX, Inc.       637     124,967
WillScot Mobile Mini Holdings Corp.     2,256      92,541
      10,293,344
Security Description   Shares or
Principal
Amount
Value
 
Computers — 8.4% 
Accenture PLC, Class A     9,896 $  3,204,028
Amdocs, Ltd.     9,179     818,767
Apple, Inc.   174,532  32,789,327
CACI International, Inc., Class A     2,604     854,138
Cognizant Technology Solutions Corp., Class A    16,965   1,214,864
DXC Technology Co.    38,054     789,240
EPAM Systems, Inc.     1,231     318,817
Fortinet, Inc.    14,383     866,000
Genpact, Ltd.    19,906     743,091
Hewlett Packard Enterprise Co.    25,293     429,728
HP, Inc.    20,380     605,490
International Business Machines Corp.    10,598   1,556,104
Leidos Holdings, Inc.     3,080     300,331
NCR Corp.    29,037     893,178
NetApp, Inc.     6,713     514,887
Pure Storage, Inc., Class A    10,699     391,476
Science Applications International Corp.     5,245     617,127
      46,906,593
Cosmetics/Personal Care — 1.1% 
Colgate-Palmolive Co.    16,341   1,200,573
Coty, Inc., Class A    24,673     285,220
Estee Lauder Cos., Inc., Class A     4,228     678,721
Procter & Gamble Co.    27,741   4,281,546
      6,446,060
Distribution/Wholesale — 1.0% 
Copart, Inc.     7,126     319,458
Fastenal Co.    19,014   1,094,826
Ferguson PLC     1,328     214,552
LKQ Corp.    18,871     991,294
Pool Corp.     1,561     570,702
Watsco, Inc.#     2,482     904,813
WESCO International, Inc.       735     118,960
WW Grainger, Inc.     2,060   1,471,128
      5,685,733
Diversified Financial Services — 3.7% 
Affiliated Managers Group, Inc.     2,141     286,915
Ally Financial, Inc.    18,759     519,437
American Express Co.     4,554     719,486
Ameriprise Financial, Inc.     2,740     924,969
Apollo Global Management, Inc.     2,927     255,644
BlackRock, Inc.       971     680,224
Capital One Financial Corp.     7,470     764,853
Cboe Global Markets, Inc.     1,639     245,375
Charles Schwab Corp.    11,218     663,545
CME Group, Inc.     1,915     388,132
Credit Acceptance Corp.#       376     188,666
Discover Financial Services     4,724     425,491
Evercore, Inc., Class A     4,663     653,053
Franklin Resources, Inc.     3,955     105,757
Interactive Brokers Group, Inc., Class A     1,068      97,273
Intercontinental Exchange, Inc.     2,751     324,590
Invesco, Ltd.    30,341     483,029
Janus Henderson Group PLC     9,194     252,559
Jefferies Financial Group, Inc.    22,096     788,606
Lazard, Ltd., Class A     2,181      75,768
LPL Financial Holdings, Inc.     3,763     867,710
Mastercard, Inc., Class A     8,392   3,462,875
Nasdaq, Inc.     3,340     175,283
OneMain Holdings, Inc.    15,992     663,828
Raymond James Financial, Inc.     3,901     408,006
SEI Investments Co.     7,031      436,344
 
171

VALIC Company I Systematic Core Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Diversified Financial Services (continued) 
SLM Corp.    10,804 $    153,849
Stifel Financial Corp.     6,060     394,021
Synchrony Financial    16,220     523,582
T. Rowe Price Group, Inc.     2,556     286,860
Tradeweb Markets, Inc., Class A     2,357     203,716
Virtu Financial, Inc., Class A    13,605     254,958
Visa, Inc., Class A    14,138   3,473,424
Voya Financial, Inc.     6,407     446,440
Western Union Co.    29,124     359,681
      20,953,949
Electric — 1.6% 
AES Corp.     5,389      96,625
Alliant Energy Corp.     4,577     229,628
Ameren Corp.     3,279     259,926
American Electric Power Co., Inc.     3,500     274,400
Avangrid, Inc.#     4,071     140,449
Brookfield Renewable Corp., Class A#    14,963     418,216
CenterPoint Energy, Inc.     9,056     252,572
Clearway Energy, Inc., Class A     8,083     189,466
Clearway Energy, Inc., Class C    10,316     255,527
CMS Energy Corp.     4,381     246,168
Consolidated Edison, Inc.     4,297     382,261
Constellation Energy Corp.     4,210     438,514
Dominion Energy, Inc.     4,281     207,800
DTE Energy Co.     2,362     244,184
Duke Energy Corp.     4,455     395,604
Edison International     4,460     307,071
Entergy Corp.     2,252     214,503
Evergy, Inc.     3,635     199,816
Eversource Energy     3,103     198,033
Exelon Corp.     7,281     292,114
FirstEnergy Corp.     7,348     265,042
Hawaiian Electric Industries, Inc.     6,112      85,690
IDACORP, Inc.     2,125     203,660
NextEra Energy, Inc.     7,132     476,418
OGE Energy Corp.     6,161     209,782
PG&E Corp.    16,833     274,378
Pinnacle West Capital Corp.     2,643     204,225
PPL Corp.    10,931     272,401
Public Service Enterprise Group, Inc.     4,164     254,337
Sempra     3,842     269,785
Southern Co.     5,763     390,328
Vistra Corp.    10,075     316,556
WEC Energy Group, Inc.     3,111     261,697
Xcel Energy, Inc.     4,147     236,918
      8,964,094
Electrical Components & Equipment — 0.3% 
Acuity Brands, Inc.     4,700     758,016
AMETEK, Inc.     3,018     481,401
Emerson Electric Co.     3,574     351,146
Littelfuse, Inc.       513     137,012
      1,727,575
Electronics — 1.4% 
Agilent Technologies, Inc.     3,892     471,204
Allegion PLC     1,934     220,109
Amphenol Corp., Class A     4,845     428,201
Arrow Electronics, Inc.     2,374     316,763
Avnet, Inc.     5,225     265,169
Fortive Corp.     4,774     376,430
Garmin, Ltd.     2,436      258,265
Security Description   Shares or
Principal
Amount
Value
 
Electronics (continued) 
Honeywell International, Inc.     4,142 $    778,447
Hubbell, Inc.     1,522     496,248
Jabil, Inc.     4,852     555,166
Keysight Technologies, Inc.     4,570     609,181
Mettler-Toledo International, Inc.       703     853,076
National Instruments Corp.    14,865     885,954
nVent Electric PLC     7,973     450,793
Sensata Technologies Holding PLC     4,742     178,394
TD SYNNEX Corp.     5,313     540,598
Trimble, Inc.     1,673      91,664
      7,775,662
Energy-Alternate Sources — 0.0% 
Enphase Energy, Inc.       687      86,926
First Solar, Inc.       908     171,721
      258,647
Engineering & Construction — 0.2% 
AECOM     8,900     780,975
EMCOR Group, Inc.       770     172,672
Jacobs Solutions, Inc.     1,571     211,802
MasTec, Inc.     1,542     153,414
      1,318,863
Entertainment — 0.2% 
Liberty Media Corp.-Liberty Live     4,164     140,119
Liberty Media Corp.-Liberty Live     4,528     150,828
Madison Square Garden Sports Corp.     1,303     231,934
Marriott Vacations Worldwide Corp.     3,363     365,524
Penn Entertainment, Inc.    17,388     411,922
Vail Resorts, Inc.       429      97,091
      1,397,418
Environmental Control — 0.2% 
Clean Harbors, Inc.       772     130,730
Pentair PLC     2,683     188,508
Republic Services, Inc.     3,350     482,835
Stericycle, Inc.     2,453     108,447
Waste Management, Inc.     3,056     479,120
      1,389,640
Food — 2.2% 
Albertsons Cos., Inc., Class A    44,777   1,003,005
Campbell Soup Co.     5,454     227,432
Conagra Brands, Inc.    13,301     397,434
Flowers Foods, Inc.    34,129     804,079
General Mills, Inc.     7,709     521,591
Grocery Outlet Holding Corp.     3,845     118,618
Hershey Co.     4,715   1,013,065
Hormel Foods Corp.     6,242     240,879
Ingredion, Inc.     4,950     509,405
J.M. Smucker Co.     4,333     628,068
Kellogg Co.     4,766     290,821
Kraft Heinz Co.    19,885     657,995
Kroger Co.    32,083   1,488,330
Lamb Weston Holdings, Inc.     2,997     291,938
McCormick & Co., Inc.     2,937     241,069
Mondelez International, Inc., Class A    10,913     777,660
Performance Food Group Co.     1,676     104,130
Pilgrim's Pride Corp.     8,726     219,546
Post Holdings, Inc.     8,167     732,662
Seaboard Corp.       180     678,659
Sysco Corp.     5,966      415,532
 
172  

VALIC Company I Systematic Core Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Food (continued) 
Tyson Foods, Inc., Class A     6,301 $    335,654
US Foods Holding Corp.     9,871     399,085
      12,096,657
Food Service — 0.0% 
Aramark     3,278     121,876
Forest Products & Paper — 0.0% 
International Paper Co.     5,247     183,225
Gas — 0.2% 
Atmos Energy Corp.     2,375     275,381
National Fuel Gas Co.     3,650     196,151
NiSource, Inc.     8,506     227,620
UGI Corp.     9,909     249,509
      948,661
Hand/Machine Tools — 0.3% 
Lincoln Electric Holdings, Inc.     4,126     794,090
MSA Safety, Inc.     1,538     280,962
Regal Rexnord Corp.     1,196     193,979
Snap-on, Inc.     2,276     611,334
      1,880,365
Healthcare-Products — 2.5% 
Abbott Laboratories    17,569   1,807,850
Align Technology, Inc.     1,237     457,863
Avantor, Inc.     4,963     107,449
Baxter International, Inc.     2,944     119,526
Bio-Techne Corp.     1,592     124,813
Boston Scientific Corp.    10,929     589,510
Bruker Corp.     2,458     161,245
Cooper Cos., Inc.       520     192,395
Danaher Corp.     5,792   1,534,880
DENTSPLY SIRONA, Inc.     5,037     186,822
Edwards Lifesciences Corp.     8,624     659,477
Enovis Corp.     1,979     110,903
Envista Holdings Corp.     5,042     161,445
GE HealthCare Technologies, Inc.     2,985     210,293
Globus Medical, Inc., Class A     3,001     162,354
Hologic, Inc.     5,247     392,161
IDEXX Laboratories, Inc.     2,324   1,188,517
Insulet Corp.       598     114,643
Intuitive Surgical, Inc.     1,718     537,184
Medtronic PLC     5,351     436,107
Penumbra, Inc.       488     129,076
QIAGEN NV     6,756     307,330
ResMed, Inc.     2,298     366,738
Revvity, Inc.     1,894     221,655
STERIS PLC       942     216,274
Stryker Corp.     2,110     598,290
Tandem Diabetes Care, Inc.     2,347      64,214
Teleflex, Inc.       562     119,560
Thermo Fisher Scientific, Inc.     3,169   1,765,450
Waters Corp.     2,033     570,866
West Pharmaceutical Services, Inc.       854     347,493
Zimmer Biomet Holdings, Inc.     1,615     192,379
      14,154,762
Healthcare-Services — 2.8% 
Acadia Healthcare Co., Inc.     1,482     114,262
Amedisys, Inc.     2,951     276,656
Centene Corp.    16,520   1,018,458
Charles River Laboratories International, Inc.       986      203,925
Security Description   Shares or
Principal
Amount
Value
 
Healthcare-Services (continued) 
Chemed Corp.     1,548 $    791,709
DaVita, Inc.     3,383     346,487
Elevance Health, Inc.     4,103   1,813,567
Encompass Health Corp.     2,379     169,004
Fortrea Holdings, Inc.     3,333      91,824
HCA Healthcare, Inc.     2,521     699,073
Humana, Inc.     1,977     912,643
IQVIA Holdings, Inc.     1,636     364,223
Laboratory Corp. of America Holdings     3,333     693,597
Molina Healthcare, Inc.     2,153     667,688
Quest Diagnostics, Inc.     5,363     705,234
Syneos Health, Inc.    16,290     696,072
UnitedHealth Group, Inc.    11,782   5,615,066
Universal Health Services, Inc., Class B     1,879     253,101
      15,432,589
Home Builders — 0.6% 
D.R. Horton, Inc.     2,026     241,135
Lennar Corp., Class A     5,960     709,776
Lennar Corp., Class B     5,027     536,180
NVR, Inc.        32     204,075
PulteGroup, Inc.     4,256     349,247
Thor Industries, Inc.     5,543     581,017
Toll Brothers, Inc.    10,013     820,365
      3,441,795
Home Furnishings — 0.2% 
Dolby Laboratories, Inc., Class A     6,326     534,357
Tempur Sealy International, Inc.    11,995     560,407
Whirlpool Corp.     1,601     224,076
      1,318,840
Household Products/Wares — 0.4% 
Avery Dennison Corp.       887     167,093
Church & Dwight Co., Inc.     4,268     413,014
Clorox Co.     3,758     587,939
Kimberly-Clark Corp.     4,920     633,844
Reynolds Consumer Products, Inc.     7,431     202,792
      2,004,682
Insurance — 3.8% 
Aflac, Inc.     9,153     682,539
Allstate Corp.     1,900     204,839
American Financial Group, Inc.     2,300     266,616
Aon PLC, Class A     2,291     763,797
Arch Capital Group, Ltd.     5,599     430,339
Arthur J. Gallagher & Co.     3,016     695,128
Assurant, Inc.     1,489     207,462
Assured Guaranty, Ltd.     3,132     184,287
Axis Capital Holdings, Ltd.     3,456     189,596
Berkshire Hathaway, Inc., Class B    15,737   5,668,467
Brown & Brown, Inc.     3,458     256,238
Chubb, Ltd.     4,387     881,217
Cincinnati Financial Corp.     1,477     156,252
CNA Financial Corp.     8,130     319,753
Equitable Holdings, Inc.     9,785     281,808
Everest Group, Ltd.       674     243,098
Fidelity National Financial, Inc.     8,426     348,836
First American Financial Corp.     7,151     441,074
Globe Life, Inc.     1,991     222,136
Hanover Insurance Group, Inc.     1,845     196,898
Hartford Financial Services Group, Inc.     7,453     535,275
Loews Corp.     7,680     476,851
Markel Group, Inc.       189      279,516
 
173

VALIC Company I Systematic Core Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Insurance (continued) 
Marsh & McLennan Cos., Inc.     6,495 $  1,266,460
MetLife, Inc.    12,699     804,355
MGIC Investment Corp.    18,229     320,466
Old Republic International Corp.    20,062     548,696
Primerica, Inc.     1,068     214,625
Principal Financial Group, Inc.     6,530     507,446
Progressive Corp.     5,254     701,251
Prudential Financial, Inc.     2,899     274,448
Reinsurance Group of America, Inc.     2,069     286,805
RenaissanceRe Holdings, Ltd.     1,250     234,863
Ryan Specialty Holdings, Inc.     3,509     171,064
Travelers Cos., Inc.     3,861     622,509
Unum Group    14,858     730,865
W.R. Berkley Corp.     3,842     237,666
White Mountains Insurance Group, Ltd.       196     311,383
Willis Towers Watson PLC     1,194     246,871
      21,411,795
Internet — 8.8% 
Alphabet, Inc., Class A    74,321  10,120,291
Alphabet, Inc., Class C    65,490   8,995,052
Amazon.com, Inc.   103,871  14,335,237
Booking Holdings, Inc.       326   1,012,240
CDW Corp.     2,743     579,184
eBay, Inc.     6,857     307,056
Etsy, Inc.     2,814     207,026
Expedia Group, Inc.     1,582     171,473
F5, Inc.     2,299     376,254
Gen Digital, Inc.    13,369     270,722
GoDaddy, Inc., Class A     4,241     307,515
Match Group, Inc.     3,280     153,734
Meta Platforms, Inc., Class A    27,915   8,259,769
Netflix, Inc.     2,022     876,901
Palo Alto Networks, Inc.     3,329     809,946
Pinterest, Inc., Class A    11,825     325,069
Spotify Technology SA     1,251     192,616
Uber Technologies, Inc.     6,426     303,500
VeriSign, Inc.     4,199     872,510
Wayfair, Inc., Class A#     3,500     241,885
Zillow Group, Inc., Class A     7,206     366,930
Zillow Group, Inc., Class C     7,635     398,242
      49,483,152
Iron/Steel — 0.7% 
Cleveland-Cliffs, Inc.    20,348     311,121
Nucor Corp.     5,025     864,803
Reliance Steel & Aluminum Co.     4,946   1,409,412
Steel Dynamics, Inc.     6,177     658,406
United States Steel Corp.    19,751     614,059
      3,857,801
Leisure Time — 0.1% 
Harley-Davidson, Inc.    14,710     496,463
Polaris, Inc.     1,271     142,466
YETI Holdings, Inc.     2,498     124,775
      763,704
Lodging — 0.4% 
Boyd Gaming Corp.     7,007     468,558
Choice Hotels International, Inc.       747      94,794
Hilton Worldwide Holdings, Inc.     1,607     238,880
Hyatt Hotels Corp., Class A#       952     107,014
Las Vegas Sands Corp.     1,896      104,015
Security Description   Shares or
Principal
Amount
Value
 
Lodging (continued) 
Marriott International, Inc., Class A     1,415 $    287,967
MGM Resorts International     7,404     325,628
Travel & Leisure Co.     4,408     177,202
Wyndham Hotels & Resorts, Inc.     1,614     121,679
Wynn Resorts, Ltd.       968      98,136
      2,023,873
Machinery-Construction & Mining — 0.3% 
BWX Technologies, Inc.     1,633     120,450
Caterpillar, Inc.     3,068     862,507
Oshkosh Corp.     7,564     785,370
      1,768,327
Machinery-Diversified — 1.1% 
Cognex Corp.     4,077     191,945
Deere & Co.     1,522     625,451
Dover Corp.     2,414     357,996
Esab Corp.    10,317     744,578
Gates Industrial Corp. PLC    44,477     546,177
Graco, Inc.     7,097     560,237
IDEX Corp.     1,139     257,870
Ingersoll Rand, Inc.     6,205     431,930
Middleby Corp.     1,979     288,123
Nordson Corp.     1,533     374,267
Otis Worldwide Corp.     7,320     626,226
Rockwell Automation, Inc.       776     242,174
Toro Co.     4,273     437,213
Westinghouse Air Brake Technologies Corp.     5,002     562,825
Xylem, Inc.     1,999     206,976
      6,453,988
Media — 1.9% 
Cable One, Inc.       138      89,779
Charter Communications, Inc., Class A     1,347     590,148
Comcast Corp., Class A    43,580   2,037,801
FactSet Research Systems, Inc.     1,505     656,797
Fox Corp., Class A    18,887     624,404
Fox Corp., Class B    18,427     562,392
Liberty Broadband Corp., Class A       761      71,260
Liberty Broadband Corp., Class C       755      70,638
Liberty Media Corp.-Liberty Formula One, Class A     3,732     226,346
Liberty Media Corp.-Liberty Formula One, Class C     4,993     343,468
Liberty Media Corp.-Liberty SiriusXM    15,662     382,779
Liberty Media Corp.-Liberty SiriusXM#    17,317     416,127
New York Times Co., Class A     7,634     337,957
News Corp., Class A    25,911     556,827
News Corp., Class B    27,148     597,256
Nexstar Media Group, Inc.     4,359     709,645
Sirius XM Holdings, Inc.    95,215     418,946
Walt Disney Co.     8,998     752,953
Warner Bros. Discovery, Inc.    36,862     484,367
World Wrestling Entertainment, Inc., Class A     5,282     509,977
      10,439,867
Metal Fabricate/Hardware — 0.1% 
Advanced Drainage Systems, Inc.     1,208     154,817
Timken Co.     2,712     207,251
Valmont Industries, Inc.       640     162,240
      524,308
 
174  

VALIC Company I Systematic Core Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Mining — 0.0% 
Freeport-McMoRan, Inc.     4,471 $    178,438
Newmont Corp.     1,849      72,887
      251,325
Miscellaneous Manufacturing — 1.2% 
3M Co.     6,953     741,677
A.O. Smith Corp.     5,563     403,318
Axon Enterprise, Inc.       487     103,687
Carlisle Cos., Inc.     1,773     466,334
Donaldson Co., Inc.     7,867     502,465
Eaton Corp. PLC     3,577     824,033
General Electric Co.     8,957   1,025,218
Illinois Tool Works, Inc.     3,411     843,711
ITT, Inc.     1,093     111,792
Parker-Hannifin Corp.     1,752     730,409
Teledyne Technologies, Inc.       432     180,706
Textron, Inc.     9,466     735,603
      6,668,953
Office/Business Equipment — 0.1% 
Zebra Technologies Corp., Class A     1,111     305,536
Oil & Gas — 3.0% 
Antero Resources Corp.     8,948     247,591
APA Corp.    10,081     441,951
Chesapeake Energy Corp.#     2,149     189,563
Chevron Corp.    19,902   3,206,212
ConocoPhillips    12,274   1,460,974
Coterra Energy, Inc.     4,985     140,527
Devon Energy Corp.     3,799     194,091
Diamondback Energy, Inc.     1,580     239,812
EOG Resources, Inc.     4,019     516,924
EQT Corp.     7,281     314,685
Exxon Mobil Corp.    43,551   4,842,436
Hess Corp.     1,479     228,506
HF Sinclair Corp.     7,489     412,569
Marathon Oil Corp.    22,003     579,779
Marathon Petroleum Corp.     7,812   1,115,319
Occidental Petroleum Corp.     9,702     609,189
Ovintiv, Inc.     6,481     304,348
Phillips 66     7,028     802,316
Pioneer Natural Resources Co.     1,267     301,457
Valero Energy Corp.     6,145     798,236
      16,946,485
Oil & Gas Services — 0.1% 
Baker Hughes Co.     2,765     100,065
Schlumberger NV     6,733     396,978
      497,043
Packaging & Containers — 0.4% 
Amcor PLC    15,603     151,973
AptarGroup, Inc.     1,807     239,536
Ardagh Group SA#    10,044      90,145
Berry Global Group, Inc.     5,216     340,813
Graphic Packaging Holding Co.     9,181     204,185
Packaging Corp. of America     1,293     192,786
Silgan Holdings, Inc.     6,076     274,210
Sonoco Products Co.     3,817     219,287
WestRock Co.    12,819     419,310
      2,132,245
Security Description   Shares or
Principal
Amount
Value
 
Pharmaceuticals — 5.5% 
AbbVie, Inc.    24,468 $  3,595,817
Becton Dickinson & Co.     1,695     473,668
Bristol-Myers Squibb Co.    30,906   1,905,355
Cardinal Health, Inc.     9,632     841,163
Cencora, Inc.     3,098     545,186
Cigna Group     5,451   1,505,893
CVS Health Corp.    22,391   1,459,221
Dexcom, Inc.     1,086     109,664
Elanco Animal Health, Inc.    25,693     313,455
Eli Lilly & Co.    10,497   5,817,437
Henry Schein, Inc.    10,640     814,386
Jazz Pharmaceuticals PLC     4,182     599,532
Johnson & Johnson    29,183   4,718,307
McKesson Corp.     2,711   1,117,800
Merck & Co., Inc.    26,162   2,851,135
Neurocrine Biosciences, Inc.       959     104,425
Perrigo Co. PLC     6,492     227,220
Pfizer, Inc.    53,674   1,898,986
Premier, Inc., Class A     5,730     123,367
Viatris, Inc.    83,663     899,377
Zoetis, Inc.     4,862     926,260
      30,847,654
Pipelines — 0.4% 
Antero Midstream Corp.    20,176     244,533
Cheniere Energy, Inc.     3,171     517,507
DT Midstream, Inc.     2,453     128,267
Kinder Morgan, Inc.    18,697     321,962
ONEOK, Inc.     3,067     199,969
Targa Resources Corp.     4,592     396,060
Williams Cos., Inc.     9,396     324,444
      2,132,742
Private Equity — 0.1% 
Ares Management Corp., Class A     2,488     257,359
Blackstone, Inc.       657      69,885
      327,244
Real Estate — 0.1% 
CBRE Group, Inc., Class A     3,558     302,608
Jones Lang LaSalle, Inc.       820     141,696
      444,304
REITS — 1.8% 
Agree Realty Corp.     2,052     126,855
Alexandria Real Estate Equities, Inc.     1,373     159,735
American Homes 4 Rent, Class A     5,902     212,708
American Tower Corp.     1,322     239,705
Americold Realty Trust, Inc.     7,157     240,833
Annaly Capital Management, Inc.    13,236     268,294
Apartment Income REIT Corp.     2,774      94,482
AvalonBay Communities, Inc.       982     180,511
Brixmor Property Group, Inc.     8,790     193,204
Camden Property Trust     2,323     250,001
Cousins Properties, Inc.     9,108     214,038
Crown Castle, Inc.     1,839     184,820
CubeSmart     3,427     142,940
EPR Properties     4,627     207,197
Equinix, Inc.       344     268,795
Equity LifeStyle Properties, Inc.     2,440     163,382
Equity Residential     2,967     192,351
Essex Property Trust, Inc.       762     181,653
Extra Space Storage, Inc.       993     127,779
First Industrial Realty Trust, Inc.     3,633      188,698
 
175

VALIC Company I Systematic Core Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
REITS (continued) 
Gaming & Leisure Properties, Inc.     4,746 $    224,960
Healthcare Realty Trust, Inc.     4,356      76,317
Healthpeak Properties, Inc.     4,405      90,655
Highwoods Properties, Inc.     9,984     237,919
Host Hotels & Resorts, Inc.    20,141     318,026
Invitation Homes, Inc.     5,024     171,268
Iron Mountain, Inc.     6,023     382,701
Kilroy Realty Corp.     6,683     246,937
Lamar Advertising Co., Class A     1,391     126,887
Mid-America Apartment Communities, Inc.     1,237     179,650
NNN REIT, Inc.     3,170     124,866
Park Hotels & Resorts, Inc.    28,404     364,423
Prologis, Inc.     2,930     363,906
Public Storage       813     224,697
Rayonier, Inc.     4,068     121,633
Realty Income Corp.     4,794     268,656
Regency Centers Corp.     2,705     168,251
Rexford Industrial Realty, Inc.     1,756      93,893
Rithm Capital Corp.    43,353     446,969
SBA Communications Corp.       499     112,041
Simon Property Group, Inc.     1,071     121,548
Starwood Property Trust, Inc.     6,258     127,851
Sun Communities, Inc.     1,424     174,326
UDR, Inc.     3,532     140,927
VICI Properties, Inc.    11,383     351,052
Vornado Realty Trust    18,636     447,637
Welltower, Inc.     2,086     172,888
Weyerhaeuser Co.     5,774     189,099
WP Carey, Inc.     2,677     174,139
      10,082,103
Retail — 7.0% 
Advance Auto Parts, Inc.     3,143     216,301
AutoNation, Inc.    10,335   1,623,525
AutoZone, Inc.       676   1,711,179
Bath & Body Works, Inc.    13,167     485,467
Best Buy Co., Inc.     8,259     631,401
BJ's Wholesale Club Holdings, Inc.     1,374      92,594
Burlington Stores, Inc.     1,088     176,539
CarMax, Inc.     1,260     102,917
Casey's General Stores, Inc.     3,951     965,664
Chipotle Mexican Grill, Inc.       148     285,143
Costco Wholesale Corp.     4,925   2,705,204
Darden Restaurants, Inc.     1,737     270,121
Dick's Sporting Goods, Inc.     5,664     658,950
Dollar General Corp.     3,903     540,565
Dollar Tree, Inc.     4,700     575,092
Domino's Pizza, Inc.     1,977     765,890
Five Below, Inc.       523      89,935
Floor & Decor Holdings, Inc., Class A     1,674     166,898
GameStop Corp., Class A     5,620     104,251
Gap, Inc.    27,191     314,872
Genuine Parts Co.     7,021   1,079,338
Home Depot, Inc.    13,258   4,379,117
Kohl's Corp.    11,845     315,551
Lithia Motors, Inc.       425     130,908
Lowe's Cos., Inc.    11,356   2,617,331
Lululemon Athletica, Inc.     2,087     795,690
Macy's, Inc.    32,625     399,004
McDonald's Corp.     5,758   1,618,862
MSC Industrial Direct Co., Inc., Class A     7,723     788,209
Nordstrom, Inc.    14,400      233,568
Security Description   Shares or
Principal
Amount
Value
 
Retail (continued) 
Ollie's Bargain Outlet Holdings, Inc.     1,994 $    153,698
O'Reilly Automotive, Inc.     1,934   1,817,380
Penske Automotive Group, Inc.#     7,724   1,269,053
Petco Health & Wellness Co., Inc.    11,806      60,093
Ross Stores, Inc.     2,319     282,477
Starbucks Corp.     6,492     632,580
Target Corp.     6,673     844,468
Texas Roadhouse, Inc.     1,493     155,421
TJX Cos., Inc.    10,489     970,023
Tractor Supply Co.     4,995   1,091,407
Ulta Beauty, Inc.     1,545     641,221
Victoria's Secret & Co.     8,271     158,638
Walgreens Boots Alliance, Inc.     9,927     251,252
Walmart, Inc.    23,787   3,868,004
Wendy's Co.     4,185      82,821
Williams-Sonoma, Inc.#     5,638     796,086
Wingstop, Inc.       590      94,778
Yum! Brands, Inc.     7,732   1,000,366
      39,009,852
Savings & Loans — 0.1% 
New York Community Bancorp, Inc.    17,008     208,858
TFS Financial Corp.     9,616     130,874
      339,732
Semiconductors — 6.2% 
Advanced Micro Devices, Inc.    10,897   1,152,031
Allegro MicroSystems, Inc.    11,893     454,907
Analog Devices, Inc.     3,966     720,939
Applied Materials, Inc.    13,772   2,103,811
Broadcom, Inc.     4,899   4,521,238
Cirrus Logic, Inc.    11,371     932,877
Intel Corp.    22,358     785,660
KLA Corp.     2,046   1,026,826
Lam Research Corp.     1,531   1,075,374
Lattice Semiconductor Corp.     1,725     167,774
Marvell Technology, Inc.     2,367     137,878
Microchip Technology, Inc.     6,006     491,531
Micron Technology, Inc.     4,037     282,348
MKS Instruments, Inc.     4,448     445,823
Monolithic Power Systems, Inc.       956     498,277
NVIDIA Corp.    26,933  13,292,782
ON Semiconductor Corp.    13,288   1,308,336
Qorvo, Inc.     3,734     400,994
QUALCOMM, Inc.    15,866   1,817,133
Skyworks Solutions, Inc.     3,097     336,768
Teradyne, Inc.     5,796     625,215
Texas Instruments, Inc.    11,766   1,977,394
      34,555,916
Shipbuilding — 0.1% 
Huntington Ingalls Industries, Inc.     2,100     462,672
Software — 10.0% 
Activision Blizzard, Inc.     3,873     356,277
Adobe, Inc.     6,148   3,438,822
Akamai Technologies, Inc.     4,818     506,324
ANSYS, Inc.       308      98,212
AppLovin Corp., Class A    23,939   1,034,644
Atlassian Corp., Class A     2,978     607,691
Autodesk, Inc.     2,759     612,332
Black Knight, Inc.     2,817     213,416
Broadridge Financial Solutions, Inc.     1,023     190,493
Cadence Design Systems, Inc.     6,631    1,594,358
 
176  

VALIC Company I Systematic Core Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Software (continued) 
CCC Intelligent Solutions Holdings, Inc.    12,603 $    134,852
Concentrix Corp.     5,016     400,427
Datadog, Inc., Class A       972      93,779
DocuSign, Inc.     3,787     190,486
Dropbox, Inc., Class A    30,409     845,066
Electronic Arts, Inc.     4,681     561,626
Fair Isaac Corp.     1,588   1,436,489
Fiserv, Inc.     6,552     795,347
Guidewire Software, Inc.     1,434     123,941
HubSpot, Inc.     1,064     581,497
Informatica, Inc., Class A     9,687     202,943
Intuit, Inc.     2,797   1,515,443
Jack Henry & Associates, Inc.     2,687     421,268
Manhattan Associates, Inc.     4,155     841,886
Microsoft Corp.    87,034  28,526,264
MSCI, Inc.       270     146,777
New Relic, Inc.     2,559     217,796
Nutanix, Inc., Class A    14,188     441,247
Oracle Corp.     9,501   1,143,825
Paychex, Inc.     3,423     418,393
Pegasystems, Inc.     4,890     242,837
Playtika Holding Corp.    32,146     313,745
PTC, Inc.     1,249     183,815
RingCentral, Inc., Class A     3,964     122,606
Roper Technologies, Inc.       717     357,826
Salesforce, Inc.     7,344   1,626,402
ServiceNow, Inc.     2,020   1,189,437
Smartsheet, Inc., Class A     3,056     127,527
SS&C Technologies Holdings, Inc.     8,078     463,839
Synopsys, Inc.     2,382   1,093,076
Teradata Corp.    25,032   1,158,231
Tyler Technologies, Inc.       207      82,475
VMware, Inc., Class A     4,329     730,649
Workday, Inc., Class A     1,335     326,407
Zoom Video Communications, Inc., Class A     2,623     186,312
      55,897,105
Telecommunications — 1.5% 
Arista Networks, Inc.     3,060     597,404
AT&T, Inc.    74,485   1,101,633
Ciena Corp.     2,823     141,093
Cisco Systems, Inc.    48,058   2,756,126
Corning, Inc.     5,613     184,219
ESC GCI Liberty, Inc.(1)     1,081           0
Juniper Networks, Inc.    10,290     299,645
Motorola Solutions, Inc.     2,807     795,981
T-Mobile US, Inc.     4,296     585,330
Ubiquiti, Inc.#     2,070     362,312
Verizon Communications, Inc.    38,261   1,338,370
      8,162,113
Toys/Games/Hobbies — 0.1% 
Hasbro, Inc.     1,499     107,928
Mattel, Inc.    21,632     479,365
      587,293
Transportation — 1.4% 
C.H. Robinson Worldwide, Inc.     6,193     560,033
CSX Corp.    13,194      398,459
Security Description   Shares or
Principal
Amount
  Value
 
Transportation (continued) 
Expeditors International of Washington, Inc.     4,830   $    563,709
FedEx Corp.     3,418       892,166
GXO Logistics, Inc.     3,447       220,505
JB Hunt Transport Services, Inc.     1,401       263,220
Kirby Corp.     5,995       496,566
Knight-Swift Transportation Holdings, Inc.    14,770       809,691
Landstar System, Inc.     4,692       890,588
Norfolk Southern Corp.     1,281       262,618
Old Dominion Freight Line, Inc.     1,356       579,514
Schneider National, Inc., Class B    10,400       300,664
Union Pacific Corp.     2,028       447,316
United Parcel Service, Inc., Class B     4,176       707,414
XPO, Inc.     5,709       426,063
        7,818,526
Water — 0.1% 
American Water Works Co., Inc.     1,828       253,617
Essential Utilities, Inc.     4,808       177,415
        431,032
Total Common Stocks
(cost $428,814,635)
      548,334,314
UNAFFILIATED INVESTMENT COMPANIES — 1.7% 
Vanguard Russell 1000 ETF
(cost $9,541,747)
   46,540     9,547,216
Total Long-Term Investment Securities
(cost $438,356,382)
      557,881,530
SHORT-TERM INVESTMENTS — 0.2% 
Unaffiliated Investment Companies — 0.2% 
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(2)(3)
(cost $994,826)
  994,826       994,826
TOTAL INVESTMENTS
(cost $439,351,208)
  99.8%   558,876,356
Other assets less liabilities   0.2   1,119,041
NET ASSETS   100.0%   $559,995,397
Non-income producing security
# The security or a portion thereof is out on loan.
(1) Securities classified as Level 3 (see Note 1).
(2) The rate shown is the 7-day yield as of August 31, 2023.
(3) At August 31, 2023, the Fund had loaned securities with a total value of $5,209,698. This was secured by collateral of $994,826, which was received in cash and subsequently invested in short-term investments currently valued at $994,826 as reported in the Portfolio of Investments. Additional collateral of $4,387,812 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
Government National Mtg. Assoc. 1.75% 11/20/2051 $9,022
United States Treasury Bills 0.00% 09/19/2023 to 01/25/2024 240,175
United States Treasury Notes/Bonds 0.13% to 6.62% 10/15/2023 to 05/15/2053 4,138,615
ETF—Exchange Traded Fund
 
177

VALIC Company I Systematic Core Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks:              
Packaging & Containers $2,042,100   $90,145   $—   $2,132,245
Telecommunications 8,162,113     0   8,162,113
Other Industries 538,039,956       538,039,956
Unaffiliated Investment Companies 9,547,216       9,547,216
Short-Term Investments 994,826       994,826
Total Investments at Value $558,786,211   $90,145   $0   $558,876,356
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Level 3 investments in securities were not considered a significant portion of the Fund's net assets.
See Notes to Portfolio of Investments
178  

VALIC Company I Systematic Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 98.5% 
Aerospace/Defense — 0.6% 
Boeing Co.     1,616 $    362,033
HEICO Corp.     2,435     410,809
HEICO Corp., Class A     2,498     338,304
Lockheed Martin Corp.     8,257   3,702,026
Northrop Grumman Corp.       487     210,915
TransDigm Group, Inc.       531     479,944
      5,504,031
Airlines — 0.1% 
American Airlines Group, Inc.    14,553     214,366
Delta Air Lines, Inc.    12,972     556,239
      770,605
Apparel — 0.7% 
Crocs, Inc.    14,269   1,388,945
Deckers Outdoor Corp.     4,614   2,441,221
NIKE, Inc., Class B    11,014   1,120,234
Skechers USA, Inc., Class A     8,758     440,615
Tapestry, Inc.    18,516     616,953
      6,007,968
Auto Manufacturers — 2.3% 
Tesla, Inc.    77,792  20,076,559
Auto Parts & Equipment — 0.1% 
Allison Transmission Holdings, Inc.    16,989   1,026,985
Banks — 0.1% 
First Citizens BancShares, Inc., Class A       525     714,210
NU Holdings, Ltd.    30,765     210,740
      924,950
Beverages — 1.3% 
Boston Beer Co., Inc., Class A     2,479     905,901
Brown-Forman Corp., Class A     5,129     344,823
Brown-Forman Corp., Class B     5,125     338,916
Celsius Holdings, Inc.       805     157,812
Coca-Cola Co.    38,041   2,275,993
Constellation Brands, Inc., Class A     1,509     393,185
Monster Beverage Corp.    14,509     832,962
PepsiCo, Inc.    33,263   5,918,153
      11,167,745
Biotechnology — 2.3% 
Amgen, Inc.     4,121   1,056,377
Apellis Pharmaceuticals, Inc.#     1,413      59,643
BioMarin Pharmaceutical, Inc.     1,780     162,656
Exelixis, Inc.   104,229   2,333,687
Incyte Corp.    70,386   4,542,009
Maravai LifeSciences Holdings, Inc., Class A   102,710   1,062,022
Regeneron Pharmaceuticals, Inc.     5,319   4,396,100
Roivant Sciences, Ltd.    22,187     256,704
Sarepta Therapeutics, Inc.     2,086     252,427
Seagen, Inc.     1,991     410,285
Vertex Pharmaceuticals, Inc.    15,962   5,560,203
      20,092,113
Building Materials — 0.4% 
Armstrong World Industries, Inc.     2,751     210,699
Eagle Materials, Inc.     3,764     712,601
Trane Technologies PLC     9,842   2,020,169
Vulcan Materials Co.     1,661     362,513
      3,305,982
Security Description   Shares or
Principal
Amount
Value
 
Chemicals — 0.3% 
Axalta Coating Systems, Ltd.    13,755 $    389,267
Ecolab, Inc.     1,121     206,051
FMC Corp.     2,025     174,616
Linde PLC     1,498     579,786
PPG Industries, Inc.       794     112,557
RPM International, Inc.     2,761     275,382
Sherwin-Williams Co.     1,988     540,179
Valvoline, Inc.    12,033     414,417
      2,692,255
Commercial Services — 3.2% 
Automatic Data Processing, Inc.     4,004   1,019,458
Booz Allen Hamilton Holding Corp.    27,781   3,147,865
Bright Horizons Family Solutions, Inc.     1,817     171,561
Cintas Corp.     1,990   1,003,298
CoStar Group, Inc.     1,975     161,930
Equifax, Inc.       367      75,859
Euronet Worldwide, Inc.     7,807     682,020
FleetCor Technologies, Inc.     5,968   1,621,685
FTI Consulting, Inc.     1,654     307,346
Gartner, Inc.     2,689     940,290
Grand Canyon Education, Inc.    17,457   2,046,833
H&R Block, Inc.    34,314   1,371,874
MarketAxess Holdings, Inc.       311      74,929
Moody's Corp.     2,032     684,378
Morningstar, Inc.       574     133,553
Paylocity Holding Corp.     8,958   1,796,079
PayPal Holdings, Inc.    54,350   3,397,418
Quanta Services, Inc.     3,110     652,696
RB Global, Inc.     1,960     120,971
Rollins, Inc.    56,121   2,220,708
S&P Global, Inc.       634     247,805
Service Corp. International     5,321     335,808
Shift4 Payments, Inc., Class A     3,250     184,567
Toast, Inc., Class A     7,858     174,212
U-Haul Holding Co. #     2,266     129,094
United Rentals, Inc.    10,488   4,997,952
Verisk Analytics, Inc.     1,887     457,069
WEX, Inc.       410      80,434
WillScot Mobile Mini Holdings Corp.     5,958     244,397
      28,482,089
Computers — 13.6% 
Accenture PLC, Class A    37,215  12,049,100
Apple, Inc.   542,842 101,983,726
EPAM Systems, Inc.     3,280     849,487
Fortinet, Inc.    34,935   2,103,436
Genpact, Ltd.    24,851     927,688
Globant SA       742     151,717
HP, Inc.     9,553     283,820
KBR, Inc.     9,010     554,295
NetApp, Inc.     6,428     493,028
Pure Storage, Inc., Class A    25,745     942,010
      120,338,307
Cosmetics/Personal Care — 0.3% 
Estee Lauder Cos., Inc., Class A     3,178     510,164
Procter & Gamble Co.    12,965   2,001,018
      2,511,182
Distribution/Wholesale — 0.8% 
Copart, Inc.    17,986     806,312
Fastenal Co.    14,592     840,207
Ferguson PLC     2,758      445,583
 
179

VALIC Company I Systematic Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Distribution/Wholesale (continued) 
Pool Corp.       658 $    240,565
SiteOne Landscape Supply, Inc.     1,737     297,357
Watsco, Inc.     1,080     393,714
WW Grainger, Inc.     5,131   3,664,252
      6,687,990
Diversified Financial Services — 4.5% 
American Express Co.     5,158     814,912
Ameriprise Financial, Inc.     3,941   1,330,403
Apollo Global Management, Inc.    35,266   3,080,133
Houlihan Lokey, Inc.     2,950     310,753
LPL Financial Holdings, Inc.     8,061   1,858,786
Mastercard, Inc., Class A    27,614  11,394,641
SLM Corp.    50,592     720,430
Tradeweb Markets, Inc., Class A     2,613     225,842
UWM Holdings Corp.    36,402     216,956
Visa, Inc., Class A    75,046  18,437,301
Western Union Co.   103,518   1,278,447
      39,668,604
Electric — 0.1% 
AES Corp.     3,161      56,677
Vistra Corp.    26,677     838,191
      894,868
Electrical Components & Equipment — 0.0% 
Universal Display Corp.     1,095     178,003
Electronics — 0.9% 
Agilent Technologies, Inc.     3,285     397,715
Allegion PLC     1,356     154,326
Amphenol Corp., Class A     8,856     782,693
Honeywell International, Inc.     2,291     430,571
Hubbell, Inc.     6,785   2,212,249
Jabil, Inc.    14,157   1,619,844
Keysight Technologies, Inc.     4,286     571,324
Mettler-Toledo International, Inc.       648     786,335
National Instruments Corp.    10,225     609,410
Vontier Corp.    25,181     790,935
      8,355,402
Energy-Alternate Sources — 0.2% 
Enphase Energy, Inc.    12,226   1,546,956
Engineering & Construction — 0.2% 
EMCOR Group, Inc.     4,911   1,101,292
TopBuild Corp.     2,401     696,482
      1,797,774
Entertainment — 0.2% 
Caesars Entertainment, Inc.    13,589     750,928
Churchill Downs, Inc.     3,027     379,223
DraftKings, Inc., Class A     8,928     264,715
Live Nation Entertainment, Inc.     4,890     413,352
Vail Resorts, Inc.       931     210,704
      2,018,922
Environmental Control — 0.1% 
Tetra Tech, Inc.       539      84,812
Waste Management, Inc.     3,237     507,497
      592,309
Food — 0.8% 
Albertsons Cos., Inc., Class A    23,898      535,315
Security Description   Shares or
Principal
Amount
Value
 
Food (continued) 
Hershey Co.    15,429 $  3,315,075
Lamb Weston Holdings, Inc.     7,180     699,404
Performance Food Group Co.    18,939   1,176,680
Sysco Corp.    13,905     968,483
      6,694,957
Hand/Machine Tools — 0.1% 
Lincoln Electric Holdings, Inc.     3,036     584,309
MSA Safety, Inc.     1,427     260,684
      844,993
Healthcare-Products — 1.3% 
Abbott Laboratories     3,016     310,346
Align Technology, Inc.       545     201,726
Bio-Techne Corp.     1,394     109,290
Bruker Corp.     4,233     277,685
Edwards Lifesciences Corp.     7,088     542,019
Exact Sciences Corp.     2,593     216,956
GE HealthCare Technologies, Inc.       910      64,109
IDEXX Laboratories, Inc.     2,200   1,125,102
Inspire Medical Systems, Inc.     1,081     245,257
Insulet Corp.       429      82,244
Intuitive Surgical, Inc.     3,326   1,039,974
Masimo Corp.     1,170     133,708
Natera, Inc.     8,351     490,454
Penumbra, Inc.     1,285     339,882
ResMed, Inc.     1,628     259,813
Shockwave Medical, Inc.     1,113     245,294
Stryker Corp.     2,292     649,897
Thermo Fisher Scientific, Inc.     7,784   4,336,466
Waters Corp.     1,720     482,976
West Pharmaceutical Services, Inc.       204      83,008
      11,236,206
Healthcare-Services — 3.3% 
Chemed Corp.     1,262     645,437
DaVita, Inc.     4,777     489,260
Elevance Health, Inc.     5,450   2,408,955
Encompass Health Corp.     4,875     346,320
HCA Healthcare, Inc.     1,745     483,889
Humana, Inc.     2,221   1,025,280
IQVIA Holdings, Inc.     2,878     640,729
Medpace Holdings, Inc.    18,911   5,111,076
Molina Healthcare, Inc.     2,643     819,647
UnitedHealth Group, Inc.    37,067  17,665,391
      29,635,984
Home Builders — 0.1% 
NVR, Inc.       154     982,109
Home Furnishings — 0.0% 
Tempur Sealy International, Inc.     5,508     257,334
Household Products/Wares — 0.2% 
Avery Dennison Corp.       883     166,339
Church & Dwight Co., Inc.     5,490     531,267
Clorox Co.     4,162     651,145
Kimberly-Clark Corp.     4,190     539,798
      1,888,549
Housewares — 0.0% 
Scotts Miracle-Gro Co.#     5,126     290,439
Insurance — 1.8% 
Arch Capital Group, Ltd.    12,100     930,006
Arthur J. Gallagher & Co.    13,202    3,042,797
 
180  

VALIC Company I Systematic Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Insurance (continued) 
Brighthouse Financial, Inc.    60,449 $  3,001,897
Brown & Brown, Inc.    47,541   3,522,788
Equitable Holdings, Inc.    35,123   1,011,542
Everest Group, Ltd.     1,341     483,672
Kinsale Capital Group, Inc.     1,438     573,230
Marsh & McLennan Cos., Inc.     4,755     927,178
Primerica, Inc.     2,320     466,227
Progressive Corp.     6,535     872,227
RenaissanceRe Holdings, Ltd.     1,861     349,663
RLI Corp.     3,267     429,676
Ryan Specialty Holdings, Inc.     2,737     133,429
Willis Towers Watson PLC     1,544     319,237
      16,063,569
Internet — 17.3% 
Airbnb, Inc., Class A    14,891   1,958,911
Alphabet, Inc., Class A   244,261  33,261,020
Alphabet, Inc., Class C   190,339  26,143,062
Amazon.com, Inc.   315,430  43,532,494
Booking Holdings, Inc.     1,621   5,033,254
CDW Corp.     4,635     978,680
Coupang, Inc.    50,306     954,808
eBay, Inc.    16,766     750,782
Etsy, Inc.     6,354     467,464
Expedia Group, Inc.     6,632     718,843
Gen Digital, Inc.    38,901     787,745
GoDaddy, Inc., Class A    10,814     784,123
Match Group, Inc.     6,600     309,342
Meta Platforms, Inc., Class A    88,708  26,247,810
Netflix, Inc.    10,960   4,753,133
Palo Alto Networks, Inc.    10,527   2,561,219
Pinterest, Inc., Class A    20,125     553,236
Spotify Technology SA     2,731     420,492
Uber Technologies, Inc.    11,492     542,767
VeriSign, Inc.     4,271     887,471
Wayfair, Inc., Class A    23,876   1,650,070
      153,296,726
Leisure Time — 0.3% 
Brunswick Corp.    15,521   1,228,021
Norwegian Cruise Line Holdings, Ltd.     6,031      99,934
Planet Fitness, Inc., Class A     1,368      83,174
Polaris, Inc.     3,788     424,597
Royal Caribbean Cruises, Ltd.     4,107     406,347
YETI Holdings, Inc.    14,279     713,236
      2,955,309
Lodging — 0.7% 
Choice Hotels International, Inc.     2,014     255,577
Hilton Worldwide Holdings, Inc.     2,406     357,652
Las Vegas Sands Corp.     6,185     339,309
Marriott International, Inc., Class A    19,426   3,953,385
Travel & Leisure Co.     8,557     343,991
Wyndham Hotels & Resorts, Inc.     4,184     315,432
Wynn Resorts, Ltd.     2,136     216,548
      5,781,894
Machinery-Construction & Mining — 0.2% 
BWX Technologies, Inc.     6,138     452,739
Caterpillar, Inc.     4,701   1,321,592
Vertiv Holdings Co.     8,013     315,632
      2,089,963
Security Description   Shares or
Principal
Amount
Value
 
Machinery-Diversified — 1.5% 
Deere & Co.    16,874 $  6,934,202
Graco, Inc.    57,035   4,502,343
IDEX Corp.     1,713     387,823
Otis Worldwide Corp.     4,006     342,713
Rockwell Automation, Inc.     1,929     602,002
Toro Co.     6,124     626,608
Xylem, Inc.     2,887     298,920
      13,694,611
Media — 0.4% 
Cable One, Inc.     1,023     665,533
Charter Communications, Inc., Class A     2,471   1,082,594
FactSet Research Systems, Inc.       636     277,557
Liberty Broadband Corp., Class A     2,350     220,054
Liberty Broadband Corp., Class C     2,500     233,900
Nexstar Media Group, Inc.     5,905     961,334
World Wrestling Entertainment, Inc., Class A     4,574     441,620
      3,882,592
Metal Fabricate/Hardware — 0.1% 
Advanced Drainage Systems, Inc.     2,707     346,929
Valmont Industries, Inc.     2,468     625,638
      972,567
Mining — 0.0% 
Southern Copper Corp.#     3,237     261,096
Miscellaneous Manufacturing — 0.3% 
A.O. Smith Corp.     2,773     201,043
Axon Enterprise, Inc.     1,713     364,715
Donaldson Co., Inc.    10,781     688,582
Illinois Tool Works, Inc.     4,883   1,207,810
      2,462,150
Office/Business Equipment — 0.0% 
Zebra Technologies Corp., Class A       260      71,503
Oil & Gas — 0.1% 
APA Corp.     4,481     196,447
Hess Corp.     1,530     236,385
Ovintiv, Inc.    12,778     600,055
Texas Pacific Land Corp.        99     186,590
      1,219,477
Oil & Gas Services — 0.0% 
Halliburton Co.     6,130     236,741
Packaging & Containers — 0.1% 
Graphic Packaging Holding Co.    37,150     826,216
Sealed Air Corp.     4,467     165,547
      991,763
Pharmaceuticals — 3.7% 
AbbVie, Inc.    31,427   4,618,512
Cardinal Health, Inc.     4,755     415,254
Cencora, Inc.    29,274   5,151,639
Cigna Group     3,288     908,343
Dexcom, Inc.     3,055     308,494
Eli Lilly & Co.    18,996  10,527,583
Jazz Pharmaceuticals PLC    36,215   5,191,782
McKesson Corp.     1,657     683,214
Merck & Co., Inc.    27,432   2,989,539
Neurocrine Biosciences, Inc.     8,330     907,054
Zoetis, Inc.     5,058     963,600
      32,665,014
 
181

VALIC Company I Systematic Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Pipelines — 0.2% 
Antero Midstream Corp.    21,376 $    259,077
Cheniere Energy, Inc.     7,571   1,235,587
ONEOK, Inc.     3,100     202,120
Targa Resources Corp.     2,750     237,188
      1,933,972
Private Equity — 0.0% 
Ares Management Corp., Class A     3,882     401,554
REITS — 0.6% 
American Tower Corp.     1,762     319,486
Crown Castle, Inc.     2,058     206,829
Equinix, Inc.       361     282,078
Equity LifeStyle Properties, Inc.     3,257     218,089
Iron Mountain, Inc.     4,396     279,322
Lamar Advertising Co., Class A     2,953     269,373
Public Storage       884     244,320
SBA Communications Corp.       583     130,901
Simon Property Group, Inc.    24,025   2,726,597
Sun Communities, Inc.     3,167     387,704
UDR, Inc.     4,678     186,652
      5,251,351
Retail — 5.7% 
AutoZone, Inc.     1,547   3,915,968
Best Buy Co., Inc.     9,946     760,372
BJ's Wholesale Club Holdings, Inc.    16,141   1,087,742
Burlington Stores, Inc.     1,085     176,052
Casey's General Stores, Inc.     4,417   1,079,559
Chipotle Mexican Grill, Inc.       296     570,285
Costco Wholesale Corp.    17,081   9,382,252
Darden Restaurants, Inc.     4,134     642,878
Dick's Sporting Goods, Inc.     3,557     413,821
Dollar General Corp.     2,237     309,824
Domino's Pizza, Inc.     2,090     809,666
Five Below, Inc.       953     163,878
Floor & Decor Holdings, Inc., Class A       443      44,167
Home Depot, Inc.    22,866   7,552,640
Lowe's Cos., Inc.     8,893   2,049,659
Lululemon Athletica, Inc.    14,019   5,344,884
McDonald's Corp.     3,784   1,063,872
Murphy USA, Inc.     2,264     719,137
Ollie's Bargain Outlet Holdings, Inc.     3,613     278,490
O'Reilly Automotive, Inc.     1,367   1,284,570
Ross Stores, Inc.     6,422     782,264
Starbucks Corp.    11,163   1,087,723
Target Corp.     4,470     565,678
Texas Roadhouse, Inc.     3,967     412,965
TJX Cos., Inc.    23,850   2,205,648
Tractor Supply Co.     3,395     741,807
Ulta Beauty, Inc.     8,470   3,515,304
Victoria's Secret & Co.    44,441     852,378
Wendy's Co.    21,858     432,570
Williams-Sonoma, Inc.     8,641   1,220,109
Wingstop, Inc.     2,523     405,295
Yum! Brands, Inc.     6,936     897,380
      50,768,837
Semiconductors — 9.0% 
Advanced Micro Devices, Inc.    11,917   1,259,865
Allegro MicroSystems, Inc.    12,325     471,431
Applied Materials, Inc.    15,528   2,372,057
Broadcom, Inc.    16,894   15,591,304
Security Description   Shares or
Principal
Amount
Value
 
Semiconductors (continued) 
KLA Corp.     8,899 $  4,466,141
Lam Research Corp.     2,711   1,904,206
Lattice Semiconductor Corp.     7,687     747,638
Microchip Technology, Inc.    41,020   3,357,077
Monolithic Power Systems, Inc.       931     485,247
NVIDIA Corp.    91,290  45,056,179
QUALCOMM, Inc.    18,348   2,101,396
Teradyne, Inc.     4,295     463,302
Texas Instruments, Inc.     6,780   1,139,447
      79,415,290
Software — 16.9% 
Adobe, Inc.    14,634   8,185,382
Alteryx, Inc., Class A    11,804     348,454
ANSYS, Inc.     1,288     410,705
AppLovin Corp., Class A    28,777   1,243,742
Atlassian Corp., Class A     3,122     637,075
Autodesk, Inc.     3,646     809,193
Bentley Systems, Inc., Class B     6,522     325,513
Broadridge Financial Solutions, Inc.     1,563     291,046
Cadence Design Systems, Inc.    14,652   3,522,927
Confluent, Inc., Class A    11,891     393,473
Datadog, Inc., Class A     1,578     152,245
DocuSign, Inc.    13,960     702,188
DoubleVerify Holdings, Inc.     4,922     166,413
Dropbox, Inc., Class A    36,232   1,006,887
Dynatrace, Inc.    10,693     515,403
Fair Isaac Corp.     1,173   1,061,084
Fiserv, Inc.    12,523   1,520,167
Gitlab, Inc., Class A     8,501     402,692
HashiCorp, Inc., Class A    31,980     932,537
HubSpot, Inc.     1,273     695,720
Informatica, Inc., Class A    42,454     889,411
Intuit, Inc.    13,215   7,160,019
Jack Henry & Associates, Inc.     1,406     220,433
Manhattan Associates, Inc.     4,755     963,458
Microsoft Corp.   274,882  90,095,324
MSCI, Inc.       270     146,777
New Relic, Inc.     2,024     172,263
Nutanix, Inc., Class A    15,102     469,672
Oracle Corp.    12,056   1,451,422
Palantir Technologies, Inc., Class A     7,263     108,800
Paychex, Inc.    46,984   5,742,854
Pegasystems, Inc.    10,170     505,042
Playtika Holding Corp.    59,631     581,999
Procore Technologies, Inc.     1,363      92,071
PTC, Inc.     3,996     588,091
RingCentral, Inc., Class A    23,459     725,587
ROBLOX Corp., Class A     1,390      39,323
Salesforce, Inc.    32,382   7,171,318
ServiceNow, Inc.     2,007   1,181,782
Smartsheet, Inc., Class A    22,474     937,840
Splunk, Inc.     2,578     312,608
Synopsys, Inc.     7,532   3,456,359
Teradata Corp.    24,012   1,111,035
Tyler Technologies, Inc.       756     301,213
UiPath, Inc., Class A    45,886     725,458
VMware, Inc., Class A     5,541     935,210
Workday, Inc., Class A     1,117     273,107
      149,681,322
Telecommunications — 0.8% 
Arista Networks, Inc.    28,040    5,474,249
 
182  

VALIC Company I Systematic Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
  Value
COMMON STOCKS (continued) 
Telecommunications (continued) 
Iridium Communications, Inc.     5,423   $    265,456
Motorola Solutions, Inc.     2,774       786,623
Ubiquiti, Inc.#     2,801       490,259
        7,016,587
Transportation — 0.7% 
C.H. Robinson Worldwide, Inc.    10,502       949,696
CSX Corp.    10,912       329,542
Expeditors International of Washington, Inc.     5,882       686,488
JB Hunt Transport Services, Inc.     7,787     1,463,022
Landstar System, Inc.     6,283     1,192,576
Old Dominion Freight Line, Inc.     1,323       565,411
Saia, Inc.       417       177,725
Union Pacific Corp.     1,959       432,097
United Parcel Service, Inc., Class B     1,837       311,188
        6,107,745
Total Common Stocks
(cost $673,008,341)
      873,693,803
CONVERTIBLE PREFERRED STOCKS — 0.0% 
Software — 0.0% 
Databricks, Inc.
Series G(1)(2)
(cost $323,874)
    5,478       306,768
UNAFFILIATED INVESTMENT COMPANIES — 1.1% 
iShares Russell 1000 Growth ETF #
(cost $9,366,951)
   33,825     9,535,606
Total Long-Term Investment Securities
(cost $682,699,166)
      883,536,177
SHORT-TERM INVESTMENTS — 0.0% 
Unaffiliated Investment Companies — 0.0% 
State Street Institutional U.S. Government Money Market Fund, Premier Class
5.28%(3)
      164           163
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(3)(4)
  347,935       347,935
Total Short-Term Investments
(cost $348,099)
      348,098
TOTAL INVESTMENTS
(cost $683,047,265)
  99.6%   883,884,275
Other assets less liabilities   0.4   3,438,564
NET ASSETS   100.0%   $887,322,839
@ See Note 1
Non-income producing security
# The security or a portion thereof is out on loan.
(1) Securities classified as Level 3 (see Note 1).
(2) Denotes a restricted security that: (a) cannot be offered for public sale without first being registered, or being able to take advantage of an exemption from registration, under the Securities Act of 1933, as amended (the “1933 Act”); (b) is subject to a contractual restriction on public sales; or (c) is otherwise subject to a restriction on sales by operation of applicable law.  Restricted securities are valued pursuant to Note 1.  Certain restricted securities held by the Fund may not be sold except in exempt transactions or in a public offering registered under the 1933 Act. The Fund has no right to demand registration of these securities. The risk of investing in certain restricted securities is greater than the risk of investing in the securities of widely held, publicly traded companies. To the extent applicable, lack of a secondary market and resale restrictions may result in the inability of a Fund to sell a security at a fair price and may substantially delay the sale of the security. In addition, certain restricted securities may exhibit greater price volatility than securities for which secondary markets exist. As of August 31, 2023, the Fund held the following restricted securities:
Description   Acquisition
Date
  Shares or
Principal
Amount
  Acquisition
Cost
  Value   Value
Per Share
  % of
Net Assets
Convertible Preferred Stocks
Databricks, Inc.
Series G
  02/01/2021   5,478   $323,874   $306,768   $56.00   0.0%
(3) The rate shown is the 7-day yield as of August 31, 2023.
(4) At August 31, 2023, the Fund had loaned securities with a total value of $10,531,676. This was secured by collateral of $347,935, which was received in cash and subsequently invested in short-term investments currently valued at $347,935 as reported in the Portfolio of Investments. Additional collateral of $10,423,299 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
Government National Mtg. Assoc. 1.75% 11/20/2051 $3,573
United States Treasury Bills 0.00% 09/19/2023 to 01/25/2024 1,074,634
United States Treasury Notes/Bonds 0.13% to 6.25% 10/31/2023 to 05/15/2053 9,345,092
ETF—Exchange Traded Fund
 
183

VALIC Company I Systematic Growth Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $873,693,803   $—   $  $873,693,803
Convertible Preferred Stocks     306,768   306,768
Unaffiliated Investment Companies 9,535,606       9,535,606
Short-Term Investments 348,098       348,098
Total Investments at Value $883,577,507   $—   $306,768   $883,884,275
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Level 3 investments in securities were not considered a significant portion of the Fund's net assets.
See Notes to Portfolio of Investments
184  

VALIC Company I Systematic Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 99.4% 
Advertising — 0.9% 
Omnicom Group, Inc.      46,479 $  3,765,264
Aerospace/Defense — 2.4% 
General Dynamics Corp.      14,926   3,382,829
RTX Corp.      64,473   5,547,257
TransDigm Group, Inc.       1,393   1,259,063
      10,189,149
Agriculture — 2.1% 
Altria Group, Inc.     120,181   5,314,404
Philip Morris International, Inc.      34,884   3,350,957
      8,665,361
Apparel — 0.2% 
Capri Holdings, Ltd.      13,997     734,703
Auto Manufacturers — 2.1% 
Cummins, Inc.       1,735     399,119
Ford Motor Co.      72,482     879,207
General Motors Co.      53,167   1,781,626
PACCAR, Inc.      53,675   4,416,916
Rivian Automotive, Inc., Class A#      57,341   1,303,361
      8,780,229
Auto Parts & Equipment — 0.5% 
BorgWarner, Inc.      41,639   1,696,789
Phinia, Inc.       8,328     231,519
      1,928,308
Banks — 7.3% 
Bank of New York Mellon Corp.     110,474   4,956,969
Citigroup, Inc.      28,404   1,172,801
Cullen/Frost Bankers, Inc.      18,916   1,788,130
East West Bancorp, Inc.      59,654   3,301,252
First Citizens BancShares, Inc., Class A         695     945,478
JPMorgan Chase & Co.      86,418  12,645,546
M&T Bank Corp.      13,306   1,663,915
State Street Corp.      44,319   3,046,488
Webster Financial Corp.      29,991   1,271,918
      30,792,497
Beverages — 1.2% 
PepsiCo, Inc.      28,470   5,065,382
Biotechnology — 1.7% 
Amgen, Inc.      11,125   2,851,783
Exelixis, Inc.      21,478     480,892
Royalty Pharma PLC, Class A      63,645   1,897,894
United Therapeutics Corp.       8,583   1,925,682
      7,156,251
Building Materials — 0.1% 
Trane Technologies PLC       2,663     546,607
Chemicals — 1.7% 
Albemarle Corp.      11,818   2,348,355
Ecolab, Inc.       4,444     816,852
LyondellBasell Industries NV, Class A      12,793   1,263,564
Mosaic Co.      15,667     608,663
PPG Industries, Inc.      10,077   1,428,515
Westlake Corp.       6,669     873,506
      7,339,455
Commercial Services — 2.3% 
Global Payments, Inc.      22,243    2,817,965
Security Description   Shares or
Principal
Amount
Value
 
Commercial Services (continued) 
H&R Block, Inc.      13,815 $    552,324
United Rentals, Inc.      10,639   5,069,909
WEX, Inc.       6,499   1,274,974
      9,715,172
Computers — 1.5% 
Genpact, Ltd.      12,964     483,946
International Business Machines Corp.      15,620   2,293,485
Leidos Holdings, Inc.       5,344     521,093
NCR Corp.      51,595   1,587,062
Science Applications International Corp.      13,362   1,572,173
      6,457,759
Cosmetics/Personal Care — 2.3% 
Colgate-Palmolive Co.      15,760   1,157,887
Procter & Gamble Co.      55,565   8,575,902
      9,733,789
Distribution/Wholesale — 0.8% 
Core & Main, Inc., Class A      52,161   1,712,967
WESCO International, Inc.      10,421   1,686,639
      3,399,606
Diversified Financial Services — 4.0% 
Affiliated Managers Group, Inc.      15,457   2,071,393
Capital One Financial Corp.       9,639     986,937
CME Group, Inc.      14,147   2,867,314
Coinbase Global, Inc., Class A       6,457     513,977
Interactive Brokers Group, Inc., Class A      17,643   1,606,924
Intercontinental Exchange, Inc.       4,310     508,537
Nasdaq, Inc.      60,136   3,155,937
Raymond James Financial, Inc.       4,459     466,367
Synchrony Financial      41,998   1,355,695
Virtu Financial, Inc., Class A      64,578   1,210,192
Voya Financial, Inc.       6,857     477,796
Western Union Co.     122,542   1,513,394
      16,734,463
Electric — 1.7% 
NRG Energy, Inc.     116,478   4,373,749
Vistra Corp.      84,031   2,640,254
      7,014,003
Electrical Components & Equipment — 0.2% 
AMETEK, Inc.       5,880     937,919
Electronics — 2.4% 
Arrow Electronics, Inc.      24,188   3,227,405
Honeywell International, Inc.       5,537   1,040,624
Hubbell, Inc.       2,455     800,453
National Instruments Corp.       7,670     457,132
nVent Electric PLC      76,271   4,312,362
Trimble, Inc.       7,985     437,498
      10,275,474
Engineering & Construction — 0.4% 
TopBuild Corp.       6,360   1,844,909
Food — 2.6% 
Campbell Soup Co.      24,972   1,041,332
General Mills, Inc.      37,395   2,530,146
Kellogg Co.      51,520   3,143,750
Mondelez International, Inc., Class A      57,577   4,102,937
      10,818,165
 
185

VALIC Company I Systematic Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Gas — 0.9% 
National Fuel Gas Co.      69,253 $  3,721,656
Hand/Machine Tools — 0.4% 
Regal Rexnord Corp.      10,428   1,691,317
Healthcare-Products — 2.9% 
Cooper Cos., Inc.       4,957   1,834,041
Danaher Corp.      29,387   7,787,555
Globus Medical, Inc., Class A      16,163     874,418
Hologic, Inc.      25,773   1,926,274
      12,422,288
Healthcare-Services — 2.7% 
Centene Corp.      10,218     629,940
Elevance Health, Inc.      10,202   4,509,386
Ginkgo Bioworks Holdings, Inc.     327,732     766,893
Quest Diagnostics, Inc.       2,907     382,270
UnitedHealth Group, Inc.      10,357   4,935,939
      11,224,428
Household Products/Wares — 0.5% 
Kimberly-Clark Corp.      16,407   2,113,714
Insurance — 8.3% 
Aflac, Inc.      70,685   5,270,980
Arthur J. Gallagher & Co.      23,601   5,439,558
Berkshire Hathaway, Inc., Class B      51,248  18,459,530
Brown & Brown, Inc.      59,986   4,444,963
Primerica, Inc.       7,469   1,500,970
      35,116,001
Internet — 0.8% 
F5, Inc.       5,216     853,650
IAC, Inc.      36,963   2,045,163
Okta, Inc.       5,861     489,452
      3,388,265
Iron/Steel — 1.3% 
Nucor Corp.      13,285   2,286,349
Reliance Steel & Aluminum Co.       5,090   1,450,446
Steel Dynamics, Inc.      17,602   1,876,197
      5,612,992
Leisure Time — 0.4% 
Brunswick Corp.      10,932     864,940
Polaris, Inc.       5,427     608,312
      1,473,252
Machinery-Construction & Mining — 0.3% 
Caterpillar, Inc.       5,099   1,433,482
Machinery-Diversified — 1.8% 
Dover Corp.      25,459   3,775,570
Ingersoll Rand, Inc.      33,599   2,338,826
Middleby Corp.      11,094   1,615,176
      7,729,572
Media — 2.6% 
Comcast Corp., Class A     104,965   4,908,163
Fox Corp., Class A      72,751   2,405,148
Walt Disney Co.      43,569   3,645,854
      10,959,165
Metal Fabricate/Hardware — 0.2% 
Timken Co.      13,703   1,047,183
Security Description   Shares or
Principal
Amount
Value
 
Miscellaneous Manufacturing — 2.5% 
3M Co.      51,416 $  5,484,545
Carlisle Cos., Inc.      11,069   2,911,368
Eaton Corp. PLC      10,119   2,331,114
      10,727,027
Office/Business Equipment — 0.2% 
Zebra Technologies Corp., Class A       3,481     957,310
Oil & Gas — 6.9% 
Chevron Corp.      48,155   7,757,770
ConocoPhillips      59,053   7,029,079
Devon Energy Corp.      11,963     611,190
Exxon Mobil Corp.      74,531   8,287,102
HF Sinclair Corp.      20,182   1,111,826
Marathon Petroleum Corp.      15,521   2,215,933
Valero Energy Corp.      15,319   1,989,938
      29,002,838
Oil & Gas Services — 0.4% 
Schlumberger NV      31,135   1,835,720
Packaging & Containers — 1.4% 
Sonoco Products Co.      35,003   2,010,923
WestRock Co.     115,013   3,762,075
      5,772,998
Pharmaceuticals — 8.0% 
Bristol-Myers Squibb Co.     105,085   6,478,490
Cardinal Health, Inc.       5,245     458,046
Henry Schein, Inc.      29,836   2,283,647
Jazz Pharmaceuticals PLC      23,675   3,394,048
Johnson & Johnson      66,622  10,771,445
McKesson Corp.       9,750   4,020,120
Merck & Co., Inc.       7,917     862,795
Pfizer, Inc.     138,718   4,907,843
Premier, Inc., Class A      28,288     609,041
      33,785,475
Pipelines — 0.5% 
ONEOK, Inc.      33,589   2,190,003
Real Estate — 0.2% 
CBRE Group, Inc., Class A      11,953   1,016,603
REITS — 4.1% 
AGNC Investment Corp.#      59,412     588,773
Extra Space Storage, Inc.       3,982     512,404
Healthcare Realty Trust, Inc.     178,263   3,123,168
Highwoods Properties, Inc.      45,242   1,078,117
Kimco Realty Corp.      83,777   1,586,736
National Storage Affiliates Trust      42,827   1,438,987
Omega Healthcare Investors, Inc.      14,253     453,530
Realty Income Corp.      63,821   3,576,529
SBA Communications Corp.      19,995   4,489,477
WP Carey, Inc.       9,271     603,079
      17,450,800
Retail — 4.8% 
Advance Auto Parts, Inc.       9,576     659,020
AutoNation, Inc.       9,680   1,520,631
GameStop Corp., Class A      16,327     302,866
Genuine Parts Co.       3,901     599,701
Lithia Motors, Inc.       1,840     566,757
Macy's, Inc.      29,613     362,167
McDonald's Corp.      23,108    6,496,814
 
186  

VALIC Company I Systematic Value Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Retail (continued) 
Penske Automotive Group, Inc.#       3,664 $    601,995
Walmart, Inc.      56,691   9,218,524
      20,328,475
Semiconductors — 2.5% 
Analog Devices, Inc.      32,256   5,863,495
Microchip Technology, Inc.      50,783   4,156,081
Texas Instruments, Inc.       2,331     391,748
      10,411,324
Software — 3.9% 
Activision Blizzard, Inc.      24,707   2,272,797
ANSYS, Inc.       4,211   1,342,762
BILL Holdings, Inc.       7,049     812,750
Concentrix Corp.       8,354     666,900
Oracle Corp.      42,154   5,074,920
Salesforce, Inc.      17,236   3,817,084
Tyler Technologies, Inc.       1,321     526,326
Unity Software, Inc.      10,569     391,793
Zoom Video Communications, Inc., Class A      19,950   1,417,048
      16,322,380
Telecommunications — 2.5% 
Cisco Systems, Inc.     166,684   9,559,327
Frontier Communications Parent, Inc.      70,481   1,129,106
      10,688,433
Total Long-Term Investment Securities
(cost $396,912,229)
    420,317,166
SHORT-TERM INVESTMENTS — 0.0% 
Unaffiliated Investment Companies — 0.0% 
State Street Navigator Securities Lending Government Money Market Portfolio
5.34%(1)(2)
(cost $133,947)
    133,947     133,947
Security Description   Shares or
Principal
Amount
  Value
REPURCHASE AGREEMENTS — 0.5% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $1,905,228 and collateralized by $1,905,500 of United States Treasury Notes, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $1,943,293
(cost $1,905,143)
  $1,905,143   $  1,905,143
TOTAL INVESTMENTS
(cost $398,951,319)
  99.9%   422,356,256
Other assets less liabilities   0.1   576,853
NET ASSETS   100.0%   $422,933,109
Non-income producing security
# The security or a portion thereof is out on loan.
(1) The rate shown is the 7-day yield as of August 31, 2023.
(2) At August 31, 2023, the Fund had loaned securities with a total value of $2,034,860. This was secured by collateral of $133,947, which was received in cash and subsequently invested in short-term investments currently valued at $133,947 as reported in the Portfolio of Investments. Additional collateral of $1,965,708 was received in the form of fixed income pooled securities, which the Fund cannot sell or repledge and accordingly, are not reflected in the Fund's assets and liabilities. The components of the fixed income pooled securities referenced above are as follows:
Securities Coupon Range Maturity Date Range Value as of
August 31, 2023
United States Treasury Bills 0.00% 09/19/2023 to 01/25/2024 $139,038
United States Treasury Notes/Bonds 0.13% to 6.62% 10/15/2023 to 05/15/2053 1,826,670
 
The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $420,317,166   $  $—   $420,317,166
Short-Term Investments 133,947       133,947
Repurchase Agreements   1,905,143     1,905,143
Total Investments at Value $420,451,113   $1,905,143   $—   $422,356,256
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
See Notes to Portfolio of Investments
187

VALIC Company I U.S. Socially Responsible Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS — 95.3% 
Agriculture — 0.4% 
Archer-Daniels-Midland Co.       39,734 $  3,150,906
Airlines — 0.0% 
Delta Air Lines, Inc.        7,792     334,121
Auto Manufacturers — 0.8% 
General Motors Co.      179,510   6,015,380
Auto Parts & Equipment — 0.2% 
Aptiv PLC       11,513   1,167,994
Banks — 1.8% 
Bank of New York Mellon Corp.       19,611     879,945
M&T Bank Corp.        5,698     712,535
Morgan Stanley       61,485   5,235,448
PNC Financial Services Group, Inc.       20,578   2,484,382
Truist Financial Corp.       49,386   1,508,742
US Bancorp       71,239   2,602,361
      13,423,413
Beverages — 1.8% 
Keurig Dr Pepper, Inc.      153,239   5,156,492
Monster Beverage Corp.      144,106   8,273,126
      13,429,618
Biotechnology — 2.0% 
Amgen, Inc.       19,789   5,072,712
Biogen, Inc.        3,910   1,045,378
Illumina, Inc.          441      72,862
Incyte Corp.          350      22,586
Moderna, Inc.        9,557   1,080,610
Regeneron Pharmaceuticals, Inc.        4,021   3,323,316
Vertex Pharmaceuticals, Inc.       12,182   4,243,478
      14,860,942
Chemicals — 2.1% 
Air Products & Chemicals, Inc.        7,884   2,329,643
Albemarle Corp.        1,415     281,175
Ecolab, Inc.        8,927   1,640,872
Linde PLC       22,315   8,636,797
PPG Industries, Inc.        1,137     161,181
Sherwin-Williams Co.        7,383   2,006,109
      15,055,777
Commercial Services — 4.2% 
Automatic Data Processing, Inc.       36,747   9,356,154
Cintas Corp.        5,763   2,905,532
CoStar Group, Inc.       22,580   1,851,334
Gartner, Inc.        4,590   1,605,031
Moody's Corp.        8,327   2,804,534
PayPal Holdings, Inc.       34,410   2,150,969
S&P Global, Inc.       22,541   8,810,375
Verisk Analytics, Inc.        6,120   1,482,386
      30,966,315
Computers — 4.6% 
Cognizant Technology Solutions Corp., Class A       42,871   3,069,992
EPAM Systems, Inc.        2,672     692,021
Fortinet, Inc.       37,679   2,268,653
Hewlett Packard Enterprise Co.      375,256   6,375,600
HP, Inc.      272,538   8,097,104
NetApp, Inc.       88,719   6,804,747
Seagate Technology Holdings PLC       45,033   3,187,886
Western Digital Corp.       70,844   3,187,980
      33,683,983
Security Description   Shares or
Principal
Amount
Value
 
Cosmetics/Personal Care — 0.4% 
Estee Lauder Cos., Inc., Class A       17,113 $  2,747,150
Distribution/Wholesale — 0.3% 
Copart, Inc.       35,058   1,571,650
Pool Corp.          839     306,739
      1,878,389
Diversified Financial Services — 8.3% 
American Express Co.       39,313   6,211,061
Ameriprise Financial, Inc.        2,697     910,453
BlackRock, Inc.        8,382   5,871,926
Capital One Financial Corp.        7,409     758,608
Charles Schwab Corp.       43,986   2,601,772
CME Group, Inc.       20,259   4,106,094
Intercontinental Exchange, Inc.       32,640   3,851,194
Mastercard, Inc., Class A       42,467  17,523,583
Nasdaq, Inc.        3,608     189,348
Raymond James Financial, Inc.        2,811     294,002
T. Rowe Price Group, Inc.        1,704     191,240
Visa, Inc., Class A       73,299  18,008,098
      60,517,379
Electric — 1.9% 
Consolidated Edison, Inc.       33,854   3,011,652
Eversource Energy       34,054   2,173,326
Exelon Corp.       64,147   2,573,578
Sempra       65,952   4,631,149
WEC Energy Group, Inc.       15,152   1,274,586
      13,664,291
Electrical Components & Equipment — 0.0% 
Emerson Electric Co.        2,560     251,520
Electronics — 0.8% 
Amphenol Corp., Class A       34,550   3,053,529
Keysight Technologies, Inc.        5,837     778,072
TE Connectivity, Ltd.       14,385   1,904,430
      5,736,031
Energy-Alternate Sources — 0.1% 
Enphase Energy, Inc.        3,233     409,071
First Solar, Inc.          549     103,827
      512,898
Engineering & Construction — 0.0% 
Jacobs Solutions, Inc.        1,686     227,307
Environmental Control — 0.8% 
Republic Services, Inc.       10,873   1,567,125
Waste Management, Inc.       25,206   3,951,797
      5,518,922
Food — 1.9% 
Campbell Soup Co.        6,184     257,873
General Mills, Inc.       63,733   4,312,175
Hormel Foods Corp.       45,947   1,773,095
J.M. Smucker Co.        2,921     423,399
Kellogg Co.       20,571   1,255,242
Kraft Heinz Co.      135,425   4,481,213
McCormick & Co., Inc.       13,549   1,112,102
      13,615,099
Healthcare-Products — 3.9% 
Align Technology, Inc.        1,187     439,356
Baxter International, Inc.        4,406     178,884
Boston Scientific Corp.       72,936    3,934,168
 
188  

VALIC Company I U.S. Socially Responsible Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Healthcare-Products (continued) 
Danaher Corp.       25,241 $  6,688,865
Edwards Lifesciences Corp.       32,255   2,466,540
GE HealthCare Technologies, Inc.        6,972     491,177
IDEXX Laboratories, Inc.        2,596   1,327,620
ResMed, Inc.        4,404     702,834
Stryker Corp.       14,316   4,059,302
Thermo Fisher Scientific, Inc.       14,276   7,953,160
Zimmer Biomet Holdings, Inc.        2,432     289,700
      28,531,606
Healthcare-Services — 2.0% 
Catalent, Inc.        2,358     117,829
Centene Corp.       30,953   1,908,252
Elevance Health, Inc.       12,206   5,395,174
HCA Healthcare, Inc.        8,650   2,398,645
Humana, Inc.        7,565   3,492,231
Molina Healthcare, Inc.        3,165     981,530
      14,293,661
Home Builders — 0.2% 
D.R. Horton, Inc.        8,519   1,013,931
Lennar Corp., Class A        2,534     301,774
      1,315,705
Household Products/Wares — 1.1% 
Avery Dennison Corp.        1,247     234,910
Church & Dwight Co., Inc.       23,877   2,310,577
Kimberly-Clark Corp.       43,391   5,590,063
      8,135,550
Insurance — 3.6% 
Aflac, Inc.        4,834     360,471
Allstate Corp.        5,843     629,934
Aon PLC, Class A        8,666   2,889,158
Arthur J. Gallagher & Co.       12,119   2,793,187
Chubb, Ltd.       34,983   7,027,035
Marsh & McLennan Cos., Inc.       33,283   6,489,852
Progressive Corp.       29,578   3,947,776
Travelers Cos., Inc.       14,385   2,319,294
      26,456,707
Internet — 3.3% 
Booking Holdings, Inc.        2,513   7,802,940
eBay, Inc.      138,605   6,206,732
Etsy, Inc.       17,178   1,263,785
Expedia Group, Inc.       10,602   1,149,151
Netflix, Inc.       11,080   4,805,174
Palo Alto Networks, Inc.        9,565   2,327,165
VeriSign, Inc.        4,069     845,498
      24,400,445
Iron/Steel — 0.1% 
Nucor Corp.        6,166   1,061,169
Lodging — 0.5% 
Hilton Worldwide Holdings, Inc.       23,485   3,491,045
Machinery-Construction & Mining — 0.7% 
Caterpillar, Inc.       19,631   5,518,863
Machinery-Diversified — 0.6% 
Deere & Co.       10,003   4,110,633
Media — 2.6% 
Charter Communications, Inc., Class A        3,407    1,492,675
Security Description   Shares or
Principal
Amount
Value
 
Media (continued) 
Comcast Corp., Class A      200,840 $  9,391,278
Walt Disney Co.       80,655   6,749,210
Warner Bros. Discovery, Inc.       81,320   1,068,545
      18,701,708
Mining — 0.2% 
Newmont Corp.       30,930   1,219,261
Miscellaneous Manufacturing — 0.8% 
Eaton Corp. PLC        7,787   1,793,891
Illinois Tool Works, Inc.       16,990   4,202,477
      5,996,368
Oil & Gas — 4.2% 
Chevron Corp.       90,821  14,631,263
ConocoPhillips       57,137   6,801,017
EOG Resources, Inc.       30,052   3,865,288
Hess Corp.       11,387   1,759,291
Occidental Petroleum Corp.       25,980   1,631,284
Pioneer Natural Resources Co.        4,335   1,031,427
Valero Energy Corp.        7,985   1,037,252
      30,756,822
Oil & Gas Services — 0.3% 
Schlumberger NV       37,591   2,216,365
Packaging & Containers — 0.1% 
Ball Corp.       15,312     833,738
Pharmaceuticals — 3.1% 
Dexcom, Inc.       10,591   1,069,479
Eli Lilly & Co.       30,096  16,679,203
Zoetis, Inc.       24,078   4,587,100
      22,335,782
Real Estate — 0.3% 
CBRE Group, Inc., Class A       29,324   2,494,006
REITS — 1.7% 
American Tower Corp.       14,097   2,556,068
Crown Castle, Inc.        4,252     427,326
Digital Realty Trust, Inc.          813     107,088
Equinix, Inc.        3,526   2,755,146
Prologis, Inc.       39,632   4,922,294
Public Storage        4,247   1,173,786
Welltower, Inc.        4,837     400,891
      12,342,599
Retail — 6.1% 
AutoZone, Inc.          610   1,544,111
Darden Restaurants, Inc.        2,637     410,080
Dollar General Corp.       19,370   2,682,745
Dollar Tree, Inc.       15,809   1,934,389
Domino's Pizza, Inc.          839     325,029
Genuine Parts Co.       10,543   1,620,775
Home Depot, Inc.       37,609  12,422,253
Lowe's Cos., Inc.       23,124   5,329,620
O'Reilly Automotive, Inc.        3,453   3,244,784
Ross Stores, Inc.        5,341     650,587
Target Corp.       33,493   4,238,539
TJX Cos., Inc.       62,963   5,822,818
Ulta Beauty, Inc.        1,111     461,098
Walgreens Boots Alliance, Inc.       72,090   1,824,598
Yum! Brands, Inc.       14,518   1,878,339
      44,389,765
 
189

VALIC Company I U.S. Socially Responsible Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

Security Description   Shares or
Principal
Amount
Value
COMMON STOCKS (continued) 
Semiconductors — 9.3% 
Advanced Micro Devices, Inc.       38,921 $  4,114,728
Analog Devices, Inc.       16,502   2,999,734
Applied Materials, Inc.       34,104   5,209,727
Broadcom, Inc.       11,173  10,311,450
KLA Corp.        4,032   2,023,540
Lam Research Corp.        4,303   3,022,427
Microchip Technology, Inc.       10,396     850,809
Micron Technology, Inc.       30,588   2,139,325
Monolithic Power Systems, Inc.          202     105,284
NVIDIA Corp.       50,433  24,891,207
NXP Semiconductors NV        5,241   1,078,178
ON Semiconductor Corp.        3,647     359,084
QUALCOMM, Inc.       34,739   3,978,658
Texas Instruments, Inc.       41,418   6,960,709
      68,044,860
Software — 14.7% 
Adobe, Inc.       15,184   8,493,019
Akamai Technologies, Inc.        5,141     540,268
ANSYS, Inc.        3,421   1,090,854
Autodesk, Inc.       12,069   2,678,594
Cadence Design Systems, Inc.       14,541   3,496,238
Electronic Arts, Inc.       16,093   1,930,838
Fidelity National Information Services, Inc.       15,811     883,202
Fiserv, Inc.       19,666   2,387,256
Intuit, Inc.       11,237   6,088,319
Microsoft Corp.      164,320  53,857,523
MSCI, Inc.        1,052     571,888
Paychex, Inc.       32,708   3,997,899
Paycom Software, Inc.        2,743     808,746
PTC, Inc.        3,118     458,876
Roper Technologies, Inc.        5,443   2,716,384
Salesforce, Inc.       32,997   7,307,516
ServiceNow, Inc.        9,391   5,529,702
Synopsys, Inc.        8,283   3,800,986
Take-Two Interactive Software, Inc.        5,219     742,142
Tyler Technologies, Inc.        1,068     425,523
      107,805,773
Security Description   Shares or
Principal
Amount
  Value
 
Telecommunications — 2.8% 
Arista Networks, Inc.        7,492   $  1,462,663
AT&T, Inc.      209,902     3,104,451
Cisco Systems, Inc.      189,632    10,875,395
Corning, Inc.        6,565       215,463
Motorola Solutions, Inc.        2,033       576,498
Verizon Communications, Inc.      114,725     4,013,081
        20,247,551
Transportation — 0.7% 
CSX Corp.       78,356     2,366,351
Expeditors International of Washington, Inc.        5,539       646,457
Old Dominion Freight Line, Inc.        4,276     1,827,434
        4,840,242
Total Long-Term Investment Securities
(cost $540,114,362)
      696,297,659
SHORT-TERM INVESTMENTS — 0.3% 
U.S. Government — 0.3% 
United States Treasury Bills        
5.30%, 11/24/2023(1)
(cost $2,666,594)
  $ 2,700,000     2,666,530
REPURCHASE AGREEMENTS — 4.3% 
Agreement with Fixed Income Clearing Corp., bearing interest at 1.60% dated 08/31/2023, to be repurchased 09/01/2023 in the amount of $31,199,741 and collateralized by $31,203,500 of United States Treasury Notes, bearing interest at 4.63% due 03/15/2026 and having an approximate value of $31,822,376
(cost $31,198,355)
  31,198,355    31,198,355
TOTAL INVESTMENTS
(cost $573,979,311)
  99.9%   730,162,544
Other assets less liabilities   0.1   516,644
NET ASSETS   100.0%   $730,679,188
Non-income producing security
(1) The security or a portion thereof was pledged as collateral to cover margin requirements for open futures contracts.
 
Futures Contracts

Number
of
Contracts
Type Description Expiration
Month
Notional
Basis*
Notional
Value*
Unrealized
Appreciation
152 Long S&P 500 E-Mini Index September 2023 $33,352,512 $34,321,600 $969,088
* Notional basis refers to the contractual amount agreed upon at inception of the open contract; notional value represents the current value of the open contract.
190  

VALIC Company I U.S. Socially Responsible Fund
PORTFOLIO OF INVESTMENTS — August 31, 2023— (unaudited) — (continued)

The following is a summary of the inputs used to value the Fund’s net assets as of August 31, 2023 (see Note 1):
  Level 1 - Unadjusted
Quoted Prices
  Level 2 - Other
Observable Inputs
  Level 3 - Significant
Unobservable Inputs
  Total
ASSETS:              
Investments at Value:*              
Common Stocks $696,297,659   $  $—   $696,297,659
Short-Term Investments   2,666,530     2,666,530
Repurchase Agreements   31,198,355     31,198,355
Total Investments at Value $696,297,659   $33,864,885   $—   $730,162,544
Other Financial Instruments:              
Futures Contracts $969,088   $  $—   $969,088
* For a detailed presentation of investments, please refer to the Portfolio of Investments.
Amounts represent unrealized appreciation/depreciation as of the end of the reporting period.
See Notes to Portfolio of Investments
191

NOTES TO PORTFOLIO OF INVESTMENTS — August 31, 2023 — (unaudited)

Note 1.    Security Valuation
In accordance with the authoritative guidance on fair value measurements and disclosures under U.S. generally accepted accounting principles (“GAAP”), the Funds disclose the fair value of their investments in a hierarchy that prioritizes the inputs to valuation techniques used to measure the fair value. In accordance with GAAP, fair value is defined as the price that the Funds would receive upon selling an asset or transferring a liability in a timely transaction to an independent third party in the principal or most advantageous market. GAAP establishes a three-tier hierarchy to provide more transparency around the inputs used to measure fair value and to establish classification of fair value measurements for disclosure purposes. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs are inputs that reflect the assumptions market participants would use in pricing the asset or liability developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs are inputs that reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability developed based on the best information available in the circumstances. The three-tiers are as follows:
Level 1—Unadjusted quoted prices in active markets for identical securities
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, referenced indices, quoted prices in inactive markets, adjusted quoted prices in active markets, adjusted quoted prices on foreign equity securities that were adjusted in accordance with pricing procedures approved by the Board of Directors (the “Board”) , etc.)
Level 3—Significant unobservable inputs (includes inputs that reflect the Funds’ own assumptions about the assumptions market participants would use in pricing the security, developed based on the best information available under the circumstances)
Changes in valuation techniques may result in transfers in or out of an investment’s assigned Level within the hierarchy. The methodology used for valuing investments is not necessarily an indication of the risk associated with investing in those investments and the determination of the significance of a particular input to the fair value measurement in its entirety requires judgment and consideration of factors specific to each security.
The availability of observable inputs can vary from security to security and is affected by a wide variety of factors, including, for example, the type of security, whether the security is recently issued and not yet established in the marketplace, the liquidity of markets, and other characteristics particular to the security. To the extent that valuation is based on models or inputs that are less observable or unobservable in the market, the determination of fair value requires more judgment. Accordingly, the degree of judgment exercised in determining fair value is greatest for instruments categorized in Level 3.
The summary of each Fund’s assets and liabilities classified in the fair value hierarchy as of August 31, 2023, is reported on a schedule at the end of each Fund’s Portfolio of Investments.
Stocks are generally valued based upon closing sales prices reported on recognized securities exchanges on which the securities are principally traded and are generally categorized as Level 1. Stocks listed on the NASDAQ are valued using the NASDAQ Official Closing Price (“NOCP”). Generally, the NOCP will be the last sale price unless the reported trade for the stock is outside the range of the bid/ask price. In such cases, the NOCP will be normalized to the nearer of the bid or ask price. For listed securities having no sales reported and for unlisted securities, such securities will be valued based upon the last reported bid price.
As of the close of regular trading on the New York Stock Exchange (“NYSE”), securities traded primarily on security exchanges outside the United States are valued at the last sale price on such exchanges on the day of valuation, or if there is no sale on the day of valuation, at the last-reported bid price. If a security’s price is available from more than one exchange, the Funds use the exchange that is the primary market for the security. Such securities are generally categorized as Level 1. However, depending on the foreign market, closing prices may be up to 15 hours old when they are used to price a Fund’s shares, and a Fund may determine that certain closing prices do not reflect the fair value of the security. This determination will be based on the review of a number of factors, including developments in foreign markets, the performance of U.S. securities markets, and the performance of instruments trading in U.S. markets that represent foreign securities and baskets of foreign securities. If a Fund determines that closing prices do not reflect the fair value of the securities, the Fund will adjust the previous closing prices in accordance with pricing procedures approved by the Board to reflect what it believes to be the fair value of the securities as of the close of regular trading on the NYSE. The Funds may also fair value securities in other situations, for example, when a particular foreign market is closed but a Fund is open. For foreign equity securities and foreign equity futures contracts, the Funds use an outside pricing service to provide it with closing market prices and information used for adjusting those prices, and when so adjusted, such securities and futures are generally categorized as Level 2.
Bonds, debentures, and other debt securities are valued at evaluated bid prices obtained for the day of valuation from a Board-approved pricing service, and are generally categorized as Level 2. The pricing service may use valuation models or matrix pricing which considers information with respect to comparable bond and note transactions, quotations from bond dealers, or by reference to other securities that are considered comparable in such characteristics as rating, interest rate, maturity date, option adjusted spread models, prepayments projections, interest rate spreads, and yield curves to determine current value. If a price is unavailable from a Board-approved pricing service, the securities may be priced at the mean of two independent quotes obtained from brokers.
Senior floating rate loans (“Loans”) are valued at the average of available bids in the market for such Loans, as provided by a Board-approved loan pricing service, and are generally categorized as Level 2.
Investments in registered investment companies that do not trade on an exchange are valued at the end of day net asset value per share. Investments in registered investment companies that trade on an exchange are valued at the last sales price or official closing price as of the close of the customary trading session on the exchange where the security is principally traded. Investments in registered investment companies are generally categorized as Level 1.
192  

NOTES TO PORTFOLIO OF INVESTMENTS — August 31, 2023 — (unaudited) — (continued)

Futures contracts traded on national securities exchanges are valued at the quoted daily settlement price established by the exchange on which they trade reported by a Board-approved pricing service, and are generally categorized as Level 1. Swap contracts traded on national securities exchanges are valued at the closing price of the exchange on which they are traded or if a closing price of the exchange is not available, the swap will be valued using a mid valuation provided by a Board-approved pricing service, and are generally categorized as Level 2. Swap contracts traded over the counter (“OTC”) are valued at a mid valuation provided by a Board-approved pricing service, and are generally categorized as Level 2. Option contracts traded on national securities exchanges are valued at the mean of the last bid and ask price reported by a Board-approved pricing service as of the close of the exchange on which they are traded, and are generally categorized as Level 1. Option contracts traded in the OTC market are valued at the mid valuation provided by a Board-approved pricing service, and are generally categorized as Level 2. Forward foreign currency contracts (“forward contracts”) are valued at the 4:00 p.m. Eastern Time forward rate and are generally categorized as Level 2.
Other securities are valued on the basis of last sale or bid price (if a last sale price is not available) which is, in the opinion of the Adviser, the broadest and most representative market, that may be either a securities exchange or OTC market, and are generally categorized as Level 1 or Level 2.
The Board is responsible for the share valuation process and has adopted policies and procedures (the “PRC Procedures”) for valuing the securities and other assets held by the Funds, including procedures for the fair valuation of securities and other assets for which market quotations are not readily available or are unreliable. The PRC Procedures provide for the establishment of a pricing review committee, which is responsible for, among other things, making certain determinations in connection with the Series’ fair valuation procedures. Securities for which market quotations are not readily available or the values of which may be significantly impacted by the occurrence of developments or significant events are generally categorized as Level 3. There is no single standard for making fair value determinations, which may result in prices that vary from those of other funds.
Note 2.    Derivative Instruments 
Forward Foreign Currency Contracts: A forward contract is an agreement between two parties to buy or sell currency at a set price on a future date. The market value of the contract will fluctuate with changes in currency exchange rates. The contract is marked-to-market daily using the forward rate and the cumulative change in market value is recorded by a Fund as unrealized appreciation or depreciation. On the settlement date, a Fund records either realized gains or losses equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed.
Risks to a Fund of entering into forward contracts include counterparty risk, market risk and illiquidity risk. Counterparty risk arises upon entering into these contracts from the potential inability of counterparties to meet the terms of their contracts. If the counterparty defaults, a Fund’s loss will generally consist of the net amount of contractual payments that the Fund has not yet received though the Fund’s maximum exposure due to counterparty risk could extend to the notional amount of the contract. Market risk is the risk that the value of the forward contract will depreciate due to unfavorable changes in the exchange rates. These contracts may involve market risk in excess of the unrealized appreciation or depreciation reported on the Portfolio of Investments. Illiquidity risk arises because the secondary market for forwards may have less liquidity relative to markets for other securities. Currency transactions are also subject to risks different from those of other portfolio transactions. Because currency control is of great importance to the issuing governments and influences economic planning and policy, purchases and sales of currency and related instruments can be adversely affected by government exchange controls, limitations or restrictions on repatriation of currency, and manipulations or exchange restrictions imposed by governments.
Forward foreign currency contracts outstanding at the end of the period, if any, are reported on a schedule at the end of each Fund’s Portfolio of Investments.
Futures: A futures contract is an agreement between two parties to buy and sell a financial instrument at a set price on a future date. Upon entering into a futures transaction, a Fund will be required to segregate an initial margin payment of cash or other liquid securities with the futures commission merchant (the “broker”). Subsequent payments are made or received by a Fund as a result of changes in the value of the contract and/or changes in the value of the initial margin requirement. When a contract is closed, a Fund records a realized gain or loss equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed.
The primary risk to a Fund of entering into futures contracts is market risk. Market risk is the risk that there will be an unfavorable change in the interest rate, value or currency rate of the underlying security or securities. Futures contracts involve, to varying degrees, risk of loss in excess of the variation margin. There may also be trading restrictions or limitations imposed by an exchange, and government regulations may restrict trading in futures contracts. While a Fund will generally only purchase exchange-traded futures, due to market conditions, there may not always be a liquid secondary market for a futures contract and, as a result, the Fund may be unable to close out its futures contracts at a time which is advantageous. In addition, if a Fund has insufficient cash to meet margin requirements, the Fund may need to sell other investments, including at disadvantageous times. There is generally minimal counterparty risk to a Fund since the futures contracts are generally exchange-traded.
Futures contracts outstanding at the end of the period, if any, are reported on a schedule at the end of each Fund’s Portfolio of Investments.
Options: An option is a contract conveying a right to buy or sell a financial instrument at a specified price during a stipulated period. When a Fund writes a call or a put option, it receives a premium which is equal to the current market value of the option written. If a Fund purchases a call or a put option, it pays a premium which reflects the current market value of the option. The option position is marked to market daily and its value fluctuates based upon the value of the underlying financial instrument, time to expiration, cost of borrowing funds, and volatility of the value of the underlying financial instrument. If an option which a Fund has written either expires on its stipulated expiration date, or if the Fund enters into a closing purchase transaction, the Fund realizes a gain (or loss if the cost of a closing purchase transaction exceeds the premium received when the option was written) without regard to any unrealized gain or loss on the underlying security, and the liability related to such options is extinguished. If a call option which a Fund has written is exercised, the Fund realizes a gain or loss from the sale of the underlying security and the proceeds from such sale are increased by the premium originally received. If a put option which a Fund has written is exercised, the amount of the premium originally received reduces the cost of the security which the Fund purchased upon exercise of the option. Options may be traded on a national securities exchange or in the OTC market.
193

NOTES TO PORTFOLIO OF INVESTMENTS — August 31, 2023 — (unaudited) — (continued)

Risks to a Fund of entering into option contracts include counterparty risk, market risk and, with respect to OTC options, illiquidity risk. Counterparty risk arises from the potential inability of counterparties to meet the terms of their contracts. If the counterparty defaults, a Fund’s loss will consist of the net amount of contractual payments that the Fund has not yet received. Market risk is the risk that there will be an unfavorable change in the value of the underlying securities. There is also the risk a Fund may not be able to enter into a closing transaction because of an illiquid market. In addition, unlisted options are not traded on an exchange and may not be as actively traded as listed options, making the valuation of such securities more difficult. An unlisted option also entails a greater risk that the party on the other side of the option transaction may default, which would make it impossible to close out an unlisted option position in some cases, and profits related to the transaction lost thereby.
Option contracts outstanding at the end of the period, if any, are reported on a schedule at the end of each Fund’s Portfolio of Investments.
Swap Contracts: Certain Funds may enter into credit default, interest rate, equity and/or total return swap contracts. Swap contracts are privately negotiated in the OTC market and may be entered into as a bilateral contract or a centrally cleared contract (“centrally cleared swaps”). In a centrally cleared swap, immediately following execution of the swap contract, the swap contract is novated to a central counterparty (the “CCP”) and a Fund faces the CCP through a broker. Upon entering into a centrally cleared swap, a Fund is required to deposit initial margin with the broker in the form of cash or securities in an amount that varies depending on the size and risk profile of the particular swap. Securities deposited as initial margin are designated on the Portfolio of Investments. Unlike a bilateral swap contract, for centrally cleared swaps, a Fund has no credit exposure to the counterparty as the CCP stands between the Funds and the counterparty. Swaps are marked-to-market daily and the changes in value are recorded as an unrealized gain (loss). The daily change in valuation of swap contracts, if any, is recorded as unrealized appreciation (depreciation) on swap contracts. When the swap is terminated, a Fund will record a realized gain or loss equal to the difference between the proceeds from (or cost of) the closing transaction and the Fund’s basis in the contract, if any. Generally, the basis of the contracts is the premium received or paid. Upfront payments and receipts on swap contracts are amortized on a daily basis. Net periodic payments made or received by a Fund are included as part of realized gain (loss).
Credit Default Swap Agreements: Credit default swaps are generally contracts in which one party makes periodic fixed-rate payments or a one time premium payment (referred to as the buyer of protection) to another party (the seller of protection) in exchange for the right to receive a specified payment in the event of a default or other credit event for the referenced entity, obligation or index. As a seller of protection on credit default swaps, a Fund will generally receive from the buyer of protection a fixed rate of income throughout the term of the swap provided that there is no credit event. As the seller, a Fund would effectively add leverage to its portfolio because, in addition to its total net assets, the Fund would be subject to investment exposure on the notional amount of the swap. If a Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation, other deliverable obligations or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index. As a buyer of protection on credit default swaps, a Fund will make periodic payments, similar to an insurance premium and the seller of protection agrees to compensate the Fund for future potential losses as a result of a credit event on the reference bond or other asset. A Fund effectively transfers the credit event risk of the reference bond or asset from it to the seller of protection. If a Fund is a buyer of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation, other deliverable obligations or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index. Recovery values are assumed by market makers considering either industry standard recovery rates or entity specific factors and considerations until a credit event occurs. If a credit event has occurred, the recovery value is determined by a facilitated auction whereby a minimum number of allowable broker bids, together with a specified valuation method, are used to calculate the settlement value.
Credit default swaps on credit indices are generally contracts in which the buyer of protection makes periodic fixed-rate payments or a one time premium payment to the seller of protection in exchange for the right to receive a specified payment in the event of a write-down, principal shortfall, interest shortfall or default of all or part of the referenced entities comprising the credit index. A credit index is a list of a basket of credit instruments or exposures designed to be representative of some part of the credit market as a whole. These indices are made up of reference credits that are judged by a poll of dealers to be the most liquid entities in the credit default swap market based on the sector of the index. Components of the indices may include, but are not limited to, investment grade securities, high yield securities, asset backed securities, emerging markets, and/or various credit ratings within each sector. Credit indices are traded using credit default swaps with standardized terms including a fixed spread and standard maturity dates. An index credit default swap references all the names in the index, and if there is a default, the credit event is settled based on that name’s weight in the index. The composition of the indices changes periodically, usually every six months, and for most indices, each name has an equal weight in the index. A Fund may use credit default swaps on credit indices to hedge a portfolio of credit default swaps or bonds which is less expensive than it would be to enter into many credit default swaps to achieve a similar effect. Credit-default swaps on indices are used for protecting investors owning bonds against default, and also to speculate on changes in credit quality.
Implied credit spreads, represented in absolute terms, utilized in determining the market value of credit default swaps on corporate issues or sovereign issues of an emerging market country as of period end are reported on a schedule at the end of each Fund’s Portfolio of Investments and serve as an indicator of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. For credit default swaps on asset-based securities and credit indices, the quoted market prices and resulting values serve as the indicator of the current status of the payment/ performance risk. Wider credit spreads and increasing market values, in absolute terms when compared to the notional amount of the swap, represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement. The maximum potential amount of future payments (undiscounted) that a Fund as a seller of protection could be required to make under a credit default swap would be an amount equal to the notional amount of the agreement. Notional amounts of all credit default swaps outstanding at the end of the period, for which a Fund is the seller of protection, if any, are disclosed on a schedule following each Fund’s Portfolio of Investments. These potential amounts would be partially offset by any recovery values of the respective referenced obligations, upfront payments received upon entering into the agreement, or net amounts received from the settlement of buy protection credit default swaps entered into by a Fund for the same referenced entity or entities.
194  

NOTES TO PORTFOLIO OF INVESTMENTS — August 31, 2023 — (unaudited) — (continued)

Credit default swap contracts outstanding at the end of the period, if any, are reported on a schedule at the end of each Fund’s Portfolio of Investments.
Interest Rate Swap Agreements: Interest rate swaps involve the exchange by a Fund with another party of their respective commitments to pay or receive interest with respect to the notional amount of principal. Since interest rate swaps are individually negotiated, a Fund expects to achieve an acceptable degree of correlation between their respective portfolio investments and their interest rate positions. A Fund will enter into interest rate swaps only on a net basis, which means that the two payment streams are netted out, with the Funds receiving or paying, as the case may be, only the net amount of the two payments.
Interest rate swaps do not involve the delivery of securities, other underlying assets or principal. Accordingly, the risk of loss with respect to interest rate swaps is limited to the net amount of interest payments that a Fund is contractually obligated to make. If the other party to an interest rate swap defaults, a Fund’s risk of loss consists of the net discounted amount of interest payments that the Fund is contractually entitled to receive, if any. The use of interest rate swaps is a highly specialized activity which involves investment techniques and risks different from those associated with ordinary Fund securities transactions.
Interest rate swap contracts outstanding at the end of the period, if any, are reported on a schedule at the end of each Fund’s Portfolio of Investments.
Risks of Entering into Swap Agreements: Risks to a Fund of entering into credit default swaps, total return swaps and interest rate swaps, include credit risk, market risk, counterparty risk, liquidity risk and documentation risk. By entering into swap agreements, a Fund may be exposed to risk of potential loss due to unfavorable changes in interest rates, the price of the underlying security or index, or the underlying referenced asset’s perceived or actual credit, that the counterparty may default on its obligation to perform or the possibility that there is no liquid market for these agreements. There is also the risk that the parties may disagree as to the meaning of contractual terms in the swap agreement. In addition, to the extent that a subadviser does not accurately analyze and predict the underlying economic factors influencing the value of the swap, a Portfolio may suffer a loss.
Master Agreements: Certain Funds that hold derivative instruments and other financial instruments may be a party to ISDA (International Swaps and Derivatives Association, Inc.) Master Agreements or similar agreements (“Master Agreements”) with certain counterparties that govern such instruments. Master Agreements may contain provisions regarding, among other things, the parties’ general obligations, representations, agreements, collateral requirements, events of default and early termination. Collateral can be in the form of cash or securities as agreed to by a Fund and applicable counterparty. Collateral requirements are generally determined based on a Fund’s net position with each counterparty. Master Agreements may also include certain provisions that require a Fund to post additional collateral upon the occurrence of certain events, such as when the Fund’s net assets fall below a specified level. In addition, Master Agreements typically specify certain standard termination events, such as failure of a party to pay or deliver, credit support defaults and other events of default. Termination events applicable to a Fund may also occur upon a decline in the Fund’s net assets below a specified level over a certain period of time. Additional termination events applicable to counterparties may occur upon a decline in a counterparty’s long-term and short-term credit ratings below a specified level, or upon a decline in the ratings of a counterparty’s credit support provider. Upon the occurrence of a termination event, the other party may elect to terminate early and cause settlement of all instruments outstanding pursuant to a particular Master Agreement, including the payment of any losses and costs resulting from such early termination, as reasonably determined by the terminating party. Any decision by one or more of a Fund’s counterparties to elect early termination could cause the Fund to accelerate the payment of liabilities, which settlement amounts could be in excess of the amount of assets that are already posted as collateral. Typically, the Master Agreement will permit a single net payment in the event of default. Note, however, that bankruptcy or insolvency laws of a particular jurisdiction may impose restrictions on or prohibitions against the right of offset in bankruptcy, insolvency or other events. As a result, the early termination with respect to derivative instruments subject to Master Agreements that are in a net liability position could be material to a Fund’s financial statements.
The following table represents the Portfolio’s objectives for using derivative instruments for the period ended August 31, 2023:
    Objectives for Using Derivatives  
Fund   Futures
Contracts
  Foreign
Forward
Exchange
Contracts
  Options
Contracts
  Interest
Rate Swap
Contracts
  Credit
Default
Swap
Contracts
 
Asset Allocation   1   -   -   -   -  
Dynamic Allocation   1   -   1   -   -  
Emerging Economies   1   -   -   -   -  
Global Strategy   1, 2   3   -   -   4, 5  
Growth   1   -   -   -   -  
High Yield Bond   -   3   -   -   -  
Inflation Protected   1, 2   3   -   2   -  
International Equities Index   1   -   -   -   -  
International Socially Responsible   1   -   -   -   -  
Mid Cap Index   1   -   -   -   -  
Nasdaq-100® Index   1   -   -   -   -  
Small Cap Index   1   -   -   -   -  
Small Cap Value   1   -   -   -   -  
Stock Index   1   -   -   -   -  
U.S. Socially Responsible   1   -   -   -   -  

(1)  To manage exposures in certain securities markets.
(2)  To manage interest rate risk and the duration of the portfolio.
(3)  To manage foreign currency exchange rate risk.
195

NOTES TO PORTFOLIO OF INVESTMENTS — August 31, 2023 — (unaudited) — (continued)

(4)  To manage credit risk.
(5)  To manage against or gain exposure to certain securities and/or sectors.
Note 3.    Transactions with Affiliates
As disclosed in the Portfolio of Investments, certain Funds owned shares of various VALIC Co. I Funds and securities issued by American International Group, Inc. or an affiliate thereof. During the period ended August 31, 2023, transactions in these securities were as follows:
Aggressive Growth Lifestyle Fund
Security   Income   Capital Gain
Distribution
Received
  Value at
May 31,
2023
  Cost of
Purchases
  Proceeds
of Sales
  Realized
Gain/(Loss)
  Change in
Unrealized
Gain (Loss)
  Value at
August 31,
2023
VALIC Company I                                
Core Bond Fund   $—   $—   $170,266,219   $9,248,238   $13,770,946   $(3,073,643)   $2,500,608   $165,170,476
International Equities Index Fund       110,291,478   9,133,980   1,589,365   309,989   3,206,733   121,352,815
Large Capital Growth Fund       29,111,623     30,855,342   (1,044,045)   2,787,764  
Small Cap Growth Fund       31,538,743     1,915,222   (205,124)   2,530,192   31,948,589
Small Cap Value Fund       30,759,881     1,882,679   (157,686)   3,085,552   31,805,068
Stock Index Fund       166,722,826   1,806,044   5,659,733   810,305   12,568,879   176,248,321
Systematic Growth Fund       36,949,756   28,986,325   4,191,397   (326,703)   4,380,122   65,798,103
Systematic Value Fund       49,322,459   3,244,859   4,319,190   (779,633)   5,130,209   52,598,704
    $—   $—   $624,962,985   $52,419,446   $64,183,874   $(4,466,540)   $36,190,059   $644,922,076
Includes reinvestment of distributions paid.                                
Conservative Growth Lifestyle Fund
Security   Income   Capital Gain
Distribution
Received
  Value at
May 31,
2023
  Cost of
Purchases
  Proceeds
of Sales
  Realized
Gain/(Loss)
  Change in
Unrealized
Gain (Loss)
  Value at
August 31,
2023
VALIC Company I                                
Core Bond Fund   $—   $—   $204,003,207   $4,674,107   $10,351,962   $(2,005,721)   $1,346,694   $197,666,325
International Equities Index Fund       23,613,099   2,867,898   633,847   124,014   635,870   26,607,034
Large Capital Growth Fund       6,251,657     6,625,161   222,354   151,150  
Small Cap Growth Fund       6,071,559     778,711   (14,937)   450,738   5,728,649
Small Cap Value Fund       5,928,513     614,691   (51,484)   627,932   5,890,270
Stock Index Fund       35,384,818   1,087,164   1,853,435   75,831   2,734,082   37,428,460
Systematic Growth Fund       10,547,151   5,579,241   1,618,737   (2,842)   1,103,485   15,608,298
Systematic Value Fund       9,688,725   1,517,684   2,192,715   (92,339)   978,925   9,900,280
    $—   $—   $301,488,729   $15,726,094   $24,669,259   $(1,745,124)   $8,028,876   $298,829,316
Includes reinvestment of distributions paid.                                
Dynamic Allocation Fund
Security   Income   Capital Gain
Distribution
Received
  Value at
May 31,
2023
  Cost of
Purchases
  Proceeds
of Sales
  Realized
Gain/(Loss)
  Change in
Unrealized
Gain (Loss)
  Value at
August 31,
2023
VALIC Company I                                
Capital Appreciation Fund   $—   $—   $5,372,628   $214,954   $772,921   $66,887   $433,350   $5,314,898
Core Bond Fund       19,799,704   844,039   3,047,621   (499,353)   447,720   17,544,489
Dividend Value Fund       8,870,602   390,528   1,410,929   3,513   517,176   8,370,890
Emerging Economies Fund       766,449   34,077   123,382   (32,363)   68,443   713,224
Global Real Estate Fund       1,554,739   78,638   279,344   (50,476)   100,360   1,403,917
Government Securities Fund       6,933,528   293,579   1,062,216   (149,654)   51,759   6,066,996
Growth Fund       5,522,036   214,955   772,921   (360,065)   876,794   5,480,799
High Yield Bond Fund       1,247,154   52,425   192,896   (16,650)   55,470   1,145,503
Inflation Protected Fund       2,297,092   94,363   343,212   (57,082)   25,369   2,016,530
International Equities Index Fund       2,703,664   112,713   402,726   52,379   40,351   2,506,381
International Government Bond Fund       614,859   26,213   96,448   (14,715)   15,276   545,185
International Growth Fund       2,871,720   110,092   397,081   14,420   (53,188)   2,545,963
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NOTES TO PORTFOLIO OF INVESTMENTS — August 31, 2023 — (unaudited) — (continued)

Dynamic Allocation Fund
Security   Income   Capital Gain
Distribution
Received
  Value at
May 31,
2023
  Cost of
Purchases
  Proceeds
of Sales
  Realized
Gain/(Loss)
  Change in
Unrealized
Gain (Loss)
  Value at
August 31,
2023
International Opportunities Fund   $—   $—   412,654   $15,727   $53,869   $(36,921)   $57,885   $395,476
International Socially Responsible Fund       1,988,879   86,501   316,278   (56,287)   115,469   1,818,284
International Value Fund       4,397,926   186,109   670,780   33,540   341,116   4,287,911
Large Capital Growth Fund       5,776,527   238,558   863,772   140,972   260,550   5,552,835
Mid Cap Index Fund       1,532,966   65,531   241,120   12,957   146,512   1,516,846
Mid Cap Strategic Growth Fund       1,585,196   65,531   241,120   (162,797)   255,325   1,502,135
Mid Cap Value Fund       1,806,998   78,637   279,344   11,022   179,661   1,796,974
Small Cap Growth Fund       521,943   36,697   129,027   (55,066)   95,449   469,996
Small Cap Index Fund       630,919   26,212   96,448   (2,670)   60,441   618,454
Small Cap Special Values Fund       976,710   41,939   150,317   (17,047)   136,656   987,941
Small Cap Value Fund       306,725   13,106   48,224   1,468   27,609   300,684
Stock Index Fund       12,548,207   524,248   1,898,957   345,649   676,606   12,195,753
Systematic Core Fund       9,150,466   382,702   1,384,139   132,259   669,432   8,950,720
Systematic Growth Fund       3,873,335   152,057   547,494   (41,587)   425,331   3,861,642
Systematic Value Fund       12,203,573   539,939   1,952,682   119,049   942,591   11,852,470
U.S. Socially Responsible Fund       7,573,037   322,413   1,164,309   (590,998)   1,212,908   7,353,051
    $—   $—   $123,840,236   $5,242,483   $18,939,577   $(1,209,616)   $8,182,421   $117,115,947
Includes reinvestment of distributions paid.                                
Moderate Growth Lifestyle Fund
Security   Income   Capital Gain
Distribution
Received
  Value at
May 31,
2023
  Cost of
Purchases
  Proceeds
of Sales
  Realized
Gain/(Loss)
  Change in
Unrealized
Gain (Loss)
  Value at
August 31,
2023
VALIC Company I                                
Core Bond Fund   $—   $—   $465,074,965   $15,024,886   $27,140,993   $(5,270,825)   $3,743,257   $451,431,290
International Equities Index Fund       124,666,481   11,272,016   2,661,968   520,822   3,481,582   137,278,933
Large Capital Growth Fund       33,761,516     35,776,452   (1,107,723)   3,122,659  
Small Cap Growth Fund       34,555,699     2,783,377   (484,234)   3,048,711   34,336,799
Small Cap Value Fund       33,714,154     2,774,717   (232,400)   3,475,764   34,182,801
Stock Index Fund       189,555,753   2,693,945   7,280,880   (716,309)   15,914,208   200,166,717
Systematic Growth Fund       44,778,820   30,909,536   5,983,213   (429,135)   5,243,733   74,519,741
Systematic Value Fund       53,204,496   5,012,664   7,431,881   (1,005,176)   5,746,816   55,526,919
    $—   $—   $979,311,884   $64,913,047   $91,833,481   $(8,724,980)   $43,776,730   $987,443,200
Includes reinvestment of distributions paid.                                
Stock Index Fund
Security   Income   Capital Gain
Distribution
Received
  Value at
May 31,
2023
  Cost of
Purchases
  Proceeds
of Sales
  Realized
Gain/(Loss)
  Change in
Unrealized
Gain (Loss)
  Value at
August 31,
2023
American International Group, Inc. - Common Stock   $38,826   $—   $5,697,663   $—   $150,614   $62,707   $547,718   $6,157,474
ADDITIONAL INFORMATION
Additional information is available in the VALIC Company I’s Annual and Semi-annual reports which may be obtained without charge from the EDGAR database on the Securities and Exchange Commission’s website at http://www.sec.gov.
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