NPORT-EX 2 NPORT_11631120972903808.htm GMO Trust

GMO Asset Allocation Bond Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Par Value† /
Shares
    Description   Value ($)  
    DEBT OBLIGATIONS — 95.4%

 

          U.S. Government — 95.4%  
    4,180,626     U.S. Treasury Inflation Indexed Bond, 0.25%, due 01/15/25(a)     4,322,632  
    9,708,322     U.S. Treasury Inflation Indexed Bond, 0.38%, due 01/15/27(a)     10,287,885  
    19,736,801     U.S. Treasury Inflation Indexed Bond, 0.50%, due 01/15/28(a)     21,285,579  
    32,786,545     U.S. Treasury Inflation Indexed Bond, 1.75%, due 01/15/28(a)     38,564,439  
    6,226,659     U.S. Treasury Inflation Indexed Bond, 0.75%, due 07/15/28(a)     6,899,050  
    11,269,835     U.S. Treasury Inflation Indexed Bond, 0.88%, due 01/15/29(a)     12,617,320  
    37,063,302     U.S. Treasury Inflation Indexed Bond, 2.50%, due 01/15/29(a)     46,777,790  
    20,266,660     U.S. Treasury Inflation Indexed Bond, 0.13%, due 01/15/30(a)     21,509,372  
     

 

 

 
    Total U.S. Government     162,264,067  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $150,765,299)
    162,264,067  
     

 

 

 
          MUTUAL FUNDS — 4.8%  
          United States — 4.8%  
          Affiliated Issuers — 4.8%      
    1,598,174     GMO U.S. Treasury Fund     8,054,797  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $8,038,263)
    8,054,797  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.5%  
          Money Market Funds — 0.5%  
    903,684     State Street Institutional Treasury Money Market Fund-Premier Class, 0.12%(b)     903,684  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $903,684)
    903,684  
     

 

 

 
    TOTAL INVESTMENTS — 100.7%
(Cost $159,707,246)
    171,222,548  
    Other Assets and Liabilities (net) — (0.7%)     (1,182,770
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $170,039,778  
     

 

 

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

Indexed security in which price and/or coupon is linked to the price of a specific instrument or financial statistic.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2020.

 


GMO Core Plus Bond Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Par Value† /
Shares
    Description   Value ($)  
    DEBT OBLIGATIONS — 39.9%

 

          United States — 39.9%  
          Asset-Backed Securities — 18.5%  
    8,000,000     Americold LLC, Series 10-ARTA, Class C, 144A, 6.81%, due 01/14/29     8,052,867  
    1,145,000     Aventura Mall Trust, Series 13-AVM, Class C, 144A, Variable Rate, 3.74%, due 12/05/32     1,145,023  
    500,000     BAMLL Commercial Mortgage Securities Trust, Series 12-PARK, Class A, 144A, 2.96%, due 12/10/30     519,816  
    282,817     Bear Stearns Commercial Mortgage Securities Trust, Series 05-PW10, Class AJ, Variable Rate, 5.59%, due 12/11/40     282,617  
    5,100,000     CGRBS Commercial Mortgage Trust, Series 13-VN05, Class C, 144A, Variable Rate, 3.58%, due 03/13/35     5,383,253  
    29,970,000     Commercial Mortgage Trust, Series 13-WWP, Class A2, 144A, 3.42%, due 03/10/31     31,676,869  
    2,210,000     Commercial Mortgage Trust, Series 13-WWP, Class B, 144A, 3.73%, due 03/10/31     2,347,763  
    6,461,000     Commercial Mortgage Trust, Series 13-WWP, Class C, 144A, 3.54%, due 03/10/31     6,834,860  
    6,310,000     Commercial Mortgage Trust, Series 13-WWP, Class D, 144A, 3.90%, due 03/10/31     6,730,176  
    4,015,340     Four Times Square Trust Commercial Mortgage Pass-Through Certificates, Series 06-4TS, Class A, 144A, 5.40%, due 12/13/28     4,064,998  
    1,000,000     Morgan Stanley Capital I Trust, Series 14-CPT, Class A, 144A, 3.35%, due 07/13/29     1,018,873  
    490,000     Morgan Stanley Capital I Trust, Series 14-CPT, Class B, 144A, Variable Rate, 3.45%, due 07/13/29     498,844  
    250,000     Morgan Stanley Capital I Trust, Series 14-CPT, Class E, 144A, Variable Rate, 3.45%, due 07/13/29     254,665  
    300,000     Morgan Stanley Capital I Trust, Series 14-CPT, Class F, 144A, Variable Rate, 3.45%, due 07/13/29     305,598  
    375,000     Morgan Stanley Capital I Trust, Series 14-MP, Class A, 144A, 3.47%, due 08/11/33     383,384  
    100,000     Morgan Stanley Capital I Trust, Series 14-MP, Class C, 144A, Variable Rate, 3.69%, due 08/11/33     102,340  
    5,000,000     Morgan Stanley Capital I Trust, Series 14-MP, Class E, 144A, Variable Rate, 3.69%, due 08/11/33     5,116,996  
     

 

 

 
    Total Asset-Backed Securities     74,718,942  
     

 

 

 
Par Value† /
Shares
    Description   Value ($)  
          U.S. Government — 6.9%  
    7,407,000     U.S. Treasury Bond, 3.75%, due 11/15/43     11,003,735  
    4,750,000     U.S. Treasury Bond, 3.38%, due 05/15/44(a)     6,703,809  
    8,600,000     U.S. Treasury Note, 2.25%, due 08/15/49(a)     10,315,969  
     

 

 

 
    Total U.S. Government     28,023,513  
     

 

 

 
          U.S. Government Agency — 14.5%  
    15,000,000     Federal National Mortgage Association, TBA, 2.50%, due 08/01/34     15,697,266  
    13,300,000     Federal National Mortgage Association, TBA, 4.00%, due 08/01/48     14,156,188  
    8,900,000     Federal National Mortgage Association, TBA, 3.50%, due 04/01/49     9,389,500  
    17,700,000     Federal National Mortgage Association, TBA, 3.00%, due 12/01/49     18,618,188  
    900,000     Government National Mortgage Association, TBA, 3.50%, due 06/01/49     953,789  
     

 

 

 
    Total U.S. Government Agency     58,814,931  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $154,599,460)
    161,557,386  
     

 

 

 
          INVESTMENT FUNDS — 18.4%  
          United States — 18.4%  
    565,862     iShares iBoxx $ Investment Grade Corporate Bond ETF     74,705,101  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $68,276,976)
    74,705,101  
     

 

 

 
          MUTUAL FUNDS — 35.4%  
          United States — 35.4%  
    Affiliated Issuers — 35.4%

 

    859,465     GMO Emerging Country Debt Fund, Class IV     21,366,312  
    3,218,662     GMO Opportunistic Income Fund, Class VI     81,721,830  
    8,011,002     GMO U.S. Treasury Fund     40,375,453  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $150,344,466)
    143,463,595  
     

 

 

 
    SHORT-TERM INVESTMENTS — 22.4%

 

          Foreign Government Obligations — 19.9%  

JPY

    1,900,000,000     Japan Treasury Discount Bill, Zero Coupon, due 06/15/20     17,618,879  

JPY

    1,300,000,000     Japan Treasury Discount Bill, Zero Coupon, due 06/22/20     12,055,423  

JPY

    3,300,000,000     Japan Treasury Discount Bill, Zero Coupon, due 07/06/20     30,604,123  

JPY

    2,200,000,000     Japan Treasury Discount Bill, Zero Coupon, due 07/27/20     20,404,100  
     

 

 

 
    Total Foreign Government Obligations     80,682,525  
     

 

 

 
 


GMO Core Plus Bond Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description   Value ($)  
          Money Market Funds — 2.5%  
    10,051,095     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12%(b)     10,051,095  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $90,217,388)
    90,733,620  
     

 

 

 
    TOTAL INVESTMENTS — 116.1%
(Cost $463,438,290)
    470,459,702  
    Other Assets and Liabilities (net) — (16.1%)     (65,359,603
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $405,100,099  
     

 

 

 
 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

Forward Currency Contracts

 

Settlement
Date
    

Counterparty

     Currency
Sold
       Currency
Purchased
       Net Unrealized
Appreciation
(Depreciation) ($)
 
08/06/2020      MSCI        AUD       12,246,000          USD       7,845,706          (316,960
08/04/2020      MSCI        BRL       7,000,629          USD       1,248,329          (60,036
06/03/2020      GS        CAD       3,012,344          USD       2,140,000          (47,852
06/03/2020      JPM        CAD       21,085,233          USD       14,840,000          (474,111
06/03/2020      MSCI        CAD       19,815,661          USD       13,890,000          (502,026
08/14/2020      BCLY        CHF       1,578,810          USD       1,630,000          (14,923
08/14/2020      JPM        CHF       3,792,946          USD       3,940,000          (11,777
08/14/2020      MSCI        CHF       401,389          USD       415,579          (2,618
06/03/2020      MSCI        CLP       2,021,698,500          USD       2,362,076          (163,782
09/01/2020      JPM        CLP       2,021,698,500          USD       2,476,358          (50,106
08/06/2020      MSCI        COP       5,615,026,500          USD       1,396,286          (100,799
07/14/2020      JPM        CZK       33,108,398          USD       1,340,000          (26,081
07/14/2020      MSCI        CZK       25,872,705          USD       1,041,281          (26,250
07/27/2020      JPM        EUR       2,521,000          USD       2,725,221          (76,407
08/14/2020      JPM        GBP       7,019,000          USD       8,668,283          (2,714
07/14/2020      JPM        HUF       721,912,819          USD       2,182,423          (125,638
08/19/2020      BCLY        IDR       4,504,830,000          USD       300,000          (2,381
08/19/2020      JPM        IDR       9,817,500,000          USD       660,000          1,013  
08/31/2020      MSCI        ILS       1,665,763          USD       475,919          622  
06/04/2020      GS        INR       40,211,100          USD       530,000          (2,002
06/04/2020      JPM        INR       104,644,042          USD       1,381,512          (2,953
07/01/2020      GS        INR       25,001,460          USD       330,000          (203
06/02/2020      CITI        JPY       170,548,799          USD       1,549,288          (32,137
06/09/2020      BOA        JPY       313,549,892          USD       2,920,000          12,396  
06/09/2020      JPM        JPY       1,234,809,965          USD       11,200,000          (250,612
06/15/2020      BCLY        JPY       1,900,000,000          USD       17,825,837          205,084  
06/22/2020      CITI        JPY       1,300,000,000          USD       11,808,113          (249,562
07/06/2020      JPM        JPY       3,300,000,000          USD       30,486,870          (127,915
07/27/2020      JPM        JPY       2,200,000,000          USD       20,481,071          64,657  
07/01/2020      BCLY        KRW       1,785,726,000          USD       1,460,000          11,435  
08/05/2020      MSCI        NZD       22,900,000          USD       13,897,325          (312,839
06/02/2020      BCLY        PHP       17,220,660          USD       340,000          (195
06/02/2020      CITI        PHP       22,073,040          USD       440,000          3,946  
06/02/2020      JPM        PHP       10,139,600          USD       200,000          (308
06/02/2020      MSCI        PHP       34,267,190          USD       670,797          (6,152


GMO Core Plus Bond Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Settlement
Date
    

Counterparty

     Currency
Sold
       Currency
Purchased
       Net Unrealized
Appreciation
(Depreciation) ($)
 
09/01/2020      JPM        PHP       18,817,830          USD       370,000          (554
06/15/2020      BOA        PLN       1,702,413          USD       410,000          (14,408
06/15/2020      CITI        PLN       1,627,775          USD       390,000          (15,801
06/15/2020      JPM        PLN       3,093,304          USD       750,000          (21,154
06/15/2020      MSCI        PLN       7,074,329          USD       1,833,792          70,176  
06/30/2020      CITI        RON       1,586,723          USD       360,000          (2,774
07/17/2020      MSCI        RUB       176,898,180          USD       2,357,955          (136,253
06/08/2020      JPM        SEK       22,843,768          USD       2,270,000          (154,496
08/18/2020      MSCI        SGD       286,744          USD       201,401          (1,622
06/15/2020      BCLY        THB       10,850,216          USD       340,000          (1,075
06/15/2020      MSCI        THB       18,000,124          USD       559,601          (6,230
07/16/2020      JPM        TRY       1,595,702          USD       230,000          (485
08/06/2020      JPM        USD       5,574,472          AUD       8,650,000          191,252  
08/06/2020      MSCI        USD       3,737,766          AUD       5,710,000          68,279  
08/04/2020      GS        USD       380,000          BRL       2,179,832          27,394  
08/04/2020      MSCI        USD       1,340,000          BRL       7,202,808          6,151  
06/03/2020      BOA        USD       3,870,000          CAD       5,333,367          3,601  
06/03/2020      JPM        USD       25,132,634          CAD       33,833,361          (559,615
06/03/2020      MSCI        USD       3,010,000          CAD       4,208,486          46,604  
08/14/2020      MSCI        USD       780,000          CHF       757,656          9,383  
06/03/2020      JPM        USD       2,476,055          CLP       2,021,698,500          49,803  
09/01/2020      MSCI        USD       280,000          CLP       226,156,000          2,621  
07/14/2020      GS        USD       460,000          CZK       11,373,595          9,285  
07/14/2020      JPM        USD       1,240,000          CZK       29,954,829          (4,037
07/27/2020      JPM        USD       1,605,246          EUR       1,440,000          (4,950
07/14/2020      CITI        USD       120,000          HUF       37,548,204          47  
08/19/2020      JPM        USD       1,726,187          IDR       26,486,606,000          51,693  
06/04/2020      JPM        USD       1,899,963          INR       144,855,142          16,505  
07/01/2020      JPM        USD       609,502          INR       46,340,412          2,532  
06/02/2020      JPM        USD       1,640,000          JPY       170,548,799          (58,575
06/09/2020      CITI        USD       1,549,915          JPY       170,548,799          31,615  
06/09/2020      DB        USD       1,200,000          JPY       128,318,640          (10,078
06/09/2020      JPM        USD       28,172,116          JPY       3,013,744,171          (225,132
07/01/2020      BCLY        USD       2,100,000          KRW       2,575,279,000          (10,957
07/01/2020      CITI        USD       223,232          KRW       276,120,460          754  
07/01/2020      MSCI        USD       470,000          KRW       576,211,540          (2,582
08/21/2020      BOA        USD       460,000          MXN       10,803,729          21,555  
08/21/2020      CITI        USD       420,000          MXN       9,391,026          (1,414
08/21/2020      MSCI        USD       1,406,175          MXN       33,539,090          88,764  
06/04/2020      JPM        USD       5,734,476          NOK       53,707,670          (209,381
08/11/2020      JPM        USD       2,980,000          NOK       29,713,566          78,243  
08/11/2020      MSCI        USD       6,583,014          NOK       67,365,961          350,569  
08/05/2020      BCLY        USD       781,949          NZD       1,274,000          8,607  
08/05/2020      JPM        USD       5,085,902          NZD       8,306,000          68,230  
08/06/2020      BCLY        USD       270,000          PEN       926,235          (91
08/06/2020      JPM        USD       1,270,000          PEN       4,337,240          (6,108
06/02/2020      JPM        USD       880,000          PHP       44,832,190          5,661  
06/02/2020      MSCI        USD       760,000          PHP       38,868,300          7,845  
09/01/2020      MSCI        USD       285,741          PHP       14,582,790          1,418  
06/15/2020      BOA        USD       270,000          PLN       1,111,960          7,209  
06/15/2020      CITI        USD       650,000          PLN       2,699,405          22,956  
06/30/2020      DB        USD       400,000          RON       1,800,181          11,577  
06/30/2020      MSCI        USD       156,692          RON       704,720          4,429  
06/08/2020      MSCI        USD       9,486,858          SEK       89,817,773          45,843  
08/04/2020      BCLY        USD       1,730,000          SEK       16,695,538          42,895  
08/04/2020      MSCI        USD       5,775,304          SEK       56,964,421          273,734  


GMO Core Plus Bond Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Settlement
Date
    

Counterparty

     Currency
Sold
       Currency
Purchased
       Net Unrealized
Appreciation
(Depreciation) ($)
 
08/18/2020      GS        USD       320,000          SGD       452,484          371  
08/18/2020      JPM        USD       1,500,000          SGD       2,116,390          (1,538
06/15/2020      CITI        USD       500,000          THB       15,902,800          (98
06/16/2020      JPM        USD       480,000          TRY       3,412,080          18,032  
07/16/2020      JPM        USD       1,481,133          TRY       10,528,764          39,650  
07/07/2020      JPM        USD       310,000          TWD       9,288,530          520  
07/07/2020      MSCI        USD       1,670,000          TWD       49,747,380          (6,920
07/31/2020      DB        USD       910,000          ZAR       16,381,205          17,663  
07/31/2020      JPM        USD       800,000          ZAR       14,082,605          (2,506
                       

 

 

 
                        $ (2,445,554
                       

 

 

 

Futures Contracts

 

Number
of
Contracts +
 

Type

     Expiration
Date
     Notional
Amount ($)
       Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys                 
24   U.S. Long Bond (CBT)      September 2020        4,281,000          23,328  
106   U.S. Treasury Note 2 Yr. (CBT)      September 2020        23,409,437          6,514  
464   U.S. Treasury Note 5 Yr. (CBT)      September 2020        58,290,000          108,207  
74   U.S. Treasury Note 10 Yr. (CBT)      September 2020        10,290,625          32,001  
113   U.S. Treasury Ultra 10 Yr. (CBT)      September 2020        17,778,078          81,182  
26   U.S. Ultra Bond (CBT)      September 2020        5,668,813          17,059  
           

 

 

      

 

 

 
            $ 119,717,953        $ 268,291  
           

 

 

      

 

 

 
Sales                 
6   Canadian Government Bond 10 Yr.      September 2020      $ 669,528        $ 2,301  
           

 

 

      

 

 

 

 

+

Buys - Fund is long the futures contract.

            Sales

- Fund is short the futures contract.

Swap Contracts

Centrally Cleared Interest Rate Swaps

 

Fund Pays

   Fund Receives  

Notional
Amount

     Expiration
Date
     Periodic
Payment
Frequency
   Premiums
Paid/
(Received) ($)
     Value ($)      Net
Unrealized
Appreciation/
(Depreciation) ($)
 

6 Month AUD BBSW

   0.94%   AUD      6,310,000        06/17/2030      Semi-Annually             22,340        22,340  

6 Month AUD BBSW

   0.91%   AUD      6,640,000        06/17/2030      Semi-Annually             12,701        12,701  

6 Month AUD BBSW

   0.90%   AUD      28,940,000        06/17/2030      Semi-Annually      10,464        28,981        18,517  

6 Month AUD BBSW

   0.90%   AUD      13,290,000        06/17/2030      Semi-Annually             17,635        17,635  

6 Month AUD BBSW

   0.89%   AUD      12,130,000        06/17/2030      Semi-Annually      11,111        8,199        (2,912

0.88%

   6 Month AUD BBSW   AUD      9,280,000        06/17/2030      Semi-Annually             (533      (533

0.89%

   6 Month AUD BBSW   AUD      5,100,000        06/17/2030      Semi-Annually             (3,779      (3,779

6 Month AUD BBSW

   0.95%   AUD      9,810,000        06/17/2030      Semi-Annually      3,118        41,118        38,000  

3 Month CAD LIBOR

   0.98%   CAD      16,770,000        06/17/2030      Semi-Annually             (32,510      (32,510

1.04%

   3 Month CAD LIBOR   CAD      360,000        06/17/2030      Semi-Annually             (929      (929

3 Month CAD LIBOR

   1.10%   CAD      14,680,000        06/17/2030      Semi-Annually      (35,064      101,148        136,212  

3 Month CAD LIBOR

   1.29%   CAD      2,760,000        06/17/2030      Semi-Annually             55,081        55,081  

3 Month CAD LIBOR

   1.07%   CAD      15,590,000        06/17/2030      Semi-Annually      1,872        74,385        72,513  

6 Month CHF LIBOR

   (0.34)%   CHF      42,810,000        06/17/2030      Semi-Annually      196,990        31,226        (165,764

0.63%

   3 Month NZD Bank Bill Rate   NZD      2,020,000        06/17/2030      Quarterly      (857      10,622        11,479  

0.70%

   3 Month NZD Bank Bill Rate   NZD      2,730,000        06/17/2030      Quarterly             2,045        2,045  

3 Month SEK STIBOR

   0.37%   SEK      91,100,000        06/17/2030      Quarterly      (10,203      (9,100      1,103  


GMO Core Plus Bond Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Fund Pays

   Fund Receives  

Notional
Amount

     Expiration
Date
     Periodic
Payment
Frequency
   Premiums
Paid/
(Received) ($)
     Value ($)      Net
Unrealized
Appreciation/
(Depreciation) ($)
 

3 Month SEK STIBOR

   0.40%   SEK      186,400,000        06/17/2030      Quarterly      26,646        50,224        23,578  

3 Month SEK STIBOR

   0.35%   SEK      45,200,000        06/17/2030      Quarterly             (10,477      (10,477

(0.01)%

   6 Month EURIBOR   EUR      3,720,000        06/19/2030      Semi-Annually             (50,379      (50,379

(0.01)%

   6 Month EURIBOR   EUR      1,400,000        06/19/2030      Semi-Annually             (19,517      (19,517

(0.15)%

   6 Month EURIBOR   EUR      5,120,000        06/19/2030      Semi-Annually             12,670        12,670  

(0.14)%

   6 Month EURIBOR   EUR      4,840,000        06/19/2030      Semi-Annually             7,854        7,854  

(0.13)%

   6 Month EURIBOR   EUR      3,510,000        06/19/2030      Semi-Annually             (86      (86

(0.12)%

   6 Month EURIBOR   EUR      36,860,000        06/19/2030      Semi-Annually      (32,363      (53,243      (20,880

(0.09)%

   6 Month EURIBOR   EUR      2,890,000        06/19/2030      Semi-Annually             (13,367      (13,367

0.50%

   6 Month GBP LIBOR   GBP      7,900,000        06/19/2030      Semi-Annually      22,972        (96,016      (118,988

0.57%

   6 Month GBP LIBOR   GBP      4,710,000        06/19/2030      Semi-Annually             (94,941      (94,941

0.56%

   6 Month GBP LIBOR   GBP      3,160,000        06/19/2030      Semi-Annually             (61,751      (61,751

6 Month GBP LIBOR

   0.48%   GBP      3,070,000        06/19/2030      Semi-Annually             30,130        30,130  

6 Month GBP LIBOR

   0.48%   GBP      1,540,000        06/19/2030      Semi-Annually             15,304        15,304  

0.46%

   6 Month GBP LIBOR   GBP      11,430,000        06/19/2030      Semi-Annually      (53,391      (86,847      (33,456

0.70%

   3 Month USD LIBOR   USD      30,580,000        06/19/2030      Quarterly      (16,348      (163,682      (147,334

3 Month USD LIBOR

   0.69%   USD      3,930,000        06/19/2030      Quarterly             16,956        16,956  

3 Month USD LIBOR

   0.65%   USD      1,980,000        06/19/2030      Quarterly             614        614  

3 Month USD LIBOR

   0.67%   USD      4,350,000        06/19/2030      Quarterly             8,446        8,446  

3 Month USD LIBOR

   0.69%   USD      1,940,000        06/19/2030      Quarterly             8,754        8,754  

3 Month USD LIBOR

   0.66%   USD      1,570,000        06/19/2030      Quarterly             2,429        2,429  

3 Month USD LIBOR

   0.67%   USD      1,580,000        06/19/2030      Quarterly             3,146        3,146  

3 Month USD LIBOR

   0.64%   USD      4,000,000        06/19/2030      Quarterly             (2,516      (2,516

0.65%

   3 Month USD LIBOR   USD      16,540,000        06/19/2030      Quarterly      (73,080      (6,768      66,312  
                

 

 

    

 

 

    

 

 

 
   $ 51,867      $ (144,433    $ (196,300
                

 

 

    

 

 

    

 

 

 

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2020.

The rates shown on variable rate notes are the current interest rates at May 31, 2020, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

144A - Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional investors.

AUD BBSW - Bank Bill Swap Reference Rate denominated in Australian Dollar.

CAD LIBOR - London Interbank Offered Rate denominated in Canadian Dollar.

CHF LIBOR - London Interbank Offered Rate denominated in Swiss Franc.

ETF - Exchange-Traded Fund

EURIBOR - Euro Interbank Offered Rate

GBP LIBOR - London Interbank Offered Rate denominated in British Pound.

NZD Bank Bill Rate - Bank Bill Rate denominated in New Zealand Dollar.

SEK STIBOR - Stockholm Interbank Offered Rate denominated in Swedish Krona.

TBA - To Be Announced - Delayed Delivery Security

USD LIBOR - London Interbank Offered Rate denominated in United States Dollar.

Counterparty Abbreviations:

BCLY - Barclays Bank PLC

BOA - Bank of America, N.A.

CITI - Citibank N.A.

DB - Deutsche Bank AG

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MSCI - Morgan Stanley & Co. International PLC

 


GMO Core Plus Bond Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Currency Abbreviations:

AUD - Australian Dollar

BRL - Brazilian Real

CAD - Canadian Dollar

CHF - Swiss Franc

CLP - Chilean Peso

COP - Colombian Peso

CZK - Czech Koruna

EUR - Euro

GBP - British Pound

HUF - Hungarian Forint

IDR - Indonesian Rupiah

ILS - Israeli Shekel

INR - Indian Rupee

JPY - Japanese Yen

KRW - South Korean Won

MXN - Mexican Peso

NOK - Norwegian Krone

NZD - New Zealand Dollar

PEN - Peruvian Sol

PHP - Philippine Peso

PLN - Polish Zloty

RON - Romanian Leu

RUB - Russian Ruble

SEK - Swedish Krona

SGD - Singapore Dollar

THB - Thai Baht

TRY - Turkish Lira

TWD - Taiwan Dollar

USD - United States Dollar

ZAR - South African Rand

 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
    DEBT OBLIGATIONS — 94.4%

 

          Albania — 1.1%  
          Foreign Government Obligations      
    49,649,849     Republic of Albania Par Bond, Zero Coupon, due 08/31/25(a)(b)     45,439,083  
     

 

 

 
          Angola — 0.5%  
          Foreign Government Obligations      
    936,000     Republic of Angola Via Avenir II BV, Reg S, 6 mo. LIBOR + 4.50%, 6.39%, due 12/07/23     655,200  
    23,300,000     Angolan Government International Bond, Reg S, 9.38%, due 05/08/48     13,885,344  
    7,300,000     Angolan Government International Bond, Reg S, 9.13%, due 11/26/49     4,368,594  
     

 

 

 
    Total Angola     18,909,138  
     

 

 

 
          Argentina — 2.5%  
          Foreign Government Obligations  
    5,400,000     Republic of Argentina, 7.50%, due 04/22/26(c)     2,041,875  
    23,100,000     Republic of Argentina, 6.88%, due 01/26/27(c)     8,373,750  
    27,500,000     Republic of Argentina, 7.63%, due 04/22/46(c)     10,243,750  
    7,600,000     Republic of Argentina,
7.13%, due 06/28/2117 (c)
    2,686,125  

EUR

    12,000,000     Republic of Argentina, Reg S, 5.25%, due 01/15/28(c)     4,595,608  

JPY

    407,485,276     Republic of Argentina, Variable Rate, 4.33%, due 12/31/33(c)(d)     879,922  

EUR

    17,641,371     Republic of Argentina Discount Bond, 7.82%, due 12/31/33(c)     8,292,097  
    51,095,149     Republic of Argentina Discount Bond, 8.28%, due 12/31/33(c)     21,122,105  

EUR

    36,050,000     Republic of Argentina Par Bond, Step Up, 3.38%, due 12/31/38(c)     14,006,061  

EUR

    80,830,000     Republic of Argentina Par Bond, Step Up, 3.38%, due 12/31/38(c)     29,861,726  
     

 

 

 
    Total Argentina     102,103,019  
     

 

 

 
          Armenia — 0.3%  
          Foreign Government Agency — 0.2%  
    10,900,000     Ardshinbank CJSC Via Dilijan Finance BV, 144A, 6.50%, due 01/28/25     9,592,000  
     

 

 

 
          Foreign Government Obligations — 0.1%  
    2,195,000     Republic of Armenia, Reg S, 7.15%, due 03/26/25     2,507,102  
     

 

 

 
    Total Armenia     12,099,102  
     

 

 

 
          Azerbaijan — 1.3%  
          Foreign Government Agency — 0.8%  
    11,102,000     International Bank of Azerbaijan OJSC, Reg S, 3.50%, due 09/01/24     9,977,922  
    
Par Value†
    Description   Value ($)  
          Azerbaijan — continued  
          Foreign Government Agency — continued  
    18,400,000     Southern Gas Corridor CJSC, Reg S, 6.88%, due 03/24/26     21,148,500  
     

 

 

 
        31,126,422  
     

 

 

 
          Foreign Government Obligations — 0.5%  
    20,300,000     Republic of Azerbaijan International Bond, Reg S, 5.13%, due 09/01/29     21,061,228  
     

 

 

 
    Total Azerbaijan     52,187,650  
     

 

 

 
          Bahamas — 0.3%  
          Foreign Government Obligations  
    8,709,000     Bahamas Government International Bond, Reg S, 6.00%, due 11/21/28     6,395,672  
    8,323,000     Bahamas Government International Bond, Reg S, 6.95%, due 11/20/29     6,843,066  
     

 

 

 
    Total Bahamas     13,238,738  
     

 

 

 
          Bahrain — 1.7%  
          Foreign Government Obligations  
    19,500,000     Bahrain Government International Bond, 144A, 5.63%, due 09/30/31     18,390,937  
    18,700,000     Bahrain Government International Bond, Reg S, 6.00%, due 09/19/44     16,794,938  
    32,050,000     Bahrain Government International Bond, Reg S, 7.50%, due 09/20/47     32,560,797  
     

 

 

 
    Total Bahrain     67,746,672  
     

 

 

 
          Barbados — 0.3%  
          Foreign Government Obligations  
    7,900,000     Barbados Government International Bond, Reg S, 6.50%, due 10/01/29     6,919,906  
    7,600,000     Barbados Government International Bond, 144A, 6.50%, due 10/01/29     6,657,125  
     

 

 

 
    Total Barbados     13,577,031  
     

 

 

 
          Belarus — 0.7%  
          Foreign Government Agency — 0.2%  
    8,304,000     Development Bank of the Republic of Belarus JSC, Reg S, 6.75%, due 05/02/24     8,078,235  
     

 

 

 
          Foreign Government Obligations — 0.5%  
    19,100,000     Republic of Belarus International Bond, Reg S, 6.20%, due 02/28/30     18,837,375  
     

 

 

 
    Total Belarus     26,915,610  
     

 

 

 
          Belize — 0.4%  
          Foreign Government Obligations  
    50,932,100     Republic of Belize, Reg S, Step Up, 4.94%, due 02/20/34     14,807,051  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
          Bermuda — 0.3%  
          Foreign Government Obligations  
    11,500,000     Bermuda Government International Bond, Reg S, 4.75%, due 02/15/29     12,808,125  
     

 

 

 
          Brazil — 2.3%  
          Corporate Debt — 0.5%  
    21,791,926     MV24 Capital BV, 144A, 6.75%, due 06/01/34     20,103,052  
     

 

 

 
          Foreign Government Agency — 0.9%  
    5,300,000     Centrais Eletricas Brasileiras SA, 144A, 4.63%, due 02/04/30     4,658,369  
    32,439,000     Petrobras Global Finance BV, 6.85%, due 06/05/2115     30,301,474  
     

 

 

 
        34,959,843  
     

 

 

 
          Foreign Government Obligations — 0.9%  
    19,897,000     Republic of Brazil, 7.13%, due 01/20/37     23,304,361  
    15,000,000     Republic of Brazil, 4.75%, due 01/14/50     13,785,938  
     

 

 

 
        37,090,299  
     

 

 

 
    Total Brazil     92,153,194  
     

 

 

 
          Cameroon — 0.2%  
          Foreign Government Obligations  
    10,300,000     Republic of Cameroon International Bond, Reg S, 9.50%, due 11/19/25     9,894,438  
     

 

 

 
          Chile — 2.9%  
          Corporate Debt — 1.4%  
    26,100,000     Empresa de Transporte de Pasajeros Metro SA, 144A, 4.70%, due 05/07/50     29,897,550  
    20,411,000     Empresa Nacional de Electricidad SA, 8.13%, due 02/01/97(d)     27,350,740  
     

 

 

 
    57,248,290  
     

 

 

 
      Foreign Government Agency — 1.5%  
    8,800,000     Corp Nacional del Cobre de Chile, Reg S, 4.25%, due 07/17/42     9,416,000  
    34,700,000     Corp Nacional del Cobre de Chile, 144A, 3.70%, due 01/30/50     34,483,125  
    8,100,000     Empresa Nacional del Petroleo, Reg S, 5.25%, due 11/06/29     8,885,700  
    7,600,000     Empresa Nacional del Petroleo, Reg S, 4.50%, due 09/14/47     7,717,800  
     

 

 

 
    60,502,625  
     

 

 

 
  Total Chile     117,750,915  
     

 

 

 
      Colombia — 2.0%  
      Foreign Government Agency — 1.6%  
    5,900,000     Ecopetrol SA, 6.88%, due 04/29/30     6,749,600  
    45,411,000     Ecopetrol SA, 7.38%, due 09/18/43     53,766,624  
    3,800,000     Ecopetrol SA, 5.88%, due 05/28/45     3,948,913  
     

 

 

 
    64,465,137  
     

 

 

 
    
Par Value†
    Description   Value ($)  
      Colombia — continued  
      Foreign Government Obligations — 0.4%  
    647,000     Colombia Government International Bond, 8.38%, due 02/15/27     744,859  
    3,800,000     Colombia Government International Bond, 11.85%, due 03/09/28(d)     5,700,000  
    7,800,000     Colombia Government International Bond, 5.63%, due 02/26/44     9,425,812  
     

 

 

 
    15,870,671  
     

 

 

 
  Total Colombia     80,335,808  
     

 

 

 
      Congo Republic (Brazzaville) — 1.3%  
      Foreign Government Obligations  
    69,470,603     Republic of Congo, Reg S, Step Up, 6.00%, due 06/30/29(d)     53,818,007  
     

 

 

 
      Costa Rica — 1.6%  
      Foreign Government Agency — 0.2%  
    13,814,000     Instituto Costarricense de Electricidad, Reg S, 6.38%, due 05/15/43     8,957,516  
     

 

 

 
      Foreign Government Obligations — 1.4%  
    26,400,000     Costa Rica Government International Bond, Reg S, 9.20%, due 08/26/26     27,200,237  
    36,731,000     Costa Rica Government International Bond, Reg S, 7.16%, due 03/12/45     28,661,658  
     

 

 

 
    55,861,895  
     

 

 

 
  Total Costa Rica     64,819,411  
     

 

 

 
      Dominican Republic — 3.0%  
      Asset-Backed Securities — 0.4%  
    15,549,025     Autopistas Del Nordeste Ltd., Reg S, 9.39%, due 04/15/24     15,558,743  
     

 

 

 
      Foreign Government Obligations — 2.6%  
    17,687,000     Dominican Republic International Bond, Reg S, 8.63%, due 04/20/27     18,958,253  

DOP

    1,500,000,000     Dominican Republic International Bond, 144A, 10.38%, due 01/11/30     21,829,900  
    11,850,000     Dominican Republic International Bond, Reg S, 7.45%, due 04/30/44     11,661,141  
    35,811,000     Dominican Republic International Bond, Reg S, 6.85%, due 01/27/45     33,595,194  
    11,900,000     Dominican Republic International Bond, 144A, 6.40%, due 06/05/49     10,665,375  
    8,600,000     Dominican Republic International Bond, 144A, 5.88%, due 01/30/60     7,280,437  
     

 

 

 
    103,990,300  
     

 

 

 
  Total Dominican Republic     119,549,043  
     

 

 

 
      Ecuador — 1.6%  
      Foreign Government Obligations  
    12,250,000     Ecuador Government International Bond, Reg S, 9.63%, due 06/02/27(c)     4,489,625  
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
      Ecuador — continued  
      Foreign Government Obligations — continued  
    34,000,000     Ecuador Government International Bond, Reg S, 8.88%, due 10/23/27(c)     12,308,000  
    85,900,000     Ecuador Government International Bond, Reg S, 10.65%, due 01/31/29(c)     30,838,100  
    29,100,000     Ecuador Government International Bond, 144A, 9.50%, due 03/27/30(c)     10,577,850  
    20,600,000     Ecuador Social Bond Sarl, Zero Coupon,
144A, due 01/30/35
    6,449,833  
     

 

 

 
  Total Ecuador     64,663,408  
     

 

 

 
      Egypt — 1.9%  
      Foreign Government Obligations  
    24,000,000     Egypt Government International Bond, Reg S, 7.90%, due 02/21/48     22,162,500  
    33,900,000     Egypt Government International Bond, Reg S, 8.70%, due 03/01/49     33,126,656  
    17,400,000     Egypt Government International Bond, 144A, 8.88%, due 05/29/50     17,182,500  
    5,300,000     Egypt Government International Bond, Reg S, 8.15%, due 11/20/59     4,871,031  
     

 

 

 
  Total Egypt     77,342,687  
     

 

 

 
      El Salvador — 0.7%  
      Foreign Government Obligations  
    27,775,000     El Salvador Government International Bond, Reg S, 7.65%, due 06/15/35     22,167,922  
    10,400,000     El Salvador Government International Bond, 144A, 7.12%, due 01/20/50     7,965,750  
     

 

 

 
  Total El Salvador     30,133,672  
     

 

 

 
      Ethiopia — 0.2%  
      Foreign Government Obligations  
    6,690,000     Ethiopia International Bond, Reg S, 6.63%, due 12/11/24     6,215,428  
     

 

 

 
      Gabon — 0.5%  
      Foreign Government Obligations  
    5,879,378     Gabonese Republic, Reg S, 6.38%, due 12/12/24     5,304,301  
    15,800,000     Gabonese Republic, 144A, 6.63%, due 02/06/31     13,168,313  
     

 

 

 
  Total Gabon     18,472,614  
     

 

 

 
      Ghana — 1.4%  
      Foreign Government Agency — 0.3%  
    13,396,216     Saderea, Ltd., Reg S, 12.50%, due 11/30/26     12,341,264  
     

 

 

 
      Foreign Government Obligations — 1.1%  
    17,482,000     Republic of Ghana, Reg S, 10.75%, due 10/14/30     19,519,746  
    12,600,000     Republic of Ghana, Reg S, 8.95%, due 03/26/51     10,950,187  
    
Par Value†
    Description   Value ($)  
      Ghana — continued  
      Foreign Government Obligations — continued  
    14,300,000     Republic of Ghana, 144A, 8.75%, due 03/11/61     12,347,156  
     

 

 

 
    42,817,089  
     

 

 

 
  Total Ghana     55,158,353  
     

 

 

 
      Greece — 0.2%  
      Foreign Government Obligations  

EUR

    5,800,000     Hellenic Republic Government Bond, Reg S, Step Up, 3.65%, due 02/24/36     8,152,271  
     

 

 

 
      Grenada — 0.2%  
      Foreign Government Obligations  
    11,501,250     Grenada Government International Bond, Reg S, 7.00%, due 05/12/30     8,625,938  
     

 

 

 
      Guatemala — 0.8%  
      Foreign Government Obligations  
    11,765,000     Republic of Guatemala, Reg S, 8.13%, due 10/06/34     15,441,562  
    14,700,000     Republic of Guatemala, 144A, 6.13%, due 06/01/50     16,578,844  
     

 

 

 
    Total Guatemala     32,020,406  
     

 

 

 
      Honduras — 0.1%  
      Foreign Government Obligations  
    4,646,000     Honduras Government International Bond, Reg S, 6.25%, due 01/19/27     4,846,359  
     

 

 

 
      India — 1.2%  
      Corporate Debt — 1.0%  
    16,440,000     GMR Hyderabad International Airport Ltd, Reg S, 4.25%, due 10/27/27     13,342,088  
    27,700,000     Delhi International Airport Ltd., 144A, 6.45%, due 06/04/29     25,605,187  
     

 

 

 
        38,947,275  
     

 

 

 
      Foreign Government Agency — 0.2%  
    1,500,000     Export-Import Bank of India, 144A, 3.25%, due 01/15/30     1,466,719  
    7,500,000     Indian Railway Finance Corp., Ltd., 144A, 3.25%, due 02/13/30     7,413,281  
     

 

 

 
        8,880,000  
     

 

 

 
    Total India     47,827,275  
     

 

 

 
      Indonesia — 5.3%  
      Foreign Government Agency — 3.0%  
    14,700,000     Hutama Karya Persero PT, 144A, 3.75%, due 05/11/30     15,251,250  
    3,700,000     Indonesia Asahan Aluminium Persero PT, 144A, 5.45%, due 05/15/30     3,962,515  
    15,000,000     Indonesia Asahan Aluminium Persero PT, 144A, 5.80%, due 05/15/50     16,102,500  
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
      Indonesia — continued  
      Foreign Government Agency — continued  
    9,900,000     Pertamina Persero PT, 144A, 4.15%, due 02/25/60     9,504,990  
    18,400,000     Pertamina Persero PT, Reg S, 6.50%, due 05/27/41     21,804,000  
    8,100,000     Pertamina Persero PT, Reg S, 5.63%, due 05/20/43     9,039,094  
    8,000,000     Perusahaan Listrik Negara PT, Reg S, 6.15%, due 05/21/48     9,430,000  
    14,200,000     Perusahaan Listrik Negara PT, Reg S, 6.25%, due 01/25/49     16,844,750  
    23,200,000     Saka Energi Indonesia PT, Reg S, 4.45%, due 05/05/24     19,879,500  
     

 

 

 
        121,818,599  
     

 

 

 
      Foreign Government Obligations — 2.3%  
    4,100,000     Indonesia Government International Bond, 4.75%, due 02/11/29     4,740,625  
    43,091,000     Indonesia Government International Bond, Reg S, 6.63%, due 02/17/37     57,728,474  
    7,900,000     Indonesia Government International Bond, Reg S, 5.25%, due 01/08/47     9,754,031  
    16,500,000     Indonesia Government International Bond, 4.35%, due 01/11/48     18,289,219  
     

 

 

 
        90,512,349  
     

 

 

 
    Total Indonesia     212,330,948  
     

 

 

 
      Israel — 0.7%  
      Foreign Government Agency — 0.5%  
    12,323,000     Israel Electric Corp., Ltd., Reg S, 8.10%, due 12/15/96     17,868,350  
     

 

 

 
      Foreign Government Obligations — 0.2%  
    7,500,000     Israel Government International Bond, 3.88%, due 07/03/50     8,568,750  
     

 

 

 
    Total Israel     26,437,100  
     

 

 

 
      Ivory Coast — 0.8%  
      Foreign Government Obligations  

EUR

    33,200,000     Ivory Coast Government International Bond, Reg S, 6.63%, due 03/22/48     32,313,669  
     

 

 

 
      Jamaica — 1.0%  
      Corporate Debt — 0.2%  
    7,250,000     TransJamaican Highway Ltd, 144A, 5.75%, due 10/10/36     6,762,891  
     

 

 

 
      Foreign Government Agency — 0.3%  
    11,400,000     National Road Operating & Construction Co., Ltd., Reg S, 9.38%, due 11/10/24(d)     12,198,000  
     

 

 

 
      Foreign Government Obligations — 0.5%  
    20,675,000     Jamaica Government International Bond, 7.88%, due 07/28/45     22,832,953  
     

 

 

 
  Total Jamaica     41,793,844  
     

 

 

 
    
Par Value†
    Description   Value ($)  
      Jordan — 1.0%  
      Foreign Government Obligations  
    43,050,000     Jordan Government International Bond, Reg S, 7.38%, due 10/10/47     39,807,797  
     

 

 

 
      Kazakhstan — 1.7%  
      Foreign Government Agency — 1.0%  
    22,900,000     KazMunayGas National Co JSC, Reg S, 6.38%, due 10/24/48     27,644,594  
    9,000,000     Kazakhstan Temir Zholy Finance BV, Reg S, 6.95%, due 07/10/42     11,494,687  
     

 

 

 
    39,139,281  
     

 

 

 
      Foreign Government Obligations — 0.7%  
    21,299,000     Kazakhstan Government International Bond, Reg S, 6.50%, due 07/21/45     30,830,303  
     

 

 

 
  Total Kazakhstan     69,969,584  
     

 

 

 
      Kenya — 0.8%  
      Foreign Government Obligations  
    36,400,000     Kenya Government International Bond, Reg S, 8.25%, due 02/28/48     33,954,375  
     

 

 

 
      Kuwait — 0.4%  
      Corporate Debt  
    7,300,000     Equate Petrochemical BV, Reg S, 4.25%, due 11/03/26     7,236,125  
    6,700,000     MEGlobal Canada ULC, 144A, 5.88%, due 05/18/30     7,110,375  
     

 

 

 
  Total Kuwait     14,346,500  
     

 

 

 
      Lebanon — 0.5%  
      Foreign Government Obligations  
    15,000,000     Lebanon Government International Bond, Reg S, 6.85%, due 03/23/27(c)     2,587,500  
    41,605,000     Lebanon Government International Bond, Reg S, 7.15%, due 11/20/31(c)     6,344,763  
    18,800,000     Lebanon Government International Bond, 8.20%, due 05/17/33(c)     2,914,000  
    42,944,000     Lebanon Government International Bond, 8.25%, due 05/17/34(c)     6,656,320  
     

 

 

 
  Total Lebanon     18,502,583  
     

 

 

 
      Malaysia — 0.9%  
      Foreign Government Agency — 0.9%  
    10,700,000     1MDB Global Investments Ltd, Reg S, 4.40%, due 03/09/23     9,899,172  
    9,600,000     Petronas Capital Ltd., 144A, 4.55%, due 04/21/50     11,839,200  
    11,700,000     Petronas Capital Ltd., 144A, 4.80%, due 04/21/60     15,401,939  
     

 

 

 
  Total Malaysia     37,140,311  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
      Mexico — 6.2%  
      Foreign Government Agency — 3.8%  
    27,884,000     Petroleos Mexicanos, 6.35%, due 02/12/48     20,333,537  
    6,400,000     Petroleos Mexicanos, Reg S, 6.63%, due 09/29/49     4,714,000  
    131,800,000     Petroleos Mexicanos, 144A, 7.69%, due 01/23/50     109,723,500  
    22,986,000     Petroleos Mexicanos, 144A, 6.95%, due 01/28/60     17,561,304  
     

 

 

 
    152,332,341  
     

 

 

 
      Foreign Government Obligations — 2.4%  
    10,700,000     United Mexican States, 5.00%, due 04/27/51     11,502,500  
    19,578,000     United Mexican States, 5.75%, due 10/12/2110     21,254,366  

GBP

    50,396,000     United Mexican States, 5.63%, due 03/19/2114     63,794,501  
     

 

 

 
    96,551,367  
     

 

 

 
  Total Mexico     248,883,708  
     

 

 

 
      Morocco — 0.4%  
      Foreign Government Agency  
    14,500,000     Office Cherifien des Phosphates SA, Reg S, 6.88%, due 04/25/44     16,303,438  
     

 

 

 
      Mozambique — 0.2%  
      Foreign Government Obligations  
    9,276,000     Mozambique International Bond, Reg S, 5.00%, due 09/15/31     7,354,129  
     

 

 

 
      Nigeria — 0.8%  
      Foreign Government Obligations  
    7,400,000     Nigeria Government International Bond, Reg S, 8.75%, due 01/21/31     6,944,438  
    10,700,000     Nigeria Government International Bond, Reg S, 7.70%, due 02/23/38     9,078,281  
    10,750,000     Nigeria Government International Bond, Reg S, 7.63%, due 11/28/47     8,868,750  
    7,600,000     Nigeria Government International Bond, Reg S, 9.25%, due 01/21/49     6,970,625  
     

 

 

 
  Total Nigeria     31,862,094  
     

 

 

 
      Oman — 2.6%  
      Corporate Debt — 0.1%  
    6,100,000     Lamar Funding Ltd., Reg S, 3.96%, due 05/07/25     5,373,719  
     

 

 

 
      Foreign Government Obligations — 2.5%  
    33,800,000     Oman Government International Bond, 144A, 6.00%, due 08/01/29     28,170,187  
    19,000,000     Oman Government International Bond, Reg S, 6.50%, due 03/08/47     14,250,000  
    
Par Value†
    Description   Value ($)  
      Oman — continued  
      Foreign Government Obligations — continued  
    74,900,000     Oman Government International Bond, Reg S, 6.75%, due 01/17/48     56,385,656  
     

 

 

 
    98,805,843  
     

 

 

 
  Total Oman     104,179,562  
     

 

 

 
      Pakistan — 0.9%  
      Foreign Government Obligations  
    39,562,000     Islamic Republic of Pakistan, Reg S, 7.88%, due 03/31/36     36,347,587  
     

 

 

 
      Panama — 1.8%  
      Foreign Government Agency — 0.5%  
    20,409,380     Aeropuerto Internacional de Tocumen SA, Reg S, 6.00%, due 11/18/48     21,110,952  
     

 

 

 
      Foreign Government Obligations — 1.3%  
    7,951,000     Panama Government International Bond, 8.13%, due 04/28/34     11,454,409  
    9,000,000     Panama Government International Bond, 4.30%, due 04/29/53     10,386,563  
    20,800,000     Panama Government International Bond, 4.50%, due 04/01/56     24,523,200  
    4,200,000     Panama Notas del Tesoro, 144A, 3.75%, due 04/17/26     4,321,800  
     

 

 

 
    50,685,972  
     

 

 

 
  Total Panama     71,796,924  
     

 

 

 
      Papua New Guinea — 0.0%  
      Foreign Government Obligations  
    1,400,000     Papua New Guinea Government International Bond, Reg S, 8.38%, due 10/04/28     1,239,000  
     

 

 

 
      Peru — 1.5%  
      Foreign Government Agency — 1.1%  
    10,543,089     Peru Enhanced Pass-Through Finance Ltd., Reg S, Zero Coupon, due 06/02/25(d)     10,054,311  
    30,595,000     Petroleos del Peru SA, Reg S, 5.63%, due 06/19/47     34,624,937  
     

 

 

 
    44,679,248  
     

 

 

 
      Foreign Government Obligations — 0.4%  
    14,900,000     Peruvian Government International Bond, 2.78%, due 01/23/31     15,674,800  
     

 

 

 
  Total Peru     60,354,048  
     

 

 

 
      Philippines — 2.6%  
      Foreign Government Agency  
    4,700,000     Bangko Sentral ng Pilipinas Bond, 8.60%, due 06/15/97(d)     13,079,863  
    23,300,000     Central Bank of Philippines, Series A, 8.60%, due 06/15/27     31,600,625  
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
      Philippines — continued  
      Foreign Government Agency — continued  
    42,012,000     National Power Corp., Global Bond, 9.63%, due 05/15/28     60,969,915  
     

 

 

 
  Total Philippines     105,650,403  
     

 

 

 
      Qatar — 2.5%  
      Foreign Government Obligations  
    7,300,000     Qatar Government International Bond, 144A, 3.40%, due 04/16/25     7,806,438  
    17,000,000     Qatar Government International Bond, 144A, 3.75%, due 04/16/30     18,901,875  
    49,000,000     Qatar Government International Bond, 144A, 4.40%, due 04/16/50     58,187,500  
    11,000,000     Qatar Government International Bond, Reg S, 5.10%, due 04/23/48     14,385,937  
     

 

 

 
  Total Qatar     99,281,750  
     

 

 

 
      Romania — 0.4%  
      Foreign Government Obligations  
    4,500,000     Romanian Government International Bond, Reg S, 5.13%, due 06/15/48     5,096,250  

EUR

    10,900,000     Romanian Government International Bond, 144A, 3.38%, due 01/28/50     11,555,070  
     

 

 

 
  Total Romania     16,651,320  
     

 

 

 
      Russia — 3.2%  
      Foreign Government Agency — 0.9%  
    11,867,000     Gazprom OAO Via Gaz Capital SA, Reg S, 8.63%, due 04/28/34     18,167,635  
    19,400,000     GTLK Europe Capital DAC, Reg S, 4.65%, due 03/10/27     18,890,750  
     

 

 

 
    37,058,385  
     

 

 

 
      Foreign Government Obligations — 2.3%  
    34,000,000     Russian Foreign Bond, 144A, 5.10%, due 03/28/35     42,553,125  
    8,800,000     Russian Foreign Bond, Reg S, 5.10%, due 03/28/35     11,013,750  
    6,000,000     Russian Foreign Bond, Reg S, 5.88%, due 09/16/43     8,563,125  
    20,800,000     Russian Foreign Bond, Reg S, 5.25%, due 06/23/47     28,054,000  
     

 

 

 
    90,184,000  
     

 

 

 
  Total Russia     127,242,385  
     

 

 

 
      Rwanda — 0.1%  
      Foreign Government Obligations  
    5,487,000     Rwanda International Government Bond, Reg S, 6.63%, due 05/02/23     5,219,509  
     

 

 

 
    
Par Value†
    Description   Value ($)  
      Saudi Arabia — 2.4%  
      Corporate Debt — 0.7%  
    26,550,000     ACWA Power Management And Investments One Ltd, Reg S, 5.95%, due 12/15/39     26,948,250  
     

 

 

 
      Foreign Government Obligations — 1.7%  
    62,300,000     Saudi Government International Bond, 144A, 4.50%, due 04/22/60     68,530,000  
     

 

 

 
  Total Saudi Arabia     95,478,250  
     

 

 

 
      Senegal — 0.4%  
      Foreign Government Obligations  
    17,400,000     Senegal Government International Bond, Reg S, 6.75%, due 03/13/48     15,670,875  
     

 

 

 
      South Africa — 3.1%  
      Foreign Government Agency — 0.7%  
    13,600,000     Eskom Holdings SOC, Ltd., Reg S, 7.13%, due 02/11/25     12,310,126  
    13,600,000     Eskom Holdings SOC, Ltd., Reg S, 8.45%, due 08/10/28     12,257,000  

ZAR

    163,000,000     Eskom Holdings SOC, Ltd., Zero
Coupon, due 12/31/32
    1,450,210  

ZAR

    27,300,000     Transnet, Ltd., 13.50%, due 04/18/28     1,878,321  
     

 

 

 
    27,895,657  
     

 

 

 
      Foreign Government Obligations — 2.4%  
    13,700,000     Republic of South Africa Government International Bond, 5.65%, due 09/27/47     11,165,500  
    12,600,000     Republic of South Africa Government International Bond, 6.30%, due 06/22/48     11,210,062  
    89,200,000     Republic of South Africa Government International Bond, 5.75%, due 09/30/49     72,698,000  
     

 

 

 
    95,073,562  
     

 

 

 
  Total South Africa     122,969,219  
     

 

 

 
      Sri Lanka — 1.2%  
      Foreign Government Obligations  
    9,280,000     Sri Lanka Government International Bond, Reg S, 6.83%, due 07/18/26     5,048,900  
    13,644,000     Sri Lanka Government International Bond, Reg S, 6.20%, due 05/11/27     7,431,716  
    33,700,000     Sri Lanka Government International Bond, Reg S, 6.75%, due 04/18/28     18,229,594  
    5,300,000     Sri Lanka Government International Bond, Reg S, 7.85%, due 03/14/29     2,883,531  
    30,800,000     Sri Lanka Government International Bond, 144A, 7.55%, due 03/28/30     16,622,375  
     

 

 

 
  Total Sri Lanka     50,216,116  
     

 

 

 
      SupraNational — 0.4%  
      Foreign Government Agency  

TRY

    263,000,000     International Finance Corp., Zero Coupon, Reg S, due 02/15/29     14,625,450  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
      Suriname — 0.3%  
      Foreign Government Obligations  
    19,759,000     Republic of Suriname, Reg S, 9.25%, due 10/26/26     5,793,890  
    14,000,000     Republic of Suriname, 144A, 9.88%, due 12/30/23     7,008,728  
     

 

 

 
  Total Suriname     12,802,618  
     

 

 

 
      Tajikistan — 0.2%  
      Foreign Government Obligations  
    12,674,000     Republic of Tajikistan International Bond, Reg S, 7.13%, due 09/14/27     9,180,729  
     

 

 

 
      Thailand — 0.2%  
      Foreign Government Agency  
    7,300,000     PTTEP Treasury Center Co Ltd, 144A, 3.90%, due 12/06/59     7,165,406  
     

 

 

 
      Trinidad And Tobago — 0.8%  
      Foreign Government Agency  
    9,800,000     Telecommunications Services of Trinidad & Tobago Ltd, 144A, 8.88%, due 10/18/29     8,930,250  
    4,027,000     Trinidad Generation UnLtd, Reg S, 5.25%, due 11/04/27     3,468,254  
    13,521,000     Trinidad Petroleum Holdings Ltd, 144A, 9.75%, due 06/15/26     11,792,847  
    10,867,000     Trinidad Petroleum Holdings Ltd, Reg S, 9.75%, due 06/15/26     9,478,061  
     

 

 

 
  Total Trinidad And Tobago     33,669,412  
     

 

 

 
      Tunisia — 1.4%  
      Foreign Government Agency  

JPY

    7,340,000,000     Banque Centrale de Tunisie SA, 4.30%, due 08/02/30(d)     40,867,924  

JPY

    2,500,000,000     Banque Centrale de Tunisie SA, 4.20%, due 03/17/31(d)     13,881,058  
     

 

 

 
  Total Tunisia     54,748,982  
     

 

 

 
      Turkey — 5.5%  
      Corporate Debt — 0.0%  
    1,600,000     Turkiye Sinai Kalkinma Bankasi AS, 144A, 6.00%, due 01/23/25     1,503,500  
     

 

 

 
      Foreign Government Agency — 1.5%  
    12,400,000     Export Credit Bank of Turkey, Reg S, 6.13%, due 05/03/24     11,967,612  
    18,950,000     Petkim Petrokimya Holding AS, Reg S, 5.88%, due 01/26/23     18,126,859  
    13,378,000     QNB Finansbank AS, Reg S, 6.88%, due 09/07/24     13,561,948  
    5,000,000     TC Ziraat Bankasi AS, Reg S, 5.13%, due 09/29/23     4,756,250  
    
Par Value†
    Description   Value ($)  
      Turkey — continued  
      Foreign Government Agency — continued  
    11,200,000     Turkiye Vakiflar Bankasi TAO, Reg S, 5.75%, due 01/30/23     10,923,500  
     

 

 

 
    59,336,169  
     

 

 

 
      Foreign Government Obligations — 4.0%  
    24,100,000     Republic of Turkey, 7.63%, due 04/26/29     24,551,875  
    16,544,000     Republic of Turkey, 6.75%, due 05/30/40     14,744,840  
    59,402,000     Republic of Turkey, 6.00%, due 01/14/41     48,486,882  
    29,600,000     Republic of Turkey, 6.63%, due 02/17/45     25,456,000  
    57,813,000     Republic of Turkey, 5.75%, due 05/11/47     45,220,606  
     

 

 

 
    158,460,203  
     

 

 

 
  Total Turkey     219,299,872  
     

 

 

 
      Ukraine — 2.8%  
      Foreign Government Agency — 0.6%  
    10,700,000     NAK Naftogaz Ukraine via Kondor Finance Plc, 144A, 7.63%, due 11/08/26     9,810,562  

EUR

    3,800,000     NAK Naftogaz Ukraine via Kondor Finance Plc, Reg S, 7.13%, due 07/19/24     3,951,918  
    4,094,500     Oschadbank Via SSB #1 Plc, Reg S, Step Up, 9.63%, due 03/20/25     4,114,966  
    5,100,000     Ukreximbank Via Biz Finance Plc, Reg S, 9.75%, due 01/22/25     5,125,500  
     

 

 

 
    23,002,946  
     

 

 

 
      Foreign Government Obligations — 2.2%  
    3,019,000     Ukraine Government International Bond, Reg S, 7.75%, due 09/01/21     3,042,397  
    6,585,000     Ukraine Government International Bond, Reg S, 7.75%, due 09/01/23     6,624,510  
    8,585,000     Ukraine Government International Bond, Reg S, 7.75%, due 09/01/24     8,619,340  
    6,585,000     Ukraine Government International Bond, Reg S, 7.75%, due 09/01/25     6,604,755  
    11,019,000     Ukraine Government International Bond, Reg S, 7.75%, due 09/01/26     10,974,924  
    3,869,000     Ukraine Government International Bond, Reg S, 7.75%, due 09/01/27     3,826,683  
    35,900,000     Ukraine Government International Bond, Reg S, 9.75%, due 11/01/28     38,547,625  
    8,400,000     Ukraine Government International Bond, Reg S, 7.38%, due 09/25/32     8,001,000  

EUR

    3,700,000     Ukraine Government International Bond, 144A, 6.75%, due 06/20/26     3,966,002  
     

 

 

 
    90,207,236  
     

 

 

 
  Total Ukraine     113,210,182  
     

 

 

 
      United Arab Emirates — 1.0%  
      Foreign Government Agency — 0.3%  
    14,000,000     DP World Plc, Reg S, 4.70%, due 09/30/49     12,810,000  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
      United Arab Emirates — continued  
      Foreign Government Obligations — 0.7%  
    26,300,000     Abu Dhabi Government International Bond, 144A, 3.13%, due 09/30/49     26,439,719  
     

 

 

 
  Total United Arab Emirates     39,249,719  
     

 

 

 
      United States — 3.5%  
      Asset-Backed Securities — 0.4%  
    2,194,153     Countrywide Home Equity Loan Trust, Series 05-F, Class 2A, AMBAC, Variable Rate, 1 mo. LIBOR + 0.24%, 0.42%, due 12/15/35     2,055,616  
    1,054,265     Countrywide Home Equity Loan Trust, Series 05-H, Class 2A, FGIC, Variable Rate, 1 mo. LIBOR + 0.24%, 0.42%, due 12/15/35     1,015,050  
    1,606,837     Countrywide Home Equity Loan Trust, Series 06-D, Class 2A, XLCA, Variable Rate, 1 mo. LIBOR + 0.20%, 0.38%, due 05/15/36     1,395,020  
    9,394,174     Morgan Stanley IXIS Real Estate Capital Trust, Series 06-2, Class A3, Variable Rate, 1 mo. LIBOR + 0.15%, 0.32%, due 11/25/36     4,078,816  
    9,519,430     Morgan Stanley IXIS Real Estate Capital Trust, Series 06-2, Class A4, Variable Rate, 1 mo. LIBOR + 0.22%, 0.39%, due 11/25/36     4,192,405  
    5,093,981     Wamu Asset-Backed Certificates, Series 07-HE2, Class 2A4, Variable Rate, 1 mo. LIBOR + 0.36%, 0.53%, due 04/25/37     2,421,964  
     

 

 

 
    15,158,871  
     

 

 

 
      Corporate Debt — 0.0%  
    385,402     AMBAC Assurance Corp., 144A, 5.10%, due 06/07/20     514,030  
    1,449,277     AMBAC LSNI LLC, 3 mo. LIBOR + 5.00%, 6.45%, due 02/12/23     1,391,306  
     

 

 

 
    1,905,336  
     

 

 

 
      U.S. Government — 3.1%  
    79,834,300     U.S. Treasury Inflation Indexed Note, 0.13%, due 01/15/22(e)     80,014,195  
    1,500,000     U.S. Treasury Note, 1.38%, due 01/31/21(f)     1,511,777  
    20,000,000     U.S. Treasury Note, 1.63%, due 12/31/21     20,454,688  
    7,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 0.17%, due 07/31/20(f)     7,000,384  
    15,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.30%, 0.43%, due 10/31/21(f)     15,049,188  
     

 

 

 
        124,030,232  
     

 

 

 
    Total United States     141,094,439  
     

 

 

 
          Uruguay — 1.3%  
          Foreign Government Obligations  
    42,218,000     Uruguay Government International Bond, 5.10%, due 06/18/50     51,730,243  
     

 

 

 
    
Par Value†
    Description   Value ($)  
          Uzbekistan — 0.3%  
          Foreign Government Obligations  
    11,700,000     Republic of Uzbekistan Bond, Reg S, 5.38%, due 02/20/29     12,657,938  
     

 

 

 
          Venezuela — 0.8%  
          Foreign Government Agency — 0.3%  
    111,465,000     Electricidad de Caracas Finance BV, Reg S, 8.50%, due 04/10/49(c)(d)     5,573,250  
    176,000,000     Petroleos de Venezuela SA, Reg S, 6.00%, due 05/16/24(c)(d)     5,544,000  
    61,967,000     Petroleos de Venezuela SA, Reg S, 6.00%, due 11/15/26(c)(d)     1,951,961  
     

 

 

 
        13,069,211  
     

 

 

 
          Foreign Government Obligations — 0.5%  
    7,000,000     Venezuela Government International Bond, 9.38%, due 01/13/34(c)(d)     385,000  
    19,028,000     Venezuela Government International Bond, Reg S, 7.75%, due 10/13/19(c)(d)     1,046,540  
    36,600,000     Venezuela Government International Bond, Reg S, 6.00%, due 12/09/20(c)(d)     2,013,000  
    23,750,000     Venezuela Government International Bond, Reg S, 12.75%, due 08/23/22(c)(d)     1,306,250  
    172,793,000     Venezuela Government International Bond, Reg S, 9.00%, due 05/07/23(c)(d)     9,503,615  
    68,700,000     Venezuela Government International Bond, Reg S, 11.95%, due 08/05/31(c)(d)     3,778,500  
     

 

 

 
        18,032,905  
     

 

 

 
    Total Venezuela     31,102,116  
     

 

 

 
          Vietnam — 0.7%  
          Foreign Government Agency — 0.5%  
    28,058,000     Debt and Asset Trading Corp., Reg S, 1.00%, due 10/10/25     21,236,399  
     

 

 

 
          Foreign Government Obligations — 0.2%  
    6,498,000     Socialist Republic of Vietnam, Series 30 Yr, Variable Rate, 6 mo. LIBOR + 0.81%, 2.63%, due 03/13/28(d)     5,848,200  
     

 

 

 
    Total Vietnam     27,084,599  
     

 

 

 
          Zambia — 0.3%  
          Foreign Government Obligations  
    3,600,000     Zambia Government International Bond, Reg S, 5.38%, due 09/20/22     1,614,375  
    27,572,000     Zambia Government International Bond, Reg S, 8.97%, due 07/30/27     12,347,086  
     

 

 

 
    Total Zambia     13,961,461  
     

 

 

 
    TOTAL DEBT OBLIGATIONS (COST $4,338,196,555)     3,796,490,640  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
          LOAN ASSIGNMENTS — 0.3%  
          Chad — 0.2%  
    8,247,532     Glencore UK (Chad) Loan Agreement, Tranche A, Variable Rate, 3 mo. LIBOR + 2.00%, 3.89%, due 09/30/25(d)     5,228,935  
    2,954,797     Glencore UK (Chad) Loan Agreement, Tranche B, Variable Rate, 3 mo. LIBOR + 2.25%, 4.14%, due 12/31/27(d)     1,663,551  
     

 

 

 
  Total Chad     6,892,486  
     

 

 

 
      Indonesia — 0.0%      

EUR

    197,725     Republic of Indonesia, Indonesia Paris Club Debt, 5.10%, due 06/01/21(a)     211,373  
     

 

 

 
      Kenya — 0.1%      
    6,083,333     Republic of Kenya Loan Agreement, 9.17%, due 04/10/25(a)     5,415,856  
     

 

 

 
  TOTAL LOAN ASSIGNMENTS
(COST $14,801,010)
    12,519,715  
     

 

 

 
      LOAN PARTICIPATIONS — 0.9%  
      Angola — 0.6%      
    14,550,000     Republic of Angola Loan Agreement (Participation with Development Bank of Southern Africa), 6 mo. LIBOR + 6.25%, 8.55%, due 12/13/23(d)     10,185,000  
    8,324,500     Republic of Angola Loan Agreement (Participation with Development Bank of Southern Africa), 6 mo. LIBOR + 6.25%, 8.55%, due 12/20/23(d)     5,827,150  
    14,250,000     Republic of Angola Loan Agreement (Participation with GE Capital EFS Financing, Inc), 7.50%, due 08/30/24(d)     7,837,500  
     

 

 

 
  Total Angola     23,849,650  
     

 

 

 
      Egypt — 0.0%      

CHF

    27,358     Paris Club Loan Agreement (Participation with Standard Chartered Bank), Zero Coupon, due 01/03/24(a)     22,902  
     

 

 

 
      Iraq — 0.3%      

EUR

    895,375     Republic of Iraq Paris Club Loan Agreement (Participation with Credit Suisse), 4.50%, due 12/30/27(a)     645,405  

JPY

    2,318,433,288     Republic of Iraq Paris Club Loan Agreement (Participation with Deutsche Bank), 2.57%, due 01/01/28(d)     7,951,712  

JPY

    302,926,475     Republic of Iraq Paris Club Loan Agreement (Participation with Deutsche Bank), 2.57%, due 01/01/28(d)     1,039,143  

JPY

    128,758,461     Republic of Iraq Paris Club Loan Agreement (Participation with Deutsche Bank), 2.57%, due 01/01/28(d)     433,569  
     

 

 

 
  Total Iraq     10,069,829  
     

 

 

 
Par Value† /
Shares
    Description   Value ($)  
      Russia — 0.0%      
    76,893,500     Russian Foreign Trade Obligations (Participation with GML
International Ltd.)(c)(d)
    3  
     

 

 

 
  TOTAL LOAN PARTICIPATIONS
(COST $70,637,501)
    33,942,384  
     

 

 

 
     
  MUTUAL FUNDS — 1.9%

 

      United States — 1.9%      
      Affiliated Issuers — 1.9%  
    14,838,144     GMO U.S. Treasury Fund     74,784,247  
     

 

 

 
  TOTAL MUTUAL FUNDS
(COST $74,296,430)
    74,784,247  
     

 

 

 
      RIGHTS/WARRANTS — 0.3%  
      Argentina — 0.0%      

EUR

    335,089,675     Republic of Argentina GDP Linked, Variable Rate, Expires 12/15/35(e)     813,677  

JPY

    740,189,000     Republic of Argentina GDP Linked, Variable Rate, Expires 12/15/35(c)(d)(e)     446,124  
     

 

 

 
    Total Argentina     1,259,801  
     

 

 

 
          Nigeria — 0.0%      
    28,000     Central Bank of Nigeria Oil Warrants, Reg S, Variable Rate, Expires 11/15/20(d)(e)     298,667  
     

 

 

 
          Ukraine — 0.3%      
    14,446,000     Government of Ukraine GDP Linked, Reg S, Variable Rate, Expires 05/31/40(e)     12,238,470  
     

 

 

 
          Uruguay — 0.0%      
    4,000,000     Banco Central Del Uruguay Value Recovery Rights, Variable Rate, Expires 01/02/21(a)(e)      
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $49,622,469)
    13,796,938  
     

 

 

 
    SHORT-TERM INVESTMENTS — 0.2%

 

          Money Market Funds      
    8,795,218     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12%(g)     8,795,218  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $8,795,218)
    8,795,218  
     

 

 

 
    TOTAL INVESTMENTS — 98.0%
(Cost $4,556,349,183)
    3,940,329,142  
    Other Assets and Liabilities (net) — 2.0%     81,050,415  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $4,021,379,557  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

Forward Currency Contracts

 

Settlement
Date
    

Counterparty

  Currency
Sold
    Currency
Purchased
       Net Unrealized
Appreciation
(Depreciation) ($)
 
07/17/2020      MSCI     EUR          92,161,600       USD          100,798,985          (1,600,094
07/17/2020      JPM     GBP          49,311,000       USD          61,546,785          636,111  
07/16/2020      JPM     TRY          84,000,000       USD          11,894,647          (238,387
07/17/2020      BCLY     USD          18,659,338       JPY          2,000,000,000          (101,801
07/17/2020      DB     USD          13,936,700       JPY          1,500,000,000          (18,547
07/17/2020      JPM     USD          13,952,845       JPY          1,500,000,000          (34,692
07/17/2020      MSCI     USD          25,032,389       JPY          2,690,000,000          (72,501
                       

 

 

 
     $ (1,429,911
                       

 

 

 

Reverse Repurchase Agreements

 

Average balance outstanding    $ (10,300,000
Average interest rate (net)      (0.10 )% 
Maximum balance outstanding    $ (10,300,000

Average balance outstanding was calculated based on daily face value balances outstanding during the period that the Fund had entered into reverse repurchase agreements. Average interest rate was calculated based on interest received and/or paid during the period that the Fund had entered into the reverse repurchase agreements. The Fund had no reverse repurchase agreements at the end of the period.

Credit Linked Options

 

Principal /

Notional Amount

    Expiration
Date
 

Description

  Premiums
Paid/(Received) ($)
    Value ($)  
Put Sold   USD     45,000,000     01/20/2021   Republic of Philippines Credit Linked Put Option, Fund receives premium of 0.25% (OTC) (CP-DB)(a)     (672,813     85,921  
Put Sold   USD     46,000,000     04/13/2021   Lebanon Gap Credit Linked Put Option, Fund receives premium of 0.50% (OTC) (CP-DB)(a)     (947,472     (69,000
Put Sold   USD     9,746,000     01/24/2024   Republic of Philippines Credit Linked Put Option, Fund receives premium of 0.25% (OTC) (CP-DB)(a)     (57,163     92,657  
Put Sold   USD     50,797,000     04/15/2024   Banco do Brasil Credit Linked Put Option, Fund receives premium of 0.30% (OTC) (CP-DB)(a)     (978,283     35,491  
Put Sold   USD     100,000,000     04/15/2024   Banco do Brasil Credit Linked Put Option, Fund receives premium of 0.44% (OTC) (CP-DB)(a)     (3,379,444     (693,506
         

 

 

   

 

 

 
          $ (6,035,175   $ (548,437
         

 

 

   

 

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

 

Notional

Amount

  Annual
Premium
    Implied
Credit
Spread(1)
    Maximum
Potential
Amount
of Future
Payments by
the Fund
Under the
Contract(2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

                   

CDX-EMS.31.V1-5Y

  USD   149,000,000     1.00%       2.95%       N/A       06/20/2024       Quarterly     $ 4,656,250     $ 10,998,286     $ 6,342,036  
               

 

 

   

 

 

   

 

 

 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

OTC Credit Default Swaps

 

Reference Entity

 

Counterparty

 

Notional

Amount

    Annual
Premium
    Implied
Credit
Spread(1)
    Maximum
Potential
Amount
of Future
Payments by
the Fund
Under the
Contract(2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

                     

Commonwealth of Bahamas

  DB   EUR     51,746,000       1.00%       4.46%       N/A       12/20/2020       Quarterly       7,730,397       1,115,677       (6,614,720

Republic of South Africa

  CITI   USD     22,400,000       1.00%       2.66%       N/A       06/20/2022       Quarterly       741,652       743,972       2,320  

Republic of South Africa

  GS   USD     3,800,000       1.00%       2.66%       N/A       06/20/2022       Quarterly       213,052       126,209       (86,843

Petrobras Global Finance BV

  CITI   USD     37,000,000       1.00%       4.18%       N/A       06/20/2024       Quarterly       1,923,458       4,306,326       2,382,868  

Republic of Argentina

  BOA   USD     2,500,000       5.00%       69.09%       N/A       06/20/2024       Quarterly       359,815       1,704,195       1,344,380  

Republic of Argentina

  CITI   USD     10,000,000       5.00%       69.09%       N/A       06/20/2024       Quarterly       1,476,727       6,816,778       5,340,051  

Commonwealth of Bahamas

  DB   EUR     44,558,436       1.00%       6.95%       N/A       06/20/2025       Quarterly       6,171,081       7,246,545       1,075,464  

Republic of South Africa

  GS   USD     38,000,000       1.00%       3.49%       N/A       06/20/2025       Quarterly       4,401,764       4,289,981       (111,783

Republic of South Africa

  GS   USD     3,800,000       1.00%       3.49%       N/A       06/20/2025       Quarterly       548,468       428,998       (119,470

Republic of Turkey

  CITI   USD     19,000,000       1.00%       5.59%       N/A       06/20/2025       Quarterly       2,904,145       3,690,619       786,474  

United States of Mexico

  GS   USD     20,000,000       1.00%       2.36%       N/A       06/20/2029       Quarterly       1,589,641       2,133,237       543,596  

United States of Mexico

  GS   USD     20,000,000       1.00%       2.50%       N/A       09/20/2031       Quarterly       2,640,655       2,786,802       146,147  

Sell Protection^:

 

Commonwealth of Bahamas

  DB   USD     61,270,000       1.00%       4.46%       61,270,000 USD       12/20/2020       Quarterly       (7,515,364     (1,186,676     6,328,688  

Commonwealth of Bahamas

  DB   USD     3,487,000       1.00%       6.67%       3,487,000 USD       06/20/2023       Quarterly       (641,463     (538,800     102,663  

Commonwealth of Bahamas

  DB   USD     6,975,000       1.00%       6.67%       6,975,000 USD       06/20/2023       Quarterly       (1,263,915     (1,077,755     186,160  

Commonwealth of Bahamas

  DB   USD     59,796,571       1.00%       6.93%       59,796,571 USD       06/20/2025       Quarterly       (6,983,424     (8,640,006     (1,656,582

Russia

  GS   USD     2,436,000       1.00%       1.29%       2,436,000 USD       12/20/2025       Quarterly       (238,041     (38,152     199,889  

Russia

  GS   USD     8,487,000       1.00%       1.46%       8,487,000 USD       12/20/2026       Quarterly       (1,059,663     (238,279     821,384  

Republic of Malaysia

  CITI   USD     17,200,000       1.00%       1.28%       17,200,000 USD       12/20/2028       Quarterly       (845,599     (379,775     465,824  

Republic of Brazil

  JPM   USD     10,000,000       1.00%       3.58%       10,000,000 USD       03/20/2030       Quarterly       (1,418,590     (1,999,846     (581,256
                 

 

 

   

 

 

   

 

 

 
                  $ 10,734,796     $ 21,290,050     $ 10,555,254  
                 

 

 

   

 

 

   

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, 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.

 

    

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, 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 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.

 

(1) 

As of May 31, 2020, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads 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 contract.

 

(2) 

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

OTC Cross-Currency Interest Rate Swaps

 

Fund Pays

   Fund Receives     

Counterparty

   Notional
Amount
    

Expiration
Date

   Periodic
Payment
Frequency
     Premiums
Paid/
(Received) ($)
     Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

(0.22)%

     3 Month USD LIBOR      GS      JPY        14,852,761,000      04/28/2025      Quarterly      $      $ (2,899,906   $ (2,899,906
                    

 

 

    

 

 

   

 

 

 

Centrally Cleared Interest Rate Swaps

 

Fund Pays

   Fund Receives     

Notional
Amount

     Expiration
Date
    

Periodic
Payment
Frequency

   Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

0.53%

     6 Month EURIBOR      EUR      30,000,000        01/24/2050      Semi-Annual      (29,167     (4,941,690     (4,912,523

0.18%

     GBP — SONIA-COMPOUND      GBP      6,410,000        04/22/2050      Annually      7,914       (100,213     (108,127
                 

 

 

   

 

 

   

 

 

 
   $ (21,253   $ (5,041,903   $ (5,020,650
                 

 

 

   

 

 

   

 

 

 

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(b)

Security is backed by U.S. Treasury Bonds.

 

(c)

Security is in default.

 

(d)

Investment valued using significant unobservable inputs.

 

(e)

Indexed security in which price and/or coupon is linked to the price of a specific instrument or financial statistic.

 

(f)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(g)

The rate disclosed is the 7 day net yield as of May 31, 2020.

The rates shown on variable rate notes are the current interest rates at May 31, 2020, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

144A - Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional investors.

AMBAC - Insured as to the payment of principal and interest by AMBAC Assurance Corporation.

CJSC - Closed Joint-Stock Company

CP - Counterparty

EURIBOR - Euro Interbank Offered Rate

FGIC - Insured as to the payment of principal and interest by Financial Guaranty Insurance Corporation.

GDP - Gross Domestic Product

JSC - Joint-Stock Company

LIBOR - London Interbank Offered Rate

OJSC - Open Joint-Stock Company

OTC - Over-the-Counter

Reg S - Security exempt from registration under Regulation S of the Securities Act of 1933, which exempts from registration securities offered and sold outside the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.

SONIA - Sterling Overnight Interbank Average Rate

USBM - U.S. Treasury 3 Month Bill Money Market Yield.

USD LIBOR - London Interbank Offered Rate denominated in United States Dollar.

XLCA - Insured as to the payment of principal and interest by XL Capital Assurance.

Counterparty Abbreviations:

BCLY - Barclays Bank PLC

BOA - Bank of America, N.A.

CITI - Citibank N.A.

DB - Deutsche Bank AG

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MSCI - Morgan Stanley & Co. International PLC

Currency Abbreviations:

CHF - Swiss Franc

DOP - Dominican Peso

EUR - Euro

GBP - British Pound

JPY - Japanese Yen

TRY - Turkish Lira

USD - United States Dollar

ZAR - South African Rand

 


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
    DEBT OBLIGATIONS — 15.9%

 

          Australia — 0.1%      
          Corporate Debt — 0.1%      
    180,000     Adani Abbot Point Terminal Pty Ltd., 144A, 4.45%, due 12/15/22     153,126  
     

 

 

 
          Canada — 0.9%      
          Corporate Debt — 0.9%      
    1,125,000     Methanex Corp., 5.25%, due 12/15/29     982,291  
    125,000     Mountain Province Diamonds, Inc., 144A, 8.00%, due 12/15/22     63,438  
    375,000     Taseko Mines Ltd., 144A, 8.75%, due 06/15/22     213,750  
    500,000     Tervita Corp., 144A, 7.63%, due 12/01/21     386,250  
     

 

 

 
    Total Canada     1,645,729  
     

 

 

 
          Germany — 0.6%      
          Corporate Debt — 0.6%      
    1,000,000     ZF North America Capital, Inc., 144A, 4.75%, due 04/29/25     975,000  
     

 

 

 
          New Zealand — 0.4%      
          Corporate Debt — 0.4%      
    750,000     Trilogy International Partners LLC / Trilogy International Finance, Inc., 144A, 8.88%, due 05/01/22     667,500  
     

 

 

 
          United Kingdom — 0.4%      
          Corporate Debt — 0.4%      
    500,000     Avon Products, Inc., 7.00%, due 03/15/23     489,735  
    44,000     Global Ship Lease, Inc., 144A, 9.88%, due 11/15/22     37,620  
    190,000     Jaguar Land Rover Automotive PLC, 144A, 5.63%, due 02/01/23     159,600  
     

 

 

 
    Total United Kingdom     686,955  
     

 

 

 
          United States — 13.5%      
          Corporate Debt — 13.0%      
    375,000     Acadia Healthcare Co., Inc., 6.13%, due 03/15/21     373,594  
    125,000     Albertsons Cos, Inc. / Safeway, Inc. / New Albertsons LP / Albertsons LLC, 144A, 3.50%, due 02/15/23     125,650  
    1,000,000     Antero Resources Corp., 5.13%, due 12/01/22     700,000  
    173,000     Apollo Investment Corp., 5.25%, due 03/03/25     145,117  
    750,000     Ascent Resources Utica Holdings LLC / ARU Finance Corp., 144A, 10.00%, due 04/01/22     656,250  
    375,000     Buckeye Partners LP, 4.35%, due 10/15/24     365,625  
    250,000     Cablevision Systems Corp., 5.88%, due 09/15/22     263,575  
    1,250,000     Century Aluminum Co., 144A, 7.50%, due 06/01/21     1,125,000  
    
Par Value†
    Description   Value ($)  
          United States — continued      
          Corporate Debt — continued      
    625,000     CHS/Community Health Systems, Inc., 6.25%, due 03/31/23     606,250  
    875,000     Cinemark USA, Inc., 5.13%, due 12/15/22     778,750  
    375,000     Cleaver-Brooks, Inc., 144A, 7.88%, due 03/01/23     314,141  
    366,000     Crestwood Midstream Partners LP / Crestwood Midstream Finance Corp., 6.25%, due 04/01/23     348,615  
    875,000     CSC Holdings LLC, 6.75%, due 11/15/21     921,838  
    1,125,000     Delta Air Lines, Inc., 4.38%, due 04/19/28     914,068  
    625,000     DISH DBS Corp., 5.88%, due 07/15/22     642,325  
    125,000     Downstream Development Authority of the Quapaw Tribe of Oklahoma, 144A, 10.50%, due 02/15/23     86,875  
    798,000     DPL, Inc., 7.25%, due 10/15/21     819,945  
    1,375,000     EQM Midstream Partners LP, 4.75%, due 07/15/23     1,360,685  
    750,000     Ford Motor Credit Co. LLC, 4.13%, due 08/04/25     701,408  
    980,000     Ford Motor Credit Co. LLC, 4.39%, due 01/08/26     921,200  
    375,000     Genworth Holdings, Inc., 7.20%, due 02/15/21     345,000  
    209,000     HC2 Holdings, Inc., 144A, 11.50%, due 12/01/21     188,100  
    250,000     Hillman Group, Inc. (The), 144A, 6.38%, due 07/15/22     225,180  
    625,000     Kraft Heinz Foods Co., 3.38%, due 06/15/21     633,844  
    470,000     Kraft Heinz Foods Co., 3.95%, due 07/15/25     494,426  
    696,000     Macy’s Retail Holdings, Inc., 3.88%, due 01/15/22     617,700  
    1,039,000     Michael Kors USA, Inc., 144A, 4.25%, due 11/01/24     901,333  
    625,000     Newell Brands, Inc., 4.70%, due 04/01/26     647,063  
    500,000     Nielsen Finance LLC / Nielsen Finance Co., 144A, 5.00%, due 04/15/22     499,225  
    500,000     Occidental Petroleum Corp., 2.90%, due 08/15/24     397,500  
    202,000     Ortho-Clinical Diagnostics, Inc. / Ortho-Clinical Diagnostics SA, 144A, 6.63%, due 05/15/22     202,252  
    122,000     Owens-Brockway Glass Container, Inc., 144A, 5.00%, due 01/15/22     122,915  
    825,000     Pyxus International, Inc., 144A, 8.50%, due 04/15/21     775,500  
    1,125,000     QVC, Inc., 5.45%, due 08/15/34     947,813  
    625,000     RHP Hotel Properties LP / RHP Finance Corp., REIT, 5.00%, due 04/15/23     579,819  
    375,000     Rockies Express Pipeline LLC, 144A, 3.60%, due 05/15/25     340,313  
    500,000     RR Donnelley & Sons Co., 7.88%, due 03/15/21     497,500  
    1,000,000     Spirit AeroSystems, Inc., 3.85%, due 06/15/26     907,500  
 


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Par Value† /
Shares
    Description   Value ($)  
          United States — continued      
          Corporate Debt — continued      
    625,000     Urban One, Inc., 144A, 7.38%, due 04/15/22     512,500  
    375,000     Weekley Homes LLC / Weekley Finance Corp., 6.00%, due 02/01/23     363,829  
    375,000     Western Midstream Operating LP, 4.00%, due 07/01/22     368,670  
     

 

 

 
  Total Corporate Debt     22,738,893  
     

 

 

 
      U.S. Government — 0.5%  
    900,000     U.S. Treasury Note, Variable Rate, USBM + 0.15%, 0.28%, due 01/31/22(a)     901,010  
     

 

 

 
  Total United States     23,639,903  
     

 

 

 
  TOTAL DEBT OBLIGATIONS
(COST $27,876,719)
    27,768,213  
     

 

 

 
      INVESTMENT FUNDS — 68.3%  
      United States — 68.3%  
    1,444,277     iShares iBoxx $ High Yield Corporate Bond ETF     119,037,310  
     

 

 

 
  TOTAL INVESTMENT FUNDS (COST $115,695,714)     119,037,310  
     

 

 

 
Par Value† /
Shares
    Description   Value ($)  
      SHORT-TERM INVESTMENTS — 13.5%  
      Foreign Government Obligations — 13.5%  

JPY

    1,396,000,000     Japan Treasury Discount Bill, Zero Coupon, due 07/06/20     12,946,472  

JPY

    1,150,000,000     Japan Treasury Discount Bill, Zero Coupon, due 08/17/20     10,666,328  
     

 

 

 
  Total Foreign Government Obligations     23,612,800  
     

 

 

 
  TOTAL SHORT-TERM INVESTMENTS
(COST $23,606,301)
    23,612,800  
     

 

 

 
  TOTAL INVESTMENTS — 97.7%
(Cost $167,178,734)
    170,418,323  
  Other Assets and Liabilities (net) — 2.3%     3,997,195  
     

 

 

 
  TOTAL NET ASSETS — 100.0%     $174,415,518  
     

 

 

 
 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

Forward Currency Contracts

 

Settlement
Date
    

Counterparty

     Currency
Sold
       Currency
Purchased
       Net Unrealized
Appreciation
(Depreciation) ($)
 
06/08/2020      BCLY        JPY       200,000,000          USD       1,909,127          54,509  
07/06/2020      JPM        JPY       1,396,000,000          USD       12,896,870          (54,112
07/13/2020      JPM        JPY       1,088,000,000          USD       10,165,021          70,338  
08/17/2020      DB        JPY       1,150,000,000          USD       10,763,970          88,286  
06/08/2020      MSCI        USD       1,867,382          JPY       200,000,000          (12,764
07/13/2020      DB        USD       10,163,826          JPY       1,088,000,000          (69,144
                       

 

 

 
     $ 77,113  
                       

 

 

 

Futures Contracts

 

Number of
Contracts +
 

Type

     Expiration
Date
     Notional
Amount ($)
       Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
  Buys               
13   U.S. Treasury Note 2 Yr. (CBT)      September 2020        2,870,969          799  
18   U.S. Treasury Note 5 Yr. (CBT)      September 2020        2,261,250          4,198  
60   U.S. Treasury Note 10 Yr. (CBT)      September 2020        8,343,750          25,947  
           

 

 

      

 

 

 
            $ 13,475,969        $ 30,944  
           

 

 

      

 

 

 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Reverse Repurchase Agreements

 

Average balance outstanding

   $ (743,429

Average interest rate (net)

     (0.21 )% 

Maximum balance outstanding

   $ (898,268

Average balance outstanding was calculated based on daily face value balances outstanding during the period that the Fund had entered into reverse repurchase agreements. Average interest rate was calculated based on interest received and/or paid during the period that the Fund had entered into the reverse repurchase agreements. The Fund had no reverse repurchase agreements at the end of the period.

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

  

Notional
Amount

     Annual
Premium
     Implied
Credit
Spread(1)
     Maximum
Potential
Amount
of Future
Payments by
the Fund
Under the
Contract(2)
     Expiration
Date
     Periodic
Payment
Frequency
     Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

Sell Protection^:

 

CDX-NAHYS34V1-5Y

   USD     17,741,920        5.00%        5.41%        17,741,920 USD        06/20/2025        Quarterly      $ (1,434,616   $ (303,227   $ 1,131,389  
                      

 

 

   

 

 

   

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, 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.

 

 

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, 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 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.

 

(1) 

As of May 31, 2020, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads 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 contract.

 

(2) 

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.

OTC Total Return Swaps

 

Fund Pays

 

Fund Receives

  

        Counterparty

 

Notional
Amount

    Expiration
Date
   

Periodic
Payment
Frequency

  Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

3 Month USD LIBOR

  Total Return on iBoxx High Yield Corp. ETF            MSCI   USD     1,800,001       06/20/2020     Quarterly           (83,600     (83,600

3 Month USD LIBOR

  Total Return on iBoxx High Yield Corp. ETF            GS   USD     779,999       06/20/2020     Quarterly           (27,021     (27,021

3 Month USD LIBOR

  Total Return on iBoxx High Yield Corp. ETF            JPM   USD     4,900,000       06/20/2020     Quarterly           (199,621     (199,621
              

 

 

   

 

 

   

 

 

 
  $     $ (310,242   $ (310,242
              

 

 

   

 

 

   

 

 

 

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, and/or written options, if any.

The rates shown on variable rate notes are the current interest rates at May 31, 2020, which are subject to change based on the terms of the security.

 


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Portfolio Abbreviations:

144A - Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration,

normally to qualified institutional investors.

ETF - Exchange-Traded Fund

REIT - Real Estate Investment Trust.

USBM - U.S. Treasury 3 Month Bill Money Market Yield.

USD LIBOR - London Interbank Offered Rate denominated in United States Dollar.

Counterparty Abbreviations:

BCLY - Barclays Bank PLC

DB - Deutsche Bank AG

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MSCI - Morgan Stanley & Co. International PLC

Currency Abbreviations:

JPY - Japanese Yen

USD - United States Dollar

 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    

Par

Value†

    Description   Value ($)  
    DEBT OBLIGATIONS — 90.2%

 

          Asset-Backed Securities — 88.4%  
          Auto Retail Subprime — 0.1%  
    462,675     CPS Auto Receivables Trust, Series 15-C, Class D, 144A, 4.63%, due 08/16/21            464,520  
     

 

 

 
          CMBS Collateralized Debt Obligations — 0.9%  
    1,001,755     ARCap 2005-1 Resecuritization Trust, Series 05-1A, Class A, 144A, 5.45%, due 12/21/42     1,006,742  
    8,586,000     ARCap 2005-1 Resecuritization Trust, Series 05-1A, Class B, 144A, 5.55%, due 12/21/42     3,348,540  
    397,965     Capitalsource Real Estate Loan Trust, Series 06-1A, Class B, 144A, Variable Rate, 3 mo. LIBOR + 0.39%, 2.24%, due 01/20/37 (a)     391,995  
    1,790,742     GS Mortgage Securities Corp., Series 06-CC1, Class A, 144A, Variable Rate, 5.33%, due 03/21/46     1,728,962  
     

 

 

 
    Total CMBS Collateralized Debt Obligations     6,476,239  
     

 

 

 
          Collateralized Loan Obligations — 17.5%  
    7,785,373     ACIS CLO Ltd., Series 15-6A, Class A1, 144A, Variable Rate, 3 mo. LIBOR + 1.59%, 2.28%, due 05/01/27     7,776,537  
    1,905,000     Apex Credit CLO II Ltd., Series 15-2A, Class CR, 144A, Variable Rate, 3 mo. LIBOR + 1.90%, 3.73%, due 10/17/26     1,735,032  
    342,920     BFNS LLC, Series 17-1A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.98%, 1.97%, due 01/25/29     342,623  
    4,222,400     Catamaran CLO Ltd., Series 13-1A, Class CR, 144A, Variable Rate, 3 mo. LIBOR + 1.80%, 2.79%, due 01/27/28     3,911,247  
    5,510,000     Crestline Denali CLO XVI Ltd., Series 18-1A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.12%, 2.26%, due 01/20/30     5,268,149  
    4,161,000     ECP CLO Ltd., Series 18-1A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.14%, 2.28%, due 04/22/30     3,987,765  
    1,259,600     Garrison BSL CLO Ltd., Series 18-1A, Class B, 144A, Variable Rate, 3 mo. LIBOR + 1.65%, 2.78%, due 07/17/28     1,210,350  
    11,360,000     Garrison BSL CLO Ltd., Series 18-1A, Class A1, 144A, Variable Rate, 3 mo. LIBOR + 0.97%, 2.10%, due 07/17/28     11,119,884  
    5,034,029     Halcyon Loan Advisors Funding Ltd., Series 12-1A, Class B, 144A, Variable Rate, 3 mo. LIBOR + 3.00%, 3.39%, due 08/15/23     4,962,994  
    2,372,000     Jamestown CLO XI Ltd., Series 18-11A, Class A2, 144A, Variable Rate, 3 mo. LIBOR + 1.70%, 3.01%, due 07/14/31     2,253,125  
    3,582,480     Loomis Sayles CLO II Ltd., Series 15-2A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 0.90%, 2.12%, due 04/15/28     3,510,024  
    1,465,400     Madison Park Funding XII Ltd, Series 14-12A, Class CR, 144A, Variable Rate, 3 mo. LIBOR + 2.35%, 3.49%, due 07/20/26     1,445,869  
    15,030,900     Mountain View CLO Ltd., Series 15-9A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.12%, 2.34%, due 07/15/31       14,239,869  
    

Par

Value†

    Description   Value ($)  
          Collateralized Loan Obligations — continued  
    2,015,360     Saranac CLO III Ltd, Series 14-3A, Class ALR, 144A, Variable Rate, 3 mo. LIBOR + 1.10%, 2.30%, due 06/22/30     1,990,232  
    7,880,500     Saratoga Investment Corp. CLO Ltd., Series 13-1A, Class BR2, 144A, Variable Rate, 3 mo. LIBOR + 2.30%, 3.44%, due 01/20/30     7,674,433  
    2,845,600     Shackleton CLO Ltd., Series 13-4RA, Class A1A, 144A, Variable Rate, 3 mo. LIBOR + 1.00%, 2.31%, due 04/13/31     2,745,355  
    11,974,000     Sound Point CLO II Ltd., Series 13-1A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.07%, 2.06%, due 01/26/31     11,552,743  
    6,235,025     Sound Point CLO XIX Ltd., Series 18-1A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.00%, 2.22%, due 04/15/31     5,985,605  
    4,993,200     Venture CLO Ltd., Series 18-32A, Class A1, 144A, Variable Rate, 3 mo. LIBOR + 1.10%, 2.24%, due 07/18/31     4,857,410  
    2,496,000     Venture XII CLO Ltd., Series 12-12A, Class BRR, 144A, Variable Rate, 3 mo. LIBOR + 1.20%, 1.57%, due 02/28/26     2,412,097  
    1,568,784     Voya CLO Ltd., Series 14-3A, Class A2A, 144A, Variable Rate, 3 mo. LIBOR + 1.90%, 2.89%, due 07/25/26     1,565,264  
    744,675     WhiteHorse IX Ltd, Series 14-9A, Class AR, 144A, Variable Rate, 3 mo. LIBOR + 1.16%, 2.29%, due 07/17/26     741,570  
    6,750,000     Zais CLO 1 Ltd., Series 14-1A, Class A1BR, 144A, Variable Rate, 3 mo. LIBOR + 1.50%, 2.72%, due 04/15/28     6,616,282  
    20,005,879     Zais CLO 1 Ltd., Series 14-1A, Class A1AR, 144A, Variable Rate, 3 mo. LIBOR + 1.15%, 2.37%, due 04/15/28     19,794,017  
    1,897,197     Zais CLO 8 Ltd., Series 18-1A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 0.95%, 2.17%, due 04/15/29     1,854,574  
     

 

 

 
    Total Collateralized Loan Obligations     129,553,050  
     

 

 

 
          Commercial Mortgage-Backed Securities — 15.3%  
    8,448,000     Barclays Commercial Mortgage Trust, Series 18-CHRS, Class E, 144A, Variable Rate, 4.27%, due 08/05/38     5,650,534  
    4,834,200     BBCMS MORTGAGE TRUST, Series 17-C1, Class A4, 3.67%, due 02/15/50     5,343,701  
    1,470,000     BX Trust, Series 19-OC11, Class C, 144A, 3.86%, due 12/09/41     1,365,017  
    5,000,000     BX Trust, Series 19-OC11, Class E, 144A, Variable Rate, 4.08%, due 12/09/41     4,405,949  
    7,000,000     Commercial Mortgage Trust, Series 15-CR24, Class A5, 3.70%, due 08/10/48     7,605,114  
    6,334,436     Commercial Mortgage Trust, Series 15-CR25, Class A4, 3.76%, due 08/10/48     6,854,580  
    241,997     Credit Suisse First Boston Mortgage Securities Corp., Series 05-C2, Class AMFL, Variable Rate, 1 mo. LIBOR + 0.25%, 0.43%, due 04/15/37     241,996  
    191,194     Credit Suisse First Boston Mortgage Securities Corp., Series 05-C2, Class AMFX, 4.88%, due 04/15/37     187,400  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    

Par

Value†

    Description   Value ($)  
          Commercial Mortgage-Backed Securities — continued  
    6,372,761     CSAILCommercial Mortgage Trust, Series 15-C3, Class A4, 3.72%, due 08/15/48     6,868,951  
    6,101,601     GS Mortgage Securities Corp., Series 16-GS2, Class D, 144A, 2.75%, due 05/10/49     3,691,646  
    4,454,370     GS Mortgage Securities Trust, Series 15-GC32, Class A4, 3.76%, due 07/10/48     4,794,242  
    5,618,916     GS Mortgage Securities Trust, Series 15-GS1, Class A3, 3.73%, due 11/10/48     6,143,177  
    3,750,000     GS Mortgage Securities Trust, Series 16-GS2, Class B, Variable Rate, 3.76%, due 05/10/49     3,717,818  
    5,000,000     Jackson Park Trust, Series 19-LIC, Class E, 144A, Variable Rate, 3.24%, due 10/14/39     4,400,153  
    276,240     JP Morgan Chase Commercial Mortgage Securities Trust, Series 15-JP1, Class A5, 3.91%, due 01/15/49     304,786  
    805,930     JPMBB Commercial Mortgage Securities Trust, Series 15-C32, Class A5, 3.60%, due 11/15/48     873,753  
    1,326,589     LB-UBS Commercial Mortgage Trust, Series 04-C6, Class K, 144A, Variable Rate, 6.31%, due 08/15/36     1,378,852  
    7,677,368     Merrill Lynch Mortgage Investors Trust, Series 98-C1, Class F, Variable Rate, 6.25%, due 11/15/26     7,682,051  
    4,000,000     MKT Mortgage Trust, Series 20-525M, Class E, 144A, Variable Rate, 2.94%, due 02/12/40     3,522,372  
    2,505,000     MKT Mortgage Trust, Series 20-525M, Class F, 144A, Variable Rate, 2.94%, due 02/12/40     2,118,035  
    3,710,000     Morgan Stanley Bank of America Merrill Lynch Trust, Series 13-C10, Class A4, Variable Rate, 4.08%, due 07/15/46     3,932,184  
    1,201,206     Morgan Stanley Dean Witter Capital I Trust, Series 01-TOP3, Class F, 144A, Variable Rate, 7.80%, due 07/15/33     1,111,740  
    13,314,000     Union Station District of Columbia, Series 2018-USDC, Class E, 144A, Variable Rate, 4.49%, due 05/13/38     10,636,308  
    2,550,000     WaMu Commercial Mortgage Securities Trust, Series 06-SL1, Class E, 144A, Variable Rate, 3.39%, due 11/23/43     2,542,604  
    8,270,894     WaMu Commercial Mortgage Securities Trust, Series 07-SL3, Class G, 144A, Variable Rate, 4.32%, due 03/23/45     8,365,335  
    1,717,000     Wells Fargo Commercial Mortgage Trust, Series 13-BTC, Class D, 144A, Variable Rate, 3.55%, due 04/16/35     1,592,555  
    8,563,000     Wells Fargo Commercial Mortgage Trust, Series 13-BTC, Class F, 144A, Variable Rate, 3.55%, due 04/16/35     7,175,323  
    960,073     Wells Fargo Commercial Mortgage Trust, Series 15-NXS1, Class A5, 3.15%, due 05/15/48     1,015,664  
     

 

 

 
    Total Commercial Mortgage-Backed Securities     113,521,840  
     

 

 

 
          Residential Mortgage-Backed Securities —
Other — 11.8%
 
    1,023,495     ACE Securities Corp. Home Equity Loan Trust, Series 06-ASL1, Class A, Variable Rate, 1 mo. LIBOR + 0.28%, 0.45%, due 02/25/36     361,430  
    

Par

Value†

    Description   Value ($)  
          Residential Mortgage-Backed Securities —
Other — continued
 
    19,814,850     American Home Mortgage Investment Trust, Series 06-2, Class 4A, Variable Rate, 1 mo. LIBOR + 0.36%, 0.53%, due 02/25/36     2,174,119  
    13,743,281     BankAmerica Manufactured Housing Contract Trust, Series 98-1, Class B2, Variable Rate, 8.00%, due 08/10/25     8,137,291  
    5,589,469     BCMSC Trust, Series 99-A, Class M1, Variable Rate, 6.79%, due 03/15/29     4,910,939  
    8,834,023     BCMSC Trust, Series 99-B, Class A4, Variable Rate, 7.30%, due 12/15/29     2,585,013  
    2,928,137     BCMSC Trust, Series 00-A, Class A4, Variable Rate, 8.29%, due 06/15/30     946,412  
    516,853     Bear Stearns Mortgage Funding Trust, Series 07-SL2, Class 1A, Variable Rate, 1 mo. LIBOR + 0.32%, 0.49%, due 02/25/37     462,525  
    2,696,070     Conseco Finance Corp., Series 97-5, Class B1, Variable Rate, 6.97%, due 05/15/29     2,570,679  
    5,411,296     Conseco Finance Securitizations Corp., Series 01-3, Class M1, Variable Rate, 7.15%, due 05/01/33     5,118,793  
    5,581,332     Conseco Financial Corp., Series 97-6, Class M1, Variable Rate, 7.21%, due 01/15/29     5,634,428  
    3,040,480     Conseco Financial Corp., Series 98-6, Class M1, Variable Rate, 6.63%, due 06/01/30     2,883,898  
    1,249,517     Countrywide Home Equity Loan Trust, Series 07-E, Class A, FSA, Variable Rate, 1 mo. LIBOR + 0.15%, 0.33%, due 06/15/37     1,165,618  
    379,898     GMACM Home Equity Loan Trust, Series 04-HE3, Class A3, FSA, Variable Rate, 1 mo. LIBOR + 0.50%, 0.67%, due 10/25/34     345,725  
    6,930,564     GMACM Home Equity Loan Trust, Series 07-HE3, Class 2A1, Variable Rate, 7.00%, due 09/25/37     6,908,184  
    5,419,077     Home Equity Loan Trust, Series 05-HS1, Class AI4, Step Up, 5.61%, due 09/25/35     1,825,028  
    30,414,879     Home Equity Mortgage Loan Asset-Backed Trust, Series 06-A, Class A, Variable Rate, 1 mo. LIBOR + 0.26%, 0.43%, due 06/25/36     2,555,151  
    13,511,492     Home Loan Trust, Series 06-HI4, Class A4, Step Up, 5.72%, due 09/25/36     9,293,114  
    12,820,715     Home Loan Trust, Series 07-HI1, Class A4, Step Up, due 03/25/37     5,662,279  
    4,028,906     Master Second Lien Trust, Series 06-1, Class A, Variable Rate, 1 mo. LIBOR + 0.32%, 0.49%, due 03/25/36     614,043  
    487,327     Mellon Re-REMIC Pass-Through Trust, Series 04-TBC1, Class A, 144A, Variable Rate, 1 mo. LIBOR + 0.25%, 0.42%, due 02/26/34     414,053  
    14,066,855     New Century Home Equity Loan Trust, Series 06-S1, Class A2A, Variable Rate, 1 mo. LIBOR + 0.20%, 0.37%, due 03/25/36     830,599  
    8,024,023     New Century Home Equity Loan Trust, Series 06-S1, Class A1, Variable Rate, 1 mo. LIBOR + 0.34%, 0.51%, due 03/25/36     477,437  
    21,392,927     New Century Home Equity Loan Trust, Series 06-S1, Class A2B, Variable Rate, 1 mo. LIBOR + 0.40%, 0.57%, due 03/25/36     1,272,791  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    

Par

Value†

    Description   Value ($)  
          Residential Mortgage-Backed Securities —
Other — continued
 
    680,276     Nomura Asset Acceptance Corp. Alternative Loan Trust, Series 05-S3, Class M1, Variable Rate, 1 mo. LIBOR + 0.90%, 1.07%, due 08/25/35     905,984  
    6,499,380     Oakwood Mortgage Investors, Inc., Series 99-C, Class A2, 7.48%, due 08/15/27     6,097,754  
    1,574,959     Oakwood Mortgage Investors, Inc., Series 98-A, Class B1, Variable Rate, 7.50%, due 05/15/28     1,604,198  
    2,110,901     Oakwood Mortgage Investors, Inc., Series 98-D, Class M1, 144A, 7.42%, due 01/15/29     2,145,519  
    4,949,002     Oakwood Mortgage Investors, Inc., Series 99-E, Class A1, Variable Rate, 7.61%, due 03/15/30     4,114,020  
    10,540,735     Oakwood Mortgage Investors, Inc., Series 00-D, Class A4, Variable Rate, 7.40%, due 07/15/30     4,059,630  
    1,204,121     Oakwood Mortgage Investors, Inc., Series 01-D, Class A4, Variable Rate, 6.93%, due 09/15/31     941,842  
    791,318     Oakwood Mortgage Investors, Inc., Series 01-E, Class A3, 5.69%, due 12/15/31     764,179  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Other     87,782,675  
     

 

 

 
          Residential Mortgage-Backed Securities —
Prime — 4.2%
 
    1,249,721     Bear Stearns ARM Trust, Series 05-6, Class 3A1, Variable Rate, 4.08%, due 08/25/35     1,190,650  
    1,135,112     Bear Stearns ARM Trust, Series 05-9, Class A1, Variable Rate, U.S. Treasury Yield 1 Year CMT + 2.30%, 4.27%, due 10/25/35     1,107,124  
    673,757     Citigroup Mortgage Loan Trust, Series 05-3, Class 2A2, Variable Rate, 4.33%, due 08/25/35     670,940  
    5,540,943     CSMC Mortgage-Backed Trust, Series 07-4, Class 2A1, 6.00%, due 06/25/37     4,472,718  
    2,283,830     IndyMac INDA Mortgage Loan Trust, Series 06-AR3, Class 1A1, Variable Rate, 3.82%, due 12/25/36     1,995,508  
    1,624,213     IndyMac INDA Mortgage Loan Trust, Series 07-AR1, Class 1A1, Variable Rate, 3.68%, due 03/25/37     1,443,572  
    1,625,167     RFMSI Trust, Series 05-SA4, Class 2A2, Variable Rate, 4.48%, due 09/25/35     1,565,396  
    1,495,777     WaMu Mortgage Pass-Through Certificates, Series 05-AR10, Class 1A3, Variable Rate, 4.13%, due 09/25/35     1,523,300  
    1,569,911     WaMu Mortgage Pass-Through Certificates, Series 06-AR19, Class 2A, Variable Rate, COFI + 1.25%, 2.13%, due 01/25/47     1,416,949  
    15,701,015     Washington Mutual Mortgage Pass-Through Certificates, Series 07-5, Class A6, 6.00%, due 06/25/37     15,816,190  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Prime       31,202,347  
     

 

 

 
          Residential Mortgage-Backed Securities —
Subprime — 2.9%
 
    1,788,863     Asset Backed Funding Certificates, Series 05-AQ1, Class A5, Step Up, 4.64%, due 06/25/35     1,853,733  
    

Par

Value†

    Description   Value ($)  
          Residential Mortgage-Backed Securities —
Subprime — continued
 
    2,578,393     BCAP LLC, Series 14-RR2, Class 11A3, 144A, Variable Rate, 0.69%, due 05/26/37     2,398,655  
    1,723,153     Bear Stearns Asset Backed Securities I Trust, Series 05-TC2, Class M3, Variable Rate, 1 mo. LIBOR + 1.08%, 1.25%, due 08/25/35     1,705,671  
    3,296,075     Bear Stearns Asset Backed Securities I Trust, Series 05-TC2, Class M4, Variable Rate, 1 mo. LIBOR + 1.88%, 2.04%, due 08/25/35     3,272,031  
    2,622,741     Bear Stearns Asset-Backed Securities, Inc., Series 07-AQ1, Class A1, Variable Rate, 1 mo. LIBOR + 0.11%, 0.28%, due 04/25/31 (b)     5,815,404  
    3,822,018     Bravo Mortgage Asset Trust, Series 06-1A, Class M1,144A, Variable Rate, 1 mo. LIBOR + 0.40%, 0.57%, due 07/25/36     3,202,609  
    1,606,770     CHL Mortgage Pass-Through Trust, Series 04-HYB6, Class A2, Variable Rate, 3.92%, due 11/20/34     1,534,464  
    1,686,400     GSAA Trust, Series 05-1, Class M1, Step Up, 5.30%, due 11/25/34     1,715,250  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Subprime       21,497,817  
     

 

 

 
          Residential Mortgage-Backed Securities —
Alt-A — 1.3%
 
    766,111     Alternative Loan Trust, Series 04-J11, Class 1CB1, 5.50%, due 11/25/34     784,198  
    2,062,722     Alternative Loan Trust, Series 06-7CB, Class 1A1, Variable Rate, 1 mo. LIBOR + 0.70%, 0.87%, due 05/25/36     890,677  
    2,166,443     Alternative Loan Trust, Series 06-28CB, Class A1, Variable Rate, 1 mo. LIBOR + 0.70%, 0.87%, due 10/25/36     840,111  
    3,090,579     Bear Stearns Asset Backed Securities I Trust, Series 04-AC5, Class A1, Step Up, 5.75%, due 10/25/34     3,100,556  
    5,000,189     Citigroup Mortgage Loan Trust, Inc., Series 06-AR5, Class 2A2A, Variable Rate, 3.68%, due 07/25/36     3,207,663  
    1,104,362     JP Morgan Resecuritization Trust, Series 09-10, Class 7A1, 144A, Variable Rate, 6.05%, due 02/26/37     1,120,881  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Alt-A     9,944,086  
     

 

 

 
          Small Balance Commercial Mortgages — 11.5%  
    463,219     Bayview Commercial Asset Trust, Series 04-1, Class M1, 144A, Variable Rate, 1 mo. LIBOR + 0.84%, 1.01%, due 04/25/34     455,004  
    419,514     Bayview Commercial Asset Trust, Series 04-1, Class M2, 144A, Variable Rate, 1 mo. LIBOR + 1.80%, 1.97%, due 04/25/34     414,368  
    466,239     Bayview Commercial Asset Trust, Series 04-1, Class B, 144A, Variable Rate, 1 mo. LIBOR + 2.85%, 3.02%, due 04/25/34     462,214  
    4,763,480     Bayview Commercial Asset Trust, Series 05-2A, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.31%, 0.48%, due 08/25/35     4,246,204  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    

Par

Value†

    Description   Value ($)  
          Small Balance Commercial Mortgages — continued  
    2,448,350     Bayview Commercial Asset Trust, Series 05-4A, Class A2, 144A, Variable Rate, 1 mo. LIBOR + 0.39%, 0.56%, due 01/25/36     2,201,948  
    1,310,110     Bayview Commercial Asset Trust, Series 06-1A, Class M1, 144A, Variable Rate, 1 mo. LIBOR + 0.38%, 0.55%, due 04/25/36     1,119,653  
    1,908,172     Bayview Commercial Asset Trust, Series 06-2A, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.23%, 0.40%, due 07/25/36     1,703,168  
    3,903,191     Bayview Commercial Asset Trust, Series 06-2A, Class A2, 144A, Variable Rate, 1 mo. LIBOR + 0.28%, 0.45%, due 07/25/36     3,460,477  
    5,186,799     Bayview Commercial Asset Trust, Series 06-3A, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.25%, 0.42%, due 10/25/36     4,449,961  
    2,569,505     Bayview Commercial Asset Trust, Series 07-1, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.22%, 0.39%, due 03/25/37     2,355,434  
    2,128,272     Bayview Commercial Asset Trust, Series 07-3, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.24%, 0.41%, due 07/25/37     1,852,060  
    8,600,243     Bayview Commercial Asset Trust, Series 07-2A, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.27%, 0.44%, due 07/25/37     7,491,581  
    5,538,498     Bayview Commercial Asset Trust, Series 07-2A, Class A2, 144A, Variable Rate, 1 mo. LIBOR + 0.32%, 0.49%, due 07/25/37     4,805,828  
    1,247,700     Bayview Commercial Asset Trust, Series 07-6A, Class A3B, 144A, Variable Rate, 1 mo. LIBOR + 0.85%, 1.02%, due 12/25/37     1,230,502  
    10,677,937     Bayview Commercial Asset Trust, Series 07-6A, Class A3A, 144A, Variable Rate, 1 mo. LIBOR + 1.25%, 1.42%, due 12/25/37     10,617,024  
    2,694,724     GE Business Loan Trust, Series 07-1A, Class A, 144A, Variable Rate, 1 mo. LIBOR + 0.17%, 0.35%, due 04/15/35     2,476,503  
    2,161,104     GE Business Loan Trust, Series 07-1A, Class D, 144A, Variable Rate, 1 mo. LIBOR + 1.00%, 1.18%, due 04/16/35     1,944,994  
    2,550,597     Hana SBL Loan Trust, Series 19-1, Class A, 144A, Variable Rate, 1 mo. LIBOR + 2.00%, 2.49%, due 08/25/45     2,544,349  
    4,300,000     Lehman Brothers Small Balance Commercial, Series 07-2A, Class M1, 144A, Variable Rate, 1 mo. LIBOR + 0.40%, 0.89%, due 06/25/37     3,824,430  
    677,152     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 05-1A, Class A, 144A, Variable Rate, 1 mo. LIBOR + 0.25%, 0.74%, due 02/25/30     667,635  
    1,068,262     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 05-1A, Class M1,144A, Variable Rate, 1 mo. LIBOR + 0.35%, 0.84%, due 02/25/30     1,040,665  
    989,266     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 05-1A, Class M2,144A, Variable Rate, 1 mo. LIBOR + 0.55%, 1.04%, due 02/25/30     963,677  
    

Par

Value†

    Description   Value ($)  
          Small Balance Commercial Mortgages — continued  
    2,467,604     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 05-2A, Class B, 144A, Variable Rate, 1 mo. LIBOR + 1.00%, 1.49%, due 09/25/30     2,330,349  
    5,445,606     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 06-1A, Class M3, 144A, Variable Rate, 1 mo. LIBOR + 0.53%, 1.02%, due 04/25/31     5,175,181  
    2,022,599     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 06-1A, Class B, 144A, Variable Rate, 1 mo. LIBOR + 1.00%, 1.49%, due 04/25/31     1,765,644  
    1,972,531     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 06-2A, Class M2, 144A, Variable Rate, 1 mo. LIBOR + 0.39%, 0.88%, due 09/25/36     1,881,287  
    6,230,000     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 07-3A, Class AJ, 144A, Variable Rate, 4.00%, due 10/25/37     6,308,265  
    565,444     WaMu Commercial Mortgage Securities Trust, Series 07-SL2, Class C, 144A, Variable Rate, 3.79%, due 12/27/49     565,324  
    3,430,400     WaMu Commercial Mortgage Securities Trust, Series 07-SL2, Class D, 144A, Variable Rate, 4.17%, due 12/27/49     3,431,179  
    3,176,664     WaMu Commercial Mortgage Securities Trust, Series 07-SL2, Class E, 144A, Variable Rate, 4.33%, due 12/27/49     3,128,221  
     

 

 

 
    Total Small Balance Commercial Mortgages       84,913,129  
     

 

 

 
          Student Loans — Federal Family Education Loan
Program — 6.7%
 
    5,273,247     AccessLex Institute, Series 04-2, Class A3, Variable Rate, 3 mo. LIBOR + 0.19%, 1.18%, due 10/25/24     5,011,800  
    10,388,454     AccessLex Institute, Series 04-2, Class B, Variable Rate, 3 mo. LIBOR + 0.70%, 1.69%, due 01/25/43     8,398,735  
    13,558,277     AccessLex Institute, Series 07-1, Class A4, Variable Rate, 3 mo. LIBOR + 0.06%, 1.05%, due 01/25/23     13,169,962  
    4,293,346     Collegiate Funding Services Education Loan Trust, Series 05-B, Class B, Variable Rate, 3 mo. LIBOR + 0.32%, 1.69%, due 03/28/35 (a)     3,682,231  
    7,947,603     SLC Student Loan Trust, Series 08-2, Class A4, Variable Rate, 3 mo. LIBOR + 0.90%, 1.64%, due 06/15/21     7,480,091  
    12,313,971     SLM Student Loan Trust, Series 08-4, Class A4, Variable Rate, 3 mo. LIBOR + 1.65%, 2.64%, due 07/25/22     11,764,610  
     

 

 

 
    Total Student Loans — Federal Family Education Loan Program       49,507,429  
     

 

 

 
          Student Loans — Private — 16.0%  
    3,993,387     AccessLex Institute, Series 05-A, Class B, Variable Rate, 3 mo. LIBOR + 0.80%, 1.79%, due 07/25/34     3,579,462  
    3,322,475     KeyCorp Student Loan Trust, Series 05-A, Class 2B, Variable Rate, 3 mo. LIBOR + 0.73%, 2.00%, due 09/27/38     3,280,226  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    

    

Par

Value†

    Description  

Value ($)

 
          Student Loans — Private — continued  
    22,149,505     KeyCorp Student Loan Trust, Series 06-A, Class 2B, Variable Rate, 3 mo. LIBOR + 0.48%, 1.75%, due 12/27/41     20,203,405  
    2,711,721     KeyCorp Student Loan Trust, Series 04-A, Class 2C, Variable Rate, 3 mo. LIBOR + 0.80%, 1.79%, due 04/28/42     2,514,595  
    5,622,500     KeyCorp Student Loan Trust, Series 04-A, Class 2D, Variable Rate, 3 mo. LIBOR + 1.25%, 2.24%, due 07/28/42     2,872,452  
    1,413,005     L2L Education Loan Trust, Series 06-1A, Class B, 144A, Variable Rate, 1 mo. LIBOR + 0.50%, 0.68%, due 10/15/28     1,365,495  
    8,775,000     National Collegiate Commutation Trust, Series 07-3, Class A3R4, 144A, Variable Rate, 7-DayAuc + 0.00%, due 03/31/38 (b)     1,974,375  
    7,625,000     National Collegiate II Commutation Trust, Series 07-4, Class A3R7, Variable Rate, 28-DayAuct + 0.00%, due 03/25/38 (b)     1,715,625  
    3,275,000     National Collegiate II Commutation Trust, Series 07-4, Class A3R6, Variable Rate, 28-DayAuct + 0.00%, due 03/25/38 (b)     736,875  
    3,419,133     National Collegiate Student Loan Trust, Series 05-3, Class A51, Variable Rate, 1 mo. LIBOR + 0.38%, 0.55%, due 10/25/33     2,824,977  
    310,701     National Collegiate Student Loan Trust, Series 07-1, Class A3, Variable Rate, 1 mo. LIBOR + 0.24%, 0.41%, due 07/25/30     310,146  
    9,442,657     National Collegiate Student Loan Trust, Series 06-4, Class A4, Variable Rate, 1 mo. LIBOR + 0.31%, 0.48%, due 05/25/32     7,711,692  
    5,740,822     National Collegiate Student Loan Trust, Series 06-1, Class A5, Variable Rate, 1 mo. LIBOR + 0.35%, 0.52%, due 03/25/33     4,654,967  
    10,140,463     National Collegiate Student Loan Trust, Series 05-2, Class A51, Variable Rate, 1 mo. LIBOR + 0.37%, 0.54%, due 06/25/33     8,131,026  
    14,906,500     National Collegiate Student Loan Trust, Series 07-1, Class A4, Variable Rate, 1 mo. LIBOR + 0.31%, 0.47%, due 10/25/33     11,195,765  
    3,256,000     National Collegiate Student Loan Trust, Series 04-2, Class B, Variable Rate, 1 mo. LIBOR + 0.54%, 0.71%, due 12/26/33     2,499,307  
    75,000     National Collegiate Student Loan Trust, Series 07-4, Class A3A7, Variable Rate, 28-DayAuct + 0.00%, due 03/25/38 (a)     60,000  
    25,000     National Collegiate Student Loan Trust, Series 07-3, Class A3A4, Variable Rate, 28-DayAuct + 0.00%, due 03/25/38 (a)     20,000  
    6,975,000     SLM Private Credit Student Loan Trust, Series 03-A, Class A3, Variable Rate, 28-DayAuct + 0.00%, due 06/15/32 (b)     6,696,000  
    3,550,000     SLM Private Credit Student Loan Trust, Series 03-C, Class A3, Variable Rate, 28-DayAuct + 0.00%, due 09/15/32 (b)     3,408,000  
    5,400,350     SLM Private Credit Student Loan Trust, Series 03-C, Class C, Variable Rate, 3 mo. LIBOR + 1.60%, 2.34%, due 09/15/32     1,426,401  
    

Par

Value†/

Shares

    Description   Value ($)  
          Student Loans — Private — continued  
    9,000,000     SLM Private Credit Student Loan Trust, Series 04-B, Class A4, Variable Rate, 3 mo. LIBOR + 0.43%, 1.17%, due 09/15/33     8,381,880  
    2,765,603     SLM Private Credit Student Loan Trust, Series 05-A, Class B, Variable Rate, 3 mo. LIBOR + 0.28%, 1.02%, due 12/15/38     2,729,655  
    4,660,517     SLM Private Credit Student Loan Trust, Series 06-A, Class A5, Variable Rate, 3 mo. LIBOR + 0.29%, 1.03%, due 06/15/39     4,281,558  
    3,427,425     SLM Private Credit Student Loan Trust, Series 05-B, Class A4, Variable Rate, 3 mo. LIBOR + 0.33%, 1.07%, due 06/15/39     3,153,323  
    2,672,291     SLM Private Credit Student Loan Trust, Series 06-C, Class C, Variable Rate, 3 mo. LIBOR + 0.39%, 1.13%, due 12/15/39     2,243,774  
    4,180,906     South Carolina Student Loan Corp., Series 15-A, Class A, Variable Rate, 1 mo. LIBOR + 1.50%, 1.67%, due 01/25/36     4,146,325  
    6,989,400     Towd Point Asset Trust, Series 18-SL1, Class B, 144A, Variable Rate, 1 mo. LIBOR + 1.05%, 1.22%, due 01/25/46     6,354,795  
     

 

 

 
    Total Student Loans — Private     118,472,101  
     

 

 

 
          Time Share — 0.2%  
    194,670     BXG Receivables Note Trust, Series 12-A, Class B, 144A, 3.99%, due 12/02/27     192,112  
    967,367     BXG Receivables Note Trust, Series 13-A, Class B, 144A, 4.00%, due 12/04/28     947,305  
     

 

 

 
    Total Time Share     1,139,417  
     

 

 

 
    Total Asset-Backed Securities     654,474,650  
     

 

 

 
          U.S. Government — 0.2%  
    1,586,000     U.S. Treasury Note, Variable Rate, USBM + 0.12%, 0.25%, due 01/31/21 (c)     1,587,252  
     

 

 

 
          U.S. Government Agency — 1.6%  
    4,937,500     Agency for International Development Floater (Support of Morocco), Variable Rate, 6 mo. LIBOR – 0.02%, 0.56%, due 02/01/25 (b)     4,780,036  
    4,875,000     Agency for International Development Floater (Support of Morocco), Variable Rate, 6 mo. LIBOR + 0.15%, 0.74%, due 10/29/26 (b)     4,684,255  
    2,467,500     Agency for International Development Floater (Support of Tunisia), Variable Rate, 6 mo. LIBOR + 0.00%, 0.56%, due 07/01/23 (b)     2,416,152  
     

 

 

 
    Total U.S. Government Agency     11,880,443  
     

 

 

 
    TOTAL DEBT OBLIGATIONS (COST $719,612,409)     667,942,345  
     

 

 

 
          MUTUAL FUNDS — 1.1%  
          United States — 1.1%  
          Affiliated Issuers — 1.1%  
    1,687,210     GMO U.S. Treasury Fund     8,503,541  
     

 

 

 
   

TOTAL MUTUAL FUNDS

(COST $8,503,512)

    8,503,541  
     

 

 

 
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    

Shares

    Description   Value ($)  
    SHORT-TERM INVESTMENTS — 3.9%

 

          Money Market Funds — 0.4%  
    3,103,834     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (d)     3,103,834  
     

 

 

 
          U.S. Government — 3.5%  
    26,000,000     U.S. Cash Management Bill, 0.16%, due 10/27/20 (e)     25,982,898  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS (COST $29,087,888)     29,086,732  
     

 

 

 
    TOTAL INVESTMENTS — 95.2% (Cost $757,203,809)     705,532,618  
    Other Assets and Liabilities (net) — 4.8%     35,249,396  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $740,782,014  
     

 

 

 
 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

Forward Currency Contracts

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
07/17/2020   MSCI     EUR       1,706,305       USD       1,862,257       (33,587
07/17/2020   BCLY     USD       135,436       EUR       124,460       2,849  
07/17/2020   MSCI     USD       1,594,724       EUR       1,461,273       28,870  
           

 

 

 
            $ (1,868
           

 

 

 

Futures Contracts

 

Number of

Contracts +

 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Sales      
38   U.S. Treasury Note 5 Yr. (CBT)   September
2020
    4,773,750       (8,947
42   U.S. Treasury Ultra 10 Yr. (CBT)   September
2020
    6,607,781       (3,916
     

 

 

   

 

 

 
      $ 11,381,531     $ (12,863
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

 

Notional
Amount

  Annual
Premium
    Implied
Credit
Spread (1)
    Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

 

ITRAXX.XOVERS.30.V3-5Y

  EUR   23,024,640     5.00%       4.25%       N/A       12/20/2023       Quarterly       (2,406,883     (616,139     1,790,744  

CDX-NA.HYS.33.V3-5Y

  USD   8,481,600     5.00%       5.45%       N/A       12/20/2024       Quarterly       431,131       147,003       (284,128

CDX-NA.IGS.33.V1-5Y

  USD   49,070,000     1.00%       0.75%       N/A       12/20/2024       Quarterly       (417,804     (555,914     (138,110

ITRAXX.EUROPES.32.V1-5Y

  EUR   29,470,000     1.00%       0.71%       N/A       12/20/2024       Quarterly       (859,948     (436,754     423,194  

Sell Protection^:

 

CDX.NA.IGS.28.V1-5Y

  USD   17,200,000     1.00%       0.95%       17,200,000 USD       06/20/2022       Quarterly       300,982       18,370       (282,612

CDX-NA.HYS.33.V3-5Y

  USD   2,455,750     5.00%       2.00%       2,455,750 USD       12/20/2024       Quarterly       84,219       (42,563     (126,782
               

 

 

   

 

 

   

 

 

 
                $ (2,868,303   $ (1,485,997   $ 1,382,306  
               

 

 

   

 

 

   

 

 

 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

OTC Credit Default Swaps

 

Reference Entity

 

Counter-
party

 

Notional
Amount

    Annual
Premium
    Implied
Credit
Spread (1)
    Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

 

CDX.NA.IGS.25.V1-5Y

  BOA   USD     4,400,000       1.00%       0.82%       N/A       12/20/2020       Quarterly       710,600       (21,556     (732,156

CDX.NA.IGS.25.V2-5Y

  CITI   USD     4,300,000       1.00%       0.82%       N/A       12/20/2020       Quarterly       547,891       (21,066     (568,957

CDX.NA.HYS.27.V2-5Y

  GS   USD     4,458,000       5.00%       6.86%       N/A       12/20/2021       Quarterly       11,145       389,736       378,591  

CDX.NA.HYS.27.V2-5Y

  JPM   USD     4,300,000       5.00%       6.86%       N/A       12/20/2021       Quarterly       (11,825     375,923       387,748  

D.R. Horton, Inc.

  BCLY   USD     17,200,000       1.00%       0.20%       N/A       06/20/2022       Quarterly       (165,250     (286,673     (121,423

CDX-NA.HYS.29.V1-5Y

  JPM   USD     6,425,250       5.00%       6.11%       N/A       12/20/2022       Quarterly       (282,711     1,153,767       1,436,478  

CDX-NA.HYS.29.V1-5Y

  JPM   USD     870,000       5.00%       6.11%       N/A       12/20/2022       Quarterly       (51,765     156,224       207,989  

CDX-NA.HYS.29.V1-5Y

  MORD   USD     3,450,800       5.00%       6.11%       N/A       12/20/2022       Quarterly       (188,414     619,652       808,066  

Navient Corp.

  BCLY   USD     2,082,800       5.00%       5.62%       N/A       12/20/2022       Quarterly       (160,628     29,545       190,173  

Navient Corp.

  BCLY   USD     3,435,200       5.00%       5.62%       N/A       12/20/2022       Quarterly       (264,646     48,729       313,375  

Navient Corp.

  GS   USD     4,050,000       5.00%       5.62%       N/A       12/20/2022       Quarterly       (421,122     57,450       478,572  

Navient Corp.

  GS   USD     2,700,000       5.00%       5.62%       N/A       12/20/2022       Quarterly       (277,471     38,300       315,771  

CDX-NA.HYS.33.V3-5Y

  GS   USD     5,952,000       5.00%       5.59%       N/A       12/20/2024       Quarterly       (46,425     (92,735     (46,310

ITRAXX.EUROPES.32.V1-5Y

  BOA   EUR     10,000,000       1.00%       0.71%       N/A       12/20/2024       Quarterly       748,704       978,491       229,787  

CMBX.NA.A.7

  CGMI   USD     4,260,000       2.00%       5.87%       N/A       01/17/2047       Monthly       267,530       508,182       240,652  

CMBX.NA.AS.7

  GS   USD     4,400,000       1.00%       1.37%       N/A       01/17/2047       Monthly       112,812       53,112       (59,700

CMBX.NA.AS.7

  BOA   USD     4,505,000       1.00%       1.37%       N/A       01/17/2047       Monthly       47,352       54,379       7,027  

CMBX.NA.AS.7

  DB   USD     16,677,794       1.00%       1.37%       N/A       01/17/2047       Monthly       197,705       201,316       3,611  

CMBX.NA.AS.7

  MORD   USD     13,270,000       1.00%       1.37%       N/A       01/17/2047       Monthly       205,782       160,181       (45,601

CMBX.NA.AS.7

  DB   USD     7,608,000       1.00%       1.37%       N/A       01/17/2047       Monthly       (119,899     91,835       211,734  

CMBX.NA.AA.8

  CSI   USD     8,892,000       1.50%       2.45%       N/A       10/17/2057       Monthly       247,717       348,301       100,584  

CMBX.NA.AS.8

  MORD   USD     3,384,000       1.00%       1.52%       N/A       10/17/2057       Monthly       140,432       73,502       (66,930

CMBX.NA.AS.8

  CITI   USD     8,892,000       1.00%       1.52%       N/A       10/17/2057       Monthly       73,095       193,137       120,042  

CMBX.NA.BBB-.8

  GS   USD     6,889,000       3.00%       12.51%       N/A       10/17/2057       Monthly       1,034,610       2,201,919       1,167,309  

CMBX.NA.BBB-.8

  GS   USD     4,224,000       3.00%       12.51%       N/A       10/17/2057       Monthly       400,908       1,350,110       949,202  

CMBX.NA.AAA.9

  CGMI   USD     4,000,000       0.50%       0.35%       N/A       09/17/2058       Monthly       (17,096     (31,858     (14,762

CMBX.NA.AAA.9

  GS   USD     2,902,300       0.50%       0.35%       N/A       09/17/2058       Monthly       (14,187     (23,115     (8,928

CMBX.NA.AAA.9

  GS   USD     10,000,000       0.50%       0.35%       N/A       09/17/2058       Quarterly       (102,116     (79,645     22,471  

CMBX.NA.AAA.9

  MORD   USD     5,000,000       0.50%       0.35%       N/A       09/17/2058       Monthly       (51,058     (39,823     11,235  

CMBX.NA.AAA.9

  MSCI   USD     3,328,000       0.50%       0.35%       N/A       09/17/2058       Monthly       (31,983     (26,506     5,477  

CMBX.NA.BBB-.9

  CGMI   USD     3,425,200       3.00%       9.10%       N/A       09/17/2058       Monthly       955,105       887,376       (67,729

CMBX.NA.BBB-.9

  MORD   USD     5,116,800       3.00%       9.10%       N/A       09/17/2058       Monthly       584,727       1,325,623       740,896  

CMBX.NA.BBB-.9

  DB   USD     4,263,000       3.00%       9.10%       N/A       09/17/2058       Monthly       517,160       1,104,427       587,267  

CMBX.NA.BBB-.9

  DB   USD     4,400,000       3.00%       9.10%       N/A       09/17/2058       Monthly       950,085       1,139,920       189,835  

CMBX.NA.BBB-.9

  GS   USD     1,760,000       3.00%       9.10%       N/A       09/17/2058       Monthly       346,611       455,968       109,357  

CMBX.NA.BBB-.9

  MORD   USD     2,585,000       3.00%       9.10%       N/A       09/17/2058       Monthly       63,490       669,703       606,213  

CMBX.NA.AAA.10

  MSCI   USD     9,668,400       0.50%       0.42%       N/A       11/17/2059       Monthly       (15,090     (45,297     (30,207

CMBX.NA.AAA.10

  MSCI   USD     1,381,200       0.50%       0.42%       N/A       11/17/2059       Monthly       (2,156     (6,471     (4,315

CMBX.NA.BBB-.6

  CGMI   USD     5,984,000       3.00%       21.82%       N/A       05/11/2063       Monthly       1,900,419       2,001,664       101,245  

Sell Protection^:

 

CDX.NA.HYS.27.V2-5Y

  GS   USD     2,084,000       5.00%       6.86%       2,084,000 USD       12/20/2021       Quarterly       268,315       115,102       (153,213

CDX.NA.HYS.27.V2-5Y

  JPM   USD     8,600,000       5.00%       6.86%       8,600,000 USD       12/20/2021       Quarterly       1,143,800       474,987       (668,813

CDX.NA.HYS.27.V3-5Y

  BOA   USD     8,545,000       5.00%       6.86%       8,545,000 USD       12/20/2021       Quarterly       1,369,764       471,950       (897,814

CDX.NA.HYS.27.V3-5Y

  JPM   USD     7,735,000       5.00%       6.86%       7,735,000 USD       12/20/2021       Quarterly       1,096,050       427,212       (668,838

CDX-NA.HYS.29.V6-5Y

  CITI   USD     5,994,100       5.00%       6.11%       5,994,100 USD       12/20/2022       Quarterly       229,274       343,746       114,472  

CDX.NA.HYS.29.V1-5Y

  MORD   USD     4,264,000       5.00%       6.11%       4,264,000 USD       12/20/2022       Quarterly       644,717       244,529       (400,188

CDX.NA.HYS.29.V1-5Y

  BOA   USD     5,115,600       5.00%       6.11%       5,115,600 USD       12/20/2022       Quarterly       742,274       293,366       (448,908

CDX.NA.HYS.31.V1-5Y

  JPM   USD     18,256,022       5.00%       5.72%       18,256,022 USD       12/20/2023       Quarterly       3,634,774       2,582,244       (1,052,530

ITRAXX.XOVERS.30.V3-5Y

  JPM   EUR     1,281,711       5.00%       4.24%       1,281,711 EUR       12/20/2023       Quarterly       (953,768     (1,152,765     (198,997

ITRAXX.XOVERS.30.V4-5Y

  JPM   EUR     310,239       5.00%       4.24%       310,239 EUR       12/20/2023       Quarterly       (216,624     (279,028     (62,404

CDX-NA.HYS.33.V3-5Y

  CITI   USD     4,208,307       5.00%       5.59%       4,208,307 USD       12/20/2024       Quarterly       445,308       688,355       243,047  

CDX-NA.HYS.33.V3-5Y

  GS   USD     9,559,421       5.00%       5.59%       9,559,421 USD       12/20/2024       Quarterly       1,350,782       1,563,641       212,859  

CDX-NA.IGS.33.V1-5Y

  CITI   USD     1,472,000       1.00%       0.76%       1,472,000 USD       12/20/2024       Quarterly       (820,051     (787,808     32,243  

CDX.NA.HYS.33.V1-5Y

  GS   USD     26,080,002       5.00%       5.59%       26,080,002 USD       12/20/2024       Quarterly       5,768,245       4,265,923       (1,502,322

ITRAXX.EUROPES.32.V1-5Y

  BOA   EUR     25,000,000       1.00%       0.71%       25,000,000 EUR       12/20/2024       Quarterly       114,434       (436,420     (550,854

ITRAXX.EUROPES.32.V1-5Y

  GS   EUR     58,940,000       1.00%       0.71%       58,940,000 EUR       12/20/2024       Quarterly       2,667,689       2,105,161       (562,528

CMBX.NA.A.9

  GS   USD     6,822,400       2.00%       4.34%       6,822,400 USD       09/17/2058       Monthly       89,487       (764,460     (853,947
                 

 

 

   

 

 

   

 

 

 
  $ 25,414,508     $ 26,149,462     $ 734,954  
 

 

 

   

 

 

   

 

 

 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, 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.

    

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, 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 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.

(1)

As of May 31, 2020, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads 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 contract.

(2)

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.

Centrally Cleared Interest Rate Swaps

 

Fund Pays

   Fund Receives     

Notional

Amount

     Expiration
Date
    

Periodic
Payment
Frequency

   Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

1.76%

     3 Month USD LIBOR      USD      9,700,000        11/10/2022      Quarterly      (3,226     (357,432     (354,206

0.27%

     3 Month USD LIBOR      USD      3,700,000        05/22/2023      Quarterly            (1,760     (1,760

1.41%

     3 Month USD LIBOR      USD      32,360,000        08/20/2024      Quarterly            (1,507,576     (1,507,576

1.33%

     3 Month USD LIBOR      USD      6,570,000        08/29/2024      Quarterly            (283,759     (283,759

1.80%

     3 Month USD LIBOR      USD      18,686,000        01/18/2025      Quarterly      (12,720     (1,250,734     (1,238,014

0.46%

     3 Month USD LIBOR      USD      884,000        04/29/2025      Quarterly            (3,964     (3,964

0.39%

     3 Month USD LIBOR      USD      4,400,000        05/28/2025      Quarterly            (6,519     (6,519

0.48%

     3 Month USD LIBOR      USD      5,200,000        04/30/2026      Quarterly            (15,523     (15,523

0.48%

     3 Month USD LIBOR      USD      3,200,000        05/07/2026      Quarterly            (11,074     (11,074

1.85%

     3 Month USD LIBOR      USD      4,000,000        05/19/2026      Quarterly      (7,878     (341,218     (333,340

0.88%

     3 Month USD LIBOR      USD      6,595,000        03/06/2028      Quarterly      (15,633     (180,745     (165,112

1.94%

     3 Month USD LIBOR      USD      10,323,000        06/04/2028      Quarterly      (54,393     (1,150,977     (1,096,584

1.95%

     3 Month USD LIBOR      USD      5,500,000        07/30/2028      Quarterly      (8,136     (622,113     (613,977

1.83%

     3 Month USD LIBOR      USD      5,200,000        11/12/2029      Quarterly            (591,532     (591,532

1.30%

     3 Month USD LIBOR      USD      10,027,000        12/19/2029      Quarterly            (640,949     (640,949

1.53%

     3 Month USD LIBOR      USD      3,900,000        02/11/2030      Quarterly            (337,385     (337,385
                 

 

 

   

 

 

   

 

 

 
   $ (101,986   $ (7,303,260   $ (7,201,274
  

 

 

   

 

 

   

 

 

 

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

Investment valued using significant unobservable inputs.

 

(b)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(c)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(d)

The rate disclosed is the 7 day net yield as of May 31, 2020.

 

(e)

The rate shown represents yield-to-maturity.

The rates shown on variable rate notes are the current interest rates at May 31, 2020, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

144A - Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional investors.

CLO - Collateralized Loan Obligation

CMT - Constant Maturity Treasury

COFI - Cost of Funds Index

FSA - Insured as to the payment of principal and interest by Financial Security Assurance.

LIBOR - London Interbank Offered Rate

USBM - U.S. Treasury 3 Month Bill Money Market Yield.

USD LIBOR - London Interbank Offered Rate denominated in United States Dollar.

 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Counterparty Abbreviations:

BCLY - Barclays Bank PLC

BOA - Bank of America, N.A.

CGMI - Citigroup Global Markets Inc.

CITI - Citibank N.A.

CSI - Credit Suisse International

DB - Deutsche Bank AG

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MORD - Morgan Stanley Capital Services LLC

MSCI - Morgan Stanley & Co. International PLC

Currency Abbreviations:

EUR - Euro

USD - United States Dollar

 


GMO U.S. Treasury Fund

(A Series of GMO Trust)

Schedule of Investment

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Par Value†
    Description   Value ($)  
    SHORT-TERM INVESTMENTS — 100.0%

 

          U.S. Government — 91.2%  
    59,000,000    

U.S. Cash Management Bill,

0.23%, due 09/22/20(a)

    58,957,406  
    40,000,000    

U.S. Cash Management Bill,

0.16%, due 10/27/20(a)

    39,973,689  
    6,000,000     U.S. Treasury Bill, 0.17%, due 09/17/20(a)     5,997,030  
    40,000,000     U.S. Treasury Bill, 0.17%, due 11/19/20(a)     39,967,462  
    5,000,000     U.S. Treasury Note, 1.25%, due 03/31/21     5,043,555  
    10,000,000     U.S. Treasury Note, 1.38%, due 04/30/21     10,107,031  
    20,000,000     U.S. Treasury Note, 1.38%, due 05/31/21     20,232,812  
    30,000,000     U.S. Treasury Note, 1.13%, due 06/30/21     30,298,828  
    20,000,000     U.S. Treasury Note, 1.13%, due 07/31/21     20,214,844  
    30,000,000     U.S. Treasury Note, 1.13%, due 08/31/21     30,346,875  
    15,000,000     U.S. Treasury Note, 1.13%, due 09/30/21     15,186,328  
    50,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.30%, 0.43%, due 10/31/21     50,163,960  
    45,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.15%, 0.28%, due 01/31/22     45,050,539  
     

 

 

 
    Total U.S. Government     371,540,359  
     

 

 

 
     Par Value† /
Shares
    Description   Value ($)  
    U.S. Government Agency — 8.6%  
    15,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.08%, 0.14%, due 07/24/20     14,999,991  
    3,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.12%, 0.18%, due 10/07/20     3,000,223  
    12,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.13%, 0.19%, due 10/16/20     12,001,329  
    5,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.09%, 0.15%, due 09/10/21     4,994,832  
     

 

 

 
    Total U.S. Government Agency     34,996,375  
     

 

 

 
          Money Market Funds — 0.2%  
    767,270     State Street Institutional Treasury Plus Money Market Fund-Premier Class, 0.15%(b)     767,270  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS (COST $406,923,483)     407,304,004  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $406,923,483)
    407,304,004  
     

 

 

 
    Other Assets and Liabilities (net) — 0.00%     118,574  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $407,422,578  
     

 

 

 
 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

The rate shown represents yield-to-maturity.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2020.

The rates shown on variable rate notes are the current interest rates at May 31, 2020, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

SOFR - Secured Overnight Financing Rate

USBM - U.S. Treasury 3 Month Bill Money Market Yield.

 

 

   


Organization

Each of Asset Allocation Bond Fund, Core Plus Bond Fund, Emerging Country Debt Fund, High Yield Fund, Opportunistic Income Fund and U.S. Treasury Fund (each a “Fund” and collectively the “Funds”) is a series of GMO Trust (the “Trust”). The Trust is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company. The Trust was established as a Massachusetts business trust under the laws of The Commonwealth of Massachusetts on June 24, 1985. The Declaration of Trust permits the Trustees of the Trust (“Trustees”) to create an unlimited number of series of shares (Funds) and to subdivide Funds into classes. The Funds are advised and managed by Grantham, Mayo, Van Otterloo & Co. LLC (“GMO”).

The Funds may invest in GMO U.S. Treasury Fund and in money market funds unaffiliated with GMO.

Many of the Funds may invest without limitation in other GMO Funds (“underlying funds”). In particular, pursuant to an exemptive order granted by the Securities and Exchange Commission (“SEC”), some of the Funds may invest in Emerging Country Debt Fund, Opportunistic Income Fund and U.S. Treasury Fund. The financial statements of the underlying funds should be read in conjunction with the Funds’ financial statements. The financial statements are available without charge on the SEC’s website at www.sec.gov or on GMO’s website at www.gmo.com.

Each Fund has elected to be treated or intends to elect to be treated and intends to qualify each tax year as a regulated investment company under Subchapter M of the Internal Revenue Code of 1986, as amended. Each Fund intends to distribute its net investment income, if any, and its net realized short-term and long-term capital gains, if any, after giving effect to any available capital loss carryforwards for U.S. federal income tax purposes. Therefore, each Fund makes no provision for U.S. federal income or excise taxes.

Please see the Funds’ Prospectus, available on www.gmo.com, for information regarding specific risks for each Fund.

Basis of presentation

The preparation of the Schedule of Investments in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”) requires GMO to make estimates and assumptions that affect the reported amounts and disclosures in the Schedule of Investments during the reporting period. GMO believes the estimates and security valuations are appropriate; however, actual results may differ from those estimates, and the security valuations reflected in the Schedule of Investments may differ from the value a Fund ultimately realizes upon the sale of those securities.

Portfolio valuation

Typically, the Funds and the underlying funds value fixed income securities at the most recent price supplied by a pricing source determined by GMO. GMO evaluates pricing sources on an ongoing basis and may change a pricing source at any time. GMO monitors erratic or unusual movements (including unusual inactivity) in the prices supplied for a security and has discretion to override a price supplied by a source (e.g., by taking a price supplied by another source) when it believes that the price supplied is not reliable. Alternative pricing sources are often but not always available for securities held by the Funds and the underlying funds.

Exchange-traded securities (other than exchange-traded options) for which market quotations are readily available are valued at (i) the last sale price or (ii) official closing price or (iii) most recent quoted price published by the exchange (if no reported last sale or official closing price) or (iv) the quoted price provided by a pricing source (in the event GMO deems the private market to be a more reliable indicator of market value than the exchange). Exchange-traded options are valued at the last sale price, provided that price is between the closing bid and ask prices. If the last sale price is not within that range, then they will be valued at the closing bid price for long positions and the closing ask price for short positions. Cleared derivatives are valued using the price quoted (which may be based on a model) by the relevant clearing house. If an updated quote for a cleared derivative is not available when a Fund calculates its net asset value, the derivative will generally be valued using an industry standard model, which may differ from the model used by the relevant clearing house. Over-the-counter (“OTC”) derivatives are generally valued at the price determined by an industry standard model. Unlisted securities for which market quotations are readily available are generally valued at the most recent quoted price. Shares of the underlying funds and other open-end registered investment companies are valued at their most recent net asset value.

The foregoing valuation methodologies are modified for equities that trade in non-U.S. securities markets that close before the close of the New York Stock Exchange (“NYSE”) due to time zone differences, including the value of equities that underlie futures, options and other derivatives (to the extent the market for those derivatives closes prior to the close of the NYSE). In those cases, the price

 


 

will generally be adjusted, to the extent practicable and available, based on inputs from an independent pricing service approved by the Trustees that are intended to reflect valuation changes through the NYSE close. These securities listed on foreign exchanges (including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE)) are classified as Level 2 (levels defined below).

“Quoted price” typically means the bid price for securities held long and the ask price for securities sold short. If a market quotation for a security does not involve a bid or an ask, the “quoted price” may be the price provided by a market participant or other third-party pricing source in accordance with the market practice for that security. If an updated quoted price for a security is not available when a Fund calculates its net asset value, the Fund will generally use the last quoted price so long as GMO believes that the last quoted price continues to represent that security’s fair value.

In the case of derivatives, prices determined by a model may reflect an estimate of the average of bid and ask prices, regardless of whether a Fund has a long position or a short position.

If quotations are not readily available or circumstances make an existing valuation methodology or procedure unreliable, derivatives and other securities are valued at fair value as determined in good faith by the Trustees or persons acting at their direction pursuant to procedures approved by the Trustees. Because of the uncertainty inherent in fair value pricing, the price determined for a particular security may be materially different from the value realized upon its sale. The Funds and/or the underlying funds classify such securities as Level 3 (levels defined below). For the period ended May 31, 2020, the Funds did not reduce the value of any of their OTC derivatives contracts, if any, based on the creditworthiness of their counterparties.

U.S. GAAP requires the Funds to disclose the fair value of their investments in a three-level hierarchy (Levels 1, 2 and 3). The valuation hierarchy is based upon the relative observability of inputs to the valuation of the Funds’ investments. The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

Changes in valuation techniques may result in transfers into or out of an investment’s assigned level within the fair value hierarchy. In addition, in periods of market dislocation, the observability of prices and inputs may be reduced for many instruments. This condition, as well as changes related to the liquidity of investments, could cause a security to be reclassified between levels.

The three levels are defined as follows:

Level 1 – Valuations based on quoted prices for identical securities in active markets.

The types of assets and liabilities categorized in Level 1 generally include actively traded domestic and certain foreign equity securities; certain U.S. government obligations; derivatives actively traded on a national securities exchange (such as some futures and options); and shares of open-end mutual funds (even if their investments are valued using Level 2 or Level 3 inputs).

Level 2 – Valuations determined using other significant direct or indirect observable inputs.

The types of assets and liabilities categorized in Level 2 generally include certain U.S. government agency securities, mortgage-backed securities, asset-backed securities, certain sovereign debt obligations, and corporate bonds valued using vendor prices or broker quotes; cleared derivatives and certain OTC derivatives such as swaps, options, swaptions, and forward currency contracts valued using industry standard models; certain restricted securities valued at the most recent available market or quoted price; certain debt obligations, such as collateralized loan obligations, that have yet to begin trading that are valued at cost; and certain foreign equity securities that are adjusted based on inputs from an independent pricing service approved by the Trustees, including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE) to reflect estimated valuation changes through the NYSE close.

Level 3 – Valuations based primarily on inputs that are unobservable and significant.

The types of assets and liabilities categorized in Level 3 generally include, but are not limited to, certain debt securities (such as asset-backed, mortgage-backed, loans and sovereign debt) and derivatives even though they may be valued using broker quotes; certain debt securities and derivatives adjusted by a specified discount for liquidity or other considerations; certain sovereign debt securities valued using comparable securities issued by the sovereign adjusted by a specified spread; securities whose trading has been suspended or that have been de-listed from their current primary trading exchange valued at the most recent available market or quoted price; securities in default or bankruptcy proceedings for which there is no current market quotation valued at the most recent available market or quoted price and potential litigation recoveries and interests related to bankruptcy proceedings.

 


The following is a summary of the respective levels assigned to the Funds’ direct securities and derivatives, if any, as of May 31, 2020:

 

         
Description   Level 1     Level 2     Level 3     Total  
Asset Allocation Bond Fund  
Asset Valuation Inputs  

Debt Obligations

         

U.S. Government

  $ 21,509,372     $ 140,754,695     $     $ 162,264,067  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    21,509,372       140,754,695             162,264,067  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

    8,054,797                   8,054,797  

Short-Term Investments

    903,684                   903,684  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    30,467,853       140,754,695             171,222,548  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 30,467,853     $ 140,754,695     $     $ 171,222,548  
   

 

 

   

 

 

   

 

 

   

 

 

 
   
                                 
Core Plus Bond Fund  
Asset Valuation Inputs  

Debt Obligations

         

Asset-Backed Securities

  $     $ 74,718,942     $     $ 74,718,942  

U.S. Government

    28,023,513                   28,023,513  

U.S. Government Agency

          58,814,931             58,814,931  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    28,023,513       133,533,873             161,557,386  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

    74,705,101                   74,705,101  

Mutual Funds

    143,463,595                   143,463,595  

Short-Term Investments

    10,051,095       80,682,525             90,733,620  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    256,243,304       214,216,398             470,459,702  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          2,002,619             2,002,619  

Futures Contracts

         

Interest Rate Risk

    270,592                   270,592  

Swap Contracts

         

Interest Rate Risk

          562,008             562,008  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 256,513,896     $ 216,781,025     $     $ 473,294,921  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Derivatives^

 

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (4,448,173   $     $ (4,448,173

Swap Contracts

         

Interest Rate Risk

          (706,441           (706,441
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (5,154,614   $     $ (5,154,614
   
                                 
Emerging Country Debt Fund  
Asset Valuation Inputs  

Debt Obligations

         

Asset-Backed Securities

  $     $ 30,717,614     $     $ 30,717,614  

Corporate Debt

          145,788,073       27,350,740       173,138,813  

Foreign Government Agency

          1,008,611,615       103,150,367       1,111,761,982  

Foreign Government Obligations

          2,227,123,882       129,718,117       2,356,841,999  

U.S. Government

    44,016,037       80,014,195             124,030,232  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    44,016,037       3,492,255,379       260,219,224       3,796,490,640  
   

 

 

   

 

 

   

 

 

   

 

 

 
   
                                 

 


         
Description   Level 1     Level 2     Level 3     Total  
Emerging Country Debt Fund (continued)  
Asset Valuation Inputs (continued)  

Loan Assignments

  $     $     $ 12,519,715     $ 12,519,715  

Loan Participations

                33,942,384       33,942,384  

Mutual Funds

    74,784,247                   74,784,247  

Rights/Warrants

          13,052,147       744,791       13,796,938  

Short-Term Investments

    8,795,218                   8,795,218  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    127,595,502       3,505,307,526       307,426,114       3,940,329,142  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          636,111             636,111  

Options

         

Credit Risk

                214,069       214,069  

Swap Contracts

         

Credit Risk

          46,387,625             46,387,625  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 127,595,502     $ 3,552,331,262     $ 307,640,183     $ 3,987,566,947  
   

 

 

   

 

 

   

 

 

   

 

 

 
   
           
Liability Valuation Inputs  

Derivatives^

 

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (2,066,022   $     $ (2,066,022

Options

         

Credit Risk

                (762,506     (762,506

Swap Contracts

         

Credit Risk

          (14,099,289           (14,099,289

Interest Rate Risk

          (7,941,809           (7,941,809
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (24,107,120   $ (762,506   $ (24,869,626
   

 

 

   

 

 

   

 

 

   

 

 

 
   
                                 
High Yield Fund  
Asset Valuation Inputs  

Debt Obligations

         

Corporate Debt

  $     $ 26,867,203     $     $ 26,867,203  

U.S. Government

    901,010                   901,010  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    901,010       26,867,203             27,768,213  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

    119,037,310                   119,037,310  

Short-Term Investments

          23,612,800             23,612,800  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    119,938,320       50,480,003             170,418,323  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          213,133             213,133  

Futures Contracts

         

Interest Rate Risk

    30,944                   30,944  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 119,969,264     $ 50,693,136     $     $ 170,662,400  
   

 

 

   

 

 

   

 

 

   

 

 

 
   
           
Liability Valuation Inputs  

Derivatives^

 

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (136,020   $     $ (136,020

Swap Contracts

         

Credit Risk

          (303,227           (303,227

Interest Rate Risk

          (310,242           (310,242
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (749,489   $     $ (749,489
   

 

 

   

 

 

   

 

 

   

 

 

 
   
                                 

 


         
Description   Level 1     Level 2     Level 3     Total  
Opportunistic Income Fund  
Asset Valuation Inputs  

Debt Obligations

 

Asset-Backed Securities

  $     $ 629,974,145     $ 24,500,505     $ 654,474,650  

U.S. Government

    1,587,252                   1,587,252  

U.S. Government Agency

                11,880,443       11,880,443  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    1,587,252       629,974,145       36,380,948       667,942,345  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

    8,503,541                   8,503,541  

Short-Term Investments

    29,086,732                   29,086,732  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    39,177,525       629,974,145       36,380,948       705,532,618  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

 

Forward Currency Contracts

         

Foreign Currency Risk

          31,719             31,719  

Swap Contracts

         

Credit Risk

          30,410,061             30,410,061  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 39,177,525     $ 660,415,925     $ 36,380,948     $ 735,974,398  
   

 

 

   

 

 

   

 

 

   

 

 

 
   
           
Liability Valuation Inputs  

Derivatives^

 

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (33,587   $     $ (33,587

Futures Contracts

         

Interest Rate Risk

    (12,863                 (12,863

Swap Contracts

         

Credit Risk

          (5,746,596           (5,746,596

Interest Rate Risk

          (7,303,260           (7,303,260
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (12,863   $ (13,083,443   $     $ (13,096,306
   

 

 

   

 

 

   

 

 

   

 

 

 
   
                                 
U.S. Treasury Fund  
Asset Valuation Inputs  

Short-Term Investments

  $ 407,304,004     $     $     $ 407,304,004  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    407,304,004                   407,304,004  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 407,304,004     $     $     $ 407,304,004  
   

 

 

   

 

 

   

 

 

   

 

 

 
   
                                 

The risks referenced in the tables above are not intended to be inclusive of all risks. Please see the Prospectus for more information.

 

  ^

In the tables above derivatives are based on market values, rather than the notional amounts of derivatives, except for forward currency contracts which are based on unrealized appreciation/(depreciation). The uncertainties surrounding the valuation inputs for a derivative are likely to be more significant to the Funds’ net asset values than the uncertainties surrounding inputs for a non-derivative security with the same market value. Excludes purchased options, if any, which are included in investments.

The underlying funds held at period end are classified above as Level 1. Certain underlying funds invest in securities and/or derivatives which may have been fair valued using methods determined in good faith by or at the direction of the Trustees or which may have been valued using significant unobservable inputs. For a summary of the levels assigned to the underlying funds’ direct securities and derivatives, if any, please refer to the underlying funds’ Notes to Financial Statements which are available on the SEC’s website at www.sec.gov or on GMO’s website at www.gmo.com.

U.S. GAAP requires additional disclosures about fair value measurements for material Level 3 securities and derivatives, if any (determined by each category of asset or liability as compared to a Fund’s total net assets). Level 3 holdings include investments valued using unadjusted prices supplied by a third-party pricing source (e.g., broker quotes, vendor). Emerging Country Debt Fund’s

 


Level 3 holdings also include the Republic of Albania Par Bond, due 8/31/25, which is valued by applying a 140 basis point spread to the yield of the U.S. Treasury Strip Principal, due 8/15/25 and a Republic of Kenya loan agreement, which is valued by applying 500 basis point yield spread to a comparable bond. Opportunistic Income Fund’s Level 3 holdings also consists of three U.S. Agency for International Development Floater Bonds which were valued using current LIBOR yield and adjusted by 150 basis points for liquidity considerations and five asset backed securities which were either adjusted for additional cashflow projections discounted for timing and likelihood of receipt, valued using market color of a comparable bond, or valued at 12.5% of expected yield. There were no other Funds with classes of investments or derivatives with direct material Level 3 holdings at May 31, 2020.

For Funds with material total Level 3 assets and/or liabilities, the following is a reconciliation of securities and derivatives, if any, in which significant unobservable inputs (Level 3) were used in determining value:

 

                     
    

Balances

as of
February 29,
2020

    Purchases     Sales     Accrued
Discounts/
Premiums
    Total
Realized
Gain/(Loss)
    Change in
Unrealized
Appreciation
(Depreciation)
    Transfer
into
Level 3
    Transfer
out of
Level 3
   

Balances

as of May 31,
2020

    Net Change in
Unrealized
Appreciation
(Depreciation)
from
Investments
Still Held as of
May 31, 2020
 
Emerging Country Debt Fund                                                            
Debt Obligations                      

Corporate Debt

  $ 29,902,115     $     $     $ (401   $     $ (2,550,974   $     $     $ 27,350,740     $ (2,550,974

Foreign Government Agency

    170,402,802             (24,698,963     3,714,738       1,595,536       (47,863,746                 103,150,367       (42,090,118

Foreign Government Obligations

    173,035,182             (5,000,000     6,677,637             (44,994,702                 129,718,117       (44,148,820

Loan Assignments

    14,402,514       1,660,500       (954,361     97,172             (2,686,110                 12,519,715       (2,686,110

Loan Participations

    47,750,729       2,632,500       (1,583,334     389,304             (15,246,815                 33,942,384       (15,246,815

Rights/Warrants

    2,082,394                         (5,892,796     4,555,193                   744,791       (257,541
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    437,575,736       4,293,000       (32,236,658     10,878,450       (4,297,260     (108,787,154                 307,426,114       (106,980,378
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
   
                       
Derivatives                      

Options

    1,036,169                         177,306       (1,761,912                 (548,437     (1,761,912
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 438,611,905     $ 4,293,000     $ (32,236,658 )#    $ 10,878,450     $ (4,119,954   $ (110,549,066   $     $     $ 306,877,677     $ (108,742,290
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
   
                                                                                 
Opportunistic Income Fund                                                            
Debt Obligations                      

Asset-Backed Securities

  $ 25,989,481     $ 30     $ (936,737   $ 45,738     $     $ (2,313,632   $ 1,715,625 ‡    $     $ 24,500,505     $ (2,313,632

U.S. Government Agency

    12,228,802             (375,000     879             25,762                   11,880,443       25,762  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 38,218,283     $ 30     $ (1,311,737 )##    $ 46,617     $     $ (2,287,870   $ 1,715,625     $     $ 36,380,948     $ (2,287,870
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
   
                                                                                 

 

  #

Includes $7,537,694 of proceeds received from partial calls and/or principal paydowns as applicable.

  ##

Includes $1,311,736 of proceeds received from partial calls and/or principal paydowns as applicable.

 

Financial assets transferred between levels were due to a change in observable and/or unobservable inputs.

 


For Funds with material Level 3 investments, the following table summarizes the quantitative inputs used in the valuation of investments classified within Level 3 of the fair value hierarchy for the period ended May 31, 2020.

Quantitative information about Level 3 Fair Value Measurements*

 

         
Investment Type   Total
Fair Value ($)
   

Valuation

Methodology

  Unobservable Inputs  

Range

(Weighted Average)

Emerging Country Debt Fund          
Foreign Government Obligations     45,439,083     Fair Value   Discount for lack of liquidity/marketabilty   1.40% (N/A)
Loan Assignments and Participations     6,295,536     Fair Value   Discount for lack of liquidity/marketabilty   5.00%-6.00% (5.16%)
Options     (69,000   Fair Value   Probability of CDS threshold event   <5% (N/A)
Warrants     0     Fair Value   Probability of warrant payment trigger   <5% (N/A)
Opportunistic Income Fund          
Asset-Backed Securities     5,815,404     Fair Value   Probability and timing of cash flow receipt   50-75% (N/A)
      4,426,875     Fair Value   Discount factor for expected yield   12.5% (N/A)
      10,104,000     Fair Value   Trade correlation with observed comparable bond  

(N/A)

Government Agency     11,880,443     Fair Value   Discount for lack of liquidity/marketabilty   1.50% (N/A)

 

  *

The table does not include Level 3 securities or derivatives that are valued by pricing vendors or brokers. As of May 31, 2020, the value of these securities and/or derivatives for Emerging Country Debt Fund and Opportunistic Income Fund was $255,212,058 and $4,154,226, respectively. The inputs for these investments are not readily available or cannot be reasonably estimated.

 


Investments in affiliated companies and other Funds of the Trust

An affiliated company for the purposes of this disclosure is a company in which a Fund has or had direct ownership of at least 5% of the issuer’s voting securities or an investment in other funds of GMO Trust (“underlying funds”). A summary of the Funds’ transactions involving companies that are or were affiliates during the period ended May 31, 2020 is set forth below:

 

               
Affiliate   Value,
beginning of
period
    Purchases     Sales
Proceeds
    Dividend
Income*
    Net Realized
Gain (Loss)
    Net Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value, end of
period
 
Asset Allocation Bond Fund  

GMO U.S. Treasury Fund

  $ 8,656,379     $ 8,838,680     $ 9,480,000     $ 8,918     $ 43,045     $ (3,307   $ 8,054,797  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         
Core Plus Bond Fund  

GMO Emerging Country Debt Fund, Class IV

  $ 29,316,657     $     $ 5,500,000     $     $ (593,426   $ (1,856,919   $ 21,366,312  

GMO Opportunistic Income Fund, Class VI

    108,395,452             24,000,000             37,785       (2,711,407     81,721,830  

GMO U.S. Treasury Fund

    4,517,130       127,600,000       91,790,000       14,036       29,969       18,354       40,375,453  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Totals

  $ 142,229,239     $ 127,600,000     $ 121,290,000     $ 14,036     $ (525,672   $ (4,549,972   $ 143,463,595  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
   
                                                         
Emerging Country Debt Fund  

GMO U.S. Treasury Fund

  $ 74,487,484     $     $     $ 81,069     $     $ 296,763     $ 74,784,247  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
   
                                                         
High Yield Fund  

GMO U.S. Treasury Fund

  $ 385,180     $ 18,005,516     $ 18,421,358     $ 7,123     $ 30,662     $     $  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         
Opportunistic Income Fund  

GMO U.S. Treasury Fund

  $ 10,256,103     $ 8,500,000     $ 10,273,000     $ 5,073     $ 61,270     $ (40,832   $ 8,503,541  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
   
                                                         

 

  *

The table above includes estimated sources of all distributions paid by the underlying funds during the period March 1, 2020 through May 31, 2020. The actual tax characterization of distributions paid by the underlying funds will be determined at the end of the fiscal year ending February 28, 2021.

Subsequent events

Effective June 30, 2020, the name of GMO Core Plus Bond Fund was changed to GMO Multi-Sector Fixed Income Fund.

* * *

For additional information regarding the Funds, please see the Funds’ most recent annual or semiannual shareholder report available on the SEC’s website, www.sec.gov, or visit GMO’s website at www.gmo.com.

 


GMO Climate Change Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares     Description   Value ($)  
    COMMON STOCKS — 92.7%

 

          Argentina — 1.0%  
    240,815     Adecoagro SA *         1,037,913  
     

 

 

 
          Australia — 1.1%  
    794,717     Infigen Energy     318,839  
    19,699     OZ Minerals Ltd     124,291  
    221,519     Sandfire Resources NL     648,587  
    76,818     Western Areas Ltd     117,276  
     

 

 

 
    Total Australia     1,208,993  
     

 

 

 
          Brazil — 1.5%  
    173,400     Duratex SA     349,640  
    256,300     Sao Martinho SA     933,214  
    73,300     SLC Agricola SA     342,166  
     

 

 

 
    Total Brazil     1,625,020  
     

 

 

 
          Canada — 3.1%  
    79,663     Canadian Solar Inc * (a)     1,497,664  
    1,589,600     Largo Resources Ltd * (a)     1,039,068  
    52,600     Lundin Mining Corp     242,208  
    41,700     NFI Group Inc (a)     494,579  
    10,000     TransAlta Renewables Inc (a)     104,078  
     

 

 

 
    Total Canada     3,377,597  
     

 

 

 
          China — 3.3%  
    728,000     CGN Power Co Ltd – Class H     167,709  
    1,097,000     Chaowei Power Holdings Ltd     347,809  
    1,450,000     China Suntien Green Energy Corp Ltd – Class H     319,376  
    546,000     China Water Affairs Group Ltd.     365,095  
    40,700     Hollysys Automation Technologies Ltd     508,343  
    168,000     MMG Ltd *     29,402  
    1,382,000     Sinofert Holdings Ltd *     114,740  
    878,000     Tianneng Power International Ltd     889,742  
    848,000     Wasion Group Holdings Ltd     274,514  
    312,374     Zhengzhou Yutong Bus Co Ltd – Class A     530,279  
     

 

 

 
    Total China     3,547,009  
     

 

 

 
          Denmark — 2.8%  
    29,015     Vestas Wind Systems A/S     2,963,466  
     

 

 

 
          Finland — 0.4%  
    32,413     Kemira Oyj     415,638  
     

 

 

 
          France — 8.5%  
    8,278     Albioma SA     294,922  
    99,546     Electricite de France SA     888,240  
    20,635     Nexans SA *     845,649  
    10,259     Schneider Electric SE     1,015,772  
    33,489     STMicroelectronics NV     837,275  
    91,248     Suez (a)     1,040,412  
    79,373     Valeo SA     1,962,010  
Shares     Description   Value ($)  
          France — continued  
    78,541     Veolia Environnement SA     1,729,469  
    10,885     Vilmorin & Cie SA     573,183  
     

 

 

 
    Total France         9,186,932  
     

 

 

 
          Germany — 2.4%  
    13,683     CENTROTEC Sustainable AG     223,560  
    69,133     E.ON SE     733,339  
    209     Knorr-Bremse AG     22,136  
    14,369     Siemens AG (Registered)     1,584,250  
     

 

 

 
    Total Germany     2,563,285  
     

 

 

 
          India — 0.2%  
    609,266     Jain Irrigation Systems Ltd *     61,191  
    253,775     Rashtriya Chemicals & Fertilizers Ltd     135,637  
     

 

 

 
    Total India     196,828  
     

 

 

 
          Israel — 1.0%  
    298,268     ICL Group Ltd     1,039,997  
     

 

 

 
          Italy — 4.1%  
    371,695     Enel SPA     2,873,843  
    70,290     Prysmian SPA     1,506,523  
     

 

 

 
    Total Italy     4,380,366  
     

 

 

 
          Japan — 10.5%  
    6,900     Central Japan Railway Co     1,182,534  
    900     Daikin Industries Ltd     132,521  
    14,400     East Japan Railway Co     1,131,015  
    33,400     Ebara Corp     808,218  
    51,900     GS Yuasa Corp     920,740  
    15,300     Iseki & Co Ltd     176,185  
    77,500     Kubota Corp     1,043,617  
    20,100     Kurita Water Industries Ltd     556,524  
    7,300     METAWATER Co Ltd     326,030  
    47,700     Osaki Electric Co Ltd     229,186  
    192,200     Panasonic Corp     1,721,900  
    189,100     Renesas Electronics Corp *     983,576  
    14,000     Sanken Electric Co Ltd     324,084  
    38,800     Takuma Co Ltd     505,420  
    7,600     Tsukishima Kikai Co Ltd (a)     91,153  
    17,800     West Japan Railway Co     1,152,328  
     

 

 

 
    Total Japan     11,285,031  
     

 

 

 
          Mexico — 2.5%  
    1,257,457     Grupo Mexico SAB de CV     2,708,910  
     

 

 

 
          Netherlands — 0.7%  
    45,039     Arcadis NV * (a)     773,161  
     

 

 

 
          Norway — 1.5%  
    178,774     Austevoll Seafood ASA (a)     1,364,341  
    27,157     Grieg Seafood ASA     278,104  
 


GMO Climate Change Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares     Description   Value ($)  
          Norway — continued  
    1,183     Mowi ASA     22,297  
     

 

 

 
    Total Norway     1,664,742  
     

 

 

 
          Pakistan — 0.5%  
    769,421     Fauji Fertilizer Co Ltd     515,794  
     

 

 

 
          Portugal — 1.2%  
    287,491     EDP – Energias de Portugal SA         1,343,038  
     

 

 

 
          Russia — 5.3%  
    93,799     MMC Norilsk Nickel PJSC ADR     2,967,575  
    120,768     PhosAgro PJSC GDR (Registered)     1,677,334  
    116,061     Ros Agro Plc GDR (Registered)     1,084,510  
     

 

 

 
    Total Russia     5,729,419  
     

 

 

 
          Spain — 2.7%  
    4,904     Acciona SA     491,073  
    2,409     Construcciones y Auxiliar de Ferrocarriles SA     83,253  
    54,442     Endesa SA     1,300,420  
    11,949     Fomento de Construcciones y Contratas SA     120,815  
    48,331     Iberdrola SA     523,303  
    22,896     Red Electrica Corp SA     403,156  
     

 

 

 
    Total Spain     2,922,020  
     

 

 

 
          Switzerland — 1.2%  
    571     Gurit Holding AG     868,503  
    6,551     Landis+Gyr Group AG *     432,502  
     

 

 

 
    Total Switzerland     1,301,005  
     

 

 

 
          Taiwan — 0.2%  
    58,000     Delta Electronics Inc     267,021  
     

 

 

 
          Thailand — 0.3%  
    525,000     SPCG Pcl     289,093  
     

 

 

 
          Ukraine — 0.7%  
    77,000     Kernel Holding SA     794,672  
     

 

 

 
          United Kingdom — 3.3%  
    19,600     Abengoa Yield Plc     513,520  
    188,356     Drax Group Plc     492,506  
    40,875     Go-Ahead Group Plc     551,061  
    126,447     KAZ Minerals Plc     747,336  
    71,993     Polypipe Group Plc     386,701  
    159,653     Renewables Infrastructure Group Ltd (The)     241,125  
    961,840     Renewi Plc     279,569  
    435,654     Stagecoach Group Plc     367,940  
     

 

 

 
    Total United Kingdom     3,579,758  
     

 

 

 
          United States — 32.7%  
    16,000     AGCO Corp.     883,680  
    29,260     Albemarle Corp. (a)     2,238,975  
    68,739     BorgWarner, Inc.     2,209,959  
    5,200     CORTEVA, Inc. *     142,012  
Shares     Description   Value ($)  
          United States — continued  
    54,400     Delphi Technologies Plc *     700,672  
    10,800     Eaton Corp Plc     916,920  
    10,000     Edison International     581,100  
    9,600     EnerSys     607,680  
    28,700     Exelon Corp.     1,099,497  
    21,700     First Solar, Inc. *     1,011,654  
    392,609     Freeport-McMoRan, Inc.     3,560,964  
    24,100     FutureFuel Corp.     315,228  
    252,305     GrafTech International Ltd. (a)     1,725,766  
    16,500     Johnson Controls International Plc     518,265  
    111,700     Livent Corp. * (a)     752,858  
    338,184     Mosaic Co. (The)     4,088,644  
    11,600     MYR Group, Inc. *     334,196  
    72,100     ON Semiconductor Corp. *     1,188,929  
    31,200     Owens Corning     1,638,000  
    139,236     Renewable Energy Group, Inc. *     3,961,264  
    8,200     Rexnord Corp.     246,820  
    36,392     SolarEdge Technologies, Inc. *     5,164,025  
    15,500     TE Connectivity Ltd.     1,259,375  
    700     Valmont Industries, Inc.     79,800  
     

 

 

 
    Total United States     35,226,283  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $100,651,710)
        99,942,991  
     

 

 

 
          PREFERRED STOCKS (b) — 2.4%  
          Chile — 2.4%  
    105,700     Sociedad Quimica y Minera de Chile SA Sponsored ADR     2,575,909  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $4,124,657)
    2,575,909  
     

 

 

 
          MUTUAL FUNDS — 5.8%  
          United States — 5.8%  
          Affiliated Issuers — 5.8%      
    1,237,979     GMO U.S. Treasury Fund (c)     6,239,416  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $6,239,416)
    6,239,416  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.3%  
          Money Market Funds — 0.3%  
    333,890     State Street Institutional Treasury Money Market Fund-Premier Class, 0.12% (d)     333,890  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $333,890)
    333,890  
     

 

 

 
    TOTAL INVESTMENTS — 101.2%
(Cost $111,349,673)
    109,092,206  
    Other Assets and Liabilities (net) — (1.2%)     (1,255,498
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $107,836,708  
     

 

 

 
 


GMO Climate Change Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(c)

All or a portion of this security is purchased with collateral from securities loaned.

 

(d)

The rate disclosed is the 7 day net yield as of May 31, 2020.

Portfolio Abbreviations:

ADR - American Depositary Receipt

GDR - Global Depositary Receipt

PJSC - Private Joint-Stock Company

 


GMO Cyclical Focus Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares     Description   Value ($)  
    COMMON STOCKS — 97.3%

 

          Canada — 1.8%  
    62,900     Nutrien Ltd     2,138,600  
     

 

 

 
          Finland — 2.4%  
    70,321     Neste Oyj     2,865,504  
     

 

 

 
          France — 6.7%  
    4,499     Kering SA     2,358,645  
    6,305     LVMH Moet Hennessy Louis Vuitton SE     2,645,108  
    30,571     Safran SA *     2,945,786  
     

 

 

 
    Total France         7,949,539  
     

 

 

 
          Germany — 5.4%  
    159,006     Infineon Technologies AG     3,351,486  
    27,655     Siemens AG (Registered)     3,049,094  
     

 

 

 
    Total Germany     6,400,580  
     

 

 

 
          Ireland — 1.4%  
    139,128     Ryanair Holdings Plc *     1,726,100  
     

 

 

 
          Japan — 2.6%  
    17,500     FANUC Corp     3,127,224  
     

 

 

 
          Mexico — 2.4%  
    1,311,400     Grupo Mexico SAB de CV Series B     2,825,118  
     

 

 

 
          Russia — 4.8%  
    37,837     LUKOIL PJSC Sponsored ADR     2,842,873  
    19,702     Novatek PJSC Sponsered GDR (Registered)     2,884,058  
     

 

 

 
    Total Russia     5,726,931  
     

 

 

 
          Spain — 3.4%  
    28,784     Amadeus IT Holding SA     1,505,156  
    90,939     Industria de Diseno Textil SA     2,532,965  
     

 

 

 
    Total Spain     4,038,121  
     

 

 

 
          Switzerland — 2.3%  
    3,307     Partners Group Holding AG     2,754,977  
     

 

 

 
          United Kingdom — 9.3%  
    136,868     Anglo American Plc     2,897,363  
    51,883     Berkeley Group Holdings Plc (The)     2,643,005  
    166,996     Compass Group Plc     2,448,059  
    105,376     Persimmon Plc     3,005,738  
     

 

 

 
    Total United Kingdom     10,994,165  
     

 

 

 
          United States — 54.8%  
    16,800     3M Co.     2,628,192  
    28,700     American Express Co.     2,728,509  
    51,600     Applied Materials, Inc.     2,898,888  
    1,700     Booking Holdings, Inc. *     2,787,014  
Shares     Description   Value ($)  
          United States — continued  
    98,700     BorgWarner, Inc.     3,173,205  
    67,800     Charles Schwab Corp. (The)     2,434,698  
    32,600     Chevron Corp.     2,989,420  
    88,700     Corteva, Inc. *     2,422,397  
    64,600     EOG Resources, Inc.     3,292,662  
    31,900     Hasbro, Inc.     2,344,969  
    21,300     Hilton Worldwide Holdings, Inc.     1,689,303  
    12,500     Home Depot, Inc. (The)     3,106,000  
    15,500     Honeywell International, Inc.     2,260,675  
    16,300     Illinois Tool Works, Inc.     2,811,098  
    28,200     Intercontinental Exchange, Inc.     2,742,450  
    33,300     Las Vegas Sands Corp.     1,596,402  
    95,100     Lyft, Inc. – Class A *     2,972,826  
    2,619     Markel Corp. *     2,350,343  
    7,800     O’Reilly Automotive, Inc. *     3,254,472  
    43,800     Raytheon Technologies Corp.     2,825,976  
    80,600     Sensata Technologies Holding Plc *     2,873,390  
    27,100     Skyworks Solutions, Inc.     3,212,434  
    70,000     US Bancorp     2,489,200  
    39,000     Verso Corp. – Class A *     560,820  
    45,900     VF Corp.     2,574,990  
     

 

 

 
    Total United States     65,020,333  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $106,495,120)
    115,567,192  
     

 

 

 
          PREFERRED STOCKS (a) — 2.2%  
          Brazil — 2.2%  
    393,000     Bradespar SA     2,596,041  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $2,188,818)
    2,596,041  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.4%  
          Money Market Funds — 0.4%  
    452,058     State Street Institutional Treasury Money Market
Fund – Premier Class, 0.12% (b)
    452,058  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $452,058)
    452,058  
     

 

 

 
    TOTAL INVESTMENTS — 99.9%
(Cost $109,135,996)
    118,615,291  
    Other Assets and Liabilities (net) — 0.1%     67,527  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $118,682,818  
     

 

 

 
 


GMO Cyclical Focus Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2020.

Portfolio Abbreviations:

ADR - American Depositary Receipt

GDR - Global Depositary Receipt

PJSC - Private Joint-Stock Company

 


GMO Emerging Domestic Opportunities Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares     Description       
Value ($)
 
    COMMON STOCKS — 75.3%

 

          Brazil — 0.8%  
    450,700     Atacadao SA     1,561,652  
    384,400     B3 SA – Brasil Bolsa Balcao     3,281,191  
    317,600     Rumo SA *     1,340,916  
     

 

 

 
    Total Brazil     6,183,759  
     

 

 

 
          China — 37.3%  
    786,750     A-Living Services Co Ltd – Class H     4,254,322  
    202,500     Alibaba Group Holding Ltd *     5,236,018  
    247,276     Alibaba Group Holding Ltd Sponsored ADR *     51,282,570  
    502,391     Angel Yeast Co Ltd – Class A     2,981,603  
    513,500     Anhui Conch Cement Co Ltd – Class H     3,872,044  
    1,950,577     China International Capital Corp Ltd – Class H *     3,182,718  
    1,881,000     China Merchants Bank Co Ltd – Class H     8,863,384  
    423,500     China Overseas Land & Investment Ltd     1,298,781  
    960,000     China Resources Land Ltd     3,828,296  
    482,500     JD.com Inc ADR *     26,214,225  
    2,183,500     Jiangsu Expressway Co Ltd – Class A     3,078,512  
    493,819     Jiangsu Hengli Hydraulic Co Ltd – Class A     5,094,093  
    31,787     Kweichow Moutai Co Ltd – Class A     6,092,863  
    854,500     Longfor Group Holdings Ltd     3,907,743  
    111,400     Meituan Dianping – Class B *     2,121,729  
    2,931,600     MGM China Holdings Ltd     3,501,934  
    1,196,182     Midea Group Co Ltd – Class A     9,925,239  
    41,600     NetEase Inc ADR     15,928,640  
    39,400     New Oriental Education & Technology Group Inc Sponsored ADR *     4,726,424  
    2,254,108     Ping An Bank Co Ltd – Class A     4,123,547  
    304,246     Ping An Insurance Group Co of China Ltd – Class H     3,010,854  
    2,136,000     Shenzhen International Holdings Ltd     3,577,393  
    122,483     Shenzhen Mindray Bio-Medical Electronics Co Ltd – Class A     4,784,226  
    721,959     Shenzhen YUTO Packaging Technology Co Ltd – Class A     2,633,398  
    361,600     Shenzhou International Group Holdings Ltd     4,351,282  
    432,000     Shimao Property Holdings Ltd     1,811,740  
    3,514,500     Sun Art Retail Group Ltd     5,409,805  
    92,200     Sunny Optical Technology Group Co Ltd     1,239,065  
    1,084,962     Suofeiya Home Collection Co Ltd – Class A     3,939,481  
    126,100     TAL Education Group ADR *     7,119,606  
    1,235,784     Tencent Holdings Ltd     66,924,942  
    76,400     Vipshop Holdings Ltd ADR *     1,324,776  
    79,469     Wuliangye Yibin Co Ltd – Class A     1,654,015  
    297,000     Yihai International Holding Ltd *     2,669,919  
    115,800     Yum China Holdings Inc     5,366,172  
    443,000     Zhongsheng Group Holdings Ltd     2,292,005  
    132,600     ZTO Express Cayman, Inc ADR     4,325,412  
     

 

 

 
    Total China     291,948,776  
     

 

 

 
    
Shares
    Description   Value ($)  
    Hong Kong — 0.5%

 

    430,164     AIA Group Ltd     3,529,830  
     

 

 

 
          India — 5.7%  
    70,999     Ajanta Pharma Ltd     1,437,987  
    2,576,263     Bharti Airtel Ltd *     18,720,906  
    138,326     Cipla Ltd     1,188,531  
    632,132     CMI Ltd     183,803  
    1,048,219     Coffee Day Enterprises Ltd *     215,509  
    44,774     Colgate-Palmolive India Ltd     822,110  
    125,365     Deepak Nitrite Ltd     833,412  
    10,683,040     Gayatri Highways Ltd *     49,257  
    11,052,457     Gayatri Projects Ltd *(a)     1,957,662  
    65,287     Hero MotoCorp Ltd     2,038,356  
    65,875     Hindustan Unilever Ltd     1,796,976  
    447,732     ICICI Bank Ltd     1,965,512  
    81,553     Ipca Laboratories Ltd     1,585,875  
    42,148     Jubilant Foodworks Ltd     914,727  
    94,882     Kotak Mahindra Bank Ltd     1,541,208  
    8,175     Nestle India Ltd     1,901,907  
    233,026     Reliance Industries Ltd     4,544,402  
    104,916     Torrent Pharmaceuticals Ltd     3,191,854  
     

 

 

 
    Total India     44,889,994  
     

 

 

 
          Indonesia — 0.5%  
    1,117,400     Bank Central Asia Tbk PT     1,984,704  
    20,180,500     Uni-Charm Indonesia Tbk PT *     2,156,469  
     

 

 

 
    Total Indonesia     4,141,173  
     

 

 

 
          Japan — 0.3%  
    13,000     Daikin Industries Ltd     1,910,612  
     

 

 

 
          Mexico — 1.5%  
    987,718     Grupo Financiero Banorte SAB de CV – Class O     3,008,877  
    3,414,724     Wal-Mart de Mexico SAB de CV     8,546,627  
     

 

 

 
    Total Mexico       11,555,504  
     

 

 

 
          Peru — 0.0%  
    2,140     Credicorp Ltd     294,935  
     

 

 

 
          Philippines — 0.7%  
    3,653,440     Puregold Price Club Inc     3,323,124  
    9,925,400     Semirara Mining & Power Corp     2,159,583  
     

 

 

 
    Total Philippines     5,482,707  
     

 

 

 
          Russia — 1.2%  
    535,101     Sberbank of Russia PJSC Sponsored ADR     6,102,155  
    119,995     X5 Retail Group NV GDR (Registered)     3,547,267  
     

 

 

 
    Total Russia     9,649,422  
     

 

 

 
          South Africa — 1.1%  
    688,747     FirstRand Ltd     1,581,697  
 


GMO Emerging Domestic Opportunities Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          South Africa — continued  
    42,321     Naspers Ltd – N Shares     6,889,561  
     

 

 

 
    Total South Africa     8,471,258  
     

 

 

 
          South Korea — 7.9%  
    23,323     Kakao Corp     4,980,919  
    70,325     KB Financial Group Inc     1,930,680  
    1,893     LG Household & Health Care Ltd     2,098,073  
    15,127     NAVER Corp     2,766,555  
    1,027,765     Samsung Electronics Co Ltd     42,329,600  
    84,939     SK Hynix Inc     5,632,522  
    10,938     SK Telecom Co Ltd     1,910,339  
     

 

 

 
    Total South Korea     61,648,688  
     

 

 

 
          Switzerland — 2.6%  
    189,417     Nestle SA (Registered)     20,566,330  
     

 

 

 
          Taiwan — 13.0%  
    305,000     Advantech Co Ltd     3,026,266  
    105,000     Airtac International Group     1,810,229  
    235,000     Catcher Technology Co Ltd     1,712,660  
    8,426,000     CTBC Financial Holding Co Ltd     5,616,199  
    1,675,000     Delta Electronics Inc     7,711,380  
    3,882,575     E.Sun Financial Holding Co Ltd     3,457,507  
    2,911,000     Hon Hai Precision Industry Co Ltd     7,364,516  
    36,000     Largan Precision Co Ltd     4,611,839  
    230,000     MediaTek Inc     3,551,095  
    5,778,000     Mega Financial Holding Co Ltd     5,936,224  
    1,253,000     Quanta Computer Inc     2,927,022  
    3,653,486     Taiwan Cement Corp     5,186,855  
    4,061,800     Taiwan Semiconductor Manufacturing Co Ltd     39,485,858  
    100,900     Taiwan Semiconductor Manufacturing Co Ltd Sponsored ADR     5,078,297  
    4,450,000     Wistron Corp     4,242,565  
     

 

 

 
    Total Taiwan     101,718,512  
     

 

 

 
          Thailand — 0.9%  
    1,033,035     CP ALL Pcl (Foreign Registered)     2,294,265  
    663,900     Kasikornbank Pcl NVDR     2,003,596  
    7,784,200     Quality Houses Leasehold Property Fund     2,693,592  
     

 

 

 
    Total Thailand     6,991,453  
     

 

 

 
          Turkey — 0.2%  
    2,144,919     Akbank TAS *     1,795,160  
     

 

 

 
          United States — 0.4%  
    25,300     PepsiCo, Inc.     3,328,215  
     

 

 

 
          Vietnam — 0.7%  
    1,473,370     Bank for Foreign Trade of Vietnam JSC     5,420,385  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $581,463,682)
    589,526,713  
     

 

 

 
Shares /
Par Value†
    Description   Value ($)  
          PREFERRED STOCKS (b) — 0.4%  
          Brazil — 0.4%  
    469,432     Itau Unibanco Holding SA     2,026,819  
    119,400     Telefonica Brasil SA     1,054,760  
     

 

 

 
    Total Brazil     3,081,579  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $4,027,180)
    3,081,579  
     

 

 

 
          INVESTMENT FUNDS — 19.1%  
          Brazil — 1.4%  
    402,800     iShares MSCI Brazil ETF     10,952,132  
     

 

 

 
          Russia — 5.0%  
    1,875,100     VanEck Vectors Russia ETF     38,664,562  
     

 

 

 
          South Korea — 1.2%  
    441,620     Samsung Kodex 200 ETF     9,586,991  
     

 

 

 
          Taiwan — 0.4%  
    89,700     iShares MSCI Taiwan ETF     3,335,046  
     

 

 

 
          Thailand — 4.4%  
    69,067,590     Digital Telecommunications Infrastructure Fund     34,544,069  
     

 

 

 
          United States — 6.7%  
    1,168,113     iShares Core MSCI Emerging Markets ETF     52,611,810  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $147,913,949)
    149,694,610  
     

 

 

 
          DEBT OBLIGATIONS — 1.4%  
          United States — 1.4%  
    11,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 0.17%, due 07/31/20 (c)     11,000,603  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $11,001,013)
    11,000,603  
     

 

 

 
          RIGHTS/WARRANTS — 0.0%  
          India — 0.0%  
    10,063     Reliance Industries Ltd, Expires 12/31/59 *     29,677  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $0)
    29,677  
     

 

 

 
 


GMO Emerging Domestic Opportunities Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
    MUTUAL FUNDS — 2.3%

 

          United States — 2.3%  
          Affiliated Issuers — 2.3%      
    3,611,927     GMO U.S. Treasury Fund     18,204,112  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $18,204,112)
      18,204,112  
     

 

 

 
    
Shares
    Description   Value ($)  
    SHORT-TERM INVESTMENTS — 0.9%

 

          Money Market Funds — 0.9%  
    7,344,394     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (d)     7,344,394  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $7,344,394)
    7,344,394  
     

 

 

 
    TOTAL INVESTMENTS — 99.4%
(Cost $769,954,330)
    778,881,688  
    Other Assets and Liabilities (net) — 0.6%     4,595,806  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $783,477,494  
     

 

 

 
 

 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

 

Forward Currency Contracts

 

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
02/25/2021   MSCI   THB     1,537,784,049     USD     48,609,987       304,005  
02/25/2021   MSCI   USD     9,719,383     THB     305,091,425       (135,631
           

 

 

 
            $ 168,374  
           

 

 

 

Futures Contracts

 

Number
of
Contracts +

  Type   Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
103   Mini MSCI Emerging
Markets
    June 2020     $ 4,804,435     $ 300,930  
     

 

 

   

 

 

 
Sales        
1,556   SET 50     June 2020     $ 8,752,164     $ (1,477,196
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

    

Sales - Fund is short the futures contract.

 

 

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.


GMO Emerging Domestic Opportunities Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

Affiliated company.

 

(b)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(c)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(d)

The rate disclosed is the 7 day net yield as of May 31, 2020.

The rates shown on variable rate notes are the current interest rates at May 31, 2020, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

ADR - American Depositary Receipt

ETF - Exchange-Traded Fund

Foreign Registered - Shares issued to foreign investors in markets that have foreign ownership limits.

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

NVDR - Non-Voting Depositary Receipt

PJSC - Private Joint-Stock Company

USBM - U.S. Treasury 3 Month Bill Money Market Yield.

Counterparty Abbreviations:

MSCI - Morgan Stanley & Co. International PLC

Currency Abbreviations:

THB - Thai Baht

USD - United States Dollar

 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
    COMMON STOCKS — 92.0%

 

          Argentina — 0.1%  
    108,600     Banco Macro SA ADR     1,863,576  
    231,700     Grupo Financiero Galicia SA ADR     1,855,917  
     

 

 

 
    Total Argentina              3,719,493  
     

 

 

 
          Brazil — 0.1%  
    1,635,100     Embraer SA *     2,276,632  
     

 

 

 
          Chile — 0.1%  
    2,346,905     Banco de Chile     199,417  
    305     Banco Santander Chile     12  
    2,500     Banco Santander Chile ADR     39,425  
    667,617     Enel Americas SA     97,173  
    69,280     Inversiones La Construccion SA     450,095  
    157,793,069     Itau CorpBanca Chile SA     366,686  
    253,501     Parque Arauco SA     427,569  
     

 

 

 
    Total Chile     1,580,377  
     

 

 

 
          China — 39.7%  
    4,972,000     361 Degrees International Ltd     657,183  
    28,000     AAC Technologies Holdings Inc     145,161  
    2,420,000     Agile Group Holdings Ltd     2,511,617  
    1,786,200     Agricultural Bank of China Ltd – Class A     851,190  
    81,675,290     Agricultural Bank of China Ltd – Class H     33,146,407  
    121,900     Alibaba Group Holding Ltd *     3,151,953  
    681,826     Alibaba Group Holding Ltd Sponsored ADR *     141,403,894  
    4,774,260     Anhui Conch Cement Co Ltd – Class A     38,104,611  
    2,787,500     Anhui Conch Cement Co Ltd – Class H     21,019,127  
    1,709,499     Anhui Expressway Co Ltd – Class A     1,247,670  
    41,000     ANTA Sports Products Ltd     367,443  
    593,000     Asia Cement China Holdings Corp     681,785  
    90,702,682     Bank of China Ltd – Class H     33,340,640  
    3,622,000     BBMG Corp – Class H     752,296  
    614,000     Beijing Capital International Airport Co Ltd – Class H     384,672  
    478,000     Beijing Enterprises Water Group Ltd *     181,706  
    7,114,792     Beijing North Star Co Ltd – Class A     2,716,711  
    642,500     Budweiser Brewing Co APAC Ltd *     1,811,118  
    132,000     CGN Power Co Ltd – Class H     30,409  
    101,000     China Aoyuan Group Ltd     108,299  
    3,318,000     China Coal Energy Co Ltd – Class H     796,166  
    19,482,560     China Communications Services Corp Ltd – Class H     12,992,506  
    4,083,200     China Construction Bank Corp – Class A     3,646,930  
    112,177,906     China Construction Bank Corp – Class H     88,473,961  
    88,400     China Gas Holdings Ltd     312,525  
    2,127,276     China International Travel Service Corp Ltd – Class A     30,245,281  
    12,836,000     China Jinmao Holdings Group Ltd     8,961,467  
    200,000     China Kepei Education Group Ltd     163,048  
    2,559,000     China Lesso Group Holdings Ltd     3,111,100  
    9,465,000     China Machinery Engineering Corp – Class H     2,251,316  
         
Shares
    Description   Value ($)  
          China — continued  
    923,000     China Medical System Holdings Ltd     1,058,459  
    745,364     China Merchants Bank Co Ltd – Class A     3,542,760  
    51,500     China Merchants Bank Co Ltd – Class H     242,671  
    939,437     China Mobile Ltd     6,642,512  
    16,600     China Mobile Ltd Sponsored ADR     583,656  
    1,485,071     China National Chemical Engineering Co Ltd – Class A     1,159,411  
    4,812,000     China Oriental Group Co Ltd     1,335,025  
    1,580,000     China Overseas Grand Oceans Group Ltd     846,861  
    8,588,000     China Overseas Land & Investment Ltd     26,337,499  
    2,894,600     China Pacific Insurance Group Co Ltd – Class A     11,515,506  
    1,623,800     China Pacific Insurance Group Co Ltd – Class H     4,513,360  
    9,920,000     China Resources Cement Holdings Ltd     12,533,102  
    1,142,000     China Resources Gas Group Ltd     6,256,152  
    7,044,000     China Resources Land Ltd     28,090,123  
    1,964,000     China SCE Group Holdings Ltd     817,589  
    11,489,396     China Shenhua Energy Co Ltd – Class A     26,397,022  
    14,837,000     China Shenhua Energy Co Ltd – Class H     27,176,974  
    1,227,000     China Taiping Insurance Holdings Co Ltd     1,835,577  
    7,317,221     China Vanke Co Ltd – Class A     26,432,051  
    2,401,200     China Zhongwang Holdings Ltd     452,268  
    38,000     CIFI Holdings Group Co Ltd     27,605  
    14,047,000     CNOOC Ltd     16,048,149  
    12,337,714     Country Garden Holdings Co Ltd     15,443,641  
    611,500     Dali Foods Group Co Ltd     388,956  
    1,830,620     Daqin Railway Co Ltd – Class A     1,749,873  
    3,848,000     Datang International Power Generation Co Ltd – Class H     516,277  
    3,163,000     Dongyue Group Ltd     1,265,034  
    67,200     ENN Energy Holdings Ltd     788,929  
    718,000     Fu Shou Yuan International Group Ltd     670,997  
    10,372,000     Geely Automobile Holdings Ltd     14,331,124  
    2,127,000     Greenland Hong Kong Holdings Ltd     696,224  
    18,776,000     Guangdong Investment Ltd     37,128,103  
    215,000     Haier Electronics Group Co Ltd     601,974  
    209,000     Haitian International Holdings Ltd     444,743  
    1,357,922     Hangzhou Robam Appliances Co Ltd – Class A     6,487,203  
    1,305,000     Hebei Construction Group Corp Ltd – Class H     1,143,588  
    7,715,955     Hisense Home Appliances Group Co Ltd – Class A     12,856,074  
    217,800     Hollysys Automation Technologies Ltd     2,720,322  
    388,000     Hopson Development Holdings Ltd     418,626  
    10,248,000     Hua Han Health Industry Holdings Ltd *(a)     687,475  
    7,835,000     Huabao International Holdings Ltd     2,743,556  
    4,360,000     Huadian Power International Corp Ltd – Class H     1,338,683  
    1,599,450     Huaxin Cement Co Ltd – Class A     5,583,059  
    2,303,342     Huayu Automotive Systems Co Ltd – Class A     6,205,013  
    2,280,600     Industrial & Commercial Bank of China Ltd – Class A     1,637,309  
    94,761,647     Industrial & Commercial Bank of China Ltd – Class H          61,378,811  
    27,000     Jiangsu Expressway Co Ltd – Class A     38,067  
    1,949,500     Kingboard Laminates Holdings Ltd     1,722,040  
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          China — continued  
    1,208,000     Kunlun Energy Co Ltd     745,042  
    137,207     Kweichow Moutai Co Ltd – Class A     26,299,538  
    74,692     Lao Feng Xiang Co Ltd – Class A     487,358  
    6,136,000     Logan Property Holdings Co Ltd     9,222,008  
    2,275,500     Longfor Group Holdings Ltd     10,406,166  
    1,888,000     Lonking Holdings Ltd     638,509  
    1,424,000     Maanshan Iron & Steel Co Ltd – Class H     407,828  
    3,990,000     Metallurgical Corp of China Ltd – Class H     617,687  
    1,618,506     Midea Group Co Ltd – Class A (b)     13,429,444  
    2,878,114     Midea Group Co Ltd – Class A (b)     23,880,957  
    72,200     NetEase Inc ADR     27,645,380  
    705,100     New China Life Insurance Co Ltd – Class H     2,213,592  
    2,532,000     Nexteer Automotive Group Ltd     1,375,182  
    1,553,000     PAX Global Technology Ltd     603,388  
    32,101,000     PICC Property & Casualty Co Ltd – Class H          28,085,979  
    3,327,550     Ping An Insurance Group Co of China Ltd – Class A     33,113,127  
    12,915,000     Postal Savings Bank of China Co Ltd – Class H     8,271,998  
    82,600     Qingdao Port International Co Ltd – Class A     66,251  
    5,848,400     Qingling Motors Co Ltd – Class H     1,234,717  
    1,578,000     Redsun Properties Group Ltd     553,709  
    298,000     Road King Infrastructure Ltd     388,736  
    405,437     Shenzhen Expressway Co Ltd – Class A     511,320  
    210,000     Shenzhen Expressway Co Ltd – Class H     213,146  
    4,342,789     Shenzhen Investment Ltd     1,346,067  
    458,800     Shenzhou International Group Holdings Ltd     5,520,929  
    3,593,000     Shimao Property Holdings Ltd     15,068,477  
    2,486,500     Shui On Land Ltd     412,495  
    2,041,500     Sinopec Engineering Group Co Ltd – Class H     858,438  
    2,997,699     Sinopec Shanghai Petrochemical Co Ltd – Class A     1,498,817  
    4,271,000     Sinotrans Ltd – Class H     881,584  
    2,672,000     Sinotruk Hong Kong Ltd     6,512,981  
    4,712,703     Suning Universal Co Ltd – Class A     1,982,452  
    41,900     Sunny Optical Technology Group Co Ltd     563,089  
    315,665     Tencent Holdings Ltd     17,095,109  
    1,822,000     Tianneng Power International Ltd     1,846,366  
    98,000     Times China Holdings Ltd     145,078  
    1,628,000     Towngas China Co Ltd *     749,785  
    4,943,000     Want Want China Holdings Ltd     3,584,362  
    8,082,698     Weifu High-Technology Group Co Ltd – Class A     22,291,463  
    1,594,000     Xinyi Glass Holdings Ltd     1,693,513  
    1,811,500     Xtep International Holdings Ltd     587,432  
    2,964,000     Yadea Group Holdings Ltd     1,515,307  
    35,149,000     Yangzijiang Shipbuilding Holdings Ltd     23,457,778  
    29,000     Yum China Holdings Inc     1,343,860  
    8,390,707     Yuzhou Properties Co Ltd     3,459,899  
    5,318,000     Zhejiang Expressway Co Ltd – Class H     3,746,221  
    725,667     Zhejiang Supor Co Ltd – Class A     6,891,024  
    1,002,111     Zhejiang Weixing New Building Materials Co Ltd – Class A     1,680,714  
         
Shares
    Description   Value ($)  
          China — continued  
    89,100     Zhengzhou Coal Mining Machinery Group Co Ltd – Class A     64,043  
    60,500     Zhongsheng Group Holdings Ltd     313,016  
     

 

 

 
    Total China     1,131,919,586  
     

 

 

 
          Colombia — 0.0%  
    83,922     Grupo Argos SA     195,743  
     

 

 

 
          Czech Republic — 0.0%  
    548,395     Moneta Money Bank AS     1,219,599  
     

 

 

 
          Greece — 0.1%  
    1,828,188     Alpha Bank AE *     1,126,306  
    2,541,875     Eurobank Ergasias Services and Holdings SA *     1,089,141  
    1,228,911     National Bank of Greece SA *     1,649,261  
    19,478     Titan Cement International SA *     244,324  
     

 

 

 
    Total Greece            4,109,032  
     

 

 

 
          Hungary — 0.0%  
    27,770     Richter Gedeon Nyrt     606,926  
     

 

 

 
          India — 2.0%  
    3,922,431     Ashok Leyland Ltd     2,202,003  
    256,987     Asian Paints Ltd     5,706,600  
    10,727     CMI Ltd     3,119  
    129     Coal India Ltd     241  
    12,264,578     Gayatri Highways Ltd *(c)     56,549  
    16,772,852     Gayatri Projects Ltd *(c)     2,970,885  
    230,960     HDFC Bank Ltd     2,910,469  
    261,937     Hindustan Unilever Ltd     7,145,268  
    252,428     Housing Development Finance Corp Ltd     5,596,077  
    1,332,810     ICICI Bank Ltd     5,798,290  
    457,494     Indiabulls Housing Finance Ltd     744,619  
    3,013,682     Jai Balaji Industries Ltd *     655,385  
    1,322,083     Kiri Industries Ltd     5,523,232  
    386,197     Kotak Mahindra Bank Ltd     6,273,160  
    1,223,459     Mahindra & Mahindra Financial Services Ltd     2,260,324  
    305,314     Shriram Transport Finance Co Ltd     2,310,762  
    4,739,832     Tata Power Co Ltd (The)     2,291,053  
    312,651     Titan Co Ltd     3,695,202  
     

 

 

 
    Total India     56,143,238  
     

 

 

 
          Indonesia — 1.0%  
    4,244,600     Astra International Tbk PT     1,389,097  
    2,537,900     Bank Central Asia Tbk PT     4,515,906  
    4,897,700     Bank Mandiri Persero Tbk PT     1,505,080  
    5,312,900     Bank Negara Indonesia Persero Tbk PT     1,398,424  
    11,633,500     Bank Pembangunan Daerah Jawa Timur Tbk PT     389,251  
    36,593,200     Bank Rakyat Indonesia Persero Tbk PT     7,409,563  
    10,555,800     Bank Tabungan Negara Persero Tbk PT     549,104  
    765,500     Bank Tabungan Pensiunan Nasional Syariah Tbk PT     151,355  
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Indonesia — continued  
    6,385,200     Bukit Asam Tbk PT     850,049  
    7,227,700     Bumi Serpong Damai Tbk PT *     314,140  
    5,573,691     Indo Tambangraya Megah Tbk PT     3,102,130  
    4,038,000     Jasa Marga Persero Tbk PT     981,170  
    3,583,700     Matahari Department Store Tbk PT *     356,377  
    1,061,700     Pabrik Kertas Tjiwi Kimia Tbk PT     288,498  
    14,840,700     Pakuwon Jati Tbk PT     367,716  
    205,673,700     Panin Financial Tbk PT *     2,373,941  
    37,271,700     Ramayana Lestari Sentosa Tbk PT     1,458,100  
    6,312,600     Telekomunikasi Indonesia Persero Tbk PT     1,362,232  
     

 

 

 
    Total Indonesia          28,762,133  
     

 

 

 
          Kuwait — 0.5%  
    1,651,226     Alimtiaz Investment Group KSC *     429,319  
    96,920     Humansoft Holding Co KSC *     844,543  
    1,742,423     Kuwait Finance House KSCP     3,528,200  
    507,450     Kuwait Projects Co Holding KSCP     269,899  
    3,809,862     National Bank of Kuwait SAKP     9,503,114  
     

 

 

 
    Total Kuwait     14,575,075  
     

 

 

 
          Malaysia — 0.1%  
    8,477,600     AirAsia Group Berhad     1,345,496  
     

 

 

 
          Mexico — 1.4%  
    1,060,600     Alsea SAB de CV *     896,807  
    5,443,000     America Movil SAB de CV – Series L     3,618,112  
    37,500     Arca Continental SAB de CV     167,473  
    2,194,500     Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand     1,444,889  
    900     Coca-Cola Femsa SAB de CV Sponsored ADR     39,402  
    296,300     Concentradora Fibra Danhos SA de CV (REIT)     282,610  
    228,300     Corp Inmobiliaria Vesta SAB de CV     311,854  
    1,719,500     Credito Real SAB de CV SOFOM ER     918,897  
    231,200     El Puerto de Liverpool SAB de CV – Class C1     559,793  
    13,554,100     Fibra Uno Administracion SA de CV (REIT)     10,397,314  
    1,200     Fomento Economico Mexicano SAB de CV Sponsored ADR     81,252  
    2,013,800     Gentera SAB de CV     839,140  
    567,500     Grupo Aeroportuario del Centro Norte SAB de CV     2,499,104  
    9,400     Grupo Aeroportuario del Centro Norte SAB de CV ADR     331,350  
    9,100     Grupo Aeroportuario del Pacifico SAB de CV ADR     604,331  
    118,200     Grupo Aeroportuario del Pacifico SAB de CV – Class B     786,774  
    4,500     Grupo Aeroportuario del Sureste SAB de CV ADR     466,515  
    37,280     Grupo Aeroportuario del Sureste SAB de CV – Class B     387,233  
    3,973,000     Grupo Financiero Banorte SAB de CV – Class O     12,102,918  
    33,100     Grupo Mexico SAB de CV Series B     71,307  
    37,700     Infraestructura Energetica Nova SAB de CV     107,449  
         
Shares
    Description   Value ($)  
          Mexico — continued  
    219,400     Kimberly-Clark de Mexico SAB de CV – Class A     341,549  
    466,427     Qualitas Controladora SAB de CV     1,871,640  
    133,100     Regional SAB de CV *     371,008  
    389,800     Unifin Financiera SAB de CV SOFOM ENR (d)     298,839  
    244,300     Wal-Mart de Mexico SAB de CV     611,452  
     

 

 

 
    Total Mexico          40,409,012  
     

 

 

 
          Pakistan — 0.3%  
    461,510     Engro Corp Ltd     828,059  
    3,763,000     Engro Fertilizers Ltd     1,393,488  
    687,500     Fauji Fertilizer Co Ltd     460,877  
    3,658,100     Oil & Gas Development Co Ltd     2,593,969  
    460,400     Pakistan Oilfields Ltd     900,454  
    1,097,120     Pakistan Petroleum Ltd     630,713  
    331,420     Pakistan State Oil Co Ltd     322,304  
    245,300     Searle Co Ltd (The)     303,858  
    601,100     United Bank Ltd     359,038  
     

 

 

 
    Total Pakistan     7,792,760  
     

 

 

 
          Peru — 0.1%  
    87,100     Southern Copper Corp     3,161,730  
     

 

 

 
          Philippines — 0.3%  
    57,300     Ayala Land Inc     36,286  
    357,700     Manila Electric Co     2,003,488  
    35,324,800     Megaworld Corp     1,993,024  
    33,576,000     Metro Pacific Investments Corp     1,923,542  
    201,950     Security Bank Corp     325,945  
    6,401,200     Semirara Mining & Power Corp     1,392,782  
     

 

 

 
    Total Philippines     7,675,067  
     

 

 

 
          Poland — 3.0%  
    297,190     Alior Bank SA *     1,070,477  
    89,956     AmRest Holdings SE *     589,831  
    748,006     Bank Millennium SA *     463,605  
    961,310     Bank Polska Kasa Opieki SA     12,545,810  
    46,942     Budimex SA     2,646,220  
    186,034     CCC SA     2,245,274  
    14,936     CD Projekt SA     1,505,640  
    21,747     KRUK SA     547,046  
    67,344     Lubelski Wegiel Bogdanka SA     327,088  
    757,618     Polski Koncern Naftowy ORLEN SA     12,642,116  
    1,400,329     Powszechna Kasa Oszczednosci Bank Polski SA     7,747,265  
    5,402,940     Powszechny Zaklad Ubezpieczen SA     40,256,954  
    27,997     Santander Bank Polska SA *     1,138,228  
    135,779     Warsaw Stock Exchange     1,387,105  
     

 

 

 
    Total Poland     85,112,659  
     

 

 

 
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Qatar — 0.7%  
    6,648,431     Barwa Real Estate Co     5,400,193  
    1,456,860     Doha Bank QPSC *     818,527  
    110,881     Qatar Electricity & Water Co QSC     459,248  
    872,544     Qatar Insurance Co SAQ     499,357  
    2,385,481     Qatar National Bank QPSC     11,567,258  
    1,027,776     Qatar National Cement Co QSC     1,099,642  
     

 

 

 
    Total Qatar          19,844,225  
     

 

 

 
          Russia — 16.0%  
    26,391,150     Alrosa PJSC     24,870,558  
    7,278,500     Credit Bank of Moscow PJSC     561,017  
    1,122,300     Detsky Mir PJSC     1,586,364  
    891,060,000     Federal Grid Co Unified Energy System PJSC     2,337,423  
    639,070     Gazprom Neft PJSC     3,048,933  
    6,771     Gazprom Neft PJSC Sponsored ADR     160,834  
    680,233     Globaltrans Investment Plc Sponsored GDR (Registered)     3,793,647  
    122,746,000     Inter RAO UES PJSC     8,690,865  
    93,867     LSR Group PJSC     784,321  
    642,308     LSR Group PJSC GDR (Registered)     1,045,704  
    1,227,540     LUKOIL PJSC Sponsored ADR     92,230,899  
    619,147     M.Video PJSC     2,999,287  
    8,881,100     Magnitogorsk Iron & Steel Works PJSC     5,130,535  
    227,998     Magnitogorsk Iron & Steel Works PJSC Sponsored GDR (Registered)     1,704,273  
    1,858,437     MMC Norilsk Nickel PJSC ADR     58,796,481  
    546,100     Mobile TeleSystems PJSC Sponsored ADR     4,854,829  
    8,291,617     Moscow Exchange MICEX-RTS PJSC     13,545,846  
    143,603     Novatek PJSC Sponsered GDR (Registered)     21,021,184  
    477,200     Novolipetsk Steel PJSC     937,106  
    1,332,483     Novolipetsk Steel PJSC GDR     25,824,451  
    124,017     PhosAgro PJSC GDR (Registered)     1,722,460  
    4,308     Polymetal International Plc     86,593  
    1,378     Polyus PJSC GDR (Registered)     114,042  
    284,215     QIWI Plc Sponsored ADR     3,963,378  
    855,830     Raspadskaya OJSC     1,311,304  
    1,234,665     Rostelecom PJSC *     1,458,729  
    33,228     Rostelecom PJSC Sponsored ADR     229,878  
    92,290     Safmar Financial Investment     520,726  
    5,242,420     Sberbank of Russia PJSC Sponsored ADR     59,783,221  
    875,253     Severstal PJSC GDR (Registered)     11,552,563  
    26,661,300     Surgutneftegas PJSC     15,130,703  
    4,355,290     Surgutneftegas PJSC Sponsored ADR     24,575,299  
    519,740     Tatneft PJSC     3,957,536  
    1,070,516     Tatneft PJSC Sponsored ADR     48,784,201  
    389,731     TCS Group Holding Plc GDR (Registered)     6,787,319  
    78,505,000     Unipro PJSC     3,068,234  
    8,300     Yandex NV – Class A *     333,909  
     

 

 

 
    Total Russia     457,304,652  
     

 

 

 
         
Shares
    Description   Value ($)  
          South Africa — 2.6%  
    284,569     Absa Group Ltd     1,323,275  
    33,317     Anglo American Platinum Ltd     2,112,551  
    56,443     Astral Foods Ltd     496,599  
    209,092     Barloworld Ltd     802,291  
    28,179     Bid Corp Ltd     397,770  
    4,504     Capitec Bank Holdings Ltd     218,466  
    75,685     Clicks Group Ltd            1,005,109  
    441,038     Discovery Ltd     2,480,620  
    1,688,726     Emira Property Fund Ltd (REIT)     538,875  
    511,310     FirstRand Ltd     1,174,215  
    1,657,187     Fortress REIT Ltd – Class A     1,048,016  
    565,934     Foschini Group Ltd (The)     2,013,915  
    7,372,393     Growthpoint Properties Ltd (REIT)     5,254,920  
    1,187,176     Investec Ltd     2,088,127  
    21,120     Kumba Iron Ore Ltd     570,387  
    801,497     Lewis Group Ltd     668,660  
    254,464     Liberty Holdings Ltd     898,859  
    986,375     Mr Price Group Ltd     7,341,812  
    183,737     MTN Group Ltd     569,573  
    338,160     Nedbank Group Ltd     1,913,999  
    16,524,148     Old Mutual Ltd (d)     10,603,047  
    847,331     Rand Merchant Investment Holdings Ltd     1,317,855  
    11,380,905     Redefine Properties Ltd (REIT)     1,244,949  
    247,339     RMB Holdings Ltd     753,360  
    1,249,498     SA Corporate Real Estate Ltd (REIT)     70,632  
    4,437,470     Sanlam Ltd     14,333,048  
    2,495     SPAR Group Ltd (The)     24,944  
    68,600     Standard Bank Group Ltd     399,294  
    916,165     Telkom SA SOC Ltd     934,330  
    83,690     Tiger Brands Ltd     748,555  
    193,431     Transaction Capital Ltd     188,648  
    4,160,827     Truworths International Ltd     7,434,761  
    98,316     Vodacom Group Ltd     705,889  
    377,930     Wilson Bayly Holmes-Ovcon Ltd     2,063,949  
     

 

 

 
    Total South Africa     73,741,300  
     

 

 

 
          South Korea — 3.5%  
    221,487     DB Insurance Co Ltd     7,787,834  
    1,125,505     Dongwon Development Co Ltd     3,286,678  
    169     F&F Co Ltd     13,609  
    8,265     GS Home Shopping Inc     797,525  
    1,649,255     Hanwha Life Insurance Co Ltd     2,030,856  
    125,568     HDC Hyundai Development Co-Engineering & Construction     2,022,756  
    39,046     Hy-Lok Corp     418,198  
    15,757     Hyundai Marine & Fire Insurance Co Ltd     309,447  
    69,238     Hyundai Mobis Co Ltd     11,101,407  
    10,944     Kangwon Land Inc     214,993  
    16,061     KCC Corp     1,860,998  
    30,552     Kia Motors Corp     849,545  
    560,960     Korea Asset In Trust Co Ltd (REIT)     1,206,145  
    16,080     Medy-Tox Inc     2,194,291  
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          South Korea — continued  
    41,408     Meritz Fire & Marine Insurance Co Ltd     487,116  
    143     NCSoft Corp     91,346  
    43,971     OCI Co Ltd *     1,398,892  
    32,382     S&T Motiv Co Ltd     1,049,513  
    1,159,374     Samsung Electronics Co Ltd     47,750,058  
    14,427     Samsung Electronics Co Ltd GDR     14,891,366  
     

 

 

 
    Total South Korea          99,762,573  
     

 

 

 
          Sri Lanka — 0.0%  
    103,983,101     Anilana Hotels & Properties Ltd *(c)     452,038  
     

 

 

 
          Taiwan — 18.4%  
    1,096,532     Advantech Co Ltd     10,879,992  
    323,000     Amazing Microelectronic Corp     900,111  
    181,000     Arcadyan Technology Corp     510,049  
    6,805,560     Asustek Computer Inc     47,781,578  
    433,000     Aten International Co Ltd     1,293,438  
    129,200     Aurora Corp     384,570  
    7,208,000     Catcher Technology Co Ltd     52,531,299  
    1,776,153     Cathay Financial Holding Co Ltd     2,373,367  
    3,712,332     Chailease Holding Co Ltd     14,469,729  
    468,000     Chicony Electronics Co Ltd     1,342,750  
    20,462,000     China Development Financial Holding Corp     6,213,259  
    72,000     China Life Insurance Co Ltd *     49,869  
    11,000     Chipbond Technology Corp     22,609  
    796,000     Chong Hong Construction Co Ltd     2,220,562  
    4,568,400     Coretronic Corp     4,738,130  
    47,446,720     CTBC Financial Holding Co Ltd     31,624,757  
    57,000     Eclat Textile Co Ltd     587,291  
    1,565,000     Elite Material Co Ltd     7,710,972  
    2,564,000     Farglory Land Development Co Ltd     3,738,807  
    4,250,000     FLEXium Interconnect Inc     15,436,023  
    183,000     Formosa Chemicals & Fibre Corp     439,678  
    1,553,000     Formosa Plastics Corp     4,300,543  
    3,281,075     Foxconn Technology Co Ltd     5,908,255  
    8,449,000     Fubon Financial Holding Co Ltd     11,956,330  
    183,000     Gigabyte Technology Co Ltd     360,409  
    2,470,000     Grand Pacific Petrochemical *     1,163,408  
    427,000     Greatek Electronics Inc     640,816  
    20,718,532     Hon Hai Precision Industry Co Ltd     52,415,652  
    2,120,000     Huaku Development Co Ltd     6,715,518  
    1,431,806     IEI Integration Corp *     1,863,692  
    199,000     Innodisk Corp     1,273,238  
    267,000     Kung Long Batteries Industrial Co Ltd     1,282,692  
    4,000     Largan Precision Co Ltd     512,426  
    4,049,000     Lite-On Technology Corp     6,497,894  
    22,000     Lotes Co Ltd     296,381  
    1,280,425     Mercuries Life Insurance Co Ltd *     392,954  
    1,592,000     Merry Electronics Co Ltd     7,196,006  
    1,900,000     Micro-Star International Co Ltd     6,410,604  
    1,009,000     Nantex Industry Co Ltd     1,258,027  
    89,000     Nichidenbo Corp     155,853  
         
Shares
    Description   Value ($)  
          Taiwan — continued  
    1,375,810     Novatek Microelectronics Corp     9,420,256  
    303,000     Pegatron Corp     652,167  
    180,000     Quanta Computer Inc     420,482  
    1,698,000     Quanta Storage Inc     2,090,053  
    10,850,870     Radiant Opto-Electronics Corp     37,356,895  
    613,000     Ruentex Industries Ltd     1,333,186  
    911,000     Shinkong Insurance Co Ltd     1,083,066  
    1,564,068     Simplo Technology Co Ltd     16,756,899  
    372,200     Sitronix Technology Corp     1,893,331  
    2,361,250     Syncmold Enterprise Corp     6,382,081  
    199,000     Taiflex Scientific Co Ltd     312,734  
    9,254,000     Taiwan Semiconductor Manufacturing Co Ltd          89,960,640  
    273,010     Taiwan Semiconductor Manufacturing Co Ltd Sponsored ADR     13,740,593  
    443,000     Test Research Inc     809,087  
    76,000     Thinking Electronic Industrial Co Ltd     221,819  
    1,395,000     Transcend Information Inc     3,268,175  
    1,804,160     Tripod Technology Corp     6,784,363  
    1,567,400     United Integrated Services Co Ltd     11,000,869  
    36,000     Wiwynn Corp     964,675  
    100,000     YC INOX Co Ltd     79,999  
    143,000     Yulon Nissan Motor Co Ltd     1,263,739  
    323,000     Zeng Hsing Industrial Co Ltd     1,430,923  
     

 

 

 
    Total Taiwan     523,075,570  
     

 

 

 
          Thailand — 0.9%  
    849,400     Bangkok Bank Pcl (Foreign Registered)     2,905,346  
    570,500     Bangkok Life Assurance Pcl NVDR     269,599  
    9,834,900     Banpu Pcl (Foreign Registered)     1,932,352  
    1,709,000     Banpu Power Pcl (Foreign Registered)     940,333  
    50,272,900     Beauty Community Pcl     2,765,721  
    638,900     Hana Microelectronics Pcl (Foreign Registered)     604,222  
    980,400     Kasikornbank Pcl NVDR     2,974,500  
    277,100     Krung Thai Bank Pcl (Foreign Registered)     90,865  
    6,120,700     Land & Houses Pcl (Foreign Registered)     1,408,886  
    3,734,600     Origin Property Pcl (Foreign Registered)     594,317  
    4,087,400     Pruksa Holding Pcl (Foreign Registered)     1,531,967  
    15,794,892     Quality Houses Pcl (Foreign Registered)     1,074,660  
    838,500     Siam Commercial Bank Pcl (The) (Foreign Registered)     1,958,642  
    641,600     SPCG Pcl     353,299  
    4,880,675     Supalai Pcl (Foreign Registered)     2,274,184  
    707,600     Thai Vegetable Oil Pcl (Foreign Registered)     590,029  
    394,600     Thanachart Capital Pcl (Foreign Registered)     453,679  
    960,300     Tipco Asphalt Pcl (Foreign Registered)     665,905  
    16,400     Tisco Financial Group Pcl (Foreign Registered)     38,798  
    1,440,500     TTW Pcl (Foreign Registered)     620,564  
    2,763,800     Univentures Pcl (Foreign Registered)     290,860  
     

 

 

 
    Total Thailand     24,338,728  
     

 

 

 
          Turkey — 0.1%  
    926,517     Arcelik AS *     2,140,204  
     

 

 

 
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          United Arab Emirates — 0.2%  
    427,567     Abu Dhabi Islamic Bank PJSC     395,723  
    826,201     Al Waha Capital PJSC *     148,140  
    1,809,366     DAMAC Properties Dubai Co PJSC *     321,016  
    1,169,410     Dubai Islamic Bank PJSC     1,126,578  
    393,578     Emaar Development PJSC *     207,898  
    1,457,967     Emaar Malls PJSC *     524,765  
    4,214,670     Emaar Properties PJSC *     2,875,755  
    187,039     Emirates NBD Bank PJSC     438,773  
     

 

 

 
    Total United Arab Emirates     6,038,648  
     

 

 

 
          United Kingdom — 0.7%  
    386,665     Unilever Plc     20,761,427  
     

 

 

 
          Vietnam — 0.1%  
    1,594,290     Kinh Bac City Development Share Holding Corp     965,793  
    184,860     PetroVietnam Gas JSC     595,087  
    1,923,000     PetroVietnam Technical Services Corp     1,047,239  
    138,320     Pha Lai Thermal Power JSC     143,554  
    380,860     Vinh Hoan Corp     552,242  
     

 

 

 
    Total Vietnam     3,303,915  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $2,848,321,087)
    2,621,367,838  
     

 

 

 
          PREFERRED STOCKS (e) — 4.2%  
          Colombia — 0.0%  
    60,938     Banco Davivienda SA     400,263  
    3,055,592     Grupo Aval Acciones y Valores SA     688,942  
     

 

 

 
    Total Colombia     1,089,205  
     

 

 

 
          Russia — 2.0%  
    254,391     Bashneft PJSC     5,165,084  
    200,000     Nizhnekamskneftekhim PJSC     238,959  
    98,683,100     Surgutneftegas PJSC     49,777,532  
    1,276     Transneft PJSC     2,341,850  
     

 

 

 
    Total Russia     57,523,425  
     

 

 

 
          South Korea — 2.1%  
    1,734,179     Samsung Electronics Co Ltd     60,377,628  
     

 

 

 
          Taiwan — 0.1%  
    605,412     CTBC Financial Holding Co Ltd     1,330,429  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $112,662,471)
    120,320,687  
     

 

 

 
          INVESTMENT FUNDS — 2.5%  
          Thailand — 0.4%  
    22,546,425     Digital Telecommunications Infrastructure Fund     11,276,567  
     

 

 

 
     Shares /
Par Value†
    Description   Value ($)  
          United States — 2.1%  
    1,336,677     iShares Core MSCI Emerging Markets ETF     60,203,932  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $69,829,878)
    71,480,499  
     

 

 

 
          DEBT OBLIGATIONS — 0.7%  
          United States — 0.7%  
    19,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.15%, 0.28%, due 01/31/22 (f)     19,021,339  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $19,021,773)
    19,021,339  
     

 

 

 
          SHORT-TERM INVESTMENTS — 1.2%  
          Money Market Funds — 0.2%  
    6,769,254     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (g)     6,769,254  
     

 

 

 
          U.S. Government — 1.0%  
    29,000,000     U.S. Cash Management Bill, 0.16%, due 10/27/20 (h)     28,980,924  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $35,751,298)
    35,750,178  
     

 

 

 
    TOTAL INVESTMENTS — 100.6%
(Cost $3,085,586,507)
    2,867,940,541  
    Other Assets and Liabilities (net) — (0.6%)     (17,448,463
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $2,850,492,078  
     

 

 

 
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

 

Forward Currency Contracts

 

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation) ($)
 
06/02/2020   SSB   QAR     4,010,439     USD     1,092,167       (9,299
06/02/2020   SSB   USD     481,504     QAR     1,768,084       4,100  
           

 

 

 
            $ (5,199
           

 

 

 

Futures Contracts

 

Number
of
Contracts +

  Type   Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
3,392   Mini MSCI
Emerging Markets
    June 2020     $ 158,219,840     $ 13,643,688  
     

 

 

   

 

 

 
Sales        
1,157   SGX Nifty 50     June 2020     $ 22,091,142     $ (1,283,874
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

  

Sales - Fund is short the futures contract.

 

 

Swap Contracts

OTC Total Return Swaps

 

Fund Pays

 

Fund Receives

 

Counterparty

 

Notional
Amount

    Expiration
Date
   

Periodic
Payment
Frequency

  Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

Depreciation of Total Return on CSI 500 Index + (1 Month USD LIBOR minus 9.25%)

  Appreciation on Total Return on CSI 500 Index   GS   USD     30,789,299       12/07/2020     At Maturity   $     $ (63,584   $ (63,584
             

 

 

   

 

 

   

 

 

 

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

Investment valued using significant unobservable inputs.

 

(b)

Securities are traded on separate exchanges for the same entity.

 

(c)

Affiliated company.

 

(d)

All or a portion of this security is out on loan.

 

(e)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(f)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(g)

The rate disclosed is the 7 day net yield as of May 31, 2020.

 

(h)

The rate shown represents yield-to-maturity.

The rates shown on variable rate notes are the current interest rates at May 31, 2020, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

ADR - American Depositary Receipt

ETF - Exchange-Traded Fund

Foreign Registered - Shares issued to foreign investors in markets that have foreign ownership limits.

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

NVDR - Non-Voting Depositary Receipt

OJSC - Open Joint-Stock Company

PJSC - Private Joint-Stock Company

QPSC - Qatar Private Stock Company

REIT - Real Estate Investment Trust

SOFOM - Sociedades Financieras de Objeto Multi (Multi-purpose financial Company)

USBM - U.S. Treasury 3 Month Bill Money Market Yield.

USD LIBOR - London Interbank Offered Rate denominated in United States Dollar.

Counterparty Abbreviations:

GS - Goldman Sachs International

SSB - State Street Bank and Trust Company

Currency Abbreviations:

QAR - Qatari Rial

USD - United States Dollar

 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 97.3%

 

          Australia — 3.5%  
    134,874     Ampol Ltd     2,440,066  
    767,641     Austal Ltd     1,713,518  
    64     Commonwealth Bank of Australia     2,718  
    401,833     CSR Ltd     1,095,456  
    5,110,563     Fortescue Metals Group Ltd     47,310,564  
    62,842     JB Hi-Fi Ltd     1,558,494  
    499,255     Pact Group Holdings Ltd *     765,237  
    599,039     Rio Tinto Ltd     37,415,461  
    961,600     Sandfire Resources NL     2,815,476  
    41,305     Super Retail Group Ltd     230,863  
     

 

 

 
    Total Australia          95,347,853  
     

 

 

 
          Austria — 0.1%  
    44,120     Oesterreichische Post AG     1,482,077  
     

 

 

 
          Belgium — 0.8%  
    531,113     AGFA-Gevaert NV *     2,137,731  
    8,076     D’Ieteren SA     484,657  
    78,288     Orange Belgium SA     1,269,237  
    181,867     UCB SA     18,202,188  
     

 

 

 
    Total Belgium     22,093,813  
     

 

 

 
          Denmark — 0.0%  
    10,980     Per Aarsleff Holding A/S     372,212  
    7,459     Schouw & Co AB     607,378  
     

 

 

 
    Total Denmark     979,590  
     

 

 

 
          France — 9.0%  
    24,749     Alten SA     1,999,236  
    190,667     BNP Paribas SA *     6,861,232  
    11,852     Christian Dior SE     5,042,637  
    5,705     Eiffage SA *     520,783  
    57,333     Gaztransport Et Technigaz SA     4,303,446  
    14,927     IPSOS     365,330  
    278,966     L’Oreal SA     81,823,900  
    134,133     Metropole Television SA *     1,564,609  
    3,156     Nexans SA *     129,337  
    986,576     Peugeot SA *     14,162,691  
    2,625     Safran SA *     252,942  
    808,702     Sanofi     79,102,999  
    125,628     Sanofi ADR     6,169,591  
    2,902     Sartorius Stedim Biotech *     789,865  
    55,882     Schneider Electric SE     5,533,031  
    57,356     STMicroelectronics NV     1,424,432  
    1,343,322     STMicroelectronics NV – NY Shares     33,381,552  
     

 

 

 
    Total France     243,427,613  
     

 

 

 
          Germany — 4.6%  
    113,175     ADVA Optical Networking SE *     735,975  
    133,652     Allianz SE (Registered)     24,222,575  
     Shares     Description   Value ($)  
          Germany — continued  
    13,071     Bayer AG (Registered)     893,528  
    23,443     Bechtle AG     4,163,853  
    23,237     Carl Zeiss Meditec AG *     2,377,885  
    1,041,111     CECONOMY AG *     3,089,015  
    5,093     Cewe Stiftung & Co KGaA     521,162  
    809,582     Deutsche Pfandbriefbank AG *     5,600,123  
    484,153     Dialog Semiconductor Plc *          19,360,813  
    64,908     DWS Group GmbH & Co KGaA     2,446,003  
    45,938     Hannover Rueck SE     7,418,889  
    44,569     Henkel AG & Co KGaA     3,584,323  
    6,074     Indus Holding AG     196,135  
    59,467     Merck KGaA     6,855,061  
    19,836     RHOEN-KLINIKUM AG     396,945  
    7,073     SAP SE     902,673  
    11,910     Siemens AG (Registered)     1,313,134  
    53,732     Siemens Healthineers AG     2,789,820  
    36,720     Siltronic AG     3,627,229  
    180,461     Software AG     6,984,889  
    127,806     Talanx AG *     4,498,304  
    148,725     Volkswagen AG     23,662,627  
     

 

 

 
    Total Germany     125,640,961  
     

 

 

 
          Hong Kong — 2.0%  
    276,600     ASM Pacific Technology Ltd     2,537,791  
    495,500     BOC Hong Kong Holdings Ltd     1,395,632  
    1,574,640     Champion (REIT)     716,326  
    1,505,014     Dah Sing Banking Group Ltd     1,338,287  
    407,515     Dah Sing Financial Holdings Ltd     1,140,552  
    4,557,096     Esprit Holdings Ltd *     353,665  
    860,500     Johnson Electric Holdings Ltd     1,480,361  
    794,257     Luk Fook Holdings International Ltd     1,400,197  
    914,400     Man Wah Holdings Ltd     718,346  
    1,405,647     Pacific Textiles Holdings Ltd     590,034  
    1,323,173     SmarTone Telecommunications Holdings Ltd     691,477  
    377,880     Television Broadcasts Ltd     482,791  
    72,400     VTech Holdings Ltd     438,382  
    47,636,420     WH Group Ltd     41,441,031  
    436,000     Xinyi Glass Holdings Ltd     463,219  
     

 

 

 
    Total Hong Kong     55,188,091  
     

 

 

 
          Ireland — 0.9%  
    70,354     CRH Plc     2,265,518  
    553,300     CRH Plc Sponsored ADR     17,794,128  
    167     Flutter Entertainment Plc *     21,247  
    31,920     Kerry Group Plc – Class A     3,954,911  
     

 

 

 
    Total Ireland     24,035,804  
     

 

 

 
          Italy — 4.7%  
    793,653     Anima Holding SPA     3,364,616  
    181     Assicurazioni Generali SPA     2,523  
    576,509     Banca Mediolanum SPA     3,854,197  
    59,054     Buzzi Unicem SPA     1,180,820  
 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Italy — continued  
    35,918     De’ Longhi SPA *     769,351  
    9,329,967     Enel SPA     72,136,721  
    608,963     EXOR NV     32,852,512  
    684,430     Hera SPA     2,621,249  
    386,253     Intesa Sanpaolo SPA *     672,107  
    1,151,076     Iren SPA     2,874,590  
    44,678     La Doria SPA     521,781  
    8,458     Reply SPA     744,027  
    756,378     Societa Cattolica di Assicurazioni SC     3,496,815  
    338,541     Unipol Gruppo SPA *     1,195,085  
     

 

 

 
    Total Italy        126,286,394  
     

 

 

 
          Japan — 21.5%  
    3,200     Amada Co Ltd     28,595  
    72,453     AOKI Holdings Inc     463,244  
    2,855,976     Asahi Kasei Corp     22,698,640  
    4,005,550     Astellas Pharma Inc     71,570,899  
    51,727     Autobacs Seven Co Ltd     634,911  
    619,421     Brother Industries Ltd     11,721,846  
    800     Casio Computer Co Ltd     14,129  
    45,036     Cawachi Ltd     1,100,890  
    85,719     Daiwabo Holdings Co Ltd     5,766,151  
    380,662     DCM Holdings Co Ltd     3,952,809  
    80,385     Dexerials Corp     644,055  
    27,100     Dip Corp     637,840  
    61,078     Doutor Nichires Holdings Co Ltd     1,039,938  
    30,066     DTS Corp     640,505  
    6,621     Ehime Bank Ltd (The)     73,456  
    48,692     Fancl Corp     1,389,987  
    490,145     Fuji Electric Co Ltd     13,094,143  
    59,600     Fujitsu General Ltd     1,166,166  
    405,396     Fujitsu Ltd     41,775,237  
    29,789     Fuyo General Lease Co Ltd     1,713,494  
    147,012     Geo Holdings Corp     1,840,102  
    20,135     Gunze Ltd     717,870  
    50,800     Hakuhodo DY Holdings Inc     632,627  
    89,500     Haseko Corp     1,093,321  
    1,351,978     Hitachi Ltd     43,667,803  
    35,349     House Foods Group Inc     1,198,485  
    24,200     Hoya Corp     2,277,061  
    1,235,268     ITOCHU Corp     26,563,788  
    86,800     Itochu Techno-Solutions Corp     2,937,787  
    165,900     Japan Post Bank Co Ltd     1,372,893  
    51,900     K’s Holdings Corp     664,389  
    159,611     Kanematsu Corp     1,987,584  
    2,018,500     KDDI Corp     58,918,365  
    103,117     Keihin Corp     2,439,090  
    25,569     Kohnan Shoji Co Ltd     747,343  
    1,355,400     Konica Minolta Inc     5,035,648  
    29,500     LIXIL VIVA Corp     661,328  
    24,867     Mandom Corp     503,257  
    17,500     Matsumotokiyoshi Holdings Co Ltd     655,620  
    4,170,256     Mitsubishi Chemical Holdings Corp     24,564,353  
     Shares     Description   Value ($)  
          Japan — continued  
    1,400,600     Mitsubishi UFJ Financial Group Inc     5,814,077  
    3,178     Mitsui Sugar Co Ltd     61,526  
    45,150     Modec Inc     683,115  
    76,266     Namura Shipbuilding Co Ltd     123,731  
    213,800     NEC Corp     9,612,929  
    150,057     Nichias Corp     3,466,832  
    109,909     Nippo Corp     2,732,659  
    67,333     Nippon Signal Co Ltd     759,602  
    2,791,188     Nippon Telegraph & Telephone Corp     63,530,754  
    6,200     Nissin Foods Holdings Co Ltd     519,698  
    26,500     Nomura Real Estate Holdings Inc     489,138  
    139,100     NS Solutions Corp     3,831,119  
    73,100     NTT DOCOMO Inc     2,009,056  
    554,300     Obayashi Corp     5,139,897  
    96,801     Okinawa Electric Power Co (The)     1,816,612  
    31,000     Otsuka Corp     1,501,217  
    93,902     Press Kogyo Co Ltd     232,957  
    73,796     Prima Meat Packers Ltd     1,814,309  
    37,457     San-A Co Ltd     1,496,112  
    24,700     SCSK Corp     1,213,216  
    98,887     Seiko Holdings Corp     1,678,703  
    477,428     Sekisui Chemical Co Ltd     6,692,152  
    104,600     Sekisui House Ltd     1,996,723  
    262,700     Shimizu Corp     2,223,697  
    207,800     Showa Corp     4,345,821  
    3,718,087     Sojitz Corp     8,662,840  
    171,100     Sony Corp     11,081,434  
    9,275,063     Sumitomo Chemical Co Ltd     28,823,055  
    39,000     Sumitomo Dainippon Pharma Co Ltd     552,345  
    79,203     T-Gaia Corp     1,688,793  
    175,400     Tokyo Electron Ltd     35,296,300  
    42,861     Tokyo Seimitsu Co Ltd     1,395,198  
    149,395     Tokyu Construction Co Ltd     816,610  
    86,211     Towa Pharmaceutical Co Ltd     1,824,057  
    10,500     Toyo Suisan Kaisha Ltd     550,229  
    27,682     TPR Co Ltd     378,770  
    164,867     TS Tech Co Ltd     4,663,998  
    75,819     TSI Holdings Co Ltd     325,629  
    19,700     Tsumura & Co     548,133  
    3,800     Tsuruha Holdings Inc     562,620  
    13,400     Uchida Yoko Co Ltd     702,756  
    20,500     Ulvac Inc     619,110  
    109,914     Valor Holdings Co Ltd     2,164,069  
    23,104     Warabeya Nichiyo Holdings Co Ltd     376,807  
    26,746     Yahagi Construction Co Ltd     192,091  
     

 

 

 
    Total Japan        583,616,145  
     

 

 

 
          Malta — 0.0%  
    15,858,986     BGP Holdings Plc *(a)      
     

 

 

 
          Netherlands — 6.4%  
    307     Aalberts NV     8,428  
    18,201     ASM International NV     2,122,960  
 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Netherlands — continued  
    522,519     ASR Nederland NV     14,364,734  
    18,474     BE Semiconductor Industries NV     706,481  
    220,538     Heineken Holding NV     18,134,399  
    2,387,848     ING Groep NV     15,524,840  
    605,781     Koninklijke Ahold Delhaize NV     15,358,926  
    424,092     Koninklijke Philips NV *     19,280,481  
    51,438     Koninklijke Vopak NV     2,816,895  
    6,475     Pharming Group NV *     9,605  
    198,550     Randstad NV     8,353,614  
    828,920     Signify NV *     17,849,476  
    64,810     TomTom NV *     551,430  
    750,435     Wolters Kluwer NV     59,892,443  
     

 

 

 
    Total Netherlands        174,974,712  
     

 

 

 
          New Zealand — 0.0%  
    474,497     Air New Zealand Ltd     404,395  
     

 

 

 
          Norway — 2.4%  
    373,819     BW LPG Ltd     1,248,690  
    3,021,726     DNB ASA     41,240,019  
    131,200     Frontline Ltd     1,197,856  
    265,310     Gjensidige Forsikring ASA *     4,836,830  
    77,764     Norwegian Finans Holding ASA *     554,492  
    1,661,603     Orkla ASA     14,924,087  
    10,853     SpareBank 1 Nord Norge     71,409  
    34,279     TGS NOPEC Geophysical Co ASA     491,048  
     

 

 

 
    Total Norway     64,564,431  
     

 

 

 
          Portugal — 3.3%  
    128,547     Altri SGPS SA     591,287  
    287,147     CTT-Correios de Portugal SA *     654,196  
    30,272     EDP Renovaveis SA     400,283  
    8,887,879     EDP – Energias de Portugal SA     41,520,472  
    1,812,412     Galp Energia SGPS SA     21,564,415  
    1,178,890     Jeronimo Martins SGPS SA     20,102,073  
    635,386     NOS SGPS SA     2,601,458  
    630,348     REN – Redes Energeticas Nacionais SGPS SA     1,688,576  
     

 

 

 
    Total Portugal     89,122,760  
     

 

 

 
          Singapore — 3.9%  
    1,354,200     AEM Holdings Ltd     2,951,626  
    930,200     CapitaLand Ltd *     1,910,037  
    3,123,900     ComfortDelGro Corp Ltd     3,191,576  
    3,218,800     DBS Group Holdings Ltd     44,530,458  
    1,333,400     Frasers Logistics & Industrial Trust (REIT)     1,051,273  
    733,400     Hi-P International Ltd     563,057  
    7,700     Keppel DC (REIT)     14,049  
    2,717,000     Mapletree Greater China Commercial Trust (REIT)     1,612,675  
    1,892,600     Mapletree Industrial Trust (REIT)     3,658,931  
    2,410,000     Singapore Exchange Ltd     14,159,037  
    403,700     Singapore Technologies Engineering Ltd     914,255  
    937,900     United Overseas Bank Ltd     12,990,364  
     Shares     Description   Value ($)  
          Singapore — continued  
    709,400     Venture Corp Ltd     7,709,108  
    684,600     Wilmar International Ltd     1,934,062  
    10,976,700     Yangzijiang Shipbuilding Holdings Ltd     7,325,642  
     

 

 

 
    Total Singapore        104,516,150  
     

 

 

 
          Spain — 6.2%  
    41,449     Acerinox SA *     331,603  
    387,429     Aena SME SA *     55,292,660  
    240,849     Banco Bilbao Vizcaya Argentaria SA     741,780  
    475,800     Banco Santander SA     1,087,829  
    280,175     Cia de Distribucion Integral Logista Holdings SA     5,183,580  
    137,043     Ebro Foods SA     2,869,353  
    1,910,924     Endesa SA     45,644,959  
    3,639,542     Iberdrola SA     39,407,066  
    415,120     Industria de Diseno Textil SA     11,562,524  
    2,236,987     Mapfre SA     3,944,659  
    115,077     Mediaset Espana Comunicacion SA *     410,953  
    32,893     Viscofan SA     2,160,625  
     

 

 

 
    Total Spain     168,637,591  
     

 

 

 
          Sweden — 4.1%  
    396,177     Betsson AB *     2,764,791  
    10,188     Skanska AB – B Shares *     204,808  
    804,028     Swedish Match AB     56,115,535  
    3,713,021     Volvo AB – B Shares     52,982,494  
     

 

 

 
    Total Sweden     112,067,628  
     

 

 

 
          Switzerland — 6.8%  
    50,929     Ascom Holding AG (Registered) *     370,756  
    6,900     Banque Cantonale Vaudoise (Registered)     672,870  
    48,307     Galenica AG     3,578,596  
    8,342     Kardex AG (Registered)     1,447,690  
    212,458     Nestle SA (Registered)     23,068,053  
    465,850     Novartis AG (Registered)     40,554,988  
    33,313     Roche Holding AG     11,677,724  
    283,021     Roche Holding AG – Genusschein     98,242,673  
    4,189     Vontobel Holding AG (Registered)     256,258  
    93,014     Wizz Air Holdings Plc *     3,781,535  
    4,556     Zehnder Group AG     176,604  
     

 

 

 
    Total Switzerland     183,827,747  
     

 

 

 
          United Kingdom — 17.1%  
    2,970,458     3i Group Plc     30,398,043  
    136,199     Ashtead Group Plc     4,067,209  
    239,487     Avast Plc     1,494,042  
    175,602     AVEVA Group Plc     8,921,955  
    3,484,694     Barratt Developments Plc     21,554,930  
    224,342     Bellway Plc     7,161,392  
    311,633     Berkeley Group Holdings Plc (The)     15,875,099  
    1,124,861     British American Tobacco Plc     44,612,443  
    728,700     British American Tobacco Plc Sponsored ADR     29,206,296  
    395,187     Coca-Cola HBC AG     10,007,169  
 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          United Kingdom — continued  
    26,071     Cranswick Plc     1,190,615  
    524,343     Dunelm Group Plc     6,933,094  
    1,225,776     Electrocomponents Plc     9,680,186  
    59,983     Ferguson Plc     4,730,741  
    1,648,162     Ferrexpo Plc     3,590,418  
    5,392,249     Firstgroup Plc *     3,716,118  
    264,593     Galliford Try Holdings Plc     384,705  
    23,880     Games Workshop Group Plc     2,363,089  
    3,406,181     GlaxoSmithKline Plc          70,551,225  
    71,690     Grafton Group Plc     554,415  
    126,838     Greggs Plc     2,905,979  
    117,113     Halfords Group Plc     265,067  
    56,159     Halma Plc     1,629,724  
    156,492     Howden Joinery Group Plc     1,147,879  
    1,021,200     HSBC Holdings Plc     4,718,586  
    1,106,148     IG Group Holdings Plc     10,460,145  
    852,714     Inchcape Plc     5,301,469  
    212,298     Intermediate Capital Group Plc     3,338,540  
    3,220,896     International Consolidated Airlines Group SA     9,154,748  
    1,451,393     JD Sports Fashion Plc     11,899,124  
    4,177,779     Legal & General Group Plc     10,314,646  
    351,702     National Express Group Plc     948,658  
    405,392     Next Plc     24,516,545  
    1,623,694     Persimmon Plc     46,314,134  
    530,398     Pets at Home Group Plc     1,509,638  
    619,703     Plus500 Ltd     10,117,663  
    993,967     QinetiQ Group Plc     3,648,362  
    347,148     Royal Dutch Shell Plc – A Shares     5,542,477  
    71,919     Royal Dutch Shell Plc – B Shares     1,097,977  
    61,068     Savills Plc     655,333  
    64,100     Smith & Nephew Plc Sponsored ADR     2,615,921  
    238,057     Softcat Plc     3,390,371  
    107,710     Spectris Plc     3,431,780  
    968,264     Spirent Communications Plc     3,007,060  
    2,022,249     Tate & Lyle Plc     16,868,509  
    309,192     Vesuvius Plc     1,409,808  
    26,564     Vistry Group Plc     252,393  
     

 

 

 
    Total United Kingdom     463,455,720  
     

 

 

 
     Shares     Description   Value ($)  
          United States — 0.0%  
    29,957     Janus Henderson Group Plc CDI     653,822  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $2,878,446,133)
    2,640,323,297  
     

 

 

 
          PREFERRED STOCKS (b) — 0.3%  
          Germany — 0.3%  
    6,230     Draegerwerk AG & Co KGaA     494,833  
    69,751     Henkel AG & Co KGaA     6,238,133  
    216,236     Schaeffler AG     1,665,493  
     

 

 

 
    Total Germany     8,398,459  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $8,019,719)
    8,398,459  
     

 

 

 
          SHORT-TERM INVESTMENTS — 1.9%  
          Money Market Funds — 0.1%  
    3,095,028     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (c)     3,095,028  
     

 

 

 
          U.S. Government — 1.8%  
    3,000,000     U.S. Treasury Bill, 0.14%, due 08/13/20 (d)(e)     2,999,171  
    45,000,000     U.S. Treasury Bill, 0.17%, due 11/12/20 (d)(e)     44,966,175  
     

 

 

 
    Total U.S. Government     47,965,346  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS (COST $51,056,664)     51,060,374  
     

 

 

 
    TOTAL INVESTMENTS — 99.5%
(Cost $2,937,522,516)
    2,699,782,130  
    Other Assets and Liabilities (net) — 0.5%     13,041,103  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $2,712,823,233  
     

 

 

 
 

 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
377   Mini MSCI EAFE     June 2020     $ 32,527,560     $ 1,837,126  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

    

Sales - Fund is short the futures contract.

 

 

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(b)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(c)

The rate disclosed is the 7 day net yield as of May 31, 2020.

 

(d)

The rate shown represents yield-to-maturity.

 

(e)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, and/or written options, if any.

Portfolio Abbreviations:

ADR - American Depositary Receipt

CDI - Certificado de Deposito Interbancario

REIT - Real Estate Investment Trust

 


GMO Quality Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 96.7%

 

          Banks — 5.4%  
    5,842,270     US Bancorp     207,751,121  
    5,551,731     Wells Fargo & Co.     146,954,320  
     

 

 

 
    Total Banks        354,705,441  
     

 

 

 
          Capital Goods — 7.7%  
    1,107,211     3M Co.     173,212,089  
    829,800     Honeywell International, Inc.     121,026,330  
    594,644     Knorr-Bremse AG     62,980,232  
    1,099,474     Otis Worldwide Corp.     57,887,306  
    1,337,166     Raytheon Technologies Corp.     86,273,950  
     

 

 

 
    Total Capital Goods     501,379,907  
     

 

 

 
          Consumer Durables & Apparel — 1.6%  
    123,550     LVMH Moet Hennessy Louis Vuitton SE     51,832,360  
    544,949     NIKE, Inc. – Class B     53,721,072  
     

 

 

 
    Total Consumer Durables & Apparel     105,553,432  
     

 

 

 
          Consumer Services — 2.7%  
    7,439,927     Compass Group Plc     109,064,770  
    865,655     Starbucks Corp.     67,512,434  
     

 

 

 
    Total Consumer Services     176,577,204  
     

 

 

 
          Diversified Financials — 3.3%  
    1,644,999     American Express Co.     156,390,055  
    1,655,705     Charles Schwab Corp. (The)     59,456,366  
     

 

 

 
    Total Diversified Financials     215,846,421  
     

 

 

 
          Food, Beverage & Tobacco — 5.9%  
    4,492,624     Coca-Cola Co. (The)     209,715,688  
    613,305     Nestle SA (Registered)     66,590,818  
    1,474,877     Philip Morris International, Inc.     108,196,977  
     

 

 

 
    Total Food, Beverage & Tobacco     384,503,483  
     

 

 

 
          Health Care Equipment & Services — 14.9%  
    781,777     Abbott Laboratories     74,206,273  
    282,171     Alcon, Inc. *     18,266,553  
    686,474     Anthem, Inc.     201,898,868  
    107,694     Becton Dickinson and Co.     26,592,879  
    2,143,863     Medtronic Plc     211,342,015  
    1,127,498     Quest Diagnostics, Inc.     133,360,463  
    1,018,796     UnitedHealth Group, Inc.     310,579,961  
     

 

 

 
    Total Health Care Equipment & Services     976,247,012  
     

 

 

 
          Household & Personal Products — 2.3%  
    234,780     Unilever NV     12,132,943  
    2,556,087     Unilever Plc     137,245,451  
     

 

 

 
    Total Household & Personal Products     149,378,394  
     

 

 

 
     Shares     Description   Value ($)  
          Media & Entertainment — 8.2%  
    143,706     Alphabet, Inc. – Class A *     206,005,425  
    91,288     Alphabet, Inc. – Class C *     130,443,249  
    877,350     Facebook, Inc. – Class A *     197,482,712  
     

 

 

 
    Total Media & Entertainment        533,931,386  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life
Sciences — 10.7%
 
    853,604     Eli Lilly & Co.     130,558,732  
    1,547,722     Johnson & Johnson     230,223,648  
    1,936,734     Merck & Co., Inc.     156,333,168  
    527,559     Roche Holding AG – Genusschein     183,127,069  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     700,242,617  
     

 

 

 
          Retailing — 2.6%  
    3,214,260     TJX Cos, Inc. (The)     169,584,358  
     

 

 

 
          Semiconductors & Semiconductor Equipment — 5.3%  
    83,979     ASML Holding NV     27,509,818  
    16,273,790     Taiwan Semiconductor Manufacturing Co Ltd     158,201,920  
    1,361,209     Texas Instruments, Inc.     161,629,956  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     347,341,694  
     

 

 

 
          Software & Services — 16.9%  
    1,131,959     Accenture Plc – Class A     228,225,574  
    2,216,528     Microsoft Corp.     406,178,756  
    4,259,590     Oracle Corp.     229,038,154  
    1,067,759     SAP SE     136,269,859  
    525,551     Visa, Inc. – Class A     102,608,577  
     

 

 

 
    Total Software & Services     1,102,320,920  
     

 

 

 
          Technology Hardware & Equipment — 8.2%  
    1,106,625     Apple, Inc.     351,840,352  
    3,802,701     Cisco Systems, Inc.     181,845,162  
     

 

 

 
    Total Technology Hardware & Equipment     533,685,514  
     

 

 

 
          Transportation — 1.0%  
    2,128,733     Lyft, Inc. – Class A *     66,544,194  
     

 

 

 
    TOTAL COMMON STOCKS (COST $4,302,386,489)     6,317,841,977  
     

 

 

 
          DEBT OBLIGATIONS — 0.3%  
          U.S. Government — 0.3%  
    20,000,000     U.S. Treasury Note, 2.25%, due 03/31/21     20,341,406  
     

 

 

 
    TOTAL DEBT OBLIGATIONS (COST $20,315,775)     20,341,406  
     

 

 

 
 


GMO Quality Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          MUTUAL FUNDS — 0.3%  
          Affiliated Issuers — 0.3%  
    3,141,064     GMO U.S. Treasury Fund     15,830,961  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $15,705,282)
    15,830,961  
     

 

 

 
          SHORT-TERM INVESTMENTS — 2.5%  
          Money Market Funds — 0.0%  
    938,176     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (a)     938,176  
     

 

 

 
          U.S. Government — 2.5%  
    5,000,000     U.S. Cash Management Bill, 0.15%, due 09/15/20 (b)     4,997,866  
    140,000,000     U.S. Treasury Bill, 0.17%, due 11/12/20 (b)     139,894,766  
    21,000,000     U.S. Treasury Note, 1.38%, due 01/31/21     21,164,883  
     

 

 

 
    Total U.S. Government     166,057,515  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS (COST $166,796,953)     166,995,691  
     

 

 

 
    TOTAL INVESTMENTS — 99.8% (Cost $4,505,204,499)     6,521,010,035  
    Other Assets and Liabilities (net) — 0.2%     14,113,539  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $6,535,123,574  
     

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

The rate disclosed is the 7 day net yield as of May 31, 2020.

 

(b)

The rate shown represents yield-to-maturity.

 


GMO Resources Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 87.2%

 

          Argentina — 1.1%  
    1,254,754     Adecoagro SA *     5,407,990  
     

 

 

 
          Australia — 5.5%  
    1,336,180     Beach Energy Ltd     1,443,629  
    1,381,153     Fortescue Metals Group Ltd     12,785,896  
    4,770,582     Jupiter Mines Ltd     892,683  
    281,295     Mineral Resources Ltd     3,534,707  
    1,726,406     Perenti Global Ltd     1,378,715  
    1,366,108     Sandfire Resources NL     3,999,837  
    1,853,907     South32 Ltd     2,344,013  
    589,067     Tassal Group Ltd     1,578,778  
     

 

 

 
    Total Australia       27,958,258  
     

 

 

 
          Austria — 1.0%  
    153,837     OMV AG *     5,083,361  
     

 

 

 
          Brazil — 1.5%  
    800,000     Duratex SA     1,613,103  
    269,800     Petroleo Brasileiro SA     1,053,657  
    1,194,657     Sao Martinho SA     4,349,865  
    161,800     SLC Agricola SA     755,287  
     

 

 

 
    Total Brazil     7,771,912  
     

 

 

 
          Canada — 2.9%  
    266,600     Canadian Solar Inc *(a)     5,012,080  
    104,600     Enerflex Ltd (a)     419,357  
    283,100     Frontera Energy Corp     725,819  
    8,838,100     Largo Resources Ltd *     5,777,165  
    528,300     Peyto Exploration & Development Corp (a)     943,907  
    922,200     Seven Generations Energy Ltd – Class A *     1,942,390  
     

 

 

 
    Total Canada     14,820,718  
     

 

 

 
          China — 1.3%  
    2,444,000     China Water Affairs Group Ltd     1,634,234  
    4,343,000     CNOOC Ltd     4,961,708  
     

 

 

 
    Total China     6,595,942  
     

 

 

 
          Colombia — 0.6%  
    6,220,640     Ecopetrol SA     3,318,787  
     

 

 

 
          Denmark — 1.3%  
    42,150     Maersk Drilling A/S *     924,079  
    54,144     Vestas Wind Systems A/S     5,530,032  
     

 

 

 
    Total Denmark     6,454,111  
     

 

 

 
          France — 3.7%  
    24,854     Eramet *     866,800  
    297,258     Suez (a)     3,389,343  
    197,179     TOTAL SA     7,477,182  
    
Shares
    Description   Value ($)  
          France — continued  
    171,815     Veolia Environnement SA     3,783,357  
    58,741     Vilmorin & Cie SA     3,093,187  
     

 

 

 
    Total France     18,609,869  
     

 

 

 
          Hungary — 0.7%  
    568,174     MOL Hungarian Oil & Gas Plc         3,597,796  
     

 

 

 
          India — 2.3%  
    3,090,964     Oil & Natural Gas Corp Ltd     3,403,744  
    786,286     Oil India Ltd     885,210  
    5,919,804     Vedanta Ltd     7,208,946  
     

 

 

 
    Total India     11,497,900  
     

 

 

 
          Israel — 2.1%  
    63,085     Equital Ltd *     1,357,085  
    1,754,747     ICL Group Ltd     6,118,429  
    25,244     Israel Corp Ltd (The) *     2,979,829  
    94,114     Naphtha Israel Petroleum Corp Ltd *     371,718  
     

 

 

 
    Total Israel     10,827,061  
     

 

 

 
          Italy — 0.3%  
    143,288     Eni SPA     1,303,138  
     

 

 

 
          Japan — 3.2%  
    93,200     Ebara Corp     2,255,268  
    447,200     Inpex Corp     3,131,412  
    40,000     Japan Petroleum Exploration Co Ltd     754,794  
    251,000     Mitsubishi Materials Corp     5,726,041  
    53,600     Nittetsu Mining Co Ltd     2,276,286  
    75,300     Sumitomo Metal Mining Co Ltd     2,099,099  
     

 

 

 
    Total Japan     16,242,900  
     

 

 

 
          Mexico — 2.2%  
    5,298,040     Grupo Mexico SAB de CV Series B     11,413,442  
     

 

 

 
          Norway — 2.9%  
    617,067     Austevoll Seafood ASA (a)     4,709,239  
    23,824     BW Energy Ltd *     35,748  
    303,468     BW Offshore Ltd *     1,007,331  
    2,922,953     DNO ASA (a)     1,519,746  
    314,100     Equinor ASA     4,580,720  
    111,753     Grieg Seafood ASA     1,144,417  
    115,170     TGS NOPEC Geophysical Co ASA     1,649,813  
     

 

 

 
    Total Norway     14,647,014  
     

 

 

 
          Pakistan — 0.8%  
    2,391,500     Fauji Fertilizer Co Ltd     1,603,182  
    2,436,700     Oil & Gas Development Co Ltd     1,727,871  
    457,975     Pakistan Oilfields Ltd     895,711  
     

 

 

 
    Total Pakistan     4,226,764  
     

 

 

 
 


GMO Resources Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Poland — 0.5%  
    2,578,081     Polskie Gornictwo Naftowe i Gazownictwo SA     2,708,975  
     

 

 

 
          Russia — 13.5%  
    1,636,830     Gazprom Neft PJSC     7,809,138  
    699,380     Gazprom PJSC     2,001,773  
    208,292     LUKOIL PJSC Sponsored ADR     15,649,965  
    479,544     MMC Norilsk Nickel PJSC ADR     15,171,620  
    92,799     Novatek PJSC Sponsered GDR (Registered)     13,584,290  
    451,405     PhosAgro PJSC GDR (Registered)     6,269,518  
    575,419     Ros Agro Plc GDR (Registered)     5,376,894  
    411,269     Rosneft Oil Co PJSC GDR (Registered)     2,162,314  
    1,101,920     TMK PJSC     933,417  
     

 

 

 
    Total Russia       68,958,929  
     

 

 

 
          Singapore — 0.0%  
    2,725,600     Ezra Holdings Ltd *(b)      
     

 

 

 
          South Africa — 0.7%  
    136,592     African Rainbow Minerals Ltd     1,320,579  
    1,164,089     Sibanye Stillwater Ltd *     2,137,722  
     

 

 

 
    Total South Africa     3,458,301  
     

 

 

 
          South Korea — 0.2%  
    2,326     Young Poong Corp     960,249  
     

 

 

 
          Spain — 1.5%  
    812,910     Repsol SA     7,653,608  
     

 

 

 
          Sweden — 0.9%  
    121,065     Boliden AB     2,645,437  
    56,067     Holmen AB – B Shares *     1,845,089  
     

 

 

 
    Total Sweden     4,490,526  
     

 

 

 
          Switzerland — 0.5%  
    1,745     Gurit Holding AG     2,654,184  
     

 

 

 
          Thailand — 2.1%  
    1,490,264     PTT Exploration & Production Pcl (Foreign Registered)     3,954,215  
    5,942,110     PTT Pcl (Foreign Registered)     6,649,487  
     

 

 

 
    Total Thailand     10,603,702  
     

 

 

 
          Turkey — 0.6%  
    1,642,447     Koza Anadolu Metal Madencilik Isletmeleri AS *     2,899,211  
     

 

 

 
          Ukraine — 0.5%  
    267,341     Kernel Holding SA     2,759,070  
     

 

 

 
          United Kingdom — 11.3%  
    555,487     Anglo American Plc     11,759,122  
    363,393     BHP Group Plc     7,146,426  
    358,136     BP Plc     1,369,490  
    
Shares
    Description   Value ($)  
          United Kingdom — continued  
    611,496     Central Asia Metals Plc     1,171,931  
    1,577,470     Diversified Gas & Oil Plc     2,026,963  
    5,853,092     EnQuest Plc *(a)     865,209  
    2,074,149     Ferrexpo Plc     4,518,404  
    5,641,938     Glencore Plc *     10,655,096  
    327,723     John Wood Group Plc     786,969  
    434,721     KAZ Minerals Plc     2,569,317  
    416,071     Petrofac Ltd     885,680  
    2,494,580     Premier Oil Plc *(a)     834,876  
    112,377     Rio Tinto Plc     6,094,696  
    422,881     Royal Dutch Shell Plc – A Shares     6,693,373  
     

 

 

 
    Total United Kingdom       57,377,552  
     

 

 

 
          United States — 21.5%  
    73,900     AGCO Corp.     4,081,497  
    137,931     Albemarle Corp. (a)     10,554,480  
    88,800     Baker Hughes Co.     1,466,088  
    49,000     Bonanza Creek Energy, Inc. *     828,100  
    367,000     Centennial Resource Development Inc/DE –
Class A *(a)
    370,670  
    16,566     Chesapeake Energy Corp. *(a)     215,524  
    273,300     CNX Resources Corp. *     2,784,927  
    3,329,608     Denbury Resources, Inc. *(a)     709,206  
    58,100     First Solar, Inc. *     2,708,622  
    2,002,382     Freeport-McMoRan, Inc.     18,161,605  
    65,500     FutureFuel Corp.     856,740  
    444,124     GrafTech International Ltd.     3,037,808  
    129,400     Halliburton Co.     1,520,450  
    622,800     Laredo Petroleum, Inc. *     528,446  
    540,500     Livent Corp. *     3,642,970  
    316,300     Magnolia Oil & Gas Corp. – Class A *(a)     1,755,465  
    1,486,907     Mosaic Co. (The)     17,976,706  
    323,900     NexTier Oilfield Solutions, Inc. *     939,310  
    176,600     Ovintiv, Inc. (a)     1,331,378  
    214,000     ProPetro Holding Corp. *     1,059,300  
    678,776     Renewable Energy Group, Inc. *     19,311,177  
    109,200     Select Energy Services, Inc. – Class A *     648,648  
    73,255     SolarEdge Technologies, Inc. *     10,394,884  
    880,200     Southwestern Energy Co. *(a)     2,649,402  
    77,900     Talos Energy, Inc. *     946,485  
    435,000     W&T Offshore, Inc. *(a)     1,135,350  
     

 

 

 
    Total United States     109,615,238  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $476,041,449)
    443,916,508  
     

 

 

 
          PREFERRED STOCKS (c) — 9.5%  
          Brazil — 4.9%  
    3,523,199     Bradespar SA     23,273,198  
    409,900     Petroleo Brasileiro SA     1,562,387  
     

 

 

 
    Total Brazil     24,835,585  
     

 

 

 
 


GMO Resources Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares /
Par Value†
    Description   Value ($)  
          Chile — 2.4%  
    504,312     Sociedad Quimica y Minera de Chile SA Sponsored ADR     12,290,083  
     

 

 

 
          Russia — 2.2%  
    55,697     Bashneft PJSC     1,130,857  
    5,091,084     Surgutneftegas PJSC     2,568,034  
    1,010,078     Tatneft PJSC     7,368,816  
     

 

 

 
    Total Russia     11,067,707  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $45,446,089)
    48,193,375  
          DEBT OBLIGATIONS — 0.4%  
          United States — 0.4%  
    2,250,000     U.S. Treasury Note, 2.25%, due 03/31/21     2,288,408  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $2,294,163)
    2,288,408  
     

 

 

 
          RIGHTS/WARRANTS — 0.0%  
          Singapore — 0.0%  
    2,117,812     Ezion Holdings Ltd, Expires 04/16/23 *(b)      
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $0)
     
     

 

 

 
    
Shares
    Description   Value ($)  
          SHORT-TERM INVESTMENTS — 2.6%  
          Money Market Funds — 0.1%  
    490,680     State Street Institutional Treasury Money Market Fund – Premier Class,0.12% (d)     490,680  
     

 

 

 
          U.S. Government — 2.5%  
    3,000,000     U.S. Cash Management Bill, 0.15%, due 09/15/20 (e)     2,998,719  
    10,000,000     U.S. Treasury Bill, 0.17%, due 11/12/20 (e)     9,992,483  
     

 

 

 
    Total U.S. Government     12,991,202  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $13,481,578)
    13,481,882  
     

 

 

 
    TOTAL INVESTMENTS — 99.7%
(Cost $537,263,279)
    507,880,173  
    Other Assets and Liabilities (net) — 0.3%     1,418,098  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $509,298,271  
     

 

 

 
 

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(c)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(d)

The rate disclosed is the 7 day net yield as of May 31, 2020.

 

(e)

The rate shown represents yield-to-maturity.

Portfolio Abbreviations:

ADR - American Depositary Receipt

Foreign Registered - Shares issued to foreign investors in markets that have foreign ownership limits.

GDR - Global Depositary Receipt

PJSC - Private Joint-Stock Company

 


GMO Risk Premium Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Par Value† /
Shares
    Description   Value ($)  
    DEBT OBLIGATIONS — 89.0%

 

    U.S. Government — 89.0%

 

    8,500,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 0.17%, due 07/31/20     8,500,466  
    6,000,000     U.S. Treasury Note, 1.13%, due 06/30/21 (a)     6,059,766  
     

 

 

 
    Total U.S. Government     14,560,232  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $14,528,318)
    14,560,232  
     

 

 

 
          SHORT-TERM INVESTMENTS — 9.9%  
          Money Market Funds — 9.9%      
    1,617,983     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (b)     1,617,983  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $1,617,983)
    1,617,983  
     

 

 

 
    TOTAL INVESTMENTS — 98.9%
(Cost $16,146,301)
    16,178,215  
    Other Assets and Liabilities (net) — 1.1%     180,241  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $16,358,456  
     

 

 

 
 

 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

Written Options — Puts

Index Options

 

Description  

Exercise
Price

     Expiration
Date
     Number of
Contracts
     Notional
Amount
       Value ($)  
S&P/ASX 200 Index   5,475.00      06/18/20      92        AUD          (5,295,235        (32,894
S&P 500 Index   2,830.00      06/19/20      45        USD          (13,699,395        (81,000
                          

 

 

 
 

        TOTAL WRITTEN INDEX OPTIONS — PUTS

        (Premiums $575,887)

 

 

     $ (113,894
      

 

 

 

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

(a)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2020.

The rates shown on variable rate notes are the current interest rates at May 31, 2020, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

USBM - U.S. Treasury 3 Month Bill Money Market Yield.

Currency Abbreviations:

AUD - Australian Dollar

USD - United States Dollar

 


GMO Tax-Managed International Equities Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 97.6%

 

          Australia — 3.6%  
    18,037     Accent Group Ltd     16,321  
    512     Ampol Ltd     9,263  
    14,302     Australian Pharmaceutical Industries Ltd     10,731  
    5,789     Coca-Cola Amatil Ltd     33,854  
    404     CSL Ltd     74,818  
    113,481     Fortescue Metals Group Ltd     1,050,540  
    2,986     IDP Education Ltd     34,011  
    2,188     JB Hi-Fi Ltd     54,263  
    4,911     Rio Tinto Ltd     306,737  
     

 

 

 
    Total Australia       1,590,538  
     

 

 

 
          Austria — 0.0%  
    773     Vienna Insurance Group AG Wiener Versicherung Gruppe     16,302  
     

 

 

 
          Belgium — 0.9%  
    668     Ageas SA     22,802  
    3,716     UCB SA     371,916  
     

 

 

 
    Total Belgium     394,718  
     

 

 

 
          Brazil — 1.4%  
    62,400     Banco do Brasil SA     360,628  
    63,800     JBS SA     262,670  
    1,500     Mahle-Metal Leve SA     4,995  
    3,600     Qualicorp Consultoria e Corretora de Seguros SA     16,002  
     

 

 

 
    Total Brazil     644,295  
     

 

 

 
          Canada — 0.1%  
    600     GFL Environmental Inc     11,631  
    500     iA Financial Corp Inc     15,968  
    600     Teekay Tankers Ltd – Class A *     10,428  
     

 

 

 
    Total Canada     38,027  
     

 

 

 
          China — 2.1%  
    10,000     Agile Group Holdings Ltd     10,378  
    856,000     Bank of China Ltd – Class H     314,650  
    47,000     China CITIC Bank Corp Ltd – Class H     20,539  
    31,000     China Everbright Bank Co Ltd – Class H     12,624  
    90,000     China Huarong Asset Management Co Ltd – Class H     9,258  
    90,000     China Lesso Group Holdings Ltd     109,417  
    24,000     China Medical System Holdings Ltd     27,522  
    49,000     China Minsheng Banking Corp Ltd – Class H     34,212  
    36,000     China National Building Material Co Ltd – Class H     40,842  
    74,000     China SCE Group Holdings Ltd     30,805  
    47,000     Chongqing Rural Commercial Bank Co Ltd – Class H     18,110  
    10,000     Huabao International Holdings Ltd     3,502  
    1,000     IGG Inc     609  
    5,700     Qudian, Inc. Sponsored ADR*     8,550  
    44,700     Shanghai Pharmaceuticals Holding Co Ltd – Class H     70,862  
     Shares     Description   Value ($)  
          China — continued  
    52,500     Shimao Property Holdings Ltd     220,177  
     

 

 

 
    Total China          932,057  
     

 

 

 
          Denmark — 0.1%  
    2,720     Scandinavian Tobacco Group A/S     40,951  
     

 

 

 
          France — 8.6%  
    751     Alten SA     60,666  
    54     Christian Dior SE     22,975  
    2,162     Dassault Systemes SE     369,122  
    1,225     Eiffage SA *     111,824  
    286     Faurecia SE     11,089  
    427     Gaztransport Et Technigaz SA     32,051  
    48     Hermes International     40,113  
    705     Kaufman & Broad SA     25,026  
    4,334     L’Oreal SA     1,271,212  
    795     Legrand SA     54,471  
    555     Nexans SA *     22,745  
    20,939     Peugeot SA *     300,588  
    1,207     Quadient     17,509  
    13,907     Sanofi     1,360,310  
    1,567     Schneider Electric SE     155,153  
    743     Valeo SA     18,366  
     

 

 

 
    Total France     3,873,220  
     

 

 

 
          Germany — 4.8%  
    280     adidas AG *     74,258  
    276     AIXTRON SE *     2,935  
    3,018     Allianz SE (Registered)     546,971  
    734     BASF SE     39,950  
    3,400     Bayer AG (Registered)     232,423  
    363     Bayerische Motoren Werke AG     21,274  
    743     Bechtle AG     131,969  
    317     CANCOM SE     20,049  
    884     Carl Zeiss Meditec AG *     90,461  
    5,627     CECONOMY AG *     16,696  
    5,872     Deutsche Pfandbriefbank AG *     40,618  
    7,167     Dialog Semiconductor Plc *     286,601  
    160     Eckert & Ziegler Strahlen- und Medizintechnik AG     25,320  
    356     Elmos Semiconductor AG     7,983  
    836     Hannover Rueck SE     135,012  
    1,277     HeidelbergCement AG *     63,877  
    951     Henkel AG & Co KGaA     76,481  
    844     Merck KGaA     97,292  
    804     SAP SE     102,608  
    446     Siemens Healthineers AG     23,157  
    456     Siltronic AG     45,044  
    549     Volkswagen AG     87,348  
     

 

 

 
    Total Germany     2,168,327  
     

 

 

 
 


GMO Tax-Managed International Equities Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Hong Kong — 1.3%  
    1,500     ASM Pacific Technology Ltd     13,762  
    11,200     Dah Sing Banking Group Ltd     9,959  
    16,000     HKT Trust & HKT Ltd – Class SS     22,762  
    6,000     Johnson Electric Holdings Ltd     10,322  
    1,100     VTech Holdings Ltd     6,661  
    485,000     WH Group Ltd     421,923  
    17,000     Wheelock & Co Ltd     115,401  
     

 

 

 
    Total Hong Kong     600,790  
     

 

 

 
          Hungary — 0.1%  
    3,883     Magyar Telekom Telecommunications Plc     4,882  
    2,515     Richter Gedeon Nyrt     54,966  
     

 

 

 
    Total Hungary     59,848  
     

 

 

 
          India — 0.2%  
    27,323     Power Finance Corp Ltd     27,084  
    2,716     Rajesh Exports Ltd     17,440  
    51,151     REC Ltd     60,202  
     

 

 

 
    Total India     104,726  
     

 

 

 
          Ireland — 1.5%  
    6,765     CRH Plc     220,561  
    5,360     CRH Plc Sponsored ADR     172,378  
    432     Kerry Group Plc – Class A     53,525  
    6,190     Smurfit Kappa Group Plc     202,138  
     

 

 

 
    Total Ireland     648,602  
     

 

 

 
          Italy — 4.0%  
    3,466     Arnoldo Mondadori Editore SPA *     4,068  
    7,458     Banca Mediolanum SPA     49,860  
    151,670     Enel SPA     1,172,670  
    9,278     EXOR NV     500,532  
    6,311     Hera SPA     24,170  
    455     Recordati SPA     20,721  
     

 

 

 
    Total Italy       1,772,021  
     

 

 

 
          Japan — 22.3%  
    300     Alps Alpine Co Ltd     3,636  
    7,400     Asahi Kasei Corp     58,814  
    55,400     Astellas Pharma Inc     989,883  
    4,500     Bandai Namco Holdings Inc     250,185  
    9,300     Brother Industries Ltd     175,992  
    1,300     Casio Computer Co Ltd     22,959  
    1,300     Chugai Pharmaceutical Co Ltd     192,104  
    600     Daiwabo Holdings Co Ltd     40,361  
    600     Dip Corp     14,122  
    700     Fuji Corp     12,991  
    7,400     FUJIFILM Holdings Corp     339,412  
    1,800     Fujitsu General Ltd     35,220  
    6,900     Fujitsu Ltd     711,031  
    500     Fujiya Co Ltd     10,085  
     Shares     Description   Value ($)  
          Japan — continued  
    1,000     Furuno Electric Co Ltd     8,397  
    13,300     Haseko Corp     162,471  
    14,400     Hitachi Ltd     465,108  
    3,500     Honda Motor Co Ltd     91,135  
    2,200     Hoya Corp     207,006  
    29,300     ITOCHU Corp     630,081  
    2,600     Itochu Techno-Solutions Corp     87,998  
    2,500     Kajima Corp     28,387  
    400     Kamei Corp     4,000  
    34,600     KDDI Corp     1,009,946  
    700     Matsumotokiyoshi Holdings Co Ltd     26,225  
    39,800     Mitsubishi Chemical Holdings Corp     234,437  
    4,900     NEC Corp     220,315  
    1,000     Nichias Corp     23,103  
    400     Nihon Unisys Ltd     12,392  
    43,900     Nippon Telegraph & Telephone Corp     999,216  
    100     Nissin Foods Holdings Co Ltd     8,382  
    1,200     Nomura Real Estate Holdings Inc     22,150  
    800     NS Solutions Corp     22,034  
    11,300     NTT DOCOMO Inc     310,565  
    11,200     Obayashi Corp     103,855  
    300     Obic Co Ltd     52,122  
    500     Otsuka Corp     24,213  
    3,500     Recruit Holdings Co Ltd     120,564  
    700     Renesas Electronics Corp *     3,641  
    700     SCSK Corp     34,383  
    1,600     Sekisui Chemical Co Ltd     22,427  
    4,700     Sekisui House Ltd     89,719  
    6,700     Shimizu Corp     56,714  
    3,000     Shionogi & Co Ltd     177,903  
    1,100     Showa Corp     23,005  
    39,700     Sojitz Corp     92,498  
    6,900     Sony Corp     446,884  
    13,200     Sumitomo Chemical Co Ltd     41,020  
    3,700     Teijin Ltd     60,641  
    4,500     Tokyo Electron Ltd     905,549  
    900     Tokyo Tatemono Co Ltd     11,613  
    14,400     Tosoh Corp     200,806  
    1,400     Toyota Tsusho Corp     35,620  
    200     Tsuruha Holdings Inc     29,612  
    2,000     Ushio Inc     23,813  
     

 

 

 
    Total Japan       9,986,745  
     

 

 

 
          Malta — 0.0%  
    1,718,063     BGP Holdings Plc *(a)      
     

 

 

 
          Mexico — 0.0%  
    6,300     ALEATICA SAB de CV     5,213  
     

 

 

 
          Netherlands — 7.1%  
    715     Aalberts NV     19,629  
    1,000     ASM International NV     116,640  
    2,749     ASR Nederland NV     75,574  
 


GMO Tax-Managed International Equities Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Netherlands — continued  
    2,002     Heineken Holding NV     164,621  
    28,334     Koninklijke Ahold Delhaize NV     718,378  
    10,670     Koninklijke Philips NV *     485,090  
    1,079     Koninklijke Vopak NV     59,089  
    18,954     Pharming Group NV *     28,117  
    5,681     Randstad NV     239,017  
    12,405     Signify NV *     267,122  
    2,754     TomTom NV *     23,432  
    12,444     Wolters Kluwer NV     993,159  
     

 

 

 
    Total Netherlands       3,189,868  
     

 

 

 
          Norway — 0.6%  
    3,525     BW LPG Ltd     11,775  
    568     Gjensidige Forsikring ASA *     10,355  
    1,958     Grieg Seafood ASA     20,051  
    21,461     Orkla ASA     192,757  
    35     Salmar ASA     1,578  
    2,884     SpareBank 1 Nord Norge     18,976  
    2,652     SpareBank 1 SR-Bank ASA     19,741  
     

 

 

 
    Total Norway     275,233  
     

 

 

 
          Philippines — 0.0%  
    305     Globe Telecom Inc     13,823  
     

 

 

 
          Poland — 0.1%  
    807     Asseco Poland SA     14,718  
    2,613     Polski Koncern Naftowy ORLEN SA     43,602  
     

 

 

 
    Total Poland     58,320  
     

 

 

 
          Portugal — 3.0%  
    2,763     EDP Renovaveis SA     36,535  
    164,970     EDP – Energias de Portugal SA     770,671  
    14,826     Galp Energia SGPS SA     176,403  
    18,366     Jeronimo Martins SGPS SA     313,171  
    9,332     NOS SGPS SA     38,208  
     

 

 

 
    Total Portugal     1,334,988  
     

 

 

 
          Russia — 1.0%  
    705,000     Inter RAO UES PJSC     49,917  
    1,289     LUKOIL PJSC     96,955  
    2,971     LUKOIL PJSC Sponsored ADR     223,225  
    130,800     Surgutneftegas PJSC     74,231  
     

 

 

 
    Total Russia     444,328  
     

 

 

 
          Singapore — 2.5%  
    13,700     AEM Holdings Ltd     29,861  
    5,600     City Developments Ltd     30,635  
    39,700     DBS Group Holdings Ltd     549,229  
    700     Jardine Cycle & Carriage Ltd     10,868  
    17,500     Mapletree Industrial Trust (REIT)     33,832  
    30,400     Mapletree Logistics Trust (REIT)     44,277  
    3,700     Oversea-Chinese Banking Corp Ltd     22,465  
     Shares     Description   Value ($)  
          Singapore — continued  
    33,000     Singapore Exchange Ltd     193,879  
    1,400     United Overseas Bank Ltd     19,391  
    11,700     Venture Corp Ltd     127,145  
    18,100     Wilmar International Ltd     51,134  
    26,400     Yanlord Land Group Ltd     20,627  
     

 

 

 
    Total Singapore       1,133,343  
     

 

 

 
          South Africa — 0.2%  
    15,246     Absa Group Ltd     70,895  
    11,423     Netcare Ltd     9,241  
    2,040     Reunert Ltd     5,048  
     

 

 

 
    Total South Africa     85,184  
     

 

 

 
          South Korea — 2.2%  
    195     DongKook Pharmaceutical Co Ltd     15,205  
    2,339     Feelux Co Ltd *     9,324  
    13,675     Hana Financial Group Inc     330,411  
    149     Hyundai Home Shopping Network Corp     8,081  
    4,436     Industrial Bank of Korea     29,795  
    2,186     KB Financial Group Inc     59,658  
    13,428     Kia Motors Corp     373,386  
    554     KT&G Corp     37,599  
    293     Sebang Global Battery Co Ltd     6,804  
    4,407     Shinhan Financial Group Co Ltd     107,715  
    8     Taekwang Industrial Co Ltd     4,796  
     

 

 

 
    Total South Korea     982,774  
     

 

 

 
          Spain — 6.1%  
    5,722     Aena SME SA *     816,626  
    2,208     Almirall SA     28,955  
    597     Amadeus IT Group SA     31,218  
    699     Cia de Distribucion Integral Logista Holdings SA     12,932  
    26,460     Endesa SA     632,032  
    503     Grifols SA     15,697  
    68,580     Iberdrola SA     742,548  
    13,976     Industria de Diseno Textil SA     389,280  
    1,950     Mediaset Espana Comunicacion SA     6,964  
    574     Viscofan SA     37,704  
     

 

 

 
    Total Spain     2,713,956  
     

 

 

 
          Sweden — 2.8%  
    779     Atrium Ljungberg AB – B Shares     11,777  
    3,002     Axfood AB     67,322  
    481     Bufab AB *     4,369  
    3,148     Essity AB – Class B *     104,264  
    1,400     Lindab International AB     14,276  
    911     Mycronic AB     16,120  
    1,530     Skanska AB – B Shares *     30,757  
    8,790     Swedish Match AB     613,481  
    2,991     Volvo AB – A Shares     42,576  
 


GMO Tax-Managed International Equities Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Sweden — continued  
    23,529     Volvo AB – B Shares     335,744  
     

 

 

 
    Total Sweden     1,240,686  
     

 

 

 
          Switzerland — 6.7%  
    255     ALSO Holding AG (Registered) *     59,877  
    745     Galenica AG     55,190  
    173     Huber + Suhner AG (Registered)     11,936  
    3,433     Nestle SA (Registered)     372,745  
    6,871     Novartis AG (Registered)     598,161  
    350     Roche Holding AG     122,691  
    5,008     Roche Holding AG – Genusschein     1,738,384  
    350     Vetropack Holding AG (Registered) *     21,912  
     

 

 

 
    Total Switzerland       2,980,896  
     

 

 

 
          Taiwan — 0.8%  
    2,000     Asustek Computer Inc     14,042  
    3,900     Feng TAY Enterprise Co Ltd     23,585  
    10,000     Hon Hai Precision Industry Co Ltd     25,299  
    62,000     Inventec Corp     50,420  
    104,000     Pou Chen Corp     102,561  
    35,000     Radiant Opto-Electronics Corp     120,496  
    7,000     Ruentex Industries Ltd     15,249  
    11,000     Sunplus Technology Co Ltd *     4,095  
    4,595     TOPBI International Holdings Ltd     8,863  
     

 

 

 
    Total Taiwan     364,610  
     

 

 

 
          Thailand — 0.0%  
    52,700     AP Thailand Pcl NVDR     9,221  
     

 

 

 
          Turkey — 1.2%  
    69,058     Akbank TAS *     57,797  
    63,814     Eregli Demir ve Celik Fabrikalari TAS     75,246  
    29,132     Haci Omer Sabanci Holding AS     35,421  
    3,563     Soda Sanayii AS     2,947  
    15,736     TAV Havalimanlari Holding AS     46,969  
    197,034     Turkiye Garanti Bankasi AS *     225,961  
    92,462     Turkiye Is Bankasi – Class C *     67,334  
    64,468     Turkiye Vakiflar Bankasi TAO – Class D *     44,089  
     

 

 

 
    Total Turkey     555,764  
     

 

 

 
          United Kingdom — 12.3%  
    47,706     3i Group Plc     488,197  
    48,739     BAE Systems Plc     300,808  
    52,176     Barratt Developments Plc     322,740  
    3,162     Bellway Plc     100,937  
    4,909     Berkeley Group Holdings Plc (The)     250,073  
    6,808     British American Tobacco Plc     270,008  
    7,700     British American Tobacco Plc Sponsored ADR     308,616  
    5,313     Coca-Cola HBC AG     134,539  
    1,582     Computacenter Plc     31,513  
    9,200     ConvaTec Group Plc     23,173  
    227     Cranswick Plc     10,367  
     Shares     Description   Value ($)  
          United Kingdom — continued  
    12,000     Diageo Plc     418,678  
    500     Diageo Plc Sponsored ADR     70,305  
    4,640     Dunelm Group Plc     61,352  
    10,293     Electrocomponents Plc     81,286  
    2,136     Ferguson Plc     168,462  
    17,524     Ferrexpo Plc     38,175  
    8,243     GlaxoSmithKline Plc     170,735  
    5,100     GlaxoSmithKline Plc Sponsored ADR     213,792  
    5,217     Howden Joinery Group Plc     38,267  
    3,580     IG Group Holdings Plc     33,854  
    3,780     Imperial Brands Plc     68,948  
    12,408     Inchcape Plc     77,143  
    3,734     Intermediate Capital Group Plc     58,720  
    35,437     International Consolidated Airlines Group SA          100,722  
    3,923     International Personal Finance Plc     2,066  
    16,768     JD Sports Fashion Plc     137,471  
    6,108     John Laing Group Plc     26,824  
    139,180     Legal & General Group Plc     343,626  
    3,284     Morgan Advanced Materials Plc     8,678  
    1,218     Morgan Sindall Group Plc     18,466  
    4,354     National Express Group Plc     11,744  
    2,972     Next Plc     179,735  
    14,107     Persimmon Plc     402,387  
    3,203     Pets at Home Group Plc     9,116  
    1,345     Phoenix Group Holdings Plc     10,340  
    4,747     Plus500 Ltd     77,502  
    14,587     QinetiQ Group Plc     53,542  
    1,799     Sage Group Plc (The)     15,427  
    2,200     Smith & Nephew Plc Sponsored ADR     89,782  
    1,512     Softcat Plc     21,534  
    3,754     Spirent Communications Plc     11,658  
    32,111     Tate & Lyle Plc     267,853  
    5,280     Taylor Wimpey Plc     9,458  
     

 

 

 
    Total United Kingdom     5,538,619  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $38,813,285)
    43,797,993  
     

 

 

 
          PREFERRED STOCKS (b) — 0.7%  
          Brazil — 0.1%  
    2,000     Cia Paranaense de Energia – Class B     23,724  
     

 

 

 
          Germany — 0.5%  
    458     Bayerische Motoren Werke AG     21,148  
    111     Draegerwerk AG & Co KGaA     8,816  
    2,338     Henkel AG & Co KGaA     209,098  
     

 

 

 
    Total Germany     239,062  
     

 

 

 
          Russia — 0.1%  
    54,900     Surgutneftegas PJSC     27,693  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $271,482)
    290,479  
     

 

 

 
 


GMO Tax-Managed International Equities Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    MUTUAL FUNDS — 0.8%

 

          United States — 0.8%  
          Affiliated Issuers — 0.8%  
    73,445     GMO U.S. Treasury Fund     370,165  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $367,797)
    370,165  
     

 

 

 
     Shares     Description   Value ($)  
    SHORT-TERM INVESTMENTS — 0.8%

 

          Money Market Funds — 0.8%  
    380,201     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (c)     380,201  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $380,201)
    380,201  
     

 

 

 
    TOTAL INVESTMENTS — 99.9%
(Cost $39,832,765)
    44,838,838  
    Other Assets and Liabilities (net) — 0.1%     41,782  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $44,880,620  
     

 

 

 
 

 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

 

Futures Contracts

 

Number of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys
4
  Mini MSCI EAFE   June 2020   $ 345,120     $ 18,853  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

  

Sales - Fund is short the futures contract.

 

 

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

*    Non-income

producing security.

 

(a)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(b)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(c)

The rate disclosed is the 7 day net yield as of May 31, 2020.

Portfolio Abbreviations:

ADR - American Depositary Receipt

NVDR - Non-Voting Depositary Receipt

PJSC - Private Joint-Stock Company

REIT - Real Estate Investment Trust

 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares     Description   Value ($)  
    COMMON STOCKS — 99.4%

 

          Automobiles & Components — 1.1%  
    21,000     Aptiv Plc     1,582,350  
    29,000     BorgWarner, Inc.     932,350  
    11,500     Dana, Inc.     145,360  
    35,300     Gentex Corp.     933,332  
    4,700     Standard Motor Products, Inc.     199,985  
    6,500     Stoneridge, Inc. *     133,770  
    2,400     Visteon Corp. *     172,800  
     

 

 

 
    Total Automobiles & Components         4,099,947  
     

 

 

 
          Banks — 2.0%  
    3,300     1st Source Corp.     114,147  
    3,519     American National Bankshares, Inc.     87,482  
    3,744     CNB Financial Corp.     66,344  
    2,700     Community Trust Bancorp, Inc.     88,668  
    27,200     Essent Group Ltd.     898,960  
    2,723     First Bancorp, Inc.     56,121  
    5,700     First Defiance Financial Corp.     94,677  
    2,500     First Financial Corp.     87,750  
    50,300     Investors Bancorp, Inc.     436,604  
    21,800     JPMorgan Chase & Co.     2,121,358  
    3,300     Lakeland Financial Corp.     140,877  
    80,500     MGIC Investment Corp.     660,905  
    2,400     Park National Corp.     179,688  
    8,800     PennyMac Financial Services, Inc.     295,504  
    54,000     Radian Group, Inc.     857,520  
    4,084     Territorial Bancorp, Inc.     103,856  
    7,200     Towne Bank/Portsmouth VA     135,792  
    16,600     US Bancorp     590,296  
    8,600     Walker & Dunlop, Inc.     348,300  
     

 

 

 
    Total Banks     7,364,849  
     

 

 

 
          Capital Goods — 9.1%  
    9,600     AGCO Corp.     530,208  
    2,100     Allied Motion Technologies, Inc.     75,999  
    10,600     Allison Transmission Holdings, Inc.     399,832  
    12,100     Atkore International Group, Inc. *     324,764  
    12,100     BMC Stock Holdings, Inc. *     316,657  
    31,400     Builders FirstSource, Inc. *     653,434  
    6,300     Crane Co.     351,036  
    13,526     Cummins, Inc.     2,294,010  
    7,900     Curtiss-Wright Corp.     792,370  
    3,100     Douglas Dynamics, Inc.     113,274  
    3,300     Dover Corp.     320,925  
    27,200     Eaton Corp Plc     2,309,280  
    6,600     EMCOR Group, Inc.     419,430  
    28,200     Emerson Electric Co.     1,720,764  
    2,700     Encore Wire Corp.     130,383  
    15,194     Federal Signal Corp.     442,753  
    4,600     Generac Holdings, Inc. *     511,842  
    9,500     General Dynamics Corp.     1,394,885  
    3,300     Gorman-Rupp Co. (The)     101,178  
Shares     Description   Value ($)  
          Capital Goods — continued  
    9,200     L3Harris Technologies, Inc.     1,834,940  
    10,400     Lockheed Martin Corp.     4,039,776  
    8,700     Masco Corp.     405,855  
    3,200     Miller Industries, Inc.     94,816  
    6,396     Moog, Inc. – Class A     347,239  
    12,800     Mueller Industries, Inc.     342,784  
    8,600     Northrop Grumman Corp.     2,882,720  
    10,331     Oshkosh Corp.     741,972  
    28,300     PACCAR, Inc.     2,090,238  
    5,600     Parker-Hannifin Corp.     1,007,832  
    4,200     Raytheon Technologies Corp.     270,984  
    5,900     Stanley Black & Decker, Inc.     740,155  
    4,500     Systemax, Inc.     94,455  
    6,923     Teledyne Technologies, Inc. *     2,590,033  
    2,900     Tennant Co.     185,426  
    27,991     Textron, Inc.     866,881  
    8,579     Timken Co. (The)     364,951  
    17,896     UFP Industries, Inc.     818,384  
    3,300     Vectrus, Inc. *     181,236  
     

 

 

 
    Total Capital Goods     33,103,701  
     

 

 

 
          Commercial & Professional Services — 1.2%  
    14,599     ACCO Brands Corp.     90,368  
    1,900     Barrett Business Services, Inc.     96,330  
    16,509     Brady Corp. – Class A     844,105  
    13,500     CBIZ, Inc. *     305,775  
    3,200     Cimpress Plc *     288,416  
    2,500     CRA International, Inc.     100,975  
    12,500     Deluxe Corp.     291,625  
    6,900     Ennis, Inc.     122,820  
    4,446     FTI Consulting, Inc. *     535,565  
    19,004     Herman Miller, Inc.     437,472  
    10,700     HNI Corp.     272,529  
    15,800     Interface, Inc.     134,142  
    4,700     Kforce, Inc.     141,940  
    11,600     Kimball International, Inc. – Class B     129,804  
    9,204     Knoll, Inc.     97,194  
    2,500     SP Plus Corp. *     50,925  
    24,100     Steelcase, Inc. – Class A     279,078  
     

 

 

 
    Total Commercial & Professional Services     4,219,063  
     

 

 

 
          Consumer Durables & Apparel — 5.0%  
    11,845     Acushnet Holdings Corp.     395,860  
    11,099     Callaway Golf Co.     170,037  
    4,500     Deckers Outdoor Corp. *     821,385  
    31,900     DR Horton, Inc.     1,764,070  
    32,587     Garmin Ltd.     2,938,370  
    56,100     Hanesbrands, Inc.     553,146  
    3,600     Helen of Troy Ltd. *     654,912  
    1,800     Johnson Outdoors, Inc. – Class A     139,698  
    1,100     KB Home     36,388  
    12,600     La-Z-Boy, Inc.     324,072  
    9,100     MDC Holdings, Inc.     309,309  
 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares     Description   Value ($)  
          Consumer Durables & Apparel — continued  
    59,100     NIKE, Inc. – Class B     5,826,078  
    330     NVR, Inc. *     1,063,131  
    26,600     PulteGroup, Inc.     903,602  
    5,900     Ralph Lauren Corp.     445,509  
    26,400     Skechers U.S.A., Inc. – Class A *     826,848  
    9,500     Steven Madden Ltd.     223,440  
    5,900     Tempur Sealy International, Inc. *     384,857  
    22,600     TRI Pointe Group, Inc. *     323,632  
    3,100     Universal Electronics, Inc. *     140,244  
     

 

 

 
    Total Consumer Durables & Apparel     18,244,588  
     

 

 

 
          Consumer Services — 0.6%  
    15,684     Bloomin’ Brands, Inc.     178,954  
    7,600     Brinker International, Inc.     200,260  
    1,048     Graham Holdings Co. – Class B     375,425  
    37,100     H&R Block, Inc.     630,700  
    20,600     Perdoceo Education Corp. *     335,368  
    10,900     Wyndham Destinations Corp.     346,620  
     

 

 

 
    Total Consumer Services     2,067,327  
     

 

 

 
          Diversified Financials — 2.1%  
    6,700     American Express Co.     636,969  
    12,614     Ameriprise Financial, Inc.     1,766,843  
    12,000     Artisan Partners Asset Management, Inc. – Class A     347,640  
    12,200     Eaton Vance Corp.     439,810  
    11,130     Enova International, Inc. *     157,490  
    26,900     Federated Investors, Inc. – Class B     595,566  
    11,200     LPL Financial Holdings, Inc.     799,568  
    8,300     Raymond James Financial, Inc.     575,024  
    4,000     S&P Global, Inc.     1,300,080  
    20,300     SEI Investments Co.     1,100,666  
     

 

 

 
    Total Diversified Financials     7,719,656  
     

 

 

 
          Energy — 0.9%  
    31,604     Phillips 66     2,473,329  
    25,400     World Fuel Services Corp.     647,192  
     

 

 

 
    Total Energy     3,120,521  
     

 

 

 
          Food & Staples Retailing — 0.5%  
    48,700     Kroger Co. (The)     1,588,594  
    10,500     US Foods Holding Corp. *     200,970  
     

 

 

 
    Total Food & Staples Retailing     1,789,564  
     

 

 

 
          Food, Beverage & Tobacco — 5.6%  
    41,700     General Mills, Inc.     2,628,768  
    18,100     Hershey Co. (The)     2,455,808  
    72,500     Mondelez International, Inc. – Class A     3,778,700  
    70,100     PepsiCo, Inc.     9,221,655  
    35,900     Tyson Foods, Inc.– Class A     2,205,696  
    5,400     Universal Corp.     237,924  
     

 

 

 
    Total Food, Beverage & Tobacco     20,528,551  
     

 

 

 
Shares     Description   Value ($)  
          Health Care Equipment & Services — 6.5%  
    14,500     AmerisourceBergen Corp.     1,382,430  
    25,300     Baxter International, Inc.     2,277,253  
    14,700     Boston Scientific Corp. *     558,453  
    16,700     Cerner Corp.     1,217,430  
    1,600     Chemed Corp.     765,616  
    11,100     HCA Healthcare, Inc.     1,186,590  
    20,900     Hologic, Inc. *     1,107,700  
    4,600     Masimo Corp. *     1,104,874  
    10,078     McKesson Corp.     1,599,076  
    89,500     Medtronic Plc     8,822,910  
    9,100     STERIS Plc     1,509,599  
    9,500     West Pharmaceutical Services, Inc.     2,052,380  
     

 

 

 
    Total Health Care Equipment & Services     23,584,311  
     

 

 

 
          Household & Personal Products — 3.6%  
    61,300     Colgate-Palmolive Co.     4,433,829  
    11,247     Estee Lauder Cos, Inc. (The) – Class A     2,220,945  
    3,764     Inter Parfums, Inc.     174,687  
    43,000     Kimberly-Clark Corp.     6,081,920  
     

 

 

 
    Total Household & Personal Products     12,911,381  
     

 

 

 
          Insurance — 3.5%  
    31,702     Allstate Corp. (The)     3,100,773  
    16,700     Arch Capital Group Ltd. *     471,274  
    5,000     Employers Holdings, Inc.     149,450  
    39,400     Fidelity National Financial, Inc.     1,256,860  
    29,804     First American Financial Corp.     1,504,804  
    4,800     Hanover Insurance Group, Inc. (The)     481,680  
    34,580     Old Republic International Corp.     539,102  
    56,507     Progressive Corp. (The)     4,389,464  
    13,100     W.R. Berkley Corp.     759,145  
     

 

 

 
    Total Insurance     12,652,552  
     

 

 

 
          Materials — 1.9%  
    2,300     Air Products and Chemicals, Inc.     555,795  
    5,900     Avery Dennison Corp.     652,953  
    6,200     Innospec, Inc.     477,958  
    22,779     LyondellBasell Industries NV – Class A     1,452,389  
    1,600     NewMarket Corp.     697,808  
    16,400     PolyOne Corp.     406,392  
    13,900     Reliance Steel & Aluminum Co.     1,348,300  
    9,700     Schweitzer-Mauduit International, Inc.     294,783  
    2,000     Stepan Co.     194,320  
    37,600     Valvoline, Inc.     689,960  
     

 

 

 
    Total Materials     6,770,658  
     

 

 

 
          Media & Entertainment — 5.8%  
    63,900     Activision Blizzard, Inc.     4,599,522  
    1,700     Alphabet, Inc. – Class C *     2,429,164  
    87,800     Comcast Corp. – Class A     3,476,880  
    34,200     DHI Group, Inc. *     91,314  
    60,900     Electronic Arts, Inc. *     7,483,392  
 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares     Description   Value ($)  
          Media & Entertainment — continued  
    31,800     Interpublic Group of Cos., Inc. (The)     544,098  
    19,489     Omnicom Group, Inc.     1,067,803  
    35,685     TEGNA, Inc.     418,228  
    97,600     Zynga Inc-Class*     893,040  
     

 

 

 
    Total Media & Entertainment     21,003,441  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life Sciences — 11.3%  
    33,800     Amgen, Inc.     7,763,860  
    14,000     Biogen, Inc. *     4,299,260  
    63,800     Bristol-Myers Squibb Co.     3,810,136  
    53,300     Eli Lilly & Co.     8,152,235  
    58,200     Gilead Sciences, Inc.     4,529,706  
    82,431     Merck & Co., Inc.     6,653,831  
    150,238     Pfizer, Inc.     5,737,589  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     40,946,617  
     

 

 

 
          Real Estate — 0.3%  
    16,449     CBRE Group, Inc. – Class A *     723,427  
    5,188     Jones Lang LaSalle, Inc.     531,251  
     

 

 

 
    Total Real Estate     1,254,678  
     

 

 

 
          Retailing — 8.1%  
    2,000     Amazon.com, Inc. *     4,884,740  
    4,000     Asbury Automotive Group, Inc. *     289,120  
    15,400     AutoNation, Inc.*     607,992  
    49,140     Best Buy Co., Inc.     3,837,342  
    11,000     Core-Mark Holding Co., Inc.     307,780  
    35,800     Designer Brands, Inc. – Class A     219,454  
    15,000     Dick’s Sporting Goods, Inc.     540,900  
    10,800     Dollar General Corp.     2,068,308  
    116,355     eBay, Inc.     5,298,807  
    6,689     Group 1 Automotive, Inc.     421,006  
    2,700     Lithia Motors, Inc. – Class A     325,593  
    23,000     Lowe’s Cos., Inc.     2,998,050  
    5,800     Murphy U.S.A, Inc. *     673,380  
    14,900     Sally Beauty Holdings, Inc. *     194,296  
    6,400     Sonic Automotive, Inc. – Class A     168,192  
    35,500     Target Corp.     4,342,715  
    29,800     TJX Cos., Inc. (The)     1,572,248  
    9,400     Williams-Sonoma, Inc.     782,174  
     

 

 

 
    Total Retailing     29,532,097  
     

 

 

 
          Semiconductors & Semiconductor Equipment — 8.2%  
    30,700     Amkor Technology, Inc. *     324,806  
    115,500     Applied Materials, Inc.     6,488,790  
    6,400     Cirrus Logic, Inc. *     463,872  
    14,000     Entegris, Inc.     838,320  
    172,300     Intel Corp.     10,842,839  
    10,700     KLA Corp.     1,882,772  
    14,600     Lam Research Corp.     3,995,582  
    10,800     Maxim Integrated Products, Inc.     622,944  
    37,800     Micron Technology, Inc. *     1,810,998  
Shares     Description   Value ($)  
          Semiconductors & Semiconductor Equipment — continued  
    2,300     NVIDIA Corp.     816,546  
    1,100     Qorvo, Inc. *     115,214  
    3,100     Skyworks Solutions, Inc.     367,474  
    15,700     Teradyne, Inc.     1,052,214  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     29,622,371  
     

 

 

 
          Software & Services — 11.6%  
    17,420     Amdocs Ltd.     1,084,569  
    14,400     Booz Allen Hamilton Holding Corp.     1,148,544  
    4,000     CACI International, Inc. – Class A *     1,003,120  
    55,905     Cadence Design Systems, Inc. *     5,103,568  
    15,427     Citrix Systems, Inc.     2,285,047  
    9,100     Fortinet, Inc. *     1,266,720  
    15,695     Intuit, Inc.     4,556,573  
    3,900     j2 Global, Inc.     305,370  
    4,800     MAXIMUS, Inc.     345,696  
    53,853     Microsoft Corp.     9,868,562  
    81,400     NortonLifeLock, Inc.     1,854,292  
    140,900     Oracle Corp.     7,576,193  
    11,748     Progress Software Corp.     474,619  
    10,310     Sykes Enterprises, Inc. *     281,051  
    27,919     Synopsys, Inc. *     5,050,826  
     

 

 

 
    Total Software & Services     42,204,750  
     

 

 

 
          Technology Hardware & Equipment — 8.7%  
    3,800     Amphenol Corp. – Class A     366,928  
    27,755     Apple, Inc.     8,824,425  
    11,533     Arrow Electronics, Inc. *     796,700  
    9,000     Avnet, Inc.     245,160  
    11,800     CDW Corp.     1,308,738  
    17,000     Ciena Corp. *     939,420  
    34,200     Flex Ltd. *     332,082  
    125,914     Hewlett Packard Enterprise Co.     1,222,625  
    195,940     HP, Inc.     2,966,531  
    8,320     Insight Enterprises, Inc. *     426,483  
    2,500     Itron, Inc. *     161,050  
    23,900     Jabil, Inc.     715,088  
    72,800     Juniper Networks, Inc.     1,766,128  
    4,200     Methode Electronics, Inc.     131,670  
    19,607     Motorola Solutions, Inc.     2,653,415  
    15,700     National Instruments Corp.     607,904  
    28,800     NetApp, Inc.     1,282,752  
    16,200     Sanmina Corp. *     431,082  
    39,100     Seagate Technology Plc     2,073,864  
    5,900     SYNNEX Corp.     629,235  
    37,300     TE Connectivity Ltd.     3,030,625  
    32,700     Xerox Holdings Corp. *     519,276  
     

 

 

 
    Total Technology Hardware & Equipment     31,431,181  
     

 

 

 
          Telecommunication Services — 1.6%  
    103,500     Verizon Communications, Inc.     5,938,830  
     

 

 

 
 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares     Description   Value ($)  
          Utilities — 0.2%  
    7,900     DTE Energy Co.     849,803  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $336,413,052)
    360,960,437  
     

 

 

 
          MUTUAL FUNDS — 0.3%  
          Affiliated Issuers — 0.3%  
    200,456     GMO U.S. Treasury Fund     1,010,296  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $1,010,296)
    1,010,296  
     

 

 

 
Shares     Description   Value ($)  
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%  
    86,530     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (a)     86,530  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $86,530)
    86,530  
     

 

 

 
    TOTAL INVESTMENTS — 99.7%
(Cost $337,509,878)
    362,057,263  
    Other Assets and Liabilities (net) — 0.3%     1,018,354  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $363,075,617  
     

 

 

 
 

 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
1   S&P 500 E-Mini   June 2020   $ 152,100     $ 4,773  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

    

Sales - Fund is short the futures contract.

 

 

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

Notes to Schedule of Investments:

 

*

Non-income producing security.

(a)

The rate disclosed is the 7 day net yield as of May 31, 2020.


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 99.4%

 

          Automobiles & Components — 1.7%  
    38,600     Cooper Tire & Rubber Co.     993,178  
    176,900     Dana, Inc.     2,236,016  
    22,100     Garrett Motion, Inc. *     114,257  
    9,600     Gentherm, Inc. *     390,720  
    18,800     Modine Manufacturing Co. *     100,580  
    31,200     Standard Motor Products, Inc.     1,327,560  
    91,500     Stoneridge, Inc. *     1,883,070  
    17,100     Tenneco, Inc. – Class A *     115,596  
     

 

 

 
    Total Automobiles & Components     7,160,977  
     

 

 

 
          Banks — 11.2%  
    6,400     1st Source Corp.     221,376  
    24,500     Amalgamated Bank – Class A     275,135  
    41,800     Bancorp, Inc. (The) *     367,840  
    42,200     Boston Private Financial Holdings, Inc.     289,914  
    57,800     Brookline Bancorp, Inc.     537,540  
    2,900     Century Bancorp, Inc. – Class A     218,660  
    5,800     Civista Bancshares, Inc.     88,392  
    1,200     CNB Financial Corp.     21,264  
    5,195     Community Trust Bancorp, Inc.     170,604  
    81,800     Dime Community Bancshares, Inc.     1,180,374  
    101,900     Essent Group Ltd.     3,367,795  
    16,400     Financial Institutions, Inc.     290,116  
    8,576     First Community Bankshares, Inc.     183,269  
    67,244     First Defiance Financial Corp.     1,116,923  
    7,400     First Financial Corp.     259,740  
    190,500     Flagstar Bancorp, Inc.     5,581,650  
    9,800     Flushing Financial Corp.     111,132  
    14,870     Fulton Financial Corp.     166,693  
    8,800     Great Southern Bancorp, Inc.     356,928  
    238,100     Hilltop Holdings, Inc.     4,450,089  
    88,400     International Bancshares Corp.     2,720,952  
    282,900     Investors Bancorp, Inc.     2,455,572  
    1,700     LCNB Corp.     25,279  
    7,000     Mercantile Bank Corp.     160,580  
    5,400     Merchants Bancorp     92,232  
    4,500     Northrim BanCorp, Inc.     103,815  
    148,900     Northwest Bancshares, Inc.     1,483,044  
    160,000     OFG Bancorp     1,944,000  
    190,400     PennyMac Financial Services, Inc.     6,393,632  
    1,800     Premier Financial Bancorp, Inc.     23,868  
    304,800     Radian Group, Inc.     4,840,224  
    5,700     Sierra Bancorp     107,388  
    3,000     Territorial Bancorp, Inc.     76,290  
    31,800     TriCo Bancshares     902,166  
    107,800     Walker & Dunlop, Inc.     4,365,900  
    58,803     Waterstone Financial, Inc.     876,164  
     

 

 

 
    Total Banks     45,826,540  
     

 

 

 
     Shares     Description   Value ($)  
          Capital Goods — 11.6%  
    13,400     AAR Corp.     270,278  
    5,600     AGCO Corp.     309,288  
    8,900     Allied Motion Technologies, Inc.     322,091  
    39,000     Arcosa, Inc.     1,488,630  
    31,100     AZZ, Inc.     984,626  
    303,300     Builders FirstSource, Inc. *     6,311,673  
    3,800     Comfort Systems USA, Inc.     140,600  
    3,000     CSW Industrials, Inc.     214,680  
    25,900     Ducommun, Inc. *     833,980  
    6,800     Encore Wire Corp.     328,372  
    16,100     EnPro Industries, Inc.     725,788  
    234,200     Federal Signal Corp.     6,824,588  
    24,300     Gibraltar Industries, Inc. *     1,069,443  
    27,225     Gorman-Rupp Co. (The)     834,719  
    107,900     Griffon Corp.     1,812,720  
    5,400     Hurco Cos, Inc.     168,804  
    34,200     Hyster-Yale Materials Handling, Inc.     1,252,062  
    115,700     Meritor, Inc. *     2,357,966  
    9,400     Miller Industries, Inc.     278,522  
    90,900     Moog, Inc. – Class A     4,934,961  
    69,500     Mueller Industries, Inc.     1,861,210  
    6,100     National Presto Industries, Inc.     548,939  
    14,100     Park-Ohio Holdings Corp.     205,719  
    3,100     Preformed Line Products Co.     153,853  
    33,900     Resideo Technologies, Inc. *     239,334  
    51,643     SPX Corp. *     2,064,687  
    22,000     Systemax, Inc.     461,780  
    13,800     Tennant Co.     882,372  
    25,300     Terex Corp.     397,716  
    300     Timken Co. (The)     12,762  
    125,100     UFP Industries, Inc.     5,720,823  
    64,000     Vectrus, Inc. *     3,514,880  
     

 

 

 
    Total Capital Goods     47,527,866  
     

 

 

 
          Commercial & Professional Services — 6.5%  
    425,929     ACCO Brands Corp.     2,636,500  
    140,900     Brady Corp. – Class A     7,204,217  
    53,500     CBIZ, Inc. *     1,211,775  
    15,500     CRA International, Inc.     626,045  
    83,700     Deluxe Corp.     1,952,721  
    21,900     Ennis, Inc.     389,820  
    26,500     Heidrick & Struggles International, Inc.     587,770  
    187,100     Herman Miller, Inc.     4,307,042  
    41,900     HNI Corp.     1,067,193  
    11,700     Huron Consulting Group, Inc. *     541,242  
    58,400     Interface, Inc.     495,816  
    54,900     Kelly Services, Inc. – Class A     822,951  
    12,600     Kforce, Inc.     380,520  
    96,600     Kimball International, Inc. – Class B     1,080,954  
    1,700     Pitney Bowes, Inc.     4,029  
    60,600     Resources Connection, Inc.     665,994  
 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Commercial & Professional Services — continued  
    198,600     Steelcase, Inc. – Class A     2,299,788  
    34,100     TrueBlue, Inc. *     527,186  
     

 

 

 
    Total Commercial & Professional Services     26,801,563  
     

 

 

 
          Consumer Durables & Apparel — 5.4%  
    159,300     Acushnet Holdings Corp.     5,323,806  
    6,014     Clarus Corp.     63,147  
    136,600     Ethan Allen Interiors, Inc.     1,543,580  
    56,500     G-III Apparel Group Ltd. *     583,645  
    9,400     Green Brick Partners, Inc. *     100,580  
    21,000     Hooker Furniture Corp.     342,300  
    26,100     Johnson Outdoors, Inc. – Class A     2,025,621  
    76,500     La-Z-Boy, Inc.     1,967,580  
    132,300     MDC Holdings, Inc.     4,496,877  
    57,800     Movado Group, Inc.     606,900  
    23,600     Rocky Brands, Inc.     489,464  
    10,000     Smith and Wesson Brands, Inc. *     118,200  
    169,100     TRI Pointe Group, Inc. *     2,421,512  
    15,800     Universal Electronics, Inc. *     714,792  
    119,800     Vera Bradley, Inc. *     628,950  
    34,100     Vista Outdoor, Inc. *     331,111  
    29,000     Wolverine World Wide, Inc.     607,260  
     

 

 

 
    Total Consumer Durables & Apparel     22,365,325  
     

 

 

 
          Consumer Services — 3.2%  
    19,100     Adtalem Global Education, Inc. *     639,086  
    14,700     American Public Education, Inc. *     462,021  
    232,900     Bloomin’ Brands, Inc.     2,657,389  
    216,600     Brinker International, Inc.     5,707,410  
    28,600     Carriage Services, Inc.     535,392  
    21,400     H&R Block, Inc.     363,800  
    103,500     Perdoceo Education Corp. *     1,684,980  
    50,700     Regis Corp. *     533,364  
    22,400     WW International, Inc. *     535,360  
     

 

 

 
    Total Consumer Services     13,118,802  
     

 

 

 
          Diversified Financials — 5.8%  
    26,600     Ares Commercial Real Estate Corp. (REIT)     198,170  
    73,500     Artisan Partners Asset Management, Inc. – Class A     2,129,295  
    62,500     Brightsphere Investment Group, Inc. *     521,875  
    63,000     Curo Group Holdings Corp.     421,470  
    800     Diamond Hill Investment Group, Inc.     83,968  
    134,700     Donnelley Financial Solutions, Inc. *     1,097,805  
    197,700     Ellington Financial, Inc.     2,016,540  
    52,700     Encore Capital Group, Inc. *     1,674,279  
    189,317     Enova International, Inc. *     2,678,836  
    82,200     Federated Investors, Inc. – Class B     1,819,908  
    5,400     Focus Financial Partners, Inc. – Class A *     150,336  
    46,500     INTL. FCStone, Inc. *     2,371,965  
    46,900     Navient Corp.     348,936  
    40,100     Oppenheimer Holdings, Inc. – Class A     849,318  
     Shares     Description   Value ($)  
          Diversified Financials — continued  
    367,200     PennyMac Mortgage Investment Trust (REIT)     4,042,872  
    4,800     Piper Sandler Cos.     286,272  
    183,700     Waddell & Reed Financial, Inc. – Class A     2,395,448  
    34,200     Westwood Holdings Group, Inc.     606,366  
     

 

 

 
    Total Diversified Financials     23,693,659  
     

 

 

 
          Energy — 2.2%  
    58,700     Evolution Petroleum Corp.     143,228  
    25,500     Geospace Technologies Corp. *     200,940  
    8,000     International Seaways, Inc.     181,440  
    775,300     Laredo Petroleum, Inc. *     657,842  
    39,880     Matrix Service Co. *     439,478  
    54,200     Penn Virginia Corp. *     475,876  
    30,300     Renewable Energy Group, Inc. *     862,035  
    2,800     REX American Resources Corp. *     164,220  
    99,100     Southwestern Energy Co. *     298,291  
    226,800     World Fuel Services Corp.     5,778,864  
     

 

 

 
    Total Energy     9,202,214  
     

 

 

 
          Food & Staples Retailing — 0.9%  
    32,200     Ingles Markets, Inc. – Class A     1,372,042  
    7,200     Natural Grocers by Vitamin Cottage, Inc. – Class C     103,680  
    39,400     SpartanNash Co.     843,554  
    19,500     United Natural Foods, Inc. *     382,200  
    8,800     Village Super Market, Inc. – Class A     210,584  
    11,400     Weis Markets, Inc.     635,322  
     

 

 

 
    Total Food & Staples Retailing     3,547,382  
     

 

 

 
          Food, Beverage & Tobacco — 1.4%  
    7,800     John B. Sanfilippo & Son, Inc.     678,132  
    6,016     Seneca Foods Corp. – Class A *     219,403  
    112,000     Universal Corp.     4,934,720  
     

 

 

 
    Total Food, Beverage & Tobacco     5,832,255  
     

 

 

 
          Health Care Equipment & Services — 4.4%  
    123,800     Allscripts Healthcare Solutions, Inc. *     782,416  
    40,900     AngioDynamics, Inc.*     417,589  
    48,100     Computer Programs & Systems, Inc.     1,063,972  
    24,600     Covetrus, Inc. *     375,888  
    15,300     FONAR Corp. *     365,670  
    31,700     HealthStream, Inc. *     722,126  
    8,600     Hill-Rom Holdings, Inc.     874,362  
    28,100     Inogen, Inc. *     1,067,800  
    38,200     Integer Holdings Corp. *     3,024,676  
    41,300     Lantheus Holdings, Inc. *     567,049  
    59,600     Meridian Bioscience, Inc. *     921,416  
    35,900     Natus Medical, Inc. *     768,260  
    43,600     NextGen Healthcare, Inc. *     449,952  
    54,200     OraSure Technologies, Inc. *     788,068  
    167,100     Owens & Minor, Inc.     1,325,103  
    10,600     Oxford Immunotec Global Plc *     129,850  
 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Health Care Equipment & Services — continued  
    60,600     Patterson Cos., Inc.     1,193,214  
    2,500     Providence Service Corp. (The) *     201,250  
    71,500     RTI Surgical Holdings, Inc. *     194,480  
    18,400     SeaSpine Holdings Corp. *     195,960  
    75,800     Select Medical Holdings Corp. *     1,223,412  
    6,100     Surmodics, Inc. *     225,578  
    14,900     Triple-S Management Corp. – Class B *     296,510  
    6,500     Vapotherm, Inc. *     173,095  
    39,600     Varex Imaging Corp. *     742,896  
     

 

 

 
    Total Health Care Equipment & Services     18,090,592  
     

 

 

 
          Household & Personal Products — 1.0%  
    11,900     Central Garden & Pet Co. *     436,611  
    21,700     Central Garden & Pet Co. – Class A *     743,442  
    47,600     Inter Parfums, Inc.     2,209,116  
    6,200     USANA Health Sciences, Inc. *     525,264  
     

 

 

 
    Total Household & Personal Products     3,914,433  
     

 

 

 
          Insurance — 1.6%  
    31,300     American Equity Investment Life Holding Co.     678,897  
    39,200     Employers Holdings, Inc.     1,171,688  
    6,600     FedNat Holding Co.     80,454  
    55,400     First American Financial Corp.     2,797,146  
    300     Heritage Insurance Holdings, Inc.     3,762  
    4,000     Horace Mann Educators Corp.     146,080  
    58,200     National General Holdings Corp.     1,181,460  
    32,700     Universal Insurance Holdings, Inc.     584,022  
     

 

 

 
    Total Insurance     6,643,509  
     

 

 

 
          Materials — 8.0%  
    21,000     American Vanguard Corp.     279,300  
    3,500     Boise Cascade Co.     119,105  
    13,400     Ferro Corp. *     161,068  
    22,100     FutureFuel Corp.     289,068  
    83,900     Greif, Inc. – Class A     2,850,922  
    4,500     Hawkins, Inc.     193,050  
    75,500     Innospec, Inc.     5,820,295  
    42,700     Koppers Holdings, Inc. *     707,539  
    14,200     Kronos Worldwide, Inc.     138,592  
    72,100     Materion Corp.     3,785,250  
    4,500     Minerals Technologies, Inc.     221,895  
    14,800     Neenah, Inc.     748,288  
    108,400     PolyOne Corp.     2,686,152  
    30,900     Reliance Steel & Aluminum Co.     2,997,300  
    126,400     Schweitzer-Mauduit International, Inc.     3,841,296  
    34,300     Silgan Holdings, Inc.     1,146,992  
    28,229     Stepan Co.     2,742,730  
    74,900     Tredegar Corp.     1,146,719  
    56,700     Valvoline, Inc.     1,040,445  
    32,600     Verso Corp. – Class A *     468,788  
    46,300     Worthington Industries, Inc.     1,385,296  
     

 

 

 
    Total Materials     32,770,090  
     

 

 

 
     Shares     Description   Value ($)  
          Media & Entertainment — 2.9%  
    17,200     Cars.com, Inc. *     106,124  
    92,200     DHI Group, Inc. *     246,174  
    148,500     Glu Mobile, Inc. *     1,482,030  
    270,600     Liberty TripAdvisor Holdings, Inc. – Class A *     642,675  
    79,400     Marchex, Inc. – Class B *     123,070  
    104,800     National CineMedia, Inc.     288,200  
    41,100     Scholastic Corp.     1,208,340  
    34,400     Sciplay Corp. – Class A *     482,288  
    544,900     TEGNA, Inc.     6,386,228  
    66,000     Tribune Publishing Co.     627,000  
    65,200     TrueCar, Inc. *     176,040  
    21,600     WideOpenWest, Inc. *     140,616  
     

 

 

 
    Total Media & Entertainment     11,908,785  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life
Sciences — 4.1%
 
    22,500     Arcus Biosciences, Inc. *     705,375  
    5,500     Arvinas, Inc. *     182,985  
    46,300     CytomX Therapeutics, Inc. *     410,218  
    23,800     Emergent BioSolutions, Inc. *     1,987,062  
    33,100     Enanta Pharmaceuticals, Inc. *     1,704,319  
    155,600     Endo International Plc *     600,616  
    23,323     Evofem Biosciences, Inc. *     127,344  
    47,300     Luminex Corp.     1,473,868  
    17,700     Pacira BioSciences, Inc. *     777,915  
    201,200     PDL BioPharma, Inc. *     657,924  
    14,000     Phibro Animal Health Corp. – Class A     366,800  
    141,300     Prestige Consumer Healthcare, Inc. *     5,962,860  
    7,200     Principia Biopharma, Inc. *     460,008  
    4,800     Scholar Rock Holding Corp. *     88,320  
    8,300     Syros Pharmaceuticals, Inc. *     81,257  
    16,800     Translate Bio, Inc. *     348,096  
    57,100     Vanda Pharmaceuticals, Inc. *     669,212  
    6,500     Xenon Pharmaceuticals, Inc. *     89,050  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     16,693,229  
     

 

 

 
          Real Estate — 5.4%  
    31,100     Apple Hospitality REIT, Inc.     317,531  
    424,800     CoreCivic, Inc. (REIT)     5,110,344  
    220,000     CorePoint Lodging, Inc. (REIT)     871,200  
    24,400     Cushman & Wakefield Plc *     250,100  
    142,400     GEO Group, Inc. (REIT)     1,705,952  
    58,200     iStar, Inc. (REIT)     636,126  
    632,400     Newmark Group, Inc. – Class A     2,687,700  
    244,800     Realogy Holdings Corp.     1,483,488  
    249,000     Retail Properties of America, Inc. – Class A (REIT)     1,349,580  
    492,900     Summit Hotel Properties, Inc. (REIT)     3,080,625  
    308,600     Sunstone Hotel Investors, Inc. (REIT)     2,731,110  
    211,900     Xenia Hotels & Resorts, Inc. (REIT)     1,907,100  
     

 

 

 
    Total Real Estate     22,130,856  
     

 

 

 
 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Retailing — 7.5%  
    3,800     Asbury Automotive Group, Inc. *     274,664  
    41,200     AutoNation, Inc. *     1,626,576  
    62,500     Big Lots, Inc.     2,421,875  
    23,500     Cato Corp. (The) – Class A     227,950  
    83,400     Core-Mark Holding Co., Inc.     2,333,532  
    29,800     Designer Brands, Inc. – Class A     182,674  
    110,100     Dick’s Sporting Goods, Inc.     3,970,206  
    37,300     Genesco, Inc. *     689,677  
    89,200     Group 1 Automotive, Inc.     5,614,248  
    83,813     Haverty Furniture Cos, Inc.     1,449,965  
    26,900     Hibbett Sports, Inc. *     519,708  
    493,500     Office Depot, Inc.     1,218,945  
    1,300     PetMed Express, Inc.     46,930  
    31,100     Rent-A-Center, Inc.     791,806  
    111,000     Sally Beauty Holdings, Inc. *     1,447,440  
    63,300     Shoe Carnival, Inc.     1,645,167  
    70,700     Signet Jewelers Ltd.     745,885  
    9,900     Sleep Number Corp. *     308,583  
    131,200     Sonic Automotive, Inc. – Class A     3,447,936  
    2,600     Weyco Group, Inc.     48,542  
    76,400     Zumiez, Inc. *     1,861,868  
     

 

 

 
    Total Retailing     30,874,177  
     

 

 

 
          Semiconductors & Semiconductor
Equipment — 1.9%
 
    77,700     Alpha & Omega Semiconductor Ltd. *     817,404  
    163,300     Amkor Technology, Inc. *     1,727,714  
    104,600     DSP Group, Inc. *     1,884,892  
    84,000     FormFactor, Inc. *     2,114,280  
    25,601     Onto Innovation, Inc. *     795,679  
    48,700     Photronics, Inc. *     583,913  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     7,923,882  
     

 

 

 
          Software & Services — 3.4%  
    27,500     A10 Networks, Inc. *     187,000  
    26,100     Cerence, Inc. *     780,651  
    3,400     ChannelAdvisor Corp. *     47,430  
    54,000     CSG Systems International, Inc.     2,556,900  
    15,500     Hackett Group, Inc. (The)     213,745  
    15,600     ManTech International Corp. – Class A     1,212,744  
    9,200     MicroStrategy, Inc. – Class A *     1,145,216  
    2,700     NIC, Inc.     64,962  
    13,300     OneSpan, Inc. *     270,256  
    116,400     Progress Software Corp.     4,702,560  
    73,800     Sykes Enterprises, Inc. *     2,011,788  
    36,400     Unisys Corp. *     413,504  
    40,700     Xperi Corp.     559,625  
     

 

 

 
    Total Software & Services     14,166,381  
     

 

 

 
     Shares     Description   Value ($)  
          Technology Hardware & Equipment — 7.4%  
    104,446     ADTRAN, Inc.     1,190,684  
    176,400     Arlo Technologies, Inc. *     389,844  
    25,800     Avnet, Inc.     702,792  
    191,200     Benchmark Electronics, Inc.     4,051,528  
    121,500     Comtech Telecommunications Corp.     2,163,915  
    43,300     CTS Corp.     924,022  
    90,500     Digi International, Inc. *     1,007,265  
    14,700     ePlus, Inc. *     1,083,537  
    127,200     Insight Enterprises, Inc. *     6,520,272  
    30,900     Kimball Electronics, Inc. *     438,471  
    30,800     Methode Electronics, Inc.     965,580  
    9,300     MTS Systems Corp.     163,773  
    32,100     NETGEAR, Inc. *     825,933  
    8,300     NetScout Systems, Inc. *     228,001  
    46,800     PC Connection, Inc.     2,025,504  
    1,800     Plexus Corp. *     115,596  
    266,200     Sanmina Corp. *     7,083,582  
    6,400     ScanSource, Inc. *     157,760  
    8,126     Vishay Precision Group, Inc. *     191,936  
     

 

 

 
    Total Technology Hardware & Equipment     30,229,995  
     

 

 

 
          Telecommunication Services — 1.5%  
    3,000     ATN International, Inc.     178,200  
    32,600     Consolidated Communications Holdings, Inc. *     197,556  
    58,300     IDT Corp. – Class B *     369,622  
    15,800     Ooma, Inc. *     198,132  
    96,678     Spok Holdings, Inc.     992,883  
    190,600     Telephone & Data Systems, Inc.     3,905,394  
    11,800     United States Cellular Corp. *     371,818  
     

 

 

 
    Total Telecommunication Services     6,213,605  
     

 

 

 
          Transportation — 0.2%  
    25,000     ArcBest Corp.     559,750  
    9,200     Hub Group, Inc. – Class A *     430,284  
     

 

 

 
    Total Transportation     990,034  
     

 

 

 
          Utilities — 0.2%  
    62,100     Genie Energy Ltd. – Class B     534,681  
    6,500     Unitil Corp.     313,105  
     

 

 

 
    Total Utilities     847,786  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $472,179,936)
    408,473,937  
     

 

 

 
          MUTUAL FUNDS — 0.0%  
          Affiliated Issuers — 0.0%  
    11,924     GMO U.S. Treasury Fund     60,097  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $59,978)
    60,097  
     

 

 

 
 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          RIGHTS/WARRANTS — 0.0%  
          Pharmaceuticals, Biotechnology & Life
Sciences — 0.0%
 
    72,700     Achillion Pharmaceuticals, Inc. CVR * (a)     36,350  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $33,442)
    36,350  
     

 

 

 
     Shares     Description   Value ($)  
          SHORT-TERM INVESTMENTS — 0.5%  
          Money Market Funds — 0.5%  
    1,924,970     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (b)     1,924,970  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $1,924,970)
    1,924,970  
     

 

 

 
    TOTAL INVESTMENTS — 99.9%
(Cost $474,198,326)
    410,495,354  
    Other Assets and Liabilities (net) — 0.1%     363,262  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $410,858,616  
     

 

 

 
 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
16   E-mini Russell 2000 Index     June 2020     $ 1,114,240     $ 38,923  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

  

Sales - Fund is short the futures contract.

 

 

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

(a)

Investment valued using significant unobservable inputs.

(b)

The rate disclosed is the 7 day net yield as of May 31, 2020.

Portfolio Abbreviations:

CVR - Contingent Value Right

REIT - Real Estate Investment Trust

 


Organization

Each of Climate Change Fund, Cyclical Focus Fund (commenced operations on May 12, 2020), Emerging Domestic Opportunities Fund, Emerging Markets Fund, International Equity Fund, Quality Fund, Resources Fund, Risk Premium Fund, Tax-Managed International Equities Fund, U.S. Equity Fund and U.S. Small Cap Value Fund (each a “Fund” and collectively the “Funds”) is a series of GMO Trust (the “Trust”). The Trust is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company. The Trust was established as a Massachusetts business trust under the laws of The Commonwealth of Massachusetts on June 24, 1985. The Declaration of Trust permits the Trustees of the Trust (“Trustees”) to create an unlimited number of series of shares (Funds) and to subdivide Funds into classes. The Funds are advised and managed by Grantham, Mayo, Van Otterloo & Co. LLC (“GMO”).

The Funds may invest in GMO U.S. Treasury Fund and in money market funds unaffiliated with GMO. The Funds may also invest in other GMO Funds (“underlying funds”). The financial statements of the underlying funds should be read in conjunction with the Funds’ financial statements. The financial statements are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov or on GMO’s website at www.gmo.com.

Each Fund has elected to be treated or intends to elect to be treated and intends to qualify each tax year as a regulated investment company under Subchapter M of the Internal Revenue Code of 1986, as amended. Each Fund intends to distribute its net investment income, if any, and its net realized short-term and long-term capital gains, if any, after giving effect to any available capital loss carryforwards for U.S. federal income tax purposes. Therefore, each Fund makes no provision for U.S. federal income or excise taxes.

Please see the Funds’ Prospectus, available on www.gmo.com, for information regarding specific risks for each Fund.

Basis of presentation

The preparation of the Schedule of Investments in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”) requires GMO to make estimates and assumptions that affect the reported amounts and disclosures in the Schedule of Investments during the reporting period. GMO believes the estimates and security valuations are appropriate; however, actual results may differ from those estimates, and the security valuations reflected in the Schedule of Investments may differ from the value a Fund ultimately realizes upon the sale of those securities.

Portfolio valuation

Exchange-traded securities (other than exchange-traded options) for which market quotations are readily available are valued at (i) the last sale price or (ii) official closing price or (iii) most recent quoted price published by the exchange (if no reported last sale or official closing price) or (iv) the quoted price provided by a pricing source (in the event GMO deems the private market to be a more reliable indicator of market value than the exchange). Exchange-traded options are valued at the last sale price, provided that price is between the closing bid and ask prices. If the last sale price is not within that range, then they will be valued at the closing bid price for long positions and the closing ask price for short positions. Cleared derivatives are valued using the price quoted (which may be based on a model) by the relevant clearing house. If an updated quote for a cleared derivative is not available when a Fund calculates its net asset value, the derivative will generally be valued using an industry standard model, which may differ from the model used by the relevant clearing house. Over-the-counter (“OTC”) derivatives are generally valued at the price determined by an industry standard model. Unlisted securities for which market quotations are readily available are generally valued at the most recent quoted price. Shares of the underlying funds and other open-end registered investment companies are valued at their most recent net asset value.

The foregoing valuation methodologies are modified for equities that trade in non-U.S. securities markets that close before the close of the New York Stock Exchange (“NYSE”) due to time zone differences, including the value of equities that underlie futures, options and other derivatives (to the extent the market for those derivatives closes prior to the close of the NYSE). In those cases, the price will generally be adjusted, to the extent practicable and available, based on inputs from an independent pricing service approved by the Trustees that are intended to reflect valuation changes through the NYSE close. These securities listed on foreign exchanges (including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE)) are classified as Level 2 (levels defined below).

“Quoted price” typically means the bid price for securities held long and the ask price for securities sold short. If a market quotation for a security does not involve a bid or an ask, the “quoted price” may be the price provided by a market participant or other third-party pricing source in accordance with the market practice for that security. If an updated quoted price for a security is not available when a Fund calculates its net asset value, the Fund will generally use the last quoted price so long as GMO believes that the last quoted price continues to represent that security’s fair value.

In the case of derivatives, prices determined by a model may reflect an estimate of the average of bid and ask prices, regardless of whether a Fund has a long position or a short position.

If quotations are not readily available or circumstances make an existing valuation methodology or procedure unreliable, derivatives and other securities are valued at fair value as determined in good faith by the Trustees or persons acting at their direction pursuant to


procedures approved by the Trustees. Because of the uncertainty inherent in fair value pricing, the price determined for a particular security may be materially different from the value realized upon its sale. The Funds and/or the underlying funds classify such securities as Level 3 (levels defined below). For the period ended May 31, 2020, the Funds did not reduce the value of any of their OTC derivatives contracts, if any, based on the creditworthiness of their counterparties.

U.S. GAAP requires the Funds to disclose the fair value of their investments in a three-level hierarchy (Levels 1, 2 and 3). The valuation hierarchy is based upon the relative observability of inputs to the valuation of the Funds’ investments. The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

Changes in valuation techniques may result in transfers into or out of an investment’s assigned level within the fair value hierarchy. In addition, in periods of market dislocation, the observability of prices and inputs may be reduced for many instruments. This condition, as well as changes related to the liquidity of investments, could cause a security to be reclassified between levels.

The three levels are defined as follows:

Level 1 – Valuations based on quoted prices for identical securities in active markets.

The types of assets and liabilities categorized in Level 1 generally include actively traded domestic and certain foreign equity securities; certain U.S. government obligations; derivatives actively traded on a national securities exchange (such as some futures and options); and shares of open-end mutual funds (even if their investments are valued using Level 2 or Level 3 inputs).

Level 2 – Valuations determined using other significant direct or indirect observable inputs.

The types of assets and liabilities categorized in Level 2 generally include cleared derivatives and certain OTC derivatives such as swaps, options, swaptions, and forward currency contracts valued using industry standard models; certain restricted securities valued at the most recent available market or quoted price; certain securities that are valued at the local price; and certain foreign equity securities that are adjusted based on inputs from an independent pricing service approved by the Trustees, including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE) to reflect estimated valuation changes through the NYSE close.

Level 3 – Valuations based primarily on inputs that are unobservable and significant.

The types of assets and liabilities categorized in Level 3 generally include, but are not limited to, securities whose trading has been suspended or that have been de-listed from their current primary trading exchange valued at the most recent available market or quoted price; securities in default or bankruptcy proceedings for which there is no current market quotation valued at the most recent available market or quoted price; certain equity securities valued based on the last traded exchange price adjusted for the movement in a relevant index and/or a security type conversion discount; certain securities that are valued using a price from a comparable security related to the same issuer; and certain recently acquired equity securities that have yet to begin trading that are valued at cost.

The following is a summary of the respective levels assigned to the Funds’ direct securities and derivatives, if any, as of May 31, 2020:

 

         
Description   Level 1     Level 2     Level 3     Total  

Climate Change Fund

         

Asset Valuation Inputs

         

Common Stocks

         

Argentina

  $ 1,037,913     $     $     $ 1,037,913  

Australia

          1,208,993             1,208,993  

Brazil

          1,625,020             1,625,020  

Canada

    3,377,597                   3,377,597  

China

    508,343       3,038,666             3,547,009  

Denmark

          2,963,466             2,963,466  

Finland

          415,638             415,638  

France

          9,186,932             9,186,932  

Germany

          2,563,285             2,563,285  

India

          196,828             196,828  

Israel

          1,039,997             1,039,997  

Italy

          4,380,366             4,380,366  

Japan

          11,285,031             11,285,031  

Mexico

    2,708,910                   2,708,910  

Netherlands

          773,161             773,161  

Norway

          1,664,742             1,664,742  
                                 


         
Description   Level 1     Level 2     Level 3     Total  

Climate Change Fund (continued)

         

Asset Valuation Inputs (continued)

         

Common Stocks (continued)

         

Pakistan

  $     $ 515,794     $     $ 515,794  

Portugal

          1,343,038             1,343,038  

Russia

          5,729,419             5,729,419  

Spain

          2,922,020             2,922,020  

Switzerland

          1,301,005             1,301,005  

Taiwan

          267,021             267,021  

Thailand

          289,093             289,093  

Ukraine

          794,672             794,672  

United Kingdom

    513,520       3,066,238             3,579,758  

United States

    35,226,283                   35,226,283  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    43,372,566       56,570,425             99,942,991  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Chile

    2,575,909                   2,575,909  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    2,575,909                   2,575,909  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    6,239,416                   6,239,416  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    6,239,416                   6,239,416  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    333,890                   333,890  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    52,521,781       56,570,425             109,092,206  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 52,521,781     $ 56,570,425     $     $ 109,092,206  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Cyclical Focus Fund

         

Asset Valuation Inputs

         

Common Stocks

         

Canada

  $ 2,138,600     $     $     $ 2,138,600  

Finland

          2,865,504             2,865,504  

France

          7,949,539             7,949,539  

Germany

          6,400,580             6,400,580  

Ireland

          1,726,100             1,726,100  

Japan

          3,127,224             3,127,224  

Mexico

    2,825,118                   2,825,118  

Russia

          5,726,931             5,726,931  

Spain

          4,038,121             4,038,121  

Switzerland

          2,754,977             2,754,977  

United Kingdom

          10,994,165             10,994,165  

United States

    65,020,333                   65,020,333  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    69,984,051       45,583,141             115,567,192  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          2,596,041             2,596,041  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          2,596,041             2,596,041  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    452,058                   452,058  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    70,436,109       48,179,182             118,615,291  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 70,436,109     $ 48,179,182     $     $ 118,615,291  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Emerging Domestic Opportunities Fund

         

Asset Valuation Inputs

         

Common Stocks

         

Brazil

  $     $ 6,183,759     $     $ 6,183,759  

China

    116,287,825       175,660,951             291,948,776  

Hong Kong

          3,529,830             3,529,830  

India

          44,889,994             44,889,994  

Indonesia

          4,141,173             4,141,173  

Japan

          1,910,612             1,910,612  

Mexico

    11,555,504                   11,555,504  

Peru

    294,935                   294,935  

Philippines

          5,482,707             5,482,707  

Russia

          9,649,422             9,649,422  
                                 


         
Description   Level 1     Level 2     Level 3     Total  

Emerging Domestic Opportunities Fund (continued)

 

       

Asset Valuation Inputs (continued)

         

Common Stocks (continued)

         

South Africa

  $     $ 8,471,258     $     $ 8,471,258  

South Korea

          61,648,688             61,648,688  

Switzerland

          20,566,330             20,566,330  

Taiwan

    5,078,297       96,640,215             101,718,512  

Thailand

          6,991,453             6,991,453  

Turkey

          1,795,160             1,795,160  

United States

    3,328,215                   3,328,215  

Vietnam

          5,420,385             5,420,385  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    136,544,776       452,981,937             589,526,713  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          3,081,579             3,081,579  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          3,081,579             3,081,579  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

Brazil

    10,952,132                   10,952,132  

Russia

    38,664,562                   38,664,562  

South Korea

          9,586,991             9,586,991  

Taiwan

    3,335,046                   3,335,046  

Thailand

          34,544,069             34,544,069  

United States

    52,611,810                   52,611,810  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    105,563,550       44,131,060             149,694,610  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    11,000,603                   11,000,603  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    11,000,603                   11,000,603  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

India

    29,677                   29,677  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    29,677                   29,677  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    18,204,112                   18,204,112  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    18,204,112                   18,204,112  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    7,344,394                   7,344,394  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    278,687,112       500,194,576             778,881,688  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          304,005             304,005  

Futures Contracts

         

Equity Risk

    300,930                   300,930  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 278,988,042     $ 500,498,581     $     $ 779,486,623  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

         

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (135,631   $     $ (135,631

Futures Contracts

         

Equity Risk

          (1,477,196           (1,477,196
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (1,612,827   $     $ (1,612,827
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Emerging Markets Fund

         

Asset Valuation Inputs

         

Common Stocks

         

Argentina

  $     $ 3,719,493     $     $ 3,719,493  

Brazil

          2,276,632             2,276,632  

Chile

    39,425       1,540,952             1,580,377  

China

    173,697,112       957,534,999       687,475       1,131,919,586  

Colombia

    195,743                   195,743  

Czech Republic

          1,219,599             1,219,599  

Greece

          4,109,032             4,109,032  

Hungary

          606,926             606,926  

India

          56,143,238             56,143,238  
                                 


         
Description   Level 1     Level 2     Level 3     Total  

Emerging Markets Fund (continued)

         

Asset Valuation Inputs (continued)

         

Common Stocks (continued)

         

Indonesia

  $     $ 28,762,133     $     $ 28,762,133  

Kuwait

          14,575,075             14,575,075  

Malaysia

          1,345,496             1,345,496  

Mexico

    40,409,012                   40,409,012  

Pakistan

          7,792,760             7,792,760  

Peru

    3,161,730                   3,161,730  

Philippines

          7,675,067             7,675,067  

Poland

          85,112,659             85,112,659  

Qatar

          19,844,225             19,844,225  

Russia

    9,152,116       448,152,536             457,304,652  

South Africa

          73,741,300             73,741,300  

South Korea

          99,762,573             99,762,573  

Sri Lanka

          452,038             452,038  

Taiwan

    13,740,593       509,334,977             523,075,570  

Thailand

          24,338,728             24,338,728  

Turkey

          2,140,204             2,140,204  

United Arab Emirates

          6,038,648             6,038,648  

United Kingdom

          20,761,427             20,761,427  

Vietnam

          3,303,915             3,303,915  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    240,395,731       2,380,284,632       687,475       2,621,367,838  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Colombia

    1,089,205                   1,089,205  

Russia

          57,523,425             57,523,425  

South Korea

          60,377,628             60,377,628  

Taiwan

          1,330,429             1,330,429  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    1,089,205       119,231,482             120,320,687  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

Thailand

          11,276,567             11,276,567  

United States

    60,203,932                   60,203,932  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    60,203,932       11,276,567             71,480,499  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    19,021,339                   19,021,339  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    19,021,339                   19,021,339  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    35,750,178                   35,750,178  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    356,460,385       2,510,792,681       687,475       2,867,940,541  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          4,100             4,100  

Futures Contracts

         

Equity Risk

    13,643,688                   13,643,688  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 370,104,073     $ 2,510,796,781     $ 687,475     $ 2,881,588,329  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

 

Derivatives^

 

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (9,299   $     $ (9,299

Futures Contracts

         

Equity Risk

          (1,283,874           (1,283,874

Swap Contracts

         

Equity Risk

          (63,584           (63,584
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (1,356,757   $     $ (1,356,757
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

International Equity Fund

         

Asset Valuation Inputs

         

Common Stocks

         

Australia

  $     $ 95,347,853     $     $ 95,347,853  

Austria

          1,482,077             1,482,077  

Belgium

          22,093,813             22,093,813  

Denmark

          979,590             979,590  
                                 


         
Description   Level 1     Level 2     Level 3     Total  

International Equity Fund (continued)

         

Asset Valuation Inputs (continued)

         

Common Stocks (continued)

         

France

  $ 39,551,143     $ 203,876,470     $     $ 243,427,613  

Germany

          125,640,961             125,640,961  

Hong Kong

          55,188,091             55,188,091  

Ireland

    17,794,128       6,241,676             24,035,804  

Italy

          126,286,394             126,286,394  

Japan

          583,616,145             583,616,145  

Malta

                0 §      0 § 

Netherlands

          174,974,712             174,974,712  

New Zealand

          404,395             404,395  

Norway

    1,197,856       63,366,575             64,564,431  

Portugal

          89,122,760             89,122,760  

Singapore

          104,516,150             104,516,150  

Spain

          168,637,591             168,637,591  

Sweden

          112,067,628             112,067,628  

Switzerland

          183,827,747             183,827,747  

United Kingdom

    31,822,217       431,633,503             463,455,720  

United States

          653,822             653,822  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    90,365,344       2,549,957,953       0 §      2,640,323,297  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          8,398,459             8,398,459  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          8,398,459             8,398,459  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    51,060,374                   51,060,374  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    141,425,718       2,558,356,412       0 §       2,699,782,130  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    1,837,126                   1,837,126  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 143,262,844     $ 2,558,356,412     $ 0 §    $ 2,701,619,256  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Quality Fund

         

Asset Valuation Inputs

         

Common Stocks

         

France

  $     $ 51,832,360     $     $ 51,832,360  

Germany

          199,250,091             199,250,091  

Netherlands

          39,642,761             39,642,761  

Switzerland

          267,984,440             267,984,440  

Taiwan

          158,201,920             158,201,920  

United Kingdom

          246,310,221             246,310,221  

United States

    5,354,620,184                   5,354,620,184  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    5,354,620,184       963,221,793             6,317,841,977  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    20,341,406                   20,341,406  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    20,341,406                   20,341,406  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    15,830,961                   15,830,961  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    15,830,961                   15,830,961  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    166,995,691                   166,995,691  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    5,557,788,242       963,221,793             6,521,010,035  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 5,557,788,242     $ 963,221,793     $     $ 6,521,010,035  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Resources Fund

         

Asset Valuation Inputs

         

Common Stocks

         

Argentina

  $ 5,407,990     $     $     $ 5,407,990  

Australia

          27,958,258             27,958,258  

Austria

          5,083,361             5,083,361  

Brazil

          7,771,912             7,771,912  

Canada

    14,820,718                   14,820,718  
                                 


         
Description   Level 1     Level 2     Level 3     Total  

Resources Fund (continued)

         

Asset Valuation Inputs (continued)

         

Common Stocks (continued)

         

China

  $     $ 6,595,942     $     $ 6,595,942  

Colombia

    3,318,787                   3,318,787  

Denmark

          6,454,111             6,454,111  

France

          18,609,869             18,609,869  

Hungary

          3,597,796             3,597,796  

India

          11,497,900             11,497,900  

Israel

          10,827,061             10,827,061  

Italy

          1,303,138             1,303,138  

Japan

          16,242,900             16,242,900  

Mexico

    11,413,442                   11,413,442  

Norway

          14,647,014             14,647,014  

Pakistan

          4,226,764             4,226,764  

Poland

          2,708,975             2,708,975  

Russia

          68,958,929             68,958,929  

Singapore

                0 §      0 §  

South Africa

          3,458,301             3,458,301  

South Korea

          960,249             960,249  

Spain

          7,653,608             7,653,608  

Sweden

          4,490,526             4,490,526  

Switzerland

          2,654,184             2,654,184  

Thailand

          10,603,702             10,603,702  

Turkey

          2,899,211             2,899,211  

Ukraine

          2,759,070             2,759,070  

United Kingdom

          57,377,552             57,377,552  

United States

    109,615,238                   109,615,238  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    144,576,175       299,340,333       0 §       443,916,508  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          24,835,585             24,835,585  

Chile

    12,290,083                   12,290,083  

Russia

          11,067,707             11,067,707  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    12,290,083       35,903,292             48,193,375  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    2,288,408                   2,288,408  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    2,288,408                   2,288,408  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Singapore

                0 §       0 §  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

                0 §       0 §  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    13,481,882                   13,481,882  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    172,636,548       335,243,625       0 §       507,880,173  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 172,636,548     $ 335,243,625     $ 0 §    $ 507,880,173  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Risk Premium Fund

         

Asset Valuation Inputs

         

Debt Obligations

         

United States

  $ 14,560,232     $     $     $ 14,560,232  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    14,560,232                   14,560,232  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    1,617,983                   1,617,983  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    16,178,215                   16,178,215  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 16,178,215     $     $     $ 16,178,215  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

         

Derivatives^

         

Written Options

         

Equity Risk

  $ (81,000   $ (32,894   $     $ (113,894
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  

Tax-Managed International Equities Fund

         

Asset Valuation Inputs

         

Common Stocks

         

Australia

  $     $ 1,590,538     $     $ 1,590,538  

Austria

          16,302             16,302  

Belgium

          394,718             394,718  

Brazil

          644,295             644,295  

Canada

    38,027                   38,027  

China

    8,550       923,507             932,057  

Denmark

          40,951             40,951  

France

          3,873,220             3,873,220  

Germany

          2,168,327             2,168,327  

Hong Kong

          600,790             600,790  

Hungary

          59,848             59,848  

India

          104,726             104,726  

Ireland

    172,378       476,224             648,602  

Italy

          1,772,021             1,772,021  

Japan

          9,986,745             9,986,745  

Malta

                0 §       0 §  

Mexico

    5,213                   5,213  

Netherlands

          3,189,868             3,189,868  

Norway

          275,233             275,233  

Philippines

          13,823             13,823  

Poland

          58,320             58,320  

Portugal

          1,334,988             1,334,988  

Russia

          444,328             444,328  

Singapore

          1,133,343             1,133,343  

South Africa

          85,184             85,184  

South Korea

          982,774             982,774  

Spain

          2,713,956             2,713,956  

Sweden

          1,240,686             1,240,686  

Switzerland

          2,980,896             2,980,896  

Taiwan

          364,610             364,610  

Thailand

          9,221             9,221  

Turkey

          555,764             555,764  

United Kingdom

    682,495       4,856,124             5,538,619  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    906,663       42,891,330       0 §       43,797,993  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          23,724             23,724  

Germany

          239,062             239,062  

Russia

          27,693             27,693  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          290,479             290,479  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    370,165                   370,165  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    370,165                   370,165  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    380,201                   380,201  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    1,657,029       43,181,809       0 §       44,838,838  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    18,853                   18,853  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 1,675,882     $ 43,181,809     $ 0 §    $ 44,857,691  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

U.S. Equity Fund

         

Asset Valuation Inputs

         

Common Stocks

  $ 360,960,437     $     $     $ 360,960,437  

Mutual Funds

    1,010,296                   1,010,296  

Short-Term Investments

    86,530                   86,530  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    362,057,263                   362,057,263  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    4,773                   4,773  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 362,062,036     $     $     $ 362,062,036  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  

U.S. Small Cap Value Fund

         

Asset Valuation Inputs

         

Common Stocks

  $ 408,473,937     $     $     $ 408,473,937  

Mutual Funds

    60,097                   60,097  

Rights/Warrants

                36,350       36,350  

Short-Term Investments

    1,924,970                   1,924,970  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    410,459,004             36,350       410,495,354  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    38,923                   38,923  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 410,497,927     $     $ 36,350     $ 410,534,277  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

The risks referenced in the tables above are not intended to be inclusive of all risks. Please see the Prospectus for more information.

 

  ^

In the tables above derivatives are based on market values, rather than the notional amounts of derivatives, except for forward currency contracts which are based on unrealized appreciation/(depreciation). The uncertainties surrounding the valuation inputs for a derivative are likely to be more significant to the Funds’ net asset values than the uncertainties surrounding inputs for a non-derivative security with the same market value. Excludes purchased options and fully funded total return swaps, if any, which are included in investments.

  §

Represents the interest in securities that were determined to have a value of zero at May 31, 2020.

The underlying funds held at period end are classified above as Level 1. Certain underlying funds invest in securities and/or derivatives which may have been fair valued using methods determined in good faith by or at the direction of the Trustees or which may have been valued using significant unobservable inputs. For a summary of the levels assigned to the underlying funds’ direct securities and derivatives, if any, please refer to the underlying funds’ Notes to Financial Statements which are available on the SEC’s website at www.sec.gov or on GMO’s website at www.gmo.com.

U.S. GAAP requires additional disclosures about fair value measurements for material Level 3 securities and derivatives, if any (determined by each category of asset or liability as compared to a Fund’s total net assets). At May 31, 2020, there were no material Level 3 classes of investments or derivatives with significant unobservable inputs subject to this additional disclosure.

Investments in affiliated companies and other Funds of the Trust

An affiliated company for the purposes of this disclosure is a company in which a Fund has or had direct ownership of at least 5% of the issuer’s voting securities or an investment in other funds of GMO Trust (“underlying funds”). A summary of the Funds’ transactions involving companies that are or were affiliates during the period ended May 31, 2020 is set forth below:

 

               
Affiliate   Value,
beginning
of
period
    Purchases     Sales
Proceeds
    Dividend
Income*
    Net Realized
Gain (Loss)
    Net
Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value, end of
period
 

Climate Change Fund

 

GMO U.S. Treasury Fund

  $ 8,545,006     $ 21,230,452     $ 23,546,572     $ 1,602 **    $ 25,397     $ (14,867)     $ 6,239,416  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         

Emerging Domestic Opportunities Fund

 

             

CMI Ltd

  $ 325,809     $     $ 57,343     $     $ (691,138)     $ 606,475     $

Gayatri Projects Ltd

    3,380,455                               (1,422,793)       1,957,662  

GMO U.S. Treasury Fund

    18,615,329       75,020,546       75,500,000       14,695       85,327       (17,090)       18,204,112  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Totals

  $ 22,321,593     $ 75,020,546     $ 75,557,343     $ 14,695     $     (605,811)     $ (833,408)     $ 20,161,774  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         

Emerging Markets Fund

 

Anilana Hotels & Properties Ltd

  $ 485,306     $     $     $     $     $ (33,268)     $ 452,038  

Gayatri Highways Ltd

    49,629                               6,920       56,549  

Gayatri Projects Ltd

    5,130,069                               (2,159,184)       2,970,885  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Totals

  $ 5,665,004     $     $     $     $     $ (2,185,532)     $ 3,479,472  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         

Quality Fund

 

GMO U.S. Treasury Fund

  $ 15,768,140     $     $     $ 17,161     $     $ 62,821     $ 15,830,961  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         


               
Affiliate   Value,
beginning
of
period
    Purchases     Sales
Proceeds
    Dividend
Income*
    Net Realized
Gain (Loss)
    Net
Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value, end of
period
 

Resources Fund

 

GMO U.S. Treasury Fund

  $ 1,832,863     $ 12,190,500     $ 14,026,825     $ **    $ 10,763     $ $ (7,301)     $  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         

Tax-Managed International Equities Fund

 

GMO U.S. Treasury Fund

  $ 368,696     $     $     $ 383     $     $ 1,469     $ 370,165  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         

U.S. Equity Fund

 

GMO U.S. Treasury Fund

  $ 1,469,983     $ 18,500,000     $ 18,970,000     $ 3,911     $ 13,242     $ (2,929)     $ 1,010,296  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         

U.S. Small Cap Value Fund

 

GMO U.S. Treasury Fund

  $ 6,280,467     $ 5,000,000     $ 11,233,000     $ 2,388     $ 28,510     $ (15,880)     $ 60,097  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         

 

  *

The table above includes estimated sources of all distributions paid by the underlying funds during the period March 1, 2020 through May 31, 2020. The actual tax characterization of distributions paid by the underlying funds will be determined at the end of the fiscal year ending February 28, 2021.

 

  **

Excludes income from investment of cash collateral from securities lending in GMO U.S. Treasury Fund. Income (net of fee rebates paid to the borrower and fees paid to the lending agent) from investment of cash collateral from securities lending in GMO U.S. Treasury Fund was $2,538 and $129 in Climate Change Fund and Resources Fund, respectively, during the period.

 

  #

Security is no longer an affiliate at period end.

Subsequent events

Effective June 30, 2020, GMO Emerging Markets Fund’s management fee was reduced from 0.75% to 0.65%.

Subsequent to May 31, 2020, GMO Tax-Managed International Equities Fund received redemption requests in the amount of $9,685,497.

* * *

For additional information regarding the Funds, please see the Funds’ most recent annual or semiannual shareholder report available on the SEC’s website, www.sec.gov, or visit GMO’s website at www.gmo.com.


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 30.1%

 

          France — 1.4%  
    32,200     Ingenico Group SA     4,481,914  
     

 

 

 
          Germany — 0.9%  
    66,200     QIAGEN NV * (a) (b)     2,898,898  
     

 

 

 
          Hong Kong — 0.1%  
    10,504     Jardine Strategic Holdings Ltd     209,897  
     

 

 

 
          Ireland — 1.8%  
    46,900     Flutter Entertainment Plc *     5,966,938  
     

 

 

 
          Japan — 1.5%  
    99,778     LINE Corp *     4,995,780  
     

 

 

 
          Netherlands — 0.9%  
    55,823     Unilever NV     2,880,815  
     

 

 

 
          United Kingdom — 2.6%  
    270,199     Royal Dutch Shell Plc – Class B Sponsored ADR     8,224,857  
     

 

 

 
          United States — 20.9%  
    7,141     Acacia Communications, Inc. * (a)     482,018  
    103,000     Advanced Disposal Services, Inc. * (a)     3,211,540  
    39,000     Bristol-Myers Squibb Co.     2,329,080  
    79,932     Charles Schwab Corp. (The) (a) (c)     2,870,358  
    226,055     Discovery, Inc. – Class C * (a) (b)     4,428,417  
    66,800     El Paso Electric Co. (b)     4,540,396  
    15,801     Eldorado Resorts, Inc. * (a)     560,303  
    267,800     FGL Holdings (d)     2,965,448  
    508,818     Genworth Financial, Inc. – Class A * (a)     1,551,895  
    137,388     IBERIABANK Corp. (b)     5,826,625  
    28,348     Liberty Broadband Corp.– Class C * (b)     3,872,904  
    76,570     Liberty Global Plc – Class A *     1,626,347  
    169,691     Liberty Media Corp.-Liberty SiriusXM –
Class C * (a) (b)
    6,188,631  
    42,329     Taubman Centers, Inc. (REIT) (a)     1,749,881  
    31,971     Tech Data Corp. * (b)     4,355,729  
    79,904     Texas Capital Bancshares, Inc. * (a) (b)     2,138,231  
    32,375     Tiffany & Co. (b)     4,148,209  
    45,375     Walgreens Boots Alliance, Inc. (a) (c)     1,948,403  
    37,200     Willis Towers Watson Plc (b)     7,547,880  
    164,442     Wright Medical Group NV * (a)     4,859,261  
     

 

 

 
    Total United States     67,201,556  
     

 

 

 
    TOTAL COMMON STOCKS (COST $92,902,272)     96,860,655  
     

 

 

 
Shares /
Par Value†
    Description   Value ($)  
  RIGHTS/WARRANTS — 0.1%  
          United States — 0.1%      
    62,875     Bristol-Myers Squibb Co. *     206,859  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $130,287)
    206,859  
     

 

 

 
          DEBT OBLIGATIONS — 29.2%      
          Canada — 4.5%      
          Foreign Government Obligations — 4.5%  

CAD

    20,000,000     Canadian Government Bond, 3.50%, due 06/01/20     14,531,721  
     

 

 

 
          United States — 24.7%      
          U.S. Government — 24.7%      
    11,500,000     U.S. Treasury Note, 1.38%, due 01/31/21 (b)     11,590,293  
    30,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.14%, 0.27%, due 04/30/21 (b)     30,031,945  
    7,000,000     U.S. Treasury Note, 1.75%, due 11/30/21     7,164,336  
    30,000,000     U.S. Treasury Note, 1.50%, due 01/31/22     30,656,250  
     

 

 

 
    Total United States     79,442,824  
     

 

 

 
   

TOTAL DEBT OBLIGATIONS

(COST $94,161,187)

    93,974,545  
     

 

 

 
          MUTUAL FUNDS — 13.7%      
          United States — 13.7%      
          Affiliated Issuers — 13.7%      
    662,539     GMO Emerging Markets Fund, Class VI     19,001,613  
    714,616     GMO International Equity Fund, Class IV     13,499,109  
    690,937     GMO Resources Fund, Class IV     11,642,283  
     

 

 

 
   

TOTAL MUTUAL FUNDS

(COST $47,770,000)

    44,143,005  
     

 

 

 
          INVESTMENT FUNDS — 2.0%      
          United States — 2.0%      
    291,393     Altaba, Inc. (e)     6,337,798  
     

 

 

 
    TOTAL INVESTMENT FUNDS (COST $5,804,438)     6,337,798  
     

 

 

 
          SHORT-TERM INVESTMENTS — 41.9%  
          Foreign Government Obligations — 29.3%  

CAD

    40,000,000     Canadian Treasury Bill, Zero Coupon, due 07/30/20 (b)     29,042,525  

JPY

    2,700,000,000     Japan Treasury Discount Bill, Zero Coupon, due 06/08/20     25,036,665  

JPY

    1,300,000,000     Japan Treasury Discount Bill, Zero Coupon, due 07/06/20     12,056,170  

JPY

    1,250,000,000     Japan Treasury Discount Bill, Zero Coupon, due 07/13/20     11,592,738  
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares /
Par Value†
    Description   Value ($)  
          Foreign Government Obligations — continued  

JPY

    667,000,000     Japan Treasury Discount Bill, Zero Coupon, due 07/27/20 (b)     6,186,152  

JPY

    1,100,000,000     Japan Treasury Discount Bill, Zero Coupon, due 08/11/20     10,202,451  
     

 

 

 
    Total Foreign Government Obligations     94,116,701  
     

 

 

 
          Money Market Funds — 0.6%      
    1,743,168     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (f)     1,743,168  
    149,449     SSgA USD Liquidity Fund – Class D Shares, 0.23% (g)     149,449  
     

 

 

 
    Total Money Market Funds     1,892,617  
     

 

 

 
    
Par Value†
    Description   Value ($)  
    U.S. Government — 12.0%  
    15,000,000     U.S. Treasury Bill, 0.17%, due 09/24/20 (h)     14,991,734  
    15,000,000     U.S. Treasury Bill, 0.17%, due 10/08/20 (h)     14,991,199  
    8,700,000     U.S. Treasury Note, 1.75%, due 10/31/20     8,755,734  
     

 

 

 
    Total U.S. Government     38,738,667  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $134,800,237)
    134,747,985  
     

 

 

 
 

PURCHASED OPTIONS — 0.1%

 

Description    Exercise
Price
     Expiration
Date
   Number of
Contracts
     Notional
Amount
     Value ($)

Equity Options – Calls — 0.1%

                   

DuPont de Nemours, Inc.

     50.50      06/19/20      USD        101        USD       510,050     

Bunge Ltd.

     38.87      07/17/20      USD        94        USD       365,378     

CVS Health Corp. (c)

     65.00      08/21/20      USD        201        USD       1,337,856      78,390

Charles Schwab Corp. (The) (c)

     36.00      09/18/20      USD        487        USD       1,753,687      155,840
                   

 

Total Equity Options – Calls

                    234,230
                   

 

    
TOTAL PURCHASED OPTIONS
(COST $260,508)

 
     234,230
                   

 

    
TOTAL INVESTMENTS — 117.1%
(Cost $375,828,929)

 
     376,505,077
                   

 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

         
Par Value†
    Description   Value ($)  
          SECURITIES SOLD SHORT — (19.9)%  
          Common Stocks — (19.9)%      
          France — (1.2)%      
    (50,605   Worldline SA *     (3,799,739
     

 

 

 
          Hong Kong — (0.1)%  
    (4,930   Jardine Matheson Holdings Ltd     (198,251
     

 

 

 
          Ireland — (1.8)%  
    (44,327   Flutter Entertainment Plc *     (5,639,584
     

 

 

 
          United Kingdom — (5.9)%  
    (40,288   Aon Plc – Class A     (7,934,722
    (260,373   Royal Dutch Shell Plc Sponsored ADR – Class A     (8,318,917
    (53,603   Unilever Plc     (2,867,770
     

 

 

 
    Total United Kingdom     (19,121,409
     

 

 

 
         
Par Value†
    Description   Value ($)  
          United States — (10.9)%  
    (39,001   Bristol-Myers Squibb Co.     (2,329,140
    (175,666   Caesars Entertainment Corp. *     (2,000,836
    (6,981   Charter Communications, Inc. – Class A *     (3,797,664
    (40,715   CVS Health Corp. (c)     (2,669,683
    (205,209   Discovery, Inc. – Class A *     (4,463,296
    (22,763   Fidelity National Financial, Inc.     (726,140
    (629,151   First Horizon National Corp.     (5,882,562
    (82,496   Independent Bank Group, Inc.     (3,124,948
    (77,718   Liberty Global Plc – Class C *     (1,603,322
    (987,061   Sirius XM Holdings, Inc.     (5,744,695
    (73,766   TD Ameritrade Holding Corp.     (2,749,258
     

 

 

 
    Total United States     (35,091,544
     

 

 

 
    TOTAL COMMON STOCKS
(PROCEEDS $59,288,792)
    (63,850,527
     

 

 

 
    TOTAL SECURITIES SOLD SHORT
(PROCEEDS $59,288,792)
    (63,850,527
    Other Assets and Liabilities (net) — 2.8%     8,856,151  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $321,510,701  
     

 

 

 
 

 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

Forward Currency Contracts

 

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
07/14/2020   MSCI   AUD     959,229       USD       629,209       (10,181
07/14/2020   UBS   AUD     6,932,619       USD       4,489,321       (131,728
08/06/2020   DB   AUD     740,000       USD       479,619       (13,634
08/06/2020   MSCI   AUD     14,509,000       USD       9,295,554       (375,533
08/04/2020   MSCI   BRL     8,141,624       USD       1,451,787       (69,821
06/01/2020   MSCI   CAD     20,350,000       USD       15,150,243       370,129  
06/02/2020   GS   CAD     665,131       USD       471,136       (11,945
06/02/2020   MSCI   CAD     356,119       USD       253,776       (4,872
06/02/2020   SSB   CAD     4,664,266       USD       3,388,884       1,249  
06/02/2020   UBS   CAD     2,221,881       USD       1,601,091       (12,651
06/03/2020   GS   CAD     3,674,901       USD       2,610,000       (59,064
06/03/2020   JPM   CAD     32,171,592       USD       22,620,000       (746,082
06/03/2020   MSCI   CAD     11,442,454       USD       8,170,000       (140,603
07/30/2020   DB   CAD     40,000,000       USD       28,526,031       (526,423
08/14/2020   BCLY   CHF     2,159,967       USD       2,230,000       (20,416
08/14/2020   JPM   CHF     5,188,683       USD       5,390,000       (15,961
08/14/2020   MSCI   CHF     496,807       USD       514,371       (3,240
06/03/2020   MSCI   CLP     2,735,034,000       USD       3,210,792       (206,289
09/01/2020   JPM   CLP     2,735,034,000       USD       3,350,115       (67,785
08/06/2020   MSCI   COP     7,739,571,400       USD       1,935,298       (128,237
07/14/2020   JPM   CZK     47,309,528       USD       1,900,000       (52,033
07/14/2020   MSCI   CZK     34,309,834       USD       1,380,844       (34,810
07/17/2020   DB   EUR     2,596,768       USD       2,884,529       (693
07/17/2020   MSCI   EUR     909,152       USD       992,180       (17,962
07/27/2020   DB   EUR     580,000       USD       630,410       (14,154
07/27/2020   JPM   EUR     2,960,000       USD       3,199,784       (89,712

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
08/14/2020   JPM   GBP     8,289,000       USD       10,236,762       (3,143
08/14/2020   MSCI   GBP     1,420,000       USD       1,729,957       (24,255
07/14/2020   JPM   HUF     1,046,170,880       USD       3,170,169       (174,592
08/19/2020   BCLY   IDR     7,057,567,000       USD       470,000       (3,802
08/19/2020   JPM   IDR     13,238,750,000       USD       890,000       1,232  
08/31/2020   MSCI   ILS     1,959,525       USD       559,848       732  
06/04/2020   GS   INR     25,795,800       USD       340,000       (1,284
06/04/2020   JPM   INR     143,336,540       USD       1,892,372       (4,003
07/01/2020   GS   INR     34,092,900       USD       450,000       (277
06/02/2020   CITI   JPY     380,615,002       USD       3,457,557       (71,721
06/08/2020   BCLY   JPY     2,700,000,000       USD       25,773,213       735,869  
06/09/2020   JPM   JPY     1,769,381,863       USD       16,060,000       (347,792
07/06/2020   JPM   JPY     1,300,000,000       USD       12,009,979       (50,391
07/13/2020   JPM   JPY     1,250,000,000       USD       11,678,563       80,812  
07/17/2020   JPM   JPY     561,299,620       USD       5,221,151       12,982  
07/27/2020   JPM   JPY     667,000,000       USD       6,209,488       19,603  
08/11/2020   DB   JPY     1,100,000,000       USD       10,357,455       146,883  
07/01/2020   BCLY   KRW     2,115,963,000       USD       1,730,000       13,550  
07/14/2020   GS   NZD     740,793       USD       443,541       (16,213
07/14/2020   UBS   NZD     2,685,107       USD       1,632,810       (33,633
08/05/2020   JPM   NZD     2,120,000       USD       1,273,935       (41,591
08/05/2020   MSCI   NZD     28,360,000       USD       17,212,096       (386,168
06/02/2020   BCLY   PHP     25,830,990       USD       510,000       (292
06/02/2020   CITI   PHP     25,083,000       USD       500,000       4,484  
06/02/2020   JPM   PHP     13,688,460       USD       270,000       (416
06/02/2020   MSCI   PHP     19,568,595       USD       386,540       (38
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Forward Currency Contracts (continued)

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
06/02/2020   MSCI   PHP     16,835,870       USD       327,355       (5,238
09/01/2020   JPM   PHP     25,429,500       USD       500,000       (749
06/15/2020   BOA   PLN     1,328,712       USD       320,000       (11,245
06/15/2020   CITI   PLN     1,961,678       USD       470,000       (19,042
06/15/2020   JPM   PLN     4,965,365       USD       1,200,000       (37,855
06/15/2020   MSCI   PLN     8,126,520       USD       2,079,952       54,027  
06/30/2020   CITI   RON     1,674,875       USD       380,000       (2,956
07/17/2020   MSCI   RUB     241,167,720       USD       3,225,803       (174,586
06/08/2020   JPM   SEK     64,012,811       USD       6,360,000       (433,923
08/18/2020   MSCI   SGD     331,492       USD       232,830       (1,875
06/15/2020   BCLY   THB     17,870,944       USD       560,000       (1,770
06/15/2020   MSCI   THB     20,907,675       USD       649,993       (7,236
07/16/2020   JPM   TRY     2,497,620       USD       360,000       (817
07/14/2020   UBS   USD     257,118       AUD       388,249       1,676  
08/06/2020   JPM   USD     6,650,697       AUD       10,320,000       228,179  
08/06/2020   MSCI   USD     5,105,880       AUD       7,800,000       93,270  
08/04/2020   GS   USD     280,000       BRL       1,606,192       20,185  
08/04/2020   MSCI   USD     1,830,000       BRL       9,836,910       8,445  
06/02/2020   GS   USD     918,347       CAD       1,287,492       16,753  
06/02/2020   MSCI   USD     4,668,740       CAD       6,619,905       139,267  
06/03/2020   BOA   USD     5,500,000       CAD       7,375,659       (143,092
06/03/2020   DB   USD     4,440,000       CAD       6,129,051       11,503  
06/03/2020   JPM   USD     22,631,712       CAD       30,579,227       (422,156
06/03/2020   MSCI   USD     1,880,000       CAD       2,628,556       29,108  
08/04/2020   SSB   USD     3,388,918       CAD       4,664,266       (1,209
07/14/2020   GS   USD     220,076       CHF       212,775       1,411  
07/14/2020   JPM   USD     658,110       CHF       634,671       2,546  
07/14/2020   MSCI   USD     555,227       CHF       539,216       6,066  
08/14/2020   DB   USD     110,000       CHF       106,425       881  
08/14/2020   MSCI   USD     950,000       CHF       922,786       11,428  
06/03/2020   JPM   USD     3,349,705       CLP       2,735,034,000       67,376  
09/01/2020   MSCI   USD     350,000       CLP       282,695,000       3,277  
07/14/2020   GS   USD     690,000       CZK       17,060,393       13,927  
07/14/2020   JPM   USD     1,680,000       CZK       40,583,962       (5,470
06/17/2020   JPM   USD     5,907,241       EUR       5,432,363       124,772  
06/17/2020   MSCI   USD     13,783,369       EUR       12,708,678       328,152  
06/17/2020   SSB   USD     2,224,289       EUR       2,027,376       26,878  
07/17/2020   BOA   USD     187,620       EUR       170,806       2,159  
07/27/2020   JPM   USD     2,240,656       EUR       2,010,000       (6,910
07/17/2020   DB   USD     2,856,602       GBP       2,320,688       9,993  
07/17/2020   JPM   USD     1,674,853       GBP       1,347,199       (10,747
07/17/2020   MSCI   USD     1,959,696       GBP       1,605,001       22,857  
07/17/2020   SSB   USD     898,626       GBP       736,111       10,644  
07/14/2020   CITI   USD     360,000       HUF       112,644,612       141  
08/19/2020   JPM   USD     2,414,859       IDR       36,975,154,000       67,426  
06/04/2020   JPM   USD     2,218,149       INR       169,132,340       19,511  
07/01/2020   JPM   USD     829,635       INR       63,077,160       3,447  

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
06/02/2020   JPM   USD     3,660,000       JPY       380,615,002       (130,722
06/09/2020   BOA   USD     3,000,000       JPY       318,769,500       (43,994
06/09/2020   CITI   USD     3,458,956       JPY       380,615,002       70,555  
06/09/2020   DB   USD     1,320,000       JPY       141,150,504       (11,086
06/09/2020   JPM   USD     27,927,538       JPY       2,989,917,708       (201,500
06/09/2020   MSCI   USD     3,240,000       JPY       347,995,928       (12,972
07/13/2020   GS   USD     1,953,213       JPY       209,134,399       (12,822
07/13/2020   SSB   USD     6,041,490       JPY       647,010,022       (38,401
07/13/2020   UBS   USD     785,099       JPY       84,523,133       (876
07/17/2020   DB   USD     240,897       JPY       25,849,200       (1,048
07/01/2020   BCLY   USD     2,740,000       KRW       3,362,014,000       (12,764
07/01/2020   CITI   USD     303,567       KRW       375,488,180       1,026  
07/01/2020   MSCI   USD     510,000       KRW       625,250,820       (2,802
08/21/2020   BOA   USD     590,000       MXN       13,856,957       27,646  
08/21/2020   CITI   USD     590,000       MXN       13,192,155       (1,986
08/21/2020   JPM   USD     150,000       MXN       3,581,547       9,640  
08/21/2020   MSCI   USD     1,800,955       MXN       42,955,116       113,684  
06/04/2020   BOA   USD     2,400,000       NOK       22,292,825       (106,660
06/04/2020   JPM   USD     4,826,135       NOK       45,200,375       (176,215
08/11/2020   JPM   USD     4,690,000       NOK       47,225,406       170,634  
08/11/2020   MSCI   USD     8,972,194       NOK       91,815,156       477,801  
08/05/2020   BCLY   USD     1,169,241       NZD       1,905,000       12,871  
08/05/2020   JPM   USD     5,801,854       NZD       9,475,000       77,678  
08/06/2020   BCLY   USD     390,000       PEN       1,337,895       (131
08/06/2020   JPM   USD     1,720,000       PEN       5,875,260       (7,923
06/02/2020   JPM   USD     1,050,000       PHP       53,444,390       5,795  
06/02/2020   MSCI   USD     930,000       PHP       47,562,525       9,599  
09/01/2020   MSCI   USD     383,435       PHP       19,568,595       1,903  
06/15/2020   CITI   USD     760,000       PLN       3,156,227       26,841  
06/30/2020   DB   USD     460,000       RON       2,070,208       13,349  
06/30/2020   MSCI   USD     187,105       RON       841,504       5,303  
06/08/2020   MSCI   USD     11,021,239       SEK       104,344,686       53,258  
08/04/2020   BCLY   USD     2,230,000       SEK       21,520,838       55,293  
08/04/2020   JPM   USD     2,430,000       SEK       23,724,602       89,310  
08/04/2020   MSCI   USD     10,844,224       SEK       106,961,465       513,988  
08/18/2020   GS   USD     400,000       SGD       565,605       464  
08/18/2020   JPM   USD     2,040,000       SGD       2,878,290       (2,092
06/15/2020   CITI   USD     670,000       THB       21,309,752       (131
06/16/2020   JPM   USD     590,000       TRY       4,194,015       22,165  
07/16/2020   JPM   USD     2,145,286       TRY       15,196,150       50,018  
07/07/2020   JPM   USD     480,000       TWD       14,382,240       805  
07/07/2020   MSCI   USD     2,220,000       TWD       66,165,320       (8,061
07/31/2020   DB   USD     1,240,000       ZAR       22,238,534       19,361  
07/31/2020   JPM   USD     1,100,000       ZAR       19,363,582       (3,446
           

 

 

 
  $ (1,434,131
           

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys  
16   Australian Government Bond 10 Yr.   June 2020     1,588,728       2,713  
89   Euro STOXX 50   June 2020     3,029,859       280,122  
11   Gilt Long Bond   September 2020     1,867,121       1,214  
32   Hang Seng Index   June 2020     4,743,767       (22,896
222   Mini MSCI Emerging Markets   June 2020     10,355,190       258,156  
53   MSCI Singapore   June 2020     1,083,892       (13,125
     

 

 

   

 

 

 
  $ 22,668,557     $ 506,184  
 

 

 

   

 

 

 
Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Sales  
9   Canadian Government Bond 10 Yr.   September 2020     1,004,292       3,451  
72   E-mini Russell 2000 Index   June 2020     5,014,080       (361,981
1   Euro Bund   June 2020     191,439       766  
89   FTSE/JSE TOP 40   June 2020     2,385,602       (40,487
261   S&P 500 E-Mini   June 2020     39,698,100       (4,782,140
17   SPI 200   June 2020     1,632,209       (64,602
4   TOPIX Index   June 2020     580,721       7,145  
40   U.S. Treasury Note 10 Yr. (CBT)   September 2020     5,562,498       (12,121
     

 

 

   

 

 

 
  $ 56,068,941     $ (5,249,969
 

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.
Sales - Fund is short the futures contract.

 

Written Options

Equity Options

 

Description

   Exercise
Price
    

Expiration
Date

   Number of
Contracts
    Notional
Amount
    Value ($)  

Equity Options – Puts

 

Walgreens Boots Alliance, Inc.(c)

     55.00      06/19/20      (38     USD        (158,954     (47,994
               

 

 

 

Index Options – Puts

               

S&P 500 Index

     2,825.00      06/05/20      (11     USD        (3,348,741     (2,310

S&P 500 Index

     2,945.00      06/19/20      (13     USD        (3,957,603     (44,590

S&P 500 Index

     3,025.00      06/26/20      (16     USD        (4,870,896     (106,080

S&P/ASX 200 Index

     5,475.00      06/04/20      (23     AUD        (1,323,809     (2,216

S&P/ASX 200 Index

     5,875.00      06/18/20      (16     AUD        (920,910     (20,862

S&P/ASX 200 Index

     5,550.00      06/18/20      (11     AUD        (633,126     (4,999

S&P/ASX 200 Index

     5,800.00      06/18/20      (16     AUD        (920,910     (17,064
               

 

 

 
     Total Index Options – Puts       (198,121
               

 

 

 
    
TOTAL WRITTEN OPTIONS
(Premiums $562,236)

 
  $ (246,115
               

 

 

 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Swap Contracts

Centrally Cleared Interest Rate Swaps

 

Fund Pays

   Fund Receives  

Notional
Amount

     Expiration
Date
     Periodic
Payment
Frequency
   Premiums
Paid/
(Received) ($)
     Value ($)      Net Unrealized
Appreciation/
(Depreciation) ($)
 

6 Month AUD BBSW

   0.95%   AUD      15,580,000        06/17/2030      Semi-Annually      2,480        65,303        62,823  

6 Month AUD BBSW

   0.94%   AUD      7,480,000        06/17/2030      Semi-Annually             26,483        26,483  

6 Month AUD BBSW

   0.91%   AUD      7,750,000        06/17/2030      Semi-Annually             14,825        14,825  

6 Month AUD BBSW

   0.90%   AUD      35,130,000        06/17/2030      Semi-Annually      12,800        35,180        22,380  

6 Month AUD BBSW

   0.90%   AUD      15,540,000        06/17/2030      Semi-Annually             20,621        20,621  

6 Month AUD BBSW

   0.92%   AUD      8,630,000        06/17/2030      Semi-Annually             20,441        20,441  

6 Month AUD BBSW

   0.89%   AUD      14,550,000        06/17/2030      Semi-Annually      13,403        9,834        (3,569

0.88%

   6 Month AUD BBSW   AUD      13,660,000        06/17/2030      Semi-Annually             (784      (784

0.89%

   6 Month AUD BBSW   AUD      6,850,000        06/17/2030      Semi-Annually             (5,076      (5,076

3 Month CAD LIBOR

   1.10%   CAD      7,420,000        06/17/2030      Semi-Annually             51,125        51,125  

3 Month CAD LIBOR

   1.29%   CAD      3,260,000        06/17/2030      Semi-Annually             65,059        65,059  

3 Month CAD LIBOR

   1.07%   CAD      13,910,000        06/17/2030      Semi-Annually      2,239        66,369        64,130  

3 Month CAD LIBOR

   0.98%   CAD      11,620,000        06/17/2030      Semi-Annually             (22,526      (22,526

3 Month CAD LIBOR

   1.00%   CAD      34,560,000        06/17/2030      Semi-Annually      5,184        (5,972      (11,156

1.10%

   3 Month CAD LIBOR   CAD      120,000        06/17/2030      Semi-Annually      (143      (827      (684

1.04%

   3 Month CAD LIBOR   CAD      2,870,000        06/17/2030      Semi-Annually             (7,410      (7,410

6 Month CHF LIBOR

   (0.34)%   CHF      54,090,000        06/17/2030      Semi-Annually      241,341        39,453        (201,888

6 Month CHF LIBOR

   (0.40)%   CHF      4,940,000        06/17/2030      Semi-Annually             (29,565      (29,565

0.63%

   3 Month NZD Bank Bill Rate   NZD      2,750,000        06/17/2030      Quarterly      (1,167      14,461        15,628  

0.70%

   3 Month NZD Bank Bill Rate   NZD      3,640,000        06/17/2030      Quarterly             2,727        2,727  

3 Month SEK STIBOR

   0.37%   SEK      121,600,000        06/17/2030      Quarterly      (14,757      (12,147      2,610  

3 Month SEK STIBOR

   0.40%   SEK      249,400,000        06/17/2030      Quarterly      35,682        67,199        31,517  

3 Month SEK STIBOR

   0.35%   SEK      61,900,000        06/17/2030      Quarterly             (14,348      (14,348

(0.01)%

   6 Month EURIBOR   EUR      4,320,000        06/19/2030      Semi-Annually             (58,505      (58,505

(0.01)%

   6 Month EURIBOR   EUR      1,630,000        06/19/2030      Semi-Annually             (22,723      (22,723

(0.15)%

   6 Month EURIBOR   EUR      5,660,000        06/19/2030      Semi-Annually             14,007        14,007  

(0.14)%

   6 Month EURIBOR   EUR      4,780,000        06/19/2030      Semi-Annually             3,684        3,684  

(0.14)%

   6 Month EURIBOR   EUR      5,780,000        06/19/2030      Semi-Annually             9,379        9,379  

(0.13)%

   6 Month EURIBOR   EUR      4,250,000        06/19/2030      Semi-Annually             (104      (104

(0.12)%

   6 Month EURIBOR   EUR      48,140,000        06/19/2030      Semi-Annually      (28,550      (69,537      (40,987

(0.09)%

   6 Month EURIBOR   EUR      3,800,000        06/19/2030      Semi-Annually             (17,576      (17,576

0.50%

   6 Month GBP LIBOR   GBP      9,520,000        06/19/2030      Semi-Annually      82,865        (115,705      (198,570

0.57%

   6 Month GBP LIBOR   GBP      5,230,000        06/19/2030      Semi-Annually             (105,422      (105,422

0.56%

   6 Month GBP LIBOR   GBP      3,850,000        06/19/2030      Semi-Annually             (75,235      (75,235

6 Month GBP LIBOR

   0.48%   GBP      3,730,000        06/19/2030      Semi-Annually             36,608        36,608  

6 Month GBP LIBOR

   0.48%   GBP      1,780,000        06/19/2030      Semi-Annually             17,689        17,689  

0.46%

   6 Month GBP LIBOR   GBP      17,220,000        06/19/2030      Semi-Annually      (70,243      (130,840      (60,597

0.70%

   3 Month USD LIBOR   USD      55,510,000        06/19/2030      Quarterly      (60,896      (297,122      (236,226

3 Month USD LIBOR

   0.69%   USD      4,540,000        06/19/2030      Quarterly             19,588        19,588  

3 Month USD LIBOR

   0.65%   USD      2,120,000        06/19/2030      Quarterly             658        658  

3 Month USD LIBOR

   0.67%   USD      5,040,000        06/19/2030      Quarterly             9,786        9,786  

3 Month USD LIBOR

   0.69%   USD      3,390,000        06/19/2030      Quarterly             15,296        15,296  

3 Month USD LIBOR

   0.66%   USD      2,170,000        06/19/2030      Quarterly             3,355        3,355  

3 Month USD LIBOR

   0.67%   USD      2,170,000        06/19/2030      Quarterly             4,321        4,321  

3 Month USD LIBOR

   0.64%   USD      5,060,000        06/19/2030      Quarterly             (3,182      (3,182

0.68%

   3 Month USD LIBOR   USD      2,670,000        06/19/2030      Quarterly             (8,880      (8,880

0.70%

   3 Month USD LIBOR   USD      1,970,000        06/19/2030      Quarterly             (10,447      (10,447

0.70%

   3 Month USD LIBOR   USD      1,980,000        06/19/2030      Quarterly             (10,402      (10,402
                

 

 

    

 

 

    

 

 

 
   $ 220,238      $ (390,884    $ (611,122
  

 

 

    

 

 

    

 

 

 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

OTC Total Return Swaps

 

Fund Pays

 

Fund Receives

 

Counterparty

 

Notional
Amount

    Expiration
Date
   

Periodic
Payment
Frequency

  Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

Total Return on MSCI ACWI Commodity Producers Index

  3 Month USD LIBOR plus a spread of (0.35)%   MSCI   USD     5,429,435       02/25/2021     Quarterly           30,332       30,332  

Total Return on MSCI ACWI Commodity Producers Index

  3 Month USD LIBOR plus a spread of (0.35)%   MSCI   USD     5,896,483       02/25/2021     Quarterly           33,095       33,095  
             

 

 

   

 

 

   

 

 

 
  $     $ 63,427     $ 63,427  
 

 

 

   

 

 

   

 

 

 

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on securities sold short, OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(c)

All or a portion of this investment is held in connection with one or more holdings within the Fund.

 

(d)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(e)

Investment valued using significant unobservable inputs.

 

(f)

The rate disclosed is the 7 day net yield as of May 31, 2020.

 

(g)

All or a portion of this security or derivative is owned by GMO Alternative Allocation SPC Ltd., which is a 100% owned subsidiary of GMO Alternative Allocation Fund.

 

(h)

The rate shown represents yield-to-maturity.

The rates shown on variable rate notes are the current interest rates at May 31, 2020, which are subject to change based on the terms of the security.

Portfolio Abbreviations

ADR - American Depositary Receipt

AUD BBSW - Bank Bill Swap Reference Rate denominated in Australian Dollar.

CHF LIBOR - London Interbank Offered Rate denominated in Swiss Franc.

EURIBOR - Euro Interbank Offered Rate

GBP LIBOR - London Interbank Offered Rate denominated in British Pound.

NZD Bank Bill Rate - Bank Bill Rate denominated in New Zealand Dollar.

REIT - Real Estate Investment Trust

SEK STIBOR - Stockholm Interbank Offered Rate denominated in Swedish Krona.

USBM - U.S. Treasury 3 Month Bill Money Market Yield.

USD LIBOR - London Interbank Offered Rate denominated in United States Dollar.

Counterparty Abbreviations:

 

BCLY - Barclays Bank PLC

BOA - Bank of America, N.A.

CITI - Citibank N.A.

DB - Deutsche Bank AG

 

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MSCI - Morgan Stanley & Co. International PLC

SSB - State Street Bank and Trust Company

UBS - UBS Securities LLC

 

Currency Abbreviations:

 

AUD - Australian Dollar

BRL - Brazilian Real

CAD - Canadian Dollar

CHF - Swiss Franc

CLP - Chilean Peso

 

COP - Colombian Peso

CZK - Czech Koruna

 

EUR - Euro

GBP - British Pound

HUF - Hungarian Forint

IDR - Indonesian Rupiah

ILS - Israeli Shekel

INR - Indian Rupee

 

JPY - Japanese Yen

KRW - South Korean Won

MXN - Mexican Peso

NOK - Norwegian Krone

NZD - New Zealand Dollar

PEN - Peruvian Sol

PHP - Philippine Peso

 

PLN - Polish Zloty

 

RON - Romanian Leu

RUB - Russian Ruble

SEK - Swedish Krona

SGD - Singapore Dollar

THB - Thai Baht

TRY - Turkish Lira

TWD - Taiwan Dollar

USD - United States Dollar

ZAR - South African Rand

 
 


GMO Benchmark-Free Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    MUTUAL FUNDS — 100.0%

 

          Affiliated Issuers — 100.0%  
    9,290,364     GMO Emerging Country Debt Fund, Class IV     230,958,450  
    5,525,799     GMO High Yield Fund, Class VI     106,537,411  
    531,512,755     GMO Implementation Fund     6,250,589,996  
    14,961,700     GMO Opportunistic Income Fund, Class VI     379,877,574  
    6,637,539     GMO SGM Major Markets Fund, Class VI     211,870,240  
    8,873,957     GMO Special Opportunities Fund, Class VI     220,784,059  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $8,031,108,257)
    7,400,617,730  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%  
    4,715,440     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12%(a)     4,715,440  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS (COST $4,715,440)     4,715,440  
     

 

 

 
    TOTAL INVESTMENTS — 100.1%
(Cost $8,035,823,697)
    7,405,333,170  
    Other Assets and Liabilities (net) — (0.1%)     (4,439,239
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $7,400,893,931  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

The rate disclosed is the 7 day net yield as of May 31, 2020.

 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
    COMMON STOCKS — 64.9%  
          Australia — 0.9%  
    184,434     Accent Group Ltd     166,905  
    38,235     Adairs Ltd     47,694  
    68,413     Ampol Ltd     1,237,690  
    33,252     Ansell Ltd     780,355  
    53,637     Appen Ltd     1,104,583  
    100,903     Asaleo Care Ltd     68,744  
    120,266     Austal Ltd     268,456  
    392,187     Australian Pharmaceutical Industries Ltd *     294,271  
    50,822     Aventus Group (REIT)     67,269  
    182,940     Beach Energy Ltd     197,651  
    53,403     Brickworks Ltd     551,006  
    33,742     Coca-Cola Amatil Ltd     197,322  
    40,010     Codan Ltd     188,541  
    135,940     CSR Ltd *     370,592  
    951,340     Fortescue Metals Group Ltd     8,806,942  
    141,409     GDI Property Group (REIT)     102,362  
    171,774     Genworth Mortgage Insurance Australia Ltd     240,510  
    65,593     JB Hi-Fi Ltd     1,626,720  
    1,955     Magellan Financial Group Ltd     76,450  
    146,532     Mount Gibson Iron Ltd     66,426  
    86,132     Rio Tinto Ltd     5,379,731  
    186,601     Sandfire Resources NL     546,350  
    2,017     Select Harvests Ltd     8,342  
           305,855     Southern Cross Media Group Ltd (a)     47,833  
    4,608     Super Retail Group Ltd     25,755  
    13,140     Virtus Health Ltd (a)     27,734  
     

 

 

 
    Total Australia     22,496,234  
     

 

 

 
          Austria — 0.0%  
    11,646     Vienna Insurance Group AG Wiener Versicherung Gruppe     245,608  
     

 

 

 
          Belgium — 0.4%  
    10,593     Ageas SA *     361,584  
    78,192     AGFA-Gevaert NV *     314,723  
    2,567     Barco NV     449,646  
    2,175     Colruyt SA     131,280  
    72,033     UCB SA     7,209,434  
     

 

 

 
    Total Belgium     8,466,667  
     

 

 

 
          Brazil — 1.2%  
    155,700     Banco do Brasil SA     899,835  
    33,400     Banco Santander Brasil SA     159,605  
    271,900     Camil Alimentos SA     505,962  
    379,000     Cia de Saneamento Basico do Estado de Sao Paulo     3,857,969  
    14,900     Cia de Saneamento de Minas Gerais-COPASA     161,110  
    53,800     Cia Paranaense de Energia     600,881  
    36,300     Construtora Tenda SA     170,674  

    
Shares

   

Description

  Value ($)  
          Brazil — continued  
    48,900     Cyrela Brazil Realty SA Empreendimentos e Participacoes     155,324  
    128,000     Embraer SA *     178,221  
    117,500     Grendene SA     159,858  
    192,500     Hypera SA     1,162,294  
    48,100     Instituto Hermes Pardini SA     166,844  
        2,139,700     JBS SA     8,809,326  
    96,800     Mahle-Metal Leve SA     322,346  
    1,776,140     Petrobras Distribuidora SA     7,202,682  
    115,000     Petroleo Brasileiro SA Sponsored ADR     877,450  
    228,300     Qualicorp Consultoria e Corretora de Seguros SA     1,014,800  
    37,900     Sao Martinho SA     137,998  
    21,100     Ser Educacional SA     57,571  
    522,400     TIM Participacoes SA     1,333,337  
    199,800     Tupy SA     567,990  
    107,500     Vale SA     1,067,687  
     

 

 

 
    Total Brazil     29,569,764  
     

 

 

 
          Canada — 1.5%  
    1,700     Absolute Software Corp     16,422  
    41,300     AGF Management Ltd – Class B (a)     112,485  
    400     Atco Ltd - Class I     11,275  
    16,200     Bank of Nova Scotia (The)     649,130  
    38,400     Bausch Health Cos Inc *     707,284  
    37,137     BRP Inc Sub Voting *     1,286,046  
    28,400     Canaccord Genuity Group Inc (a)     116,129  
    2,000     Canadian Imperial Bank of Commerce     128,249  
    3,200     Canadian Western Bank (a)     52,502  
    12,300     Canfor Pulp Products Inc * (a)     55,655  
    24,500     Cascades Inc (a)     251,255  
    62,700     Celestica Inc * (a)     427,153  
    11,600     Centerra Gold Inc     117,698  
    1,000     CGI Inc *     63,899  
    60,000     CI Financial Corp (a)     711,189  
    16,300     Cogeco Communications Inc (a)     1,217,247  
    7,600     Cogeco Inc (a)     476,252  
    4,100     Enerflex Ltd     16,438  
    6,100     Enghouse Systems Ltd     265,115  
    39,300     Fortuna Silver Mines Inc *     176,457  
    5,300     Franco-Nevada Corp     743,929  
    100     Home Capital Group Inc *     1,379  
    106,500     iA Financial Corp Inc     3,401,100  
    29,100     IGM Financial Inc (a)     691,121  
    15,900     Labrador Iron Ore Royalty Corp (a)     258,793  
    14,000     Magna International Inc (b)     590,362  
    18,100     Magna International Inc (b)     763,458  
    50,400     Martinrea International Inc (a)     331,278  
    9,200     Morguard North American Residential Real Estate Investment Trust     95,351  
    31,100     National Bank of Canada     1,354,364  
    38,000     Nutrien Ltd     1,292,000  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          Canada — continued  
    22,400     Real Matters Inc *     386,389  
    10,300     Rogers Sugar Inc     35,235  
    159,600     Royal Bank of Canada     10,354,845  
    17,200     Russel Metals Inc (a)     182,887  
    131,000     Sun Life Financial Inc (a) (b)     4,493,685  
    60,900     Sun Life Financial Inc (b) (c)     2,094,960  
    12,800     Teekay Tankers Ltd – Class A * (a)     222,464  
    37,500     Teranga Gold Corp *     294,694  
    9,500     Timbercreek Financial Corp     56,647  
    19,200     Transcontinental Inc – Class A     166,920  
    11,200     Wajax Corp (a)     68,086  
    13,200     Westshore Terminals Investment Corp (a)     140,259  
     

 

 

 
    Total Canada     34,878,086  
     

 

 

 
          Chile — 0.2%  
    538,936     Banco de Chile     45,793  
    997,843     Banco Santander Chile     40,642  
    7,879,617     Enel Americas SA     1,146,896  
    378,000     Enel Americas SA ADR     2,804,760  
    5,354     Inversiones La Construccion SA     34,783  
      12,354,396     Itau CorpBanca Chile SA     28,710  
    14,804     Parque Arauco SA     24,969  
     

 

 

 
    Total Chile     4,126,553  
     

 

 

 
          China — 10.5%  
    488,000     7Road Holdings Ltd * (d)     87,193  
    10,000     AAC Technologies Holdings Inc     51,843  
    3,401,668     Agile Group Holdings Ltd     3,530,449  
    1,013,000     Agricultural Bank of China Ltd – Class A     482,732  
    21,272,000     Agricultural Bank of China Ltd – Class H     8,632,848  
    21,400     Alibaba Group Holding Ltd *     553,337  
    53,700     Alibaba Group Holding Ltd Sponsored ADR *     11,136,843  
    432,683     Anhui Conch Cement Co Ltd – Class A     3,453,356  
    1,959,000     Anhui Conch Cement Co Ltd – Class H     14,771,827  
    180,500     Anhui Expressway Co Ltd – Class A     131,737  
    6,000     ANTA Sports Products Ltd     53,772  
    19,000     Aoyuan Healthy Life Group Co *     21,321  
    112,500     Asia Cement China Holdings Corp     129,344  
    6,702,000     BAIC Motor Corp Ltd – Class H     2,716,828  
    32,299,000     Bank of China Ltd – Class H     11,872,519  
    17,965,000     Bank of Communications Co Ltd – Class H     10,945,875  
    284,000     BBMG Corp – Class H     58,987  
    78,000     Beijing Capital International Airport Co Ltd – Class H     48,867  
    42,000     Beijing Enterprises Water Group Ltd *     15,966  
    446,900     Beijing North Star Co Ltd – Class A     170,644  
    250,000     CGN Power Co Ltd – Class H     57,592  
    32,000     China Aoyuan Group Ltd     34,313  
    5,124,000     China Cinda Asset Management Co Ltd – Class H     954,481  
    7,307,000     China CITIC Bank Corp Ltd – Class H     3,193,191  
    260,000     China Coal Energy Co Ltd – Class H     62,388  
    2,836,000     China Communications Services Corp Ltd – Class H     1,891,268  

    
Shares

   

Description

  Value ($)  
          China — continued  
    1,009,400     China Construction Bank Corp – Class A     901,551  
    8,108,000     China Construction Bank Corp – Class H     6,394,725  
    3,444,000     China Everbright Bank Co Ltd – Class H     1,402,444  
    11,000     China Gas Holdings Ltd     38,889  
    1,058,000     China Greenfresh Group Co Ltd *     13,684  
    1,065,000     China Huarong Asset Management Co Ltd – Class H     109,551  
    946,000     China Jinmao Holdings Group Ltd     660,451  
    26,000     China Kepei Education Group Ltd     21,196  
        3,860,000     China Lesso Group Holdings Ltd     4,692,788  
    538,000     China Lilang Ltd     287,575  
    2,101,000     China Machinery Engineering Corp – Class H     499,737  
    3,936,645     China Medical System Holdings Ltd     4,514,386  
    40,639     China Merchants Bank Co Ltd – Class A     193,160  
    340,500     China Mobile Ltd     2,407,586  
    9,916,000     China National Building Material Co Ltd – Class H     11,249,596  
    169,358     China National Chemical Engineering Co Ltd – Class A     132,220  
    730,000     China Oriental Group Co Ltd     202,529  
    256,000     China Overseas Grand Oceans Group Ltd     137,213  
    648,000     China Overseas Land & Investment Ltd     1,987,273  
    110,000     China Overseas Property Holdings Ltd     125,594  
    157,600     China Pacific Insurance Group Co Ltd – Class A     626,976  
    201,200     China Pacific Insurance Group Co Ltd – Class H     559,236  
    4,400     China Petroleum & Chemical Corp ADR     209,132  
    22,262,000     China Petroleum & Chemical Corp – Class H     10,386,786  
    162,000     China Pioneer Pharma Holdings Ltd     25,781  
    8,050,000     China Railway Construction Corp Ltd – Class H     7,227,977  
    5,316,042     China Railway Group Ltd – Class H     2,918,595  
    287,000     China Reinsurance Group Corp – Class H     30,189  
    722,000     China Resources Cement Holdings Ltd     912,187  
    86,000     China Resources Gas Group Ltd     471,129  
    522,000     China Resources Land Ltd     2,081,636  
    5,690,500     China Resources Pharmaceutical Group Ltd     3,111,228  
    1,825,000     China SCE Group Holdings Ltd     759,725  
    885,379     China Shenhua Energy Co Ltd – Class A     2,034,169  
    1,284,000     China Shenhua Energy Co Ltd – Class H     2,351,906  
    807,000     China Shineway Pharmaceutical Group Ltd     512,219  
    48,200     China Taiping Insurance Holdings Co Ltd     72,107  
    14,854,000     China Telecom Corp Ltd – Class H     4,927,558  
    667,525     China Vanke Co Ltd – Class A     2,411,305  
    85,600     China Vanke Co Ltd – Class H     279,440  
    21,000     China Yuchai International Ltd     259,560  
    188,000     China Zhongwang Holdings Ltd     35,410  
    438,000     Chongqing Rural Commercial Bank Co Ltd – Class H     168,770  
    1,638,000     CNOOC Ltd     1,871,351  
    1,082,604     Country Garden Holdings Co Ltd     1,355,141  
    43,500     Dali Foods Group Co Ltd     27,669  
    142,000     Dalian Port PDA Co Ltd – Class H     11,942  
    111,800     Dalian Port PDA Co Ltd – Class A     26,489  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          China — continued  
    702,070     Daqin Railway Co Ltd – Class A     671,102  
    302,000     Datang International Power Generation Co Ltd – Class H     40,519  
    2,083,000     Dongyue Group Ltd     833,090  
    138,000     Edvantage Group Holdings Ltd     102,266  
    8,100     ENN Energy Holdings Ltd     95,094  
    579,000     Fantasia Holdings Group Co Ltd     101,196  
    70,000     Fu Shou Yuan International Group Ltd     65,418  
        1,269,000     Geely Automobile Holdings Ltd     1,753,393  
    197,500     Great Wall Motor Co Ltd – Class H     125,782  
    157,000     Greenland Hong Kong Holdings Ltd     51,390  
    29,500     Greentown China Holdings Ltd     29,723  
    44,000     Greentown Service Group Co Ltd     59,293  
    980,000     Guangdong Investment Ltd     1,937,875  
    792,000     Guangzhou Baiyunshan Pharmaceutical Holdings Co Ltd – Class H     1,936,061  
    4,342,279     Guangzhou R&F Properties Co Ltd – Class H     5,395,732  
    203,000     Haier Electronics Group Co Ltd     568,376  
    43,000     Haitian International Holdings Ltd     91,502  
    61,500     Hebei Construction Group Corp Ltd – Class H     53,893  
    255,489     Hisense Home Appliances Group Co Ltd – Class A     425,688  
    621,000     Hisense Home Appliances Group Co Ltd – Class H     760,389  
    18,500     Hollysys Automation Technologies Ltd     231,065  
    2,310,000     Huabao International Holdings Ltd     808,885  
    342,000     Huadian Power International Corp Ltd – Class H     105,007  
    95,298     Huaxin Cement Co Ltd – Class A     332,648  
    2,454,000     IGG Inc     1,493,479  
    1,600,270     Industrial & Commercial Bank of China Ltd – Class A     1,148,881  
    5,552,000     Industrial & Commercial Bank of China Ltd – Class H     3,596,130  
    139,000     Kingboard Holdings Ltd     338,478  
    113,000     Kingboard Laminates Holdings Ltd     99,816  
    104,000     Kunlun Energy Co Ltd     64,143  
    6,189     Lao Feng Xiang Co Ltd – Class A     40,383  
    129,000     Lee & Man Paper Manufacturing Ltd     69,814  
    492,384     Livzon Pharmaceutical Group Inc – Class H     1,983,863  
    368,400     Logan Property Holdings Co Ltd     553,681  
    185,500     Longfor Group Holdings Ltd     848,316  
    3,178,000     Lonking Holdings Ltd     1,074,779  
    112,000     Maanshan Iron & Steel Co Ltd – Class H     32,076  
    2,117,000     Metallurgical Corp of China Ltd – Class H     329,065  
    185,887     Midea Group Co Ltd – Class A     1,542,385  
    13,100     NetEase Inc ADR (a)(c)     5,015,990  
    18,600     New China Life Insurance Co Ltd – Class H     58,393  
    939,000     Nexteer Automotive Group Ltd     515,635  
    2,176,000     Nine Dragons Paper Holdings Ltd     1,913,347  
    114,000     PAX Global Technology Ltd     44,292  
    359,000     People’s Insurance Co Group of China Ltd (The) – Class H     108,598  
    5,732,000     PICC Property & Casualty Co Ltd – Class H     5,015,072  

    
Shares

   

Description

  Value ($)  
          China — continued  
    257,500     Ping An Insurance Group Co of China Ltd – Class A     2,562,435  
    425,000     Poly Property Group Co Ltd     136,493  
      12,094,000     Postal Savings Bank of China Co Ltd – Class H     7,746,151  
    925,000     Powerlong Real Estate Holdings Ltd     516,811  
    34,000     Q Technology Group Co Ltd *     43,363  
    15,070     Qingdao Port International Co Ltd – Class A     12,087  
    144,000     Qingling Motors Co Ltd – Class H     30,401  
    116,000     Redsun Properties Group Ltd     40,704  
    282,000     Road King Infrastructure Ltd     367,864  
    316,000     Shanghai Jin Jiang Capital Co Ltd – Class H     58,285  
    3,061,500     Shanghai Pharmaceuticals Holding Co Ltd – Class H     4,853,334  
    27,684     Shenzhen Expressway Co Ltd – Class A     34,914  
    2,000     Shenzhen Expressway Co Ltd – Class H     2,030  
    420,858     Shenzhen Investment Ltd     130,447  
    43,500     Shenzhou International Group Holdings Ltd     523,453  
    3,632,500     Shimao Property Holdings Ltd     15,234,134  
    73,500     Shui On Land Ltd     12,193  
    1,217,000     Sino Biopharmaceutical Ltd     1,923,019  
    205,500     Sinopec Engineering Group Co Ltd – Class H     86,411  
    126,473     Sinopec Shanghai Petrochemical Co Ltd – Class A     63,235  
    5,072,000     Sinopec Shanghai Petrochemical Co Ltd – Class H     1,262,634  
    189,600     Sinopharm Group Co Ltd – Class H     468,258  
    334,000     Sinotrans Ltd – Class H     68,942  
    708,000     Sinotruk Hong Kong Ltd     1,725,745  
    336,321     Suning Universal Co Ltd – Class A     141,477  
    3,700     Sunny Optical Technology Group Co Ltd     49,724  
    373,000     TCL Electronics Holdings Ltd     158,680  
    245,000     Texhong Textile Group Ltd     168,880  
    646,000     Tianjin Port Development Holdings Ltd     39,788  
    2,440,000     Tianneng Power International Ltd     2,472,631  
    14,000     Times China Holdings Ltd     20,725  
    127,000     Towngas China Co Ltd *     58,491  
    109,000     Vinda International Holdings Ltd     331,771  
    508,000     Want Want China Holdings Ltd     368,371  
    2,568,000     Weichai Power Co Ltd – Class H     4,448,629  
    541,788     Weifu High-Technology Group Co Ltd – Class A     1,494,210  
    3,440,000     West China Cement Ltd     643,676  
    523,000     Xinhua Winshare Publishing and Media Co Ltd – Class H     337,306  
    194,500     Xtep International Holdings Ltd     63,072  
    209,600     YiChang HEC ChangJiang Pharmaceutical Co Ltd – Class H     745,102  
    2,500     Yum China Holdings Inc (a)     115,850  
    434,911     Yuzhou Properties Co Ltd     179,335  
    354,000     Zhejiang Expressway Co Ltd – Class H     249,372  
    217,664     Zhejiang Weixing New Building Materials Co Ltd – Class A     365,060  
    31,600     Zhengzhou Coal Mining Machinery Group Co Ltd – Class A     22,713  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          China — continued  
           274,000     Zhongsheng Group Holdings Ltd     1,417,628  
     

 

 

 
    Total China     250,955,119  
     

 

 

 
          Colombia — 0.0%  
    6,571     Grupo Argos SA     15,326  
     

 

 

 
          Cyprus — 0.0%  
    19,700     QIWI Plc Sponsored ADR     274,717  
     

 

 

 
          Czech Republic — 0.0%  
    28,574     Moneta Money Bank AS     63,547  
     

 

 

 
          Denmark — 0.0%  
    1,790     Coloplast A/S – Class B     302,752  
    10,818     Matas A/S     96,742  
    1,506     Ringkjoebing Landbobank A/S     104,913  
    20,334     Scandinavian Tobacco Group A/S     306,136  
     

 

 

 
    Total Denmark     810,543  
     

 

 

 
          Finland — 0.1%  
    7,129     Aktia Bank Oyj     70,770  
    50,989     Neste Oyj     2,077,746  
    21,245     Tokmanni Group Corp     287,107  
     

 

 

 
    Total Finland     2,435,623  
     

 

 

 
          France — 2.6%  
    3,147     AKWEL     53,624  
    14,263     Alten SA     1,152,172  
    11,437     APERAM SA     314,721  
    14,887     Arkema     1,305,445  
    902     Assystem SA     21,607  
    839     Axway Software SA     14,018  
    77,359     BNP Paribas SA *     2,783,796  
    721     Boiron SA     26,383  
    1,005     Bonduelle SCA     23,580  
    357     Caisse Regionale de Credit Agricole Mutuel Nord de France     9,455  
    2,687     Christian Dior SE     1,143,230  
    67,093     Coface SA     384,974  
    8,375     Dassault Systemes SE     1,429,880  
    45,243     Derichebourg SA     139,891  
    6,983     Eiffage SA *     637,445  
    27,355     Gaztransport Et Technigaz SA     2,053,281  
    1,371     GL Events     19,096  
    337     Groupe Crit     20,645  
    389     HEXAOM     12,831  
    3,802     Interparfums SA *     138,464  
    31,243     IPSOS     764,656  
    9,029     Kaufman & Broad SA     320,511  
    2,669     Kering SA     1,399,250  
    56,152     L’Oreal SA (c)     16,470,020  
    3,741     LVMH Moet Hennessy Louis Vuitton SE     1,569,445  

    
Shares

   

Description

  Value ($)  
          France — continued  
    51,232     Metropole Television SA     597,602  
    5,435     Nexans SA *     222,733  
    279,189     Peugeot SA *     4,007,869  
    33,598     Quadient     487,371  
    6,283     Rothschild & Co *     130,959  
    25,889     Safran SA     2,494,634  
    154,128     Sanofi     15,075,995  
    24,400     Sanofi ADR (c)     1,198,284  
    3,740     Schneider Electric SE     370,308  
    47,947     STMicroelectronics NV     1,190,761  
           203,400     STMicroelectronics NV – NY Shares     5,054,490  
    695     Synergie SA     16,338  
    387     Union Financiere de France BQE SA     6,517  
    4,054     Vicat SA     122,126  
    675     Vilmorin & Cie SA     35,544  
     

 

 

 
    Total France     63,219,951  
     

 

 

 
          Germany — 1.5%  
    841     adidas AG *     223,039  
    16,064     Allianz SE (Registered)     2,911,378  
    2,142     Amadeus Fire AG *     241,257  
    9,145     Bayer AG (Registered)     625,148  
    3,141     Bayerische Motoren Werke AG     184,082  
    1,478     Bechtle AG     262,516  
    4,765     Beiersdorf AG     500,511  
    2,412     bet-at-home.com AG     108,446  
    20,831     Borussia Dortmund GmbH & Co KGaA     146,748  
    14,837     Carl Zeiss Meditec AG *     1,518,298  
    253,566     CECONOMY AG *     752,340  
    3,324     Cewe Stiftung & Co KGaA     340,142  
    2,813     Covestro AG     104,579  
    17,584     CropEnergies AG     172,608  
    27,121     Deutsche Lufthansa AG (Registered) * (a)     275,702  
    255,666     Deutsche Pfandbriefbank AG (c)     1,768,519  
    70,571     Deutz AG     281,810  
    141,378     Dialog Semiconductor Plc *     5,653,570  
    1,823     Draegerwerk AG & Co KGaA     117,818  
    8,018     DWS Group GmbH & Co KGaA     302,152  
    2,353     Eckert & Ziegler Strahlen- und Medizintechnik AG     372,367  
    3,649     Elmos Semiconductor AG     81,829  
    1,578     Gerresheimer AG     135,015  
    417     Grammer AG     9,130  
    18,705     Hamburger Hafen und Logistik AG     305,211  
    20,997     Hannover Rueck SE     3,390,971  
    1,841     HelloFresh SE *     75,274  
    9,992     Henkel AG & Co KGaA     803,576  
    4,006     Hornbach Holding AG & Co KGaA     288,644  
    94,328     Infineon Technologies AG     1,988,220  
    2,452     KWS Saat SE & Co KGaA     172,707  
    13,796     Merck KGaA     1,590,334  
    16,237     METRO AG     151,882  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          Germany — continued  
    16,406     Siemens AG (Registered)     1,808,839  
    44,727     Siemens Healthineers AG     2,322,272  
    12,686     Siltronic AG     1,253,132  
    30,432     Software AG * (c)     1,177,895  
    24,580     Takkt AG     239,197  
    20,737     Talanx AG *     729,867  
    19,411     VERBIO Vereinigte BioEnergie AG     193,408  
    20,934     Volkswagen AG     3,330,667  
    654     Washtec AG     26,919  
     

 

 

 
    Total Germany     36,938,019  
     

 

 

 
          Greece — 0.0%  
    143,138     Alpha Bank AE *     88,184  
    199,016     Eurobank Ergasias Services and Holdings SA *     85,274  
    12,055     FF Group * (d)      
    5,703     JUMBO SA     103,771  
    96,217     National Bank of Greece SA *     129,128  
    1,525     Titan Cement International SA *     19,129  
     

 

 

 
    Total Greece     425,486  
     

 

 

 
          Hong Kong — 0.6%  
    98,300     ASM Pacific Technology Ltd     901,898  
    28,700     Budweiser Brewing Co APAC Ltd *     80,901  
    166,000     Cafe de Coral Holdings Ltd     299,594  
    341,400     Champion (REIT)     155,308  
        1,108,000     CITIC Telecom International Holdings Ltd     352,430  
    3,000     CK Asset Holdings Ltd     16,478  
    550,000     CSI Properties Ltd     15,778  
    110,100     Dah Sing Banking Group Ltd     97,903  
    119,600     Dah Sing Financial Holdings Ltd     334,736  
    15,000     Emperor Entertainment Hotel Ltd     1,944  
    488,000     Giordano International Ltd     70,141  
    694,000     HKT Trust & HKT Ltd – Class SS     987,283  
    437,000     Johnson Electric Holdings Ltd     751,793  
    54,800     Luk Fook Holdings International Ltd     96,607  
    48,000     Pico Far East Holdings Ltd     6,206  
    85,000     Prosperity REIT     24,048  
    79,000     Regal Real Estate Investment Trust     11,483  
    268,000     Shun Tak Holdings Ltd *     95,377  
    437,000     SJM Holdings Ltd     488,278  
    130,000     Sun Hung Kai & Co Ltd     52,246  
    16,000     TAI Cheung Holdings Ltd     10,172  
    180,000     Texwinca Holdings Ltd     23,847  
    132,000     VSTECS Holdings Ltd     59,049  
    220,200     VTech Holdings Ltd     1,333,311  
    6,023,000     WH Group Ltd     5,239,674  
    162,500     Wheelock & Co Ltd     1,103,098  
    138,000     Xinyi Glass Holdings Ltd     146,615  
    567,500     Yue Yuen Industrial Holdings Ltd     817,163  
     

 

 

 
    Total Hong Kong     13,573,361  
     

 

 

 

    
Shares

   

Description

  Value ($)  
          Hungary — 0.1%  
    349,530     Magyar Telekom Telecommunications Plc     439,432  
    53,075     Richter Gedeon Nyrt     1,159,979  
     

 

 

 
    Total Hungary     1,599,411  
     

 

 

 
          India — 1.2%  
    9,016     Ajanta Pharma Ltd     182,607  
    7,784     Alembic Pharmaceuticals Ltd     88,877  
    12,113     Alkem Laboratories Ltd     364,033  
    21,504     Amara Raja Batteries Ltd     175,425  
    307,106     Ashok Leyland Ltd     172,405  
    8,637     Asian Paints Ltd     191,791  
    58,123     Aurobindo Pharma Ltd     564,455  
    75,088     Bajaj Auto Ltd     2,697,822  
    364,498     Balrampur Chini Mills Ltd     481,506  
    7,301     Bharat Electronics Ltd     6,677  
    3,512     Coal India Ltd     6,561  
    64,400     Dr Reddy’s Laboratories Ltd ADR     3,441,536  
    97,061     Granules India Ltd     220,519  
    991,633     HCL Technologies Ltd     7,260,366  
    7,626     HDFC Bank Ltd     96,100  
    15,578     Hero MotoCorp Ltd     483,646  
    229,649     Hindustan Petroleum Corp Ltd     586,717  
    11,596     Hindustan Unilever Ltd     316,322  
    8,484     Housing Development Finance Corp Ltd     188,082  
    44,960     ICICI Bank Ltd     195,595  
    25,776     Indiabulls Housing Finance Ltd     41,953  
        1,592,490     Indian Oil Corp Ltd     1,763,939  
    306,308     ITC Ltd     799,023  
    108,659     Just Dial Ltd *     565,215  
    12,917     Kotak Mahindra Bank Ltd     209,816  
    748     Mahanagar Gas Ltd     9,649  
    95,791     Mahindra & Mahindra Financial Services Ltd     176,973  
    159,427     Manappuram Finance Ltd     265,671  
    30,420     Mphasis Ltd     349,483  
    41,594     Narayana Hrudayalaya Ltd     150,545  
    608,087     National Aluminium Co Ltd     236,065  
    49,681     Phillips Carbon Black Ltd     47,553  
    13,683     Polycab India Ltd *     123,959  
    1,921,552     Power Finance Corp Ltd     1,904,747  
    532,044     PTC India Ltd     232,356  
    61,576     Rain Industries Ltd     59,201  
    22,641     Rajesh Exports Ltd     145,383  
    2,344,923     REC Ltd     2,759,851  
    23,904     Shriram Transport Finance Co Ltd     180,917  
    39,108     Sonata Software Ltd     104,620  
    371,105     Tata Power Co Ltd (The)     179,378  
    10,508     Titan Co Ltd     124,193  
    22,170     Torrent Power Ltd     94,216  
    68,300     Vedanta Ltd ADR     333,304  
    32,283     Welspun Corp Ltd     24,829  
    22,576     Wipro Ltd     63,301  
     

 

 

 
    Total India     28,667,182  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
    Indonesia — 0.1%

 

    330,700     Astra International Tbk PT     108,225  
    252,500     Bank Central Asia Tbk PT     449,295  
    690,900     Bank Mandiri Persero Tbk PT     212,316  
    431,000     Bank Negara Indonesia Persero Tbk PT     113,445  
    2,268,500     Bank Pembangunan Daerah Jawa Timur Tbk PT     75,903  
        3,535,900     Bank Rakyat Indonesia Persero Tbk PT     715,966  
    826,500     Bank Tabungan Negara Persero Tbk PT     42,994  
    499,900     Bukit Asam Tbk PT     66,551  
    565,900     Bumi Serpong Damai Tbk PT *     24,596  
    260,200     Indo Tambangraya Megah Tbk PT     144,818  
    316,200     Jasa Marga Persero Tbk PT     76,832  
    500,000     Matahari Department Store Tbk PT *     49,722  
    83,100     Pabrik Kertas Tjiwi Kimia Tbk PT     22,581  
    1,162,000     Pakuwon Jati Tbk PT     28,791  
    1,417,500     Panin Financial Tbk PT *     16,361  
    3,454,100     Ramayana Lestari Sentosa Tbk PT     135,127  
    782,800     Telekomunikasi Indonesia Persero Tbk PT     168,925  
     

 

 

 
    Total Indonesia     2,452,448  
     

 

 

 
          Ireland — 0.3%  
    119,693     AIB Group Plc *     132,013  
    162,127     Bank of Ireland Group Plc     289,563  
    16,806     CRH Plc     541,182  
    87,800     CRH Plc Sponsored ADR     2,823,648  
    1,843     Flutter Entertainment Plc * (a)     234,479  
    9,518     Glanbia Plc     104,155  
    307,199     Hibernia REIT Plc     372,518  
    155,047     Irish Residential Properties REIT Plc     225,826  
    5,502     Kerry Group Plc – Class A     681,702  
    54,941     Origin Enterprises Plc     169,043  
    32,738     Permanent TSB Group Holdings Plc *     16,732  
    82,536     Ryanair Holdings Plc *     1,023,988  
    41,960     Smurfit Kappa Group Plc     1,370,232  
    28,153     Total Produce Plc     35,581  
     

 

 

 
    Total Ireland     8,020,662  
     

 

 

 
          Israel — 0.0%  
    5,581     AudioCodes Ltd     202,507  
    8,692     Discount Investment Corp Ltd (Registered) *     12,371  
    2,045     Fox Wizel Ltd     76,759  
    1,340     Israel Corp Ltd (The) *     158,175  
    706,169     Oil Refineries Ltd     171,111  
     

 

 

 
    Total Israel     620,923  
     

 

 

 
          Italy — 1.5%  
    43,198     ACEA SPA     837,676  
    200,473     Anima Holding SPA     849,886  
    10,531     Ascopiave SPA     47,699  
    12,492     Azimut Holding SPA     208,393  
    2,710     Banca Generali SPA     73,940  

    
Shares

   

Description

  Value ($)  
          Italy — continued  
    158,567     Banca Mediolanum SPA     1,060,085  
    110,221     Buzzi Unicem SPA     2,203,935  
    5,071     Buzzi Unicem SpA – RSP     58,760  
    15,485     Cementir Holding NV     106,060  
    93,324     Cofide SPA     42,498  
    14,979     Credito Emiliano SPA     72,194  
    4,091     El.En. SPA     97,875  
    135,695     Enav SPA     618,094  
        1,772,634     Enel SPA (c)     13,705,515  
    169,827     EXOR NV     9,161,876  
    605,220     Hera SPA     2,317,888  
    745,877     Iren SPA     1,862,684  
    123,656     Italgas SPA     673,357  
    13,610     La Doria SPA     158,947  
    1,259     Leonardo SPA *     7,904  
    7,006     MARR SPA *     102,653  
    47,819     Mediobanca Banca di Credito Finanziario SPA     314,570  
    164,397     Piaggio & C SPA     397,141  
    73,562     Saras SPA *     66,240  
    1,481     Sesa SPA     84,248  
    30,948     Societa Cattolica di Assicurazioni SC     143,076  
    3,642     Unieuro SPA     33,147  
    77,825     Unipol Gruppo SPA *     274,730  
    46,005     UnipolSai Assicurazioni SPA     102,395  
     

 

 

 
    Total Italy     35,683,466  
     

 

 

 
          Japan — 6.5%  
    5,700     77 Bank Ltd (The)     81,509  
    14,900     ADEKA Corp     207,734  
    6,100     Aichi Corp     42,509  
    14,800     Aida Engineering Ltd     101,232  
    6,000     Altech Corp     108,216  
    88,900     Amada Holdings Co Ltd     794,419  
    6,100     Amano Corp     132,281  
    16,000     AOKI Holdings Inc     102,299  
    4,600     Arata Corp     194,723  
    3,900     Arcland Sakamoto Co Ltd     43,149  
    492,100     Asahi Kasei Corp (c)     3,911,098  
    5,500     Asahi Yukizai Corp     77,783  
    829,300     Astellas Pharma Inc (c)     14,817,877  
    29,700     Bandai Namco Holdings Inc     1,651,222  
    3,600     Bando Chemical Industries Ltd     21,024  
    201,600     Brother Industries Ltd     3,815,053  
    12,300     Canon Marketing Japan Inc     250,854  
    56,000     Casio Computer Co Ltd     988,999  
    6,000     Cawachi Ltd     146,668  
    5,500     Central Glass Co Ltd     100,665  
    1,600     Chiyoda Integre Co Ltd     26,209  
    5,900     Chugai Pharmaceutical Co Ltd     871,855  
    6,400     Chugoku Bank Ltd (The) (a)     57,756  
    2,900     Cleanup Corp     14,056  
    4,300     CONEXIO Corp     59,335  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          Japan — continued  
    6,800     Dai Nippon Printing Co Ltd (a)     155,017  
    5,400     Dai Nippon Toryo Co Ltd     49,544  
    1,500     Dai-Dan Co Ltd     40,283  
    37,600     Daicel Corp     319,113  
    1,900     Daiichi Jitsugyo Co Ltd     66,786  
    1,900     Dainichiseika Color & Chemicals Manufacturing Co Ltd     44,162  
    5,200     Daiwa Industries Ltd     47,330  
    26,200     Daiwabo Holdings Co Ltd     1,762,423  
    5,100     Doshisha Co Ltd     74,326  
    41,000     DTS Corp     873,436  
    7,700     Ehime Bank Ltd (The)     85,427  
    15,300     Elecom Co Ltd     730,187  
    1,500     ESPEC Corp     24,600  
    15,500     FAN Communications Inc     68,351  
    10,400     FANUC Corp     1,858,465  
    1,100     Foster Electric Co Ltd     12,555  
    60,900     Fuji Electric Co Ltd     1,626,933  
    1,800     Fujicco Co Ltd     33,282  
    11,400     Fujitec Co Ltd     170,927  
    34,600     Fujitsu General Ltd     677,002  
    58,800     Fujitsu Ltd     6,059,221  
    8,700     Furuno Electric Co Ltd     73,051  
    4,400     G-7 Holdings Inc     96,440  
    19,400     Geo Holdings Corp     242,824  
    26,300     Gunma Bank Ltd (The)     82,575  
    31,200     Hachijuni Bank Ltd (The)     115,869  
    19,100     Hakuhodo DY Holdings Inc     237,858  
    3,600     Hakuto Co Ltd     33,001  
    78,000     Haseko Corp     952,838  
    10,400     Heiwa Corp     176,863  
    2,600     Heiwado Co Ltd     46,725  
    18,700     Hiroshima Bank Ltd (The)     87,947  
    14,700     Hisamitsu Pharmaceutical Co Inc     744,286  
           185,400     Hitachi Ltd     5,988,271  
    1,200     Hokkoku Bank Ltd (The)     30,932  
    102,600     Honda Motor Co Ltd     2,671,559  
    500     Hosokawa Micron Corp     28,290  
    2,300     House Foods Group Inc     77,980  
    11,900     Hoya Corp     1,119,712  
    9,200     Inaba Denki Sangyo Co Ltd     209,709  
    5,400     Infocom Corp     140,822  
    184,800     ITOCHU Corp     3,974,027  
    18,100     Itochu Enex Co Ltd     145,565  
    48,800     Itochu Techno-Solutions Corp     1,651,659  
    600     Itochu-Shokuhin Co Ltd     26,169  
    11,600     Itoki Corp     44,180  
    23,200     Japan Post Bank Co Ltd     191,990  
    7,900     Jeol Ltd     237,145  
    177,200     JVCKenwood Corp     289,986  
    64,500     K’s Holdings Corp (a)     825,685  
    7,600     Kajima Corp     86,298  

    
Shares

   

Description

  Value ($)  
          Japan — continued  
    7,700     Kaken Pharmaceutical Co Ltd (a)     424,442  
    3,500     Kamei Corp     34,999  
    57,100     Kanematsu Corp     711,048  
    3,200     Kanematsu Electronics Ltd     118,387  
    7,900     Kasai Kogyo Co Ltd (a)     38,037  
    2,600     Kato Sangyo Co Ltd     91,409  
    412,900     KDDI Corp     12,052,213  
    24,300     Keihin Corp     574,783  
    6,200     Keiyo Bank Ltd (The)     29,929  
    7,800     Kissei Pharmaceutical Co Ltd     198,320  
    4,600     Kiyo Bank Ltd (The)     71,477  
    900     Kobayashi Pharmaceutical Co Ltd (a)     80,516  
    625,874     Konica Minolta Inc     2,325,278  
    4,700     Kureha Corp     207,686  
    9,600     KYORIN Holdings Inc     207,554  
    8,500     Lion Corp     195,716  
    34,000     LIXIL VIVA Corp     762,208  
    16,200     Makino Milling Machine Co Ltd     502,117  
    2,100     Maruzen Showa Unyu Co Ltd     56,259  
    15,700     Marvelous Inc     113,804  
    2,000     Matsuda Sangyo Co Ltd     26,844  
    48,200     MCJ Co Ltd     376,876  
    41,300     Mebuki Financial Group Inc     93,883  
    21,200     Meidensha Corp     359,328  
    5,600     MEIJI Holdings Co Ltd     422,871  
    4,500     METAWATER Co Ltd     200,977  
           460,400     Mitsubishi Chemical Holdings Corp     2,711,927  
    50,200     Mitsubishi Gas Chemical Co Inc     750,295  
    2,000     Mitsubishi Research Institute Inc     77,200  
    182,700     Mitsubishi UFJ Financial Group Inc     758,412  
    4,400     Mitsuboshi Belting Ltd     67,057  
    10,900     Mitsui Sugar Co Ltd     211,023  
    3,500     Mizuno Corp     66,445  
    4,900     Mochida Pharmaceutical Co Ltd     190,702  
    5,100     MTI Ltd     28,580  
    32,900     NEC Corp     1,479,258  
    18,600     NEC Networks & System Integration Corp     351,001  
    14,100     Nichi-iko Pharmaceutical Co Ltd     171,889  
    22,200     Nichias Corp     512,896  
    10,700     Nichiha Corp     231,969  
    60,500     Nikon Corp (a)     556,841  
    28,900     Nippo Corp     718,539  
    12,800     Nippon Flour Mills Co Ltd     194,194  
    39,400     Nippon Kayaku Co Ltd     396,688  
    299,700     Nippon Light Metal Holdings Co Ltd     514,770  
    800     Nippon Shinyaku Co Ltd     69,130  
    12,400     Nippon Soda Co Ltd     345,453  
    579,500     Nippon Telegraph & Telephone Corp     13,190,108  
    6,900     Nisshin Oillio Group Ltd (The)     221,259  
    1,500     Nissin Corp     22,302  
    28,100     Nissin Electric Co Ltd     292,985  
    1,800     Nissin Foods Holdings Co Ltd     150,880  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          Japan — continued  
    9,000     Nojima Corp     210,033  
    71,000     Nomura Real Estate Holdings Inc (a)     1,310,520  
    6,000     Nomura Research Institute Ltd     159,118  
    14,300     NS Solutions Corp     393,853  
    102,700     NTT DOCOMO Inc     2,822,573  
           388,700     Obayashi Corp     3,604,326  
    1,300     Obic Co Ltd     225,863  
    600     Okinawa Cellular Telephone Co     23,077  
    5,800     Organo Corp (a)     327,346  
    4,200     Osaka Soda Co Ltd     102,713  
    7,300     Osaki Electric Co Ltd     35,075  
    2,800     Otsuka Corp     135,594  
    4,300     Paramount Bed Holdings Co Ltd     167,251  
    9,900     Prima Meat Packers Ltd     243,396  
    8,600     Proto Corp     92,151  
    6,000     Raiznext Corp     71,672  
    500     Rinnai Corp     42,241  
    1,900     Rion Co Ltd     42,649  
    6,600     Roland DG Corp     77,145  
    1,900     Ryobi Ltd (a)     24,775  
    3,300     Sac’s Bar Holdings Inc     16,970  
    9,200     San-Ai Oil Co Ltd     94,648  
    11,200     San-In Godo Bank Ltd (The)     55,408  
    15,300     Sanki Engineering Co Ltd     195,283  
    3,800     Sanyo Chemical Industries Ltd     174,510  
    3,600     SCSK Corp     176,825  
    26,800     Seiko Holdings Corp (a)     454,956  
    18,700     Seino Holdings Co Ltd     255,366  
    67,300     Sekisui Chemical Co Ltd (c)     943,350  
    33,700     Sekisui House Ltd     643,304  
    4,300     Sekisui Jushi Corp     94,963  
    28,500     Seven Bank Ltd     81,455  
    12,500     SG Holdings Co Ltd     408,732  
    333,100     Shimizu Corp     2,819,617  
    4,600     Shinmaywa Industries Ltd     45,672  
    6,600     Shizuoka Gas Co Ltd     60,831  
    54,600     Showa Corp     1,141,876  
    800     Sinanen Holdings Co Ltd     20,263  
    9,100     Sinko Industries Ltd     129,652  
    7,400     Sintokogio Ltd     54,390  
    526,800     Sojitz Corp     1,227,401  
    34,700     Sony Corp     2,247,374  
    1,255,200     Sumitomo Chemical Co Ltd     3,900,642  
    45,400     Sumitomo Dainippon Pharma Co Ltd (a)     642,986  
    10,100     Sumitomo Mitsui Financial Group Inc (a)     293,125  
    2,300     Sumitomo Seika Chemicals Co Ltd     65,129  
    4,000     Suzuken Co Ltd     145,526  
    35,900     T-Gaia Corp     765,472  
    58,100     Takara Leben Co Ltd     202,428  
    16,500     Takasago Thermal Engineering Co Ltd     280,933  
    9,000     Tamron Co Ltd     169,647  
    89,600     Teijin Ltd     1,468,488  

    
Shares

   

Description

  Value ($)  
          Japan — continued  
    2,600     TKC Corp     136,162  
    32,900     Tokyo Electron Ltd     6,620,572  
    900     Tokyo Seimitsu Co Ltd     29,297  
    59,500     Tokyu Construction Co Ltd     325,234  
    3,900     Toli Corp     9,460  
    9,100     TOMONY Holdings Inc     29,439  
    19,100     Toppan Forms Co Ltd     199,164  
    66,900     Toppan Printing Co Ltd     1,146,452  
    5,400     Torii Pharmaceutical Co Ltd     162,665  
    24,300     Tosei Corp     241,486  
    1,100     Toshiba TEC Corp     38,382  
    67,700     Tosoh Corp     944,067  
    3,300     Towa Pharmaceutical Co Ltd     69,822  
    40,300     Toyo Construction Co Ltd     160,958  
    7,000     Toyo Ink SC Holdings Co Ltd     135,524  
    24,700     Toyo Suisan Kaisha Ltd     1,294,347  
    6,400     TPR Co Ltd     87,570  
    14,000     Trend Micro Inc     770,592  
    47,600     TS Tech Co Ltd (c)     1,346,578  
    600     Tsuruha Holdings Inc (a)     88,835  
    7,500     UKC Holdings Corp     145,692  
    45,800     Ushio Inc     545,319  
    3,200     Valqua Ltd     61,921  
    20,700     Wacoal Holdings Corp     429,635  
    2,300     Welcia Holdings Co Ltd     193,516  
    18,400     YAMABIKO Corp     167,948  
    52,800     Yamaha Motor Co Ltd     764,822  
    3,400     Yamazaki Baking Co Ltd (a)     60,952  
    12,100     Yamazen Corp     105,285  
    14,000     Yellow Hat Ltd     200,138  
    12,300     Yuasa Trading Co Ltd     360,769  
    2,700     ZERIA Pharmaceutical Co Ltd     53,428  
     

 

 

 
    Total Japan     154,901,539  
     

 

 

 
          Malaysia — 0.3%  
    663,700     AirAsia Group Berhad     105,337  
    77,400     Bermaz Auto Berhad     22,297  
      1,521,400     DRB-Hicom Berhad     579,774  
    45,900     Hartalega Holdings Berhad     132,639  
    64,500     Kossan Rubber Industries     129,316  
    314,600     Magnum Berhad     162,999  
    324,100     MISC Berhad     620,072  
    378,800     Sime Darby Berhad     182,560  
    2,515,309     Supermax Corp Berhad *     4,463,241  
    92,500     Syarikat Takaful Malaysia Keluarga Berhad     91,690  
    647,300     Telekom Malaysia Berhad     628,201  
    205,300     Top Glove Corp Berhad     629,344  
    104,600     Westports Holdings Berhad     96,183  
     

 

 

 
    Total Malaysia     7,843,653  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          Mexico — 0.7%  
    8,300     Grupo Aeroportuario del Pacifico SAB de CV – Class B     55,247  
    53,100     Grupo Aeroportuario del Centro Norte SAB de CV     233,837  
    4,124,038     Wal-Mart de Mexico SAB de CV     10,321,951  
    95,200     Qualitas Controladora SAB de CV     382,011  
    9,200     Kimberly-Clark de Mexico SAB de CV – Class A     14,322  
    83,000     Alsea SAB de CV *     70,182  
    912,800     America Movil SAB de CV – Series L     606,763  
    300     Fomento Economico Mexicano SAB de CV Sponsored ADR (a)     20,313  
    800     Grupo Aeroportuario del Pacifico SAB de CV ADR     53,128  
    27,500     Corp Inmobiliaria Vesta SAB de CV     37,565  
    17,000     Unifin Financiera SAB de CV SOFOM ENR     13,033  
        1,038,300     Fibra Uno Administracion SA de CV (REIT)     796,477  
    515,600     Gentera SAB de CV     214,848  
    20,200     Banco del Bajio SA     20,633  
    11,400     Regional SAB de CV *     31,777  
    210,800     Nemak SAB de CV     46,581  
    3,820     Promotora y Operadora de Infraestructura SAB de CV     28,859  
    900     Grupo Aeroportuario del Centro Norte SAB de CV ADR     31,725  
    156,600     Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand     103,108  
    31,600     El Puerto de Liverpool SAB de CV – Class C1     78,948  
    308,400     Grupo Financiero Banorte SAB de CV – Class O     939,476  
    778,000     Grupo Mexico SAB de CV – Series B     1,676,027  
    56,500     Grupo Financiero Inbursa SAB de CV – Class O     38,627  
    122,700     Credito Real SAB de CV SOFOM ER     65,571  
    2,485     Grupo Aeroportuario del Sureste SAB de CV – Class B     25,812  
    127,942     Grupo Herdez SAB de CV     202,577  
    300     Grupo Aeroportuario del Sureste SAB de CV ADR     31,101  
     

 

 

 
    Total Mexico     16,140,499  
     

 

 

 
          Netherlands — 1.9%  
    1,651     Adyen NV *     2,164,926  
    2,681     ASM International NV     312,711  
    138,919     ASR Nederland NV     3,819,066  
    2,104     BE Semiconductor Industries NV     80,461  
    11,846     ForFarmers NV     75,275  
    50,310     Heineken Holding NV     4,136,891  
    282     Hunter Douglas NV     13,537  
    267,730     Koninklijke Ahold Delhaize NV     6,788,006  
    84,835     Koninklijke Philips NV     3,856,851  
    21,584     Koninklijke Vopak NV     1,182,003  
    115,000     Randstad NV     4,838,407  

    
Shares

   

Description

  Value ($)  
          Netherlands — continued  
    292,566     Signify NV (c)     6,299,944  
    2,188     TomTom NV *     18,616  
    160,436     Wolters Kluwer NV     12,804,445  
     

 

 

 
    Total Netherlands     46,391,139  
     

 

 

 
          New Zealand — 0.0%  
    532,194     Air New Zealand Ltd     453,568  
    23,264     Fisher & Paykel Healthcare Corp Ltd     433,747  
    16,081     Synlait Milk Ltd *     69,599  
     

 

 

 
    Total New Zealand     956,914  
     

 

 

 
          Norway — 0.7%  
    131,912     Austevoll Seafood ASA (a)     1,006,706  
    15,020     Avance Gas Holding Ltd     32,239  
    17,334     Borregaard ASA     188,935  
           263,667     BW LPG Ltd     880,743  
    341,135     DNB ASA     4,655,754  
    288,612     Elkem ASA     527,555  
    72,310     Europris ASA     305,376  
    30,400     Frontline Ltd     277,552  
    109,916     Gjensidige Forsikring ASA     2,003,863  
    50,979     Kvaerner ASA *     30,412  
    14,527     Norwegian Finans Holding ASA *     103,584  
    344,591     Orkla ASA     3,095,027  
    12,947     Salmar ASA     583,867  
    12,252     Sbanken ASA *     81,744  
    24,511     Selvaag Bolig ASA     126,306  
    38,753     SpareBank 1 Nord Norge     254,983  
    19,287     SpareBank 1 SMN     154,859  
    129,270     SpareBank 1 SR-Bank ASA     962,258  
    4,973     TGS NOPEC Geophysical Co ASA     71,238  
    19,085     Veidekke ASA *     194,826  
     

 

 

 
    Total Norway     15,537,827  
     

 

 

 
          Pakistan — 0.0%  
    34,810     Engro Corp Ltd     62,457  
    268,500     Engro Fertilizers Ltd     99,429  
    44,200     Nishat Mills Ltd     20,104  
    261,100     Oil & Gas Development Co Ltd     185,147  
    29,870     Pakistan Oilfields Ltd     58,420  
    78,320     Pakistan Petroleum Ltd     45,025  
    23,700     Pakistan State Oil Co Ltd     23,048  
    17,500     Searle Co Ltd (The)     21,677  
    28,700     United Bank Ltd     17,143  
     

 

 

 
    Total Pakistan     532,450  
     

 

 

 
          Peru — 0.0%  
    5,000     Southern Copper Corp (a)     181,500  
     

 

 

 
          Philippines — 0.1%  
    29,900     Ayala Land Inc     18,934  
    15,780     Globe Telecom Inc     715,160  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          Philippines — continued  
    14,660     Manila Electric Co     82,111  
        2,369,000     Megaworld Corp     133,659  
    2,481,000     Metro Pacific Investments Corp     142,135  
    15,810     Security Bank Corp     25,517  
    135,050     Semirara Mining & Power Corp     29,384  
     

 

 

 
    Total Philippines     1,146,900  
     

 

 

 
          Poland — 0.5%  
    22,442     Alior Bank SA *     80,836  
    7,043     AmRest Holdings SE *     46,180  
    40,881     Asseco Poland SA     745,563  
    58,565     Bank Millennium SA *     36,298  
    68,702     Bank Polska Kasa Opieki SA     896,612  
    3,461     Budimex SA     195,104  
    14,565     CCC SA     175,787  
    1,080     CD Projekt SA     108,871  
    101,081     Cyfrowy Polsat SA     659,271  
    1,387     Dino Polska SA *     63,281  
    161,572     Energa SA *     318,410  
    1,595     KRUK SA     40,122  
    54     LPP SA     92,518  
    2,064     Lubelski Wegiel Bogdanka SA     10,025  
    318,426     Orange Polska SA *     515,807  
    216,437     PLAY Communications SA     1,535,476  
    169,448     Polski Koncern Naftowy ORLEN SA     2,827,522  
    176,277     Powszechna Kasa Oszczednosci Bank Polski SA     975,246  
    402,921     Powszechny Zaklad Ubezpieczen SA     3,002,138  
    2,674     Santander Bank Polska SA     108,713  
    6,178     Warsaw Stock Exchange     63,114  
     

 

 

 
    Total Poland     12,496,894  
     

 

 

 
          Portugal — 0.9%  
    201,647     Altri SGPS SA     927,530  
    3,178,001     Banco Comercial Portugues SA – Class R     346,929  
    113,256     CTT – Correios de Portugal SA     258,027  
    18,379     EDP Renovaveis SA     243,023  
    1,338,754     EDP – Energias de Portugal SA     6,254,101  
    538,869     Galp Energia SGPS SA     6,411,564  
    190,332     Jeronimo Martins SGPS SA     3,245,483  
    91,106     Mota – Engil SGPS SA (a)     115,896  
    172,750     Navigator Co SA (The)     425,425  
    332,722     NOS SGPS SA *     1,362,262  
    160,723     REN – Redes Energeticas Nacionais SGPS SA     430,545  
    12,232     Semapa-Sociedade de Investimento e Gestao *     112,480  
    1,185,197     Sonae SGPS SA     887,512  
     

 

 

 
    Total Portugal     21,020,777  
     

 

 

 
          Qatar — 0.0%  
    165,390     Barwa Real Estate Co     134,338  
    114,022     Doha Bank QPSC *     64,063  
    8,101     Qatar Electricity & Water Co QSC     33,553  

    
Shares

   

Description

  Value ($)  
          Qatar — continued  
    68,578     Qatar Insurance Co SAQ     39,247  
    104,096     Qatar National Bank QPSC     504,764  
    45,376     Qatar National Cement Co QSC     48,549  
     

 

 

 
    Total Qatar     824,514  
     

 

 

 
          Russia — 3.1%  
    1,761,450     Alrosa PJSC     1,659,960  
    1,100,000     Credit Bank of Moscow PJSC     84,787  
    69,540     Detsky Mir PJSC     98,294  
    9,577,000     ENEL RUSSIA PJSC     132,642  
    59,810,000     Federal Grid Co Unified Energy System PJSC     156,893  
    172,390     Gazprom Neft PJSC     822,454  
    2,752     Gazprom Neft PJSC Sponsored ADR     65,369  
    32,940     Gazprom PJSC Sponsored ADR     184,983  
    25,637     Globaltrans Investment Plc Sponsored GDR (Registered)     142,977  
    103,941,001     Inter RAO UES PJSC     7,359,403  
    2,687     LSR Group PJSC     22,452  
    66,217     LSR Group PJSC GDR (Registered)     107,804  
    45,959     LUKOIL PJSC     3,456,925  
    179,494     LUKOIL PJSC Sponsored ADR     13,486,235  
    30,340     M.Video PJSC     146,974  
    2,379,200     Magnitogorsk Iron & Steel Works PJSC     1,374,443  
    34,180     Magnitogorsk Iron & Steel Works PJSC Sponsored GDR (Registered)     255,494  
    1,641     MMC Norilsk Nickel PJSC     518,811  
    351,572     MMC Norilsk Nickel PJSC ADR     11,122,893  
    49,900     Mobile TeleSystems PJSC Sponsored ADR (a)     443,611  
    561,010     Moscow Exchange MICEX-RTS PJSC     916,511  
    20,325     Novatek PJSC Sponsered GDR (Registered)     2,975,255  
    89,090     Novolipetsk Steel PJSC     174,951  
    219,280     Novolipetsk Steel PJSC GDR     4,249,799  
    19,016     PhosAgro PJSC GDR (Registered)     264,111  
    948     Polymetal International Plc     19,055  
    81,350     Raspadskaya OJSC     124,645  
    73,560,000     ROSSETI PJSC     1,741,851  
    227,820     Rostelecom PJSC     269,164  
    5,348     Rostelecom PJSC Sponsored ADR     36,999  
    8,532,000     RusHydro PJSC     84,693  
    13,580     Safmar Financial Investment     76,622  
    1,119,114     Sberbank of Russia PJSC Sponsored ADR     12,762,091  
    60,747     Severstal PJSC GDR (Registered)     801,807  
    3,229,900     Surgutneftegas PJSC     1,833,018  
    172,805     Surgutneftegas PJSC Sponsored ADR     975,075  
    54,836     Tatneft PJSC     417,546  
    75,938     Tatneft PJSC Sponsored ADR     3,460,550  
    29,273     TCS Group Holding Plc GDR (Registered)     509,801  
    5,545,000     Unipro PJSC     216,717  
    366,106     VTB Bank PJSC GDR (Registered)     361,569  
    400     Yandex NV – Class A *     16,092  
     

 

 

 
    Total Russia     73,931,326  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          Singapore — 1.3%  
    201,300     Accordia Golf Trust     86,452  
    185,500     AEM Holdings Ltd     404,318  
    310,800     Ascendas (REIT)     691,693  
    243,500     Asian Pay Television Trust     21,736  
    550,400     CapitaLand Commercial Trust (REIT)     683,798  
    224,300     CapitaLand Ltd     460,569  
    652,800     CapitaLand Mall Trust (REIT)     941,899  
    27,800     City Developments Ltd     152,079  
        1,019,200     ComfortDelGro Corp Ltd     1,041,280  
    712,000     DBS Group Holdings Ltd     9,850,157  
    187,200     First Real Estate Investment Trust     117,647  
    181,100     Frasers Logistics & Industrial Trust (REIT)     142,782  
    468,240     Japfa Ltd     220,862  
    113,400     Keppel DC (REIT)     206,897  
    115,300     Lendlease Global Commercial (REIT)     54,901  
    141,568     Mapletree Commercial Trust (REIT)     201,412  
    1,578,400     Mapletree Greater China Commercial Trust (REIT)     936,859  
    724,700     Mapletree Industrial Trust (REIT)     1,401,050  
    166,600     Mapletree Logistics Trust (REIT)     242,652  
    12,100     Oversea-Chinese Banking Corp Ltd     73,466  
    29,000     Parkway Life Real Estate Investment Trust (REIT)     71,303  
    14,200     QAF Ltd     7,701  
    331,400     Sasseur Real Estate Investment Trust     188,347  
    180,500     Silverlake Axis Ltd     30,114  
    458,500     Singapore Exchange Ltd     2,693,742  
    137,100     Singapore Technologies Engineering Ltd     310,489  
    324,300     SPH (REIT)     191,026  
    206,400     StarHub Ltd     198,688  
    93,400     United Overseas Bank Ltd     1,293,635  
    213,100     Venture Corp Ltd     2,315,775  
    105,700     Wilmar International Ltd     298,613  
    12,700     Wing Tai Holdings Ltd     16,672  
    6,934,199     Yangzijiang Shipbuilding Holdings Ltd     4,627,753  
    582,000     Yanlord Land Group Ltd *     454,723  
     

 

 

 
    Total Singapore     30,631,090  
     

 

 

 
          South Africa — 1.0%  
    1,226,936     Absa Group Ltd     5,705,377  
    6,878     Anglo American Platinum Ltd     436,118  
    63,714     Astral Foods Ltd     560,570  
    195,921     Barloworld Ltd     751,754  
    7,841     Bid Corp Ltd     110,682  
    1,088,248     Blue Label Telecoms Ltd *     155,288  
    322     Capitec Bank Holdings Ltd     15,619  
    5,109     Clicks Group Ltd     67,848  
    16,858     Coronation Fund Managers Ltd     36,945  
    47,382     Discovery Ltd     266,500  
    70,429     Emira Property Fund Ltd (REIT)     22,474  
    37,733     FirstRand Ltd     86,653  

    
Shares

   

Description

  Value ($)  
          South Africa — continued  
    129,749     Fortress REIT Ltd – Class A     82,054  
    44,310     Foschini Group Ltd (The)     157,680  
    576,771     Growthpoint Properties Ltd (REIT)     411,113  
    14,493     Hyprop Investments Ltd (REIT)     14,096  
    117,595     Imperial Logistics Ltd     262,482  
    86,611     Investec Ltd     152,340  
    197,948     Kumba Iron Ore Ltd     5,345,971  
    57,204     Lewis Group Ltd     47,723  
    299,927     Liberty Holdings Ltd     1,066,359  
    33,464     Metair Investments Ltd     25,865  
    93,134     Momentum Metropolitan Holdings     91,448  
    353,262     Motus Holdings Ltd     558,657  
    54,512     Mr Price Group Ltd     405,745  
    30,952     MTN Group Ltd     95,949  
    44,961     MultiChoice Group Ltd *     222,137  
    46,124     Murray & Roberts Holdings Ltd     10,881  
    26,024     Nedbank Group Ltd     147,297  
    354,837     Netcare Ltd     287,070  
        1,644,666     Old Mutual Ltd     1,055,333  
    60,475     Rand Merchant Investment Holdings Ltd     94,057  
    99,539     Raubex Group Ltd     105,341  
    891,067     Redefine Properties Ltd (REIT)     97,473  
    242,031     Reunert Ltd     598,850  
    17,882     RMB Holdings Ltd     54,466  
    414,699     Sanlam Ltd     1,339,480  
    1,864     Santam Ltd     28,720  
    125,075     Sappi Ltd *     180,717  
    8,292     SPAR Group Ltd (The)     82,900  
    5,511     Standard Bank Group Ltd     32,077  
    1,051,528     Telkom SA SOC Ltd     1,063,376  
    6,843     Tiger Brands Ltd     61,206  
    318,627     Truworths International Ltd     569,338  
    90,743     Tsogo Sun Gaming Ltd     11,078  
    20,979     Vodacom Group Ltd     150,625  
    38,007     Wilson Bayly Holmes-Ovcon Ltd     207,564  
     

 

 

 
    Total South Africa     23,333,296  
     

 

 

 
          South Korea — 2.8%  
    27,827     Aekyung Petrochemical Co Ltd     156,413  
    12,625     Aju Capital Co Ltd     125,530  
    16,193     Boryung Pharmaceutical Co Ltd     193,560  
    40,259     DB HiTek Co Ltd     937,850  
    9,220     DB Insurance Co Ltd     324,190  
    21,573     Dongwha Pharm Co Ltd     202,048  
    34,093     Dongwon Development Co Ltd     99,558  
    1,937     GOLFZON Co Ltd     117,145  
    6,091     GS Home Shopping Inc     587,746  
    450,886     Hana Financial Group Inc     10,894,172  
    24,801     Hankook Tire & Technology Co Ltd     471,372  
    6,813     Hansae Yes24 Holdings Co Ltd     28,474  
    129,128     Hanwha Life Insurance Co Ltd     159,005  
    9,831     HDC Hyundai Development Co-Engineering & Construction     158,366  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          South Korea — continued  
    13,190     Huons Co Ltd     520,309  
    2,932     Hy-Lok Corp     31,403  
    6,028     Hyosung Corp     328,733  
    481     Hyundai Department Store Co Ltd     24,917  
    10,930     Hyundai Home Shopping Network Corp     592,809  
    4,477     Hyundai Marine & Fire Insurance Co Ltd     87,922  
    6,142     Hyundai Mobis Co Ltd     984,789  
    16,517     Hyundai Motor Co     1,313,240  
    18,020     Il Dong Pharmaceutical Co Ltd *     201,587  
           449,866     Industrial Bank of Korea     3,021,554  
    7,828     JB Financial Group Co Ltd     30,142  
    834     Kangwon Land Inc     16,384  
    50,534     KB Financial Group Inc     1,379,128  
    6,200     KB Financial Group Inc ADR     169,570  
    1,258     KCC Corp     145,765  
    12,565     KEPCO Plant Service & Engineering Co Ltd     314,099  
    479,416     Kia Motors Corp     13,330,898  
    17,594     Korea Asset In Trust Co Ltd     37,830  
    18,413     Korea Autoglass Corp     196,086  
    27,226     Korean Reinsurance Co     162,933  
    4,555     KT Corp     89,303  
    5,621     KT Skylife Co Ltd     36,584  
    57,716     KT&G Corp     3,917,088  
    42,665     LF Corp     468,220  
    15,368     LG Electronics Inc     738,919  
    3,134     LOTTE Fine Chemical Co Ltd     96,164  
    2,483     LS Electric Co Ltd     91,674  
    4,097     Mando Corp     88,761  
    1,259     Medy-Tox Inc     171,804  
    22,873     Mirae Asset Life Insurance Co Ltd     56,469  
    47     NCSoft Corp     30,023  
    3,443     OCI Co Ltd *     109,535  
    16,601     S&T Motiv Co Ltd     538,045  
    28,634     Samjin Pharmaceutical Co Ltd     641,094  
    166,737     Samsung Electronics Co Ltd     6,867,242  
    2,552     Samsung Electronics Co Ltd GDR (Registered)     2,634,142  
    6,418     Sebang Global Battery Co Ltd     149,033  
    267,617     Shinhan Financial Group Co Ltd     6,541,052  
    38,186     SK Hynix Inc     2,532,211  
    3,044     SK Telecom Co Ltd     531,639  
    159,700     SK Telecom Co Ltd Sponsored ADR     3,074,225  
    16,122     SL Corp (d)     91,512  
    157,050     Woori Financial Group Inc     1,158,900  
     

 

 

 
    Total South Korea     67,999,166  
     

 

 

 
          Spain — 1.9%  
    179     ACS Actividades de Construccion y Servicios SA     4,581  
    77,744     Aena SME SA (c)     11,095,382  
    65,957     Almirall SA *     864,930  
    17,076     Amadeus IT Group SA     892,928  
    51,914     Banco Bilbao Vizcaya Argentaria SA     159,888  

    
Shares

   

Description

  Value ($)  
          Spain — continued  
    36,529     Banco Santander SA     83,517  
    111,739     Bankinter SA     474,705  
    73,804     Cia de Distribucion Integral Logista Holdings SA     1,365,464  
    12,715     Ebro Foods SA     266,222  
    10,080     eDreams ODIGEO SA * (a)     32,078  
    109,978     Enagas SA     2,478,873  
    410,056     Endesa SA     9,794,732  
    59,968     Faes Farma SA     242,072  
    639,498     Iberdrola SA     6,924,151  
    164,759     Industria de Diseno Textil SA     4,589,106  
           186,960     Mediaset Espana Comunicacion SA * (a)     667,656  
    155,538     Red Electrica Corp SA     2,738,736  
    19,349     Repsol SA     182,172  
    293,629     Unicaja Banco SA     159,061  
    21,375     Viscofan SA (a)     1,404,048  
     

 

 

 
    Total Spain     44,420,302  
     

 

 

 
          Sweden — 1.1%  
    1,184     Atlas Copco AB – B Shares     42,082  
    28,465     Axfood AB     638,348  
    83,599     Betsson AB *     583,410  
    53,839     Bilia AB-Class A     441,217  
    124,349     Boliden AB     2,717,197  
    11,765     Bufab AB *     106,857  
    75,376     Cloetta AB – Class B     190,112  
    17,480     Essity AB – Class B *     578,947  
    7,410     Humana AB     34,263  
    5,973     Instalco Intressenter AB     95,810  
    43,703     Inwido AB     278,769  
    43,430     JM AB     856,517  
    222,478     Klovern AB – B Shares     354,464  
    4,438     KNOW IT AB *     71,330  
    24,009     Lindab International AB     244,828  
    15,936     Loomis AB – Class B     402,940  
    85,100     Nobia AB     385,523  
    16,624     Nobina AB *     97,447  
    22,510     Resurs Holding AB     95,932  
    151,435     Skanska AB – B Shares     3,044,275  
    3,392     SkiStar AB     37,507  
    63,056     Swedish Match AB     4,400,868  
    23,604     Volvo AB – A Shares     335,995  
    775,851     Volvo AB – B Shares     11,070,910  
     

 

 

 
    Total Sweden     27,105,548  
     

 

 

 
          Switzerland — 1.3%  
    2,910     ALSO Holding AG (Registered) *     683,308  
    1,050     Banque Cantonale Vaudoise (Registered)     102,393  
    92     Bell Food Group AG (Registered)     22,039  
    8,675     BKW AG     694,173  
    2,877     Bobst Group SA (Registered)     173,694  
    467     Coltene Holding AG (Registered) *     38,685  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          Switzerland — continued  
    15,052     Galenica AG     1,115,056  
    30     Gurit Holding AG     45,631  
    4,481     Huber + Suhner AG (Registered)     309,161  
    2,435     Kardex AG (Registered)     422,575  
    596     Liechtensteinische Landesbank AG     36,934  
    16,123     Mobilezone Holding AG (Registered)     137,843  
    1,570     Nestle SA (Registered)     170,466  
    56,208     Novartis AG (Registered)     4,893,238  
    2,116     Orior AG *     162,974  
    1,962     Partners Group Holding AG     1,634,492  
    12,344     Roche Holding AG     4,327,134  
    47,801     Roche Holding AG – Genusschein     16,592,755  
    14     Schweizerische Nationalbank (Registered) (a)     67,623  
    228     Tecan Group AG (Registered)     79,862  
    2,100     Vetropack Holding AG (Registered) *     131,470  
    9,337     Wizz Air Holdings Plc *     379,601  
     

 

 

 
    Total Switzerland     32,221,107  
     

 

 

 
          Taiwan — 4.1%  
    403,000     AcBel Polytech Inc     274,947  
    16,000     Acter Group Corp Ltd     111,326  
    57,000     Amazing Microelectronic Corp     158,843  
    8,000     Arcadyan Technology Corp     22,544  
           485,000     Asustek Computer Inc     3,405,167  
    19,000     Aten International Co Ltd     56,756  
    8,400     Aurora Corp     25,003  
    563,000     Catcher Technology Co Ltd     4,103,097  
    463,399     Cathay Financial Holding Co Ltd     619,212  
    182,606     Chailease Holding Co Ltd     711,752  
    1,019,000     Chicony Electronics Co Ltd     2,923,637  
    1,562,000     China Development Financial Holding Corp     474,299  
    66,000     China Life Insurance Co Ltd *     45,713  
    112,000     China Motor Corp     135,573  
    29,000     Chong Hong Construction Co Ltd     80,900  
    886,000     Coretronic Corp *     918,918  
    3,819,000     CTBC Financial Holding Co Ltd     2,545,486  
    38,000     Cyberlink Corp     143,327  
    2,000     Eclat Textile Co Ltd     20,607  
    41,000     Elan Microelectronics Corp     137,023  
    19,000     Elite Advanced Laser Corp     41,689  
    145,000     Elite Material Co Ltd     714,435  
    97,000     Farglory Land Development Co Ltd     141,445  
    335,900     Feng TAY Enterprise Co Ltd     2,031,324  
    328,000     FLEXium Interconnect Inc     1,191,298  
    56,000     Formosa Advanced Technologies Co Ltd     69,510  
    54,000     Formosa Chemicals & Fibre Corp     129,741  
    124,000     Formosa Plastics Corp     343,379  
    564,000     Formosa Taffeta Co Ltd     643,098  
    241,000     Foxconn Technology Co Ltd     433,970  
    825,000     Fubon Financial Holding Co Ltd     1,167,472  
    25,000     Fulgent Sun International Holding Co. Ltd.     83,389  
    19,000     Fusheng Precision Co Ltd     110,293  

    
Shares

   

Description

  Value ($)  
          Taiwan — continued  
    25,000     Getac Technology Corp     36,482  
    1,079,000     Gigabyte Technology Co Ltd     2,125,035  
    61,000     Global Mixed Mode Technology Inc     307,779  
    1,821,000     Grand Pacific Petrochemical *     857,719  
    900,303     Great Wall Enterprise Co Ltd     1,290,708  
    17,000     Hiroca Holdings Ltd     29,532  
    70,000     Holiday Entertainment Co Ltd     154,415  
    503,000     Holtek Semiconductor Inc     1,081,210  
    7,206,000     Hon Hai Precision Industry Co Ltd     18,230,403  
    78,000     Huaku Development Co Ltd     247,080  
    143,000     IBF Financial Holdings Co Ltd     53,942  
    62,820     IEI Integration Corp *     81,769  
    32,080     Innodisk Corp     205,254  
    119,000     ITE Technology Inc     234,576  
    63,000     Kindom Construction Corp     62,032  
    9,000     Kingpak Technology Inc     49,064  
    113,000     Kinpo Electronics     42,982  
    325,000     Lite-On Semiconductor Corp     447,391  
    665,000     Lite-On Technology Corp     1,067,202  
    2,000     Lotes Co Ltd     26,944  
    33,300     Makalot Industrial Co Ltd     160,097  
    118,000     MediaTek Inc     1,821,866  
    75,202     Mercuries Life Insurance Co Ltd *     23,079  
    142,000     Merry Electronics Co Ltd     641,855  
    156,000     Micro-Star International Co Ltd     526,344  
        2,286,266     Mitac Holdings Corp     2,468,582  
    48,000     Nantex Industry Co Ltd     59,847  
    42,000     Nichidenbo Corp     73,548  
    17,000     Nien Made Enterprise Co Ltd     146,090  
    619,000     Novatek Microelectronics Corp     4,238,331  
    100,743     Nuvoton Technology Corp     131,408  
    38,950     OptoTech Corp     27,513  
    891,000     Pegatron Corp     1,917,759  
    298,000     Phison Electronics Corp     2,746,631  
    4,995,000     Pou Chen Corp     4,925,904  
    31,000     Powertech Technology Inc     100,398  
    67,000     Primax Electronics Ltd     103,814  
    1,910,000     Qisda Corp     1,058,079  
    254,000     Quanta Computer Inc     593,347  
    129,000     Quanta Storage Inc     158,785  
    2,158,000     Radiant Opto-Electronics Corp     7,429,467  
    48,000     Ruentex Industries Ltd     104,393  
    76,000     Sampo Corp     50,715  
    47,000     Sercomm Corp     112,612  
    43,000     Shin Zu Shing Co Ltd     194,771  
    90,000     Shinkong Insurance Co Ltd     106,999  
    107,800     Simplo Technology Co Ltd     1,154,933  
    24,000     Sinbon Electronics Co Ltd     120,786  
    31,050     Sinmag Equipment Corp     94,010  
    36,000     Sitronix Technology Corp     183,127  
    80,000     Soft-World International Corp     285,662  
    47,000     Standard Chemical & Pharmaceutical Co Ltd     61,109  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          Taiwan — continued  
    883,000     Sunplus Technology Co Ltd *     328,709  
    27,000     Supreme Electronics Co Ltd     26,569  
    145,500     Syncmold Enterprise Corp     393,263  
    62,000     Taiflex Scientific Co Ltd     97,435  
    595,000     Taiwan PCB Techvest Co Ltd     740,156  
    79,000     Taiwan Sakura Corp     123,956  
    614,000     Taiwan Semiconductor Manufacturing Co Ltd     5,968,860  
    47,585     Taiwan Semiconductor Manufacturing Co Ltd Sponsored ADR (a)     2,394,953  
    66,000     Taiwan Surface Mounting Technology Corp     253,017  
           199,000     Teco Electric and Machinery Co Ltd     187,123  
    23,000     Test Research Inc     42,007  
    7,000     Thinking Electronic Industrial Co Ltd     20,431  
    237,929     TOPBI International Holdings Ltd     458,925  
    178,419     Topco Scientific Co Ltd     619,896  
    79,000     Topkey Corp     321,972  
    58,000     Transcend Information Inc     135,881  
    209,000     Tripod Technology Corp     785,924  
    116,600     United Integrated Services Co Ltd     818,362  
    29,000     Wah Lee Industrial Corp     53,385  
    3,000     Wiwynn Corp     80,390  
    1,701,000     Yuanta Financial Holding Co Ltd     923,034  
    7,600     Yulon Finance Corp     25,351  
    6,000     Yulon Nissan Motor Co Ltd     53,024  
    34,000     Zeng Hsing Industrial Co Ltd     150,623  
     

 

 

 
    Total Taiwan     97,471,799  
     

 

 

 
          Thailand — 0.2%  
    33,900     Amata Corp Pcl NVDR     15,517  
    1,509,400     AP Thailand Pcl NVDR     264,097  
    108,500     Bangkok Bank Pcl NVDR     373,261  
    29,700     Bangkok Life Assurance Pcl NVDR     14,035  
    770,000     Banpu Pcl (Foreign Registered)     151,289  
    125,700     Banpu Power Pcl NVDR     69,163  
    4,198,300     Beauty Community Pcl NVDR     231,672  
    47,200     Hana Microelectronics Pcl NVDR     44,638  
    296,900     Jasmine International Pcl NVDR     34,990  
    128,700     Kasikornbank Pcl NVDR     390,249  
    101,600     Krung Thai Bank Pcl NVDR     33,316  
    507,800     Land & Houses Pcl NVDR     116,887  
    64,200     Mega Lifesciences Pcl NVDR     69,448  
    193,900     Origin Property Pcl NVDR     30,857  
    167,600     Pruksa Holding Pcl NVDR     62,817  
    909,500     Quality Houses Pcl NVDR     61,881  
    124,600     Siam Commercial Bank Pcl NVDR (The)     291,051  
    149,700     Somboon Advance Technology Pcl NVDR     53,307  
    60,200     SPCG Pcl NVDR     33,149  
    74,250     Supalai Pcl (Foreign Registered)     34,597  
    344,875     Supalai Pcl NVDR     160,697  
    1,894,100     Thai Beverage Pcl     847,359  
    52,000     Thai Vegetable Oil Pcl NVDR     43,360  
    763,800     Thanachart Capital Pcl (Foreign Registered)     878,156  

    
Shares

   

Description

  Value ($)  
          Thailand — continued  
    652,400     Thanachart Capital Pcl NVDR     750,077  
    70,700     Tipco Asphalt Pcl NVDR     49,026  
    14,200     Tisco Financial Group Pcl NVDR     33,593  
    106,000     TTW Pcl NVDR     45,664  
    204,300     Univentures Pcl NVDR     21,500  
     

 

 

 
    Total Thailand     5,205,653  
     

 

 

 
          Turkey — 0.7%  
    419,519     Akbank TAS *     351,111  
    72,542     Arcelik AS *     167,568  
    713,056     Enerjisa Enerji AS     848,911  
    2,148,414     Eregli Demir ve Celik Fabrikalari TAS     2,533,287  
    125,152     Haci Omer Sabanci Holding AS     152,170  
    20,352     Is Yatirim Menkul Degerler AS     17,193  
        2,254,120     KOC Holding AS     5,329,524  
    391,243     Selcuk Ecza Deposu Ticaret ve Sanayi AS     469,417  
    427,677     TAV Havalimanlari Holding AS     1,276,528  
    171,942     Tofas Turk Otomobil Fabrikasi AS     561,565  
    81,390     Turk Telekomunikasyon AS *     88,262  
    1,475,845     Turkiye Garanti Bankasi AS *     1,692,519  
    4,033,683     Turkiye Is Bankasi – Class C *     2,937,470  
    564,526     Turkiye Sinai Kalkinma Bankasi AS *     91,048  
    1,520,735     Turkiye Vakiflar Bankasi TAO – Class D *     1,040,009  
    13,496     Vestel Beyaz Esya Sanayi ve Ticaret AS     45,756  
    65,170     Yapi ve Kredi Bankasi AS *     22,255  
     

 

 

 
    Total Turkey     17,624,593  
     

 

 

 
          United Arab Emirates — 0.1%  
    26,248     Abu Dhabi Commercial Bank PJSC     31,489  
    31,478     Abu Dhabi Islamic Bank PJSC     29,134  
    46,075     Al Waha Capital PJSC *     8,261  
    116,564     Dubai Islamic Bank PJSC     112,295  
    19,622     Emaar Development PJSC *     10,365  
    75,698     Emaar Malls PJSC *     27,246  
    2,914,809     Emaar Properties PJSC *     1,988,833  
    13,770     Emirates NBD Bank PJSC     32,303  
     

 

 

 
    Total United Arab Emirates     2,239,926  
     

 

 

 
          United Kingdom — 5.0%  
    907,040     3i Group Plc     9,282,151  
    88,449     888 Holdings Plc     167,756  
    34,066     Aggreko Plc     199,653  
    52,401     Alliance Pharma Plc     48,899  
    81,195     Anglo American Plc     1,718,820  
    38,055     Ashtead Group Plc     1,136,408  
    37,697     Avast Plc     235,173  
    57,145     AVEVA Group Plc     2,903,413  
    76,162     BAE Systems Plc     470,058  
    14,675     Bank of Georgia Group Plc     167,887  
    884,538     Barratt Developments Plc     5,471,400  
    82,483     Bellway Plc     2,633,003  
    84,165     Berkeley Group Holdings Plc (The)     4,287,504  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          United Kingdom — continued  
    27,304     Biffa Plc     84,851  
    172,490     British American Tobacco Plc     6,841,023  
    166,500     British American Tobacco Plc Sponsored ADR     6,673,320  
    3,490     Burberry Group Plc     65,170  
    637,317     Centamin Plc     1,297,330  
    51,430     CMC Markets Plc     125,787  
    81,735     Coca-Cola HBC AG     2,069,744  
    99,005     Compass Group Plc     1,451,353  
    65,798     Computacenter Plc     1,310,698  
    7,198     Cranswick Plc     328,719  
    45,304     Daily Mail & General Trust Plc     404,091  
    9,342     Dart Group Plc     102,314  
    18,315     Derwent London Plc (REIT)     668,413  
    9,900     Diageo Plc Sponsored ADR     1,392,039  
           162,324     Dixons Carphone Plc     152,046  
    92,413     Dunelm Group Plc     1,221,925  
    245,785     Electrocomponents Plc     1,941,011  
    17,884     EMIS Group Plc     250,192  
    19,691     Ferguson Plc     1,552,990  
    795,533     Ferrexpo Plc     1,733,019  
    125,130     Frasers Group Plc *     475,244  
    17,315     Galliford Try Holdings Plc     25,175  
    6,134     Games Workshop Group Plc     607,001  
    18,813     Gem Diamonds Ltd *     7,447  
    80,388     GlaxoSmithKline Plc     1,665,053  
    41,500     GlaxoSmithKline Plc Sponsored ADR (a)     1,739,680  
    27,569     Go-Ahead Group Plc (The)     371,675  
    20,308     Great Portland Estates Plc (REIT)     163,872  
    27,101     Greggs Plc     620,910  
    31,785     Halma Plc     922,395  
    2,489     Hikma Pharmaceuticals Plc     79,274  
    38,233     Howden Joinery Group Plc     280,442  
    135,814     Ibstock Plc     308,993  
    220,507     IG Group Holdings Plc     2,085,196  
    27,729     IMI Plc     309,702  
    31,765     Imperial Brands Plc     579,399  
    123,081     Inchcape Plc     765,216  
    127,082     Indivior Plc *     96,637  
    76,120     Intermediate Capital Group Plc     1,197,042  
    1,338,645     International Consolidated Airlines Group SA (a)     3,804,829  
    32,655     International Personal Finance Plc     17,195  
    496,540     J Sainsbury Plc     1,190,621  
    329,592     JD Sports Fashion Plc     2,702,132  
    160,537     John Laing Group Plc     705,011  
    58,538     Jupiter Fund Management Plc     181,471  
    248,220     Kingfisher Plc     602,426  
    925,432     Legal & General Group Plc     2,284,827  
    225,461     LondonMetric Property Plc (REIT)     586,491  
    51,972     Lookers Plc     16,159  
    180,913     Meggitt Plc     625,345  
    84,611     Mitchells & Butlers Plc *     190,101  

    
Shares

   

Description

  Value ($)  
          United Kingdom — continued  
    11,627     Mondi Plc     218,766  
    18,252     Moneysupermarket.com Group Plc     77,903  
    103,153     Morgan Advanced Materials Plc     272,596  
    19,072     Morgan Sindall Group Plc     289,152  
    204,452     National Express Group Plc     551,475  
    25,447     Next Plc     1,538,936  
    33,029     Numis Corp Plc     124,910  
    76,178     OneSavings Bank Plc     263,016  
    79,944     Paragon Banking Group Plc     349,936  
    88,572     Pennon Group Plc     1,255,453  
    357,572     Persimmon Plc     10,199,359  
    314,397     Pets at Home Group Plc     894,848  
    184,077     Plus500 Ltd     3,005,358  
           639,863     QinetiQ Group Plc     2,348,621  
    15,424     Redrow Plc     89,761  
    105,061     Regional REIT Ltd     100,752  
    83,324     Royal Dutch Shell Plc – A Shares (a)     1,330,330  
    26,148     Royal Dutch Shell Plc – B Shares     399,198  
    23,700     Royal Dutch Shell Plc – Class B Sponsored ADR     721,428  
    12,791     RPS Group Plc     6,789  
    342,706     Sirius Real Estate Ltd     339,544  
    33,500     Smith & Nephew Plc Sponsored ADR     1,367,135  
    72,081     Smiths Group Plc *     1,175,256  
    54,585     Softcat Plc     777,391  
    381,635     Spirent Communications Plc     1,185,213  
    68,769     Stock Spirits Group Plc     206,894  
    618,436     Tate & Lyle Plc     5,158,659  
    66,136     TI Fluid Systems Plc     156,583  
    98,250     UK Commercial Property REIT Ltd     75,169  
    14,597     Ultra Electronics Holdings Plc     356,544  
    21,029     UNITE Group Plc (The) (REIT) *     226,023  
    22,850     United Utilities Group Plc     260,130  
    50,775     Vectura Group Plc     57,320  
    42,659     Vesuvius Plc     194,510  
    40,435     Vistry Group Plc     384,185  
    419,339     WM Morrison Supermarkets Plc (a)     972,888  
     

 

 

 
    Total United Kingdom     120,527,152  
     

 

 

 
          United States — 8.0%  
    9,500     1-800-Flowers.com, Inc. – Class A *     210,330  
    3,300     1st Source Corp.     114,147  
    10,000     3M Co. (a)     1,564,400  
    150,803     ACCO Brands Corp.     933,471  
    62,800     Acushnet Holdings Corp. (c)     2,098,776  
    4,100     Adtalem Global Education, Inc. *     137,186  
    31,000     ADTRAN, Inc.     353,400  
    3,300     Allied Motion Technologies, Inc.     119,427  
    80,100     Allscripts Healthcare Solutions, Inc. *     506,232  
    28,400     Alpha & Omega Semiconductor Ltd. *     298,768  
    6,400     Amalgamated Bank – Class A     71,872  
    23,200     American Equity Investment Life Holding Co.     503,208  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          United States — continued  
    17,000     American Express Co. (a)     1,616,190  
    5,200     American Public Education, Inc. *     163,436  
    5,900     American Vanguard Corp.     78,470  
    73,200     Amkor Technology, Inc. * (a)     774,456  
    18,300     AngioDynamics, Inc. *     186,843  
    30,600     Applied Materials, Inc.     1,719,108  
    9,200     ArcBest Corp.     205,988  
    11,600     Arcosa, Inc.     442,772  
    7,500     Arcus Biosciences, Inc. *     235,125  
    18,500     Ares Commercial Real Estate Corp. (REIT)     137,825  
    55,900     Arlo Technologies, Inc. *     123,539  
    17,300     Armada Hoffler Properties, Inc.(REIT)     149,126  
    17,900     Artisan Partners Asset Management, Inc. – Class A     518,563  
    1,300     Arvinas, Inc. *     43,251  
    4,300     AutoNation, Inc. *     169,764  
    12,700     Avista Corp. (a)     497,459  
    9,000     Avnet, Inc.     245,160  
    14,700     Axcelis Technologies, Inc. *     394,695  
    10,100     AZZ, Inc.     319,766  
    11,000     Bancorp, Inc. (The) *     96,800  
    6,000     BankFinancial Corp.     54,480  
    57,600     Benchmark Electronics, Inc.     1,220,544  
    4,700     Berry Corp.     19,928  
    25,700     Big Lots, Inc.     995,875  
    89,600     Bloomin’ Brands, Inc.     1,022,336  
    6,000     Boise Cascade Co.     204,180  
    1,000     Booking Holdings, Inc. * (a)     1,639,420  
    58,500     BorgWarner, Inc. (a)     1,880,775  
    28,800     Boston Private Financial Holdings, Inc.     197,856  
    50,700     Brady Corp. – Class A (c)     2,592,291  
    1,400     Bridge Bancorp, Inc.     29,820  
    44,800     Brightsphere Investment Group, Inc. *     374,080  
    68,000     Brinker International, Inc. *     1,791,800  
    16,500     Brookline Bancorp, Inc.     153,450  
           103,300     Builders FirstSource, Inc. * (c)     2,149,673  
    4,100     Camden National Corp.     137,514  
    4,200     Carpenter Technology Corp. (a)     98,154  
    6,400     Carriage Services, Inc.     119,808  
    39,500     Cars.com, Inc. *     243,715  
    7,300     Cato Corp. (The) – Class A     70,810  
    16,900     CBIZ, Inc. *     382,785  
    30,400     Cedar Realty Trust, Inc. (REIT)     22,633  
    3,700     Central Garden & Pet Co. *     135,753  
    11,500     Central Garden & Pet Co. – Class A *     393,990  
    2,100     Century Bancorp, Inc. – Class A     158,340  
    4,100     Cerence, Inc. *     122,631  
    900     CEVA, Inc. *     31,023  
    40,200     Charles Schwab Corp. (The)     1,443,582  
    19,300     Chevron Corp.     1,769,810  
    2,700     Civista Bancshares, Inc.     41,148  
    9,221     Clarus Corp. (a)     96,820  

    
Shares

   

Description

  Value ($)  
          United States — continued  
    2,000     CNB Financial Corp.     35,440  
    1,200     Community Trust Bancorp, Inc.     39,408  
    17,200     Computer Programs & Systems, Inc.     380,464  
    48,400     Comtech Telecommunications Corp. (a)     862,004  
    18,000     Consolidated Communications Holdings, Inc. *     109,080  
    15,200     Cooper Tire & Rubber Co.     391,096  
    22,800     Core-Mark Holding Co., Inc.     637,944  
           146,100     CoreCivic, Inc. (REIT) (c)     1,757,583  
    80,500     CorePoint Lodging, Inc. (REIT)     318,780  
    53,500     Corteva, Inc.     1,461,085  
    7,715     CRA International, Inc.     311,609  
    16,500     CSG Systems International, Inc.     781,275  
    6,400     CTS Corp.     136,576  
    17,800     Curo Group Holdings Corp.     119,082  
    14,700     Cushman & Wakefield Plc *     150,675  
    16,400     CytomX Therapeutics, Inc. *     145,304  
    12,000     Dana, Inc. *     151,680  
    25,700     Deluxe Corp.     599,581  
    44,400     Designer Brands, Inc. – Class A     272,172  
    37,800     DHI Group, Inc. *     100,926  
    700     Diamond Hill Investment Group, Inc.     73,472  
    43,900     Dick’s Sporting Goods, Inc. *     1,583,034  
    34,600     Digi International, Inc. * (a)     385,098  
    17,740     Dime Community Bancshares, Inc.     255,988  
    43,700     Donnelley Financial Solutions, Inc. *     356,155  
    3,900     Douglas Dynamics, Inc.     142,506  
    23,000     DSP Group, Inc. *     414,460  
    9,500     Ducommun, Inc. *     305,900  
    59,000     Ellington Financial, Inc.     601,800  
    10,100     Emergent BioSolutions, Inc. * (a)     843,249  
    12,600     Employers Holdings, Inc.     376,614  
    10,100     Enanta Pharmaceuticals, Inc. * (a)     520,049  
    23,100     Encore Capital Group, Inc. * (a)     733,887  
    4,600     Encore Wire Corp.     222,134  
    13,800     Ennis, Inc.     245,640  
    70,234     Enova International, Inc. *     993,811  
    5,000     EnPro Industries, Inc.     225,400  
    38,300     EOG Resources, Inc. (a)     1,952,151  
    4,300     ePlus, Inc. *     316,953  
    1,800     Escalade, Inc.     18,144  
    1,900     ESSA Bancorp, Inc. (a)     27,265  
    45,100     Essent Group Ltd. (c)     1,490,555  
    52,200     Ethan Allen Interiors, Inc.     589,860  
    3,500     EVERTEC, Inc.     101,920  
    9,667     Evofem Biosciences, Inc. * (a)     52,782  
    12,700     Evolution Petroleum Corp.     30,988  
    71,700     Federal Signal Corp. (c)     2,089,338  
    49,600     Federated Investors, Inc. – Class B     1,098,144  
    5,550     FedNat Holding Co.     67,654  
    20,200     Ferro Corp. *     242,804  
    5,800     Financial Institutions, Inc.     102,602  
    21,200     First American Financial Corp. (a)     1,070,388  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          United States — continued  
    17,600     First Commonwealth Financial Corp.     143,968  
    3,800     First Community Bankshares, Inc.     81,206  
    24,600     First Defiance Financial Corp.     408,606  
    2,535     First Financial Corp.     88,978  
    1,800     First Financial Northwest, Inc.     17,586  
             64,600     Flagstar Bancorp, Inc. (a)(c)     1,892,780  
    8,900     Flushing Financial Corp. (a)     100,926  
    7,700     Focus Financial Partners, Inc. – Class A * (a)     214,368  
    2,600     FONAR Corp. *     62,140  
    26,400     FormFactor, Inc. *     664,488  
    20,800     Fulton Financial Corp. (a)     233,168  
    8,400     FutureFuel Corp.     109,872  
    30,700     Garrett Motion, Inc. *     158,719  
    13,500     Genesco, Inc. * (a)     249,615  
    19,900     Genie Energy Ltd. – Class B (a)     171,339  
    4,700     Gentherm, Inc. *     191,290  
    63,700     GEO Group, Inc. (REIT)     763,126  
    1,000     German American Bancorp, Inc.     30,980  
    8,700     Gibraltar Industries, Inc. * (a)     382,887  
    71,000     Glu Mobile, Inc. *     708,580  
    9,300     Gorman-Rupp Co. (The)     285,138  
    2,585     Great Southern Bancorp, Inc.     104,848  
    31,300     Greif, Inc. – Class A     1,063,574  
    45,100     Griffon Corp. (a)     757,680  
    28,200     Group 1 Automotive, Inc. * (a)(c)     1,774,908  
    30,800     H&R Block, Inc. (a)     523,600  
    1,900     Hackett Group, Inc. (The)     26,201  
    18,900     Hasbro, Inc. (a)     1,389,339  
    34,100     Haverty Furniture Cos, Inc.     589,930  
    800     Hawkins, Inc.     34,320  
    11,200     HealthStream, Inc. *     255,136  
    7,700     Heidrick & Struggles International, Inc.     170,786  
    60,730     Herman Miller, Inc. * (c)     1,398,005  
    14,700     Hibbett Sports, Inc. *     284,004  
    3,400     Hill-Rom Holdings, Inc.     345,678  
    50,300     Hilltop Holdings, Inc. (a)     940,107  
    12,600     Hilton Worldwide Holdings, Inc. *     999,306  
    14,700     HNI Corp.     374,409  
    1,200     HomeStreet, Inc.     28,584  
    7,400     Home Depot, Inc. (The) (a)     1,838,752  
    9,161     Honeywell International, Inc.     1,336,132  
    6,700     Hub Group, Inc. – Class A *     313,359  
    1,600     Hurco Cos, Inc.     50,016  
    3,900     Huron Consulting Group, Inc. *     180,414  
    12,700     Hyster-Yale Materials Handling, Inc. (a)     464,947  
    12,500     IDT Corp. – Class B *     79,250  
    9,700     Illinois Tool Works, Inc. (a)     1,672,862  
    400     Independence Holding Co.     11,620  
    7,946     Independent Bank Corp.     109,814  
    12,200     Information Services Group, Inc. *     20,984  
    9,900     Ingles Markets, Inc. – Class A     421,839  
    22,705     Innospec, Inc.     1,750,328  

    
Shares

   

Description

  Value ($)  
          United States — continued  
    5,100     Innoviva, Inc. *     71,247  
    6,200     Inogen, Inc. *     235,600  
    43,700     Insight Enterprises, Inc. * (a)(c)     2,240,062  
    14,300     Integer Holdings Corp. *     1,132,274  
    16,600     Inter Parfums, Inc. *     770,406  
    16,700     Intercontinental Exchange, Inc.     1,624,075  
    19,500     Interface, Inc.     165,555  
    30,500     International Bancshares Corp. (c)     938,790  
    4,800     International Seaways, Inc.     108,864  
    16,200     INTL. FCStone, Inc. *     826,362  
           173,600     Investors Bancorp, Inc.     1,506,848  
    44,400     iStar, Inc. (REIT)     485,292  
    408     Janus Henderson Group Plc CDI     8,905  
    2,700     John B. Sanfilippo & Son, Inc.     234,738  
    9,600     Johnson Outdoors, Inc. – Class A (a)     745,056  
    16,900     Kelly Services, Inc. – Class A     253,331  
    5,200     Kforce, Inc.     157,040  
    10,100     Kimball Electronics, Inc. *     143,319  
    32,900     Kimball International, Inc. – Class B     368,151  
    31,500     Knoll, Inc.     332,640  
    16,100     Koppers Holdings, Inc. *     266,777  
    13,100     Kronos Worldwide, Inc.     127,856  
    27,300     La-Z-Boy, Inc. (a)     702,156  
    1,100     Lakeland Financial Corp.     46,959  
    18,600     Lantheus Holdings, Inc. *     255,378  
    319,100     Laredo Petroleum, Inc. * (a)     270,756  
    19,800     Las Vegas Sands Corp. *     949,212  
    3,000     LCNB Corp.     44,610  
    89,300     Liberty TripAdvisor Holdings, Inc. – Class A *     212,087  
    16,800     Luminex Corp. (a)     523,488  
    56,500     Lyft, Inc. – Class A *     1,766,190  
    4,800     Macatawa Bank Corp.     35,472  
    5,800     Malibu Boats, Inc. – Class A *     273,354  
    4,200     ManTech International Corp. – Class A     326,508  
    15,400     Marchex, Inc. – Class B *     23,870  
    1,542     Markel Corp. *     1,383,822  
    6,600     Marten Transport Ltd.     168,894  
    19,200     Materion Corp. (c)     1,008,000  
    18,877     Matrix Service Co. *     208,025  
    39,300     MDC Holdings, Inc.     1,335,807  
    53,400     MDC Partners Inc – Class A *     70,221  
    3,000     Mercantile Bank Corp.     68,820  
    21,100     Meridian Bioscience, Inc. *     326,206  
    74,000     Meritor, Inc. * (c)     1,508,120  
    9,600     Methode Electronics, Inc.     300,960  
    86,600     MFA Financial, Inc. (REIT)     146,354  
    3,900     MicroStrategy, Inc. – Class A *     485,472  
    4,800     Miller Industries, Inc.     142,224  
    4,100     Minerals Technologies, Inc.     202,171  
    37,100     Modine Manufacturing Co. *     198,485  
    29,200     Moog, Inc. – Class A *     1,585,268  
    25,000     Movado Group, Inc. * (a)     262,500  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          United States — continued  
    14,500     Mueller Industries, Inc. (a)     388,310  
    23,200     Mueller Water Products, Inc. – Class A     216,688  
    12,600     National General Holdings Corp.     255,780  
    2,000     National Presto Industries, Inc. (a)     179,980  
    11,400     Natus Medical, Inc. *     243,960  
    33,400     Navient Corp.     248,496  
    5,200     Neenah, Inc.     262,912  
    18,900     NETGEAR, Inc. * (a)     486,297  
    4,200     NetScout Systems, Inc. *     115,374  
           212,900     Newmark Group, Inc. – Class A (a)     904,825  
    3,800     NextGen Healthcare, Inc. *     39,216  
    4,500     NIC, Inc.     108,270  
    675     Nicolet Bankshares, Inc. *     37,739  
    942     Northrim BanCorp, Inc.     21,732  
    53,600     Northwest Bancshares, Inc. (a)     533,856  
    4,600     O’Reilly Automotive, Inc. * (a)     1,919,304  
    396,700     Office Depot, Inc. (a)     979,849  
    55,300     OFG Bancorp     671,895  
    7,200     Olympic Steel, Inc. (a)     79,416  
    8,400     OneSpan, Inc. *     170,688  
    13,006     Oppenheimer Holdings, Inc. – Class A     275,467  
    23,200     OraSure Technologies, Inc. *     337,328  
    34,000     Owens & Minor, Inc.     269,620  
    2,400     Oxford Immunotec Global Plc *     29,400  
    14,000     Pacira BioSciences, Inc. * (a)     615,300  
    2,500     Park National Corp.     187,175  
    4,600     Park-Ohio Holdings Corp. (a)     67,114  
    55,300     Patterson Cos., Inc.     1,088,857  
    17,300     PC Connection, Inc. (a)     748,744  
    83,400     PDL BioPharma, Inc. * (a)     272,718  
    21,200     Penn Virginia Corp. * (a)     186,136  
    600     Penns Woods Bancorp, Inc.     12,876  
    64,300     PennyMac Financial Services, Inc. (a)     2,159,194  
    138,400     PennyMac Mortgage Investment Trust (REIT) (a)     1,523,784  
    2,400     Peoples Bancorp, Inc.     53,928  
    32,900     Perdoceo Education Corp. * (a)     535,612  
    6,200     Phibro Animal Health Corp. – Class A     162,440  
    28,600     Photronics, Inc. *     342,914  
    3,800     Piper Sandler Cos.     226,632  
    500     Plexus Corp. *     32,110  
    54,000     PolyOne Corp. (a)     1,338,120  
    11,200     Portland General Electric Co.     527,632  
    8,900     PRA Group, Inc. * (a)     303,668  
    400     Preformed Line Products Co.     19,852  
    2,900     Premier Financial Bancorp, Inc.     38,454  
    42,900     Prestige Consumer Healthcare, Inc. * (a)     1,810,380  
    2,000     Principia Biopharma, Inc. *     127,780  
    38,300     Progress Software Corp.     1,547,320  
    3,600     Protective Insurance Corp. – Class B     49,752  
    700     Providence Service Corp. (The) *     56,350  
    11,800     Quanex Building Products Corp.     146,320  

    
Shares

   

Description

  Value ($)  
          United States — continued  
    35,800     Qurate Retail, Inc. – Series A *     294,813  
           120,300     Radian Group, Inc. (c)     1,910,364  
    25,958     Raytheon Technologies Corp. (a)     1,674,810  
    12,600     Realogy Holdings Corp. (a)     76,356  
    1,400     Regional Management Corp. *     22,204  
    12,800     Reliance Steel & Aluminum Co.     1,241,600  
    8,000     Renewable Energy Group, Inc. *     227,600  
    13,600     Rent-A-Center, Inc. (a)     346,256  
    2,600     Republic Bancorp, Inc. – Class A     83,330  
    8,000     Resideo Technologies, Inc. *     56,480  
    26,200     Resources Connection, Inc.     287,938  
    62,900     Retail Properties of America, Inc. – Class A (REIT)     340,918  
    3,665     Riverview Bancorp, Inc.     18,325  
    8,600     Rocky Brands, Inc.     178,364  
    21,000     RTI Surgical Holdings, Inc. * (a)     57,120  
    5,500     Rush Enterprises, Inc. – Class A     228,910  
    4,800     Ryerson Holding Corp. *     23,952  
    1,800     Safety Insurance Group, Inc.     137,232  
    55,900     Sally Beauty Holdings, Inc. *     728,936  
    5,800     Sandy Spring Bancorp, Inc.     140,650  
    91,700     Sanmina Corp. * (c)     2,440,137  
    12,700     Scholastic Corp.     373,380  
    49,300     Schweitzer-Mauduit International, Inc. (a)     1,498,227  
    13,700     Sciplay Corp. – Class A *     192,074  
    22,400     Select Medical Holdings Corp. *     361,536  
    3,700     Seneca Foods Corp. – Class A *     134,939  
    47,800     Sensata Technologies Holding Plc *     1,704,070  
    24,400     Shoe Carnival, Inc.     634,156  
    8,500     Sierra Bancorp     160,140  
    37,300     Signet Jewelers Ltd.     393,515  
    16,100     Skyworks Solutions, Inc. (c)     1,908,494  
    6,300     Sleep Number Corp. *     196,371  
    46,900     Sonic Automotive, Inc. – Class A (a)     1,232,532  
    61,100     Southwestern Energy Co. *     183,911  
    16,800     SpartanNash Co.     359,688  
    37,200     Spok Holdings, Inc.     382,044  
    21,300     SPX Corp. *     851,574  
    500     Stamps.com, Inc. *     99,075  
    7,100     Standard Motor Products, Inc.     302,105  
    4,000     Star Group LP     31,600  
    71,200     Steelcase, Inc. – Class A     824,496  
    9,200     Stepan Co.     893,872  
    36,000     Stoneridge, Inc. *     740,880  
    171,000     Summit Hotel Properties, Inc. (REIT)     1,068,750  
    86,000     Sunstone Hotel Investors, Inc. (REIT) (c)     761,100  
    1,200     Surmodics, Inc. *     44,376  
    32,000     Sykes Enterprises, Inc. * (a)     872,320  
    1,300     Synaptics, Inc. *     82,836  
    10,500     Systemax, Inc.     220,395  
    4,200     Talos Energy, Inc. * (a)     51,030  
    190,136     TEGNA, Inc.     2,228,394  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          United States — continued  
    64,200     Telephone & Data Systems, Inc. (c)     1,315,458  
    3,300     Tennant Co.     211,002  
    37,200     Terex Corp.     584,784  
    3,800     Territorial Bancorp, Inc.     96,634  
    17,100     Third Point Reinsurance Ltd. *     126,198  
    700     Timberland Bancorp, Inc.     12,579  
    2,200     Towne Bank/Portsmouth VA     41,492  
    7,000     Translate Bio, Inc. * (a)     145,040  
    28,300     Tredegar Corp.     433,273  
    57,800     TRI Pointe Group, Inc. * (a)     827,696  
    27,500     Tribune Publishing Co.     261,250  
    11,800     TriCo Bancshares     334,766  
    5,900     TriMas Corp. *     139,535  
    2,300     Triple-S Management Corp. – Class B *     45,770  
    12,200     TrueBlue, Inc. *     188,612  
    4,900     TrustCo Bank Corp. NY     30,870  
    41,300     UFP Industries, Inc.     1,888,649  
    5,000     Umpqua Holdings Corp.     56,950  
    20,000     Unisys Corp. *     227,200  
    8,000     United States Cellular Corp. *     252,080  
    2,000     Unitil Corp.     96,340  
    39,800     Universal Corp. (c)     1,753,588  
    1,500     Universal Electronics, Inc. *     67,860  
    9,100     Universal Insurance Holdings, Inc.     162,526  
    1,800     Univest Financial Corp.     29,592  
    41,500     US Bancorp     1,475,740  
    800     USANA Health Sciences, Inc. *     67,776  
    33,700     Valvoline, Inc. (a)     618,395  
    21,700     Vanda Pharmaceuticals, Inc. *     254,324  
    1,200     Vapotherm, Inc. * (a)     31,956  
    11,000     Varex Imaging Corp. *     206,360  
    23,100     Vectrus, Inc. *     1,268,652  
    45,800     Vera Bradley, Inc. *     240,450  
    11,000     Veritiv Corp. *     137,060  
    32,281     Verso Corp. – Class A *     464,201  
    27,300     VF Corp. (a)     1,531,530  
    3,200     Village Super Market, Inc. – Class A     76,576  
    3,853     Vishay Precision Group, Inc. *     91,008  
    9,200     Vista Outdoor, Inc. *     89,332  
    51,500     Waddell & Reed Financial, Inc. – Class A (a)     671,560  
    30,600     Walker & Dunlop, Inc. (c)     1,239,300  
    1,000     Washington Trust Bancorp, Inc.     31,970  
    19,600     Waterstone Financial, Inc.     292,040  
    4,700     Weis Markets, Inc.     261,931  
    10,400     Westwood Holdings Group, Inc.     184,392  
    3,900     Weyco Group, Inc.     72,813  
    15,100     Wolverine World Wide, Inc.     316,194  
    83,200     World Fuel Services Corp. (c)     2,119,936  
    16,600     Worthington Industries, Inc.     496,672  
    18,700     WW International, Inc. *     446,930  
           135,104     Xenia Hotels & Resorts, Inc. (REIT) *     1,215,936  
    41,900     Xperi Corp.     576,125  

    
Shares

   

Description

  Value ($)  
          United States — continued  
    31,400     Zumiez, Inc. *     765,218  
     

 

 

 
    Total United States     191,598,015  
     

 

 

 
          Vietnam — 0.0%  
    71,230     Kinh Bac City Development Share Holding Corp     43,150  
    13,660     PetroVietnam Gas JSC     43,973  
           142,000     PetroVietnam Technical Services Corp     77,331  
    10,220     Pha Lai Thermal Power JSC     10,607  
    20,810     Vinh Hoan Corp     30,174  
     

 

 

 
    Total Vietnam     205,235  
     

 

 

 
   

TOTAL COMMON STOCKS
(COST $1,675,879,601)

    1,558,027,510  
     

 

 

 
          PREFERRED STOCKS (e) — 1.4%  
          Brazil — 0.4%  
    289,300     Banco do Estado do Rio Grande do Sul SA – Class B     679,838  
    75,300     Bradespar SA     497,409  
    287,900     Cia Paranaense de Energia – Class B     3,415,114  
    500     Randon SA Implementos e Participacoes     825  
    434,400     Telefonica Brasil SA     3,837,418  
     

 

 

 
    Total Brazil     8,430,604  
     

 

 

 
          Colombia — 0.0%  
    2,263     Banco Davivienda SA     14,864  
    239,237     Grupo Aval Acciones y Valores SA     53,941  
     

 

 

 
    Total Colombia     68,805  
     

 

 

 
          Germany — 0.1%  
    4,437     Draegerwerk AG & Co KGaA     352,419  
    26,852     Henkel AG & Co KGaA     2,401,490  
    41,026     Schaeffler AG     315,991  
    2,328     Sixt SE     128,470  
    1,897     Villeroy & Boch AG     25,107  
     

 

 

 
    Total Germany     3,223,477  
     

 

 

 
          Russia — 0.3%  
    28,185     Bashneft PJSC     572,260  
    56,000     Nizhnekamskneftekhim PJSC     66,908  
    39,510     Sberbank of Russia PJSC     102,729  
    10,468,200     Surgutneftegas PJSC     5,280,349  
    101     Transneft PJSC     185,366  
     

 

 

 
    Total Russia     6,207,612  
     

 

 

 
          South Korea — 0.6%  
    1,464     Hyundai Motor Co Ltd Prf     66,830  
    2,278     Hyundai Motor Co Ltd-2nd Prf     111,181  
    22,409     LG Electronics Inc     390,123  
           384,873     Samsung Electronics Co Ltd     13,399,839  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares /
Par Value†

   

Description

  Value ($)  
          South Korea — continued  
    1,780     Samsung Electronics Co Ltd GDR (Registered)     1,549,119  
     

 

 

 
    Total South Korea     15,517,092  
     

 

 

 
          Taiwan — 0.0%  
             20,463     CTBC Financial Holding Co Ltd     44,969  
     

 

 

 
   

TOTAL PREFERRED STOCKS
(COST $33,800,060)

    33,492,559  
     

 

 

 
          RIGHTS/WARRANTS — 0.0%  
          Singapore — 0.0%  
    60,875     Asian Pay Television Trust *      
     

 

 

 
   

TOTAL RIGHTS/WARRANTS
(COST $0)

     
     

 

 

 
          INVESTMENT FUNDS — 0.6%  
          United States — 0.6%  
    308,705     iShares Core MSCI Emerging Markets ETF     13,904,073  
     

 

 

 
   

TOTAL INVESTMENT FUNDS
(COST $13,728,239)

    13,904,073  
     

 

 

 
          DEBT OBLIGATIONS — 7.7%  
          United States — 7.7%  
          Asset-Backed Securities — 0.2%  
    94,406     AMMC CLO XIII Ltd., Series 13-13A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.95%, 1.97%, due 07/24/29     94,498  
    119,570     Apidos CLO XII, Series 13-12A, Class XR, 144A, Variable Rate, 3 mo. LIBOR + 0.60%, 1.82%, due 04/15/31     119,542  
    54,250     Apidos CLO XV, Series 13-15A, Class XRR, 144A, Variable Rate, 3 mo. LIBOR + 0.60%, 1.74%, due 04/20/31     54,249  
    57,307     Atlas Senior Loan Fund III Ltd., Series 13-1A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.60%, 0.99%, due 11/17/27     57,302  
    161,738     Atlas Senior Loan Fund XI Ltd., Series 18-11A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.75%, 1.74%, due 07/26/31     161,726  
    140,348     Avery Point IV CLO Ltd., Series 14-1A, Class AR, 144A, Variable Rate, 3 mo. LIBOR + 1.10%, 2.09%, due 04/25/26     140,673  
    103,345     Babson CLO Ltd., Series 14-IA, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.15%, 2.29%, due 07/20/25     103,410  
    86,800     Barings CLO Ltd., Series 18-2A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.60%,
1.82%, due 04/15/30
    86,799  
           467,082     Bayview Commercial Asset Trust, Series 07-5A, Class A3, 144A, Variable Rate, 1 mo. LIBOR + 1.00%, 1.17%, due 10/25/37     462,594  
    
Par Value†
   

Description

  Value ($)  
          United States — continued  
          Asset-Backed Securities — continued  
    168,186     Bayview Commercial Mortgage Pass-Through Trust, Series 06-SP1, Class M3, 144A, Variable Rate, 1 mo. LIBOR + 0.86%, 1.02%, due 04/25/36     168,057  
    233,662     Canyon Capital CLO Ltd., Series 16-1A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.70%, 1.92%, due 07/15/31     233,661  
    82,612     Catamaran CLO Ltd., Series 14-1A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.60%, 1.70%, due 04/22/30     82,607  
    2,571,735     Crest G-Star LP, Series 01-1A, Class D, 144A, 9.00%, due 11/28/35     3  
    91,547     Crown Point CLO Ltd., Series 18-4A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.60%, 1.74%, due 04/20/31     91,401  
    38,426     CVP Cascade CLO-1 Ltd., Series 13-CLO1, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.15%, 2.33%, due 01/16/26     38,311  
    428,000     Elevation CLO Ltd, Series 16-5A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.80%, 1.79%, due 10/25/31     424,472  
    209,622     Galaxy XXVII CLO Ltd., Series 18-27A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.60%, 0.99%, due 05/16/31     208,247  
    72,286     Greywolf CLO V Ltd., Series 15-1A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.65%, 1.64%, due 01/27/31     72,161  
    447,255     KeyCorp Student Loan Trust, Series 00-B, Class A2, Variable Rate, 3 mo. LIBOR + 0.31%, 1.30%, due 07/25/29     439,816  
    77,306     Kingsland VIII Ltd., Series 18-8A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.70%, 1.84%, due 04/20/31     77,189  
           227,164     LCM XVIII LP, Series 18A, Class XR, 144A, Variable Rate, 3 mo. LIBOR + 0.60%,
1.74%, due 04/20/31
    225,923  
    132,071     LCM XXV Ltd., Series 25,A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.95%, 2.09%, due 07/20/30     131,732  
    45,775     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 06-1A, Class M2, 144A, Variable Rate, 1 mo. LIBOR + 0.43%, 0.92%, due 04/25/31     45,651  
    662,603     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 07-2A, Class 1A3, 144A, Variable Rate, 1 mo. LIBOR + 0.27%, 0.76%, due 06/25/37     644,227  
    399,280     Madison Park Funding XIII Ltd., Series 14-13A, Class XR, 144A, Variable Rate, 3 mo. LIBOR + 0.60%, 1.74%, due 04/19/30     397,307  
    185,877     Mountain View CLO LLC, Series 17-2A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.65%, 1.83%, due 01/16/31     185,009  
    151,753     Silvermore CLO Ltd., Series 14-1A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.17%, 1.56%, due 05/15/26     150,956  
    405,067     Telos CLO Ltd., Series 14-5A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.75%,
1.88%, due 04/17/28
    404,995  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares /
Par Value†

   

Description

  Value ($)  
          United States — continued  
          Asset-Backed Securities — continued  
    345,413     Telos CLO Ltd., Series 13-4A, Class XR, 144A, Variable Rate, 3 mo. LIBOR + 0.75%, 1.88%, due 01/17/30     342,751  
    191,606     Velocity Commercial Capital Loan Trust, Series 17-1, Class AFL, 144A, Variable Rate, 1 mo. LIBOR + 1.25%, 1.42%, due 05/25/47     190,217  
    111,001     Velocity Commercial Capital Loan Trust, Series 17-1, Class AFX, 144A, Variable Rate, 3.00%, due 05/25/47     110,666  
     

 

 

 
    Total Asset-Backed Securities     5,946,152  
     

 

 

 
          U.S. Government — 7.5%  
      65,000,000     U.S. Treasury Note, 1.50%, due 10/31/21 (c)     66,206,055  
    43,000,000     U.S. Treasury Note, 1.63%, due 12/31/21 (c)     43,977,578  
    25,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.15%, 0.28%, due 01/31/22 (c)     25,028,077  
    42,857,200     U.S. Treasury Note, 1.38%, due 01/31/22     43,709,322  
     

 

 

 
    Total U.S. Government     178,921,032  
     

 

 

 
    Total United States     184,867,184  
     

 

 

 
   

TOTAL DEBT OBLIGATIONS
(COST $186,184,504)

    184,867,184  
     

 

 

 
          MUTUAL FUNDS — 27.0%  
          United States — 27.0%  
          Affiliated Issuers — 27.0%  
    3,249,428     GMO Emerging Country Debt Fund, Class IV     80,780,779  
    8,560,809     GMO Emerging Markets Fund, Class VI     245,524,005  
    6,108,296     GMO Opportunistic Income Fund, Class VI     155,089,632  
    1,850,110     GMO SGM Major Markets Fund, Class VI     59,055,503  
    3,936,928     GMO Special Opportunities Fund, Class VI     97,950,761  
    1,969,795     GMO U.S. Treasury Fund (f)     9,927,770  
     

 

 

 
   

TOTAL MUTUAL FUNDS
(COST $625,999,719)

    648,328,450  
     

 

 

 
    TOTAL INVESTMENTS — 101.6%
(Cost $2,535,592,123)
    2,438,619,776  
     

 

 

 
          SECURITIES SOLD SHORT — (1.3)%  
          Common Stocks — (1.3)%  
          Austria — (0.1)%  
    (9,216   ANDRITZ AG *     (345,285
    (10,387   IMMOFINANZ AG *     (194,618
    (800   OMV AG     (26,435
    (1,601   Schoeller-Bleckmann Oilfield Equipment AG     (43,585
    (58,852   voestalpine AG     (1,149,355
     

 

 

 
    Total Austria     (1,759,278
     

 

 

 
          Brazil — (0.1)%  
    (81,200   Pagseguro Digital Ltd – Class A *     (2,576,476
    (5,800   StoneCo Ltd – Class A *     (183,744
     

 

 

 
    Total Brazil     (2,760,220
     

 

 

 

    
Shares

   

Description

  Value ($)  
          Canada — (0.0)%  
    (70,400   AltaGas Ltd     (755,719
     

 

 

 
          Denmark — (0.2)%      
    (332   AP Moller – Maersk A/S – Class A     (304,925
    (1,055   AP Moller – Maersk A/S – Class B     (1,040,149
    (21,542   Chr Hansen Holding A/S     (2,092,053
    (10,609   Jyske Bank A/S (Registered) *     (292,956
     

 

 

 
    Total Denmark     (3,730,083
     

 

 

 
          Finland — (0.1)%  
    (219,268   Nokia Oyj     (871,940
    (18,121   Nokian Renkaat Oyj     (422,104
     

 

 

 
    Total Finland     (1,294,044
     

 

 

 
          France — (0.0)%  
    (96,542   ArcelorMittal SA     (924,630
    (21,351   Electricite de France SA     (190,513
     

 

 

 
    Total France     (1,115,143
     

 

 

 
          Germany — (0.2)%  
    (430,371   Deutsche Bank AG (Registered) *     (3,602,690
    (47,182   thyssenkrupp AG *     (320,667
     

 

 

 
    Total Germany     (3,923,357
     

 

 

 
          Israel — (0.1)%  
    (10,100   Wix.com Ltd *     (2,245,533
     

 

 

 
          Japan — (0.3)%  
    (13,100   Coca-Cola Bottlers Japan Holdings Inc     (260,121
    (600   CyberAgent Inc     (30,341
    (59   Daiwa House REIT Investment Corp     (145,499
    (700   FANUC Corp     (125,089
    (2,000   Hitachi Metals Ltd     (23,043
    (9,600   Idemitsu Kosan Co Ltd     (213,732
    (8,500   IHI Corp     (122,580
    (26,700   Japan Lifeline Co Ltd     (361,373
    (22   Japan Real Estate Investment Corp     (119,745
    (55   Japan Retail Fund Investment Corp (REIT)     (72,538
    (101,400   JGC Holding Corp     (1,093,475
    (1,800   JINS Holdings Inc     (114,393
    (20,700   Kansai Paint Co Ltd     (429,083
    (12,900   Keikyu Corp     (216,430
    (11,100   Kobe Steel Ltd *     (41,414
    (46,400   Kyushu Electric Power Co Inc     (386,732
    (2,900   Maruichi Steel Tube Ltd     (74,398
    (9,600   Mitsubishi Materials Corp     (219,004
    (70,600   Mitsui OSK Lines Ltd     (1,254,555
    (600   Nidec Corp     (36,934
    (83,800   Nippon Yusen KK     (1,211,775
    (205,600   Orient Corp     (245,450
    (23   Orix JREIT Inc     (33,243
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares

   

Description

  Value ($)  
          Japan — continued  
    (48,500   Yamato Holdings Co Ltd     (1,079,024
    (7,200   Yaskawa Electric Corp     (259,720
     

 

 

 
    Total Japan     (8,169,691
     

 

 

 
          Netherlands — (0.0)%  
    (3,949   Just Eat Takeaway *     (430,501
     

 

 

 
          Norway — (0.0)%  
    (7,957   Aker BP ASA     (128,619
    (12,133   Wallenius Wilhelmsen ASA *     (18,188
     

 

 

 
    Total Norway     (146,807
     

 

 

 
          Singapore — (0.0)%  
    (134,600   Singapore Post Ltd     (73,603
     

 

 

 
          Spain — (0.1)%  
    (28,639   Cellnex Telecom SA     (1,606,883
     

 

 

 
          Sweden — (0.0)%  
    (19,581   Lundin Energy AB     (477,745
    (9,801   Tele2 AB-Class B     (129,862
     

 

 

 
    Total Sweden     (607,607
     

 

 

 

    
Shares

   

Description

  Value ($)  
          Switzerland — (0.0)%  
    (1,548   Dufry AG (Registered)     (46,327
     

 

 

 
          United Kingdom — (0.0)%  
    (336,070   G4S Plc *     (376,186
    (58   Mediclinic International Plc     (195
    (283,308   Melrose Industries Plc     (408,434
    (33,899   Rolls-Royce Holdings Plc     (115,543
    (23,497   Weir Group Plc (The)     (283,624
     

 

 

 
    Total United Kingdom     (1,183,982
     

 

 

 
          United States — (0.1)%  
    (10,388   Digital Realty Trust, Inc. (REIT)     (1,491,301
     

 

 

 
   

TOTAL COMMON STOCKS
(PROCEEDS $32,765,487)

    (31,340,079
     

 

 

 
   

TOTAL SECURITIES SOLD SHORT (PROCEEDS $32,765,487)

    (31,340,079 ) 
    Other Assets and Liabilities (net) — (0.3%)     (7,735,188
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $2,399,544,509  
     

 

 

 
 

 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

Forward Currency Contracts

 

 

Settlement
Date

  Counter
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
06/18/2020   MSCI     AUD       33,756,200       USD       21,705,743       (794,915
08/06/2020   DB     AUD       2,610,000       USD       1,691,630       (48,086
08/18/2020   BOA     AUD       33,756,200       USD       21,681,945       (818,092
08/04/2020   GS     BRL       3,384,476       USD       590,000       (42,533
06/03/2020   MSCI     CAD       5,847,648       USD       4,200,000       (47,120
08/14/2020   BCLY     CHF       1,181,686       USD       1,220,000       (11,169
08/14/2020   JPM     CHF       2,955,670       USD       3,070,000       (9,440
06/03/2020   MSCI     CLP       1,477,980,000       USD       1,800,000       (46,550
09/01/2020   JPM     CLP       1,477,980,000       USD       1,810,363       (36,630
08/06/2020   MSCI     COP       4,182,840,000       USD       1,080,000       (35,234
07/14/2020   JPM     CZK       44,148,305       USD       1,740,000       (81,598
06/18/2020   JPM     EUR       130,553,200       USD       141,121,312       (3,845,970
07/27/2020   DB     EUR       2,180,000       USD       2,369,470       (53,199
08/18/2020   BCLY     EUR       130,553,200       USD       141,069,260       (4,085,046
08/18/2020   JPM     EUR       13,143,300       USD       14,416,749       (196,501
08/18/2020   MSCI     EUR       9,571,100       USD       10,579,755       (61,779
06/18/2020   JPM     GBP       43,833,100       USD       53,500,118       (637,183
08/14/2020   MSCI     GBP       5,340,000       USD       6,505,612       (91,214
08/18/2020   BCLY     GBP       43,833,100       USD       53,456,526       (693,983
06/18/2020   MSCI     HKD       142,439,600       USD       18,369,348       (442
08/18/2020   CITI     HKD       142,439,600       USD       18,357,156       15,861  
07/14/2020   JPM     HUF       567,175,053       USD       1,750,000       (63,342
08/19/2020   BCLY     IDR       4,354,669,000       USD       290,000       (2,346

Settlement
Date

  Counter
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
08/19/2020   JPM     IDR       7,140,000,000       USD       480,000       664  
06/04/2020   JPM     INR       79,663,500       USD       1,051,806       (2,160
07/01/2020   GS     INR       18,182,880       USD       240,000       (148
06/18/2020   JPM     JPY       8,772,351,700       USD       82,076,137       716,679  
08/18/2020   BOA     JPY       8,772,351,700       USD       81,996,857       560,057  
08/18/2020   JPM     JPY       1,179,486,900       USD       10,957,390       7,802  
08/05/2020   JPM     NZD       7,920,000       USD       4,759,230       (155,377
08/05/2020   MSCI     NZD       4,890,000       USD       2,973,389       (61,008
06/02/2020   BCLY     PHP       13,675,230       USD       270,000       (155
06/02/2020   JPM     PHP       7,604,700       USD       150,000       (231
06/02/2020   MSCI     PHP       10,759,350       USD       212,530       (21
09/01/2020   JPM     PHP       13,731,930       USD       270,000       (404
06/15/2020   JPM     PLN       5,871,716       USD       1,410,000       (53,807
06/15/2020   MSCI     PLN       1,316,672       USD       330,000       1,756  
07/17/2020   MSCI     RUB       131,949,000       USD       1,800,000       (60,440
06/15/2020   BCLY     THB       20,743,060       USD       650,000       (2,055
07/16/2020   JPM     TRY       1,665,080       USD       240,000       (545
08/06/2020   MSCI     USD       2,605,308       AUD       3,980,000       47,592  
08/04/2020   MSCI     USD       960,000       BRL       5,160,564       4,471  
06/03/2020   JPM     USD       4,100,000       CAD       5,654,367       6,742  
08/14/2020   DB     USD       440,000       CHF       425,699       3,525  
06/03/2020   JPM     USD       1,810,141       CLP       1,477,980,000       36,409  
09/01/2020   MSCI     USD       180,000       CLP       145,386,000       1,685  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Forward Currency Contracts (continued)

 

Settlement
Date

  Counter
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
07/14/2020   GS     USD       370,000       CZK       9,148,327       7,468  
07/14/2020   JPM     USD       910,000       CZK       21,982,979       (2,963
07/27/2020   JPM     USD       1,360,000       EUR       1,220,000       (4,194
07/14/2020   CITI     USD       190,000       HUF       59,451,323       75  
08/19/2020   JPM     USD       1,360,000       IDR       20,579,520,000       21,583  
06/04/2020   GS     USD       1,050,000       INR       79,663,500       3,967  
07/01/2020   JPM     USD       450,321       INR       34,237,890       1,871  
06/09/2020   MSCI     USD       12,230,000       JPY       1,313,577,221       (48,965
07/01/2020   BCLY     USD       990,000       KRW       1,222,155,000       1,401  
08/21/2020   BOA     USD       310,000       MXN       7,280,774       14,526  
08/21/2020   CITI     USD       320,000       MXN       7,155,067       (1,077
08/21/2020   JPM     USD       1,070,000       MXN       25,548,367       68,768  
08/11/2020   JPM     USD       11,080,000       NOK       111,671,965       413,740  
08/06/2020   BCLY     USD       210,000       PEN       720,405       (71
08/06/2020   JPM     USD       930,000       PEN       3,180,600       (3,159

Settlement
Date

  Counter
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
06/02/2020   JPM     USD       630,000       PHP       32,039,280       2,937  
09/01/2020   MSCI     USD       210,823       PHP       10,759,350       1,046  
08/04/2020   BCLY     USD       1,180,000       SEK       11,387,708       29,258  
08/04/2020   JPM     USD       9,490,000       SEK       92,652,868       348,786  
08/18/2020   GS     USD       90,000       SGD       127,261       104  
08/18/2020   JPM     USD       1,110,000       SGD       1,566,128       (1,138
06/15/2020   CITI     USD       350,000       THB       11,131,960       (69
07/16/2020   JPM     USD       1,540,000       TRY       10,807,477       21,296  
07/07/2020   JPM     USD       510,000       TWD       15,281,130       856  
07/07/2020   MSCI     USD       960,000       TWD       28,728,000       391  
07/31/2020   DB     USD       690,000       ZAR       12,072,412       (6,343
07/31/2020   JPM     USD       600,000       ZAR       10,561,954       (1,880
           

 

 

 
  $ (9,767,266
           

 

 

 
 

Futures Contracts

 

Number
of
Contracts +

 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
135   Mini MSCI Emerging Markets   June 2020     6,297,075       206,279  
Sales  
2,237   E-mini Russell 2000 Index   June 2020     155,784,680       (18,570,055
9,354   Euro STOXX 50   June 2020     318,441,552       (34,663,014
1,489   FTSE 100 Index   June 2020     112,359,530       (6,953,744
240   Hang Seng Index   June 2020     35,578,251       18,888  

Number
of
Contracts +

 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
2,129   S&P 500 E-Mini   June 2020     323,820,900       (31,713,683
503   SPI 200   June 2020     48,294,190       (3,465,345
1,207   TOPIX Index   June 2020     175,232,646       (12,564,978
     

 

 

   

 

 

 
  $ 1,169,511,749     $ (107,911,931
     

 

 

   

 

 

 

 

 

+

Buys - Fund is long the futures contract.
Sales - Fund is short the futures contract.

 

 

Swap Contracts

OTC Credit Default Swaps

 

Reference Entity

 

Counterparty

 

Notional
Amount

    Annual
Premium
    Implied
Credit
Spread(1)
    Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract(2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

Sell Protection^:

                     

CDX-NAHYS34V1-5Y

    USD     18,709,180       5.00%       5.41%       18,709,180 USD       06/20/2025       Quarterly     $ (2,047,937   $ (319,758   $ 1,728,179  

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, 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.

 

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, 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 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.


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Swap Contracts (continued)

OTC Credit Default Swaps (continued)

 

(1)

As of May 31, 2020, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads 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 contract.

(2)

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.

Centrally Cleared Interest Rate Swaps

 

Fund Pays

   Fund Receives   Notional
Amount
     Expiration
Date
     Periodic
Payment
Frequency
   Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

6 Month AUD BBSW

   0.89%   AUD      1,870,000        06/17/2030      Semi-Annually      1,981       1,264       (717

0.88%

   6 Month AUD BBSW   AUD      7,430,000        06/17/2030      Semi-Annually            (427     (427

0.89%

   6 Month AUD BBSW   AUD      3,720,000        06/17/2030      Semi-Annually            (2,757     (2,757

6 Month AUD BBSW

   0.95%   AUD      48,480,000        06/17/2030      Semi-Annually      (18,122     203,203       221,325  

6 Month AUD BBSW

   0.90%   AUD      6,420,000        06/17/2030      Semi-Annually      2,111       6,429       4,318  

3 Month CAD LIBOR

   1.00%   CAD      36,380,000        06/17/2030      Semi-Annually      5,081       (6,286     (11,367

6 Month CHF LIBOR

   (0.34)%   CHF      32,550,000        06/17/2030      Semi-Annually      77,941       23,742       (54,199

0.63%

   3 Month NZD Bank Bill Rate   NZD      1,520,000        06/17/2030      Quarterly      (643     7,993       8,636  

0.70%

   3 Month NZD Bank Bill Rate   NZD      1,970,000        06/17/2030      Quarterly            1,476       1,476  

3 Month SEK STIBOR

   0.35%   SEK      38,100,000        06/17/2030      Quarterly            (8,831     (8,831

3 Month SEK STIBOR

   0.37%   SEK      106,700,000        06/17/2030      Quarterly      (18,754     (10,658     8,096  

3 Month SEK STIBOR

   0.40%   SEK      90,300,000        06/17/2030      Quarterly      8,321       24,330       16,009  

(0.12)%

   6 Month EURIBOR   EUR      37,530,000        06/19/2030      Semi-Annually      71,073       (54,211     (125,284

(0.09)%

   6 Month EURIBOR   EUR      2,040,000        06/19/2030      Semi-Annually            (9,435     (9,435

(0.14)%

   6 Month EURIBOR   EUR      2,970,000        06/19/2030      Semi-Annually            4,819       4,819  

0.46%

   6 Month GBP LIBOR   GBP      16,490,000        06/19/2030      Semi-Annually      12,292       (125,294     (137,586

0.70%

   3 Month USD LIBOR   USD      12,440,000        06/19/2030      Quarterly            (65,971     (65,971

0.70%

   3 Month USD LIBOR   USD      12,450,000        06/19/2030      Quarterly            (65,409     (65,409

3 Month USD LIBOR

   0.69%   USD      2,060,000        06/19/2030      Quarterly            9,295       9,295  

3 Month USD LIBOR

   0.66%   USD      1,180,000        06/19/2030      Quarterly            1,825       1,825  

3 Month USD LIBOR

   0.67%   USD      1,190,000        06/19/2030      Quarterly            2,369       2,369  
                

 

 

   

 

 

   

 

 

 
   $ 141,281     $ (62,534   $ (203,815
                

 

 

   

 

 

   

 

 

 

OTC Total Return Swaps

 

Fund Pays

  Fund Receives  

Counterparty

  Notional
Amount
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

1 Month USD LIBOR minus a spread of 0.25%

  Total Return on iShare
iBoxx High Yield
Corporate Bond ETF
  GS     USD       18,978,403       06/01/2020       At Maturity             901,450       901,450  

1 Month USD LIBOR minus a spread of 0.10%

  Total Return on iShare
iBoxx High Yield
Corporate Bond ETF
  CITI     USD       13,254,361       06/11/2020       At Maturity             521,020       521,020  

Depreciation of Total Return on CSI 500 Index + (1 Month USD LIBOR minus 9.25%)

  Appreciation on Total
Return on CSI 500
Index
  GS     USD       1,758,323       12/07/2020       Monthly             (3,631     (3,631

Total Return on Equity Basket(g)

  1 Month Federal Funds
Rate minus 0.40%
  MORD     USD       2,923,133       06/18/2022       Monthly             (319,619     (319,619

Total Return on Equity Basket(g)

  1 Month Federal Funds
Rate minus 0.40%
  MORD     USD       1,313,243       06/18/2022       Monthly             (56,707     (56,707

Total Return on Equity Basket(g)

  1 Month Federal Funds
Rate minus 1.00%
  MORD     USD       3,827,620       06/18/2022       Monthly             101,517       101,517  

Total Return on Equity Basket(g)

  1 Month Federal Funds
Rate minus 1.75%
  MORD     USD       3,998,336       06/18/2022       Monthly             (175,697     (175,697

Total Return on Equity Basket(g)

  1 Month Federal Funds
Rate minus 0.40%
  MORD     USD       237,355       06/18/2022       Monthly             (6,108     (6,108

Total Return on Equity Basket(g)

  1 Month Federal Funds
Rate minus 1.00%
  MORD     USD       1,270,868       06/18/2022       Monthly             (62,590     (62,590
             

 

 

   

 

 

   

 

 

 
  $     $ 899,635     $ 899,635  
             

 

 

   

 

 

   

 

 

 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Securities are traded on separate exchanges for the same entity.

 

(c)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on securities sold short, OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(d)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(e)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(f)

All or a portion of this security is purchased with collateral from securities loaned.

 

(g)

Periodic payments made/received are based on the total return of the referenced entity. Custom equity basket swap which has a notional amount of less than 1% of the Fund’s total net assets.

The rates shown on variable rate notes are the current interest rates at May 31, 2020, which are subject to change based on the terms of the security.

Portoflio Abbreviations:

144A - Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional investors.

ADR - American Depositary Receipt

AUD BBSW - Bank Bill Swap Reference Rate denominated in Australian Dollar.

CDI - Certificado de Deposito Interbancario

CHF LIBOR - London Interbank Offered Rate denominated in Swiss Franc.

CLO - Collateralized Loan Obligation

ETF - Exchange-Traded Fund

Foreign Registered - Shares issued to foreign investors in markets that have foreign ownership limits.

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

LIBOR - London Interbank Offered Rate

NVDR - Non-Voting Depositary Receipt

NZD Bank Bill Rate - Bank Bill Rate denominated in New Zealand Dollar.

OJSC - Open Joint-Stock Company

PJSC - Private Joint-Stock Company

QPSC - Qatar Private Stock Company

QSC - Qatari Shareholding Company

REIT - Real Estate Investment Trust

SEK STIBOR - Stockholm Interbank Offered Rate denominated in Swedish Krona

SOFOM - Sociedades Financieras de Objeto Multi (Multi-purpose financial Company)

USBM - U.S. Treasury 3 Month Bill Money Market Yield.

USD LIBOR - London Interbank Offered Rate denominated in United States Dollar.

Counterparty Abbreviations:

 

BCLY - Barclays Bank PLC

BOA - Bank of America, N.A.

CITI - Citibank N.A.

DB - Deutsche Bank AG

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MORD - Morgan Stanley Capital Services LLC

MSCI - Morgan Stanley & Co. International PLC

SSB - State Street Bank and Trust Company

 

 

Currency Abbreviations:

 

AUD - Australian Dollar

BRL - Brazilian Real

CAD - Canadian Dollar

CHF - Swiss Franc

CLP - Chilean Peso

COP - Colombian Peso

CZK - Czech Koruna

EUR - Euro

GBP - British Pound

HKD - Hong Kong Dollar

HUF - Hungarian Forint

IDR - Indonesian Rupiah

INR - Indian Rupee

JPY - Japanese Yen

KRW - South Korean Won

MXN - Mexican Peso

NOK - Norwegian Krone

NZD - New Zealand Dollar

PEN - Peruvian Sol

PHP - Philippine Peso

PLN - Polish Zloty

QAR - Qatari Rial

RUB - Russian Ruble

SEK - Swedish Krona

SGD - Singapore Dollar

THB - Thai Baht

TRY - Turkish Lira

TWD - Taiwan Dollar

USD - United States Dollar

 
 


GMO Global Asset Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares /
Par Value†
    Description   Value ($)  
    MUTUAL FUNDS — 99.2%  
    Affiliated Issuers — 99.2%  
    6,797,224     GMO Alternative Allocation Fund, Class VI     129,555,088  
    3,633,252     GMO Asset Allocation Bond Fund, Class VI     84,327,784  
    8,079,943     GMO Core Plus Bond Fund, Class IV     181,960,326  
    1,943,000     GMO Cyclical Focus Fund, Class VI     42,396,260  
    1,863,214     GMO Emerging Country Debt Fund, Class IV     46,319,496  
    9,115,356     GMO Emerging Markets Fund, Class VI     261,428,417  
    15,480,670     GMO International Equity Fund, Class IV     292,429,862  
    1,054,792     GMO Opportunistic Income Fund, Class VI     26,781,158  
    1,115,415     GMO Quality Fund, Class VI     26,535,725  
    583,999     GMO Risk Premium Fund, Class VI     13,869,972  
    8,799,743     GMO U.S. Equity Fund, Class VI     107,004,879  
    4,918,897     GMO U.S. Small Cap Value Fund, Class VI     78,702,356  
    1,686,549     GMO U.S. Treasury Fund     8,500,207  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $1,402,646,863)
    1,299,811,530  
     

 

 

 
          DEBT OBLIGATIONS — 0.0%  
          Asset-Backed Securities — 0.0%  
    23,312     ACE Securities Corp Home Equity Loan Trust, Series 06-ASL1, Class A,Variable Rate, 1 mo. LIBOR + 0.28%, 0.45%, due 02/25/36     8,232  
    12,663     GMACM Home Equity Loan Trust, Series 04-HE3, Class A3, FSA, Variable Rate, 1 mo. LIBOR + 0.50%, 0.67%, due 10/25/34     11,524  
    12,961     Mellon Re-REMIC Pass-Through Trust, Series 04-TBC1, Class A, 144A, Variable Rate, 1 mo. LIBOR + 0.25%, 0.69%, due 02/26/34     11,012  
     

 

 

 
    TOTAL DEBT OBLIGATIONS (Cost $32,900)     30,768  
     

 

 

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

(a)

The rate disclosed is the 7 day net yield as of May 31, 2020.

The rates shown on variable rate notes are the current interest rates at May 31, 2020, which are subject to change based on the terms of the security.

         
Shares
    Description   Value ($)  
    SHORT-TERM INVESTMENTS — 0.8%

 

    Money Market Funds — 0.8%  
    10,923,487     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (a)     10,923,487  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS (COST $10,923,487)     10,923,487  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $1,413,603,250)
    1,310,765,785  
    Other Assets and Liabilities (net) — 0.00%     34,413  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $1,310,800,198  
     

 

 

 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

Futures Contracts

 

Number
of
Contracts +

  

Type

  Expiration
Date
   Notional
Amount ($)
     Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Sales           
1,020    MSCI EAFE   June 2020    $ 88,005,600      $ (6,856,232
       

 

 

    

 

 

 

 

+

Buys – Fund is long the futures contract.

 

Sales – Fund is short the futures contract.

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

Portfolio Abbreviations:

144A - Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional investors.

FSA - Insured as to the payment of principal and interest by Financial Security Assurance.

LIBOR - London Interbank Offered Rate

 


GMO Global Developed Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    MUTUAL FUNDS — 100.0%  
          Affiliated Issuers — 100.0%      
    155,500     GMO Cyclical Focus Fund, Class VI     3,393,010  
    222,525     GMO Emerging Markets Fund, Class VI     6,382,007  
    1,658,632     GMO International Equity Fund, Class IV     31,331,568  
    341,238     GMO Quality Fund, Class VI     8,118,059  
    813,326     GMO U.S. Equity Fund, Class VI     9,890,042  
    442,255     GMO U.S. Small Cap Value Fund, Class VI     7,076,083  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $68,099,718)
    66,190,769  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%      
    55,108     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (a)     55,108  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS (COST $55,108)     55,108  
     

 

 

 
    TOTAL INVESTMENTS — 100.1%
(Cost $68,154,826)
    66,245,877  
    Other Assets and Liabilities (net) — (0.1%)     (39,876
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $66,206,001  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

The rate disclosed is the 7 day net yield as of May 31, 2020.

 


GMO Global Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    MUTUAL FUNDS — 100.0%  
    Affiliated Issuers — 100.0%  
    3,330,000     GMO Cyclical Focus Fund, Class VI     72,660,600  
    12,379,966     GMO Emerging Markets Fund, Class VI     355,057,423  
    28,792,669     GMO International Equity Fund, Class IV     543,893,522  
    7,986,793     GMO Quality Fund, Class VI     190,005,807  
    7,017,131     GMO U.S. Equity Fund, Class VI     85,328,308  
    9,164,664     GMO U.S. Small Cap Value Fund, Class VI     146,634,631  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $1,553,891,169)
    1,393,580,291  
     

 

 

 
    SHORT-TERM INVESTMENTS — 0.0%

 

    Money Market Funds — 0.0%  
    499,740     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (a)     499,740  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS (COST $499,740)     499,740  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $1,554,390,909)
    1,394,080,031  
    Other Assets and Liabilities (net) — (0.0%)     (82,170
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $1,393,997,861  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

The rate disclosed is the 7 day net yield as of May 31, 2020.

 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 78.9%

 

          Australia — 1.0%  
    694,536     Accent Group Ltd     628,525  
    198,666     Adairs Ltd     247,813  
    240,043     Ampol Ltd     4,342,726  
    75,678     Ansell Ltd     1,776,004  
    156,626     Appen Ltd (a)     3,225,506  
    258,547     Asaleo Care Ltd     176,145  
    32,944     Austal Ltd     73,537  
    1,135,037     Australian Pharmaceutical Industries Ltd *     851,657  
    74,668     Aventus Group (REIT)     98,832  
    978,956     Beach Energy Ltd     1,057,678  
    144,320     Brickworks Ltd     1,489,076  
    10,578     Coca-Cola Amatil Ltd     61,860  
    111,956     Codan Ltd     527,574  
    340,832     CSR Ltd *     929,158  
    3,458,832     Fortescue Metals Group Ltd     32,019,817  
    333,516     GDI Property Group (REIT)     241,424  
    731,114     Genworth Mortgage Insurance Australia Ltd (a)     1,023,672  
    196,020     JB Hi-Fi Ltd (a)     4,861,335  
    423,874     Mount Gibson Iron Ltd     192,150  
    171,195     Rio Tinto Ltd     10,692,692  
    288,828     Sandfire Resources NL     845,662  
    124,925     Tassal Group Ltd (a)     334,816  
    38,022     Virtus Health Ltd     80,252  
     

 

 

 
    Total Australia     65,777,911  
     

 

 

 
          Austria — 0.0%  
    20,243     FACC AG (a)     149,451  
    7,001     POLYTEC Holding AG     39,309  
    29,352     Vienna Insurance Group AG Wiener Versicherung Gruppe     619,019  
     

 

 

 
    Total Austria     807,779  
     

 

 

 
          Belgium — 0.3%  
    5,038     Ageas SA *     171,968  
    437,425     AGFA-Gevaert NV *     1,760,636  
    4,684     Barco NV     820,468  
    4,764     Colruyt SA     287,549  
    156,093     UCB SA     15,622,593  
     

 

 

 
    Total Belgium     18,663,214  
     

 

 

 
          Brazil — 1.2%  
    580,600     Banco do Brasil SA     3,355,453  
    254,500     Banco Santander Brasil SA     1,216,152  
    594,500     Camil Alimentos SA     1,106,269  
    1,076,120     Cia de Saneamento Basico do Estado de Sao Paulo     10,954,189  
    51,600     Cia de Saneamento Basico do Estado de Sao Paulo ADR     517,548  
    130,900     Cia Paranaense de Energia     1,461,994  
    
Shares
    Description   Value ($)  
          Brazil — continued  
    75,300     Construtora Tenda SA     354,042  
    58,500     Cyrela Brazil Realty SA Empreendimentos e Participacoes     185,817  
    694,200     Embraer SA *     966,570  
    144,000     Grendene SA     195,911  
    357,800     Hypera SA     2,160,358  
    126,000     Instituto Hermes Pardini SA     437,056  
    5,827,900     JBS SA     23,993,959  
    194,400     Mahle-Metal Leve SA     647,356  
    4,925,000     Petrobras Distribuidora SA     19,972,078  
    42,500     Petroleo Brasileiro SA Sponsored ADR     324,275  
    621,800     Qualicorp Consultoria e Corretora de Seguros SA     2,763,918  
    1,221,000     TIM Participacoes SA     3,116,395  
    518,700     Tupy SA     1,474,557  
    271,800     Vale SA     2,699,511  
     

 

 

 
    Total Brazil     77,903,408  
     

 

 

 
          Canada — 1.4%  
    202,800     AGF Management Ltd – Class B     552,348  
    21,900     Bank of Nova Scotia (The)     877,527  
    61,600     Bausch Health Cos Inc *     1,134,601  
    46,900     Bird Construction Inc (a)     193,820  
    98,248     BRP Inc     3,402,306  
    69,200     Canaccord Genuity Group Inc     282,962  
    5,000     Canadian Imperial Bank of Commerce     320,623  
    11,200     Canadian Western Bank     183,759  
    39,100     Canfor Pulp Products Inc *     176,920  
    64,900     Cascades Inc     665,568  
    166,400     Celestica Inc *     1,133,625  
    166,800     CI Financial Corp     1,977,104  
    30,900     Cogeco Communications Inc     2,307,541  
    21,800     Cogeco Inc     1,366,092  
    9,700     Enbridge Inc     314,765  
    100     Equitable Group Inc     4,751  
    9,000     Franco-Nevada Corp     1,263,275  
    241,400     iA Financial Corp Inc     7,709,161  
    78,700     IGM Financial Inc (a)     1,869,114  
    32,100     Labrador Iron Ore Royalty Corp     522,469  
    15,700     Magna International Inc (b)     662,049  
    39,700     Magna International Inc (b)     1,674,546  
    107,000     Martinrea International Inc     703,308  
    22,500     Morguard North American Residential Real Estate Investment Trust     233,195  
    42,200     National Bank of Canada     1,837,754  
    94,443     Nutrien Ltd     3,211,062  
    38,400     Real Matters Inc *     662,382  
    305,300     Rogers Sugar Inc (a)     1,044,386  
    455,000     Royal Bank of Canada     29,520,391  
    44,700     Russel Metals Inc (a)     475,294  
    291,900     Sun Life Financial Inc (b)     10,013,028  
    148,500     Sun Life Financial Inc (b)     5,108,400  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Canada — continued  
    3,300     TC Energy Corp (b)     148,533  
    4,200     TC Energy Corp (b)     189,280  
    47,000     Teekay Tankers Ltd – Class A * (a)     816,860  
    108,600     Teranga Gold Corp *     853,435  
    23,800     Timbercreek Financial Corp     141,917  
    128,700     Toronto-Dominion Bank (The) (a)     5,513,110  
    79,200     Transat AT Inc *     391,154  
    30,420     Transcontinental Inc – Class A     264,464  
    20,400     Wajax Corp     124,014  
    13,100     Westshore Terminals Investment Corp (a)     139,197  
     

 

 

 
    Total Canada     89,986,090  
     

 

 

 
          Chile — 0.2%  
    488,396     Banco de Chile     41,499  
    1,900     Banco Santander Chile ADR     29,963  
    16,238,605     Enel Americas SA     2,363,565  
    1,028,300     Enel Americas SA ADR     7,629,986  
    18,209     Inversiones La Construccion SA     118,299  
    66,996,891     Itau CorpBanca Chile SA     155,690  
    59,897     Parque Arauco SA     101,026  
     

 

 

 
    Total Chile     10,440,028  
     

 

 

 
          China — 13.7%  
    5,548,000     361 Degrees International Ltd     733,317  
    994,000     7Road Holdings Ltd *(c)     177,603  
    21,000     AAC Technologies Holdings Inc     108,871  
    10,719,000     Agile Group Holdings Ltd     11,124,801  
    6,497,700     Agricultural Bank of China Ltd – Class A     3,096,392  
    73,755,000     Agricultural Bank of China Ltd – Class H     29,932,103  
    77,900     Alibaba Group Holding Ltd *     2,014,251  
    290,600     Alibaba Group Holding Ltd Sponsored ADR *     60,267,534  
    698,932     Anhui Conch Cement Co Ltd – Class A     5,578,358  
    6,244,000     Anhui Conch Cement Co Ltd – Class H     47,082,844  
    601,672     Anhui Expressway Co Ltd – Class A     439,128  
    5,000     ANTA Sports Products Ltd     44,810  
    390,000     Asia Cement China Holdings Corp     448,392  
    16,582,500     BAIC Motor Corp Ltd – Class H     6,722,143  
    99,695,000     Bank of China Ltd – Class H     36,646,051  
    46,077,000     Bank of Communications Co Ltd – Class H     28,074,205  
    1,538,000     BBMG Corp – Class H     319,445  
    260,000     Beijing Capital International Airport Co Ltd – Class H     162,890  
    186,000     Beijing Enterprises Water Group Ltd *     70,706  
    2,996,475     Beijing North Star Co Ltd – Class A     1,144,174  
    18,000     Central China Real Estate Ltd     9,017  
    1,000     CGN Power Co Ltd – Class H     230  
    8,999,000     China Cinda Asset Management Co Ltd – Class H     1,676,302  
    27,560,000     China CITIC Bank Corp Ltd – Class H     12,043,839  
    1,409,000     China Coal Energy Co Ltd – Class H     338,095  
    
Shares
    Description   Value ($)  
          China — continued  
    12,246,000     China Communications Services Corp Ltd – Class H     8,166,598  
    18,597,403     China Construction Bank Corp – Class A     16,610,363  
    28,944,000     China Construction Bank Corp – Class H     22,827,938  
    7,529,000     China Everbright Bank Co Ltd – Class H     3,065,911  
    23,000     China Gas Holdings Ltd     81,313  
    3,659,000     China Greenfresh Group Co Ltd *     47,326  
    3,958,000     China Huarong Asset Management Co Ltd – Class H     407,139  
    5,960,000     China Jinmao Holdings Group Ltd     4,160,980  
    42,000     China Kepei Education Group Ltd     34,240  
    10,316,000     China Lesso Group Holdings Ltd     12,541,658  
    1,606,000     China Lilang Ltd     858,448  
    8,446,000     China Machinery Engineering Corp – Class H     2,008,940  
    8,968,925     China Medical System Holdings Ltd     10,285,202  
    269,600     China Merchants Bank Co Ltd – Class A     1,281,425  
    1,049,500     China Mobile Ltd     7,420,738  
    24,698,000     China National Building Material Co Ltd – Class H     28,019,617  
    1,298,534     China National Chemical Engineering Co Ltd – Class A     1,013,780  
    3,296,000     China Oriental Group Co Ltd     914,431  
    432,000     China Overseas Grand Oceans Group Ltd     231,547  
    3,836,000     China Overseas Land & Investment Ltd     11,764,165  
    75,000     China Overseas Property Holdings Ltd     85,632  
    1,047,753     China Pacific Insurance Group Co Ltd – Class A     4,168,246  
    683,800     China Pacific Insurance Group Co Ltd – Class H     1,900,626  
    1,200     China Petroleum & Chemical Corp ADR     57,036  
    58,266,000     China Petroleum & Chemical Corp – Class H     27,185,180  
    20,937,700     China Railway Construction Corp Ltd – Class H     18,799,653  
    8,027,000     China Railway Group Ltd – Class H     4,406,955  
    273,000     China Reinsurance Group Corp – Class H     28,717  
    4,422,000     China Resources Cement Holdings Ltd     5,586,832  
    434,000     China Resources Gas Group Ltd     2,377,557  
    3,106,000     China Resources Land Ltd     12,386,133  
    15,470,000     China Resources Pharmaceutical Group Ltd     8,458,080  
    5,882,000     China SCE Group Holdings Ltd     2,448,604  
    4,869,163     China Shenhua Energy Co Ltd – Class A     11,186,959  
    7,336,500     China Shenhua Energy Co Ltd – Class H     13,438,287  
    2,245,000     China Shineway Pharmaceutical Group Ltd     1,424,948  
    242,000     China South City Holdings Ltd     22,285  
    311,600     China Taiping Insurance Holdings Co Ltd     466,150  
    32,516,000     China Telecom Corp Ltd – Class H     10,786,620  
    656,000     China Traditional Chinese Medicine Holdings Co Ltd     279,480  
    1,958,493     China Vanke Co Ltd – Class A     7,074,679  
    1,093,200     China Vanke Co Ltd – Class H     3,568,741  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          China — continued  
    36,200     China Yuchai International Ltd     447,432  
    1,019,600     China Zhongwang Holdings Ltd     192,042  
    628,000     Chongqing Rural Commercial Bank Co Ltd – Class H     241,981  
    56,000     Colour Life Services Group Co Ltd *     25,451  
    6,176,506     Country Garden Holdings Co Ltd     7,731,395  
    251,500     Dali Foods Group Co Ltd     159,971  
    1,634,000     Datang International Power Generation Co Ltd – Class H     219,230  
    320,000     Dongfeng Motor Group Co Ltd – Class H     202,443  
    4,985,000     Dongyue Group Ltd     1,993,738  
    18,800     ENN Energy Holdings Ltd     220,712  
    1,663,500     Fantasia Holdings Group Co Ltd *     290,742  
    200,000     Fu Shou Yuan International Group Ltd     186,907  
    5,953,000     Geely Automobile Holdings Ltd     8,225,336  
    586,000     Great Wall Motor Co Ltd – Class H     373,206  
    879,000     Greenland Hong Kong Holdings Ltd     287,720  
    9,466,000     Guangdong Investment Ltd     18,718,291  
    1,976,000     Guangzhou Baiyunshan Pharmaceutical Holdings Co Ltd – Class H     4,830,374  
    10,065,600     Guangzhou R&F Properties Co Ltd – Class H     12,507,551  
    391,000     Haier Electronics Group Co Ltd     1,094,753  
    662,500     Hebei Construction Group Corp Ltd – Class H     580,557  
    3,337,390     Hisense Home Appliances Group Co Ltd – Class A     5,560,651  
    1,659,000     Hisense Kelon Electrical Holdings Co Ltd – Class H     2,031,377  
    844,231     HLA Corp Ltd – Class A     720,968  
    78,600     Hollysys Automation Technologies Ltd     981,714  
    120,000     Hopson Development Holdings Ltd     129,472  
    9,910,000     Huabao International Holdings Ltd     3,470,152  
    1,852,000     Huadian Power International Corp Ltd – Class H     568,633  
    614,517     Huaxin Cement Co Ltd – Class A     2,145,040  
    6,770,000     IGG Inc     4,120,152  
    12,538,546     Industrial & Commercial Bank of China Ltd – Class A     9,001,788  
    30,006,000     Industrial & Commercial Bank of China Ltd – Class H     19,435,422  
    100     Jiangsu Expressway Co Ltd – Class A     141  
    183,000     Jingrui Holdings Ltd     45,581  
    38,000     JNBY Design Ltd *     32,827  
    637,000     Kingboard Chemical Holdings Ltd     1,551,156  
    1,002,500     Kingboard Laminates Holdings Ltd     885,532  
    346,000     Kunlun Energy Co Ltd     213,398  
    11,716     Lao Feng Xiang Co Ltd – Class A     76,446  
    333,000     Lee & Man Paper Manufacturing Ltd     180,219  
    1,295,300     Livzon Pharmaceutical Group Inc – Class H     5,218,890  
    3,108,000     Logan Property Holdings Co Ltd     4,671,121  
    1,055,000     Longfor Properties Co Ltd     4,824,656  
    9,622,000     Lonking Holdings Ltd     3,254,098  
    
Shares
    Description   Value ($)  
          China — continued  
    604,000     Maanshan Iron & Steel Co Ltd – Class H     172,983  
    4,479,000     Metallurgical Corp of China Ltd – Class H     696,213  
    1,262,760     Midea Group Co Ltd – Class A     10,477,666  
    47,900     NetEase Inc ADR (d)     18,340,910  
    121,300     New China Life Insurance Co Ltd – Class H     380,809  
    2,069,000     Nexteer Automotive Group Ltd     1,136,155  
    4,716,000     Nine Dragons Paper Holdings Ltd     4,146,758  
    641,000     PAX Global Technology Ltd     249,048  
    793,000     People’s Insurance Co Group of China Ltd (The) – Class H     239,883  
    22,577,000     PICC Property & Casualty Co Ltd – Class H     19,753,190  
    1,050,970     Ping An Insurance Group Co of China Ltd – Class A     10,458,416  
    1,196,000     Poly Property Group Co Ltd     384,108  
    30,196,000     Postal Savings Bank of China Co Ltd – Class H     19,340,399  
    1,289,000     Powerlong Real Estate Holdings Ltd     720,183  
    1,000     Qingdao Port International Co Ltd – Class A     802  
    108,000     Redco Properties Group Ltd     47,996  
    652,000     Redsun Properties Group Ltd     228,782  
    392,000     Road King Infrastructure Ltd     511,357  
    1,108,000     Shanghai Jin Jiang Capital Co Ltd – Class H     204,365  
    8,300,200     Shanghai Pharmaceuticals Holding Co Ltd – Class H     13,158,139  
    55,348     Shenzhen Expressway Co Ltd – Class A     69,803  
    424,000     Shenzhen Expressway Co Ltd – Class H     430,352  
    887,228     Shenzhen Investment Ltd     275,000  
    195,800     Shenzhou International Group Holdings Ltd     2,356,142  
    10,649,076     Shimao Property Holdings Ltd     44,660,550  
    888,500     Shui On Land Ltd     147,397  
    2,798,000     Sino Biopharmaceutical Ltd     4,421,206  
    665,882     Sinoma International Engineering Co – Class A     526,179  
    924,000     Sinopec Engineering Group Co Ltd – Class H     388,536  
    12,160,000     Sinopec Shanghai Petrochemical Co Ltd – Class H     3,027,135  
    453,200     Sinopharm Group Co Ltd – Class H     1,119,276  
    1,814,000     Sinotrans Ltd – Class H     374,431  
    1,299,500     Sinotruk Hong Kong Ltd     3,167,522  
    153,000     Sun Art Retail Group Ltd     235,510  
    1,937,771     Suning Universal Co Ltd – Class A     815,145  
    20,800     Sunny Optical Technology Group Co Ltd     279,529  
    553,000     TCL Electronics Holdings Ltd     235,254  
    1,230,000     Texhong Textile Group Ltd     847,844  
    588,000     Tianjin Development Holdings Ltd     99,727  
    914,000     Tianjin Port Development Holdings Ltd     56,295  
    8,286,000     Tianneng Power International Ltd     8,396,810  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          China — continued  
    122,000     Times China Holdings Ltd     180,607  
    691,000     Towngas China Co Ltd *     318,244  
    169,000     Vinda International Holdings Ltd     514,397  
    2,121,000     Want Want China Holdings Ltd     1,538,020  
    9,834,000     Weichai Power Co Ltd – Class H     17,035,754  
    3,591,076     Weifu High-Technology Group Co Ltd – Class A     9,903,913  
    7,380,000     West China Cement Ltd     1,380,909  
    568,000     XTEP International Holdings Ltd     184,191  
    1,220,000     Yadea Group Holdings Ltd     623,709  
    585,400     YiChang HEC ChangJiang Pharmaceutical Co Ltd – Class H     2,081,025  
    12,300     Yum China Holdings Inc     569,982  
    3,450,283     Yuzhou Properties Co Ltd     1,422,721  
    2,186,000     Zhejiang Expressway Co Ltd – Class H     1,539,910  
    1,756,488     Zhejiang Weixing New Building Materials Co Ltd – Class A     2,945,935  
    51,800     Zhengzhou Coal Mining Machinery Group Co Ltd – Class A     37,233  
    601,000     Zhongsheng Group Holdings Ltd     3,109,469  
     

 

 

 
    Total China     859,747,750  
     

 

 

 
          Colombia — 0.0%  
    35,632     Grupo Argos SA     83,110  
     

 

 

 
          Czech Republic — 0.0%  
    209,214     Moneta Money Bank AS     465,280  
     

 

 

 
          Denmark — 0.0%  
    8,609     Coloplast A/S – Class B     1,456,085  
    44,629     Matas A/S     399,101  
    3,054     Ringkjoebing Landbobank A/S     212,752  
    59,514     Scandinavian Tobacco Group A/S     896,006  
     

 

 

 
    Total Denmark     2,963,944  
     

 

 

 
          Finland — 0.1%  
    124,976     Neste Oyj     5,092,635  
    8,911     Sanoma Oyj     86,610  
    58,318     Tokmanni Group Corp     788,115  
     

 

 

 
    Total Finland     5,967,360  
     

 

 

 
          France — 2.9%  
    40,421     ALD SA (a)     447,281  
    32,493     Alten SA     2,624,800  
    56,860     APERAM SA     1,564,663  
    20,306     Arkema     1,780,639  
    2,609     Assystem SA     62,497  
    2,426     Axway Software SA     40,534  
    1,045     BioMerieux     150,158  
    77,057     BNP Paribas SA *     2,772,928  
    2,088     Boiron SA     76,405  
    1,034     Caisse Regionale de Credit Agricole Mutuel Nord de France     27,386  
    10,293     Christian Dior SE     4,379,333  

Shares

    Description       
Value ($)
 
          France — continued  
    116,190     Coface SA     666,689  
    49,613     Dassault Systemes SE (d)     8,470,522  
    75,989     Derichebourg SA     234,958  
    18,283     Eiffage SA *     1,668,969  
    25,835     Fnac Darty SA *     846,597  
    65,613     Gaztransport Et Technigaz SA     4,924,948  
    975     Groupe Crit     59,728  
    1,125     HEXAOM     37,107  
    99,600     Ingenico Group SA     13,863,310  
    9,943     Interparfums SA *     362,112  
    2,892     Ipsen SA     226,272  
    70,398     IPSOS     1,722,954  
    25,882     Kaufman & Broad SA (a)     918,759  
    6,753     Kering SA     3,540,327  
    144,815     L’Oreal SA     42,475,886  
    9,464     LVMH Moet Hennessy Louis Vuitton SE     3,970,388  
    2,885     Mersen SA     66,541  
    129,209     Metropole Television SA *     1,507,173  
    17,696     Nexans SA *     725,205  
    803,774     Peugeot SA * (a)     11,538,496  
    87,764     Quadient     1,273,100  
    3,353     Rothschild & Co *     69,888  
    76,480     Safran SA     7,369,525  
    441,057     Sanofi     43,141,889  
    4,200     Sanofi ADR     206,262  
    50,870     Schneider Electric SE     5,036,779  
    11,103     STMicroelectronics NV     275,742  
    407,100     STMicroelectronics NV – NY Shares     10,116,435  
    2,012     Synergie SA     47,297  
    22,059     TOTAL SA     836,495  
    1,121     Union Financiere de France BQE SA     18,878  
    3,484     Vilmorin & Cie SA     183,461  
     

 

 

 
    Total France     180,329,316  
     

 

 

 
          Germany — 1.6%  
    38,367     Allianz SE (Registered)     6,953,488  
    5,304     Amadeus Fire AG *     597,399  
    3,675     Bauer AG     45,780  
    53,968     Bayer AG (Registered)     3,689,230  
    2,531     Bechtle AG     449,546  
    16,051     Beiersdorf AG     1,685,983  
    3,081     bet-at-home.com AG     138,525  
    46,962     Borussia Dortmund GmbH & Co KGaA     330,832  
    26,825     Carl Zeiss Meditec AG *     2,745,052  
    633,962     CECONOMY AG *     1,880,989  
    1,429     Cewe Stiftung & Co KGaA     146,228  
    20,715     Covestro AG     770,122  
    46,474     CropEnergies AG     456,197  
    591,278     Deutsche Pfandbriefbank AG (d)     4,090,048  
    171,289     Deutz AG     684,005  
    355,948     Dialog Semiconductor Plc *     14,234,019  
    3,624     Draegerwerk AG & Co KGaA     234,215  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description       
Value ($)
 
          Germany — continued  
    20,493     DWS Group GmbH & Co KGaA     772,261  
    6,632     Eckert & Ziegler Strahlen- und Medizintechnik AG     1,049,527  
    3,871     Elmos Semiconductor AG     86,807  
    11,909     Gerresheimer AG     1,018,941  
    2,718     Gesco AG     51,560  
    1,207     Grammer AG     26,426  
    38,846     Hamburger Hafen und Logistik AG     633,854  
    43,199     Hannover Rueck SE     6,976,547  
    23,155     Henkel AG & Co KGaA     1,862,169  
    10,589     Hornbach Holding AG & Co KGaA     762,969  
    238,656     Infineon Technologies AG     5,030,327  
    5,374     KWS Saat SE & Co KGaA     378,518  
    33,492     Merck KGaA     3,860,792  
    32,485     METRO AG     303,868  
    2,835     OHB SE *     111,838  
    208,201     QIAGEN NV * (a)     9,117,122  
    41,508     Siemens AG (Registered)     4,576,452  
    92,043     Siemens Healthineers AG     4,778,967  
    24,322     Siltronic AG     2,402,545  
    68,181     Software AG *     2,639,001  
    49,739     Takkt AG     484,028  
    55,606     Talanx AG *     1,957,128  
    51,302     VERBIO Vereinigte BioEnergie AG     511,165  
    61,405     Volkswagen AG     9,769,733  
    18,109     Wuestenrot & Wuerttembergische AG     330,653  
     

 

 

 
    Total Germany     98,624,856  
     

 

 

 
          Greece — 0.0%  
    776,225     Alpha Bank AE *     478,215  
    1,079,247     Eurobank Ergasias Services and Holdings SA *     462,435  
    521,780     National Bank of Greece SA *     700,256  
    8,270     Titan Cement International SA *     103,735  
     

 

 

 
    Total Greece     1,744,641  
     

 

 

 
          Hong Kong — 0.6%  
    21,200     AIA Group Ltd     173,963  
    133,900     ASM Pacific Technology Ltd     1,228,526  
    346,500     BOC Hong Kong Holdings Ltd     975,956  
    279,800     Budweiser Brewing Co APAC Ltd*     788,717  
    346,000     Cafe de Coral Holdings Ltd     624,456  
    277,000     Chow Sang Sang Holdings International Ltd     268,175  
    3,206,000     CITIC Telecom International Holdings Ltd     1,019,757  
    1,590,000     CSI Properties Ltd     45,612  
    721,200     Dah Sing Banking Group Ltd     641,305  
    540,000     Dah Sing Financial Holdings Ltd     1,511,351  
    1,292,000     Giordano International Ltd     185,700  
    1,834,000     HKT Trust & HKT Ltd – Class SS     2,609,046  
    1,600,213     I-CABLE Communications Ltd *     11,012  

Shares

    Description       
Value ($)
 
          Hong Kong — continued  
    44,200     Jardine Strategic Holdings Ltd     883,230  
    1,429,500     Johnson Electric Holdings Ltd     2,459,240  
    192,000     LVGEM China Real Estate Investment Co Ltd     58,689  
    650,000     Man Wah Holdings Ltd     510,635  
    1,234,000     Pacific Textiles Holdings Ltd     517,983  
    138,000     Pico Far East Holdings Ltd     17,841  
    245,000     Prosperity REIT     69,314  
    229,000     Regal Real Estate Investment Trust     33,286  
    644,000     Shun Tak Holdings Ltd *     229,189  
    536,000     Singamas Container Holdings Ltd     31,294  
    263,000     SJM Holdings Ltd     293,861  
    594,000     Sun Hung Kai & Co Ltd     238,723  
    46,000     TAI Cheung Holdings Ltd     29,245  
    698,000     VSTECS Holdings Ltd     312,243  
    571,600     VTech Holdings Ltd     3,461,037  
    12,894,500     WH Group Ltd     11,217,496  
    414,000     Wheelock & Co Ltd     2,810,356  
    712,000     Xinyi Glass Holdings Ltd     756,450  
    1,524,500     Yue Yuen Industrial Holdings Ltd     2,195,182  
     

 

 

 
    Total Hong Kong     36,208,870  
     

 

 

 
          Hungary — 0.1%  
    896,751     Magyar Telekom Telecommunications Plc     1,127,403  
    141,899     Richter Gedeon Nyrt     3,101,269  
     

 

 

 
    Total Hungary     4,228,672  
     

 

 

 
          India — 1.4%  
    23,631     Ajanta Pharma Ltd     478,613  
    19,778     Alembic Pharmaceuticals Ltd     225,824  
    30,354     Alkem Laboratories Ltd     912,232  
    8,413     Amara Raja Batteries Ltd     68,631  
    1,665,413     Ashok Leyland Ltd     934,942  
    104,228     Asian Paints Ltd     2,314,465  
    179,637     Bajaj Auto Ltd     6,454,142  
    21,341     Balkrishna Industries Ltd     305,382  
    908,502     Balrampur Chini Mills Ltd     1,200,142  
    122,273     Castrol India Ltd     186,797  
    26,839     Dr Reddy’s Laboratories Ltd     1,440,871  
    159,700     Dr Reddy’s Laboratories Ltd ADR     8,534,368  
    762,659     Firstsource Solutions Ltd     314,255  
    252,138     Granules India Ltd     572,848  
    2,774,474     HCL Technologies Ltd     20,313,662  
    91,213     HDFC Bank Ltd     1,149,431  
    17,101     Hero MotoCorp Ltd     530,931  
    151,133     Hindustan Petroleum Corp Ltd     386,121  
    116,378     Hindustan Unilever Ltd     3,174,626  
    102,379     Housing Development Finance Corp Ltd     2,269,640  
    542,577     ICICI Bank Ltd     2,360,440  
    212,635     Indiabulls Housing Finance Ltd     346,086  
    2,964,486     Indian Oil Corp Ltd     3,283,646  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description       
Value ($)
 
          India — continued  
    1,059,369     ITC Ltd     2,763,429  
    285,982     Just Dial Ltd *     1,487,601  
    155,879     Kotak Mahindra Bank Ltd     2,532,008  
    519,465     Mahindra & Mahindra Financial Services Ltd     959,705  
    265,077     Manappuram Finance Ltd     441,727  
    211,939     Mphasis Ltd     2,434,882  
    165,212     Narayana Hrudayalaya Ltd     597,965  
    495,830     National Aluminium Co Ltd     192,486  
    17,982     Polycab India Ltd *     162,905  
    5,104,941     Power Finance Corp Ltd     5,060,296  
    809,264     PTC India Ltd     353,424  
    168,162     Rain Industries Ltd     161,675  
    55,410     Rajesh Exports Ltd     355,800  
    5,991,102     REC Ltd     7,051,211  
    129,632     Shriram Transport Finance Co Ltd     981,117  
    177,382     Sonata Software Ltd     474,526  
    7,843     Sun TV Network Ltd     39,957  
    58,873     Tata Chemicals Ltd     238,771  
    2,012,471     Tata Power Co Ltd (The)     972,751  
    126,805     Titan Co Ltd     1,498,700  
    7,894     Torrent Pharmaceuticals Ltd     240,159  
    58,300     Vedanta Ltd ADR     284,504  
    78,614     Wipro Ltd     220,426  
     

 

 

 
    Total India     87,264,120  
     

 

 

 
          Indonesia — 0.2%  
    1,683,300     Astra International Tbk PT     550,880  
    1,253,600     Bank Central Asia Tbk PT     2,230,639  
    3,416,600     Bank Mandiri Persero Tbk PT     1,049,933  
    3,493,600     Bank Negara Indonesia Persero Tbk PT     919,561  
    4,503,100     Bank Pembangunan Daerah Jawa Timur Tbk PT     150,672  
    14,142,400     Bank Rakyat Indonesia Persero Tbk PT     2,863,619  
    4,481,800     Bank Tabungan Negara Persero Tbk PT     233,140  
    315,500     Bank Tabungan Pensiunan Nasional Syariah Tbk PT     62,381  
    2,711,100     Bukit Asam Tbk PT     360,923  
    3,068,800     Bumi Serpong Damai Tbk PT *     133,380  
    2,540,600     Gajah Tunggal Tbk PT *     61,692  
    2,455,700     Indo Tambangraya Megah Tbk PT     1,366,760  
    1,714,500     Jasa Marga Persero Tbk PT     416,597  
    1,475,700     Matahari Department Store Tbk PT *     146,749  
    450,800     Pabrik Kertas Tjiwi Kimia Tbk PT     122,497  
    6,301,200     Pakuwon Jati Tbk PT     156,128  
    60,353,400     Panin Financial Tbk PT *     696,615  
    15,325,400     Ramayana Lestari Sentosa Tbk PT     599,543  
    3,607,100     Telekomunikasi Indonesia Persero Tbk PT     778,397  
     

 

 

 
    Total Indonesia     12,900,106  
     

 

 

 

Shares

    Description       
Value ($)
 
          Ireland — 0.8%  
    126,760     AIB Group Plc *     139,807  
    452,563     Bank of Ireland Group Plc     808,289  
    31,166     CRH Plc     1,003,598  
    255,100     CRH Plc Sponsored ADR (a)     8,204,016  
    210,144     Flutter Entertainment Plc *     26,735,956  
    45,691     Glanbia Plc     499,996  
    811,921     Hibernia REIT Plc     984,559  
    430,788     Irish Residential Properties REIT Plc     627,442  
    13,182     Kerry Group Plc – Class A     1,633,259  
    149,222     Origin Enterprises Plc     459,129  
    94,732     Permanent TSB Group Holdings Plc *     48,417  
    208,821     Ryanair Holdings Plc *     2,590,751  
    121,418     Smurfit Kappa Group Plc     3,964,985  
    81,464     Total Produce Plc     102,957  
     

 

 

 
    Total Ireland     47,803,161  
     

 

 

 
          Israel — 0.0%  
    6,478     Nova Measuring Instruments Ltd *     320,753  
    1,280,299     Oil Refineries Ltd     310,228  
     

 

 

 
    Total Israel     630,981  
     

 

 

 
          Italy — 1.5%  
    46,441     ACEA SPA     900,562  
    487,031     Anima Holding SPA     2,064,722  
    178,721     Arnoldo Mondadori Editore SPA *     209,746  
    30,499     Ascopiave SPA     138,142  
    5,742     Azimut Holding SPA     95,789  
    251,336     Banca Mediolanum SPA     1,680,283  
    291,275     Buzzi Unicem SPA (a)     5,824,218  
    44,808     Cementir Holding NV     306,900  
    37,562     Credito Emiliano SPA     181,036  
    301,464     Enav SPA     1,373,177  
    4,737,403     Enel SPA     36,628,288  
    453,856     EXOR NV     24,484,754  
    129,898     Falck Renewables SPA     783,688  
    1,550,351     Hera SPA     5,937,576  
    154,487     IMMSI SPA *     59,647  
    207,301     Intesa Sanpaolo SPA *     360,718  
    1,728,830     Iren SPA     4,317,419  
    288,008     Italgas SPA     1,568,320  
    41,691     La Doria SPA     486,897  
    76,522     Mediobanca Banca di Credito Finanziario SPA     503,388  
    495,070     Piaggio & C SPA     1,195,961  
    13,622     Prima Industrie SPA (a)     214,923  
    4,279     Reply SPA     376,412  
    3,198     Sabaf SPA     36,532  
    691,534     Saras SPA *     622,702  
    4,286     Sesa SPA     243,814  
    189,490     Societa Cattolica di Assicurazioni SC     876,032  
    276     Unipol Gruppo SPA *     974  
    275,450     UnipolSai Assicurazioni SPA     613,077  
     

 

 

 
    Total Italy     92,085,697  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description       
Value ($)
 
          Japan — 6.5%  
    45,700     ADEKA Corp     637,145  
    17,600     Aichi Corp     122,650  
    12,500     Aida Engineering Ltd     85,500  
    10,200     Altech Corp     183,967  
    106,200     Amada Holdings Co Ltd     949,014  
    65,200     AOKI Holdings Inc     416,870  
    12,100     Arata Corp     512,205  
    11,400     Arcland Sakamoto Co Ltd     126,128  
    1,093,500     Asahi Kasei Corp (d)     8,690,886  
    2,117,800     Astellas Pharma Inc     37,840,708  
    73,400     Bandai Namco Holdings Inc     4,080,798  
    10,400     Bando Chemical Industries Ltd     60,736  
    558,000     Brother Industries Ltd     10,559,522  
    34,900     Canon Marketing Japan Inc     711,773  
    105,600     Casio Computer Co Ltd     1,864,970  
    7,300     Central Glass Co Ltd     133,610  
    61,500     Chiba Bank Ltd (The)     293,572  
    4,600     Chiyoda Integre Co Ltd     75,351  
    20,100     Chugai Pharmaceutical Co Ltd     2,970,218  
    8,300     Cleanup Corp     40,230  
    10,900     CONEXIO Corp     150,408  
    38,800     Dai Nippon Printing Co Ltd (a)     884,509  
    15,600     Dai Nippon Toryo Co Ltd     143,127  
    4,500     Dai-Dan Co Ltd     120,848  
    71,200     Daicel Corp     604,279  
    5,500     Daiichi Jitsugyo Co Ltd     193,329  
    5,400     Dainichiseika Color & Chemicals Manufacturing Co Ltd     125,514  
    4,300     Daito Pharmaceutical Co Ltd     174,062  
    15,100     Daiwa Industries Ltd     137,438  
    65,300     Daiwabo Holdings Co Ltd     4,392,604  
    31,100     DCM Holdings Co Ltd (a)     322,944  
    47,000     DTS Corp     1,001,256  
    1,500     Elecom Co Ltd     71,587  
    26,300     FANUC Corp     4,699,771  
    30,300     FJ Next Co Ltd (a)     248,269  
    10,200     Fuji Corp     189,294  
    145,100     Fuji Electric Co Ltd     3,876,323  
    6,600     Fuji Pharma Co Ltd     76,144  
    81,400     FUJIFILM Holdings Corp (d)     3,733,536  
    5,300     Fujimori Kogyo Co Ltd     173,541  
    21,400     Fujitec Co Ltd     320,863  
    69,900     Fujitsu General Ltd     1,367,701  
    240,200     Fujitsu Ltd     24,752,124  
    22,400     Furuno Electric Co Ltd     188,086  
    12,000     Furyu Corp     102,584  
    11,400     G-7 Holdings Inc     249,868  
    45,600     Geo Holdings Corp     570,761  
    23,000     Glory Ltd     546,850  
    43,900     Gurunavi Inc     269,080  
    63,400     Hachijuni Bank Ltd (The)     235,452  
    31,100     Hakuhodo DY Holdings Inc     387,297  

Shares

    Description       
Value ($)
 
          Japan — continued  
    10,300     Hakuto Co Ltd     94,419  
    222,700     Haseko Corp     2,720,475  
    24,600     Heiwado Co Ltd     442,086  
    37,600     Hiroshima Bank Ltd (The)     176,834  
    39,000     Hisamitsu Pharmaceutical Co Inc (a)     1,974,636  
    510,500     Hitachi Ltd     16,488,740  
    4,500     Hochiki Corp     57,080  
    2,600     Hokkoku Bank Ltd (The)     67,018  
    296,200     Honda Motor Co Ltd     7,712,630  
    4,200     Hosokawa Micron Corp     237,632  
    8,800     Hoya Corp     828,022  
    22,200     Inaba Denki Sangyo Co Ltd     506,038  
    17,200     Infocom Corp     448,544  
    10,200     Information Services International-Dentsu Ltd     475,443  
    528,800     ITOCHU Corp     11,371,565  
    36,700     Itochu Enex Co Ltd     295,151  
    137,100     Itochu Techno-Solutions Corp     4,640,214  
    1,800     Itochu-Shokuhin Co Ltd     78,507  
    33,500     Itoki Corp     127,589  
    8,000     Japan Aviation Electronics Industry Ltd     111,132  
    49,400     Japan Post Bank Co Ltd     408,806  
    30,900     Jeol Ltd     927,568  
    586,000     JVCKenwood Corp     958,985  
    176,500     K’s Holdings Corp (a)     2,259,434  
    22,300     Kaken Pharmaceutical Co Ltd     1,229,229  
    17,700     Kamei Corp     176,997  
    19,000     Kandenko Co Ltd     173,772  
    119,400     Kanematsu Corp     1,486,850  
    9,200     Kanematsu Electronics Ltd     340,362  
    22,900     Kasai Kogyo Co Ltd (a)     110,258  
    7,100     Kato Sangyo Co Ltd     249,616  
    1,050,600     KDDI Corp     30,666,155  
    31,300     Keihin Corp (d)     740,358  
    15,600     Keiyo Bank Ltd (The)     75,305  
    19,400     Kissei Pharmaceutical Co Ltd     493,257  
    57,800     Kitz Corp     385,852  
    11,500     Kiyo Bank Ltd (The)     178,692  
    1,100     Kobayashi Pharmaceutical Co Ltd (a)     98,409  
    1,546,789     Konica Minolta Holdings Inc     5,746,706  
    2,600     Krosaki Harima Corp     95,366  
    11,700     Kumagai Gumi Co Ltd     286,797  
    12,800     Kureha Corp     565,612  
    15,400     Kyoei Steel Ltd     203,978  
    24,400     KYORIN Holdings Inc     527,533  
    20,800     Kyosan Electric Manufacturing Co Ltd (a)     102,895  
    345,156     LINE Corp *     17,281,598  
    26,200     Lion Corp     603,267  
    89,900     LIXIL VIVA Corp     2,015,368  
    48,100     Makino Milling Machine Co Ltd     1,490,853  
    6,100     Maruzen Showa Unyu Co Ltd     163,419  
    41,500     Marvelous Inc     300,819  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description       
Value ($)
 
          Japan — continued  
    5,700     Matsuda Sangyo Co Ltd     76,506  
    74,700     MCJ Co Ltd     584,080  
    76,600     Mebuki Financial Group Inc     174,128  
    56,000     Meidensha Corp     949,169  
    9,800     MEIJI Holdings Co Ltd     740,024  
    11,800     METAWATER Co Ltd     527,007  
    867,700     Mitsubishi Chemical Holdings Corp     5,111,074  
    59,600     Mitsubishi Gas Chemical Co Inc     890,788  
    5,800     Mitsubishi Research Institute Inc     223,881  
    301,000     Mitsubishi UFJ Financial Group Inc     1,249,491  
    12,600     Mitsuboshi Belting Ltd     192,028  
    14,300     Mitsui Sugar Co Ltd     276,846  
    12,900     Mochida Pharmaceutical Co Ltd     502,053  
    39,500     Modec Inc (a)     597,631  
    36,600     MTI Ltd     205,103  
    94,200     NEC Corp (d)     4,235,444  
    48,600     NEC Networks & System Integration Corp     917,131  
    36,900     Nichi-iko Pharmaceutical Co Ltd     449,838  
    49,000     Nichias Corp     1,132,068  
    11,400     Nichiha Corp     247,145  
    105,900     Nikon Corp     974,701  
    100,800     Nippo Corp     2,506,183  
    32,700     Nippon Flour Mills Co Ltd     496,104  
    96,100     Nippon Kayaku Co Ltd     967,556  
    753,100     Nippon Light Metal Holdings Co Ltd     1,293,538  
    400     Nippon Shinyaku Co Ltd     34,565  
    23,100     Nippon Soda Co Ltd     643,545  
    1,486,700     Nippon Telegraph & Telephone Corp     33,839,058  
    34,200     Nisshin Oillio Group Ltd (The)     1,096,676  
    4,300     Nissin Corp     63,932  
    93,000     Nissin Electric Co Ltd     969,666  
    23,500     Nojima Corp     548,419  
    172,900     Nomura Real Estate Holdings Inc     3,191,393  
    38,500     NS Solutions Corp     1,060,374  
    180,300     NTT DOCOMO Inc     4,955,305  
    923,700     Obayashi Corp     8,565,258  
    1,000     Obic Co Ltd     173,740  
    1,700     Okinawa Cellular Telephone Co     65,386  
    17,800     Organo Corp     1,004,613  
    11,200     Osaka Soda Co Ltd     273,901  
    11,800     Osaki Electric Co Ltd     56,696  
    5,300     Otsuka Corp     256,660  
    10,400     Paramount Bed Holdings Co Ltd     404,515  
    59,200     Penta-Ocean Construction Co Ltd     309,439  
    25,300     Prima Meat Packers Ltd     622,012  
    16,400     Proto Corp     175,729  
    16,400     Raiznext Corp     195,904  
    8,700     Ryoden Corp     114,451  
    9,500     Sac’s Bar Holdings Inc     48,852  
    26,600     San-Ai Oil Co Ltd     273,655  
    26,200     San-In Godo Bank Ltd (The)     129,615  

Shares

    Description       
Value ($)
 
          Japan — continued  
    40,300     Sanki Engineering Co Ltd     514,373  
    11,000     Sanyo Chemical Industries Ltd     505,162  
    5,300     SCSK Corp     260,326  
    19,600     Seikitokyu Kogyo Co Ltd     146,451  
    50,200     Seiko Holdings Corp     852,194  
    53,600     Seino Holdings Co Ltd     731,958  
    211,800     Sekisui Chemical Co Ltd     2,968,820  
    26,400     Sekisui House Ltd     503,953  
    8,500     Sekisui Jushi Corp     187,718  
    120,200     Seven Bank Ltd     343,541  
    35,600     SG Holdings Co Ltd     1,164,068  
    769,300     Shimizu Corp     6,511,952  
    10,500     Shin-Etsu Polymer Co Ltd     92,830  
    11,300     Shinnihon Corp     79,144  
    32,500     Shinsei Bank Ltd (a)     415,688  
    19,200     Shizuoka Gas Co Ltd     176,963  
    175,700     Showa Corp     3,674,498  
    2,300     Sinanen Holdings Co Ltd     58,256  
    18,300     Sinko Industries Ltd     260,728  
    21,500     Sintokogio Ltd     158,026  
    1,463,700     Sojitz Corp     3,410,302  
    88,400     Sony Corp     5,725,300  
    1,300     Starzen Co Ltd     55,859  
    2,898,400     Sumitomo Chemical Co Ltd     9,007,027  
    131,300     Sumitomo Dainippon Pharma Co Ltd     1,859,562  
    3,900     Sumitomo Seika Chemicals Co Ltd     110,437  
    6,400     Suzuken Co Ltd     232,841  
    49,000     T-Gaia Corp (d)     1,044,795  
    107,400     Takara Leben Co Ltd     374,195  
    43,600     Takasago Thermal Engineering Co Ltd     742,343  
    23,700     Tamron Co Ltd     446,736  
    14,800     Tatsuta Electric Wire and Cable Co Ltd     86,634  
    227,700     Teijin Ltd     3,731,861  
    7,600     Token Corp     521,925  
    60,300     Tokyo Electron Ltd     12,134,361  
    13,900     Tokyo Seimitsu Co Ltd     452,469  
    128,100     Tokyu Construction Co Ltd     700,209  
    11,100     Toli Corp     26,924  
    50,600     Toppan Forms Co Ltd     527,629  
    157,800     Toppan Printing Co Ltd     2,704,187  
    14,100     Torii Pharmaceutical Co Ltd     424,737  
    64,300     Tosei Corp     638,995  
    8,700     Toshiba TEC Corp     303,567  
    176,800     Tosoh Corp     2,465,452  
    8,100     Towa Pharmaceutical Co Ltd     171,380  
    106,500     Toyo Construction Co Ltd     425,360  
    18,700     Toyo Ink SC Holdings Co Ltd     362,043  
    57,500     Toyo Suisan Kaisha Ltd     3,013,156  
    21,800     Trend Micro Inc     1,199,921  
    127,800     TS Tech Co Ltd     3,615,393  
    27,200     Tsumura & Co     756,813  
    16,200     Unipres Corp     157,617  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description       
Value ($)
 
          Japan — continued  
    116,300     Ushio Inc     1,384,729  
    4,900     Valqua Ltd     94,816  
    13,600     Vital KSK Holdings Inc     135,003  
    45,800     Wacoal Holdings Corp     950,593  
    23,000     Warabeya Nichiyo Holdings Co Ltd     375,111  
    6,300     Welcia Holdings Co Ltd     530,065  
    39,200     YAMABIKO Corp     357,803  
    19,100     Yamaha Motor Co Ltd     276,669  
    9,000     Yamazaki Baking Co Ltd (a)     161,343  
    35,000     Yamazen Corp     304,543  
    46,200     Yellow Hat Ltd     660,457  
    6,300     Yondoshi Holdings Inc     115,135  
    8,200     Yuasa Trading Co Ltd     240,513  
    7,100     ZERIA Pharmaceutical Co Ltd     140,496  
     

 

 

 
    Total Japan     407,220,004  
     

 

 

 
          Malaysia — 0.3%  
    3,599,500     AirAsia Group Berhad     571,284  
    263,600     AMMB Holdings Berhad     192,611  
    4,034,700     DRB-Hicom Berhad     1,537,539  
    88,200     Hartalega Holdings Berhad     254,874  
    404,700     MISC Berhad     774,277  
    488,700     Sime Darby Berhad     235,526  
    6,362,190     Supermax Corp Berhad *     11,289,265  
    355,400     Ta Ann Holdings Berhad     195,250  
    788,900     Telekom Malaysia Berhad     765,623  
    544,600     Top Glove Corp Berhad     1,669,463  
    258,300     Westports Holdings Berhad     237,515  
     

 

 

 
    Total Malaysia     17,723,227  
     

 

 

 
          Mexico — 0.8%  
    450,300     Alsea SAB de CV *     380,758  
    3,429,100     America Movil SAB de CV – Series L     2,279,417  
    11,100     Arca Continental SAB de CV     49,572  
    902,300     Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand     594,087  
    200     Coca-Cola Femsa SAB de CV Sponsored ADR     8,756  
    86,000     Concentradora Fibra Danhos SA de CV (REIT)     82,027  
    76,800     Corp Inmobiliaria Vesta SAB de CV     104,908  
    824,000     Credito Real SAB de CV SOFOM ER     440,344  
    124,000     El Puerto de Liverpool SAB de CV – Class C1     309,797  
    6,582,900     Fibra Uno Administracion SA de CV (REIT)     5,049,725  
    500     Fomento Economico Mexicano SAB de CV Sponsored ADR (a)     33,855  
    1,303,400     Gentera SAB de CV     543,120  
    191,100     Grupo Aeroportuario del Centro Norte SAB de CV     841,548  

Shares

    Description       
Value ($)
 
          Mexico — continued  
    1,900     Grupo Aeroportuario del Centro Norte SAB de CV ADR     66,975  
    3,800     Grupo Aeroportuario del Pacifico SAB de CV ADR     252,358  
    43,000     Grupo Aeroportuario del Pacifico SAB de CV – Class B     286,221  
    1,900     Grupo Aeroportuario del Sureste SAB de CV ADR     196,973  
    11,600     Grupo Aeroportuario del Sureste SAB de CV – Class B     120,491  
    1,659,000     Grupo Financiero Banorte SAB de CV – Class O     5,053,798  
    99,700     Grupo Financiero Inbursa SAB de CV – Class O     68,162  
    247,513     Grupo Herdez SAB de CV     391,900  
    1,976,600     Grupo Mexico SAB de CV – Series B     4,258,143  
    8,600     Infraestructura Energetica Nova SAB de CV     24,511  
    229,900     Kimberly-Clark de Mexico SAB de CV – Class A     357,895  
    250,800     Qualitas Controladora SAB de CV     1,006,389  
    54,800     Regional SAB de CV *     152,751  
    229,400     Unifin Financiera SAB de CV SOFOM ENR     175,869  
    11,043,700     Wal-Mart de Mexico SAB de CV     27,641,000  
     

 

 

 
    Total Mexico     50,771,350  
     

 

 

 
          Netherlands — 2.0%  
    2,806     Aalberts NV     77,035  
    3,271     Adyen NV *     4,289,202  
    4,559     ASM International NV     531,761  
    451,489     ASR Nederland NV (d)     12,412,026  
    63,652     ForFarmers NV     404,475  
    114,620     Heineken Holding NV     9,424,973  
    816     Hunter Douglas NV     39,170  
    711,633     Koninklijke Ahold Delhaize NV     18,042,690  
    84,830     Koninklijke Philips NV     3,856,624  
    35,264     Koninklijke Vopak NV     1,931,159  
    295,389     Randstad NV     12,427,931  
    776,852     Signify NV     16,728,274  
    70,812     TomTom NV *     602,497  
    171,262     Unilever NV     8,838,188  
    457,231     Wolters Kluwer NV     36,491,743  
     

 

 

 
    Total Netherlands     126,097,748  
     

 

 

 
          New Zealand — 0.0%  
    883,818     Air New Zealand Ltd     753,243  
    49,961     Fisher & Paykel Healthcare Corp Ltd     931,500  
     

 

 

 
    Total New Zealand     1,684,743  
     

 

 

 
          Norway — 0.6%  
    375,842     Austevoll Seafood ASA (a)     2,868,295  
    41,334     Avance Gas Holding Ltd     88,720  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description       
Value ($)
 
          Norway — continued  
    22,537     Borregaard ASA     245,645  
    639,099     BW LPG Ltd     2,134,821  
    593,483     DNB ASA     8,099,758  
    892,022     Elkem ASA     1,630,531  
    14,088     Equinor ASA     205,454  
    191,115     Europris ASA     807,107  
    69,800     Frontline Ltd     637,274  
    280,546     Gjensidige Forsikring ASA     5,114,595  
    267,676     Kongsberg Automotive ASA * (a)     16,958  
    36,493     Norwegian Finans Holding ASA *     260,212  
    879,752     Orkla ASA     7,901,704  
    26,352     Salmar ASA     1,188,388  
    30,725     Sbanken ASA *     204,995  
    61,466     Selvaag Bolig ASA     316,736  
    123,657     SpareBank 1 Nord Norge     813,624  
    55,483     SpareBank 1 SMN     445,482  
    347,779     SpareBank 1 SR-Bank ASA     2,588,792  
    48,882     Veidekke ASA *     499,004  
     

 

 

 
    Total Norway     36,068,095  
     

 

 

 
          Pakistan — 0.1%  
    186,760     Engro Corp Ltd     335,092  
    1,547,500     Engro Fertilizers Ltd     573,059  
    282,500     Fauji Fertilizer Co Ltd     189,379  
    125,900     Nishat Mills Ltd     57,264  
    1,504,200     Oil & Gas Development Co Ltd     1,066,633  
    189,320     Pakistan Oilfields Ltd     370,273  
    451,060     Pakistan Petroleum Ltd     259,306  
    136,280     Pakistan State Oil Co Ltd     132,531  
    100,900     Searle Co Ltd (The)     124,987  
    247,200     United Bank Ltd     147,653  
     

 

 

 
    Total Pakistan     3,256,177  
     

 

 

 
          Philippines — 0.1%  
    43,320     Globe Telecom Inc     1,963,290  
    237,740     Manila Electric Co     1,331,589  
    20,961,600     Megaworld Corp     1,182,653  
    13,892,000     Metro Pacific Investments Corp     795,861  
    85,750     Security Bank Corp     138,399  
    1,463,125     Semirara Mining & Power Corp     318,349  
     

 

 

 
    Total Philippines     5,730,141  
     

 

 

 
          Poland — 0.9%  
    127,811     Alior Bank SA *     460,375  
    38,194     AmRest Holdings SE *     250,434  
    101,005     Asseco Poland SA     1,842,068  
    317,594     Bank Millennium SA *     196,841  
    541,915     Bank Polska Kasa Opieki SA     7,072,394  
    36,370     Budimex SA     2,050,254  
    78,987     CCC SA     953,307  
    6,565     CD Projekt SA     661,792  
    266,209     Cyfrowy Polsat SA     1,736,269  

Shares

    Description       
Value ($)
 
          Poland — continued  
    581,474     Energa SA *     1,145,913  
    118,849     EPP NV     41,464  
    4,706     KRUK SA     118,379  
    30,049     Lubelski Wegiel Bogdanka SA     145,947  
    380     mBank SA *     20,297  
    826,824     Orange Polska SA *     1,339,344  
    471,786     PLAY Communications SA     3,347,007  
    573,586     Polski Koncern Naftowy ORLEN SA     9,571,236  
    824,746     Powszechna Kasa Oszczednosci Bank Polski SA     4,562,875  
    2,819,986     Powszechny Zaklad Ubezpieczen SA     21,011,532  
    12,064     Santander Bank Polska SA     490,466  
    67,364     Warsaw Stock Exchange     688,184  
     

 

 

 
    Total Poland     57,706,378  
     

 

 

 
          Portugal — 0.9%  
    536,013     Altri SGPS SA (a)     2,465,538  
    7,323,055     Banco Comercial Portugues SA – Class R (a)     799,426  
    299,333     CTT-Correios de Portugal SA (a)     681,959  
    45,154     EDP Renovaveis SA     597,065  
    3,636,624     EDP – Energias de Portugal SA     16,988,794  
    1,362,341     Galp Energia SGPS SA     16,209,387  
    491,647     Jeronimo Martins SGPS SA     8,383,415  
    244,022     Mota-Engil SGPS SA (a)     310,419  
    456,574     Navigator Co SA (The)     1,124,389  
    800,900     NOS SGPS SA*     3,279,121  
    439,312     REN – Redes Energeticas Nacionais
SGPS SA
    1,176,829  
    32,033     Semapa-Sociedade de Investimento e
Gestao *
    294,560  
    3,243,948     Sonae SGPS SA     2,429,169  
     

 

 

 
    Total Portugal     54,740,071  
     

 

 

 
          Qatar — 0.2%  
    2,635,244     Barwa Real Estate Co     2,140,479  
    657,997     Doha Bank QPSC *     369,691  
    103,008     Qatar Electricity & Water Co QSC     426,640  
    370,795     Qatar Insurance Co SAQ     212,206  
    1,237,206     Qatar National Bank QPSC     5,999,243  
    489,023     Qatar National Cement Co QSC     523,217  
     

 

 

 
    Total Qatar     9,671,476  
     

 

 

 
          Russia — 4.9%  
    12,155,750     Alrosa PJSC     11,455,366  
    2,997,200     Credit Bank of Moscow PJSC     231,020  
    460,360     Detsky Mir PJSC     650,716  
    29,483,000     ENEL RUSSIA PJSC     408,340  
    66,973     Etalon Group Plc GDR (Registered)     84,153  
    365,500,000     Federal Grid Co Unified Energy System PJSC     958,777  
    582,920     Gazprom Neft PJSC     2,781,048  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description       
Value ($)
 
          Russia — continued  
    305,150     Gazprom PJSC     873,404  
    313,284     Globaltrans Investment Plc Sponsored GDR (Registered)     1,747,179  
    310,991,000     Inter RAO UES PJSC     22,019,299  
    46,319     LSR Group PJSC     387,026  
    234,759     LSR Group PJSC GDR (Registered)     382,198  
    131,270     LUKOIL PJSC     9,873,813  
    743,747     LUKOIL PJSC Sponsored ADR     55,881,237  
    217,430     M.Video PJSC     1,053,280  
    8,802,600     Magnitogorsk Iron & Steel Works PJSC     5,085,186  
    169,821     Magnitogorsk Iron & Steel Works PJSC Sponsored GDR (Registered)     1,269,403  
    10,210     MMC Norilsk Nickel PJSC     3,227,944  
    1,272,223     MMC Norilsk Nickel PJSC ADR     40,250,079  
    285,935     Mobile TeleSystems PJSC Sponsored ADR (a)     2,541,962  
    4,422,610     Moscow Exchange MICEX-RTS PJSC     7,225,128  
    88,846     Novatek PJSC Sponsered GDR (Registered)     13,005,634  
    449,960     Novolipetsk Steel PJSC     883,614  
    891,221     Novolipetsk Steel PJSC GDR     17,272,485  
    136,849     PhosAgro PJSC GDR (Registered)     1,900,682  
    3,551     Polymetal International Plc     71,377  
    995     Polyus PJSC GDR (Registered)     82,346  
    118,392     QIWI Plc Sponsored ADR     1,650,976  
    352,420     Raspadskaya OJSC     539,978  
    177,198,000     ROSSETI PJSC     4,195,929  
    459,060     Rostelecom PJSC     542,369  
    36,650     Safmar Financial Investment     206,790  
    3,366,149     Sberbank of Russia PJSC Sponsored ADR     38,386,705  
    386,249     Severstal PJSC GDR (Registered)     5,098,144  
    8,733,400     Surgutneftegas PJSC     4,956,340  
    2,842,517     Surgutneftegas PJSC Sponsored ADR     16,039,277  
    392,499     Tatneft PJSC     2,988,666  
    516,683     Tatneft PJSC Sponsored ADR     23,545,624  
    162,470     TCS Group Holding Plc GDR (Registered)     2,829,479  
    32,202,000     Unipro PJSC     1,258,560  
    1,033,825     VTB Bank PJSC GDR (Registered)     1,021,013  
    9,054     X5 Retail Group NV GDR (Registered)     269,221  
    1,251     Yandex NV – Class A * (b)     50,774  
    9,900     Yandex NV – Class A * (a) (b)     398,277  
     

 

 

 
    Total Russia     305,580,818  
     

 

 

 
          Singapore — 1.4%  
    310,300     Accordia Golf Trust     133,264  
    483,900     AEM Holdings Ltd     1,054,713  
    753,200     Ascendas (REIT)     1,676,264  
    737,900     Asian Pay Television Trust     65,869  
    1,000     Cache Logistics Trust (REIT)     366  
    1,370,000     CapitaLand Commercial Trust (REIT)     1,702,042  
    610,700     CapitaLand Ltd     1,253,988  

Shares

    Description       
Value ($)
 
          Singapore — continued  
    1,441,500     CapitaLand Mall Trust (REIT)     2,079,883  
    2,083,300     ComfortDelGro Corp Ltd     2,128,433  
    1,760,200     DBS Group Holdings Ltd     24,351,470  
    583,100     First Real Estate Investment Trust     366,452  
    224,800     Frasers Logistics & Industrial Trust (REIT)     177,236  
    1,160,899     Japfa Ltd     547,579  
    628,100     Keppel DC (REIT)     1,145,959  
    423,700     Mapletree Commercial Trust (REIT)     602,807  
    3,356,700     Mapletree Greater China Commercial Trust (REIT)     1,992,368  
    1,609,000     Mapletree Industrial Trust (REIT)     3,110,652  
    513,700     Mapletree Logistics Trust (REIT)     748,202  
    41,000     QAF Ltd     22,234  
    865,500     Sasseur Real Estate Investment Trust     491,897  
    522,200     Silverlake Axis Ltd     87,121  
    1,038,800     Singapore Exchange Ltd     6,103,074  
    442,400     Singapore Technologies Engineering Ltd     1,001,899  
    184,000     Sino Grandness Food Industry Group Ltd *     2,217  
    861,800     SPH (REIT)     507,635  
    545,400     StarHub Ltd     525,022  
    290,400     United Overseas Bank Ltd     4,022,179  
    502,500     Venture Corp Ltd     5,460,709  
    637,400     Wilmar International Ltd     1,800,718  
    36,700     Wing Tai Holdings Ltd     48,179  
    30,332,951     Yangzijiang Shipbuilding Holdings Ltd     20,243,638  
    1,599,000     Yanlord Land Group Ltd *     1,249,317  
     

 

 

 
    Total Singapore     84,703,386  
     

 

 

 
          South Africa — 1.3%  
    3,484,344     Absa Group Ltd     16,202,554  
    39,768     AECI Ltd     163,359  
    1,494,532     African Phoenix Investments Ltd *     33,103  
    12,600     Anglo American Platinum Ltd     798,936  
    35,323     Aspen Pharmacare Holdings Ltd *     282,596  
    234,358     Astral Foods Ltd     2,061,936  
    560,358     Barloworld Ltd     2,150,108  
    9,795     BID Corp Ltd     138,265  
    3,068,141     Blue Label Telecoms Ltd *     437,809  
    1,732     Capitec Bank Holdings Ltd     84,010  
    29,909     Clicks Group Ltd     397,196  
    171,461     Discovery Ltd     964,383  
    959,643     Emira Property Fund Ltd (REIT)     306,223  
    187,268     FirstRand Ltd     430,058  
    703,620     Fortress REIT Ltd – Class A     444,974  
    240,288     Foschini Group Ltd (The)     855,081  
    4,215,202     Growthpoint Properties Ltd (REIT)     3,004,526  
    315,643     Imperial Logistics Ltd     704,541  
    493,517     Investec Ltd     868,049  
    9,866     JSE Ltd     67,111  
    504,622     Kumba Iron Ore Ltd     13,628,299  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description       
Value ($)
 
          South Africa — continued  
    509,254     Lewis Group Ltd     424,852  
    818,903     Liberty Holdings Ltd     2,911,524  
    148,561     Life Healthcare Group Holdings Ltd     154,323  
    204,488     Momentum Metropolitan Holdings     200,786  
    828,587     Motus Holdings Ltd     1,310,348  
    508,739     Mr Price Group Ltd     3,786,659  
    152,683     MTN Group Ltd     473,308  
    91,753     MultiChoice Group Ltd *     453,321  
    70,066     Murray & Roberts Holdings Ltd     16,529  
    138,657     Nedbank Group Ltd     784,804  
    1,294,371     Netcare Ltd     1,047,172  
    6,952,806     Old Mutual Ltd     4,461,406  
    63,928     Pepkor Holdings Ltd     43,576  
    348,406     Rand Merchant Investment Holdings Ltd     541,876  
    4,832,185     Redefine Properties Ltd (REIT)     528,589  
    610,828     Reunert Ltd     1,511,353  
    96,224     RMB Holdings Ltd     293,085  
    1,474,023     SA Corporate Real Estate Ltd (REIT)     83,324  
    2,078,170     Sanlam Ltd     6,712,499  
    38,934     Santam Ltd     599,884  
    88,670     Sappi Ltd *     128,116  
    21,915     SPAR Group Ltd (The)     219,097  
    24,997     Standard Bank Group Ltd     145,498  
    3,194,149     Telkom SA SOC Ltd     3,230,139  
    31,083     Tiger Brands Ltd     278,018  
    2,004,673     Truworths International Ltd     3,582,044  
    267,529     Tsogo Sun Gaming Ltd     32,659  
    95,801     Vodacom Group Ltd     687,832  
    267,993     Wilson Bayly Holmes-Ovcon Ltd     1,463,562  
     

 

 

 
    Total South Africa     80,129,300  
     

 

 

 
          South Korea — 3.1%  
    83,276     Aekyung Petrochemical Co Ltd     468,088  
    29,624     Aju Capital Co Ltd     294,549  
    22,851     Boryung Pharmaceutical Co Ltd     273,145  
    3,029     Chong Kun Dang Pharmaceutical Corp     231,372  
    348     Dae Han Flour Mills Co Ltd     37,389  
    124,222     DB HiTek Co Ltd     2,893,802  
    65,155     DB Insurance Co Ltd     2,290,953  
    2,959     Dong-A ST Co Ltd     207,730  
    2,789     DongKook Pharmaceutical Co Ltd     217,473  
    74,939     Dongwha Pharm Co Ltd     701,862  
    544,421     Dongwon Development Co Ltd     1,589,808  
    98     Doosan Bobcat Inc     1,882  
    181     F&F Co Ltd     14,575  
    2,331     GOLFZON Co Ltd     140,973  
    17,195     GS Home Shopping Inc     1,659,218  
    1,271,757     Hana Financial Group Inc     30,727,809  
    66,170     Hankook Tire & Technology Co Ltd     1,257,637  
    700,252     Hanwha Life Insurance Co Ltd     862,275  
    53,315     HDC Hyundai Development Co-Engineering & Construction     858,843  

Shares

    Description       
Value ($)
 
          South Korea — continued  
    41,107     Huons Co Ltd     1,621,557  
    16,277     Hy-Lok Corp     174,333  
    6,005     Hyosung Corp     327,479  
    32,350     Hyundai Home Shopping Network Corp     1,754,563  
    13,861     Hyundai Marine & Fire Insurance Co Ltd     272,212  
    25,753     Hyundai Mobis Co Ltd     4,129,157  
    70,061     Hyundai Motor Co     5,570,437  
    54,783     Il Dong Pharmaceutical Co Ltd *     612,848  
    1,099,960     Industrial Bank of Korea     7,387,952  
    145,130     JB Financial Group Co Ltd     558,819  
    4,819     Kangwon Land Inc     94,668  
    146,663     KB Financial Group Inc     4,002,593  
    6,819     KCC Corp     790,122  
    33,441     KEPCO Plant Service & Engineering Co Ltd     835,957  
    1,239,426     Kia Motors Corp     34,464,144  
    142,408     Korea Asset In Trust Co Ltd     306,198  
    45,196     Korea Autoglass Corp     481,306  
    4,490     Korea Investment Holdings Co Ltd     192,354  
    77,408     Korean Reinsurance Co     463,246  
    54,900     KT Corp Sponsored ADR     534,726  
    67,372     KT Hitel Co Ltd *     302,251  
    176,833     KT&G Corp     12,001,359  
    34,866     Kyungdong Pharm Co Ltd     237,479  
    121,754     LF Corp     1,336,171  
    4,795     LG Electronics Inc     230,552  
    8,132     LG Uplus Corp     86,608  
    8,282     LOTTE Fine Chemical Co Ltd     254,124  
    20,564     LOTTE Himart Co Ltd     457,907  
    6,562     LS Electric Co Ltd     242,274  
    10,532     Mando Corp     228,175  
    6,827     Medy-Tox Inc     931,619  
    11,444     Meritz Fire & Marine Insurance Co Ltd     134,625  
    28,523     Mirae Asset Life Insurance Co Ltd     70,418  
    338     NCSoft Corp     215,908  
    18,670     OCI Co Ltd *     593,967  
    39,368     S&T Motiv Co Ltd     1,275,932  
    72,595     Samjin Pharmaceutical Co Ltd     1,625,348  
    532,708     Samsung Electronics Co Ltd     21,940,148  
    3,811     Samsung Electronics Co Ltd GDR (Registered)     3,933,666  
    2,993     Samyang Foods Co Ltd     286,790  
    8,508     Sebang Global Battery Co Ltd     197,565  
    714,006     Shinhan Financial Group Co Ltd     17,451,621  
    2,517     SK Holdings Co Ltd     488,006  
    125,325     SK Hynix Inc     8,310,621  
    6,112     SK Telecom Co Ltd     1,067,470  
    561,241     SK Telecom Co Ltd Sponsored ADR     10,803,889  
    33,965     SL Corp (c)     192,792  
    180     Taekwang Industrial Co Ltd     107,897  
    289,462     Woori Financial Group Inc     2,135,992  
    5,980     Yuhan Corp     251,589  
     

 

 

 
    Total South Korea     196,696,817  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description       
Value ($)
 
          Spain — 1.8%  
    46,988     Acerinox SA *     375,916  
    205,568     Aena SME SA     29,338,025  
    191,587     Almirall SA *     2,512,384  
    43,203     Amadeus IT Group SA     2,259,146  
    89,963     Banco Santander SA     205,684  
    154,023     Bankinter SA     654,341  
    208,669     Cia de Distribucion Integral Logista Holdings SA     3,860,631  
    35,896     Ebro Foods SA     751,576  
    30,792     eDreams ODIGEO SA *     97,990  
    204,593     Enagas SA     4,611,468  
    1,107,022     Endesa SA     26,442,691  
    159,818     Faes Farma SA     645,136  
    12,757     Grifols SA     398,099  
    1,259,170     Iberdrola SA     13,633,637  
    370,870     Industria de Diseno Textil SA     10,330,009  
    584,439     Mediaset Espana Comunicacion SA * (a)     2,087,100  
    399,350     Red Electrica Corp SA     7,031,814  
    59,181     Repsol SA     557,194  
    736,324     Unicaja Banco SA     398,872  
    52,462     Viscofan SA (a)     3,446,043  
     

 

 

 
    Total Spain     109,637,756  
     

 

 

 
          Sweden — 1.0%  
    74,358     Axfood AB     1,667,531  
    232,693     Betsson AB *     1,623,889  
    142,276     Bilia AB-Class A     1,165,968  
    245,775     Boliden AB     5,370,522  
    10,344     Bufab AB *     93,950  
    153,227     Cloetta AB-Class B     386,467  
    21,441     Humana AB     99,140  
    115,492     Inwido AB     736,691  
    46,397     JM AB     915,032  
    36,274     Klovern AB – B Shares     57,794  
    84,163     Lindab International AB     858,238  
    37,964     Loomis AB – Class B     959,917  
    19,900     New Wave Group AB – Class B *     60,863  
    224,889     Nobia AB     1,018,799  
    51,514     Resurs Holding AB     219,540  
    343,089     Skanska AB – B Shares     6,897,066  
    159,846     Swedish Match AB     11,156,134  
    79,039     Volvo AB – A Shares     1,125,093  
    1,975,364     Volvo AB – B Shares     28,187,212  
     

 

 

 
    Total Sweden     62,599,846  
     

 

 

 
          Switzerland — 1.3%  
    8,530     ALSO Holding AG (Registered) *     2,002,961  
    6,690     Banque Cantonale Vaudoise (Registered)     652,391  
    20,743     BKW AG     1,659,855  
    8,404     Bobst Group SA (Registered) (a)     507,377  
    37,120     Galenica AG     2,749,860  

Shares

    Description       
Value ($)
 
          Switzerland — continued  
    119     Gurit Holding AG     181,001  
    9,854     Huber + Suhner AG (Registered)     679,865  
    6,325     Kardex AG (Registered)     1,097,655  
    42,050     Mobilezone Holding AG (Registered)     359,505  
    16,714     Nestle SA (Registered)     1,814,756  
    115,523     Novartis AG (Registered)     10,056,958  
    6,147     Orior AG *     473,441  
    4,963     Partners Group Holding AG     4,134,548  
    35,297     Roche Holding AG     12,373,207  
    121,565     Roche Holding AG – Genusschein     42,197,825  
    5,700     Vetropack Holding AG (Registered) *     356,846  
    18,377     Wizz Air Holdings Plc *     747,127  
    3,873     Zehnder Group AG – Class RG     150,129  
     

 

 

 
    Total Switzerland     82,195,307  
     

 

 

 
          Taiwan — 6.0%  
    302,000     Ability Enterprise Co Ltd     119,807  
    321,000     AcBel Polytech Inc     219,002  
    59,000     Amazing Microelectronic Corp     164,417  
    69,000     Arcadyan Technology Corp     194,438  
    3,571,799     Asustek Computer Inc     25,077,465  
    70,000     Aten International Co Ltd     209,101  
    3,315,000     Catcher Technology Co Ltd     24,159,442  
    1,043,000     Cathay Financial Holding Co Ltd     1,393,698  
    1,402,890     Chailease Holding Co Ltd     5,468,110  
    2,591,660     Chicony Electronics Co Ltd     7,435,792  
    120,000     Chicony Power Technology Co Ltd     267,981  
    8,585,000     China Development Financial Holding Corp     2,606,824  
    151,000     China Life Insurance Co Ltd *     104,586  
    226,400     China Motor Corp     274,051  
    227,000     ChipMOS Technologies Inc     234,360  
    427,000     Chong Hong Construction Co Ltd     1,191,181  
    19,000     Chunghwa Telecom Co Ltd     69,959  
    4,555,000     Coretronic Corp *     4,724,233  
    19,278,000     CTBC Financial Holding Co Ltd     12,849,404  
    202,000     Darfon Electronics Corp     242,295  
    61,000     Depo Auto Parts Ind Co Ltd     98,781  
    17,000     Eclat Textile Co Ltd     175,157  
    659,000     Elite Material Co Ltd     3,246,984  
    593,000     Elitegroup Computer Systems Co Ltd *     231,413  
    563,000     Farglory Land Development Co Ltd     820,963  
    885,300     Feng TAY Enterprise Co Ltd     5,353,770  
    1,985,000     FLEXium Interconnect Inc     7,209,531  
    244,000     Formosa Advanced Technologies Co Ltd     302,867  
    101,000     Formosa Chemicals & Fibre Corp     242,664  
    881,000     Formosa Plastics Corp     2,439,651  
    1,433,000     Formosa Taffeta Co Ltd     1,633,972  
    1,323,000     Foxconn Technology Co Ltd     2,382,335  
    3,636,000     Fubon Financial Holding Co Ltd     5,145,368  
    2,750,000     Gigabyte Technology Co Ltd     5,415,983  
    6,655,000     Grand Pacific Petrochemical *     3,134,609  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description       
Value ($)
 
          Taiwan — continued  
    2,310,580     Great Wall Enterprise Co Ltd     3,312,535  
    535,000     Greatek Electronics Inc     802,896  
    121,000     Holiday Entertainment Co Ltd     266,917  
    1,231,000     Holtek Semiconductor Inc     2,646,063  
    23,489,600     Hon Hai Precision Industry Co Ltd     59,426,156  
    490,000     Huaku Development Co Ltd     1,552,172  
    318,530     IBF Financial Holdings Co Ltd     120,155  
    416,980     IEI Integration Corp *     542,757  
    58,000     Innodisk Corp     371,094  
    3,000     King Slide Works Co Ltd     32,508  
    319,000     Kinik Co     648,466  
    168,000     Kung Long Batteries Industrial Co Ltd     807,087  
    29,000     Lion Travel Service Co Ltd     75,754  
    813,000     Lite-On Semiconductor Corp     1,119,167  
    2,661,000     Lite-On Technology Corp     4,270,412  
    9,000     Lotes Co Ltd     121,247  
    240,000     MediaTek Inc     3,705,490  
    53,000     Mercuries & Associates Holding Ltd     39,082  
    2,374,088     Mercuries Life Insurance Co Ltd *     728,592  
    640,000     Merry Electronics Co Ltd     2,892,867  
    791,000     Micro-Star International Co Ltd     2,668,836  
    3,965,008     Mitac Holdings Corp     4,281,194  
    466,000     Nantex Industry Co Ltd     581,011  
    22,000     Nichidenbo Corp     38,525  
    2,919,000     Novatek Microelectronics Corp     19,986,572  
    1,767,000     Pegatron Corp     3,803,232  
    783,000     Phison Electronics Corp     7,216,819  
    13,199,566     Pou Chen Corp     13,016,975  
    70,000     Powertech Technology Inc     226,705  
    149,000     Primax Electronics Ltd     230,869  
    3,694,000     Qisda Corp     2,046,357  
    1,328,000     Quanta Computer Inc     3,102,223  
    681,000     Quanta Storage Inc     838,237  
    9,408,020     Radiant Opto-Electronics Corp     32,389,514  
    260,000     Ruentex Industries Ltd     565,462  
    149,000     Sercomm Corp     357,005  
    29,000     Sheng Yu Steel Co Ltd     15,556  
    174,000     Shin Zu Shing Co Ltd     788,143  
    233,000     Shinkong Insurance Co Ltd     277,008  
    736,400     Simplo Technology Co Ltd     7,889,542  
    131,000     Sinbon Electronics Co Ltd     659,292  
    127,000     Sitronix Technology Corp     646,032  
    235,000     Soft-World International Corp     839,134  
    141,000     Standard Chemical & Pharmaceutical Co Ltd     183,328  
    2,043,000     Sunplus Technology Co Ltd *     760,535  
    653,000     Syncmold Enterprise Corp     1,764,954  
    54,000     Taiflex Scientific Co Ltd     84,862  
    1,513,000     Taiwan PCB Techvest Co Ltd     1,882,110  
    1,681,000     Taiwan Semiconductor Manufacturing Co Ltd     16,341,456  
    370,950     Taiwan Semiconductor Manufacturing Co Ltd Sponsored ADR (a)     18,669,913  

Shares

    Description       
Value ($)
 
          Taiwan — continued  
    559,000     Taiwan Surface Mounting Technology Corp     2,142,979  
    258,000     Teco Electric and Machinery Co Ltd     242,601  
    22,000     Test Research Inc     40,180  
    30,000     Thinking Electronic Industrial Co Ltd     87,560  
    545,217     TOPBI International Holdings Ltd     1,051,633  
    609,064     Topco Scientific Co Ltd     2,116,121  
    228,000     Topkey Corp     929,236  
    710,000     Transcend Information Inc     1,663,372  
    779,000     Tripod Technology Corp     2,929,352  
    728,800     United Integrated Services Co Ltd     5,115,116  
    176,000     Wah Lee Industrial Corp     323,990  
    270,000     Wistron Corp     257,414  
    17,000     Wiwynn Corp     455,541  
    668,000     Youngtek Electronics Corp     1,400,525  
    11,996,000     Yuanta Financial Holding Co Ltd     6,509,530  
    19,000     Yulon Nissan Motor Co Ltd     167,909  
     

 

 

 
    Total Taiwan     375,906,071  
     

 

 

 
          Thailand — 0.3%  
    1,095,400     AP Thailand Pcl (Foreign Registered)     191,660  
    169,400     AP Thailand Pcl NVDR     29,640  
    501,700     Bangkok Bank Pcl NVDR     1,725,944  
    217,700     Bangkok Life Assurance Pcl NVDR     102,878  
    4,175,800     Banpu Pcl (Foreign Registered)     820,457  
    705,900     Banpu Power Pcl NVDR     388,403  
    21,637,000     Beauty Community Pcl NVDR     1,193,982  
    264,300     Hana Microelectronics Pcl NVDR     249,954  
    1,665,900     Jasmine International Pcl NVDR     196,327  
    567,600     Kasikornbank Pcl NVDR     1,721,097  
    368,100     Krung Thai Bank Pcl NVDR     120,706  
    2,362,500     Land & Houses Pcl NVDR     543,809  
    1,422,900     Origin Property Pcl NVDR     226,437  
    388,600     Pruksa Holding Pcl (Foreign Registered)     145,648  
    1,621,500     Pruksa Holding Pcl NVDR     607,742  
    3,255,900     Quality Houses Pcl NVDR     221,526  
    849,700     SC Asset Corp Pcl (Foreign Registered)     54,027  
    500,400     Siam Commercial Bank Pcl NVDR (The)     1,168,877  
    207,800     Somboon Advance Technology Pcl NVDR     73,996  
    238,000     SPCG Pcl NVDR     131,055  
    1,148,725     Supalai Pcl (Foreign Registered)     535,256  
    989,200     Supalai Pcl NVDR     460,924  
    3,083,300     Thai Beverage Pcl (a)     1,379,369  
    292,200     Thai Vegetable Oil Pcl NVDR     243,650  
    3,439,500     Thanachart Capital Pcl (Foreign Registered)     3,954,459  
    634,700     Thanachart Capital Pcl NVDR     729,727  
    396,600     Tipco Asphalt Pcl NVDR     275,016  
    29,800     Tisco Financial Group Pcl NVDR     70,499  
    594,900     TTW Pcl NVDR     256,281  
    1,054,700     Univentures Pcl NVDR     110,996  
     

 

 

 
    Total Thailand     17,930,342  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description       
Value ($)
 
          Turkey — 0.7%  
    1,361,861     Akbank TAS *     1,139,790  
    393,387     Arcelik AS *     908,703  
    38,256     Coca-Cola Icecek AS     227,091  
    1,753,653     Enerjisa Enerji AS     2,087,768  
    5,973,068     Eregli Demir ve Celik Fabrikalari TAS     7,043,100  
    171,452     Haci Omer Sabanci Holding AS     208,466  
    5,887,068     KOC Holding AS     13,919,078  
    781,789     Selcuk Ecza Deposu Ticaret ve Sanayi AS     937,997  
    1,166,431     TAV Havalimanlari Holding AS     3,481,558  
    441,792     Tofas Turk Otomobil Fabrikasi AS     1,442,900  
    2,813,251     Turkiye Garanti Bankasi AS *     3,226,275  
    11,081,928     Turkiye Is Bankasi – Class C *     8,070,249  
    1,435,459     Turkiye Sinai Kalkinma Bankasi AS *     231,514  
    2,647,203     Turkiye Vakiflar Bankasi TAO – Class D *     1,810,384  
    119,350     Yapi ve Kredi Bankasi AS *     40,756  
     

 

 

 
    Total Turkey     44,775,629  
     

 

 

 
          United Arab Emirates — 0.1%  
    9,027     Abu Dhabi Commercial Bank PJSC     10,830  
    176,600     Abu Dhabi Islamic Bank PJSC     163,447  
    481,320     Al Waha Capital PJSC *     86,302  
    562,034     Dubai Islamic Bank PJSC     541,449  
    179,050     Emaar Development PJSC *     94,579  
    555,510     Emaar Malls PJSC *     199,944  
    9,376,893     Emaar Properties PJSC *     6,398,045  
    77,254     Emirates NBD Bank PJSC     181,229  
     

 

 

 
    Total United Arab Emirates     7,675,825  
     

 

 

 
          United Kingdom — 5.5%  
    2,394,501     3i Group Plc     24,504,014  
    170,063     888 Holdings Plc     322,548  
    149,420     Aggreko Plc     875,716  
    173,442     Alliance Pharma Plc     161,849  
    205,429     Anglo American Plc     4,348,733  
    38,473     Ashtead Group Plc     1,148,890  
    87,740     Atlantica Sustainable Infrastructure Plc     2,298,788  
    48,184     Avast Plc     300,596  
    158,423     AVEVA Group Plc     8,049,127  
    198,332     BAE Systems Plc     1,224,069  
    36,801     Bank of Georgia Group Plc     421,015  
    2,875,362     Barratt Developments Plc     17,785,845  
    218,807     Bellway Plc     6,984,705  
    198,909     Berkeley Group Holdings Plc (The)     10,132,753  
    72,163     Biffa Plc     224,258  
    370,982     British American Tobacco Plc     14,713,296  
    495,200     British American Tobacco Plc Sponsored
ADR
    19,847,616  
    9,697     Burberry Group Plc     181,076  
    1,765,744     Centamin Plc     3,594,370  
    98,956     CMC Markets Plc     242,027  

Shares

    Description       
Value ($)
 
          United Kingdom — continued  
    261,513     Coca-Cola HBC AG     6,622,194  
    352,914     Compass Group Plc     5,173,503  
    143,484     Computacenter Plc     2,858,205  
    14,881     Cranswick Plc     679,588  
    120,134     Daily Mail & General Trust Plc (a)     1,071,539  
    29,977     Dart Group Plc     328,308  
    37,845     Derwent London Plc (REIT)     1,381,168  
    29,700     Diageo Plc Sponsored ADR     4,176,117  
    22,440     Diploma Plc     510,152  
    321,250     Dixons Carphone Plc     300,909  
    265,884     Dunelm Group Plc     3,515,635  
    344,639     Electrocomponents Plc     2,721,680  
    38,435     EMIS Group Plc     537,694  
    34,735     Ferguson Plc     2,739,481  
    1,990,114     Ferrexpo Plc     4,335,339  
    330,675     Frasers Group Plc *     1,255,905  
    15,822     Games Workshop Group Plc     1,565,695  
    54,436     Gem Diamonds Ltd *     21,549  
    96,900     GlaxoSmithKline Plc Sponsored ADR (a)     4,062,048  
    72,433     Go-Ahead Group Plc (The)     976,514  
    73,430     Great Portland Estates Plc (REIT)     592,530  
    59,740     Greggs Plc     1,368,700  
    69,423     Halma Plc     2,014,643  
    17,105     HomeServe Plc     275,707  
    58,000     HSBC Holdings Plc     267,996  
    176,207     Ibstock Plc     400,891  
    508,175     IG Group Holdings Plc     4,805,491  
    69,063     IMI Plc     771,358  
    433,297     Inchcape Plc     2,693,882  
    367,728     Indivior Plc *     279,631  
    149,052     Intermediate Capital Group Plc     2,343,951  
    4,524,158     International Consolidated Airlines Group SA (a)     12,859,007  
    134,271     International Personal Finance Plc     70,703  
    1,146,474     J Sainsbury Plc     2,749,054  
    906,941     JD Sports Fashion Plc     7,435,480  
    381,250     John Laing Group Plc     1,674,289  
    638,946     Kingfisher Plc     1,550,712  
    3,880,847     Legal & General Group Plc     9,581,542  
    449,483     LondonMetric Property Plc (REIT)     1,169,239  
    42,060     McBride Plc     29,652  
    296,321     Meggitt Plc     1,024,264  
    224,536     Mitchells & Butlers Plc *     504,479  
    42,588     Mondi Plc     801,308  
    148,052     Morgan Advanced Materials Plc     391,248  
    89,199     Morgan Sindall Group Plc     1,352,355  
    532,646     National Express Group Plc     1,436,724  
    98,735     Next Plc     5,971,112  
    43,985     Numis Corp Plc     166,343  
    185,426     OneSavings Bank Plc     640,212  
    200,473     Paragon Banking Group Plc     877,523  
    308,266     Pennon Group Plc     4,369,479  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description       
Value ($)
 
          United Kingdom — continued  
    1,000,380     Persimmon Plc     28,534,769  
    783,652     Pets at Home Group Plc     2,230,459  
    467,108     Plus500 Ltd     7,626,301  
    93,274     PZ Cussons Plc     204,023  
    1,819,127     QinetiQ Group Plc     6,677,116  
    22,415     Redde Northgate Plc     52,863  
    169,327     Regional REIT Ltd     162,382  
    162,071     Royal Dutch Shell Plc – A Shares (a)     2,587,584  
    43,105     Royal Dutch Shell Plc – B Shares     658,078  
    961,542     Royal Dutch Shell Plc – Class B Sponsored ADR     29,269,338  
    34,316     Sage Group Plc (The)     294,265  
    903,442     Sirius Real Estate Ltd     895,107  
    83,500     Smith & Nephew Plc Sponsored ADR     3,407,635  
    123,459     Smiths Group Plc *     2,012,956  
    154,790     Softcat Plc     2,204,495  
    22,753     Spectris Plc     724,940  
    910,483     Spirent Communications Plc     2,827,614  
    265,945     Stock Spirits Group Plc     800,104  
    1,591,555     Tate & Lyle Plc     13,275,892  
    166,849     TI Fluid Systems Plc     395,031  
    27,634     Ultra Electronics Holdings Plc     674,984  
    57,310     UNITE Group Plc (The) (REIT) *     615,978  
    127,162     Vectura Group Plc     143,554  
    313,971     Vesuvius Plc     1,431,599  
    977,633     WM Morrison Supermarkets Plc     2,268,160  
     

 

 

 
    Total United Kingdom     342,639,246  
     

 

 

 
          United States — 12.1%  
    16,600     1-800-Flowers.com, Inc. – Class A *     367,524  
    5,200     1st Source Corp.     179,868  
    25,200     3M Co. (a)     3,942,288  
    27,000     A10 Networks, Inc. *     183,600  
    8,700     AAR Corp.     175,479  
    28,349     Acacia Communications, Inc. *     1,913,557  
    506,500     ACCO Brands Corp.     3,135,235  
    197,900     Acushnet Holdings Corp. (a) (d)     6,613,818  
    12,400     Adtalem Global Education, Inc. * (a)     414,904  
    93,700     ADTRAN, Inc.     1,068,180  
    323,180     Advanced Disposal Services, Inc. * (a)     10,076,752  
    46,900     AgroFresh Solutions, Inc. *     124,754  
    153,400     Allscripts Healthcare Solutions, Inc. *     969,488  
    82,300     Alpha & Omega Semiconductor Ltd. *     865,796  
    19,400     Amalgamated Bank – Class A     217,862  
    31,900     American Equity Investment Life Holding Co.     691,911  
    43,100     American Express Co. (a)     4,097,517  
    14,700     American Public Education, Inc. *     462,021  
    5,900     American Vanguard Corp.     78,470  
    196,000     Amkor Technology, Inc. * (a)     2,073,680  
    49,700     AngioDynamics, Inc. *     507,437  
    77,500     Applied Materials, Inc.     4,353,950  

Shares

    Description       
Value ($)
 
          United States — continued  
    26,500     ArcBest Corp.     593,335  
    33,600     Arcosa, Inc.     1,282,512  
    24,600     Arcus Biosciences, Inc. *     771,210  
    152,100     Arlo Technologies, Inc. *     336,141  
    30,600     Artisan Partners Asset Management, Inc. – Class A     886,482  
    10,000     Asbury Automotive Group, Inc. *     722,800  
    1,700     ATN International, Inc.     100,980  
    45,300     AutoNation, Inc. * (a)     1,788,444  
    54,900     Avaya Holdings Corp. *     801,540  
    30,700     Avista Corp.     1,202,519  
    30,800     Avnet, Inc.     838,992  
    20,600     Axcelis Technologies, Inc. *     553,110  
    25,800     AZZ, Inc.     816,828  
    26,100     BankFinancial Corp.     236,988  
    11,700     Bassett Furniture Industries, Inc.     74,880  
    9,830     Bel Fuse, Inc. – Class B (a)     92,107  
    206,800     Benchmark Electronics, Inc.     4,382,092  
    5,000     Berry Corp.     21,200  
    64,800     Big Lots, Inc.     2,511,000  
    275,500     Bloomin’ Brands, Inc.     3,143,455  
    2,600     Booking Holdings, Inc. *(a)     4,262,492  
    148,100     BorgWarner, Inc. (a)     4,761,415  
    43,300     Boston Private Financial Holdings, Inc.     297,471  
    158,800     Brady Corp. – Class A     8,119,444  
    63,500     Brightsphere Investment Group, Inc. *     530,225  
    192,800     Brinker International, Inc. * (a)     5,080,280  
    78     Bristol-Myers Squibb Co.     4,658  
    36,400     Brookline Bancorp, Inc.     338,520  
    24,400     Buckle, Inc. (The)     343,552  
    294,900     Builders FirstSource, Inc. *     6,136,869  
    16,100     Camden National Corp.     539,994  
    1,100     Carpenter Technology Corp. (a)     25,707  
    18,700     Carriage Services, Inc.     350,064  
    16,000     Cars.com, Inc. *     98,720  
    50,900     CBIZ, Inc. *     1,152,885  
    109,600     Cedar Realty Trust, Inc. (REIT)     81,597  
    12,600     Central Garden & Pet Co. *     462,294  
    12,600     Central Garden & Pet Co. – Class A *     431,676  
    7,810     Century Bancorp, Inc. – Class A     588,874  
    14,900     Cerence, Inc. *     445,659  
    11,200     CEVA, Inc. *     386,064  
    374,564     Charles Schwab Corp. (The) (a) (e)     13,450,593  
    14,500     Chatham Lodging Trust (REIT)     97,875  
    49,000     Chevron Corp. (d)     4,493,300  
    1,900     Citi Trends, Inc.     30,856  
    11,860     Civista Bancshares, Inc.     180,746  
    38,690     Clarus Corp. (a)     406,245  
    8,600     CNB Financial Corp.     152,392  
    7,200     Community Trust Bancorp, Inc.     236,448  
    49,200     Computer Programs & Systems, Inc.     1,088,304  
    143,500     Comtech Telecommunications Corp.     2,555,735  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description       
Value ($)
 
          United States — continued  
    52,700     Consolidated Communications Holdings, Inc. *     319,362  
    600     Consolidated Water Co. Ltd.     8,898  
    40,300     Cooper Tire & Rubber Co.     1,036,919  
    47,100     Core-Mark Holding Co., Inc.     1,317,858  
    445,500     CoreCivic, Inc. (REIT)     5,359,365  
    236,600     CorePoint Lodging, Inc. (REIT)     936,936  
    133,181     Corteva, Inc.     3,637,173  
    55,900     Covetrus, Inc. *     854,152  
    23,700     CRA International, Inc.     957,243  
    44,700     CSG Systems International, Inc. (a)     2,116,545  
    22,600     CTS Corp.     482,284  
    73,400     Curo Group Holdings Corp.     491,046  
    37,600     CytomX Therapeutics, Inc. *     333,136  
    17,800     Daktronics, Inc.     75,472  
    25,300     Dana, Inc. *     319,792  
    53,600     Deluxe Corp.     1,250,488  
    191,200     Designer Brands, Inc. – Class A (a)     1,172,056  
    106,900     DHI Group, Inc. *     285,423  
    2,600     Diamond Hill Investment Group, Inc.     272,896  
    49,400     DiamondRock Hospitality Co. (REIT)     295,906  
    117,400     Dick’s Sporting Goods, Inc. * (a)     4,233,444  
    85,800     Digi International, Inc. * (a)     954,954  
    66,600     Dime Community Bancshares, Inc.     961,038  
    754,877     Discovery, Inc. – Class C * (a)     14,788,040  
    4,047     Donegal Group, Inc. – Class A     57,670  
    125,500     Donnelley Financial Solutions, Inc. *     1,022,825  
    80,200     DSP Group, Inc. *     1,445,204  
    26,700     Ducommun, Inc. *     859,740  
    1,300     eGain Corp. *     13,533  
    219,874     El Paso Electric Co. (d)     14,944,836  
    50,131     Eldorado Resorts, Inc. * (a)     1,777,645  
    191,700     Ellington Financial, Inc. (a)     1,955,340  
    23,700     Emergent BioSolutions, Inc. * (a)     1,978,713  
    39,400     Employers Holdings, Inc.     1,177,666  
    23,400     Enanta Pharmaceuticals, Inc. * (a)     1,204,866  
    62,900     Encore Capital Group, Inc. * (a)     1,998,333  
    9,300     Encore Wire Corp.     449,097  
    188,800     Endo International Plc *     728,768  
    47,200     Ennis, Inc.     840,160  
    199,125     Enova International, Inc. *     2,817,619  
    14,000     EnPro Industries, Inc.     631,120  
    97,000     EOG Resources, Inc. (a) (d)     4,944,090  
    11,700     ePlus, Inc. *     862,407  
    1,288,200     ESC NII Holdings, Inc. (f)     2,769,630  
    7,400     Escalade, Inc.     74,592  
    8,300     ESSA Bancorp, Inc. (a)     119,105  
    124,500     Essent Group Ltd.     4,114,725  
    148,900     Ethan Allen Interiors, Inc.     1,682,570  
    6,200     EVERTEC, Inc.     180,544  
    40,281     Evofem Biosciences, Inc. * (a)     219,934  
    51,300     Evolution Petroleum Corp.     125,172  

Shares

    Description       
Value ($)
 
          United States — continued  
    5,000     Farmers National Banc Corp.     58,750  
    900     Federal Agricultural Mortgage Corp. – Class C     57,717  
    221,800     Federal Signal Corp.     6,463,252  
    136,400     Federated Investors, Inc. – Class B     3,019,896  
    27,100     FedNat Holding Co.     330,349  
    881,560     FGL Holdings (c)     9,761,840  
    24,130     Financial Institutions, Inc.     426,860  
    47,300     First American Financial Corp. (a)     2,388,177  
    16,126     First Community Bankshares, Inc.     344,613  
    77,906     First Defiance Financial Corp.     1,294,019  
    7,000     First Financial Corp.     245,700  
    7,900     First Financial Northwest, Inc.     77,183  
    190,400     Flagstar Bancorp, Inc.     5,578,720  
    3,835     Flushing Financial Corp. (a)     43,489  
    13,100     FONAR Corp. *     313,090  
    74,000     FormFactor, Inc. *     1,862,580  
    3,300     Fresh Del Monte Produce, Inc.     82,137  
    93,000     Fulton Financial Corp. (a)     1,042,530  
    13,900     FutureFuel Corp.     181,812  
    7,000     Genesco, Inc. *     129,430  
    62,400     Genie Energy Ltd. – Class B     537,264  
    11,100     Gentherm, Inc. *     451,770  
    1,943,495     Genworth Financial, Inc. – Class A *     5,927,660  
    124,700     GEO Group, Inc. (REIT)     1,493,906  
    19,000     Gibraltar Industries, Inc.* (a)     836,190  
    185,300     Glu Mobile, Inc. *     1,849,294  
    31,100     Gorman-Rupp Co. (The)     953,526  
    8,800     Great Southern Bancorp, Inc.     356,928  
    12,000     Green Brick Partners, Inc. *     128,400  
    80,600     Greif, Inc. – Class A     2,738,788  
    132,000     Griffon Corp. (a)     2,217,600  
    11,000     Gritstone Oncology, Inc. * (a)     71,060  
    100,600     Group 1 Automotive, Inc. * (a)     6,331,764  
    79,200     H&R Block, Inc. (a)     1,346,400  
    47,900     Hasbro, Inc. (a)     3,521,129  
    101,300     Haverty Furniture Cos, Inc.     1,752,490  
    4,700     Hawkins, Inc.     201,630  
    24,900     HealthStream, Inc. *     567,222  
    24,600     Heidrick & Struggles International, Inc.     545,628  
    206,836     Herman Miller, Inc. * (d)     4,761,365  
    5,600     Hibbett Sports, Inc. *     108,192  
    8,000     Hill-Rom Holdings, Inc.     813,360  
    102,975     Hilltop Holdings, Inc. (a)     1,924,603  
    31,900     Hilton Worldwide Holdings, Inc. * (a)     2,529,989  
    8,200     HMS Holdings Corp.*     256,168  
    44,800     HNI Corp.     1,141,056  
    18,800     Home Depot, Inc. (The) (a) (d)     4,671,424  
    23,200     Honeywell International, Inc.     3,383,720  
    2,300     Horace Mann Educators Corp.     83,996  
    5,700     Hurco Cos, Inc.     178,182  
    13,900     Huron Consulting Group, Inc. *     643,014  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description       
Value ($)
 
          United States — continued  
    37,700     Hyster-Yale Materials Handling, Inc. (a)     1,380,197  
    439,100     IBERIABANK Corp. (d)     18,622,231  
    27,100     IDT Corp. – Class B *     171,814  
    24,500     Illinois Tool Works, Inc. (a)     4,225,270  
    1,200     Independence Holding Co.     34,860  
    29,263     Independent Bank Corp.     404,415  
    52,600     Information Services Group, Inc. *     90,472  
    32,762     Ingles Markets, Inc. – Class A     1,395,989  
    80,700     Innospec, Inc.     6,221,163  
    26,300     Inogen, Inc. *     999,400  
    135,200     Insight Enterprises, Inc. * (a)     6,930,352  
    33,000     Integer Holdings Corp. *     2,612,940  
    57,900     Inter Parfums, Inc. *     2,687,139  
    42,300     Intercontinental Exchange, Inc.     4,113,675  
    51,600     Interface, Inc. (a)     438,084  
    67,675     International Bancshares Corp.(a) (d)     2,083,036  
    51,357     INTL. FCStone, Inc. * (d)     2,619,721  
    342,900     Investors Bancorp, Inc.     2,976,372  
    5,900     John B. Sanfilippo & Son, Inc.     512,946  
    27,300     Johnson Outdoors, Inc. – Class A (a) (d)     2,118,753  
    38,000     Kelly Services, Inc. – Class A     569,620  
    10,800     Kforce, Inc.     326,160  
    38,500     Kimball Electronics, Inc. *     546,315  
    95,700     Kimball International, Inc. – Class B     1,070,883  
    68,300     Knoll, Inc.     721,248  
    46,200     Koppers Holdings, Inc. *     765,534  
    21,100     Kronos Worldwide, Inc.     205,936  
    76,600     La-Z-Boy, Inc. (a)     1,970,152  
    890,700     Laredo Petroleum, Inc. * (a)     755,759  
    50,000     Las Vegas Sands Corp. *     2,397,000  
    5,400     LB Foster Co. – Class A *     65,988  
    12,800     LCNB Corp.     190,336  
    17,600     Leaf Group Ltd. *     48,048  
    87,084     Liberty Broadband Corp.– Class C *     11,897,416  
    233,900     Liberty Global Plc – Class A *     4,968,036  
    599,200     Liberty Media Corp.-Liberty SiriusXM – Class C * (d)     21,852,824  
    289,400     Liberty TripAdvisor Holdings, Inc. – Class A *     687,325  
    45,500     Luminex Corp.     1,417,780  
    142,800     Lyft, Inc. – Class A *     4,463,928  
    23,355     Macatawa Bank Corp.     172,593  
    65,430     Macquarie Infrastructure Corp.     1,857,558  
    9,400     Malibu Boats, Inc. – Class A*     443,022  
    9,200     ManTech International Corp. – Class A     715,208  
    52,600     Marchex, Inc. – Class B *     81,530  
    3,904     Markel Corp.*     3,503,528  
    5,700     Marlin Business Services Corp. (a)     42,693  
    12,400     Marten Transport Ltd.     317,316  
    76,800     Materion Corp. (d)     4,032,000  
    52,100     Matrix Service Co. *     574,142  
    116,500     MDC Holdings, Inc. (a)     3,959,835  

Shares

    Description       
Value ($)
 
          United States — continued  
    4,800     Mercantile Bank Corp.     110,112  
    59,800     Meridian Bioscience, Inc. *     924,508  
    157,600     Meritor, Inc. * (a)     3,211,888  
    24,000     Methode Electronics, Inc.     752,400  
    202,600     MFA Financial, Inc. (REIT)     342,394  
    7,900     MicroStrategy, Inc. – Class A *     983,392  
    8,300     Miller Industries, Inc.     245,929  
    91,200     Modine Manufacturing Co. * (a)     487,920  
    97,000     Moog, Inc. – Class A * (d)     5,266,130  
    51,600     Movado Group, Inc. *     541,800  
    42,200     Mueller Industries, Inc. (a)     1,130,116  
    58,800     National General Holdings Corp.     1,193,640  
    3,000     National HealthCare Corp.     201,210  
    10,000     National Instruments Corp. (a)     387,200  
    5,700     National Presto Industries, Inc.     512,943  
    31,400     Natus Medical, Inc. *     671,960  
    134,900     Navient Corp.     1,003,656  
    15,300     Neenah, Inc.     773,568  
    48,000     NETGEAR, Inc. *     1,235,040  
    12,500     NetScout Systems, Inc. *     343,375  
    659,300     Newmark Group, Inc. – Class A     2,802,025  
    27,600     NextGen Healthcare, Inc. *     284,832  
    840     NexTier Oilfield Solutions, Inc. *     2,436  
    4,737     Northrim BanCorp, Inc.     109,283  
    153,540     Northwest Bancshares, Inc. (a)     1,529,258  
    9,500     Nu Skin Enterprises, Inc. – Class A     353,210  
    11,700     O’Reilly Automotive, Inc. * (a)     4,881,708  
    1,055,400     Office Depot, Inc. (a)     2,606,838  
    167,700     OFG Bancorp     2,037,555  
    657     Oil-Dri Corp. of America (a)     23,278  
    16,800     Olympic Steel, Inc. (a)     185,304  
    7,500     OneSpan, Inc. *     152,400  
    9,695     Onto Innovation, Inc.* (a)     301,321  
    14,600     Ooma, Inc. *     183,084  
    43,542     Oppenheimer Holdings, Inc. – Class A     922,220  
    57,800     OraSure Technologies, Inc. *     840,412  
    149,800     Owens & Minor, Inc.     1,187,914  
    19,800     Pacira BioSciences, Inc. * (a)     870,210  
    1,100     Park National Corp.     82,357  
    12,100     Park-Ohio Holdings Corp.     176,539  
    121,400     Patterson Cos., Inc.     2,390,366  
    58,100     PC Connection, Inc. (a) (d)     2,514,568  
    347,500     PDL BioPharma, Inc. * (a)     1,136,325  
    48,600     Penn Virginia Corp. * (a)     426,708  
    1,650     Penns Woods Bancorp, Inc.     35,409  
    207,300     PennyMac Financial Services, Inc. (a)     6,961,134  
    409,500     PennyMac Mortgage Investment Trust (REIT) (a)     4,508,595  
    5,100     Peoples Bancorp, Inc.     114,597  
    95,600     Perdoceo Education Corp. * (a)     1,556,368  
    165,751     PG&E Corp. *     1,965,807  
    15,800     Phibro Animal Health Corp. – Class A     413,960  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description       
Value ($)
 
          United States — continued  
    72,600     Photronics, Inc. *     870,474  
    6,800     Plexus Corp. *     436,696  
    167,400     PolyOne Corp.     4,148,172  
    47,600     Popular, Inc.     1,879,724  
    1,900     Preformed Line Products Co.     94,297  
    12,500     Premier Financial Bancorp, Inc.     165,750  
    142,200     Prestige Consumer Healthcare, Inc. * (a)     6,000,840  
    6,700     Principia Biopharma, Inc. *     428,063  
    86,100     Progress Software Corp.     3,478,440  
    15,700     Protective Insurance Corp. – Class B (a)     216,974  
    1,700     Providence Service Corp. (The) *     136,850  
    27,300     Quanex Building Products Corp.     338,520  
    126,900     Qurate Retail, Inc. – Series A*     1,045,021  
    356,900     Radian Group, Inc.     5,667,572  
    5,500     Rambus, Inc. *     85,470  
    65,733     Raytheon Technologies Corp.     4,241,093  
    186,900     Realogy Holdings Corp.     1,132,614  
    3,400     Regional Management Corp. *     53,924  
    23,100     Reliance Steel & Aluminum Co.     2,240,700  
    18,300     Renewable Energy Group, Inc. *     520,635  
    36,500     Rent-A-Center, Inc.     929,290  
    9,433     Republic Bancorp, Inc. – Class A     302,328  
    30,800     Resideo Technologies, Inc. *     217,448  
    43,000     Resources Connection, Inc.     472,570  
    79,500     Retail Properties of America, Inc. – Class A (REIT)     430,890  
    15,400     Riverview Bancorp, Inc.     77,000  
    18,700     Rocky Brands, Inc.     387,838  
    87,400     RTI Surgical Holdings, Inc. * (a)     237,728  
    8,900     Ryerson Holding Corp. *     44,411  
    142,400     Sally Beauty Holdings, Inc. *     1,856,896  
    171,700     SandRidge Energy, Inc. *     271,286  
    298,600     Sanmina Corp. * (d)     7,945,746  
    7,200     ScanSource, Inc. *     177,480  
    5,300     Scholar Rock Holding Corp. *     97,520  
    37,400     Scholastic Corp.     1,099,560  
    149,400     Schweitzer-Mauduit International, Inc. (a)     4,540,266  
    36,100     Sciplay Corp. – Class A *     506,122  
    26,200     SeaSpine Holdings Corp. *     279,030  
    65,200     Select Medical Holdings Corp. *     1,052,328  
    15,776     Seneca Foods Corp. – Class A * (a)     575,351  
    120,900     Sensata Technologies Holding Plc * (a)     4,310,085  
    69,200     Shoe Carnival, Inc. (a)     1,798,508  
    33,000     Sierra Bancorp     621,720  
    97,700     Signet Jewelers Ltd.     1,030,735  
    40,700     Skyworks Solutions, Inc. (d)     4,824,578  
    137,500     Sonic Automotive, Inc. – Class A (a)     3,613,500  
    115,500     Southwestern Energy Co. *     347,655  
    41,200     SpartanNash Co.     882,092  
    105,600     Spok Holdings, Inc.     1,084,512  
    81,100     SPX Corp. *     3,242,378  
    20,000     Standard Motor Products, Inc.     851,000  

Shares

    Description       
Value ($)
 
          United States — continued  
    17,400     Star Group LP     137,460  
    163,500     Steelcase, Inc. – Class A     1,893,330  
    30,500     Stepan Co.     2,963,380  
    105,300     Stoneridge, Inc. *     2,167,074  
    482,100     Summit Hotel Properties, Inc. (REIT)     3,013,125  
    353,300     Sunstone Hotel Investors, Inc. (REIT)     3,126,705  
    10,900     Surgery Partners, Inc. *     146,114  
    2,800     Surmodics, Inc. *     103,544  
    92,600     Sykes Enterprises, Inc. *     2,524,276  
    1,507,100     Syncora Holdings Ltd.     493,575  
    33,900     Systemax, Inc. (a)     711,561  
    133,181     Taubman Centers, Inc. (REIT) (a) (d)     5,505,703  
    36,580     Taylor Morrison Home Corp. *     707,091  
    105,357     Tech Data Corp. * (d)     14,353,838  
    621,100     TEGNA, Inc.     7,279,292  
    158,900     Telephone & Data Systems, Inc.     3,255,861  
    25,300     Tempur Sealy International, Inc. *     1,650,319  
    11,000     Tennant Co.     703,340  
    85,000     Terex Corp.     1,336,200  
    11,600     Territorial Bancorp, Inc.     294,988  
    311,576     Texas Capital Bancshares, Inc. * (a)     8,337,774  
    1,888,723     The Oneida Group(c)     1,945,385  
    31,000     Third Point Reinsurance Ltd. *     228,780  
    101,925     Tiffany & Co. (d)     13,059,650  
    3,300     Timberland Bancorp, Inc.     59,301  
    18,600     Timken Co. (The) (d)     791,244  
    19,800     Translate Bio, Inc. * (a)     410,256  
    80,500     Tredegar Corp.     1,232,455  
    162,800     TRI Pointe Group, Inc. * (a)     2,331,296  
    83,800     Tribune Publishing Co.     796,100  
    44,600     TriCo Bancshares     1,265,302  
    13,200     TriMas Corp. *     312,180  
    17,700     Triple-S Management Corp. – Class B *     352,230  
    446,524     TRU TAJ (c)     2,158,050  
    5,869     TRU TAJ Liquidation Unit Trust(f)     352,140  
    48,300     TrueBlue, Inc. *     746,718  
    125,800     UFP Industries, Inc. (d)     5,752,834  
    54,700     Unisys Corp. *     621,392  
    90,900     United Natural Foods, Inc. * (a)     1,781,640  
    5,421     United Security Bancshares     33,231  
    20,300     United States Cellular Corp. * (a)     639,653  
    8,100     Unitil Corp.     390,177  
    122,900     Universal Corp. (a) (d)     5,414,974  
    17,500     Universal Electronics, Inc. *     791,700  
    30,400     Universal Insurance Holdings, Inc.     542,944  
    105,100     US Bancorp     3,737,356  
    4,000     USANA Health Sciences, Inc. *     338,880  
    58,900     Valvoline, Inc. (a)     1,080,815  
    66,700     Vanda Pharmaceuticals, Inc. *     781,724  
    41,000     Varex Imaging Corp. *     769,160  
    67,857     Vectrus, Inc. *     3,726,706  
    140,300     Vera Bradley, Inc. *     736,575  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Shares

    Description       
Value ($)
 
          United States — continued  
    32,700     Veritiv Corp. *     407,442  
    91,646     Verso Corp. – Class A *     1,317,869  
    68,900     VF Corp. (a)     3,865,290  
    12,700     Village Super Market, Inc. – Class A     303,911  
    14,300     Vishay Precision Group, Inc. *     337,766  
    24,900     Vista Outdoor, Inc. *     241,779  
    185,500     Waddell & Reed Financial, Inc. – Class A (a)     2,418,920  
    63,343     Walgreens Boots Alliance, Inc.(a) (e)     2,719,948  
    83,100     Walker & Dunlop, Inc.     3,365,550  
    61,425     Waterstone Financial, Inc.     915,232  
    13,900     Weis Markets, Inc.     774,647  
    5,770     West Bancorporation, Inc.     101,783  
    107,060     Westmoreland Mining Holdings LLC (c)     678,011  
    34,100     Westwood Holdings Group, Inc.     604,593  
    9,094     Weyco Group, Inc.     169,785  
    117,123     Willis Towers Watson Plc     23,764,257  
    11,100     Wolverine World Wide, Inc.     232,434  
    257,500     World Fuel Services Corp. (d)     6,561,100  
    47,100     Worthington Industries, Inc.     1,409,232  
    566,467     Wright Medical Group NV* (a)     16,739,100  
    47,900     WW International, Inc. * (a)     1,144,810  
    474,200     Xenia Hotels & Resorts, Inc. (REIT) *     4,267,800  
    113,400     Xperi Corp.     1,559,250  
    79,100     Zumiez, Inc. *     1,927,667  
     

 

 

 
    Total United States     758,420,850  
     

 

 

 
          Vietnam — 0.0%  
    621,320     Kinh Bac City Development Share Holding Corp     376,385  
    76,480     PetroVietnam Gas JSC     246,198  
    795,500     PetroVietnam Technical Services Corp     433,218  
    57,220     Pha Lai Thermal Power JSC     59,385  
    201,650     Vinh Hoan Corp     292,390  
     

 

 

 
    Total Vietnam     1,407,576  
     

 

 

 
   

TOTAL COMMON STOCKS

(COST $5,498,915,750)

    4,935,594,473  
     

 

 

 
          PREFERRED STOCKS (g) — 1.7%  
          Brazil — 0.4%  
    929,700     Banco do Estado do Rio Grande do Sul SA – Class B     2,184,742  
    190,700     Bradespar SA     1,259,707  
    713,700     Cia Paranaense de Energia – Class B     8,466,018  
    326,600     Petroleo Brasileiro SA     1,244,878  
    913,500     Telefonica Brasil SA     8,069,709  
     

 

 

 
    Total Brazil     21,225,054  
     

 

 

 
          Colombia — 0.0%  
    24,432     Banco Davivienda SA     160,478  
    1,297,365     Grupo Aval Acciones y Valores SA     292,516  
     

 

 

 
    Total Colombia     452,994  
     

 

 

 

Shares

    Description       
Value ($)
 
          Germany — 0.1%  
    6,842     Draegerwerk AG & Co KGaA     543,442  
    70,874     Henkel AG & Co KGaA     6,338,568  
    96,859     Schaeffler AG     746,028  
    5,489     Villeroy & Boch AG     72,647  
     

 

 

 
    Total Germany     7,700,685  
     

 

 

 
          Russia — 0.4%  
    131,467     Bashneft PJSC     2,669,270  
    100,000     Nizhnekamskneftekhim PJSC     119,479  
    44,377,000     Surgutneftegas PJSC     22,384,558  
    544     Transneft PJSC     998,406  
     

 

 

 
    Total Russia     26,171,713  
     

 

 

 
          South Korea — 0.8%  
    12,112     Hyundai Motor Co Ltd Prf     552,902  
    13,549     Hyundai Motor Co Ltd-2nd Prf     661,276  
    54,433     LG Electronics Inc     947,637  
    1,197,107     Samsung Electronics Co Ltd     41,678,789  
    5,155     Samsung Electronics Co Ltd GDR (Registered)     4,486,353  
     

 

 

 
    Total South Korea     48,326,957  
     

 

 

 
          Taiwan — 0.0%  
    231,277     CTBC Financial Holding Co Ltd     508,245  
     

 

 

 
   

TOTAL PREFERRED STOCKS

(COST $116,799,525)

    104,385,648  
     

 

 

 
      RIGHTS/WARRANTS — 0.0%  
      Singapore — 0.0%  
    184,475     Asian Pay Television Trust, Expires 06/18/20 *      
     

 

 

 
      United States — 0.0%  
    295,400     Bristol-Myers Squibb Co., Expires 03/31/21 *     971,866  
    222,285     Contra Clementia Pharma CVR * (f)     300,085  
    2,616,810     Media General, Inc. CVR * (f)     130,841  
     

 

 

 
  Total United States     1,402,792  
     

 

 

 
   

TOTAL RIGHTS/WARRANTS

(COST $929,287)

    1,402,792  
     

 

 

 
      INVESTMENT FUNDS — 1.0%  
      United States — 1.0%  
    1,233,918     Altaba, Inc. (f)     26,837,717  
    788,886     iShares Core MSCI Emerging Markets ETF     35,531,425  
     

 

 

 
  Total United States     62,369,142  
     

 

 

 
 

TOTAL INVESTMENT FUNDS

(COST $60,610,588)

    62,369,142  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Par Value†

    Description       
Value ($)
 
          DEBT OBLIGATIONS — 16.1%  
      Brazil — 0.1%  
      Corporate Debt — 0.1%  
    6,930,000     Oi SA, 10.00%, due 07/27/25     5,297,119  
     

 

 

 
      Israel — 0.1%      
      Corporate Debt — 0.1%      
    570,000     Teva Pharmaceutical Finance Co BV,
3.65%, due 11/10/21
    563,231  
    5,996,000     Teva Pharmaceutical Finance Co. LLC,
6.15%, due 02/01/36
    5,921,050  
     

 

 

 
    Total Israel     6,484,281  
     

 

 

 
          Italy — 0.0%  
      Corporate Debt — 0.0%      
    1,440,000     Intesa Sanpaolo SPA, 144A,
4.70%, due 09/23/49
    1,449,638  
     

 

 

 
          Jamaica — 0.0%  
      Corporate Debt — 0.0%      
    1,037,000     Digicel Ltd., 144A, 8.25%, due 12/30/22     668,865  
    4,622,000     Digicel Ltd., Reg S, 6.75%, due 03/01/23     2,126,120  
     

 

 

 
    Total Jamaica     2,794,985  
     

 

 

 
          Luxembourg — 0.1%  
      Bank Loans — 0.1%      
    6,486,202     SkillSoft Corp., 1st Lien Term Loan, Variable Rate, 3 mo. LIBOR plus 4.75%,
5.75%, due 04/28/21 (f)
    3,826,859  
     

 

 

 
          Netherlands — 0.1%  
      Corporate Debt — 0.1%      

EUR

    11,858,000     Hema Bondco I BV, Reg S, Variable Rate, 6.25%, due 07/15/22     6,049,257  
     

 

 

 
          Puerto Rico — 0.2%  
      Municipal Obligations — 0.2%      
    1,500,000     Puerto Rico Commonwealth Aqueduct & Sewer Authority, (Senior Lien), Series A,
6.05%, due 07/01/28
    1,215,000  
    3,320,000     Puerto Rico Commonwealth Aqueduct & Sewer Authority, (Senior Lien), Series A,
6.10%, due 07/01/34
    2,622,800  
    524,834     Puerto Rico Commonwealth Aqueduct & Sewer Authority, (Senior Lien) – Class A,
6.00%, due 07/01/44
    531,394  
    6,320,000     Puerto Rico Commonwealth Aqueduct & Sewer Authority, (Senior Lien) – Class B,
5.35%, due 07/01/27
    6,146,200  
    1,518,000     Puerto Rico Commonwealth Aqueduct & Sewer Authority, Class B,
6.05%, due 07/01/28
    1,229,580  
     

 

 

 
    Total Puerto Rico     11,744,974  
     

 

 

 

Par Value†

    Description       
Value ($)
 
          Saint Lucia — 0.1%  
      Bank Loans — 0.1%      
    5,524,375     Digicel International Finance Ltd, 2017 Term Loan B, Variable Rate, 3 mo. LIBOR plus 3.25%,
3.80%, due 05/28/24(f)
    4,585,231  
     

 

 

 
      Corporate Debt — 0.0%  
    1,954,000     Digicel International Finance Ltd / Digicel Holdings Bermuda Ltd, Reg S, 8.75%, due 05/25/24     1,845,309  
    2,530,000     Digicel International Finance Ltd / Digicel Holdings Bermuda Ltd, 144A, 8.75%, due 05/25/24     2,389,269  
     

 

 

 
  Total Corporate Debt     4,234,578  
     

 

 

 
  Total Saint Lucia     8,819,809  
     

 

 

 
      United Kingdom — 0.2%  
      Bank Loans — 0.1%  
    5,564,900     Delta 2 (LUX) S.a.r.l., 2018 USD Term Loan, Variable Rate, 3 mo. LIBOR plus 2.50%,
3.50%, due 02/01/24(f)
    5,221,713  
     

 

 

 
      Corporate Debt — 0.1%  

GBP

    2,000,000     Ardonagh Midco 3 Plc, 8.38%, due 07/15/23     2,340,806  
    2,288,000     Ardonagh Midco 3 Plc, 144A, 8.63%, due 07/15/23     2,294,406  
    430,000     Ardonagh Midco 3 Plc, 144A, 8.63%, due 07/15/23     425,700  
     

 

 

 
  Total Corporate Debt     5,060,912  
     

 

 

 
  Total United Kingdom     10,282,625  
     

 

 

 
      United States — 15.2%  
      Asset-Backed Securities — 0.7%  
    6,425,000     Americold 2010 LLC, Series 10-ARTA, Class A2FX, 144A, 4.95%, due 01/14/29     6,453,158  
    2,250,000     Americold 2010 LLC, Series 10-ARTA, Class D, 144A, 7.44%, due 01/14/29     2,266,526  
    2,250,000     Americold LLC, Series 10-ARTA, Class C, 144A, 6.81%, due 01/14/29     2,264,869  
    258,639     AMMC CLO XIII Ltd., Series 13-13A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.95%, 1.97%, due 07/24/29     258,891  
    327,580     Apidos CLO XII, Series 13-12A, Class XR, 144A, Variable Rate, 3 mo. LIBOR + 0.60%,
1.82%, due 04/15/31
    327,503  
    149,000     Apidos CLO XV, Series 13-15A, Class XRR, 144A, Variable Rate, 3 mo. LIBOR + 0.60%,
1.74%, due 04/20/31
    148,997  
    157,001     Atlas Senior Loan Fund III Ltd., Series 13-1A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.60%, 0.99%, due 11/17/27     156,987  
    444,222     Atlas Senior Loan Fund XI Ltd., Series 18-11A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.75%, 1.74%, due 07/26/31     444,187  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Par Value†

    Description       
Value ($)
 
          United States — continued  
          Asset-Backed Securities — continued  
    5,000,000     Aventura Mall Trust, Series 13-AVM, Class A, 144A, Variable Rate,
3.74%, due 12/05/32
    5,000,103  
    385,472     Avery Point IV CLO Ltd., Series 14-1A, Class AR, 144A, Variable Rate, 3 mo. LIBOR + 1.10%,
2.09%, due 04/25/26
    386,365  
    313,076     Babson CLO Ltd., Series 14-IA, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.15%,
2.29%, due 07/20/25
    313,272  
    238,400     Barings CLO Ltd., Series 18-2A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.60%,
1.82%, due 04/15/30
    238,399  
    1,410,383     Bayview Commercial Asset Trust, Series 07-5A, Class A3, 144A, Variable Rate, 1 mo. LIBOR + 1.00%, 1.17%, due 10/25/37     1,396,832  
    461,929     Bayview Commercial Mortgage Pass-Through Trust, Series 06-SP1, Class M3, 144A, Variable Rate, 1 mo. LIBOR + 0.86%, 1.02%, due 04/25/36     461,577  
    8,058,000     Bear Stearns Commercial Mortgage Securities Trust, Series 06-T22, Class F, 144A, Variable Rate,
5.78%, due 04/12/38
    8,106,588  
    641,764     Canyon Capital CLO Ltd., Series 16-1A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.70%,
1.92%, due 07/15/31
    641,760  
    226,328     Catamaran CLO Ltd., Series 14-1A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.60%,
1.70%, due 04/22/30
    226,315  
    7,063,382     Crest G-Star LP, Series 01-1A, Class D, 144A, 9.00%, due 11/28/35     7  
    251,438     Crown Point CLO Ltd., Series 18-4A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.60%,
1.74%, due 04/20/31
    251,037  
    105,275     CVP Cascade CLO-1 Ltd., Series 13-CLO1, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.15%, 2.33%, due 01/16/26     104,958  
    575,736     Galaxy XXVII CLO Ltd., Series 18-27A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.60%,
0.99%, due 05/16/31
    571,959  
    198,037     Greywolf CLO V Ltd., Series 15-1A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.65%,
1.64%, due 01/27/31
    197,696  
    1,350,514     KeyCorp Student Loan Trust, Series 00-B, Class A2, Variable Rate, 3 mo. LIBOR + 0.31%,
1.30%, due 07/25/29
    1,328,051  

Par Value†

    Description       
Value ($)
 
          United States — continued  
          Asset-Backed Securities — continued  
    212,325     Kingsland VIII Ltd., Series 18-8A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.70%,
1.84%, due 04/20/31
    212,004  
    622,350     LCM XVIII LP, Series 18A, Class XR, 144A, Variable Rate, 3 mo. LIBOR + 0.60%,
1.74%, due 04/20/31
    618,951  
    361,827     LCM XXV Ltd., Series 25,A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.95%,
2.09%, due 07/20/30
    360,901  
    138,220     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 06-1A, Class M2, 144A, Variable Rate, 1 mo. LIBOR + 0.43%,
0.92%, due 04/25/31
    137,845  
    1,819,867     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 07-2A, Class 1A3, 144A, Variable Rate, 1 mo. LIBOR + 0.27%,
0.76%, due 06/25/37
    1,769,397  
    581,000     Madison Avenue Trust, Series 13-650M, Class D, 144A, Variable Rate, 4.03%, due 10/12/32     580,984  
    1,096,640     Madison Park Funding XIII Ltd., Series 14-13A, Class XR, 144A, Variable Rate, 3 mo. LIBOR + 0.60%, 1.74%, due 04/19/30     1,091,220  
    400,000     Morgan Stanley Capital I Trust, Series 14-CPT, Class B, 144A, Variable Rate, 3.45%, due 07/13/29     407,220  
    550,000     Morgan Stanley Capital I Trust, Series 14-MP, Class A, 144A, 3.47%, due 08/11/33     562,296  
    509,238     Mountain View CLO LLC, Series 17-2A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.65%,
1.83%, due 01/16/31
    506,861  
    416,797     Silvermore CLO Ltd., Series 14-1A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.17%,
1.56%, due 05/15/26
    414,607  
    1,112,533     Telos CLO Ltd., Series 14-5A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.75%,
1.88%, due 04/17/28
    1,112,336  
    946,310     Telos CLO Ltd., Series 13-4A, Class XR, 144A, Variable Rate, 3 mo. LIBOR + 0.75%,
1.88%, due 01/17/30
    939,017  
    954,230     Velocity Commercial Capital Loan Trust, Series 17-1, Class AFL, 144A, Variable Rate, 1 mo. LIBOR + 1.25%, 1.42%, due 05/25/47     947,311  
    335,175     Velocity Commercial Capital Loan Trust, Series 17-1, Class AFX, 144A, Variable Rate, 3.00%, due 05/25/47     334,162  
     

 

 

 
    Total Asset-Backed Securities     41,541,149  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

Par Value†

    Description       
Value ($)
 
          United States — continued  
          Bank Loans — 0.9%      
    4,809,054     BI-LO Holding LLC, Exit Term Loan B, Variable Rate, 3 mo. LIBOR plus 8.00%, 9.00%, due 05/31/24 (f)     4,688,828  
    4,749,900     Clear Channel Outdoor Holdings, Inc., Term Loan B, Variable Rate, 1 mo. LIBOR plus 3.50%,
4.30%, due 08/21/26 (f)
    4,417,407  
    655,840     Envision Healthcare Corp., 2018 1st Lien Term Loan, Variable Rate, 3.75%, due 10/10/25 (f)     429,575  
    8,199,575     Flexential Intermediate Corp., 2017 1st Lien Term Loan, Variable Rate, 3 mo. LIBOR plus 3.50%, 4.95%, due 08/01/24 (f)     6,600,658  
    3,854,567     Murray Energy Corp., DIP Term Loan, Variable Rate, 3 mo. LIBOR plus 11.00%,
13.00%, due 07/31/20 (f)
    2,312,741  
    7,435,313     Murray Energy Corp., 2018 Term Loan B2, Zero Coupon, due 10/17/22 (f)     37,177  
    4,159,416     Owens & Minor Distribution, Inc., Term Loan B, Variable Rate, 3 mo. LIBOR plus 4.50%,
4.87%, due 04/30/25 (f)
    3,681,083  
    1,399,065     Pacific Gas & Electric Co., Revolver, Variable Rate, 12.58%, due 04/27/22 (f)     1,437,539  
    6,777,270     Quorum Health Corp., Term Loan B, Variable Rate, 3 mo. LIBOR plus 6.75%, 7.75%, due 04/29/22 (f)     5,980,940  
    12,863,907     SeaWorld Parks & Entertainment, Inc., Term Loan B5, Variable Rate, 3 mo. LIBOR plus 3.00%,
3.75%, due 03/31/24 (f)
    11,770,475  
    2,084,655     Surgery Center Holdings, Inc., 2017 Term Loan B, Variable Rate, 3 mo. LIBOR plus 3.25%,
4.25%, due 09/03/24 (f)
    1,904,853  
    2,780,000     VICI Properties 1 LLC, Replacement Term Loan B1, Variable Rate, 1 mo. LIBOR plus 1.75%,
1.92%, due 12/20/24 (f)
    2,652,593  
    9,430,951     Westmoreland Coal Co., PIK Term Loan, Variable Rate, 3 mo. LIBOR plus 12.50%,
12.80%, due 03/15/29 (f)
    5,658,571  
    3,422,687     Windstream Services LLC, Term Loan B7, Variable Rate, 3 mo. LIBOR plus 4.25%,
7.50%, due 02/17/24 (f)
    1,882,478  
    1,362,593     WP CPP Holdings LLC, 2018 Term Loan, Variable Rate, 3 mo. LIBOR plus 3.75%,
4.75%, due 04/30/25 (f)
    1,171,830  
     

 

 

 
    Total Bank Loans     54,626,748  
     

 

 

 

Par Value†

    Description       
Value ($)
 
          United States — continued  
          Convertible Debt — 0.1%  
    1,140,000     Bloomin’ Brands, Inc., 144A, 5.00%, due 05/01/25     1,348,191  
    745,300     Live Nation Entertainment, Inc., 144A,
2.00%, due 02/15/25
    624,943  
    385,000     Prospect Capital Corp., 6.38%, due 03/01/25     326,887  
    570,000     Sabre GLBL, Inc., 144A, 4.00%, due 04/15/25     649,353  
     

 

 

 
    Total Convertible Debt     2,949,374  
     

 

 

 
          Corporate Debt — 2.1%  
    1,257,000     Ahern Rentals, Inc., 144A, 7.38%, due 05/15/23     546,795  
    3,420,000     Antero Midstream Partners LP / Antero Midstream Finance Corp., 5.38%, due 09/15/24     2,855,700  
    1,140,000     Antero Midstream Partners LP / Antero Midstream Finance Corp., 144A, 5.75%, due 01/15/28     891,252  
    2,088,200     Ares Capital Corp., 4.25%, due 03/01/25     2,029,342  
    1,142,000     Boeing Co. (The), 3.50%, due 03/01/39     961,160  
    1,430,000     Boeing Co. (The), 5.71%, due 05/01/40     1,565,214  
    572,000     Boeing Co. (The), 3.63%, due 03/01/48     478,916  
    1,989,000     Boeing Co. (The), 3.75%, due 02/01/50     1,730,330  
    1,140,000     Boeing Co. (The), 5.81%, due 05/01/50     1,290,388  
    855,000     Boyd Gaming Corp., 6.00%, due 08/15/26     831,496  
    2,280,000     Bruin E&P Partners LLC, 144A, 8.88%, due 08/01/23     22,800  
    1,140,000     EnLink Midstream Partners LP, 5.60%, due 04/01/44     688,150  
    1,401,000     EPR Properties, 4.50%, due 04/01/25     1,247,560  
    1,895,400     EPR Properties, 4.75%, due 12/15/26     1,653,753  
    1,140,000     EPR Properties, 4.95%, due 04/15/28     982,994  
    2,850,000     EPR Properties, 3.75%, due 08/15/29     2,321,207  
    290,000     Ferrellgas LP / Ferrellgas Finance Corp., 144A, 10.00%, due 04/15/25     309,575  
    1,740,000     Ford Motor Credit Co. LLC, 5.58%, due 03/18/24     1,730,778  
    1,140,000     Ford Motor Credit Co. LLC, 4.13%, due 08/04/25     1,066,139  
    2,280,000     Ford Motor Credit Co. LLC, 4.39%, due 01/08/26     2,143,200  
    290,000     Ford Motor Credit Co. LLC, 4.27%, due 01/09/27     263,839  
    12,280,000     Ford Motor Credit Co. LLC, 5.11%, due 05/03/29     11,467,064  
    1,140,000     Frontier Communications Corp.,
10.50%, due 09/15/22 (h)
    396,150  
    1,791,000     Frontier Communications Corp.,
7.13%, due 01/15/23 (h)
    561,926  
    1,894,000     Frontier Communications Corp.,
11.00%, due 09/15/25 (h)
    667,635  
    9,823,000     Frontier Communications Corp., 144A,
8.50%, due 04/01/26
    9,409,157  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Par Value†

    Description   Value ($)  
          United States — continued  
          Corporate Debt — continued  
    5,977,000     FS KKR Capital Corp., 4.13%, due 02/01/25     5,183,398  
    5,710,000     FS KKR Capital Corp. II, 144A, 4.25%, due 02/14/25     4,725,639  
    1,160,000     Goldman Sachs Group, Inc. (The), Variable Rate, 5 year CMT plus 3.22%, 4.95%, due 12/31/99     1,113,600  
    1,400,000     Gulfport Energy Corp., 6.38%, due 01/15/26     700,000  
    4,241,000     iHeartCommunications, Inc., 6.38%, due 05/01/26     4,432,312  
    1,316,000     Installed Building Products, Inc., 144A, 5.75%, due 02/01/28     1,335,740  
    3,134,100     JPMorgan Chase & Co., Variable Rate, SOFR plus 2.75%, 4.00%, due 12/31/99     2,695,326  
    3,380,000     Live Nation Entertainment, Inc., 144A,
4.88%, due 11/01/24
    3,227,900  
    4,480,000     Live Nation Entertainment, Inc., 144A,
5.63%, due 03/15/26
    4,323,200  
    5,100,000     Live Nation Entertainment, Inc., 144A,
4.75%, due 10/15/27
    4,737,441  
    2,850,000     Marriott Ownership Resorts, Inc., 144A,
6.13%, due 09/15/25
    2,953,313  
    2,850,000     Marriott Ownership Resorts, Inc., 144A,
4.75%, due 01/15/28
    2,509,083  
    2,860,000     Marriott Ownership Resorts, Inc. / ILG LLC,
6.50%, due 09/15/26
    2,838,550  
    2,145,000     MGM Growth Properties Operating Partnership LP / MGP Finance Co-Issuer, Inc., 4.50%, due 09/01/26     2,107,463  
    858,000     MGM Growth Properties Operating Partnership LP / MGP Finance Co-Issuer, Inc., 5.75%, due 02/01/27     899,956  
    14,661,000     Murray Energy Corp., 144A, 11.25%, due 04/15/21 (h)     147  
    1,640,000     NGL Energy Partners LP / NGL Energy Finance Corp., 7.50%, due 04/15/26     1,139,800  
    1,572,000     Outfront Media Capital LLC / Outfront Media Capital Corp., 144A, 4.63%, due 03/15/30     1,446,240  
    1,854,000     Owens & Minor, Inc., 4.38%, due 12/15/24     1,631,520  
    2,850,000     Owl Rock Capital Corp., 3.75%, due 07/22/25     2,659,370  
    4,200,000     Pacific Gas & Electric Co., 3.50%, due 10/01/20 (h)     4,368,000  
    1,700,000     Pacific Gas & Electric Co., 3.25%, due 09/15/21 (h)     1,768,000  
    1,318,000     Prospect Capital Corp., 5.88%, due 03/15/23     1,245,219  
    550,000     Prospect Capital Corp., 6.38%, due 01/15/24     528,877  
    2,533,000     Springleaf Finance Corp., 6.63%, due 01/15/28     2,419,015  
    1,862,000     Taylor Morrison Communities, Inc., 144A,
6.00%, due 09/01/23
    1,863,154  
    2,859,000     Tempur Sealy International, Inc.,
5.50%, due 06/15/26
    2,866,148  
Par Value† /
Shares
    Description   Value ($)  
          United States — continued  
          Corporate Debt — continued  
    1,710,000     Tenet Healthcare Corp., 4.63%, due 07/15/24     1,731,375  
    1,140,000     Uber Technologies, Inc., 144A, 7.50%, due 11/01/23     1,158,525  
    3,420,000     Uniti Group LP / Uniti Fiber Holdings, Inc. / CSL Capital LLC, 144A, 7.13%, due 12/15/24     3,090,893  
    9,861,000     Uniti Group LP / Uniti Group Finance, Inc. / CSL Capital LLC, 144A, 6.00%, due 04/15/23     9,639,128  
    2,856,000     Viking Cruises Ltd., 144A, 5.88%, due 09/15/27     1,714,657  
    1,349,000     VOC Escrow Ltd., 144A,
5.00%, due 02/15/28
    1,106,679  
    1,450,000     Western Midstream Operating LP,
5.38%, due 06/01/21
    1,431,875  
    572,000     Wyndham Destinations, Inc.,
5.75%, due 04/01/27
    514,727  
     

 

 

 
    Total Corporate Debt     134,218,790  
     

 

 

 
          U.S. Government — 11.3%      
    25,000,000     U.S. Treasury Note, 1.38%, due 05/31/21 (d)     25,291,016  
    41,000,000     U.S. Treasury Note, 1.75%, due 07/31/21 (i)     41,743,125  
    10,000,000     U.S. Treasury Note, 1.13%, due 08/31/21     10,115,625  
    50,000,000     U.S. Treasury Note, 1.13%, due 09/30/21 (d)     50,621,094  
    75,000,000     U.S. Treasury Note, 1.25%, due 10/31/21     76,130,859  
    75,000,000     U.S. Treasury Note, 1.50%, due 11/30/21     76,476,562  
    84,000,000     U.S. Treasury Note, 1.63%, due 12/31/21 (d)     85,909,688  
    78,571,400     U.S. Treasury Note, 1.38%, due 01/31/22 (d)     80,133,620  
    29,000,000     U.S. Treasury Note, 1.13%, due 02/28/22 (d)     29,481,445  
    227,000,000     U.S. Treasury Note, 1.75%, due 02/28/22 (d)     233,224,767  
     

 

 

 
    Total U.S. Government     709,127,801  
     

 

 

 
          U.S. Government Agency — 0.1%      
    6,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.13%, 0.19%, due 10/16/20     6,000,665  
     

 

 

 
    Total United States     948,464,527  
     

 

 

 
   

TOTAL DEBT OBLIGATIONS

(COST $1,032,475,851)

    1,005,214,074  
     

 

 

 
      MUTUAL FUNDS — 0.3%  
      United States — 0.3%  
      Affiliated Issuers — 0.3%  
    4,406,407     GMO U.S. Treasury Fund (j)     22,208,292  
     

 

 

 
  TOTAL MUTUAL FUNDS (COST $22,208,292)     22,208,292  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
          SHORT-TERM INVESTMENTS — 3.2%  
      Foreign Government Obligations — 2.2%  

JPY

    2,400,000,000     Japan Treasury Discount Bill, Zero Coupon, due 06/01/20     22,254,327  

JPY

    2,590,000,000     Japan Treasury Discount Bill, Zero Coupon, due 06/15/20     24,017,314  

JPY

    5,500,000,000     Japan Treasury Discount Bill, Zero Coupon, due 08/11/20     51,012,254  

JPY

    1,700,000,000     Japan Treasury Discount Bill, Zero Coupon, due 08/17/20     15,767,615  

JPY

    2,400,000,000     Japan Treasury Discount Bill, Zero Coupon, due 08/31/20     22,260,793  
     

 

 

 
  Total Foreign Government Obligations     135,312,303  
     

 

 

 
Shares /
Par Value†
    Description   Value ($)  
      Money Market Funds — 0.2%  
    841,352     SSgA USD Liquidity Fund – Class D Shares, 0.23% (i)     841,352  
    8,944,853     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (k)     8,944,853  
     

 

 

 
  Total Money Market Funds     9,786,205  
     

 

 

 
      U.S. Government — 0.8%  
    48,700,000     U.S. Cash Management Bill, 0.17%, due 09/08/20 (d) (i) (l)     48,677,902  
     

 

 

 
  TOTAL SHORT-TERM INVESTMENTS (COST $194,321,788)     193,776,410  
     

 

 

 
 

 

PURCHASED OPTIONS — 0.0%

 

Description            Exercise
Price
   Expiration
Date
     Number of
Contracts
            Notional
Amount
     Value ($)

Equity Options – Calls — 0.0%

 

          

DuPont de Nemours, Inc.

      85.00      06/19/20        800        USD       4,040,000     

Bunge Ltd.

 

   65.00      07/17/20        660        USD       2,565,420     

CVS Health Corp. (e)

 

   65.00      08/21/20        612        USD       4,012,884      238,680

Charles Schwab Corp. (The) (e)

 

   36.00      09/18/20        1,500        USD       5,386,500      480,000
                   

 

      Total Equity Options – Calls

 

   718,680
                   

 

      TOTAL PURCHASED OPTIONS (COST $829,361)

 

   718,680
                   

 

   TOTAL INVESTMENTS — 101.2%
(Cost $6,927,090,442)

 

   6,325,669,511
                   

 

 

         
Shares
    Description   Value ($)  
    SECURITIES SOLD SHORT — (4.8)%  
          Common Stocks — (4.7)%      
          Austria — (0.1)%      
    (23,617   ANDRITZ AG *     (884,830
    (30,724   IMMOFINANZ AG *     (575,664
    (7,332   Schoeller-Bleckmann Oilfield Equipment AG     (199,603
    (3,028   Verbund AG     (135,004
    (147,840   voestalpine AG     (2,887,255
     

 

 

 
    Total Austria     (4,682,356
     

 

 

 
          Brazil — (0.1)%      
    (218,800   Pagseguro Digital Ltd – Class A*     (6,942,524
     

 

 

 
          Canada — (0.1)%      
    (278,600   AltaGas Ltd     (2,990,673
     

 

 

 
          Denmark — (0.2)%      
    (1,647   AP Moller – Maersk A/S – Class A     (1,512,686
    (2,135   AP Moller – Maersk A/S – Class B     (2,104,946
         
Shares
    Description   Value ($)  
          Denmark — continued      
    (62,297   Chr Hansen Holding A/S     (6,049,977
    (29,343   Jyske Bank A/S (Registered) *     (810,276
     

 

 

 
    Total Denmark     (10,477,885
     

 

 

 
          Finland — (0.1)%      
    (544,082   Nokia Oyj     (2,163,593
    (46,356   Nokian Renkaat Oyj     (1,079,801
     

 

 

 
    Total Finland     (3,243,394
     

 

 

 
          France — (0.2)%      
    (177,018   ArcelorMittal SA     (1,695,388
    (21,959   CGG SA *     (24,082
    (35,917   Electricite de France SA     (320,484
    (156,513   Worldline SA *     (11,751,973
     

 

 

 
    Total France     (13,791,927
     

 

 

 
          Germany — (0.2)%      
    (1,179,982   Deutsche Bank AG (Registered) *     (9,877,777
    (46,121   thyssenkrupp AG *     (313,456
     

 

 

 
    Total Germany     (10,191,233
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Hong Kong — (0.0)%      
    (20,631   Jardine Matheson Holdings Ltd     (829,638
     

 

 

 
          Ireland — (0.4)%      
    (198,569   Flutter Entertainment Plc *     (25,263,305
     

 

 

 
          Israel — (0.1)%      
    (18,200   Wix.com Ltd *     (4,046,406
     

 

 

 
          Japan — (0.3)%      
    (31,900   Coca-Cola Bottlers Japan Holdings Inc     (633,425
    (104   Daiwa House REIT Investment Corp     (256,473
    (4,300   Idemitsu Kosan Co Ltd     (95,734
    (88,500   Japan Lifeline Co Ltd     (1,197,810
    (132   Japan Retail Fund Investment Corp (REIT)     (174,091
    (234,400   JGC Holding Corp     (2,527,718
    (33,300   Keikyu Corp     (558,691
    (35,000   Kyushu Electric Power Co Inc     (291,716
    (7,300   Maruichi Steel Tube Ltd     (187,277
    (21,300   Mitsubishi Materials Corp     (485,915
    (218,000   Mitsui OSK Lines Ltd     (3,873,839
    (21   Nippon Building Fund Inc (REIT)     (131,337
    (237,200   Nippon Yusen KK     (3,429,987
    (76   Nomura Real Estate Master Fund Inc (REIT)     (93,301
    (629,500   Orient Corp     (751,510
    (72   Orix JREIT Inc     (104,066
    (8,500   Persol Holdings Co Ltd     (112,335
    (112,300   Yamato Holdings Co Ltd     (2,498,441
     

 

 

 
    Total Japan     (17,403,666
     

 

 

 
          Netherlands — (0.0)%  
    (9,708   Just Eat Takeaway *     (1,058,308
     

 

 

 
          New Zealand — (0.0)%  
    (4,075   Fletcher Building Ltd     (8,907
     

 

 

 
          Norway — (0.0)%  
    (3,166   Aker BP ASA     (51,176
     

 

 

 
          Singapore — (0.0)%  
    (241,500   Singapore Post Ltd     (132,059
     

 

 

 
          Spain — (0.0)%  
    (51,960   Cellnex Telecom SA     (2,915,382
     

 

 

 
          Sweden — (0.0)%  
    (56,903   Lundin Energy AB     (1,388,341
    (40,953   Telia Co AB     (140,074
     

 

 

 
    Total Sweden     (1,528,415
     

 

 

 
          Switzerland — (0.0)%  
    (2,891   Dufry AG (Registered)     (86,519
     

 

 

 
     Shares /
Par Value†
    Description   Value ($)  
          United Kingdom — (1.1)%  
    (126,417   Aon Plc – Class A     (24,897,828
    (21,279   Dechra Pharmaceuticals Plc     (734,007
    (12,300   Farfetch Ltd – Class A *     (170,478
    (993,565   G4S Plc *     (1,112,165
    (1,585,217   Melrose Industries Plc     (2,285,343
    (98,641   Rolls-Royce Holdings Plc     (336,214
    (905,612   Royal Dutch Shell Plc Sponsored ADR – Class A     (28,934,303
    (164,452   Unilever Plc     (8,798,211
    (85,020   Weir Group Plc (The)     (1,026,248
     

 

 

 
    Total United Kingdom     (68,294,797
     

 

 

 
          United States — (1.8)%  
    (57   AbbVie, Inc.     (5,282
    (557,525   Caesars Entertainment Corp. *     (6,350,210
    (21,648   Charter Communications, Inc. – Class A *     (11,776,512
    (122,328   CVS Health Corp. (e)     (8,021,047
    (27,278   Digital Realty Trust, Inc. (REIT)     (3,916,030
    (685,241   Discovery, Inc. – Class A *     (14,903,992
    (74,933   Fidelity National Financial, Inc.     (2,390,363
    (2,013,025   First Horizon National Corp.     (18,821,784
    (282,400   Ford Motor Co.     (1,612,503
    (321,491   Independent Bank Group, Inc.     (12,178,079
    (237,783   Liberty Global Plc – Class C *     (4,905,463
    (3,486,709   Sirius XM Holdings, Inc.     (20,292,646
    (251,717   TD Ameritrade Holding Corp.     (9,381,492
     

 

 

 
    Total United States     (114,555,403
     

 

 

 
    TOTAL COMMON STOCKS (PROCEEDS $275,391,277)     (288,493,973
     

 

 

 
          DEBT OBLIGATIONS — (0.1)%  
          Corporate Debt — (0.1)%  
          United States — (0.1)%  
    (4,200,000   Calumet Specialty Products Partners LP / Calumet Finance Corp., 7.63%, due 01/15/22     (3,899,490
    (5,090,000   U.S. Concrete, Inc., 6.38%, due 06/01/24     (5,126,808
     

 

 

 
    Total United States     (9,026,298
     

 

 

 
    TOTAL DEBT OBLIGATIONS (PROCEEDS $8,510,077)     (9,026,298
     

 

 

 
    TOTAL SECURITIES SOLD SHORT
(PROCEEDS $283,901,354)
    (297,520,271
     

 

 

 
    Other Assets and Liabilities (net) — 3.6%     223,725,942  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $6,251,875,182  
     

 

 

 

 

 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

Forward Currency Contracts

 

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
06/18/2020   MSCI   AUD     84,424,100     USD     54,285,963       (1,988,079
07/14/2020   MSCI   AUD     4,493,222     USD     2,947,341       (47,689
07/14/2020   UBS   AUD     33,529,440     USD     21,783,839       (565,751
08/06/2020   DB   AUD     7,720,000     USD     5,003,595       (142,231
08/06/2020   MSCI   AUD     29,380,050     USD     18,823,064       (760,436
08/18/2020   BOA   AUD     84,424,100     USD     54,226,444       (2,046,045
08/04/2020   CITI   BRL     4,403,068     USD     803,663       (19,238
08/04/2020   GS   BRL     4,703,848     USD     820,000       (59,114
08/04/2020   MSCI   BRL     39,725,154     USD     7,083,658       (340,677
06/02/2020   GS   CAD     2,391,217     USD     1,693,785       (42,945
06/02/2020   MSCI   CAD     1,182,914     USD     842,963       (16,182
06/02/2020   SSB   CAD     22,328,624     USD     16,223,158       5,979  
06/03/2020   GS   CAD     7,350,859     USD     5,220,000       (118,897
06/03/2020   JPM   CAD     95,168,022     USD     66,940,000       (2,180,109
06/03/2020   MSCI   CAD     59,956,593     USD     41,220,000       (2,326,205
06/03/2020   MSCI   CAD     31,238,329     USD     22,460,000       (228,259
08/14/2020   BCLY   CHF     7,119,173     USD     7,350,000       (67,291
08/14/2020   JPM   CHF     17,337,839     USD     18,010,000       (53,867
08/14/2020   MSCI   CHF     878,792     USD     909,860       (5,732
06/03/2020   MSCI   CLP     9,062,188,800     USD     10,783,419       (538,646
09/01/2020   JPM   CLP     9,062,188,800     USD     11,100,182       (224,597
08/06/2020   MSCI   COP     25,713,100,300     USD     6,510,679       (344,982
07/14/2020   JPM   CZK     183,015,697     USD     7,260,000       (291,389
07/14/2020   MSCI   CZK     87,314,559     USD     3,514,089       (88,587
06/18/2020   JPM   EUR     326,494,600     USD     352,923,913       (9,618,213
07/17/2020   BOA   EUR     1,956,451     USD     2,142,426       (31,351
07/17/2020   DB   EUR     8,674,007     USD     9,616,401       (21,131
07/17/2020   MSCI   EUR     10,798,618     USD     11,784,802       (213,346
07/27/2020   DB   EUR     6,380,000     USD     6,934,505       (155,693
07/27/2020   JPM   EUR     5,979,000     USD     6,463,347       (181,212
08/18/2020   BCLY   EUR     326,494,600     USD     352,793,740       (10,216,107
08/18/2020   JPM   EUR     32,869,600     USD     36,054,322       (491,423
08/18/2020   MSCI   EUR     23,936,000     USD     26,458,507       (154,502
06/18/2020   JPM   GBP     109,656,500     USD     133,840,309       (1,594,030
07/17/2020   JPM   GBP     3,943,132     USD     4,918,097       47,401  
08/14/2020   JPM   GBP     16,797,300     USD     20,744,336       (6,388
08/14/2020   MSCI   GBP     15,570,000     USD     18,968,612       (265,955
08/18/2020   BCLY   GBP     109,656,500     USD     133,731,256       (1,736,124
06/18/2020   MSCI   HKD     356,692,600     USD     45,999,923       (1,106
08/18/2020   CITI   HKD     356,692,600     USD     45,969,392       39,718  
07/14/2020   JPM   HUF     3,466,472,338     USD     10,579,165       (503,653
08/19/2020   BCLY   IDR     24,326,082,000     USD     1,620,000       (12,857
08/19/2020   JPM   IDR     44,327,500,000     USD     2,980,000       4,574  
08/31/2020   MSCI   ILS     4,011,720     USD     1,146,173       1,498  
06/04/2020   JPM   INR     480,474,238     USD     6,343,476       (13,310
07/01/2020   GS   INR     113,643,000     USD     1,500,000       (922
06/01/2020   GS   JPY     2,400,000,000     USD     22,176,268       (77,893
06/02/2020   CITI   JPY     1,462,143,970     USD     13,282,308       (275,520
06/09/2020   JPM   JPY     6,094,905,096     USD     55,360,000       (1,159,137
06/09/2020   MSCI   JPY     2,325,606,054     USD     21,300,000       (265,758
06/15/2020   BCLY   JPY     2,590,000,000     USD     24,299,431       279,562  
06/18/2020   JPM   JPY     21,934,513,400     USD     205,224,345       1,791,994  
07/17/2020   JPM   JPY     2,465,654,000     USD     22,935,258       57,026  
08/11/2020   DB   JPY     5,500,000,000     USD     51,787,273       734,418  
08/17/2020   DB   JPY     1,700,000,000     USD     15,903,858       122,411  
08/18/2020   BOA   JPY     21,934,513,400     USD     205,026,111       1,400,374  
08/18/2020   JPM   JPY     2,949,205,600     USD     27,398,012       19,508  

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
08/31/2020   DB   JPY     2,400,000,000     USD     22,438,840       154,294  
07/01/2020   BCLY   KRW     4,268,619,000     USD     3,490,000       27,335  
07/14/2020   GS   NZD     2,354,927     USD     1,409,983       (51,541
07/14/2020   UBS   NZD     14,150,947     USD     8,608,101       (174,316
08/05/2020   JPM   NZD     23,110,000     USD     13,887,097       (453,378
08/05/2020   MSCI   NZD     67,040,000     USD     40,701,965       (898,444
06/02/2020   MSCI   PHP     92,325,120     USD     1,795,161       (28,725
06/02/2020   BCLY   PHP     84,077,340     USD     1,660,000       (951
06/02/2020   CITI   PHP     51,670,980     USD     1,030,000       9,238  
06/02/2020   JPM   PHP     61,692,070     USD     1,210,000       (8,729
06/02/2020   MSCI   PHP     64,229,385     USD     1,268,729       (125
09/01/2020   JPM   PHP     82,900,170     USD     1,630,000       (2,442
06/15/2020   CITI   PLN     3,965,093     USD     950,000       (38,490
06/15/2020   JPM   PLN     24,006,940     USD     5,780,000       (204,882
06/15/2020   MSCI   PLN     33,336,833     USD     8,639,668       328,864  
06/30/2020   CITI   RON     1,807,102     USD     410,000       (3,160
07/17/2020   MSCI   RUB     802,275,050     USD     10,816,318       (495,508
06/08/2020   JPM   SEK     240,167,322     USD     23,920,000       (1,569,869
08/18/2020   MSCI   SGD     672,733     USD     472,508       (3,805
06/15/2020   BCLY   THB     85,206,108     USD     2,670,000       (8,440
06/15/2020   MSCI   THB     42,600,745     USD     1,324,403       (14,745
07/16/2020   JPM   TRY     8,949,805     USD     1,290,000       (2,718
07/14/2020   UBS   USD     1,247,905     AUD     1,884,342       8,133  
08/06/2020   JPM   USD     13,449,616     AUD     20,870,000       461,443  
08/06/2020   MSCI   USD     16,731,576     AUD     25,560,000       305,640  
08/04/2020   CITI   USD     2,370,000     BRL     12,725,715       8,341  
08/04/2020   MSCI   USD     5,970,000     BRL     32,091,336       27,632  
06/02/2020   GS   USD     5,310,550     CAD     7,392,885       58,870  
06/02/2020   MSCI   USD     13,181,954     CAD     18,509,870       261,682  
06/03/2020   DB   USD     20,620,000     CAD     28,455,724       47,265  
06/03/2020   JPM   USD     113,295,403     CAD     152,506,741       (2,530,439
06/03/2020   MSCI   USD     11,220,000     CAD     15,688,005       174,128  
08/04/2020   SSB   USD     16,223,320     CAD     22,328,624       (5,787
07/14/2020   GS   USD     1,057,686     CHF     1,022,600       6,781  
07/14/2020   JPM   USD     4,086,972     CHF     3,941,411       15,808  
07/14/2020   MSCI   USD     1,765,241     CHF     1,714,338       19,285  
08/14/2020   DB   USD     1,290,000     CHF     1,248,071       10,335  
08/14/2020   MSCI   USD     1,780,000     CHF     1,729,010       21,413  
06/03/2020   JPM   USD     11,098,823     CLP     9,062,188,800       223,242  
09/01/2020   MSCI   USD     1,150,000     CLP     928,855,000       10,766  
07/14/2020   GS   USD     2,270,000     CZK     56,126,220       45,817  
07/14/2020   JPM   USD     5,560,000     CZK     134,313,587       (18,103
06/17/2020   BCLY   USD     30,983,672     EUR     28,340,008       484,639  
06/17/2020   JPM   USD     11,503,644     EUR     10,641,176       312,155  
06/17/2020   MSCI   USD     51,602,085     EUR     47,449,388       1,084,988  
06/17/2020   SSB   USD     11,783,356     EUR     10,740,192       142,389  
07/17/2020   BOA   USD     3,400,000     EUR     3,118,931       65,388  
07/17/2020   GS   USD     2,178,283     EUR     1,983,009       25,003  
07/27/2020   JPM   USD     7,691,803     EUR     6,900,000       (23,721
07/17/2020   BCLY   USD     6,033,080     GBP     4,909,084       30,792  
07/17/2020   BOA   USD     700,000     GBP     559,947       (8,334
07/17/2020   GS   USD     8,764,149     GBP     7,119,785       30,459  
07/17/2020   JPM   USD     2,177,801     GBP     1,758,711       (5,379
07/17/2020   MSCI   USD     914,124     GBP     744,879       5,977  
07/17/2020   MSCI   USD     8,490,487     GBP     6,957,565       103,741  
07/17/2020   SSB   USD     6,060,948     GBP     4,912,387       7,004  
07/14/2020   CITI   USD     1,180,000     HUF     369,224,006       463  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Forward Currency Contracts — continued

 

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
08/19/2020   JPM   USD     8,126,389     IDR     123,847,545,400       186,717  
06/04/2020   GS   USD     1,810,000     INR     137,324,700       6,838  
06/04/2020   JPM   USD     4,500,430     INR     343,149,538       39,518  
07/01/2020   JPM   USD     2,754,389     INR     209,416,208       11,443  
06/02/2020   JPM   USD     14,060,000     JPY     1,462,143,970       (502,172
06/09/2020   CITI   USD     13,287,683     JPY     1,462,143,970       271,038  
06/09/2020   DB   USD     2,660,000     JPY     284,439,652       (22,341
06/09/2020   JPM   USD     101,568,386     JPY     10,844,893,616       (1,001,761
06/09/2020   MSCI   USD     51,700,000     JPY     5,552,897,981       (206,991
07/13/2020   GS   USD     6,202,105     JPY     664,071,815       (40,714
07/13/2020   SSB   USD     19,397,054     JPY     2,077,316,863       (123,291
07/13/2020   UBS   USD     16,636,703     JPY     1,790,716,284       (22,077
07/17/2020   DB   USD     997,744     JPY     107,062,000       (4,341
07/17/2020   MSCI   USD     4,692,004     JPY     501,652,720       (37,284
07/01/2020   BCLY   USD     7,880,000     KRW     9,686,828,000       (22,132
07/01/2020   CITI   USD     993,616     KRW     1,229,022,880       3,357  
07/01/2020   MSCI   USD     660,000     KRW     809,148,120       (3,626
08/21/2020   BOA   USD     1,940,000     MXN     45,563,552       90,905  
08/21/2020   CITI   USD     1,940,000     MXN     43,377,595       (6,530
08/21/2020   JPM   USD     2,170,000     MXN     51,813,043       139,463  
08/21/2020   MSCI   USD     4,316,799     MXN     102,961,260       272,495  
06/04/2020   JPM   USD     20,032,539     NOK     187,619,756       (731,443
08/11/2020   JPM   USD     22,220,000     NOK     223,831,796       817,694  
08/11/2020   MSCI   USD     26,721,075     NOK     273,444,775       1,422,991  
08/05/2020   BCLY   USD     874,015     NZD     1,424,000       9,621  
08/05/2020   JPM   USD     12,035,806     NZD     19,656,000       161,355  

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
08/06/2020   BCLY   USD     1,300,000     PEN     4,459,650       (438
08/06/2020   JPM   USD     5,690,000     PEN     19,445,240       (23,568
06/02/2020   JPM   USD     5,170,000     PHP     263,472,670       34,912  
06/02/2020   MSCI   USD     1,770,000     PHP     90,522,225       18,270  
09/01/2020   MSCI   USD     1,258,536     PHP     64,229,385       6,247  
06/15/2020   CITI   USD     1,600,000     PLN     6,644,688       56,507  
06/15/2020   JPM   USD     1,400,000     PLN     5,962,585       86,460  
06/15/2020   MSCI   USD     1,180,000     PLN     4,867,360       33,423  
06/30/2020   DB   USD     930,000     RON     4,185,421       26,917  
06/30/2020   MSCI   USD     374,523     RON     1,684,417       10,587  
06/08/2020   MSCI   USD     48,040,480     SEK     454,828,048       232,145  
08/04/2020   BCLY   USD     7,370,000     SEK     71,124,922       182,739  
08/04/2020   JPM   USD     26,710,000     SEK     260,775,353       981,673  
08/04/2020   MSCI   USD     9,320,945     SEK     91,936,677       441,789  
08/18/2020   GS   USD     1,010,000     SGD     1,428,152       1,171  
08/18/2020   JPM   USD     6,800,000     SGD     9,594,300       (6,974
06/15/2020   CITI   USD     2,190,000     THB     69,654,264       (429
06/16/2020   JPM   USD     1,230,000     TRY     8,743,455       46,208  
07/16/2020   JPM   USD     7,989,077     TRY     56,280,525       140,132  
07/07/2020   JPM   USD     2,160,000     TWD     64,720,080       3,624  
07/07/2020   MSCI   USD     5,870,000     TWD     175,659,750       2,392  
07/07/2020   MSCI   USD     930,000     TWD     27,288,060       (17,747
07/31/2020   DB   USD     4,150,000     ZAR     73,712,521       24,318  
07/31/2020   JPM   USD     3,650,000     ZAR     64,251,884       (11,434
           

 

 

 
  $ (34,043,181
           

 

 

 
 

 

Futures Contracts

 

Number
of
Contracts +

 

Type

  Expiration
Date
  Notional
Amount ($)
  Value/Net
Unrealized
Appreciation
(Depreciation)

($)
Buys            
81   Australian Government Bond 10 Yr.   June 2020       8,042,934       27,639
54   Gilt Long Bond   September
2020
      9,165,869       5,960
154   Hang Seng Index   June 2020       22,829,378       (105,271 )
1   Japanese Government Bond 10 Yr. (OSE)   June 2020       1,411,285       (1,268 )
2,369   Mini MSCI Emerging Markets   June 2020       110,502,005       5,345,382
256   MSCI Singapore   June 2020       5,235,404       (63,617 )
135   Silver (i)   July 2020       12,486,825       1,518,037
179   WTI Crude (i)   June 2020       6,352,710       729,394
       

 

 

     

 

 

 
        $ 176,026,410     $ 7,456,256
       

 

 

     

 

 

 

Number
of
Contracts +

 

Type

  Expiration
Date
  Notional
Amount ($)
  Value/Net
Unrealized
Appreciation
(Depreciation)

($)
Sales            
19   Canadian Government Bond 10 Yr.   September 2020       2,120,173       7,285
6,694   E-mini Russell 2000 Index   June 2020       466,170,160       (54,778,553 )
2   Euro Bund   June 2020       382,879       535
22,963   Euro STOXX 50   June 2020       781,737,583       (83,984,671 )
3,725   FTSE 100 Index   June 2020       281,087,473       (17,396,035 )
433   FTSE/JSE TOP 40   June 2020       11,606,356       (36,753 )
92   Gold 100 OZ (i)   August 2020       16,115,640       (128,453 )
601   Hang Seng Index   June 2020       89,093,870       47,298
5,908   S&P 500 E-Mini   June 2020       898,606,241       (77,635,824 )
162   SGX Nifty 50   June 2020       3,093,142       (179,753 )
63   Soybean (i)   November 2020       2,683,013       413
1,341   SPI 200   June 2020       128,752,502       (8,949,132 )
3,040   TOPIX Index   June 2020       441,348,170       (31,376,772 )
191   U.S. Treasury Note 10 Yr. (CBT)   September 2020       26,560,938       (57,767 )
       

 

 

     

 

 

 
        $ 3,149,358,140     $ (274,468,182 )
       

 

 

     

 

 

 
 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Reverse Repurchase Agreements

 

Average balance outstanding   $ (7,449,132
Average interest rate (net)     (0.21 ) % 
Maximum balance outstanding   $ (91,591,373

Average balance outstanding was calculated based on daily face value balances outstanding during the period that the Fund had entered into reverse repurchase agreements. Average interest rate was calculated based on interest received and/or paid during the period that the Fund had entered into the reverse repurchase agreements. The Fund had no reverse repurchase agreements at the end of the period.

Written Options

Equity Options    

 

Description

    

Exercise

Price

     Expiration
Date
       Number of
Contracts
       Notional
Amount
    Value ($)  

Equity Options – Puts

                          

Walgreens Boots Alliance, Inc.(e)

     55.00        06/19/20          (1,354        USD          (5,814,076   $ (1,710,102
                          

 

 

 
TOTAL WRITTEN OPTIONS (Premiums $293,511)

 

  $ (1,710,102
                          

 

 

 

Swap Contracts

OTC Credit Default Swaps

 

Reference Entity

 

Counterparty

 

Notional
Amount

    Annual
Premium
    Implied
Credit
Spread (1)
    Maximum
Potential
Amount of
Future
Payments by
the Fund
Under the
Contract (2)
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

Buy Protection^:

                     

Halliburton Co.

  BOA   USD     1,140,000       1.00%       1.18%       N/A       12/20/2024       Quarterly       96,637       9,083       (87,554

HCA, Inc.

  BCLY   USD     1,140,000       5.00%       1.32%       N/A       12/20/2024       Quarterly       (139,584     (183,098     (43,514

Tenet Healthcare Corp.

  JPM   USD     570,000       5.00%       4.12%       N/A       12/20/2024       Quarterly       14,842       (19,655     (34,497

Tenet Healthcare Corp.

  JPM   USD     1,140,000       5.00%       4.12%       N/A       12/20/2024       Quarterly       142,500       (39,310     (181,810

United Rentals North America, Inc.

  CSI   USD     1,140,000       5.00%       1.30%       N/A       12/20/2024       Quarterly       (96,605     (184,487     (87,882

United Rentals North America, Inc.

  JPM   USD     1,140,000       5.00%       1.30%       N/A       12/20/2024       Quarterly       (51,323     (184,487     (133,164
                 

 

 

   

 

 

   

 

 

 
                  $ (33,533   $ (601,954   $ (568,421
                 

 

 

   

 

 

   

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, 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.

  

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, 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 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.

(1)

As of May 31, 2020, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads 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 contract.

(2)

The maximum potential amount the Fund could be required to pay as a seller of credit protection if a credit event occurs as defined under the terms of that particular swap contract.


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Swap Contracts — continued

Centrally Cleared Interest Rate Swaps

 

Fund Pays

 

Fund Receives

 

Notional

Amount

    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net
Unrealized
Appreciation/
(Depreciation) ($)
 

6 Month AUD BBSW

  0.94%   AUD     15,150,000       06/17/2030       Semi-Annually             53,638       53,638  

6 Month AUD BBSW

  0.91%   AUD     15,710,000       06/17/2030       Semi-Annually             30,051       30,051  

6 Month AUD BBSW

  0.90%   AUD     86,770,000       06/17/2030       Semi-Annually       31,127       86,893       55,766  

6 Month AUD BBSW

  0.90%   AUD     31,490,000       06/17/2030       Semi-Annually             41,785       41,785  

6 Month AUD BBSW

  0.92%   AUD     94,310,000       06/17/2030       Semi-Annually             223,382       223,382  

6 Month AUD BBSW

  0.89%   AUD     34,250,000       06/17/2030       Semi-Annually       32,264       23,150       (9,114

0.88%

  6 Month AUD BBSW   AUD     45,490,000       06/17/2030       Semi-Annually             (2,612     (2,612

0.89%

  6 Month AUD BBSW   AUD     22,710,000       06/17/2030       Semi-Annually             (16,828     (16,828

6 Month AUD BBSW

  0.95%   AUD     69,930,000       06/17/2030       Semi-Annually       (3,735     293,110       296,845  

3 Month CAD LIBOR

  1.00%   CAD     105,910,000       06/17/2030       Semi-Annually       14,764       (18,301     (33,065

3 Month CAD LIBOR

  1.10%   CAD     37,040,000       06/17/2030       Semi-Annually       (87,063     255,214       342,277  

3 Month CAD LIBOR

  1.29%   CAD     6,590,000       06/17/2030       Semi-Annually             131,515       131,515  

3 Month CAD LIBOR

  1.07%   CAD     9,050,000       06/17/2030       Semi-Annually       3,131       43,180       40,049  

3 Month CAD LIBOR

  0.98%   CAD     75,230,000       06/17/2030       Semi-Annually             (145,838     (145,838

1.04%

  3 Month CAD LIBOR   CAD     9,600,000       06/17/2030       Semi-Annually             (24,785     (24,785

6 Month CHF LIBOR

  (0.34)%   CHF     142,670,000       06/17/2030       Semi-Annually       564,931       104,063       (460,868

6 Month CHF LIBOR

  (0.40)%   CHF     54,500,000       06/17/2030       Semi-Annually             (326,171     (326,171

0.63%

  3 Month NZD Bank Bill Rate   NZD     9,190,000       06/17/2030       Semi-Annually       (3,901     48,325       52,226  

0.70%

  3 Month NZD Bank Bill Rate   NZD     12,080,000       06/17/2030       Semi-Annually             9,050       9,050  

3 Month SEK STIBOR

  0.37%   SEK     393,200,000       06/17/2030       Quarterly       (57,640     (39,277     18,363  

3 Month SEK STIBOR

  0.40%   SEK     828,100,000       06/17/2030       Quarterly       118,491       223,124       104,633  

3 Month SEK STIBOR

  0.35%   SEK     216,400,000       06/17/2030       Quarterly             (50,160     (50,160

(0.15)%

  6 Month EURIBOR   EUR     11,640,000       06/19/2030       Semi-Annually             28,806       28,806  

(0.14)%

  6 Month EURIBOR   EUR     52,130,000       06/19/2030       Semi-Annually             40,177       40,177  

(0.14)%

  6 Month EURIBOR   EUR     18,860,000       06/19/2030       Semi-Annually             30,604       30,604  

(0.13)%

  6 Month EURIBOR   EUR     8,780,000       06/19/2030       Semi-Annually             (215     (215

(0.12)%

  6 Month EURIBOR   EUR     144,340,000       06/19/2030       Semi-Annually       28,228       (208,494     (236,722

(0.09)%

  6 Month EURIBOR   EUR     12,610,000       06/19/2030       Semi-Annually             (58,324     (58,324

(0.01)%

  6 Month EURIBOR   EUR     8,670,000       06/19/2030       Semi-Annually             (117,416     (117,416

(0.01)%

  6 Month EURIBOR   EUR     3,280,000       06/19/2030       Semi-Annually             (45,724     (45,724

6 Month GBP LIBOR

  0.48%   GBP     7,470,000       06/19/2030       Semi-Annually             73,314       73,314  

6 Month GBP LIBOR

  0.48%   GBP     3,580,000       06/19/2030       Semi-Annually             35,577       35,577  

0.46%

  6 Month GBP LIBOR   GBP     74,170,000       06/19/2030       Semi-Annually       (232,660     (563,556     (330,896

0.50%

  6 Month GBP LIBOR   GBP     16,480,000       06/19/2030       Semi-Annually       47,922       (200,296     (248,218

0.57%

  6 Month GBP LIBOR   GBP     13,340,000       06/19/2030       Semi-Annually             (268,898     (268,898

0.56%

  6 Month GBP LIBOR   GBP     7,790,000       06/19/2030       Semi-Annually             (152,229     (152,229

3 Month USD LIBOR

  0.69%   USD     9,130,000       06/19/2030       Quarterly             39,391       39,391  

3 Month USD LIBOR

  0.65%   USD     4,340,000       06/19/2030       Quarterly             1,347       1,347  

3 Month USD LIBOR

  0.67%   USD     10,200,000       06/19/2030       Quarterly             19,805       19,805  

3 Month USD LIBOR

  0.69%   USD     11,730,000       06/19/2030       Quarterly             52,928       52,928  

3 Month USD LIBOR

  0.66%   USD     7,200,000       06/19/2030       Quarterly             11,133       11,133  

3 Month USD LIBOR

  0.67%   USD     7,210,000       06/19/2030       Quarterly             14,356       14,356  

3 Month USD LIBOR

  0.64%   USD     10,100,000       06/19/2030       Quarterly             (6,352     (6,352

0.68%

  3 Month USD LIBOR   USD     29,290,000       06/19/2030       Quarterly             (97,413     (97,413

0.70%

  3 Month USD LIBOR   USD     21,640,000       06/19/2030       Quarterly             (114,760     (114,760

0.70%

  3 Month USD LIBOR   USD     21,650,000       06/19/2030       Quarterly             (113,743     (113,743

0.65%

  3 Month USD LIBOR   USD     28,000,000       06/19/2030       Quarterly       (135,997     (11,458     124,539  

0.70%

  3 Month USD LIBOR   USD     84,490,000       06/19/2030       Quarterly       (177,582     (452,239     (274,657
           

 

 

   

 

 

   

 

 

 
            $ 142,280     $ (1,121,171   $ (1,263,451
           

 

 

   

 

 

   

 

 

 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Swap Contracts — continued

OTC Total Return Swaps

 

Fund Pays

   Fund Receives    

Counterparty

   Notional
Amount
     Expiration
Date
     Periodic
Payment
Frequency
     Premiums
Paid/
(Received) ($)
     Value ($)      Net Unrealized
Appreciation/
(Depreciation) ($)
 

Depreciation of Total Return on CSI 500 Index + (1 Month USD LIBOR minus 9.25%)

    

Appreciation on Total
Return on CSI 500
Index
 
 
 
  GS      USD        8,701,747        12/07/2020        Monthly               (17,970      (17,970

Total Return on Equity Basket(m)

    

1 Month Federal
Funds Rate minus
0.40%
 
 
 
  MORD      USD        11,259,652        06/18/2022        Monthly               (1,204,613      (1,204,613

Total Return on Equity Basket(m)

    

1 Month Federal
Funds Rate minus
1.00%
 
 
 
  MORD      USD        13,588,534        06/18/2022        Monthly               473,342        473,342  

Total Return on Equity Basket(m)

    

1 Month Federal
Funds Rate minus
1.75%
 
 
 
  MORD      USD        9,776,760        06/18/2022        Monthly               (444,748      (444,748

Total Return on Equity Basket(m)

    

1 Month Federal
Funds Rate minus
1.00%
 
 
 
  MORD      USD        4,574,456        06/18/2022        Monthly               (239,270      (239,270

Total Return on Equity Basket(m)

    

1 Month Federal
Funds Rate minus
0.90%
 
 
 
  MORD      USD        2,596,147        06/18/2022        Monthly               (117,108      (117,108
                   

 

 

    

 

 

    

 

 

 
                    $      $ (1,550,367    $ (1,550,367
                   

 

 

    

 

 

    

 

 

 

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

All or a portion of this security is out on loan.

 

(b)

Securities are traded on separate exchanges for the same entity.

 

(c)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(d)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on securities sold short, OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(e)

All or a portion of this investment is held in connection with one or more holdings within the Fund.

 

(f)

Investment valued using significant unobservable inputs.

 

(g)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(h)

Security is in default.

 

(i)

All or a portion of this security or derivative is owned by GMO Implementation SPC Ltd., which is a 100% owned subsidiary of GMO Implementation Fund.

 

(j)

All or a portion of this security is purchased with collateral from securities loaned.

 

(k)

The rate disclosed is the 7 day net yield as of May 31, 2020.

 

(l)

The rate shown represents yield-to-maturity.

(m)

Periodic payments made/received are based on the total return of the referenced entity. Custom equity basket swap which has a notional amount of less than 1% of the Fund’s total net assets.

The rates shown on variable rate notes are the current interest rates at May 31, 2020, which are subject to change based on the terms of the security.

 

Portfolio Abbreviations:

144A - Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional investors.

ADR - American Depositary Receipt

AUD BBSW - Bank Bill Swap Reference Rate denominated in Australian Dollar.

CAD LIBOR - London Interbank Offered Rate denominated in Canadian Dollar.

CHF LIBOR - London Interbank Offered Rate denominated in Swiss Franc.

CLO - Collateralized Loan Obligation

CMT - Constant Maturity Treasury

CVR - Contingent Value Right

ETF- Exchange-Traded Fund

EURIBOR - Euro Interbank Offered Rate

Foreign Registered - Shares issued to foreign investors in markets that have foreign ownership limits.

GBP LIBOR - London Interbank Offered Rate denominated in British Pound.

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

LIBOR - London Interbank Offered Rate

NVDR - Non-Voting Depositary Receipt

NZD Bank Bill Rate - Bank Bill Rate denominated in New Zealand Dollar.

OJSC - Open Joint-Stock Company

PIK - Payment In Kind

PJSC - Private Joint-Stock Company

QPSC - Qatar Private Stock Company

QSC - Qatari Shareholding Company

Reg S - Security exempt from registration under Regulation S of the Securities Act of 1933, which exempts from registration securities offered and sold outside the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.

 

 

   


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

REIT - Real Estate Investment Trust

SEK STIBOR - Stockholm Interbank Offered Rate denominated in Swedish Krona.

SOFOM - Sociedades Financieras de Objeto Multi (Multi-purpose financial Company)

SOFR - Secured Overnight Financing Rate

USD LIBOR - London Interbank Offered Rate denominated in United States Dollar.

 

Counterparty Abbreviations:

 

BCLY - Barclays Bank PLC

BOA - Bank of America, N.A.

CITI - Citibank N.A.

CSI - Credit Suisse International

DB - Deutsche Bank AG

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MORD - Morgan Stanley Capital Services LLC

MSCI - Morgan Stanley & Co. International PLC

SSB - State Street Bank and Trust Company

UBS - UBS Securities LLC

 

 

Currency Abbreviations:

 

AUD - Australian Dollar

BRL - Brazilian Real

CAD - Canadian Dollar

CHF - Swiss Franc

CLP - Chilean Peso

COP - Colombian Peso

CZK - Czech Koruna

EUR - Euro

GBP - British Pound

HKD - Hong Kong Dollar

HUF - Hungarian Forint

IDR - Indonesian Rupiah

ILS - Israeli Shekel

INR - Indian Rupee

JPY - Japanese Yen

KRW - South Korean Won

MXN - Mexican Peso

NOK - Norwegian Krone

NZD - New Zealand Dollar

PEN - Peruvian Sol

PHP - Philippine Peso

PLN - Polish Zloty

QAR - Qatari Rial

RON - Romanian Leu

RUB - Russian Ruble

SEK - Swedish Krona

SGD - Singapore Dollar

THB - Thai Baht

TRY - Turkish Lira

TWD - Taiwan Dollar

USD - United States Dollar

ZAR - South African Rand

 
 


GMO International Developed Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          MUTUAL FUNDS — 100.0%  
          Affiliated Issuers — 100.0%  
    925,014     GMO Emerging Markets Fund, Class VI     26,529,403  
    12,843,470     GMO International Equity Fund, Class IV     242,613,141  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $310,605,204)
    269,142,544  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%      
    126,980     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12%(a)     126,980  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $126,980)
    126,980  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $310,732,184)
    269,269,524  
    Other Assets and Liabilities (net) — (0.0%)     (46,419
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $269,223,105  
     

 

 

 

Notes to Schedule of Investments:

 

 

(a)

The rate disclosed is the 7 day net yield as of May 31, 2020.

 


GMO International Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          MUTUAL FUNDS — 100.0%  
          Affiliated Issuers — 100.0%  
    8,240,030     GMO Emerging Markets Fund, Class VI     236,324,072  
    23,995,984     GMO International Equity Fund, Class IV     453,284,143  
     

 

 

 
    TOTAL MUTUAL FUNDS (COST $816,275,744)     689,608,215  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%  
    257,034     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12%(a)     257,034  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $257,034)
    257,034  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $816,532,778)
    689,865,249  
    Other Assets and Liabilities (net) — (0.0%)     (60,206
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $689,805,043  
     

 

 

 

Notes to Schedule of Investments:

 

 

(a)

The rate disclosed is the 7 day net yield as of May 31, 2020.

 


GMO SGM Major Markets Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Par Value† /
Shares
    Description   Value ($)  
    DEBT OBLIGATIONS — 95.9%

 

          United States — 95.9%  
          U.S. Government — 93.2%      
    25,000,000     U.S. Treasury Note, 1.38%, due 01/31/21     25,196,289  
    25,000,000     U.S. Treasury Note, 1.25%, due 03/31/21 (a)     25,217,774  
    25,000,000     U.S. Treasury Note, 1.38%, due 04/30/21     25,267,578  
    12,000,000     U.S. Treasury Note, 2.63%, due 05/15/21 (b)     12,276,094  
    37,000,000     U.S. Treasury Note, 1.38%, due 05/31/21     37,430,703  
    43,000,000     U.S. Treasury Note, 1.63%, due 06/30/21     43,658,437  
    15,000,000     U.S. Treasury Note, 1.13%, due 08/31/21     15,173,438  
    30,000,000     U.S. Treasury Note, 1.63%, due 12/31/21     30,682,031  
    30,000,000     U.S. Treasury Note, 1.50%, due 01/31/22     30,656,250  
    5,758,800     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 0.17%, due 07/31/20     5,759,116  
    66,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.12%, 0.25%, due 01/31/21 (a) (b)     66,052,090  
     

 

 

 
    Total U.S. Government     317,369,800  
     

 

 

 
          U.S. Government Agency — 2.7%      
    9,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.13%, 0.19%, due 10/16/20     9,000,997  
     

 

 

 
    Total United States     326,370,797  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $324,684,170)
    326,370,797  
     

 

 

 
          SHORT-TERM INVESTMENTS — 3.2%  
          Money Market Funds — 3.2%  
    1,281,052     SSgA USD Liquidity Fund – Class D Shares, 0.23% (b)     1,281,052  
    9,659,909     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (c)     9,659,909  
     

 

 

 
    Total Money Market Funds     10,940,961  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $10,940,961)
    10,940,961  
     

 

 

 
    TOTAL INVESTMENTS — 99.1%
(Cost $335,625,131)
    337,311,758  
    Other Assets and Liabilities (net) — 0.9%     3,231,064  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $340,542,822  
     

 

 

 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

Forward Currency Contracts

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
07/14/2020   MSCI   AUD     2,903,885       USD       1,904,811       (30,820
07/14/2020   UBS   AUD     21,286,021       USD       13,808,477       (380,065
06/02/2020   GS   CAD     11,441,555       USD       8,084,565       (225,385
06/02/2020   MSCI   CAD     16,556,564       USD       11,791,299       (233,659
06/02/2020   SSB   CAD     14,175,231       USD       10,295,407       3,795  
06/02/2020   UBS   CAD     12,051,854       USD       8,684,588       (68,620
06/17/2020   MSCI   EUR     27,874,491       USD       30,413,186       (538,223
07/17/2020   SSB   GBP     2,230,497       USD       2,778,578       23,390  
07/14/2020   GS   NZD     1,864,632       USD       1,116,425       (40,810
07/14/2020   UBS   NZD     8,636,357       USD       5,252,918       (107,013
07/14/2020   UBS   USD     777,593       AUD       1,174,169       5,068  
06/02/2020   GS   USD     1,917,460       CAD       2,670,919       22,417  
06/02/2020   MSCI   USD     36,359,067       CAD       51,554,285       1,084,580  
08/04/2020   SSB   USD     10,299,305       CAD       14,175,231       (3,674
07/14/2020   GS   USD     677,607       CHF       655,129       4,344  
07/14/2020   JPM   USD     2,334,962       CHF       2,251,800       9,032  
07/14/2020   MSCI   USD     1,386,348       CHF       1,346,371       15,146  
06/17/2020   BCLY   USD     10,103,601       EUR       9,241,517       158,038  
06/17/2020   JPM   USD     21,295,961       EUR       19,528,385       388,058  
06/17/2020   MSCI   USD     58,597,090       EUR       53,974,666       1,335,553  
06/17/2020   SSB   USD     7,624,681       EUR       6,949,679       92,136  
07/17/2020   BCLY   USD     1,406,539       GBP       1,147,186       10,505  
07/17/2020   JPM   USD     6,992,018       GBP       5,618,073       (52,378
07/17/2020   MSCI   USD     6,014,642       GBP       4,925,981       70,101  
07/17/2020   SSB   USD     2,261,351       GBP       1,852,390       26,786  
07/13/2020   GS   USD     4,921,367       JPY       526,940,637       (32,306
07/13/2020   NABC   USD     4,063,603       JPY       433,835,666       (38,389
07/13/2020   SSB   USD     11,140,248       JPY       1,193,058,693       (70,809
07/13/2020   UBS   USD     6,776,978       JPY       729,476,935       (8,744
           

 

 

 
            $ 1,418,054  
           

 

 

 
 


GMO SGM Major Markets Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

Futures Contracts

 

 

Number
of
Contracts +

 

Type

  Expiration
Date
  Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Buys        
51   Australian Government Bond 10 Yr.   June 2020     5,064,070       15,681  
273   Euro STOXX 50   June 2020     9,293,836       781,206  
34   Gilt Long Bond   September 2020     5,771,103       3,753  
98   Hang Seng Index   June 2020     14,527,786       (66,677
1   Japanese Government Bond 10 Yr. (OSE)   June 2020     1,411,285       (1,268
680   Mini MSCI Emerging Markets   June 2020     31,718,600       708,833  
162   MSCI Singapore   June 2020     3,313,029       (40,211
85   Silver (b)   July 2020     7,862,075       1,026,591  
113   WTI Crude (b)   June 2020     4,010,370       519,768  
     

 

 

   

 

 

 
      $ 82,972,154     $ 2,947,676  
     

 

 

   

 

 

 

Number
of
Contracts +

 

Type

  Expiration
Date
  Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Sales        
221   E-mini Russell 2000 Index   June 2020     15,390,440       (1,001,440
1   Euro Bund   June 2020     191,439       268  
276   FTSE/JSE TOP 40   June 2020     7,398,047       (68,986
58   Gold 100 OZ (b)   August 2020     10,159,860       (106,735
149   S&P 500 E-Mini   June 2020     22,662,900       (875,810
40   Soybean (b)   November 2020     1,703,500       262  
53   SPI 200   June 2020     5,088,652       (192,114
14   TOPIX Index   June 2020     2,032,525       25,006  
121   U.S. Treasury Note 10 Yr. (CBT)   September 2020     16,826,563       (36,834
     

 

 

   

 

 

 
      $ 81,453,926     $ (2,256,383
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

  

Sales - Fund is short the futures contract.

 

 

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

(a)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on OTC swap contracts, forward currency contracts, and/or written options, if any.

(b)

All or a portion of this security or derivative is owned by GMO Alternative Asset SPC Ltd., which is a 100% owned subsidiary of GMO SGM Major Markets Fund.

(c)

The rate disclosed is the 7 day net yield as of May 31, 2020.

The rates shown on variable rate notes are the current interest rates at May 31, 2020, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

SOFR - Secured Overnight Financing Rate

USBM - U.S. Treasury 3 Month Bill Money Market Yield.

Counterparty Abbreviations:

 

BCLY - Barclays Bank PLC

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MSCI - Morgan Stanley & Co. International PLC

NABC - National Australia Bank Limited

SSB - State Street Bank and Trust Company

UBS - UBS Securities LLC

 

 

Currency Abbreviations:

 

AUD - Australian Dollar

CAD - Canadian Dollar

CHF - Swiss Franc

EUR - Euro

GBP - British Pound

JPY - Japanese Yen

NZD - New Zealand Dollar

USD - United States Dollar

 
 


GMO Special Opportunities Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 81.6%  
          Israel — 4.8%      
    71,000     Wix.com Ltd *     15,785,430  
     

 

 

 
          New Zealand — 4.4%      
    1,900,000     Ryman Healthcare Ltd     14,327,004  
     

 

 

 
          United Kingdom — 4.5%      
    709,850     Blue Prism Group Plc *     11,410,591  
    640,000     Burford Capital Ltd     3,507,051  
     

 

 

 
    Total United Kingdom     14,917,642  
     

 

 

 
          United States — 67.9%      
    309,000     Ally Financial, Inc.     5,388,960  
    1,550,000     At Home Group, Inc. *     7,347,000  
    230,784     Cardlytics, Inc. *     15,714,083  
    579,449     Carvana Co. *     53,877,168  
    24,500     Credit Acceptance Corp. *     9,060,590  
    366,684     Fastly, Inc. – Class A *     15,818,748  
    207,920     Interactive Brokers Group, Inc. – Class A     8,805,412  
    1,672,163     Redfin Corp. *     50,148,168  
    330,348     Wayfair, Inc. – Class A *     56,671,199  
     

 

 

 
    Total United States     222,831,328  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $150,917,186)
    267,861,404  
     

 

 

 
          SHORT-TERM INVESTMENTS — 16.4%  
          Money Market Funds — 2.7%      
    294     SSgA USD Liquidity Fund – Class D shares, 0.23% (a)     294  
    8,946,093     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (b)     8,946,093  
     

 

 

 
    Total Money Market Funds     8,946,387  
     

 

 

 
          U.S. Government — 13.7%      
    44,999,999     U.S. Treasury Bill, 0.17%, due 11/27/20 (c)     44,962,242  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $53,911,705)
    53,908,629  
     

 

 

 
    TOTAL INVESTMENTS — 98.0%
(Cost $204,828,891)
    321,770,033  
    Other Assets and Liabilities (net) — 2.0%     6,592,666  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $328,362,699  
     

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

All or a portion of this security is owned by GMO Special Opportunities SPC Ltd., which is a 100% owned subsidiary of GMO Special Opportunities Fund.

 

(b)

The rate disclosed is the 7 day net yield as of May 31, 2020.

 

(c)

The rate shown represents yield-to-maturity.

 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
    COMMON STOCKS — 17.8%  
          Australia — 0.2%      
    16,348     Accent Group Ltd     14,794  
    11,521     Ansell Ltd     270,374  
    5,444     Appen Ltd     112,112  
    26,425     Asaleo Care Ltd     18,003  
    48,596     Australian Pharmaceutical Industries Ltd *     36,463  
    12,140     Beach Energy Ltd     13,116  
    145     Brickworks Ltd     1,496  
    47,822     CSR Ltd *     130,370  
    39,622     Fortescue Metals Group Ltd     366,797  
    14,488     GDI Property Group (REIT)     10,488  
    31,008     Genworth Mortgage Insurance Australia Ltd     43,416  
    16,555     JB Hi-Fi Ltd     410,567  
    75,436     Mount Gibson Iron Ltd     34,197  
    22,260     Sandfire Resources NL     65,175  
    3,088     Virtus Health Ltd     6,518  
     

 

 

 
    Total Australia     1,533,886  
     

 

 

 
          Belgium — 0.0%      
    3,247     Ageas SA *     110,834  
    17,785     AGFA-Gevaert NV *     71,585  
    3,591     bpost SA     23,547  
    552     Colruyt SA     33,318  
    700     Orange Belgium SA     11,349  
    629     UCB SA     62,953  
     

 

 

 
    Total Belgium     313,586  
     

 

 

 
          Brazil — 0.2%      
    10,700     Banco do Brasil SA     61,838  
    142,500     JBS SA     586,685  
    25,700     Petrobras Distribuidora SA     104,220  
    34,700     Vale SA     344,639  
     

 

 

 
    Total Brazil     1,097,382  
     

 

 

 
          Canada — 0.3%      
    2,500     AGF Management Ltd – Class B     6,809  
    1,200     Atco Ltd – Class I     33,825  
    5,400     B2Gold Corp     29,592  
    9,100     Bausch Health Cos Inc *     167,612  
    400     BRP Inc Sub Voting *     13,852  
    1,900     Canfor Pulp Products Inc *     8,597  
    6,000     Cascades Inc     61,532  
    14,200     Celestica Inc *     96,740  
    4,600     Centerra Gold Inc     46,673  
    16,900     CI Financial Corp     200,318  
    2,800     Cogeco Communications Inc     209,098  
    900     Cogeco Inc     56,398  
         
Shares
    Description   Value ($)  
          Canada — continued      
    1,800     Enerflex Ltd     7,217  
    600     Franco-Nevada Corp     84,218  
    200     Home Capital Group Inc *     2,758  
    13,200     iA Financial Corp Inc     421,545  
    5,600     IGM Financial Inc     132,999  
    3,700     Labrador Iron Ore Royalty Corp     60,222  
    9,400     Martinrea International Inc     61,786  
    12,017     Nutrien Ltd     408,578  
    2,100     Stantec Inc     63,449  
    4,500     Teranga Gold Corp *     35,363  
     

 

 

 
    Total Canada     2,209,181  
     

 

 

 
          China — 0.5%      
    42,000     Agile Group Holdings Ltd     43,590  
    586,000     Agricultural Bank of China Ltd – Class H     237,817  
    379,500     BAIC Motor Corp Ltd – Class H     153,840  
    139,000     Bank of China Ltd – Class H     51,094  
    364,000     Bank of Communications Co Ltd – Class H     221,781  
    144,000     China CITIC Bank Corp Ltd – Class H     62,929  
    85,000     China Lesso Group Holdings Ltd     103,339  
    28,000     China Lilang Ltd     14,967  
    35,000     China Medical System Holdings Ltd     40,137  
    206,000     China National Building Material Co Ltd – Class H     233,705  
    1,164,000     China Petroleum & Chemical Corp – Class H     543,088  
    224,000     China Resources Pharmaceutical Group Ltd     122,470  
    73,000     China SCE Group Holdings Ltd     30,389  
    34,000     China Shineway Pharmaceutical Group Ltd     21,580  
    172,000     Chongqing Rural Commercial Bank Co Ltd – Class H     66,275  
    30,000     Guangzhou Baiyunshan Pharmaceutical Holdings Co Ltd – Class H     73,336  
    267,600     Guangzhou R&F Properties Co Ltd – Class H     332,521  
    7,000     JNBY Design Ltd *     6,047  
    2,500     Kingboard Holdings Ltd     6,088  
    73,000     Postal Savings Bank of China Co Ltd – Class H     46,756  
    24,000     Powerlong Real Estate Holdings Ltd     13,409  
    17,000     Red Star Macalline Group Corp Ltd – Class H     10,380  
    71,500     Shanghai Pharmaceuticals Holding Co Ltd – Class H     113,347  
    188,000     Shimao Property Holdings Ltd     788,442  
    154,000     Tianneng Power International Ltd     156,059  
     

 

 

 
    Total China     3,493,386  
     

 

 

 
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Denmark — 0.0%      
    4,336     Scandinavian Tobacco Group A/S     65,280  
     

 

 

 
          Finland — 0.1%      
    13,463     Neste Oyj     548,602  
    1,678     Orion Oyj – Class B     89,813  
     

 

 

 
    Total Finland     638,415  
     

 

 

 
          France — 0.6%      
    852     Albioma SA     30,354  
    5,664     ALD SA     62,675  
    7,463     APERAM SA     205,365  
    1,945     Arkema SA     170,558  
    212     Assystem SA     5,078  
    197     Axway Software SA     3,291  
    170     Boiron SA     6,221  
    84     Caisse Regionale de Credit Agricole Mutuel Nord de France     2,225  
    161     Cie des Alpes     3,501  
    14,529     Coface SA     83,366  
    1,992     Fnac Darty SA *     65,277  
    1,780     Gaztransport Et Technigaz SA     133,608  
    322     GL Events     4,485  
    79     Groupe Crit     4,840  
    91     HEXAOM     3,001  
    3,884     IPSOS     95,059  
    1,187     Kaufman & Broad SA     42,136  
    861     Kering SA     451,388  
    3,206     L’Oreal SA     940,356  
    1,207     LVMH Moet Hennessy Louis Vuitton SE     506,367  
    6,238     Metropole Television SA     72,764  
    3,784     Quadient     54,891  
    5,853     Safran SA     563,988  
    3,416     Sanofi     334,135  
    2,000     Sanofi ADR     98,220  
    9,200     STMicroelectronics NV – NY Shares     228,620  
    163     Synergie SA     3,832  
     

 

 

 
    Total France     4,175,601  
     

 

 

 
          Germany — 0.6%      
    191     Amadeus Fire AG *     21,513  
    36,229     CECONOMY AG *     107,493  
    3,104     CropEnergies AG     30,469  
    45,902     Deutsche Pfandbriefbank AG     317,518  
    20,382     Deutz AG     81,391  
    18,997     Dialog Semiconductor Plc *     759,672  
    114     Draegerwerk AG & Co KGaA     7,368  
    1,370     DWS Group GmbH & Co KGaA     51,627  
    2,103     Gerresheimer AG     179,934  
    98     Grammer AG     2,146  
         
Shares
    Description   Value ($)  
          Germany — continued      
    1,463     Hamburger Hafen und Logistik AG     23,872  
    3,505     Hannover Rueck SE     566,050  
    875     Hornbach Holding AG & Co KGaA     63,046  
    30,442     Infineon Technologies AG     641,648  
    4,386     METRO AG     41,027  
    1,600     RHOEN-KLINIKUM AG     32,018  
    5,295     Siemens AG (Registered)     583,799  
    1,958     Siltronic AG     193,413  
    7,558     Software AG *     292,538  
    4,351     Takkt AG     42,341  
    5,228     TRATON SE *     88,182  
    2,136     VERBIO Vereinigte BioEnergie AG     21,283  
    4,119     Wacker Neuson SE     56,045  
    904     Wuestenrot & Wuerttembergische AG     16,506  
     

 

 

 
    Total Germany     4,220,899  
     

 

 

 
          Hong Kong — 0.2%      
    54,000     Cafe de Coral Holdings Ltd     97,458  
    260,000     CITIC Telecom International Holdings Ltd     82,700  
    130,000     CSI Properties Ltd     3,729  
    18,500     Dah Sing Banking Group Ltd     16,451  
    24,800     Dah Sing Financial Holdings Ltd     69,410  
    70,000     Giordano International Ltd     10,061  
    175,000     HKT Trust & HKT Ltd – Class SS     248,955  
    78,500     Johnson Electric Holdings Ltd     135,048  
    139,000     Pacific Textiles Holdings Ltd     58,347  
    12,000     Pico Far East Holdings Ltd     1,551  
    20,000     Prosperity REIT     5,658  
    19,000     Regal Real Estate Investment Trust     2,762  
    68,000     Shun Tak Holdings Ltd *     24,200  
    80,000     SJM Holdings Ltd     89,387  
    60,000     Sun Hung Kai & Co Ltd     24,114  
    4,000     TAI Cheung Holdings Ltd     2,543  
    50,700     VTech Holdings Ltd     306,988  
    66,000     WH Group Ltd     57,416  
    19,000     Wheelock & Co Ltd     128,978  
    128,000     Yue Yuen Industrial Holdings Ltd     184,312  
     

 

 

 
    Total Hong Kong     1,550,068  
     

 

 

 
          India — 0.0%      
    300     Dr Reddy’s Laboratories Ltd ADR     16,032  
    27,460     Indian Oil Corp Ltd     30,416  
    20,549     REC Ltd     24,185  
     

 

 

 
    Total India     70,633  
     

 

 

 
          Ireland — 0.1%      
    10,295     AIB Group Plc *     11,355  
    39,165     Bank of Ireland Group Plc     69,950  
    690     CRH Plc     22,219  
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Ireland — continued      
    3,200     CRH Plc Sponsored ADR     102,912  
    2,237     Glanbia Plc     24,479  
    71,600     Hibernia REIT Plc     86,824  
    36,837     Irish Residential Properties REIT Plc     53,653  
    9,692     Origin Enterprises Plc     29,821  
    7,694     Permanent TSB Group Holdings Plc *     3,932  
    26,636     Ryanair Holdings Plc *     330,461  
    9,904     Smurfit Kappa Group Plc     323,422  
    6,616     Total Produce Plc     8,362  
     

 

 

 
    Total Ireland     1,067,390  
     

 

 

 
          Italy — 0.5%      
    115,968     A2A SPA     161,814  
    3,622     ACEA SPA     70,236  
    27,359     Anima Holding SpA     115,986  
    3,839     Ascopiave SpA     17,388  
    11     ASTM SPA *     227  
    10,510     Banca Mediolanum SPA     70,264  
    29,345     Buzzi Unicem SpA     586,771  
    3,639     Cementir Holding NV     24,924  
    26,335     Enav SPA     119,957  
    5,648     Enel SPA     43,669  
    23,629     EXOR NV     1,274,744  
    146,778     Hera SPA     562,134  
    124,830     Iren SPA     311,739  
    24,339     Italgas SpA     132,536  
    1,690     La Doria SPA     19,737  
    15,287     Mediobanca Banca di Credito Finanziario SPA     100,563  
    7,296     Nexi SPA *     120,530  
    33,197     Piaggio & C SpA     80,195  
    474     Recordati SPA     21,586  
    348     Sesa SpA     19,796  
     

 

 

 
    Total Italy     3,854,796  
     

 

 

 
          Japan — 2.1%      
    1,700     77 Bank Ltd (The)     24,310  
    2,000     ADEKA Corp     27,884  
    1,400     Aichi Corp     9,756  
    13,500     Amada Co Ltd     120,637  
    600     Arata Corp     25,399  
    900     Arcland Sakamoto Co Ltd     9,957  
    41,000     Astellas Pharma Inc     732,585  
    1,500     Bandai Namco Holdings Inc     83,395  
    800     Bando Chemical Industries Ltd     4,672  
    27,100     Brother Industries Ltd     512,837  
    2,900     Canon Marketing Japan Inc     59,144  
    12,100     Casio Computer Co Ltd     213,695  
    9,900     Chiba Bank Ltd (The)     47,258  
    400     Chiyoda Integre Co Ltd     6,552  
         
Shares
    Description   Value ($)  
          Japan — continued      
    800     Chugai Pharmaceutical Co Ltd     118,218  
    700     Cleanup Corp     3,393  
    5,500     Dai Nippon Printing Co Ltd     125,381  
    1,300     Dai Nippon Toryo Co Ltd     11,927  
    400     Dai-Dan Co Ltd     10,742  
    19,800     Daicel Corp     168,044  
    400     Daiichi Jitsugyo Co Ltd     14,060  
    400     Dainichiseika Color & Chemicals Manufacturing Co Ltd     9,297  
    1,200     Daiwa Industries Ltd     10,922  
    4,600     Daiwabo Holdings Co Ltd     309,433  
    3,500     DTS Corp     74,562  
    1,000     ESPEC Corp     16,400  
    700     Ezaki Glico Co Ltd     33,970  
    3,300     FANUC Corp     589,705  
    10,400     Fuji Electric Co Ltd     277,834  
    2,700     Fuji Media Holdings Inc     27,134  
    3,400     Fujitec Co Ltd     50,978  
    8,600     Fujitsu General Ltd     168,272  
    1,600     Fujitsu Ltd     164,877  
    200     Fukuda Corp     9,099  
    4,600     Geo Holdings Corp     57,577  
    3,600     Glory Ltd     85,594  
    3,400     GungHo Online Entertainment Inc     55,427  
    9,900     Gunma Bank Ltd (The)     31,083  
    6,900     Gurunavi Inc     42,293  
    9,100     Hachijuni Bank Ltd (The)     33,795  
    6,300     Hakuhodo DY Holdings Inc     78,456  
    800     Hakuto Co Ltd     7,334  
    17,600     Haseko Corp     214,999  
    5,600     Hiroshima Bank Ltd (The)     26,337  
    3,400     Hisamitsu Pharmaceutical Co Inc     172,148  
    2,500     Hokuhoku Financial Group Inc     21,149  
    3,300     Inaba Denki Sangyo Co Ltd     75,222  
    3,000     Itochu Enex Co Ltd     24,127  
    3,700     Itochu Techno-Solutions Corp     125,228  
    100     Itochu-Shokuhin Co Ltd     4,362  
    2,700     Itoki Corp     10,283  
    40,400     JVCKenwood Corp     66,114  
    24,700     K’s Holdings Corp     316,193  
    1,800     Kaken Pharmaceutical Co Ltd     99,220  
    800     Kamei Corp     8,000  
    5,700     Kanematsu Corp     70,980  
    700     Kanematsu Electronics Ltd     25,897  
    1,900     Kasai Kogyo Co Ltd     9,148  
    300     Kato Sangyo Co Ltd     10,547  
    28,600     KDDI Corp     834,811  
    2,500     Keihin Corp     59,134  
    1,400     Kinden Corp     23,454  
    1,800     Kissei Pharmaceutical Co Ltd     45,766  
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Japan — continued      
    64,500     Konica Minolta Inc     239,634  
    900     Kumagai Gumi Co Ltd     22,061  
    5,800     Kumiai Chemical Industry Co Ltd     46,999  
    1,100     Kureha Corp     48,607  
    2,300     KYORIN Holdings Inc     49,726  
    1,600     Lion Corp     36,841  
    8,600     LIXIL VIVA Corp     192,794  
    3,300     Makino Milling Machine Co Ltd     102,283  
    500     Maruzen Showa Unyu Co Ltd     13,395  
    500     Matsuda Sangyo Co Ltd     6,711  
    12,200     Mebuki Financial Group Inc     27,733  
    3,100     Medipal Holdings Corp     61,412  
    4,900     Meidensha Corp     83,052  
    700     METAWATER Co Ltd     31,263  
    15,300     Mitsubishi Gas Chemical Co Inc     228,675  
    1,000     Mitsuboshi Belting Ltd     15,240  
    1,200     Mitsui Sugar Co Ltd     23,232  
    500     Mochida Pharmaceutical Co Ltd     19,459  
    1,200     MTI Ltd     6,725  
    4,200     NEC Networks & System Integration Corp     79,258  
    8,500     Nichi-iko Pharmaceutical Co Ltd     103,621  
    6,350     Nichias Corp     146,707  
    600     Nihon Unisys Ltd     18,589  
    15,500     Nikon Corp     142,662  
    3,300     Nippo Corp     82,048  
    2,000     Nippon Flour Mills Co Ltd     30,343  
    7,300     Nippon Kayaku Co Ltd     73,498  
    75,500     Nippon Light Metal Holdings Co Ltd     129,680  
    2,200     Nippon Soda Co Ltd     61,290  
    40,200     Nippon Telegraph & Telephone Corp     915,000  
    1,200     Nisshin Oillio Group Ltd (The)     38,480  
    400     Nissin Corp     5,947  
    5,700     Nissin Electric Co Ltd     59,431  
    100     NOF Corp     3,565  
    2,600     Nojima Corp     60,676  
    16,100     Nomura Real Estate Holdings Inc     297,174  
    600     NS Solutions Corp     16,525  
    59,100     Obayashi Corp     548,021  
    100     Okinawa Cellular Telephone Co     3,846  
    800     Organo Corp     45,151  
    600     Osaka Soda Co Ltd     14,673  
    500     Otsuka Corp     24,213  
    1,100     Paramount Bed Holdings Co Ltd     42,785  
    14,900     Penta-Ocean Construction Co Ltd     77,883  
    2,000     Proto Corp     21,430  
    2,000     Raiznext Corp     23,891  
    600     Rinnai Corp     50,689  
    800     Sac’s Bar Holdings Inc     4,114  
    2,200     San-Ai Oil Co Ltd     22,633  
         
Shares
    Description   Value ($)  
          Japan — continued      
    4,100     Sanki Engineering Co Ltd     52,331  
    900     Sanyo Chemical Industries Ltd     41,331  
    4,300     Seiko Holdings Corp     72,997  
    5,900     Seino Holdings Co Ltd     80,570  
    600     Sekisui Jushi Corp     13,251  
    21,500     Seven Bank Ltd     61,449  
    2,400     SG Holdings Co Ltd     78,477  
    69,200     Shimizu Corp     585,763  
    2,200     Shinmaywa Industries Ltd     21,843  
    5,700     Shinsei Bank Ltd     72,905  
    1,600     Shizuoka Gas Co Ltd     14,747  
    7,400     Showa Corp     154,760  
    200     Sinanen Holdings Co Ltd     5,066  
    1,500     Sinko Industries Ltd     21,371  
    1,700     Sintokogio Ltd     12,495  
    80,100     Sumitomo Chemical Co Ltd     248,918  
    10,700     Sumitomo Dainippon Pharma Co Ltd     151,541  
    500     Sumitomo Seika Chemicals Co Ltd     14,159  
    1,800     Suzuken Co Ltd     65,487  
    4,000     T-Gaia Corp     85,289  
    1,100     Taisho Pharmaceutical Holdings Co Ltd     70,062  
    4,100     Takasago Thermal Engineering Co Ltd     69,808  
    1,200     Tamron Co Ltd     22,620  
    26,900     Teijin Ltd     440,874  
    2,200     Tokyo Seimitsu Co Ltd     71,614  
    7,600     Tokyu Construction Co Ltd     41,542  
    900     Toli Corp     2,183  
    3,500     Toppan Forms Co Ltd     36,496  
    16,000     Toppan Printing Co Ltd     274,189  
    800     Torii Pharmaceutical Co Ltd     24,099  
    5,900     Tosei Corp     58,633  
    14,500     Tosoh Corp     202,201  
    5,100     Toyo Construction Co Ltd     20,369  
    800     Toyo Ink SC Holdings Co Ltd     15,489  
    6,400     Toyo Suisan Kaisha Ltd     335,377  
    1,700     Toyota Boshoku Corp     24,082  
    3,200     Trend Micro Inc     176,135  
    6,400     TS Tech Co Ltd     181,053  
    3,400     Tsumura & Co     94,602  
    15,300     Ushio Inc     182,170  
    2,800     Wacoal Holdings Corp     58,115  
    200     Wowow Inc     4,760  
    3,200     YAMABIKO Corp     29,208  
    14,400     Yamaha Motor Co Ltd     208,588  
    300     Yamazaki Baking Co Ltd     5,378  
    2,800     Yamazen Corp     24,363  
    3,100     Yellow Hat Ltd     44,316  
    900     Yuasa Trading Co Ltd     26,398  
     

 

 

 
    Total Japan     15,706,146  
     

 

 

 
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Malaysia — 0.0%      
    29,900     Top Glove Corp Berhad     91,658  
     

 

 

 
          Malta — 0.0%      
    125,500     BGP Holdings Plc * (a)      
     

 

 

 
          Mexico — 0.1%      
    4,800     Gentera SAB de CV     2,000  
    3,100     El Puerto de Liverpool SAB de CV – Class C1     7,745  
    251,100     Grupo Mexico SAB de CV Series B     540,939  
     

 

 

 
    Total Mexico     550,684  
     

 

 

 
          Netherlands — 0.7%      
    1,056     Adyen NV *     1,384,713  
    19,199     ASR Nederland NV     527,806  
    1,396     BE Semiconductor Industries NV     53,386  
    625     Flow Traders     21,866  
    1,397     Heineken Holding NV     114,873  
    66     Hunter Douglas NV     3,168  
    1,945     Koninklijke Vopak NV     106,514  
    18,295     Randstad NV     769,727  
    51,136     Signify NV     1,101,133  
    1,836     TomTom NV *     15,621  
    13,369     Wolters Kluwer NV     1,066,984  
     

 

 

 
    Total Netherlands     5,165,791  
     

 

 

 
          New Zealand — 0.0%      
    14,056     SKY Network Television Ltd *     1,312  
     

 

 

 
          Norway — 0.2%      
    3,235     Adevinta ASA *     34,177  
    11,082     Austevoll Seafood ASA     84,574  
    46,695     BW LPG Ltd     155,978  
    1,044     DNB ASA     14,248  
    95,337     Elkem ASA     174,267  
    4,479     Entra ASA     60,682  
    18,853     Europris ASA     79,619  
    21,223     Gjensidige Forsikring ASA     386,914  
    2,895     Kongsberg Gruppen ASA     42,606  
    2,478     Salmar ASA     111,750  
    1,557     Selvaag Bolig ASA     8,023  
    2,664     SpareBank 1 Nord Norge     17,528  
    415     SpareBank 1 Oestlandet     3,902  
    4,533     SpareBank 1 SMN     36,396  
    19,667     SpareBank 1 SR-Bank ASA     146,397  
     

 

 

 
    Total Norway     1,357,061  
     

 

 

 
          Philippines — 0.0%      
    350     Globe Telecom Inc     15,862  
     

 

 

 
         
Shares
    Description   Value ($)  
          Poland — 0.0%      
    8,498     PLAY Communications SA     60,288  
     

 

 

 
          Portugal — 0.3%      
    43,398     Altri SGPS SA     199,621  
    909,526     Banco Comercial Portugues SA – Class R     99,289  
    1,661     CTT-Correios de Portugal SA     3,784  
    2,594     EDP Renovaveis SA     34,300  
    77,800     EDP – Energias de Portugal SA     363,449  
    32,548     Galp Energia SGPS SA     387,262  
    16,466     Jeronimo Martins SGPS SA     280,773  
    55,760     Navigator Co SA (The)     137,318  
    95,112     NOS SGPS SA *     389,417  
    43,649     REN – Redes Energeticas Nacionais SGPS SA     116,927  
    1,298     Semapa-Sociedade de Investimento e Gestao *     11,936  
    211,728     Sonae SGPS SA     158,549  
     

 

 

 
    Total Portugal     2,182,625  
     

 

 

 
          Russia — 0.2%      
    2,560     Gazprom Neft PJSC     12,213  
    362,000     Inter RAO UES PJSC     25,631  
    2,251     LUKOIL PJSC     169,315  
    8,766     LUKOIL PJSC Sponsored ADR     658,631  
    3,772     Novatek PJSC Sponsered GDR (Registered)     552,161  
    7,422     Novolipetsk Steel PJSC GDR     143,844  
    2,830,000     ROSSETI PJSC     67,012  
     

 

 

 
    Total Russia     1,628,807  
     

 

 

 
          Singapore — 0.4%      
    25,200     Accordia Golf Trust     10,823  
    73,800     Ascendas (REIT)     164,244  
    128,900     CapitaLand Commercial Trust (REIT)     160,141  
    233,400     CapitaLand Mall Trust (REIT)     336,763  
    122,100     ComfortDelGro Corp Ltd     124,745  
    32,200     DBS Group Holdings Ltd     445,470  
    21,100     First Real Estate Investment Trust     13,260  
    400     Jardine Cycle & Carriage Ltd     6,210  
    26,700     Keppel DC (REIT)     48,714  
    82,664     Mapletree Commercial Trust (REIT)     117,608  
    244,400     Mapletree Greater China Commercial Trust (REIT)     145,063  
    178,200     Mapletree Industrial Trust (REIT)     344,511  
    39,200     Mapletree Logistics Trust (REIT)     57,095  
    42,400     Silverlake Axis Ltd     7,074  
    20,100     Singapore Exchange Ltd     118,090  
    77,100     SPH (REIT)     45,415  
    39,700     StarHub Ltd     38,217  
    13,700     Venture Corp Ltd     148,879  
    3,000     Wing Tai Holdings Ltd     3,938  
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Singapore — continued      
    641,600     Yangzijiang Shipbuilding Holdings Ltd     428,192  
    58,400     Yanlord Land Group Ltd *     45,629  
     

 

 

 
    Total Singapore     2,810,081  
     

 

 

 
          South Africa — 0.0%      
    43,589     Absa Group Ltd     202,693  
    4,985     Liberty Holdings Ltd     17,724  
    3,145     Motus Holdings Ltd     4,973  
    3,643     MultiChoice Group Ltd *     17,999  
    5,690     Reunert Ltd     14,079  
    34,569     Telkom SA SOC Ltd     34,958  
     

 

 

 
    Total South Africa     292,426  
     

 

 

 
          South Korea — 0.3%      
    26,953     Hana Financial Group Inc     651,230  
    6,742     Industrial Bank of Korea     45,283  
    733     KB Financial Group Inc     20,004  
    22,008     Kia Motors Corp     611,966  
    7     LG Corp     358  
    2,535     Shinhan Financial Group Co Ltd     61,960  
    990     SK Hynix Inc     65,650  
    24,700     SK Telecom Co Ltd Sponsored ADR     475,475  
     

 

 

 
    Total South Korea     1,931,926  
     

 

 

 
          Spain — 0.7%      
    16,813     Acerinox SA *     134,508  
    10     ACS Actividades de Construccion y Servicios SA     256  
    973     Aena SME SA     138,863  
    22,346     Almirall SA *     293,035  
    5,511     Amadeus IT Group SA     288,178  
    25,308     Bankinter SA     107,517  
    20,413     Cia de Distribucion Integral Logista Holdings SA     377,665  
    2,711     Ebro Foods SA     56,762  
    2,369     eDreams ODIGEO SA *     7,539  
    23,985     Enagas SA     540,615  
    46,246     Endesa SA     1,104,647  
    13,977     Faes Farma SA     56,421  
    44,939     Iberdrola SA     486,576  
    17,410     Industria de Diseno Textil SA     484,929  
    40,863     Mediaset Espana Comunicacion SA *     145,927  
    42,521     Red Electrica Corp SA     748,716  
    77,329     Unicaja Banco SA     41,890  
    5,208     Viscofan SA     342,095  
     

 

 

 
    Total Spain     5,356,139  
     

 

 

 
          Sweden — 0.4%      
    2,305     AcadeMedia AB     13,129  
    9,945     Axfood AB     223,024  
         
Shares
    Description   Value ($)  
          Sweden — continued      
    13,588     Bilia ABB – Class A     111,355  
    28,780     Boliden AB     628,883  
    4,022     Clas Ohlson AB-Class B     42,121  
    15,664     Cloetta AB-Class B     39,507  
    5,334     Granges AB     43,025  
    1,741     Humana AB     8,050  
    11,030     Inwido AB     70,357  
    7,715     JM AB     152,154  
    37,844     Klovern AB – B Shares     60,295  
    5,642     Lindab International AB     57,533  
    5,261     Loomis AB – Class B     133,024  
    21,478     Nobia AB     97,300  
    8,603     Nyfosa AB *     56,551  
    1,238     Peab AB – Class B     10,141  
    37,927     Skanska AB – B Shares     762,441  
    20,487     Volvo AB – B Shares     292,337  
     

 

 

 
    Total Sweden     2,801,227  
     

 

 

 
          Switzerland — 0.1%      
    390     Banque Cantonale Vaudoise (Registered)     38,032  
    872     BKW AG     69,777  
    2,716     Galenica AG     201,202  
    1     Huber + Suhner AG (Registered)     69  
    633     Partners Group Holding AG     527,336  
    513     Roche Holding AG     179,830  
     

 

 

 
    Total Switzerland     1,016,246  
     

 

 

 
          Taiwan — 0.2%      
    6,000     Realtek Semiconductor Corp     51,826  
    18,000     Radiant Opto-Electronics Corp     61,970  
    3,000     Phison Electronics Corp     27,651  
    3,000     Gigabyte Technology Co Ltd     5,908  
    59,000     Novatek Microelectronics Corp     403,977  
    17,000     Hon Hai Precision Industry Co Ltd     43,008  
    375,000     Pou Chen Corp     369,812  
    117,000     Inventec Corp     95,147  
    1,200     Ruentex Industries Ltd     2,614  
    8,000     Walsin Lihwa Corp     3,714  
    16,000     Chicony Electronics Co Ltd     45,906  
     

 

 

 
    Total Taiwan     1,111,533  
     

 

 

 
          Turkey — 0.0%      
    48,366     Eregli Demir ve Celik Fabrikalari TAS     57,031  
    40,883     KOC Holding AS     96,662  
    12,484     TAV Havalimanlari Holding AS     37,262  
    11,321     Turkiye Garanti Bankasi AS *     12,983  
    123,644     Turkiye Vakiflar Bankasi TAO – Class D *     84,558  
     

 

 

 
    Total Turkey     288,496  
     

 

 

 
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          United Kingdom — 1.8%      
    89,692     3i Group Plc     917,859  
    13,929     Aggreko Plc     81,635  
    26,203     Anglo American Plc     554,692  
    2,293     AVEVA Group Plc     116,502  
    3,420     Bank of Georgia Group Plc     39,126  
    87,139     Barratt Developments Plc     539,007  
    9,365     Bellway Plc     298,947  
    9,933     Berkeley Group Holdings Plc (The)     506,003  
    12,103     Brewin Dolphin Holdings Plc     42,225  
    4,639     British American Tobacco Plc     183,985  
    13,400     British American Tobacco Plc Sponsored ADR     537,072  
    143,842     Centamin Plc     292,807  
    8,037     CMC Markets Plc     19,657  
    31,946     Compass Group Plc     468,309  
    7,001     Computacenter Plc     139,460  
    8,466     Daily Mail & General Trust Plc     75,513  
    3,876     Derwent London Plc (REIT)     141,456  
    38,085     Dixons Carphone Plc     35,674  
    7,106     Dunelm Group Plc     93,959  
    11,363     Electrocomponents Plc     89,736  
    1,271     EMIS Group Plc     17,781  
    138,388     Ferrexpo Plc     301,470  
    1,580     Firstgroup Plc *     1,089  
    26,408     Frasers Group Plc *     100,298  
    359     Galliford Try Holdings Plc     522  
    4,421     Gem Diamonds Ltd *     1,750  
    5,259     Go-Ahead Group Plc (The)     70,900  
    4,956     Grafton Group Plc     38,327  
    14,903     Great Portland Estates Plc (REIT)     120,257  
    30,904     Ibstock Plc     70,310  
    28,935     IG Group Holdings Plc     273,620  
    4,837     IMI Plc     54,024  
    23,422     Inchcape Plc     145,619  
    29,866     Indivior Plc *     22,711  
    95,943     International Consolidated Airlines Group SA     272,699  
    7,674     International Personal Finance Plc     4,041  
    44,806     ITV Plc     44,680  
    106,992     J Sainsbury Plc     256,549  
    15,323     JD Sports Fashion Plc     125,624  
    15,985     John Laing Group Plc     70,199  
    58,548     Kingfisher Plc     142,095  
    54,652     LondonMetric Property Plc (REIT)     142,166  
    12,214     Lookers Plc     3,797  
    31,550     Meggitt Plc     109,056  
    12,455     Mitchells & Butlers Plc *     27,983  
    4,806     Mondi Plc     90,426  
    16,910     Morgan Advanced Materials Plc     44,687  
         
Shares
    Description   Value ($)  
          United Kingdom — continued      
    4,384     Morgan Sindall Group Plc     66,466  
    27,484     National Express Group Plc     74,134  
    4,545     Numis Corp Plc     17,188  
    19,750     OneSavings Bank Plc     68,190  
    16,757     Paragon Banking Group Plc     73,350  
    31,776     Pennon Group Plc     450,405  
    58,312     Persimmon Plc     1,663,287  
    53,309     Pets at Home Group Plc     151,730  
    21,902     Phoenix Group Holdings Plc     168,375  
    9,878     Playtech Plc     32,463  
    25,364     Plus500 Ltd     414,109  
    3,791     Polypipe Group Plc     20,363  
    110,718     QinetiQ Group Plc     406,391  
    5,493     Savills Plc     58,946  
    69,855     Sirius Real Estate Ltd     69,211  
    13,655     Smiths Group Plc *     222,640  
    5,939     Softcat Plc     84,582  
    32,470     Spirent Communications Plc     100,839  
    7,940     Stock Spirits Group Plc     23,888  
    54,317     Tate & Lyle Plc     453,083  
    34,222     Taylor Wimpey Plc     61,301  
    3,194     Ultra Electronics Holdings Plc     78,016  
    11,207     UNITE Group Plc (The) (REIT) *     120,455  
    9,113     Vesuvius Plc     41,552  
    206     Vistry Group Plc     1,957  
    115,713     WM Morrison Supermarkets Plc     268,460  
     

 

 

 
    Total United Kingdom     12,917,685  
     

 

 

 
          United States — 7.0%      
    3,200     3M Co. (b)     500,608  
    29,200     ACCO Brands Corp.     180,748  
    400     Activision Blizzard, Inc.     28,792  
    9,100     Acushnet Holdings Corp. (b)     304,122  
    1,400     Adobe, Inc. * (c)     541,240  
    600     Adtalem Global Education, Inc. * (b)     20,076  
    300     AGCO Corp.     16,569  
    700     Alexion Pharmaceuticals, Inc. *     83,930  
    100     Amazon.com, Inc. *     244,237  
    15,200     American Express Co. (b)     1,445,064  
    7,600     Ameriprise Financial, Inc. (c)     1,064,532  
    500     Amerisource Bergen Corp.     47,670  
    5,400     Amgen, Inc. (b)     1,240,380  
    1,000     Apple, Inc. (b)     317,940  
    11,500     Applied Materials, Inc.     646,070  
    800     Atkore International Group, Inc. *     21,472  
    1,200     BellRing Brands, Inc. – Class A *     24,096  
    14,400     Best Buy Co., Inc. (b)     1,124,496  
    300     Booking Holdings, Inc. * (b)     491,826  
    18,900     BorgWarner, Inc. (b)     607,635  
    2,900     Brady Corp. –Class A     148,277  
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          United States — continued      
    1,300     Brinker International, Inc. *     34,255  
    1,200     Bristol-Myers Squibb Co.     71,664  
    3,300     Broadmark Realty Capital, Inc.     28,842  
    500     Brooks Automation, Inc. (b)     19,985  
    4,500     Bruker Corp.     194,760  
    4,800     Builders FirstSource, Inc. *     99,888  
    13,600     Cadence Design Systems, Inc. * (c)     1,241,544  
    8,300     Carrier Global Corp. * (b)     169,901  
    1,900     CBIZ, Inc. *     43,035  
    13,000     Charles Schwab Corp. (The)     466,830  
    6,200     Chevron Corp.     568,540  
    700     Church & Dwight Co., Inc.     52,549  
    200     Cimpress Plc * (b)     18,026  
    5,100     Columbia Sportswear Co. * (b)     372,606  
    28,100     Comcast Corp. – Class A (b) (c)     1,112,760  
    600     Core-Mark Holding Co., Inc.     16,788  
    16,200     CoreCivic, Inc. (REIT)     194,886  
    46,475     Corteva, Inc. (c)     1,269,232  
    300     Costco Wholesale Corp.     92,541  
    1,300     CSG Systems International, Inc.     61,555  
    3,700     Curo Group Holdings Corp.     24,753  
    42,000     Dana, Inc. *     530,880  
    1,400     Dick’s Sporting Goods, Inc. * (b)     50,484  
    200     Dollar General Corp.     38,302  
    700     DR Horton, Inc. (b)     38,710  
    300     Eastman Chemical Co. (b)     20,424  
    18,600     eBay, Inc.     847,044  
    2,800     Electronic Arts, Inc. * (b)     344,064  
    7,100     Eli Lilly & Co.     1,085,945  
    9,300     Enova International, Inc. *     131,595  
    8,600     Envista Holdings Corp. * (b)     181,804  
    12,400     EOG Resources, Inc. (b)     632,028  
    6,700     Estee Lauder Cos, Inc. (The) – Class A * (c)     1,323,049  
    700     Exterran Corp. *     4,494  
    300     Federal Agricultural Mortgage Corp. – Class C     19,239  
    2,100     Federal Signal Corp.     61,194  
    1,700     Fidelity National Financial, Inc. (b)     54,230  
    1,700     First American Financial Corp. (b)     85,833  
    3,100     Fox Corp. (b)     90,427  
    2,300     Garmin Ltd.     207,391  
    200     General Dynamics Corp.     29,366  
    1,100     General Mills, Inc. (b)     69,344  
    2,200     GEO Group, Inc. (REIT)     26,356  
    12,600     Gilead Sciences, Inc. (b) (c)     980,658  
    200     Graham Holdings Co. – Class B(c)     71,646  
    2,100     Group 1 Automotive, Inc. * (b)     132,174  
    3,100     H&R Block, Inc.     52,700  
    6,100     Hasbro, Inc.     448,411  
    2,200     Heidrick & Struggles International, Inc.     48,796  
         
Shares
    Description   Value ($)  
          United States — continued      
    17,800     Herman Miller, Inc. *     409,756  
    3,100     Hershey Co. (The)     420,608  
    31,900     Hewlett Packard Enterprise Co.     309,749  
    4,100     Hilton Worldwide Holdings, Inc. *     325,171  
    1,100     Hologic, Inc. *     58,300  
    2,400     Home Depot, Inc. (The)     596,352  
    2,951     Honeywell International, Inc. (b)     430,403  
    48,000     HP, Inc.(c)     726,720  
    15,300     Huntsman Corp. (b)     277,695  
    200     ICF International, Inc. (b)     13,116  
    3,100     Illinois Tool Works, Inc. (b)     534,626  
    200     Innospec, Inc.     15,418  
    2,900     Insight Enterprises, Inc. * (b)     148,654  
    23,900     Intel Corp. (b)(c)     1,504,027  
    700     Inter Parfums, Inc. *     32,487  
    5,400     Intercontinental Exchange, Inc.     525,150  
    18,200     Interpublic Group of Cos., Inc. (The) (b)     311,402  
    3,200     Intuit, Inc. * (c)     929,024  
    1,400     ITT, Inc. (b)     80,780  
    300     Johnson Outdoors, Inc. – Class A     23,283  
    38,700     Juniper Networks, Inc. (b)     938,862  
    600     KB Home     19,848  
    3,100     Kimberly-Clark Corp. (b)     438,464  
    700     KONTOOR BRANDS, Inc. * (b)     10,234  
    8,700     Kroger Co. (The)     283,794  
    4,900     La-Z-Boy, Inc.     126,028  
    6,400     Las Vegas Sands Corp. *     306,816  
    1,600     Laureate Education, Inc. – Class A *     15,568  
    700     Lockheed Martin Corp.     271,908  
    18,200     Lyft, Inc. – Class A *     568,932  
    496     Markel Corp. *     445,120  
    1,600     Materion Corp.     84,000  
    500     McKesson Corp.     79,335  
    1,100     MDC Holdings, Inc.     37,389  
    12,100     Medtronic Plc (b)     1,192,818  
    12,400     Merck & Co., Inc.(c)     1,000,928  
    2,100     Meritor, Inc. *     42,798  
    1,500     Microsoft Corp.     274,875  
    1,300     Moderna, Inc. *(b)     79,950  
    13,600     Modine Manufacturing Co. * (b)     72,760  
    4,900     Mondelez International, Inc. – Class A     255,388  
    3,800     Moog, Inc. – Class A *     206,302  
    1,600     Motorola Solutions, Inc. (b)     216,528  
    4,900     Movado Group, Inc. * (b)     51,450  
    2,600     Mylan NV *     44,382  
    5,500     NetApp, Inc. (b)     244,970  
    1,900     Newmark Group, Inc. – Class A     8,075  
    900     NIC, Inc.     21,654  
    5,400     NIKE, Inc. – Class B     532,332  
    3,100     NortonLifeLock, Inc.     70,618  
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          United States — continued      
    700     NVIDIA Corp. (b)     248,514  
    1,500     O’Reilly Automotive, Inc. * (b)     625,860  
    2,200     OneMain Holdings, Inc.     51,326  
    5,200     Oracle Corp.     279,604  
    900     Oshkosh Corp. (b)     64,638  
    4,150     Otis Worldwide Corp.     218,498  
    2,600     Parsons Corp. *     105,716  
    9,600     PepsiCo, Inc. (c)     1,262,880  
    9,100     Perdoceo Education Corp. * (b)     148,148  
    23,400     Pfizer, Inc. (c)     893,646  
    13,400     Phillips 66 (c)     1,048,684  
    800     Polaris, Inc.     69,872  
    500     Popular, Inc.     19,745  
    2,500     Progress Software Corp.     101,000  
    1,200     PulteGroup, Inc.     40,764  
    17,500     Qurate Retail, Inc. – Series A *     144,113  
    16,662     Raytheon Technologies Corp.     1,075,032  
    800     Regional Management Corp. *     12,688  
    900     Reliance Steel & Aluminum Co.     87,300  
    900     Scholastic Corp. (b)     26,460  
    1,500     Schweitzer-Mauduit International, Inc. (b)     45,585  
    800     Seagate Technology Plc (b)     42,432  
    15,400     Sensata Technologies Holding Plc *     549,010  
    1,800     Skechers U.S.A., Inc. – Class A *     56,376  
    1,900     SkyWest, Inc. *     60,933  
    5,200     Skyworks Solutions, Inc.     616,408  
    1,900     SolarWinds Corp. *     34,751  
    6,000     Sonic Automotive, Inc. – Class A (b)     157,680  
    600     SPX Corp. *     23,988  
    1,300     Steelcase, Inc. – Class A     15,054  
    500     STERIS Plc     82,945  
    8,200     Stoneridge, Inc. *     168,756  
    900     Sykes Enterprises, Inc. * (b)     24,534  
    7,800     Synopsys, Inc. * (c)     1,411,098  
    2,600     Target Corp. (b)     318,058  
    600     Teledyne Technologies, Inc. *     224,472  
    5,100     Telephone & Data Systems, Inc.     104,499  
    3,300     Textron, Inc.     102,201  
    13,100     Timken Co. (The)(c)     557,274  
    2,627     Triple-S Management Corp. – Class B *     52,277  
    1,000     Tyson Foods, Inc.– Class A     61,440  
    1,500     UFP Industries, Inc.     68,595  
    3,100     Universal Corp.     136,586  
    13,400     US Bancorp     476,504  
    7,447     Verso Corp. – Class A *     107,088  
    8,800     VF Corp. (b)     493,680  
    15,000     Vishay Intertechnology, Inc. (b)     243,900  
    2,700     Walmart, Inc. (b)     334,962  
    200     West Pharmaceutical Services, Inc.     43,208  
    8,700     World Fuel Services Corp.     221,676  
    17,600     Xenia Hotels & Resorts, Inc. (REIT) * (c)     158,400  
     Shares /
Par Value†
    Description   Value ($)  
          United States — continued      
    6,400     Zynga Inc-Class A *     58,560  
     

 

 

 
    Total United States     52,053,573  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $134,195,142)
    131,630,069  
     

 

 

 
          PREFERRED STOCKS (d) — 0.1%      
          Brazil — 0.1%      
    24,300     Bradespar SA     160,518  
     

 

 

 
          Germany — 0.0%      
    1,301     Draegerwerk AG & Co KgaA     103,335  
    446     Villeroy & Boch AG     5,903  
     

 

 

 
    Total Germany     109,238  
     

 

 

 
          Russia — 0.0%  
    160,600     Surgutneftegas PJSC     81,010  
     

 

 

 
          South Korea — 0.0%  
    13     Samsung Electronics Co Ltd     453  
    46     Samsung Electronics Co Ltd GDR (Registered)     40,033  
     

 

 

 
    Total South Korea     40,486  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $367,993)
    391,252  
     

 

 

 
          RIGHTS/WARRANTS — 0.0%      
          Japan — 0.0%      
    1,900     Chiba Kogyo Bank Ltd * (e)      
     

 

 

 
          New Zealand — 0.0%      
    39,779     Sky Network Television Ltd *     1,786  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $0)
    1,786  
     

 

 

 
          DEBT OBLIGATIONS — 4.6%      
          United States — 4.6%      
          U.S. Government — 4.6%      
    5,405,029     U.S. Treasury Inflation Indexed Bond, 0.38%, due 01/15/27 (f)     5,727,696  
    2,020,772     U.S. Treasury Inflation Indexed Bond, 0.50%, due 01/15/28 (f)     2,179,345  
    5,347,574     U.S. Treasury Inflation Indexed Bond, 1.75%, due 01/15/28 (c) (f)     6,289,965  
    1,207,283     U.S. Treasury Inflation Indexed Bond, 0.75%, due 07/15/28 (f)     1,337,652  
    1,959,749     U.S. Treasury Inflation Indexed Bond, 0.88%, due 01/15/29 (f)     2,194,068  
    9,928,594     U.S. Treasury Inflation Indexed Bond, 2.50%, due 01/15/29 (c) (f)     12,530,930  
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

     Par Value† /
Shares
    Description   Value ($)  
          United States — continued      
          U.S. Government — continued      
    3,411,220     U.S. Treasury Inflation Indexed Bond, 0.13%, due 01/15/30 (f)     3,620,390  
     

 

 

 
    Total U.S. Government     33,880,046  
     

 

 

 
    Total United States     33,880,046  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $31,418,258)
    33,880,046  
     

 

 

 
          MUTUAL FUNDS — 79.1%      
          United States — 79.1%      
          Affiliated Issuers — 79.1%      
    2,310,665     GMO Core Plus Bond Fund, Class IV     52,036,168  
    989,572     GMO Emerging Country Debt Fund, Class IV     24,600,769  
    5,988,002     GMO Emerging Markets Fund, Class VI     171,735,910  
    9,432,543     GMO International Equity Fund, Class IV     178,180,734  
    709,051     GMO Opportunistic Income Fund, Class VI     18,002,804  
    1,888,813     GMO Quality Fund, Class VI     44,934,862  
    2,266,690     GMO U.S. Equity Fund, Class VI     27,562,947  
    3,319,295     GMO U.S. Small Cap Value Fund, Class VI     53,108,722  
    2,976,284     GMO U.S. Treasury Fund     15,000,470  
     

 

 

 
    TOTAL MUTUAL FUNDS (COST $612,230,258)     585,163,386  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
    Money Market Funds — 0.1%  
    597,062     State Street Institutional Treasury Money Market Fund – Premier Class, 0.12% (g)     597,062  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS (COST $597,062)     597,062  
     

 

 

 
    TOTAL INVESTMENTS — 101.7% (Cost $778,808,713)     751,663,601  
     

 

 

 
          SECURITIES SOLD SHORT — (1.7)%  
          Common Stocks — (1.7)%      
          Austria — (0.0)%      
    (1,334   Schoeller-Bleckmann Oilfield Equipment AG     (36,316
    (1,269   voestalpine AG     (24,783
     

 

 

 
    Total Austria     (61,099
     

 

 

 
          Brazil — (0.0)%  
    (2,800   Pagseguro Digital Ltd – Class A *     (88,844
     

 

 

 
          Canada — (0.0)%      
    (9,200   AltaGas Ltd     (98,759
    

    
Shares

    Description   Value ($)  
          Canada — continued      
    (15,400   Cameco Corp     (167,398
     

 

 

 
    Total Canada     (266,157
     

 

 

 
          Denmark — (0.2)%  
    (143   AP Moller – Maersk A/S – Class A     (131,339
    (257   AP Moller – Maersk A/S – Class B     (253,382
    (8,082   Chr Hansen Holding A/S     (784,884
    (521   DFDS A/S *     (15,286
    (1,240   ISS A/S *     (20,719
    (3,171   Jyske Bank A/S (Registered) *     (87,564
    (762   Topdanmark A/S     (31,698
    (1,616   Tryg A/S     (45,400
     

 

 

 
    Total Denmark     (1,370,272
     

 

 

 
          Germany — (0.1)%  
    (92,664   Deutsche Bank AG (Registered) *     (775,702
    (2,512   thyssenkrupp AG *     (17,073
     

 

 

 
    Total Germany     (792,775
     

 

 

 
          Japan — (0.1)%  
    (1,600   Idemitsu Kosan Co Ltd     (35,622
    (500   Japan Airport Terminal Co Ltd     (22,008
    (4,100   Japan Lifeline Co Ltd     (55,492
    (4,100   JGC Holding Corp     (44,213
    (300   JINS Holdings Inc     (19,066
    (3,800   Kawasaki Kisen Kaisha Ltd *     (39,325
    (1,100   Mitsui Mining & Smelting Co Ltd     (23,740
    (7,700   Mitsui OSK Lines Ltd     (136,828
    (6,100   Nippon Yusen KK     (88,208
    (15,300   Orient Corp     (18,265
    (17   Orix JREIT Inc     (24,571
    (39   Sekisui House Reit Inc     (24,229
     

 

 

 
    Total Japan     (531,567
     

 

 

 
          Netherlands — (0.0)%  
    (13,576   Altice Europe NV – Class B *     (53,480
    (3,052   OCI NV *     (34,603
     

 

 

 
    Total Netherlands     (88,083
     

 

 

 
          Spain — (0.0)%  
    (25   Bolsas y Mercados Espanoles SHMSF SA     (914
    (18   Masmovil Ibercom SA *     (376
     

 

 

 
    Total Spain     (1,290
     

 

 

 
          Switzerland — (0.0)%  
    (14,986   Credit Suisse Group AG (Registered)     (137,728
    (2,314   Dufry AG (Registered)     (69,251
    (681   Swiss Re AG     (46,507
     

 

 

 
    Total Switzerland     (253,486
     

 

 

 
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

May 31, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          United Kingdom — (0.0)%  
    (20,502   G4S Plc *     (22,949
    (43,481   Melrose Industries Plc     (62,685
    (7,100   Tronox Holdings Plc – Class A     (47,144
     

 

 

 
    Total United Kingdom     (132,778
     

 

 

 
          United States — (1.3)%  
    (3,200   2U, Inc. *     (116,704
    (21,800   Aerie Pharmaceuticals, Inc. *     (305,854
    (900   AnaptysBio, Inc. *     (17,172
    (9,900   Beyond Meat, Inc. *     (1,270,071
    (600   Biohaven Pharmaceutical Holding Co Ltd *     (37,482
    (4,700   Cheniere Energy, Inc. *     (208,445
    (4,500   Cloudera, Inc. *     (46,125
    (4,800   Crowdstrike Holdings, Inc. – Class A *     (421,488
    (5,100   Diamondback Energy, Inc.     (217,158
    (424   Digital Realty Trust, Inc. (REIT)     (60,869
    (24,600   EQT Corp. *     (328,164
    (900   Esperion Therapeutics, Inc. *     (38,133
    (6,300   Eventbrite, Inc. – Class A *     (54,306
    (800   Gentex Corp.     (21,152
    (5,400   Heron Therapeutics, Inc. *     (98,388
    (4,700   Immunomedics, Inc. *     (157,873
    (200   Innovative Industrial Properties, Inc. (REIT)     (16,344
    (2,400   Intercept Pharmaceuticals, Inc. *     (173,424
    (1,300   Intra-Cellular Therapies, Inc. *     (27,144
    (4,200   Iovance Biotherapeutics, Inc. *     (134,778
    (4,700   Knight-Swift Transportation Holdings, Inc.     (195,567
    (22,000   Kraft Heinz Co. (The)     (670,340
    (1,100   Ligand Pharmaceuticals, Inc. *     (111,727
    (500   Livongo Health, Inc. *     (29,965
    (14,400   LYFT, Inc. – Class A *     (450,144
    (4,800   Macerich Co. (The) (REIT)     (32,688
    (1,500   Madrigal Pharmaceuticals, Inc. *     (174,030
    (23,000   Mosaic Co. (The)     (278,070
    (9,400   National Oilwell Varco, Inc. *     (117,218
    (15,100   Nektar Therapeutics *     (327,670
    (38,400   Oasis Petroleum, Inc. *     (17,687
    (14,400   Peloton Interactive, Inc. – Class A *     (607,536
    (1,100   Sangamo Therapeutics, Inc. *     (12,309
    (17,000   Schlumberger Ltd     (313,990
    (3,700   Seritage Growth Properties – Class A (REIT) *     (29,119
    (17,600   Shake Shack, Inc. – Class A *     (977,680
         
Shares
    Description   Value ($)  
          United States — continued  
    (1,500   Switch, Inc. – Class A     (28,665
    (156,200   Transocean Ltd *     (207,746
    (600   Trupanion, Inc. *     (18,072
    (800   Veritex Holdings, Inc.     (14,016
    (2,500   Verra Mobility Corp. *     (27,275
    (1,800   WillScot Corp. *     (24,012
    (5,400   World Wrestling Entertainment, Inc.– Class A     (249,858
    (2,800   Wynn Resorts Ltd. *     (233,184
    (6,000   Zogenix, Inc. *     (174,780
    (2,900   Zoom Video Communications, Inc.– Class A *     (520,492
     

 

 

 
    Total United States     (9,594,914
     

 

 

 
    TOTAL COMMON STOCKS
(PROCEEDS $14,617,989)
    (13,181,265
     

 

 

 
    TOTAL SECURITIES SOLD SHORT
(PROCEEDS $14,617,989)
    (13,181,265
     

 

 

 
    Other Assets and Liabilities (net) — 0.1%     656,983  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $739,139,319  
     

 

 

 
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

May 31, 2020 (Unaudited)

 

 

A summary of outstanding financial instruments at May 31, 2020 is as follows:

Futures Contracts

 

Number
of
Contracts +

   Type    Expiration
Date
   Notional
Amount ($)
     Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Sales            
784    MSCI EAFE    June 2020      67,643,520        (4,813,506
136    S&P 500 E-Mini    June 2020      20,685,600        (1,045,003
        

 

 

    

 

 

 
   $ 88,329,120      $ (5,858,509
        

 

 

    

 

 

 

 

+

Buys - Fund is long the futures contract.

  

Sales - Fund is short the futures contract.

 

 

Reverse Repurchase Agreements

 

Average balance outstanding

   $ (4,560,000

Average interest rate (net)

     (0.09 )% 

Maximum balance outstanding

   $ (4,560,000

Average balance outstanding was calculated based on daily face value balances outstanding during the period that the Fund had entered into reverse repurchase agreements. Average interest rate was calculated based on interest received and/or paid during the period that the Fund had entered into the reverse repurchase agreements. The Fund had no reverse repurchase agreements at the end of the period.

Swap Contracts

OTC Total Return Swaps

 

Fund Pays

  Fund Receives  

Counterparty

  Notional
Amount
    Expiration
Date
    Periodic
Payment
Frequency
    Premiums
Paid/
(Received) ($)
    Value ($)     Net Unrealized
Appreciation/
(Depreciation) ($)
 

Total Return on Equity Basket(h)

  1 Month Federal Funds Rate
minus 0.40%
  MORD     USD       138,050       03/18/2021       Monthly             (6,210     (6,210

Total Return on Equity Basket(h)

  1 Month Federal Funds Rate
minus 0.40%
  MORD     USD       534,701       06/18/2022       Monthly             (54,247     (54,247

Total Return on Equity Basket(h)

  1 Month Federal Funds Rate
minus 1.75%
  MORD     USD       492,093       06/18/2022       Monthly             (64,497     (64,497

Total Return on Equity Basket(h)

  1 Month Federal Funds Rate
minus 1.06%
  MORD     USD       466,173       06/18/2022       Monthly             (18,023     (18,023

Total Return on Equity Basket(h)

  1 Month Federal Funds Rate
minus 1.00%
  MORD     USD       526,290       06/18/2022       Monthly             16,910       16,910  
             

 

 

   

 

 

   

 

 

 
              $     $ (126,067   $ (126,067
             

 

 

   

 

 

   

 

 

 

As of May 31, 2020, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

Denominated in U.S. Dollar, unless otherwise indicated.

 

*

Non-income producing security.

 

(a)

Investment valued at fair value using methods determined in good faith by the Trustees of GMO Trust or persons acting at their direction pursuant to procedures approved by the Trustees. Investment valued using significant unobservable inputs.

 

(b)

All or a portion of this security is out on loan.

 

(c)

All or a portion of this security has been pledged to cover margin requirements on futures and/or cleared swap contracts, collateral on securities sold short, OTC swap contracts, forward currency contracts, and/or written options, if any.

 

(d)

Preferred dividend rates are disclosed to the extent that a stated rate exists.

 

(e)

Investment valued using significant unobservable inputs.

 

(f)

Indexed security in which price and/or coupon is linked to the price of a specific instrument or financial statistic.

 

(g)

The rate disclosed is the 7 day net yield as of May 31, 2020.

 

(h)

Periodic payments made/received are based on the total return of the referenced entity. Custom equity basket swap which has a notional amount of less than 1% of the Fund’s total net assets.

Portfolio Abbreviations:

ADR - American Depositary Receipt

GDR - Global Depositary Receipt

PJSC - Private Joint-Stock Company

REIT - Real Estate Investment Trust

Counterparty Abbreviations:

MORD - Morgan Stanley Capital Services LLC

Currency Abbreviations:

USD - United States Dollar

 


Organization

Each of Alternative Allocation Fund, Benchmark-Free Allocation Fund, Benchmark-Free Fund, Global Asset Allocation Fund, Global Developed Equity Allocation Fund, Global Equity Allocation Fund, Implementation Fund, International Developed Equity Allocation Fund, International Equity Allocation Fund, SGM Major Markets Fund, Special Opportunities Fund and Strategic Opportunities Allocation Fund, (each a “Fund” and collectively the “Funds”) is a series of GMO Trust (the “Trust”). The Trust is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company. The Trust was established as a Massachusetts business trust under the laws of The Commonwealth of Massachusetts on June 24, 1985. The Declaration of Trust permits the Trustees of the Trust (“Trustees”) to create an unlimited number of series of shares (Funds) and to subdivide Funds into classes. The Funds are advised and managed by Grantham, Mayo, Van Otterloo & Co. LLC (“GMO”).

The Funds may invest in GMO U.S. Treasury Fund and in money market funds unaffiliated with GMO.

Many of the Funds may invest primarily in other GMO Funds and Alternative Allocation Fund, Implementation Fund, Special Opportunities Fund, and SGM Major Markets Fund may also invest in GMO Alternative Allocation SPC Ltd., GMO Implementation SPC Ltd., GMO Special Opportunities SPC Ltd. and GMO Alternative Asset SPC Ltd., (each a “wholly-owned subsidiary”) respectively. These GMO Funds and wholly-owned subsidiaries are referenced herein as “underlying funds”. As a result, the Funds are exposed to all of the risks of the underlying funds in which they invest. Several of the underlying funds themselves invest a substantial portion of their assets in other GMO Funds. The financial statements of the underlying funds should be read in conjunction with the Funds’ financial statements. The financial statements are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov or on GMO’s website at www.gmo.com.

Each Fund has elected to be treated or intends to elect to be treated and intends to qualify each tax year as a regulated investment company under Subchapter M of the Internal Revenue Code of 1986, as amended. Each Fund intends to distribute its net investment income, if any, and its net realized short-term and long-term capital gains, if any, after giving effect to any available capital loss carryforwards for U.S. federal income tax purposes. Therefore, each Fund makes no provision for U.S. federal income or excise taxes.

Please see the Funds’ Prospectus, available on www.gmo.com, for information regarding specific risks for each Fund.

Basis of presentation

The preparation of the Schedule of Investments in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”) requires GMO to make estimates and assumptions that affect the reported amounts and disclosures in the Schedule of Investments during the reporting period. GMO believes the estimates and security valuations are appropriate; however, actual results may differ from those estimates, and the security valuations reflected in the Schedule of Investments may differ from the value a Fund ultimately realizes upon the sale of those securities.

Basis of presentation and principles of consolidation: Alternative Allocation Fund, Implementation Fund, Special Opportunities Fund and SGM Major Markets Fund

Alternative Allocation Fund, Implementation Fund, Special Opportunities Fund and SGM Major Markets Fund include the accounts of their wholly-owned subsidiaries and the accompanying schedules of investments have been consolidated for those accounts. The consolidated schedules of investments include all of the assets and liabilities of each wholly-owned subsidiary.

Portfolio valuation

Shares of the underlying funds and other open-end registered investment companies are valued at their most recent net asset value. Direct investments held by the Funds and underlying funds are valued as follows: Exchange-traded securities (other than exchange-traded options) for which market quotations are readily available are valued at (i) the last sale price or (ii) official closing price or (iii) most recent quoted price published by the exchange (if no reported last sale or official closing price) or (iv) the quoted price provided by a pricing source (in the event GMO deems the private market to be a more reliable indicator of market value than the exchange). Exchange-traded options are valued at the last sale price, provided that price is between the closing bid and ask prices. If the last sale price is not within that range, then they will be valued at the closing bid price for long positions and the closing ask price for short positions. Cleared derivatives are valued using the price quoted (which may be based on a model) by the relevant clearing house. If an updated quote for a cleared derivative is not available when a Fund calculates its net asset value, the derivative will generally be valued using an industry standard model, which may differ from the model used by the relevant clearing house. Over-the-counter (“OTC”) derivatives are generally valued at the price determined by an industry standard model. Unlisted securities for which market quotations are readily available are generally valued at the most recent quoted price.

The foregoing valuation methodologies are modified for equities that trade in non-U.S. securities markets that close before the close of the New York Stock Exchange (“NYSE”) due to time zone differences, including the value of equities that underlie futures, options and other derivatives (to the extent the market for those derivatives closes prior to the close of the NYSE). In those cases, the price will generally be adjusted, to the extent practicable and available, based on inputs from an independent pricing service approved by the Trustees that are intended to reflect valuation changes through the NYSE close. These securities listed on foreign exchanges (including the value of equity securities that underlie futures, options and other


derivatives (to the extent the market for such instruments closes prior to the close of the NYSE)) are classified as Level 2 (levels defined below) and are described in the disclosures of the underlying funds.

Typically, the Funds and the underlying funds value fixed income securities at the most recent price supplied by a pricing source determined by GMO. GMO evaluates pricing sources on an ongoing basis and may change a pricing source at any time. GMO monitors erratic or unusual movements (including unusual inactivity) in the prices supplied for a security and has discretion to override a price supplied by a source (e.g., by taking a price supplied by another source) when it believes that the price supplied is not reliable. Alternative pricing sources are often but not always available for securities held by the Funds and the underlying funds.

“Quoted price” typically means the bid price for securities held long and the ask price for securities sold short. If a market quotation for a security does not involve a bid or an ask, the “quoted price” may be the price provided by a market participant or other third-party pricing source in accordance with the market practice for that security. If an updated quoted price for a security is not available when a Fund calculates its net asset value, the Fund will generally use the last quoted price so long as GMO believes that the last quoted price continues to represent that security’s fair value.

In the case of derivatives, prices determined by a model may reflect an estimate of the average of bid and ask prices, regardless of whether a Fund has a long position or a short position.

If quotations are not readily available or circumstances make an existing valuation methodology or procedure unreliable, derivatives and other securities are valued at fair value as determined in good faith by the Trustees or persons acting at their direction pursuant to procedures approved by the Trustees. Because of the uncertainty inherent in fair value pricing, the price determined for a particular security may be materially different from the value realized upon its sale. The Funds and/or the underlying funds classify such securities as Level 3 (levels defined below). For the period ended May 31, 2020, the Funds did not reduce the value of any of their OTC derivatives contracts, if any, based on the creditworthiness of their counterparties.

U.S. GAAP requires the Funds to disclose the fair value of their investments in a three-level hierarchy (Levels 1, 2 and 3). The valuation hierarchy is based upon the relative observability of inputs to the valuation of the Funds’ investments. The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

Changes in valuation techniques may result in transfers into or out of an investment’s assigned level within the fair value hierarchy. In addition, in periods of market dislocation, the observability of prices and inputs may be reduced for many instruments. This condition, as well as changes related to the liquidity of investments, could cause a security to be reclassified between levels.

The three levels are defined as follows:

Level 1 – Valuations based on quoted prices for identical securities in active markets.

The types of assets and liabilities categorized in Level 1 generally include actively traded domestic and certain foreign equity securities; certain U.S. government obligations; derivatives actively traded on a national securities exchange (such as some futures and options); and shares of open-end mutual funds (even if their investments are valued using Level 2 or Level 3 inputs).

Level 2 – Valuations determined using other significant direct or indirect observable inputs.

The types of assets and liabilities categorized in Level 2 generally include certain U.S. government agency securities, mortgage-backed securities, asset-backed securities, certain sovereign debt obligations, and corporate bonds valued using vendor prices or broker quotes; cleared derivatives and certain OTC derivatives such as swaps, options, swaptions, and forward currency contracts valued using industry standard models; certain restricted securities valued at the most recent available market or quoted price; certain securities that are valued at the local price; certain debt obligations, such as collateralized loan obligations, that have yet to begin trading that are valued at cost; and certain foreign equity securities that are adjusted based on inputs from an independent pricing service approved by the Trustees, including the value of equity securities that underlie futures, options and other derivatives (to the extent the market for such instruments closes prior to the close of the NYSE) to reflect estimated valuation changes through the NYSE close.

Level 3 – Valuations based primarily on inputs that are unobservable and significant.

The types of assets and liabilities categorized in Level 3 generally include, but are not limited to, certain debt securities (such as asset-backed, mortgage-backed, loans and sovereign debt) and derivatives even though they may be valued using broker quotes; certain debt securities and derivatives adjusted by a specified discount for liquidity or other considerations; securities whose trading has been suspended or that have been de-listed from their current primary trading exchange valued at the most recent available market or quoted price; securities in default or bankruptcy proceedings for which there is no current market quotation valued at the most recent available market or quoted price; potential litigation recoveries and interests related to bankruptcy proceedings; certain equity securities valued based on the last traded exchange price adjusted for the movement in a relevant index; certain securities that are


valued using a price from a comparable security related to the same issuer; and certain recently acquired equity securities that have yet to begin trading that are valued at cost.

The following is a summary of the respective levels assigned to the Funds’ direct securities and derivatives, if any, as of May 31, 2020:

 

         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Alternative Allocation Fund  
Asset Valuation Inputs  

Common Stocks

         

France

  $     $ 4,481,914     $     $ 4,481,914  

Germany

    2,898,898                   2,898,898  

Hong Kong

          209,897             209,897  

Ireland

          5,966,938             5,966,938  

Japan

          4,995,780             4,995,780  

Netherlands

          2,880,815             2,880,815  

United Kingdom

    8,224,857                   8,224,857  

United States

    64,236,108             2,965,448       67,201,556  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    75,359,863       18,535,344       2,965,448       96,860,655  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

United States

    206,859                   206,859  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    206,859                   206,859  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

Canada

          14,531,721             14,531,721  

United States

    79,442,824                   79,442,824  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    79,442,824       14,531,721             93,974,545  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    44,143,005                   44,143,005  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    44,143,005                   44,143,005  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

                6,337,798       6,337,798  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

                6,337,798       6,337,798  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

  $ 40,481,835     $ 94,266,150     $     $ 134,747,985  

Purchased Options

    234,230                   234,230  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    239,868,616       127,333,215       9,303,246       376,505,077  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          4,541,817             4,541,817  

Futures Contracts

         

Equity Risk

    258,156       287,267             545,423  

Interest Rate Risk

    8,144                   8,144  

Swap Contracts

         

Interest Rate Risk

          663,783             663,783  

Physical Commodity Contract Risk

          33,095             33,095  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 240,134,916     $ 132,859,177     $ 9,303,246     $ 382,297,339  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Common Stocks

         

France

  $     $ (3,799,739   $     $ (3,799,739

Hong Kong

          (198,251           (198,251

Ireland

          (5,639,584           (5,639,584

United Kingdom

    (16,253,639     (2,867,770           (19,121,409

United States

    (35,091,544                 (35,091,544
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (51,345,183     (12,505,344           (63,850,527
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          (5,975,948           (5,975,948
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Alternative Allocation Fund (continued)  
Liability Valuation Inputs (continued)  

Futures Contracts

         

Equity Risk

  $ (5,144,121   $ (141,110   $     $ (5,285,231

Interest Rate Risk

    (12,121                 (12,121

Written Options

         

Equity Risk

    (200,974     (45,141           (246,115

Swap Contracts

         

Interest Rate Risk

          (1,024,335           (1,024,335
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (56,702,399   $ (19,691,878   $     $ (76,394,277
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Benchmark-Free Allocation Fund  
Asset Valuation Inputs  

Mutual Funds

  $ 7,400,617,730     $     $     $ 7,400,617,730  

Short-Term Investments

    4,715,440                   4,715,440  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    7,405,333,170                   7,405,333,170  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 7,405,333,170     $     $     $ 7,405,333,170  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Benchmark-Free Fund  
Asset Valuation Inputs  

Common Stocks

         

Australia

  $     $ 22,496,234     $     $ 22,496,234  

Austria

          245,608             245,608  

Belgium

          8,466,667             8,466,667  

Brazil

    877,450       28,692,314             29,569,764  

Canada

    34,878,086                   34,878,086  

Chile

    2,804,760       1,321,793             4,126,553  

China

    16,968,440       233,899,486       87,193       250,955,119  

Colombia

    15,326                   15,326  

Cyprus

    274,717                   274,717  

Czech Republic

          63,547             63,547  

Denmark

          810,543             810,543  

Finland

          2,435,623             2,435,623  

France

    6,252,774       56,967,177             63,219,951  

Germany

          36,938,019             36,938,019  

Greece

          425,486       0 §      425,486  

Hong Kong

          13,573,361             13,573,361  

Hungary

          1,599,411             1,599,411  

India

    3,774,840       24,892,342             28,667,182  

Indonesia

          2,452,448             2,452,448  

Ireland

    2,823,648       5,197,014             8,020,662  

Israel

          620,923             620,923  

Italy

          35,683,466             35,683,466  

Japan

          154,901,539             154,901,539  

Malaysia

          7,843,653             7,843,653  

Mexico

    16,140,499                   16,140,499  

Netherlands

          46,391,139             46,391,139  

New Zealand

          956,914             956,914  

Norway

    277,552       15,260,275             15,537,827  

Pakistan

          532,450             532,450  

Peru

    181,500                   181,500  

Philippines

          1,146,900             1,146,900  

Poland

          12,496,894             12,496,894  

Portugal

          21,020,777             21,020,777  

Qatar

          824,514             824,514  

Russia

    459,703       73,471,623             73,931,326  

Singapore

          30,631,090             30,631,090  

South Africa

          23,333,296             23,333,296  

South Korea

    3,243,795       64,663,859       91,512       67,999,166  

Spain

          44,420,302             44,420,302  

Sweden

          27,105,548             27,105,548  
                                 


 

         
Description   Level 1     Level 2     Level 3     Total  
Benchmark-Free Fund (continued)  
Asset Valuation Inputs (continued)  

Common Stocks (continued)

         

Switzerland

  $     $ 32,221,107     $     $ 32,221,107  

Taiwan

    2,394,953       95,076,846             97,471,799  

Thailand

          5,205,653             5,205,653  

Turkey

          17,624,593             17,624,593  

United Arab Emirates

          2,239,926             2,239,926  

United Kingdom

    11,893,602       108,633,550             120,527,152  

United States

    191,589,110       8,905             191,598,015  

Vietnam

          205,235             205,235  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    294,850,755       1,262,998,050       178,705       1,558,027,510  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          8,430,604             8,430,604  

Colombia

    68,805                   68,805  

Germany

          3,223,477             3,223,477  

Russia

          6,207,612             6,207,612  

South Korea

          15,517,092             15,517,092  

Taiwan

          44,969             44,969  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    68,805       33,423,754             33,492,559  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Singapore

    0 §                  0 § 

Investment Funds

         

United States

    13,904,073                   13,904,073  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    13,904,073                   13,904,073  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    178,921,032       5,946,152             184,867,184  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    178,921,032       5,946,152             184,867,184  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    648,328,450                   648,328,450  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    648,328,450                   648,328,450  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    1,136,073,115       1,302,367,956       178,705       2,438,619,776  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          2,341,316             2,341,316  

Futures Contracts

         

Equity Risk

    206,279       18,888             225,167  

Swap Contracts

         

Equity Risk

          101,517             101,517  

Interest Rate Risk

          1,709,215             1,709,215  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 1,136,279,394     $ 1,306,538,892     $ 178,705     $ 2,442,996,991  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Common Stocks

         

Austria

  $     $ (1,759,278   $     $ (1,759,278

Brazil

    (2,760,220                 (2,760,220

Canada

    (755,719                 (755,719

Denmark

          (3,730,083           (3,730,083

Finland

          (1,294,044           (1,294,044

France

          (1,115,143           (1,115,143

Germany

          (3,923,357           (3,923,357

Israel

    (2,245,533                 (2,245,533

Japan

          (8,169,691           (8,169,691

Netherlands

          (430,501           (430,501

Norway

          (146,807           (146,807

Singapore

          (73,603           (73,603

Spain

          (1,606,883           (1,606,883

Sweden

          (607,607           (607,607

Switzerland

          (46,327           (46,327

United Kingdom

          (1,183,982           (1,183,982

United States

    (1,491,301                 (1,491,301
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (7,252,773     (24,087,306           (31,340,079
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Benchmark-Free Fund (continued)  
Liability Valuation Inputs (continued)  

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (12,108,582   $     $ (12,108,582

Futures Contracts

         

Equity Risk

    (50,283,738     (57,647,081           (107,930,819

Swap Contracts

         

Credit Risk

          (319,758           (319,758

Equity Risk

          (624,352           (624,352

Interest Rate Risk

          (349,279           (349,279
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (57,536,511   $ (95,136,358   $     $ (152,672,869
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Global Asset Allocation Fund  
Asset Valuation Inputs  

Mutual Funds

  $ 1,299,811,530     $     $     $ 1,299,811,530  

Debt Obligations

         

Asset-Backed Securities

          30,768             30,768  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

          30,768             30,768  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    10,923,487                   10,923,487  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    1,310,735,017       30,768             1,310,765,785  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 1,310,735,017     $ 30,768     $     $ 1,310,765,785  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Derivatives^

 

Futures Contracts

         

Equity Risk

  $ (6,856,232   $     $     $ (6,856,232
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (6,856,232   $     $     $ (6,856,232
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Global Developed Equity Allocation Fund  
Asset Valuation Inputs  

Mutual Funds

  $ 66,190,769     $     $     $ 66,190,769  

Short-Term Investments

    55,108                   55,108  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    66,245,877                   66,245,877  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 66,245,877     $     $     $ 66,245,877  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Global Equity Allocation Fund  
Asset Valuation Inputs  

Mutual Funds

  $ 1,393,580,291     $     $     $ 1,393,580,291  

Short-Term Investments

    499,740                   499,740  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    1,394,080,031                   1,394,080,031  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 1,394,080,031     $     $     $ 1,394,080,031  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Consolidated Implementation Fund  
Asset Valuation Inputs  

Common Stocks

         

Australia

  $     $ 65,777,911     $     $ 65,777,911  

Austria

          807,779             807,779  

Belgium

          18,663,214             18,663,214  

Brazil

    841,823       77,061,585             77,903,408  

Canada

    89,986,090                   89,986,090  

Chile

    7,659,949       2,780,079             10,440,028  

China

    80,664,608       778,905,539       177,603       859,747,750  

Colombia

    83,110                   83,110  

Czech Republic

          465,280             465,280  

Denmark

          2,963,944             2,963,944  

Finland

          5,967,360             5,967,360  

France

    10,322,697       170,006,619             180,329,316  
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Implementation Fund (continued)  
Asset Valuation Inputs (continued)  

Common Stocks (continued)

         

Germany

  $ 9,117,122     $ 89,507,734     $     $ 98,624,856  

Greece

          1,744,641             1,744,641  

Hong Kong

          36,208,870             36,208,870  

Hungary

          4,228,672             4,228,672  

India

    8,818,872       78,445,248             87,264,120  

Indonesia

          12,900,106             12,900,106  

Ireland

    8,204,016       39,599,145             47,803,161  

Israel

          630,981             630,981  

Italy

          92,085,697             92,085,697  

Japan

          407,220,004             407,220,004  

Malaysia

          17,723,227             17,723,227  

Mexico

    50,771,350                   50,771,350  

Netherlands

          126,097,748             126,097,748  

New Zealand

          1,684,743             1,684,743  

Norway

    637,274       35,430,821             36,068,095  

Pakistan

          3,256,177             3,256,177  

Philippines

          5,730,141             5,730,141  

Poland

          57,706,378             57,706,378  

Portugal

          54,740,071             54,740,071  

Qatar

          9,671,476             9,671,476  

Russia

    4,591,215       300,989,603             305,580,818  

Singapore

          84,703,386             84,703,386  

South Africa

          80,129,300             80,129,300  

South Korea

    11,338,615       185,165,410       192,792       196,696,817  

Spain

          109,637,756             109,637,756  

Sweden

          62,599,846             62,599,846  

Switzerland

          82,195,307             82,195,307  

Taiwan

    18,669,913       357,236,158             375,906,071  

Thailand

          17,930,342             17,930,342  

Turkey

          44,775,629             44,775,629  

United Arab Emirates

          7,675,825             7,675,825  

United Kingdom

    63,061,542       279,577,704             342,639,246  

United States

    740,048,703       707,091       17,665,056       758,420,850  

Vietnam

          1,407,576             1,407,576  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    1,104,816,899       3,812,742,123       18,035,451       4,935,594,473  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          21,225,054             21,225,054  

Colombia

    452,994                   452,994  

Germany

          7,700,685             7,700,685  

Russia

          26,171,713             26,171,713  

South Korea

          48,326,957             48,326,957  

Taiwan

          508,245             508,245  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    452,994       103,932,654             104,385,648  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

United States

    971,866             430,926       1,402,792  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    971,866             430,926       1,402,792  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    35,531,425             26,837,717       62,369,142  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    35,531,425             26,837,717       62,369,142  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

Brazil

          5,297,119             5,297,119  

Israel

          6,484,281             6,484,281  

Italy

          1,449,638             1,449,638  

Jamaica

          2,794,985             2,794,985  

Luxembourg

                3,826,859       3,826,859  

Netherlands

          6,049,257             6,049,257  

Puerto Rico

          11,744,974             11,744,974  

Saint Lucia

          4,234,578       4,585,231       8,819,809  

United Kingdom

          5,060,912       5,221,713       10,282,625  
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Implementation Fund (continued)  
Asset Valuation Inputs (continued)  

Debt Obligations (continued)

         

United States

  $ 715,128,466     $ 178,709,313     $ 54,626,748     $ 948,464,527  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    715,128,466       221,825,057       68,260,551       1,005,214,074  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    22,208,292                   22,208,292  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    22,208,292                   22,208,292  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    57,622,755       136,153,655             193,776,410  

Purchased Options

    718,680                   718,680  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    1,937,451,377       4,274,653,489       113,564,645       6,325,669,511  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          14,786,722             14,786,722  

Futures Contracts

         

Equity Risk

    5,345,382       47,298             5,392,680  

Interest Rate Risk

    41,419                   41,419  

Physical Commodity Contract Risk

    2,247,844                   2,247,844  

Swap Contracts

         

Credit Risk

          9,083             9,083  

Equity Risk

          473,342             473,342  

Interest Rate Risk

          1,913,918             1,913,918  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 1,945,086,022     $ 4,291,883,852     $ 113,564,645     $ 6,350,534,519  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Common Stocks

         

Austria

  $     $ (4,682,356   $     $ (4,682,356

Brazil

    (6,942,524                 (6,942,524

Canada

    (2,990,673                 (2,990,673

Denmark

          (10,477,885           (10,477,885

Finland

          (3,243,394           (3,243,394

France

          (13,791,927           (13,791,927

Germany

          (10,191,233           (10,191,233

Hong Kong

          (829,638           (829,638

Ireland

          (25,263,305           (25,263,305

Israel

    (4,046,406                 (4,046,406

Japan

          (17,403,666           (17,403,666

Netherlands

          (1,058,308           (1,058,308

New Zealand

          (8,907           (8,907

Norway

          (51,176           (51,176

Singapore

          (132,059           (132,059

Spain

          (2,915,382           (2,915,382

Sweden

          (1,528,415           (1,528,415

Switzerland

          (86,519           (86,519

United Kingdom

    (54,002,609     (14,292,188           (68,294,797

United States

    (114,555,403                 (114,555,403
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (182,537,615     (105,956,358           (288,493,973
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

          (9,026,298           (9,026,298
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

          (9,026,298           (9,026,298
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          (48,829,903           (48,829,903

Futures Contracts

         

Equity Risk

    (132,414,377     (142,092,004           (274,506,381

Interest Rate Risk

    (59,035                 (59,035

Physical Commodity Contract Risk

    (128,453                 (128,453

Written Options

         

Equity Risk

    (1,710,102                 (1,710,102

Swap Contracts

         

Credit Risk

          (611,037           (611,037
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Implementation Fund (continued)  
Liability Valuation Inputs (continued)  

Derivatives^ (continued)

         

Swap Contracts (continued)

         

Equity Risk

  $     $ (2,023,709   $     $ (2,023,709

Interest Rate Risk

          (3,035,089           (3,035,089
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (316,849,582   $ (311,574,398   $     $ (628,423,980
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
International Developed Equity Allocation Fund  
Asset Valuation Inputs  

Mutual Funds

  $ 269,142,544     $     $     $ 269,142,544  

Short-Term Investments

    126,980                   126,980  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    269,269,524                   269,269,524  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 269,269,524     $     $     $ 269,269,524  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
International Equity Allocation Fund  
Asset Valuation Inputs  

Mutual Funds

  $ 689,608,215     $     $     $ 689,608,215  

Short-Term Investments

    257,034                   257,034  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    689,865,249                   689,865,249  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 689,865,249     $     $     $ 689,865,249  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Consolidated SGM Major Markets Fund  
Asset Valuation Inputs  

Debt Obligations

         

U.S. Government

  $ 317,369,800     $     $     $ 317,369,800  

U.S. Government Agency

    9,000,997                   9,000,997  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    326,370,797                   326,370,797  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    9,659,909       1,281,052             10,940,961  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    336,030,706       1,281,052             337,311,758  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          3,248,949             3,248,949  

Futures Contracts

         

Equity Risk

    708,833       806,212             1,515,045  

Interest Rate Risk

    19,702                   19,702  

Physical Commodity Contract Risk

    1,546,621                   1,546,621  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 338,305,862     $ 5,336,213     $     $ 343,642,075  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

 

Derivatives^

 

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (1,830,895   $     $ (1,830,895

Futures Contracts

         

Equity Risk

    (1,877,250     (367,988           (2,245,238

Interest Rate Risk

    (38,102                 (38,102

Physical Commodity Contract Risk

    (106,735                 (106,735
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (2,022,087   $ (2,198,883   $     $ (4,220,970
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Consolidated Special Opportunities Fund  
Asset Valuation Inputs  

Common Stocks

         

Israel

  $ 15,785,430     $     $     $ 15,785,430  

New Zealand

          14,327,004             14,327,004  

United Kingdom

          14,917,642             14,917,642  

United States

    222,831,328                   222,831,328  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    238,616,758       29,244,646             267,861,404  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    53,908,335       294             53,908,629  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    292,525,093       29,244,940             321,770,033  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 292,525,093     $ 29,244,940     $     $ 321,770,033  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Strategic Opportunities Allocation Fund  
Asset Valuation Inputs  

Common Stocks

         

Australia

  $     $ 1,533,886     $     $ 1,533,886  

Belgium

          313,586             313,586  

Brazil

          1,097,382             1,097,382  

Canada

    2,209,181                   2,209,181  

China

          3,493,386             3,493,386  

Denmark

          65,280             65,280  

Finland

          638,415             638,415  

France

    326,840       3,848,761             4,175,601  

Germany

          4,220,899             4,220,899  

Hong Kong

          1,550,068             1,550,068  

India

    16,032       54,601             70,633  

Ireland

    102,912       964,478             1,067,390  

Italy

          3,854,796             3,854,796  

Japan

          15,706,146             15,706,146  

Malaysia

          91,658             91,658  

Malta

                0 §      0 § 

Mexico

    550,684                   550,684  

Netherlands

          5,165,791             5,165,791  

New Zealand

          1,312             1,312  

Norway

          1,357,061             1,357,061  

Philippines

          15,862             15,862  

Poland

          60,288             60,288  

Portugal

          2,182,625             2,182,625  

Russia

          1,628,807             1,628,807  

Singapore

          2,810,081             2,810,081  

South Africa

          292,426             292,426  

South Korea

    475,475       1,456,451             1,931,926  

Spain

          5,356,139             5,356,139  

Sweden

          2,801,227             2,801,227  

Switzerland

          1,016,246             1,016,246  

Taiwan

          1,111,533             1,111,533  

Turkey

          288,496             288,496  

United Kingdom

    537,072       12,380,613             12,917,685  

United States

    52,053,573                   52,053,573  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    56,271,769       75,358,300       0 §      131,630,069  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          160,518             160,518  

Germany

          109,238             109,238  

Russia

          81,010             81,010  

South Korea

          40,486             40,486  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          391,252             391,252  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Japan

                0 §      0 § 

New Zealand

          1,786             1,786  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

          1,786       0 §      1,786  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    3,620,390       30,259,656             33,880,046  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    3,620,390       30,259,656             33,880,046  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    585,163,386                   585,163,386  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    585,163,386                   585,163,386  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    597,062                   597,062  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    645,652,607       106,010,994       0 §      751,663,601  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Swap Contracts

         

Equity Risk

          16,910             16,910  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 645,652,607     $ 106,027,904     $ 0 §    $ 751,680,511  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Strategic Opportunities Allocation Fund (continued)  
Liability Valuation Inputs  

Common Stocks

         

Austria

  $     $ (61,099   $     $ (61,099

Brazil

    (88,844                 (88,844

Canada

    (266,157                 (266,157

Denmark

          (1,370,272           (1,370,272

Germany

          (792,775           (792,775

Japan

          (531,567           (531,567

Netherlands

          (88,083           (88,083

Spain

          (1,290           (1,290

Switzerland

          (253,486           (253,486

United Kingdom

    (47,144     (85,634           (132,778

United States

    (9,594,914                 (9,594,914
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (9,997,059     (3,184,206           (13,181,265
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    (5,858,509                 (5,858,509

Swap Contracts

         

Equity Risk

          (142,977           (142,977
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (15,855,568   $ (3,327,183   $     $ (19,182,751
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

The risks referenced in the tables above are not intended to be inclusive of all risks. Please see the Prospectus for more information.

 

  ^

In the tables above derivatives are based on market values, rather than the notional amounts of derivatives, except for forward currency contracts which are based on unrealized appreciation/(depreciation). The uncertainties surrounding the valuation inputs for a derivative are likely to be more significant to the Funds’ net asset values than the uncertainties surrounding inputs for a non-derivative security with the same market value. Excludes purchased options, if any, which are included in investments.

  §

Represents the interest in securities that were determined to have a value of zero at May 31, 2020.

The underlying funds held at period end are classified above as Level 1. Certain underlying funds invest in securities and/or derivatives which may have been fair valued using methods determined in good faith by or at the direction of the Trustees or which may have been valued using significant unobservable inputs. For a summary of the levels assigned to the underlying funds’ direct securities and derivatives, if any, please refer to the underlying funds’ Notes to Financial Statements which are available on the SEC’s website at www.sec.gov or on GMO’s website at www.gmo.com.

U.S. GAAP requires additional disclosures about fair value measurements for material Level 3 securities and derivatives, if any (determined by each category of asset or liability as compared to a Fund’s total net assets). Level 3 holdings include investments valued using unadjusted prices supplied by a third-party pricing source (e.g., broker quotes, vendor). Alternative Allocation Fund and Implementation Fund’s Level 3 holdings also includes a common stock which is valued based on expected proceeds to be received post-merger. In addition, Implementation Fund’s Level 3 holdings also include two common stocks which are priced at the average of broker bids. Other than described above, there were no other Funds with classes of investments or derivatives with direct material Level 3 holdings at May 31, 2020.

For Funds with material total Level 3 assets and/or liabilities, the following is a reconciliation of securities and derivatives, if any, in which significant unobservable inputs (Level 3) were used in determining value:

 

                       
     Balances
as of
February 29,
2020
    Purchases     Sales     Accrued
Discounts/
Premiums
    Total
Realized
Gain/
(Loss)
    Change in
Unrealized
Appreciation
(Depreciation)
    Transfer
into
Level 3
    Transfer out
of
Level 3
    Balances
as of
May 31,
2020
           Net Change in
Unrealized
Appreciation
(Depreciation)
from Investments
Still Held as of
May 31, 2020
 

Consolidated Alternative Allocation Fund

 

                 

Common Stocks

 

                     

United States

  $     $ 2,683,304     $     $     $     $ 282,144     $     $                 —     $ 2,965,448       $ 282,144  

Investment Funds

 

                     

United States

    2,667,600       3,523,068                         147,130                   6,337,798         147,130  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

 

Total Investments

  $ 2,667,600     $ 6,206,372     $     $     $     $ 429,274     $     $     $ 9,303,246         429,274  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

 
                                                                                         


                       
     Balances
as of
February 29,
2020
    Purchases     Sales     Accrued
Discounts/
Premiums
    Total
Realized
Gain/
(Loss)
    Change in
Unrealized
Appreciation
(Depreciation)
    Transfer
into
Level 3
    Transfer out
of
Level 3
    Balances
as of
May 31,
2020
           Net Change in
Unrealized
Appreciation
(Depreciation)
from Investments
Still Held as of
May 31, 2020
 

Consolidated Implementation Fund

 

                 

Common Stocks

 

                     

China

  $     $     $     $     $     $     $ 177,603 ‡    $                 —     $ 177,603       $  

South Korea

                                        192,792 ‡            192,792          

United States

    9,521,813       11,217,309       (2,326,544           109,513       (857,035                 17,665,056         (857,035

Rights/Warrants

 

                     

United States

    430,926                                                 430,926          

Investment Funds

 

                     

United States

    29,566,080       3,005,316       (5,701,050           1,495,949       (1,528,578                 26,837,717         (1,528,578

Debt Obligations

 

                     

Bank Loans

                       

Luxembourg

    7,763,747             (2,625,750     22,988       (113,276     (1,220,850                 3,826,859         (1,292,927

Saint Lucia

    1,925,000       2,790,550       (5,625     20,678             (145,372                 4,585,231         (145,372

United Kingdom

          4,477,646             22,144             721,923                   5,221,713         721,923  

United States

    67,533,991       23,443,545       (34,879,448     364,132       (11,573,958     (2,722,831     12,461,317 ‡            54,626,748         (3,897,865
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

 

Total Investments

  $ 116,741,557     $ 44,934,366     $ (45,538,417 )#     $ 429,942     $ (10,081,772   $ (5,752,743   $ 12,831,712     $     $ 113,564,645       $ (6,999,854
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

 
                                                                                         

 

 

Financial assets transferred between levels were due to a change in observable and/or unobservable inputs.

  #

Includes $11,694,609 of proceeds received from partial calls and/or principal paydowns as applicable.

For Funds with material Level 3 investments, the following table summarizes the quantitative inputs used in the valuation of investments classified within Level 3 of the fair value hierarchy for the period ended May 31, 2020.

Quantitative information about Level 3 Fair Value Measurements*

 

         
Investment Type   Total Fair Value ($)     Valuation Methodology     Unobservable Inputs     Range (Weighted Average)  
Alternative Allocation Fund                                

Common Stock

    2,965,448       Fair Value       Corporate Action Election Terms       N/A (N/A)  
       
Implementation Fund                                

Common Stock

    9,761,840       Fair Value       Corporate Action Election Terms       N/A (N/A)  

Common Stock

    2,315,780       Fair Value       Discount Rate       30-50% (37.05%)  

Common Stock

    2,836,061       Fair Value       Most Relevant Broker Quote       $4.5-8 ($5.19)  

 

  *

The table does not include Level 3 securities or derivatives that are valued by pricing vendors or brokers. As of May 31, 2020, the value of these securities and/or derivatives for Alternative Allocation Fund and Implementation Fund was $6,337,798 and $98,650,964, respectively. The inputs for these investments are not readily available or cannot be reasonably estimated.


Investments in affiliated companies and other Funds of the Trust

An affiliated company for the purposes of this disclosure is a company in which a Fund has or had direct ownership of at least 5% of the issuer’s voting securities or an investment in other funds of GMO Trust (“underlying funds”). A summary of the Funds’ transactions involving companies that are or were affiliates during the period ended May 31, 2020 is set forth below:

 

                 
Affiliate    Value,
beginning of
period
     Purchases      Sales
Proceeds
     Dividend
Income*
    Distributions
of Realized
Gains*
     Net Realized
Gain (Loss)
    Net Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value, end of
period
 

Consolidated Alternative Allocation Fund

 

             

GMO Emerging Markets Fund, Class VI

   $ 13,595,699      $ 6,500,000      $      $     $      $     $ (1,094,086   $ 19,001,613  

GMO International Equity Fund, Class IV

     9,097,096        4,970,000                                  (567,987     13,499,109  

GMO Resources Fund, Class IV

     6,568,271        4,300,000                                  774,012       11,642,283  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 29,261,066      $ 15,770,000      $      $     $      $     $ (888,061   $ 44,143,005  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      

Benchmark-Free Allocation Fund

 

GMO Emerging Country Debt Fund, Class IV

   $ 264,983,913      $      $ 10,558,885      $     $      $ (454,601   $ (23,011,977   $ 230,958,450  

GMO High Yield Fund, Class VI

     110,184,438                                         (3,647,027     106,537,411  

GMO Implementation Fund

     7,114,226,325        367,154,085        668,395,778                     (96,024,352     (466,370,284     6,250,589,996  

GMO Opportunistic Income Fund, Class VI

     446,590,600               53,678,303                     1,134,250       (14,168,973     379,877,574  

GMO SGM Major Markets Fund, Class VI

     664,643,917               469,333,785                     (44,867,850     61,427,958       211,870,240  

GMO Special Opportunities Fund, Class VI

     195,830,895        50,000,000        110,376,516                     (23,876,250     109,205,930       220,784,059  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 8,796,460,088      $ 417,154,085      $ 1,312,343,267      $     $      $ (164,088,803   $ (336,564,373   $ 7,400,617,730  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      

Benchmark-Free Fund

 

GMO Emerging Country Debt Fund, Class IV

   $ 88,839,361      $      $      $     $      $     $ (8,058,582   $ 80,780,779  

GMO Emerging Markets Fund, Class VI

     277,719,859               15,000,000                     41,974       (17,237,828     245,524,005  

GMO Opportunistic Income Fund, Class VI

     174,387,661               14,000,000                     330,653       (5,628,682     155,089,632  

GMO SGM Major Markets Fund, Class VI

     119,656,426        59,000,000        124,118,061                     (425,095     4,942,233       59,055,503  

GMO Special Opportunities Fund, Class VI

     81,623,064        12,100,000        33,616,000                     (10,665,849     48,509,546       97,950,761  

GMO U.S. Treasury Fund

     1,849,041        55,583,036        47,547,404        **             46,770       (3,673     9,927,770  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 744,075,412      $ 126,683,036      $ 234,281,465      $     $      $ (10,671,547   $ 22,523,014     $ 648,328,450  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      


                 
Affiliate    Value,
beginning of
period
     Purchases      Sales
Proceeds
     Dividend
Income*
    Distributions
of Realized
Gains*
     Net
Realized
Gain (Loss)
    Net Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value, end of
period
 

Global Asset Allocation Fund

 

GMO Alternative Allocation Fund, Class VI

   $ 162,822,665      $ 7,264,935      $ 37,200,730      $     $      $ (1,773,627   $ (1,558,155   $ 129,555,088  

GMO Asset Allocation Bond Fund, Class VI

     122,351,825        4,478,052        43,310,257                     387,324       420,840       84,327,784  

GMO Core Plus Bond Fund, Class IV

     234,253,275        7,995,219        62,424,884                     3,884,665       (1,747,949     181,960,326  

GMO Cyclical Focus Fund, Class VI

            38,860,000                                  3,536,260       42,396,260  

GMO Emerging Country Debt Fund, Class IV

     57,278,855        1,179,020        7,470,000                     284,899       (4,953,278     46,319,496  

GMO Emerging Markets Fund, Class VI

     306,807,240        7,125,691        33,446,851                     6,830,990       (25,888,653     261,428,417  

GMO International Equity Fund, Class IV

     375,344,309        58,559,086        119,882,819                     (1,332,945     (20,257,769     292,429,862  

GMO Opportunistic Income Fund, Class VI

     33,470,164               5,822,936                     243,528       (1,109,598     26,781,158  

GMO Quality Fund, Class VI

     29,476,103               3,955,714                     225,066       790,270       26,535,725  

GMO Risk Premium Fund, Class VI

     31,514,461        639,165        13,772,747        90,479       548,686        (3,393,243     (1,117,664     13,869,972  

GMO U.S. Equity Fund, Class VI

     116,800,239        6,624,572        19,077,349                     (854,769     3,512,186       107,004,879  

GMO U.S. Small Cap Value Fund, Class VI

     86,440,407        9,177,243        7,241,237                     157,523       (9,831,580     78,702,356  

GMO U.S. Treasury Fund

     725,851        32,223,591        24,493,958        3,502              47,541       (2,818     8,500,207  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 1,557,285,394      $ 174,126,574      $ 378,099,482      $ 93,981     $ 548,686      $ 4,706,952     $ (58,207,908   $ 1,299,811,530  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      

Global Developed Equity Allocation Fund

 

GMO Cyclical Focus Fund, Class VI

   $      $ 3,110,000      $      $     $      $     $ 283,010     $ 3,393,010  

GMO Emerging Markets Fund, Class VI

     7,608,658               701,371                     53,925       (579,205     6,382,007  

GMO International Equity Fund, Class IV

     36,181,574               2,503,318                     (434,349     (1,912,339     31,331,568  

GMO Quality Fund, Class VI

     9,214,489               1,312,995                     (28,093     244,658       8,118,059  

GMO U.S. Equity Fund, Class VI

     13,571,810               3,731,676                     (1,082,392     1,132,300       9,890,042  

GMO U.S. Small Cap Value Fund, Class VI

     6,770,087        1,031,920        129,805                     (63,018     (533,101     7,076,083  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 73,346,618      $ 4,141,920      $ 8,379,165      $     $      $ (1,553,927   $ (1,364,677   $ 66,190,769  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      

Global Equity Allocation Fund

 

GMO Cyclical Focus Fund, Class VI

   $      $ 66,600,000      $      $     $      $     $ 6,060,600     $ 72,660,600  

GMO Emerging Markets Fund, Class VI

     405,390,168        564,706        25,332,993                     4,451,390       (30,015,848     355,057,423  

GMO International Equity Fund, Class IV

     608,303,007        7,406,685        35,012,471                     (1,699,714     (35,103,985     543,893,522  

GMO Quality Fund, Class VI

     197,661,153        886,826        15,598,790                     152,141       6,904,477       190,005,807  

GMO U.S. Equity Fund, Class VI

     107,094,199        822,234        24,545,002                     (1,095,406     3,052,283       85,328,308  

GMO U.S. Small Cap Value Fund, Class VI

     137,186,837        24,018,979        2,945,972                     385,869       (12,011,082     146,634,631  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 1,455,635,364      $ 100,299,430      $ 103,435,228      $     $      $ 2,194,280     $ (61,113,555   $ 1,393,580,291  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      

Consolidated Implementation Fund

 

GMO U.S. Treasury Fund

   $ 6,103,201      $ 151,347,480      $ 135,352,363      $ **    $      $ 121,961     $ (11,987   $ 22,208,292  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      


                 
Affiliate    Value,
beginning
of
period
     Purchases      Sales
Proceeds
     Dividend
Income*
     Distributions
of Realized
Gains*
     Net
Realized
Gain (Loss)
    Net Increase/
Decrease in
Unrealized
Appreciation/
Depreciation
    Value, end
of
period
 

International Developed Equity Allocation Fund

 

GMO Emerging Markets Fund, Class VI

   $ 30,679,613      $ 760,471      $ 2,835,487      $      $      $ 122,265     $ (2,197,459   $ 26,529,403  

GMO International Equity Fund, Class IV

     266,698,094        2,252,660        9,853,113                      (1,475,275     (15,009,225     242,613,141  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 297,377,707      $ 3,013,131      $ 12,688,600      $      $      $ (1,353,010   $ (17,206,684   $ 269,142,544  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 
                                                                       

International Equity Allocation Fund

 

GMO Emerging Markets Fund, Class VI

   $ 306,462,975      $ 1,280,961      $ 49,917,158      $      $      $ 5,190,167     $ (26,692,873   $ 236,324,072  

GMO International Equity Fund, Class IV

     550,104,514        8,466,251        68,016,964                      (6,427,688     (30,841,970     453,284,143  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 856,567,489      $ 9,747,212      $ 117,934,122      $      $      $ (1,237,521   $ (57,534,843   $ 689,608,215  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 
                                                                       

Strategic Opportunities Allocation Fund

 

GMO Core Plus Bond Fund, Class IV

   $ 67,321,337      $      $ 15,686,119      $      $      $ 285,462     $ 115,488     $ 52,036,168  

GMO Emerging Country Debt Fund, Class IV

     27,054,909                                          (2,454,140     24,600,769  

GMO Emerging Markets Fund, Class VI

     182,753,835                                          (11,017,925     171,735,910  

GMO International Equity Fund, Class IV

     198,303,123        16,791,651        25,650,000                      (6,670,446     (4,593,594     178,180,734  

GMO Opportunistic Income Fund, Class VI

     21,226,892               2,653,377                      117,157       (687,868     18,002,804  

GMO Quality Fund, Class VI

     57,387,212               12,535,000                      (756,985     839,635       44,934,862  

GMO U.S. Equity Fund, Class VI

     28,351,515               1,395,000                      (658,901     1,265,333       27,562,947  

GMO U.S. Small Cap Value Fund, Class VI

     53,392,571        5,320,054                                   (5,603,903     53,108,722  

GMO U.S. Treasury Fund

     5,804,477        27,707,215        18,549,813        7,772               50,142       (11,551     15,000,470  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 641,595,871      $ 49,818,920      $ 76,469,309      $ 7,772      $      $ (7,633,571   $ (22,148,525   $ 585,163,386  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 
                                                                       

 

  *

The table above includes estimated sources of all distributions paid by the underlying funds during the period March 1, 2020 through May 31, 2020. The actual tax characterization of distributions paid by the underlying funds will be determined at the end of the fiscal year ending February 28, 2021.

  **

Excludes income from investment of cash collateral from securities lending in GMO U.S. Treasury Fund. Income (net of fee rebates paid to the borrower and fees paid to the lending agent) from investment of cash collateral from securities lending in GMO U.S. Treasury Fund was $14,290 and $36,759 in Benchmark-Free Fund and Consolidated Implementation Fund, respectively, during the period.

Subsequent events

Effective June 30, 2020, GMO Special Opportunities Fund no longer charges a purchase premium or redemption fee.

Subsequent to May 31, 2020, GMO Special Opportunities Fund received redemption requests in the amount of $143,407,252.

GMO received notification from an investor of their intention to redeem approximately $104,000,000 from GMO International Developed Equity Allocation Fund at the end of July 2020.

* * *

For additional information regarding the Funds, please see the Funds’ most recent annual or semiannual shareholder report available on the SEC’s website, www.sec.gov, or visit GMO’s website at www.gmo.com.